EFTA00195515 OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179
| ACCOUNT EXECUTIVE | GNMA GOVT BOND |
| VISIT OUR WEBSITE | www.bearstearns.com |
| FINANCIAL TRUST CO INC |
| C/O JEFFREY EPSTEIN |
| 6100 RED HOOK QUARTER |
| ST B3 |
| ST THOMAS VI 00802 |
| THIS PERIOD | |
| OpeningBalance | $0.49 |
| Securities Sold | 226,228,606.83 |
| Dividends/Interest | 257,852.56 |
| Miscellaneous | 60,763,172.61 |
| Amount Credited | $287,249,632.00 |
| Securities Bought | -70,500,589.28 |
| Dividends/Interest Charged | -48,228.93 |
| Miscellaneous | -216,700,814.00 |
| Amount Debited | $-287,249,632.21 |
| Net Cash Activity | -0.21 |
| Closing Balance | $0.28 |
| OPENING | CLOSING | |
| Margin | 0.49 | 0.28 |
| Net Cash Balance | $0.49 | $0.28 |
| THIS PERIOD | YEAR TO DATE | |
|---|---|---|
| U.S.Govt.Bond Int. | 257,852.56 | 257,852.56 |
| Reverse Repurchase Int. | 9,075.57 | 9,075.57 |
| Total | $266,928.13 | $266,928.13 |
| Bond Purchase Int. | -48,228.93 | -48,228.93 |
| Repurchase Int. Exp. | -32,620.53 | -32,620.53 |
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|
| CASH BALANCE | ||||||
| TOTAL CASH & CASH EQUIVALENTS | ||||||
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ACCRUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | ||
|---|---|---|---|---|---|---|---|---|---|
| YOU SOLD (REPO) | 01/26/04 | OPEN | 0.280 | -20,100,000 | -2,635 | -20,000,000 | USTR | 3.2500 01/15/09 | |
| YOU BOUGHT (REVERSE) | 01/21/04 | OPEN | 0.550 | 60,450,000 | 12,912 | 60,000,000 | USTR | 1.8750 12/31/05 | |
| TOTAL REVERSE REPURCHASE TRANSACTIONS | $60,450,000 | $12,912 | |||||||
| TOTAL REPURCHASE TRANSACTIONS | $-20,100,000 | $-2,635 | |||||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CURSOR | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 01/07/04 | 01/06/04 | SOLD | UNITED STATES TREASURY NOTE DUE 09/30/2005 01,625% MS 31 YIELD 1,871 TO MATURITY GVER REF # A1 | -20,000,000 | 99.92188 | 19,984,375.00 87,909.84 | ||
| 01/09/04 | 01/08/04 | SOLD | UNITED STATES TREASURY NOTE DUE 12/31/2005 01,875% JD 30 Yield 1,822 TO MATURITY GVER REF # A1 | -35,000,000 | 100.10156 | 35,035,546.88 16,225.96 | ||
| 01/09/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG A1 RESALE AGREEMENT | 35,000,000 | 35,131,250.00 | ||||
| 01/15/04 | 01/14/04 | BOUGHT | UNITED STATE TREASURY NOTE 5 YR NOTE DUE 12/15/2008 03,375% JD 15 Yield 2,928 TO MATURITY GVER REF # | 10,000,000 | 102.03906 | 10,203,906.25 28,586.07 | ||
| 01/21/04 | 01/20/04 | SOLD | UNITED STATES TREASURY NOTE DUE 12/31/2005 01,875% JD 30 Yield 1,861 TO MATURITY AS OF 01/20/04 | -25,000,000 | 100.40625 | 25,101,562.50 27,043.27 | ||
| 01/21/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG POOL COUPON 1,8750 FINANCING NET PAIROFF DIFF | 60,000,000 | 60,450,000.00 | ||||
| 01/21/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG A1 RESALE AGREEMENT | 60,000,000 | 60,450,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 01/21/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG A3 RESALE AGREEMENT | 60,000,000 | 60,450,000.00 | ||||
| 01/21/04 | DELIVERED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG A2 TERM RESALE AGREEMENT | -35,000,000 | 35,131,250.00 | ||||
| 01/21/04 | DELIVERED | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 1,875 DUE 12/31/05 FITG A2 RESALE AGREEMENT | -60,000,000 | 60,450,000.00 | ||||
| 01/22/04 | JOURNAL | UNITED STATES TREASURY NOTE ADJ POS AIO 12/1/04 1,875 DUE 12/31/05 | -60,000,000 | |||||
| 01/26/04 | 01/23/04 | SOLD | UNITED STATES TREASURY NOTE DUE 10/15/2008 03,125% AO 15 YIELD 2,1881 % TO MATURITY GVER REF # A1 | -10,000,000 | 100.63281 ACCR. INT. | 10,063,281.25 87,943.99 | ||
| 01/26/04 | 01/23/04 | SOLD | UNITED STATE TREASURY NOTE 5 YR NOTE DUE 12/15/2008 03,375% JD 15 Yield 3,034 % TO MATURITY GVER REF # A1 | -10,000,000 | 101.53516 ACCR. INT. | 10,153,515.63 38,729.50 | ||
| 01/26/04 | 01/23/04 | BOUGHT | UNITED STATES TREASURY NOTE DUE 01/15/2009 03,250% JD 15 Yield 3,052 % TO MATURITY GVER REF # A1 | 20,000,000 ACCR. INT. | 100.88281 19,642.86 | 20,176,562.50 | ||
| TOTAL | $-246,909,947.68 | $196,177,383.82 | ||||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 01/07/04 | JOURNAL | UNITED STATES TREASURY NOTE FITTO F1 1,625 DUE 09/30/05 TERM REPO AGREEMENT | 20,000,000 | 19,900,000.00 | |||
| 01/07/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 09/30/2005 1,825 FITTO A2 REPO INTEREST | 16,865.25 | ||||
| 01/15/04 | JOURNAL | UNITED STATE TREASURY NOTE 5 YR NOTE 3,375 DUE 12/15/08 FITTO A1 REPO AGREEMENT | -10,000,000 | 10,200,000.00 | |||
| 01/21/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 12/31/2005 1,875 FITTO A2 RESALE INTEREST | 9,075.57 | ||||
| 01/26/04 | JOURNAL | UNITED STATES TREASURY NOTE FITTO A2 3,125 DUE 10/15/08 TERM REPO AGREEMENT | 10,000,000 | 9,987,500.00 | |||
| 01/26/04 | JOURNAL | UNITED STATE TREASURY NOTE 5 YR NOTE 3,375 DUE 12/15/08 FITTO A2 TERM REPO AGREEMENT | 10,000,000 | 10,200,000.00 | |||
| 01/26/04 | JOURNAL | UNITED STATES TREASURY NOTE FITTO A1 3,250 DUE 01/15/09 REPO AGREEMENT | -20,000,000 | 20,100,000.00 | |||
| 01/26/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 10/15/2008 3,125 FITTO A2 REPO INTEREST | 13,091.95 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 01/26/04 | INTEREST | UNITED STATE TREASURY NOTE 5 YR NOTE DUE 12/15/2008 A2 FITG REPO INTEREST | 2,663.33 |
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 01/08/04 | JOURNAL | FITG FITM | 155,420.00 | |
| 01/12/04 | JOURNAL | FITG FITM | 79,477.00 | |
| 01/13/04 | JOURNAL | '03 TREASURY REBATE FITG | 19,611.26 | |
| 01/14/04 | JOURNAL | FITG FITM | 19,611.00 | |
| 01/16/04 | JOURNAL | FITG FITM | 32,492.00 | |
| 01/21/04 | DELIVERED | FITG COUPON 1,8750 FINANCING NET PAIROFF DIFF | 60,450,000.00 | |
| 01/22/04 | JOURNAL | FITM TO FITG | 181,068.00 | |
| 01/26/04 | DELIVERED | FITG COUPON 3,1250 FINANCING NET PAIROFF DIFF | 524.35 | |
| 01/27/04 | JOURNAL | FITG FITM | 44,533.00 | |
| TOTAL | -219,564.00 | $60,763,172.61 | ||