EFTA01519219.pdf
dataset_10 PDF 80.7 KB • Feb 4, 2026 • 1 pages
CH 'BLAINE MAXWELL ACCT.
For the Period 17/1/13 to 12/31/13
INFLOWS & OUTFLOWS
Per Unit PRINCIPAL INCOME
Type Amount USD Amount USD Amount USD Currency
Settle Date Selection Method Description Quantity Local Value Local Value Local Value Gain/Loss USD
12/18 Foreign Interest JP MORGAN CHASE BANK -CAD LONDON TIME DEPOSITS 116.393.520 13.23
0.6200% DATED 12/11/2013 MATURITY 12/18/2013 14.03
HELD BY LONDON TREASURY SERVICES
(ID: 2537Z9-9R-4)
12/18 Misc Disbursement REP: ROLLOVER TO TIME DEPOSIT CANADIAN DOLLAR (14.030) (13.23)
(ID: 0CADPR-A46) (14.03)
1227 Foreign Interest JP MORGAN CHASE BANK - CAD LONDON TIME DEPOSITS 116,407.550 1696
0.8200% DATED 12/18/2013 MATURITY 12/27)2013 18.04
HELD BY LONDON TREASURY SERVICES
(ID: 253889-904)
12127 Misc Disbursement REP: ROLLOVER TO TIME DEPOSIT CANADIAN DOLLAR (18.040) (18.96)
(ID: 0CADPR-AA-6) (18.04)
Total Inflows & Outflows $0.00
SECURITIES TRANSFERRED IN/OUT
Notes: - Transaction Market Value is representative of the prior trading days market value. This is for informational purposes only and is not to be used for any financial or tax
purposes. The Transaction Market Value shown is In USD.
Type Quantity Transaction
Settle Date Selection Method Description Cost Market Value -
Securities Transferred In
1214 Receipt of Assets JP MORGAN CHASE BANK- CAD LONDON TIME DEPOSITS 116,379.490 109,230.36
0.6200% DATED 12/04/2013 MATURITY 12/11/2013 113,969.80
HELD BY LONDON TREASURY SERVICES CLIENT REF FTD
(ID: 2537X9-9M-7)
J.P.Morgan Acoount Page 22 of 31 Consolidated Statement Page 25
Confidential Treatment Requested by JPMorgan JPM-SDNY-00046499
Chase
CONFIDENTIAL SDNY_GM_00315697
EFTA01519219
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- Feb 4, 2026