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efta-efta01594497DOJ Data Set 10CorrespondenceEFTA Document EFTA01594497
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EFTA DisclosureText extracted via OCR from the original document. May contain errors from the scanning process.
SOUTHERN TRUST COMPANY, INC
6100 RED HOOK QUARTER, B3
ST. THOMAS 00802
VIRGIN ISLANDS (U.S.)
EFTA01594497
EFTA01594498
For the Period 10/1/13 to 10/31/13
Account Summary
Account
Number
Investment Account(s)
SOUTHERN TRUST COMPANY, INC
SOUTHERN TRUST COMPANY, INC
SOUTHERN TRUST COMPANY, INC
Total Value
1
Beginning Net
Market Value
6,108,928.48
78,688.51
0.00
$6,187,616.99
Ending Net
Market Value
2,311,422.76
80,428.15
0.00
$2,391,850.91
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.
Please see disclosures located at the end of this statement package for
important information relating to each 3.P.Morgan account(s).
Change
In Value
(3,797,505.72)
1,739.64
0.00
($3,795,766.08)
Start on
Page
EFTA01594499
4
40
47
Client News
If you plan to make gifts of securities this year, please
notify your Client Service Representative before
December 1, 2013. This will allow us to process your
request before year-end and meet the deadline for tax
filing purposes.
0000007656.15.0.15.00001.SOUTHAF.20131104
Consolidated Statement Page 1
EFTA01594500
THIS PAGE INTENTIONALLY LEFT BLANK
EFTA01594501
For the Period 10/1/13 to 10/31/13
Consolidated Summary
INVESTMENT ACCOUNTS
Asset Allocation
Equity
Cash & Fixed Income
Market Value
Accruals
Market Value with Accruals
Beginning
Market Value
(8,450.00)
6,153,522.44
$6,145,072.44
42,544.55
$6,187,616.99
Ending
Market Value
0.00
2,390,994.48
$2,390,994.48
856.43
$2,391,850.91
Change
In Value
8,450.00
(3,762,527.96)
($3,754,077.96)
(41,688.12)
($3,795,766.08)
100,081.40
$100,081.40
100%
100%
Estimated
Current
Annual Income Allocation
Current
Portfolio Activity
Beginning Market Value
Net Contributions/Withdrawals
Income & Distributions
Change in Investment Value
Ending Market Value
Accruals
Market Value with Accruals
Period Value
6,145,072.44
(4,000,000.00)
(133,640.41)
379,562.45
EFTA01594502
$2,390,994.48
856.43
$2,391,850.91
Year-to-Date
Value
0.00
2,820,000.00
(401,625.89)
(27,379.63)
$2,390,994.48
856.43
$2,391,850.91
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.
Consolidated Statement Page 2
EFTA01594503
For the Period 10/1/13 to 10/31/13
Consolidated Summary
INVESTMENT ACCOUNT(S) YEAR-TO-DATE
Portfolio Activity
SOUTHERN TRUST COMPANY, INC
SOUTHERN TRUST COMPANY, INC
Total Value
Income Summary
SOUTHERN TRUST COMPANY, INC
SOUTHERN TRUST COMPANY, INC
Total Value
Account
Number
Beginning
Market Value
0.00
0.00
$0.00
Account
Number
($401,625.89)
'Unrealized Gain/Loss represents data from the time of account inception to
the current statement period.
Net Contributions/
Withdrawals
2,742,600.00
77,400.00
$2,820,000.00
Income
(401,625.89)
Income
Other Income
& Receipts
Income &
Distributions
(401,625.89)
($401,625.89)
Short-term
1,334.28
3,028.15
$4,362.43
Change in
Investment Value
(30,407.78)
3,028.15
($27,379.63)
Realized Gain/Loss
EFTA01594504
Long-term
Ending Market Value
with Accruals
2,311,422.76
80,428.15
$2,391,850.91
Unrealized
Gain/Loss,
(30,454.30)
($30,454.30)
CONTINUED
Consolidated Statement Page 3
EFTA01594505
JPMorgan Chase Bank, N.A.
270 Park Avenue, New York, NY 10017-2014
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Asset Account
J.P. Morgan Team
William Sheridan
Justin Nelson
Paul Barrett
Janet Young
Gina Magliocco
Jason Grosse
Online access
Banker
Banker
Investment Specialist
Client Service Team
Client Service Team
Client Service Team
www.jpmorganonline.com
Please see disclosures located at the end of this statement package for
important information relating to each J.P.Morgan account(s).
Table of Contents
Account Summary
Holdings
Equity
Cash & Fixed Income
Portfolio Activity
Page
2
4
5
11
Account
Page 1 of 36
Consolidated Statement Page 4
EFTA01594506
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Account Summary
Asset Allocation
Equity
Cash & Fixed Income
Market Value
Accruals
Market Value with Accruals
Beginning
Market Value
1,350.00
6,065,033.93
$6,066,383.93
42,544.55
$6,108,928.48
Ending
Market Value
0.00
2,310,566.33
$2,310,566.33
856.43
$2,311,422.76
Current
Portfolio Activity
Beginning Market Value
Contributions
Withdrawals & Fees
Securities Transferred In
Net Contributions/Withdrawals
Income & Distributions
Change In Investment Value
Ending Market Value
Accruals
Market Value with Accruals
($4,000,000.00)
(133,640.41)
377,822.81
$2,310,566.33
856.43
$2,311,422.76
(4,000,000.00)
Period Value
6,066,383.93
Change
In Value
(1,350.00)
(3,754,467.60)
($3,755,817.60)
(41,688.12)
($3,797,505.72)
EFTA01594507
Year-to-Date
Value
0.00
5,000,000.00
(4,077,400.00)
1,820,000.00
$2,742,600.00
(401,625.89)
(30,407.78)
$2,310,566.33
856.43
$2,311,422.76
100,081.40
$100,081.40
100%
100%
Estimated
Current
Annual Income Allocation
Account
Page 2 of 36
Consolidated Statement Page 5
EFTA01594508
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Account Summary
Income Summary
Currency Gain/Loss
Interest Income
Income
CONTINUED
Current
Period Value
(183,684.96)
50,044.55
($133,640.41)
Year-to-Date
Value
(451,734.86)
50,108.97
($401,625.89)
Unrealized Gain/Loss
To-Date Value
($30,454.30)
ST Realized Gain/Loss
Realized Gain/Loss
Current
Period Value
1,334.28
$1,334.28
Year-to-Date
Value
1,334.28
$1,334.28
Cost Summary
Cash & Fixed Income
2,322,308.39
Cost
Total
$2,322,308.39
Account
Page 3 of 36
Consolidated Statement Page 6
EFTA01594509
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Equity Summary
Asset Categories
Concentrated & Other Equity
Beginning
Market Value
1,350.00
Ending
Market Value
0.00
Change
In Value
(1,350.00)
Current
Allocation
Account
Page 4 of 36
Consolidated Statement Page 7
EFTA01594510
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Cash & Fixed Income Summary
Beginning
Asset Categories
Cash
Non-US Fixed Income
Complementary Structured Strategies
Foreign Exchange Contracts
Foreign Exchange & Non-USD Fixed Income
Total Value
Market Value/Cost
Market Value
Cost
Unrealized Gain/Loss
Estimated Annual Income
Accrued Interest
Yield
SUMMARY BY MATURITY
1
Cash & Fixed Income
0-6 months
1-5 years,
Total Value
1
Market Value
5,358,180.65
1,755,000.00
(1,077,211.99)
29,065.27
0.00
$6,065,033.93
Ending
Market Value
814,013.74
1,730,000.00
0.00
18,712.24
(252,159.65)
$2,310,566.33
Current
Period Value
2,310,566.33
2,322,308.39
(30,454.30)
100,081.40
856.43
9.65%
SUMMARY BY TYPE
Market
Value
EFTA01594511
561,854.09
1,730,000.00
$2,291,854.09
% of Bond
Portfolio
22%
78%
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
Page 5 of 36
Consolidated Statement Page 8
Cash & Fixed Income
Cash
International Bonds
Other
Total Value
Market
Value
814,013.74
1,730,000.00
(252,159.65)
$2,291,854.09
% of Bond
Portfolio
31%
69%
100%
Cash & Fixed Income as a percentage of your portfolio
100%
Change
In Value
(4,544,166.91)
(25,000.00)
1,077,211.99
(10,353.03)
(252,159.65)
($3,754,467.60 )
Current
Allocation
35%
64%
1%
100%
Cash
Foreign Exchange Contracts
Non-US Fixed Income
Asset Categories
EFTA01594512
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Cash & Fixed Income Summary
NET FX CONTRACTS EXPOSURE SUMMARY
Value
in Currency
POUND STERLING
JAPANESE YEN
US DOLLAR
(2,500,000.00)
(490,445,000.00 )
9,034,100.00
Account
Page 6 of 36
Consolidated Statement Page 9
EFTA01594513
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Note:
1
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.
Cash & Fixed Income Detail
Price
Cash
US DOLLAR
1.00
814,013.74
814,013.74
814,013.74
81.40
24.43
Non-US Fixed Income
PETROLEOS DE VENEZUELA S
5% OCT 28 2015
DTD 10/28/2009
HELD BY EUROCLEAR
ISIN XS0460546525 SEDOL B5BOGP8
71668A-9B-9
Foreign Exchange & Non-USD Fixed Income
AUD CALL USD PUT
FX EUROPEAN STYLE OPTION
FEB 06,2014 @ .92
0.9230 WINDOW KI EXPIRING 13 SEP 13
OPTION KNOCKEDIN
XAUDCA-FL-Z
0.01% 1
Quantity
Value
Adjusted Cost
Original Cost
Unrealized
Gain/Loss
Est. Annual Income
Accrued Interest
Yield
86.50
2,000,000.00
1,730,000.00
1,800,000.00
(70,000.00)
100,000.00
832.00
12.89%
3.11
EFTA01594514
(3,000,000.00 )
(93,183.12)
(11,040.00)
(82,143.12)
Account
Page 7 of 36
Consolidated Statement Page 10
EFTA01594515
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Price
Foreign Exchange & Non-USD Fixed Income
AUD CALL USD PUT
FX EUROPEAN STYLE OPTION
FEB 06, 2014 @ .95
[email protected] [email protected]
XAUDCA-FO-Z
AUD PUT USD CALL
FX EUROPEAN STYLE OPTION
JAN 24, 2014 @ .89
WINDOW RKI @ 0.8760 UNTIL 9SEP13
XAUDPA-JE-Z
CAD CALL USD PUT
FX EUROPEAN STYLE OPTION
FEB 11, 2014 @ 1.02
XCADCA-FG-Z
GBP PUT USD CALL
FX EUROPEAN STYLE OPTION
FEB 06, 2014 @ 1.58
[email protected] [email protected]
XGBPPA-MH-Z BP
JPY PUT USD CALL
FX EUROPEAN STYLE OP
FEB 06, 2014 @ 102
KI @ 106
XJPYPB-GD-Z
(510,000,000.00 )
(22,643.05)
(93,500.00)
70,856.95
0.96
(3,000,000.00 )
(28,829.50)
(33,860.64)
5,031.14
0.31
(4,590,000.00 )
(14,046.67)
(58,500.00)
44,453.33
(4,500,000.00 )
(43,654.50)
43,654.50
Quantity
Value
Adjusted Cost
Original Cost
Unrealized
Gain/Loss
EFTA01594516
Est. Annual Income
Accrued Interest
Yield
1.06
(3,000,000.00 )
(31,876.75)
(35,870.21)
3,993.46
Account
Page 8 of 36
Consolidated Statement Page 11
EFTA01594517
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Price
Foreign Exchange & Non-USD Fixed Income
NZD CALL USD PUT
FX EUROPEAN STYLE OPTION
FEB 06, 2014 @ .8
KO @ 0.77
XNZDCA-DE-Z
Total Foreign Exchange & Non-USD Fixed Income
($252,159.65)
($291,705.35)
$39,545.70
$0.00
0.00%
Quantity
Value
Adjusted Cost
Original Cost
Unrealized
Gain/Loss
Est. Annual Income
Accrued Interest
Yield
3.08
(2,000,000.00 )
(61,580.56)
(15,280.00)
(46,300.56)
Market Value
Receivable
Trade Date
Foreign Exchange Contracts
AUSTRALIA DOLLAR
AUSTRALIA DOLLAR
AUSTRALIA DOLLAR
JAPANESE YEN
JAPANESE YEN
US DOLLAR
US DOLLAR
US DOLLAR
US DOLLAR
US DOLLAR
Oct. 25 13
Nov. 8 13
Oct. 28 13
Nov. 8 13
Oct. 29 13
Nov. 8 13
Oct. 29 13
Nov. 8 13
EFTA01594518
Oct. 31 13
Nov. 8 13
AUD
USD
AUD
USD
AUD
USD
JPY
USD
JPY
USD
2,000,000.00
(1,915,080.00)
(1,000,000.00)
959,500.00
(1,000,000.00)
949,570.00
(293,667,000.00 )
3,000,000.00
(196,778,000.00 )
2,000,000.00
0.957540
0.959500
0.949570
97.889000
98.389000
0.946455
0.946455
0.946455
98.106178
98.106178
1,892,910.53
1,915,080.00
959,500.00
946,455.26
949,570.00
946,455.26
3,000,000.00
2,993,358.89
2,000,000.00
2,005,765.63
(22,169.47)
13,044.74
3,114.74
6,641.11
(5,765.63)
Currency
Settlement Date Counter Currency
Amount
Counter Amount
EFTA01594519
Contract
Rate
Current Market
Forward Rate
Market Value
Payable
Unrealized
Gain/Loss
Account
Page 9 of 36
Consolidated Statement Page 12
EFTA01594520
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Market Value
Receivable
Trade Date
Foreign Exchange Contracts
N ZEALAND DOLLAR
N ZEALAND DOLLAR
N ZEALAND DOLLAR
POUND STERLING
US DOLLAR
US DOLLAR
US DOLLAR
US DOLLAR
Total Foreign Exchange Contracts
Oct. 25 13
Nov. 8 13
Oct. 28 13
Nov. 8 13
Oct. 29 13
Nov. 8 13
Oct. 25 13
Nov. 8 13
NZD
USD
NZD
USD
NZD
USD
GBP
USD
2,000,000.00
(1,656,000.00)
(1,000,000.00)
829,550.00
(1,000,000.00)
824,060.00
(2,500,000.00)
4,042,500.00
0.828000
0.829550
0.824060
1.617000
0.827301
0.827301
0.827301
1.606505
1,654,601.17
1,656,000.00
829,550.00
827,300.58
EFTA01594521
824,060.00
827,300.58
4,042,500.00
4,016,263.26
$16,152,691.70
$16,133,979.46
(1,398.83)
2,249.42
(3,240.58)
26,236.74
$18,712.24
Currency
Settlement Date Counter Currency
Amount
Counter Amount
Contract
Rate
Current Market
Forward Rate
Market Value
Payable
Unrealized
Gain/Loss
Account
Page 10 of 36
Consolidated Statement Page 13
EFTA01594522
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Summary - U S Dollar
Beginning Cash Balance
Current
Transactions
INFLOWS
Income
Contributions
Foreign Exchange - Inflows
Total Inflows
OUTFLOWS **
Withdrawals
Foreign Exchange - Outflows
Total Outflows
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
(694,465.86)
($694,465.86)
$814,013.74
* Year to date information is calculated on a calendar year basis.
** Your account's standing instructions use a HIGH COST method for relieving
assets
from your position
(852,962.86)
817,855.64
($35,107.22)
-63,189,695.00
$63,239,739.55
(4,000,000.00)
(63,089,440.60)
($67,089,440.60)
Period
Value
5,358,180.65
50,044.55
Year-To-Date
Value*
-50,108.97
5,000,000.00
108,023,705.05
$113,073,814.02
(4,077,400.00)
(108,147,293.06)
($112,224,693.06
)
Current
Securities Transferred In/Out
EFTA01594523
Securities Transferred In
Period Value
Year-To-Date
Value*
1,820,000.08
Account
Page 11 of 36
Consolidated Statement Page 14
EFTA01594524
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Detail - U S Dollar
INFLOWS & OUTFLOWS
Type
Settle Date Selection Method
Income
10/1
10/28
Interest Income
Foreign Interest
Total Income
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/8
10/8
10/8
10/8
FX Fwd Contract
FX Fwd Contract
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.620400000 TRADE 10/01/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
NZD CONTRACT RATE : 0.831200000 TRADE 10/01/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
AUD CONTRACT RATE : 0.933100000 TRADE 10/01/13
VALUE 10/08/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.619480000 DEAL 10/03/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
Account
Page 12 of 36
Consolidated Statement Page 15
(2,000,000.000 )
(3,221,099.96)
3,238,960.00
(2,000,000.000 )
(1,891,299.88)
1,866,200.00
(2,000,000.000 )
(1,663,699.86)
1,662,400.00
Quantity
Cost
(2,000,000.000 )
(3,221,099.96)
EFTA01594525
Description
DEPOSIT SWEEP INTEREST FOR 09/01/13 - 09/30/13
@ .01% RATE ON AVG COLLECTED BALANCE OF
$5,490,935.18 AS OF 10/01/13
PETROLEOS DE VENEZUELA S 5% OCT 28 2015 DTD
10/28/2009 HELD BY EUROCLEAR ISIN XS0460546525
SEDOL BSBQGP8 (ID: 71668A-9B-9)
$50,044.55
2,000,000.000
0.025
50,000.00
Quantity
Cost
Per Unit
Amount
Amount
44.55
Amount
3,240,800.00
EFTA01594526
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Inflows
Spot FX
10/8
10/11
10/11
10/15
10/15
10/16
10/17
10/18
10/22
FX Fwd Contract
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
FX Fwd Contract
Description
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .831900000 DEAL 10/03/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.606460000 TRADE 10/07/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.594100000 DEAL 10/09/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .945900000 DEAL 10/10/13
VALUE 10/15/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .829300000 DEAL 10/10/13
VALUE 10/15/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .941500000 DEAL 10/14/13
VALUE 10/16/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .952800000 DEAL 10/15/13
VALUE 10/17/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .839600000 DEAL 10/16/13
VALUE 10/18/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.601300000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
EFTA01594527
(2,000,000.000 )
(3,240,538.42)
3,202,600.00
(2,000,000.000 )
(1,687,600.00)
1,679,200.00
(3,000,000.000 )
(2,853,600.00)
2,858,400.00
(3,000,000.000 )
(2,838,480.00)
2,824,500.00
(1,000,000.000 )
(827,300.00)
829,300.00
(1,250,000.000 )
(1,176,875.00)
1,182,375.00
(800,000.000)
(1,275,280.00)
1,275,280.00
(2,000,000.000 )
(3,205,800.00)
3,212,920.00
Quantity
Cost
(2,000,000.000 )
(1,663,699.86)
Amount
1,663,800.00
Account
Page 13 of 36
Consolidated Statement Page 16
EFTA01594528
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/22
10/22
10/22
10/22
10/22
10/22
10/22
10/24
10/24
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
AUD CONTRACT RATE : 0.946700000 TRADE 10/08/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.609340000 TRADE 10/09/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
NZD CONTRACT RATE : 0.832070000 TRADE 10/11/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.599000000 TRADE 10/14/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966400000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966900000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .849000000 DEAL 10/18/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966900000 DEAL 10/22/13
VALUE 10/24/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .848900000 DEAL 10/22/13
VALUE 10/24/13 (ID: ONZDPR-AA-5)
EFTA01594529
(1,000,000.000 )
(850,300.00)
848,900.00
(2,000,000.000 )
(1,937,800.00)
1,933,800.00
(2,000,000.000 )
(1,704,599.91)
1,698,000.00
(2,000,000.000 )
(1,940,279.93)
1,933,800.00
(6,000,000.000 )
(5,820,839.81)
5,798,400.00
(2,500,000.000 )
(4,050,673.02)
3,997,500.00
(2,000,000.000 )
(1,704,599.91)
1,664,140.00
(2,000,000.000 )
(3,240,538.41)
3,218,680.00
Quantity
Cost
(2,000,000.000 )
(1,940,279.94)
Amount
1,893,400.00
Account
Page 14 of 36
Consolidated Statement Page 17
EFTA01594530
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/29
10/29
10/29
10/29
10/29
10/29
10/29
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Total Foreign Exchange - Inflows
Type
Settle Date Selection Method
Withdrawals
10/16
Description
Misc Disbursement INTERNAL TRANSFER OF FUNDS
Account
Page 15 of 36
Quantity
Cost
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.616900000 TRADE 10/18/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .964430000 DEAL 10/24/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .961630000 DEAL 10/24/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.621880000 DEAL 10/24/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .958140000 DEAL 10/25/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .958140000 DEAL 10/25/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .828500000 DEAL 10/25/13
VALUE 10/29/13 (ID: ONZDPR-AA-5)
EFTA01594531
$63,189,695.00
(2,000,000.000 )
(1,652,999.91)
1,657,000.00
(1,000,000.000 )
(949,649.94)
958,140.00
(2,000,000.000 )
(1,899,299.88)
1,916,280.00
(1,000,000.000 )
(1,617,180.00)
1,621,880.00
(2,000,000.000 )
(1,899,299.88)
1,923,260.00
(1,000,000.000 )
(949,649.94)
964,430.00
Quantity
Cost
(1,500,000.000 )
(2,425,770.00)
Amount
2,425,350.00
Amount
(4,000,000.00)
Consolidated Statement Page 18
EFTA01594532
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/8
10/8
10/8
10/8
10/8
10/11
10/15
10/15
10/15
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
Spot FX
Spot FX
Spot FX
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.931875000 TRADE 9/27/13
VALUE 10/08/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.614821400 TRADE 9/30/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.619521400 TRADE 9/30/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.832075000 TRADE 9/30/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.825075000 TRADE 9/30/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.602900000 DEAL 10/08/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .941500000 DEAL 10/10/13
VALUE 10/15/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .827300000 DEAL 10/10/13
VALUE 10/15/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.597000000 DEAL 10/09/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
EFTA01594533
800,000.000
1,275,280.00
(1,277,600.00)
1,000,000.000
827,300.00
(827,300.00)
1,250,000.000
1,176,875.00
(1,176,875.00)
2,000,000.000
3,205,800.00
(3,205,800.00)
2,000,000.000
1,663,699.86
(1,650,150.00)
2,000,000.000
1,663,699.86
(1,664,150.00)
2,000,000.000
3,221,099.96
(3,239,042.80)
2,000,000.000
3,221,099.96
(3,229,642.80)
Quantity
Cost
2,000,000.000
1,891,299.88
Amount
(1,863,750.00)
Account
Page 16 of 36
Consolidated Statement Page 19
EFTA01594534
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
Spot FX
10/16
10/17
10/18
10/22
10/22
10/22
10/22
10/22
10/22
Spot FX
Spot FX
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
Description
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .946160000 DEAL 10/11/13
VALUE 10/16/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .951200000 DEAL 10/16/13
VALUE 10/17/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .843800000 DEAL 10/16/13
VALUE 10/18/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.943130000 TRADE 10/04/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.604750000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.612730000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.832150000 TRADE 10/04/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.602000000 TRADE 10/08/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.941150000 TRADE 10/14/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
EFTA01594535
3,000,000.000
2,912,999.88
(2,823,450.00)
1,000,000.000
1,621,249.97
(1,602,000.00)
2,000,000.000
1,704,599.91
(1,664,300.00)
2,000,000.000
3,242,499.94
(3,225,460.00)
2,000,000.000
3,242,499.94
(3,209,500.00)
2,000,000.000
1,941,999.92
(1,886,260.00)
2,000,000.000
1,687,600.00
(1,687,600.00)
3,000,000.000
2,853,600.00
(2,853,600.00)
Quantity
Cost
3,000,000.000
2,838,480.00
Amount
(2,838,480.00)
Account
Page 17 of 36
Consolidated Statement Page 20
EFTA01594536
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/22
10/22
10/22
10/22
10/24
10/24
10/29
10/29
10/29
FX Fwd Contract
Spot FX
Spot FX
Spot FX
Spot FX
FX Fwd Contract
FX Fwd Contract
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.941150000 TRADE 10/14/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.828890000 TRADE 10/14/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .966700000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.617000000 DEAL 10/18/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .968900000 DEAL 10/23/13
VALUE 10/24/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .850300000 DEAL 10/23/13
VALUE 10/24/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.966000000 TRADE 10/18/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.848650000 TRADE 10/18/13
VALUE 10/29/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.617180000 DEAL 10/25/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
EFTA01594537
Total Forei n Exchange - Outflows
Account
Page 18 of 36
($63,089,440.60)
Consolidated Statement Page 21
2,500,000.000
4,042,950.00
(4,042,950.00)
2,000,000.000
1,652,999.91
(1,697,300.00)
6,000,000.000
5,697,899.64
(5,796,000.00)
1,000,000.000
850,300.00
(850,300.00)
2,000,000.000
1,937,800.00
(1,937,800.00)
1,500,000.000
2,425,500.00
(2,425,500.00)
2,000,000.000
1,933,400.00
(1,933,400.00)
2,000,000.000
1,704,599.91
(1,657,780.00)
Quantity
Cost
3,000,000.000
2,912,999.88
Amount
(2,823,450.00)
EFTA01594538
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
TRADE ACTIVITY
Note:
Trade Date
Settle Date
S indicates Short Term Realized Gain/Loss
Type
C indicates Currency Gain/Loss
Selection Method Description
Settled Sales/Maturities/Redemptions
10/4
10/8
10/7
10/8
10/7
10/9
10/9
10/11
10/9
10/11
10/9
10/11
10/9
10/11
10/10
10/15
Sell Option
High Cost
Option Buyback GBP CALL USD PUT FX EUROPEAN STYLE OPTION FEB
FIFO
06, 2014 @ 1.595 [email protected] [email protected] REPURCHASE
OF WRITTEN FX OPTION (ID: XGBPCA-OX-Z)
CHICAGO BOARD OPTIONS EXCHANGE INDEX CALL
10/16/13 @ 16 SELL-OFF PURCHASED OPTION
(ID: 12497K-9L-Z)
Option Buyback AUD PUT USD CALL FX EUROPEAN STYLE OPTION JAN
FIFO
24, 2014 @ .89 KI @ 0.84 REPURCHASE OF WRITTEN
FX OPTION (ID: XAUDPA-JF-Z)
Option Buyback JPY CALL USD PUT FX EUROPEAN STYLE OPTION JAN 475,000,000.000
FIFO
29, 2014 @ 95. KI @ 94 KO @101 REPURCHASE OF
WRITTEN FX OPTION (ID: XJPYCA-UW-Z)
Option Buyback AUD CALL USD PUT FX EUROPEAN STYLE OPTION JAN
FIFO
24, 2014 @ .94 KI @ 0.96 KO @ 0.88 REPURCHASE
OF WRITTEN FX OPTION (ID: XAUDCA-FK-Z)
Option Buyback NZD CALL USD PUT FX EUROPEAN STYLE OPTION JAN
FIFO
23, 2014 @ .82 KI @ 0.845 KO @ 0.768 REPURCHASE
EFTA01594539
OF WRITTEN FX OPTION (ID: XNZDCA-DD-Z)
Option Buyback GBP CALL USD PUT FX EUROPEAN STYLE OPTION FEB
FIFO
06, 2014 @ 1.57 KI @ 1.585 KO @ 1.53 OPTION
KNOCKED IN REPURCHASE OF WRITTEN FX OPTION
(ID: XGBPCA-OV-Z)
Option Buyback NZD CALL USD PUT FX EUROPEAN STYLE OPTION JAN
FIFO
23, 2014 @ .82 KI @ 0.845 KO @ 0.768 REPURCHASE
OF WRITTEN FX OPTION (ID: XNZDCA-DD-Z)
5,000,000.000
0.019
(97,170.00)
41,000.00
(56,170.00) C
3,000,000.000
0.04
(119,163.00)
29,908.50
(89,254.50) C
5,000,000.000
0.022
(108,855.00)
41,000.00
(67,855.00) C
5,000,000.000
0.018
(92,120.00)
48,175.00
(43,945.00) C
(67,000.00)
71,250.00
4,250.00 C
5,000,000.000
0.007
(33,597.50)
51,100.00
17,502.50 C
(10.000)
228.964
2,289.64
(955.36)
1,334.28 S
Quantity
3,000,000.000
Per Unit
Amount
0.021
Proceeds
(63,640.00)
Cost
EFTA01594540
58,294.17
Realized
Gain/Loss
(5,345.83) C
Account
Page 19 of 36
Consolidated Statement Page 22
EFTA01594541
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Trade Date
Settle Date
Type
Selection Method Description
Settled Sales/Maturities/Redemptions
10/10
10/15
10/17
10/21
Option Buyback AUD CALL USD PUT FX EUROPEAN STYLE OPTION JAN
FIFO
24, 2014 @ .94 KI @ 0.96 KO @ 0.88 REPURCHASE
OF WRITTEN FX OPTION (ID: XAUDCA-FK-Z)
Option Buyback AUD CALL USD PUT FX EUROPEAN STYLE OPTION FEB
FIFO
06, 2014 @ .95 [email protected] [email protected] REPURCHASE OF
WRITTEN FX OPTION (ID: XAUDCA-FO-Z)
Total Settled Sales/Maturities/Redemptions
($694,465.86)
$411,860.78
$1,334.28 S
($283,939.36) C
2,000,000.000
0.016
(32,490.00)
23,913.47
(8,576.53) C
Quantity
5,000,000.000
Per Unit
Amount
0.017
Proceeds
(82,720.00)
Cost
48,175.00
Realized
Gain/Loss
(34,545.00) C
Account
Page 20 of 36
Consolidated Statement Page 23
EFTA01594542
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Summary - Australia Dollar
Beginning Cash Balance
US Dollar Value
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS **
Total Outflows
Period Value
-26,097,354.20
$26,097,354.20
Foreign
Exchange - Outflows
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
$0.00
-(67,093.72)
59,783.68
($7,310.04)
-0.00
0.00
*
Year to date information is calculated on a calendar year basis.
** Your account's standing instructions use a HIGH COST method for relieving
assets
from your position
(71,040.00)
63,300.00
(7,740.00)
-(26,124,964.82)
($26,124,964.82)
Year-To-Date
Value*
-38,966,011.57
$38,966,011.57
(38,988,420.62)
($38,988,420.62)
Local
Value
Current
Period Value
0.00
27,250,000.00
27,250,000.00
EFTA01594543
(27,250,000.00)
(27,250,000.00)
Year-To-Date
Value*
-41,257,740.00
41,257,740.00
(41,250,000.00)
(41,250,000.00)
Account
Page 21 of 36
Consolidated Statement Page 24
EFTA01594544
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Detail - Australia Dollar
INFLOWS & OUTFLOWS
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/8
10/15
10/16
10/17
10/22
10/22
10/22
10/22
Spot FX
Spot FX
Spot FX
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.931875000 TRADE 9/27/13
VALUE 10/08/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .941500000 DEAL 10/10/13
VALUE 10/15/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .946160000 DEAL 10/11/13
VALUE 10/16/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .951200000 DEAL 10/16/13
VALUE 10/17/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.943130000 TRADE 10/04/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.941150000 TRADE 10/14/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.941150000 TRADE 10/14/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .966700000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
(1,933,400.000 )
1,933,400.00
2,000,000.00
EFTA01594545
(2,823,450.000 )
2,912,999.88
3,000,000.00
(2,823,450.000 )
2,912,999.88
3,000,000.00
(1,886,260.000 )
1,941,999.92
2,000,000.00
(2,853,600.000 )
2,853,600.00
3,000,000.00
(2,838,480.000 )
2,838,480.00
3,000,000.00
(1,176,875.000 )
1,176,875.00
1,250,000.00
Quantity
(1,863,750.000 )
Amount USD
Local Value
1,891,299.88
2,000,000.00
Currency
Gain/Loss USD
Account
Page 22 of 36
Consolidated Statement Page 25
EFTA01594546
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Inflows
Spot FX
10/24
10/29
FX Fwd Contract
Total Foreign Exchange - Inflows
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/8
10/15
10/16
10/17
10/22
Spot FX
Spot FX
Spot FX
FX Fwd Contract
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
AUD CONTRACT RATE : 0.933100000 TRADE 10/01/13
VALUE 10/08/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .945900000 DEAL 10/10/13
VALUE 10/15/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .941500000 DEAL 10/14/13
VALUE 10/16/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .952800000 DEAL 10/15/13
VALUE 10/17/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
AUD CONTRACT RATE : 0.946700000 TRADE 10/08/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
Account
Page 23 of 36
Consolidated Statement Page 26
1,893,400.000
(1,940,279.94)
(2,000,000.00)
1,719.98
2,858,400.000
(2,858,400.00)
(3,000,000.00)
4,800.00
2,824,500.000
(2,824,500.00)
EFTA01594547
(3,000,000.00)
(13,980.00)
1,182,375.000
(1,182,375.00)
(1,250,000.00)
5,500.00
Quantity
1,866,200.000
Description
SPOT CURRENCY TRANSACTION - BUY BUY AUD SELL
USD EXCHANGE RATE .968900000 DEAL 10/23/13
VALUE 10/24/13 (ID: OAUDPR-AA-8)
SETTLE FORWARD CURRENCY CONTRACT BUY AUD SELL
USD CONTRACT RATE : 0.966000000 TRADE 10/18/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
$26,097,354.20
Amount USD
Local Value
(1,891,299.88)
(2,000,000.00)
$0.00
Currency
Gain/Loss USD
(5,796,000.000 )
5,697,899.64
6,000,000.00
Quantity
(1,937,800.000 )
Amount USD
Local Value
1,937,800.00
2,000,000.00
Currency
Gain/Loss USD
EFTA01594548
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
Spot FX
10/22
10/22
10/24
10/29
10/29
10/29
10/29
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Spot FX
Description
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966400000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966900000 DEAL 10/18/13
VALUE 10/22/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .966900000 DEAL 10/22/13
VALUE 10/24/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .964430000 DEAL 10/24/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .961630000 DEAL 10/24/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .958140000 DEAL 10/25/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
AUD EXCHANGE RATE .958140000 DEAL 10/25/13
VALUE 10/29/13 (ID: OAUDPR-AA-8)
Total Foreign Exchange - Outflows
($26,124,964.82)
$29,330.60
958,140.000
(958,140.00)
(1,000,000.00)
8,490.06
1,916,280.000
(1,916,280.00)
(2,000,000.00)
EFTA01594549
16,980.12
1,923,260.000
(1,923,260.00)
(2,000,000.00)
23,960.12
964,430.000
(964,430.00)
(1,000,000.00)
14,780.06
1,933,800.000
(1,933,800.00)
(2,000,000.00)
(4,000.00)
1,933,800.000
(1,933,800.00)
(2,000,000.00)
(6,479.93)
Quantity
5,798,400.000
Amount USD
Local Value
(5,798,400.00)
(6,000,000.00)
Currency
Gain/Loss USD
(22,439.81)
Account
Page 24 of 36
Consolidated Statement Page 27
EFTA01594550
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Summary - N Zealand Dollar
Beginning Cash Balance
US Dollar Value
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS **
Total Outflows
Period Value
-11,754,799.45
$11,754,799.45
Foreign
Exchange - Outflows
Ending Cash Balance
(11,744,499.77)
($11,744,499.77)
-Year-To-Date
Value*
-27,276,684.41
$27,276,684.41
(27,300,143.85)
($27,300,143.85)
-Local
Value
Current
Period Value
0.00
14,000,000.00
14,000,000.00
(14,000,000.00)
(14,000,000.00)
0.00
* Year to date information is calculated on a calendar year basis.
** Your account's standing instructions use a HIGH COST method for relieving
assets
from your position
Year-To-Date
Value*
-33,300,000.00
33,300,000.00
(33,300,000.00)
(33,300,000.00)
-Account
Page 25 of 36
Consolidated Statement Page 28
EFTA01594551
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Detail - N Zealand Dollar
INFLOWS & OUTFLOWS
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/8
10/8
10/15
10/18
10/22
10/22
10/24
10/29
FX Fwd Contract
Spot FX
Spot FX
FX Fwd Contract
FX Fwd Contract
Spot FX
FX Fwd Contract
Total Forei n Exchange - Inflows
Account
Page 26 of 36
Description
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.832075000 TRADE 9/30/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.825075000 TRADE 9/30/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .827300000 DEAL 10/10/13
VALUE 10/15/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .843800000 DEAL 10/16/13
VALUE 10/18/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.832150000 TRADE 10/04/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.828890000 TRADE 10/14/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - BUY BUY NZD SELL
USD EXCHANGE RATE .850300000 DEAL 10/23/13
VALUE 10/24/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY NZD SELL
USD CONTRACT RATE : 0.848650000 TRADE 10/18/13
VALUE 10/29/13 (ID: ONZDPR-AA-5)
$11,754,799.45
EFTA01594552
Consolidated Statement Page 29
$0.00
(1,697,300.000 )
1,652,999.91
2,000,000.00
(850,300.000)
850,300.00
1,000,000.00
(1,657,780.000 )
1,704,599.91
2,000,000.00
(1,664,300.000 )
1,704,599.91
2,000,000.00
(1,687,600.000 )
1,687,600.00
2,000,000.00
(827,300.000)
827,300.00
1,000,000.00
(1,650,150.000 )
1,663,699.86
2,000,000.00
Quantity
(1,664,150.000 )
Amount USD
Local Value
1,663,699.86
2,000,000.00
Currency
Gain/Loss USD
EFTA01594553
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/8
10/8
10/15
10/18
10/22
10/22
10/24
10/29
Spot FX
Spot FX
Spot FX
FX Fwd Contract
Spot FX
Spot FX
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
NZD CONTRACT RATE : 0.831200000 TRADE 10/01/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .831900000 DEAL 10/03/13
VALUE 10/08/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .829300000 DEAL 10/10/13
VALUE 10/15/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .839600000 DEAL 10/16/13
VALUE 10/18/13 (ID: ONZDPR-AA-5)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
NZD CONTRACT RATE : 0.832070000 TRADE 10/11/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .849000000 DEAL 10/18/13
VALUE 10/22/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .848900000 DEAL 10/22/13
VALUE 10/24/13 (ID: ONZDPR-AA-5)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
NZD EXCHANGE RATE .828500000 DEAL 10/25/13
VALUE 10/29/13 (ID: ONZDPR-AA-5)
Total Foreign Exchange - Outflows
($11,744,499.77)
($10,299.68)
1,657,000.000
(1,657,000.00)
EFTA01594554
(2,000,000.00)
4,000.09
848,900.000
(848,900.00)
(1,000,000.00)
(1,400.00)
1,698,000.000
(1,698,000.00)
(2,000,000.00)
(6,599.91)
1,664,140.000
(1,704,599.91)
(2,000,000.00)
1,679,200.000
(1,679,200.00)
(2,000,000.00)
(8,400.00)
829,300.000
(829,300.00)
(1,000,000.00)
2,000.00
1,663,800.000
(1,663,800.00)
(2,000,000.00)
100.14
Quantity
1,662,400.000
Amount USD
Local Value
(1,663,699.86)
(2,000,000.00)
Currency
Gain/Loss USD
Account
Page 27 of 36
Consolidated Statement Page 30
EFTA01594555
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Summary - Pound Sterling
Beginning Cash Balance
US Dollar Value
Current
Transactions
INFLOWS
Total Inflows
Foreign Exchange - Inflows
OUTFLOWS **
Total Outflows
Period Value
-25,500,299.77
$25,500,299.77
Foreign
Exchange - Outflows
TRADE ACTIVITY
Settled Sales/Maturities/Redemptions
Settled Securities Purchased
Total Trade Activity
Ending Cash Balance
$0.00
-4,320.95
(6,509.19)
($2,188.24)
-0.00
0.00
*
Year to date information is calculated on a calendar year basis.
** Your account's standing instructions use a HIGH COST method for relieving
assets
from your position
2,700.00
(4,060.00)
(1,360.00)
-(25,520,539.81)
($25,520,539.81)
Year-To-Date
Value*
-38,285,945.60
$38,285,945.60
(38,298,400.93)
($38,298,400.93)
Local
Value
Current
Period Value
0.00
15,800,000.00
15,800,000.00
EFTA01594556
(15,800,000.00)
(15,800,000.00)
Year-To-Date
Value*
-23,804,060.00
23,804,060.00
(23,802,700.00)
(23,802,700.00)
Account
Page 28 of 36
Consolidated Statement Page 31
EFTA01594557
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Detail - Pound Sterling
INFLOWS & OUTFLOWS
Type
Settle Date Selection Method
Foreign Exchange - Inflows
FX Fwd Contract
10/8
10/8
10/11
10/15
10/22
10/22
10/22
10/22
FX Fwd Contract
Spot FX
Spot FX
FX Fwd Contract
FX Fwd Contract
FX Fwd Contract
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.614821400 TRADE 9/30/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.619521400 TRADE 9/30/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.602900000 DEAL 10/08/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.597000000 DEAL 10/09/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.604750000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.612730000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY GBP SELL
USD CONTRACT RATE : 1.602000000 TRADE 10/08/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.617000000 DEAL 10/18/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
(2,425,500.000 )
2,425,500.00
1,500,000.00
EFTA01594558
(1,602,000.000 )
1,621,249.97
1,000,000.00
(3,225,460.000 )
3,242,499.94
2,000,000.00
(3,209,500.000 )
3,242,499.94
2,000,000.00
(1,277,600.000 )
1,277,600.00
800,000.00
(2,320.00)
(3,205,800.000 )
3,205,800.00
2,000,000.00
(3,239,042.800 )
3,221,099.96
2,000,000.00
Quantity
(3,229,642.800 )
Amount USD
Local Value
3,221,099.96
2,000,000.00
Currency
Gain/Loss USD
Account
Page 29 of 36
Consolidated Statement Page 32
EFTA01594559
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Inflows
Spot FX
10/29
Total Foreign Exchange - Inflows
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/8
10/8
10/11
10/11
10/22
10/22
Spot FX
FX Fwd Contract
Spot FX
FX Fwd Contract
FX Fwd Contract
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.620400000 TRADE 10/01/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.619480000 DEAL 10/03/13
VALUE 10/08/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.606460000 TRADE 10/07/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.594100000 DEAL 10/09/13
VALUE 10/11/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.601300000 TRADE 10/04/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.609340000 TRADE 10/09/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
Account
Page 30 of 36
Consolidated Statement Page 33
3,218,680.000
(3,240,538.41)
(2,000,000.00)
1,961.53
3,202,600.000
(3,240,538.42)
(2,000,000.00)
EFTA01594560
1,961.52
1,275,280.000
(1,275,280.00)
(800,000.00)
3,212,920.000
(3,205,800.00)
(2,000,000.00)
(16,500.08)
3,238,960.000
(3,238,960.00)
(2,000,000.00)
17,860.04
Quantity
3,240,800.000
Description
SPOT CURRENCY TRANSACTION - BUY BUY GBP SELL
USD EXCHANGE RATE 1.617180000 DEAL 10/25/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
$25,500,299.77
Amount USD
Local Value
(3,221,099.96)
(2,000,000.00)
($2,320.00)
Currency
Gain/Loss USD
Quantity
(4,042,950.000 )
Amount USD
Local Value
4,042,950.00
2,500,000.00
Currency
Gain/Loss USD
EFTA01594561
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Type
Settle Date Selection Method
Foreign Exchange - Outflows
FX Fwd Contract
10/22
10/29
10/29
FX Fwd Contract
Spot FX
Description
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.599000000 TRADE 10/14/13
VALUE 10/22/13 (ID: OGBPPR-AA-9)
SETTLE FORWARD CURRENCY CONTRACT BUY USD SELL
GBP CONTRACT RATE : 1.616900000 TRADE 10/18/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
SPOT CURRENCY TRANSACTION - SELL BUY USD SELL
GBP EXCHANGE RATE 1.621880000 DEAL 10/24/13
VALUE 10/29/13 (ID: OGBPPR-AA-9)
Total Foreign Exchange - Outflows
($25,520,539.81)
($4,710.13)
1,621,880.000
(1,621,880.00)
(1,000,000.00)
4,700.00
2,425,350.000
(2,425,770.00)
(1,500,000.00)
(17,145.04)
Quantity
3,997,500.000
Amount USD
Local Value
(4,050,673.02)
(2,500,000.00)
Currency
Gain/Loss USD
2,451.90
Account
Page 31 of 36
Consolidated Statement Page 34
EFTA01594562
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Settled Foreign Exchange Contracts
Currency
Trade Date
Settle Date Counter Currency
Trade Related
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
POUND STERLING
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
Oct. 3 13
Oct. 8 13
Oct. 3 13
Oct. 8 13
Oct. 8 13
Oct. 11 13
Oct. 9 13
Oct. 11 13
Oct. 10 13
Oct. 15 13
Oct. 10 13
Oct. 15 13
Oct. 10 13
Oct. 15 13
Oct. 10 13
Oct. 15 13
Oct. 9 13
Oct. 15 13
Oct. 14 13
Oct. 16 13
EFTA01594563
Oct. 15 13
Oct. 17 13
Oct. 16 13
Oct. 17 13
GBP
USD
NZD
USD
GBP
USD
GBP
USD
AUD
USD
AUD
USD
NZD
USD
NZD
USD
GBP
USD
AUD
USD
AUD
USD
AUD
USD
(2,000,000.00)
3,238,960.00
(2,000,000.00)
1,663,800.00
2,000,000.00
(3,205,800.00)
(800,000.00)
1,275,280.00
1,250,000.00
(1,176,875.00)
(1,250,000.00)
1,182,375.00
1,000,000.00
(827,300.00)
(1,000,000.00)
829,300.00
800,000.00
(1,277,600.00)
(3,000,000.00)
2,824,500.00
(3,000,000.00)
2,858,400.00
3,000,000.00
EFTA01594564
(2,853,600.00)
Account
Page 32 of 36
Consolidated Statement Page 35
1.619480
0.831900
1.602900
1.594100
0.941500
0.945900
0.827300
0.829300
1.597000
0.941500
0.952800
0.951200
1.610550
0.831850
1.602900
1.594100
0.941500
0.941500
0.827300
0.827300
1.594100
0.946160
0.951200
0.951200
3,238,960.00
1,663,800.00
(3,205,800.00)
1,275,280.00
(1,176,875.00)
1,182,375.00
(827,300.00)
829,300.00
(1,277,600.00)
2,824,500.00
2,858,400.00
(2,853,600.00)
(3,221,099.96)
(1,663,699.86)
3,205,800.00
(1,275,280.00)
1,176,875.00
(1,176,875.00)
827,300.00
(827,300.00)
1,275,280.00
(2,838,480.00)
(2,853,600.00)
2,853,600.00
EFTA01594565
2,000.00
(2,320.00)
(13,980.00)
4,800.00
5,500.00
17,860.04
100.14
Amount
Counter Amount Contract Rate Revaluation Rate
Contracted Base
Amount USD
Revalued
Amount USD
Currency G/L
EFTA01594566
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Trade Date
Trade Related
N ZEALAND DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
Oct. 16 13
Oct. 18 13
Oct. 16 13
Oct. 18 13
Oct. 18 13
Oct. 22 13
Oct. 18 13
Oct. 22 13
Oct. 18 13
Oct. 22 13
Oct. 18 13
Oct. 22 13
Oct. 18 13
Oct. 22 13
Oct. 22 13
Oct. 24 13
Oct. 22 13
Oct. 24 13
Oct. 23 13
Oct. 24 13
Oct. 23 13
EFTA01594567
Oct. 24 13
Oct. 24 13
Oct. 29 13
Oct. 24 13
Oct. 29 13
NZD
USD
NZD
USD
AUD
USD
AUD
USD
AUD
USD
GBP
USD
NZD
USD
AUD
USD
NZD
USD
AUD
USD
NZD
USD
AUD
USD
AUD
USD
2,000,000.00
(1,687,600.00)
(2,000,000.00)
1,679,200.00
2,000,000.00
(1,933,400.00)
(6,000,000.00)
5,798,400.00
(2,000,000.00)
1,933,800.00
1,500,000.00
(2,425,500.00)
(2,000,000.00)
1,698,000.00
(2,000,000.00)
1,933,800.00
(1,000,000.00)
848,900.00
2,000,000.00
(1,937,800.00)
EFTA01594568
1,000,000.00
(850,300.00)
(1,000,000.00)
964,430.00
(2,000,000.00)
1,923,260.00
0.843800
0.839600
0.966700
0.966400
0.966900
1.617000
0.849000
0.966900
0.848900
0.968900
0.850300
0.964430
0.961630
0.843800
0.843800
0.966700
0.970140
0.970140
1.617000
0.852300
0.968900
0.850300
0.968900
0.850300
0.949650
0.949650
(1,687,600.00)
1,679,200.00
(1,933,400.00)
5,798,400.00
1,933,800.00
(2,425,500.00)
1,698,000.00
1,933,800.00
848,900.00
(1,937,800.00)
(850,300.00)
964,430.00
1,923,260.00
1,687,600.00
(1,687,600.00)
1,933,400.00
(5,820,839.81)
(1,940,279.93)
2,425,500.00
EFTA01594569
(1,704,599.91)
(1,937,800.00)
(850,300.00)
1,937,800.00
850,300.00
(949,649.94)
(1,899,299.88)
14,780.06
23,960.12
(6,599.91)
(4,000.00)
(1,400.00)
(22,439.81)
(6,479.93)
(8,400.00)
Currency
Settle Date Counter Currency
Amount
Counter Amount Contract Rate Revaluation Rate
Contracted Base
Amount USD
Revalued
Amount USD
Currency G/L
Account
Page 33 of 36
Consolidated Statement Page 36
EFTA01594570
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Trade Date
Trade Related
POUND STERLING
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
Speculative
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
Sep. 27 13
Oct. 8 13
Sep. 30 13
Oct. 8 13
Sep. 30 13
Oct. 8 13
Sep. 30 13
Oct. 8 13
Sep. 30 13
Oct. 8 13
Oct. 1 13
Oct. 8 13
Oct. 1 13
Oct. 8 13
AUD
USD
GBP
USD
GBP
USD
NZD
USD
EFTA01594571
NZD
USD
GBP
USD
NZD
USD
2,000,000.00
(1,863,750.00)
2,000,000.00
(3,229,642.80)
2,000,000.00
(3,239,042.80)
2,000,000.00
(1,664,150.00)
2,000,000.00
(1,650,150.00)
(2,000,000.00)
3,240,800.00
(2,000,000.00)
1,662,400.00
0.931875
1.614821
1.619521
0.832075
0.825075
1.620400
0.831200
0.945650
1.610550
1.610550
0.831850
0.831850
1.610550
0.831850
(1,863,750.00)
(3,229,642.80)
(3,239,042.80)
(1,664,150.00)
(1,650,150.00)
3,240,800.00
1,662,400.00
1,891,299.88
3,221,099.96
3,221,099.96
1,663,699.86
1,663,699.86
(3,221,099.96)
(1,663,699.86)
Account
27,549.88
(8,542.84)
Page 34 of 36
EFTA01594572
(17,942.84)
(450.14)
13,549.86
19,700.04
(1,299.86)
Consolidated Statement Page 37
Oct. 24 13
Oct. 29 13
Oct. 25 13
Oct. 29 13
Oct. 25 13
Oct. 29 13
Oct. 25 13
Oct. 29 13
Oct. 25 13
Oct. 29 13
GBP
USD
AUD
USD
AUD
USD
GBP
USD
NZD
USD
(1,000,000.00)
1,621,880.00
(2,000,000.00)
1,916,280.00
(1,000,000.00)
958,140.00
2,500,000.00
(4,042,950.00)
(2,000,000.00)
1,657,000.00
1.621880
0.958140
0.958140
1.617180
0.828500
1.617180
0.949650
0.949650
1.617180
0.826500
1,621,880.00
1,916,280.00
958,140.00
(4,042,950.00)
1,657,000.00
EFTA01594573
(1,617,180.00)
(1,899,299.88)
(949,649.94)
4,042,950.00
(1,652,999.91)
4,000.09
4,700.00
16,980.12
8,490.06
Currency
Settle Date Counter Currency
Amount
Counter Amount Contract Rate Revaluation Rate
Contracted Base
Amount USD
Revalued
Amount USD
Currency G/L
EFTA01594574
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Trade Date
Speculative
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
POUND STERLING
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
Oct. 1 13
Oct. 8 13
Oct. 7 13
Oct. 11 13
Oct. 11 13
Oct. 16 13
Oct. 4 13
Oct. 22 13
Oct. 4 13
Oct. 22 13
Oct. 4 13
Oct. 22 13
Oct. 4 13
Oct. 22 13
Oct. 4 13
Oct. 22 13
Oct. 8 13
Oct. 22 13
Oct. 8 13
Oct. 22 13
Oct. 9 13
EFTA01594575
Oct. 22 13
Oct. 11 13
Oct. 22 13
Oct. 14 13
Oct. 22 13
AUD
USD
GBP
USD
AUD
USD
AUD
USD
GBP
USD
GBP
USD
GBP
USD
NZD
USD
AUD
USD
GBP
USD
GBP
USD
NZD
USD
AUD
USD
(2,000,000.00)
1,866,200.00
(2,000,000.00)
3,212,920.00
3,000,000.00
(2,838,480.00)
2,000,000.00
(1,886,260.00)
2,000,000.00
(3,209,500.00)
2,000,000.00
(3,225,460.00)
(2,000,000.00)
3,202,600.00
2,000,000.00
(1,664,300.00)
(2,000,000.00)
1,893,400.00
1,000,000.00
(1,602,000.00)
EFTA01594576
(2,000,000.00)
3,218,680.00
(2,000,000.00)
1,664,140.00
3,000,000.00
(2,823,450.00)
0.933100
1.606460
0.946160
0.943130
1.604750
1.612730
1.601300
0.832150
0.946700
1.602000
1.609340
0.832070
0.941150
0.945650
1.602900
0.946160
0.971000
1.621250
1.621250
1.620269
0.852300
0.970140
1.621250
1.620269
0.852300
0.971000
1,866,200.00
3,212,920.00
(2,838,480.00)
(1,886,260.00)
(3,209,500.00)
(3,225,460.00)
3,202,600.00
(1,664,300.00)
1,893,400.00
(1,602,000.00)
3,218,680.00
1,664,140.00
(2,823,450.00)
(1,891,299.88)
(3,205,800.00)
2,838,480.00
1,941,999.92
3,242,499.94
3,242,499.94
EFTA01594577
(3,240,538.42)
1,704,599.91
(1,940,279.94)
1,621,249.97
(3,240,538.41)
(1,704,599.91)
2,912,999.88
55,739.92
32,999.94
17,039.94
(37,938.42)
40,299.91
(46,879.94)
19,249.97
(21,858.41)
(40,459.91)
89,549.88
(25,099.88)
7,120.00
Currency
Settle Date Counter Currency
Amount
Counter Amount Contract Rate Revaluation Rate
Contracted Base
Amount USD
Revalued
Amount USD
Currency G/L
Account
Page 35 of 36
Consolidated Statement Page 38
EFTA01594578
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Trade Date
Speculative
AUSTRALIA DOLLAR
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
AUSTRALIA DOLLAR
U S DOLLAR
POUND STERLING
U S DOLLAR
N ZEALAND DOLLAR
U S DOLLAR
Oct. 14 13
Oct. 22 13
Oct. 14 13
Oct. 22 13
Oct. 14 13
Oct. 22 13
Oct. 18 13
Oct. 29 13
Oct. 18 13
Oct. 29 13
Oct. 18 13
Oct. 29 13
AUD
USD
NZD
USD
GBP
USD
AUD
USD
GBP
USD
NZD
USD
3,000,000.00
(2,823,450.00)
2,000,000.00
(1,657,780.00)
(2,500,000.00)
3,997,500.00
6,000,000.00
(5,796,000.00)
(1,500,000.00)
2,425,350.00
2,000,000.00
EFTA01594579
(1,697,300.00)
0.941150
0.828890
1.599000
0.966000
1.616900
0.848650
0.971000
0.852300
1.620269
0.949650
1.617180
0.826500
(2,823,450.00)
(1,657,780.00)
3,997,500.00
(5,796,000.00)
2,425,350.00
(1,697,300.00)
2,912,999.88
1,704,599.91
(4,050,673.02)
5,697,899.64
(2,425,770.00)
1,652,999.91
89,549.88
46,819.91
(53,173.02)
(98,100.36)
(420.00)
(44,300.09)
Currency
Settle Date Counter Currency
Amount
Counter Amount Contract Rate Revaluation Rate
Contracted Base
Amount USD
Revalued
Amount USD
Currency G/L
Account
Page 36 of 36
Consolidated Statement Page 39
EFTA01594580
J.P. Morgan Securities LLC
SOUTHERN TRUST COMPANY, INC
383 Madison Avenue, New York, NY 10179
ACCT.
For the Period 10/1/13 to 10/31/13
Margin Account
J.P. Morgan Team
William Sheridan
Justin Nelson
Paul Barrett
Janet Young
Gina Magliocco
Jason Grosse
Online access
Banker
Banker
Investment Specialist
Client Service Team
Client Service Team
Client Service Team
www.jpmorganonline.com
Transactions cleared and carried through J.P. Morgan Clearing Corp.
Three
Chase Metrotech Center, Brooklyn, NY 11245-0001,
Please see disclosures located at the end of this statement package for
important information relating to each J.P.Morgan account(s).
Table of Contents
Account Summary
Holdings
Equity
Cash & Fixed Income
Portfolio Activity
Page
2
3
4
6
Account
Page 1 of 7
Consolidated Statement Page 40
EFTA01594581
SOUTHERN TRUST COMPANY, INC
Account Summary
MARGIN
Cash
Asset Allocation
Equity
Cash & Fixed Income
Market Value
Market Value
0.00
2,200.00
$2,200.00
Margin
Market Value
0.00
78,228.15
$78,228.15
Current
Portfolio Activity
Beginning Market Value
Contributions
Withdrawals & Fees
Net Contributions/Withdrawals
Change In Investment Value
Ending Market Value
$0.00
1,739.64
$80,428.15
Period Value
78,688.51
Short
Market Value
0.00
0.00
$0.00
Year-to-Date
Value
0.00
152,400.00
(75,000.00)
$77,400.00
3,028.15
$80,428.15
Current
Income Summary
ST Realized Gain/Loss
Realized Gain/Loss
Period Value
2,409.08
$2,409.08
Year-to-Date
EFTA01594582
Value
3,028.15
$3,028.15
Total
Estimated
Current
Market Value Annual Income Allocation
0.00
80,428.15
$80,428.15
$0.00
100%
100%
ACCT.
For the Period 10/1/13 to 10/31/13
Cost Summary
Cash & Fixed Income
80,428.15
Cost
Total
$80,428.15
Investment Objectives
Speculation Permitted
Capital Appreciation
Yes
Yes
Account
Page 2 of 7
Consolidated Statement Page 41
EFTA01594583
SOUTHERN TRUST COMPANY, INC
Equity Summary
Asset Categories
Concentrated & Other Equity
Beginning
Market Value
(9,800.00)
Ending
Market Value
0.00
Change
In Value
9,800.00
Current
Allocation
ACCT.
For the Period 10/1/13 to 10/31/13
Account
Page 3 of 7
Consolidated Statement Page 42
EFTA01594584
SOUTHERN TRUST COMPANY, INC
Cash & Fixed Income Summary
Beginning
Asset Categories
Cash
Market Value
88,488.51
ACCT.
For the Period 10/1/13 to 10/31/13
Ending
Market Value
80,428.15
Change
In Value
(8,060.36)
Current
Allocation
100%
Current
Market Value/Cost
Market Value
Cost
SUMMARY BY MATURITY
1
Cash & Fixed Income
0-6 months
1
Period Value
80,428.15
80,428.15
SUMMARY BY TYPE
Market
Value
80,428.15
% of Bond
Portfolio
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.
Cash & Fixed Income
Cash
Market
Value
80,428.15
% of Bond
Portfolio
100%
Account
Page 4 of 7
Consolidated Statement Page 43
EFTA01594585
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Cash & Fixed Income Detail
Quantity
Price
Cash
US DOLLAR
US DOLLAR
Total Cash
1.00
1.00
2,200.00
Cash
78,228.15
Margin
2,200.00
78,228.15
$80,428.15
2,200.00
78,228.15
$80,428.15
$0.00
$0.00
0.00%
Account
Value
Adjusted Cost
Original Cost
Unrealized
Gain/Loss
Est. Annual Income
Accrued Interest
Yield
Account
Page 5 of 7
Consolidated Statement Page 44
EFTA01594586
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
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
(8,060.36)
($8,060.36)
$80,428.15
* Year to date information is calculated on a calendar year basis.
** Your account's standing instructions use a HIGH COST method for relieving
assets
from your position
(17,860.72)
20,888.87
$3,028.15
-Current
Period
Value
88,488.51
Year-To-Date
Value*
-152,400.00
$152,400.00
(75,000.00)
($75,000.00)
Account
Page 6 of 7
Consolidated Statement Page 45
EFTA01594587
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Portfolio Activity Detail
TRADE ACTIVITY
Note:
Trade Date
Settle Date
S indicates Short Term Realized Gain/Loss
Type
Selection Method Description
Settled Sales/Maturities/Redemptions
10/1
10/2
Option Buyback PROSHARES ULTRASHORT GOLD NEW PUT 01/18/14
High Cost
SUB-ACCOUNT: MGN (ID: 74347W-9D-J)
Quantity
10.000
Per Unit
Amount
806.036
Proceeds
(8,060.36)
Cost
10,469.44
Realized
Gain/Loss
2,409.08 S
Account
Page 7 of 7
Consolidated Statement Page 46
91
EFTA01594588
THIS PAGE INTENTIONALLY LEFT BLANK
EFTA01594589
JPMorgan Chase Bank, N.A.
270 Park Avenue, New York, NY 10017-2014
SOUTHERN TRUST COMPANY, INC ACCT.
For the Period 10/1/13 to 10/31/13
Derivatives Account
J.P. Morgan Team
William Sheridan
Justin Nelson
Janet Young
Gina Magliocco
Jason Grosse
Online access
Banker
Banker
Client Service Team
Client Service Team
Client Service Team
www.jpmorganonline.com
No market value or activity to report during this period
Please see disclosures located at the end of this statement package for
important information relating to each J.P.Morgan account(s).
Account
Page 1 of 1
Consolidated Statement Page 47
EFTA01594590
THIS PAGE INTENTIONALLY LEFT BLANK
EFTA01594591
For the Period 10/1/13 to 10/31/13
For your convenience we have combined statement(s) for activity you conduct
through J.P. Morgan in one package. Below are important disclosures relating
to these different accounts.
These statements may relate to various account types. Some of the
disclosures are applicable to all of your accounts. For ease of reference
the disclosures applicable to a particular type
of account have been grouped together by descriptive headers.
IMPORTANT GENERAL INFORMATION APPLICABLE TO ALL OF YOUR ACCOUNT(S)
Important Information about Pricing ,Valuations, Estimated Annual Income,
and Estimated Yield
Market value information (including without limitation, prices, exchange
rates, accrued income and bond ratings) furnished herein, some of which has
been provided by pricing sources that J.P. Morgan
believes to be reliable, is not guaranteed for accuracy but provided for
informational purposes and is furnished for the exclusive use of the client.
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 value for Real Estate, Mineral
Interests and Miscellaneous Assets may not reflect
the most current value of the asset.
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. When J.P. Morgan is unable to obtain a price from an
internal or outside source for a particular ARS, the price
column on your statement will indicate "unpriced".
Valuations of over-the-counter derivative transactions, including certain
derivatives-related deposit products, have been prepared on a mid-market
basis. These valuations are sourced from the various
issuers of the securities or they are sourced from a third party valuation
provider. 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.
Certain assets, including but not limited to, pooled and private
investments, non-publicly traded and infrequently traded securities,
derivatives, partnership interests and tangible assets are generally
illiquid, the value of such asset may have been provided to us by third
EFTA01594592
parties who may or may not be independent of the issuer or manager. Such
information is reflected as of the last date provided to
us, and is not independently verified.
In cases where we are unable to obtain a current market value from an
internal or outside source for a particular security, the price column on
your statement will indicate "unpriced". Although such
securities may have value, please note that the value of a security
indicated as "unpriced" will not be included in your overall current market
value as reflected on the statement.
J.P. Morgan makes no representation, warranty or guarantee, express or
implied, that any quoted value represents the actual terms at which
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. Such values may only be indicative.
When we are unable to obtain a current value from an internal or outside
source for a particular security, the price column on your statement will
indicate "unpriced".
If a partial call is made with respect to an issue of securities included in
your Accounts we will allocate the call by a method we deem fair and
equitable.
To the extent applicable, please note the following 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.
Offshore Deposits - London and Nassau
Disclosures Page 1 of 3
EFTA01594593
For the Period 10/1/13 to 10/31/13
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 Accounts (TD F
90-22.1).
Bank products and services are offered through JPMorgan Chase Bank, N.A.
("JPMCB") and its banking affiliates. Securities are offered by J.P.Morgan
Securities LLC ("JPMS") and, to the extent
noted below, cleared through J.P. Morgan Clearing Corp. ("JPMCC").
Neither JPMS, nor JPMCC is a bank and are each separate legal entities from
its bank or thrift affiliates.
Investment Products: Not FDIC Insured
-No Bank Guarantee -May Lose Value
Fund manager disclosure information available upon request
If you have an investment account that is managed by an SEC-Registered
Investment Advisor, J.P. Morgan will provide a copy of the advisor's Form
ADV II or brochure upon written request.
These statements are not official documents for income tax reporting
purposes and should not be relied upon for such purposes, including
determination of income, cost basis, amortization or accretion,
or gain/loss. Such information, which may be inaccurate, incomplete or
subject to updating, should be confirmed with your records and your tax
advisor.
Please take the steps indicated below if you think statement(s) are
incorrect or contact your J.P.Morgan team if you require additional
information about a transaction on your
statement(s).
IMPORTANT ADDITIONAL INFORMATION APPLICABLE ONLY TO YOUR ASSET ACCOUNT(S)
(LINKED TO JPMS)
Your Asset Account consists of a bank account that custodies assets linked
to a brokerage account through which securities transactions are executed.
As a result, the Asset Account statement(s) reflect
brokerage transactions executed through JPMS but (except for exchange listed
options) held in custody at JPMCB. Securities purchased or sold through JPMS
in U.S. markets (other then mutual
funds) are cleared through an affiliate of JPMS, in non-U.S. markets
securities are cleared through JPMS. Positions in exchange-listed options
are held by JPMCC. 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).
In Case of Other Errors or Questions About Your Asset Account Statement(s)
Please review your statement(s) and promptly report any inaccuracy or
discrepancy including possible unauthorized trading activity, unrecorded
dividend payments, unaccounted cash positions,
EFTA01594594
improper payments or transfers in writing to both the introducing broker,
JPMS and the clearing firm, JPMCC at the addresses shown on your
statement(s). 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 J.P.Morgan team.
In your written communication, 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. We must
receive your written communication no later than 30
days after the statement on which the error or problem appeared is sent or
made available. If you do not so notify us, you agree that the statement
activity and account balance(s) are correct.
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 JPMCC are protected
by SIPC up to $500,000 per customer, which includes up to $250,000 of
protection for cash. SIPC does not protect
against losses from fluctuations in the value of the securities. Assets held
in custody by JPMCB 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
In Case of Errors or Questions About Your Electronic Transfers.
Disclosures Page 2 of 3
EFTA01594595
For the Period 10/1/13 to 10/31/13
Contact your J.P. Morgan Team at one of the telephone numbers on the front
of your statements or write us at J.P. Morgan, 500 Stanton Christiana Road,
1/OPS3, 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 an
error or why you need more information. (3) Tell us the dollar amount of the
suspected error. We will investigate your complaint and will correct any
error promptly. If we take more than 10 business
days (or 20 business days for new accounts) to do this, we will credit your
account for the amount you think is in error, so that you will have the use
of the money during the time it takes us to complete
our investigation.
In Case of Errors or Questions About Non-Electronic Transfers (Checks or
Deposits)
Contact JPMorgan Chase Bank, N.A. ("JPMCB") Member FDIC immediately if a
statement is incorrect or if you need more information about any non-
electronic transactions (checks or deposits) on this
statement. If any such error appears, you must notify the bank in writing as
soon as possible after your statement was made available to you. For more
complete details, see the applicable account
agreements and appendices that govern your account.
Deposit products and services are offered by JPMCB Member FDIC.
You must promptly advise your J.P.Morgan representative of material changes
in your investment objectives or financial situation or if you wish to
modify the management of your account. Unless you
inform otherwise, your J.P.Morgan representative will consider the
information currently in its files to be complete and accurate.
With reference to JPMS and JPMCC: 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.
You should have received (or have made available to you) 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 or have
made available to you. Upon written request, JPMS will promptly supply you
with the latest information.
IMPORTANT ADDITIONAL INFORMATION APPLICABLE ONLY TO YOUR MARGIN ACCOUNT(S)
All positions in your Margin Account Portfolio(s) are held in custody at
J.P. Morgan Clearing Cor . ("JPMCC"), Three Chase Metrotech Center,
Brooklyn, NY 11245-001,
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If you have a margin account 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.
Disclosures Page 3 of 3
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