Testimonies/Speeches
- May 16, 2012: “Implementing Title I of the Dodd-Frank Act: The New Regime for Regulating Systemically Important Nonbank Financial Institutions”.
- May 9, 2012: The changes to the structure and function of the business of banking.
- March 23, 2012: The Metropolitan Corporate Counsel: An Update From Washington
- March 28, 2012: “Accounting and Auditing Oversight: Pending Proposals and Emerging Issues Confronting Regulators, Standard Setters and the Economy" to the the Subcommittee on Capital Markets and Government Sponsored Enterprises.
- March 22, 2012: PCAOB's Hearing on Audit Firm Rotation.
- February 8, 2012: "Limiting the Extraterritorial Impact of Title VII of the Dodd-Frank Act" to the Capital Markets and Government Sponsored Enterprises Subcommittee of the House Committee on Financial Services.
- February 8, 2012: “Legislative Proposals to Promote Accountability and Transparency at the Consumer Financial Protection Bureau” to the Subcommittee on Financial Institutions and Consumer Credit of the Committee On Financial Services U.S. House of Representatives.
- February 1, 2012: Uncharted Territory: What are the Consequences of President Obama’s Unprecedented “Recess” Appointments? to the House Committee on Oversight and Government Reform.
- Jan. 18, 2012: Examining the Impact of the Volcker Rule on Markets, Business, Investors and Job Creation to The Subcommittee on Capital Markets and Government Sponsored Enterprises and the Subcommittee on Financial Institutions and Consumer Credit
- July 28, 2011: “Open for Business: The Impact of the CFPB on Small Business” To the U.S. House Small Business Committee Subcommittee on Investigations, Oversight and Regulations.
- July 19, 2011 " Enhanced Consumer Financial Protection After the Financial Crisis " Hearing Before The Committee on Banking, Housing, and Urban Affairs, United States Senate
- July 14, 2011: Hearing entitled “Oversight of the Office of Financial Research and the Financial Stability Oversight Council” to Subcommittee on Oversight and Investigations, U.S. House of Representatives
- May 11, 2011: "Legislative Proposals to Address the Negative Consequences of the Dodd-Frank Whistleblower Provisions" to U.S. House Subcommittee on Capital Markets and Government Sponsored Enterprises
- May 24, 2011- ““Who’s Watching the Watchmen? Oversight of the Consumer Financial Protection Bureau”to U.S. House Subcommittee on TARP, Financial Services, and Bailouts of Public and Private Programs
- April 6, 2011 – The Role of the Accounting and Auditing Profession in Preventing Another Financial Crisis to the U.S. Senate Subcommittee on Securities, Insurance, and Investment By Tom Quaadman of the U.S. Chamber of Commerce
- April 6, 2011 – Legislative Proposals to Improve the Structure of the Consumer Financial Protection Bureau to the U.S. House Subcommittee on Financial Institutions and Consumer Credit By Jess Sharp of the U.S. Chamber of Commerce
- March 2, 2011 – The Effect of Dodd-Frank on Small Financial Institutions and Small Businesses to the House Sub-Committee on Financial Institutions & Consumer Credit By Jess Sharp of the U.S. Chamber of Commerce.
- October 7, 2010 – The Regulatory Tsunami–How a Tidal Wave of Regulations Is Drowning America to the The Des Moines Rotary Club by Thomas J. Donohue, President and CEO, U.S. Chamber of Commerce
- September 30, 2009 – Oral Testimony on Perspectives on the Consumer Financial Protection Agency to the House Committee on Financial Services by Andy Pincus, Partner, Mayer Brown LLP
- September 23, 2009 – Oral Testimony on the Consumer Financial Protection Agency impact on small business by David Hirschmann, President and Chief Executive Officer, CCMC
- June 2, 2009- CEO Leadership Series Remarks by Robert Greifeld, Chief Executive Officer, NASDAQ OMX Group, Inc.
- May 19, 2009 – Money Market Funds: Weathering the Financial Crisis by The Honorable Harvey Pitt, Former Chairman, U.S. Securities and Exchange Commission
- December 12, 2007 – Oral Testimony on Sarbanes-Oxley Section 404: New Evidence on the Cost for Small Companies by Michael J. Ryan, Jr., Executive Director and Senior Vice President, CCMC
- September 28, 2007 - America's Capital Markets: An Agenda for Continued Success by Thomas J. Donohue, President and CEO, U.S. Chamber of Commerce to the Equites Magazine Conference at the NASDAQ Stock Exchange Marketsite
- April 27, 2007 – Bunkenroad Reports Conference by David Chavern, SVP and COO, U.S. Chamber of Commerce
- March 14, 2007 – First Annual Capital Markets Summit: Securing America's Competitiveness by Thomas J. Donohue, President and CEO, U.S. Chamber of Commerce
- March 7, 2006 – Oral Testimony on Attorney-Client Privilege by Thomas J. Donohue President and CEO, U.S. Chamber of Commerce to the House Judiciary Committee Subcommittee on Crime, Terrorism, and Homeland Security
- March 29, 2006 – Fostering Accuracy and Transparency in Financial Reporting by David Hirschmann, Senior Vice President, U.S. Chamber of Commerce to the House Committee on Financial Services Subcommittee on Capital Markets, Insurance and Government Sponsored Enterprises
- April 21, 2006 – Shareholder Activism: The Good, The Bad, And The Ugly by Thomas J. Donohue, President and CEO, U.S. Chamber of Commerce to the Equities Magazine Conference
- September 12, 2006 – Oral Testimony on Attorney-Client Privilege by Thomas J. Donohue, President and CEO, U.S. Chamber of Commerce to the Senate Judiciary Committee