EFTA01490485.pdf
dataset_10 PDF 62.9 KB • Feb 4, 2026 • 1 pages
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT
For the Period 7/1/10 to 7/31/10
INFLOWS & OUTFLOWS
Se6' emet: Quantity Per Unit
Date Ty Pe Description Cog Amount Amount
7 '6 Receipt of Assets INTEREST RATE SWAP 1.000
10,000,000 USD NOTIONAL 7116/2040
REC: FLOATING RATE USD
3 MONTH UBOR DEAL 5168074
4.35% PAY FIXED, S 30/360
NEW SWAP #5168074 RESULTING FROM
PHYSICAL SETTLEMENT OF SWAPTION
DEAL 05166836
JPMORGAN CHASE BANK
TRADE DATE 07/14/10
7/16 Interest Income JPM CHASE CAPITAL XXIX 800,000.000 0.423 338,722.40
6.7% PFD
© 0.423403 PER SHARE
AS OF 07/02/10
7/16 Accrued Interest Paid PETROLEOS DE VENEZUELA S 2,500,000.000 0011 (26,541.67)
4.9% OCT 28 2014
DID 10/28/2009
HELD BY EUROCLEAR
ISIN:XS0480548442 SEDOL:B5B82G7
7,16 Option Assignment 1RECEIVER SWAPT1ON CALL 1.000 4.35
10,000.000 INTEREST RATE SWAP 561,500.00
STRIKE 4.35% S 30/360 VS 3ML
EXP DATE 07/14/2010 DEAL 5166838
WRITTEN OTC CALL ASSIGNED
TRADE DATE 07/14/10
7,23 Forward FX Contract SETTLE FORWARD CURRENCY CONTRACT 457,000,000.000 (10.000,000.00)
BUY 1NR SELL USD 9,736,869.85
CONTRACT RATE : 45.700000000
TRADE 6421/10 VALUE 7/23/10
Page 23 of 43
Confidential Treatment Requested by JPMorgan JPM-SDNY-00012632
Chase
CONFIDENTIAL SDNY_GM_00281830
EFTA01490485
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