Skip to main content
Skip to content
Case File
sd-10-EFTA01458448Dept. of JusticeOther

EFTA Document EFTA01458448

e • an roup SOUTHERN FINANCIAL, LL Request 182298 As of 29 Sep 15 -"177,77.1.777 30 Sep 2015 Page 2 Or 3 Dadra BankAG SOUTHERN FINANCIAL, LLC prod* - Default Swap Trade ID Counterparty Trade Type Ref. Entity Trade Date Eff. Date Maturity Date SuySell Not. Amt 1 Not.Ccy1 Not Amt 2 Not.Ccy2 Rate Spread P.ITM(USD) C7970754M SOUTHERN CDSwapSav BRASOV FINANCIAL. LLC 13Jan-2015 14,bn-2015 20-Ma,.2020 SELL la 003 000 00 USD 'C. IC. CCU IC i≥:i I CCCC 1313 Subtot

Date
Unknown
Source
Dept. of Justice
Reference
sd-10-EFTA01458448
Pages
1
Persons
0
Integrity
Loading PDF viewer...

Summary

e • an roup SOUTHERN FINANCIAL, LL Request 182298 As of 29 Sep 15 -"177,77.1.777 30 Sep 2015 Page 2 Or 3 Dadra BankAG SOUTHERN FINANCIAL, LLC prod* - Default Swap Trade ID Counterparty Trade Type Ref. Entity Trade Date Eff. Date Maturity Date SuySell Not. Amt 1 Not.Ccy1 Not Amt 2 Not.Ccy2 Rate Spread P.ITM(USD) C7970754M SOUTHERN CDSwapSav BRASOV FINANCIAL. LLC 13Jan-2015 14,bn-2015 20-Ma,.2020 SELL la 003 000 00 USD 'C. IC. CCU IC i≥:i I CCCC 1313 Subtot

Ask AI About This Document

0Share
PostReddit

Extracted Text (OCR)

EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
e • an roup SOUTHERN FINANCIAL, LL Request 182298 As of 29 Sep 15 -"177,77.1.777 30 Sep 2015 Page 2 Or 3 Dadra BankAG SOUTHERN FINANCIAL, LLC prod* - Default Swap Trade ID Counterparty Trade Type Ref. Entity Trade Date Eff. Date Maturity Date SuySell Not. Amt 1 Not.Ccy1 Not Amt 2 Not.Ccy2 Rate Spread P.ITM(USD) C7970754M SOUTHERN CDSwapSav BRASOV FINANCIAL. LLC 13Jan-2015 14,bn-2015 20-Ma,.2020 SELL la 003 000 00 USD 'C. IC. CCU IC i≥:i I CCCC 1313 Subtotal Equity -Option db Ticket Counterparty Ref. Entity Put/ Call Expiry Date NotAmt Not.Ccy Quantity Strike Price Spot Price Implied Volatility Fair Price MTM(USD) L14618753 NV-618176 SOUTHERN 111_618753BU FINANCIAL LW SOUTHERN TWIR N FINANCIAL, LLC CALL CALL 18-Dec-2015 :4 ler3.31,t 33) 27-Jan-2016 3696,62000 USD (4,166.CCO1 USD 100.000 10000 389662 255903 54711 0.405 ISI 3R 'Ili 40.48184 Subtotal: (10.668". EX • Options DealGroupID Counterparty Trade Type Trade Date Maturity Date Settlement Not.Ccy NoWcy Date NotAmt 1 1 Not.Amt 2 2 Long/ Shod Option Style Put/ Call Strike Price MTM(USD) 497117498i 1037233558 49711749W 1037233559 4971269937 10372555(12 497126993/ 1037255503 SOUTHERN FiEuroOpt 024j1.2015 FINANCIAL,L1C SOUTHERN FiEuroOpt 0241-2015 FINANCIAL, LLC SOUTHERN FiEuroOpt 02412015 FINANCIAL, 11C SOUTHERN F)lEuroOpt 0241.2015 FINANCIAL. LW 04-Jan-2016 04-Jan-2016 04-Jan-2016 04-Jan-2016 06-Jan-2016 50,000,000.00 EUR 06Jan-2016 50030.000 00 EUR 06-Jan-2016 25.000.000.00 EUR 06-Jan-2016 25000030.00 EUR (52.000,000 00) USD (58:200.00000) USD (262‘1400 00) USD (26.912.54,000) USD SHORT LONG SHORT LONG ELRCPEAN ELRCPEAN ELRCPEAN ELRCPEAN PUT CALL PVT CALL 1.0400 1.1640 1.0500 1.1565 (183.441 0 , : 464.487 23 (116.8X12 283.60607 Statement ID : 182298_20150929..20150930_1 Subtotal: 447,826 04 The valuation information set forth in this statement is provided subject to the terms and conditions set forth in the notes on the cover sheet CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e) CONFIDENTIAL DB-SDNY-0118365 SDNY_GM_00264549 EFTA01458448

Technical Artifacts (12)

View in Artifacts Browser

Email addresses, URLs, phone numbers, and other technical indicators extracted from this document.

GPS1.0400 1.1640
GPS1.0500 1.1565
Phone14618753
Phone241-2015
Phone241.2015
Phone2412015
Phone5000030
Phone7126993
Phone7233558
Phone7233559
Phone7255503
SWIFT/BICSOUTHERN

Related Documents (6)

OtherUnknown

FEDWIRE PAYMENT DEBIT ADVICE

DOJ EFTA Data Set 10 document EFTA01273102

16p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01279955

OMB Approval No. 2502-0265 Good Faith Estimate (GFE) Name of Originator Fifth Third Joann Brown Mortgage Company Borrower Originator 5001 Kingsley DR Address HD: 1MOCHQ Cincinnati, OH 45227 Propcny Address Ori nator Phone Number Originator Email Date of GFE October 03, 2014 Purpose Shopping for your loan This GFE gives you an estimate of your settlement charges and loan terms if you are approved for this loan. For more information, see HUD's Special Information Booklet on seu

3p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01488410

J.PMorgan Primary Account: For the Period 5129/10 to 6/30/10 Important Information About Your Statement In Case of Error. or (Natiloin About 1. our Electronic Funds Transfers Oil or unto bo the ILtt Waistlines tad me the I haw number .el Mateo on frau of itiorwni and noaconareners that l.P Magna Toon 0vitact infonnation youdunk ram' ginned or recapl is memo* or if yak axd more Informatics ah'ua do:aortic traria:non on a titarea or reatie We mita hati fimru no lam than f0 dayk anti we wan

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01491870

J.P.Morgan FINANCIAL TRUST COMPANY INC ACCT. For the Period 11/1/10 to 11/30/10 Trade Settlement Date Date Type Description Per Unit Realized Quantity Amount Market Cost Tax Cost GairVLoss Settled Securities Purchased 11/22 11/26 Purchase SPUR SSP 600 E7F TRUST 45,000.000 119.77 (5,389,650.00) 5,389,850.00 AS OF 11)26/10 SUB-ACCOUNT: MGN Total Settled SecurMes Purchased ($10.651.861.02) 110,651,861.02 60.00 Account Page 9 of 9 Page 54 of 57 Confidential Treatme

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01365905

KYC Print Page 10 of 13 DB PWM GLOBAL KYC/NCA: US/LatAm/Int'I PART B elabonship Name SOUTHERN FINANCIAL RELATIONSHIP oking Center F NY F NY/Offshore F Offshore IF.skNIGIerate F High Risk Yoonsun Chung (Compliance signature) F DB Employee F DB Managed PIC F DB is Trustee/Co-Trustee F Bearer Shares 4. Attachments A. Type of Photo ID Provided F Drivers License F Passport F National/State ID F Other Checklist of names (individuals and/or entities) that were submitted for database B.

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01485406

J.P. Morgan JEFFREY EPSTEIN ACCT For the Period I I/1/O9 to 11/30/09 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 a failed auction, ther

1p

Forum Discussions

This document was digitized, indexed, and cross-referenced with 1,400+ persons in the Epstein files. 100% free, ad-free, and independent.

Annotations powered by Hypothesis. Select any text on this page to annotate or highlight it.