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Judicial Watch • Karen E. Schreier – 2010

Karen E. Schreier – 2010

Karen E. Schreier – 2010

Page 1: Karen E. Schreier – 2010

Category:Federal Judges

Number of Pages:13

Date Created:September 13, 2013

Date Uploaded to the Library:December 14, 2014

Tags:Schreier, Karen E Schreier, Karen, account, 2010, assets, Codes, dividend, disclosure, reporting, report, Federal Judge, financial, income, Judge


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Rev. 1/2011 
FOR CALENDAR YEAR 2010 U.S.C. app.  101-11 Person Reporting (last name, first, middle initial) Court Organization Date Report 
Schreier, Karen 	U.S. District Court, South Dak 05/10/2011 Title (Article III judge~ indicate active senior status; 5a. Report Type (check appropriate type) 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 
Untied States District Court with applicable laws and regulations. 
 
400 Phillips Avenue, Rm. 233 
Sioux Falls, 57104 
 
Reviewing Officer 	Date 
IMPORTANT NOTES: The instructions accompanying this form must followe,t Complete all parts, checking the NONE box for each part where you have reportable information. Sign last pag~ POSITI Repomng individual only; see pp. 9-13 filing instructions.) NONE (i~ro reportable positions.) 
POSITION 	NAME ORGANIZATION/ENTITY 
President 	Eighth Circuit District Judges Association 
Member Board Directors 	South Dakota Childrens Home Society 
Member Board Directors 	Federal Judges Association 
 
 
Schreier, Karen 
II. AGREEMENTS. ~eepo,~i,g individual only; see pp. 14-16 filing instructions.) 
[-~ 	NONE (No reportable agreements.) DATE PARTIES AND TERMS 
 
Name Person Reporting Date Report 
 
 
Schreier, garen 05/10/2011 NON-INVESTMENT INCOME. (Re~o.i.g i.di,id.al~.dspo~,e: s.ep~ tZ-24 filing instructions.) 
 Filers Non-Investment Income 
 
 
[~] NONE non-investment income.)(No reportable 
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.) DNONE (No reportable non-investment income.) DATE SOURCE AND TYPE 2010 Self-employed (attorney) 
 
 
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 Federal Judges Association 5/21/2010 Washington, board directors meeting hotel and meals GIFTS. ancl,,d,., ,hose spo~,o and dependent children; see pp. 28-31 filing instructions.) 
NONE (No reportable gifts.) 
SOURCE DESCRIPTION VALUE 
VI. LIABILITIES. a.d.des those olspouse a.d depe.de, chUdre,; s*o 32-33 filing imtructlons.) 
NONE (No reportable liabilities.) 
CREDITOR DESCRIPTION VALUECODE 
 
 
Name Person Reporting 	Date Report II. ESTMENTS and STS .... ralue, transactions (Includes those spouse and dependent children; see plx 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 (2) (1) (21 (I) (2) (3) (4) (5) Place (X) al~er each asset Amount Type (e.g.. Value Value Type (e.g., Dale Value Gain Identity exempt from prior disclosure Code div., rent, Code Method buy, sell, nurddd.,3y Code Code buyer/seller (A-II) int.) (J-P) Code redemption) (J-P) (A-H) (if private 
(Q-W) 	transaction) 	 
BROKERAGE ACCOUNT Rowe Price 	 
-EQUITY INCOME FUND Dividend 	 
-GROWTH STOCK FUND Dividend 	 
-NEW HORIZONS FUND Distribution 	 
-SCIENCE AND TECHNOLOGY FUND None 	 
-VALUE FUND Dividend 	 
IRA ACCOUNT RBC Wealth Management 
 -Prime Money Market Fund Interest 
 -PACIFIC LIFE FDS lnt./Div. Buy 01/26/10 
 
10. 	 
Buy 02/16/10 (addl) 
 
11. 	 
Buy 03/16/10 (addl) 
 
12. 	 
Buy 06/28/10 (addl) 
 
13. 	 
NEW YORK LIFE INSURANCE CO. -Interest ANNUITY 
 
14. 	 
NEW YORK LIFE UNIVERSAL LIFE Dividend POLICY 
 
15. 	 
LINCOLN FINANCIAL GROUP Dividend UNIVERSAL LIFE INS. POLICY 
 
16. 	 
JEFFERSON NATIONAL UNIVERSAL Dividend LIFE INS. POLICY 
 
17. 	 
TRAVELERS LIFE ANNUITY Dividend UNIVERSAL LIFE INS. POLICY 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 134) =$50.001 $100.000 =$100.091 $1.000.000 Ill =$1.000.001 $5.000.000 112 =More than $5.000.000 
 Value Codes =$15.000 less =$15.001 $50.000 =$50.001 $10~.{X~ =$100.001 -$250.000 
 
(See Columns and D3) =$250.001 $500.000 =$500.001 $1.0(KI.00~ =$1.000.0OI $5.000.000 =$5.000.001 $25.000.000 =$25.000.001 $50.0~0.000 =More than $50.000.000 
 Value Method Codes =Appraisal ~Sost (Real Estate Only) =Assessment =Cash Markc~ 
tSc Cohmm C2) =Book Value =O~ho =Eslimated 
 
 
 
Schreier, Karen 	05/10/201 
VII. INVESTMENTS and TRU STS -income, value, tra,~octio~ anclud,~ those spouse and dependent children; see pp. 34-60 fillng instructions.) 
NONE (No reportable income, assets, transactions.) B.C. 
Description Assets Income during Gross value end Transactions during reporting period (including tn~st assets) reporting period reporting period (2) (2) (i) 12) (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/3,y Code Code buyer/seller (AdD int.) (J-P) Code redemption) (J-P) (A-II) (if private (Q-W) transaction) 
18. 	 
COMMUNITY HEALTH LTD.[~i Distribution 
 
19. 	 
HOME FEDERAL BANK ACCOUNT Interest 
 
20. 	 
FIRST DAKOTA TITLE INS. LTD. PTR. Distribution 
 
21. 	 
BROKERAGE ACCOUNT 
 
22. 	 
-TAMARACK PRIME MONEY MKT Interest 
 
23. 	 
-ALLIANCE BERNSTEIN MID CAP Dividend GROWTH FUND 
 
24. 	 
-ALTRIA GROUP INC. COMMON Dividend 
 
25. 	 
-AOL INC. COMMON None 
 
26. 	 
-BERKSHIRE HATHAWAY None Spinoff 02/17/10 COMMON (from line 27) 
 
27. 	 
-BURLINGTON NORTHERN SANTA Dividend Sold 02/17/10 COMMON (part) 
 
28. 	 
Redeemed 02/17/10 (part) 
 
29. 	 
-CISCO SYSTEMS INC. COMMON None 
 
30. 	 
-CITIGROUP INC. COMMON Dividend Buy 09/10/I0 
 
31. 	 
Sold 10/19/10 (part) 
 
32. 	 
-COCA-COLA COMPANY COMMON Dividend 
 
33. 	 
-COLGATE-PALMOLIVE COMPANY Dividend COMMON 
 
34. 	 
-DREYFUS SP 500 INDEX FUND Dividend 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 III =$1.000.001 $5.000.000 112 =More than $5.000.000 
 Value Codes =SI 5.000 I~.~s :$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 $5.000.000 $5.000.001 $25.000.000 =$25.000.001 $50.000.000 =More than $50.000.1)00 
 Value Method Codes =Cost (Real Estale O~ly) ~As,scssmem =Cash Marke~ -Appraisal 
(See Column C2) =Book Value =Olh;r -Estimated 
 
Schreier, Karen 	05/10/701 
Vll. INVESTMENTS and TRUSTS .... value, tran~actio~ (Indudes thoxe o[spouse and depende.t childrem see pp. 34-60 filing instructions.) NONE(No reportable income, assels, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period 
(including tnast assets) reporting period reporting period (I) (2) (t) (2) (I) (2) (3) (4) Place (X) after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Idcnti~ exempt from prior disclosure Code div., Code Method buy, sell, mm/dd~y Code Code buyer/seller (A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private transaction) 
35. 	 
-EMC CORP. MASSCOMMON None 
 
36. 	 
-GENERAL ELECTRIC COMPANY Dividend 
COMMON 
 
 
 
37. 	 
-HANESBRANDS INC. COMMON None 
 
38. 	 
-HOME DEPOT INC. COMMON Dividend 
 
39. 	 
-ING INDEX PLUS MIDCAP FUND Dividend 
 
 
40. 	 
-ING INDEX PLUS SMALLCAP FUND None 
 
 
41. 	 
-INTEL CORPORATION COMMON Dividend 
 
42. 	 
-KOPIN CORP COMMON None 
 
43. 	 
-KRAFT FOODS INC Dividend 
 
44. 	 
-MEDTRONIC INC. COMMON Dividend 
 
45. 	 
-MERCK CO. INC. COMMON Dividend 
 
46. 	 
-MICROSOFT CORP COMMON Dividend 
 
47. 	 
-PEPSICO INCORPORATED COMMON Dividend 
 
 
:48. -PFIZER INC. COMMON Dividend 
49. 	-PHILIP MORRIS INTL INC. COMMON Dividend 50. -PROCTOR GAMBLE CO. COMMON Dividend 
51. 	-REGIONAL HOLDRS Dividend 
DEPOSITARY RCPT Incomc 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 $50.001 100,000 =$100.1301 1.000.000 =$1.0~0.001 5.000.000 112 =More than $5.000.000 Value Codes =$15.000 Icss =$15,001 $50.000 =$50.001 $100.000 =$100.001 $250.000 
lSce Columns and D3) =$250.001 $5CO.000 =$.q)O.001 $1,000.000 =$1.0~0,001 $5.000,000 =$5.000.001 $25.000.000 Value/qcwhod Codes =$25,000.001 $50.000.090 =Appraisal -~?ost (Real Estate Only) =More than $50.000.000 =Asscssmc-at =C~h Market 
(Scc Column C2) =Book Value =O~hcT ~Estimated 
 
VII. INVESTMENTS and STS -income. ,.al,o. ,,a,~oc,io,~ (Include~ those spouse and dependent children; see pp. 34-60 filing instrucllo.$O 
NONE (No reportable income, assets, transactions.) B.C. 
Description Assets 	Income during Gross value end Transactions during reporting period 
(including m.Lst asse~s) reporting period r~rting period (I) (2) (~) (2) (~) (2) (3) (4) (57 Place (X) after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity exempt from prior disclosure div., rent, Code Method buy, sell, mm/dd,.~, Code Code buyer/seller Code (A-H) int.) (J-P) 	Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
52. 	 
-SARA LEE CORP. COMMON Dividend 
 
53. 	 
-3M COMPANY COMMON Dividend 
 
54. 	 
-TIME WARNER CABLE INC COMMON Dividend 
 
55. 	 
-TIME WARNER INC. NEW COMMON Dividend 
 
56. 	 
-VAN ECK FUNDS GLOBAL HARD Dividend ASSETS FUND 
 
57. 	 
-WALGREEN COMMON Dividend 
 
58. 	 
-WALT DISNEY (HOLDING CO) Dividend COMMON 
 
59. 	 
-BP PLC SPONS ADR COMMON Dividend 
 
60. 	 
-COVIDIEN PLC COMMON (X) Dividend 
 
61. 	 
-AMERICAN FUNDS EURO PACIFIC Dividend GROWTH 
 
62. 	 
-TYCO ELECTRONICS LTD COMMON Dividend 
 
63. 	 
-TYCO INTL LTD NEW COMMON Dividend 
 
64. 	 
-UIT FIRST TRUST CANADIAN Dividend Buy 06/15/10 ENERGY INCOME 
 
65. 	 
-ALLIANCE BERNSTEIN GLOBAL Int./Div. BOND FUND INC 
 
66. 	 
-PIMCO FDS YLD Dividend 
 
67. 	 
-NUVEEN FLAGSHIP ALL-AMERICAN Interest MUNICIPAL BOND FUND 
 
68. 	 
-THORNBURG LTD TERM MUNICIPAL Interest FUND 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 IM) =$50,001 $109,000 =$100.001 $1,000.000 II1 =$1.0~},001 $5.0~).000 112 =More than $5,000.000 Value Codes =$15.0~O o less =$153301 $50.000 =$50.001 $10~.000 =$100.001 $250.000 
(S~e Columns and D3) =$250.001 Value Method Codes =$25,000.001 $50,000.000 =Appraisal =Cost (Real Estate Only) =Mote than $50,0~k000 =Assessment =Cash Markcl 
(See Column C2) =Book Value =Other =Estimated 
 
05/10/201 11. INV ESTMENTS and STS income, ,,otue, ~*~s*.io~ ancludes those*S~po~se *nd 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 
69. 
-PHOENIX BOND 
 
70. 
-CA HLTH FAC. REV. BOND 
 
71. 
-WA ST. COLL SVGS BDS.~ 
 
 
72. -SO DAK ST. BLD. ATH LES. REV. AMBAC BOND 
73. -MARICOPA CO. IDA SFM ETM BOND 
174. -DESCHUTES JEFFERSON CNTYS SDI~I 
75. -EAST SIDE UHSD CALIF. BOND 
 
76. 	 
-YUBA CITY CAL. UNI. SCHOOL DIST. BOND 
 
77. 	 
-RYDEX SER FDS JUNO 
 
78. 	 
-LINCOLN NATL LIFE AMER. ANNUITY 
 
79. 	 
IRA ACCOUNT RBC WEALTH MANAGEMENT 
 
80. 	 
-FEDERATED MONEY MKT F/K!A TAMARACK 
 
81. 	 
-ADVISORS INNER CIRCLE CHAMPLAIN SMALL 
 
82. 	 
-EAGLE SER MID CAP STK 
 
83. 	 
-EATON VANCE LARGE CAP VALUE FUND 
 
84. 	 
-AMERICAN FUNDS GROWTH FUND CLASS 
 
85. 	 
-AMERICAN FUNDS EURO PACIFIC GROWTH FUND Income Gain Codes: =$1.000 less (See Columns and D4) =$50.001 $100.000 Value Codes =$15.000 less {See Columns and D3) =$250.001 $500.0(10 
Income during Gross value end 
reporting period reporting period (I) (2)[ AmountCode Type (e.g., div., rent, (I) Value Code (2) Value Method (I) Type (e.g., buy, sell, 
(A-H) int.) (J-P) Code redemption) 
(Q-W) Interest Redeemed None Redeemed 
None 
None None NoneK None None None Interest Interest Dividend Buy Dividend Buy Dividend Dividend Dividend =$I,001 $2.500 =$2.501 $5.000 =$100.001 $1.000.0~0 I11 =$1.000.001 $5.000.000 =$15.001 $50.000 =$50.001 $100.000 =$500.001 -$1,000.000 =$1.000.001 $5.000.000 
Transactions during reporting period 
{2) (3) (4) (5) 
Date Value Gain Identity mm/dd~/y Code Code buyer/seller (J-P) (A-H) (if private transaction) 
07/01/10 10/01/10 
03/29/10 03/29/I =$5.001 $15.000 =$15.001 $50.000 
112 =Morc than $5.000.000 =$10~.001 $250.000 =$5.0,00.00{ $25.000.000 =$25.000.001 $50.000.000 =Mo~e Ihan $50.000.000 Value Method Codes =Appraisal =Cost (Real Estate Only) =Assessment =Cash Markd 
(See Column C2) =Book Value =Olher =Eslima~cd 
 
Name Person Reporting 	Date Report 
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) (]) (2) (2) (3) (4) (5) Place (X) after each asset Amount Type (e.g., Value Value Ty~ (e.g., Date Value Gain Identity 
exempt from prior disclosure Code div., rent, Code Method buy, sell, mm/dd~/y Code Code buyer!seller int.) (J-P) Code redemption) (J-P) (A-H) (if private (A-H) 
transaction) 
86. 	 
-OPPENHEIMER MAIN STREET SMALL Dividend Sold 03/29/I0 CAP FUND 
 
87. VALUE FUND Dividend Sold 03/29/10 
 
88. 	 
-DELAWARE DIVERSIFIED INCOME Dividend Sold 03/29/I FUND (part) 
 
89. 	 
-EATON VANCE GLOBAL MACRO Interest ABSOLUTE RETURN FUND 
 
90. 	 
-EATON VANCE MUT FDS FLTG Int./Div. Buy 03/29/10 RATE 
 
91. 	 
-FTTEMPLETON GLOBAL BOND Interest 
 
92. 	 
-LOOMIS SAYLES STRATEGIC Dividend Sold 03/29/10 INCOME FUND (part) 
 
93. 	 
-FICO STRIPS SERIES BOND None 
 
94. 	 
-US TREAS. SEC. STRPD. BOND None 
 
95. 	 
-FHR 21-Z f/k/a FEDL. HOME LOAN Interest MTG. CORP. BOND 
 
96. 	 
BROKERAGE ACCOUNT RBC WEALTH MANAGEMENT 
 
97. 	 
-GALENA PARK IND. BOND None 
 
98. 	 
-CLACKMUS WASHINGTON SERV None BOND 
 
99. 	 
-SOUTHERN MINNESOTA MUNI PWR None Buy 04/14/10 BOND 
 
100. 	 
-SOUTHERN MUN PWR AGY None SUPPLY BOND 
 
101. 	 
-PENN TPK COMMN TPK TOLL None Buy 08/03/10 ROADS BOND 
 
102. PRIME MONEY MARKET FUND Interest Income Gain Codes: =$1,000 less =$1,001 $2,500 =$2,501 $5,090 =$5.001 $15,000 =$15,001- $50.000 (See Columns and D4) =$50,001 $100.000 =$100,001 $1.000.000 III =$1.000.001 $5.000.000 112 =More than $5,000.000 Value Codes =$15.0OO Ices =$15,001 $50.0OO =$50.0OI $100.(X)O =$100.001 1250.000 
(See Columns and D3) =$250,001 $500,000 =$500.I)01 $1,000,000 =$1.000.001 =$25,000.0OI $50.000.000 =More lhan $50.000.000 Value Method Codes =Appraisal -~?os! (Real Estate Ordy) =Assessmen! =C~h Markc~ 
(See Column C2) =Book Value =Olhcr =Estinhalcd 
 
Schreier, Karen 	05/10/2011 
VII. INVESTMENTS and TRUSTS ~,,co,,e. ,ah, ....,io,~ (lncludes those spouxe and dependent children; seepl~ 34-60offillnginstruction~) 
NONE (No reportable income, assets, transactions.) 
Description Assets Income during Gross value end Transactions during reporting period 
(including trust assets) reporting period reporting period (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 buyer/seller 
exempt from prior disclosure div., rent, Code Method buy, sell, mm/dd,~y Code Code (A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
I03. 	FIRST NATIONAL BANK SIOUX None FALLS ACCOUNT 
104. 	 
FIRST NATIONAL BANK SIOUX None FALLS ACCOUNT 
 
105. 
 DOUGHERTY DOUGHERTY LLP Interest 
 
 
106. 
 DISCOVER BANK ACCOUNT Interest 
 
107. 
 BROKERAGE ACCOUNT 
 
108. ROBINSON WORLDWIDE INC. Dividend Sold 07/30/10 COMMON 
 
 
109. 	 
-EATON VANCE NAT MUN COMMON Dividend 
 
110. 	 
-MARINA BIOTECH INC. COMMON None K/A MDRNA INC 
 
111. 	 
-SPECTRASCIENCE COMMON None 
 
112. 	 
-US BANCORP DEL COMMON Dividend 
 
 
113. 	 
-TUSCARAWAS CNTY OHIO HOSP REV Interest BOND 
 
114. 	 
-MERRILL LYNCH INC None Sold 09/13/10 COPORATE BOND 15. -BANK. AMER CORP BOND laterest 
116. 	 
-MORGAN STANLEY DEAN WITTER Int./Div. Buy 03/15/10 DISCOVER MED TERM NTS 
 
117. 	 
-MORGAN STANLEY GROUP INC. Interest Buy 08/20/10 BOND 
 
118. 	 
-MORGAN STANLEY GROUP INC. Interest Buy 09/23/10 FLOATING RATE NTS 
 
119. 
 -BANK AMERICA Interest Buy 08/06/10 Income Gain Codes: =$1,000 less =$1,001 $2.500 =$2.501 $5,00 =$5,001 =$15.091 $50.000 (Scc Columns and $50.001 100,000 =$100.001 1.000.000 1.000.001 $5.000.000 tl2 =More than $5.000,000 =$15.000 less =$15.0OI $50.000 =$50.001 $100.0(~ =$10~.001 $250.000 
(See Columns and =$250.001 $500.000 =$500.001 $1.000.000 =$1,000.001 $5.000.000 12 =$5.000,001 $25,000.000 =More than $50.000.0{)0 Value Codes =$25.000.001 $50.000,0~0 =Cash Markc~3. Value Method Codes =Appraisal ~Cost tRcal Estate Only) =Asscssmcnt 
(S~ Column C2) =Book Value =~ho =Estimated 
Name Person Reporting 	Date Report 
VII. INVESTMENTS and TRUSTS -i.come, ,,otue, .o~oc,io~ a.d.de~ tho~. oI~pou~e o.d depe.d~.t childrent see pp. 34-60 filing instructlon~.) 
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, mm/dd/yy Code Code buyer/seller 
(A-H) int_) (J-P) Code redemption) (J-P) (A-H) (if private 
(Q-W) transaction) 
 
120. 	 
-JPMORGAN CttASE NEW YORK, Inlerest Redeemed 07/22110 
 
121. 
 -WELLS FARGO Interest 	Redeemed 08/02/10 
 
122. 	 
DOUGHERTY COMPANY LLC Interest ACCOUNT 
 
123. 
 TRUST Interest 
 
124. 	 
-FIRST NATIONAL BANK SIOUX FALLS, ACCOUNTS (x) 
 
125. 
 TRUST (X)~,~, Distribution SEP IRA 
 
126. 	 
-FIRST NATIONAL BANK SIOUX FALLS ACCOUNTS (X) 
 
127. 
 TRUST#3 (X) Distribution TRAD IRA 
 
128. 	 
-FIRST NATIONAL BANK SIOUX FALLS ACCOUNTS (X) Income Gain Codes: =$1.000 less =$1,001 $2.500 =$2.~01 =$5.001 $15.000 =Sl5.0~l- $50.000 
(Sc Colmnns and 1)4) =$50.001 $10~,000 =$100.001 $1.000.0~0 Ill =$1.000.001 $5.0(~0.000 112 =More than $5.000.000 Vahm Co,d~ =$15.000 k~s =$15.001 $50.000 =$50.001 5100.0~ =$100.0OI $250.~O0 
(S~C Colum~ and D3) =$250.001 S500.000 =$500.001 $1.000.000 =$1.000.001 $5.000.000 =$5.000,001 -$25.000.0(~ =$25.00~.001 $50.000.000 =More than $50.000.000 Value Method COd~ =Appraisal =C~t (Real Estate Only) =Assessment -~Zash Markc~ 
(S,.: Column C2) =Book Value =Other =E~imated 
 
VIII. ADDITIONAL INFORMATION EXPLANATIONS. (Indicate part report) 
 
Name Person Reporting Date Report 
Schreier, Karen 05/10/2011 
 
IX. CERTIFICATION. certify that all information given above (including information pertaining spouse and minor dependent children, any) isaccurate, 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: S/Karen Schreier 
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