EFTA00196048
| ACCOUNT EXECUTIVE | GNMA GOVT BOND |
| VISIT OUR WEBSITE | www.bearstearns.com |
| Transaction Detail | 7 |
| FINANCIAL TRUST CO INC |
| C/O JEFFREY EPSTEIN |
| 6100 RED HOOK QUARTER |
| ST B3 |
| ST THOMAS VI 00802 |
| TOTAL VALUE OF SECURITIES THIS PERIOD | 3,204,048 |
| LONG ACCRUED INTEREST | 25,795 |
| NET CREDIT BALANCE | 11,712 |
| NET EQUITY THIS PERIOD | $3,241,555 |
| NET EQUITY LAST STATEMENT | 3,835,574 |
| CHANGE SINCE LAST STATEMENT | -594,020 |
| THIS PERIOD | |
| OpeningBalance | $359,965.49 |
| Securities Sold | 854,425,255.21 |
| Dividends/Interest | 1,211,189.06 |
| Miscellaneous | 1,113,665.86 |
| Amount Credited | $856,750,110.13 |
| Securities Bought | -855,443,996.18 |
| Funds Withdrawn | -71,745.00 |
| Dividends/Interest Charged | -491,945.30 |
| Miscellaneous | -1,090,677.37 |
| Amount Debited | $-857,098,363.85 |
| Net Cash Activity | -348,253.72 |
| Closing Balance | $11,711.77 |
| OPENING | CLOSING | |
| Margin | 359,965.49 | 11,711.77 |
| Net Cash Balance | $359,965.49 | $11,711.77 |
| THIS PERIOD | YEAR TO DATE | |
| U.S.Govt.Bond Int. | 554,343.02 | 4,236,006.89 |
| Govt.Agency Int. | 497,289.51 | 4,609,911.42 |
| Corp.Bond Int. | 175,881.40 | 968,584.32 |
| Credit Balance Int. | 779.00 | 4,324.51 |
| Reverse Repurchase Int. | 0.00 | 1,163,243.87 |
| Total | $1,228,292.93 | $10,982,071.01 |
| Bond Purchase Int. | -491,945.30 | -5,640,653.48 |
| Repurchase Int. Exp. | 0.00 | -1,098,448.85 |
| Cash/Cash Equivalent | 11,712 |
| Fixed Income | 3,204,048 |
| Total | $3,215,760 |
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|
| CASH BALANCE | 11,712 | |||||
| TOTAL CASH & CASH EQUIVALENTS | $11,712 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCRUED INTEREST | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| GOVERNMENT NATIONAL MTG ASSN SERIES 2004-035 CLASS SP DATED DATE 05/21/04 BOOK ENTRY ONLY DUE 12/20/2029 3,770% FACTOR = .89865757 | MRGN | 14,635,047 | 5.8146 | 850,969 | 13,794 | 551,741 | 64.8368 | |
| GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-041 CLASS SE DATED DATE 06/23/04 BOOK ENTRY ONLY DUE 05/20/2030 FACTOR = .91247898 | MRGN | 14,656,693 | 6.0902 | 892,616 | ||||
| FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW DATED DATE 04/30/03 BOOK ENTRY ONLY DUE 01/25/2033 3,540% FACTOR = .50139372 | MRGN | 12,187,256 | 7.4140 | 903,557 | 4,793 | 431,429 | 47.7478 | |
| Total Government& Agency Obligations | $2,647,142 | $18,587 | $983,170 | |||||
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCRUED INTEREST | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| ALTERNATIVE LOAN TRUST | MRGN | 36,349,667 | 1.5321 | 556,906 | 7,208 | 648,842 | 116.5084 | |
| SERIES 2004-30CB CLASS 1-A-8 DATED DATE 12/27/04 BOOK ENTRY ONLY DUE 02/25/2035 1,785% FACTOR = .90874168 RATING: MOODY AAA S&P AAA | ||||||||
| Total CorporateBonds | $556,906 | $7,208 | $648,842 | |||||
| TOTAL FIXED INCOME | $3,204,048 | $25,795 | $1,632,012 |
| YOUR PORTFOLIOHOLDINGSACCRUED INTEREST | $25,795 |
| YOUR PORTFOLIOHOLDINGSESTIMATED ANNUAL INCOME | $1,632,012 |
| YOUR PRICED PORTFOLIOHOLDINGS | $3,215,760 |
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ACCRUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | |
|---|---|---|---|---|---|---|---|---|
| YOU SOLD (REPO) | 06/27/05 | OPEN | 0.010 | -1 | -27,112,874 | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-30 CLASS 3.7700 02/20/32 | ||
| YOU SOLD (REPO) | 06/27/05 | OPEN | 0.010 | -1 | -5,724,538 | FEDERAL HOME LOAN MTG CORP SERIES 2886 CLASS SC 3.9118 07/15/19 | ||
| YOU SOLD (REPO) | 06/30/05 | 08/01/05 | 3.540 | -6,373,000 | -20,053 | -10,000,000 | FANNIE MAE STRIPS SERIES 352 CLASS PO 07/01/34 |
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ACCRUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | |
|---|---|---|---|---|---|---|---|---|
| YOU SOLD (REPO) | 07/18/05 | 08/18/05 | 3.630 | -13,954,000 | -19,698 | -23,000,000 | FANNIE MAE STRIPS SERIES 352 CLASS PO 07/01/34 | |
| YOU PROVIDED (MARGIN) | 07/29/05 | OPEN | 0.000 | -50,000,000 | FEDERAL NATIONAL MTG ASSOC SERIES 2003-13 CLASS 4.5400 03/25/33 | |||
| YOU SOLD (REPO) | 07/29/05 | 08/29/05 | 3.720 | -96,000 | -29 | -500,000 | FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5.0000 12/01/34 | |
| YOU PROVIDED (MARGIN) | 07/29/05 | OPEN | 0.000 | -9,500,000 | FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5.0000 12/01/34 | |||
| YOU BOUGHT (REVERSE) | 07/22/05 | OPEN | 2.640 | 10,025,000 | 6,970 | 10,000,000 | USTR 4.1250 05/15/15 | |
| TOTAL REVERSE REPURCHASE TRANSACTIONS | $10,025,000 | $6,970 | ||||||
| TOTAL REPURCHASE TRANSACTIONS | $-61,340,002 | $-122,828 | ||||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/01/05 | 06/30/05 | SOLD | UNITED STATES TREASURY NOTE DUE 06/30/2007 03,625% JD 30 YIELD 3,626 % TO MATURITY GVER REF # G1813788 B1 | -15,000,000 | 99.99770 | 14,999,655.00 | ||
| ACCR. INT. | 1,477.58 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/01/05 | 06/30/05 | SOLD | UNITED STATES TREASURY NOTE DUE 06/30/2007, 03,625% JD 30 YIELD 3,626 % TO MATURITY GVER REF # G1813788 A1 | -50,000,000 | 99.99770 | 49,998,850.00 | ||
| 07/01/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34 ADJUST POSITION | -1 | 4,925.27 | ||||
| 07/01/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34 | -1 | |||||
| 07/05/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34 | 1 | |||||
| 07/06/05 | 07/05/05 | SOLD | UNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 YIELD 4,108 % TO MATURITY GVER REF # G1864824 A1 | -15,000,000 | 100.13281 ACCR. INT. | 15,019,921.87 87,432.07 | ||
| 07/06/05 | 07/05/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 06/31/2007, 03,600% MN 31 Yield 3,780 % TO MATURITY GVER REF # G1864858 A1 | 6,000,000 ACCR. INT. | 99.48828 ACCR. INT. | |||
| 07/07/05 | 07/06/05 | SOLD | UNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 Yield 4,082 % TO MATURITY GVER REF # G1872700 A1 | -10,000,000 | 100.34375 ACCR. INT. | 10,034,375.00 59,408.97 | ||
| 07/11/05 | 07/08/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 Yield 4,081 % TO MATURITY GVER REF # G1894318 A1 | 15,000,000 ACCR. INT. | 100.35156 ACCR. INT. | 15,052,734.37 95,839.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/11/05 | 07/08/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 05/31/2007 03,500% MN 31 SPECIAL INSTRUCTIONS YIELD 3,762 % TO MATURITY GVER REF # G1893571 A3 WWEB | 28,000,000 ACCR. INT. | 99.52344 | 27,866,562.50 | ||
| 07/11/05 | 07/08/05 | SOLD | UNITED STATES TREASURY NOTE DUE 06/30/2007 03,625% JD 30 SPECIAL INSTRUCTIONS YIELD 3,751 % TO MATURITY GVER REF # G1893570 A3 WWEB | -28,000,000 | 99.76172 ACCR. INT. | 27,933,281.25 30,339.67 | ||
| 07/12/05 | 07/11/05 | SOLD | UNITED STATES TREASURY NOTE DUE 06/15/2015 04,125% MN 15 YIELD 4,122 % TO MATURITY GVER REF # G1923743 A1 | -15,000,000 | 100.01563 ACCR. INT. | 15,002,343.75 97,520.38 | ||
| 07/14/05 | 06/06/05 | CANCEL SELL | FINMA 30YR TBA GTD SETT, 07/05 DUE 07.01/2035 05,000% | 15,000,000 | 99.59375 | 14,939,062.50 | ||
| 07/14/05 | 06/07/05 | CANCEL SELL | FINMA 30YR TBA GTD SETT, 07/05 DUE 07.01/2035 05,000% | 15,000,000 | 99.59375 | 14,939,062.50 | ||
| 07/14/05 | 06/03/05 | BOUGHT | FINMA 30YR TBA GTD SETT, 07/05 DUE 07.01/2035 05,000% | 15,000,000 | 100.21875 | 15,032,812.50 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/14/05 | 05/06/05 | CANCEL SELL | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 200505057440000 BS AS OF 05/06/05 TO CXL PREVIOUS SELL | 30,000,000 | 98.51953 | 29,555,859.38 | ||
| 07/14/05 | 06/23/05 | BOUGHT | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005052357210000 BS | 30,000,000 | 99.96094 | 29,988,281.25 | ||
| 07/14/05 | 06/06/05 | SOLD | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060757140000 BS AS OF 06/06/05 | -15,000,000 | 99.59375 | 14,939,062.50 | ||
| 07/14/05 | 06/07/05 | SOLD | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060757140000 BS | -15,000,000 | 99.59375 | 14,939,062.50 | ||
| 07/14/05 | 06/03/05 | CANCEL BUY | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060357110000 BS AS OF 06/03/05 TO CXL PREVIOUS BUY | -15,000,000 | 100.21875 | 15,032,812.50 | ||
| 07/14/05 | 05/06/05 | SOLD | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 200505057440000 BS | -30,000,000 | 98.51953 | 29,555,859.38 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/14/05 | 06/23/05 | CANCEL BUY | FNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357210000 BS AS OF 06/23/05 TO CXL PREVIOUS BUY | -30,000,000 | 99.96094 | 29,988,281.25 | ||
| 07/14/05 | 05/06/05 | CANCEL SELL | FNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357450000 BS AS OF 05/06/05 TO CXL PREVIOUS SELL | 30,000,000 | 100.51563 | 30,154,687.50 | ||
| 07/14/05 | 05/19/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT, 07/06 DUE 07/01/2035 05,500% REF # 2005051957050000 BS | 30,000,000 | 100.86719 | 30,260,156.25 | ||
| 07/14/05 | 05/23/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT, 07/06 DUE 07/01/2035 05,500% REF # 2005052357100000 BS | 30,000,000 | 101.00000 | 30,300,000.00 | ||
| 07/14/05 | 07/07/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005070757300000 BS | 30,000,000 | 101.11719 | 30,335,156.25 | ||
| 07/14/05 | 05/26/05 | CANCEL SELL | FNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357180000 BS AS OF 05/26/05 TO CXL PREVIOUS SELL | 60,000,000 | 100.95313 | 60,571,875.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/14/05 | 05/06/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,07/06 DUE 07/01/2035, 05,500% REF # 20050505745000 BS | -30,000,000 | 100.51563 | 30,154,687.50 | ||
| 07/14/05 | 05/19/05 | CANCEL BUY | FNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 200505195705000 BS AS OF 05/19/05 TO CXL PREVIOUS BUY | -30,000,000 | 100.86719 | 30,260,156.25 | ||
| 07/14/05 | 05/23/05 | CANCEL BUY | FNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 200505235710000 BS AS OF 05/23/05 TO CXL PREVIOUS BUY | -30,000,000 | 101.00000 | 30,300,000.00 | ||
| 07/14/05 | 07/07/05 | CANCEL BUY | FNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 2005070757300000 BS AS OF 07/07/05 TO CXL PREVIOUS BUY | -30,000,000 | 101.11719 | 30,335,156.25 | ||
| 07/14/05 | 05/26/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,07/06 DUE 07/01/2035, 05,500% REF # 2005052657180000 BS | -60,000,000 | 100.95313 | 60,571,875.00 | ||
| 07/14/05 | 06/06/05 | BOUGHT | FNMA 30 YR GTD SETT,07/05 DUE 07/01/2035, 06,000% REF # 2005060757180000 BS AS OF 06/06/05 | 50,000,000 | 102.60547 | 51,302,734.38 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/14/05 | 06/03/05 | CANCEL SELL | FNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060357070000 BS AS OF 06/03/05 TO CXL PREVIOUS SELL | 50,000,000 | 102.79688 | 51,398,437.50 | ||
| 07/14/05 | 06/06/05 | CANCEL BUY | FNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060757180000 BS AS OF 06/06/05 TO CXL PREVIOUS BUY | -50,000,000 | 102.60547 | 51,302,734.38 | ||
| 07/14/05 | 06/03/05 | SOLD | FNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060357070000 BS | -50,000,000 | 102.79688 | 51,398,437.50 | ||
| 07/15/05 | 07/14/05 | SOLD | UNITED STATES TREASURY NOTE DUE 06/15/2015 04,125% MN 15 YIELD 4,179 % TO MATURITY GVER REF # G1953286 A1 | -3,000,000 | 99.56250 ACCR. INT. | 2,986,875.00 20,512.91 | ||
| 07/15/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/17 ADJUST POSITION | -1 | |||||
| 07/15/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/17 | -1 | |||||
| 07/18/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/17 | 1 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/20/05 | 07/19/05 | SOLD | UNITED STATES TREASURY NOTE DUE 05/14/2015 04,125% MN 15 YIELD 4,232 % TO MATURITY GVER REF # G2002321 A1 | -5,000,000 | 99.14063 | 4,957,031.25 | ||
| ACCR. INT. | 36,990.49 | |||||||
| 07/20/05 | PRINCIPAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-035 CLASS SP 3,940 DUE 12/2020 PRINCIPAL REDUCTN 07-20-05 | -159,999 | |||||
| 07/20/05 | PRINCIPAL | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-041 CLASS SE DUE 08/2020 PRINCIPAL REDUCTN 07-20-05 | -145,015 | |||||
| 07/22/05 | 07/21/05 | SOLD | UNITED STATES TREASURY NOTE DUE 04/LM/2015 04,125% MN 15 YIELD 4,232 % TO MATURITY GVER REF # G2025180 A1 | -5,000,000 | 98.93750 | 4,946,875.00 | ||
| ACCR. INT. | 38,111.41 | |||||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP PRIN R/D 06-05 P/D 07-25-05 REPO P & I 0,0000 | 118,834.50 | |||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP PRIN R/D 06-05 P/D 07-25-05 REPO P & I 0,0000 | 356,503.50 | |||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW 3,685 DUE 01/25/33 PRINCIPAL REDUCTN 07-25-05 | -301,362 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000 | 159,318.90 | |||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000 | 318,637.80 | |||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0,001 DUE 07/01/34 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000 | 219,038.40 | |||||
| 07/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0,001 DUE 07/01/34 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000 | 503,788.32 | |||||
| 07/25/05 | PRINCIPAL | ALTERNATIVE LOAN TRUST SERIES 2004-3008 CLASS 1-A-8 1-PRIS DUE 02/26/38 PRINCIPAL REDUCTN 07-25-05 | -704,874 | |||||
| 07/29/05 | 07/28/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE #D60102007 03,625% JD 30 YIELD = $3,978 TO MATURITY GVER REF # G2094228 A3 AS OF 07/28/05 | 20,000,000 ACCR. INT. | 99,37220 | 19,874,440.00 57,133.15 | ||
| 07/29/05 | 07/28/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE #D60102007 03,625% JD 30 Yield = $3,978 TO MATURITY GVER REF # G2094228 B1 | 23,000,000 ACCR. INT. | 99,35156 | 22,850,859.38 65,703.12 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 07/29/05 | 07/28/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 06/30/2007 03,625% JD 30 | 50,000,000 | 99.35156 | 49,675,781.25 | ||
| WELD 3,978 % TO MATURITY GVER REF # G2092992 A1 | ACCR. INT. | 142,832.88 |
| DATE | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 07/13/05 | FND WIRED | MDA# FNDSWIRED TO BANK OF AMERICA N.A. NJ | 71,745.00 | |
| TOTAL | -71,745.00 | |||
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 07/01/05 | AVG BAL 425,265RT 2.198 021 OFFICE INTEREST 0605 | 779.00 | ||||
| 07/15/05 | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 DUE 12/01/2034 5,000 INT R/D 06-05 P/D 07-15-05 REPO P & I 5,0000 | 5.0000 | 39,803.51 | |||
| 07/15/05 | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 DUE 12/01/2034 5,000 INT R/D 06-05 P/D 07-15-05 REPO P & I 5,0000 | 5.0000 | 79,607.03 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 07/15/05 | FREEDIE MAC CMO/SERIES 2886 SC/O FLTR DUE 07/15/2019 4,080 INT R/D 06-05 P/D 07-15-05 REPO P & I 4,0800 | 4.0800 | 12,000.87 | |||
| 07/15/05 | FREEDIE MAC CMO/SERIES 2886 SC/O FLTR DUE 07/15/2019 4,080 INT R/D 06-05 P/D 07-15-05 REPO P & I 4,0800 | 4.0800 | 17,174.86 | |||
| 07/15/05 | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS ID DUE 02/01/2035 6,000 INT R/D 06-05 P/D 07-15-05 REPO P & I 6,0000 | 6.0000 | 89,798.51 | |||
| 07/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 6,000 INT R/D 06-05 P/D 07-20-05 REPO P & I 3,6900 | 3.6900 | 54,120.00 | |||
| 07/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 3,690 INT R/D 06-05 P/D 07-20-05 REPO P & I 3,6900 | 3.6900 | 81,180.00 | |||
| 07/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-30 CLASS SU DUE 02/20/2032 3,940 INT R/D 06-05 P/D 07-20-05 REPO P & I 3,9400 | 3.9400 | 80,213.91 | |||
| 07/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-036 CLASS SP DUE 12/20/2029 3,940 INTEREST PAYMENT 07-20-05 | 3.9400 | 48,577.07 | |||
| 07/20/05 | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-041 CLASS SE DUE 05/20/2030 0,000 INTEREST PAYMENT 07-20-05 | 48,598.94 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 07/25/05 | FANNIE MAE CMO/SERIES 2003-13 S ROR-I/O FLTR DUE 03/25/2033 4,685 INT R/D 06-05 P/D 07-25-05 REPO P & I 4,6856 | 4.6850 | 48,392.65 | |||
| 07/25/05 | FANNIE MAE CMO/SERIES 2003-13 S ROR-I/O FLTR DUE 03/25/2033 4,685 INT R/D 06-05 P/D 07-25-05 REPO P & I 4,6856 | 4.6850 | 48,392.65 | |||
| 07/25/05 | FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW DUE 01/25/2033 3,685 INTEREST PAYMENT 07-25-05 | 3.6850 | 38,356.92 | |||
| 07/25/05 | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR DUE 07/25/2017 3,785 INT R/D 06-05 P/D 07-25-05 REPO P & I 3,7856 | 3.7850 | 23,816.25 | |||
| 07/25/05 | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR DUE 07/25/2017 3,785 INT R/D 06-05 P/D 07-25-05 REPO P & I 3,7856 | 3.7850 | 30,311.59 | |||
| 07/25/05 | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 DUE 07/01/2034 5,000 INT R/D 06-05 P/D 07-25-05 REPO P & I 5,0000 | 5.0000 | 38,209.31 | |||
| 07/25/05 | ALTERNATIVE LOAN TRUST SERIES 2004-30CB CLASS 1-A-8 DUE 02/25/2035 1,785 INTEREST PAYMENT 07-25-05 | 1.7850 | 55,137.24 | |||
| TOTAL | $834,470.31 | |||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/01/05 | RECEIVED | UNITED STATES TREASURY NOTE DUE 06/30/2007 3,625 DUE 06/30/07 FITM RESALE AGREEMENT | 65,000,000 | 65,162,500.00 | |||
| 07/06/05 | JOURNAL | UNITED STATES TREASURY NOTE FITM A1 4,125 DUE 05/19/15 REPO AGREEMENT | -13,000,000 | 13,097,500.00 | |||
| 07/06/05 | JOURNAL | UNITED STATES TREASURY NOTE FITM A2 4,125 DUE 05/19/15 TERM REPO AGREEMENT | 28,000,000 | 28,210,000.00 | |||
| 07/06/05 | RECEIVED | UNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 DUE 05/31/07 FITM RESALE AGREEMENT | 28,000,000 | 28,035,000.00 | |||
| 07/06/05 | DELIVERED | UNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 3,500 DUE 05/31/07 FITM A2 TERM RESALE AGREEMENT | -34,000,000 | 34,127,500.00 | |||
| 07/06/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/15/2015 4,125 FITM REPO INTEREST | 28,304.03 | ||||
| 07/06/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 INTEREST | 21,149.57 | ||||
| 07/07/05 | JOURNAL | UNITED STATES TREASURY NOTE FITM A1 4,125 DUE 05/19/15 REPO AGREEMENT | -3,000,000 | 3,022,500.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/11/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/31/2002 FITM INTEREST | 8,099.00 | ||||
| 07/11/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 06/20/2002 FITM INTEREST | 47,749.63 | ||||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRP FITM REPO AGREEMENT | -4,805,740 | 3,562,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRP FITM TERM REPO AGREEMENT | 4,805,740 | 3,652,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRP FITM A1 REPO AGREEMENT | -14,417,221 | 10,686,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRP FITM A2 TERM REPO AGREEMENT | 14,417,221 | 11,102,000.00 | |||
| 07/12/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-13 3 ROP/10 FTR 4,685 DUE 03/25/33 FITM REPO AGREEMENT | -12,393,489 | 946,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/12/05 | JOURNAL | FANNIE AAE CMO/SERIES 2003-13 S RCR-I/O FLTR 4,685 DUE 03/25/33 FTIM TERM REPO AGREEMENT | 12,393,489 | 984,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FTIM REPO AGREEMENT | -6,805,369 | 5,060,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FTIM TERM REPO AGREEMENT | 6,805,369 | 5,241,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FTIM TERM REPO AGREEMENT | 13,610,739 | 10,000,000.00 | |||
| 07/12/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FTIM REPO AGREEMENT | -13,610,739 | 10,120,000.00 | |||
| 07/12/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/01/34 FTIM TERM REPO AGREEMENT | 18,891,486 | 3,756,000.00 | |||
| 07/12/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/01/34 FTIM REPO AGREEMENT | -18,891,486 | 3,788,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/12/05 | JOURNAL | FREDDIE MAC CMO/SERIES 2886 SC/IO FLTR 4,080 DUE 07/15/19 FTIM REPO AGREEMENT | -3,529,667 | 197,000.00 | |||
| 07/12/05 | JOURNAL | FREDDIE MAC CMO/SERIES 2886 SC/IO FLTR 4,080 DUE 07/15/19 FTIM TERM REPO AGREEMENT | 3,529,667 | 206,000.00 | |||
| 07/12/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/25 FTIM TERM REPO AGREEMENT | 17,428,411 | 2,762,000.00 | |||
| 07/12/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/25 FTIM REPO AGREEMENT | -17,428,411 | 2,818,000.00 | |||
| 07/12/05 | JOURNAL | UNITED STATES TREASURY NOTE FTIM A1 4,125 DUE 05/15/15 REPO AGREEMENT | -3,000,000 | 3,011,250.00 | |||
| 07/12/05 | JOURNAL | UNITED STATES TREASURY NOTE FTIM A2 4,125 DUE 05/15/15 TERM REPO AGREEMENT | 18,000,000 | 18,090,000.00 | |||
| 07/12/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO STRUP DUE 01/01/2033 0,000 REPO INTEREST | 8,521.33 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/12/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO STRIP DUE 01/01/2033 0,000 FITM AZ REPO INTEREST | 33,750.08 | ||||
| 07/12/05 | INTEREST | FANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR DUE 02/25/2033 4,685 FITM AZ REPO INTEREST | 2,991.36 | ||||
| 07/12/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST | 15,932.64 | ||||
| 07/12/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST | 23,333.33 | ||||
| 07/12/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS 10 DUE 12/01/2034 5,000 FITM AZ REPO INTEREST | 11,418.24 | ||||
| 07/12/05 | INTEREST | FREDDIE MAC CMO/SERIES 2886 SC-I/O FLTR DUE 07/15/2019 4,080 FITM AZ REPO INTEREST | 626.24 | ||||
| 07/12/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10110 SERIES 229 CLASS 10 DUE 02/01/2035 6,000 FITM AZ REPO INTEREST | 8,396.48 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/12/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/15/2015 4,125 FITM A2 REPO INTEREST | 1,557.75 | ||||
| 07/13/05 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 3,690 DUE 02/20/33 FITM A1 REPO AGREEMENT | -26,400,000 | 2,440,000.00 | |||
| 07/13/05 | JOURNAL | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS 3,690 DUE 02/20/33 FITM A2 TERM REPO AGREEMENT | 26,400,000 | 2,515,000.00 | |||
| 07/13/05 | INTEREST | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 3,690 AZ REPO INTEREST | 4,708.64 | ||||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FITM A4 TERM REPO AGREEMENT | 17,157,930 | ||||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FITM A1 REPO AGREEMENT | -7,549,489 | ||||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FITM A1 RESALE AGREEMENT | 9,608,440 | 509,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FTIM REPO AGREEMENT | -9,608,440 | 509,000.00 | |||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FTIM REPO AGREEMENT | -9,608,440 | 509,000.00 | |||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FTIM REPO AGREEMENT | 9,608,440 | 509,000.00 | |||
| 07/14/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-52 KS-I/O FLTR 3,785 DUE 07/25/17 FTIM REPO AGREEMENT | -9,608,440 | 509,000.00 | |||
| 07/15/05 | JOURNAL | UNITED STATES TREASURY NOTE FTIM A2 4,125 DUE 05/15/15 TERM REPO AGREEMENT | 3,000,000 | 3,011,250.00 | |||
| 07/15/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 05/15/2015 4,125 FTIM A2 REPO INTEREST | 736.92 | ||||
| 07/18/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0.001 DUE 07/11/94 FTIM REPO AGREEMENT | -19,089,045 | 13,954,000.00 | |||
| 07/18/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0.001 DUE 07/11/94 FTIM TERM REPO AGREEMENT | 19,089,045 | 14,345,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/28/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 DUE 12/01/2034 5,000 FITM C2 REPO INTEREST | 5,123.95 | ||||
| 07/29/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM E2 TERM REPO AGREEMENT | 12,094,423 | ||||
| 07/29/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM A1 REPO AGREEMENT | -24,188,846 | ||||
| 07/29/05 | JOURNAL | FANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM A2 TERM REPO AGREEMENT | 12,094,423 | 946,000.00 | |||
| 07/29/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A2 TERM REPO AGREEMENT | 9,445,743 | ||||
| 07/29/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A1 REPO AGREEMENT | -8,973,456 | ||||
| 07/29/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A1 REPO AGREEMENT | -472,287 | 96,000.00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 07/29/05 | DELIVERED | UNITED STATES TREASURY NOTE DUE 06/30/2007 3,625 3,625 DUE 06/30/07 FITM A2 TERM RESALE AGREEMENT | -93,000,000 | 93,116,250.00 | |||
| 07/29/05 | INTEREST | FANNIE MAE CMO/SERIES 2003-13 S RCR-I/O FLTR DUE 03/25/2033 4,540 FITM A2 REPO INTEREST | 1,599.27 | ||||
| 07/29/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 06/30/2007 3,625 FITM INTEREST | 132,949.31 | ||||
| TOTAL | -$325,376,196.79 | $318,091,800.66 | |||||
| MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 07/01/05 | JOURNAL | TO CMDY A/C | 159,218.50 | |
| 07/05/05 | JOURNAL | FR CMDY A/C | 258,350.50 | |
| 07/06/05 | JOURNAL | FR CMDY A/C | 160,897.50 | |
| 07/08/05 | JOURNAL | FR CMDY A/C | 183,564.74 | |
| 07/11/05 | JOURNAL | FR CMDY A/C | 107,686.00 | |
| 07/13/05 | JOURNAL | FR CMDY A/C | 6,430.00 | |
| 07/13/05 | JOURNAL | FNMA 30YR TBA GTD SETT, 07/05 5,000 DUE 07/01/35 MBS NET 07/13/05 | 526,171.87 |
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 07/13/05 | JOURNAL | FNMA-30YR(FNMA)GTD SETT, 07/05 5,500 DUE 07/01/35 MBS NET 07/13/05 | 168,750.00 | |
| 07/14/05 | JOURNAL | FR CMDY A/C | 11,709.00 | |
| 07/14/05 | JOURNAL | FNMA 30 YR GTD SETT, 07/05 6,000 DUE 07/01/35 MBS NET 07/14/05 | 95,703.12 | |
| 07/15/05 | JOURNAL | TO CMDY A/C | 4,390.00 | |
| 07/18/05 | JOURNAL | FR CMDY A/C | 66,750.00 | |
| 07/19/05 | JOURNAL | FR CMDY A/C | 50,375.00 | |
| 07/22/05 | JOURNAL | JUNE 05 CLEAR FEES | 1,500.00 | |
| 07/22/05 | JOURNAL | FR CMDY A/C | 104,275.00 | |
| 07/26/05 | JOURNAL | TO CMDY A/C | 23,563.00 | |
| 07/27/05 | JOURNAL | FR CMDY A/C | 3,900.00 | |
| 07/28/05 | JOURNAL | FR CMDY A/C | 64,025.00 | |
| 07/29/05 | JOURNAL | TO CMDY A/C | 207,084.00 | |
| TOTAL | -1,090,677.37 | $1,113,665.86 | ||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 08/01/05 | 07/29/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 06/15/2015, 04,125% MN 15 YIELD 4,278 % TO MATURITY GVER REF # G2105081 A1 | 10,000,000.00 | 98.7812 | 9,965,557.07 | ||
| 08/01/05 | 07/28/05 | SOLD | UNITED STATES TREASURY NOTE DUE 07/31/2007, 03,875% JJ 31 Yield 3,978 % TO MATURITY GVER REF # G2093006 B1 | -23,000,000.00 | 99.8046 | 22,957,500.00 | ||
| 08/01/05 | 07/28/05 | SOLD | UNITED STATES TREASURY NOTE DUE 07/31/2007, 03,875% JJ 31 Yield 3,978 % TO MATURITY GVER REF # G2093006 A1 | -50,000,000.00 | 99.8046 | 49,907,608.70 | ||
| 08/11/05 | 07/11/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500% REF # 2005071157110000 BS | 50,000,000.00 | 100.8828 | 50,441,406.25 | ||
| 08/11/05 | 07/07/05 | SOLD | FNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500% REF # 2005070757310000 BS | -30,000,000.00 | 100.9687 | 30,290,625.00 | ||
| 08/11/05 | 07/08/05 | SOLD | FNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500% REF # 2005070857250000 BS | -50,000,000.00 | 100.9609 | 50,480,470.00 | ||
| 08/11/05 | 07/08/05 | SOLD | FNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500% REF # 2005070857250000 BS AS OF 07/08/05 | -50,000,000.00 | 100.9609 | 50,480,468.75 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT | |
|---|---|---|---|---|---|---|---|---|---|
| 08/11/05 | 07/15/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005071557180000 BS | -30,000,000.00 | 100.8203 | 30,246,093.75 | |||
| 08/11/05 | 07/29/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005072957090000 BS | -40,000,000.00 | 100.5078 | 40,203,125.00 | |||
| 08/11/05 | 07/08/05 | CANCEL SELL | FNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005070857250000 BS AS OF 07/08/05 | -50,000,000.00 | 100.9609 | 50,480,470.00 | |||
| 08/11/05 | 07/21/05 | SOLD | FNMA 30YR GTD SETT, 08/05 DUE 08/01/2035, 05,000% REF # 2005072157190000 BS | -10,000,000.00 | 98.5937 | 9,859,375.00 | |||
| TOTAL | $110,887,433.32 | $284,425,266.20 | |||||||