Skip to main content
Skip to content
Case File
sd-10-EFTA01466641Dept. of JusticeOther

EFTA Document EFTA01466641

EFTA01466641 EFTA01466642 EFTA01466643 Southern Rnandal LLC security positions Date Quantity Security 1201/13 Value 11/30/13 Value December Unreal'gi purchBsed(sol<l) 2/3/12 DB 46,600 ALLY FINANCIAL INC 8 1/2% PFD 1,251,210.01 1,247,179.00 4,031.01 2/9/12 DB 60,000 ALLY nNANCIAL INC 81/2% PFD 2,147,999.99 2,141,060.00 6,919,99 10/28/13 DB 2,000 Apple, INC 1,122,040.00 1,112,140.00 9,900.00 3Q1/11 DB 263,157 Apple Global Management LLC 8,316,392.77 7,944,710.00 37

Date
Unknown
Source
Dept. of Justice
Reference
sd-10-EFTA01466641
Pages
12
Persons
0
Integrity
Loading PDF viewer...

Summary

EFTA01466641 EFTA01466642 EFTA01466643 Southern Rnandal LLC security positions Date Quantity Security 1201/13 Value 11/30/13 Value December Unreal'gi purchBsed(sol<l) 2/3/12 DB 46,600 ALLY FINANCIAL INC 8 1/2% PFD 1,251,210.01 1,247,179.00 4,031.01 2/9/12 DB 60,000 ALLY nNANCIAL INC 81/2% PFD 2,147,999.99 2,141,060.00 6,919,99 10/28/13 DB 2,000 Apple, INC 1,122,040.00 1,112,140.00 9,900.00 3Q1/11 DB 263,157 Apple Global Management LLC 8,316,392.77 7,944,710.00 37

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.
EFTA01466641 EFTA01466642 EFTA01466643 Southern Rnandal LLC security positions Date Quantity Security 1201/13 Value 11/30/13 Value December Unreal'gi purchBsed(sol<l) 2/3/12 DB 46,600 ALLY FINANCIAL INC 8 1/2% PFD 1,251,210.01 1,247,179.00 4,031.01 2/9/12 DB 60,000 ALLY nNANCIAL INC 81/2% PFD 2,147,999.99 2,141,060.00 6,919,99 10/28/13 DB 2,000 Apple, INC 1,122,040.00 1,112,140.00 9,900.00 3Q1/11 DB 263,157 Apple Global Management LLC 8,316,392.77 7,944,710.00 373.682.77 2/14/12 DB 7,535 ARIAD PHARMACEUTICALS INC 51,388.70 36,469.00 14,919.70 1/24/13 DB 9,000 ARIAD PHARMACEUTICALS INC 61,360.00 43,560.00 17,820.00 DB 1/16/01 70,500 Ascena Retail Group inc. (Formeriy Dress Bam 1.3.11) 1,491.780.00 1,501,650.00 EFTA01466644 (9,870.00) 1/10/11 DB 2.000.000 BANKOFAMERICA81/8% pfd 300.000 BARCLAYS BANK PLC 7.750% 04/10/2023 DT STK DEC 29, 2049 2,237,500.00 2,230,000.00 7,500.00 4/3/13 DB 325,500.00 320,250.00 5,250.00 2/14/12 DB 2,095 BIOGEN IDEC INC 585,703.34 609,582.00 (23,878.66) 7/10/07 DB 20,000 Bomdardier 66.792.74 90,316.00 (3,523.26) 12/12/13 DB 1,000 CALL 100AMERICAN AIRLINES Q20 EXP 1/17/15 (123,314.50) 803,314.50 680,000.00 4/16/13 1,190,421 Countrywide Home Loans 2003-1 cl 81 5.75% 3/25/03 (60,360.72) (21,660.62) 1,034,642.78 1,136,664.12 395.000,00 7/12/10 DB 50,000 Deutsche Bk Aq LDN BRH 363,000.00 (32,000.00) 10/22/12 DB 400,000 EARTHLINK INC 8 7/8% MAY 15 2019 394,000,00 394,000,00 1003/12 DB 5/17/12 DB 600,000 EARTHLINK INC S 7/8% MAY 15 2019 591,000.00 591,000.00 956,357.50 17,500 FACEBOOKINC-A 822,675,00 133,682.50 6/27/12 DB EFTA01466645 2,000,000 GENERAL ELEC CAP CORP 7.125% DEC 15 2049 2,235,000.00 2,225,000.00 10,000.00 5/29/13 DB 1,400,000 General electric capital corp 5.25% 12/31/2049 1,316,000.00 1,323,000.00 (7,000.00) 4/23/13 DB 23,000 GENERAL ELECTRIC CO 644.690.00 613,160.00 31,510.00 12/9/10 DB 97,525 General Motors Co 3.985.846.75 3,649,400.00 336,446,75 10/16/13 3,030,919 global Mortgage Secu 2005-A d 82 5.25% 4/25/ 80.000 GMAC CAPITAL TRUST 1 PFD STK 8 1/8% 4,906.52 2032 (47,291.80) 2,850,609.46 2,892,994.74 2/22/12 DB 2,139,200.00 2,145,600 00 (6,400.00) 10/22/12 DB 1,000,000 HEADWATERS INC 7.625 04/01/2019 DTD 03/11/2011 1,077,500.00 1,077,500.00 5Q4/13 2,000,000 HSBC SX5E 8/29/14 80% BARRIER 4% CPN 17% CAP INITIAL 2764.29 17,600.00 2,151,600.00 2,134,000.00 7/10/13 1,493,220 IMPAC CMB Trust Ser 2005-2 Cl IM1 Vbr 4/25/35 1,887.79 (7,334,16) 1,059,976.87 1,065,423.24 7/14/05 DB 21,753 JP Morgan Chase & Co. 1,272,115.44 1,244,707.00 27,408.44 SQ4/13 1,000,000 JPM CONT BUFF SX7P 10/16/14 85% CONTIN BARRIER 25% CAP INfT1AL 186.77 (4,800.00) 1,007,700,00 EFTA01466646 1,012500.00 4/25/13 DB 49,505 3PM LATIN AMERICA FD 896,040.00 (26,238.03) (869,801.97) 81,563 3PM VALUE ADVANTAGE FD 7/9/13 DB 75,527.25 2,214,440.15 2,162,928.00 (24,015.10) 6/15/11 DB 2,500,000 JPMORGAN CHASE & CO 7.9% PFD STX/\PR 302049 2,756,250.00 2,762,500.00 (6,250.00) 6/15/11 DB 2,500,000 JPMORGAN CHASE & CO 7.9% PFD STK/VPR 30 2049 750,000 JPMORGANCHASE&COVARRT 07/24/2013 DTD 07/29/2013 2,756,250.00 2,762,500.00 (6,250.00) 7/22/13 DB 717,187.50 721,875.00 (4,687.50) 5Q1/13 3,000,000 LBG CAPITAL 12/29/49 (17,820.00) 3,202,500.00 3,220,320.00 SyiO/12 1,500,000 LLOYDS BANK 9.875% 12/10T021 (675.00) 1,786,200.00 1,786,875.00 9/16/13 2,500,000 PETROLES DE VENEZUELA 5% 10^80015 42,500.00 2,062,500.00 2,020,000.00 12/12/13 DB (1,000) PUT100AMERICAN AIRLINES EXP 1/17/15 (197.702.00) 15,702.00 (182ff)0.00) 10/24/12 DB 40,000 ROYAL BANK SCOTLAND GROUP PLC 960.000.00 985,600.00 EFTA01466647 >5,600.00) 1/7/13 DB 40,000 ROYAL BANK SC011AND GROUP PLC 960,000.00 985,600.00 >,600.00) 1/14/13 DB 40,000 ROYAL BANK SCOTLAND GROUP PLC 50,000 SANGAMO BIOSOENCES INC 960,000.00 985,600.00 >5,600.00) 5/28/13 DB 694,500.00 610,500.00 84,000.00 1,500,000 SERVICEMASTER COMPANY 8% FEB 15 2020 1/24/13 DB 1.530.000.00 1,500,000.00 30,000.00 2/25/13 DB 1,000,000 SERVICEMASTER COMPANY 8% FEB 15 2020 1,020,000.00 1,000,000.00 20,000.00 7/25/13 2,000,000 SG MARKET PLUS WTI CRUDE 8/5/14 78,75% BARR 10% INITIAL 106,68 59.200.00 2,029,200.00 1,970,000.00 1/30/12 DB 3,000,000 SOUTHERN CAL EDISON 6 1/4% DEC 31 2049 3,105,000.00 3.105,000.00 11/7/13 DB 1500 TWITTER INC 95,475.00 62,355.00 33,120.00 11/19/13 834,969 Washington Mutual MSC Mortgage 2004-RA2 cl CBl var 7/25/2063 26,689.71 (2,753.77) 718,165.23 694,229.29 12/16/13 DB 60,000 WISDOMTREE JAPAN HEDGED EQUITY FD 84,301.50 2,966.098,50 3,050,400.00 80/13 JPM 250 WriCALL® 110 EXP 2/14/2014 (6,623.85) EFTA01466648 20,564.12 27,187.97 80/13 3PM (250) WTI PVT ® 93.5 Kl & 83.5 EXP 2/14/2014 345,409.35 (66,722.24) (412,131.59) Z698.39S.93 71 .828.836.11 67.846S58.77 1,283.881.41 * transferred to DB December 2013 Southern Trust Company security positions Date Quantity Security 12/31/13 Value 11/30/13 Value November Unrealzed 6/11/13 DB 3/13/13 DB 4/5/13 DB 9/17/13 DB 57,000 Ally Financial 6.5% Pfd Ser A 1,000,000 HSBC BRL Step-Up 3/27/14 85% Barrier-5% coupon -28.5%Onitial fic rate 1.9619) 1,000,000 HSBC BRL Step-Up 4/21/14 85% Barrier-5% coupon -28.5% (initial thr rate 2.0035) 2,000,000 Petroles De Venezuela 5% 10/26/15 4,930.00 (13,700.00) (11,900.00) 34,000.00 1,530,450.00 775,900.00 805,500.00 1,650,000.00 1,525,520.00 789,600.00 817,400.00 1,616,000.00 4,761,850.00 4,748,520.00 13,330.00 Jeepers, Inc security positions Date Quantity EFTA01466649 Security 12/31/13 Value 11/30/13 Value November Unrealized Purchases 02/13/13 154,481.256 JPM Trust FLT RT Income fund DB (1,546.00) 6,524.00 1,560,261.00 1,555,283.00 HAZE Trust security positions Date Quantity Security Purchase (sales) Purchases 12A31/13 Value 11/3(yi3 December Unrealized Value 05/10/11 DB 3,000,000 Bank of America 8.125% Pfd 12/29/2049 3,356,250.00 3,345,000.00 11,250.00 05/10/11 DB 3,000,000 JP Morgan Chase 7.9% Pfd 4/30/2049 3,307,500.00 3,315,000.00 (7,500.00) 05/10/11 DB 1,200,000 Peabody Ennergy Corp Sr Notes 7.375% 11/1/2016 1,350,000.00 1,353,000.00 (3,000.00) 10/02/12 DB 500,000 Ipayment Inc 10.25% 5/15/2018 410,000.00 395,000.00 15,000.00 10/02/12 DB 1,000,000 Kindered Healthcare Inc 8.25% 6/1/19 1,065,000.00 1,067,500.00 (2,500.00) 5/10/11 DB 340,428.636 JPM High Yield Fund 13,201.92 2,716,620.52 2,706,393.00 EFTA01466650 (2,974.40) 01/22/13 DB 206,220.625 3PM Tr Fit Rate Income Fund 6,776.86 2,082,828.31 2,076,183.00 (131.55) 5/10/13 DB 1,224,136.00 GSR Mortgage Loan 2005-SFCCL B1 5.7598% (2,670.26) 1,117,427.77 1,167,306.00 (47,207.97) Total Securities 15,405,626.60 15,425,382.00 (37,063.92) i Stateme^ * Deutsche Bank AG SOUTHERN FINANCIAUIXC is Settlement NotCcy Not.Ccy Trade ID Counterparty Trade Type Trade Date Maturity Date Date NoLAmtl 1 NoLAmt2 2 Long/Short Option S^le Put/Cal Strke Price MTM(USD) 366384436/ 7104234S9 386364438/ 710423461 388364436/ 710423463 366384436/ 710423465 21-NOV-2013 204I0V-2014 25-Nov>2014 SOUTHEY% RNANCIAULLC SOUTHEY% FINANCIAL. LLC SOOTHKN EFTA01466651 nNANC1AL.LLC sotmoN RNANCIAL,LLC FX OPTION (1.000,000") USD 101.000.000 jpy SHORT EUROPEAN cAa 101.0000 (61.550 65) 21-Nov0)13 20-NOV-2014 25-Nov-2014 FX OPTION (21,000.00) USD 0 JPY LONG EUROPEAN 11,075.73 0.0000 21-NOV-2013 20-NOV-2014 25-Nov-2014 FX OPTION (21,000.00) USD 0 JPY LONG EUROPEAN 9.748.73 0.0000 21-NOV-2013 20<Nov*2014 25-NOV-2014 FX OPTION (21,000.00) USD 8,543.50 0 JPY LONG EUROPEAN 0.0000 (01.162.69) Subtotal; (32,18189) iQtat statement ID : 182298_20131231_20140102_1 The valuation Inlbmiatlon aet forth In this statement Is provided subject to the ternia and conditions set forth In the notes on the cover sheet f- sA EFTA01466652

Technical Artifacts (7)

View in Artifacts Browser

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

Flight #SQ4
Phone6364438
Phone6384436
Phone8364436
SWIFT/BICBARCLAYS
SWIFT/BICPETROLES
SWIFT/BICSCOTLAND

Link to Specific Page

Share a direct link to a specific page in this document:

https://epsteinexposed.com/documents/sd-10-EFTA01466641?page=[page_number]

Related Documents (6)

Dept. of JusticeOtherUnknown

EFTA Document EFTA01283412

Deutsche Asset & Wealth Management Contacts Ai oi Pansy Pi 20'6 PRIMARY OFFICER PAUL MOMS 345 44“ Ayr,' New Yon. NY '0,53 CUSTODY OFFICER ARTHUR TENDLER tl 5513 Sun! Account Name FF J Y EPSTEIN Account Numbs, Base CuTtencv USD manliest line I'll"!" II IIIIIIIIIIIIIIIIIIpIp CONFIDENTIAL SDNY_GM_00039201 CONFIDENTIAL - PURSUANT TO FED R. GRIM. P. 6(e) DB-SDNY-0002025 EFTA_00149S10 EFTA01283412 Deutsche Asset & Wealth Management This Par Intentionally Left Blank CONF

12p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01283074

Paul Barrett Deutsche Bank Wealth Management Form• is not valid until approved by 8SO. October 13, 2017 SOUTHERN FINANCIAL LLC ITHEHAZE TRUST I JEEPERSINC SOUTHERN TRUST COMPANY INC / J EP$TEIN VIRGIN ISLANDS FOUNDATION INC 6100 RED HOOICOUARTER 83 ST THOMAS VI 00002 Re: N4G023804. N4G024943; N4G024935, N4G023812, N4G024950 It is the practice of Deutsche Sank Securities Inc. (the "Firm") not to accept trading instructions nom customers via eectront media. To facilitate orders more effi

1p
OtherUnknown

Statements

DOJ EFTA Data Set 10 document EFTA01323720

370p
Dept. of JusticeAug 22, 2017

1 May 1 1255-May 6 237_Redacted.pdf

Kristen M. Simkins me: Sent Tn: Subject: Atladimem: LT. THOMAS E. ALLEN JR Thomas S. Allen. Jr. Sunday. May BIL EDIE 12:55 AM Allyson FL Dwell; Brenda McKin1e?c C. Kay Wandring: Caitlyn D. Neff: Daniel?le Minarch?lck: JeFFrey' T. Hite; Jon D. Fisher. Jonathan M. Mfl?n-der. Joseph 5. Kolenorluan Mendez: Kevin T. Jeirles; [any Lidgett Lee R. Shea??er: Lorinda L. Brown.- Matti-new T. Fishet: Melanie Gordan; Michael S. Woods Richard C. 5mm; Shephanie D. Calander?mtus Report SMDIE 20150501004

493p
OtherUnknown

RPTID: 101.9010D0

DOJ EFTA Data Set 10 document EFTA01299439

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01458862

From: Arthur Tendler Sent: 11/24/2015 1:04:46 PM To: Melinda R CC: Paul Morris Subject: FW: Euros request [CI Attachments: JEE_OB_WT_DEI EURO account funding_112415.pdf Classification: Confidential Melinda, Can you please process the attached transfer? Thanks. Kind regards, Arthur Tendler Arthur Tendler Deutsche Bank Trust Company Americas Wealth Management Products 60 Wall Street, 10005-2836 New York. NY. USA Tel. Fax Mo Em Important Information Regarding Trading Instruc

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.