FINANCIAL TRUST COMPANY INC ACCT. For the Period 4/1/12 to 4/30/12 Account Summary Asset Allocation Beginning Ending Change Estimated Current Asset Allocation Market Value Market Value In Value Annual Income Allocation Equity Alternative Assets 26,341,181.35 25,684,137.78 (657,043.57) 90&228.75 36% 5% 3,950,250.00 3,930,232.50 (20,017.50) Cash 8 Fixed Income 41,883,149.54 42,471,759.42 808,609.88 2,152,583.78 59% Market Value Accruals $71,954,690.89 521,764.09 972,086,129.70 527,136.47 $131,648.81 5,372.38 $3,068,812.63 100% Market Value with Accruals $72,476,344.98 $72,613,266.17 $136,921.19 Portfolio Activity Current Penod Value Year-to-Date Value Beginning Market Value 71,954,580.89 69,262,768.82 Contributions 1928,454.65 Securities Transferred Out (1,027,912.76) Net ContrIbutionsMithdrawals $0.00 $641.89 Income & Distributions 299,530.11 1,054.244.22 Change In Investment Value (167.981.30) 1.768.574.77 Ending Market Value $72,088,129.70 $72,088,129.70 Accruals 527,136.47 527,136.47 Market Value with Accruals $72.813,268.17 972,613,268.17 JP Morgan Account W23560001 Page 2 of 26 Consolidated Statement Page 5 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-000 15827 SDNY_GM_00285025 EFTA01493004