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efta-efta01118573DOJ Data Set 9OtherPortfolio Valuation I September 50, 201 1
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Unknown
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DOJ Data Set 9
Reference
efta-efta01118573
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5
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0
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Portfolio Valuation I September 50, 201 1
Titbit' tor Cc)Weill.,
Ikorrryllrorurrrnt
t : I SI )
Portfolio Structure
Page 2
Portfolio Performance
Page;
POrtfOli0 Details
Page 4
EFTA01118573
Portfolio \Jaktatlull I September 7)0, 201 1
1)g)rl [4
Strit
' fl irr
Kc li•r1•n1•c• 1111'01ln : l SI )
Currency
Uquldity
Rad Mcorne
Equity
Alternative Investments
Structured Produtts
Otter Astets
Total
Total USD
USD
62.21
14.765E
7698%
T993'613.90
CHP
1459*
1459*
567'540.77
EUR
O.W4
5.66%
566%
219'94444
CAD
0.00%
2775E
2_77%
107'694.47
Total
4,2 224:
0.141141
_7.024
14744:4
4444)41
444,0'i
HM«,
EFTA01118574
l'ortfolio \initiation I September '50, 2011
Puri Folio
rfi rim ow 1 r
tb Um
em curl-curs: l SI)
Total Assets as of 01.01.2cm
Total Assets as of 30.09.2cm
Change in value
Cash Flows
5'165'118.97
3'8SW793.58
-1-27C325.39
3'080.00
Net Performance
Year
Value
End of Period
Net
Cash Flow
Net'
Performance
:ni„
5'165'1'x07
4'k 9' 530.07
5 403:
Result
—1'279'405.39
2ril I
3'harat'793
-21 75';
Cumulative Performance as of go.og.zone
-2475%
Net Performance Monthly
Cumulative Performance
Month
Value
Net
End of Period
Cash Flow
Net'
Performance
104.0095
3.64%
2.97%
Jau
5 1W434. 0,
10038%
Feb
5'35.1'27.1.04
. , r i
2 96
0.66%
Xi.lf
5' I .18' 501.57
nue
1st''
97.56%
—0.32%
Apr
5'321'451 37
3738036
3:n
94.33%
—3.14%
ALI,
5.005.0147 74
low
Jun
4'8I9'..bkIsr.
Or))
. z 73'1'
91.11%
—635%
—919%
Jul
.pe193'04.14.4t4
i LW
2 62
87.89%
Ainp
4.379'M di 5,
(II',
—1536%
Sep
1 l 1 1
84.67%
81.44%
78.22%
75.00%
—24.75%
Jan
Feb
Mar
Apr
Ma'
Jun
Jul
Aug
Scp
Oct
Nov
Dec
•Perfonmutee measured as TWR rime Weighted Rate of Return) for the time period applied
EFTA01118575
Portfolio Valuation I September 50, 2011
I )() ri co lir) Detail
I is t •
'V II 't
1'11111C
I .S1)
Liquidity
Trade Ccy
Cost Price
Ex rate
Current Price
Et rate
Incr./DKr.%
Value in USD
Accr. interest Allocat
Cash
CAD
074 anent aCCOURI
0.70
0.03
0.0
EUR
3.43 Current amount
4.59
0.03
0.0
USD
2'419'72445 Cum:Mac:count
2.419124.45
0.00
62.2
Total Liquidity
Om
erg 2
Equity
Trade Ccy
Cost Price
Current Price
IncrJDecr.%
Value in USD
Aliacat
Dr. rate
Ex. rate
Shares
CAD
3E0'00aCe Abiia Resources
0.17
0.05
-73.53%
15425.63
0.4
ISIN CA7612571041 ! Valor 1825220
1.01
0.95
-5.68%
CAD
170-000.00 Form Mewls Cory
2.79
0.57
-79.57%
92'268.14
2.3
ISIN CA346600I046, Valor 2221590
1.00
0.95
-4.74%
CHF
17000.00 Acielion Ltd.
4491
30.30
-32.531
567540.77
14.5
ISIN CH0010532478 i Valor 1053247
1.04
1.10
5.70%
EUR
216000.00 All SCIENCE
931
5.82
-R3.80%
163'689.25
4.2
ISIN FRC010557264 i Valor 3615494
1.34
1.34
0.25%
EUR
14'000.0) China Super Power Saving Holdings Lad
18.07
3.00
-83.40%
56'250.60
1.4
ISIN HKO0C0043510/ Valor3816453
1.32
1.34
I.73"4
Total Equity
$05174 39
2? 0
Alternative Investments
Trade Cry
Cost Price
Current Price
Incr./Decr.%
Value In USD
Mout
Ex. rate
Ex. rate
Coniniodi lies Sil IICCUre...
USD
ET 503.00 ETES Meta See. Ltd 07-open end Nu on Silser
31.39
29.67
—5.49%
252'175.45
6.4
ISIN .113038 I 953333 r Valor 3069089
1.00
1.00
0.00%
Ceonnoduies Funds
USD
200.00 ZICB Gold ETF Amble Klasse A USD
1'364.41
l'608.57
17.89%
321'714.00
8.2
ISIN CH0047533549, Valor 4753354
1.00
1.00
0.00%
Total Alternative nvestments
:- ;NS') 45
147
___
EFTA01118576
Portfolio Valuation I September 50, 201 1
Poril()Iio Brian.
R(rfitottro
I .SI)
Alternative Investments
Trade Ccy
Cost Price
Current Price
IncrJDect%
Ex. rate
Et rate
Value in USD
Moat
Total
Total Assets including interest
3 MN 793.Nt
3 IslkS-N3.%
I(100
Disclaimer
This statement of wets only displays the ponfolio (assets
and liabilities) defined under Important information'.
Valuations of the individual assets me based on rates and
prices den ved from evadable sources of information
regaled) used by banks. They save as guidelines and are
not binding for the bank. The Mink is not obliged to buy or
sell investments at the corresponding rates shown.
Not for tax reporting purposes
In certain cases the inarket price as at the date when
the sccunty was received w ill be used as the cost mice.
Dc'iations from the actual cost price are therefore
possible. Cost paces adjusted manually on the basis
of client instmetions are designated accordingly.
Interest rases on credit and debit balances as well as
fiduciary and call Investments can change at short notice.
Please check your interest calculations for the rates actually
applied. Please check this sISCMCIII of assets and inform us of
any discrepancies w i thin four weeks.
Sincerely
Valanis Bank AG
Communication w ethout signsture
EFTA01118577
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Phone
2221590Phone
3069089Phone
3615494Phone
3738036Phone
3816453Phone
4753354Phone
7533549Phone
7612571041Forum Discussions
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