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All lobbying filings

COUNCIL OF INSTITUTIONAL INVESTORS

Lobbying for COUNCIL OF INSTITUTIONAL INVESTORS

 Filing 4th Quarter - Report
Reporting period
4th Quarter 2025
Oct 1 - Dec 31 · Posted Jan 8, 2026
Money reported
None
Registrations and no-activity reports carry no figure.
Client based in
District of Columbia

Official filing document

 Lobbyists on this filing 1
  • JEFFREY P MAHONEY
    Previously held: General Counsel

A "covered position" is a government job the lobbyist held in the 20 years before registering, which the law requires them to name. See the revolving door for former members of Congress across all filings.

 Government bodies contacted 1
  • Securities & Exchange Commission (SEC)

The chambers, agencies and offices the filer named. It does not say who inside them was contacted, or when.

 Lobbying activity 1
Financial Institutions/Investments/Securities

Dec. 30, 2025CII letter to SEC Chair on Rule 14a-8 Process Nov. 6, 2025CII letter to SEC Chair on forced shareowner arbitration clauses Oct. 22, 2025CII letter to SEC on Reg Flex Agenda, Attachment Oct. 10, 2025CII Letter to SEC on Nasdaq Proposed Rule Change, Attachment Sept. 18, 2025Remarks to SEC IAC on Reconsidering the Eligibility Criteria and Regulatory Treatment of Foreign Private Issuers Sept. 18, 2025CII letter to SEC on delay of PCAOB quality control standard Attachment 1: Letter from Jeffrey P. Mahoney, General Counsel, CII to Vanessa A. Countryman, Secretary, Securities and Exchange Commission (June 27, 2024). Attachment 2: Letter from Jeffrey P. Mahoney, General Counsel, CII to Ms. Phoebe W. Brown, Office of Secretary, PCAOB (Jan. 19, 2023) Sept. 4, 2025CII letter to SEC on FPI Eligibility Concept Release, Attachment

Source: federal Lobbying Disclosure Act filing, reproduced as filed. Bills are parsed from the activity descriptions.

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