📄 Extracted Text (156 words)
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT. O30171005
For the Period 9/1/10 to 9/3W10
Trade Settlement Per Unit Reated
Date Date Type Description Quantity Amount Proceeds Tax Cost Gelatines
Settled Sales/Maturities/Redemptions
9/15 9/15 Sale JPMOROAN PRIME MONEY MARKET FUND (1O20O00.000) 1.00 1.620.000.00 (1,820,000.00)
CAPITAL SHARE CLASS
FUND 380S
O1.00
TRADE DATE 09/15/10
9116 9116 Sale JPMORGAN PRIME MONEY MARKET FUND (117,871.860) 1.00 117,871.86 (117,871.86)
CAPITAL SHARE CLASS
FUND 3605
1.00
TRADE DATE 00/16/10
9/27 9/27 Sale JPMORGAN PRIME MONEY MARKET FUND (1,000,000.000) 1.00 1,000,000.00 (1.000O00.00)
CAPITAL SHARE CLASS
FUND 3605
I 00
TRADE DATE 09/27/10
Total Settled Sales/Maturities/Redemptions $2,802,871.86 ($2002.871.86) S0.00
Trade Settlement Per Unit
Date Date Type Description Quantity Amount Market Cost
Settled Securities Purchased
9/1 9/1 Purchase JPMORGAN PRIME MONEY MARKET FUND 4,190.220 1.00 (4,190.22)
CAPITAL SHARE CLASS
FUND 3605
REINVESTED 0 1.00 PER SHARE
Account Q30171005 Page 9 of 12
Page 12 of 18
Confidential Treatment Requested by JPMorgan JPM-SDNY-00035403
Chase
CONFIDENTIAL SDNY_GM_00304601
EFTA01509842
ℹ️ Document Details
SHA-256
e7edd41c984d9d9c7f34fec0799046adaba45a352697cd5c51cdc859dc68aa33
Bates Number
EFTA01509842
Dataset
DataSet-10
Document Type
document
Pages
1
Comments 0