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📄 Extracted Text (766 words)
Subject: RE: Trade Report 7/2/2015 [I]
From: Vahe Stepanian < M>
Date: Mon, 06 Jul 2015 17:45:59 -0400
To: Paul Morris <
Daniel Sabba
Cc: Ariane Dwyer
Stewart Oldfield
Classification: For internal use only
Sounds good, please give us a call at your convenience.
From: Paul Morris
Sent: Monday, July 06, 2015 4:57 PM
To: Vahe Stepanian; Daniel Sabba
Cc: Ariane Dwyer; Stewart Oldfield
Subject: RE: Trade Report 7/2/2015 [I]
Classification: For internal use only
Hi just spoke with Ari, know you're working on the CSA with credit great ,
let's chat tomorrow so we can be ahead of je calling, thx
Paul Morris
Managing Director
Deutsche Bank Private Bank
Office:
Cell:
From: Vahe Stepanian
Sent: Thursday, July 02, 2015 3:46 PM
To: Richard Kahn
Cc: Paul Morris; Stewart Oldfield; Daniel Sabba; Ariane Dwyer
Subject: FW: Trade Report 7/2/2015 [SC]
EFTA01404310
Classification: Strictly Confidential
Rich — as per terms of the Credit Support Annex (CSA) between Deutsche Bank
and Southern Financial, the IA for the transactions listed below is 7% of
the delta of the short call options. Between both transactions, this adds up
to be $1,748,250. Calculations are as follows:
fcid:[email protected]
$1,748,250 will be transferred into SFLLC's collateral account this
afternoon.
Have a great weekend.
Thank you,
Vahe
From: Vahe Stepanian
Sent: Thursday, July 02, 2015 11:42 AM
To: 'jeffrey E.'
Cc: Daniel Sabba; Ariane Dwyer; Paul Morris; Stewart Oldfield; Richard Kahn
Subject: Trade Report #2 - 7/2/2015 [C]
Classification: Confidential
Jeffrey — today you executed the following per your conversation with Daniel:
Product European Option
EFTA01404311
Client PRIVATE CLIENT SERVICES PWM ALEX
BROWN AC SOUTHERN FINANCIAL LLC
BuySell Client Buys
Currencyl EUR
CP Put
Notionall 25,000,000
Currency2 USD
Notional2 -26,250,000
Strike 1.05
ZoneCut NY: 10:00 hours (Local time in New
York)
ExpiryDate Mon 04 January 2016
SettlementDate Wed 06 January 2016
FixingReference SPOT
Premium 387,500
PremiumTerms USD
PremiumDate Mon 06 July 2015
DatabaselD 1072923265
DF Mid 12.35
Product European Option
Client PRIVATE CLIENT SERVICES PWM ALEX
BROWN AC SOUTHERN FINANCIAL LLC
BuySell Client Sells
Currencyl EUR
CP Call
Notionall -25,000,000
EFTA01404312
Currency2 USD
Notional2 28,912,500
Strike 1.1565
ZoneCut NY: 10:00 hours (Local time in New
York)
ExpiryDate Mon 04 January 2016
SettlementDate Wed 06 January 2016
FixingReference SPOT
Premium 387,500
PremiumTerms USD
PremiumDate Mon 06 July 2015
DatabaselD 1072923266
DF Mid 10.225
Thank you,
Vahe
Vahe Stepanian
Assistant Vice President I Key Client Partners
Deutsche Bank Securities Inc.
Tel.
Mobil
Email
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 trade(s) may be subject to change prior to
settlement, and therefore the official trade confirmation(s) and account
statements issued by Deutsche Bank shall govern. Deutsche Bank is not
responsible for any discrepancy between the informal execution report and
the official trade confirmation(s) or account statements.
EFTA01404313
From: Vahe Stepanian
Sent: Thursday, July 02, 2015 11:34 AM
To: 'jeffrey E.'
Cc: Daniel Sabba; Ariane Dwyer; Paul Morris; Stewart Oldfield; Richard Kahn
Subject: Trade Report 7/2/2015 [C]
Classification: Confidential
Jeffrey — today you executed the following per your conversation with Daniel:
Product European Option
Client PRIVATE CLIENT SERVICES PWM ALEX
BROWN AC SOUTHERN FINANCIAL LLC
BuySell Client Buys
Currencyl EUR
CP Put
Notionall 50,000,000
Currency2 USD
Notional2 -52,000,000
Strike 1.04
ZoneCut NY: 10:00 hours (Local time in New
York)
ExpiryDate Mon 04 January 2016
SettlementDate Wed 06 January 2016
FixingReference SPOT
Premium 663,000
PremiumTerms USD
EFTA01404314
PremiumDate Mon 06 July 2015
DatabaselD 1037233558
DF Mid 12.65
Product European Option
Client PRIVATE CLIENT SERVICES PWM ALEX
BROWN AC SOUTHERN FINANCIAL LLC
BuySell Client Sells
Currencyl EUR
CP Call
Notionall -50,000,000
Currency2 USD
Notional2 58,200,000
Strike 1.164
ZoneCut NY: 10:00 hours (Local time in New
York)
ExpiryDate Mon 04 January 2016
SettlementDate Wed 06 January 2016
FixingReference SPOT
Premium 663,000
PremiumTerms USD
PremiumDate Mon 06 July 2015
DatabaselD 1037233559
DF Mid 10.15
Separate email to follow with second execution.
EFTA01404315
Thank you,
Vahe
Vahe Stepanian
Assistant Vice President I Key Client Partners
Deutsche Bank Securities Inc.
Tel.
Mobil
Email
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 trade(s) may be subject to change prior to
settlement, and therefore the official trade confirmation(s) and account
statements issued by Deutsche Bank shall govern. Deutsche Bank is not
responsible for any discrepancy between the informal execution report and
the official trade confirmation(s) or account statements.
EFTA01404316
ℹ️ Document Details
SHA-256
8646c7070586a4384fe681bd3005696beefc38d743f3b7bda97af1a28e8286d4
Bates Number
EFTA01404310
Dataset
DataSet-10
Type
document
Pages
7
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