📄 Extracted Text (159 words)
FINANCIAL TRUST COMPANY INC ACCT.
For the Period 8/1/12 to 8/31/12
Per Unit Market
Trade Date Amount USD Cost USD Currency
Settle Date Type Description Quantity Local Value Local Value Gain/Loss USD
Settled Securities Purchased
8/8 Sale JPY CALL CAD PUT FX EUROPEAN STYLE OPTION AUG (0.010)
8/10 13, 2012 0 76. la @ 71 REPURCHASE OF WRITTEN FX
OPTION (ID: OCADPR-M-6)
8/8 Purchase Option JPY PUT CAD CALL FX EUROPEAN STYLE OPTION OCT 809,000,000.000 (347.756.17)
8/10 08, 2013 080.9 PURCHASED FX OPTION PUT 3.46 (346.000.00)
809,000,000.00 JPY CALL 10,000,000.00 CAD
(ID: XJPYPB-AZ-Z)
8/8 Wdte Option JPY CALL CAD PUT FX EUROPEAN STYLE OPTION OCT (769,000,000.000) 347,756.17
8/10 08, 2013 0 76.9 AT EXP 11 0 69.65 WRITTEN FX 3.46 348,000.00
OPTION CALL 769,000,000,00 JPY PUT
10,000,000.00 CAD (ID: XJPYCA-SJ-Z)
Total Settled Securities Purchased (USD) $0.00 $0.00
JP Morgan Account Page 33 of 36 Consolidated Statement Page 36
Confidential Treatment Requested by JPMorgan JPM-SDNY-000 16240
Chase
CONFIDENTIAL SDNY_GM_00285438
EFTA01493388
ℹ️ Document Details
SHA-256
1f670f916ea854555dffbc2d0ff530f25a50aa912abc590c95ce73a9ee6cb099
Bates Number
EFTA01493388
Dataset
DataSet-10
Document Type
document
Pages
1