H.R.682 - Stop Trading on Congressional Knowledge Act111th Congress (2009-2010)
|Sponsor:||Rep. Baird, Brian [D-WA-3] (Introduced 01/26/2009)|
|Committees:||House - Financial Services; House Administration; Judiciary; Agriculture; Standards of Official Conduct|
|Latest Action:||06/12/2009 Referred to the Subcommittee on the Constitution, Civil Rights, and Civil Liberties.|
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Summary: H.R.682 — 111th Congress (2009-2010)All Bill Information (Except Text)
Introduced in House (01/26/2009)
Stop Trading on Congressional Knowledge Act - Amends the Securities Exchange Act of 1934 and the Commodities Exchange Act to direct both the Securities and Exchange Commission (SEC) and the Commodity Futures Trading Commission (CFTC) to prohibit purchase or sale of either securities or commodities for future delivery by a person in possession of material nonpublic information regarding pending or prospective legislative action if the information was obtained: (1) knowingly from a Member or employee of Congress; (2) by reason of being a Member or employee of Congress; and (3) other federal employees.
Amends the Code of Official Conduct of the Rules of the House of Representatives to prohibit designated House personnel from disclosing material nonpublic information relating to any pending or prospective legislative action relating to either securities of a publicly-traded company or a commodity if such personnel has reason to believe that the information will be used to buy or sell the securities or commodity based on such information.
Amends the Ethics in Government Act of 1978 to require formal disclosure of certain securities and commodities futures transactions to either the Clerk of the House of Representatives or the Secretary of the Senate.
Amends the Lobbying Disclosure Act of 1995 to subject to its registration, reporting, and disclosure requirements, as well as requirements for identification of clients and covered legislative and executive officials, all political intelligence activities, contacts, firms, and consultants. Requires the Comptroller General to include political intelligence activities, contacts, firms, and consultants in its annual compliance audits and reports.