{"url":"https://lda.gov/api/v1/filings/b556569e-6e03-4ff0-b951-32158d90a088/","filing_uuid":"b556569e-6e03-4ff0-b951-32158d90a088","filing_type":"Q1","filing_type_display":"1st Quarter - Report","filing_year":2025,"filing_period":"first_quarter","filing_period_display":"1st Quarter (Jan 1 - Mar 31)","filing_document_url":"https://lda.gov/filings/public/filing/b556569e-6e03-4ff0-b951-32158d90a088/print/","filing_document_content_type":"text/html","income":"20000.00","expenses":null,"expenses_method":null,"expenses_method_display":null,"posted_by_name":"Scott A. Sinder","dt_posted":"2025-04-19T13:12:49-04:00","termination_date":null,"registrant_country":"United States of America","registrant_ppb_country":null,"registrant_address_1":"1330 CONNECTICUT AVE., NW","registrant_address_2":null,"registrant_different_address":false,"registrant_city":"WASHINGTON","registrant_state":"DC","registrant_zip":"20036","registrant":{"id":36710,"url":"https://lda.gov/api/v1/registrants/36710/","house_registrant_id":31033,"name":"STEPTOE LLP","description":"Law Firm.","address_1":"1330 Connecticut Avenue NW","address_2":null,"address_3":null,"address_4":null,"city":"Washington","state":"DC","state_display":"District of Columbia","zip":"20036","country":"US","country_display":"United States of America","ppb_country":"US","ppb_country_display":"United States of America","contact_name":"JASON ABEL","contact_telephone":"+1 202-429-6297","dt_updated":"2026-07-30T12:01:37.968766-04:00"},"client":{"id":145637,"url":"https://lda.gov/api/v1/clients/145637/","client_id":1001783,"name":"NATIONAL ASSOCIATION OF INSURANCE AND FINANCIAL ADVISORS","general_description":null,"client_government_entity":false,"client_self_select":null,"state":null,"state_display":null,"country":"","country_display":"* Undetermined","ppb_state":null,"ppb_state_display":null,"ppb_country":"","ppb_country_display":"* Undetermined","effective_date":"2007-08-14"},"lobbying_activities":[{"general_issue_code":"INS","general_issue_code_display":"Insurance","description":"Issues relating to financial services regulatory reform and NARAB II; Office of National Insurance Act; Broker-Dealer/Investment Advisor Standard of Care Harmonization; Department of Labor proposed fiduciary duty of care rules and SEC Best Interest Rule.","foreign_entity_issues":"","lobbyists":[{"lobbyist":{"id":10129,"prefix":null,"prefix_display":null,"first_name":"SCOTT","nickname":null,"middle_name":null,"last_name":"SINDER","suffix":null,"suffix_display":null},"covered_position":null,"new":false},{"lobbyist":{"id":113786,"prefix":null,"prefix_display":null,"first_name":"CARISA","nickname":null,"middle_name":null,"last_name":"MCLANEY","suffix":null,"suffix_display":null},"covered_position":null,"new":false},{"lobbyist":{"id":140434,"prefix":null,"prefix_display":null,"first_name":"NICK","nickname":null,"middle_name":null,"last_name":"SUTTER","suffix":null,"suffix_display":null},"covered_position":null,"new":false}],"government_entities":[{"id":2,"name":"HOUSE OF REPRESENTATIVES"},{"id":88,"name":"Securities & Exchange Commission (SEC)"},{"id":1,"name":"SENATE"}]}],"conviction_disclosures":[],"foreign_entities":[],"affiliated_organizations":[]}