09 2002
JPMorgan Chase Bank
345 Park Avenue. New York, NY 10154-1002
JPMorgan Private Bank
Account Number Asset Account Portfolio Page 15 of 36
FINANCIAL TRUST COMPANY INC September 01. 2002 - September 30, 2002
Trede Settlement Realized
Date Date Type Description Gummy Quantity Pricollnit Marker CostProceeds Tax Con Gs/tapas USD
Settled continued
Sep 25 Sep 27 Write Option HKD CALL USD PUT USD - 156,000,000 0.64 127,575.00
FX EUROPEAN STYLE OPTION
SEP 23. 2004 Q 7.8
Sep 25 Sep 27 Purchase Opt HKD PUT USD CALL USD 156,660,000 1.56 - 312,280.00
FX EUROPEAN STYLE OPTION
SEP 23. 2004 ft 7.833
Sep 25 Sep 27 Buy-Back Opt NOK PUT USD CALL USD 189200,000 - 4,200.00 482,000.00 477,800.00 S
FX EUROPEAN STYLE OPTION
NOV 14. 2002 8.6
Estimated
Tracts SeMement Realized Glamloss
One Date Type DeSznptiOn Currency Ouantny Price/Una &Carnet CosOPromeds Tax Cost USD
Pending
Sep 30 Oct 2 Buy-Back Opt CHF CALL USD PUT USD 22,807,000 0.00 - 208,037.00 115,460.21 - 92,576.79 S
FX EUROPEAN STYLE OPTION
OCT 24. 2002 1.48
Sep 30 Oct 2 Write Option CHF PUT USD CALL USD - 22,807,000 1.35 208,037.00
FX EUROPEAN STYLE OPTION
NOV 21. 2002 @ 1.48
Tree Settlement COWIN Co.—., Revaluallon Convected Revalued Realized
Oate Date CumNICy AIMIN CUIPIIKX ARMIN Contract Rate Rate Ease Amount USO Amount USD Garaloss U.50
Settled Foreign Exchange Contracts
SPECULATIVE
SWISS FRANC U S DOLLAR
Jun 21 02 Sep 25 02 CHF 15,120,000.00 USD - 10,000,000.00 1.512000 1.495400 - 10,000,000.00 10,111,007.08 111,007.08
Jul 22 02 Sep 25 02 CHF 44,327,000.00 USD - 30,517,728.06 1.452500 1.495400 - 30,517,728.06 29,642,236.19 - 875,491 87
Jul 26 02 Sep 25 02 CHF - 14,640,000.00 USD 10,000,000.00 1.464000 1.495400 10,000,000.00 - 9,790,022.73 209,977.27
Confidential Treatment Requested by JPMorgan JPM-SDNY-00030296
Chase
CONFIDENTIAL SDNY_GM_00299494
EFTA01505316