Case File
efta-01361666DOJ Data Set 10OtherEFTA01361666
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01361666
Pages
1
Persons
0
Integrity
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Deutsche Asset
1
& Wealth Management
PO Be, 1776. BertWOO. MD 21203
Portfolio Holdings (continued)
Date • sired
Ovanti
Unit Cost
Davisfle Ben* 0,.44., Dwain bot.,40.n..-.
Weep"
Oestiete gm& terve:let Mc
Nay VykONIc•
31aM Axa,R.3NN rbv
Plow*AP. NY 10154
(MI 4144/11. Ns% 211114091.
Cod Bads
Market Price
Market Value
Statement Period: 12/0112014 - 12/31/2014
Unrealized
Gain! Loss
Estimated Estimated
Annual Income
Yield
Equities (continued)
Preferred Sods (Listed by expiration dale)
ALLY FIN L INC FIX TO FLT
DIV-8.50% FREO.OTR.YCALLABLE@ 25.00
ON A OTRLY BASS AFTER 05/15/2016
Dividend Option: Cash
Security Identifier: ALLY PRB
CUSP 02005N308
02103/12 '.13
46,600.000
19.3820
903.217.51
26.8800
1 252.608.01
349,390 50
99.025 00
790%
02/09/12'•13
80,000.000
20.1250
1,610,000 00
26.8800
2 150.399 99
540.399 99
170,000.00
7.90%
Total Noncovered
126,600.000
2 513 217 51
3,403,006.00
669,790.49
269,025.00
Total
126,600.000
$2,513,217.51
$3,403,005.00
$889,790.49
$269,025.00
GM AC CAP TR I GTO TR PFD SESSER 2 CPN-
Soddy Identifier: ALLY PRA
8.125% FREO ORTLYMATY-02/1512040 CALL
CU SIP 381860208
ANYTIME @ 25 W130 DAYS BEGINS 02/15(16
Dividend Option: Cash
02122/12'.13
80,000.000
23.5350
1,882,773.80
26.3800
2.110.400.00
227,626 40
182,500.00
7.89%
ROYAL BK SCOTLAND GP PLC SPON ADR REPSTG
Security Identifier: RBSPRT
SER T PFD CPN .7.25% FREO ORTLY PEPP M TY
CUSP. 780097713
CALL@ 25 ANY W/30 0 NOTICE AFTR 12/31/12
Dividend Option: Cash
10/24/12'.13
40,000.000
231900
951.600 00
25.4900
1,019.599 99
67.999.99
72.500.00
7.11%
01/07/13'•13
40,000.000
24.4400
977.600 00
25.4900
1,019,599.99
41,999.99
72.500.00
7.11%
01/14/13'.13
40,000.000
24.8800
995,200.00
25.4900
1.019.600.02
24,400.02
72,500.00
7.11%
Total Noncovered
120,000.000
2,924,400.00
3,055,800.00
134,400.00
217,500.00
Total
120.000.000
$2,924,400.00
63,055,800.00
$134,400.00
8217.500.00
Total Preferred Sods
$7,320,391.11
$8,572,208.00
$1,251,816.69
$649,025.00
Total Equities
$47,673,875.64
$54,159,000.61
$6,465,124.67
$2,083,953.27
FI-0100S ISCSV 30023
Account Number. N40-023804
OPAU.IMMA
SO TI-ERN FINANCIAL Ile
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DALOAR RATED COMMON ICATK,I6
eXallENC?
Page 9 0121
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0050891
CONFIDENTIAL
SDNY_GM_00197075
EFTA01361666
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