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I: " ,~o~0 1....R~v.: !1~010 " I

FINANCIAL DISCLOSURE REPORT FOR CALENDAR YEAR 2009


2. Court or Organization U.S. District Court, Alabama
5n. Report Type (cheek appropriate type) [] Nomination, [~] Initial Date [71 Annual

!. Person Reporting (l~st name, first, middle initial) Bowdre, Karon O.


4. Title (Article Ill judges indicate active or senior status; magistrate judges indicate full- or part-time) O. S. District Judge - Active

3. Date of Report 07/30/2010


6. Reporting Period 01/01/2009 to 12/31/2009

[--] Final

5b. [] Amended Report 7. Chambers or Office Address Hugo Black Courthouse 1729 Fifth Avenue North Birmingham, AL 35203 8. On the basis of the informationeontained in this Report and any modifications pertaining thereto, it is, in my opinion, in compliance with applicable laws and regulations. Reviewing Ollicer Date

IMPORTANT NOTES: The instructions a~companying this form mast be followecL Complete all parts,
checking the NONE box for each part where you have no reportable informatio~ Sign on lastj~ag~

[~]

NONE (No reportable positions.)


POSITION NAME OF ORGANIZATION/ENTITY
Juliette Farms f/k/a KayBee Saddlebreds

1.

Proprietor

II. AG~EMENTS. :Re~or~ng

indiv~ual on~; seeVp. 14-]6 of filing instruction~)

~ NO~ ~o reportable a~eementsO


~TE
2001

PAR~S A~ TE~S
Samford Uniwrsi~ ~efined Benefit Plan)-v~st~ benefits in plan of foyer employer.

FINANCIAL DISCLOSURE REPORT

[ N ....
I

f P .....Reporting

Date of Report

Page 2 of ] 0
Bowdre,

07/30/2010

Karon O.

A. Fliers Non-Investment Income NONE (No reportable non-investment income.) DATE. 1. 2009 SOURCE AND TYPE Juliette Farms fka Kaybee Saddlebreds (Breed, Train & Show American Saddlebred Horses) INCOME (yours, not spouses) g0.00

2. 3. 4.

B. Spouses Non-Investment Income - if you were married during anyportlon of the reporting year, complele this sectlor~
(Dollar amount not required except for honoraria.)

NONE (No reportable non-investment income.) DATE SOURCE AND TYPE Self-Employed Law Practice

1. 2009 2. 3. 4.

IV. REIMBURSEMENTS - n.,,,,~p.,,-,.,.,.,


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

NONE (No reportable reimbursements.) SOURCE DATES Mareh 19-23, 2009 April 16-19, 2009 LOCATION Malibu, CA Baltimore, MD PURPOSE Judicial Clerkship Seminar Moot Court Competition Law finn seminar Taught at attorney conference ITEMS PAID OR PROVIDED Reimbursement for hotel, travel, & meals Reimbursed for air, hotel, & meals

t. 2.

Pepperdine University DLA Piper, LLP & University of Maryland Primerus Conference

3. 4. 5.

April 24-26, 2009

Tuscan, AZ

Reimbursed for air, hotel, & meals

FINANCIAL DISCLOSURE REPORT

Name of P ..... Reporting Bowdre, Karon O.

Date of Rep0rt 07130/2010

Page 3 of 10

V. GIFTS. a.cludcs ,ho*e ,o sp ...... d dependent children; see pp. 28-31 of filing instructions.)
NONE (No reportable gifts.) SOURCE
1. 2. 3. 4.

DESCRIPTION

VALUE

5.

VI. LIABILITIES. ancluaes ~ho~ o!~po~e ,ha do~,cndc,,, children; see pp. 32-33 of filing instructions.)
NONE (No reportable liabilities.)

CREDITOR
1. 2. 3. 4.

Dg$CRIPTION

VALUE CODE

5.

FINANCIAL DISCLOSURE REPORT


Page 4 of 10

N .... f P .... Reporting Bowdre, Karon O.

Date of Report 07/30/2010

VII. INVESTMENTS and TRUSTS - income, value, tr ..... lions (Includes those of sp ..... nd dependent children; see pp. 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

"

.I " ]ueom~ d~rin~

i [ . Gr~ss value at end

Transactions during reporting period

reportiiig period ~.(D, Amount:. " Code 1 .. : (-~-H)

off,porting period

(1), (2) (3). (4) Type (e.g., Date Value buy, sell, " mnffdddyy Code 2 redemption) (J-P) Gain Code I CA-H) (5) Identity of buyer/seller (if private

(2):. :,~ (!):: , (2) Type (e.g., Value Value di~,.,:rent~ .0de:2 Method hi- int.)i. : (.~TP) :Code 3

1. 2. 3. 4. 5. 6. 7. 8. 9. l O. 11. 12. 13. 14. 15.

LLC #1- Hwy 280, LLC / Real Estate 1, Birmingham, AL First Commercial Bank Acct First Commercial Bank Acct American Fund-Fundamental Investors American Fund-Europacific Growth Fund American Fund-Capital World Growth and Income Merrill Lynch Bank Deposit Program (See Part VIII) Janus Investment Fund - Small Cap Value Fund Fundamental Investors Growth Fund of America Citibank Smith Barney Money Fund RGBK Common Stock Legg Mason Value Trust Microsoft Common Stock Watmart Stores Common Stock

C A A A A A A A A A A A A A A A A

Rent Interest Interest Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend

J J J J J J J J K J L

W T T T T T T T T T T Sold 09/24/09 09/24/09 J J

K J J J J

T T T T T

Sold (part)

16. . Fundamental lnves.Fund (IRA) 17. Growth Fund of America (IRA)

Sold (part)

10/23/09

I. Income Gain Codes: (See Columns B I and D4I 2. Value Codes (See Columns CI and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or le~ F =$50,001 - $ 100,000 J =$15,000 or le~ N -$250,001 - $500,1)00 P3 -$25,000,001 - $50,000,000 Q -Appraisal O =Book Value

B =$1,001 - 1;2,500 G =$ 100,001 - $ 1,000,000 K =$15;001 - $50,000 O ~$500,001 - $1,000,000 R =Cost (Real Estate Only) V =Other

=$2,501 - $5,000 H I =$ 1,000.001 - $5,000;000 L =$50,001 - $100,000 i PI ~$1,000,001 - $5,000,000 P4 --More ",hun $50,000,000 S =Assessment W =Estimated

D =$5,001 - SIS,000 H2 =More than $5,000,000 M=$100001 - $250,0~0 P2 ~$5~000,001 - $25,000,000 T --Cash Marke~

E =S15,0Ol - $50,000

FINANCIAL DISCLOSURE REPORT Page 5 of 10

Name of Person Reporting

Date of Rep0rt

07/30/2010 [ ]~owdre, Karon O.

D NONE (No reportable income, assets, or transactions.) :: " Description of Assets .. " (including trust assets) .... : .:Place "(X)" after each asset " :exempt fi-bm prior disclosure : 18. 19. 20. 21. 22. 23. 24. 25. 26. 27. 28. 29. 30. 31. 32. .. A A B B B B A A See E B A E D Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Interest Dividend Dividend Dividend None None None A Dividend J J K L L K J J O L J PI N K K K J T T T T T T T T W T T W T W W W T Buy (addl) 01/02/09 K Sold 10/22/09 K Sold 04/23/09 04/23/09 J J Grogs ~alue at end ~f reporting period (1) " (2) : Value Value Code 2 Method (J-P) Code 3

|ncome during I report ng period : (2) . (1) Amount Type(e.g., . Codel div., r~nt, (A-H) or int.)

Transactions during reporting period : :.....-i..i: (1) L : (2): : (3) (4) Type (.g,, Gain .Da~ . : .Value buy, sell, mm/dd~,~ .Code 2 Code:l redemption). . i (J-P) (A-H)

(5) Identiiy of buyer/seller (if private

New Perspective Fund (IRA) Small Cap World Fund-IRA Cap.World Growth&Inc-IRA Euro Pae Growth-IRA Invest Co of Amer-lRA Wash Mut. Inv Fund-IRA Fidelity Disc Equity-IRA Inv. Co. of America Fund Trust ]; Ine.Benef.; Trustee= Part VIII Regions Bank Aect American New Perspective Fund Trust I1; Inc. Bene. Part VIII. Trustee, See

(part)
Sold

(part)

(pan)

401(k) John Hancock, See Part VIII. Lawfirm Capital Contribution~ See Part VIII Trust Ilk Inc Benef; Life Ins; Trust~See Part Vlll

33. Trust IV. Inc Benef; Life Ins; Truste~See Pan VIII 34. Disney Common Stock

1. Income Gain Code~: :(Se~ Columm BI and I)4)

A =$ 1.000 or F =550,001 - 5100,000

B =$!.001 . $2.500
G ~$100,00l - $1,000,000

C =$2.50! -$5.000
HI =$1.l~)0,00l - $5;000,000

(Se~ C0~.s C~ ..~ D3I/

2.: Value Codes

l =5~5,000 o, ~

D =55.001 - $ t5.1)00 H2 =Mo~.lhan 55,000,000

E =515.001 - 550,000

K =$15,001 - $50,000
O =5500,001 - $1,000,000 R =Cost (Real Estate Only) V =Oih

L =$50,001 -$100,000
Pl =S l,~lO,O01 - $5;000,000 P4 =More ~han $50,000.000 S =Assessment W =Estimated

M =$100,001 - 5250,000
P2 =$5,000,001 . $25.000,000 T =Cash Market

[ 3. Value Method Codes (SeE Column C2)

N =5250,001 - 5500,000 P3 -$25,000,001 - SS0,O00.O00 Q -Appraisal LI =Book Value

FINANCIAL DISCLOSURE REPORT

r~ame of Person Reporting

Date of Report

Page 6 of 1 0

Bowdr~, Karon O.

07/3012010

VII. INVESTMENTS and TRUSTS - income. ,,I,e. ~, ..... ~ons (Includes those of sp ...... d dependent children; seepp. 34-60 of fillng instrucaons~)
[---] NONE (No reportable income, assets, or ~ansactions.)
" Des~on of A~ets (including ~t:~seis). " " I ..... d~ng: reporting pvfi~ ~ ~o~t~ T~e(,g.:, C0d~ ~ " di~., r~L " (A-H) or iat) .. " : " ~: . I "at ~d G~ val~e of ~ng period " D. T~sac~ons during re~ng ~fiod : . .

Pla~ "(X)" afi~ each assot exempt from prior disclosure . "

..

. O) :

(2)

0)

(2)

(0

(2)

(3)

(4)
Gain Code I (A-H)

(~)

.Valu~ Value ~ T~ (e.g., Code 2 Me~ buy, sell : (J-P) : Co~e 3 red.priori) " ~ansactioa)

Date Value mm/d~ Code 2 (J-P)

]denti~ of buyer/seller (ifp~ate

35. 36. 37. 38. 39.


40. 41. 42. 43. 44: 45. 46. 47. 48. 49.

M~II L~ch Bank De.sit Pro~ (S~ Columbia F~, Intl Value Fd Inv. CL A Merrill Lynch Bank Deposit Program (See Part VIII) Perkins Fd- Small Cap & Value Fund-IRA (See Part VIII) T. Rowe Price Mid-Cap Growth Fund-IRA
General Electric Company Common Stock New England Financial Permanent Life Insurance New England Financial- Permanent Life Insurance Policy Metlife Permanent Life Ins. Alliance Bemstein Wealth Appreciation Fund (See Part VIII) T. Rowe Price Mid Cap Growth Fund Eurapacific Growth Fund Capital World Growth Capital World Growth Intermediate Bond Fund of America

A A A A A
A A A B A A A A A A

lnterest Dividend Interest Dividend Dividend


Dividend Dividend Dividend Dividend Interest Dividend Dividend Dividend Dividend Dividend

3 ~ J K L
J K K L K J J K J J

T T T T T
T T T T T T T T T T Buy 02/15/09 K

Panama City, FL 51. Stem Agee Cash Trust Prime Money Markel (See Part VIII) None Sold 11/18/09 J

!. Income Gain Codes: (See Columns BI and D4) 2. Malue Codes (See Columns CI and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F -$50,001 - $100.000 J -$15,000 or less N -$250,001 -~ $500,000 P3 ~$25,000,0~1 - $50,000,000 Q ~Appraisal U =Book Value

B =$1.0OI . $2.500 G -$100.001 - $1,000.000 K ~$15,001 - $50.000 :O =S500,001 -$1,000,000 R -~3ost (Real Estate Only) V =Other

C =$2.501 - $5,000 HI =$I,000.001 - $5,000,000 L =$50~001 - $100.00~ PI =$!,000,001 - S5,000,000 P~. =More than $50.000.000 $ =Assessment W =Estimated

D =$5,001 - $15.000 H2 =More than $5.000,000 M =$100,001 - $250,000 P2 =$5.000~001 - $25,000,000 T =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT

~ame of Person Reporting Bowdre, K~ron O.

Date of Report

Page 7 of l 0

07130/2010 .a dependent children; see p~ 34-60 of filing inst~ction&)

VII. INVESTMENTS and TRUSTS - inco.~ ,aide, .*n~c,ions a.eiud~ those ol,p .....

N O~ ~0 reportable income, assets, or ~ansactio~O


Desc6pti0n of A~ " Place".(X)"~each.~t exempt ~om prior ~sclosu~ "" . , Inco~ d~ng Gross value at ~d 0)T~(~.g.,. b~,~ll, ~empti~)~ T~n~cfions ~fing ~ing ~od (2) i (3) (4) Date: va~e Ga~ mm/d~ Uo~ 2 Code I (J-P) ~ (A-H) (5) Id~fi~ 0f bu~/seller (ifp~vate

: .....

[ 0) (2) " (~) (2) Am0~t T~ ~e.g., ~ Value C~e 1 .div., ~ Code 2 (A-H) or ~t:) O-P) "

value Method Code3

52. 53. 54. 55. 56. 57. 58. 59. 60. 61. 62. 63. 64. 65. 66.

E~opacifie Gro~h Fund C1 A Fundamental Investments Inc. C1 F Fidelity Funds Cash Reserves ING - Life Insurance Policy LLC #4 - Iris, LLC, Real estate investment; Birmingham, AL Citadel Broadcasting Dell, Inc. Proshares Ultra Financial General Electric Cap Corp. Notes New World Fund T. Rowe Price Equity Inc. Fairholme FDS, Inc. Royce Special Equity Dodge & Cox Intl Stock T. Rowe Price Cap Appree. American Tax Exempt Bond Fund CL-C

B B A A D A A A A A A A A A A A A

Dividend Dividend Dividend Dividend Distribution Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend

J L J J M J

T T T T W T Sold Sold Sold 10/22/09 09124/09 10/22/09 J J J C B

T Sold ~03/12/09 J

J J J J J J

T T T T T T

68. Cap Ine Bldr FD CLC

I. Income Gain Codes: (see Columns O l and D4) 2: Valu~ c,~=~ (See Columns C I and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or le.~ F =$50.001 - $100,000 s =$15.000 or I~s N -$250.001 - $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 OOI -$$0,000 O -$500.001 - $1,000:000 R =Cost (Real Estat~ Only) V ---Other

C =$2.501 - $5,000 HI =$1,000,001 - $5.000;000 ~ ~SS~,O0i ~: el~,$ i,000.OOi. $5;000.000 P4 =More than $50~000.000 S ~A~sessment W =Estimated

D =$5;001 - $t5i000 H2 =M6rc than S5,000,0~) P2 --$5~000;00i -$25,000,000 " T--Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 8 of 10 VII. INVESTMENTS and TRUSTS -

[ Name of Person Reporting


I[ Bowdre, Karon O.

Date or Repar~ 07/30/2010

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


A ..... Description of Assets (including trust assets} Place "(X)" a~ ..... h asset exempt from prior disclosure IB. : " ": "~" ..11 :.: C.:I: D. . In~3me~luring! ".] Girssvalue a:t ~nd i i Tr .... ti0ns during reporting period : . " . i : i.: .r~p~rting l~riod .:. i frepaingpvri0d.. (1) " (2) .~ .(l)(2) . (X) I (~) (3) (4) (5) Am0imt I Type:(&g., Value..Va~ue l Typ (:g~, Date Valac Gain " Code:l ]diy., r ~nt, ;Code 2: l Me~h0d [ : ~Uy, sell, mm/dd,3"y Code.2 Code I :(A-H) " i. O i~tr) . 0~P) " :C0d~ 3 : :redemptiOn) (J-P) (A-H)

69. 70. 71. 72. 73. 74. 75. 76. 77. 78. 79. 80. Fundamental Inv. Inc. New World Fund Wells Fargo Co. Income Fund America American Tax Exempt Bond Fund CL-C Cap Inc. Bldr CL C Cap World Growth & Inc.. SPDR Gold Trust SPDR Gold Trust Powershares DB Commodity Merrill Lynch Bank Deposit Account

Identity of buyer/seller (if private

A A A A A A A A A A A A

Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend

J J J J J J J J K K J J

T T T T T T T T T T T T Buy Buy Buy Buy Buy 10/22/09 10/22/09 04/23109 10/19/09 11/23/09 J K K J J

TD Bank USA FDIC Ins. Deposit Account (See Part VIII)

2. Value Codes (See Columns CI and D3) 3. Value Method Codes

J "$15,000 or less N -$250,001 - $500,060

K =$15;001 - $50,000 O =$~00,001 - $1,000,000 R ---Cost (Real Estate Only)

L --$50,001 - $100,0O0 PI =$ l,ooo,ool - $5:000,000

M =$100,001 - $250,000 P2 =$5,000,00i - $25,000,(~6 T =Cash Market

~3 ,$~5,ooo,0o1. ~so,ooo,ooo
Q =Appraisal

~4 =raor~ th~ S~:,0oo,ooo


S =Assessment

FINANCIAL DISCLOSURE REPORT Page 9 of 1 0

N .... f V .... Reporting

Date of Report

Bowdre, Karon O.

07/30/2010

VHI. ADDITIONAL INFORMATION OR EXPLANATIONS. (lndicatepart of Report)


Trust I is a trust created by family members other than the reporting person~. Its asset is an interest in~~~i~!.~], that is invested through ~~~ ~" :.~: ~:!~ and~ ~~ in the invest~i~~(~e attached list) ~:~~: ::~~:~ Trust il is interest in members other than the that is invested throu Its assets are an interest (see above) and an mvestmeats (see attached list).

401(k): (Line 30) John Hancock Pensions: Investments are in: Investment Company of America, Davis New York Venture, 500 Index Fund, Franklin Balance Sheet, Mutual Global Discovery, Europacific Growth Fund. Contributions to the Plan and purchases by the Plan to the preselected funds are made throughout the year. Lawfirrn Capital Conmbuuon~ ~s ~n the 1 w firmi~, :;:,~::~:~:~~l,~ tn B~nmngham AL, Trust III owns a life insurance policy issued by Phoenix Mutual Life Insurance Company and stock issued by Phoenix Mutual. Trust IV owns a life insurance policy issued by Northwestern Mutual Life Insurance Company. Partial sales in some holdings did not change year-and category listings. Lines 7, 35, & 37 changed from one cash account through Wachovia to one at Merrill Lynch with the relocation of the broker and without direction of the owner. (Line 38) - Janus Invt. Fd Small Cap & Value Fund - IRA changed its name to Perkins Small Cap & Value Fund - IRA. (Line 44) - The previous transfer of UBS Cash Fund balance into Alliance Bemstein Wealth Appreciation Fund by the initiative of the acting broker in February 2007 was overlooked. (Line 51) - When the broker of record changed clearing houses, the default cash account at the old clearing house was sold (line 51) and then "purchased" (Line 80) without direction of the owner.

FINANCIALDISCLOSURE REPORT Page I 0 of 10 IX. CERTIFICATION.

Name of Person Reporting ] Bowdre, Karon O.

Date of Report

o7/3o/2olo

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. 1 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.

NOTE: ANY INDMDUAL 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)

FILING INSTRUCTIONS Mail signed original and 3 additional copies to: Committee on Financial Disclosure Administrative Office of the United States Courts Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544

Attachment

Notes on Trusts I & II; listed in Part VIII:

i Investment accounts and allocations are selected representatives.

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