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sd-10-EFTA01455358Dept. of JusticeOther

EFTA Document EFTA01455358

PC) Boc 1776. Baltimore MD 21203 Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Equities (continued) Common Stocks (continued) SAN OAM 0 BIOSCIENCES INC COM (continued) 05/26/13'.13 50,000.000 6.4440 SANTANDER CONSUMER USA HLDOS INC COM Dividend Option: Cash 01/23/14 1,000.000 24.0000 TWITTER INC CON Dividend Option: Cash 11/07/13 1,500.000 26.0000 Total Common Stocks Preferred Stocks (listed by expiration dare) ALLY FIN L INC PER

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Dept. of Justice
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sd-10-EFTA01455358
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PC) Boc 1776. Baltimore MD 21203 Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Equities (continued) Common Stocks (continued) SAN OAM 0 BIOSCIENCES INC COM (continued) 05/26/13'.13 50,000.000 6.4440 SANTANDER CONSUMER USA HLDOS INC COM Dividend Option: Cash 01/23/14 1,000.000 24.0000 TWITTER INC CON Dividend Option: Cash 11/07/13 1,500.000 26.0000 Total Common Stocks Preferred Stocks (listed by expiration dare) ALLY FIN L INC PER

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Text extracted via OCR from the original document. May contain errors from the scanning process.
PC) Boc 1776. Baltimore MD 21203 Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Equities (continued) Common Stocks (continued) SAN OAM 0 BIOSCIENCES INC COM (continued) 05/26/13'.13 50,000.000 6.4440 SANTANDER CONSUMER USA HLDOS INC COM Dividend Option: Cash 01/23/14 1,000.000 24.0000 TWITTER INC CON Dividend Option: Cash 11/07/13 1,500.000 26.0000 Total Common Stocks Preferred Stocks (listed by expiration dare) ALLY FIN L INC PERP PFD FIXED/ FLTG RATE SERA CALLABLE COUPON 8.5% PERPETUAL MATURITY CALLA 25 05/15/16 Dividend Option: Cash 02/03/12 %II 46,600.000 02/09/12'.17 80,000.000 Total Noncovered 126,600.000 Total 126,600.000 OM AC CAP TR I OT0 TR PFD SECS SER 2 8 125% FIXED FATE I FLTG Dividend Option: Cash 02/22112 ',I 3 80,000.000 23.5350 ROYAL BANK SCOTLAND GROUP PLC SPON ADR REPSTG SER T FOF SH 5 COUPON 7.25% PERPETUAL MATURITY CALL. 25 05/14/14 Dividend Option: Cash 10124/12 '. 13 40,000.000 01/07/13'.13 40,000.000 01/14113'.13 40,000.000 19.3820 20.1250 O64n 23.7900 24.4400 24.8800 DrAne Ran. Ornate Wealth Mar" enniii Coe,ry•Cf.P De.:vneDW lewnes Int lade sr.. 'a 10154 Statement Period: 0 8/0112 01 4 .08/31/2014 Cost Basis Market Price Market Value Unrealized Gain/ Lott Estimated Estimated Annual Income Yield 422,214.00 14.3000 Security Identifier: SC CUSP 8028311101 24.000 00 18 6200 Security Identifier: RI TR CUSP. 901841102 39,000 00 49.7500 715,000 00 18.620 00 74,625 00 292,786 00 •5.380.00 35,625.00 600.00 3.22% $26,462,845.59 $28,131,657.25 $1,668,811.66 51,233,251.03 Security Identifier: ALLY PRB CUSIP:02005N308 903,217.51 27.2700 1,270,782.01 367,584 50 99.025.00 7.79% 1,610,000.00 27.2700 2,181,599.99 571,599 99 170,000.00 7.79% 2 513 211 51 3,452,382.00 939,164.49 269,025.00 $2,513,217.51 $3,452,382.00 5939,164.49 $269,025.00 Security Identifier: ALLY PRA CLISIP. 381880208 1,882,773.80 26.8999 2,151,992.00 269,21840 162.500.00 7.55% Security Identifier: RBS PRT CUSP. 780097713 951.600 00 25.6800 1,027,199.99 75.599 99 72,500.00 7.05% 977.600 00 25.6800 1,027,199.99 49.599 99 72,500.00 7.05% 995.200 00 25.6800 1,027,200.02 32,000 02 72,500.00 7.05% Account Number SO TI-ERA FINANCIAL LLC Cio paperless A.Sit Aq,R i otuvtar Rett0 E•csaient f Very Yaw Wne• .},001 DAISIAR RATED COMMON iCATK,I6 eXallENC? awn: .,,,ear: Page 9 of 20 CONFIDENTIAL — PURSUANT TO FED. R. CRIM. P. 6(e) CONFIDENTIAL SDNY_GM_00260263 DB-SDNY-0114079 EFTA01455358

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GPS19.3820 20.1250
GPS23.7900 24.4400
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