Case File
efta-01466586DOJ Data Set 10OtherEFTA01466586
Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01466586
Pages
13
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
Agenda
Agenda
January 10, 2014
I.
Deutsche Bank Key Client Partners (KCP) Global Investment Team -
Delivering the Institution
II.
KCP Outlook into 2014
III. Epstein DB Account Summary
IV. Epstein Position Review
V. Investment Ideas
EFTA01466586
Summary
Epstein DB Accounts
Consolidated Overview as of Market Close 1/9/14
Cash
39596745+SFLLCI34+STC!H4+3EEPIH4+HAZE!-
G4+63002=1.1138982975999999E8
B3/$B$28=0.5373875184085802
Fixed Income
SUM(B6:611)=6.175711102497E7
B5/$B$28=0.2979401324995059
Bonds
SUM(SFLLC!36:39)+SUM(STC!H6)+SUM(HAZE!G8:G10)=11281565
B6/$B$28=0.05442662253975506
Funds
SUM(JEEPIH6)+SUM(HAZE!G6:G7)=6311594.704969999
B7/$B$28=0.03044956817882261
Structured Notes
B8/$B$28=0
Preferreds/Hybrids
SUM(SFLLC!311:322)+SUM(STC1H8)+SUM(HAZE!-
G12:G13)=3.73852025E7
B9/$B$28=0.18036064190028664
Asset Backed
SUM(SFLLC!324:327)+SUM(HAZE!G15)=6778748.819999999
B10/$B$28=0.03270329988064156
Equities
SUM(B13:617)=2.985246398003E7
B12/$B$28=0.14401980478087278
Options (OTC/Listed)
SUM(SFLLC!329:J30)=900000
B13/$B$28=0.004341947264034694
Stocks SUM(SFLLC!331:J42)=2.054548636E7
B14/$B$28=0.09911935365451569
Funds
SUM(SFLLC!343:344)=5209977.62003
B15/$B$28=0.02513494230330138
Structured Notes
SUM(SFLLCLJ45:J46)=3197000
B16/$B$28=0.015423561559021018
Commodities
SUM(B19:620)=2293600
B18/$B$28=0.01106521138309997
Funds
SUM(SFLLC!348)=342000
B19/$B$28=0.0016499399603331836
Structured Notes
SUM(SFLLC!349)=1951600
B20/$B$28=0.009415271422766786
FX
SUM(B23:626)=1987264.955201
B22/$B$28=0.009587332927941122
Currency
SFLLCI351=396999.025201 B23/$B$28=0.0019152764792176914
Funds
B24/$B$28=0
Structured Notes
STC!H1O+STC1H11=1560000
B25/$B$28=0.007526041924326802
Options (OTC/Listed)
SFLLCI352=30265.93
B26/$B$28=1.460145243966284E-4
Total
SUM(B3,65,612,618,622)=2.07280269720201E8
B28/$B$28=1
EFTA01466587
SFLLC
&P
Southern Financial, LLC
Discussion
Description
Ticker/ Cusip
Sec. Description
Acct.
Sec. Type
Quantity
Last Price3
Cost Basis /
Unit
Position Val.
Cost Basis / Total
Unrealized G/L %
Unrealized G/L (Price Apr/Depr) Purchase Date
Previous Day's Close
Change Pvs. Day % Change Pvs. Day
ABS Quantity
Cash
MONEY MARKET
INSURED DEPOSITS PROGRAM
SFLLC
Cash
1.829629005E7
Fixed Income
Hold
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
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
SFLLC
Bond
1000000
98.50
102.6514
985000 1026514.79
(J6-
K6)=-41514.79000000004
L6/K6=-0.04044246649383399
10/1/2012
99.50
-1
-0.010050251256281407
Hold
HEADWATERS INC GTD SR NT 7.625% 04/01/19 B/E DTD 03/11/11 CLB CLB
04/01/15 @103.813
42210PAQ5
HEADWATERS INC GTD SR NT 7.625%
04/01/19 B/E DTD 03/11/11 CLB CLB 04/01/15 @103.813
SFLLC
Bond
1000000 109.25 102.7279
1092500 1027279.56
65220.439999999944
0.06348850161099277
10/22/2012
108.50
0.75
0.0069124423963133645
Hold
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
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
SFLLC
Bond
2500000 104.25 105.7024
2606250
2642561.51
-36311.50999999978
-0.013741027356445444
Multiple
104.25 0
0
Hold/Watch
PETROLEOS DE VENEZUELA NOTES SENIOR 5.000% 10/28/15 REG DTD
10/28/09
X50460546525
PETROLEOS DE VENEZUELA NOTES SENIOR
ISIN#XS0460546525 5.000% 10/28/15 REG DTD 10/28/09
SFLLC
Bond
2500000 84
90
2100000 2250000 -150000 -0.06666666666666667
9/16/2013
82.74
1.2600000000000051
0.01522842639593915
Preferreds/Hybrids
Sell
JPMORGAN CHASE & CO 6.000% 09/01/88 B/E DTD 07/29/13 N/C (3mL
+3.3%) 48126HAA8
JPMORGAN CHASE & CO 6.000% 09/01/88 B/E DTD
07/29/13 N/C
SFLLC
Hybrid 750000 96.671 100
725032.50
750000 -24967.50
-0.03329
7/22/2013
96.486
0.18500000000000227
0.0019173766142238488
Sell
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 (Floats 3mL+2.967%)
369633ST3
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
SFLLC
Hybrid
1400000 94.299 100
1320186.0000000002
1400000 -79813.99999999977
-0.05700999999999983
5/29/2013
94.211 0.08800000000000807
9.340735158315704E-4
Watch
LBG CAPITAL NO 1 PLC 144A 8.000% 09/15/88 REG DTD 12/15/09 CLB 2020
EFTA01466588
(Floats3mL+6.405%)
X50473106283
LBG CAPITAL NO 1 PLC 144A
ISIN#XS0473106283 8.000% 09/15/88 REG DTD 12/15/09
SFLLC
Hybrid
3000000 107.06 108.25 3202500 3247500 -45000 -0.013856812933025405
5/21/2013
#N/A Invalid Security
#VALUE! #VALUE!
Watch
LLOYDS TSB BK PLC EURO ISSUE MEDIUM TERM NOTES
9.875% 12/16/21
REG DTD 12/16/11 CLB (Floats 3mL+6.405%) X50717735822
LLOYDS TSB BK PLC
EURO ISSUE MEDIUM TERM NOTES ISIN#XS0717735822 9.875% 12/16/21 REG DTD
12/16/11 CLB
SFLLC
Hybrid
1500000 120.70 108.50 1810500 1627500
183000 0.11244239631336406
5/10/2012
121
-0.29999999999999716
-0.002479338842975183
Watch
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 (Float 3mL +3.64%)
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
SFLLC
Hybrid 2000000 112.296 102.75 2245920 2055000 190920
0.09290510948905109
1/10/2011
112.152 0.14400000000000546
0.001283971752621491
Watch
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 (Floats 3mL+4.199%)
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
SFLLC
Hybrid 3000000 103.883 99.7867 3116490
2993601.03
122888.9700000002
0.04105055041352662
1/30/2012
103.849 0.033999999999991815
3.273984342650561E-4
Watch
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 (Floats 3mL+5.296%)
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
SFLLC
Hybrid 2000000 113.167 105.5302
2263340 2110605.12
152734.8799999999
0.07236544560263355
6/27/2012
111.44 1.7270000000000039
0.015497128499641098
Watch
JPMORGAN CHASE & CO DEP SHS REPSTG 1/10TH PFD SER 1 FIXED TO FLTG
RT BD 7.900% 04/29/49 B/E DTD 04/23/08 CLB CLB 04/30/18 @100.000 (Float
3mL+3.47%)
46625HHA1
JPMORGAN CHASE & CO DEP SHS REPSTG 1/10TH
PFD SER 1 FIXED TO FLTG RT BD 7.900% 04/29/49 B/E DTD 04/23/08 CLB CLB
04/30/18 @100.000
SFLLC
Hybrid 5000000 110.738 107.25 5536900
5362500 174400 0.032522144522144525
6/1/2011
110.614
0.12399999999999523
0.00112101542300247
Hold
BARCLAYS BK PLC CONTINGENT CAP NT ISIN#U506739FHK03 7.750% 04/10/23
B/E DTD 04/10/13 CLB CLB 04/10/18 @100.000 (Float USSWS +6.83%)
06739FHK0
BARCLAYS BK PLC CONTINGENT CAP NT ISIN#U506739FHK03 7.750%
04/10/23 B/E DTD 04/10/13 CLB CLB 04/10/18 @100.000
SFLLC
Hybrid
300000 109.75 100
329250 300000 29250
0.0975 4/3/2013
110
-0.25
-0.0022727272727272726
Hold
GMAC CAP TR I GTD TR PFD SECS SER 2 8 125% FIXED RATE / FLTG CLB
2016 (3mL+5.785%)
361860208
GMAC CAP TR I GTD TR PFD SECS SER
2 8 125% FIXED RATE / FLTG
SFLLC
Preferred
80000
27.04
23.5346 2163200 1882773.60
280426.3999999999
0.14894323990946118
2/22/2012
26.94
0.09999999999999787
0.003711952487008087
Hold
ALLY FINL INC PERP PFD FIXED/FLTG RATE SER A CALLABLE 2016 (Floats
3mL+6.243%)
02005N308
ALLY FINL INC PERP PFD FIXED/FLTG RATE SER
A CALLABLE
SFLLC
Preferred
126600 27.24
20.3828 3448584
EFTA01466589
2580473.76
868110.2400000002
0.3364150620155891
2/1/2012
27.11
0.129999999999999
0.004795278495020251
Hold
ROYAL BANK SCOTLAND GROUP PLC 7.25% SPON ADR REPSTG SER T PFD SHS
CALLABLE ON OR AFTER 12/31/2012 @ 25
7.80097713E8
ROYAL BANK
SCOTLAND GROUP PLC 7.25% SPON ADR REPSTG SER T PFD SHS CALLABLE ON OR AFTER
12/31/2012 @ 25 SFLLC
Preferred
120000 24.94
24.37
2979600
2924400 55200
0.01887566680344686
Multiple
#N/A Invalid
Security
#VALUE! #VALUE!
Asset Backed
Hold
COUNTRYWIDE HOME LOANS SER 03-1 CL B1 4.090% 03/25/33 B/E DTD
01/30/03 N/C
12669DYS1
COUNTRYWIDE HOME LOANS SER 03-1 CL B1
4.090% 03/25/33 B/E DTD 01/30/03 N/C
SFLLC
Asset Backed
4,500,000
(face)/ 1,211,860.04 (current)
85.11730194091797
1032047.66
1157326.33
-125278.67000000004
-0.10824835377244034
4/6/2013
#N/A Field Not Applicable
#VALUE! #VALUE! 1211860.04
Hold
GLOBAL MTG SECURITIZATION LTD/ GLOBAL MTG SCTZN ISIN#US378961AV83
5.250% 04/25/32 B/E DTD 04/28/05 N/C
378961AV8
GLOBAL MTG
SECURITIZATION LTD/ GLOBAL MTG SCTZN ISIN#US378961AV83 5.250% 04/25/32 B/E
DTD 04/28/05 N/C
SFLLC
CORPORATE BOND
8,250,000 (face)/
3,078,210.68 (current)
98.6541976928711
2848124.11
2831953.82
16170.290000000037
0.005709941272983059
10/16/2013
#N/A Field Not Applicable
#VALUE! #VALUE! 3078210.68
Hold
IMPAC CMB TR 2005-2 ASSET BKD BD CL 1-M-2 0.899% 04/25/35 B/E DTD
03/03/05 N/C
45254NNC7
IMPAC CMB TR 2005-2 ASSET BKD BD CL 1-M-2
0.899% 04/25/35 B/E DTD 03/03/05 N/C
SFLLC
CORPORATE BOND
10,000,000
(face)/1,500,553.84 (current)
65.03450012207031
1061305.83
1046636.31
14669.520000000019
0.014015871473062136
7/10/2013
#N/A Field Not Applicable
#VALUE! #VALUE! 1500553.84
Hold
WASHINGTON MUT MTG SECS CORP 2004-RA2 MTG PASSTHRU CTF CL C-B-1 VAR
RATE 6.972% 07/25/33 B/E DTD 06/01/04 N/C
939336S20
WASHINGTON
MUT MTG SECS CORP 2004-RA2 MTG PASSTHRU CTF CL C-B-1 VAR RATE 6.972%
07/25/33 B/E DTD 06/01/04 N/C
SFLLC
CORPORATE BOND
1,290,000 (face)/
837,722.83 (current)
98.5281982421875
719659.83
645046.58
74613.25
0.11567110393795128
11/19/2013
#N/A Field Not Applicable
#VALUE! #VALUE! 837722.83
Equity/Equity Derivatives
AMERICAN AIRLINES (AAL) JAN15 $20 CALL
BOUGHT AAL JAN'14 $20 CALLS
SFLLC
EQUITY OPTION
1000
10.2
8.0331 H29*G29*100=1020000
803314.50
145685.50
0.1813554965085281
12/11/2013
9.49
0
0
AMERICAN AIRLINES (AAL) JAN15 $20 PUT
(SOLD) AAL JAN'14 $20 PUTS
SFLLC
EQUITY OPTION
-1000
1.20
1.977
H30*G30*100=-120000
-197702 (J30-K30)=77702 0.9747094111339288
12/11/2013
0.05
0
0
Hold (buy-and-write, post-erngs)
APPLE INC COM
AAPL
APPLE INC
COM
SFLLC
EQUITY 2000
536.519 529.0602
1073038
1058120.50
14917.50
0.01409811075392642
10/28/2013
536.519 0
0
Hold
FACEBOOK INC CL A
FB
FACEBOOK INC CL A
SFLLC
EQUITY 17500
57.22
38
1001350 665000 336350
0.5057894736842106
5/17/2012
57.22
0
0
EFTA01466590
Discuss TWITTER INC COM TWTR
TWITTER
57.05
26
85575
39000
46575
11/7/2013
57.05
0
0
Hold
APOLLO GLOBAL MGMT LLC CL A
A SHS
SFLLC
EQUITY 263157 35.14
4247353.98
0.8494736842105264
Hold
ARIAD PHARMACEUTICALS INC
INC
SFLLC
EQUITY 16535
6.76
290997.4
-179220.80000000005
Multiple
6.76
0
0
Hold
SANGAMO BIOSCIENCES INC COM
SGMO
SANGAMO BIOSCIENCES INC
COM
SFLLC
EQUITY 50000
18.88
8.4442 944000 422214 521786
1.2358330135902647
5/28/2013
18.88
0
0
Hold
BIOGEN IDEC INC BIIB
BIOGEN IDEC INC SFLLC
EQUITY 2095
289.75 119.5489
607026.25
250454.95
356571.30
1.4236943610018487
2/14/2012
289.75 0
0
Discuss ASCENA RETAIL GROUP INC ASNA
ASCENA RETAIL GROUP INC COM
SFLLC
EQUITY 70500
21.86
21.2765 1541130 1500000 41130
0.02742
1/16/2001
21.86
0
0
Discuss BOMBARDIER INC CLASS B
BBD/B CN
BOMBARDIER INC CLASS B
SFLLC
EQUITY 20000
4.06
6.285
81199.99999999999
125700 -44500.000000000015
-0.3540175019888625
7/10/2007
4 06
0
0
Hold
GENERAL ELECTRIC CO COM GE
GENERAL ELECTRIC CO COM SFLLC
EQUITY 23000
27.22
21.5699 626060 496109.08
129950.91999999998
0.2619402168571476
4/23/2013
27.22
0
0
Hold
GENERAL MTRS CO COM
GM
GENERAL MTRS CO COM
SFLLC
EQUITY 97525
40.49
36.7697 3948787.25
3585969.22
362818.0299999998
0.10117711774447405
40.49
0
0
JP MORGAN CHASE & CO COM
JPM
JP MORGAN CHASE & CO COM
ISIN#US46625H1005
SFLLC
EQUITY 21753
58.76
488.4844
1278206.28
10626002
-9347795.72
-0.879709576565109
7/14/2005
58.76
0
0
Hold
WISDOMTREE TR JAPAN HEDGED EQUITY FD
DXJ
WISDOMTREE TR
JAPAN HEDGED EQUITY FD
SFLLC
EQUITY 60000
49.98
49.4349 2998800
2966098.50
32701.50
0.011025089018453029
12/11/2013
49.98
0
0
Sell (Buy SPY; highly correlated and 9.5bps expense ratio vs. 74bps)
JP MORGAN VALUE ADVANTAGE FUND INSTITUTIONAL CLASS
JVAIX
JP MORGAN
VALUE ADVANTAGE FUND INSTITUTIONAL CLASS SFLLC
MUTUAL FUND
81563.173
27.11
25.41
2211177.62003
2000000
211177.62002999987
0.10558881001499994
7/9/2013
27.11
0
0
Hold
HSBC USA INC MEDIUM TERM NTS BUFFERED NOTES LKD TO EURO STOXX 50
0.000% 08/29/14 B/E DTD 05/30/13 (4% contingent minimum coupon, lx upside to
Eurostoxx 50, Max return 17%, 80% barrier; Initial Level 2764.29, current
3090.26, +11.8%. —5% remaining upside, barrier >30% away)
40432XFP1
HSBC USA INC MEDIUM TERM NTS BUFFERED NOTES LKD TO EURO
STOXX 50 0.000% 08/29/14 B/E DTD 05/30/13
SFLLC
STRUCTURED NOTE
2000000 (J45/G45)*100=107.59
100
2151800 2000000 151800 0.0759
INC COM SFLLC
EQUITY 1500
1.1942307692307692
APO
APOLLO GLOBAL MGMT LLC CL
19
9247336.98
4999983
3/29/2011
35.14
0
0
ARIA
ARIAD PHARMACEUTICALS
17.5988 111776.59999999999
-0.6158845405491596
EFTA01466591
5/30/2013
#N/A Invalid Security
#VALUE! #VALUE!
Hold (-2% tracking spread, bullish european banks)
JPMORGAN CHASE &
CO MEDIUM TERM NTS CAPPED CONTINGENT BUFFERED EQUITY NTS 0.000% 10/16/14 B/-
E DTD 09/27/13 (Delta 1 upside STOXX Europe 600 Banks Index, Max upside
25%; Downside barrier 85%; 190.0 strike, 202.28 last +6.5%; downside to
barrier: 21.5%, remaining upside 18.5%) 48126NVE4
JPMORGAN CHASE &
CO MEDIUM TERM NTS CAPPED CONTINGENT BUFFERED EQUITY NTS 0.000% 10/16/14 B/-
E DTD 09/27/13 SFLLC
STRUCTURED NOTE 1000000 104.52 100
1045200
1000000 45200
0.0452 9/27/2013
#N/A Invalid Security
#VALUE!
#VALUE!
Commodities
Sell
DEUTSCHE BK AG LONDON BRH DB AGRIC DOUBLE LONG TRADED NT (DAG)
DAG
DEUTSCHE BK AG LONDON BRH DB AGRIC DOUBLE LONG TRADED NT SFLLC
EQUITY 50000
6.84
7.0505 342000
352529 -10529 -0.029867046399019655
7/12/2010
6.84
0
0
Hold; Discuss WTI Put Overlay
SG STRUCTURED PRODS INC COMMODITY LKD MKT
PLUS PROTECTED NOTES 0.000% 08/05/14 B/E DTD 07/30/13 (10% contingent
minimum return, WTI Barier 78.765%, or 83.87)
78423EHS6
SG
STRUCTURED PRODS INC COMMODITY LKD MKT PLUS PROTECTED NOTES 0.000% 08/05/14
B/E DTD 07/30/13
SFLLC
STRUCTURED NOTE 2000000 (J49/-
G49)*100=97.58 100
1951600 2000000 -48400 -0.0242 7/30/2013
#N/A Invalid Security
#VALUE! #VALUE!
FX
Euro Demoniated Bond/FX Deposit EUR CURNCY
EURO CURRENCY
SFLLC
FX Currency
291846.67
1.3603 NA
396999.025201
NA
NA
1.3608 -4.999999999999449E-4
-3.6743092298643806E-4
Add
101 Strike USDcJPYp Zero Cost Triple One Touch
30265.93
0
H52=30265.93
I52=0
SUM(J3:J52)=9.245600891523099E7 SUM(L3:L52)=-1184008.6499699997
1/8/14.
CASH + NOTES PRICING MUST BE UPDATED MANUALLY!
ABS quantities will vary.
ABS MUST BE UPDATED MANUALLY!
&P
EFTA01466592
STC
Southern Trust Company, Inc
Discussion
Sec. Description
Ticker/ Cusip
Sec. Type
Quantity
Last Price,
Cost Basis / Unit
Position Val.
Cost Basis / Total
Unrealized G/L % Unrealized G/L (Price Apr/-
Depr)
Purchase Date
Previous Day's Close
Change Pvs. Day % Change
Pvs. Day
Cash
Money Market
1695733.06
Fixed Income
Hold/Watch
PETROLEOS DE VENEZUELA NOTES SENIOR 5.000% 10/28/15 REG DTD
10/28/09
X50460546525
CORPORATE BOND
2000000 84
I6/-
E6*100=90
1680000 1800000 H6-I6=-120000
J6/-
I6=-0.06666666666666667 9/17/2013
BDP($A6,$M$1)=#N/A Invalid
Security
F6-M6=#VALUE!
N6/M6=#VALUE!
Preferreds/Hybrids
Hold
ALLY FINL INC PERP PFD FIXED/FLTG RATE SER A CALLABLE 2016 (Floats
3mL+6.243%)
02005N308
PREFERRED STOCK 57000
27.24
26.14
1552680 1489980 H8-I8=62700
J8/I8=0.042081101759755164
6/11/2013
BDP(A8,$M$1)=#N/A Invalid Security
F8-M8=#VALUE!
N8/M8=#VALUE!
FX
Hold (asymmetric risk/return)
HSBC USA INC MEDIUM TERM NTS BRAZILIAN REAL
RELATIVE TO USD 0.000% 03/27/14 B/E DTD 03/20/13 N/C
40432XD32
CORPORATE BOND
1000000 77
100
770000 1000000 H10-I10=-230000
J10/I10=-0.23
3/13/2013
77
F10-M10=1/0/1900
N10/M10=0
Hold (asymmetric risk/return)
HSBC USA INC MEDIUM TERM NTS BRAZILIAN REAL
RELATIVE TO USD 0.000% 04/21/14 B/E DTD 04/12/13 N/C
40432XE56
CORPORATE BOND
1000000 79
100
790000 1000000 H11-I11=-210000
J11/I11=-0.21
4/5/2013
79
F11-M11=1/0/1900
N11/M11=0
SUM(H4:H11)=6488413.0600000005
SUM(34:J11)=-497300
CASH + HSBC NOTE PRICING MUST BE UPDATED MANUALLY!
&P
EFTA01466593
JEEP
Jeepers, Inc
Discussion
Sec. Description
Ticker/ Cusip
Sec. Type
Quantity
Last Price3
Cost Basis / Unit
Position Val.
Cost Basis / Total
Unrealized G/L % Unrealized G/L (Price Apr/-
Depr)
Purchase Date
Previous Day's Close
Change Pvs. Day % Change
Pvs. Day
Cash
MONEY MARKET
CASH - MMF
4.414887737E7
Fixed Income
Add
JP MORGAN FLOATING RATE INCOME FUND SELECT SHARES
JPHSX
MUTUAL FUND
155169.539
10.14
10.07
1562557.25773
1554187.31
8369.947729999898
0.005356570255965732
2/1/2013
10.14
1/0/1900
0
4.571143462773E7
SUM(J4:36)=8369.947729999898
CASH MUST BE UPDATED MANUALLY!
&P
EFTA01466594
HAZE
The Haze Trust
PRIOR_CLOSE_MID
Discussion
Sec. Description
Ticker/ Cusip
Quantity
Last Price;
Cost Basis / Unit
Position Val.
Cost Basis /
Total
Unrealized G/L % Unrealized G/L
Purchase Date
Previous
Day's Close
Change Pvs. Day % Change Pvs. Day
Cash
Money Market
7589182.28
Fixed Income
Add
JP MORGAN FLOATING RATE INCOME FUND SELECT SHARES
JPHSX
206029.66
10.14
10.11
2089140.7524
2078678.85
10461.90240000002
0.005032957544163217
1/22/2013
10.14
0
0
Sell
JP MORGAN HIGH YIELD FUND SELECT CLASS
OHYFX
331657.942
8.02
8.2
2659896.6948399995
2742813.03
-82916.33516000025
-0.03023040005027257
5/10/2011
8.02
0
0
Hold
KINDRED HEALTHCARE INC 8.250% 06/01/19 B/E DTD 06/01/11 CLB CLB
06/01/14 @106.188
494580AB9
1000000 105.719 105.75 1057190
996761.06
60428.939999999944
0.06062530171473587
10/2/2012
107.50 1.781000000000006
0.01656744186046517
Hold
PEABODY ENERGY CORP SR NT 7.375% 11/01/16 B/E DTD 10/12/06 N/C
704549AE4
1200000 112.75 113
1353000 1292351.59
60648.409999999916
0.04692872316580654
5/10/2011
112.88
0.12999999999999545
0.0011516654854712568
Discuss IPAYMENT INC GTD SR NT 10.250% 05/15/18 B/E DTD 11/15/11 CLB CLB
05/15/15 @105.125
46262EAE5
500000 81.525 79
407625
453291.02
-45666.02000000002
-0.1007432708461774
10/2/2012
81.166 -0.35900000000000887
-0.004423034275435636
Preferreds/Hybrids
Watch
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 (Float 3mL +3.64%)
060505DT8
3000000 112.296 111.50 3368880
3389620.83
-20740.830000000075
-0.006118923336920865
5/10/2011
112.152 -0.14400000000000546
-0.001283971752621491
Watch
JPMORGAN CHASE & CO DEP SHS REPSTG 1/10TH PFD SER 1 FIXED TO FLTG
RT BD 7.900% 04/29/49 B/E DTD 04/23/08 CLB CLB 04/30/18 @100.000 (Float
3mL+3.47%)
46625HHA1
3000000 110.738 110.50 3322140
3337958.33
-15818.330000000075
-0.0047389237480385425
5/10/2011
110.614 -0.12399999999999523
-0.00112101542300247
Asset Backed
Hold
GS MTG SECS CORP 2005-5F MTG PASSTHRU CTF CL B1 VAR 5.764% 06/25/35
B/E DTD 05/01/05 N/C
1,500,000 (face)/ 1,211,860.04 (current)
88.33429718017578
1117611.39
NA
NA
NA
#N/A Field
Not Applicable #VALUE! #VALUE! 1211860.04
SUM(G3:G15)=2.296466611724E7
SUM(I3:I15)=-33602.262760000536
CASH MUST BE UPDATED MANUALLY!
&P
EFTA01466595
Disclaimer
Important Information
This material has been prepared at your request and is intended for
informational purposes only as of
the date set forth above.
It should not be relied on solely t
o make an investment decision. The report
does not constitute investment advice or a recommendation or an offer or a
solicitation and is not the
basis for any contract to purchase or sell any security or other instrument,
or for Deutsche Bank AG and
its of
filiates to enter into or arrange any type of transaction as a consequence
of any information
contained herein. The information in this summary has been compiled from and
does not replace the
official account statements issued by Deutsche Bank. If there ar
e any inconsistencies between this
summary and those reports, the information contained in the reports shall
govern.
We have gathered the information contained in this report from sources we
believe to be reliable; but
we do not guarantee the accuracy o
r completeness of such information, and we assume no liability for
damages resulting from or arising out of the use of such information. Past
performance is not indicative
to future returns. The value of investments and income arising there from
can fall a
s well as rise, the
investor may get back less than was invested and no assurance can be given
that any portfolio or
investment described herein would yield favorable investment results.
Asset classes, and the mapping of individual investment securities
to such, are based on your Client
Advisor
EFTA01466596
s assessment and categorization.
More detailed information is available upon request.
This
information is prepared as of trade date rather than settlement date and was
prepared as of a different
date than your st
atement.
Deutsche Bank AG, including its subsidiaries and affiliates, does not
provide legal, tax or accounting
advice.
This communication was prepared solely in connection with the promotion or
marketing, to the
extent permitted by applicable law, of t
he transaction or matter addressed herein, and was not
intended or written to be used, and cannot be used or relied upon, by any
taxpayer for purposes of
avoiding any U.S. federal tax penalties.
The recipient of this communication should seek advice from
an
independent tax advisor regarding any tax matters addressed herein based on
its particular
circumstances.
"Deutsche Bank" means Deutsche Bank AG and its affiliated companies.
Deutsche Bank Private Wealth
Management refers to Deutsche Bank's wealth ma
nagement activities for high
net
worth clients around
the world.
Brokerage services are offered through Deutsche Bank Securities Inc., a
registered broker
EFTA01466597
dealer and investment adviser, which conducts investment banking and
securities activities in the
Un
ited States.
Deutsche Bank Securities Inc. is a member of FINRA, NYSE and SIPC.
co
2013 Deutsche
Bank AG.
All rights reserved.
EFTA01466598
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9999999983Phone
9999999999SWIFT/BIC
SCOTLANDSWIFT/BIC
SFLLCI34Tail #
N10Tail #
N11Forum Discussions
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