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EFTA01557200 DataSet-10
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10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Confidential Page 1 of 14 Asset Account Portfolio October 1 - October 31, 2000 Gift Processing The holiday season will soon be here. If you plan to make securities gifts this year, please notify us before December 1, 2000. This will provide us with sufficient time to process your request and meet the year-end deadline. We are pleased to announce that registered shareholders will be able to receive many of their annual reports and proxy materials over the Internet. You can take advantage of this opportunity to receive your meeting materials electronically with your next proxy voting card by going to the web site http://www.proxyvote.com. Use the control number on your proxy voting card to place your vote and follow the instructions for signing up to receive all your future proxy materials electronically. Once you've signed up, instructions for accessing the materials will be sent to you, via e-mail, following each record date. Also please note that: * This service is available only to registered shareholders * Your consent is entirely revocable * You can still vote your proxy on the Internet whether or not you elect to receive your materials electronically * To receive materials electronically, your consent must be received by the record dates of the annual meetings * Proxy voting by telephone will still be an available option FINANCIAL TRUST COMPANY, INC. C/O AMERICAN YACHT HARBOR 6100 RED HOOK, QUARTERS #2 ST THOMAS 00802 US VIRGIN ISLDS Account Officers Service Specialist: DENCKER/RILEY Table of Contents Portfolio Summary Cash and Short Term Private Investments Trade Activity Account Transactions Page 2 3 4 6 8 EFTA01557200 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 2 of 14 Overview Portfolio Summary Market Value USD Oct 31 Cash & Short Term Total Accrued Income Total Portfolio Value Private Investments * Asset Allocation 97% Cash and Short Term 3% Private Investments* 17,887,325.35 17,887,325.35 133,858.87 18,021,184.22 599,574.00 Income Summary Dividends Total Market Value USD Sep 30 29,918,151.64 29,918,151.64 79,499.80 29,997,651.44 288,477.00 This Period USD 79,499.80 79,499.80 Year to Date USD* 186,518.13 186,518.13 Tax Cost USD 17,887,325.35 17,887,325.35 Estimated Annual Income USD 1,162,676.14 1,162,676.14 Yield 6.5 6.5 *Value is an estimated figure given the illiquid nature of Private Investments (see Private Investment information at end of section summary). EFTA01557201 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 3 of 14 Cash and Short Term Summary by Maturity Current Market Value USD Cash Less Than 3 Months Total 0.00 17,887,325.35 17,887,325.35 1,162,676.14 1,162,676.14 Current yield is displayed for instruments with no maturity and YTM on market is displayed for instruments that mature. Estimated Annual Income USD Cash and Short Term by Type Description Unit Cost Adjusted Cusip/S&P/Moody's Rating Currency Quantity Original Market Price Tax Cost Adjusted Original Current Market Value USD Accrued Interest USD Unrealized Gain/Loss USD Estimated Current Annual Yield/ Income USD YTM Cash PRIME MONEY MARKET SWEEP FUND (SWEEP DEADLINE IS 4:30 PM EST) Short Term by Maturity J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) 7-Day Annualized Yield: 6.51% 616918-20-7 Total Cash and Short Term 17,887,325.35 17,887,325.35 133,858.87 0.00 1,162,676.14 6.50 USD 17,887,325.35 1.00 EFTA01557202 1.00 17,887,325.35 17,887,325.35 133,567.31 1,162,676.14 6.50 USD 0 1.00 1.00 0.00 291.56 N/A 6.27 EFTA01557203 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 4 of 14 Private Private Investments Summary Investments * LPs, LLCs, and Other Total Estimated Current Value USD 599,574.00 599,574.00 Private Investment Holdings in Alphabetical Order Units/ Commitment USD Description LPs,LLCs, and Other NESTOR 2000 SPECIAL LLC (COMMITMENT EXPRESSED IN EUROS) 469994-90-9 * The 'Capital Called Since Inception USD' and 'Cash/Security Distributions Sinc e Inception USD' columns are updated monthly to reflect any interim capital call s and distributions. The 'Estimated Value USD' column reflects information recei ved by MGT from the general partner or manager which, in most cases, is quarterly, plus any interim capital calls and less any distributions made to date since the last va luation received from such source by MGT. Generally, distributions of securities in kind are valued at the fair market val ue of the securities on the date of the distribution * See: Important Information About Private Investment Valuations Important Information About Private Investment Valuations Direct equity investments and limited partnership and limited liability company units are generally illiquid securities, and prices are not guaranteed for accur acy or as realizable values. Direct equity investments are valued at cost, unless there is an active secondar y trading market in the securities, in which case, direct equity investments are valued using market prices as of the close of the last business day for this statement period. Limited partnership and limited liability company units a re valued at cost only if "valued at cost" is stated within the security descrip tion. Otherwise, all such units are valued according to the general partner's or manager's stated methodology. These methodologies generally include an appraisal of the un derlying assets at the lower of cost or a written-down amount, at a value at whi ch third party financing has occurred, at a market price if an active secondary market develops, or at a value endorsed by an independent party. Please refer to the li mited partnership or limited liability company documentation for each security f or the specific valuation methodology used by the general partner or manager for that security. MGT expressly disclaims any responsibility for (1) the accuracy of the informati on and the methodology used by the issuer, general partner or manager used in de riving the valuations, (2) any errors or omissions in compiling or disseminating the valuations, and (3) any use to which the valuations are put. Valuations are prov ided for information purposes only and are intended solely for your own use. This statement does not provide tax reporting on the limited partnership and lim ited liability units. Please continue to rely upon the general partner or genera EFTA01557204 1 manager of the entity for this information. USD 3,000,000.00 669,148.00 0.00 599,574.00 Currency Net of Origination Fee Capital Called Since Inception USD Cash/Security Distributions Since Inception USD Estimated Value USD EFTA01557205 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: § FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 5 of 14 Important Information about Pricing and Valuations Prices, some of which are provided by pricing services or other sources which we deem reliable, are not guaranteed for accuracy or as realizable values. EFTA01557206 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: § FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 6 of 14 Trade Activity Realized Gain/Loss Summary Short Term Gain/Loss Long Term Gain/Loss Note: indicates Short Term Realized Gain/Loss indicates Long Term Realized Gain/Loss S L Trade Activity by Type Settlement Date Trade Date Settled Sep 29 Oct 2 Purchase Oct 2 Oct 2 Sale Oct 16 Oct 16 Sale Oct 17 Oct 17 Sale Oct 19 Oct 19 Sale J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) USD USD USD USD USD 68,803.22 - 500,000 - 8,000,000 - 299,311.11 - 1,000,000 1.00 1.00 1.00 1.00 1.00 - 68,803.22 500,000.00 8,000,000.00 299,311.11 1,000,000.00 EFTA01557207 - 500,000.00 - 8,000,000.00 - 299,311.11 - 1,000,000.00 Type Amount USD 0.00 0.00 Realized Description Currency Quantity Price/Unit Market Cost/Proceeds Tax Cost Gain/Loss USD EFTA01557208 10 Trade Date 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: • FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 7 of 14 Trade Activity by Type Settlement Date Type Settled continued Oct 26 Oct 26 Sale Oct 31 Oct 31 Sale continued Realized Description Currency Quantity Price/Unit Market Cost/Proceeds Tax Cost Gain/Loss USD J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) Trade Date Settlement Date Counter Currency Settled Foreign Exchange Contracts TRADE RELATED EURO CURRENCY - U S DOLLAR Oct 11 00 Oct 13 00 EUR 449,994.00 USD - 393,655.09 1.143118 1.143118 - 393,655.09 393,655.09 Amount Currency Counter Amount USD USD - 2,000,004 1.00 - 100,000 1.00 2,000,004.00 100,000.00 - 2,000,004.00 - 100,000.00 Contract Rate EFTA01557209 Revaluation Rate Base Amount USD Amount USD Gain/Loss USD Contracted/ Revalued Realized EFTA01557210 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 8 of 14 Account Transactions by Currency Euro Currency Activity Summary Amount this Period Beginning Balance Credits Debits Foreign Exchange Miscellaneous Disbursements Ending Balance Euro Currency Activity by Date Settlement Date Oct 12 Type Misc. Disbursement Quantity Description ENTRY REVERSED ON 10/13/2000 REP: CAPITAL CALL ON NESTOR 2000 SPECIAL LLC EURO PRINCIPAL CURRENCY Oct 13 Misc. Disbursement TO REVERSE ENTRY OF 10/12/2000 EURO PRINCIPAL CURRENCY REP: CAPITAL CALL ON NESTOR 2000 SPECIAL LLC AS OF 10/12/00 449,994.00 393,655.09 .00 449,994.00 - 449,994.00 .00 817,494.00 - 817,494.00 Amount to Date Realized Amount Gain/Loss USD - 449,994.00 - 393,655.09 Amount USD EFTA01557211 10 Date Oct 16 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: • FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 9 of 14 Euro Currency Activity by Date Settlement continued Realized Type Spot FX Quantity Description - 393,655.09 SPOT CURRENCY TRANSACTION - BUY BUY EUR SELL USD SPOT RATE : 0.874800000 TRADE 10/11/00 VALUE 10/13/00 EURO PRINCIPAL CURRENCY U S DOLLAR AS OF 10/13/00 Oct 16 Misc. Disbursement REP: CAPITAL CALL ON NESTOR 2000 SPECIAL LLC EURO PRINCIPAL CURRENCY AS OF 10/13/00 Gain/Loss USD 449,994.00 393,655.09 Amount Amount USD - 449,994.00 - 393,655.09 EFTA01557212 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 10 of 14 Account Transactions by Currency U S Dollar Activity Summary Beginning Balance Credits Dividends Sweep Account Sales Sales, Maturities, Redemptions Miscellaneous Receipts Debits Sweep Account Purchases Purchases of Securities Miscellaneous Disbursements Foreign Exchange Ending Balance - 10,696.58 - 68,803.22 - 11,716,671.00 - 393,655.09 .00 *Year to date information is calculated on a calendar year basis. — 7,542,947.15 - 39,869,136.98 - 25,101,254.00 - 727,161.34 79,499.80 211,010.98 11,899,315.11 186,518.13 7,542,947.15 22,985,468.19 42,525,566.00 continued Amount this Period USD Amount Year to Date USD* .00 U S Dollar Activity by Date Type Settlement Date Oct 2 Dividend Quantity Description PRIME MONEY MARKET SWEEP FUND (SWEEP DEADLINE IS 4:30 PM EST) Amount USD 10,696.58 EFTA01557213 10 Settlement Date Oct 2 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: I FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 11 of 14 U S Dollar Activity by Date Type continued Quantity Description Sale - 500,000 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/02/00 Oct 2 Oct 2 Dividend Purchase 68,803.22 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) INCOME DIVIDEND REINVESTED @ $1.00 J.P.MORGAN SECURITIES INC AS AGENT TRADE DATE 09/29/00 Oct 2 Oct 2 Purchase Misc. Disbursement 10,696.58 PRIME MONEY MARKET SWEEP FUND (SWEEP DEADLINE IS 4:30 PM EST) TRANSFERRED BY WIRE TO CITIBANK NA FAO LIMITED SERVICE CORP LETTER FROM CLIENT Oct 6 Oct 6 Sale Misc. Disbursement - 116,667 PRIME MONEY MARKET SWEEP FUND (SWEEP DEADLINE IS 4:30 PM EST) TRANSFERRED BY WIRE TO CHASE MANHATTAN BANK N.A. FAO AP TECHNOLOGY PARTNERS LLC LETTER FROM CLIENT 116,667.00 - 116,667.00 EFTA01557214 - 10,696.58 - 500,000.00 68,803.22 - 68,803.22 Amount USD 500,000.00 EFTA01557215 10 Settlement Date Oct 13 Oct 16 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: I FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 12 of 14 U S Dollar Activity by Date Type continued Quantity Description Sale Spot FX - 94,343.98 449,994 PRIME MONEY MARKET SWEEP FUND (SWEEP DEADLINE IS 4:30 PM EST) SPOT CURRENCY TRANSACTION - BUY BUY EUR SELL USD SPOT RATE : 0.874800000 TRADE 10/11/00 VALUE 10/13/00 EURO PRINCIPAL CURRENCY U S DOLLAR AS OF 10/13/00 Oct 16 Sale - 8,000,000 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/16/00 Oct 16 Misc. Disbursement TRANSFERRED BY WIRE TO FIRST UNION NATL BK FAO CAPITAL MARKETS LETTER FROM CLIENT Oct 17 Sale - 299,311.11 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/17/00 Oct 19 Sale - 1,000,000 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/19/00 EFTA01557216 1,000,000.00 - 8,000,000.00 Amount USD 94,343.98 - 393,655.09 8,000,000.00 299,311.11 EFTA01557217 10 Settlement Date Oct 19 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: I FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 13 of 14 U S Dollar Activity by Date Type continued Quantity Description Misc. Disbursement TRANSFERRED BY WIRE TO FIRST UNION NATL BK FAO CAPITAL MARKETS LETTER FROM CLIENT Oct 25 Misc. Disbursement TRANSFERRED BY WIRE TO BANKERS TRUST COMPANY FAO GRAUBARD MOLLEN & MILLER LETTER FROM CLIENT Oct 26 Sale - 2,000,004 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/26/00 Oct 31 Sale - 100,000 J P MORGAN INSTITUTIONAL PRIME MONEY MARKET FUND (FUND 390) J.P.MORGAN SECURITIES INC AS AGENT @ 1.00 TRADE DATE 10/31/00 Oct 31 Misc. Disbursement TRANSFERRED BY WIRE TO CITIBANK, N.A. FAO FINANCIAL TRUST COMPANY, INC LETTER FROM CLIENT - 100,000.00 100,000.00 Amount USD - 1,000,000.00 - 2,000,004.00 2,000,004.00 EFTA01557218 10 2000 Morgan Guaranty Trust Company of New York 345 Park Avenue, New York, NY 10154-1002 Account Number: § FINANCIAL TRUST COMPANY, INC. Asset Account Portfolio October 01, 2000 - October 31, 2000 Page 14 of 14 In Case of Errors or Questions About Your Electronic Transfers. Telephone us at 1 (800) 576-6221 or write us at 500 Stanton Christiana Road, 1/O PS, Newark, DE 19713-2107 as soon as you can, if you think your statement is wro ng or if you need more information about a transfer on the statement. We must hear from you no later than 60 days after we sent you the FIRST statemen t on which the error or problem appeared. (1) Tell us your name and account numb er. (2) Describe the error or the transfer you are unsure about, and explain as clearly as you can why you believe it is in error or why you need mor e information. (3) tell us the dollar amount of the suspected error.If you conta ct us orally, you must send us your complaint or question in writing within 10 business days in order to preserve your rights. We will investigate yo ur complaint and will correct any error promptly. If we take more than 10 busine ss days to do this (20 days for purchases using VISA Check Card or for international transactions), we will credit your account for the amount you thin k is in error, so that you will have the use of money during the time it takes u s to complete our investigation. In case of errors or questions about your statement, including your line of cred it. If you think that your statement is incorrect or if you need more information ab out a transaction on your statement including a line of credit transaction, you must write to us on a separate sheet describing the error and send it to: J.P. M organ, Private Client Services, 345 Park Avenue, New York, NY 10154-1002. We must hear from you no later than 60 days after the statement on which the error or problem appeared is sent. You can telephone us at 1-800-576-6221 but doing so will not preserve your rights. In your letter, please provide the following information: (1) your name and acco unt number; (2) the dollar amount of the suspected error; and (3) a description of the error and explanation, if you can, why you believe there is an error. If you need more information, you must describe the item you are unsure about. The J.P. Morgan Funds or The J.P. Morgan Institutional Funds or The American Cen tury Funds The J.P. Morgan, J.P.Morgan Institutional, and American Century mutual funds are distributed by Funds Distributor, Inc. J.P. Morgan InvestmentManagement Inc. an d American Century InvestmentManagementserve as investment advisors to their res pectivefund families. Shares of the funds are not bankdeposits and are not guaranteedby anybank, gover nmententity, or the FDIC. Return and share price will fluctuate and redemption v aluemaybe more or less than originalcost. While the moneymarketfunds seekto main tain a stable net asset valueof$1.00 pershare, there is no assurancethat they will continue to do so. Th e estimatedannualincome and dividendyieldfigures for mutual funds representthe f unds' most recentincome dividendannualized. If you have chosen one of the sweep mutual funds, you are notified that position s in the Prime Money Market Sweep Fund represent holdings in the J.P. Morgan Pri me Money Market Fund; positions in the Federal Money Market Sweep Fund represent holdings in the J.P. Morgan Federal Money Market Fund; and positions i n the Tax Exempt Money Market Sweep Fund represent holdings in the J.P. Morgan T ax Exempt Money Market Fund. EFTA01557219
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EFTA01557200
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