📄 Extracted Text (316 words)
FINANCIAL TRUST COMPANY INC ACCT.
For the Period 2/1/13 to 2/28/13
Trade Date Type Per Unit Realized
Settle Date Selection Method Description Quantity Amount Proceeds Tax Cost Gain/Loss
Settled Sales/Maturities/Redemptions
2/5 Sale ENTERPRISE PRODUCTS PARTNERS L P a 54.5591 (4,000.000) 54.518 218,071.51 (218.240.00) (168.49) S
2/8 FIFO 218,236.40 BROKERAGE 160.00 TAX S/OR SEC 4.89
J.P. MORGAN SECURITIES LLC (ID: 293792-10-7)
2/6 Sale BOISE CASCADE COMPANY a 25.31 25,310.00 (1,000.000) 25.269 25,269.43 (21,000.00) 4,269.43 S
2/11 FIFO BROKERAGE 40.00 TAX 8/OR SEC .57 J.P. MORGAN
SECURITIES LLC (ID: 097390-10-0)
2/11 Expired Option ENTRY REVERSED ON 0226/2013 BRT CALL OPTION (100.000) (327,000.00) (327,000.00) S
2/11 FIFO USD PUT OPTION STRIKE 118.50 EXPIRING
02/08/2013100,000 BARRELS EXPIRATION OF
PURCHASED OTC CALL (ID: OTCBDC-NB-N)
2/11 Expired Option BRT PUT OPTION USD CALL OPTION STRIKE 79.00 100.000 327,000.00 327,000.00 S
2/11 FIFO EXPIRING 02/08/2013100,000 BARRELS EXPIRATION
OF WRITTEN OTC PUT (ID: OTCBDP-J0-W)
2/7 Sale BREITBURN ENERGY PARTNERS LP a 19.83 69,405.00 (3,500.000) 19.79 69,283.44 (69,510.00) (246.58) S
2112 FIFO BROKERAGE 140.00 TAX 8/OR SEC 1.56 J.P. MORGAN
SECURITIES LLC (ID: 106776-10-7)
2/20 Pnncipal Payment SEQUOIA MORTGAGE TRUST 11 CL B1 VAR RT (4,702.730) 100.00 4,702,73 (3,468.26) 1,234.47 S
2/20 Pro Rata 12/20/2032 DTD 10/30/2002 PAYMENT NC PRINCIPAL
(ID: 81744A-AB-4)
2114 Sale ARMOUR RESIDENTIAL REIT INC COM a 6.70017 (29,000 000) 6.66 193,140.57 (198,360.00) (5,219.43) S
2/20 FIFO 194,304.93 BROKERAGE 1,160.00 TAX 8/OR SEC 4.36
J.P. MORGAN SECURITIES LLC (ID: 042315-10-1)
2/15 Sale CLIFFS NATURAL RESOURCES INC a 29.7565 (3,000.000) 29.716 89,147.50 (87,000.00) 2,147.50 S
2/21 FIFO 89269.50 BROKERAGE 120.00 TAX S/OR SEC 2.00
J.P. MORGAN SECURITIES LLC (ID: 18683K-10.1)
2115 Sale ENTRY REVERSED ON 02/25/2013 PIONEER NATURAL (1,000.000) 130.328 130,328.46 (128,000.00) 2,328.46 S
2/21 FIFO RESOURCES CO a 130.43139130,431.39 BROKERAGE
100.00 TAX S/OR SEC 2.93 J.P. MORGAN SECURITIES
LLC (ID: 723787-10-7)
J.P. Morgan Account Page 26 of 43 Consolidated Statement Page 29
Confidential Treatment Requested by JPMorgan JPM-SDNY-00016911
Chase
CONFIDENTIAL SDNY_GM_00286109
EFTA01493972
ℹ️ Document Details
SHA-256
d8da0c38b5f45bea96757c239129dcc84e5cd47b30d77e87600aede68a875d07
Bates Number
EFTA01493972
Dataset
DataSet-10
Document Type
document
Pages
1
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