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Brokerage Account Analysis
As of July 31, 2017
Fixed Total
Account Name Income Equities Cash Value
Deutsche Bank
Haze Trust 12,915,744 1 01 5,238,241 18,153,985
Jeepers Inc. 1,707,874 0 1,475,398 3,183,072
J Epstein VI Foundation - 559,325 86,512 645,837
Southern Trust Company 2,779,086 0 730,398 3,509,484
Southem Financial LLC 21,604,2941 67.678.722, 17,438,124 106.721.140
Total Deutsche Bank 39,006,7981 68,238,047 24,968,673 132,213,518
30% 52% 19% 100%
Total Deutsche Bank without apple" 39,006,7981 21,536,827 24,968,673 85,512,298
46% 25% 29% 100%
Menill Lynch
Southern Trust Company 7.354.451 1.841.250 31.067.864 40.263.565
Total Merrill Lynch 7,354,451 1,841,250 31,067,864 40,263,565
18% j 5% 77% 100%
Morgan Stanley
Southern Trust Company 25,236,414 3,282,990 1,478,106 29,997,510
Gratitude America - Andrew 2,244,167 2,233,044 232,624 4,709,835
Gratitude America - Paula - 1.251.059 1 2.728.062 3.979.120
Total Morgan Stanley 27,480,581 6,767,093 4,438,791 38,686,465
TOTALS 73,841,830 76,846,390 i 60,476,328 211,163,548
35% 36% 29% 100%
TOTALS - without apple'" 73,841,830 1 30,145,170i 60,475,328 164,462,328
45% 18% 37% 100%
i
NOTES I
a) Morgan Stanley STC account must be transferred by September 18, 2017
131TD Ameritrade has 50,000 in cash and can be used to trade
c) Interactive brokers being setup to serve as Prime Broker for STC and subsidiaries
I
I
"Apple 314,000 shares with 98.99 cost basis
EFTA00811549
Purchase Quantity 6/30/17 7/31/17 Unrealized
Asset Description Date Cost Value Value Gain (Loss)
Hare Trust - FixedIncome (DB)
JP Morgan Chase 7.9% Pfd 4/30/2049 05/10/11 3,000000 3,337,958 3,158,000 3,112,500 -225,458
JPM Tr Flt Rate Income Fund 01/22/13 240,974 2,413.469 2.261,257 2,279,614 -133.858
Cibbank Preferred Ser C 5.8% 10/28/14 49033 1180,739 1,276,819 1,264,071 83,332
Citibank Preferred Ser C 5.8% 10/29/14 150,967 3070,430 3131,161 3,891.929 221,499
Citibank Preferred Ser K 6.875% 2/3114 79,000 1199.416 L3,37.619 2.367.630 368.211.
Total Haze Trust - FixedIncome (DB) 12,602,016 12164067 12,915,744 313,728
Jeepers - Fixed Income (DB)
JPM Trust FLT RT Income fund 02(13/13 180,515.211 1804 981 1100223 1 707-674 aleVZ
Total Jeepers - FixedIncome (DB) 1,804,961 1,693,923 1,707,674 -97,307
Gratitude America - FixedIncome (Morgan Stanley)
Western Digital Corp 7.375% Matures 4-1-2023 06/09/16 2,000,000 2.066_006 2 233165 2244 167 158181,
Total Gratitude America - Fixed income (Morgan Stanley) 2,086,006 2,233,965 2,244,167 158,161
Southern Trust Ca - AxedIncome (DB)
Nationwide Society 6.875% GBP callable 6/20/2019 4115/14 2,000,000 lialia 2,06,112 2 779 ON -660107
Total Southern Trust Co. - AxedIncome (DB) =39,
3,S S 2,668,513 2,779,086 -660,107
Southern Trust Co. - FixedIncome (Merrill)
Allergen mandatory convertible coffered 5.5% 3/1/2018 08115/16 1,000,000 881,500 867.410 894010, 12,510
LSCCOM 8.75% 10115/2023 01/13/17 26,250,000 2.789.125 2014.889 2,850,774 61,649
Kindred Healthcare 7.25%1/15/2020 STC ML 10113/18 3000000 3,060 528 3,260.667 3,025,667 -34,862
Teva mandatory convertible prellered 7.0% 12/15/2018 08/15/16 1000,000 601'750 594.500 564.006 -317 750
Total Southern Trust Co. - FixedIncome (Merrill) 7,632,903 7,537,466 7,354,451 -278,452
Southern Trust Co. - Fixed Income (Morgan Stanley)
Charles Sthweb 6.0% Preferred 525par 7/27/15 40000 1,000,000 1,086,400 1,108000 106 000
Ann* Cap Management 7/25/17 40100 1.000,000 - 994.000 4.000
NM Energy Partners 9% 525 per 6/8/17 40,000 1.000.000 1,151074 996,800 -3,200
Seaspan 7.875% Preferred 525 par 08/04/18 8,000 200.000 168.320 174080 -25,920
Welts Fargo 5.7% Preferred 525 par 1/19/16 120,000 3000,000 3,108,000 3,115,200 115,200
Ebay 6% Preferred 525 par matures 2-1-2056 2/22/16 80,000 2.000.000 2,189,600 2,166,400 166,400
Etrade Financial 5.875% fixed to 9-15-2026 then Boats 8/16/16 500,000 500.000 530.000 548,300 48,300
Etrade Financial 5.875% fixed to 9-15-2026 then floats 10/11/16 2,500,000 2.623,122 2,650,000 2.730.083 106,961
Royal Bank Scotland 7.64% Rod b 9442017 then 3M Loo/ +232bp 11/10/15 5,000,000 5.298,817 4,895,000 4,931,082 467,735
Gcadman Sachs 5 375% Fixed to 5.10.2020 then 392.2 over 3 mo ter 6/4/15 5,000,000 5,034.346 5,291,326 5285,469 251,122
Capital One 5.55% Ftced to 9.1.2020 then 380 over 3 mo asor 5/14/15 3,000,000 3139.819 3 163 413 3.189 000 179.18%
Total Southern Trust Co.- FixedIncome (Morgan Stanley) 24,666,104 24,231,933 25,236,4141 570,310
Southern Financial LLC - FixedIncome (DB)
Bank of America 8.125% Pfd Dec 29 2049 1/10/11 2,000,000 2 055,600 2,100013 2123626
, 68.628
Barclays Bank PLC 7.75% 4/10/2023 4/3/13 300,000 300,000 317,167 swim 9 16,919
Citigroup Inc - Series O 5.95% 8/8/15 3 000,000 3,000,006 3,223,598 3,238,968 238,962
General Electric Co GTD Foxed to Float 4.0% Dec 15 2065 12/3/15 2469000 2.175,018 2.485,460 2,456,929 281.913
JP Morgan Chase 8 Co Pfd 7.9% April 30 2049 6/15/11 2,500,000 2,687,500 2,631,667 2,643,125 44,375
JP Morgan Chase & Co Pfd 7.9% April 30 2049 6115111 2600,000 2,675,000 2.631.667 2,643.125 -31.875
LBG Capital 7.5% 12/29/49 5/21/13 1,903,000 1.948,500 2,100,446 2,130,567 182,067
Southern Cal Edison 6.25% Dec 31 2049 1/30/12 3.000,000 2,996,074 3,400.104 3,438,750 442,676
GMAC Cap TR I GTD PSI Sec Ser 2 8 2/22/12 80,000 1 882 774 2196000 2.124108 241 2gli
Total Southern Financial LLC - FixedIncome (DB) 19,719,870 20,986,120 21,116,009 i 1,396,139
Southern FinancialLLC - FixedIncome (DB) lasamalim
Washington Mutual Mtg 2004-RA2 CI CB1 var 7/25/2033 11/19/13 562,781 430.840_ 489 729 . 480285 07-a0,
Total Southern Financial LLC - Fixed income (DB) 430,640 489,729 488,285 57,646
TOTAL FIXED INCOME 72,381,714 72,806,515 73,841,829 1,460,116
Ore - AccruedInterest has been includedIn month end fixed income values
EFTA00811550
Purchase Quantity 6/30/17 7131117 Unrealized
Asset Description Date Cost Value Value Gain (Loss)
Southern Financial LLC - Equities (DB)
Akom Inc. 8/10/15 5,000 167,700 - 0
Alibaba Group 6110115 5,000 444.749 704,500 774,750 330.001
AIDanz SE ADR 4/13/15 5,000 90,058 98.875 108,750 16,694
Apple Inc 9/5114 64,000 6,332,800 9,217,280 9,518,720 3,185.920
Apple Inc 1/11116 250,000 24,750,006 38,005,000 37,182,500 12.432.494
Apollo Global Management 3131111 263 157 4,999,983 6,960,503 7,394,712 2,394.729
Ascena Retail Group Inc. (Formerly Dress Barn 1.3.11) 1/16101 70.500 1,500,000 151,575 164,970 -1.335.030
Avalanche Blotechnologies now called Adverum Blotechnologles 4/20/15 10,000 398,606 25 030 25500 -373.106
BASF ADR 4/13/15 5,000 508,056 466,450 476.350 -31,708
Bank of New York Mellon 6/25/14 250,000 12,755,000 0
Biogen Idec Inc 2114/12 2,095 250,455 568,499 606.691 356,236
Bioverativ Inc 2/1/17 1,047 20,254 62,998 64,883 44,629
Centene Corp 9/8114 15,550 986,497 1242.134 1.234,981 248,484
Dish Network Corp 6110115 5,000 364,978 313,800 320,150 I -44,828
Facebook Inc 5/17/12 17,500 665,000 2.642.150 2,961.875 2,296.875
Foundation Medicine Inc 1/16114 49,830 1.265,037 1,980,743 1.761.491 496,454
General Motors Co 12/9110 97 525 3.406.548 - 0
General Electric Co 4123113 23:540 621.230 - 0
Gilead Sciences Inc 2/5/14 5,000 396,407 353,900 380,450 -15957
Gilead Sciences Inc 3/7/14 3,100 246,797 219.418 235579 -1O18
Glaxo Smith Kline PLC 6/10/15 5,000 215,008 215.600 202,600 -12,406
Global Partner Acquisition Corp 7/30/15 2,000 19,700 - 0
GoDaddy Inc. 4/1/15 700 14,000 29,694 30,086 16,086
Match 11/19/15 200 3.476 - 0
Motaeye NVArnsteNeen Ord Shares 8/1114 800 20,000 50,240 50,640 30,640
Square 11/1Q/15 200 3.476 - 0
Sangamo Biosciences Inc 5/28/13 50,000 422,214 440,000 430.000 7.786
Santander Consumer USA 1/28/14 1,000 24,000 12.760 12.810 -11,190
Terratorm Global 7/31/15 400 2,020 - 0
Twitter Inc 11/7/13 1,500 39,000 26,805 24.135 -14565
Viacom Inc 6/10/15 5,000 338.745 167.850 174,600 -164,145
Volkswagen AG 4113/15 5,000 254.306 155,625 157.250 -97,056
Wisdomtree Investments Inc 3/31/15 15000 324 158 152.55Q 156899 -187558
Total Southern Financial LLC- Equities (08) 44,871,109 79,243,099 64,449,372 19,578,263
Southern Trust Co. - Equities (Morgan Stanley)
Barclays PLC ADR 7/18/18 100,000 805,096 1,059,000 1.073.000 267.904
Altice 6/22117 5,000 161,500 - 0
Netease.com Inc 7/11/17 2,000 617,135 - 622.560 5,425
Credit Suisse Group 7/18/16 100000 1,137.626 1460.000 1.535.000 397,374
ZTO Express 10/ .OO 68 250 48.860,,.. 52430 -JAM
Total Southern Trust Co. - Equities (Morgan Stanley) 2,628,107 2,729,360 3,282,990 654,883
Southern Trust Co. - Equities (Merrill)
Teradyne Inc 7/20/17 20,000 704,832 - 691.800 -13.032
Micron Technology 6/20/17 8,000 238,880 - 0
XLF Financial Sector 6/20/17 20,000 487,800 493,400 501.800 14,200
ON Semiconductor 6/8/17 12000 200,038 168,480 179,400 -20,638
ING 4/4/17 25,000 ,73.500 434.750 488250 9475Q
Total Southern Trust Co. - Equities (Merril° 1,765,970 1,335,510 1,841,250 75,280
Gratitude America, LTD - Equities (Morgan nl
Colony Caphal-'Colony Northstar Inc. 9/26/16 73,315 928,837 1,033,006 1.073.332 144.495
Sequential Brands 9/23/16 50,000 402,134 199 500 160,500 -241,634
ZTO Ex ss 10/27116 1.150 22.425 16'554 17.227 .5,198
Bank of America 3/2/16 7 500 100825 181,950 180,900 80.075
Editas Medicine 3/2116 200 102:199 53,696 54,144 -48.055
Tencent Holdings 7/18/16 50.000 1.163/62 1.798.000 1.8913100 834238
Total Gratitude America, LTD -Equities (Morgan Stanley) 2,720,182 3,282,208 3,484,103 763,920
J Epstein VI Foundation - Equities (DB)
Bristol Myers Squit 10/30/15 5,000 334,712 278,600 284,500 -50,212
Disney 10/30/15 2.500 285 Az-5 425.000 I 274.825 -1020Q
Total J Epstein Vi Foundation - Equities (DB) 619,737 703,600 559,325 -60,412
TOTAL EQUITIES 52,605,105 87,293,777 73,617,040 21,011,935
Southern Financial LLC - Equity ETPs (DB)
YVisdomtree Japan Hedged Equity 12/16/13 60,000 2.966.099 3.120.000 3.138_000 171901,
Total Southern Financial LLC - Equity ETF'S (DB) 2,966,099 3,120,000 3,138,000 171,901
Southern Financial LLC - Options (DB)
Long FXE 113 Calls - exp Sep 15 2017 7/19/17 450 36.006 0 96,550 62.544
Short FXE 110 Puts - exp Sep 152017 7/19/17 (450) -31.043 9 1.200 23 843
Total Southern Financial LLC - Options am 4,963 0 91,3501 86,387
EFTA00811551
ℹ️ Document Details
SHA-256
d840f8c7149f6920d756027221d7ca5125c09ea357774d7266b556dc058ac191
Bates Number
EFTA00811549
Dataset
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document
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