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📄 Extracted Text (154 words)
INV REP liT TAXPAYER ID. STATEMENT PERIOD PAGE
Statement of Account 20ST UNDISCLOSED 06/01/07 TO 06/30/07 5 OF 10
e`e ALL AMOUNTS IN BRITISH POUND STERLING ***
TRADING ACTIVITY FOR THE MONTH
TYPE DATE TRANSACTION QUANTITY DESCRIPTION PRICE DEBIT CREDIT
01 06/08 JOURNAL JNL MARGIN A/C TO FRN-XCG A/C 188.91
01 06/08 JOURNAL F/X 188.91
OFFSHORE ARRANGING FLIP
TO 736FY0 FROM 746FY0
F 06/08 JOURNAL JNL MARGIN A/C TO FRN-XCG A/C 188.91
F 06/08 SOLD FOREIGN EXCHANGE N/A 188.91
YOU SOLD 186.91 GBP
YOU BGHT 376.31 USD
@ 1.99200677 (USD/GBP)
INCOME ACTIVITY FOR THE MONTH
TYPE DATE TRANSACTION DESCRIPTION DEBIT CREDIT
01 06/01/07 INTEREST FUNDS DEPOSITED HAVE EARNED 0.31
CREDIT INT @ AVG RATE 5.301
FOR 31 DAYS
FROM 05/01 TO 05/31
CLOSE BAL 61.62 CR
AVG BAL 61.62 CR
CREDIT SUISSE SECURITIES (USA) LLC TEL:
CREDIT SUISSE1bk ELEVEN MADISON AVENUE
NEW YORK, NY 10010.3629
FAX
Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00061454
EFTA01581977
ℹ️ Document Details
SHA-256
15d94713961553f1fcb3fca1c2c8a606ff72489a0346dd7cfbf2d7c8b205909c
Bates Number
EFTA01581977
Dataset
DataSet-10
Type
document
Pages
1
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