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📄 Extracted Text (174 words)
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT.
For the Period 5/1/10 to 5/31/10
Trade Settlement Per Unit
Date Date Type Description Quantity Amount Market Cost
Settled Securities Purchased
514 519 Purchase NUSTAR ENERGY LP 4,250.000 58.55 (240.337.50)
56.55
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/14/10
5. 13 5. 19 Purchase SOLAR CAPITAL LTD 13.000.000 22.07 (286.910.00)
• 22.07
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/13/10
5 13 5/19 Purchase STRATEGIC HOTELS & RESORTS INC 20,000.000 4.60 (92,000.00)
42 4.60
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/13/10
4/22 5/24 Write Option 1RECEIVER SWAPT1ON CALL (1.000) 80.000.00 80,000.00 'I
10.000.000 INTEREST RATE SWAP
STRIKE 4.35% S 30/360 VS 3ML
EXP DATE 05/2412010 DEAL 5163005
WRITTEN OTC CALL
TRADE DATE 04/22/10
AS OF 04/26/10
520 5/25 Purchase ACCRETIVE HEALTH INC 1,500.000 12.00 (18,000.00)
12.00
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/20/10
5:19 5/25 Purchase REACHLOCAL INC 1,500.000 13.00 (19,500.00)
C 13.00
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/19/10
Account Page 36 of 58
Page 40 of 65
Confidential Treatment Requested by JPMorgan JPM-SDNY-000 10899
Chase
CONFIDENTIAL SDNY_GM_00280097
EFTA01489075
ℹ️ Document Details
SHA-256
b8ce50bb526706c64c2143e4c1e39403315313d6acd9996089c12b34124d3bf2
Bates Number
EFTA01489075
Dataset
DataSet-10
Type
document
Pages
1
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