Text extracted via OCR from the original document. May contain errors from the scanning process.
For the Period 11/1/10 to 11/30/10
Account Summary
Account
Number
Investment Account(s)
Total Value
Statement Disclosures
This account summary is provided for informational purposes and includes
assets at different entities.
(1) Assets held at JPMorgan Chase Bank, N.A., member Federal Deposit
Insurance Corporation ("FDIC"), except for exchangelisted
options, which are held at 3PMorgan Clearing Corporation ("JPMCC"). The
Asset Account Statement reflects brokerage
transactions executed through J.P. Morgan Securities LLC ("JPMS"), see
"Portfolio Activity Detail". Equity securities, fixed income
securities, and listed options transactions are generally cleared through
JPMCC, a wholly owned subsidiary of 3PMS. Please see
"Additional Information About Your Accounts" at the end of the Asset Account
Statement.
(2) Assets held in Margin Account at JPMCC, member Financial Regulatory
Authority ("FINRA") and Securities Insurance Protection
Corporation ("SIPC"). The Margin Account Statement reflects brokerage
transactions executed by JPMS, see "Portfolio Activity
Detail". Such transactions are cleared and carried through JPMCC.
For important information regarding your accounts refer to the rear of your
statement
W23560001,
242006862
Beginning Net
Market Value
65,800,792.94
5,437,462.01
$71,238,254.95
Ending Net
Market Value
63,033,870.20
5,442,323.03
$68,476,193.23
Change
In Value
(2,766,922.74)
4,861.02
($2,762,061.72)
55
Start on
Page
5
46
Client News
EFTA01538933
Alert:
If you plan to make gifts of securities this year, please
notify your Client Service Representative before
December 15, 2010. This will allow us to process your
request before year-end and meet the deadline for tax
filing purposes.
0000001878.00.0.20.00001.BELLE18.20101209
Page 1 of 57
EFTA01538934
EFTA01538935
For the Period 11/1/10 to 11/30/10
Consolidated Summary
Asset Allocation
Equity
Cash & Short Term
Fixed Income
Convertibles
Options
Foreign Exchange Contracts
Other Assets
Market Value
Accruals
Market Value with Accruals
Beginning
Market Value
11,602,575.40
24,549,411.46
23,001,905.00
1,138,750.00
(1,894,168.63)
(319,503.40)
12,868,021.07
$70,946,990.90
291,264.05
$71,238,254.95
Ending
Market Value
11,621,600.00
25,025,844.07
22,077,754.60
405,600.00
(1,121,246.50)
(175,457.34)
10,297,180.66
$68,131,275.49
344,917.74
$68,476,193.23
Change
In Value
19,024.60
476,432.61
(924,150.40)
(733,150.00)
772,922.13
144,046.06
(2,570,840.41)
($2,815,715.41)
53,653.69
($2,762,061.72)
Estimated
EFTA01538936
729,070.00
280,008.03
1,457,374.83
Current
Annual Income Allocation
17%
35%
32%
1%
Convertibles
Other
Assets
Asset Allocation
Cash &
Short Term
15%
Equity
$2,466,452.86
100%
Fixed
Income
This Consolidated Summary shows all of your investments at J.P. Morgan other
than investments we hold in trust for you. These investments may be held in
custody or investment
management account at JPMorgan Chase Bank, N.A. (the "Bank") or in a
brokerage or margin account at J.P. Morgan Clearing Corp. ("JPMCC").
Brokerage and margin accounts are
non-discretionary and all investment decisions are made by the client. J.P.
Morgan Securities LLC ("JPMS") does not provide advice on asset allocation
or investment management
services, nor do its personnel take discretion over any client accounts.
Such advice and services are provided exclusively by the Bank.
Page 2 of 57
EFTA01538937
For the Period 11/1/10 to 11/30/10
Consolidated Summary
Portfolio Activity
Net Contributions/Withdrawals
Beginning Market Value
Income & Distributions
Change in Investment Value
Ending Market Value
Accruals
Market Value with Accruals
CONTINUED
Current
Period Value
70,946,990.90
(10,919.92)
(244,440.04)
(2,560,355.45)
$68,131,275.49
344,917.74
$68,476,193.23
Year-to-Date
Value
0.00
67,829,185.62
1,649,030.42
(1,346,940.55)
$68,131,275.49
344,917.74
$68,476,193.23
Page 3 of 57
EFTA01538938
For the Period 11/1/10 to 11/30/10
Consolidated Summary
Portfolio Activity
Total Value
Tax Summary
Total Value
Account
Number
W23560001
24200686
$1,649,030.42
'Unrealized Gain/Loss represents data from the time of account inception to
the current statement period.
Account
Number
W23560001
24200686
CONTINUED
Beginning
Market Value
0.00
0.00
$0.00
Taxable
Income
1,649,030.42
Net Contributions/
Withdrawals
62,453,929.62
5,375,256.00
$67,829,185.62
Tax-Exempt
Income
Other Income
& Receipts
Income &
Distributions
1,649,030.42
$1,649,030.42
Change in
Investment Value
(1,414,007.58)
67,067.03
($1,346,940.55 )
Realized Gain/Loss
Short-term
EFTA01538939
(2,690,024.55)
(210,381.16)
($2,900,405.71)
Long-term
Ending Market Value
with Accruals
63,033,870.20
5,442,323.03
$68,476,193.23
Unrealized
Gain/Loss,
179,589.65
411,750.00
$591,339.65
Page 4 of 57
EFTA01538940
EFTA01538941
JPMorgan Chase Bank, N.A.
270 Park Avenue, New York, NY 10017-2014
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Asset Account
J.P. Morgan Team
Paul Morris
Paul Barrett
Janet Young
William Doherty III
Banker
Investment Specialist
Client Service Team
Client Service Team
212-464-0701
(212) 622-2770
800/634-1318
Table of Contents
Account Summary
Holdings
Equity
Cash and Short Term
Fixed Income
Convertibles
Options
Foreign Exchange Contracts
Other Assets
Portfolio Activity
Online access
www.MorganOnline.com
For important information regarding your accounts refer to the rear of your
statement
Page
2
4
6
8
11
12
15
16
20
Account W23560001 Page 1 of 41
Page 5 of 57
EFTA01538942
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Account Summary
Asset Allocation
Equity
Cash & Short Term
Fixed Income
Convertibles
Options
Foreign Exchange Contracts
Other Assets
Market Value
Accruals
Market Value with Accruals
Beginning
Ending
Market Value
11,602,575.40
24,391,849.45
23,001,905.00
1,138,750.00
(1,753,318.63)
(319,503.40)
7,447,271.07
$65,509,528.89
291,264.05
$65,800,792.94
Market Value
11,621,600.00
24,995,271.04
22,077,754.60
405,600.00
(1,121,246.50)
(175,457.34)
4,885,430.66
$62,688,952.46
344,917.74
$63,033,870.20
Current
Portfolio Activity
Beginning Market Value
Contributions
Withdrawals & Fees
Securities Transferred Out
Net Contributions/Withdrawals
Income & Distributions
Change In Investment Value
Ending Market Value
Accruals
Market Value with Accruals
($10,919.92)
EFTA01538943
(244,440.04)
(2,565,216.47)
$62,688,952.46
344,917.74
$63,033,870.20
(10,919.92)
Period Value
65,509,528.89
Change
In Value
19,024.60
603,421.59
(924,150.40)
(733,150.00)
632,072.13
144,046.06
(2,561,840.41)
($2,820,576.43)
53,653.69
($2,766,922.74)
Year-to-Date
Value
0.00
76,555,833.97
(8,558,644.35)
(5,543,260.00)
$62,453,929.62
1,649,030.42
(1,414,007.58)
$62,688,952.46
344,917.74
$63,033,870.20
Account W23560001 Page 2 of 41
Page 6 of 57
Estimated
729,070.00
280,008.03
1,457,374.83
Current
Annual Income Allocation
18%
37%
34%
1%
1%
9%
$2,466,452 86
100%
Equity
Cash &
Short Term
EFTA01538944
Fixed
Income
Convertibles
Options
Other
Assets
Asset Allocation
EFTA01538945
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Account Summary
Tax Summary
Domestic Dividends/Distributions
Currency Gain/Loss
Interest Income
Ordinary Income
Original Issue Discount
Accrued Interest Current Year
Accrued Interest Subsequent Year
Taxable Income
CONTINUED
Current
Period Value
(377,877.33)
93,162.84
40,274.45
Year-to-Date
Value
27,800.00
31,520.32
2,135,107.87
47,770.75
40,274.45
(632,401.30)
(1,041.67)
($244,440.04)
$1,649,030.42
Unrealized Gain/Loss
To-Date Value
$179,589.65
ST Realized Gain/Loss
Realized Gain/Loss
Current
Period Value
300,885.98
$300,885.98
Year-to-Date
Value
(2,690,024.55)
($2,690,024.55)
Cost Summary
Equity
Cost
Cash & Short Term
Fixed Income
Convertibles
Other Assets
Total
11,082,529.00
EFTA01538946
24,702,045.49
22,136,956.00
400,000.00
5,650,165.00
$63,971,695.49
Account W23560001 Page 3 of 41
Page 7 of 57
EFTA01538947
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Equity Summary
Asset Categories
US Mid Cap/Small Cap
Preferred Stocks
Total Value
Market Value/Cost
Market Value
Tax Cost
Unrealized Gain/Loss
Estimated Annual Income
Yield
Beginning
Market Value
687,575.40
10,915,000.00
$11,602,575.40
Ending
Market Value
553,500.00
11,068,100.00
$11,621,600.00
Current
Period Value
11,621,600.00
11,082,529.00
539,071.00
729,070.00
6.27%
Preferred Stocks
Change
In Value
(134,075.40)
153,100.00
$19,024.60
Current
Allocation
1%
17%
18%
US Mid Cap/Small Cap
Asset Categories
Equity
Account W23560001 Page 4 of 41
Page 8 of 57
EFTA01538948
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Equity Detail
Estimated
Quantity
US Mid Cap/Small Cap
DBL LONG ETN38
25154H-55-8 DAG
Preferred Stocks
7 7/8% PFD
173080-20-1 C PNNA /BA1
3PM CHASE CAPITAL XXIX
6.7% PFD
48125E-20-7 3PM PC
Total Preferred Stocks
430,000.000
$11,068,100.00
$10,730,000.00
$338,100.00
$729,070.00
6.59%
400,000.000
25.70
10,280,000.00
9,980,000.00
300,000.00
670,000.00
6.52%
Price
Market
Value
Tax Cost
Adjusted
Original
Unrealized
Gain/Loss
Annual Income
Accrued
Dividends
Yield
50,000.000
11.07
553,500.00
352,529.00
200,971.00
30,000.000
26.27
788,100.00
750,000.00
EFTA01538949
38,100.00
59,070.00
7.50%
Account W23560001 Page 5 of 41
Page 9 of 57
EFTA01538950
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Cash & Short Term Summary
Beginning
Asset Categories
Cash
Short Term
Total Value
Market Value/Cost
Market Value
Tax Cost
Unrealized Gain/Loss
Estimated Annual Income
Accrued Interest
Market Value
9,079,349.45
15,312,500.00
$24,391,849.45
Ending
Market Value
9,661,771.04
15,333,500.00
$24,995,271.04
Current
Period Value
24,995,271.04
24,702,045.49
293,225.55
280,008.03
59,503.87
Short Term
6-12 months
15,333,500.00
Market
Value
SUMMARY BY TYPE
Short Term
Corporate Bonds
Market
Value
15,333,500.00
% of Bond
Portfolio
100%
Cash
Change
In Value
582,421.59
21,000.00
$603,421.59
EFTA01538951
Current
Allocation
15%
22%
37%
Asset Categories
Cash &
Short Term
Short Term
Account W23560001 Page 6 of 41
Page 10 of 57
EFTA01538952
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Note:
0 - Bonds purchased at a discount show accretion.
1
Cash & Short Term Detail
Quantity
Cash
CANADIAN DOLLAR
US DOLLAR
Total Cash
Short Term
FLOATING RATE NOTE JUN 15 2011
DTD 03/15/2007
345397-VF-7 B+ /BA2
0 JPM HARRAHS 14M CLN 09/20/11
INITIAL RATE 7.0% CPN
WHERE MAX RATE IS 7.0% PER ANNUM
DD 7/7/10
4662A0-2C-4 AA- /NR
Total Short Term
15,000,000.00
$15,333,500.00
$15,040,274.45
$15,000,000.00
$293,225.55
$277,109.50
$59,270.00
Account W23560001 Page 7 of 41
Page 11 of 57
0.00%
10,000,000.00
102.21
10,221,000.00
10,040,274.45
10,000,000.00
180,725.55
5,000,000.00
102.25
5,112,500.00
5,000,000.00
112,500.00
277,109.50
59,270.00
1.32%
0.01
9,661,771.03
0.97
1.00
0.01
EFTA01538953
9,661,771.03
$9,661,771.04
0.01
9,661,771.03
$9,661,771.04
$0.00
2,898.53
233.87
$2,898.53
$233.87
0.03%
0.03%
Price
Market
Value
Tax Cost
Adjusted
Original
Estimated
Unrealized
Gain/Loss
Annual Income
Accrued Interest
Yield
This is the Annual Percentage Yield (APY) which is the rate earned if
balances remain on deposit for a full year with compounding, there is no
change in the interest rate and all interest
is left in the account.
EFTA01538954
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Fixed Income Summary
Asset Categories
US Fixed Income - Taxable
Non-US Fixed Income
Total Value
Market Value/Cost
Market Value
Tax Cost
Unrealized Gain/Loss
Estimated Annual Income
Accrued Interest
Yield
Fixed Income
Less than 5 years,
5-10 years,
10+ years,
Total Value
1
Market
Value
8,814,682.00
9,787,500.00
3,475,572.60
$22,077,754.60
% of Bond
Portfolio
40%
44%
16%
100%
The years indicate the number of years until the bond is scheduled to mature
based on the statement end date. Some bonds may be called, or paid in full,
before their stated maturity.
Account W23560001 Page 8 of 41
Page 12 of 57
Beginning
Market Value
22,678,134.00
323,771.00
$23,001,905.00
Ending
Market Value
21,752,182.00
325,572.60
$22,077,754.60
Current
Period Value
22,077,754.60
EFTA01538955
22,136,956.00
(59,201.40)
1,457,374.83
285,413.87
6.12%
SUMMARY BY TYPE
Fixed Income
Corporate Bonds
International Bonds
Total Value
Market
Value
21,752,182.00
325,572.60
$22,077,754.60
% of Bond
Portfolio
99%
1%
100%
US Fixed Income
- Taxable
Change
In Value
(925,952.00)
1,801.60
($924,150.40)
Current
Allocation
33%
1%
34%
Non-US
Fixed Income
Asset Categories
Fixed
Income
EFTA01538956
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Fixed Income Detail
Quantity
US Fixed Income - Taxable
10% OCT 01 2014
DTD 10/01/2009
31430Q-BA-4 B- /B2
SR NOTES 7% APR 15 2015
DTD 04/09/2010
345397-VN-0 B+ /BA2
CIT GROUP INC
7% MAY 01 2016
DTD 11/04/2009
125581-FW-3 B+ /B3
CIT GROUP INC
7% MAY 01 2017
DTD 11/04/2009
125581-FX-1 B+ /B3
NOTES 8 3/8% JUL 15 2033
DTD 07/03/2003
IN DEFAULT
370442-BT-1 NR /WR
Total US Fixed Income - Taxable
28,200,000.000
$21,752,182.00
$21,818,956.00
($66,774.00)
$1,364,000.00
$195,671.80
Account W23560001 Page 9 of 41
Page 13 of 57
5.78%
10,000,000.000
31.50
3,150,000.00
3,800,000.00
(650,000.00)
5,000,000.000
97.50
4,875,000.00
4,612,500.00
262,500.00
350,000.00
78,750.00
7.49%
5,000,000.000
98.25
EFTA01538957
4,912,500.00
4,725,000.00
187,500.00
350,000.00
20,415.00
7.39%
5,200,000.000
105.69
5,495,932.00
5,523,956.00
(28,024.00)
364,000.00
46,508.80
5.52%
Price
Market
Value
Tax Cost
Adjusted
Original
Estimated
Unrealized
Gain/Loss
Annual Income
Accrued Interest
Yield
3,000,000.000
110.63
3,318,750.00
3,157,500.00
161,250.00
300,000.00
49,998.00
6.80%
EFTA01538958
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Quantity
Non-US Fixed Income
FLOATING RATE NOTE DEC 15 2035
DTD 11/01/2005 HELD BY EUROCLEAR
ISIN:ARARGEO3E147
SEDOL:B1MYWX3
EC0698-9B-7 ARS
Price
Market
Value
Tax Cost
Adjusted
Original
Estimated
Unrealized
Gain/Loss
Annual Income
Accrued Interest
Yield
10,000,000.000
3.26
325,572.60
318,000.00
7,572.60
93,374.83
89,742.07
28.96%
Account W23560001 Page 10 of 41
Page 14 of 57
EFTA01538959
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Convertibles Summary
Asset Categories
Convertibles - Fixed Income
Convertibles - Equity
Total Value
Market Value/Cost
Market Value
Tax Cost
Unrealized Gain/Loss
Convertibles Detail
Estimated
Quantity
Convertibles - Equity
CV PFD B
37045V-20-9 GM PB
Price
Market
Value
Tax Cost
Adjusted
Original
Unrealized
Gain/Loss
Annual Income
Accrued
Dividends
Yield
Beginning
Market Value
1,138,750.00
0.00
$1,138,750.00
Ending
Market Value
0.00
405,600.00
$405,600.00
Current
Period Value
405,600.00
400,000.00
5,600.00
Change
In Value
(1,138,750.00)
405,600.00
($733,150.00)
Current
EFTA01538960
Allocation
Convertibles
1%
1%
Asset Categories
8,000.000
50.70
405,600.00
400,000.00
5,600.00
Account W23560001 Page 11 of 41
Page 15 of 57
EFTA01538961
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Options Summary
Asset Categories
Foreign Exchange
Other
Total Value
Market Value/Cost
Market Value
Unrealized Gain/Loss
Beginning
Market Value
(1,609,712.33)
(143,606.30)
($1,753,318.63 )
Ending
Market Value
(1,197,720.04)
76,473.54
($1,121,246.50 )
Current
Period Value
(1,121,246.50)
(1,121,246.50)
Change
In Value
411,992.29
220,079.84
$632,072.13
Current
Allocation
Options
1%
1%
Asset Categories
Account W23560001 Page 12 of 41
Page 16 of 57
EFTA01538962
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Options Detail
Quantity
Foreign Exchange
3PY CALL USD PUT
MAY 11, 2011 @ 93.5
KNOCKED IN @ 81.50
XJPYCA-NE-Z
MAY 11, 2011 @ 93.5
XJPYPA-SQ-Z
Total Foreign Exchange
Other
DJUBCN3T CALL OPTION
USD PUT OPTION
STRIKE 76.5053
EXPIRES 12/21/2010
PART OF COLLAR REF 6018672
OTCEQC-ZX-F
DJUBCN3T PUT OPTION
USD CALL OPTION
STRIKE 70.0530
EXPIRES 12/21/2010
PART OF COLLAR REF 6018672
OTCEQP-ZX-F
2,500,000.000
0.01
13,078.59
125,750.00
(112,671.41)
(2,500,000.000 )
0.04
(103,116.37)
(125,750.00)
22,633.63
($1,197,720.04)
$0.00
($1,197,720.04)
935,000,000.000
35,823.77
470,000.00
(434,176.23)
Price
Market
Value
Premium
Unrealized
Gain/Loss
EFTA01538963
(935,000,000.000 )
0.13
(1,233,543.81)
(470,000.00)
(763,543.81)
Account W23560001 Page 13 of 41
Page 17 of 57
EFTA01538964
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Quantity
Other
WTI CALL OPTION
USD PUT OPTION
STRIKE 90.00
EXPIRES 12/15/2010
100,000 BARRELS
OTCBDC-GW-X
WTI CALL OPTION
USD PUT OPTION
STRIKE 100.00
EXPIRES 05/17/2011
100,000 BARRELS
OTCBDC-GW-Y
WTI PUT OPTION
USD CALL OPTION
STRIKE 65.50
EXPIRES 12/15/2010
100,000 BARRELS
OTCBDP-EX-K
WTI PUT OPTION
USD CALL OPTION
STRIKE 63.00
EXPIRES 05/17/2011
100,000 BARRELS
OTCBDP-EX-L
Total Other
$76,473.54
$0.00
$76,473.54
(10.000)
10,511.09
(105,110.85)
(450,000.00)
344,889.15
(10.000)
6.70
(67.04)
(400,000.00)
399,932.96
10.000
23,906.80
239,068.03
450,000.00
(210,931.97)
10.000
3,262.12
32,621.18
400,000.00
EFTA01538965
(367,378.82)
Price
Market
Value
Premium
Unrealized
Gain/Loss
Account W23560001 Page 14 of 41
Page 18 of 57
EFTA01538966
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Foreign Exchange Contracts Summary
Value
in Currency
INDIAN RUPEE
US DOLLAR
457,000,000.00
(9,987,979.45)
Foreign Exchange Contracts Detail
Market Value
Receivable
Trade Date
Speculative
INDIAN RUPEE
US DOLLAR
Currency
Settlement Date Counter Currency
Amount
Counter Amount
Contract
Rate
Current Market
Forward Rate
Market Value
Payable
Unrealized
Gain/Loss
Nov. 15 10
Feb. 18 11
INR
USD
457,000,000.00
(9,987,979.45)
45.755000
46.573143
9,812,522.11
9,987,979.45
(175,457.34)
Account W23560001 Page 15 of 41
Page 19 of 57
EFTA01538967
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Other Assets Summary
Asset Categories
Swaps
Structured Investments
Total Value
Market Value/Cost
Estimated Value
Tax Cost
Estimated Gain/Loss
Beginning
Estimated Value
793,808.41
6,653,462.66
$7,447,271.07
Ending
Estimated Value
(1,286,875.34)
6,172,306.00
$4,885,430.66
Current
Period Value
4,885,430.66
5,650,165.00
522,141.00
Change
In Value
(2,080,683.75)
(481,156.66)
($2,561,840.41 )
Current
Allocation
Other
Assets
9%
9%
Asset Categories
Account W23560001 Page 16 of 41
Page 20 of 57
EFTA01538968
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Other Assets Detail
Cost
Quantity
Swaps
4,775,970.00 USD NOTIONAL
MAT APR 29 2011 DEAL 5508960
N/O Client
SWPBDE-TJ-3
3,208,420 USD NOTIONAL
MAT APRIL 28 2011 DEAL 5499085
N/O Client
SWPBDE-WG-5
3,008,270.00 USD NOTIONAL
BP
MAT NOV 16 2011 DEAL 5958346
N/O Client
SWPBDG-UX-5
SX5E DIVIDEND SWAP
FIXED STRIKE EUR 112.10
NUMBER OF BASKET 89,206
MAT DEC 16 2011 DEAL 4444220
N/O Client
SWPBDE-PR-9 EUR
89,206.000
1.98
176,965.21
N/A
71,000.000
2.39
(169,969.07)
N/A
20,000.000
4.06
(81,116.46)
N/A
30,000.000
2.81
(84,290.50)
N/A
Price
Estimated
Value
Adjusted
Original
EFTA01538969
Estimated
Gain/Loss
Accruals
Account W23560001 Page 17 of 41
Page 21 of 57
EFTA01538970
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Cost
Quantity
Swaps
FIXED STRIKE EUR 113.30
NUMBER OF BASKET 88,261
MAT DEC 21 2012 DEAL 4444219
N/O Client
SWPBDE-PS-7 EUR
FIXED STRIKE EUR 100.00
NUMBER OF BASKET 50,000
MAT DEC 21 2012 DEAL 4458593
N/O Client
SWPBDE-WW-0 EUR
Total Swaps
Structured Investments
3PM CORN DLY LIQUIDITY NT 07/25/13
LNKD TO DJUBCN3T
07/22/10
48124A-WK-9
3PM MARKET PLUS PFE 04/24/12
75% CONTIN BARRIER-12.2%CPN
,UNCAPPED
INITIAL LEVEL-10/19/10 PFE: 17.39
48124A-T6-4
3,000,000.000
94.06
2,821,800.00
3,000,000.00
(178,200.00)
2,500,000.000
133.82
3,345,500.00
2,512,500.00
833,000.00
($1,286,875.34)
$0.00
$0.00
50,000.000
2.57
128,639.72
N/A
88,261.000
14.24
(1,257,104.24)
N/A
Price
Estimated
EFTA01538971
Value
Adjusted
Original
Estimated
Gain/Loss
Accruals
Account W23560001 Page 18 of 41
Page 22 of 57
EFTA01538972
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Cost
Quantity
Structured Investments
3PM PUT SPREAD WARRANT W ZO 12/03/10
STRIKE LEVEL -$6.00/BUSHEL, $27.50
INITIAL LEVEL -08/13/10 W ZO:734.25
48121C-32-0
Total Structured Investments
5,505,006.000
$6,172,306.00
$5,650,165.00
$522,141.00
5,006.000
100.00
5,006.00
137,665.00
(132,659.00)
Price
Estimated
Value
Adjusted
Original
Estimated
Gain/Loss
Accruals
Account W23560001 Page 19 of 41
Page 23 of 57
EFTA01538973
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Summary - U S Dollar
Beginning Cash Balance
Current
Transactions
INFLOWS
Income
Contributions
Foreign Exchange - Inflows
Total Inflows
OUTFLOWS
Withdrawals
Interest Purchased
Foreign Exchange - Outflows
Total Outflows
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
4,760,552.68
(3,810,515.00)
$950,037.68
$9,661,771.03
* Year to date information is calculated on a calendar year basis.
45,235,264.45
(104,423,168.25)
($59,187,903.80)
-(10,563,793.47)
($10,574,713.39)
10,121,816.16
$10,214,979.00
(10,919.92)
Period
Value
9,071,467.74
93,162.84
Year-To-Date
Value*
-1,530,506.57
76,555,833.96
71,222,766.52
$149,309,107.05
(8,558,644.35)
(1,041.67)
(71,899,746.20)
($80,459,432.22)
Current
Cost
Adjustments
EFTA01538974
Accretion
Total Cost Adjustments
Period Value
40,274.45
$40,274.45
Year-To-Date
Value*
40,274.45
$40,274.45
Account W23560001 Page 20 of 41
Page 24 of 57
EFTA01538975
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Detail - U S Dollar
Settlement
Date
11/1
Type
Interest Income
Description
DEPOSIT SWEEP INTEREST FOR OCT. @
.03% RATE ON NET AVG COLLECTED
BALANCE OF $11,024,183.53
AS OF 11/01/10
11/4
Misc. Disbursement
4,775,970.00 USD NOTIONAL
MAT APR 29 2011 DEAL 5508960
11/5
Spot FX
EXCHANGE RATE 1.411530000
DEAL 11/03/10 VALUE 11/05/10
11/8
Receipt of Assets
3,008,270.00 USD NOTIONAL
BP
MAT NOV 03 2011 DEAL 5955541
TRADE DATE 11/03/10
11/10
Forward FX Contract
CONTRACT RATE : 1.411500000
TRADE 11/03/10 VALUE 11/10/10
11/10
Corporate Interest
CIT GROUP INC
7% MAY 01 2016
DTD 11/04/2009
5,000,000.000
0.018
87,500.00
212,415.590
290,977.47
(299,824.60)
EFTA01538976
71,000.000
2,500.000
3,528.82
(3,528.82)
(10,919.92)
Quantity
Cost
Per Unit
Amount
Amount
280.90
Account W23560001 Page 21 of 41
Page 25 of 57
EFTA01538977
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Settlement
Date
11/16
11/22
Type
Accrued Interest Received
Forward FX Contract
Description
AMR CORP
CV 6 1/4% OCT 15 2014
DTD 09/28/2009
CONTRACT RATE : 44.540000000
TRADE 10/18/10 VALUE 11/22/10
11/22
Forward FX Contract
CONTRACT RATE : 45.150000000
TRADE 11/15/10 VALUE 11/22/10
Total Inflows & Outflows
($359,734.39)
(457,000,000.000 )
(10,063,862.58)
10,121,816.16
457,000,000.000
10,063,862.58
(10,260,440.05)
Quantity
Cost
Per Unit
Amount
1,000,000.000
0.005
Amount
5,381.94
Account W23560001 Page 22 of 41
Page 26 of 57
EFTA01538978
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
TRADE ACTIVITY
Note:
S
Trade
Date
10/27
Settlement
Date
11/2
indicates Short Term Realized Gain/Loss
Settled transaction was initiated in prior statement period and settled in
current statement period
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 16.75
50,250.00
BROKERAGE
TAX &/OR SEC
10/27
11/2
Sale
PROLOGIS
@ 13.08672
BROKERAGE
TAX &/OR SEC
10/28
11/2
Sale
150.00
.85
TRADE DATE 10/27/10
(30,000.000)
392,601.60
1,500.00
6.64
TRADE DATE 10/27/10
@ 10.84266
48,791.97
BROKERAGE
TAX &/OR SEC
10/29
11/3
EFTA01538979
Sale
225.00
.83
TRADE DATE 10/28/10
@ 24.16175
BROKERAGE
TAX &/OR SEC
(4,899.000)
118,368.41
244.95
2.01
TRADE DATE 10/29/10
24.111
118,121.45
(97,980.00)
20,141.45 S*
(4,500.000)
10.792
48,566.14
(45,000.00)
3,566.14 S*
13.036
391,094.96
(369,000.00)
22,094.96 S*
Quantity
(3,000.000)
Per Unit
Amount
16.70
Proceeds
50,099.15
Tax Cost
(48,000.00)
Realized
Gain/Loss
2,099.15 S*
Account W23560001 Page 23 of 41
Page 27 of 57
EFTA01538980
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
11/2
Settlement
Date
11/5
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 1.16
BROKERAGE
TAX &/OR SEC
11/3
11/8
Sale
Quantity
(40,020.000)
46,423.20
800.40
.79
TRADE DATE 11/02/10
@ 36.08701
BROKERAGE
TAX &/OR SEC
11/3
11/8
Sale
HCP, INC
@ 35.67525
BROKERAGE
TAX &/OR SEC
11/3
11/10
Sale
35,675.25
100.00
.61
TRADE DATE 11/03/10
@ 24.638
36,957.00
BROKERAGE
TAX &/OR SEC
11/5
EFTA01538981
11/10
Sale
100.00
.63
TRADE DATE 11/03/10
@ 32.2795
BROKERAGE
TAX &/OR SEC
(3,000.000)
96,838.50
150.00
1.64
TRADE DATE 11/05/10
Account W23560001 Page 24 of 41
Page 28 of 57
32.229
96,686.86
(66,000.00)
30,686.86 S
(1,500.000)
24.571
36,856.37
(30,000.00)
6,856.37 S
126,304.54
175.00
2.14
TRADE DATE 11/03/10
(1,000.000)
35.575
35,574.64
(35,250.00)
324.64 S
(3,500.000)
36.036
126,127.40
(119,875.00)
6,252.40 S
Per Unit
Amount
1.14
Proceeds
45,622.01
Tax Cost
(40,020.00)
Realized
Gain/Loss
EFTA01538982
5,602.01 S
EFTA01538983
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
11/5
Settlement
Date
11/10
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 25.57241
BROKERAGE
TAX &/OR SEC
11/10
11/16
Sale
AMR CORP
CV 6 1/4% OCT 15 2014
DTD 09/28/2009
@ 120.25
TRADE DATE 11/10/10
11/10
11/16
Sale
@ 17.31033
51,930.99
BROKERAGE
TAX &/OR SEC
11/11
11/16
Sale
150.00
.88
TRADE DATE 11/10/10
@ 60.15
210,525.00
BROKERAGE
TAX &/OR SEC
175.00
3.56
TRADE DATE 11/11/10
(3,500.000)
EFTA01538984
60.099
210,346.44
(210,420.00)
(73.56) S
(3,000.000)
17.26
51,780.11
(52,500.00)
(719.89) S
Quantity
(3,000.000)
76,717.23
150.00
1.30
TRADE DATE 11/05/10
(1,000,000.000 )
120.30
1,202,500.00
(1,001,250.00)
201,250.00 S
Per Unit
Amount
25.522
Proceeds
76,565.93
Tax Cost
(76,620.00)
Realized
Gain/Loss
(54.07) S
Account W23560001 Page 25 of 41
Page 29 of 57
EFTA01538985
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
11/11
Settlement
Date
11/16
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 9.90193
54,460.62
BROKERAGE
TAX &/OR SEC
11/10
11/17
Sale
275.00
.93
TRADE DATE 11/11/10
@ 15.95225
31,904.50
BROKERAGE
TAX &/OR SEC
11/11
11/17
Sale
100.00
.54
TRADE DATE 11/10/10
@ 17.96028
62,860.98
BROKERAGE
TAX &/OR SEC
11/11
11/17
Sale
@ 30.208
BROKERAGE
TAX &/OR SEC
11/11
11/17
Sale
EFTA01538986
175.00
1.07
TRADE DATE 11/11/10
(7,000.000)
211,456.00
350.00
3.58
TRADE DATE 11/11/10
@ 50.22731
BROKERAGE
TAX &/OR SEC
100,454.62
100.00
1.70
TRADE DATE 11/11/10
Account W23560001 Page 26 of 41
Page 30 of 57
(2,000.000)
50.176
100,352.92
(99,500.00)
852.92 S
30.157
211,102.42
(208,250.00)
2,852.42 S
(3,500.000)
17.91
62,684.91
(56,875.00)
5,809.91 S
(2,000.000)
15.902
31,803.96
(24,000.00)
7,803.96 S
Quantity
(5,500.000)
Per Unit
Amount
9.852
Proceeds
54,184.69
Tax Cost
(56,375.00)
Realized
Gain/Loss
EFTA01538987
(2,190.31) S
EFTA01538988
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
11/12
Settlement
Date
11/17
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 24.746
49,492.00
BROKERAGE
TAX &/OR SEC
11/12
11/17
Sale
SWIFT ENERGY CO
@ 36.4815
BROKERAGE
TAX &/OR SEC
11/16
11/19
Sale
100.00
.84
TRADE DATE 11/12/10
(2,000.000)
72,963.00
100.00
1.24
TRADE DATE 11/12/10
@ 61.6805
123,361.00
BROKERAGE
TAX &/OR SEC
11/16
11/19
Sale
100.00
2.09
TRADE DATE 11/16/10
EFTA01538989
@ 46.50
116,250.00
BROKERAGE
TAX &/OR SEC
125.00
1.97
TRADE DATE 11/16/10
(2,500.000)
46.449
116,123.03
(121,250.00)
(5,126.97) S
(2,000.000)
61.629
123,258.91
(125,200.00)
(1,941.09) S
36.431
72,861.76
(73,200.00)
(338.24) S
Quantity
(2,000.000)
Per Unit
Amount
24.696
Proceeds
49,391.16
Tax Cost
(48,200.00)
Realized
Gain/Loss
1,191.16 S
Account W23560001 Page 27 of 41
Page 31 of 57
EFTA01538990
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
11/18
Settlement
Date
11/24
Type
Settled Sales/Maturities/Redemptions
Sale
Description
@ 34.00
BROKERAGE
TAX &/OR SEC
11/22
11/26
Sale
Quantity
(40,000.000)
1,360,000.00
2,000.00
22.99
TRADE DATE 11/18/10
@ 13.3235
BROKERAGE
TAX &/OR SEC
11/22
11/26
Sale
(2,000.000)
26,647.00
100.00
.46
TRADE DATE 11/22/10
@ 32.2125
64,425.00
BROKERAGE
TAX &/OR SEC
Total Settled Sales/Maturities/Redemptions
Trade
Date
Settlement
Date
11/1
Type
EFTA01538991
Settled Securities Purchased
10/26
Purchase
Description
@ 16.00
TRADE DATE 10/26/10
Account W23560001 Page 28 of 41
Page 32 of 57
Quantity
3,000.000
Per Unit
Amount
16.00
100.00
1.09
TRADE DATE 11/22/10
$4,760,552.68
($4,411,765.00)
$348,787.68 S
(2,000.000)
32.162
64,323.91
(60,000.00)
4,323.91 S
13.273
26,546.54
(27,000.00)
(453.46) S
Per Unit
Amount
33.949
Proceeds
1,357,977.01
Tax Cost
(1,320,000.00)
Realized
Gain/Loss
37,977.01 S
Market Cost
(48,000.00) *
EFTA01538992
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
Settlement
Date
11/1
Type
Settled Securities Purchased
10/26
Purchase
Description
PROLOGIS
@ 12.30
TRADE DATE 10/26/10
10/27
11/2
Purchase
@ 10.00
TRADE DATE 10/27/10
10/28
11/2
Purchase
@ 1.00
TRADE DATE 10/28/10
10/28
11/2
Purchase
@ 20.00
TRADE DATE 10/28/10
11/2
11/5
Purchase
@ 34.25
TRADE DATE 11/02/10
11/3
11/8
Purchase
HCP, INC
@ 35.25
TRADE DATE 11/03/10
EFTA01538993
11/3
11/9
Purchase
@ 20.00
TRADE DATE 11/03/10
Account W23560001 Page 29 of 41
Page 33 of 57
1,500.000
20.00
(30,000.00)
1,000.000
35.25
(35,250.00)
3,500.000
34.25
(119,875.00)
4,899.000
20.00
(97,980.00) *
40,020.000
1.00
(40,020.00) *
4,500.000
10.00
(45,000.00) *
Quantity
30,000.000
Per Unit
Amount
12.30
Market Cost
(369,000.00) *
EFTA01538994
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
Settlement
Date
11/10
Type
Settled Securities Purchased
11/4
Purchase
Description
@ 22.00
TRADE DATE 11/04/10
11/4
11/10
Purchase
@ 25.54
TRADE DATE 11/04/10
11/9
11/15
Purchase
@ 10.25
TRADE DATE 11/09/10
11/10
11/15
Purchase
@ 60.12
TRADE DATE 11/10/10
11/9
11/15
Purchase
@ 17.50
TRADE DATE 11/09/10
11/9
11/16
Purchase
@ 12.00
EFTA01538995
TRADE DATE 11/09/10
2,000.000
12.00
(24,000.00)
3,000.000
17.50
(52,500.00)
3,500.000
60.12
(210,420.00)
5,500.000
10.25
(56,375.00)
3,000.000
25.54
(76,620.00)
Quantity
3,000.000
Per Unit
Amount
22.00
Market Cost
(66,000.00)
Account W23560001 Page 30 of 41
Page 34 of 57
EFTA01538996
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
Settlement
Date
11/17
Type
Settled Securities Purchased
11/10
Purchase
Description
@ 16.25
TRADE DATE 11/10/10
11/10
11/17
Purchase
@ 29.75
TRADE DATE 11/10/10
11/10
11/17
Purchase
@ 49.75
TRADE DATE 11/10/10
11/12
11/17
Purchase
@ 24.10
TRADE DATE 11/12/10
11/11
11/17
Purchase
SWIFT ENERGY CO
@ 36.60
TRADE DATE 11/11/10
11/16
11/19
Purchase
@ 62.60
EFTA01538997
TRADE DATE 11/16/10
2,000.000
62.60
(125,200.00)
2,000.000
36.60
(73,200.00)
2,000.000
24.10
(48,200.00)
2,000.000
49.75
(99,500.00)
7,000.000
29.75
(208,250.00)
Quantity
3,500.000
Per Unit
Amount
16.25
Market Cost
(56,875.00)
Account W23560001 Page 31 of 41
Page 35 of 57
EFTA01538998
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Trade
Date
Settlement
Date
11/19
Type
Settled Securities Purchased
11/16
Purchase
Description
@ 48.50
TRADE DATE 11/16/10
11/18
11/23
Purchase
CV PFD B
@ 50.00
TRADE DATE 11/18/10
11/18
11/23
Purchase
@ 30.00
TRADE DATE 11/18/10
11/18
11/24
Purchase
@ 33.00
TRADE DATE 11/18/10
11/19
11/24
Purchase
@ 13.50
TRADE DATE 11/19/10
Total Settled Securities Purchased
($3,810,515.00)
2,000.000
13.50
(27,000.00)
40,000.000
EFTA01538999
33.00
(1,320,000.00)
2,000.000
30.00
(60,000.00)
8,000.000
50.00
(400,000.00)
Quantity
2,500.000
Per Unit
Amount
48.50
Market Cost
(121,250.00)
Account W23560001 Page 32 of 41
Page 36 of 57
EFTA01539000
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Settlement
Date
11/30
Type
Orig. Issue Discount
Description
JPM HARRAHS 14M CLN 09/20/11
INITIAL RATE 7.0% CPN
WHERE MAX RATE IS 7.0% PER ANNUM
DD 7/7/10
Quantity
10,000,000.000
Cost Basis
Adjustments
40,274.45
Account W23560001 Page 33 of 41
Page 37 of 57
EFTA01539001
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Summary - Euro
Beginning Cash Balance
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS
Total Outflows
Period Value
-7,143,755.77
$7,143,755.77
Foreign
Exchange - Outflows
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
* Year to date information is calculated on a calendar year basis.
(3,503.50)
($3,503.50)
-(456,060.36)
80,824.48
($375,235.88)
-(2,500.00)
(2,500.00)
0.00
(350,750.00)
63,000.00
(287,750.00)
-(7,140,226.95)
($7,140,226.95)
US
Dollar Value
Local Value
Year-To-Date
Value*
-7,836,059.69
$7,836,059.69
(7,462,082.95)
($7,462,082.95)
Current
Period
Value
0.00
5,214,915.59
5,214,915.59
(5,212,415.59)
EFTA01539002
(5,212,415.59)
Year-To-Date
Value*
-5,760,165.59
5,760,165.59
(5,472,415.59)
(5,472,415.59)
Account
W23560001 Page 34 of 41
Page 38 of 57
EFTA01539003
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Detail - Euro
Settlement
Date
11/5
Type
Spot FX
Description
EXCHANGE RATE 1.411530000
DEAL 11/03/10 VALUE 11/05/10
11/10
Forward FX Contract
CONTRACT RATE : 283.300000000
TRADE 8/06/10 VALUE 11/10/10
11/10
Forward FX Contract
CONTRACT RATE : 271.755000000
TRADE 11/03/10 VALUE 11/10/10
11/10
Forward FX Contract
CONTRACT RATE : 1.411500000
TRADE 11/03/10 VALUE 11/10/10
Total Inflows & Outflows
$3,528.82
$335,792.42
(299,824.600)
290,977.47
212,415.59
(8,847.13)
1,416,500,000.000
(7,140,226.95)
(5,212,415.59)
141,140.17
(1,416,500,000.000 )
6,849,249.48
5,000,000.00
203,499.38
Quantity
(3,528.820)
Per Unit
Amount USD
EFTA01539004
Local Value
Amount USD
Local Value
3,528.82
2,500.00
Currency
Gain/Loss USD
Account W23560001 Page 35 of 41
Page 39 of 57
EFTA01539005
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
TRADE ACTIVITY - Euro
Note:
Trade
Date
11/3
Settlement
Date
11/5
C indicates Currency Gain/Loss
Per Unit
Type
Settled Sales/Maturities/Redemptions
Option Buyback
Description
NOV 10, 2010 @ 297.5
TRADE DATE 11/03/10
Quantity
1,487,500,000.000
Amount USD
Local Value
Proceeds USD
Local Value
(3,503.50)
(2,500.00)
Tax Cost USD
Realized
Local Value Gain/Loss USD
64,099.98
50,000.00
60,596.48 C
Per Unit
Market
Trade
Date
11/3
Settlement
Date
11/5
Type
Settled Securities Purchased
Sale
Description
NOV 10, 2010 @ 297.5
EFTA01539006
TRADE DATE 11/03/10
Quantity
(2,500.000)
Amount USD
Local Value
Cost USD
Local Value
Currency
Gain/Loss USD
(25.32)
Account W23560001 Page 36 of 41
Page 40 of 57
EFTA01539007
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Summary - Hungarian Forint
Beginning Cash Balance
US Dollar Value
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS
Total Outflows
Period Value
-7,075,268.83
$7,075,268.83
Foreign
Exchange - Outflows
Ending Cash Balance
* Year to date information is calculated on a calendar year basis.
Portfolio Activity Detail - Hungarian Forint
Settlement
Date
11/10
Type
Forward FX Contract
Description
CONTRACT RATE : 283 300000000
TRADE 8/06/10 VALUE 11/10/10
Quantity
5,000,000.000
(7,075,268.83)
($7,075,268.83)
-Year-To-Date
Value*
-7,075,268.83
$7,075,268.83
(7,075,268.83)
($7,075,268.83)
-Local
Value
Current
Period Value
0.00
1,416,500,000.00
1,416,500,000.00
(1,416,500,000.00 )
(1,416,500,000.00 )
0.00
EFTA01539008
Year-To-Date
Value*
-1,416,500,000.00
1,416,500,000.00
(1,416,500,000.00
)
(1,416,500,000.00 )
-Per
Unit
Amount USD
Local Value
Amount USD
Local Value
(7,075,268.83)
(1,416,500,000.00 )
Currency
Gain/Loss USD
(429,518.73)
Account W23560001 Page 37 of 41
Page 41 of 57
EFTA01539009
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Per Unit
Settlement
Date
11/10
Type
Forward FX Contract
Description
CONTRACT RATE : 271.755000000
TRADE 11/03/10 VALUE 11/10/10
Total Inflows & Outflows
$0.00
($635,617.02)
Quantity
(5,212,415.590 )
Amount USD
Local Value
Amount USD
Local Value
7,075,268.83
1,416,500,000.00
Currency
Gain/Loss USD
(206,098.29)
Account W23560001 Page 38 of 41
Page 42 of 57
EFTA01539010
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Portfolio Activity Summary - Indian Rupee
Beginning Cash Balance
US Dollar Value
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS
Total Outflows
Period Value
-10,063,862.58
$10,063,862.58
Foreign
Exchange - Outflows
Ending Cash Balance
* Year to date information is calculated on a calendar year basis.
Portfolio Activity Detail - Indian Rupee
Settlement
Date
11/22
Type
Forward FX Contract
Description
CONTRACT RATE : 44.540000000
TRADE 10/18/10 VALUE 11/22/10
Quantity
(10,260,440.050 )
(10,063,862.58)
($10,063,862.58)
-Year-To-Date
Value*
-40,118,445.74
$40,118,445.74
(40,063,779.27)
($40,063,779.27)
-Local
Value
Current
Period Value
0.00
457,000,000.00
457,000,000.00
(457,000,000.00)
(457,000,000.00)
0.00
EFTA01539011
Year-To-Date
Value*
-1,817,500,000.00
1,817,500,000.00
(1,817,500,000.00
)
(1,817,500,000.00 )
-Per
Unit
Amount USD
Local Value
Amount USD
Local Value
10,063,862.58
457,000,000.00
Currency
Gain/Loss USD
(196,577.47)
Account W23560001 Page 39 of 41
Page 43 of 57
EFTA01539012
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Per Unit
Settlement
Date
11/22
Type
Forward FX Contract
Description
CONTRACT RATE : 45.150000000
TRADE 11/15/10 VALUE 11/22/10
Total Inflows & Outflows
$0.00
($138,623.89)
Quantity
10,121,816.160
Amount USD
Local Value
Amount USD
Local Value
(10,063,862.58)
(457,000,000.00)
Currency
Gain/Loss USD
57,953.58
Account W23560001 Page 40 of 41
Page 44 of 57
EFTA01539013
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 11/1/10 to 11/30/10
Settled Foreign Exchange Contracts
Currency
Trade Date
Settle Date Counter Currency
Trade Related
EURO
U S DOLLAR
Speculative
EURO
EURO
EURO
U S DOLLAR
INDIAN RUPEE
U S DOLLAR
INDIAN RUPEE
U S DOLLAR
Nov. 3 10
Nov. 5 10
EUR
USD
Amount
Counter Amount Contract Rate Revaluation Rate
2,500.00
(3,528.82)
1.411530
1.411530
Contracted Base
Amount USD
(3,528.82)
Revalued
Amount USD
3,528.82
Currency G/L
Aug.
Nov.
EUR
6 10
10 10
Nov. 3 10
Nov. 10 10
Nov. 3 10
Nov. 10 10
Oct. 18 10
Nov. 22 10
Nov. 15 10
Nov. 22 10
EUR
EUR
USD
EFTA01539014
USD
USD
5,000,000.00
HUF (1,416,500,000.00 )
(5,212,415.59)
HUF 1,416,500,000.00
212,415.59
(299,824.60)
INR
457,000,000.00
(10,260,440.05)
INR (457,000,000.00)
10,121,816.16
44.540000
45.150000
45.410000
45.410000
(10,260,440.05)
10,121,816.16
10,063,862.58
(10,063,862.58)
(196,577.47)
57,953.58
283.300000
271.755000
1.411500
292.648657
269.282713
1.369850
(7,075,268.83)
7,075,268.83
(299,824.60)
6,849,249.48
(7,140,226.95)
290,977.47
(226,019.35)
(64,958.12)
(8,847.13)
Account W23560001 Page 41 of 41
Page 45 of 57
EFTA01539015
EFTA01539016
J.P. Morgan Securities LLC
383 Madison Avenue, New York, NY 10179
ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Margin Account
J.P. Morgan Team
Paul Morris
Paul Barrett
Janet Young
William Doherty III
Online access
Banker
Investment Specialist
Client Service Team
Client Service Team
www.MorganOnline.com
Transactions cleared and carried through J.P. Morgan Clearing Corp. - One
Metrotech Center North, Brooklyn, NY 11201-3859,
(347) 643-2578
For important information regarding your accounts refer to the rear of your
statement
212-464-0701
(212) 622-2770
800/634-1318
Table of Contents
Account Summary
Holdings
Cash and Short Term
Options
Other Assets
Portfolio Activity
4
5
6
7
Page
2
Account 24200686 Page 1 of 9
Page 46 of 57
EFTA01539017
Account Summary
MARGIN
Cash
Asset Allocation
Cash & Short Term
Options
Other Assets
Market Value
Market Value
0.00
0.00
0.00
$0.00
Margin
Market Value
30,573.03
0.00
5,411,750.00
$5,442,323.03
Current
Portfolio Activity
Beginning Market Value
Contributions
Withdrawals & Fees
Securities Transferred In
Net Contributions/Withdrawals
Change In Investment Value
Ending Market Value
$0.00
4,861.02
$5,442,323.03
Period Value
5,437,462.01
Short
Market Value
0.00
0.00
0.00
$0.00
Year-to-Date
Value
0.00
274,012.00
(137,006.00)
5,238,250.00
$5,375,256.00
67,067.03
$5,442,323.03
Total
30,573.03
EFTA01539018
0.00
Estimated
Current
Market Value Annual Income Allocation
1%
Cash &
Short Term
5,411,750.00
$5,442,323.03
99%
$0.00
100%
Asset Allocation - Margin
ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Other
Assets
Account 24200686 Page 2 of 9
Page 47 of 57
EFTA01539019
Account Summary
CONTINUED
Current
Tax Summary
ST Realized Gain/Loss
Realized Gain/Loss
Period Value
(126,988.98)
($126,988.98)
Year-to-Date
Value
(210,381.16)
($210,381.16)
ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Unrealized Gain/Loss
To-Date Value
$411,750.00
Cost Summary
Cash & Short Term
Other Assets
5,000,000.00
Cost
30,573.03
Total
$5,030,573.03
Investment Objectives
Speculation Permitted
Capital Appreciation
Yes
Yes
Account 24200686 Page 3 of 9
Page 48 of 57
EFTA01539020
Cash & Short Term Summary
Beginning
Asset Categories
Cash
Market Value
157,562.01
ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Ending
Market Value
30,573.03
Change
In Value
(126,988.98)
Current
Allocation
1%
Asset Categories
Cash &
Short Term
Current
Market Value/Cost
Market Value
Tax Cost
Cash & Short Term Detail
Quantity
Account
Cash
US DOLLAR
30,573.03
Margin
1.00
30,573.03
30,573.03
Price
Market
Value
Tax Cost
Adjusted
Original
Estimated
Unrealized
Gain/Loss
Annual Income
Accrued Interest
Yield
Period Value
30,573.03
30,573.03
Account 24200686 Page 4 of 9
EFTA01539021
Page 49 of 57
EFTA01539022
Options Summary
Asset Categories
Equity
Beginning
Market Value
(140,850.00)
Ending
Market Value
0.00
Change
In Value
140,850.00
Current
Allocation
ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Account 24200686 Page 5 of 9
Page 50 of 57
EFTA01539023
FINANCIAL TRUST COMPANY INC ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Other Assets Summary
Asset Categories
Structured Investments
Beginning
Estimated Value
5,420,750.00
Ending
Estimated Value
5,411,750.00
Change
In Value
(9,000.00)
Current
Allocation
99%
Asset Categories
Other
Assets
Current
Market Value/Cost
Estimated Value
Tax Cost
Estimated Gain/Loss
Other Assets Detail
Cost
Quantity
Account
Structured Investments
MS MARKET PLUS SPX 01/27/12
(70% CONTIN BARRIER-6.5%CPN
,UNCAPPED)
INITIAL LEVEL-07/14/10 SPX:1094.91
617482-MQ-4
Price
Estimated
Value
Adjusted
Original
Estimated
Gain/Loss
Accruals
Period Value
5,411,750.00
5,000,000.00
411,750.00
5,000,000.000
Margin
108.24
5,411,750.00
EFTA01539024
5,000,000.00
411,750.00
Account 24200686 Page 6 of 9
Page 51 of 57
EFTA01539025
FINANCIAL TRUST COMPANY INC ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Portfolio Activity Summary
Beginning Cash Balance
Transactions
INFLOWS
Total Inflows
Contributions
$0.00
OUTFLOWS
Total Outflows
Withdrawals
$0.00
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
10,524,872.04
(10,651,861.02)
($126,988.98)
$30,573.03
* Year to date information is calculated on a calendar year basis.
12,503,667.83
(12,610,100.80)
($106,432.97)
-Current
Period
Value
157,562.01
Year-To-Date
Value*
-274,012.00
$274,012.00
(137,006.00)
($137,006.00)
Current
Cost
Adjustments
Cost Adjustments
Total Cost Adjustments
Period Value
$0.00
Year-To-Date
Value*
5,000,000.00
$5,000,000.00
Account 24200686 Page 7 of 9
Page 52 of 57
EFTA01539026
FINANCIAL TRUST COMPANY INC ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Portfolio Activity Detail
TRADE ACTIVITY
Note:
Trade
Date
11/19
S indicates Short Term Realized Gain/Loss
Settlement
Date
11/24
Type
Settled Sales/Maturities/Redemptions
Sale
Description
SPDR S&P 500 ETF TRUST
A/E 8J27993 ASSIGNED 450 CALL
AS OF 11/24/10
11/19
11/26
Sale
SPDR S&P 500 ETF TRUST
A/E 8J27993 ASSIGNED 450 CALL
AS OF 11/24/10
Total Settled Sales/Maturities/Redemptions
Trade
Date
Settlement
Date
11/24
Type
Settled Securities Purchased
11/19
Purchase
Description
SPDR S&P 500 ETF TRUST
A/E 8J27993 ASSIGNED 450 CALL
CANCEL SALE
AS OF 11/24/10
Quantity
45,000.000
Per Unit
Amount
116.938
$10,524,872.04
($10,651,861.02)
($126,988.98) S
EFTA01539027
Market Cost
(5,262,211.02)
Tax Cost
5,262,211.02
Realized
Gain/Loss
(45,000.000)
116.938
5,262,211.02
(5,389,650.00)
(127,438.98) S
Quantity
(45,000.000)
Per Unit
Amount
116.948
Proceeds
5,262,661.02
Tax Cost
(5,262,211.02)
Realized
Gain/Loss
450.00 S
Account 24200686 Page 8 of 9
Page 53 of 57
EFTA01539028
FINANCIAL TRUST COMPANY INC ACCT. 24200686
For the Period 11/1/10 to 11/30/10
Trade
Date
Settlement
Date
11/26
Type
Settled Securities Purchased
11/22
Purchase
Total Settled Securities Purchased
Description
SPDR S&P 500 ETF TRUST
AS OF 11/26/10
($10,651,861.02)
$10,651,861.02
$0.00
Quantity
45,000.000
Per Unit
Amount
119.77
Market Cost
(5,389,650.00)
Tax Cost
5,389,650.00
Realized
Gain/Loss
Account 24200686 Page 9 of 9
Page 54 of 57
EFTA01539029
EFTA01539030
For the Period 11/1/10 to 11/30/10
In Case of Errors or Questions About Your Electronic Transfers.
Contact your J.P. Morgan Team at one of the telephone numbers on the front
of your statements or write us at 500 Stanton Christiana Road, 1/OPS,
Newark, DE 19713-2107 as soon as you can, if you
think your statement is wrong or if you need more information about a
transfer on the statement. We must hear from you no later than 60 days after
we sent you the FIRST statement on which the error
or problem appeared. (1) Tell us your name and account number. (2) Describe
the error or the transfer you are unsure about, and explain as clearly as
you can why you believe it is in error or why you
need more information. (3) tell us the dollar amount of the suspected error.
If you contact us orally, you must send us your complaint or question in
writing within 10 business days in order to preserve
your rights. We will investigate your complaint and will correct any error
promptly. If we take more than 10 business days to do this (20 days for
purchases using your debit card or for international
transactions), we will credit your account for the amount you think is in
error, so that you will have the use of money during the time it takes us to
complete our investigation.
In case of errors or questions about your statement, including your line of
credit.
If you think that your statement is incorrect or if you need more
information about a transaction on your statement including a line of credit
transaction, you must write to us on a separate sheet describing
the error and send it to: J.P. Morgan's Private Bank, 500 Stanton Christiana
Road, 1/OPS3, Newark, DE 19713-2107. We must hear from you no later than 60
days after the statement on which the
error or problem appeared is sent. You can contact your client service
specialist but doing so will not preserve your rights.
Please review your account statement and promptly report any inaccuracy or
discrepancy including possible unauthorized trading activity, unrecorded
dividend payments, and unaccounted cash
positions in writing to both the introducing broker, JPMS and the clearing
firm, JPMCC at the addresses shown on your statement. Any oral communication
should be re-confirmed in writing to further
protect your rights, including your rights under the Securities Investor
Protection Act (SIPA). If you have any questions please contact your JPMS
Account Representative or JPMS Compliance
Department at (212) 483-2323.
In your letter, please provide the following information: (1) your name and
account number; (2) the dollar amount of the suspected error; and (3) a
description of the error and explanation, if you can, why
you believe there is an error. If you need more information, you must
describe the item you are unsure about.
Important Information about Pricing and Valuations
Certain assets including but not limited to, pooled private investments, non-
publicly traded and infrequently traded securities, derivatives, partnership
interests and tangible assets are generally illiquid,
the value of which may have been provided to us by third parties who may not
be independent of the issuer or manager. Such information is reflected as of
EFTA01539031
the last date provided to us, and is not
independently verified.
Prices, some of which are provided by pricing services or other sources
which we deem reliable, are not guaranteed for accuracy or as realizable
values.
Market value information (including without limitation, prices, exchange
rates, accrued income and bond ratings) furnished herein has been obtained
from sources that J.P. Morgan believes to be
reliable and is furnished for the exclusive use of the client.
J.P. Morgan makes no representation, warranty or guarantee, express or
implied, that any quoted value represents the actual terms at which
transactions or securities could be bought or sold or new
transactions could be entered into, or the actual terms on which existing
transactions or securities could be liquidated.
The current price is the value of the financial asset share, unit or
contract as priced at the close of the market on the last day of the
statement period or the last available price.
All values provided for structured yield deposits (for example, JPMorgan
London Time Deposits) reflect the original deposit amount only.
The current value for Real Estate, Mineral Interests and Miscellaneous
Assets may not reflect the most current value of the asset.
Page 55 of 57
EFTA01539032
For the Period 11/1/10 to 11/30/10
Valuations of over-the-counter derivative transactions, including certain
derivatives-related deposit products, have been prepared on a mid-market
basis. These valuations are indicative values as of the
close of business of the date of this statement and, except as otherwise
agreed in writing, these valuations do not represent the actual terms at
which transactions or securities could be bought or sold or
new transactions could be entered into, or the actual terms on which
existing transactions or securities could be liquidated as of the date of
this statement. We do not warrant their completeness or
accuracy. These valuations are derived from proprietary models based upon
well-recognized financial principles and we have, when necessary to
calculate the present value of future cash flows, made
reasonable estimates about relevant future market conditions. Valuations
based on other models or different assumptions may yield different results.
J.P. Morgan expressly disclaims any responsibility
for (1) the accuracy of the models or estimates used in deriving the
valuations, (2) any errors or omissions in computing or disseminating the
valuations, and (3) any uses to which the valuations are put.
Valuations are provided for information purposes only and are intended
solely for your own use. Please refer to the trade confirmation for details
of each transaction.
Important Information Regarding Auction Rate Securities (ARS). ARS are debt
or preferred securities with an interest or dividend rate reset periodically
in an auction. Although there may be daily,
weekly and monthly resets, there is no guarantee that there will be
liquidity. If there are not enough bids at an auction to redeem the
securities available for sale, the result may be a failed auction. In the
event of a failed auction, there is no assurance that a secondary market
will develop or that the security will trade at par or any other price
reflected on statements and online.Accordingly, investors
should not rely on pricing information appearing in their statements or
online with respect to ARS. Where J.P. Morgan was unable to obtain a price
from an outside service for a particular ARS, the price
column on your statement and online will indicate "$0.00" which however
should not be relied on as the price at which ARS would trade.
Please review your statements promptly and report any discrepancies
immediately to an account officer whose name appears on the contact page of
these statements.
These statements are not official documents for income tax reporting
purposes.
Offshore Deposits - London and Nassau
Deposits in Foreign Branches are not insured by the FDIC or any other Agency
of the Federal Government; Amounts in such foreign accounts do not have the
benefit of any Domestic
preference applicable to U.S Banks; certain Foreign accounts are considered
reportable to the Internal Revenue Service on a Report of Foreign Bank and
Financial Account (TD F 90-22.1).
Fund manager disclosure information available upon request
If you have an investment account that is managed by an SEC-Registered
Investment Advisor, the Private Bank of J.P. Morgan will provide a copy of
EFTA01539033
the advisor's Form ADV II or brochure upon written
request.
Additional Information About Your Accounts
Securities purchased or sold through J.P.Morgan Securities LLC ("JPMS") (1)
other than mutual funds, are cleared through J.P.Morgan Clearing Corp.
("JPMCC"), an affiliate of 3PMS, and (2) other
than exchange-listed options and securities held in margin account(s), are
held in your Asset Account at 3PMorgan Chase Bank, N.A. Positions in
exchange-listed options and in margin account(s) are
held by J.P.Morgan Clearing Corp. and are not delivered to or from your
Asset Account. For your convenience, however, positions in exchange-listed
options are presented in Asset Account
statement(s) together with other assets held in such account(s). All
pertinent information about your settled and pending purchases and sales
effected through your JPMS account during the period
covered by these statement(s), is summarized in the "Trade Activity" portion
of the statement(s).
You should have received separate confirmations for each securities
transaction. All transactions are subject to the terms and conditions stated
on the reverse side of such confirmations and are subject
to the constitution, by-laws, customs and interpretations of the marketplace
where executed and governed by and construed in accordance with the laws of
the State of New York and all applicable
federal laws and regulations. Further information with respect to
commissions and other charges related to the execution of transactions,
including options transactions, has been included in
confirmations that were previously furnished to you. Upon written request,
3PMS will promptly supply you with the latest such information.
Shareholders of certain 3PMorgan Funds are charged a redemption fee equal to
2% of the proceeds if they exchange or redeem shares of such funds within 60
days of purchase, subject to certain
exceptions set forth in the prospectus of the applicable Fund. Please
consult your J.P. Morgan representative for a list of the JPMorgan Funds
that impose redemption fees.
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For the Period 11/1/10 to 11/30/10
JPMCC and JPMS are members of the Securities Investor Protection Corp
("SIPC"), a not-for-profit membership corporation funded by broker-dealers
registered with the Securities and Exchange
Commission. Securities and cash held for a customer at JPMS and JPMCC are
protected by SIPC up to $500,000 per customer, which includes up to $100,000
of protection for cash. SIPC does not
protect against losses from fluctuations in the value of the securities.
Assets held in custody by JPMorgan Chase Bank, N.A. (the "Bank") are not
subject to SIPC. You may obtain information about
SIPC, including the SIPC Brochure, on their website, at "www.sipc.org" or by
contacting them at (202) 371-8300.
To the extent applicable, please read the following disclosures regarding
estimated annual income (EAI) and estimated yield (EY): EAI and EY for
certain types of securities could include a return of
principal or capital gains in which case the EAI and EY would be overstated.
EAI and EY are estimates and the actual income and yield might be lower or
higher than the estimated amounts. EY reflects
only the income generated by an investment. It does not reflect changes in
its price, which may fluctuate.
JPMS, JPMCB or their affiliates (the "J.P. Morgan Companies") may provide
administrative, custodial, sales, distribution or shareholder services to
JPMorgan Funds, American Century Funds, or funds
established, sponsored, advised, or managed by third parties, and the J.P.
Morgan Companies may be compensated for such services.
A financial statement of this organization is available to you for personal
inspection at its offices, or a copy will be mailed to you upon written
request.
Bank products and services are
Securities are offered by JPMS
through JPMCC.
If a partial call is made with
your Accounts we will allocate
equitable.
You must promptly advise JPMS of material changes in your investment
objectives or financial situation. Unless you inform JPMS otherwise, JPMS
will consider the information currently in its files to be
complete and accurate.
JPMS is not a bank and is a separate legal entity from its bank or thrift
affiliates, including JPMCB. The securities sold, offered, or recommended by
JPMS:
(1) Are not insured by the Federal Deposit Insurance Corporation, or any
other governmental agency;
(2) Are not deposits or other obligations of JPMS's bank or thrift
affiliates (unless otherwise indicated), and are not guaranteed by or the
responsibility of any such affiliates (unless explicitly stated
otherwise); and
(3) Involve investment risks, including possible loss of the principal
invested.
JPMS's banking affiliates may be lenders to issuers of securities that JPMS
underwrites, in which case proceeds of offerings underwritten by JPMS may be
offered through JPMCB and its affiliates.
and, to the extent noted above, cleared
respect to an issue of securities included in
the call by a method we deem fair and
EFTA01539035
used for the repayment of such loans, and you
should refer to the disclosure documents relating to particular securities
for discussion of any such lending relationships. The Federal Reserve
requires that JPMS obtain your consent before it can
obtain certain information from its bank or thrift affiliates, including
their credit evaluation of you. We will assume that your continuing to
transact business with JPMS will constitute your consent to the
sharing of such information by JPMS and its bank or thrift affiliates, to
the extent permitted by law.
All positions in your Margin Account Portfolio(s) are held in custody at
J.P. Morgan Clearing Corp. ("JPMCC"), One Metrotech Center North, Brooklyn,
NY 11201-3859, (347) 643-2578.
Contact your client service specialist if you think statements are incorrect
or you require additional information about a transaction on your
statement(s).
If you have a margin account with J.P.Morgan, as permitted by law we may use
certain securities in such account for, among other things, settling short
sales and lending the securities for short sales,
and as a result may receive compensation in connection therewith.
Please keep the following in mind when using a statement to track your
brokerage activity in a margin account: The statement combines your general
margin account with the special memorandum
account required by Section 220.6 Regulation T. As required by Regulation T,
a permanent record of your separate account is available upon your request.
Free credit balances in your margin account(s) are not segregated and may be
used in the operation of JPMCCs business, subject to the limitations of SEC
Rule 15c3-3. Unless otherwise noted, JPMCC
or its agents and depositories will hold your securities. Upon your demand,
JPMCC will pay to you the amount of your free credit balance, and will
deliver to you fully-paid securities held on your behalf.
Interest will be charged on any debit balance; the method of calculating
interest is described in a letter sent to all margin customers.
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