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AO 10 Rev.

1/2011

FINANCIAL DISCLOSURE REPORT FOR CALENDAR YEAR 2010


2. Court or Organization United States District Court 5a. Report Type (check appropriate q,pe) ] Nomination, [] Initial Date [] Armual [] Final

Report Required by the Ethics in Government Act of 1978 (5 U.S.C. app..~ I01-111)

I. Person Reporting (last name, first, middle initial) ~Vance, Sarah S. 4. Title (Article III judges indicate active or senior status; magistrate judges indicate full- or part-time)

3. Date of Report 7/I 3/201 I 6. Reporting Period 01/01/7010 to 12/31/2010

United States District Judge

5b. [] Amended Report 7. Chambers or Office Address 8. On the basis of the information contained in this Report and any modifications pertaining thereto, it is, in my opinion, in compliance with applicable laws and regulations, Reviewing Officer Date

500 Poydras Street Room C-255 New Orleans, Louisiana 70130

IMPORTANT NOTES: The instructions accompanying this form must be followecL Complete all parts,
checking the NONE box for each part where you have no reportable information. Sign on last pag~

I. POSITIONS. ~Reporang indiv;dual o,ly; s,e pp. 9-13 of fillng instructions.) ~ NONE (No reportable positions.)
POSITION
1. 2. 3. 4. 5. Board Member Board Member Adjunct Faculty Board Member NAME OF ORGANIZATION/ENTITY New Orleans Chapter Federal Bar Association Tulane Law Institute National Advisory Board Tulane Law School Tulane Law School -- Deans Advisory Board

II. AGREEMENTS. tReporang individual only; se~pp. 14-16 of filing instructions.)


[~] NONE (No reportable agreements.) DATE PARTIES AND TERMS

Vance, Sarah S.

FINANCIAL DISCLOSURE REPORT Page 2 of 12

Name of Person Reporting 1Vance, Sarah S.

Date of Repot1 7/13/201 I

III. NON-INVESTMENT INCOME. (Reporting individual andspouse; see pp. 17-24offillnginsOuction~)


A. Filers Non-Investment Income

~]

NONE

(No reportable
DATE

non-investment income.)

SOURCE AND TYPE

INCOME
(yours, not spouses)

2. 3. 4.

B. Spouses Non-Investment Income - tfyou were marrled durlng any portlon of the reporting year, complete this section.
(Dollar amount not required except for honoraria.)

D
1.2010 2. 3. 4.

NONE (No reportable non-investment income.)

DATE

SOURCE AND TYPE


Jones, Walker, Waechter, Poitevent, Carrere & Denegre - income from law practice

IV. REIMBURSEMENTS - transportation, Iodglng, food, entertainment.


(Includes those to spouse and dependent children; see pp. 25-27 of filing instructions.)

NONE (No reportable reimbursements.) SOURCE DATES March 4-6, 2010 LOCATION Austin, Texas PURPOSE Speaker ITEMS PAID OR PROVIDED Travel, lodging, meals

I.

The University of Texas Law School Practising Law Institute The University of Chicago Law School Louisiana State Bar Association

2. 3. 4.

March 22-24, 2010 April 20-2 I, 2010

New York, New York Chicago, Illinois

Speaker Judge, Moot Court

Travel, lodging, meals Travel, lodging, meals

June 6-7, 2010

Sandestin, Florida

Speaker

Travel, lodging, meals

5.

FINANCIAL DISCLOSURE REPORT Page 3 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/2011

V. GIFTS. anctud~ ,hose ,o ~eo~ o.d deecnden, children; see pp. 28-31 of filing in~tructlons)
NONE (No reportable gifts.) SOURCE
I.

DESCRIPTION

VALUE

2. 3.
4.

5.

Vl. LIAB ILIT IES. ancl,,des ,hose qspo~e ~nd de~,enden, children; see pp. 32-33 of filing instructions.)
NONE (No reportable liabilities.) CREDITOR
1. 2. 3. 4. 5.

DESCRIPTION

VALUECODE

FINANCIAL DISCLOSURE REPORT Page 4 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/2011

VII. INVESTMENTS and TRUSTS -inc~me~va~ue~transacti~ns(~nc~udesth~se~fsp~useanddependentchildren:seepp.34-6~f~linginstructi~n~.)


NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period ] (I) i Amount . Code I (A-It) (2) Type (e.g., div., rent, or ira.) C. Gross value at end of reporting period (I) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (I) Type (e.g., buy, sell, redemplion) D. Transactions during reporting period (2) (3) (4) Date Value Gain mm/ddP~y Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (ifprivate transaction)

i
IRA #1, Merrill Lynch New Orleans:
2.

;~

--Merrill Lynch Retirement Reserves / Cash --Putnam International Equity FD CL A --Columbia Marsico Focused Equities FD B --Lord Abbett Global FD EQ SR CL A --Davis NY Venture FD A

A A A A A

Dividend Dividend Dividend Dividend Dividend

J J J J J

T T T T T

3.
4.

5. 6.
7.

8.

IRRA #2, Rollover Merrill Lynch: --Merrill Lynch USA Rasp --Blackrock Capital Appreciation FD INC B (name change) --Putnam International Equity FD CL A --Oppenheimer Global Opp FD SBI --Munder Small Cap Value CL B --Columbia Marsico Focused Equities FD B --Davis N Venture FD B --Blackrock Value Opport Fund Inc B
A A B A A A A A A Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend J J L L K K K K K T T T T T T T T T

9.

10.

11.

12.

13.

17.

--Davis NY Venture FD A

1. Income Gain Codes: (See Columns BI and 1)4) 2. Value Codes (See Columns CI and D3) 3. Value IMelhod Codes (See Cohtmn C2)

A =$1,000 or less F =$50,001 - $1 00.000 J =$15.000 or le~s N =$250.001 - $500.000 P3 =$25.000.001 - $50.0~.000 Q =Appraisal U Book Value

B =$1,001 - $2.500 G =$100.001 - $1.000,000 K =$15.001 - $50.000 O =$500.001 - $1.000.000 R =Cos! {Real ~late Only) V =Othr

C =$2,501 - $5,000 III =$1.000,001 - $5.000.000 L -150.001 - $100.00~ PI ~$1.000.001 - $5.000,000 P4 =More than $50.009,000 S =Asscssm~mt W =Estimated

D =$5.001 - $15,000 112 =More than $5.0~0.000 M =$100.001 - $250.000 P2 =$5.000.001 - $25,000.000 T =Cash Market

E =$15.001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 5 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/201 I

NONE (No reportable income, assets, or transactions.)


Description of Assets (including trust assets)
Place "(X)" after each asset exempt from prior disclosure

Income during repoaing period (I) (2)


Amount i Code I Type (e.g., div., rent,

i (A-H)

or int.)

Gross value at end of reporting period O) (2) Value Value Method Code 2 (J-P) Code 3 (Q-W) J K J T T T

Transactions during reporting period (1) Type (e.g.,


buy, sell, redemption)

(2) Date
mrn/dd~y

(3) (4) Value Gain Code 2 Code I (J-P) (A-H)

(5) Identi~y of
buyer/seller

(if private transaction)

18.

--Massachusetts Investors Growth Stock FD CL A --ING International Small Cap Multimmanager FD CL A

A A A

Dividend Dividend Dividend

Sold (part)

01/05/10

20. 21. 22. 23. 24. 25. 26. 27. 28. 29. 30. 31. 32. 133. 34.

--Blackrock Capital Appreciation FD INCA (name change)

IRA #3, Merrill Lynch New Orleans: --Merrill Lynch Retirement Reserves / Cash --ML Bank USA Rasp --Lord Abbett Developing Growth FD CL A --Davis N Venture FD A --Putnam International Equity FD CL A --Columbia Marsico Focused Equities FD B A A A A A A Dividend Dividend Dividend Dividend Dividend Dividend J J J J J J T T T T T T

Profit Sharing Retirement Plan - Fidelity Invest. Account --Low Price Stock K F/N/A Low Price Stock. Fund --Ret Govt (Money Market Fund) --Baron Growth --Fidelity Growth Company K F/N/A Fidelity Growth Company A A A
A

Dividend Dividend Dividend Dividend M K T

Sold Sold (pan) Sold Sold (paa)

04/08/10 04/08/10 04/09/10

M M L

D A D

04/08/10 M

I. Income Gain Codes: {See Columns B I and D4) 2. Value Codes IScc Cohlmns CI and DS) 3. Value Method Codes (Sc Column C2)

A =$1.000 or Icss F =$50.001 - $100.000 J =$15.000 or less N -$250.0OI - $500.000 P3 =$25.000.001 - $50.000.000 Q =Appraisal U -Book Value

B =$1,001 - $2.500 G =$100.001 - $1,000.000 K =$15.001 - $50.0(~ O =$504).001 - $1.000.000 R =Cost {Real Estate Only) V =Oher

C =$2.501 - $5,000 III =$1.000,0~1 - $5.000.000 L =$50.0~1 - $100.000 PI -$1.000.0OI - $5.000,000 P4 =More than $50.0(~0.000 S =Asscssmertt W =Estimated

D -$5.001 - $15.000 112 =More than $5.000.000 M =$10~.001 - $250.000 P2 =$5.000.001 - $25.000.0P~ T -~S~h Markcl

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 6 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/201 I

VII. INVESTMENTS and TRUSTS - income, voi.e, transactions tlnc/ude~ those of spouse and dependent children; see ptx 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure Income during reporting period Gross value at end of reporting period Transactions during reporting period

! O)
[ Amount [ Code I (A-H)

(2)
Type (e.g., div., rent, or int.)

(t)
Value Code 2 (J-P) Value Method Code 3

(t)
Type (e.g., buy, sell, redemption)

(2) (3) (4) Date Value Gain mm/dd~y Code 2 Code I (J-P) (A-H)

(Q-W)
;35.
36.

(~) Identity of buyer/seller (if private transaction)

--Davis NY Venture Y F/N/A Davis NY Venture A --Harbor lntl Inst

C B A

Dividend Dividend Dividend

M M J

T T

Sold (part) Sold (pa~) Buy Buy Buy Buy

04/08/10 04/08/I 0 04/09/10

L L J

A A

37.

--Fidelity Emerging Mkts K --Fidelity US Bond Index Fund

38.

Dividend Dividend Dividend Dividend

N M M K

04/08/10 N 04/09/10 M 01/12/10 M

39.

-- Goldman Sachs Small Cap Value Class A A --Lazard Emerging Mkts institutional --Fidelity Cash Reserves B A

40.

41.

42.

43.

Cash Management Account, Merrill Lynch: --Cash / CMA Money Fund --Eaton Vance Tax Div Inc. --Eaton Vance TX-AD GL Div Global Dividend lnc FD A A B Dividend Dividend Dividend
J J J

44.

T T T

45.

46.

47.

148.
49. 50. 51.

Trust, Merrill Lynch: --Cash / CMA Money Fund A Interest Dividend Dividend J J J T T T

--Columbia Marsico Focused Equities FD B A --Lord Abbett Developing Growth Fund CL A A

I. Income Gain Codes: { See Columns B I and 1)4 ) 2. Value Codes (See Columns CI and D3) 3. Value Method Codes ISce Column C2)

A =$1,000 or less F = $50.001 - $ 100,000 J =$15.000 or lexs N -$250.001 - $500.0~0 P3 =$25.009.001 - $50.000.0~0 Q =Appraisal U -Book Value

B =$1,001 - $2.500 G =$ 100.001 - $ 1.000.090 K =$15.001 - $50.000 O =$500.001 - $1.009.000 R =Cost (Real Estalc Only) V =O~hcr

C =$2.501 - $5,000 I I I =$ 1.000,001 - $5.000.000 k =$50.001 - $100.000 PI =$1.000.001 - $5.000,000 P4 =More than $50.0(~.090 S =Assessment W =Esfimalcd

D =$5,001 - $15.000 112 = More than $5.000.00~ M =$100.001 - $250.000 P2 =$5.000.001 - $25,000.000 T =Cash Markel

E =$15,001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 7 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/2011

VII. INVESTMENTS and TRUSTS - income, value, transoaiott~ (includes those of spouse and dependent children; see plx 34-60 of filing instruction~)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) [ (I) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period (2) Type (e.g., div., rent, or int.) I Amount I Code I (A-H) , C. Gross value at end of reporting period (I) (2) Value Code 2 (J-P) Value Method Code 3 (Q-W) (I) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value mm!dd/yy Code 2 (J-P) Gain Code I (A-H) (5) Identity of buyer/seller (if private transaction) D. Transactions during reporting period

52. 53.

--Putnam International Equity Fund CL A --Davis NY Venture FD A

A A

Dividend Dividend

J J

T T

Sold (part)

01/29/10

54. 55. 56. 57. 58. 59. 60. 61. 62. --EATON VALUE LARGE CAP VALUE FUND CL I A A A Dividend Dividend Dividend T IRRA #4, Rollover Merrill Lynch: --Cash --RETIRMENT RESERVES CL I --AMERICAN CENTURY NEW OPPORTUNITIES II INVESTOR --LORD ABBETT SMALL CAP VALUE CLA --ARTIO INTERNATIONAL EQUITY FUND I1 CL I A A A A A Dividend Dividend Dividend Dividend Dividend K T J J Sold Sold Buy Sold (part) Sold Buy Buy Sold --HENDERSON INTERNATIONAL A Dividend K T Sold (part) Sold (part) --Columbia Value & Restructuring Fund CL A Z Dividend K T Buy 02/05/10 02/05/10 02/05/10 03/23/10 02/05/10 03/23/10 K K K J K J A D A A

63. --HARTFORD CAPITAL 64. 65. 66. 67. 68. --CGM Advisor Targeted Equity ED CL Y

02/05/10[ K 03/23/10 K 02/05/10 03/23/10 02/05/10 K J L C C B

I. Income Gain Codes: (See Columns BI and I)4) 2. Value Codes {See Columns CI and D3) 3. Value Method Codes (See Cohunn C2)

A =$1,000 or less F =$50.001 - $100.000 J =$15.000 ~ less N -$250.001 - $500.000 P3 =$25.00~,001 . $50.090.000 Q =Appraisal U Book Value

B =$1,001 - $2.500 G =$100.001 - $1.000.000 K =$15.001 - $50.000 O =$500.001 - $1,000.000 R =Cost (Real Estalc Only) V =Other

C =$2.501 - $5,0(~ III =$1.000.001 - $5.000.000 L =$50.0~1 - $10(~.0(~ PI =$1.000.001 . $5.000.000 P4 =More than $50.00{).000 S =Assessment W =Eslimated

D =$5,0~1 - $15.0~0 112 =More than $5.000.000 M =$100.001 - $250.1~0 P2 =$5.000.001 - $25.000.000 T =Cash Markel

FINANCIAL DISCLOSURE REPORT Page 8 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/201 I

V I I. IN VESTMENTS a n d TRUSTS - ineo,.e, rot.e, tr~,~octlons a.a~des those o/spouse ~.a dependent children: se~pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Income during reporting period Gross value at end of reporting period Transactions during reporting period

(I)
Place "CA)" after each asset exempt from prior disclosure
Amount Code I (A-H)

(2)
Type (e.g., div., rent, or int.)

(I)
Value Code 2 (J-P)

(2)
Value Method Code 3 Typ~ (e.g., buy, sell, redemption)

(2)

(3)

(4)
Gain Code 1 (A-|l)

(5)
Identity of buyer!seller (if private transaction)

Date Value mm!dd/yy Code 2 (J-P)

69. 70. 71. 72. 73. 74. 75. 76. 77. 78. 79. 80. 81. 82. 83. 84. 85. --Ivy Asset Strategy Fund CL I A Dividend K --JENNISON MD CAP --Rydex / SGI Mid Cap Value Fund CL I --LAZARD EMERGING MKTS --LORD ABBETT SMALL CAP (duplicate entry, see line 54) --PIMCO Total Return Fund CLP --PIMCO Real Return Fund CLP --MAINSTAY LARGE CAP A A A A B A A Dividend Dividend Dividend Dividend Dividend Dividend Dividend L K K K --JANUS FORTY FUND CL I --FPA New Income Inc. A A Dividend Dividend

Sold (part) Sold (part) Sold Buy Sold Sold T Buy Sold Sold T T T Buy Buy Buy Sold (part) Sold (part) Sold (part) T Buy Sold (part)

07/07/10 11/08/10 02/05/I 0 02/05/10 11/08/10 02/05/10 02/05/10 02/05/10 02/05/10: 02/05/101 02/05/10 03/23/10 07/13/10 10/12/10 l 1/08/10 02/05/I 0

K K L K K K K K K L K K J J L K

C C D

A C

A A

A A E

03/23110 1 J

I. Income Gain Codes: (See Columns BI and IM) 2. Value Cod~ IS~ze Columns CI and D3) 3. Value Method Codes (See Column C2)

A -$1.000 or less F =$50.001 - $100,000 J =$15.000 o less N =$250.001 - $500.000 P3 =$25.00).001 - $50.000.0@2 Q =Appraisal U =Book Value

B =$1,001 - $2.500 G =$ 100.001 - $ 1.000.0~0 K =$15.001 - $50.000 O =$500.001 - $ 1.000.0~0 R =Cost (Real Estate Only) V =Other

C -$2.501 I I I =$1.000,001 - $5.000.000 L =$50.001 - $10~.00~ PI =$1.000.0~1 * $5.000.000 P4 =More lhan $50.000.000 S =Assessment W =Estimated

D =$5.001 - $15.000 112 =More Ihan $5.000.000 M =$100.001 P2 =$5.00~.001 . $25.000.000 T =Cash Market

E =$ 15.091 -$50.000

FINANCIAL DISCLOSURE REPORT Page 9 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/201 I

VII. INVESTMENTS and TRUSTS - inco.~o. .~l,e. ,o~,io~ a,cl,des ~hose oy~po~e and dependent children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period (I) (2) i Amount Type (e.g., die., rent, i Code I ~. (A-H) or int.) i B Dividend C. Gross value at end of reporting period (I) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) L T D. Transactions during reporting period (i) Typ~ (.g., buy, sell,
redemption)

(2) (3) (4) Date Value Gain mm,dd/yy Code 2 Code I


(J-P) (A-H)

(5) Identity of buyer/seller


(if private

transaction) Buy Sold (pan) 02/05/10 K 07/07/10 J 02/05/10 K 02/05/10 K 03/24/10 K 02/05/10 K 03/23/10 K 03/23/10 K 07/07/10 K
11/08/10 J

86. 87. 88. 89. 90. 91. 92. 93. 94. 95. 96. 97. 98.

--MFS VALUE FD CL I

B B

--NUVEEN TRDWD INTERNATIONAL --TLW Tolal Return Bond FD CL I

A A

Dividend Dividend

Sold Buy Sold

--VICTORY DIVERSIFIED --Calvert Short Duration Income Fund CL Y --Oppenheimer Gold and Special Minerals Fund --Allianz NJ Dividend Value FDCL P

A A A B

Dividend Dividend Dividend Dividend K K K T T T

Sold Buy Buy Buy


Buy

--Dreyfus Emerging Markets Debt Local Currency CL I --Oppenheimer Rising Dividends Fund CL Y

A B

Dividend Dividend

K L

T T

Buy Buy

11/08/10 I 1/08110

J L

99. I00.

Checking and Money Market Accounts, J.P. Morgan

Interest

101. J.P. Morgan Securities Corporation 102. --JP Morgan Tax Free Money Market A Dividend Sold 05/03/10 J A

1. Income Gain Codes: (See Columns BI and 1)4) 2. Value Codes (See Columns CI and D3) 3. Value Method Codes (Sc Column C2)

A =$1.0(0 or less F =$50.001 - $100.000 .I =$15.000 or less N =$250.001 - $5(0.000 P3 =$25.0~).(01 - $50.(00.0(0 Q =Appraisal U -Book Value

B $1,001-$2.500 G =$100.(01 - $1.000.(00 K =$15.001 - $50.000 O =$5(0.(01 - $1.(00.000 R =Cost (Real Eslale Only) V =O~hcr

C =$2.501 - $5.(00 III =$1.(00.(01 - $5.000.000 L =$50.001 - $1(0.(00 PI =$1.000.(01 - $5.000.000 P4 =More than $50,(00.0(0 S =Asscss~nL~nt W =Estimated

D -$5.001 - $15.(00 112 =More than $5.000.000 M =$100.(01 - $250.000 P2 =$5.000.(01 - $25.(00.000 T =Cash Markc~

E =$15.(01 - $50.(00

FINANCIAL DISCLOSURE REPORT Page 10 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/201 I

NONE (No reportable income, assets, or transactions.)


Am Description of Assets (including trust assets) Place "IX)" after each asset exempt from prior disclosure B. Income during reporting period i (1) (2) ~ Amount Type (e,g., i Code I div., rent, (A-H) or int.) C. Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W)
Transactions during reporting period

(1) Type (e.g., buy, sell, redemption)

(2) (3) (4) Date Value Gain mm/dd/yy Code 2 Code I (J-P) (A-H)

(5) Identity of buyer/seller (if private transaction)

103. --JPMorgan TreasuwPlusMoney 104. 105. Judicial & Justice Federal Credit Union IX) A

None

Sold

05/06/I 0

Interest

I. Income Gain Codes: (See Columns B I and D4 ) 2. Value Codes ISee Columns CI and D3) 3. Value Mclhod Codes (See Cohmm C2)

A =$1.000 or less F = $50.001 - $100.009 J =$15.000 or h."ss N =$250.001 - $500.0~0 P3 =$25.000.001 - $50.000.000 Q =Appraisal U =Book Value

B =$1,001 - $2.500 G = $ 100.001 - $ 1.000.000 K =$15.001 - $50.000 O =$500.001 - $1.000.000 R -~:ost (Real Estate Only) V -Oth~

C =$2.501 - $5,000 111 =$ 1.00~,001 - $ 5.000.000 L =$50.001 - $100.000 PI $1.000.001 - $5.000.000 P4 =More lhan S =Assessment W =Estimated

D =$L001 - $15,000 112 = M ore than $ 5 M =$100.001 P2 -$5.000.001 - $25.000.000 T =Cash Market

E =$15.001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 11 of 12

Name of Person Reporting IVance, Sarah S.

Date of Report 7/I 3/20! I

VIII. ADDITIONAL INFORMATION OR EXPLANATIONS.

FINANCIAL DISCLOSURE REPORT Page 12 of 12 IX. CERTIFICATION.

Name of Person Reporting IVance, Sarah S.

Date of Report 7/13/2011

I certify that all information given above (including information pertaining to my spouse and minor or dependent children, if any) is accurate, true, and complete to the best of my knowledge and belief, and that any information not reported was withheld because it met applicable statutory provisions permitting non-disclosure. I further certify that earned income from outside employment and honoraria and the acceptance of gifts which have been reported are in compliance with the provisions of 5 U.S.C. app. 501 et. seq, 5 U.S.C. 7353, and Judicial Conference regulations.

Signature: S[ Sarah S. 1Vance


NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES OR FALLS TO FILE THIS REPORT MAY BE SUBJECT TO CIVIL AND CRIMINAL SANCTIONS (5 U.S.C. app. 104)

Committee on Financial Disclosure Administrative Office of the United States Courts Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544

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