Case File
efta-01455051DOJ Data Set 10OtherEFTA01455051
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01455051
Pages
1
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
Portfolio Holdings (continued)
U.S. DOLLARS (continued)
Date
sired
Quantity
Unit Cost
Cost Basis
Make Price
Market Value
Equities (continued)
Common Stocks (continued)
BANK OF NEW YORK MELLON CORP COM
Dividend Option: Cash
Security Identifier: BK
CUSP. 064058100
06/25111
250.000.000
36.3060
9,076,406.00
39.0400
9,760,000.00
BIOGEN IDEC INC COM
Dividend Option: Cash
Security Identifier: BIIB
CUSP: 09062%103
02/14/12 %I)
2,095.000
119.5490
250,454 95
334.3900
700.547 05
FACEBOOK INC CL A
Dividend Option: Cash
Security Identifier: FB
CUSP. 3030314102
05/17112 '.13
11,500.000
38.0000
665,000.00
72.6500
1.271.375 00
FOUNDATION MEDICINE INC COM
Dividend Option: Cash
Security Identifier: FM I
CUSP 350465100
01/13/14
25,000.000
27.5070
687663.50
22.5200
563,000.00
GENERAL ELECTRIC CO COM
Dividend Option: Cash
Security Identifier: OE
CUSP. 389804103
04123113'.13
23,000.000
21.5700
196,109.08
25.1500
578,450.00
GENERAL M TRS CO COM
Dividend Option: Cash
Security identifier: OM
CUSP 370456100
11!18110'
10,988.200
36.4010
399,978.16
33.8200
371 62093
12/09/10
86,536.800
36.8160
6185.969 22
33.8200
292667457
Total Noncovered
97,525.000
3,585,917.38
3,298,295.50
Total
97,525.000
$3,585,947.38
$3,298,295.50
GILEAD SCIENCES INC
Dividend Option: Cash
Security Identifier: GILD
CUSP 375558103
02/05/14
5,000.000
792810
396,407.00
91.5500
457,750.00
03/07/14
3,100.000
79.6120
246,797.00
91.5500
283.805.00
Total Covered
8,100.000
813,204.00
741,555.00
Total
8,100.000
$643,204.00
$741,555.00
P MORGAN CHASE & CO COM
ISPit U346625441005
Dividend Option: Cash
Security Identifier: PM
CUSP 46625H00
07114105'.3,12
11,603.000
488.4840
5,861,884.94
57.6700
669.145 01
SANGAM 0 BIOSCIENCES INC COM
Dividend Option: Cash
Security Identifier: SOSO
CUSP 800677106
05!26113'•13
50,000.000
8.4440
122.214 00
11.8800
594.000 00
SANTANDER CONSUMER USA HLDGS INC COM
Dividend Option: Cash
Security Identifier: SC
CU SP 8028314101
P0C9907 ,t5F,C617
WV:
Account Number
SO 671-ERA FlNANCIALLLC
Unrealized
Gain! Loss
Estimated Estimated
Annual Income
Yield
Go paperless
ASK AlsOle" C OCOVCRY
683,594 00
450.092.10
606,375 00
-124,663 50
82,340 92
-28.357 23
-259,294.65
-287,651.88
-$287,651.88
61,343.00
37,008.00
95,351.00
$98,351.00
•4,998,73993
171,786 00
Rated E•C0eril
f vw Yaw tone,' .},00:
[NAGAR RATED COMMON ICATK,I6
eXallENC?
170,000.00
1.74%
20,240 00
349%
13,185 84
3.54%
103,844.16
3.54%
117,030.00
$117,030.00
$0.00
18,56680
2.77%
Page 8 of 19
CONFIDENTIAL — PURSUANT TO FED. R. CRIM. P. 6(e)
CONFIDENTIAL
SDNY_GM_00259751
DB-SDNY-01 13567
EFTA01455051
Technical Artifacts (12)
View in Artifacts BrowserEmail addresses, URLs, phone numbers, and other technical indicators extracted from this document.
Phone
2667457Phone
334.3900Phone
4058100Phone
4123113Phone
488.4840Phone
5558103Phone
6625441005Phone
7114105Phone
8028314101Phone
9804103SWIFT/BIC
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