Case File
efta-01470913DOJ Data Set 10OtherEFTA01470913
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DOJ Data Set 10
Reference
efta-01470913
Pages
9
Persons
0
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Extracted Text (OCR)
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SFLLC x804
Account #
:
Account Short Name:
EPSTEI
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
WAMU3515294
939336520
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
1290000 648511.90
CORPORATE BOND
USD
648511.90
CASH
Long
87.011
TWTR
90184L102
TWITTER INC COM 1500
79200
COMMON STOCK
USD
79200
CASH
Long
52.80
09/11/2014 10:57:01 ET
-0.11
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
1440000 1522800 CORPORATE BOND
USD
1522800
CASH
Long
105.75
SGMO
800677106
SANGAMO BIOSCIENCES INC COM
50000
630000
COMMON STOCK
USD
630000 CASH
Long
12.60
09/11/2014
10:56:04 ET
-0.30
SC
80283M101
SANTANDER CONSUMER USA HLDGS INC COM
1000
19230
COMMON STOCK
USD
19230
CASH
Long
19.23
09/11/2014
10:56:04 ET
-0.02
RBS PRT 780097713
ROYAL BK SCOTLAND GP PLC SPON ADR REPSTG SER T PFD
CPN-7.25% FREQ QRTLY PERP MTY CALL@25 ANY W/30 D NOTICE AFTR 12/31/12
120000 3016800 PREFERRED STOCK USD
3016800 CASH
Long
25.14
09/11/2014 10:54:04 ET
0.19
PDVA3854937
P7807HAF2
PETROLEOS DE VENEZUELA NOTES SENIOR
ISIN#XS0460546525 5.000% 10/28/15 REG DTD 10/28/09 N/C
2500000 2131250
CORPORATE BOND
USD
2131250 CASH
Long
85.25
MBLY
N51488117
MOBILEYE NV AMSTELVEEN ORD SHS ISIN#NL0010831061
800
44040
COMMON STOCK
USD
44040
CASH
Long
55.05
09/11/2014 10:57:00 ET
-0.43
LYG4115459
539439AG4
LLOYDS BANKING GROUP PLC FXD RATE RESET
ADDL TIER 1 SECS ISIN#US539439AG42 7.500% 09/27/88 B/E DTD 04/07/14 CLB CLB
06/27/24 @100.000
1903000 1969605 CORPORATE BOND
USD
1969605
CASH
Long
103.50
LYG3818427
G4S15PP48
LLOYDS TSB BK PLC EURO ISSUE MEDIUM TERM
NOTES ISIN#XS0717735822 9.875% 12/16/21 REG DTD 12/16/11 CLB CLB 12/16/16
@100.000
1500000 1751250 CORPORATE BOND
USD
1751250 CASH
Long
116.75
LYG.HT G5433BBG8
LBG CAPITAL NO 1 PLC 144A ISIN#XS0473106283 8.000%
09/15/88 REG DTD 12/15/09 CLB CLB 06/15/20 @100.000
1200000 1302000
CORPORATE BOND
USD
1302000 CASH
Long
108.50
JPM4135538
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
5000000 5452000 CORPORATE BOND
USD
5452000
CASH
Long
109.04
JPM4054719
48126NVE4
JPMORGAN CHASE & CO MEDIUM TERM NTS CAPPED
CONTINGENT BUFFERED EQUITY NTS 0.000% 10/16/14 B/E DTD 09/27/13 N/C
1000000 1067700 CORPORATE BOND
USD
1067700 CASH
Long
106.77
JPM
46625H100
JP MORGAN CHASE & CO COM ISIN#U546625H1005
EFTA01470913
2903
172438.20
COMMON STOCK
USD
172438.20
CASH
Long
59.40
09/11/2014 10:57:00 ET
0.18
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 1050000 CORPORATE BOND
USD
1050000 CASH
Long
105
HNT
42222G108
HEALTH NET INC COM
25000
1152500 COMMON
STOCK
USD
1152500 CASH
Long
46.10
ET
-0.45
09/11/2014 10:56:05
GM
37045V100
GENERAL MTRS CO COM
97525
3254409.25
COMMON STOCK
USD
3254409.25
CASH
Long
33.37
09/11/2014
10:56:05 ET
0.08
GILD
375558103
GILEAD SCIENCES INC
8100
864756 COMMON
STOCK
USD
864756
ET
-1.46
CASH
Long
106.76 09/11/2014 10:57:01
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
2345000 CORPORATE BOND
USD
2345000 CASH
Long
117.25
GE
369604103
GENERAL ELECTRIC CO COM 23000
597080 COMMON
STOCK
USD
597080 CASH
Long
25.96
09/11/2014 10:57:01 ET
0 01
FMI
350465100
FOUNDATION MEDICINE INC COM
49830
1098253.20
COMMON STOCK
USD
1098253.20
CASH
Long
22.04
09/11/2014 10:55:02 ET
-0.61
FB
30303M102
FACEBOOK INC CL A
17500
1358525 COMMON
STOCK
USD
1358525 CASH
Long
77.63
09/11/2014 10:57:01 ET
0 20
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 1010000 CORPORATE BOND
USD
1010000 CASH
Long
101
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 3305640 CORPORATE
BOND
USD
3305640 CASH
Long
110.188
DXJ
97717W851
WISDOMTREE TR JAPAN HEDGED EQUITY FD
60000
3070800 COMMON STOCK
USD
3070800 MARGIN
Long
51.18
09/11/2014
10:57:00 ET
-0.41
DWGI
MMFDWGI DWS GOVERNMENT CASH INSTL
1.923950006E7
1.923950006E7
MONEY FUND
1.923950006E7
CASH
Long
1
BK
064058100
BANK OF NEW YORK MELLON CORP COM
250000
9775000 COMMON STOCK
USD
9775000 CASH
Long
39.10
09/11/2014
10:57:00 ET
-0.03
BIIB
09062X103
BIOGEN IDEC INC COM
2095
684457.45
COMMON STOCK
USD
684457.45
CASH
Long
326.71 09/11/2014
10:57:00 ET
-5.37
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
@100.000
300000 331125 CORPORATE BOND
USD
331125 CASH
Long
110.375
BAC3311881
12669DYS1
COUNTRYWIDE HOME LOANS SER 03-1 CL 81
4.090% 03/25/33 B/E DTD 01/30/03 N/C
4500000 896716.22
CORPORATE
BOND
USD
896716.22
CASH
Long
85.96
BAC.HDX 060505DT8
BANK AMER CORP PERP NON COMULATIVE DEP SHS FIXED TO
EFTA01470914
FLOAT 8.125% 04/30/58 B/E DTD 04/30/08 CLB CLB 05/15/18 @100.000 2000000
2180000 CORPORATE BOND
USD
2180000 CASH
Long
109
ASNA
04351G101
ASCENA RETAIL GROUP INC COM
70500
1205550
COMMON STOCK
USD
1205550 CASH
Long
17.10
09/11/2014
10:56:04 ET
0.09
ARIA
04033A100
ARIAD PHARMACEUTICALS INC
16535
97391.15
COMMON STOCK
USD
97391.15
CASH
Long
5.89
09/11/2014 10:56:00 ET
-0.01
APO
037612306
APOLLO GLOBAL MGMT LLC CL A SHS 263157
6165768.51
COMMON STOCK
USD
6165768.51
CASH
Long
23.43
09/11/2014 10:56:01 ET
-0.23
ALLY PRB
02005N308
ALLY FINL INC FIX TO FLT DIV-8.50% FREQ-
QTRLY CALLABLE @ 25.00 ON A QTRLY BASIS AFTER 05/15/2016 126600 3420732
PREFERRED STOCK USD
3420732 CASH
Long
27.02
09/11/2014
10:53:04 ET
0
ALLY PRA
361860208
GMAC CAP TR I GTD TR PFD SECS SER 2 CPN-
8.125% FREQ QRTLY MATY-02/15/2040 CALL ANYTIME @25 W/30 DAYS BEGINS
02/15/16
80000
2130400 PREFERRED STOCK USD
2130400 CASH
Long
26.63
09/11/2014 10:53:04 ET 0
AAPL
037833100
APPLE INC COM
164000 16360640
COMMON
STOCK
USD
16360640
CASH
Long
99.76
09/11/2014
10:57:01 ET
-1.24
AAL 01172015 P 20
99QADTZQO
PUT 100 AMERICAN AIRLS GROUP INC
COM EXP [email protected] OPTION ROOT= AAL -1000
-7000
OPTION
USD
-7000
SHORT
Short
0.07
09/10/2014
0
AAL 01172015 C 20
99QADTZJJ
CALL 100 AMERICAN AIRLS GROUP INC
COM EXP [email protected] OPTION ROOT= AAL 1000
1790000 OPTION
USD
1790000 MARGIN
Long
17.90
09/10/2014
0
Totals SUM(E4:E42)=1.0318406894000001E8
Confidential
EFTA01470915
Jeepers x935
Account #
:
Account Short Name:
EPSTEI
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
JPHSX
48121L510
JP MORGAN FLOATING RATE INCOME FUND SELECT
SHARES 159181.57
1594999.3314
MUTUAL FUND
USD
1594999.3314
CASH
Long
10.02
09/10/2014 20:00:03 ET
-0.01
DWGI
MMFDWGI DWS GOVERNMENT CASH INSTL
2.26802257E7
2.26802257E7
MONEY FUND
2.26802257E7
CASH
Long
1
Totals SUM(E4:E5)=2.42752250314E7
Confidential
EFTA01470916
Haze x943
•
Account #
Account Short Name:
EPSTEIN
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
JPM4135538
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
3000000 3271200 CORPORATE BOND
USD
3271200
CASH
Long
109.04
JPHSX
48121L510
JP MORGAN FLOATING RATE INCOME FUND SELECT
SHARES 212495.183
2129201.73366
MUTUAL FUND
USD
2129201.73366
CASH
Long
10.02
09/10/2014 20:00:03 ET
-0.01
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 432500 CORPORATE BOND
USD
432500 CASH
Long
86.50
GS3471173
36242D7X5
GS MTG SECS CORP 2005-5F MTG PASSTHRU CTF
CL B1 VAR 5.751% 06/25/35 B/E DTD 05/01/05 N/C
1500000 1168494.63
CORPORATE BOND
USD
1168494.63
CASH
Long
96.982
DWGI
MMFDWGI DWS GOVERNMENT CASH INSTL
9907033.76
9907033.76
MONEY FUND
9907033.76
CASH
Long
1
C PRK
172967341
CITIGROUP INC DEP SHS REPSTG 1/1000TH PFD SER K DIV
6.875% PERPETUAL MATY PERPETUAL CALL 11/15/[email protected]
79000
2077700
PREFERRED STOCK USD
2077700 CASH
Long
26.30
09/11/2014
10:59:02 ET
-0.06
BTU.GF 704549AE4
PEABODY ENERGY CORP SR NT 7.375% 11/01/16 B/E DTD
10/12/06 N/C
1200000 1293000 CORPORATE BOND
USD
1293000 CASH
Long
107.75
BAC.HDX 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 3000000
3270000 CORPORATE BOND
USD
3270000 CASH
Long
109
Totals SUM(E4:E11)=2.354913012366E7
Confidential
EFTA01470917
STC x812
•
Account #
Account Short Name:
EPSTEIN
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
PDVA3854937
P7807HAF2
PETROLEOS DE VENEZUELA NOTES SENIOR
ISIN#XS0460546525 5.000% 10/28/15 REG DTD 10/28/09 N/C
2000000 1705000
CORPORATE BOND
USD
1705000 CASH
Long
85.25
DWGI
MMFDWGI DWS GOVERNMENT CASH INSTL
1115628.05
1115628.05
MONEY FUND
1115628.05
CASH
Long
1
ALLY PRB
02005N308
ALLY FINL INC FIX TO FLT DIV-8.50% FREQ-
QTRLY CALLABLE @ 25.00 ON A QTRLY BASIS AFTER 05/15/2016 57000
1539570
PREFERRED STOCK USD
1539570 CASH
Long
27.01
09/11/2014
10:59:00 ET
-0.01
G63980UK3
NATIONWIDE BUILDING SOCIETY EURO ISSUE CONV GBP
ISIN#XS1043181269 6.875% 09/20/88 REG DTD 03/11/14 CLB CLB 06/20/19
@100.000
2000000 1978800 CORPORATE BOND
In Currency
3194772.60
CASH
Long
98.94
Totals SUM(E4:E7)=6338998.05
Cash
1115628.05
Balance Total
B10+E8=7454626.1
Confidential
EFTA01470918
JE VI Foundation
Account #
Account
Account Short Name:
EPSTEIN Account Short Name:
EPSTEIN
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
DWGI
MMFDWGI DWS GOVERNMENT CASH INSTL
2041130.94
2041130.94
MONEY FUND
2041130.94
CASH
Long
1
Totals SUM(E4)=2041130.94
Confidential
EFTA01470919
JE Personal
Account #
Account
Account Short Name:
EPSTEIN Account Short Name:
EPSTEIN
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
667098.79
667098.79
MONEY FUND
667098.79
CASH
Long
1
Totals SUM(E4)=667098.79
Confidential
EFTA01470920
SFLLC Collateral x161
Account #
Account Short Name:
EPSTEIN
Symbol CUSIP
Sec. Description
Quantity
Position Val.
Sec. Type
Position Held
USDE Val.
Acct. Type
Trans.
Type
Last Price3
Price Date
Chg.
DBDA
MMFDBDA INSURED DEPOSITS PROGRAM
233017.58
233017.58
MONEY FUND
233017.58
CASH
Long
1
Totals SUM(E4)=233017.58
Confidential
EFTA01470921
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