/10 Io Roy.

1/201I ~

FINANCIAL DISCLOSURE REPORT FOR CALENDAR YEAR 2010
2. ~ourt or O~unlzotion U.S. Dist Court, W. Dist of PA
5a. Report Type (check appropriate type) ] Nommation, [] Initial [] A .... Date l [] Final

Report Requtrt,d by the Ethics in Gorermuent Act of 1978 f5 U.S. C. app..+’.+" IOl-I l l)

I. Perso~ Reporting (last name, rink mlddla Initial) Standish, William L.
4. Title (Article I I I Judges Indicote ata’lve or senior stuns; magistrate.iudges indicate full- of part-time)

3. Date of Report 07/12/2011 6. Reportiog Period 01/01~010 to 12/31/2010

U. S. District Judge - Senior

5b. [] Amended Report 8.On the bats of the information contained in this Report and any modifications pertaining thereto, it i.~ in my opinion, In compliance with uppllcabla law~ ond regulations.

6170 U.S. Post Office & Cthse 700 Grant Street Pittsburgh, PA 15219

Reviewing Oflker

Date

IMPORTANT NO TES: The lnmualons accompanying this form must be fottoweat Complete all parts,
checMng the NONE box for each part where you have no reportable information. Sign on iast page.

NONE (No reportable positions.)
POSITION
I, 2. 3. 4. 5. 6. 7. Co-Trustee Co-Trustee Co-Trustee Co-Trustee Trustee Trustee Director

NAME OF ORGANIZATION/ENTITY
Co-Trustee of Trust No. 13 Co-Trustee ofTrust lqo. 22 Co-Trustee of Trust No. 23 Co-Trustee of Trust No. 24 Western Pennsylvania School for the Deaf Sewickley Valley YMCA Pittsburgh Theological Seminary

I!. AGREEMENTS. m~,n.~ i~t,id.ol o,t~;.~, e~ u-t~ ol"l"ding ins,,~aion~.)
~ NONE (No reportable agreements.)

DAT_~

PARTIES AND TERMS

Standish, William L.

FINANCIAL DISCLOSURE REPORT Page 2 of 103

Name of Person Reporting Standish, William L.

Dale of Report 07II2/2011

IlL NON-INVESTMENT INCOME. tR,~,,,i,~i~a~i~..t.na~.~,:,,,r~ A. Flier’s Non-lnvestment Income ~] NONE (No reportable non-investment income.) DATE SOURCE AND TYPE
INCOME
(yottrs, notspouse’s)

2.

3.
4.

B. Spouse’s Non-Investment Income - If you were married during any por~;on of t~e reportlng ~ear. complete this section.
(Dollar amount not required except for/a~noraria.)

~

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

2.

3.
4.

IV. REIMBURSEMENTS flncludes those to :~Imuse tnul dependent children," see pp. 25-27 o.ffiling instructions.)

~

NONE (No reportable reimbursements.)
SOURC~ DATES LOCATION PURPOSE

ITEMS PAID OR PROVIDED

2. 3. 4. 5.

FINANCIAL DISCLOSURE REPORT Page 3 of 103

Name of Person Reporgng Standish, William

Date of Report 07/I 2/2011

V. G I FTS. a.a.~ ,h~ ,o ,~ ...... d
NONE (No reportable gifts.)

d~l,~ndem t~Odren: se,

l~’. 2~-3 !

of fOing instmaion~.)

~OURCE
!, 2. 3.
4.

DESCRIPTION

VALUE

5.

VI. LI ABILITIES. a.a,do, a,o~ o~on~, NONE (No reportable liabilities.)
VALUECODE
1.

2. 3.
4.

FINANCIAL DISCLOSURE REPORT Page 4 of 103
VI 1. I N V ESTMEN TS and T RU STS -i.~o.e. ,.i.,,

~am~ of Prrson Reporting Slandish, Wllllam L.

Date o[ Repert 07/I 2/201 I

r .....

tianx {In¢lude~ those of ~tse a~d dependent chlldre.; ~e, t~lx 34-60 of filing ~,~ttu~don&)

NONE (No reportable income, assets, or transactiort~.)
A. I’ksc~pt,>rt of A~sets (including t~ a~) Place "(X)" after ~ch ~t exempt from pgi~ di~e B. Income during ~ing ~ (I) (2) ~t T~ (e.g., C~ I dry.. real, (A-~ or ~I.} C. Gross value at end of r~ing ~i~ (I] Value C~ 2 ~J-p} (2) Value Mel~ C~ 3 (Q-W) (I) T~ (e.g., buy. ~11~ r~mption) D. Transacrimas during r~ing ~fi~ (2) ~te mm/~ (3) (4) Val~ Gain C~e 2 C~¢ I {J-P~ ~A-H) (5) Id~ti~ o~ b~/~eller 0fpfivate ~)

I.

Trust #1.1 (100% Interest)

G

Int./Day.

T Mon Mkt Inv

PI

H 1 See Section VII! # I

2. :: 3.
4.

-Blackrock PA Muni MM last Shares #40 -Altoona PA City Wtr Rev 4.0-20 ! 1
-Altoona PA City Wtr Rev 4.25-2015

5.

-Bucks Cnty PA Wrr&Sewr Auth 4.0-2012
-Lancaster PA Pkg Auth Rev 4.0-2015

6.

-Lower Bucks Cnty PA Jt Mun 3.6-2013

Sold

1 I/15/10

-Lower Merion PA Sch Dist 3.85-2014

9.

-Noah Wuler PA Wtr Auth Rev XLCA 4.0-2011 -PA St Higher Edl Col of Meal 3.75+2012 -Unionville Chadds Ford PA Sch 3.5-2013

10.

I I. 12.

-Red Lion PA Sch Dist FGIC 4.~-2013 -SpringFord Sch Dist XLCA 4.0-2014

13_ 14.

-Abbott Labs Inc

15.

-Air Products & Chemicals Inc -Altria Group Inc

16.

See Section VIII Buy

I

I7.

-American Tower Corp CI A

01/27/03. i Ol/05ito

1n¢o,~ Gain codes: 1~¢ Column~ B I and D4) Value t’~¢~

A =$1.000 or less F ~$50.~1 - Sl~.~ ] =~15.~ ~ kis

B =SI.0OI . I2.500 G -Sl~.~l - Sl.~.~ K =115.~1. ~50.~

C ~$2.501 - $5.~ HI =Sl.~.~l - 15.~.~ L =$~.~1 - $1~.~

D -S~.~l - ~15.~ 1t2 ~M~ than SS.~0.~ M =Sl~.~l * 1250.~

FINANCIAL DISCLOSURE REPORT Page 5 of 103

Name of Patton Re~ertlltg Standish, William L.

Date of Report 07;12/20! I

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (mchtding trust assets) Place "(X)" after each asset exemp~ from prior disclosure B. Income cluing reporting period (I) (2) Amount Type (e.g., Code I div., rent, (A.H) or int.) C. Gross value at end of reporting i~riod (I) (27 Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (I) Type (e.g., buy, sell. redemption) (2| (3) (41 Date Value G=in mmMd/yy Code 2 Code I (J-P) (A-l-I) (57 Identity of buyer/seller (if private transaction)

18. 19. 20.

-Automatic Data Processing -BP PLCSponsAdr ¯ -Bristol Myers Squibb Co Sold Sold Buy (add’l) 06/18/10 01/05/10 01/05/10

21. -Cisco Sys Inc

22. -Coca Cola Co
23. .DominionRes Inc VA

24.
25. 26. 27. 28. 29.
30. 31.

-Emerson El Co
-Exxon Mobil Corp -Fedex Corp -Franklin Resources lnc -Freeport McMoran Copper & Gold Inc -Frontier Communications (Rec Fr Spin Off
of Vcdzon) -Frontier Communications -General Electric Co

Sold Buy Buy (add’l) Buy

01/05!10 01/05/10 01/05/10 01/05/10

Spirtoff 07/02/10 (from line 50) Sold (part) ’ 07/16/10

32.

-Google lnc CI A

Buy

01/05/10

33. -II¢inz H J Co
34. -Home Depot Inc

I. Incomc Gain (’odes: (See Columns FII and D4)

A =| 1.000 or Icss F ~$50.001 - $100.000

B =$1.001 - $2.500 G =$100.001 - $1.000.1000

C =$2.501 HI =$ |,000.001 - $5.000.000

H2 ¢Moc than $5,000.000

FINANCIAL DISCLOSURE REPORT Page 6 of 103 ¯

~lame of Pc~on Reporting Standish, William L.

Dale of Report 07/I ~201 I

NONE (No reportable income, assets, or transactions.)
A. Description of Aeg~II (inc h~ling t~u~a assets) Place "(X)" after ~ch asse~ exempt fi’om prior disclosure B. Income during reporting period (t) Amount Code I ¢A-H) (2) Typ~ (e.g~ d~% rent, ~ int.) C. Gross valu~ at cod of rel~’ting period {i) 12) Value Valu© Method Code 2 (J-p) Code 3 ~Q-W) (i) TyT~ (e.g.. buy. s~ll. redemption) D. Tin,actions during ix-porting ~¢riod (2} (3) (4) Date Value mm/dd]yy Code 2 (J-P) (5) ld~ality of buy~ts¢llcr lif private transaction)

Gain Code I (A-H)

i 35.
36.

-lllinoi~ Tool Works the
-Ishares Russell I000 Index Fund

Buy Buy Buy

12/22/08 01.’~5/10 01/05/10

See Section Vlll #3

[ 37.

-Ishar~s Russell 2000 Growth Index Fund

38.

-lshares Russell 20~0 Value Index Fund

39.

-JP Morgan Chase & Co
-Kraft Foods inc

40. 41. -Mastercard lnc CI A

Buy

01/05/10

42.

-Merck&Co lnc

43. 44.

-Microsoft Corp -Oracle Corp

45.

-Pfizer lnc

Sold

01/05/I0

46. 47.

-Phillip Morris

-Southern Co -3M Company

48.

49.

-United Technologies Corp.

Buy

01/05110 07/02/10

50.

-Verizon (SpinoffOfFrontier Communications)

51. -Walgreen Co

!. Inco~nc Gain (’,’~.es:

A -$1,000 or Ic~

B =$1.001 - $2.500

C =$2.501 - 15.~

O -$5.~1 - $15.~

FINANCIAL DISCLOSURE REPORT Page 7 of 103

I

~N’ame o! Person Rel~rtlng Standish, William L

Date of Report 07112/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" a~ each asset cxemptfromprmrdisclos~u~e B. Income during reporting period O) Amount Code I IA-H) (2) Type (e.g., div.,rcm. or int.) C. Gross value at end of reporting period (I) ~2) Value Value Code2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (I) Type (e.g., buy, sell. redemption) 12) (3) (4) Date Value Gain mm!dd,.~,y Code2 Code I (J-P) (A-H) (s) Idcnlily of b~’er/seller (ifprivaxe t~ansac~ion)

52. 53. 54. 55.

-Wells Fargo & Co -Zimmer Holdings lnc -Vanguard Emerging Mitts ETF -Vanguard FTSE All World Ex US
E Div&lnt PI T

Buy

01105/10

(a~l)

Buy

i 01/05/10

l
See Section VIll #l

56. Tn~st #2 (I/2 Income lnt)
57. 58. 59. 60. 61. 62. 63. 64. 65. 66. 67. 68. -BNY Mellon MM Fund CI M -Fietweed PA AreaSchool -Phila PA Sch Muni Bd -Abbott Laboratories -Accenture Ltd -Alliance Data SysCorp -AIIscripta-Misys Healthcar~ Solution -Altria Group lnc -American Express Co -American Express Co -Ameripris¢ Financial Inc -Amgen Inc

Matured Matured Sold Sold

04/01/09 03/01/0g 05/06/09 !01/II/I0

See Section VIII ~
See Section Vlli #4 See Section VIII ~3

Buy Sold Buy Buy (add’l)

08/20/10 02/14/06 06/24/10 ’07/12/10

See Section VIII #3

Sold (part)

02/18/10

E =$1 S.Oll} . $50.tX’JO

FINANCIAL DISCLOSURE REPORT Page 8 of" 103

I

Name of Per,~o~ Reporting Standish, William L.

Dale of Relmrt 07/I 2/2011

NONE (No reportable income, assets, or transactions.)
A. D~scrip~ion of Assets (including t~t a~e~) Place "(X)" a~er ~ch as~t exert f~m prior discl~m B. Income during r~ing ~ (I) A~I C~ I (A-H) (2) T~ (e.g~ div.. r~t, ~ int.) C. Gro~s value at e~ ofr~ning ~ (I) Val~ C~e 2 (J-P) (2) Val~ Met~ C~ 3 (I) T~ (e.g., ~, ~U, ~ption) D. Transa~i~ d~ng ~nin8 ~ri~ (2) ~te m~ (3) 14) Val~ Gain C~e 2 C~ I (J-P) (A-HI (5) Id~tily of (if private

69.

-Amgen Inc

Sold

08/13/10!

(p~t)
Sold
Buy Buy

i 70.

-Amgenlnc

08!16/10’
05111/10

71.

-Amylin Pharmaceuticals Inc

72.

-Amylin Pharmaceuticals Inc

06/24/I 0

(add’l)
73. -Anadarko Petroleum Corp

Buy
Sold

06/23/10

i 74.

-AOL lnc

01107/10

I

75.

-Apache Corp

76.

-Apple

Sold (part) Buy (add’l)

01/26/10 04/28/10

77.

-Apple

78. 79.

-AT&TInt

-Autoliv Inc

Sold (parO Buy (add’l) Buy {add’l) Sold Sold (part) Sold Buy

09/23/10 05/I Ill0 09/16/10 09/I (~09 09/16/10 09117/10 01/22/10

80.

-BankofAmer;,ca CoW

81.

-Bank of America Corp -Best Buy Inc

82. 83.

See Section VIII #3

-Blackmck lnc

84.

-Blackrock Inc

85.

-Capilal One Financial Corp

F - $ I-~.OOI -

{See Colunm, B 1 and D4 ) 2. Value Ce, a.,~

FINANCIAL DISCLOSURE REPORT Page 9 of 103

Nlme of Person Reporting St-ndlsh, William L.

Date of Report 07!1~2011

NONE (No reportable income, assets, or transactions.)
A. D~scril~ion of Assets (incl~ing t~t ~ets) Pla~ "(XI" ~fie: ~ch as~t exem~ from prior di~losure B. Income during ~ing ~ (I) (2) T~ (.g, A~unt C~e ] div., r~C (A-H) ~ ~t.) C. Gross value ,at end of r~ing ~fi~ U) Val~ C~e 2 (J-P} (~) Val~ M~ C~e 3 (I) T~ (e.g. ~, ~11, ~d~on) D. T~n~tiom d~ng r~ing ~fi~ (2) ~tc ~/~ 13) Value C~e 2 O-P) (4) Gain C~ I (A-H) (5} ld~ti~ of ~!~ller (if~le

85.

-Capital One Financial Corp

Buy (add’l) Buy

~ 07/12/10

87. 88.
89. 90.

-CapitaIOne FinanciaiCorp -Carnival Corp
-Caterpillar Inc

10105/I 0

(add’l) Buy Buy Sold 07/07/10 06/21/10 12/22/06
See Section VIII

-Chicos F~-s ]nc

91. 92.

-Chubb Corp

-Cigna Corp

93.

-Cisco Systems Inc -Cisco Systems Inc

Sold (part) Sold (part) Sold Buy

03/08/10 11/17/10 05/I 1/10 09/14/10

94.

1
9~. 96. 97. 98.

-Coca Cola Co -Comerica Inc

-Concophillips

-Cummins

Sold

09/IO/10

(part)
~9. -CVS;Caremark Group

(part)
Sold (part) Sold (part)

Sold

01/14/10

I00. -CVSiCaremark Group I01. -CVS/Caremark Group 102. -Danaher Corp

06/24/10 08/’20/I0

E =$15.001 - $ 5(].Otto

2. Value (So: Columns C I and

FINANCIAL DISCLOSURE REPORT Page 10 of 103
Vll. INVESTMENTS and TRUSTS - i,,co.,e,

Name of Person Reporting Standish, William L.

Date of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. L)eseription of Assets (im:loding trust assIs) Place "(X)" after each as~ct exempt from prior disclosure B. l.ac~m~ during reporting p~iod (I) Amount Code I (A-H) (21 Type (e.g., div., rent, m int.) C. Gros~ value at end of repomng period (I) 12) Value Value Code 2 Method (.I-P) Code 3 IQ-W) D. Trans~,’tions during r~porting period (1| Type (e.g.. b~y, sell, redemption) (2) 13) (4) Date Value Gain mm/dd/yy Code 2 Code I {J-P) (A-H)

Identity of buys/seller {if private transaction} See Section VIII #3

103. -Da~en Restaurants 104. -DuPont El De Nemours 105. -EMC Corp 106. -EMC Corp 107. -Energizer Holdings 108. -Exelon Corp 109, -Exxon Mobil Corp 110. -Fedex Corp 11 I. -First Horizon Natl Corp ! 12. -First Horizon Natl Corp 113. -Ford Motor Co 114. -Franklin Res Inc 115. -GAP Inc 116. -GAP lnc I 17. -GAP Inc I 18. -General Electric Co 119. -Google

Sold

05/28/09

Buy (add’l) Sold (p~) Buy Sold

04128110 10/05/10 11/18/10 08127110

Sold Sold (part) Sold Buy

06/21110 01/22/10 01/29/10 11/26/10

I~ly (add’l) Buy (add’l) Sold

01/14/10 01/15/10 07/12/10

,J
B =$1,001 - $2.500 G -$ I~).001 - $1.D0~.000 K =$15.001 O =$500.001 - $ t R =.Cos41 Real Estai~ Only) V D =$5.001 - $15.~O0 H2 =More than M =$I00,~1 P2 -$3,~.~1 - $2~.~.~ T =Ca~ Market E =$15.1~1-

I. Income Gain Codes: 1.~ Colunms BI and

FINANCIAL DISCLOSURE REPORT Page I I of 103

Name of Person Reporting Standish, William L.

Date of Report 07112!2011

VII. INVESTMENTS and TRUSTS - i,~o,~, .,t.,. t,.,~a,., a.d,,~,, ~*o-- of 2~pottst ond depcndcnt cbildren: see pp. 34-60of filing instructions.)
NONE (No reportable income, assets, or transactions.)
A. Description of Assets (ir~luding m~t ass~’ts) Place °{X)" after each ass~ exempt from prior di~losare B. Income during rt’porfing period (I) (2) Amount Tylm (e.g., Code I div., rent, (A-H) o¢ inL) C. Gross value at trod of reacting pc.ri0d (I) (2) Vahm Value COd~ 2 Method (J-P) Code 3 (Q-W) D. Transactions during r~<)c~ing period (I) Type (es~ buy, s~ll, red~mptionl (2) O) (4) Value Gain Date mrn/dO.’yy Code 2 Code I (J-P) (A-Ill

Idcotity of buyer/seller (if private rtan.~ction )

120. -llalliburton Co

121..Hess Corp
122. -Hewlett Packard Co 122,. -Hewlett Packard Co 124. -Home Depot Inc 125. -Home Depot Inc 126. -Honeywell Intq Inc 127. -ttospira lnc
128. -Human Genome Sciences Inc 129. -IBM 130. -Informatica Corp
13 I. -Juniper Networks lnc

Sold Sold

08/16/10 08/17/10

Sold (parl) Sold (part)

05/25/10 06/02/I 0

Buy (add’l) Buy (add’t} Buy
Sold

02/18/10 08/16/10 08/19/10
01/I 1/10

132. -JP Morgan Chase & Co

133. -Kbr Inc
134. -Keycorp New 135. -Limited Brands [nc 136. -McDonalds Corp

Sold Sold

09/16/10 05/29/09 See Section rill #3

Sold (part) Sold

11/26/I 0 i 05/12/09 See Section Vlll

2 Value C~
Ig~ CoI~s CI ~d

-$1.001 - $2.500 =$ lO0.OOl . =$15.001 ¯ 150,000 -$500.001 . $1.000.000 -Cost (R¢~I Es~te Only) ~Other

FINANCIAL DISCLOSURE REPORT Page 12 of ! 03

Name ef Person Repo~11ng Standish, William L.

Date of Report 07/I 2/2011

NONE (No reportable income, assets, or transactions.)
A. L~scHpdon of Assets (including zrust assets) Place "(X)" after each ass¢! exemp! from prior disclosur~ B. Incom~ during ~porting period H) Amount Code I (A-H) ~2) Type (e.g.. div., rent, or int.) C. Gro~ value at t’nd ofrelx~nlng period (I) (2) Value Value Cod~ 2 Method Code 3 (J-P) (Q-W) (I) Type (e.g., buy, sell, redemption) D. Transactions during rel~ning period (3) Value mm/d&’yy Cod~ 2 IJ-P) (21 Da~e (4) Gain Code I (A-H) (5) Identity of buy~/~:ller (if private transactionl

37. -McKesson Corp 38. -Medtronic Inc
139. -Merck & Co lnc 140. -Microsoft Corp 141. -Morgan Stanley

Buy (add’l)

01/08/10

Sold Buy (add’l)

09/23/10

01/26/10

142. -Motorola Inc 143. -Newell Rubbermaid lnc 144. -News Corp lnc 145. -Nextera Energy Inc
146. -Nordstcom

Buy Buy

08/17/10 09/23/10

Buy

08/27/10

Buy

07/I 2/10

147. -Nordstrom 148. -Norfolk Southern Corp
149. -Northern Trust Corp

Buy (add’l)

08/I 2110

Sold

05/28/09

See Section Vlll #3

150. -Occidental Petro Corp 151. -Omnicom Group inc
152. -Oracle Corp 153. -Parker Hannifin Corp

Buy (add’l)

06/16/10

Buy (add’l) Sold

10/05/10 06/24/I 0

B =$1.001 - $2.500 K =$ 15.001 O =$500,001 - $1.0~0.0~

E $15,~)I - $~o,00~

V

FINANCIAL DISCLOSURE REPORT Page 13 of 103

.Name of Person Reporting Standish, ~,Vill|am L.

Date of Report 07fl 2/2011

NONE (No reportable income, assets, or transactions.)
A. Description of As~t~ (including tin!! assets) Place "(X)" a~er each as~! exempt from prior d~:lo~Jm B. Income during ~’poning period (2) (1) Amount Type (e g., Code I div., r~nt, (A-H) ot int.) C. (.h’o~s value at ~ of reposing period (I) (2) Value Value Code 2 Method (J-P) COde 3 (Q-W) D. Tmmac~ions during rqx~ning period (1) Type (e.g., buy, ~ll, todcmpfion) (2) (3) (4) Date Value Gain mmtdd/D, Code 2. Code I (J-P) (A-H) 15) IdemiD, of buy~;s©ller (if private transa~:tion)

154. -Pepsico Inc 155. -Phillip Morris

156. -Pfizer Inc

157. -Praxir lnc 158. -Procter & Gamble Co
159: -Public Svc Enterpris~ Group lnc

Buy Buy Buy (add’l) Buy (add’l)
Sold (pan)

! 01/08/10 105/25/10 01/11/10 03/08/10 04/28/10

160. -Public Svc Enterprise Group lnc

161. -Qualcomm

162. -Qualcomm Inc

163. -Qualcomm lnc 164. -Qualcomm Inc 165. -Raytheon Co

Buy (add’l)

i 08/i 6/10

166. -Research in Motion

Sold

10/06/08

See Section VIII #6

167. -Schwab Charles Corp

168. -Sempra Energy 169. -Sea,bucks Corp 170. -Taiwan Semiconductor M fg Co A DR

Sold Sold Sold

01/12/10 02/I 2/07 11/09/09 See Section VIII #3 See Section VIll #3

I. Income Gain Code~: (~¢ Colu~ B I ~d ~) (~ COI~= C I ~d 031

A ~$1.¢r~) or It, s F -$50.~1 - $ I~.~ N

B -| I.~01 - $1.5~ G -$ I~.~1 - $1.~.~0

C =$2.501 - SS.~ H } =$1.~.~1 - ~.~.~

D ~$5.~1 - $15.~ H2 =MoR ~an $5.~.~

E ~$15.1~1 - $$0.0~o

1~" Column C21

U "~k V~

V~

W -Esama~

FINANCIAL DISCLOSURE REPORT Page 14 of 103 VI !. INVESTM ENTS and TRUSTS
r--]

blame of Per,so. Reporting Szandlsh, William L.

DaZe of Report 07/I 212011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (includin~ trust assets) Place "(X)" after each asset .xempl from prior disclosure B. Income during reporting period (I) Amouat Code I (A-H) (2) Typ~ (e.g., div., rent, or int.) C. Gross value at end of repoffing period (I) (2) V~lue Value Ced~ 2 M~hod (J-P) Cod~ 3 (Q-VO (I) TYI~ (e.g~ buy, sell, redemption) D. Transactions during reposing period (2) (3) (4) Date Value mm/dd/yy Code 2 (J-P) I~) Identity of buyer/seller (if private (r~nsaction)

Gain Code I (A-H)

171. -Target Corp 172. -Textron
173. -ThermoFisher Scientific Ine
174. -Time Warner Inc

Sold (p~)

’ 08/1~10

Buy (add’l) Sold

01/14/10

175. -Time Warner lnc

07/07110

176. -Tyco Intl Ltd

Sold (par~) Buy (add’l) Sold

09/08/10

177. -Unilever PIC ADR

06/02JI0

178. -U S Bancorp Del

01/26/09

See Section VIII

179. -Vale SA-Sp ADR
180. -Vertex Pham~acutals Sold 01/14/10

181. -Vertex Phatmacutals
82. -Viacom Inc 183. -Visa Inc - CI A 184. -Wells Fargo & Co 185. -Wells Fargo & Co 186. -Whirll~ol Corp 187. -XTO Energy Inc

Sold
Sold Sold

06/25/10
O5113/08
08/18/10

See Section VIII #3

Buy (add’l)
Buy (add’l) Sold

08/13/10 09/16/10

I 1/26II0

Sold

06il6/10

C" -$2.501 - 55.000 HI =[I,000.001 - 55.000.000 L -$50.001 - $100.0~0 P I =$1.000.001 .

H2 -Mor~ than M -$100.C¢tl - $250.0(~ P2 -$5.0(~1,0~1 - $25,000.00.) T --Cr~h Market

W =Estimated

FINANCIAL DISCLOSURE REPORT Page ! 5 of 103

Name of Person Reporting Standish, William L.

I

Date of Report 07112t2011

1

NONE (No reportable income, assets, or transactions.)
C. B. Gross ,,alue al mad Income during r~ponin8 p~iod of reporting period (2) (I) (2~ (I) Value Value Place "(X)" after each asset Amount Type (e.g., Code I Cod~ Me~hod div., ~em, 2 exmrtp( from prior disclos~e (A-H) o~ inl.) (J-P) C’ode 3 (Q.W) A. D~scription of Assets (including ~ru~ ass~s) 188. -Defenders M-S Hedge Fd’(Name Chg Fr BNY/Ivy M-S Hedge Fd) 189. -Drt3,fus/Newton Infl Equity 190. -Dreyfus Prem Strat Glbl ST-I (Name Chng To Sla’ategic Glbl) 191. -lshares S&P GSCI Commodity-lnd 192. -Strategic Global Stk Fund (Name Change Fr Dreyfus Prem St) 193. -BNY/Ivy M-S Hedge Fd (Name Chg To Defenders M-S Hedge Fd) 194. -BNY Mellon Emerging Mkts Fund CI M 195. -BN¥ Mellon Int’l Fund CI M 196. -BNY Mellon Mid-Cap Stock Fund CI M 197. -BNY Mellon Nail lnlerm Muni Bd Fd CI M 198. -BNY Mellon Nail S/T Muni Bd Fd CI M 199. -BN¥ Mellon Optima L/S Strategy Fd 200. -BNY Mellon Small Cap Stock Fd CI M 201. -BNY Mellon US Core Equity 202. Trust #3 (116 Income In() 203. -BNY Mellon MM Fund CL M 204. -Accenture Ltd C Div & In( : 08/31/09 12/01/09 See Section VIII #7 See Section VIII #7 D. Tnansacfions during r~orting period (I) (2) (3) (4) Type (e.g., Date Value Gain buy, sell, mm/dd~y Code 2 Code l redemption) (J-P) (A-H) (5) Idemi~y of buyer/seller lif private tran.~ction)

1 ~01/09

See Section VIII

08/31/09

See Section VIII #7

T Mon Mkt Inv Sold
01/I 1/10

C

See Section Vlll #l

I Income Gain Codes: (See Celun’.n~ BI and IMI 2. Value C~~

A =$1,000 or I~ss F ~$50.1Xll - $100,000 J -$15.11~1 or less

B -SI.001 ¯ $2.500 G =$100,00l - $1.000.000 K =$1~.001 - $50.~

C =$2.501 - $5.0130 HI -$1.000.001 - $5,000,000 L =$50.001 - $11)~.000

D =$3.flOI . $ I.~.(XIO 112 M

FINANCIAL DISCLOSURE REPORT Page 16 of ! 03 VII. INVESTMENTS

Name of Person Reporting Standish, William L.

l

Date o1" Repert 07/12/2011

[

NONE (No reportable income, assets, or transactions.)
A. D~scription of Asscls (including trusl assets) Place "(X’~" after e~:h asset ©xemplfrompriordi~:los-ur= B. Income during rt-porting p~’iod (I) Amount Cod=l (A-H) (2) Type (e g., div.,rent, or int.) C. Gross value at end of reporting I~:nod (1) Valu~ Co~2 (J-P) (2) Value Met,~xI Cod~ 3 (Q-W) (I) Typ= (e.8, b~y,s¢ll, redemption) D. Transactions durin8 ~,porting period (2) (3) 14) Date Value Gain mmrdd.’yy Cnd~2 Cod¢l (.l-P) (A-H} (5"I Identity of buyer/seller (if private transsction)

205. -Alliance Data Systems Corp 206. -AIIscripts-Misys Healtheare Solulion 207. -American Express 208. -American Express 209. -Ameriprises Fin’l Inc 210. -Amgen lnc 211. -Amgen lnc 212. -Amylin Pharmaceuticals Inc 213. -Amylin Pharmaeeulieals Ine 214. -Anadarko Petroleum Corp 215. -AOL Ine 216. -Apache Corp 217. -Apple lnc 218. -Apple Inc 2]~, -AT&T Inc 220. -Autoliv Inc 221. -Bank of America Corp Sold (parl) Buy (add’l) 09/’23/10 05/I 1/10 Sold Buy (add’l) 01/26110 04/28/10 Sold Sold Buy Buy (add’l) Buy Sold OZ/Ig/10 08116110 05/I I!10 06123110 06/23/10 01107/10 Buy Buy Buy (add’l) 08/20!10 06/24110 07/12/10

I. I~ome Gain t’odc~:

A -$1.000 or Icss

B ~$1.0~1 - $2,500

C -$2.501

|

FINANCIAL DISCLOSURE REPORT Page 17 of 103 VH. INVESTMENTS and TRUSTS

Nxme of Per~oa Repm’tlug Standish, William L.

[

Da~e o| Report 07fl ~"2011

[

NONE (No reportable income, assets, or transactions.)
A. D~crifltion of As-~:gs Oncluding ~rus! assets) Plac~ "IX)= after ~ch as~t exempl from ~ior di~losure B. Income during repoalng p~riod tl~ A~t C~e I (A-It) 12) T~ (¢.g~ div, r~ a ~t.) C. Gross valu~ at end of reporting l~riod (I) V~ C~ 2 (I-P) (2) VaI~ Me~ C~e 3 (~ 11) T~ (e.g., ~y, ~11, r~em~ion) D. Transactions during reporting period (2) Dat~ ~ 131 14) Value Gain C~e 2 C~ I (J-P) (A-H) (5) Idenfi~ of ~y~:sellcr (if private nan~ction~

222. -Bank of America Corp 223. -Blackrock In 224. -Capital One Financial Corp 225, -Capital One Financial Corp 226, -Capital One Financial Corp 227. -Carnival Corp 228. -Caterpillar 229. -Chubb Corp 230. -Cigna Corp 231. -Cisco Sys Inc 232. -CiscoSys lne 233. -Coca Cola Co

Buy (add1) Sold
Buy

09116110 09/17/10 01!22/10 07112110 10105/I 0 07/07/10 06/21110

Buy (add’l) Buy (add’l)
Buy Buy

Sold (part) Sold Sold Buy

03/08/10 I I/17/10 05/1 I/IO 09114/10

234. -Comerica Inc 235. -Concophillips

236. -Cummins Inc
.CVS/Caremark Corp ,237. ’: 238. -CVS/Caremark Corp

Sold (pan) Sold (part) Sold (pan)

09/I 0/10 01/13/10 06/24/10

I. Income Gain (’odc~: !gee Columm BI and I)41 2. Value (See (’~dtu~n~ C I a~ D3)

E -’$ 5.001 - ~,50

FINANCIAL DISCLOSURE REPORT Page 18 of 103

Name af Pe~ea Rq~rllng Standish, William L.

Date of Report [ 07/I ~’2011 ]

VII. INVESTMENTS and TRUSTS -i...o, .i.,, ,,~.,..lo., and.~,s ,koJ, o/spo.e ,~ ~e~.~e., children; see pp. J4-40 Of filing instr.cfion~)
NONE (No reportable income, assets, or transactions.)
A. Dc.,~iption of As.~ts (~l~ing ~ ~e~) Place "(X)" after ~h a~el exempt ~m pri~ ~1o~ B. Income during ~ing ~ OI A~I ~e I (A-II) (2) T~ (~ g., div., rent, or ~1.) C. Gross value at end of ~ing O) 12) Va~e Val~ C~ 2 O-P) Me~ C~ 3 (Q-W) (~) Ty~ (e.g., ~y, sell, ~emption) D. Transitions during reporting (2) ~3) ~4) Dat~ Val~ Oa~ mmt~’~ C~ 2 C~e I (I-P} (A-H) (5) Id~tity of b~/~ller (if pnva{c ~umction)

239. -CVS/Caremark Carp 240. -Danaher Carp 241. -Directv Group Inc 242. -DuPont El De Nemours 243. -EMC CorpMass 244. -EMC Coq~ Mass 245. -Energizer Holdings 246. -Exelon Carp 247. -Exxon Mobil Carp 248. -Fedex Carp 249. -First Horizon Natl Carp 250. -Ford Motor Co 251. -Franklin Res lnc 252. -GAP [nc 253. -GAP Inc 254. -General Electric Co 255. -Google Inc

Sold (parO

08f20/10

Sold

01/I 8/08

See Section VIII #3

Buy (add’l) Sold

04/28/10

I0/05/10

(part)
Buy I Ill8/10

Sold

08/27/10

Sold
Sold Buy

,06/21il0
01/22/10 ~:11/26/10

Buy (add’l) Sold

01/15/10 07/12/I 0

E -$15.001 - $50.01J0

FINANCIAL DISCLOSURE REPORT Page 19 of 103 VII. INVESTMENTS and TRUSTS - i~o,e, ~o~.,, t ....

Name of Person Reporting Standish, William L.

Date of Report

07/12t2011

¢non, (Includes those of ~ouse and dependent children: see pp. 34-60 o/filing Instntction.g)

NONE (No reportable income, assets, or transactions.)
A, Description of A~sets (including trust abets) Place "(X)" after och asset exempt from prior di~losur~ B. Income during reporting period 11) An’taunt Code I (A-H) (2) Type le.g., div., rent, or int.) C. Grons value at cad of reporting i~riod (I) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporting period (I) Type (e.g., buy, sell. rcd~mplion) (2) 13) (4) Value Gain Date mm/d~yy Code 2 Code I (J-P) (A-H) (5) [dentil’] of buys!seller (ifprivate trans~ction)

256. -Hall(burton Co 257. -Hess Corp 258. -Hewlctt Packard Co 259. -Home Depot lnc 260. -Home Depot lnc 261, -Honeywell Ingl Inc 262. -Hospira Inc 263. -Human Genuine Scienc~ ]nc 264. -IBM 265. -In format(ca Corp 266. -Juniper Networks lne 267. -JP Morgan Chase & Co 268. -Kbr 269. -Limited Brands In¢ 270. -McKesson Curp 271. -Medtronic Inc 272. -Merck & Co Inc Sold Sold (part) Buy (add’l) 09/I 6/10 ! 1/26/10 1 01/08/10 Buy Buy (add’l) Buy Sold 12/08/09 08/16/10 08/19110 01/! 1/10
Sold 08/17/10

Sold

05/25/10

(paa)
Sold 06/02/10

(part)

See Seclion Vlll

Sold (part)

09123110

I. Income Gain (’odes: I Sc Columns B I and IM ) 2 Value Co~s {,See Uoiumra ~ I a~ DJ) 3 V~ue Mc~

B =$1.001 - $2.500

=$2.501 - $5.000 I =$1.000,0¢1 , $3.000.0¢0 -$50,001 P} =$1.000.001 - $5.0~).0~0 P4 -More lhtn $50.0OO.1~O W = Estimated

E ~$I 5.1~31 -

FINANCIAL DISCLOSURE REPORT Page 20 of 103

Name o1’ Person Reporting Standish, WIIlitm L.

Date of Report

07tl 212011

V 11. INVESTMENTS and TRUSTS - i.¢o=¢. ,,a,,., r,..,,,,,,.a,,,,, a,,ct,a,~ ,,.. o~,~.~ ~,uz,-..t,,,. a,,,Z,e,,~ .. z,z,..~*-~ ofliting imtrm.’aons.)
NONE (No reportable income, ct~sets, or transactions.)
A. Description of Asset~ (including ~st as~ts~ Place "(X)" after ~ch as~t exempt from prior di~losure O. Income during reining pefi~ (D (2) Am~t T~ (e.g., C~e I div., ~nL (A-H) or int.) C. Gro~ value It end of ~ing ~ it) (2) Value Val~ C~ 2 (J-P) Me~ C~ 3 it) T~ (e.g., b~, ~11, rt~ption) (2) O) 14) Date Value m~d~ C~ 2 (J-P~ G~in C~ I (A-HI Id~tiW of D. T~nm~o~ during ~ning

trt~cti~)

273. -Microsoft Carp 274. -Morgan Stanley
275. -Motorola Inc 276. -Newell Rubbermaid In¢ 277. -News Carp Inc 278. -Nextera Energy 279. -Nordstrom 280. -Nordstrom 281. -Norfolk Southern Carp 282. -Occidental Petro Carp 283. -Omnicom Group lnc 284. -Oracle Co,p 285. -Parker Hannifin Carp

Buy (add’l)

01/26/10

Buy Buy

08/17/10 09/23/10

Buy Buy Buy (add’l)

08/27/10 07/12/10 08/12/10

Buy (add’l)

06/16/I 0

Buy add’l ) Sold

10/05/10 06/24/I 0

286. -Pepsico Inc 287. -Pfizer lnc 288. -Phillip Morris

289. -Praxir Inc

1. Income Gala {.’odes: 2. Value C~¢s

E =$15.DOI -

|

FINANCIAL DISCLOSURE REPORT Page 21 of 103 VII. INVESTMENTS and TRUSTS

Name of Person Reporting Standish, William L.

I

Date of Repor~ 07/12/2011

]

NONE (No reportable income, assets, or transactions.)
A. Description of As~ts (including t~ asse~s) Ph~ "(X)" ~fler ~ch a~t excmpl ~m pfi~ di~lo~e B. Income during ~aing ~i~ (I) (2) Am~n~ T~ (~.g.. C~e 1 div., ~nk (A-H) or int.) C. Gro~ value at ~ of r~ni~ ~ (I) {2) Value Value M¢~ C~ 2 (J-P) C~ 3 (Q-W) D. Transactions dunng ~ng (I) T~ (e.g., ~, ~ll, ~empfion) (2) (3) ~4) D~ Val~ Gain m~d~ C~ 2 O-P) (A-H)

Id~fi~ of {if privat

290..Pro~ler & Gamble Co 291. -Public Svc Enterprise Group lnc 292..Public Svc Enterprise Group Inc 293. -Qualcomm Inc 294. -Qualcomm lnc 295. -Qualcomm [nc 296. -Qualcomm 297. -Raytheon Co 298. -Schwab Charles Carp New 299. -Sempra Energy 300. -Target Carp 301. -Textron Inc Sold Sold (p~) 01108/10 08/12/I0 Buy Buy (add’l) Buy (add’l) Buy (add’l) Sold Buy (add’l) 01t08110 05/25/10 01/11/10 03/08/10 04/28/10I 08/16/10 ~

302. -ThermoFisher Scientific Inc 303. -Time Warner Buy (add’l) Sold (part) Sold (part) Buy (add’l) 01/14/10 07/07/10 09/08/I 0 106/02/10

304. -Time Warner Inc 305. -Tyco inll L~d - W/I 306. -Unilever PLC ADR

FINANCIAL DISCLOSURE REPORT Page 22 of 103 VII. INVESTMENTS and TRUSTS

Name of Person Repoelln~ S{andish, William L

Date of Report 07/1212011

NONE (No reportable income, assets, or transactions.)
A. I),.-scnption of Ass~t.s (including trust assets) Place "(X)" after ~ch asset exempt from prior disclosure B. Income during reporthag p~riod (I) 121 Amount Type (e.g. Code I div., rent. (A-H) or ira,) C. Gro~s valu~ at ~ of repotaing period (I) (2) Value Value Code 2 Method {J-P) Code 3 (Q-W) D, Transactions during r~nozl.ing period (I) TyI~ (e.g., buy, gll, rod=mption) (21 (3) 14) Date Value Gain mm/d~’yy. Code 2 Code I (J-P) (A-H) (5) Identity of b~Tef!seller (if pdvate transition)

307. -Vale SA-Sp ADR 308. -Veretex Pharmaceuticals Inc 309. -Verctex Pharmaceuticals Inc 310. -Visa lnc CI A 311. -Wells Fargo & Co New 312. -Wells Fargo & CoNew 313. -Whirlpool Corp 314. -XTO Energy Inc 315. -Defenders M-S Hedge Fd (Name Chg From BNV M-S Hedge Fd) 316. -Dreyfus Mid Cap Index Fd 317. -Dreyfus]Newton Intern Equity-I 318. -Ishares S&P GSCI Commodity-lnd 319. -Ivy M-S Hedge Fd (Name Chg To B NY MS Hedge Fd)

Sold (part)
Sold

01/14/10 06/25/10: 08/18/10 08/13!10 09/16/I 0 11/26/10 06!16/10 12/01/09 See Section Vlll #7

Sold Buy (add’l) Buy (add’l) Sold Sold

03/31/08

See Section VIII #7

320. -Strategic Global Stock Fund 321. -BNY Hamilton Glbl Real Estate 322. -BNY Mellon Emerging Mkts Fund CI M 323. -BN¥ Mellon Int’l Fund CI M Sold 09/15/08 See Section VIll #3

E =$15.0OI - $50.~

FINANCIAL DISCLOSURE REPORT Page 23 of 103

N~me of Pt’~o~ ReporTing Standish, William L.

Date of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust a~ets) Place "(X)" after each as~t exempt from prior disclosure 13. Income during reporting period O) Amount Code I (A-H) (2) Type (e g.. div., rent, o¢ int.) C. Gross value at end ot’rt-por6ng period (I) Value Code 2 (J-P) (7) Value Method Code 3 {Q-w) (t) Ty~ (e.g., b~,, s~ll, redemption) (2) (3) (4) Dale Value Gain mm/dd/y’y Code 2 Code I (A-H) (J-P) (5) Idmlity of buyer/seller (if private tra~.~ction) D. "l’raosactiora during reporting period

324. -BNY Mellon Mid Cap Stock Fd CI M 325. -BNY M-S Hedge FD (Name Chg To 12/01/09 Se~ Sect on VIII # 7

Defenders M-S Hedge Fd)
326. -BNY Mellon Natl Inform Muni Bd Fd CI M 327. -BNY Mellon Natl S/T Muni Bond Fd ’ 328. -BNY Mellon Optima L!S Slrategy Fd LLC 329. -BNY Mellon Small Cap Stock Fund CI M 330. -BNY Mellon US Equity Core 331. Trust #4 (1/6 Income lot) ,32. -BNY Mellon MM Fund CI M 333. -AT&T Inc 134. -Accenture Lad 335. -Aetna Inc : 336. -Alliance Data Sys Corp Buy Buy Buy (add’l) 08/20110 o6/24/10 Sold Sold 01/11/10

D

Div & lot

0

T
Mon Mkt Inv

M

D See Secuon VIll #1

06/18/09

See Section VIII #3

¯ 337. -AIIscripts-Misys Healthcare Solution 338. -American Express ! 33q. -American Express 340. -Amerprise Finl Inc

07il2/10

I. Inccn~te Gain Ctides:

A ~t 1,00O or less

B ~$1,001 - $2.500

FINANCIAL DISCLOSURE REPORT Page 24 of 103

Standish, \Villlam L. [

07/1212011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including tms~ assets) Pl~ce "(X)" afl~" each as~,~t exempt from prior di~:los~r¢ B. Income during t’~--porting I:~nod (I) Amount ~ode I (A-H) (2) Typ~ (.g., div., rent, or int.) C. Gross value a! end orr~lxming period (I) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) D. Transactions during reporling I:~riod (I) Typ~ (e,g., b~y. sell. redemption) (2) (3) (4) Date Value Gain mm~dd,’yy Code 2 COde I (A-H) (J-P)

Identi0, of buyer/relier {if private ~n~action)

341. -Amgen Inc 342. -Amgen Inc 343. .Amylin Pharmaceuticals Inc 344. -Amylin Pharmaceuticals Inc 345. -Anadarko Petroleum Corp 346. -AOL Inc 347. -Apache Corp 348. -Apple In," 349. -Apple Inc : 350. -Autoliv lnc I 351. -Bank ofAmeri..a Corp 352. -BankofAmerica Corp 353. -Blackrock Inc 354. -Capital One Financial Corp 355. -Capital One Financial Corp 356. -Capital One Financial Corp 357. -Carnival Corp

Sold (part) Sold Buy Buy (add’l) Buy Sold

02118/10 08/16¢10 05/1 I/I 0 06/24/10 06123110 01/07/I0

Sold (part) Buy (add’l) Sold (pan) Buy (add’l) Buy (add’l) Sold Buy Buy (add’l) Buy (~d’O Buy

01/26/10 04128/10 09/23/I 0 05/I 1/10 09II 6/10 09/17/10 01/22110 07/I 2/I 0 10/05/I 0 07/07/10

2. Value

A = $ I ,QO0 ~ los F=$50,001 - $1o0,00~ J "$15,0~ or Ics~, p) =$25,0~),001 O =Apl U =B~ok Vah~¢

C’ =$2,501 . L ~-$50.001 . $100.000

3 Value Method Cod~s (S~’~ Column

FINANCIAL DISCLOSURE REPORT Page 25 of 103
Vii. INVESTM ENTS and TRUSTS

Name of Pe.oa Rt~or’flng Standish, William L.

I

Date of Report 07;12/2011

I

NONE (No reportable income, assets, or transactions.)
A [X-scriplion of Asse|~ (including mast a~sets) Place "(X)" after each asset exempt from prior disclosure B. Income during reposing period (I) (2) Amotmt TyIx (e.g., Code I div., rent, (A-|I) or ant) C. Gros~ value at end of repoaing pc.riod (I) (2) Value Value Code 2 Method (J-P) Cod~ 3 (Q-W) (I) Typo (e.g., buy. sell, rcdunplion) D. Tmsactions during r~porting pc’nod (21 131 Date Value mra!dd/yy Code 2 (J.P) 14) Gain Code I (A-H) (51 Identity of buyet/s¢ller (if private transaction)

358. -Caterpillar Inc

Buy

O6/21/10

359. -Chubb Corp
360. -Cigna Corp
361. -Cisco Sys Inc

Sold (part) Sold (part) Sold Buy

03/08/I 0 11/17/10 0511 I110 09/14110

362. -Cis¢o Sys In

363. -Coon Cola Co

364. -Comerica Inc

365. -Concophillips

366. -Cummins lne 367. -CVS/Caremark Corp
368. -CVS/Caremark Corp

Sold (part) Sold (part) Sold

09/10/10

01!14/10

06,r24/I 0

(pan)
369. -CVS!Caremark Corp 370. -Danaher Corp 371. -Defenders M-S Hedge Fd (Name Chg BNY/Ivy M-S Hedge Fdl 372. -Defenders Multi-Strategy Hedge Fund LLC Sold 08/20/I 0

12101 r09 Sold (part) LI/18/IO

See Section VIII ~7

373. -Du Pont El De Numours 374. -EMC Corp Mass Buy (add’l) 04128/10

I Income Gain (.’odes; (gee Col~rm$ O I and D4 ) 2 Value (.’od~s Cge-: t’olumnt (’1 and DJI 3. Valur Method Corks (See (oltuma 12)

A ~$ I.flOO nr less F ~$50.001 - $ I00.00~1 J ~115,000 or less N ~$25U.001 P3 -$25,000.001 - $50.000.0t’~O Q =Apt-caisaI U ~B~,k \’alu¢

Pt =$1.001 - $2.500 G = $ 100.0(I I - $ I .flO~.0OO K *$1~.001 . $50:300

C =$2.501 - $5.000 H I -$ I ,OOO.O01 - $ S,O00.000 L ~$$0,001 . $100,000 P4 =More than $50.000.00"1 S =As.~ssmcnt W =E~timated

D =$ 5,001 - $15.0OO H 2 oMit© Ih~n $5,000.O00 M -$100.1001 . $250,000

E -$15.(101 - $50.000

R ~.’ost treat Estate O~ly) V -O~her

T =Cash Market

FINANCIAL DISCLOSURE REPORT Page 26 of 103

Nume of Person Reporting Standish, William L.

Date of Reporl 07/12/201

NONE (No reportable income, assets, or transactions.)
A. D~cription of Assets (including trust asset~) Place "(X)" after each ~sct exempt from prior disclo~re B. [neons: during rt.porting pm’iod (I) (2) Amount Type (e.g., Code I div., rent. (A-H) or ira.) C. Gr~s value at end of reporting period (I) (2) Valu~ Value Method Code 2 Code 3 (J-P) (Q-W) D. Transactions during reportm8 l~riod (I) Typ~ (e.g., buy, sell, redemption) (2) (3) (4) Gain Date Value mm/dd/yy Code 2 COde I (A-H) (J-P) 15) Identity of buyer/seller Of private transaction)

375. -EMC Corp blass

Sold (part) Buy Sold

10/05/10 I 1/18/10 08/27/10

376. -Energizer Holdings
377. -Exelon Co~ 378. -Exxon Mobil Corp 379. -Fedex Co~ i 380. -First Horizon Nat’l Corp
381. -Ford Motor Co

Sold Sold Buy

06121110 01/29/10 11/26/10

i

382. -Franklin Res Inc

i383. -G~plne

Buy (add’l) Sold

01/15/10 07/12/i0

i

384. -G-pine

395. oGener~l Electric Co 3~6. -Google |he 387. -|talliburt~n Co

398.

-Hess Corp

389.

-Hewlett PackardCo -Home Depot lnc

Sold Sold (part) Sold (part)

08117fl 0 05/25/I 0 O6/02/10

i 390.

391. -Home Depot Inc

$2.500
2. Value Cedes

D -$5.0~1 - $ 15.(XIO

E =$15.001 - $50.0~0

=$~.~1 - $1.~.~

P2 - $5.00(I.001 -

FINANCIAL DISCLOSURE REPORT Page 27 of 103

Ntme ot Per+o. Rt, portlng Stnndish, William L.

NONE (No reportable income, assets, or transactions.)
D~criprion of Assets (ineloding tn~t a~ts) Place "(X)" ~xc~t ~om ~ di~lo~ lnc¢rrm during ~ing (I) C~ I (A-H) div., rent, or int.) Gro~* value at end of reporting period (I) Value Code 2 (J-P) (2) Value Method Cod~ 3 during ix’porting period

(I) TyI~ (~.$., r~d~mption)

(’2.) (3) (4) Date Value mm/dd/yy Code 2 (J-P)

Gain Code ! (A-H)

Identity of buy~’/$ell~ (if private tmn~ction)

392. -Honeywdl Int’l lnc

393. -Hospir~Inc 394. -Human Genome Sciences Inc 395. -IBM 396. -Inforrnatica Corp 397. -JP Morgan Cha~ & Co 398. -Juniper Networks Inc
399. -Kbr Ine 400. -Kraft Foods Inc Sold Sold Sold Sold (part) Buy (add’l) 01111/10 09/16/10 08/03~07 11/26/10 Ol/OS/lO See Section VIII #3

Buy (add’i) Buy (add’l) Buy

02/I 8/10 08/16/10 08/19/10

401. -Limited Brands Inc 402. -McKesson Corp 403. -Medtronic Inc
404. -Merck & Co Inc 405. -MicrosoR Corp 406. -Morgan Stanley 407. -Mosaic Co 408. -Motorola Inc

Sold (parO Buy (add’l)

09123110 01/26/10

Sold Buy

04/17/09 08/17!10

See Section VIII #3

A ~$1,0(I0 or less F =550.001 J =$15,000 or less N =$250.001 . Q

D -$5.001 - $15.0~0 112 ~Mor¢ than M -$100.001 P2 -$L000.0OI T =f.’ash Mark~

FINANCIAL DISCLOSURE REPORT Page 28 of 103

Name of Person Reporting Standish, William L.

Date of Rep~r~

07/1~J2011

NONE (No reportable income, assets, or transactions.)
A. D~cription of Aaseta (inclu~ng trust a~) Place "(X)" a~r och ~g~t exempt t~om wior die.sine B. Incom¢ dunng ~ing p~ O) (2) ~unt T~ (e.g., C~ I div., ~ (A-H) or int.) C, Gro~ va~ at ~d of ~ing ~ (t) (2) Value Va~ C~e 2 Me~ (J-P) C~ 3 (Q-W) (I) ~ (e.g.. ~y. ~11, ~mpt~n) D. T~acfi~ ~ng ~ning (2) (3) (4) ~te Value C~e 2 m~ (J-P) (5) Id~,i~ of buys/seller (if wi~xe t~nsaction)

~in C~e 1 (A-~

409. -Newell Rubbermaid lnc 410. -News Corp Inc 411. -Nextera Energy Inc 412. -N~dstrom 413. -Nor&qtrom 414. -Norfolk SouthernCorp 415. -Occidental Petro Corp 416. -Occidental Petro Corp 417. -Omnicom Group Inc 418. -Oracle Corp 419. -Parker Hannifin Corp 420. -Pepsico Inc 421. -Pfizer 422. -Phillip Morris 423. -Praxair Ir~c 424. -Procter & Gamble Co 425. -Public Svc Enterprise Group lnc

Buy

09T23/10

Buy Buy Buy (add’l)

08,27110 07/12/10 08!12/I 0

Buy Buy (add’l)

04,28/10 06/16/10

Buy (add’l) Sold

10/05/10 06/24/10

Buy

01/08/10

Gain (’o~:s:

A

FINANCIAL DISCLOSURE REPORT Page 29 of 103

Name of Person Reporting Standish, William L.

Date of Repor~ 07/I 2/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Asse~ (including trust assets) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period (I) Amount Code I (A-H) (2) Type (e.g., div., rent, or int.) C. Gross value at cad of reporting period (I) (2) Value Value Code 2 Method Code 3 (J-P) (Q-¢O D. Transactions during reporling period (I) "l’yp~ (.g~ buy, sell, redemption) 12) 13) 14) Date Value Gain mm/dd,’yy Code 2 Code I (J-P) 1A-H)

IdcntiO, of buye~/setter (if private transaction)

426. -Public Svc Enterprise Group Inc 427. -Qualcomm Inc 428. -Qua/comm lac 429. -Qualcomm Inc 430. -Qualcomm Inc 431. -Raytheon Corp 432. -Schwab Charles Corp
433. -Sempra Energy 434. -Target Corp 435. -Textron lnc

Buy {add’l) Buy {add’l) Buy (add’l) Sold (paa) Buy (add’l)

05/25/10 01/11/10 03/08/10 04/28/10 08/16110

Sold Sold (part)

01/12/10 08/12/10

436. -ThermoFisher Scientific Inc
437. -Time Warner ]no 438. -Time Warner Inc 439. -TJX Cos Inc 440. -Tyco Int’l Ltd 441. -Unil¢ver PLC ADR 442. -Vale SA-Sp Buy (add’l) Sold (part) Sold Sold (part) Buy (add’l) 01/14/10 07/07/10 12/09/08 09/08/10 06/02/10

See Section Vlll #3

I. lace,me Gain Codes:

A =$1.0~0 o* less

B =$1.001 . $2.500

C ~$2.501 - $5.~ .

D =$$.~)t - $15.~

E -$15.u01 -$50.000

(~¢ Colm~ms CI and O3) 3. Value Met~ C~s

N -$2~.~1 - $~.~ O -A~ai~l

O =$~.~1 - S I.~.~ g <’~ {R~I Es~¢ ~ly)

Pl =Sl.~.~l - 15.~.~ S =A~t

P2 ~$5.~.~1 - $25.~.~1 T ~a~h

FINANCIAL DISCLOSURE REPORT Page 30 of 103

Name of Per,~on Reporting Standi$1~ William L.

Date of Report 07/I)~2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (ir~cluding trtt~t assets) Place "(X)" a/~cr each assel exempt fro~ prior disclosure B. Income during reporting period (I) Amount Code I (A-H) 121 Typ~ (e.g., div.. rent, or int) C. Gross value at end of reporling period (I) Value Code 2 (J-P~ {2) Value Method Code 3 (Q-W) (I) Type (e.g., buy, ~11, r~demption) D. "l’ransac~iom during rq~orting period (2) (3) Dale Value mmldd/yy Code 2 (J-P) (4) Gain Code I (A-It) (5) Identity of buycr/selk’r (if private transaction~

443. -VeretexPharmaceuticals lnc 444..Veretex Pharmaceuticals Ine 445. -Visa Inc - CI A 446. -Wells Fargo & Co New 447. -Wells Fargo & Co New 448. -Whirlpool Corp 449. -Xto Energy Inc 450. -BNV Hamilton Global Real Est-1 45 I. -BN¥ Ivy M-S Hedge Fd (Name Chg To Defenders M-S Hedge Fd) 452. -Dreyfus Basic S&P stk Index 453. -Dreyfus Mid Cap Index Fund 454. -ishares S&P GSCI Commodity Ind Trade 455. -Strategic Glbl Stk Fd 456. -BNY Mellon Emerging Mkts Fund CI M 457. -BN¥ Mellon Int’l Fund CI M 458. -BNY Mellon Mid Cap Stk 459. -BNY Mellon Natl Interm Muni Bd Fd C1 M

Sold (part) Sold Sold Buy (add’l) Buy (add’l} Sold Sold Sold

01/14/10 06/25/10 08/18/10 08/13/10 09/16/10 11!26/10 06/1610 09/15/08 12/01/09

See Section VIII #3 See Section Vlll #7 See Section VIII #3

Sold

02/07107

I. In,,me Coin Codes:

A =$1.000 or Ic~

gt -$1.001 - $2.500

C "$2.~1 - $5.~

D =$5.~1 - $15.~

E ~$15.001 -

P3 -$25.~.~1 - ~.~.~

P4 =M~ than

FINANCIAL DISCLOSURE REPORT Page 31 of 103 VII. INVESTMENTS and TRUSTS

Name o[ Person Reportls~ Standish, William L.

Date or Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (inch~ding troxl asseLs) Place "(X)" after each asset exempt from prior disclosure B. Income during reporting pt-dod (I) !2) Amount Type {e.g~ Code I div.. mot, {A-H) or int.) C. Gross value at end of reportin8 pcnnd (I) 12) Value Value Code 2 Method Code 3 (.I-P) (Q-W) D. Transactions during repo~.ing IX~tiod (I) Type (e.g~ buy, s~ll, redemption) (2) 13) Date Valu~ mm.~dd/yy Code 2 LI-P) (4) Gain Code I (A-H) (5) Identity of buyer/seller (if private transaction)

460. -BNY Mellon Nail ST Muni Bd Fd CI M 461. -BNY Mellon-New, on Intl Equity Trade (Name Chg To Dreyfus) 462. -Dreyfus/Nevaon lntl Eqty 0qame Change Fr BNY Mellon-Newton) 463. -BNY Mellon Optima L/S Strategy Fd LLC 464. -BNY Mellort Small Cap Stock Fund CI M 465. -BNY Mellon US Core Equity 466. Custody Acct #1 (100% Interest) 467. -PNC PA Tax Exempt MM Fund # 424 468. -Abbott Laboratories 469. -Abbott Laboratories 470. -Agilent Tech Ine 471. -American Express 472. -Automatic Data Processing 473. -BJW lnc (S Corp) Alexandria, V 474. -Emerson Electric Co 475. -Exxon Mobil Corp 476. -Frontier Comm D D D C D None Dividend Dividend None Dividend Dividend Dividend M M M K N N T T T

Buy

09/01 i09 01104/10 01/04/10

See Section Vlli #3

D E

Inlerest Dividend

K O

T
T

open
Sold (part) Sold (part)

03/31/10 04/19/10 10/28/10

N L L F F

u T T T

I. tn¢ocr~ Gain Uod¢~:

A ~il.tlO0 or less

B =$1.001 - $2.500

C -$2201 - $5.~

D ~15.~1 - ~15.~

FINANCIAL DISCLOSURE REPORT Page 32 of 103 VII. INVESTMENTS and TRUSTS -

Name of Person ReportLng Standish, William L,

Date of Report 07/I 2120

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (inckK~ing trust ~sse~s) Place "(X)" aRer each asset exempt from prior disclosure B. Income during r’q~ning p~fiod (I) 12~ Amount Typ¢ (e.g~ Code I div., rent, (A-H) o¢ int.) C. Gross value at end of repo~ng period O) Value Code 2 (J-P) ~2) Value Method Code 3 (Q-W) T (I) Typ~ (e.g., buy, sell. redemption) D. Transitions during reporting (2) Date mm/dd/yy (3) (4) Value Gain Code 2 Code I (J-P) (A-H)

Idet~tity of tmy~iscller (if private transaction)

477. dDcneral Electric Co

D

Dividend ]

i

M

Donated

07/06/10

K

I
i

I
Donated
Sold

478. -General Electric Co
479. -Grit Plains Energy ln¢ 480, -H J Heinz Co 481. -lshares MSCI Pacific Ex Jpn 482. -Johnson & Johnson 483. -JP Morgan Chas~ 484. -Merck & Co 485. -Merck & Co 486. -Microsoft Corp 487. -Monsamo Co 488, -National Grid PLC 489. -National Grid PLC 490. -Nestle S A 491. -Oracle Corp 492. -Pepsico Inc 493. -Pfizer D C D B Dividend Dividend Dividend Dividend D B D Dividend Dividend Dividend B D C E A E Dividend Dividend Dividend Dividend Dividend Dividend

! lit0/10
04/19/10

L
M A

N M O M O

T T T Buy 04/19/10 L

T T Sold Sold (part) 04/19/10 10/28/10 L L F F

O M L

T T
T Buy 04/19/10 M

Sold (pan) N N M T T T Sold

08/20/10

D

10/25110

2, Value (’odes ISce Column, C I ~ D3)

A =$1.000 or less F"S50.001 - $100.000 J~$ I 5,000 o¢ less N =$2.’10,0~1 . $500,000 P3 =$25.G0~,~1 - $~0.0t~.000 O =Appraisal U = Oc~,k Valm:

B -$1.001 - $2,500 G-$ 100.001 - $ 1,000,000 K -$1L00! - $50,000 O~$500,001

D =$5.o0! H2 =Mote than $5.000.000 M =$ t00.e,01 - $250.000 P2 "$5.000.001 T :Cash Market

E =SiS,flOe -$50,000

V

FINANCIAL DISCLOSURE REPORT Page 33 of I03

Name of Per~om Reporting Standish, William L.

Date of Repert

07112./2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets [ir~luding Iru~ assets) Place "(X)" after each asset exempt from prior disclosure 11. Income during reporting period (I) Amount Code I (A-H) (2) Type leg., div., real, or int.) C. Gross valt~ at end of r~)orting period II) (2) Value Vak~¢ Code 2 Method (t-P) Code 3 (Q-W) {I) Typ~ (e.g., buy, sell. redemption) D. Transactions dm’ing reporting period {2) (3) (4) Date Value mm/dd/yy Code 2 (J-P) (5) Identity of buyer!seller 0f privale transactionl

Gain (’ode I (A-H)

494. -Philllip Morris 495. -Procter & Gamble 496. -RPM Int’l Inc 497. -Schlumberger Lid 498. -Striker Corp 499. -3M Co 500. -Tortoise Energy Infrastructure 501. -Transcanada Corp 502. -Verizon Communications 503. -Vulcan Materials Co Corn 504. -Allegiant PA MM Fd 505. -Cocalico SD PA 2.0-2014 506. -Monroe County PA 2.8-2016 507. -Nazareth PA School Dist 3.5-2010 508. -South Western SD PA York 3.15-2018 509. -PA St 4.0-2011 510. -Ltd Partnerships --

C D D D C D C

Dividend Dividend Dividend Dividend Dividend Dividend Dividend None None

M N M O N N M M M L

T T T T T T T T T T Closed 03/31/I 0 01/08/10 N M Buy Buy Buy 04/19/10 10/28II0 I0/28110 M M M

B A A C C B C

Dividend Interest Interest Interest Interest Interest Interest

M M

T T

Buy

Matured M M T T Buy

1 I/I 5/10 05/I 8/10

L L

I. Income 13aia Cod~:

A ~$1.000 m" less

B ~$1.001 - $2,~i00

C =S2,501 - $5.0fl0

D -$5.001 -

(S-.-e Columns C I and D31

N -1250,001 - $50~.1:~0 P} -$25.0~O.0OI - $51~.0(J0.000 U = Book Value

O -$54:)0,001 ¯ $1.000.000

PI L$I,OO0,001 P4 -Mor~ than W -Es!imateA

~ .~.’¢ Columo 1"2 }

V -Other

FINANCIAL DISCLOSURE REPORT Page 34 of 103

I

Name of Person Reporting Standish, William L.

Date of Report 07/1:)’2011

NONE (No reportable income, assets, or transactions.)
D~-~’ription of Assets (including trust ass,~s) Place "(X)" aller e~ch asse~ exempt from prior disclosu~ Incom during r~orting period (l) (2) Amount Type (e.g., Code I div., rent, (A-H) or int.I Grosa value at ~ of repoaing period (t) (2) Value Value Code 2 Metlu3d Code 3 (J-P) (Q-W) Tmnsaclions during r©porling period

(I) Ty~ (e,g,. buy, sell, r~demption)

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

(2) Date

(4) Gain Code I (A-H)

(5) Identity of Imyerlseller (ifpnvate tra:~’c,’a clion)

51 I. -One Atlanta A.ssoes - Atlanta.GA Real Estat~ 512. -J&S Realty Markham - Ontario Real F.st 513. Bank AccB 514. -Mellon Bank N. A. 515. -PNC Bank 516. Tr0st #5 (I 00"/, Income Interest) 517. -Blackrock MM Munifund # K-1 518. -Blackrock MM Tempfund # HI 519. -Apache Corp 520. -Apple lnc 521. -Bank of America Corp 522. -Bard C R Inc 523. -Baxter Intl Ine 524. -BP PLC Spons ADR 525. -Bristol Meyers Squibb Co 526. -Coca Cola Co 527. -Del Monte Foods Co

AI

Distribution

K K

w

A Dislr~ution

A C E

Interest Interest Div & InS

N O PI Mon Mkt Inv Buy Buy
Buy

M

G

See Section Vill #I

06/30/04 12/06/10 07/15/10

See Section VIII #3

Sold

05/07/10

Sold (pan) Sold

12/06/10 O4/07/10

1. Income Gain Codc~: IS¢c Coluznns B I Imd D4) 2. Value Code~ (S¢ Columns t-] and D3.~ 3. Value Mctho~ t’L~Ic, ( Sc.c C,~lumn t’2 )

A -$ I .t’/JO or less F =$50.0~1 - $100.000 J =$15.000 m less N -5250.0(}I - $500.000 P$ *$25.0(10.001 . $~0.000.000 Q -Appraisal U ~Book Vah~

B =|1,001 - $2,500 G =$100,001 - $1.000,0(]O K ~$15.001 - $50,000 0 =$500.0~I . $I.O00.00~ R ~’ost {R~I Es~le On]y) V --Other

C =$2.501 - $5,0~3 HI =$1,000.0OI. $~.(X)O.O00 I =S50,00l - 511~.000 Pl =$I .000.001 - 55.000.000 P4 -M~e th~n S ~Ass.~srn~n! W=

D -$5.001 . $15.0OO H2 reMote than M =| 100.~)l - 1250.0~0 P2 =$5.0~0.(X~I T =C:tsla Markel

FINANCIAL DISCLOSURE REPORT Page 35 of 103

Date of Report

07/1~’2011

VIi. INVESTMENTS and TRUSTS-~,~o,~o. ~,~,o., .....
NONE (No reportable income, assets, or transactions.)
Dexcription of Assels (including trust ~¢t~) I~ac~ "IX)" after ~’ach ass~ exempt from pfi~ di~lo~atre Income during reporting period (1) Amount Co~ I (A-HI 12) Tyl~ (e.g., div., rent, or int.)

cliom(Int’tadesthoseof,po ....

dd¢pendentchildrenzxeepp. 34.aOoffilingin~lractlom.)

Gros~ value at end of reponing period (I~ (2) Value Value Melhod Cod~ 2 (0 Type (e.g., b~’, sell, redemption)

Tr~m~actions during reporting period (2) (3) (4) Date Value Gain mm/dd/yy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private Ir~ns~ction)

(Q-W) 528. -Disney Walt Co 529. -Dow Chemical Co 530. -Exxon Mobil Carp 53 I. -FPL Group Inc (Name Change To Nextera Energy Inc) 532. -Franklin Res Inc 533. -Frontier Communications Co (spin off From Verizon Comms)
534. -Frontier Communications Co 535. -General Electric Co 536. -Goldman Sachs Group Inc 537. -H l Heinz Co 538. -Intel Carp 539. -Ishares Trst MSCI Emerg Mkts Index Fd
540. -Johnson & Johnson

06/O3/10

Spinoff 07/02/I 0 (from line 554)
Sold 07/16/10

Buy

12/06/10

Sold (pan)

12/06/10

541. -Master Card

542. -McDonalds Carp CI A 543. -Microsoft Carp 544. -JP Morgan Chase & Co
Sold (pag) 12106/10

I. Incmn.: Gain (See Columns BI and 2. Value Codes (Scc Coh~ CI ~d D3) 3 Val~ M~ ~’~ l~ Colunm

D =$5.001 - $ I 5.000 H2 =Marc than M -$ I00.001 -

E

T *(.’ash Market

FINANCIAL DISCLOSURE REPORT Page 36 of 103 VII. INVESTMENTS and TRUSTS -

Name of Person Reporting Standish, william L.

I

Date of Report 07/I 2/2011

[

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including tmsi assets) Pine= "(X)" afl~ each as.q:t exempt from prior disclosure B. Income during reporling period (I) (21 Amount Type (e.g., Code I div., rent, (A-It) or int.) C. Gross value at end of t~-’poning period H) (2) Value Value Code 2 Method (J-P) Code 3 (Q-W) (I) Type (e.g.. buy, ~II, redemption) D. Transactions during reporting I~riod (2) (3) (4) Date Value mm/dd~ Code 2 (J.P) (5) Identity of b~Jyer/seHer (if private nar~aetioa)

Gain Code I (A-H)

545. -Molorola Inc 546. -Motorola Inc 547..Nextera Energy Inc (Name Change From FPL Group Inc) 548. -Nike Inc CI B 549. -Perkins Mid Cap Value (Name Chg Fr JanUS Mid Cap Value) 550. -Schlumberger Ltd 551. -3M Co 552. -The Travelers Co 553. -Time Warner In¢ 554. -Verizon (SpinoffofFrontier Communications) 555. -Wal-Mart Stores 556. -Waste Management inc 557. -Wells Fargo & Co New 558. -Calamas Growth Fund H606 559. -Janus Mid Cap Value #57 (Name Chg To Perkins Mid Cap Value)

Sold (part) Sold

04/07110 07/15/10 06/0311 o

07/01/09 Sold 12/06/10 12106/I 0

See Section VIII #7

(part)
Sold (part)

Closed 07/02/10

See Section VIII #8

Buy

12/06/10

07/01/09

See Section VIII #7

560. -Vanguard FTSE All World Ex-US Index Fd 561. Trust #6 (100% Income Interest)

F

IntJDiv.

Pl

T

G

See Section VIII #1

E =$ I S.(lO I .

FINANCIAL DISCLOSURE REPORT Page 37 of 103

[Name of Person Rel~rtlnz Standish, William L

I

Date of Reporf 07!lZt2Ol I

I

NONE (No reportable income, assets, or o’ansactions.)
A. Descript~os~ of Assets (including ~t a~) Place "(X)" after each ~t exempt ~m prior ~lo~ B. Income du~ing ~ng p~ O) Amour C~e I (A-H) (2) T~ (e.g., div., ~t, ~ inL) C. Gross value at ~ of ~g (I) (2) (~) Value Y~lue (J-P) C~e ] (~W) Ty~ (e.g., ~dem~n) D. T~ctions du~ r~ng peri~ (2) ~le (3) (4) Value Ga~ (J-P) (A-H) (5) Identi~ of (if private ~n~ciion)

562. -Blacktock MM Munifund # K l i 563..Blackrock MM Tempfimd# HI
i 564. -Abbort Laboratories Inc 565. -Apache Corp 566. -Apple Inc

1

Mon Mkt lay Buy Sold (part) Buy Buy Buy (add’l) 06/30/04 12/06/10 12/06/10 i 07/15/I 0 07/15/10

See Section VII! #3

:~ 567. -Bank of America Corp
568. -Bard C R Inc

569. -BP PLC Sports ADR ~70. -Bristol Myers Squibb Co

Sold

05/07/10

57i. -Coca Cola Co

572. -El Dupont deNemours

573. -Emerson Elcclric Co 574. -Exxon Mobil Corp 575. -FPL Group Inc (Name Change To Nexlera Energy Inc’~

Sold (part)

12/06/10

06/03/10

576. -Franklin Res Inc 577. -Frontier Communications Co (spin off From Verizon Comms) 578. -Frontier Communications Co
Spinoff [ 07/02/10

(from line 600)[
Sold 07/16/10

FINANCIAL DISCLOSURE REPORT Page 38 of 103

Name ~1’ Person Reporting Standish, William L

Date of Report 07,’12/2011

NONE (No reportable income, assets, or transactionx.)
A. Deserip(ion of Assets !inch~ding ~rust a.’~et’O Place "1X)" after ~ch asset exempt l~om prior disclosure . B. Income during r~orting p~riod (I) Amount Code I (A-H) (2) Type (e.g., div., rent. or int.) C. Gross value a! ~ of reporting po’iod 111 Value: Code 2 O-P) (2) Value Method Code 3 (Q-W) (I) Typ~ (e.g., buy, sell, redemption) D. T~nsactioos during reporting pe~od (2) (3) Date Value mm/dd~yy Code 2 (J-P) (4) Gain Code I (A-H) (5) Identity buyerlseller (if private transaction)

579. -General Mills Inc 580. -Golman Sachs Group Inc 581. -Google Inc CI A 582. -Home Depot 583. -lntel Corp 584. -Ishaxes Trust MSCI Emerg Mkts Index Fd 585. -JP Morgan Chase & Co 586, -Kimberly-Clark Corp 587. -Masler Card Inc C1A 588. -McDonalds Corp 589. -Microsoft Corp 590. -Motorola lnc

Buy

I~0~10

Sold (p~)

12/06/10

Buy

12106/I 0

Sold

07/15/10 06/03/I 0

591. -Nextera Energy Inc (Name Change From FPL Group Inc) 592. -Pfizer lnc 593. -Phelps Dodge Corp Sold Closed

07/15/10 03/17/07 See Section VIII #9

594. -PPG Industries 595. -Proctor & Gamble Co

[. lacome Gaon ( odc~.

A =$1.000 or less

B =$1.0OI - $2.g’]O

C ~$2,501 - $5.~

D ~55,(~ I - $15.~

FINANCIAL DISCLOSURE REPORT Page 39 of 103 VII. INVESTMENTS and TRUSTS F--]

I

Name of P¢~on Reporting

J

Date of Report

Standish, William L. I

071120011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets lincluding trust a~ets) Place "(X }" after each asset exempt from prior disclosure B. Incom~ during reporting period (I) Amount Code I (A-It) 121 Type (e.g., div., rent, or int.) C. Gross value at end of reporting period (I) Value Code 2 (J-P) (2") Value Method Code 3 (Q-W) 11) Type (e.g., buy. sell, rede,.mptlon) D. Transactiora during reporting period (2) {3) (4) Dale Value mm/dd/yy Code 2 (J-P) ~5) Identity of buyer/seller (if private tr~nssction)

Gain Code I (A-H)

596..Qualcomm Inc 597. -Sehlumbcrger Lid 598. -3M Company
599. -Vanguard FTSE All World Ex-US Index 600. -Verizon (SpinoffofFrontier Communications) 601. -WaI-Mart Stores Inc

Sold (pan)

12/06/10

07/02/I 0

602. -Waste

Management Ine

Buy

12/06/10

603. -Wells Fargo & Co New 604. -Zimmer Holdings Inc 605. Trust #7 (No Income Rec’d) 606. -Blackrock MM Munifund # KI

None

P2

T Mon Mkt Inv Buy 06/30/04

PI

G

See Section VIII #1

607. -Blackrock MM Tempftmd # HI 608. -Cumberland Cnty PA 3.375 - 2015

See Section VIII #3

609. -Forest Area Sch Dist PA 3,3-2012

Matured 11/08/I 0

610. -Indiana St Fin Auth Rev 4.0-201 !

61 I..Monroe

Twp PA 3.0- 2010

Matured 08/02/10

612. -N Coventry Twp PA 3.15 - 2014

I Incam¢ Gain Cod.:~:

A *$ 1.000 ot Ic~*

B -$1,001 - I2.500

(’ -$2,5OI - $5,000

D -$5,0~ I - $15,000

tSce (.’nla’~ CI and D3) 3. ~.’aluc Method Codes

N -$2.qLOOI P3 -$~.000.0~ I . $50.000.~10 0 P4 *Mote than $50,000,000

FINANCIAL DISCLOSURE REPORT Page 40 of 103

Na~ of Pee~o~ Rq~rting Staadhh, William L.

Dtte of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
D~icription of A~’Is (including trust assct~l Place *(X)" aflez ¢ach asset exempt from prior disclosure Gross value at end Income during of ~eponing p~-iod rq~rting period (1) (2) (I) (2) Valu~ Amount Type (_g., Value Code I Code 2 Method div., r~t, (A-H) Code 3 or inL} (J-P) (@w) Tr~rmctions during r@orling I~’iod
(2) 13) (4~ Date Value ml~’~k~7 Code 2 (J-P)

T)I~ (e.g., buy, sell, r~d~nption)

Gain Code I (A-H)

Identity of buyer/seller (if private transaction)

613. -Okalocsa Cnly FL Sch Bd 3.5 -2013 614. -Pine Grove Area Sch Distg 3.25-2015 615. -Scranton Penn Set A 3.0 - 2010 616. -St Pub Sch Bldg Auth Red Bnk 3.75-2011 617. -Susquehanna Twp PA Sch Dist 3.3-20 | 5 618. -Up Perkiomen Sch Dst 3.85-2014 619. -Washlenaw Mich Cmnty College 3.5-2010 620. -Wilmington NC Wtr & Sewer 3.75-2012 621. -Agilent Tech Inc 622. -A!lergan lnc 623. -American Express Co 624. -Apache Corp 625. -Apple lnc 626. -Apple Inc 627. -Bank of America Corp 628. -Bard C R Ine 629. -ChevronTexaco Corp Buy Buy Buy (add’J) Buy (add’l) Buy 12/06/10 07/15/I0 12/06/10 07/15/10 12/01108 See Section Vill #3 Ma~d 09/01/10

04/01/10

E =$15.¢¢1 -

FINANCIAL DISCLOSURE REPORT Page 41 of 103

I

N,me of Person Reporting Standish~ ~,Villlam L~

Date o| Report 07/12/2011

NONE (’No reportable income, assets, or transactions.)
A. Ek-scrlp’don of Asset.~ (incl~ling trust assels) PI~e "(X)" after each asst"t exempt from prioe disclosure B. Income during ~-ponin8 ix-Tied (I) (2) Amoum Type (e.g~ Code I div., rent, (A-H) or inL) C. Gross value at end of reporting period (I) (2) Value Value Code 2 Method (,I-p} Code 3 (Q-W) (t) Type (e.g., buy. sell. redemption) Transa~ions during reporting period (2) (3) Date Value mm/dd?yy Code 2 (J-P) (4) Gain Code I (A-H)

Identity oF I:myeriseller (ifprivale transaction)

630. -Coca Cola Corp
: 63 I. -Walt Disney Co Sold (part) 12!06/10

632. -Dominion Resources Inc VA
¯ 633. -Dow Chemical 634. -Emerson Electric Co 635. -Franklin Res Inc 636. -FPL Group lnc {Name Change To Nextera Energy Inc) 637. -Frontier Communications Co (spin off From Verizon) 638. -Frontier Communications Co 639. -General Electric Co 640. -General Mi|ls 64 I. -Goldman Sachs Group Inc
642. -Google Inc
Buy Buy

Sold

12/06/10

i

06/03!10 Spinoff
(from line 664) Sold 07/16/10

07/02110

!

,12/06/10 I 12/06/10

(add’l)

643. -Hanesbrands 644. -Hewlett-Packard Co
’ (part) Sold 07/I 5/10

645. -Hewlen-Packard Co 646. -Int’l Business Machines Corp

i

Sold (part)
Sold

12106110
07/15/10

,,1

(part)

I. Inctanc Gain (See (’uhmms B I and 2. Valu~

G -$ IO0,O01 It =SILO01 - $50,000

1~ Colm~

R ~S’ost |R,~al Estale Onty) V - O~.hcr

FINANCIAL DISCLOSURE REPORT Page 42 of 103 VII. INVESTMENTS and TRUSTS
V-1

Name of Person Reporting Standish, William L

Date of Report

07/12/2011

NONE (No reportable income, assets, or transactions.)
A. 13~cril~ion e! Assets (including trus~ ~sse~s) Place "(g 1" after each as.set exempt from prior disclost.~e D. Income during reporting period (I) (2) Amount Typ~ (e,gl, Code I day., r~nL (A-H) or int.) C. Gross velue at end of repoaing Ix’riod (I) (2) ValL~ Cod~ 2 (J-P) Value Method Code 3 (Q-W} (I) Tylm (e.g., buy. sell, redemption) D. Transactions during reporting period (2) (3) (4) Dare Valu~ mmidd/yy Code 2 (J-P) (5) ldcmlty of buyer/seller |if private transaction)

Gain Cnd~ I IA-II)

64% -lnt’l Business Machines Corp 648..Intel Corp
649. -lshaxes Trust MSC! Emerg Mkts Index Fd 650. -JP Morgan Chase & Co

Sold

12/06/10I

@art)
Sold 07!15110

651. -Marriotz Int’l Inc
652. -Mastercard lnc CI A

Buy Buy

12t01/08 12/01/08

See Section Vlli #3 See Section VII! #3

653. -McDonalds Corp
654. -Medco Hllh Solutions lnc

655. -Nextera Energy Inc (’Name Change From
FPL Group Inc)

06/03/10

656. -Norfolk Southern Corp 657. -Pfizer lnc
658. -Procter & Gamble Co

659. -Sara Lee Corp 660. -Schlumberger Lad
661. -Schlumberger Lad 662. -3M Co 663. -Vanguard FTSE All World Ex-US Index Buy (add’l) 07/15/10 12/06/I 0 12/06/10

Buy (add’l) Sold (part)

Fd)

I. Income Gain C~Ies:

A ~$1,000 o less

B =$1.001 - $2,500

C 752.501 - ’i5.000

D =$5.0OI - $15.O0t)

[~¢ Colm~ C21

IJ ~B~k Val~.

V =~t

W

FINANCIAL DISCLOSURE REPORT Page 43 of 103

Name of Person Reporting Standish, William L.

Date of Repo~ 07/1~2011

NONE (No reportable income, assets, or transactions.)
A. Description of As~ts (including trust assets) place "(X)" after each as~¢l e~empt from prio¢ disclosure B. Income during rtporting period (I) (2) Amoua! Type (e.g., Code I div., r~nt, (A-H) or int.) C. Gross value at end of r~mrting pcrlod {I) (2) Value Value Code 2 Mr’thud (l-P) Code 3 (Q-W) (I) Type (e.g., b~y, sell, redemption) D. Transactions during reporting p~od (2) (31 (41 Date Value mru/dd/yy Code 2 (I-P) 151 Gain Code I (A-H)
[dccl|lly Of

buyer!seller (if private transaction)

664. -Verizon (Spinoffof Frontier Communications)

t [ 06/03/10

665. -Wast~ Management Inc 666. -Wells Fargo & Co New 667. -Weyerhauser Co 668. Trust #8-A (GST Exempt Trust) 669. -BNY Mellon Nat’l Muni MM Fund M
670. -AT&Tlnc 671. -Accenture Ltd 672. -Alliance Data Sys Corp 673. -AIIscripts-Misys Healthcare Solution 674. -American Express
E Div & Int O T

Buy

12/06/10

(part)
N

Sold

09/15/10

E

See Section VIII #1

Mon Mkt lay

Sold

01/11/10

Buy Buy

08!20/10 06/24/10
07/09/10

675. -American Express 676. -Amerprise Finl Inc
677. -Amgen Inc 678. -Amgen Inc 679. -Amylin Pharmaceuticals Inc

Buy (add’l)

Sold

02118/10

(part)
Sold 08!13/10

Buy

05/I III0

680. -Amylin Pharmaceuticalslnc

Buy (add’l)

06/23/10

E =$15.1101

FINANCIAL DISCLOSURE REPORT Page 44 of 103

I
B. (2) Type (e.g., div., rent, o¢ int.)

Name of Person Reporting Standish, William L.

Dnte of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. L~scription of Assets (including trust asset.s) Place "(X)" after each asset exempt from prior disclosure Income dunn~ reporting period (I) Amount Code l (A-H) C. Gross vsh~e at end of reporting period O) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W) (I) Type (e.g., buy, sell, redemption) D. Transactions during reporting period (2) (3) (4) Date Value Gain mm/dd/yy Code 2 (’ode I (J-P) (A-It) (5) Identity of buyer/seller (if private nansaction)

681. -Anadarko Petroleum Corp 682..Apache Corp 683. -Apple 684. -Apple 685. -Autoliv lac 686. -Bank of America Corp 687. -Bank of America Corp 688. -Blackrock Inc
689. -Capital One Financial ! 6c~0. -Capital One Financial

Buy

} 06/2311

Sold (part) Buy (add’l) Sold (part) Buy (add’l) Buy (add’l) Sold
Buy

01/26/10 04/28110 09/22/I 0 05/I Ill0 09/16/10 09/16/10 01/22110 I 07/09/10 10/05/10 07/07/I 0 06/21110

Buy (add’l)
Buy (add’l) Buy Buy

,691. -Capital One Financial I 692. -Carnival Corp

I 693. -Caterpillar Inc

694..Chubb Corp 695. -Cigna Corp

696. -Cisco Systems lnc 697. -Cisco Systems Inc

See Section Vlll #10 Sold (part) 03/08/10

I. Income Gain [’odes: (See Co/umns fl I and 2. Vd,a:

=$1,001 - $2.500 =$100.00! - $1.000.000 =$15,001 - $50.000 O.-1500,0~1 - $1,0OO.000

D =$5.001 - $15.000 H2 -More lean M =$100.001 - $250.000

T *Cash Marke~ (~e Column C21

FINANCIAL DISCLOSURE REPORT Page 45 of 103 Vl i. INVESTMENTS and TRUSTS -

/~ame of Per~n Reporting Standish, William L.

Date of Rel~rt 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. D~scrlption otr Assets (including tru~ a.~ts) Pl~c~ "{X)" tll~rr ~ch asset exempt from prior disclosure B. Income du.,ing reporting l~’riod Ill (21 Amounl Type (e.g.. Code I div., ~enl, (A-H) or int.) C. Gross vslu¢ at end of reporting p~riod (0 Valu~ Code 2 (l-P1 (2) Val~: Method Code 3 {Q-W) 11) Type {e.g., buy, ~11, redemption) D. Trnnxactions during reporting period (2) OI (4) Gain Date Value mm/dd/yy Code 2 Cod~ I {J-P) IA-H) (51 ldtmlily of b~y~/~ller lif prv,me ~ranssc~ion)

698. -Cisco Systems lnc 699. -C~.t Group 700, -Coea Cola 701, -Comerica Ine 702. -Concophillips 703. -Cummins Inc 704. -Cv~ Caremark Corp 705. -Cvs Caremark Corp 706. -CvsCaremark Corp 707. -Danaher Corp 708. -DuPont El De Nemou~s 709. -EMC Corp Mass 710. -EMC Corp Mass 71 I. -Eaton Corp 712. -Energizer Hldgs Ine 713. -Exelon Corp 714. -Exxon Mobil Corp

Sold {part) Sold Sold Buy

11/17/10 05/07/08 05/11/10 09/10/10
See Section VII! #10 See Section VIII

Sold

09110110 01113110 06/24/10 08/20II 0

(pan)
Sold (pail) Sold Sold (pan}

Buy (add’l) Sold (paa) Sold Buy Sold

04/28/10 10/05/10 12109/08 11/17/10 08/’27110

See Section Vlll # 6

B =$1,001 - $2.500 ~.,ee Columnx n I and 2. Value t~’c (’ol~n~ CI and

0 =55(I0.001 - $1.000.~) R -{’o~ (R-.al E’~tstc O~ly) V =O~cr

FINANCIAL DISCLOSURE REPORT Page 46 of 103 VII. INVESTMENTS and TRUSTS

Ihme of Person Reporling Standish, William

Dale of Reporl 07/I 2/201 I

NONE (No reportable income, assets, or transactio,s.)
A. Description of Assets (indoding trus’l assels) Place "(X)" after uch Issd exempt from prior disdosia’e B. Income during reporting period 111 Amount Code I (A-H) (2) TYF (e.g, day., rent. ’ or SilL) C. Gross value at end of rq:~orting p~riod (I) (2) Value Value Code 2 Method (I-P} Code 3 (Q-W) (I) Typ~ (e.g., buy. sell. redemption) D. Transactions during repoiling period (2) (3) (41 Date Value mrl~’dd/yy Code 2 (.l-P) (5) Identity of buyer/seller {ifprivale transa~’tionl

Gain Code I (A-H)

715. -Fedex Corp 716. -First Horizon Nagl Corp 717. -Ford Motor Co 718. -Franklin Res Inc 719. -Gap lnc 720. -Gap Inc 721. -General Electric Co 722. -Google 723. -Hallibunon Co 724. -Hess Corp 725. -Hewlett Packard Co 726. -ttome Depot 727. -Itome Depot 728. -Honeywell Intl Inc 729. -Hospira 730. -Iluman Genome Sciences Inc 731. -IBM Corp

Sold Sold Buy

06/21/10 01/29/10 1 I/2.6/10

13uy Sold

01/13/10 07109/I 0

Sold Sold (part) Sold (part)

08/16/10 05/25/I 0 06/02/I 0

Buy (add’l) Buy (add’l)

02/18/10 08/16/10

A ~11.000 or F =150.001 - $100,000 J =$15.000 o1 less N=1250,001 P3 -$25.10~O,001 - $50.0~0.000 Q ¢ Appraisal U -E~k Value

B =$ 1,001 - $2,500 G =1100.0~1 - $1.~00.000 K =$15,001 - $50.000 0 -$5410,001 - $1,000.000

C =$2.501 - $5.000 HI =$ I,(11}.00 I L =$50,001 . $100,0~0 PI =$1,0OO.{X)l .

FINANCIAL DISCLOSURE REPORT Page 47 of 103 Vll. INVESTMENTS and TRUSTS

Dtte of Report

Standish, William L.

07/| 2/~011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)° after each asset exempt from prior disclose B. Income during reporting p~’iod (I) (2) Amount Type (e.g., Code I div., rent, (A-H) or inL) C. Gross value at end of r~po~ting p~riod (I) Vah~e Code 2 (J-P) (21 Value Method Code 3 (Q-W) (l~, Type ( g., boo", sell, redemption) D. Trans~cticms during reporting p~’riod (2) (3) (4) Date "Value Gain mm¢dd’yy Code 2 Code I (J-P) {A-H) (5~ |den’d~y of buyet!~eller (if private Itansacliun)

732. -lnformatica Corp 733. -JP Morgan Chase & Co 734. -Juniper Networks Inc 735. -Kbr Inc 736. -Limited Brands 737. -McKesson Cog 738. -Medtronic In¢ 739. -Merck & Co 740. -Microsoft Corp 741. -Morgan Stanley 742. -Motorola Inc 743. -Newell Rubbermaid Inc 744. -News Corp 745. -Nextera Energy 746. -Nordstrom In 747. -Nordstorm lnc 748. -Nokal Corp-Spon ADR

Buy

08/16/10

Sold Sold Buy Buy (add’l)

01/11/10 09tl0/10 11/26/10 01/07/]0

Sold (part) Buy (add’l)

09/22/10 i 01/26/10

Buy Buy

08/17/10 09/22/I 0

Buy Buy Buy (add’l) Closed

08/27/10 07/09/I 0 08/12/10 i See Section VIII #11

i. Income Gain Codes; [See CrOutons B] and

C =$2.501 HI -$ 1.000.O01 - $5.000.000 L -$30.0oi - 510o.000

E =5 f.%0~l - $5O.0OO H2 =More than 55,000.000 M *$100,0Ot. $25O.0(10 P2 -$5,000.001 . 525.f’100.0~ T =Ca*h

FINANCIAL DISCLOSURE REPORT Page 48 of 103

Name of Persou Reportlag S~*,ndi~h, William L.

07/I 2/2011

VII. INVESTMENTS and TRUSTS - ,,co,.o0 ~-~.., ,,~,.~.,,/o,,, o.~t,ae, ,ho~. o/,~,~..,,,~ ao~e,,, children: ~e° pp. 34-60 of filing instrucdom.)
NONE (No reportable income, assets, or transactions.)
A. D~scription of Assets (including trust assets) Pla¢. "IX)" after each asset exempt frm,a prio~ disclosure B. Income during re.porting period 12) (I) Amotmt Type (e.g., Code I div., rent, (A-H) or int.) C. Gross value at end of reporting period (I) (2) Valt~ Value Code 2 Method (J-p) Code 3 (Q-W) D. Transactions during reporting period (I) Typ~ (e.g., l:~y. sell, redemption) (2) (3) (4) Date Value Gain mm/dd~yy Code 2 Code I (A-H) (J-P) (5) Identity of buyer/seller (if private transaction)

749. -Norfolk Southern Corp 750. -Occidential Pelro Corp 751. -Omnicom Group lnc 752. -Oracle Cot9 753. -Parker Hannifin Cot9 754. -Parker Hannifin Cot9 755. -Pepsico lnc 756. -Pfizer Ine 757. -Praxair Inc 758. -Procter & Gamble Co 759. -Public Svc Enterprise Group Inc 760. -Public Svc Enterprise Group inc 761. ’" -Qualcomm 762. -Qualcomm Inc 763. -Qualcomm Inc 764. -Quaicomm 765. -Raytheon Co Buy Buy (add’l) 01i07/10 Buy (add’l) Buy Sold

Buy (add’l)

06/16/10

I 0/05/I 0 12129/08 06/23/10 See Section VIll #3

05/25/10 101/11/10 03/08/10 04/28/I 0 08116110

Buy Buy (add’i) Sold (part)
Buy (add’t)

I. Income Gain Codes: 2. Value Codes 1~ L’ol~nns C I aM J. Value XK~ C~s 1~¢ Colmna L’2)

B ~$1.001 - $2,500 K =$ I 5.001 -

D ~$$.0Ol. $15,~ H2 ~Mo~: hhan M =$10o.oo I - $250.0OO P2 -$~.000.001 - $25.000.0o0 T -(’a.h Markt~

V - O~hcr

FINANCIAL DISCLOSURE REPORT Page 49 of 103

Nam~ of Person Reporting Standish, William L.

Date of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. Descr~l~ion of Assets (incl~g t~t a~e~) Place "(X)" after each ~t ¢x~pt from pr~r di~lo~ B. Income during r~ing ~fi~ O) Amount C~e I (A-~ (2) ~T~ (e.g., div., rein, ~ ~t.) C. Gross value at end of r~ing O) Val~ C~ 2 (J-P) (2) Val~ M~ C~ 3 {~W) O) T~ (e.g., ~y, ~11, ~emption) D. T~ansactioo.s during ~ing ~n~ (2) (3) (4) ~ Val~ Gain m~d&~ C~e 2 C~e I (~-P) {A-ll)

Id~fi~ buy~/sell~ (if ~vate uan~ion)

766. -Schwab Charles Corp New 767. -Sempra Energy 768. -Target Corp 769. 770. -Textron Inc -Thermo Fisher Scientific Buy (add’l)

Sold Sold (part)

01/07/I0 08/12/10

771. -Time Warner Inc 772. -Time Warner Inc 773. -Tyco Intl Ltd 774. -Unilever PLC ADR 775. -Vale SA-Sp ADR 776. -Vertex Pharmaceuticals Inc 777. -Vertex Pharmaceuticals Inc

01/13/I0 07/07110 09/08/I 0 06/02/10

Sold
Sold (part)

Buy
(add’l)

Sold (part) Sold Sold Buy Sold Buy (add’l) Buy (add’l)

01/13/10 06/24/10 12/09/08 01/30/09 08/17/10 08/13/10 09/16/10 See Section VIll #3 See Section VIII #3

778. -Verizon 779. -Visa Inc CI A 780. -Visa Inc CI A 781. -Wells Fargo & Co New 782. -Wells Fargo & Co New

Income Gain Codes: IS¢ Columns BI and D4) Value Codes ( ~ Colmnns (’l and D3 )

B =$1,001 - $2,500 G -$1~0.00! - St,000.000 K -$t5.001 O -$500.O0! - $1.000,000 R ~<’o~t (Rc,tl [gate Only) V q3"~hcv

E =115,001 - SSO.OqO

FINANCIAL DISCLOSURE REPORT Page 50 of 103 VII. INVESTMENTS and TRUSTS

Name of Person Reporting Standhh, W|lliam L,

Date of Report 07/I~2011

NONE (No reportable income, assets, or transactions.)
Descril~ion of A$~~s [including tn~st assets) Place "(X)" aher each asset exempt from prior disclosure Im:om¢ during reporling period {11 (2) Amount Type (e.g., Code I div., rcnL IA-H) or int.} Gross val~e at ,end of reporting period (I) Vak) Code 2 (J-P) (2) Value Method Code 3 (O-W) (I) Type (e.g.. b~. sell, rtdemption)
Transactions during reporting period

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

(4) Gain Code I (A-H)

(~) Identity of I~lyerleSeller (if private transaction)

783. -Whirlpool Corp

Sold

11/26/10

784. -XTO EneqD’ Inc
785. -Lycoming Cnty PA 3.875 - 2018. 786. -Milford Twp PA 3.4 - 2016 787. -Shaler PA Area Sch Dist 3.3 - 2016 788. -Dreyfus Prem LT Hi Yld 789. -Ishares MSCI Emerging Mkts Index Fd 790. -lshares MSC! EAFE Index Fd 791. -Ishares S&P Midcap 400 792. -Ishares Tr S&P Small Cap 600 793. Trust #8-B (GST Non-Exempt) 7q4. -BNY’ Mellon Nat’l Muni MM Fund M 795. -Allegheny Cnty PA Hosp Dev Alleg Gen Hosp 7.375-2012 796. -Allegheny Cnty PA Port Auth SPL Rev 5.0-2021 797. -Athens PA Area Sch Dist 4.5-2014 798. -Bensalem Twp PA 3.5-2012 799. -Chester Cnty PA Health & E,d 4.0-2020 G Div & Int PI T

Sold

06/16/10

Buy (add’l)

0s/t Ill01

Sold (part) Sold

08/I 1/10: 08/1 i/10 PI E See Section Vlll #1

(pro)

Mon Mkl Inv

Buy

07/’29/10

£ -$ 15.O01 . $50.OL~1

(See (.’olun~ CI and D]I

N ~$2.~0,(J~1 . $5(J(I.000

0 =$500.(~ I . $ I.(XIO.I.~O

Pl =$ |.000.001 . ~5.000.0~

P2 -$5.000.001 - $2S.000.01~

FINANCIAL DISCLOSURE REPORT Page 51 of i 03

b;ame Of Person Reporting

Standish, William L

NONE (No reportable income, assets, or transactions.)
A Description of Assets (including tt’xlst a.*.~ets) Place "(X)" after r~h asset exempt from prior disclosure B. Income during reporting ix-riod (I) Amount Code I {A-HI (21 Type (cg., div~ rent. or int.) C. Gro.~ value at end of reporting period (I) Value Code 2 (J-P) 12) V~lue Method Code ~ (Q-W) (I) TYl~ (e.g., buy, sell, redcml~ion) D. Transactions during reporting period 12) Date mm/ddiyy (3) Value Code 2 (J-P) (41 Gain Code I {A-H} (5) Identity of bu~lseller {ifl~dvate transaction)

800. -Columbia Boro PA Sch 4.0-2027 801. -Council Rock PA Sch Dist 4.0-2017 802. -East Stroudsbursz PA AR 4.0-2022 80Y -Lancaster PA Area Swr 3.4-2012 804. -Laurel Highlands PA 3.625-201 I 805. -M’anchester Twp PA 3.125-2019 806..-Onlelauee Twp PA Muni 4.1-2023 ! 807. -PA St Itigher Edl Facs Auth 4.65-2018 t808. -PA St Higher Edl Facs Auth 4.0-2010 i 809. -Pennsbury Penn Sch 3.375-2011 810. -Philadelphia PA Gas Wks Rev Second Ser 5.0-2011 81 I..Shenandoah Valley Sch Dist PA 4.0-2021 I 812. -Snyder Cnry PA Higher 3.g5-2016

Buy

07119/I0

J

Buy

04/20/10

Matured

07/01110

813. -Springettsbu~ Twp PA 4.0-2024 814. -State Pub Sch Bidg Auth PA College 4.125-2025 815. -State Pub Sch Bldg PA College 2.6-2010 ’816. -Upper Merion PA 4.0-2013

Buy Buy Matured Sold

02/I 6/I 0 OS/17110 07/15/10

02/16/101

FINANCIAL DISCLOSURE REPORT Page 52 of 103

Neme of Person Raporting Slandhh, William L

Dale of Reporl 07/12~01 I

NONE (No reportable income, assets, or transactions.)
[~.’+cription of As~zs tin<luding trust assets) P~ce "(X)" after each ass~ exempt from p<’ior disclos’ur~ Income during reporting period (tl (2) TyI~ leg., Amount Code I div., rent. (A-H) or int.) Gro~ value atend of rel~o~ing period (I) (2) Vahm Value Code 2 (~P) C~ 3 (Q-W)
Transactions during r~porting peri,,xl

buy, ~II, redemption)

(2) Date Value mmld&"/y Code 2 (J-P)

Gain Code I (A-H)

Identity of buy~lseller {if private Iran~ction)

81"/. -Wash Cats, PA Auth Rev Girard College 4.45-2010 818. -W Perry Penn Sch 3.4-2013 819. -AT&T 820. -Accenture Lid 821. -Alliance Data Sy~ Corp i822..Allscripts-MisysHealthcare Solution 823. -American Express Co 824. -American Express Co 825. -American Intl Group 826. -Amerprise Finl 827. -Amgen 828..Amgen Inc 829. -Amylin Pharmaceuticals Inc 830. -Amylin Pharmaceuticals In 83 I. -Anadarko Petroleum Corp 832. -AOL 833. -Apache Corp

Matur~xl Sold

05107/10 04/01 !10

Sold

01111/10

Buy Buy Buy (add’l) Sold

08/20/I 0 06/24110 07/09/I 0 08/13/08

See Section Vlll #3

Sold (pe~t) Sold Buy Buy (add’l} Buy Sold

02!18/10 o8/13/IO o5!1 I/IO 06123/10 06/23/10 01/07/10

I Interne (;aln tode~:

A ~$1.000 or less

B =$1,O01 - $2,5L~)

C =S2,501 - $5,1J<30

D -$5,~1 - $15,~

FINANCIAL DISCLOSURE REPORT Page 53 of 103
VII. INVESTMENTS and TRUSTS -

~ame of Person Reporting Standish, William L

Date of Report 07/~ 2/2011

NONE (No reportable income, assets, or transactions.)
Descnption of A~s~ts (including trust a~:e~) Place "(X)" afl~ ~¢h ~t exempt from p~r di~re Income during ~-porting period A~I ;T~ (e.g., IA-H) Gro~ value at end of reporting pe~od Value C~e 2 (~P) Value Me~ C~e 3 Transactions during rel:~ning period (2) (]) (4) Date Value mm/dd/yy Code 2 (J-P)

Type (e.g., Imy, sell. redemption)

Gain Code I (A-HI

Id~tity of b~yeUsellel(ifprivate tran~taction)

834. -Apple lnc

Sold (part) (add’l) Sold (part) Buy (add’l) Buy (add’l) Sold
Buy

01/26110, 04/28/I 0 09/22/10 05/I 1/10 09/16110 09116~10 01/22/10 07/09/10 10105110’ 07/07/I 0 ~ 06/21/10

835. -Apple Inc
836. -Auto Liv Inc

837. -Bank ofAmerica Corp

838. -Bank ot"Amerlca Corp 839. -Bl’ackrock Inc

840. -Capital One Financial Corp
841. -Capital One Financial Corp

Buy (add’l) Buy (add’l)
Buy Buy

842. -Capitat One Financial Corp

843. -Carnival Corp

844. -Caterpillar Inc 845. -Chubb Corp

846. -Cigna Corp
847. -Cisco Systems 848. -Cisco Systems 849. -Co~a Cola Enterprises Inc

Sold (pan) Sold (paa) Sold Buy

03/08110 11/17110 05/I 1/10 09110/10

850. -Comerica Inc

I. Income Gain (’odes: t.%:e (’oltmm~ B I and

D -$5.001 - $ I H2 ~M~re than M ~$100,001 - $250.~O

T -(’a~ MaAct

FINANCIAL DISCLOSURE REPORT Page 54 of 103 VI I. INVESTMENTS and TRUSTS -~ ......
A. Description of Assets Iincluding m.L~t assets) Place "IX)" at~er each asse~ exempt from prior diselosur~ B. Income during rtporling i~riod (I) Amount Code I {A-H) (2) Type le.g, div.,renl, or int.)

~ame of Persom Reporting Standish, William L.

t.,. ttaas.alo~ (lndud¢~ those o/’spc~e and d, pcndt*t children; set pp..!1-60 o/fillng instructlon.t)

NONE (No reportable income, assets, or transactions.)
C. Gross value at end of rei~rting I~riod O) Value Cod¢2 I J-P) (2) Val~: Method Code 3 (Q-W) (0 TyI~ (e.g., troy, sell, rt’demption) D. Transa¢Iio~ during ~eporling period 21 (3) (4) Date Value Gain Cod~: I mm.td~.’yy Cod2 {J-P) (A-H) 151 Identity of buyer/seller (if private transaction)

851. -Concophillips 852. -Cummins Inc 853. -CVS Caremark Corp 854. -CVS Caremark Corp 855. -CVS Caremark Corp 856..Danaher Corp 857. -Dreyf~ Premier Limited Term High Yield Fund CI 1 858. -DuPont El DeNemours 859. -EMC Corp 860. -EMC Corp 861. -Energizer Holdings Inc 862. -Exelon Corp 863. -Exxon Mobil Corp 864. -Fedex Corp 865. -Firs~ Horizon Natl Corp 866. -Ford Motor Co 867. -Franklin Res Inc Sold Sold Buy 06t21;10 01129/10 I 1/26/10 Buy (add’l) Sold (parq Buy 04/28/10 ’ 10/05/10 11/17/10 08/27/I 0

Sold (part) Sold (part) Sold (part) Sold (part)

09/10/10 01/13/10 06/’24/10 08/20/10

Buy

06/I 7/09

See Section VIIi #3

Sold

Gain

FINANCIAL DISCLOSURE REPORT Page 55 ofi03 Vll. INVESTMENTS and TRUSTS

Name o| Pet’.on Reoorting SI,,ndish, William

NONE (No reportable income, assets, or transactions.)
A. Description of Al.~t| (incl~ing trust assets) Pl~e "(X)" a~er ~ch a~t ~empt ~om pr~r di~lo~re B. Incon~ during r~ning ~i~ (]) (2) Am~l T~ (¢-g~ C~ I dlv.. tens, {A-H) ~ int.) C. Gro~ value at end of r~ning ~i~ (I) (2) Value Val~ Meth~ C~ 2 (J-P) C~e 3 (Q-W) D. Tran~ctions during reporting ~i~ (I) Ty~ (.g., ~, ~11, redemption) (2~ (3) (4) Val~ Gain Dale mm~’~ ~’~e 2 C~ 1 (l-P) (A-H) (5) Id~lily of buy~ller (if pnvale tr~ction)

868. -Gap lnc 869. -Gap Inc 870. -General Electric 871. -Google Inc 872. -Halliburton Co 873. -Hess Corp 874. -Hewlett Packard Co 875. -Home Depot Inc 876. -Home Depot Inc 877. -Honeywell lnt’l 878. -Hospiria Inc 879. -Human Genome Sciences lnc 880. -IBM Corp 881. -Informatica Corp 882. -JP Morgan Chase & Co 883. -Juniper Net’works Inc 884. -Kbr Inc

Buy (add’l) Sold

01t13!10I 07,’09110

¯ Sold Sold (pan) Sold (parr)

08/16/10!

05125/I 0

06/0 2/I 0

Buy (add’l) Buy (add’l) Buy

02/18/10[ 08/! 6."10 08116/10

Sold Sold

0111 I!10 09110/10

I In,:a¢oc Gain Codes: M :|100001. $250.000 P2 -$5.000.001 - $25.f.~0.000
P4 ~Mor¢ than $~.0.000.01~

(S~e ¢olmnns CI arid D3) 3 Valu~ Method ~

FINANCIAL DISCLOSURE REPORT Page 56 of 103 Vii. INVESTMENTS and TRUSTS

Name of Perso]s Reporting Standish, William L.

Date ef Repot! 07/12:2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust assets) Place "(X)" alter each asset exempt from priog dlsclo~re B. Income during reporting period (.tl Amo~mt Code I (A-H) (2} Type (e.g.. dlv., rent, or int.) C. Gross valu~ at end of t’W,~aing I~mod (I} (2) Value Valtte Code 2 Method (J-P) Code 3 (Q-W) (I} Type (e.g., buy, sell, redemption) D. ]’ransactions during ~p~’ting I’~riod (2) (3) 14) Date Value Gain mm/dd/yy Code 2 Code I (J-P) (A-H)

Idemily of buyevsdl~ (if privale transaction)

885. -Limited Brands Inc

Buy

1 i/260 0

886. -McKesson Cor~ 887. -Medtronie Inc
888. -Merck & Co 889. -Microsoft Coq3 890. -Morgan Stanley 891. -Motorola Ine 892. -New York Fire-Shield Inc 893. -Newell Rubbermaid lnc

Buy {add’l)

01107/10

Sold (part) Buy (add’l)

09/22/10 01126110

Buy

08/17/10

Buy

09/22/10

894..News Corp 895. -Nextera Energy Inc
896. -Nordstrom Inc 897. -Nords!rom Inc 898. -Norfolk Southern Corp 899. -Occidentml Petro Corp 900. -Omnicom Grnup Ine 901. -Oracle Corp Buy (add’l) 10/05/10

Buy
Buy

08/27/10
07/09/10

Buy (add’l)

08/12/10

Buy (add’l)

06/16/10

I. Ii~.-om¢ Gain (’odes: I,¢,ce Cohmm~ B I and I ~’ Colu~n~ V I and D3

t =$2.501 HI ~$1.000.001 L ~$50,001 - $1UQ,000 P4 :More than $50,000.000

FINANCIAL DISCLOSURE REPORT Page 57 of | 03 VII. INVESTMENTS and TRUSTS

I

Name of Pen~a Reporting Standish, W|tliam L.

Date of R~port 07:1Z:201 I

NONE (No reportable income, assets, or transactions.)
A. Description of Ass~=s (including trust ass©ts~ Place "(X)" after ~:h as~t exemp~ from prior disclosure B. Income during re~ortinll p~nod (I) (21 Amount Type (e.g., Code I div., rent. (A-H) or int) C. Gross value st end of repo~ting I~riod (I) Value CUd 2 (.I-p) (2) Value Method Cod~ 3 {Q-W) (11 Type (e.g., buy. ~II, redemption) D. Transactions dufinll r¢poamg period (2~ Dale mmJdd/yy (3) (4) Vah~ Gaitl Code 2 Code I (J-P) (A-H)

ld~l~lity of buyer/seller (if privale transaction)

I

902. -Parker llannifin Carp 903. -Pepsico Inc 904. -Pfizer Inc
905. -Praxair 906. -Procter & Gamble Co 907. -Public Svc Enterprise Group Inc 908. -Public Svc Enterprise Group Inc 909. -Qualcomm Inc 910..Qualcomm Inc 91 I. -Qualeomm 912. -Qualcomm Inc 913. -Raytheon Co 914. -Schwab Charles Carp New 915. -Sempra Energy 916. -Supervalu Inc 917. -Target Carp 918. -Terex Carp New

Sold

’ 06/23110

i

I

Buy Buy (add’l) Buy (add’l) Buy (add’l)
Sold (part) 03/08/I 0 04/28/10 08/16110 05,r25/10

Buy (add’l)

Sold Sold Sold (part) Sold

01/07/10 07/28/08 08/12/10 10/24/08 See Section Vlll See Section VIII g6

A ~$1,0~ or le~z F =$50.(101 .

2. Value
N :$;~.50.001. PJ -$25.000.0OI U ¯ 9t~x Value

C =$2.5oi HI "$L000.09| . $5.000.000 L =$50.001 - $100.000 PI =$1.000.0OI -

FINANCIAL DISCLOSURE REPORT Page 58 of 103 V I 1. I N V E S T M E N T S and T RUSTS -

Name of Person Reportltg Standish, W|lliam L.

D~te of Report 0"//12/2011

NOblE (No reportable income, assets, or transactions.)
A. D~scriprioa of As~ts (including trust a~e~,) Place "(X)" after ~ch a~ exert from w~r diglo~e B. Income during reporting po’iod (1~ ~o~t C~e I (A-ID (2~ T~ (e.g,, div., rent, or inL) C. Gross value at end of reporting period (I) Value U-P) Val~ C~ 3 (~W) T~ (.g,, redemption) D. Transactio’a.s during reporting po’iod

D~e

Val~ Ga~ (J-P} (A-H)

Id~tky of (if pnvage t~cfion)

919. -Textron Inc

920. -Thermo Fisher Scientific Inc
92 I. -Time Wamta" Inc

Buy (add’l) Sold (part) Sold
Sold

01/13/10

922. -Time Wamer Inc

923. -Travelers Cos Inc 924. -Tyco Int’l Lid

Section VIII #6

(part)
925. -Unilevet PLC ADR 926. -Vale SA-Sp Buy (add’l)

927. -Vefetex Pharmaceuticals In~

Sold (part) Sold Sold Sold Buy (add’l) Buy (add’l} Sold Sold Sold See Section Vlll #3

928. -Veretex Pharmaceuticals

929. -Verizon Comm

See Section Vlll ~3

930. -Vi~ Inc CI A 931. -Wells Fargo & Co

932. -Wells Fargo & Co 933. -Whirlpool Corp 934. -Xto Energy Inc

935. -Zimmer HIdgs lnc

I ~$15.IRM) or N ~,250,001 ¯ $.~00.000 P3 ~$25.000.001 -

FINANCIAL DISCLOSURE REPORT Page 59 of 103
Vii. INVESTM ENTS and TRUSTS -

Name of Person Reporting Standish, William L

I~ate of Repert 07/12/201 I

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (irrcludtng trust a~rs) Place "IX)" after each asset exempt from prior disclosure B. Income during reporting period (11 Amount Code I (A-H) (2~ Type (e.g., div.. rent, or int.) 12. Gross value at end of reporting period (I) (2) Value Value Mt’thod Code 2 Code 3 (l-P) (Q-W) II) Type (e.g., buy, .sell, t~-demptinn) D. Transactions during repot’ling period (2) 13) 14) Date Value Gain mm/dd/y’y Code 2 Code I (J-P) (A-H) 15) Identity of I:myer/seller (if private transaction)

936. -Ishares MSCI Emerg Mkts Index Fd 937. -Ishares MSCI EAFE Index FD 938. -lshares S&P Midcap 400 939. -Ishares Tr S&P Small Cap 600 940. -Royalty lot Goose Creek Disl, Harris Co TX 941. -Royalty Pints-Ceres Health Care Ltd Partnership II 942. Trust #9 (GST Exempt) 943, -BNY Mellon Natl Muni MM Funds M 944. -Riverfront Cap Fund LP 945. -Wells Fargo & Co New 946. -Dreyfus Premium Lid 3" H 947. -lshares MSCI EAFE Index Fd 948..Ishates MSCI Emergin~ Markets Index Fund 949, -Ishares Tr S&P Small Cap 600 950. -Sprit Trust Series I 951. -Midcap Spdr Tr Unit Set I 952. Trust #10 (GST Non-Exempt) G :Int.,’Div. Pl T

Buy (add’I)

08/1 It10

Sold

08/I 1/10

(parO

Closed

05/I 2/08 C

!Worthless See Section VIII

Mon Mkt lay

Sold

05/07/08

See Section VIII ~3

Buy

12105108

See Section VIll ~3

Sold (pan)

11/23/10

E

Int./Div.

PI

T

B

See Section VIII #I

I. Inceazl¢ Gain L’od~:s:

A =!;1.000 ~’a less

B =$1.fl01 - $2.5~

E =$15,0OI .

FINANCIAL DISCLOSURE REPORT Page 60 of 103

Date of Repot!

NONE (No reportable income, assets’, or transactions.)
A. Dcscrlplion of Assets (including trust as~ts) Place’(X)" after ~ch ~ exemp~ from p~ di~l~e B. Incom~ during ~ing ~ri~ (I) (2) A~ T~ (e,g., (A-H) or ioL) C. Gross value at e~ of t~ing (I) (2) (I) V~ Value (J-P) C~e 3 (2) (3) (4) T~ (e.g., re~mpdon} D. Transactions during reining ~ri~ (5) Idenfi~ of 0f private

Date

Value Gain (J-P) {A-H~

(~W) 953. -BNY Mellon Natl Muni MM Funds M 954. -Allegheny Cnty PA 3.0-2010 955. -Allegheny Cnty PA Hosp Dev Auth 4.25-2023 956. -Commonwealth Fing Aoth PA 3.375-2025 957. -Luzerne Cnty PA 2.85-2010 958. -Monroe Cnty PA 4.4 - 2013 959. -Norwin PA Sch Dis( 4.5 - 2014
960, -PA St4.25-2025

tran~tion) Mon Mkt lnv Matured Buy Buy Matured I 1/01/10 04/07/i 0 I I/OI/10 12/15/10

Sold Buy

04/01/10 I !/23/10

961. -PA St Higher 3.25 - 2011 962. -Philadelphia PA Auth 4.6 - 2012
963. -Portage PA Sch Dis( 3.75-2023 964. -Soudenon PA Area Sch 3.5 -2015

Buy

02/16/10

’ 965..South Side PA Sch Dist 3.45.2019 966. -West Chester PA 3.25 -201 ! 067. -Accenture Ltd 968. -Alliance Data Sys Corp "969. -AIIs~ripts-Misys Healthcare Solution

Buy Sold
Sold Sold (part)

05/17/10 05/17/I 0
01/I 1/10 08/12/10 08/20/10

1
13 =$1.00; - $2.500

Buy

1. Income Gain Codes:

A ~$1,000 o~ less

1~" ~$2.501 - $5,~

D

E =$I 5.001 - $50.laX}

) Value M~ (’~~

P$ -$2F.~.~1 - $50,~,~ Q ~A~I

R -C~I (Real E~te ~ly)

P4 ~M~¢ than S ~As~s~m

T <’~ Mark~

FINANCIAL DISCLOSURE REPORT Page 61 of 103
VII. INVESTMENTS and TRUSTS

Name of Person Reporting Standl~h, William L.

NONE (No reportable income, assets, or trartractions.)
A. Description of Assets (including Ii~sl a~t~) Place "(X)" aft~ each asset exempt from priog disclosure B. Income daring reporting period (I) Amount Code I (A-H) (2) Type (e.g., div., rent. of int.} C. Gross value at end off.:wring period (I) Value Code 2 (J-P} (2) Value Mct~xl Code 3 (Q-W~ (I) Type (e.g.. I~Jy, s~ll, r~dernptionl D. Transactitms dunng reporting period (3) (4) Date Value Gain mrrb’dct’yy Code 2 Code I O-PI IA-HI (2)

ldtntity of Imyer!s¢ller (if pri,,~te tramsactiun~

970. -American Express Co 971. -American Express Co 972. -American Express Co 973. -Amerprise Finl Inc 974. -Amsen Inc 975. -Amgen Inc

Buy Buy (add’l) Sold (part) Sold (part) Sold (part) Sold Buy Buy (add’l) Sold (pard Buy Sold Sold (part) Sold (part) Buy ~ add’l ) Sold (part) Sold (part)

06/24/10 07/09/I 0 08/12/10 08/12/10 02/18/10 08/13/10 05/I 1/10 06/23/10 108/12/10 06/23/10 01/07/10 08/12/10 01126/10 04/28110 08/12/10 08/12/10

976. -Amylin Pharmaceuticals Inc 977. -Amylin Pharmaceuticals Inc 978. -Amylin Pharmaceuticals In 979..Anadarko Petroleum Corp
980. -AOL Inc 981. -Apache Corp 982. -Apple Inc 983. -Apple Inc 984. -Apple 985. -AT&T 986. -Autoliv Inc

Sold 0WI 2/10 (part) :

=$2,501 - $5.0(30 I ~$ I .O00,001 - $ 5.000fO0 ~$50.001 -

FINANCIAI, DISCLOSURE REPORT Page 62 of 103
VII. INVESTMENTS and TRUSTS - i. ......

Person Reporting

Date of Report 07112/2011

Standish, William L

~.,, , ....

ction~ ¢lncl.de, those of spo~st ~nd deptndtnt children; stt p~ 34-60 o[f!li.g insteuctioas.)

NONE (No reportable income, assets, or transactions.)
A. Lk~=npllon of A~sets ~i~l~mg t~t a~s) PI~ "(X)" a~er ~ch as~l ~empt from pr~ ~clo~e B. Income during ~iag ~i~ (I) (2) Amour Ty~ (e.g., C~e I div., rent. ~A-H) or int.) C. Gross value at ¢md of r~ing (I) (2) (D Value Va[~ ~!-~ C~ 3 (Q-W) (2) (3) (4) T~ (e.g., ~pfion) D. Transactions during reporting ~ti~ (5) IdyllW of (if private t~ction)

Dale

Val~

Gain

O-P) {A-tI~

987. -Autoliv Inc 988. -Bank of America Corp 989..Bank of America Corp 990. -Bank of AmcricaCorp 991. -Blackrock Inc 992..Blackrock [nc 993. -Capital One Financial Corp 994. -Capilal One Financial Corp 995..Capilal One Financial Corp 996. -Capital One Financial Corp 997. -Ca.mival Corp 998. -Carnival CoN 999. -Caterpillar Inc 1000. -Chubb Corp 1001. -Cigna Corp 1002.-Cisco Systems lnc 1003. -Cisco Systems Ine

Sold (part)

09/16J10 05/11/10 08/12/I 0 09/16110 08/12JI0 09/16110 01/22/10 07/09tl 0 08/12/IO 10105/I 0 07/07/I 0 08/12!10 06121110 08/12/10 08112/I0 03/08/10 08/12/10

Buy
(add’l) Sold Buy {add’l) Sold (part) Sold Buy Buy (add’l) Sold (part) Buy (add’l) Buy Buy (add’l) Buy Sold (part) Sold (part) Sold (p~) Sold (part)

B =51.001 - 52.500 G =$100.001 - $1.000.000 K =$15,001 - $50.000 0 =5500,001 -$

C ~$2.501 L "$50.001 - $100,000 P I - $ t .O00.OO I - $ $ .OOO.O00 T -~’L,.h MarkL’~

FINANCIAL DISCLOSURE REPORT Page 63 of 103 VII. INVESTM ENTS and TRUSTS

Name of Per’son Reporting Standish, William L.

Date of Report 07/12/2011

NONE (No reportable income, assets, or tr~ansactions.)
A. Description o1" Asse~s (including trust assets I PEace "(X!" after each asset exempt frota prior disclosure B. Income during reporting period 11| t21 Amoum TyI~: (e.g., Code I div., rent, IA-H) o¢ int.) C. Gross value at end of reporting period III (2) Value Value Method Code 2 Code 3 O-PI (Q-w) D. Transactions during reporting period 111 Type (e.g., buy, sell, red~mption) (2) (3) (41 Date Value Gain rnnv’dd/yy Code 2 Code I I J-P} (A-H) (5) Ide~ltity of buyer.’sellet lit private ~ransactlon|

1004. -Cisco Systems lnc 1005. -C/t/group Inc 1006. -Coca Cola Enterprises Inc 1007. -Comerica Inc ! 008. -Concophillips 1009. -Cummins Inc I 010. -Cummins Inc 101 I. -CVS Caremark Corp I 012. -CVS Caremark Corp 1013.-CVS Caremark Corp 1014. -Danaher Corp 1015.-DuPont E I DeNemours & Co 1016. -EMC Corp Mass 1017.-EMC Corp Mass 1018. -EMC Corp Mass I019. -Energizer Holdings 1020. -Exelon Corp

Sold (pro) Sold Sold

[ 11117/10 11/26/08 05/11/10 09!10/10 08/12/10 [ 08/12JI0 09/I 0/I 0 01/13/10 06/24/I 0 08/20/I 0

Buy
Sold

(part)
Sold (part) Sold (part) Sold (part) Sold

(part)

(part’~
Sold (part) Sold |part)

Sold

i 08/1~I0 08/I 2110 04/28/10 08/I 2/10 10i05t10

i

Buy (add’l) Sold (part) Sold

(part)

Sold

" 08/27/I 01

I. Income Gain (.’5,:.: (’ohanns BI and L~.~: Column.. (’1 and

C -$2,50~. $5.0~) H I -$ 1.000.00 ! - $5.009.000 L =$30,001 . $1lJO,O00 Pl :$1.0~3,0(11 P4 ~Mote than

FINANCIAL DISCLOSURE REPORT Page 64 of 103

Nime of Per~n Reporting Slandtsh, William L.

Da~e of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
Transactions during r~ponin8 period (2) (3) (4) Date Valu~ Gain mm!dd!yy Code 2 Code I (J-P) (A-H) (5) Idemity of b~yer/seller Ofpdvate ffansaclion}

Typ~ (.&, buy. sell, redemption)

1021. -Exxon Mobil Corp 1022.-Fcdex Corp 1023. -First Horizon Natl Corp 1024. -Ford Motor Co 1025.-Franklin Res Inc

Sold

08112/10 06t21/10 01/29/10 11/26110 08/12/10 01/13/10 07/09t I 0 08/12/10 O8/12/10 08/12/101 08/12/10 08/16/10 05/25/10 06102/10 Og/I2/lO 08/12/10 08112/I0

Sold
Sold Buy Sold Buy (add’]) Sold
Sold

1026. -Gap lnc
1027. -Gap Inc

1028.-General Electric

(part)
,1029.-Google Inc Buy (add’l) Sold (part) Sold (part) Sold

1030. -Halliburton Co

1031..Hess Corp

1032.-Hewlett Packard 1033. -Home D~pot
1034. -Home Depol

Sold

(part)
Sold (part)

1035.-Home Depot
1036.-Honey’well Int’l Inc

Sold
(part) Sold

(part)
1037. -Hospiria ln¢ Sold (pan)

B =$I,001 ¯ $2.500 G =$I00.~)I - $I.0~0,000

D -$5.0oI. H2 =More than $5.04)0.000 M =$ | 00.[X] I - $ P2 -$5,0~.001 - $2J.000.0~ T =cash M~Act

FINANCIAL DISCLOSURE REPORT Page 65 of 103

Name of Person Re1~rllng Standish, William L

~le of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. Dcs.~ption of Assets (i~l~g ~st n~¢~) Place "{XF a~er o¢h ~s~ ex~p~ f~m prior di~lo~ B. Income d,.a’ing r~ng ~ (I) A~ C~ I (A-H) (2) ,T~ (e.g.. d~.. rent, or ~t.} C. Gross value st end ofr~in8 (19 {z) Value Vflue C~ 2 Me~ C~ 3 O-P) (~W) D. Transactions during reporting period (I1
T~ (,g.,

~, ~11, ~mption)

(z) {3) {4) DIre Vi]~ Gain mm/d~ C~e 2 C~e I (I-P) {A-H)

Id~ti~ of buyer/seller 0f private tran~cti~)

1038. -Human Genome Sciences lnc 1039.-Human Gen0me Sciences [nc 1040. -IBM Corp 1041. -IBM Corp
1042. -Informatica Corp 1043. -J P Morgan Chase & Co 1044. -Juniper Networks Inc 1045. -Kbr Inc 1046. -Kbr Inc 1047. -Limited Brands 1048. -Limited Brands Inc 1049. -McKesson Corp 1050. -McKesson Corp

Buy (add’l) Sold (paxt) Sold (p~) Buy (add’l) Buy Sold (part) Sold Sold (part) Sold Buy Sold (pro) Buy (add’l) Sold (part) Sold (part) Sold (part) Sold (part) Buy (add’l)

02/18/10 08/IZq0 08/12/10 ~ 08/I 6/10 08/I 6/10 08/12/10 Ol/l 1/10 08/12/10 09/10/10 08/12/10 I I/26/I 0 OI/07tl 0 08/12/10 :08/12/10 08/12/I0 09/22/10 01/26/10

105 I. -Med~onic Inc 1052.-Merck & Co 1053..Merck & Co 1054. -Microsoft Corp

IS~ Colu~as CI and D3)

FINANCIAL DISCLOSURE REPORT Page 66 of 103 VII. INVESTMENTS and TRUSTS
NONE (No reportable income, assets, or transactions.)
A. D~xriptton of Asset~ (i~l~ing tm~ a~) Pl~e "(X)" aflff ~h ~ exempt f~m p~ d~lo~re B. IncomF’duting r~ng ~ (I) Am~t C~e I (A-H) {2) T~ (e.g.. div., ~ ~ int.) C. Gross value et end of r~ng ~ (1~ Value C~e 2 (I-P) (2) Va~ Mc~ C~ 3 (Q-W) {1) T)~ (eg., b~, ~11, ~mpti~) D Transports’as during r~ing (2) Date m~’yy (3) Val~ Code 2 (J-P) (4) Gain C~e I (A-H)

Dale e[ Report 07/I 2/201 I

(5) Id~tiff of ~yer/sell~ (if private tra~ction)

1055. -Microsoft Corp 1056.-Morgan Stanley 1057.-Motorola Inc
1058. -Newell Rubbermaid Inc 1059. -News Corp Inc Cls B 1060. -News Corp Inc Cls B 1061.-Nextera Energy Inc 1062. -Nordstrom Inc 1063.-Nordstrom Inc 1064. -Nordstrom lnc 1065.-Norfolk Southern Corp 1066. -Occidental Pc(re Co 1067. -Occidental Petro Co 1068.-Omnieom Gr Ine 106q. -Oracle Corp 1070. -Oracle Corp 107 I. -Parker Hannifin Corp

Sold (part) Sold (part) Buy
Buy

08/12/10 0~/12/10 08/17/10
09/22/10

Buy
Sold Buy Buy Buy (add’l) Sold Cpart) Sold (put) Buy (add’l) Sold (part) Sold (part) Sold (part) Buy (add’l) Sold

05/15/08
08/12/I 0 08/27/10 07/09/10 08/12/I 0 !08/12/10 : 08/I 2/10 06/16/10 08/12/I 0 08/I 2/I 0 08/I 2/I 0 10/05/10 06~3il0

See Section Vlll #3

D -$5,001 H2 Mc, n: tlum 2. Value Cud~ (~.’c Column’~ CI and D3) T -~’a~h Market (See Column (’2.)

FINANCIAL DISCLOSURE REPORT Page 67 of 103

Name of Person Reporting

Dale o1" Report 07/12/2011

Standish, William L.

NONE (No reportable incorne, as’sets, or transactions.)
[X-~cription of Assets (including u’~si assets) Pla~ "(~)" after ~h ~ct ~xemp~ fr~ pH~ dixlo~re Income during rrporting p~ Gros~ ~alu~ at end of r~poning period D Transactions du~ng re~,ning (I1 Type (e.g., b~y, s~[I, r~drmpiion) (2) (3) (4) Dale Valu~ Gain mm!dd/yy Code 2 Code I (J-P) (A-H) (5) Identity of b~yeT/scller (i f I’wiv mtc Ir~n.~ciion)

(i)
~unt C~e I (A-H)

(2)
T~ (.g.. ~v., rent, or int)

(I)
Valu= Code 2 (I-P)

(2)
Value M~z~ C~ 3

(Q-~ 1072. -Pepsico lnc 1073. -Pfizer Inc
1074. -Praxair Inc

Sold Sold (pa~)

1075.-Procter & Gamble Co 1076. -Public Svc Enterprise Group Inc

Sold (part) Buy
Buy (add’I) Sold (part) Buy (add’l) Buy (add’l) Sold

08112110 01/07/10 05/25/10 01/12/10
01/11/10

1077. -Public Svc Enterprise Group lnc 1078. -Public Svc Enterprise Group Inc
1079. -Qualcomm Inc 1080. -Qualcomm Inc 1081. -Qualcomm Inc

03/08110

04/28/10

1082.-Qualcomm Inc

Sold Buy (add’l)

08/12/10

] 083. -Qualcomm Inc 1084. -Raytheon Co 1085. -Schlumbefger Ltd

08/16/10

1086. -Schwab Charles Carp New

Sold (part) Sold

08112Y10 01/07;10 08/I 2/10

1087. -Sempra Energy ]08g. -Target Corp

Sold (part)

I. Inco~n~ Gain Codes:

3 VAIL-: Method (Sc¢ Column r.-2t

FINANCIAL DISCLOSURE REPORT Page 68 of 103

Name of Person Reporllng Standish, William L.

D~te of Repor~ 07112!2011

NONE (No reportable income, assets, or transactions.)
A. Descripuon of Assets (inching t~st ~sl Place "IX)" after each ~ cxem~ from prior diglnsure B. Income during re~ing ~i~ O) Amo~t C~ I (A-H) (2) T~ (e.g, die., rent. or int.) C. Gross value at end of ~ing O) Va~ C~ 2 (J-P) (2) Val~ Meth~ C~ 3 (I) T~ (.g., ~. ~ll, redemption) D. Transactions du~ng (2) Da~ ~d~ (3) (4) V~uc Gain C~e 2 (J-P) (5) [d~ti~

1089. -Tex~’on Inc 1090. -Thermo Fisher Scientific Inc 1091.-Time Warner Inc 1092. -Time Warner Inc 1093.-Time Warner Inc 1094.-Tyco lntl Lid 1095. -Tyco Intl Lid 1096. -Unilever PLC 1097. -Unileve~ PLC 1098. -Vale SP-Sa 1099. -Vertex Pharmac~ulicals 1 ] 00. -V’crlex Pharmaccutical~ I I 0 I. -Verizon 1102. -Visa Inc 1103. -Wal Mart Stores Inc 1104. -Wells Fargo & Co New 1105. -Wells Fargo & Co

I

Sold (part)
Buy (add’l) Sold (par0 Sold

08/12/10
01/13/10 07/07/I0 08/12/10 08/12J10 09108/10 06102110 08/12]10 08/I 2./10 ’Ol/13/10 06/24/I 0 06/I 6/08 08/I 7/10 06/I 5/09 08112/10 08/12/10

(part)
Sold (part) Sold (part) Buy (add’l) Sold

(part)
Sold (part) Sold (part) Sold Sold Sold Sold Buy (add’l) Sold (pa~)

See Section VIII #3

See Section VIII #3

(.q,.’c Cdumns C I .’,r.d D31

L =$50,001 - $ I00,000 PI -$1.OOd.O01. $~.0~,0(10

FINANCIAL DISCLOSURE REPORT Page 69 of 103

Name of Person Rtpor~tog Standish, William L.

Date of Report 07/I 2i2011

NONE (No reportable income, assets, or transactions.)
A. Des~t’aptior~ of Assets (i~luding tm~a asses) Pl~ce "(X)" after ~ch ~sct exempt ~m prior disclo~re n. Income during r~in~ ~ (2) (I) Amour T~ (.g., C~ t div.. ren~ (A-H) : orint) C. Gross value at ~ of r~inB ~ (I) (2) Val~ Value Meth~ C~ 2 (J-P) C~e 3 (~W) D. Tr~nsactiom dufng ~ing ~ (I) T~ (.g., ~, ~I1, ~demption) (2) (3) 14) Date Val~ Gain m~’~yy C~e 2 ~’~ I (J-P) (A-H) (5) [d~ti~ of ~y~sell~ (if private ~a~ction)

1106. -Wells Fargo & Co New I 10’7. -Whirlpool Corp I 108. -Whirlpool Corp I 109. -XTO Energy I I I0. -Dreyfus Premier Ltd Term 1111. -Ishares MSCi Emerginag Mkts Index Fd I 112. -Ishares MSCI EAFE Index Fd I 113. -Ishares S&P Midcap 400 1114. -Ishares S&P Small Cap 600 I 115. Custody Acct #2 (Invest Adv Acct 100% lot) 1116. -Central York PA Sch 3.0-2015 I 117. -SEI STET Tax Free CI A MM 1118. -Monroe City PA 2.8-2016 I 119.-PA State 5.0 - 2010 1120.-PA State 5,0 - 2013 1121.-PA State 5.0 - 2023 1122. -Red Liun PA Sch Dist 3.0-2013

Buy (add’l) Sold (part) Sold Sold

09/16110 0g/17Jl0 I 1/26/10 06/16/10

Buy (add’i) Buy (add’l) Sold

08/I 1/10 08/I 1/10 08/11/10

(part)

c A C C C C C

Interest Interest Interest Interest Interest Interest Interest

M 0 M

T T T I Matured 11/01/10

M

T T T

M

P3 -$25.~,~I - $5fl,~,~

P4 "Mm¢ than

FINANCIAL DISCLOSURE REPORT Page 70 of ! 03

~arae o1’ Person Reporting Standhh, William L.

Date of Repert 07/12;201 I

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trust asset~) Place "(X|" al}er each as~-I exemp! from prior disclosure B. Income during reporting period (I) Amount Code I (A-Ill (2) Type (e.g., div., rent, Or int.) C. Gross value at end of reporting period (I) Yal~ Code 2 (J-P) (2) Value Method Co,de 3 (Q-W) (I) Type (e.g., Ixty, sell, redemption) (2) Dale 131 Vque (4) Gain Code I (A-H) (5) Idenlily of buyer/seller" (if private t~an~action) D. Ttanssctions during reporting I~tiod

mmidgt’yy Code 2 (J-P)

1123.-Ltd Partnerships -I 124. -J&S Realty Assocs, Markham, Ontario CN. Real Estate 1125.-Agilent Tech lrtc
I 126. -Aqua America Inc 1127.-Auto Data Proc 128. -BJW Inc (S Corporation), Alexandria, VA I 129. -Bemis Co l 130. -City Nat’l Corp C A C C

A

Dislribution [ None
Dividend Dividend None Dividend Dividend

K M
M M K L M

W T
T T U T T

113 I. -Coming lnc 1132. -Frontier Communications Corp (Spin Off From Verizx~n) 1133. -Frontier Communications Corp. I 134. -Frontier Communications Corp
1135. -Great Plains Fmergy Inc

B

Dividend
Dividend

M
M

T
Spinoff 07/02/10 J from line 1153’~

Buy (add’l) Sold (part)
D D B B Dividend Dividend Dividend Dividend Dividend I M O M M O T T T T T

10/22/10 M 07/27110 J

1136.-Hewlen-Packard Co 1137. -Ishares MSC! Emerging Mkts Index 1138. -lshates MSCI Pacific Ex JPN
1139.-Johnsort&Johnson

Sold (part) Buy Buy

10/22/10 M 10/22/I 0 M 10/22/10 M

(~ C’,qunm C~

U -~k Val~

V =~h~

W -Esum~cd

FINANCIAL DISCLOSURE REPORT Page 71 of 103

j

Ntme of Perso~ Reporting Standish, William L.

Date of Report 07/I ~/201 I

NONE (No reportable income, assets, or transactions.)
A. Descriplion of As.~ls (i~l~ing t~ asset~) Pl~ce "(X)" afl~ ~h as~t ¢xempl f~m prior di~lo~ B. Income during ~ing ~fi~ (t~ A~t C~e I (A-HI (2) T~ (e.~, div., ~nk or int.} C. Gross vllu¢ at ~ offing ~ (I) (2) V~ Value C~ 2 Me~ C~ ~ (J-P) (~W) (~ T~ (e.g., Ny, ~11, ~emption~ D. T~ctiom d~ng r~ning ~fi~ (2) (3) (4) Date Val~ m~’~ C~e 2 (I-PI (5) Id~fiW of ~y~!sHler (ifp~’ale tra~ction)

G~ Code I (A-H~

1140. -J P Morgan Chase & Co 1141. -Kimbedy Clark Cotp 1142. -Lilly (Eli}& Co 1143. -Merck & Co 1144. -Monsenlo Co New I 145. -Pepsico 1146. -Piracy Bowes Inc I 147. -Procter & Gamble I 148. -Royal Dutch - ADR A I 149, -Schlumberger Ltd 1150.-Smucker J M Co 115 I. -3M Co I 152. -United Tcch Corp I 153. -Verizon Communications (Spinoff of Frontier Communications) 1154. Agency Acc~ I 155. -1 l illman-Burgettstown Mineral Acct (2.6% Incomc lntl I 156. Broker A!C #1 ( 100% Inlerest)

A D E E B D C E B

Dividend Dividend Dividend Dividend :Dividend Dividend Dividend Dividend Dividend None

Buy (add’l)

i 10/22/10

K

Sold Sold (part) Buy Buy

10/22/10 10/22/10 10/22/10 10/22/10

L M M M

A G

C D B D

Dividend Dividend Dividend Dividend
07/02/10

None

U

Coal Royalty

FINANCIAL DISCLOSURE REPORT Page 72 of 103

I
(I)

Name of person Reporting Standish, William L

Date of Report 07/12/2011

~ VI I. IN VESTME NTS and TRUSTS - ,....,..or.. ,,. .... ,~ lnclsdes those of spouse and dependent children; ~ee pp. 34-60 of fding instructions,)
NONE (No reportable income, assets, or transactions.)
A. De~ription of As~ts lincl~g t~ Place "(X)" after ~h ~t exempl from ~or di~lo~ B. Income during (I) ~) ~l T~ (e.g., (A-H) (2) C. Gross value at end (I) Val~ (J-~ (2) (3) Value (4) 15) T~ (e.g., redemption) D. Tranactions during re~rting ~i~

~lc

Val~ Gain (J-P) {A-E)

Id~tity of (if private

or in~)

C~ 3 (Q-W)

57. -Abbolt Laboratori~ 58. -Alb~rto Culver Co New I 159. -Allergan
1160. -Alliance Bemstein Int’l (Name Chg Fr Alliance Worldwide) 1161. -Alliance Wrldwde Prvi film Chg To Alliance Bernstein lnt’l) 1162.-AIIscripts Healthcare

C A A

Dividend Dividend. Dividend Dividend None None None None
None

L Sold L L T T Buy 09/27/10 K 02/03/I 0 L I I/30i05 11/30/05 L L K
L

See Section VIII #7 See Section Vlll #7

T T T
T Sold (part) Buy [09.#20/10

1163. -Amazon Cam Inc 1164. -Applied Microcircuits Carp
1165. -Ariba [nc - New 1166. -Baidu Inc 1167.-Baker Hughes Inc

Sold (part)

10/21/10

L

L

E

None

L

T

109/27/10

None A B C Dividend Dividend Dividend

L L K L

T T T T

Buy

12/07/10 L

1168. -Bank of America Carp 1169. -Banes & Noble Ine
1170. -Bristol Myer~ Squibb Co

1171. -Carefasion Corp I 172. -China-Biotics Inc 1173. -China Fund Inc D

None
None

L
L T Buy 10/19/10 L

Dividend

L

T

2 Value Coda

A =$1,000 m" less F=$50.001 - $100,000 J-$15,0~0 c,t less N -$250.1~ I . |5.00.0¢10

FINANCIAL DISCLOSURE REPORT Page 73 of 103

I

Name of Person Reporting Standish, ~/illiam L.

Date of Report 07/I 2.t201 I

VII. INVESTMENTS and TRUSTS - ineo,o. ~,t,e. transactions ~lncl,de, those of spou~e and dependent children; ~eepp. 34-60 of fding instrac~ti~ns.)
NONE (No reportable income, assets, or tram’actions.)
A. Dcsc~ptio~ of Assels (i~luding trust ~) Place "(X)" afl~ ~ch a~ exempt from prior ~ B. Income dm’ing re~mng ~ (I) A~n~ C~ I (A-H) (2} Ty~ (.g., div., ~t. or me.) C. Gro~ value at ~ of ~ing ~fi~ (I) Value C~ 2 (J-PI (2~ Value M¢~ C~e 3 (Q-W) (I) T~ (.g.. ~y, ~11, ~demption) D. T~nsaclion~ d~ng re~ing ~fi~ (2) {3) Da~e Val~ mm/~yy C~ 2 (J-P) (4) Gain C~ I IA-HI {S) Id~tity of ~y~/sell~ lif~vat~ ~n~clion)

174. -China Mobile Led 175. -Citigroup Inc 176. -Coach lnc 177. -Coca Cola Co 178. -Comcast Corp CI A 179. -Comcast Corp CI A - Spl 180. -Coming Inc 181.-CVS Caremark Corp 182.-Cypress Semiconductor Corp Del 183. -Dendreon Corp 184. -Dendreon Corp 185. -Dow Chemical 186. -E ! duPont dcNemours 187. -Electro-Optical Sciences lne (Nine Chg Fr Mela Sciences Inc) 188. -Emerson Electric 1189..Enerl Inc New 1190. -Enerl Inc New

Dividend ~ None Dividend Dividend Dividend Dividend Dividend Dividend None None

L~

T~
T T

See Section VIII #12

M K L K L L

T T T T T T T Buy Sold (pan) 02/03/I 0

L L

04/30/I o

Dividend Dividend None Dividend None

K M

T T
05/04/10 T T

Buy (add’l)
Sold (part)

II/lli10 12II5/10

K K
iA

E -$15.01)

Column (2)

U =~k

FINANCIAL DISCLOSURE REPORT Page 74 of 103 V !I. INVESTMENTS and TRUSTS - i .......

Name of Person Reporting Standish, William L.

Date of Report 07,’12J201 I

t.,, tran,acdons lncl,de$ those of spouSe and depe,denr childr,n: set pp 34-60 of filing inxtru,,ion.~)

NONE (No reportable income, assets, or transactions..)
A. E)er~ription of Assets (i~luding t~st a~ets) Pbce "(X~" afl~ each ~ exempl from pri~ di~e ~. Income during ~ding p~ (I) A~I C~ I (A-II) (2) T~ (.g., div., rent. or int.) C. Gross value at end of ~ing ~ (I) Va~ C~ 2 (J-P) (2) Value Met~ C~ 3 (Q-W) (I) T~ (e g., ~y, ~ll, r~empt~n) D Transactions during ~rting ~fi~ (2) Date m~yy (3) (4) Value Gain C~ 2 C~ I {LP) (A-H) (5) Ide~t{~ of buy~i~I~ {if private ~n~ction)

1191.-Exxon Mobil Corp 1192. -FPL Group lnc (Name Chg to Nextera Energy [no)" 1193. -FEI Co 1194. -Flex~ronics lnt’l Led USD 1195. -Flextronics Infl Led USD I 196. -Frontier Communications Corp (spinoff From Verizon) I 197. -Frontier Communications Co~p I 198.Gamestop Corp New CLA 1199. -General Electric Co 1200. -General Mills Inc 120 I. -Glaxo Smithkline 1202. -Google Inc 1203. -Guggenheim Solar ETF i 204. -Hanesbrends Inc 1205, -It J Heinz Co 1206.-Hologic Inc 1207.-Home Depot Inc

D

Dividend
None

N
06/03/10

L
None

K

T

Buy

ll!ll/10

K

(add’l) Sold 12/14/10
07/02/10

K
J

None

Spinoff

from tit~e 1246’
Sold 07/15/10 J

None

K M L K M L L L L

T T T T T T T
Buy I I/I 1/10

D

Dividend

B

Dividend

B

Dividend None

A

Dividend

None

C

Dividend

T T

C

Dividend

M

FINANCIAL DISCLOSURE REPORT Page 75 of 103

Nsme or Person Reporting Standish, WiUiam L.

---]

NONE (No reportable income, assets, or transactions.)
A. Description of Assets l incl~ing t~t a~ts ) Place "(X)" a~¢r ~¢h 8S~ exempt from prior di~lo~ B. Income during ~niag ~ C. Gro~ value al trod of ~ning ~ D. Trama¢lions during repoi’ling

(I)
~ C~ 1 (A-H)

(2)
T~e (e.g., div., ~nl, ~ int.)

(~)
Va~ C~ 2 (J-P)

(2)
V~ Me~ C~ 3 (Q-W)

(i)
Ty~ (.g~ ~, sell, re~mption)

(2)
Date ~/~

O)
Value C~ 2 (J-P)

(4)
Ga~ C~ I (A-H)

(5)
Id~ti~ of (if p~vate ~n~ction)

1208.-ilo~pira Inc 1209. -JP Morgan Chase & CO
1210.-Johnson&Johnson 1211.-Kimberly Clark Corp 1212.-Macy’s Inc

None A
B B A A

L L
L L J L M

T T
T T T T T

Dividend
~Dividend Dividend Dividend Dividend None

Buy

03/15/10

L

1213. -Mastercard Inc
1214. -Medco Hlth Solutions Inc

1215. -Mela Sciences Inc (Name Chg ElectroOptical Sciences Inc) 1216.-Mcmc Electronic Mils lnc
1217.-Merck & Co Inc 1218. -Microsoft Corp 1219.-Netflix Inc 1220.-Netflix Inc 122 I. -Nextera Energy )no (’Name Change From FPL Group Inc) 1222. -Nutri!Systems )no (X’)
B

None None C
B

J J L
L

T T T
T Sold (part) Sold (part)

05/04/10 01119/10

Dividend
Dividend

None

04/09/10 L 12/08/10 06/03/10

E F

Sold (part)
Dividend

L L

T T Buy (addT) Sold

B

Dividend

I 1/I I1101 12/14/10 L

1223. -Nutri/Systems Inc (X) 1224.-Pepsico Inc C Dividend M T

= SI.0OO or 1~ =$50.0OI =$15.000 or less - $250.0OI -

E =$15.rxH -

FINANCIAL DISCLOSURE REPORT Page 76 of 103

Nzme of Persoa Reperllng St*ndbh, William

D~e of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A. l~scrip~ion of Assets B. Incon~ during (I) Amour C~ I (A-H) ~) ~T~ (e.g~ div.. r~n~ o~ in~) (I) Vzlu~ C~e 2 (~P} C. D.

(2) Me~ C~ 3 (Q-W) T T T T T T T T ’T T T T T T

O) ~, ~11, r~ption)

(2) m~ C~ 2

131

(4) C~e I (A-H)

(5) buy~r/~ller (if ~ivate

Place "(X)" after ~ch as~t ¢x~pt ~m pri~ di~lo~e

(J-P)

1225. -Prize" Inc 1226. -Procter & Gamble Co 1227.-Ralcorp Hldgs lnc New 1228. -Rochesler Med Grp 1229. -Royal Dutch Shell 1230. -Sally Beauty Hldgs Inc 123 I. -Sanofi-Symhelabo 1232. -Sar~ l.~e Corp 1233. -5BA Communications Corp 1234, -Schlumberger Lid 1235.-Smucker J M Co New 1236. -Sociedad Quimica Minera De Chile 1237. -Srryker Corp. 1238. -Suncor Energy 1239. -Sunpower Grp CI A 1240. -Sunl~wer Cap CI B 124 I. -Teco Energy, Inc

D B

Dividend Dividend None None

M L L K K M L K L L L M L L

B

Dividend None

C B

Dividend Dividend I None

Buy

04109/10

A B B A A

Dividend Dividend Dividend Dividend Dividend None None

Buy Buy Buy (add’l) Sold Sold

10/16109 07/15/10 06/04/10 II/11/10 II/II!10

L

See Section VIII #3

A A

B

Dividend

L

T

1 Income Gain (’odes:

A ~$l,0OOorlcss

B =$1,001 - $2.500

U :$2.501 -$5,~

D~5.~I

FINANCIAL DISCLOSURE REPORT Page 77 of 103

Name of Penon Reporting Standhh, William L.

Dale of Report 07/IZ7201 I

VII. INVESTMENTS and TRUSTS - i,eo,.,, mlue, transactions ( Inct~dts tho,, of spoast and dependent ehildren; ste pp. 3 -60 of filing in,tructions.)
NONE (No reportable income, assets, or transactions.)
A. Descriptio~ of Assets (including, toJSt a~ets) Place "(X)" aflel" each ass~ exempt from prior disclosure B. Income during repo~ling period (l| (2) Amoum Typ~ (e.g., Cod~ I div., r~nk (A-H) or int.) C. Gross value at end of r~otling period (I) (2) Value Value ~’ode 2 (J-P) Method Cod~ 3 (Q-W) (I)
Ty~ (e.g.1

D. Transaclions during reposing period (2) (3) (4) [~te VaI~ mn’ffdd/yy Code 2 (J-P) (5) ld~nti~/of buyer’/seller (if private Iransaclion)

buy, sell, rcd~"nption)

G~in Code I (A-HI

1242. -Templeton Fronti¢~ Mkts

A B D
C C B A

Dividend Dividend Dividend
Dividend IDividend Dividend Dividend None

M L M
L

T T T
T

Buy

08/04/10 L

1243..Teva Pharmaceutical 1244. -3M Co
1245. -Unilever NV New York Shs N~w 1246.-Verizon (Spinoffof Frontier Communications) 1247. -Wal-Mart Stores Inc 1248. -Watts Wtr Technologies [nc 1249. -Zimmer Holdings Inc 1250. -Templeton Developing Mkts 1251.-India Fund Inc 1252.-Templeton Ru~ia E Europe Fdlnc
1253. -Bank of Baroda-N~" 0.4-2010

L L
L L M N M

T T
T T T

07/02110

C B A

Dividend Dividend Dividend

T T
Matured 03104/I 0 1 M

1254, -Beal Bank - "IX 0.3-2010

A

Interest

Matured 01106110 M

1255. -Morgan Stanley/Smith Barney (Frmrly ’ Citibank/Smith Barney) 1256. Agency Acct #2 (100% Interest) 1257. -Blackrock US Treas MM Fd #02 125~. -State Lease 195 (Operated by Gulf Stream Resources,lnc)

Interest

0

T

Mon Mkt lnv

Closed

05/31/05

See Section Vlll #3

I Incon~: Gain Codes: 2 Value (’odes

A ~$1,000 or less J "$15J~ ~ l~s

B =$1.001 - $2.500 K =$15.~I - 150.~

C =$2.501 - $5.00~1 L =$50,~I - $I~.~

D =$5.P~)1-$15.000 M ~11~,~I - $250.~O

Date of Report

FINANCIAL DISCLOSURE REPORT Page 78 of 103

07/12/201 ~,

NONE (No reportable income, assets, or transactions.)
A, Description of As~ts lincluding u’ust ax~el:+) Place "IX)" after each a~t exempt from prior disclosure B. Income during =~porting period (I) (21 Anu3tmt Type (e.g., Code I div., rent, (A-H) or int.) C. Gross value at end of reporting period 11) (2) Value Value Method Code 2 Ct~ 3 (J-P) (Q-W) D. Transactions durin8 reponin8 period II) Type (e.g., buy. sell. r~.kmption) (2) (3) (4) Date Value Gain mmtdd/)V Code 2 Code I (J-P) (A-H) (5) Idenlity of buyer/seller (if p.nvate ~nsaction)

1259. -Rycade Lease Section 28 (operated by "rermo Co) 1260. Note Rec from Ron Bacon* (D/B/A Village Deli) (*default)

(’No income)

1261. Trust # I 1 (6.25% income interest)
1262. -Blackrock Global Allocation Fund

A

lnt./Div.
Buy

K

D

See Section VIII #1

10128/I 0

1263.-Cisco Systems

1264. -Dividend Capital Industrial Income Trust
1265. -Exxon Mobil Corp 1266.-Ishares TR Russell 2090 Index Fund 1267. -Johmon & Johnson

Buy

1 I126/10

Sold (part) Buy
Sold (part) Sold (part) Buy Sold (part)

ll/18/lO

11101/10

I 1/I 8/10

1268.-Pfizerln¢ 1269.-Pimco Commodity Real Return Strategy

I liOl/10

I 0/06/I 0 II/01110

Fund
1270.-PPG Industries Inc

1271. -Prudt’l Jenni~n 20/20 Focus Fd fNme Chg To Jennison 20/20)

02/I 9/10

1272.-Blackrock Temp Fund # HI 1273.-Calamos Growth Fund #606

Mon Mkt lnv Sold Buy {add’l+,
I 0;06/10 10/28/10 02/19/10

1274.-Harbor Fund Int’l #11
1275. -Jennison 20,’2-0 Focus Fd (Nine Chg Fr Pmdt’l Jcnnison 20/20)

i
E °-$15.1~11 . $50.1+O3

I. Income Gain C~atcs:

A -$1.000 or 1~

B =$ I,dOI - $2.500

C = $2,5o I -

~ V~,~ Me~ (’~ q~¢ Coh~m (21

P3 =125.~.~t - $~.~.~ Q =Ap~a~gnl LI =~ Val~

R ~OSl (Real E~tc ~ly} V -~

P4 =More tMn $50.~.~) S =Asscss~nl W =Esti~¢d

r =(ash Market

FINANCIAL DISCLOSURE REPORT Page 79 of 103 VII. INVESTMENTS and TRUSTS

Name of Person Reporting Standish, William L.

Date of Report 07/I 2/2011

NONE (No reportable income, assets, or transactions.)
A. De!{trip{ion of Assets (including trust assets) Place "(X)" a~er each a~et exempt from prior diploma{re ~. Income during reporting p~iod (t) Amotmt Code I (A-H) 12) Type (e.g., day., rent. or int.) C. Gross value at end of reporting period (i) (2) Value Value Code 2 (J-P1 Method Code 3 (O.W) (ll Type (e.g., Imy, ~11, redemption) (2) (3) Date Value mm/dd]yy Code 2 (J-P) (4) Gain Code I (A-II) iS) Identity of buyer/seller (if private transaction) D. Transactions during repotting period

1276. Trust # 12 (6.25% income interest) 1277. -Blackroek Temp Fund # H! 1278. -Agilent Tech

D

Int./Day.

N

T Mon Mkt lnv

K

A See Section VIII #1

1279. -Allergan Inc
1280. -Amgen Inc 1281. -Apple inc 1282.-Baxter Intl Inc Sold 11/18/10

1283.-Becton Dickinson & Co
1284. - Boeing Co 1285.-Bristol Myers Squibb Co 1286. -Cisco Systems Inc 1287. -Dividend Capital Industrial Income Trust 1288. -EQT Corp (Name Chg From Equitable Resources) Sold Buy 11/18/10 I 1/26/10 01/02/09 01 I02/09 Sold (part) 11/18/10 06/03/10 See Section Vlll #7 See Section Vlll #7

1289. -Equitable Resources (Name Chg To EQT Corp)
1290. -Exxon Mobil Corp

1291. -FPL Group {Name Chg To Ncxtera Energy Inc)
1292. -Frontier Communications Co (spin off From Verizon)

Spinoff 07/02/I 0 ’from line 1324

I Income Gain Code~: tSce Columns O I and D-l) 2. Value Codes

A =$1,000 o~ less F =$50.001 - $100.fiO0 J -$15.000or I~s N -$250.001 - $500.000 P3 =$25.tj00.001 - $50.000.000 O ~Apprai~tl II =Book Value

B =$I.091 + $2.500 G :$1flfl.flOI . $1.000.000 K ~$15.001 - $50.000 O =$50~1.0~1 - $1.000.000 R :Co~t (Real Estate Onlyl V =Other

(See t’olumas (1 and D3)
3. Vails. Mc~od L’odc,. (~ Uolumn C21

C =$2.501 - $5.000 HI =$1.00~.001 - $5.000.000 L -150.001 - $100.000 PI -$1.000.001 - $5.000.(100 P4 =Mor¢ than $50.000.000 S =Ass¢,~sment W =Eetimawd

D =$5.001 . $15.000 H2 =More than $5.fl00.000 M =$100.0OI ¯ $250.fl00 P2 -$5.0~.001 ¯ $25.00o.0o0 T =(’&~,~ Matkc|

E -$15.tXII-$50.0OO

FINANCIAL DISCLOSURE REPORT Page 80 of 103

Name sf Person Rel~rtlag Standhh, William L.

A. De~ription ol" Assets [im:luding trust =ss¢l~) Plac~ "(X)* after cach asset ~x~mpl from prior disclosure

B. Incor~ during rrponing period O) Amount Code I (A-H) (2) Type (e.g, dlv., rcn~ or int )

C. Gross value at end ofrtl~ning pt~od 11) (2) Value Value COd~ 2 Method (J-P) COde 3 (Q-W)

D. Tran~ctions during reporting period (I) Type (e g., b~ry, ~ll, redcmption) (2) Date mm.~dd/yy (3) (4) Value Gain Code 2 Code I (A-H) O-P) (5) Idemi~’ of Imya’!scll~r (if private wamaction)

1293. -Frontier Communications Co 1294. -G~neral Electric Co 1295. -Goldman Sachs Group lnc 1296. -Google |nc Cl A 1297. -Hewlett-Packard Co 129g. -lntel Corp 1299. -Int’l Business Machine.~ orp [ 300. -Johnson & Johnson 1301. -McDonalds Corp 1302. -Mc Kesson Corp 1303.-Medco Hlth Solutions Inc 1304. -Medtronic Inc 1305, -Microsoft Corp 1306. -Nextera Energy Inc (Name Chg From FPL Group) 1307.-Oracle Corp 1308.-Pepsico Inc

Sold

I0/08/10

Sold

I I/Ig/lO

06/03/10

[309.-Pfizer

Buy

05/09/01

See Se~’~ion Vlll #3

IScc (’o1~ C2)

l; -~k Value

V ~h~

W =~tima~

FINANCIAL DISCLOSURE REPORT Page 81 of 103 VI 1. INVESTMENTS and TRUSTS -

Nome of Person Reporting St~,nd|sh, William L

Dale of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
Dercription of Assets Income during Gross value at cad Transactions during reporting period

(including ~rust assets}
Place "(XI" after each asset exempt from prior disclosure

reporting pcriud
Amount Code I (A.H) Type (e.g.. div., r~nt. or mr.)

of r~po~.ing period
Value Code 2 [J-P) Value Method Code 3 (Q-W) Type (e.g.. buy, sell. rede2nl~ion) Dale Value mm/dd/yy Coda 2 (J-P) Gain Code I {A-H) Idemily of buyertseller (if private uansaclion)

1310.-PPG Induswies Inc 131 I.-Praxair In¢ 1312. -Procter & Gamble Co 1313. -Schlumbcrger Lid 1314. -St Jude Medical Co 1315. -State Street Corp 1316. -Stryker Corp 1317. -Tern Pharmaceutical lads Ltd ADR 1318. -Transocean Ltd 1319. -Unilever NV New York Shs New 1320. -Union Pacific Corp 1321.-United Health Group Inc 1322. -United Technologies Corp
1323.-Vanguard FTSE All World Ex-US Index Fd:

Sold Sold

11118/10, 10/08/10 !

Buy

10/08/10 07/02/t 0

324. -Verizon (Spinoffof Frontier Communications’~ 1325.-Waste Management inc
1326. -Ishares Trusl MSCI EAFE Index Fd

Buy Sold

10/08/10 10/08/10

I laconic Gain Codes.

A -$1,1~30 or less

B =$1,001 - SZ.5~

(" =$2.501 - $5.~

D "$5J~1 - $15.~

1~’¢ Uolm~ (’2)

U -~t Value

V =~h~

W : Estin~t~

FINANCIAL DISCLOSURE REPORT Page 82 of 103

07/12/2011

NONE (No reportable income, assets, or transactions.)
Description of As.,.ets (including frost asset~) Pfa*.’t "(X)" after em:h asset exempt from prior disclosure Income during reporting period (I) Amount Code I (A-H) Type (e.g., div., rent, or int.) Gross value at end of reporting period (1) (2) Value Value Code 2 Method (J-P) Code 3 Tmns~ction~ during reporting period

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

(21 (3) (4) Date Value mm/dd/yy Code 2 (J-P)

Gain Code I (A-H)

(Q-W)
1327. Fiduciary Positions - 1328. Trust # | 3 1329. -BNY Mellon MM Fd 1330. -AT&T Inc 1331. -Accenture PLC (reed fr Aceenture Lad merger) 1332. -Alliance Data Systems Corp 1333. -Amerprise Finl Inc 1334. -Amgen Inc 1335.-Amgen Inc 1336.-AOL Inc 1337. -Apache Corp 1338. -Apple Computer Inc 1330.-Apollo Group Inc t 340. -Autoliv Inc 1341. -Bank of America Corp 1342. -Blackrock Inc 1343.-Capital One Financial Corp

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

T Mon Mkt Inv
Sold 03111/10

L

E See Section Vill

Sold

01/! 1/10

Sold Sold

03/I i/I 0

03/I 1/10

Sold (part) Sold

02/18/10 03/I I/lO

Sold Sold

01/07/10

03/I 1/10 03/11/10

Sold

Sold

04/07/08

See Section VIII #3

Sold

0311 I/I0

Sold Sold

0311 Ill0 03/I 1/10

Buy

01/22/10

I. Income Gain L’t~dcs:

A

E =515.~O I - $51].INit}

FINANCIAL DISCLOSURE REPORT Page 83 of 103

Date of Report

$tandbh, William L.

07/[7/2011

NONE (No reportable income, assets, or transactions.)
Description of Assets (including trust assets1 Place "(X)" after each ~s~-’t exempt from prior disclosure Income during r~orting period Gro~ value at end of reporting period

Transactions during r~poning period (2) (3) (4) Date Value Gain m~’dd/y,y Code 2 Code I {J-P’} (A-H) (5) Identity of buyer/seller (if private transaction)

(I)
Amoum Code I

(2)
t~’ype (e.g., div., renl. Value Code 2 Value Method

(A-H)

or inL)

O-P)

Code 3 (Q-W)

Type (e.g., buy, sell, ~dempfion)

1344. -Capital One Financial Corp 1345. -Chubb Corp 1346.-Cigna Corp 1347.-Cisco Systems Inc 1348. -Coca Cola Co 1349. -Concophillips 1350.-Cummins lnc 1351. -CVSiCarcmark Corp 1352. -CVS/Caremark Corp 1353. -Danaher Corp 1354.-Dell 1355.-Dreyfus Diversified Intq-I 1356. -Dreyfus Diversified Int’l-I 1357. -Dreyfus Inflation Adjusted Sees Fund 1358. -Dr~,fus Inflation Adjusted Sees Fund 1359.-Dreyfus Inflation Adjusted Sees Fund 1360. -Dreyfus,’Newton Int’l Equity Fund

Sold

03/I 1/10

Sold
Sold Sold

03/11/10
03/11/10 03/11/10 03/1 Ill 0 03/I 1/10 03/1 Ill0 01/14/10 03/11/10 03/I Ill0 10/20/08 03/12/10 12/17/10 03112/10 12/22/10

Sold Sold
Sold Sold (pan)

Sold Sold
Sold Buy Sold Buy Sold

Sce Section VIII #3

(p~)
Buy
(add’l)

12/27/10 12/17/IO

Bay

I Income Gain Codes:

A -~$1.000 or less

B ~$1,00r. 52.500

C ~$2.501 . $5.000

FINANCIAL DISCLOSURE REPORT Page 84 of 103
Vll. INVESTMENTS

I

Name of Persom Reporting

Da;e of Report 07/12/20il

Standish, William L.

NONE (No reportable income, assets, or transactions.)
Descriplion of Assets (including trust assets) Plac~ "(X)" after each asset exempt from prior disclosure Income during reporting period (I) (2) Amount Type (e.g., Code I div., rent, (A-H) or int.) Gross value at t~d of rq>orting period (i) (2) Value Value Method Code 2 Code 3 (J-P) (Q-W) (11 Type (e.g., buy, ~:11, redemption) Transactions during reporting period (2) (31 (4) Value Date mm/dd/yy Code 2 (J-P) (5) Identity of buyer/seller (if private transaction)

Gain Code I (A-H)

1361. -Dreyfus Opportunistic Small Cap Fund 1362..Dreyfus Opwortuni*tic Small Cap Fund 1363. -Dreyfus Opportunistic Small Cap Fund 1364. -Dreyfus Select Mgrs Small/Cap Growth Fund-I 1365. -Dreyfus Select Mgrs Small Cap Value Fund
1366. -Dreyfus Select Mgrs Small Cap Value Fund 1367. -Du Pont E I De Nemours 1368. -EMC Corp

Buy Buy (add’It Sold (part) Buy Buy
Sold

03/10/I01 12/15/10 12117110 12/31/10 03/10/10
12/17/10

(part)
Sold Sold Sold Sold Sold Sold Sold Buy (add’It Sold Sold Sold 03/11/10 03/11/10 03/I 1/10 03/11/10 03/11/10 01/29/I 0 03/11/IO 01/I 5/10 03/11/10 03/11/10 03/I 1/10

1369. -Exelon Corp 1370.-Exxon Mobil Corp
13 7 I. -Fedex Corp
1372.-First Horizon Natl Corp

1373. -Franklin Res Inc 1374. -GAP lnc 1375.-GAP inc 1376.-General Electric Co 1377. -Google lnc

I. Income Gain Codes: (See Columns B| and 2. Value Codes I~e Cnlmrm~ C I and "~ V;duc Mclh,~l C~le,t l,S¢~ Column

A ~$1.000 or Less J =$153!00 or I~s

O -$5.fi<tl - $ I

U ~k Value

FINANCIAL DISCLOSURE REPORT Page 85 of 103

Name ol" Perso~ Rel~,r1|n~ Sl~ndish, Wlll|~m L.

Dmte of Report 07/IZ~011

Vll. INVESTMENTS and TRUSTS -l,, .... ,~.,,. transacaon~(In¢l.d~-s~hos, o.l’spo ..... ddepcndc~tehildren~,¢erp. J4-6Ooffilingl.trucao~s.)
NONE (No reportable income, assets, or tramactions.)
A. Dtw,~’iption of As~t~ (incl~ing t~st t~ts) Plaff "(X)" after ~ch as~l ¢xempl from ~r di~l~ B. Income during ~ning pai~ (l} A~l C~ I (A-H) (2) Ty~ (e.g., div., r~t. or inL) C. Gross valu~ at ~ of reposing ~r~ (I) Value C~e 2 (J-P) (2~ Value Met~ C~e 3 Ty~ (e.g.. ~y. ~ll, r~emption) Transactiomt dmang reporting peritxl

(2) (3) (4) Date Valu¢ Gain mm/~d,’yy Code 2 Code I (J-P) (A-II)

~Q-W~ 1378. -Hallibumon Co 1379. -Hess Corp 1380. -Hewlett Packard Co 138 I. -Itome Depot 1382.-Honeywell Int’l Inc 13g3.-Hospira lnc 1384. -Human Genome Sciences Inc 1385. -Human Genome Sciences Inc 1386. -IBM 1387.-Ishares S&P GSCI Commodity-lnd
1388. -Juniper Networks 1389. -Kbr Inc 1390. -Limited Brands Inc 1391. -McKesson Corp 1392.-M,’Ke~son Corp 1393. -Medtronic Ine 1394. -Merck & Co lnc Sold Sold Sold Sold Sold Sold Buy (add’l) Sold Sold Buy Sold Sold Sold Buy (add’J) Sold Sold Sold 03/I 1/10 03/I Ill 0 0311 I/I0 03/I I110 03/I 1/10 03/’I I110 02/I 8/I 0 03/1 Ill0 03111/10 03112/10 i01/ll/10 03/I 1/10 03/I 1/IO Ol/08/10 03/I 1/1o 03/I 1/10 03/I 1/10

(5) ldenoty of buy~r.’seller 61"tmvate transaction)

D =$5.001 - $15,000 H2 =Mote Lima M =$100.001 ¯

E =$15.001 -

FINANCIAL DISCLOSURE REPORT Page 86 of 103 VII. INVESTMENTS and TRUSTS

~lme o1" Person Reporting Standish, \Villiam L.

Dale of Report 07/12/2011

NONE (No reportable income, assets, or transactions.)
A I.~’*criptio~ of Assets (inch~ing test asse~) Place "(X )" a~cr each as~ ex~ f~m prior disclosure B. [ncome during ~aing pcri~ O) (2) Amount Ty~ (eg., C~e I d~.. ~1, {A-H) ~ int.) C. Gross value at ted of r~in8 ~n~ {J) Value C~e 2 (J-P) 12) Va~ Meth~ C~ 3 (O-W) 11) T~ (e.g.. ~y, sell, ~mption) D. Tmr~actions during r~ing p~ (2) (3) {41 Dale Value m~d~’~ ~ 2 (J-P) (51 I~lity of bwer/seller (if pnvate tran~tion)

Gain C~e I (A-H)

1395. -Microsoft Corp
1396. -JP Morgan Chase & Co 1397. -Morgan S~anley 13 98. -News Cor~ Inc 1399. -Norfolk Southenl Corp 1400.-Occidental Petro Corp

Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Sold Buy Sold Buy (add’l~

03/I !/10 03/I 1/10~ 03/11/10 03/11/10 03/11/10 03~11/10 03/11/10 03/I Iil0 03/11!10 03II 1/10 03/I 1110 03/I 1/10 i

1401. -Omnicom Group

1402. -Oracle Co~ 1403.-Parker Hanrtifin Corp

1404. -Pepsico

1405. -Pfizer 140(;. -Phillip Morris

1407. -Praxir lnc

1408. -Procter & Gamble 1409.-Public Svc Enterprise Group lnc

03111/10 01/g/10 03/1 I110 01/I I110 i

1410. -Public Svc Enterprise Group Inc

141 I.-Oualcomm Inc

B-$ I .t~l I - $Z.500 G =,SIO0.0al - $1,000.O00 K =51 ~;.001 ¯ 550.000 0 -$500,001 - $I.~.000

D =55,t10 I 112 *Mote tl~n 55.000.000 M ~5100,0OI P2 =$~.000.001 T -(’~dl Markd

E "$15,OUl -

1~ Coluum (’21

V ¯ Od,,cr

FINANCIAL DISCLOSURE REPORT Page 87 of 103 VII. INVESTMENTS and TRUSTS -i .......
A. Des~:riptiou of" As~cts {including trust a.~cts } Place "IX)" after each asr~ exempl from prior di~cloxure

N~me ot" Person Reporting Standish, William L.

Dale of Report 07/12J2011

I.,, tr ....caftans (Include, thos¢ of sl~t and d~’pendtnt ckildrtn;
C. Gro~ value ~t end of re’porting period (1) (2) Valu~ Valu~ Methyl Code 2 (.I.P) Code 3 IQ-WI D. Transactions during reporting period (I) Typ~ (e.8. buy, sdl, r~demplionl {2) (31 (41 Date Value Gain mm/dd/yy Code 2 Code I (.I-P) IA-H)

NONE (No reportable income, assets, or transactions.)
B. Income during reporting p~iod (I) (2) Amo~wit Type (e.g., Code I div.. rent. (A-H) or int.)

Identity of buyer/~ller (if private trnn~ction)

1412. -Qualcomm Inc 141:t.-Qualcomm Inc 1414. -Raytheon Co 1415. -Rydex Managed Futures Strategy Fund-Y 1416. -Sempra Energy 1417. -Sempra Energy 1418. -Schwab Charles Corp New 1419. -Strategic Global Stock Fund 1420. -Target Corp 142 I. -Textron Inc 1422. -Thermo Fisher Scientific 1423..Time Warner Inc 142,1. -Tyco Intl Lid 1425.-Unilever PLC ADR 1426. -Vale SA-Sp ADR 1427. -Veretex Pharmaceuticals Inc 1428.-Veretex Pharmaceuticals Inc

Buy (add’l) Sold Sold Buy Sold

03108/10 03/I 1/10 0311 i/10 12117110 01/12/10 02/02/I 0 03/I Ill0 12/31110 03/I Ill0 03/I I;10 03/I Ill0 03/I l!lO 03/11/10 03/11/10 03/11/10 01/13/10 03/1 I/I 0

{parq
Sold Sold Buy Sold Sold Sold Sold Sold Sold Sold Sold (part~ Sold

FINANCIAL DISCLOSURE REPORT Page 88 of 103

St*ndish, William L.

NONE (No reportable income, assets, or transactions.)
A. D~zcrip6on of Assets (including lP.L~t a~eL~} Place "(X)" after each e~t exempt fr~ wior di~lo~e B. Income during repotting p~iod (I) (2) A~unt ~y~ (e.g., C~ I div., r~t, (A-H) or inL) C. Gross valu~ at end of rt3x~mg ~ (1) (2) V~lu¢ Value C~ 2 (J-P) M¢~ C~e 3 (Q-W) (I) Ty~ (e.g., ~, ~ll, ~demption) D. Tran~ctio~s du~ng reporting pt~od (D (3) (4) ~te Val~ m~t~ C~e 2 (J-P) (5) Id~fi~y of ~y¢r.~lkr (if p~vate ~ra~ction)

Gain C~ I (A-H)

1429. -Visa Inc CI A | 430..WabMart Stores Inc 143 I. -Wells Fargo & Co New 1432. -Whirlpool Corp 1433. -Xto Energy Inc 1434. -lshares Tr S&P Small Cap 1435. -BNY Mellon Emerging Mkta Fd CI M 1436. -BNY Mellon Emerging Mkts Fd CI M 1437. -BNY Mellon Focused Equity Opp-M 1438. -BNY Mellon Focused Equity Opp-M 1439.-BNY Mellon int’l Fund CI M 1440. -BNY Mellon Int’l Fund CI M 1441. -BNY Mellon Large Cap Stk Fund 1442.-BNY Mellon Large Cap Stk Fund 1443. -BNY Mellon Mid Cap Slk Fund 1444.-BNY Mellon Mid Cap Stk Fund 1445. -BNY Mellon Nat’l Inter Muni Bd Fd CI-M

Sold Sold, Sold Sold Sold Sold Buy (add’l) Buy (add’l) Buy Sold Sold

03111/10 06115109 03/1 I110 03/11/10 03/I 1/10 03112110 03112110 12/22/10 03/12/10 12/22/10 03110110 12/17/10 03112110 12/22/10 03/10/10 12/09/10

See Section VIII #3

(parq
Buy (add’l) Buy Sold Sold (part) Sold

(p~)
Buy

03/I

2/101

,

I. Income Gain (tadcs:

A =~l.00Onr less

B -$1.001 - $2.500

C -$2.501 - $5.(’~0

D -$5.01"11 . II5.0110

I~ (’olm~ C2I

O -~k Va]~e

V "O~

W = EsUma~ed

FINANCIAL DISCLOSURE REPORT Page 89 of 103

Name e! Person Reporting Standish, William L. 07/I Z/2011

NONE (No reportable income, assets, or transactions~)
A. Descril~ion of As_~ts (including trust =~ts) Place "(X)" aflu each as~t cxempl from p~or di~]o~e B. Income during ~aing ~1 C~ I (A-H)

div.. rc~ ~ int.]

Gms~ value at e~d of rcpornng period O) (2) Value Value Method COd~ 2 (J-P1 (’ode 3 ~O-W~

Transactions during telmrting period

(t~ Type (e.g., troy, sell, redemption)

(2) (~1 141 Date Value Gain mnv’dd/yy Code :7 Code I (J-P) IA-Ill

~5) Identity of buyertseller (if private transaction)

1446. -BNY Mellon Nat’l Inter Muni Bd Fd CI-M 1447. -BNY Mellon Nat’l Inter Muni Bd Fd CI-M 1448. -BNY Mellon Nat’l ST Muni Bd Fund 1449. -BNY Mellon Small Cap Stk Fd CI M 1450. -BNY Mellon Small Cap Stk Fd CI M 1451. -BNY Mellon Small/Mid Cap 1452. -BNY Mellon Small/Mid Cap Fund-M 1453.-BNY Mellon Small/Mid Cap Fund-M 1454. -BNY Mellon Small/Mid Cap Fund-M 1455. *BNY Mellon Tax-Sensitive Large CapMulti Strategy Fd CI-M 1456. -BNY Mellon US Core Equity 130130 Fund 1457.-BNY Mellon US Core Equity 130130 Fund 1458. -BNY Mellon US Core Equity 130/30 Fund ’ 1459. -Trust #17 INo Beneflnterest) 1460. -BNY Mellon MM Fund CI M !461. -Dreyfus Diversified lntl 1462.-Dreyfus Select Managers Small Cap Value Fund
~one

Buy (add’l) Sold (parq Buy Buy (add’l) Sold

12/10/10 12~2/10 03112110

i 03/10/10 i 12/17/10

Buy Buy ladd’l) Sold (parq Buy Buy Sold (part)

03/10!10 12/14/10 12/22/10 12t22/10 10/07/08 03/10/10 12/17110 D I See Section VIII # I See Section VIII #3

i

Sold

Men Mkt [nv Sold

(parq
Buy

09121110 09/21/10

FINANCIAL DISCLOSURE REPORT Page 90 of 103 Vii. INVESTMENTS and TRUSTS

Neme of/’ersoa Reportln~ Standish, William L.

Date of Report 07/I 2/2011

NONE (No reportable income, assets, or transactions.)
A. Dc~cripl~n of.Assets (incl~ing t~t a~eu) Ph~ "(X)" after ~ch ~t ex~pt from prior ~lo~ B. Income during r~ing p~ (I) Am~t C~ I (A-~ 12) T)~ (e.g., div., renL or int.) C. Gross value at e~d of r~ing ~ (I) VoI~ C~e 2 (J-P) (2) Value Mcth~ C~ 3 (I) T~ (e.g., ~, ~11, ~emption) D. Transactions d~ng rc~nin8 (3) (4) Value Gain mm/d&~ C~ 2 C~e I (J-P) (A-H) (2) Date (5) Id~ti~ of ~/scller (if pfivtte

1463. -Dreyfus Select Manage, r~ Small Cap Value Fund 1464. -Hussman Strategic Growth Fd 1465. -Ilnssman Strategic Total Rot" 1466. -Hussman Strategic Total Ret 1467. -Ishares S/P GSCI Commodity-lnd 1468. -BNY Mellon Lg Cap Stock Fund CI M 1469. -BNY Mellon Lg Cap Stock Fund CI M 1470. -BNY Mellon Lg Cap Stock Fund CI M 1471. -BNY Mellon Lg Cap Stock Fund CI M 1472. -BNY Mellon Lg Cap Stock Fund CI M 1473. -BNY Mellon Lg Cap Stock Fund CI M 1474. -BNY Mellon Lg Cap Stock Fund CI M 1475.-BNY Mellon Lg Cap Stock Fund CI M 1476. -BNY Mellon Lg Cap Stock Fund CI M 1477. -BNY Mellon Mid Cap Stock Fund CI M 1478.-BNY Mellon Nat’l Inter Muni Bond Fd CI M 1479. -BNY Mellon Natl S/T Muni Bond Fd

Buy (add’l) Sold (part) Sold (paa) Buy (add’l) Sold

I 12131110 i 09,"22110 i 109/21/10 ; 11/22/10 ~ 109/23/10

(P~)
Buy (add’l) Buy (add’l) Buy (add’l) Buy (add’l) Buy (add’l)

[ 02/01/10 ! 03/01110 104101110 05,’03/10 06/01/10 07/01/10 08/02/10 09/01/10, [ 09/21/I 0 09/21 / I 0 ’ 09/21/10 09121/10

I

Buy (add’l) Buy (add’l) Buy (add’l) Sold Sold (part) Sold (part) Sold (part)

FINANCIAL DISCLOSURE REPORT Page 91 of 103 VII. INVESTMENTS and TRUSTS - i ....
A. D~s~’ription of Assets {i~l~ing l~st a~) Place "(X)" a~er ~ch ~I exempt from prior di~lo~re

I

Name of Pe~oa Reporting Standish, William L.

Dale of Report 07.’12J2011

e, mlue, transactio~s ~lnclude~ ’hoxe of sPous" and dependcnl childr~n: $ee plx 34o60 Of filing in~truc~ion~.)
C. Gross value at end of r~ing ~ (I) (2) Value Va~ C~ 2 Me~ (J-P) C~ 3 (~W) (11 " T~ (e.g., ~y, sell, ~empt~n) D. Transactions durtng reporting period (21 ~te m~ (3) 14) Value Ga~ C~ 2 C~e I (J-P) (A-H)

NONE (No reportable income, assets, or transactions.)
B. Income dunng ~ng ~i~ (I) A~t C~ I (A-t0 (2) Ty~ (e.g., ~v., rent, or int.~

I~li~ of ~/seller (if private ~ransacdon)

1480. -BNY Mellon Small Cap Stk Fd CI M 1481.-BNY Mellon Tax-Sensitive Large Cap Multi-Strategy Fund CI M 1482. -BNY Mellon Tax-Sensitive Large Cap Multi-Strategy Fund CI M 1483.-First Horizon Nat’l Corp 1484.-Juniper Networks lne 1485. Trust # 18 (No Benef Interest) 1486.-BNY Mellon MM Fund 1487. --BNY Mellon Emerging Mkts Fd CI M 1488.-BNY Mellon Int’l Fund CI M (X) 1489. -BNY Mellon Int’l Fund CI M 1490. -BNY Mellon Lge Cap Stk Fd 1491. -BNIY Mellon Mid Cap Stk Fd CI M 1492. -BNY Mellon Mid Cap Stk Fd CI M 1493. -BNY Mellon Ntl Inter Muni Bd Fd CI M 1494.-BNY Mellon Ntl Inter Muni Bd Fd CI M 1495. -BNY Mellon Nil S/T Muni Bd Fd 1496. -BNY Mellon Ntl SH" Muni Bd Fd None

Sold Buy Buy (add’l) Sold S~ld

i 09/21/10

t

09t21/10 12/22/10 See Section VIII #3 See Section VIII #3 See Section Vlll #1

Mon Mkt Inv So!d

1

10/06/10

Sold Sold

10106/10

10/06/10, Sold (part) Sold Sold (l~art) Sold 12/15/10 Sold (pat"0 Sold 10/06110’ 10/06/10

i

l2/15110

FINANCIAL DISCLOSURE REPORT Page 92 of 103

Name of Person Reporttag Standish, William L.

Date of Report 0711~2011

NONE (No reportable income, assets, or transactions.)
Descviptitm of A~sets tiacluding trust assets) Place "(X)" after each asset exempt from prior di~losure Income during reporting p~iod (I) Amount Type (e.g., Code I . div., (A-]I) or inl.) Gross value at end of r~porting period O) Value Code 2 (J-P) (2) Value Method Code 3 (Q-W~ (I) (e.g.. sell. rodemption ) Transactions during reporting r~riod (2) Date mm/dff’yy O) (4) Value Gain Code 2 Code I (J-P) (A-II)

Identity of buFf’seller (if privale tr;uLsaction)

1497. -BNY Mellon Small Cap Stk Fd CI M 1498. -BNY Mellon Small Cap Stk Fd CI M 1499. -BNY Mellon Small/Mid Cap Fund-M 1500. -BNY Mellon Small/Mid Cap Fund-M 1501. -BNY Mellon Small/Mid Cap Fund-M 1502. -BNY Mellon Tax-Sensitive Large Cap-M 1503. -BN¥ Mellon Tax-Sensitive Large Cap-M 1504.-Ishares S&P GSCI Commodity-lndexed Trust 1505.-Ishares S&P GSCI Commodity-Indexed Trust 1506. -Dreyfus Diversified Int’l-I [1507.-Dreyfus Diversified Int’l-I 1508. -Dreyfus Inflation Adjusted Secs Fd 1509.-Dreyfus Inflation Adjusted Secs Fd 1510.-Dreyfus Select Managers S/C VI-I 151 I. -Dreyfus Select Managers S/C VI-I 1512. -Rydex Managed Futures Strategy Fund 1513. -Rydex Managed Futures Strategy Fund

Sold (part) Sold Buy Buy (add’l) Sold Buy Sold Buy Sold Buy Sold Buy Sold Buy Sold Buy Sold

10/06/101
12115/10 10/06/10 12114/10 12/21/I0 10/06/10 12/15/10 11/27/09 12/17/10 10/06/10 12/I 5/I 0 10106110 ’ 12/15/10 10106/10 12/15/|0 10106110 12/15/10

See Section VIII #3

E =$15,o01 - $SO.OOU

FINANCIAL DISCLOSURE REPORT Page 93 of 103

Date of Re~t Standish, William L 07/12/2011

NONE (No reportable income, assets, or transactions.)
Transactions duxing r~porting 1ocriod

of reporting p~od ~1) Value Code 2 (J-P) (2) Value M~h~ C~ 3 Type (e.g.. buy. sell. redemption) (2) Date mm/dd/yy (3) (4‘) Value Gain Code 2 Code I (A-H) ($-Pl (51 Identily of buy~’Isellcr (if private tran~ction) See Section VIII #1 Mon Mk~ Inv Sold 10/06/10 10/06/10 10/06/10

1514. Trust #19 (No Bencf Interest) 1515. -BNY Mellon MM Fund CI M 1516. -BNY Mellon Emerging Mkts Fd CI M 1517. -BNY Mellon Int’l Fund CI M 1518. -BNY Mellon Lg Cap Stock Fund CI M I 519. -BNY Mellon Mid Cap Stock Fund CI M 1520. -BNY Mellon Nail Inter Muni Bd Fd CI M 1521. -BN¥ Mellon Nall SiT Muni Bd Fd i522. -BNY Mellon Small Cap Stock Fd CI M 1523. -BNY Mellon Small/Mid Cap Fund-M 1524. -BNY Mellon Small/Mid Cap Fund-M !525. -BNV Mellon U S Core 1526. -BN¥ Mellon Tax-Sensitive Large Cap-M 1527. -BNY Mellon Tax-Sensitive Large Cap-M 1528. -Dreyfus!Newton Int’l Equity-I 1529. -Dreyftt~Newton Int’l Equity-I 1530.-Dreyfus Select Managers S/C Value Fund Sold (part) Buy Buy (~dd’l) Closed Buy Buy (add’I) Buy Buy (add’l) Buy 10/06110 12/22/I 0 10/06/I 0 I0/06/1~ 12/14/10 10/06/10

(part}
Sold

(part)
Sold Sold (part) Buy (add’l) 12110/10

See Section VIll #8

I i
E =$15.O01 - $.’~.i~dO

FINANCIAL DISCLOSURE REPORT Page 94 of 103 VII. IN VESTMENTS and TRUSTS -

Name of Per*on Rrportlag Slandlsh, William L.

Dale of Report {}7/12/2011

NONE (No reportable income, assets, or transactions.)
B. C. Incom~ during Gross value at end of r~ao~ling I:~iod reporling po’iod (I) (2) O) (2) Value V~lu~ ^mourn TyI~ (e.g., Place "{X)" afle~ e~ch asset Code I Me~h~l exemp~ from prior disclost~e div., rent, 2 Code (A-H) Code 3 or int.} (J-P) (Q-W) A. Description of Assc~s (including ~tsl s~c~s) 1531.-Dreyfus Select Managers SIC Value 1532.-Ishar~s S&P GSCI Commodity-lnd 1533. -Advantage Global Alpha-[ 1534.-Advantage Global Alpha-I 1535.-Dell Inc 1536. -Microsoft Corp 1537. -Rydex Managed Futures Strategy Fd-Y 1538. -Strategic Global Stock Fund 1539. -Strategic Global Stock Fund 1540. -Trust #20 (No Benef Interest) 1541. -BNY Mellon MM Fund CL M 1542. -BNY Mellon Bond Fund-CI M 1543. -BNY Mellon Emerging Mkls Fd CI M 1544.-BNY Mellon Focused Equiq~ Opp-M 1545. -BNY Mellon Focused Equily Opp-M 154b. -BNY Mellon Intermediate Bond Fd 1547. -BNY Mellon Intermediate Bond Fd
~one

D. Transacduns during reporting pe~od (2) (3) (1) Type (.g., D’s~e Value buy, sell, mm/dd/yy Code 2 redemption) (J-P) (4) Gain Code I (A-H) (5} Idcmity of buye~/sell~r (ifprivale transaction)

Buy (add’l)

12/31110

Buy Buy (add’l) Closed Sold Buy Buy Buy (add’l)
N

10/07/I 0 12/22/10 See Section VIII #13 11/24/09 10/06/10 10/06/10 12/31/10 C See Section Vlll #1 See Section VIII #3

T Mon Mkt lnv Buy Buy (add’l) Buy Sold Buy (add’l) Sold (part)
12/31/10 12/31110 04/28/10 12/31/10

04/28tl0 12!31/10

I. Inc~wnc Gain (’odes: ~¢ Uoluln~ B I md ~)

A =$1,000m less F =$50,~ I - $1~.~

[3 =$1 .~1 - $2.5~ G "$ I~.~1 - $ I.~,~

C ~$2~1 - $5,~ H I "$ I.~,@l - ~,~

D =~5,~1 - $1 H2 =More ~an

FINANCIAL DISCLOSURE REPORT Page 95 of 103

N~me of Person Rei~ing Standish, William L.

D~(e or Report ~7:12r2o11

NONE (No reportable income, assets, or transactions.)
A. D~.~criplion of Assets (including ~ a~ts) Pla~ "(X)" afl~ ~¢h as~t exempt [~m ~tor dimlo~re B. Income during ~ning ~ (t) (2) T~ (e.g., A~t ~e I div., rent, (A-H) ~ ~t.) C. Gto~ valtm at trod of~po~ ~6~ (1~ (2) VaI~ V~e C~e 2 Met~ (J-P~ C~ 3 (Q-W) (I) T~ (e.g., ~, sell, r~mption) D. Tranaactinns during t~ing ~ {2) (3) (4) Date Value m~’~t~ C~e 2 (J-P) (5) Id~tity of ~er.’sell~ (if private tonsaction)

Gain C~e I (A-H)

1548.-BNY Mellon int’l Fund CI M 1549. -BNY Mellon Lg Cap Stock Fund C] M 1550. -BNY Mellon Lg Cap Stock Fund CI M 1551. -BNY Mellon Mid Cap Stock Fd CI M 1552.-BNY Mellon Muni Opport-M 1553. -BNY Mellon Natl Inter Bond Fd 1554. -BNY Mellon Natl S/T Muni Bond ibd 1555. -BNY Mellon Natl S/q" Muni Bond Fd 1556. -BNY Mellon Small Cap Stock Fd CI M 1557. -BNY Mellon Small/Mid Cap Fund-M 1558. -BNY Melton S~ US Gvt Sees Fd CI-M t~1559. -BNY Mellon Tax-Sensitive Large Cap Multi-Strategy Fund 1560. -BNY Mellon US Core Equityl30/30 Fd 1561. -BNY Mellon US Core Equityl30/30 Fd 1562. -Dreyfus Diversified Infl Fund 1563. -Dreyfus Diversified Int’l Fund 1564.-Dreyfus Inflation Adjusted Sees Fund

Sold Buy (add’l) Sold Sold (part) Buy Sold (part) Sold (part) Sold (par0 Sold Buy Buy Buy Sold (part) Sold Buy Sold (part)

04/28/10 04/28/I 0

1 zr31/10 12/31/10 12/31110 04/28/I 0 12/31/10 12/31110 12/31~10 12/31/101 12/31/10{ 04/2g/I0 12/31/10 04/28/10 12/31110 12/31/10

r
B-$].001 - $2.500

Buy

t Income Ga.n Codes;

A ~$1.01~ or I~s

C ~$2.501 -$5.~

D -15.~1 -

FINANCIAL DISCLOSURE REPORT Page 96 of 103

Name of Person Reporting [

Date of Reperl

Standish, William L. I

07/12/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including mast assetsl Place "(X)" after each asset exempt from prior disclosure B. Income during reporting period (1) (2) Amount Type (.g., Code I ! div., rent, (A-H) or int.) C. Gross value at end of reporting period (I) (2) Value Value Code 2 Method Code 3 U-P) (Q-W) D. Transactions during reporting period (1) Type {.g., buy, sell, redemption) {2) (3) (4) Date Value Gain mrrfdd/yy Code 2 Code I (J-P) (A-H) (5) Identity of buyer/seller (if private transaction)

1565.-Dreyfus Opportunistic Small Cap Fund 15~)6. -Dreyfus Select Mgrs Small Cap Grovah Fund 1567. -Dreyfus Select Mgrs Small Cap Value Fund 1568. -Apache Corp 1569. -Asg Global Alternatives Fund-Y 1570. -Citigroup Inc 157 I. -Ishares S&P GSCI Commodity-lad 1572. -Ishares S&P GSCI Com.modity-lnd 1573. -Research in Motion 1574. -Rydex Managed Futures Strategy Fd-Y 1575.-Texas InstrumentS 1576. -Wal Mart Stores Inc 1577. -Trust #21 {No Benef Interest) 1578.-BNY Mellon MM Fund CI M 1579. -BNY Mellon Income Stk Fd CI M 1580. -BNY Mellon Lg Cap Stock Fund CI M 1581.-BNY Mellon Mid Cap Stock Fund CI M
None N

Buy Buy Buy Sold Buy Sold Sold (part) Sold Sold Buy Closed Sold T Mort Mkt lay Sold

12/31/10 12!31/10 12/3 I/I 0 08/I 8/09 12/31/10 11/25/08 01/04/10 04/30/10 I 0/06f08 12/3!/10

See Section Vlll #3

See Section VIil

See Section Vlll #3

See Section VIII #8
06/15/09

See Section VIII #3 B See Section Vill #l

05/01/08

See Section VIII a3

FINANCIAL DISCLOSURE REPORT Page 97 of 103

Date of Report
Standish, William L.

07/IZ’2011

NONE (No reportable income, c~sets, or transactions.)
A. Description of Assets (includlng trust assels) Place "{XP after each ~set exempt from prior disclosure B. Income dut’~ng re-po~ing period (I) Amount Code I (A-ill (2) Type (e.g~ div., renL or inL) C Gross value at end of reporting perio~ (I I Value Code 2 (.I-P) (2) Value Methyl {.’ode 3 (Q-W) (I) Type (e g.. Ix,y, sell, r~dempfionl (2) Date mm/ddlyy {3) Valu~ Code 2 (J-PI ~41 Gain [.’ode I (A-Ill (51 ldemffy of buycr.’scller (if private trar~acUo~) D. Transactions during reporhng period

1582. -BNY Mellon Nail Inter Mtmi Bond Fd CI M 1583. -BNY Mellon Nail S/T Muni Bond Fd 1584. -BNY Mellon Small Cap Stock Fund Cl M 1585. -Dreyfus Diversified In!l- I 1586.-Hussman Strategic Growth Fund 1587.-Hussman Strategic Total Ret Fund 1588.-Ishares S&P GSCI Commodi~ Ind 1589. -Trust #22 (No Benef Interest) 1590. -Blackrock PA Muni Inst. Shares # 40 1591.-AT&T Inc 1592. -BHP Bill~ton Ltd 1593. -Barrick Gold Cotp 1594. -Burlington N Santa Fe Corp 1595. -Chevron Co~ 1596. -Chubb Corp 1597. -Diageo PLC 1598. -Emerson Electric Co Buy Buy
03/12110 10/13/10 Sold ’02/16/10 T Men Mkt Inv N

Buy (add’l)

11/22/10

See Section VIII #1

D ~$5,001 (See Column., B I and D41 2. Value (’odes b~c Column~ C! and

E - $15.BO I - $50.IX~O

I.~c t’alumn

FINANCIAL DISCLOSURE REPORT Page 98 of 103 V II. IN V ESTMENTS and TRUSTS - I .......
A. De~criplion of Assets (including trust axsets) Place "IXl" alter each asset exempt fi’om ~ior disclosure

Name of Persou Reporting Standish, William L.

Dale of R:port

07112/2011

tu,. tt .....tionl (lndudes thoat of~p ...... d d~’pendent child, e,; atep~..14-60 offding inatr~ctlon~)
C. Gross value at end or reporting period (I) (2) Value Value ~’o~ 2 Me~hod (J-P) Code 3 [Q-w) D. Transaclions during reporting pedod Ill Type (e.g.. I:my, sell, redem~ionl (2) Date mm.tdd/yy (3) Value Gain Code 2 I J-P) (A-H)

NONE (No reportable income, assets, or transactions.)
B. Income during reporting period (2) 11) Typ~ (e.g., Amount Code I div., rent, (A-H) or int.|

Identity of (if private transaction)

1599. -Hewlett Packard 1600. -Medco Illth Solutions Inc 1601. -Merck & Co 1602. -National Grid PLC 1603.-Nike Inc 1604. -Pepsico Inc 1605. -Procter & Gamble Co 1606. -JM Smucker Co/The New Corn W/I
1607. -Stericycle Inc

Sold (part)
Buy Buy

10/13/I0 10i13/10 03/12/10

Sold (part)

10/I 3/I 0

Buy Buy Buy

06/30!09 03/12/10 10113110

See Section Vlli

1608.-3M Company 1609.-Unilever NV New York Shares 1610. -Vanguard Emerging Mkts 161 I.-Trust #23 (No Benef Int©rest) 1612. -Blackrock PA MM Inst Shares # 40 1613. -AT&T 1614.-Barrick Gold Corp 1615. -Burlington N Santa Fe Corp
None 0

M Mon Mkt lnv

See Section VIII #I

Sold

02116/10

FINANCIAL DISCLOSURE REPORT Page 99 of 103

INsme
Standish, William L.
C. Gross value at end of repoaing period (I) (2) Value Code 7, O-P) Value Method Code 3 [Q-W) (I) Typs (e.g., I~y, sell, ~-dempfion) ¢Z) (3) (4) Date Value mm.’dd:yy Code 2 (J-P)

of Persola Reporting

|

Dnlle of Report

[

0711 ~2011 ]

NONE (No reportable income, assets, or transactions.)
A. Descriptkm of Assets (including to.~ ~s~s) PTac¢ "IX)" a[~er each axs¢~ exempt from pt’ior disclosure B. Income during reporting period (I) {2) Amount T)~ (e.g.. Code 1 div., rent, (A-tl) or int.) D. Transactions during reporting period (5) Identity of b~yerisellet (if private transaction)

Gain Code I {A-HI

1616.-Chevron Corp 1617. -Chubb Corp 1618.-Cincinnati Fin Group Buy 03/17/10

t

1619. -Dominion Res Inc VA 1620. -Emerson Electric Co 1621. -Freeport McMoran Copper & Gold

1622.-Hewlett-Packard Co 1623. -Intel Corp 1624,-Medco tilth Solutions Inc 1625.-Merck & Co Inc
1626. -Nik¢ lnc

Buy

03/I 7/10

Buy Buy

02/03/69 03t17/I0

See Section VIll #3

1627. -Pepsico In 1628.-Praxair Inc I 629. -Procter & Gamble Co 1630. -JM Smucker Co/The new Corn W/I
1631.-3 M Co 1632. -Cenlerville Osterville & Marslo Muni 3.250-2015

FINANCIAL DISCLOSURE REPORT Page 100 of 103

/’~,m of Person Repertinl Standish, Wl|lltm L.

Date of Report 07/12/2011

V I !. INVESTMENTS and TRUSTS
NONE (No reportable income, assets, or transactions.)
A. Description of Aa~,et~ (including ~i~.tst ar, setl) Pl~tce "(’X)" a~er ~ch asset exempt from prior disclosure B. income during ntporting period (D (2) Amount Type (e.g~ Code I ( dJv.. real, fA-H) o¢ int.) C. Gross value at end of r’~poning (~) (2) Value Valt~ Code 2 Metlriod (J-P} Code 3 (Q-W} (D Type (e.g., buy, sell, rvdemption) D. Transactions dufin8 reporting p~riod (2) (3) (4) Date Value mm/dd/yy Code 2 (J-P) (5~ Identity of buyer/seller (if rnavate ~ransaction)
I

Gain Code I (A-H)

[ 1633. -Seekonk Mass 3.625-2018 1634. -United Technologies Corp. 1635. -Trust #24 (No Benef Interest) i 1636. -Blackrock PA Muni MM last Shares # 40 1637. -AT&T

Buy None T Mort Mkt lay

03/17/10
M E See Section Vlll #1

i 1638.-Barrick Gold Corp
1639. -Burlington N Santa Fe Corp 1640. -Chevrun Corp 1641. -Chubb Corp 1642. -Conagra Foods Ine 1643. -Emerson Electric Co 1644..l-i’ewlett-Packard Co 1645.-Medco Hlth Solutions Inc 1646.-Merck & Co 1647. -Nike lnc 1648. -Pepsico 1649. -Procter & Gamble Co

Sold

02/16/10

Buy

03/09/

Buy

03/09il0

FINANCIAL DISCLOSURE REPORT Page 101 of 103
VII. INVESTMENTS and TRUSTS

Name of Person Reporting Standhh, William L.

Date of Reporl

~7.q 2/2011

NONE (No reportable income, assets, or transactions.)
A. Description of Assets (including trtts! asset~} Place "(X)" aRer each assel excmp~ from ln’ior disclosure B. Income during reporting period ~I) (21 Amount Type (e.g., Code I div., rent, (A-H) or int.} C. Gross value at end of reporting p~riod (I) (21 Value Value Code 2 Melhod Code 3 (J-P) (Q-W) D. Transactions during reponmg period (I) Type (e.g., buy. s¢|l. r~dcmpfion) [2) 131 (4) Da~e Value Gain ~m/dd,t.~7 Co~e 2 (’ode I (J-P) (A-H~I 151 Identity of buyer/se|]er (if private transaction)

1650. -JM Smucker Co/The New Corn W!l 1651.-3M Co 1652.-Vanguard Emerging Mkts 1653. 1654. 1655. 1656.

Buy

03/09q0

I Income Gain Cod¢.~: 2 Vah~c (’~¢s

A ~$1.000 or less ] =$15.~1 or less

B =$1.001 - $2,500 K -$1 ~.~1 - $50.~

C ~ $2..~01 . $5,0~) L =$~0,~1 - $1~.~

$ V~lu¢ Med~ C~

Q-,~tei~l

R -Cost (R~l

FINANCIAL DISCLOSURE REPORT Page 102 of 103

Name of Person Reporting Standish, William L.

I~te of Reporl 07/12!2011

VIII. ADDITIONAL INFORMATION OR EXPLANATIONS. a~d~o~ttp,,o.~,,po,~J
(I) Information iin the transactionl omitted from Column (D)3 in accordance with the Committee’s letters of Febrnary I, 1990 and November 5, 2003. ~2) On 1/27i2003 Phillip Morris Cos. Inc. name was changed to AlU’ia. Subsequently. on 3t31/2008, Phillip Morris International was received from a spin-offof AItria. (3) The buy/sale date of this stock was inadvertently missed on prior reports. (4) The mamriqt date of this bond was inadvertently missed on prior reports. (5) This stock was marked sold on 12/22/2006 in the 2006 Financial Statement. It was then inadwrtently marked as a buy on 2/12/2007. (6) This st~k was inadvertently marked as a partial sale when it was a full sale. [7) The name change pertaining to this stock was inadvertently missed. (8) This stock was listed on the 2008 Financial Statement as a buy. This stock was not purchased in this Trust. (9) The 2007 Financial Statement correctly shows the merger of Phelps Dodge with Freeport McMoran Copper & Gold lnc. on 3/13/07. The Freeport McMoran stock was subsequently sold on 12./01/08. The Phelps Dodge stock should have been removed from the Financial Statement at the time of the merger with Freeport McMoran. (10) This stock was inadvertently marked as a fuli sale on the 2009 Financial Statement when it was a partial sale. (I I ) This stock was spelled incorrectly when it was marked on the 2008 Financial Statement as, purchase. This is actually Nokia. Nokia was sub.~-’quently sold on 7/21 ~9 and this Nokal Corp stock should just be removed from the Financial Statement. (i2) Inadvertently, on the 2008 Financial Statement China Mobile Hong Kong Lid was marked as a full sale on 8/15/08 when it was a partial sale. Also, there was a name change on 5/1/2006 from China Mobile Hong Kong Lid to China Mobile Ltd that was missed. (13) This was marked as a full sale on the 2008 Financial Statement and should have been removed from the 2009 Financial Statement.

FINANCIAL Page 103 of 103

;LOSURE REPORT

Name of Person Rel~rtlng Standish, William L.

Dace of Repor~ 07/I 2/2011

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

si

NOTE: ANY INDIVIDUAL WHO KNOWINGLY AND WILFULLY FALSIFIES OR FAILS TO FILE THIS REPORT MAY BE SUBJECT TO CIVIL AND CRIMINAL SANCTIONS (5 U.S.C. app. § 104)

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