EFTA01583109.pdf
dataset_10 PDF 123.2 KB • Feb 4, 2026 • 1 pages
SOUTHERN TRUST COMPANY.INC ACCT-
For the Period 9/1/13 to 9/30/13
Trade Date Currency Amount Contracted Base Revalued
Settle Date Counter Currency Counter Amount Contract Rate Revaluation Rate Amount USD Amount USD Currency G/L
Speculative
AUSTRALIA DOLLAR Sep. 10 13 AUD 2,000,000.00 0.931025 0.931025 (1,862,050.00) 1,862,050.00
U S DOLLAR Sep. 11 13 USD (1,862,050.00)
POUND STERLING Aug. 21 13 GBP 1,000,000.00 1.583633 1 603250 (1,563,633.00) 1,603,249.98 39,816.98
U S DOLLAR Sep.2313 USD (1,563,833.00)
N ZEALAND DOLLAR Sep. 18 13 NZD 3,500,000.00 0.830850 0.830850 (2,907,975.00) 2,907,975.00
U S DOLLAR Sep. 2313 USD (2,907,975.00)
N ZEALAND DOLLAR Sep. 19 13 NZD 1,000,000.00 0.837600 0.837600 (837,600.00) 837,600.00
U S DOLLAR Sep. 23 13 USD (837.600.00)
N ZEALAND DOLLAR Sep. 19 13 NZD 1,000,000.00 0.837800 0.837800 (837,800.00) 837.800 00
U S DOLLAR Sep. 23 13 USD (837,800.00)
AUSTRALIA DOLLAR Sep. 20 13 AUD 1,000,000.00 0.941300 0.941300 (941.300.00) 941.300.00
U S DOLLAR Sep. 23 13 USD (941,300.00)
POUND STERLING Sep. 2013 GBP 2,000,000.00 1.600600 1.600600 (3,201,203.00) 3,201,200.00
U S DOLLAR Sep. 23 13 USD (3,201,200.00)
N ZEALAND DOLLAR Sep. 2013 NZD 1,000,000.00 0.836600 0.836600 (836,600.00) 836.600.00
U S DOLLAR Sep. 2313 USD (836.600.00)
POUND STERLING Sep. 18 13 GBP 2,000,000.00 1.605140 1.606800 (3,210,280.00) 3,213,599.96 3,319.96
U S DOLLAR Sep. 2513 USD (3210,280.00)
N ZEALAND DOLLAR Sep. 18 13 NZD 500,000.00 0.830746 0.825000 (415,373.00) 412.499.98 (2,873.02)
U S DOLLAR Sep. 25 13 USD (415,373.00)
N ZEALAND DOLLAR Sep. 18 13 NZD 500,000.00 0.836796 0.825000 (418,398.00) 412,499.98 (5,898.02)
U S DOLLAR Sep. 25 13 USD (418,396.00)
AUSTRALIA DOLLAR Sep. 2013 AUD (1,000.000.00) 0.941000 0.943215 941,000.00 (943,215.24) (2,215.24)
U S DOLLAR Sep. 25 13 USD 941.000.8.3
POUND STERLING Sep. 20 13 GBP (2.000,000.00) 1.600400 1.606697 3,200,800.00 (3,213,394.51) (12,594.51)
U S DOLLAR Sep. 25 13 USD 3,200,800.00
J.P.Morgan Account Page 36 of 38 Consolidated Statement Page 39
Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00062721
EFTA01583109
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