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6.

AO JO Rev.

11201 I

FINANCIAL DISCLOSURE REPORT

FOR CALENDAR YEAR 2010

Report Required by the Ethics in Gowrnment Act of 1978

(5 U.S.C. app. §§JOI-I I I)

I. Person Reporting (last name, first, middle initial)

2. Court or Organization

3. Date of Report

SEL YA, BRUCE M. UNITED STA TES COURT OF APPEALS

05/15/2011

4. Title (Article Ill judges indicate active or senior status; 5a. Report Type (check appropriate type) 6. Reporting Period magistrate judges indicate full- or part-time)

D

Nomination. Date

01/01/2010

US CIRCUIT JUDGE- SENIOR STATUS

D

Initial

[{]

Annual

0

Final to

12/3112010

sh. D

Amended Report

7. Chambers or Office Address 8. On the basis oftbe information contained in thi• Report and any modifications pertaining thereto, ii is, in my opinion, in compliance

316

FEDERAL COURTHOUSE with applicable laws and regulations.

ONE EXCHANGE TERRACE PROVIDENCE, RI

02903

Re\iewiog Officer Date

IMPORTANT NOTES:

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 page.

I. POSIT I 0 NS. (Reporting individual only; see pp. 9-13 of filing instruc:tions.)

D

NONE

(No reportable positions.)

POSITION

NAME OF ORGANIZATION/ENTITY

I. GENERAL PARTNER< INVESTMENT PROPERTY ONLY> FRIENDSHIP REALTY GROUP (REAL ESTATE GENERAL PARTNERSHIP)

2.

GENERAL PARTNER< INVESTMENT PROPERTY ONLY> SEL YA PROPERTIES (REAL ESTATE GENERAL PARTNERSHIP)

3.

JUDICIAL COUNCIL CHAIRMAN RI STATE- FEDERAL JUDICIAL COUNCIL

4.

TRUSTEE EMERITUS RHODE ISLAND HOSP IT AL (A NON-PROFIT CORPORATION)

5.

TRUSTEE EMERITUS BRYANT UNIVERSITY

DIRECTOR LIFESPAN CORPORATION (NON-PROFIT HOLDING COMPANY

FOR RHODE ISLAND, MIRIAM, EMMA P BRADLEY

&

NEWPORT HOSPITALS)

7.

ADJUNCT PROFESSOR BOSTON COLLEGE LAW SCHOOL

8.

ADJUNCT PROFESSOR BOSTON UNIVERSITY LAW SCHOOL

9.

DIRECTOR HOSPITAL ASSOCIATIONS OF RHODE ISLAND (A NON-PROFIT

CORPORATION)

IO. LIMITED PARTNER POCASSET VILLAGE ASSOCIATES (REAL ESTATE LIMITED

PARTNERSHIP)

11.

DIRECTOR ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW

12.

ADJUNCT PROFESSOR ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW

13.

EXECUTOR ESTATE# I

14.

EXECUTOR ESTATE#2

(2)

Page 2of19

15. MEMBER

Dale or Report

Name or Person Reporting

FINANCIAL DISCLOSURE REPORT

SEL YA, BRUCE 1\1.

05/15/2011

YDNIC, LLC (REAL ESTATE INVESTMENT SINGLE MEMBER LLC)

II. AGREEMENTS. (R porting indMdua/ only; supp. U-16 of filing instructions.)

[{]

NONE (No reportable agreements.)

PARTIES AND TERMS

I.

2.

3.

(3)

Date of Report

Name of Person Reporting

FINANCIAL DISCLOSURE REPORT

05/15/2011

SELY A, BRUCE 1\1.

Page 3of19

III. NON-INVESTMENT INCOME.

(Reportingindfridualand spouse;mpp.17-Uoffiling instructions.)

A.

Filer's Non-Investment Income

D

NONE

(No reportable non-investment income.)

SOURCE AND TYPE

I. 2010

ROGER WILLIAMS UNIVERSITY SCHOOL OF LAW - ADJUNCT

PROFESSOR

INCOME

(yours, not spouse's)

$25,000

2.

3.

4.

B.

Spouse's Non-Investment Income

-I/you were married during any portion of the reporting rear, complete this section. (Dollar amount not required except for honoraria.)

[{I

NONE

(No reportable non-investment income.)

SOURCE AND TYPE

I.

2.

3.

4.

IV. REIMBURSEMENTS

-transportation, lodging.food, entertainment.

(Includes those to spouse and dependenr children; see pp.

25-27

of filing instructions.)

[{I

NONE

(No reportable reimbursements.)

SOURCE

DATES

LOCATION

PURPOSE

ITEMS PAID OR PROVIDED

I.

2.

3.

4.

5.

(4)

4.

Name of Person Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 4of19

SEL YA, BRUCE 1\1.

05/15/2011

V. GIFTS.

(Includes those to spouu and dependent children; supp.

28-31

of filing instructions.)

[{]

NONE

(No reportable gifts.)

SOURCE

DESCRIPTION

VALUE

I.

2.

3.

5.

VI. LIABILITIES.

(Includes those of spouse and dependent children; see pp.

32-33

of filing instructions.)

D

NONE

(No reportable liabilities.)

CREDITOR

DESCRIPTION

VALUE CODE

I.

BANK RHODE ISLAND

MORTGAGE (FRIENDSHIP RL TY GRP-40%)

L

2.

3.

4.

5.

(5)

(2)

(I)

(2)

Name of Penon Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 5of19

SEL YA, BRUCE 1\1.

05/15/2011

VII. INVESTMENTS and TR u STS

-income, value, transactions (Includes those of spouse and dependent children; SU pp. 34-60 of filing instructions.)

D

NONE

(No reportable income, assets, or transactions.)

A. B. c. D.

Description of Assets Income during Gross value at end Transactions during reporting period (including trust assets) reporting period ofreporting period

(I) (2) (I) (3) (4) (5)

Place "(X)" afier each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity of exempt from prior disclosure Co<le I div., rent. Code 2 Method buy, sell, mm/dd/yy Code 2 Code I buyer/seller

(A-H) or int.) (J-P) Code 3 redemption) (J-P) (A-H) (if private

(Q-W)

transaction)

I. BROKERAGE ACCOUNT#I

2. FRIENDSHIP REALTY 40%, LINCOLN, E Rent N w

RI APARTMENT BUILDING

3.

MA INVESTOR TRUST MUTUAL FUND A Dividend J T

4. MAXCO, INC. COMMON STOCK None J T

5. MET LIFE COMMON STOCK A Dividend K T

6.

ORBIS INC 1.9% COMMON STOCK None J w

7. PHOENIX COMMON STOCK A Dividend J T

8.

POCASSET VILLAGE ASSOC 2.5%, G Rent M w

CRANSTON, RI APARTMENT BUILDING

9. SEL YA PROPERTIES 50%, B Rent M w

PROVIDENCE, RI RESIDENTIAL CONDO

10. SILVER RESOURCES, INC COMMON None J w

STOCK

11. WASHINGTON TRUST BANCORP A Dividend

J

T

12. YDNIC, LLC REAL ESTATE, G Rent Pl w

PORTSMOUTH, NH

13. AGAWAM HUNT NOTE RECEIVABLE A Interest J T Buy 01/01/10 J

14. BROKERAGE ACCOUNT#2

15. BANK OF AMERICA CHECK\SA V B Interest N T

ACCT PROV RI

16. BANK OF RHODE ISLAND CHECK\SAV A Interest J T

PROV RI

I. Income Gain Codes: A =$1.000 or less ll =$1,001 -$2.500 c =$2.501 - $5.000 D =S5.001 -$15,000 E =$15.001-$50.000

(Sec

Columns

BI and

D4)

f =$50.001 -$100.000 G =S 100.00 I -S 1.000.000 Ill =Sl.000.001 -S5.000.000 112 =More than $5.000.000 2. V<ilul!' Co,k-s J =S 15.000 or less K =$15.001 -$50.000 L =$50.001 - SI00.000 M =SI00.001 - $250.000

(Sec Columns Cl and DJ) N =$250.001 -$500.000 0 =$500.001 -Sl.000.000 Pl =Sl.000.001 - $5.000.000 P2 =$5.000.001 -$25.000.000

P3 =$25.000.001 - $50.000.000 P4 =More than $50.000.000

3. Value M..:thod CcKk"S

Q

=Appraisal R =Cost (Real Estate Only) S =Assessment T =Cash Market

(6)

A.

B.

Page 6of19

Name of Penon Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

SEL YA, BRUCE 1\1.

05/15/2011

VII. INVESTMENTS and TRUSTS

-ineome, valu e, transactions <1ne1udn1houofs pouseanddependen1ehildren;supp. 1-1-600/filincin•truetions.J

D

NONE

(No reportable income. assets, or transactions.)

Des c ription of As set s Income during

c.

D.

Gross value at end Trans ac tions du r ing rep orting period (incl uding t r us t as set s ) reportingperiod of reporting period

(I) (2) (I) (2) (I) (2) (3)

(4)

(5)

Place "{X)" after each asset Am ount Type (e.g., Value Value Type (e.g., D ate Value Gain Identity of exemp t from prior disclosure Code l div., rent, Code2 Met hod buy, sel l, m m'dd/yy Code2 Code I buyer/sel ler

(A-H) or int .) (J-P) Code3 redemption) (J-P) (A-11) (if private

(Q-W)

transaction)

17.

CAMBRIDGE SAVINGS BANK A Interest L T SAVINGS ACCT CAMBRIDGE MA

18.

RBS CITIZENS SAVINGS ACCT PROV B Interest K T

RI

19.

RBS CITIZENS IRA - SAVINGS CD B Interest K T

20.

FIDELITY SERVICE COMPANY DAILY A Dividend K T INCOME TRUST MONEY MKT

21.

BROKERAGE ACCOUNT#3

22.

PHOENIX MUTUT AL LIFE INS CO CSV None

1

T

23.

BROKERAGE ACCOUNT#4

24.

BRISTOL COUNTY RI WATER MUNI B Interest K T BOND

25.

MERRILL LYNCH CASH MNGMT B Dividend N T ACCT.

26.

PAWTUCKET RI BOND MUNI BOND

c

Interest M T Buy

06/04/10

K (add'I)

27.

PROVIDENCE RI PUBLIC BUILDINGS A Interest K T BOND MUNI BOND

28.

PUERTO RICO COMM PUB IMPROV B Interest K T BONDS MUNI BOND

29.

PUERTO RICO ELECTRIC POWER B Interest K T Buy

08/23/10

K

BONDS MUNI BOND (add'I)

30.

Sold

07/01/10

K A

(part) 31. RHODE ISLAND DEPOSITORS BONDS

c

Interest L T

MUNI BOND

32. RI HEALTH

& EDUCATIONAL

D Interest N T Sold

08/16/10

J

A

BUILDING CORP MUNI BOND (part)

33. Buy

05106110

K

(add'!)

I. Income Gain Codes: A =$1.000 or less ll =$1.001 -$2.500 c =$2.501 -$5,000 D =$5,001 - $15,000 E =Sl5.00I -S50.000

(See Columns Bl and 04)

f

=$50.001. $100.000

G =$100.001 -$1.000.000 111 =Sl.000,001 -$5.000.000 112 =More than $5.000.000

2. Valui: Codes J =S 15.000 orlcss K =SI 5.001 • $50.000 L =S50.00I -SI00.000 M =SI00.001 - S250.000 (See Columns Cl and 03) N =$250.00 I - S500.000 0 =S500.00I - Sl.000.000 Pl =Sl.000.001 - S5.000.000 P2 =S5.000.00I -$25,000.000

P3 =$25.000.00 I - $50.000.000 N =More than $50.000.000

3. Value Method Codes Q =Appraisal K =Cost (Real Estate Only) S =Assessment T =Cash Markel

(7)

STOCK

B.

(2) (5)

Name of Person Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 7of19

SEL YA, BRUCE M.

05/15/2011

v II. INVESTMENTS and TR u ST s

-incomt', va/11t', transadions (lnc/11dn those of spousund dt'pendtnt chi/dun; St'<' pp. 34-60 of filing instructions.)

D

NONE

(No reportable income, assets, or transactions.)

A. c. D.

Description of Assets Income during Gross value at end Transactions during reporting period

(including trust assets) reporting period

of

reporting period

(I) (2) (I) (2) {I) (3) (4)

Place "(X)" after each asset Amount Type (e.g., Value Value Type (e.g.• Date Value Gain Identity of

exempt from prior disclosure Code I div.,

rent,

Code2 Method buy, sell, mm/dd/yy Code2 Code I buyer/seller

(A-H) or int.) (J-P) Code 3 redemption) (J-P) (A-H) (if private

(Q-W)

transaction)

34. RI HOUSING

&

MORTGAGE FINANCE D Interest M T

CORP BONDS MUNI BOND

35.

RI

PROV PLANT A TIO NS BOND MUNI D Interest N T

BOND

36. RHODE ISLAND CLEAN WATER BOND

c

Interest M T

MUNI BOND

37. WARWICK RI BOND MUNI BOND A Interest K T

38. AGILENT TECHNOLOGIES INC. A Dividend

J

T

COMMON STOCK

39. BARRICK GOLD CORPORATION A Dividend L T

STOCK

40. DELL INC COMMON STOCK A Dividend

J

T

41. GLAXO SMITHKLINE PLC COMMON A Dividend K T

STOCK

42. INTEL CORP COMMON STOCK A Dividend

K

T

43. NEWMONT MINING CORP. STOCK A Dividend L T

44. NTN BUZZTIME INC. COMMON STOCK A Dividend

J

T

45. VERIGY LTD COMMON STOCK A Dividend

J

T

46. WELLS FARGO

&

CO COMMON A Dividend K T

47. BROKERAGE ACCOUNT#5

48. BANK OF AMERICA - INTEREST A Interest

K

T

CHECKING

49. ANADARKO PETRO CO. COMMON A Dividend K T

STOCK

50.

8

OF A T AX EXEMPT RESERVES CASH A Dividend

L

T

FUND

NAME CHANGE

I. Income Gain Codes: A =$1.000 or less B =$1,001 -$2,500 C =$2,501 - Sl.000 D =$5.001 - Sll.000 E =Sl5.00I - S50.000

(See Columns

BI and

D4)

f =$50.001 - $100.000

G =S I00.00 I - S 1.000.000 HI =SL000.001 - S5.000.000 112 =More than $5.000.000 2. Value Codes J =S 15.000 or less K =$15.001 - Sl0.000 L =Sl0.00 I - SI 00.000 M =SI00.001 - $250.000

(Sec Columns Cl and DJ) N =S250.00J - $500.000 0 =$500,001 - Sl.000.000 Pl =Sl.000.001 - Sl.000.000 P2 =$5.000.001 - $25,000.000 pJ =$25.000.001 - $50.000.000 N =More than $50.000.000

J. Value Method Codes Q =Appraisal R =Cost (Real Estate Only) S =Assessment T =Cash Market

(8)

c.

D.

(2) (3)

(4)

Name of Person Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 8of19

SELVA, BRUCE

1\1. 05/15/2011

VII. INVESTMENTS and TRUSTS

-income, value, transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instructions.)

D

NONE

(No reportable income, assets, or transactions.)

A.

B.

Description of Assets Income during Gross value at end Transactions during reporting period (including trust assets) reporting period of reporting period

(I) (2) (I) (2) (I)

(5)

Place

"(){)" afler each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain ldenlity of exempt from prior disclosure Code I div., rent, Code 2 Method buy, sell, mm/dd/yy Code 2 Code I buyer/seller (A-H) or int.)

(J-P)

Code 3 redemption)

(J-P)

(A-H) (if private

(Q-W)

transaction)

51. FRONTIER COMMUNICATIONS F/KJA A Dividend

J

T

IDEARC, INC COMMON STOCK

52. IDEARC, INC. COMMON STOCK A Dividend Sold

53. MA INVESTORS TRUST MUTUAL A Dividend

J

T

FUND

54. MAXCO, INC. COMMON STOCK A Dividend

J

T

55. ONEOK, INC. COMMON STOCK B Dividend K T

56. PERKINELMER INC. COMMON STOCK A Dividend K T

57. PINNACLE WEST COMMON STOCK A Dividend

J

T

58. QWEST COMMUNICATIONS COMMON A Dividend

J

T

STOCK

59. SOUTH AMERICAN MINERALS A Dividend

J

T

COMMON STOCK

60. TEXTRON, INC. COMMON STOCK A Dividend K T

61. UNION PAC CORP COMMON STOCK B Dividend L T

62. VERIZON COMMUNICATIONS A Dividend

J

T

COMMON STOCK

63. WASHINGTON TRUST COMMON A Dividend

J

T

STOCK

64.

FAIRPOINT COMMUNICATIONS INC. A Dividend

J

T

65. BROKERAGE ACCOUNT#6

66. 3M CORP. COMMON STOCK B Dividend L T Buy

(add'I)

67. ABBOTT LABS COMMON STOCK B Dividend K T Buy

(add'I) NAME CHANGE/ SPINOFF 01/01/10

J

A 05/03/10 K 03/30/10

J

I. Income Gain Codes: A =$1.000 or less B =$1,001 -$2.500 c =$2.501 - $5,000 0 =$5.001 - s 15.000 E =$15.001 - $50.000

(See

Columns Bl and 04) f =

SS

0.00 I -

SI

00.000 G =SI00.001 -$1.000.000 Ill =$1.000.001 - $5.000.000 112 =More 1han $5.000.000

2. Value Codes J =$15.000 or less K =Sl5,00I - $50.000 L =SS0.001 -SI00.000 M =SI00.001 - $250.000 (Sec Colum Cl and DJ) N =$250.001 - $500.000 0 =S500.00 I - S 1.000.000 Pl =Sl.000.001 -$5.000.000 P2 =S5.000.001 - S25.000.000

PJ =$25.000.001 - $50.000.000 P =More than $50.000.000

J. Value Melhod Codes

Q

=Appraisal K =Cosl (Real Es1a1c Only) S =Assessment T =Cash Markel (Seo Column

C2)

U =Book Value V =Olhcr W =Estima1cd

(9)

Name of Person Reporting Dale of Report

FINANCIAL DISCLOSURE REPORT

Page 9of19

SELYA, BRUCE 1\1. 05/15/2011

VII. INVESTMENTS and TRUSTS

-income, ··a1ue, transactions r1nc1udes those of spouse and dependent children: see PP. J4-6o of filing

D

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

A. B. c. D.

Description of Assets Income during Gross value at end Transactions during reporting period (including trust assets) reporting period of reporting period

instructions.;

(I) (2) (I) (2) (I) (2) (3) (4) (5) Place "{X)" after each asset Amount Type (e.g .• Value Value Type (e.g., Date Value Gain Identity of exempt from prior disclosure Code I div., rent, Code2 Method buy. sell, rnm1dd/yy Code 2 Code I buyer/seller (A-H) or int.) (J-P) Code3 redemption) (J-P) (A-H) {if private

(Q-W) transaction)

68. ACE, LTD COMMON STOCK A Dividend K T Buy 04/20/10 K

69. AFLACK, INC. COMMON STOCK B Dividend L T Buy 05/27/10 K (add'l)

70. AIR PRODUCTS & CHEMICALS, INC. B Dividend L T Buy 01/26/10 L COMMON STOCK

71. ALLSTATE CORP. COMMON STOCK A Dividend K T

72. AMERIPRISE FINANCIAL, INC. A Dividend K T Buy 03/30/10 J

COMMON STOCK (add'!)

73. AMGEN INC. COMMON STOCK A Dividend K T Buy 01/05/10 K (add'!)

74. ANALOG DEVICES, INC. COMMON B Dividend L T STOCK

75. AOL, INC. COMMON STOCK A Dividend Sold 02/26/10 J A

76. APACHE CORP COMMON STOCK A Dividend L T

77. ARIZONA BRO REGENTS 5% D Interest M T MUNICIPAL BOND

78. AT&T INC COMMON STOCK c Dividend L T

79. AUTOMATIC DATA PROCESSING INC. B Dividend K T COMMON STOCK

80. BLACKROCK, INC. COMMON STOCK A Dividend Buy 05/27/IO K

81. Sold I 1/10/10 K A

82. BNY MELLON MONEY MARKET CASH A Interest Sold 03/18/10 Pl A FUND

83. BNY MELLON NTL INTER MUNI D Interest M T BONDS

84. BOONE-FLORENCE WTR SUPPLY c Interest L T Buy 04/27/10 L MUNI BOND

I. Income Gain Codes: A =$1,000 or less B =$1,001 -$2.500 c =$2.501 - $5.000 D =$5.001 - $15,000 E =Sl5.00I - $50.000

(See Columns Bl and 04) F =$50.001 -$100.000 G =$100.001 -Sl.000.000 Ill =$1.000.001 -$5.000.000 112 =More than $5.000.000

2. Value Codes J =$15.CXJOodcss K =SI 5.001 -$50.000 L =$50.001 - SI00.000 M =SI00.001 -$250.000

(Sec Columns CI and D3) N =$250.00 I - S500.000 o =$500.001 -Sl.000.000 Pl =Sl.000.001 - $5.000.000 P2 =$5.000.001 -$25.000.000

PJ =$25.000.001 - $50.000.000 N =More than $50.000.000

3. Value Method Codes Q =Appraisal R =Cost (Real Estate Only) S =Asscssm1..11t T =Cash Market

(10)

Name of Person Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 10of19

SEL YA, BRUCE l\I.

05/15/2011

VI I. INVESTMENTS and TRUSTS -

income, ··atue, transactions <Includes those of spouse and depem/mt childrm; see pp. 1<1-60 of Ji ting instructions.)

D

NONE

(No reportable income, assets, or transactions.)

A . B. c. D.

Descripti on of Asse ts Income during Gross value at e n d T ransactions d uring rep oning pe riod (inclu ding trus t asse ts) re poning period of re poning pe riod

(I)

Place "(X)" afle r e ach asset A m ou nt exemp t from p rior disclos ure Code

I

(A-HJ

85.

BRISTOL RI DTD

2115/10 4.5%

MUNI B BOND

86.

CANON, INC. COMMON STOCK A

87.

CARDINAL HEAL TH, INC. COMMON B

STOCK

88.

CENTERPOINT ENERGY, INC. B

COMMON STOCK

89.

CHEVRON CORPORATION COMMON B

STOCK

90.

CHUBB CORP. COMMON STOCK B

91.

CISCO SYS INC. COMMON STOCK A

92.

CONOCOPHILLIPS COMMON STOCK

c

93.

CRA BNY MELLON, N.A. CASH A

94.

95.

DENSO CORP COMMON STOCK A

96.

DISTRICT COLUMBIA DTD

5/21/08

A

MUNICPAL BOND

97.

DONNELLEY R R

&

SONS CO.

c

COMMON STOCK

98.

DUPONT AND COMPANY COMMON B

STOCK

99.

EA TON CORP. COMMON STOCK B

JOO.

EMERSON ELECTRIC CO. COMMON B STOCK

IOI. EXELON CORP COMMON STOCK B

(2)

(I)

Type (e .g., Value div., rent, Code 2 or in t .) (J-P) Interest L Dividend Dividend L Dividend K Dividend L Dividend K Dividend L Dividend L Interest

0

Dividend K Interest Dividend L Dividend K Dividend L Dividend L Dividend (2)

(I)

Value Type (e .g . • Me thod buy, se ll, Code

3

re de mption)

(Q-W)

T Buy Sold T Buy (add'I) T Buy T Buy (add'!) T Buy (add'!) T T Buy (add'I) T Buy Sold (part)

T

Buy Matured T Buy (add'I) T Buy (add'I) T Buy (add'I) T Buy (add'I) Buy (add'I) (2)

(3)

(4)

(5)

Date Value Gain Ide ntity of mm'dd/yy Code 2 Code

I

buyer/s e lle r

(J-P)

(A-H) (if p rivate tra nsact ion)

02/10/10

L

05/03/10

K

c

04/29/10

K

12/02/10

K

03/05/10

J

03/29/10

J

02/22/10

K

01/01/10

Pl

12/17/10

Pl A

09115/10

K

03/25/10

M A

09117/10

K

11/IO/IO

K

02/17/10

K

04/29/10

K

04/14/10

K

I. Income Gain Codes: A =$1.000 or less ll=Sl,001 -$2.500 c =$2.501 -$5.000 D =$5.001 -$15.000 E =$15.001 -SS0.000

(See Columns

BI

and D4)

F

=$50.001 - $100.000

G =SI

0 0

.

001 - $1.000.000

111

=Sl.000.001 -$5.000.00

0

112 =More than SS.000.000 2. Value Codes J :cS I .000 or h..""Ss K =SI 5.001 -$50.000 L =SS0.00 I -SI 00.000 M =SI00.001 -$210.000

(Sec Columns Cl and DJ) N =$250.001 - $100.000 0 =$500.00 I -$ 1.000.000 Pl =Sl.000.001 -SS.000.000 P2 =Sl.000.001 - $25.000.000

Pl =$21.000.001 -$50.000.000 P4 =More than $50.000.000

3. Value Method Codes

Q

=Appraisal R =Cost( Real Estate Only) S =As.scssmcnl T =Cash Markel

(11)

Name of Penon Reporting

Date of Report

FINANCIAL DISCLOSURE REPORT

Page 11 of 19

SEL YA, BRUCE 1\1.

0511512011

VII. INVESTMENTS and TRUSTS

-im:om .. , vatue, transactions r1nc1udes1hoseofspous .. and dep enden1chitdren:se

..pp. 34-60 offilincinsrructions.)

D

NONE

(No reportable income, assets, or transactions.)

A.

B.

c.

D.

Description of Assets Income during Gross value at end Transactions during reponing period (including trust assets) reponing period ofreponing period

(I)

(2)

(I)

(2)

(I)

(2) (3)

(4)

(5)

Place "

(X)

" after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity of

exempt from prior disclosure Code

I

div., rent, Code 2 Method buy, sell, mm/dd/yy Code2 Code

I

buyer/seller (A-H) or int.) (J-P) Code 3 redemption) (J·P) (A-H) (if private

(Q-W)

transaction)

102. Sold 12/02110 K A

103. EXXON MOBIL CORP. COMMON

c

Dividend M T Buy 03112/10 K

STOCK (add'!)

104. GENERAL ELECTRIC CO. COMMON B Dividend L T Buy 05/03/10

J

STOCK (add'!)

105.

GENERAL MILLS, INC. COMMON B Dividend K T Buy 12/06/10 K

STOCK

106. GENUINE PARTS CO. COMMON B Dividend K T Buy 04115110 K

STOCK

107. GOLDMAN SACHS GROUP, INC. A Dividend

L

T Buy 03/25110 K

COMMON STOCK (add'!)

108. HARRIS CORPORATION COMMON A Dividend K T Buy 04/05/10 K

STOCK (add'!)

109. HEAL TH CARE REIT, INC. COMMON B Dividend Sold 03/26/10 K B

STOCK

110.

HOME DEPOT, INC. COMMON STOCK

c

Dividend M T Buy 02/17/10 K

(add'!)

111. HONEYWELL INTL INC COMMON B Dividend L T Buy 02/22/10

J

STOCK (add'!)

112. HOSPIRIA INC. COMMON STOCK A Dividend K T Buy 05104110 K

(add'!)

113

. HUDSON CITY BANCORP, INC. A Dividend Buy 02/22/10

J

COMMON STOCK (add'!)

114. Sold 04/20/10 K A

115. INDIANAPOLIS IND PUB IMPT om B Interest L T Buy 02/03/IO L

2/17/10 5% MUNI BOND

116. INTEL CORP COMMON STOCK B Dividend L T

117. INTERNATIONAL BUSINESS A Dividend K T Buy 05/04/10 K

MACHINES CORPORATION COMMON STOCK

I . Income Gain Codes: A =$1.000 or less ll =$1,00 I

-

$2.500 c =$2.501 - $5.000 D =S5.00I - $15,000 E =S 15,00 I - $50.000

(Sec Columns BI and D4)

f =$50.001 - $100.000 G =SI00.001

-S

l.

000

.

000

111 =$1.000.001 - $5.000.000 fl2 =More than $5.000.000

2. Value Codes J =St 5.000 or less K =$15,001 -$50.000 L =$50.00 I -SI 00.000 M =SI 00.001 - $250.000 (Sec Columns Cl and 03) N =S250.00t - $500.000 0 =$500,001 - Sl.000.000 Pl =Sl.000.001 - $5.000.000 P2 =$5,000.001 -$25,000.000

P3 =$25.000.00 I - $50.000.000 N =More than $50.000.000

J. V:iluc Method Codes Q =Appraisal R =Cost (Real Estate Only) S -=Assessment T =Cash Market (Sec Column C2) U =Hook Value V =Other W =Estimated

(12)

c.

(1)

Name of Penon Reporting

Date

of Report

FINANCIAL DISCLOSURE REPORT

Page 12of19

SELY A, BRUCE M.

05/15/2011

VII. INVESTMENTS and TRUSTS

-incoml!, valut!, transadions (Includes thosl! of spouu and depmden1 childun; su PP. 34-60 of filing instructions.J

D

NONE

(No reportable income, assets, or transactions.)

A.

B.

D.

Descrip tion of As sets Income during Gross value at end T ransactions d uring re p orting period (in cluding trust assets) reportingperiod of rep orting period

(I) (2) (2)

(I)

(2) (3)

(4)

(5)

Amou n t Type (e.g., Value Value Type (e.g., D ate Value Gain Id en tity of exempt from prior disclosu re

Place

"(X)" after each asset

Code 1 d iv., rent, Code2 Method buy, sell, mm/ddlyy Code2 Code I buyer/seller

(A-H) or int)

(J-P)

Code3 redemp t ion)

(J-P)

(A-H) ( if private

(Q-W)

transaction)

118. INVESCO LIMITED COMMON STOCK B Dividend L T Buy 05127/10 K

119. JOHNSON

&

JOHNSON COMMON B Dividend K T Buy 03/19/IO

1

STOCK

(add'l)

120. KELLOGG CO. COMMON STOCK B Dividend K

T

Buy 01/04/10 K

(add'I)

121. KILLEEN TEX DID I 0/1/2004 4% MUNI B Interest L

T

Buy 02/17/10 L

BOND

122.

KRAFT

FOODS, INC. COMMON STOCK B Dividend L

T

Buy 05113110 K

(add'l)

123. LEGGEIT

&

PLAIT, INC. COMMON B Dividend Sold 03/02/10 K A

STOCK

124. LIMITED BRANDS, £NC. COMMON B Dividend

L

T

Buy 02/18/10 K

STOCK (add'I)

125. LORILLARD, £NC. COMMON STOCK

c

Dividend L T Buy 05/12/IO K

(add'I)

126. LUZERNE CNTY PA DID 12/14/06 A Interest M T

MUNICIPAL BOND

127. MARSH

&

MCLENNAN COS, INC. A Dividend Buy 03/25/10

1

COMMON STOCK (add'l)

128. Sold 04/21/10 K A

129. MCDONALD'S CORPORATION B Dividend K T Buy 03/23/IO

J

COMMON STOCK (add'I)

130. MCGRAW HILL COMPANIES, lNC. A Dividend K T

COMMON STOCK

131. MEDTRONIC INC COMMON STOCK B Dividend K T Buy 04/26/IO K

(add'I)

132. MERCK

&

CO., £NC. COMMON STOCK

c

Dividend L T Buy 02/01/10

1

(add'I)

133. MICROCHIP TECHNOLOGY, INC. B Dividend L T

COMMON STOCK

134. MICROSOFT CORPORATION COMMON B Dividend L T Buy 02/19/10 L

STOCK (add'I)

I. Income Gain Codes: A =$1.000 or less ll =$1.00I · $2.SOO c =$2,.101 • $5,000 D =SS,OOt · StS.000 E =SIS,001 - SS0.000

(See Columns

B 1

and 04)

f

=$50.001 - $100.000

G

=$I 00.00

I-S 1.000.000 HI =Sl.000.001-SS.OOO.OOO 112 =More than SS.000.000

2. Value Codes J =SI 5.000 or less K =SIS.001 -SS0.000 L =SS0.001 -SI00.000 M =SI00.001 -$250.000

tScc Columns Cl and DJ) N =$250.001 -S 00.000 O=S500.001 ·Sl.OOO.OOO Pl =Sl.000.00t -SS.000.000 P2 =SS.000.001 - $25.000.000

PJ =S2S.OOO.OO I · $50.000.000 P4 =More than SS0.000.000

3. Value Method Codes

Q =Appraisal

R =Cosi tRc:il Estate Only) S =Assessment T =Cash Markct

(13)

B.

(I) (2) (2)

(5)

Name or Person Reporting

Date or Report

FINANCIAL DISCLOSURE REPORT

Page 13of19

SELYA, BRUCE M.

05/15/2011

VII. INVESTMENTS and TRUSTS

-income, vatue, transactions r1 nc1udes1houofspouseanddep endm1childun;supp. 1-1-600/Jitinginsrruc1ions.)

D

NONE

(No reportable income, assets, or transactions.)

A.

Description of Assets Income during

c.

Gross value at end

D.

Transactions during reporting period

(including trust assets) reporting period of reporting period

(I) (2) (I)

(3)

(4)

Place "(X)" after each asset Amount Type (e.g.• Value Value Type (e.g., Date Value Gain Identity of

exempt from prior disclosure Code

I

div.,

rent.

Code2 Method buy, sell. mm/dd/yy Code2 Code I buyer/seller

(A-H) or int) (J-P) Code) redemption) (J-P) (A-H) (if private

(Q-W)

transaction)

135.

NEW HAMPSHIRE HEALTH & ED DTD D Interest M T

3/12/02

MUNICIPAL BOND

136.

NEWPORT RI DTD

4/1/2010

5% MUNI

B

Interest

L

T

Buy

03/17/IO

L

BOND

137.

NINTENDO OF AMERICA LTD. A Dividend K T

COMMON STOCK

138.

NOMURA HOLDINGS INC. COMMON A Dividend K T Buy

04/20/10

K

STOCK

139.

NOKIA CORP. COMMON STOCK A Dividend Sold

03/10/10

J

A

140.

NORFOLK SOUTHERN CORPORATION B Dividend L T Buy

04/28/10

J

COMMON STOCK (add'!)

141.

NOV ARTIS AG COMMON STOCK B Dividend

L

T

Buy

03/30/10

J

(add'!)

142.

OAO GAZPROM SPONSORED ADR A Dividend K T Buy

09/08/10

K

COMMON STOCK

143.

OCCIDENTAL PETROLEUM CORP. A Dividend K T Buy

01/28/10

J

COMMON STOCK (add'

I)

144.

OLIN CORP. COMMON STOCK A Dividend K T

145.

OMNICOM GROUP INC. COMMON A Dividend K T Buy

03104110

K

STOCK

146.

OPNET TECHNOLOGIES INC. B Dividend L T Buy

04/05/IO

K

COMMON STOCK

147.

ORACLE CORP. COMMON STOCK A Dividend L T Buy

01/15/ IO

J

(add'!)

148.

PEPSICO INC. COMMON STOCK B Dividend L T Buy

05113110

K

(add'!)

149.

PETROLEO BRASILEIRO SA B Dividend K T Buy

09114110

K

PETROBRAS SPONSORED ADR COMMON STOCK

150.

PFIZER, INC. COMMON STOCK D Dividend M T Buy

02/01/IO

L

(add'!)

I. Income Gain Codes: A =$1.000 or less B =$1,00I -$2.500 c =$2.501 - $5,000 D =$5.001 • $15.000 E=Sl5,001-$50.000

(Sec Columns Bl

and

04)

F =$50.001 -$100,000 G =$100,001 - $1.000.000 Ill =Sl.000.001 -$5.000.000 112 =More than $5.000.000

2. Value Codes J "'s 15.000 or lcs.s K =

S

I 5.001 -$50.000 L =$50.001.

S

I00.000 M =

S

I 00.001. $250.000

(Sec Columns Cl and 03) N =$250.001 -$500.000 0 =$500.001 -Sl.000.000 Pl =Sl.000.001 • $5.000.000 P2 =$5.000.001 -$25.000.000

PJ =$25.000.001. $50.000.000 N =More than $50.000.000

3. Value Method CodC"S Q =Appraisal R =Cost (Real Estate Only) S =Assessment T =Cash Market

(14)

(I) (I) (2)

Name of Penon Reporting Date of Report

FINANCIAL DISCLOSURE REPORT

Page 14of19

SELY A, BRUCE 1\1. 05/15/2011

VII. INVESTMENTS and TRUSTS

-income, value, transactions rrnc1udes those of spouse and dependent children; see pp. 1-1-60 offilinc instructions.)

D

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

A. B. c. D.

Description of Assets Income during Gross value at end Transactions during reponing period

( including trust assets) reponing period of reponing period

(2) (2) (I) (3) (4) (5)

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

Amount Code I (A·H) Type (e.g., div., rent, or int.) Value Code2 (J.P) Value Method Code3 (Q-W) Type ( e.g., buy, sell, redemption) Date rrun/dd/yy Value Code2 (J.P) Gain Code I ( A-HJ Identity of buyer/seller ( if private transaction)

151. PHILIP MORRIS INTERNATIONAL, INC COMMON STOCK

c Dividend L T Buy

(add'!)

03/02/10 K

152. PLUM CREEK TIMBER CO., INC. A Dividend Sold 03/25/10 K c

COMMON STOCK

153. PRAXIR INC. COMMON STOCK A Dividend K T Buy 04/14/10 J

(add'!)

154. PROGRESSIVE CORP OHIO COMMON A Dividend Sold 02/19/10 J A

STOCK

155. PURDUE UNIV IND REVS DTD 4/9/2009 B Interest L T Buy 01/07/10 L

5%BOND

156. QUALCOMM, INC. COMMON STOCK B Dividend L T Buy 02/12/10 L

(add'!)

157. RAYTHEON CO. COMMON STOCK B Dividend K T Buy 04/12/10 K

(add'!)

158. RI CLEAN WATER MUNICIPAL BOND D Interest M T Buy 10/27/10 M

(add'!)

159. RI ST & PROVIDENCE DID 12/18/2008 c Interest L T Buy 04/29/10 L

5%MUNI BOND

160. RI ST & PROV PLANTATIONS c Interest M T

MUNICIPAL BOND

161. RI HEAL TH & ED BLDG MUNI BOND D Interest M T

162. RI ST ATE ECONOMIC DEV CORP REV B Interest L T Buy 01/28/10 L

DID 03/02/2006 5% MUNI BOND

163. SAN ANTONIO TEX DTD 11/15/2002 c Interest L T Buy 03/22/10 L

5.5% MUNI BOND

164. SCHLUMBERGER, LTD. COMMON A Dividend L T Buy 01/26/10 K

STOCK (add'!)

165. SEMPRA ENERGY COMMON STOCK B Dividend Sold 04/15/10 K A

166. SHELBY CNTY TENN DID 11/30/06 A Interest L T Sold 12/01/10 K A

MUNICIPAL BOND (part)

167. SIMON PROPERTY GROUP, INC. REIT B Dividend K T Buy 04/20/10 K

COMMON STOCK (add' I)

I. Income Gain Codes: A 41.000 or less B =$1,001 • $2.500 c =$2,501 • $5.000 D =$5.00 I • S 15.000 E =$15.001. $50.000

(Sec Columns BI and D4) F =$50.00 I • SI 00.000 G =SI00.001 • Sl.000.000 111 =Sl.000,001 • S5.000.000 112 =More than $5.000.000

2. Value Codes J =S 15.000 or less K =$15.001 • Sl0.000 L =Sl0.001 • SI00.000 M =SI00.001 • $250.000

(See Columns Cl and DJ) N =$250.001 • $500.000 O=S500.001-Sl,000.000 Pl =Sl.000.001 • Sl.000.000 rz =Ss.ooo.oot . S25.ooo.ooo

PJ =$25,000.00 l • SS0.000.000 P4 =More than $50.000.000

3. Value Method Codes Q =Appraisal R =Cost (Real Estote Only) S =Assessment T =Cash Mlrkct

(15)

FINANCIAL DISCLOSURE REPORT

Page 15of19

Name

or Person Reporting

SEL

YA, BRUCE 1\1.

Date or Report

05/15/2011

VII. INVESTMENTS and TRUSTS

-

incom . •·atue, transactions <tnciudes thou ofspouu and dependent children:· PP. 34-60 of filing instructions.>

D

NONE

(No reportable income, assets, or transactions.)

A. B. c. D.

Description of Assets Income during Gross value at end Transactions during reponing period

(including trust assets) reponing period of reponing period

(I) (2) (I) (2) (I) (2) (3)

(4)

(5)

Place "

(X)

" afler each asset 'Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity of

exempt from prior disclosure Code

I

div., rent, Code2 Method buy, sell, nun/dd/yy Code2 Code

I

buyer/seller

(A-II) or int.)

(J-P)

Code 3 redemption)

(J-P)

(A-H) (if private

(Q-W)

transaction)

168. SOUTH CAROLINA ST PUB DTD 11/5/09 B Interest L T

MUNICIPAL BOND

169. SPECTRA ENERGY CORPORATION B Interest L T Buy 03/19/10

L

COMMON STOCK

170. TAIWAN SEMICONDUCTOR MFG CO., A Dividend Buy 03/10/10

J

LTD. COMMON STOCK (add'!)

171. Sold 03/22/10 K A

172. TEXAS INSTRUMENTS INC. COMMON A Dividend L T Buy 04/12/10 K

STOCK

173. THE PROCTER

&

GAMBLE CO. B Dividend L T Buy 05/10/10

J

COMMON STOCK (add'I)

174. THE TRAVELERS COMPANIES, INC. A Dividend Sold 04/01/10 K B

COMMON STOCK

175. THE W ALT DISNEY CO. COMMON B Dividend M T Buy 01/05/10 K

STOCK (add'I)

176. TIME WARNER, INC. COMMON STOCK B Dividend L T Buy 01/25/IO K

(add'I)

177. TOT AL S.A. ADR COMMON STOCK B Dividend Buy 02/11/10

J

(add'I)

178. Sold 03/05/10 K A

179. UNITED TECHNOLOGIES CORP B Dividend L T Buy 04/29/10 K

COMMON STOCK (add'!)

180. VALE SA COMMON STOCK A Dividend K T Buy 04/09/10 K

FORMERLY COMPANHIA VALE DEL (add'I)

RJO DOCE

181. VALERO ENERGY CORP. COMMON A Dividend Sold 01/28/10 K A

STOCK

182. WALGREEN CO. COMMON STOCK A Dividend K T Buy 04/26/IO K

(add'!)

183. WASHINGTON ST DTD 7/8/09 5% B Interest L T

MUNICIPAL BOND

I. Income Gain Codes: A =$1.000 or less 8=$1.001-$2.500 c =$2.501 -$5,000 D=$5.001-Sl5,000 E

=

S l5

.

00 I -$50.000 (Sec

Columns BI and 04)

F

=$50.001 - SI 00.000

G=SI00.001-$1.000.000 Ill =Sl.000.001 -S5.000.000 112 =More than S5.000.000

2. Value Codes J =SI 5.000 or less K =S l5.00I -$50.000 L =$50.001 -SI00.000 M =SI00.001 -$250.000

(See Columns Cl and DJ) N =$250.001 -$500.000 O =$ 00.001 -Sl.000.000 P l =S l.000.001 -$5,000.000 P2 =$5.000.001 -$25.000.000

PJ =$25,000.001 -$50.000.000 N =More than $50.000.000

J. Value Method Codes

Q

=

A

ppraisa l R =Cost (Rea l f:.s!atc Only) S =Assessment T=Cash Market

(16)

FINANCIAL DISCLOSURE REPORT

Page 16of19

Name of Penon Reporting

SELY A, BRUCE 1\1.

Date of Report

05/15/2011

VII. INVESTMENTS and TRUSTS

-income, value, transactions r1nc1udes those of spouse and dependent children: see PP.

J4.6o of ft/inc insirumons.J

D

NONE

(No reportable income, assets, or transactions.)

A.

B.

c.

D .

Description of

Assets

Income du ring Gros s value at end Transactions during reporting period

(including trust assets) reporting period of reporting period

(1) (2) (1) (2) (!)

Place "(X)" after each as set Am ou nt Type (e.g., Value Value Type (e.g., exem pt from prior dis closure Code I div., rent, Code2 Method buy, sell,

(A·H)

or

int.)

(J-P) Code

3

redemption)

(Q-W)

184. WESTERLY RI DTD 8/1/01 5% B Interest L

T

MUNICIPAL BOND

185. WHIRLPOOL CORP. COMMON STOCK A Dividend Buy

(add'I)

186. Sold

187. WILLIAMS COS, INC. COMMON A Dividend K

T

Buy

STOCK (add'I)

188. WINDSTREAM CORP. COMMON

c

Dividend K T

STOCK

189. XL GROUP PLC COMMON STOCK B Dividend L

T

Buy

(add' I)

190. XEROX CORP. COMMON STOCK A Dividend Sold

191. XILINX, INC. COMMON STOCK A Dividend K T

192. YUM! BRANDS, INC. COMMON STOCK A Dividend K

T

Buy

(add'I)

193. ZURICH FINL SVCS ADR COMMON

c

Dividend L

T

Buy

STOCK (add'I)

194. BROKERAGE ACCOUNT#7

195. B OF A MUNI RESERVES DL Y CASH A Interest N

T

196. BIF TAX EXEMPT FUND CASH A Interest

J

T Buy

197. RHODE ISLAND HSG

&

MTG FIN B Interest L

T

CORP. MUNI BONDS

198. SMITHFIELD RI GO BDS SER. 2003 B Interest

L

T

MUNI BONDS

199. BROKERAGE ACCOUNT#8

200. ESTATE#

I

-CMA MONEY FUND A Dividend Closed

(2)

(3)

(4)

(S)

Dale Value Gain Iden lily of

mm/dd/yy Code2 Code I buyer/seller

(J-P)

(A-H)

(if p rivate transaction) 02/09/IO

J

12/06/IO K

c

05/26/10

J

09110110 K NAME CHANGE 03117/IO K D 03/02/10

J

01/07/10 K NAME CHANGE 01/01/10

J

12/31110

J

L Income Gain Codes: A =$ l.000 or less ll =$1,001. $2.500 c =$2,501 • ss.ooo D =$5.001 • $15.000 E =$15,001 • $50.000

(See Columns Bl

and

D4)

F =$50.001 • $100.000 G =SI00.001 • Sl.000.000 Ill =Sl.000.001 • S5.000.000 112 =More 1han $5.000.000

2. Value: Codes J ==SI .000 or less K =$15.001 • $50.000 L =SS0.00 I • SI 00.000 M =SI00.001 • $250.000

(See Columns Ct and D3) N =$250.001 - Sl00.000 0 =$500.001 • Sl.000.000 Pl =Sl.000,001 • $5.000,000 P2 =SS.000.001 • $25.000.000

rJ =S25.ooo.001. s;o.000.000 P4 =More 1han $50.000.000

3. Value Method COOcs

Q

=Appr:usol R =Cost (Real Est•IC Only) S =Asscssmcnl T =Cash Market

(17)

(2)

Name or Ptnon Reporting

Date or Rtport

FINANCIAL DISCLOSURE REPORT

Page 17of19

SELYA, BRUCE J\1. 05/15/2011

VII. INVESTMENTS and TRUSTS

-income, vatue, transactions r1nc1udes those of spouse and dependentchitdun: see PP. 34-60 offiting instructions.)

D

NONE

(No reportable income, assets, or transactions.)

A.

B.

c.

D.

Description of Assets Income during Gross value at end Transactions during reporting period (including !rust assets) reporting period of reporting period

(I)

(2)

(I)

(2)

(I)

(3) (4) (5) Place "(X)" after each asset Amount Type (e.g., Value Value Type (e.g., Date Value Gain Identity of exempt from prior disclosure Code

I

div., rent, Code 2 Method buy, sell, mmldd/yy Code 2 Code

I

buyer/seller (A-H) or int.) (J-P) Code3 redemption) (J-P) (A-H) (if private

(Q-W)

transaction)

201. ESTATE# 2 -CMA MONEY FUND A Dividend K T

202. WESTERLY RI AMBAC B/E CPN 5% MUNI BOND

B Interest L T Buy 06/08/10

L

203. BROKERAGE ACCOUNT#9

204. BANK OF AMERICA CORP. COMMON STOCK

A Dividend J T

205. GOLDCORP, INC. COMMON STOCK A Dividend Sold 08110/10 K D

206. ML BANK DEPOSIT PROGRAM A Dividend J T

I. Income Gain Codes: A =$1.000 or less B =$1.001 - $2.500 c =$2.501 - $5,000 D =$5.001 - $15,000 E =S 15.001 - $50,000

(See Columns BI

and

D4)

F =$50.001 - $100.000 G =$I 00.00 I -$1.000.000 Ill =Sl.000.001 - $5.000.000 112 =More than S5,000.000

2. Value Cod1..-s J =S 15.000 or less K =$15.001 - $50.000 L =S50.00! - SI00.000 M =SI00.001 -$250.000 (S<c Columns CI and DJ) N =$250.001 - $500.000 0 =S500,00I - $1.000.000 Pl =Sl.000.001 - $5.000.000 P2 =$5,000,001 - $25.000,000

PJ =$25.000.001 - $50.000.000 P4 =More than $50.000.000

J. Value Method Codes Q =Appraisal R =Cost (Real Estate Only) S =Asscssmcnl T=Cash Market (Sci! Column C2) U =Book Value V =Othcr W =Estimated

(18)

Name of Penon Reporting Date of Report

FINANCIAL DISCLOSURE REPORT

Page 18of19

SEL YA, BRUCE 1\1. 05/15/2011

(19)

Name or Person Reporting

Date or Report

FINANCIAL DISCLOSURE REPORT

Page 19of19

SEL YA, BRUCE M. 05115/2011

IX. CERTIFICATION.

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.

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 FAILS 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.

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