📄 Extracted Text (360 words)
Statement of Account
INV REP TAXPAYER ID. S TAT EH ENT PERIOD PAGE
20J Q T UNDISCLOSED 08/01/05 TO 08 /31/05 23 OF 25
" ALL AMOUNTS IN US DOL.
PORTFOLIO
TYPE LONG OR DESCRIPTION PRICE MARKET ESTIMATED CURRENT
SHORT( S) VALUE ANNUAL INCOME YIELD 1
03 26,100 IS) FRANKLIN RESOURCE S INC 80.4 4000 2,099,484 .00- 10,4 40.00- . 497
03 98,300 IS) GENERAL MOTORS 34.19000 3, 360,8 77.00- 196,6 00.00- 5.850
*CS FB RATING :OUTPERFORM
INDEPENDENT RA TIN G:1 STAR - Sell
PROV I DER: Standard 4 Poor's
03 66, 560 IS) MCC INSURANCE HOL DINGS INC 26.65000 1, 773,824 .00- 29,952.00- 1.689
03 35, 800 IS) INTERNATIONAL GAM E TECHNOLOGIES 27.72000 992,376.00- 17,184 .00- 1.732
03 1, 835 IS) INVITROGEN CORP 84 .73000 155,479.55-
03 27, 096 IS) MASCO CORP 30.68000 831,305.28- 21,676.80- 2. 608
*CS FP RATING :OUTPERFORM
INDEPENDENT RA TIN G:4 STAR - Accumulate
PROV I DER: Standard 4 Poor's
03 113,480 IS) PPL CORP 31.96000 3,626,8 20.80- 113,4 80.00- 3.129
03 43, 820 IS) RPM INCORPORATED 18.95000 830,389.00- 26,292.00- 3.166
03 26, 250 IS) SU PE RVALU INC 34.80000 913,500.00- 17,062.50- 1.868
03 53, 590 IS) TJX COMPANIES INC NEW 20.91000 1,120,566.90- 12,861.60- 1.148
*CS FB RATING :OUTPERFORM
INDEPENDENT RA TIN G:3 STAR - Hold
PROV I DER: Standard 4 Poor's
03 8, 665 IS) UN IS OURCE ENERGY CORP HLDG CO 33.29000 288,457 .85- 6,585.40- 2. 283
03 12, 233 IS) VORN ADO REALTY TR 86.02000 1,052,282.66- 37,1 88.32- 3. 534
,
I CS FB RATING :NOT AVAILABLE
INDEPENDENT RA TIN G:3 STAR - Hold
PROVIDER: Standard 4 Poor's
03 13, 240 IS) WY ET H 45.79000 606,259.60- 12,180.80- 2.009
*CS FB RATING :NEUTRAL
INDEPENDENT RATIN G:3 STAR - Hold
PROVIDER: Standard 4 Poor's
J1 2,7 90, 000 ALLERGAN INC SR N T CV ZERO 22 106.25000 2,964,375.00
11/06/2022
17, 000 BARNES GROUP INC CVT 144A 102.25000 17,382.50 637 .50 3. 667
03.7500 08/01/2025
3,000, 00:, CBRL GROUP INC LYON ZERO 32 46.37500 1, 391,250.00
04/03/2032
CREDIT FIRST CREDIT SUISSE FIRST BOSTON LLC
ELEVEN MADISON AVENUE
TEL:
FAX:
SUISSE I BOSTON NEW YORK, NY 10010-3629
Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00061793
EFTA01582273
ℹ️ Document Details
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Bates Number
EFTA01582273
Dataset
DataSet-10
Document Type
document
Pages
1