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Sharon Day

State (joined: Aug. 3, 2017)

Ambassador, Costa Rica | Financial Disclosure »

Former Positions Outside Government

Former Compensation Sources

See more financial disclosure details ⬇

Employment Assets

Description Value Income
RNC Salary $208,171
IRA #1
Applied Materials Inc $1,001 - $15,000 None (or less than $201)
AMAZON $1,001 - $15,000 None (or less than $201)
ARISTA NETWORKS INC $1,001 - $15,000 None (or less than $201)
Broadcom Corporation - Class A Common Stock $1,001 - $15,000 $201 - $1,000
Baxter Intl Inc $1,001 - $15,000 None (or less than $201)
BANCO SANTANDER BRASIL $1,001 - $15,000 None (or less than $201)
Devon Energy Corp $1,001 - $15,000 None (or less than $201)
Facebook, Inc. - Class A Common Stock $1,001 - $15,000 $5,001 - $15,000
ISHARES REGNL BANK $1,001 - $15,000 None (or less than $201)
IDEXX LABS CORP $1,001 - $15,000 None (or less than $201)
INGREDION INC $1,001 - $15,000 None (or less than $201)
Intuitive Surgical, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
iShares Russell 2000 Index $1,001 - $15,000 $201 - $1,000
Lockheed Martin $15,001 - $50,000 $201 - $1,000
METTLER-TOLEDO INTL $1,001 - $15,000 None (or less than $201)
Micron Technology, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
NORTHORP GRUMMAN CORP $1,001 - $15,000 None (or less than $201)
NetEase, Inc. - American Depositary Shares $1,001 - $15,000 None (or less than $201)
NVIDIA CORP $1,001 - $15,000 $201 - $1,000
Oclaro, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
Pioneer Power Solutions, Inc. - Common Stock $1,001 - $15,000 None (or less than $201)
STMICROELECTRONICS NV $1,001 - $15,000 None (or less than $201)
ULTA BEAUTY INC $1,001 - $15,000 $201 - $1,000
UnitedHealth Group Inc $1,001 - $15,000 None (or less than $201)
VANTIV INC $1,001 - $15,000 None (or less than $201)
Weibo Corporation - American Depositary Share $1,001 - $15,000 $201 - $1,000
Waste Management Inc $1,001 - $15,000 None (or less than $201)
TECHNOLOGY SELECT SECTOR SPDR FUND $1,001 - $15,000 $201 - $1,000
DIGITAL REALTY $1,001 - $15,000 None (or less than $201)
IRA #2
ISHARES REGNL BANKS $1,001 - $15,000 None (or less than $201)
iShares Core S&P Total U.S. Stock Market ETF $1,001 - $15,000 $1,001 - $2,500
iShares Russell 2000 Growth Index $15,001 - $50,000 None (or less than $201)
PowerShares QQQ $1,001 - $15,000 None (or less than $201)
Financial Select Sector SPDR Fund $1,001 - $15,000 None (or less than $201)
iShares S&P 500 Index $1,001 - $15,000 None (or less than $201)

Other Income/Assets

Description Value Income
Family Trust #1
ACUITY BRANDS INC None (or less than $1,001) $2,501 - $5,000
Apple Inc. - Common Stock $15,001 - $50,000 $201 - $1,000
CVS Caremark Corp. None (or less than $1,001) $1,001 - $2,500
Edwards Lifesciences Corp None (or less than $1,001) $2,501 - $5,000
Electronic Arts Inc. - Common Stock None (or less than $1,001) $2,501 - $5,000
Fiserv, Inc. - Common Stock None (or less than $1,001) $5,001 - $15,000
HANESBRANDS INC None (or less than $1,001) $1,001 - $2,500
Home Depot Inc None (or less than $1,001) $1,001 - $2,500
Kroger Co None (or less than $1,001) $5,001 - $15,000
L Brands Inc None (or less than $1,001) $201 - $1,000
PALO ALTO NETWORKS INC None (or less than $1,001) $201 - $1,000
Skyworks Solutions, Inc. - Common Stock None (or less than $1,001) $2,501 - $5,000
UNDER ARMOUR INC None (or less than $1,001) $2,501 - $5,000
UNITEDHEALTH GROUP None (or less than $1,001) $2,501 - $5,000
O REILLY AUTOMOTIVE INC None (or less than $1,001) $1,001 - $2,500
AMERICAN WATER WORKS CO None (or less than $1,001) $1,001 - $2,500
Darden Restaurants Inc $1,001 - $15,000 $201 - $1,000
DIGITAL REALTY INC None (or less than $1,001) $201 - $1,000
EXTRA SPACE STORAGE None (or less than $1,001) $201 - $1,000
Home Depot Inc None (or less than $1,001) $201 - $1,000
Lockheed Martin None (or less than $1,001) $5,001 - $15,000
LOWES INC None (or less than $1,001) $201 - $1,000
Nasdaq INC None (or less than $1,001) $1,001 - $2,500
TRANSDIGM GROUP INC None (or less than $1,001) $1,001 - $2,500
UNIVERSAL INS HOLDINGS INC None (or less than $1,001) $1,001 - $2,500
Broadcom Corporation - Class A Common Stock None (or less than $1,001) $15,001 - $50,000
Constellation Brands Inc A None (or less than $1,001) $5,001 - $15,000
Applied Materials Inc $15,001 - $50,000 $201 - $1,000
AMAZON $15,001 - $50,000 None (or less than $201)
ARISTA NETWORKS INC $15,001 - $50,000 None (or less than $201)
Baxter Intl Inc $1,001 - $15,000 None (or less than $201)
BANCO SANTANDER BRASIL $15,001 - $50,000 None (or less than $201)
Devon Energy Corp $1,001 - $15,000 $201 - $1,000
Equifax Inc $15,001 - $50,000 $201 - $1,000
Financial Select Sector SPDR Fund $15,001 - $50,000 $201 - $1,000
Family Trust #2
Under Armour inc None (or less than $1,001) $5,001 - $15,000
Unitedhealth Group Inc None (or less than $1,001) $2,501 - $5,000
Kroger Co None (or less than $1,001) $5,001 - $15,000
L Brands Inc None (or less than $1,001) $201 - $1,000
PALO ALTO NETWORK INC None (or less than $1,001) $1,001 - $2,500
Reynolds American Inc None (or less than $1,001) $2,501 - $5,000
Skyworks Solutions, Inc. - Common Stock None (or less than $1,001) $5,001 - $15,000
Southwest Airlines Co None (or less than $1,001) $15,001 - $50,000
CVS Caremark Corp. None (or less than $1,001) $2,501 - $5,000
Edwards Lifesciences Corp None (or less than $1,001) $5,001 - $15,000
HANESBRANDS INC None (or less than $1,001) $2,501 - $5,000
Home Depot Inc None (or less than $1,001) $2,501 - $5,000
ACUITY BRANDS INC None (or less than $1,001) $5,001 - $15,000
AmerisourceBergen Corp None (or less than $1,001) $5,001 - $15,000
Time Warner Cable Inc None (or less than $1,001) $1,001 - $2,500
Charter Communications, Inc. - Class A Common Stock None (or less than $1,001) $1,001 - $2,500
Clorox Co None (or less than $1,001) $201 - $1,000
CMS Energy Corp None (or less than $1,001) $201 - $1,000
Constellation Brands Inc A None (or less than $1,001) $201 - $1,000
Darden Restaurants Inc None (or less than $1,001) $201 - $1,000
DIGITAL RLTY TR INC None (or less than $1,001) $201 - $1,000
Dr Pepper Snapple Group None (or less than $1,001) $201 - $1,000
EQUIFAX INC None (or less than $1,001) $201 - $1,000
EXTRA SPACE STORAGE INC None (or less than $1,001) $201 - $1,000
Hormel Foods Corp None (or less than $1,001) $201 - $1,000
INGREDION INC COM None (or less than $1,001) $201 - $1,000
KROGER CO COM None (or less than $1,001) $201 - $1,000
Lockheed Martin None (or less than $1,001) $1,001 - $2,500
LOWES COS INC COM None (or less than $1,001) $201 - $1,000
NASDAQ INC None (or less than $1,001) $201 - $1,000
NetEase, Inc. - American Depositary Shares, e None (or less than $1,001) $201 - $1,000
Northrop Grumman Corp None (or less than $1,001) $201 - $1,000
PUBLIC STORAGE COM None (or less than $1,001) $201 - $1,000
Reynolds American Inc None (or less than $1,001) $201 - $1,000
Starbucks Corp None (or less than $1,001) $201 - $1,000
TRANSDIGM GROUP INC None (or less than $1,001) $1,001 - $2,500
Unitedhealth Group Inc None (or less than $1,001) $201 - $1,000
UNIVERSAL INS HLDGS None (or less than $1,001) $1,001 - $2,500
APPLE INC None (or less than $1,001) $201 - $1,000
Applied Materials Inc $15,001 - $50,000 None (or less than $201)
AMAZON.COM INC $15,001 - $50,000 None (or less than $201)
ARISTA NETWORKS INC $15,001 - $50,000 None (or less than $201)
BROADCOM LIMITED COM $15,001 - $50,000 None (or less than $201)
BAXTER INTL INC $15,001 - $50,000 None (or less than $201)
DEVON ENERGY CORP $15,001 - $50,000 None (or less than $201)
EQUIFAX INC $15,001 - $50,000 None (or less than $201)
FACEBOOK INC $50,001 - $100,000 None (or less than $201)
Fiserv Inc $15,001 - $50,000 None (or less than $201)
ISHARES TR US REGNL BKS $15,001 - $50,000 None (or less than $201)
IDEXX LABS CORP $15,001 - $50,000 None (or less than $201)
INGREDION INC $15,001 - $50,000 None (or less than $201)
Intuitive Surgical Inc $15,001 - $50,000 None (or less than $201)
ISHARES RUSSELL 2000 GROWTH ETF $50,001 - $100,000 None (or less than $201)
LOCKHEED MARTIN CORP $15,001 - $50,000 None (or less than $201)
METTLER-TOLEDO INTL $15,001 - $50,000 None (or less than $201)
Micron Technology Inc $15,001 - $50,000 None (or less than $201)
NORTHROP GRUMMAN CORP $50,001 - $100,000 None (or less than $201)
NETEASE INC $50,001 - $100,000 None (or less than $201)
Nvidia Corp $15,001 - $50,000 None (or less than $201)
Oclaro, Inc. - Common Stock $15,001 - $50,000 None (or less than $201)
PIONEER NATURAL RESOURCES $15,001 - $50,000 None (or less than $201)
Republic Services Inc $15,001 - $50,000 None (or less than $201)
PROSHARES ULTRA S&P 500 $50,001 - $100,000 None (or less than $201)
BANCO SANTANDER BRASIL $15,001 - $50,000 None (or less than $201)
STMICROELECTRONICS NV $15,001 - $50,000 None (or less than $201)
AT&T INC COM $15,001 - $50,000 None (or less than $201)
TECK RESOURCES LIMITED $15,001 - $50,000 None (or less than $201)
ULTA BEAUTY INC COM $15,001 - $50,000 None (or less than $201)
UNIVERSAL INS HLDGS $15,001 - $50,000 None (or less than $201)
VMWARE INC $15,001 - $50,000 None (or less than $201)
VANTIV INC $15,001 - $50,000 None (or less than $201)
Weibo Corporation - American Depositary Share $50,001 - $100,000 None (or less than $201)
Waste Management Inc $1,001 - $15,000 None (or less than $201)
WESTAR ENERGY INC $15,001 - $50,000 None (or less than $201)
iShares Dow Jones US Reg Banks Ind. $15,001 - $50,000 None (or less than $201)
WESTCORE SMALL CAP GROWTH FUND II $15,001 - $50,000 None (or less than $201)
DIGITAL RLTY TR INC $15,001 - $50,000 None (or less than $201)
Financial Select Sector SPDR Fund $15,001 - $50,000 $201 - $1,000
Hartford Annuity (variable annuity)
HIMCO VIT Index $1,000,001 - $5,000,000 None (or less than $201)
HIMCO VIT Portfolio Diversifer fund $1,000,001 - $5,000,000 None (or less than $201)
US Bank Checking Account (Cash) $15,001 - $50,000 None (or less than $201)

Liabilities

Creditor Name Creditor Type Amount Rate Year Incurred
Bayview Loans Servicing LLC Mortgage on Personal Residence $100,001 - $250,000 3.75 1998

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