EFTA01489344.pdf
dataset_10 PDF 62.0 KB • Feb 4, 2026 • 1 pages
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT. W23560001
For the Period 5/1110 to 5/31/10
Portfolio Activity Detail - U S Dollar
INFLOWS & OUTFLOWS
Settlement O Cott Per Unit
Date Type Description Amount Amount
5/3 Interest Income DEPOSIT SWEEP INTEREST FOR APR.. 774 25
.03% RATE ON NET AVG COLLECTED
BALANCE OF $31,396,909.44
AS OF 05/01/10
5/4 Receipt of Assets LONG TOTAL RETURN SWAP 30,000.000
4,775,970.00 USD NOTIONAL
GOLDMAN SACHS GRP INC
MAT APR 29 2011 DEAL 5508960
JPMORGAN CHASE BANK
TRADE DATE 04/29/10
Receipt of Assets MEREST RATE SWAP 1.000
125.000.000 USD NOTIONAL 05/08/2012
PAY: FLOATING RATE USD
3 MONTH LIBOR DEAL 260160350
1.73% REC FIXED, S 30/360
NEW SWAP DEAL #260160350
JPMORGAN CHASE BANK
TRADE DATE 04/30/10
5.7 Spot FX SPOT CURRENCY TRANSACTION - SELL (13,000.000) 16,668.60
BUY USD SELL EUR (16,724.50)
EXCHANGE RATE 1.282200000
DEAL 05/0910 VALUE 0907/10
5:10 Spot FX SPOT CURRENCY TRANSACTION - BUY 545,250.000 0192.303.92)
BUY EUR SELL USD 692,303.92
EXCHANGE RATE 1.269700000
DEAL 0906/10 VALUE 05/10/10
Page 21 of 54
Confidential Treatment Requested by JPMorgan JPM-SDNY-000 11270
Chase
CONFIDENTIAL SDNY_GM_00280468
EFTA01489344
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