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EFTA01493265

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FINANCIAL TRUST COMPANY INC ACCT. For the Period 7/1/12 to 7/3I/12 Account Summary Asset Allocation Beginning Ending Change Estimated Current Asset Allocation Market Value Market Value In Value Annual Income Allocation Equity Alternative Assets 25.272,558.04 24,639,233.04 (633,325.00) 947,766.75 34% (1,343,087.25) (223,035.51) 1,120,051.74 Cash 8 Fixed Income 45,859,545.38 47,083,776.76 1224,231 40 2.592.223.93 66% Market Value Accruals $69,789,016.16 695,726.36 $71,499,974.29 873,342.00 $1,710,968.14 177,615.64 $3.639,990.68 100% Market Value with Accruals $70,484,742.61 372,373,318.28 $1,888,873.78 Portfolio Activity Current Period Value Year-to-Date Value Beginning Market Value 69,789,016.15 69,262.768.82 Contributions 1,026,454.65 ViAthdrawals 8 Fees (18,232.41) Securities Transferred Out (1.027.912 76) Net ContributionslWithdrawals $0.00 ($15,690.52) Income & Distributions 232.026.42 1,534,597.63 Change In Investment Value 1,478,931.72 718,298.36 Ending Market Value 871,499,974.29 871,499,974.29 Accruals 873,342.00 873.342 00 Market Value with Accruals $72,373,316.29 $72.373.316.29 JP Morgan Cash Fixed Income Account Page 2 of 28 Consolidated Statement Page 5 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-00016109 SDNY_GM_00285307 EFTA01493265