EFTA01492029
EFTA01492030 DataSet-10
EFTA01492031

EFTA01492030.pdf

DataSet-10 1 page 229 words document
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FINANCIAL TRUST COMPANY INC ACCT. For the Period 2/I/I I to 228/I1 Portfolio Activity Detail - U S Dollar INFLOWS & OUTFLOWS Type Quantity Per Unit Settle Date Selection Method Description Amount Amount 2/1 Interest Income DEPOSIT SWEEP INTEREST FOR JAN. .03% RATE ON 105.13 NET AVG COLLECTED BALANCE OF $4,125,897.31 AS OF 02/01111 2/7 Misc Disbursement LONG TOTAL RETURN SWAP 4,775,970.00 USD (8,982.34) NOTIONAL GOLDMAN SACHS GRP INC MAT APR 29 2011 DEAL 5508960 SWAP RESET PAYMENT AS OF 02/04/11 (ID: SWPBDE-TJ4) 2/10 Corporate Interest CIT GROUP INC 7% MAY 01 2016 DM 11/04/2009 5,000,000.000 0.018 87,500.00 (ID: 125581-FW4) 2/17 Misc Disbursement LONG TOTAL RETURN SWAP 3,008,270.00 USD (6,147.15) NOTIONAL BP MAT NOV 16 2011 DEAL 5958346 SWAP RESET PAYMENT AS OF 02/18/11 (ID: SWPBDG-UX-5) 2/18 FX Fwd Contract SETTLE FORWARD CURRENCY CONTRACT BUY INR SELL 457,000,000.000 (9987,979.45) USD CONTRACT RATE : 45.755000000 TRADE 11/15/10 10,109,501.16 VALUE 2/18/11 (ID: OINRPR-AA-8) 2/18 Spot FX SPOT CURRENCY TRANSACTION - SELL BUY USD SELL (457,000,000.000) 10,055,005.50 INR EXCHANGE RATE 45.450000000 DEAL 02/15/11 (10.109.501.16) VALUE 02/18/11 (ID: OINRPR-AA-8) 2/28 Interest Income TO ADJUST INTEREST PREVIOUSLY PAID ON CASH (10.71) BALANCES BASED ON THE FOLLOWING TRANSACTION ACTIVITY ORIGINAL ADJUSTED TRANSACTION TRAN DATE VALUE DATE AMOUNT - 2/07/11 1119/11 1,002,565.SOD AS OF 02/01/11 J.P. Morgan Account Page 22 of 29 Page 26 of 42 Confidential Treatment Requested by JPMorgan JPM-SDNY-00014483 Chase CONFIDENTIAL SDNY_GM_00283681 EFTA01492030
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6c33648abfedca3ec93d8cbebcef9240f7d27f96f22227a12800a09e7bfadcac
Bates Number
EFTA01492030
Dataset
DataSet-10
Document Type
document
Pages
1

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