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DB
Account Number Account Name Description Trade Date Quantity
Cusip As-of Date Loca 1 CCY Base CCY Settlement Date Quantity
Local Price Base Price Pricing Date Local Trade Date Cost
Base Trade Date Cost Local Settlement Date Cost Base Settlement Date
Cost Local Trade Date Market Value Base Trade Date Market Value
Local Settlement Date Market Value Base Settlement Date Market Value
Local Accrued Income Base Accrued Income Loca 1 Est. Annual Income
Base Est. Annual Income Local Unrealized G/L Base Unrealized G/L
Mark et Spot Rate Maturity/Contract Expiry Date Coupon/Interest rate
S&P Rating Moody Rating Accrued Interest Limit Available
DM ECI ECI Region of Risk Implementation Vehic
le
JPMS ADP
ISIN Trade Type Original Face Amount Price with Sinking Bond Fact
USD
USD
.0
2200.0
0.0
[repeated 3 times] 9/2013 USD 96088.87
0.0
0.0
94
91.93 -19891.93 -17100.0
0.0
IIIIIIIIII.°
0.0
ALLY FINANCIAL INC 8 1/2% PFD 57000.0
USD
USD
57000.0 0.0 26.82 16/09/2013 1489980.0 [repeated 4 times]
1528740.0
0.0
120840.0
0.0
120840.0 760.0 38760.0 1.0 Benchmark Aware
0.0
NA
CAA1
0.0
SOUTHERN TRUST COMPANY, INC-MGN US DOLLAR 2200.0 0.0
1.0
16/09/2013 2200.0 2200.0 0.0
0.0
[repeated 6 times] 2200.0 2200.0
0.0
OUSDPRAA7 2200.0 2200.0
1.0
16/09/2013 2200.0 2200
0.0
SOUTHERN TRUST COMPANY, INC-MGN US DOLLAR 96088.87
16/0
USD
96088.87
0.0
1.0
16/09/2013 96088.87 [repeated 6 times]
0.0
0.0
1.0
96088.87
0.0
0.0
0243896266
SOUTHERN TRUST 16/09/2013 -996.94 -910.0 18/01/2014
Benchmark Aware
SOUTHERN TRUST COMPANY, 16/09/2013 -19891.93
0.0
USD
USD
-910.0 -910.0
0.0
AAA*
0.0
[repeated 6 times]
PROSHARES ULTRASHORT GOLD NEW PUT 01/18/14 @ 90 -1.0
-1.0
0.0
9.1
16/09/2013 -996.94 -996 -910.0 0.0
0.0
86.94 86.9
0.0
0243
0.0
0.0
INC-MGN PROSHARES ULTRASHORT GOLD NEW PUT 01/18/14 @ 91 -19.
USD
USD
-19.0
0.0
9.0
16/09/2013 -198 -19891.93 -17100.0
0.0
2791.93 2791.93 1.0 18/01/2014
0.0
AAA* Benchmark Aware
PROT0
JPM
Account Number Account Name Description Maturity/Contract Expiry Date
Trade Date Quantity Ticker Cusip As-of Date Local CCY
Base CCY Settlement Date Quantity Loca 1 Price Base Price
Pricing Date Local Trade Date Cost Base Trade Date Cost
Local Settle ment Date Cost Base Settlement Date Cost
Local Trade Date Market Value Base Trade Date Mark et Value
Local Settlement Date Market Value Base Settlement Date Market Value
Loca 1 Accrued Income Base Accrued Income Local Est. Annual Income
Base Est. Annual Inc ome Local Unrealized G/L Base Unrealized G/L
Market Spot Rate Coupon/Interest rate S&P Rating Moody Rating
Accrued Interest Limit Available
DM ECI ECI Regi on of Risk Implementation Vehicle JPMS ADP
ISIN Trade Type Original Face Amount Price with Sinking Bond Factor included
W89640002
HSBC BRL STEP UP NOTE 3/27/14 LNKD TO BRL VS USD 85%
BARRIER- 5%CPN-28.5% MXRTRN 3/13/13; INITIAL STRIKE: 1.9619
27/03/2014 40432XD32 16/09/2013
USD
USD
1000000.0 1000000.0
0.0
80.07 16/09/2013 1000 000.0 1000000.0 800700.0
0.0
-199300.0 -199300.0
1.0
0.0
9710670708 0243896266
US40432XD326
0.0
0.0
W89640002
HSBC BRL STEP UP NOTE 4/21/14 LNKD TO BRL VS USD 85%
BARRIER- 5tCPN-28.5% MXRTRN 4/5/13 INITIAL STRIKE: 2.0035
21/04/2014 40432XE56 16/09/2013
USD
USD
1000000.0 1000000.0
0.0
82.57 16/09/2013 1000 000.0 1000000.0 825700.0
0.0
-174300.0 -174300.0
1.0
0.0
9710670708 0243896266
US40432XE563
0.0
0.0
W97565001
BUY GBP SELL USD FORWARD CONTRACT FX RATE 1.5636330T
RADE 08/21/13 VALUE 09/23/13 23/09/2013
FXGBPBDLV 16/09/2013
GBP
USD
1000000.0 1000000.0 1.594
0.0
16/09/2013 -1563633.0
0.0
-1563633.0 1563633.0 18719.895 26212.264 18719.895
26212.264
0.0
18719.895 26212.264 1.59355 1.563633
0.0
9710670708 0243896266
0.0
0.0
W97565001
BUY USD SELL GBP FORWARD CONTRACT FX RATE 1.5490000T
RADE 08/29/13 VALUE 09/23/13 23/09/2013
FXUSDBMMO 16/09/2013
GBP
USD
1549000.0 1549000.0
0.0
1.594 16/09/2013 -1000000.0
0.0
-1000000.0 1593462.45 -27903.042 -40844.529 -27903.042
-40844.529
0.0
-27903.042 -40844.529 1.59355 1.549
0.0
9710 670708 0243896266
0.0
0.0
W97565001
BUY USD SELL NZD FORWARD CONTRACT FX RATE .7770000TR
ADE 08/29/13 VALUE 09/23/13 23/09/2013
FXUSDBMMP 16/09/2013
NZD
USD
2719500.0 2719500.0
0.0
1.222 16/09/2013 -3500000.0
0.0
-3500000.0 2862502.72 -174850.321 -134437.667 -174850.321
-134437.667
0.0
-174850.321 -134437.667 1.22212 0.777
0.0
9710
0.0
0.0
W97565001
BUY USD SELL AUD FORWARD CONTRACT FX RATE .9300000TR
ADE 09/10/13 VALUE 09/27/13 27/09/2013
FXUSDBMPW 16/09/2013
AUD
USD
1860000.0 1860000.0
0.0
1.07 16/09/2013 -2000000.0
0.0
-2000000.0 1866939.53 -7434.124 -311.495 -7434.124
-311.495
0.0
-7434.124 -311.495 1.070492 0.93
0.0
9710670708 0243896266
0.0
0.0
W97565001
BUY AUD SELL USD FORWARD CONTRACT FX RATE .9219000TR
ADE 09/13/13 VALUE 09/27/13 27/09/2013
FXAUDBBKK 16/09/2013
AUD
USD
1000000.0 1000000.0 1.07
0.0
16/09/2013 -921900.0
0.0
-921900.0 921900.0 12394.36 8255.106 12394.36 8255.106
0.0
12394.36 8255.106 1.070492 0.9219
0.0
9710670708 0243896266
0.0
0.0
W97565001
N 24, 2014 @ .94 KI @ 0.96 KO @ 0.88 24/01/2014
XAUDCAFKZ 16/09/2013
USD
USD
-1.0E7 -1.0E7 0.0
1.0
13/09/2013 -96350.0 -141976.867
0.0
-45626.867 -45626.867
1.0
0.0
9710
0.0
0.0
W97565001
N 23, 2014 @ .82 KI @ 0.845 KO @ 0.768 23/01/2014
XNZDCADDZ 16/09/2013
USD
USD
-1.0E7 -1.0E7 0.0
1.0
13/09/2013 -82000.0 -148292.662
0.0
-66292.662 -66292.662
1.0
0.0
9710
0.0
0.0
W97565001
N 29, 2014 @ 95. KI @ 94 KO @101 29/01/2014
XJPYCAUWZ 16/09/2013
USD
USD
-4.75E8 -4.75E8 0.0
1.0
13/09/2013 -71250.0 -46610.602
0.0
24639.398 24639.398
1.0
0.0
9710
0.0
0.0
W97565001
B 06, 2014 @ .8 KO @ 0.77 06/02/2014
XNZDCADEZ 16/09/2013
USD
USD
-2000000.0 -2000000.0
0.0
1.0
13/09/2013 -15280.0 -15280.0 -152 80.0 -15280.0 -49766.905
0.0
0.0
PROT1
0.0
0.0
9710670708 W97565001 B 06, 2014 @ 1 16/09/2013 47.5
-49847 -149261.76
0.0
W97565001 N 24, 2014 @ .
9/2013 USD -43654.5
0.0
43654.
896266
0.0
0.0
W97565001
B 11, 2014 @ 1.02 11/02/2014
XCADCAFGZ 16/09/2013
USD
USD
-459 0000.0 -4590000.0
0.0
1.0
13/09/2013 -58500.0 -46044.476
0.0
12455.524 12455.524
1.0
0.0
9710
0.0
0.0
W97565001
B 06,2014 8 .92 0.9230 WINDOW KI EXPIRING 13 SEP 13 OPTION KNOCKEDIN
06/02/2014
XAUD
CAFLZ 16/09/2013
USD
USD
-5000000.0 -5000000.0
0.0
1.0
13/09/2013 -18400.0 -135637.19 -135637.19 -135 637.19 -135637.19
0.0
-117237.19 -117237.19
1.0
0.0
9710670708 0243896266
0.0
0.0
W97565001
N 24, 2014 @ .89 KI @ 0.84 24/01/2014
XAUDPAJFZ 16/09/2013
USD
USD
-5000000.0 -5000000.0
0.0
1.0
13/09/2013 -51100.0 -51100.0 -511 00.0 -51100.0 -52298.009
0.0
-1198.009 -1198.009
1.0
0.0
9710670708 0243896266
0.0
0.0
W97565001
N 23, 2014 @ .79 KI @ 0.75 23/01/2014
XNZDPAFAZ 16/09/2013
USD
USD
-5000000.0 -5000000.0
0.0
1.0
13/09/2013 -78144.0 -78144.0 -781 44.0 -78144.0 -62266.805
0.0
15877.195 15877.195
1.0
0.0
9710670708 0243896266
0.0
0.0
W97565001
WRITE - JPY PUT USD CALL FX EUROPEAN STYLE OP FEB 06 , 2014 @ 102 KI @ 106
06/02/2014
XJPYPBGDZ 16/09/2013
USD
USD
-5.1
E8
-5.1E8 0.0
1.0
13/09/2013 -93500.0 -935 00.0 -72465.86
0.0
21034.14 21034.14
1.0
0.0
9710670708 0243896266
0.0
0.0
W97565001
US DOLLAR 5612727.35
OUSD
PRAA7 16/09/2013
USD
USD
5612727.35
0.0
1.0
16/09/2013 5612727.35 [repeated 7 times] 5612 727.35 0.0
0.0
561.273 561.273 0.0
0.0
1.0
0.0
-34486.905 -34486.905
1.0
0.0
0243896266
0.0
0.0
.57 KI @ 1.585 KO @ 1.53 OPTION KNOCKED IN 06/02/2014
XGBPCAOVZ
USD
USD
-5000000.0 -5000000.0
0.0
1.0
12/09/2013 -498
.5
-49847.5 -49847.5 -149261.76
0.0
-99414.0 -99414.0
1.0
0.0
9710670708 0243896266
89 WINDOW RKI @ 0.8760 UNTIL 9SEP13 24/01/2014
XAUDPAJEZ 16/0
USD
-4500000.0 -4500000.0
0.0
0.0
13/09/2013 -43654.5
0.0
[repeated 7 times] 5 43654.5 1.0
0.0
9710670708 0243 W89640002
PETROLEOS DE VENEZUELA S 8 1/2% 9/2010 HELD BY EUROCLEAR ISIN USP7807HAK16 SEDOL BSSCOL3
2000000.0 9/2013 USD
USD
2000000.0
0.0
93.255 16/09/2013 1985000 1985000.0 1985000.0 1865100.0
0.0
63750.0 170000.0 170000.0 -119900.0 -119900.0
8.5
B
NA
63750.0 0.0
0.0
9710670708 0243896266
USP7807HAK16
0.0
0.0
NOV 02 2017 DTD 10/2 7165509A8 16/0
.0
1985000.0 1865100.0 6375
1.0
02/11/2017
PROT2