Professional Documents
Culture Documents
.... ~,ey,ii~O~
2. Cou~ or Organization
3. ~te of Repo~
~ Initial
9/1/2010
~ ~ual
6. Reporting Period
Date
~ Nomination,
~ Final
01/01/2009
12/31/2009
5b. ~ ~dedR~o~
7. Chambers or Office Address
Refie~g Officer
Date
I~ORTANT NOTES: The ~s~uctions accompanying this form must be foHowe Complete a~ parta,
checking the NONE box for each part where you have no reportable i~form~om Sign on l~t page.
I. POSITIONS. ~epon~
~ NONE (No reportable positions.)
PO__Q_~T!Q_N_
NAME OF Q..RGA~N/ENTITY
1. Co-Trustee
3, Co-Trustee
4. Co-Trustee
5. Co-Trustee
6. Co-Trustee
7. Co-Trus,ee
Trust #24
;~.;
9. Trustee
Tr~st #26
10Trustee
,. ~
11 Trustee
II. AGREEMENTS. (Reporting individual only; see pp. 14-16 of filing instructions.)
NONE (No reportable agreements.)
.DATE
1.
:7 ~.._ .-:">
::"
;.:
2.
3,
Dale of Report
9/1/2010
Barry, Maryanne T.
]
B. Spouses Non-Investment Income - If you ~,ere married during any portion of the reporting year, complete this section,
(Daltar crmou~l not required ~cept for honoraria.)
[]
~
1.
2.
3,
4.
5.
P~PO8~
Ba~, ~a~a~e T.
Date of Report
9/1/20~o
V. GIFTS. (Includes those to sp .... nd dependent cl~itdren; see pt~ 28-31 of fding instructions.)
NONE (No reportable g~[ts.)
SOURCE
DESCRIPTION
VALUE
2_
3.
4.
5.
~]
1.
2.
4.
5,
DESCRIPTION
VALUE CODE
Date of Report
t
Barry, Maryanne T.
9/I/2010
VII. INVESTMENTS and TRUSTS-i,co,,,. ,.,~,,, ~, .... tions (Inclades those of spouse and dependent children; see pp. 34-rOoffdinginstruction&)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
~,mount
Zode 1
(A-H)
(2) (|)
Type (e.g.,
div., rent,
or int.)
C.
Gross value at end of
reporting period
(2) ~ (l) 1(2)!(3) (4)
(5)
Value
Value [, Type (e.g.,
Code 2
buy, sell,
Method
, Code 3
redemption)
(I-P)
i (Q-W)
1.
Rent
),
Rent
3.
Rent
4.
Rent
5.
Rent
6.
Rent
Int./Div.
PI
7.
! 8.
D.
Transactions during ~eporting period
[ Date
i Month Day
Value
Code 2
(J-P)
i
Buy
3/23
9.
Buy
3/30
I 0.
Sold
(part)
5/4
11.
Buy
6/22
Sold
8t4
13_
Buy
9/28
14.
Sold
(paa)
I1/4
12.
(part)
16.
17.
None
PI
Gain
Code 1
(A-H) :
i
i
identity
buyer/seller
(ifprivate
transaction)
Date of Report
Barry, Maryanne T.
9/!/2010
VII. INVESTMENTS and TRUSTS -in~ ..... I,e, tr .... dons (Includes those of spouse and dependent children; see pp. 34-60 offcling instruction.~)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
B.
Income during
(2)
0)
Place "(X)" after each asset
exempt from prior disclosure
t_.__._...__
18.
C.
Gross value at end of
~l) ! ~2)
Value
Code 2
(J-P)
Value
I Method
Code 3
(Q-W)
D,
Transactions during reporting period
~1)
Type (e.g.,
buy, sell,
redemption)
(2)
~3) [ (4)
Date
Month Day
Value [ Gain
Code 2 I Code I
(J-P) ] (A-H)
i
Identity of
buyer/seller
(ifprivatz
transaction)
- Cash JPMorganChase
19.
20.
21.
22.
23.
24.
Sold
(part)
8/21
25.
Sold
11/12
Sold
8/22
Sold
5/12
]nt./Div.
TURN FUND
27.
28.
29.
30.
31.
32.
33.
34.
A ~$1.000 or less
F -$50.001 - $100.000
J ~$ I S,000 or less
N =$250,04)1 - $500.D00
P3 ~$25,000,001 - $50,000,000
Q =Appraisal
U =Book Value
B =$1,001 - $~.~
G =$100.001 - $1,000,000
K =$1S,00l - $50.000
O =$500 00~ - $1.000,000
R ~Ct)st (Real Estate Only)
V =Other
C =$2.501 - $5,000
HI =$l,000.00l - $5,000.000
L =$50,00! - $ I O0,000
PI =$!,000,001 - $5,000,000
P4 =Mor~ th~ $50,000,00~
S =Assessment
W =Estimated
D ~$5,001 - $15,000
H2 =Mo~e than
M =$100~001 - $250~000
P2 =$5,000,001 - $25,0D0.090
T =Cash Markel
E =$15,001 - $50,000
Date of Rep0rt
[
Barry, MaryanneT.
Page 7 of 277
9/1/2010
~mo~t[ T~(e.g.,
di~ rent
C~el [
[~
C.
D.
T~ns~tions dunng r~o~ing
! Value
] Meth~
Ty~(e.g.,
buy. sell,
35.
~6.
-FMI FDS ~C
37.
38.
39.
Sold
5/12
40.
Sold
8/19
41.
Buy
12/29
42.
Buy
8~2
43.
Buy
8/22
Buy
5115
45.
Buy
5/15
47.
Sold
(pa~)
8/21
i 48.
~ 49.
50.
51.
Identi~of
buyer/~ller
Date of Report
Page 8 of 277
Bar~y, Maryanne T.
9/112010
VII. INVESTMENTS an d TRUSTS - inco,~, vo~u., .a,~a~,~ (Includes those of spouse and dependent children; see pp. 34-60 of ~dlng i~uctions.)
NONE ~o reportable income, assets, or transactions.)
A.
Des~pfio~ of Asse~
(including trust asse~)
]
I
B.
Income during
repo~ngp~i~
C.
G~ va~e at end of
r~oaiug period
!
~
D.
Tmnsacli~s during re~ing ~fiod
Place "(X)"fromafterprior~hdisclosu~a~et
Amount ] T~e (e.g., / Value [ Value ~ T~e (e.g., Date Value Gain / Identi~ of
C~e 1 ~v.,
C~e 2 ~ Me~od
buy, sell,
Mon~
Code 2 Co~ I [
Day
(AH)L orint)] (J-P) ~:~
[ (J-P)
t~mption)
](A-~ ~
~ansaction)
~
, (ifpfvate
~
[
.
52.
Sold
11/12
Sold
8/22
Sold
5/12
~ 55.
56.
57.
58.
59.
60.
6!.
64.
65.
66.
Sold
5/12
67.
Sold
8/19
68.
Buy
12/29
A N$1,000 or less
F =$50,001 - $1~0,000
J -$15,00~ or te~s
N =$250,001 - $500,0Q0
P3 =$25,000,001 - $50,~00,000
Q ,:Apptaisal
U ~Book Value
B =$1,001 - $2,500
G -$100,001 - $1,000,001)
K ~$15,001 - $50,000
0 =$500,091 - $1,000.000
R ~Co~ (Real Estate Only)
V :OO~cr
C =$2,501 - $5,!)00
HI =$1,0~0,0Ol - $5,000,(300
L =$50,0~1 - $i00.000
PI =$1,00~.001 - $5,000,000
P4 ~More ~h~m $50,0~0,000
S -Assessment
W =F~tima~ed
D =$5,001 - $15,000
H2 =More than
M ~$lOO.001 - $250.000
P2 =$5.0~O,001 - $25,0~0,000
T =Cash M~ket
E =$15,001 - $50,01)0
[Name
B~y, Maryanne T.
of Person RepoSing
9/1/2010
B.
Incom~ dndng
r~o~ing ~
Amour [ T~ (e.g.,
Code 1 ~ div., renL
(A-H) ~, or int.)
~
Tmnsactioos d~ng r~o~ing
Value
[ Me~
C~e 3
T~e (e.g.,
buy, se~,
~emption)
Date
Value
Mon~ Code =
Day
~ (J-P)
69.
Buy
8/22
70.
Buy
8/22
71.
Buy
5/15
72.
Buy
5/15
73.
74.
75.
76.
77.
78.
79.
Sold
11/12
~0.
81.
82.
Sold
8/22
83.
Int./Div.
P1
Ga~
l
(A-~
l [c e
Idenfi~ of
buyer/seller
(if private
A ~$I,000 or less
F =$50.001 - $100,000
J =$15,000 or less
N ~$250,0OI - $500,000
P3 =$25.000.001 - $50,0~20,000
Q ~Appraisal
U ~Book Value
B =$1,001 - $2.500
G =$100,001 - $1,009,000
K =$15,001 - $511,0~0
O =$500.001 - $1,0~),000
K -~ost (Re~l Estate Only)
V ~Ot,her
C-$2,50| - $5.000
HI =$1,000,001 - $5,000,000
L =$50.001 $100,000
Pl =$ i.O00.001 - $5,000,000
P4 =More than
S =Assessment
W =Estimated
D ~$5,001 - $15.00~
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25.000.000
E =$15~001 . $50.00~
"
T =Cazh Market
,.
Page 10 of 277
Date of Report
9/m010
V II. INVESTMENTS and TRUSTS - in ...... ~.~. transactions (Includes tho,e 4 spouse and dependent children; see pp. 34-60 offding instruction.~)
[---]
B.
Income during
. reporting period
~.m.oun, t ] Type (e.g.,
Code t [ div., rent,
(A-H) I
or int.)
C.
Gross value at end of
reporting period
Value
Code 2
(J-P)
I
87.
88.
89.
90.
Value
Method
Code 3
(Q-W)
D.
Transactions during reporting period
.
Type (e.g_,
buy, sell,
redemption)
!
j
Date
Month Day
Value
Code 2
(J-P)
Sold
5/12
92.
Sold
8/19
93.
94.
95.
Buy
12/29
96.
Buy
8/22
97.
Buy
8122
Bu~,
5/~
Buy
5/t5
Sold
(part)
!/30
Sold
2/27
99.
100.
Identity of
buyer/seller
(if private
txansacfion)
91.
"~8.
Gain
Code I
(A-H)
Dividend
A =$1,000 or Ices
F---$50,0~1 - $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 =$1,00l - $2,500
G ~$100,001 - $ t,000,000
K =$15,001 - $50,00~
O =$500,001 - $1,0~0,000
R ~-.Mst (Real E~at Only)
V =Other
C =$2,50! - $5,000
HI *$1,000,00l - $5,000J)00
L =$50,001 - $100,000
P I =$1,000,001 - $5,000,000
P4 ~More fl~a~ $50,000,000
S =Assessment
W =Estimated
D =$5,001 - $15,000
H2 ~More than $5,000,0fi0
M =$100,OOi - $250,000
P2 =$5.000,001 - $25,000,000
T :=Cash Market
E =.$15,001 - $50,000
9/1/2010
Bahr, Maryanne T.
[
B.
]noomc d~ng
mpo~ing
(A-~ ~
C,
r
r~emption)
Day
Sold
2/27
Buy
2/27
105.
Buy
3/26
106.
Sold
4/27
107.
Buy
4/27
108.
Buy
5126
109.
Buy
6/16
l l 0.
Buy
6/26
Ill.
Buy
! 7/27
Sold
8/5
or inC)
I 12.
O-P)
~ C~e3
(part)
113.
Buy
8/26
i 14.
Buy
9;28
115.
Buy
t0126
I 16.
Sold
! 1/6
(part)
117.
Buy
11/27
Buy
12/28
,
118.
119. American Funds Money Market Fund F2
~ (J-P) (A-~ ~
(ifpdwte
Date of Report
9/1/2010
] Barry, Maryanne T.
VII. INVESTMENTS and TRU S TS - ~ ....... t.,, tr .... tion, (Includes those of sp ..... d dependent children; see pp. 34-60 of.fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
~-
Description of Assem
(including tn~st assels)
Place "(X)" after each asset
exempt from prior diselos~xe
/
I
B.
C.
D.
Income during
reporting period
Amount I
Code 1 I
(A-H) !
Type (e.g.,
div., rent,
or int.)
Value
Code 2
(J-P)
120.
Value
Method
Code 3
i
Dividend
Type (e.g.,
buy, sell,
redemption)
(Q-W)
"
Sold
122.
1130
(pan)
Sold
2/27
Sold
2/27
Buy
2,/27
Buy
3/26
Sold
4/27
127.
Buy
4/27
128.
Buy
6/26
129.
Sold
8/5
130.
Buy
7/27
131.
Buy
8/26
132.
Buy
9/28
133.
Sold
(part)
l I/6
134.
Buy
10/26
135.
Buy
11/27
t 36.
Buy
12/28
i 125,
126.
(part)
(part)
U -Book V~ue
V ~et
Code ]
(A-H)
(S~ Colu~ ~)
Gain[
Value
Code 2
(J-P)
[i Date
[ Month / Day
Identity of
buyer!seller
(if private
transaction)
Date of Report
r~ ....f P ....Reporting
9/1/2010
Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - Jn~o,,, .... I., transactions (Includes those of spouse and dependent children; seepp. 34-60 of fding insrrucaons.)
NONE (No reportable income, assets, or transactions.)
Description of AsseL~
(including tr~st assets)
Place "(X)" afmr eachasset
exempt from prior disclosure
Income during
reporting period
Vatue
Method
[ Cod3
Typ~ (e.g,
buy, sell,
redemption)
Identityof
bnyedseJle!
(ifprivate
transaction)
Interest
P1
Interest
PI
Dividend
Transferred
from line 2220)
3/4
143.
Sold
3/19
!44.
Transferred
i~om line 2468
6/1
145.
Buy
10/19
I46.
Sold
12/10
Transferred
ifrom line 2224
3/4
Sold
3/18
Transferred
from line 2319
3/4
150.
Sold
3/19
15I.
Transferred
from line 2875
6/1
152.
Transferred
from line 3902
6/1
153.
Sold
(part)
8t24
148.
I49. Heineken HoldingNV
A =$1,000 ot less
F ,=$50,001 - $10~l,000
J =$15.009 or 1~
N =5250,001 . $500,000
P3 ~$25,000,00t - $50,000,0~00
Q =A!~praJsal
U =Book Value
Dividertd
B =$1,001 - $2,500
G =$ 100,001 - $ 1,000~000
K =$15,001 - $50,030
O =$500,001 - $1,000.O00
R =Co~t (Real Estate Only)
V "-~3thcr
C =$2,501 - $5,000
H 1 =51 ,O0B~001 - $5,000,000
L =$50,0~ 1 - $ I~),000
PI =51.0~dO.001 - $5,000,lKqO
P4 =More than $50,000,00~
S =Asse~ment
W =EsOmated
D =$5,001 - $15,0~t
H2 ~More ~haa $5,000,000
M ~$100,091 o $250,000
P2 =55,000.00I - $25,000,000
"1" =43eah Market
E =$15,001 - $50,00~
Page 14 of 277
Date of Repor t
9n/20t 0
1 s~r~y, ~aa~y~n.e T.
B.
C.
Income during
Gross value at end of
repomng ~ri~ ~ng ~6od
J~o~tl T~e(e.g., ]
Value
Value
~154.
T~e(e.g.,
Sold
8/27
Transfe~ed
from line 2442
314
~old
3/18
Trans~k~ed
kom line 3415
6!1
Tmnsfe~ed
~om line 2427
3/4
159.
~old
3/!8
160.
Transfe~
kom line 334J"
611
!61.
Transfe~
~om line 4386
611
162.
Sold
8117
163.
Sold
(pan)
~/24
"F~ansfe~ed
~om lin~ 2426
3/4
Sold
3/19
Dividend
156.
Dividend
Dividend
165.
J
K
166.
Transferral
~from !ine 3342
6/t
167.
Tr~sfe~ed
(from line 4383
611
3/19
6/1
~68. Nestle SA
None
169.
Sold
170.
Transfe~ed
3/4
(born line 2364
[ Transfe~ed
!~om line 3056"
A =$t,000 or l~n
F :~4550,001 - $100,000
J =$15,13OO or less
N =$250,001 - $500,000
P3 =$25,0~0,001 - $50,000,0~0~)
Q ~Appraisal
13 =Book Vatue
B oSI,001 - $2,500
O =$100,001 - $|,000,00~
K =$15,001 - $50,000
O =$500.001 - $1,000.000
R =Cax~ (Real F~te O~ly)
V -Ot~er
C =$7..501 - $5,000
H 1 --$1,000,00t - $5,000,000
L =$50,001 - $1003100
PI =$1,000,001 - $5,000,000
p~l =More 1~ $50,000,000
S =Assessment
W =Esti~natefi
Identibof
J
C
D =$5,001 - $15~000
H2 =More than $5,000,000
M =$10O,IKI1 - $250,000
P2 =$5,0~O,001 - 125,000,000
T =C~sb M~rket
E =$15,001 - $50,000
DateofReport
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - ~ome, ~,t,e, ~,ns*enons ana~ t,o~o oy,p ......
~]
NONE
B.
C,
Description of Assets
(including trust assets)
Income during
reporting period
~-[--- (~)
Place "(X)" after each asset
(t)
(2)
D.
Transactions during reporting period
(l)
I (2)
(3)
Transferred
(from line 4086
171.
6/t
172.
Sold
(part)
9/7
173.
Buy
11/25
174.
Sold
11/24
Transferred
from line 2456
3/4
Sold
3/18
Transferred
from line 2320
3/4
178,
Sold
3/19
t79.
Transferred
from line 2886
6/1
~art)
None
176.
None
Sold
!~0.
7/14
Buy
10/19
Transferred
"from line 2281
3/4
(part)
181.
182
(4)
Value
Gain
Value
Value
Type (e.g.,
I Date
Method
buy, sell,
Month - Code 2 Code 1
Code 2
(J-p) ~ Code 3
redemption)
Day
(l-P) (A-H)
CRFI PLC
Dividend
183.
Buy
3/18
84.
Sold
3/20
85.
Sold
(part)
3/24
86.
Buy
5/1 ]
(part)
(part)
(~)
Identity of
buyer/sellea
(if private
9/1/2010
VII. INVESTMENTS and TRUSTS - i .... e, value, transaetior~s t~rnclade$ those of sp ...... d dependent children; seeplx 34-60 O/~-di~g ir~tructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "~X)" afar each ass~
exemp, from prior disclosure
tncoB-uringned
I reporting period
C,
~
! Gross value at end of
I reporting period
[~
D.
Transactions during reporting pedod
Value
Type (e.g.,
buy, sell,
I Me~hod
redemption)
i(Q~W)~ Code 3
Value! Gain
Date
Month- [ Code 2 Code 1
Day
(A-H)
I O-P)
188.
Sold
(pan)
5/18
189.
Transferred
from line 2734)
6/1
Transferred
from line 3759)
6/1
f Transferred
~from line 2392
3/4
190.
~191. Richemom Cie Fi
/
J
Dividend
192.
Sold
3/19
193.
Buy
9/3
Transferred
from line 2369
3/4
Transferred
from line 2397
3/4
! 97.
Sold
(part)
3/19
i98.
Transferred
from line 3206
6/1
10;t9
Transferred
from line 2260
3/4
20t.
Sold
(part)
3/19
202.
Sold
3/| 9
194. Novartis AG
None
Dividend
199.
Buy
200. Bouygues
None
203.
Transferred
from line 2642
6/I
204.
Transferred
from line 3666
6/1
A =$1,000 or lta~
F -$50,001 - $100~000
J -$ I 5,0tX) or less
N =$250,001 - $500,000
P3 ~$25,009,001 - $50,0!10,000
Q =Appraisal
U -Book V~!ue
B =$1,001 o $2.500
G =$100,001 - $1,000.000
K ~$15,001 - $50,000
O =$509,00I - $1,000,000
R =Cost (Real Estate Only)
V =Other
C =$2,501 - $5,000
HI ~$1.OOO,00l - $5,000,000
L -~550,00I - $100,000
PI =$1,000,001 - $5,~o0,000
P4 =More ~an $50,000.000
S =Asscssmcm
W ~Esrimated
Identity of
buyer/sdl~r
i
tr0fpdvatetion)
D =$5,0~11 - $15.00t)
H2 =More tt~m
M =$100,001 . $250,000
P2 ~$5,000,001 - $25,000,000
2" =Cash Market
E ~$15,001 - $50,1300
NameofPerson Reporting
Page 17 of 277
~.rrr, Maryanne T.
DateofReport
9/112010
~
VII. INVESTMENTS and TRUSTS - ~.co,.e. ,ot,,. t,,,~,cno,~ a, aode~ tno,, of s~, ....
,~
transactions.)
Income during
reporting period
--i~--7 (2)
div., ~ent,
(A-H) ! or int.)
205.
I
206.
207.
LAir Liquide
None
buy, sell,
208.
Sold
10/12
S~ld
10128
3/4
3/19
Transferred
(from tine 234~
Sold
209.
Transferred
(from line 298~
6/I
I.
210.
Transferred
from line 4015
6/1
Transgened
from line 2324
3/4
212.
Sold
3/19
213.
Transferred
f~om line 2898
6/1
214.
Transferred
(to line 3926)
6/1
215.
Buy
10/19
Transferred
f~om line 2350
3i4
3,19
21 I. ttSBC HIdgs
Dividend
Dividend
217.
Sold
2 i 8.
Transferred
~om line 2989
6/1
219.
Buy
10120
Trans~%rred
from line 23~8
3/4
Sold
3/19
Dividend
buyer/seller
(if private
transaction)
Code 2 [ Code I
Date of Report
9/1/20!0
Page 18 of 277
VII. IN VESTMENTS and TRUSTS - i.eo,,,~, ~l.e, ~ ..... ao~ (Inch,des those of spouse a~ depe~ent children; see p~ 34-60 o[fding
NONE ~o repo~able income, ~sets, or ~ansactions,)
A.
~cfipti~ of A~e~
(including ~st asse~)
Place "(X)" after each asset
exempt from prior ~sclosure
B.
Ineom~ during
r~oaing p~
Amo~t
C~e 1
(A-~
T~e (e.g.,
div., rent,
or int.)
C.
~
Gr~s value at end of~
r~o~ng pefi~
Value
C~e 2
(J-P)
~ Value
[ Me~od
] C~e 3
D.
T~nsactions d~ng r~o~ng period
T~ge (e.g.
buy, sel!,
[ redemption)
Date
Valae
Gain [
Mon~ C~e 2 Code 1 /
Day
~ (J-P) [ (A-~ [
~rom line
223.
T~ansfe~ed
~om line 4189
6/1
224.
Buy
10/19
T~nsfe~ed
from line 2235
314
Sold
(pan)
3/18
225.
AME~CA MOVIL
Dividend
226.
Transge~ed
~om line 3534"
6/1
229.
Sold
(pa~)
8/27
T~ansfe~ed
~om line 2425
3N
231 .
Sold
3/20
232.
Transferred
ffrnm line 3334
6/I
233.
Transferred
from line 4377
6tl
Transfen-ed
from line 230]
3/4
235.
Sold
3/19
236.
Transferred
from line 2804
6/t
237.
Transferred
from line 3828
6/1
Dividend
None
Dividend
Transferred 3/4
from line 2347
Identi~ of
buyerlseaer
(ifp~vate
Date of Report
9/1/2010
[
B.
]ncom~ d~
reining p~
Amour [ T~ (e.g.,
Code 1 / div., r~t,
(A-~ I~ orinL)
C.
Gross value at end of
re~ing period
Value
C~e 2
(J-P)
[ Value
[ Me~od
~ Code3
D.
Tra~actions d~ng r~ning pefi~
Type (e.g.~
buy, sell,
redemption)
Date
Value Gain
Mon~- [ Code 2 [ Code 1
Day [ 0-P) ~(A-~
239~
Sold
3/19
240.
Tr~sfened
flora line 2976
6/1
241.
Transfeffed
from line
6/]
Transfe~ed
~om line 2257
3/4
3/19
None
242. B~ PA~BAS
Sold
243.
244.
Transfea~
(from line 2627
6/1
245.
i Traasfeg~
~ffom line 3648"
6/1
246.
Sold
(paa)
8/26
247.
Sold
(pa~)
10/6
Transf~
~om line 2298~
3/4
249.
Sold
3/] 8
250.
Buy
10/16
Transferred
from line 2310
3/4
3/18
~,
Dividend
Dividend
252.
Sold
253.
Transferred
from line 2837
6/1
254.
Sold
(part)
8/24
255.
Buy
11/19
A =$1.000 0r less
N =$250.00] - $500.00~
B =$1.001 - $2.500
O =$500.001 - $1.000,000
C =$2.501 - $5,000
PI =$1.000.00i - $5.00rv,000
Idemi~ of
buyerlsell~
D =$5.001 - $15.000
P2 =$5.000.00! - $25.000,000
E ~$15,001 - $50,000
[
I
9/1/2m0
VII. INVESTMENTS and TRU S TS - i .... ~.e, transactions (Includes those of sp ...... d dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A
Description of Assets
(including trust assc~)
~
I
[
B.
Income during
repo~ing period
Amount
Code 1
Type (e.g.,
div., rent,
C.
Gross value at end of
reporting period
~33--~
Value
Code 2
[ Value
[ Method
D.
Transactions during reporting period
(1)
[ O;-
Type (e.g.,
buy, sell,
I Date
Month -
Value Gain
Code 2 Code l
256,
Buy
11/19
257.
Buy
11120
Transferred
from line 2327
3/4
Transferred
from line 2908)
6/I
Transferred
from line 3934
6/1
Transferred
from line 2378
3/4
263.
Sold
(pan)
3/18
264.
Sold
3/18
265.
Transferred
from line 3117
6/1
266.
Transferred
from line 4150
6/1
Transferred
from line 2239
3/4
268.
Sold
3/I 8
269.
Transferred
from line 2540
270.
Buy
10/16
271.
Sold
10/30
Sold
10130
)58.
Dividend
[ 261.
262. PEPSICO
267. AT&T
272.
Dividend
Dividend
(par,)
611
Idm~tity of
buyerlseller
Date of Report
9/I12010
Barn,, Maryanne T.
VII. INVESTMENTS and TRUSTS -inco~. ~tue. t,u~,cno~ a, ci~cs ~hos, olspo~, ,~a a,~a~, ~,~;
NO~ ~o repo~able income, assets, or ~ansactio~.)
Desc~ption of Asse~
(including trust a~ets)
In.me during
r~i~ ~d~
C~e 1
(A-~
div., renB
or int.,
I Value
Dividend
I
buy. sell,
(J-P,
~ ~;~Z
Iredempfn)
Tr~sfe~ed
f~om line
~ ~ (3-., .A-~
314
274.
Sold
(pa~}
3~18
Z75.
Sold
3/18
276.
T~a~sfe~ed
~{~am line 3239~
6/1
27~.
~ T~nsfe~ed
~om line ~275)
6/1
278.
Buy
10119
Buy
10~9
Transfe~d
~om line 2418
3/4
281.
So16
3118
282.
Translated
~om line 330I
611
283.
Sold
(pa~)
10/28
284.
Sold
(pan)
10128
285.
Sold
(pan)
10/29
286.
Sold
10/29
279.
280~ SOUTH~ST AIrlINES
Dividend
Dividend
Tr~sfe~ed
from lin~
3/4
Sold
(part)
3/18
289.
Sold
3/] 8
A -$1,000 or le..s s
F ---$50,001 - $100,000
J =$15,000 or less
N ~$250,001 - $50fl,DO0
F3 =$25,000,001 - $50,0~,000
Q =Appraisal
U ~Book Value
B =$1,00! - $2,500
G =$100,0OI - $1,00~,000
K =$15,0~)1 - $50,000
O =$500,001 - $1,00fl,000
R =Cost (Real Estale Only)
V -.=Other
C -$2.501 - $5,000
HI =$1,000,001 - $5,000,01)0
L =$50,001 - $100,000
p ! =$I,000.001 - $5,000,000
P4 =Mc, re than
S =Assessn~ent
W =Estimated
288.
buyer/seller
(if pilvate
D =$5.001 - $ [ 5.009
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5.000,001 - $25,000,000
T =C~h Market
Page 22 of 277
Date of Relmrl
Ba~,, Maryanne T.
9/i~010
Pla~"(X)"~ereach~set
exert from .or discl~ure
In.me d~ng
re~ing period
a ..... tI Type(e.g.,
C~e ~[I div__[ r~t
Val~
Value
Ty~(e.g.,
C~e 2
bteth~
buy, sell.
290.
Sold
6/15
"f~nsfe~ed
from line ~6
6/1
Transfe~ed
~om line 2228~
3/4
(oaa)
ld~i~of
buyerlseller
292.
293. AIR PRODUCTS &CHEMICALS
Dividend
294.
Sold
Transfe~ed
3118
6/~
Transfe~ed
~om line 3507
6/l
Transfeged
~om line 2306
3/4
Sold
3118
Tr~sfe~ed
6]1
Buy
10/16
Dividend
298.
300.
(pan)
(part)
303,
Sold
(paa)
304.
306.
Dividend
11/4
Sold
1115
Tr~sfe~ed
~om line 2361
3/4
Sold
3/I 8
Date
B~r~y, Maryanne T.
Page 23 of 277
9/112010
VII. INVESTMENTS an d TRUSTS - i.co~,, ~.~,,, ~r..s.aio.~ a=et~,s tho,e o~,~ .....
NONE ~o reportable income, assets, or ~ansactions)
A.
~scription of Assets
(including trust ~se~)
Pla~"(X)"a~er~cha.et
D.
Transactions during reposing
[
C.
Gross vMue at end of
[ Income
~ reposing period ~ re~aing pefi~
]Amo~t
[Code 1
T~(e.g., [Value
div ..... t, ] C~e 2
~(J-P)
I Vatue
] M~thod
[ Code3
I T~e(e.g.,
I buy,,=ll,
[ r~emption)
307.
T~nsfe~
~om line 3015
6/1
~08.
T~nsf~ed
~om line 4063~
6/1
Tmnsfe~ed
from line 2395
3/4
310.
Sold
3119
311.
Transferred
from line 3180
6/1
312.
Transferred
from line 4218
6/1
Transferred
(from line 24~7
3/4
Transferred
from line 3438
6/1
Transferred
"from line 2243)
3/4
Sold
3i18
Transferred
from line 2247
3J4
Dividend
Dividend
315.
316. BAKER HUGHES
None
317.
318. BERKSHIKE HATHAWAY
None
319.
Sold
3/18
320.
Buy
9/3
Transferred
,from line 2280
3/4
3/18
6/1
Dividend
322.
Sold
323.
Transferred
from line 2729
A ~$1,000 or less
" F =-$50,001 - $100.000
1 =$15,000 or less
N -$250,001 - $500,000
P3 ~$25,000,001 - $50.600,000
Q =Appraisal
U =Book V~lue
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 Ordy)
V =Other
C =$2,501 - $5,000
1-11 =$1.000,00| - $5,000.000
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,000
P4 =More ~an $50,000,000
S =Assessment
W ~Estlmated
D
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5,00.0,001 - $25,000,000
T =Cash Market
Idenfi~of
9/1/2010
B.
Incorue duriug
reporting period
(/~ (2)I(l)I (2)-1
Amount [ Type (e.g.,
Code ! ] div., renl,
(A-H) !
or int.)
C.
Gross value at end of
reporting period
Value
Code 2
(J-P)
i Value
Method
Code3
! 324.
325. LOWES COS
Buy
B
Dividend
[ 326.
Transferred
from line 2352
Sold
10/16
3/4
3/18
327.
Transferred
from line 3002
6/1
328.
Transferred
"from line 403
6/1
Transferred
from line 2446
3/4
3/18
Transferred
from line 3432
6/1
Transferred
"from line 2302
3/4
3/18
314
Dividend
330.
Sold
33 I.
332, EXXON MOBIL COR~
None
333,
334. FEDEX CO1LP
Sold
A
Dividend
Transferred
from line 2305
Gain
Code 1
(A-H)
B
"
335.
Sold
3/18
336.
Buy
9/3
337.
Buy
10/16
Transferred
from line 2232
3/4
339.
Sold
(pa~)
3/18
340.
Sold
3/18
Dividend
(5)
Identity of
buyeffseller
(ifpxSvate
~,,, t~ ..... "tiGriS ancludes those o[sp .....d de~ndent children; see p~ 34-60 of ~dlng ~s~uctio~)
Date of Report
9/./Z010
[ B~r~, Ma,Va~,,e T.
Income dufng
~ re~ing ~
Date
r~emption)
Day
[ (J-P)
341.
Transfe~ed
~om line 2497
6/1
342.
Tramfe~ed
~om line 3524
6/1
Buy
10/16
T~nsfe~ed
born line 2389
3/4
Sold
3/19
346.
T~nsfe~ed
~om line 3159
6/I
347.
T~nsfe~ed
~om line 4t98
6/1
Value
~m2u~t [ T~ (e.g..
] t~",!
orint.)
(J-P)
Value
~ C~e3
None
] 345.
ldenfiff of
(A-H)
(ifpfvam
348.
Buy
7/1
349.
Buy
11/25
350.
Sold
(part)
11/24
35 ].
Sold
(part)
11124
Transferred
from line 2399
3!4
353.
Sold
3/19
354.
Buy
10/19
355.
Buy
10/19
356.
Sold
11/20
357.
Sold
(part)
12/8
352. SAP AG
i
i
Gain
[~
~343.
344. KIO T~TO
Value
None
A =$1,000 or les~
F ---$50,001 - $100,000
J =$15,000 or less
N =$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q ~Appralsal
[J =Bc~k Value
B ~S1,00! . $2,500
G --$I00,0~1 - $1,00O,000
K =$15,001 - ~50,0g(I
O =$500,~01 - $1,[kqO,00g
R --Cost (P.~ Estate Only)
V =Gtber
C =$2,501 - $5,1306
HI =$1,00t1,001 - $5,0g0,0tX)
L =$50,001 - $109,00~
P1 =$1,000,00~ - $5,1)00.000
P4 =More than $50~0~0,0W0
G =Assessment
W =Estimated
D =$5,801 - $15,000
H2 =More tba~ $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,00D,0~
T =~.2 ~h Market
Page 26 of 277
Date of Report
9/1/201o
I Barry, Maryanne T,
VII. INVESTMENTS and TRUSTS - ino~,e, ~aiu,, t~octio~ an~tud~ thos, o/sp ..... ,~ dependent children; see pp. 34-60 of flling instructions.)
[] NONE (No reportable income, assets, or transactions.)
358.
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
C,
Grosa value at end of
reporting period
Value
Code 2
(J-P)
{ Value
Method
Code 3
i (Q-~0
359.
Sold
3/20
360.
Transferred
from line 2962
6/1
361.
Sold
(part)
8/14
362.
Sold
(part)
9/1 l
363.
Sold
(part)
9/14
364.
Sold
9/15
Dividend
/ Transferred
3/4
t(fi-om line 2278
366.
Type (e.g.,
buy, sell,
redemption)
Transferred
from line 2343
365. COMCASTCOR.P
None
D.
Transactions during reporting period
Sold
J
3/18
367.
Transferred
(from line 2722
6/1
368.
Transferred
(from line 37~-7
6!1
369.
Sold
(part)
8/7
370.
Sold
(part)
8/10
37 l.
Sold
(part)
8/12
372.
Buy
11/3
373. CANON
374.
Dividend
Transferred
from line 227]
Sold
3/4
3/19
J .....
Identity of
buyer/seller
(if private
transaction)
Page 27 of 277
Barry, Maryanne T.
Date of Report
9/1,r20] 0
VI I. INVESTMENTS and TRU STS - i,~o,~, vane. ~ .... tin., (Includes those of spo .... d dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
(1)
(2)
Amotmt Type (e.g.,
div., rent,
i Code 1
(A-I~ !
orint.)
!
i
C.
Gross value at end of
reporting period
(l) i (~.)
Value . Value
Code 2
Method
I Code3
(J-P)
(Q-W)
D.
Transactions during reporting period
(i,~
Type (e.g.,
buy, sell
redemption)
(?.)
Date
Month Day
375.
Transferred
from line 2692
6/1
376.
Transferred
(fiom line 371 ~
6/!
Transferred
from line 234~
3/4
377.
KRAFT FOODS
Dividend
(3) (4)
Value
Gain
Code 2 Code t
(J-P) i (A-H)
i
378,
Sold
3/18
379.
Transferred
from line 2981
6/I
380.
Transferred
frown line 4010
6/I
381.
Sold
(part)
] 1/18
Transferred
from line 2322
3/4
383,
Sold
3/19
384.
Transferred
(from line 2890"
6/1
!385.
~
Transferred
(from line 3916"
6/1
Transferred
from line 2249
3/4
Sold
3/19
382.
Dividend
Dividend
387.
!388,
Transferred
from line 2588
6/1
389.
Transferred
from line 3612
6/1
390.
Sold
(part)
8/24
391.
Buy
11/23
A =$1,000 or le~
F =$50,001 - $IflO.000
J =$15,000 or ~ess
N =$250,001 - $500,000
P3 =$25,000,00I - $50,030,000
Q ~Appmi.~al
U ~B0ok Value
B =$1,001 - $2,500
G =$100,001 . $1,000,000
K =$t5,001 - $50,0~0
O =$500,~q1 - $1,000,000
R =Cost (Real Estate Ordy)
V --~n.her
C =$2,501 - $5,000
H I ~$~,000,00t - $5,000,000
L =$50,001 - $100,000
PI =$I,000,001 - $5.000,000
P4 =More tha~ $50,009,00~
S =Assessment
W =Estimated
13
D =$5.001 - $15,000
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5.~,00t - $25,000,000
T-~C=h Market
Identity of
buyer/seller
(ifpnvate
transaction)
E =$15,001 - $50,000
N .....fPer,on Repo~g
Barry, Maryanne T.
Dat~ of a,pert
9/!/2010
VII. INVESTMENTS and TRUSTS - i.co.~, w~... ~ ..... ,~o,~ a.c~.. ,ho.. o s~o~. ..a d~.., ~nita~..;
NONE (No reportable income, assets, or wansactio~.)
A.
D~cfipfi~ of Assets
(including ~st ~e~)
B.
l~come dufng
repoaing p~od
(~)
Place "(X)" ~er each asset
~empt from prior disclosure
~o~t
: C~e 1
~ (A-~
(2)
T~e (e.g.,
div., rent,
or int.)
C.
Gross value at end of
repoffing period
0)
(Z)
Value
~e 2
(J-P)
Value
Method
C~e 3
(~
D.
T~s~fio~ dnrng r~aing
0)
T~ (e.g.,
buy, ~tl,
r~emption)
:. (2)
(3)
(4)
(5)
[ Date
Value
~ Mon~ - : ~e 2
~y ~ (J-P)
]
~
G~in
CMe I
(A-~
Identi~ of
buyer/se~er
(if private
~nsaction)
392.
Sold
(paa)
11~24
393.
Sold
11/24
Dividend
Transferred
3/4
~om line 237~
395.
396.
Sold
DAVITA
None
397.
J
3/18
T~nsfe~ed
~om line 2284
3/4
Sold
3/18
398.
T~nsfe~ed
~om line 2746
6/1
399.
T~nsfe~ed
~om line 3764
6/1
400.
Buy
10/16
Transfe~ed
~om l~e 2436
3/4
Sold
3/18
3/4
3/19
None
402.
403. FA~C CO
Dividend
404.
Transfe~ed
~om line 2304
Sold
405.
Transfe~ed
~om line 2813
6/1
406.
Transfe~ed
~om line 3836
6/I
T~nsfe~ed
~om line 2275
3/4
Sold
(pan)
3/18
None
Date of Report
Page 29 of 277
Baro, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - ~n~ome. w~e, tr .... ,~io,~ a~au~e~ ,,o~e oy,~o~ ~na ~e~,~a,., ~i~a~.; ~, ~. ~4-~o
NONE (No reportable income, assets, or transactions.)
A.
B.
C.
Description of Assets
(including trust ~ssets)
Income daring
reporting period
(l)
(2)
Amount
Code 1
(A-H)
Type (e.g.,
div., rent,
or int.)
D.
(t)
(Z)
(l)
(2)
(3)
Value
Code 2
(J-P)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(J-P)
409.
Sold
3/18
410.
Transferred
from line 2710
6/1
41 I.
Transferred
from line 3734
6/1
Transferred
from line 2227
3/4
4t2.
AGILENT TECH
None
413.
Sold
3/18
414.
Transferred
from line 2482
6/1
415.
Transferred
from line 3505"
6/1
Transferred
from line 2222
3/4
Sold
3/19
Transferred
from line 2276
3/4
4t9.
Sold
3/19
420.
Buy
9/3
421.
Buy
9/4
3/4
Sold
3/9
Transferred
from line 2435
3/4
Sold
(part)
3/19
.1
416. ACCOR
None
417.
418. -COCA-COLA AMATIL LTD
422.
None
-SINGAPORE TELECOMM
None
Transferred
from line 2415
423.
424. -TESCO PLC
Dividend
425.
Gain
Code 1
(A-H)
identity of
buyer/seller
(if private
transaction)
A =$1,000 or less
F =$50,001 - $100~000
| =$15.000 or k:ss
N -$250,001 - $500.000
B =$1,001 - $2,500
G =$100.001 - $1,000,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
C =$2,501 - $5,000
HI =$1.01)0,00! . $5,000,000
L ~$50,001 - $1130,000
PI =$l,000,001 - $5,000.000
D =$5,00! - $15,000
H2 =More than $5,000,000
M =$ i00,00l - $250,000
P2 =$5,000,001 - $25.000,000
Q ~Appraigal
U ~Book Value
$ =Ag.~ess ment
W =Estimated
T ~C~h Market
E =$15,001 - $50,000
Date of Report
9/I/2010
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -/,,~o,,~ ~o~.~, ,r .... ,/o,~ a.a.,~, ,~o.~ o~, ..... ,~,~.~.~., ~u,~.;
NONE ~o reportable income, assets, or ~ansactio~J
A.
D~cfip~ion of Assam
(inc~ding trust assem)
Place"t~"a~re~hasset
~empt ~om prior di~lo~re
]
"
B.
}ncome during
reporting ~d~
0) [ (2)
Amo~t[ T~e(e.g.,
C~e I ] div,, reng
(A-~ ~ or int.)
C.
Gro~ value at end of
r~oning period
0)
(~)
Value
Value
Cod~ 2 [ Me~od
O-P)
C~e 3
(Q-W)
426.
Sold
D.
T~nsacfions dung ~o~g
O)
T~c(e.g.,
buy, se~,
r~pOon)
3/19
(2)
Date
(3) ~4)
Value ~ Gain
Day
] Mon~ - ~ (l-P)
J
427.
T~ns~e~ed
~om line 3375
6/1
428.
Buy
I0/19
429.
Buy
] 1/]2
Dividend
431,
Sold
432.
Transferral
3/4
~om line 2462
3/]9
J
A
Transferred
from line 3482
433.
Buy
10/t9
6]1
Sold
(part)
12/9
435.
Sold
(part)
]2110
436.
Sold
(part)
12//1
12/10
Sold
A
Dividend
T
Sold
Transferred
.from line 2428
3119
434.
437.
(A-~
D
3/4
440.
Transferred
from line 335~3
6/1
441,
Transferred
from line 4391
6/I
44!
Sold
(part)
8/3
(5)
identi~,~f
(if private
~saction)
[ Date of Report
9/I/2010
[ Barry, Maryanne T.
B.
-- ..........
~7 ............. ~ ..................................................
D.
~ .............
Income dunng
~oss v~ue at end of
T~acfions d~ng r~o~g pefod
re~ing peri~
~po~g
,mo~t
2~ ]
:A-H)
T~B (e.g.,
div., ren4
or int.)
Value
Code 2
(J-P)
......................
Value
Me~od
Code3
(Q-W)
~3.
~4. -LO~
None
T~ (.g.,
buy, sell,
redemption)
Date
Mon~ Day
Sold
(paa)
8/26
3/4
T~ns fe=ed
(~om line 2351
Sold
3/19
Value Gain
Code 2 [ Code 1
(J-P), (A-H)
446.
Transferred
from line 2999
611
447.
Transferred
from line 4025
6/1
448,
Sold
(part)
12/7
3/4
Dividend
450.
T
Sold
Transferred
from line 2385
3/18
451.
Transferred
from line 3132
6/1
452.
Transferred
6/1
fiom line 4166
11/24 L
453.
Buy
454.
Sold
(part)
Dividend
Transferred
(from line 2363
11/23
3/4
456,
Sold
3/18
457.
Buy
9/3
Transferred
from line 2404
3/4
458.
459.
-SEPRACOR [NC
None
Sold
3/18
ldenfi~ of
~yerlseller
(if private
transaction)
Page 32 of 277
Bar~y, Maryanne T,
Date of Report
9/112010
]
VI I. INVESTMENTS and TRUSTS - i,co,.~, ~.,, t ...... ,io,,~ (Includes those of sp ..... d dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Deseription of Asse~
(including tmsl assets)
B.
Income during
reporting period
(1) [
Place "(X)" after each asset
exempt from prior disclosure
C.
Gross value at end of
reporting pcriod
D.
Transactions during rep~ft~.g period
(2)
(~)
:Amount[
(2)
(I)
Type (e.g.,
Value
Value
(~)
Type (e.g.,
Date
Code I
(A-H)
div., rent,
or int.)
Code 2
(~-P)
Method
Code 3
(Q-W)
buy, sell,
redemption)
460.
Sold
None
Transferred
3/4
Gain
Code l
(A-H)
.[
Transferred
from line 3260~
461.
Value[
Month - I Code 2
Day
[ (J-P)
8/28
6/I
K
K
B
J
from line 2290
463.
464.
Sold
-ALLIANZ SE
465.
None
Sold
3/19
3/4
Transferred
from line 2500
6/I
Transferred
(from line 2246)
3/4
466.
467. -BAkqER AG BEARER
Transferred
from line 2233
None
468.
T
Sold
3/19
469.
Transferred
~om line 2583)
6/1
470.
Transferred /
from 1 ne 3607~
6/1
Transferred
from line 225ff
3/4
472,
Sold
3/19
473.
Transferred
from line 2624
6./1
474.
Transferred
from line 3655
6/1
475.
Sold
(pan)
8/27
Transferred
(from line 2453)
3/4
471. -BMW AG
None
None
Identity of
bu]ter/seller
(~fpri~ale
~ran,~action)
Page 33 of 277
9/1/2010
Barry, Maryanne T.
VII. INVESTMENTS an d TRUSTS - i,,o .... i,,, tr .... tions (Includes those oyspo~se and dependent children; see pp. 34-60 of f!ling instructions.)
[]
Income during
i reporting period
,
(1) ) (2)
(1) 1 (2)
iAmount Type (e.g,
Value l Value
Code ] [ di ......t,
Method
i Code 2
(A-H) : or int.)
(J-p)
Code3
477.
Sold
(part)
Sotd
478.
(2)
Datei Value Gain
Identity of
i Mo,".fla- ! Code 2 ! Code I !" buyer/seller
Day
(J-P) i (A-H) !
(if private
3/19
3/19
479.
Transferred
from line 3454
6/1
480.
Transferred
from line 4497
6/1
481.
Sold
(pa~)
9/4
Transferred
from line 2403
3/4
Transferred
(from line 3256
6/1
485.
Transferred
(from line 4294)
6/I
486.
Sold
(part)
8/3
487.
Sold
(parQ
9/3
Transferred
from 1me 2441
3/4
Transferred
from line 3406~
6/I
Transferred
from tine 4447
6/1
Sold
8/12
483.
3/19
1 484.
Sold
Dividend
......
488.
Sold
9/4
None
Sold
3il 9
J
L
A
T
491.
492.
493.
(part)
A =$1,000 or Ices
F ~50,0Ol - 5100,000
J -$15,000 or less
N =5250,001 - $500,000
P3 ~$25.000.001 - $50,000,~0
Q =Appraisal
U ~Book. Value
B =51,001 - 52~00
G =$100,001 - $1,000,000
K ~$I5,001 - $50,000
O =$500,001 - $i,0~0,000
R. =Cost (Real Estate Only)
V =Other
C =$2,301 - $5,009
HI ~51,000o001 - 55,000,000
L ~$50.001 - $100,000
PI ~$1,000,00~ - $5,000,000
P4 ~Mute than $50,009,000
S ::Assessment
W =Estimated
D =$5,001 - $15,000
H2 =More than
M ~$100,001 - 5250,000
P2 ~$5,000,001 - $25,000,000
T ~Cash Market
E =$15,001 - 550.000
Page 34 of 277
Barry, Maryanne T.
Date of Report
9/1/2010
[
VII. INVESTMENTS and TRUSTS-i.~o.., value, transaetions anclades those of spo ..... d depende~t children; see pp. 34-aO of flling instructian~)
---]
B.
Income during
reporting period
C.
Gross va}ue at end of
reporting period
~ ~2)
i Code 1 !
aiv., rear,
or int.)
! (A-H) i
0)
Value
Code 2
(J-P)
~2)
D_
Transactions during reporting period
0)
[ (2)
o)
Value
Type (e,g., [ Dale [ Value
Method
buy, sell,
Mouth- [ Code 2
Code 3
redemption)
Day | (J-P)
494.
Buy
11/20
495.
Buy
11/24
496.
Buy
11/25
497.
Buy
11/26
Buy
] 1/27
499.
Buy
] 1/30
500.
Buy
12.1
Transferred
from line 2358
3/4
Sold
3/18
Buy
9/3
Transferred
fiom line 2282
3/4
506.
Transferred
from line 2735)
6/1
507.
Transffbrted
from line 3760
6/1
Transferred
from line 2289
3/4
Transferred
from line 2365
3/4
498.
Dividend
502.
503.
505.
Sold
3/18
Sold
A =51,000 or less
F ~$50,001 - $100,000
J =515,000 or less
N -5250,001 - $500,000
P3 =$25,0~0,001 . $50,000,000
Q -Appzaisal
U =Book Va]ue
Gain
Code 1
(A-H)
(5)
Identity of
buyer/seller
(ifp,~vate
transaction)
None
509.
Dividend
(4)
3/18
Dividend
B =51,001 - 52,500
G ~$100,001 - $1,000,000
K =5t5,001 - $50,0~0
O =5500,001 - 51.000,000
R ----Cost (Real Estzte Only)
V =Other
C =52,501 - 55,000
H~ ~51,000,0OI - $5,000.000
L =550,00l - $100,000
PI =51.0OO,0Ol - $5.000.0~0
P4 =More than
S =A~ses~ment
W =Estimated
D =$5,001 - $15,000
H2 -More than 55.000,060
M =5100,001 - 5250,000
t~2 =$5.000,001 - $25.000.000
T =47.~h Marker
E =515,001 - $50,000
DateofReporl
9/1/2010
[
VII. INVESTMENTS and TRUSTS - ~ ...... ~ue, tr ..... tions (Includes tho.~ of spouse and dependent children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust asselz)
B.
Income during
t reporting period
(1)
Place "(X)" after each asset
exempt from prior disclosure
C.
Gross value at end of i
reporting period
(2)
(l)
Value
COde2
(J-P)
......................................................J
511.
Sold
3/I 9
[ (2)
Value
Methd
Code3
[ (Q-W)
(l)
Type (e.g.,
buy, sell,
i redemption)
Date
[ MonthDay ] Code
i (J-P)2 ii Code
(A-H)I
t_
]_ ............... [.
512.
Transferred
from line 30601
6/1
5] 3.
Transferred
from line 4090"
6/1
Sold
9/3
Sold
(part)
10/6
Transferred
from line 2244
3/4
Sold
(part)
3/18
519.
Transferred
from line 2577
6/1
520.
Transferred
from line 36021
6/1
521.
Sold
8/11
3/4
Sold
Transferred
from line 2440"
3/19
Buy
Trans,erred
6/I
from line 3403
10/19
K
514.
(parr)
515.
516. BARRICK GOLD CORP
Dividend
517.
518.
Sold
3/18
(part)
522. TOTAl. SA
523.
Dividend
524.
525.
526.
Sold
12/18
(part)
527.
Sold
t2/18
(5)
buyer/seller
(if private
transaction)
Page 3 6 of 277
Date of Report
Bar~r, Maryanne T.
9/I/2010
I
VII. INVESTMENTS and TRUSTS - income. ~al.e, transactio.$ (Includes those of spouse and dependent children; see pp. 34-60 of rUing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including tmst assets)
B.
Income during
reporting period
C.
Gross value at end of
reporting period
(l)
(2)
(1)
Amount
Code 1
Type (e.g.,
div., rent,
or int.)
Value
Code 2
(.I-P)
(A-H)
(2)
D.
Transactions during reporting period
(1)
Value
Method
Code 3
Type (e.g.,
buy, sell,
redemption)
(2) [(3)
(4)
Date ! Value
Month - Code 2
Day
(J-P)
Gain
Code I
(A-H)
(Q-W)
528. NOKIA OYJ
None
529.
Sold
3/19
(5)
Identity of
buyer/seller
(if private
transaction)
Transferred
fiom line 2366
3/4
Transferred
from line 3070
6/1
6/1
8/19
Sold
(pan)
8/19
Sold
8/19
530.
531.
/ Transferred
Sold
(part)
533.
534.
(part)
535.
Sold
(part)
8/20
536.
Sold
(part)
8/21
537.
Sold
(part)
8/21
538.
Sold
(part)
8/24
539.
Sold
(pan)
8/25
540.
Sold
8/26
(pan)
54 I.
Sold
10/29
Interest
Transferred
(to line 4538)
3/30
None
Transferred
from line 2417
3/4
Sold
3/19
544.
(part)
A =$1,000 or tess
F ~$50,001 - $10~,0O0
J ~$I 5,000 or less
N =$250,001 - $500,000
P3 =$25,00~,001 - $50,0~),000
Q =Appraisal
U =Book Value
B =$1,001 - $2,500
G -$100,0~1 - $1,000,000
K =$ I5,001 - $50,0~0
O =$500,001 - $1,1~0,000
R =Cost (Real E~tate Only)
V =Other
C =$2,501 - $5,000
HI =$1,00~,001 - $5,000,000
L =$50,001 - $ 100,000
PI =$t,000,001 - $5,000,000
P4 ~More than $50,000,000
S =Assessment
W =E~timated
D =$5,001 -$15,000
H2 =More th~
M =$10~,001 - $250,000
P2 =$5,000,001 $25,000,000
T-Cash Market
E =$15,001 - $50,000
Date of Report
Page 37 of 277
9/]/20!0
[ Barry, Maryanne T.
VII. INVESTMENTS an d TRUSTS -i~ ...... t~, tr .... ctions (Includes those of spouse and dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
0)
Place "(X)" after each asset
:xempt from prior disclosure
C.
G-ross value at end of
reporting period
(~)
(2)
0)
(2)
Value
Code 2
(J-P)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(.l.p)
(2)
Amount
Code 1
(A-H)
Type (e.g.,
div., rent,
or int.)
D.
Transactions during reporting period
545.
Sold
3/19
(3)
(4)
(5)
Gain
Code 1
(A-H)
Identity of
buyer/seller
(if private
transaction)
546.
Transferred
(from line 3289)
6/1
547.
Transferred
(from line 4357)
6/1
Sold
(part)
11/30
Sold
12/8
Transferred
from line 2438
3/4
548.
549.
(p~t)
550. The W~lt Disney
None
55 I.
Sold
3/18
552.
Transferred
from line 338~3
6/t
553.
Transferred
from line 4420~
6/1
Transferred
3/4
Transferred
(from line 3011
6/1
Transferred
6/]
3/30
3/30
Dividend
555.
Sold
1556.
557.
D
D
Interest
Interest
T
M
Transferred 3/30
(to line 4543)
T
Transferred
Interest
Transferred
561.
F =$50,001 - $100,O~KI
J =$15,000 or less
N =$250,0~1 - $500,1KI0
O =$100,091 . $1,000,000
K =$15,001. $50,000
O =$500,001 - $1.00~,000
HI =$1,000,001 - $5,000,0~0
L =$50,0~1 - $100,000
P1 =51,000,0OI - $5,000,000
3. Value Me~h~Codes
(See Colurr~C2)
Q ~Appraisal
U =Book Value
S =Assessment
W =Estimated
T =C~h Market
Date of Report
Page 3 8 of 277
B.r~, Ma~n~e T.
9/1/2010
VII. INVESTMENTS and TRUSTS -~ .... ,, value, transactions (Includes those of spouse and dependent children; see pp. 34-60 of Jdiag instructio.s.)
---]
NONE
(No reportable
Deseriptioa~ of Asse~
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
Income during
reporting period
(--~--]
(2)
Area/me[ Type (e.g.,
Code I ~ div., rent,
(A-H)
or int.)
!i
(2)
Date
Month Day
[ (3) (4)I
Value i Gain[
Code 2 i Code 1
i
(J-P)
Interest
Transfened
(to line 4552)
3/30
Interest
Transferred
(to line 4556)
3/30
Interest
Transferred
(to line 4548)
3/30
Sold
7/t
565.
i (A-H) !
Interest
Sold
1/27
Interest
Sold
3/23
Interest
Transferred
(to line 4551)
3/30
Interest
Transferred
from line 2216
3/4
570.
Sold
(part)
3/27
57t.
Transferred
(to line 4536)
3/30
Interest
Transferred
(to line 4541)
3/30
Interesl
Transferred
from line 4546
3/30
Interest
Sold
(part)
3/23
Transferred
(to line 4537)
3/30
Transferred
(to line 4550)
3/30
Sold
3/23
Buy
1/23
575.
576. NY sr DORM AUTH ST 5% 7/1/15
Interest
Interest
2. Value C~es
J ~$15,0~ or I~s
Interest
K ~$15,001 - $50,~
L -$50,~ I - $ I ~,0~
(5)
Identity of
buyer/seller
(ifpri,~ate
trat.tsaction)
FINANCIAL DISCLOSURE
Page 39 of 277
REPORT ....
~~" ~"=~"
~
[
B.
Income during
re~aing pefi~
(2)
~ 0)
~o~t : T~ (e.g.,
: Code I
div.,ren~,
(A-~
or inl.)
~
i
~
C.
~ss v~ue at e~ of
reposing period
(2)
0)
0)
Value [ Vflue :: T~e (e.g.,
C~e2
Me~ ~ buy, se~,
(J-P)
Code 3 ~ r~emption)
D.
(2)
Date
Mon~Day
~3) (4)
Value Gain
C~e2 ~ Code 1
(J-P) ~ (A-H) ]
Transfe~ed
(to line 4540)
3[30
Buy
1/28
T~nsfe~ed
(to line 4532)
3/30
Trailered
3/4
Tmnsfe~ed
(~om line 2333
3/4
Sold
3/19
Transfe~ed
fiom line 2242
3/4
;86.
Sold
3/19
587.
Transferred
from line 2561
6/t
588.
Transferred
from line 3585
6/1
589.
Sold
10/29
590.
Buy
12/9
3/4
3/18
579,
580.
Intere~
581.
Interest
None
584.
585. B~ S~STEMS PLC
Di~dend
Dividend
Transferred
(from line 2431
Sold
592.
593.
Transferred
(from line 3358
6/1
594.
| Transferred
~(from line 4399
6./1
2/17
595.
A =$1,000 or Ins
F -$50.0~1 - $100,000
J ~$ I 5,000 or less
N =$250,001 - $500.000
P3 ~$25,000.001 - $50,000,0~
Q ~Appra[~al
U ~ Book Value
Interest
B =$1,001 - $2,500
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,001 - $1,099,000
R =Cost (Real Estate Only)
V =Othe~
Sold
C =$2,501 - $5,000
HI =$I,000,001 - $5.000,000
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,000
P4 =More thnn $50,000,000
S =A~essment
W :Estimatexl
D =$5,001 - $15.D00
H2 =Mor~ than $5,000,000
M =$100,00] - $250,000
P2 =$5.000,001 - $25,000,000
T =Cash Market
(5)
Id~fi~ of
buyer/seller
(ffpfivate
t~sactioa)
E =$15,001 - $50,(~00
Date of Report
9/1:2010
cao,~ (Includes those oyspouse a.a deN~dent children; ~ee pp. ~4-60 of fding ~s~uctions.)
lncom ~fing
repo~ing pefi~
repo~ing period
Gain
T~e (e.g.,
Amour I T~e (e.g.,
Value
Value
C~e 1 I ~v_, rent,
buy, sell,
- Code 2VMue
Code i
C~e 2
Me~od
~Mon~
~Date
(A-~ orinL)
(J-P) ] ode3 [ redemption) Day (J-P) (A-~
(ifpfivam
Transfe~
~ffom line 2400
3/4
3/18
Transferred
"from line 2267)
3/4
599.
Sold
(part)
3/I8
600.
Sold
3/18
601.
Transferred
from line 2683
6/I
602.
Transferred
from line 3706
6/1
603.
Buy
12/7
3/4
3/I 8
Transferred
from line 3401
6/1
Transferred
from line 2241
3/4
608.
Sold
(part)
3/19
609.
Sold
3/!9
Transferred
from line 2326
3/4
Sold
3/18
3/4
None
Sold
597.
598,
CAMECO CORP C$
Dividend
Dividend
Sold
605,
606.
607. AXA
None
None
611.
612. AMAZON.COM
.................
l. lneom Gain Code~: .....................A -$1,000 or less
(Se= C, oturraxs B} and D4)
F ~-$50,001 - $100,000
J =$ | 5.000 or less
2 v alue Codes
N =$250,001 - $500,000
(Sc~ Coiunaas CI a~d D3)
P3 -$25,000,0~)I - $50,000,000
Q =AppraJsat
3. Value Method Codes
(See Column (?2)
U =Book Value
Transferred
~from line 2439
None
B =$1,00l . $2,500
G =$|00,00t - $t,1~00,000
K =$15,00! - $50#00
O =$500,0~)1 - $1,000,000
R =Cost (Real .E.smte Only)
V =Other
Transferred
from line 2234
C =$2,501 - $5,000
HI =$1,000,001 - $5,000,000
L =$50,00 ! - $ 100.000
P} =$1.000,001 - $5,000,000
P4 =More than $50,0f10,000
S =Assessment
W =Estimated
D ~$5,001 - $15,000
H2 ~Mme th~n $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,0C~
T =Cash Market
IdenfiW of
buyerlsefi~
Date of Report
~/1/2010
VII. INVESTMENTS and TRUSTS - i.~me, ,,o~.~ ,~ ..... ,io., ancludes those of spouse and depend~nt children; see pt~. 34-60 of flling instructions.)
[]
B.
Income during
reporting period
(l)
(2)
Amount Type (e.g.,
Code 1
div., rent,
(A-H)
or int.)
l
C.
r0ross value at end of
reporting period
(2)
(l)
Value
Value
Code 2
Method
(J-P)
Code 3
(Q-W)
D.
Transactioos during reposing period
Type (e.g.,
buy, sell,
redemption)
Sold
613.
Value
Code 2
(5-P)
Gain
Code 1
(A-H)
3/18
:~ Date
i Month ! Day
i
614.
Transferred
(from line 2508
6/1
6t5.
Transferred
(from line 3533
6/1
616.
Sold
11/23
617.
Buy
11/24
3/4
None
Transferred
~from line 2274
619.
Sold
(part)
3/18
620,
Sold
3/18
621.
Transferred
from line 2701
6/1
622~
Transferred
from line 3725
6/I
623.
Sold
(part)
9/3
624.
Sold
(pa~)
1 ]/3
625.
Sold
I l/23
626.
Buy
11/24
Transferred
(from line 2316)
3/4
Sold
3/18
3/4
None
628.
629.
SABMILLER PLC
None
Transferred
(from line 2396
Identity of
buyer/seller
(if private
transaction)
] Date of Report
9/1/2010
Ba~, Maryanne T.
I
B.
C.
i Gross ,,,aloe at end of
Income during
reporting period
i repotting period
(2)
O) :: (2)
O)
Value
Value
Amount ! Type (e.g.,
Code I
Code 2 : Method
div., rent,
i (A-H)]
i Code 3
(J-p)
or int.)
(Q-W)
::
[
630.
Sold
3/t9
~31.
Sold
3/19
Transferred
from line 2429
3/4
3/19
(pan)
Dividend
Sold
633.
634.
Transferred
from line 3353
6/I
635.
Transferred
from line 4394~
6/1
Transferred
from line 2338
3/4
637.
Sold
3/18
638.
Buy
9/3
639.
Buy
9/3
640.
Sold
9/24
Dividend
Interest
Transferred
(to line 4534)
3/30
htterest
Transferred
fiom line 2217
3/4
Sold
(part)
3/27
3/30
3/4
3/18
643.
644.
645. COCA-COLA CO
646.
Transferred
(to I ne 4547"~
B
Dividend
Transferred
from line 2277
Sold
(s)
Identity of
buyer/~elter
(if private
transaction)
9/1/2010
Page 43 of 277
VII. INVESTMENTS and TRUSTS - i~o,~, ~,
NONE ~o reportable income, assets, or wansactions,)
]ncome during
Descfipti~ of Asse~
(including ~st ~e~)
Pla~ "(X)" a~er e~h ~et
exempt from prior ~scl~re
(1) [
(1)~
(2~--(1):
(2),
Amour[
Value
T~e (e,g.,
, Value
C~e 1
Code 2
Method
bay, se~.
div., rent,
]T~e
(e.g.,
(A-~
(J-P)
C~e 3
r~emption)
or int.)
(~(3)(4)
Date [ Value
Month - ~ Code 2
Day I (J-P)
~7.
Tmnsfe~ed
from line 2720)
6!1
~8.
T~nsf~
~om line 3745
6/1
~649.
Buy
10~16
Transferred
from line 2443
3/4
3/19
Dividend
65 I.
Sold
.
Gain
Code [
(A-}~
652.
Transfened
from line 3418
6/1
653.
Transferred
from line 4464
6/1
.1
654.
Buy
10/19
655.
Buy
10/16
Transferred
from line 2251
3/4
657.
Sold
(part)
3/19
658.
Sold
3/19
~59.
Buy
4/23
660.
gold
(part)
5/!
~61.
gold
(part)
5/20
662.
Transferred
"from line 2599)
6/1
Transfelred
"from line 3644)
6/1
! 663.
P3 ~$25.000,001 $50,000,000
Dividend
(5)
Identi~ of
buyerlse~r
(if private
Date of Report
B.
Income during
reporting period
Amount
Code 1
(A-H)
Type (e.g.,
div., rent,
or int.)
C.
[
Gross value at end of!
reporting period
D.
Transactions during reporting period
Value
Code 2
(J-P)
Date ] Value
Month - ] Code 2
Day ~ (J-P)
Value
Method
[ Code 3
k(Q-W)
Type (e.g.,
buy, sell,
I
i redemption)
Buy
10/23
665.
Sold
11/5
(pan)
Omega Pharma SA
None
Transferred
from line 2373
3/4
667.
Sold
3/] 9
668.
Transferred
from line 3102
6/1
Sold
lull
Sold
(part)
11/12
Transferred
f~om line 2283
3/4
672.
Sold
3/19
673.
Transferred
from line 2743
6/1
674.
Sold
(part)
11/19
675.
Sold
11/20
669.
(pan)
670.
i 671.
! (A-H)
[ 66~,.
666.
Gain
Code I
Dassault Systemes SA
Dividend
None
677
678~ American Medical Sys I IIdgs
None
679.
680. SAP ~G Span ADR
None
Transferred
Transferred
from line 2317
3/4
Sold
3/I 9
Transferred
from line 2236
3/4
Sold
3/18
6/1
from line 3214
N ~$250.~1 - $500,000
O ~$~,~1 - $1,~,000
P1 =$I,~,001 - $5,~0,~0
~ =$5,0~,~1 - $25.0~,0~
Identity of
buyer/seller
(if private
transaction)
Date of Report
9/1/2010
1
VII. INVESTMENTS and T RUSTS - ino~,e, ~t~e, ~, .... ao,s (Includes those of sp .... nd dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "(X)" aft ..... hasset
B.
Income during
reporting period
Amount[ Type(e.g.,
C.
Gross va~ue at end of
reporting period
Valae
! VaLue
D.
Transactions daaring reporting period
Type(e.g.,
Date
[Value [Gain
ldentityof
transaction)
6811
682.
Siemens AG Namen
None
683.
Trans~"erred
from line 4249j
6/1
Transferred
from line 2414)
3/4
Sold
3/I 9
684.
Transferred
~from line 3286
6/1
685.
Transferred
tfrom line 4328)
6/1
Transferred
(to line 4531)
3/30
[ Transferred
~from line 2457
3/4
: 686.
687. Walgreen Co
Interest
None
[688.
689. New York NYC Transitional 5% 11il/2017
Interest
1690.
691. Progressive Corp Ohio
None
Sold
3/18
Sold
(part)
3/23
Sold
3127
3/4
Transferred
from line 2386
692.
Sold
(part)
3/t 8
693.
Sold
3/18
694.
Transferred
from line 3137
6/]
K"
695.
Transferred
from line 4174
6/1
Sold
(part)
3/23
Sold
3/23
696.
Interest
Interest
FINANCIAL
REPORT[ I, Barry, MaDanne T.
Page 46 of DISCLOSURE
277
HONE
~o reportable
Description ofAsse~
(i~luding trust a~~)
Place "(X~" after e~ asset
exempt ~om prior disclo~re
[ Date of Report
9/1/2010
~
~
699.
Sold
3/19
~00.
Sold
3/19
701.
Tra~fe~ed
~om line 3166)
6/1
762.
Transferred
from line 4205
6/1
Transfe~ed
~om line 2314
3/4
704.
Sold
(pan)
3/18
705.
Sold
3/18
706.
T~nsfe~ed
from line 2856
6/I
707.
Sold
(pan)
8/11
T~nsfe~ed
from line 2375
3/4
709.
Sold
3/18
710.
Sold
3/18
7i 1.
Sold
(pa~)
6/17
712.
Sold
6/18
713.
Transfe~ed
~om line 311~
6/1
7~4~
T~nsfe~ed
from line
6/1
A =$1,000 or less
F =$50,001 - $100,000
J ~$15,000 or less
N ~$250.001 . $500,000
P3 ~$25,000,001 - $50,000,0~0
Q ~Appraisal
U =Book Value
Dividend
B =$1,0Ol - $2,500
G =$100,001 - $1,000,000
K ~$35,001 . $50,0(~
O =$500,001 - $1,000,(100
g =Cosl (Real F.state Only)
V =O~er
~f3)(4)
nine Gain
Code 2 Code 1
314
None
(2)
Date
] Mon~-
Tr~sfe~ed
from line 2394)
DNfidend
C =$2,501 - $5,000
HI =$1,000,001 - $5,000,000
L =$50,00| - $I00,000
Pl =$ !,000,O01 - $5,000,000
p4 =More than $50,~,000
S -Agse~srrxnt
W =Estimated
D ~$5,001 - $I5,000
H2 =Mo~e fl~a~ $5,000,000
M =$100,00~ - $250,000
P2 ~$5,000,001 - $25,000,000
T ~C~sh Market
(5)
I
Identi~ of
buyegso~er
E 5515,001 - $5,0,000
[ Date of Report
............... ~ .................. ~
Description of ~se~
(including tmsl ~ts)
,
[
~.
Income during
reporting period [
~ ....
~"~/ ~-- ~
l Amom~t! T~ (e.g.,
Code 1
div., re~
Value
Code 2
or int.~.
I~ (A-~
repo~i~ ~fiod
[~
( Value
~ Me~od
(J-P)
/~ (~C~e 3
~ 16.
Sold
1112
Sold
(paa)
11/2
T~nsfe~ed
~om line 2292"
314
719.
Sold
3/18
720.
Sold
3/18
~a~)
717.
718. Ebay Inc
None
721.
Tmnsfe~
611
T~nsfe=ed
~om line 3791
6/1
Transfe~d
~om line 2258
3/4
724.
Sold
3,18
725.
Sold
3/I8
726.
Buy
] I/2
727.
Buy
11/19
3/18
723. Boeing Co
728. Conocophillips
None
Dividend
Transfe~ed
3/4
J
~om line 2279
729.
Sold
Dividend
Trailered
from line 2245
3/4
Sold
3/18
Gain
Code 1 ]
(A-H)
(5)
Identi~ of
buyer/se~
U~tion)(if private
[~ .......
Date of Report
]
Page 48 of 277
911/2010
Barry, Maryanne T.
]
e, value, tr .... tlons (Includes tho~e of spouse and dependent children; see pp. 34-60 of jfding instruaions~)
B.
Income during
[ O)
Place "(X)" after each asset
cxempt from prior disclosure
(2) -
C.
Gross value at end of
(l)
Value
Code 2
(JP)
(~.)
O)
Value
Method
Type (e.g.,
buy, sell,
redempfon)
! Code 3
~..(Q-W)
" (2) I
Date
Value
MonthCode 2
Day
[ (J-P)
i
732.
Tmns f~rred
from line 2582)
6/t
733.
Buy
10/I6
3/4
3/! 8
None
Transferred
"fiom tJne 2311
Sold
735.
736.
Transferred
from line 2839
6/1
737.
Buy
10130
.738.
Buy
1]/2
739.
Buy
11/3
740.
Buy
11/4
741.
Buy
1115
742.
Buy
1 I/6
743.
Buy
11/10
Transferred
from line 2337
3/4
Sold
3/18
Transferred
from line 223 I
3/4
747.
Sold
3/18
748.
Transferred
from line 2491
6/I
None
745.
746. Allegheny Tech
Dividend
Gain
Code t
(A-H)
Identity of
buyer/seller
(if private
transaction)
9/1/2ol o
a.,, transaction~ (Includes those of spouse and dependent children; seepp. 34-60 off!ling instructior~)
] ........ r~_
A.
Description of Assets
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
Incom~ during
reporting period
c.
D.
] Value
] Method
[ Code 3
i (Q-W)
Type (e.g.,
buy, sell,
, redemption)
]
749.
Transferred
from line 3513
6/1
750.
Buy
9/24
751.
Buy
9/24
752.
Buy
10121
753.
Buy
10/29
754.
Buy
10129
755.
Buy
10/29
~756.
Buy
10/30
757.
Buy
10/30
758.
Buy
1t12
Sold
3123
Transferred
from line 2379
3/4
761.
Sold
(part)
3/19
762.
Sold
3/19
Transferred
6/1
Interest
Dividend
763.
764.
Transferred
from line 4153
6/1
765.
Sold
(part)
12/I
Identity. of
buyer/seller
(if private
tzaesaction)
A =$1.00~ or |css
F =$50,001 - $100.000
) =$ I 5,OIW) or less
N ~$250.001 - $500.000
P3 =$25,000,001 - $50,000,00~
Q "=Appraisal
I.I ~B~ok Value
B ~$1.001 - $2,500
13 =$i0(I,OOI - $ |,000,0b"~
K ~$15,001 - $50,00~
0 =$500.0~1 - $1,000.000
R ~Cost (Re~l :Estate Only)
V =Other
C ~12,501 - $5.000
HI =$1,O0~,001 - $5,00t),000
L =$50,O01 - $t00,000
P1 ~$1,000,001 - $5,D00,(~)0
[4 =More than $50,000,009
S =Assessment
W =Estimate~
D =$5,001 - $15,000
H2 =More than $5.000,000
M =$160.001 - $250.000
P2 =$5.000,001 - $25,000,000
T =C~sh M~rke~
E =$15,001 - $50,000
NONE
Barry, MaryanneT.
Page 50 of 277
Date of Report
9/1/2010
[
reportable
A.
~cription of Asse~
c.
Gross value al end of
]
]
D.
Transactions d~ng r~oning p~dod
Value
C~e 2
(3-P)
~ Type (e.g.,
buy, sell,
~empdon)
Date Value
Mon$ - ~ 2
Day
(J-P)
[ Value
~ Me~od
] Code 3
T~nsfe~ed
from line 2315
3/4
767.
Sold
(pan)
3/19
768.
Sold
3/19
Transfe~ed
~om line 2307
3/4
Sold
3/19
Buy
9/3
Sold
10/26
T~nsfe~ed
from line 2384
3/4
Sold
3/18
Tmnsfeged
I?om line 2248
3/4
Sold
3/I 8
3/4
3/I 9
3/4
None
"Dividend
: 770.
771.
772.
None
7~3. POLYCOM ~C
774.
775. BEST BUY INC
None
776.
777. PETROPLUS ttOLDING AG
None
Tmnsfe~ed
(from line 2380
"778.
Sold
77~. PEuGEoT SA
None
Tmnsfe~ed
~om line 2381
780.
Sold
3/19
781.
Buy
9/3
3/4
Dividend
~ Transferred
~om line 2339
Gain
Co~ 1
(A-~
ldcnti~ of
buyer/sfi~
(if p~ate
D~te ofa~port
B.
Income dunng
repoaing period
-(~" ~
(2)(I)---,
~mo*mt [ T~ (e.g..
Code 1 [ div.. ren~
(A-~[ or int.)
C.
Gross value at end of
~ing period
(2)
VMue [ Value
C~e 2
Method
(J-P)
Code 3
D.
Tm~fions d~ r~oning ~fi~
(1)
T~e (e.g.,
buy, ~B,
r~emption)
Date
Value Gain
Mon~ - C~e 2 C~e l
! Day
~ (J-P) ~ (A-~
(2)(3)(4)~
783.
Sold
3/18
784.
Sold
3./18
785~
Transfeffed
flora line 2953
6/1
"786.
Transfe~ed
~om line 3982
6/1
787.
Buy
10/16
Transf~d
~om line 2367
3/4
789.
Sold
3/18
790.
T~nsfe~ed
~om line 3080
6J I
791.
Transfe~ed
from line 4116
6/1
792.
Sold
(paa)
10/20
793.
Sold
10/21
794.
Sold
(paa)
10/22
795.
Sold
] 0/22
796.
Sold
(paa)
10/26
797.
Sold
(pa~)
10/27
798.
Sold
10/28
Transfe~ed
(~om line 2360
3/4
(pan)
788. NO~STROM ~C
Dividend
(pa~)
(paa)
(pa~)
799. MICROCHIP TECHNOLOGY INC
F ~$50,001 - $100,000
Dividend
G =St00,001 - $1,1~0,000
H~ =$1,000,00l - $5,~0,~0
t~ =Morn t~ $5,0~,0~
(5)
Identity of
buyer/se~er
(ifpfiv~e
Dote of Report
Bar~, Mar,a.ne T.
9/I/2010
Page 52 of 277
VII. INVESTMENTS and TRUSTS -i .... e, value, tr .... tions (Includes those of sp ...... d dependent children; see pp. J4-60 of Jiling instruction.g)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
]
I
]
B.
Income during
reporting period
(e.g.,T
Am~o~tf (2)Type
(I) (2)
I Code 1 I div., rent,
(A~H) ,
orint.)
~
[
C.
Gross value at end of
repoiling period
Value(4)
(1)Value
T(2) t (3)
Code 2
(J-P)
D,
Transactions during reporting period
Method
Code3
Type
(5) (e.g.,
buy, sell,
redemption)
| Date
| Month i Day
, (Q-W) i
Value Gain
Code 2 Codc I
_. " tr~ansac~t!on)~
800.
Sold
801.
Sold
3/18
802.
Transferred
from line 3012
6/1
803.
Transferred
from line 4060"
6/1
Transferred
front line 2272"
3/4
805.
Sold
3/18
806.
Buy
9/3
Transferred
from line 2454
3/4
808.
Sold
3/1S
809.
Transferred
from line 3464"
6/1
810.
Buy
10/16
Transferred
from line 2313
3/4
812.
Sold
(p~)
3/18
813.
Sold
3/18
814.
Transferred
from line 2852
6/1
,~ 815.
Transferred
from line 3885"
6/I
816.
Sold
(part)
9/3
None
3/18
(pa~t)
Identity of
buyer/seller
A =$1,C00 or less
f ~$50,001 - $100,000
J u$15,000 o; less
N -$250,001 - $500,000
P3 -$25,000,001 - $50,00~,000
Q -Appraisal
U ~B(~ok Value
Diuidend
Dividend
B =$1,001 - $2,500
G =$100,091 - $1.000,000
K =$15~001 - $50,000
O =$500,001 - $1,000,000
R ~ost (Real E.cca te On!y)
V =Other
C =$2.501 - $5.000
HI =St,0~O,00l - $5.000.000
L =$50,001 - $100.000
P 1 :$1.000.001 - $S,00O,000
P4 =M~ theoa $50.000,000
S =Assessment
W =Estimalcd
"~
D =$5,001 - $15,000
H2 =More than $5.000.000
M =$100,001 - $250,000
P2 ~$5,000,001 - $25,000,000
T ~:C~h Markel
E =$15,001 - $50.000
Page 53 of 277
Ba~,y, r~anne T.
Date o~
9/1/~0~0
VII. INVESTMENTS and TRUSTS -i ....... Mue, ~ansac~ons (lnclndes those oyxp ..... d depen~n, children; seepp. 34-60 of filing ins~uc~ns.)
NO~ ~o reportable income, ~sets, or transactions,)
A.
D~cfi~ion of Asse~
(including trust ~se~)
Place "(X)" after ~ch as~t
B.
Income during
rcpoaing pd~
(!)
(2)
Amour ] T~e (e.g.,
[ C~ ~ [ air., r~t,
or ~nt.)
C.
Gross value at end of
mpo~g
(1) { (2)
Value
Value
Code 2 ~ Mem~
(J-P)
C~e 3
buy, ~11,
(2)
Da~e
(3) I (4) [
Value Gain
r~empfio~)
Day
Transferred
(to line 4545)
3/30
Sold
3/23
, Transferred
~from line 2402j
3/4
Sold
3/19
Transferred
fiom line 2405
3/4
Sold
3/t 8
(JP)
r! (A-~
(5)
Ideati~ of
buy~/seEer
(if private
. (A-~~
817. NYC TFA B 5.0% 8/1/2021
Interes~
Interest
aN
Interest
Dividend
823.
i 824.
Transferred
"from line 3265
6/1
825.
Transferred
from line 4320
6/1
826.
Sold
(part)
8/11
~27.
Sold
9/2
828.
Sold
9/2
Transferred
from line 2328"
3/4
(part)
Dividend
830.
T
Sold
3/19
831.
Transferred
from line 2914
6/I
832.
Transferred
from line 3939
6/l
Transferred
from line 2300
3/4
833.
None
ERICSSON (LM) B
A ~$1.000 or Ires
F =$50,00l - $10~.000
J ~$15.0~0 ol less
N =$250,001 - $.500.000
P3 =25.000,001 - $50,000,000
Q ~App~aisal
U =Book VMuc
B =$1,001 - $2,500
G =$100,001 - $I,000.000
K =$15,001 - $50,000
O ~$500,001 - $1,000,090
R =Cost (Rc~ Estate On!y)
V --Other
C =$2,50! - $5,000
HI =$t,O00.001 - $5,000,000
L =$50,001 - $100,00~
p[ -$1,000,001 - ~5,000,00~
[4 =More ~ha~
S-Assessment
W =Estimated
D =$5,001 - $15.000
H2 =More than $5,000,000
M =$100,0~| - $250.000
P2 =$5.000.00~ - $25,000.000
T =Cash M~rket
E =$15,001 - $50,000
Baby, Maryanne T.
Income during
repining pcri~
~]~ (2)
~mo~t[ Type(e.g.,
C~ 1 [ &v., r~q
(A-~ ~
or ira.)
(1)
T~e(~.g.,
buy, sell.
, redemption)
~__
834~
~
835. ABBO~ LABO~TO~S
None
None
Sold
Transfe~ed
~om line 222 I
838.
(2) ] (3) ~
Date
Value [ Gain ~
Mon~ - Code 2 ~ Codv I [
Day
,! (J-P) ~-~ :~
319
3/4
3/4
K
~omTmnstE~edline 2237
Sold
3/18
K
"
~839
Transt~ed
~om line 2517
6/I
840.
Trailered
from line 3542)
6/1
841.
Sold
(p~)
913
Dividend
Tr~sfe~ed
3~4
from line 2382
ga3.
Sold
844.
~
84~.
~ 846.
None
~ 847,
6/1
Tmnsfe~ed
flora line 4161)
6/1
Transfeged
~om line 2299)
3!4
3/18
6/1
Transferred
from line 2783
E
E
lnterest
Interest
T
M
3/18
Transfe~e~
from line 3127
Sold
848.
(5)
ldemi~of
buyedsdl~
(if private
Transferred 3/30
(to line 4555)
3/23
Sold
(part)
Date of Report
9/1/2010
I
VII. INVESTMENTS and TRUSTS - in ..... ,rue, transactions (Includes those of spouse and ~penaent ehttdren; s~epp. 34-~0 of faing instructions.)
[] NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B_
]
lncome during
|
| reporting period
(A-H)
div. rent,
or int)
[ Code 2 [ Method
~ Code 3
~i (JP)
1 851.
852. OHIO CLEVELAND 5.125% 1/1/2028
lnterest
853.
854. NJ EDA PKINCETON UNIV 4.75% 7/1/23
Interest
D.
Transactions during reporting period
C.
Gross value at end of
[ reporting period
855.
, buy, sell,
i redemption)
Transferred
(to line 4544)
3~30
Sold
(P~)
3123
Transferred
(to line 4557)
3/30
Sold
(part)
3/23
Transferred
(to line 4539)
3/30
856.
Interest
Transferred
(to line 4533)
3/30
857.
MO ST HWY 5% 5/1/2024
Interes~
Transferred
([o line 4535)
3/30
Interesl
Transferred
(to line 4558)
3/30
Interest
Transferred
(to line 4559)
3/30
i 860.
]
Interest
Transferred
(from line 2219
3/4
None
Transferred
(from line 2238
3/4
3/I 8
6/1
10/2
Sold
863.
Transf(rred
(from line 2529
864.
865_
866.
867.
BG GROUP PLC
Buy
A
Dividend
Transferred
l(from litte 2263
Sold
Transferred
from line 2650
3/4
3/19
611
J
L
buyer/seller
(if private
Page 56 of 277
Date of Report
9/~/2010
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -i .... e, value, tr .... thins (Includes those of spouse and dependent children; see pp. 34-60 of faing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assels
(including trust assets)
Place "(X)" afar each asset
exempt from prior disclosure
B.
income during
reporting period
-(5)
(2)
Amount Type (e.g.,
Code I i div., rent,
(A-H)
or int.)
..............
868.
C.
Gross value at end of
reporting period
~ ~ )~~----(~-)
Value ] Value
Code 2 [ Method
(J-P)
t Code 3
: (Q-W)
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
Transferred
(fiom line 3676
10/19
[ Transferred
~from iine 2255
3/4
871.
Sold
(part)
3/18
872.
Transferred
~.from line 2612
6/1
873.
Transferred
from line 3627
6/t
874.
Sold
(part)
10/30
Sold
11/2
876.
Sold
(part)
t 1!2
877.
Sold
(part)
l l/3
878.
Sold
l 1/4
879.
Sold
(part)
11/5
880.
Sold
I ]/6
3/4
3/19
869.
870. BIOGEN IDEC INC
Buy
None
875.
(part)
(pan)
I
881. BP PI.C
~882.
None
Transferred
(from line 2261
Sold
883.
Transferred
(from line 2655
6/I
884.
Transferred
fiom line 3670
6/1
(5)
Identity of
buyer/seller
(ffprivate
transaction)
Barry, Maryanne T.
Date of Report
~,,,~0,0
VII. INVESTMENTS and TRUSTS - income, vo~,,, ~ .... tio.s (Includes those of sp ..... d dependent children; see pp, 34-60 o/fding instructians.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income dunng
reporting period
(l)
(2)
Amount Type (e.g.,
Code 1
div., rent,
(A-H)
or int.)
C.
Gross value a.. end of
reporting period.
(I)
(2)
(I)
Value
Value
Type (e.g.,
Code 2
Method
buy, sell,
(J-P)
Code 3
redemption)
(Q-W) ......
D.
Transactions during reporting period
(2)
Date
Mon~ Day
(3)
Value
Code 2
(J-P)
i (A-H) [
[~ ....... [
Sold
7/2
Transferred
from line 2265
3/4
887.
Sold
3/18
888.
Transferred
from line 2658
6/I
889.
Transferred
from line 3682
6/1
890.
Sold
(part)
12/18
Transferred
from line 2270"
3/4
892.
Sold
3/18
893.
Transferred
from line 2688
6/1
89zL
Transferred
from line 3711
6/1
Transferred
from line 2273
3/4
896.
Sold
3/18
897.
Transferred
from line 2696
6/1
898.
Transferred
from line 3720"
6/!
899.
Buy
10/16
Transferred
fiom line 228T
314
Sold
3/19
...............
885.
886.
BROADCOM CORP
None
Dividend
None
Dividend
(4) [
Gain [
Code 1 I
(5)
ldentit3 of
buyer/seller
(if private
transaction)
Page 58 of 277
9/l/Z010
VII. INVESTMENTS and TRUSTS -i .... ,, ~,~ ,~.osaa~o.~ a.~.~.~ those Disco ..... ~ d.r.~, ~a...; ~ ~,. ~4-~o o!,~a~g ~.=,~o..
NONE (No reportable income, assets, or transactions.)
~,.
8.
Description of Assets
(iacluding trust assets)
Place "(3~)" after ea~h asset
exempt from prior disclosure
:
~
c.
Income during
Gross value at end of
reporting period
~ reporting period
(2) ....
(1)~(2~
-- (~)-- I,
Amoant I Type (e.g.,
Value ! Value
Code 1 [ div., rent,
Code 2 ] Method
(A-H) ] or int.)
(J-P)
! Code 3
i
(Q-W)
i
~02.
D.
l
I
i
]
]
(2) [(3)
(4)
(5)
Gain I
Identity of
Date[ Value
Month - Code 2 Code I~
buyer/se~er
Day
(J-P)
(A-H) l!
transaction)(ifprivate
Buy
ECOLAB INC
Dividend
9/3
Transferred
3/4
from line 2293
K
J ........
904.
Sold
3/18
905,
Transferred
from line 2770
6/1
~06.
Transferred
from line 3794"
6/1
Transferred
from line 2296
3/4
;~08.
Sold
3/18
90%
Transferred
from line 2774
6/1
910.
Transferred
ffrom line 3798
6/1
911.
Sold
7/31
Transferred
from line 2297
3/4
Sold
3/19
Transferred
from line 2312
3/4
Sold
3/19
Transferred
f~om line 23181
3/4
917.
Sold
3/I 8
918.
Buy
9/3
Dividend
None
91"3.
914. GIVAUDAN
None
915.
~16. HEWLEIq-PACKARD
A =SI,000 or less
F =$50,001 - $109,009
J =$15,000 or |ss
N -$250,001 - $50~,000
P3 =$25,00~,601 - $50,009,000
Q -Appraisal
U =Book Value
Dividend
B =$1,0~1 - $2,500
G =$10~,0~1 - $1,1300,000
K =$t5,001 - $50,000
O =$500,0~1 - $1,000,000
R =Cos! (Real Estate O~[y)
V =O~her
C =$2,501 - $5,000
HI =St,000,001 - $5,000,0~0
L =$50,0~1 - $100,000
PI =$1.000,001 - $5,000,000
P4 =More th~
S =Assessalent
W =Estitn~ted
D =$5,091 - $15,O00
H2 =More lhan
M =$100,001 - $250,000
P2 =$5,000,00| - $25,000,000
T =Cash Market
D~te of Report
Ba~., r~ra.ne T.
9/1/201o
Page 59 of 277
V II. INVESTMENTS and TRUSTS - ;~come, vat.e,
lnco during
. repo~ng period
Gross val at e
tdentiUof
buyer!seller
"
None
Transfe~ed
~om fine 2325
314
Sold
3/18
3/4
920.
921.
None
Transferred
from line 2332
922.
Sold
3/18
923.
Transferred
from line 292 I"
6/1
924.
Transferred
from line 3949
6/1
925.
Sold
10/23"! J
(part)
926.
Sold
(part)
10/27
927.
Sold
10/28
928.
Sold
(part)
10/29
929.
Sold
(part)
10/30
930.
Sold
11/2
.~
Transferred
from line 2335"
3/4
Sold
3/18
Dividend
932.
933.
Transferred
from line 2931
6/1
934.
Transferred
from line 3960
6/1
935.
Buy
I l/2
A =$1,000 or I~s
B =$1,~1 - $2,5~
C =$2,~1 - $5,~
D =$5,00~ - $15,0~
E =$15,~1 - $50,~0 /
Page 60 of 277
Date 0f Report
9/1/2010
Barry, lVlaryanne T.
B.
C,
[
Income during
Gross value at end of
, reportin~ ~eriod . reporting period~
(l) I (2)
(1)
(2)
(l)
Amount I Type (e.g.,
Value
Code I ! div., rent,
Code 2
(A-H) ! or int.)
(JP)
~36.
D.
Transactions during reporting period
Date
Value
! Month - Code 2
i Day
I (J-P)
Gain
Ctnod_~
,,,..,
Sold
11/23
Sold
(part)
11/23
Transferred
from line 2336
314
939.
Sold
3/18
940.
Transferred
from line 2934
6/1
941.
Transferred
from line 3963"
6/1
942.
Buy
11/19
943.
Buy
11/20
Transferred
from Iine 2341
3/4
Transferred
(from line 2973
611
Transferred
from line 3990
6/I
(part)
~37.
93g.
None
Dividend
.
947.
Dividend
Transferred
(from line 2345
949.
314
Sold
3/18
Transferred
(from line 2354
3/4
951.
Sold
3/I 8
952.
Buy
9/3
A =$1,000 or less
F =$50,001 r $100,0~)
J "$15,000 or less
N =$250,001 - 1;500.000
P3 =$25,000,001 - $50,000,0~0
Q *Appraisal
U =Book Value
Dividend
B =$1,001 - $2,500
(~ =$100,001 - $1,000,000
K =$15,001 - $50.00~
O =$500,001 - $1.000,000
R =Co~t (R~I Estate Only)
V =Other
C =$2,501 - $5,000
HI =$1,000,0Ot - $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 =Estimmed
Identity of
buyer/seller
(if private
D =$5,001 - $15,000
H2 =More than
M =$100,0(~1 - $250,000
P2 =$5,000.001 - $25,000,000
T =C~sh M~ket
E =$15,001
[ DateofReport
B~n-y, Mm"yanne T.
911/2010
B~
Income during
reposing ~fiod
~ounl [ T~ (.g.,
C~e l
~v., ~nt,
(A-~
or int.)
[954.
"
C.
Gross value ~ c~ of
l repofllng p~
Value
~ C~e 2
(J-P)
Dividend
Value
Me~
C~e 3
T~ (.g.,
buy, sell,
r~emption)
Tr~sfeffed
~om line 2357
3/4
Sold
3/18
Tr~sfe~ed
~om line 3028~
6/1
Tmnsfe~ed
~om line 2362]
3/4
Tmnsfe~ed
f~om line 3~2
6/I
~55.
956. MUENCHENER RUECK NAMEN ~K
~57.
None
Sold
3/t9
Date
] Moa~ Day
}
Valu~ Ga~ ~
C~e 2 [ C~e I ~
(J-P) (A-~
Divided
960.
T~nsfe~ed
3/4
~om line 2371~
Sold
3/18
961.
T~nsfeff~
~om line 3095
6/1
962.
T~nsfe~ed
~om line 4097
6/1
963.
Buy
10/30
964.
Buy
11/2
965.
Buy
t 1/3
Dividend
~67.
T
Sold
Trmsf~xed
3/4
~om line 2372)
3/18
J
A
968.
Transfe~ed
(~om line 3100
6/1
969.
Tr~sfe~ed
from line 4133
6/)
A =$1,000 or less
F ~$50,001 - $100,000
J =$15,000 o~ less
N =$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q =Appraisal
U =Book Value
Idenfi~, of
buyedse~e
958.
959. N~TENDO CO LTD ADR ~SPOH "
D.
T~sacfions d~ng r~g
B =$1,001 - $2,500
G =$100,001 . $1,(~00,000
K =$15,001 - $50,000
O =$500,001 - $1,000,O00
R =Cos (Real "E.~ate Only)
V =Other
C =$2,501 - $5,0~0
HI =$1,000,001 - $5,000,000
L =$50,001 - $100,000
P] =$1.000,001 - $5,000,000
P4 =More than
S =Assessmenl
W =E~mated
D =$5,00| - $15,000
H2 =More than $5.000,000
M =$100,001 - $250,000
P2 =$5,000,00I - $25,000,000
T =Cash Market
E ~$15.001 - $50,000
Page 62 of 277
Date of Report
] Barry, Maryanne T.
[
VII. INVESTMENTS and TRUSTS - ~,,~,~,, ~,~, 1,~,,~o,~ a~a~a~ those of spo .... d dependent children; seepp. 34-60 of f!ling in~truction~)
NONE (No reportable income, assets, or transactions.}
Description of Assets
(including trust assets)
Income during
reporting peri~l
I (~) i (2)
Place "(X)" after each asset
exempt from prior disclosure
O)
Type (e.g.,
Amount
Code I
Value
Code 2
div., rent,
or int)
i (A-H)
(J-P)
(2)
Value
Method
I
Code 3
I
O)
(2)
Type (e.g.,
buy, sell,
redemption)
Date
(Q-W)
970.
. Month ay
Value
Code 2
Gain
Code I
(J-P)
(A-H)
~
~D
Buy
10/29
Transferred
from line 2387
3/4
973.
Transferred
from line 3145
6/1
974.
Transferred
from line 4I 82
611
97 I. QUALCOMM INC
972.
A
~
Sold
Dividend
Identity of
buyer/seller
(if private
transaction)
3/18
(part)
976.
Buy
1t/18
977.
Buy
11/18 ! K "]
978.
Buy
)I/19
Transferred
314
None
,,
980.
I A
Dividend
~83.
984.
985,
~ A
Sold
3/19
Transferred
~rom line 24121
3/4
Transferred
from line 32791
6/i
Transferred
from line 4316
6/1
Buy
Dividend
B =$ 1,001 - $2,500
TransfErred
(from line 24161
C =$2,501 - $5,000
J,
I,
10/19 ! K
3/4 i J
D =$5,~ 1 - $15,0~
E ~15,~ l - $50,~
Barry, Maryanne T.
9/1/2010
B.
Income during
~ ~porting period
(1) t (2)
Aroouz~t Type (e.g.,
Code 1
div., rent,
orint.)
i (A-H)
C.
Gross value at end of
reporting period
(l) ] (2)
Value
Value
Code 2 ! Method
i
[ (J-P)
i Code3
~ 987.
D.
Transactions during reporting period
(1)
T~]:,e (e.g.,
bay, sell,
redemption)
Sold
988.
Transferred
from line 3307
989.
Buy
None
Transferred
tfrom line 2424
Sold
991.
9921 SYNTHESINC
......
None
T
lfrmTransfenedline 2430
[ Sold
993.
3/19
6/1
10/19
3/4
3/19
3/4
3/19
994.
Transferred
from line 3356
6/1
995.
Transferred
from line 4397
6/1
None
Dividend
Transferred 3/4
Iffom line 2432)
997_
998. TELSTRA CORP
(S)
Identity of
buyer/seller
(if private
Sold
3/18
Transferred
3/4
Sold
3/19
1000.
Transferred
from line 3370)
6/1
Transferred I
(from line 2449)
3/4
Sold
3/19
TransI~rred
from line 2450)
3/4
None
1002.
1003. URBAN OUTFITTERS INC
A =$1.000 or less
F =$50,001 - $100,000
J =$15,000 or bess
N =$250,001 - $50~,000
P3 =$25,000,001 - $50.000.000
Q =App~ir, al
U *Book Value
None
B =$1,001 - $2,500
G =$10~,001 - $1,000,000
K =$15.001 - $50,000
O =$500,001 - $1,000,000
R -~o~t (Real Estate Only)
V =Othe~
C =$2,501 ~ $5,000
HI =$1,000,901 - $5,000,000
L =$50,~01 - $100,009
P [ =$1,OIKI,001 - $5,000.000
P4 =More th~n $50,0~),000
S =Asse.~t
W ~Estimated
D =$5.001 . $15,000
H2 ~More tha~ $5.000.000
M =$1~O.001 - $250.001)
P2 =$5,000,001 * $25,000,000
T -~Cash Marke!
E =$15,00I - [50.000
Date of Repor~
9/1/2olo
[ Barry, Maryanne T.
I
B.
]ncom~ du~ng
re~ing p~
(2)
T~ (e.g,,
div., r~n~
or int.)
C.
~o~ value at end of
reposing period
(~)
Value
Cofle 2
(J-P)
(2)
Value
Meth~
C~e 3
1004.
D.
T~ans~c~ions d~ng r~o~ing period
O)
T~e (g.g.,
buy. sell,
~emption)
Sold
(2)
Date
V~ue [ G~n
Mon~ - [ ~e 2 Code 1
DayI (J-P)
(A-~
3/18
Id~ti~ of
buyer/s~r
(~pfivate
Dividend
Buy
10/] 6
rransfe~ea
3/4
Sold
1009.
Transfened
~om lin~
l 010.
3/19
61I
Buy
7/7
Sold
(pa~)
7/] 7
10 ] 2.
Sold
(pa~)
8/6
I 013.
Sold
(pan)
8/6
~ 014.
Sold
(pa~)
8/7
I 015_
Sold
8/7
] 0 t 6.
Sold
8/7
Buy
4/8
6/1
B
None
Interest
T~nsfe~ed
M
6/1
K
from line 2535
1019.
1020.
Transfe~ed
~om line 3566
Sold
A -$1,000 or Ics~
F =$50,001 - $100.000
J "$15.000 or le~s
N -$250,001 - $500.000
P3 -$25,000.001 - $$0,000,000
Q ~Apprai~a}
U -Book Value
10/30
B =$1,001 - $2,500
G =$100.001 . $I,000,000
K =$15,00| O
R ..~o~| (Real Pd~alc On}y)
V
C -$2,501 - S5,000
H 1 =$! ,000.OOt - $5,000,000
D =$5,001 - $15,000
1t2 =More lhan $5.000,000
T =C~h Market
E =$15,t~OI - $50,~00
9/V20~0
VII. IN~STMENTS and TRUSTS - i .... ,, ~ae, ~ .... ~ ~nclnd~ ~ose of s~e and dep~dent chit&~; seepp. 34-60 of f~ing ~trucaon~)
NONE ~0 reportable income, assets, or wansactions.)
Description of ~seu
(including tm~ assets)
Place "~)" a~er each m~set
exert flora prior disclosure
Income d~ng
reposing pefi~
(2)
O)
~ount
T~e (e.g.,
C~e 1
div., ren~
w,~
(1)
va~u~ [ ~(~-g,,
Code 2
Me~od
buy, sell,
~demption)
] 022.
~ (3)~
Da,e(2)
] Value
I Gain(4)
~
Mon~ - I C~e 2 I Code I [
Sold
11/3
Tr~sfeff~
~om line 2576
6/]
Tra~feffed
~om line 2670
6/1
Transfe~ed
~om line 3694
6/]
Sold
11/9
T~nsfe~ed
~om line 2738
6/1
Tmnsfe~ed
~om line 3767
6/1
Tmnsfe~ed
~om line 2818
6/1
1033.
Buy
~0/16
1034.
Buy
! 1/4
Dividend
Dividend
1025.
] 027.
] 028. DANONE
None
1029.
(pa~)
D
(pan)
None
Dividend
1036.
.
, Transfe~ed 6/t
from line 3033
~ Tr~sfe~ed
! ~om line 4055
t037.
N =$250,001 - $500,~
O =$5~,~1 - $1,~,0~
Buy
PI =$1,~,001 - $5,~0,~0
K
6/1
10/]6
P2 =$5,~,~I - $25,0~,0~
(~)
ldenti~of
buyer/seller
Date of Report
9/1/2010
I Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -t.co,,,., ~,a~,, ~ ..... ao,~ Onctuaesthos. ofs~, ..... a a~pe.dent ehUdre.;s~evp. 34-60 ofm.g
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
(1) I (~)
Amount[ Type (e.g.,
Code 1
dlv., renl,
(A-H)
or int.)
~
C.
Gross value at end of
repoaing period
(l)
(2)
Value
Value
Code 2
Method
Code 3
(J-P)
(Q-W)
D,
Transactions daring reporting period
(~)
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Da
Transferred
from line 4066
6/1
1040
Buy
10/16
1041.
Buy
11/30
Transferred
from line 4173
6/1
Buy
10/16
1038.
Buy
A
11/20
Dividend
Dividend
I043.
A
Dividend
Transferred
from line 3173
6/I
Dividend
Transferred
(from line 32471
6/I
KI
104&
Transferred
from line 4285
6/1
1047.
Buy
9/t8
1048.
,Buy
9/21
1049.
Buy
9/22
l 050.
Buy
10/6
1051.
Buy
10/28
1052.
Buy
10/29
Buy
10/29
Buy
9/3
1053.
A =51,000 or less
F =$50,001 - $100,000
J =$15,000 or ]s~
N =5250.001 - $500.000
P3 =525.000.001 - 550,000,000
Q =Appraisal
U =B~ok Value
Dividend
(5)
Identity of
buyer/seller
(if private
transaction)
(3) (4)
Value Gain
Code 2 Code !
(J-P) (A-H)
,
B =51,001 - $2.500
G =5100,00| - 5!,~00,000
K ~$15,001 - $50,00~
O =5500,001 - $1,000,000
R =Cost (Real Eshate 0~ly)
V ~Other
C =$2,501 - $5,0~0
H I =$ 1,000,001 - 55,000,~00
L -~50,001 - 51~O,000
Pl =$1.000,001 - 55,000,000
p4 =More th~n $50.000,000
S =A.c.sessr~ent
W ~Estimnted
D =$5,001 - $15,000
1"12 =Moxe than $5,000.000
M =5100,001 - $250,000
P2 =55.000,001 - $25,000,000
~f =Cash Market
E =515,001 - 550,000
Page 67 of 277
Barry, Mary~nne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ~eo~. ~l~ ,,o,sa~no~ a~,.l~d,s tho,~ o~, ~,a ~,~,~, children; see pp. ~4-60 of fd~g ins~uc~ons.)
NO~ ~o reportable income, assets, or ~a~ac~ons.)
A.
B.
C.
Desc~pfi~ of ~sse~
(including trust ~se~)
Income dung
repoaing ~
~ount
T~e (e.g.,
C~e 1
~v., r~mt,
(A-~ [
or ~l.)
(1) [ (2)
(I)
D.
(2)
(1)
Value
Code 2
(J-P)
Value
Me~
CMe 3
T~ (e.g.,
buy, sell,
~emption)
[ (2)
]
(3)
Dividend
Buy
9/3
Dividend
Buy
9/3
None
Buy
9/3
Buy
10/19
None
Buy
9/3
None
Buy
9/3
1061. L~E AG
None
Buy
9/3
] 062, METRO AG
None
Buy
9/3
Dividend
Buy
9/3
10~. ~DITEX
Dividend
Bny
9/3
None
Buy
9/3
Dividend
Buy
9/3
1067. VINCI SA
Dividend
Buy
9/3
Buy
9/3
Buy
9/3
1070.
Buy
12~
1071.
Buy
12/8
A =$1,000 or Ins
F ~$50,001 . $100,0~0
J -$15,000 or le..~
N =$250,00| - $500,000
P3 =$25,000,001 - $50,~,000
Q =A~isal
U ~Book Value
Dividend
13 ~1,001 - $2,500
G ~51~0,001 . 51,000,000
K -$1~,001 - $50,000
O =$500,001 - $1,090.009
P~ =Co~t (Re~l Estate Ol~ly)
V =Other
C =$2,50I - $5,000
HI =$1,O00,001 - $5,000,000
L =$50,001 - 5100,000
PI =$1,000,001 - $5,000,000
P4 =More ~ $50,000,000
S =Assessment
W =Eslimated
(4)
Value
O~n
Date
Mon~ - C~e 2 Code ] t
Day
~ (J-P) ~ (A-~ ~
D =$5,001 o 515,00~)
H2 =More than 55.000,000
M =$ 00.00 - 5250 000
P2 =$5.000.001 - $25.000,000
T =Cas~ Market
(5)
Idenfi~ of
buyer!se~
(if private
E =$15,001 - ~50,009
,
j
Dale of Report
9/1/2010
B.
Income d~ng
,
~ repoging pefi~
C.
[ Gr~s value at end of
~ rep~ng period
Value
Code 2
t (J-P)
Value
Meth~
, Code3
D.
Transactions d~ng r~o~ing period
Ty~ (e.g.,
buy, sell,
redemption)
None
Date
Value I Gain
Mon~ - C~e 2 C~e I
Day
~ (J-P)
(A-~
Buy
9/3
Sold
9/14
Buy
91!7
1075.
Buy
9/18
1076..
Buy
11/24
1073.
1074. TERUMO COtLP
Dividend
1077. ~ANDVtK AB
None
Buy
9/3
None
Buy
9/3
1079.
Buy
12/18
1080.
Buy
12/21
.J
1081.
Buy
12/22
Dividend
Buy
9,3
Dividend
Buy
9/3
Buy
10/12
1084.
085. HDFC BANK LTD
None
Buy
9/3
None
Buy
913
Dividend
Buy
9/3
Dividend
Buy
9/3
N-$250,001 - $500,~
O =$5~,~1 - $1,~,~
P1 =$1,0~,001 -
ldenfi~ of
~yer/seller
(if private
D~te of Report
B~, M~ya~n~ T.
9/1/2010
VI I. INVESTMENTS and TR U STS - ~co~.., .a~u., ~socao.$ a.~.a,, ,~o~ o~ ..... ~ ~,.~ ~hi~,,; ~, ~ ~-~0
NONE ~o reportable income, assets, or ~ansactions.)
A.
Descfpfion of Asse~
(including ~st ~se~)
Pla~ "(X)" a~r each asset
exempt from pfi~ ~selosure
B
Income during
~oaing ~fi~
c.
Gro~q value at end of
r~o~ing period
(0
(~)
0)
(2)
0)
Amount
~e 1
T~ (e.g.,
div., rent,
Value
C~e 2
Value
M~
T~e (e.g.,
buy, ~11,
~
t089. TYCO ELECTRONICS LTD
(2)
(3)
Buy
9/3
None
Buy
9/3
Buy
1 t/4
Buy
11/5
1092.
A
Dividend
Buy
9/3
Buy
9/3
Bay
10i27
Sold
(part)
11/20
Buy
10/30
1098.
Buy
11/5
1099.
Bay
11/16
Buy
11/5
110].
Sold
(part)
1 I/5
1t02,
Sold
(part)
11/19
None
1096.
1097. SES FDR CL A (PARIS)
None
Dividend
None
Buy
10/30
None
Buy
11/!3
Buy
i 1113
1105.
(5)
Idenfi~ of
buyer/sefl~
Uansaction)
Dividend
1091.
(4)
Date
V~ue Gain
I Mon~- I Code 2 I Code 1
(Q-~
1093. VISA ~C CL
D.
T~nsactions during r~o~ng
Page 70 of 277
Date of Report
9/1/2010
1 Barry, Maryanne T.
Income during
r~o~ng ~
T~e (e.g.,
div., rent,
I Amo~t
(2) 1
]~Code
[
1 I06.
(2)-~~
Date
Value Gain ]
Month- ~ Code 2 ~ C~e I ~
~a~ction)
~
Buy
11116
Buy
l 1/23
Buy
] 1/24
Buy
1018
1110.
Buy
10/9
1111.
Buy
10/14
1112.
Buy
10/15
1113.
Buy
10/27
l i 14.
Buy
11/I9
None
1108~
I ~ 09. T~GYI HOLD~G CO~
None
! IllS. VOLVO AB B
None
Buy
10/19
None
Buy
11/13
i1117.
Buy
12/2
1118.
Buy
12/3
None
Buy
10115
Dividend
Transferred
from line 2950
6/I
1121.
Transferred
from line 3980
6/1
1122.
Buy
10/29
P3 =$25,~.001 - $50,~,~
P~ =Mo~ ~n $50,~,0~
(5)
ldentiW of
buy~/sel~r
Bar,-y, Maryanne T.
9/I/2010
Date of Report
]
~
~
B.
Income du6ng
re~mng ~
[ Amount
~ Code I
(A-~
C.
~ Gross value at end of
reining period
D.
T~ctions d~ng r~o~g pedod
T~e (e.g.,
div,, renk
or int.)
V~ue
C~e 2
U-P)
Value
Me~od
Code 3
T$~e (e.g.,
buy, sell,
r~lempfion)
Date
Mon~ Day
None
Buy
11/16
. Buy
11/16
1124.
VNue
C~e 2 ] Code I I
(J-P)
(A-~
None
Buy
11/16
1 ] 26. STAYER ED ~C
None
Buy
12/] 8
Sold
1/1
Sold
1/1
Buy
2./25
138.
Buy
5/4
1139.
Buy
8/18
l t27. -SSGA
~D US GOV MONEY MANET F
Interest
Rent
Rent
Dividend
Identity of
buyer/~ller
(if private
HI
A =$1,000 at l~s
F ~$50,001 - $100.000
J -$15,0~O o~ |~s
N =$250,001 - $5D0,000
P3 ~$25,000,001 - $50,000,000
Q =Appraisal
U .,Book V~due
Int./Div.
P3
B =$1,001 - $2,500
G ~$100,001 - $1,000,000
K ~$15,001 - $50,000
O =$500.0~31 - $1,000,000
R =~ (Real Fstzte Ordy)
V =(3~her
C =$2,501 - $5.000
HI =$1,000,001 - S5,000.00g
L =$50,001 - $109,000
Pl =$1,000,001 - $5,000,000
P4 ~More than $50,0tl0,000
S =A~s~s~ment
W =EstimateA
D =$5,00t - $15,000
H2 ~More Ih~
M =$100.001 . $250,000
P2 --$5,000,001 - $25,000,000
T ~Cash Markc~
E =$15.0tll - $50.000
I[ ~y, M~w~.~ ~.
Date of Report
9iliZmo
VII. INVESTMENTS and TRUSTS - i .... ,, ~alu~ tr ..... ~iottr (Includes those of sp .... nd dei~nd~nt children; see pp. 34-60 of fding instruction&)
--]
A.
Description of Assets
(including trust assets)
repo~ng period
(1)
Place "(X)" after each asset
!
I
(2)
or mt.)
C.
Gross value at end of
reporting period
D.
Transactions during reporting period
(~)
(2)
(0
Value
Value
Type (e.g.,
buy, sell,
redemption)
Code 2
(J-P)
1140.
Method
Code3
, (Q-W)
(2)
Date
Month Day
(3)
(4)
Value [ Gain
i Code 2/ |i Code t [
I (J-P) [ (A-I-I) ~
L[
Sold
12/10
141. -ALLIANZ SE
Sold
(parQ
3/19
142_
Sold
(part)
3/19
143.
Buy
5/28
1144. -SONOVA
Buy
8/2 t
1145.
Buy
8/24
1 t 46.
Buy
8/24
1147.
Buy
8124
1148.
Buy
8128
1t49.
Buy
~28
50.
Buy
9/2
Buy
3124
1152.
Buy
3/25
1153.
Buy
3/25
Ii54.
Buy
4/30
1155.
Sold
10/30
11/2
(part)
1156.
Sold
(pan)
A =$!.000 or less
F =$50,001 - $100,000
J =$15,0~ or less
N ~$250,001 - $500~000
P3 =$25,000.001 - $50,000,0~0
Q ~Appraisal
U =Book Value
B =$1,001 - $2,500
G =$100,001 - $ I ,O00,000
K ~$15~00| - $50,000
O -$500,001 - $1,000,000
R =Cost (Real Estate Only)
V --Olher
C =S2,501 - $5,000
HI ~$ 1,000,001 - $5,000,000
L =$50,001 - $100,000
Pl =$1,000,001 - $5,000,000
P4 =More than $50,0~O,000
S =Assessm~n~
W
D =$5,001 - $15,000
I-t2 =More than $5,000,000
M =$t0O,0Ol - $250.000
P2 =$5,000.001 - $25,000,000
"f ~Ca~h Market
(5)
Idenlity of
buyerlsdler
(if private
transaction)
Date of Report
Barry, Maryanne T.
911/2010
VII. INVEST ME NT S an d TRU S TS - ~ ...... rue, tr ..... lions (Includes those of spouse and dependent children; see pp. 34-60 off cling instructions.)
NONE (No reportable income, assets, or transactions.)
A.
B.
Desoription of Assets
(includin~ trust assets)
Income during
. reporting period
(2)
(1) {
Amotmt : Type (e.g.,
i Code 1 i div., rent,
C.
D,
{2)
Value
! Method
(l)
Type {e.g.,
buy, sell,
(2)
]
(3) I (4)
1157.
Sold
11/3
Buy
219
Buy
",118
1161.
Buy
4/20
1 ] 62.
Buy
4/30
1163.
Buy
8/10
Sold
10/30
1165.
Sold
(part)
l 112
!I66.
Sold
(part)
1112
Sold
] ]/2
] 1/3
i 1159.
(5)
Identity of
buyer/seller
,
1160.
Buy
2/26
1164.
(part)
1 ! 67.
(pan)
1 I68.
Sold
(Pro)
t 169.
Sold
(part)
] 1/3
1170.
Sold
1114
11/5
Sold
l 1/6
Buy
3/17
{part)
1171.
Sold
{part)
["1172,
"
A =$),000or le~
B=$t,00I -$2,500
C=$2,501 - $5,0~
D=$5,~1 -$15,0~
E=$15,~1 -~50.~0
f Person Reporting
9/1/2010
i Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -,.co~.~ ~a.e, ,, ..... ao,~ anetudes those of sp.nse and dependent ehita~en; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets
Income during
Gross value at end of
(including trust assets) reporting period
reporting period
Place "(X)" after each asset
exempt from prior disclosure
i
[
Value
Code 2
(J-P)
Date
Value
Month - Code 2
Day ] (I-P)
~
i
Gain
Code I
(A-H) i
i
1174.
Buy
3/18
1175.
"Buy
3/19
1 !76.
Buy
3/19
1177.
Buy
3/24
1178.
Buy
3/25
i 179.
Buy
3/25
1180.
Buy
4/30
t 181.
Sold
(part)
9/2
1182.
Sold
(part)
9/3
Buy
3/18
It84.
Buy
3/19
1185.
Buy
5/I
1186.
Buy
6/25
1187.
Buy
7/16
1188.
Buy
12/7
1189.
Buy
12/8
Buy
I/5
A =$1,000 or I~ss
1:=~50,001 - $100,0O0
J =$15,t100 o~ less
N =$250,0(11 - $500,000
P3 =$25,000,001 - $50,1)~0,000
Q =Appraisal
U =Book Value
B =$1,00) - $2,560
G =$100,00! . $1,0O~,t.00
K =$} 5,001 - $50.000
O =$500,001 - $1,0~),000
K =Cos (P.ea] E.~ate Only)
V -~)ther
C =$2,501 - $5,000
HI -$1,000,00! - $5,000,000
L =$50,0~1 - $100,000
P! =~1,000,001 - $5,000,000
P4 =More than
$ =Assessment
W =EsI{mated
]dentiS of
buyer/seller
(if private
tran~ction)
D =$5,001 - $15.000
H~ =Mo~e than
M =$100,001 P2 =$5.000,001 - $25.00(),00~
T -~S a~h Market
E =$15.001 - $50,00~
D,te of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - inco.,e, v~t~, ~ ...... ,~o,~ O~et~ t~o~ o~ ...... ~ ~ ~.~
HONE ~o reportable income, ~sets, or ~ansactiom.)
A.
Description of Asse~
(including t~st ~se~)
[
Pla="~)"aflereachasset
~empt from prior ~sc]osure
:
~
[
B.
I~ome during
reposing pefi~
0~ ]
~
~o~t
(~)
Type(e.g.
CMe 1~ div., rent,
[(A-~
orint ]
C.
Gross vflue at end of
~poning
~ (1) ~
~ Value
Code 2
(J-P)
(2)
Value
Me~
i
C~e3
(0
Type(e.g.,
buy, sell,
redemption)
(2)[
O) [ (4) [
l Date
~Value [ Gain
~ Mon~ ~ Day
~ 1191.
Buy
5/4
[ 1192.
Sold
5/22
Buy
2/19
1194.
Buy
4/30
1195.
Sold
(pa~t)
12/18
Buy
1/6
1197.
Buy
1/7
] 198.
Sold
6/3
Buy
1/15
1200.
Buy
1/16
1201.
Buy
1/20
1202.
Buy
4/30
1203.
Sold
(part)
7/31
1204.
Sold
11/10
Buy
2/26
1206.
Buy
4t30
1207.
Sold
(part)
5/26
(part)
U =Book Vatue
V ~d~er
W ~imzted
(5)
I~nfityof
Date of Repor~
Page 76 of 277
Barry, Maryanne T.
9/1/2010
B.
Income during
reposing p~
Place
a~er each asset
exempt from prior ~sclosu~
O) ~ (2)
~o~t I T~e (e.g.,
Code 1 I div., rent,
[(AH)1 orint.)
C.
I
~oss value at end of :
reposing ~nod
O)
Value
Code 2
(J-P)
(2)
Value
Method
C~e3
D.
Transactions during ~o~ing period
O)
T~e (e.g.,
hay, se~,
[ ~demption,
(2)
Date
Value,] Gain ~
] Moa~ - ~ Code 2 ] C~e }
Day ] (3-, ~(A-~ [
1208.
Bay
7~8
[ 1209.
Buy
1114
1210. -J~ER
Buy
7/28
Sold
(pa~)
1/6
1212.
Sold
(part)
2/13
1213.
Sold
(pa~)
2/13
1214.
Sold
(pa~)
~13
1215.
Sold
~13
1216.
Sold
(pan)
2/13
1217.
Sold
(pan)
~t7
~ 1218.
Sold
(part)
2~17
Sold
2/18
Sold
1/19
~a~)
I219.
1220.-~CHEMONT AG
(pan)
1221.
Sold
(pa~)
1/19
~ 1222.
~
Sold
(pan)
1/19
1223.
Buy
8/4
1224.
Buy
8/4
Columns CI
ldenfi~ of
buyer/seller
(if private
Date of Report
I
Barry, Maryanne T.
Page 77 of 277
9/1/2010
~.
Description of Asse~
(including ~st ~ets)
Place "~" a~er each asset
~.
Income dudng
repo~ng pefod
(1) [ (2)
~o~t ~ T~e (e.g.,
Code 1 ~v., rent,
(A-~
or ink)
c.
(I) (2)
Value
~ Me@od
C~e 3
(1)
T~e (e.g.,
buy, ~lI,
(2)
Date
(3) (4)
V~l~e ~ Qain
Code 2 Code I
(J-P)
(A-~
r~e~tion)
Mon~Day
Buy
8/14
Buy
8/17
1227, ~FC
Buy
3/6
Buy
i/6
1229.
Buy
1/8
1230.
Buy
1/9
1231.
Buy
1/14
1232.
Buy
1/15
1 ~33.
Buy
5/1
1234.
Buy
5/29
~ 235,
Buy
6/3
~ 236.
Buy
71~ 6
Buy
2/23
1238_
Buy
4/30
Sold
10/23
10/27
10/28
Code 2
(J-P)
Value
1225. -SWISSCOM AG ~G
1226.
1239,
(pa~)
1240.
Sold
~aa)
1241,
Sold
(paa)
Ide~tiW of
buyer!seller
Name of P ....Reporting
Page 7 8 of 277
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ino ..... ine, transactions (Includes those of sp ..... d dependent children; see pp. 34-60 of ffding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assels
(including trust assets)
B.
Income during
reporting period
(1)
(2)
.......
] 1242.
C.
Gross value at end of
reporting period
O) [ (~)
Value
Code 2
Value
Method
D.
Transactions during reporting period
~1)
: (21 ,~ (~
~: Type (e.g.,
buy, sell,
~i (Q-W)
Date
Value
Month - I Code 2
(~)
Gain
Code 1
transaction)
i
Sold
(part)
10/29
i
I
I I243.
Sold
{part)
10/29
1244.
Sold
(part)
10130
! 245.
Sold
11/2
Buy
1/9.22
1247.
Buy
1/22
1248.
Buy
1/23
t249.
Buy
1/23
1250.
Buy
1/26
1251.
Buy
1/27
1252.
Buy
1/28
1253.
Buy
4/30
Buy
3/17
I255.
Buy
5/1
1256.
Sold
9/2
Sold
913
Sold
(part)
9/4
(part)
1257.
(part)
1258.
A =$1,~0 or less
B =$1.001 - $2.500
C =$2,501 - $5,000
Ideotity of
buyedseller
Barry., Maryanne T.
9/1/2010
repo~ng peri~
~o~l
:. Code 1
[ (A-~
[
T~e (e.g.,
~v.. rent
or ~m.)
I Value
Me~od
I
[ Code 3
~ (~g,)
T~e (e.g.,
buy, sdl,
rede~tion)
Dam
~ Mon~ Day
Value
Code 2
(t-P)
G~n
Code 1
(A-~)
1259.
Sold
9/9
Buy
9/9
] i26i~
Buy
9/~0
~ 1262.
Buy
9/11
1263,
Buy
9;11
1264.
Buy
9/16
1265.
Buy
10119
1266.
Buy
10/20
1267. - SAP
Buy
4/30
Sold
11/20
Sold
12/8
Sold
(part)
1/6
1271.
Buy
5/4
Buy
4/27
1~7~.
~uy
4/28
1274,
Buy
5/1
1275.
Buy
611
1268.
(p~)
1269.
(p~)
1270. - HONG KONG & CHINA GAS
2. Value C~es
J =$15,~ or le~
K =$15,00t - $50,~
L =$50.~1 - $1~,0~
]denfiW of
buyer/seHer
(if private
~saction)
Ba~y, MaRanne T,
Date of Report
9/1/2010
I
VII. INVESTMENTS and TRUSTS -~co.e, ,au,, ~ ..... no~ (lnclude$ those of sp .... d dependent children; see pp. 34-60 of fdlng ins~uctio.s.)
NONE ~o reportable income, assets, or ~ansactions.)
A,
B.
C.
Description of Asse~
(it~luding trust ~se~)
Income during
re~ai~ period
0)
Place "(X)" after each asset
~empt from prior disclosure
~o~t
Code 1
(A-~
(2)
T~e (e.g.,
div., r~t,
or int.)
D.
T~sactiom during r~o~ing
0)
(~)
0)
Value
Code 2
Value
Method
Code3
T~ (e.g.,
buy, se~,
(J-P)
r~emption)
(2)
Date
Mon~ Day
(3)
(~) ~
(5)
Va~e
Code 2
(J-P)
Gain [:
Code 1
(A-~
ldenti~ of
buyer.,se~er
(if private
(Q-~
~ction)
1276.
Buy
6/2
1277.
Buy
10/6
I278.
Sold
(part)
10/27
t3uy
4130
t 280.
Buy
6/24
Buy
4!30
Sold
6/]
Sold
611
Sold
(part)
8124
1285. SIEMENS
Buy
Zt20
1286.
Buy
3/16
I287.
Buy
5/4
Buy
4/30
1289.
Buy
5/27
i290. - IBM
Buy
3/31
1291.
Buy
11/24
1292.
Sold
(part)
11/23
1282_
(part)
1283.
(part)
1284.
Date of Report
Page 81 of 277
9/I/2010
Barry, Maryanne T.
I
B.
Income during
reporting period
<l) (2)
C.
Gross value at end of
reporting period
(1) II
D.
Transactions during reporting period
(2)
(1)
(2)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(J-P)
Gain
Code I
(A-H)
Sold
11/23
Buy
3/16
11295.
Buy
5/4
1296.
Buy
5/29
Sold
9/7
Buy
11/25
Sold
11124
Sold
11/24
Buy
1/13
1302.
Buy
4/30
1303.
Sold
(part)
6/1
1304. -NOVO
Buy
6/3
1305.
Buy
6/4
1306.
Buy
6/8
1307.
Buy
8/10
1308. - SCHLUMBERGER
Buy
4/30
1309.
Buy
10/19
Value
Code 2
(J-P)
i
1293.
(pan)
1294. - NESTLE SA
1297.
(3)
(part)
1298.
1299.
(part)
1300.
(part)
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 - $ I,~00,000
R =Cost (Real Estate Only)
V =Other
C =$2,501 - $5,000
HI ~$1,000,001 - $5,000,000
L =$50)001 - $100,000
P1 =$1,000,001 - $5,000,000
P4 =More ~an $50,000,000
S =Assessment
W =Estimated
(4)
(5)
D =$5,001 - $15,000
t-12 =More than $5,0~O,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =~Ca~h Market
identity of
buyer/seller
(if private
transaction)
E =$15,001 - $50,0~0
Page 82 of 277
Date of Report
Barry, Maryanne T.
9/!/2010
A.
B.
Description of Assets
(including trust asset.~)
Income during
reporting period
(l)
D.
Transactions during reporang period
(2)
(l)
(2)
(3)
(4)
Value
Method
Type (e.g.,
buy, sell,
Value
Code 2
Gain
Code I
redemption)
Date
Month Day
1310.
Buy
10/29
1311.
Buy
11/24
1312.
Sold
!I/23
Sold
11/23
Buy
4//30
Sold
10/28
Sold
(part)
10/28
Sold
10/29
1318.
Sold
10/29
.~
Buy
4/30
1320.
Sold
(part)
3/30
Sold
4/9
Sold
4/9
Sold
5/19
Sold
5/19
Amoom
Code 1
(A-H)
(2)
C.
Gross value at end of
reposing period
Type (e.g.,
div., rent,
or int.)
, (l)
Value
Code 2
(.l-p)
1313.
Code 3
i (Q-W)
(pan)
t314. - SOUTHWEST AIRLINES
1315.
(part)
1316.
1317.
(p~)
1321.
(J-P)
I (A-H)
I
;i
i
Identity of
buyer/seller
(if private
t ..... tion)
(part)
1322.
1323.
(part)
1324.
(p~)
1325.
Sold
5/19
Buy
4/30
A .-$1,000 or leas
F =150,001 - $ I 0O,000
1551 ~,000 or I1~
N =$250,001 - $500,0~0
P3 =$25,000,001 - $50,000,000
Q -Al~taisal
U -Book Value
B =$1,OOl - $2,500
G =$ 100,001 - $ 1,000,009
K =$15,001 - $50,000
O =$500,001 - $1,000,00~1
g =Cost (Real Estate Only)
V =Other
C =$2,50t - $5,000
H l =$1,000,001 - $5,000,000
L =$50,001 - $100,000
PI =$i,~0,001 - $5.000,0<)0
P4 =More than
S =Assessment
W =Estimmcd
D =$5,001 . $15,000
H2 =More than
M ~$I00,001 - $250.000
P2 =$5,0~3.001 - $25,000,000
T =C~h M~rket
E =$15,001 - $50,0~0
B~m, M~y~..e T.
Date of Report
9/1/2010
VII. INVESTMENTS an d TRUSTS - ~co,,,, ,,t~e, ~. ..... no,~ ancludes those of spouse and dependent children; see pp. 34-60 of fding instruaions.)
---]
]
[
Income during
reponing period
D.
Transactions during reporting period
i
[
/Code 2
buy, soil,
i redemption)
/ (JP)
i Method
I Code3
1327.
Sold
6/15
Buy
1/29
.l
1329.
Buy
3/25
1330.
Buy
4/8
1331.
Buy
5/1
1332.
Buy
5~9
1333.
Buy
6/17
1334,
Buy
6/17
1335.
Buy
6/18
1336.
Buy
11/25
1337.
Sold
(part~
11/24
1338.
Sold
(part)
11/24
Buy
1/8
1340.
Buy
118
!341.
Buy
5/1
342.
Sold
6/16
343.
Sold
(part)
623
(p,~rt)
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
B =$1,001 - $2,500
tl =$100,0~Jl - $1.0(YO,000
K ~$15,00l - $50.0110
O =$500.001 - $ I,~,000
C =$2,501 - $5.000
HI =$1,090,001 - $5.000,000
L --$50,001 - $100,000
P 1 =$1.000.00I - $5,000,000
P4 =Mo~ than $50,91~0,000
Code I
{A-I~ j
buyer/seLler
(ifprivate
D =$5,001 - $l$,000
H2 =Move than $5,000,000
M =$100.001 - $250.000
P2 =$5,0Lvd.001 - $25,000,0~
E ~$15,00t - $50,000
Page 84 of 277
Date of Report
I
9/1/2010
] Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - i.eo.,~, v.~u., t~ ..... ao.s (Includes those of spouse and d,pondent ehild, en; ~ee pp. 34-60 of filing instructions)
NONE (No reportable income, assets, or transactions.)
De.~plion of Assets
(including trust assets)
Income during
reporting period
(1)
Place "(X)" after each asset
exempt from prior disclosure
Amount
(2)
~Codel
Type (e.g.,
div., rent,
,! (A-H)
orint,)
(l) [ (2)
"i
Value
Code 2
(J-P)
Value
Method
i Code3
(1)|
~
[
Type (e.g.,
buy, sell,
redemption)
(5)
(2) i ~3) ~
,
Da~
Month -
I Day
Gain ]
Identity of
Code2 CodeI I
I (J-P) ](A-H)I]
buyer/seller
(ifprivate
tran~tmn)
Value
1344.
Sold
7/29
1345.-CADBURY
Buy
515
1346.
Buy
5/6
1347.
Buy
5/13
1348.
Buy
5/14
1349.
Buy
5/] 4
1350.
Buy
5/14
:i 1351.
Buy
5/21
i 1352.
Buy
5/26
1353.
Buy
5/27
1354.
Buy
5/28
1355.
Buy
5/29
1356.
Buy
5/29
1357.
Buy
8/12
1358.
Sold
(paa)
I116
1359.
Sold
11/9
Buy
4/30
A =$1.000 or less
F =$ 50,001 - $100,000
J =$15,000 or less
N =$250,001 - $500,000
P3 =$25.000,001 - $50,01X9,000
Q =Appraisal
U =Blink Value
B ~$I,001 - $2,500
13 =$100,001 - $ 1,000,00O
K =$15,001 - $50,000
0 -$500,001 - $1,000,000
R --Cost (Real Estate Only)
V =Other
C =$2,501 - $5.00~
HI =$1,000,001 - $5,[kqo,000
L --~50,(~) l - $ 100,000
PI =$1,000,001 - $5,000.000
P4 =More than $50,~,000
S =As~e~rncm
W =Estimated
D =$5,001 - $15.000
H2 =Mote than $5,000,000
M ~$100,~)1 - $250,000
P2 =$5.00<1,00~ - $25.000.t]00
T ~C~h Market
E =$15.1)01 . $50.000
Baby, Maryanne T.
~I. INVESTMENTS an d ~USTS - ~o~., ~,,. ~,~ a~~ ,ho,. o1~.,, ~.~ demndent children; see p~ 34~ offding ins~u~o.g)
NONE ~o reportable income assets, or ~ansactions.)
A.
Description of A~e~
(including t~t ~)
B.
Income during
reposing pefi~
(I) ~ (2)
T~ (e.g.,
~ ~o~
.. ~de I
div., r~m,
: (A~
or int.)
~
D.
C.
T~6ons
[
re~ingvalue
~ri~at end of
Gross
I (I)Value
(2)
~ Code 2
" (~-P)
Value
~ Me~hod
Code 3
(Q-~
Gain
Code ]
(A-~
[
Buy
4/20
1362.
Buy
5/1
Sold
8/24
] 364. -QA2qTAS
Buy
4/23
1365.
Buy
4/29
1366.
Buy
619
1367.
Buy
~10
1368.
Buy
6/11
1369.
Sold
(par~)
I 1/20
Sold
I113
Buy
3/11
1372.
Buy
5/1
1373.
Buy
7/1
1374.
Buy
8/25
1375.
Buy
11/25
1376.
Sold
i 1/24
1377.
Sold
11/24
1363.
(p~)
(p~t)
N =$250.001 - $500,000
O :$500,001 - $1,00O.00~
PI =$1,000,001 - $5,000,0~0
P2 =$5,009,001 - $25,000,000
{5)
ldenfi~y o~
buyer/sd~er
(if private
~ction)
~a~y, Maryanne T.
Date o f Report
9/I/2010
VII. INVESTMENTS and TRUSTS - ~ ....... tu,, ~r ..... tions anct,aes ,hose o[~p ...... a a*pe.a*nl chita, e,,; s,et,~,. 34-60 of fai,~g
NONE (No reportable income, assets, or transactions.)
Description of Asscts
(including trust assets)
Income during
reporting period
(l)
(2)
Amount Type (e.g.,
Code 1
div., rent,
(A-H)
or int.)
(2)
Date
Month Day
(3)
Value
Code 2
(J-P)
Buy
3/t 9
1379.
Buy
4/20
1380.
Buy
4/30
1381.
Buy
5/27
1382.
Buy
8/17
1383.
Buy
~ 1/24
1384.
Sold
(part)
11/23
1385.
Sold
(part)
11/23
1386. - TESCO
Buy
5/29
1387.
Buy
6/5
1388.
Buy
11/12
Buy
11/13
I390.
Buy
11/13
1391.
Buy
11/16
Buy
11/23
1393.
Buy
11/24
Sold
(part)
2/26
(4)
Gain
Code 1
(A-H)
A ~$1,000 or less
B =$1,001 -$2,500
C =$2,501 - $5,000
D =$5,00I -$15,000
F-~$50,001 - $100,000
J =$ I 5,0~00~ leSS
G =$100,001 - $1,000,000
K =$15,001 - $50,000
H2 =More thin
M =$100,00t - $250.000
N =$250.001 - $500,000
P3 =$25,000,001 - $50,000,000
Q ~Appraisal
O =$500,001 - $1.000,000
Ht =$1,000,00I - $5,000,000
L =$50,00! - $ 100,000
P I =$1,00O,001 - $5,000,000
P4 =More tha~ $50,000,000
S =Assessment
W ~Eslimale~l
U =Book V~lue
P2 =$5,000,001 - $25,000,000
T =Cash Market
(5)
Identity of
buyer/seller
(if private
transaction)
E =$15,001 - $50,000
9/1/2010
~io.~ (Includes th ....f spo ....d dependent children; see pp. 34-60 of fding instructions.)
NONE
B.
Description of Assets
(including trust assets)
Income during
repoaing period
(1) (2)
Place "(X)" after each asset
exempt from prior disclosure
c.
div., rent,
or int.)
D.
(0
(2)
(l)
Value
Code 2
Value
Method
Code 3
Type (e.g.,
buy, s~ll,
redemption)
(J-P)
(Q-W)
(2)
(3)
(4)
(5)
Date
Month [ Day
Value
Code 2
(.f-P)
Gain
Code I
(A-H)
ldenti~ of
buyer/seller
(if private
transaction)
1395.
Sold
2/26
1396.
Sold
(part)
2/27
Sold
3/3
Sold
3/~
Sold
5/13
1400.
Sold
(part)
5114
1401.
Sold
(part)
5/15
1402.
Sold
5/18
Sold
1/19
1404.
Sold
(part)
1/20
.!
1405.
Buy
5/4
1406.
Buy
11/25
1407,
Sold
(part)
11/24
1408.
Sold
(part)
11/24
1409. -D1AGEO
Buy
10/30
1410. - ACCOR
Sold
(part)
3/1 !
14t 1,
Sold
3/13
1397.
1398.
1399.- BAKER HUGHES
(p~t)
(part)
(part)
(part)
(part)
(part)
DateofReport
~ ~ ~u~,~;
NONE
reportable
9/1/2010
B~r~y, Maryannt T.
A.
~scription of Asse~
(including ~st ass~s)
B.
lacome d~ng
r~i~ p~od
O) i (2)
D.
Transactions d~ng r~o~ing ~fi~
C.
~
~ss va~ at ~d of ]
r~ag
~Value
C~e 2
(J-P)
(2) ~
Value
Me~od
Co~ 3
(0
T~ (e.g.,
buy, se~,
~ redemption)
(2) [ O) ~ O)
Dam ~ Value ~ Gain
Mon~ - Code 2 C~e I
Day
0-P)
(A-~
~
Sold
1412.
(~)
Idenfi~ of
buyr/~ller
(if private
t~saetion
3/13
(pa~)
1413.
Sold
(pa~)
3/16
i414.
Sold
(pa~)
3/]9
[ ~ 15.
S old
4/3
[416. - HEINEKEN
So!d
(part)
8/24
1417,
Sold
(part)
8/27
1418.
Sold
8127
1419.
Sold
8~7
Sold
(part)
1/30
1421.
Sold
(part)
1/30
1422.
Sold
2/2
Buy
3/4
1424. - SANOFI-AVENTIS
Sold
2/19
1425. - COSTCO
Buy
4/30
Sold
(part)
2/9
1427.
Buy
4/30
1428.
Sold
(pan)
6/26
(p~rt)
A -$1,000 o 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
0 =Book Value
B =$1,001 - $2,500
(3 ~$100,001 - $1,O00,OOD
K ~$15,00t - $50,000
O =$500,001 - $1,0(R),O~)
R =Cost (Real Estate Only)
V ~Other
C =$2,501 - $5,000
tll =$1.000,001 - $5,000,0OO
L =$50.O01 - $ 100,000
Pl =$1.000,001 - $5,001),000
P4 =More if.an $50,000,000
S =Assessment
W =Eslimated
D *$5,001 - $t5,000
H2 =More than $5.000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =Cash Market
E =$15,001
Date of Report
9/1/2010
I
VII. INVESTMENT S and TRUSTS - i~o~,,, ~t~,, ~ .... ,io,~ (Includes ,ho~e of s~e and depender chiMren; ,, pp. 34-60 Of fdi~g i~uctio~.)
NONE ~o reportable income, ~set~, or transactions.)
A.
~scdption offsets
(including trust ~se~)
B.
Income ~fing
re~ing p~
o) t (2)
Place "~)" after each asset
exempt ~om prior disclosure
[(A
C.
Gross value at end of .
reposing period
]
D.
Transactions d~ng ~o~ng period
Cv) [ (2)
Value
Code 2
(VP)
~ Value
M~h~
~d 3
(Q-W)
(o
T~e (e.g.,
buy, sell,
r~mption)
1429.
Sold
(pa~)
6/26
!430.
Buy
8!11
Buy
8/]3
432.
Buy
8/14
1433.
Buy
8/17
1434.
Buy
8/18
1435.
Buy
8!24
1436.
Buy
8131
Buy
9/3
1438.
Buy
11/3
1439.
Buy
1 I/4
I440.
Buy
1 I/5
1441.
Buy
11/3
Buy
8/14
1443.
Buy
8/14
i444.
Buy
8!17
Sold
(part)
2/t2
A ~$1,000 ot I~s
F -$50,001 - $100,000
J -$15.000 or less
Q =Appraisal
O =Bt~k Value
B -$1,001 - $2,500
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,O01 - $1,000.000
C ~$2,501 - $5,000
HI =$1,000.001 - $5.000,D00
L =$50,001 - $10O,00~
D =$5,001 -$15,000
1-12 =More than $5,000,000
M =$100,0OI - $250,0OO
P2 =$5.000.001 - $25.000.0~3~
P1p4 =More=$ l,O00.O01than $50,000,000- $5,000,000
S =Assessment
W =Estimated
T =Cash Market
cs)
Identib, of
buycr/sdler
(ifpfvate
~nsaction)
E =$15,001 - $50,000
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - i~o~,,, ~.,, ~ ..... no,~ (Includes those +f sp ...... d depe~d~.~ children; see pp. 34-60 of fding 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
i
(1) i
(2)
Amotmt
Type (e.g.,
Code I
div., rent,
(A-FI) ] orint,)
]
I
C.
Crros~ value at end of
reporting period
(I)
Value
Code 2
(J-P)
(2)
Value
Method
Code3
(Q-W)
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
1446.
Sold
(part)
5/15
1447.
Sold
5/18
Buy
4/30
Sold
6/15
450.H. FEDEX
Buy
4/3
t451.
Buy
6/3
1452.
Buy
6/4
]453.
Buy
6~
1454.
Buy
6/5
1455.
Buy
6117
Sold
3/6
Sold
(part)
4/17
1458.
Sold
(part)
l 1/18
1459.
Sold
(part)
11/19
Buy
4130
1461.
Sold
(part)
8/17
1462.
Sold
(pan)
8t24
(part)
(5)
Identity of
buyerlsel!er
(ifprivate
transaction)
NONE
9/1/2010
D~cfipti~ of Asse~
(including ~st asse~)
PI~ "(~" after each a~et
~empt~ompriordisclosure
Tra~afions
Income during
~eponing pffi~
[[ ~oss
valueperiod
at ~ ofI~
repo~ing
~ 0)
~ 0)
Amour
(~)
T~e (e.g.,
/<A-ml ~ri"t)
Value
[ (2)
0)
(~)
~ Value
T~ (~.g.,
Date
,~mptio=)
D~y [O-P)
0-~) , Coa*3
~ Vatue Gain~
Sold
(pan)
Z/10
1464.
Buy
4/20
465.
Buy
6/17
1466.
Sold
(paa)
7/3
1467.
Sold
(paa)
8/26
Sold
10/6
Sold
(paa)
10/6
Buy
5/29
1471~
Sold
(paa)
6/5
1472.
Sold
(pa~)
6/5
1473.
Said
6110
1474. - COMCAST
Sold
8/7
1468.
~a.)
1469.
(part)
1475.
Sold
(part)
8/10
1476.
Sold
(part)
8/12
1477.
Buy
11/3
1478.
Sold
(part)
10/2
Sold
2/16
1479. - INDITEX
(pa~)
U =B~k Val~
V =~er
ldenti~ of
Date of Repert
9/1/2010
I
VII. INVESTMENTS and TRUSTS - ~ ......
[~
NONE
the, transactions (lndndes those of spouse and dependent children; see pp. 34-60 of fiting instrucaon~)
A.
Description of Assets
(inc}uding trust assets)
Place "(X)" after each asset
exempt from prior disclosure
B.
Income during
1 reporting period
, Amount t Type (e.g.,
Code I [ div., rent,
(A-H)
or int,)
[
i
C.
Gross value at end of
reporting I~eriod
Value
Code 2
(J-P)
Value
Method
Code3
Type (e.g..
buy, sell,
redemption)
Date
Mouth Day
Value i Gain
Code 2 i Code I
(!-P) (A-H)
Identity of
buyer/seller
(if private
transaction)
1480.
Sold
(part)
2/I 6
1481.
Sold
(part)
2/16
1482.
Sold
21t7
1483.
Buy
8/18
1484, -VINCI
Buy
8118
Buy
8/26
Buy
5/4
t487.
Sold
(part)
6/3
1488.
Sold
(part)
7/14
1489.
Sold
(part)
7/14
1490 - BMW AG
Buy
3/t6
1491.
Buy
5/29
1492.
Sold
(part)
8/27
1494. - WOOLWORTHS
Sold
(part)
l/l 9
1495.
Sold
(part)
1/19
1496.
Buy
5/1
1493. - CA NON
o.o._
t
Page 93 of 277
DateofReport
VII. INVESTMENTS and TRU STS - it~ome, value, tr .... ctions (Includes those of spouse and dependent chitdren; see plx 34-60 of f!ling instructions,)
NONE (No reportable income, assets, or transactions.}
Description of Assets
(including trust assets)
Income during
reporting peiiod
(2)
0)
Place "(X)" after each asset
exempt from prior disclosure
0)~i (2)
Value
Code 2
(J-P)
Value
Method
Code3
0)
(2)
Type (e.g.,
buy, sel~,
redemption)
Date
MonthDay
(3)
Value
Code 2
(J-P)
(4)
(5)
Gain
Code I
(A-H)
Identity of
buyer/seller
(ifprivate
(Q-W)
transaction)
1497.
Sold
! 2/9
1498.
Sold
(part)
12/10
1499.
Sold
12/11
1500.
Sold
12/11
Sold
(part)
t/28
1502.
Sold
(part)
2/3
1503.
Sold
(part)
2/6
Sold
~12
Sold
(part)
2/] 2
Sold
2/I3
] 507.
Sold
(pan)
2/19
t508.
Sold
(part)
2/24
1509.
Sold
(part)
2/25
Buy
5/20
Buy
2/2
i 1512.
Buy
2/2
1513.
Buy
2/3
1504.
t 505.
! 1506,
(part)
(part)
(paa)
(par0
9/1/20t
a~, Ma~anne T.
Page 94 of 277
VII. IN~STMENTS and TRU STS - i~o~, ~,, ~.~alo., a.a~a~ tho,, o/~ .... ~.a dependent children; see pp. 34-60 of fdlng ~strucdong)
HONE ~o reportable income, assets, or transactions.)
Descfipti~ of Ass~
(including trust assets)
Income during
[ re~aing ~fioa
~s value at end of
~poaing period
I C~e 1
C~e 2
(J-P~.
[r (A-~
~
~v., ten,
or ~L)
Me~od
CMe 3
(Q-~
buy, ~11,
redemption)
~
. Mon~ - ~ C~e 2
l
Day
~ (J-P). ,i:~
(A-~) ~
,
~
1514.
Buy
2/3
1515_
Buy
2/4
1516.
Buy
2/16
! 1517.
Buy
2/17
1518.
Buy
2/18
1519.
Buy
2/19
1520.
Buy
3/5
1521.
Buy
4/20
1522.
Buy
5/1
i523.
Buy
6/4
!524~-TEL~TRA CORP
Buy
2/26
i525.
Buy
5/1
Buy
4/30
Sold
5/5
t528.
Sold
(part)
5/6
I529. - ALLERGAN
Buy
4/30
Sold
2/10
1527.-LrNILEVER PLC
(par0
(part)
A =$1,000 or less
F ~,$50,00] - $100,000
J ~$15,000 or less
N ~$250.001 - $500.000
P3 =$25,000,001 - $50,000,000
Q =Appraisal
I.l ~Beok Value
rl ~$1,001 - $2.500
G =$100,001 - $1,000,000
K =$15,0(11 - $50,000
O =$500.00t - $1,000.000
R -Co,st (Real Estate O~ly)
V =Oiler
C =$2.501 - $5,000
HI =$1,000,00l - $5,000,000
L =$50.001 -$100,000
Pl ~$1.000.001 - $5.000,000
P4 =More ~z~ $50,009,000
S =A.c~essrnent
W =EsfimaIed
D =55,00t - $l 5.000
.82 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5.000.001 - $25,000,000
"r ~<2ash Market
buyer/se~
(if private
~an~ction)
E -~$15,001 - $50,000
Page 95 of 277
aSSeL$,
9/In010
~ansactio~.)
B.
Income during
~ning pefi~
A.
~e~ti~ of Asse~
(including t~st ~sets)
Date of Report
C.
Gross value at end of
re~ing period
~
l
l
Value
C~e~
VMae
Me~od
D.
Transactions d~ng ~o~ng
T~ (e.g.,
buy, sell,
1531.
Sold
2/10
Buy
4/30
1534.
Sold
10/29
10/30
(part)
1535.
Sold
(part)
1536.
I"
Sold
11/2
(part)
1537.
Sold
11/2
Sold
11/3
(part)
1538.
(part)
1539.
Sold
(pan)
11/4
1540,
Sold
(part)
11/5
Sold
11/6
1541.
(part)
1542. - PO~ASH CORP
Buy
4/30
1543. - LOR~AL
Buy
5/4
Sold
(part)
12/7
1544.
""
.......
N -$250,001 * $500,000
O =$5(30,001 - $1,0~30,000
P2 =$5,000,001 - $25,000,000
Identity of
buyer/~er
IName
Date of Report
of Person Reporting
FINANCIAL DISCLOSURE REPORT ] B,~-y, M.rr~n.eT.
Page 96 of 277
9/I/2010
A.
B.
Income during
Descfipti~ of Asse~
(including trust assets)
Place "(~" after each a~et
exempt tkom prior disclos~e
C,
~o~ v~e at ~d of
D.
Tmn~ction~ during r~o~ng ~dod
div., rent,
ox int.)
Code 2
(J-P)
Me~od
C~e 3
buy, sell.
re~mp6on)
Month - Code 2
Day [ (J-P)
Co~
(A-~
buyer/seller
(if private
Buy
12/1 l
Buy
4/30
Buy
5/1
1556,
Buy
5/11
] 557.
Sold
(part)
5/27
1558. - DAVITA
Buy
4/30
1559. -CISCO
Buy
4/30
1561. - SAMSI.YNG
Buy
5/I
1562. - SEPRACOK
Sold
614
Buy
4/30
1564.
Sold
8/26
(pan)
A =$ ~ ,000 or tess
F =$50,001 - $1130.000
J -$15,000 or less
N -$250.001 - $500,~O0
P3 =$25.000,001 - $50,000,000
Q ~A~prat~al
U =Book V~due
B =$1,00l - $2,500
G =$100,0~1 - $1,000,000
K =$15.001 - $50.000
O =$500.00J - $1,000,000
R =Co..~ (Real Estate Only)
V ~Other--
C =$2,501 - $5,000
HI =$] .000.00t - $5,000,000
L =$50,0OI - $100,O00
PI =$1,000,001 - $5,~00.000
P4 =Mo~e than $50,000,000
S =A~eSsment
W =Estimated
D =$5.001 - $15,000
H2 =More than ~5.000,000
M =$100,001 - $250,000
P2 =$5,000,00! - $25.000,000
T =C~h Marke~
E =$15,~Ot - $50,090
Date of Report
9/~/2010
Ba.-y, Maryanne T.
I
VII. INVESTMENTS and TRUSTS - inco,,~, ~.t.e, t~.n,oet~,n~ and.de, rho,, o!sp ..... d dependent children; seepp. 34-60 of f dine instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including t~st assets)
Place "(X)" after each asset
!
i
B.
Income during
reporting period
or int.)
;
1565.
C.
Gross value at end of
reporting period
Value
(J-P)
D.
Transactions during reporting period
Value
Code 3
(Q-W)
Type (e.g.,
redemption)
,
Date
Day
! Value
(J-P)
[ (~-1
Sold
8/27
1566. - BOUYGUES
Sold
(part)
2/16
I567.
Buy
5/4
1568.
Sold
(part)
6/8
15691
Sold
(part)
6/10
1570.
Sold
(part)
6/15
1571.
Sold
(part)
6/16
1572.
Sold
10/8
1573.
Sold
(part)
10/9
1574.
Sold
(part)
10/12
i 1575.
(part)
] Gain |
] (A-H)
I
(part)
Sold
10/28
(part)
1576. - FAN~JC
Sold
(part)
1/13
1577.
Sold
(part)
1/14
1578.
Sold
(parO
1/14
1579.
Sold
(part)
~4
1580.
Sold
(part)
3/5
1581.
Buy
5/29
Idep, tity of
(ifprivate
transaction)
Date of Report
9/1/2010
T.
}
VII. INVESTMENTS and TRUSTS - ~.co.~, ~ot.,, ~.~a.io.. a.a~a., ,ha. o.~o ..... a ~pendent children; see p~ 34-60 of faing ins~uctions.)
NONE ~0 reportable income, assets, or ~ansactions.)
D~c~p~on of Assets
(including ~st a~e~)
Place "(X)" a~r each asset
exempt ~om prior ~selosure
Income during
~ re~a~ng perod
I~mo~t
[Code 1
~ (A-~
T~e (e.g.,
div., reu~
or int)
T~ (e.g.,
buy, ~!1,
redemption)
Date
Mon~ Day
Value
Code 2
(J-P)
,
Gain
C~e
(A-~
~
L
1582.
Buy
8/18
1583. - AT&T ~C
Buy
4/30
1584.
Sold
10/30
I585.
Sold
I0!30
1586. - MICROSOFT
Sold
3/3 !
Sold
8/3
1588.
Sold
(part)
9/3
1589.
Sold
9/4
Buy
4/30
Sold
3/2
1592.
Sold
(part)
3/3
1593.
Sold
(part)
3/3
1594.
Sold
(parO
3/4
1595.
Sold
3/10
Buy
10/8
1597.
Buy
11/5
1598.
Sold
(part)
11/19
(p~)
2. Va~ue C~
J =$15,0~ or I~
(part)
K =$15,00~ - $50,~0
L =$50,~1 - $1~.~
M =$1~,~1 - $250,000
Id~fi~ of
t~saction)
Date of Report
~rw, Maryanne T.
911/2010
VII. INVESTMENTS and TRUSTS -i.eo~,~, v,a.., t~ ..... rio., (S.~a~, t~o~ of ~o,~ ..a a,m.ae., ~ua..~; ~e.~,,. ~-60 of ~n~
NO~ ~o reportable income, assets, or ~ansactions.)
A.
Descripti~ of~e~
(including trust ~sets)
B.
In,me during
repoaing p~i~
~ (z)
])lace "~)" ~ler each asset
exempt ~om prior disclosure
C.
Gross v~ue at end of
reposing
0)
Value
~de 2
(J-P)
(z)
Value
Method
C~e3
D.
T~tions d~ng r~ng
O)
T~e (e.g.,
buy, ~11,
redemption)
(z)
Value
Ga~
Da~
Month - Code 2 Code 1 {
Day
~ (J-P) I(A-~ ~
Buy
10/8
Buy
5/4
Sold
(part)
2/10
Buy
5/4
Buy
5/40
1604.
Buy
10/6
Buy
10/8
1606.
Buy
10/9
i607.
Buy
10/12
t608.
Buy
10/13
1609.
Buy
I 0ll 4
1610.
Buy
10/15
1611.
Buy
10/23
!612.
Buy
10127
1613.
Buy
10/29
1614.
Buy
11119
1615.
Buy
11/20
1599.
A -$1.000 or less
B =$1,00l - $2,50~
C =$2,501 - $5,(100
D =$5,001 - $15.000
(~)
Identity of
buyerl~er
(ffphvate
E =$15.~1 - $50.~
B.
Income du~ng
r~o~ing ~d~
C.
Gross vahe at end of
reposing period
"~ (2)(1)
exempl from p~or disclosure
Code t [
(A-~ [
div,, r~t,
0r int.)
D.
Transitions d~ng r~o~ng
C~e 2
(J-P)
(2)
(I)
Method
C~e 3
buy, sell,
redemption)
(Q-~
.(2)
Mon~ - C~e
~ ~(3)[
Day
J-P)- (A-~ [
~..~_.[
Buy
5/7
1617.
Buy
5/8
1618.
Buy
5/19
Buy
5/22
Buy
5/1
1621_
Buy
5/15
1622.
Sold
(pa~)
5/22
Sold
2/18
(5)
(4)--~~
(paa)
! 624.
Sold
2/20
Sold
2/17
1626.
Buy
4/30
1627.
Buy
11/24
1628.
Sold
I l/23
1629.
Sold
11/23
(pan)
(part)
(part)
1630. - VEOLIA
i631.
Buy
6/9
Sold
7/3
Sold
9/4
(part)
1632.
(p~t)
Column C23
I I=~k Va/~
V =~h~
W =Estimated
buyer/seller
(if Wivate
transaction)
~e of Person Reporting
Date of Report
Barry, Maryanne T.
9/1/20t0
~.
c.
s.
Description of A~e~
(including ~st ~se~)
Income d~ng
~poging ped~
] ~de 1 ~
~ (~~~
Code 2
(J-P)
div., rent
or int.)
~
: Me~od
~ C~e 3
(Q-W)
~
D.
T~e (e.g.,
~ buy, se~,
[ redemption)
]
Date
Mon~ - ~e 2
Day
~ (I-P)
~i
t633. - CAMECO
Buy
1/28
1634.
Buy
4/27
t635.
Buy
4/28
I636.
Buy
4/29
1637.
Buy
4/30
638,
Buy
5/4
1639.
Buy
5/1
1640.
Buy
5/4
..
164 I.
1 42.
Buy
1 ~7
lden6~ of
buyer/se]~
(ifpfiv~
~saction)
co w
/13
1643.
Buy
5/27
i6,14.
Buy
11/30
1645.
Sold
(part)
10/28
1646.
Sold
10/29
Buy
12/4
164~.
Buy
12/7
1649.
Buy
12/8
2. Value C~s
Code I
(A-~
(part)
J =$15,0~ ~ I~s
K ~$15,~1 $50,000
L ~$50,~1 - $100,~
M =$100,~1 - $250,~
Date of Report
[ ~ry, ~y~ r.
VII. INVESTMENTS and TRUSTS -i=o~., ~a~., ~ .... ao~ (Includes those of sp ...... d ~penaem children; seep~ 34-60 ,~fffding
NONE ~0 reportable income, assets, or ~ansactiom.)
A.
D~c~pfion of A~els
(including trust assets)
Place "(X)" ~ each asset
exempt f~om ~or disclosure
B.
Income during
~ repo~ing ~fiM
C.
~
Gm~ v~u at ~d of~;
repo~ng period
Amo~nt
C~e 1
(A-~
Value
Code 2
T~ {e.g.,
~v., rent,
or int.)
(J-P)
Value
Method
Code 3
Ty~ (e.g.,
buy, sell,
redemption)
Gain
Date ~ Valu~
Mon~ - Code 2 Code 1]
Day ~ (J-F) ~ (A-~!
1650.
Buy
1~18
1651. - DANAHER
Buy
4/30
1652. - I~INGFISHER
Sold
116
Sold
(part)
8/12
!654.
Buy
11/20
t655.
Buy
11/24
1656.
Buy
11125
1657.
Buy
tt/26
1658,
Buy
]l/27
t659.
Buy
l 1!30
1660.
Buy
12/1
! 66 I. - COCA-COLA
Buy
4/30
1662.
Buy
7/29
1663. - MCDONALDS
Sold
(part)
2/12
1~64.
Sold
(part)
6117
Buy
5/I
1666.
Sold
(part)
9/3
A ~$1,000 or less
B =$1,001 - $2,SffJ
C =$2,501 - $5,000
D =$5,001 - $15,~20
2. Value iTodeS
K =$15,00l - $50,000
L =$50,001 - $100,000
M =$t00,001 - $250,000
U =Book Value
V =Other
W = -Estimaled
buyer/seller
(if private
E =$15,001 - $50,1~O /
Date of Report
9/1/2ol o
I
VII. INVESTMENTS and TRUSTS - i ...... ~,~, transactions (Includes ,hose of spouse and dependent children; seepp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Descriplion of Asse~s
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
B.
--
C.
----F
Income during
repo~ng period
Amount
Code 1
! (A-H) {
"
[
D.
Gross value at end of [
reporting period
Type (e.g.,
div., rent,
or int.)
Value
Value
Code 2
(J-P)
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date [ Value
Month - Code 2
Day
(jr_p)
Sold
(part)
10/6
Buy
4/30
1669.
Sold
(par~)
8/I 1
1670. -ADIDAS AG
Sold
(part)
2/16
1671.
Sold
2/17
1672, -TOTAL SA
Sold
3/20
Sold
(part)
3/20
1674,
Buy
5/4
1675.
Sold
(part)
12/t8
1676.
Sold
12/18
Buy
5/4
1678.
Buy
5!3
1679.
Buy
5/13
1680.
Buy
5/14
] 681.
Buy
5/28
Sold
(part)
8/!9
1667.
(part)
1i673,
[
,.,l
1682.
!683.
,
Buy
6/3
Gain
Code 1
(A-H)
Identity of
buyer/seller
(ffprivate
transaction)
IMaryanne
Date of Report
9/1/2010
T.
A.
D~criptima of Asse~
(including trust assets)
Income during
reporting period
(2)
,kmount(l) Type (e.g.,
Code I
div., rent,
(A-l-I) or irlt.) (J-P)
i 684.
C.
G-ro~s value at end of
reporting period
(1)
Value
Code 2
D.
Transactions during reporting period
(2)
(1)
Value
Type (e.g.,
Date I Value
(2)--~[I
I 2
Method
buy, sell,
Month
- (4)
Code
] !Q-~-~Cde 3 redemption) t Day
Sold
8,19
Sold
8/19
(part)
1685.
Identity(5) of
Gain
buyer/seller
Code 1
i" (J-P) (A-H)
transaction)(ifprivate
(part)
1686.
Sold
8119
(part)
Sold
8/20
1688.
Sold
(part)
8/21
1689.
Sold
(part)
8/24
1690.
Sold
8//25
~ 1691.
Sold
(part)
8/26
1692.
Sold
(part)
10/29
| i6931--
Sold
10/29
1694. -METRO AG
Buy
5/19
Buy
5/1
696.
Buy
8;! 8
697.
Buy
11/25
1698.
Sold
(part)
11/24
1699.
Sold
1 t/24
11/30
! ~87.
(part)
(part)
(part)
1700.
Sold
(part)
Date of Report
9/1/2o10
~rr~, Marya.ne T.
VII. INVESTMENTS and TRUSTS - i.co.,., ~.~... ~.s.cao,~ and.des thos, of spouse and dependent children; see pp. 34-60 of filing i~uetiOn~)
NO~ ~o reportab& income, assets, or ~ansactions.)
Description of ~se~
(including ~st asse~)
Income ~6ng
repomng pefi~
(I) I
Place "(X)" after each asset
exempt from prior di~losure
(2)
(1) / (2)
V~ue
C~e 2
(J-P)
Amo~t [
~ (e.g.,
C~e__ ~1 ~ div., renk
(A-H) [
or int.)
Value
Me~od
C~e 3
[
(1)
[(2) ! (3)
buy, ~11,
~emption)
() I
Mon~- . C~e 2
Day
(J-P)
(Q-~
C~ l
(A-~
Sold
12/8
1702. -TERUMO
Buy
9/17
1703.
Buy
9118
1704.
Buy
1 ]/20
1705,
Buy
11/24
Buy
8/4
1707.
Buy
8/5
.1"
1708. -VOLVO
Buy
8/18
1709.
Buy
8/19
1710.
Buy
1112
Buy
11/2
1712.
Buy
12/2
1713.
Buy
12/2
1714,
Buy
12/3
Buy
1/15
1716.
Buy
2/26
buyer/se~er
(ifp6vate
~ns~tion)
1701.
706. -SAlqDVIK AB
(5)
9/1/2010
Barry, Maryanne Z.
Date of Report
tio,~ (Includes those of spo .... d dependent chitdr~; see ptx 34-60 of.Fding instructions.)
[
i
]
B.
Income during
reporting period
i Amount
. Code 1
(A-H)
Type (e.g.,
div., rent,
or int.)
D.
Transactions during reporting peric~d
C.
Gross value at end of
reporting period
Value
Code 2
(J-P)
Value
Method
i Cnde 3
(Q-W)
Type (,e.g.,
buy, sell,
redemption)
1718.
Buy
5/22
1719.-INTEL CORP
Sold
1/22
Buy
3/12
1721.
Buy
3/12
I~2.
Buy
3/13
1723.
Buy
4/20
1724.
Buy
4/30
1725.-TYCO ELECTRONICS
Buy
5/26
! 726.
Buy
5/27
1727.
Buy
7/15
1728.
Buy
7/15
I7~9~..
Buy,
7/15
1730.
Buy
7/16
Buy
6/2
Sold
(pan.)
3/19
Sold
3/19
Sold
4/6
.1
1733.
(part)
1734.
A -$1,000 or Ics~
F -550,001 - $100,000
J =515,000 or less
N =$250,001 - $500,000
P3 -$25,000,001 - $50,0~0,000
Q =Appraisal
U -Book Value
B =$1,001 - $2,500
O =5100,001 - $1,000,000
K =515,001 - $50,000
O =$500,001 - $1,000,000
R =Cosl (Real ~t~ Only)
V ~Othcr
C =$2,501 - 55,000
II t =51,000,001. $5,000,fJO0
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,000
P4 =More than $50,000,000
S =As.~essmcnt
W =Kstimate<l
D =55,001 - $15,000
H2 =Mode than $5,000,000
M =$11~3.001 - $250,000
P2 =$5,000,001 - $25,000,000
T ~=Casb Market
buyedscL!er
(if private
transaction)
E =$15,001 - $50,000
Barry, Maryanne T.
DateofReport
9/!/2010
[
VII. INVESTMENTS and TRUSTS - i ......... ~,,, , ....... ,~,~ a,d.de~ ,ho~, of ~ ..... ~ a,p~,~,~ ~.~e~;
NONE (No reportable income, assets, or ~ansactions.)
Description of ~sc~s
(including ~[ asse~)
ln~mc during
~.._ ~epo~ng ~
(~)
Place "(X)" after each a~et
exempt ~om prior ~sclosure
Amour
~ Cod (A-~I
(2)
]- 0)
~2)
0)
(2)
T~ (e.g.,
div., ren~
~ Value
Code 2
~ (J-P)
Value
Method
Code 3
T~e (.g.,
buy, ~;
Date
Mo~ Day
or int.)
~ r~emption)
Sold
3/17
V~ue
Code 2
(l-P)
GMo
C~ l
(A-~ ~
(~)
1736.
Sold
3117
~)
1737.
Sold
(pa~)
3/18
1738.
Sold
3/18
3/19
3/20
(pan)
1739.
Sold
(pan)
i
1740.
Sold
(pa~)
174 ].
Buy
5/1
1742.
Buy
12/9
1743.
Sold
10129
}7~.
Sold
10/29
(part)
(pan)
Sold
(part)
2/9
Sold
I/9
Sold
2/17
Buy
4/30
1749.
Sold
(pan)
5/20
1750.
Sold
(pan)
5/21
1751.
Sold
(part)
5/22
F *,$50,001 - $100,000
J ~$15,0~0 or less
N =$250,001 - $500.1)00
G =$100.001 - $1,000,000
K ~$15,001 - $50,000
O ~$500,001 - $1.000,000
Idenfi~ of
b~yer/seHer
(if private
Date of Report
9/1/2010
Berry, Maryanne T.
I
B.
c.
Income during
reporting period
(1)
Place "(X)" after each asset
exempl from prior disc!osure
(2)
1752.
(1) i (2)
Value
Code 2
(J-P)
i] Value
! Method
] Code3
[ (Q-W)
D.
T,ansactions during reporting period
il
(1)
Type (e.g.,
buy, sell,
redempliun)
(2)
(3) [ (4)
Date
Month Day
Value Gain
Code 2[ Code l
(J-P) (A-H)
i
Sold
5/26
Sold
5/27
1754.
Sold
5/28
1755.
Sold
(part)
5/28
1756.
Sold
(part)
5/29
1757.
Sold
5/29
1758.
Sold
6/1
1753.
(part)
(part)
(part)
(part)
(part)
1759.
Sold
6/2
(par~)
1760.
Sold
6/3
Sold
6/4
(part)
1761.
(part)
1762.
Sold
6/8
(part)
1763.
Sold
6/10
Sold
6/11
Sold
(part)
6/12
Sold
6/17
1767.
Sold
(part)
6/18
1768.
Sold
(part)
6/19
] 764.
(paa)
(part)
1765.
1766.
@art)
Identity of
buyer/selle~
(ifprivat
transaction)
B~y, Maryanne T.
Date of Report
VII. INVESTMENTS and TRUSTS - ~,eo,.,, ~.~.,, ,, ..... ao,~ anctua~ r~os, of s~o.se ana a,penaenr c~itare.; seem. 34-6o of faing
9/1/201o
instrucrio~tt)
1769.
Income during
reporting period
[Amount
Code 3.
(A-H)
Type (e.g.,
div., rent,
Value
[ Method
Code 3
(Q-W)
[
~
[
[
Type (e.g.,
buy, sell,
redemption)
Date ! Value
Month - I Code 2
Day
(J-P)
Gain
Code 1
(A-H)
Sold
6/22
1770.
Sold
(part)
6/23
:1771.
Sold
(part)
6/24
1772.
Sold
(part)
6/24
1773.
Sold
6/25
Buy
4[30
1775. -AXA
Sold
2/20
1776.
Sold
(part)
3/3
1777.
Sold
(part)
3/3
1778.
Sold
(part)
3/3
1779.
Sold
3/4
3/4
(p~)
(part)
1780.
Sold
(part)
1781.
Sold
(part)
3/5
.1
1782.
Sold
3/] 0
1783.
Sold
3/I I
Sold
(part)
3/6
1785.
Sold
(part)
3/6
(part)
Identity of
buyer/se!ler
(if private
transaction)
Barry, Maryanne T.
Date of Report
9/1/2010
,, va.,, t, ..... ,ions ana~d~ t,ose o~r ~, .... ,a depe.d,n, c*i~dr~n; see ~ ~4-~0 oy~#i.g i.s~c,io,~)
B.
Income during "
repotXing 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
Method
Code 2
Code 3
(J-P)
(Q-W)
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Day
1786.
Sold
3/9
1787. -AIVIAZON.COM
Buy
4/30
Buy
3/18
] 789.
Sold
(part)
2/9
1790.
Buy
4/30
1791~
Buy
11/24
1792.
Sold
(part)
11/3
1793.
Sold
(part)
I 1/23
1794.
Sold
(part)
I 1/23
Buy
4/30
Sold
(part)
2/10
1797.
Sold
(part)
2/16
1798.
Buy
5/4
1799.
Buy
5/4
Sold
(part)
3/5
1801.
Sold
(part)
3/6
1802.
Sold
(part)
3/10
A -$ I,eO0 or Ices
F =$50,001 - $100,000
J =$ t5,000 or leSS
N -$250,001 - $501),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 - $ I ,{}90,00~
R =Cost (Real Estate Only)
V =Olher
(3) (4)
Value
Gain
Code 2 Code I
(J-P)
(A-H)
C -$2,501 - $5,000
HI =$1,000,001 - $5,000,0~)0
L =$50,091 - $100,000
P 1 =$1,000,001 - $5,000,0~0
P4 =More fiaan $50,0~0,000
S =Assessment
W =Estimated
(5)
Identity of
buyer/seller
(if private
transaction)
D =$5,001 - $15,000
H2 =More than $5,000,00~
M =$100,0~1 - $250,000
I)2 =$5,000,001 - $25,000.000
T =Cash Marke~
E =$15,091 - $50,000
of Person Reporting
Bar~y, Name
Maryanne
T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - i .... e, value, transactions (Includes those o/spo ..... d dependent children; seepp. 34-60 of rUing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
B.
C.
D.
Description of Assets
(including trust assets)
Income during
reporting period
(l)
Plaoe "(X)" after each asset
exempt from prior disclosure
Amount
Code 1
(A-H)
(2)
Type (e.g.,
div., rent,
or int.)
(l)
(2)
(1)
(2)
Value
Code 2
(J-P)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(J-P)
Sold
(part)
3/I 1
Sold
3/12
3/16
1803.
1804.
(3)
(4)
(5)
Gain
Code 1
(A-H)
Identity of
buyer/seller
(if private
transaction)
(part)
1805.
Sold
(part)
1806.
Sold
3/17
1807.
Sold
(part)
3/18
1808.
Sold
(part)
3/19
1809~
Sold
(part)
3/20
Sold
3/23
Sold
3/23
1812.
Sold
(part)
3/23
1813.
Sold
(part)
3/24
1814.
Sold
(part)
3/24
!815.
Sold
(part)
3/27
1816.
Sold
(part)
3/3]
1817.
Sold
5/27
1810.
(part)
1811.
(part)
(part)
1818.
Sold
6/1
1819.
Sold
6/3
(part)
(part)
A =$1,000 or le~s
F ~$50,001 - $100,000
J ~$15,0~0 or less
N -$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
B =$1.001 - $2,500
G =$10~,001 - $1,000,00~
K =$15,001 - $50,000
O =$500,001 - $1,000,000
C =$2,501 - $5,000
H I =$1,000,001 - $5,000,000
L =$50,001 - $100,000
P 1 =$1,000,001 - $5,000,000
P4 =Moie than $50,000,000
~_
tJ =Book Value
V =Other
W =Estimated
D =$5,001 - $15,000
H2 =Mor~ than $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
E =$15,001 - $50,000
D,. of Report
9/1/2010
B.
Income during
~ing period
:; ~o~t [ T~ (e.g.,
Code l div., x~L
] (A-~ ] orint.)
C.
Gross value at end of
~ing period
V~ue
Code 2
(J-P)
Value
, Me~od
~ C~e3
D.
T~nsa~ions d~ag reposing period
T~e (e.g.
buy, sell,
redemption)
Date
[ Moa~ Day
Value [ Gain
Code 2 ~ C~e 1
(J-P) (A-~ [
1820.
Sold
6/3
Buy
4~0
822.
Sold
(part)
9/24
823.
Sold
9/24
Sold
(part)
1/22
1825.
Sold
]/22
Sold
(part)
1/8
1828.
Sold
(part)
316
1829.
Sold
(part)
3/10
1830.
Sold
(part)
3/10
1831.
Sold
(part)
31! 0
1832.
Sold
(part)
3111
1833.
Sold
(part)
3/11
I834.
Sold
3/12
Buy
1/7
1836.
Buy
3/6
~an)
Identi~ of
bayer/~Rer
(ifpfivale
A =$1.1,~0 or less
F =$50.001 - $10~.G0t)
J *$15,000 or less
N -$250.001 - $500.000
13 -$25.000.0{11 - $50.090.000
Q -Appraisal
U =Book Value
B =SI,0~l - $2,500
G =$100,001 - $1,G00,090
K =$15,1)~1 - $50,000
O =$500,001 - $I,000,0~)
R =Cost (Rcal Estate Only)
V ~Othet
C =$2,501 - $5.009
HI*=$],000,0I)I - $5,000,000
L =$50,001 - $100,O00
PI ~$~l,000.001 - $5,000,000
P4 ~Mofe than $50,0~3~,000
S =Assessment
W =Estimated
D =$5,001 - $15,000
H2 =More than $5,00~,000
M =$100,001 . $250,0{)9
P2 =$5,000,001 . $25,000,090
T =C~sh M~rkct
E =$15,001 - $50~000
Da~e of Report
9/1/20!0
B.
C.
~
Income during
reporting period
(2)
O)
Amount Type (e.g.,
Code 1 t div., re1~t,
(A-H)
or int.)
D.
TransaCtions during reporting period
/
reporting
period
Gross value
ai end of
(2)
(1)
Value
Value
Code 2
Method
(J-P)
Code 3
[
I
]
[
O)
Type (e.g.,
buy, sell,
redemption)
1837.
Buy
3/9
1838.
Buy
3/11
839.
Buy
3/12
1840.
Buy
4/23
1841.
Sold
(part)
5/1
1842.
Buy
t0/23
1843.
Sold
(part)
11/5
Sold
10/5
Sold
10/6
(part)
1845.
Cpart)
1846.
Sold
lull
1847.
Sold
(pan)
ll/tl
1848.
Sold
(part)
lt/ll
1849.
Sold
(parr)
11/12
Buy
5/4
1851.
Sold
(part)
11/19
1852.
Sold
11/20
1853,
Sold
11/20
(p~rt)
A -$1.000 or less
F -$50,001 - $100.000
.I =$15,000 or less
N -$250,001 - $500,000
P3 =$25.000,001 - $50,000,000
Q =Appraisal
U =Book Valtt~
(5)
Idet~tity of
buyer!seller
(if private
B =$1,001 - $2,500
G =$100,001 $1,000,000
K ~$15,001 - $50,000
O =$500,001 - $1.090,000
R =-Cos[ (gea] ~-tate O~fly)
V =Other
C =$2,501 - $5,0~0
HI =$1,000,001 - $5,000,000
b =$50,001 - $100,000
P I =$1,000,001 - $5;000,000
P4=Mff~e than $50,000,000
S =Assessment
W =E.s|imatex!.
D -55,001 - $15,000
82 =Morn than $5,000,000
M =$I00,001 - $250,000
1~2 =$5,000,901 T =Cash Market
E -$15.0Oi - $ 50,000
Date of Report
of Person Reporting
FINANCIAL DISCLOSURE REPORT Barry, Name
Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS. i~o.~. ~.,. ,,..,..ao., a~c~a~, those Of spouse and dependent children; see pp. 34-60 of Jding instructions.)
~ NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
(1)
Place "CA)" after each asset
exempt from prior disclosure
Amount
Code 1
(A-H)
C.
D.
Transactions during reporting period
(1)
(2)
(2)
Type (e.g.,
Value
Value
div., rent,
or int.)
Code 2
(J-P)
Method
Code 3
(Q-W)
(1)
Type (e.g.,
buy, sell,
redemption)
(2)
(3)
(4)
Value
Date
Month Day
Code 2
(J-P)
Gain
Code 1
(A-H)
Sold
3/16
1855.
Sold
3/17
i 1856.
Sold
3/18
857.
Sold
(part)
6/5
Sold
6/8
(pa~0
(part)
1858.
buyer/seller
(if private
transaction)
(part)
1859.
Sold
6/12
Sold
(part)
2/13
.1
1861.
Buy
4/30
1862.
Sold
(part)
5/15
Sold
8/14
Sold
(part)
9/10
1865.
Sold
9/11
1866.
Sold
9/14
1867.
Sold
9/14
1868.
Sold
9/15
Sold
10/2
Sold
(part)
1015
1863.
(par0
i 1864.
(pa~)
(pan)
(part)
(part)
1870,
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
O =Book Value
(5)
Identity of
B -$1,001 - $2.500
G =$100,001 - $1,000.000
K =$15,001 - $50.000
O =$500,001 - $1,1200,000
g =Cost (Real Estate Only)
V ~Other
C =$2,501 - $5,000
HI =$!,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 =Assessment
W=Esfimaled
D ~$5,001 - $15,000
1-12 =More than $5,000,000
M =$100,001 - $250.000
P2=$5.000,001 - $25.000,000
T -C~ah Market
E --$15.001 - $ 50,000
Date of Report
9/112010
Page 1 15 of 277
---]
B.
Ine.~me during
reporting period
C.
Gross value at end of
reporting period
(2)
(l)
(2)
i
(1)
Value
Value
Amount Type (e.g.,
Code 1
Method
div., rent, [ Code 2
(A-H)
Code 3
or int.)
(J-P)
(Q-W)
D.
Transactions during reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
[ (2) (3)
j Date
~ Month : Day
(4)
Value i Gain
Code 2 i Code 1 i
(j_p) I. (A-H) !i
1871.
Sotd
10/6
1872.
Sold
(part)
10/7
1873. -WALGREEN CO
Sold
8/24
Sold
(part)
8/11
1876.
Buy
11/24
1877.
Sold
(part)
! 1/23
187K -PAYCHEX
Buy
4/30
1879.
Sold
(part)
6/17
1880.
gold
(part)
6/] 8
188!,
Buy
12/18
1882.
Sold
(part)
11/2
1883.
Sold
(part)
11/2
1884.-EBAY INC
Buy
1/5
1885.
Buy
4/30
1886.-BOEING CO
Sold
3/4
1887.
Sold
(part)
6123
(part)
Q ~Apptaisa[
S =A~esm~m
T ~h Markel
(5)
Identity of
buyer!seller
(if private
transaction)
Date of Report
Ba,~y, iaryanne T.
911/2010
VII. INVESTMENTS and TRUSTS -i.eo.~, ,,~.,, ~..,ocao., a.a.a,$ ,~o,, o~ ,~ ..... ~ depender eh ~Id,,n; ~, pp. 34-60 of f~ing
NONE ~o reportable income, assets, or ~ansacaons.)
A.
Description of A~e~
(including ~st ~m)
Place "(X)" after each asset
exempt from prior disclosure
ln~B-ufingmed
reposing p~
(2)
0)
~o~t ] T~e (e.g,
[ C~e I ] ~v., r~t,
(A-~
or int.)
~
C.
Gross value at end of
~poaing period
(2)
0)
Value
Value
Code 2
Method
(~-P)
Code 3
(Q.~
D.
T~ns~fions d~g repofl~g
0)
T~e (e.g.,
buy, see
r~emption)
1888.
Sold
6/23
1889.
Buy
11/2
!890.
Buy
11/19
1891.-CONOCOPHILLIPS
Sold
4/20
Buy
4/30
Buy
4/30
1894.
Buy
11/2
1895.
Buy
11/3
1896.
Buy
IlN
1897.
Buy
I1/5
! 898.
Buy
11 [6
1899.
Buy
11/9
1900.
Buy
ll!10
Buy
11/16
1902.
Buy
11/16
1903.
Buy
11/18
1904.
Buy
11/19
A ~$1,000 o! less
F =$~0,001 - $100,000
J =$15,000 or less
N =$250,001 $500,000
P3 =525,000,001 - $50,fl00,000
Q , Appraisal
U =Book Value
B ~$1,001 - $2,500
O =5100,001 - 51,0~0,000
K =$15,001 - $50,000
O ~551K1,001 - $1,0130,000
R =,2o*~ (Real E.~aat Only)
V =Other
C =52,501 - $5,000
HI =$1,000,001 - $5,000~000
L =$50.0~ 1 - $100,0~0
PI =$1,009,001 - $5.000.000
P4 =More ~a~ 550,000,000
S =A.~cssment
W -E~timated
(5)
Iden~ of
buyer/seller
(ffprivate
~sactlon)
D =$5,001 - $15,000
H2 =Morn than $5,009,000
M =$1OO,001 - $250,1200
P2 =$5.000,001 - $25,009,000
T -Cash M~ket
E =$15.001 - $50,000
Date of Report
Page 1 t7 of 277
VII. INVESTMENTS and TRUSTS - i.~os,. ~ot~. t~,~io~, a.~, ,ho~. q ~o~, ~d ~r,.~.~ children; see pit 34-619 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
B.
Income during
reporting period
A.
Description of Assets
(including trust assets)
Place "(X)" al~er each asset
exempt from prior disclosure
C.
Gross value ~t end of
reporting period
~i) (2)
Amount I Type (e.g.,
(I) (2)
Value
Code 2
Value
Method
D.
Transactions during reporting period
[
(1)
Type (e.g.,
buy, sell,
redemption)
Day
1905.
Buy
11/19
1906.
Buy
11/19
1907.
Buy
11120
1908.
Buy
! 1/23
Buy
[ 1116
Sold
(part)
3/6
1911.
Sold
(part)
319
] 912.
Sold
(part)
3/10
]913.
gold
(part)
3/11
1914.
Sold
3/12
gold
1/20
(J-P)
_~ .~i int.)
(part)
?~915.
Sold
3/12
, Code3(Q.W)
(J-P)
(part)
Sold
1/21
Buy
12/14
Buy
1/5
920.
Buy
1/6
1921.
Buy
I/7
Code I [
(5)
identity of
buyerlseller
(A-H)
~xansactio~)(ifprivate
Gain i
Date of Report
9/1/2010
,1
cno.s (lncluaes those of sp ...... d dependent children; see pp. 34-60 of filing instructions.)
B,
Income during
reporting period
(1) i (2)
Amount ] Type (e.g.,
Code 1
div., rent,
(A-H)
or int.)
C~
Gross value at end of
reporting period
(I)
(2)
Valoe
Value
Method
Code 2
Code 3
(J-p)
[
(Q-W)
]
D.
Transactions during reporting period
(I)
Type (e.g.,
buy, sell,
~ redemption)
I
1922.
Buy
1/8
1923,
Buy
1/9
i 192~,
Buy
4/30
1925.
Buy
5/27
1926.
Buy
9/24
1927.
Buy
9/24
1928.
Buy
I0.~1
1929.
Buy
!0/29
1930.
Buy
10/29
1931,
Buy
10/29
J ..........
932.
Buy
10/30
Buy
10130
1934.
Buy
11/2
Sold
2/9
t936.
Buy
4/30
937.
Sold
(part)
5/15
1938.
Sold
(part)
5/15
1933,
(~art)
(5)
Identity of
buyer/seller
(if private
transaction)
n~ of P .....
Date of Report
Reporting
9/112010
Barry, Maryanne r.
Page 1 19 of 277
VII. INVESTMENTS and TRUSTS - i ........ ~,,, transa~ons a,,ctuaes a, ose of sp ..... d dependent cttildren; seepp. 34-60 of fai~g ins~uctiong)
NONE ~o reportab& income, assets, or Oansactions.)
A.
D~cfip~on of A~e~
(including ~st ase~)
Pla~ ~(~" a~er each a~e~
exempt ~om prio~ disclosure
D.
B.
C.
In.me during
re~aing pefi~
G~ value at end of
~poning
~ ~ T~ (~.g.,
Code 1
~v., r~nt.
(A-H)
or int.)
Val~e
Value
Code 2
(J-P)
Method
C~e 3
T~e (eg.,
b~y. sell,
redemption)
Date
Value ~ ~ain
Mon~ - C~e 2 [ Code 1
Day
~: (J-P) ~ (A-~
1939.
Sold
5/18
1940.
Sold
5/18
1941. -WESTPAC
Sold
1/8
Buy
5/4
943.
Sold
(part)
5~6
944.
Buy
10/29
Buy
10/30
1946.
Buy
1 I/3
1947.
Buy
11/5
1948.
Buy
11/16
I949.
Buy
11/19
Sold
(part)
2/] 6
] 951.
Buy
5/4
1952.
Sold
(part)
7/17
1953.
Sold
7/31
1954.
Buy
l 1/9
Identity
buyer/seller
(if private
"
Date of Report
fPerson Reporting
N ....
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TR U STS - inco~,e, votue, ,,.saeao,~ a.cl~des those o~" ~p ...... a dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, o~ transactions.)
B.
Income during
reporting period
A.
Description of AsseLs
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
D.
Transactions during reporting perked
C.
Gross value at end of
reporting period
(1)
(2)
(1)
(2)
(1)
Value
Amount ] Type (e.g.,
Code I [ div., rent,
Code 2
(A-H)
or int.)
(J-P)
(2) (3)
Value
Method
Code 3
(Q-W)
(4)
(5)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value I Gain
Code 2 [ Code 1
(J-P)
(A-H)
Buy
5/1
1957.
Sold
10/26
Sold
5/22
1959.
Sold
(part)
5/26
Sold
(part)
5/27
Buy
5/4
1963.
Sold
(part)
9/21
1964.
Sold
(part)
9/21
1965.
Sold
(part)
11/17
1966.
Sold
(part)
11/18
1967.
Sold
11/18
Buy
5/4
1970.-NORDSTROM INC
Buy
4/30
1971.
Sold
(part)
10/20
!972.
Sold
(part)
10/21
Oart)
ldentiE~ of
buyer/seller
(if private
transaction)
1969. -PEUGEOT SA
A ~$1,000 or less
F =$50,001 - $100,000
] =$15,000 or less
N ~$250,001 - $500,000
P3 ~$25,000,001 - $50,0~0,000
Q ~Appraisal
U =Book Value
B =$1,001 - $2,500
O ~$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
R =Cost (Real Estate Only)
V =Other
C =$2,501 - $5,000
HI =$1,000,001 - $5,000,000
L =$50,001-- $100,000
PI ~$1,000,001 - $5,000,0~0
P4 =More than $50,000,000
S =Assessmenl
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
N ....
Page 12 1 of 277
n~r~, Mn~yanne T.
DatofReport
fPersou Reporting
9/1/2010
VII. INVESTMENTS and T RU S TS - ~,,o~,, ~o~.e, ~ ..... no., anctua~ ~ose of s~use a~ dependent chit~en; see p~ 34-60 Offding
NONE ~o reportable income, assets, or ~a~actio~.)
A.
D~pfi~ of A~e~
0nclu~ng ~st ~se~)
B.
Income ~fi~g
repoaiag ~ri~
~mo~t ] T~ (e.g.,
Code i
~v., rent,
(A-~
o~ int.)
[ Value
~ Method
Code 3
T?~e (e.g.,
buy, se~,
federation)
Date
Value Gmn
Mon~ - ~ Code 2 C~e 1
Day ~ O-P) ~ (A-H)
]973.
Sold
10/21
1974.
Sold
(paa)
10/22
1975.
Sold
(paa)
] 0/22
] 975~
Sold
(pa~)
10/23
1977.
Sold
~)
10/25
!978.
Sold
(pa~)
10/27
1979.
Sold
10~8
1980.
Sold
(pa~)
10/28
Buy
4/30
Sold
(part)
2/9
1984.
Buy
4~30
Sold
(part)
7/27
Buy
4/30
1987.
Buy
8/10
Buy
4130
1989.
Sold
9/3
U =B~k Value
V ~er
W =Hs~mat~
ldenti~ of
buyer/seller
(ifpfvate
]
[
Date of Report
9/1/2010
B.m,, M~y~..~ x.
VII. INV ESTMENTS and TRU STS - i~co.,., ~l.e, t,..so~ao,~ (Includes those of spo .... d dependent children; see pp. 34-60 *filling instractlons.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Asset.s
(including trust assets)
B.
Income during
reporting period
Amount I Type (e.g.,
I Code 1 [ div., rent,
(A-H) [
or int.)
C.
|
D.
Transactions during reporting period
Value
Code 2
Type (e.g.,
buy, sell,
]. [ redemption)
Da~-] Value
Month
Code 2
Day
! (J-P)
(J-P)
I Value
t Method
Code 3
t
Gain
Code I [
(A-H)
1990.
Buy
11/24
1991.
Sold
11/10
1992.
Sold
(part)
11/23
1993.
Sold
(purl)
11/23
Sold
(parQ
7/27
Sold
(part)
8/I ]
1996,
Sold
9it
] 997.
Sold
(part)
9/2
1998.
Sold
9/2
Sold
2/10
2000.
Buy
4/20
2001.
Buy
4/20
Buy
5/1
~004.
r~uy
5/29
",005.-Joc COP, P
Sold
9/2
20176. -ERICSSON
Sold
(part)
4/3
(part)
(pan)
(part)
(part)
Identity. of
buyer/sel.ler
(ffprivale
Date of Report
9/!/2010
[
V I I. I NV E S T M E N T S a n d T R U S T S - i. ~ ...... ~,, transactions (Includes those of spo use and dependent children; see pp. 34-60 of filing instructions.)
~-~
NONE
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) i or int.)
D.
Transactions during reporting period
C.
Gross value at end of
reporting period
(1)
Value
Code 2
(J-P)
(2)
Value
Method
Code 3
(1)
Type (e.g.,
buy, seit,
redemption)
I (2)[ (3)(4) I
Month Day
!
Code 2
(J-P)
Date [ Value
200?.
Sold
(part)
4/3
2008.
Sold
(part)
4/6
2009.
Sold
(part)
4/6
2010.
Sold
4/7
2011.
Sold
(part)
4/7
2012,
Sold
(part)
4/7
2013.
Sold
(part)
4/8
2014,
Sold
(part)
4/8
2015.
Sold
(part)
4/8
2016.
Sold
(part)
4/9
2017.
Sold
(part)
~t~3
So~
4;29
2019.
Sold
(part)
4/29
2020.
Sold
(part)
5/13
2021.
Sold
(part)
5/14
sol~
5/15
2oi8~
2022.
(part)
(part)
Gain!
Code 1
(5)
Identity of
buyer/seller
(if private
Date of Repor~
Bar,-y, Matinee a.
9/1/2010
A.
Desc~Sptivn of Asscm
(including trust msse~)
B.
~
Income ~ng
~ mpo~ng ~fi~
IAmoum
] C~e I
[ tA-~
T~ (e.g.,
div., reng
or int.)
C.
~o~ value ~t end of
reposing period
Value
C~e 2
(J-P)
Value
Method
T~ (e.g.,
~ buy, sell,
~ ~edemption)
] ]~ ~e 3
Date
Value
Mon~ Day
Code 2
Gain ]
Code ! [
(A-~ ~
[ (J-P)
Sold
9/3
Sold
(part)
2/9
2026.
Buy
4D0
Sold
10/2
Sold
(pa~)
2/4
Sold
2/4
2030.
Sold
(pa~)
2!5
2031.
Buy
4/30
2032.-AETNA INC
Sold
(part)
2/26
2033.
Buy
4/30
2034.
Sold
5/19
Buy
5/4
2037. -GIVAUDAN
Sold
6/29
Sold
4/24
Sold
7/16
Sold
7116
(pa~)
(pan)
(part)
2038.
~039.
2040.
(pa~)
(pa~)
(part)
/denfi~ of
buyer/se~
u(ifprivatetion)
I] B~r~y, M~rranne T.
Dat~ of Report
9/lf2010
VII. INVESTMENTS and TRUSTS - i.co,,~, ,ate., ~, .... ao., a.a~d., tho., o~ ,~ .... d d~.a~.t ~it~.; ,.. ~ ~-6o
NO~ ~o reportable income, assets, or ~ansactio~.)
Description of Assekg
Income during
~)
~ o)
exempt fmmpriord~sclosu~e
i
~ (A-IO ]
div.,~ent,
orj~t.)
I Code2
(J-P)
Me~od
. Code3
o)
buy, sell,
r~empfion)
[ (2)
(3) (4~
2041.
Sold
7/17
2042. -VALLOI.IR.EC SA
Buy
l/8
2043.
Buy
5!4
2044,
Buy
7/7
2045,
Sold
(part)
7/17
2046.
Sold
(part)
8/6
2047.
Sold
(part)
8/6
2048.
Sold
(part)
8/7
2049.
Sold
(part)
8/7
2050.
Sold
8/7
Buy
5/13
.!
2052.
Buy
5/I 9
2053.
Buy
5/22
2054.
Buy
6/3
2055.
Buy
6/10
2056.
Buy
6/17
2057,
Buy
6/18
A =$1,000 or l~ss
B =$1,001 - $2,500
C =$2,501 - $5,000
D ~$5,001 - $I5,000
F =$50,001 - $ 100,000
G =$ ] 60,001 - $ 1,000,000
H I =$1,000,001 - $5,000,000
P3 =$25.000,001 - $50.000,000
Column C2)
U =Book Value
(s~
bay~/~er
(Jfpfivate
E--S15,001 - $50,O00
]
[
Date of Report
9/1/2010
Barry, m~rya,me T.
I
VII. INVESTMENT S and TRU STS - income, ~ot~, u ..... ao~ (Includes those of spouse and dependent children; see pp. 34-60 ofJding instructionx)
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
(l)
Amount
: Code 1
(2)
Type (e.g.,
div., rent,
i
i
Value
Method
(Q-V0
i[
~__
Buy
6/29
2059. -LINDE AG
Buy
8/5
2060.
Buy
8/6
Buy
8/17
Buy
8/10
2063.-SMC CORP
Buy
5/1
Sold
(part)
8/11
2065.
Buy
t I118
2066.
Buy
11118
2067.
Buy
11/19
Buy
4/30
2070.
Buy
7/27
Buy
4/30
Sold
5/18
Sold
5/19
Sold
5/19
2058.
2072,
(pan)
2073.
2074.
(part)
(5)
Identity of
buyer/seller
t~ansacfion)
Date of Report
9/I/2010
Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -i,~ome. ~,. ~o,~ a,~ ,ho~, o~o~ ~ ~,~., ~i~; ~,, ~p.
..............
A.
Desc~ption of Assets
{including trust ~se~)
~ reposing p~
C.
Gro~ v~ue at eud nf
reposing ~ri~
T~e(e.g.,
~o~t[
/Code 1 [ di ......t,
~ (~~ ~ orint.)
Value
Code2
(J-P)
~coB-ufingmed
T~e(e.g.,
buy, sell,
~emptio~)
Dale
Mon~D~y
2075.
Sold
5/20
~076.
Sold
5/21
Buy
4/30
12078.
Buy
10/30
2079.
Buy
11/2
2080.
Buy
1 l/3
Sold
2/16
2082.
Sold
(part)
2!! 7
2083.
Sold
(part)
3/i 3
2084.
Sold
3/
Buy
5/4
Buy
5/I
2087.
Sold
7/2
Buy
1/16
2089.
Buy
3/t I
2090.
Buy
3/12
2091.
Buy
6/1
A =$1,000 ol lestt
B =$1,001 - $2,5~
Valne
D.
Transactions during {~ot~ng
[ Method
Code 3
C ~$2,501 - $5,~
Value [ G~n
Code2 [ Code 1
(J-p) ~ (~-~
D =$5.~1 - $15,000
Identi~of
buy~/sell~
(if p~vate
E =$15,~1 - $50,~
Date of Report
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and T RUSTS - ~ .... ~, ~altte, tr ..... tions (Includes chose of spo .... d dependent children; set pp. t4-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust asset~)
B. .
Income during
reporting period
: (l)
(2)
C.
Gross value at end of
reporting period
(I)
(2)
i Code 1
i (A-H)
Code 2
(.l-p)
div., rent,
or int.)
Method
Code 3
(Q-W}
D.
Transactions during reporting period
(t)
~
(5)
bay, sell,
redemption)
~_(J-P)
2092.
Buy
7/2
2093.
Buy
8/18
Buy
l/5
2095.
Buy
1/5
2096.
Boy
l/6
2097.
Buy
l/6
2098.
Buy
1/7
2099.
Buy
1/8
2100.
Buy
1/8
2!01.
Buy
I,.t9
2102,
Sold
(part)
3/31
2103.
Sold
(part)
4/1
2104.
Sold
(part)
4/2_
2105.
Sold
(part)
4/14
2106.
Sold
(part)
4116
2107.
Sold
(part)
4/17
2108.
Sold
(part)
4/20
A =$1,000 ot less
Ie :$50,001 - $1l~O,OtlO
J ~$15,000 or less
N :,$250,001 - $500,1X)0
P3 =$25,000,001 - $50,01X).000
Q -App~,isaI
U ~Book Value
B =$1,001 - $2,500
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,001 - $I,000,000
g ,=-Co~t (Real E.gtate Only)
V =Other
C =$2,501 - $5,000
Ill ~$I,000,001 - $5,090,000
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,000
p4 =More ~h~.n $50,000,000
$ ~As~cssro~t
W =Esllmated
/L
buyer/seller
(if private
tra~saction)
D =$5,001 . $15,000
I(2 =More than $5,00(I,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =Cash Ma.~el
E =$15,.A)1 - $50,000
N ....
f Person Reporting
Date of Report
Bar~y, Maryanne T.
9/1/2010
VII. INVESTMENTS an d TRUSTS - i ....... ,~e, transactions (Includes those of spouse and dependent children; see pp. 34-60 of fding
NOlqE (No reportable income, assets, or transactions.)
A.
B,
C.
Description of Assets
(including trust assets)
Income during
reporting perkx]
(1)
Plac~ "(X)" after each asset
~
I
Amount
Code 1
(A-t-i)
(2)
Type (e.g.,
div_, rent,
or inl.)
0)
(2)
Value
Code 2
(J-P)
Value
Method
Code 3
(l)
Type (e.g.,
buy, sell,
redemption)
(Z)
Date
Month Day
(3)
(4)
Value Gain
Code 2 I: Code I
(J-P) i (A-l-I)
(~)
Identity of
buyer/seller
(if private
transaction)
(Q-W)
2109,
Sold
4/21
2 t 10.
Sold
(part)
4/22
211 ].
Sold
4/24
(P~)
(part)
2112.
Sold
4127
2113.
Sold
4/28
2114.
Sold
(par~)
5/5
2115,
Sold
5/5
21 !6.
Sold
(part)
5/6
Sold
5/7
Sold
(part)
5/14
Sold
5/15
Sold
5/19
Buy
4/30
2123.
Buy
10/29
Buy
11/19
2125.
Buy
11/20
(part)
(part)
2117.
(part)
2118.
2119.
(part)
2120,
212 !. -SHANG R I-LA A SIA
A -$1,000 or less
F =$50,001 - $100,00O
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 - $!,0~0,000
K =$15,001 - $50)000
O -$500,001 - $1,000,0~0
R. ~Cos~ (Resi Estate On~y)
V =Other
C ~$2,501 - $5,000
H1 =$1,1)G~,001 - $5,000,000
L ~$50,001 - $ i 00,~0
Pl :~$1,00~,00! - $5,000,00~
P4 =More thal~ $50,1X~,000
5 ~A~sSraent
W ~l~timate~[
D =$5,001 - $15,000
H2 =More thzn $5,000,000
M =$llXl,I)0 ] - $250,001)
P2 =$5,000,001 - $25.0~.000
T =~azh Market
E =$15,~)1 - $50.000
Date of Report
B,~-r., M.cr~..e X.
ao.~ a~t.a~s t~ose of sp ..... ~ ae~naent chitaren; see ~.
B.
Incnme during
~pofling ~
C.
Gross value at end of
~po~ing period
12)
P~ace "(X)" after each as~t
exempt from prior disclosme
]
Value
Code 2
(J-P)
D.
Transitions during t~oning pedod
(~)
Value
~ Me~od
~ C~e 3
(~)
T~e (e.g.,
buy, se~,
r*d~ti.~)
Date ,
e
Mon~ - [ Code 2 1Code 1 [
~Y
(J@) ~ (A-m
2126. -~PLE ~C
Buy
4/30
2127.
Buy
5/27
2128.
Buy
10/2
Sold
7/27
2130. -CHEVRON
Buy
5/27
2131.
Buy
6124
2132.
Buy
10/12
Buy
3/31
2134.
Buy
4/1
2135.
Buy
4~0
2136.-ADOBE SYSTEMS
Buy
10/15
"Buy
4/30
2138. -HEVcLETT-PACKARD CO
Buy
4/30
Buy
4/30
2140.
Sold
(part)
10/5
A -$1,000 or I~s
B =$1,001 - $2,500
C =$2,501 - $5,1"A)0
D =$5,00t - $15,000
2. Value Cod~s
3 %15,000 or less
K ~$15,0~1 - $50,000
L =$50,0~ 1 - $100,~
M =$100,001 - $250,0~0
]denfi~ of
buyerlse~er
(ifpri~a~
~ ....
fP .....Reporting
Date of Report
[
Barn.., Maryanne T.
9/1/201
I
VII. IN VESTMENTS and TRUSTS - i.co,~e, vat., ,, .... ,~*o,, (l, ct~a,s those of spouse ana a~o, aent c~ta~,~; s,, ~p. ~-~ o/~ai, g ~s~uai~ns.)
NONE ~o reportable income, assets, or ~a~actions.)
A.
D~cripti~ of Asse~
(including ~mst asse~)
Place "(X)" ~er each asset
exempt ~om prior ~sclosure
]
I
B.
Income during
reposing
~ (I)
(~)
Code I
(A-~
div., ~t,
or int.)
C.
Gross value at end of "
O)
(~)
O)
C~e 2
(J-P)
Me~
C~e 3
(Q--~
buy, sell,
~emptJon)
(~) ~ (3)
~ Day
(n)
(5)
(J-P)
(A-~
(ifp~vate
~nsaefion)
Sold
7/I0
Buy
3/11
Sold
(part)
3,Q
2152.
Sold
(part)
3/4
Sold
3/5
2154.
Sold
(part)
3/13
2155.
Sold
3/!8
Sold
3/19
2153.
(part)
(part)
2156.
(part)
2157.
Sold
3/20
2158.
Sold
(part)
5127
2159,
Sold
(parO
5/28
A =$1,0~0 or less
13 =$1,001 - $2,500
C =$2,501 - $5,000
D =$5,001 - $15,000
2. Value Codes
{See Colume, s CI and D3)
J =$1S,000 o( less
N -$250,001 - $500,000
P3 =$25,000,001 - $50,000,001}
K =$15,001 - $50.{h)0
O :$501),001 - $1,000,000
L =$50.001 - $100,000
PI =$~,000,~01 - $5,000,000
P4 =More ~ma $50,000,0~0
M =$100,00) -$250,000
P2 =$5,000,001 - $25,000,000
E =$15,001 - $50,000
I
PageFINANCIAL132 of 277DISCLOSURE REPORT [ Barry, Maryanne
Date of Report
9/1/2010
T.
reining period
O)
exrmpt tiom prior disfigure
;~o~t
Code 1
~ o) (2)
Value
T~(e.g.,
~v., rent, ] C~e 2
.
Valu~
M~od ~
O)
(~)
T~e(e.g.,
buy, sdl,
ldenfi~of
2160.
Sold
(pan)
5/29
216I.
Sold
6/1
2162.
Sold
6/2
Buy
5118
2164.
Buy
5/19
2165.
Buy
10/29
Buy
5119
2167.
Buy
5/20
2168.
Buy
5121
2 t 69.
Buy
6/3
2170.
Buy
6/18
2171.
Buy
11/20
Buy
5!19
2!73.
Buy
5/20
2174.
Buy
5121
2175.
Buy
6/24
Buy
5/18
A -$1,00.) or less
F ~50,001 - $100,001}
$ =$15,000 or less
N =5250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q ~Appiaisal
U =Book Value
B =$1,00l - $2,500
G =$100,001 - $1,000,000
K =$I 5,OO1 - $50,000
O =$500,001 - $],000,000
R =Corn (Real Estate Only)
V =C, th~r
C =.$2,50t - $5,000
Hi =$1 ~000,001 - $5,000,000
L --$50,001 - $I DO,000
PI =$1,000,001 - $5,090,000
P4 =More l~.an $50,000,000
S =Assessment
W =Estimated
D =$5,001
H2 =More than $5,000~000
M =$100,001 - $250,000
F2 =$5.(~,),001 - $25,000,000
T =Ca.sb Market
Barrr, Maryaiille T.
Date of Report
VII. INVEST!VIENTS and TRUSTS - ~,,co,n., ~a... t. .... ,~,,s (lnctada those of spouse and d~pendent children; see pp. 34-60 oLFding instrucaon~)
---]
C.
B.
i
l
I lncome during
i Gross value at end of i
. reporting period
! reporting period
~ (i)
(2)
(1)
(2)
iAmotmt Type (e.g.,
Value
Value
Code 2
Method
i Code 1
div., rent,
(A-H)
or int.) (J-P) Code 3
O.
Transacdor*s during rel~orting period
(l)
Type (e.g.,
i (2)
[ Date
~3) I (4)"
Value i Gain
buy, .sell,
Mo~th - i Code 2 i Code I
redemption)
Day ! (J-P) i (A-H)
<Q-vO
i .....................
i
[ 2177.
Buy
5/19
2178.
Buy
5/20
2179.
Buy
9118
2180.
Buy
9/21
2181.
Buy
9/22
2182.
Buy
10/6
2183.
Buy
10/28
2184.
Buy
10/29
Buy
5/19
2186.
Buy
6/24
2187.
Buy
8/21
2 t 88. -ALLSTATE
Buy
5/20
2189.
Buy
5/21
2190.
Buy
5/22
219!.
Buy
12/18
2192.
Buy
12/21
2193.
Buy
12/22
A =$1,000 or I~s
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 Vatue
B ~$1,001 - $2,500
G =$|00,001 - $1,fi013,000
K :$15,001 - $50,000
O =$500,001 - $1.000.000
R =Cost (Real Es~le Oal~)
V =Other
(5)
Idert~ty of
buyer/seller
(if private
u .....
~ion)
C ~$2,501 - $5.000
HI =$1,000,001 - $5.000.000
13 =$5,001 - $15,000
tt2 =More than $5,000,000
P1 =$~.000,001 - $5,000,000
P4 ~More than $50,000,000
S =Assessment
W
P2 ~5.000.001 - $25.000.000
T =C~h Marker
E ~$15,001 - $50.000
9/1/2010
~ar~,. r~la~n~e T.
VII. INVESTMENTS and TRUSTS - i~om,. ~t,,. ~ ..... ,io~ a~aua,, tho~,
NONE (No reportable income, ~sets, or transactions.)
A.
Description of~e~
(inclnding t~s~ asse~)
B.
C.
"
D.
Income ~fing
reposing pe~od
0) I (~)
Amour ~ Type (e,g.,
Code I ~ ~v.,renk
~ (A-I~
or int.)
Gro~ value at e~ of
reposing period
O)
Value
Code 2
(J-P)
(2)
Value
M~thod
C~e 3
(Q-~
~ (~
Date
Mon~ Day
(3) (4)
Value Gain
Code 2 ~ Code 1
(J-P) ~ (A-t0
~
2194.
Buy
12/28
Buy
6/11
2196.
Buy
6/11
2197.
Buy
6/12
2198.-QBE INSURANCE
Buy
7/2
2199.
Sold
(part)
8/12
2200.
Sold
8/13
Buy
8/12
2202.
Buy
8/17
Buy
8/17
Buy
8/t 7
2205.
Buy
8/21
i2206.
Buy
8~5
Sold
1/1
2207.-UBS AG RTS
2208. -NJ EDA PRINCETON UNIV 4.75% 7/1/22
2209. -SSGA MONEY MARKET FD
2210. -GOLDMAN SACHS FINANCIAL SQ
UAKE TREASURY
(5)
Id~tiW of
buyer/adler
(ifp6vate
~saction)
~,~orV,~-.o. :a,~po.~.g
s~rrs, Maryanne T.
DateofRep0rt
9/1/2010
VII. INVESTMENTS and TRU STS -/,,co,,,., ~u.,, ...... ,Jo.. a,,ct.a.~ ,~o~ oysv ....... a a~a.., ~ni~a~..;
NONE ~o reportable income, assets, or transaction.)
A.
~fipti~ of~se~
(inclu~ng trust asse~)
Place "(X)" a~r ~ch asset
exempt from prior d~el~u~
B.
Income during
] reposing pefi~
C.
G~ss value at end of
repo~ng pefod
[ T~ (e.g.,
Code I I div., renL
(A-~
or int.)
C~e 2
(J-P)
Me~od
Code 3
:
Transactions da~ng r~o~ing
Type (e.g.,
buy, sell,
redemption)
~
Mon~ - Code 2 C~e 1~
Day
, (JP) I (A-~ ~
~
Buy
3/31
Buy
3/17
Distributed
3/4
Transferred
(to line 569)
3/4
Transferred
(to line 642)
3/4
Transferred
(to line 582)
3/4
Transferred
(to line 860)
3/4
Transferred
(to line 142)
3/4
Transferred
(to line 835)
3/4
22Z2.-A~COR
Transferred
(to line 416)
314
Sold
2/!7
Transferred
(to line 147)
3/4
Sold
(part)
1/22
2226.
Sold
1/22
Transferred
(to line 412)
3/4
Rent
2214.
Int./Div.
Int./Div.
2215.~:..,
Business #3
:
Q =Appr~sal
U =B~k Value
S =Assessm~t
W ~E~tim~ed
T ~h Marke~
Identity of
buyerlseller
(if private
DateofRelmrt
9/1/2010
Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - in ....... i~,, t ...... tions (Includes those of sp .... nd dependent children; see pp. 34-60 of fding instructions.)
[]
(2)
(3)
(4) [
Value
Gaint
Date
Month - ~ Code 2 Code I
Day
i (JP) ! (A-H)
Transferred
(to line 293)
3/4
Buy
1/7
2230.
Buy
1/8
22311
Transferred
(to line 746)
2232.-ALLERGAN INC
Transferred
(to line 338)
314
2233. -ALLIANZ SE
Transferred
(to line 464)
3/4
2234.-AMAzoN.COM INC
Transferred
(to line 612)
314
Transferred
(to line 225)
3/4
Transferred
(to line 678)
3/4
Transferred
(to line 837)
3/4
Transferred
(lo line 861)
3/4
Transferred
(lo line 267)
3/4
Sold
2/20
224 I.
Transferred
(to line 607)
3/4
Transferred
(to line 585)
3/4
Transferred
3/4
3/4
2240. -AX.A
(part)
3/4
(5)
Identity of
buyeriseller
(if private
transaction)
Transferred
(to line 516)
P3 ~$25,~,~1 - $50,~,~
P4 =~0~ ~
2
of Person Reporl~ngT.
~,a~-y,Name
M~yann~
Date of Report
9/1/2010
B.
reporting perica:l
~~
Amount
(e.g.,
Code 1 :[Type
div., rent,
~ (A-H) i or int,)
l
C.
reporting period
--(1) ! (2)
Value I Value
Code 2
Method
(I-P)
Code 3
(Q-W)
D.
(i)
Type (e.g.,
buy, sell,
redemption)
(2) (~-)
Date Value
~Month - Code 2
Day i (JP)
l
Transferred
(to line 730)
3/4
Transferred
(to line 467)
3/4
Transferred
(to line 318)
3/4
Transferred
(to line 775)
3/4
Transferred
(to line 386)
3/4
I/7
Transferred
(to line 656)
3/4
Buy
2/4
2253.
Buy
2/5
2254.
Buy
2/18
Buy
2255.
Transferred
(to line 870)
3./4
2256. -BMW AG
Transferred
(to line 471)
3/4
Transferred
(to line 242)
3/4
2258. -BOEING CO
Transferred
(to line 723)
3/4
2/16
2259. -BOUYGUES
Sold
2260.
Transferred
(to line 200)
3N
Transferred
(to line 881)
3/4
(4) 1
Code I
(A-H)
(5)
Identity of
buyer/seiler
(if private
Uansaction)
Page 13 8 of 27 7
Date of Report
9/1/2010
Barry, Maryanne T,
a del~ndent children;
~.
C.
Description of Assets
Income during
i
i
[ Amount
[ Code 1
: (A-H)
Type (e.g.,
div., rent,
orint.)
VaNe
Code 2
(J-P)
Value
Method
i Code3
D.
1
Type (e.g.,
buy, sell,
, redemption)
Date . Value
I Month - I Code 2
i Day
Gain
Code l
(A-H)
I.Q-P)
2262. -BG GROUP PLC
Buy
1/16
Transferred
(to line 865)
3/4
Buy
2/19
Transferred
(to).ine 886)
3/4
Buy
1/28
Transfen-ed
(to line 598)
3/4
2268.-CAMPBELL SOUP CO
Sold
1/13
Sold
2/17
2270.
Transferred
(to line 891)
3/4
3!4
J
Transferred(to line 373)
Transferred
(to fine 804)
3/4
Tra~xsfened
(to I~.ne 895)
3/4
Transferred
(to line 618)
3/4
Transferred
(to line 407)
3/4
Transferred
(to line 418)
3/4
2277. -COCA-COLA CO
Transferred
(to line 645)
3/4
Transferred
(to line 365)
3/4
2263.
2264. -BR, OADCOM COP,.P
2265.
2266. -CAME, CO CORP C$
2267.
Idenfit3. of
buyer/seller
(ifprivate
Page 13 9 of 277
Date of Report
9/1/2OlO
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - t.o~.. ..l~e. , .... tio.s ~tncludes those of sp ..... nd dependent children; see pp. 34-60 of fdlng
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "(X)" zfler each asset
exempt from prior disclosure
~
2279. -COi~IOCOPHILLI PS
~280. -COSTCO WHOLESALE
B.
Income during
,
reporting period
(l) 1 (~)-~ .....
Amotmt [ Type (e.g_,
Code 1
div., rent,
(A-H)
or int.)
C.
Crross value at end of
reporting period
D.
Transactions during reporting period
Date
Month i Day
Transferred
(to line 728)
Transferred
3/4
(to line 32 I)
3/4
Value Gain
Code 2 ] Code II
(J-P)
(A-H) I
Transferred
(to line 182)
3/4
Transferred
(to line 504)
3/4
Transferred 3/4
(to line 671)
Transferred
3/4
(to line 396)
J
J
Buy
1/6
2286.
Buy
I]7
[ 2287.
Transferred
(to line 900)
3/4
Sold
I/9
Transferred
(to line 508)
3/4
Transferred
(to line 462)
3!4
Buy
1/5
2292.
Transferred
(to line 718)
3/4
2293. -ECOLAB
TranslErred
(to line 903)
3/4
Buy
1/16
2295.
Buy
1/20
(5)
Identity of
buyer/seller
(if private
Ham,, Maryanne T.
Date of Report
91112010
I
e, value, tr ......
tions (Includes those of sp .... and det~endent children; seepp. 34-60 of fding instructions.)
B.
Income during
reporting period
{
~2)
IAmmmt Type (e.g.,
div., rent,
! Code I
or int.)
T
~_.
C.
Gross value at end of
reporting period
(l)
(2)
Value
Value
Code 2
Method
Code 3
(J-P)
i (QW)
2296.
D.
Trausaetions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Day
3/4
Transferred 3/4
(to line 912)
Transferred 314
(to line 248)
Transferred
(to line 846)
2300. -ERIC~~ON
Gain!
Code 1
(A-H)
i
Transferred
(to line 907)
Value
Code 2
(J-P)
Transferred
3/4
(to line 833)
3/4
2
J
2301.-ESS1LOR INTL
Transferred
(to line 234)
3/4
Transferred
(to line 332)
3/4
Sold
2/4
2304.
Transferred
(to line 403)
3/4
Transferred
(to line 334)
3/4
Transferred
(to line 297)
3/4
Transferred
(to line 769)
3/4
] 23081-GENENTECrt rNC
,
Sold
(part)
2/13
] 2309.
Sold
2/13
Transferred
(to line 251)
3/4
Transferred
(to line 734)
3/4
2312. -G1VAUDAN
Transferred
(m line 914)
3/4
2303. -FANI.JC CO
3. Value M~ Codes
Q :App~aisa[
S =Ass:ss~nt
T ~b Market
Identity of
buyer/seller
(if private
transaction)
Barry, Maryanne T.
Date of Report
91!/2010
B.
Income ~fing
r~fling pefi~
A o nt T~e (e g
~ C~e 1 [ ~v., rent,
~
C.
Gr~s value at end of
repo~ng pefi~
Value
Code 2
. Value
] Me~
[ Code3
!.
[
.
D.
Transactions during reposing
T~e (e.g,
buy, sell,
redemption)
Date
Value Gain
Mon~ - ~ Code 2 [ Code 1
[ ~y [ (I-P) [ (A-~
Identi~ of
buyer!seller~
(ifpfiva~
[
2313. -GOLDEN SACHS GROUP ~C
Transfe~ed
(to line 8t 1)
3/4
Transfe~ed
(to line 703)
314
Transfe~ed
(to line 766)
3/4
Transfe~ed
(to line 627)
3/4
Transfe~ed
(to line 676)
3/4
2318. -HE~ETT-PAC~RD CO
Transfe~ed
Oo line 916)
3/4
2319. -HEINEKEN NV
Transfe~
(to line 149)
3/4
Transfe~ed
(to line 177)
3/4
Sold
(pa~)
I/6
Transfe~ed
(to line 382)
3/4
Buy
1/29
2324.
Transfe~ed
(to line 2 ! ] )
3/4
T~nsfe~ed
(to line 919)
3/4
Transfe~ed
(to tine 610)
314
Transfeffed
(to line 258)
3/4
Transfe~
(to line 829)
3/~
Sold
2/16
2329. -~ITEX
A =$1,000 or less
F --$50,001 - $100,0~0
J =$ l 5,0t~0 or less
N -$250,001 - $500,00~)
P3 =$25,000,1201 - $50,0~0,000
Q ~Appr~i~al
U =Book Value
B =$ 1,001 + $2,500
G =$100,091 - $1,000,000
K =$15,001 - $50,000
O ~$500,00t - $1,000,000
R ~ (Real E~tate Only)
V =Other
C =$2,501 - $5,000
Ht =$1,0l~,00t - $5.000,000
L =$50,00l - $100,0OO
pI ~$1,000,001 - $5,000,000
P4 =Mo~ than $50~000,000
$ =A~s~ssment
W =Estlmatr.d
D =$5,001 - $15,000
t12 =More than $5,000,000
M =$10~,001 - $250,000
P2 =$5,000,001 - $25,000)000
T -~Cash Morket
E =$15,0OI - $50,009
9/i/2010
I ~s, ~y~.e T.
VII. INVESTMENTS and TRUSTS - ~eo,~e, ,.~l~,. ~, .... etio,~ anaud~s t~os, of sro~e a,~ ae, enaent children; see p~ 34-60 of fdlng ins~uction~)
NONE ~o reportable income, assets, or wansactions.)
Descr~tion of Assets
(~cluding ~st assets)
Place "(X)" ~fier each as~t
~e~tffompriordi~losure
I
t
Income during
tepoaing ~6od
~Amount T~ (e.g.,
~Cdel ~ di ..... ~t.
(A-~ ~ or int.)
Value
Meth~,
Code 3
T~ (e.g.,
buy,~I!,
redemption)
~
~ /Date Value } mum [
~ Month- Co~;)2
C~el ~(J
Day ]
(") I
2330.
Sold
2/17
Buy
2123
2332.
Transferred
(to line 921)
3/4
Transfelled
(to line 583)
3/4
1/22
Sold
Transferred
(to line 931)
3/4
T~ansferred
(to line 938)
3/4
Transferred
(to line 744)
3/4
Transferred
ito line 636)
3/4
Transferred
(to line 782)
3/4
Buy
1/15
Transferred
(to line 944)
314
Sold
(part)
2/13
Transferred
(to line 358)
3/4
Sold
1/6
2345.-KIMBERLY-CLAKK CORP
Transferred
(to line 948)
3/4
Transferred
(to line 377)
3/4
2. V~ue C~es
J =$ I 5,0~ or less
K =$15,~1 - $50,~
L ~$50,~ I - $1 ~,0~
ld~fiW of
buyer/se,er
(if private
Bar,~, Maryanne T.
Date of Repert
9/1/2010
]
VII. INVESTMENTS and TRUSTS -~om~ ,,.~.., ~.~,n~ao,~ a.~uae. ,ho~. oI~~ ...... ~ dependent chitttren; see pp. 34-60 af jeding 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.
lncorue during
reporting period
(i)
(2)
i Amoo.nt Type (e.g.,
Code 1 I div., rent,
(A-H) | or int.)
C.
Oro~s valu~ at end of
reporting period
i (l) (2)
Value
[i Code 2
i
(J-P)
.....................
2347. -KONINKLIJKE KPN
Value
Method
Code 3
I (Q-W)
D.
Transactions during reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
(2)
Da~e i Value
Month - i Code 2
Day (J-P)
!
Transferred
(to line 238)
3/4
Sold
(part)
I120
2349.
Transferred
(to fine 207)
3/4
Transferred
(to line 216)
3/4
2351. -LOKEAL
Transferred
(to line 444)
3/4
Transferred
(to line 325)
3/4
Sold
(part)
2/4
Transferred
(to line 950)
3/4
Buy
1/27
2356,
Buy
1128
.1
2357.
Transferred
(to line 953)
3/4
Transferred
(to line 501)
3/4
Transferred
(to line 554)
3./4
Transferred
(to line 799)
3/4
Transferred
(to line 305)
3/4
Transferred
(to line 956)
3/4
Transferred
(to line 455)
3/4
A =~1,000 o le.*s
F =$50.001 - $10~,000
J =$15,000 or less
N =$250.001 - $500.000
P3 ~$25,000,001 - $50.~00,0~
Q =Appraisal
U ~B~k Value
B =$1,001 - $2.50~
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,0~t - $1.000.000
R =Cost (R~I E~ale Only)
V =Othe~
C =$2,501 - $5.0~1
HI =$1.O00,001 - $5,000,~00
L =$50,0~1 - $100.009
PI =$1,~0,001 - $5,000,000
P4 =More ~aa $50,~1~9,090
S =Assessment
W =~slimated
Gain
Code I
(A-H)
,
Identity of
buyer/seller
(if private
transaction)
D =$5,00t - $15,000
t12 =More ~haa
M =$t09 001 . $250.0(10
P2 =$5,900,001 - $25,000,000
T =Cash Market
E =$t5,t,~11 - $50,000
Ba~,, Maryanne T.
Date of Report
9/1/2010
[
Sons (Includes those of spo .....d dependettl children; see pp. 34-60 nf J~tlitlg i~trttctlons.)
1~
[
!
~.
Income during
reporting period
c.
D.
~_ ..........
Value
Type (e.g.,
Method
buy, sell,
Code3
redemption)
(Q-W) .....
Date
Value [ Gain
I Month- [ Code2 Code I
Day ~ (J-P) [ (A-H)
~
Transferred
(to line 168)
3/4
Transferred
(to line 510)
3/4
Transferred
(to line 528)
3/4
3!4
Transferred
(to line 788)
Buy
t/5
Transferred
(to line 194)
Buy
1/4
3/4
2371.
Transferred
(to line 959)
3/4
Transferred
(to line 966)
3/4
Transferred
(to line 666)
3/4
Transferred
(to line 394)
3/4
Transferred
(to line 708)
314
Buy
1/14
2377.
Buy
1115
2378,
Transferred
(to line 262)
314
Transferred
(to line 760)
3/4
Tmnsfen-ed
(to line 777)
3/4
F ~$50,001 - $100.t~
G ~$]00,001 - $1 ,~0,1)~0
HI =$1,000,001 - $5,000,000
U =I3t~k Valu~
V =Other
W =Estimated
ldentity of
buyer/seller
(ifprivate
tr~s~on)
i
Date of Report
9/lt2010
[ Barry, Maryanne T.
VII. IN VESTMENTS an d TRUSTS - ~,~o~. ~,~,~. ~o~o.~ a~t.~,~ ,~o~ o/~r .....
~ a~,.a,~ ~td~.;
Income during
reporting period
O)
(2)
Amount
Code "/
(A-I~
Type (e.g.,
div., rent,
or int.)
2381. -PEUGEOT SA
2382. -PHILIP MORRIS INTL INC
2383. -PINNACLE WEST CAPITAL CORP
D.
O)
(2)
Value
Code 2
(J-P)
Value
Me~hod
Code 3
(Q-W)
O)
Type (e.g.,
buy, sel!,
redemption)
[ (2)
(3)
I Month
Date -
Value
Gain
C~de 2 Code 1
(J-P)
(A-H)
Day
Transferred
(to line 779)
3/4
Transferred
(to line 842)
Sold
1/20
3/4
(4)
Transferred
(to line 773)
3/4
Transferred
(to line 449)
3/4
Transferred
(to line 691)
3/4
.1
Transferred
(to line 97I)
3/4
Transferred
(to line 220)
3/4
Transferred
(to line 344)
3/4
Sold
(part)
1/19
2391.
Sold
1119
Transferred
(to line 191)
3/4
Sold
(pan)
2/16
2394.
Transferred
(to line 698)
3/4
Transferred
(to line 309)
3/4
Transferred
(to line 629)
3/4
Transferred
(to line 196)
3/4
2392.
2393. -ROCHE HOLDING
A =$1,000 or less
B =$1,001 - $2,50~
C ~$2,501 - $&090
(5)
Identity of
buyer/seller
(if private
transaction)
D =$5,0~1 - $15,0~
E ~15,~ - $50,1~
N ....
fPerson Reporting
Date of Report
B~ry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - i.no .... ~,e, transactions (Includes those of spouse and dependent children; ~eepp.
[]
A.
Description of Assets
(including trust assets)
Place "(X)" after each asset
exempt li-om prior disclosure
B.
Income during
reporting period
(l)
(2)
Amount Type (e.g.,
] Code l
div., rent,
(A-H)
orint.)
i
i
reporting
period
I Gro~s
value
at end of ~.
(1)
(2)
(1)
, Value
Value
Type (e.g.,
Code 2
Method
buy, sell,
(J-P)
Code3
redemption)
(Q-W)
2398. -SANOFI-AVENTIS
C.
D_
Transactions during reporting period
(2) (3) [(4)
Date [ Value ! Gain
Month Code l
i Code 2
Day 1 (J-P)
(A-H)
[
1
Sold
2/19
2399. -SAP AG
Transferred
(to line 352)
3/4
jr
Transferred
(to line 596)
3/4
Transferred
(to line 273)
3/4
Transferred
(to line 820)
3/4
Transferred
(to line 482)
3/4
Transferred
(to line 458)
3/4
Trar~sferred
{to line 822)
3/4
Transferred
(to line 979)
3/4
Buy
2/4
2408.
Buy
2/16
2409.
Buy
2/17
2410.
Buy
2/I8
2411.
Buy
2/19
24 ! 2.
2413. -SIEMENS AG NAMEN
2414.
A =$1.000 or less
F =$50,001 $100,000
J =$15,000 ot I~ss
N =$250,001 - $500,0(t0
P3 =$25,000,0OI - $50,003.000
Q -Appraisal
II =Book Value
B =$1,001 - $2.500
G =$100,091 - $|,000.000
K---$15,001 - $50,000
O =$500,001 - $1,000.000
R -Cost (Real Estate Only)
V =Other
Transferred
Ira line 981)
3/4
Buy
2/2
Transferred
(to line 682)
3/4
C =$2,501 - $5,000
HI =$1,00~,001 - $5,000,~90
L =$50.0Ot - $100.Oty0
PI =$l,000.O01 - $5,000,000
P4 =Mr, re than $50,(h30,[~00
S =Assessment
W =E~tim~tml
D =$5.0~1 - $15.0~)
H2 =More than $5,000,0t)0
M =$100,001 -$250,600
P2 =$5,000.001 - $25,000.1100
T =(~s h Market
(5)
Identity of
buyer/seller
(ifp~ivate
transaction)
E =$15.00] - $~0,000
Barry, Maryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS-i, co~,. ~at,,. ~a,~cno,~ a~,t~aes t~, oy sp ..... d dependent children; see pp. 34.60 of fiting instruz.tlons.)
NONE ~o reportable income, assets, or transactions.)
A.
~scfipfi~ of Assem
(inclu~ng ~st as~s)
Plaee"(~"afi ..... hasset
B.
Income during
reposing period
C.
Gross value at e~ of
r~o~ing period
[~nonnt
T~(e.g.,
Value
Value
(A-~
orin~)
(J-P)
C~e3
D.
Tmn~tions d~ing repoOing
] T~e(e.g.,
~ Date
I Value Gain
IdentiWof
redempt~n)
] Day
/ (J-P)
(A-~
(ifpfivate
Transfeff~
(to line 422)
3/4
Transfe~
(to line 986)
3t4
T~nsfeffed
(to line 543)
3/4
Transfeff~
(~o line 280)
3/4
Sold
2/20
Buy
I/5
2421.
Buy
1/7
2422.
Buy
!/8
2423.
Buy
1/9
2424.
Transferred
(to line 990)
3/4
Transferred
(to line 230)
3/4
Transferred
(to line 164)
3i4
Transferred
(to line 158)
3/4
Transferred
(to line 438)
3/4
Transferred
(to line 632)
3/4
2430.-SYNTHES INC
Transferred
(to line 992)
3/4
Transferred
(to line 591)
3/4
I
[
[
B~-y, Mnryanne T.
9/1/20!0
VII. INVESTMENTS and TRUSTS - in~o,~, vat.e, ~ ....ao,~ (Includes those of spo ....
[~
B.
C.
Income during
Gross v~tlue at end of
reporting period
reporting period
(-~---! .......... ~2~- - ---"~--?fi----r --~
: Amotmt Type (e.g.,
Value i Value
Code ! : div., rent,
Code 2 ] Method
(A-H)
or int.)
(J-P) i Code 3
i (Q-~)
D.
Transactions during repo~ing period
(!)
Type (e.g.,
buy, sell,
redemption)
Transferred
(to line 996)
3/4
Buy
2/26
2434.
Transferred
(to line 998)
3/4
Transferred
(to line 424)
3/4
Transferred
(to line 401)
3/4
Buy
1/15
2433. -TELSTRA
Transferred
3/4
(to line 550)
Transferred
(to line 604)
3/4
2440_ -TOTAL SA
Transferred
(to line 522)
3/4
Trat~sferred
0o line 489)
3/4
2442. -UNILEVER NV
Transferred
(to line 155)
3/4
Transferred
(to line 650)
3/4
Buy
1/14
2445.
Transferred
(to line 287)
3/4
Transferred
(to line 329)
3/4
Transferred
(to line 313)
3/4
U =B~k Va[~
Buy
V =~r
W ~timat~
!/8
(5)
tdentity of
buyer/seller
(if private
transaction)
Baby, Maryan,~e T.
Date of Report
9/I/2010
VII. INVES TME NTS and TRUSTS - ~nco.... ~t.e. ,o.~acao.5 a.ct~d~s ,~os~ o~ ~ro .....
B.
Income during
repotting period
(i)
Place "(X)" ~ftcr each asset
exempt from prior disclosure
i Amount
[ Code 1
I (A-H)
i
C.
Gross value at end of
reporting period
(2)
(l)
(2)
Type (e.g,,
div., rent,
or int.)
Value
Code 2
(J-P)
Value
Me~od
Code 3
(Q-W)
2449.
D.
Transactions dung reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
Transferred
(to line 1001)
Transferred
(to line 1003)
Buy
1/8
2451.-VALLOURJ3C SA
(~) i(3)
3/4
3/4
Tra~sferred
(to line 1007)
3/4
Transferred
(to line 476)
3/4
Transferred
(to line 807)
3/4
Sold
2/25
2456.
Transferred
(to line 175)
3/4
2457, -WALGREEN CO
Transferred
(to line 687)
3/4
Sold
(part)
1/30
2459.
Sold
1/30
Sold
I/8
Sold
(part)
1/19
Transferred
(to line 430)
3/4
0~art)
2462.
(5)
Identity of
buyer/seller
(if private
trtion) .....
2452,
(4)
A =$1,000 or less
F ~0550,001 - $100,000
J ~$J5,000 ~r less
N ~$250,001. $500,000
P3 ~$25,000,001 - $50,~,000
Q =Apprnisal
U =8ook Value
Dividend
P2
B =$1,001 - $2,500
G =$109~1~)1 - $1,000,0~0
K =$15,001 - $50,000
O =$500,P~1 - $1,~k30,000
R Co~ (Re~l F~tale Only)
V ~O~her
C =$2,50I - $5,000
HI -$1,000,001 . $5,000,0(~
L =$50~001 - $100,000
PI =$1,000o00|. $5,000,000
P4 =More lhan $50,009,000
$ =Ass~str~nt
W =Estimated
D ~$5,001 - $ I5,000
H2 =More than $5,000.0P~0
M ~$100,001 - $250,000
P2 =$5,000.001 - $25.~hq,000
T =C~h Markel
E --$15,001 - $50,000
N ....
fP ..... Reporting
Date of Report
9/1/2010
B.
C.
Income during
reporting period
Description of Assets
(irwluding trust assets)
0) ~ (z)
Place "(X)" after each asset
exempt from prior disclosure
Amount :
Code
i (A-H)
(1)
Type (e.g.,
die., rent,
or int.)
Value
Code 2
(.Lp)
D.
(2)
Value
Method
lit
Type (e.g.,
buy, sell,
redemption)
i Month Day
(3) [ (4)
Value [ Gain
Code 2 Code 1
(J-P)
(A-H) ,
Sold
5/I 5
Transferred
(to line 144)
6/1
2469.
Buy
8/18
2470.
Sold
12/10
2471, -ACCOR
Sold
(part)
3/11
24?2.
Sold
3/13
.!
Sold
(part)
3/16
Sold
3/19
.l
2476. -ADIDAS AG
Sold
(part)
2/16
2477.
Sold
2/I 7
Buy
10il 5
Sold
(part)
1/22
Sold
1/12
6/1
(p~)
2467.
Sold
5/18
(pan)
2473.
2474.
(part)
[ 2475.
Sold
2480.
Sold
1/22
4/6
(part)
2482.
Transferred
(to line 414)
N -$250,001 - $500,00D
O ~5500,001 - $I,0~,00~
(5)
Identity of
buyer/seller
transaction)(ifprivate
Code(Q~W)3
(2)
Date
PI =$1,0~O,001 - $5,D~O,000
P2 =$5,000,001 - $25,009,000
Barry, Maryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - income, ~a~.e, ~ .... c~o~ ancl~ th .... f sp ..... d dependent chUdren; see p~ 34.60 o/fd~g ~s~ucfio~.)
NONE (No repo~able income, assets, or ~ansactions.)
A.
Description of ~s~
Onluding trust ~se~)
Place "(X)" a~er each ~set
exert from prior disdosur~
B,
Income during
repo~ng ped~
(l)
(2)
~Amo~t T~ (e.g.,
[ C~ 1
div., ten%
(A-H)
o[ int.)
C,
C~s value at ~d of
~po~iag p~od
(1)
(2)
Valgc
Value
Code 2
Me~od
C~e 3
(J-P)
D,
Transitions during r~o~ng ~dod
(1)
T~ (g.g.,
buy, gel],
redemption)
(2)
D~
~ Mon~ Day
Transfe~ed
6/1
(3) ~ 14) :
Va]n~ [ Oain
Code 2 [ C~# 1
(J-P) [ (A-H)
Buy
] 1/24
2485.
Sold
] l/23
Buy
1/5
2487.
Buy
]/7
2488.
Buy
1/8
2499~
Buy
I19
24~.
Buy
5/27
2491.
Transfe~ed
(to line 748)
611
2492.
Buy
9/24
2493.
Buy
9/24
2494.
Buy
] 0/21
Sold
1/12
(pan)
2496.
Sold
(part)
1/12
2497.
Tmn~fe~
(to line 341)
6/1
Sold
3/19
2498, -~L~NZ
(pa~)
2499.
Buy
5/28
Id~nti~ of
buyedse~er
(ifpffvat~
Date of Report
B~,, Maryanne T.
9/1/2010
VII. INVESTMENTS and TR U STS - ~, ....... rue, ,,o,~a~,~ a~a~a,~ ,~os, o~, ,~ ...... d a,~.d, nt ,~i~ar,,; ~,~ ~. 3~-~0 o/ m,g ~,,,~io,,.)
~] NONE (No reportable income, assets, or transactions.)
ADescription of Assem
(including Irust assets)
B.
lncome during
repoaing period
C.
Gross value at end of
reporting period
i
(2)
(])
(2)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(J-P)
Transferred
(to line 466)
6/1
2501. -ALLSTATE
Buy
5/20
2502,
Buy
5/21
2503,
Buy
5/22
2504,
Sold
(part)
8/18
2505.
Buy
12/18
2506,
Buy
12/21
2507,
Buy
12/22
2508. -AMAZON.COM
Transferred
(to line 614)
6/1
Transferred
(to line 227)
6/1
2510.
Sold
(part)
8/26
2511.
Sold
(part)
8/27
Sold
(part)
1/12
10/2
Sold
10/5
2515.
Sold
(part)
10/6
2516.
Sold
(par0
10/7
: O)
(2)
[Amount
Code I
(A-H)
Type (e.g.,
div., rent,
or int,)
O)
D.
Transactions dm-ing reporting period
Value
i Code 2
(J-P)
2500.
25!3,
(part)
2514.
(pa~t)
(3)
(4) [
Gaint
Code I
(A-H)
(5)
Identity of
buyer/seller
(if private
transaction)
A =$1,000 or less
F =$50,001 - $100,000
B =St,00! - $2,500
O =$100,001 - $1,000,000
C =$2,501 - $5,000
HI =$1,00~,001 - $5.000,000
D =$5,001 - $15,000
82 =More th~.,~ $5,000,000
N =$250,001 - $500,000
P3 =$25,000,001 - $50,0~0,000
O =$500.001 - $1,000,000
Pl =$1,000,001 - $5,000,000
P4 =Moce than $50,000,000
1~ -$5,000,001 - $25,000,000
E ~-$15,001 - $50,000
a~, Ma~anne T.
9/1/2010
[
B.
C.
Description of Asse~
(including trust ~se~)
Income during
repoaing period
0)
Pl~e "(X)" al~r each asset
exempt from prior ~sclosure
~ ~o~t
C~e i
(A-~
I
25 ] 7. -AME~CAN TOWER
D.
(~)
0)
(2)
T~e (e.g.,
div., ren~
or int.)
Value
C~e 2
(J-P)
Value
Method
Code 3
T~e (e.g.,
buy. se~
redemption)
[ VMue
Date
GainI
Mon~ - [ ~de 2 Code I
Day
:. (J-P) ~ (A-~
(Q-~
Traasfe~ed
(to line 839)
6/1
Sold
9/3
Buy
11/24
2520.
Sold
(part)
11/23
Buy
8/13
2522.
Buy
8/14
2523,
Buy
8/17
2524.
Buy
8/I 8
2525.
Buy
8/24
.1
Sold
(part)
2/26
2527.
Sold
5/19
Buy
5/27
2529.
Transferred
(to line 863)
6/1
2530.
Buy
10/2
Buy
8/20
Buy
3/24
2533.
Buy
3/25
2518.
2519.
,~
ldenti~ of
buyer/seBer
(if private
~saction)
Barry, Maryanne T.
Dote of Report
9/1/2010
]
VII. INVESTMENTS and TR U STS - ~co ..... ~.,, ,,.,o~o~ a.a,d~ thos, oy,, ....
B.
Income d~ng
reposing period
(2)
0)
~ Amo~l ~ T~ (e.g.,
~de 1
~v., rent,
(A-~
~ or int.)
~
C.
Gross value at end of ~
~poaing period
O)
Value
Code 2
(J-P)
(2)
V~lue
Me~od
Code 3
D,
Tmnsac~ons d~ag r~o~ing period
~)
T~e (e.g,
buy, ~fl,
redemptioa)
(Q-~
2534.
Buy
3/25
2535.
Transferred
(to line 1018)
6/1
2536.
Sold
(part)
10/30
2537.
Sold
(part)
] 1/2
2538.
So|d
11/3
2539. -AT&T
Sold
(part)
1/12
2540.
Transferred
(to line 269)
6/I
2541.
Sold
I0/30
Sold
1112
2542. -AXA
(5)
Iden~W of
buyer/seller
0fpfvate
~ansaetion)
(P~rt)
2543.
Sold
(part)
2/20
2544.
Sold
(part)
3/3
2545.
Sold
(part)
3/3
2546.
Sold
(part)
3/3
2547.
Sold
(part)
3/4
2548.
Sold
(part)
3/5
2549.
Sold
(part)
3/10
2550.
Sold
3/11
A ~$1,000 or Icss
F =$50,001 - $| 00,0~q
1 ~$15,000 or less
N =$250,001 - $500,000
B =$1,001 - $2,500
G =$100.00I - $1,000,000
K =$15.001 - $50,000
0 =$500,001 - $1,000,000
C 252,501 - $5.000
tll =$I,000,0Ol - $5,000,000
k =$50,001 - $100.000
PI =$1,000.001 - $5,000.000
D =$5,001 - $15,000
H2 =Mole ~h~tn $5,000,000
M =$100,001 - $250,000
P2 =$5.000.001 - $25,000,000
E =$15,001 - $50,000
~,e of R~vo.
91112010
(s)
Idenfi~ of
buys/seller
(ifpfiwte
tmnsacfion)
r~o~ing ~fi~
0)
(~)
O)
~o~t
~ C~e 1
(A-~
T~e (e.g..
~v., re~t,
orink)
Val~
Code 2
(J-P)
(~)
(z)
Value
Method
Code 3
(Q-~
T)~ (e.g,,
buy, sell,
redemption)
j (z) O)
(4)
Mon~ - ~ C~e 2
Day
O-P)
j
Date ~~ Value
[
Buy
11113
2552.
Buy
11/13
2553.
Buy
11/16
Sold
(pa~)
3/17
2555.
Sold
(pan)
3/!7
2556.
Sold
(par0
3/t8
2557.
Sold
(pa~)
3/I 8
Sold
3/19
2559.
Sold
(pa~)
3/20
2560.
Sold
(pan)
3/23
2561,
Transfe~ed
(to line 587)
6/I
2562.
Buy
8/13
2563.
Buy
12/9
Sold
(pa~)
5/13
Sold
5/14
2558.
(p~a)
2565,
Gain ]
C~e I
(A-~
(p~)
2566,
Sold
5/18
Buy
10/8
A -$!.000 or le~
B =$!,00! - $2,500
C =$2,501 - $5.~
D =~,~1 - $ ~ 5,000
2 V~e C~s
J =$15,~ or I~
K =$15,0OI - $50,~
L =$50,~1 - $1~
U =B~k V~lue
V ~=O~er
g =$15,~1 - $50,~
Date of Report
9/1/2010
I B~m M~y~ T.
VII. INVESTMENTS and TRUSTS - ~come. ,atne. ~ ..... no,~ (Includes those of spo ..... d dependent children; see pp. 34-60 of fding instructlons.)
NONE (No reportable income, assets, or transactions..)
A.
Description of Assets
(including trust assets)
B,
Income during
reporting period
C.
Gross value at cod of
reportiug p~riod
(l)
(2)
Value
Code 2
(J-P)
Value
Method
Code 3
(Q-W)
D.
Transactions during reporting period
(3)
(~)
(5)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Value
Code 2
(J-P)
Gain
Code 1
(A-FI)
Identity of
buyer/seller
(if private
transaction)
Buy
11/5
Sold
11/19
Buy
5/22
2571.
Buy
1 t/25
2572.
Sold
(part)
11/24
Buy
517
2574.
Buy
5/8
2575.
Buy
5/19
2576.
Transferred
(to line 1023)
6/1
Transferred
(to line 519)
6/1
Sold
(part)
11/24
8/I 1
Sold
(part)
t 1/23
Sold
1/12
611
6/1
i O) [ (2)
Place "(X)" after each asset
exempt from prior discl .....
2568.
2569.
(l)
(2)
(part)
2578.
2579.
Buy
2580.
2581.-Baxter lntl Inc
Transferred
Transferred
Buy
3/4
(part)
2582.
I)ate of Report
9/1/2OLO
VII. INVESTMENTS and TRUSTS- i .... ,, imlue, tr ..... tions (Includes those of sp .... d dependent children; seepj~. 34-60 of fdlng instructions.)
[]
A.
B.
Description of Assets
(incloding trust asse~s)
:
i
lncoate during
reporting period
c.
(1)
i O) ] ~2)
[ Amottnt ~
Code 1 I
Type (e.g.,
div., rent,
D.
Value
Cede 2
_ ..
(2)
O)
Value
Method
Type (e.g.,
buy, sell,
~) :. O)
Date
Month -
(Q-W) .............
(4) [
Value
Gain
Code 2 i Code 1[
transaction)
J.
Sold
(part)
l/l 2
Sold
5~7
Transferred
(to line 388)
6/1
Sold
8/24
Sold
(part)
11/24
Buy
I/7
2593.
Buy
3/6
2594.
Buy
3/9
2595.
Buy
3/11
2596.
Buy
3/12
2597.
Buy
4/23
Sold
5/1
2599.
Transferred
(to line 662)
6/I
2600,
Buy
10/23
2601.
Sold
11/5
2586.
(part)
2587. -BHP BILLITON
Buy
2588.
2589.
(5)
Identity of
buyer/se[I.er
4/20
(part)
2590.
Buy
2591,
2598.
I 1~5
(pan)
A ~$1,000 or less
F =$50,00] - $I00,000
J =$15,000 or less
N =$250,00I - $500,000
P3 =$25,000,001 - $50J200,000
Q =Appraisal
U =Book Value
B =St,001 - $2,500
G =$100,001 - $1,000)000
K =$15,001 - $50.000
O =$500,001 - $1,00O,000
g =Cost (Rc~] Estate Only)
V --Other
C =$2,50I - $5,000
HI =$1,000,00i . $5,000,000
L =~$50,00t - $ l 0O,000
PI =$ |.000,001 - $5,000,000
p4 =More lhan $50,000,000
S =As~ssw, ent
W ~Estimated
D =$5,001 - $15,000
H2 =More th~ $5,000,000
M =$t00,00l - $250,000
P2 =$5,000,001 - $25.000,000
T =Cnsh Market
E =$15,001 - $50,000
N ....
fP ....
Reporting
DateofReport
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS -i .... e, val~e, transactions (Includes those of spouse and dependent children; see pp. 34-60 of fding instruction$.)
--] NONE (No reportable income, assets, or transactions.)
Description of Assets
(including trust assets)
Income during
reporting period
(l)
~
Place "(X)" after each asset
exempt from prior disclosure
I Amoum
Code 1
(A-H)
(2)
Type (e.g.,
dJv., rent,
or int.)
i reporting period
I (t)
Value
Code 2
(J-P)
(2)
(l)
Value
Type (e.g.,
Method
Code 3
buy, sell,
redemption)
:: (Q-W)
(2) ] (3)
Date
I. Month i Day
(JP) i (A-H)
Buy
2/3
2603.
Buy
2/3
2604.
Buy
2/4
"~605.
Buy
2/4
2606,
Buy
2/4
2607.
Buy
2/5
2608.
Buy
2/6
2609,
Buy
2/18
2610.
Buy
2/26
~61 I.
Buy
4/20
2612.
Transferred
(to line 872)
8/10
6/1
2614.
Sold
(part)
10/30
2615.
Sold
(part)
11/2
2616.
Sold
(part)
t 1/2
2617,
Sold
(part)
11/2
2618,
Sold
(par~)
11/3
26!3,
Buy
(4)
(5)
Value
Gain
Code 2 Code 1
Identity of
buyer/setler
(if private
i
transaction)
B~r,~,, ~~ry~n~ T.
I Date o~
9/~/20~0
Income during
]
~ing period
(AH)!
di .....nt,
or hat,)
reporting_period
Value
Cede 2
(I-P)
Value
Type (e.g.,
Dale
buy, sell,
redemption)
, Method
i Code 3
! (Q-W)
2619.
Valu* Gain I
transaction)
Sold
11/4
Sold
11/5
Sold
11/6
Buy
3.,16
2623.
Buy
5/29
2624."
Transferred
(to line 473)
611
Sold
8/27
Buy
6/17
Transferred
6/~
(part)
2620.
(part)
2621.
[
-BMW"
2625.
(pa~9
2626. -BNP PAP, JBAS
262?.
2628.
Sold
(part)
7/3
2629.
Sold
(part)
8/26
"2630.
Sold
(part)
10/6
Sold
10/6
263t.
(part)
~ 2632. -Boeing Co
i2633.
2634.
i2
~35.
Sold
Sold
1/12
J
(part)
3/4
K
(part)
Sold
(part)
Sold
(part)
6/23
Identity of
buyer/seller
(if private
6,23
Date of Report
9/1/2010
[
VII. INVESTMENTS and TRUSTS - ~,~o..,. ,,~,~. ~.,~,~no,, a, oz,a~, ~no~. o1,~ .... ~ dependent children: see pp. 34-60 of faing
NONE ~o reportable income, assets, or ~ansactions.)
A.
Description of Asse~
(i~luding trust assets)
B.
~
Income during
reporting pefi~
(~) ] (2)
I
!
C.
~ Gross v~ue at end of
r~o~ing ~fiod
0) [ (2)
Value
Code 2
(J-P)
! V~lue
Method
;1
, Code 3
D.
Tmns~ons during r~oning ~fi~
(x)
T~e (e.g.,
buy, sell,
redemption)
(~)
(~) ] (4)
2636.
Sold
6/23
2637.
Buy
1 ]~
2638.
Buy
1 l/l 9
2639.-Bouygues
Sold
(part)
2/16
Sold
5128
Sold
5/28
2640.
(~art)
2641.
l~enti~ of
buyer/se~er
(ifpdvate
(pan)
2642.
Transferred
6/1
Sold
(pa~)
1018
2644.
Sold
10/12
10/28
.I
(part)
2645.
(part)
2646. -BG GROUP PLC
Buy
1116
2647.
Buy
3/11
2648.
Buy
3/12
2649.
Buy
6/1
2650.
Transfened
(to line 867)
6/1
2651.
Buy
7/2
2652,
Buy
8/18
Sold
Barry, Mawanne T,
Date of Report
9/1/2010
[
VII. INVESTMENTS and TRUSTS - i,,c ..... ,a.., t~ansacaons anctuaes a, ose of sro ..... a aepena, m cnUare,;
NONE (No reportable income, assets, or transactions.)
i
Description of Assctz
Income during
reprting period
(including trust assets)
Place "(X)" after each asset
exempt from prior disclosure
(l) I (2)
Amount
reprting
! Type period/
(e.g.,
Code 1 ~ div., rettt,
(l) [ (2)
Value
Code 2
(l)
i Value
Method
Type (e.g.,
buy, sell,
(2)
~3)
(4)
Date Value , Gain
] Month - ] Code 2 i Code I
2653.
2654.
Buy
] 1/25
Sold
(part)
11/24
Transferred
(to line 883)
6tl
2656.
Sold
7/2
Buy
2/19
Transferred
6/1
2658.
Sold
12/18
(part)
2660. -CADBURY PLC
Buy
5/5
2661.
Buy
5/6
2662.
Buy
5/14
2663.
Buy
5/14
2664.
Buy
5/15
2665.
Buy
5/21
Buy
5/26
2667.
Buy
5/28
2668.
Buy
5/29
2669.
Buy
5129
2666.
(5)
Idemtity of
buyer/seller
B~,-q,, Maryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - i.co.~e. .~ #..s~c~o.~ (l.cl~d~,ho$. o,:~o~.~ ~ ~.~.a~t children; see pp,
NONE ~o reportable income, ~sets, or wansactio~.)
Description of Asse~
( nclud ng trust asseis)
Pla~ "(~" after each asset
exemptftompfiordisct~ure
Income during
] mp~ing period
(1) ~ (2)
Amour Type (e.g..
Code 1 ] div.,reat,
(A-~[
or int.)
2670.
T~nsfe~ed
(to line 1024)
6/1
267I.
Buy
8/t2
2672.
Sold
(part)
11/6
2673.
Sold
11/9
Buy
1/28
2675.
Buy
4/27
2676.
Buy
4/28
2677.
Buy
4/29
2678.
Buy
4/30
2679.
Buy
514
2680.
Buy
5/27
2681.
Buy
5/1
2682.
Buy
5/4
2683.
Transferred
(to line 60t)
6/1
2684.
Buy
11/24
2685.
Sold
(p~)
11/23
2686.-CAMPBELL SOUP CO
Sold
(5)
ldenti~ of
buyer/~ller
(if private
[ 1/I3
A =$1,000 or I~ss
B =$I,~I - $2,500
C =$2,501 - $5,000
D =$5,001 - $15.000
N =$250,001 . $500,000
O =$500,00! - $1,000,000
PI =$1,000,001 - $5,000,000
P2 =$5,1)00.001 - $25.000.0~O
E --$15,001 - $50,000
DateofReport
9/i/201o
~ry, Maryanne T.
VII. INVESTMENTS and TRUSTS - ineom,, ~,~u,, tr .... ~no,s (Includes lhose of sp ..... d depend, hi children; set pp. 34-60 of ftling instructions.)
NONE (No reportable income, assets, or transactions.)
A.
B.
Description of Assets
(including trust assets)
"Income during
reporting period
i
!
(1) ! (2)
Amount ! Type (e.g.,
Code 1
div., ~rent,
i (A-H) [
i
or int.)
C.
,.
(l) (2)
Value i Value
Code 2
Method
Code 3
[ (J-P)
(Q-W)
I
~
Sold
2/I 7
2688.
Transferred
(to line 893)
61t
2689.
Buy
11/24
2690.
Sold
(part)
11/23
2691,
Sold
t 1/23
Transferred
(to line 375)
6/1
Sold
5/19
5/20
Buy
1/12
2696.
Transferred
(to line 897)
6/1
2697.
Buy
7/27
Buy
1/6
2699.
Buy
1/7
2700.
Buy
1/8
2701.
Transferred
(to line 621)
6/1
2702.
Buy
11/24
2703.
Sold
(part)
1113
2692. -CANON
2693. -CARNIVAL CORP
(part)
2694.
Sold
(part)
2695. -CELGENE CORP
(5)
Identity of
buyer/seller
(if private
transaction)
Date of Report
9m2010
B.
In.me d~ng
reposing period
0)
Place "(X)" after ~ch asset
exempt from prior ~elosure
~mount
Code 1
(A-~
(2)
T)pe (e.g.,
div., r~
or int.)
C.
Gross vMue at end of
r~o~ing
D.
T~sactiom d~g ~g period
0)
(~)
0)
Value
Code 2
(J-P)
Value
Me~
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
27~.
2705.
[ (2) [(3)
I
~4)
(5)
Gain
CMe 1
(A-~
Identi~ of
buyeffse~er
(if private
~nsaction)
DateI] Value
Mon~ - ~ Code 2
Day
~ (J-P)
~
Sold
11/23
Sold
11/23
(paa)
2706. -CHEVRON CORP
Buy
5/27
2707.
Buy
6/24
2708.
Buy
10/12
.I
2709. -CISCO
SoLd
(part)
1/12
Transferred
6/1
1/12
2710.
Sold
(~art)
27 ] 2.
Buy
4,r27
27t3.
Buy
4/2g
2714.
Buy
6/2
2715.
Buy
6/2
Sold
8/18
2716.
(part)
2717.
Sold
(part)
8/18
2718.
Buy
10/6
2719.
Sold
] 0/27
!2720, -COCA-COLA CO
Transferred
(to line 647)
A =$1,000 or It.~s
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 =$100,0Ol - $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
HI =$1,000.001 - $5,000,000
L =$50,001 - $I00.000
PI =$1,000,0Ol - $5,000,000
P4 =iMore J}a~ $50,000,000
S =Assessment
W =Estimated
6/1
D =$3,1)91 - $15,000
H2 =More thza $5,000,000
M =$100,061 - $250,000
P2 =55,000,001 - $25,000,009
T =Cash Market
E =$ l 5.0~1 - $50,000
B~ry. Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - ~.~o~.. rot.e, ,,~,~.ctio~ a,,c~,~ ~o~ o~-~, ...... ,~ ~,~,,~ ~i~d.,~;
NONE (No reportable income, assets, or transactions.)
Desc~ption of Asse~
(2)
Type (e.g.,
div., rent,
or int.)
2721.
reporting period
! reporting period ]
(1)
(2)
Value
Value
Code 2
Method
(J-P)
Code3
(Q-W)
(1)
Type (e.g.,
buy. sell,
redemption)
Buy
7/29
Transferred
(to line 367)
6/I
2723.
Sold
(part)
8/7
2724.
Sold
8/10
2725.
So!d
(part)
8/12
2726.
Buy
I i/3
2727. -Conoeophillips
Sold
4/20
Sold
1112
Transferred
(to line 323)
6/1
2730.-CRH PLC
Sold
(part)
1/12
2731.
Buy
3/18
2732.
Buy
5/11
2733.
Sold
(part)
5/27
2734.
Transferred
(to line I89)
6/I
Transferred
(to line 506)
6/1
Sold
1/12
2722. -COMCAST
2728. -COSTCO
(part)
2729.
ONE)
2737.
(part)
Sold
(part)[
,
2/16
(5)
Idemity of
buyetlseller
(if pri ....
transaction)
DateofReport
r~ry, Maryanne T.
9/1/2010
B.
]ncome ~fing
~ ~cpo~ing ~
C.
~ Gross valuc at end of ~
[ repoaing peri~
D.
Transactions d~ng r~o~ng
~(A-~ ] orint.)
2738.
T~nsfened
0o line 1028)
611
2739.
Buy
6~5
2740.
Sold
7/17
274 l,
Sold
(pan)
7/31
2742~
Buy
1 I/9
T~sf~ed
(1o line 673)
6/~
2744.
Sold
(pan)
11/19
2745,
Sold
I 1 ~0
Transferred
(to line 398)
611
Buy
1/6
2748.
Buy
l/7
2749,
Sold
6/3
2750.
Sold
(part)
8/18
Sold
1/9
Sold
1/8
2753.
Sold
(part)
3/6
2754.
Sold
(part)
3/10
(pan)
2746. -DAVITA
(part)
~"
FINANCIAL DISCLOSURE
Barry, Maryanne T.
9/112010
VII. INVESTMENTS and TRUSTS - i.co,.,, ~... t~..s~ao,~ a.ct~d,~ tho,, ,~r ...... a d~en~nt children; see pp. 34-60 of ~ding ins~ucnons.)
NONE ~o reportable income, asset& or transactions,)
Description of Asse~
(including ~st ~se~)
Place "(X)" a~er each asset
exempt f~m prior ~closure
Income during
~po~ng peri~
Gross value at ~d of
reporting ~ri~
(0 ~2)
Amour T~e (e.g.,
~de I
~v., rent,
(A-~
or int.)
(0 [ ~2)
Value I Value
Code 2 j Method
(J-P)
Code 3
2755.
(2)
(3) ~ (4)
~ Date
Value
Gain
Mon~ - . Code 2 C~e I
Day
~ (l-P) ] (A-~
~
:
Sold
(pad)
3/I0
Sold
3/10
Sold
3/1 ]
Sold
3111
2759.
Sold
3/12
Buy
10/30
Sold
(pa~)
3/2
2762.
Sold
(pa~)
3/3
Sold
3/3
2764.
Sold
3/4
2765.
Sold
3110
Buy
1/5
6/1
3/31
4/1
6] 1
1]15
2756.
2757.
(pan)
2758.
2763.
2767.
~a~)
Transfe~ed
; 0o line 721)
~1
Buy
I
2768. -ECOLAB ~C
2769.
2770.
T~ns fe~
~ (to line 905)
2771.-EDISON ~ATIONA~
A -$1,~00 or Ions
F =$50.001 - $100,000
J -$15.000 or less
N =:~250,001 - $500,000
P3 :$25.000,001 ~ $50.000,000
Q =Appraisal
ti =Book Value
B =$I,00I - $2,500
G ~$100,001 - $1,000,00~
K =$15,001 - 150,000
O =$500,001 - $1,000,00~)
R --Cost (Real Estate Only)
V =Other
Buy
Buy
C =$2,501 - $5,000
H I =$1,000.001 - $5,tg)0,000
L =$50,001 - $100,01~.
Pl =$1,000,001 - $5,000,00t)
P4 =More than
S =A~essmgnt
W =Eztimated
D =$5,001 - $15,000
H2 =More them $5,000,000
M =St00,001 - $250,000
P2
T =Cash Market
(5)
]denti~ of
buyer/~llet
(if private
Date of Report
9/1/20J0
[ Barry, Maryan~e T.
VII. INVESTMENTS and TRUSTS - in ....... t.e, tr ..... tions (Includes those of spouse and dependent children; seeptx 34-60 o/f!ling instructions,)
NONE (No reportable income, assets, or transactions.)
A.
B.
Description of Assets
(including trust assets)
Income during
repoaing period
C.
div., rent,
Code 2
orint.)!
(J-P)
!
2772.
Method
Code 3
(Q-W)
D.
Transactions during reporting period
buy, ~11,
redemption)
Mouth Day
Code 2 i Code I
(A-H)
i~-P)
Buy
1/16
! 2773
Buy
1/20
: 2774.
Transferred
(to line 909)
6/1
Sold
7;31
Sold
11/10
Sold
(part)
1/12
2778.
Sold
(part)
2116
2779,
Sold
2/17
Sold
3/13
3/16
Transferred
(to line 843)
6/1
Sold
10/2
2785. -ERICSSON
Sold
4/3
2786.
Sold
4/3
4/6
4i6
2775.
(part)
2776.
(part)
(part)
i2780.
buyer/seller
(if private
transaction)
:
A
(part)
2781.
Sold
(part)
(part)
2787.
Sold
(part)
2788.
Sold
(part)
A =$1.000 or less
F =$50,001 - $100,000
J =$15,000 or less
N =$250,001 - $500.000
P3 =$25,000,001 - $50,0~)0,000
Q =Appraisal
U =B~,k Value
B =$1,001 - $2.500
G =$100,001 - $1.000,000
K =$15,001 - $50,000
O =$500.001 - $!,000.000
R ~Co~ (Real EState Only)
V ~.Olbc:r
C =$2,501 - $5,000
H | =$1,0IXI,00J - $5,0t)0.000
L =$50,001 - $100,000
PI =$1,000,001 - $5,000.000
P4 =Mo~e tha~ $50,0C~0,000
S ~A~essme~t
W =Estimated
D =$5,001 - $15,000 .
H2 =More than $5,000,000
M =$ 100,001 - $250.000
P2 =$5,000.0~)1 - $25.000.000
T =Cash Market
E =$15,001 - $50,000
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - i.eo,~., ~, ~.~.~no,~ a.e~.a~ ,hos~ o~ro.. ~ a~p.~.~, .,i~.~;
NONE ~o reportable income, assets, or transactions.)
A.
Dese~pti~ of Asse~s
(including trust asseLs)
Place "(X)" after each as~t
exempt f~m prior discl~ure
B.
~
Income during
r~ng p~
~o~t i
Code 1
(A-~
Type (e.~,
~v., ~nt,
or int.)
C.
~oss value at end of
~,
~poaing period
Value
Code 2
(J-P)
Value
Me~od
r
T~actions
T~e (e.g,
bay. sell,
redemption)
C~e(Q_~3
2789.
Moth Day
~
Date
Sold
4/7
Sold
4/7
Sold
4/7
Sold
(paff2
4~8
(pan)
2791,
(paa)
2792.
2793
Sold
4/8
Sold
(pa~)
4/8
2795.
Sold
4/9
(pan)
Sold
~3
2797.
Sold
(pan)
4/29
~798.
Sold
(pa~)
Sold
4/29
2799.
Gain[
C~e I
2794.
2796.
Value
Code 2
{J-P)
[[ (A-~
(pan)
2790.
5/] 3
28~,
Sold
(pa~)
5/14
~801.
Sold
(pa~)
Sold
5/15
5/25
Sold
(pa~)
1/12
T~nsf~ed
(to line 236)
6/I
2802.
2803, -ESSILOR ~TL
~804.
2805.
Buy
t 1/25
Identi~ of
buyer/seller
transaction)(ifpfivate
FINANCIAL DISCLOSURE
N ....
fPer onRe o
REPORT
Page 17 0 of 277
~r~,, Maryanne T.
9/1/2010
~
~
B.
]ncome du6ng
reporting peri~
C.
Gross v~e at end of ~
. _ ..~poai~ period
Value
Code 2
(J-P)
2806.
Value
~ Method
] C~e 3
D.
T~n~ctions d~ng r~o~ing period
I
~ T)ve (e.g.,
buy, sell,
redemption)
Sold
(pa~)
11/24
2808. -FA~C CO
Sold
(pan)
1/13
2809.
Sold
(pan)
1/14
Sold
(pa~)
3/5
28 ] 3.
T~sfe~ed
(to line 405)
6/1
2814.
Buy
8/18
Buy
6/3
Buy
2/26
28 ! 7.
Sold
5/26
281~"
Transfe~
(to line 1032)
6/1
2819.
Buy
7/28
2820.
Buy
11/4
Tmnsfeg~
(to line 299)
6/1
Sold
(pa~)
I I/2
2807. -E~ON
Sold
2810.
Sold
6/15
2/4
281 I.
2812.
Buy
2822.
5/29
Id~ti~of
buyer/sdler
(ifpfivam
N,.e of Pe ....Reporting
Date of Report
B~r~r, raary~nne T.
9/!/2010
VII. IN VESTMENTS and TRUSTS - i .... e, value, transactions (Includes those o/Spa ..... d dependent children; see pp. 34-60 of f!ling instructions.)
NONE (TVo reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "(X)" after e.~ch asset
exempt from prior dise|o~ure
B.
Income during
reporting period
C.
Gross value at end of
reporting period
(1) t (2)
Amoum ] Type (e.g.,
Code ] i: div., rent,
(1) [ (~-)
VaIue ! Value
Code 2
Method
Code 3
(J-P)
(l)
Type (e.g.,
buy, sell,
i redemption)
i] (A-H) [
or int.)
D.
Transactions during reporting period
[
[
2823.
Sold
(part)
11/4
2824.
Sold
(part)
11/5
Sold
10/26
2826.-GDF SUEZ
Buy
8/10
Sold
(part)
2/13
2828.
Sold
(part)
2/13
2829.
Sold
(part)
2/13
2830.
Sold
(part)
2/13
2831.
Sold
(part)
2/17
2832.
Sold
2/18
~"
Sold
(part)
I/12
2834.
Sold
(part)
5/20
2835.
Sold
(pan.)
5/20
2836,
So!d
(part)
5/21
2837.
Transferred
(to line 253)
6/1
Sold
(part)
8/24
Transferred
(to line 736)
6/1
i 2838.
2839. -Genpact LTD
(5)
Identity of
buyer]seller
(if private
f P ..... Reporting
N ....
Date of Report
]
Barry, Maryanne T,
9/112010
VII. INVESTMENTS and TRUSTS -income, ~.t~., tr.s~,~o~ lnclndes those of spouse a,~d dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
[
!
:
B.
Income during
reporting period
O)
Place "(X)" afler each asset
exerupt froru prior disclosure
(2)
C.
Gross value at end of
i reporting period
" fl)
Value
Amount[ Type(e.g.,
[ Code 1 I dJ ....... t~ Code 2 i Method
D.
Transactions during reporting period
(2)
(~)
Value
Type(e.g.,
buy, sell,
(2)
(3) ! (4) I
2840,
Buy
10130
2841.
Buy
ll~
2842.
Buy
11/3
2843.
Buy
11/4
2844.
Buy
11 !5
2845.
Buy
1116
2846.
Buy
11!10
Buy
11/16
2848,
Buy
11/16
2849.
Buy
11/19
2850.
Buy
11119
2851.
Buy
11/20
Transferred
(to line 814)
6/1
2853.
Buy
1 I[24
2854.
Sold
(part)
11/10
2855.
Sold
(part)
I 1/23
Transferred
(to line 706)
6/I
(5)
]dcrttityof
buyer"seller
Date of Report
Ban-y, Maryanne T.
9/I/2010
VII. INVESTMENTS and TRUSTS - i, co~o. ~,,. t~ans~cno~ an,t~ ,~o,e o~o .....
~]
B.
i
Income during
reporting period
C.
i Gro~ value at end of
i reporting ~.riod
(1) : (2)
(1) [ (2)
a,.mount ] Type (e.g.,
Maine
Vain~
Code 1 ] div., rent,
Code 2
Method
(A-H)
or int.)
(J-P)
Code 3
(Q-W)
D.
Transactions during reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
2857.
Sold
8/11
2858.
Buy
1 !124
! 2859.
Sold
(.part)
11/23
2860.
Sold
(part)
1 t/24
2861. -GIVAUDAN
Sold
(part)
6/29
2862.
Sold
4/24
Sold
7116
2864.
Sold
(part)
7/16
2865.
Sold
7/17
Sold
(part)
1/13
2868.
Sold
(part)
3/t6
2869.
Sold
(part)
3/17
2870.
Sold
(part)
3/I 8
2871.
Sold
6/23
Buy
3/6
2873.
Buy
11/24
(pan)
2863.
(pan)
2, V~ue CMcs
J =$15,0~ or le~
K ~$15,~1 - $50,~
L ~$50,~1 - $100,0~
M -$1~,~1 - $250,~
(5)
Identity of
buyer/seller
(if private
transaction)
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS -inco,~. ~atu~, ,ra.s~e~o,~ a.a~de, t~o,~ o~rous~ ~ d~.~ e~i~.:
NONE (No reportable income, assets, or transactions.)
Description of Assets
(including t~st assets)
Place "(X)" after each asset
exempt from prior disclosure
i
.
Income during
reporting i,criod
Amount
~ Code 1
(A-H)
Type (e.g.,
div., rent,
or ira.)
2874.
Value
i Code 2
(J-P)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
Gain
Date I Value
Month - I~ Code 2 Code I
Day
[ (J-P) , (A-H)
i
Sold
11/23
Transferred
(to line 151)
6/1
[ 2876.
Sold
8/24
(P~)
8t27
13
(part)
2875. -HEINEKEN NV
2877.
Sold
(pan)
. 2878.
[
Sold
(part)
8/27
2879.
Sold
8/27
Buy
11/13
288!.
Buy
12/2
2882.
Buy
12/2
2883.
Buy
12/3
6/1
9/2
7/14
I/6
6/1
2884.-HEV~rLETT-PACKAR.D CO
288~i-HOLCIM LTD
Sold
2886.
6/3
(part)
Transferred
Sold
(P~)
2888.
Sold
(part)
(part)Sld
Transferred
(to line 384)
A =$1,000
Identity of
buyer/seller
(if private
transaction)
Date of Report
DISCLOSURE REPORT
911/2010
VII. INVESTMENTS and TRUSTS - i .... ~, value, transactions (Includ~ those of spouse and de.pendent children; see pp. 34-60 of ai~g
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting pe6od
(1)
Place "(X)" after each asset
exempt from prior disclosure
,
~
[Amount
I Code 1
(A-H) [
,
C.
Gross value at end of
reporting period
D.
Transactions dttring reporting period
..
(2)
(1)
(2)
(1)
Type (e.g.,
Value
Code 2
(J-P)
Value
Method
Code 3
(Q-W)
Type (e.g.,
buy, sell,
redemption)
div., real,
or int.)
l (2)
Date
Month Day
(3) i (4)
Value i Gain
Code 2 Code I i
(JP)
Buy
1/29
2892.
Buy
3/25
2893.
Buy
4/3
2894.
Buy
4/8
2895.
Buy
5/29
2896.
Buy
6/17
2897.
Buy
6/18
2898.
Transferred
(~o line 213)
611
12899.
Buy
7/9
2900.
Sold
8/18
2901.
Buy
11/25
2902.
Sold
(par0
11/24
Sold
(part)
1/12
2904.
Sold
5/5
(pad)
I (A-H)
(5)
Identity of
buyer/seller
(if private
transaction)
(part)
Sold
(part)
3/6
2906.
Sold
(part)
3/6
2907.
Sold
3/9
F =$50,001 - $100,000
] =$15,000 or less
N -$250,001 - $500,000
P3 ~$25,000,001 - $50,000,000
O =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,091 - $1,000,000
HI =$1,000,001 - $5,L~30,000
L =$50,001 * $ t 00,000
PI =$1,000,001 - $5,000,000
p4 =More than
N ....
f P ......Reporting
Date of Report
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRU STS - i .... e, value, transacaons (Includes those of spouse and dependent children; see pp. 34-60 of fding instructions.)
[]
!
i
i Amount
i Code I
! (A-H)
i
B.
Income during
~parting period
C.
[
Gross value at end of
i
reporting period
i
Value
! Method
Code 3
(Q-W)
D.
Transactions during reporting period
T~p (e.g.,
buy, sell,
redemption)
Date]
i Month i Day
Value I Gain]
Code 2 ~ Code I
(J-P)
(A-H)
Transferred
(to line 260)
6/I
Buy
2/16
2910.
Buy
2/17
291l.
Buy
3/16
2912.
Buy
4/20
2913.
Buy
4/20
2914.
Transferred
(to line 831)
6/1
2915. -INDITEX
Sold
(part)
2/16
2916.
Sold
(part)
2/16
2917.
Sold
(part)
~16
Sold
2/17
2919,
Buy
g/lg
Buy
2123
292!.
Transferred
(to line 923)
6/1
2922.
Sold
(part)
10/28
2923.
Sold
(part)
!0/29
2924.
Sold
10/29
291g.
(pan)
(pan)
Identity of
buyer/seller
(if private
transaction)
Date of Repnr~
9/1/2010
B~r~y, Maryanne T.
A.
Description of Assets
(including trust assets)
B.
C.
D.
Income during
reporting period
(1)
Place "(X)" after each asset
exempt from prior disclosure
(2)
orint.)
reporting period
(I)
Value
Code 2
(J-P)
(2)
Value
Method
Code3
(1)
Type (e.g,,
buy, sell,
redemption)
(2)
Date
Value [ Gain
2925.
Sold
11/2
Sold
(part)
3/19
2927.
Sold
3/19
2928.
Sold
4/6
Sold
1/22
Buy
3/31
2931,
Transferred
(to line 933)
6/1
2932.
Buy
11/24
2933.
Sold
(part)
l 1 ,~3
Transferred
(to line 940)
6/1
2935.
Buy
!t/19
2936.
Buy
11/20
2937,-Jabi! circui!
Sold
(part)
3/6
2938.
Sold
(part)
3/9
Sold
3/10
2940.
Sold
(part)
3111
2941.
Sold
3/12
(p~)
2939.
(pa,~)
A =$1,000 or less
F ,,$50,001 - $100,000
J =$|5,000 or less
N =$250,001 - $500,000
B =$1.001 - $2,500
G =$100,001 - $1,000,090
K =$15,001 - $50,000
0 =$500,001 - $1,00O,000
C =$2,5OI - $5.000
HI =$1,000,001 - $5,1)00.000
L ~50,001 - $100,000
PI =$1,000,00| - $5,000,000
Identity of
buyeriseller
(ifprivate
D =$5.001 - $15,000
H2 =More than $5,000.0tKI
M =$100,001 - $250,000
P2 *$5,000,001 - $75,0A),000
E =$15,001 - $50,000
Date of Report
a~rry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - inore,, ~o,, ~ ..... ,ions annuals tho~,e of st ..... d dependent children; see pp. 34-60 of fding instruaions.)
[---]
B.
C.
Description of Assets
(including trust assets)
Income during
repoiaing period
Amotmt i
Code I
(A-H)
Type (e.g.,
div., rent,
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
Buy
5/13
2943.
Buy
5/19
2944.
Buy
6/3
2945.
Buy
6/29
Sold
9/24
Buy
5/18
2948.
Buy
5/18
2949.
Buy
5/19
2950.
Transferred
(to line 1120)
6/1
2951.
Sold
(part)
8/18
2952.
Buy
10/29
Tmosferred
(to line 785)
6/t
Buy
768
Sold
(part)
5/18
2956.
Sold
(part)
5/19
2957.
Sold
(part)
5/19
2958_
Sold
(part)
5/20
or int.)
Value
Code 2
(.I-P)
D.
A =$1,0~0 or less
F -$~0,001 - $100,000
J =$15,000 or less
N -$250.001 - $500,000
P3 ~$25.000.001 - $50,~00.000
Q =Appraisal
U ~Book Value
B ~$1,001 - $2,500
G =$100,001 - $1,000,000
K -$15.001 - $50,1KI0
O =$508,001 - $l,fl00,000
R =Cost (I(eal E.gtale Only)
V ~Other
Value
Method
Code 3
(Q-W)
Value
Code 2
(J-P)
Gain]
Code I
(A-I-I)
C =$2,501 - $5,000
HI =$I,D00,0~I - $5,000,000
L =$50,001 - $1O0,0D0
PI =$1,000,001 - $5,000,000
P4 =More than $50,0L~d,000
S =Assessment
W =Estimated
D =$SJIOl - $15,000
1t2 ~More than $5.000.000
M =$100.001 - $250,1)00
P2 ~$5,000,001 . $25,000,000
T =C~,sh MarkeI
Identity of
buyer/seller
(if private
transaction)
Dace of Report
Barry, Maryanne T.
9/1/201
VII. INVESTMENTS an d TRUSTS - i.co~.. ,,a~.e, ~.n,.c,io~ anct~a~ a, ose of s~use .~ a~,~.aent chitdren; see pp. 34-60 of firing instn~tions.)
NONE ~o reportable income, assets, or tra~actions.)
A,
B.
c.
Dcscdpfi~ of Asse~
(inclading ~st ~ets)
Income ~fing
Gross vahe at ~d of
r~ning period
reporting p~od
Amount [ T~ (e.g.,
Code 1 ~ div., rent,
(A-~ :
or inL)
~
2959.
Sold
Value
~ Code 2
[ (J-P)
Valu~
Method
C~e3
(Q-~
D.
Tmsacfions dung re~ng
T~ (e.g.,
buy, se~
r~emption)
Date
Value ~ Gain
Mon~ - :~ C~e 2 ~ C~e 1
Day
~ (I-P)
(A-H) ~
5/21
Sold
(pa~)
ZI] 3
2961.
Sold
(pa~)
5/I 5
Transfen~
6/1
8/14
9!11
; 2962.
Sold
(pa~)
29~.
Sold
(oa~)
2965.
Sold
(pa~)
91!4
2966.
Sold
9H 5
Sold
1/6
Buy
118
2969.
Buy
1!9
Buy
1/15
2971.
Buy
2/I 8
2972.
Buy
5/29
611
8]I 8
2970.
2973.
Transferred
2975.
Buy
7/16
Sold
(pa~)
Identi~ of
buyer/seHer
(if~vate
tmmcOon)
Date of Report
B~r~y, Maryanne T.
91112010
VII. INVESTMENTS and TRUSTS -i .... ,. ~t,,, ~ ..... tions ancludes those of spouse and dependent chitdren; see pp. 34-aO of fiting instrucaon~)
NONE (No reportable income, assets, or transactions.)
A.
Deseription of Assets
(includiog trust assets)
B.
lncome during
reporting period
(l)
(2)
Amount Type (e.g.,
Code I
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
D.
Transactions during rq~orting period
(l)
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Day
Transferred
(to line 240)
6/!
2977.
Buy
11/25
2978.
Sold
(paa)
11/24
Sold
(part)
t/l 2
2980.
Sold
(part)
4/17
2981.
Transferred
(to line 379)
6/1
Sold
11/18
2983.
Sold
11/19
Sold
(part)
1119
2985.
Sold
(part)
1/20
2986.
Transferred
(to line 209)
6/1
2987,
Buy
11/25
2988.
Sold
(part)
11/24
Transferred
(to line 218)
6/1
2990.
Buy
9/9
2991.
Buy
911 l
2992.
Buy
9/11
(3) (4)
Value Gain
Code 2 Code 1
(J-P)
(A-H)
(5)
tdentity of
buyer/seller
(if private
transaction)
(Q..W)
2982.
(part)
A =5;1,000 or I~s
B =$1.001 - $2.500
C =$2,501 - $ 5,000
U =Book Value
V =O~her
W =5~im~
D =$5,001 - $15,000
E =$15,00t - $50,~0
~ ....
f Person Reporting
Date of Report
Barry, Maryanne T,
9/I/2010
VII. INVESTMENTS and TR U STS - i,, ..... ,~,,e, rr ..... lions (Inaades those of sp ...... d dependent children; see pp. 34-60 o/)qting instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Dtmeription of Assets
(including trust assets)
Place "(X)" after each asset
exempt from ptior disclosure
B.
C.
r~.
,]
Income doting
reporting period
Amount
Type (e.g.,
[ Code 1 ally. rent,
or int.)
Value
I Value
Code2
(J-P)
i (A-H)i]
Method
(Q-W)Cde 3
Type (e,g.,
.
buy, sell,
rederapfion)
I Date ] Valae
Identity of
buyer/seller
transaction)(ifprivate
2993.
Buy
9/16
~~ 2994
Buy
!0/19
2995.
Buy
10/20
]"~996 -LINDE AG
Buy
8/5
12997.
Buy
8/6
Sold
(part)
1/12
2999.
Transferred
(to line 446)
6/1
3000.
Sold
(part)
12/7
3001.-LOWES COS
Sold
1/12
2998. -LOREAL
Gain
[ MonthI Code2
!
II (J-P)Code
[ (A-H)
, Day
(part)
3002.
Transferred
6/1
Buy
8/I 1
Buy
8/17
Sold
(part)
2/12
3006.
Sold
6/17
3007. -MEDTRONIC/NC
Buy
3/12
3008.
Buy
3/12
3009.
Buy
3/13
A z$1,000 or less
I-" -~50,001 . $100,0~0
J =$15,000 or less
N .:$250,001 - $500,000
P3 =$25,0(KI,001 . $50.00~,~00
Q "-Appraisal
U ~Book
B =$1,~01 - $2,500
G =5100,001 - $13~00,000
K ~$15,~)I - $50,000
0 =$500,001 - $1,000,000
R ~C.ost (Real "Estate Only)
C =52,50I - $5,000
HI =$1,000,001 - $5,060,000
L =$50,001 - $|00,000
PI =$1,000,001 - 55,000,000
P4 =More than 55~,0~d.000
S =A~es~menl
D =$5,001 - 5I 5,000
H2 =Mo~e tha~ $5,000,000
M =$100,~1 -$250,000
P2 =$5,000,001 - $25,0(Kt,000
T =Cash Market
E =$15,001 - $50,00~
N ....
f Person Reporting
Date of Report
Barry, Maryanne T,
9/1/20!0
VII. INVESTMENTS and TRU ST S -into.e. va~e, ~ansacao~s a~a~ ,.0~ o~ ~vo~ ~a d~w~a~ children; see pp. 34-60 of fding instructions.)
NO]qE (No reportable income, assets, or transactions.)
A.
B.
c.
Income dt~ring
Description of Assets
(including trust assets)
reporting period
(0
(2)
Amount
Code 1
(A-IT)
T~pe (e.g,,
div., rent,
or int.)
(~-i)
Value
C~:te 2
(J-P)
[
(~)
0)
(3)
Value
Code 2
(J-P)
Buy
4~0
Transferred
(to line 556)
6/1
Transferred
(to line 802)
6/1
Sold
1 !12
Sold
3/31
Transferred
(to line 307)
6/1
2/4
Sold
2/4
I3018.
Sold
(part)
2/5
3019.
Sold
(part)
8/18
i 3020.
Sold
(part)
8/18
Buy
1/22
3022.
Buy
I/22
3023.
Buy
1/23
3024.
Buy
1/23
3025.
Buy
1/26
Buy
1/27
3011.
................ ,
Type (e.g.,
buy, sell,
redemption)
--(~)
Date
Month Day
13010.
Value
i Method
Code3
j
(Q-W)
D.
Transactions during reporting period
(part)
I
(part)Sld
(p~rt)
(4)
Gain
Code 1 ,
(A-I-I)i
(5)
Identity of
buyer/seller
(if private
transaction)
Ba~r~,, ~ya..e T.
Date of Report
9/I/2010
VII. INVESTMENTS and TRUSTS -~ .... ~ value,~tr ..... tions (lncludef ~os of spouse and dependent children: see pp. 34-60 of Jtling instructions,)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B,
lncome during
relyorting period
(l)
Place "(X)" aller each asset
exempt from prior disclosure
2)
C.
Gross value at end of
reporting period
(1) I (~)
Value
Code 2
(J-P)
[ Value
Method
Code 3
D.
Transactions during reporting period
(l)
Type (e.g,,
buy, sell,
redemption)
(2)
(3[ (4)
Date
Value
Month - Code 2
Day , (I-P)
! 3027.
B~y
]128
3028.
Transferred
(to line 955)
6/1
Buy
5/19
3030.
Buy
5/20
303 I.
Buy
5/21
3032.
Buy
6/3
3033.
Transferred
(to line 1035)
6/1
3034.
Buy
11/20
3035.
Buy
11/24
3036.
Sold
(pan)
1]]23
3037. -METRO AG
Buy
5/19
Buy
5/13
3039.
Buy
5/27
3040.
Sold
(part)
8/18
3041.
Buy
11/30
Transferred
(to line 958)
6/1
Buy
3/18
Gain
Code 1
(A-/r) ~
(5)
Identity of
buyer/seller
(if private
Da*e of Report
VII. INVESTMENTS an d TRUSTS - i~o,.~ ~.~, ~, ..... ~o,,~ a.a.a~,~o~ o!~v ..... a a~.~ ~,~o.~ ~.
NONE (No reportable income, assets, or transactior~.)
A.
Description of A~ets
(including trust assets)
B.
Income during
reporting period
O)
(2)
Amotmt Type (e.g.,
Code 1 I div., rent,
:1
I (A-H)
I
or int.)
C.
I
Gross value at end of /
reporting period
;
~ (2)
Value
Code 2
{J-P)
[
I
[
i
Value
Method
Code 3
(Q-W)
I
]
D.
Transactions during reporting period
O) "
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Day
Value
Code 2
(I-P)
Gain
Code ]
(A-H)
~!
3044.
Buy
3/19
3045.
Buy
7/16
30~6.
Buy
12/8
Buy
8/17
3048.
Buy
8/19
Buy
8/21
Buy
8/25
Sold
8/18
Buy
! 1/23
Buy
1 !/24
3054. -Nestle SA
Buy
3/16
3055.
Buy
5/29
Transferred
(to line | 70)
6/1
Sold
I 1/24
Sold
(part)
11/24
Transferred
(to line 512)
6/1
3049.
3050.
(part)
3052. -NATIONAL GRID PLC
! 3053.
3056.
3057.
Buy
11/25
3058.
(parO
30~9.
Gain Codes:
(See Columns B l and D4)
F =$ 50,001 - $ 100,000
G =$ 100,00 | $1.000,000
I 11 =$1,000,001 - $5,000,000
Identity of
buyer/seller
(ifpdvate
transaction)
Date of ~eport
9/i/2o10
[ Barry, Maryanne T.
VII. INVESTMENTS and TRU ST S - i~,.o,,~ ,,t~, r,,,~,aio,, anct~ th~ of s~, ...... a aepena~nt children; see pp. 34-60 of faing imtrucaons.)
NONE (No reportable income, assets, or transactions,)
Description of Assets
(including tt,ast assets)
Place "(X)" after each asset
exempt from prior disclosure
InCOme during
reporting period
Type (e.g.,
\motmt
Eode 1
(A-I-l)
Value
Code 2
(J-P)
div., rent.
or int.)
Value
Method
Code 3
Type (e.g.,
buy, sell,
redemption).
(O-W)
3061.
Sold
Date
Month Day
9/3
Value
Code 2
(J-P)
Gain
Code I
(A-I-D
(part)
3062,
Buy
11/25 "]
13063~
Sold
(part)
10/6
Sold
(part)
10/6
Sold
11/24
Buy
5/13
~ 3067.
Buy
5/1~-
3068.
Buy
5/28
I 3069.
Buy
6/3
6I!
8/19
Sold
8/19
Sold
8/19
Sold
(part)
8/19
Sold
8/90
13064.
3065.
(part)
3066, -NOKIA OYJ
3070.
Transferred
Sold
(pan)
3072.
(part)
3073.
(part)
3074,
3075.
(part)
3076.
Sold
(part)
8/21
3077.
Sold
8/24
Identity of
buyer/seller
(if pri~ate
Date of Report
,1
B~r~y, Maryanne T.
9/1/2010
[
VII. INVESTMENTS and TRUSTS - ~,co,~e, ~ulue, tru~sucno,~ a.a~a~ those o.~.~pous, .rid d.pe.~..~ children; see pp. 34-60 offaing instructions.)
NONE (No reportable income, assets, or transactions..)
Description of Assets
(including trust asset~)
Place "(X)" after each asset
exempt from prior disclosure
i
3078.
]nc0me during
reposing period
"
(I) 1 (2)
Amount [ Type (e.g.,
Code !
div., rertt,
(A-H)
or int.)
reporting period
(I)
(2)I
(1)
Value
Value
Code 2
Method
(J-P)
Code 3
Type (e.g.,
buy, sell,
redemption)
Day
(l-P)
Gain
Code 1
[ (A-H) !
Sold
(part)
8/25
Sold
8/26
Transferred
(to line 790)
6/1
308 !.
Sold
(part)
10/20
3082.
Sold
(part)
10/21
Sold
10/22
10/22
3079.
3080. -NORDSTROM INC
] 3083.
(part)
(part)
3084.
Sold
(part)
3085.
Sold
(part)
10/23
3086,
Sold
(part)
10/26
Sold
10/27
3088.
Sold
(part)
10/28
Buy
1/5
3090.
Sold
5/22
Buy
6/3
3092.
Buy
7/16
3093. -NINTENDO CO LD
Buy
12/31
3094.
Sold
5/28
3087.
(part)
(part)
(5)
Identity of
buyer/seller
(if private
Date of Report
9/1/2010
B.
[
C.
Income during
I Gross value at end of ,
i
i
reporting period
] reporting period
]
(I)
(~-)
I O)
(2)
Amolmt TYtx (e.g.,
Value
Value
[
D.
Transactions during reporting period
,
(D
Type (e,g,,
(2)
Date
redemption)
Day
i (JoP)
3095.
Transferred
(to line 961)
6/1
3096.
Buy
6/30
3097.
Buy
8/24
3098.
Buy
11/2
3099.
Buy
1113
Transferred
(to line 968)
6/1
Buy
10/29
Transferred
(to line 668)
6/1
3103.
Sold
(part)
10/5
3104.
Sold
(part)
10/6
3t05.
Sold
(part)
ll/ll
3106.
Sold
(part)
ll/l]
3!07.
Sold
(part)
11112
Sold
(pa~)
5/18
Sold
6/18
3110.
Transferred
(to line 713)
6/1
3t11.
Buy
12/!8
(A-H)
or int.)
(J-P)
3101.
(part)
A ~51,000 or less
F -$50,001 - $1130,000
J =$15,00001 less
N =52503)01 - $500.000
P3 =$25,000,001 - $50,000,000
Q =Appraisal
U =Book VMue
B =51,001 - $2,500
G =$I00,O0| - $1,090,000
K =515.001 - $50,000
O =$500,1/~1 - $1,000,000
R =Cost (Real Estate Only)
V =Other
C ~$2,501 - 55.000
l tl =$l,00~,00l - $5,000,000
L =$50,001 . $100,000
PI =$[.000,0Of - 55,000,090
P4 =Mort ~ar~ $50,~,000
S =Assessment
W =Eslimalecl
(3) i (4) ]
Value [ Gain[
I (A-H)
D =55,001 -$15,000
it2 =More than $5,000,000
M =5100,0t~1 -$250,0~t0
P2 =55,000,001 - $25,000,000
T ~<~a~h Market
Identity of
(if private
E =$15.001 - $50,O10
Date of Report
9/1/2010
Barry, Maryanne T.
I
[
~
Income during
repo~ing ~
(~)
(2)
Code I
T~ (e.g.,
div., rent,
~)
Value
Code 2
(2)
(~)
[ (Q-~
3112.
~)
Sold
(paa)
(3)
(~)
Date
Value Gain
Month - ~ ~e 2 ] Code 1
Day
] (A-H)
[ (J-P)
,
11/2
3113
(pa~)
31 ~4. -PEPSICO
Buy
1/13
3115.
Buy
1115
3116.
Sold
(pa~)
5/27
3117.
Transfe~
(to line 265)
6/1
Buy
5/14
3119.
Sold
5/26
6/I
12/1
(pan)
3 ! 20.
Transfe~ed
Sold
(pa~)
3122.-PE~OPLUS HOLDING AG
Sold
(pan)
9~1
3123.
Sold
1 ]/17
Sold
l 1~18
Buy
6/23
Transferred
(to line 844)
6/1
Sold
(part)
1/20
(pa~)
3124.
3125. -PEUGEOT SA
A =$1,000 or |ess
B =$1,00t - $2,500
C "$2,501 - $5,000
D =$5,001 -
(5)
Identi~ of
buyer!sdler
(ifprivate
transaction)
Nnme of P ......Reporting
Dale of Report
Bar~y, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - ~ ...... I~e, transactions (Includes those of spouse and dependent children; $eepp. 34-60 of J~ling instructions;)
NONE (No reportable income, assets, or transactions.)
:
^.
~.
Description of AssetS
(including trust asse~)
Income during
reporling period
(2)
(1)
Amount Type (e.g.,
i Code 1 i di ......t,
(A-H)
or int.)
"
c.
D.
(2)
Value
Method
Code 3
(Q-W)
3129.
Sold
1/21
Sold
(part)
5/22
3131.
Sold
(part)
5/26
Transferred
(to line 451)
6/I
Buy
5/19
3134.
Buy
5/20
3135.
Buy
5/21
3136.
Sold
8118
Transferred
(to line 694)
6/1
3] 38.
Buy
7/27
Buy
7/2
Sold
8/12
3141.
Sold
8i13
Buy
4/23
3143.
Buy
10/27
.l
Sold
11/20
1/12
(part)
3137. -Progressive Corp Ohio
3140.
(pan)
3144.
(part)
3145.-QUALCOMM INC
Sold
(pan)
P3 ~$25,~,001 - $50,~.0~
(See Colunm C2)
U -Bot~k V~ue
W =Estim~ed
(5)
1dentil7 of
buyer/seller
(if private
transaction)
Barry, NIaryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - inco,,~ ~*~e, * .... ~o,~ (Includes those of spouse and dependent children; see pl~. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
[
I
B.
:~
c.
[
(Q-W)
D.
Income during
reporting period
i
3146.
3147.
[ (3)
(4~
Date
Gain
(2) 1 i IValue
I Month - i Code 2 I Code I
! (J-P) :: (A-H)
[ Day
i
Transferred
(to line 973)
(part)Sld
6/1
8/11
3148.
Sold
(part)
8/! !
3149.
Buy
11/18
13150.
Buy
11/18
315l.
Buy
11/19
3152.-RECKITT BENCKISER
Sold
(par~)
1/12
31531
Buy
5/29
3154.
Transferred
(to line 222)
6/1
3155. -Kichemont
Sold
(part)
1/19
3156,
Sold
(part)
1/19
3157.
Sold
(part)
1/19
Buy
3/I 1
3 t 59.
Transferred
(to line 346)
6/I
3160.
Buy
7/1
3161.
Buy
8/25
3162.
Buy
11/25
(5)
ldentity of
buyer/sdler
(ifprivate
transaction)
B~n-y, Maryanne T.
Da, e of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ~,co ..... ~.e, ~ ..... no,, a,a.a,, ,hos~
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
I
Income during
repotting period
C.
:~
Gross value at end of [
[
reporting period
(0 I (2)
Place "(X)" after each asset
exempt from prior disclosure
(1)
3163.
D.
Transactions doring reporting period
(2)
Value
i Method
Code 3
Type (e.g.,
buy, sell,
rodemption)
i <~-w~
i
Identity of
buyer/saBer
i ............
transaction)
Sold
(part)
11/24
Sold
(part)
2/16
3 ] 65.
Buy
5/4
! 3166.
Transferred
(to line 701)
6/1
Buy
3/17
3168.
Buy
3/18
3169.
Buy
3/19
3170.
Buy
3/24
I 3171.
Buy
3/25
3 t 72.
Buy
3/30
3173.
Transferred
(to line 1044)
6/1
3174.
Sold
(part)
9/2
3175.
Sold
(part)
9/3
Sold
(part)
1/12
3177.
Buy
3/19
3178.
Buy
4/20
3179.
Buy
5/27
2. Value Codes
J =$ I 5,000 or lass
L =$50,001 - $ 100,000
M =$100,00! - $250,000
Reparting
[Name of P .....
Date of Report
9/I/2010
/1 Barry, Maryanne T.
B,
Income during
r~o~ing ~fiod
~m~t I T~e (e.g.,
Cod~ 1 ] ~v~, re~t,
(A-H) ~
or int.)
C.
Gross value at end of
r~aing period
Value
C~e 2
(J-P)
[ Value
~ Me~od
C~e3
D.
T~nsacgo~ during r~o~ing period
T~e (e.g.,
buy, s~B,
redemption)
[ (J-P)
IdemiW of
(A-~ ~
3t80,
Transfe~ed
(to line 311)
6/I
3181,
Buy
8/18
3182.
Buy
11/24
3183.
Sold
I 1/23
E
E
Oa~)
3!84,
Sold
11~3
Sold
3/5
Sold
M6
3187.
Sold
3/10
3188.
Sold
3/! ]
3189.
Sold
3/12
3190,
Sold
3/16
319!.
Sold
(pa~)
3/17
3192.
Sold
(pal~)
3/18
3193.
Sold
3/19
(pan)
3186.
(pa~)
(paa)
(pa~)
3194.
Sold
3/20
3195.
Sold
3/23
Sold
3~3
(pa~)
3196.
(ifp~vate
u~ction)
Date of Report
9/1/2010
natty, Maryanne ~.
t,e. tr .....tions (Includes those of spo ....d dependent children; see pp. 34-60 oyfding ins~uctions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
[ (1)
Place "(X)" atler each asset
exempt from prior disclosure
! Amount
i Code I
i {A-H)
:
3197.
C.
Crross value at end of
reporting period
D
Transactions during reporting period
(2)
(l)
(2)
(~
Type (e.g.,
div., rent,
orint.)
Value
Value
Method
i Cude3
Type (e.g.,
buy, sell,
redemption)
Code 2
(JP)
(Q-W)
~ (2)
Date
Month Day
(3)
~4) !
(5)
Value
Code 2
Gain ;
Code t J
Identity of
buyedseLler
(if private
(I-P)
i (A-14)
Sold
3/23
Sold
3/24
Sold
3/24
Sold
3/27
Sold
3/31
Sold
5/27
Sold
(part)
6/1
Sold
6/3
Sold
6/3
13
Transferred
(to line 198)
6/1
: 3207.
Buy
11/25
3208.
Sold
(part)
11124
Sold
11/24
3210. -SANOFI-AVENTIS
Sold
2/19
3211. oSANDVIK AB
Buy
8/4
3212,
Buy
8/5
3213. -SAP
Sold
12/8
3198.
3199.
3200.
3201.
3202.
(part)
(paa)
(part)
(part)
~ 3203.
i 3204.
3205.
i
3206. -Samsung Elee Gds
3209.
(part)
(part)
(part)
transacri~n)
Date of Report
9/1/2010
] Barry., Maryanne T.
]
VII. INVESTMENTS and TRUSTS - in ...... a.,, tr .... ctions (Includes those of spouse and dependent children; see pp. 34-60 of flling instructions.)
----]
Ir~come during
reporting period
Value
Me~od
Code 3
Type (e.g.,
buy, sell,
redemption)
Date
Month i Day
Value Gain
Code 2
Transferred
(to line 680)
6/I
Sold
(part)
1/12
3216.
Sold
(pa~)
5,~0
Sold
5/21
Sold
5/22
3219.
Sold
5/26
3220.
Sold
(part)
5/27
3221.
Sold
5/28
3222.
Sold
(part)
5/28
3223.
Sold
(part)
5/29
3224.
Sold
(part)
5/29
3225.
Sold
(part,)
6/1
Sold
6/2
Sold
(part)
6/3
Sold
6/4
3229.
Sold
(part)
6/11
3230.
Sold
6/12
3217.
(part)
3218.
(part)
(part)
3226.
(pa~)
3227.
3228.
(paa)
Identi~y of
r,~te of Re~rt
9/1/2010
B.
Description of Assets
Income during
reporting period
Amount [
i Code 1 !
(A-H) I
"
"
C.
Gross valu~ a~ end of
reporting period
T)ge (e.g.,
div., rent,
or int.)
Value
Code 2
(J-P)
[
3231.
Value
Method
Code3
(Q-W)
D.
Type (e.g.,
buy, sell,
redemption)
Sold
(part)
6/18
Sold
6122
Sold
6/23
Sold
6/24
3235.
Sold
6/25
Buy
8/I 4
3237.
Buy
8/14
3238.
Buy
8/17
Transferred
(to line 276)
6/1
Buy
5/29
3241.
Sold
(part)
6110
3242.
Sold
(part)
7/7
3243.
Sold
7/7
Buy
5/18
3245.
Buy
5/19
3246.
Buy
5/20
3247.
Transferred
(to line 1045)
6/1
3232.
(pan)
3233.
Identity of
buyer!seller
(ifprlvate
transaction)
(part)
3234,
(pan)
A ~$1,000 ot I~s
B =$1,001 - $2,500
C =$2,501 - $5,000
D =$5,001 - $15,000
E =$15,001 - $50,~0
N ....fV~son g~,o~g
Bar,~., Ma~anne ~r.
B.
Income during
re~ng ~fi~
0)
~
,~
Amotmt
.~ Code 1
~ (A-H)
C.
~
Gross value at ~d of ~
repo~g period
(~)
0)
(2)
T~ (e.g.
div., ~ent,
or int.)
Value
Code 2
(J-P)
Value
Me~
Code 3
D.
T~nsactions during repo~ng ped~
0)
~ T~e (e,g.,
~ buy, sell.
~ redemption)
~-~ ,
(~)
Date
, Month ~ Day
~ ....
(3)
V~lue
Co~e 2
(J-P)
(a) [
Gain I
Code t ]
(A-~
3248.
Buy
91 ! 8
3249.
Buy
9121
~ 3250.
Buy
9/22
3231.
Buy
1016
~ 3252,
Buy
IW28
3253.
Buy
10/29
3254.
Buy
10//2
Sold
1!12
3256.
Transfe~
(to line 484)
6/1
3257.
Sold
(pan)
8/3
3258.
Sold
(pan)
9/3
3259.
Sold
9/4
Trausfen-ed
(to line 460)
6/i
Buy
10/30
3262.
Buy
1 I/5
3263.
Buy
1 t/16
Sold
1/12
(5)
Idenfi~ of
buyeffse~er
(if private
N~.,eorPer~n Report~.g
B~.y, Maryanne T.
Da,e of Report
9/I/2010
VII. INVESTMENTS and TRUSTS - i.co~. ~,, ~,~o,~ (lncludes tftose of spot~8 and dependent children; seepp. 34-60 of fding ~slruction~,)
NONE ~o reportable income, assets, or transaction.)
Desc~ption of AsseL~
(including trust ~se~)
Place "(X)" after each asset
exempt ~m ~or ~sclosare
Income during
reposing p~iod
Value [
Value
C~e 2 ~ Me$od
(J-P)
~ C~e(Q.~3
3265.
T~e (e.g.,
buy, sell,
redemption)
D~I
Value Gain~
Mon~ - ,~Code 2 [ Code I ~
Day ~ (J-P) (A-H) [
Transfeffed
(to line 824)
6/I
Sold
9/2
3267.
Sold
9/2
Buy
2/2
3269.
Buy
2/3
3270.
Buy
2/3
327t.
Buy
24
Buy
2/16
3273.
Buy
2f17
3274.
Buy
2/18
3276.
Buy
3/5
3277.
Buy
4120
3278.
Buy
6/4
3279.
Transferred
(to line 983)
611
3280.
Sold
(part)
8/18
3281.
Buy
11/25
~3266.
(pan)
3272.
3275.
Buy
F =$50,001 - $ It.,uO,0~0
P3 -$25,000.00t - ~lSO.00O,000
~19
G =$100,001 - 5 L090,0049
H! =$ l,b~.001 - $5,000.000
Idenfi~ of
buyedsell~
(if private
~nsac~on)
Date
9/1/2010
~
~
:ncom~ during
r~fling
Value
Meth~
Code3
T~ (e.g.,
buy, ~,
~ redemption)
Date
Value Gain
Mon~ - C~e 2 ~ Code
Day [ (I-P) ~(A-~
Sold
(pro)
11/24
Buy
2/20
3285.
Buy
3/19
3286.
Transferred
(to line 684)
6/1
3287.
Buy
8/t0
Sold
3/6
Transferred
(to line 546)
6/1
3290.
Buy
8/18
3291.
Buy
11/25
Sold
11/24
! 3293.
Sold
(pun)
l 1/24
3294.
Sold
(par!)
12/8
Buy
8/21
3296.
Buy
8/24
3297.
Buy
8/24
3298.
Buy
8/28
3282.
3292.
ldenfiU of
buyer/~ller
(ifprivate
t Date of Report
B.~y. ~=o.,,~ ~
B.
[
Income dunng
repo~ng period
12)
0)
~Amo~t J T~ (e.g.,
~CMel ~ ~v.,r~t
or int.)
.~ (A-~ ~
C.
D.
Transactions during r~aing
repoaing
[ Gross
value at end of
(~)
0)
~ Value
Value
C~e2
Me~od
~
(J-P)
C~e 3
(~)
T~e (e.g.,
buy, sdl,
redemption)
12) ] ~) : (4)
Value [ Gain
Date
~ Mon~- Code2 Codel
Day
~-~) ~ (a-n)
3299.
Buy
8/28
3300.
Buy
9~
Transferred
(to line 282)
6/1
Sold
(part)
10/28
Sold
(part)
10/28
3304.
Sold
(part)
10/29
3305.
Sold
10129
Transferred
(to line 988)
6/1
Buy
l/5
3309.
Buy
1/5
3310.
Buy
1/6
3311.
Buy
1/6
3312.
Buy
1/7
3313.
Buy
1/8
3314.
Buy
1/8
3315.
Buy
I/9
3303.
Id~fiW of
buyer/seller
(if private
A ~$1,000 or I~-*
F --$50,001 . $100,000
J =$15,000 or less
N ~$250,001 - $500,000
P3 =$25,009,091 - $50,00~,000
Q ~Appra)sal
U =Book Value
B ~$1,001 - $2,500
G =$1~0,001 - $1,000,000
K =$15,001 - $~0,000
O =$500,0~1 - $I,000,1~0
R =Cost (Real Estate Only)
V =Other
C =$2,50t - $5,000
HI =$1,000,0~1 - $5,000,0~0
b ~$50,001 - $100,000
PI ~$1 ,~0o,001 - $5.000.000
P4 =More tha~ $50,090,000
S =Assessment
W =Estimated
D =$5.001 - $15,000
H2 =More tha~ $5,000,000
M =$ 100,001 - $250,000
P2 =$5,000.001 - $25,000,000
T --Cash Market
E =$15,00! - $50.000 |
Barry, Maryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ~~co~ ~l.e, ~ ..... ,~o.~ (Includes those of spo ..... d dependent children; see pp. 34-60 of fding instructior~
[]
i
i
A.
Description of Assets
(including trust assets)
Place "(X)* after each asset
exempt from prior disclosure
[ 3316.
B.
Income during
reporting period
Amount Type (e.g.,
Code 1 [, div., rent,
(A-H)
or lot.)
~
C..
Gross value at end of
reporting period
Value
Code 2
(J-P)
D.
Transactions during reporting prriod
i Date
Mon~ Day
Value I Gain j
Code 2 i Code 1
(J-P) [ (A-H)
:;
Sold
4/2
3317.
Sold
4/16
3318.
Sold
(part)
4/17
3319.
Sold
(part)
4/20
3320.
Sold
4/22
(part)
(pan)
3321,
3322.
Sold
(part)
4/24
Sold
4/27
(part)
3323,
3324.
Sold
(part)
4/28
Sold
-5/5
(part)
3325.
Sold
(part)
5/6
3326
Sold
.5/7
3327.
Sold
5/14
3328.
Sold
(part)
5/15
3329,
Sold
.5/19
Sold
2/20
3331.-STANDARD CHARTERED
Sold
(part)
1/12
3332.
Buy
5/15
Identity of
bnyer/se!ler
(if private
transaction)
NONE
(No
income,
a~S~tS,
De~ti~ of Assem
(including t~st asse~)
Plac~ "(X)" a~r ~ch asset
exempt horn prior disclos~e
[ Date of Report
9/1/2010
or transactions.)
Income during
reposing ~i~
Gross v~ue at
re~ing period
, Valnc
Code 2
(J-P)
Value
Me~
C~ 3
T~ (e.g.,
buy, sell,
r~empiion)
3333.
3334.
Sold
5/22
Tr~sfCg~d
61t
Buy
11/25
3336.
Sold
1 !/24
3337.
Sold
11/24
(part)
3338. -STRAYER ED
Buy
1~7
3339.
Buy
12118
Buy
4/20
3341.
Buy
6]t
3342.
Transferred
(to line 166)
611
3343.
Buy
I0/6
3344.-SI5"NCOR ENERGY
Sold
1/12
Transferred
6/1
3340. -Sun
3345.
Sold
(part)
8/17
3347.
Sold
8124
3348.
Sold
8/24
Sold
1/13
(~a~)
~par0
N =$250,001 - $500,000
0 =$500,001 - 51,000,000
PI =51,000.001 - $5,1~0,000
P2 =$5,000,0~1 - $25,000,000
Q -Appraisal
S ~As.sessment
T =Cash Market
Identity of
buye#se~er
(if private
Date of Repot!
Bar~y, Maryanne T.
9/1/2010
A.
De~p~on of ASS~
{including tm~ ~st~)
B.
Income d~fing
~
~ing pe~d
~ (0
C~
(~)
Value
C~e 2
(J-P)
~
~ Value
: Me~od
[ C~ 3
(0 (2)
T}~ (e.g.,
[Amo~t
~ C~e 1 ~ ~v., rent,
~ (A-~ ~ or int.)
(~)
(2)
T~e (e.g.,
buy, ae~,
redemption)
Date
Mo~ Day
" ~
(~
(4)
Value G~n
Code 2
I (I-P)
Trangfe~ed
(to line 440)
6/I
335i[
Sold
8,~
Sold
(pad)
8/26
Trans/~
6/1
3352.
3353. -S~VI~ PACIFIC L~
3354.]SW~SSCOM A~ ~
Buy
8/14
3355.
Buy
8/17
Transfe~ed
(to line 994)
6/1
Sold
1/I 2
6/1
3/4
Sola
3/5
3361.
Sold
3/13
3362.
Sold
3118
(pan)
3358.
Transfe~ed
Sold
(pan)
. 336o.
(pan)
(pad)
3363.
~
3364.
Sold
(pan)
3/19
Sold
(pad)
3/20
~ 3365.
Sold
(pan)
5/27
3366.
Sold
5/28
(part)
(A-~
(ifpfivaM
~an~ction)
3350.
(pa~)
(S)
IdentiW of
N .... fP .....Reporting
Da,e of Report
surly, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRU S TS - income, wiu,, ,ransn~ons (Includes those of sp ...... d dependent children; see pp. 34-60 of fding instruc~ion~)
[] 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)
(2)
Amount I Type (e.g.,
Code l I div., rent,
(A-H) | o~" int.)
C.
Gross value at end of
reporting period
(l) I (2)
Valoe
Code 2
(J-P)
[ Value
[ Method
Code 3
(Q-W)
D.
Transactions during reporting period
O)
Type (e.g.,
buy, sell,
redemption)
] (2)
[
(3)
Date
Month Day
(4)
Value
Code 2
(J-P)
3367.
Sold
(part)
5/29
3368.
Sold
6/1
3369.
Sold
6/2
Transferred
(to line 1000)
6/1
3371. -TERUMO
Buy
9/17
3372.
Buy
9/] 8
3373.
Buy
11/24
Buy
5/29
3375.
Transferred
(to line 427)
6/1
3376.
Buy
11/12
Buy
1/15
3378.
Buy
2/26
3379.
Buy
5/22
3380.
Transferred
(to line 552)
6/1
3381.
Buy
1 t/24
3382.
Sold
(part)
11/23
Sold
(part)
1/12
(part)
A ~$1,000 or less
F =$50,001 - $100,000
J =$15,000 or less
N -$250.001 - $500,0~0
P3 =$25,000.001 - $50,000,000
Q =Appraisal
U ~Book Value
B =$1,001 - $2,500
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O ~$500,001 - $1,090,000
R ~--~st (Real Estal Only)
V =Other
C =$2,501 - $5,000
H] =$1,000,001 - $5,000,000
L =$50,001 - $100,000
Pl =$1,000.001 - $5,000,000
P4 =More than $50,000,000
S :Assessment
W ~Estimated
Gain
Code 1
(A-H)
D =$5,001 - $15,000
H2 =More tha~ $5,000,000
M =$100,001 - $250,000
P2 =$5,000,00i - $25,000,000
T =Cash Market
(5)
Identity of
buyer/seller
(if private
transaction)
E =$15,001 - $50,000
Date of Report
9/!/2010
~arry, Maryanne T.
,~
B.
~ Income during
[ reposing period
~)
(~)
Amount T~ (e.g.,
C~e 1 I div., renk
(A-I-~
or int.)
- ..............................................
C.
~ .............
Gross value at end of
T~nsacfions during r~o~ing
repofling period
-~
(~)
(2)
(~)
Value Gain[
~Value [ Value
T~ (e.g.,
Date
Code 2
Me~od
buy, ~11,
Mon~ - Code 2 ~ Code 1
Code 3
redemption)
Day
(J-P)
(J-P)
(A-~
, (Q-W)
3384.
Sold
3/30
3385.
Sold
4/9
3386.
Sold
(pan)
4/9
3387.
Sold
(paa)
3/30
3388.
Sold
(paa)
3,,30
3389.
Sold
5/19
3390. -T~GYi
Buy
10/8
3391.
Buy
10/9
3392.
Buy
10114
3393.
Buy
10/15
3394.
Buy
] 0/27
3395.
Buy
! 1/19
Buy
3/17
3397.
Sold
(pan)
9/2
3398,
Sold
(pan)
9/4
3399.
Sold
9/9
(pan)
Sold
1/12
(pan)
Identi~ of
buyerlseller
(if private
tr~s~tion)
Date of Report
I Bar~, ~aryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - i.co~,e, ,,.l~, ~, ..... ~o~ (lncI~s those of spo~e and dependent children; see pp. 34-60 of fding
NONE ~o reportable income, assets, or tra~ac~ons)
Description of ~sels
(including t~t ~se~)
Place "(X)~ after ~ch asset
exempt from prior ~selosure
~
3401.
~
~
Income during
~oHing ~od
(I) [ (2)
Amo~t T~e (e.~)
~de I ~ div., rent,
(A-~
or int.)
C~o~ value at ~d of
r~ng
(I) ~ (2)
Val~e
V~ue
C~e 2
Method
~i
(J-P)
~e(~3
(2)
Date
Mon~ ._
(3) (4)
Value Gain
C~e 2 C~e 1
~ansaction)(ifpriva~
~ (J-P)
~ (A-~ ~
Day
T~nsfe~ed
(to tine 606)
6/1
Sold
3/20
3403.
Transfe~ed
(to line 524)
6/I
34~.
Sold
12/18
Sold
1/I 3
3406.
Transfe~
(to line 491)
6/I
3407.
Buy
11/20
3408.
Buy
1 t/26
3409.
Buy
11/27
3410.
Buy
] 1/30
341 I.
Buy
12/I
Buy
11/16
Buy
5/26
3414.
Buy
5/27
Transferred
(to line 157)
6/I
Sold
5/5
Sold
(part)
5/6
3402. -TOT~ SA
: 3405. ....
-T~D MICRO
(part)
3417.
(5)
Idenfi~ of
buyer/se~er
Date of Repe~
9/1/2010
I
VII. INVESTMENTS and TRUSTS - ~. .....
[~
Income during
I Gross value at end of
reporting period
]
~ reporting period
(|), (2)i
(])
(2)
! Amotmt T~pe (eg., i Value
Value
Code I
div., rent,
Code 2
Method
(A-H)
or int.)
0-P)
Code3
i (Q~W)
3418.
Transferred
(to line 652)
Buy
6/I
1/I 3
(5)
Idemity of
buyer/se!ler
(if private
transaction)
I
3420.
Sold
5/2 ]
(part)
3421.
Sold
(part)
6/! 5
3422.
Transferred
(to line 291)
6/1
3423.
Buy
1 t/24
3424.
Sold
(part)
11/23
3425.
Sold
(part)
11/23
Buy
9/3
3427.
Buy
1 I/3
3428.
Buy
11/4
3429.
Buy
] I/5
Sold
(part)
5/I 9
3431.
Sold
(part)
5/20
3432.
Transferred
(to line 331)
6;1
2/26
Sold
2/26
J
(part)
3434.
Sold
(part)
A ~$1,000 or le~s
B ~$1,001 - $2,500
C =$2,501 - $5,000
D =$5,001 - $15,000
E =$15,~01 - $50,090 ]
Date of Report
9/1/2010
[ Barry, Maryanne T.
e, ~,a/~t, tr .....
B.
~ncom~ dudn~
[ re~ng ~dod
C,
Gro~ value at ~d of
re~ing period
IA~?m)t[ T~e(e.g.,
C~e 1 I ~v rent
(A-~
or int.)
Value
Code 2
(J-P)
D.
T~n~a~tions
. Value
M~h~
T~e(e.g.,
buy sell,
redemption)
Code(Q_~3
Date
i Value [ fiain [
Day
O-P)
(A-~
3435.
Sold
(paa)
2/27
3436.
Sold
(pan)
3/3
3437.
Sold
(pan)
3/4
3438.
Tmnsfe~ed
(to line 315)
6/I
Buy
2/26
3440.
Sold
(part)
6/23
3441.
Sold
7/29
Transferred
(to line 1005)
6/1
3443.
Sold
(part)
10/5
3444. -VALLOUREC SA
Buy
1/8
3445.
Sold
(pan)
6/3
3446.
Sold
(part)
614
3447.
Transferred
611
K
(to line 1009)
Buy
7/7
3449.
Sold
(part)
7/17
3450.
Sold
(part)
8/6
3451~
Sold
(part)
8/7
A =$I.000 or less
F .=$50,001 - $I00.000
) =$15.000 or less
N ~$250.001 - $500.000
P3 -$25.000.001 - $50.000.000
Q =Appraisat
U =Book Value
B =$1.001 - $2.500
G =$100.00l * $1.1)00.000
K =$15,001 - $50.000
O ~$500.001 - $1,0~0.ffJ0
R =Cast (Real F_~tate Only)
V --Other
u~saction(if private
3448.
Identi~of
C =$2.501 - $.5.000
1t1 =$1.000.001 - $5,000.000
L --$50.001 - $10O.00O
PI =$1.000.001 - $5,000,000
P4 =More than $50.000.000
S =Assessment
W ~Es6mated
O =$5.001 - $ ~5.000
H2 ~More th~n $5,000.000
M =$lO0.001 - $250.D00
P2 =$5.000.001 - $25.000,000
T ~h Market
E =$15.001 $50.000
FINANCIALDISCLOSURE REPORT
Page 208 of 277
Date of Report
9m20~0
VII. INVESTMENTS and TR U S TS - income, ~a~.o, ~ .... no~ (Includes those of sp ..... d dependent children; see pp. 34-60 offcling instructions.)
[]
Income during
reporting period
repoaing period
Amount !
I Code 1 I
T:)ge (e.g.,
div., rent,
Value
Code 2
(A-IT)
.orint.)
(3-P)
Value
i Method
i Code3
Type (e.g.,
buy, sell,
i redemption)
Date
Month -
Value
Code 2
Day
i (J-P)
3452.
Sold
817
Buy
6/9
6/1
3454.
Transferred
Gain I
Code !
(A-H)
Sold
(parl)
7/3
3456.
Sold
(part)
914
3457. -VINCI SA
Buy
8/18
Buy
8/26
Buy
5/t9
3460.
Buy
8121
3461. -VOLVO
Buy
8/18
[ 3462.
Buy
8/19
3463,
Buy
11/2
Transferred
(to line 809)
6ii
Buy
8/10
Buy
5/20
Sold
(part)
2/6
3468,
Sold
(part)
2/12
i
! 3465.
3466. -WAL-MART STORES INC
F =$50,00] - $100,000
G =$100,001 - $1,000,000
HI =$1,000,001 - $5,000,000
ldentity of
buyeffseller
(if private
Date of Report
9/1.,2010
[ Barry, Maryanne T.
VII. INVESTMENTS and TRU STS - ~co.,. .u~.e. ~ .... ~io.. a.c~.a,s ~os, of sv~, ..a ~v.~,.t ~ua~,.; s.. ~p. ~4-~o omti.g instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of A~sets
(including trust assets)
Place "(X)" after each a~set
exempt from prior disclosure
B.
Income during
reporting period
Amount ] Type (e.g.,
Code 1
div., r~nt,
(A-H)
or int.)
i
3469.
C.
Gross value at end of
reporting period
Value
Code 2
(J.p)
Value
Method
i Code 3
(Q.W)
I
D.
Transactions during reporting period
t
Type (e.g.,
buy, sell,
redemption)
Date
Value Gain
Month - Code 2 / Code 1
Day
i
j (A-H)
i_. (JP)
Sold
2112
3470.
Sold
(part)
2/13
3471.
Sold
(part)
(part)
3472.
2/19
Sold
2/24
3473.
Sold
(part)
2125
3474. -Walgreen Co
Sold
8/24
Sold
(part)
1/30
3476.
Sold
2/2
Sold
1,/8
3478.
Buy
81t2
3479.
Buy
8/17
34~0. -WOOLWORTHS
Sold
(part)
1/19
3481.
Sold
1/19
Transferred
(to line 432)
611
Sold
12/9
3484.
Sold
(part)
12/10
3485.
Sold
12111
(part)
(part)
3482.
34831 ......
(part)
Identi~, of
buyer/seller
(if private
ttansaction)
N ....
f P ..... Reporting
Date of Report
~,~o, ~,o,,,= ~.
~.~. ~sacao~ anct~s t~os. of s, ....~ le~n~nt c~it~..n; see ~. ~4-~0 of faing
B.
]ncome during
repoaing p~iod
0)
(~)
O)
(2)
Amount [
Code 1
T~e (e.g.,
div., tent,
or int.)
Value
Code 2
Value
Me~od
Code 3
(A-H)
D~
Tractions duhng ~orting
C.
[
Gross value at end of ~
~poaing period
(J-P)
0)
T~ (e.g.
buy, se~,
r~ption)
(~)
(3) ~
Date
Value ~ Gain
Mon~ Code 2 ~ Code 1 ~
Day
~ (~-P) (A-~ ~
Buy
1 ~31
Buy
12/31
Sold
5/15
3490.
Sold
5/I 8
Buy
8/18
3492.
Sold
12/10
3493. -ACCOR
Sold
3/11
3494.
Sold
(part)
3113
3495.
Sold
(part)
3116
3496,
Sold
(part)
3/18
3497.
Sold
3/19
3498. -AD1DAS
Sold
(part)
2J16
3499.
Sold
2/I 7
3500. -ADOBE
Buy
10/15
Sold
(part)
2/26
3502.
Sold
5/19
3488.
Dividend
P2
(pa~t)
Identiff of
buyeffsefler
(if private
Barry, blaryanne T,
9/1/2010
VII. INVESTMENTS and TRUSTS - i .... e, value, transactions (Includes those of sp ..... d dependent children; seepp. 34-60 of f dine instructions.)
NONE (No reportable income, assets, or transactions.)
A.
B.
Description of Assets
(including trust assets)
Income during
reporting period
~ ~) [ (2)
Place "(X)" after each asset
exempt from prior disclosure
c.
(2)
O)
i Value
i Code 2
(J-P)
.,
Value
Method
, Code 3
~
(Q-W)
(1)
(2)
Type (e.g.,
buy, sell,
redemption)
Date
Month Day
(3) ~ (,,)
Value
Code 2
(l-P)
Sold
1/22
Sold
1/22
Transferred
(to line 4t5)
6/1
Sold
~, (part)
1/12
3507.
Transferred
(to line 296)
6/t
3508,-Allegheny Tech
Buy
I/5
3509.
Buy
1/7
3510.
Buy
I/8
3511,
Buy
1/9
3512.
Buy
5/27
3513.
Transferred
(to line 749)
6/1
3514.
Buy
9/24
3515,
Buy
9/24
3516.
Buy
10/21
3517.
Buy
10/29
3518.
Buy
10/29
3519,
Buy
10/29
3504.
(part)
(s)
Gain
Code 1
(A-H)
Identity of
buyer/seller
(if private
transaction)
Date of Report
9/1/2m0
] Barry, ~a~a.~ T.
VII. INVESTMENTS and TRUSTS - income, vol.e, ~ .... ctions anetudes 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)
Place "(X)" after each asset
exempt from prior disclosure
I
B.
lncome during
reporting period
, (l) [ (2)
IAmotmt [ Type (e.g.,
Code 1 ] div., rent,
(A-H) ] or int.)
i
C.
Gross value a~ end of
reporting period
(I)
Value
Code 2
(J-P)
(2)
Value
Method
Code 3
(Q-W)
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
3520.
Buy
10/30
3521.
Buy
10/30
3522.
Buy
11/2
Sold
1/12
Transferred
(to line 342)
6/1
Sold
3/19
(5)
~Ideatity of
buyer/seller
(if private
transaction)
(part)
3524.
3525. -ALLIANZ
Wart)
3526.
Buy
5/28
Buy
5/20
3528.
Buy
5/21
3529.
Buy
5/22
3530.
Buy
12/18
3531.
Buy
12/21
i 3532.
Buy
12/22
Transferred
(to line 615)
6/I
Transferred
(to line 228)
6/I
3535.
Sold
(part)
8/26
Sold
(part)
1/12
3533.-AMAZON.COM
~
3534. -AMERICA MOVIL
A =$I,000 or I~s
F -250,001 - $100,0~0
J =$15,f100 or l~s
N =$250,001 - $500,000
P3 =$25,000,091 - 250,000,000
Q aAppra~sal
U =Book Value
B =$1,001 - $2,500
G =$100,001 - $1 ,O00,0~X~
K. =$15,001 - $50,000
O =$500,1gH - $1,000,000
R =Cost (Real E.shate Only)
V =Other
C =$2,501 - $5,00~
H I =$1,000,001 - $5,000,000
L =250,001 - $ ] 00,000
Pl =$1,009,001 . $5,000,000
P4
S =Asse.~sn~nl
W =Estimate~
D =$5,001 - $15,000
1t2 =Mode than $5,000,000
M =$ 100,~ 1 = $250,000
P2 =$5,000,001 - $25,00~,000
T ~Cash Mai~et
E =$15,00I - $50,000.
Date of Repert
9/!/2010
[ Barry,. Maryanne T.
~
~
B.
Income during
~aing ~ri~
C.
C~ss value a~ end of
~ing
~) ~-- (~)
(t)
~2)
Value
Code 2
(J-P)
Value
Method
CMe 3
(Q~
D.
Transactions during reporting
(0
T~e (e,g.,
buy, se~,
re~mpt~n)
3537,
(~)
Date
Mon~Day
(3) (4) /
Value GNn[
CMe 2 ~ C~e 1
0-P) ~ (A-H)
~I
Sold
10/2
Sold
10/5
3539.
Sold
(pan)
10/6
3540.
Sold
10/7
Sold
(pan)
4?27
3542.
T~nsfe~ed
(to line 840)
6/1
3543.
Sold
9/3
35~.
Sold
11/23
Buy
8/13
3546,
Buy
8/14
3547.
Buy
8/17
3548.
Buy
8/18
3549.
Buy
8/24
Buy
11/13
3551.
Buy
11/13
3552.
Buy
11/16
3553.-APPLE INC
Buy
5/27
3538.
(p~)
~)
A--St,000 o~ le~s
U =Book Value
V =O~ar
W =E~i~t~
ldenfiV of
buyer!sdler
(if private
~ansaction)
Date of Report
[ Barry, Maryanne T.
9/1/~01o
VII. INVESTMENTS and TRUSTS - ~nco,~e, ~atue, ,, ..... no~ a.et~,s those o~~po.s, ~.~ ~,~.~e.~ e~t~.;
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assels)
B.
Income during
reporting period
(l) (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)
D.
Transactions during reporting period .
0)
Type (e.g.,
buy, sell,
redemption)
(~)
Date
Month Day
(3)
Value
Code 2
(J-P)
3554.
Buy
10/2
~J
! 3555.
Buy
11/24
3556.
Sold
11/23
Sold
(part)
11/23
Sold
1/12
Sold
(part)
11/20
Sold
11/23
3561.
Sold
11/23
Buy
8/17
Buy
3/24
3564.
Buy
3/25
3565.
Buy
3/25
3566.
Transferred
(to line 1019)
6/1
3567.
Sold
(part)
10/30
3568.
Sold
11/2
3569.
Sold
11/3
3570. -AXA
Sold
1/12
(part)
3557.
3558. -AT&T
(part)
3559.
3560.
(part)
(part)
(part)
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 =$10~,001 - $1.000,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
R =Co~t (Real Estate Only)
V =Other
C =$2,501 - $5,000
HI =$1,000,001 - $5,000,0~0
L =$50,001 - $100,000
PI =$1,000,001 . $5,000,000
P4 =More than $50,0~,000
S =Assessment
W =Estimated
(4)
Gain
Code 1 .
(A-H)
D =$5,001 - $15.000
H2 =More than $5,D0~,000
M =$100,O01 - $250,000
P2 =$5,009,001 - $25,1tX~,000
T =C~h Market
(~)
Identity of
buyer/seller
(if private
transaction)
E =$15,001 - $50,000
Date of Report
9/1/2010
VII. INVESTMENTS and T RUSTS - inco,~e, ~a.,, ~..,a~io,~ a.~.a~, ,~o~. o/~o~ ~ d~endent chit~en; s~ pp. 34-60 of filing instru~ion8.)
NONE ~o reportable income, assets, or o-ansactions.)
~.
Income duflng
~scfipfion of Asse~
(including t~st a~e~)
repoaing p~iod
D.
0)
Amour
Co~e ~
0)
(~)
(1)
T~e (e.g.,
Value
Value
T~ (e.g.,
(A-~
air., r~t,
~ae 2
M~mW
buy, s~
or int.)
(J-P)
Code 3
(~
(2)
r~empfion)
(2)
(3)
Date
V~lue [ Gain
buyer/~ller
{if private
tr~saction)
3571.
Sold
2/20
3572.
Sold
3/3
3573.
Sold
3/3
3574.
Sold
3/3
Sold
3/4
@aa)
(pro)
(pan)
3575.
ldenti~ of
(Pro)
3576.
Sold
(pad)
3/10
3577.
Sold
3/I 1
Sold
3/17
3579.
Sold
3/I 7
(pan)
(part)
3580.
Sold
(part)
3/18
3581,
Sold
3/18
3582.
Sold
3/19
Sold
3/20
Sold
(part)
3/23
(pan)
(part)
3583.
(part)
3584.
3585.
Transferred
(to line 588)
6/I
3586.
Buy
8/13
3587.
Buy
12/9
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
O =$100,001 - $1,t~O0,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
R ~Cost (Real Estate On!y)
V =Other
C ~$2,501 - $5,000
ill =$1,000,001 - $5,000,000
L ~$50.00I - $100,060
P1 =$1,000,001 - $5,000,000
P4 =More than $50,0~0,000
S =Assessment
W =Estimated
D =$5,001 - $15.000
H2 =More Ihall $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,0~0
T ~Cash Marke~
$50,0~0
Date of Report
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - i .... e, value, transactions (Includes those of sponse and dependent children; seepp. 34-60 o.ffiting instruction~)
NONE (No reportable income, assets, or transactions.)
A,
Description of Assets
(including trust assels)
B.
Income during
reporting period
(l)
Place "(X)" after each asset
exempt from prior disclosure
Amount
Code 1
(A-H)
(~)
Type (e.g.,
div,, rent,
or int.)
C.
Gross value at end of
reporting period
D.
Transactions du~ng reporting period
O)
(~)
Value
Code 2
(J-P)
Value
Method
Code3
(Q-W)
3588.
3589.
(1)
(~)
(~)
(5)
Type (e,g.,
buy, sell,
redemption)
Date
Month Day
(~)
V~lue
Code 2
Gain
Coda 1
(A-H)
Identity of
buyer/seller
(if private
transaction)
Sold
(part)
10/29
Sold
10/29
(part)
(J-P)
Sold
(part)
5/13
3591.
Sold
5/I4
(part)
3592.
Sold
5/18
Buy
10/8
3594.
Buy
11/5
3595.
Sold
(part)
11/19
Buy
5/7
3597.
Buy
5/8
3598.
Buy
5/19
Buy
5/22
3600.
Buy
! 1/25
3601.
Sold
(part)
11/24
Transferred
(to line 520)
6/1
8/I 1
Buy
A ~$1,000 or less
F =$50,001 - $100,000
J =$15,000 or less
N m$250,001 - $500,000
P3 =$25,0~0,001 - $50,000,000
Q =Appraisal
U =Book Value
B ~$1,00I . $2,500
G =$100,091 - $1,000.000
K =$15,001 - $50,000
O =$50~,001 - $I,000,000
R =Cost (Real Estale Only)
V ~Other
Sold
(part)
11/24
C =$2,501 - $5,000
H I =$1,000,001 - $5,000,000
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,0~0
p4 =More than $50,000,000
S =Assessment
W =Estimated
D =$5,00t - $15,000
H2 =More than $5,000,00~
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =C~sh Market
E =$15,001 - $50,000
Date of Repo,
~a~-y., Maryanne T.
9/1/2010
B.
--Incme duriog
I reporting period
I-
C.
Gross value at end of
reporting period
[
~[(1) i (2) (1) (2)
(l) I (2) -(3) (4)
(5)
Value
Value
Type (e.g.,
!~om~eU~t i ype/eT .g.,
i
Code 2
Method
bay, sell,
i div., rent,
: (A-H) or int.)
(J-P)
Code 3
redemption)
!
(Q-W)
~
D.
Transactions during reporting period
Date
Value i Gain
! Month - Code 21 Code I
i Day
(A-H)
I (J-P)
l
:
3605.
Sold
(part)
11/23
Sold
(part)
1/12
Transferred
(to line 470)
6/1
Buy
3/4
Sold
(part)
1/12
3610.
Sold
(part)
5,/27
Buy
4/20
3612.
Transferred
(to line 389)
6/1
3613.
Sold
(part)
8!24
3614.
Buy
11/25
3615.
Sold
(part)
11/24
Sold
1 ~/24
3616.
(part)
3617. -BIOGEN IDEC INC
Buy
2/3
3618.
Buy
213
3619.
Buy
2/4
3620~
Buy
2/4
3621.
Buy
2/4
Identity of
buyeriseller
(jfprlvate
transaction)
B~, ~n~ ~-
9/~/~0~0
VII. I~ESTMENTS and TRUSTS - i~o~, ~t.~, t ...... no~ anctu~es a, ose of spouse and aemna~t chU~ren; seem. 34-~o offding h~s~uctions.)
NONE (No reportable income, assets, or ~ansactions.)
A.
Desc~ption of.~se~
( ncluding trust asse~)
B.
Income d~ng
re~ing ~6~
~t ]
C~]
I
(A-t~ ,
C.
Gro~ vMue at end of
reporting pedod
D.
T~nsactions during l~oning
T~e (e.g.,
Value
[ Value
T~e (e.g.,
di ......t,
or int.)
Co~e2
(J-P)
Meflmd
I
] C~e3
buy, sdl,
~ Date
~ Moa~~Y
redemption)/
Value Gzia
Idemi~ of
Code2 ~C~1 j
buyer/se~
(if pri~ate
(J-P) ~ (A-H)i
3622.
Buy
~5
3623.
Buy
2/6
3024.
Buy
2/18
3625.
Buy
2/26
3626.
Buy
4/20
3627.
Translated
(to line 873)
6/1
3628.
Buy
3629.
Sold
(paa)
10/30
3630.
Sold
(pan)
11/2
Sold
t 1/2
Sold
11/2
Sold
(pan)
11/3
Sold
11/4
i 1/5
3631.
(pan)
3632.
(paa)
3633_
3634.
8/10
(pan)
3635.
Sold
(pa~)
3635.
Sold
11/6
Buy
1/7
Buy
3/6
3638,
A =$1,000 or I~s
B -$1,@1 - $2,~
2. VMue C~cs
J =$15.~ or less
K =$15,001 - $50,~
L =$50.~1 -
DateofReport
earn, Ma,-y~n.er.
9/1/2010
VII. INVESTMENTS and T RUSTS - ioco.,., ,,.t,,e, transactions (Includes those of sp ..... nd dependent chRdren; se~ pp. 34-60 of.firing instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Assets
(including trust asse~)
Place "(X)" after each asset
exempt from prior disclosure
Income during/
reporting period
i~reporting
period
........
Amount
Code I
Type (e.g.,
] Value / Val.e I
di ......hi,
I Code 2
] Met~hod
Type (e.g.,
bo, y, sell,
Identity of
buyeffse!ler
transaction)
3639.
Buy
3/9
3640,
Buy
3/11
3641.
Buy
3/12
3642.
Bay
4/23
31~3.
Sold
511
"3644.
Transferred
(to line 663)
6/1
3645.
Buy
10/23
~47.-BNP PARIBAS
Buy
6/17
(part)
3648,
Transferred
(to line 245)
3649.
Sold
6/1
7/3
Sold
(pan)
8/26
"3651.
Sold
(pan)
10/6
36;2. "
Sold
(part)
1016
3653. -~MW
Buy
3/16
3654.
Buy
5/29
"3655.
Transferred
6/l
(part)
3650.
F-
A =51,000 or less
F -$50,001 - $100,000
J =515,000 o less
N =$250.001 - 5500.000
P3 =525.000,001 - $50,000,~0
Q =Apl~ralsal
U ~B~ok V~Iu=
B =51.001 . $2.500
G =5100.001 - $1,000.0O0
g =515,0(g - $50,0~
O =$500,001 - $1,000,000
R =C~ (Real Estate Only)
V ~O~her
C =52,501 - 15,000
HI =$1,000.001 - $5,000,000
L =]50,001 - 5100,000
PI ~$1,000,00| - $5.000,000
P4 =More ~h~n $50,000,000
S =Asses~m~llt
W =Eslimated
B
A
D =15,001 - $15,000
H2 =More the $5,000,000
M =$100,001 - $250,000
P2 =55,000,00I - $25.t~d,0~]
T =C~sh Market
~ =$15,001 - 550,000
Date of Report
9/1/2010
] Barry, Maryanne T.
,ions (Includes those of spo ..... d dependent children; see pp. 34-60 of filing instructions,)
lncome during
reporting period
(I) !
Amount
(2)
Type (e.g.,
3656.
(2)
Value
! Method
Code 3
[
Sold
8/27
Sold
1/12
(part)
3657. -Boeing Co
(2)
Date
I Munth Day
(3)
Value Gain
IdentiLy of
(part)
I 3658
Sold
(part)
3/4
3659 .
Sold
6/23
Sold
6/23
3662.
Buy
11!19
3663. -Bouygues
Sold
(part)
9,2/I 6
3664.
Sold
5/28
3665.
Sold
(part)
5/28
3"
Transferred
(to line 204)
6/I
i
3660.
3661 ....
(pa~)
i 3666.
3667.
Sold
(part)
10/8
3668.
Sold
(par.)
10/12
3669.
Sold
10/28
Transferred
(to line 884)
6/1
3671.
Sold
7/2
Buy
1/16
(part)
3670.-BP PLC
A =~1,000 or less
F =$50,001 . $ I00,000
.t ~$15,000 or I~s~
N =$250,091 - $500,000
P3 ~$25,000,001 - $50,000,000
Q =Apprnis~l
U =Book Value
B =$1,001 . $2,500
G =$100,001 - $1,000,000
K =$15,00t - $50,000
O =$500,001 - $1,000,000
R ~Cosl (Real Estate Only)
V =Other
C =$2,501 - $5,000
HI =$1.000,001 - $5,b~d0,1~10
L =$50,001 - $100,000
PI =$1,000,001 - $5,000,000
P4 =More if, am $50,000,000
$ =Assessrm-m
W =Estima,ed
D =$5,001 - $15,000
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T :,C.~.~h Market
E ~$15,001 - $50,000
]
Ii
Date of Report
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - i .... e, value, tr ..... lions flncludes those o/stn, use and dependent children; seepp. 34-60 of ruing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Desoription of Assets
(including t~s[ assets)
lnooB-aringmed
reporting period
! (l)
Place "(X)" after each asset
exempt from prior disclosure
(z)
C.
C~ross value at end of
reporting period
(1)
(2)-
li Value
Code 2
(J-P)
Value
Method
, Code3
D.
Transactions during reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
(2)
(3)
Date
Value
Gain
Month - [ Code 2 Code 1
,~ Day
! (J-P) . (A-H) [
3673.
Buy
3/11
3674.
Buy
3/12
3675.
Buy
6/1
3676.
Transferred
(to line 868)
6/1
3677.
Buy
7/2
3678.
Buy
8125
3679.
Buy
11/25
3680.
Sold
11/24
3681.-8!KOADCOM CORP
Buy
2/19
3682.
Transferred
(from line 889)
6/1
3683.
Sold
(part)
12/18
3684. -CADBURY
Buy
5/5
3685.
Buy
5/6
3686.
Buy
5/14
3687.
Buy
5/14
3688.
Buy
5/15
3689.
Buy
5/21
Identity of
buyer/seller
(ifprivate
FINANCIALDISCLOSURE REPORT
Page 222 of 277
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ;.eo...o ~.t.~ ~a.s.cno.~ a.et.aes a. .... zs~.o.~ ..a a.~...a..t ch,~-~; s~ pp. ~-~ o~ai.g i.~ao~.)
NONE ~o reportable income, assets, or transaction.)
Description of Asse~
(including trust asse~)
Place "(X)" after ~ch asset
exempt from prior disclosure
~
~
Income during
reposing period
]Amo~t
] C~e 1
(A-~
T)~e (e.g.,
~v. ~
or int.)
Value
Code 2
O-P)
~ Value
~ Me~od
~ C~e 3
T~e (e.g.,
buy, sell,
redemption)
Date Val~
Gain
Mon~- . C~e 2 Code 1 [
~ Day ~ (J-P) ~ (A-~
3690.
Buy
5/26
~3691.
Buy
5/28
3692.
Buy
5/29
3693.
Buy
5/29
3694.
Transferred
(to line 1025)
6/I
3695.
Buy
8/t2
3696.
Sold
(part)
11/6
3697.
Sold
11/9
Buy
1/28
~K
3699.
Buy
4/27
3700.
Buy
4/28
3701.
Buy
4/29
3702.
Buy
4/30
"~703.
Buy
5/4
3704.
Buy
5/1
3705.
Buy
5/4
6/1
~706.
A =$1,000 or less
F =:$50,001 - $] 00,000
J =$15,000 ol" less
N =$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q =Appraisal
U ~Book Value
B =$1.00] - $2,500
O =$100,001 - $1,00~,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
g =Cost (Real Estate Only)
V ~Other
Transferred
(to line 602)
C =$2,501 - $5,000
H I =$1,000,001 - $5,0(}0,000
L =$50,001 - $100,000
PI =$1.00~,0Ol - $5,000,0~~
P4 --More t~an $50,6(10,000
S =Ass~sa~n~
W =Estimated
D =$5,001. $15,000
H2 ~More tba~ $5,000,000
M =$I00,~01 - $250,000
P2 =$5,000,001 - $25.000,000
T =C~h Market
ld~fi~ of
buyerlse~er
(if private
E =$15,001. $5~),000
r,~te
9/I/2010
VII. INVESTMENTS an d TRUSTS - in ...... t.~, t ..... ",ions and.a~ more of st .... a dependent children; see pp. 34-60 of filing instructions.)
[]
[
i
B.
Income during
Code 1 !
(A-H) i
D.
Transactions during reporting period
i
C.
! Gross value at end of
div., rent,
orint.)
3707.
3708.
| Code 2
: (.LP)
i Method
! Code3
boy, sell,
redemption)
Buy
11/24
Sold
11/23
Sold
1/13
611
(pa~)
3709. -CAMPBELL SOUP CO
3710. -CANADIAN NATURAL RESOURCES
Sold
i 2/17
(part)
371 t.
Transferred
Buy
11/24
3713.
Sold
(parl)
11/23
37141
Sold
(part)
] 1/23
37 t 5. -CANON
Sold
(part)
4/27
Transferred
(to line 376)
6/1
Sold
(pan)
5il 9
Sold
(part)
5/20
Buy
1/12
3720.
Transferred
(to line 898)
6/I
372t.
Buy
7/27
Buy
116
3723:
Buy
1/7
3716.
3717. -CARNIVAL CORP
,,
3718.
3719.-CELGENE CORP
E
D
boyertseller
(if private
Date of Report
B~y, Maryanne T.
9/1/2010
B.
]
Income during
re~ng p~
0)
(2)
Amount T~e (e.g.,
CMe 1
div., rent,
(A-~
or int.)
C.
G~ss value at end of
reposing period
O) ~ (2)
Value ~ Value
Code 2 ~ Method
(J-P)
C~e 3
1
!~ (Q-~
D.
T~nsactions d~ng reposing peh~
~
(~)
T~ (e.g.,
buy, sell,
r~emptlon)
Identi~ of
buyer/seller
(if private
tran~tion)
3724.
Buy
1/8
3725.
Tmnsfe~ed
(to line 622)
6/1
3727.
Sold
(paa)
1 ~[3
3728.
Sold
(paa)
11/23
3729.
Sold
(paa)
11 [23
Buy
5/27
3731.
Buy
6/24
3732.
Buy
10/~2
3733~ -CISCO
Sold
(pa~)
1/12
Transfe~ed
(to line 4! 1)
6/1
Sold
1//12
3736.
Buy
4/27
Buy
4/28
3738.
Buy
6/1
3739.
Buy
6/2
Buy
10/6
3726.
Buy
11/24
3734.
3737.
1740.
A ~$1,000 or Jess
F ~$50,00 | - 5100,000
J =515,000 or less
N -$250,001 - 5500,000
P3 -525.000,001 - 1;50.000,000
Q =Al~ptaisal
U =B~ok Value
B =$1,00t - $2,5~0
G =5100,001 . $1,000,000
K=$15,001-550,000
O =$500.001 - $1,000,000
g =Cost (Real E~tate Only}
V =Other
C =I;2,501 - $5,000
HI ---$1,000,001 - 55,000,000
L=$50,001 -$100,000
PI =$1,00~,001 $5.000,000
P4 ~More than 1;50.L~00.000
S ~As.~ssmen~
W =Eslimaltxl
D =55,001 - 5] 5,000
I-I2 =More than 55,000,000
M=$100,001 -$250,000
P2 =$5,000,001 - 525~000,000
T -~zh Market
"
FINANCIALDISCLOSURE REPORT
Date of Report
9/1/2010
[ Barry, Maryannc T.
~, ~ .....
tio~ anclud~ those of s~ .....d depen~nt children; see pp. 34-60 of filing ~s~uctions.)
~
]
B.
C.
Income during
reposing p~
]~o~t
T)~e (e.g.,
~ C~e 1 div., real
~ (A-H) ]
oz int.)
D.
~
Date
Mon~ Day
r~oaing period
Value
; Code 2
~ (J-P)
Value
Method
] C~e 3
T3~e (e.g.,
buy, se~,
~ redemption)
Value Gain
Code 2 [ Code 1
(J-P) ~ (A-H)
3741.
Buy
1 I125
3742.
Sold
(pa~)
t 0/27
3743,
Sold
~pa~)
l !/24
~ 37~.
Sold
I 1/24
Transfe~ed
0o line 648)
6/1
Buy
7/29
TmnsferTed
(to line 368)
6/t
Sold
8/7
~ 3745, -COCA-COLA CO
~ 3746.
3747. -COMCAST
3748.
(part)
3749.
Sold
(part)
8/10
3750.
Sold
8/I 2
3751.
Buy
11/3
3752.
Sold
(part)
10/2
3753. -Conocophillips
Sold
4120
3754. -COSTCO
Sold
(part)
1/12
Sold
1/12
(part)
3755. -CRJ-1PI.,C
(par)
37511
3/18
3757.
Buy
N -$250,001 - $500,00~
O =$500,001 - $1,0o0,00o
P l =$1,000,001 -$5,0~3,000
5/11
P2 =$5,000,001 - $25,000,000
Idonti~ of
buyer/seller
(if private
N ....
fP ..... Reporting
Date of Report
B~-y, Maryanne T.
9/I/2010
VI I. I N V E S T M E N T S a n d T R U S T S - i.co ~,., votu e, ~ ..... ,io.~ (In cludes th .... f spo use and dependent c hildren; see pp. 34-60 o f filing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
B.
lneome during
C.
Gross value at end of
reporting period
reporting period
(1)
[Amount
Code 1
(A-H)
(2)
Type (e.g.,
div., reut,
or int.)
(1)
(2)
Value
Value
Method
Code 2
(J-P)
Code 3
(Q-W)
3758.
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
Gain
Code I
(A-H)
Sold
5/27
3759.
Transferred
(to line 190)
6/1
Transferred
(to line 507)
6/1
Sold
(part)
11/19
3762.
Sold
1 t/20
13
3763. -DAVITA
Buy
5/27
Transferred
(to line 399)
6/1
Sold
(part)
1/12
Sold
2/16
Transferred
6/1
Buy
6/25
Sold
7/17
(part)
3764.
3765. -DANONE (Formerly Groupe Danone)
3766.
(part)
3767.
(5)
Identity of
buyer/seller
(if private
transaction)
(part)
3770.
Sold
7/31
(par0
3771.
Buy
tl/9
Buy
I/8
3773.
Buy
l 1/25
Sold
11/24
3774.
(part)
A ~$1,000 or Ic~s
F =$50,001 - $100,~0
J ~$15,000 or less
N ~$250,001 - $500,0~0
P3 ~$25,0~0,0OI - $50,000,000
Q ~Appraisal
U =Book Value
B =$1,001 - $2,500
G =$llXI,0~l - $1,0~0,000
K =$15,001 - $50,000
O =$500,001 - $1,0~3,000
R =Cost (Real Es~te Only)
V =O~h~r
C =$2,501 - $5,00(I
HI =$I,000,001 - $5,000,0~90
L =$50,0(11 - $10O,00O
P1 =$1,000,001 - $5,000,000
P4 =More than $50,000,000
S =Assessment
W =Eslimated
D =$5,00| - $15,000
H2 ~More than $5,000,000
M =$100,001 - $250,1)00
P2 ~$5,000,~1 - $25,000,009
T =Cash Market
E =$15,001 - $50,000
[ BanT, Maryanne T.
Date of Report
911/2010
VII. INVESTMENTS and TRUSTS - i .... e, ~.~.e, t, .... ,aio,~ a.e~,ae. ,ko, e o/,po~ a.a a~e.a~.~ ~i~.~.; ~ ~. ~-60 o/~U~.~ i.,~a~o.~
---]
B.
Descriptior~ of Assets
(including trust assets)
Income during
reporting period
(1)
Place "(X)" aRer each asset
exempt from prior disclosure
[Amotmt
! Code 1
(A-i-b
C.
(2)
Type (e.g,,
div., rent,
or int.)
D.
Gross value at end of
reporting period
(1) (2)
Value
Value
Code 2
Method
(J-P)
Code 3
(Q-W)
i (2)
(3)
(4) [
Va~u
Date
[ ..........
__j
Sold
]/9
Sold
(part)
1/8
3777.
Sold
(part)
3/6
3778.
Sold
3/10
Sold
3/10
3/10
Sold
3/I ]
3782.
Sold
(part)
3/11
3783.
Sold
3/12
Buy
10/30
Sold
(part)
3/2
3786.
Sold
(part)
3/3
3787.
Sold
(part)
3/3
3788.
Sold
(part)
3/4
3789.
Sold
3/10
3790.-Ebay lnc
Buy
1/5
Transferred
(to line 722)
6/1
(part)
3779.
Gain[
,}
(5)
Identity of
buy~r/seHet
(if private
t .... tion)
(part)
3780.
Sold
(part)
3781.
(pan)
379L
A =$1,000 or less
F $50,001 - $I00,000
J =$15,000 or less
N =$250,001 - $500,000
P3 ~$25,000,001 - $50,000,(~)0
Q ~Appl~is~[
U =Book Value
B ~$1,001 - $2,500
G =$100,00l . $1,0~0,000
K ~$15,001 - $ 50,000
O =$500,001 - $ I.(~OO,000
R =Cost (Rca| E.cta~e Only)
V =Other
C =$2,501 - $5.000
HI =$1,000,001 - $5,000,000
L =$50,001 - $ 100,000
PI =$ t,00~,00! - $5,000,090
P4 =Mo~ than
S -Assessment
W =Estimated
D =$5,001 - $! 5,000
H2 =More than $5.000,000
M =$ 100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =C~sh Market
E =$15,001 - $50,000
Date of Report
9/1/2010
B~rw, Maryannel.
I
VII. INVESTMENTS and TRUSTS - ~.co~,.. v.~n., t~ ..... no., a,,a.d~, tho.e o/$p ..... d ~e~,..~.t ~hi,~...;
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Place "(X)" atler each asset
exempt from prior disclosure
i
::
B.
lneome during
repotting period
i (l)
(2)
C.
Gross value at end of
reporting period
(1)
Value
Code 2
(J-P)
(:)
Value
Method
Code 3
D.
Transactions during reporting period
O)
(2)
Type (e.g.,
Date
Value i Gain
buy, selJ,
Month - Code 2 i Code 1
redemption)
D~y
(.Lp) (A-H)
Buy
3/31
3793.
Buy
4/1
3794.
Transferred
(to line 906)
6/1
Buy
1/15
3796.
Buy
I!l 6
3797.
Buy
1/20
3798.
Transferred
(to line 910)
6/1
3799.
Sold
(part)
7/31
3800.
Sold
(part)
]l/10
Buy
6/24
Buy
12/14
Sold
(part)
10/2
Sold
(part)
1/l 2
Sold
2/16
Sold
2/17
3805.
(pa~)
3806.
(part)
3807.
Sold
(part)
~/13
3808.
Sold
3/16
N -$250,~1 - $500,000
O *$5~,~1 - $1,~0,~
PJ =$1,000,001 - $5,~0,~0
~ =$5,~,001 - $25,0~,0~
Identiu of
buyer,seller
(if private
t ......
Date of Report
[
Barry., r~manne T.
9,1/2010
]
VII. INVESTMENTS and TRU S TS - incom~ vat.e, transactions (Includes ~ose of ~ou .... d doendent children; see pp. 34-60 of fdtng ms.actions,)
NO~ ~o reportable income, assets, or transactions.)
~.
~.
Descripti~ of Assc~
Income du~ng
re~ing pen~
c.
reposing ~fiod
0)
{2)
T~e (e.g.,
buy, se~,
redemption)
Date
Mon~ Day
3809. -ERICSSON
Sold
4/3
3810.
Sold
(pa~)
4/3
381 I.
Sold
4/6
3812,
Sold
(pa~)
4/6
3813.
Sold
(paa)
4/7
Sold
4/7
0) [ (2)
Place "(X)" a~er each assel
exempt ~om prior disclosure
3 814.
Amour
Code ]
(A-~
T~e (e.g.,
div., rent,
or int.)
0)
Value
Code 2
(J-P)
(2)
Value
~e~
C~e 3
(Q-~ ........
Value [ Gain
C~e 2 ] Code I
(J-P)
(A-~
(pan)
3 815.
Sold
417
3 816.
Sold
4/8
3 817.
Sold
4/8
3818.
Sold
4/8
(paa)
3819.
Sold
(paa)
4/9
3820.
Sold
4/23
382 I.
Sold
(paa)
4/29
3822.
Sold
4/29
Sold
5/13
3823.
(pa~)
3824.
Sold
5/14
3825.
Sold
(pan)
5/15
K
J
Idemi~ of
buyer/se~er
(if private
transaction)
Date of Rept)rt
Barry, Maryanae T.
9/1/2010
VII. INVESTMENTS and TRUSTS - ~nco~,~. wt,,. ,~,n~o,~ a~t~a~ t~o~ o~ ..... ~ d~ndent c~dren; see pp. 34-60 of filing i~uctions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Asse~
(including t~st ~s~)
Plane "(X)" after ~h asset
exempt from prior disclosure
:,
~
B.
C.
Income during
~po~ing ~ri~
D.
Transactions during r~g period
[ 0)
(2)
(~)
(2)
(~)
Amour
C~ 1
(A-~
T~ (e.g,,
div., ren~
or int.)
Value
Code 2
(J-P)
Value
Method
Code3
T~ (e.g.,
buy, sell,
r~emption)
(3)
(~)
Da~
Value
Mon~ - I Code 2
Day
[ (I-P)
(2)
Gain
Code I
(A-W)
3826.
Sold
5/25
Sold
(part)
1/12
Transferred
(to line 237)
6/I
3829. -EXXON
Sold
6/15
3830. -FANUC CO
Sold
1/13
3831.
Sold
(part)
1t14
3832.
Sold
(part)
Z~4
3833.
Sold
2/4
3834.
Sold
3/5
3835.
Buy
5/29
3836.
Transferred
(to line 406)
6/1
Buy
6/3
3838.
Buy
6/17
Buy
2/26
3840.
Sold
(part)
5/26
3841.
Buy
7/28
3842.
Buy
11/4
i 3828,
(part)
A =$1,000 or less
F ,$50,001 - $100,000
J -$15,000 or less
N -$250,0t31 - $500,000
P3 =$25,000,001 - $50,000,000
Q -Als)raisal
U ~.Book Value
B ~$1~001 - $2,500
G =$100.00! - $1,090,000
K =$15,001 - $90,000
O =$500,t)O1 - $1fl?t~,000
R =Cos| (R~I tLcta t e Only)
V =Other
C =$2,50| - $5;000
HI =$1,O00,001 - $5,000,[100
L =$50.0~1 - $100,000
PI =$1,O00,001 - $5,000.0~O
P4 =More than $50,000,000
S -Asse~sracat
W =Estilr~ted
D-$5,OOI - $15,000
H2 =More tha~ $5,000,0~0
M =$I00,001 - $250,000
P2 =$5,000,001 - $25,000,000
T ~Cas~ Marke~
(~)
ldenti~ of
buyer/seller
(if pfvate
r~,meofP .....
Barry, M~ry~nne T.
Reporting
Date of Repor~
9/1/2010
[
~ome during
reposing pe~
(0
(~)
]Amount T~e (e.g.
C~e 1
~v., rea~,
(A-~
or inl.)
(~)
Value
Me~od
C~e3
(Q_~
Sold
10/30
3844.
Sold
11/2
3845.
Sold
(pa~)
11/3
3846.
Sold
(pa~)
11/4
3847.
Sold
11/5
3848.
Sold
(pa~)
11/6
Sold
10/26
Buy
8/10
385L-Genentech Ine
Sold
2/13
Sold
2/13
(paa)
3852.
(paa)
3853.
Sold
(paa)
2/13
3854.
Sold "
(pan)
2/13
3855.
Sold
(pa~)
2/17
3856.
Sold
(pa~)
~17
3857.
Sold
2/I 8
Sold
(pa~)
1i12
Sold
5/20
13859.
A =$1,000 oF less
B =$1,00l - $2,5~
C -$2,501 - $5,0~
D ~5,~1 - SI 5.0~
(5)
ldenti~ of
buyer/seller
(if~vale
transaction)
E =~15,~I - $50.~
N ....
fP ..... Reporting
Date of Report
~)arw, blaryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS - in ...... ~u,, t ...... tions (Includes those of sp ..... d dependent children; see pp. 34-60 of fding 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
reporling period
(1)
(2)
Amount
Code 1
(A-H)
Type (e.g.,
div., .rent,
or int.)
C.
Gross value at end of
reporting period
(1)
Value
Code 2
(J-P)
3860.,
(2)
Value
Method
Cede 3
(Q-W)
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
Sold
5/20
Sold
5/21
3862.
Sold
(part)
8/24
Buy
11/16
3864.
Buy
11/I6
3865.
Buy
11/18
3866.
Buy
I 1/19
3867.
Buy
11/19
3868.
Buy
11/19
3869.
Buy
11/20
Buy
10/30
3871.
Buy
11/2
3872.
Buy
11/3
3873.
Buy
11/4
3874.
Buy
] 1/5
3875.
Buy
1 t/6
3876.
Buy
11/9
(part)
386!.
(part)
A -$1,000 or less
F ----$50,001 . $100,000
J =$15,000 or less
N -$250,0OI . $500,000
P3 =$25,000,001 - $50,000,000
Q ~Appraisal
U =Book Vahse
B =$1,001 - $2,500
G =$100,001 - $1,000,000
K ~$15,001 - $50,0~0
O =$500,001 - $1,000,000
R =Cost (Real E.qtate Only)
V ~O~her
C ~$2,501 - $5,000
HI =$1,000,001 - $5,000,0(10
L =$50,091 - $100,000
PI =$1,000,001 - $5,000,000
P4 =More lhan $50,000,009
S =Assessment
W =Estimated
Gain
Code 1
(A-H)
D =$5,001 - $I5,000
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 ~$5,000,001 - $25,090,000
T =C~sh Marke~
(5)
Identity of
buyer/seller
(if private
transaction)
"7
E =$15,001 - $50,000
9/1/20~ 0
B.
Income during
I reporting period
C
Gross vatue at end of
reporting period
Ainu
o ntt[ TYPe (e.g.,
i Code 1 I div., rent,
(A-H) [
or int.)
Valuc
Code 2
(J-P)
I
3877.
D.
Transactions during reporting period
I Value
~
Method
Code 3
(Q-W)
Type (e.g.,
boy, sell,
redemption)
Date
Month Day
Buy
11/10
Valne
Code 2
(J-P)
Gain
Code 1
(A-H)
3878. -GIVAUDAN
Sold
(pan)
4/24
3879.
Sold
(part)
6~29
Sold
(part)
7/16
4/27
3880.
Sold
7/16
3881.
!3882,
Sold
7/17
Sold
(p~rO
3884.
Sold
4/27
3885.
Transferred
(to fine 815)
611
3886,
Sold
(part)
11/24
9/3
3887.
Buy
3888.
Sold
(part)
I1/10
3889.
Sold
(part)
11/23
Sold
(part)
4/27
3891.
Sold
(part)
8/11
Sold
8/11
3892.
(p~)
3893.
Buy
A =$1,000 or less
1" =$$0,001 - $100,000
J =$15,000 or less
N =$250,001 - $500.00D
P] =$25,000,001 - $50,000.000
Q ~Ap,m sisal
U =Book Vah~
Identity
buyer/seller
(ifprivale
transaction)
B =$1,00t - $2,500
G =$100,001 - $1.0~0,000
K =$15,001 - $50,1~0
O =$509,04)I - $1,1h30,000
R =Cc.SI (Re~I E.skttc Only)
V =Other
11/24
C -$2,50t - $5,000
D =$5,(K,L - $15,000
E =$15,0OI - $50,000
!ll -$1,000,001 - $5,000,000
H2 =More than $5,000,000
L =$50,001 - $100,000
M =$i00,OOl - $250,000
P1 =$1,000,001 - $5,000,000
P2 =$5,000,001 - $25,000,000
P4 =More Lh~
S ~.4.ssessmem
T :-C~sh Market
W =Estit~mted
~eo~re~o~ ~ep~g
~aa~ry, Maryanne T.
DateofReport
9/1/2010
VII. INVESTMENTS and TRUSTS -i.~o,~., ~at~.. t~a..a~ao,~ o.cl~a.s tho,e o~ ...... ~ a~..a~., ~i~a~.;
NONE ~o reportab& income, assets, or ~ansactions.)
~.
" ..............
~ ............
B.
Description of Asse~
(including t~t asse~)
Income during
~po~ing p~
0)
(~) [
(2)
(3)
(~)
T~e (e.g.,
buy, sell,
r~emption)
(5)
Da~
Mo~ Day
Value
~de 2
(J P)
G~n
C~e 1
(A-~
Identi~ of
buy~/se~er
(ifp~vate
Wansaction)
3894.
Sold
(pan)
11/23
3895.
Sold
11/24
Sold
(pan)
3/16
3898.
Sold
(part)
3/17
3899.
Sold
(part)
3/18
3900.
Sold
6/23
Buy
3/6
Transferred
(to line 152)
6/1
3903.
Sold
(pan)
8./24
3904.
Sold
8/27
3905.
Sold
(part)
8/27
3906.
Sold
8/27
Buy
11/13
3908.
Buy
l zr2
3909.
Buy
12/2
3910.
Buy
12/3
~o~t
C~e 1
(A-~
(2)
D.
T~e (e,g.,
div., reng
or int.)
Vahe
Code 2
0-P)
Vflue
~ Me~od
~
C~e 3
(Q-~
0)
(pan)
(2)
3896. -~SB~S ~C
3902. -HE1NEKEN NV
(part)
F =$50,001 - $100,000
O =$100,001 - $1,000,00~
HI =$1,000,001 - $5,OOO,000
N ~$250.001 - $500,090
1~3 =$25,000.001 - $50,0~X),000
O ~$500,001 . $1,000,000
PI ~$1,00~,001 - $5,000,000
Pa =More ~han
P2 =$5,000,00t - $25,000,000
FINANCIALDISCLOSURE REPORT
Date of Report
9/1/2010
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - ~. ....... ~,~, tr ..... tlons (Includes those of sp ...... d dependent chitdren; see pp. 34-60 of fdlng instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
(1)
(2)
Amount Type (e.g.,
Code I
div., tent,
(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.
Trarisactions during reporting period
(1)
Type (e.g.,
buy, sell,
redemption)
(2)
Date
Month Day
Sold
(paa)
6/3
Sold
7114
3914.
Sold
(part)
9/2
Sold
(part)
1/6
Transferred
(to line 385)
6/1
Sold
(part)
1/12
3918.
Sold
(part)
515
Buy
1129
3920.
Buy
3/25
3921.
Buy
4/3
3922.
Buy
418
3923.
Buy
5/29
3924.
Buy
6/17
3925.
Buy
6/18
6/1
(3) (4) ]
Value
Gain
Code 2 Code t
(A-H)
0-P)
(5)
Identity of
buyer/seller
(if private
transacdon)
3911. -HEWLETT-PACKARD CO
3912. -HOLCIM LTD
3913.
(part)
3916.
3926.
Transferred
(to line 214)
Buy
7/9
3927.
A =5 t,000 or leas
F =550,001 - $100,0~0
J =$15,000 or less
N =$250,001 - 5500,000
P3 -$25,000,001 - $50,000,000
Q =Appraisal
O =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
HI =51,000,001 - $5,000,000
L =$50,001 - $100,000
PI =$1,0~O,001 - $5,090,000
P4 =More thaa $50,000,000
S =Assessment
W =Estimated
D =$5,~O1 - $15,000
H2 =More than $5,000,000
M =$ 100,00! - $250,D00
P2 =$5,000,001 - $25,000,000
T =Cash Market
E =515,001 - $50,000
Page 23 6 of 277
[ Date of9/I/2010
Report
] Barry, Maryanne T.
Income d~ng
[
~.. rep~ng pefi~
(2)
Place "(X)" alter each asset
~x~mpt from prior disclosure
3928.
0)
Amour ! T~ (e.g.,
~ Code I ~ div., rgnL
(A~ ~ or inL)
Value
Code 2
(J-P)
Buy
11/24
(2)
V~ue
Me~od
C~e 3
(~)
T~ (e.g.,
b~y, ~11,
rede~tion)
(2)
(3)
O)
Date
Vat~
Gain
Mon~ - ~ Code 2 Code 1
Day
(J-P)
(A-H)
(5)
IdentiW of
6fprivate
3929.
Sold
(pan)
11]24
3930.
Sold
(pa~)
11/24
Sold
(pan)
3/6
3932.
Sold
3/6
3933.
Sold
3/9
T~nsfe~ed
(to line 261)
6/I
Buy
2/16
3936.
Buy
3/16
Buy
4/20
3938.
Buy
4!20
3939.
T~nsfe~ed
(to line 832)
6!1
Sold
(pan)
~16
Sold
(pa~)
2!16
3942,
Sold
(pa~)
2/16
3943.
Sold
2/17
Buy
8/18
3937.
3940. -INDITEX
3941.
3944.
A =$1,0~0 or less
B -$ 1,091 - $2,500
C ~$2.501 - $5.000
D -$5,001 - $ ! 5,0b~
2. Value C~e~
J =$15.~ or 1~
K =$15,~i - 150,~0
L =~50.001 - $100,0~
M =$1~,~1 - $250,~0
E =$15.~ 1 - $50,~0
9/1~010
~
~
~
B.
Income during
r~aing ~od
C.
Gross vaMe at end of t
repoaing period
(2)
Am~t
]Code]
~ (A-H)
~
T~e (e.g.,
div.,re~t,
or int.)
()) ] (~)[
Value
,: Code2
(J-P)
~)
] (2)
(~)
(4)
VMue
] Date
Mon~-}Code2
Day :~ (J-P)
Sold
(paa)
3/19
3946.
Sold
3/I 9
3947.
Sold
4/6
Buy
2/23
Gain
Codel
(A-~
39~9.
"l=nsfe~
(to line 924)
6/1
3950.
Sold
(paa)
10~3
395 I.
Sold
10~7
3952.
Sold
{pa~)
10/28
3953.
Sold
(paa)
10/29
Sold
10/29
Sold
10/30
Sold
11/2
Sold
1/22
Buy
3/31
3959.
Sold
(paa)
4/27
Transfe~ed
6/1
(to line 93~)
1 ~/24
M
~ 3954.
(paa)
3955.
(p~)
3956.
3960.
3961.
2. V~ue C~
Buy
J =$15,0~)or less
K =$15,~)1 - $50,~
L -$50,001 - $1~,000
M =~1~,~I - $250,000
(5)
Identi~ of
buyer/seller
(ifp~vate
~ansaction)
Da~ of Rel~rt
B~r, ~lar~nn~ T.
9:~:~0~ 0
]
VII. I~ESTMENTS and TRUSTS -i~o.,, ~.,, . .... ctions anclud~ those ,s~ .... d dgp~nden, children; seepp. 34-60 o/fding ins.actions.)
NONE (No reportable income, ~sets, or ~ansactio~.)
A.
B.
C.
D.
Description of A~se~
(including ~s~ ~scts)
Income during
r~ng ~od
Amour I T~ (e.g.,
Code 1 ~
(A-~ [
~
&v., rent,
or inl.)
Value
Value
T~e (e.g.,
C~e 2
(J-P)
Me~od
~de 3
buy, sell,
redemption)
~
~(QW)
3962,
~ 3963. -IRON MOUNTAIN INC
39~,
Buy
Value
11/23
Tra~feg~d
(~o line 941)
11/19
6H
3!6
3/9
Said
Sold
Gain
Code 2 ~ Code l
(J:P) ~ (A-~ ~
[
I
Sold
fpaa)
3967.
Date
Mon~ . Day
~
(pa~)
3968.
Sold
(pa~)
3II0
3969,
Sold
(paa)
3/11
3970.
Sold
3/12
Buy
5/13
3972.
Buy
5./19
3973.
Buy
6/3
3974.
Buy
6/29
3975.-JGC CaRP
Buy
4/28
3976.-JOHNSON COrRaLS L~
Sold
9/24
Buy
5/18
3978.
Buy
5/18
E
]
ldentiw" of
buyer/sell~
(if private
tran~ction)
[
~
~
Date of Report
~arry, Maryanne T.
VII. INVESTMENTS and TRUSTS - i~o.,. ~,t~e. ,,~,,,ao~, a~,.t~a~, ~ho,, o:,r .... ~ decadent children; see pp. 34-60 of f cling
NONE ~o reportable income, assets, or ~ansactions.)
De~pti~ of~se~
(including ~ assets)
Place "~)" a~ ead~ asset
exempt horn prior disclosure
~
3979.
Income during
reposing p~i~
(2)
0)
0) [ (2)
Amo~i [ T~e (e.g.,
Value
Code 1 [ div., real
C~e 2
~(A-~
orint.)
(J-P)
~
]
,
~
~
Buy
5/19
Buy
~
V~ue
Me~od
C~e 3
(Q-~
0)
T~e (~.g.,
buy, sell,
redemption)
10~9
3986.
3987.
3988,
3989.
3990.
399I.
3995,
(J-P)
(4)
Gain
C~el
(A-~
[C~2
Tmnsfe~
(to line 1121)
~1
Transfe~ed
(to line 786)
6/1
Buy
7/28
Buy
1/6
Buy
1/8
Buy
1/9
Buy
]115
Buy
2/17
Buy
5/29
Transfe~ed
(to line 947)
6/1
Buy
7/16
Sold
5/18
Sold
5/19
Sold
(part)
5/!9
Sold
(pag)
5/20
(pan)
A =~,I,000 or I e..~ s
F =$50,00| - $100.000
J =$15,00~ or less
N =$250,001 - $500,000
P3 ~$25,000,001 . 550,000,0(10
Q =Appraisal
U =Book Value
0)
Valu*
]de~ti~ of
buyer/se~
(if private
transition)
,
~
(2)
Date
Mon~Day
3980.
3981.
B =$I.001 - $2,500
G =5100,00! - $1.000,000
K =$15,001 . $50,0~0
O -$500,001 - $1.090.000
R =Cost (Real Estate Only)
V --x)thcr
C =52.501 - $5.000
HI ~$1,00~,001 - $5,000,000
L =$50.001 o $100.000
Pl =$1,000,001 - 55.000.000
P4 =More than 550.000,000
S =Aszes~meat
W =Estimated
D =$5.00 t - 515.00~
H2 =More than 55,000,000
Iv! =$100.001 - $250,000
P2 =$5,000.001 - 525.0~0.000
T =Cash Market
E =$15.001 - $ 50,000
Daze of Report
9/1/20] 0
VII. INVESTMENTS and TRUSTS - i .... e, ~t~e, ~, .... aio~s a~a.aes ,ho~ oz-spo.~e a~,~ a,p~.a~t ~ita,~; see pp. ~4-6O of filing instruction~)
[--] NONE (No reportable income, assets or transactions.)
A.
Description of Assets
(incloding trust assets)
B.
ln~me during
i reporting period
(~)
Place "(X)" after each asset
exempt fiom prior disclosure
(2)
i
3996.
3997. -KINDER MORGAN
I 3998.
3999.
4000,
4001.
C.
D.
O)
(2)
0)
Value
Code 2
(J-1~)
Value
Method
Code 3
Type (e.g.,
buy, sell,
redemption)
(Q-~9
(~) [ - (3)
(4)
j_._~
Sold
5/21
Sold
(part)
2/13
,l
Sold
(part)
5/15
Sold
8/14
Sold
9/10
Sold
9/11
9/14
(pan)
(part)
(part)
4002.
Sold
(part)
4003.
Sold
9115
4004.-KINGFISHER PLC
Sold "
1/6
Transferred
(to line 241)
6/1
Buy
11/25
Sold
I1/24
Sold
(part)
1/12
Sold
4/17
40t0.
Transferred
(to line 380)
6/1
" 4011.
Sold
(part)
Ill18
4012.
Sold
(par()
11!19
(part)
4008.-K.P~FT FOODS
4009.
(p~rt)
(5)
Identity of
buyer/seller
(if prix, ate
t ...... tion)
Date of Report
9/~/2o10
[
VII. INVESTMENTS and TRUSTS - i~ ....... ~u,, tr ..... tlons (Includes those of sp ..... a dependent children; se, pp. 3#-6a of f!ting instructions,)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
B.
Income during
reporting period
Vahic
Value
D.
Transactions during reporting period
c.
Gross value at end of
i reporting period
Type (e.g.,
buy. sell,
t
redemptioo)
Oay
Sold
1/19
4014.
Sold
(part)
1/20
4015.
Transferred
(to line 210)
6/1
4016.
Buy
11/25
4017.
Sold
(part)
tl/24
Buy
4019.
Buy
10/19
4020.
Buy
10/20
4021. -LINDE
Buy
8/5
4022.
Buy
8/6
4023. -LOP,.EAL
Sold
(part)
1/12
4024.
Buy
4/27
4025.
Transferred
(to line ~147)
6/1
4026.
Buy
11/25
4027.
Sold
(part)
11/24
4028.
Sold
(part)
11/24
4029.
Sold
12/7
(part)
A =$1,000 or less
B =$I.00] - $2,500
C =$2,501 - S5.~
D =S5,~1 - $15,00~
Identity of
buyer/seller
E =~15.~1 - $50,~0
Da~e of Report
Barry, Maryanne T.
9/I/2010
B.
Income during
r~porting period
(1)
Amount
Code 1
] (A-H)
(2)
Type (e.g.,
div., rent,
or int.)
!
C.
Gross value at end of
reporting period
(i) [ (2)
Value
[ Value
Code 2 ] Method
(J-P)
ii Code(QdW)3
D.
Transactions during reporxing period
(~)
Type (e.g.,
buy, sell,
redemption)
(3) (4)[
GainI
Value
Code 2 Code 1
(I~P)
(A-H)
(2)
Date
Month Day
t~ansaction)(ifpdvate
Sold
(part)
1/12
Transferred
6/1
0o line 328)
4032.
Buy
8/! t
Buy
8/17
Sold
(part)
2/4
4035.
Sold
(part)
2/4
4036.
Sold
(part)
2/5
Buy
1/22
4038.
Buy
1/22
4039.
Buy
l/23
4040.
Buy
1/23
4041.
Buy
1/26
4042.
Buy
1/27
4043.
Buy
1/28
Sold
2/12
3112
(part)
40~5.
Sold
6/17
(part)
4046. -MEDTRONIC INC
Buy
(5)
ldentity of
bnyer/seller
9/1/20~0
Income ~ng
Gross value at end of
reposing ~fiod
, reposing ~i~
" 0) ~ (~)
O)
(Z)
(0
Amour : T~ (e.g.,
Value ] V~lue ] T~ (e.g.,
Code ] [div., ren~
Code 2
Memod
~t buy, se~,
(A-~ [ or int.)
~ (J-P)
C~e 3
r~emption)
~ .....
(Q-W)
(3)
(4)
Value
G~n
Code 2 ~de 1
(J-P)
{A-H)
,
4047.
Buy
3/12
4048.
Buy
3/13
4049.
Buy
4/20
4050.
Transferred
(to line 557)
6/I
Buy
5119
4052.
Buy
5/20
4053.
Buy
5/21
4054.
Buy
6/3
4055.
Transferred
(to line 1036)
6/1
4056.
Buy
11/20
4057.
Buy
! 1/24
4058.
Sold
(part)
11/23
4059. -MEfRO AG
Buy
5/19
Transferred
(to line 803)
6/1
Sold
(part)
l/l 2
4062.
Sold
3/31
Transferred
(to line 308)
6/1
(p~)
4063.
2. VM~ C~~
J ~$15.~ or ~ss
K ~$15.001 - $50,~
L ~$50,~ 1 - $ I ~.000
M =$100,~ ! - $250,~0
(5)
ld~ti~ of
buyerlseller
(if private
~action)
Date of Report
Barry, Maryanne T.
9/1/2010
VII. INVESTMENTS and TRUSTS -i, eo .... a~e, tr .... t~ons (Includes those of sin .... d ,te~ndent d~ilaren; see I~P. ~4-60 ofiling inswuctlo,r.)
NO~ ~o reportable income, assets, or transactions.)
A.
D~cnption of Asse~
(including trust asse~)
Pla~ "(X)" after each asset
exempt ~om prior ~closure
B.
Income during
reposing period
C.
Gra~ value at ~d of
r~o~ing period
(1) ~ (2)
~ Amour ~ T~e (e.g.,
C~e 1
din., rea~
(A-~ t~ or int.)
[
]
(l)
(2)
Value
Value
C~e 2
Meth~
C~e 3
(J-P)
(Q-~)
Buy
5/13
4065.
Buy
5/27
4066.
Transfe~ed
(to line 1039)
6/1
Sold
(pa~)
10/28
Sold
10/29
4067.
Buy
11/30
Gain
C~e 1
(A-~
(5)
]dentiW of
buyer/seller
(if private
~ction)
4068.
4069.
~)
4070. -~TA ~ACTUR~G CO LTD
Buy
3/I 8
4071.
Buy
3/19
4072.
Buy
6/25
4073.
Buy
7/16
4074.
Buy
12/7
4075.
Buy
12/8
Buy
8/17
4078.
Buy
8/! 9
4079.
Buy
8/21
4080.
Buy
8/25
A =$1,000 or le*s
F ~-$~i0,001 - $100,0~O
J =$1 ~;,000 or less
N =$250,001 - $500,000
P3 -$25,000,001 - $50,000,000
Q ~App~aisal
U =Book Value
B =51,001 - 52.500
G =5] 00,001 - ~l,0b~d,000
K =515,001 - $50,000
O ~$500,001 - $1,000,000
R =Cost ~Rebl Estate Only)
V =X3thcr
C =$2,501 - $5,000
ttl =$1,000,(~)1 - $5,000,000
L =$50,001 - 5100,000
PI =$1,000,001 $5,000,000
P4 =More than,
S =Assessment
W :Estimated
D =$5,00l - $t5.000
H2 =More than
M =$t00,001 - $250.000
P2 =$5,000,001 - $25,000,0~0
T =Cash Market
Barry, Maryanne T.
Date of Report
9/1/2OLO
VII. INVESTMENTS and TRUSTS - into,,,, v,rue, t ...... tion~ (Includes those of spouse and dependent children; see pp. 34-60 of Iding instructions.)
NONE (No reportable income, assets, or transactions.)
B.
Income during
reporting period
A.
Description of Assets
(including trust assets)
(1)
Place "(X)" after each asset
.... pt from prior disclosure
(2)
C.
Gross value at end of
reporting period
(l)
(2)
] Value
] Method
I Code3
D.
Transactions during reporting period
(1)
Type (e.g.,
buy, sell,
I
redemption) ]I MonthDay IIJ-P) I(A-r0
(Q-W)
Code 21 Code 1
(5)
Identity of
buyer/sellex
lifprivato
transaction)
Buy
11/23
4082.
Buy
I 1/24
4084. -Nestle SA
Buy
3/16
4085.
Buy
5/29
4086.
Transferred
(to line 171)
6/1
4087.
Buy
11/25
4088.
Sold
(part)
11/24
4089.
Sold
(part)
11/24
Transferred
(to line 513)
6/1
4091.
Sold
(part)
9/3
4092.
Buy
11125
4093.
Sold
(part)
10/6
4094.
Sold
(part)
11/24
4095.
Sold
(part)
11/24
Sold
(part)
5/28
Transferred
(to line 962)
6/1
4097.
A =$1,000 or less
F --$50,001 - $100,004)
J =$15,000 or less
N =$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q =Apptaisa~
t) ~Book Value
B =$1,001 - $2,500
G =$ 100,001 - $1,000,000
K =$15,001 - $50,000
O ~$500,~01 - $1,000,000
R =Cost (Real Estate Only)
V =Other
C =$2,501 - $5,000
l I I =$ 1,000,001 - $5.000,000
L =$50,001 - $ 100,000
PI ~$!,000,001 - 55,000,000
P4 =More than $50,000,000
S =AsSessment
W =Estimated
D =$5,001 - $15,000
H2 =More than 55,000,009
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =Cash Market
E =$15,001 - $50,000
B~n-y, Maryanne T.
911/2010
B.
C.
D~cfiption of Asse~
(i~cluding lmst ~ls)
~
[
Income during
repoaing p~od
O)
(2)
(I)
Amount
T~e (e.g.,
div., rent,
or int.)
Value
C~e2
(A-H)C~e--1
)
(J-P]
D.
[ (2)
[
[
[
[
Value
Methofl
Code 3
(~
0)
T~e (e.g.,
buy, m~,
r~emption)
(2)
~ Date
3)
, V~ue
[ Mon~[~(J-P)
~2
[ Day
~
:
~
4098.
Buy
6/30
4099.
Buy
10/30
4100.
Buy
11/2
410J.
Buy
11/3
Buy
5/13
4103.
Buy
5/14
4104.
Buy
5/28
4105.
~y
6/3
~ 4106.
T~nsfe~ed
(to line 531)
6/I
4107.
Sold
8/19
~ 4108.
Sold
~/19
: 4109,
Sold
8/19
8/]9
8/20
(pa~)
41 I0.
Sold
(pa~)
~ 111.
Sold
~paa)
4] 12.
Sold
8/21
(paul
4113.
Sold
8/24
(pa~)
~ 1 ] 4.
Sold
8/25
14)
Gain
Code I
(A-~
(5)
]denti~ of
b~yer!seH~
(if private
tr~saction)
Date of Report
Barry, Maryanne T.
9/112010
A.
Description of &~se~
(including ~st asse~)
O) ~ (2)
Place "(X)" ~er each asset
.... pt ~om prior disel .....
C.
~o~ value at end of
:~ reining p~
O)
, Value
[ Code 2
~ (J-P)
4115.
D.
Tmn~etions d~ng r~oaing
(~)
(~)
Value
Me,or
Code 3
(Q-W)
T~ (e.g.,
buy, ~,
~emption)
Sold
{paa)
4116. -NO~STROM ~C
Tmnsfe~ed
6/1
(m line 791)
(2)
(3)
Date
Value
Moa~- ~ Code 2
Day [ (~-P)
~
~
8/26
4117.
Sold
10/20
] 4118.
Sold
(pan)
10/21
4119.
Sold
10/22
412~.
Sold
(pan)
10/22
412t.
Sold
(pan)
10/23
4122.
Sold
(paa)
10/26
4123.
Sold
10/27
Sold
10/28
Buy
6/11
4126.
Buy
6/11
4127.
Buy
6/12
Buy
6/3
29.
Buy
6/4
4130.
Buy
7/16
4131.-NOVART1S AG NAMES
Buy
1/5
@a~)
4124.
(pan)
N =$250,~1 - $500,~0
O =$5~,~1 - $1,~,~
P~ -=$l,0~,00l. $5,~0,~
(4)
Gain
C~e 1
(A-H)
P2 =$5,~,00! - $25,000,0~
(5)
Id~ti~" of
buyer/sere,
(if private
t~sactio~)
Date of Report
9/1/2010
i Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - ~.,o~, ~.~, t~ ..... tio,~ (lm:Indes tho~e of sp ..... d dependent children; see pp. 34-60 of fding instructions.)
NONE (No reportable income, assets, or transactions.)
Description of Asset~
(including trust asset.s)
Income during
repoaing period
(2)
(0
Amount i Type (e.g.,
Code 1
div., rent,
(A-H)
or int.)
] 4132.
Sold
10/5
Sold
5/22
Transferred
(to liue 969)
6/1
Buy
10/29
J
(part)
ii 4136.
Sold
(part)
1016
4137.
Sold
11/11
Sold
(part)
} 1111
Sold
5/15
Sold
(part)
5/18
Sold
6117
(part)
4139,
i
(part)
i 414]. -OIVINICOM GROUP
(part)
4142.
4143. -Paychex Inc
(p~rt)
4144.
Transferred
{to line
6/I
4145_
Buy
12/18
4146.
Sold
11/2
4147.
Sold
! 1/2
4148. -PEPSICO
Buy
1/13
(part)
N =$250,~1 - $500,~0
O =$5~,~1 - $1,~,0~
P I =$1,~,~1 - $5,~0,~0
~ =$5,0~,001 - $25,0~,0~
(5)
Identity of
buyer/seller
(ifpriwte
Na me of Person Reportin g
Date of Repor~
9/1/2010
aarry, Maryanne T.
]
i
I
Income during
reporting period
[ O)
Place "(X)" after each asset
exempt from prior disclosure
(~-)
(0 l (2) I
Value
Code 2
(J-P)
Value
Me,or
Code 3
(Q-W) .....
O)
Type (e.g.,
buy, sell,
redemption)
(~)
Date
Month Day
(3) i (4)
(5)
Value , Gain
Code 2 i Code I
]dentity of
buyer/seller
(if private
transaction)
(J-P) I (A-H)
i
4149.
Sold
5/27
4150.
Transferred
(to line 266)
611
Buy
5/14
4152,
Sold
(part)
5/26
4153.
Transfened
(to line 764)
6/1
4154.
Buy
10/29
4155.
Sold
(part)
12/t
Sold
9/21
Sold
11/18
Buy
6/23
Transferred
(to line 845)
6/1
Sold
(part)
1120
4163.
Sold
1/21
Sold
(part)
5/22
Sold
5/26
(part)
4158.
4! 59. -PEUGEOT SA
4160.-PHILIP MORRIS INTL
4161.
4165.
(part)
A .$1,000 or 10.~
F =$50,001 - $100,IX)O
J =$15,l~Vd ot le~
N -$250,001 - $500,000
P3 =$25,000.001 - $50,000.000
Q -Apl~taiszt
13 -Book V~|ue
B =$1,001 . $2,500
O =$100,001 - $ I .@)fl,000
K =$15,001 - $50,000
O -$500,001 . $1,00,~,000
R =Cosl (Real Estate Only)
V =Other
C =$2.501 - $5,000
H ! =$1,0~),00! - ~5,000,000
L =$50.001 - $!00.0~
Pl =$1,000,001 - $5,000.000
P4 =More ~an $50,009,000
S =Assessment
W =Estimated
D =$5.091 - t 15.000
112 =Mo:e th~a $5,000,000
M =$lO0,~Ot - $250,000
P2 =$5,000,001 - $25,000,000
T -=Cash Market
E -$15.0~. S50.000
Date of Report
9/1/2010
B~y, Maryanne T.
]
VII. INVESTMENTS and TRUSTS - in ....... t.e, transactions (Includes those of sp ...... d dependent children; see pp, 34-60 of flling instructions.)
--]
B,
Income during
i
reporting period
O)
Place "(X)" after each asset
.... pt from prior disclosure
(Z)
Idiv.,
D.
Tmnsacfons during reporting period
C.
Gross value at end of
~ reporting period
(l) ] ---i2)
] Value
] Code 2
! Value
] Method
(Q-W)
(l)
Type (e.g.,
buy, sell,
[ (2)
{3) [ (4)
Identity of
buyer/seller
transaction)
Transferred
(to line 452)
6/1
Buy
11/24
Sold
11/23
(part)
Buy
5/19
4170.
Buy
5/20
41 7..
Buy
5/2I
4] 72.
Buy
6124
4173.
Transferred
(to line 1042)
6/1
Transferred
(to line 695)
6/1
4175.
Buy
7/27
Buy
4/23
4177.
Buy
10/27
4178.
Sold
(part)
I1/20
Buy
7/2
4180.
Sold
(p~n)
8/12
4181.
Sold
8/13
Transferred
(to line 974)
6/1
4182.-QUALCOMM INC
A =$1,000 or less
F =I50,001 - $100,000
J "$I 5,000 or less
N -$250,001 - $500,000
P2 -$25,000,001 - ~50,000,O(K)
Q =Appraisal
U -:Book Value
B -$1,001 - $2,500
(3 =$100,001 - $1,000,000
K =$15,001 - I50,000
O =$500,00~ - $1,000,000
R -~2osl (Real Estate Only)
V ~Other
C =$2,501 $5,009
HI =$1,000.001 - $5,000,000
b =$50,001 - $100,000
PI =$1.000,001 - $5,000,000
P4 =More than $50,009,000
S =A~essment
W =Estimated
D =$5,001 - $|5.~00
It2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000,000
T =Cash Market
E =$15,001 - ~5.O,000
Date of Report
9/1/2010
B~r~, raa~ya.,~e X.
VII. INVESTMENTS and TRUSTS - income, ~ine. ~ ..... tio~ (Incinde~ those of sp ..... d dependent children; seepp. 34-60 of ffding instructions.)
[-~
l
:
Income during
reporting period
(2)
i O)
Place "(X)" after each asset
exempt from prior disclosure
I
i.Amount
: Code 1
Type (e.g.,
die., rent,
I
(l)
Value
Code 2
(z) I
Value
Method
(l)
Type
buy, sell,
(~) i (3)
Month -
1~)
(5)
Code 2
l~ansa~tion)
(Q-W)
i 4183.
Sold
8111
i: 4185.
Buy
11/18
4186.
Buy
]1/19
Sold
(part)
1/12
4188.
Buy
5/29
4189.
Transferred
(to line 223)
6/1
4190.
Buy
11/25
4191.
Sold
(part)
11/24
4192. -Richemont
Sold
(part)
1/19
4193.
Sold
(part)
1/19
4194.
Sold
(part)
1/19
4195.
Buy
8/4
4196.
Buy
8/4
Buy
3/11
4198.
Transferred
(to line 347)
611
4199.
Buy
7/1
Date of Report
9/I/2010
~rry, Maryanne T.
VII. INVESTMENTS and TRUSTS -i .... e, valne, tnmsactlons (Includes those of spouse and dependent children; see ptx 34-60 of fding instructlotts,)
---] NONE ~o reportable income, assets, or ~ansactio~.)
A.
Descfipti~ of Asse~
(including trust assets)
Place "(X)" ~ .... ha.et
exempt frompnordisclosu~
B.
In.me during
r~oaing ~ri~
Amount~ T~e(e.g.,
C~e 1 ~ ~v.,reat,
(A-~ :~ orint.)
D,
Traditions d~ng r~oaing
G ...... I~ at end of
reposing period
Value ~ Value[ T~(e.g.,
Code2
Memod b~,sen,
(J-P)
r~emprion)
~ Code3(Q_W)~::
t(if~fivatetion)
4200,
Buy
8/25
4201,
Buy
l 1/25
4202.
Sold
(part)
11/24
Sold
(part)
2/16
4204.
Sold
(pa~t)
5/4
4205_
Transferred
(to line 702)
6/I
Buy
3/17
! 4207.
Buy
3/18
4208.
Buy
3/19
4209.
Buy
3/24
42t0.
Buy
3/25
4211.
Buy
3/25
42 t 2.
Sold
(part)
9/2
4213.
Sold
(part)
9/3
Buy
3/19
4215.
Sold
(part)
1/12
4216.
Buy
4/20
F =$50,001 - $100,000
J =$15,000 or less
N =$250,001 - $500,000
O =$100,001 - $1,000,000
K =$15,0OI - $50,000
O ~$500,001 - $1.000,000
H 1 =$1,0t~,O01 - $5,000,090
L =$50,00t $ I OO,0!)O
PJ =$ k000,001 - $5,000,00~1
Idenfityof
buyer~semr
I
PageFINANCIAL253 of 277DISCLOSURE REPORT I Barry, Maryanne T.
Date of Report
9/1/2010
A.
Description orAssets
(including trust assets)
, (l) I ~2)
Place "(X)" after each assel
exempt from prior disclosure
C.
G~oss value at end of
reporting period
(I)
Value
. Code 2
(J-P)
(2)
Val.ue
Method
Code 3
D.
Transactions during reporting period
(l)
Type (e.g.,
buy, sell,
redemption)
~ (Q-W)
(~)
(3)
Buy
5/27
4218.
Transferred
(to line 312)
6./]
14219.
Buy
8/17
Sold
1/12
(part)
4221.
Sold
315
4222.
Sold
316
3/10
4223.
(pan)
(part)
Sold
(part)
4224.
Sold
(part)
3111
4225.
Sold
(part)
3112
Sold
3/16
Sold
(part)
3/17
[ 4228.
Sold
3/18
4229.
Sold
(part)
3/19
4230.
Sold
(part)
3/20
4231.
Sold
3/23
4226.
! 4227.
i
(pan)
(part)
(part)
4232.
Sold
3/23
4233.
Sold
(part)
3/23
J"
(pan)
(5)
Identity of
buyer/seller
i
4217.
(4)
Date
Value
Gain
Month - Code 2 Code l
I Day
, (l-P) [ (A-H)
(if private
transaction)
9/1/2o10
VII. INVESTMENT S and TRUSTS - i,~o,~e, ~.~, , ..... ~,io~ tlncl,~des tho~e o[sl~ ...... a dependent children; see pp. 34-60 of fding instructions,)
NONE (No reportable income, assets, or transactions.)
A.
B.
C.
D.
Description of Assets
(including trust assets)
Income daring
reporting period
(I)
Place "(X)" after each asset
exempt from prior disclosure
i Amount
Coda 1
(A-H)
(~)
I3,pe (e.g.,
div., rent,
or int.)
(I) ~ (~)
Value
Code 2
(J-P)
4234.
! Value
:: Method
Code3
(Q-W)
]
(i)
l (~)
~3)
Type (e.g.,
f Date
Value
Code 2
buy, sell,
redemption)
i Month [ Day
i
Sold
3/24
Sold
3/26
Gain
Code I
(A-H)
I ! (I-P)
i
(part)
4235.
(part)
4236.
Sold
3/27
4237.
Sold
(part)
3/31
4238.
Sold
(part)
5/27
4239.
Sold
6/I
6/3
(part)
(part)
4240.
Sold
(part)
4241.
Sold
(part)
6/3
Buy
11/25
4243.
Sold
(part)
11/24
4244.
Sold
(part)
] 1/24
4245. -SANOFI-AVENTIS
Sold
2/19
4246. -SANDVIK
Buy
8/4
Buy
8/5
Buy
4/27
Transferred
(to line 681)
6/1
Sold
12/8
!4247.
4248. -SAP
4249. -SAP AG Spon ADR
4250.
(pan)
N ~$250,001 - $500,000
0 =$500,0~1 - $] ,090,00(~
Pl =$1,000,00l - $5,000,090
P2 =$5,00(!,00t - $25,00~,0~)
Identity of
buyer/seller
(if private
transaction)
Date of Rel~Ort
9/1/2010
VII. INVESTMENTS and TRUSTS - ~com,. v,~.,, ~ ....~.s an~t.d~,hos, o/,p ..... a ~.a~.t ~i~a~,.;
~ NONE ~o reportable income, assets, or transactions.)
A.
B.
C.
Description of ~se~
(including ta~t asse~)
Income duf~g
repo~ng period
:: O) : ~)
Place "(X)" aL .....hisser
exempt ~om prior disclosure
[Amo~t:. T~e(e.g.~
nt,
~ Code
1 ~ ~ ......
(A-~
or int.)
O)
Value
Code2
(J-P,
[ (Z)
[ Value
Me,or
Code3
(Q-~.
O)
T~e(e.g..
buy, ~lt,
redemption)
(2)
(3)
Sold
1/12
4252.
Sold
5/20
4253.
Sold
(pan)
5~1
4254.
Sold
5/22
4255.
Sold
5/26
4256.
Sold
(pa~)
5/27
Sold
5/28
5/28
5/29
Sold
(pa~)
5/29
Sold
61
(paa)
~a~)
4257.
(4) ]
Date
Value Gain [
Mou~- C~e 2 Code l ]
Day
(J-P) [ (A-H)
~an~ction)
(~)
ldenfi~of
buyeffsdler
(ifp~vate
(pa~)
4258.
Sold
(pan)
4259.
Sold
~)
4260.
4261.
(pag)
4262.
4263~
Sold
(pan)
6/2
Sold
6/3
(pa~)
4264.
Sold
6/4
(p~a)
4265.
Sold
(pa~)
6/11
4266.
Sold
(pa~)
6/!2
4267.
Sold
(paa)
6/I 8
A =$1,000 or less
F ~50,001 - $100,000
3 -$15,000 or tess
N =5250,001 - $500,000
B =$1,001 - $2,500
G ~$100,001 - 51,000,000
K =5t5,001 - $50,000
O =$500,001 - 51,IY0(I,000
C ~$2,501 - $5,000
HI "$1,0G~O,001 - $5,090,000
L =$50,001 - $lO0,000
PI =$1,000,001 . $5,000,000
D =$5,001 - 115,000
H2 =More th~ $5,000,000
M =$100;001 - $250,000
P2 ~$5,00~.001 - $25,000,000
Q =Appraisal
U =Book Value
S =Assessment
W =Estimated
T :=Cash Market
E =515,0~1 - $50,000
Date of Reporl~
B=~r~y, M~ra..e T.
9/I/,2010
VII. INVESTMENTS and TRUSTS - i.~o,~e, vol.,, ,, .... aen, (Includes those of sp ...... d dependent children; see pp. 34-60 of f cling instructionx)
NONE (No reportable income, assets, or transactions.)
[]
B.
C.
D.
Description of Assels
(including trust assets)
Income during
reporting period
(l)
Place "(X)" alter each asset
exemp! from prior disclosure
Amount
Code I
(A-H)
(~)
Type (e.g.,
div., rent,
or int.)
(1)
(~)
O)
Value
Code 2
Value
Method
Type (e.g.,
boy, ~ll,
(J-P)
Code 3
(Q-W)
redemption)
4268.
4269.
I (2)
13)
Sold
(part)
6/22
Sold
6/23
(par0
42?0.
Sold
(part)
6/24
4271.
Sold
6/25
Buy
8/14
4273.
Buy
8/14
4274.
Buy
8/17
Transferred
(to line 277)
6/1
4276.
Buy
10/I 9
4277.
Bhy
10/29
4278.-SCHNEIDER ELECTKIC SA
Buy
5/29
4279.
Sold
(purl)
6/10
4280.
Sold
(par~)
7/7
4281.
Sold
7/7
Buy
5/18
4283.
Buy
5/19
Buy
5/20
4284.
/
U =B~k Value
V ~r
W =Estimated
(5)
(~)
Identity of
buyeffsdler
(if private
transaction)
Date of Re0orr
9/I/2010
VII. INVESTMENTS and T RUSTS - i, eo ..... t.,. ,~.n,.cao,~ a.a.d~ tho,, o! ,,o~ ~d d,,,,~, ~a~:
NONE ~o reportable income, ~sets, or transactions.)
A.
Description of Asse~
(including t~st assc~)
~
~
~
B.
Income during
reposing peri~
C.
Gross value at end of
r~o~ing
C~e 2
Me~od
r Code3
(j_p)
i (Q-~V)
D.
T~nsac~ons ~ng r~o~ing
buy, sell,
redemption)
Moa~ - I ~e 2 i Code I ~
Day
[~1~ ~~
4285.
Transfe~ed
(to line 1 ~6)
6/1
4286,
Buy
9118
4287.
Buy
9/21
4288.
Buy
9[22
4289.
Buy
10/6
4290.
Buy
10/28
4291.
Buy
10129
4292.
Buy
10/29
Sold
(part)
1/12
4294.
Transferred
(to line 485)
6/1
4295.
Sold
8/3
4296.
Sold
(part)
9/3
4297.
Sold
9/4
Sold
(part)
6/23
4299.
Sold
(part)
6/24
4300,
Sold
6/25
6126
buyer/sdler
(ifprivate
tr~saotion)
(part)
430]]
Sold
A =$1.000 or less
F =$50.0(11 - $100,000
J =$15.000 ot less
N -$250.001 - $500,000
P3 ~25.000.001 - $50,000.000
Q -AppraLsal
1.1 =Book Value
B =$1,001 - $2.500
O ~$100.001 - $1.000,000
K =$15.001 - $50.000
O =$500,001 - $1,006.000
g =Cost (Real Estate Only)
V --Other
C =$2,501 - $5.000
HI =$I.000.001 - $5.000.000
L =$50.001 - $I00.000
fl =$1.000.00l - $5,000,000
P4 ~More ~h;m $50,0~0.000
S ~Asse,ssmcnt
W = -Estim~od
D =$LO01 - $15.000
1t2 =More than $5.000,000
M =$100.001 - $250.000
P2 o~$5.000.001 - $25.000.000
T =C~h Market
E =$15,001 - $50.0t10
~,, M~..~ ~.
Page 25 8 of 277
9/~/20~0
VII. I~ZESTMENTS an d TRUSTS - z~o~,, ~,. ~ ....no~ anclu~ those ofspo~e ~d dependent children; seep~ 34-60 offdlng ins~ncaon~)
NONE ~o reportable income, assets, or transactions.)
A.
Desc~pOon of Asse~s
B.
0)
Place "(X)" aRer each asset
C.
Income during
(~)
T~e (e.g..
buy, sell,
Date
Month -
Buy
10/30
4303.
Buy
! 1/5
~I
4304.
Buy
11/16
4305. - SHIP,-E
Buy
2/2
4306.
Buy
2/3
Buy
2/3
i 4308.
Buy
214
4309.
Buy
2/I 6
4310.
Buy
2117
4311.
Buy
2/18
4312.
Buy
2/I9
4313.
Buy
3/8
4314.
Buy
4/20
i 4315.
Buy
614
Transferred
(to line 984)
611
Buy
11/25
Sold
(part)
11/24
I Amo~t
: Code I
D.
T)~e (e.g.,
~v., ren~
VMue
Code 2
"
4;7.
4316.
l 4317.
4318.
Value
Me~od
A =$1,000 or less
F -$50,001 - $100,000
J =$15,000 or I~.~s
N =$250,001 - $500.000
P3 =,$25,000,001 - $50,t)00,0N1
Q =Appraisal
U :Book Value
15 =$1,001 - $2,500
G ~$100,0Ol - $1,000,000
K =$] 5,001 - $50.000
O =$500,001 - $1,000,000
R =Co~t (R eml F.~tale Only)
V ~3ther
C =$7,501 - $5.000
HI *$1,O00,001 - $5,000,000
L =$50,001 ~ $100,000
PI =$l,O00,0Ol - $ 5,090,0OO
P4 =More than
S =Assessment
W =Eslimated
Value , Gain
~ Code 2 [ Code 1
D =$5,001 - $15,000
H2 =More than $5,000,000
M =$100,001 - $250,000
P2 =$5,000,001 - $25.0t30,000
T ~ash Market
IdentiW of
buyerl~fler
E =$15,091 -
s ....
fP ..... Reporting
l)ate of Report
Ba~.y, Ma~r~nn~ X.
Page 25 9 of 277
[
t~e, transactions (lnclud~ those of spouse and dependent children; seepp. 34-60 of.lding instructions.)
9/1/2010
B.
Description of Assets
~i
Income during
reporting period
(1)
(2)
/Lolotmt
[ Code 1
, (A-m
C.
D.
reporting period
(1)
i ~2)
Type (e.g.,
div., rent,
Value
Code 2
orint.)
(J-P)
,I
Value
Method
~ Code3
i (Q-W)
I
(l)
(~)
Type (e.g.,
buy, sell,
redemption)
(~)
Date
Month -
Day
(~)
Gain
! Code 2
Code 1
I (J-P)
(A-H)
1/12
4320.
Transferred
(to line 825)
6/1
432 !.
Sold
(part)
8/11
Sold
9/1
(part)
4323.
Sold
part)
4324.
9/2
Sold
9/2
Buy
2/20
4327.
Buy
3/16
6/]
4328.
Transferred
Buy
8/10
4330.
Buy
11/25
4331.
Sold
(pan)
l 1/24
Sold
3/6
"
Sold
2/20
Buy
1/5
F "~$50,001 - $I00,000
J ~$ I 5,000 or le~s
N ~$250,001 - $500,000
G ~$100,001 - $1,000,0~0
K =$15,001 - $50,000
O =$500,001 - $1,000,0~
HI =$1,000,001 - $5,000,~00
L --$50,001 - $100,000
Pl =$i,000,001 - $5,000,000
Identity of
buyer/seller
(ifprivate
transaction)
L.
Sold
(part)
4322.
(5)
Value
Date of Report
B~., Maryanne T.
9/I/2010
VII. INVESTMENTS and TRUSTS - ~o,~, ~at~, .~ae,io.s a.et~ ,~ose o/~r"~ ~ ~r~.t ~hU~; s~ ~p. 34-60 of filing instructions
NONE (No reportable income, assets, or transactions.)
A.
B.
Description of Assets
(including trust asseLs)
Income during
reporting period
(l) (2)
Amotmt
Type (e.g.,
Code 1
div., renL
(A-H)
or tht.)
C.
D.
t
}
(t)
Value
Code 2
(~-P)
(2)
Value
Method
]
(Q-g0
Code3
i
(1)
Type (e.g.,
buy, sell,
redemption)
Date
Month D~y
!
I
14336.,
(3) 1(4),
Value Gain
Code 2 I Code 1
, (I-P) (A-H)
-.~-[ _-~
1/5
Buy
1/6
Buy
1/6
4337.
,I
14338.
i
[
4339.
4340.
i 434 t -
Buy
"
,
4342.
[
I
1 4343.
4344.
1
1/8
Buy
1/8
Buy
1/9
Sold
4/2
Sold
(part)
4/] 6
4345
Sold
(part)
4/17
4346
Sold
(part)
4/20
4347.
Sold
(part)
4/22
Sold
(part)
4124
4348.
I
4349.
Sold
(part)
.
I
4351.
Sold
(part)
Sold
5/5
Sold
5/6
A -$1,000 or less
F =$50,001 - $11KI,0~
J =$15,000 or le~
N ~$250,001 - $500.000
P3 ~$25,000.001 - $50,000,000
Q =Appraisal
U .=Book Vahle
4/28
I|
4352
4/27
4350.
transaction)
(2)-
Buy
fS)
Identity of
buyer/seller
(ifprivate
B =$1,001 - $2,500
G =$100,0OI - $1,0D0,000
K =$15,001 - $50,000
O ~$500,00! . $1,0~,000
R -~2ost (Real E.gate Only)
V =Other
(part)
C =$2,5Ol - $5,000
HI =$1,000,001 - ~5,000,000
L =$50,001 - $100,000
Pl =$],O00,001 - $5,000,000
P~ =Mo.x th~ $50,000,000
S ~A~sessment
W
D =$5,001 - $15,000
t12 =bloke than
M =$100,001 - $250,000
P2 =$5,000,001 - $25,000.000
T =C~h Market
E =$15,00t - $50,0~0
Date of Report
[
91112010
a.rry, Maryanne T.
I
t.., tr .... ctions (Includes those of sp .......d dependent children; see pp. 34-60 of J~dlng instructions.)
B.
Description of Assets
(including Irust assets)
Income during
reporting period
C.
D.
I Value
Type (e.g.,
Date
Value
Moat.h- ~ Code2
Day
(J-P)
Gain
Cadet i
(A-H)
4353,
Sold
5/7
4354,
Sold
(part)
5/14
4355.
Sold
(part)
5/I 5
4356.
Sold
5/19
Transferred
(to line 547)
611
4358.
Buy
8/25
435~.
Buy
11125
4360.
Sold
{part)
11124.
4361.
Sold
11/24
4362.
Sold
(pan)
12,8
Buy
8/21
4364.
Buy
8/24
, 4365.
Buy
8/24
4366.
Buy
8/28
4367.
Buy
8/28
4368.
Buy
9/2
Sold
~pan)
1f)/28
(part)
2. Value Codes
(See Column,s CI and D3)
J =$15,000 or less
N ~$250,001 - $500,000
K =515,001 - $50,000
O =$500,(K11 - $l,000,00O
L =$50,001 - 5100,000
P I =$1,000,001 - $5,00[},006
J.
JJ
M =$100,001 - $250,000
P2 =$5,000,~01 - $25,00D,000
Identity of
buyer/setler
(if private
Date of Repot1
9/~/2ol o
[ Barry, Maryanne T.
VII. IN VESTMENTS and TRUSTS - i ........ ~,,, ~ ..... ~o~ ~nclu~ those of sp ..... ~ dependent chgdren; seepp. 34-~ of filing ins~ucaons.)
NONE ~o reportable income, ~sets, or ~ansactions.)
A.
~efipfion of Asse~
(including trust asse~)
B.
Income during
repoaing peri~
-- ~)
(~)
.~o~t T~e (e.g..
Code 1
div., renk
(A-~ I
or int.)
C.
~oss value at end of
repoaing ~riod
(0
Val~
C~e 2
(J-P)
(~)
Value
Me~od
C~e 3
D.
Transactions d~ng r~o~ng pefod
O)
Y~ (e.g.,
buy, sdl,
~edempdon)
(2) (3) (~ ]
Date t Value Gain[
Mon~ - Code 2 1 Code 1
Day [ (J-P) ~ (A-H)
4370.
Sold
10/28
4371.
Sold
(pan)
10/29
4372.
Sold
10/29
Sold
1/12
4375.
Buy
5/15
4376.
Sold
(part)
5/22
4377.
Transferred
(to line 233)
6/1
Buy
12/7
4379.
Buy
1218
4380,
Buy
12/18
Buy
4/20
4382.
Buy
6/1
4383,
Transferred
(to line 167)
6/1
43941
Buy
10/6
Sold
1/12
6/1
(part)
4386.
Transferred
(to line 161)
N =$~50.~1 - $50(1.~
O =$5~,~1 - $1,~,0~
PI =11,0~,001 - $5,~,~
~ =$5,0~,001 - ~,~0,0~
t
(5)
Id~tiff of
buyex/sellm
(if private
9/1/2o10
] Barry, Mary~nne T.
VII. INVESTMENTS an d TRUSTS - i.~ ..... In~, tr ..... lions (Includes those of ~p ...... d dependent children; see pp. 3d-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
[]
Description of Assets
(incloding trust assets)
Place "(X)" afte ....
h asset
-exempt from prior disclosure
i Income during
[ reporling period
Value
Code 2
~
Value
Method
Type (e.g.,
buy, sell,
Identity of
buye~/seller
transaction)
(Q-%V)
4387.
Sold
(part)
8/17
4388.
Sold
(part)
8/24
4389,
Sold
(part)
8/24
Sold
(part)
1/13
439 I.
Transferred
(to line 44!)
6/I
4392.
Sold
8/3
Sold
8/26
Transferred
6/1
(part)
4393.
(part)
Buy
8/14
4396.
Buy
8/17
Transferred
(to line 995)
6/1
4398.-TARGET CORP
Sold
(part)
1/12
Transferred
(to line 594)
6/1
Sold
(part)
314
4401,
Sold
(part)
3!5
4402.
Sold
(part)
3113
4403.
Sold
(part)
3/18
4399.
A =$1,000 or less
F -550,001 - 5100,000
J -515,000 or 1.-~
N -$250,001 - 5500,000
t3 ~525,000,001 - 550,000,000
Q =Appraisal
U =Bo~k Value
B =$1.001 - 52.500
G =$100f!Ol - $1,000.000
K =$15,001 - 550,000
O =$500,00! - 51,000,~)00
R =Cost (Real Estate Only)
V =Other
C =52,501 - $5.000
HJ =$I,000,001 - $5,000,000
L =$50,001 -$t00.000
PI ~$1.000.001 - 55.000,000
P4 =More ~aan 550,000,000
S =Assessment
W =Estimate4
D =$5,001 - 515,000
112 =More Ihza $5,000,000
M =$100,001 - $250.000
P2 =$5.000.001 - $25.000,000
"1- --Uasb Market
E =$15,001
DateofReport
Barry, Maryanne T.
9:1/2010
B.
lnome during
L r~o~ng pe6od
r~o~ing ~
C.
D.
Gross value at ~ of
Valu~
C~e 2
(J-P)
V~ue
Me~od
C~e 3
T~e (e,g.,
buy, se]t,
redemption)
~te
Va~ue
Mon~ - I Code 2
Day
(I-P)
Sold
(paa)
3/19
4405.
Sold
(paa)
3,.20
~-
SoId
5~7
4407.
Sold
5/28
4408.
Sold
(pa~)
5/29
Sold
6/1
~09.
(pa~)
4410.
Sold
6/2
Buy
9/t 7
4413.
Buy
9/t8
4414.
Buy
11/20
4415.
Buy
11/24
4416. -TF;S CO
Buy
5,~9
Buy
1/15
4418.
Buy
2/26
4419.
Buy
5/22
4420.
Transferred
(to line 553)
6/I
Col~
C2)
Gain
Co~ I
(A-~
lden~ty of
buyer/sell~
(if private
Date of Report
1
Barry, Maryanne T.
9/J/2010
I
VII. INVESTMENTS and TRUSTS - i ....... t~,, tr ..... tions (Includes those of sp ..... d dependent children; seep.o. 34-60 of Jding instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Asse~
(including trust assets)
B,
Income during
reporting period
C.
Gross value at end of
reporrng period
O) [ (~)
Place "(X)" after each asset
exempt from prior disclosure
Amount!
Code 1
Type (e.g.,
div., rent,
O)
(2)
Value
Code 2
Value
Method
D.
Transactions during reporting period
(2)
(1)
!
Type (e.g.,
buy, sell,
(3)
Date [ Value
Month - Code 2
(4)
(5)
Gain
Code 1
Identity of
buyer/seller
4421.
Buy
11!24
4422.
Sold
(part)
11/23
4423.
Sold
1 ]/23
Spinoff
from line 4428
3/30
Sold
3/30
Sold
4/9
Sold
4/9
~part)
4424. -TIME WARNER CABLE INC
4425.
(part)
4426.
(part)
4427.
442SI -TIME WAR.NER INC
Sold
1/12
(part)
Sold
3/30
4430.
Sold
(part)
5/19
4431.
Sold
5/19....
Buy
10/8
4433.
i3~y
] 0/9
4434.
Buy
10/13
4435.
Buy
!0/14
,I
4436.
4437.
Buy
10/15
J
Buy
10/23
~ .....
fPerson Reporting
Date of Report
Barry, Maryanne T.
9/1/2010
[
Income cluing
, r~oaing ~riod
{.1)
(2)
Amo~i T~e (.g,.~
~ Code I ~ div.. ~nt.
or inL)
](A-~
(1)
(2)
Value
VaIue
Code 2
Me~od
(J-P)
, Code3
(1)
T~ (e.g..
buy. s~ll.
r~emption)
(5)
lden ti~ of
buyer/seller
(if priva~
443~.
Buy
10/29
Buy
3/]?
4~0.
Sold
9/2
(pan)
4441.
Sold
9/4
4442.
Sold
9/8
Sold
1/I2
Sold
12/18
4446, -TRANSOCEAN
Buy
11/16
Transferred
(to line 492)
6/1
4448.
Sold
8/I2
44491
Buy
I 1/20
4450.
Buy
1 1124
445 ].
Buy
11/25
4452.
Buy
1 1/26
4453.
Buy
11/27
4454.
Buy
11130
4444. -TOTAL SA
Sold
3/20
L
(part)
! 4~45.
F =$50,001 . $100,000
J =$15,000 or less
N =$250,001 . $500,000
G =$100,001 - $1,000,000
K =$15,001 - $50,000
O =$500,001 - $1,000,000
8 ! =$1,000,001 - $5,000,0~O
L =$50,00I - $100,000
P 1 =$1,000,001 - $5,000,000
IJ =Book Value
V =Oilier
W =Estimated
N ....
fP ....
Date of Repot!
Reporting
9/l/2010
A.
De~fiption of Asse~
(including ~st asse~)
B.
lneome during
re~ng ~i~
C.
Gross value al end of
~po~ing p~iod
0)
(2)
0)
~ount
Code I
, (A-~
T~ (e.g..
Value
Code 2
(J-P)
div., ren~
orint.)
]
~2~
Value
Method
Code3
D.
Transactions d~ng ~Nng
0)
T~ (e.g.,
buy, sell,
r~emption)
[ (2)
Date
Mon~ Day
Value ~ Gaint
Code 2 [ Code I
Iden6~ of
buy~/se~er
(~-P) ~ (A-~ :;
(if private
u~saction)
(Q-~
~55.
Buy
12/1
Buy
5/26
4457.
Buy
5/27
4458.
Buy
7/t5
~59,
Buy
7/15
~60.
Buy
7/16
4462.-UN1LEVER PLC
Sold
(part)
5/5
4463,
Sold
5/6
(part)
4464.
Transferred
,.
6/1
Buy
1/13
Transferred
6/I
5/21
4466.
Sold
(part)
4468,
Sold
(part)
6/15
Buy
9/3
4470.
Buy
! 1/3
4471.
Buy
11/3
,000 or less
El =.$|,001 - $2,500
C =$2,501 - $5,000
D =S5,001 - $1
Barry, Mnryanne T.
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ~eo,,~, ~,l~e, ~ ..... ao,~ (]ncludes those of spo ..... d dependent children; see pp. 34-60 of filing instructions.)
NONE ,(No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
i"
i
i
B.
]
Income during
reporting period
(l)
(2)
Amount i Type (e.g.,
Code 1
div., rent,
(A-H) i[ or int.)
C.
Gross value at end of
[ reporting period
(t)
(2)
Value
Value
Code 2
Method
Code 3
0-P)
4472.
Buy
t 2/4
4473.
Buy
11/5
Sold
(par0
5/19
4475.
Sold
(part)
5/2
Sold
(part)
2/26
4477.
Sold
(part)
2/26
.I
4478.
Sold
(part)
Z127
4479.
Sold
(P~)
3/3
4480.
Sold
(part)
314
Buy
1/8
4482.
SoId
(part)
6116
4483.
Sold
(pan)
6123
4484.
Sold
7/29
Sold
10/5
4486. -VALLOUR~C SA
Buy
1/8
4487.
Sold
(part)
6/3
4488.
Sold
(pa~t)
6/4
(5)
Identity of
buyer/seller
(if private
Date of Report
9/1/2010
VII. INVESTMENTS and TRUSTS - ~co,.e, .a.e, 1, .... ,io.., o.c~,~e, ,ho,~ oI,vo ..... ~ d~,~ ~; ~ ~p. ~-60 o~i~g ~,~.~tio~.~
NONE ~o re~rtable income, ~sets, or ~ansactions.)
A.
B.
~
Income during
repo~ing ~fiod
Descfipti~ of Assets
(including ~st ~ssc~)
i
:
C.
Gross val~e at end of
reptmiag period
~ (2)
D.
Tmnsacfio~ d~ng r~o~ing period
O)
(~)
T~e (e.g.,
buy, sell,
Date
Mon~ -
~ 4489,
Buy
7/7
4490.
Sold
(part)
7/17
4491.
Sold
(part)
816
4492.
Sold
(part)
8/7
4493.
Sold
(part)
8/7
4494.
Sold
8/7
Buy
619
4496.
Transferred
(to line 480)
6/1
4497.
Sold
713
4498.
Sold
9/4
(0
Place "(X)" a~r ~eh asset
exempt ~om prior ~setosure
~Amo~t
C~e I
(2)
O)
T~e (e,g_,
Value
C~e 2
div., rent
Value
Meth~
(part)
(3) [(4) [
Value [ Gain ]
Code 2 I C~e ] ]
(S)
ld~fi~ of
~y~/seBer
(part)
4499.
Sold
(part)
9/4
4500.
Buy
11/25
451)I.
Sold
(part)
11/24
4502.
Sold
(part)
11/24
4503. -VINCI
Buy
8/18
4504. -VISA
Buy
5/19
Buy
8/26
A =$1,0OO or less
F =$50,001 - $100,0N)
J =$15.000 or less
N -$250,001 - $500,000
P3 =$25,000,001 - $50,000,000
Q -Appraisal
11 =Bo~k Value
B =$1,001 $2,500
O =$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 - $5,000
HI =$L000,001 - $5,000,000
L =$50.001 - $100,000
Pi =$1,0(lO,001 - $5,000,000
P4 ~Morc than
S =Asse.~sment
W =F~fimateA
D =$5,0~ 1 - $15,000
1t2 =More than $5,000,090
M =$100,001 - $250,~10
P2 =$5,0130,001 T =C~h Markel
E =$15.001 - $50,000
Date of Report
9/In010
e,
B.
In:come during
[ reporting period
C.
Gross value at end of
reporting period
.I
Value
Method
Code 3
(Q-W)
D.
Transactions during reporting period
Type (e.g.,
buy, sell,
redemption)
4506. -VOLVO
Buy
8/18
4507.
Buy
8/!9
4508.
Buy
1112
Buy
8/10
Bay
5/20
2/6
2/12
(part)Sld
4512.
(part)
4513.
Sold
(part)
2/13
4514.
Sold
(pan)
2/19
4515.
Sold
(p~rt)
2124
4516.
Sold
(part)
~t25
4517. -Walgreen Co
Sold
8/24
Sold
(part)
1/30
4519.
Sold
(part)
1/30
4520.
Sold
2/2
Sold
1/8
4522.
Buy
8/12
N -$250,~1 $500.~0
0 ~$500,~I - $1,~,0~
PI =$1,~0,~1 - $5,~0,~
~ =$5,~,001 - $25,~,~
Q =Appraisal
S ~A~essment
T ~b M~eI
ldentRy of
buyertselfer
(if pxivate
transaction)
Sold
[ Date of Report
Bar~, Maryanne T.
9/1/2010
B.
"income during
reporting period
(I)
(2)
[: Code 1
di ......L
C.
Gross value at cod of
! reporting pociod
(2)
1 (])
i Code2
Method
D.
Transactions during reporting period
~
(,I)
buy, sell,
(5)
t Code2 1Cod~l
4523.
Buy
8/]7
4524. -WOOLWORTHS
SohJ
(part)
1/19
4525.
Sold
(part)
12/9
4526.
Sold
(part)
12/10
4527.
Sold
12/I 1
Buy
12/31
Buy
12/31
Transferred
(from line 686)
3/30
Transferred
(from line 58 ] )
3/30
Transferred
(from line 856)
3/30
Transferred
(from line 641)
3/30
Transferred
(from line 857)
3/30
Transferred
(fiom line 571)
3/30
Transferred
(from line 575)
3/30
Transferred
(from line 542)
3/30
4530.
Interest
P2
F ~50,~1 - $1~,~
O =$1~.~1 - $1,~,0~
Transferred 3/30
(from line 855)
H I =$ l .~,001 - $5.~0.~
buyer/se~er
Date of Report
Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS -income, ~.lne, t ..... rio,, (Includes those of spo ..... d dependent children; see pp. 34-60 Grilling instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Asse~s
(includiBg tin!! assets)
B.
Income daring
reporting period
O)
Place "(X)" after each asset
exempt [rum prior disclosure
Amount
! Code 1
] (A-H)
i
~2)
Type (e.g.
die., rent,
or int.)
C.
Gross value at end of
reporting period
(1)
~2)
(l~
Value
Code 2
(.LP)
Value
, Method
Code3
(Q-W)
Type (e.g..
buy, sell,
redemption)
~) ] (3)
Date I Valo.e ,. Gain
Month - Code 2 i Code 1
Day
(J-P) (A-H)
[
I
]
I Transferred
:(from line 579
3/30
Transferred
(from line 572)
3/30
Transferred
(from line 559)
3/30
Transferred 3/30
(from line 558):
Transferred
(from line 851 )
3/30
Transferred
(f~om line 818):
3/30
Transferred
(from line 573
3/30
Transferred
(from line 644
3/30
Transferred
(from line 564
3/30
Matured
7/1
Transferred
(from line 576)i
3130
Transferred
(from line 568)
3130
Transferred
(from line 562
3!50
Transferred
(from ne 560)
3/30
Matured
4/1
Transferred
(from line 849)
3/30
Transferred
(from line 563)
3/30
4549.
4554.
Identity of
buyer/seller
(if private
transaction)
~, Maryanne T.
Date ofa~vo~t
9/1/2010
I
Income during
r~oaing period
(~)
Place "(X)" aRer each asset
exemp~ from prior disclos~
(Z)
Amount
T~ (e.g.,
Code 1
div., r~
(A-~ ~ or int.)
(~)
Value
~: Code 2
~ (J-P)
- ~)
O)
Value
Mea~
~ Code 3
T~ (e.g.,
buy, sell,
r~emp6on)
Date
Mo~x~ Day
Value
C~e 2
Gain
C~e 1
Id~fi~ of
buyer/seller
(t-P)
(A-~
(ifpfi~ate
Tr~sfe~ed
(~om line 853)
3/30
3130
(Z)
(3)
(~)
Transfe~ed
H~ 5
Buy
6/2
Buy
8/13
Buy
4/2
P1
4564.
Buy
4/3
4565.
Buy
4/27
4566.
Buy
5/26
4567.
Buy
6/I 6
4568.
Buy
&26
4569.
Buy
7/27
4570.
Buy
8/26
4571.
Buy
9/28
4572.
Buy
10/26
4573.
Buy
11/27
4562.
Interest
P2
Value Codes
(S~~ Cothna.ns CI and D3)
J ~$15.000 or less
N ~$250,001 - $500,000
P3 ~$25,000,001 - $50,~,000
K o515,001 - $ S0,000
O =$500,001. $1,000,000
L. =$50,001 - $10O,000
PI =$1,000,001 - $5,000.000
Pa =More tha~ $50,000,000
tl =B~>k Vahte
V =Other
W =Estimated
M =$100,001 - $250.000
P2 =$5,01~.001 - $25,000,01~
(5)
Date of Report
9/I/2010
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS - income, value, transactions anclades those of spouse and depende.l children; see pp. 34-60 of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A.
Description of Assets
(including trust assets)
Ptacc "(X)" after each asset
exempt from prior disclosure
B.
Income during
, reporting period
;AmounI
Code 1
(A-H)
Type (e,g.,
die., rent,
or int.)
C.
Gross value at end of
reporting period
, Value
i Code 2
(J-P)
i
...]
Value
Method
Code 3
(Q-W)
D.
Transactions during reporting period
Type (e.g.,
buy, sell,
todemption)
[
I
Date
Value
Month- ; Code 2
Day
(J-P)
i
4574.
Buy
12/28
Buy
4/2
P!
4576.
Buy
4/3
4577.
Buy
4129
4578.
Buy
5/29
4579.
Buy
6/16
4580.
Buy
6/29
4581.
Buy
7/29
Sold
8/10
4582.
(part)
4583.
Buy
8/31
4584.
Buy
9/29
4585.
Buy
10/29
4586.
Sold
(paN)
1 !19
4587.
Buy
11/30
4588.
Buy
12/29
Buy
1/15
Buy
6/24
Int./Div.
PI
4590.
F =~50,001 - $ I ~,~
J =$I 5,0~ or less
O =$ I ~,~1 - $ I ,~,0~
K -$15.~1 - $50.~0
H 1 =$1,0~,~l - $5,~0,~0
L =~O,~l - $I~.0~
Gain
Code 1[
(A-H)
Identity of
buyer/seller
(if private
transaction)
IN
....
fP ..... Reporting
9/I12010
[ Date of Repot,
[ Barry, Maryanne T.
VII. INVESTMENTS and TRUSTS-~ ....... t.e, ,~ ..... ao.s aneluaes those of st,o .... d dependent children; $ee l~p. J4.60 of JJllng instrucaot~$.)
NONE (No reportab& income, assets, or wansactions.)
A.
B,
C,
De~0ption of Asse~
(including t~st assets)
Income dudug
~poaing peri~
~oss value at e~ of
re~ing
O)
Place "(X)" after ~cb asset
exempt from prior discl~ure
~o~t
Code 1
(A-~
D.
T~nszcfions d~ing r~orfing
(2)
(0
(2)
O)
T~ (e.g.,
~v., rent,
Value
Code 2
Value
Me~od
T~ (e.g.,
buy, sel],
orim.)
(J-P)
~ C~e3
[ redemption)
[ (2)
Date
[ Month -
[ Day
(3) [ ~a)
Value Gain
Code 2I Code 1
(J-P)
4591.
Buy
9/25
4592.
Buy
10/15
4593.
Buy
12/14
(S~ Cotu~ ~)
U ,,B~k Value
V =0~er
W =~mat~
(A-~
IdentiU of
buyer/seller
(ifprivate
Barry, Maryanne T.
DateofReport
9/1/2010
I
Date of Report
9/1/2010
IX. CERTIFICATION.
I certify that all information given above 0ncluding 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.
][ 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 ~ U.S.C. app. 501 et. seq., 5 U.S.C. 7353, and Judicial Conference regulations.
FILING INSTRUCTIONS
Mail signed original and 3 additional copies to:
Committee on Financial Disclosure
Administrative Office of the United States Courts
Suite 2-301
One Columbus Circle, N.E.
Washington, D.C. 20544