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Judicial Watch • Sandra L Lynch Financial Disclosure Report for 2006

Sandra L Lynch Financial Disclosure Report for 2006

Sandra L Lynch Financial Disclosure Report for 2006

Page 1: Sandra L Lynch Financial Disclosure Report for 2006

Category:Financial Disclosure

Number of Pages:14

Date Created:September 21, 2007

Date Uploaded to the Library:November 13, 2013

Tags:Grade, SPARTAN, Sandra L Lynch, Invest, sandra, Lynch, partial, Fidelity, Growth, 2006, transactions, IRS, Financial Disclosure, ICE, CIA, income, Judge


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AOIO Government Act 1978 
Rev. 112007 FOR CALENDAR YEAR 2006 U.S.C. app.  10/-1 I/) Person Reporting Oast name, first, middle initial) Court Organization Date Report Lynch, Sandra U.S. Court Appeals, )st Cir 05/25/2007 Title (Article 111 judges indicate active senior status; Sa. Report Type (check appropriate type) Reporting Period magistrate judges indicate full-or part-time) 
Nomination, Date 01/01/2006 
U.S. Circuit Judge (active)
Initial Annual Final 
12/31/2006 
Sb. 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 Courthouse Courthouse Way, Suite 8710 Boston, 02210 
Reviewing Officer Date 
IMPORTANT NOTES: The instructions accompanying this form must followed. Complete all parts, checking the NONE box for each part where you have reportable information. Sign last page. POSITIONS. (Reporting individual only; see pp. 9-13 instructions.) 
IK.J  NONE (No reportable positions.)  
POSITION  NAME AGREEMENTS. (Reporting individual only; see pp. U-16 instructions.) 
,., o::;;;.: 

u;); 
?.J .... 
,_, 
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I"-.) ..D 
IK.J NONE (No reportable agreements.) JTI CX>
AND 
..., 
..,, 

(EJ  NONE (No reportable reimbursements.)  
SOURCE  DESCRIPTION 

(K]  NONE (No reportable liabilities.)  
CREDITOR  

VII. INVESTMENTS and TRUSTS -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 ring reporting period value Tra sactions during reporting period repor ting period  
Place "(X)" after each asset exempt from prior discl osure  (I) ount Codel (A-H)  (2) Type (ediv., rent, t.)  (I) Value Code2 (J-P)  (2) (I) Value Method buy, sell, Code3 redemption) (Q-W) (2) Mon th-Day  (3) Value Code2 (J-P)  (4) Gain Code (A-H)  (S) Iden tity buyer/seller (if private tra nsaction) 

Type(e.g. Fidelity Mass Muni Dividend Buy 5/31 
Bank America Interest 
Fidelity Traditional IRA Dividend 

-Fidelity Disciplined Equity 
-Fidelity Cash Reserves (corrected name from Core Cash) 
Fidelity Investments Core Cash Interest 
ABA Members Retirement Plan (See note, Dividend Sell Section VIII) 
-Stable Asset Return Fund 
-Moderate Portfolio Fund 

IO. IRA (See note section VIII) Dividend 
11. 
-Parametric Tech Corp 

12. 
-Add Venture Assoc 

13. 
-Federal Home Loan 2010 

-Bear Steams TempFund Cash 
15. 

-Pimco Real Return Fund 
16. 
-Discover BankGreenwood Del CDs 

17. IRA2 Dividend Income Gain Codes:  A=Sl,OOOor less  B=Sl,001-$2,500 =$2,501 -ss.ooo  D=SS,001 -SIS,000  E=SIS,001-SS0,000  
(See Columns and 04)  F=SS0,001 -$100,000 =SI00,001 -Sl,000,000 =Sl,000,001  SS,000,000  H2=More than SS,000,000 Value Codes =SIS,000 less =SIS,001  SS0,000 =SS0,001 -$100,000  M=SI00,001 -$250,000  
(See Columns and DJ)  N=$250,001 -$500,000 =$500,001 -Sl,000,000  Pl=Sl,000,001-SS,000,000 =SS,000,001 -$25,000,000 Value Method Codes  PJ=S25,ooo,001 -sso.000.000 =Cost (Real Estate Only) More than SS0,000,000  T=CashMarl 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) 
(2) 
(2)
(I) 
(3) 
(5) 
Value 
Value
Type(e.g.
Place "(X)" after each asset Amount 
Code 
div., rent, 
Code 
Method
exempt from prior disclosure 
(A-H) inl) 
Code 
(J-P) 
(Q-W) 
103. -Fidelity Ultra-Short Bond 
Type(e.g. buy, sell, redemption) 
buy 
Date Month-Day 
8/21 
Value Gain Identity 
Code Code 
buyer/seller (J-P) 
(A-H) (if private transaction) 
104. 
-Fidelity Total Bond buy 4/11 

105. 
-Fidelity Total Bond buy 6/27 

106. 
-Fidelity Advisor Mid Cap partial sell 4/11 

107. 
-Fidelity Advisor Mid Cap buy 6/16 

108. 
-Spartan 500 Index FID Advantage buy 4111 

109. 
-Spartan 500 Index FID Advantage buy 8/21 

110. 
-Spartan 500 Index FID Advantage buy 8/22 

111. 
-Fidelity Real Estate Investment buy 3121 

112. 
-Fidelity Real Estate Investment partial sell 8/21 

113. 
-Fidelity Export Multinational sell 8/21 

114. 
-Fidelity Advisor New Insights buy 4/11 

115. 
-Fidelity Advisor New Insights buy 8/21 

116. 
-Fidelity Advisor Destiny buy 4111 

117. 
-Fidelity Advisor Destiny buy 4/12 

118. 
-Fidelity Advisor Destiny buy 6/02 

119. 
-Fidelity Advisor Destiny partial sell 8/21 Income Gain Codes: =Sl,000 less =Sl,001 -$2,500 =$2,50 -SS,000 =SS,001 -SIS,000  E=SIS,001-$50,000  
(Sec Columns and 04) =$50,001 -SI00,000  G=SI00,001-Sl,000,000 =Sl,000,001-SS,000,000 =More than SS,000,000 Value Codes  J=SIS,000 less  K=SIS,001-$50,000 =$50,001 -$100,000 =SI00,001 -$250,000  
(Sec Columns and 03)  N=$250,001 -SS00,000  O=SS00,001-Sl,000,000 :$1,000,001 -SS,000,000 =SS,000,001 -$25,000,000 Value Method Codes =$25,000,001 -SS0,000,000 =Cost (RealEstate Only) =More than SS0,000,000 =Cash Market  
(Sec Column C2) =Appraisal  V=Other =Assessment =Book Value =Estimated  

VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those the spouse and dependent children. See pp. 34-60 filing instructioNJ.) 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) {I) 
Place "(X)" after each asset exempt from prior disclosure  Amount Code (A-H)  Type e.g. div., rent, int.)  Value Code2 (J-P)  Value Method Code3 {Q-W)  Type(c.g. buy, sell, redemption)  
120.  -Fidelity Advisor Destiny  sell  
121.  -Fidelity Growth Company  buy  
122.  -Fidelity Growth Company  buy  

Date Month-Day 
11/24 
4/11 
6/16 
Value Code2 (J-P)  Gain Code (A-H)  Identity buyer/seller {if private transaction)  

123. 
-Fidelity Growth Company partial sell 8/21 

124. 
-Fidelity Overseas buy 6/02 

125. 
-Fidelity Overseas buy 6105 

126. 
-Fidelity Overseas buy 8121 

127. 
-Fidelity Growth Income buy 11/24 

128. 
-Fidelity Growth Income buy 11/27 

129. 
-Fidelity Advisor High Income buy 6127 

130. 
-Fidelity Advisor High Income buy 6/28 

131. 
-Fidelity Advisor High Income partial sell 8/21 

132. 
-Fidelity Advisor High Income partial sell 12118 

-Fidelity Short Term Bond buy 8/21 
134.  -Fidelity Short Term Bond  buy  12118  
135.  Esplanade Capital Ptnrs LLC (See note section VIIl)  Dividend  
136.  Brokerage Account 2005 Income Gain Codes: (Sec Columns and 04) Value Codes (Sec Columns and 03) Value Method Codes (Sec Column C2) =Sl,000 less =SS0,001 -SI00,000 =SIS,000 less N=S2SO,OOI -SS00,000 =S2S,000,001 -SS0,000,000 =Appraisal U=Book Value =Sl,001 -$2,500 =SI00,001 -Sl,000,000 =SIS,001 -$50,000 O=SS00,001 -$1,000,000 =Cost (Real Estale Only) V=Olher =S2,501 -SS,000 1,000,00 -SS,000,000 L=SS0,001 -$100,000 =Sl,000,001 -SS,000,000 =More than sso.000.000 s=Assessment W=Estimated  D=SS,001 -SIS,000 =More than SS,000,000 M=SI00,001 -S2SO,OOO =SS,000,001 -$25,000,000 T=CashMukct  E=SIS,001 -SS0,000  

Name Person Reporting 
Date Report 
Lynch, Sandra 
0512512007 
VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those the spouse and dependent children. See PP. 34-60 offding instructions.) NONE (No reportable income, assets, transactions.) 
Gross value end 
Transactions during reporting period
Description Assets 
Income during 
(including bust assets) 
reporting period 
reporting period 
(2) 
(I) 
(2) 
(3)
(I) 
(I) (2) 
(5) 
Value 
Value
Amount 
Type(e.g.
Place "(X)" after each asset 
Code 
Code 
Method
div., rent, 
exempt from prior disclosure 
(A-H) int) 
Code 
(J-P) 
(Q-W) 
Type(e.g. Date buy, sell, Month-redemption) Day Value 
Gain 
Code 
Code 
(J-P) 
(A-H) 
Identity buyer/seller (if private transaction) 
137.  -Bear Steams Munifund Cash  Interest  
138.  -Discover Bank CDs  Interest  
139.  Condominium, Carravassett Vallley,  Rent Income Gain Codes: =Sl,OOOorless =SJ,001  $2,.SOO =$2,.SOI -SS,000  O=SS,001-SIS,OOO  E=SIS,001-$50,000  
(See Columns and 04)  F=$50,001 -$100,000 =$100,001 -SI ,000,000 =$1,000,001 -$5,000,000 =Moro than $5,000,000 Value Codes 15, 000 less =$15,001 -$50,000 =$50,001 -SI00,000 =$100,001 -$250,000  
(See Columns and 03) =$250,001 -$500,000 =SS00,001 -Sl,000,000 =$1,000,001 -$5,000,000 =$5,000,00 -$25,000,000 Value Method Codes =$25,000,00 -SS0,000,000 =Cost (Real Estate Only) =Moro than $50,000,000 =Cash Market  
(See Column C2) =Appraisal  V=Other =Assessment =Book Value  W=Estimated  

VIII. ADDITIONAL INFORMATION EXPLANATIONS. (lndicale parto/Report.) 
Part 111-B... retired 2006. 
Part VII -Investment limited partnership income whether passive nonpassive disclosed "dividend" income. 
Part VII -All investments are publicly traded common stocks mutual funds unless otherwise noted. 
Part VII, IRA -This account holds certain nonpublicly traded limited partnership interests. There established market value for these partnerships and 
accordingly value indicated. Income consists interest, dividends, and flow-through capital gains. 
Part VII, ABA Members Retirement Plan -The plan sponsor does not provide detail transaction information plan participants. Plan participants receive annual report showing which plan funds they are invested in, the plan value, total contributions, total distributions, and net realized and unrealized gains. The plan participant recieved monthly minimum required distribution. The total assets the plan that were liquidated fund the distributions are reflected column 0(3). During the year, the plan participant shifted their investments from the Stable AssetReturn Fund the Moderate Portfolio Fund The plan income reported column B{I) reflects the total plan income including realized and unrealized gains. 
Part VII -Esplanade Capital Ptnrs LLC non-publicly traded LLC. 

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. 

NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES FAILS FILE THIS REPORT MAY SUBJECT CIVIL AND CRIMINAL SANCTIONS U.S.C. app.  104)



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