07 12002
JPMorgan Chase Bank
345 Park Avenue, New York, NY 10154-1002
JPMorgan Private Bank
Account Number: Asset Account Portfolio Page 16 of 52
FINANCIAL TRUST COMPANY INC July 01, 2002 - July 31, 2002
Trade Activity by Type continued
Trade SeMetnent Realized
Date Date Type Description Currency Quantity RricoVnit Marker CoseRteceeds Tax Cost GeinrLoss USC
Settled continued
Jul 18 Jul 22 Buy-Back Opt GBP CALL USD PUT USD 10,000,000 - 740,000.00 76,655.00 - 663,345.00 S
FX EUROPEAN STYLE OPTION
JUL 18, 2002 1.49
Jul 26 Jul 30 Sell Option CHF CALL USD PUT USD - 37,500,000 928,250.00 - 341,750.00 586,500.00
FX AMERICAN STYLE OPTION
NOV 20. 2002 O 1.5
Jul 26 Jul 30 Buy-Back Opt CHF PUT USD CALL USD 8,150,000 - 12,000.00 85,350.00 73,350.00 S
FX EUROPEAN STYLE OPTION
NOV 08, 2002 O 1.63
Jul 26 Jul 30 Purchase Opt JPY PUT USD CALL USD 875,000,000 0.46 - 32,390.00
FX EUROPEAN STYLE OPTION
OCT 28, 2002 O 125.
EsOrnated
Dade Satitement Realized Gaintoss
Date Date type Description Currency Quantity Prico•Unit Marker Costtaroceeds Tax Cost USD
Pending
Jul 31 Aug 2 Sell Option NOK CALL USD PUT USD - 120,000,000 0.00 837,250.00 - 201,000.00
FX AMERICAN STYLE OPTION
NOV 20, 2002 @ 8.
Trade Settlement Counter Counter Revaluation Contracted, Revalued Realized
Dare Date Currency Amount Currency Amount Contract Rate Rare Base Amount USD Amount USD Gainless USD
Settled Foreign Exchange Contracts
SPECULATIVE
Jul 10 02 Jul 15 02 13,287,655.79 - 19,765,388.00 1.487500 0.981849 13,287,655.79 - 13,533,302.29 - 245,646.50
Jul 22 02 Jul 24 02 30,454,826.52 - 44,327,000.00 1.455500 1.000103 30,454,826.52 - 30,451,688.24 3,138.28
SWISS FRANC - U S DOLLAR
Confidential Treatment Requested by JPMorgan JPM-SDNY-00030109
Chase
CONFIDENTIAL SDNY_GM_00299307
EFTA01505131