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Judicial Watch • Christina A Snyder Financial Disclosure Report for 2010

Christina A Snyder Financial Disclosure Report for 2010

Christina A Snyder Financial Disclosure Report for 2010

Page 1: Christina A Snyder Financial Disclosure Report for 2010

Category:Financial Disclosure

Number of Pages:21

Date Created:November 7, 2013

Date Uploaded to the Library:November 13, 2013

Tags:Descriptor, snyder, Christina A Snyder, christina, Estate, Gross, 2010, EPA, transactions, IRS, Financial Disclosure, ICE, CIA, income, Judge


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Rev. 1/2011 Person Reporting (last name, first, middle initial) Court Organization Date Report Snyder, Christina Central District California 05/23/20 Title (Article III judges indicate active senior status;  5a. Report Type (check appropriate q,pe) Reporting Period  
magistrate judges indicate full- part-time)  Nomination,  Date  01/01/2010  
U.S. District Judge Active Initial Annual Final 12/31/2010  

5b. Amended Report Chambers Office Address the basis the information contained this Report and any modifications pertaining thereto, is, opinion, compliance 
with applicable laws and regulations.
United States Courlhouse 
312 Spring Street Los Angeles, 90012 
Res~ewing Officer 	Date 
IMPORTANT NOTES: The instructions accompanying this form mast followea~ Complete all parts, checking the NONE box for each part where you have reportable information. Sign last pag~ ~Repo.~.g i.dlvid.ot o.ty; p~,. fitlng instructlon~) 	NONE(No reportable positions.) POSITION NAME ORGANIZATION/ENTITY 

ll. AGREEMENTS. m,pom.g individual only; see pp. 14-16 filing instructions.) NONE (No reportable agreements.) DATE PARTIES AND TERMS 

Snyder, Christiana 

III. NON-INVESTMENT INCOME. (Reporting individual and spouse; see pp. 17-24offilinginstructions.) Fliers Non-lnvestment Income NONE (No reportable non-investment income.) DATE SOURCE AND TYPE  INCOME (yours, not spouses) Spouses Non-Investment Income -tf you were married during any portion the reporting year, complete this section. (Dollar amount not required except for honoraria.) (No reportable income.)NONE non-investment 1.2010 DATE SOURCE AND TYPE Attorney-Partnership  
IV. REIMBURSEMENTS --transportation, lodging, food, entertainment (Includes those spouse and dependent children; see pp. 25-27 filing instructions.) NONE (No reportable reimbursements.) SOURCE DATES LOCATION  PURPOSE  ITEMS PAID PROVIDED GIFTS. a,.cl,,de, ,ho,o ,po,,,e .~,..~ aepenaen, oh.are,.; ,ee p~. :S-~t of~li.g ~..ru~ao,~)  
NONE (No reportable gifts.)  
SOURCE  DESCRIPTION  VALUE a~cl, ,ho,e o/,ponse ,,rid ,~,pe,,dent children; see pp. 32-33 ofJ~llng instructlon)  
NONE (No reportable liabilities.)  
CREDITOR  DESCRIPTION  VALUE CODE  

Snyder, Christina 	05/23/2010

VII. INVESTMENTS and TRUSTS --income, value, ~o,~.alo.~ anclud~ ,hose oI,po~se ~nd aepe.de~, children; see pp. 34-60 filing instructions.) 
NONE (No reportable income, assets, transactions.) B.C. 
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 "(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/dd/yy Code Code buyer/seller (A-H) int.) (J-P) Code redemption) (J-P) (A-Ill (if private (Q-W) transaction) Genter Advisors Schwab DFA IRA Acet Dividend 
IShares Russell 1000 Grwth IDX 	Sold 03/26/10 
(part) 

Sold 12/02/10 (part) 
DFA Large Cap Value Fund DFA Small Cap Fund 	Sold 10/22/08 
DFA Small Cap Value Fund Buy 03/30/10 
(addl) 	
Buy 08/17/10 (addl) 	
Sold 11/12/10 (part) 	
DFA Intl Value Fund Sold 03/26/10 (part) 

10. 	
Buy 12/31/10 
(addl) 

11. 	
DFA Emerg Mkts Core Equity Sold 10/12/10 (pan) 

12. 
iShares MSCI EAFE Growth Fund 	Buy 03/29/10 

13. 
GNMAPassThru 

14. 
Bank America Accts (MM Chng Interest 

15. 
CHRISTOPHER WEIL IRA ACCT Dividend 

16. 
Fidelity Cash Reserves 

17. 
Frank Russell Emerging Markets Funds 	Sold 10/28/10 Income Gain Codes: =$1,000 less =$1,001 $2.500 =$2,501 =$15.001 $50.000 (See Columns and D4) =$50,001 $100,000 =$100.001 1.000.000 1.000,001 $5.000.000 =More than $5.000.000 =$15.01 $50.00~ =$50.01 SI0~.000 =$100.0oi 1250.0oo Value Cos =$15.000 le~ =$5.0O.001 $25.000,000
(See Columns and D3I =$250,001 $500.000 -$500.0OI $1.0O.000 =$1.O90.0OI $5.000.000 =$25.000.0OI $50.000,000 =More than $50.0OO.000 =Cash Marko3. Value Method Codes =Appraisal =Cost (Real Estate Only) =Assessment 
(See Column C2) =Book Value =Olher =Estimated 
Snyder, Christina 	05/23/2010
VII. INVESTMENTS and TRUSTS -~nco~e, valu., t.an~o.io.~ anctudes those spouse and dependent children; see pp. 34-60 filing instructions.) 
NONE (No reportable income, assets, transactions.) B.C. Description Assets Income during Gross value end Transactions during reporting period (including trust asset~) reporting period reporting period 
(I) (2) (I) (2) (I) (2) (3) (4) (5) Place "CA)" 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) Code3 redemption) (J-P) (A-H) (if private (Q-W) transaction) 
18. 	
Russell Small Mid Cap Fund CLS Sold 10/28/10 

19. 	
Frank Russell Quantitative Equity Fund Sold 10/28/10 

20. 	
Russell U.S. Core Equity Fund Sold 10/28/10 

21. 	
Russell Intl Developed Mkts Fund Sold 10/28/10 

22. 	
Frank Russell Real Estate Securities Fund Sold 10/28/10 

23. 	
Russell Global Equity Fund Fund Sold 10/28/10 

24. 	
First Eagle Overseas Class (SGOVX) Buy 10/05/10 

25. 	
Buy 10/28/10 (addl) 

26. 	
ING Global Value Choice (NAWGX) Buy 10/28/10 

27. 	
Intrepid Small Cap Fund (ICMAX) Buy 10/28/10 

28. 	
Oppenheimer Equity Inc (OAEIX) Buy 10/28/10 

29. 	
Principal Mid Cap Blend Fund Class Buy 10/28/10 (PEMGX) 

30. 	
Virtus Emerging Mrtk Oppt Class Buy 10/28/10 (HEMZX) 

31. 	
Yacktman Fund (YACKX) Buy 10/28/10 

32. 	
First Eagle Global Class (SGENX) Buy 10/28/10 

33. 	
Trust Schwab Acct Int.,if)iv. 

34. 	
Schwab Money Mkt Funds Income Gain Codes: =$1,000 less =$1,001 $2,500 =$2.501 $5.000 =$5,001 $15,000 =$15.0OI -$50.000 (See Columns and IM) =$50,001 $100,000 =$100.001 $1,000,000 =$1.00O.001 $5.000,000 112 =More than $5,000,000 Value Codes =$15.000 o less =$15.0OI $50,000 =$50.0OI $100.000 =$100.0OI $250,000 
(See Columas and D3) =$250,001 $500.000 =$500.0OI $1.00O.000 =$1.000.001 $5.000,000 =$5,000,001 $25,000.000 =$25,000.0OI $50.0~O,000 =More than $50.000.000 Value Method =Appraisal ~7os! (Real Estate Only) =Assessment Gash Market 
(S~c Column C2) =Book Value =O~her =Estimated 

Name Person Reporting 	Date Reporl
Snyder, Christina 	05/23/2010
VII. INVESTMENTS and TRUSTS .... vat.e, ~a~octio~ anaaaes those ......d dependent children; see pp. 34-60 filing instructions;) 
NONE (No reportable income, assets, transactions.) 
A.BI Description Assets Income during Gross value end Transactions during reporting period (including trust assets) reporting period reporting period (2) (i) (2) (i) (2) (3) (4) (5) Place "(X)" after each asset Amount Typ~ (e.g., Value Value Type (e.g., Dale 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 ~lemption) (J-P) (A-H) (if privale transaction) 
35. 	Met Wtr Dist Co. Rev P/R 
36. 	
Fresno USD CI3@103 6.150% 
08/01/2013 

37. 	
Redwood City ESD 5.50% 
08/01/2012 

38. 	
Redwood City ESD 5.50% 
08/01/2013 

39. State 6.250% 09/01/12 Sold 09/01/10 
(part) 

40. Facs Rev Stanford 5.25% 
12/01/2013 UNIV 

41. 	
San Mateo Tax Rev 5.25% 06/01/2017 

42. 5.357% 04/01/14 

43. 	
Vallejo USD 5.90% 02/01/17 Sold 09/08/10 

44. Dept Trans 5.00% 02/01/15 

45. 	
Southwestern CMTY ColIDist. 5.625% 08/01/2011/16 

46. 5.75% 03/01/2010/27 Sold 03/01/10 

47. 	
Los Angeles 5.25% 09/01/2014 

48. 	
Pajaro Valley USD 5.25% 08/01/2016 

49. Met Trans Sis Tax 5.00% Buy 01/22/10 07/01/2012 (addl) 

50. 	
Southwestern Cmty Coil Dist 5.25~ 08/01/2017 

51. 	
FoothillEastern Corr Agy 7.05% Sold 01101110 01/01/2010/12 Income Gain Codes: =$1.000 less =$1,001 $2,500 =$2.501 $5,000 =$5.001 $15.000 -$15,001- $50,000 (See Columns and D4) =$50.001 $10~.000 =$100.001 $1.000.000 I11 =$1.000.001 $5.000.000 112 =More than $5.000.000
 Value Codes =$15,000 less =$1.5.001 $50.000 =$50,001 $100.000 =$100.001 $250.000 

ISle Columns and D3) =$250.001 $500,000 =$500,0DI $1.000.000 -$1.000.001 $5.0~).000 =$5.0~0.001 $25.000.0(~ =$25.000.001 $50.000,000 =More than $50,000.000
 Value Method Codes =Appraisal =osl IRcal Estate Only) =Assessment =Cash Market 
(See Column C2) Book Value =O~her =Estimated 

Snyder, Christina 	05/23/2010 -income, vol.e, ~o~oa~o~ ancl~d~ those oy~poose depe~en~ children; see pp. 34-60 f!llng instruction~) 
NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period 
(including trust assets) reporting period lporting period 
(i) (2) (t) (2) (3) (4) (5) (i) (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 ~:lemption) (J-P) (A-H) (if private (Q-W) transaction) 
52. 	
Los Angeles 5.25% 09/01/2014 

53. 	
Foothill Eastern Corr Agy 7.10% Sold 01/01/10 01/01/2012 

54. 	
Coast Cmty Coil Dist 5.00% 08/01/21 

55. USD 5.00% 07/01/2013/25 

56. Infrastructure Eco Dev 5.00% Sold 07/01/101 07/01/2010 

57. 	
East Bay Mud Wtr Sys 5.00% 06/01/2019 

58. Dept Wtr Pwr 5.00% 07/01/2022 

59. 	
Long Beach Wtr 5.750% 05/15/2015 

60. 	
Napa Flood lmpt 5.00% 06/15/2018 

61. Met Transp Sis Tax 6.00% 07/01/2011 

62. 	
Los Angeles 5.250% 09/01/2014 

63. 	
Sacramento Sani Dist FIN 5.250% 12/01/2022 Auth 

64. 	
Monterey Peninsula CCD 5.00% 08/01/2020 C18 

65. 5.00% 10/01/2017 CCI6 

66. 	
Sacramento, MUD Elec C18 5.00% 08/15/2021 

67. 	
Golden Tobacco SEC Corp 5.50% 06/01/2013/33 

Acalanes Union High Sch 5.250% 
08/01/2020 Dist C15 Income Gain Codes: =$1.000 less =$1,001 $2.500 =$2,501 $5,000 =$5.001 $15,00) =$15,001 $50,000 (See Columns and D4) =$50.001 $100,000 =$100.001 $1.000.000 III =$1.000,001 $5.000.000 tl2 =More Ihan $5.000.000 Value Codes -$15,0OO h.-ss =$15,001 $50.0~ ~$50.0OI $100.0OO =$100,0OI $250.000 
ISee Columns and D3) =$250.001 $500.000 =$500.001 $1.00~1.00~ =$1,0~,001 $5.00).000 =$5.000.001 $25.0~O.0OO =$25.O00.0OI $50.0~O,0~O =More than $50.000.000 Value Method Codcs =Appraisal =Cost (Real Estate Only) =Ass~:ssmc~t =Cash Market 
{See Cohtmn C2) Book Value =Olher =Estimated 

Name Person Reporting 	Date Repor~

05/23/2010 ....e, value, transactions ttncludes 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 asse~) reporting period reporting period 
(I) (2) (I) (2) (I) (2) (3) (4) (5) 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, nurfddh/y Code Code buyer/seller 
(A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
69. Economic Recover), 5.00% 07/01/2015 CC14 

70. SFI0 8/I 6.250% 09/0 !/2012 

71. 	
Bay Area Toll Auth CI9 5.00% 04/01/202 

72. 	
San Diego PFA Sewer 5.00% 05/15/2016 

73. PPA RV-Milford Wind 5.00% Buy 01/28/10 07/01/2014 PJ#1 

74. 5.00% 03/01/2019 Buy 03/12/10 

75. 	
San Franciso City Ctny PUC 5.00% Buy 03/23/10 11/01/2012 

76. Economic Recovery 5;00% Buy 07/21/10 07/01/2019 

77. 	
Glendale USD 4.500% 09/01/2018 Buy 09/07/10 

78. 	
Los Rios Cmty Cull Dist 4.00% Buy 09/15/10 08/01/2016 

79. 	
San Francisco PUC Wtr 4.00% Buy 09/15/10 11/01/2017 CCI6 

80. 	
MERRILL LYNCH TRUST ACCT Dividend 

81. 	
BofA RSV ADV 

82. 	
BIFCA Municiipal Money Mkt 

83. 	
Putnam Equity Income Class 

84. 	
Putnam Global Health 

85. 	
Putnam Fund for Growth Income Income Gain Codes: =$1.000 less $1.001 $2.500 =$2.501 $5,000 =$5.001 $15,000 =$15.001 $50.000 (See Columns and IM) =$50.001 $100,000 =$100.001 $1.000.000 Ill =$1.000,001 $5,000.000 112 =More than $5.000.000
 Value Codes =$15.0~O less =$15.001 $50.000 =$50.001 $100.000 =$100.001 $250.000 

(See Columns and D3) =$250.001 $500.000 =$500.001 $1.000.000 =$1.000.001 $5.0~O,0~0 =S5.000,001 $25.000.000 =$25.000.001 $50.000.000 =More than S50.000.000
 Value Method Codes =cost (Real Estate Only) =Assessment =Cash Market =Appraisal 
(S~c Column C2) =Book Value =Oth,"r =Estimated 

Name Person Reporting 	Date Report

Snyder, Christina 	05/23/2010
NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period (including trust assets) reporting period reporting period 
(t) (2) (2) (t) (2) (3) (4) (5) 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) 
86. 	
Putnam Inl Equity 

87. 	
Putnam Investors Class 

88. 	
Putnam Multi-Cap Growth 

89. 	
Putnam Voyager Class 

90. 	
California St. Oct -5.000% Oct 01/22 Cusi 

91. 	
California St. Apt 5.000% Aug01/23 Cusip~ 

92. 	
California St. May03 5.000% Feb01/26 Cusip 

93. 	
CalifCO TOB Jul02 05.875% Jun 01/27 Cus" 

94. 	
California Apt 5.000% Apr01/38 Cusi 

95. 	
California VAR Purp Jun 5.000% Jun01/37 Cus~ _:.,~ 

96. 	
California VAR PURP Jun07 5.000% Jun01/24 Cusi ~*~:;~ 

97. DEPT WTR RES PWR 0.000% Sold 10/22/10 05/01/2016 

98. 	
California Sep05 5.000% Aug01.22 Cusip 

99. 	
California Apr 5.000% May01/24 Cusip~ 

100. REV ANTIC NTS SER 03.00/o 	Sold 06/23/10 06/23/2010 

101. Bills 0.000% 1/14/2010 	Sold 09/28/09
102. T-Bills 0.000Yo 01/17/2010 	Sold 10/28/09 Income Gain Codes: =$1,000 less =$1,001 $2,500 =$2,501 $5,000 =$5.001 $15,000 =$15,001 -$50,000 (See Columns and D4) =$50,001 $100,000 G=$100.001 $1,000,000 1,000,001 $5.000,000 112 =More than $5.00(I.000 Value Codc~ =$15.000 less =$15,001 $50,000 =$50.001 $100.000 =$10~.001 -$250.000 
(See Columns and D31 =$250.0~1 $500.000 =$500.001 -11,000.000 =$I.0~0.001 $5.000,000 =$5.000,001 $25.000.000 =$25,000.001 $50.0~0,000 =More than $50.00~,000 

3.Value Method Codes =Appraisal =Cosl (Real Estate Only) =Assessmcm =Cash Marke~ 
(See Column C2) -Boak Value =Olher ~Eslimatcd 

Name Person Reporting 	Date Report

05/23/2010 
VII. INVESTMENTS and TRUSTS -inco~,e, ,atue, tra~.io,~ ~tncludes tho,e spouse ana dtpendent children; seepp. 34-60 oyfiling instructions.) 
[~] NONE (No reportable income, assets, transactions.) 
Description Assets  Income during  Gross value end  
(including trust assets)  reporting period reporting  period  
(I)  (2)  (I)  (2)  (I)  
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. Bills 0.000% 01/14/2010 	Sold 

104. Bills 0.000% 01/14/2010 	Sold 

105. Bills 0.000% 01/14/2010 	Sold 

106.
 California Jul08 5.500% Aug01/22 Cusip 	Buy 

107. T-Bill .000% 12/30/2010 	Buy 

108. T-Bil1.000% 12/30/2010 	Sold 

109.
 Schwab 401(k) Account Dividend 

110. 	
Schwab Money Market (Core Money Market Fd) 

111.
 DFA Intl Value Fund 	Buy (addl) 

112. 	
Sold (part) 

113. 	
Buy (addl) 

114.
 DFA Small Cap Value Fund 	Buy (addl) 

115. 	
Buy (addl) 

116. 	
Buy (addl) 

117. 	
Sold (pan) 

118.
 DFA Large Cap Value Fund 	Buy (addl) 

119.
 1Shares Russell 1000 Grwth Index 	Buy (addl) Income Gain Codes: =$1,000 less =$1,001 $2.500 =$2.501 $5.000 (See Columns and F=$50,001 $100,000 =5100,001 $1.000.000 =51.000.0~ $5.000.000 
Value Codc~ =$15.000 less =$15.001 $50.000 =$50.001 

(Sc1 Columns and D3) =$250.001 $500,000 =$500,001 I,CO0.000 =$1.000.001 $5.000.000 =$25.000,001 $50.000.000 =Mote than 550.00~.0~0 
Value Method Codes =Appraisal =Cost (Real Estate Only) -Asscssmenl (See Column =Book Value =Olher =Eslimalcd 

Transactions during reporting period 
(2) 	(3) (4) 
Date Value Gain mm/dd~y Code Code (J-P) (A-It) 
12/08/09 
12/21/09 
12/28/09 06/16/10 06/29/10 
12/30/10 
01/27/10 03/26/10 12/31/10 01/27/10 03/30/10 08/17/10 11/12/10 01/27/10 01/27/10 =$5.001 $15,000 
112 =More than 55.000.000 =$100.001 $250.000 =$5.000.001 $25.000.000 =Cash Market 
(5) 
Identity 
buym/scller (if private transaction) =515.001- 550.000 
Name Person Reporting 	Date Report

Snyder, Christina 	05/23/2010
VII. ESTMENTS and STS -i.co~.., value, ~u.~oc,io~ a.clud.~ ,hose olspouse u.~ depende., children; see pp. 34-60 fillng instruction~.) 
NONE (No reportable income, assets, transactions.)  
Description Assets  Income during  Gross value end  Transactions during rq)orting period  
(including trust assets)  reporting period reporting period  
(1)  (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-II) int.)  (J-P)  Code  redemption)  (J-P)  (A-H)  (if private  (Q-W)  transaction)  

120.
 DFA Emerg Mkts Core Equity 	Buy 01/27/10 (addl) 

121. 	
Sold 10/12/10 (part) 

122.
 Ishares MSCI EAFE Growth Fund 	Buy 03/29/10 

123. 	
GENTER ADVISORS (SCHWAB) DFA Dividend IRA 

124.
 DFA Small Cap Value 	Buy 01/07/10 (addl) 

125. 	
Buy 03/30/10 (addl) 

126. 	
Buy 07/13/10 (addl) 

127. 	
Sold 11/12/10 (part) 

128.
 DFA Large Cap Value 

129.
 IShares Russell 1000 Grwth IDX 	Sold 03/26/10 (part) 

130. 	
Sold 12/02/I (part) 

131.
 DFA Intl Value Fund 	Sold 03/26/10 (part) 

132. 	
Buy 12/31/10 (addl) 

133.
 DFA Emeg Mkts Core Equity 	Sold 10/12/10 (part) 

134.
 lshares MSCI EAFE Growth Fund 	Buy 03/29/10 

135. MERRILL LYNCH IRA Dividend 
136. BofA Cash RSV Daily Income Gain Codes: -$1.000 less =$1,001 $2.500 =$2.501 $5.0~0 =$5.001 -$15,000 =$15.001 $50,000 (See Columns and =$50.001 100,00O 100,0~ 1,000,000 1.000.001 5.000.000 112 ore than 5.0~1.0~0 Value Codes =$15.000 less =$15,001 $50,000 ~$50.001 $10O.O0O =$10~.001 $250.000 
(See Columns and D3) =$250.001 $500.0(}0 =$50~.001 $1,000.000 =$1.000.001 $5.000,000 =$5.000.001 $25.000.000 =$25.00~.001 $50.0~0,0~0 =More than $50.000.000 Value Mclhod Codes =Appraisal =CosH Real Estate Only) Asscssmcn! =C~h Market (See Column C2) Book Value =O~hcr -Estimated 
Name Person Reporting 	Date Report

VII. INVESTMENTS and TRUSTS ~,co,~o, ,.~t.~, ..... ,io,~ (lncludes those spou~e ond dependent children; see pp. 34-60 fillng instructions.) 
NONE (No reportable income, assets, transactions.) 
Description Assets  Income during  Gross value end  Transactions during reporting period  
(including trust assets)  reporting p~riod reporting period  
Place "(X)" after each asset exempt from prior disclosure  (t) Amount Code  (2) Type (e.g., div., rent,  (t) Value Code  (2) Value Method  (1) Type (e.g., buy, sell,  (2) Date mm/dd/yy  (3) Value Code  14) Gain Code  (5) Identity buyer/seller  
(A-H) int.)  (J-P)  Code  redemption)  (J-P)  (A-H)  (if private  
(Q-W)  transaction)  

137.
 FIA Card Services RASP 

138. 	
BAC Capital Trust III PFD STK 7.00% Cusip~ 

139.
 BAC Capital Trust IIPFD STK 7.00% Feb 02/32 Cusip 

140. 	
Deutsche Cap FDG Noncu 7.35% Cusip 

141.
 Wells Fargo CapXl Enh PFD 6.250% 06/15/12 Cusip 

142. 
09% 2020 Cusip 

143. 	
Citigroup Cap XIX PFD 7.25% 8/15/67 Cusip 

144.
 Fleet CAP VIII 7.20% 3/15/2032 Cusip 

145.
 ING Groep N.V. 375% 

146. 	
BBT Cap VII 8.10% due 11/01/69 Cus~ 

147. 	
General Electric Capital 06.625% 06/28/32 Cusip 

148. 	
National City Cap 111 6.625% Buy 11/02/09 5/25/67 Cusip~ 

149.
 Fleet CAP TVIII 7.20% 3/15/2032 Cusip 

150.
 Schwab Trust Dividend 

151.
 Chesapeake Energy Corp 

152.
 Devon Energy Corp 	Sold 09/09/10 

153. 	
Sold 11/23/10 Income Gain Codes: =$1,000 less 1,001 $2.500 =$2,501 $5.000 =$5,001 $15,000 =$15,091- $50.000  
(See Columns and D4) =$50.001 $100.000 -$100.001 $1.000,000 1.000,001 -$5.000.0~0  112 =More than Value Codes =$15.0(10 less  $15.001-$50,000 =$50.001 $100.0~) =$10O.lO01 $250.000  
(Scc Columns and D3) =$250,001 $500,000 $500,001-$1,000.000 =$1.0(30.001 $5.0(30.000 =$5,000,001 $25.000.000 =$25.00(3.001 $50.000.000 =More llmn Value Method Codes =Appraisal -~os! {Real Estate Only) =Assessment =Cash Markc~  
(See Column C2) =Book Value =O~hcr =Estimated  

Snyder, Christina 05/23/2010
VII. INVESTMENTS and TRUSTS --income, value, transactlon~ tlnclades those spouse and dependent children; see pp. 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) (I) (2) Place "(X)" after each asset Amount Type (e.g., Value Value exempt from prior disclosure Code div., rent, Code Method (A-H) int.) (J-P) Code (Q-W)  (I) Type (e.g., buy, sell, redemption) Transactions during reporting period (2) (3) (4) Date Value Gain mm~ddhyy Code Code (J-P) (A-H)  (5) Identity buyer!seller (if private aansaction)  
154. Intel Corporation 155. Microsoft Corp 156.  Sold (part) Sold (part) Sold  09/09110 01/22/10 09/03/10  
157. Pepsico Incorporated  
158. Pfizer Inc  Sold  04/26/10  
159. Altera Corporation  Sold  10/08/10  
160. Best Buy Company  
161. Teva Pharmaceutical ADR  
162. Kohls Corporation  
163. Eastman Chemical Compay  
164. Microchip Technology Inc  
165. Procter and Gamble Company  
166. United Parcel Service  
167. International Business Machine  Sold  09/14/10  
168. International Business Machine  
169. International Business Machine  
170. International Business Machine Income Gain Codes: (See Columns and D4) Value (Sc Columns and D3) Value Method Codes [See Column C2) =$1,000 Ices -$50,001 100.000 15.000 5250.001 $500.000 =525.000.~O 550.000.000 =Appraisal =Book Value =$I,001 $2,500 =$100.001 $1,000.000 =$15.001 $50.0~0 =$500,001 $1,000.000 ~CosI (Real Estate Only) =Olher =52.501 -$5,000 1.000.001 -55.000.000 =$50.001 5100.0~X) =$1.000.001 $5.000.000 =More I~mn 550.000.0~0 =Estimated =$5.001 -$15.000 112 =More than $5.0~0.000 =510~.001 $250.000 =$5.000,001 $25,000.000 =Cash Market =$15,0~1 $50.000  

05/23/2010
VII. INVESTMENTS and TRUSTS -i.co,.e, rot.e, ~.,~.aio,~ ana~des t*ose o/s~,o.s .nd dependent children; see pjx 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 reperting period  
Place "(X)" after each asset (t)! Amount  (2)Type (e.g., Value  (2) Value  (i) Type (e.g.,  (2) Date  (3) (4) Value Gain  (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)  

171. Resmed Inc 	Sold 07/15/10 
(part) 
172.
 Resmed Inc 

173.
 Resmed Inc 

174.
 Resmed Inc 

175.
 Diamond Offshore Drilling 	Sold 06/07/10 

176.
 Schlumberger Ltd 

177.
 Texas Instruments lnc 

178.
 Verizon Communications 	Sold 05/18/10 (part) 

179. 	
Buy 09/08/10 (addl) 

180. 	
Buy 09/08/10 (addl) 

181.
 Genuine Parts 

182.
 Bank New York Mellon 	Sold 11/02/10 

183.
 Wal Mart Stores 

184.
 Alcoa Inc 

185.
 Emerson Electric Company 

186.
 Schlumberger Ltd 

187.
 Schlumberger Ltd Income Gain Codes: =$1.000 less =$1.001 $2.500 =$2.501 $5.000 =$5.001 $15.000 :$15.001 $50.000 (See Columns and D4) =$50.001 $100.000 =$100.001 $1,000.000 111 =$1.000.001 $5,000.000 112 =More lhan $5.000.000 Value Codes =$15.000 less =$15.001 $50.000 =$50.001 $100.000 =$100.1~1 $250.1300 (See Columns and D3) =$250.001 $500.000 
O=$500.001 -$I =$I.000.001 -$5,000,000 =$5,0~X1.001 -$25.000.000 =$25.000.001 $50.000.000 =More than $50.000.000 Value Method Codes =AppraisM =Cost (Real Estate Only) Asscs.smem =Cash Markc~ (See Column C2) =Book Value =Oahcr =Estimated 
VII. INVESTMENTS and TRUSTS i,,co~,e, ,al,,e, ,ran~o,ao~ (Includes those spouse and dependent children; see pp. 34-60 filing instructions.) 
[~]  NONE (No reportable income, assets, transactions.)  
Description Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure  Income during reporting period (i) (2) Amount Type (e.g., Code div., rent,  (A-H)i int.)  Gross value end reporting period (I) (2) Value Value Code Method (J-P) Code (Q-W)  (t) Typ~ (e.g., buy, sell, redemption)  Transactions during reporting period (2) (3) (4) Date Value Gain mm/dcl~ Code Code (J-P) (A-H)  (5) Idenlity buyer/seller (if private transaction)  
188. Emerson Electric Company  
189. Alcoa Inc  
190. Pfizer lnc  Sold  04/2 6/10  
191. Abbott Laboratories  
192. Taiwan Semiconductor ADR  
193. Bank New York Mellon  
194. Chesapeake Energy Corp 195. Procter Gamble Company  Sold (part)  11/02/10  
196. Procter Gamble Company  
197. Oracle Corp  
198. Western Union Corp  
199. Western Union Corp Spinofffrom Verizon  Sold  03/04/10  
200. Frontier Communications Group  Sold  07/20/I  
201. McDonalds Corp  Buy  03/10/10  
202. Activision Blizzard  Buy  04/20/10  
203. 204. Gilead Sciences Inc  Buy (addl) Buy  10/14 04/26/10 Income Gain Codes: (see Columns and D4) Value Codes (See Columns and D3) Value Method Codes (See Column C2) -$1.000 less =$50.001 $100.000 =515.000 less =$250.001 $500.000 =$25.000.001 $50.000.000 =Appraisal =Book Value =$1,001 $2.500 =$100.001 $1.000.000 =$15.001 550.000 =$500.001 $1.000.000 =Cost (Real Estate Only) =Other =$2.501 $5.000 III =$1.000.001 $5.000.000 =550.0~1 5100.GO0 =$1.000.001 $5.000.000 =More than =Asscssmtmt =E~imatcd =55.001 515.000 112 =More than $5.000.000 =$10~.001 $250.000 =$5.000.001 $25.0~).000 --Cash Markcl =$15,001 550.000
Date Repo~Name Person Reporting
Snyder, Christina 	05/23/2010
VII. INVESTMENTS and TRUSTS inco,,e, value, ~ra,~ac,io,~ anctades those oI~pou~e and dependen, 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)  CI)  (2)  (I)  (2}  (3)  (4)  (5)  
Place "(X)" after each asset  Amount  Type (e.g.,  Value  Value  Typ~ (e.g.,  Date  Value  Gain  Identily  
exempt from prior disclosure  Code  div., rent,  Code  Method  buy, sell,  mm!dclhs"y  Code  Code  buyer/seller  
(A-H) int.)  (J-P)  Code  redemption)  (J-P)  (A-H)  (if private  
(Q-W)  transaction)  

205.
 Archer Daniels Midland 	Buy 05/18/10 

206. 	
Buy 12101110 (addl) 

207.
 Marsh McLennan Cos Inc 	Buy 07/20110 

208.
 Hewlett Packard Company 	Buy 08/19110 

209. 	
Buy 12/02110 (addl) 

210.
 Aflac Ine 	Buy 09/09/10 

211.
 Adobe Systems 	Buy 10/08110 

212.
 Cisco Systems Inc 	Buy 09/09/10 

213.
 Halliburton Company 	Buy 11/02/10 

214.
 Schwab Trust Dividend 

215.
 Abbott Laboratories 

216.
 Altria Group Inc 

217.
 Bank New York Mellon Corp 

218.
 Diamond Offshore Drilling 	Sold 06/07/10 

219.
 FPL Group Inc 	Sold 01/19/10 

220.
 InteI Corporation 

221.
 Intel Corporation Income Gain Codes: =$1,000 less =$1,001 $2.500 =$2.501 $5,000 =$5.001 $15.000 =$15.091 $50,0(~ (see Columns and D4) =$50,001 $100,000 =$100.001 $1.000,0~0 I11 =$1.0~).001 $5.000.000 =More than $5,000.000 2.Value Codes =$15,000 o less =$15.001 $50.0~ =$50.0OI -$100.0~) =$10~.0OI -$250.000 [See Columns and D3) =$250.0OI $500,0~O =S500.001 $1.000,000 =$1.000.001 -$5.000.000 =$5.0091.0OI $25.009.000 =$25.000.001 $50,0OO.0~0 =More than $50.000.0~) 3.Value Method Codes =Appraisal =Cost (Real Eslate Only) ss~ssmenl 
=Cash Markd (See Column =Book Value =Otho-W =Estimated 
Snyder, Christina 	05/23/2010
VII. INVESTMENTS and TRU STS -i.come, vogue, ~a~o.io~ a.ctu~es those ;spouse ~epe.~e.~ it~re~; see pp. 34-60 filing instructions.)  NONE~o reportable  income, transactions.)assets,  
Description Assets  Income during  Gross value end  Transactions during re~rting period  
(including trust assel~)  reporting l~riod reporting period  
Place "(X)" after each asset Amount  (2) Type (e.g., Value  (2) Value  (I) Type (e.g.,  (2) Date  (3) (4) Value Gain  (5) Identity  
exempt from prior disclosure Code  div., rent,  Code  Method  buy, sell,  mm/dd/~i  Code  COde  buyer/seller  
(A-H) int.)  (J-P)  Code (Q-W)  redemption)  (J-P)  (A-H)  (if private transaction)  

222.
 Pepsico Incorporated 

223.
 BCE Inc 	Sold 06/07/10 

224.
 Johnson Johnson 

225.
 Philip Morris Intl Inc 

226. 
Taiwan Semiconductor- ADR 

227.
 Eastman Chemical Company 

228.
 Lilly Eli Company 	Sold 09/03/10 

229.
 Pitney Bowes Inc 

230.
 Chevron Corp 	Buy 04/14/10 (addl) 

231.
 Microchip Technology Inc 

232.
 Scana Corp 

233. Corporation 

234.
 Bristol-Myers Squibb 

235.
 Bristol-Myers Squibb 

236.
 Kimberly Clark Corporation 

237.
 Genuine Parts 

238.
 Bank New York Mellon Corp Income Gain Codes:  A=$1,000 less =$1,001 $2.500 =$2.501 $5,000 =$5.001 $15.000 =$15,001 $50.000  
(See Columns and D4) =$50.001 $100,000 =$100.001 $1.000.000  111 =$1,000.0~1 $5.0(~.000  tl2 =More than $5.000.000 Value 5,000 less =$15.001 ~$50,001  
(See Columns and D3) =$250,001 $500.000 =$509.001 $1,00~.0~ =$5.000.001 -$25,000.0~ =$25.000.001 -$50.000.0~0 =More than $50.000.000 Value Method Codcs =Appraisal ~osl (Rcal Estate Only) =~ash Markc~  
(See Column C2) -Book Value =O~hcr -Estimated  

Name Person Reporting 	Date Report

05/23/2010 INVESTMENTS TRU STS -i.com., ,,alue, ,.~,~o.~o,~ a.aud~ ,hose o/spouse o.d dependent ~hU~re.: seere. 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) 
Date Value Gain Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, nun!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., 
239.
 Vedzon Communications 	Buy 07/07/10 (addl) 

240.
 United Parcel Services- 

241. Corporation 

242.
 Emerson Electric Company 

243.
 PPG Industries 

244.
 McDonalds Corp 	Sold 07/02/10 

245.
 PPG Industries 

246.
 Emerson Electric Company 

247.
 Altria Group Inc 

248.
 Sysco Corporation 	Sold 04119/10 

249.
 Abbott Laboratories 

250.
 Taiwan Semiconductor ADR 	Buy 02/16110 (addl) 

251.
 Kellogg Company 

252.
 Eastman Chemical Company 

253.
 Pitney Bowes the 	Buy 08/06/10 (addl) 

254.
 Frontier Commuications Group 	Sold 07/13110 

255.
 Total SPON ADR 	Buy 01127/10 =$15.001- $50.000 (See Columns and D4) =$50.001 DO.000 =$100,001 $1.000.000 III =$1,000.001 $5.000.0~0 112 =More lhan $5.000.000 Income Gain Codes: 1.000 less 1.001 $2,500 =$2,501 =$15.0~) h:ss =$15.001 $50.000 =$50.001 $100.000 =$100.001 $250.000 
{see Columns and D3) =$250.0OI $500.000 =$500.001 $1,000.000 =$1,000.001 $5.000,00~ =$5.000.001 $25.000.000 =$25.000.001 $50.0~0.000 =More than $50.~).000
 Value Codes
 Value Method Codes =Appraisal Cost (Real Estate Only) =Assessmen! -~Sash Market 
(See Coluran C21 =Oiho" =Egiraated -Bc~k Value 
Name Person Reporting Date Report

05/23/2010 

VII. INVESTMENTS and TRUSTS ~.eome, va~ue, ,a~.ctlo,~ a.ctudes ,hose spouse o.d d~p,~, ~hit~r~.: 34-60 fillng instructions.)  NONE(No reportable income, assets, transactions.)  
Description Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure  Income during reporting period (1) (~)IAmount Type (e.g., Code div., rent, (A-H) int.)  Gross value end ofreporting period (1) (2) Value Value Code Method (J-P) Code (Q-W)  (I) Type (e.g., buy, sell, redemption)  Transactions during reporting period (2) (3) (4) Date Value Gain mm/dd/yy Code Code (J-P) (A-H)  (5) Identity buyer/seller (if private transaction)  
256. 257.  Marsh McClerman Cos Inc  Sold (part) Buy  08/31/10 04/20/10  
258. 259. Wal Mart Stores  Buy (addl) Buy  07/07/I 07/06/I  
260. Nucor Corporation  Buy  07/13/10  
261. Novartis ADR  Buy  08/25/10  
262. Aflac Inc  Buy  09/09/10 Income Gain Codes: =$1.000 less  B=$1,0~1 $2.500 =$2.501 $5.000 =$5,001 $15.000 =$15,001 $50.000  
(See Columns and IM) =$50.001 $100,000 =$100.001 $1.000.000 1.000.001 $5.000.000  112 =More than $5.000.00~ Value Cod~ =$15.001 $50.00~ :$50.001 $100.000 =$109.001 $250.000  
(See Columns and D3) =$250.001 $500.000 =$500,001 $1.000.000 =$1.000.001 $5.000,000  12 =$5.000.001 S25.000.000 ~$25.000.001 $50.000.000 =More than $50.000.000 Value Mclhod Codes =Appraisal :=Cost (Real Estate Only) =C~h Mark~  
(See Column C2) =Book Value ~Estima~ed  

Name Person Reporting Date Report
VIII. ADDITIONAL INFORMATION EXPLANATIONS. flndicate part report) Part VII, page line Inadvertently not taken off2009 report sold all 2008 Part VII, page line Issue name Southwestern not Southwest Part Vll, page line Custodian used different money market fund Part VII, page line Custodian added additional money market fund Part Vll, page line Descriptor changed from BDS SER 2002 0.500% 10/01/2022 Part VII, page line Descriptor changed from Refunding BDS SER 05.000% 08/01/23 Part VII, page line Descriptor changed from VAR PURP BDS Ser 0.5000% 02/01/2026 Part VII, page line Descriptor changed from CNTY TOB 05.875% 06/01/2027 Part VII, page line Descriptor changed from SER 5.00% 04/01/2038 
10) Part VII, page line Descriptor changed from BDS SER 2007 06/01/2037 Part VII, page line Descriptor changed from BDS SER 2007 06/01/2024 
12) Part Vll, page line Descriptor changed from BDS AND REV 05.000% 08/02/22 
13) Part VII, page line Descriptor changed from REF BDS 05.000% 05/01/2024 
14) Part Vll, page line 136 Custodian used different money market fund 
15) Part VII, page 12, line 137 Custodian added additional money market fund 
16) Part VII, page 12, line 138 Descriptor changed from BAC CAP III CAP SECS PFD 7.00% 08/15/2032 
17) Part VII, page 12, line 139 Descriptor changed from BAC Capital CAP SECS PFD 7.00% 02/01/2032 
18) Part VII, page 12, line 140 Descriptor changed from Deutsche CAP FDG Noncu PFD SECs Perp 7.35% 12/15/02 
19) Part VII, page 12, line 141 Descriptor changed from Wells Fargo Cap FDG Mpmcir PFD TRU 6.25% 06/15/12 
20) Part VII, page 12, line 142 Descriptor changed from Gov Natl Mtg Assn./Poll 285818 9.00% 02/15/2020 
21) Part VII, page 12, line 143 Descriptor changed from Citigroup CAP XIX PFD 7.25% 8/15/2067 
22) Part VII, page 12, line 144 Descriptor changed from Fleet CAP VIII 7.0% 3/15/2032 and rate was typed incorrectly 2009 FDR-should 7.20% Part VII, page 12, line 145 Descriptor changed from ING Groep N.V. 6.375% 6/15/2012 
24) Part VII, page 12, line 146 Descriptor changed from BBT Capital Trust VII 
25) Part VII, page 12, line 147 Descriptor changed from General Electric 
26) Part VII, page 12, line 148 Descriptor changed from National City Cap Ill PFD 6.625% 0512512012 
27) Part VII, page 12, line 149 Descriptor changed from Fleet CAP VIII 7.0% 3115/2032 and rate was typed incorrectly 2009 FDR-should 7.20% 
28) Part VII, page 15, line 202 Frontier Communication Group received spin-off from Verizon 
29) Part VII, page 17, line 222 Security bought two separate lots, but sold together one lot 
30) Part VII, page 19, line 258 Frontier Communication Group received spin-off from Verizon 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 withheld because met applicable statutory provisions permitting non-disclosure. further certify that earned income from outside employment and honoraria and the acceptance gifts which 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 FALLS 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



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