EFTA00197088 OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 VISIT OUR WEBSITE www.bearstearns.com ## What’s In This Statement Your Portfolio Holdings ... 4
Transaction Detail6
Fund Activity ... 6 | Trades Not Yet Settled | 8 | | :--- | :--- | ## FINANCIAL TRUST COMPANY INC C/O AMERICAN YACHT HARBOR 6100 RED HOOK SUTE B-3 QUAETERS #2 ST THOMAS VI 00802-1348 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY Your Portfolio at a Glance There are no "Stop Loss" orders or other pending buy or sell open orders on file for your account. Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859
TOTAL VALUE OF SECURITIES THIS PERIOD65,083,900
NET CREDIT BALANCE194,330
MONEY MARKET FUND BALANCE31,916,810
NET EQUITY THIS PERIOD$97,195,040
NET EQUITY LAST STATEMENT88,154,315
CHANGE SINCE LAST STATEMENT9,040,725
ACCOUNT NUMBER | LAST STATEMENT | December 29, 2006 | | :--- | :--- | TAXPAYER NUMBER On File STATEMENT PERIOD December 30, 2006 Market Value of Your Portfolio FINANCIAL TRUST COMPANY INC THROUGH January 31, 2007 Please report any difference or non-receipt of checks or stocks, indicated as delivered to you, to Client Services at 800-634-1428; or write to Client Services at Bear, Steams Securities Corp., One Metrotech Center North, Brooklyn, N.Y. 11201-3859. 02/01/07;06:16 001 EFTA00197089 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY 2 of 8 Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859 FINANCIAL TRUST COMPANY INC STATEMENT BACKER IS PRINTED ON THIS PAGE 027 02/01/07;06:16 001 V004 EFTA00197090 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 3 of 8 Cash Flow Analysis
THIS PERIOD
OpeningBalance$0.00
Money Fund10,160,941.35
Funds Deposited15,000,000.00
Dividends/Interest235,930.22
Miscellaneous425,000.00
Amount Credited$25,821,871.57
Money Fund-15,627,541.35
Miscellaneous-10,000,000.00
Amount Debited$-25,627,541.35
Net Cash Activity194,330.22
Closing Balance$194,330.22
Cash Balance Summary
OPENINGCLOSING
Cash0.00194,330.22
Net Cash Balance$0.00$194,330.22
Income Summary
THIS PERIODYEAR TO DATE
Dividends41,600.0041,600.00
Total$41,600.00$41,600.00
Portfolio Composition
Cash/Cash Equivalent32,111,140
Equities65,083,900
Total$97,195,040
027 CLEARED THROUGH ITS WHOLLY OWNED SUBSDIARY Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859 FINANCIAL TRUST COMPANY INC | STATEMENT PERIOD | December 30, 2006 | | :--- | :--- | | THROUGH | January 31, 2007 | Your Portfolio Allocation TAXPAYER NUMBER On File ACCOUNT NUMBER | LAST STATEMENT | December 29, 2006 | | :--- | :--- | Unshaded portions denote debit balance and/or short market values. The allocation percentage is derived from the absolute market value of your portfolio. 02/01/07;06:16 001 EFTA00197091 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY 4 of 8 Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859
DESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEMARKET VALUEESTIMATED ANNUAL INCOMEESTIMATED YIELD (%)
CASH BALANCE194,330
DREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARES EST. 30 DAY AVG YIELD 5,1600%DICXX31,916,809.811.000031,916,8101,691,5915.3000
TOTAL CASH & CASH EQUIVALENTS$32,111,140$1,691,591
## CASH & CASH EQUIVALENTS ## Your Portfolio Holdings ## Equities & Options The research ratings for Bear Stearns (BSC) are shown for certain securities covered by the BSC Equity Research Department. The first rating represents the stock's total return relative to the other stocks covered by that Analyst. The key for the stock rating values is as follows: O = Outperform; P = Peer Perform; U = Underperform. The second rating represents the rating of the coverage universe relative to the regional broader market index. The key for the sector rating is as follows: MO = Market Overweight; MW = Market Weight; MU = Market underweight. In cases where the BSC rating is present, the name of an independent, third-party research provider and their rating may also be displayed, where such research is available. The various providers use different ratings systems and have normalized them as follows: B = Buy; H = Hold; S = Sell (this may not always correspond directly to the underlying rating system used by each provider or BSC). The ratings information contained herein is for informational purposes only and is not intended to provide tax, legal, or investment advice. Bear Stearns is neither soliciting any action based on such information, nor endorsing any recommendation or opinion expressed by any independent, third-party research provider. The symbol indicates that continuing coverage of the subject company is temporarily not available due to legal reasons. Independent, third-party research on certain companies covered by the Firm's research is available to customers of Bear Stearns at no cost. Customers can access this research at www.bearstearns.com or can call (800) 517-2327 to request that a copy of this research be sent to them. FINANCIAL TRUST COMPANY INC STATEMENT PERIOD December 30, 2006 ACCOUNT NUMBER THROUGH January 31, 2007 ## EQUITIES TAXPAYER NUMBER On File | LAST STATEMENT | December 29, 2006 | | :--- | :--- |
DESCRIPTIONSYMBOL/CUSIPACCT TYPEQUANTITYPRICEMARKET VALUEESTIMATED ANNUAL INCOMEESTIMATED YIELD (%)
APPLE INC
BSC RATING: STOCK O/SECTOR MW BOYAR'S ALTERNATIVE VIEWPOINT RATING: S
AAPLCASH120,00085.730010,287,600
BEAR STEARNS COMPANIES INCBSCCASH130,000164.850021,430,500166,4000.7765
027 02/01/07:06:16 001 EFTA00197092 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859 **5 of 8** Equities & Options (continued) ## Your Portfolio Holdings (continued) FINANCIAL TRUST COMPANY INC
DESCRIPTIONSYMBOL/CUSIPACCT TYPEQUANTITYPRICEMARKET VALUEESTIMATED ANNUAL INCOMEESTIMATED YIELD (%)
CHOICEPOINT INCCPSCASH100,00038.49003,849,000
COLGATE PALMOLIVE CO
BSC RATING: STOCK O/SECTOR MW
BUCKINGHAM RESEARCH RATING: B
CLCASH56,20068.30003,838,46071,9361.8741
DEERFIELD TRIARC CAP CORP
ACCREDITED INVESTORS
CASH462,69116.70007,726,940
ENVIRONMENTAL SOLUTIONS
WORLDWIDE INC
ESWWCASH100,0000.730073,000
WYNN RESORTS LTD
BSC RATING: STOCK O/SECTOR MW
WALL STREET STRATEGIES
RATING: B
WYNNCASH160,000111.740017,878,400
Total Equities& Options$65,083,900$238,336
TOTAL EQUITIES$65,083,900$238,336
STATEMENT PERIOD December 30, 2006 ACCOUNT NUMBER THROUGH January 31, 2007 | LAST STATEMENT | December 29, 2006 | | :--- | :--- | TAXPAYER NUMBER On File
YOUR PORTFOLIOHOLDINGSESTIMATED ANNUAL INCOME$1,929,927
YOUR PRICED PORTFOLIOHOLDINGS$97,195,040
027 02/01/07;06:16 001 EFTA00197093 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859 6 of 8 FINANCIAL TRUST COMPANY INC Transaction Detail STATEMENT PERIOD December 30, 2006 ## DEPOSITS AND WITHDRAWALS THROUGH January 31, 2007 ACCOUNT NUMBER TAXPAYER NUMBER On File
DATETRANSACTIONDESCRIPTIONDEBIT AMOUNTCREDIT AMOUNT
01/04/07FUNDS RECFNDS WIRED TO CITIBANK FROM JPMORGAN CHASE BANK15,000,000.00
TOTAL$15,000,000.00
| LAST STATEMENT | December 29, 2006 | | :--- | :--- | ## MONEY FUND ACTIVITY
DATE MO/DAYTRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
12/30/06OPENINGBALANCE26,289,268.46
01/02/07REINVESTDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARES DIVIDEND REINVESTDICXX160,941.35160,941.35
01/02/07DIVIDENDDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARES AMT INCLUDED IN 2006 - 1099DICXX160,941.35
01/05/07BOUGHTDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARESDICXX15,000,0001.000015,000,000.00
01/10/07BOUGHTDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARESDICXX425,0001.0000425,000.00
01/26/07BOUGHTDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARESDICXX41,6001.000041,600.00
01/30/07SOLDDREYFUS CASH MANAGEMENT-CL A INSTITUTIONAL SHARESDICXX-10,000,0001.000010,000,000.00
01/31/07CLOSINGBALANCE31,916,809.81
TOTAL-15,627,541.35$10,160,941.35
027 02/01/07;06:16 001 EFTA00197094 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY Bear, Steams Securities Corp. One Metrotech Center North Brooklyn, New York 11201-3859 7 of 8 FINANCIAL TRUST COMPANY INC ## **Transaction Detail** (continued) STATEMENT PERIOD December 30, 2006 ## DIVIDENDS THROUGH January 31, 2007 ACCOUNT NUMBER TAXPAYER NUMBER On File | LAST STATEMENT | December 29, 2006 | | :--- | :--- |
DATEDESCRIPTIONSYMBOL/CUSIPQUANTITYRATE ($)DEBIT AMOUNTCREDIT AMOUNT
01/26/07BEAR STEARNS COMPANIES INC
REC 01/16/07 PAY 01/26/07
BSC130,0000.320041,600.00
01/30/07DEERFIELD TRIARC CAP CORP
ACCREDITED INVESTORS
CASH DIV ON 462691 SHS
REC 12/29/06 PAY 01/30/07
AMOUNT INCLUDED ON 2006-1099
194,330.22
TOTAL$235,930.22
## MISCELLANEOUS
DATE MO/DAYTRANSACTIONDESCRIPTIONDEBIT AMOUNTCREDIT AMOUNT
01/10/07JOURNALFROM125,000.00
01/10/07JOURNALFROM300,000.00
01/30/07JOURNALTO10,000,000.00
TOTAL-10,000,000.00$425,000.00
027 02/01/07;06:16 001 EFTA00197095 BEAR STEARNS OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY Bear, Steams Securities Corp. One Metratech Center North Brooklyn, New York 11201-3859 8 of 8 FINANCIAL TRUST COMPANY INC ## Trades Executed Pending Settlement
SETTLEMENT DATETRADE DATETRANSACTIONDESCRIPTIONSYMBOL/CUSIPQUANTITYPRICEDEBIT AMOUNTCREDIT AMOUNT
02/01/0701/29/07BOUGHTAPPLE INC
WITH RIGHTS TO PURCHASE COMMON STK UNDER CERTAIN CIRCUMSTANCE UNSOLICITED AVG PRICE SHOWN-DETAILS ON REQ WE MAKE A MKT IN THIS SECURITY UNIT PRICE 86,488800
AAPL100,000.0086.54888,654,880.00
TOTAL$8,654,880.00$0.00
The above trades do not appear in any other section of this statement. ******* End of Statement******* 027 02/01/07;06:16 001 EFTA00197096