Clerk of the House of Representatives Legislative Resource Center 135 Cannon Building Washington, DC 20515 http://lobbyingdisclosure.house.gov |
Secretary of the Senate Office of Public Records 232 Hart Building Washington, DC 20510 http://www.senate.gov/lobby |
LOBBYING REGISTRATION
Lobbying Disclosure Act of 1995 (Section 4)
1. Effective Date of Registration | 12/2/2019 |
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2. House Identification | 44597 |
Senate Identification | 401105461 |
REGISTRANT Organization/Lobbying Firm Self Employed Individual
3. Registrant | Organization | 1607 STRATEGIES, LLC |
Address | 410 First St, SE |
Address2 | Suite 200 |
City | Washington |
State | DC |
Zip | 20003 |
Country | USA |
4. Principal place of business (if different than line 3)
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5. Contact name and telephone number | International Number |
Contact | Mr. Kenneth Swab |
Telephone | 3012547869 |
ken.swab@gmail.com |
CLIENT A Lobbying Firm is required to file a separate registration for each client. Organizations employing in-house lobbyists should check the box labeled “Self” and proceed to line 10. Self
7. Client name | BMO Financial Corp. |
Address | 111 W. Monroe St. |
City | Chicago |
State | IL |
Zip | 60603 |
Country | USA |
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LOBBYISTS
10. Name of each individual who has acted or is expected to act as a lobbyist for the client identified on line 7. If any person listed in this section has served as a “covered executive branch official” or “covered legislative branch official” within twenty years of first acting as a lobbyist for the client, state the executive and/or legislative position(s) in which the person served.
Name | Covered Official Position (if applicable) | ||
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Travis | Johnson | | Deputy Chief of Staff, Senator David Vitter; Staff Director, Senate Banking Subcommittee on Economic Policy; Legislative Director, Rep John Shadegg; Sr. Legislative Assistant, Rep Tom Price; Staff Assistant, House Committee on Transportation. |
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LOBBYING ISSUES
11. General lobbying issue areas (Select all applicable codes).
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TAX |
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12. Specific lobbying issues (current and anticipated)
Issues related to the implementation of the Dodd-Frank Wall Street Reform and Consumer Protection Act. Issues related to proposed rulemaking by the Federal Reserve Board for financial institutions with foreign parent companies. Implementation of P.L. 115-97, Tax Cuts and Jobs Act of 2017, relating to base erosion and anti-abuse tax provisions.
AFFILIATED ORGANIZATIONS
13. Is there an entity other than the client that contributes more than $5,000 to the lobbying activities of the registrant in a quarterly period and either participates in and/or in whole or in major part supervises or controls the registrant’s lobbying activities?
No --> Go to line 14. | Yes --> Complete the rest of this section for each entity matching the criteria above, then proceed to line 14. |
Internet Address: |
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FOREIGN ENTITIES
14. Is there any foreign entity
a) holds at least 20% equitable ownership in the client or any organization identified on line 13; or
b) directly or indirectly, in whole or in major part, plans, supervises, controls, directs, finances or subsidizes activities of the client or any organization identified on line 13; or
c) is an affiliate of the client or any organization identified on line 13 and has a direct interest in the outcome of the lobbying activity?
No --> Sign and date the registration. | Yes --> Complete the rest of this section for each entity matching the criteria above, then sign the registration. |
Address | Ownership | |||||
Name | Street | Principal place of business | Amount of contribution | |||
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(city and state or country) | for lobbying activities |
1 First Canadian Place, 21st Floor |
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Bank of Montreal |
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100 |
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CONVICTIONS DISCLOSURE
15. Have any of the lobbyists listed on this report been convicted in a Federal or State Court of an offense involving bribery,
extortion, embezzlement, an illegal kickback, tax evasion, fraud, a conflict of interest, making a false statement, perjury, or money laundering?
Signature | Digitally Signed By: Kenneth Swab |
Date | 12/19/2019 10:09:37 PM |