10 Account Number: FINANCIAL TRUST COMPANY INC October 01, 2004 - October 31, 2004 JPMorgan Chase Bank 2004 345 Park Avenue. New York, NY 10154-1002 II3 JPMorgan Private Bank Asset Account Portfolio Page 20 of 74 Treat Statement Date Otte *Po Deteriptien Settled continued Oct 20 Oct 22 Write Option EUR PUT USD CALL FX EUROPEAN STYLE OPTION APR 20, 2005 Q 1.255 Oct 25 Oct 25 Expired Opt GBP PUT USD CALL FX EUROPEAN STYLE OPTION MAR 07. 2005 @ 1.77 KNOCK IN e 1.775 KNOCK OUT O 1.84 Issued in USD Oct 25 Oct 25 Expired Opt GBP PUT USD CALL FX EUROPEAN STYLE OPTION MAR 07. 2005 @ 1.77 KNOCK IN @ 1.775 KNOCK OUT @ 1.84 Issued in USD Estimated Trade Settlernenr Oar. Date type Descripeon Gummy Quantity Prieettrti Lemke CesePteeteds Tax Cost Realend Satiates LASS USD - 20,000,000 2.45 614,950.00 GBP 7,000,000 0.00 329,574.00 329,574.00 S GBP 7,000,000 0.00 324,618.00 324,618.00 S Currency Realized Gumless Cluantny PnctiUntt Marker Cost/Proceeds Tax Cost USC Pending Nov 1 Expired Opt EUR CALL USD PUT USD - 10,000,000 0.00 FX EUROPEAN STYLE OPTION NOV 01, 2004 e 1.3 KNOCK OUT @ 1.1375 KNOCK OUT @ 1.21 BARRIER EXP 12/1/03 Oct 25 Dec 9 Dispose FX CoOlOstUSD SELL NZD FORWARD CONTRACT USD 6,973,000 0.00 FX RATE .6973000 TRADE 10/25/04 VALUE 12/09/04 0.00 - 56,447.00 - 56,447.00 S 0.00 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-00032783 SDNY_GM_00301981 EFTA01507708
