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efta-efta00283671DOJ Data Set 9OtherPortfolio Value Report by Account - As of 5/31/2013
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DOJ Data Set 9
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efta-efta00283671
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Portfolio Value Report by Account - As of 5/31/2013
As of 5/31/2013
6/30/2013
Page 1
Security
Shares
Quote/Price est
Cost Basis
Gain/Loss
Balance
FLP *iv RBCDR-FLP Investment Account RBC Damn Rauscher
AMCAP FUND INC
AMCPX
6,508.852
25.060
115,020.01
48,091.82
163,111.83
BAKER HUGHES INC
360.000
45.480
10,766.04
5,606.76
16,372.80
Boeing Co
600.000
99.020
20,249.92
39,162.08
59,412.00
COLUMBIA ACORN TR
LACAX
3,234.522
33.010
82,380.54
24,391.03
106,771.57
EAGLE SER
HSCCX
3,425.747
40.690
103,600.00
35,793.65
139,393.65
Entergy Corp
900.000
68.880
23,759.44
38,232.56
61,992.00
FDX Corporation
250.000
96.340
10,743.49
13,341.51
24,085.00
FIDELITY ADV MID CAP II FIICX
4,948.906
18.640
75,353.73
16,893.88
92,247.61
FIDELITY ADV NEW INSIG 316071505
5,496.921
24.280
91,144.41
42,320.83
133,465.24
Fundamental Investors Inc. CIA
3,897.113
46.530
154,700.38
26,632.29
181,332.67
Gamestop Corp CL A
424.000
33.160
1,908.00
12,151.84
14,059.84
GROWTH FUND OF AMERICA I AGTHX
6,205.529
39.010
137,476.56
104,601.13
242,077.69
ISHARES MSCI GERMANY
EWG 1
500.000
26.150
10,739.95
2,335.05
13,075.00
JANUS INVT FD
JVTCX
817.205
61.910
48,035.33
2,557.83
50,593.16
Lockheed Martin Corp
500.000
105.830
22,538.75
30,376.25
52,915.00
ORACLE CORP
2,400.000
33.780
9,369.29
71,702.71
81,072.00
PRIME MONEY MARKET FUND RBC INVESTO...
625.000
1.000
625.00
0.00
625.00
PRIME MONEY MARKET FUND RBC INVESTO...
-625.000
1.000
-625.00
0.00
-625.00
PRIME MONEY MARKET FUND RBC RESERVE...
342,966.640
1.000
342,966.64
0.00
342,966.64
PRIME MONEY MARKET FUND RBC RESERVE...
-342,000.000
1.000
-342,000.00
0.00
-342,000.00
PRUDENTIAL JENNISON SMAL PVXBZ
5,919.395
19.060
89,652.59
23,171.08
112,823.67
Tamarack Invt Fds Prime
20,000.000
1.000
20,000.00
0.00
20,000.00
Tamarack Invt Fds Prime
-20,000.000
1.000
-20,000.00
0.00
-20,000.00
The India Fund Inc
407.000
16.910
11,999.66
-5,117.29
6,882.37
Thoratic Labs
10,285.000
31.170
163,891.14
156,692.31
320,583.45
United Parcel Service
300.000
85.900
15,000.00
10,770.00
25,770.00
-Cash-
10,667.50
0.00
10,667.50
TOTAL FLP INV RBCDR-FLP Investment Account RBC Dain Rancher
1,209,963.37
699,707.31
1,909,670.68
FLP Inv Schwab On Line-FLP Investments Schwab On-Ilne
Occidental Pete Corp
1,163.000
92.070
37,523.88
69,553.53
107,077.41
SCHWAB MONEY MARKET FUND SWMXX
20,719.210
1.000
20,719.21'
20,719.21
SCHWAB MONEY MARKET FUND SWMXX
-7,418.090
1.000
-7,418.09
0.00
-7,418.09
SCHWAB S&P 500 INDEX FD (SWPPX)
2,693.966
25.590
50,000.00
18,938.59
68,938.59
-Cash-
3,950.58
0.00
3,950.58
TOTAL FLP Inv Schwab On Line-FLP Investments Schwab On-lIne
104,775.58•
88,492.12*
193,267.70
EFTA00283671
Portfolio Value Report by Account - As of 5/31/2013
As of 5/31/2013
6/30/2013
Security
Shares
Quote/Price
est
Cost Basis
Gain/Loss
Balance
FLP Merrill Lynch Investments
-Cash-
750.35
0.00
750.35
TOTAL FLP Merrill Lynch Investments
750.35
0.00
750.35
FLP Schwab Windhaven
EGSHARES ETF
EMERGING MARKETS ...
361.000
26.420
9.288.53
249.09
9.537.62
ISHARES ETF
AAA- A RATED CORPOR...
177.000
50.955
9.264.87
-245.83
9.019.04
ISHARES MSCI GERMANY
EWG 1
808.000
26.150
18.551.44
2,577.76
21.129.20
ISHARES MSCI HK IDX FD HONG KONG INDE...
1.923.000
19.700
36.990.36
892.74
37.883.10
ISHARES TR COMEX GOLD - PENDING ENLIS...
1.308.000
13.460
20.086.90
-2.481.22
17.605.68
ISHARES TR LEHMAN BD FD LEHMAN 7-10 YR...
111.000
105.320
10.822.87
867.65
11,690.52
ISHARES TR RUSSELL 2000 WITH STOCK SPL...
272.000
97.800
22.092.93
4,508.67
26.601.60
ISHARES TRUST FTSE EPRA NARIET GLOBAL...
1.188.000
32.810
33.492.36
5,485.92
38.978.28
POWERSHARES S&P ETF 500 LOW VOLATILI...
847.000
30.950
21.934.76
4,279.89
26.214.65
POWERSHS DB COMMDTY INDX
594.000
25.860
17.687.72
-2.326.88
15.360.84
POWERSHS QQO TRUST SER 1
639.000
73.250
38487.12
8.319.63
46.806.75
SPDR S&P 500 ETF TR EXPIRING 01/22/2118
126.000
163.445
19.205.71
1,388.36
20.594.07
SPDR GOLD TRUST SPDR GOLD SHARES
40.000
133.920
6.044.69
-687.89
5.356.80
VANGUARD DIV APPRCIATION
695.000
67.570
39430.38
7,530.77
46.961.15
VANGUARD MSCI EAFE ETF
582.000
37.190
20.674.26
970.32
21.644.58
VANGUARD MSCI EMERGING MARKETS ETF
323.000
41.539
14.350.86
-933.76
13.417.10
VANGUARD REIT
491.000
70.780
30.541.93
4,211.05
34.752.98
VANGUARD TOTAL STOCK MKTSTK MKT VIPE...
321.000
84.270
21.167.74
5,882.93
27.050.67
WISDOMTREE ASIA ETF LOCAL DEBT FUND
238.000
50.790
12487.86
-399.84
12.088.02
WISDOMTREE JAP HDGD EQTYJAPAN HEDG...
946.000
46.280
37.323.67
6,457.21
43.780.88
-Cash-
5.366.17
0.00
5.366.17
TOTAL FLP Schwab Windhaven
445,293.13
46,546.56
491,839.69
FLP Scottrade-WAX
Amcon Dist Co NEW
198.000
74.830
14.854.97
-38.63
14,816.34
BLUEKNIGHT ENERGY PARTNERS LP PFD A
389.000
9.300
3.492.44
125.26
3.617.70
BREEZE EASTERN CORP COM
224.000
8.540
1.860.58
52.38
1.912.96
COMMAND SECURITY CORPORATION
1.249.000
1.600
2.502.00
-503.60
1.998.40
DANIER LEATHER INC SV (CANADA)
345.000
11.910
4.490.90
-381.95
4.108.95
DOVER MOTORSPORTS INC
2.351.000
2.110
4.003.70
956.91
4.960.61
DRA CRT ACQUISITION CORP PFD
167.000
19.320
3.256.82
-30.38
3.226.44
EVOQ PPTYS Inc
407.000
4.600
1.162.88
709.32
1.872.20
Page 2
EFTA00283672
Portfolio Value Report by Account - As of 5/31/2013
As of 5/31/2013
6/30/2013
Security
Shares
Quote/Price est
Cost Basis
Gain/Loss
Balance
FIRST MARBLEHEAD CORP
6,469.000
1.180
5,775.26
1,858.16
7,633.42
H M G COURTLAND PROPERTIES INC
1,855.000
17.790
15,698.15
17,302.49
33,000.64
Hallwood Group Inc PAR $0.10
323.000
8.050
2,740.55
-140.40
2,600.15
HUNTINGTON INGALLS INDS INC
175.000
55.220
7,839.05
1,824.45
9,663.50
INTEGRATED ELECTRICAL SERVICES INC
381.000
5.590
2,007.25
122.54
2,129.79
NATIONAL WESTERN LIFE INS-A-$1 PAR
43.000
195.990
7,037.50
1,390.07
8,427.57
NEW ENGLAND RLTY LTD PARTNRSHP
154.000
43.390
5,160.30
1,521.76
6,682.06
NOBILITY HOMES INC
907.000
7.250
5,046.10
1,529.65
6,575.75
Smith Midland Corp
5,648.000
1.700
10,111.74
-510.14
9,601.60
STEEL PARTNERS HLDGS LP
400.000
13.600
5,135.00
305.00
5,440.00
-Cash-
389.21
0.00
389.21
TOTAL FLP Scottrade-WAX
102,564.40
26,092.89
128,657.29
IRA DW RBC >SPD•IRA Diana Wright RBC Dian Rauschr
FIDELITY ADV MID CAP II FIICX
2,353.804
18.640
41,274.45
2,600.46
43,874.91
FIDELITY ADV NEW INSIG 316071505
1,179.303
24.280
14,418.71
14,214.77
28,633.48
Fundamental Investors Inc. CI A
326.017
46.530
5,791.21
9,378.36
15,169.57
GREAT HALL INV FDS
2,206.760
1.000
2,206.76
0.00
2,206.76
GREAT HALL INV FDS
-2,206.760
1.000
-2,206.76
0.00
-2,206.76
JPMORGAN TR I
JLPCX
3,646.140
25.330
69,159.30
23,197.43
92,356.73
PRIME MONEY MARKET FUND RBC RESERVE...
17.180
1.000
17.18
0.00
17.18
PRUDENTIAL JENNISON SMAL PVXBZ
3,760.214
19.060
76.54
71,593.14
71,669.68
TOTAL IRA DW RBC >SPD-IRA Diana Wright RBC Dlan Rauschr
130,737.39
120,984.15*
251,721.54
IRA RW RBC (Simple) >SPR-IRA RW Simple
RBC
AMCAP FUND INC
AMCPX
3,317.755
25.060
62,199.95
20,942.99
83,142.94
EAGLE SER
HSCCX
685.136
40.690
23,000.00
4,878.18
27,878.18
FIDELITY ADV NEW INSIG 316071505
1,910.657
24.280
37,643.93
8,746.82
46,390.75
GROWTH FUND OF AMERICA I AGTHX
194.288
39.010
96.42
7,482.75
7,579.17
JPMORGAN TR I
JLPCX
1,778.645
25.330
33,737.44
11,315.64
45,053.08
Thoratic Labs
1,670.000
31.170
19.017.96
33,035.94
52,053.90
TOTAL IRA RW RBC (Simple) >SPR•IRA RW Simple @ RBC
175,695.70*
86,402.334
262,098.03
TOTAL Investments
2.169.779.92'
1.068.225.38'
3,238,005.30
'Placeholder Entries for missing data are used in these calculations. Show me.
Page 3
EFTA00283673
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