EFTA00196152
| ACCOUNT EXECUTIVE | GNMA GOVT BOND |
| VISIT OUR WEBSITE | www.bearstearns.com |
| Financial Summary | 3 |
| Your Portfolio Holdings | 4 |
| Transaction Detail | 7 |
| Trades Not Yet Settled | 36 |
| FINANCIAL TRUST CO INC |
| C/O JEFFREY EPSTEIN |
| 6100 RED HOOK QUARTER |
| ST B3 |
| ST THOMAS VI 00802 |
| TOTAL VALUE OF SECURITIES THIS PERIOD | 2,900,677 |
| LONG ACCRUED INTEREST | 49,699 |
| NET CREDIT BALANCE | 180,992 |
| NET EQUITY THIS PERIOD | $3,131,368 |
| NET EQUITY LAST STATEMENT | 3,471,276 |
| CHANGE SINCE LAST STATEMENT | -339,907 |
| THIS PERIOD | |
| OpeningBalance | $77,667.54 |
| Securities Sold | 1,359,111,947.26 |
| Dividends/Interest | 852,373.23 |
| Miscellaneous | 2,204,993.35 |
| Amount Credited | $1,362,169,313.84 |
| Securities Bought | -1,358,335,855.07 |
| Dividends/Interest Charged | -925,716.62 |
| Miscellaneous | -2,804,417.29 |
| Amount Debited | $-1,362,065,988.98 |
| Net Cash Activity | 103,324.86 |
| Closing Balance | $180,992.40 |
| OPENING | CLOSING | |
| Margin | 77,667.54 | 180,992.40 |
| Net Cash Balance | $77,667.54 | $180,992.40 |
| THIS PERIOD | YEAR TO DATE | |
| U.S.Govt.Bond Int. | 185,544.78 | 2,696,001.23 |
| Govt.Agency Int. | 552,438.36 | 2,574,774.36 |
| Corp.Bond Int. | 113,515.89 | 488,527.96 |
| Credit Balance Int. | 874.20 | 2,834.20 |
| Reverse Repurchase Int. | 167,202.34 | 993,733.64 |
| Total | $1,019,575.57 | $6,755,871.39 |
| Bond Purchase Int. | -925,716.62 | -4,426,001.99 |
| Repurchase Int. Exp. | -242,166.81 | -642,859.23 |
| Cash/Cash Equivalent | 180,992 |
| Fixed Income | 2,900,677 |
| Total | $3,081,669 |
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|
| CASH BALANCE | 180,992 | |||||
| TOTAL CASH & CASH EQUIVALENTS | $180,992 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ACCREDITED INTEREST | ESTimated ANNUAL INCOME | Current YIELD (%) |
|---|---|---|---|---|---|---|---|---|
| FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW DATED DATE 04/30/03 BOOK ENTRY ONLY DUE 01/25/2033 3,980% FACTOR = .53416049 | MRGN | 12,983,710 | 8,0124 | 1,040,305 | 5,741 | 516,752 | 49,6731 | |
| FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DATED DATE 02/01/05 BOOK ENTRY ONLY DUE 02/01/2035 6,000% FACTOR = .94196062 | MRGN | 9,419,607 | 19,7500 | 1,860,372 | 43,958 | 565,176 | 30,3797 | |
| Total Government& Agency Obligations | $2,900,677 | $49,699 | $1,081,928 | |||||
| TOTAL FIXED INCOME | $2,900,677 | $49,699 | $1,081,928 |
| YOUR PORTFOLIOHOLDINGSACCRUED INTEREST | $49,699 |
| YOUR PORTFOLIOHOLDINGSESTIMATED ANNUAL INCOME | $1,081,928 |
| YOUR PRICED PORTFOLIOHOLDINGS | $3,081,669 |
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ASCRAUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | |
|---|---|---|---|---|---|---|---|---|
| YOU PROVIDED (MARGIN) | 02/07/05 | OPEN | 0,000 | -50,000,000 | FEDERAL NATIONAL MTG ASSOC SERIES 2003-13 CLASS 4,9800 03/25/33 | |||
| YOU SOLD (REPO) | 04/04/05 | 05/04/05 | 3,080 | -473,000 | -1,133 | -910,000 | FANNIEMAE STRIP SERIES 346 CLASS PO 11/01/33 | |
| YOU SOLD (REPO) | 04/11/05 | 05/11/05 | 3,130 | -10,583,000 | -19,322 | -30,000,000 | FANNIEMAE STRIP SERIES 329 CLASS PO 12/01/32 | |
| YOU SOLD (REPO) | 04/11/05 | 05/11/05 | 3,130 | -4,553,000 | -8,313 | -9,090,000 | FANNIEMAE STRIP SERIES 346 CLASS PO 11/01/33 | |
| YOU SOLD (REPO) | 04/11/05 | 05/11/05 | 3,130 | -1,143,000 | -2,086 | -5,000,000 | FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5,0000 12/01/34 | |
| YOU SOLD (REPO) | 04/13/05 | 05/13/05 | 3,150 | -556,000 | -924 | -2,500,000 | FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5,0000 12/01/34 | |
| YOU SOLD (REPO) | 04/15/05 | 05/16/05 | 3,180 | -11,174,000 | -16,779 | -30,959,779 | FANNIEMAE STRIP SERIES 329 CLASS PO 12/01/32 | |
| YOU SOLD (REPO) | 04/15/05 | 05/16/05 | 3,180 | -4,211,000 | -6,323 | -20,000,000 | FANNIE MAE STRIP SERIES 353 CLASS IO 5,0000 07/01/34 | |
| YOU SOLD (REPO) | 04/15/05 | 05/16/05 | 3,180 | -3,665,000 | -5,503 | -20,000,000 | FREDIEMAC STRIP SERIES 228 CLASS IO 6,0000 02/01/35 | |
| YOU SOLD (REPO) | 04/20/05 | 05/16/05 | 3,200 | -14,660,000 | -15,637 | -23,000,000 | FANNIE MAE STRIPS SERIES 352 CLASS PO 07/01/34 | |
| YOU SOLD (REPO) | 04/22/05 | 05/16/05 | 3,230 | -1,837,000 | -1,648 | -8,500,000 | FEDERAL HOME LOAN STRIP SERIES 227 CLASS IO 5,0000 12/01/34 |
| PURCHASE/ START DATE | REPURCHASE DATE | PRICING RATE | PURCHASE PRICE/ PRINCIPAL | ACCRUED REPO INTEREST* | QUANTITY (FACE AMOUNT) | CUSIP | DESCRIPTION | |
|---|---|---|---|---|---|---|---|---|
| YOU SOLD (REPO) 04/22/05 05/16/05 3,230 -528,000 -473 -3,000,000 | ||||||||
| YOU PROVIDED (MARGIN) 04/22/05 OPEN 0,000 | ||||||||
| YOU PROVIDED (MARGIN) 04/25/05 OPEN 0,000 | ||||||||
| YOU SOLD (REPO) 04/25/05 05/11/05 5,130 -536,000 -534 -2,500,000 | ||||||||
| YOU PROVIDED (MARGIN) 04/25/05 OPEN 0,000 | ||||||||
| YOU SOLD (REPO) 04/29/05 OPEN 2,750 -59,400,000 -13,612 -60,000,000 | ||||||||
| TOTAL REVERSE REPURCHASE TRANSACTIONS $0 $0 | ||||||||
| TOTAL REPURCHASE TRANSACTIONS $-113,319,000 $-92,287 | ||||||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/01/05 | 03/31/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 12/31/2006 03,00% JD 30 YIELD: 3,795 % TO MATURITY GVER REF # G0901002 A1 | 50,000,000 ACCR, INT. | 98,73047 | 49,365,234,38 377,071,82 | ||
| 04/01/05 | 03/31/05 | SOLD | UNITED STATES TREASURY NOTE DUE 03/31/2007 03,75% MS 31 Yield: 3,795 % TO MATURITY GVER REF # G0901006 A1 | -30,000,000 | 99,91406 | ACCR, INT. | 29,974,218,75 3,073,77 | |
| 04/01/05 | 03/31/05 | SOLD | UNITED STATES TREASURY NOTE DUE 03/31/2007 03,75% MS 31 Yield: 3,795 % TO MATURITY GVER REF # G0901006 B1 | -50,000,000 | 99,91406 | ACCR, INT. | 49,957,031,25 5,122,95 | |
| 04/07/05 | PRINCIPAL | FED HOME LOAN MTD CORP#S10110 SERIES 228 CLASS ID 6,000 DUE 02/01/35 PRINCIPAL REDUCTN 04-15-05 | -335,609 | |||||
| 04/08/05 | 04/07/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 02/15/2015 04,00% FA 15 SPECIAL INSTRUCTIONS YIELD: 4,412 % TO MATURITY GVER REF # G0970029 A7 AS OF 04/07/05 | 40,000,000 ACCR, INT. | 96,73438 | 38,693,750,00 229,834,25 | ||
| 04/13/05 | 03/16/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 20050311657130000 BS | 5,000,000 | 97,93359 | 4,896,679,69 | ||
| 04/13/05 | 03/14/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 20050311657280000 BS | 10,000,000 | 97,71094 | 9,771,093,75 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/08/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005030858030000 BS AS OF 03/08/05 TO CXL PREVIOUS SELL | 10,000,000 | 98,46875 | 9,846,875,00 | ||
| 04/13/05 | 03/09/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005030857380000 BS AS OF 03/09/05 TO CXL PREVIOUS SELL | 15,000,000 | 97,92188 | 14,688,281,25 | ||
| 04/13/05 | 03/15/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005031557140000 BS | 20,000,000 | 97,57813 | 19,515,625,00 | ||
| 04/13/05 | 03/14/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005031457080000 BS AS OF 03/14/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,65625 | 19,531,250,00 | ||
| 04/13/05 | 03/18/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005031857000000 BS AS OF 03/18/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,91016 | 19,582,031,25 | ||
| 04/13/05 | 03/18/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005031857050000 BS AS OF 03/18/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,92188 | 19,584,375,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/09/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 20050300576720000 BS AS OF 03/09/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,99219 | 19,598,437,50 | ||
| 04/13/05 | 03/08/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 2005030057670000 BS AS OF 03/08/05 TO CXL PREVIOUS SELL | 20,000,000 | 98,53125 | 19,706,250,00 | ||
| 04/13/05 | 03/21/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 2005032157140000 BS | 40,000,000 | 97,75000 | 39,100,000,00 | ||
| 04/13/05 | 03/30/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 2005033057320000 BS | 50,000,000 | 97,39844 | 48,699,218,75 | ||
| 04/13/05 | 03/16/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 2005031657130000 BS AS OF 03/16/05 TO CXL PREVIOUS BUY | -5,000,000 | 97,93359 | 4,896,679,69 | ||
| 04/13/05 | 03/14/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,00% REF # 2005031457280000 BS AS OF 03/14/05 TO CXL PREVIOUS BUY | -10,000,000 | 97,71094 | 9,771,093,75 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/08/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005030858030000 BS | -10,000,000 | 98,46875 | 9,846,875,00 | ||
| 04/13/05 | 03/09/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005030957380000 BS | -15,000,000 | 97,92188 | 14,688,281,25 | ||
| 04/13/05 | 03/15/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005031557140000 BS AS OF 03/15/05 TO CXL PREVIOUS BUY | -20,000,000 | 97,57813 | 19,515,625,00 | ||
| 04/13/05 | 03/14/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005031457080000 BS | -20,000,000 | 97,65625 | 19,531,250,00 | ||
| 04/13/05 | 03/18/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 200503185700000 BS | -20,000,000 | 97,91016 | 19,582,031,25 | ||
| 04/13/05 | 03/18/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005031857050000 BS | -20,000,000 | 97,92188 | 19,584,375,00 | ||
| 04/13/05 | 03/09/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,000% REF # 2005031857320000 BS | -20,000,000 | 97,99219 | 19,598,437,50 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOLICUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/08/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005030857670000 BS | -20,000,000 | 98,53125 | 19,706,250,00 | ||
| 04/13/05 | 03/21/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005032157140000 BS AS OF 03/21/05 TO CXL PREVIOUS BUY | -40,000,000 | 97,75000 | 39,100,000,00 | ||
| 04/13/05 | 03/30/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,000% REF # 2005030857320000 BS AS OF 03/30/05 TO CXL PREVIOUS BUY | -50,000,000 | 97,39844 | 48,699,218,75 | ||
| 04/13/05 | 03/14/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005031457290000 BS | 5,000,000 | 100,13281 | 5,006,640,63 | ||
| 04/13/05 | 03/16/05 | BOUGHT | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005031657240000 BS | 5,000,000 | 100,26563 | 5,013,281,25 | ||
| 04/13/05 | 03/08/05 | CANCEL SELL | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005030858150000 BS AS OF 03/08/05 TO CXL PREVIOUS SELL | 10,000,000 | 100,70703 | 10,070,703,13 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/09/05 | CANCEL SELL | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005030857390000 BS AS OF 03/09/05 TO CXL PREVIOUS SELL | 15,000,000 | 100,28125 | 15,042,187,50 | ||
| 04/13/05 | 03/09/05 | CANCEL SELL | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005030857280000 BS AS OF 03/09/05 TO CXL PREVIOUS SELL | 20,000,000 | 100,34766 | 20,069,531,25 | ||
| 04/13/05 | 03/29/05 | BOUGHT | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005032957130000 BS AS OF 03/29/05 | 20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/13/05 | 03/30/05 | BOUGHT | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005033057390000 BS | 35,000,000 | 99,81250 | 34,934,375,00 | ||
| 04/13/05 | 03/14/05 | CANCEL BUY | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005031457290000 BS AS OF 03/14/05 TO CXL PREVIOUS BUY | -5,000,000 | 100,13281 | 5,006,640,63 | ||
| 04/13/05 | 03/16/05 | CANCEL BUY | FMMA 30YR GTD SETT, 04/05 DUE 04/01/2035, 05,500% REF # 2005031657240000 BS AS OF 03/16/05 TO CXL PREVIOUS BUY | -5,000,000 | 100,26563 | 5,013,281,25 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/08/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005030858150000 BS | -10,000,000 | 100,70703 | 10,070,703,13 | ||
| 04/13/05 | 03/09/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005030857390000 BS | -15,000,000 | 100,28125 | 15,042,187,50 | ||
| 04/13/05 | 03/09/05 | SOLD | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005030857280000 BS | -20,000,000 | 100,34766 | 20,069,531,25 | ||
| 04/13/05 | 03/29/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 2005030857130000 BS AS OF 03/29/05 TO CXL PREVIOUS BUY | -20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/13/05 | 03/30/05 | CANCEL BUY | FNMA 30YR GTD SETT, 04/05 DUE 04/01/2035 05,500% REF # 200503085790000 BS AS OF 03/30/05 TO CXL PREVIOUS BUY | -35,000,000 | 99,81250 | 34,934,375,00 | ||
| 04/13/05 | 03/29/05 | CANCEL SELL | FNMA-30YR/FNMA/GTD SETT, 04/05 DUE 04/01/2035 06,000% REF # 2005032957090000 BS AS OF 03/29/05 TO CXL PREVIOUS SELL | 20,000,000 | 101,71875 | 20,343,750,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 03/30/05 | CANCEL SELL | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 2005032957150000 BS AS OF 03/30/05 TO CXL PREVIOUS SELL | 20,000,000 | 101,92188 | 20,384,375,00 | ||
| 04/13/05 | 04/06/05 | BOUGHT | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 200504057500000 BS | 20,000,000 | 102,45313 | 20,490,625,00 | ||
| 04/13/05 | 04/07/05 | BOUGHT | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 2005040757250000 BS | 20,000,000 | 102,64063 | 20,528,125,00 | ||
| 04/13/05 | 03/29/05 | SOLD | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 2005032957090000 BS | -20,000,000 | 101,71875 | 20,343,750,00 | ||
| 04/13/05 | 03/30/05 | SOLD | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 2005033057150000 BS | -20,000,000 | 101,92188 | 20,384,375,00 | ||
| 04/13/05 | 04/06/05 | CANCEL BUY | FNMA-30YR(FNMA)/GTD SETTIE,04/05 DUE 04.01/2035 06,000% REF # 200504057500000 BS AS OF 04/06/05 TO CXL PREVIOUS BUY | -20,000,000 | 102,45313 | 20,490,625,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/13/05 | 04/07/05 | CANCEL BUY | FNMA-30YR(FNMA)GTD SETT,04/05 DUE 04/01/2007 06,000% REF # 2005040757250000 BS AS OF 04/07/05 TO CXL PREVIOUS BUY | -20,000,000 | 102,64063 | 20,528,125,00 | ||
| 04/13/05 | 04/12/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 03/31/2007 03,750% MS 31 YEILT, 04/05 DUE Maturity GVER REF # G1021009 A1 | 20,000,000 ACCR, INT. | 100,10156 | 20,020,312,50 26,639,34 | ||
| 04/18/05 | 03/29/05 | BOUGHT | FNMA 30YR GTD SETT,04/05 DUE 04/01/2005 05,500% REF # 2005032957130000 BS | 20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/18/05 | 03/29/05 | CANCEL BUY | FNMA 30YR GTD SETT,04/05 DUE 04/01/2005 05,500% REF # 2005032957130000 BS AS OF 03/29/05 TO CXL PREVIOUS BUY | -20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/18/05 | 03/15/05 | CANCEL SELL | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020 04,500% REF # 2005031557250000 BS AS OF 03/15/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,74219 | 19,548,437,50 | ||
| 04/18/05 | 03/14/05 | BOUGHT | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020 04,500% REF # 2005031457040000 BS | 20,000,000 | 97,77344 | 19,554,687,50 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/18/05 | 03/09/05 | CANCEL SELL | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005030857590000 BS AS OF 03/09/05 TO CXL PREVIOUS SELL | 20,000,000 | 97,95313 | 19,590,625,00 | ||
| 04/18/05 | 03/08/05 | BOUGHT | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005030857680000 BS | 20,000,000 | 98,54688 | 19,709,375,00 | ||
| 04/18/05 | 03/15/05 | SOLD | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005031557250000 BS | -20,000,000 | 97,74219 | 19,548,437,50 | ||
| 04/18/05 | 03/14/05 | CANCEL BUY | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005031457040000 BS AS OF 03/14/05 TO CXL PREVIOUS BUY | -20,000,000 | 97,77344 | 19,554,687,50 | ||
| 04/18/05 | 03/09/05 | SOLD | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005030957590000 BS | -20,000,000 | 97,95313 | 19,590,625,00 | ||
| 04/18/05 | 03/08/05 | CANCEL BUY | FNMA-15YR(FNMA-15)GTD SETT,04/05 DUE 04/01/2020, 04,500% REF # 2005030857680000 BS AS OF 03/08/05 TO CXL PREVIOUS BUY | -20,000,000 | 98,54688 | 19,709,375,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/18/05 | 03/29/05 | BOUGHT | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005032957130000 BS AS OF 03/29/05 | 20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/18/05 | 03/30/05 | BOUGHT | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005033057110000 BS | 20,000,000 | 101,64063 | 20,328,125,00 | ||
| 04/18/05 | 04/06/05 | CANCEL SELL | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005040857540000 BS AS OF 04/06/05 TO CXL PREVIOUS SELL | 20,000,000 | 102,06250 | 20,412,500,00 | ||
| 04/18/05 | 04/07/05 | CANCEL SELL | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005040757290000 BS AS OF 04/07/05 TO CXL PREVIOUS SELL | 20,000,000 | 102,17188 | 20,434,375,00 | ||
| 04/18/05 | 03/29/05 | CANCEL BUY | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005032957130000 BS AS OF 03/29/05 TO CXL PREVIOUS BUY | -20,000,000 | 101,48438 | 20,296,875,00 | ||
| 04/18/05 | 03/30/05 | CANCEL BUY | FNMA-15YR(FNMA-15)GTD SETTI,04/05 DUE 04/01/2020, 05,500% REF # 2005033057110000 BS AS OF 03/30/05 TO CXL PREVIOUS BUY | -20,000,000 | 101,64063 | 20,328,125,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/18/05 | 04/06/05 | SOLD | FNMA-15YR/FNMA-15/GTD SETT,04/05 DUE 04/01/2020 05,500% REF # 200504057540000 BS | -20,000,000 | 102,06250 | 20,412,500,00 | ||
| 04/18/05 | 04/07/05 | SOLD | FNMA-15YR/FNMA-15/GTD SETT,04/05 DUE 04/01/2020 05,500% REF # 2005040757290000 BS | -20,000,000 | 102,17188 | 20,434,375,00 | ||
| 04/18/05 | 04/15/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 02/15/2015 04,00% FA 15 SPECIAL INSTRUCTIONS YIELD 4,286 % TO MATURITY GVER REF # G1053517 A3 WWEB | 5,000,000 ACCR, INT. | 97,71875 | 4,885,937,50 34,254,14 | ||
| 04/19/05 | 04/18/05 | SOLD | UNITED STATES TREASURY NOTE DUE 02/15/2015 04,00% FA 15 YIELD 4,244 % TO MATURITY GVER REF # G1081006 A1 | -15,000,000 | 98,05469 ACCR, INT. | 14,708,203,13 104,419,88 | ||
| 04/20/05 | 04/18/05 | BOUGHT | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 DUE 07/01/2024 00,001% REF # 2005041857040000 BS | 20,311,170 | 78,68750 | 15,982,352,30 | ||
| 04/22/05 | 04/21/05 | SOLD | UNITED STATES TREASURY NOTE DUE 02/15/2015 04,00% FA 15 Yield 4,228 % TO MATURITY GVER REF # G1111026 A1 | -10,000,000 | 97,62500 ACCR, INT. | 9,762,500,00 72,928,18 | ||
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP PRIN R/D 03-05 P/D 04-25-05 REPO P & I 0,0000 | 405,707,10 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STEM PRIN R/D 03-05 P/D 04-25-05 REPO P & I 0,0000 | 418,686,74 | |||||
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW 4,150 DUE 01/25/33 PRINCIPAL REDUCTN 04-25-05 | -342,955 | |||||
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 03-05 P/D 04-25-05 REPO P & I 0,0000 | 16,920,27 | |||||
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 03-05 P/D 04-25-05 REPO P & I 0,0000 | 38,860,83 | |||||
| 04/25/05 | PRINCIPAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 PRIN R/D 03-05 P/D 04-25-05 REPO P & I 0,0000 | 130,155,90 | |||||
| 04/28/05 | 04/27/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 03/31/2007 03,75% MS 31 SPECIAL INSTRUCTIONS YIELD 3,586 % TO MATURITY GVER REF # G1173441 A3 WWEB | 10,000,000 ACCR, INT. | 100,28125 | 10,028,125,00 | ||
| 04/29/05 | 04/28/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 02/15/2015 04,00% FA 15 YIELD 4,152 % TO MATURITY GVER REF # G1181014 A1 | 10,000,000 ACCR, INT. | 98,78125 | 9,878,125,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 04/29/05 | 04/28/05 | BOUGHT | UNITED STATES TREASURY NOTE DUE 03/31/2007 03.750% MS 31 YIELD 3,585 % TO MATURITY GVER REF # G1181005 A1 | 50,000,000 | 100,30078 | 50,150,390.63 | ||
| ACCR, INT. | 148,565.57 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 04/01/05 | AVG BAL 528.740 RT 1.920 021 OFFICE INTEREST 0305 | 874.20 | ||||
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO DUE 12/01/2034 5,000 INT R/D 03-05 P/D 04-15-05 REPO P & I 5,0000 | 5,0000 | 34,736.63 | |||
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO DUE 12/01/2034 5,000 INT R/D 03-05 P/D 04-15-05 REPO P & I 5,0000 | 5,0000 | 46,996.61 | |||
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 INT R/D 03-05 P/D 04-15-05 REPO P & I 6,0000 | 6,0000 | 48,776.08 | |||
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 INT R/D 03-05 P/D 04-15-05 REPO P & I 6,0000 | 6,0000 | 48,776.08 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 INT R/D 03-05 P/D 04-15-05 REPO P & I 6,000 | 6,000 | 48,776,08 | |||
| 04/15/05 | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 INTEREST PAYMENT 04-15-05 | 6,000 | 48,776,08 | |||
| 04/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 4,100 INT R/D 03-05 P/D 04-20-05 REPO P & I 4,100 | 4,100 | 14,691,67 | |||
| 04/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 4,100 INT R/D 03-05 P/D 04-20-05 REPO P & I 4,100 | 4,100 | 60,133,33 | |||
| 04/20/05 | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 4,100 INT R/D 03-05 P/D 04-20-05 REPO P & I 4,100 | 4,100 | 75,508,33 | |||
| 04/25/05 | FANNIE MAE CMO/SERIES 2003-13 S ROR-I/O FLTR DUE 03/25/2033 5,150 INT R/D 03-05 P/D 04-25-05 REPO P & I 5,150 | 5,150 | 113,515,89 | |||
| 04/25/05 | FEDERAL NATIONAL MTG ASSN SERIES 2003-49 CLASS SW DUE 01/25/2033 4,150 INTEREST PAYMENT 04-25-05 | 4,150 | 46,088,05 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 04/25/05 | FEDERAL NATIONAL MTG ASSN | 5,0000 | 79,179.42 | |||
| SERIES 353 CLASS 2 | ||||||
| DUE 07/01/2034 5,000 | ||||||
| INT R/D 03-05 P/D 04-25-05 | ||||||
| REPO P & I 5,0000 | ||||||
| TOTAL | 4,000,000.45 | |||||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/08/05 | JOURNAL | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM TERM REPO AGREEMENT | 1,517,805 | |||
| 04/08/05 | JOURNAL | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM REPO AGREEMENT | -1,089,333 | |||
| 04/08/05 | JOURNAL | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM REPO AGREEMENT | -428,471 | 297,000,00 | ||
| 04/08/05 | JOURNAL | JOURNAL | UNITED STATES TREASURY NOTE FITM A2 4,000 DUE 02/15/15 TERM REPO AGREEMENT | 30,000,000 | 28,800,000,00 | ||
| 04/08/05 | JOURNAL | JOURNAL | UNITED STATES TREASURY NOTE FITM A1 4,000 DUE 02/15/15 REPO AGREEMENT | -70,000,000 | 67,550,000,00 | ||
| 04/08/05 | INTEREST | INTEREST | UNITED STATES TREASURY NOTE DUE 02/15/2015 4,000 FITM A2 REPO INTEREST | 22,200,00 | |||
| 04/11/05 | JOURNAL | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM REPO AGREEMENT | -15,359,406 | 10,583,000,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM REPO AGREEMENT | 15,359,406 | 10,583,000,00 | |||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM REPO AGREEMENT | -15,359,406 | 10,583,000,00 | |||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM TERM REPO AGREEMENT | 15,359,406 | 11,902,000,00 | |||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM TERM REPO AGREEMENT | 1,089,333 | ||||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM TERM REPO AGREEMENT | 428,471 | 297,000,00 | |||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM TERM REPO AGREEMENT | 5,083,557 | 3,608,000,00 | |||
| 04/11/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/33 FITM TERM REPO AGREEMENT | -6,601,362 | 4,553,000,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/11/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO STRIP DUE 01/01/2033 0,000 FITM AZ REPO INTEREST | 83,208,20 | ||||
| 04/11/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST | 77,22 | ||||
| 04/11/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 346 CLASS 1 DUE 11/01/2033 0,000 FITM AZ REPO INTEREST | 8,474,79 | ||||
| 04/11/05 | INTEREST | GOVERNMENT NATIONAL MTG ASSN SERIES 2004-5 CLASS PS DUE 02/20/2033 4,100 FITM AZ REPO INTEREST | 18,183,88 | ||||
| 04/11/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 FITM AZ REPO INTEREST | 3,206,38 | ||||
| 04/13/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/01/204 FITM AZ TERM REPO AGREEMENT | 6,309,622 | ||||
| 04/13/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/01/204 FITM AZ REPO AGREEMENT | -3,882,844 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/15/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM REPO AGREEMENT | -15,850,794 | 11,174,000,00 | |||
| 04/15/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO DUE 01/01/33 STRIP FITM TERM REPO AGREEMENT | 15,850,794 | 11,248,000,00 | |||
| 04/15/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 02/01/34 FITM A2 TERM REPO AGREEMENT | 18,763,230 | 3,500,000,00 | |||
| 04/15/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 02/01/34 FITM A1 REPO AGREEMENT | -18,763,230 | 4,211,000,00 | |||
| 04/15/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/35 FITM A1 REPO AGREEMENT | -9,419,606 | ||||
| 04/15/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/35 FITM A2 TERM REPO AGREEMENT | 9,419,606 | 100,000,00 | |||
| 04/15/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/35 FITM A2 TERM REPO AGREEMENT | 9,419,606 | 1,955,000,00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/15/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/35 FITM TERM REPO AGREEMENT | 9,419,606 | 2,013,000 ,00 | |||
| 04/15/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/01/35 FITM B1 REPO AGREEMENT | -18,839, | 3,665,000 ,00 | |||
| 04/15/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 329 CLASS PO STRUP DUE 01/01/2033 0,000 FITM BZ REPO INTEREST | 28,401,20 | ||||
| 04/15/05 | INTEREST | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 DUE 07/01/2034 5,000 FITM AZ REPO INTEREST | 296,53 | ||||
| 04/15/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 FITM AZ REPO INTEREST | 135,56 | ||||
| 04/15/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 FITM AZ REPO INTEREST | 679,91 | ||||
| 04/15/05 | INTEREST | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO DUE 02/01/2035 6,000 FITM AZ REPO INTEREST | 5,082,82 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/20/05 | JOURNAL | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0,001 DUE 07/01/34 FITM REPO AGREEMENT | -20,311,170 | 14,660,000 .00 | |||
| 04/22/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/11/34 FITM B1 REPO AGREEMENT | -8,251,045 | 1,837,000 .00 | |||
| 04/22/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10109 SERIES 227 CLASS IO 5,000 DUE 12/11/34 FITM A2 TERM REPO AGREEMENT | 8,251,045 | 2,032,000 .00 | |||
| 04/22/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/11/35 FITM A2 TERM REPO AGREEMENT | 9,419,606 | ||||
| 04/22/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/11/35 FITM A1 REPO AGREEMENT | -6,593,724 | ||||
| 04/22/05 | JOURNAL | FEDL HOME LOAN MTG CORP#S10110 SERIES 228 CLASS IO 6,000 DUE 02/11/35 FITM A1 REPO AGREEMENT | -2,825,881 | 528,000 .00 | |||
| 04/22/05 | JOURNAL | UNITED STATES TREASURY NOTE FITM A1 4,000 DUE 02/15/15 REPO AGREEMENT | -50,000,000 | 49,062,500 .00 | |||
| 04/22/05 | JOURNAL | UNITED STATES TREASURY NOTE FITM A2 4,000 DUE 02/15/15 TERM REPO AGREEMENT | 60,000,000 | 59,100,000 .00 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 04/29/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 02/15/2015 4,000 FITM A2 REPO INTEREST | 19,107.12 | ||||
| 04/29/05 | INTEREST | UNITED STATES TREASURY NOTE DUE 03/31/2007 3,750 FITM INTEREST | 3,666.18 | ||||
| TOTAL | -$-542,459,166.81 | $636,827,202.34 | |||||
| MOIDAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 04/01/05 | JOURNAL | TO CMDY A/C | 301,525.00 | |
| 04/07/05 | JOURNAL | TO CMDY A/C | 288,806.75 | |
| 04/08/05 | JOURNAL | FR CMDY A/C | 61,362.50 | |
| 04/11/05 | JOURNAL | FR CMDY A/C | 118,787.50 | |
| 04/12/05 | JOURNAL | FNMA 30YR(FNMA)GTD SETT, 04/05 6,000 DUE 04/01/35 MBS NET 04/12/05 | 290,625.00 | |
| 04/13/05 | JOURNAL | MAR 05 SPEC CLEARING FEES | 9,150.00 | |
| 04/13/05 | JOURNAL | FNMA 30YR GTD SETT, 04/05 5,000 DUE 04/01/35 MBS NET 04/13/05 | 554,882.81 | |
| 04/13/05 | JOURNAL | FNMA 30YR GTD SETT, 04/05 5,500 DUE 04/01/35 MBS NET 04/13/05 | 228,125.00 |
| DATE MODAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 04/14/05 | JOURNAL | TO CMDY A/C | 319,187.50 | |
| 04/14/05 | DELIVERED | FITM FANNIE MAE STRIP POOL 0021445 COUPON 5,0000 FINANCING NET PAIROFF DIFF | 700,000.00 | |
| 04/14/05 | RECEIVED | FEDERAL NATIONAL MTG ASSN SERIES 353 CLASS 2 5,000 DUE 07/01/34 DUE 07/01/2034 5,000 FITM FANNIE MAE STRIP POOL 0021445 COUPON 5,0000 | 700,000.00 | |
| 04/15/05 | JOURNAL | FNMA-15YR(FNMA-15)GTD SETT,04/05 4,500 DUE 04/01/20 MBS NET 04/15/05 | 125,000.00 | |
| 04/18/05 | JOURNAL | TO CMDY A/C | 348,087.50 | |
| 04/18/05 | JOURNAL | FNMA-15YR(FNMA-15)GTD SETT,04/05 5,500 DUE 04/01/20 MBS NET 04/18/05 | 221,875.00 | |
| 04/20/05 | RECEIVED | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0,001 DUE 07/01/34 DUE 07/01/2034 0,001 FITM FANNIE MAE STRIPS POOL 0021422 COUPON 0,0000 | 121,000.00 |
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 04/20/05 | DELIVERED | FEDERAL NATIONAL MTG ASSN SERIES 352 CLASS 1 0,001 DUE 07/01/34 DUE 07/01/2034 0,001 FITM PG0021452191 FANNIE MAE STRIPS POOL 0021422 COUPON 0,0000 | 121,000.00 | |
| 04/22/05 | JOURNAL | REV ENTRY 2-9-05 | 30,973.04 | |
| 04/22/05 | JOURNAL | 04 TREAS REBATE A/O 2-9 | 30,973.04 | |
| 04/22/05 | JOURNAL | FR CMDY A/C | 146,575.00 | |
| 04/27/05 | JOURNAL | FR CMDY A/C | 21,412.50 | |
| 04/29/05 | JOURNAL | TO CMDY A/C | 270,062.50 | |
| TOTAL | -$2,804,417.29 | $2,204,993.35 | ||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 05/02/05 | 04/27/05 | BOUGHT | GOVERNMENT NATIONAL MTG ASSOC SERIES 2004-041 CLASS SE DUE 05/20/2030 REF # 2005042757160000 BS | 15,073,792,00 | 7,1562 | 1,099,871,82 | ||
| 05/02/05 | 04/28/05 | SOLD | UNITED STATES TREASURY NOTE DUE 04/30/2007 03,625% AO 30 YIELD 3,596 % TO MATURITY GVER REF # G1181006 A1 | -50,000,000,00 | 100,0546 | 50,037,194,29 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT | ||
|---|---|---|---|---|---|---|---|---|---|---|
| 05/12/05 | 03/31/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT,05/04 DUE 05/01/2034 05,000% REF # 2005033157140000 BS | 20,000,000 ,00 | 97,4921 | 19,498,437,50 | ||||
| 05/12/05 | 04/12/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT,05/04 DUE 05/01/2034 05,000% REF # 2005041257300000 BS | 20,000,000 ,00 | 98,1328 | 19,626,562,50 | ||||
| 05/12/05 | 04/07/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,05/04 DUE 05/01/2034 05,000% REF # 2005040757220000 BS | -40,000,000 ,00 | 97,9218 | 39,168,750,00 | ||||
| 05/12/05 | 03/31/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT,05/05 DUE 05/01/2035 05,500% REF # 2005033157150000 BS | 20,000,000 ,00 | 99,8906 | 19,978,125,00 | ||||
| 05/12/05 | 04/12/05 | BOUGHT | FNMA-30YR(FNMA)GTD SETT,05/05 DUE 05/01/2035 05,500% REF # 2005041257400000 BS | 20,000,000 ,00 | 100,3750 | 20,075,000,00 | ||||
| 05/12/05 | 04/07/05 | SOLD | FNMA-30YR(FNMA)GTD SETT,05/05 DUE 05/01/2035 05,500% REF # 2005040757210000 BS | -40,000,000 ,00 | 100,2578 | 40,103,125,00 | ||||
| TOTAL | $80,277,996.82 | $129,309,069.29 | ||||||||