Skip to content

Judicial Watch • Susan P Graber Financial Disclosure Report for 2010

Susan P Graber Financial Disclosure Report for 2010

Susan P Graber Financial Disclosure Report for 2010

Page 1: Susan P Graber Financial Disclosure Report for 2010

Category:Financial Disclosure

Number of Pages:8

Date Created:November 6, 2013

Date Uploaded to the Library:November 13, 2013

Tags:GRABER, Susan P Graber, SUSAN, treasury, Schwab, money, vanguard, 2010, Market, EPA, IRS, Financial Disclosure, ICE, CIA, financial, income, Judge


File Scanned for Malware

Donate now to keep these documents public!

  • demand_answers

See Generated Text   ˅

Autogenerated text from PDF

Government Act 1978
Rev. 1/2011 
FOR CALENDAR YEAR 2010 U.S.C. app.  101-111) Person Reporting (last name, first, middle initial) Court Organization Date Report 
Graber, Susan 	U.S. Court Appeals 9th Circuit 05/05/201 Title (Article 111 judges 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. Circuit 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 
,Mth applicable laws and regulations. 700 6th Ave Portland 97204 
The Pioneer Courthouse 
Reviewing Officer 	Date 
IMPORTANT NOTES: The instructions accompanying this form must followea~ Complete all parts, checking the NONE box for each part where you have reportable information. Sign last page. POSITIONS. ~Re~,or, in~ individuolonly; se, 9-1S oZ~ling ins,uctions.) 
[~] NONE (No reportable positions.) POSITION NAME ORGANIZATION/ENTITY 

II. AGREEMENTS. (Reporting individual only; see pp. 14-16 filing instructionsO NONE (No reportable agreements.) DATE PARTIES AND TERMS 
Oregon Public Employees Retirement Systems (PERS) with former employer when was state court judge. (Statutorily defined benefits, control) 

Graber, Susan 
Name Person Reporling 	Date Report
III. NON-INVESTMENT INCOME. (Reporting individual and spouse; seepp. 17-24 filing instructions.) Filers Non-Investment Income NONE (No reportable non-investment income.) 
DATE SOURCE AND TYPE INCOME (yours, not spouses) Spouses Non-Investment Income -1f j,ou were married during any portlon the reporting year, complete this section. 
(Dollar amount not required except for honoraria.) 	NONE(No reportable non-investment income.) DATE SOURCE AND TYPE 2010 	Portland General (retirement income) 

IV. REIMBURSEMENTS tra,,~por,aaon. Iodging.lood, en,ertainme,,. 
(Includes those spouse and dependent children," see pp. 25-27 filing instructions.) 
NONE(No reportable reimbursements.) 
SOURCE DATES LOCATION PURPOSE ITEMS PAID PROVIDED 	George Washington Univ. 1/27-29/2010 Washington Van Vleck Moot Court Travel, food and lodging Law School Finals 	
University Texas 3/4-5/2010 Austin, Univ. Texas Judicial Travel, food and lodging Clerk Workshop 	
National Association 6/17-18/2010 Washington 2010 State Solicitors Travel, food and lodging 

Attorneys General Appellate Chiefs 
Conference GIFTS. (lnctudes ,hose spouse und dependen, children; see pp. 28-31 filing instructions.) NONE (No reportable gifts.) SOURCE DESCRIPTION  VALUE  
VI. LIABILITIES. (Includes those spouse and dependent children; seepp. 32-33 filing instruction~) NONE (No reportable liabilities.) CREDITOR DESCRIPTION  VALUECODE  

Name Person Reporting Date Report
Graber, Susan 05/05/201
VII. INVESTMENTS and TRUSTS ........ .al.e, transactions (Includes those spouse and dependent children; see pp. 34-60 filing instruction~) NONE (No reportable income, assets, transactions.) 
Description Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure  Income during reporting period (2) Amount Type (e.g., Code div., rent, (A-H) in.)  Gross value end reporting period (1) (2) Value Value Code Method (J-P) Code (Q-W)  (1) Type (e.g., buy, sell, redemplion)  Transactions during reporting period (2) (3) (4) (5) Date Value Gain Identity mm/dd/yy Code Code buyer/seller (J-P) (A-H) (if private transaction)  Charles Schwab Cash Reserves  Dividend  Charles Schwab Cash Reserves  Dividend  Charles Schwab Cash Reserves  Dividend  Oregon Savings Growth Plan  None  PERS account (see descript, Part (1)  None  Farm LLC appraisal dated 5/28/98  Distribution  IRA reported the aggregate  Dividend  -Vanguard Short-Term Bond Index Fund  --Vanguard 500 Index Fund  
10.  -Vanguard Mid-Caplndex Fund  -Vanguard Total Stock Market Fund  
12.  --Vanguard GNMA Fund  
13.  --Janus Overseas Fund  

14. 
IRA reported the aggregate Dividend 

15. 
--Vanguard Short-Term Bond Index Fund 

16. 
--Enron Common Stock 

17. --Schwab Treasury Money Market Fund  Sold  03/09/10  
(part) Income Gain Codes: =$1,000 less 1,001 $2,500 -$2,501 $5.000 =$5.001 $15,000 =$15.001- $50,000  
(Sc Columns and D4) =$50,001 $100.000 =$100.001 $1.000.0OO  111 =$1.000.001 $5.000.000 =More Ihan $5.000.000 Value Codes =$15,000 less =$15,0OI $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 $5.00~,0~O =$5,000.001 $25,000,000 Value Method Codes $25.000,0~1-$50,000,000 =Appraisal -Co~t (Real Estate Only} ore than $50,0~10.000 =Asscssmcnl Cash Market  
(See Column C2) =Book Value -Other -Estimated  

Graber, Susan 	05/05/201
VII. INVESTMENTS and TRUSTS ........ l,e,, ...... ,io,s (Includes those ...... dependen, 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 
(l) (2) (1) (2) (3) (,i) (5) (2) Place "(X)" after each asset Amount Type (.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) 
18. 	-Schwab Treasury Money Market Fund Sold 04/13/10 (pan) 
-Schwab Treasury Money Market Fund Buy 08/13/10 
(addl) 

20. 	
-Schwab Treasury Money Market Fund Sold 08/16/10 (pan) 

21. 	
--Schwab Treasury Money Market Fund Buy 1/13/10 (addl) 

22. 	
--Schwab Treasury Money Market Fund Buy 1/19/10 (addl) 

23. 	
-Schwab Treasury Money Market Fund Sold 12/13/10 (part) 

24. 	
-Schwab Treasury Money Market Fund Sold 12/30/10 (part) 

25. 	
--Vanguard GNMA fund 

26. 	
--Vanguard Inflation Protected Securities 

27. 
-Vanguard Short Term Federal Fund 	Sold 11/17/10 

28. 	
--Cohen and Steers Realty Fund 

29. 	
--Janus Overseas fund 

30. 	
--Vanguard International Explorer Fund 

31. 	
--Vanguard Prime Cap Core Fund 

32. 	
--Vanguard Total Stock Market Index Fund Sold 08/09/10 (part) 

33. 
--Vanguard Small Cap Fund 	Buy 12/27/10 

34. 	
IRA 3--Fidelity Spartan lnternatio.nal Dividend Sold 10/12/10 Index Fund =$15,001 $50.0(~ Income Gain Codes: =$1.000 less $1.001 $2,500 =$2,501 $5,000 =$5,001 $15,000 
(Sc Columns and D4) =$50.001 $100.000 =$10~.001 $1.00~,000 =$1,000,001 $5,000.000 =More than $5,000,000
 Value Codes =$15,0(~ less =$15,0OI $50,00~ =$50,001 $100,000 =$100,001 $250.000 

(See Columns and D3) =$250.0OI $50~.0~0 =$500.0OI $1,1~.000 =$1,00~,001 $5,000,0OO =$5.000.0OI $25,000,000 =$25.0~O,001 $50.000.000 =More than $50,000.0~0
 Value Method Codes =Apprai~l =Cosl (Real E~lale Only) =Assessmcnl =Cash Market 
(See Column C2) =Book Value :Estimated =Other 
Name Person Reporting 	Date Report TME -ineo,.e, van.e, transactions (Includes those spouse and dependent children; see pp. 34-60 offiling instructions.) NONE (No reportable income, assets, transactions.) B.C. Deseription 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 Amounl Type (e.g., Value Value Type (e.g., Date Value Gain Identity exempt from prior disclosure div., rent, Code Method buy, sell, mm!dd/yy Code Code buyer/seller
Code (A-H) int.) (J-P) Code redemption) (J-P) (A-H) (if private (Q-W) transaction) 
35. 	
--Fidelity Spartan International Index Fund Merged 10/13/10 
(with line 14) 

36. Income Gain Codes: 1.000 less =$1,001 $2,500 =$2,501 $5.000 =$5,001 $15,000 =$15,001 $50,0OO  
(See Column~ and D4) =$50.001 $100.000 =$100,0OI $1,0~O.000 =$1.000,0~1 $5,000.000 =More than $5.000,000 Value Codes =$15,00~ less =$15,001 $50,090 50,001 $100,000 100,001 $250,000  
ISec Columns and D3) =$250,001 $500,000 =$500,0OI $1,000,13OO ~$1,000.001 $5,000,000 =$5.000,0OI $25,00~,000 =$25.000.0OI $50,009.00~ =More than $50.0~O,000 Value Mcthod Codes =Appraisal =Cosl (Real Estate Only) =Asscssnlertl =Cash Market  
IScc Column C2~ =Book Value =Other =Estimated  

VIII. ADDITIONAL INFORMATION EXPLANATIONS. (indicate part repor~)  
Part VII, lines I-3: The Charles Schwab Cash Reserve funds are cash-equivalent funds. Each account listed separately. Part VII IRA accounts, lines 7,14, and 34. Gains and losses are not reported detail these accounts.  

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 ~vas withheld because met applicable statutory provisions permitting non-disclosure. further certify that earned income from outside emplo)~nent and honoraria and the acceptance gifts ~vhich have been reported are compliance ~vith the provisions U.S.C. app.  501 et. seq., U.S.C.  7353, and Judicial Conference regulations. 
Signature: S/Susan Graber 
NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES FAILS 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



Sign Up for Updates!