Deutsche Asset 1 & Wealth Management P0. Be, 1776. 8641M0111, MD 21203 Portfolio Holdings Deolsoc Boni Matt WHIM Maimpertale Wae. ( wrap Gwv• Oeslie Sink Setotalet Inc. Nai VolOINce 3411.04 *4MM. Now *AP. BY 10154 (MI 41WMA. Ns% 2111409S Statement Period: 12/01/2014 - 1 2/31/2011 Account Opening Date Quantity Number Activity Ending Opening Balance Closing Balance Accrued Income Income Ibis Year 30-Day Yield Current Yield Cash, Money Funds, and Bank Deposits 94.00% of Portfolio Cash Balance 0.00 166,911.94 Money Market DWS GOVERN M ENT CASH INSTL 11/29/14 24.494.282 380 0000001491 12/31111 24,493,658.23 24,494,282.38 0.00 5,356.51 0.03% 003% Total Money Market 124,193,658.23 324,191,282.38 $0.00 $5,356.54 FDIC Insured Bank Deposits INSURED DEPOSITS PROGRAM 11/29/14 A4G024935 12/31114 0.00 0.00 0 00 4.052 20 N/A NIA Total FDIC Insured Bank Deposits 30.00 30.00 $0.00 34,052.20 Total Cash, Money Funds, and Bank Deposits 324,493,658.23 $24,661,194.32 $0.00 $9,408.74 Unrealized Estimated Estimated Date Acquired Quantity Unit Cost Cost Basis Market Price Market Value Gain/ Loss Annual Income Yield Mutual Funds 6.00% of Portfolio JP M ORGAN FLOATING RATE IN COME FUND SELECT STARES Open End Fund Dividend Option: Reinvest: Capital Gains Option: Reinvest Security Identifier: JPHSX CUS1P 481211510 02113113 13 146,957.299 10.0700 1,500,000.00 9.1200 1,447,861.94 .521 82 351 046 61,817.27 4.26% 03!01113 13 533.017 10.0000 5362.413 9.1200 5.181.22 221.21 4.26% 04!01113 13 591.451 10.1100 5,979.61 9.1200 5.748.94 -230 67 245.45 4.26% 05!01113 13 562.992 10.1300 5,103.11 9.1200 5,472 28 -230 83 233.64 4.26% 06!03113 13 07101113 13 567.343 500.501 10.0900 9.9700 5,724.50 1.990.00 9.7200 9.7200 5.514.57 4.864.86 -209 93 235.45 207.71 4.26% 4.26% 08101113 13 09/03/13 13 527.827 531.248 10.0600 10.0300 5,309.94 5,328.42 9.7200 9.7200 5,130.47