Connecticut General Statutes
Chapter 10 - Codes of Ethics
Section 1-83. - Statements of financial interests. Filing requirements. Ethics statements. Confidentiality. Waiver.

(a)(1) All state-wide elected officers, members of the General Assembly, department heads and their deputies, members or directors of each quasi-public agency, members of the Investment Advisory Council and such members of the Executive Department and such employees of quasi-public agencies as the Governor shall require, shall file electronically with the Office of State Ethics using the software created by the office, under penalty of false statement, a statement of financial interests for the preceding calendar year on or before the May first next in any year in which they hold such an office or position. If, in any year, May first falls on a weekend or legal holiday, such statement shall be filed not later than the next business day. Any such individual who leaves his or her office or position shall file electronically a statement of financial interests covering that portion of the year during which such individual held his or her office or position. The Office of State Ethics shall notify such individuals of the requirements of this subsection not later than sixty days after their departure from such office or position. Such individuals shall file such statement electronically not later than sixty days after receipt of the notification.

(2) Each state agency, department, board and commission shall develop and implement, in cooperation with the Office of State Ethics, an ethics statement as it relates to the mission of the agency, department, board or commission. The executive head of each such agency, department, board or commission shall be directly responsible for the development and enforcement of such ethics statement and shall file a copy of such ethics statement with the Office of State Ethics.
(b) (1) The statement of financial interests, except as provided in subdivision (2) of this subsection, shall include the following information for the preceding calendar year in regard to the individual required to file the statement and the individual's spouse and dependent children residing in the individual's household: (A) The names of all businesses with which associated; (B) all sources of income, including the name of each employer, with a description of the type of income received, in excess of one thousand dollars, without specifying amounts of income; (C) the name of securities in excess of five thousand dollars at fair market value owned by such individual, spouse or dependent children or held in the name of a corporation, partnership or trust for the benefit of such individual, spouse or dependent children; (D) the existence of any known blind trust and the names of the trustees; (E) all real property and its location, whether owned by such individual, spouse or dependent children or held in the name of a corporation, partnership or trust for the benefit of such individual, spouse or dependent children; (F) the names and addresses of creditors to whom the individual, the individual's spouse or dependent children, individually, owed debts of more than ten thousand dollars; (G) any leases or contracts with the state or a quasi-public agency held or entered into by the individual or a business with which he or she was associated; and (H) the name of any of the following that is a partner or owner of, or has a similar business affiliation with, the business included under subparagraph (A) of this subdivision: (i) Any lobbyist, (ii) any person the individual filing the statement knows or has reason to know is doing business with or seeking to do business with the state or is engaged in activities that are directly regulated by the department or agency in which the individual is employed, or (iii) any business with which such lobbyist or person is associated.
(2) In the case of securities in excess of five thousand dollars at fair market value held within (A) a retirement savings plan, as described in Section 401 of the Internal Revenue Code of 1986, or any subsequent corresponding internal revenue code of the United States, as amended from time to time, (B) a payroll deduction individual retirement account plan, as described in Section 408 or 408A of said Internal Revenue Code, (C) a governmental deferred compensation plan, as described in Section 457 of said Internal Revenue Code, or (D) an education savings plan, as described in Section 529 of said Internal Revenue Code, the names of such securities shall not be required to be disclosed in any statement of financial interests and only the name of such retirement savings plan, individual retirement account plan, deferred compensation plan or education savings plan holding such securities shall be required.
(c) The statement of financial interests filed pursuant to this section shall be a matter of public information, except (1) the names of any dependent children residing in the household of the individual filing such statement shall not be subject to disclosure under the Freedom of Information Act, as defined in section 1-200, and (2) the list of names, filed in accordance with subparagraph (F) of subdivision (1) of subsection (b) of this section shall be sealed and confidential and for the use of the Office of State Ethics only after a complaint has been filed under section 1-82 and such complaint has been determined by a vote of the board to be of sufficient merit and gravity to justify the unsealing of such list or lists and not open to public inspection unless the respondent requests otherwise. If the board reports its findings to the Chief State's Attorney in accordance with subsection (c) of section 1-88, the board shall turn over to the Chief State's Attorney such relevant information contained in the statement as may be germane to the specific violation or violations or a prosecutorial official may subpoena such statement in a criminal action. Unless otherwise a matter of public record, the Office of State Ethics shall not disclose to the public any such subpoena which would be exempt from disclosure by the issuing agency.
(d) Any individual who is unable to provide information required under the provisions of subdivision (1) of subsection (b) of this section by reason of impossibility may petition the board for a waiver of the requirements.
(P.A. 77-600, S. 5, 15; P.A. 79-549; P.A. 80-482, S. 342, 343, 345, 348; P.A. 83-249, S. 6, 14; 83-270, S. 3; 83-586, S. 3, 14; P.A. 84-21, S. 1, 5; 84-335, S. 2, 4; 84-546, S. 141, 173; P.A. 87-524, S. 5, 7; P.A. 88-139, S. 2; 88-225, S. 2, 14; P.A. 89-97, S. 2, 7; 89-145; June 12 Sp. Sess. P.A. 91-1, S. 8; P.A. 94-126, S. 1; 94-132, S. 3; June 18 Sp. Sess. P.A. 97-6, S. 12, 14; P.A. 00-43, S. 17, 19; 00-66, S. 1; 00-99, S. 14, 154; P.A. 01-195, S. 1, 2, 181; P.A. 04-245, S. 1; P.A. 05-183, S. 8; P.A. 07-201, S. 2; P.A. 11-51, S. 183; P.A. 13-244, S. 8; 13-299, S. 47; P.A. 15-43, S. 1; P.A. 16-174, S. 1; P.A. 19-2, S. 1; 19-180, S. 1; P.A. 21-76, S. 24; 21-164, S. 7.)
History: P.A. 79-549 included members of gaming policy board, executive director of division of special revenue within the department of business regulation under filing requirements; P.A. 80-482 changed “business regulation” to “revenue services”, expanded provisions regarding the executive director and limited revenue services' control to administrative purposes only; P.A. 83-249 changed “commissioners and deputy commissioners” to “department heads and their deputies” and made technical amendments; P.A. 83-270 amended Subsec. (a) to include members of the board of directors of the Connecticut resources recovery authority under filing requirements; P.A. 83-586 amended Subsec. (a) to require post-termination filing of financial statement, amended Subsec. (b) to allow for nondisclosure of privileged information, to clarify that reporting threshold figure of $5,000 refers to net income and to require disclosure of clients providing more than $5,000 of net income to any business with which the individual was associated, names of creditors and state leases and contracts, amended Subsec. (c) to allow commission access to list of names if commission determines that a complaint is of sufficient merit and gravity to justify its unsealing and added Subsec. (d) allowing waiver in cases in which it is impossible to comply with information requirements; P.A. 84-21 made technical correction in Subsec. (c) to refer to list of names of creditors as sealed and confidential; P.A. 84-335 added requirement that sheriffs and deputy sheriffs file limited financial statements; P.A. 84-546 made technical changes in Subsec. (b); P.A. 87-524 amended Subsec. (b) to specify that Subdiv. (2) shall not permit elected official to receive gift, honorarium or compensation prohibited under Sec. 9-333i(h); P.A. 88-139 amended Subsec. (a) by changing the filing deadline for statements of financial interests from April fifteenth to May first, amended Subsec. (b)(1)(C) by deleting the exception for blind trusts; added Subsec. (b)(1)(D) re blind trusts; added the language in Subsec. (b)(1)(E) re real property held for the benefit of an individual, spouse or dependent children and relettered Subparas. (E) and (F) accordingly; P.A. 88-225 amended Subsec. (a) to require that members or directors of each quasi-public agency, instead of only members of board of directors of Connecticut resources recovery authority, and such employees of quasi-public agencies as governor requires, file statement of financial interests; P.A. 89-97 added definition of “fee” and “honorarium” in Subsec. (b)(2) and required filing of such a fee or honorarium in an amount of $100 or more received in capacity as public official or state employee instead of fee or honorarium received for appearance or delivery of address to any meeting of an organization; P.A. 89-145 increased threshold in Subsec. (b)(1)(B) for reporting names and addresses of clients, patients and customers providing income to individual, from $5,000 to $10,000; June 12 Sp. Sess. P.A. 91-1 deleted former Subsec. (b)(2) re disclosure of fees and honoraria and renumbered Subdiv. (3) as Subdiv. (2); P.A. 94-126 added Subsec. (a)(2) re ethics statements and clarified that Subsecs. (b) and (c) apply to statements of financial interests; P.A. 94-132 amended Subsec. (c) by adding provision re disclosure of subpoenas; June 18 Sp. Sess. P.A. 97-6 amended Subsec. (b)(1) to delete requirement that statement of financial interests include names and addresses of clients, patients and customers who provide more than $10,000 of net income, effective January 1, 1998; P.A. 00-43 amended Subsec. (a) to extend provisions of section to members of the Investment Advisory Council and to make technical changes for purposes of gender neutrality, effective May 3, 2000; P.A. 00-66 made technical changes in Subsec. (b); P.A. 00-99 changed reference to sheriffs and deputy sheriffs to state marshals in Subsecs. (a) and (b), effective December 1, 2000; P.A. 01-195 substituted “marshals” for “marshal” in Subsec. (a)(1) and made a technical change in Subsec. (b)(1)(G) for purposes of gender neutrality, effective July 11, 2001; P.A. 04-245 added Subsec. (b)(1)(H) re disclosure of business affiliations with lobbyists, persons doing business with or seeking to do business with the state or persons engaged in regulated activities or associated businesses; P.A. 05-183 replaced “commission” and “Ethics Commission” with “Office of State Ethics” or “board” throughout the section and made a technical change in Subsec. (a)(1), effective July 1, 2005; P.A. 07-201 amended Subsec. (b)(1)(B) to require the disclosure of the name of each employer and a description of each source of income, effective July 5, 2007; P.A. 11-51 removed reference to executive director of Division of Special Revenue in Subsec. (a)(1), effective July 1, 2011; P.A. 13-244 amended Subsec. (a)(1) to add provision re when filing deadline falls on weekend or holiday and to make technical changes; P.A. 13-299 amended Subsec. (a)(1) to delete reference to members of Gaming Policy Board, effective July 1, 2013; P.A. 15-43 amended Subsec. (b)(1) to add exception re Subsec. (b)(3) and, in Subpara. (G), to add reference to leases or contracts with quasi-public agencies and added Subsec. (b)(3) re exempting disclosure of the names of certain securities, effective January 1, 2016; P.A. 16-174 amended Subsec. (a)(1) to replace 30 days with 60 days in provision re office to notify individuals of requirements of subsection, amended Subsec. (b)(1)(B) by replacing “each source” with “the type of income received”, amended Subsec. (b)(1)(H) to rephrase provisions re business affiliations and amended Subsec. (b)(3) to make a technical change, effective January 1, 2017; P.A. 19-2 amended Subsec. (c) to designate existing provisions as Subdiv. (2) and add Subdiv. (1) re exception from disclosure of names of dependent children, effective April 29, 2019; P.A. 19-180 amended Subsec. (a) by deleting “state marshals” in Subdiv. (1), amended Subsec. (b) by deleting former Subdiv. (2) re statement of financial interests filed by state marshals, redesignating existing Subdiv. (3) as Subdiv. (2), and made conforming changes; P.A. 21-76 amended Subsec. (a)(2) by deleting provision re filing copy of ethics statement with Department of Administrative Services, effective July 1, 2021; P.A. 21-164 amended Subsec. (a)(1) by adding references to electronic filing of statements of financial interests and making a technical change.

Structure Connecticut General Statutes

Connecticut General Statutes

Title 1 - Provisions of General Application

Chapter 10 - Codes of Ethics

Section 1-79. - Definitions.

Section 1-79a. - Calculation of dollar limit on gifts.

Section 1-80. - Office of State Ethics. Citizen's Ethics Advisory Board. Members; appointment; qualifications; vacancies; compensation; restrictions. Hearings.

Section 1-80a. - Statements filed with commission. Restrictions on use.

Section 1-80b to 1-80d. - State Ethics Commission member serving as Citizen's Ethics Advisory Board member; Citizen's Ethics Advisory Board member appointment by Governor. Appointment of interim executive director. Transfer of State Ethics Commission...

Section 1-80e. - Designation of judge trial referees.

Section 1-81. - Duties of the board, Office of State Ethics. Employment of executive director, general counsel, ethics enforcement officer. Legal and enforcement divisions of the Office of State Ethics. Regulations. State personnel training in ethics...

Section 1-81a. - Recommended appropriations. Allotments.

Section 1-81b. - Summary of ethics laws re bidders, proposers and state contractors.

Section 1-81c. - Mandatory ethics training for public officials. Frequency. Exception.

Section 1-82. - Complaints. Procedure. Time limits. Investigation; notice; hearings. Attorneys' fees. Damages for complaints without foundation.

Section 1-82a. - Confidentiality of complaints, evaluations of possible violations and investigations. Publication of findings.

Section 1-82b. - Continuation of certain probable cause hearings.

Section 1-83. - Statements of financial interests. Filing requirements. Ethics statements. Confidentiality. Waiver.

Section 1-84. (Formerly Sec. 1-66). - Prohibited activities. Exception re employment of immediate family at constituent unit.

Section 1-84a. - Disclosure or use of confidential information by former official or employee.

Section 1-84b. - Certain activities restricted after leaving public office or employment.

Section 1-84c. - Donation of goods or services to state or quasi-public agencies. Reporting requirement.

Section 1-84d. - Foundations or alumni associations established for the benefit of a constituent unit of public higher education or technical education and career school.

Section 1-85. (Formerly Sec. 1-68). - Interest in conflict with discharge of duties.

Section 1-86. - Procedure when discharge of duty affects official's or state employee's financial interests. Lobbyists prohibited from accepting employment with General Assembly and General Assembly members forbidden to be lobbyists.

Section 1-86d. - Legal defense fund established by or for a public official or state employee. Reports. Contributions.

Section 1-86e. - Consultants, independent contractors and their employees. Prohibited activities.

Section 1-87. - Aggrieved persons. Appeals.

Section 1-88. - Authority of board after finding violation. Prohibition against disclosure of information. Enforcement of civil penalties.

Section 1-89. - Violations; penalties. Disciplinary powers of the legislature, agencies and commissions. Civil action for damages.

Section 1-89a. - Conferences on ethical issues.

Section 1-90. - Commission to review oath of office for members of General Assembly.

Section 1-90a. - Exemption re student public official or state employee of a public institution of higher education. Policies and procedures re standards of student conduct.

Section 1-91. - Definitions.

Section 1-92. - Duties of board and Office of State Ethics. Regulations. Advisory opinions.

Section 1-93. - Complaints. Procedure. Time limits. Investigation; notice; hearings. Damages for complaints without foundation.

Section 1-93a. - Confidentiality of complaints, evaluations of possible violations and investigations. Publication of findings.

Section 1-94. - Lobbyist registration with the Office of State Ethics.

Section 1-95. - Registration procedure. Fees.

Section 1-96. - Financial reports of registrants. Requirements.

Section 1-96a. - Maintenance of substantiating documents. Random audits of registrants.

Section 1-96b. - Filing of registrants' financial reports in electronic form.

Section 1-96c. - Public access to computerized data from financial reports.

Section 1-96d. - Statement whether expenditures for legislative reception are reportable.

Section 1-96e. - Statements of necessary expenses paid or reimbursed by registrants.

Section 1-97. - Restrictions on activities of registrants and lobbyists. Contingent compensation prohibited. Report to recipient required.

Section 1-98. - Appeal from board decision.

Section 1-99. - Authority of board after finding violation.

Section 1-100. - Violations; penalties.

Section 1-100b. - Suspension or revocation of communicator lobbyist's registration. Finding by Office of State Ethics.

Section 1-101. - Lobbyists to wear badges. Regulations.

Section 1-101a. - Prohibition re employment as lobbyist by public official or state employee convicted of a crime related to state or quasi-public agency office.

Section 1-101aa. - Provider participation in informal committees, task forces and work groups of certain state agencies not deemed to be lobbying.

Section 1-101bb. - Quasi-public agencies and state agencies prohibited from retaining lobbyists.

Section 1-101mm. - Definitions.

Section 1-101nn. - Solicitation of information not available to other bidders from public official or state employee by contract bidder or contractor. Charging agency for work not performed. Information concerning donation of goods and services to st...

Section 1-101oo. - Jurisdiction over nonresidents. Secretary of the State as process agent. Service of process.

Section 1-101pp. - Reporting of ethics violations by state or quasi-public agency heads or deputies and persons in charge of state agency procurement, contracting or human resources.

Section 1-101qq. - State ethics law summary provided to persons seeking large state construction or procurement contract. Representation of agreement to comply in contract. Summary and representation re subcontractors and consultants. Failure to incl...

Section 1-101rr. - State agency ethics compliance officers. Duties. Liaisons.