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Judicial Watch • Mary L. Cooper – 2003

Mary L. Cooper – 2003

Mary L. Cooper – 2003

Page 1: Mary L. Cooper – 2003

Category:Federal Judges

Number of Pages:7

Date Created:February 4, 2005

Date Uploaded to the Library:October 07, 2014

Tags:Eaton, Worldwide, balanced, Mary L Cooper, VANCE, asset, Davis, government, dependent, 2003, Codes, dividend, reportable, reporting, report, Federal Judge, income, Judge


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POSIDONS. (Reporting individual only; see pp. 9-13 offiling instructions) 
 NONE  (No reportable positions.) 
 
 
(Reporting individual only; see pp. 14-16 filing instructions) 
II. AGREEMENTS. NONE (No reportable agreements.) 
 
 
III. NON-INVESTMENT INCO?vffi. (Reporting individual and spouse; see pp. 17-24 filing instructions) Filers Non-Investment Income 
 NONE -(No reportable non-investment income.) 
 
 
 NONE GIFTS. (Includes those tospouse and dependent children. See pp. 28-31 instructions.) 
 NONE (No such reportable gifts.) 
 
 
VI. UABII..J.TIES. 	(Includes those ofspouse and dependent children. See pp. 32-34 ofi.nstru.ctions.) NONE  
 
Loan 
 
 
 
FiiANCIAL DISCLOSURE REPORT 
Date Report 
Name Person Reporting 
Cooper, Mary 
3/4/2004 
-income, value, transcations (includes those the spouse and dependent childrctL See pp. 34-57 filing instructions.) 
VIL INVESTMENTS and TRUSTS 
Gross value end 
Income dming 
Transactions during reporting period 
Description Assets 
(including trust assets) not exempt from disclosure 
(1) (2) (l) 
(I) (2) 
(3) (4) (5) 
(2) 
Place (X) after each asset 
Date: 
Valoe Value Type (e.g. 
Value Gain Identity 
Type (e.g. 
Amount 
Mclhod buy, sell, 
from priordisclosure 
Mondt 
Codc2 
div. mill. 
Code 
Code2 Code buycrfseller 
(A-8) 
(J-P) Code3 
int.) 
merger. 
Day (J-P) (A-8) 
(Ifprivatetransaction) 
DNONE (No reportable income, assets, transactions) 
PNC Bank New Jersey -bank accounts Primary asset vacation home. 
 Trustee: National City Bank Interest 
None 
Dividend 
(Q-W) Pilgrim Worldwide Growth Fund (IRA) None 
Bs. Merrill Lynch CMA Account Interest Blackrock Index Equity Fund None Davis New York Venture Fund 
None Worldwide Health Fund 
None Baton Vance Tax Management Fund 
None 
10. Global Allocation Fund (IRA) 
-Dividend 
11. 
College Savings (Trustee) 
 
 
None 
12. 
Alliance Balanced Shares Fund 
 
DividendA 
13. MFS Total Return Fund, Class (IRA) 
Dividend 
14. MFS Total Return Fund, Class (not IRA) Dividend 
15. Oppenheimer Ltd.-Tcrm.Fund (IRA) Dividend 
DividendA 
16. 
Putnam Fund for Growth Income 
 
 
None 
17. 
Amaican Balanced Fund 
 
DividendBlackrock Intermediate Bond Portfolio A18. 	Income/Gain Codes: Sl,000 less Sl,OOJ-$2,500 (See Col= am! 04) =SS0,001-$100,000 $100,001-$1,000,000 Value Codes: $15,000 Jess $15.00HSO.OOO 
(See Columns and D3) $250,000-$50(),000 $500,00l-Sl.000,000 S:S.000,00J-$50,000,000 Value Method Codes Appmisal Cost (Real Estate Only) f:)e..: Column C21 =float Value Other 
Sold 
Sold 
J3-(j 
Sold 
3-6 
Sold 
K3-6 
Sold 
3-6 See note See note Buy 12-12 Buy 
3-6 $2,501-$5,000 $5,001-$15,000 $1,000,001-$5,000,000 =More than $5,000,000 $50,001-$100,000 $100,001-$250,000 $!,000,001-$5,000.000 $5,000,001-$::!5,000,000 =$Marc than $50.000,000 Assessment Cash/Markel Escimated $15,001-$50,000 
FINANCLt.L DISCLOSURE REPORT 
Name Person Reporting Date Report Page Cooper, Mary 
8/4/2004 VIl. INVEST:tv.IENT and TRUSTS -income, value. trunscations (includes those the spouse nnd dependent children. See pp. 34-57 filing instructions.) 
Income during Gross value end Transactions during reporting period 
Description Assets 
reporting period reporting period 
(including trust asseS) 
not exempt from disclosure 
(1) (2) (l) 
(2) (3) (4) (5) 
Place (X) after each asset Value Value Type (e.g. Date: 
Amount Type {e.g. 
Value Gain Identity 
buy. sell, 
from prior disclosure Code2 Method Monlb-Code div. rent. Code2 Code buyer/seller 
int.) (J-P) Code3 merger, Day (if private (J-P) (A-H) 
redemption) 
(Q-W) 
transaction) 
19. Davis Appreciation Income Fund Dividend Buy 10-15 
20. Davis Series Inc. Government Bond Fund Dividend Buy 3-6 
21. 
Davis Series Inc. Government Bond Fund See line Sold 10-15 
 
22. 
Eaton Vance Balanced Fund Dividend Buy 10-15 
 
 
23. Eaton Vance Government Obligations Fund Divi Buy 3-6 
24. 
Eaton Vance Govc:mment Obligations Fund See line Sold 10-15 
 
25. 
ING Intermediate Bond Fund (IRA) Dividend Buy 3-6 
 
26. 
MFS Total Return Fund, Class Dividend Buy 12-12 
 
27. Global Allocation Fund (not IRA) Dividend Buy 12-12 
 
28. 
 
29. 
 
30. 
 
31. 
 
32. 
 
33. 
 
 
35. lncoID.!/Gain Codes: $1,000 less $1,001-$2,500 $2.501-$5,000 $5,001-$15,000 $15,001-$50.000 
(See Coium and D4) $50,001-$100,000 $100,001-Sl,OOO,OOO $1,000,001-S5,000.000 =More than $5,000,000 Value Codes: S!S,000 Jess $15,001-$50,000 $50,001-$100,000 $100,00l-$:?50,oOo 
(See Columns and D3) $:?50,000-$500,000 $500,00 I-SI ,000,000 $1,000.001-$5,000,000 $5.000,001-$.!5,000,0():J s;:;s,000,001-$50,000,000 =$More lhlln $50,000.000 lue Method Codes =Appraisal =Cost (Real Esmre Only) Assessment =Cash/Market 
:s;!:: Column BooL alue =Other Estimated 
 
 
 
(lndic:ite part Report.) 
VIII. ADDIDONAL INFORMATION EXPLANATIONS 
?art VII, line 19rust; trustee National City Bank Pa. Thi. separate assets are not described because the type trust. This trust (1) was not created directly the reporting person, spouse, any dependent child; and (2) the reporting person, spouse, and any dependent children have knowledge the holding sources income. 
Part VII. line 11: College savings arc held separate Section 529 Merrill Lynch account, transferred the reporting person trustee upon the death 2001. 
Part VII. lines and 14: The asset reported here MPS Total Return Fund, Class All existing shares were acquired 2002, and reported Part vn, line the 2002 report. have split this asset into two lines the current report, for convenience because part held IRA and the rest held non-IRA account. Also, the description bas been enhanced include the words Class distinguish this asset from Class asset with similar name, acquired 2003 and shown this report Part VIl, line 26. SUBJECT CIVIL AND CRIMINAL SANCTIONS U.S.C. app.  104) 
 
FILING INSTRUCTIONS Mail signed original and additional copies to: 
Committee Fmancial Disclosme Administrative Office the United States Courts Suite2-301 One Columbus Circle, N.E. Washington, D.C. 20544