The Anatomy of Public Corruption

Office of the Whistleblower

Office of the Whistleblower

Whistleblower Protections

Protections Against Retaliation



The Dodd-Frank Wall Street Reform and Consumer Protection Act expanded the protections for whistleblowers and broadened the prohibitions against retaliation.  Following the passage of Dodd-Frank, the SEC implemented rules that enabled the SEC to take legal action against employers who have retaliated against whistleblowers.  This generally means that employers may not discharge, demote, suspend, harass, or in any way discriminate against an employee in the terms and conditions of employment because the employee reported conduct that the employee reasonably believed violated the federal securities laws.
Dodd-Frank also created a private right of action that gives whistleblowers the right to file a retaliation complaint in federal court.  This means that if you are a whistleblower who has reported a possible securities law violation and believe you have been retaliated against because of your report, you may be able to sue your employer in federal court and seek double back pay (with interest), reinstatement, reasonable attorneys’ fees, and reimbursement for certain costs in connection with the litigation. 
You can find more information about the Dodd-Frank whistleblower protections, including the time period by which a whistleblower must file a private action in federal court, in Section 922 of the Dodd-Frank Act.
If you believe you have been retaliated against by your employer for reporting a potential securities law violation and want to let us know, you may do so by submitting a tip either through our online portal or by mail or fax.

Protections Against Actions Taken to Impede Reporting



In addition to protecting whistleblowers who have reported possible securities law violations from retaliation, Commission Rule 21F-17(a) prohibits any person from taking any action to prevent you from contacting the SEC directly to report a possible securities law violation.  The Rule states “[n]o person may take action to impede an individual from communicating directly with the Commission staff about a possible securities law violation, including enforcing, or threatening to enforce, a confidentiality agreement…with respect to such communications.” 
Unlike the anti-retaliation protections, the protections against actions taken to impede reporting possible securities law violations are not limited to the employee-employer context.  Only the SEC, however, may file an enforcement action for a violation of Rule 21F-17(a).
Please let us know by submitting a tip if you believe that someone has taken any action to prevent you from communicating with the SEC concerning a possible securities law violation.  

Frequently Asked Questions



The answers to these frequently asked questions represent the views of the staff of the Office of the Whistleblower. They are not rules, regulations or statements of the Securities and Exchange Commission. Further, the Commission has neither approved nor disapproved them. These FAQs provide short general summaries of certain key features of the SEC Whistleblower Program and do not purport to be a complete or comprehensive discussion of all of its provisions. For detailed information about the program, including eligibility requirements and certain limitations that apply, please see Section 922 of the Dodd-Frank Wall Street Reform and Consumer Protection Act and the Final Rules implementing the program.
  1. What rights do I have if my employer fires me or retaliates against me for submitting information to the SEC?
You may bring an action in federal court within a certain time period if your employer violates the anti-retaliation provisions of Dodd-Frank.  If you are successful in court, you may be entitled to reinstatement, double back pay, litigation costs, expert witness fees, and attorneys’ fees.
The anti-retaliation protections generally apply to employees who report information regarding possible violations of the federal securities laws.  Among other things, these protections provide that an employer may not discharge, demote, suspend, threaten, harass, or in any way discriminate against a whistleblower in the terms or conditions of employment for:
  • Providing information to the SEC under the whistleblower program, or
  • Initiating, testifying in, or assisting the SEC in any investigation or proceeding
In addition, the SEC may also bring an enforcement action against a company that violates the anti-retaliation provisions of Dodd-Frank. 
You may also be able to file a retaliation complaint in federal court under Section 806 of the Sarbanes-Oxley Act of 2002 (“SOX”).  You can find information about your rights and protections under SOX on the Department of Labor’s whistleblower website
  1. I’m considering reporting internally to my company. Will I still be eligible for the anti-retaliation protections under Dodd-Frank?
With the passage of Dodd-Frank, Congress amended the Exchange Act to add Section 21F, which established a series of new incentives and protections for individuals to report possible violations of the federal securities laws, including enhanced employment retaliation protections.  
On February 21, 2018, the United States Supreme Court issued an opinion in Digital Realty Trust, Inc. v. Somersstating that the Dodd-Frank anti-retaliation provisions only extend to those persons who provide information relating to a violation of the securities laws to the SEC.  To understand how this may affect you, we encourage you to consult with an attorney.
If you choose to report a possible securities law violation internally to your company, you also can report that information directly to the SEC either before or at the same time as reporting internally.  If you have already reported to the company, you can still report to the Commission now. 
Regardless of whether the anti-retaliation protections extend to you, you may remain eligible for an award under our whistleblower award program. We encourage you to provide information about potential securities law violations to the SEC by submitting a tip. 
  1. What if I am asked to sign an agreement that prevents me from reporting my concerns directly to the SEC?
Such an agreement may violate the federal securities laws.  Rule 21F-17(a) provides that “[n]o person may take any action to impede an individual from communicating directly with the Commission staff about a possible securities law violation, including enforcing or threatening to enforce a confidentiality agreement…with respect to such communications.”
If you have been asked to sign such an agreement, or have already signed such an agreement, and want to understand how the rules may apply to you, we encourage you to consult with an attorney.  You may also send us a copy of your agreement, if you so choose, by submitting it as a tip either through our online portal or by mail or fax.
  1. Do the anti-retaliation protections apply overseas?
Dodd-Frank does not specifically state whether, or to what extent, the anti-retaliation protections apply to individuals or conduct outside of the United States.  To understand if the anti-retaliation protections may apply to you, we encourage you to consult with an attorney. We encourage you to submit a tip to the SEC if you believe you have been retaliated against for reporting potential securities law violations even if the retaliation occurred outside of the United States. 
Regardless of whether the Dodd-Frank anti-retaliation protections extend to you, you may remain eligible for an award under our whistleblower award program.  You do not need to reside or work in the United States to be eligible for an award under our whistleblower award program.  

SEC Enforcement Actions



The SEC has brought a number of actions based on both retaliatory conduct, as well as actions taken to impede reporting.
Enforcement Actions Based on Retaliatory Conduct
In the Matter of SandRidge Energy, Inc., File No. 3-17739 (December 20, 2016)
In the Matter of International Game Technology, File No. 3-17596 (September 29, 2016)
Enforcement Actions Based on Actions Taken to Impede Reporting
In the Matter of Homestreet, Inc. and Darrell Van Amen, File No. 3-17801 (January 19, 2017)
In the Matter of Blackrock, Inc., File No. 3-17786 (January 17, 2017)
In the Matter of SandRidge Energy, Inc., File No. 3-17739 (December 20, 2016)
In the Matter of NeuStar, Inc., File No. 3-17736 (December 19, 2016)
In the Matter of Anheuser-Busch InBev SA/NV, File No. 3-17586 (September 28, 2016)
In the Matter of Health Net, Inc., File No. 3-17396 (August 16, 2016)
In the Matter of BlueLinx Holdings Inc., File No. 3-17371 (August 10, 2016)
In the Matter of KBR, Inc., File No. 3-16466 (April 1, 2015)

Retaliation News

Internal Reporting Amicus Briefs



The SEC has intervened in several private cases to argue that the anti-retaliation protections of Dodd-Frank should apply to individuals who internally report potential securities laws violations as well as to those who make disclosures directly to the SEC.  However, on February 21, 2018, the United States Supreme Court issued an opinion in Digital Realty Trust, Inc. v. Somers stating that the Dodd-Frank anti-retaliation provisions only extend to those persons who provide information relating to a violation of the securities laws to the SEC.  
Court of Appeals
The SEC maintains a listing of the amicus briefs filed in the Courts of Appeals.
District Courts
The below is a listing of some of the amicus briefs filed by the SEC in the District Courts:

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Federal Reserve Board of Governors

Federal Reserve Board of Governors


One day many years ago Pete Bennett owner of Mainframe Designs Cabinets & Fixtures endured a life changing traumatic brain injury (TBI) while spending five days in a semi-coma.  

When he woke up he asked what time is it? His finance said you're looking at the clock then he asked for something to eat they brought him Vanilla Frozen Yogurt.  He said this is plain they said no it's Vanilla. A few months later he's at his favourite BBQ - he orders Prime Rib.  He asks the waiter for more sour cream - everyone starts laughing as the empty horseradish dish was sitting next to the untouched sour cream.  

The byproduct of all that became a brain sorting process requiring him to be constantly validating, checking, verifying by constantly re-validating, re-checking, and re-verifying.  

In 1987 Bennett filed suit against Southern Pacific (Bennett v. Southern Pacific), but 1989 his business was floundering, his customers waning away, his business was under assault and his health was dealt a potentially deadly blow when someone sub letting his equipment  mounted a grinding stone on his Shaper.   Bennett turned on the shaper to test the collet. 

Ten seconds later his hand was blown apart.  Struggling with the head trauma, lacking care and support unknown at the time he was struggling with post trauma issues.  

In the prior weeks he had connected with Neuro-care located in Concord CA.  Ironically his first appointment was the days away but his hand was ultimately saved by Dr. Gustavan of Los Lomas Orthopedic. 

His business did not survive the relentless attacks of tickets, fines, fires, auto theft and a series of incidents such late night gun battles, the murder of his friend Cynthia Kempf killed by officer Bergen in 1988.  

In 2011 Bennett's sons walked into the arms Walnut Creek Officer Kevin Keeler never to been seen again.  Their mother and grandmother resided Holly Hills Mobile Home Park located just off S. Libby Drive in Paradise CA.

Their mobile home was likely burnt to the ground before 7:00 AM during the deadly fire that destroyed the town of Paradise on November 9th, 2018.  

Just week earlier Bennett was beaten by a guard protecting children at the Contra Costa Library but more important is the connection between the Contra Costa Library and Butte County library as Bennett's ex-wife works at the Butte System and the Contra Costa Library System fired a senior employee whose husband was a former BART officer.  

In 2007, her husband committed suicide in Alameda County then a local east bay Mormon family was murdered in March 2008.  

Another Federal Reserve event is the 1987 bank robbery connected to Delta Pacific Bank then owned by Albert D. Seeno Sr. where Bennett's business accounts were located.  He was there just before the bank robbery and just after.  

The Seeno's are connected to Blackhawk founder Ken Behring whose son died of an overdose, and his corporation president Attorney Tom Van Vhooris son has been missing since 2011 almost to the month that Allison Bayliss vanished. 

In most counties kidnapping, parental abduction and missing persons are a crime but he has not seen his sons since July 5th, 2011.  

He did not know when he handed his sons to Walnut Creek Police Officer Kevin Keeler that was handing off his sons trained by former FBI Agent Frank Doyle Jr. whose lifetime career includes Lockerbie PanAm, the Judi Bari Bombing, The 1993 World Trade Center Bombing, The OKC Bombing, The 1996 TWA-800 and near enough to the missing munitions during the late night theft located at the San Pablo armory.  

Known to everyone on the street knew all along that theft included 850 M-16s, Military Grade C-4 and SAMS.   

That was 1989 just around the time the Safeway warehouse fire who like magic CEO Steve Burd's former employer was ready 

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CONTRA COSTA WATCH


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CONTRA COSTA WATCH

Where's the Beef?
Pete Bennett former well paid software contractor now homeless, consistently beaten, attacked and with a clear pattern of witness murders.

His former clients subject to SEC Rules and Regulations
PG&E, SBC, AT&T, B of A, Wells Fargo, Comerica, Contra Costa County, Symantec, GE Nuclear, Seeno Construction, Alberto Culver and my former clients around the country.

  • Domestic Terrorism Breaches
  • Coincidental Deaths
  • Extortion, Racketeering and Arson

Attempted Murder 2011
Jurisdiction: Lafayette Police
On July 20th, 2011 my car was totaled by a retired San Francisco Lieutenant living in Pleasant Hill and on April 18th 2012 the brother in-law of my attorney was murdered a few after the Metcalf Station Sniper Attack


CNET SCANDAL

This police corruption story would have been stopped via Bennett v. Collins in 2004, but a 2004 Truck arson fire precedes two deadly Bay Area Gas Pipeline Explosions causing 13 deaths, and several billion in damages might have been averted because Bennett after knowing the depth of CNET and Butler activities realized that Benny Chetcuti Jr sister was married to Butler, then connecting other known East Bay Fires discovered Butler and Chetcuti's business deals were connected to Albert Seeno Construction and Discovery Homes.
Your here now!
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The INCONVENIENT TRUTH

A Real Story

In 2004 a series of attacks began right around when my divorce began and in 2011 they arrested then later convicted many Police Officers.
The story that many have forgotten to most, the convictions, the scandal and the lies but many were left devastated economically, many lost millions and the story is more than divorce as it leads to Probate, Investment Firms and Real Estate.
All of these public officials have heard from me but they're in charge so when your family gets killed see how it works out. State: Desaulnier, Skinner, McNerny, Jerry Hill (San Mateo),
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