FINANCIAL TRUST COMPANY INC ACCT.
For the Period 12/I/11 to 12/31/11
Market Value
Receivable
Trade Date Currency Amount Contract Current Market Market Value Unrealized
Settlement Date Counter Currency Counter Amount Rata Forward Rate Payable Gain/Loss
Foreign Exchange Contracts
CHINESE RENMINBI Jun. 8 11 CNY 31,818,000.00 6.363600 6.364177 4,999,546.97 (453.03)
US DOLLAR Jun. 11 12 USD (5,000,000.00) 5,000,000.00
CHINESE RENMINI31 Oct. 511 CNY (64,200,000.00) 6.381500 6.315889 10,060,330.84 (104,509.60)
US DOLLAR Jan. 18 12 USD 10,060,330.64 10,164,840.24
CHINESE RENMNBI Oct. 511 CNY (31,818,000.00) 6.384500 6.364177 4,983,632.23 (15,914.74)
US DOLLAR Jun. 11 12 USD 4,983,832.23 4,999,546.97
SINGAPORE DOLLAR Nov, 211 SOD 3,183,000.00 1.273200 1.296785 2,454,532.41 (45,467.59)
US DOLLAR Feb. 812 USD (2,500,000.00) 2,500,000.00
SINGAPORE DOLLAR Doc. 12 11 SOD 3,249,250.00 1.299700 1.296785 2,505,620.30 5,820.30
US DOLLAR Feb. 8 12 USD (2,500,000.00) 2,500,000.00
Total Foreign Exchange Contracts $36,168,502.79 $4,116.68
$35.164,387.21
JP Morgan Account Page 15 of 28 Consolidated Statement Page 18
Confidential Treatment Requested by JPMorgan JPM-SDNY-00015454
Chase
CONFIDENTIAL SDNY_GM_00284652
EFTA01492647