Case File
efta-01465326DOJ Data Set 10OtherEFTA01465326
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01465326
Pages
4
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
JE Positions
Account Short Name:
HAZE
Account #
•
N4G024943
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
Close Price
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
6666012.77
6666012.77
MONEY FUND
1
JPM.KPC 46625HHA1
JPMORGAN CHASE & CO DEP SHS REPSTG 1/10TH PFD SER 1
FIXED TO FLTG RATE 7.900% 12/01/99 B/E DTD 04/23/08 CLB CLB 04/30/18
@100.000
3000000 3330000 CORPORATE BOND
USD
111
0605050T8
BANK AMER CORP PERP NON COMULATIVE DEP SHS FIXED TO FLOAT
8.125% 04/30/58 B/E DTD 04/30/08 CLB CLB 05/15/18 @100.000
3000000
3330000 CORPORATE BOND
USD
111
OHYFX
4812C0803
JP MORGAN HIGH YIELD FUND SELECT CLASS
328409.897
2696245.25
MUTUAL FUND
USD
8.21
JPHSX
48121L510
JP MORGAN FLOATING RATE INCOME FUND SELECT
SHARES 204650.163
2064920.15
MUTUAL FUND
USD
10.09
BTU.GF 704549AE4
PEABODY ENERGY CORP SR NT 7.375% 11/01/16 B/E DTD
10/12/06 N/C
1200000 1347000 CORPORATE BOND
USD
112.25
KND.AC 494580AB9
KINDRED HEALTHCARE INC 8.250% 06/01/19 B/E DTD
06/01/11 CLB CLB 06/01/14 @106.188
1000000 1076250 CORPORATE BOND
USD
107.625
IPMT.AA 46262EAE5
IPAYMENT INC GTD SR NT 10.250% 05/15/18 B/E DTD
11/15/11 CLB CLB 05/15/15 @105.125
500000 377500 CORPORATE BOND
USD
75.50
Total Brokerage SUM(E4:E11)=2.0887928169999998E7
Checking Account
42953256
Money Market
44129543
Account Short Name:
JEEPERS
Account #
N4G024935
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
Last Price3
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
3.687323828E7
3.687323828E7
MONEY FUND
1
JPHSX
48121L510
JP MORGAN FLOATING RATE INCOME FUND SELECT
SHARES 153304.813
1545312.52
MUTUAL FUND
USD
10.08
Total
SUM(E19:E20)=3.8418550800000004E7
Checking Account
42953002
Money Market
44129455
Account Short Name:
STC
Account #
N4G023812
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
Last Price3
Estimated Value
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
1665418.15
1665418.15
MONEY FUND
1
ALLY PRB
02005N308
ALLY FINL INC PERP PFD FIXED/FLTG RATE SER
A CALLABLE
57000
1535010 PREFERRED STOCK USD
26.93
HBC3981011
40432)(032
HSBC USA INC MEDIUM TERM NTS BRAZILIAN REAL
RELATIVE TO USD 0.000% 03/27/14 B/E DTD 03/20/13 N/C
1000000 1000000
CORPORATE BOND
USD
0
813900
HBC3990776
40432XE56
HSBC USA INC MEDIUM TERM NTS BRAZILIAN REAL
EFTA01465326
RELATIVE TO USD 0.000% 04/21/14 B/E DTD 04/12/13 N/C
1000000 1000000
CORPORATE BOND
USD
0
838900
Total Brokerage SUM(E28:E31)R00428.15
Checking Account
42952763
72921.98
Money Market
44129244
2.72550485E7
Total STC
SUM(E32:E34)=3.2528398630000003E7
Account Short Name:
SF
Account #
•
N4G023804
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
Last Price3
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
1.483122224E7
1.483122224E7
MONEY FUND
1
APO
037612306
APOLLO GLOBAL MGMT LLC CL A SHS 263157
8655233.73
COMMON STOCK
USD
32.89
JPM.KPC 46625HHA1
JPMORGAN CHASE & CO DEP SHS REPSTG 1/10TH PFD SER 1
FIXED TO FLTG RATE 7.900% 12/01/99 B/E DTD 04/23/08 CLB CLB 04/30/18
@100.000
5000000 5512500 CORPORATE BOND
USD
110.25
GM PRB 37045V209
GENERAL MTRS CO JR PFD CONV SER B 4 75% 71000
3584790 PREFERRED STOCK USD
50.49
ALLY PRB
02005N308
ALLY FINL INC PERP PFD FIXED/FLTG RATE SER
A CALLABLE
126600 3409338 PREFERRED STOCK USD
26.93
EIX.AA 842400FU2
SOUTHERN CALIF EDISON CO PREF SER E 6.250% 02/01/22
B/E DTD 01/17/12 CLB CLB 02/01/22 @100.000
3000000 3090000 CORPORATE
BOND
USD
103
RBS PRT 780097713
ROYAL BANK SCOTLAND GROUP PLC 7.25% SPON ADR REPSTG
SER T PFD SHS CALLABLE ON OR AFTER 12/31/2012 @ 25
120000 2841600
PREFERRED STOCK USD
23.68
SVM3861776
81760NAN9
SERVICEMASTER CO SR NT - CUSIP FULLY
EXCHANGED FROM OLD CUSIP 81760NAL3 8.000% 02/15/20 B/E DTD 02/13/12 CLB CLB
02/15/15 @106.000
2500000 2503125 CORPORATE BOND
USD
100.125
060505DT8
BANK AMER CORP PERP NON COMULATIVE DEP SHS FIXED TO FLOAT
8.125% 04/30/58 B/E DTD 04/30/08 CLB CLB 05/15/18 @100.000
2000000
2230000 CORPORATE BOND
USD
111.50
GE3864337
369622SN6
GENERAL ELEC CAP CORP NON CUM PFD SER A
7.125% 06/12/62 B/E DTD 06/12/12 CLB CLB 06/15/22 @100.000
2000000
2195000 CORPORATE BOND
USD
109.75
ALLY PRA
361860208
GMAC CAP TR I GTD TR PFD SECS SER 2 8 125%
FIXED RATE / FLTG
80000
2149600 PREFERRED STOCK USD
26.87
ASNA
04351G101
ASCENA RETAIL GROUP INC COM
70500
1374045
COMMON STOCK
USD
19.49
369622ST3
GENERAL ELEC CAP CORP PERP PFD SER C FIXED TO FLTG 5.250%
06/03/63 B/E DTD 06/03/13 CLB CLB 06/15/23 @100.000
1400000 1319500
CORPORATE BOND
USD
94.25
JPM
46625H100
JP MORGAN CHASE & CO COM ISIN#U546625H1005
21753
1179230.13
COMMON STOCK
USD
54.21
HW3692321
42210PAQ5
HEADWATERS INC GTD SR NT 7.625% 04/01/19 B/-
E DTD 03/11/11 CLB CLB 04/01/15 @103.813 1000000 1060000 CORPORATE BOND
USD
106
ELNK.AA 270321AC6
EARTHLINK INC GTD SR NT FULLY EXCHANGED CUSIP FROM
270321AB8 8.875% 05/15/19 B/E DTD 05/17/11 CLB CLB 05/15/15 @104.438
1000000 972500 CORPORATE BOND
USD
97.25
EFTA01465327
FB
30303M102
FACEBOOK INC CL A
17500
913675 COMMON
STOCK
USD
52.21
JPM4031737
48126HAA8
JPMORGAN CHASE & CO 6. 000% 09/01/88 B/E DTD
07/29/13 N/C
750000 716250 CORPORATE BOND
USD
95.50
SGMO
800677106
SANGAMO BIOSCIENCES INC COM
50000
588500
COMMON STOCK
USD
11.77
GE
369604103
GENERAL ELECTRIC CO COM 23000
567640 COMMON
STOCK
USD
24.68
BIIB
09062X103
BIOGEN IDEC INC COM
2095
517676.595
COMMON STOCK
USD
DAG
25154H558
TRADED NT
50000
BCS3990764
06739FHK0
BARCLAYS BK PLC CONTINGENT CAP NT
ISIN#US06739FHK03 7.750% 04/10/23 B/E DTD 04/10/13 CLB CLB 04/10/18
247.101
DEUTSCHE BK AG LONDON BRH DB AGRIC DOUBLE LONG
436500 COMMON STOCK
USD
8.73
@100.000
300000 314625 CORPORATE BOND
USD
104.875
BDRBF
097751200
BOMBARDIER INC CLASS B
20000
96582
COMMON
STOCK
USD
4.8291
ARIA
04033A100
ARIAD PHARMACEUTICALS INC
16535
74407.50
COMMON STOCK
USD
4.50
Total Brokerage SUM(E40:E64)=6.1133540195E7
Checking Account
42952771
329920.88
Money Market
44129252
Total SF
SUM(E65:E66)=6.1463461075E7
Account Short Name
Personal
Account #
N4G024968
Checking Account
35266976
Total JE
2540324.34
Money Market
37992955
All Brokerage
SUM(E65,E12,E21,E32)=1.25640447315E8
All Accounts
1.542114397E8
Yet to Come Over
Account Number
Account Name
Description
Ticker Cusip
Trade Date
Quantity
Local Price
Base Price
Local Trade Date Cost
Local Trade Date Market Value
ISIN
W92099006
SFLLC
JPM VALUE ADVANTAGE FD - INSTL FUND 1400 JVAIX
4812A2587
78709.17
0
26.23
2000000 2064541.53
US4812A25875
W92099006
SFLLC
JPM LATIN AMERICA FD - SEL FUND 3815
JLTSX
4812A3478
49504.95
0
19.06
1000000 943564.35
US4812A34786
Confidential
EFTA01465328
Sheet1
SFLLC
Fixed to Float
SUM('JE Positions'!E42+'JE Positions'!E44+'JE Positions'!-
E45+'JE Positions'!E48+ 1JE Positions'!E49+IJE Positions'!E50+1JE Positions'!-
E52)+'JE Positions'! E57 622188
B2/$B$12=0.33733017806952803
Cash
'JE Positions'!E40=1.483122224E7
B3/$B$12=0.24260368682546898
Core Equities
SUM('JE Positions'!E41+ 1JE Positions'!E56+IJE Positions'!-
E59)+'JE Positions'!E53+1JE Positions'!E51=1.268982386E7
B4/$565512=0.20757547852656302
Preferreds
SUM('JE Positions'!E43+'JE Positions'!E46)d26390
B5/$B$12=0.10512052761056365
High Yield Bonds
'JE Positions'!E47+'JE Positions'!E54+'JE
Positions'!E55E35625
B6/$B$12=0.07419208809979828
Biotech Equities
SUM('JE Positions'!E64+ 1JE Positions'!E60+ 1JE
Positions'! E58)80584.095
B7/$B$12=0.019311561071618716
DAG
'JE Positions'!E61C6500
B8/$B$12=0.0071401067009644655
BCS CoCo
'JE Positions'!E6214625
B9/$B$12=0.005146520207997583
Other Equties (Bombardier)
'JE Positions'!E63582
B10/$B$12=0.001579852887497251
SUM(B2:611)=6.1133540195E7
B12/$B$12=1
JPM Funds
Latam Equities
JLTSX
Value Fund
EFTA01465329
Technical Artifacts (46)
View in Artifacts BrowserEmail addresses, URLs, phone numbers, and other technical indicators extracted from this document.
Phone
17806952803Phone
2149600Phone
2195000Phone
2230000Phone
2500000Phone
2503125Phone
2540324Phone
2841600Phone
2887497251Phone
2952763Phone
2952771Phone
2953002Phone
2953256Phone
3000000Phone
3090000Phone
3330000Phone
3584790Phone
3692321Phone
3861776Phone
3864337Phone
3981011Phone
3990764Phone
3990776Phone
4031737Phone
4129244Phone
4129252Phone
4129455Phone
4129543Phone
5000000Phone
5266976Phone
5512500Phone
600 3409338Phone
6214625Phone
6666012Phone
7009644655Phone
7612306Phone
7751200Phone
7852656302Phone
7992955Phone
7997583Phone
8655233Phone
8682546898Phone
8809979828Phone
897
2696245Phone
9604103SWIFT/BIC
SCOTLANDForum Discussions
This document was digitized, indexed, and cross-referenced with 1,400+ persons in the Epstein files. 100% free, ad-free, and independent.
Annotations powered by Hypothesis. Select any text on this page to annotate or highlight it.