israel l glasser financial disclosure report for 2010

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  • 8/3/2019 Israel L Glasser Financial Disclosure Report for 2010

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    A O 1 0Rev. 1/201FINANCIAL DISCLOSURE REPOR T

    FOR CALENDAR YEAR 201 0Report Re quired by the Ethicsin Government ~tct o f 1978(5 U.S.C. app. ,~~ 101-111)

    I I . P e r s o n R e p o r t i n g ( l a s t n a m e , f i rs t , m i d d l e i n i t i a l)GLASSER , ISRAEL L.

    4 . T i t l e ( A r t i c le I I I J u d g e s i n d i c a t e a c t i v e o r s e n i o r s t a t u s ;magis t ra te judges ind ica te fu l l - o r par t - t ime)

    SENIOR U.S. DISTRICT JUDGE

    7 . Ch a mb e rs o r Of f i c e A d d r e s sU N I T E D S T A T E S C O U R T H O U S E225 CADMAN PLAZA EASTB R O O K L Y N , N E W Y O R K 1 1 201

    2 . C o u r t o r O r g a n i z a t io nUNITED STATES DISTRICT COURT

    3 . Date of Report05/06/201 I

    5a. Report Type (check appropr iate type)] Nominat ion , D a t e[] Initial [] Annual [] Final5b. [] Amended Report8. O n t h e b a s i s o f t h e i n f o r m a t i o n c o n t a in e d i n t h i s R e p o r t a n d a n ym o d i f i c a t i o n s p e r t a i n i n g t h e r e t o , it i s , i n m y o p i n i o n , i n c o m p l i a n c e

    w i t h a p p l i c a b l e l a w s a n d r e g u l a t i o n s .

    6 . Repo r t i ng P e r i od01/01/2010

    to12/31 /2010

    R e v ie ,a i n g O f f i c e r D a t e

    I M P O R T A N T N O T E S : The instructions accompanying this form must be followetL Complete all parts,checking the NONE box for each part where you have no reportable information. Sign on last page.

    I . P O S I T I O N S . (Reporting individual only; seepp. 9-13 of fi l ing instructions. )[~ NONE(N o reportable posi t ions.)POSITION NAM E OF ORGANIZ ATION/ENTITY

    I. Advi so ry Counc i l2.3.4.5.

    I I . A G R E E M E N T S . ( R e p o r t i n g individual only; see pp. 14-16 of filing instruction&)~] (No reportable agreements.)O N E

    DATE PARTIES AND TERM S

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    FINANCIAL DISCLOSURE REPORTPage 2 o f 9

    N a m e o f P e r s o n R e p o r t in gG L A S S E R, IS RA E L L .

    1 1 1 . N O N - I N V E S T M E N T I N C O M E . ~ R e p o . in g i n d iv i d u a l a n d s p o u s e ; s e e p p . 1 7 - ~ 4 o r a t i n g instructions.)A. Fil e r s Non-Inves tme nt Incom e

    D (No reportable non-investment income.)ONE

    DATE SOURCE AND TYPE

    D a l e o f R e p o r t05/06/201 I

    INCOME(you r s , no t spou ses )

    I. 2010 N Y S E m p lo ye e s R e t ire m en t Sys te m $8357.162. 2010 TIAA Re t i r emen t Annu i ty $36000.3.4.

    B . S p o u s e s N o n - ! n v e s t m e n t I n c o m e - I f you were married during a ny portion of the reporting year, complete this section.(Dol lar amount not required except for honoraria. )

    ~] (No reportable non-investment income.)O N EDATE SO U R C E A N D TY PE

    2.3.4.

    I V . R E I M B U R S E M E N T S - transportation, lodging, foo d, entertainment.(Includes those to spouse and dependent chi ldren ," see pp. 25 -27 of f i l ing instruct ions .)

    ~] (No reportable reimbursements.)ONE

    2.3.4.5.

    SO U RC E D A T ES LO C A T IO N PURPOSE ITEMS PAID OR PROVIDED

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    FINANCIAL DISCLOSURE REPORTP a g e 3 o f 9

    Na me o f Pe r s o n R e p o r l i n gGLASSER, ISRAEL L.

    Dale o f Repor t05/06/2011

    V . G I F T S . a n c l u d , s those Io spouse and dependent children; see pp. 28-31 of fling instructions.)N O N E ( N o reportable gif ts.)

    SOURCEI.2.3.4.5.

    DESCRIPTION V A L U _ _ _ ~ _ E

    V I . L I A B I L I T I E S . a , c t u d e s t h o s , o f s , o ~ s e a n d d e ~ , e n d e o t c h i ld r e n ; s e e p p . 3 2 - 3 3 of:ling instructions.)N O N E ( N o reportable liabilities.)

    CREDITOR DESCRIPTIONI.2.3.

    4.5.

    V A L U E C O D E

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    FINANCIAL DISCLOSURE REPORTPage 4 o f 9

    N a m e o f P e r s o n R e p o r ti n gGLASSER, ISRAEL L.

    D a l e o f R e p o r t05/06/201 I

    VII. INV ESTMENTS and TRUSTS - i.c ..... . a t . e , transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instructions.)N O N E (No reportable income, assets, or transactions.)

    Descrip tion of Asse ts In com e du rin g( i n c l u d i n g t rus t assets) reporting period

    O ) (2)Place "(X)" after each asset Amount Type (e.g.,

    exempt f rom pr ior d i sc losure Code I div., rent,( A - H ) o r i n t . )

    Gross value at en do f r e p o r t i n g p e r i o d( 1 ) ( 2 )

    V a lu e V a lu eC o d e 2 M e t h o d(J-P) C o d e 3

    ( Q - W )

    Type (e.g.,buy, se l l ,

    r e d e m p t i o n )

    T r an s a c t i o n s d u r i n g r e p o r t i n g p e r i o d

    (2) (3) (4)D a t e Va lu e G a i n

    m m/dd /yy Co de 2 Co d e I( J - P ) ( A - H )

    Identity ofbuyerlse]]er( i f p r i v a t e

    t r a n s a c t i o n )

    1 . American Tel . & Tel . A Dividend L2. AT&T A D i v i d e n d K

    3. Alcatel Lucent

    4. P.P. & L.

    5. Dayton P & L6. Chevron Texaco Corp .7. Nuveen Growth & Inc . Fd . (Large Cap.Value )8. Rochester Municipals

    9. Rochester Ltd. Term1 0 . Burl ington Northern Santa Fe

    II. Exxon Mobi l1 2 . General Electric

    1 3 . Conoco Phil lips1 4 . Norfolk Southem

    A Dividend J

    A Dividend J

    A Dividend JC Dividend LA Dividend KA Dividend JB Dividend K

    A DividendD Dividend NA Dividend KA Dividend K

    B Dividend K

    TTTTTT

    TSold

    T S o l d( p a n )TTT

    03/05/I 004/01110

    LL

    F

    E

    1 5 . Pepsico,lnc.

    1 6 . ScanaCorp .1 7 . W ashington Gas & Light

    B

    BB

    Dividend M

    Dividend KDividend L

    T

    T

    T

    I. Income Gain Codes :( s e e C o l um ns B I a nd

    2. Value Codes( S e e C o l u m n s C I a n d D 3 )

    3. Value Method Code , ,( S e e C o l u m n C 2 )

    A=$1,000 or IcssF =$50.091 - $10~.000J=$15,000 or IcssN =$250.001 - $500.000P3=$25.000.001 - $50.000.009Q =AppraisalU =Book Value

    B -$1 ,001 - $ 2 , 5 0 0G =$100.001 - SI.000.00~K -$15.001 - $50.000O $500.001 - $1 .0~0.000R =Co, I (Rea l E~ ta t c On ly )V Other

    C =$2,501 -$5 ,000H I =$ 1.000.001 - $ 5.000.000L =$50,001 - $100,000PI $1.004).001 -$5,000.000P4 =More than $50,000.000S = A s ~ c s :, m c n tW E s t im a t e d

    D =$5,001 - $15,000H2 = M o r e thanM =$ 100,001 - $250,000P2 =$5,000,001 - $25,000.000T = C a s h M a r k e t

    E = $ 1 5 ,0 0 1 - $50 .000

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    FINANCIAL DISCLOSURE REPORTP a g e 5 o f 9

    N a m e o f P e r s o n R e p o r t i n gGLASSER, ISRAEL L.

    D a t e o f R e p o r t05/06/201 I

    V I I . I N V E S T M E N T S a n d T R U S T S - inco,.e, ,alue, transactions (Includes those of spouse and dependent children; seepp. 34-60 of filing instructions.)D (No reportable assets, orONE income, transact ions.)

    A. B. C.De s c r i p t i on o f A s s e t s I n c o m e du r i ng G r o s s v a lu e a t e n d( inc luding t rus t as s e t s ) r e p o r t i ng p e r i od o f r e por t i n g pe r iod

    (I) (2) (I) (2)P l a c e " I X ) " a f t e r e a c h a s s e t A m o u n t T y p e ( e .g . , V a lu e V a lu ee x e m p t f r o m p r i o r d i s c l o s u r e C o d e I d i v . , r e n t , C od e 2 M e th o d( A - H ) o r i n t . ) ( J - P ) C o d e 3

    ( Q - W )

    1 8 . Nuveen Ta x Ex. U. Tr. Set. 202 B I n t e r e s t K T1 9 . Fenis Baker Res . Fd D I n t e r e s t M T

    20 . U.S. Treas. Bills D I n t e r e s t M T

    21 . HSBC A I n t e r e s t L T2 2. T IA A/ CR EF M u t u al Fu n d A Dividend M T23 . State oflsrael A I n t e r e s t J T24 . C MA N Y Mu n A I n t e r e s t J T25. Ver i zon B Dividend L T

    26 . Q u e s t A Dividend J T27 . Axa A Dividend J T28 . Nuveen NY Div M CPL A Dividend J T29 . Mer r i l l Lynch Bkg Adv A Dividend K T30. A V A Y A A Dividend J T31. IB M A Dividend J T32. M icr oso ft A Dividend J T33 . Voda f one A Dividend J T34. Ager e A Dividend J T

    T rans a c t i on s du r i ng r ep o r t i ng p e r i o d

    (i ) (2) (3)Type (e.g., D a t e V a l u e

    buy, sel l , mm]dd/yy Code 2r e d e m p t i o n ) ( J - P )

    (4) (5 )Gain I d en t i t y o f

    C o d e I b u y e r / s e l l e r( A - H ) ( i f p r iva te

    t r a n s a c t i o n )

    I . Incom e Gain Codes : A =$1.000 o r less B = $1,001 - $2 ,500 C = $2,501 - $5 ,000 D = $5 .0~1 - $15,~00ISee Columns B I and I ) 4 ) F =$50,001 - $10~ .000 G =$10~,001 - $1.0~0.0~ HI =$1.00~.001 - $5.1)00.000 H2 =More th an

    2 . Value Codes J $15 ,000 o r le s s K =$15,0~1 - $50.0~0 L -$50,0~1 - $100,000 M =$100,001 - $250,0~0I S e c C o l um ns C I a n d D 3 I N =$250.001 - $500.000 O =$500.001 - $1,000.000 PI =$1,000.001 o $5,000.000 P2 -$5,000.001 - $25,000,000

    P3 =$25.0~0.U.01 - $50.000.000 P4 =More than $50,0~0,0003. Valu e M clho d Co des Q = Appra isa l R =Cos t (Rea l Es t a t e On ly ) S =As s es s men t T =Cash Marke tISee Column C2) U - B ook V a l u e V =Other W =Es t imat ed

    E =$15.001 -

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    FINANCIAL DISCLOSURE REPORTPage 6 o f 9 Ia m e o f P e r s o n R e p o r t i n gGLASSER, ISRAEL L. D a t e o f R e p o r t05/06/201 I

    V I I . I N V E S T M E N T S a n d T R U S T S - income, ,alue, transactions (Includes those of spouse and dependent children; seepp. 34-60 o.filling instruction&)N O N E (No reportable income, assets, or transactions.)

    D e s c r i p t i o n o f A s s e t s I n c o m e d u r i n g( i n c l u d i n g t~st a s s e t s ) r e p o r t i n g p e r i o d

    (I) (2)Place "(X)" after each asset A m o u n t Type (e.g.,

    exempt from prior disclosure Code I div . , ren t ,( A -H ) o r i n t . )

    G ro s s v a l u e a t e n do f r e p o r t i n g p e r i o dO) (2)

    V a lu e V a lu eC o d e 2 M e t h o d(J-P) C o d e 3( Q - W )

    0)Type (e.g.,buy, se l l ,

    r e d e m p t i o n )

    T r an s a c t i o n s d u r i n g r e p o r t i n g p e r i o d

    (2) (3) (4)D a t e Va lu e Gain

    m m /d d /y y C o d e 2 Code I(I-P) (A-H)

    I d en t i t y o fb u ye r / s e l l e r( i f p r i v a t e

    t r a n s a c t i o n )

    3 5 . C o m c a s t A D i v i d e n d J36 . G E Cap i t a l Co r p . S RN O TE 5 . 8 1 5 A I n t e r e s t L

    37 . A m e r i c a n C a p i t al38 . B l a c k roc kGl oba l f o rme r l y ML GI oba lAl lo t .39 . Mu tua l Discovery40 . AT&T P fd . St . No te

    A Dividend JA Dividend JA Dividend JC Distribution L

    T

    TT

    T

    4 1. Am e r ic an Gr o wt h Fu nd A Dividend J42 . AIM Charte r Fund A Dividend J43 . Sou t he r n C o .44 . A T & T

    A DividendA Dividend

    K

    K

    TT

    45. Vedzon A D i v i d e n d K

    46. Sysc o Co rp .47 . Southem Co .48. A qu a4 9. Kraf t Food 6 .125%

    50 . Ver izon 6 .1%51 . Bur l i ng ton No r the rn 4 .7%

    A DividendA DividendA DividendA I n t e r e s t

    A I n t e r e s tA I n t e r e s t

    K

    K

    L

    L

    L

    T

    TSold

    T B uy

    T B uyT B uy

    08 /05/10 K01 /04 /10 L

    03/11/10 L03/I 1/10 L

    D

    I. Income Gain Codes :( .%e Columns BI and

    2 . Value Codes( S e e C o l um ns C I a nd 0 3 )

    3. Value Method Codes1See Co lumn C2)

    A =$1,000 or lessF=$50.091 - $ 100.000J = $ 1 5 , 0 ~ 0 or lessN =$250.001 - $500,0~1P3=$25,0~0,001 - $50.000,000Q = A p p r a i~ a lU =Book Value

    B -$1,001 - $2 ,500G =$100,001 - $1,0~0.000K $15.001 - $50,000O =$500,001 - $ 1,000,04)0R =Cost (Real Estate Only)V =Other

    C =$2,501 - $5,000H I = $ 1.000.001 - $5.000.000L =$50.001 - $ 100,000P I =$ 1,000.0 O I - $ 5 . 0 0 0 , 0 0 0P4 Mo re th an $50,000.000S =Asse ssmen tW =Es t imat ed

    D =$5,001 - $15,000H2 :More th an $5 .000,000M =$100,001 - $250,000P2 =$5,000,001 - $25,000.000T = C a s h M a r k e t

    E =$15,001- $50,000

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    FINANCIAL DISCLOSURE REPORTP a g e 7 o f 9

    N a m e o f P e r so n Repor t ingG L A S S E R, IS RA E L L .

    D a t e o f R e p o r t05/06/2011

    V I I. I N V E S T M E N T S a n d T R U S T S - i n c ~ m e ~ v a ~ u e ~ t r a n ~ a c ~ n s ( ~ n c ~ u d e s t h ~ s e ~ f s p ~ u ~ e a n d d e p e n d e n t c h i ~ d r e n : s e e p p . 3 4 - 6 0 ~ f ~ i n g i n s t r u ~ t i ~ n s ~N O N E (No reportable income, assets, or transactions.)

    A. B. C. D .D e s c r i p t i o n o f A s s e ts Income during G r o s s v a l u e a t e n d T r a n s a c t i o n s d u r i n g report ing period

    ( i n c l u d i n g t r u s t a s s e t s ) r e p o r t i n g p e r i o d o f r e p o r t i n g p e r i o d(I) (2) (I) (2) (I ) (2) (3) :~ ( 4 )

    Place "(X)" after each asset Amount Type (e.g., V a l u e V a l u e Type (e.g., D a t e Value i Gainexempt from p rior d isc losure Code I d iv . , r e n t , C o d e 2 M e t h o d b u y , s e l l , m m / d d / y y Code 2 I Code I

    (A-H)A - H ) or in t . ) ( J -P ) C o d e 3 r e d e m p t i o n ) 0-P)( Q - W )

    52 . G o l d m a n S a c h s 5 . 3 75% A Interes t K T Bu y 05/13 /10 K

    53 . Gene ra l E l ec t r i c 5 .25% A Interes t L T Bu y 05 /13/10 L

    54 . P r o c t o r & G a m b l e A Div idend K T Bu y 08/05 /10 K55 . N u c o r A Div idend K T Bu y 10/28/I0 K

    56 . Abbo t t Labs A Div idend K T Bu y 12/15/10 K

    57 . Kimber ly Cla rk A Div idend K T Bu y 12/15/10 K

    58 . Suf fo lk Co . NY Pub. Impt . A Interes t K T Bu y 04 /07/10 K

    59 . NYS Tw y. Au th . St . Per s . A Interes t K T Bu y 04 /07/10 K

    60 . Fi r s t Eag l e G loba l CIC A Div idend K T Bu y 04/07/10 K

    61 . Fi r s t Eag l e Fund A Div idend J T Bu y 04 /07/10 J62 . Black rock Equ i ty A Div idend K T Bu y 04 /07/10 K

    63 . C D B a n k o f A m e r i c a A In terest J T Bu y 04 /14 /10 J64 . Tr i Con t l . Co rp . A Div idend So ld 04 /01 /10 J65. Fr o n t i e r C o m m u n i c a t io n s C o r p . ( s p in o f f o f A Div idend J T 12/07/10Ver izon)66 . G e n o n E n e r g y A D ivid en d J T

    6 7 . C e n t e r p o i n t E n e r g y A Div idend J T

    I d e n t i t y o fbuyer/seller( i f p r i v a t e

    t r a n s a c t i o n )

    Se e no t e i n V l l l

    See no t e i n VI I I

    See no t e i n VI I I

    I . Income Gain Codes : A =$ 1.000 or less B =$1,001 - $2,500 C =$2,501 - $5,000 D = $5,001 - $15,000( s e e C o l um ns B | a nd D 4 } F =$50.001 - $100,0~3 G =$ t0 0.0 Ol - $ t.0 0~ ).0 00 H I = $1 .0 ~3 ,0 01 - $ 5,0 00 ,0 00 H2 =More than $5,000.000

    2 . Value Codes J $15 ,0~ 3 o r l e s s K $15,001 - $50,000 L =$50,001 - $100,000 M =$100.001 - $250.0~0( S e e C o l u m n s C I a n d D 3 ) N =$250.001 - $500.09~ O =$500,091 - $1.0~0,0~3 PI =$1.000.0~1 - $5,00~.000 P2 =$5,000.001 - $25,000,000

    P3 :$25.009.001 - $50.000.009 P4 =More than $50.000.0003. Value Mcth~xl Codes Q =Appraisal R Cos t (Rea l Es ta te Only) S =As s es s men t T =Cash M a r k c t(Se e C o lu m n C 2) U = B o ok Value V =Otb.er W =Est i rna,ed

    E =$15,0OI - $50.000

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    FINANCIAL DISCLOSURE REPORTP a g e 8 o f 9

    N a m e o f P e r so n R e p o r t i n gG L A S S E R, IS RA E L L .

    D a t e o f R e p o r t05/06 /2011

    V III. ADDITIONAL INFORM ATION OR EX PLANATIONS. (lndlcatepar~ofreport.)64 . My F inan c ia l Di s c losure Repor l for 2006 re f l ec t ed tha t Tr i Cont inenta l was so ld on 12 /07/06 by Broker A.

    Tr i Con t i nen t a l was a l so he ld i n s t r e e t name by Broke r B.Hav ing r epo r t ed i t s sa l e i n 2006 , i t was no t r epor t ed a s a n a sse t i n 2007, 2008 and 2009 i nadve r t en t l y ove r l ook ing tha t i t was s t i ll he ld by Broke r B.When B roke r B adv i sed o f i t s sa l e i n 2010 , I pu r sued the i ncons i s t ency and p rov ide th i s exp l ana t i on .

    66 & 67 . C e n t e rpo i n t , Ge non a nd R R I w e r e no t a l w a y s p r e v i ou s l y r e po r t e d . T he d i zz y i ng s e q ue nc e o f s p l i t s a nd n a m e c ha nge s , w h i c h I d i d no t k e e p up w i t h,acco u n t ed f o r i t . Be l o w i s t h a t s equ en ce a s p ro v i d ed t o m e b y ~ _z _ .~ _ .~ b ro k e r .J udge G l a s s er :I l ooke d ba c k o v e r t he p a s t 1 0 y e a r s o f s t a t e me n t s a nd a c c oun t a c t i v it y f o rL : : ~ . _ a c c oun t . B e l ow i s a r e c a p o f t he s t o c k s w e d i s c u s s e d ( a l l f r om t he s a meo r i g i n a ti ng c omp a ny ) .In 1999, Hous ton Indus t r i e s changed i t s nam e t o Re l i an t Ene rgy . o ~ R e l i a n t E ne r gy ( R E I ) a s o f t he e nd o f 2 0 0 1 .12/31 /01 Hold ings : ~ ,~ .~ Re l i an t Ene rgy (REI )In 2002, Re l ian t Ene rgy sp l i t in t o Cen t e rpo in t Ene rgy (CNP ) and Re l i an t (RRI )1 2 / 3 1 /0 2 H o l d i n g s : ~ C e n t e r p o i n t E n e r g y ( C N P ) a n d ~ R e l i a n t ( R R I)I n 2 0 0 3 , C e n t e r p o in t E n e r g y ( C N P ) s p u n o f f T e x a s G e n c o ( T G N ) . ~ ._ ~ r e c e i v e d ~ s h a r e s o f T e x a s G e n c o ( T G N ) .1 2 / 3 1 /0 3 H o l d i n g s : ~ . . ~ C e n t e r p o i n t E n e r g y ( C N P ) ~ R e l i a n t ( ~ i i ~ a ~ ~ e x a s G e n c ~ ( T G N ) .I n 2 0 0 4 , no c ha nge s o c c u r r e d .12 / 31 / 04 H o l d i n g s : ~ Cen t e rp o i n t E n e rg y (CN P ) ,~ Re l i an t (RRI ) , an d S " ] T exa s G en c o (T G N ) .In 2 00 5, C en te rp oin t r ea cq uir ed T ex as Ge nc o fo r an a ll- ca sh p urc ha se . T ex as Ge nc o sh are s w ere so ld .1 2 / 3 1 /0 5 H o l d i n g s : ~ C e n t e r p o i n t E n e r g y ( C N P ) a n d ~ R e l i a n t ( R R I) .I n 2 0 0 6 , no c ha nge s o c c u r r e d .1 2 / 3 1 / 06 H o l d i n g s : ~ C e n t e r p o i n t E n e r g y ( C N P ) a n ~ R e l i a n t ( R R I ) .I n 2 0 0 7 , no c ha nge s o c c u r r e d .1 2 / 3 1 /0 7 H o l d i n g s : ~ C e n t e r p o i n t E n e r g y ( C N P ) a n d ~ ] R e l i a n t ( R R I ).I n 2 0 0 8 , no c ha nge s o c c u r r e d .1 2 / 3 1 /0 8 H o l d i n g s : ~ q C e n t e r p o i n t E n e r g y ( C N P ) a n d ~ R e l i a n t ( R R I) .In 1009, Re l i an t changed i t s nam e to RRI Energy an d ma in ta ined the symbo l RRI.1 2 /3 1 /0 9 Ho l d i ng s : ~ ;~ . ~ i C e n t e r po i n t E ne r gy ( C N P) a nd~ R R I E ne r gy ( R R I ) .I n 2 0 1 0 , R R I E ne r gy c ha nge d i t s n a me t o Ge n on E ne r gy a nd i t s s ymbo l t o GE N. T he a moun t o f s ha r e s is t h e s a me .1 2 / 3 I/ I 0 H o l d i n g s : ~ C e n t e r p o i n t E n e r g y ( C N P ) a n d ~ G e n o n E n e r g y ( G E N ) .

  • 8/3/2019 Israel L Glasser Financial Disclosure Report for 2010

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    FINANCIAL DISCLOSURE REPORTPage 9 o f 9

    Name o f Per son Repo r l ingG L A S S E R, IS RA E L L .

    Date of Repor!05/06/201 I

    IX . CERTIFICATION.1 c e r t i f y t ha t a l l i n f o rm a t i o n g i v e n a b o v e ( i n c l u d i n g i n f o r m a t i o n p e r t a i n in g t o m y s p o u s e a n d m i n o r o r d e p e n d e n t c h i ld r e n , i f a n y ) i s

    a c c u r a t e , t ru e , a n d c o m p l e t e t o t h e b e s t o f m y k n o w l e d g e a n d b e l i e f , a n d t h a t a n y i n f o r m a t i o n n o t r e p o r t e d w a s ~ i t hh e l d b e c a u s e i t m e t a p p l i c a b le s t a t u t o r yp ro v i s i o n s p e rm i t t i n g n o n -d i s c l o s u r e .1 f u r t h e r c e r ti f y th a t e a r n e d i n c o m e f r o m o u t s i d e e m p l o ) ~ n e n t a n d h o n o r a r i a a n d t h e a c c e p t a n c e o f g i f t s w h i c h h a v e b e e n r e p o r t e d a r e i nco m p l i an ce w i t h t h e p ro v i s i o n s o f 5 U .S .C . ap p . 501 e t . s eq . , 5 U .S .C . 7 353 , an d J u d i c i a l Co n fe r en ce r eg u l a t i o n s .

    Signatu re : S/ISRAEL L. GLASSER

    N O T E : A N Y I N D I V I D U A L W H O K N O W I N G L Y A N D W I L FU L L Y F A L S I F IE S O R F A I L S T O F I L E T H I S R E P O R T M A Y B E S U B J E C T T O C I V ILAND C R I MI NAL SANC T I ONS ( 5 U . S .C . a pp . 1 0 4 )

    C o m m i tt e e o n F i n a n c i a l D i s c lo s u r eAdm i n i s tr a t i v e O f f i c e o f t h e U n i t ed S t a te s C ou r t sSui te 2-301On e Co lu m bu s C i r c l e , N .E .W ash i ng t on , D . C . 20544