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efta-efta01518744DOJ Data Set 10CorrespondenceEFTA Document EFTA01518744
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CHISLAINE MAXWELL-TAP DYS
ACCT.
For the Period 7/1/13 to 7/31/13
Price
Quantity
Value
Adjusted Tax Cost
Unrealized
Gain/Loss
Est Annual Income
Yield
Original Cost
Accrued Interest
US Fixed Income
JPM TR I MLT SC INCOME FD -SEL
FUND 2130
10.13
4,784.86
48,470.87
49,092.71
1,459.38
191.39
3.01%
(622.04)
PRUDENTIAL TOTAL RETURN BD-Z
14.04
4,598.03
64,556.37
67,039.30
(2,482.93)
2,372.58
3.68%
RIDGEWORIN SEIX FLOA71N04
9.04
6,502.66
58,784.00
58,784.00
2,685.59
4.57%
TRP INST FLOATING RATE-F
10.27
5,394.06
55,397.00
55,397.00
2,459.69
4.44%
BLACKROCK NIGH VELD BOND
8.13
8,504.33
69,140.18
69,140.00
0.18
4303.18
6.22%
Total US Fixed Income
Non-FS Fixed Income
PIMCO EMERGING MARKETS CORPORATE
BOND FUND
11.39
2,473.35
$808,386.77
28,171.46
8818,729.01
30,348.00
($1034124)
(2,176.54)
$29,174.38
$272.82
1,053.64
4.80%
3.74%
-4 SOH:.
Foreign Exchange & Non-USD Fixed Income
P PIMCO EMERGING LOCAL BOND-P
9.76
0.00
J.P. Morgan
Accour
Page 11 of 15
Consolidated Statement Page 71
Confidential Treatment Requested by JPMorgan
Chase
CONFIDENTIAL
JPM-SDNY-00045990
SDNY_GM_00315188
EFTA01518744
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