Upload
others
View
3
Download
0
Embed Size (px)
Citation preview
Conner_William_C
7
FINANCIAL DISCLOSURE REPORT Name of Person Reporting
WILLIAM C. CONNER
IV. REIMBURSEMENTS -- transportation, lodging, food, entertainment. (Includes those to spouse and dependent children. See pp. 25-27 of Instructions.)
SOURCE DESCRIPTION
0 NONE (No such reportable reimbursements.)
1
2
3
4
5
6
Date of Report
04106109
V. GIFTS. (Includes those to spouse and dependent children. See pp. 28-31 of Instructions.)
DESCRIPTION VALUE
$
2 $
3 $
4 $
VI. LIABILITIES. (Includes those of spouse and dependent children See pp. 32-33 of Instructions.)
CREDITOR DESCRIPTION VALUE CODE*
SOURCE
NONE (No such reportable gifts.)
1
0 NONE (No reportable liabilities.)·
*Value Codes: 1=$ 1 5,000 or less
N=$250,001-$500,000
P2=$5,000,001-$25,000,000
K=$15,001-$50,000 L=$50,001-$100,000 0=$500,001-$1,000,000
P3=25,000,001-50,000,000
M=$100,00 l ·$250,000 P1=$1,000,00I-$5,000,000
P4=50,000,00 I or more
2
3
4
5
5
6
7
8
9
'
J-$15,000
J4) am
i
(1)
(e_.g.,
Name of Pen;on Reporting Date of Report FINANCIAL DISCLOSURE REPORT WILLIAM C. CONNER 04106109
VII. Page 1 INVESTMENTS and TRUSTS -- income, value, transactions (Includes those of spouse and dependent children. See pp. 34-57 of Instructions.)
A B. c.Description of Assets D.Income Gross value (includmg trust assets) Transactions during reporting period during at end of reporting period reporting period
(2) (1) (2) (1) Ifnot exempt from disclosure Type Type
Value (e.g., (2) (3)buy, sell, Date: Value Identity of
Place ']!2" after each asset exempt om prior disclosure.
(5)Amt. ·div., Value Method
Code l Code2 Code3 merger, Month- Code2 Codel buyer/sellerredemption) (if private transaction)
rent or (A-H) int.) (J-P) (Q-W) Day (J-P) (A-H)
NONE (No reportable income, D
I B Div. M T TYCO Int'! Common Stock
2
3
4
10
11
12
13
14
15
Precision Castparts II II A II M T
Merichem Corp. II II A II L u
N.Y. Dorm. Auth. Bonds B Int. K T
N.Y. Med. Care Facil. II D II Sell
N.Y. Trans. Fin. Auth. II c II L T
N.Y. Dorm. Auth. II B II K T
N.Y. Med. Care Facil. II D II M T
N.Y.C. Ser. G ,, B II K T
N.Y.C. Ser. J ,, B ,, K T
N.Y. UDC Correc. Fae. II B II K T
N.Y. Energy R&D ,, B II K T
N.Y. Trans. Fin. Auth. ,, c II L T
N.Y.C. Water Auth. ,, D II N T
N.Y. Dorm. Auth. B K T
3/24 M
,, II
16 N.Y.C. Trans. Fin. Auth. ,, B II K T
17 N.Y. Dorm. Auth. ,, c II L T
I JncomwGain Codes: A=$1 000 orJess 8=$1,001-$2,500 C=$2,501-$5,000 D=$5,001-$15,000 E=$15,001-$50,000 (See Col. Bl, D4) F=$50,001- $100,000 G=$100,00 1-$1 ,000,000 Hl=Sl,000,001-$5,000,000 H2=More than $5,000;000
2 Value Codes: or less K $IS,001-$50,000 L $50,001- $100,000 M-'-$100,001-$250,000 (See Col . Cl, D3) N=$250,001,$500,00Q 0=$500,001-$1,000,000 P l=$1,00Cfb001-$5,000,000 P2=$5,000,001-$25,000,000
P3=$25,000,001-$50,000,000 P4=More an $50,000,000 3 Value Method Codes: i: praisal R=Cost (real estate only) S=Assessment T=Cash/Market
(See Col. C2) =Book value V=Other W=Estimated
i I
20
(A-H) (J-P)
(5 )
Name of Person Reporting Date ofRepon FINANCIAL DISCLOSURE REPORT
WILLIAM C. CONNER 04/06/09
VII. Page 2 INVESTMENTS and TRUSTS -- income, value, transactions (Includes those of
spouse and dependent children. See pp. 34-57 of Instructions.)
A. Description of Assets
(includmg trust assets) B.
Income during
c. Gross value
at end of D.
Transactions during reporting period reporting period reporting period (I) (2) ( l ) (2) ( l ) If not exempt from disclosure
Type Type(e.g., Value (e.g., (2)div., Value Method buy, sell, Date: v e <l!fu
redemption)
Identity of Amt.Place '}!2"after each asset exempt om prior disclosure. Code l Code2 Code
(Q-W) Month- Code2 Codel buyer/seller
(if private transaction) rent or merger,
int) Day (J-P) (A-H)
D NONE (No reportable income,
assets, or transactions)
18 N.Y. Dorm. Auth. Bonds c Int. L T
19 N.Y. Dorm. Auth. II c II L T
II IIN.Y. Dorm. Auth. c L T
II II21 L.I. Power Auth. c L T
II II22 Port Authority c L T
23
2 4
25
26
27
28
29
30
31
32
33
34
N.Y.C. Water Auth. II c II Sell
N.Y.C. Water Auth. II B II II
N.Y. Dorm. Auth. II B II I/
N.Y. Dorm. Auth. I/ c II L T
N.Y. Dorm. Auth. I/ D II M T
N .Y. Med. Care Facil. II c II L T
N.Y. Dorm. Auth. II
D II M T
N.Y. Dorm. Auth. II D II N T
N.Y. Dorm. Auth. II D II M T
Triboro B & T Auth. II c II L T
Met. Trans. Auth. II c II II
Met. Trans. Auth. II
D II M T
4/29 M
4/29 L
4/29 T
4/29 M B
I Income/Gain Codes: A=$1 000 or less 8=$1,001-$2,500 C=$2,501-$5,000 D=$5,001-$15,000 E=$15,001-$50,000(See Col. B l, D4) F=$50,001- $100,000 G=$100,001-$1,000,000 H1=$1,000,00 l-$5,000,000 H2=More than $5,000 000
2 Value Codes: 1=$15,000 or less K=$15,001-$50,000 L=$50,001-$100,000 M=$IOO 001-$250,000 (See Col. C l, 03) N=S25o,ooI-$500,000 o=s5oo,oo1-s 1,000,000 P l=$1,00'ffi00l-$5,000,000 P2=$5,000,001-$25,000,000
P3=$25,000,001-$50,000,009 P4=More an $50,000,000 3 Value Method Codes: ?}:Appraisal R=Cost (real estate only) s AsSessment T=Cash/Market
(See Col. C2) =Book value V=Other W=E stimated
--
2
S-Assessment
l I
I I
FINANCIAL DISCLOSURE REPORT 1 Name of Person Reporting Date of Report
WILLIAM C. CONNER 04106/09
VII. Page 3 INVESTMENTS and TRUSTS income, value, transactions (Includes rhose of
spouse and dependent children. See pp. 34-57 of Instructions.)
D 35
36
37
38
39
40
41
42
43
44
45
46
47
48
49
50
51
I
A. B. c.Description of Assets Income Gross value(including trust assets) during at end of reporting petiod reporting period (I) (2) (I) (2) (I)
Type Value
Type(e.g., (e.g.,
Place "jXJ" after each asset Amt. div., Value Method buy, sell, exempt om prior disclosure. Code! rent or Code2 Code merger,
(A-H) int.) (J-P) (Q-W) redemption)
NONE (No reportable income, assets, or transactions)
Met. Trans. Auth. Bonds c Int. L T
N.Y. Dorm. Auth. II D II M T
N.Y. Urban Dev. Corp. II c
II L T
Met. Trans. Auth. II D II M T
Triboro B & T Auth. II c II L T
N.Y. Dorm. Auth. II c II L T
Triboro B & T Auth. II B II Sell
N.Y. Dorm. Auth. II c
II L T
N.Y. Environ. Fae. II c II L T
Port Authority II D
II M T
N.Y. Gen. Oblig. II c II L T
N.Y. Dorm. Auth. II c
II L T
Triboro B & T Auth. II D II M T
Triboro B & T Auth. II D II M T
N.Y.C. Trans. Fin. Auth. II D II M T
L.L Power Auth. II c II L T
Triboro B & T Auth. II D
II M T
Income/Gain Codes: A=$1 000 or less (See Col. B l, 04) F=$50,00I- $100,000
B=Sl,001-$2,500G=$100,001-$1,000,000
C=$2,501-$5,000H l =$1,000,001-$5,000,000
Value Codes: (See Col. C l, 03)
1=$15,000 or less K $15,001-$50,000N=$250,001-$500,000 0=$500,001-$1,000,000P3=$25,000,001-$50,000,000
L-$50,001- $100,000 P l=$1,000h001-$5,000,000P4=More t an $50,000,000
3 Value Method Codes: ?;Appraisal(See Col. C2) =Book value
R=Cost (real estate only) V=Other W=Estimated
D.Transactions during reporting period
Ifnot exempt from disclosure
(3)(2) (4) (5)Date: Value Gam Identity of
Month- Code2 Code! buyer/sellerDay (J-P) (A-H) (if private transaction)
4/29 L
I
D=$5,001-$15,000H2=More than $5,000,000
E=$15,001-$50,000
M $100 001-$250,000 P2=$5,000,001-$25,000,000
T=Cash/Market
i
I I I I I )
I i
FINANCIAL DISCLOSURE REPORT Name of Person Reporting Date ofRepon
WILLIAM C. CONNER 04106109
VII. Page 4 INVESTMENTS and TRUSTS -- income, value, transactions (Includes those of
spouse and dependent children. See pp. 34-5 7 of Instructions.)
D 52
53
54
55
56
57
58
59
60
61
62
63
64
65
66
67
68
l
2
A B. c.Description of Assets Income Gross value (including trust assets) during at end of reporting period reporting period (I) (2) (I) (2) (I)
Type Value
Type(e.g., (e.g.,
Place "j/2"after each asset Amt. div., Value Method buy, sell, exempt om prior disclosure. Codel rent or Code2 Code merger,
(A-H) int.) (J-P) (Q-W) redemption)
NONE (No reportable income,assets, or transactions)
N.Y.C. Water Auth. Bonds D Int. M T
Triboro B & T Auth. II
D II
M T
N.Y.C. Water Auth. II
B II K T
N.Y. Environ. Fae. II c II
L T
N.Y. Environ. Fae. II
D II
M T
N.Y. Environ. Fae. II c II
L T
N.Y. Environ. Fae. II
D II
M T
Wash. & Warren Cos. II
D II
M T
L.I. Power Auth. II c II
Sell
N.Y.C. Water Auth. II
D II
M T
N.Y. Dorm. Auth. II c II
L T
Madison Co. N.Y. II c II
L T
N.Y.C. Water Auth. II c II
L T
Port Authority II c II
L T
N.Y. Environ. Fae. II
D II
M T
L.I. Power Auth. II
D II
M T
N.Y. Environ. Fae. II
D II
M T
Income/Gain Codes: A=$1 000 or less C=$2,501-$5,000(See Col. Bl, D4) F=$50,00l - $100,000
8=$1,001-$2,500G=$100,00l-$1,000,000 Hl =$1,000,00l -$5,000,000
Value Codes: (See Col. Cl, D3)
1=$15,000 or less K=$15,001-$50,000N=$250,001-$500,000 0=$500,001-$1,000,000P3=$25,000,001-$50,000,000
L=$50,001- $100,000 Pl=$!,OO OOI-$5,000,000P4=More an $50,000,000
3 Value Method Codes: <(;Appraisal(See Ceil. C2) =Book value
R=Cost (real estate only) S-AssessmeiltV=Other W=Estimated
D.Transactions during reporting period
If not exempt from disclosure
(2) (3) J4)
(5)Date: Value am Identity of
Month- Code2 Codel buyer/sellerDay (J-P) (A-H) (if private transaction)
4129 M
0=$5,001-$15,000H2=More than $5,000,000
E=$l 5,001-$50,000
M=-$100 001-$250,000 P2=$5,000,001-$25,000,000
T=Cash/Market
i
r-
If
I
K-$15,001-$50,000
3
I
I
Name of Person Reporting Date of Report FINANCIAL DISCLOSURE REPORT
WILLIAM C. CONNER 04106109
VII. Page 5 INVESTMENTS and TRUSTS -- income, value, transactions r1nc1udes those of
spouse and dependent children. See pp. 34-57 of Instructions.)
A.Description of Assets
(including trust assets) B.
Incomeduring
reporting period
c.Gross value
at end of reporting period
D.Transactions during reporting period
Place "j,.X)" after each asset exempt om prior disclosure.
(1) (2) Type(e.g.,
Amt. div.,CodeI rent or (A-H) int.)
(1) (2)
ValueValue MethodCode2 Code(J-P) (Q-W)
(1) Type(e.g.,
buy, sell, merger,
redemption)
If not exempt from disclosure
(2) d
4)v e
(5)Date: am Identity of
Month- Code2 Code! buyer/sellerDay (J-P) (A-H) (if private transaction)
D NONE (No reportable income,
assets, or transactions)
69 N.Y. Environ. Fae. Bonds D Int. M T
If If70 N.Y. Environ. Fae. c L T
If If71 N.Y.C. Water Auth. D M T
72 N.Y. Dorm. Auth. c If L T
73
74
75
76
77
78
79
80
81
82
83
84
J 85
N.Y.C. Water Auth. If c II L T
N.Y. Dorm. Auth. If B II L T
N.Y.C. Water Auth. If B If L T
N.Y. Environ. Fae. If B If L T
N.Y. Dorm. Auth. II c If M T
Livingston Co. NY If B If L T
Port Authority If B II L T
N.Y. Environ. Fae. If B If L T
N.Y.C. Water Auth. If B If L T
Met. Trans. Auth. II B II L T
Suffolk Co. NY II B If L T
N.Y. Dorm Auth. " B II L T
N.Y.C. Water Auth. II B If L T
I
I Income/Gain Codes: A=$1 000 or less B=$1,001-$2,500 C=$2,501-$5,000 0=$5,001-$15,000 E=$15,00l-$50,000(See Col. BI, D4) F=$50,001-$100,000 G=$100,001-$1,000,000 HI =$1,000,001-$5,000,000 H2=More than $5,000,000
2 Value Codes: 1=$15,000 or less L=$50,00I· $100,000 M=$100 001-$250,000 (See Col. C l , 03) N=$250,001-$500,000 0=$500,001-$1,000,000 PI=$1,00<fh001-$5,000,000 P2=$5,000,001-$25,000,000
P3=$25,000,001-$50,000,000 P4=More an $50,000,000 Value Method Codes: '{;Appraisal R=Cost (real estate only) $-Assessment T=Cash/Market(See Col. C2) =Book value V=Other W=Estimated
I
I I I i i i
I 1103 I !
I i I I
(3)
87
Name of Person Reporting Date of Report FINANCIAL DISCLOSURE REPORT
WILLIAM C. CONNER 04106109
VII. Page 6 INVESTMENTS and TRUSTS -- income, value, transactions (Includes those of
spouse and dependent children. See pp. 34-57 of Instructions.)
A. B. c.Description of Assets D.Income Gross value (includmg trust assets) Transactions during reporting period during at end of reporting period reporting period (I) (2) (1) (2) (I) Ifnot exempt from disclosure
Type Type
Villue(e.g., Value (e.g.,Place }!2" after each asset
(2) <l:ln (5)Amt. div., Value Method buy, sell, Date: Identity of
Code! rent or Code2 Code . merger, Month- Code2 Codel exempt om prior disclosure. buyer/seller(A-H) int.) (J-P) (Q-W) redemption) Day (J-P) (A-H) (if private transaction)
D NONE (No reportable income,
assets, or transactions)
86 N.Y.C. Water Auth. Bonds c Int. M T
fl flN.Y. Gen. Oblig. B L T
88 Met. Trans. Auth. fl B fl L T
89 N.Y.C. Water Auth. fl B ,, L T
90 N.Y.C. Water Auth. fl B fl L T
91 N.Y.C. Water Auth. fl B fl L T
92 N.Y.C. Water Auth. fl c fl M T
93 Webb, N.Y. Gen. Oblig. fl B fl L T
94 L.I. Power Auth. fl B fl L T
95 L.I. Power Auth. II B fl L T
96 Hudson Yards fl B fl K T
97 Hudson Yards II B II L T
98 Hudson Yards fl c II M T
99 Met. Trans. Auth. II c fl M T
100 N.Y.C. Mun. Wtr. Fin. II B II L T
I
IOI Hudson Yards fl B fl L I T
II 102 N.Y.C. Water Auth. fl B fl L T
Windham/Ashland S.D. ,, B fl
L T Buy 1111 L
l Income/Gain Codes: A=$1 000 or less (See Col. B l , 04) F=$50,001- $100,000
8=$1,001-$2,500G=$100,001-$1,000,000
C=$2,501-$5,000H1=$1,000,001-$5,000,000
0=$5,001-$15,000H2=More than $5,000,000
E=$15,001-$50,000
2 Value Codes: (See Col. C l , 03)
J=$15,000 or less K=$15,001-$50,000N=$250,001-$500,000 0=$500,001-$1,000,000P3=$25,000,001-$50,000,000
L=$50,001- $100,000 P l=$1,00'ffi001-$5,000;000P4=More an $50,000,000
M=$100 001-$250,000 P2=$5,000,001-$25,000,000
3 Value Method Codes: <(;Appraisal(See Col. C2) =Book value
R=Cost (real estate only) V=Other
S=Assessment W=Estimated
T=Cash/Market
I I I
' !
Date of Report Name of Person Reporting FINANCIAL DISCLOSURE REPORT
WILLIAM C. CONNER 04/06/09
VII. Page 7 INVESTMENTS and TRUSTS -- income, value, transactions r1nctudes those of
spouse and dependent children. See pp. 34-57 of Instructions.)
A. B. c.Description of Assets D.Income Gross value (including trust assets) Transactions during reporting period during at end of reporting period reporting period (1) (2) {I) (2) (1) If not exempt from disclosure
Type Type(e.g., Value (e.g., (2) (5)
Place ".fj," after each asset Date: v e J4) Identity of Amt. div., Value Method buy, sell, am
exempt om prior disclosure. Code! rent or Code2 Code merger, Month- Code2 Code! buyer/seller(A-H) int.) (J-P) (Q-W) redemption) Day (J-P) (A-H) (if private transaction)
D NONE (No reportable income,
assets, or transactions)
104 N.Y.C. Muri. Wtr. Fin. Bonds B Int. L T Buy 2/7 L
105 N.Y. Dormitory Auth. fl c fl M T ,, 3/18 M
fl II II106 N.Y. Conven. Ctr. Devel. B L T 519 L
fl fl II107 N.Y.C. Devel. Agcy. c M T 515 M
fl II fl108 Hudson Yards c L T 517 L
109
110
111
112
113
114
115
116
117
118
119
120
121
N.Y.C. Devel. Agcy. fl B II L T II
N.Y.C. Mun. Wtr. Auth. fl c fl M T II
N.Y. Dormitory Auth. fl B II L T II
Suffolk Co. NY II c II M T II
N.Y. Urban Devel. fl c fl M T II
N.Y. Dormitory Auth. fl B II L T fl
Hudson Yards fl B fl M T II
N.Y.C. Water Fin. Auth. II A II L T II
N.Y.MTA fl A II L T II
N.Y.C. Gen. Oblig. fl A fl L T II
517 L
5/13 M
5/13 L
5/14 M
5120 M
6/11 L
8/18 M
919 L
10/30 L
12/15 L
1 Income/Gain Codes: A=$1 000 or less 8=$1,001-$2,500 C=$2,501-$5,000 0=$5,001-$15,000 E=$15,001-$50,000 (See Col. Bl, 04) F=$50,001- $100,000 G=$100,001-$1,000,000 Hl=$1,000,001-$5,000,000 H2=More than $5,000,000
2 Value Codes: J=$15 000 or less K-$15,001-$50,000 L=$50,001-$100,000 M=$100,001-$250 000 (See Col. Cl, 03) N=$2SO,OO 1-$500,000 0=$500,001-$1,000,000 P 1 =$1,00'fhOOl-$5,000,000 P2=$5,000,001-$2S,OOO,OOO
P3=$25,000,001-$50,000,000 P4=More an $50,000,000 3 Value Method Codes: '(;Appraisal R=Cost (real estate only) s Assessment T=Cash/Market
(See Col. C2) =Book value V=Other W=Estimated
--
A.
Emnire
K-$15,001-$50,000
Q=Appraisal 0=)3ook
Redemp.
Redemp.
Redemp.
=$1,00 1001-$5,000,000 man
'
Name of Person Reporting Date of Report FINANCIAL DISCLOSURE REPORT
WILLIAM C. CONNER 04/06/09
VII. Page 8 INVESTMENTS and TRUSTS income, value, transactions r1nc1udes those of
spouse and dependent children. See pp. 34-57 of Instrnctions.)
Description of Assets ( includmg trust assets)
B. Income during
reporting period
c. Gross value
at end of reporting period
D. Transactions during reporting period
(1) (2) (1) (2) (1) If not exempt from disclosure
Place ']:'2" after each asset exempt om prior disclosure.
Amt. Codel (A-H)
Type( e. g., div:,
rent or int.)
Value Code2(J-P)
Value Method
Code (Q-W)
Type( e. g.,
buy, sell, merger,
redemption)
(2)Date:
Month-Day
(3)Value Code2 (J-P)
J4)am
CodeI (A-H)
(5)Identity of buyer/seller
( if private transaction)
D NONE (No reportable income,
assets, or transactions)
122 First Trust Ins. Munic.: Bonds
123
124
125
126
127
128
129
130
131
132
133
134
135
136
137
138
139
Series 19 A Int.
Insured Munic. Inc. Trust: Bonds
Series 21 A Int. J
Series 64 A fl J
Series 73 A fl J
Gtd. Mun. ExTrust: Bonds
Series 29 A Int. J
Series 36 A fl J
Series 41 A fl J
Series 98 A fl K
Series 100 A fl J
Series 112 A fl J
Series 115 A fl J
Series 116 A II
Series 119 B II K
Series 120 A fl J
Series 122 B II K
Redemp.
T
T Partial
T
T
T
T
T
T
T Partial
T
Redemp.
T fl
T Partial
T
6/20 J
5/19 J
7/26
6/1 J
3/7 K
12/1 J
6/1 J
12/1
Income/Gain Codes: A =$1 000 or less B=$1,001-$2,500 C=$2,501-$5,000 0=$5,001-$15,000 E=$15,001-$50;000(See Col. B l, 04) F=$50,001- $100,000 G=$100,00 l-$1,000,000 H1=$1,000,001-$5,000,000 H2=More than $5,000,000
2 Value Codes: J=$15,000 ot less L-$50,001- $100,000 M-'-$100 001-$250,000 (See Col. Cl, 03) N=$250,001-$500,000 0=$500,001-$1,000,000 P l P2 =$5,000,00I-$25,000,000
P3=$25,000,001-$50,000,000 P4=More $50,000,000 3 Value Method Codes: R=Cost ( real estate only) S=Assessment T=Cash/Market
(See Col. C2) value V=Other W=Estimated
(S)
Redemp.
I ! i
1 157
3
i I I
I
I I I
(2) (2)
(Q-W)
141
FINANCIAL DISCLOSURE REPORT WILLIAM C. CONNER 04/06/09
Name of Person Reporting Date of Report
VII. Page 9 INVESTMENTS and TRUSTS -- income, value, transactions (Includes those of
spouse and dependent children. See pp. 34-57 of Instructions.)
A. B. c.Description of Assets D.Income Gross value (includmg trust assets) Transactions during reporting period during at end of
reporting period reporting period
(1) (1) (1) If not exempt from disclosure Type Type (e.g., Value (e.g., (2)
Place J,.XJ" after each asset Amt. div., Value Method buy, sell, Date: v e J:fu Identity of exempt om prior disclosure. CodeCodel rent or Code2 Month· Code2 Cod el buyer/sellermerger,
(A·H) int.) (J-P) Day (J-P) (A-H)redemption) (if private transaction)
D NONE (No reportable income,
assets, or transactions)
Partial140 Series 126 B Int. K T 12/1 J
II IISeries 127 B K T 12/1 J
142 Series 128 A II J T II 6/1
J 12/1
143 Series 129 B II K T
144 Series 130 A II J T II 6/1 J
12/1
145 Series 131 B II K T
146 Series 134 B II J T II 12/1 J
147 Series 135 B II J T
148 Series 136 B II K T
149 Series 137 c II K T II 8/1 J
150
151 The Bank of New York A Int. L T
152 (Accounts of- self at Dobbs Ferry, N.Y. branch)
153
154 Astoria Federal Savings A II J T
(Savings account at155
Hastings, N.Y. branch)
/ 1s6 I
Farm, Itasca, Texas L w
1 Income/Gain Codes: (See Col. Bl, 04)
A=$1 000 or less F=$50,001- $100,000
8=$1,001-$2,500G=$100,001-$1,000,000
C=$2,501-$5,000H1=$1,000,001-$5,000,000
0=$5,001-$15,000 H2=More than $5,000,000
E=$15,001-$50,000
2 Value Codes: (See Col. Cl, 03)
J=$15,000 or Jess K=$15,001-$50,000 N=$250,001-$500,000 0=$500,001-$1,000;000P3=$25,000,001-$50,000,000
Value Method Codes: ?]:Appraisal (See Col. C2) =Book value
R=Cost (real estate only) V=Other
L=$50,001· $100,000 Pl=$1,00'lh001·$5,000,000 P4=More an $50,000,000 S=Assessment W=Estiniated
M=$l00,00 l-$250,000 P2=$5,000,001-$25,000,000
T=Cash/Market
Name of Person Reporting Date of Report
FINANCIAL DISCLOSURE REPORT WILLIAM C. CONNER 04/06/09
VIII. ADDITIONAL INFORMATION OR EXPLANATIONS (Indicate part of Report.)
IX. CERTIFICATION.
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 whichhave 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 Date t, I ID (J 1
NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES OR FAILS TO FILE THIS REPORT MAY BE SUBJECT TO CIVIL AND CRIMINAL SANCTIONS (5 U.S.C. App.,§ 104.)
Mail signed original and 3 additional copies to:
FILING INSTRUCTIONS:
Committee on Financial Disclosure Administrative Office of the
United States Courts
Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544