MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
1295 STATE STREET SPRINGFIELD, MA 01111-0001 USA |
Lobbying on the following issues:
FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES INSURANCE RETIREMENT TAXATION/INTERNAL REVENUE CODE Issues related to a potential SEC best interest standard. Issues related to "Terrorism Risk Insurance Act" (TRIA) reauthorization. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Legislation on independent contractors. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - H.R. - 1994 - the Setting Every Community Up for Retirement Enhancement Act of 2019 S. 972, the Retirement Enhancement and Savings Act - H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name : Sofidiv S.A.S.Country : FRANCEContribution : $0 - Foreign Entity Name : LVMH Moet Hennessy Louis Vuitton SECountry : FRANCEContribution : $0 - |
Lobbying on the following issues:
INSURANCE FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES RETIREMENT TAXATION/INTERNAL REVENUE CODE Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - H.R. 10 - Financial CHOICE Act H.R. 3857 - PASS Act of 2017 Issues related to a potential SEC best interest standard. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - H.R. - 1994 - the Setting Every Community Up for Retirement Enhancement Act of 2019 S. 972, the Retirement Enhancement and Savings Act - H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. The U.S. Treasury Departments debt-equity rule, Section 385. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name: Swiss Reinsurance Company LtdCountry : SWITZERLANDContribution : $0 |
Lobbying on the following issues:
FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES INSURANCE RETIREMENT TAXATION/INTERNAL REVENUE CODE H.R. 10 - Financial CHOICE Act Issues related to a potential SEC best interest standard. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - S. 3471 - The "Retirement Enhancement and Savings Act of 2016" H.R. 4610 / S. 3417 (114th)- "Receiving Electronic Statements To Improve Retiree Earnings Act (RETIRE) Act" H.R. 4524 - "Retirement Plan Simplification and Enhancement Act of 2017" H.R. 6757 - "The Family Savings Act of 2018" Dept. of Labor, final rule adding Section 2520.104(b)-1(c) - Electronic Distribution of Disclosures Required by Title 1 of ERISA, 75 FR 19285 (4/7/11). Dept. of Labor, final rule amending Section 2509, 2510, and 2550 - Definition of term "fiduciary"; conflict of interest rule - retirement investment advice (4/8/16). Dept. of Labor proposed rule amending Section 2550.404a-4 - Selection of Insurers to provide guaranteed retirement income- safe harbor for individual account plans. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. - H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. The U.S. Treasury Departments debt-equity rule, Section 385. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name: Mikhail KokorichCountry : RUSSIAN FEDERATIONContribution : $0 |
Lobbying on the following issues:
FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES INSURANCE RETIREMENT TAXATION/INTERNAL REVENUE CODE Issues related to a potential SEC best interest standard. Issues related to "Terrorism Risk Insurance Act" (TRIA) reauthorization. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - H.R. - 1994 - the Setting Every Community Up for Retirement Enhancement Act of 2019 S. 972, the Retirement Enhancement and Savings Act - H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name : Fiat Chrysler Automobiles N.V.Country : UNITED KINGDOMContribution : $0 - Foreign Entity Name : FCA Holdco B.V.Country : UNITED KINGDOMContribution : $0 - Foreign Entity Name : FCA North American Holdings LLCCountry : USAContribution : $0 - |
Lobbying on the following issues:
TAXATION/INTERNAL REVENUE CODE FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES RETIREMENT INSURANCE H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. - Issues related to a potential SEC best interest standard. Issues related to "Terrorism Risk Insurance Act" (TRIA) reauthorization. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Legislation on independent contractors. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - H.R. - 1994 - the Setting Every Community Up for Retirement Enhancement Act of 2019 S. 972, the Retirement Enhancement and Savings Act - Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name : LVMH Moet Hennessy Louis Vuitton SECountry : FRANCEContribution : $0 - Foreign Entity Name : Sofidiv S.A.S.Country : FRANCEContribution : $0 - |
Lobbying on the following issues:
RETIREMENT INSURANCE TAXATION/INTERNAL REVENUE CODE FINANCIAL INSTITUTIONS/INVESTMENTS/SECURITIES H.R. - 1994 - the Setting Every Community Up for Retirement Enhancement Act of 2019 S. 972, the Retirement Enhancement and Savings Act - Monitor implementation of the Federal Reserves insurance capital standards (Sec. 171 of the Dodd-Frank Act); HR 10, the Financial CHOICE Act; international insurance legislation; legislation in relation to Systemically Important Financial Institutions; negotiations involving insurance covered agreements; issues relating to the application of capital standards on globally active insurance companies; legislation relating to Section 913 in the Dodd-Frank Act. - H.R. 1, an act to provide for reconciliation pursuant to titles II and V of the concurrent resolution on the budget for fiscal year 2018. - Issues related to a potential SEC best interest standard. General issues relating to cyber security. General issues relating to data breaches and data security. Financial Services and General Government Appropriations Act, 2017. Legislation in relation to Systemically Important Financial Institutions. Issues related to SEC mutual fund disclosures. Department of Treasury, IAIS Common Framework for the Supervision of Internationally Active Insurance Groups. "The Dodd-Frank Wall Street Reform and Consumer Protection Act", P.L. No. 111-203 - Regulatory implementation of provisions relating to insurance companies. Presidential Memorandum on Fiduciary Duty Rule, February 03, 2017. Presidential Executive Order on Core Principles for Regulating the United States Financial System, February 3, 2017. Presidential Memorandum on Regulatory Freeze pending review, January 20, 2017. - Lobbyists: WEISS, ALISONBROWN, JUSTINSONNE, JAMES
Foreign Entities: Foreign Entity Name: AES-3C Maritza EastCountry : BULGARIAContribution : $32,622 |
Money Spent:
Amount | Client | Government Entities |
---|
$860,000
Apr 20, 2020
FIRST QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)
$790,000
Apr 22, 2019
FIRST QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)
$710,000
Jan 28, 2019
FOURTH QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)
$700,000
Oct 21, 2019
THIRD QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)
$660,000
Jan 21, 2020
FOURTH QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)
$580,000
Jul 22, 2019
SECOND QUARTER REPORT
MASSACHUSETTS MUTUAL LIFE INSURANCE COMPANY
HOUSE OF REPRESENTATIVESFederal Reserve SystemSecurities & Exchange Commission (SEC)Treasury, Dept ofLabor, Dept of (DOL)SENATECommodity Futures Trading Commission (CFTC)