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Judicial Watch • Brian M. Cogan – 2006

Brian M. Cogan – 2006

Brian M. Cogan – 2006

Page 1: Brian M. Cogan – 2006

Category:Federal Judges

Number of Pages:70

Date Created:September 14, 2007

Date Uploaded to the Library:October 04, 2014

Tags:Cogan, Brian M Cogan, Brian, stock, 2006, assets, transactions, Codes, disclosure, reporting, report, Federal Judge, financial, income, Judge


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CHAMBERS 
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BRIAN COGAN 225 dlal11n11n }Il11z11 list 
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JUDGE 
August 13, 2007 
Judicial Conference the United States 
Committee Financial Disclosure 
Administrative Office the United States Courts 
 
,....., 
Suite 2-301 ;(] 
o:::: c::: 
Washington, D.C. 20544 (.!);:: One Columbus Circle, N.E. Attn: Honorable Ortrie Smith 2: .=. O)> Re: Brian Cogan -rir 
U.S. District Court, .i::: 
Dear Judge Ortrie: 
Pursuant your letter dated July 31, 2007, below the response your request for additional Part VII, the following assets which were previously owned but were exempt from disclosure the 2005 report because their income and values were below the threshold 2005: 
 
Column Part VII, the following assets were not included the 2005 report because they were 
purchased 2006 (the purchase information for most these was not originally listed the values 
were below the threshold): 
 
 
 
Column Part VII, the asset Boots Group Plc stock (common) listed line 335 of2005 report was merged into Alliance Boots Plc stock (common); therefore, page 43, line 659 of2006 report should 
deleted and line 652 of2006 report should reflected follow: 
ColumnB 
(1) (2) (3) (4) 
Amt Value Method of3 Part VII, the asset Shugard Storage Centers Inc. Stock (common) listed page line of2005 report was merged into Public Storage, Inc. stock (common); therefore, this asset was not reflected 2006 report. Part VII, the asset AXA Equitable Incentive Life Policy listed page 26, line 464 
2005 report was terminated 2006; therefore, this asset was not reflected 2006 report. Part VII, the filer incorrectly listed the assets lines 399 and 403 of2005 reported College Access 529 Plan and #2, they should listed brokerage accounts #14 and #15 reflected lines 942 and 947 2006 report. Part VII, Column and Column for the following assets should listed follows (this information was not originally listed the values were below the threshold): 
ColumnB Column 
Amt Date Value 
 
Please let know any further clarifications are required. 
Very truly yours, of3 POSITIONS. (Reporting individual only; see pp. 9-13 instructions.) NONE (No reportable positions.) 
POSITION NAME ORGANIZATION/ENTITY Partner Stroock Stroock Lavan LLP 
 
 
II. AGREEMENTS. (Reporting individual only; see pp. 14-16 instructions.) NONE (No reportable agreements.) 
 
 
PARTIES AND TERMS /111988 Stroock Stroock Lavan LLP Retirement Plan wih former law firm, control 1/1/2002 Stroock Stroock Lavan LLP Profit Sharing Plan wih former law firm, control 
 
Name Person Reporting 
Date Report 
Cogan,, Brian 
05/15/2007 
III. N-INVES TMENT INC ME. (Reporting individual and spouse; see pp. 17-24 instructions.) Filers Non-Investment Income NONE (No reportable non-investment income.) 
 
 SOURCE AND TYPE INCOME 
(yours, not spouses) 2006 Stroock Stroock Lavan LLP, Attorney 977,176. Spouses Non-Investment Income -I/you were married during any portion the reporting year, complete this sectiotL 
(Dollar amount not required except for honoraria.) NONE (No reportable non-investment income.) AND TYPE 2006 Stroock Stroock Lavan LLP, Attorney 
 
 
IV. REIMBURSEMENTS -transportation, lodging,food, entertainmen 
(Includes those spouse and dependent children. See pp. 25-27 instructions.) 
[KJ NONE (No reportable reimbursements.) SOURCE DESCRIPTION 
 
 
 
Name Person Reporting 
Date Report 
Cogan,, Brian 
05/15/2007 GIFTS. (Includes those spouse and dependent children. See pp. 28-31 instructions.) 
[KJ NONE (No reportable gifts.) 
SOURCE DESCRIPTION 
 
 
VJ. LIABILITIES. (Includes those spouse and dependent children. See pp. 32-33 instructions.) NONE (No reportable liabilities.) 
CREDITOR DESCRIPTION VALUE CODE Chase Visa Credit Card 
 
 
 
Name Person Reporting 
05/15/2007 
Cogan,, Brian 
VII. INVESTMENTS and TRUSTS income, value, transactions (1nc1udes those the spouse and dependent children. see PP 34-60 filing instructions.J NONE (No reportable income, assets, transactions.) 
Description Assets 
(including trust assets) 
 
Place (X) after each asset exempt from prior disclosure 
Income during Gross value end Transactions during reporting period 
reporting period reporting period 
(I) (2) (I) (2) (I) (2) (3) (4) (5) 
Amount Type (e.g. Value Value Type (e.g. Date Value Gain Identity 
Code div., rent, Code Method buy, sell, Month Code Code buyer/seller 
(A-H) int.) (J-P) Code redemption) Day (J-P) (A-H) (if private 
(Q-W) transaction) JPMorgan Chase Bank account Interest [ncome Gain Codes: 1,000 less =Sl,001 -S2,500 =S2,50 -S5,000 =S5,00I -Sl5,000 =SJ 5,001 -S50,000 
(See Columns and 04) 450,001 -SI00,000 =SJ00,001  Sl,000,000 =SJ,000,001  S5,000,000 =More than $5,000,000 Value Codes =$15,000 less K=S15,00J -S50,000 =S50,00J -SI00,000 =SI00,001 -$250,000 
(See Columns and 03) =$250,001 -$500,000 =$500,00I 1,000,000 =Sl,000,001  S5,000,000 =$5,000,00J -$25,000,000 Value Method Codes =$25,000,001 -150,000,000 =Cost (Real tate Only) =More than S50,000,000 =Cash Market 
(See Column C2) =Appraisal V=Other =Assessment -Book Value =Estimated 
 
 
Name Person Reporting 
Date Report 
Cogan,, Brian 
05/15/2007 
VII. INVESTMENT and -income, value, transactions (Includes those the spouse and dependent children. See pp. 34-60 filing instructions.) NONE (No reportable income, assets, transactions.) Description Assets (including trust assets) Income during reporting period Gross value end reporting period Transactions during reporting period 
Place (X) after each asset exempt from prior disclosure (I) Amount Code (A-H) (2) Type (e.g. div., rent, int.) (l) Value Code2 (J-P) (2) Value Method Code3 (Q-W) (l) Type (e.g. buy, sell, redemption) (2) Date Month -Day (3) Value Code (J-P) (4) Gain Code (A-H) (5) Identity buyer/seller (if private transaction) [ncome Gain Codes: ,000 less =$1,001  $2,500 =$2,501 -$5,000 D=S5,00I  $15,000 =$15,001  $50,000 
(See Columns and D4) F=$50,001 -$100,000 =$100,001 -$1,000,000 =Sl,000,001  $5,000,000 =More than $5,000,000 Valu Codes =SI 5,000 less =$15,001 -$50,000 =$50,001 -$100,000 =$100,001 -$250,000 
(See Columns and D3) =$250,00 -$500,000 0=$500,001 -$1,000,000 =$1,000,001 -$5,000,000 =$5,000,00 -$25,000,000 Valu Method Codes =$25,000,001 -$50,000,000 =Cost (Real Estat Only) =More than $50,000,000 T=Cash Market 
(See Column C2) =Appraisal =Oth =Assesshitilt =Book Value =Estimat 
 
Name Person Reporting 
Date Report 
Cogan,, Brian 
05/J 5/2007 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those the spouse and dependent children. See PP 34-60 of.filing instructions.) NONE (No reportable income, assets, transactions.) 
Description Assets 
(including trust assets) 
 
Place (X) after each asset exempt from prior disclosure 
Income during Gross value end Transactions during reporting period 
reporting period reporting period 
(I) (2) (I) (2) (I) (2) (3) (4) (5) 
Amount Type (e.g. Value Value Type (e.g. Date Value Gain Identity 
Code div., rent, Code Method buy, sell, Month Code Code buyer/seller 
(A-H) int.) (J-P) Code redemption) Day (J-P) (A-H) (if private 
(Q-W) transaction) 
 
35. 36. -Extra Space Storage, Inc. (REIT) -Fainnont Hotels Resort Inc. (REIT) Dividend Dividend sell 219 
37. -Federal Realty Investment Trust (REIT) Dividend 
 
38. -Host Hotels Resorts Inc.( formerly Host Dividend buy 
Marriott) (REIT) Income Gain Codes: 1,000 less =Sl,001 -S2,500 =S2,501 -S5,000 =$5,001 -Sl5,000 =Sl5,00I -S50,000 
(See Columns an