📄 Extracted Text (220 words)
CREDIT SUISSE SECURITIES (USA) LLC
STATEMENT DATE: 29 SEP 2006
ELEVEN MADISON AVENUE
NEW YORK, NY 10010-3629
ACCOUNT NUMBER:
HIGHBRIDGE CAPITAL MANAGEMENT
FINANCIAL TRUST COMPANY INC.
CHRIS EDELE
27TH FLOOR
9 WEST 57TH STREET
NEW YORK, N.Y. 10019
* * * * * * * * *
TRADE SETTL AT
R1
LONG
OPEN
SHORT
28*
POSITIONS
CONTRACT DESCRIPTION
28 DEC 06 CBT 5Y T-NOTE
SPREAD
EX
* * * * * * * * *
PRICE
S.P. 105-16.5
CC
01 105-03.5 US
DEBIT/CREDIT
1SEP06
11,375.OODR
11,375.OODR
BEGINNING
BALANCE
NET DEPOSIT/WITHDRAWAL
ENDING BALANCE
OPEN TRADE EQUITY
TOTAL EQUITY
LONG MARKET VALUE OF OPTIONS
SHORT MARKET VALUE OF OPTIONS
NET LIQUIDITY
MARKET VALUE-SEC ON DEP-TOTAL
INITIAL MARGIN REQUIREMENT
MAINTENANCE MARGIN REQUIREMENT
MARGIN DEFICIT
EXCESS CASH
PENDING EXCESS/DEFICIT
CURRENCY CONVERSION RATE TO US
CONVERTED ACCOUNT VALUE AT MKT
EFTA01592202
** USD SEGREGATED * * **** GBP SECURED *** ****
EUR SECURED * * * **
CONVERTED
TOTAL**
8,419.94
30,624.35DR
.00
30,624.35DR
11,375.OODR
41,999.35DR
.00
.00
41,999.35DR
.00
15,120.00
11,200.00
57,119.35DR
.00
57,119.35DR
1.00000000
41,999.35DR
.00
8,419.94
.00
8,419.94
.00
.00
8,419.94
.00
.00
.00
.00
8,419.94
8,419.94
1.87143000
15,757.33
36,614.97
.00
36,614.97
.00
36,614.97
.00
.00
36,614.97
.00
.00
.00
.00
36,614.97
36,614.97
1.26857000
46,448.65
31,581.62
EFTA01592203
.00
31,581.62
11,375.00DR
20,206.62
.00
.00
20,206.62
.00
15,120.00
11,200.00
57,119.35DR
62,205.98
5,086.63
1.00000000
20,206.62
EFTA01592204
ℹ️ Document Details
SHA-256
ec3afcee397c0aa4a832b244635acfeadd4ad6f566d2fef03884ed45a51c005c
Bates Number
EFTA01592202
Dataset
DataSet-10
Document Type
document
Pages
3
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