J.P.Morgan FINANCIAL TRUST COMPANY INC ACCT For the Period 4/1/10 to 4/30/10 INFLOWS & OUTFLOWS Settlement Date Type Per Unit Description Quantity Amount Amount 4/16 Receipt of Assets SXSE DIVIDEND SWAP FIXED STRIKE EUR 113.30 NUMBER OF BASKET 88.261 MAT DEC 21 2011 DEAL 4444219 JPMORGAN CHASE BANK TRADE DATE 04/12/10 4e20 Free Delivery INTEREST RATE SWAP • FRA 500.000,000 USD NOTIONAL 3/15/2011 PAY: FLOATION RATE USD 3 MONTH LIBOR DEAL 255056959 0.815% REC FIXED, O ACT/360 SWAP UNWIND DEAL 255056959 JPMORGAN CHASE BANK TRADE DATE 04/16/10 4/20 Free Delivery INTEREST RATE SWAP - FRA 500,000,000 USD NOTIONAL 3/15/2011 PAY: FLOATING RATE USD 3 MONTH LIBOR DEAL 255345250 0.876% REC FIXED, O ACT/360 SWAP UNWIND DEAL 255345250 JPMORGAN CHASE BANK TRADE DATE 04/16/10 4/20 Misc. Receipt INTEREST RATE SWAP - FRA 500,000,000 USD NOTIONAL 3/15/2011 PAY: FLOATION RATE USD 3 MONTH LIBOR DEAL 255056959 0.815% REC FIXED, O ACT/360 SWAP UNWIND DEAL 255056959 88,261.000 (1.000) (1.000) 132,000.00 Account W23560001 Page 25 of 43 Page 26 of 49 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-000 10290 SDNY_GM_00279488 EFTA01488610