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Rev.

1/2011

FINANCIAL DISCLOSURE REPORT FOR CALENDAR YEAR 2010


2. Court or Organization U.S. District Court - Vermont
5a. Report Type (check appropriate type) ] Nomination, [] Initial Date [] Annual [] Final

Report Required by the Ethics in Government Act of 1978 (5 U.S.C. app. 101-111)

1. Person Reporting (last name, first, middle initial) Murtha, J. Garvan


4. Title (Article 111 judges indicate active or senior status; magistrate judges indicate full- or part-time)

3. Date of Report 7/26/2011


6. Reporting Period 01/01/2010 to 12/31/2010

U.S. District Judge ~ Senior

5b. [] Amended Report 7. Chambers or Office Address 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

United States District Court P.O. Box 760 Brattleboro, VT 05302-0760

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 informatiot~ Sign on last page.

I. POSITIONS. ~Reportl.g individual o.ly; see pp. 9-13 oi~iing instructions.)

D
1. 2. 3. 4. 5. 6. 7.

NONE (No reportable positions.) POSITION


Partner Partner Partner Partner Trustee Trustee Trust # 1 Trust #2

NAME OF ORGANIZATION/ENTITY
Limited Partnership # 1 ~,,,~**~] Limited Partr~ership #2 ~i i~ i)~ Limited Partnership #3 Limited Partnership #4

II. AGREEMENTS. (Reporting individual only; seepp. 14-16 of filing instructions.)


[~] NONE (No reportable agreements.) DATE PARTIES AND TERMS

Murtha, J. Garvan

FINANCIAL DISCLOSURE REPORT Page 2 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

III. NON-INVESTMENT INCOME. Repo.i.g inaivlau.t and spouse; seepp. 17-24 of filing instructions.)
A. Filers Non-Investment Income ~ NONE (No reportable non-investment income.)
DATE SOURCE AND TYPE INCOME (yours, not spouses)

2. 3. 4.

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

~
1. 2. 3. 4.

NONE (No reportable non-investment income.) DATE SOURCE AND TYPE

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


(Includes those to spouse and dependent children; see pp. 25-27 o filling instructions.)

NONE (No reportable reimbursements.) SOURCE


I. 2. 3. 4. 5.

DATES

LOCATION

PURPOSE

ITEMS PAID OR PROVIDED

FINANCIAL DISCLOSURE REPORT Page 3 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

V. GIFTS. ancludes those to spouse ..d depe.,cn, children; see pp. 28-31 of filing instructions.)
NONE (No reportable gifts.)
SOURCE
1. 2. 3. 4. 5.

DESCRIPTION

VALUE

VI. LIABILITIES. ancludes those olspo.se .nd dep~nd~nt children; see pp. 32-33 of filing instructions.)
NONE (No reportable liabilities.) CREDITOR
I. 2. 3. 4. 5.

DESCRIPTION

VALUE CODE

FINANCIAL DISCLOSURE REPORT Page 4 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRUSTS - income, valac, transactions (Includes those of spouse and dependent children; seepp. 34-60 of fillng 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 (t) (2) Amount Type (e.g., Code 1 div., rent, (A-H) or int.) C. Gross value at end of reporting period (t) (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) Date mm/dd/yy (3) (4) Value Gain Code 2 Code 1 (J-P) ~ (A-H) (5) Identity of buyer/seller (if private transaction)

I. 2. 3. 4. 5. 6. 7. 8. 9. 10. I1. 12. 13. 14. 15. 16.

Accenture PLC Stock Amgen Common Stock Automatic Data Processing Stock Bemis Company Common Stock Cisco Systems Common Stock CVS Corp. Stock Columbia Crest Gold Corp Stock fmrly Eaglecrest Explorations Ecolab Common Stock Emerson Electric Stock Exxon-Mobil Common Stock GS Federal Fund #520 Fortune Brands Stock FPL Group Inc. Stock BSL Money Mkt Fund (Income Money Market Fund) - Trust Co. of VT Intel Corp. Stock

Dividend None

T Sold Sold Sold Sold Sold 08/I 1/10 0811 I110 08111110 04113110 03111110 J J J J J D A A A A

A A

Dividend Dividend None

Dividend None J J J K T T T T

A A A A A A A A A A

Dividend Dividend Dividend Interest Dividend Dividend Interest Interest Dividend Dividend

Sold Sold Sold J J J T T T Sold Buy

04/16110 04/13110 03/11/10 03/11110

J J J J A A

17. iShare Midcap Index 400 Fund

03/11/10

I. Income Gain Codes: (See Columns B 1 and D4) 2. Value Codes (See Columns C I and D3) 3. Value Method Codes (See Colunm C2)

A =$1,000 or less F =$50,001 - $100,000 J =$ t 5,000 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 (Real Estate Only) V =Othcr

C =$2,501 - $5,000 HI =$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 =Assessment W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 5 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVES TMEN TS and TRU STS - income, value, transactions (Includes those of spouse
NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Place "(X)" after each assel exempt from prior disclosure Income during reporting period Gross value at end of reporting period (I) Value Code 2 (J-P)

and dependent children; see pp. 34-60 of filing instructions.)

Transactions during reporting period

(1)
Amount Code 1 (A-H)

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

(2) Value Method

Code 3
(Q-W)

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

(2) Date mm/dd/yy

O) Value Code 2 (J-P)

(4)
Gain Code 1 (A-H)

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

18. 19. 20. 21. 22. 23. 24. 25. 26. 27. 28. 29. 30. 31. 32. 33. 34.

iShare MSCI Fund iShare Small Cap 600 Fund Kaman Corp. Common Stock Kraft Foods, Inc. Stock McDonalds Corp. Stock Medtronic, Inc. Common Stock Microsoft Corp. Stock Northern Trust Govt Select Fund Omnicom Group Common Stock Pepsico Common Stock PIMCOCommodity Fund PIMCOReal Return Fund Procter& Gamble Stock Sysco Corp. Stock Vanguard Emerging Mkts Stock Vanguard Intl. Prot. Fund Waste Management Stock

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

Dividend Dividend Dividend Dividend Dividend Dividend Dividend Interest Dividend Dividend Dividend Dividend Dividend Dividend Dividend Interest Dividend J J J J J T T T T T J T J K J J T T T T J J T T

Sold

03/11/10 J

Sold

08/10/10

Buy Sold

07/01/10 04/13/10

J J

Sold Sold

03/10/10 10/13/10

J J

Buy

08/10/10

Buy

01/30/10

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

A =$1,000 or less 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,~01 - $2,500 G =$100,001 - $1,000,000 K =$15,001 - $50,000 O =$500,001 - $1,000,000 R =Cost (Real Estale Only) V =Other

C =$2,501 - $5,000 H! =$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 =Assessment W =Estimated

D =$5,001 o $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T -Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 6 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRU S TS - income, volue, , ......tions (Includes those of spouse and dependent children; see pp. 34-60 of fillng 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 (1) (2) Amount Type (e.g., Code 1 div., rent, (A-H) or int.)

C. Gross value at end of reporting period (l) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) J J J J T W W W

Transactions during reporting period


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

35. 36. 37. 38.

Merchants Bank Account Brattleboro Country Club Bond Brattleboro Tennis Club, VT Stock Ocean Reef Yacht Club Timeshare

A A

Interest Interest None None

39. ~,~ Limited Partnership #1 40. 41. 42. 43. 44. 45. 46. 47. 48. 49. 50. 51. - Automatic Data Processing Stock - Becton Dickinson Stock - CVS Caremark - Columbia Dividend Income Fund - Columbia Lg. Cap Growth Fund - Columbia Mid-Cap Index Fund - Columbia Small Cap Index Fund - Dreyfus Tax Exempt Fund - MFS Serlntl Fund - Oracle Stock - Pepsico Stock - Procter & Gamble Stock

Div. & Int.

Closed Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold

05/31/10 05/19/10 05/19/10 05/11/10 05/17/10 05/17/10 05/17/10 05/17/10 05/31/10 05/18/10 105/19/10 05/19/10 05/19/10

N J K K K K K K K K K K K C D E D B D D D D D D

See Note # 1

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

A =$1,000 or less F =$50,00! - $I00,000 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 (Real Es~.ate Only) V =Other

C =$2,501 - $5,000 HI =$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 =Assessment W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$ 100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 7 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVESTMENTS and TRUSTS - income, value, transactions (Includes those of spouse and dependent children; seepp. J4-60 of filing instructions.)
D NONE (No reportable income, assets, or transactions.)
A. B. C,

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

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

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

Transactions during reporting period


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

52. - Target Stock 53. 54. 55. 56. 57. 58. 59. 60. 61. 62. 63. 64. 65. 66. 67. 68. - United Technologies Stock - Vanguard Intl Index Fund Limited Partnership #2 - AT&T Inc. Stock - BA Diversified Real Estate Fund - Caterpillar Stock - Coca Cola - Columbia Acorn Intl Fund - Columbia Dividend Income Fund - Columbia Mid Cap Fd - Grosevenor Multi-Strategy Fund fmrly Columbia Multi Strgy - Columbia Small Cap Index Fund - CSX Corp. Stock - Disney Stock - Dreyfus Tax Exempt Fund - Exxon Mobil Stock F Div.&lnt.

Sold Sold Sold

05/19/10 K 05/19/10 K 05/19/10 K PI L L 0 L M L M M M M L O

D D

Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/I 0 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Sold 04/27/10

See Note #2

Merged 04/27/10 O (with line 94)

I. Income Gain Codes: (See Columns B t and D4) 2. Value Codes (See Columns C I and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F = $50.001 - $ 100,000 J =$15.000 or less N =$250,001 - $500,000 P3 =$25,000,001 - $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 =Othcr

C =$2,501 - $5,000 H 1 = $1,000,001 - $ 5,000,000 L -$50,001 - $100,000 P 1 =$1,000,001 - $5,000,000 P4 =More than $50,000,000 S =Assessment W =Estimated

D =$5,001 - $15,000 H2 =M ore than $ 5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 8 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRU S TS ---] 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 (1) Amount Code 1 (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption)

Transactions during reporting period (2) (3) Date Value mrrddd/yy Code 2 (J-P) (4) Gain Code 1 (A-H)

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

69. 70. 71. 72. 73. 74. 75. 76. 77. 78.

- Franklin Res. Stock - Genzyme Stock - Hewlett Packard Stock - MFS Serlntl Fund - Morgan J.P. Chase Stock - Procter & Gamble Stock - Royal Dutch Shell Stock - Staples Stock -Teva Pharmaceutical Stock - United Technologies Stock C Int./Div.

Merged 04/27/I 0 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Merged 04/27/10 (with line 94) Closed Sold Buy Sold Buy Sold
Sold

N K L M M L N L M L M E See Note #3

79. ~iii ~i~iI Limited Partnership #3 80. - Becton Dickinson Stock 81. 82. 83. 84. 85. - CMG Ultra Short Term Bond Fund - CMG Ultra Short Term Bond Fund - Columbia Contrarian Core Fund - Columbia Contrarian Core Fund - CVS Caremark

08/09/10

01/21/10 K 01/19/10 L 05/24/I 0 L 01/19/10 L

05/24/10 L
01/21/10 K D

I. Income Gain Codes: (See Colurmls B I and D4) 2. Value Codes (See Columns C I and D3) 3. Value Method Codes (See Column C2)

A=$1.000 orlcss F =$50,001- $I00,000 J =$15.000 orlcss 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 o $50.000 O=$500,001 -$1,000,000 R =Cost(Real Estate Only) V =Other

C =$2,501- $5,000 H1 =$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 =Assessment W=Estimated

D=$5,001 -$15,000 H2 =More than $5,000,000 M=$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T-CashMarkct

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 9 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRUSTS - i.co,.e, vuluc, transactions (Includes those of spouse and dependent children; seepp. 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 (1) (2) Amount Type (e.g., Code 1 div., rent, (A-H) or int.) C. Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (1) Type (e.g., buy, sell, redemption) (2) Date mm/dd/yy (3) (4) Value Gain Code 2 Code 1 (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

86. 87. 88. 89. 90. 91. 92. 93. 94. 95. 96.

- Columbia Mid Cap Index Fund - Columbia Small Cap Index Fund - Dreyfus Tax Exempt Fund - IShares MSCI Index Fund - IShares MSCI Index Fund - Oracle Stock -Target Stock - United Technologies Stock Limited Partnership #4 - Apple Stock -AT&TStock G Int./Div. P2 T

Sold Sold Sold Buy Sold Sold Sold Sold

05/24/10 05/24/10 08/09/10 01/21/10 05/26/10 01/21/10 01/21/10 01/21/10

K K M K K K K L

D D

E D E

Buy

09/20/10

97. 98. 99.

- Avon Prod. Stock - BA Diversified Real Est Fund - Caterpillar Stock

Buy

09/20/10 K

100. - Coca Cola Stock 101. - Columbia Acom Intl Fund


102. - Columbia CT Bond Fund

I. I ncomc G ain Codes: (See Columns B 1 and D4) 2. Value Codes (See Columns C 1 and D3) 3. Value Method Codes [Sce Column C2)

A =$ 1,000 or less F =$50,001 - $100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25,000,001 o $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 Estale Only) V =Other

C =$2,501 - $ 5,000 H 1 =$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 =Assessment W =Estimated

D =$5,001 - $15,000 H2 ~More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15.001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 10 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVESTMENTS and TRUSTS - income, value, transactions (Includes those of spouse and dependent children; seepp. 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 (1) Amount Code l (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption) (2) (3) (4) Gain Code l (A-H) Date Value mm/dd/yy Code 2 (J-P) (5) Identity of buyer/seller (if private transaction) D. Transactions during reporting period

103. - Columbia CT Muni Bd Fund 104. - Columbia Div. Inc. Fund 105. - Columbia Mid Cap Fd 106. - Columbia Mngt Hedge Fd 107. - Columbia Small Cap Fd 108. - Conn St GO Bds 109. -Conn St Tax Oblig Bds 110. - CSX Corp. Stock 111. - Disney Stock 112. - Dreyfus Tax Exempt Fund 113. - Exxon Mobil Stock 114. - Federated Secs Instl Shs 115. - Nextera Energy Stock, formerly FPL Group Stock 116. - Franklin Res
117. - Genzyme Stock I 18. - Grosvenor Reg Multi-Strategy Fund 119. - Harbor Intl Fund

Buy

1 !/10/10 N

Sold

10/20/101 M

Buy Buy

11/26/10 11/10/10

L L

Buy

12/13/10 M

1. Income Gain Codes: (See Columns B I and D4) 2. Value Codes (See Columns C I and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F =$50,001 - $ 100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25,000,001 - $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 =Other

C =$2,501 - $5,000 H 1 =$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 =Assessment W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 11 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVESTMENTS and TRUSTS -income, value, transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Place "(X)" after each asset exempt from prior disclosure Income during reporting period (1) Amount Code 1 (A-H) (2) Type (e.g., div., rent, or int.) Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (1) Type (e.g., buy, sell, redemption) Transactions during reporting period

(2) (3) Date Value mm/dd/yy Code2 (J-P)

(4) Gain Code I (A-H)

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

(Q-W)
120. - Hewlett Packard Stock 121. - iShares Inc. MSCI Austral. Index Fund 122. - iShares Inc. MSCI Brazil Index Fund 123. - iShares Inc. MSCI CDA Index Fund 124. - iShares Inc. MSCI Singapore Index Fund 125. - iShares S&P Natl Amt-Free Bd Fund 126. - Johnson & Johnson Stock 127. - Kellogg Stock 128. - McDonalds Stock 129. - MFS Ser lntl Fund 130. - MFS SerTr I Resh lntl Fund Sold Buy 04/16/10 K 09/20/10 K C Buy Buy Buy Buy Buy 09/09/10 09/10/10 09/10/10 09/10/10 09/10/10 K K K K K

131. - Microsoft Stock


132. - Minneapolis Sch Dist Bds 133. - Monsanto Stock 134. - Morgan J.P. Chase Stock 135. - Municipal Assist Corp GO Bds 136. - Omaha Neb Rev RefBds Buy Buy 11/30/10 11/18/10 L K Buy Sold 11/26/10 05/18/10 L K

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

A =$1,000 or less F =$50,001 - $100,000 J =$15,000 or less N =$250,001 - $500,000 P3 ~$25,000,00! - $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 =Other

C =$2,501 - $5,000 H 1 =$1,000,001 - $5,000,000 L =$50,001 - $100,000 P I =$1,000,001 - $5,000,000 P4 =More than $50,000,000 S =Asscssmem W =Estimated

=$5,001 - $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 =Cash Market

E =$15,001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 12 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRUSTS - income, value, transactions (lncli~des those of spouse and dependent children; seepp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" a~er each asset exempt from prior disclosure B. Income during reporting period (1) Amount Code I (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (1) Type (e.g., buy, sell, redemption) (2) Date mm/dd/yy (3) (4) Value Gain Code 2 Code 1 (A-H) (J-P) (5) Identity of buyer/seller (if private transaction)

137. - Pasadena Tx Rev RefBds 138. - Peters Sch Dist Wash RefBds 139. - PIMCO Commod Real Return Fund 140. - Procter & Gamble Stock 141. - Royal Dutch Shell Stock 142. - Staples Stock 143. -SAV Ill Dev Auth Bds 144. - Teva Pharmaceutical Stock 145. - United Technologies Stock 146. - U.S. Bankcorp Del
147. - Vanguard Intl Fund 148. Trust Company ofVT - IRA C Div. & Int. M

Buy Buy Buy

11/29/10 12/08/10 09/08/10

L L M

Buy

11/23/10 K

Sold

09/20/10

149. - 3M Stock 150. - Abbott Labs Stock 151. - Accenture Ltd. Stock 152. - Apache Corp. Stock 153. - Automatic Data Processing Stock

Buy

08/10/10

1. Incorne Gain Codes: (See Columns B I and D4) 2. Value Codes (See Columns CI and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F =$ 50,001 - $ 100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25.000.001 - $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 =Other

C =$2,501 - $5,000 H 1 = $ 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 =Assessment W =Estimated

D =$5,001 - $15,000 H 2 =More than $ 5,000,000 M -$ 100,001 - $250.000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 13 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVESTMENTS and TRUSTS - income, value, transactions (Includes those of spouse and dependen, children; seepp. 34-60 of.filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" after each assel exempt from prior disclosure B. Income during reporting period (1) Amount Code 1 (A-H) (2) Type (e.g., div.. rent. or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (I) Type (e.g., buy, sell, redemption) D. Transactions during reporting period (2) Date mm/dd/yy (3) (4) Value Gain Code 2 Code 1 (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

154. - BankofAmerica Stock 155. - Bemis Stock 156. - BPPLC Stock 157. - CGM Foc~us Fund 158. - Citigroup Stock 159. - Colgage Palmolive Stock 160. - Conoco Phillips Stock 161. - CVS Corp. Stock 162. - Dover Corp. Stock 163. - Emerson Electric Stock 164. - Fed Home Mtg Corp 165. - Fortune Brands Stock 166. - Franklin Res. Stock 167. - GS Federal Fund 168. - HCP Stock 169. - Illinois Tool Wks Stock 170. - iShare MSCI Fund Sold 05/06/10 J Sold Sold Buy Sold Sold 06/22/10 08/10/10 02/09/10 07/30/101 I 1/10/10 J J J J J A Buy 06/22/10 J Sold Sold 06/15/10 02/03/10 J J

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

A =$1,000 or less F =$ 50,001 - $100,000 J =$15.000 or les s N =$250,001 - $500,000 P3 -$25,000,001 - $50,000.000 Q =Appraisal U =Book Value

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

C =$2,501 - $5,000 H 1 =$ 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 =Assessment W =Estimated

D =$5,001 - $15,000 H2 =More tha n $ 5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 o $25,000,000 T -Cash Market

E =$15,001 -$50,000

FINANCIAL DISCLOSURE REPORT Page 14 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRU STS - i, come, value, transactions (Includes those of spouse and dependent children; seepp. 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 (l) Amount Code 1 (A-H) (2) Type (e.g., div.,rent, or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value mm/dd/yy Code 2 (J-P) Gain Code 1 (A-H) (5) Identity of buyer/seller (if private transaction) D. Transactions during reporting period

171. - iShare Midcap Fund 172. - iShare Small Cap Fund 173. - Johnson & Johnson Stock 174. - Kimco Realty Stock 175. - Lowes Co. Stock 176. - Mathews Asian Fund 177. - Mathews China Fund 178. - Maxim Integrated Prods. Stock 179. - Microsoft Corp. 180. - MSC Industrial Direct Stock 18 I. - Nextera Energy Stock, formerly FPL Group Stock 182. - Nokia Stock 183. - Northern Trust Govt Select Fund 184. - Novartis Stock 185. - Omnicom Group Stock 186. - Pepsico, Inc. Stock 187. - PIMCO Short Term Instl Fund Buy 08/11/10 K Buy 08/01/10 J Sold 02/09/10 J Buy 02/03/10 J Buy 02/03/10 J

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

A =$1,000 or less F =$ 50,001 - $ 100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25,000,001 - $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 :Other

C =$2,501 - $5,000 H I =$ 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 =Asscssment W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 15 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVESTMENTS and TRU STS -income, value, transactions (Includes those of spouse and dependent children; seepp. 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 (1) Amount Code 1 (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end nf reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (1) Type (e.g., buy, sell, redemption) (2) Date mm/dd/yy (3) I (4) Value Gain Code 2 Code 1 (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

188. - Procter & Gamble Stock 189. - Royal Dutch Shell Stock 190. - Sanofi Aventis Stock 191. - Spectra Energy Stock 192. - Stryker Corp. Stock 193. - Target Corp. Stock 194. - United Technologies Stock 195. - US Bancorp Stock 196. - US Tips Bond 197. - Vanguard Emergin Mkts Stock 198. - Wells Fargo Stock 199. Trust #2 200. -Coca Cola 201. - Columbia Acorn Fund Class Z 202. - Columbia Dividend Income Fund 203. - Columbia Large Cap Growth Fund 204. - Conn St Spl Tax OB/IG Bond
Buy 11/10/10 L E Div. & Int. PI

Buy

06/22/10 J

Buy

12/01/10 L

I. Income Gain Codes: (See Columns B I and 134) 2. Value Codes (See Columns C I and D3) 3. Value Method Codes (See Column C2)

A=$1,000 orless F =$50,001- $100,000 J =$15,000 orl~ss N=$250,001- $500,000 P3 =$25,000,001 - $50,000,000 Q=Appraisal U=BookValue

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 =Other

C =$2,501- $5,000 H1 =$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 =Assessment W =Estimated

D=$5,001- $15,000 H2 yMorethan $5,000,000 M=$100,001- $250,000 P2 =$5,000,001- $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 16 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRUSTS - inco,~e, value, transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instruction~)
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 (l) Amount Code l (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption) (2) (3) (4) Date Value mm/dd/yy Code 2 (J-P) Gain Code l (A-H) (5) Identity of buyer/seller (if private transaction) D. Transactions during reporting period

205. - Dreyfus Tax Exempt Cash Fund 206. - Federated Adj Rate Secs Bond 207. - iShares S&P Pfd Stk Index Fund 208. - JP Morgan Chase Dep Shs 209. - Kaman Stock 210. - MFS Ser Intl Fund 211. - Milford Conn Bond 212. - PIMCO Comm Real Return fund 213. - Regl Sch Dist #5 Conn Bond 214. - Regl Sch Dist #14 Conn Bond 215. - Regl Sch Dist #16 Conn Bond 216. - Sherman Conn Bond 217. - Teva Pharmaceutical Fund 218. - Torriogton Corm Bond 219. - U.S. Bancorp Sr Mtn Bond 220. - Vanguard REIT ETF Fund 221. - Woodstock, CT Bond Buy Buy Buy Buy 12/01/10 10/15/10 07/08/10 10/29/10 K K K K Buy Buy Buy Buy Buy Buy 11/19/10 07/06/10 12/03/10 11/23/10 11/15/10 11/08/10 K L K K K K Buy Buy Buy 12/13/10 12/27/10 12/15/10 N L K

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

A =$1,000 or less 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 (Real Estate Only) V =Other

C =$2,501 - $5,000 H 1 =$1,000,001 - $ 5,000,000 L =$50,001 - $100,000 P 1 =$1,000,001 - $5,000,000 P4 =More than $50,000,000 S =Assessment W =Estimated

D =$5,001- $15,000 H2 =More than $5,000,000 M=$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 17 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 I

VII. INVES TMENTS and TRU S TS -income, ~alue, transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instructions.)
D NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets) Income during reporting period (1) Amount Code l (A-H) (2) Type (e.g., div., rent, or int.) Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption) Transactions during reporting period

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

(2) Date mm/dd/yy

(3) Value Code2 (J-P)

(4) Gain Code 1 (A-H)

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

222. Merrill Lynch IRA 223. - Aberdeen Equity Fund 224. - Blackrock Global Fund 225. - Citigroup Stock 226. - Fiduciary/Clay MLP Opp Fund 227. - First Tr Consumer Discrt Fund 228. - First Tr Exchg Traded Fund 229. - First Tr Financials Fund 230. - First Tr ISE Revere Fund 231. - First Tr Materials Fund 232. - First Tr Mid Cap Core Fund 233. - First Tr Nasdaq Fund 234. - First Tr SR F1 II Fund 235. - Franklin Strategic Fund 236. - Hartford Cap Apprec. Fund 237. - Hartford Floating Rate Fund 238. - Henderson Intl Fund

Div. & Int.

M Sold 10/07/10 J

Sold Buy Buy Buy Buy Sold Buy Buy

10/07/10 08/13/10 10/06/10 10/06/10 10/06/10 04/22/10 10/06/10 06/16/10

J J J J J J J J

Buy

04/05/10

Buy Sold

04/05/10 04/28/10

J J

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

A =$1,000 or less 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 o $50,000 O =$500,001 - $ 1,000,000 R =Cost (Real Estate Only) V =Other

C =$2,501 - $5,000 H 1 =$1,000,001 - $5,000,000 L =$50,001 - $100,000 P I =$ 1,000,001 - $5,000,000 P4 =More than $50,000,000 S =Asscssmcnt W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Markct

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 18 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/201 l

VII. INVESTMENTS and TRUSTS - i.eo,.e, val.e, transactions (Includes those of spouse and dependent children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) PIace "(X)" after each asset exempt from prior disclosure B. Income during reporting period (1) Amount Code I (A-H) (2) Type(e.g.. div., rent, or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) Code(Q_W)3 D. Transactions during reporting period

(2)

(l>
Type(e.g., buy, sell, redemption)

(2) (3) I
Date mrn/dd/yy

(4)

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

Value Method

Value ] Gain Code 2 ] Code 1 (J-P) (A-H)

239. - Highland Long/Short Fund 240. - iShares Cohen & Steers Fund 241. - iShares MSCI CDA Index Fund 242. - iShares MSCI Mexico Free Fund 243. - iShares MSCI Thailand Fund 244. - iShares MSCI Turkey Fund 245. - iShares Russell Midcap Fund 246. - iShares S&P Latin America Fund 247. - iShares Silver TR 248. - iShares TR Fund 249. - Ivy Asset Strategy Fund 250. - JPM Chase Cap XVI Stock 251. - Janus Forty Fund 252. - Kayne Anderson MLP Fund 253. - LeggMason Fund 254. - MFS Value Fund 255. - Mainstay High Yield Fund

Sold Buy Buy Bu~ Buy Buy Sold Buy Buy Buy

10/06/10 01/10/10 04/29/10 10/06/10 06/16/10 10/06/10 05/24/10 10/06/10 12/09/10 01/10/10

J J J J J J J J J J

Buy Sold Buy Sold Sold Buy

10/08/10 10/06/10 01/07/10 04/06/10 05118/10 10/08/10

J J J J J J

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

A =$1,000 or less F =$50,00! - $ 100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25,000,001 o $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 =Other

C =$2,501 - $5,000 H I =$ 1,000,001 - $5,000,000 L =$50,001 - $I00~000 P 1 =$1.000,001 - $5,000,000 P4 =More than $50,000,000 S Assessment W =Eslimatcd

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$ 100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15.001 - $50,000

FINANCIAL DISCLOSURE REPORT Page 19 ot"21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VII. INVESTMENTS and TRU STS : income, volae, transactions (Includes those of spouse and dependent children; see pp, 34-60 of fillng 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 (1) Amount Code 1 (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (1) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (1) Type (e.g., buy, sell, redemption) D. Transactions during reporting period (2) Date mm/dd/yy (3) (4) Value Gain Code 2 Code 1 (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

256. - Market Vectors ETF Fund 257. - Morgan Stanley Cap TR IV Stock 258. - Natixis ASG Global Fund 259. - PIMCO Emerg Mkts Bd Fund 260. - Pioneer Cullen Value Fund 261. - PowerShares TR Dynamic Fund 262. - PowerShares DWA Emerg Mkt Fund 263. - PowerShares S&P SC Energy Fund 264. - Rydex ETF TR Index Fund 265. - Rydex ETF TR Fund 266. - SPDRGold Trust 267. - SunAmerica Strategic Fund 268. - Van Eck Global Fund 269. - Vanguard Growth ETF 270. - Vanguard Total Fund 271. - Wells Fargo Cap 272. Tmst #1 (X) Income Beneficiary

Buy Buy Sold

10/06/10 10/08/10 04/05/10

J J J

Sold Sold Buy Buy Buy Buy

05/20/10 07/20/10 10/06/10 01/07/10 03/17/10 03/10/10

J J J J J J

Sold Sold

03/02/I 0 03/17/10

J J

Buy

10/I 1/I0

Distribution

1. Income Gain Codes: (See Columns B I and 1)4) 2. Value Codes (See ColumnsC I and D3) 3. Value Method Codes (See Column C2)

A =$1,000 or less F =$50,001 - $ 100,000 J =$15,000 or less N =$250,001 - $500,000 P3 =$25,000,001 o $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 =Other

C =$2,501 - $5.000 H 1 =$1,000,001 - $5,000,000 L =$50,001 - $100.000 P1 -$1.000,001 - $5,000,000 P4 =More than $50,000,000 S =Asscssment W =Estimated

D =$5,001 - $15,000 H2 =More than $5,000,000 M =$ 100,001 - $250,000 P2 =$5,000,001 - $25,000,000 T =Cash Market

E =$15,001- $50,000

FINANCIAL DISCLOSURE REPORT Page 20 of 21

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

VIII. ADDITIONAL INFORMATION OR EXPLANATIONS. a,,~ica,epart of report.)


Note #1, Line 39: L~mlted Partnership liquidated Cash distributed to partners. Note #2, Line 55~~"~~ ! Limited Partnership merged with~~! Limited Partnersh p #4 Note #3, Line 79: ~i~ ~i, ~ Limited Partnership liquidated. Cash distributed to Partners.

FINANCIAL DISCLOSURE REPORT Page 21 of 21 IX. CERTIFICATION.

Name of Person Reporting Murtha, J. Garvan

Date of Report 7/26/2011

1 certify that all information given above (including information pertaining to my spouse and minor or dependent children, if any) is accurate, true, and complete to the best of my knowledge and belief, and that any information not reported was withheld because it met applicable statutory provisions permitting non-disclosure. 1 further certify that earned income from outside employment and honoraria and the acceptance of gifts which have been reported are in compliance with the provisions of 5 U.S.C. app. 501 et. seq., 5 U.S.C. 7353, and Judicial Conference regulations.

Signature: S/J. Garvan Murtha


NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND W1LFULLY 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. Washington, D.C. 20544

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