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AO 10 Rev.

1/2011

FINANCIAL DISCLOSURE REPORT FOR CALENDAR YEAR 2010


2. Court or Organization UNITED STATES COURT OF APPEALS
5a. Report Type (check appropriate type) ] Nomination, [] Initial Date [] Annual [] Final

Report Reqtdred by the Ethics in Government Act ofl978 (5 U.S.C. app. I01-I11)

I. Person Reporting (last name, first, middle initial) SELYA, BRUCE M. 4. Title (Article III judges indicate active or senior status; magistrate judges indicate full- or part-time)

3. Date of Report 05/15/201 I


6. Reporting Period

01/01/:2010
to

US CIRCUIT JUDGE - SENIOR STATUS

12/31/2010

5b. [] Amended Report

7. Chambers or Office Address 316 FEDERAL COURTHOUSE ONE EXCHANGE TERRACE PROVIDENCE, R102903

8.On the basis of the information contained in this Report and any modifications pertaining thereto, it is, in my opinion, in compliance with applicable laws and regulations.

Reviewing Officer

Date

IMPOR TANT NO TES: The instructions accompanying this form must be followed Complete all parts,
checking the NONE box for each part where you have no reportable information. Sign on last pag~

I. P 0 S I T I 0 N S. cR epo,ang individual only; see pp. 9-13 of filing instructionx)

D
1.

NONE (No reportablepositions.) POSITION


GENERAL PARTNER < INVESTMENT PROPERTY ONLY > NAME OF ORGANIZATION/ENTITY FRIENDSHIP REALTY GROUP (REAL ESTATE GENERAL PARTNERSHIP) SELYA PROPERTIES (REAL ESTATE GENERAL PARTNERSHIP) RI STATE - FEDERAL JUDICIAL COUNCIL RHODE ISLAND HOSPITAL (A NON-PROFIT CORPORATION) BRYANT UNIVERSITY LIFESPAN CORPORATION (NON-PROFIT HOLDING COMPANY FOR RHODE ISLAND, MIRIAM, EMMA P BRADLEY & NEWPORT HOSPITALS) BOSTON COLLEGE LAW SCHOOL BOSTON UNIVERSITY LAW SCHOOL HOSPITAL ASSOCIATIONS OF RHODE ISLAND (A NON-PROFIT CORPORATION) POCASSET VILLAGE ASSOCIATES (REAL ESTATE LIMITED PARTNERSHIP) ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW ESTATE # 1 ESTATE # 2

2. 3. 4. 5. 6.

GENERAL PARTNER < INVESTMENT PROPERTY ONLY > JUDICIAL COUNCIL CHAIRMAN TRUSTEE EMERITUS TRUSTEE EMERITUS DIRECTOR

7. 8. 9.

ADJUNCT PROFESSOR ADJUNCT PROFESSOR DIRECTOR

10. LIMITED PARTNER

1 I. DIRECTOR 12. ADJUNCT PROFESSOR 13. EXECUTOR 14. EXECUTOR

Selva, Bruce M.

FINANCIAL DISCLOSURE REPORT Page 2 of 19


15. MEMBER

Name of Person Reporting SELYA, BRUCE M.

Date of Reporl 05/15/201 I

YDNIC, LLC (REAL ESTATE INVESTMENT SINGLE MEMBER LLC)

I1. AGRE EMENTS. t~,~or~-g individual onb; set plx 14-16 of fillng instruction~.)
NONE (No reportable agreements.)

DATE
1. 2. 3.

PARTIES AND TERMS

FINANCIAL DISCLOSURE REPORT Page 3 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

III. NON-INVESTMENT INCOME. tRepor~.g i.di,idaoI o.dspo.se: seepp. I7-2~ of~li.g


A. Fliers Non-Investment Income D NONE (No reportable non-investment income.) DATE
1.2010

SOURCE AND TYPE


ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW - ADJUNCT PROFESSOR

INCOME (yours, not spouses)


$25,000

2. 3. 4.

B. Spouses Non-Investment lncome - If you were married during any portion of the reporting )ear, complete this section~
(Dollar amount not required except for honoraria.)

NONE (No reportable non-investment income.) DATE


1. 2. 3. 4.

SOURCE AND TYPE

IV. REIMBURSEMENTS --transportation, lodging, food, entertainment.


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

~]

NONE (No reportable reimbursements.)


SOURCE DATES LOCATION PURPOSE ITEMS PAID OR PROVIDED

2. 3. 4. 5.

FINANCIAL DISCLOSURE REPORT Page 4 of 19

Name of Person Reporting SELYA, BRUCE 51.

Date of Report 05/15/2011

V. GIFTS. anc~.des ,hose ,o sponse and dependen, children; see ptx 28-31 of filing instructions.)
NONE (No reportable gifts.)
SOURCE
I. 2. 3. 4. 5.

DESCRIPTION

VALUE

VI. LIABILITIES. ~tncludes those of sponse and dependent children; seepp. 32-33 of filing instruction&)
D

NONE (No reportable liabilities.) CREDITOR DESCRIPTION


MORTGAGE (FRIENDSHIP RLTY GRP-40%)

VALUECODE
L

1. 2. 3. 4. 5.

BANK RHODE ISLAND

FINANCIAL DISCLOSURE REPORT Page 5 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

VII. INVESTMENTS and TRU STS -income, value, transactiotm (Includes those ofsp ......
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including m~st assels) Place "IX)" atler each asset exempt from prior disclosure B. Income during reporting period (I) Amount [ Code I I (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (I) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W)

d dependent children; seepp. 34-60 of filing instructlon~)

D. Transactions during reporting period (1) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain mm!dd/yy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

I. 2. 3. 4.
5.

BROKERAGE ACCOUNT # 1 FRIENDSHIP REALTY 40%, LINCOLN, RI APARTMENT BUILDING MA INVESTOR TRUST MUTUAL FUND MAXCO, INC. COMMON STOCK
MET LIFE COMMON STOCK A

Rent A Dividend None


Dividend

N J J
K

6. 7. 8.

ORBIS INC 1.9% COMMON STOCK PHOENIX COMMON STOCK POCASSET VILLAGE ASSOC 2.5%, CRANSTON, RI APARTMENT BUILDING SELYA PROPERTIES 50%, PROVIDENCE, RI RESIDENTIAL CON DO SILVER RESOURCES, INC COMMON STOCK WASHINGTON TRUST BANCORP
YDNIC, LLC REAL ESTATE, PORTSMOUTH, NH AGAWAM HUNT NOTE RECEIVABLE

None A G Dividend Rent

J J M

W T W

9.

Rent

I0. 11.
12. 13.

None A
G A

J J
Pl J

W T
W T

Dividend
Rent Interest

Buy

01/01/10

14. 15. 16.

BROKERAGE ACCOUNT# 2 BANKOF AMERICA CHECK\SAV ACCT PROV RI BANKOF RHODE ISLAND CHECK\SAV PROV RI B A Interest Interest N J T T

I. Income Gain Codes: (See Columns BI and D4) 2. Value Codes (Scc Columns CI and D3) 3. Value Mewhod Codes (See Cohann C2)

A -$1,000 or less F =$50.001 - $100.000 J -$15.1300 or le~ N =$250.001 - $500.000 P3 =525.000.001 - S50.0~0.000 Q =Appraisal U =Book Value

B =$1,001 - $2,500 G =$100.001 - 51.000.000 K =$15.001 - $50.000 O =$500.001 - $1,000.000 R =:Cost IRcal Estate Only) V =Other

C =$2.501 - $5,000 Ill :51.000.001 - 55.0~O.000 L =$50.001 - 5100.000 PI =$1.000.001 - $5.000.000 P4 =More than $50.000.000 S -Assessmcm W =Estimated

D =$5.001 - $15,000 112 =More than $5.000.000 M =51130.001 - $250.0~0 P2 ~55.000.001 - $25.000.000 T -~S~h Marke~

E =$15,001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 6 of 19 VII. INVESTMENTS and TRUSTS - i ........

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/201 I

lue, transactions (Includes those of spo .....

d dependent children; see pp. 34-60 of filing instructlon&)

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


A. Description of Assets (including trust assels) Place "CA)" after each asset exempt from prior disclosure B. Income during reporling period (I) (2) i Amount Type (e.g., Code I div., rent, (A-H) or int.)

Gross value at end of reporting period O) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) T T T (i) Type (e.g.,
buy, sell,

D. Transactions during reporting period

redemption)

(2) (3) (4) Value Gain Date mm/dd/yy Code 2 Code I (J-P) (A-II)

(5) Identity of buyer/seller (if private transaction)

17. CAMBRIDGE SAVINGS BANK SAVINGS ACCT CAMBRIDGE MA 18. 19. 20. 21. 22. 23. 24. 25. 26. 27. 28. 29. 30. 31. 32. 33. RHODE ISLAND DEPOSITORS BONDS MUNI BOND RI HEALTH & EDUCATIONAL BUILDING CORP MUN1 BOND RBS CITIZENS SAVINGS ACCT PROV RI RBS CITIZENS IRA - SAVINGS CD FIDELITY SERVICE COMPANY DALLY INCOME TRUST MONEY MKT BROKERAGE ACCOUNT # 3 PHOENIX MUTUTAL LIFE INS CO CSV BROKERAGE ACCOUNT # 4 BRISTOL COUNTY RI WATER MUNI BOND MERRILL LYNCH CASH MNGMT ACCT. PAWTUCKET RI BOND MUNI BOND PROVIDENCE RI PUBLIC BUILDINGS BOND MUNI BOND PUERTO RICO COMM PUB IMPROV BONDS MUNI BOND PUERTO RICO ELECTRIC POWER BONDS MUNI BOND

A B B

Interest Interest Interest Dividend

L K K K

None

B B C A B B

Interest Dividend Interest Interest Interest Interest

K N M K K K

T T T T T T Buy (addl) Sold (part) 08/23/10 07/01/10 K K A Buy (addl) 06/04/10

C D

Interest lnterest

L N

T T Sold (part) Buy (addl) 08/16/10 05/06/10 J K A

I. Income Gain Codes: (5 Column~ BI and 2. Value Code~ ISee Columns CI and D3) 3. Value Method Codes (See Column C2)

A =$1.000 or Icss F =$50,001 - $100.000 J =$15.000 or less 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 =$15.001 - $50.000 O =$500.001 - $1.000.000 R =Cost IRcal Estate Only) V

C =$2.501 - $5.000 ! I I =$ 1.000,0~ I - $5.0~0.0~0 L =$50.0~1 P4 =More than $50.000.0(30

D =$5.001 - $15.000 112 =More than $5.000.000 M =$100.001 - $250.0(}0 P2 =$5.000.001 - $25.000.000 T =Cash M~ket

E =$15,001 - $50.000

W =Estimated

FINANCIAL DISCLOSURE REPORT Page 7 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

VII. INVESTMENTS and TRUSTS - inco~,e, ~.e, t,a,~ooio,~ (Includes those of spouse and dependent chUdren: see ptx 34-60 of filing instruction~)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets

B.
Income during

C.
Gross value at end

D.
Transactions during reporting period

(including trust assetS)


Place "(X)" after each asset exempt from prior disclosure

reporting period l (1) (2)


Amount Code I i (A-H) I Type (e.g., dlv., rent, or int.)

of rt~rting period (1) (2)


Value Code 2 (J-P) Value Method Code 3 (Q-W)

(0
Type (e.g., buy, sell, redemption)

(2)

(3)

(4)
Gain Code I (A-H)

(5)
Identity of buyer/seller (if private transaction)

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

34. 35. 36. 37. 38. 39. 40. 41. 42. 43.

RI HOUSING & MORTGAGE FINANCE CORP BONDS MUNI BOND RI PROV PLANTATIONS BOND MUNI BOND RHODE ISLAND CLEAN WATER BOND MUNI BOND WARWICK RI BOND MUNI BOND AGILENTTECHNOLOGIES INC. COMMON STOCK BARRICKGOLD CORPORATION STOCK DELL INC COMMON STOCK GLAXO SMITHKLINE PLCCOMMON STOCK INTELCORPCOMMON STOCK NEWMONT MINING CORP. STOCK

D D C A A A A A A A A A
A

Interest Interest Interest Interest Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend
Dividend

M N M K J L J

T T T T T T T

K L J J
K

T T T T
T

44. NTN BUZZTIME INC. COMMON STOCK 45.


46.

VERIGY LTD COMMON STOCK


WELLS FARGO & CO COMMON STOCK

47. 48. 49. 50.

BROKERAGE ACCOUNT# 5 BANK OF AMERICA - INTEREST CHECKING ANADARKO PETRO CO. COMMON STOCK B OF A TAX EXEMPT RESERVES CASH FUND A A A Interest Dividend Dividend K K L T T T NAME CHANGE

I. Income Gain Codes: (5c Columns B I and D4) 2. Value Codes (See Columns CI and D3) 3. Value Method Co&:s (See Column C2)

A =$1.000 or less F =$50.001 - $ I 0O.000 J =$15.000 or less N =$250.001 - $500.000 F3 =$25.00~.001 - $50.000.000 Q =Appraisal U =Book Value

B =$1,001 - $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 =O~hcr

C =$2,501 - $5,000 It I =$1.000.001 - $5.000.000 L =$50.001 - $100.000 PI =$1.000.001 - $5.000,000 P4 =Moee than $50.000.0~0 S =Assessment W =Estimated

D =$5,0OI - $15,000 112 =More than $5.000.000 M =$100,001 - $250.000 P2 =$5.000.001 - $25,000.000 T =Cash Market

E =Sl 5.001 - S50.000

FINANCIAL DISCLOSURE REPORT Page 8 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

VlI. INV ESTMENTS and TRU STS - inco,.e, vatue. ~ .....ions (Includes those of sp ...... ,
NONE (No reportable income, assets, or transactions.)
Description of Assets
(including trust assets)

d dependent children; see pp. 34-60 of fillng instructions.)

Place "(X)" after each asset exempt from prior disclosure

Income during reporting period (i) (2) Amount Type (e.g., Code I div., rent, (A-H) or int.)

Gross value at end of reporting period (I) (2) Value Value Code 2 Method
(J-P) Code 3

Transactions during reporting period


O) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain mm/dd~y Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

(Q-W) 51. 52. 53. 54. 55. 56. 57. FRONTIER COMMUNICATIONS F/KJA IDEARC, INC COMMON STOCK IDEARC, INC. COMMON STOCK MA INVESTORS TRUST MUTUAL FUND MAXCO, INC. COMMON STOCK ONEOK, INC. COMMON STOCK A A A A B Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend A A Dividend Dividend J T J J K K J J J K L T T T T T T T T T Sold
01/01/10 J

NAMECHANGE/ SPINOFF

PERKINELMER INC. COMMON STOCK A PINNACLE WESTCOMMON STOCK A A A A B

58. QWESTCOMMUNICATIONS COMMON STOCK 59. 60. 61. 62. 63. 64. 65. 66. SOUTH AMERICAN MINERALS COMMON STOCK TEXTRON, INC. COMMON STOCK UNION PAC CORPCOMMON STOCK VERIZON COMMUNICATIONS COMMON STOCK WASHINGTON TRUST COMMON STOCK FAIRPOINT COMMUNICATIONS INC. BROKERAGE ACCOUNT # 6 3M CORP. COMMON STOCK

B B

Dividend Dividend

L K

T T

Buy (addl) Buy (addl)

05/03/10 03130/I 0

67. ABBOTT LABS COMMON STOCK

I. Income Gain Codes: {See Columns BI and IM) 2. Value Codes (See Columtts CI and D3) 3. Value Method Codes (Sc Column C2)

A =$1,00O or less F =$50.001 - $10~.0~O J =$15,000 or less 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 - $1.000.0QO " K =SI5.001 - $50.000 O =$.~0.001 - $1.000.0OO R =:Cost (Real E~tate Only) V =Olhcr

C =$2.501 - $5,000 III =$1.0O0.001 - $5,000.000 L =$50.001 - $100.000 PI =$1.000.001 - $5.000.000 P4 =More than $50.000.000 S =Assessment W =Estimated

D =$5.001 - $15.000 112 =Morc than $5.000.000 M =$100.001 - $250.000 P2 =$5.000.001 - $25.000,0~3 T =Cash Market

E =$15.001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 9 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/201 I

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


Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure Income during reponing period ~ (I) (2) i Amount Typ~ (e.g., div., rent, i Code I or int.) I (A-H) Gross value at end of reporting period (i) (2) Value Value Code 2 Method Code 3 (J-P) Transactions during rep~rting period
O) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain rnmtdd~iy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

68. 69. 70. 71. 72. 73. 74. 75. 76. 77. 78. 79. 80. 81.
82. 83. 84.

ACE, LTD COMMON STOCK AFLACK, INC. COMMON STOCK AIR PRODUCTS & CHEMICALS, INC. COMMON STOCK ALLSTATE CORP. COMMON STOCK AMERIPRISE FINANCIAL, INC. COMMON STOCK
AMGEN INC. COMMON STOCK

A B B A A A B A A D C B A

Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Interest Dividend Dividend Dividend

K L L K K K L

T T T T T T

Buy Buy (addl) Buy

04/20110 K 05/27/10 01/26/10 K L

Buy (addl) Buy (addl)

03/30/10 01/05/10

J K

ANALOG DEVICES, INC. COMMON STOCK AOL, INC. COMMON STOCK APACHE CORPCOMMON STOCK ARIZONA BRD REGENTS 5% MUNICIPAL BOND AT&T INCCOMMON STOCK AUTOMATIC DATA PROCESSING INC. COMMON STOCK BLACKROCK, INC. COMMON STOCK

Sold L M L
K

02/26/10 J

T T T

Buy Sold

05/27/10 K I 1/10/I0 K
03/18/10 PI

A
A

BNY MELLON MONEY MARKET CASH FUND BNY MELLON NTL INTER MUNI BONDS BOONE-FLORENCE WTR SUPPLY MUNI BOND

A D C

Interest Interest Interest M L T T

Sold

Buy

04/27/10

1. Income Gain Codes: (Sc Columns BI and IM) 2. Value Codes (S~e Columns CI and D3) 3. Value Method Codes (S~e Column C2)

A =$1,009 or less F =$50,0~1 - $10~.009 J =$15.000 o~" less N =$250.001 - $500.000 P3 =$25.000.001 - $50.0~0,000 Q =Ap, p~isal U -Book Value

B =$1.001 - $2.500 G =$100.091. $1.000.09~ K =$15.001 - $50.000 O =$50~.001 - $1.0(~.00~ R =~osl (Real Estale Only) V =Other

C =$2.501 - $5.000 I I 1 =$ 1.000.001 - $5.00~.000 L =$50.001 - $ lOO.000 PI -$1.000.001 - $5.000.0~0 P4 =More than $50.1X)0.000 S =Assessment W =kstilna~cd

D =~5.091 - $15.000 112 =More than $5.000.00~ M =$100.001 - $250.000 P2 =$5.000.001 T =Cash Market

E =$15.091- $50.000

FINANCIAL DISCLOSURE REPORT Page 10oft9


V I I. I N V E S T M E N T S a n d T R U S T S - i ....
A. Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure

Name of Person Reporting [

Date of Report

SELYA, BRUCE M. [

05/15/2011

e, value, tr ....lions (Includes those of sp ...... d dependent children; see

pp. 34-60 of filing instruction&)

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


B. Income during reporting p~riod 11) (2) , Amount Type (e.g., ! Code I div., rent, i (A-H) or int.)

Gross value at end of reporting period (]) (2) Value Value Code 2 Method
(J-P) Code 3

D. Transactions during reporting period

0) Type (e.g., buy, sell, redemption)

(2) (3) (4) Date Value Gain mnddd/yy Code2 Codel (J-P) (A-H)

(5) Identity of buyer/seller (if private transaction)

85. 86. 87. 88. 89. 90. 91. 92. 93. 94. 95. 96. 97. 98. 99.

BRISTOL RI DTD 2/15/104.5% MUNI BOND CANON, INC. COMMON STOCK CARDINAL HEALTH, INC. COMMON STOCK CENTERPOINT ENERGY, INC. COMMON STOCK CHEVRON CORPORATION COMMON STOCK CHUBB CORP. COMMON STOCK CISCO SYS INC. COMMON STOCK CONOCOPHILLIPS COMMON STOCK CRA aNY MELLON, N.A. CASH

B A B B B B A C A

Interest Dividend Dividend Dividend Dividend Dividend Dividend Dividend Interest

Buy Sold

02/10/10 05/03/10 04/29/10 12/02/10 03/05/10 03/29/10

L K K K J J

L K L K L L O

T T T T T T T

Buy (addl) Buy Buy (addl) Buy (addl)

Buy (addl) Buy Sold (part)

102/22/10 01/01/10 12/17/10 09/15/10 03/25/10 09/17/10 I1/10/10 02/17/10 04/29/10 04/14/10

K PI PI K M K K K K K A

DENSO CORP COMMON STOCK DISTRICT COLUMBIA DTD 5/21/08 MUNICPAL BOND DONNELLEY R R & SONS CO. COMMON STOCK DUPONT AND COMPANY COMMON STOCK EATON CORP. COMMON STOCK

A A C B B B B

Dividend Interest Dividend Dividend Dividend Dividend Dividend

Buy Matured

L K L L

T T T T

Buy (addl) Buy (addl) Buy (addl) Buy (addl) Buy (addl)

100. EMERSON ELECTRIC CO. COMMON STOCK 101. EXELON CORP COMMON STOCK

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

A $1.00~ or less F =$50.1)01 - $100.000 J =$15.000 or h:ss N =$250.001 - $500.0~O P3 =$25.000.001 - $50.000.0~0 Q =Appraisal U =Book Value

B -$1,001 - $2.500 G =$100.001 - $1.000,000 K = $15.001 - $ 50.000 O =$50~.001 - $1,00~.0OO R =Cost (Real Estate Only) V -O~hcr

C =$2.501 - $5.000 111 =$1.000.001 - $5.000.000 L =$50.001 - $ 100.000 PI =$1.0~0.001 - $5.000.000 P4 =M~e than $50.00~.0~0 S =Assessment W =Estimated

D =$5.0~1 - $15.000 112 =More than $5,000.000 M = $ 100.001 - $250.000 P2 =$5,000.001 - $25.000.00Q T =Cash Markc~

E =$15,001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 11 ofl9

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/201 I

VII. I NVESTMENTS and TRUSTS - i.co~,e, voluc. ,ro,~ac,lo,~ (Includes those of spo ..... d dcpendent children: see pp. 34-60 of fillng instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets
(including trust assets)

B. Income during
reporting period

C. Gross value at end


of reporting period

D. Transactions during reporting period (I) Type (e.g., buy, sell, redemption) 2) (3) (4) Date Value Gain mm/dd/yy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private ~nsacfion)

Place "(X)" after each asset exempt from prior disclosure

i. (I) i Amount Code I (A-H) i

(2) Type (e.g., div., rent, or int.)

(I) Value Code 2 (J-P)

(2) Value Method Code3 (Q-W)

102. 103. EXXON MOBIL CORP. COMMON STOCK 104. GENERAL ELECTRIC CO. COMMON STOCK 105. GENERAL MILLS, INC. COMMON STOCK 106. GENUINE PARTS CO. COMMON STOCK 107. GOLDMAN SACHS GROUP, INC. COMMON STOCK 108. HARRIS CORPORATION COMMON STOCK 109. HEALTH CARE REIT, INC. COMMON STOCK 110. HOME DEPOT, INC. COMMON STOCK 111. HONEYWELL INTL INC COMMON STOCK 112. HOSPIRIA INC. COMMON STOCK 113. HUDSON CITY BANCORP, INC. COMMON STOCK 114. 115. INDIANAPOLIS IND PUB IMPT DTD 2/17/10 5% MUNI BOND
116. INTEL CORP COMMON STOCK

Sold C B B B A A B C B A A Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend Dividend M L K T T T M L K K L K T T T T T T Buy (addl) Buy (addl) Buy Buy Buy (addl) Buy (addl) Sold Buy (addl) Buy (addl) Buy (addl) Buy (addl) Sold B B A Interest Dividend Dividend L L T T Buy Buy

12/02/10 03/12/10 05/03/10 12/06/10 04/15/10 03/25/10 04/05/10 03/26/10 102/17/10 02/22/10 05/04/10 02/22/10 04/20/10 02/03/10

K K J K K K K K K J K J K L

117. INTERNATIONAL BUSINESS MACHINES CORPORATION COMMON STOCK

05/04/10 K

I. Income Gain Codes: (See Columns B1 and 134) 2. Value Codes (See Columns CI and D3) 3. Value Method Codes ISce Column C21

A =$1.000 or less F =$50.001. $100.00O J =$15.000 or less N =$250.001 - $500.000 P3 =S25,000.001 - $50,000.000 Q =Appraisal U Book Value

B =$1,001 - $2.500 O =$100.001 - $1.000.000 K =$15.001 - $50.000 O =$500,001 - $1.000.000 R =Cosl (Real Estate Only) V =Other

C =$2.501 - $5,0D0 II1 =$1.000.001 - $5.000.000 L =150.001 - $100.000 PI -$1,000.001 - $5.0~0.000 P4 =Mo~ than $50.000.0~0 S =Asscssmem W =Estimated

D =$5.001 - $15.0~O 112 =More than $5.000.000 M =$100.001 - $250.0~0 P2 =$5.000.001 - $25,000.000 T =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 12 of 19

Name of Peraon Reporting SELYA, BRUCE M.

Date of Report 05/1512011

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


Description of Assets (including trust assets)
Place "(X)" after each asset exempt from prior disclosure

Income during reporting period O) (2) Amount Type (e.g., Code I div., rent, (A-H) or int.)

Gross value at end of reporting period (1) (2) Value Value Code 2 Method
(J-P) Code 3

Transactions during reporting period


(i) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain mm!dd,3,y Code 2 Code I (J-P) (A-H) (5) Identib, of buyer/seller (if private transaction)

118. INVESCO LIMITED COMMON STOCK 119. JOHNSON & JOHNSON COMMON STOCK 120. KELLOGG CO. COMMON STOCK 121. KILLEEN TEX DTD 10/1/2004 4% MUNI BOND 122. KRAFT FOODS, INC. COMMON STOCK 123. LEGGETT & PLATT, INC. COMMON STOCK 124. LIMITED BRANDS, INC. COMMON STOCK 125. LORILLARD, INC. COMMON STOCK 126. LUZERNE CNTY PA DTD 12/14/06 MUNICIPAL BOND 127. MARSH & MCLENNAN COS, INC. COMMON STOCK 128. 129. MCDONALDS CORPORATION COMMON STOCK 130. MCGRAW HILL COMPANIES, INC. COMMON STOCK 131. MEDTRONIC INC COMMON STOCK 132. MERCK & CO., INC. COMMON STOCK 133. MICROCHIP TECHNOLOGY, INC. COMMON STOCK 134. MICROSOFT CORPORATION COMMON STOCK

B B B B B B B C A A

Dividend Dividend Dividend Interest Dividend Dividend Dividend Dividend Interest Dividend

L K K L L T T T T

Buy

05/27/10 K

Buy (addl) Buy (addl) Buy Buy (addl) Sold

03/19/10 01/04/10 02/17/10 05/13/I0 03/02110 02118/10 05/12/10

J K L K K K K A

L L M

T T T

Buy (addl) Buy (addl)

Buy (addl) Sold

03/25/10 J 04/21/10 K 03/23/10 A

B A B C B B

Dividend Dividend Dividend Dividend Dividend Dividend

K K K L L L

T T T T

Buy (addl)

Buy (addl) Buy (addl)

04/26/10 02/01/10

K J

Buy (addl)

02/19/10

I. Income Gain Codes: (See Columns BI and D4) 2. Value Co&~ ISce Columns CI and D3) 3. Value Method Codes tSee Column C2)

A =$1.009 or less F ~$50.001 - $100.000 J 3515.000 o less N =$250,00| - $50~.000 P3 =$25,000.001 - $50.090.000 Q =Appraisal U =Book Value

B =$1,001 - $2,500 G =$100,001 - $ 1.000,000 K =$I 5,001 - $50.000 O =$500,001 - $| .000,000 R -~Sos! IRcal Estate Only) V =Other

C =$2,501 . $5,000 tt I =$1.00O.001 - $5.000.000 L =$50.001 - $100,0~O PI =$1.000,001 - $5.000.000 P4 =More than $50.000.0{)0 S =As.s~ssrtv2"~! W =Estimaled

D =$5,001 - $15,000 112 =More than $5,000.000 M =$100.001 - $250.000 P2 =$5.000.001 - $25,0~1.000 T =Cash Market

E =$15,00L- $50.000

FINANCIAL DISCLOSURE REPORT Page 13 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

VII. INV ESTMENTS and TRU STS - inco,.e, value, ~.a.~o,~io,~ (Includes those of spouse and dependent children; see pl 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. D~scription of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure l B. Income during reporting period (I) Amount Code I (A-It) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (I) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (I) Type (e.g., buy, sell, redemption) D. Transactions during rel~rting period (2) (3) (4) Date Value Gain mm/ddiyy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

135. NEW HAMPSHIRE HEALTH & ED DTD 3/12/02 MUNICIPAL BOND 136. NEWPORT RI DTD 4/I/2010 5% MUNI BOND 137. NINTENDO OF AMERICA LTD. COMMON STOCK 138. NOMURA HOLDINGS INC. COMMON STOCK 139. NOKIA CORP. COMMON STOCK
140. NORFOLK SOUTHERN CORPORATION COMMON STOCK 141. NOVARTIS AG COMMON STOCK 142. OAO GAZPROM SPONSORED ADR COMMON STOCK 143. OCCIDENTAL PETROLEUM CORP. COMMON STOCK 144. OLIN CORP. COMMON STOCK

D B A A A
B B A A A

Interest Interest Dividend Dividend Dividend


Dividend Dividend Dividend Dividend Dividend

M L K K

T T T T Buy Sold 04/20/I 0 03/10/10 04/28/10 03/30/10 09/08/10 01/28/10


J J K J

Buy

03/17/10

K A

L L K K K K L L L K

T T T T T T T T T T

Buy (addl) Buy (addl) Buy Buy (addl)

145. OMNICOM GROUP INC. COMMON STOCK 146. OPNET TECHNOLOGIES INC. COMMON STOCK 147. ORACLE CORP. COMMON STOCK 148. P[~PSICO INC. COMMON STOCK 149. PETROLEO BRASILEIRO SA PETROBRAS SPONSORED ADR COMMON STOCK 150. PFIZER, INC. COMMON STOCK

A B A B B

Dividend Dividend Dividend Dividend Dividend

Buy Buy Buy (addl) Buy (addl) Buy

03/04/10 04/05/10 01/15/10 05/13/10 09/14/10

K K J K K

Dividend

Buy (addl)

02/01/10

I. Income Gain Codes: {See Columns BI and 134) 2. Value Codes ISce Columas CI and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F =$50.001 . $ 100,000 J =$15,000 ~" [e~ N =$250.001 - $500.000 P3 =$25,000.001 - $50,000.090 Q =Appraisal U =Book Value

B =$1,001 - $2.500 G =$100.001. $1,000.000 K =$15,001 - $50,0~} O =$500.001 - $1.000.000 R =Cos~ (Real Estate Only) V =Ohcr

C =$2,501 - $5,000 III =$1.000.001 - $5.000,000 L =150.001 - $100.0~O PI =$1.000,0~1 - $5.000,0~O P4 =More than $50.0~).000 S =Ass~ssmen! W =Estimated

D =$5.001 - $15,000 112 =More than $5.000.000 M =$1 ~O.001 - $250,000 P2 =$5.000.001 T =Cash Markc~

E =$15,001- $50.000

FINANCIAL DISCLOSURE REPORT Page 14 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Repor~ 05/15/2011

i,,.,. VII. INVESTMENTS and TRUSTS -i ........ ....,io,~ a.d.~,hose


NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure Income during reporting period (1) (2) Amount Type (e.g.,
Code I (A-H) div., rent, or int.)

Gross value at end of reporting period (1) (2) Value Value


Code 2 (J-P) Method Code 3

Transaclions during reporting period 0) Type (e.g.,


buy, sell, redemplion)

(2) Date
mnddd/yy

(3) (4.) Value Gain


Code 2 (J-P) Code I (A-H)

(5) Identity of
buyer/seller (if private

(Q-W) 151. PHILIP MORRIS INTERNATIONAL, INC. COMMON STOCK 152. PLUM CREEK TIMBER CO., INC. C A A A B B B D C C D B C A B A B Dividend Dividend Dividend Dividend Interest Dividend Dividend Interest Interest Interest Interest Interest Interest Dividend Dividend Interest Dividend L K T T L L K M L M M L L L T T T T T T T T T T Buy Buy Buy (addl) Sold Sold (pan) Buy (addl) 01/28/10 03/22/10 01/26/10 04/15/10 L L K K
A

transaction) Buy (addl) Sold !03/02/10 03/25/10 04/14/10 02/19/10 01/07/10 02/12/10 04/12/10 10/27/10 04/29/10 K K J J L L K M L

COMMON STOCK
153. PRAXIR INC. COMMON STOCK 154. PROGRESSIVE CORP OHIO COMMON STOCK 155. PURDUE UNIV IND REVS DTD 4/9/2009 5% BOND 156. QUALCOMM, INC. COMMON STOCK 157. RAYTHEON CO. COMMON STOCK 158. RI CLEAN WATER MUNICIPAL BOND 159. RI ST & PROVIDENCE DTD 12/18/2008
5% MUNI BOND

Buy (addl) Sold Buy Buy (addl) Buy (addl) Buy (addl) Buy

160. RI ST & PROV PLANTATIONS


MUNICIPAL BOND

161. RI HEALTH & ED BLDG MUNI BOND 162. RI STATE ECONOMIC DEV CORP REV DTD 03/02/2006 5% MUNI BOND 163. SAN ANTONIO TEX DTD 11/15/2002 5.5% MUNI BOND 164. SCHLUMBERGER, LTD. COMMON STOCK 165. SEMPRA ENERGY COMMON STOCK 166. SHELBY CNTY TENN DTD 11/30/06 MUNICIPAL BOND 167. SIMON PROPERTY GROUP, INC. REIT COMMON STOCK

12/01/10 K 04/20/10 K

I. Income Gain Codes: (See Columns B 1 and IM) 2. Vah~e COd~ {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 Ic~s N =$250.001 - $500.0~0 P3 =$25.000.001 - $50,000,000 Q =Appraisal U =Book Value

B =$1,001 - $2,500 G =$100.001 - $ 1.000.000 K =$15.001 - $50.000 O =$5~.00t - $1,000.000 R =Cost (Real Estate Only) V :Olhcr

C =$2,501 - $5.000 I 11 =$ 1.000.0~ 1 - $ 5,000.000 L =$50.0~1 - $100.0OO P| =$1,000,0~t - $5,(~0,~00 P4 =More than $50.000.000 S =Asscssmcm W =Estimated

D =$5.001 - $15.000 112 = M ore than $5.000.(100 M =$100.001 - $250.000 P2 =$5.000.001 - $25.000.000 T =Cash Market

E =$15.001- $50.000

FINANCIAL DISCLOSURE REPORT Page 15 of 19

Name of Person Reporling SELYA, BRUCE M.

Date of Report 05/15/2011

Vll. INVEST MENTS and TRUSTS -i .... e, value, tr ....tlons (Includes ,hose of ~pou~ and dependent children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period 0) (2) i Amount Type (e.g., div., rent, i Code I I (A-It) or int.) Gross value at end of reporting period (i) (2) Value Value Code 2 Method
(J-P) Code 3

D. Transactions during reporting period


(I) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain mm/ddh/y Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private t~ansaction)

168. SOUTH CAROLINA ST PUB DTD 11/5/0~ MUNICIPAL BOND 169. SPECTRA ENERGY CORPORATION COMMON STOCK 170. TAIWAN SEMICONDUCTOR MFG CO., LTD. COMMON STOCK 171. 172. TEXAS INSTRUMENTS INC. COMMON STOCK 173. THE PROCTER & GAMBLE CO.
COMMON STOCK

B B A

Interest Interest Dividend

L L

T T Buy Buy (addl) Sold 03/19/10 03/10/10 03/22/10 04/12/10 05/10/I0 04/01/10 01/05/10 01/25/10 02/1 I/I0 L J K K J K K K J
A

A B A B B B

Dividend Dividend Dividend Dividend Dividend Dividend

L L

T T

Buy Buy (addl) Sold

174. THE TRAVELERS COMPANIES, INC. COMMON STOCK 175. THE WALT DISNEY CO. COMMON STOCK 176. TIME WARNER, INC. COMMON STOCK 177. TOTAL S.A. ADR COMMON STOCK 178. 179. UNITED TECHNOLOGIES CORP COMMON STOCK 180. VALE SA COMMON STOCK FORMERLY COMPANHIA VALE DEL RIO DOCE 181. VALERO ENERGY CORP. COMMON STOCK 182. WALGREEN CO. COMMON STOCK 183. WASHINGTON ST DTD 7/8/09 5% MUNICIPAL BOND

M L

T T

Buy (addl) Buy (addl) Buy (addl) Sold

03/05/10 K 04/29/10 K 04/09/10 K

B A

Dividend Dividend

L K

T T

Buy (addl) Buy (addl) Sold

A A B

Dividend Dividend Interest K L T T

01/28/10 K 04/26/10 K

Buy (addl)

I. Income Gain Codes: (See Colunms BI and IM) 2. Value Cod~.s (See Columns CI and D3) 3. Value Method Codes (See Column C2)

A =$ 1.000 or less F =$50,001 - $100,000 J =$15.0~0 o~ less N =1250,001 - $500.000 P3 =$25,0~0.001 - $50.000.000 Q =Appraisal U =Book Value

B =$ 1,0O I - $2.500 G =$100.001 - $1.000.000 K =$15.001 - $50.000 O =$50~.001 - $1.000.0OO R =Cost (Real Estale Only) V =01her

C = $2.501 - $5.000 II 1 =$1.000.001 - $5,000.000 L =$50.0~1 - $ 100.000 PI =$1.000.001 - $5,000,000 P4 =Mote than $50.000,000 S =Asscssme-at W =Estimated

D =$ 5.001 - $15,000 112=More than $5.000.000 M =$ 100.001 - $250.000 P2 =$5.000.001 - $25,000.000 T =Cash Markc~

E =$15,001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 16 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/2011

VII. INVESTMENTS and TRUSTS - income, value, transactions (Includes those of sponse and dependent children: see pl~ 34-60 o/filing in,tractions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust asse~)
Place "(X)" after each asset

Income during reporting p~riod 0)


Amount

Gross value at end

Transaclions during rel~orfing l~riod


(I) Type (e.g., buy. sell. redemption) (2) DaZe mm/ddf!fy (3) (4) Value Gain Code 2 Code I (J-P) (A-H) (5) Identi~y of buyer/seller (if private transaction)

(2)
Type (e.g.,

exempt from prior disclosure

i Code I i (A-H)

div., rent, or int.)

of reporting period (t) (2) Value Value Code 2 Method (.l-P) Code 3 (Q-W)

184. WESTERLY RI DTD 8/I/01 5% MUNICIPAL BOND 185. WHIRLPOOL CORP. COMMON STOCK 186. 187. WILLIAMS COS, INC. COMMON STOCK 188. WINDSTREAM CORP. COMMON STOCK
189. XL GROUP PLC COMMON STOCK

B A

Interest Dividend Buy (addl) Sold 02/09/I 0 12/06/10 05/26/10 J K

A C B A A

Dividend Dividend Dividend Dividend Dividend Dividend Dividend

K K L

Buy (addl)

Buy (addl) Sold

09/10/10 K 03/17/10 K D

NAME CHANGE

190. XEROX CORP. COMMON STOCK 191. XILINX, INC. COMMON STOCK

K K L

T T T Buy (addl) Buy (addI) 03/02/10 J 01/07/10 K

192. YUM! BRANDS, INC. COMMON STOCK A 193. ZURICH FINL SVCS ADR COMMON STOCK 194. BROKERAGE ACCOUNT # 7 195. B OF A MUNI RESERVES DLY CASH 196. BIF TAX EXEMPT FUND CASH 197. RHODE ISLAND HSG & MTG FIN CORP. MUNI BONDS 198. SMITHFIELD RI GO BDS SER. 2003 MUNI BONDS 199. BROKERAGE ACCOUNT # 8 200. ESTATE # I - CMA MONEY FUND A A A B B C

Interest Interest Interest Interest

N J L L

T T T T

NAME CHANGE Buy 01/01/10

Dividend

Closed

12/31/10 J

I, Income Gain Codes: (See Columns BI and D4) 2. Value Co&~s (See Columns CI and D3) 3. Value Mclhod Codes (See Column C2I

A -$ [ ,000 or less F =$50.001 - $100.000 J =515.000 or less N =$250.0~1 - $500.00fl P3 =$25,000.001 - 550.0OI.000 Q :Appraisal U Book Value

B =$ 1,001 - $2,500 O =$100.001 - $1.000,000 K =$15.001 - $50.000 O =550~.001 - $1,000.0~) R =Cos~ (Real Estate Only) V =O~her

C =$2,501 - $5,000 II1 =$1.000.001 - $5.000.000 L =550.001 - $ 100.000 PI =51.000,001 - 55.000,0~) P4 =More than S :Assessment W =Estimated

D = $5.001 - 515.000 112 =More ~han $5.000.000 M =$10~.001 - $250.000 P2 =$5.000.001 - $25,000.000 T =Cash Markel

E =$15,001 - $50.~

FINANCIAL DISCLOSURE REPORT Page 17 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/201 I

I VII. INV ESTMENTS and TRU STS -i ........,,e, transactlon~ (Includes those of spouse and dependent children; seepp. 34-60 of f!llng instructlon~.)
[] NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period I (0 (2) Amount Type (e.g., Code I div., rent, (A-H) or int.) l C. Gross value at end of reporting period (i) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (I) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value Gain mm/dd?yy Code 2 Code I (J-P) (A-H) (5) ldenlity of buyer/seller (if private laansaction)

201. ESTATE # 2 - CMA MONEY FUND 202. WESTERLY RI AMBAC B/E CPN .5% MUNI BOND
203. BROKERAGE ACCOUNT # 9

A B

Dividend Interest

K L

T T Buy 06/08/10 L

204. BANK OF AMERICA CORP. COMMON


STOCK

A A

Dividend Dividend

T Sold 08/10/10 K D

205. GOLDCORP, INC. COMMON STOCK 206. ML BANK DEPOSIT PROGRAM

Dividend

I. Income Gain Codes: (See Columns BI and D4) 2. Value Codc.s (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 ot less 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 = S I S.001 - $ 50.000 O =$500,001 - $1,000.000 R =Cost (Real ~tat O~ly) V =Olher

C =$2,501 - $5.000 II I =$1,000.001 - $5,000.000 L ~$ 50.001 - $ 100.000 PI =$1,000.001 . $5.000,000 P4 =More than $50.000,000 S =Asscssmen! W =Esfimaled

D =$5.0OI - $15.000 112 =More than $5,000.(~00 M =$ I 0~.001 - $250.000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15.001 - $50.000

FINANCIAL DISCLOSURE REPORT Page 18 of 19

Name of Person Reporting SELYA, BRUCE M.

Date of Report 05/15/201 I

VIII. ADDITIONAL INFORMATION OR EXPLANATIONS.

FINANCIAL DISCLOSURE REPORT Page 19 of 19 IX. CERTIFICATION.

Name of Person Reporting SELYA, BRUCE M.

Dale of Report 05/15/2011

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 ~vithheld 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 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.

Signature: S[ BRUCE M. SELYA

NOTE: ANY INDIVIDUAL 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)

Committee on Financial Disclosure Administrative Office of the United States Courts Suite 2-301 One Columbus Circle, N.E. Washington, D.C. 20544

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