EFTA01489312.pdf
dataset_10 PDF 63.2 KB • Feb 4, 2026 • 1 pages
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT.
For the Period 5/1/10 to 5/31/10
Trade Settlement Per Unit
Date Date Type Dascription Quantity Amount Market Coat
Settled Securities Purchased
439 55 Purchase PM NATURAL GAS STORAGE LP 3,500.000 21.50 (75,250.00) •
© 21.50
J.P. MORGAN SECURITIES INC.
TRADE DATE 04/29/10
4.30 55 Purchase Option 1PAYER SWAPT1ON CALL 1.000 155.00000 (155.000.00) •
10,000,000 INTEREST RATE SWAP
STRIKE 4.35% S 30/360 VS. 3ML
EXP DATE 05/28/2010 DEAL 5163368
PURCHASE OTC CALL
NEW SWAPT1ON DEAL N 5163368
TRADE DATE 04/30/10
4/30 515 Wile Option 1 RECEIVER SWAP71ON CALL (1.000) 113,000.00 113,000.00 •
10,000,000 INTEREST RATE SWAP
STRIKE 4.25% S 30/360 VS 3ML
EXP DATE 05/28/2010 DEAL 5163369
WRITTEN OTC CALL
NEW SWAPT1ON DEAL 0 5163369
TRADE DATE 04/30/10
5/5 5/7 VVrite Option BRL PUT USD CALL (18,000,000.000) 0.006 102,000.00
FX EUROPEAN STYLE OPTION
JUN 04.2010 • 1.8
KIQ 1.92
WRITTEN FX OPTION
PUT 18,000,000.00 BRL
CALL 10,000,000.00 USD
TRADE DATE 05/05/10
54 57 Purchase KINDER MORGAN ENERGY PARTNERSHIP L P 4,000.000 66.25 (285.000.00)
UNIT OF LIMITED PARTNERSHIP INT
a 68.25
J.P. MORGAN SECURITIES INC.
TRADE DATE 05/04/10
Page 31 of 54
Confidential Treatment Requested by JPMorgan JPM-SDNY-000 11226
Chase
CONFIDENTIAL SDNY_GM_00280424
EFTA01489312
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