Skip to main content
Skip to content
Case File
efta-01505149DOJ Data Set 10Other

EFTA01505149

Date
Unknown
Source
DOJ Data Set 10
Reference
efta-01505149
Pages
1
Persons
0
Integrity

Summary

Ask AI About This Document

0Share
PostReddit
Review This Document

Extracted Text (OCR)

EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
07 12002 Account Number: 0 30171.00.5 FINANCIAL TRUST COMPANY INC July 01, 2002 - July 31, 2002 JPMorgan Chase Bank 345 Park Avenue. New York, NY 10154-1002 JPMorgan Private Bank Asset Account Portfolio Page 34 of 52 U S Dollar Activity by Date Settlement Date type continued Quantity Desenpeon Amount USD Jul 1 Write Option - 25,415,000 CHF PUT USD CALL FX EUROPEAN STYLE OPTION JAN 07, 2003 0 1.495 WRITTEN FX OPTION 539,090.00 PUT 25,415,000.00 CHF CALL 17,000,000.00 USD TRADE DATE 06/27/02 Jul 1 Write Option - 156,570,000 SEK PUT USD CALL 696,630.00 FX EUROPEAN STYLE OPTION JAN 07. 2003 O 9.21 WRITTEN FX OPTION PUT 156,570,00000 SEK CALL 17.000.000.00 USD TRADE DATE 06/27/02 Jul 1 Write Option - 127,755,000 NOK PUT USD CALL 781,090.00 FX EUROPEAN STYLE OPTION JAN 07, 2003 O 7.515 WRITTEN FX OPTION PUT 127,755,000.00 NOK CALL 17,000,000.00 USD TRADE DATE 06/27/02 Jul 1 Dividend J P MORGAN PRIME MONEY MARKET FUND 34,371 31 INSTITUTIONAL SHARES CLASS (FUND 829) Jul 1 Purchase 34.371.31 J P MORGAN PRIME MONEY MARKET FUND -34.371 31 INSTITUTIONAL SHARES CLASS (FUND 829) INCOME DIVIDEND REINVESTED e $1.00 J.P.MORGAN SECURITIES INC AS AGENT TRADE DATE 06/28/02 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-00030127 SDNY_GM_00299325 EFTA01505149

Forum Discussions

This document was digitized, indexed, and cross-referenced with 1,500+ persons in the Epstein files. 100% free, ad-free, and independent.

Support This ProjectSupported by 1,550+ people worldwide
Annotations powered by Hypothesis. Select any text on this page to annotate or highlight it.