EFTA00196048
ACCOUNT EXECUTIVEGNMA GOVT BOND
VISIT OUR WEBSITEwww.bearstearns.com
## What’s In This Statement Financial Summary 3 Your Portfolio Holdings ... 4
Transaction Detail7
Trades Not Yet Settled ... 31
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
TOTAL VALUE OF SECURITIES THIS PERIOD3,204,048
LONG ACCRUED INTEREST25,795
NET CREDIT BALANCE11,712
NET EQUITY THIS PERIOD$3,241,555
NET EQUITY LAST STATEMENT3,835,574
CHANGE SINCE LAST STATEMENT-594,020
There are no "Stop Loss" orders or other pending buy or sell open orders on file for your account. FINANCIAL TRUST CO INC TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | ACCOUNT NUMBER STATEMENT PERIOD July 1, 2005 Market Value of Your Portfolio THROUGH July 29, 2005 SIPC 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. 027 07/30/05:10:09 001 V895 EFTA00196049 2 of 32 STATEMENT BACKER IS PRINTED ON THIS PAGE 027 EFTA00196050 3 of 32 Cash Flow Analysis
THIS PERIOD
OpeningBalance$359,965.49
Securities Sold854,425,255.21
Dividends/Interest1,211,189.06
Miscellaneous1,113,665.86
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Funds Withdrawn-71,745.00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
Cash Balance Summary Income Summary
OPENINGCLOSING
Margin359,965.4911,711.77
Net Cash Balance$359,965.49$11,711.77
THIS PERIODYEAR TO DATE
U.S.Govt.Bond Int.554,343.024,236,006.89
Govt.Agency Int.497,289.514,609,911.42
Corp.Bond Int.175,881.40968,584.32
Credit Balance Int.779.004,324.51
Reverse Repurchase Int.0.001,163,243.87
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
Portfolio Composition
Cash/Cash Equivalent11,712
Fixed Income3,204,048
Total$3,215,760
STATEMENT PERIOD July 1, 2005 FINANCIAL TRUST CO INC THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | 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. V895 EFTA00196051 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 4 of 32 FINANCIAL TRUST CO INC ## Your Portfolio Holdings CASH & CASH EQUIVALENTS STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005
DESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEMARKET VALUEESTIMATED ANNUAL INCOMECURRENT YIELD (%)
CASH BALANCE11,712
TOTAL CASH & CASH EQUIVALENTS$11,712
AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | ## FIXED INCOME Government & Agency Obligations
DESCRIPTIONSYMBOL/CUSIPACCT TYPEQUANTITYPRICEMARKET VALUEACCRUED INTERESTESTIMATED ANNUAL INCOMECURRENT 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 = .89865757MRGN14,635,0475.8146850,96913,794551,74164.8368
GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-041 CLASS SE DATED DATE 06/23/04 BOOK ENTRY ONLY DUE 05/20/2030 FACTOR = .91247898MRGN14,656,6936.0902892,616
FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW DATED DATE 04/30/03 BOOK ENTRY ONLY DUE 01/25/2033 3,540% FACTOR = .50139372MRGN12,187,2567.4140903,5574,793431,42947.7478
Total Government& Agency Obligations$2,647,142$18,587$983,170
027 07/30/05;10:09 001 EFTA00196052 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY **5 of 32** FINANCIAL TRUST CO INC ## Your Portfolio Holdings (continued) STATEMENT PERIOD July 1, 2005 Corporate Bonds
DESCRIPTIONSYMBOL/CUSIPACCT TYPEQUANTITYPRICEMARKET VALUEACCRUED INTERESTESTIMATED ANNUAL INCOMECURRENT YIELD (%)
ALTERNATIVE LOAN TRUSTMRGN36,349,6671.5321556,9067,208648,842116.5084
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
## Repurchase and Reverse Repurchase Transactions with Bear, Stearns& Co.Inc.outstanding as of date of statement
PURCHASE/ START DATEREPURCHASE DATEPRICING RATEPURCHASE PRICE/ PRINCIPALACCRUED REPO INTEREST*QUANTITY (FACE AMOUNT)CUSIPDESCRIPTION
YOU SOLD (REPO)06/27/05OPEN0.010-1-27,112,874GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-30 CLASS 3.7700 02/20/32
YOU SOLD (REPO)06/27/05OPEN0.010-1-5,724,538FEDERAL HOME LOAN MTG CORP SERIES 2886 CLASS SC 3.9118 07/15/19
YOU SOLD (REPO)06/30/0508/01/053.540-6,373,000-20,053-10,000,000FANNIE MAE STRIPS SERIES 352 CLASS PO 07/01/34
027 07/30/05;10:09 001 EFTA00196053 6 of 32 FINANCIAL TRUST CO INC ## Repurchase and Reverse Repurchase Transactions (continued) | STATEMENT PERIOD | July 1, 2005 | | :--- | :--- | | THROUGH | July 29, 2005 | AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | 027 07/30/05;10:09 001 EFTA00196054 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 7 of 32 FINANCIAL TRUST CO INC STATEMENT PERIOD July 1, 2005 ## Repurchase and Reverse Repurchase Transactions (continued) THROUGH July 29, 2005 TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
PURCHASE/ START DATEREPURCHASE DATEPRICING RATEPURCHASE PRICE/ PRINCIPALACCRUED REPO INTEREST*QUANTITY (FACE AMOUNT)CUSIPDESCRIPTION
YOU SOLD (REPO)07/18/0508/18/053.630-13,954,000-19,698-23,000,000FANNIE MAE STRIPS SERIES 352 CLASS PO 07/01/34
YOU PROVIDED (MARGIN)07/29/05OPEN0.000-50,000,000FEDERAL NATIONAL MTG ASSOC SERIES 2003-13 CLASS 4.5400 03/25/33
YOU SOLD (REPO)07/29/0508/29/053.720-96,000-29-500,000FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5.0000 12/01/34
YOU PROVIDED (MARGIN)07/29/05OPEN0.000-9,500,000FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5.0000 12/01/34
YOU BOUGHT (REVERSE)07/22/05OPEN2.64010,025,0006,97010,000,000USTR 4.1250 05/15/15
TOTAL REVERSE REPURCHASE TRANSACTIONS$10,025,000$6,970
TOTAL REPURCHASE TRANSACTIONS$-61,340,002$-122,828
*As of statement date* Transaction Detail INVESTMENT ACTIVITY
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/01/0506/30/05SOLDUNITED STATES TREASURY NOTE
DUE 06/30/2007 03,625% JD 30
YIELD 3,626 % TO MATURITY
GVER REF # G1813788 B1
-15,000,00099.9977014,999,655.00
ACCR. INT.1,477.58
027 07/30/05;10:09 001 EFTA00196055 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 8 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/01/0506/30/05SOLDUNITED STATES TREASURY NOTE DUE 06/30/2007, 03,625% JD 30 YIELD 3,626 % TO MATURITY GVER REF # G1813788 A1-50,000,00099.9977049,998,850.00
07/01/05JOURNALFEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34 ADJUST POSITION-14,925.27
07/01/05JOURNALFEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34-1
07/05/05JOURNALFEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/341
07/06/0507/05/05SOLDUNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 YIELD 4,108 % TO MATURITY GVER REF # G1864824 A1-15,000,000100.13281 ACCR. INT.15,019,921.87 87,432.07
07/06/0507/05/05BOUGHTUNITED STATES TREASURY NOTE DUE 06/31/2007, 03,600% MN 31 Yield 3,780 % TO MATURITY GVER REF # G1864858 A16,000,000 ACCR. INT.99.48828 ACCR. INT.
07/07/0507/06/05SOLDUNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 Yield 4,082 % TO MATURITY GVER REF # G1872700 A1-10,000,000100.34375 ACCR. INT.10,034,375.00 59,408.97
07/11/0507/08/05BOUGHTUNITED STATES TREASURY NOTE DUE 05/15/2015, 04,125% MN 15 Yield 4,081 % TO MATURITY GVER REF # G1894318 A115,000,000 ACCR. INT.100.35156 ACCR. INT.15,052,734.37 95,839.00
027 07/30/05;10:09 001 EFTA00196056 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 9 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/11/0507/08/05BOUGHTUNITED 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.
99.5234427,866,562.50
07/11/0507/08/05SOLDUNITED STATES TREASURY NOTE
DUE 06/30/2007 03,625% JD 30
SPECIAL INSTRUCTIONS
YIELD 3,751 % TO MATURITY
GVER REF # G1893570 A3 WWEB
-28,000,00099.76172
ACCR. INT.
27,933,281.25
30,339.67
07/12/0507/11/05SOLDUNITED STATES TREASURY NOTE
DUE 06/15/2015 04,125% MN 15
YIELD 4,122 % TO MATURITY
GVER REF # G1923743 A1
-15,000,000100.01563
ACCR. INT.
15,002,343.75
97,520.38
07/14/0506/06/05CANCEL SELLFINMA 30YR TBA GTD
SETT, 07/05
DUE 07.01/2035 05,000%
15,000,00099.5937514,939,062.50
07/14/0506/07/05CANCEL SELLFINMA 30YR TBA GTD
SETT, 07/05
DUE 07.01/2035 05,000%
15,000,00099.5937514,939,062.50
07/14/0506/03/05BOUGHTFINMA 30YR TBA GTD
SETT, 07/05
DUE 07.01/2035 05,000%
15,000,000100.2187515,032,812.50
027 07/30/05;10:09 001 EFTA00196057 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY 10 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/14/0505/06/05CANCEL SELLFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 200505057440000 BS AS OF 05/06/05 TO CXL PREVIOUS SELL30,000,00098.5195329,555,859.38
07/14/0506/23/05BOUGHTFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005052357210000 BS30,000,00099.9609429,988,281.25
07/14/0506/06/05SOLDFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060757140000 BS AS OF 06/06/05-15,000,00099.5937514,939,062.50
07/14/0506/07/05SOLDFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060757140000 BS-15,000,00099.5937514,939,062.50
07/14/0506/03/05CANCEL BUYFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 2005060357110000 BS AS OF 06/03/05 TO CXL PREVIOUS BUY-15,000,000100.2187515,032,812.50
07/14/0505/06/05SOLDFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,000% REF # 200505057440000 BS-30,000,00098.5195329,555,859.38
027 07/30/05;10:09 001 EFTA00196058 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 11 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/14/0506/23/05CANCEL BUYFNMA 30YR TBA GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357210000 BS AS OF 06/23/05 TO CXL PREVIOUS BUY-30,000,00099.9609429,988,281.25
07/14/0505/06/05CANCEL SELLFNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357450000 BS AS OF 05/06/05 TO CXL PREVIOUS SELL30,000,000100.5156330,154,687.50
07/14/0505/19/05BOUGHTFNMA-30YR(FNMA)GTD SETT, 07/06 DUE 07/01/2035 05,500% REF # 2005051957050000 BS30,000,000100.8671930,260,156.25
07/14/0505/23/05BOUGHTFNMA-30YR(FNMA)GTD SETT, 07/06 DUE 07/01/2035 05,500% REF # 2005052357100000 BS30,000,000101.0000030,300,000.00
07/14/0507/07/05BOUGHTFNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005070757300000 BS30,000,000101.1171930,335,156.25
07/14/0505/26/05CANCEL SELLFNMA-30YR(FNMA)GTD SETT, 07/05 DUE 07/01/2035 05,500% REF # 2005052357180000 BS AS OF 05/26/05 TO CXL PREVIOUS SELL60,000,000100.9531360,571,875.00
027 07/30/05;10:09 001 EFTA00196059 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 12 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/14/0505/06/05SOLDFNMA-30YR(FNMA)GTD SETT,07/06 DUE 07/01/2035, 05,500% REF # 20050505745000 BS-30,000,000100.5156330,154,687.50
07/14/0505/19/05CANCEL BUYFNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 200505195705000 BS AS OF 05/19/05 TO CXL PREVIOUS BUY-30,000,000100.8671930,260,156.25
07/14/0505/23/05CANCEL BUYFNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 200505235710000 BS AS OF 05/23/05 TO CXL PREVIOUS BUY-30,000,000101.0000030,300,000.00
07/14/0507/07/05CANCEL BUYFNMA-30YR(FNMA)GTD SETT,07/05 DUE 07/01/2035, 05,500% REF # 2005070757300000 BS AS OF 07/07/05 TO CXL PREVIOUS BUY-30,000,000101.1171930,335,156.25
07/14/0505/26/05SOLDFNMA-30YR(FNMA)GTD SETT,07/06 DUE 07/01/2035, 05,500% REF # 2005052657180000 BS-60,000,000100.9531360,571,875.00
07/14/0506/06/05BOUGHTFNMA 30 YR GTD SETT,07/05 DUE 07/01/2035, 06,000% REF # 2005060757180000 BS AS OF 06/06/0550,000,000102.6054751,302,734.38
027 07/30/05;10:09 001 EFTA00196060 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY 13 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER | LAST STATEMENT | June 30, 2005 | | :--- | :--- | TAXPAYER NUMBER On File
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/14/0506/03/05CANCEL SELLFNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060357070000 BS AS OF 06/03/05 TO CXL PREVIOUS SELL50,000,000102.7968851,398,437.50
07/14/0506/06/05CANCEL BUYFNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060757180000 BS AS OF 06/06/05 TO CXL PREVIOUS BUY-50,000,000102.6054751,302,734.38
07/14/0506/03/05SOLDFNMA 30 YR GTD SETT, 07/05 DUE 07.01/2035 06,000% REF # 2005060357070000 BS-50,000,000102.7968851,398,437.50
07/15/0507/14/05SOLDUNITED STATES TREASURY NOTE DUE 06/15/2015 04,125% MN 15 YIELD 4,179 % TO MATURITY GVER REF # G1953286 A1-3,000,00099.56250 ACCR. INT.2,986,875.00 20,512.91
07/15/05JOURNALFANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/17 ADJUST POSITION-1
07/15/05JOURNALFANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/17-1
07/18/05JOURNALFANNIE MAE CMO/SERIES 2003-52 KS-IO FLTR 3,785 DUE 07/25/171
027 07/30/05;10:09 001 EFTA00196061 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 14 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## INVESTMENT ACTIVITY (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/20/0507/19/05SOLDUNITED STATES TREASURY NOTE
DUE 05/14/2015 04,125% MN 15
YIELD 4,232 % TO MATURITY
GVER REF # G2002321 A1
-5,000,00099.140634,957,031.25
ACCR. INT.36,990.49
07/20/05PRINCIPALGOVERNMENT NATIONAL MTG ASSN
SERIES 2004-035 CLASS SP
3,940 DUE 12/2020
PRINCIPAL REDUCTN 07-20-05
-159,999
07/20/05PRINCIPALGOVERNMENT NATIONAL MTG ASSOC
SERIES 2004-041 CLASS SE
DUE 08/2020
PRINCIPAL REDUCTN 07-20-05
-145,015
07/22/0507/21/05SOLDUNITED STATES TREASURY NOTE
DUE 04/LM/2015 04,125% MN 15
YIELD 4,232 % TO MATURITY
GVER REF # G2025180 A1
-5,000,00098.937504,946,875.00
ACCR. INT.38,111.41
07/25/05PRINCIPALFEDERAL 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
07/25/05PRINCIPALFEDERAL 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
07/25/05PRINCIPALFEDERAL NATIONAL MTG ASSN
SERIES 2003-49 CLASS SW
3,685 DUE 01/25/33
PRINCIPAL REDUCTN 07-25-05
-301,362
027 07/30/05;10:09 001 EFTA00196062 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 15 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## INVESTMENT ACTIVITY (continued) ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/25/05PRINCIPALFEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000159,318.90
07/25/05PRINCIPALFEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 06-05 PID 07-25-05 REPO P & I 0,0000318,637.80
07/25/05PRINCIPALFEDERAL 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 0,0000219,038.40
07/25/05PRINCIPALFEDERAL 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 0,0000503,788.32
07/25/05PRINCIPALALTERNATIVE LOAN TRUST SERIES 2004-3008 CLASS 1-A-8 1-PRIS DUE 02/26/38 PRINCIPAL REDUCTN 07-25-05-704,874
07/29/0507/28/05BOUGHTUNITED STATES TREASURY NOTE DUE #D60102007 03,625% JD 30 YIELD = $3,978 TO MATURITY GVER REF # G2094228 A3 AS OF 07/28/0520,000,000 ACCR. INT.99,3722019,874,440.00 57,133.15
07/29/0507/28/05BOUGHTUNITED STATES TREASURY NOTE DUE #D60102007 03,625% JD 30 Yield = $3,978 TO MATURITY GVER REF # G2094228 B123,000,000 ACCR. INT.99,3515622,850,859.38 65,703.12
027 07/30/05;10:09 001 EFTA00196063 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 16 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## INVESTMENT ACTIVITY (continued)
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
07/29/0507/28/05BOUGHTUNITED STATES TREASURY NOTE DUE 06/30/2007 03,625% JD 3050,000,00099.3515649,675,781.25
WELD 3,978 % TO MATURITY GVER REF # G2092992 A1ACCR. INT.142,832.88
| LAST STATEMENT | June 30, 2005 | | :--- | :--- | ## DEPOSITS AND WITHDRAWALS
DATETRANSACTIONDESCRIPTIONDEBIT AMOUNTCREDIT AMOUNT
07/13/05FND WIREDMDA# FNDSWIRED TO BANK OF AMERICA N.A. NJ71,745.00
TOTAL-71,745.00
INTEREST
DATEDESCRIPTIONSYMBOL/CUSIPQUANTITYRATE (%)DEBIT AMOUNTCREDIT AMOUNT
07/01/05AVG BAL 425,265RT 2.198
021 OFFICE INTEREST 0605
779.00
07/15/05FEDL 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
5.000039,803.51
07/15/05FEDL 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
5.000079,607.03
027 07/30/05;10:09 001 EFTA00196064 BEAR STEARNS CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 17 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 INTEREST (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
DATEDESCRIPTIONSYMBOL/CUSIPQUANTITYRATE (%)DEBIT AMOUNTCREDIT AMOUNT
07/15/05FREEDIE 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
4.080012,000.87
07/15/05FREEDIE 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
4.080017,174.86
07/15/05FEDL 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
6.000089,798.51
07/20/05GOVERNMENT 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
3.690054,120.00
07/20/05GOVERNMENT 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
3.690081,180.00
07/20/05GOVERNMENT 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
3.940080,213.91
07/20/05GOVERNMENT NATIONAL MTG ASSN
SERIES 2004-036 CLASS SP
DUE 12/20/2029 3,940
INTEREST PAYMENT 07-20-05
3.940048,577.07
07/20/05GOVERNMENT NATIONAL MTG ASSOC
SERIES 2004-041 CLASS SE
DUE 05/20/2030 0,000
INTEREST PAYMENT 07-20-05
48,598.94
| 027 | 07/30/05;10:09 | 001 | V895 | | :--- | :--- | :--- | :--- | EFTA00196065 BEAR STEARNS CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY 18 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 INTEREST (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
DATEDESCRIPTIONSYMBOL/CUSIPQUANTITYRATE (%)DEBIT AMOUNTCREDIT AMOUNT
07/25/05FANNIE 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
4.685048,392.65
07/25/05FANNIE 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
4.685048,392.65
07/25/05FEDERAL NATIONAL MTG ASSN
SERIES 2003-49 CLASS SW
DUE 01/25/2033 3,685
INTEREST PAYMENT 07-25-05
3.685038,356.92
07/25/05FANNIE 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
3.785023,816.25
07/25/05FANNIE 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
3.785030,311.59
07/25/05FEDERAL 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
5.000038,209.31
07/25/05ALTERNATIVE LOAN TRUST
SERIES 2004-30CB CLASS 1-A-8
DUE 02/25/2035 1,785
INTEREST PAYMENT 07-25-05
1.785055,137.24
TOTAL$834,470.31
027 07/30/05;10:09 001 V895 EFTA00196066 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 19 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS with Bear, Stearns& Co.Inc. AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/01/05RECEIVEDUNITED STATES TREASURY NOTE DUE 06/30/2007 3,625 DUE 06/30/07 FITM RESALE AGREEMENT65,000,00065,162,500.00
07/06/05JOURNALUNITED STATES TREASURY NOTE FITM A1 4,125 DUE 05/19/15 REPO AGREEMENT-13,000,00013,097,500.00
07/06/05JOURNALUNITED STATES TREASURY NOTE FITM A2 4,125 DUE 05/19/15 TERM REPO AGREEMENT28,000,00028,210,000.00
07/06/05RECEIVEDUNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 DUE 05/31/07 FITM RESALE AGREEMENT28,000,00028,035,000.00
07/06/05DELIVEREDUNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 3,500 DUE 05/31/07 FITM A2 TERM RESALE AGREEMENT-34,000,00034,127,500.00
07/06/05INTERESTUNITED STATES TREASURY NOTE DUE 05/15/2015 4,125 FITM REPO INTEREST28,304.03
07/06/05INTERESTUNITED STATES TREASURY NOTE DUE 05/31/2007 3,500 INTEREST21,149.57
07/07/05JOURNALUNITED STATES TREASURY NOTE FITM A1 4,125 DUE 05/19/15 REPO AGREEMENT-3,000,0003,022,500.00
027 07/30/05;10:09 001 EFTA00196067 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 20 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | 027 07/30/05;10:09 001 EFTA00196068 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 21 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/11/05INTERESTUNITED STATES TREASURY NOTE
DUE 05/31/2002
FITM INTEREST
8,099.00
07/11/05INTERESTUNITED STATES TREASURY NOTE
DUE 06/20/2002
FITM INTEREST
47,749.63
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 329 CLASS PO
DUE 01/01/33
STRP
FITM REPO AGREEMENT
-4,805,7403,562,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 329 CLASS PO
DUE 01/01/33
STRP
FITM TERM REPO AGREEMENT
4,805,7403,652,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 329 CLASS PO
DUE 01/01/33
STRP
FITM A1
REPO AGREEMENT
-14,417,22110,686,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 329 CLASS PO
DUE 01/01/33
STRP
FITM A2
TERM REPO AGREEMENT
14,417,22111,102,000.00
07/12/05JOURNALFANNIE MAE CMO/SERIES 2003-13
3 ROP/10 FTR
4,685 DUE 03/25/33
FITM REPO AGREEMENT
-12,393,489946,000.00
027 07/30/05;10:09 001 EFTA00196069 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 22 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/12/05JOURNALFANNIE AAE CMO/SERIES 2003-13
S RCR-I/O FLTR
4,685 DUE 03/25/33
FTIM
TERM REPO AGREEMENT
12,393,489984,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 346 CLASS 1
DUE 11/01/33
FTIM
REPO AGREEMENT
-6,805,3695,060,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 346 CLASS 1
DUE 11/01/33
FTIM
TERM REPO AGREEMENT
6,805,3695,241,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 346 CLASS 1
DUE 11/01/33
FTIM
TERM REPO AGREEMENT
13,610,73910,000,000.00
07/12/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 346 CLASS 1
DUE 11/01/33
FTIM
REPO AGREEMENT
-13,610,73910,120,000.00
07/12/05JOURNALFEDL HOME LOAN MTG CORP#S10109
SERIES 227 CLASS IO
5,000 DUE 12/01/34
FTIM
TERM REPO AGREEMENT
18,891,4863,756,000.00
07/12/05JOURNALFEDL HOME LOAN MTG CORP#S10109
SERIES 227 CLASS IO
5,000 DUE 12/01/34
FTIM
REPO AGREEMENT
-18,891,4863,788,000.00
027 07/30/05;10:09 001 EFTA00196070 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 23 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/12/05JOURNALFREDDIE MAC CMO/SERIES 2886
SC/IO FLTR
4,080 DUE 07/15/19
FTIM
REPO AGREEMENT
-3,529,667197,000.00
07/12/05JOURNALFREDDIE MAC CMO/SERIES 2886
SC/IO FLTR
4,080 DUE 07/15/19
FTIM
TERM REPO AGREEMENT
3,529,667206,000.00
07/12/05JOURNALFEDL HOME LOAN MTG CORP#S10110
SERIES 228 CLASS IO
6,000 DUE 02/01/25
FTIM
TERM REPO AGREEMENT
17,428,4112,762,000.00
07/12/05JOURNALFEDL HOME LOAN MTG CORP#S10110
SERIES 228 CLASS IO
6,000 DUE 02/01/25
FTIM
REPO AGREEMENT
-17,428,4112,818,000.00
07/12/05JOURNALUNITED STATES TREASURY NOTE
FTIM
A1
4,125 DUE 05/15/15
REPO AGREEMENT
-3,000,0003,011,250.00
07/12/05JOURNALUNITED STATES TREASURY NOTE
FTIM
A2
4,125 DUE 05/15/15
TERM REPO AGREEMENT
18,000,00018,090,000.00
07/12/05INTERESTFEDERAL NATIONAL MTG ASSN
SERIES 329 CLASS PO
STRUP
DUE 01/01/2033
0,000
REPO INTEREST
8,521.33
027 07/30/05;10:09 001 EFTA00196071 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 24 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/12/05INTERESTFEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO STRIP DUE 01/01/2033 0,000 FITM AZ REPO INTEREST33,750.08
07/12/05INTERESTFANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR DUE 02/25/2033 4,685 FITM AZ REPO INTEREST2,991.36
07/12/05INTERESTFEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST15,932.64
07/12/05INTERESTFEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST23,333.33
07/12/05INTERESTFEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS 10 DUE 12/01/2034 5,000 FITM AZ REPO INTEREST11,418.24
07/12/05INTERESTFREDDIE MAC CMO/SERIES 2886 SC-I/O FLTR DUE 07/15/2019 4,080 FITM AZ REPO INTEREST626.24
07/12/05INTERESTFEDL HOME LOAN MTG CORP#S10110 SERIES 229 CLASS 10 DUE 02/01/2035 6,000 FITM AZ REPO INTEREST8,396.48
027 07/30/05;10:09 001 EFTA00196072 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 25 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/12/05INTERESTUNITED STATES TREASURY NOTE
DUE 05/15/2015
4,125
FITM
A2
REPO INTEREST
1,557.75
07/13/05JOURNALGOVERNMENT NATIONAL MTG ASSN
SERIES 2004-5 CLASS PS
3,690 DUE 02/20/33
FITM
A1
REPO AGREEMENT
-26,400,0002,440,000.00
07/13/05JOURNALGOVERNMENT NATIONAL MTG ASSN
SERIES 2004-5 CLASS PS
3,690 DUE 02/20/33
FITM
A2
TERM REPO AGREEMENT
26,400,0002,515,000.00
07/13/05INTERESTGOVERNMENT NATIONAL MTG ASSN
SERIES 2004-5 CLASS PS
DUE 02/20/2033
3,690
AZ
REPO INTEREST
4,708.64
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FITM
A4
TERM REPO AGREEMENT
17,157,930
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FITM
A1
REPO AGREEMENT
-7,549,489
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FITM
A1
RESALE AGREEMENT
9,608,440509,000.00
027 07/30/05;10:09 001 EFTA00196073 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 26 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FTIM
REPO AGREEMENT
-9,608,440509,000.00
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FTIM
REPO AGREEMENT
-9,608,440509,000.00
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FTIM
REPO AGREEMENT
9,608,440509,000.00
07/14/05JOURNALFANNIE MAE CMO/SERIES 2003-52
KS-I/O FLTR
3,785 DUE 07/25/17
FTIM
REPO AGREEMENT
-9,608,440509,000.00
07/15/05JOURNALUNITED STATES TREASURY NOTE
FTIM
A2
4,125 DUE 05/15/15
TERM REPO AGREEMENT
3,000,0003,011,250.00
07/15/05INTERESTUNITED STATES TREASURY NOTE
DUE 05/15/2015
4,125
FTIM
A2
REPO INTEREST
736.92
07/18/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 352 CLASS 1
0.001 DUE 07/11/94
FTIM
REPO AGREEMENT
-19,089,04513,954,000.00
07/18/05JOURNALFEDERAL NATIONAL MTG ASSN
SERIES 352 CLASS 1
0.001 DUE 07/11/94
FTIM
TERM REPO AGREEMENT
19,089,04514,345,000.00
027 07/30/05;10:09 001 EFTA00196074 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 27 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | 027 07/30/05;10:09 001 EFTA00196075 CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY 28 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) AGCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/28/05INTERESTFEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 DUE 12/01/2034 5,000 FITM C2 REPO INTEREST5,123.95
07/29/05JOURNALFANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM E2 TERM REPO AGREEMENT12,094,423
07/29/05JOURNALFANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM A1 REPO AGREEMENT-24,188,846
07/29/05JOURNALFANNIE MAE CMO/SERIES 2003-13 S RCR/I/O FLTR 4,540 DUE 03/25/33 FITM A2 TERM REPO AGREEMENT12,094,423946,000.00
07/29/05JOURNALFEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A2 TERM REPO AGREEMENT9,445,743
07/29/05JOURNALFEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A1 REPO AGREEMENT-8,973,456
07/29/05JOURNALFEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS I0 5,000 DUE 12/01/2034 FITM A1 REPO AGREEMENT-472,28796,000.00
027 07/30/05;10:09 001 EFTA00196076 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 29 of 32 FINANCIAL TRUST CO INC ## **Transaction Detail** (continued) STATEMENT PERIOD July 1, 2005 ## REPURCHASE AND REVERSE REPURCHASE TRANSACTIONS (continued) THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- |
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYDEBIT AMOUNTCREDIT AMOUNT
07/29/05DELIVEREDUNITED STATES TREASURY NOTE
DUE 06/30/2007 3,625
3,625 DUE 06/30/07
FITM A2
TERM RESALE AGREEMENT
-93,000,00093,116,250.00
07/29/05INTERESTFANNIE MAE CMO/SERIES 2003-13
S RCR-I/O FLTR
DUE 03/25/2033 4,540
FITM A2
REPO INTEREST
1,599.27
07/29/05INTERESTUNITED STATES TREASURY NOTE
DUE 06/30/2007 3,625
FITM INTEREST
132,949.31
TOTAL-$325,376,196.79$318,091,800.66
## MISCELLANEOUS
MO/DAYTRANSACTIONDESCRIPTIONDEBIT AMOUNTCREDIT AMOUNT
07/01/05JOURNALTO CMDY A/C159,218.50
07/05/05JOURNALFR CMDY A/C258,350.50
07/06/05JOURNALFR CMDY A/C160,897.50
07/08/05JOURNALFR CMDY A/C183,564.74
07/11/05JOURNALFR CMDY A/C107,686.00
07/13/05JOURNALFR CMDY A/C6,430.00
07/13/05JOURNALFNMA 30YR TBA GTD
SETT, 07/05
5,000 DUE 07/01/35
MBS NET 07/13/05
526,171.87
027 07/30/05;10:09 001 EFTA00196077 30 of 32 ## **Transaction Detail** (continued) ## MISCELLANEOUS (continued)
DATE MO/DAYTRANSACTIONDESCRIPTIONDEBIT AMOUNTCREDIT AMOUNT
07/13/05JOURNALFNMA-30YR(FNMA)GTD
SETT, 07/05
5,500 DUE 07/01/35
MBS NET 07/13/05
168,750.00
07/14/05JOURNALFR CMDY A/C11,709.00
07/14/05JOURNALFNMA 30 YR GTD
SETT, 07/05
6,000 DUE 07/01/35
MBS NET 07/14/05
95,703.12
07/15/05JOURNALTO CMDY A/C4,390.00
07/18/05JOURNALFR CMDY A/C66,750.00
07/19/05JOURNALFR CMDY A/C50,375.00
07/22/05JOURNALJUNE 05 CLEAR FEES1,500.00
07/22/05JOURNALFR CMDY A/C104,275.00
07/26/05JOURNALTO CMDY A/C23,563.00
07/27/05JOURNALFR CMDY A/C3,900.00
07/28/05JOURNALFR CMDY A/C64,025.00
07/29/05JOURNALTO CMDY A/C207,084.00
TOTAL-1,090,677.37$1,113,665.86
CLEARED THROUGH ITS CLEARLY WOUNDED SUBSIDIARY FINANCIAL TRUST CO INC STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | June 30, 2005 | | :--- | :--- | 027 07/30/05;10:09 001 V895 EFTA00196078 BEAR STEARNS CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 31 of 32 FINANCIAL TRUST CO INC ## Trades Executed Pending Settlement STATEMENT PERIOD July 1, 2005 THROUGH July 29, 2005 | LAST STATEMENT | June 30, 2005 | | :--- | :--- | TAXPAYER NUMBER On File
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
08/01/0507/29/05BOUGHTUNITED STATES TREASURY NOTE DUE 06/15/2015, 04,125% MN 15
YIELD 4,278 % TO MATURITY GVER REF # G2105081 A1
10,000,000.0098.78129,965,557.07
08/01/0507/28/05SOLDUNITED STATES TREASURY NOTE DUE 07/31/2007, 03,875% JJ 31
Yield 3,978 % TO MATURITY GVER REF # G2093006 B1
-23,000,000.0099.804622,957,500.00
08/01/0507/28/05SOLDUNITED STATES TREASURY NOTE DUE 07/31/2007, 03,875% JJ 31
Yield 3,978 % TO MATURITY GVER REF # G2093006 A1
-50,000,000.0099.804649,907,608.70
08/11/0507/11/05BOUGHTFNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500%
REF # 2005071157110000 BS
50,000,000.00100.882850,441,406.25
08/11/0507/07/05SOLDFNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500%
REF # 2005070757310000 BS
-30,000,000.00100.968730,290,625.00
08/11/0507/08/05SOLDFNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500%
REF # 2005070857250000 BS
-50,000,000.00100.960950,480,470.00
08/11/0507/08/05SOLDFNMA-30YR(FNMA)GTD SETT.08/04 DUE 08/01/2034 05,500%
REF # 2005070857250000 BS AS OF 07/08/05
-50,000,000.00100.960950,480,468.75
| 07/30/05;10:09 | 001 | V895 | | :--- | :--- | :--- | EFTA00196079 BEAR STEARNS CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY 32 of 32 FINANCIAL TRUST CO INC Trades Executed Pending Settlement (continued) STATEMENT PERIOD July 1, 2005
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
08/11/0507/15/05SOLDFNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005071557180000 BS-30,000,000.00100.820330,246,093.75
08/11/0507/29/05SOLDFNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005072957090000 BS-40,000,000.00100.507840,203,125.00
08/11/0507/08/05CANCEL SELLFNMA-30YR(FNMA)GTD SETT,08/04 DUE 08/01/2034, 05,500% REF # 2005070857250000 BS AS OF 07/08/05-50,000,000.00100.960950,480,470.00
08/11/0507/21/05SOLDFNMA 30YR GTD SETT, 08/05 DUE 08/01/2035, 05,000% REF # 2005072157190000 BS-10,000,000.0098.59379,859,375.00
TOTAL$110,887,433.32$284,425,266.20
The above trades do not appear in any other section of this statement. ******* End of Statement******* 027 07/30/05;10:09 001