|
LOBBYING REPORT |
Lobbying Disclosure Act of 1995 (Section 5) - All Filers Are Required to Complete This Page
2. Address
Address1 | 1101 New York Ave, NW |
Address2 | Suite 800 |
City | Washington |
State | DC |
Zip Code | 20005 |
Country | USA |
3. Principal place of business (if different than line 2)
City | |
State | |
Zip Code | |
Country | |
|
5. Senate ID# 317914-12
|
||||||||
|
6. House ID# 393430000
|
TYPE OF REPORT | 8. Year | 2014 |
Q1 (1/1 - 3/31) | Q2 (4/1 - 6/30) | Q3 (7/1 - 9/30) | Q4 (10/1 - 12/31) |
9. Check if this filing amends a previously filed version of this report
10. Check if this is a Termination Report | Termination Date | |
11. No Lobbying Issue Activity |
INCOME OR EXPENSES - YOU MUST complete either Line 12 or Line 13 | |||||||||
---|---|---|---|---|---|---|---|---|---|
12. Lobbying | 13. Organizations | ||||||||
INCOME relating to lobbying activities for this reporting period was: | EXPENSE relating to lobbying activities for this reporting period were: | ||||||||
|
|
||||||||
|
|
||||||||
Provide a good faith estimate, rounded to the nearest $10,000, of all lobbying related income for the client (including all payments to the registrant by any other entity for lobbying activities on behalf of the client). | 14. REPORTING Check box to indicate expense accounting method. See instructions for description of options. | ||||||||
Method A.
Reporting amounts using LDA definitions only
Method B. Reporting amounts under section 6033(b)(8) of the Internal Revenue Code Method C. Reporting amounts under section 162(e) of the Internal Revenue Code |
Signature | Digitally Signed By: Kenneth E. Bentsen, Jr., President & CEO |
Date | 07/21/2014 |
LOBBYING ACTIVITY. Select as many codes as necessary to reflect the general issue areas in which the registrant engaged in lobbying on behalf of the client during the reporting period. Using a separate page for each code, provide information as requested. Add additional page(s) as needed.
15. General issue area code BAN
16. Specific lobbying issues
H.R. 189 (Transparency and Security in Mortgage Registration Act of 2013);
H.R. 2767 (Protecting American Taxpayers and Homeowners Act of 2013);
H.R. 4387 (FSOC Transparency and Accountability Act);
H.R. 4881 (To place a 6-month moratorium on the authority of the Financial Stability Oversight Council to make financial stability determinations);
H.R. 5055 (To reform the housing finance system of the United States, and for other purposes);
S. 563 (Jumpstart GSE Reform Act);
S. 1217 (Housing Finance Reform and Taxpayer Protection Act of 2013);
Dodd-Frank Wall Street Reform and Consumer Protection Act Implementation;
Housing Affordability and Stability Plan;
Housing finance issues (General);
Servicing compensation;
Credit Rating Agency Reform;
Government Sponsored Enterprise (GSE) Reform;
Strategic plan for conservatorships of the GSEs;
Eminent Domain;
Equity market structure issues;
Capital standards;
Ginnie Mae securitization programs;
The Volcker Rule implementation;
The Volcker Rule collaterized loan obligations (CLO) issue;
Johnson-Crapo Housing Finance Reform Bill;
Delaney-Carney-Himes Housing Finance Reform Bill.
17. House(s) of Congress and Federal agencies Check if None
U.S. HOUSE OF REPRESENTATIVES, U.S. SENATE, Treasury - Dept of, Natl Economic Council (NEC), Federal Deposit Insurance Commission (FDIC), Office of the Comptroller of the Currency (OCC), Federal Reserve System, Ginnie Mae, Federal Housing Finance Board (FHFB)
18. Name of each individual who acted as a lobbyist in this issue area
First Name | Last Name | Suffix | Covered Official Position (if applicable) | New |
Kenneth |
Bentsen |
Jr. |
|
|
Carter |
McDowell |
|
|
|
Dave |
Oxner |
|
|
|
Kevin |
Carroll |
|
|
|
Joseph |
Vaughan |
|
|
|
Matthew |
McGinley |
|
|
|
Bradley |
Edgell |
|
|
|
Chris |
Killian |
|
|
|
Andy |
Blocker |
|
|
|
Colleen |
Kaveney |
|
Staff Assistant, Sen. Roy Blunt, 2012 |
|
Colleen |
Kaveney |
|
Leg Correspondent, Sen. Roy Blunt, 2012-2014 |
19. Interest of each foreign entity in the specific issues listed on line 16 above Check if None
LOBBYING ACTIVITY. Select as many codes as necessary to reflect the general issue areas in which the registrant engaged in lobbying on behalf of the client during the reporting period. Using a separate page for each code, provide information as requested. Add additional page(s) as needed.
15. General issue area code CDT
16. Specific lobbying issues
H.R. 634 (Business Risk Mitigation and Price Stabilization Act);
H.R. 677 (Inter-Affiliate Swap Classification Act);
H.R. 742 (Swap Data Repository and Clearinghouse Indemnification Correction Act of 2013);
H.R. 992 (Swaps Regulatory Improvement Act);
H.R. 1003 (To improve consideration by the Commodity Futures Trading Commission of the costs and benefits of its regulations and orders);
H.R. 1038 (Public Power Risk Management Act of 2013);
H.R. 1256 (Swaps Jurisdiction Certainty Act);
H.R. 4413 (The Customer Protection and End-User Relief Act);
H.R. 5016 (Financial Services and General Government Appropriations Act, 2015)
S. 474 (Swaps Regulatory Improvement Act);
Dodd-Frank Wall Street Reform and Consumer Protection Act Implementation (Regulatory rulemaking regarding swap dealer capital requirements and margin segregation);
Regulation of over-the-counter (OTC) derivatives (standardization of derivatives - all aspects including exchange trading, clearing, and reporting requirements);
Commodity pool operators amendments;
Commodity Exchange Act (CEA) Reauthorization;
Core Principles and Other Requirements for Swap Execution Facilities (SEF Final Rule);
Cross-border Guidance and Exemptive Order;
Banks in physical commodity markets;
Make available to trade determination for Swap Execution Facilities (SEFs);
Position limits;
Jumpstart Our Business Startups (JOBS) Act implementation;
IHS Global report on the Role of Banks in Physical Commodities;
Concept Release on Risk Controls and System Safeguards for Automated Trading Environments;
The Volcker Rule;
Block trades;
Insurance-linked securities;
Transaction-Level Requirements in Certain Cross-Border Situations (CFTC letters Nos. 13-17 and 14-01);
CFTC Regulation 1.35;
Block trades on swap execution facilities (SEFs);
Liquidity coverage ratio (LCR) as it relates to commodities;
CFTC nominees;
Commodities (general);
Highway Trust Fund legislation.
17. House(s) of Congress and Federal agencies Check if None
U.S. HOUSE OF REPRESENTATIVES, U.S. SENATE, Securities & Exchange Commission (SEC), Office of the Comptroller of the Currency (OCC), Commodity Futures Trading Commission (CFTC), Federal Deposit Insurance Commission (FDIC), Federal Reserve System, Treasury - Dept of,
18. Name of each individual who acted as a lobbyist in this issue area
First Name | Last Name | Suffix | Covered Official Position (if applicable) | New |
Kenneth |
Bentsen |
Jr. |
|
|
Carter |
McDowell |
|
|
|
Dave |
Oxner |
|
|
|
Michael |
Decker |
|
|
|
Bradley |
Edgell |
|
|
|
Matthew |
McGinley |
|
|
|
Kyle |
Brandon |
|
|
|
Joseph |
Vaughan |
|
|
|
Andy |
Blocker |
|
|
|
John |
Gyorfy |
|
|
19. Interest of each foreign entity in the specific issues listed on line 16 above Check if None
LOBBYING ACTIVITY. Select as many codes as necessary to reflect the general issue areas in which the registrant engaged in lobbying on behalf of the client during the reporting period. Using a separate page for each code, provide information as requested. Add additional page(s) as needed.
15. General issue area code FIN
16. Specific lobbying issues
H.R. 25 (Fair Tax Act of 2013);
H.R. 30 (Small Business Investment Enhancement and Tax Relief Act);
H.R. 122 (Creating Jobs From Innovative Small Businesses Act of 2013);
H.R. 290 (Full Faith and Credit Act of 2013);
H.R. 505 (Balancing Act);
H.R. 613 (Systemic Risk Mitigation Act);
H.R. 624 (Cyber Intelligence Sharing and Protection Act);
H.R. 634 (Business Risk Mitigation and Price Stabilization Act);
H.R. 677 (Inter-Affiliate Swap Classification Act);
H.R. 694 (Corporate Tax Fairness Act);
H.R. 701 (To amend a provision of the Securities Act of 1933 directing the Securities and Exchange Commission to add a particular class of securities to those exempted under such Act to provide a deadline for such action);
H.R. 719 (Capital Access for Small Businesses and Jobs Act);
H.R. 742 (Swap Data Repository and Clearinghouse Indemnification Correction Act of 2013);
H.R. 756 (Cybersecurity Enhancement Act of 2013);
H.R. 807 (Full Faith and Credit Act);
H.R. 815 (To amend the Internal Revenue Code of 1986 to make certain dividends and distributions paid to individuals from certain small businesses exempt from tax to the extent of the increased wages of the small business);
H.R. 880 (Wall Street Trading and Speculators Tax Act);
H.R. 889 (Unfunded Mandates Information and Transparency Act of 2013);
H.R. 935 (Reducing Regulatory Burdens Act of 2013);
H.R. 947 (Small Business Accounting and Tax Simplification Act);
H.R. 992 (Swaps Regulatory Improvement Act);
H.R. 1003 (To improve consideration by the Commodity Futures Trading Commission of the costs and benefits of its regulations and orders);
H.R. 1101 (Homeowners and Taxpayers Protection Act of 2013);
H.R. 1105 (Small Business Capital Access and Job Preservation Act);
H.R. 1062 (SEC Regulatory Accountability Act);
H.R. 1064 (National Association of Registered Agents and Brokers Reform Act of 2013);
H.R. 1115 (To amend the Securities Exchange Act of 1934 to prohibit any national securities exchange from effecting any transaction in a security issued by a corporation unless the corporation's registration with the exchange includes a certification that the corporation currently is in compliance with the provisions of the Federal Election Campaign Act of 1971 governing contributions and expenditures by corporations which were in effect with respect to elections held during 2008);
H.R. 1135 (Burdensome Data Collection Relief Act);
H.R. 1155 (National Association of Registered Agents and Brokers Reform Act of 2013);
H.R. 1221 (Basel III Capital Impact Study Act);
H.R. 1256 (Swap Jurisdiction Certainty Act);
H.R.1335 (Short Sale Transparency Act of 2013);
H.R.1341 (Financial Competitive Act of 2013)(Credit Valuation Adjustment (CVA));
H.R. 1844 (Arbitration Fairness Act of 2013);
H.R. 2374 (Retail Investor Protection Act);
H.R. 2998 (Investor Choice Act of 2013);
H.R. 3482 (Restoring Main Street Investor Protection and Confidence Act);
H.R. 3696 (National Cybersecurity and Critical Infrastructure Protection Act of 2013);
H.R. 4167 (Restoring Proven Financing for American Employers Act);
H.CON.RES.25 (Establishing the budget for the United States Government for fiscal year 2014 and setting forth appropriate budgetary levels for fiscal years 2015 through 2023);
S. 1 (Immigration Reform that Works for America's Future Act);
S. 8 (End Wasteful Tax Loopholes Act);
S. 21 (Cybersecurity and American Cyber Competitiveness Act of 2013);
S. 122 (Fair Tax Act of 2013);
S. 169 (I-Squared Act of 2013)(Immigration reform);
S. 173 (Simplified, Manageable, And Responsible Tax Act);
S. 249 (Responsible Homeowner Refinancing Act of 2013);
S. 277 (Job Preservation and Economic Certainty Act of 2013);
S. 278 (Job Preservation and Sequester Replacement Act of 2013);
S. 321 (Paying a Fair Share Act of 2013);
S. 387 (American Infrastructure Investment Fund Act);
S. 399 (American Job Protection Act);
S. 410 (Wall Street Trading and Speculators Tax Act);
S. 450 (Financial Regulatory Responsibility Act of 2013);
S. 451 (Dodd-Frank Wall Street Reform and Consumer Protection Technical Corrections Act of 2013);
S. 474 (Swaps Regulatory Improvement Act);
S. 534 (National Association of Registered Agents and Brokers Reform Act of 2013);
S. 798 (TBTF Act);
S. 1725 (Restoring Main Street Investor Protection and Confidence Act);
S. 1999 (SCRA Rights Protection Act of 2014);
S. 2588 (Cybersecurity Information Sharing Act of 2014);
S.AMDT.2006 (Amends H.CON.RES.25);
FINRA Regulatory Notice 2013-002;
Market data rule proposals (SR-NASDAQ-2012-042;SR-NASDAQ-2012-044;SR-NASDAQ-2012-005);
SR-NYSEArca-2011-96;
Market data (Exchange Act Section 19 and related rules);
EU data protection rules;
Swap dealer and major swap participant recordkeeping and reporting, duties, and conflicts of interest policies and procedures;
Swap execution facilities;
Futures Commission Merchant and Introducing Broker Conflicts of Interest Policies and Procedures;
Swap dealer, major swap participant, and futures commission merchant chief compliance officer;
Dodd-Frank Wall Street Reform and Consumer Protection Act Implementation (Section 913; Section 914; Systemic risk regulation and liquidation authority; Section 342 (Office of Minority and Women Inclusion); Section 621; Section 941; Title I and Title II);
Systemic Risk Regulation and liquidation authority;
Governmental Accounting Standards Board (GASB) Funding (Regulatory Capital Requirements, systemic risk regulation and liquidation authority);
Market Structure Issues (dark pools, flash quotes, high frequency trading);
China - strategic and economic dialogue;
Preservation of independent contractor status for financial services sector;
Asian Pacific Economic Council Privacy Issues;
Bilateral Investment Treaties, India;
Transpacific Partnership;
U.S./EU cross-border regulatory issues;
India Market Access Issues;
European Union proposal regarding Credit Default Swaps and Credit Rating Agencies and their impact on US Markets;
EU Alternative Investment Fund Managers Proposal (AIFM);
Basel Capital Rules;
Basel Securitization Framework;
G-20;
Amendments to the 2012 Indian Finance Bill;
TransAtlantic Trade and Investment Partnership (TTIP);
Trade Promotion Authority (TPA);
India Financial Sector Reform;
Regulatory Capital Requirements;
Single Platform/Government Sponsored Enterprises;
SEC Regulation AB2;
Trust Indenture Act;
Accounting standards for municipalities;
Securities Investor Protection Corporation (SIPC) reform and funding fees;
Financial Stability Board Outreach;
Establishment of the Office of Financial Research;
Bankruptcy reform for municipalities;
Financial Stability Oversight Council (FSOC);
Support of financial literacy;
Privacy and cyber security issues;
Self-Regulatory Organizations (SRO) rulemaking;
Municipal advisor regulation;
Tax-exemption for municipal bonds;
Cross-border guidance;
CFTC exemptive order on extraterritorial scope of Title VII;
Tri-party repo;
Computerized trading;
Legal entity identifier (LEI);
Jumpstart our Business Startups (JOBS) Act implementation;
Basel Committee on Banking Supervision (BCBS) and International Organization of Securities Commissions (IOSCO) consultation paper on margin requirements for uncleared derivatives;
Commodity Pools and Securitization;
Tick-size pilot program;
EU Capital and Resolution;
National Institute of Standards and Technology (NIST) Framework;
Incentives for the adoption of the NIST Framework;
Securities and Exchange Commission Rules 15Ba1-1 through 15Ba1-8;
CFTC recordkeeping requirements (CEA Section 23.201);
Fee pilot program for NASDAQ last sale (File no. SR-NASDAQ-2013-126);
Office of Financial Research study (Asset Management and Financial Stability);
Legal Entity Identifier;
Financial Stability Board;
OCC, FDIC, and Federal Reserve rule proposal on Basel III Liquidity Coverage Ratio;
FSOC consideration of systemically important financial institutions (SIFIs);
Prudential regulators;
NASDAQ and NYSE market data fee proposals;
SEC draft strategic plan;
Leverage capital requirements;
Basel capital and liquidity;
Cybersecurity issues (general);
Release No. 34-71958, SBSD Recordkeeping;
Bankruptcy code reform;
Municipalities Continuing Disclosure Cooperation Initiative;
Regulation AB II;
Recordkeeping Requirements; Rules 17a-3, 17a-4 (Securities and Exchange Commission, Commodity Futures Trading Commission, Financial Industry Regulatory Authority);
Consumer Privacy Notices - Docket No. CFPB-2014-0010;
Regulatory Notice 14019, BrokerCheck Hyperlink;
Preserving America's Transit and Highways ("PATH") Act;
Regulation AB II (asset backed securities - Securities and Exchange Commission, Consumer Financial Protection Bureau).
17. House(s) of Congress and Federal agencies Check if None
U.S. HOUSE OF REPRESENTATIVES, U.S. SENATE, Treasury - Dept of, Natl Economic Council (NEC), Securities & Exchange Commission (SEC), U.S. Trade Representative (USTR), Commerce - Dept of (DOC), Commodity Futures Trading Commission (CFTC), Federal Deposit Insurance Commission (FDIC), Federal Reserve System, Federal Housing Finance Board (FHFB), Natl Credit Union Administration (NCUA), Natl Economic Council (NEC), Ginnie Mae, Homeland Security - Dept of (DHS), Office of the Comptroller of the Currency (OCC), Housing & Urban Development - Dept of (HUD), Natl Security Council (NSC), Federal Deposit Insurance Commission (FDIC)
18. Name of each individual who acted as a lobbyist in this issue area
First Name | Last Name | Suffix | Covered Official Position (if applicable) | New |
Kenneth |
Bentsen |
Jr. |
|
|
Matthew |
McGinley |
|
|
|
Michael |
Decker |
|
|
|
Lisa |
Bleier |
|
|
|
Bradley |
Edgell |
|
|
|
David |
Strongin |
|
|
|
Kevin |
Carroll |
|
|
|
Joseph |
Vaughan |
|
|
|
Kyle |
Brandon |
|
|
|
Carter |
McDowell |
|
|
|
Dave |
Oxner |
|
|
|
Melissa |
MacGregor |
|
|
|
Chris |
Killian |
|
|
|
Payson |
Peabody |
|
|
|
Andy |
Blocker |
|
|
|
Colleen |
Kaveney |
|
Staff Assistant, Sen. Roy Blunt, 2012 |
|
Colleen |
Kaveney |
|
Leg Correspondent, Sen. Roy Blunt, 2012-2014 |
19. Interest of each foreign entity in the specific issues listed on line 16 above Check if None
LOBBYING ACTIVITY. Select as many codes as necessary to reflect the general issue areas in which the registrant engaged in lobbying on behalf of the client during the reporting period. Using a separate page for each code, provide information as requested. Add additional page(s) as needed.
15. General issue area code TAX
16. Specific lobbying issues
H.R. 1 (Tax Reform Legislation);
H.R. 684 (Marketplace Fairness Act);
H.R. 789 (Build America Bonds Extension Act of 2013);
H.R. 797 (Municipal Advisor Oversight Improvement Act of 2013);
H.R. 798 (Workforce Investment Act of 2013);
H.R. 880 (Wall Street Trading and Speculators Tax Act);
H.R. 949 (Invest in American Jobs Act of 2013);
H.R. 1579 (Inclusive Prosperity Act of 2013);
H.R. 2788 (Mortgage Forgiveness Tax Relief Act);
H.R. 2994 (Mortgage Forgiveness Tax Relief Act of 2013);
H.R. 4429 (Permanent Active Financing Exception Act of 2014);
H.R. 4464 (Permanent CFC Look-Through Act of 2014);
S. 336 (Marketplace Fairness Act);
S. 410 (Wall Street Trading and Speculators Tax Act);
S. 743 (Marketplace Fairness Act);
S. 1187 (Mortgage Forgiveness Tax Relief Act);
S. 1257 (Protect American Investments Act of 2013);
S. 1706 (Fair Playing Field Act of 2013);
S. 2260 (EXPIRE Act of 2014);
Regulations implementing Internal Revenue Code Section 871(m);
Dodd-Frank Wall Street Reform and Consumer Protection Act Implementation;
U.S. and foreign Financial Transaction Tax Legislation Proposals;
Tax issues related to standardization of credit default swaps and derivatives transactions;
Extension of Active Financing Rules;
Administration's Financial Crisis Responsibility Fee;
Tax issues related to interest expense allocation;
Tax treatment of capital gains and dividends;
Tax classification of independent contractors;
Taxation of cross-border equity swaps;
Corporate tax reporting rules;
Tax reporting requirements for foreign financial institutions on certain foreign accounts;
Foreign Account Tax Compliance Act of 2010 (FATCA);
Extension of the Alternative Minimum Tax, tax exemption for private activity bonds;
Securities cost basis reporting regulations;
International tax reform;
United States individual and business taxation;
Preservation of tax incentives for retirement plans;
Tax extenders;
Municipal Advisor Regulation;
Cost-basis reporting regulations;
Issues related to standardization of derivatives transactions;
Tax Reform Act of 2014;
Issues related to proposals to impose an asset tax on financial institutions;
Issues related to proposals to limit the deductability of FDIC assessments;
Highway Trust Fund legislation;
Preserving America's Transit and Highways ("PATH") Act.
17. House(s) of Congress and Federal agencies Check if None
U.S. HOUSE OF REPRESENTATIVES, U.S. SENATE, Treasury - Dept of, Natl Security Council (NSC), Securities & Exchange Commission (SEC)
18. Name of each individual who acted as a lobbyist in this issue area
First Name | Last Name | Suffix | Covered Official Position (if applicable) | New |
Kenneth |
Bentsen |
Jr. |
|
|
Payson |
Peabody |
|
|
|
Carter |
McDowell |
|
|
|
Bradley |
Edgell |
|
|
|
Joseph |
Vaughan |
|
|
|
Michael |
Decker |
|
|
|
Matthew |
McGinley |
|
|
|
Dave |
Oxner |
|
|
|
Lisa |
Bleier |
|
|
|
David |
Strongin |
|
|
|
John |
Maurello |
|
|
|
Tracy |
Eichler |
|
|
|
Jillian |
Enoch |
|
|
|
Andy |
Blocker |
|
|
|
Colleen |
Kaveney |
|
Staff Assistant, Sen. Roy Blunt, 2012 |
|
Colleen |
Kaveney |
|
Leg Correspondent, Sen. Roy Blunt, 2012-2014 |
19. Interest of each foreign entity in the specific issues listed on line 16 above Check if None
LOBBYING ACTIVITY. Select as many codes as necessary to reflect the general issue areas in which the registrant engaged in lobbying on behalf of the client during the reporting period. Using a separate page for each code, provide information as requested. Add additional page(s) as needed.
15. General issue area code RET
16. Specific lobbying issues
H.R. 2035 (Automatic IRA Act of 2013);
H.R. 2117 (Retirement Plan Simplification and Enhancement Act of 2013);
H.R. 2374 (Retail Investor Protection Act);
H.R. 4619 (Permanent IRA Charitable Contribution Act of 2014);
S. 606 (SEAL Act);
House and Senate Sense of Congress Resolutions on Preserving Retirement Savings Tax Incentives;
DOL ERISA Fiduciary Duty Rulemaking;
DOL Advisory Opinion 2013-01A (Swaps and pension plans);
Partial rollovers;
Business Conduct Standards;
Tax reform (generally, relating to retirement);
Stretch IRA in Highway Trust Fund legislation;
Sen. Rubio's retirement proposals (draft).
17. House(s) of Congress and Federal agencies Check if None
U.S. HOUSE OF REPRESENTATIVES, U.S. SENATE, Treasury - Dept of, Labor - Dept of (DOL), Securities & Exchange Commission (SEC), Commodity Futures Trading Commission (CFTC), Executive Office of the President (EOP)
18. Name of each individual who acted as a lobbyist in this issue area
First Name | Last Name | Suffix | Covered Official Position (if applicable) | New |
Kenneth |
Bentsen |
Jr. |
|
|
Lisa |
Bleier |
|
|
|
Kyle |
Brandon |
|
|
|
Carter |
McDowell |
|
|
|
Matthew |
McGinley |
|
|
|
Joe |
Vaughan |
|
|
|
Michael |
Decker |
|
|
|
Bradley |
Edgell |
|
|
|
Dave |
Oxner |
|
|
|
Tracy |
Eichler |
|
|
|
Jillian |
Enoch |
|
|
|
John |
Maurello |
|
|
|
Andy |
Blocker |
|
|
|
Colleen |
Kaveney |
|
Staff Assistant, Sen. Roy Blunt, 2012 |
|
Colleen |
Kaveney |
|
Leg Correspondent, Sen. Roy Blunt, 2012-2014 |
19. Interest of each foreign entity in the specific issues listed on line 16 above Check if None
Information Update Page - Complete ONLY where registration information has changed.
20. Client new address
Address | |
||||||
City | |
State | |
Zip Code | |
Country | |
21. Client new principal place of business (if different than line 20)
City | |
State | |
Zip Code | |
Country | |
22. New General description of client’s business or activities
LOBBYIST UPDATE
23. Name of each previously reported individual who is no longer expected to act as a lobbyist for the client
|
|
||||||||
1 |
|
5 |
|
||||||
2 |
|
6 |
|
||||||
3 |
|
7 |
|
||||||
4 |
|
8 |
|
ISSUE UPDATE
24. General lobbying issue that no longer pertains
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
|
AFFILIATED ORGANIZATIONS
25. Add the following affiliated organization(s)
Internet Address: http://www.sifma.org/about/members/ ; http://www.sifma.org/about/divisions.shtml
Name | Address |
Principal Place of Business (city and state or country) |
||||||||||||
| ||||||||||||||
|
26. Name of each previously reported organization that is no longer affiliated with the registrant or client
1 | 3 | 5 |
2 | 4 | 6 |
FOREIGN ENTITIES
27. Add the following foreign entities:
Name | Address |
Principal place of business (city and state or country) |
Amount of contribution for lobbying activities | Ownership percentage in client | ||||||||||
| ||||||||||||||
|
% |
28. Name of each previously reported foreign entity that no longer owns, or controls, or is affiliated with the registrant, client or affiliated organization
1 | 5 | 9 |
2 | 6 | 10 |
3 | 7 | 11 |
4 | 8 | 12 |