Text extracted via OCR from the original document. May contain errors from the scanning process.
DB
Account Number Description Ticker Cusip As-of Date
Local CCY Base CCY Trad e Date Quantity Settlement Date Quantity
Local Price Base Price Pricing Date Loca 1 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
ed
JPM LATIN AMERICA FD - SEL FUND 3815
JLTSX 4812A3478 16/09/2013
USD
USD
49504.95 49504.95
0.0
18.17 16/09/2013 1000000.0 [repeated 4 times] 899504.94
0.0
0.0
841.58 841.58 -100495.05 -100495.05
1.0
0.0
[repeated 3 times] 9710670708 0241499376 Non US Equity
Benchmark Aware
0.0
DEUTSCHE BK AG LDN BRH DEL LONG ETN38
DAG
16/09/2013
USD
USD
50000.0 50000.0 0.0 8.58 16/09/2013 352529.0 429000.0
0.0
76471.0 76471.0 1.0
0.0
NA
0.0
9710670708 0241499376
0.0
0.0
JPM VALUE ADVANTAGE FD - INSTL FUND 1400
JVAIX 4812A2587 16/09/2013
USD
USD
78709.17 78709.17
0.0
25.84 16/09/2013 2000000.0 2000 000.0 2000000.0 2000000.0
2033844.95
0.0
0.0
19992.12 19992.12 33844.95 33844.95
1.0
0.0
9710670708 0241499376
US Equity Benchmark Ag nostic
0.0
0.0
ALLY FINANCIAL INC 8 1/2% PFD
ALLY PRB 16/09/2013
USD
USD
126600.0 126600.0
0.0
26.82 16/09/2013 2782242.51 3395412.0
0.0
0.0
268392.0 268392.0 613169.49 613169.49
1.0
0.0
NA
CAA1
0.0
9710670708 0241499376
0.0
0.0
743925.0
5.0
78925.0 499376
0.0
0.0
USD
USD
17500.0 1750 665000.0 665000.0
0.0
7892
0.0
9710670708 0241
0.0
0.0
IIIIIIIIII0000.0 0.0 10.73 16/09/2013 422214.0 800677106
16/09/2013 14.0 536500.0
0.0
114286.0 114286.0
1.0
0.0
NA
0.0
670708 0241499376
SERVICEMASTER COMPANY 8% FEB 15 2020 DTD 02/13/2012
ZZZZ
FACEBOOK INC-A FB 16/09/2013 42.51 16/09/2013 665000.0
665000.0 743925.0
0.0
1.0
0.0
NA
0.0
0.0
USD
USD
0
5000 4222
0.0
9710 16/0 9/2013 USD
USD
2500000.0 2500000.0
0.0
99.52 16/09/2013 2665625.0 2488000.0 2488 000.0 17777.5 17777.5 200000.0
200000.0 -177625.0 -177625.0
1.0
15/0 2/2020 8.0
CCC+
CAA1 17777.5 0.0
0.0
9710670708 0241499376
0.0
0.0
HEADWATERS INC 7.625 04/01/2019 DTD
SD
1000000.0 1000000.0
0.0
000.0 1035000.0 1035000.0 1057500.0 35159.0 35159.0 76250.0 76250.0 22500.0 22500.0 1.0
9.0
0.0
0.0
9710670708 0241499376
0
9/2013 USD 300000.0 24.0 10139.4 10139.4 0.0
0.0
0.0
9/2013 GBP 214034.78
0.0
[repeated 6 times] 03/11/2011 16/09/2013 105.75 16/09/2013
1035000.0 1035 1057500.0 01/04/2019 7.625
B+
B2
3515
BARCLAYS BANK PLC 7.750% 04/10/2023 DTD 04/10/2013
16/0
USD
300000.0 300000.0
0.0
102.808 16/09/2013 300000.0 308424.0 3084 10139.4 23250.0 23250.0 8424.0 8424.0 1.0
10/04/2023 7.75
BB+
NR
0.0
9710670708 0241499376
USD
11300.0 11300.0 19.58 331777.88 221253.998
0.0
7219.22 20801.42 9710670708 0241499376
SEDOL
CCH LN 588874917 16/0 31.202 16/09/2013 214034.78 331777.88
352579.3 221253.998 352579.3
0.0
1.593549
0.0
0.0
LLOYDS TSB BANK PLC MTN 9 7/8% DEC 16 2021 DTD 12/16/2011 HELD BY EUROCLEAR ISIN
SEDOL 16/09/2013
USD
USD
1500000.0 1500 000.0
0.0
119.813 16/09/2013 1627500.0 1797195.0 111504.0 111504.0
1481 25.0 148125.0 169695.0 169695.0
1.0
16/12/2021 9.875
BBB-
BA1
111504.0
0.0
0.0
9710670708 0241499376
.0
0.0
GENERAL ELEC CAP CORP 5.250% 12/31/2049 DTD 05/29/2013
16/0 .1.10
ISD
USD
1400000.0 1400000.0
0.0
89.968 16/09/2400000.0
PROT0
1400000.0 1259552.0 1259 552.0 21232.4 21232.4 73500.0 73500.0 -140448.0
-140448.0
1.0
31/12/2049 5.25
AA-
BAA1 21232.4 0.0
0.0
9710670708 0241499376
US36
0.0
0.0
JPMORGAN CHASE & CO VAR RT 07/24/2013 DTD 07/29/2013
ZZZZ 16/0 9/2013 USD
USD
750000.0 750000.0
0.0
93.875 16/09/2013 750000.0 704062.5 7040 62.5 5749.5 5749.5 45000.0 45000.0 -45937.5
-45937.5
1.0
29/12/2049
6.0
BBB
BA1
5749.5 0.0
0.0
9710670708 0241499376
'MI
MI
BIOGEN IDEC INC BIIB 16/09/2013
USD
USD
2095.0 2095
0.0
0.0
.0
0.0
239.57 16/09/2013 250454.95 501899.15
0.0
2514 9710670708 0241499376
0.0
0.0
RBS PRT 780097713 16/0 9/2013 USD
USD
120000.0 120000.0
0.0
22.91 16/09/2013 2924400.0 2749200.0 2749 200.0 54375.0 54375.0 217560.0
217560.0 -175200.0 -175200.0
1.0
31/1 2/2049 7.25
NA
P-2
54375.0 0.0
0.0
9710670708 0241499376 Benc hmark Aware
0.0
0.0
EARTHLINK INC 8 7/8% MAY 15 2019 DTD 05/17/2011 ELNK
16/09/2013
USD
USD
1000000.0 1000000.0
0.0
96.092 16/09/2013 1033500.0 1033 500.0 1033500.0 1033500.0
960920.0 30076.0 30076.0 88750.0 88750.0 -72580.0 -72580.0
1.0
15/05/2019 8.875
CCc+
B3
30076.0 0.0
0.0
9710670708 0241499376
0.0
0.0
JPMORGAN CHASE & CO 7.9% PFD STK APR 30 2049 DTD 04/23/2008
16/09/2013
USD
USD
5000000.0 5000000.0
0.0
110.553 16/09/2013 5498 006.95 5498006.95 5498006.95
5498006.95 5527650.0 150315.0 150315.0 395000.0 395000.0
29643.05 2964 3.05
1.0
29/04/2049
7.9
BBB
BA1
150315.0
0.0
0.0
9710670708 0241499376
0.0
0.0
BANK OF AMERICA CORP 8 1/8% PFD STK DEC 29 2049 DTD 04/30/2008
16/09/2013
USD
USD
2000000.0 2000000.0
0.0
110.039 16/09/2013 2081 180.56 2081180.56 2081180.56
2081180.56 2200780.0 55068.0 55068.0 162500.0 162500.0
119599.44 119599.44
1.0
29/12/2049 8.125
BB+
81
55068.0 0.0
0.0
9710670708 0241499376
GM PRB 3?045V209 16/09/2013
USD
USD
71000.0 71000.0 0.0 50.05 16/09/2013 3585969.22 3585
969.22 3553550.0 3553550.0
0.0
0.0
168625.0 168625.0 -32419.22 -32419.22
1.0
0.0
NA
0.0
9710670708 0241499376
0.0
0.0
USD
USD
773.6 1882773 162480.0
0.0
0.0
9/2013 USD 3016649.17 510.0 23958.0 2/2049 6.25 9/2013 USD
2122916.67 640.0 36416.0 2/2049 7.125 hmark Aware
US DOLLAR
7
1.445414156E7
0.0
1.0
16/09/2013
7
1.445414156E7 1445.414 1445.414
0.0
0.0
1.0
0.0
9710670708 0241499376
BDRBF 097751200
0.0
20000.0 0.0 4.81 16/09/2013
0.0
0.0
3.26 96203.26 96203.26 494.34 494.34 2040.0
0.0
NA
494.34 0.0
0.0
9710670708 are
0.0
0.0
JPM PRIME MM FD - INSTL FUND 829 0.03% JINXX
USD
199036.62 199036.62
0.0
199036.62 2.25
0.0
1.0
9710670708 0241499376
ASNA
GMAC CAPITAL TRUST I PFD STK 8 1/8%
ALLY PRA 361860208 16/09/2013 80000.0 80000.0 0.0 26.6
16/09/2013 1882773.6 1882773.6 1882
.6
2128000.0
0.0
0.0
162480.0 245226.4 245226.4
1.0
15/02/2040 812.5
NA
0.0
0.0
9710670708 0241499376
0.0
SOUTHERN CAL EDISON 6 1/4% DEC 31 2049 DTD 01/17/2012
16/0
USD
3000000.0 3000000.0
0.0
103.417 16/09/2013 3016649.17 3102510.0 3102 23958.0 187500.0
187500.0 85860.83 85860.83
1.0
31/1
BBB-
BAA2 23958.0 0.0
0.0
9710670708 0241499376
0.0
0.0
GENERAL ELEC CAP CORP 7.125% DEC 15 2049 DTD 06/12/2012
16/0
USD
2000000.0 2000000.0
0.0
108.432 16/09/2013 2122916.67 2168640.0 2168 36416.0 142500.0
142500.0 45723.33
AA-
BAA1 36416.0 0.0
0.0
9710670708
0.0
0.0
16/09/2013 1.445414156E7 1.445414156E7
0.0
16/09/2013
0.0
0.0
2040.0 0.0 0241499376 45723.33
1.0
15/1 0241499376 Benc
USD
USD
1.445414156E 1.445414156E7 1.445414156E 1.445414156E7
0.0
[repeated 6 times]
USD
USD
2000 96203.26 9620
N/A
1.0
Benchmark Aw 16/09/2013
USD
1.0
13/09/2013 199036.62 [repeated 5 times] 2.25
0.0
2.25
0.0
04351G101 16/09/2013
USD
0.0
USD
PROT1
70500.0 70500.0 0.0 16.91 16/09/2013
0.0
1192155.0 1192 155.0 1192155.0 1192155.0
0.0
N/A
1.0
0.0
NA
0.0
9710670708 0241499376 Benchmark Aw illi
0.0
JP MORGAN CHASE a CO
JPM
0 0
16/09/2013
USD
USD
2175
3.0
21753.0 0.0 53.14 16/09/2013
0.0
1155954.42 1155 954.42 1155954.42 1155954.42
0.0
0.0
33064.56 33064.56
0.0
N/A
1.0
0.0
9710670708 0241499376
0.0
0.0
APO
037612306 16/09/2013
USD
USD
263157.0 263157.0
0.0
29.21 16/09/2013 4999983.0 4999983.0 4999 983.0 4999983.0
7686815.97
0.0
0.0
878944.38 878944.38 2686832.97 2686832.97
1.0
0.0
NA
0.0
9710670708 0241499376
US Equity
US03 76123065
0.0
0.0
000000478137727 US DOLLAR 16/09/2013
USD
USD
330321.05 330321.05
0.0
1.0
16/09/201 30321.05 330321.05 330321.05 3303 21.05 330321.05
0.0
[repeated 6 times]
1.0
0.0
9710670708 0241 499376
0.0
0.0
PROT2
JPM
Account Number Description Ticker Cusip As-of Date
Local CCY Base CCY Trad e Date Quantity Settlement Date Quantity
Local Price Base Price Pricing Date Loca 1 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
SZE, 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 or included
illeire
it
GBP
USD
291000.0 291000.0 0.774 17.26 343600.28 222817.26 343600.28
225117.555 358736.07
0.0
2300.29 15135.79
NA
NA
0.0
9710670708 0241499376
SEDOL
LLOY LN G91101108 1.233 16/09/2013 2228 358736.07 225117.555
1.593549
0.0
0.0
0.0
EUR
USD
8750.0 8750.0 31.215 41.68 16/09/2013 253565.291111397612.
ACCOR SA ISIN
SEDOL
AC FP 65.27 337612.87 273131.252 364698.5 273131.252
364698.5
0.0
0.0
19565.98 27085.63 1.335249
0.0
NA
0.0
0.0
9710670708 0241499376
0.0
0.0
SEDOL
BNP FP
USD
5000.0 5000.0 50.59 67.55 16/09/2013 247180.01 329132.
329132.36 252949.998 337751.48 252949.998 337751.48
9/2013 EUR 247262.16
0.0
.0
4000.0 4000.0 59.55 79.514 16/09/2013 238727.9 317870.23
2387 27.9 317870.23 238199.996 318056.54 238199.996
318056.54
0.0
-527.9 186.31 1.335249
0.0
9710670708 0241499376
0.0
0.0
SEDOL
AGL IM 16/09/2013
EUR
USD
21400.0 21400.0 11.91 15.903 16/09/2013 250714.59 333823.48
2507 14.59 333823.48 254873.997 340320.5 254873.997
340320.5
0.0
4159.41 6497.02 1.335249
0.0
NA
NA
0.0
9710670708 0241499376
0.0
0.0
EUR
80.01
0.0
0.0
5769.99 8619.12 1.335249
0.0
9710670708 0241499376
SEDOL
CA FP
USD
10500.0 10500.0 25.455 33.989 16/09/2013 247262.16
329196.98 329196.98 267277.494 356882.27 267277.494
356882.27
0.0
0.0
20015.33 27685.29 1.335249
0.0
NA
NA
0.0
9710670708 0241499376 16/09/2013
87
2535
0.0
0.0
NA
0.0
16/09/2013
36
2471
0.0
[repeated 7 times] 16/0
RENAULT SA ISIN 'SEDOL
RENA 16/09/2013
NA
NA
0.0
CHF
USD
66.58 339220
0.0
0.0
9710670708 9/2013 EUR 246317.45
0.0
SEDOL
ADEN
16/09/2013 4900.0 4900.0 64.05 69.21 16/09/2013 313066.58
339220.24 3130
.24
313844.999 339126.91 313844.999 339126.91
0.0
0.0
778.42 -93.32 1.080555
0.0
NA
NA
0.0
0241499376
0.0
0.0
SEDOL
DEC FP
USD
10000.0 10000.0 26.8 6/09/2013 246317.
327986.8 268799.996 358915.19 268799.996
0.0
22482.55 30928.39 1.335249
0.0
9710670708 0241499376
0.0
FRAPORT AG ISIN
SEDOL
FRA GR
EUR
USD
5000.0 5000.0 . 14 69.852 16/09/2013 246524.86 24.86
327646.17 261570.001 349261.34 261570.001 349261.
0.0
0.0
15045.14 21615.17 1.335249
0.0
9710670708 0241499376
0.0
0.0
9/2013 EUR
SEDOL
VOWS
IW
USD
1400.0 1400.0 .137 1 255882.59 340287.6 16/0 255882.59
340287.6 255976.0 341791.95 255976.0 341791.95
0.0
93.41 1504.36 1.335249
0.0
NA
NA
0.0
9710670708 0241499376
0.0
0.0
COMPAGNIE DE SAINT-GOBAIN ISIN 16/09/2013
EUR
67.65 240317.53
0.0
[repeated 7 times]
KINDRED 16/09/2013
USD
250.0 1966250.0 2120000.0 48582.0
USD
6750.0 6750.0 36.9 319967.65 249075.0
0.0
8757.47 12609.74 9710670708 0241499376 16/0
45
327986.8 358915.19
0.0
0.0
NA
NA
16/09/2013 327646.17 2465
34
0.0
0.0
NA
NA
0.0
SEDOL IMMIMIR
SGO FP 49.271 16/09/2013 240317.53 3199 332577.39 249075.0
332577.39 1.335249
0.0
NA
NA
HEALTHCARE INC 8 1/4% JUN 01 2019 DTD 06/01/2011
KND
USD
2000000.0 2000000.0
0.0
106.0 16/09/2013 1966 1966250.0 1966250.0 2120000.0
48582.0 165000.0 165000.0 153750.0 153750.0
1.0
PROT3
01/06/2019 8.25
NR
B3
48582.0 0.0
0.0
9710670708 0241499376
0.0
0.0
GS MXN STEP UP NOTE 11/22/13 LNKD TO MXN VS USD 85%BARRIER- 5% ATM CPN-22.9%MXRTRN 1
1/08/12, INITIAL STRIKE: 13.11925 16/09/2013
USD
USD
1000 000.0 1000000.0
0.0
104.859 13/09/2013 1000000.0 1048590.0
0.0
48590.0 48590.0 1.0 22/11/2013
0.0
9710 670708 0241499376
0.0
0.0
MS MARK
08/20/14 80% EKO BARRIER- 3.55%CPN ,UNCAPPED INITIAL LEVEL-02/14/
13 MRK:41.19
S
16/09/2013
USD
USD
1000000.0 1000000.0
0.0
115.005 16/09/2013 1000000.0 1150 050.0 1150050.0
0.0
150050.0 150050.0
1.0
20/08/2014
0.0
9710670708 0241499376 Structured Investments
0.0
0.0
LBG CAPITAL NO.1 PLC 144A VAR RT 12/29/2049 DTD 12/15/2009 HELD BY EUROCLEAR ISIN 00
SEDOL 16/09/2013
USD
USD
3000000.0 3000000.0
0.0
103.734 16/09/2013 3247500.0 3247 500.0 3112020.0 61332.0 61332.0 240000.0
240000.0 -135480.0 -135480.0
1.0
29/12/2049
8.0
BB-
NA
6133
2.0
0.0
0.0
9710670708 0241499376
0.0
0.0
HSBC CONS BUFF EQ SXSE 08/29/14 80% EKO BARRIER- 4%CPN 17% CAP INITIAL LEVEL-05/24/1
3 SX5E:2764.29 16/09/2013
USD
USD
2000000.0 2000000.0
0.0
101.79 16/09/2013 2000000.0 2035 800.0 2035800.0
0.0
35800.0 3580
0.0
1.0
29/08/2014
0.0
9710670708 0241 499376 Non US Equity Structured Investments
0.0
0.0
SG MARKET PLUS WTI CRUDE 08/05/14 LNKD TO CL1 78.75% BARRIER- 10%CPN ,UNCAPPED INITI
AL LEVEL-07/25/13 CL1:105.68 16/09/2013
USD
USD
2000000.0 2000000.0
0.0
100.45 16/09/2013 2000000.0 2000 000.0 2009000.0
0.0
9000.0 9000.0 1.0 05/08/2014
0.0
9710670708 0241499376
0.0
0.0
LONG TOTAL RETURN SWAP 1,999,999.368942 USD NOTIONAL KOSPTREQ INDEX MAT MAR 20 2014
DEAL 30140386 16/09/2013
USD
USD
888972.0 888972.0
0.0
1.0
13/09/2013
0.0
440775.382 440775.382 4407 75.382 440775.382
0.0
N/A
1.0
20/03/2014
0.0
9710670708 0241499376
0.0
0.0
CHASE MORTGAGE FINANCE CORPORATION REMIC 2007-A1 CL 2A4 2.99199% 02/25/2037 DTD 02/0
1/2007 16/09/2013
USD
USD
1828512.97 1828512.97
0.0
95.034 16/09/2013 1618233.98 1737709.02 2430.09 2430.09 54708.92
54708.92 1194 75.04 119475.04
1.0
25/02/2037 2.99199 CCC
CA
2430.09 0.0
0.0
9710 670708 0241499376 8180000.0
0.0
HOMEBANC MORTGAGE TRUST 2004-1 11,191.11 08/25/2029 DTD 07/30/2004
16/09/2013
USD
USD
960981.704 960981.704
0.0
63.701 16/09/2013 540552.21 612154.96 612154.96 6121
54.96 612154.96 64.39 64.39 10606.35 10606.35 71602.75
71602.75
1.0
25/08/2029 1.1037 CCC
CA
64.39
0.0
0.0
9710670708 0241499376 9551000.0
0.0
SEQUOIA MORTGAGE TRUST 11 CL B1 VAR RT 12/20/2032 DTD 10/30/2002
IIIIIIIII6/09/20
USD
USD
1027327.757 1027327.757
0.0
74.589 16/09/2013 757654.23 766273.5 766273.5 7662
73.5 766273.5 229.09 229.09 16983.78 16983.78 8619.27 8619.27 1.0
20/1 2/2032 1.6532 CCC
CAA1 229.09 0.0
0.0
9710670708 0241499376 5701000.0
0.0
COUNTRYWIDE HOME LOANS 2003-1 CL B1 5.750% 03/25/2033 DTD 01/01/2003
6/09/2013
USD
USD
1258961.92 1258961.92
0.0
92.835 16/09/2013 1202308.63 1168757.3 1168757.3 1168
757.3 1168757.3 3216.65 3216.65 72390.31 72390.31 -33551.32
-33551.32
1.0
25/03/2033 5.75 3216.65 0.0
0.0
9710670708 0241499376 4500000.0
0.0
STRUCTURED ASSET SECURITIES CO 2003-10 CL B2 6.000% 04/25/2033 DTD 03/28/2003
16/09/2013
USD
USD
936183.76 936183.76
0.0
93.279 16/0 9/2013 936183.76 936183.76 873262.85 2495.87 2495.87 56171.02
56171.02 -62920.9 -629 20.9
1.0
25/04/2033
6.0
CCC
2495.87 0.0
0.0
9710670708 0241 499376 2726000.0
0.0
IMPAC CMB TRUST 2005-2 CL 1M2 VAR RT 04/25/2035 DTD 03/03/2005
16/09/2013
USD
USD
1542857.02 1542857.02
0.0
83.042 16/09/2013 1076 142.77 1076142.77 1076142.77
1076142.77 1281219.33 140.4 140.4 14317.71 14317.71
205076.56 205076.56
1.0
25/04/2035 0.928
CC
CA
140.4
0.0
0.0
9710670708 0241499376 1.0E7
0.0
COUNTRYWIDE HOME LOANS 2003-26 CL B1 5.33684% 08/25/2033 DTD 06/01/2003
~6/09/2013
USD
USD
1347212.307 1347212.307
0.0
61.962 16/09/2013 1037353.47 834759.69 834759.69 8347
59.69 834759.69 319.29 319.29 7191.79 7191.79 -202593.77
-202593.77
1.0
25/0
PROT4
8/2033 0.533828 319.29 0.0
0.0
9710670708 0241499376 3325000.0
0.0
JPY CALL CAD PUT FX EUROPEAN STYLE OPTION OCT 08, 2013 @ 76.9
XJPYCATZZ 16/09/2013
CAD
USD
-7.69E8 -7.69E8 0.0
0.0
000.0 -336952.82 -346000.0 -336952.82
0.0
346000.0 336952.82 0.969791 08/10/2013
0.0
9710670708 0241499376
0.0
JPY PUT CAD CALL FX EUROPEAN STYLE OPTION OCT 08, 2013 @ 80.9
XJPYPBEXZ 16/09/2013
CAD
USD
8.09E8 8.09E8 1.034
1.0
13/09/2013 346000.0 3369 52.82 346000.0 336952.82 1575713.825
1502301.436 1575713.825 1502301.436
0.0
1229713.83 1165348.616 0.969791 08/10/2013
0.0
9710670708 0241499376
0.0
0.0
BUY JPY SELL CAD FORWARD CONTRACT FX RATE 93.7300000TRADE 08/23/13 VALUE 10/10/13
FXJPYBERE 16/09/2013
JPY
USD
4.6865E8 4.6865E8 95.806 0.0 16/09/2013 4.6865E8
0.0
4.6865E8 4846079.02 -1.0040284993E7 -114142.506 -1.0040284993E7 -114142.506
0.0
-4.78690284993E8 -114142.506 95.805654 10/10/2013 93.73
0.0
9710670708 0241 499376
0.0
0.0
WTI CALL OPTION USD PUT OPTION STRIKE 110.00 EXPIRING 02/14/2014 250,000 BARRELS
OTCBDCPHK 16/09/2013
USD
USD
250.0 250.0
0.0
1.0
13/09/2013 562500.0 471770.261 471770.261 4717 70.261 471770.261
0.0
-90729.739 -90729.739
1.0
14/0 2/2014 0.0
0.0
9710670708 0241499376
0.0
0.0
WTI PUT OPTION USD CALL OPTION STRIKE 93.50, KI @ EXP 83.50 EXPIRING 02/14/2014 250,
000 BARRELS
OTCBDPKGF 16/09/2013
USD
USD
-250.0 -250.0 0.0
1.0
13/09/2013 -562500.0 -519830.149 -519 830.149 -519830.149
-519830.149
0.0
42669.851 42669.851
1.0
14/02/2014
0.0
9710670708 0241499376
0.0
0.0
R
F ARGENTINA -ARS NOTES DEC 15 2035 DTD 11/01/2005 HELD BY EUROCLEAR ISIN •
SEDOL 16/09/2013
ARS
USD
1.0E7 1.0E
7
9.22 110 IIII(/09/2013 1256100.0 318000.0 1256100.0
318000.0 921999.78 161648.0 921999.78 161648.0 281270.0
49313.171 3719 80.0 65216.743 -334100.22 -156352.0
0.174482 15/12/2035 3.7198 NA
NA
49313.171159
0.0
0.0
9710670708 0241499376
AT EXP KI @ 69.65 13/09/2013 -346
0.0
[repeated 7 times]
REPUBLIC OF ARGENTINA NOTES DEC 15 2035 DTD 11/01/2005 HELD BY EUROCLEAR ISIN
SEDOL 042993956 16/09/2013
USD
USD
7500000.0 7500 000.0
0.0
7.803 16/09/2013 1038750.0 585225.0 179700.0 179700.0
2376 52.5 237652.5 -453525.0 -453525.0
1.0
15/12/2035 3.1687 NR
NA
179700.0
0.0
0.0
9710670708 0241499376
0.0
0.0
PETROLEOS DE VENEZUELA S 8 1/2% NOV 02 2017 DTD 10/29/2010 HELD BY EUROCLEAR ISINIII
SEDOL 7165509A8 16/09/2013
USD
USD
2500000.0 2500000.0
0.0
93.255 16/09/2013 2262750.0 2262 750.0 2331375.0 79687.5 79687.5 212500.0
212500.0 68625.0 68625.0 1.0 02/11/2017
8.5
B
NA
79687.5 0.0
0.0
9710670708 0241499376
0.0
0.0
PROT5