HomeMy WebLinkAboutRegions 2080012514 Nov 2013 • J& REGIONS
REGIONS BANK ACCOUNT STATEMENT
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Table Of Contents
Balance Sheet 1
Summary Of Fund 2
Asset Summary As Of 11/302013 3
Summary Of Earnings 5
Chronological Schedule Of Transactions 6
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REGIONS BANK ACCOUNT STATEMENT Page 1
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Balance Sheet
AS OF 11 /01 /2013 AS OF 11 /30/2013
COST VALUE MARKET VALUE COST VALUE MARKET VALUE
A SS E T S':'
CASH 0.00 0.00 0.00 0.00
TOTAL CASH&RECEIVABLES 0.00 0.00 0.00 0.00
CASH AND EQUIVALENTS
SHORT TERM INVESTMENTS 8,243. 19 8,243.19 8,243.40 8,243.40
TOTAL CASH AND EQUIVALENTS 8,243.19 8,243.19 8,243.40 8,243.40
TOTAL HOLDINGS 8,243.19 8,243.19 8,243.40 8,243.40
TOTAL ASSETS 8,243.19 8,243.19 8,243.40 8,243.40
zL F A B. L I L B S i:
TOTAL LIABILITIES 0.00 0.00 0.00 0.00
TOTAL NET ASSET VALUE 8,243.19 8,243.19 8,243.40 8,243.40
TOTAL LIABILITIES AND EQUITY 8,243.19 8,243.19 8,243.40 8,243.40
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4PA REGIONS • •
REGIONS BANK ACCOUNT STATEMENT Paget
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Summary Of Fund
MARKET VALUE AS OF 11/012013 8,243.1 9
INTEREST 0.21
REALIZED GAIN OR LOSS 0.00
UNREALIZED GAIN OR LOSS 0.00
TOTAL MARKET VALUE AS OF 11/3012013 8,2 4 3.4 0
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REGIONS BANI( ACCOUNT STATEMENT Page 3
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Asset Summary As Of 11/30/2013
OF
DESCRIPTION MARKET VALUE COST PORT
SHORT TERM INVESTMENTS 8,243.40 8,243.40 100
TOTAL INVESTMENTS 8,243.40 8,243.40
CASH 0.00
DUE FROM BROKER 0.00
DUE TO BROKER 0.00
TOTAL MARKET VALUE 8,243.40
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REGIONS BANK ACCOUNT STATEMENT Page 4
CITY OF CARMEL REDEVELOP AUTHOR —
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Asset Detail As Of 11/30/2013
%OF
UNITS/BOOK VALUE DESCRIPTION MARKET VALUE COST PORT
SHORT TERM INVESTMENTS
CUSIP#617470582
8,243.4 MORGAN STANLEY INSTL LIQUIDITY 8,243.40 8,243.40 100
FUND TREASURY PORTFOLIO
8,243.40 8,243,40 100
TOTAL INVESTMENTS 8,243,40
CASH 0.00
DUE FROM BROKER 0.00
DUE TO BROKER 0.00
NET ASSETS 8,243.40
TOTAL MARKET VALUE 8,243.40
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REGIONS BANK ACCOUNT STATEMENT Page 5
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
Summary Of Earnings
INCOME EARNED
INTEREST 0.21
TOTAL INCOME EARNED 0.21
TOTAL INCREASES IN FUND VALUE 0.21
TOTAL DECREASES IN FUND VALUE 0.00
NET CHANGE IN NET ASSET VALUE 0.21
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REGIONS BANK ACCOUNT STATEMENT Page 6
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 208001 2514
OPERATION FUND
Chronological Schedule Of Transactions
DATE DESCRIPTION CASH COST
11 /01 /2013 BEGINNING BALANCE 0.00 8,243.19
11 /01 /2013 DIVIDEND ON MORGAN STANLEY INSTL 0.21 .00
LIQUIDITY FUND TREASURY
PORTFOLIO PAYABLE 11/01/2013
CUSIP#61747C582
11 /04/2013 PURCHASED.21 SHS MORGAN STANLEY .21 - 0.21
INSTL LIQUIDITY FUND TREASURY
PORTFOLIO ON 11/04/2013 AT 1.00
CUSIP#617470582
11 /30 2013 ENDING BALANCE 0.00 8,243.40
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REGIONS BANK ACCOUNT STATEMENT
CITY OF CARMEL REDEVELOP AUTHOR
COUNTY OPTION INCOME TAX LEASE Statement Period 11/01/2013 through 11/30/2013
RENTAL REV BONDS,SERIES 2006 Account Number 2080012514
OPERATION FUND
INVESTMENT AND INSURANCE PRODUCTS:ARE NOT FDIC INSURED,ARE NOT A DEPOSIT,ARE NOT BANK GUARANTEED,ARE
NOT INSURED BY ANY FEDERAL GOVERNMENT AGENCY,AND MAY GO DOWN IN VALUE.
IMPORTANT INFORMATION FOR REGIONS CORPORATE TRUST CUSTOMERS:
IN MAY 2009,A REGIONS AFFILIATE SOLD ITS MUTUAL FUND MANAGEMENT BUSINESS TO PIONEER INVESTMENT
MANAGEMENT, INC. UNDER THE TERMS OF THE CONTRACT REGIONS'AFFILIATE COULD BE REQUIRED TO REPAY SOME
PORTION OF THE PURCHASE PRICE IF REGIONS'NET REDEMPTIONS RATE EXCEEDS THE REDEMPTION RATE OTHERWISE
EXPERIENCED BY PIONEER BY CERTAIN LEVELS. THE CONTRACT ALSO PROVIDES THAT REGIONS'AFFILIATE MAY RECEIVE
50%OF PIONEER'S MANAGEMENT FEES, IF ANY,ON CERTAIN ACQUIRED MONEY MARKET ASSETS.
FOR MORE DETAILED INFORMATION REGARDING FEES PLEASE CONSULT THE FUND PROSPECTUS
OR CONTACT YOUR TRUST ADMINISTRATOR.
IMPORTANT DISCLOSURE INFORMATION FOR ALL FLORIDA ACCOUNTS:
AN ACTION FOR BREACH OF TRUST BASED ON MATTERS DISCLOSED IN A TRUST ACCOUNTING OR OTHER WRITTEN REPORT
OF THE TRUSTEE MAY BE SUBJECT TO A SIX MONTH STATUTE OF LIMITATIONS FROM THE RECEIPT OF THE TRUST ACCOUNTING
OR OTHER WRITTEN REPORT. IF YOU HAVE QUESTIONS,PLEASE CONSULT YOUR ATTORNEY.
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