EFTA01344379.pdf
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I.P. Morgan Online - Positions
Positions
5tre_tc- p 9/12/13 11:35AM
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ramDerlvallves
VNw
OV-A004
M.)409/11, 2013 I Change 0
Show (As Awn tuns A end Ail Caerendes
- O VAN) Tax lcts
Total Vitus Unmixed Gon/Loen Accruai Income Em, Annual Income Cash & Sweep
-$86.160,615A3 42.11$4.396.55 088232829 53583,506.45 2,174,71218
Nee Value
calve Gain/Loa
Ossallon Otenney PDX' Yea en) Coat ON
JPMORGAN CHASE 6 CO 79% 5,000000.00 110.279 025. 5,51396000 12.0000. 5.498.00695 15,943.05
PFD STK APR 30 2049 DTD
0403/2008
GENERAL MO ORS CO CV FPO 7190000 60.10 -0.19 3357,10000 -13,49000 3,56505922 -28A6922
B
ALLY FINANCIAL INC 8112% 12600000 fl ee 0.14 A. 3,377088.00 17,72400 a 2,78224251 505,445.49
SOUTHERN CAL EPSON 6111% 3,00,00090 104.486 0.06 a 3,134.5601:0 2.62000 3012849.17 11290023
DEC 31 2040 OID 01,17,2012
3000,000.00 103A02 407. 3,1020.3.00 -201000 3247,500.00 -14594000
ROYAL BANK SCOTLAND nomomo 2204 4.31 7.74090.0 -3720000 2,924,400.00 -163000.00
GROUP PLC MR NON-
eumuLAilvE
SERVICSAASTER COMPANY 2,600,030.00 96177 COO . 291492600 112500. 2,665025.00 -261,20000
FE8 15 2020 DTD 02/13/2012
PETROLEOS DE VENEZUELA S 2,5843,000.00 91.80 090. 2250,000.00 22880.00 a 2262.750.00 32,280.00
172% NOV 02 2017 DID
10129/2010 HELD BY
EUROMEAlt ISIN
BANK OF AMERICA CORP 81/11 2,00000000 100.979 026 a 2,199,510.00 6.040.00 2,081,180.68 11809924
PFD STK DEC 29 2049 DID
04/38/2008
US DOLLAR 7 2,179,715.86 1.00 0.045 2,179,715AM 0.0044 2,179,718.85 080
GENERAL ELIO CAP CORP 2,000,00000 106.925 OAt 2,17$00000 it.220.00 2,122,916.67 55:4333
7.126% DEC 15 2040 DM
06/12/2012
GMAC CAPITAL TRUST1PM 80003.00 2254 0.11 a 2.123200.00 8000.00 a 1,88277300 240226.40
STK 118%
KINDRED HEALTHCARE INC 8 2,000,00003 106.00 0.50 a 2,100,000.00 10.00100 a 1.085as:too 133.750.00
1/4% JUN 01 2019 DTD
08012011
ItSBC CONT BUFF EQ SYSE 2%0,080.00 101.72 0.88 . 2,034,40000 17,200.00 a 2.000,00000 349000
06/26/14 80% EKO BARRIER-
414CPN 17% CAP IMGAL LEVEL-
05/24713 SX5E276429
JPM VALUE ADVANTAGE FD - 78.700.17 25.08 006 a 2,01907733 4,72225 a 2,000,000.00 19,677,30
INSTL FUND 1400
SO MARKET PLUS WD CRUDE 2,000,000.00 90,9 -OAS . 1,9119,000.00 -11500.0. 2,003,000.00 -10.203.00
0066/14 LNKD TO CL1 78.75%
BARRIER- 1016CFN ,UNCAPPED
MUTSU. LEVEL-0726/13
CL1:105.80
LLOYDS TSB BANK PLC MTN 9 1000,000.00 119.813 4.0S 1,797,10200 43000. 102780000 189,695.00
7/6% DEC 18 2021 DTD
12/16/2011 HELD BY
EUROCLEAR IONININIBBININO
SEDOL B7FQXT1
IGA IFI
CHASE MOR0 rAi
NAN
gCE
a 1128.61297 93.888 0.10 a 1,713,290.08 1,791.94 a 1,518,233.9S 16,016.10
CoRPOFtAn
/1 ?SA / 00100A 11I/A/M17 MTN
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CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0029753
CONFIDENTIAL SONY GM_00175937
EFTA01344379
ℹ️ Document Details
SHA-256
c77248f52dc8b14c48b8c76f5eedd4f05e24b8797973f9b2fcb3babdd4eacbe1
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EFTA01344379
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document
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1
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