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📄 Extracted Text (232 words)
Statement of Account INV REP
20ST
ACCOUNT TAXPAYER ID.
UNDISCLOSED
STATEMENT PERIOD
05/01/06 TO 05/31/06
PAGE
8 OF 28
*" ALL AMOUNTS IN EURO ."
TRADING ACTIVITY FOR THE MONTH
TYPE DATE TRANSACTION QUANTITY DESCRIPTION PRICE DEBIT CREDIT
01 05/18 JOURNAL -200,000 KEW 0.5 02/03/10 235,168.49
00.5000 02/03/2010
TO FROM
03 05/18 NNW/MARKET MARK TO MARKET 29,483.22
03 05/18 JOURNAL 7,949 DEUTSCHE POST AG 177,739.64
OFFSHORE ARRANGING FLIP
TO FROM
03 05/18 JOURNAL -7,949 DEUTSCHE POST AG 177,739.64
OFFSHORE ARRANGING FLIP
TO FROM
01 05/19 NNW/MARKET NARK TO MARKET 10,488.34
03 05/19 MRKD/MARKET HARK TO MARKET 10,488.34
01 05/22 NNW/MARKET MARK TO MARKET 132,567.52
01 05/22 JOURNAL 7,741 DEUTSCHE POST AG 163,257.69
OFFSHORE ARRANGING FLIP
TO FROM
01 05/22 JOURNAL 7,840 DEUTSCHE POST AG 165,345.60
OFFSHORE ARRANGING FLIP
TO FROM
03 05/22 NNW/MARKET MARK TO MARKET 132,567.52
01 05/23 MRKD/MARKET NARK TO MARKET 149,507.61
01 05/23 JOURNAL -8,255 DEUTSCHE POST AG 186,480.45
OFFSHORE ARRANGING FLIP
TO FROM
01 05/23 JOURNAL -8,255 DEUTSCHE POST AG 193,167.00
OFFSHORE ARRANGING FLIP
TO FROM
01 05/23 JOURNAL -5,500 DEUTSCHE POST AG 118,317.10
OFFSHORE ARRANGING FLIP
TO FROM
01 05/23 JOURNAL -7,741 DEUTSCHE POST AG 163,257.69
OFFSHORE ARRANGING FLIP
TO FROM
01 05/23 JOURNAL -7,840 DEUTSCHE POST AG 165,345.60
OFFSHORE ARRANGING FL:P
TO FROM
CREDIT SUISSE SECURITIES(USA) LLC TEL:
ELEVEN MADISON AVENUE FAX:
CREDIT SUISSE NEW YORK, NY 1C010-3629
Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00062067
EFTA01582525
ℹ️ Document Details
SHA-256
3ce6e1ec1afa1ff79045c429d21b426e412b6900d1ba770029f8ab04c4e83e69
Bates Number
EFTA01582525
Dataset
DataSet-10
Type
document
Pages
1
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