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This appears to be only the second public instance of DOJ conducting a criminal investigation of unregistered lobbying under the LDA, following Jack Abramoff’s guilty plea to that offense in June of this year.  The scarcity of LDA prosecutions is likely due in part to the high bar for criminal LDA prosecution generally, which requires “knowingly and corruptly” failing to comply with the Act.  The Act has civil penalties as well, which have occasionally been levied against particularly egregious violations.

But the opinion reveals another potential challenge to prosecuting LDA violations: registration is only required when the lobbyist spends twenty percent of his or her time for a particular client in any three month period on “lobbying activities” as defined in the LDA, and proving this could be challenging. As described in a footnote to Judge Howell’s opinion, “a prima facie showing of a purported violation of the LDA may be elusive because, as the government concedes,” there was insufficient evidence then available to show the allegedly unregistered lobbyists had reached the twenty percent threshold.  Moreover, the same footnote recognizes that there are nineteen exceptions from registration, including some “broad exceptions” that might apply on further fact-finding.

If this and the Abramoff case are the start of a trend towards more criminal LDA prosecutions, the opinion also reveals some of the challenges DOJ may face going forward.

Photo of Andrew Garrahan Andrew Garrahan

Andrew Garrahan represents and counsels clients at the intersection of law and politics. He guides them through both regulatory compliance issues and government investigations on matters including state and federal campaign finance, ethics, lobbying, and corruption, as well as in congressional investigations.

Andrew’s…

Andrew Garrahan represents and counsels clients at the intersection of law and politics. He guides them through both regulatory compliance issues and government investigations on matters including state and federal campaign finance, ethics, lobbying, and corruption, as well as in congressional investigations.

Andrew’s prior career in political fundraising gives him a unique perspective on the challenges faced by his clients, which include corporations, candidates, government officials, political and nonprofit organizations, and private individuals.

Andrew’s counseling and advisory practice includes:

  • guiding clients on structuring of and compliance for their state and federal lobbying and grassroots advocacy campaigns;
  • representing campaigns, Super PACs, corporations, trade associations, and individuals on the applicability of the Federal Election Campaign Act (FECA) and state campaign finance law;
  • counseling on Foreign Agents Registration Act (FARA) registration and disclosure, and its interaction with the Lobbying Disclosure Act (LDA);
  • helping companies comply with state and federal ethics laws, particularly on gifts and conflicts of interests, and domestic anticorruption; and
  • auditing corporate political law compliance practices.

Andrew’s investigations and defense work includes:

  • representing clients in Congressional investigations, including responding to letter requests and subpoenas;
  • preparing company officers and other individuals for testimony in Congressional investigative hearings;
  • defending clients in Department of Justice matters related to campaign finance, lobbying, ethics, and public corruption; and
  • representing clients before the FEC and state campaign finance, lobbying, and ethics regulators.