EFTA01510330
EFTA01510331 DataSet-10
EFTA01510332

EFTA01510331.pdf

DataSet-10 1 page 133 words document
V15 D6 V11 P21
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FINANCIAL TRUST COMPANY INC ACCT For the Period 11/1/11 to 11/30/II Portfolio Activity Detail INFLOWS & OUTFLOWS Type Quantity Per Unit Settle Date Selection Method Description Cost Amount Amount 11/1 Div Domest JPM PRIME MM FD INSTL FOR OCT Q VARIOUS RATES 50.103 950 2.72 FROM 0.0001479% T00.0002064% (ID: 4812A2-60-3) 11/1 Interest Income DEPOSIT SWEEP INTEREST FOR OCT. Q .03% RATE ON 1.32 NET AVG COLLECTED BALANCE OF $51,770.94 AS OF 11/01/11 Total Inflows & Outflows $4.04 TRADE ACTIVITY Trade Date Per Unit Settle Date Type Description Quantity Amount Market Cost Settled Securities Purchased 11/1 Purchase JPM PRIME PAM FO - INSTL REINVESTED fa 1.00 PER 2.720 1.00 (214 1111 SHARE (ID: 4812A2-60-3) J.P.Morgan Account Page 8 of 8 Consolidated Statement Page 11 Confidential Treatment Requested by JPMorgan JPM-SDNY-00035996 Chase CONFIDENTIAL SDNY_GM_00305194 EFTA01510331
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SHA-256
064e83e7e98063a416990f4184b5afe81b8c483791e0256658d6a77487c89af7
Bates Number
EFTA01510331
Dataset
DataSet-10
Document Type
document
Pages
1

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