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EFTA01279852.pdf

set10 Interestingness: 4/10 Original PDF ↗

AI Summary

This is a Fifth Third Bank investment account statement for Blue Chip Capital LLC from September 2014, showing a portfolio valued at approximately $500,766 with various mutual funds and ETFs. The account includes a pledge agreement related to a $750,000 loan. [Rating: 4/10 - Standard investment account statement with routine financial holdings and transactions, though the pledge agreement for a substantial loan adds some context]

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Extracted Entities

Name Type Context
Blue Chip Capital LLC organization Account holder for investment management agreement with Fifth Third Bank
Fifth Third Bank organization Financial institution managing the investment account and providing private banking services
Lauren Herrmann person Trust Officer listed on the investment account
Matt Weddi person Portfolio Manager for the investment account

Full Text

04-0930
FIFTH THIRD Investment Account - 09/01/2014 - 09/30/2014
PRIVATE BANK BLUE CHIP CAPITAL LLC IMA PLEDGE
FIFTH THIRD BANK
Investment Account INVESTMENT MANAGEMENT AGAEEMENT
Trust Officer: LAUREN HERRMANN OCR
Portfolio Manager: MATT WEDDI RUE CHIPCART/U. :LC REOCSO
INVESTMENT ALLOCATION SUMMARY
(au, and Eourralenm I% Last Statement This Statement Percent of Est. Annual Estimated
rowtoes • 99% Description Market Value Market Value Assets Income Yield
Cash and Equivalents $6,600.93 $6,927.24 1% $0.69 0.0%
Equities $509,150.03 $493,838.34 99% $4,728.55 1.0%
Administrative $1.00 $1.00 0% $0.00 0.0%
Total Account Value $515,751.96 $500,766.58 100% $4,729.24 0.9%
0 Net change In total account value (2.9) % Decrease
ACCOUNT SUMMARY ACCOUNT OVERVIEW
m Cash Investments* Total Current Period Calendar YTD
Beginning Balance $6,600.93 $509,151.03 $515,751.96 Income Earned
Income $863.56 $863.56 Interest $0.09 $15.22
Distribulions $(537.25) $(537.25) Dividends $863.47 53,622.43
m Change Market Value 5(15,311.69) 5(15,311.69) Total Income Earned $863.56 $3,637.65
Ending Balance $6,927.24 $493,839.34 $500,766.58 Distributions
Z Cash 5(537.25) 5(3,828.33)
'investments moment the both* in your "Nat bond st other scanty bOOnos
Total Distributions $(537.25) $(3,828.33)
Security Transactions
REALIZED GAIN LOSS SUMMARY
Purchases $0.00 $(611,688.70)
Sales $0.00 $119,326.23
Current Period YTD
Net Security Transactions $0.00 $(492,362.47)
Short-term gain/(loss) 5100 $117.00
r Change in Market Value $(15,311.69) $1,475.87
Long-term gain/floss) 10.00 $0.00
Net realized gain/(loss) $0.00 $117.00
SONA-04V-000KCEZ
INVESTMENT OBJECTIVE
Aooressive Growth
Long-term capital appreciation through aggressive long-term grov,tn of capital, an erpectation Cf a n go degree of principal
fluctuation.
Investment Account Page 1 of 6
EFTA01279852

FIFTH THIRD
PRIVATE BANK
Quantity Symbol
Cash & Equivalents
0.2400
6,927.0000
0
0
m
Equities
1,510.0000
m
Z 2,674.0000
5
1,358.0000
r
SONA-eiP-000£OCCE
Investment Account- 09/01/2014 - 09/30/2014
BLUE CHIP CAPITAL LLC IMA PLEDGE
Current Market 0/0 of Cost Unrealized Est. Annual Est.
Description Price Value Acct Basis Gain/ ( Loss) Income Yield
CASH $1.000 $0.24 0.0% $0.24
Uninvested Cash - Total $0.24 0.0% $0.24
FEDERATED PRIME VALUE $1&00 56,927.00 1.4% $6,927.00 $0.69
OBLIGATIONS FUND
SERVICE SHARES
CUSIP - 99FEDPV01
Taxable - Total $6,927.00 1.4% $6,927.00 $0.69
Cash & Equivalents - Total $6,927.24 1.4% $6,927.24 $0.69
IWD !SHARES RURRR L 1000 VALUE $100.090 $151,135.90 30.2% $144,016.38 $7,119.52 $3,060.77 2.0%
INDEX FUND
CUSIP - 464287598
PRGFX T ROWE PRICE GROWTH STOCK FD $54.850 $146,668.90 29.3% $143,901.98 ;2,766.92 $53.48
CUSIP • 741479109
Large Cap Domestic - Total $297,804.80 59.5% $287,918.36 $9,886.44 $3,114.25 1.0%
ABSYX AMERICAN BEACON FDS $26.180 $35,552.44 7.1% $36,453.78 $(901.34) $188.76 0.5%
SMALL CAP VALUE FO CL Y
CUSIP - 02368A182
324.0000 OH [SHARES CORE SO MID-CAP Elf $136.740 $44,303.76 8.8% $44,601.79 $(298.03) $569.59 1.3%
CUSIP - 464287507
1,901.0000 MSSGX MORGAN STANLEY INST SMALL CO GR $16.960 $32,240.96 6.4% $39,124.18 $(6,883.22)
CUSIP • 61744)309
Small & Mid Cap Domestic • Total $112,097.16 22.4% $120,179.75 $(8,082.59) $758.35 0.7%
1,160.0000 ARTIX ARTISAN INTERNATIONAL INV $30.040 $34,846.40 7M% $35,055.20 $(208.80) $338.72 1.0%
CUSIP - 04314H204
Investment Account Page 2 of 6
lA
EFTA01279853

040930
FIFTH THIRD Investment Account 09/01/2014 -09/30/2014
PRIVATE BANK BLUE CHIP CAPITAL LLC IMA PLEDGE
PORTFOLIO POSITIONS continued
Current Market Wo of Cost Unrealized Est. Annual Est.
uanttty Symbol Desert eon Price Value Acct Basis Gain/(Lou) Income Yield
Equities (continued)
356.0000 HIINX HARBOR INTERNATIONAL FUND-INV $68.120 $24,250.72 4.8% $25,137.16 5(886.44) $446.07 1.8%
CUSIP - 411511645
Developed International - Total $59,097.12 11.8% $60,192.36 $(1,095.24) $784.79 1.3%
321.0000 ODVYX OPPENHEIMEFt DVLPING MKTS-Y 538.420 $12,332.82 2.5% 512,782.22 $(449.40) 552.32 0.4%
CUSIP - 683974505
O 3,767.0000 WAFMX WASATCH FRONT EM SMALL COUNTRIES $3.320 $12,506.44 2.5% $11,564.69 $941.75 $18.84 0.2%
CUSIP - 936793819
Z EmegIng Markets - Totzd $24,839.26 5.0% $24,346.91 $492.35 $71.16 0.3%
T Equities - Total $493,838.34 98.6% $492,637.38 $1,200.96 $4,728.55 1.0%
I I
Administrative
1.0000 PLEDGE AGREEMENT W/ 5/3 $1.000 $1.00 0.0% $1.00
LOAN Y 0906220876 IN THE
AMOUNT OF $750,000.00
CUSIP - 9941152P7
Other Assets - Total $1.00 0.0% $1.00
Administrative - Total $1.00 0.0% $1.00
r Total Portfolio Positions $500,766.58 100.0% $499,565.62 $1,200.96 $4,729.24 0.9%
Co
0
Investment Accoun Page 3 of 6
EFTA01279854

FIFTH THIRD Investment Account - 09/01/2014 - 09/30/2014
PRIVATE BANK BLUE CHIP CAPITAL LLC IMA PLEDGE
Cost
Date Description Basis Cash
U.S. Government Interest
09/02/14 FEDERATED PRIME VALUE S0.09
OBLIGATIONS FUND
SERVICE SHARES
INTEREST
Total U.S. Government Interest $0.09
C) Dividends
O
09/30/14 (SHARES CORE S&P MID-CAP ETF $144.75
REGULAR DIVIDEND 09/30/14 OF .44674
;;E: ON 324 SHARES
M 09/30/14 ISHARES RUSSELL 1000 VALUE $718.72
INDEX FUND
REGULAR DIVIDEND 09/30/14 OF .47597
0m ON 1,510 SHARES
Total Dividends $863.47
72:
Trustee/Agent Compensation
H
09/22/14
r
D
34-JV-001106gE
FIFTH THIRD BANK $(537.25)
COMPENSATION AS OF 08/31/14
Total Trustee/Agent Compensation $(537.25)
Cash Equivalents Purchases
09/30/14 FEDERATED PRIME VALUE 5327.00 S(327.00)
OBLIGATIONS FUND
SERVICE SHARES
MONTHLY MONEY MARKET DEPOSIT
Total Cash Equivalents Purchases $327.00 $(327.00)
• ' ' ' End of '.tatemvnt for Investment Account • * *
Invasbnant Accou Page 4 of 6
EFTA01279855

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3d.JV-0017106g71
FIFTH THIRD Investment Account 09/01/2014 - 09/30/2014
PRIVATE BANK BLUE CHIP CAPITAL LLC IMA PLEDGE
EXPLANATION OF INVESTMENT MANAGEMENT AND TRUST ACCOUNT TERMS
I
Fifth Third woe. 'trios' fund lamas and may receive financial incentves ice the sale of certain mutual funds. Fifth The mar ' naneally hen the wept ci • . Yang pawnor,' •
anew and omit,' • -- • • • ', zee/lents are in addtuon to standard sales loads, annual serve. fees (leered to as Rule 12b4 fees), expense rr ,:v-rnents, subtransfer agent ler, • --teaming memo 2 , •
wicarkkon, pro, or.) " It (7 tr7 .. accounting and netwarliirg few), and any remburserrent for Mumma marketing sweet and tra ng-r,,l/ted expenses. For mare enfar,.luzi abet fees please al
retabonshp manage.
The bank may allow cash to be overdrawn from tee to tame E Mere K insufftoce available cash in me aconnt to fund the gates obligate. P1000eVer. aftOtlent %MCA; Of cash to the account may be maintained as a non-retest bearing depoet
in the account for such tin as required solh,:d the tine and dollammighted bass s equwalent to the to and delarmeghted basis the aggregated overdraft balances. These non-snares be dense are irrterded to ccmpernate the bank for any
overdrafts that prewar* awned.
0istrIbutlens veld tar check from plans are recessed through an omnibus account m the name of Frei Third Bank The float MOW on Osteitions commences non the riaance of the dardeutzn check. Tile flog penod on d stntutzons ends soca the
earlier of: gesentatice et the distributin check for peered, or the expiate. of le) days (Mean such un-cashed amounts wen be Naced bads unto the bud of the dot:Cube Mont Rog earnings associated wth the pawnets ale retained as
compensation for handling of beneft paymerts. Dstributons pad by deed depose, a eve, do not generate float earnings Caeldbulieto moved by Fred mad Bank ending investrtient direction from can fiduciaries ova be processed tycoon an
oennte account in the erne of Rfth Third Bank Float taming% associated wth ccetnbeens ale retained as compensation foe MrMmg oonmbuton weak Contributions receive Mere mere are gaming investment erectors, or vain ate received
wth specific mestmere direction sat not generate flag earnings. The float earnings reseed are calculated early upng me CUSTOM greens Cede* funds rate that is spectfied at the New Yolk Fed WCOSEIO:
httpllinwanewforkfed.org/markettrcenecerrylelfundega.dm.
Realtted Galn/ILoss) on Sale of Securities - has been compute by comparing the gang price of securities to me cog data. Mhough figures we intended to be accurate, Mecca data and realized gainAloss) data should not be used for tax purposes.
Please consult your tax advise.
The Current Pekes and It. Annual Income sham herein are Detained from somas that we believe are reliable, but they are not guaranteed aid are kited for prapases of eamaton only. The Est. Yield shawl herein represents the name
datributre rate that Is determined by dividing me S. annual game by the market value. This statement may mdude certain assets or class of assebk 'gluing but not limited to, non-peen traded and infrequently *tidal securibes, pooled private
investments, denvatries, pargershp interests and tangle assets for wren there is no reedy evadable market value. The values provided in Mrs statement for such assets are internally generated 'striates or vales which may have teen provided to us by
third parties veto nay net be independent of me oiler or manage. These valuations are unaudned and not guaranteed for secrecy. Moine vain or clamor. Sum valuations at generally based on the most recent values raided ce estmated.
However, update and (strata at only obtained on an infrequent bass. Lie Insurance pones, wth the exception of Tenn peas and Woup pages, ate priced at least annually based on info-mann provided by the issuer. Tern Life and Group Life
pens me valued at SI.00. The market value information furnithed on this statement has been Meted fret sources that we [reeve to be reliable and is furnished foe the exclaim use of the cant. We make no regesentaten, warranty a
or embed, that any stated value represents the ual price at With the asset could be bought or sold or new transactors could be entered Into, or that such value represents the actual tees upon stitch exams tansactons could be completed.
=ally, you may not rely on dual valuation ke tax reapcot-tog. oldie agitate's etc.
The Change Ian Market Value represents the torten of me overall change in wur ervestrmem acccont balance between Th' Statement and lag Statement the is the result of changes in the vale of me 'tomtits held in your portion due to market
fluctuations.
The Net change In total account value % represents me percentage that your Taal Account Value riotased or decreased between Ths Statement and Last Statement It is emanated by subtracting Total Account Value Last Statement from Tots
Want Vale This Statement and then &erg by Reel Account Value Last Statement. This percentage change does Bat represent the investment performance of your account
A copy of the meet recent audited financial elteteineMs for YtUf <OTTO!, or matte hand holdings game of the proepedus for any of your mutual fund hoeings is available upon request. Meese anted your trust pincer for guidance on him to
request a <coy.
Frith Third Private Bank is a division of Fifth Third Bank offering banking, investment and insurance products and
services. Fifth Third Bancorp provides access to investments and investment services through various subsidiaries.
Securities, Investments and Investment Services:
Are Not FDIC Insured Offer No Bank Guarantee May Lose Value
Are Not Insured By Any Federal Government Agency Are Not A Deposit
Insurance products made available through Fifth Third Insurance Agency, Inc.
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EFTA01279856

EFT,00140955
CONFIDENTIAL
SONY_GM_000303.37
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EFTA01279857