EFTA01447478
EFTA01447479 DataSet-10
EFTA01447480

EFTA01447479.pdf

DataSet-10 1 page 186 words document
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BuySell Client Buys Currencyl EUR CP Put Notionall 10,000,000 Currency2 USD Notional2 -13,450,000 Strike 1.345 ZoneCut NY: 10:00 hours (Local time in New York) ExpiryDate Mon 08 September 2014 SettlementDate Wed 10 September 2014 FixingReference SPOT TradeType FxEuroOpt BuySell Client Sells Currencyl EUR CP Call Notionall -10,000,000 Currency2 USD Notional2 13,800,000 Strike 1.38 ZoneCut NY: 10:00 hours (Local time in New York) ExpiryDate Mon 08 September 2014 SettlementDate Wed 10 September 2014 FixingReference SPOT Thank you, Vahe Vahe Stepanian Associate I Wealth Investment Coverage Deutsche Bank Securities Inc Deutsche Asset & Wealth Management 345 Park Avenue - 26th Floor New Y Tel. Fa All trade execution information contained herein is being provided as an accommodation at your request in advance of your receipt of the official trade confirmation(s). Additional trade detail information available upon request. The terms of the trado(s) may be subject to change prior to settlement, and therefore the official trade confirmations) and account statements issued by Deutsche Bank shall govern Deutsche Bank is not responsible for any discrepancy between CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0 102124 CONFIDENTIAL SDNY_GM_00248308 EFTA01447479
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1a2f2f56f80d8761d778ff53026cfd26f00e1fd78fa7c6ef31514a074b384366
Bates Number
EFTA01447479
Dataset
DataSet-10
Document Type
document
Pages
1

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