## Statements EFTA00198118 OFFICE SERVICING YOUR ACCOUNT Bear, Stearns & Co. Inc. 383 Madison Avenue New York, New York 10179 CLEARED THROUGH ITS WHOLLY OWNED SUBSIDIARY
| Financial Summary | 3 |
| Your Portfolio Holdings | 4 |
| Transaction Detail | 8 |
| Fund Activity | 17 |
| Trades Not Yet Settled | 21 |
| TOTAL VALUE OF SECURITIES THIS PERIOD | 14,300,358 |
| NET CREDIT BALANCE | 914,140 |
| MONEY MARKET FUND BALANCE | 3,162,236 |
| NET EQUITY THIS PERIOD | $18,376,734 |
| NET EQUITY LAST STATEMENT | 17,420,427 |
| CHANGE SINCE LAST STATEMENT | 956,308 |
| THIS PERIOD | |
| OpeningBalance | $873,310.56 |
| Securities Sold | 1,669,680.20 |
| Money Fund | 2,031,933.59 |
| Dividends/Interest | 7,774.85 |
| Miscellaneous | 36,278.17 |
| Amount Credited | $3,745,666.81 |
| Securities Bought | -3,361,401.69 |
| Money Fund | -306,933.59 |
| Miscellaneous | -36,501.67 |
| Amount Debited | $-3,704,836.95 |
| Net Cash Activity | 40,829.86 |
| Closing Balance | $914,140.42 |
| OPENING | CLOSING | |
| Cash | 873,310.56 | 914,140.42 |
| Net Cash Balance | $873,310.56 | $914,140.42 |
| THIS PERIOD | YEAR TO DATE | |
| Dividends | 13,532.09 | 153,661.75 |
| Substitute Payment | 0.00 | 630.00 |
| Credit Balance Int. | 1,176.35 | 53,133.82 |
| Total | $14,708.44 | $207,425.57 |
| Short Dividends | 0.00 | -144.50 |
| Foreign Tax Withheld | -118.50 | -800.74 |
| Margin Int. Paid | 0.00 | -92.06 |
| Cash/Cash Equivalent | 4,076,376 |
| Equities | 14,300,358 |
| Total | $18,376,734 |
| DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|
| CASH BALANCE | 914,140 | |||||
| THE TREASURERS FUND INC | GTDXX | 3,162,235.72 | 1.0000 | 3,162,236 | 56,920 | 1.8000 |
| DOMESTIC PRIME M/M PORTFOLIO | ||||||
| TOTAL CASH & CASH EQUIVALENTS | $4,076,376 | $56,920 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|
| ABERCROMBIE & FITCH CO-CL A | ANF | CASH | 3,200 | 26.5300 | 84,896 | ||
| ACTV INC | IATV | CASH | 22,300 | 1.8700 | 41,701 | ||
| AMERICAN EAGLE OUTFITTERS INC NEW | AEOS | CASH | 7,400 | 26.1700 | 193,658 | ||
| ADELPHIA COMMUNICATIONS CORP CL A | ADLAC | CASH | 28,654 | 31.1800 | 893,432 | ||
| ANNTAYLOR STORES CORP | ANN | CASH | 4,000 | 35.0000 | 140,000 | ||
| AMERICAN STANDARD COMPANIES INC-DEL | ASD | CASH | 4,100 | 68.2300 | 279,743 | ||
| BEA SYSTEMS INC | BEAS | CASH | 11,400 | 15.4100 | 175,674 | ||
| BEVERLY ENTERPRISES INC NEW | BEV | CASH | 49,800 | 8.6000 | 428,280 | ||
| CENDANT CORP | CD | CASH | 11,450 | 19.6100 | 224,535 | ||
| COSTCO WHOLESALE CORP-NEW | COST | CASH | 2,800 | 44.3800 | 124,264 | ||
| CITIZENS COMMUNICATIONS CO | CZN | CASH | 32,800 | 10.6600 | 349,648 | ||
| CSX CORP | CSX | CASH | 3,950 | 35.0500 | 138,448 | 1,580 | 1.1412 |
| DESCRIPTION | SYMBOL/CUSIP | ACT TYPE | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|
| CABLEVISION SYSTEMS CORP-CL A CABLEVISION NY GROUP COM | CVC | CASH | 5,000 | 47.4500 | 237,250 | ||
| CONTINENTAL AIRLINES INC-CL B | CAL | CASH | 5,850 | 26.2100 | 153,329 | ||
| DMC STRATEX NETWORKS INC | STXN | CASH | 11,950 | 7.7800 | 92,971 | ||
| EDISON INTERNATIONAL | EIX | CASH | 10,550 | 15.1000 | 159,305 | ||
| EASTMAN CHEMICAL CO | EMN | CASH | 2,500 | 39.0200 | 97,550 | 4,400 | 4.5105 |
| EMMIS COMMUNICATIONS CORP-CL A | EMMS | CASH | 10,550 | 23.6400 | 249,402 | ||
| ENZON INC | ENZN | CASH | 1,350 | 56.2800 | 75,978 | ||
| FOX ENTERTAINMENT GROUP INC CL A | FOX | CASH | 8,600 | 26.5300 | 228,158 | ||
| FMC CORP NEW | FMC | CASH | 2,400 | 59.5000 | 142,800 | ||
| FOOT LOCKER INC | Z | CASH | 4,750 | 15.6500 | 74,338 | ||
| FEDERATED DEPARTMENT STORES INC-DEL | FD | CASH | 6,800 | 40.9000 | 278,120 | ||
| I-MANY INC | IMNY | CASH | 39,150 | 9.6500 | 377,798 | ||
| HCA INC (FRM HCA-HEALTHCARE COMPANY) | HCA | CASH | 15,000 | 38.5400 | 578,100 | 1,200 | 0.2076 |
| HARRAHS ENTERTAINMENT INC | HET | CASH | 1,600 | 37.0100 | 59,216 | ||
| IMC GLOBAL INC | IGL | CASH | 17,800 | 13.0000 | 231,400 | 1,424 | 0.6154 |
| IMPERIAL CHEMICAL INDS PLC ADR NEW | ICI | CASH | 2,500 | 21.8500 | 54,625 | 3,680 | 6.7368 |
| KOHLS CORP | KSS | CASH | 4,900 | 70.4400 | 345,156 | ||
| LIBERTY MEDIA CORP SER A NEW | LMCA | CASH | 37,800 | 14.0000 | 529,200 | ||
| LIZ CLAIBORNE INC | LIZ | CASH | 3,700 | 49.7500 | 184,075 | 1,665 | 0.9045 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|
| MILLENNIUM CHEMICALS INC | MCH | CASH | 7,900 | 12,6000 | 99,540 | 4,740 | 4.7619 |
| MGM MIRAGE | MGG | CASH | 1,950 | 28,8700 | 56,297 | ||
| MANDALAY RESORT GROUP | MBG | CASH | 1,950 | 21,4000 | 41,730 | ||
| MCDATA CORP CL A | MCDTA | CASH | 1,050 | 24,5000 | 25,725 | ||
| MASCO CORP | MAS | CASH | 8,200 | 24,5000 | 200,900 | 4,428 | 2.2041 |
| NOVA CHEMICALS CORP | NCX | CASH | 8,600 | 19,2700 | 165,722 | 1,361 | 0.8213 |
| NAUTICA ENTERPRISES INC | NAUT | CASH | 2,600 | 12,7900 | 33,254 | ||
| NORFOLK SOUTHERN CORP | NSC | CASH | 14,100 | 18,3300 | 258,453 | 3,384 | 1.3093 |
| PEREGRINE SYSTEMS INC | PRGN | CASH | 7,700 | 14,8300 | 114,191 | ||
| POLO RALPH LAUREN CORP-CL A | RL | CASH | 4,707 | 26,7600 | 125,959 | ||
| OMNICARE INC | OCR | CASH | 13,100 | 24,8800 | 325,928 | 1,179 | 0.3617 |
| PACIFIC SUNWEAR OF CALIFORNIA INC | PSUN | CASH | 1,800 | 20,4200 | 36,756 | ||
| QUIKSILVER INC | ZOK | CASH | 9,500 | 17,2000 | 163,400 | ||
| REMEC INC | REMC | CASH | 14,750 | 9,9900 | 147,353 | ||
| ROYAL CARIBBEAN CRUISES LTD | RCL | CASH | 23,150 | 16,2000 | 375,030 | 12,038 | 3.2099 |
| SABRE HOLDINGS CORP CL A | TSG | CASH | 6,450 | 42,3500 | 273,158 | ||
| STAGE STORES INC NEW | STGS | CASH | 9,700 | 22,7500 | 220,675 | ||
| SINCLAIR BROADCAST GROUP INC CL A | SBGI | CASH | 18,000 | 9,4600 | 170,280 | ||
| SOLECTRON CORP | SLR | CASH | 23,850 | 11,2800 | 269,028 | ||
| SYMBOL TECHNOLOGIES INC | SBL | CASH | 12,200 | 15,8800 | 193,736 | 244 | 0.1259 |
| TYCO INTERNATIONAL LTD | TYC | CASH | 11,300 | 58,9000 | 665,570 | 565 | 0.0849 |
| DESCRIPTION | SYMBOL/CUSIP | ACCT TYPE | QUANTITY | PRICE | MARKET VALUE | ESTIMATED ANNUAL INCOME | CURRENT YIELD (%) |
|---|---|---|---|---|---|---|---|
| TALBOTS INC | TLB | CASH | 6,000 | 36.2500 | 217,500 | 1,920 | 0.8828 |
| TENET HEALTHCARE CORP | THC | CASH | 7,350 | 58.7200 | 431,592 | ||
| TRANSWITCH CORP | TXCC | CASH | 8,100 | 4.5000 | 36,450 | ||
| TEXTRON INC | TXT | CASH | 4,400 | 41.4600 | 182,424 | 5,720 | 3.1356 |
| TOMMY HILFIGER CORP-ORD | TOM | CASH | 17,400 | 13.7500 | 239,250 | ||
| USA NETWORKS INC | USAI | CASH | 5,800 | 27.3100 | 158,398 | ||
| UNITED RETAIL GROUP INC | URGI | CASH | 16,700 | 7.6500 | 127,755 | ||
| UNIVERSAL HEALTH SERVICES INC CL B | UHS | CASH | 10,500 | 42.7800 | 449,190 | ||
| VITRIA TECHNOLOGY INC COM | VITR | CASH | 21,850 | 6.3900 | 139,622 | ||
| VERITAS SOFTWARE CORP | VRTS | CASH | 3,550 | 44.8200 | 159,111 | ||
| VITESSE SEMICONDUCTOR CORP | VTSS | CASH | 5,550 | 12.4600 | 69,153 | ||
| VIACOM INC-CL B | VIAB | CASH | 6,200 | 44.1500 | 273,730 | ||
| VISHAY INTERTECHNOLOGY INC | VSH | CASH | 7,200 | 19.5000 | 140,400 | ||
| YORK INTERNATIONAL CORP NEW | YRK | CASH | 7,250 | 38.1300 | 276,443 | 4,350 | 1.5736 |
| YOUNG BROADCASTING INC-CL A Total Equities& Options | YBTVA | CASH | 11,900 | 17.9500 | 213,605 | ||
| $14,300,358 | $53,878 | ||||||
| TOTAL EQUITIES | $14,300,358 | $53,878 |
| YOUR TOTAL ESTIMATED ANNUAL INCOME | $110,798 |
| YOUR PRICED PORTFOLIO HOLDINGS | $18,376,734 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/03/01 | 11/28/01 | SOLD | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY JPHQ SEC FEE | AEOS | -445 | 25.03250 | 11,124.08 | |
| 12/04/01 | 11/29/01 | SOLD | AOL TIME WARNER INC EXECUTION BY SBSH COMMISSION 175,00 SEC FEE 2,89 | AOL | -2,500 | 34.62500 | 86,369.61 | |
| 12/04/01 | 11/29/01 | SOLD | MCDATA CORP CL A EXECUTION BY INET COMMISSION 66,00 SEC FEE 1,84 | MCDTA | -2,200 | 25.00900 | 54,936.96 | |
| 12/05/01 | 11/30/01 | SOLD | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY RSSF SEC FEE 1,00 | AEOS | -1,205 | 24.80200 | 29,870.41 | |
| 12/05/01 | 11/30/01 | BOUGHT | KOHLS CORP EXECUTION BY BUCK COMMISSION 36,00 | KSS | 600 | 67.63340 | 40,631.04 | |
| 12/06/01 | 12/03/01 | SOLD | AOL TIME WARNER INC EXECUTION BY BUCK COMMISSION 147,00 SEC FEE 2,76 | AOL | -2,450 | 33.75000 | 82,522.74 | |
| 12/06/01 | 12/03/01 | BOUGHT | KOHLS CORP EXECUTION BY BUCK COMMISSION 66,00 | KSS | 1,100 | 67.11930 | 73,912.23 | |
| 12/07/01 | 12/04/01 | BOUGHT | JONES APPAREL GROUP INC EXECUTION BY BUCK COMMISSION 162,00 | JNY | 2,700 | 31.75070 | 85,903.89 | |
| 12/07/01 | 12/04/01 | BOUGHT | VALBROS INC EXECUTION BY BUCK COMMISSION 138,00 | TLB | 2,300 | 32.91860 | 75,865.78 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/07/01 | 12/04/01 | BOUGHT | VISHAY INTERTECHNOLOGY INC SEE NOTE 'S' ON BACK EXECUTION BY FBCO COMMISSION 112,00 | VSH | 1,600 | 18.90800 | 30,379.80 | |
| 12/10/01 | 12/05/01 | SOLD | CABLEVISION SYSTEMS CORP-CL A CABLEVISION NY GROUP COM SEE NOTE 'S' ON BACK EXECUTION BY SBSH COMMISSION 112,00 SEC FEE 2,45 | CVC | -1,600 | 45.80000 | 73,150.55 | |
| 12/10/01 | 12/05/01 | BOUGHT | DMC STRATEX NETWORKS INC EXECUTION BY SLKC | STXN | 3,200 | 7.45060 | 23,856.92 | |
| 12/10/01 | 12/05/01 | BOUGHT | MASCO CORP WITH RIGHTS TO PURCHASE PREFRD STK UNDER CERTAIN CIRCUMSTANCE EXECUTION BY BUCK COMMISSION 192,00 | MAS | 3,200 | 23.01580 | 73,857.56 | |
| 12/10/01 | 12/05/01 | SOLD | SONIC AUTOMOTIVE INC-CL A EXECUTION BY FCAP COMMISSION 164,50 SEC FEE 1,63 | SAH | -2,350 | 20.75600 | 48,595.47 | |
| 12/10/01 | 12/05/01 | BOUGHT | TALBOTS INC EXECUTION BY BUCK COMMISSION 126,00 | TLB | 2,100 | 33.56050 | 70,618.05 | |
| 12/11/01 | 12/06/01 | BOUGHT | TMC CORP NEW SEE NOTE 'S' ON BACK EXECUTION BY BUCK COMMISSION 30,00 | FMC | 500 | 55.87480 | 27,982.40 | |
| 12/11/01 | 12/06/01 | BOUGHT | FEDERATED DEPARTMENT STORES INC DEL EXECUTION BY BUCK COMMISSION 120,00 | FD | 2,000 | 37.18560 | 74,506.20 |
| DEMENTMENT DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/11/01 | 12/06/01 | SOLD | IMC GLOBAL INC SEE NOTE "S" ON BACK EXECUTION BY MLCO COMMISSION 196,00 SEC FEE 1,26 | IGL | -2,800 | 13.46930 | 37,501.78 | |
| 12/11/01 | 12/06/01 | SOLD | KOHLY CORP EXECUTION BY BUCK COMMISSION 24,00 SEC FEE .94 | KSS | -400 | 70.00030 | 27,960.18 | |
| 12/11/01 | 12/06/01 | BOUGHT | MASCO CORP WITH RIGHTS TO PURCHASE PREFRD STK UNDER CERTAIN CIRCUMSTANCE EXECUTION BY FAHN COMMISSION 238,00 | MAS | 3,400 | 23.09680 | 78,782.12 | |
| 12/11/01 | 12/06/01 | SOLD | TOMMY HILFIGER CORP-ORD EXECUTION BY BUCK COMMISSION 408,00 SEC FEE 3,08 | TOM | -6,800 | 13.55990 | 91,781.24 | |
| 12/12/01 | 12/07/01 | BOUGHT | EASTMAN CHEMICAL CO EXECUTION BY MSCO COMMISSION 175,00 | EMN | 2,500 | 36.48360 | 91,399.00 | |
| 12/12/01 | 12/07/01 | SOLD | JONES APPARAL GROUP INC EXECUTION BY BUCK COMMISSION 30,00 SEC FEE .56 | JNY | -500 | 33.15470 | 16,531.79 | |
| 12/12/01 | 12/07/01 | BOUGHT | NORFOLK SOUTHERN CORP EXECUTION BY MLCO COMMISSION 119,00 | NSC | 1,700 | 18.93000 | 32,315.00 | |
| 12/12/01 | 12/07/01 | BOUGHT | QUKSILVER INC EXECUTION BY BUCK COMMISSION 126,00 | ZQK | 2,100 | 15.10270 | 31,856.67 | |
| 12/13/01 | 12/10/01 | BOUGHT | FEDERATED DEPARTMENT STORES INC-DEL EXECUTION BY BUCK COMMISSION 54,00 | FD | 900 | 37.55580 | 33,869.22 |
| DEMENT DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/13/01 | 12/10/01 | SOLD | JONES APPAREL GROUP INC EXECUTION BY BUCK COMMISSION 132,00 SEC FEE 2,40 | JNY | -2,200 | 32.68170 | 71,750.34 | |
| 12/14/01 | 12/11/01 | BOUGHT | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY JPHQ | AEOS | 1,500 | 25.33670 | 38,020.05 | |
| 12/14/01 | 12/11/01 | BOUGHT | ANNITAYLOR STORES CORP SEE NOTE 'S' ON BACK EXECUTION BY BUCK COMMISSION 132,00 | ANN | 2,200 | 29.36840 | 64,757.48 | |
| 12/14/01 | 12/11/01 | SOLD | TIBCO SOFTWARE INC EXECUTION BY FBCO SEC FEE 2,38 | TIBX | -5,000 | 14.25850 | 71,275.12 | |
| 12/14/01 | 12/11/01 | SOLD | TRW INC WITH RIGHTS TO PURCHASE COMMON STK. UNDER CERTAIN CIRCUMSTANCE EXECUTION BY BUCK COMMISSION 273,00 SEC FEE 6,02 | TRW | -4,550 | 39.63370 | 180,039.32 | |
| 12/14/01 | 12/11/01 | SOLD | TOMMY HILFIGER CORP-ORD EXECUTION BY BUCK COMMISSION 138,00 SEC FEE 1,13 | TOM | -2,300 | 14.70000 | 33,655.87 | |
| 12/14/01 | 12/11/01 | SOLD | VITRIA TECHNology INC COM EXECUTION BY FBCO SEC FEE .89 | VITR | -4,300 | 6.16670 | 26,500.92 | |
| 12/14/01 | 12/11/01 | SOLD | VERITAS SOFTWARE CORP EXECUTION BY COWN SEC FEE 1,99 | VRTS | -1,400 | 42.63000 | 59,665.01 | |
| 12/17/01 | 12/12/01 | SOLD | VERITAS SOFTWARE CORP EXECUTION BY COWN SEC FEE .90 | VRTS | -600 | 44.70000 | 26,804.10 |
| EMENT DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/18/01 | 12/13/01 | BOUGHT | COSTCO WHOLESALE CORP-NEW EXECUTION BY MONT VS 1500 12-13-01 | COST | 1,500 | 40.90750 | 61,376.25 | |
| 12/18/01 | 12/13/01 | SOLD | TOMMY HILFIGER CORP-ORD EXECUTION BY BUCK VS 700 08-24-01 COMMISSION 42,00 SEC FEE 33 | TOM | -700 | 14.03500 | 9,767.17 | |
| 12/19/01 | 12/14/01 | BOUGHT | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY JPHQ VS 2000 12-14-01 | AEOS | 2,000 | 23.05000 | 46,115.00 | |
| 12/19/01 | 12/14/01 | BOUGHT | FEDERATED DEPARTMENT STORES NCG DEL EXECUTION BY BUCK VS 2000 12-14-01 COMMISSION 120,00 | FD | 2,000 | 36.84410 | 73,823.20 | |
| 12/20/01 | 12/17/01 | BOUGHT | ANNAYLOR STORES CORP SEE NOTE 'S' ON BACK EXECUTION BY BUCK VS 1800 12-17-01 COMMISSION 108,00 | ANN | 1,800 | 29.58150 | 53,369.70 | |
| 12/20/01 | 12/17/01 | SOLD | IMC GLOBAL INC SEE NOTE 'S' ON BACK EXECUTION BY BUCK VS 2500 11-18-01 COMMISSION 150,00 SEC FEE 1,12 | IGL | -2,500 | 13.42030 | 33,384.63 | |
| 12/20/01 | 12/17/01 | SOLD | TIBCO SOFTWARE INC EXECUTION BY COWN VS 1500 07-12-01, 1000 03-27-01 SEC FEE 1,13 | TIBX | -2,500 | 13.51500 | 33,771.37 | |
| 12/20/01 | 12/17/01 | SOLD | VERISIGN INC EXECUTION BY COWN VS 4000 11-07-01 SEC FEE 5,59 | VRSN | -4,000 | 41.85500 | 167,399.41 |
| IMMEMENT DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/20/01 | 12/17/01 | SOLD | VITRIA TECHNOLOGY INC COM EXECUTION BY FBCO VS 2200 01-17-01 SEC FEE .44 | VITR | -2,200 | 5.92130 | 13,011.42 | |
| 12/21/01 | 12/18/01 | BOUGHT | AMERICAN MOBILE & FICH CO-CL A EXECUTION BY IGRQ VS 3200 12-18-01 COMMISSION 224,00 | ANF | 3,200 | 24.00800 | 77,064.60 | |
| 12/21/01 | 12/18/01 | BOUGHT | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY MONT VS 2200 12-18-01 | AEOS | 2,200 | 23.87810 | 52,546.82 | |
| 12/21/01 | 12/18/01 | BOUGHT | CONTINENTAL AIRLINES INC-CL B EXECUTION BY SIMM VS 3500 12-18-01 COMMISSION 245,00 | CAL | 3,500 | 23.97500 | 84,172.50 | |
| 12/21/01 | 12/18/01 | BOUGHT | EMMIS COMMUNICATIONS CORP-CL A EXECUTION BY FCAP VS 5250 12-18-01 | EMMS | 5,250 | 20.33730 | 106,785.83 | |
| 12/21/01 | 12/18/01 | SOLD | MCDATA CORP CL A EXECUTION BY INET VS 1100 10-18-01 COMMISSION 33,00 SEC FEE .90 | MCDTA | -1,100 | 24.52880 | 26,932.78 | |
| 12/21/01 | 12/18/01 | BOUGHT | MASCO CORP WITH RIGHTS TO PURCHASE PREFRD STN UNDER CERTAIN CIRCUUMSTANCE UNSOLICITED AVG PRICE SHOWN-DETAILS ON REQ ACTUAL CONFIRM TO YOUR AGENT | MAS | 1,600 | 24.78000 | 39,760.00 | |
| 12/21/01 | 12/18/01 | BOUGHT | NORFOLK SOUTHERN CORP EXECUTION BY DRKW VS 3600 12-18-01 COMMISSION 252,00 | NSC | 3,600 | 18.82380 | 68,032.68 |
| DEMENT DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/21/01 | 12/18/01 | BOUGHT | ROYAL CARIBBEAN CRUISES LTD SEE NOTE 'S' ON BACK EXECUTION BY GSCO VS 5700 12-18-01 COMMISSION | RCL | 5,700 | 14.24760 | 81,625.32 | |
| 12/21/01 | 12/18/01 | BOUGHT | SINCLAIR BROADCAST GROUP INC CL A EXECUTION BY DBAB VS 9000 12-18-01 | SBGI | 9,000 | 8.87530 | 79,892.70 | |
| 12/21/01 | 12/18/01 | SOLD | TIBO SOFTWARE INC EXECUTION BY COWIN VS 5000 03-27-01 SEC FEE | TIBX | -5,000 | 14.02130 | 70,089.16 | |
| 12/21/01 | 12/18/01 | BOUGHT | VIACOM INC-CLB EXECUTION BY DAIN VS 2000 12-18-01 COMMISSION | VIAB | 2,000 | 42.83000 | 85,815.00 | |
| 12/24/01 | 12/19/01 | BOUGHT | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY RSSF VS 1100 12-19-01 | AEOS | 1,100 | 25.16000 | 27,691.00 | |
| 12/24/01 | 12/19/01 | SOLD | EXPEDITORS INTERNATIONAL OF WASHINGTON INC EXECUTION BY SLKC VS 2100 11-13-01 SEC FEE | EXPD | -2,100 | 57.40310 | 120,527.49 | |
| 12/24/01 | 12/19/01 | SOLD | FEDDA CORP EXECUTION BY FACT VS 2100 10-03-01 COMMISSION | FDX | -2,100 | 49.87000 | 104,561.50 | |
| 12/24/01 | 12/19/01 | BOUGHT | LIZ CLAIBORNE INC EXECUTION BY BUCK VS 2300 12-19-01 COMMISSION | LIZ | 2,300 | 50.40000 | 116,073.00 |
| DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/24/01 | 12/19/01 | SOLD | TIBCO SOFTWARE INC EXECUTION BY INET VS 1500 03-27-01, 2500 10-03-01 COMMISSION 120,00 SEC FEE 2,02 | TIBX | 4,000 | 15.08420 | 60,199.78 | |
| 12/24/01 | 12/19/01 | BOUGHT | TALBOTS INC EXECUTION BY BUCK VS 800 12-19-01 COMMISSION 48,00 | TLB | 800 | 32.80000 | 26,303.00 | |
| 12/26/01 | 12/20/01 | BOUGHT | AMERICAN EAGLE OUTFITTERS INC NEW EXECUTION BY JPHQ VS 600 12-20-01 | AEOS | 600 | 26.17500 | 15,720.00 | |
| 12/26/01 | 12/20/01 | BOUGHT | PACIFIC SUNWEAR OF CALIFORNIA INC EXECUTION BY RHCO VS 1800 12-20-01 | PSUN | 1,800 | 17.54250 | 31,591.50 | |
| 12/26/01 | 12/20/01 | BOUGHT | QUINSILVER INC EXECUTION BY BUCK VS 7400 12-20-01 COMMISSION 444,00 | ZQK | 7,400 | 15.91990 | 118,266.26 | |
| 12/26/01 | 12/20/01 | BOUGHT | ROVAL CARIBBEAN CRUISES LTD SEE NOTE 'S' ON BACK EXECUTION BY RYAN VS 4100 12-20-01 COMMISSION 287,00 | RCL | 4,100 | 14.55800 | 59,989.80 | |
| 12/27/01 | 12/21/01 | BOUGHT | CARBLVISION SYSTEMS CORP-CL A CABLEVISION NY GROUP COM SEE NOTE 'S' ON BACK EXECUTION BY MONT VS 1800 12-21-01 COMMISSION 126,00 | CVC | 1,800 | 45.52400 | 82,084.20 | |
| 12/27/01 | 12/21/01 | BOUGHT | PEREGRINE SYSTEMS INC EXECUTION BY SBSH VS 1800 12-21-01 | PRGN | 1,800 | 13.40000 | 24,135.00 |
| DEMENTARY DATE | DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/27/01 | 12/21/01 | BOUGHT | ROYAL CARIBBEAN CRUISES LTD SEE NOTE 'S' ON BACK EXECUTION BY JPHQ VS 2700 12-21-01 COMMISSION | RCL | 2,700 | 14.85930 | 40,324.11 | |
| 12/27/01 | 12/21/01 | BOUGHT | STAGE STORES INC NEW EXECUTION BY HRZ0 VS 4200 12-21-01 | STGS | 4,200 | 20.91750 | 87,868.50 | |
| 12/27/01 | 12/21/01 | BOUGHT | SOLECTRON CORP EXECUTION BY MLCO VS 7000 12-21-01 COMMISSION | SLR | 7,000 | 10.25000 | 72,255.00 | |
| 12/27/01 | 12/21/01 | BOUGHT | SOLECTRON CORP EXECUTION BY DRKW VS 10600 12-21-01 COMMISSION | SLR | 10,600 | 10.15300 | 108,378.80 | |
| 12/27/01 | 12/21/01 | BOUGHT | VISHAM INTERTECHNOLOGY INC SEE NOTE 'S' ON BACK EXECUTION BY GKMC VS 700 12-21-01 COMMISSION | VSH | 700 | 18.51450 | 13,024.15 | |
| 12/28/01 | 12/24/01 | BOUGHT | CONTINENTAL AIRLINES INC-CL B EXECUTION BY BUCK VS 2100 12-24-01 COMMISSION AS OF 12/24/01 | CAL | 2,100 | 24.41580 | 51,414.18 | |
| 12/28/01 | 12/24/01 | BOUGHT | STAGE STORES INC NEW EXECUTION BY INET VS 3100 12-24-01 COMMISSION | STGS | 3,100 | 21.50000 | 66,758.00 | |
| 12/31/01 | 12/26/01 | BOUGHT | CONTINENTAL AIRLINES INC-CL B EXECUTION BY BUCK VS 250 12-26-01 COMMISSION | CAL | 250 | 24.55800 | 6,168.50 |
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 12/31/01 | 12/26/01 | BOUGHT | EMMIS COMMUNICATIONS CORP-CL A EXECUTION BY JPHQ VS 5300 12-26-01 | EMMS | 5,300 | 22.96000 | 121,703.00 | |
| 12/31/01 | 12/26/01 | BOUGHT | ROYAL CARIBBEAN CRUISES LTD SEE NOTE 'S' ON BACK EXECUTION BY BUCK VS 2000 12-26-01 COMMISSION 120,00 | RCL | 2,000 | 15.19840 | 30,531.80 | |
| 12/31/01 | 12/26/01 | BOUGHT | STAGE STORES INC NEW EXECUTION BY INET VS 2400 12-26-01 COMMISSION 72,00 | STGS | 2,400 | 22.10870 | 53,147.88 | |
| 12/31/01 | 12/26/01 | BOUGHT | SINCLAIR BROADCAST GROUP INC CL A EXECUTION BY DBAB VS 9000 12-26-01 | SBGI | 9,000 | 9.48000 | 85,335.00 | |
| 12/31/01 | 12/26/01 | BOUGHT | SOLECTRON CORP EXECUTION BY MONT VS 6250 12-26-01 COMMISSION 437,50 | SLR | 6,250 | 10.51800 | 66,190.00 | |
| 12/31/01 | 12/26/01 | BOUGHT | YOUNG BROADCASTING INC-CL A EXECUTION BY JPHQ VS 11900 12-26-01 | YBTVA | 11,900 | 16.60000 | 197,555.00 |
| DATE MO/DAY | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUN |
|---|---|---|---|---|---|---|---|
| 12/01/01 | OPENINGBALANCE | 4,880,302.13 | |||||
| 12/03/01 | BOUGHT | THE TREASURES FUND INC DOMESTIC PRIME M/M PORTFOLIO | GTDXX | 100,000 | 1.0000 | 100,000.00 |
| MONDAY | TRANSACTION | DESCRIPTION | SYMBOL/CUSP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|
| 12/05/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -300,000 | 1.0000 | 300,000.00 | |
| 12/10/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -75,000 | 1.0000 | 75,000.00 | |
| 12/12/01 | BOUGHT | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | 200,000 | 1.0000 | 200,000.00 | |
| 12/20/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -300,000 | 1.0000 | 300,000.00 | |
| 12/21/01 | DIVIDEND | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO MONTHLY DIVIDEND | GTDXX | 3,146.78 | |||
| 12/21/01 | DIVIDEND | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO MONTHLY DIVIDEND | GTDXX | 3,786.81 | |||
| 12/21/01 | REINVEST | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO MONTHLY DIVIDEND REINVESTED | GTDXX | 3,146.78 | 3,146.78 | ||
| 12/21/01 | REINVEST | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO MONTHLY DIVIDEND REINVESTED | GTDXX | 3,786.81 | 3,786.81 | ||
| 12/24/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -200,000 | 1.0000 | 200,000.00 | |
| 12/24/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -450,000 | 1.0000 | 450,000.00 | |
| 12/26/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -100,000 | 1.0000 | 100,000.00 | |
| 12/27/01 | SOLD | THE TREASURERS FUND INC DOMESTIC PRIME MM PORTFOLIO | GTDXX | -600,000 | 1.0000 | 600,000.00 | |
| 12/27/01 | JOURNAL | THE TREASURERS FUND INC FROM: TDL * JRL * | GTDXX | 3,786.81 | |||
| 12/27/01 | JOURNAL | THE TREASURERS FUND INC TO: TDL * JRL * | GTDXX | -3,786.81 |
| DATE MO/DAY | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
| 12/31/01 | CLOSINGBALANCE | 3,162,235.72 | |||||
| TOTAL | -306,933.59 | $2,031,933.59 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE ($) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 12/03/01 | HCA INC (FRM HCA-HEALTHCARE COMPANY) REC 11/01/01 PAY 12/01/01 | HCA | 15,000 | 0.0200 | 300.00 | |
| 12/10/01 | LIZ CLAIBORNE INC REC 11/19/01 PAY 12/10/01 | LIZ | 1,400 | 0.1125 | 157.50 | |
| 12/10/01 | NORFOLK SOUTHERN CORP REC 11/02/01 PAY 12/10/01 | NSC | 7,800 | 0.0600 | 468.00 | |
| 12/10/01 | TARGET CORP REC 11/20/01 PAY 12/10/01 | TGT | 2,000 | 0.0550 | 110.00 | |
| 12/11/01 | OMNICARE INC REC 11/27/01 PAY 12/11/01 | OCR | 13,100 | 0.0225 | 294.75 | |
| 12/14/01 | CSX CORP REC 11/23/01 PAY 12/14/01 | CSX | 3,950 | 0.1000 | 395.00 | |
| 12/17/01 | EXPEDITORS INTERNATIONAL OF WASHINGTON INC REC 12/03/01 PAY 12/17/01 | EXPD | 2,100 | 0.1000 | 210.00 | |
| 12/17/01 | TRW INC REC 11/09/01 PAY 12/15/01 | TRW | 4,550 | 0.1750 | 796.25 | |
| 12/17/01 | TALBOTS INC REC 12/03/01 PAY 12/17/01 | TLB | 800 | 0.0800 | 64.00 | |
| 12/19/01 | MILLENNIUM CHEMICALS INC REC 12/03/01 PAY 12/19/01 FOREIGN TAX WITHHELD | MCH | 7,900 WH | 0.1500 | 118.50 | 1,185.00 |
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE ($) | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|
| 12/28/01 | ROYAL CARIBBEAN CRUISES LTD REC 12/17/01 PAY 12/28/01 | RCL | 8,650 | 0.1300 | 1,124.50 | |
| 12/28/01 | YORK INTERNATIONAL CORP NEW REC 12/19/01 PAY 12/28/01 | YRK | 7,250 | 0.1500 | 1,087.50 | |
| 12/31/01 | IMC GLOBAL INC REC 12/14/01 PAY 12/31/01 | IGL | 20,300 | 0.0200 | 406.00 | |
| TOTAL | -118.50 | $6,598.50 | ||||
| DATE | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | RATE (%) | DEBIT AMOUNT | CREDIT AMOUNT | ||
|---|---|---|---|---|---|---|---|---|
| 12/21/01 | INT CR | DEC 01 | 1,176.35 | |||||
| TOTAL | $1,176.35 | |||||||
| DATE MO/DAY | TRANSACTION | DESCRIPTION | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|
| 12/03/01 | JOURNAL | TO CLOSE LINE | 35,101.82 | |
| 12/03/01 | JOURNAL | CASH | 35,101.82 | |
| TO CLOSE LINE | ||||
| 12/07/01 | JOURNAL | 11/01 CLR CHG | 105.00 | |
| 12/27/01 | JOURNAL | FROM: TDL -USD * JRL * | 1,176.35 | |
| 12/27/01 | JOURNAL | TO: TDL -USD * JRL * | 1,176.35 | |
| TOTAL | -36,383.17 | $36,278.17 | ||
| SETTLEMENT DATE | TRADE DATE | TRANSACTION | DESCRIPTION | SYMBOL/CUSIP | QUANTITY | PRICE | DEBIT AMOUNT | CREDIT AMOUNT |
|---|---|---|---|---|---|---|---|---|
| 01/03/02 | 12/28/01 | SOLD | ADELPHIA COMMUNICATIONS CORP CL A | ADLAC | -5,600.00 | 30.4500 | 170,502.44 | |
| 01/03/02 | 12/28/01 | BOUGHT | MASCO CORP WITH RIGHTS TO PURCHASE PREFRD | MAS | 2,900.00 | 24.5848 | 71,484.92 | |
| 01/04/02 | 12/31/01 | BOUGHT | CHILDRENS PLACE RETAIL STORES INC | PLCE | 2,100.00 | 27.3235 | 57,394.35 | |
| 01/04/02 | 12/31/01 | BOUGHT | FOOT LOCKER INC | Z | 6,000.00 | 15.8389 | 95,453.40 | |
| 01/04/02 | 12/31/01 | SOLD | TRANSWITCH CORP | TXCC | -8,100.00 | 4.5223 | 36,372.08 | |
| TOTAL | $224,332.67 | $206,874.52 | ||||||