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MuniYield New Jersey Insured Fund, Inc.
File No. 811-7138
Item No. 77Q2
Compliance with Section 16(a) of the
Securities Exchange Act of 1934
During the fiscal year the following Directors and/or Officers of the Registrant or Adviser to the Registrant were subject to Section 16 of the Securities Exchange Act of 1934 with respect to the Registrant, and failed to file Forms 3 or 4 on a timely basis:
A Form 3 should have been filed on behalf of Mr. Stephen B. Swensrud, Director to the Registrant, by March 11, 2000; however a late filing was made on April 11, 2000.
A Form 4 should have been filed on behalf of Mr. Michael G. Clark, Senior Vice President to the Investment Advisor, by March 10, 2000; however a late filing was made on July 6, 2000.
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