EFTA00195880¶
| ACCOUNT EXECUTIVE | GNMA GOVT BOND |
| VISIT OUR WEBSITE | www.bearstearns.com |
What’s In This Statement¶
Your Portfolio Holdings … 4¶
| Transaction Detail | 7 |
| Trades Not Yet Settled | 17 |¶
| :--- | :--- |¶
| FINANCIAL TRUST CO INC |
| C/O JEFFREY EPSTEIN |
| 6100 RED HOOK QUARTER |
| ST B3 |
| ST THOMAS VI 00802 |
CLEARED THROUGH ITS¶
WHOLLY OWNED SUBSIDIARY¶
Your Portfolio at a Glance¶
There are no “Stop Loss” orders or other pending buy or sell open orders on file for your account.¶
| TOTAL VALUE OF SECURITIES THIS PERIOD | 12,394,691 |
| LONG ACCRUED INTEREST | 160,153 |
| NET CREDIT BALANCE | 228,003 |
| NET EQUITY THIS PERIOD | $12,782,847 |
| NET EQUITY LAST STATEMENT | 13,363,739 |
| CHANGE SINCE LAST STATEMENT | -580,892 |
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
FINANCIAL TRUST CO INC¶
TAXPAYER NUMBER On File¶
ACCOUNT NUMBER¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
Market Value of Your Portfolio¶
This summary is for informational purposes only. It is not intended as a tax document. This statement should be retained for your records. See reverse side for important information.¶
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STATEMENT BACKER IS PRINTED ON THIS PAGE¶
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Cash Flow Analysis¶
| THIS PERIOD | |
| OpeningBalance | -12,162.87 |
| Securities Sold | 314,135,191.84 |
| Dividends/Interest | 1,235,353.40 |
| Miscellaneous | 32,031.25 |
| Amount Credited | $315,402,576.49 |
| Securities Bought | -314,951,505.27 |
| Dividends/Interest Charged | -209,405.71 |
| Miscellaneous | -1,500.00 |
| Amount Debited | -315,162,410.98 |
| Net Cash Activity | 240,165.51 |
| Closing Balance | $228,002.64 |
Cash Balance Summary¶
| OPENING | CLOSING | |
| Margin | -12,162.87 | 228,002.64 |
| Net Cash Balance | -12,162.87 | $228,002.64 |
Income Summary¶
| THIS PERIOD | YEAR TO DATE | |
| U.S.Govt.Bond Int. | 61,396.53 | 228,430.62 |
| Govt.Agency Int. | 978,422.27 | 4,354,833.13 |
| Corp.Bond Int. | 195,447.99 | 1,027,568.56 |
| Credit Balance Int. | 86.61 | 156.30 |
| Reverse Repurchase Int. | 17,701.39 | 21,008.91 |
| Total | $1,253,054.79 | $5,631,997.52 |
| Bond Purchase Int. | -209,405.71 | -428,599.18 |
| Margin Int.Paid | 0.00 | -1,770.70 |
| Repurchase Int.Exp. | -11,508.39 | -59,125.88 |
Portfolio Composition¶
| Cash/Cash Equivalent | 228,003 |
| Fixed Income | 12,394,691 |
| Total | $12,622,694 |
CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY¶
FINANCIAL TRUST CO INC¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
ACCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
Your Portfolio Allocation¶
Unshaded portions denote debit balance and/or short market values. The allocation percentage is derived from the absolute market value of your portfolio.¶
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OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc.¶
CLEARED THROUGH ITS¶
WHOLLY OWNED SUBSDIARY¶
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FINANCIAL TRUST CO INC¶
Your Portfolio Holdings¶
CASH & CASH EQUIVALENTS¶
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|
| CASH BALANCE | 228,003 | |||||
| TOTAL CASH & CASH EQUIVALENTS | $228,003 |
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
ACCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
FIXED INCOME¶
Government & Agency Obligations¶
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCRUED INTEREST | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| FEDERAL HOME LOAN MTG CORP SERIES 2530 CLASS SE DATED DATE 10/11/02 BOOK ENTRY ONLY DUE 02/15/2032 6,300% FACTOR = .32158038 | MRGN | 19,294,823 | 10.1223 | 1,953,080 | 43,896 | 1,215,574 | 62.2388 | |
| FEDERAL HOME LOAN MTG CORP SERIES 2526 CLASS SI DATED DATE 10/01/02 BOOK ENTRY ONLY DUE 02/15/2032 5,900% FACTOR = .32158037 | MRGN | 8,276,570 | 9.0531 | 749,287 | 17,635 | 488,318 | 65.1710 | |
| FEDERAL HOME LOAN MTG CORP SERIES 2488 CLASS SO DATED DATE 07/08/02 BOOK ENTRY ONLY DUE 03/15/2032 6,900% FACTOR = .29090521 | MRGN | 14,545,258 | 11.4010 | 1,658,299 | 36,240 | 1,003,623 | 60.5212 | |
| FEDERAL HOME LOAN MTG CORP SERIES 2483 CL SL DATED DATE 07/02/02 BOOK ENTRY ONLY DUE 03/15/2032 5,900% FACTOR = .29090519 | MRGN | 16,780,846 | 8.7571 | 1,469,512 | 35,753 | 990,070 | 67.3741 |
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OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc.¶
CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY¶
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FINANCIAL TRUST CO INC¶
Your Portfolio Holdings (continued)¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
Government & Agency Obligations (continued)¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCRUED INTEREST | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| FEDERAL NATIONAL MTG ASSN | MRGN | 16,306,643 | 11.0890 | 1,808,245 | 8,019 | 962,092 | 53.2058 | |
| SERIES 2003-49 CLASS SW | ||||||||
| DATED DATE 04/30/03 | ||||||||
| BOOK ENTRY ONLY | ||||||||
| DUE 01/25/2033 5,900% | ||||||||
| FACTOR = .67086868 | ||||||||
| Total Government& Agency Obligations | $7,638,423 | $141,543 | $4,659,677 |
Corporate Bonds¶
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCRUED INTEREST | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| FANNIE MAE CMO/SERIES 2003-13 S RCR-I/O FLTR DATED DATE 02/25/03 BOOK ENTRY ONLY DUE 03/25/2033 6,900% FACTOR = .64729726 | MRGN | 32,364,861 | 14.6958 | 4,756,268 | 18,610 | 2,233,175 | 46.9523 | |
| Total CorporateBonds | $4,756,268 | $18,610 | $2,233,175 | |||||
| TOTAL FIXED INCOME | $12,394,691 | $160,153 | $6,892,852 |
| YOUR PORTFOLIOHOLDINGSACCRUED INTEREST | $160,153 |
| YOUR PORTFOLIOHOLDINGSESTIMATED ANNUAL INCOME | $6,892,852 |
| YOUR PRICED PORTFOLIOHOLDINGS | $12,622,694 |
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Repurchase and Reverse Repurchase Transactions¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ACCRUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | |
|---|---|---|---|---|---|---|---|---|
| YOU SOLD (REPO) | 04/08/04 | 07/08/04 | 1.340 | -3,712,000 | -7,461 | -44,389,962 | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-2 CLASS S 6.1000 01/16/34 | |
| YOU SOLD (REPO) | 04/08/04 | 07/08/04 | 1.340 | -8,258,000 | -16,598 | -10,000,000 | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-2 CLASS S 12.2000 01/16/34 | |
| YOU SOLD (REPO) | 05/10/04 | 06/01/04 | 1.300 | -3,241,000 | -2,574 | -15,000,000 | FNMA-SMBS PRINCIPAL ONLY SERIES 322 CLASS PO 03/01/32 | |
| YOU SOLD (REPO) | 05/24/04 | OPEN | 0.000 | -1 | -5,000,000 | F H L M C - STRIP PRINCIPAL ONLY | ||
| YOU SOLD (REPO) | 05/25/04 | 06/01/04 | 1.300 | -4,300,000 | -1,086 | -44,000,000 | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-5 CLASS P 5.8500 02/20/33 | |
| TOTAL REVERSE REPURCHASE TRANSACTIONS | $0 | $0 | ||||||
| TOTAL REPURCHASE TRANSACTIONS | $-19,511,001 | $-27,719 | ||||||
As of statement date¶
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Transaction Detail¶
INVESTMENT ACTIVITY¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 05/06/04 | 05/05/04 | SOLD | UNITED STATES TREASURY NOTE DUE 04/30/2006 02,250% AO 30 YIELD 2,307 % TO MATURITY GVER REF # G1261010 A1 | -25,000,000 | 99.89063 | 24,972,656.25 | ||
| 05/07/04 | 05/06/04 | SOLD | U S TREASURY NOTE DUE 04/15/2009 03,125% AO 15 YIELD 3,690 % TO MATURITY GVER REF # G1271002 A1 | -25,000,000 | 97.46875 | 24,367,187.50 | ||
| 05/13/04 | 04/16/04 | CANCEL SELL | FNMA-30YR(FNMA)GTD Sett 05/04 DUE 05/01/2034 05,500% | 10,000,000 | 100.75000 | 10,075,000.00 | ||
| 05/13/04 | 04/07/04 | CANCEL SELL | FNMA-30YR(FNMA)GTD Sett 05/04 DUE 05/01/2034 05,500% | 15,000,000 | 101.56250 | 15,234,375.00 | ||
| 05/13/04 | 04/06/04 | BOUGHT | FNMA-30YR(FNMA)GTD Sett 05/04 DUE 05/01/2034 05,500% | 25,000,000 | 101.10938 | 25,277,343.75 | ||
| 05/13/04 | 04/16/04 | SOLD | FNMA-30YR(FNMA)GTD Sett 05/04 DUE 05/01/2034 05,500% | -10,000,000 | 100.75000 | 10,075,000.00 | ||
| 05/13/04 | 04/07/04 | SOLD | FNMA-30YR(FNMA)GTD Sett 05/04 DUE 05/01/2034 05,500% | -15,000,000 | 101.56250 | 15,234,375.00 |
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Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
INVESTMENT ACTIVITY (continued)¶
THROUGH May 28, 2004¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CURSOR | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 05/13/04 | 04/06/04 | CANCEL BUY | FNMA 30VR(FNMA)GTD SETT 05/04 DUE 05/01/2004 05,500% | -25,000,000 | 101.10938 | 25,277,343.71 | ||
| REF # 200400057900000 BS AS OF 04/06/04 TO CXL PREVIOUS BUY | ||||||||
| 05/14/04 | 05/13/04 | BOUGHT | U S TREASURY NOTE DUE 04/15/2009 03,125% AO 15 WIELD 3,968 % TO MATURITY GVER REF # G1341012 A1 | 25,000,000 | 96.27030 | 24,067,575.00 | ||
| ACCR. INT. | 61,902.32 | |||||||
| 05/17/04 | 05/13/04 | SOLD | UNITED STATES TREASURY NOTE DUE 05/15/2009 03,875% MN 15 WIELD 3,968 % TO MATURITY GVER REF # G1341013 A3 | -25,000,000 | 99.46875 | 24,867,187.50 | ||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2490 CL SL 5,900 DUE 03/15/32 PRINCIPAL REDUCTN 05-15-04 | -1,341,000 | ACCR. INT. | 5,264.95 | |||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2490 CL SL 5,900 DUE 03/15/32 PRINCIPAL REDUCTN 05-15-04 | -531 | |||||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2488 CLASS SO 6,900 DUE 03/15/32 PRINCIPAL REDUCTN 05-15-04 | -1,162,000 | |||||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2488 CLASS SO 6,900 DUE 03/15/32 PRINCIPAL REDUCTN 05-15-04 | -809 | |||||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2530 CLASS SE 6,900 DUE 03/15/32 PRINCIPAL REDUCTN 05-15-04 | -1,515,000 |
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Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
INVESTMENT ACTIVITY (continued)¶
ACCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SEMESTER DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOLICUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2530 CLASS SE 6,300 DUE 02/15/32 PRINCIPAL REDUCTN 05-15-04 | -866 | |||||
| 05/17/04 | PRINCIPAL | FEDERAL HOME LOAN MTG CORP SERIES 2526 CLASS SI 5,900 DUE 02/15/32 PRINCIPAL REDUCTN 05-15-04 | -650,235 | |||||
| 05/17/04 | PRINCIPAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 PRIN P/D 04/04 P/D 05-15-04 REPO P & I 0,0000 | 196,400.50 | |||||
| 05/17/04 | PRINCIPAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-2 CLASS SG 12,200 DUE 01/18/34 PRIN P/D 05-04 P/D 05-16-04 REPO P & I 12,2000 | 78,886.80 | |||||
| 05/24/04 | 05/21/04 | BOUGHT | UNITED STATES TREASURY NOTE DUE 05/15/2009 03.87% MIN 15 HELD: 3,821 WTO Maturity GVER REF # G1421003 A3 AS OF 05/21/04 | 25,000,000 ACCR. INT. | 100.24219 | 25,060,546.88 23,692.25 | ||
| 05/25/04 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN STRIP MTG SERIES 322 CL PO 0,000 DUE 03/01/32 PRIN P/D 04-04 P/D 05-25-04 REPO P & I 0,0000 | 309,453.15 | |||||
| 05/25/04 | PRINCIPAL | FANNIE MAE CMO/SERIES 2003-13 S RCR-I/O FLTR 6,900 DUE 03/25/33 PRINCIPAL REDUCTN 05-25-04 | -1,626,000 | |||||
| 05/25/04 | PRINCIPAL | FANNIE MAE CMO/SERIES 2003-13 S RCR-I/O FLTR 6,900 DUE 03/25/33 PRINCIPAL REDUCTN 05-25-04 | -92 |
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EFTA00195889¶
BEAR STEARNS¶
CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY¶
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FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
INVESTMENT ACTIVITY (continued)¶
ACCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 05/25/04 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW 5,900 DUE 01/25/33 PRINCIPAL REDUCTN 05-25-04 | -819,287 | |||||
| 05/27/04 | 05/26/04 | BOUGHT | UNITED STATES TREASURY NOTE DUE 04/30/2006 02,250% AO 30 YIELD 2,492 % TO MATURITY GVER REF # G1471003 A1 | 25,000,000 ACCR. INT. | 99.54688 | 24,886,718.75 41,270.38 | ||
| 05/27/04 | 05/26/04 | BOUGHT | UNITED STATES TREASURY NOTE DUE 04/30/2006 02,250% AO 30 YIELD 2,492 % TO MATURITY GVER REF # G1471003 B1 | 50,000,000 ACCR. INT. | 99.54688 | 49,773,437.50 82,540.76 | ||
| TOTAL | ||||||||
INTEREST¶
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 05/03/04 | AVG BAL 526,661RT 0.197 021 OFFICE INTEREST 0404 | 86.61 | ||||
| 05/17/04 | FEDERAL HOME LOAN MTG CORP SERIES 2471 CLASS YT DUE 03/15/2032 1,000 INT R/D 04-04 P/D 05-15-04 REPO P & I 1,0000 | 1.0000 | 26,006.32 | |||
| 05/17/04 | FEDERAL HOME LOAN MTG CORP SERIES 2483 CL SL DUE 03/15/2032 5,900 INTEREST PAYMENT 05-15-04 | 5.9000 | 89,101.69 | |||
| 05/17/04 | FEDERAL HOME LOAN MTG CORP SERIES 2488 CLASS SQ DUE 03/15/2032 6,900 INTEREST PAYMENT 05-15-04 | 6.9000 | 90,321.40 |
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BEAR STEARNS¶
CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY¶
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FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
INTEREST (continued)¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
AGCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 05/17/04 | FEDERAL HOME LOAN MTG CORP SERIES 2530 CLASS SE DUE 02/15/2032 6,300 INTEREST PAYMENT 05-15-04 | 6.3000 | 109,256.12 | |||
| 05/17/04 | FEDERAL HOME LOAN MTG CORP SERIES 2526 CLASS SI DUE 02/15/2032 5,900 INTEREST PAYMENT 05-15-04 | 5.9000 | 43,890.12 | |||
| 05/17/04 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-2 CLASS SB DUE 01/16/2034 6,100 INT R/D 05-04 P/D 05-16-04 REPO P & I 6,100 | 6.1000 | 221,416.22 | |||
| 05/17/04 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-2 CLASS SG DUE 01/16/2034 12,200 INT R/D 05-04 P/D 05-16-04 REPO P & I 12,2000 | 12.2000 | 99,727.91 | |||
| 05/20/04 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 5,850 INT R/D 04-04 P/D 05-20-04 REPO P & I 5,8500 | 5.8500 | 214,500.00 | |||
| 05/25/04 | FANNIE MAE CMO/SERIES 2003-13 S RCR-I/O FLTR DUE 03/25/2033 6,900 INTEREST PAYMENT 05-25-04 | 6.9000 | 195,447.99 | |||
| 05/25/04 | FEDERAL NATIONAL MTG ASSN SERIES 2000-49 CLASS SW DUE 01/25/2033 5,900 INTEREST PAYMENT 05-25-04 | 5.9000 | 84,202.49 | |||
| TOTAL | $1,173,956.87 | |||||
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Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS with Bear, Stearns& Co.Inc.¶
THROUGH May 28, 2004¶
AGCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 05/04/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM A4 TERM REPO AGREEMENT | 2,930,616 | 200,000.00 | |||
| 05/04/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM A1 REPO AGREEMENT | -2,930,616 | 225,000.00 | |||
| 05/04/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM A2 REPO AGREEMENT | 2,930,616 | 225,000.00 | |||
| 05/04/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM A3 REPO AGREEMENT | -2,930,616 | 225,000.00 | |||
| 05/04/04 | INTEREST | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/2032 0,000 FITM A4 REPO INTEREST | 57.78 | ||||
| 05/06/04 | DELIVERED | UNITED STATES TREASURY NOTE DUE 04/30/2006 2,250 2,250 DUE 04/30/06 FITM A2 TERM RESALE AGREEMENT | -50,000,000 | 50,000,000.00 | |||
| 05/06/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 04/30/2006 2,250 2,250 DUE 04/30/06 FITM A1 RESALE AGREEMENT | 75,000,000 | 75,000,000.00 |
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FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued)¶
THROUGH May 28, 2004¶
AGCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 05/06/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 04/30/2006 2,250 FITM A2 RESALE INTEREST | 4,138.89 | ||||
| 05/07/04 | RECEIVED | U S TREASURY NOTE DUE 04/15/2009 3,125 3,125 DUE 04/15/09 FITM A1 RESALE AGREEMENT | 25,000,000 | 24,500,000.00 | |||
| 05/10/04 | JOURNAL | FEDERAL NATIONAL MTG ASSN STRIP MTG SERIES 322 CL PO 0,001 DUE 03/01/32 FITM A1 REPO AGREEMENT | -4,744,651 | 3,241,000.00 | |||
| 05/10/04 | JOURNAL | FEDERAL NATIONAL MTG ASSN STRIP MTG SERIES 322 CL PO 0,001 DUE 03/01/32 FITM A2 TERM REPO AGREEMENT | 4,744,651 | 3,260,000.00 | |||
| 05/10/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM AZ TERM REPO AGREEMENT | 2,734,215 | 225,000.00 | |||
| 05/10/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM A1 REPO AGREEMENT | -2,734,215 | 715,000.00 | |||
| 05/10/04 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 5,850 DUE 02/20/33 FITM A1 REPO AGREEMENT | -44,000,000 | 5,533,000.00 |
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05/29/04;12:32 001¶
EFTA00195893¶
CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY¶
14 of 17¶
FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued)¶
THROUGH May 28, 2004¶
AGCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 05/10/04 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 5,850 DUE 02/20/233 FITM TERM REPO AGREEMENT | 44,000,000 | 5,907,000.00 | |||
| 05/10/04 | INTEREST | FEDERAL NATIONAL MTG ASSN STRIP MTG SERIES 322 CL PO DUE 03/01/2032 0,001 FITM REPO INTEREST | 1,294.94 | ||||
| 05/10/04 | INTEREST | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/2032 0,000 FITM REPO INTEREST | 48.75 | ||||
| 05/10/04 | INTEREST | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 5,850 FITM REPO INTEREST | 6,825.87 | ||||
| 05/14/04 | DELIVERED | U S TREASURY NOTE DUE 04/15/2009 3,125 3,125 DUE 04/15/09 FITM TERM RESALE AGREEMENT | -25,000,000 | 24,500,000.00 | |||
| 05/17/04 | RECEIVED | UNITED STATES TREASURY NOTE DUE 05/15/2009 3,875 3,875 DUE 05/15/09 FITM A1 RESALE AGREEMENT | 25,000,000 | 25,000,000.00 | |||
| 05/21/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM TERM REPO AGREEMENT | 2,734,215 | 715,000.00 |
027¶
05/29/04;12:32 001¶
EFTA00195894¶
CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY¶
15 of 17¶
FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued)¶
THROUGH May 28, 2004¶
AGCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 05/21/04 | INTEREST | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/2032 0,000 FITM REPO INTEREST | 284.01 | ||||
| 05/24/04 | JOURNAL | FEDL HOME LOAN MTG CORP#S03602 SERIES 223 CLASS PO DUE 12/01/32 FITM REPO AGREEMENT | -2,734,215 | ||||
| 05/24/04 | DELIVERED | UNITED STATES TREASURY NOTE DUE 05/15/2009 3,875 3,875 DUE 05/15/1500 FITM TERM RESALE AGREEMENT | -25,000,000 | 25,000,000.00 | |||
| 05/24/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/15/2009 3,875 FITM A2 RESALE INTEREST | 2,979.17 | ||||
| 05/25/04 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 5,850 DUE 02/20/33 FITM REPO AGREEMENT | -44,000,000 | 4,300,000.00 | |||
| 05/25/04 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 5,850 DUE 02/20/33 FITM A2 TERM REPO AGREEMENT | 44,000,000 | 5,533,000.00 | |||
| 05/25/04 | INTEREST | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 5,850 FITM REPO INTEREST | 2,997.04 |
027¶
05/29/04;12:32 001¶
| EFTA00195895 | | :--- | :--- |¶
This is a simple Markdown document with no headings or paragraphs. It contains just one line of text.¶
OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc.¶
CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY¶
16 of 17¶
FINANCIAL TRUST CO INC¶
Transaction Detail (continued)¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued)¶
ACCOUNT NUMBER¶
TAXPAYER NUMBER On File¶
| LAST STATEMENT | April 30, 2004 |¶
| :--- | :--- |¶
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 05/27/04 | DELIVERED | UNITED STATES TREASURY NOTE DUE 04/30/2006 2,250 2,250 DUE 04/30/06 FITM A4 TERM RESALE AGREEMENT | -75,000,000 | 75,000,000.00 | |||
| 05/27/04 | INTEREST | UNITED STATES TREASURY NOTE DUE 04/30/2006 2,250 FITM A4 RESALE INTEREST | 10,583.33 | ||||
| TOTAL | -140,576,508.39 | $188,756,701.39 | |||||
MISCELLANEOUS¶
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 05/12/04 | JOURNAL | APR 04 SPEC CLEARING FEES | 1,500.00 | |
| 05/13/04 | JOURNAL | FNMA-30YR(FNMA)GTD SETT,05/04 5,500 DUE 05/01/34 MBS NET 05/13/04 | 32,031.25 | |
| TOTAL | -1,500.00 | $32,031.25 | ||
027¶
05/29/04;12:32 001¶
V831¶
EFTA00195896¶
BEAR STEARNS¶
OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc.¶
CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY¶
17 of 17¶
FINANCIAL TRUST CO INC¶
Trades Executed Pending Settlement¶
STATEMENT PERIOD May 1, 2004¶
THROUGH May 28, 2004¶
| SETLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 06/01/04 | 05/26/04 | SOLD | UNITED STATES TREASURY NOTE DUE 05/31/2006 02,500% MN 31 | -25,000,000.00 | 100.1140 | 25,030,207.65 | ||
| YIELD 2,441 % TO MATURITY GVER REF # G1471007 A3 | ||||||||
| 06/01/04 | 05/26/04 | SOLD | UNITED STATES TREASURY NOTE DUE 05/31/2006 02,500% MN 31 | -50,000,000.00 | 100.1140 | 50,060,415.30 | ||
| YIELD 2,441 % TO MATURITY GVER REF # G1471007 B3 | ||||||||
| TOTAL | $0.00 | $75,090,622.95 | ||||||
The above trades do not appear in any other section of this statement.¶
******* End of Statement*******¶
027¶
05/29/04;12:32 001¶
V831¶