EFTA01490019.pdf
dataset_10 PDF 63.5 KB • Feb 4, 2026 • 1 pages
J.P.Morgan
FINANCIAL TRUST COMPANY INC ACCT.
For the Period 6/1/10 to 6/30/10
Trade Settlement Per Unit Realized
Date Date Type Description Quantity Amount Proceeds Tax Cost Gain/Loss
Settled Sales/Maturities/Redemptions
6/3 6/7 Sell Option EUR PUT USD CALL (8,032,128.510) 0.077 619,000.00 (495,000.00) 124,000.00 C
FX EUROPEAN STYLE OPTION
MAY 13, 2011 6 1.245
RESALE OF PURCHASED FX OPTION
TRADE DATE 06/03/10
6/3 6/7 Option Buybadc EUR CALL USD PUT 8,032,128.510 0.056 (442,750.00) 495,000.00 52,250.00 C
FX EUROPEAN STYLE OPTION
MAY 13, 2011 @ 1.245
KJ • 1.38
REPURCHASE OF WRITTEN FX OPTION
TRADE DATE 06/03/10
6/3 6/7 Option Buybadc EUR CALL USD PUT 6,932,409.000 0.076 (529,250.00) 495,000.00 (34,250.00)
FX EUROPEAN STYLE OPTION
MAY 13, 2011 1.4425
KI 6 1.83
REPURCHASE OF WRITTEN FX OPTION
TRADE DATE 06/03/10
6/3 6/7 Sel Option GBP PUT USD CALL (6,932,409.000) 0.069 480,000.00 (495.000.00) (15,000.00) C
FX EUROPEAN STYLE OPTION
MAY 13, 2011 C 1.4425
RESALE OF PURCHASED FX OPTION
TRADE DATE 06/03/10
6/3 6/8 Sale P/F GLOBAL HOLDINGS LTD (12,000.000) 7.423 89,071.48 (85,200.00) 3,871.48 S
7.47275 89,673.00
BROKERAGE 600.00
TAX 8JOR SEC 1.52
J.P. MORGAN SECURITIES INC.
TRADE DATE 06/03/10
Page 24 of 52
Confidential Treatment Requested by JPMorgan JPM-SDNY-00012153
Chase
CONFIDENTIAL SDNY_GM_00281351
EFTA01490019
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