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Judicial Watch • Andrew Hanen Scott – 2010

Andrew Hanen Scott – 2010

Andrew Hanen Scott – 2010

Page 1: Andrew Hanen Scott – 2010

Category:Federal Judges

Number of Pages:13

Date Created:September 11, 2013

Date Uploaded to the Library:October 28, 2014

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Go~ermnent Act 1978 ev. 1/2011 
FOR CALENDAR YEAR 2010 U.S.C app. ~,~ 101-111) Person Reporting (last name, first, middle initial) Court Organization Date Report 
Hanen, Andrew 	United States District Court Texas 05/12/201 Title (Article III judges indicate active senior status; 	5a. Report Type (check appropriate Dpe) Reporting Period magistrate judges indicate full- part-time) Nomination, Date Ol/OI/2010 United States District Judge Active Initial Annual Final 
12/31/2010 
5b. Amended Report Chambers Office Addrt~s the basis the information contained this Report and any 
modifications pertaining thereto, is, opinion, compliance 
 
,,~th applicable laws and regulations. 
United States District Courthouse 
600 Harrison St., #301 
Brownsville, Texas 78520 
 
RevievHng Officer 	Date 
IMPORTANT NOTES: The instructions accompanying this form must followetL Complete all parts, checking the NONE box for each part where you have reportable information. Sign last page. POSITIONS. mepo.ing individual only; see pp. 9-13 filing instructions.) 	NONE (No reportable positions.) POSITION NAME ORGANIZATION/ENTITY 
 
 
II. AGREEMENTS. (Reporting indivldual only; seepp. 14-16 filing instructions.) NONE (No reportable agreements.) 
 
DATE 	PARTIES AND TERMS 
Hanen, Andrew 
Name Person Reporting 	Date Report 
II1. NON-INVESTMENT INCOME. tRepo.ing individual and xpouse; seepp. 17-24 filing instructions.) Filers Non-Investment Income NONE (No reportable non-investment income.) 
 
DATE 	SOURCE AND TYPE INCOME 
(yours, not spouses) Spouses Non-Investment Income -If j.ou were married during any portion the reporting year, complete this section. 
(Dollar amount not required except for honoraria.) 
NONE (No reportable non-investment income.) 
 
 
DATE 	SOURCE AND TYPE 
 
 
IV. REIMBURSEMENTS -transportation, lodging, food, entertainmenL 
(Includes those spouse and dependent children; see pp. 25-27 filing instructions.) NONE (No reportable reimbursements.) SOURCE DATES LOCATION PURPOSE ITEMS PAID PROVIDED 	State Bar Texas 7/23/I San Antonio, Texas CLE Speaker Mileage 	 
Southern District Bench Bar 8/18/10 8/19/10 Corpus Christi, Texas CLE Speaker Hotel, Fuel, Meals 
Bankruptcy Conference Trust 	 
State Bar Texas 8/26/10 -8/27/10 Dallas, Texas CLE Speaker Hotel, Airfare, Fuel, Taxi, Parking, Meals 	 
State Bar Texas 10/22/I Houston, Texas CLE Speaker Airfare, Taxi, Parking GIFTS. ancludes those spouse and dependent children; see pp. 28-31 filing instructions.) NONE (No reportable g~s.) SOURCE DESCRIPTION VALUE 
VI. LIABILITIES. and.des those spo.se and dependent children; see pp. 32-33 filing instructions.) NONE (No reportable liabilities.) CREDITOR DESCRIPTION VALUECODE 
 
 
 
05/12/2011 
VII. VESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; seepp. 34-60 filing instructions.) 
NONE (No reportable income, assets, transactions.) 
Transactions during reporting period (including trust assets) reporting period reporting period 
Description Assets Income during Gross value end 
(t) (2) (I) (2) (2) (3) (4) (5) 
Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/dd/yy Code Code buyer/seller (A-H) int,) (J-P) Code redemption) (J-P) (A-H) (if private 
(Q-W) 	transaction) 
Place (X) after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain IRA Account Interest 
-Treasury Strips 
-Chase Retirement Money Mkt Reserves 
 
 
(See Note 
IRA Account 	Dividend 
-Merrill Lynch Money Mkt. Reserves 
-Aberdeen Developing (See Note 	Buy 03/12/10 
-Aberdeen Developing 	Buy 08/09/10 	 
-Aberdeen Developing Sold 09/28/10 (part) 
-Aberdeen Equity 	Sold 08/09/10 
 
10. 
-Blackrock Global 	Buy 09/28/10 
 
 
II. -Blackrock lnt Opp 	Sold 08/09/10 
12. 	 
-CalamosConvertible Bond Sold 03/12/10 (part) 
 
13. 
-Calamos Convertible Bond 	Sold 08/09/10 
 
14. 
-First Eagle 	Buy 08/09/10 
 
15. 
-First Eagle 	Buy 09/28/10 
 
16. 
-Hartford Capital 	Buy 03/12/10 
 
17. 
-Hartford Capital 	Sold 09/28/10 Income Gain Codes: =$1,000 less =$1,001 $2,500 =$2,50i $5,000 :$5,001 $15,000 =$15,001- $50,000 (See Columns and D4) =$50,0~1 SI00.000 =$100.001 $1,000,000 =$1,00~.001 $5,009.090 :More than $5,000,000 
Value Codes =$15.0~O less =$15,001 $50,000 =$50,0~1 $100,0~ =$100.001 $250.000 
(see Columns and D3) =$250.001 $500,000 =$500,001 $1,000,000 1,000,001 5,000,000 =$5,000,001 $25,000.000 -$25.0,90.0(11 $50.000.000 =More Ihan $50.000,000 
Value Method Code~ =Apprai~l -Cost (Real Estate Only) =As-.cssmcnt =Cash Market 
(see Column C2) =Book Value =Olher =Estimated 
 
 
 
Name Person Reporting 	Date Report 
 
 
 
05/12/2011 INVESTMENTS and TRUSTS -income, ,,alue, transactions (Includes those spouse and dependent children; seepp. 34-60 filin# instructions.) 
NONE (No reportable income, assets, transactions.) 
Description Asscts Income during Gross value end Transactions during reporting period (including trust assets) reporting period repoaing period (2) (2) (3) (4) (5) (2) Place (X) after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/dd/yy Code Code buyer/seller (A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
18. 
-Ivy Asset Strategic 	Buy 03112/10 
 
19. 	 
-Ivy Asset Strategic Sold 09/28/10 (part) 
 
20. 	 
-Janus Forty Sold 08/09/I (part) 
 
21. 
-Janus Forty 	Buy 09/28/10 
 
22. 
-Janus Overseas Fund 	Buy 03112/I 
 
23. 
-Janus Overseas Fund 	Buy 08/09/I 
 
24. 	 
-Janus Overseas Fund Sold 09/28/I (part) 
 
25. 
-Jennison Natural (See Note 	Buy 03/12/10 
 
26. 	 
-Jennison Natural Sold 09/28/I (part) 
 
27. 
-John Hancock Global 	Buy 03/12/10 
 
28. 
-John Hancock Global 	Buy 08/09/I 
 
29. 	 
-John Hancock Global Sold 09/28/I (part) 
 
30. 	 
-Loomis Sayles Strategic Sold 03/12/10 (part) 
 
31. 
-Loomis Sayles Strategic 	Buy 09/28/10 
 
32. 
-LordAbbett Bond 	Sold 03/12/10 
 
33. 
-Oakmark Intl. 	Buy 03/12/10 
 
34. 
-Oakmark Intl. 	Buy 08/09/I Income Gain Codes: =$1,000 less =$1.001 $2.500 =$2,501 -=$5,001 $15,000 =$15,001 $50,000 (See Columns and D~) =$50,001 $100,000 -$100,0OI $1.000.000 1,000,001 $5,000,0OO =More than $5,000,000 Value Codes =$15.0OO less =$15,001 $50.000 =$50,0OI =$100,001 $250,000 
{see Columns and D3) =$250.0OI $500,~OO $500.001 1,000.0~0 =$1,000,001 $5,000,000 =$5,000,001 S25,0~0,000 =$25,000,0OI $50,000.000 =More than $50,000,000 
 
=Cash Market 
1see Column C2) =Book Value =Estimalcd Value Method Codes =Appraisal =Cost (Real E~.tate Only) =Assessment =Olhcr 
Hanen, Andrew 	05/I 2/201 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; seepp. 34-60 filing instructions.) 
[~] NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period (including trust assets) reporting period reporting period 
(I) (2) (I) (2) (i) (2) (3) (4) (5) Place IX) after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/dd/yy Code Code buyer/seller 
(A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
35. 
-Oakmark Intl. 	Sold 09/28/I 
 
36. 
-Putnam Diversified 	Sold 03/12/10 
 
 
(part) 
37. 
-Putnam Diversified 	Buy 09/28110 
 
38. 
-Putnam Voyager 	Buy 03112/10 
 
39. 
-Putnam Voyager 	Buy 08/09/I 
 
40. 	 
-Putnam Voyager Sold 09/28/10 
(part) 
 
 
41. 
-RS EmergingMkts 	Buy ,03/12/I0 
 
42. 	 
-RS Emerging Mkts Sold 08/09/10 
(part) 
 
 
43. 
-RS Partners 	Buy 08/09/I 
 
44. 
-RS Partners 	Buy 09/28/I 
 
45. 
-Templeton Global Bond 	Buy 08/09/I 
 
46. 
-Templeton Global Bond 	Buy 09/28/I 
 
47. 
IRA Account Dividend 
 
48. 
-Merrill Lynch Money Mkt. Reserves 
 
49. 
-Aberdeen Developing 	Buy 03/12/10 
 
50. 
-Aberdeen Developing 	Buy 10/08/I 
 
51. 
-Aberdeen Equity 	Buy 03/12/10 Income Gain Codes: =$1,000 less =$1.001 $2,500 :$2.501 $5,000 :$5,0~1 $15,000 =$15.001 $50.00~ (see Columns and IM) =$50,001 $100,000 :$I00,001 $1.000,000 =$1,000.001 $5,000.009 =More than $5,0(3~,000 Value Codes 5,000 less 5,001 $50,000 =$50,001 100,000 100,0~ $250,000 
(See Colunms and D3) =$250.001 $500.000 =$500,001 $1,090,000 =$1,000,001 $5,000,000 =$5,000,001 $25,000.000 =$25,000,001 $50.000.000 :More than $50,000,000 Value Method Codes :Appraisal =Cost (Real Estate Only) =Assessment =Cash Market 
ISee Column C2) =Book Value =Estimated -Other 
 
 
05/12/201 
Hanen, Andrew 
VII. INVESTMENTS and TRUSTS -~.come, val.e, transactions (Includes those spouse and dependent children; see pp. 34-60 filing instructions.) 
 
NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period (including trust assets) reporting period reporting period 
(i) (2) (i) (2) (2) (3) (4) (S) Place (X) after each asset Amount Type (e.g., Value Value Typ~ (e.g., Date Value Gain Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/ddly~ Code Code buye~seller 
(A-H) int.) (J-P) Code redemption) (J-P) (A-H) (ifprivate (Q-W) transaction) 
52. 
-Aberdeen Equity 	Sold 10/08/10 
 
53. 
-Blackrock Global 	Buy 10/08/10 
 
54. 
-Blackrock IntOpp 	Buy 03/12/10 
 
55. 
-Blackrock Int Opp 	Sold 10/08/10 
 
56. 	 
-CalamosConvertible Bond Sold 03/12/10 (pan) 
 
57. 
-Calamos Convertible Bond 	Sold 10/08/10 
 
58. 
-First Eagle 	Buy 10/08/10 
 
59. 
-Hartford Capital 	Buy 03/12/10 
 
60. 
-Hartford Capital 	Sold 10/08/10 
 
61. 
-Ivy Asset Strategy 	Buy 03/12/10 
 
62. 	 
-Ivy Asset Strategy Sold 10108110 (pan) 
 
63. 
-Janus Forty 	Buy 10/08/I 
 
64. 
-Janus Overseas Fund 	Buy 03/12/10 
 
65. 	 
-Janus Overseas Fund Sold 10/08/I (pa~) 
 
66. 
-Jennison Natural 	Buy 03/12/10 
 
67. 	 
-Jennison Natural Sold 10/08/10 (pa~) 
 
68. 
-John Hancock Global 	Buy 03/12/10 
Income Gain Codes: =$1,000 less =$1,001 -$2,500 C552,501 $5,0~0 =$5,001 $15.000 =$15.001 $50,0~0 (S~ Columns and D4) =$50.001 $100,000 =$100,001 $1,00~,00~ 1,000.001 -H2 -More than $5.00).000 
Value Codes =$15,000 less =$15,001 -$50,000 :$50,001 $100.000 -$100.0Ol $250,000 
(See Columns and D3) =$250.001 $500,00~ $500.001 1,0OO.O0O =$5,000,0~1 $25.000,000 -$25,000,0~ $50.000,000 -More than $50,00~,000 
=Cash Markct 
IScc Column C2) =Book Value =Eslimatcd Value Method Codes =Appraisal =Cost (Real Estale Only) =Other 
 
 
 
05/12/2011 
 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; see pp. 34-60 filing instructions.) 
NONE (No reportable income, assets, transactions.) 
 
Gross value end Transactions during reporting period (including trust assets) reperfing period reporaing period 
Description Assets 	Income during 
 
(1) (2) (2) (I) (2) (3) (4) (5) 
Place (X) after each asset 	Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity Code mm/dd/y~ Code buyer/seller 
exempt from prior disclosure div., rent, Code Melhod buy, sell, Code (A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
69. 	 
-John Hancock Global Sold 10/08110 (part) 
 
70. 	 
-Loomis Sayles Strategic Sold 03/12110 (part) 
 
71. 
-Loomis Sayles Strategic 	Buy 10108110 
 
72. 
-Loomis Sayles Strategic 	Buy 10/12/10 
 
73. 
-Lord Abbett Bond 	Sold 03/12/10 
 
74. 
-Oakmark Intl. 	Buy 03/12/10 
 
75. 
-Oakmark Intl. 	Sold 10/08/101 
 
76. 	 
-Putnam Diversified Sold 03/12/10 (part) 
 
77. 
-Putnam Diversified 	Buy 0/08/I 
 
78. 
-Putnam Voyager 	Buy 03/12/10 
 
79. 
-Putnam Voyager 	Buy 10/08110: 
 
80. 	 
-Putnam Voyager Sold 10/12/10 (part) 
 
81. 
-RS Emerging Mkts 	Buy 03/12/10 
 
82. 
-RS Emerging Mkts 	Sold 10/08/10 
 
83. 
-RS Partners 	Buy 10/08/I 
 
84. 
-Templeton Global Bond 	Buy 10/08/10 
 
85. 
-Retirement Account Int./Div. 
Income Gain Codes: =$1,000 less =$1,001 $2,500 C-$2,501 $5,000 =$5,001 $15,000 =$15,001 $50,0~1 (S~e Columns and =$50.0{)1 $10(1.0~0 =$I00.001 $1.0~O,0~0 1,000.001 5.0~O.0~ =More than $5,00~.0~3~ 
Value Codes =$15,0~ less =$15,001 $50,000 =$50.001 $100.00~ =$100.001 -$250,00~ 
(See Columns and D3) $250.001 $500,00~ -$500,001 $I,000,000 -$5,000,0~ -$25,0~0.090 $25,0~0,0~1 $50.090,000 Morethan $50.000.000 Value Method Codes =Appraisal =Cost (Real Estate Only) =Asscs.~menl =Cash Markcl 
(S Column C2) =Book Value =Estimated =O~hcr 
 
Hanen, Andre~v 	05/12/2011 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; seepp. 34-60 filing instruction~.) NONE(No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporling period 
(including trust assets) reporting period reporting period 
Place (X) after each asset Amount (2) Type (e.g., (~) Value (2) Value Type (e.g., (2) Date (3) Value (4) Gain (5) Identity 
exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/dd/yy Code2 Code buyer/seller 
(A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private 
(Q-W) transaction) 
 
86. 	-Fidelity Short Term Bond Fund 
87. 	-Marshall Bond Fund 
88. 	 
-Catapiller Bonds 
 
89. 	 
-Duke Uni. Bonds 
 
90. 	 
-Dartmouth College Bonds 
 
91. 	 
-Fidelity Cash Reserves 
 
92. 	 
Brokerage Account 
 
93. 	 
-Houston ISD Municipal Bonds Interest Redeemed 06/24110 
 
94. 	 
-Pearland ISD Municipal Bonds Interest 
 
95. 	 
-Killeen Tex. Municipal Bonds Interest 
 
96. 	 
-Katy Tex. ISD Municipal Bonds Interest 
 
97. 	 
-Lubbock Tx. Tax Wtrworks Municipal Interest Bonds 
 
98. 	 
-Univ. Tex. Revs. Fin. Municipal Bonds Interest 
 
99. 	 
-Georgetown 1SD Municipal Bonds Interest 
 
100. 	 
-Ft. Worth Tex ISD Municipal Bonds Interest 
 
 
101. 	 
-Richardson Texas Municipal Bonds Interest 
 
102. 
 -Allen Texas Rfdg. Municipal Bonds Interest =$15,001 $50.000 (S~e Coltmms and 50.1~ 100,0(~ 100.001 1,0~0.0~ 1,00O,001 $5,0~0,0(~ =More than $5,0~,0~ Income Gain Codes: =$1,000 less =$1.001 $2,500 =$2,501 $5,000 =$5,001 $15,000 Value Codes =$15.000 less =$15,001 $50.000 ~$50.001 100.000 100.001 $250.000 (See Columns and D3) $250.001 $500.0~0 O=$500,001-$1,000.000 1,000,001 $5,000,000 P2=$5,000,001$25.000,000 =$25.000,001 $50.000.000 =More than $50,000,000 Value Method Code~ =Appraisal =Cost {Real E~tal Only) ~Asscssmcnt :Cash Market 
IScc Column C2) =Book Value -Other =Estimated 
 
Name Person Reporting 	Date Report 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; seepp. 34-60 filing instructions.) NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end 
(including trust assets) reporting period reporting period 
(I) (2) (1) (2) 
Place (X) after each asset Amount Type (e.g., Value Value Type (e.g., 
exempt from prior disclosure Code div., rent, Code Method buy, sell, 
(A-H) int.) (J-P) Code redemption) 
(Q-W) 
 
103. 
 -Piano ISD Municipal Bonds Interest 
 
104. 	 
-Burleson Tex ISD Municipal Bonds Interest 
 
105. 	 
-Port Neches Grove ISD Municipal Bonds Interest 
 
106. 	 
-Smith Barney Tax Free Money Market (See Interest Note 
 
107. 
 Brokerage Acct 
 
108. 
 -Canadian Riv. Mun. Municipal Bonds Interest 	Redeemed 
 
109. 
 -Brownsville Tex Municipal Bonds Interest 
 
110. 
 -Lower Col. Riv. Auth. Municipal Bonds Interest Redeemed (part) -Lower Col. Riv. Auth. Municipal Bonds Interest Redeemed (part) 
112. 
 -Lower Col. Riv. Auth. Municipal Bonds Interest 	Redeemed 
 
113. 
 -Harris County Municipal Bonds Interest 
 
114. 
 -University ofN. Tex Municipal Bonds Interest 
 
115. 
 -Sharyland ISD Municipal Bonds Interest 
 
116. 
 -Lancaster ISD Municipal Bonds Interest 
 
117. 
 -N. Tex. Twy. Auth. Municipal Bonds Interest Buy 18. -Houston Tex. Higher Municipal Bonds Interest Buy 
 
 
119. 	-Merrill Lynch CMA Tax Exempt Money Interest Market Income Gain Codes: =$1,000 less =$1,001 $2,500 =$2,501 $5,000 (See Columns and IM) =$50.0~ 100,0~0 0O,001 1,0~2,0~0 1.0~0.001 $5.090,000 Value Codes =$15,000 less =$15,0~1 $50,0@1 =$50,001 $100.000 
{See Columns and D3) $250.001-$500,000 =$500,001 1,00~,000 =$1.000,001 $5,0{~,000 $25,000.001-$50.000.000 More than $50.000.000 =Cost (real Estate Only) (see Column C2) =Book Value Other =Eslimatcd Value Method Codes =Appraisal =As~ssment 
Transactions during reporting period 
(2) (3) (4) (5) Date Value Gain Identity mnddd/yy Code2 Code buyer/seller 
(J-P) 	(A-H) (if private transaction) 
03/04/10 
05/17/10 11/29/10 12/23/10 
12/08/I 12/07/10 =$5,001 $15,00~ =$15,001 $50,000 More than -$100.001 $250,00~ =$5,000,001 $25,000-0oO =Cash Market 
 
 
Hanen, Andrew 05/12/2011 
VII. INVESTMENTS and TRUSTS -i.co,.e, ,alue, transactions (Includes those spouse and dependent children; seepp. 34-60 filing instructions.) 
NONE (No reportable income, assets, transactions.) 
Description Assets 
(including trust assets) 
Place (X) after each asset exempt from prior disclosure 
 
120. 
 Compass Bank 
 
121. 
 Northwestern Mutual EOL Life Ins #117 
 
122. 
 Northwestern Mutual EOL Life Ins #714 
 
123. 
 Northwestern Mutual Whole Life Ins #642 
 
124. 
 Northwestern Mutual Whole Life Ins #817 
 
125. 
 Northwestern Mutual Whole Life Ins #811 
 
 
126. Northwestern Mutual EOL Life Ins #840 
Income during Gross value end Transactions during reporting period 
reporting period reporting period 
(i) (2) (I) (2) (2) (3) (4) (5) 
Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity 
Code div., rent, Code Method buy, sell, mm/dd/yy Code Code buyer/seller 
(A-n) int.) (.I-P) Code redemption) O-P) (A-n) (if private 
(Q-W) transaction) Interest Dividend Dividend Dividend Dividend Dividend Dividend Income Gain Codes: =$1,000 less -$1,001 52,500 =$2,501 $5,000 =$5.001 $15,000 =$15,001 $50.000 See Colurrms D-I 50,001 100,000 100.001 1,0~0,0~0 1.000.001 5,000,0~0 ore tim $5,000.000 Value Codes =$15,0~1 less $15,001 $50,000 =$50,001 100,000 =5100,001 $250.000 
{S~c Columns and D3) =$250,0~1 $500,000 $500,0~1 $1,000.00O 1,0~0,001 $5,000,0~0 =$5,000,001 $25,00~,000 Value Method Codes =$25,0~1.001 $50.00~.0~0 =Appraisal =Cost (Real Estale Only) =More than =Assessment =Cash Market 
Ise Column C2) =Book Value =Other =Estimated 
 
Name Person Reporting Date Repor~ 
 
 
 
 
VIII. ADDITIONAL INFORMATION EXPLANATIONS. (lndicate part report.) 
Notes The Chase Retirement Money Market Reserve account apparently kept the form ofa Capmark Midvale, Utah. The name was left the same for the sake consistency. 
 The name Aberdeen Developing fund Lines and was apparently changed prior March 31,2010 Aberdeen Emerging. The name was left the same for the sake consistency. 
 The name Jcnnison Nat. Lines 25, 26, and apparently became Prudential Jennison February 2010. The name was left the same for the sake consistency. 
 The fund listed line 102 and last years form line 152 Smith Barney Tax Free Money Market now known Western Asset Municipal Money Market Fund. The name was left the same this form for the sake consistency. 
 
 
Name Person Reporting Date Report 
 
IX. CERTIFICATION. certify that all information given above (including information pertaining spouse and minor dependent children, any) accurate, true, and complete the best knowledge and belief, and that any information not reported was ~vithheld because met applicable statutory provisions permitting non-disclosure. further certify that earned income from outside emplo)anent and honoraria and the acceptance gifts ~vhich have been reported are compliance with the provisions U.S.C. app.  501 et. seq., U.S.C.  7353, and Judicial Conference regulations. 
Signature 
 
NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES FAILS FILE THIS REPORT MAY SUBJECT CIVIL AND CRIMINAL SANCTIONS U.S.C. app.  104) 
Committee Financial Disclosure Administrative Office the United States Courts Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544