Christopher C. Conner – 2008
Category:Federal Judges
Number of Pages:14
Date Created:October 21, 2009
Date Uploaded to the Library:October 06, 2014
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Conner_Christopher_C III. NON-INVESTMENT ME. (Reporting individual and spouse; see pp. 17-24 filing instructions.) Filers Non-Investment Income [{] NONE (No reportable non-investment income.) SOURCE AND TYPE INCOME (yours, not spouses) Spouses Non-Investment Income -Ifyou were married during any portion the reporting year, complete this section. (Dollar amount not required except for honoraria.) NONE (No reportable non-investment income.) SOURCE AND TYPE 2008 Widener University (part time law professor) 2.2008 Commonwealth Pennsylvania 3.2008 The Pennsylvania State University IV. REIMBURSEMENTS -transportation, /odging,food, entertainment (Includes those spouse and dependent children; see pp. 25-27 filing instructions.) [{] NONE (No reportable reimbursements.) V GIFTS. (Includes those spouse and dependent children; see pp. 28-31 filing instructions.) NONE (No reportable gifts.) SOURCE DESCRIPTION VALUE Drew Anthon Five (5) tickets NBA basketball game $750.00 VI. LIABILITIES. (Includes those spouse and dependent children; see pp. 32-33 filing instructions.) [Z] NONE (No reportable liabilities.) CREDITOR VALUE CODE VII. INVESTMENTS and TRUSTS -income, value, transactions r1nc1udes those spouse and dependent children; see pp. 14-60 fuinc instructions.) NONE (No reportable income, assets, transactions.) Date Report Name Person Reporting Conner, Christopher-C. 0511 112009 VII. INVESTMENTS and TRUSTS -income, value, transactions r1nc1udes those spouse and dependent children; see PP 34-60 offuinc instrucuons.J 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) (5) (4) (3) Place (X) after each asset Amount Identity Type (e.g., Value Value Type (e.g., Value Gain Date Code exempt from prior disclosure div., rent, Code Code buyer/seller Method Code buy, sell, Month (A-H) int.) (J-P) Code redemption) Day (if private (A-H) 18. -FA 529 Mid Cap Portfolio 19. -FA 529 Small Cap Portfolio 20. FIDELITY ADVISOR 529 COLLEGE INGSPLAN#2 21. -FA 529 Diversified International Portfolio 22. -FA 529 Mid Cap Portfolio 23. -FA 529 Small Cap Portfolio 24. MERRILLLYNCHIRRA#I transaction) (Q-W) None None None None None -ML Bank money market account Dividend 26. -Henderson International Opportunities None und Class 27. Sold (part) 01131 28. Sold 07/0 (part) 29. Sold 10106 30. -Henderson European Focus Fund None 31. 32. 33. Buy 01/10 (add!) Sold 01123 (part) Sold 10106 -Henderson Global Equity Income 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 -Sl,000,000 =$1,000,001 -$5,000,000 =More than $5,000,000 Value Codes =$15,000 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 $5,000,000 =$5,000.001 $25,000,000 =$25,000,001 $50,000,000 =More than $50,000,000 Value Method Codes =Appraisal =Cost (Real Estate Only) =Assessment =Cash Market (See Column C2) =Book Value =Other =Estimated VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; see pp. 34-60 offuing instructions.) NONE (No reportable income, assets, transactions.) VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; see PP 34-60 fuing instructions.J NONE (No reportable income, assets, transactions.) Date Report Name Person Reporting 05/11/2009 Conner, Christopher VII. INVESTMENTS and TRUSTS -income, value, transactions r1nc1udes those spouse and dependent children; see PP 34-60 offuing instructions.J NONE (No reportable income, assets, transactions.) Description Assets (including trust assets) Place. (X) after each asset exempt:from prior disclosure Income during Gross value end Transactions duririg reporting period reporting period reporting period (2) (1) (2) {l) (2) (3) (4) (5) Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity Code div., rent, Code2 Method buy, sell, Month- Code Cede buyer/seller (A-H) int.) (H) Code.3 redemption) Day (J-P) (A-H) (if private (Q-W) transaction) 69. -Yamana Gold Inc common stock Dividend Buy 03/20 70. Sold 05/16 71. -Streettracks Gold Trust None Buy 03/24 72. Sold 04/16 -McDonalds Corp common stock None Buy 04/07 74. Sold 04/28 75. -Sasol Ltd sponsored ADR None Buy 04/18 76. Sold 05/06 77. -Texas Instuments common stock Dividend Buy 04/25 78. Sold 05/15 79. -Western Union Company common stock None Buy 04/24 80. Sold 05/21 81. -ConocoPhillips common stock Dividend Buy 05/21 82. Sold 06/09 83. Buy 08/11 84. -Deere Company common stock Dividend Buy 05/15 85. -Northrop Grumman Corp common stock Dividend Buy 04/28 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) =$50,00 !00,000 =$100,001 -$1,000,000 =$1,000,001 -$5,000,000 =More than $5,000,000 Value Codes =$15,000 orless =$15,001-$50,000 =$50,001-$100,000 =$100,001-$250,000 (See Columas aad 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 $50,000,000 Value Method Codes =Appraisal =Cost (Real Estate Only) =Assessment =Cash Market (See Column C2) =Book Value =Other W=Estimated VII. INVESTMENTS and TRUSTS income, vatue, transactions (Includes those spouse and dependent children; see PP 34-60 of.fding instructions.) NONE (No reportable income, assets, transactions.) . Date Report Name Person Reporting Conner, Christopher 05/! 1/2009 VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; see pp. J4-6o Juing instructions.; NONE (No reportable income, assets, transactions.) Description Assets (including trust assets) Place (X) after each asset exempt from prior disclosure Income during Gross value end Transactions during reporting period reporting period reporting period (1) (2) (I) (2) (I) (3) (4) (5) Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity Code div., rent, Code2 Method buy, sell, Month- Code Code buyer/seller (A-H) int.) (J-P) Code redemption) Day (J-P) (A-H) (if private (Q-W) transactfon) 103. -Rackspace Hosting Inc common stock None Buy 08/28 104. Sold 09112 105. -Tyco Electronics Ltd common stock Dividend Buy 09/17 106. Buy 12/10 (add!) 107. -Harsco Corporation common stock None Buy 10/09 108. -Tyco International Ltd common stock None Buy 11/19 109. -SPDR Gold Trust exchange traded funds None Buy Buy 11/06 11/25 110. -Coca Cola Company common stock Dividend 111. Sold 12/10 112. -Fidelity Advisors Inflation Protected Bond Class Dividend Buy 12122 113. MERRILLLYNCH IRRA#2 Dividend 114. -Ivy Global Natural Resources Fund, Class 115. -Henderson International Opportunities Fun Class 116. BROKERAGE ACCOUNT 117. -ML Bank USA money market account Interest 118. -Henderson International Opportunities Fun None Class 119. Sold 08/11 (part) 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 04) =$50,001 -$100,000 =$100,00! -$1,000,000 =$1,000,001 -$5,000,000 =More than $5,000,000 Value Codes J=$15,000 orless 15, 001 -$50,000 =$50,001 -$100,000 =$100,001-$250,000 (See Columns and D3) =$250,001 -$500,000 =$500,001-$!,000,000 =$1,000,001 -$5,000,000 =$5,000,001 -$25,000,000 =$25,000,001 -$50,000,000 =More than $50,000,000 Value Method Codes =Appraisal =Cost (Real Estate Only) =Assessment =Cash Market (See Column C2) =Book Value V=Other =Estimated VII. INVESTMENTS and TRUSTS -income, value, transactions r1nc1udes those spouse and dependent children; see PP 34-60 offuing instructions.) NONE (No reportable income, assets, transactions.) Descripiion Assets (including trust assets) Place (X) after each asset exempt from prior disclosure Income during Gross value end Transactions during reporting period reportillg period reporting period (I) (2) (I) (2) (I) (2) (3) (4) (5) Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity Code div., rent, Code Method buy, sell, Month- Code Code buyer/seller (A-H) int.) (J-P) Code redemption) Day (A-H) (if private (Q-W) transaction) 120. Sold 09/17 (part) 121. Sold 11/25 122. -Henderson European Focus Fund Dividend 123. 124. 125. -Henderson Global Equity Fund Class Dividend Sold (part) Sold (part) 08/12 09/17 126. 127. 128. 129. 130. 131. -Wachovia Corporation common stock Dividend Sold (part) Sold (part) Sold (part) Sold (part) Sold (part) Buy 02/28 04/14 05/21 07/14 09117 02/04 132. Sold 09116 133. -FT Global Agricultural Portfolio Series Dividend Buy 09/17 134. Sold 11117 135. TRUSTEE ACCOUNT 136. -ML Bank money market account Interest Income Gain Codes: =$1,000 less =$I,OOI $2,500 c=$2,501 $5,000 =$5,00I $I5,000 E=$I5,001 $50,000 (See Columns and D4) F=$50,00 $100,000 =SI00,001 Sl,000,000 =Sl ,000,001 $5,000,000 =More than$5,000,000 Value Codes J=SI5,000 less =$15,00J $50,000 =$50,001 $100,000 =$100,001 $250,000 (See Columns and D3) =$250,00I -$500,000 0=$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 $50,000,000 Value Method Codes Q=Appraisal =Cost (Real Estate Only) =Assessment =Cash Market (See Column CZ) U=Book Value V=Other W=Estimated Name Person Reporting Date Report Conner, Christopher 05/1112009 VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those spouse and dependent children; see pp. 34-60 offuing instructions.J NONE (No reportable income, assets, transactions.) Date Report Name Person Reporting 05/11/2009 Conner, Christopher VIII. ADDITIONAL INFORMATION EXPLANATIONS. (Jndicate partofReport) Part VII, Line Brokerage Account #7; This was custodial account for which the filer was not the custodian. This account was closed 2008. Part VII, Line Brokerage Account #8; This was custodial account for which the filer was not the custodian. This account was closed 2008. Part VII, Line 10, Brokerage Account #9; This was custodial account for which the filer was not the custodian. This account was closed 2008. Part VII, Line 12, Brokerage Account This was custodial account for which the filer was not the custodian. This account was closed 2008. 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) FILING INSTRUCTIONS Mail signed original and additional copies to: Committee Financial Disclosure Administrative Office the United States Courts Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544