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📄 Extracted Text (139 words)
FINANCIAL TRUST COMPANY, INC. ACCT. 078805001
For the Period 11/1/12 to 11/30/12
Portfolio Activity Detail
INFLOWS & OUTFLOWS
Type Quantity Per Unit
Settle Date Selection Method Description Cost Amount Amount
11/1 Div Domest JPM PRIME MM FD- INSTL FUND 829 FOR OCT lit 9.615.490 0.87
VARIOUS RATES FROM 0.0002674% TO 0.0003308%
(ID: 4812A2-60-3)
11/I interest Income DEPOSIT SWEEP INTEREST FOR OCT. (1) .01% RATE ON 0.08
NET AVG COLLECTED BALANCE OF 510.018.11 AS OF
11/01/12
Total Inflows 8. Outflows 30.96
TRADE ACTIVITY
Trade Date Per Unit
Settle Date Type Description Quantity Amount Market Cost
Settled Securities Purchased
11/1 Purchase JPM PRIME MM FD - INSTL FUND 829 REINVESTED @ 0.870 1.00 (0.87)
11/1 1.00 PER SHARE (ID: 4812A2-60-3)
J.P.Morgan Account 078805001 Page 7 of 7 Consolidated Statement Page 10
Confidential Treatment Requested by JPMorgan JPM-SDNY-00039309
Chase
CONFIDENTIAL SDNY_GM_00308507
EFTA01513374
ℹ️ Document Details
SHA-256
a562aaf97acab1a022386000173639a34c2877ba56b85727da1fe3c62284722f
Bates Number
EFTA01513374
Dataset
DataSet-10
Type
document
Pages
1
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