EFTA00197947 OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 245 Park Avenue New York, New York 10167 | | | | :--- | :--- | | ACCOUNT EXECUTIVE | ZICHERMAN, IRA | | TELEPHONE | | | VISIT OUR WEBSITE | www.bearstearns.com | CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY ## What’s In This Statement
| Financial Summary | 3 |
| Your Portfolio Holdings | 4 |
| Transaction Detail | 5 |
| TOTAL VALUE OF SECURITIES THIS PERIOD | 7,880,660 |
| NET CREDIT BALANCE | 14,091,700 |
| NET EQUITY THIS PERIOD | $21,972,360 |
| NET EQUITY LAST STATEMENT | 27,162,274 |
| CHANGE SINCE LAST STATEMENT | -5,189,914 |
| THIS PERIOD | |
| OpeningBalance | $43,898.17 |
| Securities Sold | 22,668,907.17 |
| Funds Deposited | 5,064,548.76 |
| Dividends/Interest | 74,218.51 |
| Miscellaneous | 9,914,476.52 |
| Amount Credited | $37,722,150.96 |
| Securities Bought | -3,024,349.16 |
| Funds Withdrawn | -16,150,000.00 |
| Miscellaneous | -4,500,000.00 |
| Amount Debited | $-23,674,349.16 |
| Net Cash Activity | 14,047,801.80 |
| Closing Balance | $14,091,699.97 |
| Same day transfers of cash between account types are not included in this section; such transfers, as well as details for all other transactions this period. | |
| OPENING | CLOSING | |
| Cash | 43,898.17 | 0.00 |
| Margin | 0.00 | 3,080,199.70 |
| Short | 0.00 | 11,011,500.27 |
| Net Cash Balance | $43,898.17 | $14,091,699.97 |
| THIS PERIOD | YEAR TO DATE | |
| Dividends | 67,997.54 | 67,997.54 |
| Credit Balance Int. | 6,220.97 | 6,220.97 |
| Total | $74,218.51 | $74,218.51 |
| SHORT | LONG | |
| Cash/Cash Equivalent | 14,091,700 | |
| Equities | 11,640,921 | 19,521,581 |
| Total | $11,640,921 | $33,613,281 |
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME |
| CASH BALANCE | 14,091,700 | ||||
| TOTAL CASH & CASH EQUIVALENTS | $14,091,700 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|
| BANK PLUS CORP | ■ | CASH | 10,000 | 4.2500 | 42,500 | ||
| MEDTRONIC INC | ■ | MRGN | 191,410 | 54.9380 | 10,515,683 | 38,282 | 0.3640 |
| MEDTRONIC INC | ■ | SHRT | -75,300 | 54.9380 | -4,136,831 | -15,060 | 0.3640 |
| PNC FINANCIAL SVCS GROUP INC | ■ | MRGN | 66,723 | 74.3130 | 4,958,386 | 128,108 | 2.5837 |
| PNC FINANCIAL SVCS GROUP INC | ■ | SHRT | -55,000 | 74.3130 | -4,087,215 | -105,600 | 2.5837 |
| TYCO INTERNATIONAL LTD | ■ | MRGN | 64,467 | 62.1250 | 4,005,012 | 3,223 | 0.0805 |
| TYCO INTERNATIONAL LTD | ■ | SHRT | -55,000 | 62.1250 | -3,416,875 | -2,750 | 0.0805 |
| Total Equities& Options | $7,880,660 | $46,203 | |||||
| TOTAL EQUITIES | $7,880,660 | $46,203 |
| YOUR TOTAL ESTIMATED ANNUAL INCOME | $46,206 |
| YOUR PRICED PORTFOLIOHOLDINGS | $21,972,359 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 01/02/01 | 12/29/00 | SOLD | CALL TYCO INTL JAN 055**** EXP 01/20/2001 CUSIP NUMBER TO FOLLOW, UNSOLICITED OPEN CONTRACT AS OF 12/29/00 | -1,100 | 3.10420 | 337,600.64 | ||
| 01/02/01 | 12/29/00 | SOLD | CALL MEDTRONIC JAN 055**** EXP 01/20/2001 CUSIP NUMBER TO FOLLOW, UNSOLICITED OPEN CONTRACT | -600 | 6.46320 | 385,679.07 | ||
| 01/02/01 | 12/29/00 | SOLD | CALL PNC FINL GRP JAN 070PBW EXP 01/20/2001 CUSIP NUMBER TO FOLLOW, OPEN CONTRACT | -1,100 | 4.32920 | 472,346.12 | ||
| 01/03/01 | 01/02/01 | SOLD | CALL MEDTRONIC JAN 055**** EXP 01/20/2001 UNSOLICITED CUSIP NUMBER TO FOLLOW, OPEN CONTRACT | -1,000 | 5.67280 | 563,761.09 | ||
| 01/22/01 | JOURNAL | CALL TYCO INTL JAN 055**** EXP 01/20/2001 AE QTYCA55 ASSIGNED 02337 | 1,100 | |||||
| 01/22/01 | JOURNAL | CALL MEDTRONIC JAN 055**** EXP 01/20/2001 AE OMOTA55 ASSIGNED 01356 | 753 | |||||
| 01/22/01 | JOURNAL | CALL PNC FINL GRP JAN 070PBW EXP 01/20/2001 AE QPNCAN ASSIGNED 01682 | 1,100 | |||||
| 01/24/01 | 01/22/01 | SOLD | PNC FINANCIAL SVCS GROUP INC AE OPNCAN 1100 ASSIGNED AS OF 01/22/01 | PNC | -55,000 | 70.00000 | 3,849,321.66 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 01/24/01 | 01/22/01 | SOLD | MEDTRONIC INC WITH RIGHTS TO PURCHASE PREFRD STK UNDER CERTAIN CIRCUMSTANCE SHORT, A/E OMDT455 753 ASSIGNED AS OF 01/22/01 | MDT | -75,300 | 55.00000 | 4,139,479.45 | |
| 01/24/01 | 01/22/01 | SOLD | PNC FINANCIAL SVCS GROUP INC SHORT, A/E OPNCAN 1100 ASSIGNED AS OF 01/22/01 | PNC | -55,000 | 70.00000 | 3,848,496.66 | |
| 01/24/01 | 01/22/01 | SOLD | TYCO INTERNATIONAL LTD SHORT, A/E QTYCA55 1100 ASSIGNED AS OF 01/22/01 | TYC | -55,000 | 55.00000 | 3,023,524.16 | |
| 01/24/01 | 01/22/01 | SOLD | TYCO INTERNATIONAL LTD SHORT, A/E QTYCA55 1100 ASSIGNED AS OF 01/22/01 | TYC | -55,000 | 55.00000 | 3,024,349.16 | |
| 01/24/01 | EXPIRED | CALL MEDTRONIC JAN 055**** EXP 01/20/2001 | 847 | |||||
| 01/25/01 | 01/22/01 | SOLD | TYCO INTERNATIONAL LTD A/E QTYCA55 1100 ASSIGNED A/O 01/24/01 SD AS OF 01/22/01 | TYC | -55,000 | 55.00000 | 3,024,349.16 | |
| 01/25/01 | 01/22/01 | CANCEL SELL | TYCO INTERNATIONAL LTD SHORT, A/E QTYCA55 1100 ASSIGNED A/O 01/24/01 SD AS OF 01/22/01 TO COL. PREVIOUS SELL | TYC | 55,000 | 55.00000 | 3,024,349.16 | |
| 01/25/01 | JOURNAL | MEDTRONIC INC JOURNAL FROM TYPE 1 TO 2 | MDT | -191,410 | ||||
| 01/25/01 | JOURNAL | PNC FINANCIAL SVCS GROUP INC JOURNAL FROM TYPE 1 TO 2 | PNC | -66,723 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT | |
|---|---|---|---|---|---|---|---|---|---|
| 01/25/01 | JOURNAL | TYCO INTERNATIONAL LTD JOURNAL FROM TYPE 1 TO 2 | TYC | -119,467 | |||||
| 01/25/01 | JOURNAL | MEDTRONIC INC JOURNAL FROM TYPE 1 TO 2 | MDT | 191,410 | |||||
| 01/25/01 | JOURNAL | PNC FINANCIAL SVCS GROUP INC JOURNAL FROM TYPE 1 TO 2 | PNC | 66,723 | |||||
| 01/25/01 | JOURNAL | TYCO INTERNATIONAL LTD JOURNAL FROM TYPE 1 TO 2 | TYC | 119,467 | |||||
| 01/26/01 | JOURNAL | TYCO INTERNATIONAL LTD JOURNAL FROM TYPE 2 TO 1 | TYC | 55,000 | |||||
| 01/26/01 | JOURNAL | TYCO INTERNATIONAL LTD JOURNAL FROM TYPE 2 TO 1 | TYC | -55,000 | |||||
| TOTAL | -$3,024,349.16 | $22,668,907.17 | |||||||
| DATE | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 01/26/01 | FND WIRED | MDA# FNDS WIRED TO CUSTODIAL TRUST COMPANY | 5,500,000.00 | |
| TOTAL | -16,150,000.00 | $5,064,548.76 | ||
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE ($) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 01/24/01 | PNC FINANCIAL SVCS GROUP INC REC 01/12/01 PAY 01/24/01 | PNC | 121,723 | 0.4800 | 58,427.04 | |
| 01/26/01 | MEDTRONIC INC REC 01/05/01 PAY 01/26/01 | MDT | 191,410 | 0.0500 | 9,570.50 | |
| TOTAL | $67,997.54 | |||||
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 01/22/01 | INTEREST ON CREDIT BALANCE AT 6,000% 12/21 THRU 12/28 | 6.0000 | 58.53 | |||
| 01/22/01 | INTEREST ON CREDIT BALANCE AT 6,000% 12/29 THRU 01/02 | 6.0000 | 1,888.27 | |||
| 01/22/01 | INTEREST ON CREDIT BALANCE AT 5 1/2% 01/03 THRU 01/20 | 5.5000 | 4,274.17 | |||
| TOTAL | $6,220.97 | |||||
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 01/02/01 | JOURNAL | FR 102-16490PER LOA | 9,914,476.52 | |
| 01/04/01 | JOURNAL | TO 047-30185 PER LOA | 4,500,000.00 | |
| 01/24/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 5,505,139.00 | |
| 01/24/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 5,505,139.00 | |
| 01/25/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 41,141.04 | |
| 01/25/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 41,141.04 | |
| 01/26/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 3,033,919.66 | |
| 01/26/01 | JOURNAL | JOURNAL FROM TYPE 1 TO 2 | 3,033,919.66 | |
| TOTAL | -13,080,199.70 | $18,494,676.22 | ||