Joel H Slomsky Financial Disclosure Report for 2010

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  • 8/3/2019 Joel H Slomsky Financial Disclosure Report for 2010

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    AO 10Rev. 1/2011

    FINANCIAL DISCLOSURE REPOR TFOR CALENDAR YEAR 2010

    Report Required b.v the E thicsin Government Act of 1978(5 U.S.C. app . ,~ ,~ I01-III)

    I. Person Re por t ing ( las t name, f i r s t , middle in i t ia l)S l om s ky , Joe l H .

    4. Title (Article III judges indicate active or senior status;ma gi s t r a t e judge s i ndica t e f ul l - or pa r t - t ime )

    2. Court o r O rgan iza t ionEas tern Dis t r ic t of Pennsylvania

    5a. Report T:~lae (check appropriate type)] N o m i n a t i o n , D a t eDist r ict Judge-act ive

    7 . C h a m b e r s o r O f f i ce A d d r e s sUnited States Courthouse601 Market St ree tPh i l ade lph ia , Pennsylvania 19106

    [] Initial [] Annual [] Final5b. [] Amended Report8. On the basis o f the in fo rma tion con ta ined in th is Report and anymodif icat ions per ta in ing there to , i t i s , in my opinion, in com pl iancewith appl icab le l aws and regula t ions .

    R e v i e n ~ n g O l ~ c e r D a t e

    3. Date of Repor t04/19 /201 I

    6. Report ing Pe riod01/0112010

    to12/31/2010

    I M P O R T A N T N O T E S : The instructions accompanying this form must be followeg Complete all parts,checking the NON E box for each part where you ha ve no reportable information. Sign on last page.

    I . P 0 S I T I 0 N S . ~ R e ~ , o r a n g i n d i v i d u a l only; see p p . 9 - t 3 of filing instructionx)~] (No reportable posi t ions.)ONE

    POSITION NAME OF ORGANIZATION/ENTITY

    2.

    3.

    4.5.

    I I . A GRE EMENTS. m e ~ , o , ~ i n g individual only; see p p. 14-16 of f i l ing instruct ions.)D NONE(No repor table agreemen t s .)

    D A T E PARTIES AND TERMSI. 2 0 1 0 Joe l H arvey S loms ky Ind iv idua l Re t i rement Account ( IRA ) , cont ro l2.

    3.

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    FINANCIAL DISCLOSURE REPORTPage 2 of 10

    N a m e o f P e r s o n R e p o r t in gSIomsky, J oel H.

    D a t e o f R e p o r t04/19 /201 I

    I I I . N O N - I N V E S T M E N T I N C O M E . (Reporting individual andspouse; seepp. 17-24 of filing instructions.)A. Filers Non-Investm ent Income~] NONE non- inves tment i ncome . )N o reportable

    DATE SOURCE AND TYPE

    2.

    3.

    4.

    INCOME( y o u r s , n o t s p o u s e s )

    B . S p o u s e s N o n - I n v e s tm e n t I n c o m e - t f y o u were m arried during any portion o f the reportlng year, complete th is section .(Dollar amount not required except for honoraria.)

    D N O N E (No reportable non-investment income.)

    1. 20102.

    3.4.

    DATE SOURCE AND TYPE

    I V . R E I M B U R S E M E N T S - transportation, lodging, food, entertainment(Includes those to spouse and d ependent children; see pp. 25 -27 of filing instructions.)

    D (No repor table re imbursement s . )ONE

    3.4.5.

    SOURCE DATES LOCATIONNew York Intel lectual 3/27-28/2010 N e w Y o r k , N e w Y o r kP r o p e r t y L a w y e r s As s n .

    PURPOSEAn n u a l E ve n t t o H o n o rFe d e ra l J ud g e s

    ITEMS PAID OR PROVIDEDH o t e l, F o o d , T r a n s p o r t a t io n , S e m i n a r

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    FINANCIAL DISCLOSURE REPORTPage 3 of 10

    N a m e o f P e r s o n R e p o r t i n gSIomsky, Joel !1.

    D a t e o f R e p o r t04/I 9/20! 1

    V . G I F T S . (lncludes those to spouse and dependent children; xee pp. 28-31of filing instrucdon~)N O N E (No re portable gifts.)

    SOURCE DESCRIPTIONI.2.3.4.

    5.

    VALUE

    V I . L I A B I L I T I E S . a n d u d e s t h o s e o f s p o . s e and dependent children; see pp. 32-33 of filing instructions.)N O N E ( N o reportable liabilities.)

    CREDITOR DESCRIPTION1.2.3.

    4.5.

    VALUECODE

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    FINANCIAL DISCLOSURE REPORTPage 4 of 10

    N a m e o f P e r s o n R e p o r t i n gS l o m sk y , J o cl H.

    D a t e o f R e p o r t04/I 9/2011

    V I I . I N V E S T M E N T S a n d T R U S T S - i .c o , ~ e , ,. a l. e , ~ . a , ~ a c , ;o , ~ a . ~ l .~ . s ,h o s ~ o / s p o . s . ~ . d ~ p e . Z . n ~ ~ i l d r e n ; se e pp . 3 4 - 6 0 of filing i n s t r u c t l o n ~ )D (No reportable assets, orO NE income, transactions.)

    A. B. C.Description of Assets Incom e during G ro ss value a t en d

    (including trust assets) r e p o r t i n g p ~ r i o d o f r e p o r t i n g p e r i o d(i) (2) (i) (2)

    P l a c e " I X ) " a f t e r e a c h a s s e t i A m o u t ~ t T y p e ( e . g . , V alue V a lueexempt from prior disclosure : . C o d e 1 d i v . , r e n t , Code 2 M e t h o d(A-H) o r i n t . ) ( J - P ) Code 3

    ~ (~w)

    I. I R A # 22. --First Merchants Bank NA (CD)3. - -Morgan S tan l ey Bank (C D)4. --Fidel i ty Money Market A ccount5. I RA #36. --Israel State Bon d7. --B a nc o P opul a r (CD)8. --Discover Bank (CD)9. --Mercant i le Bank (CD)I0 . --Ca p i t a l One B a nk USA (C D)1 1 . --First Merchants Bank NA (CD)1 2 . --Morga n St a n l e y B a nk NA (CD)1 3 . - -Fi r st C om merc ia l Bank FL (C D)1 4 . --G MA C B a nk (CD)1 5 . --Discover Bank (CD)1 6 . --Bank North (CD)1 7 . --Firs t Chicago Bank and Trust (CD)

    B Interest K T

    F Int./Div. P1 T

    T r a n s a c t i o n s d u r i n g r e p o r t i n g p e r i o d(I ) (2) (3) (4) ( 5 )

    T y p e ( e . g ., D a t e Value G a i n I d e n t i t y o fb u y , s e l l, m m / d d ! y y C o d e 2 C o d e I b u y e r / s e l l e rr e d e m p t i o n ) ( J - P ) ( A -H ) ( i f p r i v a t et r a n s a c t i o n )

    Matured 11/12/10 K A

    Matured 11/12/10 K B

    Matured 08/16/10 J AMatured 11/22/10 L CMatured 03/22/10 L BMatured 01/14/10 L BMatured 03/17/10 K AMatured 11/20/10 K BM a tured 11/12 /10 K BMatured 11/19/10 L CMatured 03/12/10 K AMatured 03/05/10 J AMatured 01/14/10 K BMatured 04/19/10 K A

    1. Income Gain Codes: A =$1.000 or less B = $ 1,001 - $ 2 .5 00 C = $ 2 ,5 01 - $ 5 ,00~ D =S5.0~1 - $15.0(~( S ee Columns B I and I M } F = $ 50,001 - $ 100,000 G =$ 100.001 - $ I.0~ 0,000 II I = $ 1.0~ 3,001 - $ 5 .0~ 3,000 112 =More than $5.0~) .000

    2. Value Codes J =$ 15 .0~0 ~ l es s K -$15.001 - $50.0~) L =$50.0~1 - $10~.~30 M =$10~.001 - $250.000| S ee Columns CI and D3) N =$250.001 -$500.000 O $500,001 - $1.0(~.000 PI =$1.000.001 -$5,000,000 P2 = $5,000.0~1 - $25.0~0.0~O

    P3 =$2 5,000.001 - $ 50.0~0.000 P4 =More than $50,009,0003 . V a l u e Met h o d C o d es Q - Appr a i sa l R --C ost (R eal [.s late On ly) S =A ss ess me nt T =Cas h M ar k cl

    I S ce Column C 2) U B o o k V a l u e V =O~hcr W -Est ima te d

    E =$15,001- $50,000

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    FINANCIAL DISCLOSURE REPORTPage 5 of 10

    N a m e o f P e r s o n R e p o r t i n gSIomsky, Joel H .

    D a t e o f R e p o r t04/19/201 I

    V I I . I N V E S T M E N T S a n d T R U S T S - i n c o m e , v a l u e , tr a n s a c t i o n s ( I n c l u d e s t h o s e of spouse a n d dependent children; see p p . 3 4 - 6 0 off!llng n s t r u c t i o n ~ . )N O N E (No reportable income, assets, or transactions.)

    D e s cr i p t io n o f A ss e ts T ra n s a ct i o n s d ur i n g re p o r t i n g p e r i o d( i nc l ud i ng t rus t asse t s )

    P l a c e " C A : ) " a f te r e a c h a s s e texemp t from prior disclosure

    I n co m e d ur i n g G ro s s va l ue at en dr e p o r t i n g p e r i o d o f r e p o r t i n g p e r i o d

    (l) (2) (i) (2) (i) (2) (3) (4) ( 5 )A m o u n t T y p e ( e . g . , V a lue V a lue Type (e.g., D a t e V a l u e G a i n I d e n t i t y o fC o d e I d i v ., re n t , C o d e 2 M e th o d b uy , se l l , m m / d d ,~ ,y C o d e 2 C o d e I b uy er / se l l e r( A - H ) or i n t . ) ( J - P) C o d e 3 r e d e m pt i o n ) ( J - P) ( A - H ) ( i f pr iva t e

    ( Q - W ) t ransac t i on)

    1 8 . - -Legacy Texas Bank (CD)

    1 9 . --Legacy Texas B ank(CD)

    20 . - -B a n k of t he Com m on we a lt h o f V i rgin ia(CD)

    2 1. - -M e r ri ck Ba n k ( CD)

    22. --Georgia Bank and Trust Co. (CD)

    2 3 . - -B a n k Un io n ( CD)

    2 4 . - -B a n k Un io n ( CD)

    2 5. - -Ci t B a nk (CD)

    26 . --Cit Bank (CD)

    27 . - -Mid Carolina Ba nk (CD)

    28 . --Charter Ban k (CD)

    29 . - - C h a r t e r B a n k ( C D )

    30 . - -Macon B ank (CD)

    31 . - -DMB Commu nity Bank (CD)

    32 . - -DMB Commu nity Bank (CD)

    3 3 . - -Fi r st J ack son B a n k (CD)

    3 4 . - -Fi r st Com m e r i ci a l B an k ( J ack son, MS)(CD)

    Merged 01/01/10 K(with line 18)

    Matured 02/12/I0 K A

    M e r g e d 01/01/10( wi t h l i ne 2 3 )

    Me rge d 01/01/10(with line 25)

    M a t u r e d 01/27/10 K A

    M a t u r e d 01/27110 K A

    I . I ncome G ain Codes : A = $1,000 o r less B = $ 1,001 - $ 2 ,5 00 C = $ 2 .501 - $ 5 ,000 D = $ 5.001 - $ 15,000( S e e C o l u m n s B I and D4) F =$ 50,001 - $ 100,000 G =$ 100.001 - $1.000.000 I l l =$1.0~0.001 - $5.000.000 112 =More than $5 ,000.000

    2. Value Codes J ~$15.000 or I,.~ K =$15.001 - $50,0~O L =$50.001 o $100.000 /.t = $100.001 - $250.000{S cc Columns C I and D3) N -$250.00! - $500,000 O =$500.001 -

    P3 =$25.000.001 - $50.000.000 P4 = M o ~ e t h a n $ 5 0,000.0003. Value ~. lc thod C odes Q =Appraisal R = C o s t ( Rea l E s t a t e On l y) S = A ssessm en t T =Cas h M ar k et( S ee Column C2) U = Book Valuc V =Othcr W = E st i m a t ed

    E = $ 1 5 , 0 0 1 - $ 5 0 , 0 0 0

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    FINANCIAL DISCLOSURE REPOR TPage 6 of 10

    N a m e o f P e r s o n R e p o r t i n gSlomsky, Joel H .

    D a t e o f R e p o r t04/19/2011

    N O N E (No reportable income, assets, or transactions.)D e s c r i p t io n o f A s s e t s T r a n s a c t i o n s d u r i n g r e p o r l i n g p e r i o d

    ( inc lud ing t rus t asse~s)

    P l a c e " ( X ) " a f t e r ea c h a s s e te x e m p t f r o m p r i o r d i s c lo s u r e

    Income duri ng G r o s s v a l u e a t en dr e p o i~ in g p e r io d o f r e p o r t i n g p e r i o d

    (I) (2 ) (I) (2) (I) (2) (3) (4) (5 )A m o u n t T y p e ( e . g . , V a lue V a lue T y T ~ ( e .g . , Date V a l u e Ga in Iden t i t y ofC o d e I d i v . , l e n t , C o d e 2 M e t h o d b u y , s e l l, m m / d d , ~ , C o d e 2 C o d e I b u y e r ! s e l l e r( A - H ) or i n t . ) ( J - P) C o d e 3 r e d e m p t i o n ) (J -P ) ( A -H ) ( i f pr iva t e( Q - W ) t r a n s a c t i o n )

    35. --American BankCD)

    36 . - -Comm erce Ba nk (CD)

    37 . - -CommereeBank(CD Merged 0 1 1 0 1 1 1 0 K(wi th l ine 36 )38 . --Crescent Bank (CD)

    39 . - -Sallie M ac Ba nk (CD)

    40. --Sal lieM ae Ban k(CD) M erged 01/01110 J(with l ine 39 )41. - -Great Southern Ban k (CD)

    42. - -Pacific ContinentalBank (CD)

    43 . --Genera IElectr ic Capital (Bond)

    4 4 . - -G o ld m a n Sa c hs G r ou p I nc . (B o nd )

    45. - -Genw orth Financial lnc. (Bond)

    4 6 . - -Ci ti gr ou p ln c . (B o nd )

    47 . - -Prudential Financial Inc. (Bond)48 . - -American InternationalGroup (Bond)

    49 . - -Vanguard W ellington Fund50. --V anguard W ellington Fund B uy 0 1 1 2 9 1 1 0 J

    (add l)51 . - -Va n gu a rd To ta l B on d Ma rk e t Ind e x Fu n d S o l d 1 2 1 0 2 1 1 0 L B

    I. I n c o m e G a i n C o d e s : A =$I,000 or less B =$ l ,00 l - $ 2 ,5 00 C =$2,501 - $5 ,000 D =$5,001 - $15,000( S e e C o l um n s B I a n d D 4 ) F =$50,001 - $ 100.000 G = $ 10 0, 00 [ - $ 1, 00 0.0 00 I I I =$ 1, 0~ 0,0 01 - $ 5.0 00 .0 00 112 =More than $5.000,000

    2. Value Codes J -$15.000 or less K = $ 15 .0~ I - $ 5 0.000 L =$50.0~ I - $ 100.000 M = $ 1 0 0 . 0 0 1 - $ 2 5 0 . 0 ~ 3 0( S ~ Columns CI and D3) N =$250,001 - $500.00) O =$ 500.001 - $ 1,00O .000 P I = $1,0O O.001 - $ 5,000,00 0 P 2 = $5 .0 00 .0Q I - $ 25 .0 00 ,0 00

    P 3 = S 2 5 . 0 0 0 , 0 0 1 - $ 5 0 , 0 0 0 . 0 ~ 0 P 4 = M o r e l e a n $ 5 0 , 0 0 0 . 0 0 03. V a lue Mcth o d Co d es Q =A pp raisa l R = C o s l ( Rea l E s t a te On l y) S = A ssessm c n l T :=Cash Markct

    { See C o l u m n C 2 ) U t~ o a k V a lu e V =O~hcr W = E sl i m a t cd

    E =$15.001- $50.003

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    FINANCIAL DISCLOSURE REPORTPage 7 of 10

    N a m e o f P e r s o n R e p o r t i n gS l o m sk y , J o e l H.

    D a t e o f R e p o r t04/19/201 I

    V 1 1 . I N V E S T M E N T S a n d T R U S T S - ~ n c o , ~ e . v a t u o , , , o , ~ a , ~ i o , ~ lndudes those o f s p o u s e and d e p e n d e n t c h i l d r e n ; se e p p . 3 4 - 6 0 of filing instructions.)~] NONE income, assets, or transactions.)N o reportableA. B. C.D e s c r i p t i o n o f A s s e t s I n c o m e d u r in g G r o s s v a l u e a t e n d( i n c l u d i n g t r t t s t a s s e t s ) r e p o r t i n g p e r i o d o f r e p o r t i n g p e r i o d

    i (I) (2) ( I ) ( 2 )P l a c e " ( X ) " a f t e r e a c h a s s e t i A m o u n t T y p e (e .g . , V alue V aluee x e m p t f r o m p r i o r d i s c lo s u r e C o d e I d i v . , r e n t , C od e 2 M e t h o dj (A-H) or inL) ( J - P ) C o d e 3

    52 . --Fidel i ty M oney Market A ccount53 . - -Gen e ra l E lec t r ic C ap i t a l (Bond)54 . - -Vang uard Shor t Te rm Bond Ind ex Fund55 . - -Vang uard Shor t Te rm Bond Ind ex Fund56 . - - Ver i zon C ommunica t ions Inc . (C ommonStock)57 . --Al ly Bank (CD)58 . --Al ly Bank (CD)59 . --Al ly Bank (CD)60 . --Fron t i e r Com m uni c a t i ons (Com m onStock)61 . --Merri l l Lynch (Bond)62 . --Ci t igroup Inc. (Bond)63 . --B a nk o f Am e r i ca (B ond)64 . --Morga n St a n l e y (B ond)65 . --Frankl in Income Fund66 . - - AT&TInc. (C ommon S tock)67. IR A # 468 . - -Vang uard Ta rge t Re t i remen t 20 45 Fund(Y )

    A Di vi de nd J T

    O)T y p e ( e . g . ,b uy , se l l ,r e d e m p t i o n )

    T r a n s a c t i o n s d u r i n g r e p o r t i n g p e r i o d

    ( 2 ) ( 3 ) ( 4 ) (5)D a t e Value Gain I d e n t i ty o f

    m m id d/yy C od e 2 C o de I buyer/se lle r( J - P ) (A-H) ( i f p r i v a t e

    t r a n s a c t i o n )

    Bu y 01/ 29/ 10 JB uy 01/ 29/ 10 KSold 12/13/10 KB uy 03 / 04 / 10 KB uy 04 / 12 / 10 L

    Matured 10/15/10 LBu y 04/12/10 L

    S p i n o f f 07 / 02 / 10 J( f rom l i ne 56 )B uy 10/18/10 KB uy 10/18/10 KBu y 10/18/10 KB uy 10/18/10 KBu y 12/27/10 KB uy 12/27/10 K

    A

    A

    I . l~come G ain Codes : A = $1,000 or less B = $ 1,001 - $ 2 .5 00 C = $ 2 ,501 - $5 .000 D =$5.001 - $15.000(Scc Columns BI and 194) F = $ 5 0.001 - $ 100.000 G = $ 100.001 - $1,000,000 II1 = $ 1.000,001 - $ 5 .000.000 112 =More than $5.000,000

    2. Value Codc~ J = I;I 5 .000 o r less K = $ 15.001 - $ 50.000 L = $ 50.001 - $ 100.000 M =$100.001 - $250.000{S ee Columns CI and D3) N =$250.001 o $500.000 O =$5 00.001 - $1 .000,(300 PI -$1.0(]0.001 - $5 .000.000 P2 =$5.000.001 - $25.000.000

    P3 = $25.000,001 - $50,000.000 P 4 =More lhan $50.000,0003. Value Method Codes Q =Appraisal R = C o s l ( Rea l E s t a t e On l y) S = A ssessm en t T -~ ? ash Mar ke t( 5 c Coh tmn C2) U =Book Value V =O th er W - Es t imated

    E = $ 1 5 , 0 O I - $ 5 0 . 0 0 0

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    FINANCIAL DISCLOSURE REPORTPage 8 o f 10

    N a m e o f P e r so n R e p o r t i n gSIomsky, Joel H .

    V I I . I N V E S T M E N T S a n d T R U S T S - i .... e , ralue, transactions (Includes those of sp ...... d dependent children; seepp. 34-60 of filing instructions.)[] NONE (No reportable income, assets, or transactions.)D e s c r i p t i o n o f A s s e t s T r a n s a c t i o n s d u r i n g r e p o a i n g p e r i o d( i n c l u d i n g t r u s t a s s e t s )

    P l a c e " ( X ) " a f t er ~ a c h a s s e texemp t from prior disclosure

    I n c o m e d u r in g G r o s s v a l u e a t e n dw p o n i n g p e r i o d o f r e p o r t i n g p e r i o d(I) (2 ) (I) (2) (I) (2) (3) (4) (5 )A m o u n t T y p e ( e . g . , Value V a l u e T y p e ( e . g . , D a t e Value G a i n I d e n t i ~ y o fC o d e I d i v . , r e n t , C o d e 2 M e t h o d b u y , s e l l, mi~dd/yy C o d e 2 C o d e I b u y e r / s e l l e r( A - H ) o r i n t . ) ( J - P ) C od e 3 r e d e m p t i o n ) ( J - P ) ( A - H ) ( i f p r i v a t e( Q - W ) t r a n s a c t i o n )

    69. IR A #570 . - -P N C Ban k(C D)71 . I R A # 672 . - -P N C Ban k(C D)73 . Flexible Annui ty Plan74 . - -Mutua l o fAm er ica C o ns e rva t iveAllocat ion Fund75 . --Mut ua l o f Am e r i ca M i d-Te rm B on d Fund76 . --Mut ua l o f Am e r i ca G e ne ra l Ac c oun t

    B Interest M T

    A Interest L T

    D Int. /Div. M T

    Bu y 02/25/10 M

    B u y 04 / 06 / 10

    Sold 12/02/10 K C

    77 . Ta x D e fe r r e d Annui ty E lnt ./Div.78 . - -Mutua l o fAm er ica C o ns e rva t iveAllocat ion Fund79 . --Mut ua l o f Am e r i ca M i d-Te rm B on d Fund80 . - -Mutua lofAmer ica In t e re s t A ccumula t ionAccount81 . PNC B a nk Mone y Ma rke t Ac c oun t A Interest82 . Ci t i z e ns B a nk Se l e c t Mone y M a rke t A InterestAccount83 . Ci t i z e ns B a nk Ch e c k ing A c coun t N o n e

    T

    Sold 12/02/10 M D

    T

    Cl ose dT

    05/04/10 J A

    I . I ncome G ain Codes : A = $1.000 o r less B = $ 1,001 - $ 2 .5 00 C = $ 2 .501 - $5 .000 D =$5.001 - $15.000( S ee Columns BI and D4) F =$50.001 - $100.000 G = $100.001 - $1.000.000 I l l =$1.000.001 - $5.000.000 112 =More than $5.000.000

    2. Value Codes J = $ 15.000 o r Ics.s K = $ 15 .001 - $ 50.000 L =$50.0OI - $ 100.000 M = $ 100.0OI - $250.0~)( S e e C o l um m C I a n d D 3 ) N =$250.001 - $500.000 O = $ 5 0 0 . 0 0 1 - $ 1 . 0 0 0 .1 9 0 0 PI =$ 1.000.001 - $ 5 .000.000 P 2 = $ 5 . 0 O O . 0 0 1 - $ 2 5 .0 0 0 . 0 0 0

    P3 =$25.000.001 - $50.000.000 P4 =Mo re than $50.000.0903. Value Method Codes Q ~Appraisal R ~ C o s l I Rea l E s t a t e On l y) S =Asscssmcnl T ~S as h M ar k elI S ce Column C 2) U - Book Value V - O th o" W = E st i m a t ed

    E =$15.001 - $50.000

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    N a m e o f P e r s o n R e p o r t in gS Io m sk y , J o e l H.

    D a t e o f R e p o r t04/19/201 I

    V III. ADDITIONAL INFORM ATION OR EXPLANATIONS. (lndicatepartofrepor~)P a r t V I I . I n ve s t m e n t a n d T r u s t s . L in e s 1 9 , 2 4 , 2 6 , 3 7 a n d 4 0 a r e f o r C e r t i fi c a te s o f D e p o s i t ( C D) t h a t a r e t h e s a m e a s t h e C e r t i f ic a t e s o f De p o s i t i n t h e l i n e a b o veex c ep t f o r th e do l l a r am ou nt o f t h e C D . T h e "m er ged" C D s and t h e ones on t h e l i ne ab ov e wer e pu r c h as ed i n 20 0 9 and a r e r e fl ec ted a s m e r ged i n t o one C D on t h es t a t ement s r ece ived f rom the inves tment company for the per iod 1/ I12010 to 12/31/2010.

  • 8/3/2019 Joel H Slomsky Financial Disclosure Report for 2010

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    N a m e o f P e r s o n R e p o r t i n gSIomsky, Joel H .

    D a t e o f R e p o r t04/I 9/201 I

    IX . CERTIFICATION.I c er t i fy that a l l informat ion g iven above ( inc luding informat ion per ta in ing 1o my spouse an d m inor or dependen t ch i l dren , i f any ) i saccurate , true , and compl e te to the bes t o f my kn ow, l edge and be l i e f , and th at any informat ion no t r eported ~vas w i thhe ld becau se i t met app l i cab l e s ta tutoryprov i s ions permi t t ing non-d i sc losure .I fur ther cer t i fy tha t earned income from out s ide emp loyment and h onorar ia and the acceptance of g if t s wh ich have b een reported are incomplian ce w ith th e provisions of 5 U.S.C. app. 501 et. seq. , 5 U.S.C. 7353, and Jud icial Conferenc e regulations.

    Signatu re: S/Joel H. Slomsk y

    N O T E : A N Y I N D I V I D U A L W H O K N O W I N G L Y A N D W I L F U L L Y F A L SI FI E S O R F A L L S T O F I L E T H IS R E P O R T M A Y B E S U B J E C T T O C I V I LA N D C R I M I N A L S A N C T I O N S ( 5 U . S. C . a p p . 1 0 4 )

    Comm i t t e e on F inanc i a l Di s c l osur eAdm in i s t r a t i v e Of fi c e o f t h e Un i t ed S t a t e s Cour t sSu i t e 2 -301One Co lum bu s C ir c l e , N .E .W ash ing ton , D .C . 20544