2010 Fact Book
2010 Fact Book
2010 Fact Book
2010
Fact Book 2010
• Major events of the Hong Kong securities and derivatives markets 2010
• Market highlights
• Derivatives market
– equity index products
– interest rate products
– equity products
– commodity products
– historical section
• Clearing statistics
• Exchange participants
• Clearing participants
• Appendices
The Year 2010 in Review
The Year 2010 in Review
The HKEx markets achieved a sustainable recovery in the second year after the Global Financial Crisis in 2008/09. The total market
capitalisation of the securities market (including the Main Board and the Growth Enterprise Market (GEM)) at the end of 2010 was
HK$21,077.0 billion, 18% higher than the year-end total market capitalisation in 2009. The highest single-day turnover (excluding
days with half-day trading) in the securities market of the year was HK$139.1 billion on 14 October 2010 while the lowest level was
HK$34.2 billion on 18 February 2010 (compared to the high of HK$146.8 billion and the low of HK$28.6 billion in 2009).
At the end of 2010, there were 592 Mainland enterprises listed on the Main Board and GEM, constituting 57% by market
capitalisation and 66% by annual turnover value. In 2010, total equity funds raised was HK$858.7 billion, with 113 newly listed
companies on the Main Board and GEM raising HK$449.5 billion. Both the funds raised by initial public offers (IPOs) and the total
equity funds raised in the year were record highs.
The Hang Seng Index (HSI) reached its highest closing level of the year at 24,964 points on 8 November 2010 and closed
at 23,035 points on 31 December 2010, up 5% from the previous year’s closing. At the end of 2010, the Hang Seng China
Enterprises Index (H-shares Index) closed at 12,692 points, a year-on-year decrease of 1%; the Hang Seng China-Affiliated
Corporations Index (the Red-Chips Index) closed at 4,170 points (up 3% from the end of 2009); and the S&P/HKEx GEM Index
closed at 810 points (up 20% from the end of 2009).
Trading on both the Main Board and GEM continued to improve. Total securities market turnover in 2010 was HK$17,210.1 billion,
an increase of 11% compared with the year 2009. The average daily turnover of the securities market was HK$69.1 billion, a year-
on-year increase of 11%.
In 2010, the annual trading volume of the HKEx derivatives (futures and options) market increased by 18% from 2009 to an all-
time high of 116 million contracts. The average daily derivatives turnover in 2010 increased by 18% to 467,961 contracts (173,413
contracts in futures and 294,548 contracts in options).
STOCK MARKET
Market development
In 2010, the Government, the Securities and Futures Commission (SFC) and HKEx put in further efforts to enhance investor
protection and market transparency. The development of renminbi (RMB) business in Hong Kong also made significant progress in
the year.
In March, the Financial Services and Treasury Bureau (FSTB) published a consultation paper to seek market views on the
implementation of a statutory obligation for disclosure of price sensitive information by listed companies. In December,
the FSTB announced the establishment of a Financial Dispute Resolution Centre (FDRC) by mid 2012 to provide a speedy
and affordable way to handle monetary disputes between consumers and financial institutions. The FSTB would also set up an
Investor Education Council to enhance investor education.
In March, the SFC announced, after public consultation, the decision to implement a new short-position reporting regime by
subsidiary legislation to improve the transparency of short-selling activities in Hong Kong. Under the regime, the SFC would
publish on a weekly basis the aggregate short position of each stock, based on weekly reports submitted by market participants.
HKEx undertook a number of initiatives in the year to improve investor protection, and streamlined rules and procedures to
facilitate listings, securities offers and compliance. A total of six consultation papers on listing matters were published by HKEx
in 2010, namely: (i) a proposed change in the minimum number of shareholders required for applicants listing under the Market
Capitalisation / Revenue Test of the Main Board Listing Rules from 1,000 to 300 shareholders; (ii) proposals to relax the Listing
Rules on notifiable and connected transactions in which property developers acquire government land through public auctions or
tenders in their ordinary and usual course of business, and the Rules on the treatment of joint ventures; (iii) proposals to streamline
property valuation requirements; (iv) proposed changes to the current market practice of ex-entitlement trading; (v) proposed
changes to the Code on Corporate Governance Practices and certain Listing Rules relating to corporate governance; and (vi)
proposed changes to the requirements for debt securities for professional investors only (currently referred to in the Rules as listing
by selective marketing).
In addition, HKEx published a total of five consultation conclusions on listing matters during the year, namely: (i) new Listing
Rules for mineral companies for both the Main Board and Growth Enterprise Market; (ii) proposed changes to connected
transaction Rules; (iii) proposals to streamline requirements for issuers’ circulars and listing documents; (iv) proposed issue of
paper application forms with electronic prospectuses; and (v) proposal to accept Mainland accounting and auditing standards and
Mainland audit firms for Mainland incorporated companies listed in Hong Kong.
HKEx also undertook further enhancements in listing services in the year. It is developing a web-based Structured Products
Integrated Transaction System (SPRINTS) that allows structured product issuers to submit term sheet data electronically to the
Stock Exchange of Hong Kong (SEHK or the Exchange) in a standardised format known as Extensible Markup Language (XML).
User acceptance testing of SPRINTS is in progress and HKEx would continue to work closely with issuers towards successful
implementation of the new system in the second quarter of 2011.
In October, HKEx issued interim guidance on pre-IPO investments to provide the market with more clarity on the Exchange’s
practice pending consideration of possible amendments to the Listing Rules. In November, HKEx and the SFC introduced new
measures to raise investors’ awareness of exchange-traded funds (ETFs) that primarily adopt a synthetic replication strategy.
The new measures, with support from the industry, were in line with the Exchange’s ongoing efforts to strengthen protection for
investors.
The post-vetting regime for issuer announcements, which was launched in 2008 to replace the pre-vetting regime to raise the
efficiency in information disclosure, entered Phase 2 in 2010 –– the Exchange ceased to pre-vet announcements for major and
connected transactions from 1 January 2010. The Exchange would continue monitoring the market situation before implementing
the final phase of the post-vetting regime, which would cover transactions involving reverse takeovers, cash companies and
sufficiency of operations or assets.
Major developments in the Mainland-Hong Kong financial relationship were observed in 2010 that support the further development
of the Mainland dimension of the HKEx markets.
In January, the Hong Kong Government and the Shanghai Municipal Government signed a memorandum of understanding
(MOU) on advancing the financial cooperation between Hong Kong and Shanghai. This MOU fosters a closer link between the
Shanghai Stock Exchange (SHSE) and HKEx. Representatives from HKEx and the SHSE also met in the same month to discuss
further cooperation under an agreement signed in January 2009 on promoting mutual prosperity and contributing to the greater
development of China’s economy. A joint announcement on cooperation was made following the discussion.
In December, the new Rules on the adoption of the proposal to accept Mainland accounting and auditing standards and
Mainland audit firms for Mainland incorporated companies listed in Hong Kong became effective.
HKEx markets’ international dimension also saw major progress. During the year, the newly added acceptable overseas
jurisdictions for the listing of overseas companies on the Exchange were Brazil, Isle of Man, Italy, Japan and the United States
of America-California. There were two landmark foreign listings on the SEHK in 2010. In January, United Company RUSAL Plc
was listed as the first Russian company listing on the SEHK. In December, Vale S.A., a Brazilian mining company, was listed on the
SEHK in the form of Hong Kong depositary receipts (HDRs), the first HDR listing in Hong Kong.
Apart from a MOU signed between HKEx and BM&FBOVESPA (i.e. Brazil Stock Exchange) in November 2010 in relation to the
dual listing of Vale S.A., HKEx’s cooperation with other exchanges was also deepened. MOUs were signed with three Asian
exchanges in 2010, namely Korea Exchange (KRX) in May, Vietnam’s Hanoi Stock Exchange (HNX) in July and Taiwan’s GreTai
Securities Market (GTSM, a market for over-the-counter (OTC) securities trading in Taiwan) in October.
In 2010, HKEx undertook a number of key initiatives to enhance its market infrastructure.
In January, HKEx successfully rolled out its technically revamped Third Generation Automatic Order Matching and Execution
System which is also known as AMS/3.5. Order processing capacity of AMS/3.5 has been doubled to 3,000 orders per second,
with the average latency reduced to 0.15 second.
In October, HKEx announced plans to further upgrade its trading system and market data system to version 3.8 by the end of
2011. Order processing capacity of AMS/3.8 would then be raised ten-fold to 30,000 orders per second with the average latency
reduced to around 9 milliseconds, 16 times faster than the present. Market data broadcast rate would also be increased.
In February 2010, HKEx accepted the offer of a land site in Tseung Kwan O Industrial Estate to build the Next Generation Data
Centre (NGDC). Planning and development works began immediately after taking possession of the land site in June. The NGDC
would be equipped with modernised facilities and infrastructure to consolidate the primary data centres for all HKEx’s markets
and clearing houses systems, and the IT development and support staff. Hosting services, which serve to offer low-latency
co-location with HKEx’s markets, would also be available at the NGDC.
In November, HKEx announced a two-phase extension of the trading hours of its securities and derivatives markets. Starting on
7 March 2011, the continuous trading session of HKEx’s securities market would be from 9:30 am to 12:00 noon and from 1:30 pm
until 4:00 pm. Beginning on 5 March 2012, the continuous trading session of HKEx’s securities market would be from 9:30 am to
12:00 noon and from 1:00 pm until 4:00 pm.
In respect of the clearing and settlement system, a number of initiatives were launched in the year to enhance market efficiency
and risk management. The consultation conclusions on T+2 Finality for money settlement in Central Clearing and Settlement
System (CCASS), which aimed at reducing overnight counterparty risks faced by Hong Kong Securities Clearing Co Ltd (HKSCC)
and its participants, were published in August. General market support was obtained and the T+2 Finality arrangement, with minor
modifications of the proposal, was expected to be implemented in the third quarter of 2011.
Progress was made in the OTC clearing business of HKEx in 2010. In April, HKSCC admitted OTC structured products,
including but not limited to equity linked investment (ELIs) and equity linked notes (ELNs), that are authorised by the SFC into
CCASS in order to provide a lower-cost option to issuers of OTC structured products and to facilitate more efficient settlement of
the underlying Hong Kong-listed securities upon expiry.
In December, HKEx announced the establishment of a clearing house for derivatives traded in Hong Kong’s OTC market to
support global regulatory initiatives and take advantage of business opportunities in OTC derivatives clearing. At the same time,
the HKMA announced the establishment of a local trade repository as a centralised registry that maintains an electronic database
of OTC derivatives transactions. The new OTC market facilities would be launched by the end of 2012.
Further improvements were made in HKEx’s data services in the year. The Free Prices Website Service, which provides free
real-time basic market prices from HKEx’s securities market to the public through designated websites, was officially launched in
January. Noting the overwhelming interest in the service from a review of the Pilot Programme introduced in October 2009 prior
to the service’s official launch, HKEx decided to re-package the Free Prices Website Service as the Basic Market Prices Service
(BMP Service), a standard market data service under the vendor licensing regime for all interested Information Vendors (IVs)
beginning 1 April 2011. A similar BMP Service in relation to HKEx’s Derivatives Market data would also be introduced at the same
time for separate subscription. In December, HKEx introduced a Single Licence regime for IVs to simplify its dealings with the IVs
distributing information from its securities and derivatives markets.
In May, HKEx signed the Index Distribution Agreement with China Securities Index Co Ltd (CSIC), a joint venture between the
SHSE and the Shenzhen Stock Exchange (SZSE) for the distribution of the CSIC Indexes via the HKEx market data platform. Since
5 July 2010, 3 CSIC Indexes, namely CSI 300 Index (CSI 300), CSI Hong Kong 100 Index (CSI HK100) and CSI Cross-Straits 500
Index (CSI Cross-Straits 500), have been disseminating through the HKEx platform.
Transaction costs and industry operating costs were also lowered in the year. In October, the 25% reduction in the SFC’s levy
on securities and derivatives transactions took effect. In September, HKEx introduced automated stamp duty reporting and
payment service to facilitate Exchange Participants (EPs)’ operations. Under the new arrangement, EPs can submit their stamp
duty reports to HKEx via its new web-based Electronic Communication Platform and the stamp duty due is debited from the EP’s
designated bank account automatically.
There were 1,244 listed companies on the Main Board by the end of 2010 (1,145 in 2009), with a total market capitalisation of
HK$20,942.2 billion, an 18% increase from HK$17,769.3 billion of 2009. Among the listed companies on the Main Board, 526
(42%) were Mainland enterprises –– 128 H-share companies, 97 red-chip companies and 301 non H-share Mainland private
enterprises (NHMPEs). They had a year-end market capitalisation of HK$5,210.3 billion, HK$4,380.7 billion and HK2,274.9 billion
respectively, and constituting a total of 57% of the Main Board market capitalisation. During the year, 106 companies were newly
listed on the Main Board. Excluding 12 companies transferred from GEM and seven companies listed by way of introduction, the
87 newly listed companies with share offerings (including 12 H-share companies) raised a total of HK$444.3 billion of new capital.
Among the new listings was the H shares of Agricultural Bank of China (ABC). ABC’s H shares IPO in Hong Kong, together with
its A shares offering in Shanghai, raised US$22.1 billion (HK$172 billion) and was the largest IPO in world history. In October, AIA
Group Ltd was listed on the SEHK. Its IPO in Hong Kong, raising HK$159.1 billion, was the largest IPO in Hong Kong’s market
history and the third largest in the world.
The total turnover of Main Board equities was HK$12,277.7 billion in 2010, up 6% from total equity turnover in 2009. Equity
turnover constituted 72% of the total turnover of all securities on the Main Board, down from 75% in 2009.
There were 12 equity warrants newly issued in 2010 with a premium of HK$26.03 million while 11 equity warrants were issued in
2009 without premium. At the end of 2010, the Main Board had 22 listed equity warrants with annual turnover value increasing by
242% from the previous year to HK$1,790.05 million.
The year-end number of listed debt securities in 2010 was 169, compared to 157 in 2009. The total turnover of debt securities in
2010 was HK$1.58 million, a year-on-year decrease of 60%. A total of 38 debt securities were newly listed during the year (23 in
2009), raising new funds of HK$140.3 billion, 196% more than that in 2009.
In 2010, HKEx saw the first listings of RMB-denominated bonds on its market. The first listing was the Asian Development Bank’s
(ADB) RMB1.2 billion 10-year bonds in October. This was followed by the RMB1.4 billion 3-year bonds of Galaxy Entertainment
Group Ltd in December. Both bonds were offered as selectively marketed securities to professional investors only, tradable in
RMB on HKEx’s market and settled through the Central Moneymarkets Unit (CMU) of the HKMA. No trading of these bonds on
HKEx was recorded in 2010.
Main Board — Unit trusts and mutual funds (including ETFs and REITs)
At the end of 2010, there were 79 listed unit trusts/mutual funds, compared with 52 at the end of 2009. Among them, there were
69 ETFs and eight real estate investment trusts (REITs). There were 27 newly listed unit trusts/mutual funds in 2010, comprising 26
ETFs and one REIT. The annual turnover value of this segment increased by 19% to HK$649.1 billion, of which HK$604.5 billion
(93%) and HK$43.9 billion (7%) were contributed by ETFs and REITs respectively. The total turnover in this segment constituted
4% of the total turnover of all securities in the Main Board (similar to its contribution in 2009). In 2010, the ETF segment had an
average daily turnover of HK$2.4 billion, 4% of the Main Board’s average daily turnover.
In 2010, three new ETF managers from the Mainland — China International Capital Corporation Hong Kong Asset Management Ltd,
Da Cheng International Asset Management Company Ltd and Ping An of China Asset Management (Hong Kong) Company Ltd —
started to list their ETFs on the Exchange. The number of ETF managers has increased to 13.
Main Board — Structured products (Derivative Warrants and Callable Bull/Bear Contracts (CBBC))
In 2010, 7,826 derivative warrants were newly listed (4,230 in 2009), with a total notional amount of HK$328.1 billion (up 25%
from HK$263.3 billion in 2009). The year-end number of listed derivative warrants was 5,148. The total turnover value of derivative
warrants for the year was HK$2,692.4 billion (up 63% from 2009), accounting for 16% of the total turnover of all securities on the
Main Board (up from 11% in 2009).
The number of newly listed CBBCs in 2010 was 6,541 (8,072 in 2009), with a total notional amount of HK$360.1 billion (down
31% from HK$519.3 billion in 2009). The year-end number of listed CBBCs was 1,064. In 2010, the total turnover value of CBBCs
decreased year-on-year by 13% to HK$1,455.4 billion, which was 9% of the total turnover of all securities on the Main Board
compared with 11% in 2009.
At the end of 2010, there were 169 listed companies on GEM (174 in 2009) with a total market capitalisation of HK$134.7 billion, an
increase of 28% from HK$105.0 billion as at the previous year-end. Among these companies, 66 (39%) were Mainland enterprises
–– 35 H-share companies, 5 red-chip companies and 26 NHMPEs. They had a year-end market capitalisation of HK$20.1 billion,
HK$5.3 billion and HK$44.4 billion respectively, constituting in total 52% of the GEM market capitalisation. There were 7 newly
listed companies in 2010, raising capital of HK$0.6 billion. The total turnover value on GEM in 2010 was HK$133.7 billion, up 76%
from the previous year.
The number of companies transferred from GEM to the Main Board during 2010 was 12, compared to 4 in 2009.
Trading-only market
At the end of 2010, two ETFs and seven Nasdaq stocks were quoted on the trading-only market, unchanged since 2001. Turnover
was HK$2.02 million in 2010 compared to HK$2.07 million in 2009.
DERIVATIVES MARKET
Several new initiatives were launched on the HKEx derivatives market during the year. Flexible index options were launched in
February on the HSI and the H-shares Index to capture OTC business. Financial institutions can customise the contract terms
of these options, i.e. strike prices and expiration dates, and execute these trades through the Block Trading Facility on HKEx’s
derivatives market.
In May 2010, HKEx improved its Block Trade Facility by relaxing the pre-defined permissible price range for block trades to
give market participants greater flexibility in executing block trades. In October 2010, it upgraded the capacity of its derivative
trading system, HKATS, from the original 8,100 order book changes per second (OBC/S) to 21,000 OBC/S.
Rule amendments were made in mid 2010 to enable listing of new stock option classes with contract sizes of more than one
underlying board lot, thereby enhancing trading efficiency and lower trading costs for market participants. A total of 6 new stock
option classes were introduced for trading in 2010, namely options on Agricultural Bank of China Limited and two ETFs (iShares
FTSE A50 China Index ETF and W.I.S.E. - CSI 300 China Tracker) in July, AIA Group Limited in October, and Yanzhou Coal Mining
Company Limited and China Pacific Insurance (Group) Co., Ltd in December. Except for Yanzhou, the other 5 new stock option
classes had contract sizes of multiple underlying board lots. In addition, the new option classes on the two ETFs were also the first
of HKEx options on A shares-related ETFs.
In June, the coverage of the narrowest set of strike intervals was expanded to cover all stock option classes. In addition, all
stock option classes would have the third quarter expiry month available for trading. These changes would broaden the choices for
the participants in HKEx’s stock options market.
In November, HKEx commenced trading of HSI Dividend Point Index Futures and HSCEI Dividend Point Index Futures to
provide market participants with hedging tools in relation to dividend risk and further complement its existing suite of Hang Seng
Index products.
The total trading volume of HKEx derivatives market in 2010 reached an all-time high of 116.05 million, up 18% from 2009. This
is mainly attributable to an active options market. Almost all types of options (except the newly introduced flexible index options)
achieved record trading volume during the year. Mini H-shares Index futures in the futures market also reached record level of
trading volume in the year.
HSI futures remained the largest volume contributor in the futures market in 2010 with a contribution of 49%. This product had a
total trading volume of 21.03 million contracts during the year (up 1% from 2009) and a year-end open interest of 88,816 contracts.
The second largest volume contributor was the H-shares Index futures with a 29% contribution. The product traded 12.43 million
contracts in 2010 (up 0.3% from 2009) and had a year-end open interest of 94,734 contracts. Mini H-shares Index futures, the only
futures product with new record trading volume in 2010, traded 992,224 contracts (up 24% from 2009). On the other hand, the
trading volume of Mini-HSI futures and stock futures in 2010 decreased year-on-year by 11% and 12% to 8.30 million contracts
and 0.24 million contracts respectively. The newly introduced HSI Dividend Point Index Futures and HSCEI Dividend Point Index
Futures recorded in aggregate a trading volume of 6,790 contracts in the last two months of 2010 since their launch (0.02% of all
futures volume). At the end of 2010, there were 38 stock futures classes, same as the year-end number of 2009.
Total options trading volume in 2010 increased year-on-year by 33% to reach an all-time high of 73.04 million contracts. Stock
options had an annual trading volume increase of 29% to 61.13 million contracts in 2010, contributing 84% of the total options
volume and 53% of total futures and options volume. The year-end stock options open interest was 5.38 million contracts, an
increase of 40% from the previous year. The number of stock options classes at the end of 2010 was 57, compared to 51 at the
end of 2009. The total premium of stock options trading for 2010 was HK$55.6 billion, a decrease of 25% from 2009.
In 2010, the trading in HSI options, Mini-HSI options and H-shares Index options also recorded significant growth. The trading
volume of these three types of options for 2010 increased by 59%, 68% and 48% from the previous year to 8.52 million contracts,
0.48 million contracts and 2.91 million contracts respectively. Flexible index options on the HSI and the H-shares Index launched
in February recorded in aggregate a trading volume of 13,754 contracts in the year (0.02% of all options volume).
The trading of non-equity derivative products (comprising gold futures, HIBOR futures and Exchange Fund Note futures) remained
low in 2010, contributing in aggregate less than 0.01% of total futures and options volume.
Month Event
January On 1 January, the post-vetting regime for issuer announcements (launched in 2008 to replace the pre-vetting
regime to raise the efficiency in information disclosure) entered Phase 2. The Stock Exchange of Hong Kong
(SEHK) ceased to pre-vet announcements for major and connected transactions.
On 16 January, Mr. Charles Li Xiao Jia assumed office as the chief executive of HKEx.
On 18 January, HKEx upgraded the Third Generation Automatic Order Matching and Execution System
(AMS/3) to AMS/3.5. The upgraded system doubled order processing capacity to 3,000 orders per second and
halved the system response time to 0.15 second.
On 27 January, United Company RUSAL Plc, an aluminium producer from Russia, was listed on the SEHK as
the first Russian company listed in Hong Kong.
February On 8 February, HKEx launched Flexible Index Options (FIOs), a new type of options contract with customised
contract terms, on the Hang Seng Index (HSI) and the Hang Seng China Enterprises Index (H-shares Index).
On 11 February, the Hong Kong Monetary Authority (HKMA) issued a circular to all authorised institutions (AIs)
in Hong Kong to elucidate the supervisory principles and operational arrangements regarding renminbi (RMB)
business in Hong Kong. The clarification in effect expanded the room for developing RMB banking businesses
in Hong Kong.
On 22 February, HKEx announced the development of a next-generation data centre with a plan to relocate the
primary data centre for its securities market to the new data centre in the fourth quarter of 2012. HKEx further
announced on 22 November that hosting services would be provided at the new data centre.
March On 2 March, the Securities and Futures Commission (SFC) published consultation conclusions to implement a
new short-position reporting regime to enhance the transparency of short-selling activities in Hong Kong.
After 5 March, all Trading Rights conferred on the then shareholders of the Stock Exchange and the Futures
Exchange became non-transferable pursuant to the Scheme Document of the merger of the two Exchanges
and their clearing houses.
April On 7 April, the Hong Kong Government and the Guangdong Government signed the Framework Agreement on
Hong Kong/Guangdong Cooperation, which was endorsed by the State Council. The specific policies outlined
in the agreement included enhancing Hong Kong’s position as an international financial centre.
On 22 April, the SFC published consultation conclusions to bring the regulation of public offers of all unlisted
structured products (regardless of their legal form) under the Securities and Futures Ordinance (SFO). The
purpose was to rationalise the regulatory requirements for public offers of structured products.
On 26 April, Hong Kong Securities Clearing Co Ltd (HKSCC) admitted over-the-counter (OTC) structured
products authorised by the SFC into the Central Clearing and Settlement System (CCASS) of HKEx’s securities
market, thereby broadening asset classes in its eligible securities.
May On 20 May, HKEx published consultation conclusions to adopt certain changes to the Listing Rules to
streamline the requirements for circulars and listing documents and certain connected transactions.
On 24 May, HKEx extended the acceptable prices at which block trades can be executed in its derivatives
market, based on certain new criteria, to give market participants more flexibility in executing block trades.
On 24 May, HKEx Information Services Ltd (HKEx-IS) and China Securities Index Co Ltd (CSIC) signed an
agreement for the distribution of CSIC Indexes via the HKEx-IS market data platform, starting from 5 July
2010.
On 27 May, the Mainland Government and the Hong Kong Government signed Supplement VII to the Mainland
and Hong Kong Closer Economic Partnership Arrangement (CEPA 7). The Mainland market would be further
opened to 14 service industries, including banking and securities. The launch of ETFs on Hong Kong stocks on
the Mainland market would be studied.
On 28 May, the SFC published consultation conclusions to adopt new measures to strengthen the regulatory
regime governing the sale of investment products. The proposed measures included a post-sale “cooling-off”
period or “unwinding” right for certain unlisted products.
June On 1 June, HKEx expanded the coverage of Strike Interval Group B, the narrowest set of strike intervals, to all
stock option classes and made available the third quarter expiry month for all stock option classes.
On 3 June, new Listing Rules for mineral companies came into effect to ensure the provision of material,
relevant and reliable information about these companies to investors, and to align with global standards.
On 25 June, the SFC published consultation conclusions to extend immediately the Codes on Takeovers
and Mergers and Share Repurchases to real estate investment trusts (REITs). The market misconduct and
disclosure of interests provisions in the SFO would also be applied to listed collective investment schemes
(CISs).
On 25 June, the SFC published consultation conclusions to relax, with immediate effect, the pre-vetting
requirements and to adopt post-vetting requirements for certain routine takeovers-related announcements.
July On 7 July, Hang Seng Indexes Co Ltd (HSI Co Ltd) launched the Hang Seng Corporate Sustainability Index
Series, the first index series of its kind to focus exclusively on Hong Kong and Mainland China.
On 12 July, HKEx launched options on the iShares FTSE A50 China Index ETF and the W.I.S.E. – CSI 300
China Tracker. These were the first HKEx options on A shares-related ETFs.
On 12 July, HSI Co Ltd launched the Hang Seng Dividend Point Index Series to track cash dividends from
constituent stocks of the HSI and the H-shares Index. HSI Co Ltd also started real-time dissemination of its
benchmark indexes, including the Hang Seng Composition Index, which were previously disseminated on a
daily basis.
On 16 July, Agricultural Bank of China (ABC) was listed on the SEHK. Its initial public offering (IPO) totalling
US$22.1 billion with H shares in Hong Kong and A shares in Shanghai was the world’s largest IPO. On the
same day, options on ABC were introduced for trading in the stock options market.
On 19 July, the People’s Bank of China (PBOC) and the HKMA signed a supplementary Memorandum of Co-
operation on the expansion of the RMB trade settlement scheme. On the same day, the PBOC and Bank of
China (Hong Kong) Ltd (the RMB clearing bank in Hong Kong) signed a revised settlement agreement which
allows any corporation, including financial institutions, in Hong Kong to open RMB bank accounts. These
agreements are major steps towards the launch of RMB investment products in Hong Kong.
August On 13 August, HKEx published consultation conclusions on introducing a T+2 Finality arrangement for
securities market money settlement in CCASS to reduce overnight counterparty risks faced by HKSCC and its
participants. The new arrangement would be implemented in the third quarter of 2011.
September On 20 September, HKEx introduced automated stamp duty reporting and payment service to facilitate
operations of Exchange Participants.
On 21 September, the SFC, HKEx and the Federation of Share Registrars Ltd (FSR) jointly published
consultation conclusions to introduce a scripless securities market in Hong Kong. The first phase of the
scripless regime would be implemented in late 2013.
October On 1 October, a 25% reduction in the SFC’s levy payable in respect of trading in securities, futures and
options contracts took effect.
On 8 October, HKEx published an information paper about the upgrades of its trading system and market data
system to version 3.8 by the end of 2011. Enhancements would include significant increases in the speed and
processing capacity of the trading system and the market data dissemination throughput.
On 13 October, the Listing Committee of the SEHK published interim guidance on the timing of pre-IPO
investments in companies to be listed on the SEHK to ensure the fairness of pre-IPO investments relative to
IPO investments.
On 18 October, HKEx implemented phase 1 of the capacity and technology upgrade of the Hong Kong
Futures Automatic Trading System (HKATS) and the Derivatives Clearing and Settlement System (DCASS). The
capacity of HKATS increased from 8,100 order book changes per second (OBC/S) to 21,000 OBC/S.
On 22 October, Asian Development Bank’s (ADB) RMB1.2 billion 10-year bond was listed as a selectively
marketed security on the SEHK. It was the first RMB-denominated bond listed and traded in RMB on the
SEHK.
On 29 October, the SFC published consultation conclusions to establish a regulatory regime for credit rating
agencies (CRAs) in Hong Kong. CRAs would have to obtain licences for this new type of regulated activity
under the SFO. The new regime would be implemented in the first quarter of 2011.
On 29 October, AIA Group Ltd was listed on the SEHK. Its IPO, raising HK$159.1 billion, was the largest
in Hong Kong’s market history and the third largest in the world. On the same day, options on AIA were
introduced for trading in the stock options market.
November On 1 November, HKEx launched futures on the HSI Dividend Point Index and the HSCEI Dividend Point Index.
On 18 November, the SFC and HKEx introduced new measures to raise investors’ awareness of synthetic
ETFs (i.e. ETFs using derivatives to track index performance instead of investing directly in the index’s
underlying securities), including adding a marker and an annotation to the name of a synthetic ETF.
On 23 November, HKEx published consultation conclusions to extend the trading hours of its securities and
derivatives markets in two phases. Starting on 7 March 2011, the trading hours of HKEx’s securities market will
be extended by one hour with the lunch break being shortened to 1.5 hours. Beginning on 5 March 2012, the
trading hours of HKEx’s securities markets will be further extended by shortening the lunch break to 1 hour.
Corresponding changes will also be made to the trading hours of the derivatives markets.
On 26 November, the SFC and HKEx jointly published consultation conclusions to allow distribution of paper
application forms without accompanying paper listing documents in initial public offerings for the sake of
reducing paper consumption.
On 29 November, HKEx started publishing exchange rate information for Hong Kong dollars against RMB and
US dollars on its website for the calculation of transaction fees and stamp duty in Hong Kong dollars.
December On 8 December, the Hong Kong depositary receipts (HDRs) of Vale S.A., a Brazilian mining company, was
listed on the SEHK as the first HDR listed in Hong Kong.
On 10 December, the HKMA and HKEx respectively announced the development of a local trade repository
and a clearing house for OTC derivatives traded in Hong Kong, to be launched by the end of 2012. A
regulatory regime would also be developed for the local OTC derivatives market.
On 13 December, the Financial Services and Treasury Bureau (FSTB) announced the development of an
Investor Education Council (IEC) and a Financial Dispute Resolution Centre (FDRC) to enhance education and
protection for investors.
On 15 December, HKEx amended the Listing Rules, effective 1 January 2011, to remove the requirements for
issuers to file printed documents, including financial reports and takeover documents. The purpose was to
streamline the document requirements and to reduce paper consumption.
On 15 December, amendments to the Listing Rules came into effect for HKEx to adopt a framework for
accepting Mainland accounting and auditing standards and Mainland audit firms for Mainland-incorporated
companies listed in Hong Kong. The framework also provides reciprocally for the use of Hong Kong financial
reporting standards and Hong Kong audit firms by Hong Kong companies listed in the Mainland.
Year
Trading
No. of trading days 245 249 249
Total turnover value (HK$mil) (4)
Annual 17,600,713.87 15,439,486.88 17,076,412.14
Average daily 71,839.65 62,005.97 68,579.97
Total turnover volume (mil shs)
Annual 26,942,745.92 24,497,626.62 34,544,258.75
Average daily 109,970.39 98,384.04 138,731.96
Total number of trades (deals)
Annual 139,999,774 175,535,322 190,573,054
Average daily 571,428 704,961 765,354
Notes:
(1) All PRC incorporated enterprises with H shares listed on the Exchange are included.
(2) A listed company would be counted as a foreign company if it is incorporated overseas and has a majority of its business outside Hong Kong
and PRC, and as a domestic company if otherwise.
(3) Figures include the number of transfers of listing from GEM to Main Board.
(4) Turnover values have been adjusted for late reported and rejected sales.
(5) Calculations are based on year-end figures of all listed stocks.
Year
Trading
No. of trading days 245 249 249
Total turnover value (HK$mil) (1)
Annual 52,086.99 75,761.81 133,665.60
Average daily 212.60 304.26 536.81
Total turnover volume (mil shs)
Annual 161,545.11 296,240.90 446,921.79
Average daily 659.37 1,189.72 1,794.87
Total number of trades (deals)
Annual 1,395,036 2,106,196 3,367,683
Average daily 5,694 8,459 13,525
Notes:
(1) Turnover values have been adjusted for late reported and rejected sales.
(2) Calculations are based on year-end figures of GEM stocks.
1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Trading
No. of trading days 247 247 243 247 248 249 247 247 246 245 249 249
Total turnover value (HK$bil) (4)
Annual 1,919.55 3,131.85 1,989.50 1,643.05 2,583.83 3,974.11 4,520.43 8,376.31 21,665.53 17,652.80 15,515.25 17,210.08
Average daily 7.77 12.68 8.19 6.65 10.42 15.96 18.30 33.91 88.07 72.05 62.31 69.12
Total turnover volume (bil shs)
Annual 1,393.78 2,354.69 1,532.37 1,611.93 2,410.38 4,023.55 5,779.81 9,481.27 23,163.37 27,104.29 24,793.87 34,991.18
Average daily 5.64 9.53 6.31 6.53 9.72 16.16 23.40 38.39 94.16 110.63 99.57 140.53
Total number of trades (deals)
Annual 23,063,257 36,871,325 24,123,635 20,536,648 28,803,397 37,243,835 36,956,081 64,077,041 151,585,525 141,394,810 177,641,518 193,940,737
Average daily 93,374 149,277 99,274 83,144 116,143 149,574 149,620 259,421 616,201 577,122 713,420 778,878
Trading by products (HK$bil)
Equities 1,776.78 2,944.41 1,860.43 1,515.26 2,304.81 3,422.93 3,609.92 6,466.94 16,670.57 12,683.92 11,639.95 12,411.31
Equity warrants 10.38 8.05 3.22 1.75 1.16 2.92 2.28 2.71 5.13 1.13 0.52 1.81
Derivative warrants 119.79 159.36 105.00 112.78 264.01 524.48 856.61 1,790.06 4,693.86 3,433.74 1,654.89 2,692.46
CBBC – – – – – – – 11.34 71.38 1,039.56 1,676.06 1,455.40
ELI – – – 0.33 0.48 0.24 0.00 0 0 0 0 0
Debt securities 0.14 0.06 0.04 0.03 0.02 0.04 0.01 0.01 0.01 0.01 0.00 0.00
Unit trusts and mutual funds 12.45 19.97 20.71 12.83 13.31 23.48 51.60 105.26 224.58 494.45 543.81 649.09
ETFs 12.45 19.97 20.71 12.83 13.31 23.48 20.70 57.82 160.57 441.10 499.69 604.46
REITs – – – – – – 30.91 47.44 51.50 51.49 43.08 43.89
Others 0.00 0.00 0.00 0.00 0.00 0.00 0.00 0.00 12.52 1.85 1.05 0.74
iShares (trading only) – – 0.10 0.08 0.03 0.02 0.01 0 0 0 0 0
Notes:
(1) All PRC incorporated enterprises with H shares listed on the Exchange are included.
(2) A listed company would be counted as a foreign company if it is incorporated overseas and has a majority of its business outside Hong Kong
and PRC, and as a domestic company if otherwise.
(3) Figures include the number of transfers of listing from GEM to Main Board.
(4) Turnover values have been adjusted for late reported and rejected sales.
(5) Calculations are based on year-end figures of all listed stocks.
Year
Stock options
No. of stock options classes at the year end 49 51 57
No. of stock options series at the year end 8,340 6,806 11,510
No. of newly introduced stock options classes 3 6 6
No. of trading days 243 247.5 248
Contract volume
Annual total 54,692,865 47,439,896 61,125,647
Average daily 225,074 191,676 246,474
Premium (HK$ Mil.)
Annual total 127,850 74,639 55,584
Average daily 526 302 224
Number of trades
Annual total 1,579,169 1,612,285 2,169,322
Average daily 6,499 6,514 8,747
Open interest at the year end 3,984,346 3,848,117 5,381,215
Contracts exercised 8,012,542 6,413,688 5,940,535
Average premium per contract (HK$) 2,338 1,573 909
Average contract per trade (contracts) 35 29 28
No. of market makers 22 26 30
Put volume/call volume 1.08 1.21 1.25
Average daily contract volume/open interest 5.6% 5.0% 4.6%
Year
CCASS Statistics
Average Daily Exchange Trades Handled by CCASS
– Number of trades 577,110 713,412 778,854
– Value of trades (HK$bil.) 72.1 62.3 69.1
– Share quantity Involved (bil. shs) 110.6 99.6 140.5
Note: Stock transactions in foreign currencies are excluded from the CCASS Statistics.
Index 38585.09
(30/10/07)
40000
33684.66 29488.04
(09/01/08) (08/11/10)
32000
26565.29
24446.59 (18/11/09)
(28/12/06)
24000 19309.74
(28/03/00) 17775.07 21912.46
15244.34 (15/08/05) (05/03/07) 22345.53
12007.69 13235.62 (27/02/04) (28/05/10)
16000 (25/03/98) (17/05/02) 17687.55
(14/06/06)
13569.03
11911.16
(27/10/08)
8000 9835.09 9155.30 (17/05/04)
6560.15 (21/09/01) (25/04/03)
(13/08/98)
0
HK$Mil
900,000
Weekly Turnover Value 833,120.32
800,000
700,000
600,000
500,000
400,000
300,000
200,000
100,000
0
1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
30000
27000 24964.37
(08/11/10)
24000
21000
18301.69
INDEX (31/07/1964=100) (28/03/00)
16673.27
18000
(07/08/97)
15000
12201.09
(04/01/94)
12000
11015.84
9000 (27/10/08)
8409.01
6000 6967.93 (25/04/03)
3949.73 6660.42
(23/01/95) (13/08/98)
(01/10/87)
1774.96
(09/03/73) 1810.20
3000
(17/07/81)
150.11
(10/12/74) 1894.94
0 (07/12/87)
64 65 66 67 68 69 70 71 72 73 74 75 76 77 78 79 80 81 82 83 84 85 86 87 88 89 90 91 92 93 94 95 96 97 98 99 00 01 02 03 04 05 06 07 08 09 10
29488.04
30000 (08/11)
29000
28000
27000
26000
25000
24000
23000
22345.53
22000
(25/05)
21000
01/10 02/10 03/10 04/10 05/10 06/10 07/10 08/10 09/10 10/10 11/10 12/10
Daily Movement 10 MAV 50 MAV
24964.37
25200 (08/11)
24400
23600
22800
22000
21200
20400
19600
18800 18985.50
(25/05)
18000
01/10 02/10 03/10 04/10 05/10 06/10 07/10 08/10 09/10 10/10 11/10 12/10
14204.13
14500 (08/11)
14000
13500
13000
12500
12000
11500
11000
10500 10729.05
(25/05)
10000
01/10 02/10 03/10 04/10 05/10 06/10 07/10 08/10 09/10 10/10 11/10 12/10
4340
4210
4080
3950
3820
3690
3560
3430 3519.80
(25/05)
3300
01/10 02/10 03/10 04/10 05/10 06/10 07/10 08/10 09/10 10/10 11/10 12/10
Market capitalisation trends by Hang Seng Industry Classification System, 2006 – 2010
HK$mil
Industry Classification * 2006 2007 2008 2009 2010
Energy 812,920.95 (6.14%) 1,523,448.41 (7.42%) 711,766.42 (6.94%) 1,290,804.22 (7.26%) 1,687,281.21 (8.06%)
Materials 293,096.30 (2.21%) 598,670.13 (2.92%) 183,433.26 (1.79%) 538,691.51 (3.03%) 688,304.03 (3.29%)
Industrial Goods 134,874.98 (1.02%) 330,940.14 (1.61%) 129,609.65 (1.26%) 269,968.50 (1.52%) 462,485.44 (2.21%)
Consumer Goods 783,434.39 (5.91%) 1,387,461.40 (6.76%) 663,188.02 (6.47%) 1,647,187.20 (9.27%) 2,215,851.46 (10.58%)
Services 912,113.53 (6.88%) 1,474,541.63 (7.18%) 595,533.38 (5.81%) 1,190,542.81 (6.70%) 1,695,676.46 (8.10%)
Telecommunications 1,827,864.64 (13.80%) 3,367,585.51 (16.40%) 1,876,211.11 (18.30%) 1,803,635.55 (10.15%) 1,942,463.26 (9.28%)
Utilities 466,359.10 (3.52%) 612,592.51 (2.98%) 435,659.96 (4.25%) 640,495.20 (3.60%) 716,469.80 (3.42%)
Financials 5,242,447.14 (39.57%) 6,415,908.93 (31.24%) 3,571,864.13 (34.84%) 6,123,556.56 (34.46%) 6,885,627.90 (32.88%)
Properties & Construction 1,528,298.18 (11.54%) 2,925,418.69 (14.24%) 1,275,142.72 (12.44%) 2,465,706.38 (13.88%) 2,647,533.65 (12.64%)
Information Technology 393,571.95 (2.97%) 658,891.60 (3.21%) 249,332.16 (2.43%) 835,241.90 (4.70%) 827,871.04 (3.95%)
Conglomerates 853,839.36 (6.44%) 1,241,003.87 (6.04%) 561,847.93 (5.48%) 963,441.58 (5.42%) 1,172,720.14 (5.60%)
Equity total 13,248,820.50 (100.00%) 20,536,462.82 (100.00%) 10,253,588.75 (100.00%) 17,769,271.41 (100.00%) 20,942,284.39 (100.00%)
* Hang Seng Industry Classification System (HSICS) is provided by Hang Seng Indexes Company Limited.
HK$Bil
22,000 20,536 20,942
20,000
17,769
18,000
16,000
14,000 13,249
12,000 10,254
10,000 8,113
8,000 6,629
5,478
6,000 4,728 4,795
3,476 3,203 3,885 3,559
4,000 2,975
2,085 2,348
2,662
2,000 949 1,332
419 420 580 605 650
0
1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
(A) Adjusted
(A) Adjusted
Notes: Turnover value traded in non-HKD currency securities have been included start from 29 November 2010.
Notes:
1. Foreign stocks are stocks of listed companies incorporated overseas which have a majority of their business outside Hong Kong and China.
2. The exchange rate of HK$7.8/US$1 was used to calculate the equivalent value in Hong Kong dollars.
Note: The first HDRs, which are the Depositary Reciepts on the Common Shares and Class A Preferred Shares of Vale S.A., commenced trading on
8 December 2010
Total 3,450,833.02 12,277,664.55 2,694,252.31 0.00 1,455,404.28 649,089.39 1.58 0.04 17,076,412.15
Notes:
1. Turnover values and shares have been adjusted for late reported and rejected sales.
2. Figures may not add up to total due to rounding.
3. Turnover for equities included the trading only of NASDAQ stocks transaction.
Annual turnover
Industry Classification * No. of issue # HK$mil % of total velocity (%)
Notes:
1. Equity turnover values have been adjusted for late reported and rejected sales.
2. Figures may not add up to total due to rounding.
#
Year-end figures
* Industry Classification is provided by Hang Seng Indexes Company Limited.
25,000
21,506
20,000
17,601
17,076
15,439
15,000
10,000
8,333
5,000 4,498
3,789 3,948
3,048
2,546
1,701 1,916 1,950
1,412 1,599
1,223 1,137
701 827
123 371 199 299 289 334
0
1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Notes:
(1) Total no. of listed companies are excluded the NASDAQ Stocks.
(2) Foreign companies not soly listed in Hong Kong and stock suspended over 1 year are excluded.
(3) NASDAQ stocks are quoted on the Exchange for trading only.
Utilities (4)
00002 CLP HOLDINGS 38,799.71 0.32 151,827.65 0.72 63.100 20.31 18.52
00003 HK & CHINA GAS 28,414.43 0.23 131,580.14 0.63 18.320 3.35 25.61
00006 HK ELECTRIC 34,690.50 0.28 104,578.82 0.50 49.000 16.11 15.62
00836 CHINA RES POWER 31,867.54 0.26 66,390.96 0.32 14.080 -8.81 11.80
Properties (7)
00016 SHK PPT 171,687.44 1.40 331,792.06 1.58 129.100 11.01 11.81
00001 CHEUNG KONG 119,576.62 0.97 277,708.10 1.33 119.900 19.54 13.96
00101 HANG LUNG PPT 67,315.22 0.55 162,413.50 0.78 36.350 18.79 6.77
00688 CHINA OVERSEAS 106,701.50 0.87 117,520.82 0.56 14.380 -12.32 15.70
00012 HENDERSON LAND 55,830.25 0.45 115,327.46 0.55 53.000 -9.25 11.92
01109 CHINA RES LAND 57,640.20 0.47 76,493.84 0.37 14.200 -19.50 15.74
00083 SINO LAND 40,941.65 0.33 76,481.34 0.37 14.540 -3.71 11.61
Note: Market capitalisation represents the value of the H shares only, not that of the entire issued capital of the enterprise.
Average dividend yields and average price earning ratios of HSI, HSCEI and HSCCI
stocks*, 2006 – 2010
2006 2.19 2.56 1.57 1.87 2.28 2.41 1.78 3.40 2.16 2.11 1.29 2.83
2007 2.21 1.86 0.94 1.39 1.62 2.18 2.29 2.45 2.87 1.80 0.68 2.23
2008 5.38 4.22 3.80 3.80 4.55 6.85 6.64 3.71 6.06 3.53 2.85 5.25
2009 2.33 2.54 0.79 1.00 1.77 1.84 3.95 2.45 2.68 1.69 0.78 2.52
2010 2.31 2.04 1.11 1.05 1.88 1.76 3.40 2.42 2.81 1.98 1.09 2.26
2010 Jan 2.50 2.74 0.84 1.05 1.86 1.84 3.98 2.58 2.93 1.93 0.83 2.74
Feb 2.43 2.60 0.83 1.02 1.81 1.79 3.83 2.52 2.92 1.83 0.86 2.35
Mar 2.42 2.45 0.86 1.08 1.90 1.75 3.51 2.58 2.98 1.95 0.84 2.59
Apr 2.50 2.37 1.09 1.28 1.96 1.62 3.37 2.64 3.08 2.27 0.84 2.78
May 2.70 2.60 1.24 1.43 2.15 1.77 3.54 2.74 3.30 2.45 1.01 3.03
Jun 2.66 2.57 1.39 1.53 2.13 1.74 3.33 2.63 3.23 2.41 1.16 2.97
Jul 2.53 2.56 1.31 1.38 2.10 1.61 3.31 2.58 3.00 2.25 1.10 2.79
Aug 2.66 2.69 1.40 1.57 2.25 1.97 3.38 2.57 3.23 2.22 1.07 2.76
Sep 2.41 2.43 1.27 1.34 1.87 1.61 3.33 2.43 3.01 2.03 0.94 2.40
Oct 2.29 2.24 1.21 1.26 1.85 1.52 3.36 2.41 2.74 1.96 0.93 2.36
Nov 2.32 2.19 1.21 1.06 1.84 1.75 3.43 2.42 2.78 2.00 0.96 2.34
Dec 2.31 2.04 1.11 1.05 1.88 1.76 3.40 2.42 2.81 1.98 1.09 2.26
Average price earnings ratios of all listed stocks by Hang Seng Industry
Classification System*, 2006 – 2010
(Times)
All listed Industrial Consumer Properties & Information
Year/Month stocks Energy Materials Goods Goods Services Telecommunications Utilities Financials Construction Technology Conglomerates
2006 17.37 14.10 20.27 16.41 19.51 15.34 23.34 13.75 21.24 10.67 28.80 12.72
2007 22.47 22.01 24.64 17.45 26.43 22.07 36.54 19.87 21.14 18.82 36.08 15.13
2008 7.26 8.61 5.45 5.76 8.91 3.77 9.86 11.55 8.55 5.17 8.89 4.68
2009 18.13 13.93 29.23 23.29 23.87 12.74 10.52 20.37 20.12 20.62 41.71 20.04
2010 16.67 21.01 21.93 28.30 23.31 24.37 13.00 18.73 18.28 9.56 33.42 12.02
2010 Jan 16.92 12.87 27.43 22.36 23.23 12.84 10.44 19.37 18.40 18.03 39.06 18.46
Feb 17.36 13.55 27.10 23.01 23.83 13.16 10.86 21.27 18.42 18.88 40.39 18.96
Mar 16.71 13.54 26.73 23.65 22.15 19.63 11.83 20.18 17.50 14.72 38.13 11.77
Apr 15.82 17.20 20.57 19.61 20.99 20.12 12.32 17.92 16.47 11.37 37.99 10.89
May 14.71 15.89 17.87 17.52 19.14 18.46 12.10 17.28 15.40 10.59 32.01 9.98
Jun 14.71 16.10 15.89 16.58 19.26 18.54 12.89 17.97 15.68 10.09 28.87 10.18
Jul 15.10 16.23 17.31 18.37 19.38 19.67 12.96 17.69 16.84 9.54 30.95 10.78
Aug 14.84 16.05 17.06 18.65 20.07 19.11 13.09 17.78 16.08 9.32 29.19 11.18
Sep 15.95 17.66 19.02 21.96 23.52 21.12 13.30 18.77 17.26 9.52 33.44 12.46
Oct 16.58 19.10 19.92 22.99 23.83 22.45 13.18 18.95 18.87 9.71 33.64 11.50
Nov 16.56 19.59 20.23 28.10 23.87 24.58 12.89 18.73 18.45 9.44 33.12 11.62
Dec 16.67 21.01 21.93 28.30 23.31 24.37 13.00 18.73 18.28 9.56 33.42 12.02
2006 971 571 20,866.76 4,167.24 2,736.42 17,790.48 25,856.97 34,318.50 15,610.09 110,908.17 32,562.65 4,367.91 24,082.14 293,267.32
2007 1,036 626 28,143.32 5,571.33 4,546.86 22,054.18 31,764.16 76,685.32 15,464.62 183,150.07 53,941.83 5,229.02 28,168.72 454,719.42
2008 1,081 648 29,995.81 7,917.68 4,192.89 29,964.40 37,416.40 94,446.35 16,298.39 212,757.30 46,192.55 7,952.63 30,535.10 517,669.50
2009 1,098 577 32,662.50 4,342.12 2,873.49 25,742.58 19,323.80 71,335.07 15,298.83 141,661.94 40,123.59 6,254.33 21,394.52 381,012.77
2010 1,206 684 34,384.65 7,584.88 4,878.70 42,022.06 29,681.69 65,858.59 17,336.18 184,929.76 56,842.08 7,171.14 26,438.18 477,127.90
2010 Jan 22 10 – 12.24 62.49 1,394.60 289.04 – 26.55 10,903.78 1,314.11 17.73 7.69 14,028.24
Feb 46 26 – – – 917.22 15.84 – – 142.73 161.39 – – 1,237.17
Mar 446 298 – – 4.92 965.46 584.60 – – 3,906.46 1,149.00 – 395.29 7,005.73
Apr 391 168 – 3.69 – 1,687.68 369.37 229.98 2,213.65 1,127.42 674.09 631.03 – 6,936.92
May 37 12 17.52 1,153.10 626.80 8,398.92 3,088.36 30,572.96 4,831.98 32,088.74 8,683.55 768.74 8,940.24 99,170.92
Jun 89 56 17,514.78 3,287.17 1,126.91 6,805.05 7,513.42 5,525.62 3,772.97 31,774.76 16,254.56 1,602.69 7,221.56 102,399.48
Jul 195 83 792.37 505.28 967.99 2,949.75 1,703.22 290.67 1,044.79 66,069.10 5,820.80 105.79 1,053.14 81,302.89
Aug 832 272 699.78 424.51 292.78 2,734.66 943.65 – – 7,199.10 1,804.23 2,446.46 – 16,545.18
Sep 32 18 14,863.61 1,194.12 887.82 8,210.86 5,030.88 28,647.82 2,676.14 10,050.75 6,021.24 137.64 5,010.63 82,731.49
Oct 50 23 293.71 75.81 148.45 4,162.70 3,952.64 370.89 1,487.91 18,790.48 3,103.25 853.24 2,712.59 35,951.66
Nov 278 101 – 542.26 452.84 730.45 1,381.49 210.27 – 730.91 5,282.05 – – 9,330.29
Dec 22 12 202.90 386.71 307.69 3,064.70 4,809.18 10.38 1,282.18 2,145.52 6,573.81 607.82 1,097.04 20,487.93
*
Change of English name only
#
Change of Chinese name only
00035 Far East Consortium International Ltd. FE Consort Intl proposed a separate listing of Kosmopolito Hotels 2010/09/02
(FE Consort Intl) Ltd. (Kosmo Hotels) by way of a new issue and placing. Shareholders of FE 2010/09/17
Consort Intl entitled to participate in the preferential offer of 15 Kosmo
Hotels shares for every 1,000 FE Consort Intl shares held at a price of
$2.20 per share. The shares of Kosmo Hotels would be listed on the
Stock Exchange.
00539 Victory City International Holdings Ltd. Victory City proposed a separate listing of Ford Glory Group Holdings Ltd. 2010/09/10
(Victory City) (Ford Glory) by way of a new issue and placing. Shareholders of Victory 2010/10/05
City entitled to participate in the preferential offer of 40 Forld Glory shares
for every 2,000 Victory City shares held at a price of $0.60 per share.
The shares of Ford Glory would be listed on the Stock Exchange.
01205 CITIC Resources Holdings Ltd. CITIC Resources proposed a separate listing of CITIC Dameng Holdings Ltd. 2010/10/12
(CITIC Resources) (CITIC Dameng) by way of a new issue and placing. Shareholders of CITIC 2010/10/27
Resources entitled to participate in the preferential offer of 1 CITIC Dameng
shares for every 71 CITIC Resources shares held at a price of $2.75 per share.
The shares of CITIC Dameng would be listed on the Stock Exchange.
00818 Hi Sun Technology (China) Ltd. Hi Sun proposed a separate listing of PAX Global Technology Ltd. 2010/11/08
(Hi Sun) (PAX Global) by way of a new issue and placing. Shareholders of 2010/11/24
Hi Sun entitled to participate in the preferential offer of 1 PAX Global
shares for every 3,000 Hi Sun shares held at a price of $2.88 per
share. The shares of PAX Global would be listed on the Stock Exchange.
Change of domicile
Code Former company New company Place of incorporation Effective date
Nil
Equities Offer for subscription 15.15 8.80 2.56 7.25 18.51 3.68 2.67 11.77 2.23 2.76 14.53 21.55 18.60 48.03 88.56 9.53 51.08 41.63
Offer for sale 2.97 0.25 0.29 2.47 0.12 0.14 0.07 0.23 2.48 22.40 5.17 21.71 6.82 33.26 33.69 7.69 21.41 175.23
Offer for placing 11.06 8.31 5.26 21.50 63.02 2.14 12.82 105.30 16.89 19.81 37.37 51.21 139.57 250.79 168.20 48.54 175.38 231.97
Placing 30.60 11.69 11.51 46.11 78.17 16.40 69.32 106.25 11.61 15.56 16.30 45.96 62.26 110.68 152.92 54.23 140.59 132.96
Rights issue 9.27 5.64 1.29 4.65 16.30 5.30 7.36 11.71 2.99 5.24 2.27 7.09 9.54 8.26 22.44 45.12 168.41 176.06
Open offer – – – – 0.21 0.08 0.71 0.94 0.95 0.51 0.51 1.00 0.89 2.21 7.31 2.48 8.90 5.80
Consideration issue 4.68 5.03 9.23 10.15 58.86 9.70 50.11 205.02 14.26 27.53 125.72 114.46 44.25 36.33 70.16 239.71 62.13 65.12
Warrants exercised 14.25 10.83 8.19 5.57 8.32 0.31 2.51 2.69 0.27 0.69 1.13 1.21 1.45 5.35 10.18 2.25 2.02 2.12
Share option scheme 2.03 1.31 0.87 2.32 4.06 0.51 2.56 7.37 6.91 6.91 6.12 12.33 15.29 21.10 17.62 8.63 7.80 14.60
Equities funds raised 90.01 51.86 39.20 100.02 247.58 38.26 148.12 451.28 58.59 101.41 209.12 276.52 298.66 516.03 571.08 418.19 637.73 845.49
Debt securities 171.26 283.59 108.83 127.98 178.21 87.98 52.95 23.84 28.60 19.35 43.47 105.40 60.86 64.88 58.13 41.58 47.38 140.28
Unit trusts/Mutual funds 0.39 – – – – – 33.33 – 0.26 0.35 0.29 6.80 35.18 9.01 8.42 – – –
Derivative warrants – premium 5.86 11.20 4.65 18.39 33.29 15.63 17.68 29.79 15.84 62.16 63.88 139.43 154.80 247.78 791.31 555.89 263.29 328.11
Equity warrants – premium 0.22 – 0.15 1.15 1.44 – 0.24 0.34 0.23 0.10 0.08 0.05 0.13 – 0.13 0.03 – 0.03
Equity linked instruments – premium – – – – – – – – – 2.10 0.70 1.52 – – – – – –
Callable bull/bear contracts – premium – – – – – – – – – – – – – 4.08 31.48 443.30 519.33 360.05
800
700
638
600 571
516
500
451
418
400
299
300 277
248
209
200
148
105 101
90 100
100 59
52
48 39 39 38
15 19 20 21
1986 1987 1988 1989 1990 1991 1992 1993 1994 1995 1996 1997 1998 1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Placing – – 0.98 1.04 1.05 1.48 – – 0.50 – 0.59 19.23 21.49 13.80 7.84 4.61 7.55 11.96
Rights issue – – – – – – – – – – – – – – 3.12 – – 125.07
Open offer – – – – – – – – – – – – – – – – – –
Consideration issue – – – – – – – – – – – – – – – – – 15.39
Warrants exercised – – – – – – – – – – – – – – – – – –
Share option scheme – – – – – – – – – – – – – – – 0.01 – –
Equities funds raised 8.14 9.88 2.99 7.87 33.08 3.55 4.26 51.75 6.07 16.87 46.84 59.25 158.68 303.82 85.73 34.11 121.73 290.88
Equities Offer for subscription 0.78 1.04 0.30 0.73 5.66 0.05 0.19 1.97 0.64 0.04 0.77 3.98 0.38 1.20 14.49 – 3.09 2.46
Offer for sale – – 0.20 – 0.05 – – 0.05 1.78 20.56 – 1.72 – 0.19 8.22 – – –
Offer for placing 0.17 0.50 1.07 2.70 33.68 0.09 1.79 42.08 9.64 0.36 2.19 8.84 0.66 1.38 26.88 – 4.92 3.84
Placing 9.51 6.17 0.31 10.84 27.97 10.71 18.61 61.80 2.54 6.89 0.69 6.11 0.30 22.61 30.90 7.63 33.69 22.55
Rights issue 4.49 1.32 0.20 0.29 2.18 0.38 1.09 0.18 – 0.96 – – 0.24 0.61 2.73 6.39 11.34 –
Open offer – – – – – – – – 0.77 – 0.07 – – 0.59 2.72 – 2.51 3.84
Consideration issue – 3.03 3.70 3.84 10.43 5.93 33.04 186.11 2.94 22.94 0.15 2.96 15.68 12.90 15.93 206.36 21.18 21.46
Warrants exercised 0.08 1.13 0.87 0.44 0.56 0.11 0.04 0.67 0.10 0.00 0.01 0.07 0.21 3.18 7.59 1.51 0.18 0.10
Share option scheme 0.05 0.04 0.02 0.17 0.46 0.10 0.41 0.80 0.67 0.98 1.01 2.67 4.92 8.12 5.51 1.91 1.09 1.18
Equities funds raised 15.08 13.23 6.67 19.01 80.98 17.37 55.18 293.66 19.08 52.72 4.89 26.37 22.39 50.77 114.97 223.80 78.01 55.42
00624 Pacific Andes International Holdings Ltd. Warrants 2011 1.800 2010/04/01 – 2011/06/15 2010/04/01
00971 Kingboard Chemical Holdings Ltd. Warrants 2012 40.000 2010/05/03 – 2012/10/31 2010/05/05
00942 Cheuk Nang (Holdings) Ltd. Warrants 2011 1.700 2010/05/20 – 2011/05/20 2010/05/25
00879 Henderson Land Development Co. Ltd. Warrants 2011 58.000 2010/06/02 – 2011/06/01 2010/06/04
00795 Hong Kong Energy (Holdings) Ltd. Warrants 2011 0.600 2010/06/09 – 2011/06/08 2010/06/11
00492 HKC (Holdings) Ltd. Warrants 2011 0.500 2010/06/09 – 2011/06/08 2010/06/11
00972 China Star Entertainment Ltd. Warrants 2012 0.193 2010/06/15 – 2012/06/14 2010/06/18
00937 New Times Energy Corporation Ltd. Warrants 2011 0.270 2010/06/25 – 2011/06/24 2010/06/29
00965 Playmates Toys Ltd. Warrants 2012 0.450 2010/08/04 – 2012/08/04 2010/08/04
01032 Chun Wo Development Holdings Ltd. Warrants 2013 0.500 2010/09/13 – 2013/09/12 2010/09/13
01092 Cheuk Nang (Holdings) Ltd. Warrants Dec 2011 1.800 2010/12/14 – 2011/12/13 2010/12/15
20181 J P Morgan SP BV ICBC European Warrants Jul 2010 0.35 7.58 per unit 2010/07/05 100,000,000 2010/01/04
20182 J P Morgan SP BV ICBC European Warrants Dec 2010 A 0.168 5.68 2010/12/06 388,000,000 2010/01/04
20183 J P Morgan SP BV ICBC European Warrants Dec 2010 B 0.15 6.38 2010/12/06 388,000,000 2010/01/04
20191 RB of Scotland N.V. China Mobile European Wts Jul 2010 A 0.402 75 2010/07/06 200,000,000 2010/01/05
20185 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Nov 2010 B 0.15 96.99 per 100 units 2010/11/01 200,000,000 2010/01/05
20186 BNP Paribas Arbit Issu B.V. China Life Euro Wts Dec 2010 0.49 44.99 2010/12/03 200,000,000 2010/01/05
20190 Deutsche Bank AG A50 China European Warrants Jun 2010 B 0.207 13.2 2010/06/22 300,000,000 2010/01/05
20187 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2010 A 0.199 21,000 per 10,000 units 2010/04/29 300,000,000 2010/01/05
20188 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2010 B 0.178 21,400 per 10,000 units 2010/04/29 300,000,000 2010/01/05
20189 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2010 C 0.151 22,000 per 10,000 units 2010/04/29 300,000,000 2010/01/05
20193 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 10D 0.195 21,000 per 7,000 units 2010/04/29 300,000,000 2010/01/05
20194 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 10E 0.167 21,600 per 10,000 units 2010/04/29 300,000,000 2010/01/05
20192 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 10E 0.174 20,400 per 8,000 units 2010/05/28 300,000,000 2010/01/05
#
17891 Deutsche Bank AG China Life European Warrants Mar 2010 B 0.059 43.88 2010/03/15 400,000,000 2010/01/05
20210 RB of Scotland N.V. CC Bank European Warrants May 2010 0.47 7.08 per unit 2010/05/03 200,000,000 2010/01/06
20195 RB of Scotland N.V. China Mobile European Wts Jul 2010 B 0.586 70 2010/07/06 200,000,000 2010/01/06
20209 RB of Scotland N.V. A50 China European Warrants May 2010 0.15 14.68 2010/05/24 300,000,000 2010/01/06
20212 RB of Scotland N.V. HSI European Put Warrants Apr 2010 C 0.226 22,800 per 11,000 units 2010/04/29 400,000,000 2010/01/06
20208 RB of Scotland N.V. HSI European Warrants Apr 2010 B 0.199 21,200 per 10,000 units 2010/04/29 400,000,000 2010/01/06
20196 J P Morgan SP BV HSBC European Put Warrants May 2010 0.15 92 per 100 units 2010/05/28 388,000,000 2010/01/06
20197 J P Morgan SP BV HSBC European Put Warrants Nov 2010 A 0.15 84 per 100 units 2010/11/29 388,000,000 2010/01/06
20198 CC Rabobank B.A. China Agri European Warrants Jul 2010 0.27 11.6 2010/07/29 160,000,000 2010/01/06
20202 CC Rabobank B.A. CNPC European Warrants Nov 2010 0.193 11.88 2010/11/12 160,000,000 2010/01/06
20200 CC Rabobank B.A. Chi Res Power European Warrants Jul 2010 0.3 15.6 2010/07/29 120,000,000 2010/01/06
20203 CC Rabobank B.A. Dongfeng Motor European Warrants Jul 2010 0.25 12.4 2010/07/29 150,000,000 2010/01/06
20204 CC Rabobank B.A. Greentown China European Wts Aug 2010 0.37 13.2 2010/08/30 150,000,000 2010/01/06
20199 CC Rabobank B.A. China Mengniu European Warrants Aug 2010 0.42 29.6 2010/08/30 120,000,000 2010/01/06
20205 CC Rabobank B.A. Pacific Basin European Warrants Nov 2010 0.25 6.2 2010/11/29 300,000,000 2010/01/06
20206 CC Rabobank B.A. Renhe Comm European Warrants Aug 2010 0.25 2.10 per unit 2010/08/30 120,000,000 2010/01/06
20207 CC Rabobank B.A. Sinofert European Warrants Mar 2011 0.25 4.4 2011/03/30 300,000,000 2010/01/06
20201 CC Rabobank B.A. Yurun Food European Warrants Aug 2010 0.38 23.2 2010/08/16 120,000,000 2010/01/06
20231 RB of Scotland N.V. Sinopec Corp European Warrants Jul 2010 0.321 8.238 per unit 2010/07/07 200,000,000 2010/01/07
20220 BNP Paribas Arbit Issu B.V. Ch Comm Cons Eur Wt Dec 2010 0.16 6.99 2010/12/22 100,000,000 2010/01/07
20219 BNP Paribas Arbit Issu B.V. China Coal Euro Wts Jun 2010 0.22 14.48 2010/06/28 100,000,000 2010/01/07
20217 Deutsche Bank AG Angang Steel European Warrants Jul 2010 0.25 20 2010/07/12 150,000,000 2010/01/07
20218 Deutsche Bank AG Hutchison European Warrants Jul 2010 0.45 52 2010/07/12 150,000,000 2010/01/07
20226 CC Rabobank B.A. BOCL European Warrants Jul 2010 A 0.25 4.80 per unit 2010/07/29 100,000,000 2010/01/07
20229 CC Rabobank B.A. Ch Mobile European Put Wts Jul 2010 0.57 66 2010/07/29 80,000,000 2010/01/07
20230 CC Rabobank B.A. Ch Mobile European Put Wts Aug 2010 0.3 58 2010/08/30 80,000,000 2010/01/07
20221 CC Rabobank B.A. CC Bank European Warrants Jul 2010 0.72 6.80 per unit 2010/07/29 30,000,000 2010/01/07
20222 CC Rabobank B.A. CC Bank European Warrants Sep 2010 A 0.47 8 per unit 2010/09/29 30,000,000 2010/01/07
20223 CC Rabobank B.A. China Life European Warrants Jul 2010 A 0.48 37.6 2010/07/29 50,000,000 2010/01/07
20228 CC Rabobank B.A. China Life European Put Warrants Aug 2010 0.55 39.2 2010/08/30 100,000,000 2010/01/07
20225 CC Rabobank B.A. CNOOC European Warrants Nov 2010 B 0.163 12.28 2010/11/22 150,000,000 2010/01/07
20227 CC Rabobank B.A. Hutchison European Warrants Aug 2010 0.55 54 2010/08/30 100,000,000 2010/01/07
20211 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jul 2010 0.365 39.88 2010/07/05 200,000,000 2010/01/07
20213 SGA Societe Generale Acceptance N.V. CLife Eu Wt Aug 2010A 0.52 36.88 2010/08/04 200,000,000 2010/01/07
20214 SGA Societe Generale Acceptance N.V. CLife Eu Wt Aug 2010B 0.305 42.88 2010/08/04 200,000,000 2010/01/07
20215 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jun 2010 E 0.24 108.63 2010/06/02 100,000,000 2010/01/07
20216 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jul 2010 B 0.77 6.40 per unit 2010/07/19 80,000,000 2010/01/07
20233 Credit Suisse AG China Life European Warrants May 2010 A 0.15 43.95 2010/05/31 200,000,000 2010/01/08
20234 Credit Suisse AG HSI European Warrants Jul 2010 A 0.25 22,100 per 10,000 units 2010/07/29 200,000,000 2010/01/08
20235 Credit Suisse AG HSI European Warrants Jul 2010 B 0.25 21,100 per 10,000 units 2010/07/29 200,000,000 2010/01/08
20239 Credit Suisse AG HSI European Put Warrants Jul 2010 C 0.25 22,100 per 10,000 units 2010/07/29 200,000,000 2010/01/08
20240 Credit Suisse AG HSI European Put Warrants Jul 2010 D 0.25 21,100 per 10,000 units 2010/07/29 200,000,000 2010/01/08
20232 J P Morgan SP BV China Mob European Wts Jul 2010 0.25 92.88 2010/07/26 188,000,000 2010/01/08
#
19827 Credit Suisse AG China Mobile European Warrants Jun 2010 0.109 63.88 per 100 units 2010/06/07 200,000,000 2010/01/08
20260 BNP Paribas Arbit Issu B.V. BOCL European Wts Dec 2010 A 0.36 5.08 per unit 2010/12/01 200,000,000 2010/01/11
20249 BNP Paribas Arbit Issu B.V. China Coal Euro Wts Nov 2010 0.26 15.68 2010/11/01 100,000,000 2010/01/11
20261 BNP Paribas Arbit Issu B.V. CM Bank European Warrants Nov 10 0.25 24.8 2010/11/02 100,000,000 2010/01/11
20262 BNP Paribas Arbit Issu B.V. Minsheng Bank Euro Wts Aug 10 0.15 9.38 2010/08/02 200,000,000 2010/01/11
20250 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2010 B 0.68 108.28 2010/09/30 200,000,000 2010/01/11
20263 BNP Paribas Arbit Issu B.V. Shimao Ppt European Wts Oct 10 0.25 15.88 2010/10/06 100,000,000 2010/01/11
20251 BNP Paribas Arbit Issu B.V. Tencent Holdings Eu Wts Aug 10 0.25 188.88 per 100 units 2010/08/30 200,000,000 2010/01/11
20252 BNP Paribas Arbit Issu B.V. Yanzhou Coal Euro Wts Aug 2010 0.29 18.88 2010/08/02 100,000,000 2010/01/11
20236 Citigroup Global Mkt H Inc. Anta Sports European Wts Jan11 0.25 12.88 2011/01/11 160,000,000 2010/01/11
20237 Citigroup Global Mkt H Inc. Belle Int’l European Wts Jan11 0.25 8.88 2011/01/11 160,000,000 2010/01/11
20238 Citigroup Global Mkt H Inc. China Coal European Wts Aug 10 0.15 16 2010/08/04 267,000,000 2010/01/11
20241 Citigroup Global Mkt H Inc. Chi Res Land European Wt Aug10 0.25 18.88 2010/08/11 160,000,000 2010/01/11
20242 Citigroup Global Mkt H Inc. Denway Motors Euro Wts Jul10 0.6 4.88 per unit 2010/07/12 67,000,000 2010/01/11
20243 Citigroup Global Mkt H Inc. Henganintl European Wts Jul10 0.3 68 2010/07/12 133,000,000 2010/01/11
20244 Citigroup Global Mkt H Inc. KWG Property European Wt Mar11 0.25 6 2011/03/11 160,000,000 2010/01/11
20245 Citigroup Global Mkt H Inc. PICC P&C European Wts Jan11 0.25 5.88 2011/01/11 160,000,000 2010/01/11
20247 Citigroup Global Mkt H Inc. SPDR Gold T European Wts Jul10 0.25 999 per 100 units 2010/07/12 160,000,000 2010/01/11
20246 Citigroup Global Mkt H Inc. Yanzhou Coal European Wt Nov10 0.25 18.88 2010/11/11 160,000,000 2010/01/11
20257 Deutsche Bank AG Bank of EA European Warrants May 2010 0.15 36 2010/05/03 150,000,000 2010/01/11
20258 Deutsche Bank AG China EB Ltd European Warrants Jul 2010 A 0.25 23.5 2010/07/12 150,000,000 2010/01/11
20259 Deutsche Bank AG Foxconn European Warrants Nov 2010 0.21 10 2010/11/01 150,000,000 2010/01/11
20253 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 10B 0.158 14.68 2010/06/02 300,000,000 2010/01/11
20254 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jul 10B 0.25 13.38 2010/07/12 300,000,000 2010/01/11
20255 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jul 10C 0.215 13.88 2010/07/12 300,000,000 2010/01/11
20256 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Apr10 0.203 16 2010/04/12 300,000,000 2010/01/11
20248 UBS AG Hutchison European Warrants May 2010 0.15 63.88 2010/05/24 100,000,000 2010/01/11
#
19888 Credit Suisse AG HKEx European Warrants May 2010 0.191 133 per 100 units 2010/05/10 200,000,000 2010/01/11
20272 RB of Scotland N.V. Tencent Holdings European Wts Jul 2010 0.15 199.99 per 100 units 2010/07/26 300,000,000 2010/01/12
20278 BNP Paribas Arbit Issu B.V. CHALCO European Wts Jun 2010 B 0.17 10.39 2010/06/29 100,000,000 2010/01/12
20279 BNP Paribas Arbit Issu B.V. Angang Steel European Wt Aug10 0.38 19.28 2010/08/02 100,000,000 2010/01/12
20280 BNP Paribas Arbit Issu B.V. China Unicom European Wt Oct10 0.16 10.9 2010/10/28 100,000,000 2010/01/12
20266 BNP Paribas Arbit Issu B.V. HKEx European Wts Dec 2010 0.26 149.99 per 100 units 2010/12/02 200,000,000 2010/01/12
20267 BNP Paribas Arbit Issu B.V. HKEx European Wts Jun 2011 A 0.3 159.99 per 100 units 2011/06/02 200,000,000 2010/01/12
20268 BNP Paribas Arbit Issu B.V. HKEx European Put Wts Aug 10A 0.26 139.99 per 100 units 2010/08/03 200,000,000 2010/01/12
20281 BNP Paribas Arbit Issu B.V. Yanzhou Coal Euro Wts Oct 2010 0.41 19.99 2010/10/04 100,000,000 2010/01/12
20270 Deutsche Bank AG China Mobile European Warrants Jun 2010 D 0.54 75 2010/06/22 150,000,000 2010/01/12
20277 Deutsche Bank AG CNOOC European Warrants Jul 2010 B 0.15 14.48 2010/07/26 200,000,000 2010/01/12
20269 Deutsche Bank AG Hutchison European Warrants Jun 2010 A 0.21 65.9 2010/06/07 150,000,000 2010/01/12
20271 Deutsche Bank AG Tencent Holdings European Warrants Jul 10 0.15 200 per 100 units 2010/07/26 200,000,000 2010/01/12
20264 HK Bank China Mobile European Warrants Jul 2010 0.33 78.88 2010/07/12 120,000,000 2010/01/12
20265 HK Bank Minsheng Bank European Warrants Mar 2011 0.15 9.09 2011/03/30 120,000,000 2010/01/12
20273 Macquarie Bank Ltd. Belle Int’l European Warrants Dec 2010 0.25 12.88 2010/12/02 200,000,000 2010/01/12
20274 Macquarie Bank Ltd. Chaoda Modern European Warrants Jul 10 0.25 11.5 2010/07/29 200,000,000 2010/01/12
20275 Macquarie Bank Ltd. Greentown China European Warrants Jul10 0.254 14.5 2010/07/29 200,000,000 2010/01/12
20276 Macquarie Bank Ltd. Sinofert European Warrants Jan 2011 0.25 5.5 2011/01/03 200,000,000 2010/01/12
20311 RB of Scotland N.V. HKEx European Warrants Aug 2010 0.15 160 per 100 units 2010/08/03 300,000,000 2010/01/13
20293 BOCI Asia Ltd. BOCL European Put Warrants Jul 2010 0.5 4 per unit 2010/07/30 100,000,000 2010/01/13
20290 BOCI Asia Ltd. Ch Overseas European Warrants Jul 2010 0.25 18.26 2010/07/23 100,000,000 2010/01/13
20289 BOCI Asia Ltd. China Life European Warrants Jul 2010 0.5 41 2010/07/30 100,000,000 2010/01/13
20291 BOCI Asia Ltd. Shimao Ppt European Warrants Jul 2010 0.25 17 2010/07/30 100,000,000 2010/01/13
20292 BOCI Asia Ltd. Tencent Holdings European Warrants Jul 2010 0.25 175 per 100 units 2010/07/16 100,000,000 2010/01/13
20309 BNP Paribas Arbit Issu B.V. HSBC European Wts Feb 2011 A 0.71 123.38 2011/02/01 200,000,000 2010/01/13
20307 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2011 A 0.25 86.88 per 100 units 2011/09/01 200,000,000 2010/01/13
20308 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2010 C 0.78 104.88 2010/09/01 200,000,000 2010/01/13
20314 Deutsche Bank AG CNPC European Warrants Sep 2010 B 0.25 12.18 2010/09/28 150,000,000 2010/01/13
20313 Deutsche Bank AG China Shenhua European Warrants May 2010 0.33 45 2010/05/28 150,000,000 2010/01/13
20315 Deutsche Bank AG Denway Motors European Warrants Jul 2010 0.85 5.80 per unit 2010/07/19 100,000,000 2010/01/13
20316 Deutsche Bank AG Lenovo European Warrants Jun 2010 0.15 5.38 2010/06/21 150,000,000 2010/01/13
20317 Deutsche Bank AG Maanshan Iron European Warrants Dec 2010 0.15 6.88 2010/12/30 150,000,000 2010/01/13
20312 Goldman Sachs SP (Asia) China Shenhua Euro Wts May 2010 0.2 48.9 2010/05/28 200,000,000 2010/01/13
20301 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jul 10A 0.25 178.88 per 100 units 2010/07/15 200,000,000 2010/01/13
20295 Macquarie Bank Ltd. China Agri European Warrants Jul 2010 0.252 13 2010/07/29 200,000,000 2010/01/13
20296 Macquarie Bank Ltd. Chi Resources European Warrants Jul 10 0.264 38 2010/07/19 200,000,000 2010/01/13
20294 Macquarie Bank Ltd. C Transmission European Warrants Jul10 0.252 25 2010/07/13 150,000,000 2010/01/13
20299 Macquarie Bank Ltd. GCL-Poly Energy European Warrants Jul10 0.253 3.50 per unit 2010/07/13 80,000,000 2010/01/13
20300 Macquarie Bank Ltd. Golden Eagle European Warrants Jul 10 0.254 20 2010/07/29 200,000,000 2010/01/13
20297 Macquarie Bank Ltd. Tingyi European Warrants Sep 2010 0.251 25 2010/09/13 150,000,000 2010/01/13
20298 Macquarie Bank Ltd. Yanzhou Coal European Wts Jul 2010 B 0.251 22.88 2010/07/13 150,000,000 2010/01/13
20283 SGA Societe Generale Acceptance N.V Angang Steel Eu Wt Jul10 0.28 20.4 2010/07/19 300,000,000 2010/01/13
20303 SGA Societe Generale Acceptance N.V. CCCCL Eu Wt Apr 2011 0.25 8.8 2011/04/04 80,000,000 2010/01/13
20284 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Dec10A 0.25 12 2010/12/01 80,000,000 2010/01/13
20286 SGA Societe Generale Acceptance N.V. CNPC Euro Wts Dec 10 0.25 13.1 2010/12/13 300,000,000 2010/01/13
20285 SGA Societe Generale Acceptance N.V. CNPC Euro Wts Oct10B 0.25 11.95 2010/10/11 300,000,000 2010/01/13
20282 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Sep10 0.185 14.38 2010/09/01 300,000,000 2010/01/13
20304 SGA Societe Generale Acceptance N.V. R&F Ppt Eu Wts Aug 10 0.25 15.8 2010/08/23 100,000,000 2010/01/13
20305 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Aug 2010A 0.15 160 per 100 units 2010/08/09 80,000,000 2010/01/13
20306 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Dec 2010 A 0.15 175 per 100 units 2010/12/06 80,000,000 2010/01/13
20287 SGA Societe Generale Acceptance N.V. HWL Eur Wt Sep 2010 A 0.25 67.5 2010/09/06 100,000,000 2010/01/13
20288 SGA Societe Generale Acceptance N.V Yanzhou Coal Eu Wt Jul10 0.27 21 2010/07/19 300,000,000 2010/01/13
20310 UBS AG Shimao Ppt European Warrants Jun 2010 0.15 17.88 2010/06/14 100,000,000 2010/01/13
#
19790 Deutsche Bank AG HKEx European Warrants May 2010 C 0.107 153.90 per 100 units 2010/05/10 400,000,000 2010/01/13
#
17621 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Mar 10 B 0.071 14.38 2010/03/22 300,000,000 2010/01/13
20356 RB of Scotland N.V. HWL European Warrants Jul 2010 0.25 68.88 2010/07/19 150,000,000 2010/01/14
20357 Deutsche Bank AG China Overseas European Warrants Jul 2010 0.25 18 2010/07/19 150,000,000 2010/01/14
20358 Deutsche Bank AG ICBC European Warrants May 2010 B 0.31 7.08 per unit 2010/05/10 200,000,000 2010/01/14
20355 Goldman Sachs SP (Asia) A50 China European Wts Aug 2010 A 0.15 15.38 2010/08/02 200,000,000 2010/01/14
20343 HK Bank Hidili Industry European Warrants Sep 2010 0.25 11.88 2010/09/17 100,000,000 2010/01/14
20345 HK Bank HKEx European Warrants Sep 2010 A 0.15 163.88 per 100 units 2010/09/22 180,000,000 2010/01/14
20344 HK Bank HWL European Warrants Jul 2010 0.25 68 2010/07/16 120,000,000 2010/01/14
20346 HK Bank Shanghai Electric European Warrants Aug 2010 0.28 5 per unit 2010/08/27 100,000,000 2010/01/14
20348 HK Bank Yanzhou Coal European Warrants Aug 2010 0.25 24.88 2010/08/12 120,000,000 2010/01/14
20347 HK Bank Yanzhou Coal European Warrants Jul 2010 B 0.25 21.88 2010/07/16 120,000,000 2010/01/14
20352 J P Morgan SP BV China Coal European Warrants Jul 2010 0.25 18.88 2010/07/14 150,000,000 2010/01/14
20354 J P Morgan SP BV HKEx European Put Wts Jul 2010 B 0.25 145 per 100 units 2010/07/14 200,000,000 2010/01/14
20353 J P Morgan SP BV Yanzhou Coal European Warrants Jul 2010 0.28 22.88 2010/07/14 138,000,000 2010/01/14
20349 KBC Fin Products Int’l Ltd. HKEx European Warrants Jul 10 0.15 164.88 per 100 units 2010/07/05 258,000,000 2010/01/14
20326 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Jun 2010A 0.38 4.59 per unit 2010/06/07 100,000,000 2010/01/14
20318 Merrill Lynch Int’l & Co. C.V. Ch Comm Cons Eu Wt Jun 2010 0.38 10.19 per unit 2010/06/14 100,000,000 2010/01/14
20319 Merrill Lynch Int’l & Co. C.V. Ch Comm Cons Eu Wt Aug 2010 0.77 9.29 per unit 2010/08/24 100,000,000 2010/01/14
20320 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt May 2010 B 0.205 45.59 2010/05/31 150,000,000 2010/01/14
20321 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Jul 2010 0.445 39.89 2010/07/26 150,000,000 2010/01/14
20350 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2010 0.152 148.89 per 100 units 2010/06/28 200,000,000 2010/01/14
20351 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Aug 2010 B 0.22 149.99 per 100 units 2010/08/09 200,000,000 2010/01/14
20322 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Dec 2010C 0.15 6.39 2010/12/14 200,000,000 2010/01/14
20323 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Aug10A 0.207 179.99 per 100 units 2010/08/02 200,000,000 2010/01/14
20324 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Aug10B 0.209 188.89 per 100 units 2010/08/23 200,000,000 2010/01/14
20325 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Aug10C 0.193 198.89 per 100 units 2010/08/30 200,000,000 2010/01/14
20337 Nomura Int’l plc China Mobile European Warrants Jun 2010 0.4 81.88 2010/06/30 75,000,000 2010/01/14
20338 Nomura Int’l plc China Mobile European Warrants Sep 2010 0.36 88.88 2010/09/30 75,000,000 2010/01/14
20339 Nomura Int’l plc China Mobile European Put Warrants Jun 10 0.151 82 per 100 units 2010/06/30 150,000,000 2010/01/14
20341 Nomura Int’l plc CC Bank European Warrants May 2010 0.228 7.99 per unit 2010/05/11 200,000,000 2010/01/14
20340 Nomura Int’l plc CC Bank European Warrants Sep 2010 0.351 8.50 per unit 2010/09/30 200,000,000 2010/01/14
20329 Nomura Int’l plc China Life European Warrants May 2010 0.217 45.58 2010/05/28 200,000,000 2010/01/14
20330 Nomura Int’l plc China Life European Warrants Sep 2010 B 0.457 42.88 2010/09/30 150,000,000 2010/01/14
20334 Nomura Int’l plc Sinopec European Warrants Jun 2010 A 0.38 7.88 per unit 2010/06/30 75,000,000 2010/01/14
20335 Nomura Int’l plc Sinopec European Warrants Sep 2010 0.43 8.28 per unit 2010/09/30 75,000,000 2010/01/14
20336 Nomura Int’l plc Sinopec European Warrants Sep 2011 0.151 6.21 2011/09/30 250,000,000 2010/01/14
20332 Nomura Int’l plc China Shenhua European Warrants May 2010 0.184 48.88 2010/05/31 200,000,000 2010/01/14
20331 Nomura Int’l plc China Shenhua European Warrants Jul 2010 0.598 38.88 2010/07/30 100,000,000 2010/01/14
20333 Nomura Int’l plc China Shenhua European Warrants Sep 2010 0.389 46.88 2010/09/30 150,000,000 2010/01/14
20327 Nomura Int’l plc JIANC European Warrants Jun 2010 C 0.17 23.86 2010/06/09 100,000,000 2010/01/14
20328 Nomura Int’l plc JIANC European Warrants Sep 2010 C 0.255 24.68 2010/09/30 100,000,000 2010/01/14
#
17693 BNP Paribas Arbit Issu B.V. Ch Comm Cons Eur Wt Jun 2010 0.057 9.08 2010/06/21 200,000,000 2010/01/14
20366 BNP Paribas Arbit Issu B.V. Agile Ppt European Wts Nov10 0.25 13.86 2010/11/02 100,000,000 2010/01/15
20372 Credit Suisse AG China COSCO European Warrants May 2010 0.15 11 2010/05/17 200,000,000 2010/01/15
20373 Credit Suisse AG CNOOC European Warrants Jul 2010 0.15 14.48 2010/07/26 200,000,000 2010/01/15
20376 Credit Suisse AG HKEx European Warrants Jun 2010 0.15 164.88 per 100 units 2010/06/28 200,000,000 2010/01/15
20375 Credit Suisse AG HSI European Warrants May 2010 A 0.15 23,600 per 8,500 units 2010/05/28 200,000,000 2010/01/15
20377 Credit Suisse AG Hutchison European Warrants May 2010 0.15 63.88 2010/05/31 200,000,000 2010/01/15
20374 Credit Suisse AG Jiangxi Copper European Wts May 2010 B 0.15 22.88 2010/05/03 200,000,000 2010/01/15
20378 Credit Suisse AG Tencent Holdings European Wts Aug 2010 A 0.25 208.88 per 100 units 2010/08/30 200,000,000 2010/01/15
20365 HK Bank Alibaba European Warrants Aug 2010 0.25 24.88 2010/08/27 120,000,000 2010/01/15
20359 Macquarie Bank Ltd. HKEx European Put Warrants Aug 2010 0.257 145 per 100 units 2010/08/03 500,000,000 2010/01/15
20361 SGA Societe Generale Acceptance N.V. Ch Overseas Eu Wt Aug10 0.25 20 2010/08/23 200,000,000 2010/01/15
20360 SGA Societe Generale Acceptance N.V. CCoal Eur Wt Aug 2010 0.25 16.5 2010/08/09 200,000,000 2010/01/15
20362 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Jun 2010B 0.15 12.9 2010/06/14 80,000,000 2010/01/15
20363 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Nov 2010A 0.15 14.88 2010/11/01 80,000,000 2010/01/15
20364 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Aug 2010 0.27 21 2010/08/09 200,000,000 2010/01/15
20368 UBS AG Ch Comm Cons European Warrants Jul 2010 0.25 10.88 per unit 2010/07/19 100,000,000 2010/01/15
20367 UBS AG HSCEI European Warrants Jun 2010 0.15 14,000 per 7,000 units 2010/06/29 100,000,000 2010/01/15
20371 UBS AG HSCEI European Put Warrants Jun 2010 0.15 12,400 per 6,200 units 2010/06/29 100,000,000 2010/01/15
#
17515 CC Rabobank B.A. A50 China European Warrants Oct 2010 A 0.123 15.6 2010/10/08 100,000,000 2010/01/15
20395 Deutsche Bank AG HSI European Warrants Jul 2010 A 0.25 23,400 per 8,000 units 2010/07/29 300,000,000 2010/01/18
20396 Deutsche Bank AG HSI European Warrants Jul 2010 B 0.25 22,800 per 8,000 units 2010/07/29 300,000,000 2010/01/18
20400 Deutsche Bank AG HSI European Put Warrants Jul 2010 C 0.31 22,400 per 8,000 units 2010/07/29 300,000,000 2010/01/18
20401 Deutsche Bank AG HSI European Put Warrants Jul 2010 D 0.27 21,800 per 8,000 units 2010/07/29 300,000,000 2010/01/18
20388 HK Bank China Overseas European Warrants May 2010 0.15 20 2010/05/28 120,000,000 2010/01/18
20392 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jul 2010 A 0.28 88 2010/07/19 248,000,000 2010/01/18
20391 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jun 2010 D 0.38 80.88 2010/06/08 228,000,000 2010/01/18
20393 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Aug 2010 B 0.25 96 2010/08/02 238,000,000 2010/01/18
20394 KBC Fin Products Int’l Ltd. China Shenhua Eur Wts Jun 10A 0.25 50.88 2010/06/14 100,000,000 2010/01/18
20389 Macquarie Bank Ltd. CHALCO European Warrants Dec 2010 0.152 13.9 2010/12/02 150,000,000 2010/01/18
20390 Macquarie Bank Ltd. China EB Ltd European Warrants Jul 10B 0.253 28.88 2010/07/19 200,000,000 2010/01/18
20370 SGA Societe Generale Acceptance N.V. Alibaba Eu Wts Sep10A 0.25 25 2010/09/01 200,000,000 2010/01/18
20379 SGA Societe Generale Acceptance N.V. CCB Eur Wt Aug 2010 A 0.83 6.50 per unit 2010/08/16 80,000,000 2010/01/18
20387 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jul 2010 B 0.68 6.90 per unit 2010/07/26 80,000,000 2010/01/18
20380 SGA Societe Generale Acceptance N.V. Datang Eu Wt Aug 2010 0.5 3.98 per unit 2010/08/04 100,000,000 2010/01/18
20381 SGA Societe Generale Acceptance N.V. Datang Eu Wt Sep 2010 0.44 4.38 per unit 2010/09/01 100,000,000 2010/01/18
20382 SGA Societe Generale Acceptance N.V. Lenovo Eur Wts Aug 10 0.93 5.98 per unit 2010/08/04 100,000,000 2010/01/18
20383 SGA Societe Generale Acceptance N.V. Lenovo Eur Wts Sep 10 0.86 6.48 per unit 2010/09/01 100,000,000 2010/01/18
20384 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Aug 10A 0.285 178 per 100 units 2010/08/04 200,000,000 2010/01/18
20385 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Aug 10B 0.25 188 per 100 units 2010/08/18 200,000,000 2010/01/18
20386 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Sep 10B 0.385 158 per 100 units 2010/09/01 200,000,000 2010/01/18
#
16532 Macquarie Bank Ltd. Ch Comm Cons European Wts Jun 2010 0.042 10 2010/06/29 250,000,000 2010/01/18
#
19827 Credit Suisse AG China Mobile European Warrants Jun 2010 0.134 63.88 per 100 units 2010/06/07 200,000,000 2010/01/18
#
17335 HK Bank HSI European Warrants Mar 2010 B 0.119 22,800 per 7,800 units 2010/03/30 200,000,000 2010/01/18
#
17336 HK Bank HSI European Warrants Mar 2010 C 0.055 24,800 per 5,800 units 2010/03/30 200,000,000 2010/01/18
#
16893 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eu Put Wt Apr 10 0.011 64.99 per 100 units 2010/04/19 1,000,000,000 2010/01/18
#
14831 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Aug 2010 A 0.074 75.88 per 100 units 2010/08/09 1,200,000,000 2010/01/18
#
17401 CC Rabobank B.A. CC Bank European Warrants Dec 2011 0.135 6.28 2011/12/12 100,000,000 2010/01/18
20417 Barclays Bank plc CHALCO European Warrants Nov 2010 0.25 11.5 2010/11/01 200,000,000 2010/01/19
20418 Barclays Bank plc BOCL European Warrants Sep 2010 B 0.37 4.50 per unit 2010/09/06 150,000,000 2010/01/19
20426 Barclays Bank plc CC Bank European Put Warrants Aug 2010 0.45 5.80 per unit 2010/08/02 100,000,000 2010/01/19
20419 Barclays Bank plc Ch Comm Cons European Warrants Sep 2010 1.02 9.80 per unit 2010/09/06 50,000,000 2010/01/19
20420 Barclays Bank plc Ch Comm Cons European Warrants Jun 2011 0.25 9.28 2011/06/20 150,000,000 2010/01/19
20427 Barclays Bank plc China Life European Put Wts Aug 2010 0.33 36 2010/08/02 150,000,000 2010/01/19
20421 Barclays Bank plc CM Bank European Warrants Aug 2010 0.27 22 2010/08/30 200,000,000 2010/01/19
20422 Barclays Bank plc CM Bank European Warrants Oct 2010 0.26 24 2010/10/04 200,000,000 2010/01/19
20423 Barclays Bank plc CNOOC European Warrants Dec 2010 A 0.26 14.2 2010/12/06 200,000,000 2010/01/19
20428 Barclays Bank plc CNOOC European Put Warrants Nov 2010 0.25 12 2010/11/08 150,000,000 2010/01/19
20424 Barclays Bank plc HKEx European Warrants Oct 2010 A 0.26 166 per 100 units 2010/10/04 200,000,000 2010/01/19
20430 Barclays Bank plc HKEx European Put Warrants Sep 2010 A 0.26 140 per 100 units 2010/09/13 150,000,000 2010/01/19
20429 Barclays Bank plc ICBC European Put Warrants Aug 2010 0.6 5.80 per unit 2010/08/30 100,000,000 2010/01/19
20425 Barclays Bank plc PetroChina European Warrants Apr 2011 0.26 10.78 2011/04/18 200,000,000 2010/01/19
20431 Barclays Bank plc PetroChina European Put Wts Apr 2011 0.25 9.5 2011/04/18 150,000,000 2010/01/19
20411 BNP Paribas Arbit Issu B.V. Ch Comm Cons Eur Wt Jul 2011 0.25 8.68 2011/07/18 200,000,000 2010/01/19
20397 Citigroup Global Mkt H Inc. CHALCO European Warrants Sep10 0.25 9.88 2010/09/20 160,000,000 2010/01/19
20398 Citigroup Global Mkt H Inc. BOCL European Wts Nov 2010 0.5 4.50 per unit 2010/11/19 80,000,000 2010/01/19
20399 Citigroup Global Mkt H Inc. BYD European Warrants Jan 2011 0.25 66 per 100 units 2011/01/19 160,000,000 2010/01/19
20404 Citigroup Global Mkt H Inc. China Mobile Eur Wt Sep 2010 0.5 82 2010/09/20 80,000,000 2010/01/19
20402 Citigroup Global Mkt H Inc. CC Bank European Wts Jul 2010 0.5 6.88 per unit 2010/07/19 80,000,000 2010/01/19
20403 Citigroup Global Mkt H Inc. CC Bank European Wts Jan 2011 0.5 8 per unit 2011/01/19 80,000,000 2010/01/19
20405 Citigroup Global Mkt H Inc. CNPC European Warrants Jan2011 0.25 12 2011/01/19 160,000,000 2010/01/19
20407 Citigroup Global Mkt H Inc. A50 China Euro Wts Jan 2011 A 0.25 15 2011/01/19 160,000,000 2010/01/19
20408 Citigroup Global Mkt H Inc. A50 China Euro Wts Mar 2011 0.25 18 2011/03/21 160,000,000 2010/01/19
20414 Deutsche Bank AG China EB Ltd European Warrants Jul 2010 B 0.33 26.5 2010/07/19 150,000,000 2010/01/19
20409 HK Bank China Life European Warrants Jul 2010 A 0.25 41.28 2010/07/23 160,000,000 2010/01/19
20410 HK Bank China Life European Warrants Sep 2010 A 0.25 44.38 2010/09/24 160,000,000 2010/01/19
20412 Macquarie Bank Ltd. HSI European Warrants Jul 2010 A 0.25 23,000 per 7,800 units 2010/07/29 300,000,000 2010/01/19
20416 Macquarie Bank Ltd. HSI European Put Warrants Jul 2010 E 0.25 21,600 per 8,800 units 2010/07/29 300,000,000 2010/01/19
20413 Macquarie Bank Ltd. Yurun Food European Warrants Jul 2010 0.3 27 2010/07/29 100,000,000 2010/01/19
#
19001 Macquarie Bank Ltd. Tencent European Put Warrants Apr 2010 0.049 140 per 100 units 2010/04/29 300,000,000 2010/01/19
#
17549 Citigroup Global Mkt H Inc. A50 China European Wts May10 0.08 14.68 2010/05/31 500,000,000 2010/01/19
20457 Deutsche Bank AG CC Bank European Warrants Jul 2010 B 0.51 6.28 per unit 2010/07/26 200,000,000 2010/01/20
20463 Goldman Sachs SP (Asia) China Mobile Euro Wts Aug 2010 A 0.47 85 2010/08/30 200,000,000 2010/01/20
20464 Goldman Sachs SP (Asia) China Mobile Euro Wts Oct 2010 A 0.35 93 2010/10/28 200,000,000 2010/01/20
20459 Goldman Sachs SP (Asia) CC Bank European Wts Jul 2010 A 0.36 7 per unit 2010/07/29 200,000,000 2010/01/20
20460 Goldman Sachs SP (Asia) CC Bank European Wts Dec 2010 A 0.45 7.70 per unit 2010/12/30 200,000,000 2010/01/20
20461 Goldman Sachs SP (Asia) China Life Euro Wts Jun 2010 A 0.15 43.68 2010/06/03 200,000,000 2010/01/20
20462 Goldman Sachs SP (Asia) China Life Euro Wts Aug 2010 0.37 39 2010/08/30 200,000,000 2010/01/20
20458 Goldman Sachs SP (Asia) A50 China European Wts Mar 2011 A 0.27 14 2011/03/30 200,000,000 2010/01/20
20447 HK Bank CHALCO European Warrants Dec 2010 B 0.25 12.88 2010/12/17 120,000,000 2010/01/20
20448 HK Bank R&F Ppt European Warrants Oct 2010 B 0.25 17.68 2010/10/13 120,000,000 2010/01/20
20449 HK Bank Shimao Ppt European Warrants Jul 2010 0.25 15.38 2010/07/20 120,000,000 2010/01/20
20450 HK Bank Shimao Ppt European Warrants Aug 2010 0.25 18 2010/08/30 120,000,000 2010/01/20
20439 J P Morgan SP BV China Everbright European Wts Jul 2010 B 0.305 25.88 2010/07/20 100,000,000 2010/01/20
20440 J P Morgan SP BV HKEx European Warrants Jul 2010 0.155 160 per 100 units 2010/07/29 238,000,000 2010/01/20
20446 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jul 2010 C 0.25 6.88 per unit 2010/07/20 238,000,000 2010/01/20
20451 Macquarie Bank Ltd. China Unicom European Wts Dec 2010 A 0.25 11.5 2010/12/30 300,000,000 2010/01/20
20452 Macquarie Bank Ltd. CITIC Pacific European Warrants Oct10A 0.254 28 2010/10/04 200,000,000 2010/01/20
20453 Macquarie Bank Ltd. COSCO Pacific European Warrants Oct 10 0.25 15 2010/10/04 200,000,000 2010/01/20
20456 Macquarie Bank Ltd. A50 China European Put Warrants Jul 10 0.25 15 2010/07/29 300,000,000 2010/01/20
20454 Macquarie Bank Ltd. HKEx European Warrants Oct 2010 0.251 170 per 100 units 2010/10/04 200,000,000 2010/01/20
20455 Macquarie Bank Ltd. HSI European Warrants Jun 2010 A 0.19 22,600 per 7,500 units 2010/06/29 300,000,000 2010/01/20
20441 CC Rabobank B.A. Anta Sports European Warrants Aug 2010 0.26 12.4 2010/08/30 130,000,000 2010/01/20
20443 CC Rabobank B.A. China EB Ltd European Warrants Aug 2010 A 0.45 23.2 2010/08/11 80,000,000 2010/01/20
20444 CC Rabobank B.A. China Oilfield European Warrants Aug 2010 0.25 12.4 2010/08/30 130,000,000 2010/01/20
20442 CC Rabobank B.A. China COSCO European Warrants Aug 2010 0.25 12.4 2010/08/30 130,000,000 2010/01/20
20445 CC Rabobank B.A. GCL-Poly Energy European Warrants Aug2010 0.42 2.70 per unit 2010/08/11 80,000,000 2010/01/20
20415 SGA Societe Generale Acceptance N.V. CCB Eur Wt May 2010 B 0.3 7.30 per unit 2010/05/31 80,000,000 2010/01/20
20432 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jul 2010 C 0.85 6.10 per unit 2010/07/21 80,000,000 2010/01/20
20433 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jun 2010 0.2 44.88 2010/06/30 200,000,000 2010/01/20
20434 SGA Societe Generale Acceptance N.V. CLife Eu Wt Oct 2010A 0.25 47.65 2010/10/11 200,000,000 2010/01/20
20437 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Aug 2010 A 0.48 6.80 per unit 2010/08/02 80,000,000 2010/01/20
20435 SGA Societe Generale Acceptance N.V. ICBC Eu Wt May 2010 B 0.51 6.40 per unit 2010/05/17 80,000,000 2010/01/20
20436 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jul 2010 C 0.75 6 per unit 2010/07/26 80,000,000 2010/01/20
20438 SGA Societe Generale Acceptance N.V. PICC P&C Eu Wt Dec10C 0.19 8.08 2010/12/29 200,000,000 2010/01/20
20500 RB of Scotland N.V. CC Bank European Warrants Jul 2010 A 0.405 6.633 per unit 2010/07/21 150,000,000 2010/01/21
20501 RB of Scotland N.V. ICBC European Warrants Jul 2010 0.353 6.399 per unit 2010/07/12 150,000,000 2010/01/21
20473 Barclays Bank plc Angang Steel European Warrants Sep 2010 0.26 18 2010/09/06 100,000,000 2010/01/21
20474 Barclays Bank plc BOCL European Put Warrants Sep 2010 0.34 3.60 per unit 2010/09/06 100,000,000 2010/01/21
20475 Barclays Bank plc BYD European Warrants Jun 2011 0.25 70 per 100 units 2011/06/07 100,000,000 2010/01/21
20478 Barclays Bank plc China Overseas European Warrants Nov2010 0.26 17 2010/11/01 100,000,000 2010/01/21
20479 Barclays Bank plc China Telecom European Warrants Aug 2010 0.26 3.80 per unit 2010/08/09 100,000,000 2010/01/21
20480 Barclays Bank plc ChiUnicom European Warrants Aug 2011A 0.25 10.5 2011/08/23 150,000,000 2010/01/21
20476 Barclays Bank plc CC Bank European Warrants Aug 2010 0.41 6.75 per unit 2010/08/02 100,000,000 2010/01/21
20477 Barclays Bank plc CITBK European Warrants Aug 2010 0.41 6.30 per unit 2010/08/02 100,000,000 2010/01/21
20481 Barclays Bank plc ICBC European Warrants Aug 2010 B 0.38 6.50 per unit 2010/08/30 100,000,000 2010/01/21
20482 Barclays Bank plc PICC P&C European Warrants Mar 2011 0.25 8.28 2011/03/21 150,000,000 2010/01/21
20487 Deutsche Bank AG BOCL European Warrants Jul 2010 0.43 3.88 per unit 2010/07/26 200,000,000 2010/01/21
20484 Deutsche Bank AG HSBC European Warrants May 2010 B 0.53 93.88 2010/05/31 200,000,000 2010/01/21
20485 Deutsche Bank AG HSBC European Warrants Jun 2010 E 0.35 100.88 2010/06/21 200,000,000 2010/01/21
20486 Deutsche Bank AG ICBC European Warrants May 2010 C 0.57 5.88 per unit 2010/05/10 200,000,000 2010/01/21
20488 HK Bank BOCL European Warrants Aug 2010 B 0.25 5 per unit 2010/08/18 160,000,000 2010/01/21
20493 HK Bank China Mobile European Put Warrants Aug 2010 0.25 68.88 2010/08/18 200,000,000 2010/01/21
20490 HK Bank CC Bank European Warrants May 2010 0.15 7.58 per unit 2010/05/27 120,000,000 2010/01/21
20491 HK Bank CC Bank European Warrants Jul 2010 A 0.25 7.28 per unit 2010/07/27 120,000,000 2010/01/21
20489 HK Bank CITIC Bank European Warrants Jul 2010 0.25 6.68 per unit 2010/07/27 120,000,000 2010/01/21
20492 HK Bank ICBC European Warrants Jul 2010 A 0.25 6.50 per unit 2010/07/27 160,000,000 2010/01/21
20495 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Sep 2010 A 0.16 65.05 per 100 units 2010/09/22 308,000,000 2010/01/21
20494 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jun 2010 E 0.16 95 2010/06/04 308,000,000 2010/01/21
20496 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2010 0.31 65.85 2010/06/21 158,000,000 2010/01/21
20497 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Aug 2010 A 0.25 72 2010/08/02 158,000,000 2010/01/21
20498 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Jul 2010 1.19 68 2010/07/21 80,000,000 2010/01/21
20466 Macquarie Bank Ltd. Anhui Conch European Warrants Jul 2010 0.252 62 2010/07/21 150,000,000 2010/01/21
20471 Macquarie Bank Ltd. CHALCO European Put Warrants Nov 2010 0.251 10 2010/11/02 200,000,000 2010/01/21
20465 Macquarie Bank Ltd. Angang Steel European Wts Jul 2010 0.25 19.88 2010/07/21 150,000,000 2010/01/21
20467 Macquarie Bank Ltd. CC Bank European Warrants Aug 2010 0.25 7.50 per unit 2010/08/03 150,000,000 2010/01/21
20468 Macquarie Bank Ltd. CNPC European Warrants Nov 2010 B 0.251 13.88 2010/11/15 188,000,000 2010/01/21
20483 Macquarie Bank Ltd. Foxconn European Warrants Dec 2010 0.25 12 2010/12/02 150,000,000 2010/01/21
20469 Macquarie Bank Ltd. Hang Lung Ppt European Wts Sep 2010 0.262 39.99 2010/09/21 100,000,000 2010/01/21
20470 Macquarie Bank Ltd. Maanshan Iron European Wts Jul 2010 0.466 7 per unit 2010/07/21 88,000,000 2010/01/21
20472 Macquarie Bank Ltd. Tencent European Put Warrants Aug 2010 0.252 160 per 100 units 2010/08/03 300,000,000 2010/01/21
20499 UBS AG China Mobile European Warrants Jun 2010 D 0.2 90.88 2010/06/07 100,000,000 2010/01/21
#
19013 Credit Suisse ICBC European Warrants Dec 2010 C 0.064 6.38 2010/12/06 200,000,000 2010/01/21
#
18904 Deutsche Bank AG SHK Ppt European Warrants Jun 2010 0.045 125.38 per 100 units 2010/06/21 250,000,000 2010/01/21
#
18842 Deutsche Bank AG Zijin Mining European Warrants May 2010 A 0.043 8.88 2010/05/03 250,000,000 2010/01/21
20525 RB of Scotland N.V. China Life European Warrants Jul 2010 A 0.305 38.88 2010/07/22 250,000,000 2010/01/22
20522 BNP Paribas Arbit Issu B.V. Alibaba European Warrants Aug10 0.33 20.88 2010/08/02 100,000,000 2010/01/22
20512 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Oct 2010 A 0.38 7.28 per unit 2010/10/04 200,000,000 2010/01/22
20511 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Aug 2010 B 0.4 6.82 per unit 2010/08/02 200,000,000 2010/01/22
20514 BNP Paribas Arbit Issu B.V. China Life Eu Put Wts Jun 2010 0.23 33.88 2010/06/07 100,000,000 2010/01/22
20524 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Aug 2010 B 0.5 96.88 2010/08/30 300,000,000 2010/01/22
20523 BNP Paribas Arbit Issu B.V. China Tel Euro Wts Sep 2010 B 0.38 4.23 per unit 2010/09/30 100,000,000 2010/01/22
20513 BNP Paribas Arbit Issu B.V. ICBC European Wts Aug 2010 0.34 6.88 per unit 2010/08/02 200,000,000 2010/01/22
20521 BNP Paribas Arbit Issu B.V. Tencent Holdings Eu Wts Dec 10 0.25 212.88 per 100 units 2010/12/01 200,000,000 2010/01/22
20515 Credit Suisse AG CC Bank European Warrants Jun 2010 0.15 6.488 per unit 2010/06/28 200,000,000 2010/01/22
20516 Credit Suisse AG China Mobile European Warrants Jun 2010 B 0.15 86.05 2010/06/04 200,000,000 2010/01/22
20517 Credit Suisse AG ICBC European Warrants Jun 2010 0.15 6.288 per unit 2010/06/28 200,000,000 2010/01/22
10944 Deutsche Bank AG Nikkei 225 Index European Wts Sep 2010 0.26 11,000 per 400 units 2010/09/10 100,000,000 2010/01/22
10949 Deutsche Bank AG Nikkei 225 Index Euro Put Wts Sep 2010 0.25 10,500 per 400 units 2010/09/10 100,000,000 2010/01/22
20506 HK Bank China Tel European Warrants Jul 2010 A 0.25 4.18 per unit 2010/07/22 120,000,000 2010/01/22
20518 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Jun 2010 C 0.38 6.888 per unit 2010/06/22 208,000,000 2010/01/22
20520 KBC Fin Products Int’l Ltd. HSBC European Wts May 2010 C 0.26 99.95 2010/05/10 300,000,000 2010/01/22
20503 Macquarie Bank Ltd. China Mobile European Wts Jun 2010 A 0.151 95 2010/06/14 300,000,000 2010/01/22
20502 Macquarie Bank Ltd. China Comservice European Wts Jul10 0.256 5.88 per unit 2010/07/22 150,000,000 2010/01/22
20504 Macquarie Bank Ltd. New World Dev European Wts Dec 2010 0.251 17 2010/12/30 100,000,000 2010/01/22
20505 Macquarie Bank Ltd. ZTE European Warrants Jul 2010 0.256 66.88 2010/07/22 150,000,000 2010/01/22
20507 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jun 2010 0.4 6.48 per unit 2010/06/30 80,000,000 2010/01/22
20508 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Oct 10 0.27 11.5 2010/10/25 200,000,000 2010/01/22
20509 SGA Societe Generale Acceptance N.V. Esprit Euro Wts Jul10 0.6 65 2010/07/26 80,000,000 2010/01/22
20510 SGA Societe Generale Acceptance N.V. Esprit Euro Wts Oct10 0.625 72 2010/10/25 80,000,000 2010/01/22
20526 UBS AG China Tel European Warrants Jul 2010 0.25 4.18 per unit 2010/07/26 100,000,000 2010/01/22
20519 UBS AG Zijin Mining European Warrants Oct 2010 0.15 8.48 2010/10/18 100,000,000 2010/01/22
#
19068 Deutsche Bank AG Tencent Holdings European Warrants May 10 0.13 168 per 100 units 2010/05/03 200,000,000 2010/01/22
20566 RB of Scotland N.V. Ch Comm Cons European Wts Jan 2011 0.152 8.008 2011/01/10 300,000,000 2010/01/25
20567 RB of Scotland N.V. Sinopec Corp European Warrants Jun 10B 0.501 6.898 per unit 2010/06/22 200,000,000 2010/01/25
20568 RB of Scotland N.V. Jiangxi Copper European Warrants Jul10B 0.15 23 2010/07/19 300,000,000 2010/01/25
20562 BNP Paribas Arbit Issu B.V. CITIC Bank Euro Wts Jun 2010 0.15 7.38 per unit 2010/06/14 80,000,000 2010/01/25
20569 Deutsche Bank AG PICC P&C European Warrants Dec 2010 B 0.18 8.28 2010/12/13 150,000,000 2010/01/25
20561 Deutsche Bank AG SHK Ppt European Warrants Oct 2010 0.15 118.88 per 100 units 2010/10/18 200,000,000 2010/01/25
20538 HK Bank Angang Steel European Warrants Jun 2010 0.15 18.88 2010/06/23 120,000,000 2010/01/25
20539 HK Bank Angang Steel European Warrants Oct 2010 0.25 20.88 2010/10/08 120,000,000 2010/01/25
20541 HK Bank Lenovo European Warrants Aug 2010 0.41 6.88 per unit 2010/08/12 120,000,000 2010/01/25
20528 J P Morgan SP BV CHALCO European Warrants Nov 2010 A 0.17 11.88 2010/11/22 200,000,000 2010/01/25
20529 J P Morgan SP BV CHALCO European Warrants Dec 2010 0.155 13.88 2010/12/01 200,000,000 2010/01/25
20530 J P Morgan SP BV CITIC Bank European Warrants Jul 2010 0.619 5.50 per unit 2010/07/26 50,000,000 2010/01/25
20531 J P Morgan SP BV Chi Res Land European Warrants Jul 2010 0.253 15.88 2010/07/26 100,000,000 2010/01/25
20532 J P Morgan SP BV Foxconn European Warrants Sep 2010 B 0.25 12.88 2010/09/29 150,000,000 2010/01/25
20527 J P Morgan SP BV A50 China European Warrants Dec 2010 0.15 16.88 2010/12/07 200,000,000 2010/01/25
20533 J P Morgan SP BV Tencent European Warrants Jul 2010 B 0.25 210 per 100 units 2010/07/26 200,000,000 2010/01/25
20563 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Apr 2010 B 0.166 21,000 per 7,000 units 2010/04/29 388,000,000 2010/01/25
20564 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2010 I 0.21 22,000 per 10,000 units 2010/05/28 328,000,000 2010/01/25
20565 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2010 J 0.238 22,800 per 10,000 units 2010/05/28 328,000,000 2010/01/25
20555 CC Rabobank B.A. BOCL European Warrants Jun 2010 0.25 4.28 per unit 2010/06/18 50,000,000 2010/01/25
20542 CC Rabobank B.A. Ch Mobile European Warrants Jul 2010 0.67 82 2010/07/29 25,000,000 2010/01/25
20556 CC Rabobank B.A. China Life European Warrants Jul 2010 B 0.31 39.2 2010/07/29 50,000,000 2010/01/25
20557 CC Rabobank B.A. Ch Mobile European Warrants Aug 2010 B 0.49 90 2010/08/30 25,000,000 2010/01/25
20544 CC Rabobank B.A. CNPC European Warrants Sep 2010 0.25 12.4 2010/09/29 130,000,000 2010/01/25
20543 CC Rabobank B.A. China Ship Dev European Warrants Jul 2010 0.34 14.8 2010/07/29 100,000,000 2010/01/25
20545 CC Rabobank B.A. ICBC European Warrants Jul 2010 0.5 6.20 per unit 2010/07/29 40,000,000 2010/01/25
20558 CC Rabobank B.A. Nine Dragons European Warrants Sep 2010 0.25 14.8 2010/09/08 100,000,000 2010/01/25
20546 CC Rabobank B.A. Sinofert European Warrants Feb 2011 0.25 6.2 2011/02/25 180,000,000 2010/01/25
20559 CC Rabobank B.A. Weichai Power European Warrants Dec 2010 0.25 78 per 100 units 2010/12/30 130,000,000 2010/01/25
20534 SGA Societe Generale Acceptance N.V Anhui Conch Eu Wts Jul10 0.46 55 2010/07/26 60,000,000 2010/01/25
20551 SGA Societe Generale Acceptance N.V. ChiUnicom Eu Wts Dec 10 0.25 9 2010/12/06 200,000,000 2010/01/25
20547 SGA Societe Generale Acceptance N.V. CCB Eur Wt Aug 2010 B 0.9 5.70 per unit 2010/08/02 80,000,000 2010/01/25
20548 SGA Societe Generale Acceptance NV Ch Res Power Eu Wt Aug10A 0.265 18 2010/08/04 150,000,000 2010/01/25
20549 SGA Societe Generale Acceptance NV Ch Res Power Eu Wt Aug10B 0.34 16 2010/08/23 150,000,000 2010/01/25
20550 SGA Societe Generale Acceptance NV Ch Res Power Eu Wt Sep10 0.25 20 2010/09/13 150,000,000 2010/01/25
20535 SGA Societe Generale Acceptance NV Denway Motors Eu Wt Sep10 0.78 5.50 per unit 2010/09/13 60,000,000 2010/01/25
20552 SGA Societe Generale Acceptance N.V. Foxconn Eu Wts Aug 10 0.285 11 2010/08/04 200,000,000 2010/01/25
20553 SGA Societe Generale Acceptance N.V. Foxconn Eu Wts Sep 10 0.255 12.7 2010/09/13 200,000,000 2010/01/25
20536 SGA Societe Generale Acceptance N.V. Geely Auto Eu Wt Jul10 0.78 4.60 per unit 2010/07/26 60,000,000 2010/01/25
20554 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Aug 2010 B 0.75 5.60 per unit 2010/08/09 80,000,000 2010/01/25
20537 SGA Societe Generale Acceptance NV Maanshan Iron Eu Wt Jul11 0.16 6.18 2011/07/04 400,000,000 2010/01/25
20560 SGA Societe Generale Acceptance N.V. MTRC Eur Wts Oct 2010 0.25 30 2010/10/06 80,000,000 2010/01/25
#
19387 RB of Scotland N.V. Tencent Holdings European Wts Jun 2010B 0.112 175.88 per 100 units 2010/06/21 100,000,000 2010/01/25
#
20004 Credit Suisse AG Tencent Holdings European Warrants May 2010 0.107 170.10 per 100 units 2010/05/17 200,000,000 2010/01/25
#
19197 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt May 10 0.133 10.98 2010/05/10 300,000,000 2010/01/25
#
18979 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Jun 2010 0.069 100 per 100 units 2010/06/28 300,000,000 2010/01/25
#
18901 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 10A 0.099 14 2010/06/14 200,000,000 2010/01/25
#
19169 UBS AG Tencent Holdings European Warrants May 2010 B 0.124 170 per 100 units 2010/05/24 100,000,000 2010/01/25
20606 RB of Scotland N.V. CNOOC European Warrants Dec 2010 0.15 13.018 2010/12/08 300,000,000 2010/01/26
20605 RB of Scotland N.V. China Shenhua European Wts Jul 2010 0.25 43.88 2010/07/26 150,000,000 2010/01/26
20604 RB of Scotland N.V. Tencent Holdings European Wts Aug 10A 0.25 163.88 per 100 units 2010/08/09 250,000,000 2010/01/26
20608 RB of Scotland N.V. Tencent Holdings European Put Wts Oct10 0.25 148.88 per 100 units 2010/10/11 200,000,000 2010/01/26
20579 Barclays Bank plc China EB Ltd European Warrants Oct 2010 0.33 24 2010/10/18 100,000,000 2010/01/26
20576 Barclays Bank plc Cheung Kong European Warrants Oct 2011 0.25 105 per 100 units 2011/10/24 100,000,000 2010/01/26
20587 Barclays Bank plc Cheung Kong European Put Warrants Oct 11 0.25 90 per 100 units 2011/10/24 100,000,000 2010/01/26
20581 Barclays Bank plc China Shenhua European Warrants Aug 2010 0.3 42 2010/08/23 100,000,000 2010/01/26
20583 Barclays Bank plc Foxconn European Warrants Sep 2010 0.25 11.8 2010/09/20 100,000,000 2010/01/26
20584 Barclays Bank plc A50 China European Warrants Jul 2010 B 0.16 13.38 2010/07/12 100,000,000 2010/01/26
20585 Barclays Bank plc A50 China European Warrants Sep 2010 B 0.25 13.1 2010/09/06 100,000,000 2010/01/26
20586 Barclays Bank plc A50 China European Warrants Nov 2010 A 0.25 13.7 2010/11/08 100,000,000 2010/01/26
20589 Barclays Bank plc A50 China European Put Warrants Jul 2010 0.25 15 2010/07/26 100,000,000 2010/01/26
20590 Barclays Bank plc A50 China European Put Warrants Nov 2010 0.25 14.2 2010/11/08 100,000,000 2010/01/26
20593 Barclays Bank plc HSI European Put Warrants Jun 2010 H 0.18 20,800 per 9,000 units 2010/06/29 100,000,000 2010/01/26
20594 Barclays Bank plc HSI European Put Warrants Aug 2010 A 0.26 21,000 per 10,000 units 2010/08/30 100,000,000 2010/01/26
20595 Barclays Bank plc HSI European Put Warrants Oct 2010 A 0.26 20,300 per 10,000 units 2010/10/28 100,000,000 2010/01/26
20591 Barclays Bank plc HSI European Put Warrants May 2010 G 0.2 21,200 per 9,000 units 2010/05/28 100,000,000 2010/01/26
20592 Barclays Bank plc HSI European Put Warrants May 2010 H 0.25 21,800 per 8,500 units 2010/05/28 100,000,000 2010/01/26
20577 Barclays Bank plc Hutchison European Warrants Oct 2010 0.32 65 2010/10/18 100,000,000 2010/01/26
20578 Barclays Bank plc SHK Ppt European Warrants Aug 2011 0.25 117.50 per 100 units 2011/08/08 100,000,000 2010/01/26
20588 Barclays Bank plc SHK Ppt European Put Warrants Aug 2011 0.25 100 per 100 units 2011/08/08 100,000,000 2010/01/26
20580 Barclays Bank plc Shimao Ppt European Warrants Nov 2010 0.25 14.38 2010/11/22 100,000,000 2010/01/26
20582 Barclays Bank plc Yanzhou Coal European Warrants Aug 2010 0.25 20 2010/08/23 100,000,000 2010/01/26
20570 BOCI Asia Ltd. Foxconn European Warrants Nov 2010 0.25 11.5 2010/11/29 100,000,000 2010/01/26
20571 BOCI Asia Ltd. PetroChina European Warrants Dec 2010 0.15 10 2010/12/30 100,000,000 2010/01/26
20612 BNP Paribas Arbit Issu B.V. BOCL European Wts Sep 2010 0.44 3.98 per unit 2010/09/09 200,000,000 2010/01/26
20613 BNP Paribas Arbit Issu B.V. BOCL European Wts Oct 2010 0.25 4.68 per unit 2010/10/05 200,000,000 2010/01/26
20617 BNP Paribas Arbit Issu B.V. BOCL European Put Warrants Sep10 0.41 3.68 per unit 2010/09/09 80,000,000 2010/01/26
20618 BNP Paribas Arbit Issu B.V. CC Bank European Put Wts Aug10 0.39 5.38 per unit 2010/08/02 80,000,000 2010/01/26
20609 BNP Paribas Arbit Issu B.V. HSCEI European Wts Jul 2010 0.3 12,300 per 6,000 units 2010/07/29 200,000,000 2010/01/26
20614 BNP Paribas Arbit Issu B.V. HSCEI Euro Put Wts Jul 2010 0.33 12,200 per 6,000 units 2010/07/29 200,000,000 2010/01/26
20610 BNP Paribas Arbit Issu B.V. HSI European Wts Jul 2010 A 0.35 21,500 per 9,000 units 2010/07/29 300,000,000 2010/01/26
20615 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jul 2010 B 0.38 21,200 per 9,000 units 2010/07/29 300,000,000 2010/01/26
20616 BNP Paribas Arbit Issu B.V. ICBC European Wts Jul 2010 0.39 6.39 per unit 2010/07/12 200,000,000 2010/01/26
20619 BNP Paribas Arbit Issu B.V. ICBC European Put Wts Jul 2010 0.37 5.39 per unit 2010/07/05 80,000,000 2010/01/26
20611 BNP Paribas Arbit Issu B.V. Tencent Hldg Eu Put Wt Aug10 0.33 168.88 per 100 units 2010/08/02 200,000,000 2010/01/26
20601 Deutsche Bank AG China Unicom European Warrants Jul 2010 0.73 10.28 per unit 2010/07/26 150,000,000 2010/01/26
20599 Deutsche Bank AG China Life European Warrants Jul 2010 A 0.27 39.88 2010/07/26 200,000,000 2010/01/26
20603 Deutsche Bank AG China Life European Put Wts Jun 2010 B 0.21 32.38 2010/06/14 200,000,000 2010/01/26
20602 Deutsche Bank AG HSBC European Put Warrants Dec 2010 0.15 88.68 per 100 units 2010/12/13 300,000,000 2010/01/26
20597 KBC Fin Products Int’l Ltd. China Life Euro Wts May 2010 D 0.55 32.05 2010/05/03 218,000,000 2010/01/26
20598 KBC Fin Products Int’l Ltd. China Life Euro Wts May 2010 E 0.38 34.88 2010/05/10 258,000,000 2010/01/26
20596 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2010 F 0.15 45.88 2010/06/22 400,000,000 2010/01/26
20572 Macquarie Bank Ltd. HSBC European Warrants Oct 2010 0.915 90 2010/10/05 200,000,000 2010/01/26
20573 Macquarie Bank Ltd. HSBC European Warrants Dec 2010 C 0.999 90 2010/12/02 200,000,000 2010/01/26
20574 Macquarie Bank Ltd. HSBC European Warrants Dec 2010 D 0.67 100 2010/12/02 200,000,000 2010/01/26
20575 Macquarie Bank Ltd. HSBC European Warrants Dec 2010 E 0.442 110 2010/12/02 200,000,000 2010/01/26
20620 UBS AG BYD European Warrants Dec 2010 0.17 62.88 per 100 units 2010/12/28 200,000,000 2010/01/26
20621 UBS AG China Life European Warrants Jun 2010 0.22 38.88 2010/06/07 200,000,000 2010/01/26
20622 UBS AG CNOOC European Warrants Nov 2010 A 0.15 12.28 2010/11/15 200,000,000 2010/01/26
20623 UBS AG ICBC European Warrants Jul 2010 A 0.28 6.40 per unit 2010/07/12 100,000,000 2010/01/26
20624 UBS AG PetroChina European Warrants Aug 2010 B 0.15 8.88 2010/08/16 200,000,000 2010/01/26
#
19108 Macquarie Bank Ltd. CC Bank European Warrants May 2010 0.061 8 per unit 2010/05/04 200,000,000 2010/01/26
#
18228 Macquarie Bank Ltd. HSI European Warrants Feb 2010 E 0.029 22,600 per 10,000 units 2010/02/25 400,000,000 2010/01/26
#
19359 CC Rabobank B.A. BOCL European Warrants May 2010 0.022 5.40 per unit 2010/05/28 500,000,000 2010/01/26
#
17401 CC Rabobank B.A. CC Bank European Warrants Dec 2011 0.102 6.28 2011/12/12 100,000,000 2010/01/26
#
17394 CC Rabobank B.A. Hutchison European Warrants Jul 2011 0.059 58.88 per 100 units 2011/07/25 200,000,000 2010/01/26
#
18888 UBS AG HSI European Warrants Apr 2010 0.081 22,000 per 10,000 units 2010/04/29 200,000,000 2010/01/26
20637 RB of Scotland N.V. China Tel European Warrants Jul 2010 0.23 3.888 per unit 2010/07/14 100,000,000 2010/01/27
20660 BNP Paribas Arbit Issu B.V. MTRC European Warrants Dec 2010 0.27 30 2010/12/02 53,000,000 2010/01/27
20663 BNP Paribas Arbit Issu B.V. MTRC European Warrants May 2011 0.25 33.88 2011/05/04 53,000,000 2010/01/27
20643 Deutsche Bank AG BOCL European Put Warrants Aug 2010 0.25 3.48 per unit 2010/08/02 150,000,000 2010/01/27
20645 Deutsche Bank AG CNOOC European Warrants Aug 2010 A 0.15 12.68 2010/08/23 300,000,000 2010/01/27
20644 Deutsche Bank AG Sinopec Corp European Warrants Aug 2010 0.7 6.50 per unit 2010/08/02 150,000,000 2010/01/27
20648 Deutsche Bank AG HKEx European Warrants Aug 2010 B 0.25 145 per 100 units 2010/08/02 300,000,000 2010/01/27
20647 Deutsche Bank AG HSI European Warrants May 2010 G 0.23 20,400 per 8,000 units 2010/05/28 300,000,000 2010/01/27
20646 Deutsche Bank AG Hutchison European Warrants Aug 2010 0.45 58 2010/08/02 150,000,000 2010/01/27
20634 J P Morgan SP BV Minsheng Bank European Warrants Dec 2010 0.15 8.68 2010/12/22 200,000,000 2010/01/27
20635 J P Morgan SP BV A50 China European Warrants Nov 2010 A 0.25 15 2010/11/29 200,000,000 2010/01/27
20649 KBC Fin Products Int’l Ltd. HKEx European Warrants Jun 10 0.24 128 per 100 units 2010/06/21 208,000,000 2010/01/27
20650 KBC Fin Products Int’l Ltd. HKEx European Warrants Sep 10A 0.15 154.90 per 100 units 2010/09/06 258,000,000 2010/01/27
20651 KBC Fin Products Int’l Ltd. HKEx European Put Wts Jul 10B 0.16 143.78 per 100 units 2010/07/19 248,000,000 2010/01/27
20633 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts May10 0.15 19.88 2010/05/18 128,000,000 2010/01/27
20658 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Jun2010 0.15 22.5 2010/06/14 128,000,000 2010/01/27
20659 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Sep10 0.15 24.8 2010/09/01 118,000,000 2010/01/27
20661 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Jul 2010 0.7 102 2010/07/27 100,000,000 2010/01/27
20662 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Aug 2010 0.25 126 per 100 units 2010/08/18 198,000,000 2010/01/27
20656 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Jul 2010A 0.33 128.88 2010/07/27 138,000,000 2010/01/27
20657 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Jul 2010B 0.25 140 2010/07/27 188,000,000 2010/01/27
20636 Macquarie Bank Ltd. China Life European Wts Aug 2010 0.254 42 2010/08/04 200,000,000 2010/01/27
20641 Macquarie Bank Ltd. China Life European Put Wts Aug 2010 0.251 32 2010/08/04 150,000,000 2010/01/27
20640 Macquarie Bank Ltd. WISE CSI European Warrants Aug 2010 0.25 43.88 2010/08/03 168,000,000 2010/01/27
20626 Macquarie Bank Ltd. HSBC European Warrants Apr 2011 0.15 88 per 100 units 2011/04/11 200,000,000 2010/01/27
20638 Macquarie Bank Ltd. ICBC European Warrants Aug 2010 0.336 6.50 per unit 2010/08/03 138,000,000 2010/01/27
20642 Macquarie Bank Ltd. ICBC European Put Warrants Aug 2010 0.27 5 per unit 2010/08/03 88,000,000 2010/01/27
20627 Macquarie Bank Ltd. SHK Ppt European Warrants Dec 2010 0.25 100 per 100 units 2010/12/02 250,000,000 2010/01/27
20629 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jul 2010 D 0.24 7.68 per unit 2010/07/14 80,000,000 2010/01/27
20628 SGA Societe Generale Acceptance N.V. CCCCL Eu Wt Jun 2010 0.22 10.20 per unit 2010/06/07 80,000,000 2010/01/27
20652 SGA Societe Generale Acceptance N.V. CMob Eu Put Wt Jun10E 0.44 70.88 2010/06/14 100,000,000 2010/01/27
20653 SGA Societe Generale Acceptance N.V. CNOOC Eu Put Wt Jun10 0.15 12 2010/06/28 200,000,000 2010/01/27
20654 SGA Societe Generale Acceptance N.V. ICBC Eu Put Wt May 10 0.42 5.80 per unit 2010/05/10 80,000,000 2010/01/27
20630 SGA Societe Generale Acceptance N.V. ICBC Eu Wt May 2010 C 0.2 7.40 per unit 2010/05/24 80,000,000 2010/01/27
20631 SGA Societe Generale Acceptance N.V. Petch Eu Wt Jun 2010B 0.23 12 per unit 2010/06/07 80,000,000 2010/01/27
20655 SGA Societe Generale Acceptance N.V. Petch Eu Put Wt Jul10 0.75 8.50 per unit 2010/07/28 100,000,000 2010/01/27
20632 SGA Societe Generale Acceptance N.V. Renhe Comm Eu Wts Dec10 0.42 2.40 per unit 2010/12/22 100,000,000 2010/01/27
20625 UBS AG Tencent Holdings European Warrants Aug 2010 A 0.15 198.88 per 100 units 2010/08/23 200,000,000 2010/01/27
#
18946 Citigroup Global Mkt H Inc. BYD European Warrants May 2010 0.04 75 per 100 units 2010/05/11 500,000,000 2010/01/27
#
19884 Goldman Sachs SP (Asia) HSI European Warrants May 2010 A 0.064 22,600 per 9,000 units 2010/05/28 200,000,000 2010/01/27
#
14381 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt Dec 2011 0.034 4.680 2011/12/19 300,000,000 2010/01/27
#
18581 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Nov 2010 0.067 92.593 per 93 units 2010/11/29 400,000,000 2010/01/27
#
18304 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jun10D 0.042 23,800 per 10,000 units 2010/06/29 300,000,000 2010/01/27
20690 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Sep 10A 0.25 23.88 2010/09/29 200,000,000 2010/01/28
20702 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Aug10 0.28 145 2010/08/03 90,000,000 2010/01/28
20703 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Oct10 0.15 111 per 100 units 2010/10/18 200,000,000 2010/01/28
20698 Credit Suisse AG BankComm European Warrants Oct 2010 B 0.15 8 2010/10/25 200,000,000 2010/01/28
20701 Credit Suisse AG Geely Auto European Warrants Aug 2010 0.25 4.388 per unit 2010/08/02 200,000,000 2010/01/28
20697 Credit Suisse AG HSI European Put Warrants Jun 2010 A 0.15 20,200 per 10,000 units 2010/06/29 200,000,000 2010/01/28
20696 Credit Suisse AG HSI European Warrants May 2010 B 0.15 21,200 per 10,000 units 2010/05/28 200,000,000 2010/01/28
20699 Credit Suisse AG Jiangxi Copper European Wts Jul 2010 0.15 18 2010/07/05 200,000,000 2010/01/28
20700 Credit Suisse Ping An European Warrants Feb 2011 0.15 63.88 per 100 units 2011/02/14 200,000,000 2010/01/28
20711 Deutsche Bank AG BOCL European Warrants Aug 2010 A 0.25 4.28 per unit 2010/08/02 200,000,000 2010/01/28
20712 Deutsche Bank AG China Overseas European Warrants Aug 2010 0.15 20 2010/08/16 200,000,000 2010/01/28
20714 Deutsche Bank AG A50 China European Warrants Jul 2010 0.15 14 2010/07/12 300,000,000 2010/01/28
20715 Deutsche Bank AG A50 China European Warrants Aug 2010 A 0.25 12.5 2010/08/02 300,000,000 2010/01/28
20720 Deutsche Bank AG HSI European Warrants Jul 2010 E 0.29 19,600 per 8,000 units 2010/07/29 300,000,000 2010/01/28
20721 Deutsche Bank AG HSI European Put Warrants May 2010 H 0.17 20,400 per 8,000 units 2010/05/28 300,000,000 2010/01/28
20722 Deutsche Bank AG HSI European Put Warrants Jun 2010 F 0.15 19,600 per 8,600 units 2010/06/29 300,000,000 2010/01/28
20713 Deutsche Bank AG ICBC European Warrants Jul 2010 B 0.3 6.50 per unit 2010/07/26 200,000,000 2010/01/28
20716 Deutsche Bank AG Tencent Holdings European Warrants Aug10A 0.25 165 per 100 units 2010/08/02 300,000,000 2010/01/28
20717 Deutsche Bank AG Zijin Mining European Warrants Aug 2010 0.15 7.68 2010/08/23 200,000,000 2010/01/28
20681 HK Bank BOCL European Warrants Jul 2010 0.25 4.38 per unit 2010/07/29 160,000,000 2010/01/28
20679 HK Bank CNPC European Warrants Nov 2010 0.25 14.28 2010/11/08 120,000,000 2010/01/28
20680 HK Bank ICBC European Warrants Jul 2010 B 0.25 7.68 per unit 2010/07/29 160,000,000 2010/01/28
20718 J P Morgan SP BV CNPC European Warrants Oct 2010 B 0.25 13.88 2010/10/28 188,000,000 2010/01/28
20719 J P Morgan SP BV Nine Dragons European Warrants Jul 2010 0.25 15 2010/07/29 138,000,000 2010/01/28
20706 KBC Fin Products Int’l Ltd. BOCL European Wts Jul 2010 B 0.25 3.888 per unit 2010/07/19 238,000,000 2010/01/28
20686 KBC Fin Products Int’l Ltd. China Overseas Euro Wts Jun10 0.15 17 2010/06/21 188,000,000 2010/01/28
20685 KBC Fin Products Int’l Ltd. China Tel Euro Wts Jul 2010 A 0.22 3.91 per unit 2010/07/07 168,000,000 2010/01/28
20689 KBC Fin Products Int’l Ltd. China Tel Eur Put Wts Jul 2010 0.55 3.68 per unit 2010/07/28 108,000,000 2010/01/28
20688 KBC Fin Products Int’l Ltd. Ch Railway Euro Wts Aug 2010 0.25 7.68 per unit 2010/08/02 108,000,000 2010/01/28
20707 KBC Fin Products Int’l Ltd. China Shenhua Eur Wts Jun 10B 0.16 42.88 2010/06/15 118,000,000 2010/01/28
20723 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2010 K 0.15 20,800 per 12,000 units 2010/06/29 328,000,000 2010/01/28
20724 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2010 L 0.15 21,400 per 9,000 units 2010/06/29 328,000,000 2010/01/28
20725 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2010 M 0.15 21,800 per 10,000 units 2010/06/29 328,000,000 2010/01/28
20727 KBC Fin Products Int’l Ltd. HSI European Wts Jul 2010 A 0.15 22,000 per 10,000 units 2010/07/29 328,000,000 2010/01/28
20728 KBC Fin Products Int’l Ltd. HSI European Wts Jul 2010 B 0.15 22,400 per 10,000 units 2010/07/29 328,000,000 2010/01/28
20726 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2010 K 0.171 20,400 per 8,000 units 2010/05/28 348,000,000 2010/01/28
20729 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2010 N 0.155 20,000 per 8,000 units 2010/06/29 318,000,000 2010/01/28
20709 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Jun 2010 0.35 5.39 per unit 2010/06/21 138,000,000 2010/01/28
20708 KBC Fin Products Int’l Ltd. ICBC European Wts Jul 2010 B 0.43 5.88 per unit 2010/07/28 228,000,000 2010/01/28
20710 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Put Wt Aug10A 0.15 133.78 per 100 units 2010/08/23 128,000,000 2010/01/28
20664 Nomura Int’l plc Cheung Kong European Warrants Nov 2010 0.151 99.98 per 100 units 2010/11/30 150,000,000 2010/01/28
20665 Nomura Int’l plc Cheung Kong European Warrants Feb 2011 0.2 91.888 per 100 units 2011/02/28 150,000,000 2010/01/28
20672 Nomura Int’l plc A50 China European Warrants Jul 2010 0.162 13.88 2010/07/05 200,000,000 2010/01/28
20671 Nomura Int’l plc A50 China European Warrants Sep 2010 0.151 15.58 2010/09/30 200,000,000 2010/01/28
20673 Nomura Int’l plc A50 China European Warrants Jan 2011 0.21 14.98 2011/01/12 200,000,000 2010/01/28
20676 Nomura Int’l plc HSI European Warrants Jul 2010 A 0.15 22,800 per 10,000 units 2010/07/29 200,000,000 2010/01/28
20677 Nomura Int’l plc HSI European Put Warrants Jun 2010 0.2 20,800 per 9,000 units 2010/06/29 200,000,000 2010/01/28
20678 Nomura Int’l plc HSI European Put Warrants Jul 2010 B 0.185 19,600 per 8,000 units 2010/07/29 200,000,000 2010/01/28
20674 Nomura Int’l plc HSI European Warrants Jun 2010 A 0.16 20,800 per 12,000 units 2010/06/29 200,000,000 2010/01/28
20675 Nomura Int’l plc HSI European Warrants Jun 2010 B 0.15 22,000 per 10,000 units 2010/06/29 200,000,000 2010/01/28
20666 Nomura Int’l plc Hutchison European Warrants Jun 2010 A 0.165 65.78 2010/06/30 100,000,000 2010/01/28
20667 Nomura Int’l plc Hutchison European Warrants Sep 2010 A 0.41 59.88 2010/09/30 100,000,000 2010/01/28
20668 Nomura Int’l plc Tencent Holdings European Warrants Jun 10 0.205 159.90 per 100 units 2010/06/30 150,000,000 2010/01/28
20669 Nomura Int’l plc Tencent Holdings European Warrants Sep 10 0.219 178.86 per 100 units 2010/09/21 150,000,000 2010/01/28
20670 Nomura Int’l plc Tencent Holdings European Warrants Dec10A 0.251 198.88 per 100 units 2010/12/31 150,000,000 2010/01/28
20691 CC Rabobank B.A. BOCL European Warrants Jul 2010 B 0.55 3.60 per unit 2010/07/30 50,000,000 2010/01/28
20692 CC Rabobank B.A. China Life European Warrants Jul 2010 C 0.65 32.8 2010/07/30 80,000,000 2010/01/28
20693 CC Rabobank B.A. China Life European Warrants Jul 2010 D 0.56 34.4 2010/07/30 80,000,000 2010/01/28
20694 CC Rabobank B.A. HSBC European Warrants Jul 2010 D 0.88 86 2010/07/30 80,000,000 2010/01/28
20695 CC Rabobank B.A. Yanzhou Coal European Warrants Jul 2010 0.32 18.8 2010/07/30 100,000,000 2010/01/28
20683 UBS AG China Mobile European Warrants Sep 2010 0.15 65.05 per 100 units 2010/09/27 200,000,000 2010/01/28
20682 UBS AG CC Bank European Warrants Jul 2010 A 0.37 6.48 per unit 2010/07/05 100,000,000 2010/01/28
20705 UBS AG A50 China European Warrants Jul 2010 A 0.15 13.38 2010/07/05 100,000,000 2010/01/28
20684 UBS AG HSI European Warrants May 2010 B 0.2 20,400 per 8,000 units 2010/05/28 200,000,000 2010/01/28
20704 UBS AG PICC European Warrants Dec 2010 B 0.15 8.29 2010/12/13 100,000,000 2010/01/28
#
18989 RB of Scotland N.V. Tencent Holdings European Wts May 2010 0.139 153.33 per 100 units 2010/05/25 100,000,000 2010/01/28
20730 RB of Scotland N.V. BYD European Warrants Jul 2010 0.15 55.05 per 100 units 2010/07/19 300,000,000 2010/01/29
20731 RB of Scotland N.V. BYD European Warrants Dec 2010 0.168 62.888 per 100 units 2010/12/31 300,000,000 2010/01/29
20781 RB of Scotland N.V. HSI European Put Warrants Apr 2010 D 0.151 20,200 per 9,000 units 2010/04/29 400,000,000 2010/01/29
20768 BNP Paribas Arbit Issu B.V BankComm European Warrants Nov10B 0.15 8 2010/11/01 150,000,000 2010/01/29
20794 BNP Paribas Arbit Issu B.V. CM Bank European Warrants Sep 10 0.25 19.68 2010/09/06 200,000,000 2010/01/29
20770 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Jan 2011 0.15 14.98 2011/01/17 200,000,000 2010/01/29
20732 BNP Paribas Arbit Issu B.V. HSI European Wts Jul 2010 C 0.39 19,800 per 9,000 units 2010/07/29 200,000,000 2010/01/29
20733 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jul 2010 D 0.38 20,800 per 9,000 units 2010/07/29 200,000,000 2010/01/29
20769 BNP Paribas Arbit Issu B.V. Ping An European Wts Feb 2011 0.15 63.88 per 100 units 2011/02/14 200,000,000 2010/01/29
20788 Credit Suisse AG BOCL European Warrants Aug 2010 0.25 3.98 per unit 2010/08/02 200,000,000 2010/01/29
20791 Credit Suisse AG China EB Ltd European Warrants Aug 2010 0.25 20.88 2010/08/02 200,000,000 2010/01/29
20793 Credit Suisse AG China Mobile European Warrants Aug 2010 A 0.25 76.38 2010/08/16 200,000,000 2010/01/29
20785 Credit Suisse AG ChiUnicom European Warrants Aug 2011 0.15 10.5 2011/08/22 200,000,000 2010/01/29
20792 Credit Suisse AG Ch Comm Cons European Warrants Feb 2011 0.25 7.18 2011/02/17 200,000,000 2010/01/29
20782 Credit Suisse AG China Coal European Warrants Jul 2010 0.15 12.88 2010/07/19 200,000,000 2010/01/29
20783 Credit Suisse AG CITIC Bank European Warrants May 2010 0.15 5.88 per unit 2010/05/17 200,000,000 2010/01/29
20784 Credit Suisse AG China Life European Warrants May 2010 B 0.15 38.88 2010/05/31 200,000,000 2010/01/29
20786 Credit Suisse AG China Shenhua European Warrants Jun 2010 0.15 36 2010/06/21 200,000,000 2010/01/29
20787 Credit Suisse AG HSBC European Put Warrants Jun 2010 0.15 74 2010/06/04 200,000,000 2010/01/29
20790 Credit Suisse AG ICBC European Warrants May 2010 C 0.15 5.888 per unit 2010/05/03 200,000,000 2010/01/29
20789 Credit Suisse AG SHK Ppt European Warrants Jun 2010 0.15 102.88 per 100 units 2010/06/29 200,000,000 2010/01/29
20774 Deutsche Bank AG China Mobile European Warrants Jul 2010 0.78 70 2010/07/12 300,000,000 2010/01/29
20772 Deutsche Bank AG CC Bank European Warrants Jul 2010 C 0.32 6.80 per unit 2010/07/26 200,000,000 2010/01/29
20771 Deutsche Bank AG Ch Comm Cons European Warrants Dec 2010 0.15 7 2010/12/28 300,000,000 2010/01/29
20773 Deutsche Bank AG China Life European Warrants Aug 2010 A 0.28 36.88 2010/08/02 300,000,000 2010/01/29
20775 Deutsche Bank AG China Mobile European Warrants Aug 2010 B 0.46 80 2010/08/23 300,000,000 2010/01/29
20776 Deutsche Bank AG CNOOC European Warrants Aug 2010 B 0.15 10.88 2010/08/30 300,000,000 2010/01/29
20777 Deutsche Bank AG HKEx European Warrants Jun 2010 0.15 133.88 per 100 units 2010/06/21 300,000,000 2010/01/29
20747 HK Bank HSI European Put Warrants Jul 2010 0.25 18,800 per 10,000 units 2010/07/29 200,000,000 2010/01/29
20746 HK Bank HSI European Warrants Jun 2010 G 0.15 19,900 per 12,000 units 2010/06/29 200,000,000 2010/01/29
20742 HK Bank HSI European Warrants Jul 2010 A 0.25 18,800 per 12,000 units 2010/07/29 200,000,000 2010/01/29
20743 HK Bank HSI European Warrants Jul 2010 B 0.25 20,800 per 10,000 units 2010/07/29 200,000,000 2010/01/29
20744 HK Bank HSI European Warrants Jul 2010 C 0.25 22,800 per 9,000 units 2010/07/29 200,000,000 2010/01/29
20745 HK Bank PetroChina European Warrants May 2010 0.15 11.40 per unit 2010/05/24 200,000,000 2010/01/29
20762 KBC Fin Products Int’l Ltd. BOCL European Wts Jul 2010 C 0.46 3.388 per unit 2010/07/29 168,000,000 2010/01/29
20765 KBC Fin Products Int’l Ltd. Ch Comm Cons Euro Wts Dec 2010 0.15 7 2010/12/22 128,000,000 2010/01/29
20763 KBC Fin Products Int’l Ltd. Ch COSCO European Warrants Jul10 0.21 9.588 2010/07/20 138,000,000 2010/01/29
20764 KBC Fin Products Int’l Ltd. Ch COSCO European Warrants Nov10 0.176 12 2010/11/24 108,000,000 2010/01/29
20767 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jul 2010 B 0.15 13.38 2010/07/05 258,000,000 2010/01/29
20766 KBC Fin Products Int’l Ltd. ICBC European Wts Jul 2010 C 0.47 5.488 per unit 2010/07/29 168,000,000 2010/01/29
20741 Macquarie Bank Ltd. R&F Ppt European Warrants Sep 2010 A 0.251 14 2010/09/29 200,000,000 2010/01/29
20740 Macquarie Bank Ltd. HSI European Put Warrants Jun 2010 0.15 19,600 per 8,600 units 2010/06/29 400,000,000 2010/01/29
20736 Macquarie Bank Ltd. HSI European Warrants Jun 2010 B 0.152 21,000 per 9,000 units 2010/06/29 400,000,000 2010/01/29
20737 Macquarie Bank Ltd. HSI European Warrants Jul 2010 B 0.251 19,800 per 12,500 units 2010/07/29 400,000,000 2010/01/29
20739 Macquarie Bank Ltd. HSI European Warrants Jul 2010 D 0.25 21,200 per 10,000 units 2010/07/29 400,000,000 2010/01/29
20754 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Aug 2010 0.315 3.99 per unit 2010/08/02 100,000,000 2010/01/29
20753 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Jun 2010B 0.226 4.29 per unit 2010/06/21 100,000,000 2010/01/29
20755 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt May 2010 C 0.255 36.89 2010/05/10 100,000,000 2010/01/29
20748 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul10C 0.151 22,500 per 10,000 units 2010/07/29 200,000,000 2010/01/29
20749 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul10D 0.15 22,900 per 8,000 units 2010/07/29 200,000,000 2010/01/29
20750 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Aug10B 0.25 21,000 per 8,000 units 2010/08/30 200,000,000 2010/01/29
20751 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Aug10C 0.25 21,500 per 7,500 units 2010/08/30 200,000,000 2010/01/29
20752 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Aug10D 0.255 22,000 per 6,700 units 2010/08/30 200,000,000 2010/01/29
20758 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug 10E 0.25 19,500 per 7,500 units 2010/08/30 200,000,000 2010/01/29
20759 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug 10F 0.26 20,000 per 8,000 units 2010/08/30 200,000,000 2010/01/29
20760 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug 10G 0.255 20,500 per 9,000 units 2010/08/30 200,000,000 2010/01/29
20761 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug 10H 0.26 21,000 per 10,000 units 2010/08/30 200,000,000 2010/01/29
20757 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Jul 2010 0.27 6.29 per unit 2010/07/05 100,000,000 2010/01/29
20756 Merrill Lynch Int’l & Co. C.V. ICBC European Wts May 2010B 0.415 5.89 per unit 2010/05/07 100,000,000 2010/01/29
20734 SGA Societe Generale Acceptance N.V. CLife Eu Put Wt Jun10A 0.18 32.39 2010/06/14 200,000,000 2010/01/29
20735 SGA Societe Generale Acceptance N.V. CLife Eu Put Wt Jun10B 0.24 33.88 2010/06/14 200,000,000 2010/01/29
20778 UBS AG BOCL European Warrants Jul 2010 A 0.19 4.06 per unit 2010/07/19 100,000,000 2010/01/29
20779 UBS AG HKEx European Warrants Aug 2010 A 0.25 120.88 per 100 units 2010/08/09 200,000,000 2010/01/29
#
18903 Deutsche Bank AG Hutchison European Warrants Apr 2010 0.162 60 2010/04/19 300,000,000 2010/01/29
#
18470 Credit Suisse Tencent Holdings European Warrants Jun 2010 0.13 153.88 per 100 units 2010/06/28 200,000,000 2010/01/29
#
18273 Deutsche Bank AG ICBC European Warrants Apr 2010 A 0.053 6.80 per unit 2010/04/19 400,000,000 2010/01/29
#
19884 Goldman Sachs SP (Asia) HSI European Warrants May 2010 A 0.043 22,600 per 9,000 units 2010/05/28 400,000,000 2010/01/29
#
17838 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Dec 2010 0.066 109.99 per 100 units 2010/12/13 200,000,000 2010/01/29
#
18424 CC Rabobank B.A. CC Bank European Warrants Mar 2010 A 0.22 6.20 per unit 2010/03/30 80,000,000 2010/01/29
20815 RB of Scotland N.V. CITIC Bank European Warrants Oct 2010 0.492 6.08 per unit 2010/10/11 100,000,000 2010/02/01
20817 BNP Paribas Arbit Issu B.V. BankComm Euro Put Wts Dec10 0.25 8.88 2010/12/06 100,000,000 2010/02/01
20818 BNP Paribas Arbit Issu B.V. CM Bank Euro Put Wts Nov10 0.25 16.88 2010/11/01 100,000,000 2010/02/01
20825 Credit Suisse AG CHALCO European Wts Sep 2010 0.15 9.88 2010/09/13 200,000,000 2010/02/01
20824 Credit Suisse AG BBMG European Warrants Aug 2010 0.25 8.08 2010/08/16 200,000,000 2010/02/01
20826 Credit Suisse AG CNPC European Warrants Aug 2010 0.25 11.68 2010/08/23 200,000,000 2010/02/01
20827 Credit Suisse AG Dongfeng Motor European Warrants Jul 2010 0.15 12.4 2010/07/26 200,000,000 2010/02/01
20828 Credit Suisse AG Sinopharm European Warrants Jul 2012 0.25 30.88 per 100 units 2012/07/30 200,000,000 2010/02/01
20829 Credit Suisse AG Tencent Holdings European Wts Aug 2010 B 0.25 149 per 100 units 2010/08/02 200,000,000 2010/02/01
20819 Deutsche Bank AG CM Bank European Warrants Jul 2010 0.18 18.88 2010/07/12 150,000,000 2010/02/01
20820 Deutsche Bank AG China Mobile European Warrants Aug 2010 C 0.25 90 2010/08/23 200,000,000 2010/02/01
20821 Deutsche Bank AG HKEx European Warrants Aug 2010 C 0.25 120 per 100 units 2010/08/02 200,000,000 2010/02/01
20822 Deutsche Bank AG HKEx European Put Warrants Jul 2010 B 0.21 143.88 per 100 units 2010/07/19 200,000,000 2010/02/01
20823 Deutsche Bank AG Sinopharm European Warrants Aug 2010 0.4 35 2010/08/02 150,000,000 2010/02/01
20816 Goldman Sachs SP (Asia) BOCL European Warrants Aug 2010 A 0.44 3.60 per unit 2010/08/02 200,000,000 2010/02/01
20810 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2010 O 0.15 18,200 per 6,400 units 2010/06/29 400,000,000 2010/02/01
20798 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eu Put Wt Jul 10 0.38 65.99 2010/07/26 200,000,000 2010/02/01
20797 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Jun 2010 B 0.26 82.98 2010/06/24 200,000,000 2010/02/01
20799 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts May 2010 0.26 7.11 per unit 2010/05/10 150,000,000 2010/02/01
20800 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Jun 2010 0.249 7.49 per unit 2010/06/28 150,000,000 2010/02/01
20801 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt May 2010B 0.17 3.59 per unit 2010/05/03 150,000,000 2010/02/01
20803 CC Rabobank B.A. CC Bank European Warrants Aug 2010 A 0.97 5.60 per unit 2010/08/03 30,000,000 2010/02/01
20804 CC Rabobank B.A. China Life European Warrants May 2010 B 0.34 35.88 2010/05/28 100,000,000 2010/02/01
20805 CC Rabobank B.A. China Life European Put Warrants Jul 2010 0.26 33 2010/07/02 100,000,000 2010/02/01
20806 CC Rabobank B.A. CNBM European Warrants Aug 2010 0.28 14.8 2010/08/30 100,000,000 2010/02/01
20807 CC Rabobank B.A. Ch Ship Cont European Warrants Aug 2010 0.75 3.60 per unit 2010/08/03 50,000,000 2010/02/01
20802 CC Rabobank B.A. A50 China European Put Warrants Aug 2010B 0.15 13.38 2010/08/03 150,000,000 2010/02/01
10945 SGA Societe Generale Acceptance N.V. EUR/USD Eu Wt Aug 10A 0.42 1.48 per 1 units 2010/08/30 100,000,000 2010/02/01
10946 SGA Societe Generale Acceptance N.V. EUR/USD Eu Wt Aug 10B 0.27 1.55 per 1 units 2010/08/30 100,000,000 2010/02/01
10950 SGA Societe Generale Acceptance N.V EUR/USD Eu Put Wt Aug10C 0.32 1.30 per 1 units 2010/08/30 100,000,000 2010/02/01
10951 SGA Societe Generale Acceptance N.V EUR/USD Eu Put Wt Aug10D 0.65 1.40 per 1 units 2010/08/30 100,000,000 2010/02/01
20808 SGA Societe Generale Acceptance N.V. HKEx Eu Put Wt Jul 10 0.15 128 per 100 units 2010/07/26 200,000,000 2010/02/01
20809 SGA Societe Generale Acceptance N.V. HKEx Eu Put Wt Sep 10 0.23 140 per 100 units 2010/09/06 200,000,000 2010/02/01
20795 SGA Societe Generale Acceptance N.V. Sh Electric Eu Wt Aug10 0.61 3.75 per unit 2010/08/02 80,000,000 2010/02/01
20811 UBS AG BYD European Warrants Jul 2010 B 0.15 55.05 per 100 units 2010/07/19 200,000,000 2010/02/01
20813 UBS AG China COSCO European Warrants Jul 2010 0.165 9.58 2010/07/19 100,000,000 2010/02/01
20812 UBS AG CITIC Bank European Warrants Aug 2010 0.33 6.08 per unit 2010/08/09 100,000,000 2010/02/01
20814 UBS AG HSI European Put Warrants Jun 2010 C 0.15 18,200 per 6,400 units 2010/06/29 200,000,000 2010/02/01
#
18888 UBS AG HSI European Warrants Apr 2010 0.049 22,000 per 10,000 units 2010/04/29 400,000,000 2010/02/01
20857 RB of Scotland N.V. HSI European Warrants May 2010 0.15 20,400 per 8,000 units 2010/05/28 400,000,000 2010/02/02
20858 RB of Scotland N.V. HSI European Put Warrants Jun 2010 A 0.183 19,600 per 8,600 units 2010/06/29 400,000,000 2010/02/02
20855 RB of Scotland N.V. ICBC European Warrants Aug 2010 0.419 5.688 per unit 2010/08/02 100,000,000 2010/02/02
20841 Barclays Bank plc CHALCO European Warrants Feb 2011 0.25 9.38 2011/02/28 150,000,000 2010/02/02
20838 Barclays Bank plc China COSCO European Warrants Feb 2011 0.25 10.88 2011/02/21 150,000,000 2010/02/02
20832 Barclays Bank plc CNPC European Warrants Dec 2010 0.25 11.88 2010/12/20 150,000,000 2010/02/02
20835 Barclays Bank plc Chi Res Power European Warrants Oct 2010 0.25 16.5 2010/10/25 150,000,000 2010/02/02
20837 Barclays Bank plc Datang European Warrants Oct 2010 0.26 4 per unit 2010/10/11 150,000,000 2010/02/02
20834 Barclays Bank plc Denway Motors European Warrants Aug 2010 0.66 5.38 per unit 2010/08/16 100,000,000 2010/02/02
20839 Barclays Bank plc Foxconn European Warrants Dec 2010 0.25 9.88 2010/12/20 150,000,000 2010/02/02
20833 Barclays Bank plc Geely Auto European Warrants Oct 2010 0.57 4.25 per unit 2010/10/18 100,000,000 2010/02/02
20836 Barclays Bank plc HuanengPower European Warrants Sep 2010 0.31 5 per unit 2010/09/13 100,000,000 2010/02/02
20840 Barclays Bank plc Ping An European Warrants Oct 2010 0.43 75 2010/10/18 100,000,000 2010/02/02
20843 BNP Paribas Arbit Issu B.V. Sinopec Corp Euro Wts Oct 2011 0.15 6.21 2011/10/04 200,000,000 2010/02/02
20852 BNP Paribas Arbit Issu B.V. HSI European Wts Aug 2010 E 0.37 19,200 per 9,000 units 2010/08/30 200,000,000 2010/02/02
20853 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Sep 2010 A 0.32 20,200 per 11,000 units 2010/09/29 200,000,000 2010/02/02
20854 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts May 2010 B 0.27 20,400 per 8,000 units 2010/05/28 200,000,000 2010/02/02
20830 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Aug 2010 A 0.46 21,800 per 9,000 units 2010/08/30 200,000,000 2010/02/02
20856 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Aug 2010 B 0.32 19,600 per 9,000 units 2010/08/30 200,000,000 2010/02/02
20844 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Sep 10B 0.27 17.18 2010/09/01 200,000,000 2010/02/02
20867 Credit Suisse AG China Life European Warrants Jul 2010 0.15 36.38 2010/07/05 200,000,000 2010/02/02
20871 Credit Suisse AG HSI European Put Warrants May 2010 0.15 19,000 per 8,000 units 2010/05/28 200,000,000 2010/02/02
20866 Credit Suisse AG HSI European Warrants May 2010 C 0.15 20,400 per 8,000 units 2010/05/28 200,000,000 2010/02/02
20870 Credit Suisse AG ICBC European Warrants Aug 2010 A 0.25 5.988 per unit 2010/08/09 200,000,000 2010/02/02
20868 Credit Suisse AG PetroChina European Warrants Aug 2010 0.15 8.88 2010/08/16 200,000,000 2010/02/02
20831 HK Bank Sinopharm European Warrants Aug 2010 0.25 36.88 2010/08/02 80,000,000 2010/02/02
20842 J P Morgan SP BV China Life European Warrants Aug 2010 A 0.3 33.88 2010/08/30 200,000,000 2010/02/02
20859 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts May 2010 E 0.45 3.99 per unit 2010/05/25 130,000,000 2010/02/02
20860 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Aug 2010 0.25 5.18 per unit 2010/08/02 200,000,000 2010/02/02
20845 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2010 H 0.15 38.88 2010/06/01 400,000,000 2010/02/02
20846 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2010 I 0.15 39.93 2010/06/25 400,000,000 2010/02/02
20864 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Aug 2010 B 0.57 6.08 per unit 2010/08/02 175,000,000 2010/02/02
20861 KBC Fin Products Int’l Ltd. Sinopec Corp Eu Put Wt Aug 10 0.25 5 per unit 2010/08/02 158,000,000 2010/02/02
20862 KBC Fin Products Int’l Ltd. HKEx European Put Wts Jul 10C 0.15 128 per 100 units 2010/07/15 200,000,000 2010/02/02
20865 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts May 2010 0.29 74 2010/05/25 138,000,000 2010/02/02
20863 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Aug 2010 0.25 4.88 per unit 2010/08/02 200,000,000 2010/02/02
20847 UBS AG China Life European Warrants Jul 2010 A 0.2 36.38 2010/07/12 200,000,000 2010/02/02
20848 UBS AG R&F Ppt European Warrants Sep 2010 0.15 15.88 2010/09/27 100,000,000 2010/02/02
20851 UBS AG HSBC European Put Warrants Sep 2010 B 0.32 70.88 2010/09/27 100,000,000 2010/02/02
20849 UBS AG Jiangxi Copper European Warrants Jul 2010 0.197 18 2010/07/12 100,000,000 2010/02/02
20850 UBS AG Tencent Holdings European Warrants Jun 2010 C 0.231 133.88 per 100 units 2010/06/07 100,000,000 2010/02/02
20906 RB of Scotland N.V. A50 China European Warrants Jun 2010 B 0.151 12.98 2010/06/29 300,000,000 2010/02/03
20903 Deutsche Bank AG Bank of EA European Warrants Jun 2010 0.21 30 2010/06/28 150,000,000 2010/02/03
20919 Deutsche Bank AG CC Bank European Warrants Aug 2010 A 0.69 5.68 per unit 2010/08/09 200,000,000 2010/02/03
20920 Deutsche Bank AG China Life European Warrants Aug 2010 B 0.35 33.88 2010/08/16 200,000,000 2010/02/03
20904 Deutsche Bank AG Sinopec Corp European Warrants Sep 2010 0.15 5.5 2010/09/27 200,000,000 2010/02/03
20921 Deutsche Bank AG HSI European Warrants Aug 2010 A 0.29 18,600 per 8,000 units 2010/08/30 300,000,000 2010/02/03
20922 Deutsche Bank AG HSI European Warrants Aug 2010 B 0.25 19,200 per 8,000 units 2010/08/30 300,000,000 2010/02/03
20923 Deutsche Bank AG HSI European Put Warrants May 2010 I 0.15 19,000 per 8,000 units 2010/05/28 300,000,000 2010/02/03
20924 Deutsche Bank AG ICBC European Warrants Aug 2010 A 0.59 5.38 per unit 2010/08/09 200,000,000 2010/02/03
20905 Deutsche Bank AG Tencent Holdings European Warrants Jun10D 0.2 133.88 per 100 units 2010/06/07 200,000,000 2010/02/03
20925 Goldman Sachs SP (Asia) HSI European Warrants Jun 2010 0.15 20,600 per 8,000 units 2010/06/29 200,000,000 2010/02/03
20926 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 E 0.25 21,200 per 6,500 units 2010/08/30 200,000,000 2010/02/03
20931 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 A 0.27 20,600 per 9,000 units 2010/08/30 200,000,000 2010/02/03
20929 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2010 B 0.18 19,600 per 8,600 units 2010/06/29 200,000,000 2010/02/03
20930 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2010 C 0.16 20,100 per 12,000 units 2010/06/29 200,000,000 2010/02/03
20887 HK Bank Angang Steel European Warrants Aug 2010 B 0.25 15.28 2010/08/03 120,000,000 2010/02/03
20888 HK Bank BOCL European Warrants Aug 2010 C 0.25 3.90 per unit 2010/08/12 120,000,000 2010/02/03
20899 HK Bank China Overseas European Warrants Sep 2010 0.25 16.28 2010/09/17 120,000,000 2010/02/03
20890 HK Bank CC Bank European Warrants Aug 2010 0.25 6.28 per unit 2010/08/03 120,000,000 2010/02/03
20889 HK Bank CC Bank European Warrants Jul 2010 B 0.15 6.88 per unit 2010/07/12 120,000,000 2010/02/03
20891 HK Bank China Life European Warrants Jul 2010 B 0.15 38.38 2010/07/23 180,000,000 2010/02/03
20898 HK Bank CM Bank European Warrants Aug 2010 0.25 18.88 2010/08/23 160,000,000 2010/02/03
20893 HK Bank CM Bank European Warrants Oct 2010 0.25 19.88 2010/10/22 160,000,000 2010/02/03
20894 HK Bank Sinopec Corp European Warrants Aug 2010 0.25 6.58 per unit 2010/08/03 120,000,000 2010/02/03
20895 HK Bank China Shenhua European Warrants Aug 2010 A 0.25 36.88 2010/08/03 160,000,000 2010/02/03
20896 HK Bank R&F Ppt European Warrants Nov 2010 0.25 14.28 2010/11/18 120,000,000 2010/02/03
20900 HK Bank R&F Ppt European Warrants Sep 2010 B 0.25 12.88 2010/09/20 120,000,000 2010/02/03
20901 HK Bank HKEx European Warrants Nov 2010 0.25 148.99 per 100 units 2010/11/08 120,000,000 2010/02/03
20897 HK Bank HKEx European Warrants Sep 2010 B 0.25 136.80 per 100 units 2010/09/02 120,000,000 2010/02/03
20902 HK Bank Shimao Ppt European Warrants Sep 2010 0.25 13.38 2010/09/20 120,000,000 2010/02/03
20939 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Aug 2010 0.33 64 2010/08/03 208,000,000 2010/02/03
20928 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Aug 2010 A 0.5 5.98 per unit 2010/08/03 198,000,000 2010/02/03
20938 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Aug 10D 0.25 28.88 2010/08/03 200,000,000 2010/02/03
20932 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Aug10 B 0.25 13 2010/08/03 158,000,000 2010/02/03
20933 KBC Fin Products Int’l Ltd. China Shenhua Eur Wts Aug 2010 0.3 34 2010/08/03 100,000,000 2010/02/03
20934 KBC Fin Products Int’l Ltd. China Tel Euro Wts Jul 2010 B 0.22 3.38 per unit 2010/07/20 180,000,000 2010/02/03
20927 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jun 2010 B 0.15 12.98 2010/06/22 198,000,000 2010/02/03
20937 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Jun 10 0.15 12.28 2010/06/22 198,000,000 2010/02/03
20935 KBC Fin Products Int’l Ltd. HKEx European Warrants Aug 10 0.25 121 per 100 units 2010/08/03 200,000,000 2010/02/03
20936 KBC Fin Products Int’l Ltd. HSBC European Wts Jul 2010 0.43 90 2010/07/22 160,000,000 2010/02/03
20875 Macquarie Bank Ltd. CHALCO European Warrants Jun 2010 0.15 8 2010/06/02 200,000,000 2010/02/03
20879 Macquarie Bank Ltd. BBMG European Warrants Nov 2010 0.252 9.5 2010/11/15 200,000,000 2010/02/03
20876 Macquarie Bank Ltd. BOCL European Warrants Aug 2010 0.251 4 per unit 2010/08/03 200,000,000 2010/02/03
20877 Macquarie Bank Ltd. BOCL European Warrants Feb 2011 0.25 4.80 per unit 2011/02/02 200,000,000 2010/02/03
20878 Macquarie Bank Ltd. BankComm European Warrants Aug 2010 0.15 7.5 2010/08/03 200,000,000 2010/02/03
20909 Macquarie Bank Ltd. CC Bank European Warrants May 2010 B 0.154 7.09 per unit 2010/05/05 150,000,000 2010/02/03
20880 Macquarie Bank Ltd. Jiangxi Copper European Wts Jun 2010 0.153 18.88 2010/06/30 200,000,000 2010/02/03
20881 Macquarie Bank Ltd. Sinopharm European Warrants Aug 2010 0.256 36 2010/08/03 200,000,000 2010/02/03
20872 Merrill Lynch Int’l & Co. C.V. ChiUnicom Euro Wts Dec10 0.15 8.99 2010/12/13 150,000,000 2010/02/03
20873 Merrill Lynch Int’l & Co. C.V. ChiUnicom Eu Put Wts Sep10 0.157 8.99 2010/09/22 150,000,000 2010/02/03
20882 CC Rabobank B.A. CC Bank European Warrants Aug 2010 B 0.55 6.20 per unit 2010/08/30 100,000,000 2010/02/03
20883 CC Rabobank B.A. Sinopec Corp European Warrants Aug 2010 B 0.55 6.20 per unit 2010/08/30 100,000,000 2010/02/03
20884 CC Rabobank B.A. Lee & Man Paper European Warrants Aug 10 0.78 5.80 per unit 2010/08/30 80,000,000 2010/02/03
20885 CC Rabobank B.A. Poly HK Inv European Warrants Aug 2010 0.25 8.6 2010/08/30 250,000,000 2010/02/03
20886 CC Rabobank B.A. Skyworth Digital European Warrants Oct 10 0.25 7.2 2010/10/28 280,000,000 2010/02/03
20910 SGA Societe Generale Acceptance N.V. CHALCO Eu Wt Nov 2010 0.15 9.28 2010/11/01 200,000,000 2010/02/03
20911 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Aug 2010 B 0.25 3.92 per unit 2010/08/16 80,000,000 2010/02/03
20912 SGA Societe Generale Acceptance N.V. Shenhua Eu Wt Aug 10 0.37 39.15 2010/08/23 80,000,000 2010/02/03
20874 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Dec 2010 B 0.25 130 per 100 units 2010/12/06 200,000,000 2010/02/03
20913 SGA Societe Generale Acceptance N.V. HWL Eur Wt Jun 2010 C 0.24 61.45 2010/06/23 80,000,000 2010/02/03
20908 UBS AG China Tel European Warrants Aug 2010 0.25 3.48 per unit 2010/08/09 100,000,000 2010/02/03
20915 UBS AG China Life European Warrants Jul 2010 B 0.15 41 2010/07/26 200,000,000 2010/02/03
20907 UBS AG Sinopec Corp European Warrants Jul 2010 B 0.41 6.50 per unit 2010/07/26 100,000,000 2010/02/03
20918 UBS AG HSI European Put Warrants May 2010 0.15 19,000 per 8,000 units 2010/05/28 200,000,000 2010/02/03
20914 UBS AG HSI European Warrants Jun 2010 E 0.15 21,000 per 9,000 units 2010/06/29 200,000,000 2010/02/03
20917 UBS AG Tencent Holdings European Warrants Jul 2010 0.15 148 per 100 units 2010/07/26 100,000,000 2010/02/03
20946 Barclays Bank plc Angang Steel European Warrants Oct 2010 0.25 14.5 2010/10/25 150,000,000 2010/02/04
20947 Barclays Bank plc BOCL European Warrants Oct 2010 0.3 3.98 per unit 2010/10/18 100,000,000 2010/02/04
20948 Barclays Bank plc CC Bank European Warrants Nov 2010 0.58 6.38 per unit 2010/11/29 100,000,000 2010/02/04
20950 Barclays Bank plc China Coal European Warrants Jan 2011 0.25 12.5 2011/01/24 100,000,000 2010/02/04
20951 Barclays Bank plc China Life European Warrants Oct 2010 A 0.33 36 2010/10/11 100,000,000 2010/02/04
20957 Barclays Bank plc China Life European Put Wts Oct 2010 0.31 31.5 2010/10/11 100,000,000 2010/02/04
20949 Barclays Bank plc CM Bank European Warrants Dec 2010 A 0.26 18 2010/12/20 150,000,000 2010/02/04
20952 Barclays Bank plc China Shenhua European Warrants Sep 2010 0.29 36 2010/09/13 150,000,000 2010/02/04
20955 Barclays Bank plc HSI European Warrants Aug 2010 C 0.25 19,200 per 11,500 units 2010/08/30 150,000,000 2010/02/04
20956 Barclays Bank plc HSI European Warrants Aug 2010 D 0.25 20,000 per 10,000 units 2010/08/30 150,000,000 2010/02/04
20958 Barclays Bank plc HSI European Put Warrants May 2010 I 0.2 19,200 per 7,000 units 2010/05/28 150,000,000 2010/02/04
20959 Barclays Bank plc HSI European Put Warrants Jun 2010 I 0.18 19,600 per 8,600 units 2010/06/29 150,000,000 2010/02/04
20960 Barclays Bank plc HSI European Put Warrants Aug 2010 B 0.25 18,800 per 9,000 units 2010/08/30 150,000,000 2010/02/04
20953 Barclays Bank plc ICBC European Warrants Sep 2010 0.44 6 per unit 2010/09/13 100,000,000 2010/02/04
20954 Barclays Bank plc PetroChina European Warrants May 2011 0.17 8.88 2011/05/03 200,000,000 2010/02/04
20942 BOCI Asia Ltd. Sinopec Corp European Warrants Aug 2010 0.5 6.98 per unit 2010/08/31 100,000,000 2010/02/04
20945 BOCI Asia Ltd. HSBC European Put Warrants Jun 2010 0.15 92 per 100 units 2010/06/01 100,000,000 2010/02/04
20940 BOCI Asia Ltd. HSBC European Warrants Jun 2010 A 0.25 93.88 2010/06/07 100,000,000 2010/02/04
20941 BOCI Asia Ltd. HSBC European Warrants Jun 2010 B 0.15 100.88 2010/06/21 100,000,000 2010/02/04
20943 Citigroup Global Mkt H Inc. BOCL European Wts Dec 2010 0.5 3.88 per unit 2010/12/06 80,000,000 2010/02/04
20944 Citigroup Global Mkt H Inc. BankComm European Wts Feb 2012 0.25 7.8 2012/02/06 160,000,000 2010/02/04
20966 Citigroup Global Mkt H Inc. China Tel Euro Wts Feb 2011 0.25 5 per unit 2011/02/07 160,000,000 2010/02/04
20962 Citigroup Global Mkt H Inc. Ch Comm Cons Euro Wts Feb 2012 0.25 8.88 2012/02/06 160,000,000 2010/02/04
20961 Citigroup Global Mkt H Inc. CITIC Bank European Wts Oct 10 0.75 5 per unit 2010/10/04 53,000,000 2010/02/04
20967 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt Aug 2010 0.25 18 2010/08/04 160,000,000 2010/02/04
20963 Citigroup Global Mkt H Inc. China Life Euro Wts Jan 2011 0.5 33.88 2011/01/04 80,000,000 2010/02/04
20964 Citigroup Global Mkt H Inc. CM Bank European Wts Dec 2010A 0.25 18.88 2010/12/06 160,000,000 2010/02/04
20965 Citigroup Global Mkt H Inc. China Shenhua Eur Wts Dec 2010 0.7 35 2010/12/06 57,000,000 2010/02/04
20968 Citigroup Global Mkt H Inc. Zijin Mining Euro Wts Feb 2011 0.25 6 2011/02/07 160,000,000 2010/02/04
20977 Goldman Sachs SP (Asia) BOCL European Warrants May 2010 0.16 4.17 per unit 2010/05/04 200,000,000 2010/02/04
20979 Goldman Sachs SP (Asia) China Mobile Euro Wts May 2010 0.15 88 2010/05/28 200,000,000 2010/02/04
20978 Goldman Sachs SP (Asia) CC Bank European Wts Jun 2010 B 0.38 6.49 per unit 2010/06/29 200,000,000 2010/02/04
20980 Goldman Sachs SP (Asia) China Mobile Euro Wts Jun 2010 C 0.42 78 2010/06/29 200,000,000 2010/02/04
20981 Goldman Sachs SP (Asia) HSBC European Warrants Jul 2010 A 0.46 90 2010/07/29 200,000,000 2010/02/04
20982 Goldman Sachs SP (Asia) HSBC European Warrants Jul 2010 B 0.19 102 2010/07/29 200,000,000 2010/02/04
20983 Goldman Sachs SP (Asia) Tencent Holdings European Wt Jul10 0.15 162.80 per 100 units 2010/07/29 200,000,000 2010/02/04
20975 KBC Fin Products Int’l Ltd. CNOOC European Wts Jul 2010 B 0.15 10.88 2010/07/05 188,000,000 2010/02/04
20972 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Aug 2010 0.25 11,600 per 7,000 units 2010/08/30 200,000,000 2010/02/04
20974 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2010 F 0.17 10,600 per 5,000 units 2010/06/29 200,000,000 2010/02/04
20973 KBC Fin Products Int’l Ltd. HSI European Wts Aug 2010 B 0.25 19,000 per 11,500 units 2010/08/30 300,000,000 2010/02/04
20969 UBS AG BOCL European Warrants Jul 2010 B 0.34 3.60 per unit 2010/07/26 100,000,000 2010/02/04
20970 UBS AG CC Bank European Warrants Jul 2010 B 0.19 7.28 per unit 2010/07/26 100,000,000 2010/02/04
20971 UBS AG ICBC European Warrants Jul 2010 B 0.4 5.88 per unit 2010/07/26 100,000,000 2010/02/04
#
17856 Macquarie Bank Ltd. Agile Ppt European Warrants Jun 2010 0.054 13 2010/06/29 200,000,000 2010/02/04
#
18484 Macquarie Bank Ltd. ICBC European Warrants Apr 2010 0.067 7 per unit 2010/04/19 160,000,000 2010/02/04
#
19686 Deutsche Bank AG Minsheng Bank European Warrants Jun 2010B 0.068 7.8 2010/06/07 400,000,000 2010/02/04
21016 RB of Scotland N.V. China Life European Warrants Jun 2010 B 0.271 36.4 2010/06/28 200,000,000 2010/02/05
20998 BOCI Asia Ltd. BOCL European Warrants Aug 2010 0.25 4.38 per unit 2010/08/09 100,000,000 2010/02/05
20999 BOCI Asia Ltd. BankComm European Warrants Nov 2010 0.15 8 2010/11/04 100,000,000 2010/02/05
21000 BOCI Asia Ltd. Nine Dragons European Warrants Jun 2010 0.15 12.68 2010/06/14 100,000,000 2010/02/05
21001 BOCI Asia Ltd. Sinopharm European Warrants Aug 2010 0.4 35.5 2010/08/09 100,000,000 2010/02/05
21011 Deutsche Bank AG China Overseas European Warrants Dec 2010 0.25 15 2010/12/28 150,000,000 2010/02/05
21010 Deutsche Bank AG China Coal European Warrants Jul 2010 B 0.15 12.88 2010/07/12 150,000,000 2010/02/05
21009 Deutsche Bank AG CITIC Bank European Warrants Aug 2010 0.64 5.20 per unit 2010/08/09 150,000,000 2010/02/05
21012 Deutsche Bank AG CNOOC European Warrants Aug 2010 C 0.18 9.88 2010/08/02 200,000,000 2010/02/05
21022 Goldman Sachs SP (Asia) HSI European Put Wts May 2010 D 0.15 19,200 per 7,000 units 2010/05/28 200,000,000 2010/02/05
21023 Goldman Sachs SP (Asia) HSI European Put Wts May 2010 E 0.15 19,000 per 8,000 units 2010/05/28 200,000,000 2010/02/05
20996 J P Morgan SP BV BOCL European Warrants Aug 2010 0.314 3.80 per unit 2010/08/05 150,000,000 2010/02/05
20997 J P Morgan Int’l Der. Ltd. CC Bank European Wts Aug 2010 0.63 5.88 per unit 2010/08/05 100,000,000 2010/02/05
21018 KBC Fin Products Int’l Ltd. BOCL European Wts Sep 2010 A 0.15 4.50 per unit 2010/09/01 258,000,000 2010/02/05
21017 KBC Fin Products Int’l Ltd. BOCL European Wts Jul 2010 D 0.15 4.29 per unit 2010/07/26 258,000,000 2010/02/05
21019 KBC Fin Products Int’l Ltd. China Life Euro Wts Jul 2010 C 0.15 42.8 2010/07/05 400,000,000 2010/02/05
21021 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Aug10C 0.29 15.48 2010/08/05 200,000,000 2010/02/05
21020 KBC Fin Products Int’l Ltd. ICBC European Wts Jul 2010 D 0.26 6.50 per unit 2010/07/20 228,000,000 2010/02/05
20992 Macquarie Bank Ltd. CITIC Bank European Warrants Jun 2010B 0.322 6 per unit 2010/06/14 100,000,000 2010/02/05
20993 Macquarie Bank Ltd. China Life European Wts May 2010 0.152 38.88 2010/05/26 600,000,000 2010/02/05
21007 Macquarie Bank Ltd. HSBC European Warrants Jun 2010 0.209 93.88 2010/06/02 200,000,000 2010/02/05
21008 Macquarie Bank Ltd. HSBC European Put Warrants Aug 2010 0.254 70 2010/08/05 200,000,000 2010/02/05
20994 Macquarie Bank Ltd. Huaneng Power European Wts Jul 2010 B 0.311 5 per unit 2010/07/06 100,000,000 2010/02/05
20995 Macquarie Bank Ltd. PetroChina European Wts Jul 2010 0.354 10.39 per unit 2010/07/05 150,000,000 2010/02/05
21003 CC Rabobank B.A. HSI European Warrants Jul 2010 A 0.17 19,900 per 11,000 units 2010/07/29 200,000,000 2010/02/05
21004 CC Rabobank B.A. HSI European Warrants Aug 2010 0.25 20,000 per 8,000 units 2010/08/30 200,000,000 2010/02/05
21002 CC Rabobank B.A. HSI European Warrants Jun 2010 F 0.15 20,800 per 12,000 units 2010/06/29 200,000,000 2010/02/05
21005 CC Rabobank B.A. HSI European Put Warrants May 2010 D 0.15 19,200 per 7,000 units 2010/05/28 200,000,000 2010/02/05
21006 CC Rabobank B.A. HSI European Put Warrants Jun 2010 G 0.2 20,000 per 8,000 units 2010/06/29 200,000,000 2010/02/05
20984 SGA Societe Generale Acceptance N.V. CNBM Euro Wts Sep 10 0.25 14 2010/09/27 200,000,000 2010/02/05
20986 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jul 2010 A 0.167 19,900 per 11,000 units 2010/07/29 300,000,000 2010/02/05
20991 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jul 10C 0.4 22,400 per 8,000 units 2010/07/29 300,000,000 2010/02/05
20985 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2010 F 0.16 20,400 per 8,000 units 2010/05/28 300,000,000 2010/02/05
20987 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 10G 0.153 19,200 per 7,000 units 2010/05/28 300,000,000 2010/02/05
20988 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 10H 0.26 22,000 per 10,000 units 2010/05/28 300,000,000 2010/02/05
20990 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jun 10F 0.204 20,000 per 8,000 units 2010/06/29 300,000,000 2010/02/05
21013 UBS AG HSCEI European Warrants Jul 2010 0.15 12,300 per 6,000 units 2010/07/29 200,000,000 2010/02/05
21015 UBS AG HSCEI European Put Warrants Aug 2010 0.25 11,300 per 6,000 units 2010/08/30 200,000,000 2010/02/05
21014 UBS AG HSI European Warrants Jul 2010 A 0.235 19,600 per 8,000 units 2010/07/29 200,000,000 2010/02/05
#
19722 CC Rabobank B.A. Sino Ocean Land European Warrants Jun 10 0.037 8 2010/06/24 300,000,000 2010/02/05
21061 BNP Paribas Arbit Issu B.V. CNOOC European Wts Jul 2010 0.15 11.3 2010/07/05 200,000,000 2010/02/08
21031 BNP Paribas Arbit Issu B.V. HSI European Wts Jun 2010 E 0.22 17,600 per 16,800 units 2010/06/29 200,000,000 2010/02/08
21032 BNP Paribas Arbit Issu B.V. HSI European Wts Jul 2010 E 0.27 18,800 per 12,000 units 2010/07/29 200,000,000 2010/02/08
21033 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts May 2010 C 0.27 19,200 per 7,000 units 2010/05/28 200,000,000 2010/02/08
21036 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jun 2010 G 0.27 18,200 per 6,400 units 2010/06/29 200,000,000 2010/02/08
21034 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Aug 2010 C 0.26 19,000 per 10,000 units 2010/08/30 200,000,000 2010/02/08
21035 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Aug 2010 D 0.26 20,000 per 12,000 units 2010/08/30 200,000,000 2010/02/08
21056 Deutsche Bank AG Angang Steel European Warrants Aug 2010 0.25 14 2010/08/09 100,000,000 2010/02/08
21057 Deutsche Bank AG Chi Res Land European Warrants Jul 2010 0.17 15.88 2010/07/19 100,000,000 2010/02/08
21058 Deutsche Bank AG China Shenhua European Warrants Jun 2010 0.22 36 2010/06/14 100,000,000 2010/02/08
21062 Deutsche Bank AG A50 China European Put Wts Aug 2010 0.16 13.38 2010/08/09 200,000,000 2010/02/08
21059 Deutsche Bank AG Jiangxi Copper European Warrants Aug 2010 0.25 15 2010/08/09 100,000,000 2010/02/08
21063 Goldman Sachs SP (Asia) China Life Euro Wts Jun 2010 B 0.25 36.38 2010/06/29 200,000,000 2010/02/08
21026 HK Bank China COSCO European Warrants Dec 2010 0.25 10.38 2010/12/13 120,000,000 2010/02/08
21027 HK Bank Geely Auto European Warrants Aug 2010 B 0.25 4.68 per unit 2010/08/09 80,000,000 2010/02/08
21028 HK Bank Huaneng Power European Warrants Aug 2010 B 0.25 5.38 per unit 2010/08/09 80,000,000 2010/02/08
21029 HK Bank PetroChina European Warrants Aug 2010 A 0.57 9.88 per unit 2010/08/09 120,000,000 2010/02/08
21030 HK Bank Yanzhou Coal European Warrants Sep 2010 0.25 17.88 2010/09/27 120,000,000 2010/02/08
21039 Macquarie Bank Ltd. Agile Ppt European Warrants Oct 2010 0.25 10 2010/10/28 300,000,000 2010/02/08
21040 Macquarie Bank Ltd. CNBM European Warrants Aug 2010 0.251 16 2010/08/30 300,000,000 2010/02/08
21038 Macquarie Bank Ltd. China Unicom European Wts Dec 2010 B 0.165 9 2010/12/02 300,000,000 2010/02/08
21037 Macquarie Bank Ltd. A50 China European Warrants Jun 2010 0.15 12.98 2010/06/29 400,000,000 2010/02/08
21041 Macquarie Bank Ltd. R&F Ppt European Warrants Oct 2010 0.251 11 2010/10/05 200,000,000 2010/02/08
21042 Macquarie Bank Ltd. Shimao Ppt European Warrants Aug 2010 0.25 12 2010/08/30 200,000,000 2010/02/08
21043 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Mar2011A 0.165 12.29 2011/03/21 150,000,000 2010/02/08
21044 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Aug 2010 C 0.217 139.99 per 100 units 2010/08/03 150,000,000 2010/02/08
21045 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jul 2010 0.229 57.99 2010/07/05 150,000,000 2010/02/08
21046 CC Rabobank B.A. Angang Steel European Warrants Aug 2010 0.27 14 2010/08/10 120,000,000 2010/02/08
21047 CC Rabobank B.A. BBMG European Warrants Aug 2010 0.175 8.08 2010/08/16 200,000,000 2010/02/08
21048 CC Rabobank B.A. China EB Ltd European Warrants Aug 2010 B 0.36 18.4 2010/08/10 100,000,000 2010/02/08
21051 CC Rabobank B.A. CNPC European Warrants Aug 2010 0.25 9.2 2010/08/10 150,000,000 2010/02/08
21049 CC Rabobank B.A. China Overseas European Warrants Aug 10B 0.25 14 2010/08/10 100,000,000 2010/02/08
21050 CC Rabobank B.A. Chi Res Land European Warrants Aug 2010 0.25 14.8 2010/08/10 100,000,000 2010/02/08
21052 CC Rabobank B.A. Jiangxi Copper European Warrants Aug 2010 0.25 16.4 2010/08/10 100,000,000 2010/02/08
21053 CC Rabobank B.A. Li Ning European Warrants Aug 2010 0.35 26.4 2010/08/10 80,000,000 2010/02/08
21054 CC Rabobank B.A. Shimao Ppt European Warrants Aug 2010 0.25 12.4 2010/08/10 120,000,000 2010/02/08
21055 CC Rabobank B.A. Xinao Gas European Warrants Aug 2010 0.4 20.4 2010/08/10 100,000,000 2010/02/08
21025 SGA Societe Generale Acceptance N.V. CCB Euro Put Wt Aug10 0.84 6 per unit 2010/08/09 80,000,000 2010/02/08
21024 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Aug 10A 0.67 5.40 per unit 2010/08/09 100,000,000 2010/02/08
#
17270 KBC Fin Products Int’l Ltd. PetroChina Euro Wts Jun 2010 A 0.045 9.688 2010/06/08 1,100,000,000 2010/02/08
21083 RB of Scotland N.V. BBMG European Warrants Aug 2010 0.154 8.088 2010/08/09 200,000,000 2010/02/09
21085 RB of Scotland N.V. A50 China European Put Wts Jun 2010 D 0.15 12.88 2010/06/29 300,000,000 2010/02/09
21084 RB of Scotland N.V. Sinopharm European Warrants Jul 2012 0.15 30.888 per 100 units 2012/07/23 300,000,000 2010/02/09
21064 BOCI Asia Ltd. Poly HK Inv European Warrants Dec 2010 0.25 8.9 2010/12/30 100,000,000 2010/02/09
21069 BNP Paribas Arbit Issu B.V. China Overseas Euro Wts Nov10 0.25 15.88 2010/11/01 100,000,000 2010/02/09
21077 Deutsche Bank AG Alibaba European Warrants Jun 2010 0.26 19.88 2010/06/28 150,000,000 2010/02/09
21078 Deutsche Bank AG China EB Ltd European Warrants Aug 2010 0.31 20 2010/08/09 150,000,000 2010/02/09
21079 Deutsche Bank AG Dongfeng Motor European Warrants Aug10 0.25 11 2010/08/16 150,000,000 2010/02/09
21082 Deutsche Bank AG A50 China European Put Wts Jun 2010 0.18 14 2010/06/21 200,000,000 2010/02/09
21080 Deutsche Bank AG Huaneng Power European Warrants Aug 2010 0.57 5 per unit 2010/08/09 100,000,000 2010/02/09
21081 Deutsche Bank AG ICBC European Put Warrants Aug 2010 0.33 5 per unit 2010/08/02 150,000,000 2010/02/09
21086 Deutsche Bank AG Ping An European Warrants Jun 2010 0.15 53.08 per 100 units 2010/06/28 200,000,000 2010/02/09
21070 J P Morgan SP BV Air China European Warrants Dec 2010 B 0.25 6.88 2010/12/20 200,000,000 2010/02/09
21071 J P Morgan SP BV China Life European Warrants Jun 2010 B 0.15 42.8 2010/06/28 200,000,000 2010/02/09
21072 J P Morgan SP BV China Life European Warrants Aug 2010 B 0.25 39.08 2010/08/23 200,000,000 2010/02/09
21073 J P Morgan SP BV China Shenhua European Warrants Aug 2010 0.25 37 2010/08/30 200,000,000 2010/02/09
21074 J P Morgan SP BV A50 China European Warrants Nov 2010 B 0.25 12.68 2010/11/29 200,000,000 2010/02/09
21075 J P Morgan SP BV JX Copper European Warrants Oct 2010 A 0.25 15.88 2010/10/25 200,000,000 2010/02/09
21076 J P Morgan SP BV Shimao Property European Wts Oct 2010 0.25 11.88 2010/10/25 200,000,000 2010/02/09
21067 KBC Fin Products Int’l Ltd. China Unicom Euro Wts Aug 2010 0.3 10.48 per unit 2010/08/09 100,000,000 2010/02/09
21066 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Aug 2010 B 0.2 7.29 per unit 2010/08/02 198,000,000 2010/02/09
21065 KBC Fin Products Int’l Ltd. Ch Comm Cons Euro Wts Aug 2010 0.25 9.38 per unit 2010/08/09 80,000,000 2010/02/09
21068 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Aug10B 0.27 158 per 100 units 2010/08/09 108,000,000 2010/02/09
#
17679 Citigroup Global Mkt H Inc. BankComm European Wts May 2010 0.032 8.88 2010/05/03 313,000,000 2010/02/09
#
18266 UBS AG HSBC European Warrants Nov 2010 A 0.052 92.60 per 93 units 2010/11/29 300,000,000 2010/02/09
21104 BNP Paribas Arbit Issu B.V. Chi Res Land Euro Wts Dec10 0.25 16.68 2010/12/10 100,000,000 2010/02/10
21102 BNP Paribas Arbit Issu B.V. HKEx European Wts Oct 2010 0.25 130 per 100 units 2010/10/05 200,000,000 2010/02/10
21103 BNP Paribas Arbit Issu B.V. HKEx European Put Wts Aug 10B 0.15 128 per 100 units 2010/08/03 100,000,000 2010/02/10
21122 Credit Suisse AG Tencent Holdings European Wts Jul 2010 B 0.15 162.80 per 100 units 2010/07/26 200,000,000 2010/02/10
21123 Deutsche Bank AG HSBC European Warrants Jul 2010 A 0.73 86 2010/07/26 200,000,000 2010/02/10
21124 Deutsche Bank AG Zijin Mining European Warrants Sep 2010 0.15 7 2010/09/27 200,000,000 2010/02/10
21099 HK Bank Agile Ppt European Warrants Dec 2010 0.25 12.38 2010/12/10 80,000,000 2010/02/10
21100 HK Bank China Unicom European Warrants Aug 2010 0.25 11.28 per unit 2010/08/10 100,000,000 2010/02/10
21101 HK Bank CNBM European Warrants Sep 2010 0.25 16.88 2010/09/28 80,000,000 2010/02/10
21112 HK Bank CNOOC European Warrants Sep 2010 0.15 11.59 2010/09/27 160,000,000 2010/02/10
21098 J P Morgan SP BV Sinopharm European Warrants Aug 2010 0.4 32.88 2010/08/10 150,000,000 2010/02/10
21121 KBC Fin Products Int’l Ltd. PetroChina Euro Wts Jun 2010 B 0.15 11.40 per unit 2010/06/01 400,000,000 2010/02/10
21088 Macquarie Bank Ltd. Alibaba European Warrants Jun 2010 0.183 19.88 2010/06/22 200,000,000 2010/02/10
21110 Macquarie Bank Ltd. CNOOC European Put Warrants Jan 2011 A 0.252 11 2011/01/04 200,000,000 2010/02/10
21090 Macquarie Bank Ltd. HSCEI European Put Warrants Aug 2010 0.251 11,000 per 6,000 units 2010/08/30 200,000,000 2010/02/10
21087 Macquarie Bank Ltd. HSI European Warrants Aug 2010 A 0.25 19,000 per 10,000 units 2010/08/30 500,000,000 2010/02/10
21091 Macquarie Bank Ltd. HSI European Put Warrants Aug 2010 C 0.25 20,000 per 9,000 units 2010/08/30 400,000,000 2010/02/10
21111 Macquarie Bank Ltd. Tencent European Put Warrants Sep 2010 0.251 140 per 100 units 2010/09/02 250,000,000 2010/02/10
21105 CC Rabobank B.A. Anhui Conch European Warrants Jul 2010 0.5 55 2010/07/21 50,000,000 2010/02/10
21106 CC Rabobank B.A. BOCL European Warrants Aug 2010 0.3 3.90 per unit 2010/08/12 50,000,000 2010/02/10
21107 CC Rabobank B.A. Chaoda Modern European Warrants Aug 2010 0.25 8.6 2010/08/12 200,000,000 2010/02/10
21108 CC Rabobank B.A. Fushan Energy European Warrants Jan 2011 0.25 7.4 2011/01/28 200,000,000 2010/02/10
21109 CC Rabobank B.A. Zhaojin Mining European Warrants Aug 2010 0.29 17.2 2010/08/12 100,000,000 2010/02/10
21092 SGA Societe Generale Acceptance N.V Angang Steel Eu Wt Oct10 0.25 14.28 2010/10/04 125,000,000 2010/02/10
21093 SGA Societe Generale Acceptance N.V Angang Steel Eu Wt Nov10 0.25 15 2010/11/08 125,000,000 2010/02/10
21094 SGA Societe Generale Acceptance N.V. CITIC Pac Eu Wts Aug10 0.25 18 2010/08/16 100,000,000 2010/02/10
21095 SGA Societe Generale Acceptance N.V. CITIC Pac Eu Wts Oct10 0.25 19.24 2010/10/04 100,000,000 2010/02/10
21115 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Aug 2010C 0.15 12.68 2010/08/30 300,000,000 2010/02/10
21116 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Nov 2010B 0.17 12.28 2010/11/15 300,000,000 2010/02/10
21113 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Sep 10C 0.49 6.80 per unit 2010/09/01 80,000,000 2010/02/10
21114 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Dec 10C 0.15 5.28 2010/12/08 500,000,000 2010/02/10
21117 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 10C 0.172 11.98 2010/06/23 300,000,000 2010/02/10
21118 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Aug 10A 0.16 12.5 2010/08/04 300,000,000 2010/02/10
21119 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Jul 10 0.189 14 2010/07/05 300,000,000 2010/02/10
21120 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Aug 10 0.158 13.38 2010/08/04 300,000,000 2010/02/10
21096 SGA Societe Generale Acceptance N.V. Shimao Ppt Eu Wt Nov 10 0.25 14 2010/11/15 100,000,000 2010/02/10
21097 SGA Societe Generale Acceptance N.V Yanzhou Coal Eu Wt Sep10A 0.16 16.98 2010/09/06 125,000,000 2010/02/10
#
18869 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Aug 2010 A 0.049 75.93 per 100 units 2010/08/09 500,000,000 2010/02/10
#
19013 Credit Suisse ICBC European Warrants Dec 2010 C 0.038 6.38 2010/12/06 600,000,000 2010/02/10
#
18581 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Nov 2010 0.048 92.593 per 93 units 2010/11/29 400,000,000 2010/02/10
#
18238 CC Rabobank B.A. HSBC European Warrants Nov 2010 A 0.047 92.593 per 93 units 2010/11/30 300,000,000 2010/02/10
#
17952 CC Rabobank B.A. PetroChina European Warrants Jun 2010 B 0.037 9.688 2010/06/08 300,000,000 2010/02/10
#
19005 UBS AG Tencent Holdings European Warrants Jun 2010 A 0.084 160 per 100 units 2010/06/28 200,000,000 2010/02/10
21128 Citigroup Global Mkt H Inc. Anhui Conch European Wts Oct10 0.5 60 2010/10/11 80,000,000 2010/02/11
21127 Citigroup Global Mkt H Inc. Angang Steel European Wt Dec10 0.25 15 2010/12/13 160,000,000 2010/02/11
21129 Citigroup Global Mkt H Inc. BBMG European Warrants Apr11 0.25 8 2011/04/11 160,000,000 2010/02/11
21132 Citigroup Global Mkt H Inc. ChiUnicom European Wts May11 0.25 9 2011/05/11 160,000,000 2010/02/11
21130 Citigroup Global Mkt H Inc. China COSCO European Wts Feb11 0.25 10 2011/02/11 160,000,000 2010/02/11
21131 Citigroup Global Mkt H Inc. CNBM European Warrants Oct10 0.25 15 2010/10/11 160,000,000 2010/02/11
21136 Citigroup Global Mkt H Inc. A50 China Euro Wts Jan 2011 B 0.25 13.88 2011/01/11 160,000,000 2010/02/11
21133 Citigroup Global Mkt H Inc. ICBC European Wts Feb 2011 0.25 8 per unit 2011/02/11 160,000,000 2010/02/11
21135 Citigroup Global Mkt H Inc. Sinopharm European Wts Feb11 0.5 35 2011/02/11 80,000,000 2010/02/11
21134 Citigroup Global Mkt H Inc. Sh Ind H European Wts Dec 2010 0.5 40 2010/12/13 80,000,000 2010/02/11
21140 KBC Fin Products Int’l Ltd. HKEx European Warrants Sep10B 0.15 136.80 per 100 units 2010/09/09 200,000,000 2010/02/11
21137 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jul10B 0.15 156.88 per 100 units 2010/07/12 258,000,000 2010/02/11
21138 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Aug10 C 0.25 142 per 100 units 2010/08/11 238,000,000 2010/02/11
21125 Macquarie Bank Ltd. Cheung Kong European Warrants Jul 2011 0.251 99 per 100 units 2011/07/05 250,000,000 2010/02/11
21126 Macquarie Bank Ltd. Zijin Mining European Wts Nov 2010 0.15 8 2010/11/19 200,000,000 2010/02/11
21160 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Jul 2010 B 0.24 88.05 2010/07/12 200,000,000 2010/02/12
21159 Credit Suisse AG Sinopec Corp European Warrants Sep 2010 0.15 5.5 2010/09/24 200,000,000 2010/02/12
21164 Credit Suisse AG A50 China European Warrants Jul 2010 B 0.15 12.48 2010/07/26 200,000,000 2010/02/12
21165 Deutsche Bank AG BOCL European Warrants Aug 2010 B 0.38 3.58 per unit 2010/08/16 150,000,000 2010/02/12
21169 Deutsche Bank AG China Mobile European Put Wts Aug 2010 0.37 66 2010/08/02 200,000,000 2010/02/12
21166 Deutsche Bank AG China Life European Warrants Aug 2010 C 0.67 28 2010/08/16 200,000,000 2010/02/12
21167 Deutsche Bank AG China Life European Warrants Aug 2010 D 0.54 30 2010/08/16 200,000,000 2010/02/12
21168 Deutsche Bank AG China Life European Put Wts Aug 2010 0.18 28.88 2010/08/02 200,000,000 2010/02/12
21173 Deutsche Bank AG HSI European Warrants Aug 2010 C 0.32 18,000 per 8,000 units 2010/08/30 300,000,000 2010/02/12
21174 Deutsche Bank AG HSI European Warrants Aug 2010 D 0.18 20,000 per 8,000 units 2010/08/30 300,000,000 2010/02/12
21144 Macquarie Bank Ltd. Ch Oilfield European Warrants Aug 2010 0.251 12.6 2010/08/18 200,000,000 2010/02/12
21143 Macquarie Bank Ltd. Sinopec Corp European Wts May 2010 0.392 6.29 per unit 2010/05/31 250,000,000 2010/02/12
21142 Macquarie Bank Ltd. HSI European Warrants Sep 2010 A 0.266 20,000 per 10,000 units 2010/09/29 500,000,000 2010/02/12
21141 Macquarie Bank Ltd. HSI European Warrants Aug 2010 B 0.252 19,400 per 12,000 units 2010/08/30 400,000,000 2010/02/12
21163 Macquarie Bank Ltd. HSI European Put Warrants Aug 2010 D 0.252 19,200 per 10,000 units 2010/08/30 400,000,000 2010/02/12
21146 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Aug 2010 A 0.475 87.99 2010/08/30 150,000,000 2010/02/12
21147 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Aug 2010 B 0.31 93.99 2010/08/23 200,000,000 2010/02/12
21148 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Nov 2010 B 0.31 99.9 2010/11/22 200,000,000 2010/02/12
21145 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Wts Nov 2010 0.275 15.99 2010/11/01 150,000,000 2010/02/12
21149 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Put Wt Nov10 0.27 14.99 2010/11/08 150,000,000 2010/02/12
21150 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Feb 2011A 0.15 91.88 per 100 units 2011/02/21 300,000,000 2010/02/12
21151 SGA Societe Generale Acceptance NV Minsheng Bk Eu Wt Aug 10 1.25 8.30 per unit 2010/08/30 30,000,000 2010/02/12
21152 SGA Societe Generale Acceptance NV Minsheng Bk Eu Wt Dec 10 0.15 8.68 2010/12/22 300,000,000 2010/02/12
21153 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Oct 10B 0.15 65 per 100 units 2010/10/04 400,000,000 2010/02/12
21155 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Aug 2010 C 0.49 88.88 2010/08/23 100,000,000 2010/02/12
21154 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jul 2010 B 0.55 86 2010/07/26 100,000,000 2010/02/12
21156 SGA Societe Generale Acceptance N.V. Petch Eu Wt Aug 2010B 0.15 8.38 2010/08/16 400,000,000 2010/02/12
21157 SGA Societe Generale Acceptance N.V. Petch Eu Wt May 2011A 0.15 8.88 2011/05/04 400,000,000 2010/02/12
21158 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Oct 2010A 0.15 100 per 100 units 2010/10/20 300,000,000 2010/02/12
10952 SGA Societe Generale Acceptance N.V. USD/YEN Eu Wt Aug10A 0.37 95 per 1 units 2010/08/30 100,000,000 2010/02/12
10953 SGA Societe Generale Acceptance N.V. USD/YEN Eu Wt Aug10B 0.25 100 per 1 units 2010/08/30 100,000,000 2010/02/12
10956 SGA Societe Generale Acceptance N.V USD/YEN Eu Put Wt Aug10C 0.34 85 per 1 units 2010/08/30 100,000,000 2010/02/12
10957 SGA Societe Generale Acceptance N.V USD/YEN Eu Put Wt Aug10D 0.54 90 per 1 units 2010/08/30 100,000,000 2010/02/12
21170 UBS AG BOCL European Warrants Jul 2010 C 0.35 3.39 per unit 2010/07/29 100,000,000 2010/02/12
21171 UBS AG CC Bank European Warrants Jul 2010 C 0.31 5.98 per unit 2010/07/29 100,000,000 2010/02/12
21161 UBS AG China Life European Warrants Aug 2010 C 0.29 33.88 2010/08/09 200,000,000 2010/02/12
21162 UBS AG A50 China European Warrants Jul 2010 B 0.15 12.5 2010/07/26 200,000,000 2010/02/12
21172 UBS AG ICBC European Warrants Jul 2010 C 0.4 5.49 per unit 2010/07/29 100,000,000 2010/02/12
#
19858 Credit Suisse AG HSBC European Wts Sep 2010 A 0.055 83.38 per 93 units 2010/09/27 400,000,000 2010/02/12
#
19761 Deutsche Bank AG China Life European Warrants May 2010 C 0.098 36.88 2010/05/03 200,000,000 2010/02/12
21190 BNP Paribas Arbit Issu B.V. China Life Euro Wts Sep 2010 0.56 28.88 2010/09/06 200,000,000 2010/02/17
21191 BNP Paribas Arbit Issu B.V. China Life Euro Wts Oct 2010 A 0.35 33.88 2010/10/05 200,000,000 2010/02/17
21192 BNP Paribas Arbit Issu B.V. ICBC European Wts Oct 2010 0.45 5.88 per unit 2010/10/05 200,000,000 2010/02/17
10954 Deutsche Bank AG DJIA European Warrants Sep 2010 0.27 10,000 per 30,000 units 2010/09/20 150,000,000 2010/02/17
10958 Deutsche Bank AG DJIA European Put Warrants Sep 2010 0.25 9,500 per 30,000 units 2010/09/20 150,000,000 2010/02/17
21194 Deutsche Bank AG HSI European Put Warrants Aug 2010 0.25 18,400 per 8,000 units 2010/08/30 300,000,000 2010/02/17
21193 Deutsche Bank AG HSI European Warrants Jun 2010 G 0.15 20,600 per 8,000 units 2010/06/29 300,000,000 2010/02/17
21187 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Aug 2010 B 0.31 59 2010/08/17 118,000,000 2010/02/17
21188 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Oct 2010 0.25 16.88 2010/10/08 118,000,000 2010/02/17
21189 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Aug 2010 0.63 108 2010/08/17 108,000,000 2010/02/17
21181 Macquarie Bank Ltd. Jiangxi Copper European Wts Sep 2010 A 0.253 16 2010/09/02 200,000,000 2010/02/17
21176 SGA Societe Generale Acceptance N.V. Country Gdn Eu Wt Aug10 0.38 3 per unit 2010/08/25 60,000,000 2010/02/17
21175 SGA Societe Generale Acceptance N.V. CMB Euro Wts Sep 2010 0.25 20 2010/09/27 100,000,000 2010/02/17
21183 SGA Societe Generale Acceptance N.V Ch Res Land Eu Wt Jul10B 0.18 15.9 2010/07/26 100,000,000 2010/02/17
21177 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jun 2010 G 0.181 16,800 per 17,800 units 2010/06/29 300,000,000 2010/02/17
21178 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jun 2010 H 0.156 17,600 per 16,800 units 2010/06/29 300,000,000 2010/02/17
21179 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jul 2010 B 0.171 18,800 per 12,000 units 2010/07/29 300,000,000 2010/02/17
21180 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jul10D 0.152 18,800 per 10,000 units 2010/07/29 300,000,000 2010/02/17
21184 SGA Societe Generale Acceptance N.V HuanengPower Eu Wt Jul10 0.37 5 per unit 2010/07/07 50,000,000 2010/02/17
21185 SGA Societe Generale Acceptance N.V. HWL Eur Wt Aug 2010 0.47 56.18 2010/08/30 80,000,000 2010/02/17
21186 UBS AG HSI European Warrants Aug 2010 A 0.25 18,800 per 8,000 units 2010/08/30 200,000,000 2010/02/17
21182 UBS AG Hutchison European Warrants Aug 2010 0.25 58.88 2010/08/23 100,000,000 2010/02/17
#
03487 KBC Fin Products Int’l Ltd. HSBC European Wts Dec 2010 A 0.040 100 per 100 unit 2010/12/01 432,000,000 2010/02/17
#
17446 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2010 A 0.032 86.65 per 100 units 2010/10/11 400,000,000 2010/02/17
#
17286 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Dec 2010 0.048 6.59 2010/12/20 300,000,000 2010/02/17
21199 BOCI Asia Ltd. CC Bank European Warrants Aug 2010 0.45 6.65 per unit 2010/08/30 100,000,000 2010/02/18
21211 BNP Paribas Arbit Issu B.V. Sinopec Corp Euro Wts Jun 10B 0.34 6.29 per unit 2010/06/04 200,000,000 2010/02/18
21212 BNP Paribas Arbit Issu B.V. Sinopec Corp Euro Wts Aug 10B 0.34 6.99 per unit 2010/08/30 200,000,000 2010/02/18
21213 BNP Paribas Arbit Issu B.V. HSI European Wts Aug 2010 F 0.34 18,000 per 10,000 units 2010/08/30 200,000,000 2010/02/18
21214 BNP Paribas Arbit Issu B.V. HSI European Wts Aug 2010 G 0.25 20,600 per 9,000 units 2010/08/30 200,000,000 2010/02/18
21219 Credit Suisse AG ChiUnicom European Warrants Nov 2010 0.15 9 2010/11/29 100,000,000 2010/02/18
21220 Credit Suisse AG CC Bank European Warrants Jul 2010 A 0.15 6.80 per unit 2010/07/26 200,000,000 2010/02/18
21221 Credit Suisse AG CC Bank European Warrants Dec 2012 A 0.25 5.438 2012/12/17 200,000,000 2010/02/18
21216 Credit Suisse AG CM Bank European Warrants Aug 2010 0.15 19.68 2010/08/30 200,000,000 2010/02/18
21217 Credit Suisse AG China Mobile European Warrants Jun 2010 C 0.15 81.88 2010/06/21 200,000,000 2010/02/18
21218 Credit Suisse AG China Tel European Warrants Jul 2010 B 0.15 3.88 per unit 2010/07/26 200,000,000 2010/02/18
21215 Credit Suisse AG HSI European Warrants Aug 2010 A 0.15 19,200 per 9,000 units 2010/08/30 180,000,000 2010/02/18
21222 Credit Suisse AG ICBC European Warrants Dec 2012 0.25 5.088 2012/12/17 200,000,000 2010/02/18
21223 Credit Suisse AG Jiangxi Copper European Wts Aug 2010 0.25 15.38 2010/08/23 100,000,000 2010/02/18
10960 Deutsche Bank AG AUD/USD European Put Warrants Sep 2010 0.32 0.78 per 1 units 2010/09/27 50,000,000 2010/02/18
21247 Deutsche Bank AG CM Bank European Warrants Aug 2010 0.15 22 2010/08/23 150,000,000 2010/02/18
21248 Deutsche Bank AG Sinopec Corp European Warrants Jul 2010 B 0.52 6.08 per unit 2010/07/26 150,000,000 2010/02/18
10959 Deutsche Bank AG EUR/USD European Put Warrants Sep 2010 0.38 1.28 per 1 units 2010/09/27 50,000,000 2010/02/18
21249 Deutsche Bank AG Tencent Holdings European Warrants Aug10B 0.27 123 per 100 units 2010/08/23 200,000,000 2010/02/18
21240 Goldman Sachs SP (Asia) China Mobile Euro Wts Jul 2010 A 0.38 82 2010/07/29 200,000,000 2010/02/18
21241 Goldman Sachs SP (Asia) China Mobile Euro Wts Sep 2010 0.31 88 2010/09/29 200,000,000 2010/02/18
21239 Goldman Sachs SP (Asia) CC Bank European Wts Aug 2010 A 0.61 5.80 per unit 2010/08/30 200,000,000 2010/02/18
21238 Goldman Sachs SP (Asia) CC Bank European Wts Jul 2010 B 0.38 6.28 per unit 2010/07/29 200,000,000 2010/02/18
21237 Goldman Sachs SP (Asia) A50 China European Wts Aug 2010 B 0.15 13.1 2010/08/30 200,000,000 2010/02/18
21242 Goldman Sachs SP (Asia) HKEx European Warrants Jun 2010 0.15 120 per 100 units 2010/06/29 200,000,000 2010/02/18
21243 Goldman Sachs SP (Asia) HKEx European Warrants Nov 2010 0.15 130 per 100 units 2010/11/29 200,000,000 2010/02/18
21244 Goldman Sachs SP (Asia) HSBC European Warrants Aug 2010 A 0.61 80 2010/08/30 200,000,000 2010/02/18
21245 Goldman Sachs SP (Asia) HSBC European Warrants Aug 2010 B 0.41 86 2010/08/30 200,000,000 2010/02/18
21246 Goldman Sachs SP (Asia) Tencent Holdings European Wt Jun10 0.15 133.88 per 100 units 2010/06/01 200,000,000 2010/02/18
21210 HK Bank CC Bank European Put Warrants Aug 2010 0.34 5.08 per unit 2010/08/18 180,000,000 2010/02/18
21201 HK Bank CC Bank European Warrants Jul 2010 C 0.34 5.88 per unit 2010/07/29 160,000,000 2010/02/18
21200 HK Bank CITIC Bank European Warrants Aug 2010 B 0.32 5.68 per unit 2010/08/18 120,000,000 2010/02/18
21202 HK Bank Chi Res Land European Warrants Nov 2010 0.25 17.88 2010/11/29 120,000,000 2010/02/18
21203 HK Bank China Tel European Warrants Jul 2010 B 0.15 3.88 per unit 2010/07/14 120,000,000 2010/02/18
21204 HK Bank Denway Motors European Warrants Aug 2010 0.39 4.68 per unit 2010/08/18 160,000,000 2010/02/18
21205 HK Bank Dongfeng Motor European Warrants Nov 2010 0.25 11.88 2010/11/08 120,000,000 2010/02/18
21206 HK Bank Jiangxi Copper European Warrants Aug 2010 B 0.25 15.88 2010/08/18 180,000,000 2010/02/18
21207 HK Bank Jiangxi Copper European Warrants Sep 2010 0.25 17.28 2010/09/28 180,000,000 2010/02/18
21208 HK Bank Jiangxi Copper European Warrants Nov 2010 0.25 18.88 2010/11/15 180,000,000 2010/02/18
21209 HK Bank PetroChina European Warrants Aug 2010 B 0.36 9.08 per unit 2010/08/18 160,000,000 2010/02/18
21226 J P Morgan SP BV Agile Ppt European Warrants Oct 2010 0.25 9.88 2010/10/22 150,000,000 2010/02/18
21232 J P Morgan SP BV Angang Steel European Warrants Sep 2010 0.25 15 2010/09/29 180,000,000 2010/02/18
21233 J P Morgan SP BV CNBM European Warrants Aug 2010 0.25 15 2010/08/30 100,000,000 2010/02/18
21234 J P Morgan SP BV Dongfeng Motor European Warrants Aug 2010 0.25 10 2010/08/30 180,000,000 2010/02/18
21235 J P Morgan SP BV R&F Ppt European Warrants Oct 2010 0.25 11.88 2010/10/28 100,000,000 2010/02/18
21236 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jul 2010 B 0.26 83.9 2010/07/02 228,000,000 2010/02/18
21224 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Jun 2010 D 0.28 6.29 per unit 2010/06/01 238,000,000 2010/02/18
21225 Macquarie Bank Ltd. Tencent European Put Warrants Nov 2010 0.251 125 per 100 units 2010/11/03 250,000,000 2010/02/18
21258 Nomura Int’l plc China Dongxiang European Warrants Sep 10 0.656 6.28 per unit 2010/09/30 100,000,000 2010/02/18
21259 Nomura Int’l plc China Dongxiang European Warrants Dec 11 0.25 6.88 2011/12/30 125,000,000 2010/02/18
21254 Nomura Int’l plc China Life European Warrants Jul 2010 A 0.286 35.98 2010/07/30 200,000,000 2010/02/18
21255 Nomura Int’l plc China Life European Warrants Jul 2010 B 0.259 36.86 2010/07/30 200,000,000 2010/02/18
21253 Nomura Int’l plc Sinopec European Warrants Jun 2010 B 0.18 6.88 per unit 2010/06/30 75,000,000 2010/02/18
21250 Nomura Int’l plc Hutchison European Warrants Jun 2010 B 0.29 55.88 2010/06/30 100,000,000 2010/02/18
21251 Nomura Int’l plc JIANC European Warrants Aug 2010 0.21 16.38 2010/08/03 100,000,000 2010/02/18
21252 Nomura Int’l plc JIANC European Warrants Sep 2010 D 0.25 17.28 2010/09/30 100,000,000 2010/02/18
21256 Nomura Int’l plc Sinopharm European Warrants Jul 2010 0.331 35.98 2010/07/30 125,000,000 2010/02/18
21257 Nomura Int’l plc Sinopharm European Warrants Sep 2010 0.543 31.88 2010/09/30 125,000,000 2010/02/18
21227 CC Rabobank B.A. ChiUnicom European Warrants Nov 2010 0.15 9 2010/11/29 180,000,000 2010/02/18
21229 CC Rabobank B.A. KWG Property European Warrants Aug 2010 0.55 6.20 per unit 2010/08/18 50,000,000 2010/02/18
21230 CC Rabobank B.A. PetroChina European Warrants Aug 2010 0.57 9.20 per unit 2010/08/30 80,000,000 2010/02/18
21231 CC Rabobank B.A. Sh Petrochem European Warrants Aug 2010 0.3 3.30 per unit 2010/08/18 80,000,000 2010/02/18
21196 RB of Scotland N.V. Sinopec Corp European Warrants Aug 10A 0.399 6.28 per unit 2010/08/23 100,000,000 2010/02/18
21197 RB of Scotland N.V. China Shenhua European Wts Sep 2010 0.251 35.88 2010/09/30 150,000,000 2010/02/18
21195 RB of Scotland N.V. A50 China European Warrants Jun 2010 E 0.156 11.98 2010/06/21 300,000,000 2010/02/18
21198 RB of Scotland N.V. Jiangxi Copper European Wts Aug 2010 0.25 16.88 2010/08/23 150,000,000 2010/02/18
21260 BOCI Asia Ltd. HKEx European Warrants Dec 2010 0.15 130.10 per 100 units 2010/12/07 100,000,000 2010/02/19
21295 Goldman Sachs SP (Asia) BOCL European Warrants Jul 2010 A 0.28 3.88 per unit 2010/07/29 200,000,000 2010/02/19
21296 Goldman Sachs SP (Asia) BOCL European Warrants Sep 2010 A 0.24 4.20 per unit 2010/09/27 200,000,000 2010/02/19
21297 Goldman Sachs SP (Asia) China Life Euro Wts May 2010 0.18 35.88 2010/05/28 200,000,000 2010/02/19
21298 Goldman Sachs SP (Asia) China Life Euro Wts Jul 2010 A 0.15 39.2 2010/07/29 200,000,000 2010/02/19
21294 KBC Fin Products Int’l Ltd. HSBC European Wts Aug 2010 C 0.25 94.38 2010/08/23 268,000,000 2010/02/19
21276 Macquarie Bank Ltd. HKEx European Put Warrants Oct 2010 0.284 130 per 100 units 2010/10/05 200,000,000 2010/02/19
21278 Macquarie Bank Ltd. HSBC European Put Warrants Oct 2011 0.25 90 per 100 units 2011/10/04 200,000,000 2010/02/19
21277 Macquarie Bank Ltd. HSBC European Put Warrants Dec 2010 G 0.151 84 per 100 units 2010/12/02 200,000,000 2010/02/19
21275 Macquarie Bank Ltd. MTRC European Warrants Dec 2010 0.164 30 2010/12/02 200,000,000 2010/02/19
21285 CC Rabobank B.A. Air China European Warrants Dec 2010 A 0.25 7.4 2010/12/15 200,000,000 2010/02/19
21286 CC Rabobank B.A. Belle Int’l European Warrants Nov 2010 0.25 9.2 2010/11/29 180,000,000 2010/02/19
21287 CC Rabobank B.A. China Dongxiang European Warrants Aug 10 0.6 6.20 per unit 2010/08/24 80,000,000 2010/02/19
21280 CC Rabobank B.A. China Comservice European Warrants Aug 10 0.7 5.40 per unit 2010/08/24 80,000,000 2010/02/19
21281 CC Rabobank B.A. China Gas Hold European Warrants Sep 2010 0.75 4.80 per unit 2010/09/22 80,000,000 2010/02/19
21288 CC Rabobank B.A. Chinares Cement European Warrants Sep 10 0.6 4.20 per unit 2010/09/02 80,000,000 2010/02/19
21289 CC Rabobank B.A. CSR European Warrants Aug 2010 0.58 6.80 per unit 2010/08/27 80,000,000 2010/02/19
21290 CC Rabobank B.A. Geely Auto European Warrants Aug 2010 A 0.63 3.60 per unit 2010/08/19 80,000,000 2010/02/19
21283 CC Rabobank B.A. Gome European Warrants Sep 2010 0.5 3 per unit 2010/09/29 100,000,000 2010/02/19
21282 CC Rabobank B.A. Glorious PPT H European Warrants Aug 2010 0.6 3.60 per unit 2010/08/24 80,000,000 2010/02/19
21291 CC Rabobank B.A. Hidili Industry European Warrants Oct 10 0.25 8 2010/10/22 200,000,000 2010/02/19
21292 CC Rabobank B.A. Sinopharm European Warrants Aug 2010 0.37 40 2010/08/20 100,000,000 2010/02/19
21293 CC Rabobank B.A. Xinyi Glass European Warrants Dec 2010 0.25 6.8 2010/12/20 240,000,000 2010/02/19
21284 CC Rabobank B.A. Yuexiu Property European Warrants Aug 10 0.32 2.40 per unit 2010/08/24 120,000,000 2010/02/19
21263 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Oct 2011 0.16 66 per 100 units 2011/10/17 500,000,000 2010/02/19
21264 SGA Societe Generale Acceptance N.V. Ch Overseas Eu Wt Sep10 0.19 16.28 2010/09/13 100,000,000 2010/02/19
21261 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Jul 10 0.16 9.58 2010/07/19 200,000,000 2010/02/19
21262 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Dec10B 0.2 10.38 2010/12/06 200,000,000 2010/02/19
21268 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Jul 2010 0.15 11.28 2010/07/05 300,000,000 2010/02/19
21269 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Aug 2010D 0.18 10.88 2010/08/30 300,000,000 2010/02/19
21265 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Aug 10C 0.65 5.88 per unit 2010/08/23 80,000,000 2010/02/19
21266 SGA Societe Generale Acceptance N.V Chi Res Land Eu Wt Sep10 0.25 15 2010/09/06 125,000,000 2010/02/19
21267 SGA Societe Generale Acceptance N.V Chi Res Land Eu Wt Nov10 0.25 16.8 2010/11/22 125,000,000 2010/02/19
21279 SGA Societe Generale Acceptance N.V. R&F Ppt Eu Wts Sep10 0.15 12.88 2010/09/13 100,000,000 2010/02/19
21270 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2010 D 0.15 120 per 100 units 2010/06/28 300,000,000 2010/02/19
21272 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Sep 10A 0.25 15.8 2010/09/06 200,000,000 2010/02/19
21273 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Oct 2010 0.25 16.54 2010/10/11 200,000,000 2010/02/19
21274 SGA Societe Generale Acceptance N.V. Renhe Comm Eu Wts Aug10 0.19 2.08 per unit 2010/08/30 100,000,000 2010/02/19
#
18721 Deutsche Bank AG China Mobile European Warrants Aug 2010 A 0.057 75.88 per 100 units 2010/08/09 300,000,000 2010/02/19
#
19004 UBS AG Tencent Holdings European Warrants May 2010 A 0.155 148.88 per 100 units 2010/05/31 100,000,000 2010/02/19
21303 Deutsche Bank AG Alibaba European Warrants Aug 2010 0.18 22 2010/08/02 150,000,000 2010/02/22
21306 Deutsche Bank AG China Cosco European Warrants Jul 2010 0.17 9.58 2010/07/19 150,000,000 2010/02/22
21307 Deutsche Bank AG Denway Motors European Warrants Aug 2010 0.79 4.30 per unit 2010/08/23 100,000,000 2010/02/22
21308 Deutsche Bank AG Foxconn European Warrants Sep 2010 0.2 7.88 2010/09/20 150,000,000 2010/02/22
21299 HK Bank CNPC European Warrants Dec 2010 B 0.15 11.88 2010/12/13 120,000,000 2010/02/22
21300 Macquarie Bank Ltd. Hang Lung Ppt European Wts Oct 2010 0.334 32 2010/10/05 200,000,000 2010/02/22
21301 Macquarie Bank Ltd. Lee & Man Paper European Warrants Feb11 0.25 5.5 2011/02/28 100,000,000 2010/02/22
21302 Macquarie Bank Ltd. Skyworth Digital European Warrants Oct10A 0.25 8 2010/10/22 150,000,000 2010/02/22
21304 UBS AG CC Bank European Warrants Jun 2012 0.25 6.38 2012/06/28 300,000,000 2010/02/22
21305 UBS AG ICBC European Warrants Jun 2012 0.25 5.68 2012/06/28 300,000,000 2010/02/22
21309 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Jun 2010 B 0.158 4.29 per unit 2010/06/21 80,000,000 2010/02/23
21310 SGA Societe Generale Acceptance N.V China EB Ltd Eu Wt Aug10 0.25 21 2010/08/30 80,000,000 2010/02/23
#
21007 Macquarie Bank Ltd. HSBC European Warrants Jun 2010 0.125 93.88 2010/06/02 300,000,000 2010/02/23
21311 Deutsche Bank AG Tencent Holdings European Warrants Aug10C 0.25 155 per 100 units 2010/08/24 300,000,000 2010/02/24
21312 Goldman Sachs SP (Asia) Sinopec Corp European Warrants Jun10 0.25 6.88 per unit 2010/06/29 200,000,000 2010/02/24
21319 Barclays Bank plc BOCL European Put Warrants Oct 2010 0.34 3.38 per unit 2010/10/25 150,000,000 2010/02/25
21325 Barclays Bank plc China Mobile European Put Wts Jun 2011 0.15 74 per 100 units 2011/06/13 200,000,000 2010/02/25
21327 Barclays Bank plc ChiUnicom European Warrants Nov 2010 0.15 9 2010/11/29 200,000,000 2010/02/25
21321 Barclays Bank plc CC Bank European Put Warrants Sep 2010 0.42 5.25 per unit 2010/09/20 150,000,000 2010/02/25
21320 Barclays Bank plc Ch Comm Cons European Warrants Jan 2011 0.15 8 2011/01/10 200,000,000 2010/02/25
21322 Barclays Bank plc China Life European Warrants Sep 2010 0.27 38.38 2010/09/13 200,000,000 2010/02/25
21323 Barclays Bank plc China Life European Warrants Oct 2010 B 0.26 40 2010/10/25 200,000,000 2010/02/25
21324 Barclays Bank plc China Mobile European Wts Oct 2010 B 0.16 65 per 100 units 2010/10/04 200,000,000 2010/02/25
21328 Barclays Bank plc CNOOC European Warrants Dec 2010 B 0.15 13 2010/12/13 200,000,000 2010/02/25
21326 Barclays Bank plc Sinopec Corp European Wts Oct 2010 B 0.4 6.80 per unit 2010/10/04 150,000,000 2010/02/25
21332 Barclays Bank plc Sinopec Corp European Put Wts Oct 2010 C 0.15 6.59 2010/10/04 200,000,000 2010/02/25
21329 Barclays Bank plc HSBC European Put Warrants Sep 2010 0.33 72 2010/09/06 150,000,000 2010/02/25
21330 Barclays Bank plc ICBC European Put Warrants Sep 2010 0.41 5 per unit 2010/09/20 150,000,000 2010/02/25
21331 Barclays Bank plc PetroChina European Put Wts Jun 2011 0.25 8.57 2011/06/20 200,000,000 2010/02/25
21333 Barclays Bank plc Ping An European Warrants Feb 2011 0.15 63.88 per 100 units 2011/02/14 200,000,000 2010/02/25
21314 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Sep 2010 C 0.26 7.48 per unit 2010/09/01 200,000,000 2010/02/25
21315 BNP Paribas Arbit Issu B.V. Sinopec Corp Euro Wts Sep 2010 0.34 7.68 per unit 2010/09/03 180,000,000 2010/02/25
21316 BNP Paribas Arbit Issu B.V. HSBC European Wts Jul 2010 0.15 98.02 2010/07/02 200,000,000 2010/02/25
21317 BNP Paribas Arbit Issu B.V. HSBC European Wts Aug 2010 B 0.48 88.93 2010/08/16 200,000,000 2010/02/25
21335 BNP Paribas Arbit Issu B.V. ICBC European Wts Sep 2010 B 0.28 6.49 per unit 2010/09/01 200,000,000 2010/02/25
21318 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Oct 2010 0.34 15.4 2010/10/05 150,000,000 2010/02/25
21336 Deutsche Bank AG China Mobile European Warrants Jun 2010 E 0.36 80.88 2010/06/07 200,000,000 2010/02/25
10961 Deutsche Bank AG Gold European Put Warrants Sep 2010 0.26 1,008 per 4,000 units 2010/09/28 50,000,000 2010/02/25
21313 Macquarie Bank Ltd. China Overseas European Wts Jun 2010 B 0.15 17 2010/06/21 150,000,000 2010/02/25
21334 Macquarie Bank Ltd. A50 China European Put Wts Aug 2010 0.151 13.38 2010/08/03 200,000,000 2010/02/25
#
17360 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jul 11A 0.066 58.89 per 100 units 2011/07/18 600,000,000 2010/02/25
21347 BNP Paribas Arbit Issu B.V. China Dongxiang Euro Wts Aug10 0.87 5.38 per unit 2010/08/30 35,000,000 2010/02/26
21349 Deutsche Bank AG China Mobile European Warrants Oct 2011 0.15 66 per 100 units 2011/10/17 300,000,000 2010/02/26
21350 Deutsche Bank AG HSBC European Warrants Jun 2011 A 0.15 75 per 100 units 2011/06/27 300,000,000 2010/02/26
21351 Deutsche Bank AG ICBC European Warrants Jul 2010 C 0.31 5.88 per unit 2010/07/26 150,000,000 2010/02/26
21352 Deutsche Bank AG PetroChina European Warrants May 2011 A 0.15 8.88 2011/05/04 200,000,000 2010/02/26
21363 Goldman Sachs SP (Asia) HSI European Warrants Jul 2010 D 0.16 18,800 per 12,000 units 2010/07/29 200,000,000 2010/02/26
21364 Goldman Sachs SP (Asia) HSI European Warrants Jul 2010 E 0.15 19,800 per 9,000 units 2010/07/29 200,000,000 2010/02/26
21365 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 F 0.15 19,400 per 12,000 units 2010/08/30 200,000,000 2010/02/26
21366 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 G 0.15 20,600 per 9,000 units 2010/08/30 200,000,000 2010/02/26
21367 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 H 0.18 20,000 per 8,000 units 2010/08/30 200,000,000 2010/02/26
21353 Goldman Sachs SP (Asia) HSI European Put Wts May 2010 F 0.2 20,400 per 8,000 units 2010/05/28 200,000,000 2010/02/26
21354 Goldman Sachs SP (Asia) HSI European Put Wts May 2010 G 0.23 21,200 per 9,000 units 2010/05/28 200,000,000 2010/02/26
21355 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2010 D 0.15 18,200 per 6,400 units 2010/06/29 200,000,000 2010/02/26
21356 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2010 E 0.28 21,200 per 8,500 units 2010/06/29 200,000,000 2010/02/26
21357 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 A 0.15 18,800 per 10,000 units 2010/07/29 200,000,000 2010/02/26
21358 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 B 0.2 19,600 per 8,000 units 2010/07/29 200,000,000 2010/02/26
21359 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 C 0.25 20,800 per 9,000 units 2010/07/29 200,000,000 2010/02/26
21360 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 B 0.25 19,200 per 7,000 units 2010/08/30 200,000,000 2010/02/26
21361 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 C 0.19 19,600 per 9,000 units 2010/08/30 200,000,000 2010/02/26
21362 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 D 0.25 20,200 per 8,500 units 2010/08/30 200,000,000 2010/02/26
21344 HK Bank HSI European Put Warrants Aug 2010 0.25 19,400 per 9,000 units 2010/08/30 180,000,000 2010/02/26
21339 HK Bank HSI European Warrants Aug 2010 A 0.25 19,600 per 10,000 units 2010/08/30 200,000,000 2010/02/26
21340 HK Bank HSI European Warrants Aug 2010 B 0.25 21,800 per 9,000 units 2010/08/30 238,000,000 2010/02/26
21338 Macquarie Bank Ltd. Ju Teng Intl European Warrants Nov 10 0.25 8 2010/11/29 200,000,000 2010/02/26
21341 SGA Societe Generale Acceptance N.V. CLife Eu Wt Sep 2010B 0.25 38.8 2010/09/06 200,000,000 2010/02/26
21342 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Oct 2011 0.15 6.2 2011/10/03 500,000,000 2010/02/26
21343 SGA Societe Generale Acceptance N.V Ch Ship Cont Eu Wt Sep10 0.83 3.30 per unit 2010/09/06 80,000,000 2010/02/26
21345 SGA Societe Generale Acceptance N.V. Foxconn Eu Wts Dec 10 0.25 9 2010/12/20 150,000,000 2010/02/26
21346 SGA Societe Generale Acceptance N.V Nine Dragons Eu Wt Dec10 0.25 11.58 2010/12/06 150,000,000 2010/02/26
21348 UBS AG China Mobile European Put Warrants Jun 2011 0.15 74 per 100 units 2011/06/07 100,000,000 2010/02/26
21370 BNP Paribas Arbit Issu B.V. HSI European Wts Jul 2010 F 0.17 20,400 per 10,000 units 2010/07/29 200,000,000 2010/03/01
21371 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jun 2010 H 0.23 20,200 per 8,800 units 2010/06/29 200,000,000 2010/03/01
21374 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jul 2010 G 0.23 19,600 per 8,000 units 2010/07/29 200,000,000 2010/03/01
21372 Deutsche Bank AG WISE CSI European Warrants Sep 2010 0.27 35 2010/09/06 100,000,000 2010/03/01
21376 Deutsche Bank AG WISE CSI European Put Warrants Sep 2010 0.25 30 2010/09/06 100,000,000 2010/03/01
21375 Goldman Sachs SP (Asia) BOCL European Warrants Jun 2010 C 0.15 4.28 per unit 2010/06/11 200,000,000 2010/03/01
21377 Goldman Sachs SP (Asia) BOCL European Warrants Jul 2010 B 0.27 3.88 per unit 2010/07/19 200,000,000 2010/03/01
21378 Goldman Sachs SP (Asia) BOCL European Warrants Jul 2010 C 0.16 4.28 per unit 2010/07/29 200,000,000 2010/03/01
21380 Goldman Sachs SP (Asia) CC Bank European Wts Jul 2010 C 0.17 6.88 per unit 2010/07/12 200,000,000 2010/03/01
21381 Goldman Sachs SP (Asia) CC Bank European Wts Aug 2010 B 0.31 6.65 per unit 2010/08/30 200,000,000 2010/03/01
21382 Goldman Sachs SP (Asia) CC Bank European Wts Aug 2010 C 0.15 7.68 per unit 2010/08/30 200,000,000 2010/03/01
21383 Goldman Sachs SP (Asia) China Mobile Euro Wts Jun 2010 D 0.37 78 2010/06/07 200,000,000 2010/03/01
21384 Goldman Sachs SP (Asia) China Mobile Euro Wts Jul 2010 B 0.15 96 2010/07/29 200,000,000 2010/03/01
21385 Goldman Sachs SP (Asia) China Mobile Euro Wts Aug 2010 B 0.21 91.8 2010/08/30 200,000,000 2010/03/01
21388 Goldman Sachs SP (Asia) CNOOC European Warrants Dec 2010 0.15 13 2010/12/22 200,000,000 2010/03/01
21386 Goldman Sachs SP (Asia) Sinopec Corp European Warrants Jul10 0.21 7 per unit 2010/07/21 200,000,000 2010/03/01
21387 Goldman Sachs SP (Asia) Sinopec Corp European Warrants Aug10 0.27 6.98 per unit 2010/08/30 200,000,000 2010/03/01
21373 Goldman Sachs SP (Asia) A50 China European Wts Jun 2010 0.19 16.18 per unit 2010/06/29 200,000,000 2010/03/01
21390 Goldman Sachs SP (Asia) HSBC European Warrants Sep 2010 A 0.27 98 2010/09/01 200,000,000 2010/03/01
21389 Goldman Sachs SP (Asia) HSBC European Warrants Jun 2010 C 0.16 93.87 2010/06/01 200,000,000 2010/03/01
21368 HK Bank A50 China European Put Warrants Jan 2011 0.25 12.28 2011/01/31 180,000,000 2010/03/01
21369 Macquarie Bank Ltd. HSI European Put Warrants Aug 2010 E 0.15 18,400 per 8,000 units 2010/08/30 300,000,000 2010/03/01
#
17365 CC Rabobank B.A. Sinopec Corp European Warrants Dec 2010A 0.052 6.58 2010/12/28 200,000,000 2010/03/01
21397 Deutsche Bank AG China Life European Warrants Aug 2010 E 0.15 42.88 2010/08/02 300,000,000 2010/03/02
21398 Deutsche Bank AG HSBC European Warrants Sep 2010 B 0.51 92 2010/09/06 200,000,000 2010/03/02
21396 Deutsche Bank AG HSI European Warrants Aug 2010 E 0.17 21,000 per 8,000 units 2010/08/30 300,000,000 2010/03/02
21400 Deutsche Bank AG HSI European Put Warrants Aug 2010 G 0.21 20,600 per 9,000 units 2010/08/30 300,000,000 2010/03/02
21391 HK Bank Sinopharm European Warrants Sep 2010 0.25 43.88 2010/09/02 80,000,000 2010/03/02
21392 HK Bank SHK Ppt European Warrants Nov 2010 0.15 100.88 per 100 units 2010/11/22 150,000,000 2010/03/02
21394 RB of Scotland N.V. China Mobile European Wts Jun 2010 A 0.307 82.88 2010/06/28 200,000,000 2010/03/02
21395 RB of Scotland N.V. China Mobile European Wts Jun 2010 B 0.202 88 2010/06/28 200,000,000 2010/03/02
21393 RB of Scotland N.V. Sinopharm European Warrants Oct 2010 0.574 39.88 2010/10/11 100,000,000 2010/03/02
21415 BNP Paribas Arbit Issu B.V. Fushan Energy Euro Wts Jan11 0.25 7.12 2011/01/04 100,000,000 2010/03/03
21403 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Oct 2010 0.25 11.38 2010/10/05 100,000,000 2010/03/03
21402 BNP Paribas Arbit Issu B.V. Ping An European Wts Sep 2010 0.27 72.88 2010/09/06 100,000,000 2010/03/03
21416 BNP Paribas Arbit Issu B.V. Sino-Ocean Land Euro Wts Jun11 0.25 6.3 2011/06/07 100,000,000 2010/03/03
21412 Deutsche Bank AG CC Bank European Warrants Aug 2010 B 0.31 6.50 per unit 2010/08/09 150,000,000 2010/03/03
21399 HK Bank CNOOC European Warrants Dec 2010 B 0.15 13.02 2010/12/08 180,000,000 2010/03/03
21413 J P Morgan SP BV HSBC European Warrants Sep 2010 A 0.25 100 2010/09/03 100,000,000 2010/03/03
21414 J P Morgan SP BV ICBC European Warrants Sep 2010 A 0.25 6 per unit 2010/09/03 100,000,000 2010/03/03
21409 Macquarie Bank Ltd. China Tel European Warrants Oct 2010 0.253 4 per unit 2010/10/05 200,000,000 2010/03/03
21405 Macquarie Bank Ltd. CC Bank European Warrants Jun 2010 0.229 6.49 per unit 2010/06/25 200,000,000 2010/03/03
21406 Macquarie Bank Ltd. CC Bank European Warrants Sep 2010 0.273 6.80 per unit 2010/09/03 200,000,000 2010/03/03
21404 Macquarie Bank Ltd. Ch Comm Cons European Wts Jul 2011 0.15 8.68 2011/07/25 200,000,000 2010/03/03
21407 Macquarie Bank Ltd. Sinopec Corp European Wts Sep 2010 0.255 7 per unit 2010/09/03 200,000,000 2010/03/03
21408 Macquarie Bank Ltd. Chi Res Power European Warrants Oct 10 0.252 19 2010/10/05 200,000,000 2010/03/03
21410 Macquarie Bank Ltd. Geely Auto European Warrants Sep 2010 0.426 4.70 per unit 2010/09/03 200,000,000 2010/03/03
21411 Macquarie Bank Ltd. Tencent European Warrants Oct 2010 A 0.251 160 per 100 units 2010/10/05 300,000,000 2010/03/03
21401 UBS AG HSBC European Warrants Aug 2010 A 0.3 93.99 2010/08/16 80,000,000 2010/03/03
#
20216 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jul 2010 B 0.119 6.40 per unit 2010/07/19 120,000,000 2010/03/03
21422 Macquarie Bank Ltd. BOCL European Put Warrants Sep 2010 0.254 3.40 per unit 2010/09/06 100,000,000 2010/03/04
21421 Macquarie Bank Ltd. Sino Ocean Land European Warrants Dec10 0.25 8.5 2010/12/29 200,000,000 2010/03/04
21423 Macquarie Bank Ltd. Zijin Mining European Put Wts Sep 2011 0.25 6.65 2011/09/02 200,000,000 2010/03/04
21419 Merrill Lynch Int’l & Co. C.V. BOCL European Wts May 2011 0.305 4.69 per unit 2011/05/16 100,000,000 2010/03/04
21420 Merrill Lynch Int’l & Co. C.V. BOCL European Put Wts Oct10A 0.31 3.39 per unit 2010/10/25 100,000,000 2010/03/04
21417 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jan11A 0.255 20,500 per 8,000 units 2011/01/28 200,000,000 2010/03/04
21418 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10F 0.26 20,500 per 10,000 units 2010/12/30 200,000,000 2010/03/04
21433 BNP Paribas Arbit Issu B.V. ICBC European Wts Dec 2010 B 0.31 6.68 per unit 2010/12/06 200,000,000 2010/03/05
21436 Credit Suisse AG Sinopec Corp European Warrants Jun 2010 C 0.15 6.28 per unit 2010/06/14 200,000,000 2010/03/05
21437 Credit Suisse AG Sinopharm European Warrants Sep 2010 0.25 38.88 2010/09/27 100,000,000 2010/03/05
21447 Deutsche Bank AG BankComm European Warrants Oct 2010 B 0.15 8 2010/10/25 150,000,000 2010/03/05
21448 Deutsche Bank AG CC Bank European Warrants Sep 2010 A 0.52 6 per unit 2010/09/06 200,000,000 2010/03/05
21427 Macquarie Bank Ltd. Bank of EA European Warrants Nov 2010 0.276 34 2010/11/02 200,000,000 2010/03/05
21428 Macquarie Bank Ltd. BYD European Warrants Nov 2010 0.15 68.88 per 100 units 2010/11/26 250,000,000 2010/03/05
21429 Macquarie Bank Ltd. Dongfeng Motor European Wts Oct 2010 0.25 11 2010/10/28 150,000,000 2010/03/05
21425 Macquarie Bank Ltd. A50 China European Warrants Aug 2010 0.152 13.1 2010/08/30 300,000,000 2010/03/05
21426 Macquarie Bank Ltd. A50 China European Warrants Jan 2011 A 0.152 15 2011/01/26 300,000,000 2010/03/05
21438 CC Rabobank B.A. Alibaba European Warrants Sep 2010 0.27 20 2010/09/22 100,000,000 2010/03/05
21440 CC Rabobank B.A. China Tel European Warrants Oct 2010 0.23 3.99 per unit 2010/10/04 80,000,000 2010/03/05
21439 CC Rabobank B.A. Sinopec Corp European Warrants Oct 2010 0.25 7.40 per unit 2010/10/28 80,000,000 2010/03/05
21441 CC Rabobank B.A. Denway Motors European Warrants Sep 2010 0.5 5.60 per unit 2010/09/14 80,000,000 2010/03/05
21442 CC Rabobank B.A. HSBC European Warrants Nov 2010 B 0.41 94 2010/11/29 100,000,000 2010/03/05
21443 CC Rabobank B.A. HSBC European Warrants Nov 2010 C 0.41 98 2010/11/29 100,000,000 2010/03/05
21444 CC Rabobank B.A. ICBC European Warrants Oct 2010 0.25 6.80 per unit 2010/10/28 80,000,000 2010/03/05
21445 CC Rabobank B.A. Nine Dragons European Warrants Oct 2010 0.25 11.6 2010/10/28 150,000,000 2010/03/05
21446 CC Rabobank B.A. Sino Ocean Land European Warrants Dec 10 0.25 7.4 2010/12/21 300,000,000 2010/03/05
21430 SGA Societe Generale Acceptance N.V. CCoal Eur Wt Nov 2010 0.25 13.4 2010/11/22 200,000,000 2010/03/05
21431 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Aug 2010 D 0.2 104.88 2010/08/30 100,000,000 2010/03/05
21432 SGA Societe Generale Acceptance N.V. Ping An Eu Wt Sep 10 0.56 64 2010/09/27 60,000,000 2010/03/05
21434 UBS AG Ping An European Warrants Sep 2010 0.25 68.88 2010/09/13 100,000,000 2010/03/05
21435 UBS AG Sinopharm European Warrants Dec 2010 A 0.41 44.88 2010/12/20 100,000,000 2010/03/05
#
03489 KBC Fin Products Int’l Ltd. HSBC European Wts Dec 2010 B 0.070 90 per 100 unit 2010/12/06 482,000,000 2010/03/05
#
19959 UBS AG HSBC European Warrants Oct 2010 A 0.07 83.60 per 93 units 2010/10/25 400,000,000 2010/03/05
#
19958 UBS AG HSBC European Warrants Jun 2010 B 0.097 98.88 2010/06/28 120,000,000 2010/03/05
21449 BOCI Asia Ltd. A50 China European Warrants Sep 2010 0.15 13.12 2010/09/06 100,000,000 2010/03/08
21450 BOCI Asia Ltd. ICBC European Warrants Jul 2010 0.25 6.20 per unit 2010/07/29 100,000,000 2010/03/08
21460 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Dec 2010 0.16 88.90 per 100 units 2010/12/07 100,000,000 2010/03/08
21461 BNP Paribas Arbit Issu B.V. Hutchison European Wts Sep 10 0.29 65 2010/09/09 100,000,000 2010/03/08
21464 Deutsche Bank AG A50 China European Warrants Aug 2010 B 0.15 13.1 2010/08/30 300,000,000 2010/03/08
21463 Deutsche Bank AG HSBC European Warrants Sep 2010 C 0.35 99 2010/09/13 200,000,000 2010/03/08
21468 KBC Fin Products Int’l Ltd. China Tel Euro Wts Sep 2010 0.25 3.68 per unit 2010/09/08 108,000,000 2010/03/08
21465 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Jul 2010 0.49 5.99 per unit 2010/07/02 88,000,000 2010/03/08
21467 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Sep 2010 0.29 6.98 per unit 2010/09/01 138,000,000 2010/03/08
21469 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Sep10B 0.18 166.88 per 100 units 2010/09/01 138,000,000 2010/03/08
21451 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jul 2010 E 0.15 20,800 per 10,000 units 2010/07/29 300,000,000 2010/03/08
21452 SGA Societe Generale Acceptance N.V. HSI Eur Wt Aug 2010 A 0.184 21,500 per 7,500 units 2010/08/30 300,000,000 2010/03/08
21453 SGA Societe Generale Acceptance N.V. HSI Eur Wt Aug 2010 B 0.18 22,000 per 6,700 units 2010/08/30 300,000,000 2010/03/08
21454 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Aug10C 0.16 19,500 per 7,500 units 2010/08/30 300,000,000 2010/03/08
21455 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Aug10D 0.178 20,000 per 8,000 units 2010/08/30 300,000,000 2010/03/08
21456 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Aug10E 0.187 20,500 per 9,000 units 2010/08/30 300,000,000 2010/03/08
21457 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jul 2010 D 0.22 6.50 per unit 2010/07/28 120,000,000 2010/03/08
21458 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Sep10B 0.25 18.4 2010/09/27 75,000,000 2010/03/08
21459 SGA Societe Generale Acceptance NV Yanzhou Coal Eu Wt Sep10B 0.25 18.48 2010/09/27 75,000,000 2010/03/08
21462 UBS AG HSI European Warrants Aug 2010 B 0.15 21,800 per 9,000 units 2010/08/30 200,000,000 2010/03/08
#
20909 Macquarie Bank Ltd. CC Bank European Warrants May 2010 B 0.081 7.09 per unit 2010/05/05 200,000,000 2010/03/08
#
21007 Macquarie Bank Ltd. HSBC European Warrants Jun 2010 0.1 93.88 2010/06/02 300,000,000 2010/03/08
#
18135 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Aug 2010 A 0.045 75.88 per 100 units 2010/08/03 880,000,000 2010/03/08
21470 Barclays Bank plc CHALCO European Warrants Oct 2010 B 0.15 8.4 2010/10/04 200,000,000 2010/03/09
21472 Barclays Bank plc BankComm European Warrants Nov 2010 0.16 8 2010/11/01 200,000,000 2010/03/09
21471 Barclays Bank plc BankComm European Put Warrants Sep 2010 0.15 8.4 2010/09/06 200,000,000 2010/03/09
21474 Barclays Bank plc HKEx European Warrants Oct 2010 B 0.19 130 per 100 units 2010/10/04 200,000,000 2010/03/09
21473 Barclays Bank plc HKEx European Put Warrants Sep 2010 B 0.15 122.88 per 100 units 2010/09/06 200,000,000 2010/03/09
21483 KBC Fin Products Int’l Ltd. BOCL European Wts Sep 2010 B 0.27 4.08 per unit 2010/09/09 108,000,000 2010/03/09
21484 KBC Fin Products Int’l Ltd. China Life Euro Wts Aug 2010 C 0.18 39.18 2010/08/02 268,000,000 2010/03/09
21485 KBC Fin Products Int’l Ltd. China Life Euro Wts Sep 2010 A 0.25 35.88 2010/09/09 238,000,000 2010/03/09
21487 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Sep 2010 B 0.78 70.88 2010/09/09 88,000,000 2010/03/09
21488 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Sep 2010 C 0.42 79.18 2010/09/09 138,000,000 2010/03/09
21489 KBC Fin Products Int’l Ltd. CNOOC European Wts Aug 2010 C 0.15 12.7 2010/08/18 228,000,000 2010/03/09
21490 KBC Fin Products Int’l Ltd. CNOOC Euro Put Wts Nov 2010 0.17 11.98 2010/11/01 168,000,000 2010/03/09
21491 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Nov 2010 B 0.19 12.68 2010/11/22 158,000,000 2010/03/09
21492 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jan 2011 0.15 13.88 2011/01/05 198,000,000 2010/03/09
21493 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Aug10D 0.2 14.4 2010/08/23 100,000,000 2010/03/09
21475 Macquarie Bank Ltd. C Transmission European Warrants Oct10 0.251 18.88 2010/10/11 200,000,000 2010/03/09
21476 CC Rabobank B.A. Agile Ppt European Warrants Nov 2010 0.25 11.6 2010/11/29 150,000,000 2010/03/09
21477 CC Rabobank B.A. BankComm European Warrants Oct 2010 0.49 10.80 per unit 2010/10/06 80,000,000 2010/03/09
21480 CC Rabobank B.A. A50 China European Put Warrants Oct 2010 0.25 14 2010/10/28 150,000,000 2010/03/09
21481 CC Rabobank B.A. A50 China European Put Warrants Apr 2011 0.25 12.8 2011/04/06 150,000,000 2010/03/09
21482 CC Rabobank B.A. HSI European Warrants Jul 2010 B 0.15 22,400 per 10,000 units 2010/07/29 200,000,000 2010/03/09
21486 CC Rabobank B.A. HSI European Put Warrants Jul 2010 D 0.21 20,800 per 9,000 units 2010/07/29 200,000,000 2010/03/09
21478 CC Rabobank B.A. ICBC European Warrants Mar 2011 0.3 7.40 per unit 2011/03/30 100,000,000 2010/03/09
21479 CC Rabobank B.A. Ping An European Warrants Sep 2010 0.49 70 2010/09/20 80,000,000 2010/03/09
#
18325 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Oct 2010 0.069 83.593 per 93 units 2010/10/25 200,000,000 2010/03/09
#
18581 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Nov 2010 0.041 92.593 per 93 units 2010/11/29 400,000,000 2010/03/09
#
18884 UBS AG China Mobile European Warrants Nov 2010 0.038 83.80 per 100 units 2010/11/29 300,000,000 2010/03/09
21509 Citigroup Global Mkt H Inc. Ch Overseas Euro Wts Dec 2010 0.25 18.8 2010/12/30 160,000,000 2010/03/10
21512 Citigroup Global Mkt H Inc. CC Bank Euro Put Wts Nov 2010 0.15 6.88 2010/11/02 267,000,000 2010/03/10
21513 Citigroup Global Mkt H Inc. A50 China Eur Put Wts Dec 2010 0.25 13.88 2010/12/30 160,000,000 2010/03/10
21510 Citigroup Global Mkt H Inc. ICBC European Wts Oct 2010 0.25 6.80 per unit 2010/10/25 160,000,000 2010/03/10
21511 Citigroup Global Mkt H Inc. Poly HK Inv Euro Wts Dec10 0.25 12 2010/12/30 160,000,000 2010/03/10
21514 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Aug 2010 0.38 4 per unit 2010/08/03 100,000,000 2010/03/10
21515 KBC Fin Products Int’l Ltd. BYD European Warrants Oct 2010 0.15 79.88 per 100 units 2010/10/05 128,000,000 2010/03/10
21516 KBC Fin Products Int’l Ltd. BYD European Warrants Nov 2010 0.15 68.88 per 100 units 2010/11/15 128,000,000 2010/03/10
21517 KBC Fin Products Int’l Ltd. BYD European Warrants Dec 2010 0.25 54 per 100 units 2010/12/01 118,000,000 2010/03/10
21518 Macquarie Bank Ltd. ICBC European Warrants Oct 2010 0.252 7 per unit 2010/10/05 200,000,000 2010/03/10
21496 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jun 2010 0.249 58.05 2010/06/24 100,000,000 2010/03/10
21494 RB of Scotland N.V. HSI European Warrants Jun 2010 0.15 21,000 per 10,000 units 2010/06/29 400,000,000 2010/03/10
21495 RB of Scotland N.V. HSI European Warrants Jul 2010 0.15 21,600 per 10,000 units 2010/07/29 400,000,000 2010/03/10
21498 RB of Scotland N.V. HSI European Put Warrants Jun 2010 B 0.168 20,200 per 8,800 units 2010/06/29 400,000,000 2010/03/10
21497 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jul 10B 0.21 88 2010/07/12 100,000,000 2010/03/10
21499 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Jul 10D 0.4 6.50 per unit 2010/07/26 100,000,000 2010/03/10
21500 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Aug 10D 0.63 6.20 per unit 2010/08/30 100,000,000 2010/03/10
21501 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Oct 2010 0.47 6.80 per unit 2010/10/11 100,000,000 2010/03/10
21504 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Aug 10B 0.165 12.48 2010/08/02 300,000,000 2010/03/10
21505 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Sep 2010 0.15 13.1 2010/09/06 300,000,000 2010/03/10
21503 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Oct 2010 0.15 145 per 100 units 2010/10/18 300,000,000 2010/03/10
21502 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Aug 2010 C 0.15 140.88 per 100 units 2010/08/02 300,000,000 2010/03/10
21506 UBS AG BOCL European Warrants Aug 2010 0.15 4.38 per unit 2010/08/02 100,000,000 2010/03/10
21507 UBS AG China EB Ltd European Warrants Oct 2010 0.25 22.88 2010/10/11 100,000,000 2010/03/10
#
17446 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2010 A 0.022 86.65 per 100 units 2010/10/11 600,000,000 2010/03/10
#
19940 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May10E 0.033 22,200 per 11,000 units 2010/05/28 500,000,000 2010/03/10
21525 BNP Paribas Arbit Issu B.V. BOCL European Wts Nov 2010 B 0.53 3.68 per unit 2010/11/01 200,000,000 2010/03/11
21524 Deutsche Bank AG HSBC European Put Warrants Jun 2010 F 0.49 78 2010/06/28 200,000,000 2010/03/11
21519 CC Rabobank B.A. China Coal European Warrants Dec 2010 0.25 14.8 2010/12/30 150,000,000 2010/03/11
21520 CC Rabobank B.A. C Transmission European Warrants Sep 2010 0.25 20 2010/09/29 100,000,000 2010/03/11
21522 CC Rabobank B.A. Minsheng Bank European Warrants Mar 2011 0.15 9.08 2011/03/23 200,000,000 2010/03/11
21521 CC Rabobank B.A. Chi Res Land European Warrants Oct 2010 0.25 18.8 2010/10/28 100,000,000 2010/03/11
21523 CC Rabobank B.A. MTRC European Warrants Sep 2010 0.25 29.6 2010/09/29 100,000,000 2010/03/11
#
19773 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jun 10C 0.219 78 2010/06/14 140,000,000 2010/03/11
#
18883 UBS AG China Mobile European Warrants Aug 2010 0.043 75.88 per 100 units 2010/08/02 300,000,000 2010/03/11
21533 Deutsche Bank AG BOCL European Warrants Sep 2010 0.25 4.58 per unit 2010/09/13 200,000,000 2010/03/12
21534 Deutsche Bank AG China Mobile European Warrants Aug 2010 D 0.24 85 2010/08/23 300,000,000 2010/03/12
21532 HK Bank China Mobile European Warrants Jun 2010 0.15 83.02 2010/06/22 160,000,000 2010/03/12
21531 HK Bank C Transmission European Warrants Sep 2010 0.25 20.18 2010/09/13 80,000,000 2010/03/12
21527 J P Morgan SP BV Sinopec Corp European Warrants Sep 2010 0.25 6.90 per unit 2010/09/13 80,000,000 2010/03/12
21528 J P Morgan SP BV HSBC European Warrants Sep 2010 B 0.25 92.8 2010/09/13 100,000,000 2010/03/12
21529 J P Morgan SP BV ICBC European Warrants Sep 2010 B 0.25 6.38 per unit 2010/09/13 100,000,000 2010/03/12
21526 Macquarie Bank Ltd. China Mobile European Wts Jun 2010 B 0.157 80.88 2010/06/14 200,000,000 2010/03/12
21535 UBS AG China Life European Warrants Sep 2010 A 0.25 37.88 2010/09/13 200,000,000 2010/03/12
21536 UBS AG Tencent Holdings European Warrants Aug 2010 B 0.2 158 per 100 units 2010/08/25 200,000,000 2010/03/12
21537 UBS AG Tencent Holdings European Warrants Aug 2010 C 0.15 174.88 per 100 units 2010/08/31 200,000,000 2010/03/12
#
19115 BNP Paribas Arbit Issu B.V. China Life Euro Wts Jul 2010 A 0.216 36.38 2010/07/05 300,000,000 2010/03/12
#
19761 Deutsche Bank AG China Life European Warrants May 2010 C 0.15 36.88 2010/05/03 400,000,000 2010/03/12
#
20202 CC Rabobank B.A. CNPC European Warrants Nov 2010 0.091 11.88 2010/11/12 150,000,000 2010/03/12
21541 Credit Suisse AG China Mobile European Warrants Jul 2010 0.15 78.9 2010/07/19 200,000,000 2010/03/15
21540 Credit Suisse AG CC Bank European Warrants Jul 2010 B 0.15 6.99 per unit 2010/07/26 200,000,000 2010/03/15
21542 Credit Suisse AG HSBC European Wts Jul 2010 0.15 89.98 2010/07/26 200,000,000 2010/03/15
21551 Deutsche Bank AG CNOOC European Warrants Nov 2010 A 0.18 12.28 2010/11/15 200,000,000 2010/03/15
21552 Deutsche Bank AG HSBC European Warrants Aug 2010 0.79 80 2010/08/23 200,000,000 2010/03/15
21554 Deutsche Bank AG HSI European Warrants Aug 2010 H 0.15 21,800 per 9,000 units 2010/08/30 300,000,000 2010/03/15
21555 Deutsche Bank AG HSI European Put Warrants Jul 2010 F 0.2 21,200 per 9,000 units 2010/07/29 300,000,000 2010/03/15
21553 Deutsche Bank AG PetroChina European Warrants Aug 2010 B 0.15 8.38 2010/08/02 200,000,000 2010/03/15
21538 J P Morgan SP BV CM Bank European Warrants Sep 2010 A 0.253 20.88 2010/09/15 200,000,000 2010/03/15
21539 J P Morgan SP BV JX Copper European Warrants Sep 2010 0.253 17.88 2010/09/15 180,000,000 2010/03/15
21547 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jul 2010 0.23 21,600 per 8,800 units 2010/07/29 200,000,000 2010/03/15
21546 KBC Fin Products Int’l Ltd. HSI European Wts Aug 2010 C 0.25 20,000 per 8,000 units 2010/08/30 200,000,000 2010/03/15
21543 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 A 0.25 20,600 per 10,000 units 2010/09/29 200,000,000 2010/03/15
21544 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 B 0.25 21,000 per 11,000 units 2010/09/29 200,000,000 2010/03/15
21545 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 C 0.25 21,600 per 10,000 units 2010/09/29 200,000,000 2010/03/15
21549 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Sep 2010 D 0.25 21,200 per 10,000 units 2010/09/29 200,000,000 2010/03/15
21550 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Sep 2010 E 0.25 22,000 per 11,500 units 2010/09/29 200,000,000 2010/03/15
21548 RB of Scotland N.V. Tencent Holdings European Wts Aug 10B 0.15 188.08 per 100 units 2010/08/16 250,000,000 2010/03/15
#
14748 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Jun 2010 0.117 53.10 per 100 units 2010/06/23 200,000,000 2010/03/15
21560 Barclays Bank plc Minsheng Bank European Warrants Mar 2011 0.15 9.07 2011/03/28 150,000,000 2010/03/16
21561 Barclays Bank plc CNBM European Warrants Oct 2010 0.25 15.88 2010/10/11 150,000,000 2010/03/16
21562 Barclays Bank plc R&F Ppt European Warrants Oct 2010 0.25 14 2010/10/25 150,000,000 2010/03/16
21564 Barclays Bank plc Sinopharm European Warrants Aug 2010 0.46 36.87 2010/08/09 150,000,000 2010/03/16
21563 Barclays Bank plc Sino-Ocean Land European Warrants May2011 0.25 7.78 2011/05/30 150,000,000 2010/03/16
21575 BNP Paribas Arbit Issu B.V. China Life Euro Wts Oct 2010 B 0.3 38 2010/10/06 200,000,000 2010/03/16
21567 Deutsche Bank AG HSI European Warrants Sep 2010 A 0.25 22,400 per 8,000 units 2010/09/29 300,000,000 2010/03/16
21556 HK Bank China Shenhua European Warrants Aug 2010 B 0.15 42.02 2010/08/16 160,000,000 2010/03/16
21572 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Sep 2010 A 0.3 6.68 per unit 2010/09/16 128,000,000 2010/03/16
21573 KBC Fin Products Int’l Ltd. HKEx European Warrants Oct2010 0.15 145 per 100 units 2010/10/15 138,000,000 2010/03/16
21574 KBC Fin Products Int’l Ltd. ICBC European Wts Aug 2010 0.15 7.68 per unit 2010/08/03 128,000,000 2010/03/16
21557 Macquarie Bank Ltd. Angang Steel European Wts Oct 2010 0.251 17 2010/10/05 200,000,000 2010/03/16
21558 Macquarie Bank Ltd. China Shenhua European Wts Oct 2010 0.386 40 2010/10/05 200,000,000 2010/03/16
21559 Macquarie Bank Ltd. Denway Motors European Wts Oct 2010 0.493 5.50 per unit 2010/10/05 200,000,000 2010/03/16
21565 Macquarie Bank Ltd. Gome European Warrants Sep 2010 0.257 3.38 per unit 2010/09/16 88,000,000 2010/03/16
21568 UBS AG China Mobile European Warrants Aug 2010 B 0.315 80 2010/08/23 100,000,000 2010/03/16
21569 UBS AG China Mobile European Warrants Aug 2010 C 0.15 88.88 2010/08/30 100,000,000 2010/03/16
21570 UBS AG HSBC European Warrants Sep 2010 D 0.15 100 2010/09/27 100,000,000 2010/03/16
21571 UBS AG HSI European Put Warrants Jun 2010 F 0.15 20,800 per 9,000 units 2010/06/29 200,000,000 2010/03/16
21584 J P Morgan SP BV BEA European Warrants Sep 2010 0.25 33 2010/09/29 100,000,000 2010/03/17
21585 J P Morgan SP BV BOC HK European Warrants Dec 2010 0.25 18.88 2010/12/30 150,000,000 2010/03/17
21587 J P Morgan SP BV China Tel European Warrants Nov 2010 0.25 4.08 per unit 2010/11/29 100,000,000 2010/03/17
21588 J P Morgan SP BV China Unicom European Warrants Jun 2011 0.25 9.88 2011/06/07 200,000,000 2010/03/17
21586 J P Morgan SP BV CM Bank European Warrants Sep 2010 B 0.307 18.88 2010/09/17 150,000,000 2010/03/17
21589 J P Morgan SP BV HKEx European Warrants Oct 2010 0.15 145 per 100 units 2010/10/14 300,000,000 2010/03/17
21591 J P Morgan SP BV Nine Dragons European Warrants Dec 2010 0.25 13 2010/12/30 100,000,000 2010/03/17
21590 J P Morgan SP BV New World Dev European Warrants Oct 2010 0.25 15.88 2010/10/25 100,000,000 2010/03/17
21592 J P Morgan SP BV Ping An European Warrants Apr 2012 0.25 68.88 per 100 units 2012/04/10 300,000,000 2010/03/17
21595 CC Rabobank B.A. Poly HK Inv European Warrants Nov 2010 0.25 11.6 2010/11/29 200,000,000 2010/03/17
21594 CC Rabobank B.A. Parkson Group European Warrants Sep 2010 0.25 15.6 2010/09/29 120,000,000 2010/03/17
21593 CC Rabobank B.A. Yurun Food European Warrants Oct 2010 0.36 29.6 2010/10/28 120,000,000 2010/03/17
21578 SGA Societe Generale Acceptance N.V. CNBM Euro Wts Oct10 0.25 16.46 2010/10/11 100,000,000 2010/03/17
21576 SGA Societe Generale Acceptance N.V. HSI Eur Wt Sep 2010 A 0.295 20,000 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21577 SGA Societe Generale Acceptance N.V. HSI Eur Wt Sep 2010 B 0.25 20,700 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21580 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Sep 10C 0.29 21,300 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21581 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Sep 10D 0.35 22,100 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21582 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Sep 10E 0.415 22,900 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21583 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Sep 10F 0.49 23,700 per 8,000 units 2010/09/29 300,000,000 2010/03/17
21579 SGA Societe Generale Acceptance N.V Nine Dragons Eu Wt Nov10 0.25 13.28 2010/11/22 100,000,000 2010/03/17
#
19266 CC Rabobank B.A. Ch Mobile European Warrants May 2010 0.077 86 2010/05/28 150,000,000 2010/03/17
21620 Barclays Bank plc CC Bank European Warrants Jul 2010 B 0.23 6.88 per unit 2010/07/19 200,000,000 2010/03/18
21624 Barclays Bank plc CITBK European Warrants Nov 2011 0.15 6.88 2011/11/21 200,000,000 2010/03/18
21621 Barclays Bank plc China Life European Warrants Jul 2010 C 0.21 38.88 2010/07/19 200,000,000 2010/03/18
21622 Barclays Bank plc China Life European Warrants Aug 2010 B 0.22 39.88 2010/08/23 200,000,000 2010/03/18
21631 Barclays Bank plc China Life European Put Wts Jul 2010 0.15 33 2010/07/05 200,000,000 2010/03/18
21632 Barclays Bank plc CM Bank European Put Warrants Oct 2010 0.25 18.28 2010/10/04 150,000,000 2010/03/18
21623 Barclays Bank plc China Mobile European Wts Jul 2010 C 0.2 82.88 2010/07/05 200,000,000 2010/03/18
21625 Barclays Bank plc HSBC European Warrants Jul 2010 D 0.29 90 2010/07/26 150,000,000 2010/03/18
21634 Barclays Bank plc HSI European Put Warrants Sep 2010 C 0.25 20,200 per 8,500 units 2010/09/29 200,000,000 2010/03/18
21628 Barclays Bank plc HSI European Warrants Aug 2010 E 0.18 21,000 per 8,000 units 2010/08/30 200,000,000 2010/03/18
21629 Barclays Bank plc HSI European Warrants Sep 2010 A 0.25 21,800 per 8,000 units 2010/09/29 200,000,000 2010/03/18
21630 Barclays Bank plc HSI European Warrants Sep 2010 B 0.25 22,100 per 7,500 units 2010/09/29 200,000,000 2010/03/18
21633 Barclays Bank plc HSI European Put Warrants Jun 2010 J 0.17 21,000 per 7,500 units 2010/06/29 200,000,000 2010/03/18
21626 Barclays Bank plc ICBC European Warrants Jul 2010 C 0.23 6.39 per unit 2010/07/12 200,000,000 2010/03/18
21627 Barclays Bank plc PetroChina European Warrants Nov 2010 0.15 9.58 2010/11/15 200,000,000 2010/03/18
21612 BOCI Asia Ltd. China Life European Put Warrants Sep 2010 0.25 32.88 2010/09/22 100,000,000 2010/03/18
21641 Credit Suisse AG HSI European Warrants Jun 2010 0.15 20,600 per 8,000 units 2010/06/29 100,000,000 2010/03/18
21642 Credit Suisse AG HSI European Warrants Aug 2010 B 0.15 22,000 per 6,700 units 2010/08/30 100,000,000 2010/03/18
21645 Credit Suisse AG HSI European Put Warrants Jun 2010 B 0.15 20,800 per 9,000 units 2010/06/29 100,000,000 2010/03/18
21646 Credit Suisse AG HSI European Put Warrants Jun 2010 C 0.2 21,800 per 8,000 units 2010/06/29 100,000,000 2010/03/18
21613 HK Bank China Life European Warrants Sep 2010 B 0.25 39.88 2010/09/28 200,000,000 2010/03/18
21614 HK Bank China Life European Put Warrants Jun 2010 0.15 33 2010/06/30 100,000,000 2010/03/18
21640 Macquarie Bank Ltd. HSI European Put Warrants Jul 2010 F 0.232 22,100 per 10,000 units 2010/07/29 400,000,000 2010/03/18
21600 Nomura Int’l plc Agile Ppt European Warrants Sep 2010 0.25 11.68 2010/09/30 100,000,000 2010/03/18
21601 Nomura Int’l plc Agile Ppt European Warrants Dec 2010 A 0.251 12.88 2010/12/31 100,000,000 2010/03/18
21604 Nomura Int’l plc BOCL European Warrants Jul 2010 0.194 4.28 per unit 2010/07/26 200,000,000 2010/03/18
21605 Nomura Int’l plc BOCL European Warrants Sep 2010 0.251 4.68 per unit 2010/09/30 200,000,000 2010/03/18
21602 Nomura Int’l plc GCL-Poly Energy European Warrants Aug 10 0.151 2.70 per unit 2010/08/09 100,000,000 2010/03/18
21603 Nomura Int’l plc GCL-Poly Energy European Warrants Dec 10 0.261 2.68 per unit 2010/12/31 100,000,000 2010/03/18
21596 Nomura Int’l plc HSBC European Warrants Aug 2010 0.15 98 2010/08/31 100,000,000 2010/03/18
21597 Nomura Int’l plc HSBC European Warrants Dec 2011 0.15 77.68 per 93 units 2011/12/19 200,000,000 2010/03/18
21607 Nomura Int’l plc HSI European Warrants Aug 2010 0.175 21,800 per 9,000 units 2010/08/30 200,000,000 2010/03/18
21608 Nomura Int’l plc HSI European Warrants Sep 2010 A 0.25 21,000 per 9,000 units 2010/09/29 200,000,000 2010/03/18
21610 Nomura Int’l plc HSI European Put Warrants Aug 2010 0.17 20,000 per 9,000 units 2010/08/30 200,000,000 2010/03/18
21606 Nomura Int’l plc HSI European Warrants Jul 2010 C 0.15 21,500 per 9,000 units 2010/07/29 200,000,000 2010/03/18
21609 Nomura Int’l plc HSI European Put Warrants Jul 2010 D 0.18 20,800 per 9,000 units 2010/07/29 200,000,000 2010/03/18
21598 Nomura Int’l plc PetroChina European Warrants Oct 2010 0.15 9.18 2010/10/11 200,000,000 2010/03/18
21599 Nomura Int’l plc PetroChina European Warrants Dec 2010 0.153 9.98 2010/12/31 200,000,000 2010/03/18
21635 CC Rabobank B.A. China Shenhua European Warrants Oct 2010 0.25 40.8 2010/10/28 100,000,000 2010/03/18
21639 CC Rabobank B.A. A50 China European Put Wts Jan 2011 A 0.15 12.28 2011/01/24 180,000,000 2010/03/18
21636 CC Rabobank B.A. HSBC European Warrants Mar 2011 A 0.28 102 2011/03/16 150,000,000 2010/03/18
21637 CC Rabobank B.A. HSBC European Put Warrants Sep 2010 0.45 74 2010/09/29 100,000,000 2010/03/18
21638 CC Rabobank B.A. Skyworth Digital European Warrants Jan 11 0.25 10.4 2011/01/28 180,000,000 2010/03/18
21643 UBS AG BYD European Warrants Sep 2010 0.15 79.88 per 100 units 2010/09/22 100,000,000 2010/03/18
21616 UBS AG CC Bank European Warrants Sep 2010 B 0.29 6.88 per unit 2010/09/20 100,000,000 2010/03/18
21617 UBS AG Sinopec Corp European Warrants Aug 2010 0.15 7.69 per unit 2010/08/30 100,000,000 2010/03/18
21615 UBS AG HSI European Warrants Sep 2010 C 0.25 22,500 per 7,800 units 2010/09/29 200,000,000 2010/03/18
21619 UBS AG HSI European Put Warrants Sep 2010 A 0.25 20,500 per 9,000 units 2010/09/29 200,000,000 2010/03/18
21618 UBS AG ICBC European Warrants Sep 2010 C 0.25 6.68 per unit 2010/09/20 100,000,000 2010/03/18
#
18807 BNP Paribas Arbit Issu B.V. Cheung Kong European Wts Jun10 0.043 99.95 per 100 units 2010/06/22 240,000,000 2010/03/18
21650 Bank of China (HK) Ltd. China Life European Wts Sep 2010 A 0.512 34 2010/09/30 115,000,000 2010/03/19
21651 Bank of China (HK) Ltd. China Life European Wts Sep 2010 B 0.267 38 2010/09/30 220,000,000 2010/03/19
21652 Bank of China (HK) Ltd. HSBC European Warrants Sep 2010 A 0.957 75 2010/09/30 62,000,000 2010/03/19
21653 Bank of China (HK) Ltd. HSBC European Warrants Sep 2010 B 0.501 85 2010/09/30 118,000,000 2010/03/19
21654 Citigroup Global Mkt H Inc. Alibaba European Warrants Jan11A 0.25 20 2011/01/10 160,000,000 2010/03/19
21655 Citigroup Global Mkt H Inc. Sinopec Corp Euro Wts Oct 2010 0.25 7.50 per unit 2010/10/28 160,000,000 2010/03/19
21656 Citigroup Global Mkt H Inc. GCL-Poly Energy Euro Wt Feb11 0.25 3.80 per unit 2011/02/11 160,000,000 2010/03/19
21657 Citigroup Global Mkt H Inc. HKEx European Wts Oct 2010 0.15 130 per 100 units 2010/10/05 267,000,000 2010/03/19
21659 Citigroup Global Mkt H Inc. Li & Fung European Wts Jan 11 0.75 40 2011/01/24 53,000,000 2010/03/19
21661 Citigroup Global Mkt H Inc. Nine Dragons Euro Wts Jan 2011 0.25 14.88 2011/01/24 160,000,000 2010/03/19
21660 Citigroup Global Mkt H Inc. New World European Wts Feb 11 0.25 16.88 2011/02/14 160,000,000 2010/03/19
21662 Citigroup Global Mkt H Inc. Ping An Euro Wts Oct 2010 0.4 75 2010/10/18 100,000,000 2010/03/19
21663 Citigroup Global Mkt H Inc. Tencent European Warrants Oct10 0.25 175 per 100 units 2010/10/25 160,000,000 2010/03/19
21666 J P Morgan SP BV CITIC Pacific Euro Wts Sep 2010 0.252 20.88 2010/09/29 100,000,000 2010/03/19
21667 J P Morgan SP BV Lenovo European Warrants Sep 2010 0.531 6.28 per unit 2010/09/20 80,000,000 2010/03/19
21647 Macquarie Bank Ltd. Agile Ppt European Warrants Nov 2010 0.25 12.28 2010/11/29 200,000,000 2010/03/19
21648 Macquarie Bank Ltd. China Unicom European Wts Jul 2011 0.25 10 2011/07/05 300,000,000 2010/03/19
21649 Macquarie Bank Ltd. A50 China European Put Wts Jan 2011 0.151 12.28 2011/01/28 300,000,000 2010/03/19
21644 Macquarie Bank Ltd. HSI European Warrants Aug 2010 F 0.163 22,000 per 6,700 units 2010/08/30 400,000,000 2010/03/19
21664 UBS AG China Unicom European Warrants Nov 2010 0.15 9 2010/11/29 100,000,000 2010/03/19
21665 UBS AG HKEx European Warrants Aug 2010 B 0.15 128.08 per 100 units 2010/08/16 200,000,000 2010/03/19
21671 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Oct 2010 B 0.65 5.99 per unit 2010/10/06 200,000,000 2010/03/22
21672 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Aug10D 0.15 188.10 per 100 units 2010/08/11 128,000,000 2010/03/22
21668 Macquarie Bank Ltd. CITIC Bank European Warrants Oct 2010 0.412 6.50 per unit 2010/10/05 200,000,000 2010/03/22
21669 Macquarie Bank Ltd. GCL-Poly Energy European Warrants Oct10 0.254 2.50 per unit 2010/10/25 200,000,000 2010/03/22
21670 Macquarie Bank Ltd. Huaneng Power European Wts Oct 2010 0.258 5.50 per unit 2010/10/05 200,000,000 2010/03/22
#
19954 UBS AG HKEx European Warrants Jul 2010 0.054 138.88 per 100 units 2010/07/19 200,000,000 2010/03/22
21676 HK Bank HSCEI European Warrants Sep 2010 A 0.25 11,800 per 8,000 units 2010/09/29 100,000,000 2010/03/23
21677 HK Bank HSCEI European Warrants Sep 2010 B 0.25 12,800 per 6,500 units 2010/09/29 100,000,000 2010/03/23
21678 HK Bank HSCEI European Put Warrants Sep 2010 C 0.25 10,800 per 6,000 units 2010/09/29 100,000,000 2010/03/23
21679 HK Bank HSCEI European Put Warrants Sep 2010 D 0.25 11,800 per 8,200 units 2010/09/29 100,000,000 2010/03/23
21689 HK Bank HSI European Put Warrants Dec 2010 C 0.25 18,800 per 10,000 units 2010/12/30 150,000,000 2010/03/23
21680 HK Bank HSI European Warrants Sep 2010 A 0.25 20,200 per 10,000 units 2010/09/29 180,000,000 2010/03/23
21681 HK Bank HSI European Warrants Sep 2010 B 0.25 21,200 per 10,000 units 2010/09/29 180,000,000 2010/03/23
21682 HK Bank HSI European Warrants Sep 2010 C 0.25 22,200 per 8,800 units 2010/09/29 180,000,000 2010/03/23
21683 HK Bank HSI European Warrants Sep 2010 D 0.25 22,800 per 8,000 units 2010/09/29 180,000,000 2010/03/23
21684 HK Bank HSI European Warrants Dec 2010 A 0.25 23,800 per 9,000 units 2010/12/30 180,000,000 2010/03/23
21685 HK Bank HSI European Warrants Dec 2010 B 0.25 24,800 per 8,800 units 2010/12/30 180,000,000 2010/03/23
21686 HK Bank HSI European Put Warrants Sep 2010 E 0.25 19,800 per 9,500 units 2010/09/29 150,000,000 2010/03/23
21687 HK Bank HSI European Put Warrants Sep 2010 F 0.25 20,800 per 11,000 units 2010/09/29 150,000,000 2010/03/23
21688 HK Bank HSI European Put Warrants Sep 2010 G 0.25 21,800 per 11,000 units 2010/09/29 150,000,000 2010/03/23
21674 Macquarie Bank Ltd. Chi Resources European Warrants Jan 11 0.462 30 2011/01/04 200,000,000 2010/03/23
21673 Macquarie Bank Ltd. CITIC Pacific European Warrants Oct10B 0.253 21 2010/10/05 200,000,000 2010/03/23
21675 Macquarie Bank Ltd. Hang Seng Bank European Wts Dec 2011 0.25 100 per 100 units 2011/12/30 200,000,000 2010/03/23
21690 RB of Scotland N.V. BYD European Warrants Sep 2010 0.15 79.888 per 100 units 2010/09/22 200,000,000 2010/03/23
21691 RB of Scotland N.V. China Life European Wts Sep 2010 A 0.334 35.888 2010/09/02 200,000,000 2010/03/23
21692 RB of Scotland N.V. China Life European Wts Sep 2010 B 0.25 39.38 2010/09/24 200,000,000 2010/03/23
21693 RB of Scotland N.V. Sinopec Corp European Warrants Aug10B 0.28 6.79 per unit 2010/08/25 100,000,000 2010/03/23
21694 RB of Scotland N.V. ICBC European Warrants Sep 2010 B 0.278 6.28 per unit 2010/09/24 100,000,000 2010/03/23
21695 RB of Scotland N.V. Tencent Holdings European Wts Sep 2010 0.25 168.88 per 100 units 2010/09/30 200,000,000 2010/03/23
21702 Deutsche Bank AG Tencent Holdings European Put Wts Aug10 E 0.17 158 per 100 units 2010/08/09 200,000,000 2010/03/24
21701 J P Morgan SP BV BYD European Warrants Sep 2010 0.15 79.88 per 100 units 2010/09/22 200,000,000 2010/03/24
21704 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Jul 2010 0.32 77.95 2010/07/02 88,000,000 2010/03/24
21705 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Aug 2010 0.17 69.95 2010/08/02 108,000,000 2010/03/24
21703 RB of Scotland N.V. A50 China European Warrants Mar 2011 0.15 14 2011/03/30 300,000,000 2010/03/24
21697 SGA Societe Generale Acceptance N.V. BYD Euro Wts Oct 2010 0.15 79.88 per 100 units 2010/10/04 200,000,000 2010/03/24
21698 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Oct 2010 A 0.18 7 per unit 2010/10/06 100,000,000 2010/03/24
21699 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Nov10A 0.26 178 per 100 units 2010/11/17 200,000,000 2010/03/24
21700 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Dec10 A 0.25 194.88 per 100 units 2010/12/01 200,000,000 2010/03/24
#
21122 Credit Suisse AG Tencent Holdings European Wts Jul 2010 B 0.116 162.80 per 100 units 2010/07/26 200,000,000 2010/03/24
#
18523 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts May 10A 0.03 19,000 per 8,000 units 2010/05/28 400,000,000 2010/03/24
21706 BNP Paribas Arbit Issu B.V. BOCHK European Warrants Dec10 0.25 18.9 2010/12/02 200,000,000 2010/03/25
21707 BNP Paribas Arbit Issu B.V. Ch Mobile Eu Put Wt Jun 2011 0.15 74 per 100 units 2011/06/03 200,000,000 2010/03/25
21709 Deutsche Bank AG HSI European Warrants Sep 2010 B 0.25 21,400 per 9,000 units 2010/09/29 300,000,000 2010/03/25
21713 Deutsche Bank AG HSI European Put Warrants Sep 2010 C 0.25 21,000 per 9,000 units 2010/09/29 300,000,000 2010/03/25
21714 Deutsche Bank AG HSI European Put Warrants Sep 2010 D 0.25 21,600 per 9,000 units 2010/09/29 300,000,000 2010/03/25
21708 UBS AG Tencent Holdings European Put Warrants Aug 2010 0.15 158 per 100 units 2010/08/09 200,000,000 2010/03/25
#
18238 CC Rabobank B.A. HSBC European Warrants Nov 2010 0.026 92.593 per 93 units 2010/11/30 1,000,000,000 2010/03/25
#
20682 UBS AG CC Bank European Warrants Jul 2010 A 0.24 6.48 per unit 2010/07/05 100,000,000 2010/03/25
21736 BNP Paribas Arbit Issu B.V. CNPC European Warrants Sep 10 0.25 10.38 2010/09/30 100,000,000 2010/03/26
21735 BNP Paribas Arbit Issu B.V. Chi Res Land Euro Wts Nov 10 0.25 18.38 2010/11/08 100,000,000 2010/03/26
21737 BNP Paribas Arbit Issu B.V. Sino-Ocean Land Euro Wts Dec10 0.15 7.39 2010/12/29 100,000,000 2010/03/26
21747 Credit Suisse AG China Mobile European Warrants Aug 2010 B 0.15 84.8 2010/08/02 200,000,000 2010/03/26
21748 Credit Suisse AG Tencent Holdings European Wts Aug 2010 C 0.15 166.80 per 100 units 2010/08/30 200,000,000 2010/03/26
21733 Deutsche Bank AG HSBC European Warrants Jul 2010 B 0.23 90 2010/07/26 200,000,000 2010/03/26
21725 HK Bank Tencent European Warrants Sep 2010 C 0.25 168.88 per 100 units 2010/09/27 160,000,000 2010/03/26
21726 HK Bank Tencent European Warrants Dec 2010 0.25 188 per 100 units 2010/12/22 160,000,000 2010/03/26
21727 HK Bank ZTE European Warrants Sep 2010 0.56 62.88 2010/09/27 120,000,000 2010/03/26
21746 J P Morgan SP BV Tencent European Warrants Sep 2010 0.25 162 per 100 units 2010/09/29 200,000,000 2010/03/26
21710 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Dec 2010 0.255 4.49 per unit 2010/12/28 200,000,000 2010/03/26
21711 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Apr 2011A 0.255 4.89 per unit 2011/04/11 200,000,000 2010/03/26
21715 Merrill Lynch Int’l & Co. C.V. BOCL European Put Wts Nov10 0.64 4.19 per unit 2010/11/22 200,000,000 2010/03/26
21712 Merrill Lynch Int’l & Co. C.V. BOCL European Put Wts Oct10B 0.31 3.69 per unit 2010/10/11 200,000,000 2010/03/26
21717 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Dec 10A 0.155 13.018 2010/12/13 200,000,000 2010/03/26
21716 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Nov 2010 0.29 7.19 per unit 2010/11/15 200,000,000 2010/03/26
21718 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Dec 2010 B 0.151 129.99 per 100 units 2010/12/13 200,000,000 2010/03/26
21719 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Oct 2010 D 0.156 129.99 per 100 units 2010/10/11 200,000,000 2010/03/26
21720 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Oct 2010 0.61 69.99 2010/10/18 200,000,000 2010/03/26
21728 CC Rabobank B.A. CM Bank European Warrants Dec 2010 A 0.25 20 2010/12/30 100,000,000 2010/03/26
21729 CC Rabobank B.A. CNOOC European Warrants Jun 2011 A 0.25 13.2 2011/06/29 150,000,000 2010/03/26
21730 CC Rabobank B.A. Dongfeng Motor European Warrants Sep 2010 0.25 13.6 2010/09/29 150,000,000 2010/03/26
21731 CC Rabobank B.A. Foxconn European Warrants Oct 2010 0.172 8.88 2010/10/28 200,000,000 2010/03/26
21732 CC Rabobank B.A. Maanshan Iron European Warrants Sep 2010 0.63 5.50 per unit 2010/09/29 100,000,000 2010/03/26
21738 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Aug 2010 C 0.17 4.38 per unit 2010/08/04 100,000,000 2010/03/26
21739 SGA Societe Generale Acceptance N.V. CCB Eur Wt Sep 2010 A 0.156 7.48 per unit 2010/09/06 80,000,000 2010/03/26
21740 SGA Societe Generale Acceptance N.V. CCB Eur Wt Sep 2010 B 0.172 8 per unit 2010/09/27 80,000,000 2010/03/26
21722 SGA Societe Generale Acceptance N.V. CTel Eu Wt Sep 2010 B 0.45 3.58 per unit 2010/09/29 80,000,000 2010/03/26
21723 SGA Societe Generale Acceptance N.V. CTel Eu Wt Sep 2010 C 0.25 4.28 per unit 2010/09/29 80,000,000 2010/03/26
21724 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Nov 10A 0.17 12.66 2010/11/22 200,000,000 2010/03/26
21743 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jun 2010 I 0.15 21,000 per 9,000 units 2010/06/29 300,000,000 2010/03/26
21744 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jul 10F 0.17 21,200 per 9,000 units 2010/07/29 300,000,000 2010/03/26
21745 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jul 10G 0.23 21,800 per 8,000 units 2010/07/29 300,000,000 2010/03/26
21741 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Sep 2010 B 0.27 7.08 per unit 2010/09/27 100,000,000 2010/03/26
21742 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Oct 10 0.17 169.90 per 100 units 2010/10/13 100,000,000 2010/03/26
21734 UBS AG CM Bank European Warrants Aug 2010 0.15 20.70 per 9 units 2010/08/23 100,000,000 2010/03/26
#
19830 Macquarie Bank Ltd. HSI European Warrants May 2010 0.064 21,600 per 8,000 units 2010/05/28 500,000,000 2010/03/26
#
18518 Macquarie Bank Ltd. Tencent European Warrants Jun 2010 D 0.12 160 per 100 units 2010/06/29 300,000,000 2010/03/26
#
19404 Macquarie Bank Ltd. Tencent European Warrants Aug 2010 0.087 180 per 100 units 2010/08/04 300,000,000 2010/03/26
21757 Deutsche Bank AG China Life European Warrants Oct 2010 A 0.25 41.5 2010/10/04 300,000,000 2010/03/29
21758 Deutsche Bank AG China Mobile European Warrants Oct 2010 C 0.52 77 2010/10/04 300,000,000 2010/03/29
21759 Deutsche Bank AG HSBC European Warrants Oct 2010 B 0.33 88 2010/10/04 300,000,000 2010/03/29
21752 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Sep 2010 F 0.25 20,000 per 8,800 units 2010/09/29 200,000,000 2010/03/29
21753 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Sep 2010 G 0.25 20,800 per 9,800 units 2010/09/29 200,000,000 2010/03/29
21749 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Aug 10B 0.42 80 2010/08/16 200,000,000 2010/03/29
21750 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Sep 2010 C 0.26 93.2 2010/09/29 80,000,000 2010/03/29
21751 SGA Societe Generale Acceptance N.V. HWL Eur Wt Sep 2010 B 0.3 64 2010/09/29 80,000,000 2010/03/29
21754 UBS AG BOCL European Warrants Sep 2010 0.25 4.08 per unit 2010/09/06 100,000,000 2010/03/29
21755 UBS AG CC Bank European Warrants Aug 2010 B 0.4 6.50 per unit 2010/08/30 100,000,000 2010/03/29
21756 UBS AG ICBC European Warrants Sep 2010 D 0.37 6 per unit 2010/09/13 100,000,000 2010/03/29
#
20322 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Dec 2010C 0.035 6.39 2010/12/14 350,000,000 2010/03/29
21767 Barclays Bank plc Bank of EA European Warrants Oct 2010 0.25 32 2010/10/11 150,000,000 2010/03/30
21766 Barclays Bank plc BYD European Warrants Sep 2010 0.15 79.88 per 100 units 2010/09/27 200,000,000 2010/03/30
21765 Barclays Bank plc China Mobile European Put Wts Aug 2010 0.21 66 2010/08/02 200,000,000 2010/03/30
21769 Barclays Bank plc Fushan Energy European Warrants Jan 2011 0.15 7.11 2011/01/10 200,000,000 2010/03/30
21768 Barclays Bank plc Tencent Holdings European Put Wts Oct10 0.25 150 per 100 units 2010/10/11 200,000,000 2010/03/30
21781 Credit Suisse AG CC Bank European Warrants Sep 2010 0.15 6.80 per unit 2010/09/06 200,000,000 2010/03/30
21782 Credit Suisse AG CC Bank European Warrants Jul 2012 0.15 6.38 2012/07/03 200,000,000 2010/03/30
21783 Credit Suisse AG China Mobile European Warrants Oct 2011 B 0.15 66 per 100 units 2011/10/17 200,000,000 2010/03/30
21789 Credit Suisse AG A50 China European Warrants Jan 2011 A 0.15 14.98 2011/01/17 200,000,000 2010/03/30
21790 Credit Suisse AG A50 China European Put Warrants Nov 2010 0.15 14.2 2010/11/15 200,000,000 2010/03/30
21784 Credit Suisse AG HKEx European Warrants Oct 2010 B 0.15 130 per 100 units 2010/10/04 200,000,000 2010/03/30
21785 Credit Suisse AG HSBC European Wts Jun 2011 A 0.15 75 per 100 units 2011/06/27 200,000,000 2010/03/30
21787 Credit Suisse AG ICBC European Warrants Sep 2010 0.15 6.68 per unit 2010/09/20 200,000,000 2010/03/30
21786 Credit Suisse AG ICBC European Warrants Aug 2010 B 0.15 7.08 per unit 2010/08/30 200,000,000 2010/03/30
21775 Deutsche Bank AG CNOOC European Warrants Oct 2010 0.15 13.38 2010/10/18 200,000,000 2010/03/30
21791 Deutsche Bank AG HKEx European Warrants Sep 2010 0.15 130 per 100 units 2010/09/27 300,000,000 2010/03/30
21776 Deutsche Bank AG Hutchison European Warrants Jun 2010 B 0.15 61.45 2010/06/30 200,000,000 2010/03/30
21770 HK Bank BOCL European Warrants Sep 2010 0.25 4.88 per unit 2010/09/30 160,000,000 2010/03/30
21771 HK Bank CC Bank European Warrants Sep 2010 A 0.25 7.68 per unit 2010/09/30 160,000,000 2010/03/30
21772 HK Bank CC Bank European Warrants Sep 2010 B 0.25 8.18 per unit 2010/09/30 160,000,000 2010/03/30
21773 HK Bank ICBC European Warrants Sep 2010 A 0.25 7.10 per unit 2010/09/30 160,000,000 2010/03/30
21774 HK Bank ICBC European Warrants Sep 2010 B 0.25 7.88 per unit 2010/09/30 160,000,000 2010/03/30
21798 KBC Fin Products Int’l Ltd. China Life Euro Wts Oct 2010 A 0.25 40.28 2010/10/04 200,000,000 2010/03/30
21761 Macquarie Bank Ltd. BYD European Warrants Sep 2010 0.161 74 per 100 units 2010/09/02 200,000,000 2010/03/30
21762 Macquarie Bank Ltd. BYD European Warrants Oct 2010 0.15 79.88 per 100 units 2010/10/05 200,000,000 2010/03/30
21797 Macquarie Bank Ltd. CC Bank European Put Warrants Nov 10A 0.342 5.50 per unit 2010/11/02 250,000,000 2010/03/30
21792 Macquarie Bank Ltd. China Mobile European Wts Oct 2010 B 0.473 75 2010/10/05 150,000,000 2010/03/30
21760 Macquarie Bank Ltd. A50 China European Warrants Mar 2011 A 0.152 14 2011/03/30 300,000,000 2010/03/30
21763 Macquarie Bank Ltd. R&F Ppt European Warrants Sep 2010 B 0.15 15.88 2010/09/29 150,000,000 2010/03/30
21793 Macquarie Bank Ltd. Maanshan Iron European Wts Oct 2010 0.257 6 per unit 2010/10/05 100,000,000 2010/03/30
21794 Macquarie Bank Ltd. Nine Dragons European Wts Sep 2010 0.153 14.8 2010/09/01 200,000,000 2010/03/30
21764 Macquarie Bank Ltd. New World Dev European Wts Nov 2010 0.25 14.5 2010/11/02 100,000,000 2010/03/30
21795 Macquarie Bank Ltd. PetroChina European Wts Oct 2010 0.268 11 per unit 2010/10/05 100,000,000 2010/03/30
21796 Macquarie Bank Ltd. Wharf European Warrants Nov 2010 0.286 50 2010/11/02 250,000,000 2010/03/30
21777 CC Rabobank B.A. BOCL European Warrants Oct 2010 0.25 4.50 per unit 2010/10/20 100,000,000 2010/03/30
21778 CC Rabobank B.A. CC Bank European Warrants Sep 2010 B 0.25 7.28 per unit 2010/09/27 100,000,000 2010/03/30
21779 CC Rabobank B.A. Geely Auto European Warrants Aug 2010 B 0.54 4.88 per unit 2010/08/09 100,000,000 2010/03/30
21780 CC Rabobank B.A. Henganintl European Warrants Oct 2010 0.65 66 2010/10/28 80,000,000 2010/03/30
10962 Deutsche Bank AG AUD/USD European Warrants Oct 2010 0.29 0.94 per 1 units 2010/10/25 50,000,000 2010/03/31
10963 Deutsche Bank AG Gold European Warrants Oct 2010 0.25 1,188 per 4,000 units 2010/10/26 50,000,000 2010/03/31
21806 Deutsche Bank AG ICBC European Warrants Oct 2010 A 0.32 6.20 per unit 2010/10/04 200,000,000 2010/03/31
21805 HK Bank BYD European Warrants Feb 2011 0.25 88.88 per 100 units 2011/02/25 150,000,000 2010/03/31
21809 KBC Fin Products Int’l Ltd. China Tel Euro Wts Oct 2010 0.25 4.08 per unit 2010/10/04 100,000,000 2010/03/31
21811 KBC Fin Products Int’l Ltd. ICBC European Wts Oct 2010 C 0.25 6.78 per unit 2010/10/04 158,000,000 2010/03/31
21810 KBC Fin Products Int’l Ltd. ICBC European Wts Sep 2010 B 0.25 6.39 per unit 2010/09/15 158,000,000 2010/03/31
21801 SGA Societe Generale Acceptance N.V. Alibaba Eu Wts Sep10B 0.18 20 2010/09/15 150,000,000 2010/03/31
21802 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Aug10B 0.42 6.08 per unit 2010/08/16 50,000,000 2010/03/31
21803 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Oct10 A 0.4 6.50 per unit 2010/10/04 50,000,000 2010/03/31
21799 SGA Societe Generale Acceptance N.V. HSI Eur Wt Sep 2010 G 0.15 21,800 per 8,000 units 2010/09/29 300,000,000 2010/03/31
21804 SGA Societe Generale Acceptance NV New World Dev Eu Wt Dec10 0.17 16.98 2010/12/29 100,000,000 2010/03/31
21807 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Oct10B 0.15 111 per 100 units 2010/10/18 150,000,000 2010/03/31
21808 UBS AG HSBC European Warrants Aug 2010 B 0.16 88.88 2010/08/16 100,000,000 2010/03/31
#
18325 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Oct 2010 0.044 83.593 per 93 units 2010/10/25 300,000,000 2010/03/31
#
19940 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May10E 0.019 22,200 per 11,000 units 2010/05/28 600,000,000 2010/03/31
#
17474 ABN AMRO Bank N.V. Sinopec Corp European Warrants Sep 2010 0.099 5.51 2010/09/30 125,000,000 2010/03/31
21825 BOCI Asia Ltd. BOC HK European Warrants Dec 2010 0.25 19.88 2010/12/22 100,000,000 2010/04/01
21826 BOCI Asia Ltd. BYD European Warrants Feb 2011 0.25 77.68 per 100 units 2011/02/08 100,000,000 2010/04/01
21827 BOCI Asia Ltd. Ch Comm Cons European Warrants Oct 2010 0.5 8.78 per unit 2010/10/08 100,000,000 2010/04/01
21824 BOCI Asia Ltd. HSI European Warrants Dec 2010 A 0.25 22,000 per 8,000 units 2010/12/30 100,000,000 2010/04/01
21828 BOCI Asia Ltd. HSI European Put Warrants Oct 2010 0.25 20,000 per 8,000 units 2010/10/28 100,000,000 2010/04/01
21813 Citigroup Global Mkt H Inc. BYD European Warrants Jun 11A 0.25 80 per 100 units 2011/06/20 160,000,000 2010/04/01
21814 Citigroup Global Mkt H Inc. CC Bank European Wts Oct 2012 0.15 6 2012/10/29 267,000,000 2010/04/01
21817 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt Jan 2011 A 0.25 22 2011/01/24 160,000,000 2010/04/01
21815 Citigroup Global Mkt H Inc. CM Bank European Wts Dec 2010B 0.25 22 2010/12/30 160,000,000 2010/04/01
21818 Citigroup Global Mkt H Inc. CNOOC European Wts Jun 2011 A 0.25 13.18 2011/06/29 160,000,000 2010/04/01
21816 Citigroup Global Mkt H Inc. Chi Taiping European Wts Jun11 0.5 30 2011/06/27 80,000,000 2010/04/01
21819 Citigroup Global Mkt H Inc. Esprit European Wts Mar 2012 0.25 60 per 100 units 2012/03/30 160,000,000 2010/04/01
21820 Citigroup Global Mkt H Inc. Henganintl European Wts Jan 11 0.55 60 2011/01/24 73,000,000 2010/04/01
21821 Citigroup Global Mkt H Inc. Kerry Ppt European Wts May11 0.75 50 2011/05/30 53,000,000 2010/04/01
21822 Citigroup Global Mkt H Inc. PICC P&C European Wts Aug 11A 0.25 8.8 2011/08/29 160,000,000 2010/04/01
21823 HK Bank HWL European Warrants Oct 2010 A 0.25 72.88 2010/10/04 120,000,000 2010/04/01
21835 KBC Fin Products Int’l Ltd. HSBC European Wts Aug 2010 D 0.39 80 2010/08/30 100,000,000 2010/04/01
21812 Macquarie Bank Ltd. Want Want China European Warrants May11 0.25 6.88 2011/05/25 200,000,000 2010/04/01
21829 CC Rabobank B.A. Chi Res Power European Warrants Sep 2010 0.17 19 2010/09/28 100,000,000 2010/04/01
21830 CC Rabobank B.A. GCL-Poly Energy European Warrants Oct 10 0.29 2.05 per unit 2010/10/04 100,000,000 2010/04/01
21831 CC Rabobank B.A. Golden Eagle European Warrants Oct 2010 0.25 18 2010/10/04 100,000,000 2010/04/01
21832 CC Rabobank B.A. ICBC European Put Warrants Sep 2010 0.27 5 per unit 2010/09/13 150,000,000 2010/04/01
21833 CC Rabobank B.A. Poly HK Inv European Warrants Oct 2010 0.25 10 2010/10/04 200,000,000 2010/04/01
21834 UBS AG HKEx European Warrants Dec 2010 C 0.15 130 per 100 units 2010/12/06 200,000,000 2010/04/01
#
16799 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Jun 10A 0.35 6.28 per unit 2010/06/07 100,000,000 2010/04/01
21844 Deutsche Bank AG BYD European Warrants Sep 2010 0.15 79.88 per 100 units 2010/09/27 150,000,000 2010/04/07
21845 Deutsche Bank AG China Telecom European Wts Jul 2010 0.23 4 per unit 2010/07/26 150,000,000 2010/04/07
21841 Deutsche Bank AG China Life European Warrants Jul 2010 B 0.21 36.38 2010/07/07 300,000,000 2010/04/07
21842 Deutsche Bank AG Tencent Holdings European Warrants Aug10D 0.15 174.80 per 100 units 2010/08/30 300,000,000 2010/04/07
21843 J P Morgan SP BV China Shenhua European Warrants Oct 2010 0.35 32 2010/10/07 150,000,000 2010/04/07
21836 CC Rabobank B.A. Ch Zhongwang European Warrants Dec 2010 0.25 8.3 2010/12/30 200,000,000 2010/04/07
21837 CC Rabobank B.A. MCC European Warrants Oct 2010 0.49 5 per unit 2010/10/07 100,000,000 2010/04/07
21838 CC Rabobank B.A. Mongolia Energy European Wts Oct 2010 0.49 4.20 per unit 2010/10/07 80,000,000 2010/04/07
21839 CC Rabobank B.A. Shanghai Electric European Warrants Oct10 0.6 4.40 per unit 2010/10/07 80,000,000 2010/04/07
21840 CC Rabobank B.A. Shui On Land European Warrants Nov 2010 0.65 4.60 per unit 2010/11/17 150,000,000 2010/04/07
21846 Barclays Bank plc BOCL European Warrants Aug 2010 0.17 4.28 per unit 2010/08/02 200,000,000 2010/04/08
21852 Barclays Bank plc BYD European Put Warrants May 2011 0.25 68 per 100 units 2011/05/17 150,000,000 2010/04/08
21847 Barclays Bank plc China Life European Warrants Aug 2010 C 0.2 37.6 2010/08/02 150,000,000 2010/04/08
21853 Barclays Bank plc CNOOC European Put Warrants Oct 2010 0.15 10.99 2010/10/18 200,000,000 2010/04/08
21848 Barclays Bank plc Sinopec Corp European Wts Oct 2010 D 0.31 7.18 per unit 2010/10/11 150,000,000 2010/04/08
21854 Barclays Bank plc Sinopec Corp European Put Wts Oct 2010 E 0.27 5.38 per unit 2010/10/11 150,000,000 2010/04/08
21849 Barclays Bank plc GCL-Poly Energy European Warrants Oct10 0.25 2.38 per unit 2010/10/18 150,000,000 2010/04/08
21850 Barclays Bank plc HSBC European Warrants Aug 2010 0.29 86 2010/08/02 150,000,000 2010/04/08
21855 Barclays Bank plc HSBC European Put Warrants Aug 2010 0.16 70 2010/08/02 200,000,000 2010/04/08
21851 Barclays Bank plc Jiangxi Copper European Warrants Sep 10C 0.2 17.28 2010/09/27 150,000,000 2010/04/08
21856 Deutsche Bank AG BOCL European Warrants Oct 2010 A 0.36 4 per unit 2010/10/11 200,000,000 2010/04/08
21857 Deutsche Bank AG China Mobile European Warrants Oct 2010 D 0.32 83 2010/10/11 200,000,000 2010/04/08
21858 Deutsche Bank AG Ping An European Warrants Oct 2010 0.5 72 2010/10/11 200,000,000 2010/04/08
#
01268 Deutsche Bank AG HSBC European Warrants Dec 2010 A 0.024 100 per 100 unit 2010/12/30 800,000,000 2010/04/08
#
17446 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2010 A 0.015 86.65 per 100 units 2010/10/11 800,000,000 2010/04/09
#
19545 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 2010 0.065 12.89 2010/06/07 200,000,000 2010/04/09
#
17286 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Dec 2010 0.052 6.59 2010/12/20 500,000,000 2010/04/09
#
19959 UBS AG HSBC European Warrants Oct 2010 0.045 83.60 per 93 units 2010/10/25 400,000,000 2010/04/09
21872 Credit Suisse AG BYD European Warrants Oct 2010 0.15 79.88 per 100 units 2010/10/04 200,000,000 2010/04/12
21873 Credit Suisse AG CM Bank European Warrants Oct 2010 0.25 22.5 2010/10/12 200,000,000 2010/04/12
21871 Credit Suisse AG China Shenhua European Warrants Aug 2010 0.15 37 2010/08/30 200,000,000 2010/04/12
21874 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Oct 2010 0.25 50 2010/10/12 80,000,000 2010/04/12
21870 KBC Fin Products Int’l Ltd. Zijin Mining European Wt Jan11 0.15 5.51 2011/01/03 128,000,000 2010/04/12
21878 Macquarie Bank Ltd. China EB Ltd European Warrants Oct 10 0.252 25 2010/10/12 200,000,000 2010/04/12
21875 Macquarie Bank Ltd. China Bluechem European Warrants Oct10 0.531 6 per unit 2010/10/12 50,000,000 2010/04/12
21876 Macquarie Bank Ltd. China COSCO European Warrants Jul 2011 0.251 12 2011/07/12 200,000,000 2010/04/12
21877 Macquarie Bank Ltd. China Life European Wts Sep 2010 A 0.151 42.88 2010/09/30 300,000,000 2010/04/12
21879 Macquarie Bank Ltd. China Life European Put Wts Sep 2010 0.151 32.88 2010/09/22 300,000,000 2010/04/12
21880 Macquarie Bank Ltd. CM Bank European Warrants Nov 2010 0.17 23.38 per 9 units 2010/11/02 300,000,000 2010/04/12
21881 Macquarie Bank Ltd. CM Bank European Put Warrants Oct 2010 0.152 18.28 2010/10/04 300,000,000 2010/04/12
21863 Macquarie Bank Ltd. Henderson Land Dev Euro Wts Nov 2010 0.392 65 2010/11/02 100,000,000 2010/04/12
21864 Macquarie Bank Ltd. Henderson Land Dev Euro Wts May 2011 0.828 60 2011/05/04 100,000,000 2010/04/12
21865 SGA Societe Generale Acceptance N.V. CHALCO Eu Wt Oct 2010 0.15 8.4 2010/10/04 400,000,000 2010/04/12
21866 SGA Societe Generale Acceptance N.V Angang Steel Eu Wt Dec10 0.25 15.8 2010/12/08 150,000,000 2010/04/12
21859 SGA Societe Generale Acceptance N.V. CMob Eu Put Wt Jun 11 0.15 74 per 100 units 2011/06/08 300,000,000 2010/04/12
21867 SGA Societe Generale Acceptance N.V. Shenhua Eu Wt Oct 10 0.38 35.8 2010/10/18 100,000,000 2010/04/12
21860 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jan 11A 0.19 13.88 2011/01/05 300,000,000 2010/04/12
21861 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jan 11B 0.15 15 2011/01/12 300,000,000 2010/04/12
21862 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Mar 2011A 0.21 14 2011/03/23 300,000,000 2010/04/12
21868 SGA Societe Generale Acceptance N.V HuanengPower Eu Wt Oct10 0.28 5.20 per unit 2010/10/18 50,000,000 2010/04/12
21882 UBS AG BOCL European Warrants Oct 2010 A 0.25 4.38 per unit 2010/10/18 100,000,000 2010/04/12
21883 UBS AG China Life European Warrants Sep 2010 B 0.15 41.5 2010/09/27 200,000,000 2010/04/12
#
15201 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts May 2011 A 0.036 108.80 per 100 units 2011/05/31 300,000,000 2010/04/12
21892 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Aug 2010 C 0.3 80.05 2010/08/30 200,000,000 2010/04/13
21896 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2010 D 0.46 81.95 2010/09/06 200,000,000 2010/04/13
21918 Credit Suisse AG BOCL European Warrants Oct 2010 A 0.25 4.63 per unit 2010/10/18 200,000,000 2010/04/13
21919 Credit Suisse AG CC Bank European Warrants Oct 2010 B 0.25 7.38 per unit 2010/10/18 200,000,000 2010/04/13
21920 Credit Suisse AG Sinopec Corp European Warrants Oct 2010 0.25 7.28 per unit 2010/10/18 200,000,000 2010/04/13
21921 Citigroup Global Mkt H Inc. China Agri European Wts Jan11 0.25 12.4 2011/01/24 100,000,000 2010/04/13
21922 Citigroup Global Mkt H Inc. Yue Yuen Ind European Wt May11 0.33 28 2011/05/30 100,000,000 2010/04/13
21923 Citigroup Global Mkt H Inc. Yue Yuen Ind European Wt Dec11 0.3 33 2011/12/28 100,000,000 2010/04/13
21897 Goldman Sachs SP (Asia) HSI European Warrants Jul 2010 F 0.15 20,400 per 10,000 units 2010/07/29 200,000,000 2010/04/13
21898 Goldman Sachs SP (Asia) HSI European Warrants Jul 2010 G 0.15 20,800 per 10,000 units 2010/07/29 200,000,000 2010/04/13
21899 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 I 0.16 21,000 per 8,000 units 2010/08/30 200,000,000 2010/04/13
21900 Goldman Sachs SP (Asia) HSI European Warrants Aug 2010 J 0.15 22,000 per 6,700 units 2010/08/30 200,000,000 2010/04/13
21901 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 A 0.18 20,200 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21902 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 B 0.16 20,600 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21903 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 C 0.15 21,000 per 11,000 units 2010/09/29 200,000,000 2010/04/13
21904 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 D 0.15 21,200 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21905 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 E 0.15 21,400 per 9,000 units 2010/09/29 200,000,000 2010/04/13
21906 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 H 0.15 21,200 per 9,000 units 2010/07/29 200,000,000 2010/04/13
21907 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 I 0.16 21,600 per 8,800 units 2010/07/29 200,000,000 2010/04/13
21908 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 J 0.19 21,800 per 8,000 units 2010/07/29 200,000,000 2010/04/13
21909 Goldman Sachs SP (Asia) HSI European Put Wts Jul 2010 K 0.24 22,400 per 8,000 units 2010/07/29 200,000,000 2010/04/13
21910 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 K 0.15 21,000 per 10,000 units 2010/08/30 200,000,000 2010/04/13
21911 Goldman Sachs SP (Asia) HSI European Put Wts Aug 2010 L 0.19 21,800 per 9,000 units 2010/08/30 200,000,000 2010/04/13
21912 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 F 0.15 20,800 per 11,000 units 2010/09/29 200,000,000 2010/04/13
21913 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 G 0.16 21,000 per 9,000 units 2010/09/29 200,000,000 2010/04/13
21914 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 H 0.15 21,200 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21915 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 I 0.19 21,600 per 9,000 units 2010/09/29 200,000,000 2010/04/13
21916 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 J 0.17 21,800 per 11,000 units 2010/09/29 200,000,000 2010/04/13
21884 CC Rabobank B.A. China Life European Warrants Sep 2010 A 0.15 42.88 2010/09/30 100,000,000 2010/04/13
21885 CC Rabobank B.A. Ch Mobile European Warrants Aug 2010 C 0.15 85 2010/08/23 120,000,000 2010/04/13
21889 CC Rabobank B.A. HSI European Warrants Sep 2010 A 0.15 21,200 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21890 CC Rabobank B.A. HSI European Warrants Sep 2010 B 0.15 21,600 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21893 CC Rabobank B.A. HSI European Put Warrants Sep 2010 C 0.17 21,200 per 10,000 units 2010/09/29 200,000,000 2010/04/13
21894 CC Rabobank B.A. HSI European Put Warrants Sep 2010 D 0.2 21,600 per 9,000 units 2010/09/29 200,000,000 2010/04/13
21886 CC Rabobank B.A. Tencent Holdings European Wts Aug 2010 0.15 174.80 per 100 units 2010/08/31 200,000,000 2010/04/13
21887 CC Rabobank B.A. Tencent Holdings European Wts Sep 2010 0.15 162 per 100 units 2010/09/22 200,000,000 2010/04/13
21888 CC Rabobank B.A. Tencent Holdings European Put Wts Jul10 0.18 160 per 100 units 2010/07/29 200,000,000 2010/04/13
21917 UBS AG A50 China European Warrants Nov 2010 A 0.15 15 2010/11/22 200,000,000 2010/04/13
21895 UBS AG HSI European Put Warrants Sep 2010 E 0.15 20,000 per 8,800 units 2010/09/29 200,000,000 2010/04/13
21928 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Nov 2010 0.26 7.78 per unit 2010/11/01 200,000,000 2010/04/14
21929 BNP Paribas Arbit Issu B.V. China Life Euro Wts Nov 2010 0.25 42 2010/11/01 200,000,000 2010/04/14
21930 BNP Paribas Arbit Issu B.V. ICBC European Wts Nov 2010 A 0.25 6.99 per unit 2010/11/01 200,000,000 2010/04/14
21938 Deutsche Bank AG BYD European Put Warrants Nov 2010 0.25 80 per 100 units 2010/11/29 150,000,000 2010/04/14
21937 Deutsche Bank AG HSI European Put Warrants Nov 2010 A 0.4 23,600 per 8,000 units 2010/11/29 300,000,000 2010/04/14
21935 Deutsche Bank AG HSI European Put Warrants Oct 2010 A 0.31 22,800 per 8,000 units 2010/10/28 300,000,000 2010/04/14
21936 Deutsche Bank AG HSI European Put Warrants Oct 2010 B 0.34 23,200 per 8,000 units 2010/10/28 300,000,000 2010/04/14
21939 Deutsche Bank AG Sinopharm European Warrants Oct 2010 0.55 42 2010/10/18 150,000,000 2010/04/14
21940 Deutsche Bank AG Tencent Holdings European Put Wts Aug 10F 0.15 140 per 100 units 2010/08/30 200,000,000 2010/04/14
21931 HK Bank China COSCO European Warrants Nov 2010 0.15 12.02 2010/11/24 120,000,000 2010/04/14
21932 HK Bank Ch Ship Cont European Warrants Oct 2010 0.25 4.08 per unit 2010/10/15 80,000,000 2010/04/14
21933 J P Morgan SP BV China Life European Warrants Oct 2010 0.25 43 2010/10/18 180,000,000 2010/04/14
21934 J P Morgan SP BV China Mob European Wts Oct 2010 B 0.3 81.88 2010/10/14 100,000,000 2010/04/14
21941 KBC Fin Products Int’l Ltd. BOCL European Wts Sep 2010 C 0.18 4.71 per unit 2010/09/01 158,000,000 2010/04/14
21942 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Oct 2010 0.33 7.08 per unit 2010/10/15 148,000,000 2010/04/14
21943 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Aug 2010 C 0.15 8 per unit 2010/08/10 200,000,000 2010/04/14
21944 KBC Fin Products Int’l Ltd. China Life Euro Wts Sep 2010 B 0.15 44.38 2010/09/16 200,000,000 2010/04/14
21949 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Aug 10 E 0.19 36 2010/08/02 158,000,000 2010/04/14
21945 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Oct 2010 B 0.5 75 2010/10/04 80,000,000 2010/04/14
21946 KBC Fin Products Int’l Ltd. CNOOC European Wts Oct 2010 B 0.25 11.88 2010/10/15 118,000,000 2010/04/14
21947 KBC Fin Products Int’l Ltd. CNOOC European Wts Oct 2010 C 0.15 13.98 2010/10/04 128,000,000 2010/04/14
21948 KBC Fin Products Int’l Ltd. ICBC European Wts Sep 2010 C 0.18 7.08 per unit 2010/09/01 158,000,000 2010/04/14
21924 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt Jul 2010 0.19 12,300 per 6,000 units 2010/07/29 300,000,000 2010/04/14
21925 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt Sep 2010 0.17 12,800 per 6,500 units 2010/09/29 300,000,000 2010/04/14
21926 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Jul 10 0.15 12,200 per 6,000 units 2010/07/29 300,000,000 2010/04/14
21927 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Oct 10 0.28 13,200 per 6,500 units 2010/10/28 300,000,000 2010/04/14
#
20153 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Jul 2010 A 0.14 83.88 2010/07/02 300,000,000 2010/04/14
#
21296 Goldman Sachs SP (Asia) BOCL European Warrants Sep 2010 0.36 4.20 per unit 2010/09/27 200,000,000 2010/04/14
#
21155 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Aug 2010 C 0.134 88.88 2010/08/23 100,000,000 2010/04/14
21978 BNP Paribas Arbit Issu B.V. R&F Ppt European Wts Mar 2011 0.25 16.18 2011/03/01 100,000,000 2010/04/15
21980 Credit Suisse AG Jiangxi Copper European Wts Nov 2010 B 0.25 20.38 2010/11/29 200,000,000 2010/04/15
21981 Credit Suisse AG PetroChina European Warrants Nov 2010 0.25 10.68 per unit 2010/11/15 200,000,000 2010/04/15
21982 Credit Suisse AG Tencent Holdings European Wts Sep 2010 A 0.15 174.80 per 100 units 2010/09/13 200,000,000 2010/04/15
21983 Deutsche Bank AG CC Bank European Warrants Aug 2010 C 0.24 7.47 per unit 2010/08/30 200,000,000 2010/04/15
21962 Deutsche Bank AG China Life European Warrants Nov 2010 A 0.25 43.88 2010/11/08 200,000,000 2010/04/15
21984 Deutsche Bank AG ICBC European Warrants Aug 2010 B 0.19 6.88 per unit 2010/08/02 200,000,000 2010/04/15
21968 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 K 0.16 21,800 per 8,000 units 2010/09/29 200,000,000 2010/04/15
21969 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 L 0.15 22,400 per 8,000 units 2010/09/29 200,000,000 2010/04/15
21970 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 M 0.15 22,800 per 8,000 units 2010/09/29 200,000,000 2010/04/15
21979 Goldman Sachs SP (Asia) HSI European Warrants Sep 2010 P 0.15 22,200 per 8,800 units 2010/09/29 200,000,000 2010/04/15
21973 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 B 0.25 22,000 per 7,000 units 2010/10/28 200,000,000 2010/04/15
21974 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 N 0.15 20,200 per 8,500 units 2010/09/29 200,000,000 2010/04/15
21975 Goldman Sachs SP (Asia) HSI European Put Wts Sep 2010 O 0.16 22,000 per 11,500 units 2010/09/29 200,000,000 2010/04/15
21976 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 C 0.15 20,000 per 8,000 units 2010/10/28 200,000,000 2010/04/15
21977 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 D 0.25 20,200 per 5,800 units 2010/10/28 200,000,000 2010/04/15
21957 HK Bank CHALCO European Warrants Mar 2011 0.25 9.28 2011/03/30 120,000,000 2010/04/15
21959 HK Bank CNOOC European Warrants Dec 2010 C 0.25 15.88 2010/12/30 180,000,000 2010/04/15
21958 HK Bank Sinopec Corp European Warrants Oct 2010 0.25 7.48 per unit 2010/10/18 160,000,000 2010/04/15
21960 HK Bank KECL European Warrants Dec 2010 C 0.25 12.88 2010/12/30 120,000,000 2010/04/15
21961 HK Bank PetroChina European Warrants Oct 2010 0.25 11.38 per unit 2010/10/18 160,000,000 2010/04/15
21952 J P Morgan SP BV CHALCO European Warrants Nov 2010 B 0.15 9.28 2010/11/01 200,000,000 2010/04/15
21953 J P Morgan SP BV BOCL European Warrants Oct 2010 A 0.25 4.60 per unit 2010/10/15 150,000,000 2010/04/15
21955 J P Morgan SP BV Esprit European Wts Oct 2010 0.435 70 2010/10/15 80,000,000 2010/04/15
21956 J P Morgan SP BV ICBC European Warrants Oct 2010 0.26 6.88 per unit 2010/10/15 100,000,000 2010/04/15
21954 J P Morgan SP BV China Mengniu European Warrants Oct 2010 0.25 26.88 2010/10/15 80,000,000 2010/04/15
21985 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Oct 2010 C 0.32 82.18 2010/10/15 150,000,000 2010/04/15
21987 KBC Fin Products Int’l Ltd. HSBC European Wts Oct 2010 0.25 92.88 2010/10/15 158,000,000 2010/04/15
21986 KBC Fin Products Int’l Ltd. HSBC European Wts Sep 2010 G 0.195 86 2010/09/01 150,000,000 2010/04/15
21988 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Nov 2010 0.25 18.88 2010/11/03 118,000,000 2010/04/15
21989 KBC Fin Products Int’l Ltd. Zijin Mining European Wt Oct10B 0.48 7 per unit 2010/10/15 80,000,000 2010/04/15
21971 CC Rabobank B.A. WISE CSI European Put Warrants Oct 2010 0.25 32.8 2010/10/28 100,000,000 2010/04/15
21966 CC Rabobank B.A. WISE CSI European Warrants Oct 2010 A 0.29 36 2010/10/28 100,000,000 2010/04/15
21967 CC Rabobank B.A. WISE CSI European Warrants Oct 2010 B 0.25 39.2 2010/10/28 100,000,000 2010/04/15
21951 RB of Scotland N.V. CC Bank European Warrants Aug 2010 0.209 7.68 per unit 2010/08/30 150,000,000 2010/04/15
21950 RB of Scotland N.V. CC Bank European Warrants Jul 2010 B 0.229 7.28 per unit 2010/07/26 150,000,000 2010/04/15
21963 UBS AG BOCL European Warrants Oct 2010 B 0.18 4.68 per unit 2010/10/04 100,000,000 2010/04/15
21964 UBS AG Sinopec Corp European Warrants Oct 2010 A 0.25 7.18 per unit 2010/10/04 100,000,000 2010/04/15
21965 UBS AG ICBC European Warrants Aug 2010 0.15 7.08 per unit 2010/08/23 100,000,000 2010/04/15
21993 BOCI Asia Ltd. Renhe Comm European Warrants Oct 2010 0.25 2.18 per unit 2010/10/20 100,000,000 2010/04/16
21994 BOCI Asia Ltd. Yuexiu Property European Warrants Oct 2010 0.45 2.50 per unit 2010/10/20 100,000,000 2010/04/16
22019 Credit Suisse AG CC Bank European Warrants Aug 2010 B 0.15 7.68 per unit 2010/08/30 200,000,000 2010/04/16
22020 Credit Suisse AG China Mobile European Warrants Aug 2010 C 0.15 89.98 2010/08/30 200,000,000 2010/04/16
22021 Credit Suisse AG Sinopec Corp European Warrants Aug 2010 0.15 7.68 per unit 2010/08/30 200,000,000 2010/04/16
22023 Credit Suisse AG HSBC European Wts Aug 2010 B 0.15 94 2010/08/30 200,000,000 2010/04/16
22018 Credit Suisse AG HSI European Warrants Jul 2010 E 0.15 22,800 per 8,000 units 2010/07/29 200,000,000 2010/04/16
22022 Credit Suisse AG HSI European Put Warrants Jul 2010 F 0.15 22,400 per 8,000 units 2010/07/29 200,000,000 2010/04/16
22003 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 E 0.25 20,800 per 9,800 units 2010/10/28 200,000,000 2010/04/16
22004 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 F 0.25 21,000 per 9,200 units 2010/10/28 200,000,000 2010/04/16
22005 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 G 0.25 21,200 per 9,000 units 2010/10/28 200,000,000 2010/04/16
22006 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 H 0.25 21,400 per 8,500 units 2010/10/28 200,000,000 2010/04/16
22007 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 I 0.25 21,600 per 8,000 units 2010/10/28 200,000,000 2010/04/16
22012 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 K 0.25 20,600 per 6,000 units 2010/10/28 200,000,000 2010/04/16
22013 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 L 0.25 20,800 per 6,300 units 2010/10/28 200,000,000 2010/04/16
22014 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 M 0.25 21,000 per 6,800 units 2010/10/28 200,000,000 2010/04/16
22015 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 N 0.25 21,200 per 7,000 units 2010/10/28 200,000,000 2010/04/16
21990 HK Bank BOCL European Put Warrants Aug 2010 0.15 3.60 per unit 2010/08/30 120,000,000 2010/04/16
21991 HK Bank CC Bank European Put Warrants Oct 2010 0.25 5.58 per unit 2010/10/18 160,000,000 2010/04/16
21992 HK Bank ICBC European Put Warrants Oct 2010 0.25 5.38 per unit 2010/10/18 120,000,000 2010/04/16
22001 RB of Scotland N.V. HSI European Warrants Sep 2010 0.165 22,400 per 8,000 units 2010/09/29 400,000,000 2010/04/16
22002 RB of Scotland N.V. HSI European Put Warrants Jul 2010 0.208 22,400 per 8,000 units 2010/07/29 400,000,000 2010/04/16
21995 SGA Societe Generale Acceptance N.V. CCB Eur Wt Sep 2010 C 0.48 6.88 per unit 2010/09/20 80,000,000 2010/04/16
21996 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Nov 2010C 0.15 14.2 2010/11/29 300,000,000 2010/04/16
21997 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Nov 10B 0.15 13.7 2010/11/08 300,000,000 2010/04/16
22010 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 A 0.25 100 2011/02/28 100,000,000 2010/04/16
22009 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Nov 2010 B 0.25 92 2010/11/01 100,000,000 2010/04/16
22016 SGA Societe Generale Acceptance N.V. HSI Eur Wt Oct 2010 A 0.28 22,600 per 8,000 units 2010/10/28 300,000,000 2010/04/16
22017 SGA Societe Generale Acceptance N.V. HSI Eur Wt Oct 2010 B 0.25 23,400 per 8,000 units 2010/10/28 300,000,000 2010/04/16
21999 UBS AG HSI European Put Warrants Aug 2010 D 0.15 21,800 per 9,000 units 2010/08/30 200,000,000 2010/04/16
22008 UBS AG HSI European Warrants Jul 2010 B 0.15 22,800 per 8,000 units 2010/07/29 200,000,000 2010/04/16
22000 UBS AG HSI European Put Warrants Sep 2010 F 0.25 22,900 per 8,000 units 2010/09/29 200,000,000 2010/04/16
21998 UBS AG Jiangxi Copper European Warrants Sep 2010 A 0.15 21 2010/09/27 100,000,000 2010/04/16
#
17514 CC Rabobank B.A. A50 China European Warrants Jun 2010 B 0.049 14 2010/06/18 500,000,000 2010/04/16
22030 BNP Paribas Arbit Issu B.V. HKEx European Wts Jul 2011 A 0.25 140 per 100 units 2011/07/04 200,000,000 2010/04/19
22051 Goldman Sachs SP (Asia) BOCL European Warrants Nov 2010 A 0.25 5.15 per unit 2010/11/29 200,000,000 2010/04/19
22047 Goldman Sachs SP (Asia) BOCL European Warrants Jul 2010 D 0.15 4.80 per unit 2010/07/29 200,000,000 2010/04/19
22048 Goldman Sachs SP (Asia) BOCL European Warrants Aug 2010 C 0.19 4.70 per unit 2010/08/30 200,000,000 2010/04/19
22049 Goldman Sachs SP (Asia) BOCL European Warrants Aug 2010 D 0.15 5.08 per unit 2010/08/30 200,000,000 2010/04/19
22050 Goldman Sachs SP (Asia) BOCL European Warrants Sep 2010 B 0.17 4.88 per unit 2010/09/29 200,000,000 2010/04/19
22052 Goldman Sachs SP (Asia) China Life Euro Wts Jul 2010 B 0.15 42 2010/07/29 200,000,000 2010/04/19
22053 Goldman Sachs SP (Asia) China Life Euro Wts Sep 2010 A 0.16 42.88 2010/09/29 200,000,000 2010/04/19
22054 Goldman Sachs SP (Asia) China Life Euro Wts Nov 2010 A 0.25 44 2010/11/29 200,000,000 2010/04/19
22055 Goldman Sachs SP (Asia) HSBC European Warrants Sep 2010 B 0.23 93.2 2010/09/29 200,000,000 2010/04/19
22056 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 O 0.25 22,600 per 6,800 units 2010/10/28 200,000,000 2010/04/19
22057 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 P 0.25 23,200 per 5,900 units 2010/10/28 200,000,000 2010/04/19
22031 HK Bank Ch Comm Cons European Warrants Oct 2010 0.25 8.88 per unit 2010/10/19 120,000,000 2010/04/19
22032 HK Bank CNOOC European Put Warrants Feb 2011 0.25 11.88 2011/02/18 160,000,000 2010/04/19
22033 HK Bank Zijin Mining European Warrants Jun 2011 0.25 7.28 2011/06/17 160,000,000 2010/04/19
22027 J P Morgan SP BV Agile Ppt European Warrants Mar 2011 0.25 11.88 2011/03/28 200,000,000 2010/04/19
22028 J P Morgan SP BV Air China European Warrants Dec 2010 C 0.25 8.88 2010/12/06 200,000,000 2010/04/19
22029 J P Morgan SP BV R&F Ppt European Warrants Dec 2010 0.25 14.88 2010/12/30 200,000,000 2010/04/19
22036 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Sep 2010 0.17 12,800 per 6,500 units 2010/09/29 200,000,000 2010/04/19
22037 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Oct 2010 A 0.25 12,600 per 5,500 units 2010/10/28 200,000,000 2010/04/19
22039 KBC Fin Products Int’l Ltd. HSI European Wts Oct 2010 0.25 23,200 per 8,200 units 2010/10/28 300,000,000 2010/04/19
22040 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 H 0.157 22,200 per 8,800 units 2010/09/29 300,000,000 2010/04/19
22041 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 I 0.15 22,800 per 8,000 units 2010/09/29 300,000,000 2010/04/19
22044 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Oct 2010 A 0.25 22,600 per 10,000 units 2010/10/28 300,000,000 2010/04/19
22045 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Oct 2010 B 0.25 23,000 per 11,500 units 2010/10/28 300,000,000 2010/04/19
22046 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Oct 2010 C 0.25 23,400 per 13,000 units 2010/10/28 300,000,000 2010/04/19
22042 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Nov 2010 A 0.25 23,800 per 14,500 units 2010/11/29 300,000,000 2010/04/19
22043 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Nov 2010 B 0.25 24,200 per 15,500 units 2010/11/29 300,000,000 2010/04/19
22025 Macquarie Bank Ltd. HKEx European Warrants Nov 2010 0.585 160 2010/11/02 200,000,000 2010/04/19
22024 Macquarie Bank Ltd. HKEx European Warrants Aug 2011 A 0.17 143 per 100 units 2011/08/08 200,000,000 2010/04/19
22026 Macquarie Bank Ltd. Tencent European Warrants Oct 2010 B 0.15 178.90 per 100 units 2010/10/11 250,000,000 2010/04/19
22035 RB of Scotland N.V. A50 China European Put Wts Dec 2010 0.166 13.888 2010/12/31 250,000,000 2010/04/19
22034 RB of Scotland N.V. ICBC European Warrants Oct 2010 0.266 6.88 per unit 2010/10/19 100,000,000 2010/04/19
22058 BNP Paribas Arbit Issu B.V. HSI European Wts Sep 2010 0.21 22,200 per 8,800 units 2010/09/29 200,000,000 2010/04/20
22062 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Sep 2010 B 0.35 22,900 per 8,000 units 2010/09/29 200,000,000 2010/04/20
22069 Goldman Sachs SP (Asia) CC Bank European Wts Nov 2010 0.43 7.38 per unit 2010/11/29 200,000,000 2010/04/20
22066 Goldman Sachs SP (Asia) CC Bank European Wts Jul 2010 D 0.21 7.28 per unit 2010/07/29 200,000,000 2010/04/20
22067 Goldman Sachs SP (Asia) CC Bank European Wts Sep 2010 A 0.48 6.88 per unit 2010/09/27 200,000,000 2010/04/20
22068 Goldman Sachs SP (Asia) CC Bank European Wts Sep 2010 B 0.22 7.68 per unit 2010/09/29 200,000,000 2010/04/20
22070 Goldman Sachs SP (Asia) China Mobile Euro Wts Oct 2010 B 0.31 88 2010/10/28 200,000,000 2010/04/20
22071 Goldman Sachs SP (Asia) A50 China European Wts Aug 2010 C 0.21 17.64 per unit 2010/08/30 200,000,000 2010/04/20
22072 Goldman Sachs SP (Asia) A50 China European Wts Nov 2010 A 0.15 13.7 2010/11/01 200,000,000 2010/04/20
22073 Goldman Sachs SP (Asia) Tencent Holdings European Wt Aug10 0.15 166.80 per 100 units 2010/08/30 200,000,000 2010/04/20
22074 Goldman Sachs SP (Asia) Tencent Holdings European Wt Sep10 0.16 168.80 per 100 units 2010/09/29 200,000,000 2010/04/20
22059 HK Bank Alibaba European Warrants Oct 2010 0.25 22.28 2010/10/28 120,000,000 2010/04/20
22060 HK Bank Datang Power European Warrants Dec 2010 A 0.25 4.68 per unit 2010/12/30 80,000,000 2010/04/20
22061 HK Bank Maanshan Iron European Warrants Oct 2010 A 0.25 5.68 per unit 2010/10/28 80,000,000 2010/04/20
22063 HK Bank Shanghai Electric European Warrants Dec 2010 0.25 4.48 per unit 2010/12/30 80,000,000 2010/04/20
22064 HK Bank Sinoma European Warrants Jun 2011 0.25 6.88 2011/06/29 120,000,000 2010/04/20
22065 HK Bank Sinotrans Ship European Warrants Dec 2011 0.25 4.38 2011/12/29 120,000,000 2010/04/20
22079 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Aug 2010 C 0.25 7.68 per unit 2010/08/27 108,000,000 2010/04/20
22082 KBC Fin Products Int’l Ltd. HKEx European Put Wts Sep 2010 0.15 139.90 per 100 units 2010/09/06 108,000,000 2010/04/20
22083 KBC Fin Products Int’l Ltd. HKEx European Put Wts Oct 2010 0.15 130 per 100 units 2010/10/04 108,000,000 2010/04/20
22085 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Nov 2010 A 0.15 91.94 per 100 units 2010/11/01 108,000,000 2010/04/20
22084 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Sep 2010 H 0.21 72 2010/09/01 108,000,000 2010/04/20
22080 KBC Fin Products Int’l Ltd. HSI European Wts Dec 2010 A 0.15 23,800 per 9,000 units 2010/12/30 200,000,000 2010/04/20
22081 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Sep 2010 J 0.15 21,800 per 11,000 units 2010/09/29 200,000,000 2010/04/20
22075 Macquarie Bank Ltd. Minsheng Bank European Warrants Nov10 0.413 9.50 per unit 2010/11/02 88,000,000 2010/04/20
22076 RB of Scotland N.V. China Mobile European Wts Oct 2010 A 0.394 82.99 2010/10/05 150,000,000 2010/04/20
22077 RB of Scotland N.V. HSBC European Warrants Aug 2010 0.527 82.05 2010/08/23 100,000,000 2010/04/20
22078 RB of Scotland N.V. HSBC European Warrants Nov 2010 C 0.427 88.88 2010/11/01 150,000,000 2010/04/20
#
19099 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Put Wts Jun 10 0.013 108.89 per 100 units 2010/06/14 800,000,000 2010/04/20
22116 Goldman Sachs SP (Asia) HKEx European Warrants Aug 2011 A 0.16 143 per 100 units 2011/08/08 200,000,000 2010/04/21
22110 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 Q 0.25 22,200 per 7,200 units 2010/10/28 200,000,000 2010/04/21
22111 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 R 0.25 22,400 per 7,000 units 2010/10/28 200,000,000 2010/04/21
22112 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 S 0.25 22,800 per 6,300 units 2010/10/28 200,000,000 2010/04/21
22113 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 T 0.25 23,000 per 6,000 units 2010/10/28 200,000,000 2010/04/21
22114 Goldman Sachs SP (Asia) HSI European Warrants Oct 2010 U 0.25 23,400 per 5,400 units 2010/10/28 200,000,000 2010/04/21
22118 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 V 0.25 21,600 per 8,200 units 2010/10/28 200,000,000 2010/04/21
22119 Goldman Sachs SP (Asia) HSI European Put Wts Oct 2010 W 0.25 22,000 per 9,300 units 2010/10/28 200,000,000 2010/04/21
22117 Goldman Sachs SP (Asia) Hutchison European Wts Jul 2010 0.18 62 2010/07/29 200,000,000 2010/04/21
22088 HK Bank China Mobile European Warrants Oct 2010 B 0.25 86.88 2010/10/21 160,000,000 2010/04/21
22101 KBC Fin Products Int’l Ltd. BOCL European Wts Oct 2010 0.25 4.988 per unit 2010/10/21 118,000,000 2010/04/21
22105 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Oct 2010 0.64 4.48 per unit 2010/10/21 78,000,000 2010/04/21
22102 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Sep 2010 E 0.158 3.60 per unit 2010/09/01 108,000,000 2010/04/21
22100 KBC Fin Products Int’l Ltd. China Life Euro Wts Oct 2010 B 0.25 42.68 2010/10/21 200,000,000 2010/04/21
22104 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Oct 2010 0.5 40 2010/10/21 80,000,000 2010/04/21
22106 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Oct 2010 A 0.46 15 per unit 2010/10/21 108,000,000 2010/04/21
22107 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Oct 2010 B 0.25 16.18 per unit 2010/10/21 108,000,000 2010/04/21
22108 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Nov 2010 C 0.25 17.38 per unit 2010/11/08 108,000,000 2010/04/21
22103 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Oct 2010 B 0.34 5.48 per unit 2010/10/21 80,000,000 2010/04/21
22086 Macquarie Bank Ltd. CITIC Pacific European Warrants Jan 11 0.155 22 2011/01/17 200,000,000 2010/04/21
22089 CC Rabobank B.A. Angang Steel European Warrants Sep 2010 0.15 17 2010/09/28 150,000,000 2010/04/21
22091 CC Rabobank B.A. Lee & Man Paper European Warrants Jan2011 0.25 8 2011/01/28 300,000,000 2010/04/21
22090 CC Rabobank B.A. Sinoma European Warrants May 2011 0.25 7 2011/05/30 300,000,000 2010/04/21
22092 CC Rabobank B.A. Ting Yi European Warrants Nov 2010 0.25 23.6 2010/11/29 150,000,000 2010/04/21
22093 CC Rabobank B.A. Yanzhou Coal European Warrants Oct 2010 0.25 22.8 2010/10/28 150,000,000 2010/04/21
22098 RB of Scotland N.V. China Mobile European Wts Nov 2010 0.314 88.88 2010/11/30 100,000,000 2010/04/21
22096 RB of Scotland N.V. China Mobile European Wts Oct 2011 0.154 66 per 100 units 2011/10/11 250,000,000 2010/04/21
22097 RB of Scotland N.V. China Mobile European Wts Oct 2010 B 0.705 76.38 2010/10/29 100,000,000 2010/04/21
22099 RB of Scotland N.V. HKEx European Warrants Oct 2010 0.15 144.99 per 100 units 2010/10/25 200,000,000 2010/04/21
22087 SGA Societe Generale Acceptance N.V. CLife Eu Wt Aug 2010C 0.17 41 2010/08/02 150,000,000 2010/04/21
22109 UBS AG Ch Comm Cons European Warrants Jan 2011 0.15 8.008 2011/01/10 200,000,000 2010/04/21
22095 UBS AG HSI European Warrants Oct 2010 A 0.25 22,000 per 8,000 units 2010/10/28 200,000,000 2010/04/21
22094 UBS AG SHK Ppt European Warrants Oct 2010 0.15 118.88 per 100 units 2010/10/25 100,000,000 2010/04/21
22121 BOCI Asia Ltd. CC Bank European Warrants Oct 2010 0.5 7.38 per unit 2010/10/25 100,000,000 2010/04/22
22136 BOCI Asia Ltd. CC Bank European Put Warrants Oct 2010 0.5 6.08 per unit 2010/10/25 100,000,000 2010/04/22
22137 BOCI Asia Ltd. China Life European Put Warrants Oct 2010 0.5 36.88 2010/10/25 100,000,000 2010/04/22
22138 BOCI Asia Ltd. ICBC European Put Warrants Oct 2010 0.5 5.58 per unit 2010/10/25 100,000,000 2010/04/22
22120 BOCI Asia Ltd. Tracker Fund European Warrants Oct 2010 0.25 23.8 2010/10/25 100,000,000 2010/04/22
22124 BOCI Asia Ltd. Tracker Fund European Put Warrants Oct 2010 0.25 21.1 2010/10/25 100,000,000 2010/04/22
22127 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Dec 2010 A 0.26 8.68 per unit 2010/12/06 200,000,000 2010/04/22
22129 BNP Paribas Arbit Issu B.V. HSBC European Wts Oct 2010 B 0.24 93.15 2010/10/06 200,000,000 2010/04/22
22128 BNP Paribas Arbit Issu B.V. ICBC European Wts Nov 2010 B 0.25 7.48 per unit 2010/11/08 200,000,000 2010/04/22
22141 Credit Suisse AG Ch Overseas European Warrants Oct 2010 0.25 16.38 2010/10/25 200,000,000 2010/04/22
22125 HK Bank China Unicom European Warrants Dec 2010 0.25 10.68 per unit 2010/12/22 120,000,000 2010/04/22
22132 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Nov 2010 0.25 90.88 2010/11/08 200,000,000 2010/04/22
22135 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Nov 2010 1.22 88 2010/11/03 80,000,000 2010/04/22
22131 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Oct 2010 D 0.25 86.88 2010/10/22 200,000,000 2010/04/22
22133 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Oct 2010 E 0.3 70 2010/10/22 128,000,000 2010/04/22
22134 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Oct 2010 F 0.67 80.18 2010/10/22 118,000,000 2010/04/22
22142 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Nov 2010 0.25 66 2010/11/01 80,000,000 2010/04/22
22122 Macquarie Bank Ltd Skyworth Digital European Warrants Oct10B 0.253 10.68 2010/10/22 200,000,000 2010/04/22
22123 Macquarie Bank Ltd. Stanchart European Warrants Nov 2010 0.286 250 per 100 units 2010/11/01 200,000,000 2010/04/22
22126 CC Rabobank B.A. HSBC European Warrants Oct 2010 0.25 96 2010/10/28 100,000,000 2010/04/22
22143 RB of Scotland N.V. BOCL European Warrants Oct 2010 0.167 4.59 per unit 2010/10/11 100,000,000 2010/04/22
22144 RB of Scotland N.V. China Life European Wts Oct 2010 0.25 41.88 2010/10/22 200,000,000 2010/04/22
22145 RB of Scotland N.V. CNOOC European Warrants Nov 2010 0.15 14.22 2010/11/29 150,000,000 2010/04/22
22146 RB of Scotland N.V. HWL European Warrants Oct 2010 0.25 62.88 2010/10/29 100,000,000 2010/04/22
22139 UBS AG China Mobile European Put Warrants Oct 2010 0.36 73.88 2010/10/25 100,000,000 2010/04/22
22140 UBS AG KECL European Warrants Nov 2010 0.15 11 2010/11/15 100,000,000 2010/04/22
#
20748 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul10C 0.054 22,500 per 10,000 units 2010/07/29 300,000,000 2010/04/22
22162 Macquarie Bank Ltd. China Mobile European Wts Aug 2010 B 0.236 84.85 2010/08/02 200,000,000 2010/04/23
22163 Macquarie Bank Ltd. China Mobile European Wts Oct 2010 C 0.25 89.8 2010/10/25 200,000,000 2010/04/23
22164 Macquarie Bank Ltd. CNOOC European Warrants Dec 2010 B 0.15 14.2 2010/12/01 200,000,000 2010/04/23
22184 Macquarie Bank Ltd. HSI European Put Warrants Oct 2010 0.265 22,600 per 9,000 units 2010/10/28 300,000,000 2010/04/23
22168 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Nov 2010 A 0.27 87.99 2010/11/01 200,000,000 2010/04/23
22165 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Nov 2010 A 0.37 36.99 2010/11/15 150,000,000 2010/04/23
22166 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Nov 2010 B 0.25 39.99 2010/11/01 200,000,000 2010/04/23
22167 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Nov 2010 C 0.255 42.99 2010/11/08 200,000,000 2010/04/23
22171 Merrill Lynch Int’l & Co. C.V. Ch Life Eur Put Wt Aug 2010 0.2 35.99 2010/08/09 200,000,000 2010/04/23
22169 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Dec 10B 0.15 14.19 2010/12/06 200,000,000 2010/04/23
22152 Nomura Int’l plc Anhui Conch European Warrants Jul 2010 0.262 62 2010/07/28 150,000,000 2010/04/23
22153 Nomura Int’l plc Anhui Conch European Warrants Oct 2010 0.418 63.88 2010/10/29 100,000,000 2010/04/23
22148 Nomura Int’l plc Chaoda Modern European Warrants Oct 2010 0.259 10 2010/10/29 150,000,000 2010/04/23
22149 Nomura Int’l plc Chaoda Modern European Warrants Feb 2011 0.277 10.68 2011/02/28 150,000,000 2010/04/23
22147 Nomura Int’l plc Cheung Kong European Warrants Oct 2011 0.15 105.08 per 100 units 2011/10/31 150,000,000 2010/04/23
22150 Nomura Int’l plc CNOOC European Warrants Aug 2010 0.15 13.398 2010/08/31 200,000,000 2010/04/23
22151 Nomura Int’l plc CNOOC European Warrants Nov 2010 A 0.15 14.22 2010/11/30 200,000,000 2010/04/23
22160 Nomura Int’l plc HSI European Put Warrants Sep 2010 0.15 21,000 per 9,000 units 2010/09/29 200,000,000 2010/04/23
22161 Nomura Int’l plc HSI European Put Warrants Dec 2010 0.17 20,500 per 10,000 units 2010/12/30 200,000,000 2010/04/23
22157 Nomura Int’l plc HSI European Warrants Sep 2010 B 0.155 22,800 per 8,000 units 2010/09/29 200,000,000 2010/04/23
22158 Nomura Int’l plc HSI European Warrants Dec 2010 A 0.25 21,800 per 9,000 units 2010/12/30 200,000,000 2010/04/23
22159 Nomura Int’l plc HSI European Warrants Dec 2010 B 0.165 23,800 per 9,000 units 2010/12/30 200,000,000 2010/04/23
22154 Nomura Int’l plc ICBC European Warrants Jul 2010 0.153 6.80 per unit 2010/07/30 75,000,000 2010/04/23
22156 Nomura Int’l plc ICBC European Warrants Jun 2011 0.356 7.50 per unit 2011/06/30 100,000,000 2010/04/23
22175 SGA Societe Generale Acceptance N.V. Ch Overseas Eu Wt Nov10 0.25 18 2010/11/15 200,000,000 2010/04/23
22172 SGA Societe Generale Acceptance N.V. CCB Eur Wt Aug 2010 C 0.15 8 per unit 2010/08/09 80,000,000 2010/04/23
22173 SGA Societe Generale Acceptance N.V. CCB Eur Wt Sep 2010 D 0.9 6 per unit 2010/09/13 80,000,000 2010/04/23
22174 SGA Societe Generale Acceptance N.V. CCB Eur Wt Sep 2010 E 0.15 8.50 per unit 2010/09/29 80,000,000 2010/04/23
22170 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Oct 2010 0.3 125 2010/10/25 100,000,000 2010/04/23
22176 SGA Societe Generale Acceptance N.V. CRail Eu Wt Oct 2011 0.15 6.15 2011/10/17 200,000,000 2010/04/23
22177 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Nov 10 0.25 12.8 2010/11/22 200,000,000 2010/04/23
22179 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Nov 10 0.16 14.18 2010/11/10 300,000,000 2010/04/23
22178 SGA Societe Generale Acceptance N.V. Geely Auto Eu Wts Oct10 0.6 3.90 per unit 2010/10/25 60,000,000 2010/04/23
22180 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Oct 10C 0.25 20,800 per 8,000 units 2010/10/28 300,000,000 2010/04/23
22181 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Oct 10D 0.31 21,700 per 8,000 units 2010/10/28 300,000,000 2010/04/23
22182 SGA Societe Generale Acceptance N.V. Sino Land Eu Wt Dec 10 0.25 17.5 2010/12/06 200,000,000 2010/04/23
22183 UBS AG HSBC European Put Warrants Oct 2010 0.35 78.88 2010/10/25 100,000,000 2010/04/23
22208 Credit Suisse AG Ch LongYuan European Warrants Oct 2010 0.25 7.898 2010/10/26 200,000,000 2010/04/26
22209 Credit Suisse AG Ch LongYuan European Warrants Nov 2010 A 0.25 8.868 2010/11/25 200,000,000 2010/04/26
22210 Credit Suisse AG Ch LongYuan European Warrants Dec 2010 A 0.25 9.488 2010/12/20 200,000,000 2010/04/26
22211 Credit Suisse AG Ch LongYuan European Warrants Jun 2011 0.25 11.18 2011/06/27 200,000,000 2010/04/26
22212 Credit Suisse AG CPIC European Warrants Nov 2010 A 0.25 38.88 2010/11/22 200,000,000 2010/04/26
22197 Macquarie Bank Ltd. Ch LongYuan European Warrants May 2011 0.251 10 2011/05/27 300,000,000 2010/04/26
22198 Macquarie Bank Ltd. CPIC European Warrants Oct 2010 0.251 40 2010/10/28 200,000,000 2010/04/26
22199 Macquarie Bank Ltd. Longfor PPT European Warrants Jun 2011 0.251 9.88 2011/06/15 200,000,000 2010/04/26
22185 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10A 0.184 20,500 per 10,000 units 2010/09/29 200,000,000 2010/04/26
22186 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10B 0.15 21,500 per 10,000 units 2010/09/29 200,000,000 2010/04/26
22187 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10C 0.171 22,000 per 7,500 units 2010/09/29 200,000,000 2010/04/26
22188 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10D 0.155 22,500 per 7,800 units 2010/09/29 200,000,000 2010/04/26
22190 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug10I 0.164 21,900 per 9,000 units 2010/08/30 200,000,000 2010/04/26
22192 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Sep10E 0.16 20,500 per 9,000 units 2010/09/29 200,000,000 2010/04/26
22193 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Sep10F 0.184 21,500 per 9,000 units 2010/09/29 200,000,000 2010/04/26
22194 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Sep10G 0.159 22,000 per 11,500 units 2010/09/29 200,000,000 2010/04/26
22189 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Sep 2010 0.231 59.89 2010/09/27 200,000,000 2010/04/26
22205 RB of Scotland N.V. CC Bank European Warrants Sep 2010 A 0.335 6.88 per unit 2010/09/20 200,000,000 2010/04/26
22204 RB of Scotland N.V. A50 China European Warrants Nov 2010 0.15 12.68 2010/11/29 300,000,000 2010/04/26
22206 RB of Scotland N.V. HSI European Put Warrants Sep 2010 A 0.176 21,000 per 9,000 units 2010/09/29 400,000,000 2010/04/26
22207 RB of Scotland N.V. HSI European Put Warrants Sep 2010 B 0.214 21,600 per 9,000 units 2010/09/29 400,000,000 2010/04/26
22191 SGA Societe Generale Acceptance NV Ch Comservice Eu Wt Dec10 0.78 5.48 per unit 2010/12/29 80,000,000 2010/04/26
22195 SGA Societe Generale Acceptance NV Ch Comservice Eu Wt Nov11 0.15 4.88 2011/11/21 200,000,000 2010/04/26
22200 SGA Societe Generale Acceptance N.V. CPIC Euro Wts Nov10 0.28 37 2010/11/01 100,000,000 2010/04/26
22201 SGA Societe Generale Acceptance N.V. CPIC Euro Wts Jan11 0.26 40 2011/01/17 100,000,000 2010/04/26
22203 SGA Societe Generale Acceptance N.V. WISE CSI Eu Wts Nov10 0.29 38.88 2010/11/24 50,000,000 2010/04/26
22202 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Sep 2010 C 0.29 6.28 per unit 2010/09/27 120,000,000 2010/04/26
22196 SGA Societe Generale Acceptance N.V Nine Dragons Eu Wt Oct10 0.25 14.48 2010/10/27 100,000,000 2010/04/26
22232 BOCI Asia Ltd. HKEx European Put Warrants Mar 2011 0.25 128 per 100 units 2011/03/11 100,000,000 2010/04/27
22231 BOCI Asia Ltd. SHK Ppt European Warrants Oct 2011 0.25 125 per 100 units 2011/10/28 100,000,000 2010/04/27
22242 Credit Suisse AG China COSCO European Warrants Nov 2010 0.25 10.68 2010/11/29 200,000,000 2010/04/27
22226 HK Bank Ch LongYuan European Warrants Dec 2010 0.25 9.58 2010/12/30 120,000,000 2010/04/27
22227 HK Bank CPIC European Warrants Oct 2010 0.25 41.88 2010/10/28 120,000,000 2010/04/27
22233 J P Morgan SP BV BOCL European Warrants Oct 2010 B 0.26 4.28 per unit 2010/10/27 100,000,000 2010/04/27
22234 J P Morgan Int’l Der. Ltd. CC Bank European Wts Oct 2010 A 0.26 7.18 per unit 2010/10/27 100,000,000 2010/04/27
22235 J P Morgan Int’l Der. Ltd. CC Bank European Wts Oct 2010 B 0.25 7.88 per unit 2010/10/27 100,000,000 2010/04/27
22236 J P Morgan SP BV China Mob European Wts Oct 2010 C 0.25 88.08 2010/10/27 100,000,000 2010/04/27
22213 Merrill Lynch Int’l & Co. C.V. HS Bank Euro Wts Dec 2011 0.164 99.99 per 100 units 2011/12/28 200,000,000 2010/04/27
22219 Merrill Lynch Int’l & Co. C.V. HS Bank Euro Put Wts Dec 11 0.25 109.99 per 100 units 2011/12/19 100,000,000 2010/04/27
22215 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Jan 2011 A 0.275 93.99 2011/01/10 200,000,000 2010/04/27
22216 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Dec 2011 A 0.151 77.69 per 93 units 2011/12/22 200,000,000 2010/04/27
22220 Merrill Lynch Int’l & Co. C.V. HSBC Euro Put Wt Nov 2010 0.415 74.99 2010/11/15 200,000,000 2010/04/27
22214 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Nov 2010 C 0.345 88.99 2010/11/24 200,000,000 2010/04/27
22221 Merrill Lynch Int’l & Co. C.V. HSBC Euro Put Wt Dec 2010 D 0.31 69.99 2010/12/15 200,000,000 2010/04/27
22217 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jul 11B 0.375 62.99 2011/07/11 200,000,000 2010/04/27
22218 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Wts Jan 2011 0.255 17.99 2011/01/31 100,000,000 2010/04/27
22222 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Put Wt Mar11 0.275 15.99 2011/03/14 100,000,000 2010/04/27
22237 CC Rabobank B.A. Ch LongYuan European Warrants Oct 2010 0.25 9.8 2010/10/28 200,000,000 2010/04/27
22238 CC Rabobank B.A. CPIC European Warrants Oct 2010 0.25 40.8 2010/10/28 200,000,000 2010/04/27
22239 CC Rabobank B.A. Shineway Pharm European Warrants Oct 2010 0.49 29.6 2010/10/28 150,000,000 2010/04/27
22240 CC Rabobank B.A. Longfor PPT European Warrants Dec 2010 0.25 9 2010/12/15 200,000,000 2010/04/27
22241 CC Rabobank B.A. Want Want China European Warrants Mar11 0.25 7 2011/03/30 300,000,000 2010/04/27
22223 UBS AG China Life European Put Warrants Sep 2010 0.15 32.88 2010/09/20 200,000,000 2010/04/27
22228 UBS AG Sinopec Corp European Warrants Oct 2010 B 0.36 6.50 per unit 2010/10/27 100,000,000 2010/04/27
22224 UBS AG HKEx European Put Warrants Oct 2010 0.15 130 per 100 units 2010/10/04 200,000,000 2010/04/27
22225 UBS AG HSI European Put Warrants Oct 2010 0.29 22,300 per 9,000 units 2010/10/28 200,000,000 2010/04/27
22229 UBS AG HSI European Warrants Oct 2010 B 0.15 23,400 per 8,000 units 2010/10/28 200,000,000 2010/04/27
#
18308 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jun 10E 0.035 20,100 per 12,000 units 2010/06/29 300,000,000 2010/04/27
22278 BOCI Asia Ltd. Ch LongYuan European Warrants May 2011 0.25 9.8 2011/05/26 100,000,000 2010/04/28
22279 BOCI Asia Ltd. CM Bank European Warrants Nov 2010 0.25 20.8 2010/11/04 100,000,000 2010/04/28
22280 BOCI Asia Ltd. Dongfeng Motor European Warrants Nov 2010 0.25 13.88 2010/11/29 100,000,000 2010/04/28
22281 BOCI Asia Ltd. Geely Auto European Warrants Oct 2010 0.25 4.68 per unit 2010/10/28 100,000,000 2010/04/28
22282 BOCI Asia Ltd. Kingboard Chem European Warrants May 2011 1.2 50 2011/05/16 100,000,000 2010/04/28
22283 BNP Paribas Arbit Issu B.V. Angang Steel European Wt Apr11 0.25 15.08 2011/04/04 100,000,000 2010/04/28
22284 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Nov 2010 B 0.15 12.68 2010/11/22 200,000,000 2010/04/28
22285 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Sep 2011 0.25 14.08 2011/09/05 200,000,000 2010/04/28
22256 Citigroup Global Mkt H Inc. Ch LongYuan European Wts Mar11 0.25 10.88 2011/03/21 150,000,000 2010/04/28
22259 Citigroup Global Mkt H Inc. Chi Resources Euro Wts Jul 11 0.25 32.88 2011/07/25 100,000,000 2010/04/28
22255 Citigroup Global Mkt H Inc. China Coal European Wts Nov 10 0.15 13.38 2010/11/15 180,000,000 2010/04/28
22258 Citigroup Global Mkt H Inc. CPIC European Warrants Oct 10 0.25 38.88 2010/10/28 150,000,000 2010/04/28
22273 Citigroup Global Mkt H Inc. WISE CSI European Wts Apr 2011 0.25 38 2011/04/18 100,000,000 2010/04/28
22260 Citigroup Global Mkt H Inc. Datang European Warrants Jul11 0.25 5 per unit 2011/07/18 160,000,000 2010/04/28
22271 Citigroup Global Mkt H Inc. A50 China Euro Wts May 2011 0.25 14 2011/05/09 300,000,000 2010/04/28
22272 Citigroup Global Mkt H Inc. A50 China Eur Put Wts Apr 2011 0.25 12.88 2011/04/25 300,000,000 2010/04/28
22263 Citigroup Global Mkt H Inc. HKEx European Wts Jun 2011 0.25 138 per 100 units 2011/06/20 160,000,000 2010/04/28
22262 Citigroup Global Mkt H Inc. Henderson Land Dev Eur Wts Apr11 0.3 58 2011/04/27 100,000,000 2010/04/28
22264 Citigroup Global Mkt H Inc. ICBC Euro Put Wts Nov 2011 0.15 6.49 2011/11/01 267,000,000 2010/04/28
22265 Citigroup Global Mkt H Inc. Longfor PPT European Wts Jul11 0.25 10 2011/07/11 100,000,000 2010/04/28
22257 Citigroup Global Mkt H Inc. China Mengniu Euro Wts Jul 11 0.25 30 2011/07/25 100,000,000 2010/04/28
22266 Citigroup Global Mkt H Inc. Ping An Euro Wts Apr 2012 0.15 68.88 per 100 units 2012/04/10 150,000,000 2010/04/28
22267 Citigroup Global Mkt H Inc. Shangri-La Asia Euro Wts Aug11 0.25 18 2011/08/08 100,000,000 2010/04/28
22268 Citigroup Global Mkt H Inc. Tencent European Put Wts Oct10 0.15 148.88 per 100 units 2010/10/13 267,000,000 2010/04/28
22269 Citigroup Global Mkt H Inc. Wharf European Warrants Jan 11 0.25 52.88 2011/01/10 100,000,000 2010/04/28
22270 Citigroup Global Mkt H Inc. ZTE European Warrants May 2011 0.3 60 2011/05/23 100,000,000 2010/04/28
22251 Goldman Sachs SP (Asia) Kerry Ppt European Warrants Dec 10 0.31 41 2010/12/30 200,000,000 2010/04/28
22254 HK Bank A50 China European Warrants Jun 2011 0.25 15.18 2011/06/29 160,000,000 2010/04/28
22252 HK Bank HWL European Warrants Oct 2010 B 0.25 61.88 2010/10/28 120,000,000 2010/04/28
22253 HK Bank Maanshan Iron European Warrants Oct 2010 B 0.25 4.88 per unit 2010/10/28 80,000,000 2010/04/28
22274 J P Morgan SP BV HSBC European Warrants Oct 2010 C 0.3 88.88 2010/10/28 80,000,000 2010/04/28
22275 J P Morgan SP BV Hutchison European Warrants Oct 2010 0.25 60 2010/10/28 100,000,000 2010/04/28
22276 J P Morgan SP BV MTRC European Warrants Dec 2010 0.25 30.88 2010/12/20 100,000,000 2010/04/28
22277 J P Morgan SP BV SHK Ppt European Warrants Oct 2010 0.15 111.08 per 100 units 2010/10/18 200,000,000 2010/04/28
22245 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov10A 0.255 22,000 per 7,000 units 2010/11/29 200,000,000 2010/04/28
22243 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Oct10B 0.172 21,000 per 9,200 units 2010/10/28 200,000,000 2010/04/28
22244 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Oct10C 0.159 21,500 per 8,500 units 2010/10/28 200,000,000 2010/04/28
22248 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Oct 10D 0.157 20,000 per 8,000 units 2010/10/28 200,000,000 2010/04/28
22249 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Oct 10E 0.222 21,000 per 6,800 units 2010/10/28 200,000,000 2010/04/28
22250 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Oct 10F 0.25 22,000 per 10,000 units 2010/10/28 200,000,000 2010/04/28
22247 SGA Societe Generale Acceptance N.V WISE CSI Eu Put Wt Nov10 0.39 32 2010/11/24 50,000,000 2010/04/28
22246 SGA Societe Generale Acceptance N.V. ICBC Eu Put Wt Sep 10 0.49 5.80 per unit 2010/09/01 100,000,000 2010/04/28
22286 UBS AG Ch LongYuan European Warrants Nov 2010 A 0.251 9.08 2010/11/22 100,000,000 2010/04/28
22287 UBS AG CPIC European Warrants Oct 2010 0.254 38.88 2010/10/28 100,000,000 2010/04/28
#
21309 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Jun 2010 B 0.045 4.29 per unit 2010/06/21 230,000,000 2010/04/28
22320 BNP Paribas Arbit Issu B.V. Agile Ppt European Wts Jul 11 0.25 8.88 2011/07/04 100,000,000 2010/04/29
22319 BNP Paribas Arbit Issu B.V. CITIC Bank Euro Wts Oct 2010 0.24 6.09 per unit 2010/10/05 70,000,000 2010/04/29
22308 J P Morgan SP BV C Transmission European Warrants Oct 2010 0.25 22 2010/10/29 100,000,000 2010/04/29
22307 J P Morgan SP BV Cheung Kong European Warrants Jun 2011 0.15 99.05 per 100 units 2011/06/28 200,000,000 2010/04/29
22309 J P Morgan SP BV HKEx European Warrants Jul 2011 A 0.25 133.88 per 100 units 2011/07/25 200,000,000 2010/04/29
22310 J P Morgan SP BV JX Copper European Warrants Oct 2010 B 0.25 19.88 2010/10/29 100,000,000 2010/04/29
22311 J P Morgan SP BV Maanshan Iron European Warrants Oct 2010 0.3 4.68 per unit 2010/10/29 100,000,000 2010/04/29
22318 Macquarie Bank Ltd. Evergrande European Warrants Nov 2010 0.25 4.18 per unit 2010/11/30 88,000,000 2010/04/29
22302 Macquarie Bank Ltd. A50 China European Warrants Nov 2010 0.15 12.68 2010/11/29 300,000,000 2010/04/29
22304 Macquarie Bank Ltd. R&F Ppt European Warrants Jun 2011 0.251 12.5 2011/06/02 150,000,000 2010/04/29
22301 Macquarie Bank Ltd. HSCEI European Warrants Dec 2010 0.25 13,600 per 5,000 units 2010/12/30 300,000,000 2010/04/29
22299 Macquarie Bank Ltd. HSI European Warrants Oct 2010 0.153 21,600 per 8,000 units 2010/10/28 300,000,000 2010/04/29
22300 Macquarie Bank Ltd. HSI European Put Warrants Sep 2010 0.164 21,000 per 9,000 units 2010/09/29 300,000,000 2010/04/29
22305 Macquarie Bank Ltd. SHK Ppt European Warrants Nov 2010 0.31 140 2010/11/02 100,000,000 2010/04/29
22306 Macquarie Bank Ltd. Yanzhou Coal European Wts Oct 2010 0.253 20 2010/10/29 150,000,000 2010/04/29
22290 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Jan 2011 0.151 18.79 2011/01/03 100,000,000 2010/04/29
22294 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Put Wts Nov10 0.26 14.99 2010/11/22 100,000,000 2010/04/29
22288 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Nov 10A 0.159 15.89 2010/11/08 100,000,000 2010/04/29
22289 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Nov 10B 0.152 16.99 2010/11/05 100,000,000 2010/04/29
22295 Merrill Lynch Int’l & Co. C.V. Sinopec Eu Put Wts Nov 10B 0.485 5.89 per unit 2010/11/22 100,000,000 2010/04/29
22291 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2011 A 0.152 139.99 per 100 units 2011/06/27 200,000,000 2010/04/29
22292 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Jul 2011 0.255 134.99 per 100 units 2011/07/18 100,000,000 2010/04/29
22293 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Sep 2011 0.26 127.99 per 100 units 2011/09/26 100,000,000 2010/04/29
22312 CC Rabobank B.A. Air China European Warrants Dec 2010 B 0.25 9.8 2010/12/22 200,000,000 2010/04/29
22313 CC Rabobank B.A. Ch Mobile European Warrants Sep 2010 0.17 88 2010/09/22 200,000,000 2010/04/29
22314 CC Rabobank B.A. China Life European Warrants Sep 2010 B 0.15 41.5 2010/09/27 200,000,000 2010/04/29
22316 CC Rabobank B.A. Hutchison European Warrants Oct 2010 0.15 62.88 2010/10/22 100,000,000 2010/04/29
22315 CC Rabobank B.A. Hutchison European Warrants Sep 2010 B 0.19 59.88 2010/09/27 100,000,000 2010/04/29
22317 UBS AG R&F Ppt European Warrants Oct 2010 0.15 11.88 2010/10/28 100,000,000 2010/04/29
22298 UBS AG HSI European Warrants Dec 2010 A 0.15 23,800 per 9,000 units 2010/12/30 200,000,000 2010/04/29
22296 UBS AG HSI European Warrants Sep 2010 G 0.172 20,600 per 10,000 units 2010/09/29 200,000,000 2010/04/29
22297 UBS AG HSI European Warrants Sep 2010 H 0.15 21,400 per 9,000 units 2010/09/29 200,000,000 2010/04/29
22345 Credit Suisse AG Ch Overseas European Put Warrants Nov 10A 0.25 13.8 2010/11/01 100,000,000 2010/04/30
22343 Credit Suisse AG A50 China European Warrants Nov 2010 A 0.15 12.68 2010/11/22 200,000,000 2010/04/30
22344 Credit Suisse AG A50 China European Put Warrants Jan 2011 0.15 12.26 2011/01/24 200,000,000 2010/04/30
22337 J P Morgan SP BV China Coal European Warrants Dec 2010 0.25 12.88 2010/12/20 200,000,000 2010/04/30
22339 J P Morgan SP BV A50 China European Warrants Nov 2010 C 0.25 15.88 per unit 2010/11/01 80,000,000 2010/04/30
22338 J P Morgan SP BV Yurun Food European Warrants Nov 2010 0.25 25.88 2010/11/01 100,000,000 2010/04/30
22340 J P Morgan SP BV Yanzhou Coal European Warrants Nov 2010 0.25 18.88 2010/11/01 100,000,000 2010/04/30
22341 J P Morgan SP BV Zijin Mining European Warrants Jan 2011 0.15 6 2011/01/31 200,000,000 2010/04/30
22330 Nomura Int’l plc Agile Ppt European Warrants Dec 2010 B 0.25 8.88 2010/12/31 100,000,000 2010/04/30
22327 Nomura Int’l plc CC Bank European Warrants Oct 2010 0.25 7.38 per unit 2010/10/29 100,000,000 2010/04/30
22326 Nomura Int’l plc C Transmission European Warrants Oct 2010 0.25 21.88 2010/10/29 75,000,000 2010/04/30
22325 Nomura Int’l plc Sinopec European Warrants Oct 2010 0.265 7.188 per unit 2010/10/04 75,000,000 2010/04/30
22329 Nomura Int’l plc A50 China European Warrants Dec 2010 0.25 12.88 2010/12/31 100,000,000 2010/04/30
22322 Nomura Int’l plc Henderson Land Dev European Warrants Apr11 0.27 60.08 2011/04/29 100,000,000 2010/04/30
22321 Nomura Int’l plc HSBC European Warrants Nov 2010 0.32 89.88 2010/11/30 100,000,000 2010/04/30
22323 Nomura Int’l plc Hutchison European Warrants Sep 2010 B 0.15 63.98 2010/09/30 100,000,000 2010/04/30
22324 Nomura Int’l plc JIANC European Warrants Oct 2010 0.25 19.18 2010/10/29 100,000,000 2010/04/30
22333 SGA Societe Generale Acceptance N.V. Country Gdn Eu Wt Nov10 0.3 2.68 per unit 2010/11/08 100,000,000 2010/04/30
22336 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Mar 11 0.16 12.8 2011/03/30 200,000,000 2010/04/30
22335 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Oct10E 0.15 20,000 per 8,000 units 2010/10/28 300,000,000 2010/04/30
22334 SGA Societe Generale Acceptance N.V. Renhe Comm Eu Wts Nov10 0.25 1.88 per unit 2010/11/29 150,000,000 2010/04/30
22342 UBS AG BYD European Warrants Nov 2010 0.15 68.90 per 100 units 2010/11/15 200,000,000 2010/04/30
22331 UBS AG HKEx European Warrants Jun 2011 A 0.15 140 per 100 units 2011/06/27 200,000,000 2010/04/30
22332 UBS AG Jiangxi Copper European Warrants Sep 2010 B 0.15 18.42 2010/09/20 100,000,000 2010/04/30
#
21788 Credit Suisse AG A50 China European Warrants Sep 2010 0.072 13.12 2010/09/06 400,000,000 2010/04/30
#
20168 CC Rabobank B.A. Huaneng Power European Warrants Jul 2010 0.082 5 per unit 2010/07/13 200,000,000 2010/04/30
22349 Credit Suisse AG Fushan Energy European Warrants Aug 2011 0.25 5.688 2011/08/08 100,000,000 2010/05/03
22347 Credit Suisse AG A50 China European Warrants Nov 2010 B 0.15 13.68 2010/11/15 200,000,000 2010/05/03
22350 Credit Suisse AG HSBC European Put Warrants Nov 2010 C 0.25 74 2010/11/29 200,000,000 2010/05/03
22348 Credit Suisse AG Ping An European Warrants Nov 2011 B 0.15 87.45 per 100 units 2011/11/07 200,000,000 2010/05/03
22346 J P Morgan SP BV Sino-Ocean Land European Warrants May 11 0.15 6.3 2011/05/31 200,000,000 2010/05/03
22351 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Nov 2010 0.46 6.38 per unit 2010/11/03 128,000,000 2010/05/03
22352 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Oct 2010 0.3 5.58 per unit 2010/10/15 98,000,000 2010/05/03
22355 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Nov 2010B 0.52 6.18 per unit 2010/11/03 88,000,000 2010/05/03
22353 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Nov 2010 0.25 31.98 2010/11/03 118,000,000 2010/05/03
22354 CC Rabobank B.A. China Agri European Warrants Jan 2011 0.25 12.8 2011/01/10 150,000,000 2010/05/03
22356 CC Rabobank B.A. A50 China European Warrants Mar 2011 0.15 14 2011/03/23 200,000,000 2010/05/03
#
17025 Deutsche Bank AG HSBC European Warrants Sep 2011 0.16 68.88 per 100 units 2011/09/29 400,000,000 2010/05/03
#
18825 Deutsche Bank AG HSBC European Warrants Oct 2010 A 0.054 83.593 per 93 units 2010/10/25 600,000,000 2010/05/03
#
21642 Credit Suisse AG HSI European Warrants Aug 2010 B 0.1 22,000 per 6,700 units 2010/08/30 436,000,000 2010/05/03
#
20599 Deutsche Bank AG China Life European Warrants Jul 2010 A 0.059 39.88 2010/07/26 400,000,000 2010/05/03
#
17916 Deutsche Bank AG HSBC European Warrants Sep 2010 0.052 78.63 per 93 units 2010/09/20 400,000,000 2010/05/03
#
19666 Deutsche Bank AG HSI European Warrants Jun 2010 A 0.064 21,400 per 9,000 units 2010/06/29 300,000,000 2010/05/03
#
19134 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2011 A 0.136 65.99 per 100 units 2011/10/18 300,000,000 2010/05/03
#
19140 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Oct 2010 0.022 15.59 2010/10/04 500,000,000 2010/05/03
#
20748 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul10C 0.039 22,500 per 10,000 units 2010/07/29 300,000,000 2010/05/03
#
18235 CC Rabobank B.A. Ch Mobile European Warrants Nov 2011 0.037 102 per 100 units 2011/11/04 800,000,000 2010/05/03
#
17394 CC Rabobank B.A. Hutchison European Warrants Jul 2011 0.043 58.88 per 100 units 2011/07/25 400,000,000 2010/05/03
22394 BNP Paribas Arbit Issu B.V. CNBM European Warrants Dec 10 0.25 13.68 2010/12/29 100,000,000 2010/05/04
22383 Credit Suisse AG Agile Ppt European Warrants Dec 2010 0.25 8.88 2010/12/20 100,000,000 2010/05/04
22382 Credit Suisse AG Angang Steel European Warrants Oct 2010 0.15 14.5 2010/10/25 100,000,000 2010/05/04
22388 Credit Suisse AG Ch LongYuan European Put Warrants Jan 11 0.25 8.08 2011/01/31 200,000,000 2010/05/04
22384 Credit Suisse AG CNOOC European Warrants Oct 2010 B 0.15 14.08 2010/10/25 200,000,000 2010/05/04
22385 Credit Suisse AG Chi Res Land European Warrants Nov 2010 0.25 15.98 2010/11/29 100,000,000 2010/05/04
22386 Credit Suisse AG Henganintl European Warrants Nov 2010 0.25 70.88 2010/11/29 100,000,000 2010/05/04
22387 Credit Suisse Shanghai Electric European Warrants Nov 2010 0.25 4.58 per unit 2010/11/22 100,000,000 2010/05/04
22376 Deutsche Bank AG China Life European Warrants Aug 2010 F 0.15 38.8 2010/08/30 300,000,000 2010/05/04
22379 Deutsche Bank AG A50 China European Warrants Nov 2010 0.15 12.68 2010/11/22 300,000,000 2010/05/04
22377 Deutsche Bank AG HSBC European Warrants Nov 2010 C 0.25 96 2010/11/08 300,000,000 2010/05/04
22390 Deutsche Bank AG HSI European Warrants Oct 2010 0.16 21,200 per 9,000 units 2010/10/28 300,000,000 2010/05/04
22389 Deutsche Bank AG HSI European Warrants Sep 2010 E 0.16 20,500 per 10,000 units 2010/09/29 300,000,000 2010/05/04
22391 Deutsche Bank AG HSI European Put Warrants Oct 2010 C 0.2 20,800 per 8,000 units 2010/10/28 300,000,000 2010/05/04
22392 Deutsche Bank AG HSI European Put Warrants Nov 2010 B 0.26 21,400 per 8,000 units 2010/11/29 300,000,000 2010/05/04
22371 HK Bank A50 China European Warrants Feb 2011 0.25 13.38 2011/02/25 120,000,000 2010/05/04
22373 HK Bank A50 China European Warrants Sep 2011 0.25 16.88 2011/09/29 150,000,000 2010/05/04
22374 HK Bank A50 China European Warrants Oct 2011 0.25 17.38 2011/10/28 150,000,000 2010/05/04
22375 HK Bank A50 China European Put Warrants Mar 2011 0.25 11.88 2011/03/30 120,000,000 2010/05/04
22380 KBC Fin Products Int’l Ltd. CMB European Warrants Nov 2010 0.25 18 2010/11/04 80,000,000 2010/05/04
22381 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Mar 11 0.15 12.8 2011/03/30 68,000,000 2010/05/04
22362 Macquarie Bank Ltd. CNOOC European Warrants Apr 2011 A 0.15 15.99 2011/04/04 200,000,000 2010/05/04
22363 Macquarie Bank Ltd. CNOOC European Put Warrants Jan 2011 B 0.25 14 2011/01/05 200,000,000 2010/05/04
22364 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Sep 2010 0.228 4.19 per unit 2010/09/27 100,000,000 2010/05/04
22365 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Oct 2010 0.158 4.69 per unit 2010/10/12 100,000,000 2010/05/04
22366 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Nov 2010 0.405 3.89 per unit 2010/11/29 100,000,000 2010/05/04
22357 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt Nov 2010 0.265 4.29 per unit 2010/11/22 100,000,000 2010/05/04
22358 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Put Wts Dec 10 0.285 3.49 per unit 2010/12/13 100,000,000 2010/05/04
22370 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Nov 2010 B 0.227 89.85 2010/11/08 200,000,000 2010/05/04
22369 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Jun 2011 0.2 7.49 per unit 2011/06/27 100,000,000 2010/05/04
22372 Merrill Lynch Int’l & Co. C.V. ICBC European Put Wts Nov10 0.365 5.39 per unit 2010/11/23 100,000,000 2010/05/04
22367 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Nov 2010A 0.435 5.99 per unit 2010/11/22 100,000,000 2010/05/04
22368 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Nov 2010B 0.207 6.99 per unit 2010/11/08 100,000,000 2010/05/04
22359 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Put Wt Nov 10 0.51 7.99 per unit 2010/11/23 100,000,000 2010/05/04
22360 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Oct10B 0.204 159.99 per 100 units 2010/10/04 150,000,000 2010/05/04
22361 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Nov 10 0.17 177.99 per 100 units 2010/11/22 150,000,000 2010/05/04
#
19641 Credit Suisse AG Minsheng Bank European Warrants Jun 2010A 0.035 8.088 2010/06/14 400,000,000 2010/05/04
22412 Barclays Bank plc Ch LongYuan European Warrants Dec 2010 A 0.25 9.16 2010/12/13 150,000,000 2010/05/05
22415 Barclays Bank plc China Mobile European Put Wts Nov 2010 0.32 68.88 2010/11/08 150,000,000 2010/05/05
22413 Barclays Bank plc CC Bank European Warrants Oct 2010 0.19 7.38 per unit 2010/10/25 200,000,000 2010/05/05
22414 Barclays Bank plc China Mobile European Wts Oct 2010 C 0.25 86.88 2010/10/25 150,000,000 2010/05/05
22410 Barclays Bank plc CNOOC European Warrants Nov 2010 A 0.15 14.88 2010/11/01 200,000,000 2010/05/05
22411 Barclays Bank plc CNOOC European Put Warrants Dec 2010 0.18 13.18 2010/12/21 200,000,000 2010/05/05
22417 Barclays Bank plc CPIC European Warrants Nov 2010 0.25 36 2010/11/29 150,000,000 2010/05/05
22416 Barclays Bank plc China Shenhua European Warrants Nov 2010 0.26 38.88 2010/11/22 200,000,000 2010/05/05
22418 Barclays Bank plc R&F Ppt European Warrants Nov 2010 0.15 11.88 2010/11/01 200,000,000 2010/05/05
22409 Barclays Bank plc HSBC European Warrants Oct 2010 B 0.25 88.88 2010/10/25 150,000,000 2010/05/05
22419 Barclays Bank plc HSI European Warrants Nov 2010 C 0.25 22,500 per 7,500 units 2010/11/29 150,000,000 2010/05/05
22420 Barclays Bank plc HSI European Warrants Aug 2010 F 0.17 20,600 per 9,000 units 2010/08/30 150,000,000 2010/05/05
22421 Barclays Bank plc HSI European Put Warrants Sep 2010 D 0.21 21,600 per 9,000 units 2010/09/29 150,000,000 2010/05/05
22422 Barclays Bank plc HSI European Put Warrants Sep 2010 E 0.17 21,800 per 11,000 units 2010/09/29 150,000,000 2010/05/05
22423 Barclays Bank plc HSI European Put Warrants Nov 2010 B 0.27 20,500 per 8,500 units 2010/11/29 150,000,000 2010/05/05
22407 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Dec 2010 B 0.25 6.99 per unit 2010/12/06 200,000,000 2010/05/05
22427 Credit Suisse AG HSBC European Wts Aug 2010 C 0.15 85.95 2010/08/30 200,000,000 2010/05/05
22429 Credit Suisse AG HSI European Warrants Oct 2010 A 0.15 21,600 per 8,000 units 2010/10/28 200,000,000 2010/05/05
22430 Credit Suisse AG HSI European Put Warrants Aug 2010 E 0.15 20,600 per 9,000 units 2010/08/30 180,000,000 2010/05/05
22426 Credit Suisse AG HSI European Warrants Aug 2010 C 0.15 21,200 per 6,500 units 2010/08/30 195,000,000 2010/05/05
22431 Deutsche Bank AG CC Bank European Warrants Sep 2010 B 0.25 6.88 per unit 2010/09/27 300,000,000 2010/05/05
22432 Deutsche Bank AG ICBC European Warrants Oct 2010 B 0.16 6.80 per unit 2010/10/18 300,000,000 2010/05/05
22433 Deutsche Bank AG PetroChina European Warrants Jun 2011 0.17 7.88 2011/06/20 300,000,000 2010/05/05
22398 HK Bank Henganintl European Warrants Nov 2010 0.25 71.08 2010/11/22 120,000,000 2010/05/05
22434 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Oct 2010 D 0.15 20,400 per 10,000 units 2010/10/28 200,000,000 2010/05/05
22435 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Nov 2010 C 0.15 19,500 per 10,000 units 2010/11/29 200,000,000 2010/05/05
22399 Macquarie Bank Ltd. China Coal European Warrants Nov 2010 0.153 13.42 2010/11/18 150,000,000 2010/05/05
22400 Macquarie Bank Ltd. CPIC European Warrants Nov 2010 0.251 35 2010/11/29 200,000,000 2010/05/05
22401 Macquarie Bank Ltd. Chi Res Land European Warrants Dec 10 0.25 15.5 2010/12/30 100,000,000 2010/05/05
22402 Macquarie Bank Ltd. ICBC European Warrants Nov 2010 0.256 6.68 per unit 2010/11/08 120,000,000 2010/05/05
22406 Macquarie Bank Ltd. ICBC European Put Warrants Nov 2010 0.489 5.50 per unit 2010/11/08 88,000,000 2010/05/05
22403 Macquarie Bank Ltd. Jiangxi Copper European Wts Sep 2010 B 0.168 17.9 2010/09/15 200,000,000 2010/05/05
22404 Macquarie Bank Ltd. Jiangxi Copper European Wts Jan 2011 A 0.255 20 2011/01/04 200,000,000 2010/05/05
22405 Macquarie Bank Ltd. Shui On Land European Warrants Nov 10 0.274 4 per unit 2010/11/29 100,000,000 2010/05/05
22395 RB of Scotland N.V. Jiangxi Copper European Wts Nov 2010 0.25 18.88 2010/11/08 200,000,000 2010/05/05
22396 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Aug 2010 E 0.25 87.99 2010/08/30 100,000,000 2010/05/05
22397 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Sep 2010 D 0.16 6.68 per unit 2010/09/20 120,000,000 2010/05/05
22425 UBS AG Ch LongYuan European Warrants Nov 2010 B 0.25 8.38 2010/11/15 100,000,000 2010/05/05
22424 UBS AG HSI European Warrants Aug 2010 C 0.24 20,000 per 8,000 units 2010/08/30 200,000,000 2010/05/05
22428 UBS AG HSI European Put Warrants Aug 2010 E 0.15 19,500 per 7,500 units 2010/08/30 200,000,000 2010/05/05
#
21465 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Jul 2010 0.157 5.99 per unit 2010/07/02 100,000,000 2010/05/05
22450 Credit Suisse AG Ch LongYuan European Warrants Nov 2010 B 0.25 8.28 2010/11/08 200,000,000 2010/05/06
22455 Credit Suisse AG Minsheng Bank European Warrants Nov 2010 0.25 8.588 per unit 2010/11/08 100,000,000 2010/05/06
22453 Credit Suisse AG CNBM European Warrants Nov 2010 0.25 15.86 2010/11/08 100,000,000 2010/05/06
22456 Credit Suisse AG HSBC European Wts Apr 2011 B 0.15 67.90 per 100 units 2011/04/26 300,000,000 2010/05/06
22454 Credit Suisse AG MCC European Warrants Nov 2010 0.25 4.528 per unit 2010/11/08 100,000,000 2010/05/06
10964 Deutsche Bank AG DJIA European Warrants Dec 2010 A 0.25 11,500 per 40,000 units 2010/12/20 150,000,000 2010/05/06
10968 Deutsche Bank AG DJIA European Put Warrants Dec 2010 B 0.25 10,500 per 40,000 units 2010/12/20 150,000,000 2010/05/06
22452 KBC Fin Products Int’l Ltd. ICBC European Wts Nov 2010 0.29 5.988 per unit 2010/11/08 200,000,000 2010/05/06
22448 Macquarie Bank Ltd. Ch LongYuan European Warrants Nov 2010 0.15 9.09 2010/11/15 300,000,000 2010/05/06
22449 Macquarie Bank Ltd. CM Bank European Warrants Dec 2010 0.254 20 2010/12/02 200,000,000 2010/05/06
22451 RB of Scotland N.V. HSI European Put Warrants Aug 2010 D 0.154 20,600 per 9,000 units 2010/08/30 400,000,000 2010/05/06
22445 RB of Scotland N.V. HSI European Warrants Aug 2010 A 0.152 21,000 per 8,000 units 2010/08/30 400,000,000 2010/05/06
22446 RB of Scotland N.V. HSI European Warrants Aug 2010 B 0.206 20,000 per 8,000 units 2010/08/30 400,000,000 2010/05/06
22447 RB of Scotland N.V. HSI European Warrants Aug 2010 C 0.152 20,600 per 9,000 units 2010/08/30 400,000,000 2010/05/06
22436 UBS AG BOCL European Warrants Nov 2010 A 0.25 3.88 per unit 2010/11/08 100,000,000 2010/05/06
22438 UBS AG China Tel European Warrants Sep 2010 0.19 4 per unit 2010/09/27 100,000,000 2010/05/06
22444 UBS AG China Life European Warrants Sep 2010 C 0.15 39.43 2010/09/16 200,000,000 2010/05/06
22443 UBS AG China Life European Warrants Nov 2010 A 0.25 34.88 2010/11/08 200,000,000 2010/05/06
22439 UBS AG China Shenhua European Warrants Sep 2010 0.25 33.88 2010/09/22 100,000,000 2010/05/06
22440 UBS AG ICBC European Warrants Nov 2010 A 0.3 5.78 per unit 2010/11/08 100,000,000 2010/05/06
22441 UBS AG PetroChina European Warrants Apr 2011 A 0.15 8.88 2011/04/26 100,000,000 2010/05/06
22442 UBS AG Tencent Holdings European Warrants Sep 2010 0.15 168.88 per 100 units 2010/09/22 200,000,000 2010/05/06
#
22209 Credit Suisse AG Ch LongYuan European Warrants Nov 2010 A 0.089 8.868 2010/11/25 300,000,000 2010/05/06
#
17979 Deutsche Bank AG China Mobile European Warrants Oct 2010 A 0.022 86.60 per 100 units 2010/10/18 600,000,000 2010/05/06
#
17446 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2010 A 0.017 86.65 per 100 units 2010/10/11 1,000,000,000 2010/05/06
22479 Credit Suisse AG China Coal European Warrants Nov 2010 A 0.15 12.4 2010/11/22 100,000,000 2010/05/07
22478 Credit Suisse AG HSI European Warrants Aug 2010 D 0.15 20,600 per 9,000 units 2010/08/30 180,000,000 2010/05/07
22482 Credit Suisse AG HSI European Put Warrants Aug 2010 F 0.15 20,200 per 8,500 units 2010/08/30 170,000,000 2010/05/07
22480 Credit Suisse Yanzhou Coal European Warrants Nov 2010 0.25 25.88 2010/11/15 100,000,000 2010/05/07
22481 Deutsche Bank AG Ch LongYuan European Warrants Nov 2010 0.25 8.5 2010/11/08 150,000,000 2010/05/07
22472 Deutsche Bank AG China Mobile European Warrants Nov 2010 0.25 88.88 2010/11/08 300,000,000 2010/05/07
22473 Goldman Sachs SP (Asia) HSBC European Warrants Sep 2010 C 0.35 85 2010/09/29 200,000,000 2010/05/07
22474 Goldman Sachs SP (Asia) HSBC European Warrants Oct 2010 A 0.29 88.88 2010/10/28 200,000,000 2010/05/07
22475 Goldman Sachs SP (Asia) HSBC European Warrants Oct 2010 B 0.23 92 2010/10/28 200,000,000 2010/05/07
22476 Goldman Sachs SP (Asia) HSBC European Warrants Dec 2010 C 0.39 88 2010/12/30 200,000,000 2010/05/07
22457 HK Bank Geely Auto European Warrants Nov 2010 0.25 4 per unit 2010/11/08 100,000,000 2010/05/07
22458 HK Bank Geely Auto European Warrants Dec 2010 A 0.25 4.50 per unit 2010/12/30 100,000,000 2010/05/07
22483 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Sep 2010 B 0.15 7.68 per unit 2010/09/01 198,000,000 2010/05/07
22471 SGA Societe Generale Acceptance N.V. Ch LongYuan Eu Wt May11 0.15 9.8 2011/05/23 100,000,000 2010/05/07
22465 SGA Societe Generale Acceptance N.V. CLife Eu Wt Sep 2010C 0.4 33.88 2010/09/06 200,000,000 2010/05/07
22466 SGA Societe Generale Acceptance N.V. CLife Eu Wt Sep 2010D 0.3 35.84 2010/09/06 200,000,000 2010/05/07
22467 SGA Societe Generale Acceptance N.V. CLife Eu Wt Oct 2010B 0.25 37.98 2010/10/04 200,000,000 2010/05/07
22468 SGA Societe Generale Acceptance N.V. CLife Eu Wt Nov 2010 0.32 37.03 2010/11/08 200,000,000 2010/05/07
22469 SGA Societe Generale Acceptance N.V. CLife Eu Wt Dec 2010A 0.43 35.18 2010/12/06 200,000,000 2010/05/07
22470 SGA Societe Generale Acceptance N.V. CLife Eu Wt Dec 2010B 0.29 38.68 2010/12/06 200,000,000 2010/05/07
22460 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jul 2011 A 0.15 74.98 per 100 units 2011/07/04 500,000,000 2010/05/07
22461 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Sep 2011 A 0.18 73.08 per 93 units 2011/09/26 500,000,000 2010/05/07
22462 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Dec 2011 0.17 77.68 per 93 units 2011/12/19 500,000,000 2010/05/07
22459 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Dec 2010 B 0.19 63.82 per 93 units 2010/12/13 500,000,000 2010/05/07
22463 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Nov 10A 0.27 19,600 per 8,000 units 2010/11/29 300,000,000 2010/05/07
22464 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec 10A 0.25 19,000 per 8,000 units 2010/12/30 300,000,000 2010/05/07
22477 UBS AG A50 China European Warrants Nov 2010 B 0.15 12.7 2010/11/22 100,000,000 2010/05/07
#
20748 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul10C 0.029 22,500 per 10,000 units 2010/07/29 500,000,000 2010/05/07
#
20202 CC Rabobank B.A. CNPC European Warrants Nov 2010 0.074 11.88 2010/11/12 300,000,000 2010/05/07
#
22286 UBS AG Ch LongYuan European Warrants Nov 2010 A 0.073 9.08 2010/11/22 200,000,000 2010/05/07
22488 BNP Paribas Arbit Issu B.V. Ch LongYuan Euro Wts Nov10B 0.15 8.878 2010/11/18 100,000,000 2010/05/10
22493 Credit Suisse AG China Mobile European Warrants Oct 2010 A 0.15 81.9 2010/10/11 200,000,000 2010/05/10
22492 Credit Suisse AG CC Bank European Warrants Aug 2010 C 0.15 6.488 per unit 2010/08/30 200,000,000 2010/05/10
22496 Credit Suisse AG ICBC European Put Warrants Nov 2010 0.25 5.28 per unit 2010/11/15 200,000,000 2010/05/10
22494 Credit Suisse AG Tencent Holdings European Put Wts Oct 10 0.15 150.08 per 100 units 2010/10/18 200,000,000 2010/05/10
22497 Deutsche Bank AG CNOOC European Warrants Nov 2010 B 0.15 14.08 2010/11/01 300,000,000 2010/05/10
22498 Deutsche Bank AG HKEx European Warrants Jun 2011 A 0.15 140 per 100 units 2011/06/27 300,000,000 2010/05/10
22499 Deutsche Bank AG HSBC European Put Warrants Oct 2011 0.15 82 per 100 units 2011/10/17 300,000,000 2010/05/10
22500 Deutsche Bank AG Tencent Holdings European Warrants Oct10A 0.17 170 per 100 units 2010/10/25 300,000,000 2010/05/10
22485 HK Bank CC Bank European Warrants Nov 2010 A 0.25 6.78 per unit 2010/11/11 160,000,000 2010/05/10
22486 HK Bank CC Bank European Warrants Nov 2010 B 0.25 7.38 per unit 2010/11/11 160,000,000 2010/05/10
22487 HK Bank GCL-Poly Energy European Warrants Jun 2011 0.25 2.40 per unit 2011/06/20 100,000,000 2010/05/10
22484 SGA Societe Generale Acceptance N.V. ZTE Eu Wt Nov 2010 0.43 33.88 2010/11/10 100,000,000 2010/05/10
22491 UBS AG Ch LongYuan European Warrants Oct 2010 0.15 7.9 2010/10/25 100,000,000 2010/05/10
22489 UBS AG CC Bank European Warrants Oct 2010 0.405 6.38 per unit 2010/10/27 100,000,000 2010/05/10
22490 UBS AG Yanzhou Coal European Wts Oct 2010 0.17 22.85 2010/10/25 100,000,000 2010/05/10
#
19016 Credit Suisse Ping An European Warrants Dec 2010 0.031 78 per 100 units 2010/12/28 400,000,000 2010/05/10
22519 Barclays Bank plc CITBK European Warrants Nov 2010 0.34 5.80 per unit 2010/11/29 150,000,000 2010/05/11
22520 Barclays Bank plc China Life European Put Wts Dec 2010 0.26 33 2010/12/06 150,000,000 2010/05/11
22521 Barclays Bank plc CM Bank European Warrants Dec 2010 B 0.25 20.38 2010/12/13 150,000,000 2010/05/11
22522 Barclays Bank plc Fushan Energy European Warrants Aug 2011 0.15 5.69 2011/08/01 200,000,000 2010/05/11
22514 Barclays Bank plc A50 China European Warrants Nov 2010 B 0.15 12.68 2010/11/22 100,000,000 2010/05/11
22515 Barclays Bank plc A50 China European Warrants Dec 2010 0.15 12.88 2010/12/24 100,000,000 2010/05/11
22516 Barclays Bank plc A50 China European Put Warrants Jan 2011 0.15 12.28 2011/01/24 100,000,000 2010/05/11
22517 Barclays Bank plc A50 China European Put Warrants Mar 2011 0.15 11.88 2011/03/28 100,000,000 2010/05/11
22518 Barclays Bank plc A50 China European Put Warrants Apr 2011 0.19 12.8 2011/04/04 100,000,000 2010/05/11
22510 Barclays Bank plc HSI European Warrants Sep 2010 F 0.15 20,200 per 10,000 units 2010/09/29 150,000,000 2010/05/11
22511 Barclays Bank plc HSI European Warrants Sep 2010 G 0.15 20,700 per 8,000 units 2010/09/29 150,000,000 2010/05/11
22509 Barclays Bank plc HSI European Warrants Nov 2010 D 0.25 20,900 per 8,500 units 2010/11/29 150,000,000 2010/05/11
22512 Barclays Bank plc HSI European Put Warrants Oct 2010 B 0.16 20,000 per 8,000 units 2010/10/28 150,000,000 2010/05/11
22513 Barclays Bank plc HSI European Put Warrants Nov 2010 E 0.27 21,300 per 9,000 units 2010/11/29 150,000,000 2010/05/11
22523 Barclays Bank plc ICBC European Warrants Nov 2010 0.25 6.38 per unit 2010/11/29 150,000,000 2010/05/11
22501 BNP Paribas Arbit Issu B.V. R&F Ppt European Wts Feb 2011 0.25 10.28 2011/02/02 100,000,000 2010/05/11
22535 Credit Suisse AG A50 China European Warrants Oct 2010 A 0.15 11.39 2010/10/04 200,000,000 2010/05/11
22528 Deutsche Bank AG BYD European Warrants Nov 2010 0.15 68.88 per 100 units 2010/11/15 300,000,000 2010/05/11
22529 Deutsche Bank AG China Life European Warrants Nov 2010 B 0.25 39 2010/11/15 300,000,000 2010/05/11
22530 Deutsche Bank AG China Life European Put Wts Sep 2010 0.18 32.88 2010/09/20 200,000,000 2010/05/11
22531 Deutsche Bank AG HKEx European Put Warrants Oct 2010 0.15 130 per 100 units 2010/10/05 200,000,000 2010/05/11
22503 HK Bank Angang Steel European Warrants Jan 2011 0.25 13.68 2011/01/18 120,000,000 2010/05/11
22504 HK Bank Fushan Energy European Warrants Nov 2010 0.25 6.38 per unit 2010/11/11 120,000,000 2010/05/11
22505 HK Bank R&F Ppt European Warrants May 2011 0.25 11.38 2011/05/26 120,000,000 2010/05/11
22506 HK Bank ICBC European Warrants Nov 2010 0.25 6.68 per unit 2010/11/25 160,000,000 2010/05/11
22507 Macquarie Bank Ltd. WISE CSI European Warrants Dec 2010 0.256 38 2010/12/02 200,000,000 2010/05/11
22532 Macquarie Bank Ltd. A50 China European Warrants Oct 2010 0.16 11.38 2010/10/05 200,000,000 2010/05/11
22508 Macquarie Bank Ltd. Zhaojin Mining European Warrants Dec10 0.253 18.18 2010/12/02 200,000,000 2010/05/11
22527 CC Rabobank B.A. A50 China European Warrants Nov 2010 C 0.15 12.7 2010/11/22 200,000,000 2010/05/11
22526 CC Rabobank B.A. A50 China European Put Warrants Mar 2011 0.15 11.88 2011/03/23 200,000,000 2010/05/11
22525 CC Rabobank B.A. Huaneng Power European Warrants Dec 2010 0.39 5.30 per unit 2010/12/15 100,000,000 2010/05/11
22502 RB of Scotland N.V. China Life European Put Wts Nov 2010 0.253 32.88 2010/11/15 150,000,000 2010/05/11
22533 UBS AG Ch LongYuan European Put Warrants Jan 2011 0.15 8.08 2011/01/24 100,000,000 2010/05/11
22534 UBS AG A50 China European Put Warrants Jan 2011 0.15 12.28 2011/01/24 100,000,000 2010/05/11
#
21317 BNP Paribas Arbit Issu B.V. HSBC European Wts Aug 2010 B 0.106 88.93 2010/08/16 200,000,000 2010/05/11
#
19426 Credit Suisse BOCL European Warrants Feb 2013 0.045 5.19 2013/02/25 800,000,000 2010/05/11
#
19013 Credit Suisse ICBC European Warrants Dec 2010 C 0.019 6.38 2010/12/06 1,000,000,000 2010/05/11
#
17932 UBS AG HSBC European Warrants Sep 2010 C 0.054 78.64 per 93 units 2010/09/20 200,000,000 2010/05/11
#
20914 UBS AG HSI European Warrants Jun 2010 E 0.044 21,000 per 9,000 units 2010/06/29 300,000,000 2010/05/11
22560 Deutsche Bank AG BOCL European Warrants Nov 2010 B 0.25 4.30 per unit 2010/11/15 200,000,000 2010/05/12
22561 Deutsche Bank AG CC Bank European Warrants Oct 2010 0.17 7.38 per unit 2010/10/18 200,000,000 2010/05/12
10966 Deutsche Bank AG EUR/USD European Put Warrants Nov 2010 0.25 1.20 per 1 units 2010/11/15 50,000,000 2010/05/12
22565 Deutsche Bank AG HSI European Warrants Nov 2010 E 0.28 19,400 per 8,000 units 2010/11/29 300,000,000 2010/05/12
22566 Deutsche Bank AG HSI European Warrants Sep 2010 F 0.16 20,800 per 8,000 units 2010/09/29 300,000,000 2010/05/12
22562 Deutsche Bank AG HSI European Put Warrants Aug 2010 I 0.15 19,600 per 9,000 units 2010/08/30 300,000,000 2010/05/12
22563 Deutsche Bank AG HSI European Put Warrants Aug 2010 J 0.16 20,200 per 8,500 units 2010/08/30 300,000,000 2010/05/12
22564 Deutsche Bank AG Sinopharm European Warrants Nov 2010 0.57 37 2010/11/15 150,000,000 2010/05/12
22556 J P Morgan SP BV Ch LongYuan European Warrants Dec 2010 0.25 8.08 2010/12/20 200,000,000 2010/05/12
22554 J P Morgan SP BV CC Bank Euro Put Wts Nov 2010 0.47 5.88 per unit 2010/11/12 80,000,000 2010/05/12
22555 J P Morgan SP BV China Life European Put Warrants Nov 2010 0.25 33.88 2010/11/12 100,000,000 2010/05/12
22557 J P Morgan SP BV CPIC European Warrants Nov 2010 0.25 33.88 2010/11/12 100,000,000 2010/05/12
22559 J P Morgan SP BV A50 China European Put Warrants Feb 2011 0.25 11.88 2011/02/28 200,000,000 2010/05/12
22558 J P Morgan SP BV HSBC European Put Warrants Nov 2010 B 0.25 70 2010/11/12 80,000,000 2010/05/12
22567 KBC Fin Products Int’l Ltd. BOCL European Wts Nov 2010 A 0.29 3.88 per unit 2010/11/12 158,000,000 2010/05/12
22568 KBC Fin Products Int’l Ltd. BOCL European Wts Nov 2010 B 0.25 4.28 per unit 2010/11/12 158,000,000 2010/05/12
22571 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Dec 2010 0.25 14.98 2010/12/01 100,000,000 2010/05/12
22573 KBC Fin Products Int’l Ltd . China Overseas Eu Put Wt Nov10 0.25 13.48 2010/11/12 108,000,000 2010/05/12
22569 KBC Fin Products Int’l Ltd. China Life Euro Wts Oct 2010 C 0.325 33.9 2010/10/04 208,000,000 2010/05/12
22570 KBC Fin Products Int’l Ltd. China Life Euro Wts Oct 2010 D 0.192 38 2010/10/04 258,000,000 2010/05/12
22575 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Dec 10 0.25 13.68 2010/12/28 88,000,000 2010/05/12
22576 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Apr 11 0.15 11.88 2011/04/01 88,000,000 2010/05/12
22572 KBC Fin Products Int’l Ltd. ICBC European Wts Oct 2010 D 0.34 5.888 per unit 2010/10/04 228,000,000 2010/05/12
22574 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Dec 2010 0.25 120.88 per 100 units 2010/12/01 108,000,000 2010/05/12
22546 Macquarie Bank Ltd. Air China European Warrants Dec 2010 0.251 9.99 2010/12/31 250,000,000 2010/05/12
22547 Macquarie Bank Ltd. China Life European Wts Sep 2010 B 0.152 38.4 2010/09/06 250,000,000 2010/05/12
22548 Macquarie Bank Ltd. China Life European Wts Dec 2010 A 0.253 39 2010/12/02 250,000,000 2010/05/12
22549 Macquarie Bank Ltd. Esprit European Warrants Dec 2010 0.501 58.88 2010/12/30 250,000,000 2010/05/12
22550 Macquarie Bank Ltd. Geely Auto European Warrants Nov 2010 0.29 4.15 per unit 2010/11/12 250,000,000 2010/05/12
22551 Macquarie Bank Ltd. Sino Ocean Land European Warrants Nov10 0.415 6.50 per unit 2010/11/30 100,000,000 2010/05/12
22552 Macquarie Bank Ltd. Tencent European Warrants Apr 2011 0.25 198 per 100 units 2011/04/07 250,000,000 2010/05/12
22538 RB of Scotland N.V. A50 China European Warrants Oct 2010 0.151 11.38 2010/10/05 300,000,000 2010/05/12
22540 RB of Scotland N.V. A50 China European Put Wts Mar 2011 0.154 11.88 2011/03/30 300,000,000 2010/05/12
10965 RB of Scotland N.V. Gold European Warrants Dec 2010 0.253 1,288 per 5,000 units 2010/12/30 100,000,000 2010/05/12
22537 RB of Scotland N.V. HSI European Warrants Nov 2010 C 0.253 19,600 per 9,000 units 2010/11/29 400,000,000 2010/05/12
22539 RB of Scotland N.V. HSI European Put Warrants Aug 2010 E 0.15 20,000 per 8,000 units 2010/08/30 400,000,000 2010/05/12
22541 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Nov 2010A 0.59 77 2010/11/22 80,000,000 2010/05/12
22542 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Nov 2010A 0.6 6 per unit 2010/11/22 100,000,000 2010/05/12
22545 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Apr 11 0.25 11.58 2011/04/13 300,000,000 2010/05/12
22543 SGA Societe Generale Acceptance N.V. HSI Eur Wt Sep 2010 I 0.15 21,000 per 9,000 units 2010/09/29 300,000,000 2010/05/12
22544 SGA Societe Generale Acceptance N.V. HSI Eur Wt Oct 2010 F 0.15 21,400 per 8,500 units 2010/10/28 300,000,000 2010/05/12
22536 UBS AG A50 China European Warrants Oct 2010 0.15 11.39 2010/10/04 100,000,000 2010/05/12
#
18325 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Oct 2010 0.039 83.593 per 93 units 2010/10/25 500,000,000 2010/05/12
#
20323 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Aug10A 0.046 179.99 per 100 units 2010/08/02 300,000,000 2010/05/12
22577 BNP Paribas Arbit Issu B.V. HSBC European Wts Nov 2010 B 0.3 88.99 2010/11/25 200,000,000 2010/05/13
22589 Credit Suisse AG BOCL European Warrants Oct 2010 B 0.15 4.28 per unit 2010/10/25 200,000,000 2010/05/13
22606 Credit Suisse AG BYD European Warrants Nov 2010 0.15 68.888 per 100 units 2010/11/15 200,000,000 2010/05/13
22607 Credit Suisse AG CNOOC European Warrants Dec 2010 0.15 13.02 2010/12/13 200,000,000 2010/05/13
22610 Credit Suisse AG HKEx European Warrants Sep 2010 0.15 120 per 100 units 2010/09/27 200,000,000 2010/05/13
22609 Credit Suisse AG HSBC European Put Warrants Aug 2010 0.15 71.99 2010/08/30 200,000,000 2010/05/13
22611 Credit Suisse AG HSI European Warrants Aug 2010 H 0.15 19,600 per 10,000 units 2010/08/30 200,000,000 2010/05/13
22588 Credit Suisse AG HSI European Put Warrants Aug 2010 G 0.15 19,200 per 7,000 units 2010/08/30 210,000,000 2010/05/13
22608 Credit Suisse AG ICBC European Warrants Oct 2010 B 0.15 5.89 per unit 2010/10/04 200,000,000 2010/05/13
22602 Deutsche Bank AG CC Bank European Warrants Nov 2010 A 0.59 6.20 per unit 2010/11/22 200,000,000 2010/05/13
22603 Deutsche Bank AG CNOOC European Put Warrants Dec 2010 0.2 13.18 2010/12/21 200,000,000 2010/05/13
22605 Deutsche Bank AG A50 China European Warrants Oct 2010 0.15 11.38 2010/10/05 300,000,000 2010/05/13
22604 Deutsche Bank AG HSBC European Warrants Sep 2011 B 0.15 73 per 93 units 2011/09/19 300,000,000 2010/05/13
22581 HK Bank CHALCO European Warrants Jun 2011 0.25 7.38 2011/06/29 150,000,000 2010/05/13
22582 HK Bank China Coal European Warrants Jan 2011 0.15 12.52 2011/01/17 120,000,000 2010/05/13
22583 HK Bank Esprit European Warrants Nov 2010 0.26 56.88 2010/11/15 150,000,000 2010/05/13
22584 HK Bank HWL European Warrants Nov 2010 0.25 56.88 2010/11/15 150,000,000 2010/05/13
22585 HK Bank Maanshan Iron European Warrants Nov 2010 0.25 4.38 per unit 2010/11/15 100,000,000 2010/05/13
22595 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Nov 2010C 0.25 5.08 per unit 2010/11/15 108,000,000 2010/05/13
22593 KBC Fin Products Int’l Ltd. CNOOC European Wts Dec 2010A 0.15 13 2010/12/15 108,000,000 2010/05/13
22596 KBC Fin Products Int’l Ltd. CNOOC Euro Put Wts Jan 2011 A 0.2 13.2 2011/01/03 100,000,000 2010/05/13
22594 KBC Fin Products Int’l Ltd. Henderson Land Dev Eu Wt Nov10 0.25 52 2010/11/15 50,000,000 2010/05/13
22597 KBC Fin Products Int’l Ltd. Henderson Land Eu Put Wt Nov10 0.44 48 2010/11/15 50,000,000 2010/05/13
22598 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Nov 2010 B 0.25 62.88 2010/11/23 108,000,000 2010/05/13
22599 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Aug 2010 0.15 19,600 per 9,000 units 2010/08/30 200,000,000 2010/05/13
22600 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Nov 2010 D 0.25 18,800 per 8,000 units 2010/11/29 200,000,000 2010/05/13
22601 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Nov 2010 E 0.25 19,200 per 8,500 units 2010/11/29 200,000,000 2010/05/13
22578 Macquarie Bank Ltd. Angang Steel European Wts Jan 2011 0.25 14.08 2011/01/04 200,000,000 2010/05/13
22587 Macquarie Bank Ltd. China Agri European Warrants Dec 2010 0.25 11 2010/12/30 200,000,000 2010/05/13
22579 Macquarie Bank Ltd. HSI European Warrants Sep 2010 B 0.151 20,700 per 8,000 units 2010/09/29 300,000,000 2010/05/13
22586 CC Rabobank B.A. HSI European Warrants Oct 2010 0.15 22,000 per 7,000 units 2010/10/28 200,000,000 2010/05/13
22590 CC Rabobank B.A. HSI European Put Warrants Oct 2010 0.18 20,400 per 10,000 units 2010/10/28 200,000,000 2010/05/13
22591 UBS AG China Mobile European Warrants Oct 2011 0.15 66 per 100 units 2011/10/11 200,000,000 2010/05/13
22592 UBS AG Sinopec Corp European Warrants Nov 2010 0.25 6.08 per unit 2010/11/15 100,000,000 2010/05/13
#
21164 Credit Suisse AG A50 China European Warrants Jul 2010 B 0.05 12.48 2010/07/26 200,000,000 2010/05/13
#
18364 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Sep 2010 A 0.044 78.593 per 93 units 2010/09/22 500,000,000 2010/05/13
#
18365 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Nov 2010 A 0.037 83.593 per 93 units 2010/11/01 500,000,000 2010/05/13
22627 BOCI Asia Ltd. A50 China European Warrants Nov 2010 0.5 14.27 per unit 2010/11/15 100,000,000 2010/05/14
22625 BOCI Asia Ltd. Mongolia Energy European Warrants Nov 2010 0.5 4 per unit 2010/11/15 100,000,000 2010/05/14
22626 BOCI Asia Ltd. Tencent Holdings European Warrants Feb 2011 0.25 163.88 per 100 units 2011/02/21 100,000,000 2010/05/14
22637 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Nov 2010 0.55 78.88 2010/11/29 200,000,000 2010/05/14
22638 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Oct 2011 0.15 66 per 100 units 2011/10/11 200,000,000 2010/05/14
22641 BNP Paribas Arbit Issu B.V. HSBC European Put Wts Apr 2011 0.25 84.88 per 100 units 2011/04/28 100,000,000 2010/05/14
22639 BNP Paribas Arbit Issu B.V. HSBC European Wts Nov 2010 C 0.38 82.88 2010/11/29 200,000,000 2010/05/14
22640 BNP Paribas Arbit Issu B.V. HSBC European Wts Dec 2010 D 0.15 63 per 93 units 2010/12/21 200,000,000 2010/05/14
22642 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2011 B 0.15 73.08 per 93 units 2011/09/19 200,000,000 2010/05/14
22644 BNP Paribas Arbit Issu B.V. HSI European Wts Oct 2010 0.15 20,800 per 9,800 units 2010/10/28 200,000,000 2010/05/14
22653 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Oct 2010 A 0.27 20,000 per 8,000 units 2010/10/28 200,000,000 2010/05/14
22654 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Nov 2010 C 0.25 19,500 per 9,000 units 2010/11/29 200,000,000 2010/05/14
22645 BNP Paribas Arbit Issu B.V. HSI European Wts Nov 2010 A 0.27 18,800 per 8,800 units 2010/11/29 200,000,000 2010/05/14
22646 BNP Paribas Arbit Issu B.V. HSI European Wts Nov 2010 B 0.25 20,000 per 8,000 units 2010/11/29 200,000,000 2010/05/14
22643 BNP Paribas Arbit Issu B.V. Shimao Ppt European Wts Mar 11 0.25 11.38 2011/03/07 200,000,000 2010/05/14
22636 Credit Suisse AG Ch LongYuan European Warrants Dec 2010 B 0.25 7.288 2010/12/20 200,000,000 2010/05/14
22634 Credit Suisse AG HSI European Put Warrants Aug 2010 I 0.15 19,400 per 9,000 units 2010/08/30 180,000,000 2010/05/14
22635 Credit Suisse AG Zijin Mining European Warrants Jan 2011 0.15 5.99 2011/01/31 200,000,000 2010/05/14
22631 Deutsche Bank AG A50 China European Put Wts Apr 2011 A 0.25 11.58 2011/04/12 200,000,000 2010/05/14
22649 HK Bank HSI European Warrants Dec 2010 D 0.25 19,800 per 10,000 units 2010/12/30 150,000,000 2010/05/14
22650 HK Bank HSI European Warrants Dec 2010 E 0.25 20,800 per 9,000 units 2010/12/30 150,000,000 2010/05/14
22651 HK Bank HSI European Warrants Dec 2010 F 0.25 21,800 per 8,000 units 2010/12/30 150,000,000 2010/05/14
22656 HK Bank HSI European Put Warrants Dec 2010 G 0.25 16,800 per 8,000 units 2010/12/30 150,000,000 2010/05/14
22657 HK Bank HSI European Put Warrants Dec 2010 H 0.25 17,800 per 9,000 units 2010/12/30 150,000,000 2010/05/14
22658 HK Bank HSI European Put Warrants Dec 2010 I 0.25 19,800 per 12,000 units 2010/12/30 150,000,000 2010/05/14
22628 Macquarie Bank Ltd. Alibaba European Warrants Jan 2011 0.253 16.88 2011/01/31 300,000,000 2010/05/14
22619 RB of Scotland N.V. CC Bank European Warrants Oct 2012 0.153 6 2012/10/29 250,000,000 2010/05/14
22618 RB of Scotland N.V. Ch Comm Cons European Wts Dec 2011 0.251 6 2011/12/30 250,000,000 2010/05/14
22620 RB of Scotland N.V. HKEx European Warrants Dec 2010 0.155 129.99 per 100 units 2010/12/06 250,000,000 2010/05/14
22623 RB of Scotland N.V. ICBC European Warrants Dec 2012 0.15 5.08 2012/12/10 250,000,000 2010/05/14
22621 RB of Scotland N.V. PetroChina European Warrants May 2011 0.151 8.888 2011/05/05 250,000,000 2010/05/14
22622 RB of Scotland N.V. PetroChina European Warrants Jun 2011 0.196 7.888 2011/06/21 250,000,000 2010/05/14
22624 RB of Scotland N.V. Tencent Holdings European Wts Nov 10A 0.258 153.88 per 100 units 2010/11/29 250,000,000 2010/05/14
22612 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Nov 2010 B 0.28 4.18 per unit 2010/11/15 120,000,000 2010/05/14
22614 SGA Societe Generale Acceptance N.V. CCB Eur Wt Oct 2010 A 0.2 7.27 per unit 2010/10/04 80,000,000 2010/05/14
22615 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2011 A 0.15 138 per 100 units 2011/06/15 300,000,000 2010/05/14
22616 SGA Societe Generale Acceptance N.V. HWL Eur Wt Oct 2010 0.16 61.88 2010/10/27 100,000,000 2010/05/14
22617 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Sep 2010 E 0.26 6 per unit 2010/09/08 120,000,000 2010/05/14
22632 UBS AG HSBC European Warrants Oct 2010 B 0.15 88.88 2010/10/25 100,000,000 2010/05/14
22633 UBS AG HSBC European Warrants Nov 2010 B 0.37 78.88 2010/11/15 100,000,000 2010/05/14
22647 UBS AG HSI European Warrants Aug 2010 F 0.16 19,200 per 9,000 units 2010/08/30 200,000,000 2010/05/14
22648 UBS AG HSI European Warrants Aug 2010 G 0.27 18,000 per 8,000 units 2010/08/30 200,000,000 2010/05/14
22655 UBS AG HSI European Put Warrants Aug 2010 H 0.15 18,800 per 9,000 units 2010/08/30 200,000,000 2010/05/14
22629 UBS AG Tencent Holdings European Warrants Oct 2010 A 0.15 160 per 100 units 2010/10/04 200,000,000 2010/05/14
22630 UBS AG Tencent Holdings European Warrants Nov 2010 A 0.25 153.88 per 100 units 2010/11/15 200,000,000 2010/05/14
#
18884 UBS AG China Mobile European Warrants Nov 2010 0.036 83.80 per 100 units 2010/11/29 500,000,000 2010/05/14
22663 BOCI Asia Ltd. China Mobile European Warrants Aug 2010 0.15 85 2010/08/30 100,000,000 2010/05/17
22664 BOCI Asia Ltd. China Mobile European Warrants Oct 2011 0.15 66 per 100 units 2011/10/18 100,000,000 2010/05/17
22665 BOCI Asia Ltd. China Mobile European Put Warrants Dec 2010 0.5 67.6 2010/12/06 100,000,000 2010/05/17
22666 BOCI Asia Ltd. China Life European Warrants Nov 2010 0.25 38.8 2010/11/24 100,000,000 2010/05/17
22667 BOCI Asia Ltd. HSBC European Put Warrants Jul 2012 0.25 75 per 100 units 2012/07/16 100,000,000 2010/05/17
22662 BOCI Asia Ltd. HSI European Put Warrants Nov 2010 0.25 19,000 per 8,000 units 2010/11/29 100,000,000 2010/05/17
22661 BOCI Asia Ltd. HSI European Warrants Dec 2010 B 0.25 20,800 per 8,000 units 2010/12/30 100,000,000 2010/05/17
22672 CC Rabobank B.A. Angang Steel European Warrants Nov 2010 0.25 10.8 2010/11/29 150,000,000 2010/05/17
22673 CC Rabobank B.A. China EB Ltd European Warrants Nov 2010 0.25 20 2010/11/29 100,000,000 2010/05/17
22680 CC Rabobank B.A. CC Bank European Put Warrants Dec 2010 0.39 5.20 per unit 2010/12/30 100,000,000 2010/05/17
22674 CC Rabobank B.A. China Life European Warrants Nov 2010 A 0.57 30 2010/11/29 100,000,000 2010/05/17
22675 CC Rabobank B.A. China Life European Warrants Dec 2010 A 0.29 36 2010/12/22 200,000,000 2010/05/17
22681 CC Rabobank B.A. China Life European Put Warrants Dec 2010 0.25 29.6 2010/12/30 100,000,000 2010/05/17
22676 CC Rabobank B.A. China Ship Dev European Warrants Nov 2010 0.25 12 2010/11/29 150,000,000 2010/05/17
22669 CC Rabobank B.A. HSBC European Put Warrants Dec 2010 H 0.48 62 2010/12/30 100,000,000 2010/05/17
22670 CC Rabobank B.A. HSI European Warrants Nov 2010 A 0.29 18,800 per 8,000 units 2010/11/29 200,000,000 2010/05/17
22671 CC Rabobank B.A. HSI European Warrants Nov 2010 B 0.25 19,600 per 8,000 units 2010/11/29 200,000,000 2010/05/17
22678 CC Rabobank B.A. HSI European Put Warrants Dec 2010 A 0.25 18,800 per 8,000 units 2010/12/30 200,000,000 2010/05/17
22679 CC Rabobank B.A. HSI European Put Warrants Dec 2010 B 0.28 19,600 per 8,000 units 2010/12/30 200,000,000 2010/05/17
22668 CC Rabobank B.A. ICBC European Put Warrants Dec 2010 0.25 4.20 per unit 2010/12/30 100,000,000 2010/05/17
22677 CC Rabobank B.A. Xinao Gas European Warrants Nov 2010 0.45 25 2010/11/29 100,000,000 2010/05/17
22652 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Dec 10 0.25 10,500 per 6,000 units 2010/12/30 300,000,000 2010/05/17
22659 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Nov 10B 0.25 18,500 per 9,000 units 2010/11/29 300,000,000 2010/05/17
22660 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec 10B 0.25 18,000 per 8,500 units 2010/12/30 300,000,000 2010/05/17
22682 UBS AG HSBC European Warrants Jun 2011 B 0.15 75 per 100 units 2011/06/27 200,000,000 2010/05/17
#
21136 Citigroup Global Mkt H Inc. A50 China Euro Wts Jan 2011 B 0.051 13.88 2011/01/11 200,000,000 2010/05/17
#
20716 Deutsche Bank AG Tencent Holdings European Warrants Aug10A 0.053 165 per 100 units 2010/08/02 300,000,000 2010/05/17
22693 BOCI Asia Ltd. Ch Overseas European Warrants Feb 2011 0.25 15.98 2011/02/16 100,000,000 2010/05/18
22694 BOCI Asia Ltd. China Shenhua European Warrants Jan 2011 0.5 34.88 2011/01/12 100,000,000 2010/05/18
22695 BOCI Asia Ltd. HSBC European Warrants Dec 2011 0.15 77.70 per 93 units 2011/12/19 100,000,000 2010/05/18
22697 BOCI Asia Ltd. PetroChina European Warrants May 2011 0.15 8.88 2011/05/03 100,000,000 2010/05/18
22719 Credit Suisse AG HSI European Warrants Sep 2010 A 0.15 20,700 per 8,000 units 2010/09/29 200,000,000 2010/05/18
22718 Credit Suisse AG HSI European Put Warrants Aug 2010 J 0.15 19,600 per 9,000 units 2010/08/30 180,000,000 2010/05/18
22714 Deutsche Bank AG BYD European Warrants Jun 2011 0.15 80 per 100 units 2011/06/13 200,000,000 2010/05/18
22715 Deutsche Bank AG ICBC European Warrants Nov 2010 A 0.47 5.78 per unit 2010/11/01 150,000,000 2010/05/18
22705 Deutsche Bank AG Sands China European Warrants Nov 2010 0.25 12 2010/11/22 100,000,000 2010/05/18
22706 Deutsche Bank AG Sands China European Warrants Dec 2010 0.25 13 2010/12/20 100,000,000 2010/05/18
22707 Deutsche Bank AG Wynn Macau European Warrants Nov 2010 0.25 12 2010/11/22 100,000,000 2010/05/18
22699 J P Morgan SP BV Angang Steel European Warrants Nov 2010 0.25 11.88 2010/11/18 188,000,000 2010/05/18
22700 J P Morgan SP BV China Coal European Warrants Nov 2010 0.25 10.88 2010/11/18 188,000,000 2010/05/18
22701 J P Morgan SP BV China Life European Warrants Nov 2010 0.25 36.38 2010/11/18 100,000,000 2010/05/18
22702 J P Morgan SP BV Sinopec Corp European Warrants Nov 2010 0.35 6.38 per unit 2010/11/18 80,000,000 2010/05/18
22703 J P Morgan SP BV Chi Res Land European Warrants Nov 2010 0.25 13.88 2010/11/18 188,000,000 2010/05/18
22704 J P Morgan SP BV Skyworth Digital European Warrants Mar 11 0.25 6.88 2011/03/28 200,000,000 2010/05/18
22708 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Nov 2010 0.25 12,000 per 6,200 units 2010/11/29 100,000,000 2010/05/18
22713 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Nov 2010 0.25 11,600 per 7,000 units 2010/11/29 100,000,000 2010/05/18
22709 KBC Fin Products Int’l Ltd. HSI European Wts Sep 2010 K 0.15 20,200 per 10,000 units 2010/09/29 200,000,000 2010/05/18
22710 KBC Fin Products Int’l Ltd. HSI European Wts Nov 2010 F 0.25 18,800 per 10,000 units 2010/11/29 200,000,000 2010/05/18
22711 KBC Fin Products Int’l Ltd. HSI European Wts Nov 2010 G 0.25 19,400 per 9,800 units 2010/11/29 200,000,000 2010/05/18
22712 KBC Fin Products Int’l Ltd. HSI European Wts Dec 2010 B 0.28 18,200 per 9,500 units 2010/12/30 200,000,000 2010/05/18
22716 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Dec 2010 C 0.25 17,000 per 8,200 units 2010/12/30 200,000,000 2010/05/18
22717 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Dec 2010 D 0.25 18,000 per 9,500 units 2010/12/30 200,000,000 2010/05/18
22698 Macquarie Bank Ltd. CNBM European Warrants Dec 2010 0.151 13.68 2010/12/22 300,000,000 2010/05/18
22685 Nomura Int’l plc Ch LongYuan European Warrants Oct 2010 0.16 7.908 2010/10/25 200,000,000 2010/05/18
22686 Nomura Int’l plc Ch LongYuan European Warrants Nov 2010 0.15 8.868 2010/11/24 200,000,000 2010/05/18
22687 Nomura Int’l plc CC Bank European Warrants Dec 2010 A 0.448 7 per unit 2010/12/31 150,000,000 2010/05/18
22692 Nomura Int’l plc CPIC European Warrants Nov 2010 0.25 36.88 2010/11/30 150,000,000 2010/05/18
22690 Nomura Int’l plc Chi Res Land European Warrants Nov 2010 0.252 14.98 2010/11/30 100,000,000 2010/05/18
22691 Nomura Int’l plc Chi Res Land European Warrants Apr 2011 0.298 16.08 2011/04/29 100,000,000 2010/05/18
22688 Nomura Int’l plc China Shenhua European Warrants Nov 2010 0.25 39.88 2010/11/30 100,000,000 2010/05/18
22683 Nomura Int’l plc Hutchison European Warrants Dec 2010 A 0.27 59.88 2010/12/31 100,000,000 2010/05/18
22684 Nomura Int’l plc JIANC European Warrants Dec 2010 A 0.25 16.88 2010/12/31 100,000,000 2010/05/18
22689 Nomura Int’l plc Sinopharm European Warrants Jan 2011 0.376 40.88 2011/01/31 100,000,000 2010/05/18
#
21491 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Nov 2010 B 0.107 12.68 2010/11/22 500,000,000 2010/05/18
22729 BOCI Asia Ltd. Cheung Kong European Warrants Nov 2010 0.5 104.8 2010/11/30 100,000,000 2010/05/19
22728 BOCI Asia Ltd. Evergrande European Warrants Feb 2011 0.5 3.18 per unit 2011/02/25 100,000,000 2010/05/19
22749 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Oct 2010 0.21 88.13 2010/10/20 200,000,000 2010/05/19
22732 Citigroup Global Mkt H Inc. BYD European Warrants Jun 11B 0.15 70 per 100 units 2011/06/08 250,000,000 2010/05/19
22735 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt Jul 2011 0.25 18 2011/07/25 120,000,000 2010/05/19
22733 Citigroup Global Mkt H Inc. Cathay Pacific Eu Wt May 2011A 0.25 16.88 2011/05/25 100,000,000 2010/05/19
22734 Citigroup Global Mkt H Inc. Chi Res Land European Wt Jun11 0.25 18 2011/06/27 100,000,000 2010/05/19
22740 Citigroup Global Mkt H Inc. A50 China Euro Wts Oct 2010 0.15 11.38 2010/10/04 100,000,000 2010/05/19
22737 Citigroup Global Mkt H Inc. Jiangxi Copper Euro Wts Oct10 0.15 15.98 2010/10/29 120,000,000 2010/05/19
22738 Citigroup Global Mkt H Inc. Li Ning European Wts Jul 2011A 0.25 30 2011/07/25 100,000,000 2010/05/19
22739 Citigroup Global Mkt H Inc. PetroChina Euro Wts May 2011 0.15 8.88 2011/05/06 160,000,000 2010/05/19
22731 J P Morgan SP BV A50 China European Warrants Sep 2010 B 0.15 11.38 2010/09/28 200,000,000 2010/05/19
22730 J P Morgan SP BV HSBC European Warrants Sep 2011 A 0.162 73.08 per 93 units 2011/09/19 388,000,000 2010/05/19
22748 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Oct 2010 C 0.15 11.39 2010/10/05 128,000,000 2010/05/19
22746 KBC Fin Products Int’l Ltd. PetroChina Euro Wts Jun 2011 0.15 7.88 2011/06/15 200,000,000 2010/05/19
22747 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Dec 2010 0.15 96.90 per 100 units 2010/12/06 128,000,000 2010/05/19
22744 Macquarie Bank Ltd. Sh Petrochem European Wts Nov 2010 0.25 3.68 per unit 2010/11/19 200,000,000 2010/05/19
22720 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Oct 2010 A 0.17 4.38 per unit 2010/10/18 120,000,000 2010/05/19
22721 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Oct 2010 B 0.15 4.50 per unit 2010/10/20 120,000,000 2010/05/19
22722 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Oct10B 0.15 6.09 per unit 2010/10/06 120,000,000 2010/05/19
22723 SGA Societe Generale Acceptance N.V. CMB Euro Wts Dec 10A 0.16 19.98 2010/12/22 120,000,000 2010/05/19
22724 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Aug 10C 0.2 85 2010/08/30 100,000,000 2010/05/19
22743 UBS AG China Life European Warrants Nov 2010 B 0.15 39 2010/11/29 200,000,000 2010/05/19
22727 UBS AG CM Bank European Warrants Dec 2010 B 0.15 20.4 2010/12/06 100,000,000 2010/05/19
22726 UBS AG R&F Ppt European Warrants Jan 2011 0.15 10.3 2011/01/31 100,000,000 2010/05/19
22741 UBS AG HSCEI European Warrants Dec 2010 0.25 11,500 per 6,000 units 2010/12/30 50,000,000 2010/05/19
22745 UBS AG HSCEI European Put Warrants Dec 2010 0.25 10,800 per 6,000 units 2010/12/30 50,000,000 2010/05/19
22725 UBS AG HSI European Warrants Nov 2010 A 0.15 20,900 per 8,500 units 2010/11/29 200,000,000 2010/05/19
22742 UBS AG HSI European Warrants Nov 2010 B 0.25 20,200 per 8,000 units 2010/11/29 200,000,000 2010/05/19
#
20511 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Aug 2010 B 0.141 6.82 per unit 2010/08/02 100,000,000 2010/05/19
#
20254 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jul 10B 0.025 13.38 2010/07/12 400,000,000 2010/05/19
22755 Deutsche Bank AG China Mobile European Put Wts Jun 2011 0.15 74 per 100 units 2011/06/07 200,000,000 2010/05/20
22756 Deutsche Bank AG China Shenhua European Warrants Nov 2010 0.4 34 2010/11/29 100,000,000 2010/05/20
10967 Deutsche Bank AG Gold European Warrants Nov 2010 0.25 1,388 per 4,000 units 2010/11/30 50,000,000 2010/05/20
22761 Goldman Sachs SP (Asia) China Mobile Euro Wts Nov 2010 0.55 77 2010/11/29 200,000,000 2010/05/20
22762 Goldman Sachs SP (Asia) China Mobile Euro Wts Dec 2010 0.37 84 2010/12/30 200,000,000 2010/05/20
22763 Goldman Sachs SP (Asia) China Life Euro Wts Sep 2010 B 0.22 35.9 2010/09/02 200,000,000 2010/05/20
22764 Goldman Sachs SP (Asia) China Life Euro Wts Sep 2010 C 0.18 38 2010/09/29 200,000,000 2010/05/20
22765 Goldman Sachs SP (Asia) China Life Euro Wts Nov 2010 B 0.31 36 2010/11/29 200,000,000 2010/05/20
22760 Goldman Sachs SP (Asia) China Mobile Euro Wts Oct 2010 C 0.38 80 2010/10/28 200,000,000 2010/05/20
22752 Macquarie Bank Ltd. Country Garden European Warrants Nov10 0.254 2.88 per unit 2010/11/22 88,000,000 2010/05/20
22751 Macquarie Bank Ltd. China Overseas European Wts Nov 2010 0.153 15 2010/11/24 200,000,000 2010/05/20
22753 Macquarie Bank Ltd. Franshion PPT European Warrants Nov 10 0.254 2.88 per unit 2010/11/22 88,000,000 2010/05/20
22750 Macquarie Bank Ltd. China Mengniu European Wts Nov 2010 0.251 28.88 2010/11/22 200,000,000 2010/05/20
22754 Macquarie Bank Ltd. Nine Dragons European Wts Jan 2011 0.152 14.9 2011/01/17 200,000,000 2010/05/20
22757 RB of Scotland N.V. China Life European Wts Nov 2010 A 0.375 33.88 2010/11/30 150,000,000 2010/05/20
22758 RB of Scotland N.V. China Life European Wts Nov 2010 B 0.267 36.88 2010/11/22 150,000,000 2010/05/20
22759 RB of Scotland N.V. ICBC European Warrants Nov 2010 0.412 5.80 per unit 2010/11/30 100,000,000 2010/05/20
#
19859 Credit Suisse AG HSBC European Wts Sep 2010 B 0.04 78.63 per 93 units 2010/09/20 300,000,000 2010/05/20
#
21748 Credit Suisse AG Tencent Holdings European Wts Aug 2010 C 0.08 166.80 per 100 units 2010/08/30 200,000,000 2010/05/20
22779 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Nov 2012 0.25 83.88 per 100 units 2012/11/02 200,000,000 2010/05/24
22778 BNP Paribas Arbit Issu B.V. A50 China Euro Wts May 2012 0.26 14.88 2012/05/02 200,000,000 2010/05/24
22780 BNP Paribas Arbit Issu B.V. HSBC European Wts Feb 2013 0.25 83.88 per 100 units 2013/02/01 200,000,000 2010/05/24
22781 BNP Paribas Arbit Issu B.V. HSI European Wts Jul 2011 0.25 22,200 per 15,000 units 2011/07/28 200,000,000 2010/05/24
22767 Citigroup Global Mkt H Inc. Alibaba European Warrants Jan11B 0.16 16.88 2011/01/28 120,000,000 2010/05/24
22768 Citigroup Global Mkt H Inc. Minsheng Bank Euro Wts Mar 11 0.25 8.88 per unit 2011/03/28 100,000,000 2010/05/24
22769 RB of Scotland N.V. Sinopec Corp European Warrants Nov 10A 0.413 6.238 per unit 2010/11/30 100,000,000 2010/05/24
22770 RB of Scotland N.V. Sinopec Corp European Warrants Nov 10B 0.258 6.88 per unit 2010/11/30 100,000,000 2010/05/24
10969 RB of Scotland N.V. Gold European Put Warrants Dec 2010 0.25 1,138 per 5,000 units 2010/12/30 100,000,000 2010/05/24
22766 SGA Societe Generale Acceptance N.V. HWL Eur Wt Nov 2010 A 0.27 56.88 2010/11/10 100,000,000 2010/05/24
22771 UBS AG BOCL European Warrants Nov 2010 B 0.15 4.50 per unit 2010/11/15 100,000,000 2010/05/24
22774 UBS AG HSI European Warrants Dec 2010 B 0.15 21,800 per 8,000 units 2010/12/30 200,000,000 2010/05/24
22777 UBS AG HSI European Warrants Dec 2010 C 0.25 19,800 per 8,000 units 2010/12/30 200,000,000 2010/05/24
22775 UBS AG HSI European Put Warrants Nov 2010 C 0.15 18,800 per 8,000 units 2010/11/29 200,000,000 2010/05/24
22776 UBS AG HSI European Put Warrants Nov 2010 D 0.173 19,500 per 9,000 units 2010/11/29 200,000,000 2010/05/24
22773 UBS AG SPDR Gold Trust European Warrants Nov 2010 0.25 999 per 100 units 2010/11/29 100,000,000 2010/05/24
22772 UBS AG Zijin Mining European Warrants Jan 2011 0.15 6 2011/01/31 100,000,000 2010/05/24
22784 Deutsche Bank AG BYD European Warrants Dec 2010 0.15 62.88 per 100 units 2010/12/28 200,000,000 2010/05/25
22785 Deutsche Bank AG HSI European Put Warrants Nov 2010 C 0.25 18,800 per 8,000 units 2010/11/29 300,000,000 2010/05/25
22786 Deutsche Bank AG HSI European Put Warrants Nov 2010 D 0.25 19,200 per 9,000 units 2010/11/29 300,000,000 2010/05/25
22787 Goldman Sachs SP (Asia) HSI European Warrants Nov 2010 A 0.25 19,000 per 9,000 units 2010/11/29 200,000,000 2010/05/25
22788 Goldman Sachs SP (Asia) HSI European Warrants Nov 2010 B 0.21 19,600 per 9,000 units 2010/11/29 200,000,000 2010/05/25
22789 Goldman Sachs SP (Asia) HSI European Warrants Nov 2010 C 0.25 20,200 per 6,800 units 2010/11/29 200,000,000 2010/05/25
22790 Goldman Sachs SP (Asia) HSI European Warrants Nov 2010 D 0.25 20,800 per 6,000 units 2010/11/29 200,000,000 2010/05/25
22791 Goldman Sachs SP (Asia) HSI European Warrants Nov 2010 E 0.25 21,400 per 5,000 units 2010/11/29 200,000,000 2010/05/25
22795 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 F 0.24 19,000 per 8,000 units 2010/11/29 200,000,000 2010/05/25
22796 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 G 0.25 19,600 per 8,800 units 2010/11/29 200,000,000 2010/05/25
22797 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 H 0.25 20,200 per 10,000 units 2010/11/29 200,000,000 2010/05/25
22798 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 I 0.25 20,800 per 12,000 units 2010/11/29 200,000,000 2010/05/25
22799 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 J 0.25 21,400 per 13,000 units 2010/11/29 200,000,000 2010/05/25
22782 SGA Societe Generale Acceptance N.V. Alibaba Eu Wts Dec 10 0.3 17.88 2010/12/01 150,000,000 2010/05/25
22783 SGA Societe Generale Acceptance N.V. BOCom Eur Wt Oct 2010 0.2 10.78 per unit 2010/10/04 100,000,000 2010/05/25
#
20750 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Aug10B 0.081 21,000 per 8,000 units 2010/08/30 200,000,000 2010/05/25
#
17585 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 10A 0.029 83.80 per 100 units 2010/12/01 400,000,000 2010/05/25
22801 Barclays Bank plc BYD European Warrants Jan 2011 0.15 66 per 100 units 2011/01/17 200,000,000 2010/05/26
22793 Barclays Bank plc CC Bank European Warrants Dec 2011 0.15 6.28 2011/12/05 200,000,000 2010/05/26
22794 Barclays Bank plc China Mobile European Wts Oct 2010 D 0.24 82.18 2010/10/18 200,000,000 2010/05/26
22792 Barclays Bank plc CNOOC European Warrants Nov 2010 B 0.15 12.28 2010/11/22 200,000,000 2010/05/26
22800 Barclays Bank plc China Shenhua European Warrants Dec 2010 0.26 32.88 2010/12/13 150,000,000 2010/05/26
22819 Barclays Bank plc HSI European Warrants Aug 2010 G 0.24 18,800 per 8,000 units 2010/08/30 150,000,000 2010/05/26
22817 Barclays Bank plc HSI European Warrants Nov 2010 F 0.25 18,400 per 10,000 units 2010/11/29 150,000,000 2010/05/26
22822 Barclays Bank plc HSI European Put Warrants Nov 2010 H 0.25 18,300 per 8,000 units 2010/11/29 150,000,000 2010/05/26
22823 Barclays Bank plc HSI European Put Warrants Nov 2010 I 0.25 18,500 per 8,500 units 2010/11/29 150,000,000 2010/05/26
22820 BOCI Asia Ltd. PetroChina European Warrants May 2011 B 0.15 8.88 2011/05/03 100,000,000 2010/05/26
22834 Credit Suisse AG China Tel European Warrants Nov 2010 0.25 3.628 per unit 2010/11/29 100,000,000 2010/05/26
22840 Credit Suisse AG CM Bank European Warrants Dec 2010 A 0.25 19.08 2010/12/06 100,000,000 2010/05/26
22835 Credit Suisse AG China Shenhua European Warrants Nov 2010 0.25 34.28 2010/11/29 100,000,000 2010/05/26
22836 Credit Suisse AG Geely Auto European Warrants Dec 2010 0.25 3.48 per unit 2010/12/20 100,000,000 2010/05/26
22837 Credit Suisse AG KECL European Warrants Nov 2010 0.15 9.99 2010/11/29 100,000,000 2010/05/26
22838 Credit Suisse AG PetroChina European Warrants Apr 2011 A 0.15 8.89 2011/04/26 200,000,000 2010/05/26
22839 Credit Suisse AG SHK Ppt European Warrants Dec 2010 0.15 100.88 per 100 units 2010/12/06 100,000,000 2010/05/26
10970 Deutsche Bank AG EUR/USD European Warrants Dec 2010 0.25 1.35 per 1 units 2010/12/06 50,000,000 2010/05/26
10974 Deutsche Bank AG EUR/USD European Put Warrants Dec 2010 0.25 1.11 per 1 units 2010/12/06 50,000,000 2010/05/26
22830 Goldman Sachs SP (Asia) CC Bank European Wts Mar 2011 A 0.43 7.27 per unit 2011/03/30 200,000,000 2010/05/26
22828 Goldman Sachs SP (Asia) CC Bank European Wts Sep 2010 C 0.55 6 per unit 2010/09/29 200,000,000 2010/05/26
22829 Goldman Sachs SP (Asia) CC Bank European Wts Dec 2010 B 0.49 6.60 per unit 2010/12/30 200,000,000 2010/05/26
22826 Goldman Sachs SP (Asia) A50 China European Wts Oct 2010 0.15 11.37 2010/10/12 200,000,000 2010/05/26
22827 Goldman Sachs SP (Asia) A50 China European Wts Nov 2010 B 0.85 12.80 per unit 2010/11/29 200,000,000 2010/05/26
22832 Goldman Sachs SP (Asia) HSBC European Warrants Jan 2011 0.54 82 2011/01/28 200,000,000 2010/05/26
22833 Goldman Sachs SP (Asia) HSBC European Warrants Apr 2011 A 0.59 84 2011/04/28 200,000,000 2010/05/26
22831 Goldman Sachs SP (Asia) HSBC European Warrants Dec 2010 D 0.59 79 2010/12/30 200,000,000 2010/05/26
22806 Macquarie Bank Ltd. A50 China European Put Wts Apr 2011 0.15 11.58 2011/04/13 300,000,000 2010/05/26
22809 CC Rabobank B.A. Datang European Warrants Dec 2010 0.45 3.30 per unit 2010/12/30 100,000,000 2010/05/26
22810 CC Rabobank B.A. Dongfeng Motor European Warrants Mar 2011 0.25 10.8 2011/03/30 180,000,000 2010/05/26
22812 CC Rabobank B.A. Greentown China European Wts Mar 2011 0.25 10.4 2011/03/30 180,000,000 2010/05/26
22811 CC Rabobank B.A. GCL-Poly Energy European Warrants Jan 11 0.25 1.60 per unit 2011/01/28 120,000,000 2010/05/26
22813 CC Rabobank B.A. Maanshan Iron European Warrants Dec 2010 0.49 4.20 per unit 2010/12/30 100,000,000 2010/05/26
22807 CC Rabobank B.A. China Mengniu European Warrants Jan 2011 0.31 25 2011/01/28 100,000,000 2010/05/26
22815 CC Rabobank B.A. Poly HK Inv European Warrants Apr 2011 A 0.25 7.2 2011/04/28 250,000,000 2010/05/26
22814 CC Rabobank B.A. Parkson Group European Warrants Jan 2011 0.25 12.8 2011/01/28 150,000,000 2010/05/26
22808 CC Rabobank B.A. Yurun Food European Warrants Jan 2011 0.29 25 2011/01/28 100,000,000 2010/05/26
22816 CC Rabobank B.A. Yuexiu Property European Warrants Jan 11 0.3 1.85 per unit 2011/01/28 100,000,000 2010/05/26
22804 RB of Scotland N.V. HSBC European Warrants Jun 2011 A 0.15 69.444 per 93 units 2011/06/02 200,000,000 2010/05/26
22805 RB of Scotland N.V. HSBC European Warrants Sep 2011 0.15 73.037 per 93 units 2011/09/26 200,000,000 2010/05/26
22802 RB of Scotland N.V. HSI European Put Warrants Nov 2010 A 0.253 18,800 per 8,000 units 2010/11/29 400,000,000 2010/05/26
22803 RB of Scotland N.V. HSI European Put Warrants Nov 2010 B 0.251 19,200 per 9,000 units 2010/11/29 400,000,000 2010/05/26
22821 UBS AG Alibaba European Warrants Nov 2010 0.25 16.88 2010/11/29 100,000,000 2010/05/26
22825 UBS AG HSI European Put Warrants Dec 2010 D 0.15 17,000 per 8,200 units 2010/12/30 200,000,000 2010/05/26
22824 UBS AG HSI European Warrants Nov 2010 E 0.25 19,300 per 8,000 units 2010/11/29 200,000,000 2010/05/26
#
18325 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Oct 2010 0.031 83.593 per 93 units 2010/10/25 600,000,000 2010/05/26
22841 BOCI Asia Ltd. BYD European Warrants Dec 2010 0.15 62.88 per 100 units 2010/12/30 100,000,000 2010/05/27
22842 BOCI Asia Ltd. China Tel European Warrants Jun 2011 0.5 4.28 per unit 2011/06/30 100,000,000 2010/05/27
22865 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Jan 2011 A 0.25 7.38 per unit 2011/01/03 200,000,000 2010/05/27
22856 Deutsche Bank AG HSI European Put Warrants Aug 2010 K 0.15 19,200 per 7,000 units 2010/08/30 300,000,000 2010/05/27
22843 HK Bank Alibaba European Warrants Dec 2010 0.25 17.88 2010/12/23 100,000,000 2010/05/27
22844 HK Bank CITIC Bank European Warrants Nov 2010 0.25 5.50 per unit 2010/11/29 80,000,000 2010/05/27
22845 HK Bank CPIC European Warrants Feb 2011 0.25 38 2011/02/23 120,000,000 2010/05/27
22846 HK Bank China Shenhua European Warrants Nov 2010 B 0.25 34.88 2010/11/29 150,000,000 2010/05/27
22847 HK Bank ZTE European Warrants Nov 2010 0.25 31.88 2010/11/29 100,000,000 2010/05/27
22864 KBC Fin Products Int’l Ltd. Henderson Land Eu Put Wt Dec10 0.33 40 2010/12/10 50,000,000 2010/05/27
22850 Macquarie Bank Ltd. Agile Ppt European Warrants Dec 2010 0.151 8.88 2010/12/30 150,000,000 2010/05/27
22851 Macquarie Bank Ltd. CITIC Pacific European Warrants Feb 11 0.251 14.8 2011/02/02 200,000,000 2010/05/27
22853 Macquarie Bank Ltd. China Railway European Wts Dec 2010 0.259 5.80 per unit 2010/12/02 200,000,000 2010/05/27
22852 Macquarie Bank Ltd. CRCC European Warrants Dec 2010 0.328 11.86 per unit 2010/12/08 100,000,000 2010/05/27
22854 Macquarie Bank Ltd. Henderson Land Dev Euro Wts Dec 2010 0.25 53 2010/12/30 100,000,000 2010/05/27
22855 Macquarie Bank Ltd. Sino Land European Warrants Nov 2010 0.25 15.5 2010/11/30 150,000,000 2010/05/27
22848 SGA Societe Generale Acceptance N.V. BYD Euro Wts Nov 2010 0.16 54 per 100 units 2010/11/29 200,000,000 2010/05/27
22849 SGA Societe Generale Acceptance N.V. BYD Euro Wts May 2011 0.18 60.88 per 100 units 2011/05/23 200,000,000 2010/05/27
22860 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Nov 10 0.35 5.68 per unit 2010/11/29 120,000,000 2010/05/27
22862 SGA Societe Generale Acceptance N.V. HSI Eur Wt Nov 2010 C 0.25 20,900 per 8,000 units 2010/11/29 300,000,000 2010/05/27
22863 SGA Societe Generale Acceptance N.V. HSI Eur Wt Nov 2010 D 0.25 22,000 per 7,000 units 2010/11/29 300,000,000 2010/05/27
22861 SGA Societe Generale Acceptance N.V. HWL Eur Wt Nov 2010 B 0.22 56.88 2010/11/15 100,000,000 2010/05/27
22857 UBS AG Dongfeng Motor European Warrants Mar 2011 0.25 9.88 2011/03/28 100,000,000 2010/05/27
22858 UBS AG Geely Auto European Warrants Nov 2010 0.25 3.28 per unit 2010/11/29 100,000,000 2010/05/27
22859 UBS AG Sinopharm European Warrants Dec 2010 B 0.25 34.88 2010/12/28 100,000,000 2010/05/27
22877 BNP Paribas Arbit Issu B.V. CHALCO European Wts May 2012 0.25 6.18 2012/05/07 80,000,000 2010/05/28
22879 BNP Paribas Arbit Issu B.V. China Overseas Euro Wts Jun 11 0.25 16.88 2011/06/07 100,000,000 2010/05/28
22878 BNP Paribas Arbit Issu B.V. China Coal Euro Wts Mar 2011 0.25 10.38 2011/03/07 80,000,000 2010/05/28
22880 BNP Paribas Arbit Issu B.V. HKEx European Wts Jul 2011 B 0.25 118 per 100 units 2011/07/04 200,000,000 2010/05/28
22881 BNP Paribas Arbit Issu B.V. Tencent Holdings Eu Wts Mar 11 0.25 160.88 per 100 units 2011/03/07 100,000,000 2010/05/28
22874 Deutsche Bank AG China Life European Warrants Sep 2010 0.16 38 2010/09/28 300,000,000 2010/05/28
22875 Deutsche Bank AG China Life European Warrants Oct 2010 B 0.21 36 2010/10/11 300,000,000 2010/05/28
22876 Deutsche Bank AG HSI European Put Warrants Aug 2010 L 0.15 18,800 per 9,000 units 2010/08/30 300,000,000 2010/05/28
22886 Goldman Sachs SP (Asia) BOCL European Warrants Mar 2011 A 0.25 4.60 per unit 2011/03/30 200,000,000 2010/05/28
22883 Goldman Sachs SP (Asia) BOCL European Warrants Oct 2010 A 0.28 3.99 per unit 2010/10/25 200,000,000 2010/05/28
22884 Goldman Sachs SP (Asia) BOCL European Warrants Oct 2010 B 0.15 4.50 per unit 2010/10/27 200,000,000 2010/05/28
22885 Goldman Sachs SP (Asia) BOCL European Warrants Nov 2010 B 0.19 4.38 per unit 2010/11/29 200,000,000 2010/05/28
22882 Goldman Sachs SP (Asia) HSI European Put Wts Nov 2010 K 0.25 18,400 per 7,000 units 2010/11/29 200,000,000 2010/05/28
22872 Goldman Sachs SP (Asia) Tencent Holdings European Wt Oct10 0.21 138.88 per 100 units 2010/10/28 200,000,000 2010/05/28
22873 Goldman Sachs SP (Asia) Tencent Holdings European Wt Nov10 0.16 153.88 per 100 units 2010/11/29 200,000,000 2010/05/28
22869 HK Bank HSI European Put Warrants Nov 2010 A 0.25 19,500 per 10,000 units 2010/11/29 150,000,000 2010/05/28
22870 HK Bank HSI European Put Warrants Nov 2010 B 0.25 18,500 per 9,000 units 2010/11/29 150,000,000 2010/05/28
22868 Macquarie Bank Ltd. CM Bank European Put Warrants Feb 2011 0.251 16 2011/02/02 150,000,000 2010/05/28
22867 Macquarie Bank Ltd. Evergrande European Warrants Dec 2010 0.254 2.88 per unit 2010/12/30 88,000,000 2010/05/28
22871 UBS AG Ch LongYuan European Warrants Dec 2010 0.15 7.29 2010/12/13 100,000,000 2010/05/28
22887 BOCI Asia Ltd. Ch Comm Cons European Warrants Dec 2010 0.5 8 per unit 2010/12/03 100,000,000 2010/05/31
22888 BOCI Asia Ltd. CPIC European Warrants Mar 2011 0.5 32.8 2011/03/30 100,000,000 2010/05/31
22889 BOCI Asia Ltd. A50 China European Put Warrants May 2011 0.25 11.88 2011/05/30 100,000,000 2010/05/31
22892 Deutsche Bank AG China Mobile European Warrants Dec 2011 0.25 73 per 100 units 2011/12/19 300,000,000 2010/05/31
22895 Deutsche Bank AG Tencent Holdings European Warrants Nov10A 0.15 153.88 per 100 units 2010/11/08 300,000,000 2010/05/31
22893 Macquarie Bank Ltd. PetroChina European Wts Sep 2010 0.155 9.99 per unit 2010/09/13 100,000,000 2010/05/31
22894 Macquarie Bank Ltd. PetroChina European Wts Dec 2010 0.508 9 per unit 2010/12/01 100,000,000 2010/05/31
22890 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Aug 11 0.25 8.5 2011/08/29 200,000,000 2010/05/31
22891 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Oct 11 0.25 9 2011/10/24 200,000,000 2010/05/31
#
19457 Citigroup Global Mkt H Inc. BYD European Warrants Nov 2010 0.054 68.88 per 100 units 2010/11/22 200,000,000 2010/05/31
#
20222 CC Rabobank B.A. CC Bank European Warrants Sep 2010 A 0.044 8 per unit 2010/09/29 250,000,000 2010/05/31
22914 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Dec 2010 A 0.25 18,400 per 9,000 units 2010/12/30 200,000,000 2010/06/01
22915 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Dec 2010 B 0.25 18,800 per 10,000 units 2010/12/30 200,000,000 2010/06/01
22908 Credit Suisse AG HSBC European Wts Dec 2010 A 0.15 62.95 per 93 units 2010/12/28 200,000,000 2010/06/01
22907 Credit Suisse AG HSI European Warrants Dec 2010 A 0.25 18,400 per 8,500 units 2010/12/30 255,000,000 2010/06/01
22909 Credit Suisse AG HSI European Put Warrants Dec 2010 B 0.25 18,300 per 8,000 units 2010/12/30 200,000,000 2010/06/01
22910 Deutsche Bank AG China Life European Warrants Dec 2010 A 0.31 34 2010/12/06 300,000,000 2010/06/01
22911 Deutsche Bank AG HSI European Put Warrants Dec 2010 A 0.25 17,200 per 8,000 units 2010/12/30 300,000,000 2010/06/01
22912 Deutsche Bank AG HSI European Put Warrants Dec 2010 B 0.25 18,000 per 9,000 units 2010/12/30 300,000,000 2010/06/01
22913 Goldman Sachs SP (Asia) HSI European Put Wts Dec 2010 A 0.18 17,800 per 9,000 units 2010/12/30 200,000,000 2010/06/01
22900 HK Bank A50 China European Warrants Oct 2010 0.15 11.4 2010/10/05 120,000,000 2010/06/01
22897 J P Morgan Int’l Der. Ltd. CC Bank European Wts Dec 2010 A 0.447 6.60 per unit 2010/12/01 100,000,000 2010/06/01
22896 J P Morgan SP BV CITIC Bank European Warrants Dec 2010 A 0.402 4.88 per unit 2010/12/01 100,000,000 2010/06/01
22898 J P Morgan SP BV Chi Res Land European Warrants Dec 2010 A 0.25 16 2010/12/01 100,000,000 2010/06/01
22899 J P Morgan SP BV Tencent European Warrants Dec 2010 0.25 148.88 per 100 units 2010/12/01 200,000,000 2010/06/01
22917 KBC Fin Products Int’l Ltd. China Life Euro Wts Dec 2010 A 0.25 36.68 2010/12/01 200,000,000 2010/06/01
22916 KBC Fin Products Int’l Ltd. HSBC European Wts Dec 2010 C 0.15 61.10 per 93 units 2010/12/22 258,000,000 2010/06/01
22920 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Dec 2010 E 0.25 56 2010/12/01 108,000,000 2010/06/01
22918 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Sep 2010 0.26 5 per unit 2010/09/15 100,000,000 2010/06/01
22919 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Jun 2011A 0.25 102.88 per 100 units 2011/06/01 80,000,000 2010/06/01
22901 Macquarie Bank Ltd. China Overseas European Wts Mar 2011 0.25 18.88 2011/03/07 150,000,000 2010/06/01
22902 Macquarie Bank Ltd. HSBC European Warrants May 2011 0.15 66 per 100 units 2011/05/30 200,000,000 2010/06/01
22903 Macquarie Bank Ltd. HSBC European Warrants Dec 2010 H 0.481 80 2010/12/02 200,000,000 2010/06/01
22904 Macquarie Bank Ltd. Hutchison European Warrants Dec 2010 B 0.253 55 2010/12/01 150,000,000 2010/06/01
22905 Macquarie Bank Ltd. Lenovo European Warrants Dec 2010 0.416 6 per unit 2010/12/01 88,000,000 2010/06/01
22906 Macquarie Bank Ltd. Tingyi European Warrants Mar 2011 0.25 20 2011/03/04 150,000,000 2010/06/01
22921 Citigroup Global Mkt H Inc. CNBM European Warrants Dec 10 0.15 13.68 2010/12/28 120,000,000 2010/06/02
22922 Citigroup Global Mkt H Inc. CPIC European Warrants Dec 10 0.25 33.33 2010/12/02 120,000,000 2010/06/02
22923 Citigroup Global Mkt H Inc. Lenovo European Warrants Jan11 0.25 6 per unit 2011/01/24 80,000,000 2010/06/02
22928 HK Bank China EB Ltd European Warrants Dec 2010 0.25 18.58 2010/12/02 120,000,000 2010/06/02
22929 HK Bank Geely Auto European Warrants Dec 2010 B 0.25 3 per unit 2010/12/02 100,000,000 2010/06/02
22931 HK Bank Sinopharm European Warrants Dec 2010 0.25 30.88 2010/12/02 120,000,000 2010/06/02
22932 J P Morgan SP BV R&F Ppt European Warrants Feb 2011 0.25 8.88 2011/02/28 80,000,000 2010/06/02
22933 J P Morgan SP BV HSBC European Warrants Sep 2011 B 0.15 68.88 per 100 units 2011/09/22 300,000,000 2010/06/02
22942 Macquarie Bank Ltd. Tencent European Warrants Dec 2010 B 0.251 145 per 100 units 2010/12/02 250,000,000 2010/06/02
22937 CC Rabobank B.A. Anta Sports European Warrants Jan 2011 0.28 14 2011/01/28 120,000,000 2010/06/02
22938 CC Rabobank B.A. China Agri European Warrants Feb 2011 0.25 9.4 2011/02/25 180,000,000 2010/06/02
22939 CC Rabobank B.A. China Oilfield European Warrants Feb 2011 0.25 9.8 2011/02/25 180,000,000 2010/06/02
22940 CC Rabobank B.A. Golden Eagle European Warrants Jan 2011 0.3 16 2011/01/28 120,000,000 2010/06/02
22941 CC Rabobank B.A. Lee & Man Paper European Warrants Apr 11 0.25 6.4 2011/04/28 300,000,000 2010/06/02
22924 SGA Societe Generale Acceptance N.V. HSI Eur Wt Nov 2010 E 0.23 19,600 per 9,000 units 2010/11/29 300,000,000 2010/06/02
22925 SGA Societe Generale Acceptance N.V. HSI Eur Wt Nov 2010 F 0.23 20,200 per 8,000 units 2010/11/29 300,000,000 2010/06/02
22926 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec 10C 0.25 17,000 per 8,000 units 2010/12/30 300,000,000 2010/06/02
22927 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec 10D 0.25 17,500 per 8,500 units 2010/12/30 300,000,000 2010/06/02
22935 UBS AG HSI European Warrants Nov 2010 F 0.2 18,400 per 10,000 units 2010/11/29 200,000,000 2010/06/02
22936 UBS AG HSI European Put Warrants Dec 2010 E 0.18 18,000 per 8,500 units 2010/12/30 200,000,000 2010/06/02
22934 UBS AG Hutchison European Warrants Dec 2010 B 0.15 59.88 2010/12/23 100,000,000 2010/06/02
#
17277 CC Rabobank B.A. HSBC European Warrants Jun 2011 0.118 66 per 100 units 2011/06/01 200,000,000 2010/06/02
22958 BOCI Asia Ltd. HSI European Put Warrants Dec 2010 0.25 18,400 per 8,000 units 2010/12/30 100,000,000 2010/06/03
22954 BOCI Asia Ltd. HSI European Warrants Dec 2010 C 0.25 19,800 per 8,000 units 2010/12/30 100,000,000 2010/06/03
22957 Deutsche Bank AG BOCL European Warrants Oct 2010 B 0.47 3.68 per unit 2010/10/25 200,000,000 2010/06/03
22959 Deutsche Bank AG CC Bank European Warrants Nov 2010 B 0.35 7 per unit 2010/11/29 200,000,000 2010/06/03
22960 Deutsche Bank AG HSBC European Warrants Dec 2010 B 0.15 63 per 93 units 2010/12/20 300,000,000 2010/06/03
22953 HK Bank Dongfeng Motor European Warrants Mar 2011 0.15 10.82 2011/03/23 120,000,000 2010/06/03
22955 J P Morgan SP BV PetroChina European Warrants Jun 2011 0.15 7.89 2011/06/15 300,000,000 2010/06/03
22956 J P Morgan SP BV Stanchart European Warrants Dec 2010 0.25 188.88 per 100 units 2010/12/06 200,000,000 2010/06/03
22949 Nomura Int’l plc CC Bank European Warrants Dec 2010 B 0.41 6.38 per unit 2010/12/31 100,000,000 2010/06/03
22950 Nomura Int’l plc CC Bank European Warrants Dec 2010 C 0.28 6.88 per unit 2010/12/31 100,000,000 2010/06/03
22951 Nomura Int’l plc China Life European Warrants Dec 2010 A 0.29 35.88 2010/12/31 100,000,000 2010/06/03
22952 Nomura Int’l plc China Life European Warrants Dec 2010 B 0.25 39.88 2010/12/31 100,000,000 2010/06/03
22947 Nomura Int’l plc CNOOC European Warrants Nov 2010 B 0.15 12.298 2010/11/15 100,000,000 2010/06/03
22948 Nomura Int’l plc CNOOC European Warrants Jun 2011 A 0.165 13.188 2011/06/30 100,000,000 2010/06/03
22943 Nomura Int’l plc HSBC European Warrants Sep 2011 0.15 68.888 per 100 units 2011/09/30 100,000,000 2010/06/03
22944 Nomura Int’l plc Hutchison European Warrants Dec 2010 B 0.25 53.88 2010/12/31 100,000,000 2010/06/03
22946 Nomura Int’l plc PetroChina European Warrants Jun 2011 0.15 7.888 2011/06/15 100,000,000 2010/06/03
22945 Nomura Int’l plc Tencent Holdings European Warrants Dec10B 0.25 168 per 100 units 2010/12/31 100,000,000 2010/06/03
22962 BOCI Asia Ltd. A50 China European Warrants Oct 2010 0.15 11.38 2010/10/12 100,000,000 2010/06/04
22970 Credit Suisse AG China Mobile European Warrants Oct 2010 B 0.15 83 2010/10/18 200,000,000 2010/06/04
22972 Credit Suisse AG A50 China European Put Warrants Feb 2011 0.15 11.9 2011/02/21 300,000,000 2010/06/04
22971 Credit Suisse AG HSBC European Wts Dec 2011 0.15 77.70 per 93 units 2011/12/12 300,000,000 2010/06/04
22969 Credit Suisse AG Tencent Holdings European Wts Sep 2010 B 0.15 158 per 100 units 2010/09/06 200,000,000 2010/06/04
22961 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt Jan 2011 B 0.25 14.88 2011/01/31 120,000,000 2010/06/04
22965 Macquarie Bank Ltd. Bank of EA European Warrants Dec 2010 0.25 30 2010/12/30 150,000,000 2010/06/04
22966 Macquarie Bank Ltd. Yurun Food European Warrants Dec 2010 0.25 24.5 2010/12/30 100,000,000 2010/06/04
22963 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Oct 10C 0.26 82.18 2010/10/18 100,000,000 2010/06/04
22968 SGA Societe Generale Acceptance N.V. HSBC Eu Wt May 2011 A 0.15 69.45 per 93 units 2011/05/30 300,000,000 2010/06/04
22964 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Feb 11A 0.25 168.70 per 100 units 2011/02/21 120,000,000 2010/06/04
#
22477 UBS AG A50 China European Warrants Nov 2010 B 0.082 12.7 2010/11/22 200,000,000 2010/06/04
22982 Deutsche Bank AG China Telecom European Wts Dec 2010 0.38 4 per unit 2010/12/28 100,000,000 2010/06/07
22984 Deutsche Bank AG China Life European Put Wts Dec 2010 0.25 30 2010/12/28 300,000,000 2010/06/07
22981 Deutsche Bank AG HSI European Warrants Dec 2010 C 0.25 19,800 per 8,000 units 2010/12/30 300,000,000 2010/06/07
22980 Deutsche Bank AG HSI European Warrants Nov 2010 F 0.19 20,200 per 8,000 units 2010/11/29 300,000,000 2010/06/07
22983 Deutsche Bank AG Hutchison European Warrants Dec 2010 0.28 54 2010/12/28 150,000,000 2010/06/07
22973 Macquarie Bank Ltd. Cheung Kong European Warrants Jan 2011 0.353 100 2011/01/04 200,000,000 2010/06/07
22974 Macquarie Bank Ltd. Renhe Comm European Warrants Dec 2010 0.25 2 per unit 2010/12/13 88,000,000 2010/06/07
22979 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jan 2011 A 0.25 20,500 per 9,000 units 2011/01/28 300,000,000 2010/06/07
22977 SGA Societe Generale Acceptance N.V. HSI Eur Wt Dec 2010 E 0.25 21,800 per 8,000 units 2010/12/30 300,000,000 2010/06/07
22978 SGA Societe Generale Acceptance N.V. HSI Eur Wt Dec 2010 F 0.25 22,500 per 7,500 units 2010/12/30 300,000,000 2010/06/07
22975 UBS AG China Mobile European Put Warrants Nov 2010 0.435 67.6 2010/11/29 100,000,000 2010/06/07
22976 UBS AG HSBC European Put Warrants Nov 2010 0.415 62.88 2010/11/22 100,000,000 2010/06/07
#
22535 Credit Suisse AG A50 China European Warrants Oct 2010 0.119 11.39 2010/10/04 300,000,000 2010/06/07
22990 Credit Suisse AG HSI European Put Warrants Nov 2010 A 0.15 19,000 per 8,000 units 2010/11/29 240,000,000 2010/06/08
22987 Credit Suisse AG Ping An European Warrants Sep 2010 0.15 69.98 2010/09/27 200,000,000 2010/06/08
22988 Credit Suisse AG Tencent Holdings European Wts Oct 2010 B 0.15 160.80 per 100 units 2010/10/11 200,000,000 2010/06/08
22989 Credit Suisse AG Tencent Holdings European Wts Nov 2010 A 0.15 153.80 per 100 units 2010/11/08 200,000,000 2010/06/08
10971 Deutsche Bank AG USD/YEN European Warrants Dec 2010 0.25 96 per 1 units 2010/12/13 50,000,000 2010/06/08
10975 Deutsche Bank AG USD/YEN European Put Warrants Dec 2010 0.25 84 per 1 units 2010/12/13 50,000,000 2010/06/08
22985 Macquarie Bank Ltd. GCL-Poly Energy European Warrants Dec10 0.251 1.88 per unit 2010/12/28 80,000,000 2010/06/08
22991 UBS AG HSI European Warrants Dec 2010 F 0.25 21,200 per 8,000 units 2010/12/30 200,000,000 2010/06/08
22986 UBS AG Tencent Holdings European Warrants Dec 2010 A 0.25 145.88 per 100 units 2010/12/13 200,000,000 2010/06/08
#
22634 Credit Suisse AG HSI European Put Warrants Aug 2010 I 0.124 19,400 per 9,000 units 2010/08/30 180,000,000 2010/06/08
#
22748 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Oct 2010 C 0.121 11.39 2010/10/05 300,000,000 2010/06/08
23009 Credit Suisse AG A50 China European Warrants Jan 2011 B 0.25 10.88 2011/01/24 300,000,000 2010/06/09
23010 Credit Suisse AG A50 China European Warrants Feb 2011 0.25 11.02 2011/02/14 300,000,000 2010/06/09
22992 Citigroup Global Mkt H Inc. Poly HK Inv Euro Wts Jul 2011 0.25 8 2011/07/25 80,000,000 2010/06/09
22993 HK Bank Geely Auto European Warrants Dec 2010 C 0.25 3.50 per unit 2010/12/09 120,000,000 2010/06/09
23000 J P Morgan SP BV Ch Railway Cons European Warrants Jun11A 0.25 8.88 2011/06/27 200,000,000 2010/06/09
23005 CC Rabobank B.A. Anhui Conch European Warrants Dec 2010 0.49 29 2010/12/30 100,000,000 2010/06/09
23004 CC Rabobank B.A. CHALCO European Warrants Jun 2011 0.19 7.38 2011/06/22 250,000,000 2010/06/09
23006 CC Rabobank B.A. Foxconn European Warrants Jul 2011 0.25 6.8 2011/07/28 300,000,000 2010/06/09
23008 RB of Scotland N.V. CC Bank European Warrants Oct 2010 0.16 7.38 per unit 2010/10/11 250,000,000 2010/06/09
23007 RB of Scotland N.V. CC Bank European Warrants Sep 2010 B 0.217 6.88 per unit 2010/09/20 250,000,000 2010/06/09
22994 SGA Societe Generale Acceptance N.V. CCB Eur Wt Oct 2010 B 0.43 6.38 per unit 2010/10/27 80,000,000 2010/06/09
22995 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Dec 2010 C 0.26 88.88 2010/12/15 100,000,000 2010/06/09
22996 SGA Societe Generale Acceptance N.V. Petch Eu Wt Jun 2011 0.15 7.88 2011/06/20 300,000,000 2010/06/09
23001 UBS AG CC Bank European Warrants Dec 2010 B 0.25 6.78 per unit 2010/12/20 100,000,000 2010/06/09
22999 UBS AG Sinopec Corp European Warrants Dec 2010 B 0.25 6.98 per unit 2010/12/13 100,000,000 2010/06/09
23003 UBS AG China Shenhua European Warrants Dec 2010 B 0.25 35.88 2010/12/20 100,000,000 2010/06/09
22998 UBS AG A50 China European Put Warrants Apr 2011 0.15 11.58 2011/04/11 100,000,000 2010/06/09
23002 UBS AG Jiangxi Copper European Warrants Dec 2010 0.15 16.88 2010/12/28 100,000,000 2010/06/09
23018 Credit Suisse AG HSI European Put Warrants Sep 2010 0.15 20,500 per 9,000 units 2010/09/29 315,000,000 2010/06/10
23011 Citigroup Global Mkt H Inc. Bank of EA European Wts Dec10 0.25 31.88 2010/12/30 100,000,000 2010/06/10
23012 Citigroup Global Mkt H Inc. COSCO Pacific Euro Wts Jul 11 0.25 11.99 2011/07/25 120,000,000 2010/06/10
23013 Citigroup Global Mkt H Inc. Dongfeng European Wts Mar 2011 0.15 9.88 2011/03/28 120,000,000 2010/06/10
10972 Deutsche Bank AG Nikkei 225 Index European Wts Dec 2010 0.26 10,000 per 350 units 2010/12/10 100,000,000 2010/06/10
10976 Deutsche Bank AG Nikkei 225 Index Euro Put Wts Dec 2010 0.25 9,500 per 350 units 2010/12/10 100,000,000 2010/06/10
23014 Deutsche Bank AG Tencent Holdings European Put Wts Dec 10 0.25 150 per 100 units 2010/12/28 100,000,000 2010/06/10
23015 CC Rabobank B.A. Sinopharm European Warrants Dec 2010 0.32 34 2010/12/30 100,000,000 2010/06/10
23016 CC Rabobank B.A. Skyworth Digital European Warrants Jun 11 0.25 7.4 2011/06/29 250,000,000 2010/06/10
23022 CC Rabobank B.A. Sino Ocean Land European Warrants May 12 0.25 6.5 2012/05/30 300,000,000 2010/06/10
23017 RB of Scotland N.V. Jiangxi Copper European Wts Dec 2010 0.25 16.88 2010/12/31 250,000,000 2010/06/10
23019 UBS AG BankComm European Warrants Jan 2012 0.16 7.8 2012/01/30 200,000,000 2010/06/10
23020 UBS AG BYD European Warrants May 2011 A 0.15 70 per 100 units 2011/05/30 100,000,000 2010/06/10
23021 UBS AG A50 China European Warrants Jun 2011 A 0.25 11.88 2011/06/13 100,000,000 2010/06/10
#
22535 Credit Suisse AG A50 China European Warrants Oct 2010 0.106 11.39 2010/10/04 500,000,000 2010/06/10
23024 Barclays Bank plc CC Bank European Warrants Dec 2010 0.34 6.88 per unit 2010/12/20 100,000,000 2010/06/11
23026 Barclays Bank plc Ch LongYuan European Warrants Dec 2010 B 0.15 8.08 2010/12/28 150,000,000 2010/06/11
23027 Barclays Bank plc HKEx European Warrants Jul 2011 0.15 133.88 per 100 units 2011/07/18 150,000,000 2010/06/11
23028 Barclays Bank plc HSBC European Warrants Sep 2011 0.15 68.88 per 100 units 2011/09/26 150,000,000 2010/06/11
23025 Barclays Bank plc Tencent Holdings European Warrants Dec10A 0.15 168 per 100 units 2010/12/28 150,000,000 2010/06/11
23029 CC Rabobank B.A. Ch Mobile European Warrants Oct 2010 B 0.3 80 2010/10/18 150,000,000 2010/06/11
23030 CC Rabobank B.A. CPIC European Warrants Dec 2010 0.45 32.8 2010/12/30 100,000,000 2010/06/11
23031 CC Rabobank B.A. CPIC European Warrants Jan 2011 0.4 34.8 2011/01/28 150,000,000 2010/06/11
23032 CC Rabobank B.A. Ch Ship Cont European Warrants Dec 2010 0.53 3.03 per unit 2010/12/30 100,000,000 2010/06/11
23033 CC Rabobank B.A. Tsingtao Brew European Warrants Dec 2010 0.7 45 2010/12/30 100,000,000 2010/06/11
23023 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 2011 0.15 73 per 100 units 2011/12/12 800,000,000 2010/06/11
23037 HK Bank BYD European Warrants May 2011 0.15 70 per 100 units 2011/05/31 120,000,000 2010/06/14
23038 Macquarie Bank Ltd. China Shenhua European Wts Jan 2011 0.291 33 2011/01/04 200,000,000 2010/06/14
23039 Macquarie Bank Ltd. HKEx European Warrants Jul 2011 A 0.17 118 per 100 units 2011/07/05 200,000,000 2010/06/14
23040 Macquarie Bank Ltd. Sinopharm European Warrants Dec 2010 0.252 33.88 2010/12/14 200,000,000 2010/06/14
23043 CC Rabobank B.A. BOCL European Warrants Dec 2010 0.53 3.80 per unit 2010/12/30 150,000,000 2010/06/14
23044 CC Rabobank B.A. CC Bank European Warrants Dec 2010 A 0.67 6.20 per unit 2010/12/30 150,000,000 2010/06/14
23045 CC Rabobank B.A. CC Bank European Warrants Nov 2012 0.15 6 2012/11/05 200,000,000 2010/06/14
23046 CC Rabobank B.A. CM Bank European Warrants Dec 2010 B 0.25 18.4 2010/12/30 100,000,000 2010/06/14
23047 CC Rabobank B.A. Sinopec Corp European Warrants Dec 2010 B 0.58 6.20 per unit 2010/12/30 150,000,000 2010/06/14
23042 CC Rabobank B.A. A50 China European Warrants Apr 2012 0.25 11.6 2012/04/27 200,000,000 2010/06/14
23049 CC Rabobank B.A. HSBC European Warrants Sep 2010 C 0.57 75 2010/09/30 100,000,000 2010/06/14
23048 CC Rabobank B.A. Hutchison European Warrants Dec 2010 0.4 50 2010/12/30 100,000,000 2010/06/14
23050 CC Rabobank B.A. ICBC European Warrants Dec 2010 C 0.68 5.80 per unit 2010/12/30 150,000,000 2010/06/14
23052 CC Rabobank B.A. PetroChina European Warrants Jun 2011 0.15 7.88 2011/06/22 200,000,000 2010/06/14
23034 RB of Scotland N.V. China Life European Wts Nov 2010 C 0.194 38.85 2010/11/17 250,000,000 2010/06/14
23035 RB of Scotland N.V. ICBC European Warrants Dec 2010 B 0.415 6.388 per unit 2010/12/31 250,000,000 2010/06/14
23036 RB of Scotland N.V. Tencent Holdings European Wts Dec 2010 0.15 168.08 per 100 units 2010/12/31 250,000,000 2010/06/14
23041 UBS AG HSI European Warrants Dec 2010 G 0.15 22,500 per 7,500 units 2010/12/30 200,000,000 2010/06/14
#
22344 Credit Suisse AG A50 China European Put Warrants Jan 2011 0.162 12.26 2011/01/24 400,000,000 2010/06/14
#
22969 Credit Suisse AG Tencent Holdings European Wts Sep 2010 B 0.046 158 per 100 units 2010/09/06 300,000,000 2010/06/14
23054 Deutsche Bank AG CNOOC European Warrants Dec 2010 0.19 11.38 2010/12/06 150,000,000 2010/06/15
10973 Deutsche Bank AG DJIA European Warrants Dec 2010 C 0.27 10,000 per 30,000 units 2010/12/20 150,000,000 2010/06/15
10977 Deutsche Bank AG DJIA European Put Warrants Dec 2010 D 0.25 9,000 per 30,000 units 2010/12/20 150,000,000 2010/06/15
10978 Deutsche Bank AG Gold European Put Warrants Dec 2010 0.25 1,208 per 4,000 units 2010/12/21 50,000,000 2010/06/15
23055 Deutsche Bank AG HKEx European Warrants Jun 2011 B 0.18 118 per 100 units 2011/06/27 200,000,000 2010/06/15
23058 Deutsche Bank AG HSI European Warrants Nov 2010 G 0.2 19,000 per 9,000 units 2010/11/29 300,000,000 2010/06/15
23053 J P Morgan SP BV HSBC European Warrants Dec 2010 C 0.265 83.88 2010/12/15 100,000,000 2010/06/15
23056 UBS AG HKEx European Warrants Jul 2011 A 0.15 133.88 per 100 units 2011/07/18 200,000,000 2010/06/15
23057 UBS AG Tencent Holdings European Warrants Feb 2011 A 0.15 168.80 per 100 units 2011/02/14 200,000,000 2010/06/15
#
19181 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Oct10A 0.026 169.99 per 100 units 2010/10/18 500,000,000 2010/06/15
23069 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Jan 2011 B 0.27 6.68 per unit 2011/01/03 200,000,000 2010/06/17
23060 Citigroup Global Mkt H Inc. Agile Ppt European Wts Jun 11 0.15 8.88 2011/06/28 100,000,000 2010/06/17
23061 Citigroup Global Mkt H Inc. BOC HK European Wts Mar 2011 0.25 18 2011/03/28 100,000,000 2010/06/17
23062 Citigroup Global Mkt H Inc. CC Bank European Wts Dec 2010 0.25 6.68 per unit 2010/12/28 120,000,000 2010/06/17
23063 Citigroup Global Mkt H Inc. Chi Res Power Euro Wts Jun 11 0.25 18 2011/06/27 80,000,000 2010/06/17
23068 Citigroup Global Mkt H Inc. A50 China Euro Wts Jan 2011 C 0.38 13.18 per unit 2011/01/24 100,000,000 2010/06/17
23066 Citigroup Global Mkt H Inc. Link Reit European Wts May 11A 0.25 20.88 2011/05/30 80,000,000 2010/06/17
23064 Citigroup Global Mkt H Inc. SHK Ppt European Wts Aug 2011A 0.15 117.50 per 100 units 2011/08/08 80,000,000 2010/06/17
23067 Citigroup Global Mkt H Inc. SPDR Gold T European Wts May11 0.25 999 per 100 units 2011/05/30 80,000,000 2010/06/17
23065 Citigroup Global Mkt H Inc. Tencent European Warrants Mar11 0.15 160.88 per 100 units 2011/03/04 100,000,000 2010/06/17
23103 Deutsche Bank AG Tencent Holdings European Warrants Oct10B 0.15 138.88 per 100 units 2010/10/25 200,000,000 2010/06/17
23104 Deutsche Bank AG Tencent Holdings European Warrants Nov10B 0.15 145 per 100 units 2010/11/29 200,000,000 2010/06/17
23087 J P Morgan SP BV BOCL European Warrants Nov 2010 0.288 3.88 per unit 2010/11/01 100,000,000 2010/06/17
23088 J P Morgan Int’l Der. Ltd. CC Bank European Wts Dec 2010 B 0.507 6.08 per unit 2010/12/17 100,000,000 2010/06/17
23089 J P Morgan SP BV CNOOC European Warrants Dec 2010 0.255 10.88 2010/12/17 200,000,000 2010/06/17
23090 J P Morgan SP BV CNOOC European Warrants May 2011 0.25 12.88 2011/05/05 200,000,000 2010/06/17
23059 Macquarie Bank Ltd. CC Bank European Put Warrants Nov 10B 0.576 5.88 per unit 2010/11/05 188,000,000 2010/06/17
23070 Macquarie Bank Ltd. A50 China European Warrants Jan 2011 B 0.177 10.88 2011/01/24 200,000,000 2010/06/17
23102 RB of Scotland N.V. Tencent Holdings European Wts Nov 10B 0.151 145.08 per 100 units 2010/11/25 250,000,000 2010/06/17
23071 SGA Societe Generale Acceptance N.V. CCB Eur Wt Oct 2010 C 0.18 7.18 per unit 2010/10/25 120,000,000 2010/06/17
23072 SGA Societe Generale Acceptance N.V. CCB Eur Wt Nov 2010 A 0.28 6.78 per unit 2010/11/08 120,000,000 2010/06/17
23073 SGA Societe Generale Acceptance N.V. CCB Eur Wt Nov 2010 B 0.26 7 per unit 2010/11/29 120,000,000 2010/06/17
23074 SGA Societe Generale Acceptance N.V. CCB Eur Wt Dec 2010 A 0.72 5.69 per unit 2010/12/22 120,000,000 2010/06/17
23075 SGA Societe Generale Acceptance N.V. CCB Eur Wt Dec 2010 B 0.39 6.55 per unit 2010/12/22 120,000,000 2010/06/17
23077 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jan 2011 B 0.32 6.98 per unit 2011/01/24 120,000,000 2010/06/17
23094 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 10B 0.63 75 2010/12/20 80,000,000 2010/06/17
23095 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 10C 0.45 80 2010/12/20 80,000,000 2010/06/17
23078 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jan 11A 0.55 79 2011/01/31 80,000,000 2010/06/17
23096 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jan 11B 0.35 86 2011/01/24 80,000,000 2010/06/17
23091 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Oct 2010 0.15 11.37 2010/10/11 300,000,000 2010/06/17
23092 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Nov 10C 1.16 12.80 per unit 2010/11/29 50,000,000 2010/06/17
23093 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Feb2011A 0.25 10.38 2011/02/23 300,000,000 2010/06/17
23079 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2013 0.16 83.88 per 100 units 2013/02/06 500,000,000 2010/06/17
23097 SGA Societe Generale Acceptance N.V. HSBC Eu Put Wt Dec 11 0.25 76.88 per 100 units 2011/12/19 500,000,000 2010/06/17
23080 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Oct 2010 B 0.38 5.89 per unit 2010/10/04 120,000,000 2010/06/17
23081 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Nov 2010 A 0.42 5.99 per unit 2010/11/08 120,000,000 2010/06/17
23082 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Nov 2010 B 0.33 6.38 per unit 2010/11/29 120,000,000 2010/06/17
23083 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Dec 2010 B 0.85 5.21 per unit 2010/12/22 120,000,000 2010/06/17
23084 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Dec 2010 C 0.49 6 per unit 2010/12/22 120,000,000 2010/06/17
23085 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jan 2011 A 0.7 5.61 per unit 2011/01/24 120,000,000 2010/06/17
23086 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jan 2011 B 0.42 6.39 per unit 2011/01/24 120,000,000 2010/06/17
23101 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Feb 11B 0.25 136.88 per 100 units 2011/02/21 150,000,000 2010/06/17
23098 UBS AG A50 China European Warrants Jan 2011 0.15 10.88 2011/01/17 100,000,000 2010/06/17
23099 UBS AG HKEx European Put Warrants May 2011 C 0.25 116.88 per 100 units 2011/05/16 200,000,000 2010/06/17
23100 UBS AG Tencent Holdings European Put Warrants Apr 2011 0.25 136.88 per 100 units 2011/04/11 200,000,000 2010/06/17
#
21742 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Oct 10 0.021 169.90 per 100 units 2010/10/13 500,000,000 2010/06/17
23117 Barclays Bank plc BOCL European Warrants Jan 2011 0.29 4.28 per unit 2011/01/17 100,000,000 2010/06/18
23121 Barclays Bank plc BOCL European Put Warrants Jan 2011 0.25 3.45 per unit 2011/01/17 100,000,000 2010/06/18
23114 Barclays Bank plc China Mobile European Wts Dec 2011 0.15 73 per 100 units 2011/12/19 150,000,000 2010/06/18
23113 Barclays Bank plc ChiUnicom European Warrants Jun 2011 0.15 9.88 2011/06/13 100,000,000 2010/06/18
23116 Barclays Bank plc China Life European Warrants Jan 2011 0.28 36.88 2011/01/31 100,000,000 2010/06/18
23119 Barclays Bank plc China Life European Put Wts Jan 2011 0.26 30.88 2011/01/31 100,000,000 2010/06/18
23120 Barclays Bank plc CM Bank European Put Warrants Jan 2011 0.16 16 2011/01/31 100,000,000 2010/06/18
23111 Barclays Bank plc Sinopec Corp European Wts Jan 2011 0.35 6.88 per unit 2011/01/17 100,000,000 2010/06/18
23115 Barclays Bank plc CPIC European Warrants Jan 2011 0.26 32.5 2011/01/31 100,000,000 2010/06/18
23118 Barclays Bank plc HSI European Warrants Dec 2010 B 0.26 18,100 per 10,000 units 2010/12/30 150,000,000 2010/06/18
23122 Barclays Bank plc HSI European Put Warrants Dec 2010 C 0.25 17,500 per 7,500 units 2010/12/30 150,000,000 2010/06/18
23123 Barclays Bank plc HSI European Put Warrants Dec 2010 D 0.25 17,700 per 8,000 units 2010/12/30 150,000,000 2010/06/18
23124 Barclays Bank plc HSI European Put Warrants Dec 2010 E 0.25 17,900 per 8,000 units 2010/12/30 150,000,000 2010/06/18
23125 Barclays Bank plc HSI European Put Warrants Dec 2010 F 0.25 18,100 per 8,500 units 2010/12/30 150,000,000 2010/06/18
23112 Barclays Bank plc Tencent Holdings European Warrants Dec10B 0.15 148.88 per 100 units 2010/12/06 150,000,000 2010/06/18
23108 BNP Paribas Arbit Issu B.V. China Life Euro Wts Feb 2012 0.59 38.88 2012/02/02 200,000,000 2010/06/18
23109 BNP Paribas Arbit Issu B.V. Tencent Holdings Eu Wts Nov 10 0.15 145.10 per 100 units 2010/11/25 200,000,000 2010/06/18
23138 Credit Suisse AG Tencent Holdings European Wts Nov 2010 B 0.15 125 per 100 units 2010/11/22 300,000,000 2010/06/18
23139 Credit Suisse AG Tencent Holdings European Wts Nov 2010 C 0.15 144.90 per 100 units 2010/11/29 300,000,000 2010/06/18
23140 Credit Suisse AG Tencent Holdings European Wts Dec 2010 A 0.25 113.88 per 100 units 2010/12/20 300,000,000 2010/06/18
23105 HK Bank China Mobile European Warrants Dec 2010 0.25 80.88 2010/12/20 160,000,000 2010/06/18
23106 HK Bank Datang Power European Warrants Dec 2010 B 0.25 3.68 per unit 2010/12/20 80,000,000 2010/06/18
23107 HK Bank Lenovo European Warrants Dec 2010 0.25 5.08 per unit 2010/12/20 120,000,000 2010/06/18
23126 Macquarie Bank Ltd. Tencent European Warrants Jan 2011 0.253 132.50 per 100 units 2011/01/04 300,000,000 2010/06/18
23144 CC Rabobank B.A. BYD European Warrants May 2011 0.15 70 per 100 units 2011/05/30 100,000,000 2010/06/18
23128 CC Rabobank B.A. Ch LongYuan European Warrants Nov 2010 0.15 8.5 2010/11/01 200,000,000 2010/06/18
23137 CC Rabobank B.A. China COSCO European Warrants Sep 2011 0.25 9 2011/09/29 200,000,000 2010/06/18
23131 CC Rabobank B.A. China Life European Warrants Nov 2010 B 0.34 34 2010/11/29 300,000,000 2010/06/18
23129 CC Rabobank B.A. Ch Mobile European Warrants Oct 2010 C 0.31 81.9 2010/10/07 200,000,000 2010/06/18
23130 CC Rabobank B.A. Ch Mobile European Warrants Dec 2010 B 0.34 84 2010/12/23 200,000,000 2010/06/18
23145 CC Rabobank B.A. Mongolia Energy European Wts Dec 2010 0.25 3.30 per unit 2010/12/30 100,000,000 2010/06/18
23132 CC Rabobank B.A. Renhe Comm European Warrants Jan 2011 0.25 1.86 per unit 2011/01/28 100,000,000 2010/06/18
23133 CC Rabobank B.A. Shenzhen Invest European Warrants Dec 10 0.35 2.60 per unit 2010/12/30 100,000,000 2010/06/18
23134 CC Rabobank B.A. Shimao Ppt European Warrants Jan 2011 0.25 13.5 2011/01/28 150,000,000 2010/06/18
23135 CC Rabobank B.A. Tencent Holdings European Wts Nov 2010 0.15 145 per 100 units 2010/11/25 300,000,000 2010/06/18
23136 CC Rabobank B.A. Tencent Holdings European Put Wts Dec 10 0.25 145 per 100 units 2010/12/30 300,000,000 2010/06/18
23127 CC Rabobank B.A. Zijin Mining European Warrants May 2012 0.25 6.4 2012/05/30 300,000,000 2010/06/18
23141 RB of Scotland N.V. Tencent Holdings European Wts Nov 10C 0.17 125.08 per 100 units 2010/11/22 250,000,000 2010/06/18
23110 UBS AG Tencent Holdings European Warrants Oct 2010 B 0.15 138.88 per 100 units 2010/10/25 200,000,000 2010/06/18
23142 UBS AG Tencent Holdings European Warrants Nov 2010 B 0.15 125 per 100 units 2010/11/22 200,000,000 2010/06/18
23146 UBS AG Tencent Holdings European Put Warrants Nov 2010 0.15 125 per 100 units 2010/11/08 200,000,000 2010/06/18
23161 Deutsche Bank AG China Mobile European Warrants Oct 2012 0.15 83.88 per 100 units 2012/10/30 300,000,000 2010/06/21
23160 Deutsche Bank AG China Life European Warrants Dec 2010 B 0.49 31.8 2010/12/28 300,000,000 2010/06/21
23162 Deutsche Bank AG Tencent Holdings European Warrants Nov10C 0.2 125 per 100 units 2010/11/22 300,000,000 2010/06/21
23157 HK Bank Tencent European Warrants Jan 2011 0.25 133.80 per 100 units 2011/01/20 120,000,000 2010/06/21
23158 HK Bank Tencent European Put Warrants Oct 2010 0.15 125 per 100 units 2010/10/28 120,000,000 2010/06/21
23156 J P Morgan SP BV HKEx European Warrants Jun 2011 A 0.152 118 per 100 units 2011/06/24 300,000,000 2010/06/21
23147 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Oct 2012 0.15 83.88 per 100 units 2012/10/29 800,000,000 2010/06/21
23148 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Jan 2011 0.59 6.30 per unit 2011/01/24 80,000,000 2010/06/21
23149 SGA Societe Generale Acceptance N.V. CP&CC Eu Wt Feb 2011A 0.49 6.80 per unit 2011/02/21 80,000,000 2010/06/21
23150 SGA Societe Generale Acceptance N.V. HSI Eur Wt Dec 2010 G 0.25 21,200 per 8,000 units 2010/12/30 250,000,000 2010/06/21
23151 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Sep 10C 0.18 118 per 100 units 2010/09/22 200,000,000 2010/06/21
23152 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Dec 10B 0.19 125 per 100 units 2010/12/06 200,000,000 2010/06/21
23153 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Dec 10C 0.25 115.88 per 100 units 2010/12/22 200,000,000 2010/06/21
23159 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Dec 10D 0.15 145.88 per 100 units 2010/12/20 200,000,000 2010/06/21
23154 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Jan 11 0.31 105.88 per 100 units 2011/01/19 200,000,000 2010/06/21
23163 UBS AG China Mobile European Warrants Dec 2011 0.25 73.88 per 100 units 2011/12/12 300,000,000 2010/06/21
23164 UBS AG China Mobile European Warrants Jun 2012 0.25 84.88 per 100 units 2012/06/25 300,000,000 2010/06/21
23155 UBS AG China Mobile European Warrants Oct 2010 B 0.15 88 2010/10/25 100,000,000 2010/06/21
#
18984 Credit Suisse Tencent Holdings European Warrants Oct 2010A 0.083 138.88 per 100 units 2010/10/25 300,000,000 2010/06/21
#
18516 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Sep10 A 0.063 138.88 per 100 units 2010/09/06 300,000,000 2010/06/21
23166 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Dec 10 0.25 128 per 100 units 2010/12/22 150,000,000 2010/06/22
23165 RB of Scotland N.V. HSI European Put Warrants Dec 2010 C 0.251 19,800 per 8,000 units 2010/12/30 400,000,000 2010/06/22
#
22872 Goldman Sachs SP (Asia) Tencent Holdings European Wt Oct10 0.068 138.88 per 100 units 2010/10/28 200,000,000 2010/06/22
23173 BOCI Asia Ltd. BOCL European Warrants Dec 2010 0.25 4.38 per unit 2010/12/23 100,000,000 2010/06/23
23174 BOCI Asia Ltd. Dongfeng Motor European Warrants Mar 2011 0.15 9.88 2011/03/28 100,000,000 2010/06/23
23177 BOCI Asia Ltd. Hutchison European Warrants Jan 2011 0.25 58 2011/01/28 100,000,000 2010/06/23
23178 BOCI Asia Ltd. Shimao Ppt European Warrants Apr 2011 0.25 12.68 2011/04/29 100,000,000 2010/06/23
23179 BOCI Asia Ltd. Tencent Holdings European Warrants Nov 2010 0.2 125 per 100 units 2010/11/29 100,000,000 2010/06/23
23180 Credit Suisse AG CC Bank European Warrants Nov 2010 A 0.15 6.98 per unit 2010/11/29 300,000,000 2010/06/23
23181 Credit Suisse AG HSI European Warrants Sep 2010 B 0.15 20,000 per 8,000 units 2010/09/29 300,000,000 2010/06/23
23168 Citigroup Global Mkt H Inc. China Tel Euro Wts Dec 2010 0.25 3.88 per unit 2010/12/23 80,000,000 2010/06/23
23169 Citigroup Global Mkt H Inc. Hutchison Euro Wts Jun 2011 0.25 58.88 2011/06/09 100,000,000 2010/06/23
23183 Deutsche Bank AG Tencent Holdings European Put Wts Nov 10 0.15 125 per 100 units 2010/11/01 200,000,000 2010/06/23
23197 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Jan 2011 0.38 3.88 per unit 2011/01/14 148,000,000 2010/06/23
23184 KBC Fin Products Int’l Ltd. BOCL European Wts Dec 2010 B 0.38 3.98 per unit 2010/12/23 188,000,000 2010/06/23
23185 KBC Fin Products Int’l Ltd. BOCL European Wts Jan 2011 B 0.25 4.38 per unit 2011/01/05 248,000,000 2010/06/23
23186 KBC Fin Products Int’l Ltd. BOCL European Wts Jan 2011 C 0.25 4.58 per unit 2011/01/19 268,000,000 2010/06/23
23187 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Dec 2010 A 0.35 6.58 per unit 2010/12/23 188,000,000 2010/06/23
23188 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Dec 2010 B 0.26 6.88 per unit 2010/12/28 208,000,000 2010/06/23
23189 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jan 2011 A 0.52 6.18 per unit 2011/01/06 148,000,000 2010/06/23
23190 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jan 2011 B 0.25 7.28 per unit 2011/01/03 248,000,000 2010/06/23
23194 KBC Fin Products Int’l Ltd. China Life Euro Wts Dec 2010 B 0.298 35.88 2010/12/23 188,000,000 2010/06/23
23195 KBC Fin Products Int’l Ltd. China Life Euro Wts Dec 2010 C 0.25 37.88 2010/12/28 268,000,000 2010/06/23
23196 KBC Fin Products Int’l Ltd. China Life Euro Wts Jan 2011 A 0.25 39.08 2011/01/20 288,000,000 2010/06/23
23198 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Jan 2011 0.32 33 2011/01/14 228,000,000 2010/06/23
23191 KBC Fin Products Int’l Ltd. ICBC European Wts Dec 2010 A 0.36 6.18 per unit 2010/12/23 148,000,000 2010/06/23
23192 KBC Fin Products Int’l Ltd. ICBC European Wts Jan 2011 A 0.28 6.48 per unit 2011/01/06 188,000,000 2010/06/23
23193 KBC Fin Products Int’l Ltd. ICBC European Wts Jan 2011 B 0.25 6.88 per unit 2011/01/17 188,000,000 2010/06/23
23172 CC Rabobank B.A. HSI European Put Warrants Nov 2010 0.156 19,200 per 8,500 units 2010/11/29 200,000,000 2010/06/23
23170 CC Rabobank B.A. HSI European Warrants Dec 2010 C 0.25 20,800 per 6,000 units 2010/12/30 200,000,000 2010/06/23
23171 CC Rabobank B.A. HSI European Warrants Dec 2010 D 0.25 20,400 per 6,500 units 2010/12/30 200,000,000 2010/06/23
23175 CC Rabobank B.A. HSI European Put Warrants Dec 2010 E 0.25 20,800 per 9,000 units 2010/12/30 200,000,000 2010/06/23
23176 CC Rabobank B.A. HSI European Put Warrants Dec 2010 F 0.25 20,000 per 8,000 units 2010/12/30 200,000,000 2010/06/23
23182 RB of Scotland N.V. China Shenhua European Wts Dec 2010 0.264 35.38 2010/12/31 150,000,000 2010/06/23
23207 Credit Suisse AG Tencent Holdings European Wts Sep 2010 C 0.15 118 per 100 units 2010/09/24 300,000,000 2010/06/24
23208 Credit Suisse AG Tencent Holdings European Put Wts Jun 11A 0.25 108 per 100 units 2011/06/27 300,000,000 2010/06/24
23209 Deutsche Bank AG Tencent Holdings European Warrants Dec 10 0.25 116 per 100 units 2010/12/28 200,000,000 2010/06/24
23199 HK Bank Fushan Energy European Warrants Dec 2010 0.25 5.50 per unit 2010/12/24 120,000,000 2010/06/24
23205 Macquarie Bank Ltd. Jiangxi Copper European Wts Jan 2011 B 0.264 14 2011/01/04 250,000,000 2010/06/24
23206 Macquarie Bank Ltd. Tencent European Put Warrants Jul 2011 0.251 110 per 100 units 2011/07/06 250,000,000 2010/06/24
23200 CC Rabobank B.A. CC Bank European Warrants Dec 2010 B 0.25 6.68 per unit 2010/12/21 120,000,000 2010/06/24
23203 CC Rabobank B.A. Chaoda Modern European Warrants May 2011 0.25 9.4 2011/05/30 200,000,000 2010/06/24
23201 CC Rabobank B.A. China Life European Warrants Nov 2010 C 0.18 39 2010/11/08 300,000,000 2010/06/24
23204 CC Rabobank B.A. Geely Auto European Warrants Nov 2010 0.4 3 per unit 2010/11/25 100,000,000 2010/06/24
23210 Citigroup Global Mkt H Inc. HKEx European Put Wts May 2011 0.15 116.89 per 100 units 2011/05/12 100,000,000 2010/06/25
23215 KBC Fin Products Int’l Ltd. China Tel Euro Wts Feb 2011 0.4 3.78 per unit 2011/02/08 80,000,000 2010/06/25
23216 KBC Fin Products Int’l Ltd. China Tel Euro Wts Mar 2011 0.25 4.20 per unit 2011/03/08 80,000,000 2010/06/25
23217 KBC Fin Products Int’l Ltd. China Unicom Euro Wts Jun 2011 0.25 9.9 2011/06/01 80,000,000 2010/06/25
23214 KBC Fin Products Int’l Ltd. CNOOC European Wts Dec 2010 B 0.15 14.2 2010/12/13 128,000,000 2010/06/25
23220 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jun 2011 A 0.15 11.88 2011/06/03 258,000,000 2010/06/25
23224 KBC Fin Products Int’l Ltd. HKEx European Put Wts Mar 2011 0.17 128 per 100 units 2011/03/15 108,000,000 2010/06/25
23222 KBC Fin Products Int’l Ltd. HKEx European Warrants Jul 11A 0.15 118 per 100 units 2011/07/04 128,000,000 2010/06/25
23223 KBC Fin Products Int’l Ltd. HKEx European Warrants Jul 11B 0.15 133.88 per 100 units 2011/07/18 128,000,000 2010/06/25
23221 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Dec 2010 0.25 53.88 2010/12/28 80,000,000 2010/06/25
23225 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Dec 2010 0.44 48 2010/12/28 80,000,000 2010/06/25
23218 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jan 11B 0.25 116.88 per 100 units 2011/01/03 150,000,000 2010/06/25
23219 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Feb 11 0.26 108 per 100 units 2011/02/01 150,000,000 2010/06/25
23226 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Feb 11 0.25 119.80 per 100 units 2011/02/01 150,000,000 2010/06/25
23212 Macquarie Bank Ltd. CHALCO European Warrants Jul 2011 0.15 7.38 2011/07/05 200,000,000 2010/06/25
23211 SGA Societe Generale Acceptance N.V. HWL Eur Wt Dec 2010 A 0.34 49.98 2010/12/29 100,000,000 2010/06/25
23213 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Nov 10B 0.16 124.98 per 100 units 2010/11/22 200,000,000 2010/06/25
#
20758 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Aug 10E 0.055 19,500 per 7,500 units 2010/08/30 200,000,000 2010/06/25
23237 BNP Paribas Arbit Issu B.V. HSI European Wts Dec 2010 D 0.25 21,500 per 8,000 units 2010/12/30 200,000,000 2010/06/28
23238 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Oct 2010 B 0.22 20,800 per 8,000 units 2010/10/28 200,000,000 2010/06/28
23241 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Dec 2010 C 0.33 21,200 per 8,000 units 2010/12/30 200,000,000 2010/06/28
23235 Credit Suisse AG HSI European Put Warrants Oct 2010 0.15 20,800 per 8,000 units 2010/10/28 300,000,000 2010/06/28
23239 Credit Suisse AG HSI European Warrants Oct 2010 B 0.15 21,200 per 9,000 units 2010/10/28 315,000,000 2010/06/28
23236 Credit Suisse AG HSI European Put Warrants Nov 2010 B 0.15 21,300 per 9,000 units 2010/11/29 315,000,000 2010/06/28
23232 Deutsche Bank AG CC Bank European Warrants Dec 2010 0.52 6.60 per unit 2010/12/28 300,000,000 2010/06/28
23233 Deutsche Bank AG Sinopec Corp European Warrants Jul 2011 A 0.15 5.88 2011/07/25 300,000,000 2010/06/28
23234 Deutsche Bank AG HSBC European Warrants Apr 2011 A 0.15 67.88 per 100 units 2011/04/26 300,000,000 2010/06/28
23242 RB of Scotland N.V. HSI European Put Warrants Oct 2010 A 0.189 20,800 per 8,000 units 2010/10/28 250,000,000 2010/06/28
23240 RB of Scotland N.V. HSI European Warrants Nov 2010 D 0.179 20,900 per 8,500 units 2010/11/29 250,000,000 2010/06/28
23229 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec10H 0.25 20,000 per 8,000 units 2010/12/30 300,000,000 2010/06/28
23230 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec10I 0.25 20,600 per 9,000 units 2010/12/30 300,000,000 2010/06/28
23231 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec10J 0.31 21,500 per 9,000 units 2010/12/30 300,000,000 2010/06/28
23227 UBS AG Hutchison European Warrants Oct 2010 0.26 48 2010/10/11 100,000,000 2010/06/28
23228 UBS AG Tencent Holdings European Warrants Dec 2010 B 0.23 115.88 per 100 units 2010/12/20 200,000,000 2010/06/28
23253 BOCI Asia Ltd. BOCL European Put Warrants Jan 2011 0.25 3.59 per unit 2011/01/27 100,000,000 2010/06/29
23250 BOCI Asia Ltd. Sinopec Corp European Warrants Dec 2010 0.35 7.28 per unit 2010/12/30 100,000,000 2010/06/29
23252 BOCI Asia Ltd. Sinopharm European Warrants Jan 2011 0.25 38 2011/01/14 100,000,000 2010/06/29
23251 BOCI Asia Ltd. Yurun Food European Warrants Jan 2011 0.25 29.88 2011/01/07 100,000,000 2010/06/29
10979 BNP Paribas Arbit Issu B.V. Gold European Warrants May 11A 0.25 1,350 per 4,000 units 2011/05/06 200,000,000 2010/06/29
10983 BNP Paribas Arbit Issu B.V. Gold European Put Wts May 2011 0.26 1,150 per 3,000 units 2011/05/06 200,000,000 2010/06/29
23269 Credit Suisse AG BYD European Warrants Dec 2010 0.15 62.88 per 100 units 2010/12/23 300,000,000 2010/06/29
23271 Credit Suisse AG CC Bank European Warrants Nov 2010 B 0.15 7.38 per unit 2010/11/15 300,000,000 2010/06/29
23272 Credit Suisse AG China Mobile European Warrants Nov 2010 A 0.58 78.88 2010/11/29 300,000,000 2010/06/29
23273 Credit Suisse AG China Mobile European Warrants Nov 2010 B 0.2 88.88 2010/11/29 300,000,000 2010/06/29
23274 Credit Suisse AG CNOOC European Warrants Nov 2010 0.15 14.2 2010/11/29 300,000,000 2010/06/29
23275 Credit Suisse AG HSBC European Wts Nov 2010 B 0.15 78.88 2010/11/15 300,000,000 2010/06/29
23276 Credit Suisse AG HSBC European Wts Dec 2010 B 0.15 82.88 2010/12/06 300,000,000 2010/06/29
23277 Credit Suisse AG Hutchison European Warrants Nov 2010 0.15 56.88 2010/11/08 300,000,000 2010/06/29
23278 Credit Suisse AG ICBC European Warrants Nov 2010 0.26 6.68 per unit 2010/11/15 300,000,000 2010/06/29
23279 Credit Suisse AG Jiangxi Copper European Wts Nov 2010 C 0.15 18.88 2010/11/08 300,000,000 2010/06/29
23243 Citigroup Global Mkt H Inc. China Life Euro Wts Feb 2011 0.25 38.88 2011/02/21 100,000,000 2010/06/29
23244 Citigroup Global Mkt H Inc. A50 China Euro Wts Aug 2011 0.15 14.08 2011/08/29 200,000,000 2010/06/29
23259 Deutsche Bank AG Sinopec Corp European Warrants Oct 2010 0.21 7.28 per unit 2010/10/11 200,000,000 2010/06/29
23260 Deutsche Bank AG HKEx European Warrants Jul 2011 A 0.15 133.88 per 100 units 2011/07/18 300,000,000 2010/06/29
23261 Deutsche Bank AG HSBC European Put Warrants Dec 2011 0.16 76.88 per 100 units 2011/12/28 200,000,000 2010/06/29
23262 Deutsche Bank AG HSI European Warrants Dec 2010 D 0.25 20,600 per 8,000 units 2010/12/30 300,000,000 2010/06/29
23263 Deutsche Bank AG HSI European Warrants Dec 2010 E 0.26 21,200 per 8,000 units 2010/12/30 300,000,000 2010/06/29
23264 Deutsche Bank AG HSI European Put Warrants Dec 2010 F 0.25 20,400 per 8,000 units 2010/12/30 300,000,000 2010/06/29
23265 Deutsche Bank AG HSI European Put Warrants Dec 2010 G 0.26 21,000 per 8,000 units 2010/12/30 300,000,000 2010/06/29
23266 Deutsche Bank AG HSI European Put Warrants Dec 2010 H 0.27 21,600 per 8,000 units 2010/12/30 300,000,000 2010/06/29
23245 J P Morgan SP BV CITIC Bank European Warrants Dec 2010 B 0.335 5.88 per unit 2010/12/29 80,000,000 2010/06/29
23246 J P Morgan SP BV China Life European Warrants Dec 2010 B 0.25 40 2010/12/29 100,000,000 2010/06/29
23248 J P Morgan SP BV CNOOC European Warrants Jun 2011 A 0.25 15 2011/06/29 200,000,000 2010/06/29
23247 J P Morgan SP BV Chi Res Land European Warrants Dec 2010 B 0.25 18.88 2010/12/30 100,000,000 2010/06/29
23249 J P Morgan SP BV Shimao Property European Wts Mar 2011 0.25 15 2011/03/30 138,000,000 2010/06/29
23268 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Feb 2011 0.25 10.58 2011/02/01 200,000,000 2010/06/29
23254 CC Rabobank B.A. BOCL European Warrants Nov 2010 0.32 4.18 per unit 2010/11/08 120,000,000 2010/06/29
23255 CC Rabobank B.A. CC Bank European Warrants Nov 2010 0.23 7.38 per unit 2010/11/22 200,000,000 2010/06/29
23256 CC Rabobank B.A. HKEx European Warrants Jun 2011 0.15 140 per 100 units 2011/06/27 200,000,000 2010/06/29
23257 CC Rabobank B.A. Hutchison European Warrants Nov 2010 0.15 56.9 2010/11/08 200,000,000 2010/06/29
23258 CC Rabobank B.A. Ping An European Warrants Dec 2010 0.42 78 2010/12/30 100,000,000 2010/06/29
23267 UBS AG HSI European Put Warrants Nov 2010 G 0.2 21,300 per 9,000 units 2010/11/29 200,000,000 2010/06/29
#
21616 UBS AG CC Bank European Warrants Sep 2010 B 0.194 6.88 per unit 2010/09/20 100,000,000 2010/06/29
23280 Citigroup Global Mkt H Inc. HSBC European Wts Sep 2011 0.15 73.087 per 93 units 2011/09/23 150,000,000 2010/06/30
23307 J P Morgan SP BV Anhui Conch European Warrants Dec 2010 B 0.29 25.88 2010/12/30 100,000,000 2010/06/30
23306 J P Morgan SP BV CHALCO European Warrants Nov 2011 0.25 6.88 2011/11/28 200,000,000 2010/06/30
23310 J P Morgan SP BV CITIC Pacific Euro Wts Mar 2011 0.25 18 2011/03/30 100,000,000 2010/06/30
23308 J P Morgan SP BV CNBM European Warrants Dec 2010 0.25 12.88 2010/12/30 100,000,000 2010/06/30
23309 J P Morgan SP BV Ch Railway Cons European Warrants Jun11B 0.25 10.88 2011/06/29 180,000,000 2010/06/30
23311 J P Morgan SP BV Dongfeng Motor European Warrants Mar 2011 0.25 11 2011/03/30 180,000,000 2010/06/30
23331 J P Morgan SP BV Hutchison European Warrants Dec 2010 B 0.29 50.88 2010/12/30 100,000,000 2010/06/30
23312 J P Morgan SP BV PetroChina European Warrants Apr 2011 A 0.15 8.888 2011/04/21 300,000,000 2010/06/30
23313 J P Morgan SP BV Sinopharm European Warrants Dec 2010 0.275 32.88 2010/12/30 88,000,000 2010/06/30
23325 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Oct 2010 G 0.28 83 2010/10/18 128,000,000 2010/06/30
23330 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jan 2011 0.25 22,400 per 14,800 units 2011/01/28 200,000,000 2010/06/30
23322 KBC Fin Products Int’l Ltd. HSI European Wts Dec 2010 E 0.25 20,400 per 10,000 units 2010/12/30 200,000,000 2010/06/30
23323 KBC Fin Products Int’l Ltd. HSI European Wts Dec 2010 F 0.25 20,800 per 9,000 units 2010/12/30 200,000,000 2010/06/30
23324 KBC Fin Products Int’l Ltd. HSI European Wts Dec 2010 G 0.25 21,400 per 8,600 units 2010/12/30 200,000,000 2010/06/30
23327 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Dec 2010 H 0.25 21,000 per 10,000 units 2010/12/30 200,000,000 2010/06/30
23328 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Dec 2010 I 0.25 21,600 per 10,800 units 2010/12/30 200,000,000 2010/06/30
23329 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Dec 2010 J 0.27 22,200 per 10,000 units 2010/12/30 200,000,000 2010/06/30
23301 Macquarie Bank Ltd. Anta Sports European Warrants Apr 2011 0.25 20 2011/04/28 200,000,000 2010/06/30
23302 Macquarie Bank Ltd. Jiangxi Copper European Wts Feb 2011 0.253 17 2011/02/02 200,000,000 2010/06/30
23303 Macquarie Bank Ltd. Shimao Ppt European Warrants Jun 2011 0.251 15.5 2011/06/23 200,000,000 2010/06/30
23290 Nomura Int’l plc Air China European Warrants Dec 2010 0.151 10 2010/12/31 200,000,000 2010/06/30
23291 Nomura Int’l plc Air China European Warrants Jun 2011 0.251 10.68 2011/06/30 150,000,000 2010/06/30
23299 Nomura Int’l plc BOC HK European Warrants Dec 2010 0.15 18.9 2010/12/31 100,000,000 2010/06/30
23294 Nomura Int’l plc China Mobile European Warrants Dec 2010 0.979 85 2010/12/31 50,000,000 2010/06/30
23295 Nomura Int’l plc China Mobile European Warrants Dec 2011 0.205 73.88 per 100 units 2011/12/05 200,000,000 2010/06/30
23296 Nomura Int’l plc China Mobile European Put Warrants Dec 11 0.25 80 per 100 units 2011/12/30 200,000,000 2010/06/30
23288 Nomura Int’l plc Cheung Kong European Warrants Dec 2012 0.25 88.88 per 100 units 2012/12/31 100,000,000 2010/06/30
23289 Nomura Int’l plc China Life European Warrants Sep 2010 C 0.155 38.048 2010/09/30 100,000,000 2010/06/30
23300 Nomura Int’l plc CNOOC European Warrants Mar 2011 0.15 15.98 2011/03/31 100,000,000 2010/06/30
23286 Nomura Int’l plc Sinopec European Warrants Jul 2011 A 0.15 5.878 2011/07/29 100,000,000 2010/06/30
23298 Nomura Int’l plc A50 China European Warrants Nov 2010 0.15 12.68 2010/11/22 200,000,000 2010/06/30
23297 Nomura Int’l plc A50 China European Warrants Jun 2011 A 0.25 13.88 2011/06/30 200,000,000 2010/06/30
23281 Nomura Int’l plc HSBC European Warrants Jan 2013 0.15 83.928 per 100 units 2013/01/31 100,000,000 2010/06/30
23285 Nomura Int’l plc JIANC European Warrants Dec 2010 B 0.25 17.78 2010/12/31 100,000,000 2010/06/30
23287 Nomura Int’l plc PetroChina European Warrants Apr 2011 0.15 8.888 2011/04/29 100,000,000 2010/06/30
23283 Nomura Int’l plc SHK P European Warrants Feb 2011 0.15 116.08 per 100 units 2011/02/28 100,000,000 2010/06/30
23282 Nomura Int’l plc SHK P European Warrants Jun 2011 0.25 100.88 per 100 units 2011/06/30 100,000,000 2010/06/30
23284 Nomura Int’l plc SHK P European Warrants Oct 2011 A 0.185 125.08 per 100 units 2011/10/31 100,000,000 2010/06/30
23292 Nomura Int’l plc Tencent Holdings European Warrants Dec10C 0.25 128 per 100 units 2010/12/31 100,000,000 2010/06/30
23293 Nomura Int’l plc Tencent Holdings European Warrants Mar 11 0.25 148 per 100 units 2011/03/31 100,000,000 2010/06/30
23315 CC Rabobank B.A. Ch Mobile European Warrants Oct 2011 0.16 65.99 per 100 units 2011/10/11 200,000,000 2010/06/30
23314 CC Rabobank B.A. China Life European Put Warrants Nov 2010 0.21 32.88 2010/11/08 150,000,000 2010/06/30
23316 CC Rabobank B.A. Tencent Holdings European Wts Dec 2010 A 0.2 115.88 per 100 units 2010/12/15 200,000,000 2010/06/30
23317 CC Rabobank B.A. Tencent Holdings European Wts Dec 2010 B 0.16 128 per 100 units 2010/12/15 200,000,000 2010/06/30
23318 CC Rabobank B.A. Tencent Holdings European Put Wts Jun 11 0.25 113 per 100 units 2011/06/29 200,000,000 2010/06/30
23304 SGA Societe Generale Acceptance N.V. Petch Eu Wt Nov 2011 0.15 9.98 2011/11/21 200,000,000 2010/06/30
23319 UBS AG CC Bank European Warrants Nov 2010 A 0.15 7.38 per unit 2010/11/18 100,000,000 2010/06/30
23305 UBS AG CNOOC European Warrants Nov 2010 B 0.15 14.2 2010/11/29 100,000,000 2010/06/30
23321 UBS AG HSBC European Put Warrants Dec 2011 0.15 76.88 per 100 units 2011/12/12 200,000,000 2010/06/30
23320 UBS AG Hutchison European Warrants Nov 2010 0.15 56.88 2010/11/08 100,000,000 2010/06/30
23349 Deutsche Bank AG China Mobile European Warrants Dec 2010 A 0.39 84 2010/12/28 200,000,000 2010/07/02
23351 Deutsche Bank AG A50 China European Warrants Aug 2011 0.15 14.08 2011/08/29 300,000,000 2010/07/02
23350 Deutsche Bank AG HSBC European Warrants Nov 2010 D 0.33 82.88 2010/11/22 300,000,000 2010/07/02
23334 HK Bank Minsheng Bank European Warrants Jan 2011 0.25 8.18 per unit 2011/01/03 100,000,000 2010/07/02
23339 J P Morgan SP BV Lee & Man Paper European Warrants Dec2011 0.25 6.88 2011/12/29 150,000,000 2010/07/02
23340 KBC Fin Products Int’l Ltd. CMB European Warrants Jan 2011 0.25 20.68 2011/01/03 108,000,000 2010/07/02
23341 KBC Fin Products Int’l Ltd. HSBC European Wts Nov 2010 C 0.31 78.9 2010/11/08 128,000,000 2010/07/02
23344 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Jan 2011 C 0.57 76 2011/01/03 100,000,000 2010/07/02
23342 KBC Fin Products Int’l Ltd. HSBC European Wts Jan 2011 A 0.3 83.88 2011/01/03 128,000,000 2010/07/02
23343 KBC Fin Products Int’l Ltd. HSBC European Wts Jan 2011 B 0.25 88.28 2011/01/03 128,000,000 2010/07/02
23347 KBC Fin Products Int’l Ltd. HSI European Wts Nov 2010 H 0.15 22,000 per 7,000 units 2010/11/29 200,000,000 2010/07/02
23345 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2011 A 0.25 63 2011/06/01 108,000,000 2010/07/02
23346 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Aug 2011A 0.15 117.60 per 100 units 2011/08/01 108,000,000 2010/07/02
23335 Macquarie Bank Ltd. CHALCO European Warrants Jan 2011 0.372 9 per unit 2011/01/04 200,000,000 2010/07/02
23337 Macquarie Bank Ltd. COSCO Pacific European Warrants May 11 0.252 11 2011/05/04 200,000,000 2010/07/02
23336 Macquarie Bank Ltd. Ch Ship Cont European Warrants Jan 11 0.344 3.58 per unit 2011/01/04 200,000,000 2010/07/02
23338 Macquarie Bank Ltd. Ping An European Warrants Jan 2011 0.259 85 2011/01/04 200,000,000 2010/07/02
23333 UBS AG China Life European Warrants Jan 2011 A 0.25 41.88 2011/01/10 100,000,000 2010/07/02
23332 UBS AG Tencent Holdings European Put Warrants Jun 2011 0.15 108 per 100 units 2011/06/20 200,000,000 2010/07/02
23355 Deutsche Bank AG A50 China European Warrants Jun 2011 A 0.18 11.88 2011/06/07 300,000,000 2010/07/05
23361 Macquarie Bank Ltd. CC Bank European Put Warrants Jan 2011 0.358 6 per unit 2011/01/05 180,000,000 2010/07/05
23356 Macquarie Bank Ltd. CC Bank European Warrants Jan 2011 A 0.429 6.90 per unit 2011/01/05 180,000,000 2010/07/05
23357 Macquarie Bank Ltd. CC Bank European Warrants Jan 2011 B 0.257 7.50 per unit 2011/01/05 180,000,000 2010/07/05
23354 UBS AG A50 China European Warrants Aug 2011 0.15 14.08 2011/08/29 200,000,000 2010/07/05
23352 UBS AG HKEx European Put Warrants Mar 2011 0.15 128 per 100 units 2011/03/07 100,000,000 2010/07/05
23353 UBS AG SHK Ppt European Warrants Aug 2011 A 0.15 117.60 per 100 units 2011/08/01 100,000,000 2010/07/05
#
22719 Credit Suisse AG HSI European Warrants Sep 2010 A 0.117 20,700 per 8,000 units 2010/09/29 300,000,000 2010/07/05
23369 BOCI Asia Ltd. China Coal European Warrants Jan 2011 0.15 12.5 2011/01/24 100,000,000 2010/07/06
23370 BOCI Asia Ltd. CNBM European Warrants Mar 2011 0.25 13.88 2011/03/25 100,000,000 2010/07/06
23371 BOCI Asia Ltd. Geely Auto European Warrants Feb 2011 0.4 3.50 per unit 2011/02/25 100,000,000 2010/07/06
23372 BOCI Asia Ltd. Mongolia Energy European Warrants Jan 2011 0.4 3.80 per unit 2011/01/14 100,000,000 2010/07/06
23389 Credit Suisse AG A50 China European Warrants Oct 2010 B 0.15 11.39 2010/10/11 300,000,000 2010/07/06
23375 J P Morgan SP BV A50 China European Warrants Apr 2011 A 0.25 12.88 2011/04/28 300,000,000 2010/07/06
23384 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Feb 2011 0.56 4.38 per unit 2011/02/08 80,000,000 2010/07/06
23388 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Feb 2011 C 0.25 92.88 per 100 units 2011/02/15 158,000,000 2010/07/06
23378 KBC Fin Products Int’l Ltd. China Tel Eur Put Wts Mar 2011 0.25 3.58 per unit 2011/03/01 80,000,000 2010/07/06
23379 KBC Fin Products Int’l Ltd. China Tel Eur Put Wts Apr 2011 0.54 4.08 per unit 2011/04/01 68,000,000 2010/07/06
23380 KBC Fin Products Int’l Ltd. China Unicom Eur Put Wts Apr11 0.25 10.8 2011/04/15 80,000,000 2010/07/06
23365 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jan 2011 C 0.25 7.68 per unit 2011/01/06 200,000,000 2010/07/06
23385 KBC Fin Products Int’l Ltd. Ch COSCO European Warrants Sep11 0.15 9 2011/09/22 128,000,000 2010/07/06
23376 KBC Fin Products Int’l Ltd. China Life Euro Wts Feb 2011 D 0.25 40.68 2011/02/01 268,000,000 2010/07/06
23386 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Feb 11A 0.41 37 2011/02/08 80,000,000 2010/07/06
23387 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Feb 11B 0.69 41 2011/02/18 80,000,000 2010/07/06
23381 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Jan 2011 D 0.31 68 2011/01/06 108,000,000 2010/07/06
23382 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Mar 2011 1.11 60 2011/03/01 50,000,000 2010/07/06
23366 KBC Fin Products Int’l Ltd. ICBC European Wts Jan 2011 C 0.25 7.38 per unit 2011/01/06 158,000,000 2010/07/06
23383 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Apr 11 0.25 132.88 per 100 units 2011/04/06 188,000,000 2010/07/06
23358 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Oct10G 0.152 20,700 per 9,800 units 2010/10/28 200,000,000 2010/07/06
23359 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov10B 0.221 20,100 per 8,000 units 2010/11/29 200,000,000 2010/07/06
23360 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov10C 0.17 21,000 per 8,000 units 2010/11/29 200,000,000 2010/07/06
23362 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov10D 0.15 22,500 per 7,500 units 2010/11/29 200,000,000 2010/07/06
23367 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov10E 0.219 19,502 per 9,000 units 2010/11/29 200,000,000 2010/07/06
23363 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Dec10A 0.194 20,900 per 8,000 units 2010/12/30 200,000,000 2010/07/06
23364 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Dec10B 0.15 22,000 per 8,000 units 2010/12/30 200,000,000 2010/07/06
23368 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Dec10C 0.217 19,899 per 10,000 units 2010/12/30 200,000,000 2010/07/06
23373 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Jan 11 0.45 6.08 per unit 2011/01/26 100,000,000 2010/07/06
23374 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Nov 2010 C 0.49 80 2010/11/29 80,000,000 2010/07/06
#
22740 Citigroup Global Mkt H Inc. A50 China Euro Wts Oct 2010 0.088 11.38 2010/10/04 150,000,000 2010/07/06
#
17661 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Oct 2010 0.031 96.99 per 100 units 2010/10/25 350,000,000 2010/07/06
#
20751 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Aug10C 0.039 21,500 per 7,500 units 2010/08/30 300,000,000 2010/07/06
#
17664 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Oct 2010 0.064 110.99 per 100 units 2010/10/18 180,000,000 2010/07/06
23406 Credit Suisse AG China Coal European Warrants Nov 2010 B 0.15 10.88 2010/11/15 300,000,000 2010/07/07
23407 Credit Suisse Yanzhou Coal European Warrants Dec 2010 0.15 17.5 2010/12/22 300,000,000 2010/07/07
23400 Citigroup Global Mkt H Inc. CNOOC European Wts Jan 2011 0.25 13.68 2011/01/31 150,000,000 2010/07/07
23402 Citigroup Global Mkt H Inc. A50 China Euro Wts Nov 2011 0.25 12.88 2011/11/28 180,000,000 2010/07/07
23401 Citigroup Global Mkt H Inc. R&F Ppt European Wts Jun 2011 0.25 12.88 2011/06/27 100,000,000 2010/07/07
23403 Citigroup Global Mkt H Inc. Yanzhou Coal European Wt Jun11A 0.25 18.88 2011/06/27 100,000,000 2010/07/07
23395 J P Morgan SP BV Yanzhou Coal European Warrants Jan 2011 0.25 16 2011/01/07 150,000,000 2010/07/07
23408 KBC Fin Products Int’l Ltd. BYD European Put Warrants May11 0.15 68 per 100 units 2011/05/12 80,000,000 2010/07/07
23409 KBC Fin Products Int’l Ltd. CMB European Put Warrants Jan11 0.25 17 2011/01/31 80,000,000 2010/07/07
23410 KBC Fin Products Int’l Ltd. CPIC European Warrants Jan 11 0.26 34 2011/01/18 108,000,000 2010/07/07
23411 KBC Fin Products Int’l Ltd. CPIC European Warrants Feb 11 0.25 39.8 2011/02/18 108,000,000 2010/07/07
23412 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Put Wt Feb11 0.25 14.8 2011/02/15 80,000,000 2010/07/07
23413 KBC Fin Products Int’l Ltd. Zijin Mining Eu Put Wt Oct11 0.25 6.08 2011/10/18 80,000,000 2010/07/07
23404 Macquarie Bank Ltd. China Coal European Warrants Jul 2011 0.25 11.5 2011/07/05 200,000,000 2010/07/07
23405 Macquarie Bank Ltd. Fushan Energy European Warrants Jan 11 0.384 5.80 per unit 2011/01/10 88,000,000 2010/07/07
23396 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Oct 2010 B 0.15 11.37 2010/10/11 150,000,000 2010/07/07
23397 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Jun 2011 A 0.174 11.89 2011/06/07 150,000,000 2010/07/07
23398 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Jan 2012 0.26 12.89 2012/01/30 150,000,000 2010/07/07
23399 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Apr 2012 A 0.162 14.89 2012/04/30 150,000,000 2010/07/07
23390 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Nov 10F 0.153 19,000 per 8,000 units 2010/11/29 200,000,000 2010/07/07
23391 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Nov 10G 0.15 19,500 per 9,000 units 2010/11/29 200,000,000 2010/07/07
23392 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Nov 10H 0.186 20,500 per 8,500 units 2010/11/29 200,000,000 2010/07/07
23393 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10D 0.155 19,502 per 8,000 units 2010/12/30 200,000,000 2010/07/07
23394 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10E 0.255 21,300 per 8,000 units 2010/12/30 200,000,000 2010/07/07
10984 RB of Scotland N.V. DJIA European Put Warrants Mar 2011 B 0.252 9,000 per 40,000 units 2011/03/18 100,000,000 2010/07/07
23426 Citigroup Global Mkt H Inc. China Coal European Wts Jun 11 0.25 10.68 2011/06/09 100,000,000 2010/07/08
23427 Citigroup Global Mkt H Inc. A50 China Euro Wts Feb 2011 0.15 11.02 2011/02/08 180,000,000 2010/07/08
23415 J P Morgan SP BV A50 China European Warrants Mar 2011 0.25 11.38 2011/03/15 300,000,000 2010/07/08
23429 KBC Fin Products Int’l Ltd. BEA European Warrants Mar 2011 0.34 28 2011/03/01 58,000,000 2010/07/08
23430 KBC Fin Products Int’l Ltd. BOC HK European Wts Mar 2011 0.25 18.88 2011/03/01 58,000,000 2010/07/08
23414 Macquarie Bank Ltd. BOCL European Put Warrants Jan 2011 0.253 3.60 per unit 2011/01/10 100,000,000 2010/07/08
23422 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Jul 2011 0.56 103.99 2011/07/11 150,000,000 2010/07/08
23421 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jan 2011 0.375 49.99 2011/01/31 150,000,000 2010/07/08
23416 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Dec10A 0.155 127.99 per 100 units 2010/12/20 150,000,000 2010/07/08
23417 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Dec10B 0.194 119.99 per 100 units 2010/12/28 150,000,000 2010/07/08
23418 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Jan 11 0.152 137.99 per 100 units 2011/01/11 150,000,000 2010/07/08
23419 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Mar 11 0.26 147.99 per 100 units 2011/03/31 150,000,000 2010/07/08
23420 Merrill Lynch Int’l & Co. C.V. Tencent European Wts Apr 11 0.255 157.99 per 100 units 2011/04/26 150,000,000 2010/07/08
23423 Merrill Lynch Int’l & Co. C.V. Tencent Euro Put Wts Feb11 0.162 119.79 per 100 units 2011/02/07 150,000,000 2010/07/08
23424 Merrill Lynch Int’l & Co. C.V. Tencent Euro Put Wts Mar11 0.26 131.99 per 100 units 2011/03/28 150,000,000 2010/07/08
23425 Merrill Lynch Int’l & Co. C.V. Tencent Euro Put Wts Jul11 0.158 109.99 per 100 units 2011/07/04 150,000,000 2010/07/08
23431 RB of Scotland N.V. Tencent European Put Warrants Jan 2011 0.15 119.88 per 100 units 2011/01/25 250,000,000 2010/07/08
23428 UBS AG Yanzhou Coal European Wts Dec 2010 0.15 17.5 2010/12/22 100,000,000 2010/07/08
#
18033 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Sep 2010 0.015 78.64 per 93 units 2010/09/17 700,000,000 2010/07/08
#
20322 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Dec 2010C 0.021 6.39 2010/12/14 700,000,000 2010/07/08
23432 Barclays Bank plc China Life European Warrants Mar 2011 A 0.25 38.38 2011/03/07 100,000,000 2010/07/09
23433 Barclays Bank plc R&F Ppt European Warrants Jan 2011 0.16 10.28 2011/01/31 100,000,000 2010/07/09
23439 Barclays Bank plc HKEx European Put Warrants May 2011 0.15 116.88 per 100 units 2011/05/16 150,000,000 2010/07/09
23434 Barclays Bank plc HSBC European Warrants Dec 2010 0.27 83.88 2010/12/20 150,000,000 2010/07/09
23440 Barclays Bank plc HSBC European Put Warrants Dec 2011 0.16 76.88 per 100 units 2011/12/12 150,000,000 2010/07/09
23435 Barclays Bank plc Jiangxi Copper European Warrants Mar 11A 0.25 16.28 2011/03/07 100,000,000 2010/07/09
23436 Barclays Bank plc PetroChina European Warrants Nov 2011 0.15 9.98 2011/11/14 150,000,000 2010/07/09
23437 Barclays Bank plc Tencent Holdings European Warrants Jan 11 0.17 133.80 per 100 units 2011/01/20 150,000,000 2010/07/09
23441 Barclays Bank plc Tencent Holdings European Put Wts Feb 11 0.15 119.80 per 100 units 2011/02/01 150,000,000 2010/07/09
23438 Barclays Bank plc Yanzhou Coal European Warrants Mar 2011 0.25 16.88 2011/03/21 100,000,000 2010/07/09
23442 BNP Paribas Arbit Issu B.V. HSI European Wts Dec 2010 E 0.18 20,800 per 8,000 units 2010/12/30 100,000,000 2010/07/09
23443 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Nov 2010 D 0.18 20,200 per 10,000 units 2010/11/29 100,000,000 2010/07/09
23444 HK Bank Angang Steel European Warrants Jun 2011 A 0.25 10.88 2011/06/29 100,000,000 2010/07/09
23445 HK Bank China Life European Warrants Jan 2011 0.25 37.38 2011/01/10 100,000,000 2010/07/09
23446 HK Bank Jiangxi Copper European Warrants Jan 2011 0.25 16 2011/01/10 100,000,000 2010/07/09
23447 HK Bank Yanzhou Coal European Warrants Feb 2011 0.25 17.18 2011/02/18 100,000,000 2010/07/09
23448 CC Rabobank B.A. Jiangxi Copper European Warrants Jan 2011 0.25 17 2011/01/10 120,000,000 2010/07/09
23449 CC Rabobank B.A. Lenovo European Warrants Dec 2010 0.38 5.09 per unit 2010/12/13 150,000,000 2010/07/09
#
21350 Deutsche Bank AG HSBC European Warrants Jun 2011 0.06 75 per 100 units 2011/06/27 300,000,000 2010/07/09
#
21891 UBS AG HSI European Warrants Sep 2010 D 0.059 21,000 per 9,000 units 2010/09/29 200,000,000 2010/07/09
10981 Deutsche Bank AG GBP/USD European Warrants Jan 2011 0.32 1.59 per 1 units 2011/01/24 50,000,000 2010/07/12
23462 Macquarie Bank Ltd. China COSCO European Warrants Sep 2011 0.15 9 2011/09/29 200,000,000 2010/07/12
23451 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Mar 2011 A 0.305 86.99 2011/03/28 200,000,000 2010/07/12
23452 Merrill Lynch Int’l & Co. C.V. HSBC Euro Put Wt Oct 2011 0.192 81.99 per 100 units 2011/10/17 150,000,000 2010/07/12
23453 Merrill Lynch Int’l & Co. C.V. HSBC Euro Put Wt Dec 2011 0.171 76.89 per 100 units 2011/12/12 150,000,000 2010/07/12
23450 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Jan 2011 B 0.35 81.99 2011/01/28 200,000,000 2010/07/12
23454 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Aug 2011 0.151 117.50 per 100 units 2011/08/01 150,000,000 2010/07/12
23455 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Dec 2011 0.25 99.99 per 100 units 2011/12/12 150,000,000 2010/07/12
23456 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Sep 2012 0.25 109.99 per 100 units 2012/09/11 150,000,000 2010/07/12
23457 CC Rabobank B.A. China Tel European Warrants Nov 2010 0.22 4.29 per unit 2010/11/15 100,000,000 2010/07/12
23461 CC Rabobank B.A. ChiUnicom European Warrants Oct 2011 0.25 11.8 2011/10/28 150,000,000 2010/07/12
23459 CC Rabobank B.A. China Shenhua European Warrants Jan 2011 0.25 32.4 2011/01/28 100,000,000 2010/07/12
23460 CC Rabobank B.A. R&F Ppt European Warrants May 2011 0.15 11.38 2011/05/19 120,000,000 2010/07/12
23458 CC Rabobank B.A. Sh Petrochem European Warrants Jan 2011 0.35 3.48 per unit 2011/01/21 100,000,000 2010/07/12
23465 RB of Scotland N.V. A50 China European Warrants Feb 2011 0.15 11.02 2011/02/14 250,000,000 2010/07/12
23463 RB of Scotland N.V. HSI European Warrants Nov 2010 E 0.152 20,000 per 8,000 units 2010/11/29 250,000,000 2010/07/12
23464 RB of Scotland N.V. HSI European Put Warrants Oct 2010 B 0.178 20,000 per 8,000 units 2010/10/28 250,000,000 2010/07/12
#
22296 UBS AG HSI European Warrants Sep 2010 G 0.057 20,600 per 10,000 units 2010/09/29 300,000,000 2010/07/12
23492 BOCI Asia Ltd. CITBK European Warrants Jan 2011 0.35 5.80 per unit 2011/01/28 100,000,000 2010/07/13
23493 BOCI Asia Ltd. R&F Ppt European Warrants May 2011 0.15 11.38 2011/05/19 100,000,000 2010/07/13
23494 BOCI Asia Ltd. Tencent Holdings European Put Warrants Jul11 0.15 108 per 100 units 2011/07/04 100,000,000 2010/07/13
23502 BNP Paribas Arbit Issu B.V. BOCL European Wts Mar 2011 0.26 4.68 per unit 2011/03/07 100,000,000 2010/07/13
23503 BNP Paribas Arbit Issu B.V. China Life Euro Wts Feb 2011 B 0.27 37.68 2011/02/14 100,000,000 2010/07/13
23466 Citigroup Global Mkt H Inc. Angang Steel European Wt Jul11 0.25 10.38 2011/07/04 120,000,000 2010/07/13
23467 Citigroup Global Mkt H Inc. Nine Dragons Euro Wts Jul 2011 0.25 13.88 2011/07/25 120,000,000 2010/07/13
23484 HK Bank Sinopec Corp European Warrants Jan 2011 0.25 6.88 per unit 2011/01/13 120,000,000 2010/07/13
23486 HK Bank Esprit European Warrants Jan 2011 0.25 48.88 2011/01/13 120,000,000 2010/07/13
23487 HK Bank ICBC European Warrants Dec 2010 0.17 6.18 per unit 2010/12/16 120,000,000 2010/07/13
23485 HK Bank PetroChina European Warrants Nov 2010 B 0.42 9.01 per unit 2010/11/24 120,000,000 2010/07/13
23488 J P Morgan SP BV CM Bank European Warrants Jan 2011 0.25 18.88 2011/01/13 150,000,000 2010/07/13
23489 J P Morgan SP BV ICBC European Warrants Jan 2011 A 0.28 6 per unit 2011/01/13 100,000,000 2010/07/13
23490 J P Morgan SP BV ICBC European Warrants Jan 2011 B 0.25 6.50 per unit 2011/01/13 100,000,000 2010/07/13
23491 J P Morgan SP BV Lenovo European Warrants Jan 2011 0.33 4.68 per unit 2011/01/13 100,000,000 2010/07/13
23471 Macquarie Bank Ltd. China Tel European Warrants Feb 2011 0.253 4.28 per unit 2011/02/02 200,000,000 2010/07/13
23472 Macquarie Bank Ltd. Dongfeng Motor European Wts Jun 2011 0.25 9 2011/06/29 150,000,000 2010/07/13
23470 Macquarie Bank Ltd. A50 China European Warrants Jun 2011 A 0.15 11.88 2011/06/03 300,000,000 2010/07/13
23469 Macquarie Bank Ltd. HSBC European Warrants Feb 2011 A 0.394 78 2011/02/02 200,000,000 2010/07/13
23473 Macquarie Bank Ltd. HSBC European Put Warrants Feb 2011 0.353 63 2011/02/02 200,000,000 2010/07/13
23474 Macquarie Bank Ltd. HSBC European Put Warrants Dec 2011 0.162 76.88 per 100 units 2011/12/12 200,000,000 2010/07/13
23468 Macquarie Bank Ltd. HSCEI European Warrants Jan 2011 0.25 11,200 per 6,000 units 2011/01/28 200,000,000 2010/07/13
23475 Merrill Lynch Int’l & Co. C.V. Sinopec Eu Put Wts Feb2011D 0.465 5.59 per unit 2011/02/18 150,000,000 2010/07/13
23477 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jul 2011 A 0.26 111.99 per 100 units 2011/07/19 150,000,000 2010/07/13
23478 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Oct 2011 0.25 123.99 per 100 units 2011/10/31 150,000,000 2010/07/13
23480 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts May 2011 A 0.17 116.89 per 100 units 2011/05/09 150,000,000 2010/07/13
23481 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Oct 2011 0.25 109.99 per 100 units 2011/10/24 150,000,000 2010/07/13
23476 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2011 B 0.197 117.99 per 100 units 2011/06/28 200,000,000 2010/07/13
23482 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt May 2011 0.152 8.89 2011/05/09 150,000,000 2010/07/13
23483 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt May 2012 0.255 8.49 2012/05/04 150,000,000 2010/07/13
23498 CC Rabobank B.A. China Coal European Warrants Feb 2011 0.15 10.38 2011/02/28 100,000,000 2010/07/13
23497 CC Rabobank B.A. WISE CSI European Warrants Jan 2011 0.25 32 2011/01/28 100,000,000 2010/07/13
23499 CC Rabobank B.A. Geely Auto European Warrants Jan 2011 0.36 2.75 per unit 2011/01/17 100,000,000 2010/07/13
23501 CC Rabobank B.A. Skyworth Digital European Warrants Jan 12 0.25 5.6 2012/01/30 300,000,000 2010/07/13
23500 CC Rabobank B.A. Yanzhou Coal European Warrants Dec 2010 0.15 17.5 2010/12/23 150,000,000 2010/07/13
23495 UBS AG China Tel European Warrants Jan 2011 0.25 4.28 per unit 2011/01/24 100,000,000 2010/07/13
23496 UBS AG China Unicom European Warrants Aug 2011 0.175 10.5 2011/08/16 100,000,000 2010/07/13
23524 BNP Paribas Arbit Issu B.V. Ch Shenhua Euro Wts Mar 2011 0.28 33.88 2011/03/07 80,000,000 2010/07/14
23518 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Jul 2011 0.25 10.68 2011/07/04 100,000,000 2010/07/14
23525 BNP Paribas Arbit Issu B.V. Yanzhou Coal Euro Wts Apr 2011 0.25 17.68 2011/04/04 100,000,000 2010/07/14
23526 BNP Paribas Arbit Issu B.V. Zijin Mining Euro Wts Jun 2012 0.15 6.39 2012/06/04 100,000,000 2010/07/14
23531 Credit Suisse AG China COSCO European Warrants Oct 2011 0.15 9 2011/10/24 300,000,000 2010/07/14
23527 Credit Suisse AG HSI European Warrants Nov 2010 C 0.15 19,000 per 9,000 units 2010/11/29 315,000,000 2010/07/14
23528 Credit Suisse AG HSI European Warrants Nov 2010 D 0.15 19,600 per 9,000 units 2010/11/29 315,000,000 2010/07/14
23529 Credit Suisse AG HSI European Warrants Nov 2010 E 0.15 20,100 per 8,000 units 2010/11/29 320,000,000 2010/07/14
23530 Credit Suisse AG Sinopharm European Warrants Dec 2010 0.15 33.88 2010/12/20 300,000,000 2010/07/14
23519 Citigroup Global Mkt H Inc. A50 China Euro Wts Apr 2011 0.15 12.88 2011/04/28 180,000,000 2010/07/14
23522 Macquarie Bank Ltd. BYD European Warrants Jun 2011 B 0.15 70 per 100 units 2011/06/03 200,000,000 2010/07/14
23520 Macquarie Bank Ltd. HSI European Warrants Dec 2010 A 0.24 20,400 per 6,500 units 2010/12/30 200,000,000 2010/07/14
23521 Macquarie Bank Ltd. HSI European Warrants Dec 2010 B 0.15 21,200 per 8,000 units 2010/12/30 200,000,000 2010/07/14
23523 Macquarie Bank Ltd. HSI European Put Warrants Nov 2010 B 0.217 20,500 per 8,500 units 2010/11/29 200,000,000 2010/07/14
23504 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Dec 2010 0.285 83.99 2010/12/30 200,000,000 2010/07/14
23505 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Jan 2011 A 0.45 80.99 2011/01/31 200,000,000 2010/07/14
23506 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Dec 2011 0.153 73.89 per 100 units 2011/12/05 200,000,000 2010/07/14
23510 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eu Put Wt Dec 10 0.255 67.59 2010/12/13 150,000,000 2010/07/14
23511 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eu Put Wt Dec 11A 0.164 79.99 per 100 units 2011/12/21 150,000,000 2010/07/14
23507 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 11A 0.202 13.19 2011/06/27 150,000,000 2010/07/14
23508 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 11B 0.163 14.99 2011/06/28 150,000,000 2010/07/14
23512 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Jun2011D 0.255 13.19 2011/06/13 150,000,000 2010/07/14
23513 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Oct 2011 0.255 11.99 2011/10/10 150,000,000 2010/07/14
23514 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10G 0.15 18,400 per 9,000 units 2010/12/30 200,000,000 2010/07/14
23509 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Put Wt Jun 11 0.152 8.58 2011/06/13 150,000,000 2010/07/14
23515 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Nov 2010 D 0.37 3.88 per unit 2010/11/08 80,000,000 2010/07/14
23516 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Dec 2010 A 0.22 4.38 per unit 2010/12/20 80,000,000 2010/07/14
23517 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Dec 2010 B 0.37 3.98 per unit 2010/12/29 80,000,000 2010/07/14
23534 Deutsche Bank AG A50 China European Warrants Jan 2011 0.17 10.88 2011/01/31 300,000,000 2010/07/15
23535 Deutsche Bank AG PetroChina European Put Wts Jun 2011 0.15 8.58 2011/06/20 150,000,000 2010/07/15
23533 Goldman Sachs SP (Asia) HSI European Warrants Dec 2010 C 0.151 21,200 per 8,000 units 2010/12/30 200,000,000 2010/07/15
23537 Goldman Sachs SP (Asia) HSI European Put Wts Dec 2010 D 0.163 19,000 per 8,000 units 2010/12/30 200,000,000 2010/07/15
23536 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jan 2011 0.49 78.88 2011/01/18 98,000,000 2010/07/15
23549 Barclays Bank plc Agricultural Bank European Wts Feb 2011 0.26 3.80 per unit 2011/02/28 100,000,000 2010/07/16
23550 Barclays Bank plc Agricultural Bank European Wts Jul 2011A 0.31 4.08 per unit 2011/07/11 100,000,000 2010/07/16
23552 Barclays Bank plc China Overseas European Wts Feb 2011 0.17 16 2011/02/21 100,000,000 2010/07/16
23553 Barclays Bank plc China Telecom European Warrants Jan 2011 0.33 4.28 per unit 2011/01/31 100,000,000 2010/07/16
23551 Barclays Bank plc China Coal European Warrants Jul 2011 0.16 11.5 2011/07/11 100,000,000 2010/07/16
23539 BOCI Asia Ltd. China Mobile European Warrants Jan 2011 0.25 88.8 2011/01/28 100,000,000 2010/07/16
23540 BOCI Asia Ltd. China Railway European Warrants Feb 2011 0.335 6.88 per unit 2011/02/25 100,000,000 2010/07/16
23541 BOCI Asia Ltd. HSBC European Warrants Jan 2011 0.165 88 2011/01/06 100,000,000 2010/07/16
23572 Credit Suisse AG Agricultural Bank European Wts Feb 2011 A 0.25 3.928 per unit 2011/02/14 300,000,000 2010/07/16
23576 Credit Suisse AG Agricultural Bank European Wts Jul 2015 0.25 2.8 2015/07/15 300,000,000 2010/07/16
23570 Credit Suisse AG Agricultural Bank European Wts Jan 2011 A 0.25 3.198 per unit 2011/01/17 300,000,000 2010/07/16
23571 Credit Suisse AG Agricultural Bank European Wts Jan 2011 B 0.25 3.68 per unit 2011/01/24 300,000,000 2010/07/16
23560 Citigroup Global Mkt H Inc. Agricultural Bk Eu Wt Jan 11 A 0.25 3.68 per unit 2011/01/18 100,000,000 2010/07/16
23561 Citigroup Global Mkt H Inc. Agricultural Bk Eu Wt Jan 11 B 0.25 5 per unit 2011/01/18 100,000,000 2010/07/16
23548 Citigroup Global Mkt H Inc. BYD European Warrants Dec 2011 0.25 51.88 per 100 units 2011/12/05 180,000,000 2010/07/16
23542 Citigroup Global Mkt H Inc. CITIC Bank Euro Wts Mar 2011 0.25 6.28 per unit 2011/03/29 100,000,000 2010/07/16
23544 Citigroup Global Mkt H Inc. Fushan Energy Euro Wt Jan 2011 0.25 6.28 per unit 2011/01/18 80,000,000 2010/07/16
23545 Citigroup Global Mkt H Inc. Tracker Fund Euro Wts Mar 2011 0.25 22 2011/03/28 80,000,000 2010/07/16
23543 Citigroup Global Mkt H Inc. Yurun Food Euro Wts Jan 2011 0.25 26.88 2011/01/18 80,000,000 2010/07/16
23559 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Mar 11A 0.25 4.68 per unit 2011/03/01 188,000,000 2010/07/16
23554 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 A 0.61 2.98 per unit 2011/01/17 128,000,000 2010/07/16
23555 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 B 0.47 3.38 per unit 2011/01/17 188,000,000 2010/07/16
23556 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 C 0.39 3.68 per unit 2011/01/17 208,000,000 2010/07/16
23557 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 D 0.25 4.08 per unit 2011/01/17 208,000,000 2010/07/16
23558 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 E 0.25 4.38 per unit 2011/01/17 208,000,000 2010/07/16
23562 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt Jan 11F 0.39 2.98 per unit 2011/01/17 158,000,000 2010/07/16
23563 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt Jan 11G 0.61 3.38 per unit 2011/01/17 158,000,000 2010/07/16
23564 Macquarie Bank Ltd. Tencent European Warrants Mar 2011 0.251 160 per 100 units 2011/03/02 300,000,000 2010/07/16
23546 CC Rabobank B.A. Evergrande European Warrants Jan 2011 0.25 3 per unit 2011/01/28 100,000,000 2010/07/16
23547 CC Rabobank B.A. Nine Dragons European Warrants Jun 2011 0.25 12.6 2011/06/29 150,000,000 2010/07/16
23565 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 A 0.58 2.88 per unit 2011/01/17 200,000,000 2010/07/16
23566 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 B 0.48 3.08 per unit 2011/01/17 200,000,000 2010/07/16
23567 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 C 0.39 3.28 per unit 2011/01/17 200,000,000 2010/07/16
23568 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 D 0.31 3.48 per unit 2011/01/17 200,000,000 2010/07/16
23569 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 E 0.25 3.68 per unit 2011/01/17 200,000,000 2010/07/16
23538 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Nov 2010 D 0.19 82.88 2010/11/22 100,000,000 2010/07/16
23575 UBS AG Agricultural Bank European Warrants Jul 2015 A 0.25 2.58 2015/07/15 200,000,000 2010/07/16
23573 UBS AG Agricultural Bank European Warrants Jan 2011 A 0.38 3.48 per unit 2011/01/24 80,000,000 2010/07/16
23574 UBS AG Agricultural Bank European Warrants Jan 2011 B 0.25 3.98 per unit 2011/01/17 80,000,000 2010/07/16
23586 Credit Suisse AG CPIC European Warrants Nov 2010 B 0.15 33.88 2010/11/15 300,000,000 2010/07/19
23579 Credit Suisse AG A50 China European Warrants Apr 2011 A 0.15 12.88 2011/04/26 400,000,000 2010/07/19
23585 Credit Suisse AG HKEx European Warrants Jul 2011 A 0.15 133.88 per 100 units 2011/07/18 300,000,000 2010/07/19
23589 Credit Suisse AG HKEx European Put Warrants Jul 2011 0.23 135 per 100 units 2011/07/18 300,000,000 2010/07/19
23587 Deutsche Bank AG CNOOC European Warrants Apr 2011 A 0.25 13.5 2011/04/04 200,000,000 2010/07/19
23588 Deutsche Bank AG ICBC European Warrants Dec 2010 B 0.45 6 per unit 2010/12/28 150,000,000 2010/07/19
23590 Deutsche Bank AG Tencent Holdings European Put Wt Apr 2011 0.25 130 per 100 units 2011/04/04 200,000,000 2010/07/19
23580 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 F 0.25 3.88 per unit 2011/01/19 200,000,000 2010/07/19
23581 UBS AG Agricultural Bank European Warrants Jan 2011 C 0.27 3.18 per unit 2011/01/19 100,000,000 2010/07/19
23582 UBS AG Agricultural Bank European Warrants Jan 2011 D 0.25 3.78 per unit 2011/01/31 100,000,000 2010/07/19
23583 UBS AG Agricultural Bank European Warrants Jul 2015 B 0.25 2.98 2015/07/15 300,000,000 2010/07/19
23577 UBS AG CC Bank European Warrants Nov 2010 B 0.195 7 per unit 2010/11/29 100,000,000 2010/07/19
23584 UBS AG CPIC European Warrants Nov 2010 0.15 33.88 2010/11/15 100,000,000 2010/07/19
23578 UBS AG ICBC European Warrants Nov 2010 B 0.185 6.38 per unit 2010/11/22 100,000,000 2010/07/19
23609 Credit Suisse AG HSI European Put Warrants Nov 2010 F 0.15 19,600 per 8,000 units 2010/11/29 320,000,000 2010/07/20
23606 Deutsche Bank AG CC Bank European Warrants Jan 2011 A 0.26 7.50 per unit 2011/01/03 200,000,000 2010/07/20
23605 Deutsche Bank AG CITIC Bank European Warrants Dec 2010 0.43 5.88 per unit 2010/12/28 150,000,000 2010/07/20
23607 Deutsche Bank AG CM Bank European Warrants Dec 2010 0.15 22 2010/12/28 200,000,000 2010/07/20
23608 Deutsche Bank AG HSI European Put Warrants Oct 2010 D 0.15 20,000 per 8,000 units 2010/10/28 300,000,000 2010/07/20
23591 HK Bank China Overseas European Warrants Mar 2011 0.25 17.68 2011/03/22 80,000,000 2010/07/20
23592 HK Bank R&F Ppt European Warrants Jun 2011 0.25 12.28 2011/06/22 80,000,000 2010/07/20
23593 HK Bank Shimao Ppt European Warrants Mar 2011 0.25 15.18 2011/03/22 80,000,000 2010/07/20
23594 Macquarie Bank Ltd. BOCL European Warrants Nov 2010 0.183 4.38 per unit 2010/11/29 128,000,000 2010/07/20
23595 CC Rabobank B.A. Ch Mobile European Warrants Jan 2011 A 0.4 86 2011/01/28 100,000,000 2010/07/20
23600 CC Rabobank B.A. A50 China European Warrants Feb 2011 0.18 11.02 2011/02/07 180,000,000 2010/07/20
23601 CC Rabobank B.A. A50 China European Warrants Nov 2011 A 0.16 12.88 2011/11/21 180,000,000 2010/07/20
23602 CC Rabobank B.A. A50 China European Put Warrants Jan 2011B 0.65 10.80 per unit 2011/01/28 100,000,000 2010/07/20
23603 CC Rabobank B.A. A50 China European Put Warrants Jan 2012 0.25 12 2012/01/30 150,000,000 2010/07/20
23596 CC Rabobank B.A. HSBC European Warrants Jan 2011 A 0.63 74 2011/01/28 100,000,000 2010/07/20
23597 CC Rabobank B.A. HSBC European Warrants Feb 2011 0.52 78 2011/02/25 100,000,000 2010/07/20
23598 CC Rabobank B.A. ICBC European Warrants Dec 2010 D 0.36 6.18 per unit 2010/12/16 150,000,000 2010/07/20
23599 CC Rabobank B.A. Poly HK Inv European Warrants Apr 2011 B 0.25 8.6 2011/04/28 180,000,000 2010/07/20
23604 UBS AG HKEx European Put Warrants Jun 2011 D 0.25 133.88 per 100 units 2011/06/20 200,000,000 2010/07/20
23656 BNP Paribas Arbit Issu B.V. HSI European Wts Jan 2011 0.25 20,200 per 8,800 units 2011/01/28 100,000,000 2010/07/21
23660 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jan 2011 0.25 20,400 per 9,000 units 2011/01/28 100,000,000 2010/07/21
23657 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Feb 2011 A 0.26 19,800 per 8,000 units 2011/02/25 100,000,000 2010/07/21
23650 Deutsche Bank AG BOCL European Warrants Mar 2011 0.45 4.28 per unit 2011/03/21 150,000,000 2010/07/21
23651 Deutsche Bank AG BOCL European Warrants Apr 2011 A 0.28 4.68 per unit 2011/04/04 150,000,000 2010/07/21
23652 Deutsche Bank AG Sinopec Corp European Warrants Nov 2010 0.47 6.38 per unit 2010/11/22 150,000,000 2010/07/21
23653 Deutsche Bank AG Sinopec Corp European Warrants Dec 2010 B 0.33 6.98 per unit 2010/12/20 150,000,000 2010/07/21
23654 Deutsche Bank AG A50 China European Warrants Apr 2011 0.17 12.88 2011/04/26 200,000,000 2010/07/21
23655 Deutsche Bank AG A50 China European Warrants Jun 2011 B 0.16 13.88 2011/06/27 200,000,000 2010/07/21
23648 Macquarie Bank Ltd. A50 China European Warrants Jun 2011 B 0.15 13.88 2011/06/29 250,000,000 2010/07/21
23610 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Feb 2011 A 0.295 34.99 2011/02/14 150,000,000 2010/07/21
23611 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Feb 2011 B 0.204 38.39 2011/02/28 150,000,000 2010/07/21
23617 Merrill Lynch Int’l & Co. C.V. Ch Life Eur Put Wt Feb 2011 0.26 31.99 2011/02/15 150,000,000 2010/07/21
23612 Merrill Lynch Int’l & Co. C.V. Ch Shenhua Eur Wts Mar 2011 0.405 28.99 2011/03/14 150,000,000 2010/07/21
23613 Merrill Lynch Int’l & Co. C.V. Ch Shenhua Eur Wts Sep 2011 0.355 33.39 2011/09/12 150,000,000 2010/07/21
23616 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Dec 2012 0.157 5.09 2012/12/10 150,000,000 2010/07/21
23618 Merrill Lynch Int’l & Co. C.V. ICBC European Put Wts Jan11 0.395 5.49 per unit 2011/01/24 150,000,000 2010/07/21
23619 Merrill Lynch Int’l & Co. C.V. ICBC European Put Wts Oct11 0.151 6.49 2011/10/31 150,000,000 2010/07/21
23614 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Jan 2011A 0.39 6.29 per unit 2011/01/31 150,000,000 2010/07/21
23615 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Jan 2011B 0.214 6.89 per unit 2011/01/10 150,000,000 2010/07/21
23626 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Mar 2011A 0.25 93 2011/03/21 80,000,000 2010/07/21
23627 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Apr 11A 0.45 86 2011/04/18 80,000,000 2010/07/21
23630 SGA Societe Generale Acceptance N.V. CTel Eu Wt Nov 2010 A 0.34 4.08 per unit 2010/11/22 60,000,000 2010/07/21
23620 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jan 2011 C 0.23 7.68 per unit 2011/01/05 120,000,000 2010/07/21
23621 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jan 2011A 0.29 35.4 2011/01/26 200,000,000 2010/07/21
23622 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jan 2011B 0.25 37.4 2011/01/26 200,000,000 2010/07/21
23623 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011A 0.4 33.4 2011/02/23 200,000,000 2010/07/21
23624 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011B 0.25 39.4 2011/02/23 200,000,000 2010/07/21
23625 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Nov 10B 0.19 88.88 2010/11/29 80,000,000 2010/07/21
23628 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Nov 10B 0.15 7.19 per unit 2010/11/08 100,000,000 2010/07/21
23629 SGA Societe Generale Acceptance N.V. CP&CC Eu Wt Mar 2011A 0.55 6.60 per unit 2011/03/21 100,000,000 2010/07/21
23631 SGA Societe Generale Acceptance N.V. CTel Eu Wt Jan 2011 A 0.36 4.28 per unit 2011/01/17 60,000,000 2010/07/21
23632 SGA Societe Generale Acceptance N.V. CTel Eu Wt Jan 2011 B 0.51 3.88 per unit 2011/01/24 60,000,000 2010/07/21
23637 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Mar2011B 0.19 11.38 2011/03/09 250,000,000 2010/07/21
23638 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 11A 0.2 11.88 2011/06/08 250,000,000 2010/07/21
23639 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Aug 2011 0.15 14.08 2011/08/29 250,000,000 2010/07/21
23640 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Nov 2011 0.21 12.88 2011/11/21 250,000,000 2010/07/21
23641 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Mar 2012 0.25 12.38 2012/03/05 250,000,000 2010/07/21
23642 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Apr2012A 0.18 14.88 2012/04/25 250,000,000 2010/07/21
23634 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jan 2011 A 0.54 78.88 2011/01/24 80,000,000 2010/07/21
23633 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Dec 2010 D 0.36 83.88 2010/12/29 80,000,000 2010/07/21
23635 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 B 0.31 88.88 2011/02/07 80,000,000 2010/07/21
23636 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Sep 2011 B 0.15 68.88 per 100 units 2011/09/26 500,000,000 2010/07/21
23643 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Nov 2010 C 0.21 6.68 per unit 2010/11/15 120,000,000 2010/07/21
23644 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Mar 11 0.21 148 per 100 units 2011/03/28 150,000,000 2010/07/21
23645 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Apr 11A 0.25 138.90 per 100 units 2011/04/04 150,000,000 2010/07/21
23646 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Apr 11B 0.19 157.90 per 100 units 2011/04/20 150,000,000 2010/07/21
23649 UBS AG Agricultural Bank European Put Warrants Jan 2011 E 0.25 2.68 per unit 2011/01/24 80,000,000 2010/07/21
#
21870 KBC Fin Products Int’l Ltd. Zijin Mining European Wt Jan11 0.038 5.51 2011/01/03 280,000,000 2010/07/21
23661 CC Rabobank B.A. Ch Mobile European Put Wts Nov 2010 0.2 67.6 2010/11/29 100,000,000 2010/07/22
23658 CC Rabobank B.A. China Life European Warrants Dec 2010 B 0.15 37.88 2010/12/21 200,000,000 2010/07/22
23662 CC Rabobank B.A. KECL European Warrants Jun 2011 0.25 11.4 2011/06/29 150,000,000 2010/07/22
23663 CC Rabobank B.A. Sinofert European Warrants Jan 2011 0.48 3.85 per unit 2011/01/28 100,000,000 2010/07/22
23664 RB of Scotland N.V. China Life European Wts Jan 2011 A 0.166 37.388 2011/01/04 200,000,000 2010/07/22
#
19360 CC Rabobank B.A. CNOOC European Warrants Oct 2010 B 0.033 14.1 2010/10/25 350,000,000 2010/07/22
23691 Credit Suisse AG Agricultural Bank European Wts Jan 2011 C 0.15 3.388 per unit 2011/01/10 300,000,000 2010/07/23
23682 Macquarie Bank Ltd. China Unicom European Wts Aug 2011 A 0.166 10.5 2011/08/16 200,000,000 2010/07/23
23681 Macquarie Bank Ltd. Sinopec Corp European Wts Feb 2011 0.26 7.20 per unit 2011/02/11 200,000,000 2010/07/23
23683 Macquarie Bank Ltd. Foxconn European Warrants Jul 2011 0.15 6.8 2011/07/28 100,000,000 2010/07/23
23678 Macquarie Bank Ltd. A50 China European Warrants Mar 2011 B 0.193 11.38 2011/03/09 250,000,000 2010/07/23
23679 Macquarie Bank Ltd. A50 China European Warrants Aug 2011 0.15 14.08 2011/08/30 250,000,000 2010/07/23
23680 Macquarie Bank Ltd. A50 China European Warrants Apr 2012 0.175 14.88 2012/04/27 250,000,000 2010/07/23
23684 Macquarie Bank Ltd. Geely Auto European Warrants Jan 2011 0.257 3.33 per unit 2011/01/24 200,000,000 2010/07/23
23685 Macquarie Bank Ltd. HK Gas European Warrants Nov 2011 0.251 22 2011/11/03 200,000,000 2010/07/23
23686 Macquarie Bank Ltd. New World Dev European Wts Apr 2011 0.25 12.88 2011/04/28 100,000,000 2010/07/23
23687 Macquarie Bank Ltd. SHK Ppt European Warrants Feb 2011 0.151 116.18 per 100 units 2011/02/25 200,000,000 2010/07/23
23688 Macquarie Bank Ltd. SHK Ppt European Warrants Oct 2011 0.186 125 per 100 units 2011/10/28 200,000,000 2010/07/23
23665 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Feb 2011A 0.315 4.19 per unit 2011/02/14 150,000,000 2010/07/23
23669 Merrill Lynch Int’l & Co. C.V. BOCL European Put Wts Jan 11 0.202 3.59 per unit 2011/01/03 100,000,000 2010/07/23
23668 Merrill Lynch Int’l & Co. C.V. CM Bank Euro Wts Mar 2011 0.31 17.99 2011/03/07 150,000,000 2010/07/23
23670 Merrill Lynch Int’l & Co. C.V. CM Bank Euro Put Wts Jan 11 0.151 16.99 2011/01/24 150,000,000 2010/07/23
23666 Merrill Lynch Int’l & Co. C.V. CM Bank Euro Wts Dec 2010 A 0.203 19.09 2010/12/03 150,000,000 2010/07/23
23667 Merrill Lynch Int’l & Co. C.V. CM Bank Euro Wts Dec 2010 B 0.151 21.99 2010/12/28 150,000,000 2010/07/23
23671 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Jan 11 0.174 12.27 2011/01/24 150,000,000 2010/07/23
23672 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Mar 11 0.172 11.87 2011/03/23 150,000,000 2010/07/23
23673 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Apr 11A 0.16 11.57 2011/04/11 150,000,000 2010/07/23
23674 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Apr 11B 0.229 12.87 2011/04/18 150,000,000 2010/07/23
23675 CC Rabobank B.A. HSBC European Warrants Dec 2010 I 0.24 83.88 2010/12/08 100,000,000 2010/07/23
23676 CC Rabobank B.A. HSBC European Warrants Jan 2011 B 0.25 86.5 2011/01/28 100,000,000 2010/07/23
23677 CC Rabobank B.A. HSBC European Warrants Mar 2011 B 0.25 90 2011/03/30 100,000,000 2010/07/23
23690 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 G 0.25 4.18 per unit 2011/01/24 200,000,000 2010/07/23
23693 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Feb 11B 0.17 11 2011/02/07 300,000,000 2010/07/23
23692 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jan 2011 B 0.28 19,800 per 9,000 units 2011/01/28 300,000,000 2010/07/23
23696 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jan 11C 0.25 19,500 per 8,500 units 2011/01/28 300,000,000 2010/07/23
23697 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jan 11D 0.31 21,000 per 9,500 units 2011/01/28 300,000,000 2010/07/23
23689 UBS AG BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/28 100,000,000 2010/07/23
#
17757 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Dec 10 A 0.028 6.58 2010/12/22 400,000,000 2010/07/23
23709 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Feb 2011 A 0.3 86.88 2011/02/01 200,000,000 2010/07/26
23707 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Mar 2011 0.32 7.68 per unit 2011/03/01 200,000,000 2010/07/26
23710 BNP Paribas Arbit Issu B.V. HSBC European Wts Feb 2011 B 0.41 84.88 2011/02/07 200,000,000 2010/07/26
23708 BNP Paribas Arbit Issu B.V. ICBC European Wts Mar 2011 A 0.27 6.99 per unit 2011/03/01 200,000,000 2010/07/26
23711 Credit Suisse AG BYD European Warrants Nov 2011 0.15 51.90 per 100 units 2011/11/28 300,000,000 2010/07/26
23703 HK Bank BOCL European Warrants Nov 2010 0.15 4.30 per unit 2010/11/08 100,000,000 2010/07/26
23705 HK Bank BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/28 80,000,000 2010/07/26
23706 HK Bank Zijin Mining European Warrants Jan 2011 0.25 5.88 per unit 2011/01/26 80,000,000 2010/07/26
23714 Macquarie Bank Ltd. Ch Southern Air European Wts Jan 2011 0.25 4.50 per unit 2011/01/28 88,000,000 2010/07/26
23701 Merrill Lynch Int’l & Co. CV Agricultural Bk Eu Put Wt Jan11 0.255 2.97 per unit 2011/01/12 150,000,000 2010/07/26
23694 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Jan11A 0.35 3.199 per unit 2011/01/10 150,000,000 2010/07/26
23695 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Jan11B 0.255 3.49 per unit 2011/01/11 150,000,000 2010/07/26
23700 Merrill Lynch Int’l & Co. C.V. BYD European Warrants Nov11 0.166 51.89 per 100 units 2011/11/28 150,000,000 2010/07/26
23716 RB of Scotland N.V. BOCL European Warrants Jan 2011 0.26 4.48 per unit 2011/01/31 100,000,000 2010/07/26
23717 RB of Scotland N.V. BYD European Warrants Nov 2011 0.15 51.888 per 100 units 2011/11/28 200,000,000 2010/07/26
23718 RB of Scotland N.V. China Life European Wts Jan 2011 B 0.281 34.88 2011/01/31 200,000,000 2010/07/26
23719 RB of Scotland N.V. China Life European Wts Jan 2011 C 0.25 38.88 2011/01/31 200,000,000 2010/07/26
23720 RB of Scotland N.V. China Shenhua European Wts Jan 2011 0.25 32.88 2011/01/31 100,000,000 2010/07/26
23715 RB of Scotland N.V. A50 China European Warrants Jun 2011 A 0.155 11.88 2011/06/13 250,000,000 2010/07/26
23712 SGA Societe Generale Acceptance N.V. ChiUnicom Eu Wts Sep 11 0.25 10.88 2011/09/26 150,000,000 2010/07/26
23713 SGA Societe Generale Acceptance N.V. ChiUnicom Eu Wts Oct 11 0.23 11.8 2011/10/24 150,000,000 2010/07/26
23699 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt Nov 2010 0.15 12,000 per 6,200 units 2010/11/29 200,000,000 2010/07/26
23698 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt Jan 2011 0.25 11,500 per 6,000 units 2011/01/28 200,000,000 2010/07/26
23702 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Jan 11 0.25 11,500 per 6,500 units 2011/01/28 200,000,000 2010/07/26
23724 BOCI Asia Ltd. Chi Res Land European Warrants Mar 2011 0.25 16.88 2011/03/22 100,000,000 2010/07/27
23725 BOCI Asia Ltd. HS Bank European Warrants Dec 2011 0.15 100 per 100 units 2011/12/29 100,000,000 2010/07/27
23726 BOCI Asia Ltd. Tracker Fund European Warrants May 2011 0.25 21.5 2011/05/31 100,000,000 2010/07/27
23727 BOCI Asia Ltd. Tracker Fund European Put Warrants Mar 2011 0.25 20 2011/03/31 100,000,000 2010/07/27
23730 Deutsche Bank AG CNOOC European Warrants Mar 2011 0.18 12.28 2011/03/21 200,000,000 2010/07/27
23722 J P Morgan SP BV China Life European Warrants Jan 2011 A 0.25 33.88 2011/01/28 150,000,000 2010/07/27
23723 J P Morgan SP BV CM Bank European Warrants Dec 2010 0.15 22 2010/12/22 150,000,000 2010/07/27
23729 CC Rabobank B.A. BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/29 300,000,000 2010/07/27
23721 RB of Scotland N.V. A50 China European Warrants Apr 2011 0.152 12.88 2011/04/28 250,000,000 2010/07/27
23728 UBS AG BOCL European Warrants Nov 2010 C 0.22 4.18 per unit 2010/11/22 100,000,000 2010/07/27
23731 UBS AG China Mobile European Warrants Dec 2010 0.165 84 2010/12/22 100,000,000 2010/07/27
#
23573 UBS AG Agricultural Bank European Warrants Jan 2011 A 0.228 3.48 per unit 2011/01/24 120,000,000 2010/07/27
23736 Barclays Bank plc Angang Steel European Warrants Jun 2011 0.25 11.68 2011/06/20 100,000,000 2010/07/28
23737 Barclays Bank plc BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/28 150,000,000 2010/07/28
23738 Barclays Bank plc CC Bank European Put Warrants Feb 2011 0.35 5.78 per unit 2011/02/21 100,000,000 2010/07/28
23739 Barclays Bank plc ICBC European Warrants Feb 2011 0.37 6.28 per unit 2011/02/14 100,000,000 2010/07/28
23733 Barclays Bank plc ICBC European Put Warrants Feb 2011 0.34 5.28 per unit 2011/02/14 100,000,000 2010/07/28
23747 Credit Suisse AG HSBC European Put Warrants Nov 2010 D 0.22 70 2010/11/15 300,000,000 2010/07/28
23746 Credit Suisse AG HSI European Warrants Nov 2010 G 0.15 21,000 per 8,000 units 2010/11/29 320,000,000 2010/07/28
23750 Deutsche Bank AG HSI European Warrants Jan 2011 A 0.25 21,000 per 8,000 units 2011/01/28 300,000,000 2010/07/28
23751 Deutsche Bank AG HSI European Warrants Jan 2011 B 0.25 21,600 per 7,500 units 2011/01/28 300,000,000 2010/07/28
23754 Deutsche Bank AG HSI European Put Warrants Jan 2011 C 0.25 19,800 per 8,000 units 2011/01/28 300,000,000 2010/07/28
23755 Deutsche Bank AG HSI European Put Warrants Jan 2011 D 0.27 20,200 per 8,000 units 2011/01/28 300,000,000 2010/07/28
23756 Deutsche Bank AG HSI European Put Warrants Jan 2011 E 0.31 20,800 per 8,000 units 2011/01/28 300,000,000 2010/07/28
23740 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Dec10 0.181 11,550 per 6,000 units 2010/12/30 150,000,000 2010/07/28
23742 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Jan11A 0.21 11,250 per 6,000 units 2011/01/28 150,000,000 2010/07/28
23743 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Jan11B 0.255 12,100 per 5,000 units 2011/01/28 150,000,000 2010/07/28
23741 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Nov10 0.154 11,550 per 7,000 units 2010/11/29 150,000,000 2010/07/28
23744 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Dec10 0.151 10,750 per 6,000 units 2010/12/30 150,000,000 2010/07/28
23732 SGA Societe Generale Acceptance N.V. CHALCO Eu Wt Nov 2011 0.15 6.88 2011/11/28 200,000,000 2010/07/28
23745 SGA Societe Generale Acceptance NV Minsheng Bk Eu Wt Jan 11 0.41 8.18 per unit 2011/01/03 100,000,000 2010/07/28
23734 UBS AG CNOOC European Warrants Jun 2011 A 0.15 13.22 2011/06/22 100,000,000 2010/07/28
23748 UBS AG A50 China European Warrants Apr 2011 0.25 13.28 2011/04/11 100,000,000 2010/07/28
23749 UBS AG HSI European Put Warrants Jan 2011 A 0.25 20,300 per 8,000 units 2011/01/28 200,000,000 2010/07/28
#
22650 HK Bank HSI European Warrants Dec 2010 E 0.134 20,800 per 9,000 units 2010/12/30 200,000,000 2010/07/28
23768 Barclays Bank plc HSI European Put Warrants Feb 2011 C 0.25 19,000 per 9,500 units 2011/02/25 150,000,000 2010/07/29
23763 Barclays Bank plc HSI European Warrants Dec 2010 G 0.15 20,800 per 8,000 units 2010/12/30 150,000,000 2010/07/29
23764 Barclays Bank plc HSI European Warrants Feb 2011 A 0.25 21,500 per 10,000 units 2011/02/25 150,000,000 2010/07/29
23765 Barclays Bank plc HSI European Warrants Feb 2011 B 0.25 22,000 per 9,500 units 2011/02/25 150,000,000 2010/07/29
23767 Barclays Bank plc HSI European Put Warrants Dec 2010 H 0.17 19,800 per 8,000 units 2010/12/30 150,000,000 2010/07/29
23781 Credit Suisse AG HSI European Put Warrants Nov 2010 H 0.15 20,400 per 8,500 units 2010/11/29 340,000,000 2010/07/29
23772 Citigroup Global Mkt H Inc. ChiUnicom European Wts Aug 11 0.25 11.88 2011/08/30 120,000,000 2010/07/29
23758 Citigroup Global Mkt H Inc. Li & Fung European Wts May 11A 0.25 38.88 2011/05/30 80,000,000 2010/07/29
23759 Citigroup Global Mkt H Inc. Swrie Pacific A Euro Wts Dec11 0.25 88 per 100 units 2011/12/19 80,000,000 2010/07/29
23773 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Jan 2011 0.31 6.88 per unit 2011/01/10 128,000,000 2010/07/29
23774 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Feb 2011 A 0.36 6.48 per unit 2011/02/01 108,000,000 2010/07/29
23775 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Feb 2011 B 0.25 7.28 per unit 2011/02/01 128,000,000 2010/07/29
23780 KBC Fin Products Int’l Ltd. Sinopec Corp Eu Put Wt Feb 11C 0.46 6 per unit 2011/02/01 80,000,000 2010/07/29
23776 KBC Fin Products Int’l Ltd. HSBC European Wts Feb 2011 A 0.25 92.68 2011/02/18 128,000,000 2010/07/29
23778 KBC Fin Products Int’l Ltd. HSI European Wts Feb 2011 F 0.25 21,000 per 10,000 units 2011/02/25 200,000,000 2010/07/29
23779 KBC Fin Products Int’l Ltd. HSI European Put Wts Dec 2010K 0.182 20,600 per 9,000 units 2010/12/30 200,000,000 2010/07/29
23782 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Feb 2011 A 0.25 20,200 per 8,800 units 2011/02/25 200,000,000 2010/07/29
23783 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Feb 2011 B 0.29 22,000 per 10,000 units 2011/02/25 200,000,000 2010/07/29
23777 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Oct 2011 0.15 125.08 per 100 units 2011/10/21 108,000,000 2010/07/29
23760 Macquarie Bank Ltd. Ch Oilfield European Warrants Apr 2011 0.252 9.8 2011/04/04 200,000,000 2010/07/29
23761 Macquarie Bank Ltd. Chi Res Power European Warrants Feb 11 0.255 18 2011/02/02 200,000,000 2010/07/29
23762 Macquarie Bank Ltd. Hang Lung Ppt European Wts Feb 2011 0.254 38 2011/02/02 200,000,000 2010/07/29
23770 Macquarie Bank Ltd. HSCEI European Put Warrants Feb 2011 0.25 11,200 per 6,000 units 2011/02/25 150,000,000 2010/07/29
23766 Macquarie Bank Ltd. HSI European Warrants Nov 2010 C 0.207 19,600 per 9,000 units 2010/11/29 200,000,000 2010/07/29
23769 Macquarie Bank Ltd. HSI European Put Warrants Dec 2010 0.187 20,000 per 8,000 units 2010/12/30 200,000,000 2010/07/29
23771 Macquarie Bank Ltd. SHK Ppt European Put Warrants Aug 2011 0.15 100 per 100 units 2011/08/02 150,000,000 2010/07/29
23752 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Apr 2011 0.157 12.88 2011/04/21 150,000,000 2010/07/29
23753 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Jun 2011 B 0.156 13.88 2011/06/23 150,000,000 2010/07/29
23784 CC Rabobank B.A. BOCL European Warrants Mar 2011 0.3 4.50 per unit 2011/03/30 100,000,000 2010/07/29
23785 CC Rabobank B.A. China EB Ltd European Warrants Feb 2011 0.25 22 2011/02/25 100,000,000 2010/07/29
23786 CC Rabobank B.A. CSR European Warrants Dec 2011 0.25 7 2011/12/29 180,000,000 2010/07/29
23796 Credit Suisse AG Agricultural Bank European Wts Jan 2011 D 0.15 4.088 per unit 2011/01/10 300,000,000 2010/07/30
23795 Deutsche Bank AG CPIC European Warrants Nov 2010 0.157 33.88 2010/11/08 100,000,000 2010/07/30
23791 HK Bank Henganintl European Warrants Jun 2011 0.25 78.88 2011/06/13 80,000,000 2010/07/30
23789 J P Morgan SP BV BOCL European Warrants Jan 2011 0.255 4.308 per unit 2011/01/31 128,000,000 2010/07/30
23790 J P Morgan SP BV BOCL European Warrants Feb 2011 0.255 4.68 per unit 2011/02/25 128,000,000 2010/07/30
23787 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11H 0.15 3.88 per unit 2011/01/12 188,000,000 2010/07/30
23788 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11I 0.15 4.18 per unit 2011/01/17 188,000,000 2010/07/30
23803 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Dec 2011 0.15 79.95 per 100 units 2011/12/21 158,000,000 2010/07/30
23799 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Feb 2011 0.25 16.88 2011/02/01 108,000,000 2010/07/30
23804 KBC Fin Products Int’l Ltd . China Overseas Eu Put Wt Feb11 0.25 15.48 2011/02/01 108,000,000 2010/07/30
23798 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Feb 2011 0.25 7.98 per unit 2011/02/01 158,000,000 2010/07/30
23802 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Jan 2011 0.26 5.99 per unit 2011/01/03 108,000,000 2010/07/30
23797 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jan 2011 D 0.19 7.50 per unit 2011/01/03 188,000,000 2010/07/30
23805 KBC Fin Products Int’l Ltd. HKEx European Put Wts Jun 11C 0.25 133 per 100 units 2011/06/01 108,000,000 2010/07/30
23806 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Feb 2011 A 0.25 5 per unit 2011/02/01 108,000,000 2010/07/30
23800 KBC Fin Products Int’l Ltd. ICBC European Wts Dec 2010 B 0.15 6.68 per unit 2010/12/10 158,000,000 2010/07/30
23801 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Mar 11 0.15 148 per 100 units 2011/03/24 128,000,000 2010/07/30
23793 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Apr 2011A 0.16 12.88 2011/04/27 300,000,000 2010/07/30
23794 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 11B 0.15 13.88 2011/06/27 300,000,000 2010/07/30
23792 UBS AG Agricultural Bank European Put Warrants Jan 2011 F 0.25 3.18 per unit 2011/01/31 100,000,000 2010/07/30
#
23557 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11 D 0.108 4.08 per unit 2011/01/17 200,000,000 2010/07/30
#
23574 UBS AG Agricultural Bank European Warrants Jan 2011 B 0.116 3.98 per unit 2011/01/17 120,000,000 2010/07/30
#
23582 UBS AG Agricultural Bank European Warrants Jan 2011 D 0.223 3.78 per unit 2011/01/31 200,000,000 2010/07/30
23833 BNP Paribas Arbit Issu B.V. Hutchison European Wts Mar 11A 0.27 59.88 2011/03/07 80,000,000 2010/08/02
10982 BNP Paribas Arbit Issu B.V. Oil Futures European Wts Mar11 0.27 88.88 per 300 units 2011/03/18 100,000,000 2010/08/02
10986 BNP Paribas Arbit Issu B.V. Oil Futures Euro Put Wt Mar11 0.29 78.88 per 300 units 2011/03/18 100,000,000 2010/08/02
23807 Citigroup Global Mkt H Inc. Agricultural Bk Eu Wt Mar 2011A 0.25 3.99 per unit 2011/03/28 100,000,000 2010/08/02
23808 Citigroup Global Mkt H Inc. Agricultural Bk Eu Put Wt Feb11 0.25 3.20 per unit 2011/02/14 100,000,000 2010/08/02
23840 Deutsche Bank AG CITIC Pacific European Warrants Mar 2011A 0.25 16.28 2011/03/28 100,000,000 2010/08/02
23841 Deutsche Bank AG Foxconn European Warrants Jul 2011 0.15 6.8 2011/07/25 100,000,000 2010/08/02
23842 Deutsche Bank AG Lenovo European Warrants Mar 2011 0.6 5.30 per unit 2011/03/07 100,000,000 2010/08/02
23809 HK Bank HKEx European Warrants Jun 2011 0.25 135 per 100 units 2011/06/29 100,000,000 2010/08/02
23810 HK Bank HSI European Put Warrants Dec 2010 J 0.15 21,200 per 8,000 units 2010/12/30 120,000,000 2010/08/02
23836 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Mar 2011 A 0.26 92.88 2011/03/01 128,000,000 2010/08/02
23837 KBC Fin Products Int’l Ltd. China Unicom Euro Wts Oct 2011 0.15 11.8 2011/10/21 80,000,000 2010/08/02
23834 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Feb 2011 A 0.25 88.8 2011/02/08 128,000,000 2010/08/02
23835 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Feb 2011 B 0.39 82.68 2011/02/01 128,000,000 2010/08/02
23838 KBC Fin Products Int’l Ltd. CNOOC European Wts Feb 2011 0.15 13.68 2011/02/01 108,000,000 2010/08/02
23839 KBC Fin Products Int’l Ltd. CNOOC European Wts May 2011 A 0.18 12.9 2011/05/03 108,000,000 2010/08/02
23814 Nomura Int’l plc Anhui Conch European Warrants Apr 2011 0.339 28.8 2011/04/29 100,000,000 2010/08/02
23823 Nomura Int’l plc BOC HK European Warrants Mar 2011 0.253 22 2011/03/31 200,000,000 2010/08/02
23829 Nomura Int’l plc BOCL European Warrants Mar 2011 0.289 4.48 per unit 2011/03/31 200,000,000 2010/08/02
23820 Nomura Int’l plc BYD European Warrants Dec 2013 0.25 60 per 100 units 2013/12/31 200,000,000 2010/08/02
23828 Nomura Int’l plc China Dongxiang European Warrants Apr 11 0.593 5.25 per unit 2011/04/29 100,000,000 2010/08/02
23815 Nomura Int’l plc Ch LongYuan European Warrants Dec 2011 0.25 8.08 2011/12/30 150,000,000 2010/08/02
23822 Nomura Int’l plc China Coal European Warrants Jan 2011 0.15 12.5 2011/01/17 100,000,000 2010/08/02
23811 Nomura Int’l plc Cheung Kong European Warrants Sep 2012 A 0.25 96.88 per 100 units 2012/09/28 100,000,000 2010/08/02
23813 Nomura Int’l plc CNOOC European Warrants Sep 2011 0.25 14.58 2011/09/30 100,000,000 2010/08/02
23824 Nomura Int’l plc CPIC European Warrants Mar 2011 0.25 32.8 2011/03/31 200,000,000 2010/08/02
23819 Nomura Int’l plc Chi Res Land European Warrants Feb 2011 0.25 18.88 2011/02/02 100,000,000 2010/08/02
23817 Nomura Int’l plc China Shenhua European Warrants Feb 2011 0.267 33.3 2011/02/28 100,000,000 2010/08/02
23825 Nomura Int’l plc Shineway Pharm European Warrants Mar 2011 0.318 24 2011/03/31 100,000,000 2010/08/02
23827 Nomura Int’l plc GCL-Poly Energy European Warrants Apr 11 0.34 1.99 per unit 2011/04/29 100,000,000 2010/08/02
23821 Nomura Int’l plc ICBC European Warrants Mar 2011 0.531 6.18 per unit 2011/03/31 200,000,000 2010/08/02
23812 Nomura Int’l plc JIANC European Warrants Mar 2011 A 0.255 18.88 2011/03/31 100,000,000 2010/08/02
23816 Nomura Int’l plc Lenovo European Warrants Feb 2011 0.25 6.88 per unit 2011/02/02 50,000,000 2010/08/02
23818 Nomura Int’l plc Sinopharm European Warrants Feb 2011 0.375 30 2011/02/28 100,000,000 2010/08/02
23831 SGA Societe Generale Acceptance N.V. Foxconn Eu Wts Jul 11 0.16 6.8 2011/07/25 150,000,000 2010/08/02
23832 UBS AG Agricultural Bank European Warrants Jan 2011 G 0.15 4.18 per unit 2011/01/17 200,000,000 2010/08/02
#
21225 Macquarie Bank Ltd. Tencent European Put Warrants Nov 2010 0.041 125 per 100 units 2010/11/03 250,000,000 2010/08/02
#
22343 Credit Suisse AG A50 China European Warrants Nov 2010 A 0.089 12.68 2010/11/22 300,000,000 2010/08/02
#
23649 UBS AG Agricultural Bank European Put Warrants Jan 2011 E 0.06 2.68 per unit 2011/01/24 170,000,000 2010/08/02
23844 Citigroup Global Mkt H Inc. HS Bank European Wts Dec 2011 0.15 100 per 100 units 2011/12/28 100,000,000 2010/08/03
23845 Citigroup Global Mkt H Inc. Hutchison Euro Wts Dec 2010 0.15 55 2010/12/06 80,000,000 2010/08/03
23860 Deutsche Bank AG China Coal European Warrants Jan 2011 0.15 12.5 2011/01/24 100,000,000 2010/08/03
23861 Deutsche Bank AG Sinopharm European Warrants Dec 2010 0.25 32.88 2010/12/28 100,000,000 2010/08/03
23862 Deutsche Bank AG SHK Ppt European Warrants Feb 2011 0.15 116.18 per 100 units 2011/02/21 150,000,000 2010/08/03
23847 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Mar 2011 0.25 17.88 2011/03/08 108,000,000 2010/08/03
23848 KBC Fin Products Int’l Ltd. China Shenhua Eur Wt Mar 2011A 0.25 36.88 2011/03/01 80,000,000 2010/08/03
23850 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Feb 2011 A 0.25 60 2011/02/08 108,000,000 2010/08/03
23849 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Dec 2010 0.18 17.8 2010/12/23 108,000,000 2010/08/03
23830 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Jan11C 0.199 3.79 per unit 2011/01/24 150,000,000 2010/08/03
23843 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Jan11D 0.15 4.19 per unit 2011/01/17 150,000,000 2010/08/03
23857 CC Rabobank B.A. Angang Steel European Warrants Jun 2011 0.25 13.8 2011/06/29 150,000,000 2010/08/03
23858 CC Rabobank B.A. Shineway Pharm European Warrants Feb 2011 0.25 24.2 2011/02/25 100,000,000 2010/08/03
23859 CC Rabobank B.A. GCL-Poly Energy European Warrants Mar 11A 0.25 2.10 per unit 2011/03/30 120,000,000 2010/08/03
23846 UBS AG Agricultural Bank European Warrants Jan 2011 H 0.15 4.38 per unit 2011/01/10 200,000,000 2010/08/03
23853 UBS AG HSI European Warrants Jan 2011 0.2 20,500 per 8,000 units 2011/01/28 200,000,000 2010/08/03
23851 UBS AG HSI European Warrants Nov 2010 H 0.2 20,000 per 8,000 units 2010/11/29 200,000,000 2010/08/03
23852 UBS AG HSI European Warrants Dec 2010 H 0.15 21,500 per 8,000 units 2010/12/30 200,000,000 2010/08/03
23854 UBS AG HSI European Put Warrants Nov 2010 I 0.15 20,500 per 8,500 units 2010/11/29 200,000,000 2010/08/03
23855 UBS AG HSI European Put Warrants Dec 2010 I 0.15 20,000 per 8,000 units 2010/12/30 200,000,000 2010/08/03
23892 Credit Suisse AG China Mobile European Warrants Dec 2010 0.2 84 2010/12/23 300,000,000 2010/08/04
23896 Credit Suisse AG China Mobile European Put Warrants Dec 11 0.15 79.99 per 100 units 2011/12/23 300,000,000 2010/08/04
23897 Credit Suisse AG Ch Overseas European Put Warrants Nov 10B 0.15 15 2010/11/29 300,000,000 2010/08/04
23893 Credit Suisse AG HSBC European Wts Nov 2010 E 0.15 88.88 2010/11/08 300,000,000 2010/08/04
23894 Credit Suisse AG SHK Ppt European Warrants Feb 2011 0.15 116.18 per 100 units 2011/02/28 300,000,000 2010/08/04
23898 Credit Suisse AG SHK Ppt European Put Warrants Dec 2010 0.15 120 per 100 units 2010/12/20 300,000,000 2010/08/04
23895 Credit Suisse AG Tencent Holdings European Wts Dec 2010 B 0.15 148.88 per 100 units 2010/12/06 300,000,000 2010/08/04
23899 Credit Suisse AG Tencent Holdings European Put Wts Dec 10 0.15 145 per 100 units 2010/12/23 300,000,000 2010/08/04
23877 Citigroup Global Mkt H Inc. Cheung Kong Euro Wts Jan 2012 0.25 90 per 100 units 2012/01/30 100,000,000 2010/08/04
23871 HK Bank SHK Ppt European Warrants Oct 2011 0.15 125.10 per 100 units 2011/10/21 100,000,000 2010/08/04
23872 HK Bank Tencent European Warrants Apr 2011 A 0.15 158 per 100 units 2011/04/19 150,000,000 2010/08/04
23880 Macquarie Bank Ltd. ICBC European Warrants Feb 2011 0.253 7 per unit 2011/02/07 150,000,000 2010/08/04
23884 Macquarie Bank Ltd. ICBC European Put Warrants Feb 2011 0.635 6 per unit 2011/02/07 88,000,000 2010/08/04
23864 Merrill Lynch Int’l & Co. C.V. CK(H) European Wt Dec 2012A 0.19 88.89 per 100 units 2012/12/24 200,000,000 2010/08/04
23867 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Feb 2011 A 0.325 6.79 per unit 2011/02/07 150,000,000 2010/08/04
23863 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wt Feb 2011A 0.305 53.99 2011/02/07 150,000,000 2010/08/04
23865 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Put Wts Feb11 0.35 47.99 2011/02/14 150,000,000 2010/08/04
23876 CC Rabobank B.A. HSI European Warrants Jan 2011 0.15 21,600 per 7,500 units 2011/01/28 200,000,000 2010/08/04
23875 CC Rabobank B.A. HSI European Warrants Nov 2010 C 0.21 20,000 per 8,000 units 2010/11/29 200,000,000 2010/08/04
23874 CC Rabobank B.A. HSI European Warrants Dec 2010 G 0.18 21,200 per 8,000 units 2010/12/30 200,000,000 2010/08/04
23878 CC Rabobank B.A. HSI European Put Warrants Dec 2010 H 0.21 21,200 per 8,000 units 2010/12/30 200,000,000 2010/08/04
23879 CC Rabobank B.A. HSI European Put Warrants Dec 2010 I 0.24 21,600 per 8,000 units 2010/12/30 200,000,000 2010/08/04
23885 RB of Scotland N.V. HSI European Warrants Dec 2010 A 0.15 21,800 per 8,000 units 2010/12/30 250,000,000 2010/08/04
23886 RB of Scotland N.V. HSI European Warrants Dec 2010 B 0.151 21,400 per 8,600 units 2010/12/30 250,000,000 2010/08/04
23883 RB of Scotland N.V. HSI European Put Warrants Nov 2010 F 0.197 21,400 per 8,000 units 2010/11/29 250,000,000 2010/08/04
23866 RB of Scotland N.V. Tencent Holdings European Wts Feb 11A 0.25 138.88 per 100 units 2011/02/14 250,000,000 2010/08/04
23868 RB of Scotland N.V. Tencent Holdings European Wts Feb 11B 0.15 159.98 per 100 units 2011/02/23 250,000,000 2010/08/04
23869 SGA Societe Generale Acceptance N.V. CCB Eur Wt Nov 2010 C 0.22 7.38 per unit 2010/11/22 120,000,000 2010/08/04
23870 SGA Societe Generale Acceptance N.V. HWL Eur Wt Dec 2010 B 0.29 53.88 2010/12/29 100,000,000 2010/08/04
23889 UBS AG Agricultural Bank European Warrants Mar 2011 A 0.25 3.88 per unit 2011/03/14 200,000,000 2010/08/04
23890 UBS AG Agricultural Bank European Warrants Mar 2011 B 0.25 4.28 per unit 2011/03/28 200,000,000 2010/08/04
23887 UBS AG China Mobile European Warrants Feb 2011 A 0.25 88 2011/02/14 100,000,000 2010/08/04
23891 UBS AG HSBC European Warrants Feb 2011 0.25 94.88 2011/02/14 100,000,000 2010/08/04
23882 UBS AG HSCEI European Put Warrants Nov 2010 0.15 11,600 per 7,000 units 2010/11/29 100,000,000 2010/08/04
23888 UBS AG HSI European Warrants Feb 2011 E 0.25 22,000 per 10,000 units 2011/02/25 200,000,000 2010/08/04
23903 UBS AG HSI European Put Warrants Feb 2011 A 0.25 22,000 per 10,000 units 2011/02/25 200,000,000 2010/08/04
23873 UBS AG Jiangxi Copper European Warrants Jan 2011 0.15 20 2011/01/03 100,000,000 2010/08/04
23881 UBS AG SHK Ppt European Put Warrants Dec 2010 0.15 120.88 per 100 units 2010/12/06 100,000,000 2010/08/04
23905 BNP Paribas Arbit Issu B.V. HSCEI European Wts Apr 2011 0.26 12,600 per 6,000 units 2011/04/28 100,000,000 2010/08/05
23909 BNP Paribas Arbit Issu B.V. HSCEI Euro Put Wts Apr 2011 0.27 11,500 per 6,000 units 2011/04/28 100,000,000 2010/08/05
23902 Citigroup Global Mkt H Inc. Jiangxi Copper Euro Wts Feb 11 0.25 16.88 2011/02/21 100,000,000 2010/08/05
23908 Deutsche Bank AG HSBC European Warrants Jan 2011 0.69 79 2011/01/03 200,000,000 2010/08/05
23907 Deutsche Bank AG HSBC European Warrants Dec 2010 C 0.22 89.88 2010/12/06 200,000,000 2010/08/05
23904 Macquarie Bank Ltd. Tencent European Put Warrants Dec 2010 0.151 145 per 100 units 2010/12/29 250,000,000 2010/08/05
23900 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Nov 2010 0.155 12,000 per 6,200 units 2010/11/29 200,000,000 2010/08/05
23901 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Jan 2011 0.17 11,500 per 6,500 units 2011/01/28 200,000,000 2010/08/05
#
22610 Credit Suisse AG HKEx European Warrants Sep 2010 0.104 120 per 100 units 2010/09/27 300,000,000 2010/08/05
#
22243 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Oct10B 0.101 21,000 per 9,200 units 2010/10/28 300,000,000 2010/08/05
#
21895 UBS AG HSI European Put Warrants Sep 2010 E 0.036 20,000 per 8,800 units 2010/09/29 300,000,000 2010/08/05
23930 Barclays Bank plc Agricultural Bk European Put Wts Feb11 0.25 3.28 per unit 2011/02/28 100,000,000 2010/08/06
23931 Barclays Bank plc CHALCO European Warrants Jun 2011 0.15 7.38 2011/06/27 100,000,000 2010/08/06
23932 Barclays Bank plc Bank of EA European Warrants Apr 2011 0.25 33.28 2011/04/18 100,000,000 2010/08/06
23933 Barclays Bank plc HSBC European Warrants Dec 2011 0.16 77.70 per 93 units 2011/12/12 150,000,000 2010/08/06
23934 Barclays Bank plc Sinopharm European Warrants Mar 2011 0.3 33 2011/03/07 100,000,000 2010/08/06
23935 Credit Suisse AG HSI European Put Warrants Nov 2010 I 0.15 21,500 per 8,000 units 2010/11/29 400,000,000 2010/08/06
23937 Citigroup Global Mkt H Inc. Anhui Conch European Wts Apr11 0.25 29.88 2011/04/21 80,000,000 2010/08/06
23936 Citigroup Global Mkt H Inc. Agile Ppt European Wts Mar 11 0.15 11.88 2011/03/21 100,000,000 2010/08/06
23938 Citigroup Global Mkt H Inc. BOC HK European Wts May 2011 0.25 22.88 2011/05/30 100,000,000 2010/08/06
23939 Citigroup Global Mkt H Inc. CPIC European Warrants May 11 0.25 33.33 2011/05/23 100,000,000 2010/08/06
23944 Deutsche Bank AG Alibaba European Warrants Dec 2010 0.18 17.88 2010/12/28 100,000,000 2010/08/06
23940 KBC Fin Products Int’l Ltd. HSBC European Wts Nov 2010 D 0.27 82.9 2010/11/22 108,000,000 2010/08/06
23941 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Jan 11 0.15 145 per 100 units 2011/01/03 128,000,000 2010/08/06
23925 Macquarie Bank Ltd. China Mobile European Wts Feb 2011 A 0.285 85 2011/02/07 200,000,000 2010/08/06
23926 Macquarie Bank Ltd. China Mobile European Wts Oct 2011 0.15 65.99 per 100 units 2011/10/11 300,000,000 2010/08/06
23927 Macquarie Bank Ltd. Cathay Pacific European Wts Jul 2011 0.25 20 2011/07/06 150,000,000 2010/08/06
23928 Macquarie Bank Ltd. GCL-Poly Energy European Warrants Feb11 0.25 2.22 per unit 2011/02/09 88,000,000 2010/08/06
23929 Macquarie Bank Ltd. PetroChina European Wts Feb 2013 0.251 9 2013/02/04 200,000,000 2010/08/06
23910 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt Jan 2011 0.31 4.29 per unit 2011/01/17 150,000,000 2010/08/06
23914 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Put Wts Feb 11 0.38 3.57 per unit 2011/02/22 150,000,000 2010/08/06
23911 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jan 2011 0.15 13.69 2011/01/24 150,000,000 2010/08/06
23912 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Apr 2011 0.184 12.87 2011/04/28 150,000,000 2010/08/06
23915 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Dec 2010 0.155 13.17 2010/12/21 150,000,000 2010/08/06
23916 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Feb 2011 0.155 11.89 2011/02/14 150,000,000 2010/08/06
23913 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Dec 2010 F 0.28 88.29 2010/12/28 150,000,000 2010/08/06
23917 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Put Wt Apr 11 0.165 9.49 2011/04/11 150,000,000 2010/08/06
23918 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Put Wts Aug 11 0.152 99.99 per 100 units 2011/08/02 150,000,000 2010/08/06
23942 RB of Scotland N.V. Tencent Holdings European Wts Feb 11C 0.25 148.88 per 100 units 2011/02/28 250,000,000 2010/08/06
23943 RB of Scotland N.V. Tencent European Put Warrants Apr 2011 0.191 136.78 per 100 units 2011/04/04 250,000,000 2010/08/06
23920 SGA Societe Generale Acceptance N.V Ch Ship Cont Eu Wt Mar11 0.68 3.10 per unit 2011/03/28 80,000,000 2010/08/06
23919 SGA Societe Generale Acceptance N.V. Shenhua Eu Wt Jan 11 0.33 32.88 2011/01/31 100,000,000 2010/08/06
23921 SGA Societe Generale Acceptance N.V. CTel Eu Wt Nov 2010 B 0.23 4.28 per unit 2010/11/24 150,000,000 2010/08/06
23922 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Jan 2011 0.16 20 2011/01/10 100,000,000 2010/08/06
23923 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Aug 2011A 0.15 117.50 per 100 units 2011/08/01 300,000,000 2010/08/06
23953 BOCI Asia Ltd. CC Bank European Warrants Feb 2011 0.4 7.50 per unit 2011/02/25 100,000,000 2010/08/09
23958 BOCI Asia Ltd. CC Bank European Put Warrants Mar 2011 A 0.4 5.88 per unit 2011/03/04 100,000,000 2010/08/09
23955 BOCI Asia Ltd. Ch Comm Cons European Warrants Feb 2011 0.5 8.88 per unit 2011/02/28 100,000,000 2010/08/09
23954 BOCI Asia Ltd. CM Bank European Warrants Apr 2011 0.25 22.78 2011/04/15 100,000,000 2010/08/09
23959 BOCI Asia Ltd. CM Bank European Put Warrants Apr 2011 0.25 18.88 2011/04/01 100,000,000 2010/08/09
23957 BOCI Asia Ltd. MCC European Warrants Feb 2011 0.355 4.38 per unit 2011/02/28 100,000,000 2010/08/09
23952 BNP Paribas Arbit Issu B.V. HSI European Wts Feb 2011 0.25 21,000 per 8,600 units 2011/02/25 100,000,000 2010/08/09
23956 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Feb 2011 B 0.25 20,800 per 8,600 units 2011/02/25 100,000,000 2010/08/09
23973 Credit Suisse AG HSI European Put Warrants Feb 2011 A 0.25 22,400 per 8,000 units 2011/02/25 400,000,000 2010/08/09
23968 Credit Suisse AG HSI European Warrants Dec 2010 C 0.15 21,900 per 8,000 units 2010/12/30 400,000,000 2010/08/09
23965 Credit Suisse AG HSI European Put Warrants Nov 2010 J 0.15 20,600 per 8,500 units 2010/11/29 425,000,000 2010/08/09
23972 Credit Suisse AG HSI European Put Warrants Dec 2010 D 0.15 21,700 per 8,000 units 2010/12/30 400,000,000 2010/08/09
23963 Citigroup Global Mkt H Inc. China COSCO European Wts Sep11 0.25 9.18 2011/09/26 120,000,000 2010/08/09
23960 Citigroup Global Mkt H Inc. Ch Railway Cons Eu Wts Aug 11 0.25 11.86 2011/08/22 80,000,000 2010/08/09
23964 Citigroup Global Mkt H Inc. New World European Wts May 11 0.25 14.88 2011/05/27 80,000,000 2010/08/09
23967 Citigroup Global Mkt H Inc. SHK Ppt European Wts May 2011 0.25 105.88 per 100 units 2011/05/30 80,000,000 2010/08/09
23962 Citigroup Global Mkt H Inc. SHK Ppt Euro Put Wts Jun 2011 0.15 102.78 per 100 units 2011/06/01 80,000,000 2010/08/09
23961 Citigroup Global Mkt H Inc. Shimao Ppt Euro Wts Jul 2011 0.25 16.88 2011/07/25 80,000,000 2010/08/09
23969 Deutsche Bank AG BOC HK European Warrants Apr 2011 A 0.25 23 2011/04/04 150,000,000 2010/08/09
23970 Deutsche Bank AG Tencent Holdings European Warrants Feb11A 0.15 163.88 per 100 units 2011/02/28 300,000,000 2010/08/09
23974 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt Mar 11 0.45 3.68 per unit 2011/03/18 108,000,000 2010/08/09
23971 KBC Fin Products Int’l Ltd. BOC HK European Wts Feb 2011 0.25 20.18 2011/02/09 68,000,000 2010/08/09
23975 KBC Fin Products Int’l Ltd. BOC HK Euro Put Wts May 2011 0.25 18 2011/05/18 68,000,000 2010/08/09
23979 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt May 2011 1.12 86 2011/05/05 80,000,000 2010/08/09
23976 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Apr 2011B 1.02 7.48 per unit 2011/04/08 68,000,000 2010/08/09
23977 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Feb 11C 0.18 31.94 2011/02/08 108,000,000 2010/08/09
23978 KBC Fin Products Int’l Ltd. CMB European Put Warrants Mar11 0.25 19.48 2011/03/01 80,000,000 2010/08/09
23980 KBC Fin Products Int’l Ltd. CNOOC Euro Put Wts Oct 2011 0.15 11.98 2011/10/03 80,000,000 2010/08/09
23987 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts May 11 0.25 14 2011/05/03 80,000,000 2010/08/09
23981 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Jan 2011 0.24 5.48 per unit 2011/01/18 108,000,000 2010/08/09
23982 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Feb 2011 B 0.46 6 per unit 2011/02/09 80,000,000 2010/08/09
23983 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Put Wt Mar11 0.25 16 2011/03/01 80,000,000 2010/08/09
23984 KBC Fin Products Int’l Ltd. PetroChina Eur Put Wt Apr 11A 0.15 9.5 2011/04/15 88,000,000 2010/08/09
23985 KBC Fin Products Int’l Ltd. PetroChina Eur Put Wt Apr 11B 0.25 10.48 2011/04/08 88,000,000 2010/08/09
23986 KBC Fin Products Int’l Ltd. PetroChina Eur Put Wt Jun 2011 0.15 8.58 2011/06/15 88,000,000 2010/08/09
23966 Macquarie Bank Ltd. BOCHK European Warrants Jun 2011 A 0.256 23.88 2011/06/02 250,000,000 2010/08/09
23947 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jul 11A 0.151 22,300 per 15,000 units 2011/07/28 200,000,000 2010/08/09
23950 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jan 11E 0.16 19,500 per 8,500 units 2011/01/28 200,000,000 2010/08/09
23951 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jun 11C 0.255 19,000 per 8,000 units 2011/06/29 200,000,000 2010/08/09
23945 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Dec10H 0.185 20,300 per 10,000 units 2010/12/30 200,000,000 2010/08/09
23948 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Nov10I 0.154 20,700 per 12,000 units 2010/11/29 200,000,000 2010/08/09
23949 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec10J 0.234 22,100 per 10,000 units 2010/12/30 200,000,000 2010/08/09
#
21784 Credit Suisse AG HKEx European Warrants Oct 2010 B 0.063 130 per 100 units 2010/10/04 300,000,000 2010/08/09
#
22186 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10B 0.066 21,500 per 10,000 units 2010/09/29 200,000,000 2010/08/09
24017 Credit Suisse AG CC Bank European Warrants Dec 2010 B 0.15 7.69 per unit 2010/12/23 300,000,000 2010/08/10
24001 Credit Suisse AG Cheung Kong European Warrants Mar 2011 0.15 91.88 per 100 units 2011/03/07 300,000,000 2010/08/10
24000 Credit Suisse AG Tencent Holdings European Wts Feb 2011 A 0.15 163.80 per 100 units 2011/02/14 300,000,000 2010/08/10
10987 Deutsche Bank AG AUD/USD European Put Warrants Feb 2011 0.26 0.84 per 1 units 2011/02/14 50,000,000 2010/08/10
24020 Deutsche Bank AG Fushan Energy European Warrants Dec 2010 0.42 5.50 per unit 2010/12/28 100,000,000 2010/08/10
24013 Deutsche Bank AG HSI European Warrants Dec 2010 I 0.15 22,000 per 8,000 units 2010/12/30 300,000,000 2010/08/10
24014 Deutsche Bank AG HSI European Warrants Dec 2010 J 0.15 22,500 per 7,500 units 2010/12/30 300,000,000 2010/08/10
24021 Deutsche Bank AG ICBC European Warrants Jan 2011 0.295 6.50 per unit 2011/01/04 200,000,000 2010/08/10
24038 Goldman Sachs SP (Asia) HSI European Put Wts Jan 2011 0.15 21,000 per 9,500 units 2011/01/28 200,000,000 2010/08/10
24030 Goldman Sachs SP (Asia) HSI European Warrants Dec 2010 E 0.15 22,000 per 8,000 units 2010/12/30 200,000,000 2010/08/10
24031 Goldman Sachs SP (Asia) HSI European Warrants Jan 2011 A 0.19 21,000 per 8,000 units 2011/01/28 200,000,000 2010/08/10
24032 Goldman Sachs SP (Asia) HSI European Warrants Jan 2011 B 0.16 21,600 per 7,500 units 2011/01/28 200,000,000 2010/08/10
24033 Goldman Sachs SP (Asia) HSI European Warrants Feb 2011 A 0.25 21,000 per 7,500 units 2011/02/25 200,000,000 2010/08/10
24034 Goldman Sachs SP (Asia) HSI European Warrants Feb 2011 B 0.25 22,000 per 5,000 units 2011/02/25 200,000,000 2010/08/10
24035 Goldman Sachs SP (Asia) HSI European Warrants Feb 2011 C 0.25 22,600 per 5,000 units 2011/02/25 200,000,000 2010/08/10
24036 Goldman Sachs SP (Asia) HSI European Put Wts Dec 2010 F 0.15 21,000 per 8,000 units 2010/12/30 200,000,000 2010/08/10
24037 Goldman Sachs SP (Asia) HSI European Put Wts Dec 2010 G 0.18 21,600 per 8,000 units 2010/12/30 200,000,000 2010/08/10
24039 Goldman Sachs SP (Asia) HSI European Put Wts Feb 2011 D 0.25 21,200 per 6,000 units 2011/02/25 200,000,000 2010/08/10
24040 Goldman Sachs SP (Asia) HSI European Put Wts Feb 2011 E 0.25 22,200 per 8,000 units 2011/02/25 200,000,000 2010/08/10
23991 HK Bank Cheung Kong European Warrants Feb 2011 0.25 110 2011/02/10 100,000,000 2010/08/10
23992 HK Bank CNOOC European Warrants Apr 2011 0.25 14.28 2011/04/18 120,000,000 2010/08/10
23993 HK Bank Tencent European Put Warrants May 2011 0.25 138 per 100 units 2011/05/26 160,000,000 2010/08/10
23997 J P Morgan SP BV BOC HK European Warrants Mar 2011 0.25 22.88 2011/03/30 150,000,000 2010/08/10
23998 J P Morgan SP BV China COSCO European Warrants Nov 2011 0.25 10 2011/11/11 200,000,000 2010/08/10
23999 J P Morgan SP BV ICBC European Warrants Feb 2011 0.25 7.08 per unit 2011/02/10 100,000,000 2010/08/10
24025 KBC Fin Products Int’l Ltd. Sinopec Corp Eu Put Wt Feb 11D 0.25 5 per unit 2011/02/10 80,000,000 2010/08/10
24022 KBC Fin Products Int’l Ltd. HSBC European Wts Mar 2011 0.17 100 2011/03/01 108,000,000 2010/08/10
24023 KBC Fin Products Int’l Ltd. HSBC European Wts Sep 2011A 0.15 80 per 100 units 2011/09/01 108,000,000 2010/08/10
24026 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts May 2011 C 0.15 84.88 per 100 units 2011/05/03 108,000,000 2010/08/10
24027 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Jul 2011 0.25 98 per 100 units 2011/07/18 108,000,000 2010/08/10
24028 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Oct 2011 A 0.18 89.95 per 100 units 2011/10/03 108,000,000 2010/08/10
24024 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Jun 2011 0.22 100.98 per 100 units 2011/06/24 88,000,000 2010/08/10
24029 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Jul 2011 0.25 128 per 100 units 2011/07/04 80,000,000 2010/08/10
24016 Macquarie Bank Ltd. CM Bank European Warrants Mar 2011 0.254 24 2011/03/02 250,000,000 2010/08/10
24002 Macquarie Bank Ltd. CM Bank European Put Warrants Mar 2011 0.251 20 2011/03/02 200,000,000 2010/08/10
23988 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jan11B 0.255 19,800 per 9,000 units 2011/01/28 200,000,000 2010/08/10
23989 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jan11C 0.204 21,000 per 8,000 units 2011/01/28 200,000,000 2010/08/10
23990 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jan11D 0.176 21,700 per 7,500 units 2011/01/28 200,000,000 2010/08/10
23995 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jan 11G 0.168 20,900 per 9,500 units 2011/01/28 200,000,000 2010/08/10
23996 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jan 11H 0.162 22,300 per 14,800 units 2011/01/28 200,000,000 2010/08/10
24003 CC Rabobank B.A. BOC HK European Warrants Aug 2011 0.25 21.8 2011/08/30 120,000,000 2010/08/10
24005 CC Rabobank B.A. Ch Mobile European Warrants Feb 2011 A 0.39 82.5 2011/02/25 75,000,000 2010/08/10
24004 CC Rabobank B.A. CC Bank European Warrants Feb 2011 A 0.3 7.28 per unit 2011/02/25 75,000,000 2010/08/10
24006 CC Rabobank B.A. CNOOC European Warrants Jul 2011 A 0.25 13.5 2011/07/28 150,000,000 2010/08/10
24008 CC Rabobank B.A. Dongfang Elec European Warrants Feb 2011 0.66 30 2011/02/25 60,000,000 2010/08/10
24007 CC Rabobank B.A. Digital China European Warrants Feb 2011 0.25 13.8 2011/02/25 120,000,000 2010/08/10
24015 CC Rabobank B.A. A50 China European Warrants Nov 2011 B 0.25 13.2 2011/11/11 120,000,000 2010/08/10
24009 CC Rabobank B.A. Hutchison European Warrants Feb 2011 A 0.27 56 2011/02/25 75,000,000 2010/08/10
24010 CC Rabobank B.A. ICBC European Warrants Feb 2011 A 0.33 6.50 per unit 2011/02/25 75,000,000 2010/08/10
24011 CC Rabobank B.A. Shanghai Ind European Warrants Feb 2011 0.25 41.2 2011/02/25 60,000,000 2010/08/10
24012 CC Rabobank B.A. Tencent Holdings European Wts Feb 2011 0.15 163.88 per 100 units 2011/02/14 150,000,000 2010/08/10
24018 RB of Scotland N.V. China Mobile European Wts Dec 2011 0.15 73.888 per 100 units 2011/12/05 300,000,000 2010/08/10
24019 RB of Scotland N.V. HSI European Put Warrants Dec 2010 D 0.198 22,200 per 10,000 units 2010/12/30 250,000,000 2010/08/10
#
23430 KBC Fin Products Int’l Ltd. BOC HK European Wts Mar 2011 0.222 18.88 2011/03/01 222,000,000 2010/08/10
24076 BNP Paribas Arbit Issu B.V. Agile Ppt European Wts Oct 11 0.25 11.28 2011/10/03 100,000,000 2010/08/11
24077 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Apr 2011 0.25 8.28 per unit 2011/04/04 200,000,000 2010/08/11
24078 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Dec 2010 B 0.22 88.83 2010/12/06 200,000,000 2010/08/11
24068 Credit Suisse AG BOCL European Warrants Dec 2010 0.15 4.50 per unit 2010/12/21 300,000,000 2010/08/11
24071 Credit Suisse AG China Mobile European Warrants Oct 2012 0.15 83.90 per 100 units 2012/10/29 300,000,000 2010/08/11
24070 Credit Suisse AG CC Bank European Warrants Jan 2011 A 0.15 7.99 per unit 2011/01/17 300,000,000 2010/08/11
24067 Credit Suisse AG HKEx European Warrants Jun 2011 A 0.15 139.90 per 100 units 2011/06/27 300,000,000 2010/08/11
24073 Credit Suisse AG HSCEI European Warrants Nov 2010 0.15 12,050 per 6,200 units 2010/11/29 310,000,000 2010/08/11
24075 Credit Suisse AG HSCEI European Warrants Apr 2011 A 0.25 13,200 per 6,200 units 2011/04/28 310,000,000 2010/08/11
24074 Credit Suisse AG HSCEI European Put Warrants Jan 2011 0.15 11,450 per 6,500 units 2011/01/28 325,000,000 2010/08/11
24072 Credit Suisse AG HSI European Warrants Nov 2010 K 0.15 22,400 per 7,500 units 2010/11/29 375,000,000 2010/08/11
24069 Credit Suisse AG ICBC European Warrants Jan 2011 A 0.15 6.89 per unit 2011/01/17 300,000,000 2010/08/11
24052 HK Bank HSI European Warrants Dec 2010 K 0.15 22,500 per 7,500 units 2010/12/30 160,000,000 2010/08/11
24053 HK Bank HSI European Warrants Feb 2011 A 0.25 21,800 per 10,000 units 2011/02/25 160,000,000 2010/08/11
24054 HK Bank HSI European Warrants Feb 2011 B 0.25 22,800 per 9,200 units 2011/02/25 160,000,000 2010/08/11
24055 HK Bank HSI European Warrants Feb 2011 C 0.25 23,300 per 8,000 units 2011/02/25 160,000,000 2010/08/11
24059 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jan 2011 0.15 11,500 per 6,500 units 2011/01/28 100,000,000 2010/08/11
24060 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Feb 2011 A 0.25 12,000 per 6,500 units 2011/02/25 100,000,000 2010/08/11
24061 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Feb 2011 B 0.25 12,500 per 7,000 units 2011/02/25 100,000,000 2010/08/11
24062 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Feb 2011 C 0.25 21,400 per 8,000 units 2011/02/25 200,000,000 2010/08/11
24063 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Feb 2011 D 0.25 21,800 per 8,800 units 2011/02/25 200,000,000 2010/08/11
24064 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Feb 2011 E 0.25 22,800 per 9,500 units 2011/02/25 200,000,000 2010/08/11
24065 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Mar 2011 A 0.26 23,200 per 10,000 units 2011/03/30 200,000,000 2010/08/11
24066 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Mar 2011 B 0.28 23,600 per 10,500 units 2011/03/30 200,000,000 2010/08/11
24042 Macquarie Bank Ltd. China Life European Wts Feb 2011 0.25 40 2011/02/11 300,000,000 2010/08/11
24047 Macquarie Bank Ltd. China Life European Put Wts Feb 2011 0.151 30.88 2011/02/09 300,000,000 2010/08/11
24044 Macquarie Bank Ltd. HSI European Warrants Nov 2010 D 0.153 22,500 per 7,500 units 2010/11/29 300,000,000 2010/08/11
24048 Macquarie Bank Ltd. HSI European Put Warrants Nov 2010 E 0.172 21,300 per 9,000 units 2010/11/29 300,000,000 2010/08/11
24045 Macquarie Bank Ltd. Hutchison European Warrants Jun 2011 A 0.252 62 2011/06/02 150,000,000 2010/08/11
24046 Macquarie Bank Ltd. Sands China European Warrants Feb 2011 0.251 13.88 2011/02/11 300,000,000 2010/08/11
24041 RB of Scotland N.V. BYD European Warrants May 2011 0.15 60.888 per 100 units 2011/05/23 250,000,000 2010/08/11
24058 RB of Scotland N.V. China Mobile European Wts Dec 2010 0.334 84.08 2010/12/22 100,000,000 2010/08/11
24056 RB of Scotland N.V. CC Bank European Warrants Dec 2010 A 0.42 6.888 per unit 2010/12/13 100,000,000 2010/08/11
24057 RB of Scotland N.V. CC Bank European Warrants Dec 2010 B 0.24 7.508 per unit 2010/12/30 100,000,000 2010/08/11
24049 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Sep 2011 0.18 14.58 2011/09/28 300,000,000 2010/08/11
24050 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jan 2011 B 0.26 93.98 2011/01/05 100,000,000 2010/08/11
24051 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Sep 2011 C 0.16 70 per 100 units 2011/09/12 500,000,000 2010/08/11
#
19896 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Oct 2010 B 0.017 144.99 per 100 units 2010/10/25 600,000,000 2010/08/11
24083 BNP Paribas Arbit Issu B.V. BOCHK European Warrants Mar 11 0.15 22.05 2011/03/24 200,000,000 2010/08/12
24082 BNP Paribas Arbit Issu B.V. BOCL European Wts Aug 2012 0.5 5.38 per unit 2012/08/31 200,000,000 2010/08/12
24085 BNP Paribas Arbit Issu B.V. China Coal Euro Wts Nov 2011 0.26 12.38 2011/11/29 200,000,000 2010/08/12
24084 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Oct 2012 0.15 96.93 per 100 units 2012/10/05 200,000,000 2010/08/12
24088 BNP Paribas Arbit Issu B.V. HKEx European Put Wts May2011A 0.21 133.10 per 100 units 2011/05/25 100,000,000 2010/08/12
24086 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Nov 2011 0.41 18.38 2011/11/04 200,000,000 2010/08/12
24087 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Dec12 0.25 122.88 per 100 units 2012/12/03 200,000,000 2010/08/12
24091 Credit Suisse AG China Life European Warrants Nov 10A 0.15 36.98 2010/11/12 300,000,000 2010/08/12
24092 Credit Suisse AG China Life European Warrants Nov 2010 B 0.15 38.85 2010/11/29 300,000,000 2010/08/12
24095 Credit Suisse AG China Life European Put Warrants Nov 2010 0.15 33 2010/11/29 300,000,000 2010/08/12
24096 Citigroup Global Mkt H Inc. China Mobile Eur Wt Jun 2012 0.15 84.88 per 100 units 2012/06/29 150,000,000 2010/08/12
24097 Citigroup Global Mkt H Inc. ICBC European Wts Jan 2011 0.25 6.50 per unit 2011/01/17 80,000,000 2010/08/12
24099 Deutsche Bank AG China Mobile European Warrants Feb 2011 A 0.27 92 2011/02/21 200,000,000 2010/08/12
24100 Deutsche Bank AG Wynn Macau European Warrants Mar 2011 0.25 14 2011/03/14 100,000,000 2010/08/12
24093 HK Bank China Mobile European Put Warrants Feb 2011 0.25 74.88 2011/02/14 100,000,000 2010/08/12
24094 HK Bank China Mobile European Put Warrants Dec 2011 0.25 88.88 per 100 units 2011/12/29 100,000,000 2010/08/12
24089 J P Morgan SP BV CNOOC European Warrants Jan 2011 0.15 13.7 2011/01/24 200,000,000 2010/08/12
24090 J P Morgan SP BV A50 China European Warrants Jun 2011 0.15 13.9 2011/06/23 200,000,000 2010/08/12
24101 KBC Fin Products Int’l Ltd. CITIC Bank Euro Wts Mar 2011 0.31 6.38 per unit 2011/03/08 80,000,000 2010/08/12
24109 KBC Fin Products Int’l Ltd. CITIC Bank Eur Put Wt Mar 2011 0.49 5.18 per unit 2011/03/10 80,000,000 2010/08/12
24102 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Feb 2011 A 0.27 115 2011/02/14 108,000,000 2010/08/12
24110 KBC Fin Products Int’l Ltd. CK(H) Euro Put Wts Jul 2011 0.25 110 per 100 units 2011/07/08 108,000,000 2010/08/12
24103 KBC Fin Products Int’l Ltd. CRCC European Wts Aug 2011 0.25 11.68 2011/08/08 100,000,000 2010/08/12
24111 KBC Fin Products Int’l Ltd. CRCC European Put Wts Aug11 0.25 10.38 2011/08/08 100,000,000 2010/08/12
24104 KBC Fin Products Int’l Ltd. Esprit European Wts May 2011 0.25 58.88 2011/05/18 80,000,000 2010/08/12
24105 KBC Fin Products Int’l Ltd. Huaneng Power Eur Wts Jul 2011 0.69 4.58 per unit 2011/07/04 58,000,000 2010/08/12
24112 KBC Fin Products Int’l Ltd. HuanengPower Euro Put Wt Jun11 0.61 4.48 per unit 2011/06/10 58,000,000 2010/08/12
24107 KBC Fin Products Int’l Ltd. Li & Fung European Wts Jun11 0.25 49.8 2011/06/08 58,000,000 2010/08/12
24113 KBC Fin Products Int’l Ltd. Li & Fung Euro Put Wt Jun11 0.43 34 2011/06/03 58,000,000 2010/08/12
24106 KBC Fin Products Int’l Ltd. New World European Wts Jun11 A 0.25 14.8 2011/06/01 80,000,000 2010/08/12
24108 KBC Fin Products Int’l Ltd. Wharf European Warrants Jun11A 0.37 48 2011/06/10 80,000,000 2010/08/12
24098 Macquarie Bank Ltd. Henganintl European Warrants Feb 2011 0.36 83.88 2011/02/14 180,000,000 2010/08/12
24079 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Oct 2012 0.15 83.87 per 100 units 2012/10/26 200,000,000 2010/08/12
24080 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Dec 2012 0.25 130 per 100 units 2012/12/03 200,000,000 2010/08/12
24117 CC Rabobank B.A. Ch Mobile European Put Wts Dec 2011 0.15 80 per 100 units 2011/12/23 200,000,000 2010/08/12
24118 CC Rabobank B.A. China Life European Put Warrants Jan 2011 0.2 33 2011/01/07 200,000,000 2010/08/12
24115 CC Rabobank B.A. Ch Mobile European Warrants Jan 2011 B 0.37 88.8 2011/01/21 100,000,000 2010/08/12
24116 CC Rabobank B.A. Ch Mobile European Warrants Feb 2011 B 0.29 92.88 2011/02/22 100,000,000 2010/08/12
24081 UBS AG China Mobile European Warrants Feb 2011 B 0.25 93.88 2011/02/28 100,000,000 2010/08/12
#
19230 Credit Suisse China Mobile European Put Warrants Oct 2010 0.021 78.88 per 100 units 2010/10/25 500,000,000 2010/08/12
24146 Credit Suisse AG Hutchison European Put Warrants Feb 2011 0.25 52.8 2011/02/14 300,000,000 2010/08/13
24142 Credit Suisse AG Hutchison European Warrants Feb 2011 A 0.25 64.8 2011/02/14 300,000,000 2010/08/13
24159 Credit Suisse AG Hutchison European Warrants Feb 2011 B 0.25 70 2011/02/21 300,000,000 2010/08/13
24120 Citigroup Global Mkt H Inc. Ch Overseas Euro Wts Jun 2011 A 0.25 18.88 2011/06/27 80,000,000 2010/08/13
24119 Citigroup Global Mkt H Inc. C Transmission Euro Wt Jun11 0.25 19.88 2011/06/27 80,000,000 2010/08/13
24121 Citigroup Global Mkt H Inc. Hang Lung Ppt Euro Wts May2011 0.25 37.88 2011/05/11 50,000,000 2010/08/13
24124 Citigroup Global Mkt H Inc. HSI European Warrants Feb2011A 0.15 21,500 per 10,000 units 2011/02/25 80,000,000 2010/08/13
24128 Citigroup Global Mkt H Inc. HSI European Put Wts Jan 2011 0.15 21,000 per 9,500 units 2011/01/28 80,000,000 2010/08/13
24122 Citigroup Global Mkt H Inc. MTRC European Wts May 2011 0.25 30 2011/05/23 50,000,000 2010/08/13
24123 Citigroup Global Mkt H Inc. Skyworth Digital Euro Wt Mar11 0.15 6.88 2011/03/22 80,000,000 2010/08/13
24144 Deutsche Bank AG Agricultural Bk European Warrants Jan 11 0.15 3.88 per unit 2011/01/12 150,000,000 2010/08/13
24145 Deutsche Bank AG Agricultural Bk European Warrants Mar 11 0.15 4.28 per unit 2011/03/21 150,000,000 2010/08/13
24149 Deutsche Bank AG Hutchison European Warrants Feb 2011 A 0.35 60.88 2011/02/14 150,000,000 2010/08/13
24162 Deutsche Bank AG Hutchison European Warrants Mar 2011 A 0.31 65 2011/03/15 150,000,000 2010/08/13
24166 Goldman Sachs SP (Asia) China Mobile Euro Wts Feb 2011 A 0.25 93 2011/02/21 200,000,000 2010/08/13
24164 Goldman Sachs SP (Asia) China Life Euro Wts Mar 2011 A 0.25 37.5 2011/03/21 200,000,000 2010/08/13
24167 Goldman Sachs SP (Asia) Sinopec Corp European Wts Feb11A 0.25 7.28 per unit 2011/02/14 200,000,000 2010/08/13
24168 Goldman Sachs SP (Asia) HKEx European Warrants Feb 2011 0.25 159 2011/02/14 200,000,000 2010/08/13
24169 Goldman Sachs SP (Asia) HSBC European Warrants Feb 2011 0.25 94.5 2011/02/14 200,000,000 2010/08/13
24137 J P Morgan SP BV Agricultural Bk European Warrants Jan 11 0.254 3.48 per unit 2011/01/10 150,000,000 2010/08/13
24143 J P Morgan SP BV Agricultural Bk European Warrants Feb 11 0.25 4 per unit 2011/02/25 150,000,000 2010/08/13
24138 J P Morgan SP BV Cathay Pacific European Warrants May 2011 0.256 20 2011/05/30 120,000,000 2010/08/13
24163 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Dec 2010 C 0.205 7.39 per unit 2010/12/01 128,000,000 2010/08/13
24165 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Feb 11D 1.36 70 2011/02/14 70,000,000 2010/08/13
24160 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Feb 2011 B 0.25 68 2011/02/14 108,000,000 2010/08/13
24161 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Feb 2011 C 0.25 73.88 2011/02/14 108,000,000 2010/08/13
24154 Macquarie Bank Ltd. Agricultural Bk European Warrants Mar11 0.151 4.28 per unit 2011/03/21 168,000,000 2010/08/13
24158 Macquarie Bank Ltd. Agricultural Bk European Put Wt Jan11 0.214 3.18 per unit 2011/01/24 128,000,000 2010/08/13
24155 Macquarie Bank Ltd. Cheung Kong European Warrants Mar 2011 0.254 128 2011/03/03 200,000,000 2010/08/13
24156 Macquarie Bank Ltd. Hutchison European Warrants Feb 2011 A 0.25 68.88 2011/02/14 200,000,000 2010/08/13
24157 Macquarie Bank Ltd. Li & Fung European Warrants Feb 2011 0.251 43.88 2011/02/14 200,000,000 2010/08/13
24139 CC Rabobank B.A. Agricultural Bk European Warrants Jan 11 0.167 3.88 per unit 2011/01/12 75,000,000 2010/08/13
24141 CC Rabobank B.A. Agricultural Bk European Put Wts Feb11 0.27 3.33 per unit 2011/02/22 75,000,000 2010/08/13
24148 Standard Chartered Bank China Life European Warrants Apr11A 0.25 38.38 2011/04/28 200,000,000 2010/08/13
24147 Standard Chartered Bank HSBC European Warrants Mar 2011 0.41 88.38 2011/03/16 100,000,000 2010/08/13
24129 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Apr 2011 A 0.33 4.55 per unit 2011/04/18 120,000,000 2010/08/13
24127 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Jan 2011 B 0.2 4.80 per unit 2011/01/31 120,000,000 2010/08/13
24130 SGA Societe Generale Acceptance N.V. BOCom Eur Wt Feb 2011 0.61 10.28 per unit 2011/02/14 100,000,000 2010/08/13
24131 SGA Societe Generale Acceptance N.V. CCoal Eur Wt Jun 2011 0.25 11.68 2011/06/08 100,000,000 2010/08/13
24132 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Apr 2011A 0.17 13.5 2011/04/04 200,000,000 2010/08/13
24133 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jul 2011 A 0.15 133.88 per 100 units 2011/07/18 300,000,000 2010/08/13
24134 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Dec 2011 A 0.2 128 per 100 units 2011/12/12 300,000,000 2010/08/13
24126 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Feb 11A 0.3 22,800 per 9,000 units 2011/02/25 300,000,000 2010/08/13
24125 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Dec10K 0.21 22,200 per 10,000 units 2010/12/30 300,000,000 2010/08/13
24135 SGA Societe Generale Acceptance N.V. HWL Eur Wt Jan 2011 0.19 59.88 2011/01/03 100,000,000 2010/08/13
24150 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Nov10C 0.15 153.88 per 100 units 2010/11/15 200,000,000 2010/08/13
24151 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Feb11C 0.18 160 per 100 units 2011/02/23 200,000,000 2010/08/13
24136 SGA Societe Generale Acceptance NV Yanzhou Coal Eu Wt May11 0.28 20 2011/05/18 100,000,000 2010/08/13
24152 UBS AG BOC HK European Warrants Mar 2011 0.15 22 2011/03/24 100,000,000 2010/08/13
24153 UBS AG CNOOC European Warrants Jan 2011 0.15 13.7 2011/01/24 100,000,000 2010/08/13
24174 Barclays Bank plc China Mobile European Wts Feb 2011 0.28 89.88 2011/02/21 100,000,000 2010/08/16
24175 Barclays Bank plc China Mobile European Wts Jun 2012 0.16 84.88 per 100 units 2012/06/18 150,000,000 2010/08/16
24178 Barclays Bank plc China Mobile European Put Wts Feb 2011 0.28 73.88 2011/02/21 100,000,000 2010/08/16
24176 Barclays Bank plc CC Bank European Warrants Mar 2011 0.43 7.50 per unit 2011/03/07 100,000,000 2010/08/16
24177 Barclays Bank plc CM Bank European Put Warrants Mar 2011 0.25 19.28 2011/03/21 100,000,000 2010/08/16
24194 Credit Suisse AG China Mobile European Warrants Feb 2011 A 0.25 92.38 2011/02/16 300,000,000 2010/08/16
24170 Citigroup Global Mkt H Inc. BOCL European Wts Mar 2011 0.25 4.58 per unit 2011/03/28 80,000,000 2010/08/16
24171 Citigroup Global Mkt H Inc. Hutchison Euro Put Wt Feb 2011 0.25 56 2011/02/25 80,000,000 2010/08/16
24172 Citigroup Global Mkt H Inc. Sands China European Wts Apr11 0.25 12.88 2011/04/18 80,000,000 2010/08/16
24173 Citigroup Global Mkt H Inc. Wynn Macau European Wts May11 0.25 14.88 2011/05/30 80,000,000 2010/08/16
24184 Deutsche Bank AG Minsheng Bank European Warrants Feb 2011 0.47 8.28 per unit 2011/02/28 150,000,000 2010/08/16
24185 Deutsche Bank AG Hutchison European Put Warrants Feb 2011 0.33 55 2011/02/28 100,000,000 2010/08/16
24188 J P Morgan SP BV HKEx European Warrants Aug 2011 A 0.15 143 per 100 units 2011/08/08 300,000,000 2010/08/16
24187 J P Morgan SP BV Hutchison European Warrants Feb 2011A 0.283 62.88 2011/02/16 100,000,000 2010/08/16
24191 J P Morgan SP BV Hutchison European Put Warrants Feb 2011 0.284 56.88 2011/02/16 100,000,000 2010/08/16
24189 J P Morgan SP BV Tencent European Warrants Feb 2011 0.15 163.88 per 100 units 2011/02/14 200,000,000 2010/08/16
24196 KBC Fin Products Int’l Ltd. BOC HK European Wts May 2011 0.15 22.88 2011/05/23 128,000,000 2010/08/16
24195 KBC Fin Products Int’l Ltd. BOCL European Wts Jan 2011 D 0.15 4.81 per unit 2011/01/26 128,000,000 2010/08/16
24197 KBC Fin Products Int’l Ltd. China Life Euro Wts Mar 2011 A 0.17 38.38 2011/03/01 208,000,000 2010/08/16
24199 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Feb 2011 C 0.25 12,200 per 6,200 units 2011/02/25 100,000,000 2010/08/16
24200 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Feb 2011 D 0.25 13,000 per 5,800 units 2011/02/25 100,000,000 2010/08/16
24201 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Feb 11E 0.25 53.8 2011/02/16 138,000,000 2010/08/16
24198 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Apr 11 0.15 158 per 100 units 2011/04/18 128,000,000 2010/08/16
24202 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Jun11A 0.25 155 per 100 units 2011/06/01 128,000,000 2010/08/16
24181 Macquarie Bank Ltd. Ch Oilfield European Warrants Mar 2011 0.25 11.5 2011/03/02 200,000,000 2010/08/16
24180 Macquarie Bank Ltd. Minsheng Bank European Wts Feb 11A 0.25 9.80 per unit 2011/02/16 88,000,000 2010/08/16
24206 CC Rabobank B.A. ChiUnicom European Warrants Jul 2011 0.25 10.5 2011/07/29 200,000,000 2010/08/16
24203 CC Rabobank B.A. CC Bank European Warrants Feb 2011 B 0.25 7.80 per unit 2011/02/21 75,000,000 2010/08/16
24207 CC Rabobank B.A. CITIC Pacific European Warrants Mar 2011 0.25 17.2 2011/03/30 150,000,000 2010/08/16
24204 CC Rabobank B.A. China Life European Warrants Feb 2011 A 0.25 37 2011/02/25 50,000,000 2010/08/16
24205 CC Rabobank B.A. Sinopec Corp European Warrants Feb 2011 0.25 7.10 per unit 2011/02/16 75,000,000 2010/08/16
24208 CC Rabobank B.A. Hutchison European Warrants Feb 2011 B 0.25 66 2011/02/16 75,000,000 2010/08/16
24209 CC Rabobank B.A. ICBC European Warrants Feb 2011 B 0.25 7 per unit 2011/02/21 75,000,000 2010/08/16
24210 CC Rabobank B.A. MTRC European Warrants Feb 2011 0.25 31.2 2011/02/25 75,000,000 2010/08/16
24211 CC Rabobank B.A. Tencent Holdings European Put Wts Feb 11 0.25 160 per 100 units 2011/02/25 150,000,000 2010/08/16
24212 CC Rabobank B.A. Zijin Mining European Warrants Feb 2011 0.65 6 per unit 2011/02/18 75,000,000 2010/08/16
24192 RB of Scotland N.V. HSI European Warrants Nov 2010 G 0.15 22,400 per 7,500 units 2010/11/29 250,000,000 2010/08/16
24186 SGA Societe Generale Acceptance N.V. CMB Euro Wts Dec 10B 0.21 22 2010/12/29 100,000,000 2010/08/16
24190 UBS AG BOCL European Warrants Jan 2011 A 0.15 4.80 per unit 2011/01/26 100,000,000 2010/08/16
24193 UBS AG HSI European Put Warrants Dec 2010 J 0.15 21,600 per 8,000 units 2010/12/30 200,000,000 2010/08/16
24182 UBS AG Hutchison European Warrants Feb 2011 A 0.25 63.88 2011/02/16 100,000,000 2010/08/16
24183 UBS AG Hutchison European Warrants Feb 2011 B 0.25 71.88 2011/02/21 100,000,000 2010/08/16
#
23319 UBS AG CC Bank European Warrants Nov 2010 A 0.102 7.38 per unit 2010/11/18 100,000,000 2010/08/16
24243 Barclays Bank plc HSI European Warrants Mar 2011 A 0.25 22,900 per 8,500 units 2011/03/30 150,000,000 2010/08/17
24244 Barclays Bank plc HSI European Warrants Mar 2011 B 0.25 23,300 per 8,000 units 2011/03/30 150,000,000 2010/08/17
24245 Barclays Bank plc HSI European Put Warrants Feb 2011 D 0.25 21,700 per 10,000 units 2011/02/25 150,000,000 2010/08/17
24246 Barclays Bank plc HSI European Put Warrants Feb 2011 E 0.25 22,200 per 10,000 units 2011/02/25 150,000,000 2010/08/17
24247 Barclays Bank plc HSI European Put Warrants Feb 2011 F 0.25 22,700 per 10,000 units 2011/02/25 150,000,000 2010/08/17
24236 BOCI Asia Ltd. BankComm European Warrants Nov 2012 0.25 8.5 2012/11/29 100,000,000 2010/08/17
24237 BOCI Asia Ltd. Hutchison European Warrants Jun 2011 0.35 70 2011/06/13 100,000,000 2010/08/17
24241 BNP Paribas Arbit Issu B.V. CNOOC European Wts Jan 2011 0.15 13.7 2011/01/24 100,000,000 2010/08/17
24242 BNP Paribas Arbit Issu B.V. R&F Ppt European Wts Jul 2011 0.25 13.88 2011/07/29 100,000,000 2010/08/17
24254 Deutsche Bank AG China Overseas European Warrants Apr 2011 0.25 18 2011/04/04 100,000,000 2010/08/17
24255 Deutsche Bank AG WISE CSI European Warrants Mar 2011 0.34 35 2011/03/21 100,000,000 2010/08/17
24259 Deutsche Bank AG WISE CSI European Put Warrants Mar 2011 0.3 30 2011/03/21 100,000,000 2010/08/17
24234 HK Bank Agricultural Bank European Warrants Apr 2011 A 0.25 4.30 per unit 2011/04/26 100,000,000 2010/08/17
24238 HK Bank Agricultural Bank European Put Warrants Apr 2011 0.25 3 per unit 2011/04/26 100,000,000 2010/08/17
24235 HK Bank HWL European Warrants Feb 2011 0.26 68.8 2011/02/18 120,000,000 2010/08/17
24250 J P Morgan SP BV Alibaba European Warrants Jan 2011 0.15 16.88 2011/01/24 150,000,000 2010/08/17
24251 J P Morgan SP BV China Agri European Warrants Dec 2011 0.25 10.88 2011/12/29 120,000,000 2010/08/17
24252 J P Morgan Int’l Der. Ltd. CC Bank European Wts Feb 2011 A 0.315 7.18 per unit 2011/02/17 100,000,000 2010/08/17
24223 Macquarie Bank Ltd. Anhui Conch European Warrants Jun 2011 0.251 36.88 2011/06/21 200,000,000 2010/08/17
24222 Macquarie Bank Ltd. Alibaba European Warrants May 2011 0.25 18.88 2011/05/30 168,800,000 2010/08/17
24224 Macquarie Bank Ltd. CC Bank European Warrants Jan 2011 C 0.151 8 per unit 2011/01/12 288,000,000 2010/08/17
24225 Macquarie Bank Ltd. China Mobile European Wts Feb 2011 B 0.25 100 2011/02/17 300,000,000 2010/08/17
24228 Macquarie Bank Ltd. CNBM European Warrants Jun 2011 A 0.25 18.88 2011/06/17 200,000,000 2010/08/17
24248 Macquarie Bank Ltd. Chi Res Land European Wts Feb 2011 0.25 18 2011/02/25 100,000,000 2010/08/17
24229 Macquarie Bank Ltd. China Unicom European Wts Aug 2011 B 0.15 11.88 2011/08/26 200,000,000 2010/08/17
24230 Macquarie Bank Ltd. R&F Ppt European Warrants Jul 2011 0.25 14 2011/07/04 150,000,000 2010/08/17
24240 Macquarie Bank Ltd. HSBC European Put Warrants Jan 2011 0.335 76 2011/01/04 200,000,000 2010/08/17
24239 Macquarie Bank Ltd. HSBC European Warrants Feb 2011 B 0.252 92.88 2011/02/17 200,000,000 2010/08/17
24227 Macquarie Bank Ltd. KECL European Warrants Sep 2011 0.25 12.88 2011/09/30 200,000,000 2010/08/17
24231 Macquarie Bank Ltd. Lee & Man Paper European Wts Dec 2011 0.15 6.88 2011/12/22 231,400,000 2010/08/17
24232 Macquarie Bank Ltd. Maanshan Iron European Wts Feb 2011 0.251 6 per unit 2011/02/17 100,000,000 2010/08/17
24233 Macquarie Bank Ltd. MTRC European Warrants May 2011 0.25 34 2011/05/04 200,000,000 2010/08/17
24249 Macquarie Bank Ltd. Yurun Food European Warrants Feb 2011 0.25 32 2011/02/25 100,000,000 2010/08/17
24213 Merrill Lynch Int’l & Co. C.V. Ch Shenhua Eur Wts Jan 2011 0.285 32.89 2011/01/24 100,000,000 2010/08/17
24214 Merrill Lynch Int’l & Co. C.V. Ch Shenhua Eur Wts Apr 2011 0.255 36.99 2011/04/18 100,000,000 2010/08/17
24215 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jun2011A 0.325 68.99 2011/06/13 150,000,000 2010/08/17
24216 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Sep 2011 0.295 73.99 2011/09/12 150,000,000 2010/08/17
24220 Merrill Lynch Int’l & Co. C.V. Hutchison Eu Put Wt Apr2011A 0.495 56.99 2011/04/11 100,000,000 2010/08/17
24217 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Wts Dec 2010 0.151 19.99 2010/12/28 100,000,000 2010/08/17
24221 Merrill Lynch Int’l & Co. C.V. JX Copper Eu Put Wt Apr2011 0.265 16.99 2011/04/18 100,000,000 2010/08/17
24218 Merrill Lynch Int’l & Co. C.V. Tencent Euro Wts Feb 2011 A 0.15 163.89 per 100 units 2011/02/14 150,000,000 2010/08/17
24219 Merrill Lynch Int’l & Co. C.V. Tencent Euro Wts Feb 2011 B 0.16 168.80 per 100 units 2011/02/15 150,000,000 2010/08/17
#
15415 Macquarie Bank Ltd. Hutchison European Warrants Jul 2011 A 0.071 58.88 per 100 units 2011/07/25 400,000,000 2010/08/17
#
18775 Deutsche Bank AG Cheung Kong European Warrants Oct 2010 0.078 97 per 100 units 2010/10/25 300,000,000 2010/08/17
#
22379 Deutsche Bank AG A50 China European Warrants Nov 2010 0.045 12.68 2010/11/22 300,000,000 2010/08/17
#
22142 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Nov 2010 0.243 66 2010/11/01 120,000,000 2010/08/17
#
23225 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Dec 2010 0.076 48 2010/12/28 138,000,000 2010/08/17
#
19855 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Put Wts Nov10 0.187 55.99 2010/11/08 70,000,000 2010/08/17
#
22477 UBS AG A50 China European Warrants Nov 2010 B 0.044 12.7 2010/11/22 300,000,000 2010/08/17
#
21834 UBS AG HKEx European Warrants Dec 2010 C 0.049 130 per 100 units 2010/12/06 300,000,000 2010/08/17
#
15225 UBS AG Hutchison European Warrants Jul 2011 A 0.075 58.88 per 100 units 2011/07/25 500,000,000 2010/08/17
#
14631 UBS AG Hutchison European Warrants Dec 2010 A 0.023 66.88 per 100 units 2010/12/06 500,000,000 2010/08/17
24262 Citigroup Global Mkt H Inc. Belle Int’l European Wts Jun11 0.25 13.88 2011/06/27 80,000,000 2010/08/18
24269 Citigroup Global Mkt H Inc. Hutchison Euro Wts Feb 2011 0.25 69.88 2011/02/28 80,000,000 2010/08/18
24263 Citigroup Global Mkt H Inc. KECL European Warrants Aug2011 0.25 10.88 2011/08/18 100,000,000 2010/08/18
24276 Deutsche Bank AG China Life European Warrants Nov 2010 C 0.15 36 2010/11/22 300,000,000 2010/08/18
24277 Deutsche Bank AG ICBC European Warrants Nov 2010 B 0.25 5.99 per unit 2010/11/22 200,000,000 2010/08/18
24278 Deutsche Bank AG ICBC European Warrants Nov 2010 C 0.17 6.38 per unit 2010/11/22 200,000,000 2010/08/18
24270 Deutsche Bank AG Jiangxi Copper European Warrants Mar 2011 0.25 18 2011/03/28 100,000,000 2010/08/18
24271 Deutsche Bank AG Yanzhou Coal European Warrants Mar 2011 0.25 17.8 2011/03/21 100,000,000 2010/08/18
24273 J P Morgan SP BV BEA European Warrants Feb 2011 0.25 33.88 2011/02/18 80,000,000 2010/08/18
24272 J P Morgan SP BV BankComm European Warrants Apr 2012 0.25 7.88 2012/04/27 300,000,000 2010/08/18
24274 J P Morgan SP BV Henderson Land Dev European Wts Feb 2011 0.25 58.88 2011/02/18 80,000,000 2010/08/18
24268 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Feb 2011 F 0.25 78.88 2011/02/18 120,000,000 2010/08/18
24264 Macquarie Bank Ltd. Hang Seng Bank European Wts Mar 2011 0.25 130 2011/03/02 200,000,000 2010/08/18
24275 Macquarie Bank Ltd. Hutchison European Warrants Feb 2011 B 0.251 75 2011/02/18 200,000,000 2010/08/18
24266 Macquarie Bank Ltd. Tencent European Warrants Jul 2011 A 0.251 175 per 100 units 2011/07/04 250,000,000 2010/08/18
24265 CC Rabobank B.A. CC Bank European Warrants Dec 2010 C 0.15 7.70 per unit 2010/12/23 200,000,000 2010/08/18
24256 SGA Societe Generale Acceptance N.V. BBMG Euro Wts Apr11 0.25 9.4 2011/04/04 200,000,000 2010/08/18
24257 SGA Societe Generale Acceptance N.V. BBMG Euro Wts Sep11 0.25 11 2011/09/05 200,000,000 2010/08/18
24258 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jan 2011 E 0.22 21,000 per 8,000 units 2011/01/28 300,000,000 2010/08/18
24260 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jan 2011 F 0.2 21,700 per 7,500 units 2011/01/28 300,000,000 2010/08/18
24261 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Jan 2011 C 0.18 6.89 per unit 2011/01/10 120,000,000 2010/08/18
24279 UBS AG A50 China European Warrants Nov 2011 0.15 12.9 2011/11/21 200,000,000 2010/08/18
#
21089 Macquarie Bank Ltd. HSCEI European Warrants Oct 2010 0.051 12,400 per 6,000 units 2010/10/28 200,000,000 2010/08/18
#
22187 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Sep10C 0.035 22,000 per 7,500 units 2010/09/29 300,000,000 2010/08/18
24301 Deutsche Bank AG BOCL European Warrants Dec 2010 C 0.15 4.50 per unit 2010/12/28 200,000,000 2010/08/19
24302 Deutsche Bank AG Cheung Kong European Warrants Jun 2011 0.15 99 per 100 units 2011/06/28 200,000,000 2010/08/19
24303 Deutsche Bank AG Cheung Kong European Warrants Oct 2011 0.15 105 per 100 units 2011/10/24 200,000,000 2010/08/19
24304 Deutsche Bank AG China Life European Warrants Feb 2011 A 0.27 33.88 2011/02/21 300,000,000 2010/08/19
24305 Deutsche Bank AG HSBC European Warrants Feb 2011 A 0.38 85 2011/02/21 200,000,000 2010/08/19
24293 J P Morgan Int’l Der. Ltd. CC Bank European Wts Feb 2011 B 0.25 7.78 per unit 2011/02/21 100,000,000 2010/08/19
24297 J P Morgan SP BV C Transmission European Warrants Feb 2011 0.25 18.88 2011/02/21 100,000,000 2010/08/19
24294 J P Morgan SP BV CNBM European Warrants Feb 2011 0.25 15 2011/02/21 100,000,000 2010/08/19
24298 J P Morgan SP BV Fushan Energy European Warrants Feb 2011 0.25 5.88 per unit 2011/02/21 80,000,000 2010/08/19
24295 J P Morgan SP BV HSBC European Put Warrants Dec 2011 0.15 76.88 per 100 units 2011/12/12 388,000,000 2010/08/19
24299 J P Morgan SP BV JX Copper European Warrants Feb 2011 0.25 18 2011/02/21 200,000,000 2010/08/19
24300 J P Morgan SP BV KECL European Warrants Jun 2011 0.15 11.42 2011/06/22 188,000,000 2010/08/19
24296 J P Morgan SP BV SHK Ppt European Warrants Aug 2011 0.15 125 per 100 units 2011/08/29 200,000,000 2010/08/19
24290 Macquarie Bank Ltd. CITIC Bank European Warrants Mar 2011 0.256 6.50 per unit 2011/03/02 100,000,000 2010/08/19
24289 Macquarie Bank Ltd. HSI European Warrants Feb 2011 0.15 23,300 per 8,000 units 2011/02/25 200,000,000 2010/08/19
24288 Macquarie Bank Ltd. HSI European Warrants Dec 2010 C 0.15 22,000 per 8,000 units 2010/12/30 200,000,000 2010/08/19
24291 Macquarie Bank Ltd. Huaneng Power European Wts Mar 2011 0.252 5.50 per unit 2011/03/02 100,000,000 2010/08/19
24292 Macquarie Bank Ltd. ZTE European Warrants Mar 2011 0.258 36 2011/03/02 200,000,000 2010/08/19
24280 Merrill Lynch Int’l & Co. C.V. BOC HK Euro Wts Mar 2011 0.203 19.99 2011/03/28 100,000,000 2010/08/19
24281 Merrill Lynch Int’l & Co. C.V. BOC HK Euro Wts May 2011 A 0.152 22.89 2011/05/23 100,000,000 2010/08/19
24284 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Feb 2011 0.151 18.89 2011/02/28 100,000,000 2010/08/19
24287 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Put Wts Jan11 0.18 15.49 2011/01/25 100,000,000 2010/08/19
24282 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Jan 2011 B 0.205 36.89 2011/01/24 150,000,000 2010/08/19
24283 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Jan 2011 C 0.151 39.09 2011/01/13 150,000,000 2010/08/19
24285 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Mar 11A 0.255 15.99 2011/03/14 100,000,000 2010/08/19
24286 Merrill Lynch Int’l & Co. C.V. Ch Overseas Eur Wt Mar 11B 0.178 17.69 2011/03/15 100,000,000 2010/08/19
24306 RB of Scotland N.V. China Mobile European Wts Feb 2011 0.35 95.88 2011/02/21 100,000,000 2010/08/19
24307 RB of Scotland N.V. China Mobile European Wts Jun 2012 0.15 84.888 per 100 units 2012/06/18 300,000,000 2010/08/19
24308 RB of Scotland N.V. China Mobile European Put Wts Dec11 0.15 79.98 per 100 units 2011/12/21 300,000,000 2010/08/19
24309 RB of Scotland N.V. HKEx European Put Warrants Mar 2011 0.15 128.10 per 100 units 2011/03/11 200,000,000 2010/08/19
#
14560 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Dec 2010 0.023 70.05 per 100 units 2010/12/24 600,000,000 2010/08/19
24318 Deutsche Bank AG Air China European Warrants Dec 2010 0.15 9.99 2010/12/28 100,000,000 2010/08/20
24319 Deutsche Bank AG Cathay Pacific European Warrants Apr 2011 0.25 20 2011/04/18 100,000,000 2010/08/20
24320 Deutsche Bank AG Dongfeng Motor European Warrants Mar 11 0.15 11 2011/03/28 100,000,000 2010/08/20
24317 Deutsche Bank AG HSI European Warrants Feb 2011 A 0.25 22,500 per 5,000 units 2011/02/25 300,000,000 2010/08/20
24321 Deutsche Bank AG HSI European Put Warrants Feb 2011 E 0.25 19,500 per 5,000 units 2011/02/25 300,000,000 2010/08/20
24322 Deutsche Bank AG Hutchison European Warrants Feb 2011 B 0.29 71 2011/02/21 200,000,000 2010/08/20
24323 Deutsche Bank AG Hutchison European Warrants Mar 2011 B 0.25 77 2011/03/29 200,000,000 2010/08/20
24328 Goldman Sachs SP (Asia) Agricultural Bk European Wts Feb11 0.25 3.58 per unit 2011/02/28 200,000,000 2010/08/20
24329 Goldman Sachs SP (Asia) Agricultural Bk European Wts Jun11 0.25 3.88 per unit 2011/06/27 200,000,000 2010/08/20
24330 Goldman Sachs SP (Asia) Sinopec Corp European Wts Feb11B 0.31 6.70 per unit 2011/02/21 200,000,000 2010/08/20
24312 HK Bank China Mobile European Warrants Feb 2011 0.25 96 2011/02/21 120,000,000 2010/08/20
24313 HK Bank China Mobile European Warrants Apr 2011 A 0.25 108 2011/04/27 120,000,000 2010/08/20
24314 HK Bank China Mobile European Warrants Jun 2012 0.15 84.90 per 100 units 2012/06/18 160,000,000 2010/08/20
24315 J P Morgan SP BV China Mob European Wts Feb 2011 0.279 90.88 2011/02/22 100,000,000 2010/08/20
24316 J P Morgan SP BV China Mob European Wts Jun 2012 0.153 84.88 per 100 units 2012/06/18 388,000,000 2010/08/20
24327 CC Rabobank B.A. A50 China European Warrants Jun 2011 A 0.15 11.9 2011/06/03 200,000,000 2010/08/20
24310 SGA Societe Generale Acceptance N.V. HWL Eur Wt Feb 2011 0.26 71.88 2011/02/21 120,000,000 2010/08/20
24324 UBS AG BOCL European Warrants Jan 2011 B 0.15 4.38 per unit 2011/01/03 100,000,000 2010/08/20
24325 UBS AG CC Bank European Warrants Dec 2010 C 0.15 7.68 per unit 2010/12/30 200,000,000 2010/08/20
24326 UBS AG SPDR Gold Trust European Warrants Feb 2011 0.25 988 per 100 units 2011/02/21 100,000,000 2010/08/20
#
22166 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Nov 2010 B 0.021 39.99 2010/11/01 500,000,000 2010/08/20
24350 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Apr 2011 0.3 98 2011/04/04 100,000,000 2010/08/23
24345 Credit Suisse AG Cheung Kong European Warrants Oct 2011 0.15 104.98 per 100 units 2011/10/17 300,000,000 2010/08/23
24346 HK Bank HSI European Put Warrants Jan 2011 A 0.15 20,300 per 8,000 units 2011/01/28 160,000,000 2010/08/23
24344 J P Morgan SP BV Cheung Kong European Warrants Oct 2011 0.15 105 per 100 units 2011/10/17 200,000,000 2010/08/23
24347 J P Morgan SP BV Hutchison European Warrants Feb 2011 B 0.22 70 2011/02/14 100,000,000 2010/08/23
24348 J P Morgan SP BV New World Dev European Warrants May 2011 0.15 14.88 2011/05/20 100,000,000 2010/08/23
24349 J P Morgan SP BV SHK Ppt European Warrants May 2011 0.151 105.88 per 100 units 2011/05/23 200,000,000 2010/08/23
24339 Macquarie Bank Ltd. Gome European Warrants Mar 2011 0.256 3 per unit 2011/03/16 88,000,000 2010/08/23
24340 Macquarie Bank Ltd Skyworth Digital European Warrants Sep 12 0.25 6.8 2012/09/26 80,000,000 2010/08/23
24341 Macquarie Bank Ltd. Soho China European Warrants Apr 2012 0.25 5.3 2012/04/30 200,000,000 2010/08/23
24342 Macquarie Bank Ltd. Zijin Mining European Wts Feb 2011 0.272 7 per unit 2011/02/28 80,000,000 2010/08/23
24338 Merrill Lynch Int’l & Co. C.V. BOCL European Put Wts Feb 11 0.305 3.93 per unit 2011/02/28 100,000,000 2010/08/23
24331 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Jan 2011A 0.153 4.59 per unit 2011/01/12 100,000,000 2010/08/23
24332 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Jan 2011B 0.15 4.81 per unit 2011/01/26 100,000,000 2010/08/23
24333 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Feb 2011B 0.375 3.99 per unit 2011/02/23 100,000,000 2010/08/23
24336 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Dec 2010 G 0.3 83.92 2010/12/24 100,000,000 2010/08/23
24335 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Mar 2011 0.49 63.99 2011/03/01 100,000,000 2010/08/23
24334 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Feb 11B 0.305 69.99 2011/02/28 100,000,000 2010/08/23
24337 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Mar 2011A 0.3 6.19 per unit 2011/03/07 100,000,000 2010/08/23
24351 RB of Scotland N.V. Agricultural Bk European Wts Feb11 A 0.252 3.70 per unit 2011/02/28 100,000,000 2010/08/23
24353 RB of Scotland N.V. China Mobile European Wts Jan 2011 0.394 88.838 2011/01/24 100,000,000 2010/08/23
24354 RB of Scotland N.V. HKEx European Warrants Jul 2011 A 0.15 133.888 per 100 units 2011/07/18 250,000,000 2010/08/23
24355 RB of Scotland N.V. HSBC European Warrants Feb 2011 A 0.486 82.05 2011/02/23 100,000,000 2010/08/23
24356 RB of Scotland N.V. HWL European Warrants Feb 2011 A 0.263 70.88 2011/02/23 100,000,000 2010/08/23
24343 SGA Societe Generale Acceptance N.V. CLife Eu Wt Dec 2010C 0.23 33.85 2010/12/29 200,000,000 2010/08/23
24367 BOCI Asia Ltd. Cheung Kong European Warrants Oct 2011 0.15 105 per 100 units 2011/10/31 100,000,000 2010/08/24
24371 BNP Paribas Arbit Issu B.V. Hutchison European Wts Mar 11B 0.44 68.88 2011/03/01 100,000,000 2010/08/24
24379 Credit Suisse AG BOCL European Warrants Jan 2011 A 0.15 4.288 per unit 2011/01/10 300,000,000 2010/08/24
24374 Credit Suisse AG CC Bank European Warrants Feb 2011 A 0.25 6.868 per unit 2011/02/28 300,000,000 2010/08/24
24373 Credit Suisse AG CC Bank European Warrants Dec 2010 C 0.15 7.288 per unit 2010/12/28 200,000,000 2010/08/24
24378 Credit Suisse AG CM Bank European Warrants Dec 2010 B 0.15 21.98 2010/12/28 200,000,000 2010/08/24
24372 Credit Suisse AG Sinopec Corp European Warrants Nov 2010 0.15 6.388 per unit 2010/11/24 200,000,000 2010/08/24
24377 Credit Suisse AG ICBC European Warrants Jul 2012 0.15 5.67 2012/07/03 300,000,000 2010/08/24
24375 Credit Suisse AG ICBC European Warrants Dec 2010 D 0.15 6.18 per unit 2010/12/20 200,000,000 2010/08/24
24376 Credit Suisse AG ICBC European Warrants Jan 2011 B 0.15 6.30 per unit 2011/01/24 300,000,000 2010/08/24
24361 Citigroup Global Mkt H Inc. Anta Sports European Wts May11 0.25 18 2011/05/30 100,000,000 2010/08/24
24362 Citigroup Global Mkt H Inc. CM Bank European Wts Jul 2011 0.25 22 2011/07/11 100,000,000 2010/08/24
24368 Citigroup Global Mkt H Inc. A50 China Euro Wts Jun 2011 A 0.15 11.88 2011/06/03 120,000,000 2010/08/24
24369 Citigroup Global Mkt H Inc. A50 China Euro Wts Jan 2012 0.25 12.48 2012/01/16 120,000,000 2010/08/24
24370 Citigroup Global Mkt H Inc. Henganintl European Wts Jun12A 0.25 68.88 per 100 units 2012/06/25 100,000,000 2010/08/24
24388 Deutsche Bank AG China Cosco European Warrants Nov 2011 0.18 10 2011/11/07 100,000,000 2010/08/24
24392 Deutsche Bank AG Henganintl European Warrants Feb 2011 0.52 85 2011/02/28 100,000,000 2010/08/24
24389 Deutsche Bank AG HSI European Warrants Feb 2011 B 0.35 20,400 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24390 Deutsche Bank AG HSI European Warrants Feb 2011 C 0.29 21,400 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24391 Deutsche Bank AG HSI European Warrants Feb 2011 D 0.25 22,000 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24393 Deutsche Bank AG HSI European Put Warrants Feb 2011 F 0.25 20,600 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24394 Deutsche Bank AG HSI European Put Warrants Feb 2011 G 0.28 21,200 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24395 Deutsche Bank AG HSI European Put Warrants Feb 2011 H 0.32 21,800 per 8,000 units 2011/02/25 300,000,000 2010/08/24
24403 Deutsche Bank AG SHK Ppt European Warrants Oct 2011 0.15 125 per 100 units 2011/10/24 200,000,000 2010/08/24
24380 J P Morgan SP BV Agile Ppt European Warrants Jul 2011 A 0.25 9.88 2011/07/25 150,000,000 2010/08/24
24381 J P Morgan SP BV Belle Int’l European Warrants Mar 2011 0.25 15 2011/03/21 180,000,000 2010/08/24
24382 J P Morgan SP BV China Shenhua European Warrants Feb 2011A 0.25 30.88 2011/02/24 100,000,000 2010/08/24
24383 J P Morgan SP BV China Shenhua European Warrants Feb 2011B 0.25 33.88 2011/02/24 100,000,000 2010/08/24
24384 J P Morgan SP BV Ch Zhongwang European Warrants Oct 2012 0.25 5.88 2012/10/29 100,000,000 2010/08/24
24385 J P Morgan SP BV R&F Ppt European Warrants Jun 2011 0.25 12.88 2011/06/20 100,000,000 2010/08/24
24386 J P Morgan SP BV HSBC European Warrants Dec 2011 0.154 77.70 per 93 units 2011/12/12 388,000,000 2010/08/24
24387 Macquarie Bank Ltd. Digital China European Warrants Mar 11 0.25 15 2011/03/30 200,000,000 2010/08/24
24357 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Feb11A 0.191 21,100 per 7,500 units 2011/02/25 200,000,000 2010/08/24
24358 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Feb11B 0.158 21,600 per 10,000 units 2011/02/25 200,000,000 2010/08/24
24359 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Feb11C 0.159 22,100 per 9,500 units 2011/02/25 200,000,000 2010/08/24
24360 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Nov 10J 0.162 21,400 per 9,000 units 2010/11/29 200,000,000 2010/08/24
24363 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11D 0.157 19,800 per 8,000 units 2011/02/25 200,000,000 2010/08/24
24364 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11E 0.156 20,300 per 8,800 units 2011/02/25 200,000,000 2010/08/24
24366 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11G 0.154 19,000 per 9,500 units 2011/02/25 200,000,000 2010/08/24
24396 RB of Scotland N.V. HKEx European Warrants Jul 2011 B 0.161 118 per 100 units 2011/07/04 250,000,000 2010/08/24
24398 Standard Chartered Bank China Mobile European Wts Apr11 0.475 90.88 2011/04/28 100,000,000 2010/08/24
24400 Standard Chartered Bank A50 China European Warrants Jun 11 0.153 11.88 2011/06/08 250,000,000 2010/08/24
24397 Standard Chartered Bank Hutchison European Euro Wts Mar11 0.255 72.88 2011/03/08 100,000,000 2010/08/24
24399 Standard Chartered Bank ICBC European Warrants Mar 2011 0.25 6.68 per unit 2011/03/08 150,000,000 2010/08/24
24402 UBS AG China Coal European Warrants Jan 2011 0.15 12.5 2011/01/17 100,000,000 2010/08/24
24401 UBS AG Cheung Kong European Warrants Oct 2011 0.15 105 per 100 units 2011/10/17 100,000,000 2010/08/24
#
22443 UBS AG China Life European Warrants Nov 2010 A 0.122 34.88 2010/11/08 200,000,000 2010/08/24
24453 BNP Paribas Arbit Issu B.V. China Life Euro Wts Jan 2011 0.19 35.93 2011/01/07 100,000,000 2010/08/25
24452 BNP Paribas Arbit Issu B.V. China Life Euro Wts Apr 2011 A 0.27 35.68 2011/04/29 100,000,000 2010/08/25
24454 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Feb 2011 B 0.38 92.8 2011/02/28 100,000,000 2010/08/25
24428 Credit Suisse AG BBMG European Warrants Mar 2011 0.15 9.39 2011/03/28 300,000,000 2010/08/25
24429 Credit Suisse AG BBMG European Warrants Aug 2011 0.15 10.99 2011/08/29 300,000,000 2010/08/25
24430 Credit Suisse AG BankComm European Warrants Apr 2012 0.15 7.88 2012/04/23 300,000,000 2010/08/25
24431 Credit Suisse AG BankComm European Warrants Nov 2012 0.15 8.5 2012/11/26 300,000,000 2010/08/25
24426 Credit Suisse AG China Shenhua European Warrants Jan 2011 0.15 32.38 2011/01/31 300,000,000 2010/08/25
24427 Credit Suisse AG A50 China European Warrants Jun 2011 A 0.15 11.9 2011/06/07 300,000,000 2010/08/25
24425 Credit Suisse AG Jiangxi Copper European Put Wts Apr11 A 0.15 17 2011/04/11 300,000,000 2010/08/25
24413 Citigroup Global Mkt H Inc. Anta Sports European Wts Mar11 0.25 20 2011/03/28 80,000,000 2010/08/25
24447 Citigroup Global Mkt H Inc. Chaoda Modern European Wt Aug11 0.25 7.68 2011/08/30 80,000,000 2010/08/25
24414 Citigroup Global Mkt H Inc. Sinopec Corp Euro Wts Feb 2011 0.25 6.68 per unit 2011/02/25 80,000,000 2010/08/25
24415 Citigroup Global Mkt H Inc. Chi Taiping European Wts Feb11 0.25 28.88 2011/02/25 80,000,000 2010/08/25
24416 Citigroup Global Mkt H Inc. Sh Ind H European Wts Jun 2011 0.25 42.88 2011/06/27 80,000,000 2010/08/25
24450 Deutsche Bank AG CITIC Pacific European Warrants Mar 2011B 0.21 18 2011/03/28 100,000,000 2010/08/25
24448 Deutsche Bank AG Dongfeng Motor European Warrants Jun 11 0.25 12.4 2011/06/07 100,000,000 2010/08/25
24449 Deutsche Bank AG PICC P&C European Warrants Jul 2011 A 0.25 9.3 2011/07/11 150,000,000 2010/08/25
24411 J P Morgan SP BV Shineway Pharm European Warrants Feb 2011 0.25 24.88 2011/02/25 100,000,000 2010/08/25
24412 J P Morgan SP BV Evergrande European Warrants Feb 2011 0.25 3.38 per unit 2011/02/25 100,000,000 2010/08/25
24451 KBC Fin Products Int’l Ltd. China Life Euro Wts Jan 2011 B 0.25 33.89 2011/01/21 128,000,000 2010/08/25
24404 Macquarie Bank Ltd. ASM Pacific European Warrants Oct 2011 0.25 70 per 100 units 2011/10/04 200,000,000 2010/08/25
24405 Macquarie Bank Ltd. BBMG European Warrants Aug 2011 0.251 12 2011/08/01 200,000,000 2010/08/25
24406 Macquarie Bank Ltd. Belle Int’l European Warrants Jun 2011 0.251 14.98 2011/06/07 200,000,000 2010/08/25
24407 Macquarie Bank Ltd. China Travel European Wts Feb 2011 0.25 2.40 per unit 2011/02/28 88,000,000 2010/08/25
24408 Macquarie Bank Ltd. Li Ning European Warrants Mar 2011 0.257 32.8 2011/03/31 200,000,000 2010/08/25
24433 Macquarie Bank Ltd. PICC P&C European Warrants Jul 2011 0.25 8.88 2011/07/05 200,000,000 2010/08/25
24434 Macquarie Bank Ltd. PICC P&C European Warrants Oct 2011 0.252 10 2011/10/04 200,000,000 2010/08/25
24435 Macquarie Bank Ltd. Sh Ind H European Warrants Feb 2011 0.251 45 2011/02/25 100,000,000 2010/08/25
24432 Macquarie Bank Ltd. Sinoma European Warrants May 2011 0.151 7 2011/05/27 100,000,000 2010/08/25
24409 Macquarie Bank Ltd. SJM Holdings European Warrants Feb 11 0.251 7.77 2011/02/28 200,000,000 2010/08/25
24443 CC Rabobank B.A. Belle Int’l European Warrants Mar 2011 0.25 15 2011/03/02 120,000,000 2010/08/25
24444 CC Rabobank B.A. Gome European Warrants Feb 2011 0.25 2.80 per unit 2011/02/28 100,000,000 2010/08/25
24446 CC Rabobank B.A. Mongolia Energy European Wts Mar 2011 0.49 4.30 per unit 2011/03/01 100,000,000 2010/08/25
24417 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Feb 2011 A 0.25 3.58 per unit 2011/02/28 200,000,000 2010/08/25
24410 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Feb 2011 A 0.28 4.24 per unit 2011/02/28 120,000,000 2010/08/25
24418 SGA Societe Generale Acceptance N.V. BYD Euro Wts Feb 2011 0.82 48.88 2011/02/28 80,000,000 2010/08/25
24419 SGA Societe Generale Acceptance N.V. BYD Euro Wts Apr 2011 0.72 54.88 2011/04/27 80,000,000 2010/08/25
24438 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Feb 11A 0.41 88.8 2011/02/07 80,000,000 2010/08/25
24420 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Feb 2011B 0.46 114.9 2011/02/07 80,000,000 2010/08/25
24436 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 10D 0.42 85.38 2010/12/29 80,000,000 2010/08/25
24437 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jan 11C 0.65 82.68 2011/01/31 80,000,000 2010/08/25
24421 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Mar 11B 0.61 87 2011/03/02 100,000,000 2010/08/25
24439 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Feb 11B 0.26 7.25 per unit 2011/02/28 80,000,000 2010/08/25
24422 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jul 2011 B 0.17 118.10 per 100 units 2011/07/04 200,000,000 2010/08/25
24440 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Feb 11B 0.24 21,800 per 8,800 units 2011/02/25 300,000,000 2010/08/25
24423 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Dec 2010 0.17 96.93 per 100 units 2010/12/13 300,000,000 2010/08/25
24424 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Jun 2011 0.16 105.98 per 100 units 2011/06/01 300,000,000 2010/08/25
24442 UBS AG Hutchison European Put Warrants Feb 2011 D 0.15 52.8 2011/02/07 100,000,000 2010/08/25
24441 UBS AG SHK Ppt European Warrants Aug 2011 B 0.15 125 per 100 units 2011/08/29 100,000,000 2010/08/25
24476 BNP Paribas Arbit Issu B.V. China Life Euro Wts Apr 2011 B 0.21 38.43 2011/04/21 150,000,000 2010/08/26
24479 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Jan 2012 0.16 12.9 2012/01/20 150,000,000 2010/08/26
24477 BNP Paribas Arbit Issu B.V. ICBC European Wts Apr 2011 0.41 6.28 per unit 2011/04/29 150,000,000 2010/08/26
24478 BNP Paribas Arbit Issu B.V. ICBC European Wts Jun 2012 0.15 5.69 2012/06/21 150,000,000 2010/08/26
24468 Credit Suisse AG Cheung Kong European Warrants Jul 2011 0.15 98.99 per 100 units 2011/07/04 300,000,000 2010/08/26
24470 Credit Suisse AG A50 China European Warrants Jun 2011 B 0.15 11.9 2011/06/07 300,000,000 2010/08/26
24469 Credit Suisse AG HKEx European Put Warrants Mar 2011 0.15 128 per 100 units 2011/03/14 300,000,000 2010/08/26
24462 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt May 2011 0.25 18.88 2011/05/23 80,000,000 2010/08/26
24463 Citigroup Global Mkt H Inc. Dongfeng European Wts Jun 2011 0.25 12.88 2011/06/20 80,000,000 2010/08/26
24472 Deutsche Bank AG CNBM European Warrants Feb 2011 0.25 16 2011/02/28 150,000,000 2010/08/26
24473 Deutsche Bank AG Geely Auto European Warrants Dec 2010 0.18 3.28 per unit 2010/12/06 100,000,000 2010/08/26
24459 HK Bank HSI European Put Warrants Jan 2011 B 0.15 20,800 per 8,000 units 2011/01/28 160,000,000 2010/08/26
24467 J P Morgan SP BV PICC European Warrants Aug 2011 0.25 10 2011/08/11 200,000,000 2010/08/26
24475 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Feb 2011 B 0.15 91.90 per 100 units 2011/02/21 100,000,000 2010/08/26
24474 KBC Fin Products Int’l Ltd. HS Bank European Wts Feb 2011 0.41 118 2011/02/28 108,000,000 2010/08/26
24471 Macquarie Bank Ltd. Bank of EA European Warrants May 2011 0.251 36 2011/05/03 200,000,000 2010/08/26
24455 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Jun 2011 0.15 99.01 per 100 units 2011/06/28 100,000,000 2010/08/26
24456 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Oct 2011 0.151 105.01 per 100 units 2011/10/17 100,000,000 2010/08/26
24457 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Mar 2011 0.15 128.01 per 100 units 2011/03/04 100,000,000 2010/08/26
24480 RB of Scotland N.V. Sinopec Corp European Warrants Jan 11A 0.42 6.488 per unit 2011/01/25 100,000,000 2010/08/26
24481 RB of Scotland N.V. Sinopec Corp European Warrants Jan 11B 0.288 6.888 per unit 2011/01/10 100,000,000 2010/08/26
24482 RB of Scotland N.V. SHK P European Warrants Aug 2011 0.15 125.08 per 100 units 2011/08/29 250,000,000 2010/08/26
24461 Standard Chartered Bank China Life European Warrants Feb11 0.25 35.08 2011/02/28 120,000,000 2010/08/26
24460 Standard Chartered Bank HKEx European Warrants Mar 2011 0.48 142 2011/03/28 100,000,000 2010/08/26
24466 UBS AG CC Bank European Warrants Dec 2010 D 0.15 7.28 per unit 2010/12/28 100,000,000 2010/08/26
24465 UBS AG R&F Ppt European Warrants Jun 2011 0.15 14 2011/06/27 100,000,000 2010/08/26
24458 UBS AG HKEx European Warrants Oct 2011 A 0.15 124 per 100 units 2011/10/24 300,000,000 2010/08/26
#
17810 Macquarie Bank Ltd. BYD European Warrants Jun 2011 A 0.053 60 per 100 units 2011/06/29 200,000,000 2010/08/26
#
19323 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt Dec 2010 B 0.019 9.99 2010/12/28 600,000,000 2010/08/26
24522 BNP Paribas Arbit Issu B.V. Gome European Warrants Mar2011 0.33 2.50 per unit 2011/03/01 100,000,000 2010/08/27
24523 BNP Paribas Arbit Issu B.V. Kerry Ppt European Wts Jul11 0.51 38.88 2011/07/04 45,000,000 2010/08/27
24520 BNP Paribas Arbit Issu B.V. Lenovo European Warrants Oct13 0.25 5.7 2013/10/03 85,000,000 2010/08/27
24524 BNP Paribas Arbit Issu B.V. MTRC European Warrants Jul 2011 0.25 29 2011/07/04 45,000,000 2010/08/27
24521 BNP Paribas Arbit Issu B.V. Nine Dragons European Wt Oct11 0.25 13.58 2011/10/03 100,000,000 2010/08/27
24516 Deutsche Bank AG Cheung Kong European Put Wts Oct 2011 A 0.15 90 per 100 units 2011/10/17 100,000,000 2010/08/27
24517 Deutsche Bank AG SHK Ppt European Put Warrants May 2011 0.15 102.78 per 100 units 2011/05/30 100,000,000 2010/08/27
10988 Deutsche Bank AG USD/YEN European Warrants Mar 2011 0.25 90 per 1 units 2011/03/28 50,000,000 2010/08/27
24519 J P Morgan SP BV China Mob European Put Warrants Feb 2011A 0.25 70 2011/02/28 100,000,000 2010/08/27
24528 J P Morgan SP BV China Mob European Put Warrants Feb 2011B 0.35 78.88 2011/02/28 100,000,000 2010/08/27
24511 J P Morgan SP BV Dongfeng Motor European Warrants Jun2011A 0.25 13 2011/06/29 180,000,000 2010/08/27
24525 KBC Fin Products Int’l Ltd. ICBC European Wts Feb 2011 0.42 5.788 per unit 2011/02/28 128,000,000 2010/08/27
24526 Macquarie Bank Ltd. Sinofert European Warrants Feb 2011 0.288 5.18 per unit 2011/02/28 88,000,000 2010/08/27
24494 Nomura Int’l plc China Telecom European Warrants Mar 2011 0.567 3.68 per unit 2011/03/31 100,000,000 2010/08/27
24495 Nomura Int’l plc CC Bank European Put Warrants Dec 2010 0.234 5.99 per unit 2010/12/31 100,000,000 2010/08/27
24497 Nomura Int’l plc China Life European Put Warrants Mar 2011 0.25 29.88 2011/03/31 100,000,000 2010/08/27
24493 Nomura Int’l plc Dongfeng European Warrants Mar 2011 0.25 11.88 2011/03/31 100,000,000 2010/08/27
24492 Nomura Int’l plc HKEx European Warrants Jul 2011 A 0.15 133.888 per 100 units 2011/07/29 100,000,000 2010/08/27
24489 Nomura Int’l plc HSBC European Put Warrants Dec 2011 0.15 76.86 per 100 units 2011/12/12 200,000,000 2010/08/27
24490 Nomura Int’l plc Hutchison European Warrants Feb 2011 A 0.24 68.88 2011/02/07 100,000,000 2010/08/27
24491 Nomura Int’l plc Hutchison European Warrants Feb 2011 B 0.15 78.88 2011/02/25 100,000,000 2010/08/27
24496 Nomura Int’l plc China Mengniu European Warrants Jan 2011 0.201 25.05 2011/01/24 150,000,000 2010/08/27
24498 Nomura Int’l plc Nine Dragons European Warrants Jul 2011 0.15 13.898 2011/07/18 100,000,000 2010/08/27
24527 RB of Scotland N.V. HSI European Warrants Dec 2010 E 0.177 20,600 per 8,000 units 2010/12/30 250,000,000 2010/08/27
24531 RB of Scotland N.V. HSI European Put Warrants Dec 2010 F 0.153 20,400 per 8,000 units 2010/12/30 250,000,000 2010/08/27
24513 Standard Chartered Bank Cheung Kong European Wts Feb11 0.15 91.888 per 100 units 2011/02/21 150,000,000 2010/08/27
24515 Standard Chartered Bank China Shenhua European Wts Apr11 0.25 33.38 2011/04/28 100,000,000 2010/08/27
24514 Standard Chartered Bank Tencent Hldg European Wts Apr 11 0.25 142.88 per 100 units 2011/04/28 150,000,000 2010/08/27
24499 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Feb 2011 B 0.25 3.78 per unit 2011/02/28 120,000,000 2010/08/27
24501 SGA Societe Generale Acceptance N.V. CCB Eur Wt Feb 2011 A 0.34 7.28 per unit 2011/02/28 120,000,000 2010/08/27
24500 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Oct 2012A 0.19 96.88 per 100 units 2012/10/03 300,000,000 2010/08/27
24502 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Feb 11C 0.33 7.10 per unit 2011/02/16 80,000,000 2010/08/27
24509 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Jan11C 0.15 12.28 2011/01/26 250,000,000 2010/08/27
24510 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Jan11D 0.21 13.88 2011/01/05 250,000,000 2010/08/27
24518 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Dec 2010 E 0.24 82.88 2010/12/06 100,000,000 2010/08/27
24505 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 C 0.39 84.88 2011/02/09 100,000,000 2010/08/27
24506 SGA Societe Generale Acceptance N.V. HSI Eur Wt Feb 2011 C 0.15 21,400 per 10,000 units 2011/02/25 300,000,000 2010/08/27
24507 SGA Societe Generale Acceptance N.V. HSI Eur Wt Feb 2011 D 0.15 22,000 per 9,500 units 2011/02/25 300,000,000 2010/08/27
24512 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Feb 11F 0.21 20,700 per 8,600 units 2011/02/25 300,000,000 2010/08/27
24503 SGA Societe Generale Acceptance N.V. HWL Eur Wt Mar 2011 A 0.5 67 2011/03/02 100,000,000 2010/08/27
24504 SGA Societe Generale Acceptance N.V. HWL Eur Wt Mar 2011 B 0.26 77 2011/03/02 100,000,000 2010/08/27
24483 UBS AG China Mobile European Put Warrants Feb 2011 0.25 73.88 2011/02/14 100,000,000 2010/08/27
24486 UBS AG CM Bank European Warrants Apr 2011 0.15 22.8 2011/04/11 100,000,000 2010/08/27
24484 UBS AG HKEx European Warrants Dec 2011 0.15 128 per 100 units 2011/12/05 300,000,000 2010/08/27
24488 UBS AG HSBC European Warrants Jan 2011 0.15 88.88 2011/01/31 200,000,000 2010/08/27
24487 UBS AG ICBC European Warrants Dec 2010 E 0.15 6.08 per unit 2010/12/23 100,000,000 2010/08/27
24485 UBS AG Tencent Holdings European Warrants Feb 2011 B 0.15 160 per 100 units 2011/02/23 200,000,000 2010/08/27
#
22302 Macquarie Bank Ltd. A50 China European Warrants Nov 2010 0.041 12.68 2010/11/29 250,000,000 2010/08/27
#
24314 HK Bank China Mobile European Warrants Jun 2012 0.092 84.90 per 100 units 2012/06/18 300,000,000 2010/08/27
#
22165 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Nov 2010 A 0.061 36.99 2010/11/15 350,000,000 2010/08/27
24529 BOCI Asia Ltd. China Life European Put Warrants Mar 2011 0.25 31.28 2011/03/07 100,000,000 2010/08/30
24582 Credit Suisse AG China Life European Warrants Nov 2010 C 0.15 33.93 2010/11/30 200,000,000 2010/08/30
24583 Credit Suisse AG China Life European Warrants Nov 2010 D 0.15 35.2 2010/11/30 200,000,000 2010/08/30
24530 HK Bank CM Bank European Warrants Apr 2011 0.25 22.88 2011/04/27 120,000,000 2010/08/30
24532 HK Bank PICC European Warrants Sep 2011 0.25 10.38 2011/09/22 120,000,000 2010/08/30
24542 J P Morgan SP BV China Mob European Wts Mar 2011 0.25 98.88 2011/03/01 100,000,000 2010/08/30
24533 J P Morgan Int’l Der. Ltd. CC Bank European Wts Dec 2010 C 0.25 7 per unit 2010/12/23 100,000,000 2010/08/30
24540 J P Morgan SP BV China Life European Warrants Mar 2011 A 0.25 36 2011/03/01 200,000,000 2010/08/30
24541 J P Morgan SP BV China Life European Warrants Mar 2011 B 0.25 38 2011/03/01 200,000,000 2010/08/30
24543 J P Morgan SP BV HS Bank European Warrants Mar 2011 0.25 120 2011/03/01 88,000,000 2010/08/30
24534 J P Morgan SP BV HSBC European Warrants Jan 2013 0.15 83.88 per 100 units 2013/01/30 388,000,000 2010/08/30
24544 J P Morgan SP BV Maanshan Iron European Warrants Mar 2011 0.25 4.88 per unit 2011/03/01 100,000,000 2010/08/30
24568 KBC Fin Products Int’l Ltd. ALUCO European Wts Jun 2011 0.15 7.39 2011/06/22 128,000,000 2010/08/30
24569 KBC Fin Products Int’l Ltd. ALUCO European Wts Oct 2011 0.25 5.88 2011/10/13 128,000,000 2010/08/30
24570 KBC Fin Products Int’l Ltd. BEA European Warrants May 2011 0.25 32 2011/05/27 58,000,000 2010/08/30
24545 KBC Fin Products Int’l Ltd. BOCL European Wts Mar 2011 A 0.34 4.18 per unit 2011/03/18 188,000,000 2010/08/30
24546 KBC Fin Products Int’l Ltd. BOCL European Wts Mar 2011 B 0.25 4.48 per unit 2011/03/30 238,000,000 2010/08/30
24547 KBC Fin Products Int’l Ltd. BYD European Warrants Mar 2011 0.59 47.88 2011/03/01 108,000,000 2010/08/30
24548 KBC Fin Products Int’l Ltd. BYD European Warrants Apr 2011 0.43 56.88 2011/04/27 108,000,000 2010/08/30
24562 KBC Fin Products Int’l Ltd. BYD European Put Wts Mar 2011 0.48 40 2011/03/01 80,000,000 2010/08/30
24551 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Mar 2011 A 0.62 6.38 per unit 2011/03/01 158,000,000 2010/08/30
24552 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Mar 2011 B 0.46 6.78 per unit 2011/03/15 208,000,000 2010/08/30
24553 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Mar 2011 C 0.4 6.98 per unit 2011/03/21 238,000,000 2010/08/30
24550 KBC Fin Products Int’l Ltd. Ch Comm Cons Euro Wts Oct 2011 0.15 7.5 2011/10/26 78,000,000 2010/08/30
24572 KBC Fin Products Int’l Ltd. China Coal Euro Wts Jun 2011 0.17 11.7 2011/06/01 80,000,000 2010/08/30
24549 KBC Fin Products Int’l Ltd. CITIC Bank Euro Wts Apr 2011 0.63 5.58 per unit 2011/04/15 80,000,000 2010/08/30
24571 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Jul 2011 A 0.15 99.05 per 100 units 2011/07/05 108,000,000 2010/08/30
24555 KBC Fin Products Int’l Ltd. China Life Euro Wts Mar 2011 B 0.25 36.38 2011/03/01 238,000,000 2010/08/30
24556 KBC Fin Products Int’l Ltd. China Life Euro Wts Mar 2011 C 0.25 37.88 2011/03/08 238,000,000 2010/08/30
24557 KBC Fin Products Int’l Ltd. CMB European Warrants Mar 2011 0.25 19.88 2011/03/28 108,000,000 2010/08/30
24554 KBC Fin Products Int’l Ltd. Minsheng Bank Euro Wt Mar 2011 0.25 8.48 per unit 2011/03/01 68,000,000 2010/08/30
24559 KBC Fin Products Int’l Ltd. CPIC European Wts Mar 2011 0.26 31.88 2011/03/01 108,000,000 2010/08/30
24573 KBC Fin Products Int’l Ltd. China Shenhua Eu Wt Mar 2011 B 0.25 31.88 2011/03/11 80,000,000 2010/08/30
24563 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Mar 2011 0.29 14.18 per unit 2011/03/16 208,000,000 2010/08/30
24564 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Nov 2011 0.15 12.89 2011/11/21 258,000,000 2010/08/30
24574 KBC Fin Products Int’l Ltd. R&F Ppt European Wts May 2011 0.25 11.28 2011/05/25 88,000,000 2010/08/30
24575 KBC Fin Products Int’l Ltd. R&F Ppt European Wts Jun 2011 0.18 12.9 2011/06/20 88,000,000 2010/08/30
24576 KBC Fin Products Int’l Ltd. HS Bank European Wts Dec 2011 0.15 100 per 100 units 2011/12/23 108,000,000 2010/08/30
24577 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Mar 2011 0.38 64.18 2011/03/01 138,000,000 2010/08/30
24560 KBC Fin Products Int’l Ltd. ICBC European Wts Mar 2011 A 0.25 7 per unit 2011/03/31 238,000,000 2010/08/30
24578 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Mar 2011 0.25 16.38 2011/03/01 118,000,000 2010/08/30
24579 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wt Apr 2011A 0.25 18.18 2011/04/15 118,000,000 2010/08/30
24561 KBC Fin Products Int’l Ltd. Li & Fung Euro Wts Mar 2011 0.425 39.8 2011/03/01 48,000,000 2010/08/30
24580 KBC Fin Products Int’l Ltd. MTRC European Wts May 2011 0.15 30.05 2011/05/16 68,000,000 2010/08/30
24566 RB of Scotland N.V. CNOOC European Warrants Mar 2011 0.151 13.518 2011/03/28 200,000,000 2010/08/30
24567 RB of Scotland N.V. CNOOC European Warrants Jun 2011 A 0.15 14.98 2011/06/22 200,000,000 2010/08/30
24536 Standard Chartered Bank Sinopec Corp European Wts Mar 2011 0.25 7.08 per unit 2011/03/02 100,000,000 2010/08/30
24535 Standard Chartered Bank HSBC European Warrants Jan 2011 0.4 82 2011/01/21 100,000,000 2010/08/30
24537 UBS AG Cheung Kong European Warrants Jun 2011 0.15 99 per 100 units 2011/06/27 100,000,000 2010/08/30
24538 UBS AG China Shenhua European Warrants Jan 2011 0.15 32.88 2011/01/24 100,000,000 2010/08/30
24565 UBS AG PICC European Warrants Jul 2011 0.25 9.88 2011/07/11 100,000,000 2010/08/30
24539 UBS AG Zijin Mining European Warrants May 2012 0.15 6.4 2012/05/28 100,000,000 2010/08/30
24584 Credit Suisse AG HSBC European Put Warrants Dec 2011 0.15 76.90 per 100 units 2011/12/12 400,000,000 2010/08/31
24587 Macquarie Bank Ltd. Agile Ppt European Warrants Jul 2011 A 0.184 9.88 2011/07/22 200,000,000 2010/08/31
24592 Macquarie Bank Ltd. China Unicom European Put Wts Dec 2011 0.25 9.88 2011/12/02 200,000,000 2010/08/31
24588 Macquarie Bank Ltd. R&F Ppt European Warrants Mar 2011 0.251 11 2011/03/02 200,000,000 2010/08/31
24589 Macquarie Bank Ltd. New World Dev European Wts May 2011 0.15 14.88 2011/05/23 200,000,000 2010/08/31
24590 Macquarie Bank Ltd. Yanzhou Coal European Wts Mar 2011 0.308 16 2011/03/02 200,000,000 2010/08/31
24591 Macquarie Bank Ltd. Yanzhou Coal European Wts May 2011 0.211 20 2011/05/13 200,000,000 2010/08/31
24593 CC Rabobank B.A. BBMG European Warrants Mar 2011 0.25 10.68 2011/03/30 200,000,000 2010/08/31
24595 CC Rabobank B.A. China Coal European Warrants Jun 2011 A 0.25 12 2011/06/10 200,000,000 2010/08/31
24596 CC Rabobank B.A. COSCO Pacific European Warrants Mar 2011 0.25 10.8 2011/03/30 150,000,000 2010/08/31
24594 CC Rabobank B.A. Cathay Pacific European Warrants Mar 2011 0.25 21 2011/03/30 100,000,000 2010/08/31
24597 CC Rabobank B.A. Fushan Energy European Warrants Mar 2011 0.43 5.60 per unit 2011/03/14 75,000,000 2010/08/31
24598 CC Rabobank B.A. Sands China European Warrants Jun 2011 0.25 13.3 2011/06/29 150,000,000 2010/08/31
24599 CC Rabobank B.A. Shanghai Electric European Warrants Mar11 0.33 4 per unit 2011/03/03 75,000,000 2010/08/31
24600 CC Rabobank B.A. SJM Holdings European Warrants Mar 2011 0.28 8.2 2011/03/01 200,000,000 2010/08/31
24601 CC Rabobank B.A. Wynn Macau European Warrants Mar 2011 0.25 15 2011/03/08 100,000,000 2010/08/31
24602 CC Rabobank B.A. ZTE European Warrants Mar 2011 0.3 33 2011/03/30 75,000,000 2010/08/31
24585 UBS AG China Life European Warrants Dec 2010 E 0.15 33.88 2010/12/31 200,000,000 2010/08/31
24586 UBS AG China Life European Put Warrants Jan 2011 0.15 30.88 2011/01/24 100,000,000 2010/08/31
#
23277 Credit Suisse AG Hutchison European Warrants Nov 2010 0.48 56.88 2010/11/08 500,000,000 2010/08/31
24623 BNP Paribas Arbit Issu B.V. Alibaba European Warrants Sep11 0.25 21 2011/09/02 100,000,000 2010/09/01
24625 BNP Paribas Arbit Issu B.V. China EB Ltd European Wt May11 0.25 22.6 2011/05/03 70,000,000 2010/09/01
24626 BNP Paribas Arbit Issu B.V. CMOC European Warrants Aug 12 0.25 4.66 2012/08/31 95,000,000 2010/09/01
24624 BNP Paribas Arbit Issu B.V. Esprit European Wts Apr 2011 0.54 51 2011/04/29 80,000,000 2010/09/01
24627 BNP Paribas Arbit Issu B.V. Henganintl European Wts Apr13 0.25 90 per 100 units 2013/04/02 100,000,000 2010/09/01
24620 BNP Paribas Arbit Issu B.V. HSI European Wts Sep 2011 A 0.26 21,000 per 12,000 units 2011/09/29 200,000,000 2010/09/01
24622 BNP Paribas Arbit Issu B.V. HSI European Wts Jun 2012 0.25 22,800 per 15,000 units 2012/06/28 200,000,000 2010/09/01
24630 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Sep 2011 0.25 20,600 per 15,000 units 2011/09/29 100,000,000 2010/09/01
24631 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jun 2012 0.25 18,600 per 15,000 units 2012/06/28 200,000,000 2010/09/01
10989 BNP Paribas Arbit Issu B.V. Oil Futures European Wt Nov11A 0.39 79 per 300 units 2011/11/16 100,000,000 2010/09/01
24628 BNP Paribas Arbit Issu B.V. Sands China European Wts Sep11 0.25 14 2011/09/01 95,000,000 2010/09/01
24629 BNP Paribas Arbit Issu B.V. Sinopharm European Wts Apr11 0.42 34.2 2011/04/01 95,000,000 2010/09/01
24610 Credit Suisse AG CC Bank European Warrants Dec 2010 E 0.15 6.89 per unit 2010/12/13 300,000,000 2010/09/01
24618 HK Bank HSI European Warrants May 2011 A 0.25 22,200 per 8,000 units 2011/05/30 300,000,000 2010/09/01
24619 HK Bank HSI European Put Warrants Feb 2011 0.15 20,600 per 8,000 units 2011/02/25 300,000,000 2010/09/01
24621 HK Bank HSI European Put Warrants Mar 2011 F 0.25 19,600 per 8,000 units 2011/03/30 300,000,000 2010/09/01
24615 HK Bank HSI European Warrants Mar 2011 A 0.25 19,400 per 10,000 units 2011/03/30 300,000,000 2010/09/01
24616 HK Bank HSI European Warrants Mar 2011 B 0.25 20,300 per 8,000 units 2011/03/30 300,000,000 2010/09/01
24617 HK Bank HSI European Warrants Mar 2011 C 0.25 20,800 per 8,000 units 2011/03/30 300,000,000 2010/09/01
24608 Macquarie Bank Ltd. HSI European Warrants Mar 2011 A 0.25 20,000 per 9,000 units 2011/03/30 300,000,000 2010/09/01
24609 Macquarie Bank Ltd. HSI European Warrants Mar 2011 B 0.25 20,800 per 7,000 units 2011/03/30 300,000,000 2010/09/01
24607 Macquarie Bank Ltd. ICBC European Warrants Mar 2011 0.251 6.38 per unit 2011/03/02 128,000,000 2010/09/01
24611 Macquarie Bank Ltd. ICBC European Put Warrants Mar 2011 0.409 5.38 per unit 2011/03/02 88,000,000 2010/09/01
24634 Macquarie Bank Ltd. Tencent European Put Warrants Mar 2011 0.276 150 per 100 units 2011/03/02 250,000,000 2010/09/01
24633 Macquarie Bank Ltd. Tencent European Put Warrants Jun 11A 0.251 135 per 100 units 2011/06/02 250,000,000 2010/09/01
24614 Standard Chartered Bank BOC HK European Warrants Aug 2011 0.15 21.8 2011/08/23 100,000,000 2010/09/01
24613 Standard Chartered Bank China Mobile European Wts Dec 2010 0.25 85.38 2010/12/22 100,000,000 2010/09/01
24612 Standard Chartered Bank PetroChina European Warrants Mar11 0.405 9.888 per unit 2011/03/03 100,000,000 2010/09/01
24632 SGA Societe Generale Acceptance N.V. CNBM Euro Wts May 11 0.25 15 2011/05/16 100,000,000 2010/09/01
24603 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Mar 2011 A 0.44 80.8 2011/03/02 100,000,000 2010/09/01
24604 SGA Societe Generale Acceptance N.V. HSBC Eu Put Wt Oct 11 0.15 82 per 100 units 2011/10/17 500,000,000 2010/09/01
24605 SGA Societe Generale Acceptance N.V. HSBC Eu Put Wt Jul 12 0.15 75 per 100 units 2012/07/16 500,000,000 2010/09/01
24606 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Dec 2010 D 0.18 6.18 per unit 2010/12/20 120,000,000 2010/09/01
#
22757 RB of Scotland N.V. China Life European Wts Nov 2010 A 0.066 33.88 2010/11/30 158,000,000 2010/09/01
24642 Credit Suisse AG China Life European Warrants Jan 2011 A 0.23 29.98 2011/01/31 300,000,000 2010/09/02
24641 Credit Suisse AG HSI European Warrants Dec 2010 E 0.15 20,550 per 8,000 units 2010/12/30 320,000,000 2010/09/02
24651 Deutsche Bank AG BOC HK European Warrants Feb 2011 0.17 20.18 2011/02/14 150,000,000 2010/09/02
24652 Deutsche Bank AG BYD European Warrants Mar 2011 0.52 50 2011/03/07 150,000,000 2010/09/02
24653 Deutsche Bank AG China Life European Warrants Jan 2011 B 0.31 30 2011/01/31 300,000,000 2010/09/02
24655 Deutsche Bank AG HSBC European Warrants Mar 2011 A 0.25 92 2011/03/14 200,000,000 2010/09/02
24656 Deutsche Bank AG ICBC European Warrants Mar 2011 A 0.25 6.38 per unit 2011/03/14 200,000,000 2010/09/02
24658 Deutsche Bank AG Tencent Holdings European Warrants Feb11B 0.18 136.88 per 100 units 2011/02/14 200,000,000 2010/09/02
24659 Deutsche Bank AG Tencent Holdings European Warrants Feb11C 0.15 148.88 per 100 units 2011/02/28 200,000,000 2010/09/02
24636 Goldman Sachs SP (Asia) A50 China European Wts Mar 2011 B 0.38 13.60 per unit 2011/03/07 200,000,000 2010/09/02
24637 Goldman Sachs SP (Asia) Hutchison European Wts Feb 2011 0.23 68.88 2011/02/14 200,000,000 2010/09/02
24638 Goldman Sachs SP (Asia) Tencent Holdings European Wt Mar11 0.15 148 per 100 units 2011/03/28 200,000,000 2010/09/02
24654 J P Morgan SP BV China Life European Warrants Mar 2011 C 0.25 31.88 2011/03/02 200,000,000 2010/09/02
24639 KBC Fin Products Int’l Ltd. China Life Euro Wts Jan 2011 C 0.23 31.85 2011/01/03 208,000,000 2010/09/02
24646 KBC Fin Products Int’l Ltd. China Life Euro Wts Feb 2011 E 0.36 28.8 2011/02/01 188,000,000 2010/09/02
24648 KBC Fin Products Int’l Ltd. China Life Euro Wts Mar 2011 D 0.5 26.88 2011/03/02 168,000,000 2010/09/02
24644 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Mar 2011 0.25 28 2011/03/02 128,000,000 2010/09/02
24635 Macquarie Bank Ltd. China Life European Wts Dec 2010 B 0.15 35.93 2010/12/24 250,000,000 2010/09/02
24645 Macquarie Bank Ltd. China Life European Put Wts Mar 2011 0.25 28 2011/03/03 300,000,000 2010/09/02
24640 Merrill Lynch Int’l & Co. C.V. Ch Life Eur Put Wt Dec 2010 0.165 29.59 2010/12/22 150,000,000 2010/09/02
24647 RB of Scotland N.V. China Life European Wts Jan 2011 D 0.295 29.98 2011/01/26 150,000,000 2010/09/02
24649 RB of Scotland N.V. China Life European Wts Jan 2011 E 0.199 31.838 2011/01/03 150,000,000 2010/09/02
24650 RB of Scotland N.V. China Life European Wts Mar 2011 0.25 32.88 2011/03/02 150,000,000 2010/09/02
24643 UBS AG China Life European Warrants Dec 2010 F 0.175 31.85 2010/12/20 200,000,000 2010/09/02
24665 Citigroup Global Mkt H Inc. Cheung Kong Eu Put Wt Oct 2011 0.15 90 per 100 units 2011/10/17 80,000,000 2010/09/03
10990 Deutsche Bank AG DJIA European Warrants Mar 2011 0.25 10,500 per 30,000 units 2011/03/21 100,000,000 2010/09/03
10994 Deutsche Bank AG DJIA European Put Warrants Mar 2011 0.25 9,500 per 30,000 units 2011/03/21 100,000,000 2010/09/03
10991 Deutsche Bank AG Nikkei 225 Index European Wts Mar 2011 0.25 9,000 per 400 units 2011/03/11 100,000,000 2010/09/03
10995 Deutsche Bank AG Nikkei 225 Index Euro Put Wts Mar 2011 0.25 8,500 per 400 units 2011/03/11 100,000,000 2010/09/03
24668 Goldman Sachs SP (Asia) China Life Euro Wts Mar 2011 B 0.25 32.28 2011/03/07 200,000,000 2010/09/03
24669 Goldman Sachs SP (Asia) China Life Euro Wts May 2011A 0.25 33.8 2011/05/23 200,000,000 2010/09/03
24676 KBC Fin Products Int’l Ltd. China Life Eu Put Wt May 2011A 0.25 26 2011/05/12 158,000,000 2010/09/03
24666 Macquarie Bank Ltd. BankComm European Put Wts Mar 2011 0.288 7 per unit 2011/03/03 200,000,000 2010/09/03
24667 Macquarie Bank Ltd. CNOOC European Warrants Apr 2011 B 0.15 14.28 2011/04/21 200,000,000 2010/09/03
24660 Standard Chartered Bank Agricultural Bk European Wts Feb11 0.15 4 per unit 2011/02/18 100,000,000 2010/09/03
24661 Standard Chartered Bank A50 China European Warrants Jul 11 0.25 10.5 2011/07/28 200,000,000 2010/09/03
24671 SGA Societe Generale Acceptance N.V Anhui Conch Eu Wts Mar11 0.37 31 2011/03/07 80,000,000 2010/09/03
24670 SGA Societe Generale Acceptance N.V. Air China Eu Wt Oct11A 0.25 9.88 2011/10/03 200,000,000 2010/09/03
24672 SGA Societe Generale Acceptance N.V. Belle Int’l Eu Wt Mar11 0.18 15 2011/03/02 150,000,000 2010/09/03
24662 SGA Societe Generale Acceptance N.V. CLife Eu Wt Mar 2011A 0.36 29.4 2011/03/07 200,000,000 2010/09/03
24663 SGA Societe Generale Acceptance N.V. CLife Eu Wt Mar 2011B 0.27 31.4 2011/03/07 200,000,000 2010/09/03
24673 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Jun 11A 0.17 12.88 2011/06/13 250,000,000 2010/09/03
24664 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Feb 11G 0.18 19,800 per 8,000 units 2011/02/25 300,000,000 2010/09/03
24674 SGA Societe Generale Acceptance N.V. PICC P&C Eu Wt Jul 11 0.17 9.31 2011/07/04 150,000,000 2010/09/03
24675 SGA Societe Generale Acceptance N.V. PICC P&C Eu Wt Aug 11 0.16 10.02 2011/08/08 150,000,000 2010/09/03
24677 UBS AG China Life European Warrants Jan 2011 B 0.165 30.02 2011/01/26 200,000,000 2010/09/03
24681 UBS AG China Life European Put Warrants Mar 2011 0.25 27 2011/03/14 200,000,000 2010/09/03
#
23093 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Feb2011A 0.183 10.38 2011/02/23 300,000,000 2010/09/03
24680 Barclays Bank plc BOCL European Warrants Aug 2011 0.17 21.8 2011/08/29 100,000,000 2010/09/06
24678 Barclays Bank plc China Life European Warrants Mar 2011 B 0.25 32 2011/03/14 100,000,000 2010/09/06
24683 Barclays Bank plc China Life European Put Wts Mar 2011 0.25 28 2011/03/14 100,000,000 2010/09/06
24679 Barclays Bank plc ICBC European Warrants Jun 2012 0.15 5.69 2012/06/25 150,000,000 2010/09/06
24684 BOCI Asia Ltd. BOC HK European Warrants May 2011 0.15 22.88 2011/05/27 100,000,000 2010/09/06
24685 BOCI Asia Ltd. BYD European Warrants Apr 2011 0.5 53.88 2011/04/04 100,000,000 2010/09/06
24687 BOCI Asia Ltd. China Mobile European Put Warrants Mar 2011 0.25 67.8 2011/03/25 100,000,000 2010/09/06
24686 BOCI Asia Ltd. China Life European Warrants Jun 2011 0.25 32.88 2011/06/27 100,000,000 2010/09/06
24688 BOCI Asia Ltd. A50 China European Warrants Jun 2011 A 0.15 11.88 2011/06/13 100,000,000 2010/09/06
24704 Deutsche Bank AG China Life European Warrants Mar 2011 A 0.39 28 2011/03/07 300,000,000 2010/09/06
24703 Macquarie Bank Ltd. China Agri European Warrants Dec 2011 0.164 10.88 2011/12/20 150,000,000 2010/09/06
24692 Macquarie Bank Ltd. China Mobile Euro Put Wts Mar 2011 0.255 68 2011/03/08 100,000,000 2010/09/06
24691 Macquarie Bank Ltd. Golden Eagle European Warrants Jun 11 0.25 23.88 2011/06/07 150,000,000 2010/09/06
24689 Macquarie Bank Ltd. China Mengniu European Wts Jun 2011 0.25 26.88 2011/06/30 150,000,000 2010/09/06
24690 Macquarie Bank Ltd. Parkson Group European Warrants Nov 11 0.255 16.88 2011/11/07 150,000,000 2010/09/06
24693 CC Rabobank B.A. CHALCO European Warrants Mar 2011 0.4 7.80 per unit 2011/03/30 75,000,000 2010/09/06
24694 CC Rabobank B.A. China Dongxiang European Warrants Mar 11 0.34 5.18 per unit 2011/03/08 75,000,000 2010/09/06
24695 CC Rabobank B.A. China EB Int’l European Warrants Mar 2011 0.62 3.90 per unit 2011/03/07 100,000,000 2010/09/06
24697 CC Rabobank B.A. Ch LongYuan European Warrants Oct 2011 0.25 8 2011/10/21 250,000,000 2010/09/06
24699 CC Rabobank B.A. Chi Resources European Warrants Mar 2011 0.37 33.33 2011/03/08 75,000,000 2010/09/06
24696 CC Rabobank B.A. China Gas Hold European Warrants Mar 2011 0.55 4.50 per unit 2011/03/18 75,000,000 2010/09/06
24698 CC Rabobank B.A. Minsheng Bank European Wts Jun 2011 A 0.44 8.28 per unit 2011/06/29 75,000,000 2010/09/06
24700 CC Rabobank B.A. Chi Res Power European Warrants Mar 2011 0.25 18.18 2011/03/08 100,000,000 2010/09/06
24701 CC Rabobank B.A. Li & Fung European Warrants Mar 2011 0.29 45 2011/03/07 75,000,000 2010/09/06
24702 SGA Societe Generale Acceptance N.V. CLife Eu Wt Dec 2010D 0.17 31.75 2010/12/29 200,000,000 2010/09/06
24712 BOCI Asia Ltd. Belle Int’l European Warrants May 2011 A 0.25 14.68 2011/05/03 100,000,000 2010/09/07
24713 BOCI Asia Ltd. Minsheng Bank European Warrants Mar 2011 0.4 8.08 per unit 2011/03/25 100,000,000 2010/09/07
24714 BOCI Asia Ltd. HKEx European Warrants Dec 2011 0.15 128 per 100 units 2011/12/12 100,000,000 2010/09/07
24715 BOCI Asia Ltd. KECL European Warrants Dec 2011 0.25 10.18 2011/12/23 100,000,000 2010/09/07
24716 BOCI Asia Ltd. PetroChina European Warrants Apr 2011 0.35 9.98 per unit 2011/04/04 100,000,000 2010/09/07
10992 Deutsche Bank AG EUR/USD European Put Warrants Mar 2011 A 0.25 1.16 per 1 units 2011/03/14 50,000,000 2010/09/07
24718 HK Bank BOCL European Warrants Mar 2011 0.25 4.18 per unit 2011/03/07 100,000,000 2010/09/07
24719 HK Bank CC Bank European Warrants Mar 2011 0.25 7.08 per unit 2011/03/07 100,000,000 2010/09/07
24720 HK Bank China Life European Warrants Mar 2011 0.25 33.38 2011/03/07 250,000,000 2010/09/07
24725 HK Bank China Life European Put Warrants Mar 2011 0.25 26.88 2011/03/07 250,000,000 2010/09/07
24721 HK Bank CNOOC European Warrants Jul 2011 A 0.15 13.5 2011/07/21 200,000,000 2010/09/07
24722 HK Bank Esprit European Warrants Mar 2011 0.25 52.88 2011/03/07 120,000,000 2010/09/07
24723 HK Bank ICBC European Warrants Mar 2011 0.25 6.38 per unit 2011/03/07 100,000,000 2010/09/07
24724 HK Bank Maanshan Iron European Warrants Mar 2011 0.25 4.60 per unit 2011/03/07 80,000,000 2010/09/07
24728 J P Morgan SP BV Ch Comm Cons European Warrants Oct 2011 0.15 7.5 2011/10/26 250,000,000 2010/09/07
24729 J P Morgan SP BV China Life European Warrants Jan 2011 B 0.19 30 2011/01/26 200,000,000 2010/09/07
24730 J P Morgan SP BV CPIC European Warrants Mar 2011 0.25 30 2011/03/07 100,000,000 2010/09/07
24731 J P Morgan SP BV Tencent European Warrants Mar 2011 A 0.25 150.88 per 100 units 2011/03/28 100,000,000 2010/09/07
24736 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 C 0.25 19,200 per 10,000 units 2011/03/30 200,000,000 2010/09/07
24737 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 D 0.25 19,600 per 8,800 units 2011/03/30 200,000,000 2010/09/07
24738 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 E 0.25 20,000 per 8,500 units 2011/03/30 200,000,000 2010/09/07
24742 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Mar 2011 F 0.25 19,800 per 8,000 units 2011/03/30 200,000,000 2010/09/07
24711 Macquarie Bank Ltd. China EB Ltd European Warrants Mar 11 0.254 20 2011/03/30 150,000,000 2010/09/07
24733 Macquarie Bank Ltd. C Transmission European Warrants Feb11 0.179 18.88 2011/02/14 150,000,000 2010/09/07
24734 Macquarie Bank Ltd. China Life European Wts Mar 2011 0.253 33.5 2011/03/07 300,000,000 2010/09/07
24710 Macquarie Bank Ltd. CPIC European Warrants Mar 2011 0.25 32.5 2011/03/30 200,000,000 2010/09/07
24732 Macquarie Bank Ltd. Stanchart European Warrants Jun 2011 A 0.302 250 per 100 units 2011/06/30 200,000,000 2010/09/07
24706 Nomura Int’l plc China Life European Warrants Jan 2011 0.15 33.888 2011/01/31 100,000,000 2010/09/07
24707 Nomura Int’l plc China Life European Warrants Apr 2011 0.15 35.688 2011/04/20 100,000,000 2010/09/07
24705 Nomura Int’l plc CNOOC European Warrants Apr 2011 A 0.15 14.288 2011/04/27 100,000,000 2010/09/07
24709 Nomura Int’l plc A50 China European Warrants Jun 2011 B 0.15 11.888 2011/06/03 100,000,000 2010/09/07
24708 Nomura Int’l plc A50 China European Warrants Nov 2011 0.15 13.188 2011/11/04 100,000,000 2010/09/07
24739 RB of Scotland N.V. China Life European Put Wts Mar 2011 0.25 27.88 2011/03/07 150,000,000 2010/09/07
24726 Standard Chartered Bank CHALCO European Warrants Oct 2011 0.165 5.88 2011/10/07 100,000,000 2010/09/07
24727 Standard Chartered Bank China Life European Warrants Mar11A 0.335 28.88 2011/03/18 120,000,000 2010/09/07
24717 UBS AG CPIC European Warrants Feb 2011 0.15 31.9 2011/02/22 100,000,000 2010/09/07
24753 BOCI Asia Ltd. HSI European Warrants Mar 2011 0.25 21,400 per 8,000 units 2011/03/30 100,000,000 2010/09/08
24757 BOCI Asia Ltd. HSI European Put Warrants Mar 2011 0.25 20,400 per 8,000 units 2011/03/30 100,000,000 2010/09/08
24758 Credit Suisse AG Tencent Holdings European Wts Jan 2011 A 0.15 138 per 100 units 2011/01/04 300,000,000 2010/09/08
24751 Goldman Sachs SP (Asia) China Mobile Euro Put Wts Mar 2011 0.56 76 2011/03/28 200,000,000 2010/09/08
24750 Goldman Sachs SP (Asia) China Life Euro Put Wts Apr 2011 0.26 28 2011/04/29 200,000,000 2010/09/08
24752 Goldman Sachs SP (Asia) HSBC European Put Wts Mar 2011 0.57 72 2011/03/28 200,000,000 2010/09/08
24762 HK Bank Ch LongYuan European Warrants Dec 2011 A 0.15 8.08 2011/12/21 120,000,000 2010/09/08
24760 HK Bank Ch Comm Cons European Warrants May 2011 0.25 7.88 per unit 2011/05/12 80,000,000 2010/09/08
24761 HK Bank China COSCO European Warrants Sep 2011 0.15 9.19 2011/09/19 120,000,000 2010/09/08
24759 HK Bank CITIC Bank European Warrants Mar 2011 0.25 6 per unit 2011/03/08 80,000,000 2010/09/08
24763 HK Bank CPIC European Warrants Jun 2011 0.25 31.28 2011/06/23 150,000,000 2010/09/08
24764 HK Bank China Railway European Warrants Jun 2011 0.25 6.50 per unit 2011/06/16 80,000,000 2010/09/08
24767 HK Bank Ch Ship Cont European Warrants Jun 2011 A 0.25 3.18 per unit 2011/06/28 80,000,000 2010/09/08
24765 HK Bank China Shenhua European Warrants Mar 2011 A 0.15 31.88 2011/03/04 150,000,000 2010/09/08
24766 HK Bank China Shenhua European Warrants Mar 2011 B 0.25 33.38 2011/03/22 150,000,000 2010/09/08
24768 HK Bank Dongfeng Motor European Warrants Jul 2011 0.25 13.28 2011/07/22 100,000,000 2010/09/08
24769 HK Bank Fushan Energy European Warrants May 2011 0.25 5 per unit 2011/05/05 100,000,000 2010/09/08
24770 HK Bank Geely Auto European Warrants Mar 2011 0.25 3.20 per unit 2011/03/08 100,000,000 2010/09/08
24771 HK Bank Jiangxi Copper European Warrants May 2011 A 0.25 19.18 2011/05/18 150,000,000 2010/09/08
24772 HK Bank Lenovo European Warrants Mar 2011 0.25 5.50 per unit 2011/03/08 120,000,000 2010/09/08
24773 HK Bank PICC European Warrants Jul 2011 A 0.15 9.89 2011/07/04 120,000,000 2010/09/08
24774 HK Bank Sinopharm European Warrants Jun 2011 0.25 35 2011/06/16 120,000,000 2010/09/08
24754 J P Morgan SP BV Henganintl European Warrants Jun 2012 A 0.25 78.88 per 100 units 2012/06/29 200,000,000 2010/09/08
24755 J P Morgan SP BV KECL European Warrants Jul 2011 0.25 10 2011/07/25 100,000,000 2010/09/08
24743 Macquarie Bank Ltd. China Bluechem European Warrants Oct12 0.25 6 2012/10/18 100,000,000 2010/09/08
24744 Macquarie Bank Ltd. Ch Molybdenum European Wts Oct 2012 0.25 5.88 2012/10/22 100,000,000 2010/09/08
24745 Macquarie Bank Ltd. Dongfeng Motor European Wts Aug 2011 0.25 14.5 2011/08/30 150,000,000 2010/09/08
24741 Macquarie Bank Ltd. A50 China European Warrants Nov 2011 0.15 12.88 2011/11/21 300,000,000 2010/09/08
24746 Macquarie Bank Ltd. Lenovo European Warrants Mar 2011 0.307 5.50 per unit 2011/03/08 100,000,000 2010/09/08
24747 Macquarie Bank Ltd. Nine Dragons European Wts Nov 2011 0.25 12.88 2011/11/03 150,000,000 2010/09/08
24748 Macquarie Bank Ltd. SHK Ppt European Warrants May 2011 0.178 105.88 per 100 units 2011/05/23 300,000,000 2010/09/08
24749 Macquarie Bank Ltd. SHK Ppt European Warrants Aug 2011 0.15 117.50 per 100 units 2011/08/05 300,000,000 2010/09/08
24778 CC Rabobank B.A. C Transmission European Warrants Feb 2011 0.213 18.9 2011/02/14 100,000,000 2010/09/08
24775 CC Rabobank B.A. China Life European Warrants Dec 2010 C 0.15 31.85 2010/12/21 75,000,000 2010/09/08
24776 CC Rabobank B.A. China Life European Warrants Jan 2011 B 0.31 28.8 2011/01/24 75,000,000 2010/09/08
24779 CC Rabobank B.A. China Life European Put Warrants Mar 2011 0.25 26.5 2011/03/08 75,000,000 2010/09/08
24777 CC Rabobank B.A. CPIC European Warrants Mar 2011 0.25 30 2011/03/08 75,000,000 2010/09/08
24740 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt May 2011A 0.25 10.28 2011/05/23 300,000,000 2010/09/08
24794 Barclays Bank plc CM Bank European Warrants Apr 2011 0.15 22.88 2011/04/18 100,000,000 2010/09/09
24795 Barclays Bank plc Sinopec Corp European Put Wts Feb 2011 0.29 5.59 per unit 2011/02/21 100,000,000 2010/09/09
24793 Barclays Bank plc China Shenhua European Warrants Mar 2011 0.25 32.88 2011/03/21 100,000,000 2010/09/09
24791 Barclays Bank plc HSBC European Warrants Feb 2011 0.26 84.88 2011/02/14 100,000,000 2010/09/09
24792 Barclays Bank plc Jiangxi Copper European Warrants Mar 11B 0.21 18.88 2011/03/28 100,000,000 2010/09/09
24796 Deutsche Bank AG China Mobile European Warrants Feb 2011 B 0.27 86.88 2011/02/01 300,000,000 2010/09/09
24802 Deutsche Bank AG Ping An European Warrants Mar 2011 0.29 80 2011/03/14 200,000,000 2010/09/09
24805 Goldman Sachs SP (Asia) China Mobile Euro Wts Mar 2011 0.28 88 2011/03/14 200,000,000 2010/09/09
24806 Goldman Sachs SP (Asia) PetroChina European Wts Mar 2011 0.26 10 per unit 2011/03/14 200,000,000 2010/09/09
24784 HK Bank Agile Ppt European Warrants Oct 2011 0.25 10.08 2011/10/12 80,000,000 2010/09/09
24787 HK Bank China Unicom European Warrants Sep 2011 0.25 12 2011/09/27 150,000,000 2010/09/09
24785 HK Bank CNBM European Warrants May 2011 0.25 16.28 2011/05/18 80,000,000 2010/09/09
24788 HK Bank Foxconn European Warrants Mar 2011 0.25 6.38 per unit 2011/03/09 100,000,000 2010/09/09
24789 HK Bank Foxconn European Warrants Apr 2012 0.25 5.18 2012/04/20 120,000,000 2010/09/09
24790 HK Bank KECL European Warrants Nov 2011 0.25 10.38 2011/11/18 150,000,000 2010/09/09
24800 KBC Fin Products Int’l Ltd. BOC HK European Wts Dec 2011 0.25 25.18 2011/12/12 128,000,000 2010/09/09
24801 KBC Fin Products Int’l Ltd. BOC HK Euro Put Wts Jun 2011 0.35 21.88 2011/06/01 108,000,000 2010/09/09
24783 Macquarie Bank Ltd. China Life European Wts Jan 2011 0.198 30.05 2011/01/26 300,000,000 2010/09/09
24803 Macquarie Bank Ltd. CLP European Warrants May 2011 0.255 68 2011/05/05 200,000,000 2010/09/09
24797 Macquarie Bank Ltd. Ping An European Put Warrants Apr 2011 0.25 55 2011/04/04 200,000,000 2010/09/09
24798 Macquarie Bank Ltd. Ping An European Put Warrants Nov 2011 0.15 69.98 per 100 units 2011/11/17 200,000,000 2010/09/09
24780 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Feb 2011 C 0.222 30.01 2011/02/01 100,000,000 2010/09/09
24781 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Feb 2011 A 0.26 84.89 2011/02/01 100,000,000 2010/09/09
24782 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Feb2011C 0.152 12,200 per 6,200 units 2011/02/25 150,000,000 2010/09/09
24786 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Feb 2011A 0.18 11,200 per 6,000 units 2011/02/25 150,000,000 2010/09/09
24804 RB of Scotland N.V. CC Bank European Warrants Feb 2011 0.24 7.17 per unit 2011/02/10 150,000,000 2010/09/09
24799 UBS AG Ping An European Warrants Mar 2012 A 0.15 68.90 per 100 units 2012/03/29 100,000,000 2010/09/09
#
23787 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jan 11H 0.164 3.88 per unit 2011/01/12 140,000,000 2010/09/09
24816 BOCI Asia Ltd. Ch Agri-Ind European Warrants Dec 2011 0.25 10.8 2011/12/12 100,000,000 2010/09/10
24817 BOCI Asia Ltd. Fushan Energy European Warrants May 2011 0.375 5.58 per unit 2011/05/09 100,000,000 2010/09/10
24818 BOCI Asia Ltd. Li & Fung European Warrants Jul 2011 0.35 48.88 2011/07/11 100,000,000 2010/09/10
24819 BOCI Asia Ltd. Sinofert European Warrants May 2011 0.375 4.98 per unit 2011/05/09 100,000,000 2010/09/10
24827 BNP Paribas Arbit Issu B.V. Agricultural Bank Eu Wt Apr11 0.31 3.88 per unit 2011/04/04 100,000,000 2010/09/10
24828 BNP Paribas Arbit Issu B.V. Agricultural Bank Eu Wt Oct11 0.33 4.28 per unit 2011/10/03 100,000,000 2010/09/10
24829 Credit Suisse AG HSI European Warrants Dec 2010 F 0.15 21,300 per 8,000 units 2010/12/30 320,000,000 2010/09/10
24833 Credit Suisse AG HSI European Put Warrants Dec 2010 G 0.15 20,300 per 8,000 units 2010/12/30 320,000,000 2010/09/10
24834 Credit Suisse AG HSI European Put Warrants Dec 2010 H 0.15 21,050 per 8,000 units 2010/12/30 320,000,000 2010/09/10
24836 Deutsche Bank AG Dongfeng Motor European Warrants Apr 11 A 0.25 14 2011/04/27 100,000,000 2010/09/10
24837 Deutsche Bank AG Esprit European Warrants Jan 2011 0.22 48.88 2011/01/17 100,000,000 2010/09/10
24830 J P Morgan SP BV Dongfeng Motor European Warrants Jun 11B 0.25 15 2011/06/29 150,000,000 2010/09/10
24832 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 G 0.25 21,800 per 8,000 units 2011/03/30 200,000,000 2010/09/10
24835 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 H 0.25 22,200 per 7,500 units 2011/03/30 200,000,000 2010/09/10
24809 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Mar 11B 0.15 13.51 2011/03/28 100,000,000 2010/09/10
24810 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Sep 2011 0.156 14.59 2011/09/26 100,000,000 2010/09/10
24815 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Jan 2011 0.159 13.99 2011/01/03 100,000,000 2010/09/10
24807 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Feb 2011 B 0.217 7.09 per unit 2011/02/28 100,000,000 2010/09/10
24808 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Feb 2011 C 0.159 7.21 per unit 2011/02/02 100,000,000 2010/09/10
24814 Merrill Lynch Int’l & Co. C.V. Sinopec Eu Put Wts Feb 11E 0.155 4.99 per unit 2011/02/08 100,000,000 2010/09/10
24811 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt Feb 2011 0.33 9.89 per unit 2011/02/28 100,000,000 2010/09/10
24812 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt Jan 2013 0.154 9.01 2013/01/28 200,000,000 2010/09/10
24813 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Apr 2012 0.15 68.89 per 100 units 2012/04/03 150,000,000 2010/09/10
24820 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jan 2011 D 0.19 7.29 per unit 2011/01/03 120,000,000 2010/09/10
24826 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Apr 12B 0.17 11.58 2012/04/23 300,000,000 2010/09/10
24821 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt Apr 2011 0.18 13,200 per 6,200 units 2011/04/28 200,000,000 2010/09/10
24825 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Apr11A 0.25 11,000 per 6,000 units 2011/04/28 200,000,000 2010/09/10
24822 SGA Societe Generale Acceptance N.V. Ping An Eu Wt Dec 10 0.23 78 2010/12/29 50,000,000 2010/09/10
24823 SGA Societe Generale Acceptance N.V. Ping An Eu Wt Mar 11 0.65 70 2011/03/28 50,000,000 2010/09/10
24824 SGA Societe Generale Acceptance N.V. Ping An Eu Wt Apr 12 0.15 68.88 per 100 units 2012/04/02 500,000,000 2010/09/10
24843 Barclays Bank plc China COSCO European Warrants Sep 2011 0.15 9 2011/09/26 100,000,000 2010/09/13
24845 Barclays Bank plc CNBM European Warrants Jun 2011 A 0.25 16 2011/06/20 100,000,000 2010/09/13
24842 Barclays Bank plc ChiUnicom European Warrants Aug 2011 B 0.16 11.88 2011/08/29 100,000,000 2010/09/13
24851 Barclays Bank plc HSI European Put Warrants Mar 2011 0.25 21,000 per 10,000 units 2011/03/30 150,000,000 2010/09/13
24846 Barclays Bank plc HSI European Warrants Feb 2011 G 0.17 21,000 per 8,600 units 2011/02/25 150,000,000 2010/09/13
24848 Barclays Bank plc HSI European Warrants Mar 2011 C 0.25 21,300 per 8,500 units 2011/03/30 150,000,000 2010/09/13
24849 Barclays Bank plc HSI European Warrants Mar 2011 D 0.25 21,700 per 8,000 units 2011/03/30 150,000,000 2010/09/13
24847 Barclays Bank plc HSI European Put Warrants Feb 2011 H 0.17 20,800 per 8,600 units 2011/02/25 150,000,000 2010/09/13
24844 Barclays Bank plc Ping An European Warrants Apr 2012 0.16 68.88 per 100 units 2012/04/02 150,000,000 2010/09/13
24850 Barclays Bank plc Ping An European Put Warrants Nov 2011 0.15 69.98 per 100 units 2011/11/07 150,000,000 2010/09/13
24831 BOCI Asia Ltd. Anta Sports European Warrants Jun 2011 0.25 19.88 2011/06/13 100,000,000 2010/09/13
24838 BOCI Asia Ltd. GCL-Poly Energy European Warrants Sep 2011 0.3 2.28 per unit 2011/09/12 100,000,000 2010/09/13
24840 BOCI Asia Ltd. Yanzhou Coal European Warrants Jul 2011 0.25 18.18 2011/07/11 100,000,000 2010/09/13
24859 BNP Paribas Arbit Issu B.V. BOCHK European Warrants Sep 11 0.25 25.5 2011/09/02 100,000,000 2010/09/13
24841 Credit Suisse AG Ping An European Warrants Mar 2012 A 0.15 68.93 per 100 units 2012/03/30 400,000,000 2010/09/13
24862 Deutsche Bank AG CC Bank European Warrants Feb 2011 A 0.31 7.28 per unit 2011/02/21 200,000,000 2010/09/13
24863 Deutsche Bank AG Dongfeng Motor European Warrants May 11 0.25 15.5 2011/05/30 100,000,000 2010/09/13
24865 Deutsche Bank AG SJM Holdings European Warrants Mar 2011 0.25 8.1 2011/03/14 100,000,000 2010/09/13
24860 KBC Fin Products Int’l Ltd. Ping An European Wts Mar 2011 0.28 80.88 2011/03/15 68,000,000 2010/09/13
24861 KBC Fin Products Int’l Ltd. Ping An European Wts May 2011A 0.26 88 2011/05/03 68,000,000 2010/09/13
24864 KBC Fin Products Int’l Ltd. Ping An Euro Put Wts Mar 2011 0.32 62.88 2011/03/15 68,000,000 2010/09/13
24857 Macquarie Bank Ltd. Esprit European Warrants Apr 2011 A 0.348 47.5 2011/04/06 330,000,000 2010/09/13
24858 Macquarie Bank Ltd. Esprit European Warrants Apr 2011 B 0.25 53.88 2011/04/06 330,000,000 2010/09/13
24852 CC Rabobank B.A. BOC HK European Warrants Apr 2011 0.25 23.5 2011/04/29 120,000,000 2010/09/13
24853 CC Rabobank B.A. BOC HK European Warrants Jul 2011 0.25 25 2011/07/29 120,000,000 2010/09/13
24854 CC Rabobank B.A. CPIC European Warrants May 2011 A 0.25 32.8 2011/05/09 75,000,000 2010/09/13
24855 CC Rabobank B.A. Dongfeng Motor European Warrants Apr2011A 0.25 13.6 2011/04/15 150,000,000 2010/09/13
24856 CC Rabobank B.A. Maanshan Iron European Warrants Mar 2011 0.4 5 per unit 2011/03/15 75,000,000 2010/09/13
#
22841 BOCI Asia Ltd. BYD European Warrants Dec 2010 0.02 62.88 per 100 units 2010/12/30 500,000,000 2010/09/13
#
24436 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Dec 10D 0.175 85.38 2010/12/29 170,000,000 2010/09/13
24870 Citigroup Global Mkt H Inc. Belle Int’l European Wts Oct11 0.25 18.8 2011/10/10 80,000,000 2010/09/14
24871 Citigroup Global Mkt H Inc. CMOC European Warrants Oct 12 0.25 5.68 2012/10/02 80,000,000 2010/09/14
24872 Citigroup Global Mkt H Inc. Dongfeng European Wts Apr 2011 0.25 14.88 2011/04/28 80,000,000 2010/09/14
24873 Citigroup Global Mkt H Inc. KECL European Warrants Sep 11 0.15 12.88 2011/09/23 80,000,000 2010/09/14
24879 Citigroup Global Mkt H Inc. Ping An Euro Wts Mar 2012 0.15 78 per 100 units 2012/03/05 80,000,000 2010/09/14
24874 Citigroup Global Mkt H Inc. Tencent European Put Wts Feb11 0.15 150 per 100 units 2011/02/23 120,000,000 2010/09/14
24887 Deutsche Bank AG Angang Steel European Warrants Jun 2011 A 0.25 14.5 2011/06/07 100,000,000 2010/09/14
24888 Deutsche Bank AG HKEx European Put Warrants May 2011 A 0.16 133 per 100 units 2011/05/30 200,000,000 2010/09/14
24889 Deutsche Bank AG KECL European Warrants Aug 2011 0.15 10.88 2011/08/15 100,000,000 2010/09/14
24890 Deutsche Bank AG Maanshan Iron European Warrants Mar 2011 0.47 5.50 per unit 2011/03/14 100,000,000 2010/09/14
24876 Goldman Sachs SP (Asia) HSI European Put Wts Feb 2011 F 0.15 19,500 per 5,000 units 2011/02/25 200,000,000 2010/09/14
24877 Goldman Sachs SP (Asia) HSI European Put Wts Feb 2011 G 0.15 20,600 per 8,000 units 2011/02/25 200,000,000 2010/09/14
24891 Goldman Sachs SP (Asia) Tencent Holdings European Wt Feb11 0.15 160 per 100 units 2011/02/28 200,000,000 2010/09/14
24875 HK Bank HSI European Warrants Dec 2010 L 0.15 21,200 per 8,000 units 2010/12/30 300,000,000 2010/09/14
24883 J P Morgan SP BV Ping An European Put Warrants Nov 2011 0.15 70 per 100 units 2011/11/07 200,000,000 2010/09/14
24881 Macquarie Bank Ltd. HKEx European Warrants Jan 2012 0.25 128.88 per 100 units 2012/01/04 200,000,000 2010/09/14
24880 Macquarie Bank Ltd. HKEx European Warrants Jul 2011 B 0.151 133.88 per 100 units 2011/07/18 200,000,000 2010/09/14
24867 Macquarie Bank Ltd. HSCEI European Warrants Apr 2011 0.165 12,600 per 6,000 units 2011/04/28 300,000,000 2010/09/14
24866 Macquarie Bank Ltd. HSI European Warrants Jan 2011 0.156 21,600 per 7,500 units 2011/01/28 300,000,000 2010/09/14
24878 Macquarie Bank Ltd. Sino Land European Warrants Jun 2011 0.251 17 2011/06/15 200,000,000 2010/09/14
24868 Macquarie Bank Ltd. SJM Holdings European Warrants Mar 11 0.25 8.88 2011/03/15 200,000,000 2010/09/14
24869 Macquarie Bank Ltd. Wynn Macau European Warrants Jun 2011 0.25 16.88 2011/06/08 150,000,000 2010/09/14
24886 RB of Scotland N.V. HSI European Put Warrants Dec 2010 G 0.183 21,700 per 8,000 units 2010/12/30 250,000,000 2010/09/14
24882 UBS AG HSI European Put Warrants Dec 2010 K 0.15 20,800 per 9,000 units 2010/12/30 200,000,000 2010/09/14
24885 UBS AG Tencent Holdings European Warrants Feb 2011 C 0.15 148.88 per 100 units 2011/02/28 100,000,000 2010/09/14
#
22910 Deutsche Bank AG China Life European Warrants Dec 2010 A 0.051 34 2010/12/06 300,000,000 2010/09/14
#
24499 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Feb 2011 B 0.198 3.78 per unit 2011/02/28 120,000,000 2010/09/14
#
24003 CC Rabobank B.A. BOC HK European Warrants Aug 2011 0.232 21.8 2011/08/30 180,000,000 2010/09/14
24908 Barclays Bank plc Angang Steel European Warrants Aug 2011 0.25 14.28 2011/08/08 100,000,000 2010/09/15
24910 Barclays Bank plc Chi Res Power European Warrants Jul 2011 0.25 18.28 2011/07/18 100,000,000 2010/09/15
24914 Barclays Bank plc A50 China European Warrants Jun 2011 0.16 11.88 2011/06/20 100,000,000 2010/09/15
24915 Barclays Bank plc A50 China European Warrants Nov 2011 A 0.15 13.2 2011/11/07 100,000,000 2010/09/15
24916 Barclays Bank plc A50 China European Warrants Nov 2011 B 0.15 12.88 2011/11/21 100,000,000 2010/09/15
24917 Barclays Bank plc A50 China European Warrants Jan 2012 0.17 12.48 2012/01/16 100,000,000 2010/09/15
24918 Barclays Bank plc A50 China European Warrants Apr 2012 0.15 14.88 2012/04/30 100,000,000 2010/09/15
24913 Barclays Bank plc R&F Ppt European Warrants Jul 2011 0.15 14 2011/07/11 100,000,000 2010/09/15
24920 Barclays Bank plc GCL-Poly Energy European Warrants Jul 11 0.26 2.50 per unit 2011/07/18 100,000,000 2010/09/15
24907 Barclays Bank plc Geely Auto European Warrants Jun 2011 0.31 3.50 per unit 2011/06/20 100,000,000 2010/09/15
24906 Barclays Bank plc KECL European Warrants Aug 2011 0.16 10.88 2011/08/15 100,000,000 2010/09/15
24912 Barclays Bank plc PICC P&C European Warrants Oct 2011 0.21 10 2011/10/03 100,000,000 2010/09/15
24909 Barclays Bank plc Shimao Ppt European Warrants Oct 2011 0.25 14.88 2011/10/31 100,000,000 2010/09/15
24911 Barclays Bank plc Yanzhou Coal European Warrants Aug 2011 0.26 18.88 2011/08/08 100,000,000 2010/09/15
24919 Barclays Bank plc Zijin Mining European Warrants May 2012 0.15 6.4 2012/05/28 100,000,000 2010/09/15
24903 BOCI Asia Ltd. Agricultural Bk European Warrants Dec 2011 0.3 4.28 per unit 2011/12/12 100,000,000 2010/09/15
24904 BOCI Asia Ltd. Chaoda Modern European Warrants Nov 2012 0.25 6.98 2012/11/12 100,000,000 2010/09/15
24942 Credit Suisse AG China Mobile European Warrants Dec 2011 0.15 73.90 per 100 units 2011/12/05 300,000,000 2010/09/15
24939 Credit Suisse AG China Life European Warrants Feb 2011 A 0.15 32.28 2011/02/28 300,000,000 2010/09/15
24936 Credit Suisse AG Minsheng Bank European Warrants Mar 2011 0.25 7.588 per unit 2011/03/28 300,000,000 2010/09/15
24938 Credit Suisse AG CPIC European Warrants Feb 2011 A 0.15 31.888 2011/02/28 300,000,000 2010/09/15
24935 Credit Suisse AG HSBC European Wts Jan 2011 A 0.15 84.888 2011/01/31 300,000,000 2010/09/15
24937 Credit Suisse AG Ping An European Warrants Mar 2011 0.25 82.888 2011/03/28 300,000,000 2010/09/15
24933 Citigroup Global Mkt H Inc. CNBM European Warrants Jun 11A 0.25 18 2011/06/07 80,000,000 2010/09/15
24934 Citigroup Global Mkt H Inc. SJM Holdings European Wt Aug11 0.25 8.8 2011/08/08 80,000,000 2010/09/15
24943 Deutsche Bank AG Geely Auto European Warrants Mar 2011 A 0.25 3.68 per unit 2011/03/21 100,000,000 2010/09/15
24905 Goldman Sachs SP (Asia) Agricultural Bk European Wts Apr11A 0.25 4.08 per unit 2011/04/18 200,000,000 2010/09/15
24930 Macquarie Bank Ltd. BOCHK European Warrants Jun 2011 B 0.25 25 2011/06/29 200,000,000 2010/09/15
24932 Macquarie Bank Ltd. China Unicom European Wts Dec 2011 0.251 13 2011/12/02 200,000,000 2010/09/15
24931 Macquarie Bank Ltd. CM Bank European Warrants Apr 2011 0.25 22 2011/04/04 200,000,000 2010/09/15
24892 Macquarie Bank Ltd. Wharf European Warrants May 2011 0.259 55 2011/05/20 150,000,000 2010/09/15
24895 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Mar 11 0.151 4.29 per unit 2011/03/21 100,000,000 2010/09/15
24899 Merrill Lynch Int’l & Co. CV Agricultural Bk Eu Put W Mar11A 0.255 3.49 per unit 2011/03/28 100,000,000 2010/09/15
24896 Merrill Lynch Int’l & Co. C.V. BOC HK Euro Wts Aug 2011 0.255 24.99 2011/08/29 150,000,000 2010/09/15
24902 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Mar 2011 0.158 11.39 2011/03/08 100,000,000 2010/09/15
24897 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Feb 2012 0.174 12.39 2012/02/27 100,000,000 2010/09/15
24898 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Apr 2012 B 0.23 11.61 2012/04/23 100,000,000 2010/09/15
24893 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Feb11H 0.152 22,700 per 9,200 units 2011/02/25 200,000,000 2010/09/15
24900 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11J 0.185 22,100 per 10,000 units 2011/02/25 200,000,000 2010/09/15
24901 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11K 0.255 22,900 per 9,500 units 2011/02/25 200,000,000 2010/09/15
24941 Standard Chartered Bank China Mobile European Wts Dec 2011 0.15 73.93 per 100 units 2011/12/05 150,000,000 2010/09/15
24921 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Feb 2011 C 0.17 4 per unit 2011/02/21 200,000,000 2010/09/15
24922 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Apr 2011 A 0.31 3.98 per unit 2011/04/04 200,000,000 2010/09/15
24923 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Apr 2011 B 0.25 4.18 per unit 2011/04/04 200,000,000 2010/09/15
24925 SGA Societe Generale Acceptance N.V. CCB Eur Wt Mar 2011 A 0.22 7.68 per unit 2011/03/02 120,000,000 2010/09/15
24924 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Feb 2011C 0.18 128 2011/02/28 60,000,000 2010/09/15
24926 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Mar 11B 0.25 7.50 per unit 2011/03/28 80,000,000 2010/09/15
24928 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jul 2011 0.21 10.68 2011/07/06 300,000,000 2010/09/15
24927 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Aug 2011 A 0.15 143 per 100 units 2011/08/08 200,000,000 2010/09/15
24940 SGA Societe Generale Acceptance N.V. HSI Eur Wt Mar 2011 A 0.15 22,800 per 8,500 units 2011/03/30 300,000,000 2010/09/15
24929 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Mar 2011 A 0.26 6.80 per unit 2011/03/16 120,000,000 2010/09/15
24944 BNP Paribas Arbit Issu B.V. Belle Int’l Euro Wts Aug 2011 0.31 15.38 2011/08/02 100,000,000 2010/09/16
24945 BNP Paribas Arbit Issu B.V. China Life Euro Wts Jul 2011 0.28 33.18 2011/07/04 100,000,000 2010/09/16
24952 BNP Paribas Arbit Issu B.V. PetroCh Euro Wts Apr 2012 0.16 8.5 2012/04/27 100,000,000 2010/09/16
24951 Credit Suisse AG Hutchison European Warrants Mar 2011 0.55 56.88 2011/03/28 300,000,000 2010/09/16
24962 Deutsche Bank AG BankComm European Warrants Feb 2011 0.37 10.28 per unit 2011/02/14 150,000,000 2010/09/16
24965 Deutsche Bank AG CC Bank European Put Warrants Mar 2011 0.34 6 per unit 2011/03/21 150,000,000 2010/09/16
24963 Deutsche Bank AG Cathay Pacific European Warrants Mar 2011 0.25 23 2011/03/21 100,000,000 2010/09/16
24964 Deutsche Bank AG CPIC European Warrants Feb 2011 0.21 30 2011/02/28 100,000,000 2010/09/16
24950 HK Bank China Mobile European Warrants Jan 2011 0.15 86 2011/01/17 250,000,000 2010/09/16
24949 J P Morgan SP BV China Mob European Wts Dec 2010 0.15 85.4 2010/12/22 100,000,000 2010/09/16
24955 J P Morgan SP BV China Mob European Wts Dec 2011 0.15 73.90 per 100 units 2011/12/05 300,000,000 2010/09/16
24946 J P Morgan SP BV Ping An European Warrants Mar 2012 A 0.15 78 per 100 units 2012/03/05 200,000,000 2010/09/16
24947 J P Morgan SP BV Skyworth Digital European Wts Jan 2012 0.15 5.6 2012/01/18 200,000,000 2010/09/16
24956 CC Rabobank B.A. Chaoda Modern European Warrants Jan 2012 0.25 7 2012/01/30 250,000,000 2010/09/16
24958 CC Rabobank B.A. Greentown China European Wts Aug 2011 0.29 9.2 2011/08/30 200,000,000 2010/09/16
24957 CC Rabobank B.A. GCL-Poly Energy European Wts Mar 2011 B 0.25 2.48 per unit 2011/03/28 100,000,000 2010/09/16
24959 CC Rabobank B.A. PCD Stores European Warrants Mar 2011 0.32 2.70 per unit 2011/03/28 100,000,000 2010/09/16
24960 CC Rabobank B.A. Yanzhou Coal European Warrants Mar 2011 0.25 18.85 2011/03/18 100,000,000 2010/09/16
24961 RB of Scotland N.V. Agricultural Bk Euro Wts Feb 2011 B 0.172 3.99 per unit 2011/02/18 150,000,000 2010/09/16
24953 UBS AG China Mobile European Warrants Jan 2011 0.255 81 2011/01/24 100,000,000 2010/09/16
24948 UBS AG A50 China European Warrants Apr 2012 0.15 14.9 2012/04/24 100,000,000 2010/09/16
24954 UBS AG HSI European Put Warrants Dec 2010 L 0.15 21,200 per 8,000 units 2010/12/30 200,000,000 2010/09/16
#
23160 Deutsche Bank AG China Life European Warrants Dec 2010 B 0.155 31.8 2010/12/28 300,000,000 2010/09/16
#
24613 Standard Chartered Bank China Mobile European Wts Dec 2010 0.133 85.38 2010/12/22 100,000,000 2010/09/16
24991 BNP Paribas Arbit Issu B.V. Ch Mobile Eu Put Wt Apr 2011 0.25 65 2011/04/04 100,000,000 2010/09/17
24990 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Mar 2011 0.22 128 2011/03/02 68,000,000 2010/09/17
24992 BNP Paribas Arbit Issu B.V. China Life Eu Put Wts Mar 2011 0.15 26.88 2011/03/02 100,000,000 2010/09/17
24993 BNP Paribas Arbit Issu B.V. Hutchison Euro Put Wt Apr 2011 0.25 51 2011/04/04 100,000,000 2010/09/17
24984 Credit Suisse AG Agricultural Bank European Wts Mar 2011 A 0.15 4.288 per unit 2011/03/21 300,000,000 2010/09/17
24983 Credit Suisse AG A50 China European Warrants Nov 2011 A 0.15 13.22 2011/11/07 300,000,000 2010/09/17
24980 Citigroup Global Mkt H Inc. Angang Steel European Wt May11 0.25 14.68 2011/05/30 80,000,000 2010/09/17
24981 Citigroup Global Mkt H Inc. CM Bank European Put Wts Mar11 0.25 18.88 2011/03/17 100,000,000 2010/09/17
24982 Citigroup Global Mkt H Inc. CNOOC Euro Put Wts Jun 2011 0.15 13.18 2011/06/07 100,000,000 2010/09/17
24979 Citigroup Global Mkt H Inc. HSI European Warrants Dec 2010 0.15 20,800 per 9,000 units 2010/12/30 80,000,000 2010/09/17
24986 Deutsche Bank AG China Mobile European Warrants Jan 2011 0.44 79 2011/01/24 200,000,000 2010/09/17
24985 Deutsche Bank AG CNOOC European Warrants Jun 2011 A 0.15 15 2011/06/27 200,000,000 2010/09/17
24977 Goldman Sachs SP (Asia) BOCL European Warrants Mar 2011 B 0.25 4.25 per unit 2011/03/21 200,000,000 2010/09/17
24978 Goldman Sachs SP (Asia) CNOOC European Warrants Apr 2011 0.15 14.28 2011/04/18 200,000,000 2010/09/17
24996 Goldman Sachs SP (Asia) Tencent Holdings European Wt Apr11 0.16 157.99 per 100 units 2011/04/26 200,000,000 2010/09/17
24995 Goldman Sachs SP (Asia) Tencent Holdings Euro Put Wt Sep11 0.25 142 per 100 units 2011/09/19 200,000,000 2010/09/17
24994 KBC Fin Products Int’l Ltd. BOC HK European Wts Aug 2011 0.25 26.88 2011/08/01 128,000,000 2010/09/17
24987 KBC Fin Products Int’l Ltd. HKEx European Warrants Aug 11A 0.15 142.98 per 100 units 2011/08/08 108,000,000 2010/09/17
24976 Macquarie Bank Ltd. GAC European Wts May 2011 0.25 11.88 2011/05/04 200,000,000 2010/09/17
24966 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt Apr 2011 0.315 4.39 per unit 2011/04/18 100,000,000 2010/09/17
24967 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt May 2011A 0.465 3.99 per unit 2011/05/23 100,000,000 2010/09/17
24970 Merrill Lynch Int’l & Co. C.V. ChiUnicom Eu Put Wts Apr 11 0.15 10.79 2011/04/11 100,000,000 2010/09/17
24968 Merrill Lynch Int’l & Co. C.V. ChiUnicom Euro Wts Aug 11A 0.222 10.49 2011/08/16 100,000,000 2010/09/17
24969 Merrill Lynch Int’l & Co. C.V. ChiUnicom Euro Wts Aug 11B 0.151 11.89 2011/08/23 100,000,000 2010/09/17
24971 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Jan 12 0.198 11.99 2012/01/18 100,000,000 2010/09/17
24972 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Apr 2011A 0.152 12,600 per 6,000 units 2011/04/28 150,000,000 2010/09/17
24973 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Feb 11B 0.166 12,000 per 6,500 units 2011/02/25 150,000,000 2010/09/17
24989 CC Rabobank B.A. CNOOC European Warrants Apr 2011 0.15 14.3 2011/04/11 120,000,000 2010/09/17
10996 RB of Scotland N.V. DJIA European Warrants Mar 2011 C 0.25 11,800 per 30,000 units 2011/03/18 100,000,000 2010/09/17
10001 RB of Scotland N.V. DJIA European Put Warrants Mar 2011 D 0.253 9,800 per 40,000 units 2011/03/18 100,000,000 2010/09/17
10993 RB of Scotland N.V. Gold European Warrants Mar 2011 0.261 1,288 per 5,000 units 2011/03/30 100,000,000 2010/09/17
10997 RB of Scotland N.V. Gold European Put Warrants Mar 2011 0.25 1,188 per 5,000 units 2011/03/30 100,000,000 2010/09/17
24975 SGA Societe Generale Acceptance N.V. Shenhua Eu Wt Mar 11 0.22 33.38 2011/03/16 150,000,000 2010/09/17
24974 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jan 2012 0.15 12.88 2012/01/30 300,000,000 2010/09/17
#
23506 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Dec 2011 0.097 73.89 per 100 units 2011/12/05 300,000,000 2010/09/17
25017 Credit Suisse AG Agricultural Bank European Wts Jan 2011 E 0.15 4.39 per unit 2011/01/10 300,000,000 2010/09/20
25018 Credit Suisse AG Agricultural Bank European Wts Feb 2011 B 0.15 4.68 per unit 2011/02/22 300,000,000 2010/09/20
25016 Credit Suisse AG HKEx European Warrants Nov 2012 0.25 154 per 100 units 2012/11/26 400,000,000 2010/09/20
25001 Citigroup Global Mkt H Inc. CNOOC European Wts May 2011 A 0.25 14.88 2011/05/30 120,000,000 2010/09/20
25013 Deutsche Bank AG China Mobile European Warrants Mar 2011 0.78 75 2011/03/28 200,000,000 2010/09/20
25011 Deutsche Bank AG CC Bank European Warrants Mar 2011 A 0.24 7.68 per unit 2011/03/07 200,000,000 2010/09/20
25012 Deutsche Bank AG China Life European Warrants Mar 2011 B 0.26 31.28 2011/03/28 300,000,000 2010/09/20
25015 Deutsche Bank AG CNOOC European Warrants Apr 2011 B 0.15 16 2011/04/04 200,000,000 2010/09/20
25014 Deutsche Bank AG Sinopec Corp European Warrants Mar 2011 0.36 7 per unit 2011/03/28 150,000,000 2010/09/20
10998 Deutsche Bank AG Gold European Warrants Apr 2011 0.25 1,318 per 4,000 units 2011/04/19 50,000,000 2010/09/20
25000 HK Bank BOC HK European Warrants Jun 2011 0.25 25.38 2011/06/23 160,000,000 2010/09/20
25009 KBC Fin Products Int’l Ltd. HSI European Wts Feb 2011 G 0.15 22,800 per 9,200 units 2011/02/25 200,000,000 2010/09/20
25007 Macquarie Bank Ltd. China Coal European Warrants Jan 2011 0.151 12.5 2011/01/24 200,000,000 2010/09/20
25010 Standard Chartered Bank HKEx European Warrants Aug 2011 A 0.15 142.99 per 100 units 2011/08/08 150,000,000 2010/09/20
25002 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Apr 2011 C 0.32 4.38 per unit 2011/04/04 200,000,000 2010/09/20
25003 SGA Societe Generale Acceptance N.V. AGBK Eu Wt May 2011 A 0.3 4.58 per unit 2011/05/04 200,000,000 2010/09/20
25004 SGA Societe Generale Acceptance N.V. AGBK Eu Wt May 2011 B 0.25 4.78 per unit 2011/05/04 200,000,000 2010/09/20
24997 SGA Societe Generale Acceptance N.V. CMob Eu Put Wt Dec 11 0.15 79.95 per 100 units 2011/12/21 500,000,000 2010/09/20
25005 SGA Societe Generale Acceptance N.V. CMB Euro Wts Apr 2011 0.17 22.78 2011/04/11 150,000,000 2010/09/20
24998 SGA Societe Generale Acceptance N.V. CP&CC Eu Put Wt Feb11 0.24 5.60 per unit 2011/02/14 50,000,000 2010/09/20
24999 SGA Societe Generale Acceptance N.V Nine Dragons Eu Wt Nov11 0.21 12.88 2011/11/02 150,000,000 2010/09/20
25006 UBS AG HSI European Warrants Dec 2010 M 0.15 22,100 per 8,000 units 2010/12/30 200,000,000 2010/09/20
#
23343 KBC Fin Products Int’l Ltd. HSBC European Wts Jan 2011 B 0.173 88.28 2011/01/03 130,000,000 2010/09/20
25028 BOCI Asia Ltd. CNOOC European Warrants Apr 2012 0.25 16.28 2012/04/10 100,000,000 2010/09/21
25029 BOCI Asia Ltd. Ping An European Warrants Apr 2012 0.17 68.88 per 100 units 2012/04/10 300,000,000 2010/09/21
25032 Credit Suisse AG China Mobile European Warrants Jan 2011 A 0.15 86.9 2011/01/31 300,000,000 2010/09/21
25049 Credit Suisse AG China Life European Warrants Feb 2011 B 0.15 33.45 2011/02/21 300,000,000 2010/09/21
25033 Credit Suisse AG CNOOC European Warrants Apr 2011 A 0.15 14.3 2011/04/11 300,000,000 2010/09/21
25034 Credit Suisse AG CNOOC European Warrants Apr 2011 B 0.15 16 2011/04/11 300,000,000 2010/09/21
25030 Credit Suisse AG HSI European Put Warrants Dec 2010 I 0.15 22,200 per 10,000 units 2010/12/30 300,000,000 2010/09/21
25031 Credit Suisse AG HSI European Put Warrants Feb 2011 B 0.15 22,100 per 8,000 units 2011/02/25 320,000,000 2010/09/21
25035 Deutsche Bank AG Agricultural Bk European Put Wts Feb11 0.15 3.33 per unit 2011/02/21 100,000,000 2010/09/21
25036 Deutsche Bank AG CHALCO European Warrants Jun 2011 0.15 7.38 2011/06/27 100,000,000 2010/09/21
25037 Deutsche Bank AG BOC HK European Warrants Mar 2011 0.25 25 2011/03/21 150,000,000 2010/09/21
25038 Deutsche Bank AG China Telecom European Wts Mar 2011 0.31 4.50 per unit 2011/03/21 100,000,000 2010/09/21
25039 Deutsche Bank AG Fushan Energy European Warrants Mar 2011 0.52 5 per unit 2011/03/21 100,000,000 2010/09/21
25040 Deutsche Bank AG Gome European Warrants Feb 2011 0.27 2.50 per unit 2011/02/28 100,000,000 2010/09/21
25041 Deutsche Bank AG Li & Fung European Warrants Mar 2011 0.25 50 2011/03/21 100,000,000 2010/09/21
25042 Deutsche Bank AG PetroChina European Warrants Mar 2011 0.43 9.50 per unit 2011/03/21 150,000,000 2010/09/21
25043 Deutsche Bank AG Sinopharm European Warrants Mar 2011 0.34 34 2011/03/21 100,000,000 2010/09/21
25048 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Apr 11C 0.27 4.18 per unit 2011/04/01 158,000,000 2010/09/21
25046 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Mar 11 B 0.25 4.30 per unit 2011/03/21 198,000,000 2010/09/21
25047 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Mar 11 C 0.25 4.48 per unit 2011/03/21 198,000,000 2010/09/21
25044 Macquarie Bank Ltd. China Shenhua European Wts Apr 2011 0.252 36.88 2011/04/04 200,000,000 2010/09/21
25045 Macquarie Bank Ltd. Ping An European Warrants Mar 2012 0.152 78 per 100 units 2012/03/05 250,000,000 2010/09/21
25020 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Jan 2011 B 0.32 82.69 2011/01/25 100,000,000 2010/09/21
25021 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Jan 2011 C 0.208 86.89 2011/01/26 100,000,000 2010/09/21
25022 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Feb 2011 A 0.16 90.89 2011/02/15 100,000,000 2010/09/21
25023 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Feb 2011 B 0.164 93.89 2011/02/21 100,000,000 2010/09/21
25024 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eu Put Wt Dec 11B 0.189 88.88 per 100 units 2011/12/20 100,000,000 2010/09/21
25025 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Dec 2010 0.172 84.99 2010/12/28 100,000,000 2010/09/21
25027 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Mar 2011 B 0.26 88.99 2011/03/21 100,000,000 2010/09/21
25026 Merrill Lynch Int’l & Co. C.V. Ping An Euro Put Wts Jun 12 0.25 81.99 per 100 units 2012/06/11 100,000,000 2010/09/21
25019 RB of Scotland N.V. Agricultural Bk European Wts Mar 2011 0.28 4.22 per unit 2011/03/24 150,000,000 2010/09/21
25055 RB of Scotland N.V. A50 China European Put Wts Apr 2011 0.164 12.88 2011/04/18 250,000,000 2010/09/21
25050 RB of Scotland N.V. HKEx European Warrants Jun 2011 A 0.153 140.10 per 100 units 2011/06/27 250,000,000 2010/09/21
25051 RB of Scotland N.V. HSBC European Warrants Jan 2011 A 0.361 84.85 2011/01/31 100,000,000 2010/09/21
25052 RB of Scotland N.V. HSBC European Warrants Jan 2011 B 0.26 88.85 2011/01/31 100,000,000 2010/09/21
25053 RB of Scotland N.V. HSBC European Warrants Feb 2011 B 0.21 92.65 2011/02/11 100,000,000 2010/09/21
25057 Barclays Bank plc Agricultural Bank European Wts Apr 2011 0.25 4.38 per unit 2011/04/18 100,000,000 2010/09/22
25056 Barclays Bank plc CNOOC European Warrants Jun 2011 0.16 15 2011/06/27 100,000,000 2010/09/22
25060 Barclays Bank plc CNOOC European Put Warrants Jun 2011 A 0.15 13.18 2011/06/20 100,000,000 2010/09/22
25058 Barclays Bank plc HKEx European Warrants Jul 2012 0.25 153.88 per 100 units 2012/07/30 150,000,000 2010/09/22
25059 Barclays Bank plc Tencent Holdings European Warrants Jun 11 0.25 160.88 per 100 units 2011/06/20 150,000,000 2010/09/22
25061 Citigroup Global Mkt H Inc. China Life Euro Wts Apr 2011 0.25 33.33 2011/04/28 80,000,000 2010/09/22
25070 Deutsche Bank AG Air China European Warrants May 2011 0.25 10.5 2011/05/23 100,000,000 2010/09/22
25071 Deutsche Bank AG Angang Steel European Warrants Jun 2011 B 0.25 13 2011/06/27 100,000,000 2010/09/22
25073 Deutsche Bank AG Ch LongYuan European Warrants Dec 2011 A 0.15 8.08 2011/12/28 100,000,000 2010/09/22
25074 Deutsche Bank AG China Overseas European Warrants May 2011 0.25 19.5 2011/05/11 100,000,000 2010/09/22
25072 Deutsche Bank AG CC Bank European Warrants Mar 2011 B 0.17 8.28 per unit 2011/03/28 200,000,000 2010/09/22
25075 Deutsche Bank AG Geely Auto European Warrants Mar 2011 B 0.4 3.30 per unit 2011/03/28 100,000,000 2010/09/22
25076 Deutsche Bank AG Jiangxi Copper European Warrants Apr 2011A 0.25 19.5 2011/04/18 100,000,000 2010/09/22
25078 Deutsche Bank AG SHK Ppt European Warrants Aug 2011 0.15 117.50 per 100 units 2011/08/01 200,000,000 2010/09/22
25077 Deutsche Bank AG SJM Holdings European Warrants Jun 2011 A 0.25 9 2011/06/27 100,000,000 2010/09/22
25079 Deutsche Bank AG Tencent Holdings European Warrants Apr11A 0.25 155 per 100 units 2011/04/18 200,000,000 2010/09/22
25065 HK Bank HKEx European Warrants Nov 2011 A 0.25 150 per 100 units 2011/11/08 160,000,000 2010/09/22
25080 J P Morgan SP BV Angang Steel European Warrants May 2011 0.25 13.88 2011/05/03 200,000,000 2010/09/22
25081 J P Morgan SP BV Anta Sports European Warrants Mar 2011 0.15 20 2011/03/21 100,000,000 2010/09/22
25082 J P Morgan SP BV China Unicom European Warrants Aug 2011 0.25 12 2011/08/29 200,000,000 2010/09/22
25083 J P Morgan SP BV Hutchison European Warrants Feb 2011 C 0.15 78.88 2011/02/14 100,000,000 2010/09/22
25068 KBC Fin Products Int’l Ltd. China Life Euro Wts Mar 2011 E 0.18 32.28 2011/03/14 208,000,000 2010/09/22
25069 KBC Fin Products Int’l Ltd. China Life Euro Wts Apr 2011 A 0.25 30.98 2011/04/01 188,000,000 2010/09/22
25084 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Mar 2011 B 0.25 85.88 2011/03/22 128,000,000 2010/09/22
25066 KBC Fin Products Int’l Ltd. ICBC European Wts Apr 2011 A 0.3 6.388 per unit 2011/04/01 158,000,000 2010/09/22
25087 CC Rabobank B.A. Anhui Conch European Warrants Mar 2011 0.38 37 2011/03/29 75,000,000 2010/09/22
25089 CC Rabobank B.A. BOCL European Warrants Apr 2011 0.15 4.89 per unit 2011/04/04 100,000,000 2010/09/22
25085 CC Rabobank B.A. Jiangxi Copper European Warrants Mar 2011 0.25 21 2011/03/24 100,000,000 2010/09/22
25088 CC Rabobank B.A. Lenovo European Warrants Mar 2011 0.4 5.50 per unit 2011/03/01 100,000,000 2010/09/22
25086 CC Rabobank B.A. PetroChina European Warrants Feb 2011 B 0.38 9.89 per unit 2011/02/25 100,000,000 2010/09/22
25062 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Feb 11B 0.15 95.9 2011/02/14 200,000,000 2010/09/22
25067 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Mar 11C 0.15 20,400 per 8,000 units 2011/03/30 300,000,000 2010/09/22
25064 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jun 11A 0.15 19,000 per 8,000 units 2011/06/29 300,000,000 2010/09/22
25063 SGA Societe Generale Acceptance N.V. HSI Eur Wt Mar 2011 B 0.15 22,200 per 7,500 units 2011/03/30 300,000,000 2010/09/22
25090 UBS AG HSI European Warrants Mar 2011 A 0.15 23,000 per 8,500 units 2011/03/30 200,000,000 2010/09/22
25091 UBS AG HSI European Put Warrants Feb 2011 B 0.15 21,400 per 8,000 units 2011/02/25 200,000,000 2010/09/22
25093 BOCI Asia Ltd. China Tel European Warrants Aug 2011 0.35 5 per unit 2011/08/29 100,000,000 2010/09/24
25092 BOCI Asia Ltd. China Mengniu European Warrants Dec 2011 0.3 27.88 2011/12/19 100,000,000 2010/09/24
25096 BNP Paribas Arbit Issu B.V. HKEx European Wts Nov 2012 0.25 150 per 100 units 2012/11/01 100,000,000 2010/09/24
25097 BNP Paribas Arbit Issu B.V. Li Ning European Warrants Jun11 0.32 26.88 2011/06/01 80,000,000 2010/09/24
25095 BNP Paribas Arbit Issu B.V. China Mengniu Euro Wts Aug 11 0.28 28.88 2011/08/02 100,000,000 2010/09/24
25098 BNP Paribas Arbit Issu B.V. SJM Holdings Euro Wts Dec 11 0.25 9.28 2011/12/02 100,000,000 2010/09/24
25100 Deutsche Bank AG CITIC Bank European Warrants Mar 2011 A 0.31 5.80 per unit 2011/03/28 100,000,000 2010/09/24
25101 Deutsche Bank AG China Mobile European Warrants Feb 2011 C 0.38 82.5 2011/02/28 200,000,000 2010/09/24
10999 Deutsche Bank AG EUR/USD European Put Warrants Mar 2011 B 0.28 1.23 per 1 units 2011/03/28 50,000,000 2010/09/24
25102 Deutsche Bank AG PICC P&C European Warrants Aug 2011 0.25 10.5 2011/08/01 100,000,000 2010/09/24
25103 Deutsche Bank AG Ping An European Warrants Mar 2012 0.15 78 per 100 units 2012/03/05 100,000,000 2010/09/24
25104 Deutsche Bank AG Sands China European Warrants Feb 2011 0.15 13.88 2011/02/14 100,000,000 2010/09/24
25106 Goldman Sachs SP (Asia) CC Bank European Wts Mar 2011 B 0.25 7.80 per unit 2011/03/28 200,000,000 2010/09/24
25107 Goldman Sachs SP (Asia) CNOOC European Warrants Jun 2011 A 0.15 14.98 2011/06/27 200,000,000 2010/09/24
25105 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Mar 11D 0.25 3.988 per unit 2011/03/24 198,000,000 2010/09/24
25099 UBS AG HKEx European Warrants Oct 2011 B 0.25 150.88 per 100 units 2011/10/31 200,000,000 2010/09/24
#
22232 BOCI Asia Ltd. HKEx European Put Warrants Mar 2011 0.069 128 per 100 units 2011/03/11 500,000,000 2010/09/24
25120 BNP Paribas Arbit Issu B.V. Agricultural Bank Eu Wt Jul 15 0.15 2.99 2015/07/08 100,000,000 2010/09/27
25121 BNP Paribas Arbit Issu B.V. KECL European Warrants Sep 12 0.25 10.88 2012/09/03 100,000,000 2010/09/27
25122 Credit Suisse AG Sinopec Corp European Warrants Jul 2011 0.15 5.89 2011/07/25 300,000,000 2010/09/27
25123 Deutsche Bank AG Alibaba European Warrants Apr 2011 0.25 16 2011/04/04 100,000,000 2010/09/27
10002 Deutsche Bank AG AUD/USD European Warrants Apr 2011 0.25 0.97 per 1 units 2011/04/11 50,000,000 2010/09/27
25124 Deutsche Bank AG CM Bank European Warrants Mar 2011 0.25 21.5 2011/03/28 100,000,000 2010/09/27
25125 Deutsche Bank AG CNBM European Warrants Mar 2011 0.25 18.5 2011/03/28 80,000,000 2010/09/27
25126 Deutsche Bank AG China Shenhua European Warrants Feb 2011 0.22 33.88 2011/02/21 80,000,000 2010/09/27
25109 Goldman Sachs SP (Asia) Agricultural Bk European Wts Jan11 0.18 4.18 per unit 2011/01/24 200,000,000 2010/09/27
25110 Goldman Sachs SP (Asia) Agricultural Bk European Wts May11 0.25 4.40 per unit 2011/05/16 200,000,000 2010/09/27
25115 HK Bank CNBM European Warrants Jun 2011 0.25 19.38 2011/06/22 100,000,000 2010/09/27
25116 HK Bank CNOOC European Warrants Aug 2011 0.25 16.88 2011/08/30 160,000,000 2010/09/27
25111 HK Bank HSCEI European Warrants Mar 2011 A 0.25 11,800 per 6,500 units 2011/03/30 200,000,000 2010/09/27
25112 HK Bank HSCEI European Warrants Mar 2011 B 0.25 12,800 per 6,000 units 2011/03/30 200,000,000 2010/09/27
25113 HK Bank HSCEI European Warrants Jun 2011 A 0.25 13,800 per 6,000 units 2011/06/29 200,000,000 2010/09/27
25114 HK Bank HSCEI European Warrants Dec 2011 0.25 14,200 per 8,000 units 2011/12/29 200,000,000 2010/09/27
25118 HK Bank HSCEI European Put Warrants Mar 2011 0.25 11,500 per 6,000 units 2011/03/30 200,000,000 2010/09/27
25117 HK Bank PetroChina European Warrants Mar 2011 0.25 10.18 per unit 2011/03/28 150,000,000 2010/09/27
25119 J P Morgan SP BV HSBC European Warrants Jan 2011 0.174 88.88 2011/01/31 100,000,000 2010/09/27
25108 Macquarie Bank Ltd. HSI European Put Warrants Jan 2011 0.15 20,900 per 9,500 units 2011/01/28 250,000,000 2010/09/27
25154 BNP Paribas Arbit Issu B.V. China Unicom European Wt Oct12 0.27 15 2012/10/03 100,000,000 2010/09/28
25153 BNP Paribas Arbit Issu B.V. CNBM European Warrants Oct 11 0.28 21 2011/10/03 100,000,000 2010/09/28
25139 BNP Paribas Arbit Issu B.V. HSI European Wts Mar 2011 0.25 22,200 per 8,000 units 2011/03/30 100,000,000 2010/09/28
25143 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Mar 2011 0.26 21,800 per 8,000 units 2011/03/30 100,000,000 2010/09/28
25155 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Mar 2012 0.31 22 2012/03/02 100,000,000 2010/09/28
25156 BNP Paribas Arbit Issu B.V. M I&S European Wts Mar 2011 0.4 5.50 per unit 2011/03/07 43,000,000 2010/09/28
25158 BNP Paribas Arbit Issu B.V. Ting Yi European Warrants Jan12 0.37 24 2012/01/04 76,000,000 2010/09/28
25145 Credit Suisse AG Hutchison European Warrants Feb 2011 C 0.15 73.9 2011/02/07 300,000,000 2010/09/28
25161 Deutsche Bank AG Minsheng Bank European Warrants Mar 2011 0.35 7.60 per unit 2011/03/28 150,000,000 2010/09/28
25160 Deutsche Bank AG China Railway European Warrants Mar 2011 0.41 7 per unit 2011/03/28 100,000,000 2010/09/28
25159 Deutsche Bank AG CRCC European Warrants Aug 2011 0.15 11.68 2011/08/01 100,000,000 2010/09/28
25148 Deutsche Bank AG HSI European Warrants Feb 2011 I 0.15 23,200 per 8,000 units 2011/02/25 300,000,000 2010/09/28
25149 Deutsche Bank AG HSI European Warrants Mar 2011 A 0.25 22,400 per 8,000 units 2011/03/30 300,000,000 2010/09/28
25150 Deutsche Bank AG HSI European Warrants Mar 2011 B 0.15 22,800 per 8,500 units 2011/03/30 300,000,000 2010/09/28
25151 Deutsche Bank AG HSI European Put Warrants Mar 2011 C 0.25 22,200 per 8,000 units 2011/03/30 300,000,000 2010/09/28
25152 Deutsche Bank AG HSI European Put Warrants Mar 2011 D 0.28 22,800 per 8,000 units 2011/03/30 300,000,000 2010/09/28
25162 Deutsche Bank AG ICBC European Warrants Mar 2011 B 0.47 5.98 per unit 2011/03/28 200,000,000 2010/09/28
25163 Deutsche Bank AG Zijin Mining European Warrants Feb 2011 0.48 7 per unit 2011/02/21 100,000,000 2010/09/28
25133 HK Bank HSI European Put Warrants Jun 2011 A 0.25 19,000 per 8,000 units 2011/06/29 280,000,000 2010/09/28
25131 HK Bank HSI European Warrants Mar 2011 D 0.25 22,400 per 8,000 units 2011/03/30 280,000,000 2010/09/28
25132 HK Bank HSI European Warrants Mar 2011 E 0.25 24,000 per 8,000 units 2011/03/30 280,000,000 2010/09/28
25136 HK Bank HSI European Put Warrants Mar 2011 G 0.25 20,000 per 7,500 units 2011/03/30 280,000,000 2010/09/28
25137 HK Bank HSI European Put Warrants Mar 2011 H 0.25 20,800 per 8,000 units 2011/03/30 280,000,000 2010/09/28
25138 HK Bank HSI European Put Warrants Mar 2011 I 0.25 21,800 per 10,000 units 2011/03/30 280,000,000 2010/09/28
25134 Macquarie Bank Ltd. Belle Int’l European Warrants Mar 2011 0.254 17 2011/03/30 200,000,000 2010/09/28
25135 Macquarie Bank Ltd. COSCO Pacific European Warrants Jul 11 0.251 13.38 2011/07/18 200,000,000 2010/09/28
25140 Macquarie Bank Ltd. Chi Res Land European Wts Apr 2011 0.25 20 2011/04/28 100,000,000 2010/09/28
25141 Macquarie Bank Ltd. Dongfeng Motor European Wts Jul 2011 B 0.251 17 2011/07/28 150,000,000 2010/09/28
25142 Macquarie Bank Ltd. New World Dev European Wts Oct 2011 0.25 16 2011/10/07 150,000,000 2010/09/28
25144 Macquarie Bank Ltd. SHK Ppt European Warrants Oct 2012 0.25 140 per 100 units 2012/10/03 200,000,000 2010/09/28
25127 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2012 A 0.25 147 per 100 units 2012/06/25 300,000,000 2010/09/28
25128 SGA Societe Generale Acceptance N.V. Petch Eu Wt Apr 2012 0.15 8.5 2012/04/30 400,000,000 2010/09/28
25129 SGA Societe Generale Acceptance N.V. Petch Eu Wt Jan 2013 0.15 9 2013/01/28 400,000,000 2010/09/28
25130 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Jan 2013 0.25 130.50 per 100 units 2013/01/28 300,000,000 2010/09/28
25147 UBS AG China Unicom European Warrants Sep 2011 0.15 12 2011/09/20 100,000,000 2010/09/28
25146 UBS AG ICBC European Warrants Jan 2011 0.15 6.50 per unit 2011/01/10 100,000,000 2010/09/28
#
24775 CC Rabobank B.A. China Life European Warrants Dec 2010 C 0.15 31.85 2010/12/21 200,000,000 2010/09/28
25176 BNP Paribas Arbit Issu B.V. Hutchison European Wts Nov2011A 0.4 76.88 2011/11/02 100,000,000 2010/09/29
25182 Credit Suisse AG China Mobile European Warrants Jan 2011 B 0.15 88.8 2011/01/24 300,000,000 2010/09/29
25178 Credit Suisse AG Sinopec Corp European Warrants Jan 2011 A 0.15 6.88 per unit 2011/01/10 300,000,000 2010/09/29
25179 Credit Suisse AG Sinopec Corp European Warrants Oct 2011 0.15 6.21 2011/10/10 300,000,000 2010/09/29
25180 Credit Suisse AG HKEx European Warrants Mar 2011 0.25 158.88 2011/03/28 300,000,000 2010/09/29
25177 Credit Suisse AG HSBC European Wts Jan 2011 B 0.15 88.88 2011/01/31 300,000,000 2010/09/29
25181 Credit Suisse AG Tencent Holdings European Wts Feb 2011 B 0.15 168.80 per 100 units 2011/02/14 300,000,000 2010/09/29
25183 Credit Suisse AG Tencent Holdings European Put Wts Feb2011 0.15 160 per 100 units 2011/02/21 300,000,000 2010/09/29
25196 Citigroup Global Mkt H Inc. BYD European Warrants Apr 2011 0.25 68.88 2011/04/18 80,000,000 2010/09/29
25184 Deutsche Bank AG Anhui Conch European Warrants Apr 2011 0.38 37.5 2011/04/04 100,000,000 2010/09/29
25185 Deutsche Bank AG China EB Ltd European Warrants Mar 2011 0.2 20 2011/03/28 100,000,000 2010/09/29
25187 Deutsche Bank AG Chi Res Land European Warrants Feb 2011 0.16 18 2011/02/28 100,000,000 2010/09/29
25188 Deutsche Bank AG ICBC European Warrants Feb 2011 A 0.22 6.50 per unit 2011/02/28 150,000,000 2010/09/29
10003 Deutsche Bank AG Nasdaq-100 Index European Wts Jun 2011 0.25 2,050 per 10,000 units 2011/06/20 100,000,000 2010/09/29
10007 Deutsche Bank AG Nasdaq-100 Index Euro Put Wts Jun 2011 0.25 1,900 per 10,000 units 2011/06/20 100,000,000 2010/09/29
25194 Goldman Sachs SP (Asia) HSI European Warrants Mar 2011 A 0.25 22,000 per 7,000 units 2011/03/30 200,000,000 2010/09/29
25195 Goldman Sachs SP (Asia) HSI European Warrants Mar 2011 B 0.15 22,900 per 8,500 units 2011/03/30 200,000,000 2010/09/29
25199 Goldman Sachs SP (Asia) HSI European Put Wts Mar 2011 C 0.25 21,600 per 7,000 units 2011/03/30 200,000,000 2010/09/29
25200 Goldman Sachs SP (Asia) HSI European Put Wts Mar 2011 D 0.25 22,000 per 7,000 units 2011/03/30 200,000,000 2010/09/29
25169 HK Bank Angang Steel European Warrants Jun 2011 B 0.25 14.88 2011/06/22 120,000,000 2010/09/29
25170 HK Bank Sinopec Corp European Warrants Mar 2011 0.25 7.58 per unit 2011/03/29 120,000,000 2010/09/29
25171 HK Bank Dongfeng Motor European Warrants May 2011 0.25 17.18 2011/05/12 100,000,000 2010/09/29
25172 HK Bank HWL European Warrants Mar 2011 0.25 80 2011/03/29 150,000,000 2010/09/29
25173 HK Bank Jiangxi Copper European Warrants Apr 2011 0.25 21.88 2011/04/28 120,000,000 2010/09/29
25174 HK Bank Tencent European Warrants Jun 2011 A 0.25 180 per 100 units 2011/06/16 200,000,000 2010/09/29
25175 HK Bank Zhaojin Mining European Warrants Dec 2011 0.3 28.88 2011/12/28 100,000,000 2010/09/29
25191 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt Apr 11A 0.25 3.40 per unit 2011/04/01 128,000,000 2010/09/29
25192 KBC Fin Products Int’l Ltd. China Tel Euro Wts May 2011 0.25 4.58 per unit 2011/05/09 80,000,000 2010/09/29
25193 KBC Fin Products Int’l Ltd. CNOOC European Wts Jun 2011 C 0.15 14.88 2011/06/01 108,000,000 2010/09/29
25190 Macquarie Bank Ltd. Agricultural Bk European Put Wt Mar 11 0.251 3.60 per unit 2011/03/30 150,000,000 2010/09/29
25189 Macquarie Bank Ltd. Sh Petrochem European Wts Mar 2011 0.253 3.98 per unit 2011/03/30 88,000,000 2010/09/29
25164 CC Rabobank B.A. CNBM European Warrants Apr 2011 0.25 19.4 2011/04/06 100,000,000 2010/09/29
25165 CC Rabobank B.A. Dongfeng Motor European Warrants Apr 11B 0.22 14.9 2011/04/21 150,000,000 2010/09/29
25166 CC Rabobank B.A. Geely Auto European Warrants Mar 2011 0.37 3.68 per unit 2011/03/14 100,000,000 2010/09/29
25167 CC Rabobank B.A. Hutchison European Warrants Feb 2011 C 0.24 75 2011/02/11 100,000,000 2010/09/29
25168 CC Rabobank B.A. Weichai Power European Warrants Oct 2011 0.25 90 per 100 units 2011/10/26 200,000,000 2010/09/29
#
23846 UBS AG Agricultural Bank European Warrants Jan 2011 H 0.076 4.38 per unit 2011/01/10 200,000,000 2010/09/29
25211 Barclays Bank plc China Telecom European Warrants Jun 2011 0.25 5 per unit 2011/06/27 100,000,000 2010/09/30
25210 Barclays Bank plc Sinopec Corp European Wts Apr 2011 0.3 7.50 per unit 2011/04/26 100,000,000 2010/09/30
25212 Barclays Bank plc Hutchison European Warrants Jun 2011 0.27 75 2011/06/13 100,000,000 2010/09/30
25213 Barclays Bank plc Hutchison European Put Warrants Jun 2011 0.25 55 2011/06/20 100,000,000 2010/09/30
25214 Barclays Bank plc Tencent Holdings European Put Wts Sep 11A 0.16 142 per 100 units 2011/09/12 120,000,000 2010/09/30
25243 Citigroup Global Mkt H Inc. Esprit European Wts Mar 2011 0.25 49.99 2011/03/30 80,000,000 2010/09/30
25228 Citigroup Global Mkt H Inc. Ping An Euro Wts Mar 2011 0.35 82 2011/03/30 80,000,000 2010/09/30
25234 Deutsche Bank AG Agile Ppt European Warrants Oct 2011 0.19 10.08 2011/10/10 100,000,000 2010/09/30
25235 Deutsche Bank AG BBMG European Warrants Jun 2011 0.25 11.5 2011/06/27 100,000,000 2010/09/30
25236 Deutsche Bank AG CC Bank European Warrants Feb 2011 B 0.48 6.86 per unit 2011/02/28 200,000,000 2010/09/30
25237 Deutsche Bank AG Sinopec Corp European Warrants Apr 2011 A 0.3 7.50 per unit 2011/04/14 150,000,000 2010/09/30
25238 Deutsche Bank AG R&F Ppt European Warrants May 2011 0.15 12.5 2011/05/30 100,000,000 2010/09/30
25248 KBC Fin Products Int’l Ltd. HKEx European Warrants Apr 11 0.37 162.88 2011/04/01 88,000,000 2010/09/30
25216 Macquarie Bank Ltd. Cheung Kong European Warrants Oct 2011 0.152 105 per 100 units 2011/10/17 250,000,000 2010/09/30
25215 Macquarie Bank Ltd. Cathay Pacific European Wts Mar 2011 0.152 23.05 2011/03/15 150,000,000 2010/09/30
25239 Macquarie Bank Ltd. HSI European Put Warrants Feb 2011 0.15 22,000 per 10,000 units 2011/02/25 250,000,000 2010/09/30
25197 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Mar 2011 A 0.345 29.39 2011/03/03 100,000,000 2010/09/30
25198 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Mar 2011 B 0.158 33.49 2011/03/04 100,000,000 2010/09/30
25201 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Apr 2011 A 0.153 35.69 2011/04/26 100,000,000 2010/09/30
25202 Merrill Lynch Int’l & Co. C.V. Ch Life Eur Put Wt Mar 2011 0.25 31.29 2011/03/07 100,000,000 2010/09/30
25203 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Feb 2011 0.69 158.99 2011/02/07 100,000,000 2010/09/30
25204 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Nov 2011 0.25 149.99 per 100 units 2011/11/01 100,000,000 2010/09/30
25205 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jan 2012 0.25 154.99 per 100 units 2012/01/26 100,000,000 2010/09/30
25207 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Jun 2011 C 0.25 143.99 per 100 units 2011/06/20 100,000,000 2010/09/30
25206 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts May 2011 B 0.27 153.99 per 100 units 2011/05/16 100,000,000 2010/09/30
25225 Nomura Int’l plc Agricultural Bk European Warrants Jan 11 0.152 4.18 per unit 2011/01/17 200,000,000 2010/09/30
25226 Nomura Int’l plc Agricultural Bk European Warrants Mar 11 0.258 4 per unit 2011/03/21 100,000,000 2010/09/30
25224 Nomura Int’l plc China Mobile European Warrants Mar 2011 0.363 85 2011/03/31 50,000,000 2010/09/30
25223 Nomura Int’l plc CC Bank European Warrants Mar 2011 0.3 7.40 per unit 2011/03/31 100,000,000 2010/09/30
25227 Nomura Int’l plc China Coal European Warrants Sep 2011 0.253 12.5 2011/09/30 100,000,000 2010/09/30
25222 Nomura Int’l plc CNOOC European Warrants Jun 2011 B 0.15 15.018 2011/06/30 100,000,000 2010/09/30
25219 Nomura Int’l plc HKEx European Warrants Aug 2011 0.15 143.08 per 100 units 2011/08/08 100,000,000 2010/09/30
25218 Nomura Int’l plc JIANC European Warrants Mar 2011 B 0.25 19.98 2011/03/31 100,000,000 2010/09/30
25221 Nomura Int’l plc PetroChina European Warrants Apr 2012 0.15 8.488 2012/04/30 100,000,000 2010/09/30
25220 Nomura Int’l plc PetroChina European Warrants Jan 2013 0.15 9.008 2013/01/31 100,000,000 2010/09/30
25229 CC Rabobank B.A. Agricultural Bk European Warrants Jul 11 0.25 4.39 per unit 2011/07/28 200,000,000 2010/09/30
25232 CC Rabobank B.A. Ch Mobile European Warrants Mar 2011 0.32 88 2011/03/07 150,000,000 2010/09/30
25230 CC Rabobank B.A. China Life European Warrants Feb 2011 B 0.37 29.4 2011/02/28 150,000,000 2010/09/30
25231 CC Rabobank B.A. China Life European Warrants Feb 2011 C 0.2 32.28 2011/02/28 150,000,000 2010/09/30
25233 CC Rabobank B.A. Tencent Holdings European Wts Mar 2011 0.25 172.50 per 100 units 2011/03/30 200,000,000 2010/09/30
25242 RB of Scotland N.V. HSI European Put Warrants Feb 2011 A 0.198 22,400 per 8,000 units 2011/02/25 250,000,000 2010/09/30
25240 RB of Scotland N.V. Tencent Holdings European Wts Feb 11D 0.15 168.788 per 100 units 2011/02/14 200,000,000 2010/09/30
25241 RB of Scotland N.V. Tencent Holdings European Wts Jun 2011A 0.177 174.98 per 100 units 2011/06/24 200,000,000 2010/09/30
25208 SGA Societe Generale Acceptance N.V. BYD Euro Wts Sep 2011 0.59 78.88 2011/09/21 80,000,000 2010/09/30
25209 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Apr 2011B 0.16 16 2011/04/04 200,000,000 2010/09/30
25244 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jan 2011 C 0.32 86.5 2011/01/31 100,000,000 2010/09/30
25245 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Feb 11H 0.19 21,400 per 8,000 units 2011/02/25 300,000,000 2010/09/30
25246 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Mar 11D 0.15 21,000 per 10,000 units 2011/03/30 300,000,000 2010/09/30
25247 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Mar 11E 0.28 22,400 per 8,000 units 2011/03/30 300,000,000 2010/09/30
#
20114 J P Morgan SP BV Sinopec Corp European Warrants Jul 2011 0.105 5.888 2011/07/25 300,000,000 2010/09/30
#
19851 Merrill Lynch Int’l & Co. C.V. CK(H) Euro Put Warrants Jan11 0.035 103.99 per 100 units 2011/01/31 300,000,000 2010/09/30
25258 BNP Paribas Arbit Issu B.V. HKEx European Wts Feb 2013 0.26 154 per 100 units 2013/02/01 200,000,000 2010/10/04
25259 BNP Paribas Arbit Issu B.V. Hutchison European Wts Apr 11 0.26 78 2011/04/04 100,000,000 2010/10/04
25281 Credit Suisse AG Agricultural Bank European Wts Apr 2011A 0.25 3.88 per unit 2011/04/11 300,000,000 2010/10/04
25284 Credit Suisse AG HKEx European Put Warrants Apr 2011 D 0.3 140.88 2011/04/11 300,000,000 2010/10/04
25278 Credit Suisse AG HSI European Warrants Feb 2011 0.15 23,300 per 8,000 units 2011/02/25 320,000,000 2010/10/04
25285 Credit Suisse AG HSI European Put Warrants Feb 2011 C 0.15 22,700 per 9,000 units 2011/02/25 315,000,000 2010/10/04
25283 Credit Suisse AG Hutchison European Put Warrants Apr 11A 0.25 58.88 2011/04/11 300,000,000 2010/10/04
25282 Credit Suisse AG MCC European Warrants Apr 2011 0.25 4.688 per unit 2011/04/11 300,000,000 2010/10/04
25280 Credit Suisse AG SHK Ppt European Warrants Apr 2011 A 0.25 138.88 2011/04/11 300,000,000 2010/10/04
25252 Citigroup Global Mkt H Inc. Sinopec Corp Euro Wts Oct 2011 0.15 6.2 2011/10/07 100,000,000 2010/10/04
25286 Citigroup Global Mkt H Inc. HSI European Put Wts Feb 2011 0.15 21,700 per 10,000 units 2011/02/25 80,000,000 2010/10/04
25277 Citigroup Global Mkt H Inc. HSI European Warrants Feb 11B 0.15 23,300 per 8,000 units 2011/02/25 80,000,000 2010/10/04
25268 Deutsche Bank AG BYD European Warrants Apr 2011 0.47 65 2011/04/04 100,000,000 2010/10/04
25269 Deutsche Bank AG BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/28 100,000,000 2010/10/04
25270 Deutsche Bank AG China Coal European Warrants May 2011 0.25 13 2011/05/09 100,000,000 2010/10/04
25271 Deutsche Bank AG Esprit European Warrants Apr 2011 A 0.25 55 2011/04/04 100,000,000 2010/10/04
25260 Deutsche Bank AG HKEx European Warrants Nov 2011 0.15 150 per 100 units 2011/11/07 200,000,000 2010/10/04
25272 Goldman Sachs SP (Asia) BOC HK European Warrants May 2011 0.25 25 2011/05/11 200,000,000 2010/10/04
25273 Goldman Sachs SP (Asia) CC Bank European Wts Jan 2011 0.31 7 per unit 2011/01/04 200,000,000 2010/10/04
25274 Goldman Sachs SP (Asia) Hutchison European Wts Apr 2011 A 0.25 76 2011/04/04 200,000,000 2010/10/04
25275 Goldman Sachs SP (Asia) Tencent Holdings European Wt Aug11A 0.25 165 per 100 units 2011/08/01 200,000,000 2010/10/04
25276 Goldman Sachs SP (Asia) Tencent Holdings European Wt Oct11A 0.25 180 per 100 units 2011/10/31 200,000,000 2010/10/04
25287 J P Morgan SP BV HKEx European Warrants Jun 2011 B 0.252 150 per 100 units 2011/06/29 300,000,000 2010/10/04
25288 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Apr 2011 D 0.25 7.38 per unit 2011/04/04 188,000,000 2010/10/04
25292 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Apr 2011C 0.25 6.08 per unit 2011/04/04 108,000,000 2010/10/04
25291 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Apr 2011 0.25 136 2011/04/08 108,000,000 2010/10/04
25289 KBC Fin Products Int’l Ltd. Henderson Land Dev Eu Wt Apr11 0.25 60 2011/04/04 50,000,000 2010/10/04
25293 KBC Fin Products Int’l Ltd. Henderson Land Eu Put Wt Apr11 0.34 52 2011/04/04 50,000,000 2010/10/04
25294 KBC Fin Products Int’l Ltd. HSI European Wts Feb 2011 H 0.15 21,500 per 10,000 units 2011/02/25 200,000,000 2010/10/04
25290 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Apr 2011 A 0.25 83.88 2011/04/04 108,000,000 2010/10/04
25253 Macquarie Bank Ltd. Angang Steel European Wts Jun 2011 0.15 14.5 2011/06/02 200,000,000 2010/10/04
25256 Macquarie Bank Ltd. CITIC Pacific European Warrants Apr 11 0.208 18 2011/04/07 200,000,000 2010/10/04
25254 Macquarie Bank Ltd. China Railway European Wts Feb 2011 0.38 6.88 per unit 2011/02/25 200,000,000 2010/10/04
25255 Macquarie Bank Ltd. Chi Res Power European Warrants May 11 0.25 18.88 2011/05/04 200,000,000 2010/10/04
25257 Macquarie Bank Ltd. Hang Lung Ppt European Wts Apr 2011 0.25 40 2011/04/11 200,000,000 2010/10/04
25261 Merrill Lynch Int’l & Co. C.V. BOC HK Euro Wts May 2011 B 0.255 26.99 2011/05/03 100,000,000 2010/10/04
25266 RB of Scotland N.V. HKEx European Warrants Oct 2011 A 0.157 150.888 per 100 units 2011/10/24 200,000,000 2010/10/04
25267 RB of Scotland N.V. HWL European Warrants Feb 2011 B 0.181 77.038 2011/02/23 100,000,000 2010/10/04
25249 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Jun 2011 0.17 99 per 100 units 2011/06/29 200,000,000 2010/10/04
25250 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Oct 2011 0.16 105 per 100 units 2011/10/17 200,000,000 2010/10/04
25262 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Nov 2011 A 0.17 150 per 100 units 2011/11/02 300,000,000 2010/10/04
25251 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Feb 2011 0.15 116.18 per 100 units 2011/02/21 300,000,000 2010/10/04
25263 UBS AG BOCL European Warrants Mar 2011 0.15 4.50 per unit 2011/03/28 100,000,000 2010/10/04
25264 UBS AG CC Bank European Warrants Feb 2011 0.15 7.68 per unit 2011/02/28 100,000,000 2010/10/04
25265 UBS AG Hutchison European Warrants Feb 2011 C 0.15 78.88 2011/02/11 100,000,000 2010/10/04
#
24457 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Mar 2011 0.034 128.01 per 100 units 2011/03/04 300,000,000 2010/10/04
25308 BNP Paribas Arbit Issu B.V. HKEx European Wts Oct 2012 0.25 170 per 100 units 2012/10/03 100,000,000 2010/10/05
25309 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Jan13 0.25 135 per 100 units 2013/01/02 100,000,000 2010/10/05
25322 Credit Suisse AG SHK Ppt European Put Warrants Apr 2011 0.25 128.88 2011/04/20 300,000,000 2010/10/05
25319 Credit Suisse AG Tencent Holdings European Wts Jan 2011 B 0.15 168 per 100 units 2011/01/05 300,000,000 2010/10/05
25320 Credit Suisse AG Tencent Holdings European Wts Apr 2011 A 0.25 172.88 per 100 units 2011/04/20 300,000,000 2010/10/05
25312 Deutsche Bank AG Belle Int’l European Warrants Apr 2011 0.27 16.5 2011/04/11 100,000,000 2010/10/05
25313 Deutsche Bank AG Geely Auto European Warrants Apr 2011 0.38 4.20 per unit 2011/04/06 100,000,000 2010/10/05
25314 Deutsche Bank AG HKEx European Warrants May 2011 C 0.15 160 per 100 units 2011/05/30 200,000,000 2010/10/05
25315 Deutsche Bank AG HSBC European Warrants Apr 2011 B 0.26 96 2011/04/11 300,000,000 2010/10/05
25321 Deutsche Bank AG HSI European Warrants Apr 2011 A 0.25 23,800 per 8,000 units 2011/04/28 300,000,000 2010/10/05
25316 Deutsche Bank AG SHK Ppt European Warrants Feb 2012 0.25 140 per 100 units 2012/02/06 150,000,000 2010/10/05
25317 Deutsche Bank AG Tencent Holdings European Warrants Apr11B 0.29 175 per 100 units 2011/04/06 200,000,000 2010/10/05
25329 Goldman Sachs SP (Asia) HKEx European Warrants Dec 2011 A 0.25 168 per 100 units 2011/12/05 200,000,000 2010/10/05
25330 Goldman Sachs SP (Asia) Hutchison Euro Put Wts Apr 2011 0.37 61.8 2011/04/11 200,000,000 2010/10/05
25305 J P Morgan SP BV BOC HK European Warrants Jun 2011 A 0.25 26.88 2011/06/29 150,000,000 2010/10/05
25303 J P Morgan SP BV Cheung Kong European Warrants Apr 2011 0.25 138.88 2011/04/06 88,000,000 2010/10/05
25307 J P Morgan SP BV HKEx European Put Wts Jun 2011 C 0.25 150 per 100 units 2011/06/20 300,000,000 2010/10/05
25306 J P Morgan SP BV HKEx European Warrants Aug 2011 B 0.25 165 per 100 units 2011/08/10 300,000,000 2010/10/05
25324 KBC Fin Products Int’l Ltd. HKEx European Put Wts Aug 2011 0.25 150 per 100 units 2011/08/08 108,000,000 2010/10/05
25323 KBC Fin Products Int’l Ltd. HKEx European Warrants Jul 11C 0.25 153.88 per 100 units 2011/07/05 108,000,000 2010/10/05
25325 KBC Fin Products Int’l Ltd. HSBC European Wts Feb 2011 B 0.21 88.9 2011/02/08 128,000,000 2010/10/05
25327 KBC Fin Products Int’l Ltd. HSI European Wts Apr 2011 A 0.25 23,400 per 8,000 units 2011/04/28 200,000,000 2010/10/05
25326 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jul11A 0.25 178.88 per 100 units 2011/07/05 108,000,000 2010/10/05
25298 Macquarie Bank Ltd. China Coal European Warrants Dec 2011 0.251 13.88 2011/12/05 200,000,000 2010/10/05
25297 Macquarie Bank Ltd. CNOOC European Put Warrants Jun 2011 0.25 14.8 2011/06/02 200,000,000 2010/10/05
25299 Macquarie Bank Ltd. Ch Southern Air European Wts Apr 2011 0.25 6 per unit 2011/04/06 100,000,000 2010/10/05
25296 Macquarie Bank Ltd. HKEx European Warrants May 2011 C 0.769 180 2011/05/04 100,000,000 2010/10/05
25295 Macquarie Bank Ltd. HKEx European Warrants Dec 2011 0.251 158.88 per 100 units 2011/12/02 200,000,000 2010/10/05
25328 RB of Scotland N.V. HKEx European Warrants May 2011 0.151 159.99 per 100 units 2011/05/26 200,000,000 2010/10/05
25332 RB of Scotland N.V. HSI European Warrants Feb 2011 C 0.155 22,700 per 9,200 units 2011/02/25 250,000,000 2010/10/05
25333 RB of Scotland N.V. HSI European Warrants Feb 2011 D 0.153 23,200 per 8,000 units 2011/02/25 250,000,000 2010/10/05
25335 RB of Scotland N.V. HSI European Put Warrants Feb 2011 B 0.165 22,100 per 8,000 units 2011/02/25 250,000,000 2010/10/05
25331 RB of Scotland N.V. SHK P European Warrants Dec 2011 0.25 138.08 per 100 units 2011/12/28 250,000,000 2010/10/05
25334 RB of Scotland N.V. SHK P European Put Warrants Jun 2011 0.15 127.90 per 100 units 2011/06/27 250,000,000 2010/10/05
25301 Standard Chartered Bank China Mobile European Wts Jan 2011 0.24 88.8 2011/01/28 150,000,000 2010/10/05
25302 Standard Chartered Bank China Life European Warrants Mar11B 0.245 32 2011/03/07 150,000,000 2010/10/05
25300 Standard Chartered Bank HSBC European Warrants Jul 2011 0.25 98.28 2011/07/27 100,000,000 2010/10/05
25310 UBS AG HKEx European Warrants May 2011 A 0.15 160 per 100 units 2011/05/30 200,000,000 2010/10/05
25311 UBS AG HSI European Warrants Mar 2011 B 0.15 23,400 per 8,000 units 2011/03/30 200,000,000 2010/10/05
25304 UBS AG HSI European Put Warrants Feb 2011 C 0.15 22,300 per 8,000 units 2011/02/25 200,000,000 2010/10/05
25346 Barclays Bank plc HSI European Warrants Apr 2011 A 0.25 22,500 per 10,000 units 2011/04/28 150,000,000 2010/10/06
25347 Barclays Bank plc HSI European Warrants Apr 2011 B 0.25 23,600 per 8,500 units 2011/04/28 150,000,000 2010/10/06
25348 Barclays Bank plc HSI European Warrants Apr 2011 C 0.25 23,900 per 8,000 units 2011/04/28 150,000,000 2010/10/06
25352 Barclays Bank plc HSI European Put Warrants Apr 2011 D 0.25 22,000 per 10,000 units 2011/04/28 150,000,000 2010/10/06
25353 Barclays Bank plc HSI European Put Warrants Apr 2011 E 0.25 22,500 per 10,000 units 2011/04/28 150,000,000 2010/10/06
25369 BOCI Asia Ltd. GCL-Poly Energy European Warrants May 2011 0.275 2.78 per unit 2011/05/09 100,000,000 2010/10/06
25370 BOCI Asia Ltd. Geely Auto European Warrants Apr 2011 0.325 4.50 per unit 2011/04/11 100,000,000 2010/10/06
25371 BOCI Asia Ltd. Hutchison European Warrants Jul 2011 0.35 78 2011/07/11 100,000,000 2010/10/06
25402 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Sep11 0.18 125 per 100 units 2011/09/02 100,000,000 2010/10/06
25391 Credit Suisse AG Angang Steel European Warrants Apr 2011 0.15 13.888 2011/04/28 300,000,000 2010/10/06
25397 Credit Suisse BOC HK European Warrants Mar 2011 0.15 24.98 2011/03/16 300,000,000 2010/10/06
25396 Credit Suisse AG China Coal European Warrants Jan 2011 0.15 12.52 2011/01/17 300,000,000 2010/10/06
25389 Credit Suisse AG Cheung Kong European Warrants Feb 2011 0.3 128.08 2011/02/24 50,000,000 2010/10/06
25390 Credit Suisse Cheung Kong European Put Warrants Jul 2011A 0.15 110.08 per 100 units 2011/07/04 300,000,000 2010/10/06
25393 Credit Suisse AG Sinopec Corp European Warrants Jan 2011 B 0.25 7.288 per unit 2011/01/06 300,000,000 2010/10/06
25392 Credit Suisse AG Jiangxi Copper European Wts Mar 2011 0.15 20.98 2011/03/17 300,000,000 2010/10/06
25394 Credit Suisse AG PetroChina European Warrants Mar 2011 0.3 10.088 per unit 2011/03/07 300,000,000 2010/10/06
25395 Credit Suisse Yanzhou Coal European Warrants Apr 2011 A 0.25 20.28 2011/04/15 300,000,000 2010/10/06
25374 Citigroup Global Mkt H Inc. SHK Ppt European Wts Jun 2011 0.25 126.88 per 100 units 2011/06/30 80,000,000 2010/10/06
25399 Deutsche Bank AG BankComm European Warrants Apr 2011 0.55 9.20 per unit 2011/04/11 100,000,000 2010/10/06
25400 Deutsche Bank AG CITIC Bank European Warrants Apr 2011 0.43 5.30 per unit 2011/04/11 100,000,000 2010/10/06
25401 Deutsche Bank AG SHK Ppt European Put Warrants Jun 2011 0.15 128 per 100 units 2011/06/27 100,000,000 2010/10/06
25373 Goldman Sachs SP (Asia) HKEx European Put Warrants Sep 11A 0.25 142 per 100 units 2011/09/12 200,000,000 2010/10/06
25372 Goldman Sachs SP (Asia) HSI European Warrants Jun 2011A 0.25 24,000 per 7,000 units 2011/06/29 200,000,000 2010/10/06
25363 HK Bank BOC HK European Warrants Apr 2011 0.25 27.28 2011/04/18 120,000,000 2010/10/06
25365 HK Bank Geely Auto European Warrants Apr 2011 0.25 4.28 per unit 2011/04/06 120,000,000 2010/10/06
25366 HK Bank Geely Auto European Warrants Sep 2011 0.25 4.88 per unit 2011/09/16 120,000,000 2010/10/06
25364 HK Bank HKEx European Warrants Nov 2011 B 0.25 168 per 100 units 2011/11/28 200,000,000 2010/10/06
25367 HK Bank Tencent European Warrants Apr 2011 B 0.25 172.88 per 100 units 2011/04/06 200,000,000 2010/10/06
25404 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts Feb 2011 0.15 5.78 per unit 2011/02/28 108,000,000 2010/10/06
25405 KBC Fin Products Int’l Ltd. HSI European Wts Mar 2011 I 0.15 24,000 per 8,000 units 2011/03/30 200,000,000 2010/10/06
25384 Macquarie Bank Ltd. BOCHK European Warrants Jul 2011 0.25 27 2011/07/28 200,000,000 2010/10/06
25350 Macquarie Bank Ltd. CC Bank European Warrants Feb 2011 0.228 7.50 per unit 2011/02/25 250,000,000 2010/10/06
25362 Macquarie Bank Ltd. CC Bank European Put Warrants Feb 2011 0.172 5.88 per unit 2011/02/25 250,000,000 2010/10/06
25349 Macquarie Bank Ltd. Cheung Kong European Warrants Jun 2012 0.251 120 per 100 units 2012/06/04 300,000,000 2010/10/06
25351 Macquarie Bank Ltd. GCL-Poly Energy European Warrants May11 0.263 2.80 per unit 2011/05/30 100,000,000 2010/10/06
25354 Macquarie Bank Ltd. Geely Auto European Warrants May 2011A 0.341 4.30 per unit 2011/05/30 150,000,000 2010/10/06
25385 Macquarie Bank Ltd. Hutchison European Warrants May 2011 0.251 88 2011/05/04 150,000,000 2010/10/06
25355 Macquarie Bank Ltd. Jiangxi Copper European Wts May 2011 A 0.25 23.28 2011/05/04 250,000,000 2010/10/06
25356 Macquarie Bank Ltd. Nine Dragons European Wts Aug 2011 0.25 16 2011/08/02 150,000,000 2010/10/06
25357 Macquarie Bank Ltd. PetroChina European Wts May 2011A 0.366 11.50 per unit 2011/05/04 100,000,000 2010/10/06
25386 Macquarie Bank Ltd. PICC P&C European Warrants Aug 2011 0.25 12 2011/08/03 150,000,000 2010/10/06
25387 Macquarie Bank Ltd. SHK Ppt European Put Warrants Dec 2011 0.25 122.50 per 100 units 2011/12/29 200,000,000 2010/10/06
25359 Macquarie Bank Ltd. SJM Holdings European Warrants Oct 11 0.251 9.99 2011/10/28 150,000,000 2010/10/06
25358 Macquarie Bank Ltd. Sino Ocean Land European Warrants Jun12 0.15 6.5 2012/06/06 150,000,000 2010/10/06
25360 Macquarie Bank Ltd. Swrie Pacific A European Warrants Mar12 0.252 120 per 100 units 2012/03/30 200,000,000 2010/10/06
25361 Macquarie Bank Ltd. Zhaojin Mining European Warrants May11 0.251 28.28 2011/05/04 200,000,000 2010/10/06
25336 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Apr 2011 0.47 135.99 2011/04/26 100,000,000 2010/10/06
25338 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts Dec 12B 0.25 117.99 per 100 units 2012/12/17 200,000,000 2010/10/06
25340 Merrill Lynch Int’l & Co. C.V. CK(H) Euro Put Warrants Apr11 1.02 113.99 2011/04/15 50,000,000 2010/10/06
25339 Merrill Lynch Int’l & Co. C.V. CK(H) Euro Put Warrants Nov11 0.25 123.99 per 100 units 2011/11/11 150,000,000 2010/10/06
25342 Merrill Lynch Int’l & Co. C.V. HSBC Euro Put Wt Sep 2011 0.16 89.99 per 100 units 2011/09/27 100,000,000 2010/10/06
25341 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Feb 2011 B 0.25 88.89 2011/02/02 100,000,000 2010/10/06
25343 Merrill Lynch Int’l & Co. C.V. Tencent Euro Wts Oct 2011 0.25 179.99 per 100 units 2011/10/03 100,000,000 2010/10/06
25344 Merrill Lynch Int’l & Co. C.V. Tencent Euro Wts Dec 2011 0.25 189.99 per 100 units 2011/12/19 100,000,000 2010/10/06
25345 Merrill Lynch Int’l & Co. C.V. Tencent Euro Put Wts May 11 0.15 154.99 per 100 units 2011/05/25 100,000,000 2010/10/06
25375 CC Rabobank B.A. Alibaba European Warrants Jun 2011 0.25 16.5 2011/06/27 100,000,000 2010/10/06
25378 CC Rabobank B.A. CITIC Pacific European Warrants Jun 2011 0.25 19.6 2011/06/10 100,000,000 2010/10/06
25376 CC Rabobank B.A. CNBM European Warrants May 2011 0.25 18.8 2011/05/06 100,000,000 2010/10/06
25379 CC Rabobank B.A. COSCO Pacific European Warrants Jul 2011 0.25 13.2 2011/07/28 120,000,000 2010/10/06
25377 CC Rabobank B.A. China Shenhua European Warrants Apr 2011 0.25 34.4 2011/04/28 100,000,000 2010/10/06
25380 CC Rabobank B.A. Esprit European Warrants Apr 2011 0.35 50 2011/04/28 80,000,000 2010/10/06
25381 CC Rabobank B.A. Geely Auto European Warrants May 2011 A 0.57 4 per unit 2011/05/09 75,000,000 2010/10/06
25383 CC Rabobank B.A. SJM Holdings European Warrants Sep 2011 0.25 9.8 2011/09/16 100,000,000 2010/10/06
25382 CC Rabobank B.A. Shui On Land European Warrants May 2011 0.55 4 per unit 2011/05/09 75,000,000 2010/10/06
25403 RB of Scotland N.V. Tencent European Put Warrants May 2011 0.155 155.08 per 100 units 2011/05/25 200,000,000 2010/10/06
25388 UBS AG SHK Ppt European Warrants Oct 2011 0.25 140 per 100 units 2011/10/24 100,000,000 2010/10/06
#
23722 J P Morgan SP BV China Life European Warrants Jan 2011 A 0.096 33.88 2011/01/28 210,000,000 2010/10/06
#
23690 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Jan 2011 G 0.2 4.18 per unit 2011/01/24 150,000,000 2010/10/06
25410 BOCI Asia Ltd. BOC HK European Warrants Jul 2011 0.215 25 per units 2011/07/29 100,000,000 2010/10/07
25411 BOCI Asia Ltd. Lenovo European Warrants Oct 2013 0.15 5.70 per units 2013/10/03 100,000,000 2010/10/07
25429 Deutsche Bank AG Air China European Warrants Jun 2011 0.25 12 per units 2011/06/20 100,000,000 2010/10/07
25424 Deutsche Bank AG Dongfeng Motor European Warrants Apr 11B 0.25 17 per units 2011/04/27 100,000,000 2010/10/07
10004 Deutsche Bank AG EUR/USD European Warrants Apr 2011 0.29 1.43 per 1 units 2011/04/18 50,000,000 2010/10/07
25425 Deutsche Bank AG MTRC European Warrants May 2011 A 0.18 30 per units 2011/05/16 100,000,000 2010/10/07
25430 Deutsche Bank AG Sands China European Warrants Apr 2011 0.25 15.50 per units 2011/04/11 100,000,000 2010/10/07
25419 Goldman Sachs SP (Asia) Tencent Holdings Euro Put Wt Aug11C 0.25 160 per units 2011/08/29 200,000,000 2010/10/07
25431 KBC Fin Products Int’l Ltd. BOC HK European Wts Apr 2011 0.25 28.88 per units 2011/04/15 128,000,000 2010/10/07
25432 KBC Fin Products Int’l Ltd. BOC HK European Wts Jul 2011 A 0.25 30.88 per units 2011/07/05 128,000,000 2010/10/07
25433 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Apr 2011 0.25 7.68 per unit 2011/04/08 128,000,000 2010/10/07
25434 KBC Fin Products Int’l Ltd. HKEx European Warrants Oct 11 0.25 168 per units 2011/10/07 108,000,000 2010/10/07
25435 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Apr 2011 B 0.25 88.88 per units 2011/04/08 128,000,000 2010/10/07
25412 Macquarie Bank Ltd. Agile Ppt European Warrants Jan 2012 0.25 10.88 per units 2012/01/30 150,000,000 2010/10/07
25428 Macquarie Bank Ltd. Chi Resources European Warrants Apr 11 0.25 40 per units 2011/04/07 200,000,000 2010/10/07
25417 Macquarie Bank Ltd. China Tel European Warrants May 2011 0.25 4.88 per unit 2011/05/19 100,000,000 2010/10/07
25418 Macquarie Bank Ltd. Shui On Land European Warrants Apr 11 0.25 5 per unit 2011/04/26 100,000,000 2010/10/07
25398 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Mar11A 0.198 21,800 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25406 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Mar11B 0.169 22,300 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25407 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Mar11C 0.153 22,800 per 8,500 units 2011/03/30 200,000,000 2010/10/07
25409 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Mar11E 0.153 23,900 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25413 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Mar11F 0.18 21,800 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25414 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Mar 11G 0.213 22,300 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25415 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Mar 11H 0.25 22,800 per 8,000 units 2011/03/30 200,000,000 2010/10/07
25416 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Mar 11I 0.232 23,300 per 10,000 units 2011/03/30 200,000,000 2010/10/07
25421 SGA Societe Generale Acceptance N.V. CTel Eu Wt Apr 2011 0.27 4.68 per unit 2011/04/13 80,000,000 2010/10/07
25420 SGA Societe Generale Acceptance N.V. CTel Eu Wt Jan 2011 C 0.15 5 per unit 2011/01/31 80,000,000 2010/10/07
25422 SGA Societe Generale Acceptance N.V. HWL Eur Wt Apr 2011 A 0.36 83.88 per units 2011/04/27 200,000,000 2010/10/07
25423 SGA Societe Generale Acceptance N.V. HWL Eur Wt Apr 2011 B 0.26 88.88 per units 2011/04/27 200,000,000 2010/10/07
25426 UBS AG China Life European Warrants Feb 2011 A 0.15 33.88 per units 2011/02/14 200,000,000 2010/10/07
25427 UBS AG Tencent Holdings European Warrants Jun 2011 A 0.15 180 per units 2011/06/13 200,000,000 2010/10/07
#
23382 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Mar 2011 0.147 60 2011/03/01 100,000,000 2010/10/07
#
22441 UBS AG PetroChina European Warrants Apr 2011 0.125 8.88 2011/04/26 100,000,000 2010/10/07
25448 BOCI Asia Ltd. HKEx European Warrants Apr 2012 0.25 161 per 100 units 2012/04/10 300,000,000 2010/10/08
25449 BOCI Asia Ltd. Sinofert European Warrants Apr 2011 0.3 5.55 per unit 2011/04/11 100,000,000 2010/10/08
25455 BNP Paribas Arbit Issu B.V. ICBC European Put Wts Jul 2011 0.45 5.25 per unit 2011/07/04 100,000,000 2010/10/08
25454 BNP Paribas Arbit Issu B.V. ICBC European Wts Mar 2011 B 0.23 6.38 per unit 2011/03/02 100,000,000 2010/10/08
25456 Credit Suisse AG Hutchison European Warrants Apr 2011 C 0.25 84.88 2011/04/08 150,000,000 2010/10/08
25460 Credit Suisse AG Hutchison European Put Warrants Apr 2011B 0.31 66.88 2011/04/08 100,000,000 2010/10/08
25452 Citigroup Global Mkt H Inc. Cheung Kong Euro Wts May 2011 0.25 138.88 2011/05/27 80,000,000 2010/10/08
25453 Citigroup Global Mkt H Inc. Tencent European Warrants Apr11 0.25 178 per 100 units 2011/04/08 150,000,000 2010/10/08
25450 Deutsche Bank AG Agricultural Bk European Warrants May2011A 0.206 4.58 per unit 2011/05/04 150,000,000 2010/10/08
25445 HK Bank Alibaba European Warrants Jun 2011 0.25 18.18 2011/06/28 100,000,000 2010/10/08
25446 HK Bank Fushan Energy European Warrants Apr 2011 0.25 6.88 per unit 2011/04/08 100,000,000 2010/10/08
25447 HK Bank Yanzhou Coal European Warrants Apr 2011 0.25 20.88 2011/04/08 150,000,000 2010/10/08
25457 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt Apr 11B 0.33 3.98 per unit 2011/04/15 108,000,000 2010/10/08
25458 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts Apr 2011 0.25 3.88 per unit 2011/04/08 88,000,000 2010/10/08
25459 KBC Fin Products Int’l Ltd. HKEx European Put Wts Jul 2011 0.25 165 per 100 units 2011/07/05 108,000,000 2010/10/08
25464 KBC Fin Products Int’l Ltd. ICBC European Wts Mar 2011 C 0.19 6.18 per unit 2011/03/01 158,000,000 2010/10/08
25461 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Jul 2011 0.25 133.88 per 100 units 2011/07/15 108,000,000 2010/10/08
25462 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Aug 2011B 0.25 140.88 per 100 units 2011/08/31 108,000,000 2010/10/08
25463 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Jun 2011B 0.25 136 per 100 units 2011/06/08 88,000,000 2010/10/08
25436 Merrill Lynch Int’l & Co. C.V. BOC HK Euro Wts Dec 2011 0.25 29.99 2011/12/12 150,000,000 2010/10/08
25437 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2012 0.25 165.99 per 100 units 2012/06/11 150,000,000 2010/10/08
25438 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Apr 2011 0.255 83.99 2011/04/18 100,000,000 2010/10/08
25439 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Feb2011C 0.221 78.89 2011/02/11 100,000,000 2010/10/08
25440 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jun2011B 0.255 89.99 2011/06/15 100,000,000 2010/10/08
25442 Merrill Lynch Int’l & Co. C.V. Hutchison Eu Put Wt Apr2011B 0.415 65.99 2011/04/13 100,000,000 2010/10/08
25441 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Wts Apr 2011 0.375 149.99 2011/04/18 100,000,000 2010/10/08
25443 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Put Wts Nov 11 0.25 133.99 per 100 units 2011/11/28 100,000,000 2010/10/08
25444 Standard Chartered Bank Agricultural Bk European Wts Jul11 0.25 4.68 per unit 2011/07/29 100,000,000 2010/10/08
25451 UBS AG Agricultural Bank European Warrants Feb 2011 0.15 4.68 per unit 2011/02/28 200,000,000 2010/10/08
25495 BNP Paribas Arbit Issu B.V. CNOOC European Wts Nov 2011 A 0.25 17 2011/11/01 100,000,000 2010/10/11
25496 BNP Paribas Arbit Issu B.V. HKEx European Wts Aug 2011 0.25 170 per 100 units 2011/08/01 100,000,000 2010/10/11
25497 BNP Paribas Arbit Issu B.V. HKEx European Wts Nov 2011 0.25 185 per 100 units 2011/11/09 100,000,000 2010/10/11
25498 BNP Paribas Arbit Issu B.V. PetroCh Euro Wts May 2011 B 0.65 10.50 per unit 2011/05/03 100,000,000 2010/10/11
25475 Credit Suisse AG HKEx European Warrants Apr 2011 A 0.79 170.88 2011/04/11 100,000,000 2010/10/11
25476 Credit Suisse AG HKEx European Warrants Apr 2011 B 0.34 188.88 2011/04/15 100,000,000 2010/10/11
25469 Credit Suisse AG Hutchison European Warrants Apr 2011 D 0.25 90.28 2011/04/12 200,000,000 2010/10/11
25493 Credit Suisse AG PetroChina European Warrants Apr 2011 B 0.4 11.28 per unit 2011/04/19 150,000,000 2010/10/11
25494 Credit Suisse AG Tencent Holdings European Wts May 2011A 0.25 180.88 per 100 units 2011/05/31 300,000,000 2010/10/11
25467 Citigroup Global Mkt H Inc. Jiangxi Copper Euro Wts Apr 11 0.25 23.33 2011/04/29 80,000,000 2010/10/11
25500 Deutsche Bank AG China Agri European Warrants Dec 2011 A 0.25 12 2011/12/19 100,000,000 2010/10/11
25501 Deutsche Bank AG Hutchison European Warrants Apr 2011 A 0.28 85 2011/04/12 150,000,000 2010/10/11
25502 Deutsche Bank AG Sinofert European Warrants Feb 2011 0.39 5.18 per unit 2011/02/21 100,000,000 2010/10/11
25503 Deutsche Bank AG Skyworth Digital European Warrants Jan 12 0.164 5.6 2012/01/26 100,000,000 2010/10/11
25471 HK Bank China COSCO European Warrants Apr 2011 0.25 10.88 per unit 2011/04/11 100,000,000 2010/10/11
25465 HK Bank China Coal European Warrants Jun 2011 0.25 15 2011/06/28 100,000,000 2010/10/11
25472 HK Bank Ch Ship Cont European Warrants Apr 2011 0.25 3.88 per unit 2011/04/11 100,000,000 2010/10/11
25473 HK Bank PICC European Warrants Jul 2011 B 0.25 12.08 2011/07/28 120,000,000 2010/10/11
25474 HK Bank Tencent European Warrants Jul 2011 0.25 200 per 100 units 2011/07/28 200,000,000 2010/10/11
25507 KBC Fin Products Int’l Ltd. BOC HK Euro Put Wts Aug 2011 0.25 24 2011/08/05 108,000,000 2010/10/11
25504 KBC Fin Products Int’l Ltd. CNOOC European Wts Aug 2011 0.18 16.88 2011/08/23 108,000,000 2010/10/11
25505 KBC Fin Products Int’l Ltd. HSBC European Wts Apr 2011 A 0.3 84.68 2011/04/11 108,000,000 2010/10/11
25506 KBC Fin Products Int’l Ltd. PetroChina Euro Wts May 2011 A 0.15 8.89 2011/05/04 128,000,000 2010/10/11
25508 KBC Fin Products Int’l Ltd. Ping An Euro Put Wts Apr 2011 0.41 70.8 2011/04/18 68,000,000 2010/10/11
25509 KBC Fin Products Int’l Ltd Tencent Holdings Eu Put Wt Jun11B 0.25 176 per 100 units 2011/06/15 128,000,000 2010/10/11
25490 Macquarie Bank Ltd. Agricultural Bk European Warrants Apr11 0.25 4.88 per unit 2011/04/11 150,000,000 2010/10/11
25491 Macquarie Bank Ltd. BOCHK European Warrants Apr 2011 B 0.251 30 2011/04/11 200,000,000 2010/10/11
25470 Macquarie Bank Ltd. BOCHK European Put Warrants Apr 2011 0.251 22.88 2011/04/11 200,000,000 2010/10/11
25492 Macquarie Bank Ltd. SHK Ppt European Warrants Dec 2011A 0.25 155 per 100 units 2011/12/28 200,000,000 2010/10/11
25468 Standard Chartered Bank HKEx European Warrants Oct 2011 A 0.25 168 per 100 units 2011/10/31 100,000,000 2010/10/11
25466 Standard Chartered Bank Tencent Hldg European Wts Aug 2011 0.25 178 per 100 units 2011/08/30 100,000,000 2010/10/11
25477 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Feb 2011 D 0.15 4.68 per unit 2011/02/23 200,000,000 2010/10/11
25478 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Apr 2011A 0.77 190 2011/04/11 50,000,000 2010/10/11
25479 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2011 B 0.16 160.09 per 100 units 2011/06/01 200,000,000 2010/10/11
25480 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 D 0.15 92.7 2011/02/14 120,000,000 2010/10/11
25481 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Mar 2011 B 0.2 92 2011/03/14 120,000,000 2010/10/11
25485 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 11A 0.25 23,400 per 9,000 units 2011/04/28 300,000,000 2010/10/11
25484 SGA Societe Generale Acceptance N.V. HSI Eur Wt Mar 2011 F 0.15 23,300 per 8,000 units 2011/03/30 300,000,000 2010/10/11
25483 SGA Societe Generale Acceptance N.V. Tencent Eu Wt May 11 0.25 180 per 100 units 2011/05/30 150,000,000 2010/10/11
25489 UBS AG HSI European Put Warrants Feb 2011 D 0.15 22,800 per 9,000 units 2011/02/25 200,000,000 2010/10/11
25486 UBS AG Hutchison European Warrants Apr 2011 A 0.25 89.88 2011/04/18 100,000,000 2010/10/11
25487 UBS AG Hutchison European Warrants Apr 2011 B 0.25 85.88 2011/04/11 100,000,000 2010/10/11
25488 UBS AG Hutchison European Put Warrants Feb 2011 E 0.15 60 2011/02/24 100,000,000 2010/10/11
25499 UBS AG PetroChina European Warrants Nov 2011 0.15 9.98 2011/11/17 100,000,000 2010/10/11
#
21418 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10F 0.029 20,500 per 10,000 units 2010/12/30 350,000,000 2010/10/11
#
25265 UBS AG Hutchison European Warrants Feb 2011 C 0.28 78.88 2011/02/11 100,000,000 2010/10/11
25538 Barclays Bank plc BOCL European Warrants Jun 2011 0.25 27.88 2011/06/07 100,000,000 2010/10/12
25540 Barclays Bank plc China Coal European Warrants Sep 2011 0.25 15 2011/09/26 100,000,000 2010/10/12
25539 Barclays Bank plc Cheung Kong European Warrants Jun 2012 0.25 125 per 100 units 2012/06/11 150,000,000 2010/10/12
25541 Barclays Bank plc China Shenhua European Warrants Jun 2011 0.26 38 2011/06/07 100,000,000 2010/10/12
25542 Barclays Bank plc HKEx European Warrants Dec 2011 0.25 170 per 100 units 2011/12/05 150,000,000 2010/10/12
25543 Barclays Bank plc HKEx European Put Warrants Oct 2011 0.25 146.88 per 100 units 2011/10/17 150,000,000 2010/10/12
25544 Barclays Bank plc HSBC European Warrants May 2011 0.25 93.88 2011/05/04 150,000,000 2010/10/12
25545 Barclays Bank plc Hutchison European Warrants Apr 2011 0.25 86 2011/04/26 100,000,000 2010/10/12
25546 Barclays Bank plc SHK Ppt European Warrants Feb 2012 0.25 145 per 100 units 2012/02/13 150,000,000 2010/10/12
25547 Barclays Bank plc Tencent Holdings European Warrants Aug 11 0.25 190 per 100 units 2011/08/08 150,000,000 2010/10/12
25548 Credit Suisse AG HKEx European Warrants Jun 2011 B 0.25 167.28 per 100 units 2011/06/27 300,000,000 2010/10/12
25517 Citigroup Global Mkt H Inc. BOC HK European Wts Aug 2011 0.25 28.88 2011/08/29 100,000,000 2010/10/12
25518 Citigroup Global Mkt H Inc. Dongfeng European Wts Jul 2011 0.25 18 2011/07/25 100,000,000 2010/10/12
25519 Citigroup Global Mkt H Inc. HKEx European Wts May 2011 0.25 162.88 per 100 units 2011/05/30 120,000,000 2010/10/12
25520 Citigroup Global Mkt H Inc. Hutchison Euro Wts Apr 2011 0.25 84.68 2011/04/18 80,000,000 2010/10/12
25521 Citigroup Global Mkt H Inc. PICC P&C European Wts Aug 11B 0.25 12 2011/08/29 100,000,000 2010/10/12
25549 Deutsche Bank AG BOC HK European Warrants Apr 2011 B 0.25 27 2011/04/18 200,000,000 2010/10/12
25559 Deutsche Bank AG China Life European Warrants Feb 2011 B 0.15 38 2011/02/28 300,000,000 2010/10/12
25550 Deutsche Bank AG China Life European Warrants Apr 2011 A 0.194 35.68 2011/04/26 300,000,000 2010/10/12
25552 Deutsche Bank AG CNOOC European Warrants Aug 2011 0.25 17.28 2011/08/01 200,000,000 2010/10/12
25551 Deutsche Bank AG Chi Res Land European Warrants Apr 2011 0.215 16.08 2011/04/26 100,000,000 2010/10/12
25553 Deutsche Bank AG HKEx European Warrants Oct 2011 A 0.25 170 per 100 units 2011/10/31 200,000,000 2010/10/12
25561 Deutsche Bank AG HSI European Put Warrants Apr 2011 C 0.26 23,400 per 8,000 units 2011/04/28 300,000,000 2010/10/12
25560 Deutsche Bank AG HSI European Put Warrants Feb 2011 J 0.25 22,400 per 8,000 units 2011/02/25 300,000,000 2010/10/12
25554 Deutsche Bank AG Hutchison European Put Warrants Apr 2011 0.4 65 2011/04/27 100,000,000 2010/10/12
25555 Deutsche Bank AG PetroChina European Warrants Apr 2011A 0.45 10.88 per unit 2011/04/18 200,000,000 2010/10/12
25523 J P Morgan SP BV China Life European Warrants Apr 2011 A 0.25 33.88 2011/04/28 200,000,000 2010/10/12
25524 J P Morgan SP BV China Shenhua European Warrants Apr 2011A 0.25 37 2011/04/28 150,000,000 2010/10/12
25525 J P Morgan SP BV JX Copper European Warrants Apr 2011 A 0.25 22.88 2011/04/28 150,000,000 2010/10/12
25526 J P Morgan SP BV PetroChina European Warrants Nov 2011 0.15 10 2011/11/14 200,000,000 2010/10/12
25527 J P Morgan SP BV SHK Ppt European Warrants Sep 2011 0.25 142 per 100 units 2011/09/29 200,000,000 2010/10/12
25562 KBC Fin Products Int’l Ltd. BYD European Warrants May 2011A 0.35 80.88 2011/05/16 88,000,000 2010/10/12
25563 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Mar 2011 D 0.34 7.088 per unit 2011/03/01 138,000,000 2010/10/12
25564 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Mar 2011 E 0.25 7.69 per unit 2011/03/01 188,000,000 2010/10/12
25566 KBC Fin Products Int’l Ltd. CNOOC Euro Put Wts Jun 2011 A 0.25 16.28 2011/06/01 88,000,000 2010/10/12
25530 Macquarie Bank Ltd. Air China European Warrants Jun 2011 0.252 13 2011/06/29 300,000,000 2010/10/12
25531 Macquarie Bank Ltd. China Mobile European Wts Feb 2011 C 0.155 92.88 2011/02/22 150,000,000 2010/10/12
25532 Macquarie Bank Ltd. Dongfeng Motor European Wts Apr 2011 0.25 20 2011/04/28 100,000,000 2010/10/12
25529 Macquarie Bank Ltd. HSCEI European Put Warrants Apr 2011 0.25 12,200 per 6,000 units 2011/04/28 200,000,000 2010/10/12
25528 Macquarie Bank Ltd. HSI European Put Warrants Mar 2011 0.22 22,800 per 8,000 units 2011/03/30 200,000,000 2010/10/12
25558 Macquarie Bank Ltd. Lee & Man Paper European Warrants Jul12 0.251 7.88 2012/07/30 200,000,000 2010/10/12
25533 Macquarie Bank Ltd. New World Dev European Wts Dec 2011 0.25 20 2011/12/28 100,000,000 2010/10/12
25534 Macquarie Bank Ltd. PetroChina European Wts Nov 2011 0.15 9.98 2011/11/17 150,000,000 2010/10/12
25536 Macquarie Bank Ltd. Tencent European Warrants Jun 2011 0.25 185 per 100 units 2011/06/02 250,000,000 2010/10/12
25537 Macquarie Bank Ltd. Yanzhou Coal European Wts Jun 2011 A 0.25 25 2011/06/29 150,000,000 2010/10/12
25511 Merrill Lynch Int’l & Co. C.V. Agricultural Bk Eu Wt Feb 11 0.151 4.69 per unit 2011/02/22 100,000,000 2010/10/12
25514 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Put Wts Mar 11 0.33 4.09 per unit 2011/03/25 100,000,000 2010/10/12
25512 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Mar 11C 0.166 16 2011/03/29 100,000,000 2010/10/12
25513 Merrill Lynch Int’l & Co. C.V. Ch Telecom Eur Wt May 2011B 0.26 4.99 per unit 2011/05/09 100,000,000 2010/10/12
25510 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Feb 11D 0.15 13,000 per 5,800 units 2011/02/25 100,000,000 2010/10/12
25516 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Feb 11E 0.152 12,500 per 7,000 units 2011/02/25 100,000,000 2010/10/12
25515 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt Apr 2011 A 0.335 11.69 per unit 2011/04/29 100,000,000 2010/10/12
25556 UBS AG CNOOC European Warrants Jul 2011 0.25 17.38 2011/07/25 100,000,000 2010/10/12
25557 UBS AG HKEx European Warrants Jul 2011 B 0.25 170 per 100 units 2011/07/25 200,000,000 2010/10/12
25522 UBS AG Tencent Holdings European Warrants May 2011 0.25 190 per 100 units 2011/05/30 100,000,000 2010/10/12
#
23594 Macquarie Bank Ltd. BOCL European Warrants Nov 2010 0.145 4.38 per unit 2010/11/29 200,000,000 2010/10/12
#
24315 J P Morgan SP BV China Mob European Wts Feb 2011 0.227 90.88 2011/02/22 100,000,000 2010/10/12
#
23623 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011A 0.217 33.4 2011/02/23 200,000,000 2010/10/12
25574 BOCI Asia Ltd. Agricultural Bk European Warrants May 2011 0.201 4.78 per unit 2011/05/04 100,000,000 2010/10/13
25575 BOCI Asia Ltd. CNBM European Warrants Aug 2011 0.25 22 2011/08/01 100,000,000 2010/10/13
25576 BOCI Asia Ltd. CNOOC European Warrants Sep 2011 0.25 16.88 2011/09/05 100,000,000 2010/10/13
25577 BOCI Asia Ltd. HKEx European Put Warrants Jun 2011 0.15 150 per 100 units 2011/06/20 300,000,000 2010/10/13
25588 BNP Paribas Arbit Issu B.V. CHALCO European Wts Dec 2012 0.25 7.8 2012/12/03 100,000,000 2010/10/13
25589 BNP Paribas Arbit Issu B.V. Ch Shenhua Euro Wts Dec 2011 0.57 38.88 2011/12/02 100,000,000 2010/10/13
25587 BNP Paribas Arbit Issu B.V. HSI European Wts Apr 2011 0.16 23,900 per 8,000 units 2011/04/28 100,000,000 2010/10/13
25591 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Apr 2011 0.16 22,500 per 10,000 units 2011/04/28 100,000,000 2010/10/13
25590 BNP Paribas Arbit Issu B.V. Shimao Ppt European Wts Dec 11 0.25 14.28 2011/12/02 100,000,000 2010/10/13
25610 Credit Suisse AG Agricultural Bank European Wts Mar 2011 B 0.15 4.488 per unit 2011/03/14 200,000,000 2010/10/13
25611 Credit Suisse AG Agricultural Bank European Wts Apr 2011 B 0.25 4.828 per unit 2011/04/18 300,000,000 2010/10/13
25612 Credit Suisse AG BOCL European Warrants Mar 2011 0.15 4.58 per unit 2011/03/21 200,000,000 2010/10/13
25614 Credit Suisse AG BOCL European Warrants Jan 2011 B 0.15 4.79 per unit 2011/01/31 200,000,000 2010/10/13
25616 Credit Suisse AG China Life European Warrants Apr 2011 A 0.25 35.88 2011/04/18 300,000,000 2010/10/13
25615 Credit Suisse AG China Life European Warrants May 2011 A 0.25 33.38 2011/05/16 300,000,000 2010/10/13
25617 Credit Suisse AG China Life European Warrants Jun 2011 A 0.25 38.88 2011/06/27 300,000,000 2010/10/13
25618 Credit Suisse AG HKEx European Warrants Apr 2011 C 0.25 160.28 per 100 units 2011/04/18 300,000,000 2010/10/13
25619 Credit Suisse AG HKEx European Warrants Jun 2011 C 0.25 175.08 per 100 units 2011/06/27 300,000,000 2010/10/13
25621 Credit Suisse AG Tencent Holdings European Wts May 2011 B 0.25 182.88 per 100 units 2011/05/30 300,000,000 2010/10/13
25586 Citigroup Global Mkt H Inc. CNOOC European Wts May 2011 B 0.25 16.88 2011/05/23 120,000,000 2010/10/13
25598 Deutsche Bank AG BOCL European Put Warrants Apr 2011 0.25 3.80 per unit 2011/04/18 80,000,000 2010/10/13
25601 Deutsche Bank AG China Mobile European Put Wts Dec 2011 0.15 80 per 100 units 2011/12/21 200,000,000 2010/10/13
25599 Deutsche Bank AG CC Bank European Put Warrants Apr 2011 0.39 6.50 per unit 2011/04/18 100,000,000 2010/10/13
25600 Deutsche Bank AG China Life European Put Wts Apr 2011 0.25 31 2011/04/18 200,000,000 2010/10/13
25603 Deutsche Bank AG CNOOC European Warrants Oct 2011 A 0.25 17.28 2011/10/03 150,000,000 2010/10/13
25602 Deutsche Bank AG Sinopec Corp European Warrants May 2011 0.27 8.20 per unit 2011/05/23 150,000,000 2010/10/13
25605 Deutsche Bank AG A50 China European Put Wts Apr 2011 B 0.15 12.8 2011/04/04 100,000,000 2010/10/13
25622 Deutsche Bank AG HSI European Warrants Apr 2011 B 0.25 24,400 per 8,000 units 2011/04/28 300,000,000 2010/10/13
25604 Deutsche Bank AG ICBC European Put Warrants Apr 2011 0.32 5.50 per unit 2011/04/18 100,000,000 2010/10/13
25606 Deutsche Bank AG PetroChina European Warrants Apr 2011 B 0.53 10.50 per unit 2011/04/18 150,000,000 2010/10/13
25585 Macquarie Bank Ltd. HSI European Warrants Mar 2011 C 0.175 24,000 per 8,000 units 2011/03/30 200,000,000 2010/10/13
25568 Merrill Lynch Int’l & Co. CV Agricultural Bk Eu Put W Mar11B 0.157 3.67 per unit 2011/03/11 100,000,000 2010/10/13
25567 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts May 2011 C 1.04 178 2011/05/03 100,000,000 2010/10/13
25569 Merrill Lynch Int’l & Co. C.V. Ping An Euro Put Wts Mar 11 0.216 62.87 2011/03/08 100,000,000 2010/10/13
25570 Merrill Lynch Int’l & Co. C.V. SHK Ppt Euro Put Wts Jun 11 0.154 127.99 per 100 units 2011/06/24 100,000,000 2010/10/13
25580 CC Rabobank B.A. BOC HK European Warrants Jun 2011 0.25 27.8 2011/06/29 200,000,000 2010/10/13
25581 CC Rabobank B.A. Dongfeng Motor European Warrants Jun 2011 0.25 16.9 2011/06/29 120,000,000 2010/10/13
25582 CC Rabobank B.A. Jiangxi Copper European Warrants May 2011A 0.25 23 2011/05/11 100,000,000 2010/10/13
25583 CC Rabobank B.A. Nine Dragons European Warrants Aug 2011 0.25 14.5 2011/08/08 100,000,000 2010/10/13
25584 CC Rabobank B.A. Tencent Holdings European Wts Jun 2011 0.25 185 per 100 units 2011/06/29 200,000,000 2010/10/13
25624 Standard Chartered Bank PetroChina European Warrants May11 0.6 11.28 per unit 2011/05/20 100,000,000 2010/10/13
25592 SGA Societe Generale Acceptance N.V. AGBK Eu Wt May 2011 C 0.25 5.08 per unit 2011/05/04 200,000,000 2010/10/13
25593 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Feb 2011 B 0.19 4.68 per unit 2011/02/28 200,000,000 2010/10/13
25571 SGA Societe Generale Acceptance N.V. CLife Eu Wt Mar 2011C 0.15 37.45 2011/03/23 200,000,000 2010/10/13
25594 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Apr 11B 0.27 99 2011/04/18 200,000,000 2010/10/13
25572 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Nov 2011 0.25 18.88 2011/11/30 200,000,000 2010/10/13
25595 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Apr 11A 0.37 7.90 per unit 2011/04/18 100,000,000 2010/10/13
25596 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Dec 2011 B 0.25 180 per 100 units 2011/12/12 200,000,000 2010/10/13
25573 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Feb 2011 A 0.21 6.50 per unit 2011/02/23 120,000,000 2010/10/13
25597 SGA Societe Generale Acceptance N.V. Petch Eu Wt Mar 2011 0.64 10.18 per unit 2011/03/21 100,000,000 2010/10/13
25578 UBS AG CC Bank European Warrants Mar 2011 A 0.25 7.38 per unit 2011/03/28 100,000,000 2010/10/13
25607 UBS AG Cheung Kong European Warrants Feb 2011 0.32 128.088 2011/02/24 100,000,000 2010/10/13
25579 UBS AG China Life European Warrants Feb 2011 B 0.15 37.05 2011/02/21 200,000,000 2010/10/13
25623 UBS AG HKEx European Warrants Apr 2011 0.4 188.88 2011/04/29 100,000,000 2010/10/13
25613 UBS AG HSI European Put Warrants Mar 2011 D 0.152 23,300 per 10,000 units 2011/03/30 200,000,000 2010/10/13
25608 UBS AG HSI European Warrants Feb 2011 F 0.15 23,200 per 8,000 units 2011/02/25 200,000,000 2010/10/13
25609 UBS AG HSI European Warrants Mar 2011 C 0.15 24,000 per 8,000 units 2011/03/30 200,000,000 2010/10/13
25660 Credit Suisse AG BOCL European Warrants Jan 2011 C 0.15 4.48 per unit 2011/01/31 300,000,000 2010/10/14
25659 Credit Suisse AG BankComm European Warrants Apr 2011 0.25 9.588 per unit 2011/04/14 200,000,000 2010/10/14
25657 Credit Suisse AG CC Bank European Warrants Feb 2011 B 0.15 7.68 per unit 2011/02/28 300,000,000 2010/10/14
25661 Credit Suisse AG HSI European Put Warrants Mar 2011 B 0.15 23,100 per 10,000 units 2011/03/30 300,000,000 2010/10/14
25662 Credit Suisse AG HSI European Put Warrants Apr 2011 A 0.25 23,500 per 8,500 units 2011/04/28 300,000,000 2010/10/14
25658 Credit Suisse AG ICBC European Warrants Mar 2011 A 0.15 6.68 per unit 2011/03/01 300,000,000 2010/10/14
10005 Deutsche Bank AG DJIA European Warrants Jun 2011 0.25 11,500 per 30,000 units 2011/06/20 100,000,000 2010/10/14
10009 Deutsche Bank AG DJIA European Put Warrants Jun 2011 0.31 10,500 per 30,000 units 2011/06/20 100,000,000 2010/10/14
10006 Deutsche Bank AG Nikkei 225 Index European Wts Jun 2011 0.25 10,000 per 400 units 2011/06/10 100,000,000 2010/10/14
10010 Deutsche Bank AG Nikkei 225 Index Euro Put Wts Jun 2011 0.28 9,500 per 400 units 2011/06/10 100,000,000 2010/10/14
25627 Goldman Sachs SP (Asia) CNOOC European Warrants Jun 2011 B 0.25 16.6 2011/06/27 200,000,000 2010/10/14
25628 Goldman Sachs SP (Asia) CNOOC European Warrants Oct 2011 0.25 18 2011/10/31 200,000,000 2010/10/14
25629 HK Bank Agricultural Bank European Warrants Apr 2011 B 0.25 4.90 per unit 2011/04/14 150,000,000 2010/10/14
25630 HK Bank CC Bank European Warrants Feb 2011 0.15 7.69 per unit 2011/02/22 180,000,000 2010/10/14
25631 HK Bank CC Bank European Put Warrants Mar 2011 0.15 6 per unit 2011/03/14 120,000,000 2010/10/14
25634 HK Bank China Life European Warrants Apr 2011 A 0.25 40.38 2011/04/28 200,000,000 2010/10/14
25632 HK Bank Esprit European Warrants Apr 2011 0.25 50 2011/04/14 120,000,000 2010/10/14
25633 HK Bank KECL European Warrants Aug 2011 0.25 12.38 2011/08/29 120,000,000 2010/10/14
25635 J P Morgan SP BV Air China European Warrants Jun 2011 0.25 12.88 2011/06/20 180,000,000 2010/10/14
25636 J P Morgan SP BV CM Bank European Warrants Jun 2011 A 0.25 23 2011/06/29 180,000,000 2010/10/14
25637 J P Morgan SP BV CNBM European Warrants Jun 2011 0.25 21 2011/06/20 100,000,000 2010/10/14
25638 J P Morgan SP BV CNOOC European Warrants Jun 2011 B 0.25 17.88 2011/06/27 200,000,000 2010/10/14
25639 J P Morgan SP BV Dongfeng Motor European Warrants Jun 11C 0.25 18 2011/06/17 150,000,000 2010/10/14
25640 J P Morgan SP BV HKEx European Warrants Sep 2011 0.25 180 per 100 units 2011/09/29 300,000,000 2010/10/14
25641 J P Morgan SP BV Tencent European Warrants Mar 2011 B 0.15 198 per 100 units 2011/03/31 200,000,000 2010/10/14
25642 J P Morgan SP BV Tencent European Warrants May 2011 0.25 180.88 per 100 units 2011/05/24 200,000,000 2010/10/14
25643 J P Morgan SP BV Yanzhou Coal European Warrants Apr 2011 A 0.25 22.88 2011/04/18 150,000,000 2010/10/14
25653 KBC Fin Products Int’l Ltd. BankComm Euro Wts Apr 2011 0.39 10 per unit 2011/04/15 68,000,000 2010/10/14
25654 KBC Fin Products Int’l Ltd. CPIC European Wts May 2011 0.25 34.88 2011/05/18 108,000,000 2010/10/14
25655 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Apr 2011 0.8 78 2011/04/15 80,000,000 2010/10/14
25625 Macquarie Bank Ltd. CNOOC European Warrants Jul 2011 0.25 16.88 2011/07/05 200,000,000 2010/10/14
25626 Macquarie Bank Ltd. CNOOC European Warrants Oct 2011 0.25 17.88 2011/10/04 200,000,000 2010/10/14
25645 UBS AG Agricultural Bank European Warrants Apr 2011 A 0.25 4.88 per unit 2011/04/18 200,000,000 2010/10/14
25648 UBS AG Agricultural Bank European Put Warrants Mar 2011 0.15 3.68 per unit 2011/03/14 100,000,000 2010/10/14
25644 UBS AG Agricultural Bank European Warrants Mar 2011 C 0.15 4.48 per unit 2011/03/14 200,000,000 2010/10/14
25650 UBS AG China Tel European Warrants May 2011 0.17 4.88 per unit 2011/05/12 100,000,000 2010/10/14
25647 UBS AG Sinopec Corp European Warrants Mar 2011 B 0.26 7.68 per unit 2011/03/31 100,000,000 2010/10/14
25649 UBS AG China Shenhua European Warrants Mar 2011 0.2 36.88 2011/03/28 100,000,000 2010/10/14
25651 UBS AG HKEx European Warrants May 2011 B 0.25 178.88 per 100 units 2011/05/30 300,000,000 2010/10/14
25646 UBS AG ICBC European Warrants Feb 2011 A 0.22 6.38 per unit 2011/02/28 200,000,000 2010/10/14
25652 UBS AG Jiangxi Copper European Warrants Apr 2011 0.15 23.28 2011/04/26 100,000,000 2010/10/14
#
18658 Macquarie Bank Ltd. Cheung Kong European Warrants Nov 2010 0.068 120 per 100 units 2010/11/29 300,000,000 2010/10/14
#
24451 KBC Fin Products Int’l Ltd. China Life Euro Wts Jan 2011 B 0.212 33.89 2011/01/21 180,000,000 2010/10/14
#
23394 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Dec 10E 0.038 21,300 per 8,000 units 2010/12/30 300,000,000 2010/10/14
#
20306 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Dec 2010 A 0.075 175 per 100 units 2010/12/06 200,000,000 2010/10/14
25707 Credit Suisse AG Zijin Mining European Warrants Dec 2011 0.25 7.88 2011/12/23 300,000,000 2010/10/15
25700 Deutsche Bank AG HSI European Put Warrants Apr 2011 D 0.27 24,000 per 8,000 units 2011/04/28 300,000,000 2010/10/15
25701 Deutsche Bank AG HSI European Put Warrants Apr 2011 E 0.32 24,600 per 8,000 units 2011/04/28 300,000,000 2010/10/15
25698 Goldman Sachs SP (Asia) BOC HK European Warrants Jun 2011A 0.25 27 2011/06/20 200,000,000 2010/10/15
25696 Goldman Sachs SP (Asia) HSI European Warrants Sep 2011 0.261 25,000 per 8,000 units 2011/09/29 200,000,000 2010/10/15
25699 Goldman Sachs SP (Asia) Hutchison European Wts Apr 2011 B 0.49 84 2011/04/18 200,000,000 2010/10/15
25684 HK Bank CNOOC European Warrants Jul 2011 B 0.25 17.88 2011/07/29 150,000,000 2010/10/15
25685 HK Bank CNOOC European Warrants Oct 2011 0.25 19.88 2011/10/28 150,000,000 2010/10/15
25687 HK Bank HSI European Put Warrants Mar 2011 J 0.17 22,800 per 8,000 units 2011/03/30 250,000,000 2010/10/15
25686 HK Bank HWL European Warrants Apr 2011 A 0.25 92.88 2011/04/15 150,000,000 2010/10/15
25706 J P Morgan SP BV Hutchison European Warrants Apr 2011 0.25 90.88 2011/04/18 100,000,000 2010/10/15
25673 J P Morgan SP BV Hutchison European Put Warrants Apr 2011A 0.25 65 2011/04/18 100,000,000 2010/10/15
25709 KBC Fin Products Int’l Ltd. BOCL European Wts Apr 2011 A 0.15 4.688 per unit 2011/04/08 158,000,000 2010/10/15
25710 KBC Fin Products Int’l Ltd. BYD European Warrants May 11B 0.45 68.88 2011/05/05 88,000,000 2010/10/15
25711 KBC Fin Products Int’l Ltd. China Coal Euro Wts Sep 2011 0.25 14.08 2011/09/01 88,000,000 2010/10/15
25712 KBC Fin Products Int’l Ltd. China Life Euro Wts Apr 2011 C 0.25 35.38 2011/04/15 188,000,000 2010/10/15
25713 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts Apr 2011 0.27 5.50 per unit 2011/04/15 88,000,000 2010/10/15
25714 KBC Fin Products Int’l Ltd. Zijin Mining European Wt Jun 11 0.15 7.28 2011/06/10 108,000,000 2010/10/15
25715 KBC Fin Products Int’l Ltd. Zijin Mining Eu Put Wt Sep 11 0.15 6.66 2011/09/01 88,000,000 2010/10/15
25694 Macquarie Bank Ltd. Cheung Kong European Put Wts May 2011 0.253 90 2011/05/17 200,000,000 2010/10/15
25663 Macquarie Bank Ltd. HKEx European Warrants Oct 2011 0.25 200 per 100 units 2011/10/04 200,000,000 2010/10/15
25664 Macquarie Bank Ltd. HKEx European Put Warrants May 2011 A 0.261 158.88 per 100 units 2011/05/04 200,000,000 2010/10/15
25695 Macquarie Bank Ltd. Hutchison European Put Wts May 2011 0.253 62 2011/05/13 128,000,000 2010/10/15
25702 Macquarie Bank Ltd. Hutchison European Warrants Jun 2011 B 0.252 100 2011/06/02 200,000,000 2010/10/15
25693 Macquarie Bank Ltd. Renhe Comm European Warrants Jul 2011 0.25 1.80 per unit 2011/07/29 150,000,000 2010/10/15
25679 Nomura Int’l plc China Unicom European Warrants Aug 2011 0.15 11.888 2011/08/31 100,000,000 2010/10/15
25680 Nomura Int’l plc China Unicom European Warrants Nov 2011 0.15 12.98 2011/11/30 100,000,000 2010/10/15
25674 Nomura Int’l plc Cheung Kong European Warrants May 2012 0.15 120.08 per 100 units 2012/05/31 100,000,000 2010/10/15
25683 Nomura Int’l plc A50 China European Warrants Jan 2012 0.16 12.488 2012/01/10 100,000,000 2010/10/15
25678 Nomura Int’l plc HKEx European Warrants Nov 2011 0.2 168.08 per 100 units 2011/11/30 100,000,000 2010/10/15
25675 Nomura Int’l plc Hutchison European Warrants Jun 2011 0.25 99.99 2011/06/30 100,000,000 2010/10/15
25677 Nomura Int’l plc JIANC European Warrants Apr 2011 0.25 22.88 2011/04/29 100,000,000 2010/10/15
25681 Nomura Int’l plc PetroChina European Warrants Nov 2011 0.15 9.98 2011/11/28 100,000,000 2010/10/15
25682 Nomura Int’l plc Sinopharm European Put Warrants Jun 2011 0.359 29.98 2011/06/30 100,000,000 2010/10/15
25676 Nomura Int’l plc SHK P European Warrants Oct 2011 B 0.16 140.08 per 100 units 2011/10/31 100,000,000 2010/10/15
25688 CC Rabobank B.A. Agricultural Bk European Warrants Jun 11 0.29 5 per unit 2011/06/29 80,000,000 2010/10/15
25690 CC Rabobank B.A. CNOOC European Warrants Jul 2011 B 0.25 17.2 2011/07/28 120,000,000 2010/10/15
25689 CC Rabobank B.A. Sinopec Corp European Warrants May 2011 0.4 8 per unit 2011/05/30 70,000,000 2010/10/15
25692 CC Rabobank B.A. HSBC European Warrants May 2011 B 0.3 94 2011/05/30 80,000,000 2010/10/15
25691 CC Rabobank B.A. Hutchison European Warrants May 2011 A 0.45 82 2011/05/13 70,000,000 2010/10/15
25665 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Apr 2011 B 0.18 4.89 per unit 2011/04/04 200,000,000 2010/10/15
25667 SGA Societe Generale Acceptance N.V. CCB Eur Wt Feb 2011 B 0.19 7.98 per unit 2011/02/07 120,000,000 2010/10/15
25666 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Jun 2012 0.16 120 per 100 units 2012/06/06 300,000,000 2010/10/15
25670 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Oct 2011 A 0.25 172 per 100 units 2011/10/03 300,000,000 2010/10/15
25669 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Aug 2011 B 0.2 165 per 100 units 2011/08/03 300,000,000 2010/10/15
25671 SGA Societe Generale Acceptance N.V. Petch Eu Wt Apr 2011A 0.53 11 per unit 2011/04/18 100,000,000 2010/10/15
25672 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Dec 2011A 0.18 138.08 per 100 units 2011/12/19 300,000,000 2010/10/15
25705 UBS AG Ch LongYuan European Warrants Dec 2011 0.15 8.08 2011/12/28 100,000,000 2010/10/15
25703 UBS AG CC Bank European Warrants Mar 2011 B 0.15 8.29 per unit 2011/03/28 100,000,000 2010/10/15
25704 UBS AG ICBC European Warrants Feb 2011 B 0.15 7 per unit 2011/02/14 100,000,000 2010/10/15
#
23898 Credit Suisse AG SHK Ppt European Put Warrants Dec 2010 0.024 120 per 100 units 2010/12/20 420,000,000 2010/10/15
#
24268 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Feb 2011 F 0.54 78.88 2011/02/18 148,000,000 2010/10/15
#
24210 CC Rabobank B.A. MTRC European Warrants Feb 2011 0.137 31.2 2011/02/25 125,000,000 2010/10/15
#
23621 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jan 2011A 0.154 35.4 2011/01/26 200,000,000 2010/10/15
#
19957 UBS AG HKEx European Warrants Dec 2010 B 0.074 175 per 100 units 2010/12/06 200,000,000 2010/10/15
25738 BNP Paribas Arbit Issu B.V. Hutchison European Wts Jun 11 0.49 89 2011/06/01 100,000,000 2010/10/18
25739 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants Dec11 0.16 155.10 per 100 units 2011/12/21 100,000,000 2010/10/18
25766 Credit Suisse AG CNOOC European Put Warrants Jun 2011 D 0.25 15.38 2011/06/13 300,000,000 2010/10/18
25759 Credit Suisse AG A50 China European Warrants Apr 2011 B 0.15 13.29 2011/04/04 300,000,000 2010/10/18
25760 Credit Suisse AG A50 China European Warrants Jun 2011 C 0.15 13.89 2011/06/27 300,000,000 2010/10/18
25761 Credit Suisse AG A50 China European Warrants Aug 2011 0.15 14.09 2011/08/29 300,000,000 2010/10/18
25753 Credit Suisse AG HKEx European Warrants May 2011 A 0.25 184.88 per 100 units 2011/05/16 300,000,000 2010/10/18
25764 Credit Suisse AG HKEx European Put Warrants May 2011 0.25 168.88 per 100 units 2011/05/03 300,000,000 2010/10/18
25754 Credit Suisse AG HKEx European Warrants Jul 2011 B 0.25 198.88 per 100 units 2011/07/25 300,000,000 2010/10/18
25758 Credit Suisse AG ICBC European Warrants Feb 2011 0.15 6.51 per unit 2011/02/21 300,000,000 2010/10/18
25762 Credit Suisse AG SHK Ppt European Put Warrants Jun 2011 A 0.15 135.90 per 100 units 2011/06/13 300,000,000 2010/10/18
25763 Credit Suisse AG SHK Ppt European Put Warrants Jun 2011 B 0.15 127.90 per 100 units 2011/06/27 300,000,000 2010/10/18
25755 Credit Suisse AG Tencent Holdings European Wts Apr 2011 B 0.15 197.90 per 100 units 2011/04/04 300,000,000 2010/10/18
25757 Credit Suisse AG Tencent Holdings European Wts Jun 2011 C 0.25 192.88 per 100 units 2011/06/13 300,000,000 2010/10/18
25765 Credit Suisse AG Tencent Holdings European Put Wts Jun 11B 0.25 170 per 100 units 2011/06/13 300,000,000 2010/10/18
25742 Deutsche Bank AG China Mobile European Warrants Apr 2011 A 0.44 90 2011/04/18 100,000,000 2010/10/18
25740 Deutsche Bank AG Cheung Kong European Warrants Apr 2011 0.68 135 2011/04/18 100,000,000 2010/10/18
25741 Deutsche Bank AG China Life European Warrants Apr 2011 B 0.25 40 2011/04/18 300,000,000 2010/10/18
25743 Deutsche Bank AG CNOOC European Warrants Oct 2011 B 0.25 18.5 2011/10/31 200,000,000 2010/10/18
25746 Deutsche Bank AG A50 China European Warrants Apr 2012 0.15 14.88 2012/04/30 200,000,000 2010/10/18
25744 Deutsche Bank AG HKEx European Warrants Sep 2011 0.25 185 per 100 units 2011/09/26 200,000,000 2010/10/18
25745 Deutsche Bank AG Hutchison European Warrants Apr 2011 B 0.27 95 2011/04/26 150,000,000 2010/10/18
25747 Deutsche Bank AG ICBC European Warrants Apr 2011 B 0.25 7.38 per unit 2011/04/26 100,000,000 2010/10/18
25748 Deutsche Bank AG SHK Ppt European Warrants Dec 2011 0.15 155 per 100 units 2011/12/28 150,000,000 2010/10/18
25749 Deutsche Bank AG Tencent Holdings European Wts May 11 A 0.25 188 per 100 units 2011/05/23 200,000,000 2010/10/18
25733 Goldman Sachs SP (Asia) Agricultural Bk European Wts Apr11B 0.25 4.80 per unit 2011/04/18 200,000,000 2010/10/18
25735 Goldman Sachs SP (Asia) HKEx European Warrants Dec 2011 B 0.28 180 per 100 units 2011/12/12 200,000,000 2010/10/18
25732 Goldman Sachs SP (Asia) HSI European Put Wts Feb 2011 H 0.15 22,800 per 9,500 units 2011/02/25 200,000,000 2010/10/18
25734 Goldman Sachs SP (Asia) Hutchison European Wts Apr 2011 C 0.27 94 2011/04/18 200,000,000 2010/10/18
25717 HK Bank Cheung Kong European Warrants Apr 2011 0.25 142.88 2011/04/18 150,000,000 2010/10/18
25716 HK Bank Cheung Kong European Warrants Nov 2012 0.25 128 per 100 units 2012/11/19 150,000,000 2010/10/18
25719 HK Bank Ch LongYuan European Warrants Dec 2011 B 0.25 8.88 2011/12/28 80,000,000 2010/10/18
25720 HK Bank China Shenhua European Warrants Apr 2011 A 0.25 38.88 2011/04/18 150,000,000 2010/10/18
25721 HK Bank China Shenhua European Warrants Apr 2011 B 0.25 42.88 2011/04/18 150,000,000 2010/10/18
25722 HK Bank Fushan Energy European Warrants Jun 2011 0.25 6 per unit 2011/06/20 100,000,000 2010/10/18
25723 HK Bank HWL European Warrants Apr 2011 B 0.25 86.88 2011/04/18 120,000,000 2010/10/18
25726 HK Bank Zijin Mining European Warrants Aug 2011 0.25 8.88 2011/08/30 150,000,000 2010/10/18
25724 HK Bank Zijin Mining European Warrants Sep 2011 0.25 8.38 2011/09/28 150,000,000 2010/10/18
25771 KBC Fin Products Int’l Ltd. CMB European Warrants Jun 2011 0.25 23.88 2011/06/03 108,000,000 2010/10/18
25769 KBC Fin Products Int’l Ltd. CNOOC European Wts Jul 2011 0.25 19.08 2011/07/04 108,000,000 2010/10/18
25770 KBC Fin Products Int’l Ltd. HKEx European Warrants May 11 0.25 178 per 100 units 2011/05/05 108,000,000 2010/10/18
25737 Macquarie Bank Ltd. China Coal European Warrants Jun 2011 0.251 15.68 2011/06/30 250,000,000 2010/10/18
25736 Macquarie Bank Ltd. Cheung Kong European Warrants Oct 2012 0.25 130 per 100 units 2012/10/04 400,000,000 2010/10/18
25725 Macquarie Bank Ltd. A50 China European Put Wts Sep 2011 0.251 13 2011/09/29 200,000,000 2010/10/18
25727 CC Rabobank B.A. Datang European Warrants May 2011 0.3 3.80 per unit 2011/05/11 75,000,000 2010/10/18
25728 CC Rabobank B.A. Huaneng Power European Warrants May 2011 0.25 6 per unit 2011/05/30 75,000,000 2010/10/18
25729 CC Rabobank B.A. MCC European Warrants Mar 2011 0.3 4.81 per unit 2011/03/23 75,000,000 2010/10/18
25730 CC Rabobank B.A. Zijin Mining European Warrants Nov 2011 0.25 9 2011/11/29 100,000,000 2010/10/18
25768 Standard Chartered Bank CC Bank European Warrants Jun 11A 0.325 7.888 per unit 2011/06/30 100,000,000 2010/10/18
25767 Standard Chartered Bank HKEx European Warrants Dec 2011 0.25 200 per 100 units 2011/12/02 100,000,000 2010/10/18
25731 SGA Societe Generale Acceptance N.V. HWL Eur Wt Apr 2011 C 0.26 93.88 2011/04/18 200,000,000 2010/10/18
25751 UBS AG HSI European Warrants Apr 2011 C 0.25 24,500 per 8,000 units 2011/04/28 200,000,000 2010/10/18
25752 UBS AG HSI European Warrants May 2011 A 0.25 24,800 per 8,000 units 2011/05/30 200,000,000 2010/10/18
25756 UBS AG HSI European Put Warrants Apr 2011 A 0.25 24,000 per 9,000 units 2011/04/28 200,000,000 2010/10/18
25750 UBS AG Zijin Mining European Warrants Oct 2011 0.25 8.88 2011/10/24 100,000,000 2010/10/18
#
25183 Credit Suisse AG Tencent Holdings European Put Wts Feb2011 0.059 160 per 100 units 2011/02/21 300,000,000 2010/10/18
#
23348 Deutsche Bank AG China Life European Warrants Jan 2011 A 0.118 37 2011/01/03 300,000,000 2010/10/18
#
25451 UBS AG Agricultural Bank European Warrants Feb 2011 0.133 4.68 per unit 2011/02/28 200,000,000 2010/10/18
25775 Barclays Bank plc China Life European Warrants May 2011 0.26 36.38 2011/05/30 120,000,000 2010/10/19
25772 Barclays Bank plc CNOOC European Warrants Oct 2011 0.25 18.88 2011/10/03 120,000,000 2010/10/19
25774 Barclays Bank plc CPIC European Warrants Jun 2011 0.25 34.88 2011/06/20 100,000,000 2010/10/19
25776 Barclays Bank plc Hutchison European Put Warrants Apr 2011 0.26 65 2011/04/26 100,000,000 2010/10/19
25773 Barclays Bank plc Ping An European Warrants Mar 2012 0.15 78 per 100 units 2012/03/05 150,000,000 2010/10/19
10008 BNP Paribas Arbit Issu B.V. Gold European Warrants Dec 11A 0.39 1,600 per 2,500 units 2011/12/06 200,000,000 2010/10/19
10012 BNP Paribas Arbit Issu B.V. Gold European Put Wts Dec 2011 0.26 1,000 per 1,500 units 2011/12/06 200,000,000 2010/10/19
10011 BNP Paribas Arbit Issu B.V. Gold European Warrants May 11B 0.25 1,500 per 2,500 units 2011/05/06 200,000,000 2010/10/19
25799 BNP Paribas Arbit Issu B.V. HSBC European Wts Mar 2011 0.23 92 2011/03/07 100,000,000 2010/10/19
10013 BNP Paribas Arbit Issu B.V. Oil Futures European Wt Nov11B 0.25 100 per 400 units 2011/11/16 200,000,000 2010/10/19
25788 Credit Suisse AG HSBC European Wts Feb 2011 0.15 92.7 2011/02/14 200,000,000 2010/10/19
25789 Credit Suisse AG HSBC European Put Warrants Apr 2011 0.15 72 2011/04/04 200,000,000 2010/10/19
25786 Credit Suisse AG MTRC European Warrants May 2011 0.25 31.88 2011/05/16 200,000,000 2010/10/19
25801 Credit Suisse AG Ping An European Warrants Apr 2011 A 0.25 90 2011/04/26 300,000,000 2010/10/19
25782 Citigroup Global Mkt H Inc. China Coal European Wts Jul 11 0.25 15.28 2011/07/29 80,000,000 2010/10/19
25800 Citigroup Global Mkt H Inc. CNOOC Euro Put Wts May 2011 C 0.25 15.18 2011/05/30 120,000,000 2010/10/19
25783 Citigroup Global Mkt H Inc. Tencent European Warrants Jun11A 0.25 188.88 per 100 units 2011/06/28 120,000,000 2010/10/19
25795 Deutsche Bank AG Agricultural Bk European Warrants Apr 11 0.15 4.88 per unit 2011/04/04 100,000,000 2010/10/19
25802 Deutsche Bank AG Tencent Holdings European Warrants Jul11A 0.18 200 per 100 units 2011/07/25 200,000,000 2010/10/19
25796 Deutsche Bank AG Wynn Macau European Warrants Apr 2011 0.25 18 2011/04/26 100,000,000 2010/10/19
25797 Deutsche Bank AG Yanzhou Coal European Warrants Jun 2011 A 0.25 24 2011/06/13 100,000,000 2010/10/19
25798 Deutsche Bank AG Zijin Mining European Warrants Apr 2011 0.65 9.18 per unit 2011/04/26 50,000,000 2010/10/19
25792 J P Morgan SP BV A50 China European Warrants Dec 2011 0.25 15 2011/12/28 200,000,000 2010/10/19
25790 J P Morgan SP BV HKEx European Put Wts Jun 2011 D 0.25 165 per 100 units 2011/06/27 200,000,000 2010/10/19
25791 J P Morgan SP BV Hutchison European Put Warrants Apr 2011B 0.37 70 2011/04/19 100,000,000 2010/10/19
25793 J P Morgan SP BV Zijin Mining European Warrants Dec 2011 A 0.25 8.88 2011/12/19 200,000,000 2010/10/19
25803 KBC Fin Products Int’l Ltd. BEA European Warrants Apr 2011 0.25 36.88 2011/04/19 58,000,000 2010/10/19
25804 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Apr 11B 0.25 23.88 2011/04/19 88,000,000 2010/10/19
25805 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts Jun 2011 0.34 20.88 2011/06/08 68,000,000 2010/10/19
25809 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Put Wt Jun11 0.25 19 2011/06/15 58,000,000 2010/10/19
25810 KBC Fin Products Int’l Ltd. New World Euro Put Wt Aug 2011 0.25 15.68 2011/08/08 58,000,000 2010/10/19
25806 KBC Fin Products Int’l Ltd. New World European Wts Jun 11B 0.25 16.98 2011/06/15 58,000,000 2010/10/19
25807 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jun 11C 0.25 192.88 per 100 units 2011/06/08 108,000,000 2010/10/19
25808 KBC Fin Products Int’l Ltd. Zijin Mining European Wt Aug 11 0.25 8.68 2011/08/26 88,000,000 2010/10/19
25784 Macquarie Bank Ltd. Henderson Land Dev Euro Wts Jul 2011 0.251 70 2011/07/04 150,000,000 2010/10/19
25785 Macquarie Bank Ltd. Tencent European Put Warrants Jun 11B 0.253 167.50 per 100 units 2011/06/02 250,000,000 2010/10/19
25778 UBS AG Cheung Kong European Warrants Jun 2012 0.15 125 per 100 units 2012/06/04 100,000,000 2010/10/19
25779 UBS AG Sinopec Corp European Warrants Apr 2011 A 0.3 7.688 per unit 2011/04/04 100,000,000 2010/10/19
25777 UBS AG A50 China European Warrants Jun 2011 B 0.15 13.88 2011/06/23 200,000,000 2010/10/19
25780 UBS AG HKEx European Warrants Jun 2011 B 0.25 203.88 per 100 units 2011/06/14 300,000,000 2010/10/19
25781 UBS AG HKEx European Put Warrants May 2011 D 0.25 168.88 per 100 units 2011/05/23 200,000,000 2010/10/19
25794 UBS AG Henderson Land European Warrants May 2011 0.25 57.88 2011/05/30 100,000,000 2010/10/19
#
25017 Credit Suisse AG Agricultural Bank European Wts Jan 2011 E 0.123 4.39 per unit 2011/01/10 300,000,000 2010/10/19
#
23907 Deutsche Bank AG HSBC European Warrants Dec 2010 C 0.091 89.88 2010/12/06 400,000,000 2010/10/19
#
24021 Deutsche Bank AG ICBC European Warrants Jan 2011 0.218 6.50 per unit 2011/01/04 400,000,000 2010/10/19
#
21684 HK Bank HSI European Warrants Dec 2010 A 0.11 23,800 per 9,000 units 2010/12/30 300,000,000 2010/10/19
#
21685 HK Bank HSI European Warrants Dec 2010 B 0.068 24,800 per 8,800 units 2010/12/30 300,000,000 2010/10/19
25811 Barclays Bank plc HSI European Warrants Apr 2011 F 0.25 24,300 per 8,000 units 2011/04/28 150,000,000 2010/10/20
25812 Barclays Bank plc HSI European Warrants Apr 2011 G 0.25 24,700 per 8,000 units 2011/04/28 150,000,000 2010/10/20
25816 Barclays Bank plc HSI European Put Warrants Apr 2011 H 0.25 22,600 per 8,500 units 2011/04/28 150,000,000 2010/10/20
25817 Barclays Bank plc HSI European Put Warrants Apr 2011 I 0.25 23,000 per 8,500 units 2011/04/28 150,000,000 2010/10/20
25818 Barclays Bank plc HSI European Put Warrants Apr 2011 J 0.26 23,400 per 8,500 units 2011/04/28 150,000,000 2010/10/20
25813 BOCI Asia Ltd. Cheung Kong European Warrants Jun 2012 0.154 125 per 100 units 2012/06/04 300,000,000 2010/10/20
25814 BOCI Asia Ltd. China Life European Warrants Mar 2011 0.15 37.5 2011/03/21 100,000,000 2010/10/20
25815 BOCI Asia Ltd. Evergrande European Warrants May 2011 0.265 4.28 per unit 2011/05/31 100,000,000 2010/10/20
25820 BOCI Asia Ltd. Yanzhou Coal European Warrants Aug 2011 0.25 26 2011/08/01 100,000,000 2010/10/20
25847 Credit Suisse AG BOC HK European Warrants Apr 2011 0.15 27.3 2011/04/11 200,000,000 2010/10/20
25875 Credit Suisse AG BOCL European Warrants Feb 2011 A 0.15 4.69 per unit 2011/02/21 300,000,000 2010/10/20
25877 Credit Suisse AG CC Bank European Warrants Mar 2011 C 0.15 8.29 per unit 2011/03/28 300,000,000 2010/10/20
25876 Credit Suisse AG CC Bank European Warrants Feb 2011 C 0.15 7.80 per unit 2011/02/14 300,000,000 2010/10/20
25878 Credit Suisse AG CC Bank European Put Warrants Mar 2011 A 0.15 6.07 per unit 2011/03/28 300,000,000 2010/10/20
25879 Credit Suisse AG CC Bank European Put Warrants Mar 2011 B 0.15 7.99 2011/03/28 300,000,000 2010/10/20
25880 Credit Suisse AG China Life European Warrants Jan 2011 B 0.15 36.9 2011/01/24 300,000,000 2010/10/20
25881 Credit Suisse AG China Life European Warrants Feb 2011 C 0.15 38.38 2011/02/28 300,000,000 2010/10/20
25882 Credit Suisse AG China Life European Put Warrants Jan 2011 0.15 33 2011/01/21 300,000,000 2010/10/20
25886 Credit Suisse AG CM Bank European Warrants Feb 2011 0.15 23.99 2011/02/28 300,000,000 2010/10/20
25891 Credit Suisse AG CM Bank European Put Warrants Feb 2011 0.15 19.99 2011/02/28 300,000,000 2010/10/20
25887 Credit Suisse AG CPIC European Warrants Jan 2011 0.15 33.99 2011/01/24 300,000,000 2010/10/20
25888 Credit Suisse AG ICBC European Warrants Jan 2011 C 0.15 6.50 per unit 2011/01/20 300,000,000 2010/10/20
25889 Credit Suisse AG ICBC European Warrants Jan 2011 D 0.15 6.99 per unit 2011/01/31 300,000,000 2010/10/20
25890 Credit Suisse AG Tencent Holdings European Wts May 2011 C 0.25 208.88 per 100 units 2011/05/30 300,000,000 2010/10/20
25892 Credit Suisse AG Tencent Holdings European Put Wts Apr 11 0.25 180 per 100 units 2011/04/26 300,000,000 2010/10/20
25853 Deutsche Bank AG China Coal European Warrants Jun 2011 A 0.18 15 2011/06/21 100,000,000 2010/10/20
25854 Deutsche Bank AG Dongfeng Motor European Warrants Apr 11C 0.16 20 2011/04/19 100,000,000 2010/10/20
25855 Deutsche Bank AG HKEx European Warrants Oct 2011 B 0.25 208 per 100 units 2011/10/17 200,000,000 2010/10/20
25856 Deutsche Bank AG Tencent Holdings European Put Wt Jun 2011 0.19 176 per 100 units 2011/06/20 100,000,000 2010/10/20
25866 Goldman Sachs SP (Asia) Tencent Holdings European Wt Aug11B 0.25 200 per 100 units 2011/08/08 200,000,000 2010/10/20
25821 HK Bank China Life European Warrants Apr 2011 B 0.25 37.8 2011/04/20 150,000,000 2010/10/20
25846 HK Bank A50 China European Warrants Dec 2011 0.25 14.28 2011/12/28 150,000,000 2010/10/20
25822 HK Bank Yanzhou Coal European Warrants Jun 2011 0.25 25.38 2011/06/08 120,000,000 2010/10/20
25867 KBC Fin Products Int’l Ltd. BOCL European Wts Apr 2011 B 0.15 4.90 per unit 2011/04/01 158,000,000 2010/10/20
25868 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Apr 2011 E 0.22 8.29 per unit 2011/04/01 188,000,000 2010/10/20
25869 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Apr 2011 F 0.25 8.68 per unit 2011/04/20 188,000,000 2010/10/20
25871 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Apr 2011 A 0.37 16.38 per unit 2011/04/20 128,000,000 2010/10/20
25872 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Apr 2011 B 0.25 17.68 per unit 2011/04/20 208,000,000 2010/10/20
25873 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Sep 2011 A 0.15 14.08 2011/09/01 238,000,000 2010/10/20
25874 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Jul11A 0.25 15.38 2011/07/11 88,000,000 2010/10/20
25870 KBC Fin Products Int’l Ltd. ICBC European Wts Apr 2011 B 0.25 7.38 per unit 2011/04/20 168,000,000 2010/10/20
25857 Macquarie Bank Ltd. China Agri European Warrants Oct 2011 0.25 12.5 2011/10/17 250,000,000 2010/10/20
25858 Macquarie Bank Ltd. CC Bank European Warrants Jun 2011 A 0.266 8.50 per unit 2011/06/03 350,000,000 2010/10/20
25864 Macquarie Bank Ltd. CC Bank European Put Warrants Apr 2011 0.273 6.40 per unit 2011/04/20 350,000,000 2010/10/20
25859 Macquarie Bank Ltd. CNBM European Warrants Jun 2011 B 0.251 25 2011/06/07 188,000,000 2010/10/20
25860 Macquarie Bank Ltd. Sinopec Corp European Wts Apr 2011 0.256 8.88 per unit 2011/04/20 350,000,000 2010/10/20
25862 Macquarie Bank Ltd. Lenovo European Warrants Apr 2011 0.261 7 per unit 2011/04/28 100,000,000 2010/10/20
25863 Macquarie Bank Ltd. Ping An European Warrants Jun 2011 0.549 100 2011/06/08 200,000,000 2010/10/20
25861 Macquarie Bank Ltd. Tencent European Warrants Jul 2011 B 0.25 218.88 per 100 units 2011/07/05 250,000,000 2010/10/20
25865 Macquarie Bank Ltd. Tencent European Put Warrants Jun 11C 0.288 180 per 100 units 2011/06/02 250,000,000 2010/10/20
25825 SGA Societe Generale Acceptance N.V. CCB Eur Wt Apr 2011 B 0.49 7.50 per unit 2011/04/20 120,000,000 2010/10/20
25826 SGA Societe Generale Acceptance N.V. CCB Eur Wt May 2011 A 0.36 8 per unit 2011/05/04 120,000,000 2010/10/20
25827 SGA Societe Generale Acceptance N.V. CCB Eur Wt May 2011 B 0.25 8.50 per unit 2011/05/04 120,000,000 2010/10/20
25823 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Apr 2011A 0.5 140 2011/04/20 50,000,000 2010/10/20
25828 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011C 0.2 35.1 2011/02/28 300,000,000 2010/10/20
25829 SGA Societe Generale Acceptance N.V. CLife Eu Wt Mar 2011D 0.18 36.4 2011/03/02 300,000,000 2010/10/20
25848 SGA Societe Generale Acceptance NV Minsheng Bk Eu Wt Jun 11 0.5 8.38 per unit 2011/06/29 120,000,000 2010/10/20
25830 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Apr 11C 0.33 92 2011/04/27 200,000,000 2010/10/20
25831 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt May 2011A 0.33 8.50 per unit 2011/05/30 100,000,000 2010/10/20
25832 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Jun2011A 0.27 8.98 per unit 2011/06/27 100,000,000 2010/10/20
25836 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Mar 2011 C 0.3 88.38 2011/03/14 120,000,000 2010/10/20
25837 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Mar 2011 D 0.28 90 2011/03/28 120,000,000 2010/10/20
25838 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Apr 2011 A 0.2 96 2011/04/06 120,000,000 2010/10/20
25839 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Apr 2011 B 0.27 93.88 2011/04/27 120,000,000 2010/10/20
25834 SGA Societe Generale Acceptance N.V. HSI Eur Wt Mar 2011 G 0.18 24,000 per 8,000 units 2011/03/30 300,000,000 2010/10/20
25835 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Mar 11H 0.15 21,800 per 8,000 units 2011/03/30 300,000,000 2010/10/20
25833 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Apr 2011 A 0.66 6 per unit 2011/04/20 120,000,000 2010/10/20
25840 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Apr 2011 B 0.47 6.50 per unit 2011/04/20 120,000,000 2010/10/20
25841 SGA Societe Generale Acceptance N.V. ICBC Eu Wt May 2011 A 0.35 7 per unit 2011/05/04 120,000,000 2010/10/20
25842 SGA Societe Generale Acceptance N.V. ICBC Eu Wt May 2011 B 0.25 7.50 per unit 2011/05/04 120,000,000 2010/10/20
25849 SGA Societe Generale Acceptance N.V. Petch Eu Wt Apr 2011B 0.6 11 per unit 2011/04/27 100,000,000 2010/10/20
25850 SGA Societe Generale Acceptance N.V. Petch Eu Wt Apr 2011C 0.4 11.88 per unit 2011/04/27 100,000,000 2010/10/20
25843 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Apr 2011A 0.6 160 2011/04/27 50,000,000 2010/10/20
25851 SGA Societe Generale Acceptance N.V. SHKP Eu Put Wt Jun 11 0.15 128 per 100 units 2011/06/27 300,000,000 2010/10/20
25852 SGA Societe Generale Acceptance N.V. SHKP Eu Put Wt Dec 11 0.18 122.50 per 100 units 2011/12/21 300,000,000 2010/10/20
25844 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Aug 11B 0.16 140.88 per 100 units 2011/08/24 300,000,000 2010/10/20
25845 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Dec 2011B 0.15 155 per 100 units 2011/12/19 300,000,000 2010/10/20
25883 UBS AG China Life European Warrants Feb 2011 C 0.15 39.38 2011/02/16 200,000,000 2010/10/20
25884 UBS AG Hutchison European Warrants Apr 2011 C 0.25 81.88 2011/04/21 100,000,000 2010/10/20
25885 UBS AG Tencent Holdings European Warrants Apr 2011 0.25 203.88 per 100 units 2011/04/21 100,000,000 2010/10/20
#
24204 CC Rabobank B.A. China Life European Warrants Feb 2011 A 0.196 37 2011/02/25 250,000,000 2010/10/20
#
24211 CC Rabobank B.A. Tencent Holdings European Put Wts Feb 11 0.063 160 per 100 units 2011/02/25 250,000,000 2010/10/20
#
20566 RB of Scotland N.V. Ch Comm Cons European Wts Jan 2011 0.052 8.008 2011/01/10 200,000,000 2010/10/20
25893 Barclays Bank plc BOCL European Warrants Jul 2011 0.25 5 per unit 2011/07/11 100,000,000 2010/10/21
25902 Barclays Bank plc BOCL European Put Warrants Jul 2011 0.26 3.88 per unit 2011/07/11 100,000,000 2010/10/21
25897 Barclays Bank plc Ch LongYuan European Warrants Dec 2011 0.25 8.88 2011/12/28 100,000,000 2010/10/21
25896 Barclays Bank plc China Overseas European Wts Jun 2011 0.25 19.88 2011/06/27 100,000,000 2010/10/21
25901 Barclays Bank plc CNBM European Warrants Jun 2011 B 0.25 23.88 2011/06/20 100,000,000 2010/10/21
25895 Barclays Bank plc Sinopec Corp European Wts May 2011 0.26 8.68 per unit 2011/05/23 100,000,000 2010/10/21
25894 Barclays Bank plc Jiangxi Copper European Warrants Jul 11 0.25 25 2011/07/18 100,000,000 2010/10/21
25899 Barclays Bank plc PICC P&C European Warrants Feb 2012 0.25 12.88 2012/02/06 100,000,000 2010/10/21
25898 Barclays Bank plc Yanzhou Coal European Warrants Jul 2011 0.25 25 2011/07/18 100,000,000 2010/10/21
25916 BOCI Asia Ltd. HSI European Warrants Apr 2011 0.25 24,600 per 8,000 units 2011/04/28 100,000,000 2010/10/21
25920 BOCI Asia Ltd. HSI European Put Warrants Apr 2011 0.25 22,400 per 8,000 units 2011/04/28 100,000,000 2010/10/21
25917 BOCI Asia Ltd. Hutchison European Warrants May 2011 0.25 98 2011/05/30 100,000,000 2010/10/21
25918 BOCI Asia Ltd. Ping An European Warrants Nov 2011 0.15 87.50 per 100 units 2011/11/04 300,000,000 2010/10/21
25919 BOCI Asia Ltd. Tencent Holdings European Warrants Jul 2011 0.25 205 per 100 units 2011/07/04 300,000,000 2010/10/21
25960 BNP Paribas Arbit Issu B.V. BYD European Warrants Dec 2013 0.25 58.88 per 100 units 2013/12/02 100,000,000 2010/10/21
25961 BNP Paribas Arbit Issu B.V. Ch LongYuan Euro Wts Dec 2012 0.25 8.18 2012/12/03 100,000,000 2010/10/21
25962 BNP Paribas Arbit Issu B.V. CRCC European Wts Aug 2012 0.25 11.28 2012/08/31 100,000,000 2010/10/21
25963 BNP Paribas Arbit Issu B.V. Dongfeng Motor European Wt Jul11 0.31 18.8 2011/07/04 100,000,000 2010/10/21
25906 Bank of China (HK) Ltd. China Life European Wts Apr 2011 A 0.396 33 2011/04/29 150,000,000 2010/10/21
25907 Bank of China (HK) Ltd. China Life European Wts Apr 2011 B 1.902 38 per unit 2011/04/29 31,000,000 2010/10/21
25908 Bank of China (HK) Ltd. HSBC European Warrants Apr 2011 A 0.552 84 2011/04/29 108,000,000 2010/10/21
25909 Bank of China (HK) Ltd. HSBC European Warrants Apr 2011 B 0.264 94 2011/04/29 227,000,000 2010/10/21
25946 Credit Suisse AG China EB Ltd European Warrants Feb 2011 0.15 22 2011/02/21 200,000,000 2010/10/21
25948 Credit Suisse AG China Tel European Warrants Jan 2011 0.15 4.99 per unit 2011/01/31 200,000,000 2010/10/21
25949 Credit Suisse AG China Tel European Warrants Mar 2011 0.25 4.51 per unit 2011/03/14 200,000,000 2010/10/21
25971 Credit Suisse AG China COSCO European Warrants Jul 2011 A 0.15 12 2011/07/18 300,000,000 2010/10/21
25951 Credit Suisse AG China Mobile European Warrants Feb 2011 B 0.15 96 2011/02/14 300,000,000 2010/10/21
25947 Credit Suisse AG Sinopec Corp European Warrants Apr 2011 A 0.25 8.088 per unit 2011/04/26 300,000,000 2010/10/21
25970 Credit Suisse AG CRCC European Warrants Jun 2011 0.15 10.9 2011/06/27 200,000,000 2010/10/21
25966 Credit Suisse AG Esprit European Warrants Feb 2011 0.15 52.9 2011/02/28 200,000,000 2010/10/21
25967 Credit Suisse AG HKEx European Warrants Apr 2011 F 0.25 190.88 per 100 units 2011/04/26 300,000,000 2010/10/21
25968 Credit Suisse AG HKEx European Warrants May 2011 B 0.25 203.88 per 100 units 2011/05/16 300,000,000 2010/10/21
25969 Credit Suisse AG HKEx European Warrants Jun 2011 D 0.25 218.88 per 100 units 2011/06/27 300,000,000 2010/10/21
25974 Credit Suisse AG HKEx European Put Warrants Apr 2011 G 0.25 178.88 per 100 units 2011/04/26 300,000,000 2010/10/21
25945 Credit Suisse Henderson Land European Warrants Feb 2011 0.15 58.9 2011/02/21 200,000,000 2010/10/21
25964 Credit Suisse AG HSCEI European Warrants Apr 2011 B 0.25 14,200 per 6,000 units 2011/04/28 300,000,000 2010/10/21
25973 Credit Suisse AG HSCEI European Put Warrants Apr 2011 0.15 12,250 per 6,000 units 2011/04/28 300,000,000 2010/10/21
25965 Credit Suisse AG Hutchison European Warrants Apr 2011 F 0.25 95.88 2011/04/26 300,000,000 2010/10/21
25950 Credit Suisse AG PetroChina European Warrants Apr 2011 C 0.25 11.98 per unit 2011/04/26 300,000,000 2010/10/21
25972 Credit Suisse AG European Warrants Jul 2011 0.15 12.1 2011/07/25 200,000,000 2010/10/21
25952 Citigroup Global Mkt H Inc. CITIC Pacific Eu Wt Jun 2011 0.25 22 2011/06/27 80,000,000 2010/10/21
25953 Citigroup Global Mkt H Inc. Yanzhou Coal European Wt Jun11B 0.25 26.88 2011/06/10 100,000,000 2010/10/21
25955 Deutsche Bank AG China Life European Warrants Feb 2011 C 0.15 40 2011/02/14 300,000,000 2010/10/21
25956 Deutsche Bank AG CNOOC European Put Warrants May 2011 0.25 15.88 2011/05/23 300,000,000 2010/10/21
25957 Deutsche Bank AG HKEx European Put Warrants May 2011 B 0.25 175 per 100 units 2011/05/23 300,000,000 2010/10/21
25958 Deutsche Bank AG HSBC European Warrants Feb 2011 B 0.24 92.88 2011/02/14 300,000,000 2010/10/21
25959 Deutsche Bank AG ICBC European Warrants Feb 2011 B 0.21 7 per unit 2011/02/14 300,000,000 2010/10/21
25991 Goldman Sachs SP (Asia) BOCL European Warrants May 2011 A 0.25 4.88 per unit 2011/05/03 200,000,000 2010/10/21
25992 Goldman Sachs SP (Asia) China Life Euro Wts Jul 2011 A 0.27 40 2011/07/04 200,000,000 2010/10/21
25990 Goldman Sachs SP (Asia) A50 China European Wts Jun 2011 0.15 15.18 2011/06/29 200,000,000 2010/10/21
25926 HK Bank Agile Ppt European Warrants Jun 2011 0.25 12.38 2011/06/15 100,000,000 2010/10/21
25932 HK Bank China Overseas European Warrants Sep 2011 0.25 20.88 2011/09/22 100,000,000 2010/10/21
25927 HK Bank CM Bank European Warrants Jun 2011 0.25 26.88 2011/06/28 150,000,000 2010/10/21
25928 HK Bank CNBM European Warrants Apr 2011 0.25 23.88 2011/04/21 100,000,000 2010/10/21
25938 HK Bank R&F Ppt European Warrants Nov 2011 0.25 15.38 2011/11/25 120,000,000 2010/10/21
25930 HK Bank HKEx European Warrants Nov 2011 C 0.25 208.88 per 100 units 2011/11/22 150,000,000 2010/10/21
25935 HK Bank HSI European Warrants Apr 2011 0.25 25,200 per 7,800 units 2011/04/28 250,000,000 2010/10/21
25936 HK Bank HSI European Warrants Jul 2011 A 0.25 26,800 per 8,000 units 2011/07/28 250,000,000 2010/10/21
25937 HK Bank HSI European Warrants Dec 2012 0.25 28,800 per 15,000 units 2012/12/28 300,000,000 2010/10/21
25940 HK Bank HSI European Put Warrants Apr 2011 0.25 23,800 per 10,000 units 2011/04/28 200,000,000 2010/10/21
25939 HK Bank Shimao Ppt European Warrants Oct 2011 0.25 17.88 2011/10/20 120,000,000 2010/10/21
25931 HK Bank Tencent European Warrants Jun 2011 B 0.25 220.18 per 100 units 2011/06/28 150,000,000 2010/10/21
25910 J P Morgan SP BV Anhui Conch European Warrants Jun 2011 A 0.25 40.88 2011/06/27 100,000,000 2010/10/21
25911 J P Morgan SP BV BOCL European Warrants Apr 2011 A 0.25 5 per unit 2011/04/21 150,000,000 2010/10/21
25933 J P Morgan SP BV China Life European Warrants Apr 2011 B 0.25 40 2011/04/21 200,000,000 2010/10/21
25912 J P Morgan SP BV CM Bank European Warrants Jun 2011 B 0.25 25.88 2011/06/29 150,000,000 2010/10/21
25934 J P Morgan SP BV HKEx European Warrants Jul 2011 B 0.25 200 per 100 units 2011/07/28 300,000,000 2010/10/21
25913 J P Morgan SP BV MTRC European Warrants Jun 2011 0.25 35 2011/06/27 80,000,000 2010/10/21
25914 J P Morgan SP BV New World Dev European Warrants Sep 2011 0.25 18.88 2011/09/26 188,000,000 2010/10/21
25915 J P Morgan SP BV PetroChina European Warrants Apr 2011 B 0.25 12 per unit 2011/04/21 80,000,000 2010/10/21
25975 KBC Fin Products Int’l Ltd. BankComm Euro Wts May 2011 0.25 11.68 per unit 2011/05/03 68,000,000 2010/10/21
25976 KBC Fin Products Int’l Ltd. China Life Euro Wts Apr 2011 D 0.25 39.18 2011/04/21 188,000,000 2010/10/21
25977 KBC Fin Products Int’l Ltd. China Life Euro Wts May 2011 C 0.25 40.88 2011/05/18 188,000,000 2010/10/21
25978 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Apr 2011 A 0.35 90.88 2011/04/21 128,000,000 2010/10/21
25979 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Apr 2011 B 0.25 98 2011/04/01 158,000,000 2010/10/21
25980 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Aug 2011 B 0.15 7.088 2011/08/01 128,000,000 2010/10/21
25981 KBC Fin Products Int’l Ltd. HKEx European Warrants Jul 11D 0.25 193.88 per 100 units 2011/07/15 108,000,000 2010/10/21
25982 KBC Fin Products Int’l Ltd. HSBC European Wts Apr 2011 B 0.3 90.88 2011/04/21 108,000,000 2010/10/21
25983 KBC Fin Products Int’l Ltd. HSBC European Wts May 2011 B 0.25 96.88 2011/05/03 128,000,000 2010/10/21
25984 KBC Fin Products Int’l Ltd. ICBC European Wts May 2011 A 0.25 7.68 per unit 2011/05/05 168,000,000 2010/10/21
25985 KBC Fin Products Int’l Ltd. Ping An European Wts May 2011B 0.37 96.88 2011/05/04 68,000,000 2010/10/21
25923 Macquarie Bank Ltd. Agile Ppt European Warrants Nov 2011 0.25 12.5 2011/11/29 150,000,000 2010/10/21
25941 Macquarie Bank Ltd. CHALCO European Warrants May 2011 0.554 10.28 per unit 2011/05/04 200,000,000 2010/10/21
25942 Macquarie Bank Ltd. Angang Steel European Wts Apr 2011 0.15 15.08 2011/04/04 400,000,000 2010/10/21
25924 Macquarie Bank Ltd. CPIC European Warrants May 2011 0.251 36 2011/05/30 150,000,000 2010/10/21
25943 Macquarie Bank Ltd. China Shenhua European Wts Jun 2011 0.254 44.88 2011/06/02 200,000,000 2010/10/21
25922 Macquarie Bank Ltd. HSCEI European Warrants May 2011 0.25 14,000 per 6,800 units 2011/05/30 200,000,000 2010/10/21
25921 Macquarie Bank Ltd. HSI European Warrants Apr 2011 A 0.25 25,000 per 8,000 units 2011/04/28 250,000,000 2010/10/21
25944 Macquarie Bank Ltd. Ping An European Warrants Nov 2011 0.151 87.50 per 100 units 2011/11/02 400,000,000 2010/10/21
25925 Macquarie Bank Ltd. Yurun Food European Warrants Apr 2011 0.25 40 2011/04/26 100,000,000 2010/10/21
25954 Macquarie Bank Ltd. Zijin Mining European Wts Sep 2011 0.251 8.88 2011/09/02 188,000,000 2010/10/21
25988 UBS AG China Mobile European Warrants May 2011 A 0.25 98.88 2011/05/23 200,000,000 2010/10/21
25987 UBS AG CC Bank European Warrants May 2011 A 0.25 8.88 per unit 2011/05/23 200,000,000 2010/10/21
25989 UBS AG HSBC European Warrants Apr 2011 A 0.25 99.88 2011/04/29 200,000,000 2010/10/21
25903 UBS AG HSI European Warrants May 2011 B 0.25 26,000 per 8,000 units 2011/05/30 200,000,000 2010/10/21
25904 UBS AG HSI European Put Warrants Mar 2011 E 0.15 23,700 per 10,500 units 2011/03/30 200,000,000 2010/10/21
25905 UBS AG HSI European Put Warrants Apr 2011 B 0.25 25,000 per 8,000 units 2011/04/28 200,000,000 2010/10/21
#
24488 UBS AG HSBC European Warrants Jan 2011 0.219 88.88 2011/01/31 200,000,000 2010/10/21
26000 Barclays Bank plc CC Bank European Warrants May 2011 0.25 8.88 per unit 2011/05/23 100,000,000 2010/10/22
26004 Barclays Bank plc CC Bank European Put Warrants May 2011 0.26 6.50 per unit 2011/05/23 100,000,000 2010/10/22
26003 Barclays Bank plc CM Bank European Warrants Jun 2011 0.25 26.88 2011/06/20 100,000,000 2010/10/22
26001 Barclays Bank plc HKEx European Warrants Oct 2011 A 0.25 208.88 per 100 units 2011/10/17 120,000,000 2010/10/22
26002 Barclays Bank plc ICBC European Warrants Jun 2011 0.25 7.88 per unit 2011/06/20 100,000,000 2010/10/22
26041 BOCI Asia Ltd. Belle Int’l European Warrants May 2011 B 0.25 17.5 2011/05/31 100,000,000 2010/10/22
26040 BOCI Asia Ltd. BankComm European Warrants Dec 2012 0.25 10 2012/12/31 100,000,000 2010/10/22
26061 BNP Paribas Arbit Issu B.V. BOCL European Wts May 2011 0.31 5.10 per unit 2011/05/03 100,000,000 2010/10/22
26062 BNP Paribas Arbit Issu B.V. CNOOC European Wts Jul 2011 0.25 18 2011/07/04 100,000,000 2010/10/22
26063 BNP Paribas Arbit Issu B.V. HKEx European Wts Jun 2011 B 0.25 200 per 100 units 2011/06/01 100,000,000 2010/10/22
26071 Credit Suisse AG BOCL European Warrants Apr 2011 A 0.15 4.88 per unit 2011/04/04 300,000,000 2010/10/22
26070 Credit Suisse AG BOCL European Warrants Feb 2011 B 0.2 4.68 per unit 2011/02/28 300,000,000 2010/10/22
26068 Credit Suisse AG CC Bank European Warrants Apr 2011 A 0.25 8.88 per unit 2011/04/26 300,000,000 2010/10/22
26064 Credit Suisse AG CC Bank European Warrants Jan 2011 B 0.15 7.99 per unit 2011/01/31 300,000,000 2010/10/22
26037 Credit Suisse AG China COSCO European Warrants Jul 2011 B 0.15 11.99 2011/07/18 200,000,000 2010/10/22
26036 Credit Suisse AG China Coal European Warrants Jul 2011 0.25 16.88 2011/07/11 200,000,000 2010/10/22
26066 Credit Suisse AG CITIC Bank European Warrants Mar 2011 0.2 6.39 per unit 2011/03/07 200,000,000 2010/10/22
26069 Credit Suisse AG CM Bank European Warrants May 2011 0.25 25.88 2011/05/30 300,000,000 2010/10/22
26034 Credit Suisse AG CNBM European Warrants Apr 2011 0.25 24.88 2011/04/26 200,000,000 2010/10/22
26038 Credit Suisse AG CNOOC European Warrants Apr 2011 C 0.25 17.28 2011/04/26 300,000,000 2010/10/22
26033 Credit Suisse AG Dongfeng Motor European Warrants Apr 2011 0.25 20.38 2011/04/26 200,000,000 2010/10/22
26067 Credit Suisse AG ICBC European Warrants Jan 2011 E 0.15 6.88 per unit 2011/01/24 300,000,000 2010/10/22
26065 Credit Suisse AG ICBC European Warrants Mar 2011 B 0.15 7.39 per unit 2011/03/28 300,000,000 2010/10/22
26032 Credit Suisse AG Jiangxi Copper European Wts Apr 2011 0.25 25.88 2011/04/26 200,000,000 2010/10/22
26039 Credit Suisse AG Jiangxi Copper European Put Wts Apr 2011B 0.25 20.88 2011/04/26 200,000,000 2010/10/22
26031 Credit Suisse AG KECL European Warrants Jun 2011 0.15 11.38 2011/06/27 200,000,000 2010/10/22
26035 Credit Suisse AG Yanzhou Coal European Warrants Apr 2011 B 0.25 25.28 2011/04/26 200,000,000 2010/10/22
26089 Citigroup Global Mkt H Inc. A50 China Euro Wts Sep 2011 A 0.25 14.48 2011/09/26 180,000,000 2010/10/22
26090 Citigroup Global Mkt H Inc. A50 China Euro Wts Dec 2011 0.25 14.88 2011/12/19 180,000,000 2010/10/22
26091 Citigroup Global Mkt H Inc. Henderson Land Dev Eur Wts Jun11 0.25 68.88 2011/06/07 80,000,000 2010/10/22
26028 Citigroup Global Mkt H Inc. Tencent European Warrants Jun11B 0.25 200.88 per 100 units 2011/06/27 100,000,000 2010/10/22
10014 Deutsche Bank AG AUD/USD European Put Warrants May 2011 0.28 0.91 per 1 units 2011/05/03 50,000,000 2010/10/22
26077 Deutsche Bank AG BOCL European Warrants Jan 2011 0.19 4.80 per unit 2011/01/31 200,000,000 2010/10/22
26050 Deutsche Bank AG CC Bank European Warrants Jan 2011 B 0.31 7.98 per unit 2011/01/31 200,000,000 2010/10/22
26078 Deutsche Bank AG CM Bank European Warrants Apr 2011 0.25 22.88 2011/04/18 200,000,000 2010/10/22
26051 Deutsche Bank AG Esprit European Warrants Apr 2011 B 0.39 48 2011/04/26 100,000,000 2010/10/22
26079 Deutsche Bank AG A50 China European Warrants Jun 2011 C 0.15 15.18 2011/06/27 200,000,000 2010/10/22
26021 Deutsche Bank AG HSI European Warrants Apr 2011 G 0.25 25,800 per 8,000 units 2011/04/28 300,000,000 2010/10/22
26052 Deutsche Bank AG Jiangxi Copper European Warrants Apr 11B 0.25 25 2011/04/26 100,000,000 2010/10/22
26080 Deutsche Bank AG PICC P&C European Warrants Jul 2011 B 0.17 12.08 2011/07/25 200,000,000 2010/10/22
26053 Deutsche Bank AG Ping An European Warrants Oct 2011 0.15 87.50 per 100 units 2011/10/31 200,000,000 2010/10/22
26054 Deutsche Bank AG SJM Holdings European Warrants May 2011 0.25 11 2011/05/23 100,000,000 2010/10/22
26042 Goldman Sachs SP (Asia) Sinopec Corp European Wts May 2011 0.34 8.68 per unit 2011/05/03 200,000,000 2010/10/22
26014 HK Bank ICBC European Warrants Feb 2011 0.15 7.08 per unit 2011/02/02 120,000,000 2010/10/22
26015 HK Bank ICBC European Warrants Apr 2011 0.25 7.68 per unit 2011/04/26 120,000,000 2010/10/22
26016 HK Bank SHK Ppt European Warrants Apr 2011 0.25 160 2011/04/26 120,000,000 2010/10/22
26017 HK Bank SHK Ppt European Put Warrants Jul 2011 0.35 118.8 2011/07/13 120,000,000 2010/10/22
26048 J P Morgan Int’l Der. Ltd. CC Bank European Wts Mar 2011 0.253 8.28 per unit 2011/03/28 100,000,000 2010/10/22
26049 J P Morgan SP BV HKEx European Put Wts Jun 2011 E 0.25 180 per 100 units 2011/06/29 200,000,000 2010/10/22
26022 J P Morgan SP BV HSBC European Warrants Apr 2011 A 0.25 98 2011/04/26 100,000,000 2010/10/22
26084 KBC Fin Products Int’l Ltd. CC Bank Euro Put Wts May 2011 0.25 6.58 per unit 2011/05/04 108,000,000 2010/10/22
26082 KBC Fin Products Int’l Ltd. Sinopec Euro Wts May 2011 A 0.31 8.18 per unit 2011/05/04 128,000,000 2010/10/22
26083 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jun 2011 B 0.15 15.188 2011/06/22 238,000,000 2010/10/22
26085 KBC Fin Products Int’l Ltd. HKEx European Put Wts May 2011 0.25 180 per 100 units 2011/05/05 108,000,000 2010/10/22
26086 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts Oct 2011 B 0.15 81.95 per 100 units 2011/10/17 108,000,000 2010/10/22
26088 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Apr 2011 D 0.25 24,000 per 8,800 units 2011/04/28 200,000,000 2010/10/22
26081 KBC Fin Products Int’l Ltd. HSI European Wts Apr 2011 B 0.25 24,600 per 8,800 units 2011/04/28 200,000,000 2010/10/22
26087 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Mar 2011 J 0.15 22,400 per 8,000 units 2011/03/30 200,000,000 2010/10/22
26046 Macquarie Bank Ltd. Fushan Energy European Warrants Apr 11 0.335 6.88 per unit 2011/04/04 88,000,000 2010/10/22
26045 Macquarie Bank Ltd. A50 China European Warrants Jun 2011 C 0.17 15.18 2011/06/29 300,000,000 2010/10/22
26044 Macquarie Bank Ltd. HSCEI European Put Warrants May 2011 0.25 13,200 per 7,500 units 2011/05/30 200,000,000 2010/10/22
26043 Macquarie Bank Ltd. HSI European Put Warrants Apr 2011 0.187 23,400 per 9,000 units 2011/04/28 250,000,000 2010/10/22
26047 Macquarie Bank Ltd. Jiangxi Copper European Wts May 2011 B 0.253 26.88 2011/05/04 250,000,000 2010/10/22
25995 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Jun 2011 C 0.154 15.19 2011/06/22 100,000,000 2010/10/22
25996 Merrill Lynch Int’l & Co. C.V. A50 China Eu Put Wt Apr 11C 0.157 13.99 2011/04/26 100,000,000 2010/10/22
25993 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Apr 2011 1.23 195 2011/04/29 50,000,000 2010/10/22
25994 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Jun 2011 D 0.163 164.99 per 100 units 2011/06/27 100,000,000 2010/10/22
25997 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Apr 11B 0.255 13,500 per 5,800 units 2011/04/28 100,000,000 2010/10/22
25998 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts May 2011 0.255 13,200 per 5,800 units 2011/05/30 100,000,000 2010/10/22
25999 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Apr11A 0.232 24,400 per 8,000 units 2011/04/28 150,000,000 2010/10/22
26025 CC Rabobank B.A. Ch Mobile European Warrants May 2011 A 0.25 98.88 2011/05/05 150,000,000 2010/10/22
26023 CC Rabobank B.A. China Life European Warrants Apr 2011 A 0.25 37.88 2011/04/28 200,000,000 2010/10/22
26024 CC Rabobank B.A. China Life European Warrants May 2011 A 0.25 40.88 2011/05/18 200,000,000 2010/10/22
26026 CC Rabobank B.A. Tencent Holdings European Wts Apr 2011 0.25 190 per 100 units 2011/04/28 200,000,000 2010/10/22
26027 CC Rabobank B.A. Tencent Holdings European Put Wts May 11 0.25 170 per 100 units 2011/05/27 200,000,000 2010/10/22
26073 RB of Scotland N.V. Ch Comm Cons European Wts Oct 2011 0.154 7.498 2011/10/26 200,000,000 2010/10/22
26072 RB of Scotland N.V. HSI European Warrants Apr 2011 C 0.264 24,200 per 8,000 units 2011/04/28 250,000,000 2010/10/22
26076 RB of Scotland N.V. HSI European Put Warrants Apr 2011 A 0.281 24,000 per 8,000 units 2011/04/28 250,000,000 2010/10/22
26074 RB of Scotland N.V. HWL European Warrants Mar 2011 0.261 88.888 2011/03/31 200,000,000 2010/10/22
26018 Standard Chartered Bank China Mobile European Wts Aug 11A 0.35 108 2011/08/29 100,000,000 2010/10/22
26029 Standard Chartered Bank China Life European Warrants Jul 11A 0.25 44.88 2011/07/28 100,000,000 2010/10/22
26030 Standard Chartered Bank A50 China European Warrants Sep 11 0.25 13.6 2011/09/20 200,000,000 2010/10/22
26019 Standard Chartered Bank ICBC European Warrants Apr 2011 0.25 8 per unit 2011/04/29 100,000,000 2010/10/22
26005 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Jun 2011 A 0.25 5.40 per unit 2011/06/27 200,000,000 2010/10/22
26006 SGA Societe Generale Acceptance N.V. CLife Eu Wt Apr 2011A 0.25 39.4 2011/04/27 300,000,000 2010/10/22
26007 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Apr 11D 0.17 108 2011/04/18 200,000,000 2010/10/22
26008 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt May 11B 0.25 9.88 per unit 2011/05/30 150,000,000 2010/10/22
26009 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Sep 2011 A 0.25 200 per 100 units 2011/09/26 300,000,000 2010/10/22
26010 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Mar 2012 0.25 220 per 100 units 2012/03/26 300,000,000 2010/10/22
26012 SGA Societe Generale Acceptance N.V. HKEx Eu Put Wt Jun 11 0.2 165 per 100 units 2011/06/29 200,000,000 2010/10/22
26013 SGA Societe Generale Acceptance N.V. HKEx Eu Put Wt Aug 11 0.15 150 per 100 units 2011/08/01 200,000,000 2010/10/22
26011 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2012 B 0.25 240 per 100 units 2012/06/25 300,000,000 2010/10/22
26055 UBS AG China Coal European Warrants Jun 2011 0.25 16.88 2011/06/27 100,000,000 2010/10/22
26056 UBS AG China Life European Warrants Jun 2011 A 0.25 43.38 2011/06/27 300,000,000 2010/10/22
26057 UBS AG HKEx European Warrants May 2011 E 0.25 218.88 per 100 units 2011/05/16 300,000,000 2010/10/22
26060 UBS AG HSI European Put Warrants May 2011 D 0.25 24,500 per 10,000 units 2011/05/30 200,000,000 2010/10/22
26058 UBS AG HSI European Warrants Apr 2011 D 0.25 25,000 per 8,000 units 2011/04/28 200,000,000 2010/10/22
26059 UBS AG HSI European Warrants Apr 2011 E 0.25 25,500 per 8,000 units 2011/04/28 200,000,000 2010/10/22
#
25145 Credit Suisse AG Hutchison European Warrants Feb 2011 C 0.88 73.9 2011/02/07 300,000,000 2010/10/22
26106 BNP Paribas Arbit Issu B.V. Agricultural Bank Eu Wt Jul 11 0.26 4.70 per unit 2011/07/04 100,000,000 2010/10/25
26107 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts May 2011 0.26 8.99 per unit 2011/05/04 100,000,000 2010/10/25
26108 BNP Paribas Arbit Issu B.V. Sinopec Corp Euro Wts May 2011 0.43 8.80 per unit 2011/05/04 100,000,000 2010/10/25
26109 BNP Paribas Arbit Issu B.V. PetroCh Euro Wts Nov 2011 0.15 10 2011/11/28 100,000,000 2010/10/25
26120 Credit Suisse AG A50 China European Put Warrants Apr 2011 0.15 13.98 2011/04/21 300,000,000 2010/10/25
26147 Citigroup Global Mkt H Inc. Agricultural Bk Eu Wt Mar 11B 0.15 4.48 per unit 2011/03/14 80,000,000 2010/10/25
26148 Citigroup Global Mkt H Inc. China Mobile Eur Wt Feb 2011 0.15 92.88 2011/02/22 100,000,000 2010/10/25
26144 Citigroup Global Mkt H Inc. ChiUnicom European Wts Nov 11 0.15 12.98 2011/11/30 100,000,000 2010/10/25
26145 Citigroup Global Mkt H Inc. Evergrande European Wts Apr11 0.25 4.48 per unit 2011/04/27 80,000,000 2010/10/25
26146 Citigroup Global Mkt H Inc. Ping An Euro Wts Apr 2011 0.5 88.88 2011/04/27 80,000,000 2010/10/25
26130 Deutsche Bank AG BOC HK European Warrants Apr 2011 C 0.15 30 2011/04/04 200,000,000 2010/10/25
26129 Deutsche Bank AG BOCL European Warrants Apr 2011 B 0.25 5.08 per unit 2011/04/26 150,000,000 2010/10/25
26116 Deutsche Bank AG China EB Ltd European Warrants Apr 2011 0.25 23 2011/04/26 100,000,000 2010/10/25
26115 Deutsche Bank AG Ch Comm Cons European Warrants Oct 2011 0.15 7.5 2011/10/31 150,000,000 2010/10/25
26131 Deutsche Bank AG CNBM European Warrants Jun 2011 0.25 22.5 2011/06/13 80,000,000 2010/10/25
26132 Deutsche Bank AG CPIC European Warrants Mar 2011 0.25 32.8 2011/03/28 100,000,000 2010/10/25
26117 Deutsche Bank AG China Shenhua European Warrants Apr 2011A 0.37 37 2011/04/26 100,000,000 2010/10/25
26133 Deutsche Bank AG Fushan Energy European Warrants Sep 2011 0.67 6 per unit 2011/09/05 80,000,000 2010/10/25
26118 Deutsche Bank AG Geely Auto European Warrants May 2011 A 0.55 4.60 per unit 2011/05/30 100,000,000 2010/10/25
26119 Deutsche Bank AG Ping An European Warrants May 2011 0.15 78.88 per 100 units 2011/05/16 150,000,000 2010/10/25
26093 J P Morgan SP BV Agricultural Bk European Warrants Mar 11 0.15 4.48 per unit 2011/03/14 150,000,000 2010/10/25
26094 J P Morgan SP BV BOCL European Warrants Apr 2011 B 0.25 5.38 per unit 2011/04/26 150,000,000 2010/10/25
26110 J P Morgan SP BV Sinopec Corp European Warrants Apr 2011 A 0.25 9 per unit 2011/04/26 80,000,000 2010/10/25
26098 J P Morgan SP BV Sinopec Corp European Warrants May 2012 0.15 7.81 2012/05/21 200,000,000 2010/10/25
26111 J P Morgan SP BV China Shenhua European Warrants Apr 2011B 0.25 43.88 2011/04/26 150,000,000 2010/10/25
26100 J P Morgan SP BV A50 China European Warrants Apr 2011 B 0.25 16.88 per unit 2011/04/26 80,000,000 2010/10/25
26101 J P Morgan SP BV A50 China European Warrants Oct 2011 0.15 17.4 2011/10/21 200,000,000 2010/10/25
26099 J P Morgan SP BV ICBC European Warrants Apr 2011 A 0.25 7.50 per unit 2011/04/26 100,000,000 2010/10/25
26112 J P Morgan SP BV JX Copper European Warrants Apr 2011 B 0.25 26.88 2011/04/26 120,000,000 2010/10/25
26113 J P Morgan SP BV Ping An European Warrants Oct 2011 0.15 87.50 per 100 units 2011/10/28 300,000,000 2010/10/25
26114 J P Morgan SP BV Yanzhou Coal European Warrants Apr 2011 B 0.25 26.88 2011/04/26 150,000,000 2010/10/25
26141 KBC Fin Products Int’l Ltd. BEA European Put Warrants Jun11 0.25 30.88 2011/06/15 58,000,000 2010/10/25
26142 KBC Fin Products Int’l Ltd. CPIC European Put Warrants May11 0.25 29.8 2011/05/17 88,000,000 2010/10/25
26139 KBC Fin Products Int’l Ltd. MTRC European Wts Jun 2011 0.25 34.88 2011/06/01 58,000,000 2010/10/25
26143 KBC Fin Products Int’l Ltd. MTRC European Put Warrants Jun11 0.25 26.8 2011/06/22 58,000,000 2010/10/25
26140 KBC Fin Products Int’l Ltd. Wharf European Put Wts Jun11 0.25 45 2011/06/17 58,000,000 2010/10/25
26092 Macquarie Bank Ltd. BOCL European Warrants Apr 2011 0.252 5.50 per unit 2011/04/26 150,000,000 2010/10/25
26096 Macquarie Bank Ltd. BOCL European Put Warrants Apr 2011 0.255 4 per unit 2011/04/26 100,000,000 2010/10/25
26134 RB of Scotland N.V. CC Bank European Warrants May 2011 A 0.423 8.38 per unit 2011/05/05 100,000,000 2010/10/25
26136 RB of Scotland N.V. CNOOC European Warrants Jun 2011 B 0.152 17.888 2011/06/20 200,000,000 2010/10/25
26135 RB of Scotland N.V. Sinopec Corp European Warrants May 11A 0.481 8.38 per unit 2011/05/04 100,000,000 2010/10/25
26137 RB of Scotland N.V. HKEx European Warrants Jun 2011 B 0.25 208.88 per 100 units 2011/06/07 200,000,000 2010/10/25
26138 RB of Scotland N.V. ICBC European Warrants Jun 2011 A 0.409 6.88 per unit 2011/06/07 100,000,000 2010/10/25
26102 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2011 C 0.25 23,600 per 8,000 units 2011/04/28 300,000,000 2010/10/25
26103 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2011 D 0.16 24,600 per 8,000 units 2011/04/28 300,000,000 2010/10/25
26104 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 11B 0.25 24,000 per 9,000 units 2011/04/28 300,000,000 2010/10/25
26105 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Jul 11 0.25 208 per 100 units 2011/07/18 150,000,000 2010/10/25
26122 UBS AG BOCL European Warrants May 2011 A 0.25 5 per unit 2011/05/11 200,000,000 2010/10/25
26128 UBS AG CM Bank European Warrants Jun 2011 0.25 26.38 2011/06/22 100,000,000 2010/10/25
26123 UBS AG China National Building European Warrants Apr 2011 0.25 25.88 2011/04/27 100,000,000 2010/10/25
26124 UBS AG CNOOC European Warrants Apr 2011 0.25 18.38 2011/04/27 100,000,000 2010/10/25
26125 UBS AG Dongfeng Motor European Warrants Apr 2011 0.25 20.88 2011/04/27 100,000,000 2010/10/25
26121 UBS AG Hutchison European Put Warrants Apr 2011 0.25 68.88 2011/04/27 100,000,000 2010/10/25
26126 UBS AG Jiangxi Copper European Warrants Jun 2011 A 0.25 26.88 2011/06/14 100,000,000 2010/10/25
26127 UBS AG Yanzhou Coal European Wts Apr 2011 0.25 26.38 2011/04/27 100,000,000 2010/10/25
#
20451 Macquarie Bank Ltd. China Unicom European Wts Dec 2010 A 0.084 11.5 2010/12/30 200,000,000 2010/10/25
#
21789 Credit Suisse AG A50 China European Warrants Jan 2011 A 0.059 14.98 2011/01/17 300,000,000 2010/10/25
#
23834 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Feb 2011 A 0.265 88.8 2011/02/08 100,000,000 2010/10/25
#
24081 UBS AG China Mobile European Warrants Feb 2011 B 0.204 93.88 2011/02/28 200,000,000 2010/10/25
#
22298 UBS AG HSI European Warrants Dec 2010 A 0.103 23,800 per 9,000 units 2010/12/30 200,000,000 2010/10/25
26181 BNP Paribas Arbit Issu B.V. C Transmission Euro Wts Nov11 0.25 22.88 2011/11/01 100,000,000 2010/10/26
26182 BNP Paribas Arbit Issu B.V. CPIC European Warrants Aug 11 0.25 36.88 2011/08/01 100,000,000 2010/10/26
26183 BNP Paribas Arbit Issu B.V. GCL-Poly Energy Euro Wts May11 0.3 2.86 per unit 2011/05/03 100,000,000 2010/10/26
26184 BNP Paribas Arbit Issu B.V. Shanghai Electric Eu Wts Jul13 0.25 4.5 2013/07/02 100,000,000 2010/10/26
26168 Citigroup Global Mkt H Inc. CM Bank European Wts Apr 2011 0.25 24.48 2011/04/28 100,000,000 2010/10/26
26167 Citigroup Global Mkt H Inc. Cathay Pacific Eur Wt May 11B 0.25 23.88 2011/05/25 80,000,000 2010/10/26
26169 Citigroup Global Mkt H Inc. CPIC European Warrants Jun 11 0.25 35.88 2011/06/07 80,000,000 2010/10/26
26192 Deutsche Bank AG Bank of EA European Warrants Apr 2011 0.25 37 2011/04/26 100,000,000 2010/10/26
26185 Deutsche Bank AG BOCL European Warrants Feb 2011 0.27 4.68 per unit 2011/02/21 200,000,000 2010/10/26
26188 Deutsche Bank AG China Unicom European Warrants Aug 2011 0.15 12 2011/08/22 150,000,000 2010/10/26
26190 Deutsche Bank AG CITIC Pacific European Warrants May 2011 0.25 21 2011/05/23 80,000,000 2010/10/26
26186 Deutsche Bank AG China Mobile European Warrants Apr 2011 B 0.25 102 2011/04/26 200,000,000 2010/10/26
26189 Deutsche Bank AG COSCO Pacific European Warrants Jul 2011 0.17 13.2 2011/07/25 100,000,000 2010/10/26
26187 Deutsche Bank AG Sinopec Corp European Warrants Oct 2011 0.16 6.2 2011/10/03 150,000,000 2010/10/26
26191 Deutsche Bank AG PetroChina European Warrants May 2011 B 0.39 12 per unit 2011/05/09 150,000,000 2010/10/26
26170 Goldman Sachs SP (Asia) HKEx European Warrants Oct 2011 0.17 200 per 100 units 2011/10/04 200,000,000 2010/10/26
26171 HK Bank BOCL European Warrants Apr 2011 0.25 5.28 per unit 2011/04/26 100,000,000 2010/10/26
26173 HK Bank CC Bank European Warrants Apr 2011 0.25 9 per unit 2011/04/26 100,000,000 2010/10/26
26174 HK Bank CC Bank European Warrants Oct 2015 0.25 9.38 2015/10/19 200,000,000 2010/10/26
26175 HK Bank CC Bank European Put Warrants Apr 2011 0.25 6.68 per unit 2011/04/26 100,000,000 2010/10/26
26172 HK Bank Ch Comm Cons European Warrants Apr 2011 0.25 9.38 per unit 2011/04/26 80,000,000 2010/10/26
26176 HK Bank Minsheng Bank European Warrants Apr 2011 0.25 8.60 per unit 2011/04/26 80,000,000 2010/10/26
26179 HK Bank CNOOC European Put Warrants Aug 2011 0.25 14.5 2011/08/18 120,000,000 2010/10/26
26177 HK Bank Sinopec Corp European Warrants Apr 2011 0.25 8.38 per unit 2011/04/26 100,000,000 2010/10/26
26178 HK Bank Sinopec Corp European Warrants Oct 2015 0.25 9.5 2015/10/19 200,000,000 2010/10/26
26195 KBC Fin Products Int’l Ltd. BOCL European Wts May 2011 A 0.25 5.28 per unit 2011/05/04 158,000,000 2010/10/26
26199 KBC Fin Products Int’l Ltd. Ch COSCO Euro Put Wts Aug11 0.25 9.78 2011/08/15 58,000,000 2010/10/26
26200 KBC Fin Products Int’l Ltd. China Life Eur Put Wt May 11B 0.25 33 2011/05/18 128,000,000 2010/10/26
26201 KBC Fin Products Int’l Ltd. Minsheng Bank Eu Put Wts May11 0.25 6.38 per unit 2011/05/17 58,000,000 2010/10/26
26205 KBC Fin Products Int’l Ltd. CNOOC Euro Put Wts Jun 2011 B 0.15 14.78 2011/06/10 88,000,000 2010/10/26
26202 KBC Fin Products Int’l Ltd. Sinopec Corp Eu Put Wt May 11 0.25 6.68 per unit 2011/05/13 80,000,000 2010/10/26
26203 KBC Fin Products Int’l Ltd. China Shenhua Eu Put Wts Jun11 0.25 32.8 2011/06/15 58,000,000 2010/10/26
26204 KBC Fin Products Int’l Ltd. R&F Ppt Euro Put Wts Jun11 0.25 11.38 2011/06/23 58,000,000 2010/10/26
26197 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Apr 2011 A 0.25 13,800 per 6,800 units 2011/04/28 100,000,000 2010/10/26
26206 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Apr 2011 0.25 13,600 per 6,800 units 2011/04/28 100,000,000 2010/10/26
26198 KBC Fin Products Int’l Ltd. HSI European Wts Apr 2011 C 0.25 25,200 per 8,500 units 2011/04/28 200,000,000 2010/10/26
26207 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Apr 2011 E 0.27 24,800 per 8,000 units 2011/04/28 200,000,000 2010/10/26
26196 KBC Fin Products Int’l Ltd. PetroChina Euro Wts May 2011 B 0.25 12.08 per unit 2011/05/03 128,000,000 2010/10/26
26161 Macquarie Bank Ltd. CM Bank European Warrants Jun 2011 0.255 27 2011/06/02 250,000,000 2010/10/26
26165 Macquarie Bank Ltd. CM Bank European Put Warrants Jun 2011 0.349 22 2011/06/02 250,000,000 2010/10/26
26160 Macquarie Bank Ltd. Ch Ship Cont European Warrants May 11 0.251 3.98 per unit 2011/05/04 100,000,000 2010/10/26
26162 Macquarie Bank Ltd. HKEx European Warrants Aug 2011 B 0.25 218.88 per 100 units 2011/08/02 300,000,000 2010/10/26
26164 Macquarie Bank Ltd. HKEx European Put Warrants May 2011 B 0.33 180 per 100 units 2011/05/04 300,000,000 2010/10/26
26180 Macquarie Bank Ltd. Jiangxi Copper European Put Wts Jun11 0.255 20 2011/06/02 200,000,000 2010/10/26
26163 Macquarie Bank Ltd. Sinopharm European Warrants Jun 2011 0.25 38.88 2011/06/02 200,000,000 2010/10/26
26150 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Mar 2011 A 0.465 85.89 2011/03/15 100,000,000 2010/10/26
26149 Merrill Lynch Int’l & Co. C.V. Ch Life Eur Put Wt Apr 2011 0.285 33.88 2011/04/28 100,000,000 2010/10/26
26153 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 11C 0.15 17.89 2011/06/20 100,000,000 2010/10/26
26152 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Mar 2011 0.59 7.69 per unit 2011/03/31 100,000,000 2010/10/26
26154 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts May 2011 D 0.15 184.89 per 100 units 2011/05/06 100,000,000 2010/10/26
26155 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jul 2011 B 0.152 198.89 per 100 units 2011/07/20 100,000,000 2010/10/26
26156 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Feb 2011 C 0.155 92.89 2011/02/10 100,000,000 2010/10/26
26159 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May11A 0.15 24,800 per 8,000 units 2011/05/30 150,000,000 2010/10/26
26157 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Feb 2011 0.196 7.09 per unit 2011/02/07 100,000,000 2010/10/26
26158 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Mar 2011B 0.365 6.69 per unit 2011/03/01 100,000,000 2010/10/26
26193 Standard Chartered Bank HSBC European Warrants Jun 2011 A 0.265 108 2011/06/28 100,000,000 2010/10/26
#
23333 UBS AG China Life European Warrants Jan 2011 A 0.07 41.88 2011/01/10 300,000,000 2010/10/26
26208 Barclays Bank plc Bank of EA European Warrants May 2011 0.25 38.88 2011/05/30 100,000,000 2010/10/27
26209 Barclays Bank plc China Mobile European Wts Jun 2011 0.25 98.88 2011/06/07 100,000,000 2010/10/27
26211 Barclays Bank plc CNOOC European Put Warrants Jun 2011 B 0.15 15.38 2011/06/20 100,000,000 2010/10/27
26212 Barclays Bank plc ICBC European Put Warrants Apr 2011 0.25 5.50 per unit 2011/04/18 100,000,000 2010/10/27
26210 Barclays Bank plc SHK Ppt European Put Warrants Dec 2011 0.15 122.50 per 100 units 2011/12/28 120,000,000 2010/10/27
26215 BOCI Asia Ltd. CC Bank European Warrants Apr 2011 0.275 8.88 per unit 2011/04/26 100,000,000 2010/10/27
26216 BOCI Asia Ltd. CC Bank European Put Warrants Mar 2011 B 0.15 7.99 2011/03/28 100,000,000 2010/10/27
26228 Credit Suisse AG China Life European Warrants Feb 2011 D 0.15 39.45 2011/02/21 300,000,000 2010/10/27
26213 Citigroup Global Mkt H Inc. Bank of EA European Wts May 11 0.25 38.88 2011/05/09 80,000,000 2010/10/27
26214 Citigroup Global Mkt H Inc. Henganintl European Wts Jun12B 0.15 78.88 per 100 units 2012/06/22 80,000,000 2010/10/27
26221 Deutsche Bank AG CITIC Bank European Warrants Mar 2011 B 0.28 6.38 per unit 2011/03/07 100,000,000 2010/10/27
26225 Deutsche Bank AG CITIC Pacific European Warrants Jun 2011 0.25 25 2011/06/07 80,000,000 2010/10/27
26222 Deutsche Bank AG China Life European Warrants May 2011 A 0.25 43 2011/05/16 400,000,000 2010/10/27
26223 Deutsche Bank AG Ch LongYuan European Warrants Dec 2011 B 0.15 8.88 2011/12/19 80,000,000 2010/10/27
26224 Deutsche Bank AG CPIC European Warrants May 2011 0.25 36 2011/05/17 80,000,000 2010/10/27
26226 Deutsche Bank AG Gome European Warrants Mar 2011 0.27 3 per unit 2011/03/14 80,000,000 2010/10/27
26227 Deutsche Bank AG MTRC European Warrants May 2011 B 0.25 33 2011/05/30 80,000,000 2010/10/27
26218 Goldman Sachs SP (Asia) Sinopec Corp European Wts Apr 2011 0.49 8.28 per unit 2011/04/28 200,000,000 2010/10/27
26230 KBC Fin Products Int’l Ltd. China Life Euro Wts May 2011 D 0.25 36.98 2011/05/17 188,000,000 2010/10/27
26231 KBC Fin Products Int’l Ltd. China Life Euro Wts May 2011 E 0.25 42.88 2011/05/16 188,000,000 2010/10/27
26194 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Dec 2011 0.17 14,250 per 8,000 units 2011/12/29 100,000,000 2010/10/27
26217 Standard Chartered Bank A50 China European Warrants Oct 11 0.15 17.38 2011/10/28 200,000,000 2010/10/27
26229 UBS AG China Life European Warrants Apr 2011 A 0.25 38.68 2011/04/27 300,000,000 2010/10/27
26220 UBS AG China Mobile European Warrants Apr 2011 B 0.3 90.88 2011/04/19 200,000,000 2010/10/27
26219 UBS AG A50 China European Warrants Oct 2011 0.15 17.38 2011/10/24 300,000,000 2010/10/27
#
25753 Credit Suisse AG HKEx European Warrants May 2011 A 0.158 184.88 per 100 units 2011/05/16 300,000,000 2010/10/27
26238 Citigroup Global Mkt H Inc. HSCEI European Wts May 2011 0.25 13,600 per 6,000 units 2011/05/30 80,000,000 2010/10/28
26242 Citigroup Global Mkt H Inc. HSCEI Euro Put Wts May 2011 0.25 13,000 per 6,000 units 2011/05/30 80,000,000 2010/10/28
26247 Deutsche Bank AG CM Bank European Warrants Jun 2011 0.17 25.88 2011/06/27 150,000,000 2010/10/28
26248 Deutsche Bank AG Lenovo European Warrants May 2011 0.39 6.20 per unit 2011/05/03 100,000,000 2010/10/28
26249 Deutsche Bank AG PetroChina European Warrants Nov 2011 0.15 10 2011/11/14 200,000,000 2010/10/28
26237 J P Morgan SP BV China Life European Warrants Apr 2011 C 0.25 42.88 2011/04/28 200,000,000 2010/10/28
26243 KBC Fin Products Int’l Ltd. Ch Comm Cons Eur Put Wt Jun 11 0.25 9.18 2011/06/08 68,000,000 2010/10/28
26241 KBC Fin Products Int’l Ltd. China Coal Euro Put Wts Jun11 0.25 13.38 2011/06/15 68,000,000 2010/10/28
26244 Macquarie Bank Ltd. China Life European Wts Apr 2011 0.251 43 2011/04/29 350,000,000 2010/10/28
26245 Macquarie Bank Ltd. China Life European Put Wts Jun 2011 0.334 32.88 2011/06/03 350,000,000 2010/10/28
26246 Macquarie Bank Ltd. Minsheng Bank European Warrants Feb11B 0.157 8.49 per unit 2011/02/22 100,000,000 2010/10/28
26232 CC Rabobank B.A. Agricultural Bk European Warrants Apr 11 0.25 4.70 per unit 2011/04/28 150,000,000 2010/10/28
26233 CC Rabobank B.A. CC Bank European Warrants Mar 2011 0.37 8.29 per unit 2011/03/28 150,000,000 2010/10/28
26234 CC Rabobank B.A. Huaneng Power European Warrants Mar 2011 0.161 5.50 per unit 2011/03/02 75,000,000 2010/10/28
26235 CC Rabobank B.A. Hutchison European Warrants May 2011 B 0.51 90 2011/05/16 150,000,000 2010/10/28
26236 CC Rabobank B.A. Jiangxi Copper European Warrants Apr 2011 0.25 24.4 2011/04/28 75,000,000 2010/10/28
26239 UBS AG Alibaba European Warrants May 2011 A 0.25 16.88 2011/05/17 100,000,000 2010/10/28
26240 UBS AG Ping An European Warrants Apr 2011 0.25 98.88 2011/04/28 100,000,000 2010/10/28
#
21789 Credit Suisse AG A50 China European Warrants Jan 2011 A 0.059 14.98 2011/01/17 500,000,000 2010/10/28
#
25480 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 D 0.163 92.7 2011/02/14 180,000,000 2010/10/28
26272 Credit Suisse AG BOCL European Warrants Apr 2011 B 0.25 5.328 per unit 2011/04/29 300,000,000 2010/10/29
26271 Credit Suisse AG CPIC European Warrants Feb 2011 B 0.15 37.98 2011/02/21 300,000,000 2010/10/29
26269 Credit Suisse AG Hutchison European Warrants May 2011 A 0.25 102.88 2011/05/30 300,000,000 2010/10/29
26268 Credit Suisse AG Hutchison European Warrants Mar 2012 A 0.25 78.88 per 100 units 2012/03/26 300,000,000 2010/10/29
26270 Credit Suisse AG Sinopharm European Warrants Mar 2011 0.15 33.98 2011/03/14 200,000,000 2010/10/29
26253 Citigroup Global Mkt H Inc. CHALCO European Warrants Apr11 0.25 10.38 per unit 2011/04/29 80,000,000 2010/10/29
26254 Citigroup Global Mkt H Inc. Minsheng Bank Euro Wts Jun 11 0.25 8.48 per unit 2011/06/20 80,000,000 2010/10/29
26255 Citigroup Global Mkt H Inc. CNBM European Warrants Apr 11 0.15 24.88 2011/04/15 100,000,000 2010/10/29
26256 Citigroup Global Mkt H Inc. Geely Auto European Wts Jul11 0.25 5 per unit 2011/07/18 80,000,000 2010/10/29
26257 Citigroup Global Mkt H Inc. Hutchison Euro Wts May 2011 0.25 99 2011/05/30 80,000,000 2010/10/29
26258 Citigroup Global Mkt H Inc. Swrie Pacific A Euro Wts Mar12 0.25 122.88 per 100 units 2012/03/28 80,000,000 2010/10/29
26266 Deutsche Bank AG BBMG European Warrants Dec 2011 0.25 14 2011/12/28 80,000,000 2010/10/29
26267 Deutsche Bank AG China Railway European Warrants Oct 2011 0.15 6.15 2011/10/11 80,000,000 2010/10/29
26264 Goldman Sachs SP (Asia) China Life Euro Wts Feb 2011 0.19 38.88 2011/02/21 200,000,000 2010/10/29
26265 Goldman Sachs SP (Asia) China Life Euro Wts Jun 2011 A 0.25 42 2011/06/13 200,000,000 2010/10/29
26275 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Apr 2011 C 0.25 93.98 2011/04/15 128,000,000 2010/10/29
26276 Macquarie Bank Ltd. CRCC European Warrants Aug 2011 0.151 11.86 2011/08/15 200,000,000 2010/10/29
26277 Standard Chartered Bank BOCL European Warrants Apr 2011 0.25 5.30 per unit 2011/04/29 100,000,000 2010/10/29
26278 Standard Chartered Bank CC Bank European Warrants Apr 2011 0.265 8.99 per unit 2011/04/29 100,000,000 2010/10/29
26259 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011D 0.15 40.7 2011/02/07 300,000,000 2010/10/29
26260 SGA Societe Generale Acceptance N.V. CLife Eu Wt Apr 2011B 0.48 33.95 2011/04/06 300,000,000 2010/10/29
26261 SGA Societe Generale Acceptance N.V. CLife Eu Wt Apr 2011C 0.4 35.65 2011/04/20 300,000,000 2010/10/29
26262 SGA Societe Generale Acceptance N.V. CLife Eu Wt May 2011A 0.25 41.4 2011/05/18 300,000,000 2010/10/29
26263 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 A 0.17 184.88 per 100 units 2011/05/09 300,000,000 2010/10/29
26251 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Feb 2011 B 0.21 7.08 per unit 2011/02/09 120,000,000 2010/10/29
26252 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Mar 2011 B 0.27 7 per unit 2011/03/07 120,000,000 2010/10/29
26274 UBS AG Hutchison European Warrants Oct 2012 0.25 108.88 per 100 units 2012/10/22 500,000,000 2010/10/29
26308 HK Bank AIA European Warrants Sep 2011 0.25 24.88 2011/09/15 160,000,000 2010/10/29
26306 HK Bank AIA European Warrants Apr 2011 A 0.25 21.88 2011/04/29 160,000,000 2010/10/29
26307 HK Bank AIA European Warrants Apr 2011 B 0.25 22.88 2011/04/29 160,000,000 2010/10/29
26309 KBC Fin Products Int’l Ltd. AIA European Put Warrants Apr11 0.25 19.8 2011/04/29 188,000,000 2010/10/29
26303 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11A 0.25 19.68 2011/04/29 208,000,000 2010/10/29
26304 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11B 0.25 21.88 2011/04/29 208,000,000 2010/10/29
26305 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11C 0.25 23.98 2011/04/29 188,000,000 2010/10/29
26302 CC Rabobank B.A. AIA European Warrants Jul 2011 0.31 25 2011/07/28 150,000,000 2010/10/29
26300 CC Rabobank B.A. AIA European Warrants May 2011 A 0.34 21 2011/05/06 150,000,000 2010/10/29
26301 CC Rabobank B.A. AIA European Warrants May 2011 B 0.33 23 2011/05/30 150,000,000 2010/10/29
#
20573 Macquarie Bank Ltd. HSBC European Warrants Dec 2010 C 0.043 90 2010/12/02 300,000,000 2010/10/29
#
22849 SGA Societe Generale Acceptance N.V. BYD Euro Wts May 2011 0.079 60.88 per 100 units 2011/05/23 200,000,000 2010/10/29
26284 BOCI Asia Ltd. WISE CSI European Warrants May 2011 0.25 44 2011/05/16 100,000,000 2010/11/01
26281 BOCI Asia Ltd. Dongfeng Motor European Warrants Jun 2011 0.25 21.28 2011/06/07 100,000,000 2010/11/01
26285 BOCI Asia Ltd. A50 China European Warrants Jun 2011 B 0.15 15.2 2011/06/29 100,000,000 2010/11/01
26282 BOCI Asia Ltd. HKEx European Warrants Nov 2011 0.25 208 per 100 units 2011/11/07 300,000,000 2010/11/01
26283 BOCI Asia Ltd. HKEx European Put Warrants Jul 2011 0.25 165 per 100 units 2011/07/04 300,000,000 2010/11/01
26288 BNP Paribas Arbit Issu B.V. Air China Euro Wts Jan 2012 0.27 13.28 2012/01/03 100,000,000 2010/11/01
26289 BNP Paribas Arbit Issu B.V. BYD European Warrants May 2011 0.54 68.88 2011/05/03 100,000,000 2010/11/01
26290 BNP Paribas Arbit Issu B.V. HKEx European Wts Oct 2011 0.25 210 per 100 units 2011/10/04 100,000,000 2010/11/01
26287 Deutsche Bank AG Tencent Holdings European Warrants Apr11C 0.15 198 per 100 units 2011/04/04 300,000,000 2010/11/01
10015 Deutsche Bank AG USD/YEN European Warrants May 2011 0.25 85 per 1 units 2011/05/16 50,000,000 2010/11/01
10019 Deutsche Bank AG USD/YEN European Put Warrants May 2011 0.25 76 per 1 units 2011/05/16 50,000,000 2010/11/01
26279 Macquarie Bank Ltd. Geely Auto European Warrants May 2011B 0.366 5 per unit 2011/05/03 200,000,000 2010/11/01
26280 Macquarie Bank Ltd. Geely Auto European Warrants May 2011C 0.255 5.50 per unit 2011/05/03 200,000,000 2010/11/01
26286 Macquarie Bank Ltd. PICC P&C European Warrants Nov 2011 0.251 15 2011/11/02 188,000,000 2010/11/01
26291 Macquarie Bank Ltd. Yanzhou Coal European Wts Jun 2011 B 0.25 32 2011/06/15 150,000,000 2010/11/01
26295 CC Rabobank B.A. China Coal European Warrants Jun 2011 B 0.183 16.88 2011/06/27 138,000,000 2010/11/01
26296 CC Rabobank B.A. China Shenhua European Warrants Jun 2011 0.33 40.8 2011/06/10 80,000,000 2010/11/01
26298 CC Rabobank B.A. Sino Biopharm European Warrants May 2011 0.42 3.80 per unit 2011/05/30 80,000,000 2010/11/01
26297 CC Rabobank B.A. Sinopharm European Warrants May 2011 0.43 32.8 2011/05/30 80,000,000 2010/11/01
26299 CC Rabobank B.A. Yanzhou Coal European Warrants Jun 2011 0.255 26.88 2011/06/10 85,000,000 2010/11/01
26294 RB of Scotland N.V. Cheung Kong European Warrants Oct 2012 0.166 130.08 per 100 units 2012/10/09 200,000,000 2010/11/01
26292 UBS AG CPIC European Warrants May 2011 A 0.25 37.38 2011/05/17 100,000,000 2010/11/01
26293 UBS AG A50 China European Warrants Sep 2011 0.15 16.88 2011/09/22 300,000,000 2010/11/01
#
25770 KBC Fin Products Int’l Ltd. HKEx European Warrants May 11 0.18 178 per 100 units 2011/05/05 200,000,000 2010/11/01
#
25780 UBS AG HKEx European Warrants Jun 2011 B 0.099 203.88 per 100 units 2011/06/14 300,000,000 2010/11/01
#
22298 UBS AG HSI European Warrants Dec 2010 A 0.068 23,800 per 9,000 units 2010/12/30 400,000,000 2010/11/01
26313 Barclays Bank plc Agricultural Bk European Put Wts Jul 11 0.25 3.60 per unit 2011/07/11 100,000,000 2010/11/02
26310 Barclays Bank plc China Life European Warrants Jun 2011 0.25 40 2011/06/20 120,000,000 2010/11/02
26314 Barclays Bank plc China Life European Put Wts Jun 2011 0.25 32 2011/06/20 120,000,000 2010/11/02
26311 Barclays Bank plc Hutchison European Warrants Mar 2012 0.25 78.88 per 100 units 2012/03/26 200,000,000 2010/11/02
26320 BNP Paribas Arbit Issu B.V. Chi Res Land Euro Wts Aug 11 0.25 16.9 2011/08/01 100,000,000 2010/11/02
26321 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Aug 2012 0.25 15.9 2012/08/01 100,000,000 2010/11/02
26325 Credit Suisse AG Sinopec Corp European Warrants May 2011 A 0.25 8.78 per unit 2011/05/03 300,000,000 2010/11/02
26326 Credit Suisse AG China Shenhua European Warrants Apr 2011A 0.15 38.9 2011/04/11 200,000,000 2010/11/02
26323 Credit Suisse AG A50 China European Warrants Jun 2011 D 0.15 15.2 2011/06/27 300,000,000 2010/11/02
26324 Credit Suisse AG A50 China European Warrants Sep 2011 A 0.15 16.9 2011/09/27 300,000,000 2010/11/02
26327 Credit Suisse AG Sinopharm European Warrants Feb 2011 0.15 35 2011/02/14 200,000,000 2010/11/02
26340 Citigroup Global Mkt H Inc. BOCL European Wts Jun 2011 0.25 5 per unit 2011/06/07 80,000,000 2010/11/02
26341 Citigroup Global Mkt H Inc. China Agri European Wts Oct 11 0.25 12.88 2011/10/31 80,000,000 2010/11/02
26342 Citigroup Global Mkt H Inc. China Life Euro Wts May 2011 0.25 38.8 2011/05/30 120,000,000 2010/11/02
26318 Citigroup Global Mkt H Inc. China Shenhua Eur Wts May 2011 0.25 44.88 2011/05/26 100,000,000 2010/11/02
26343 Citigroup Global Mkt H Inc. Fushan Energy Euro Wt May 2011 0.25 6.99 per unit 2011/05/03 75,000,000 2010/11/02
26322 Citigroup Global Mkt H Inc. A50 China Euro Wts Jun 2011 B 0.15 15.188 2011/06/22 120,000,000 2010/11/02
26344 Citigroup Global Mkt H Inc. Greatwall Motor Euro Wts May11 0.25 28.88 2011/05/30 80,000,000 2010/11/02
26345 Citigroup Global Mkt H Inc. SPDR Gold T European Wts Sep11 0.25 1,118 per 100 units 2011/09/05 80,000,000 2010/11/02
26328 Deutsche Bank AG Belle Int’l European Warrants Feb 2011 0.15 15 2011/02/28 80,000,000 2010/11/02
26330 Deutsche Bank AG A50 China European Warrants Oct 2011 0.15 17.38 2011/10/24 200,000,000 2010/11/02
26329 Deutsche Bank AG Geely Auto European Warrants May 2011 B 0.64 5.20 per unit 2011/05/03 80,000,000 2010/11/02
10016 Deutsche Bank AG Gold European Put Warrants May 2011 0.25 1,268 per 4,000 units 2011/05/24 50,000,000 2010/11/02
26335 J P Morgan SP BV CHALCO European Warrants May 2011 0.25 8.88 per unit 2011/05/03 80,000,000 2010/11/02
26319 J P Morgan SP BV Dongfeng Motor European Warrants May 2011 0.25 21 2011/05/03 100,000,000 2010/11/02
26336 J P Morgan SP BV Hutchison European Warrants May 2011 0.25 100 2011/05/03 80,000,000 2010/11/02
26316 Macquarie Bank Ltd. China Bluechem European Warrants Jun12 0.25 7.5 2012/06/04 88,000,000 2010/11/02
26315 Macquarie Bank Ltd. A50 China European Warrants Sep 2011 0.15 16.88 2011/09/23 300,000,000 2010/11/02
26317 Macquarie Bank Ltd. China Mengniu European Wts Jul 2011 0.15 30 2011/07/18 188,000,000 2010/11/02
26338 RB of Scotland N.V. Sinopec Corp European Warrants Aug 11 0.15 7.088 2011/08/01 400,000,000 2010/11/02
26337 RB of Scotland N.V. A50 China European Warrants Jun 2011 B 0.15 15.188 2011/06/22 250,000,000 2010/11/02
10017 RB of Scotland N.V. Gold European Warrants May 2011 0.254 1,433 per 5,000 units 2011/05/31 100,000,000 2010/11/02
26339 RB of Scotland N.V. HSI European Put Warrants Apr 2011 B 0.228 23,300 per 8,000 units 2011/04/28 250,000,000 2010/11/02
26331 UBS AG BOCL European Warrants Apr 2011 0.15 5.38 per unit 2011/04/18 100,000,000 2010/11/02
26332 UBS AG BYD European Warrants May 2011 B 0.25 58.88 2011/05/17 100,000,000 2010/11/02
26333 UBS AG Sinopec Corp European Warrants Apr 2011 B 0.15 8.88 per unit 2011/04/13 100,000,000 2010/11/02
26334 UBS AG ICBC European Warrants Mar 2011 A 0.15 7.40 per unit 2011/03/23 100,000,000 2010/11/02
#
24864 KBC Fin Products Int’l Ltd. Ping An Euro Put Wts Mar 2011 0.117 62.88 2011/03/15 90,000,000 2010/11/02
#
21861 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jan 11B 0.035 15 2011/01/12 300,000,000 2010/11/02
#
23638 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 11A 0.239 11.88 2011/06/08 250,000,000 2010/11/02
26356 BOCI Asia Ltd. BYD European Warrants Dec 2011 0.15 51.88 per 100 units 2011/12/05 300,000,000 2010/11/03
26357 BOCI Asia Ltd. China Coal European Warrants Oct 2011 0.25 18.28 2011/10/03 100,000,000 2010/11/03
26358 BOCI Asia Ltd. China Shenhua European Warrants Jul 2011 A 0.25 48.88 2011/07/04 100,000,000 2010/11/03
26360 BOCI Asia Ltd. Nine Dragons European Warrants Oct 2011 0.25 15.88 2011/10/10 100,000,000 2010/11/03
26361 BOCI Asia Ltd. Sinopharm European Warrants Jun 2011 0.25 40 2011/06/03 100,000,000 2010/11/03
26359 BOCI Asia Ltd. Yurun Food European Warrants Jun 2011 A 0.25 42.88 2011/06/30 100,000,000 2010/11/03
26362 Citigroup Global Mkt H Inc. BYD European Warrants May 2011 0.25 53.88 2011/05/11 100,000,000 2010/11/03
26347 Citigroup Global Mkt H Inc. A50 China Euro Wts Oct 2011 0.15 17.38 2011/10/21 120,000,000 2010/11/03
26350 Citigroup Global Mkt H Inc. PetroChina Euro Wts Nov 2011 0.15 10 2011/11/14 100,000,000 2010/11/03
26348 Macquarie Bank Ltd. Bank of EA European Warrants Jun 2011 0.25 42 2011/06/29 150,000,000 2010/11/03
26349 Macquarie Bank Ltd. CPIC European Warrants Jun 2011 0.251 40 2011/06/29 150,000,000 2010/11/03
26351 CC Rabobank B.A. CPIC European Warrants May 2011 B 0.3 36 2011/05/20 88,000,000 2010/11/03
26352 CC Rabobank B.A. China Ship Dev European Warrants May 2011 0.25 13.6 2011/05/05 168,000,000 2010/11/03
26353 CC Rabobank B.A. Dongfeng Motor European Warrants May 2011 0.27 20.4 2011/05/13 120,000,000 2010/11/03
26354 CC Rabobank B.A. Fushan Energy European Warrants Jun 2011 0.55 6.20 per unit 2011/06/01 60,000,000 2010/11/03
26355 CC Rabobank B.A. Geely Auto European Warrants May 2011 B 0.72 5.20 per unit 2011/05/16 60,000,000 2010/11/03
26346 Standard Chartered Bank Sinopec Corp European Wts May 2011 0.405 9.10 per unit 2011/05/03 100,000,000 2010/11/03
26363 SGA Societe Generale Acceptance N.V. HWL Eur Wt May 2011 A 0.26 103.9 2011/05/30 200,000,000 2010/11/03
26365 UBS AG BYD European Warrants Jun 2011 0.25 46.88 2011/06/14 100,000,000 2010/11/03
26364 UBS AG BYD European Warrants Oct 2011 0.25 40 per 100 units 2011/10/17 200,000,000 2010/11/03
26366 UBS AG China Life European Warrants Feb 2011 D 0.2 35.08 2011/02/28 200,000,000 2010/11/03
#
20626 Macquarie Bank Ltd. HSBC European Warrants Apr 2011 0.027 88 per 100 units 2011/04/11 400,000,000 2010/11/03
#
26305 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11C 0.199 23.98 2011/04/29 250,000,000 2010/11/03
#
26301 CC Rabobank B.A. AIA European Warrants May 2011 B 0.242 23 2011/05/30 350,000,000 2010/11/03
#
21522 CC Rabobank B.A. Minsheng Bank European Warrants Mar 2011 0.05 9.08 2011/03/23 300,000,000 2010/11/03
#
25479 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2011 B 0.232 160.09 per 100 units 2011/06/01 200,000,000 2010/11/03
26374 BOCI Asia Ltd. CITBK European Warrants May 2011 0.255 6.88 per unit 2011/05/04 100,000,000 2010/11/04
26375 BOCI Asia Ltd. Sinopec Corp European Warrants May 2012 0.15 7.8 2012/05/28 100,000,000 2010/11/04
26376 BOCI Asia Ltd. PetroChina European Warrants Nov 2011 0.15 10 2011/11/24 100,000,000 2010/11/04
26368 Credit Suisse AG A50 China European Warrants Mar 2011 0.15 14 2011/03/28 300,000,000 2010/11/04
26369 Merrill Lynch Int’l & Co. C.V. BOCL European Wts Apr 2011B 0.15 5.29 per unit 2011/04/19 70,000,000 2010/11/04
26370 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt May 2011 A 0.152 42.99 2011/05/09 100,000,000 2010/11/04
26373 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts Apr 2011 0.25 178.87 per 100 units 2011/04/19 100,000,000 2010/11/04
26371 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts May 2011 E 0.15 208.89 per 100 units 2011/05/31 100,000,000 2010/11/04
26372 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2011 E 0.155 218.89 per 100 units 2011/06/21 100,000,000 2010/11/04
#
10991 Deutsche Bank AG Nikkei 225 Index European Wts Mar 2011 0.185 9,000 per 400 units 2011/03/11 100,000,000 2010/11/04
#
26307 HK Bank AIA European Warrants Apr 2011 B 0.233 22.88 2011/04/29 200,000,000 2010/11/04
#
25022 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Feb 2011 A 0.139 90.89 2011/02/15 100,000,000 2010/11/04
#
23096 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jan 11B 0.191 86 2011/01/24 100,000,000 2010/11/04
26395 BNP Paribas Arbit Issu B.V. BOCL European Wts Aug 2011 A 0.26 5.60 per unit 2011/08/01 100,000,000 2010/11/05
26396 BNP Paribas Arbit Issu B.V. China Coal Euro Wts Sep 2011 0.25 14.88 2011/09/01 100,000,000 2010/11/05
26397 BNP Paribas Arbit Issu B.V. China Life Euro Wts Sep 2011 0.25 42.88 2011/09/01 100,000,000 2010/11/05
26398 BNP Paribas Arbit Issu B.V. Yanzhou Coal Euro Wts Aug 2011 0.27 26.28 2011/08/01 100,000,000 2010/11/05
26394 Citigroup Global Mkt H Inc. CMOC European Warrants Dec 11 0.25 8.28 2011/12/19 80,000,000 2010/11/05
26387 Deutsche Bank AG China Overseas European Warrants Mar 2011 0.2 16 2011/03/07 80,000,000 2010/11/05
26388 Deutsche Bank AG HKEx European Warrants May 2011 D 0.15 190.88 per 100 units 2011/05/03 300,000,000 2010/11/05
26389 Deutsche Bank AG Maanshan Iron European Warrants May 2011 0.6 4.80 per unit 2011/05/30 80,000,000 2010/11/05
26390 Deutsche Bank AG Sinopharm European Warrants May 2011 0.45 30 2011/05/09 80,000,000 2010/11/05
26393 Goldman Sachs SP (Asia) HSBC European Warrants Mar 2011 A 0.3 88.38 2011/03/14 200,000,000 2010/11/05
26382 HK Bank Dongfeng Motor European Warrants Apr 2011 0.15 20.38 2011/04/15 120,000,000 2010/11/05
26383 HK Bank Geely Auto European Warrants May 2011 0.25 5.50 per unit 2011/05/05 100,000,000 2010/11/05
26384 HK Bank KECL European Warrants May 2011 0.25 12.88 per unit 2011/05/05 100,000,000 2010/11/05
26385 HK Bank Shanghai Electric European Warrants Jun 2011 0.25 6.08 per unit 2011/06/16 100,000,000 2010/11/05
26386 HK Bank ZTE European Warrants Sep 2011 0.25 38.88 2011/09/23 120,000,000 2010/11/05
26392 J P Morgan SP BV Cheung Kong European Warrants Apr 2012 0.25 120.88 per 100 units 2012/04/30 200,000,000 2010/11/05
26401 KBC Fin Products Int’l Ltd. AIA European Warrants Jun 2011 0.25 28 2011/06/01 238,000,000 2010/11/05
26404 KBC Fin Products Int’l Ltd. AIA European Put Warrants May11 0.25 21.68 2011/05/09 188,000,000 2010/11/05
26399 KBC Fin Products Int’l Ltd. AIA European Warrants May 11A 0.25 25.18 2011/05/09 238,000,000 2010/11/05
26400 KBC Fin Products Int’l Ltd. AIA European Warrants May 11B 0.25 26.68 2011/05/18 238,000,000 2010/11/05
26377 Macquarie Bank Ltd. Avichina European Warrants May 2011 0.261 5 per unit 2011/05/30 120,000,000 2010/11/05
26378 Macquarie Bank Ltd. Greatwall Motor European Warrants May11 0.251 30 2011/05/30 250,000,000 2010/11/05
26379 Macquarie Bank Ltd. LOccitane European Warrants May 2011 0.254 28.88 2011/05/30 250,000,000 2010/11/05
26380 Macquarie Bank Ltd. Sands China European Warrants May 2011 0.25 20 2011/05/30 200,000,000 2010/11/05
26402 CC Rabobank B.A. AIA European Warrants May 2011 C 0.25 27 2011/05/06 500,000,000 2010/11/05
26403 CC Rabobank B.A. China Oilfield European Warrants May 2011 0.25 14.4 2011/05/30 150,000,000 2010/11/05
26405 CC Rabobank B.A. Renhe Comm European Warrants Jun 2011 0.25 1.70 per unit 2011/06/29 120,000,000 2010/11/05
26406 CC Rabobank B.A. Tsingtao Brew European Warrants May 2011 0.49 48 2011/05/13 100,000,000 2010/11/05
26407 CC Rabobank B.A. Wynn Macau European Warrants May 2011 0.25 19.6 2011/05/30 120,000,000 2010/11/05
26381 Standard Chartered Bank China Life European Warrants Aug 11 0.285 40.88 2011/08/30 100,000,000 2010/11/05
#
19804 Citigroup Global Mkt H Inc. CNPC European Warrants Feb 11 0.046 10.88 2011/02/14 218,000,000 2010/11/05
#
26302 CC Rabobank B.A. AIA European Warrants Jul 2011 0.218 25 2011/07/28 350,000,000 2010/11/05
#
23662 CC Rabobank B.A. KECL European Warrants Jun 2011 0.066 11.4 2011/06/29 170,000,000 2010/11/05
26408 HK Bank AIA European Warrants May 2011 0.25 26.88 2011/05/09 250,000,000 2010/11/08
26409 HK Bank AIA European Warrants Jun 2011 0.25 28.88 2011/06/08 250,000,000 2010/11/08
26412 HK Bank AIA European Put Warrants May 2011 0.25 20.88 2011/05/09 200,000,000 2010/11/08
26425 Macquarie Bank Ltd. Ch Molybdenum European Wts May 2011 0.25 9.28 2011/05/27 150,000,000 2010/11/08
26429 CC Rabobank B.A. AIA European Put Warrants May 2011 D 0.25 21 2011/05/09 280,000,000 2010/11/08
26430 CC Rabobank B.A. AIA European Put Warrants May 2011 E 0.33 23 2011/05/09 280,000,000 2010/11/08
26426 CC Rabobank B.A. China Coal European Warrants May 2011 0.25 14.3 2011/05/24 150,000,000 2010/11/08
26427 CC Rabobank B.A. Sands China European Warrants May 2011 0.25 18.4 2011/05/30 138,000,000 2010/11/08
26428 CC Rabobank B.A. SJM Holdings European Warrants May 2011 0.25 12.8 2011/05/24 180,000,000 2010/11/08
26416 SGA Societe Generale Acceptance N.V. BOCHK Eur Wt Apr 2011 0.16 27 2011/04/11 100,000,000 2010/11/08
26417 SGA Societe Generale Acceptance N.V. BOCHK Eur Wt Jul 2011 0.15 30.88 2011/07/04 100,000,000 2010/11/08
26418 SGA Societe Generale Acceptance N.V. BOCHK Eur Wt Aug 2011 0.17 28.88 2011/08/22 100,000,000 2010/11/08
26419 SGA Societe Generale Acceptance N.V. CTel Eu Wt May 2011 0.15 4.88 per unit 2011/05/16 80,000,000 2010/11/08
26413 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Apr 11B 0.17 13.28 2011/04/11 300,000,000 2010/11/08
26420 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt May 11B 0.17 14 2011/05/04 300,000,000 2010/11/08
26421 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jun 11C 0.15 15.18 2011/06/29 300,000,000 2010/11/08
26414 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Dec 11A 0.19 14.88 2011/12/14 300,000,000 2010/11/08
26415 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Dec 11B 0.2 14.28 2011/12/21 300,000,000 2010/11/08
26411 SGA Societe Generale Acceptance N.V. HSBC Eu Wt May 11C 0.37 86.5 2011/05/25 120,000,000 2010/11/08
26422 UBS AG BankComm European Warrants Apr 2011 0.3 10 per unit 2011/04/08 100,000,000 2010/11/08
26423 UBS AG Minsheng Bank European Warrants Apr 2011 0.15 8.60 per unit 2011/04/18 100,000,000 2010/11/08
26424 UBS AG HKEx European Warrants May 2011 F 0.25 195.88 per 100 units 2011/05/23 300,000,000 2010/11/08
#
23999 J P Morgan SP BV ICBC European Warrants Feb 2011 0.275 7.08 per unit 2011/02/10 200,000,000 2010/11/08
#
26305 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11C 0.178 23.98 2011/04/29 370,000,000 2010/11/08
#
24900 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Feb 11J 0.054 22,100 per 10,000 units 2011/02/25 300,000,000 2010/11/08
26439 BNP Paribas Arbit Issu B.V. Chaoda Modern Euro Wts Nov 12 0.25 6.88 2012/11/01 100,000,000 2010/11/09
26454 BNP Paribas Arbit Issu B.V. Ch Southern Air Euro Wts Jun13 0.25 6.23 2013/06/03 100,000,000 2010/11/09
26449 Credit Suisse AG Agricultural Bank European Wts Apr 2011 C 0.15 4.59 per unit 2011/04/26 300,000,000 2010/11/09
26450 Citigroup Global Mkt H Inc. Alibaba European Warrants May 11 0.15 16.88 2011/05/17 80,000,000 2010/11/09
26451 Citigroup Global Mkt H Inc. Cheung Kong Eu Put Wt Nov 2011 0.18 123.99 per 100 units 2011/11/11 80,000,000 2010/11/09
26452 Citigroup Global Mkt H Inc. CNOOC European Wts Jul 2011 0.25 18.88 2011/07/25 100,000,000 2010/11/09
26453 Citigroup Global Mkt H Inc. Jiangxi Copper Euro Wts Jun 11 0.25 24.88 2011/06/20 80,000,000 2010/11/09
26433 Citigroup Global Mkt H Inc. Li & Fung European Wts May 11B 0.25 50 2011/05/09 80,000,000 2010/11/09
26445 Goldman Sachs SP (Asia) CC Bank European Wts Apr 2011 0.45 8.28 per unit 2011/04/04 200,000,000 2010/11/09
26446 Goldman Sachs SP (Asia) CC Bank European Wts May 2011A 0.38 8.80 per unit 2011/05/16 200,000,000 2010/11/09
26448 Goldman Sachs SP (Asia) HSI European Put Wts Apr 2011 A 0.177 23,000 per 8,500 units 2011/04/28 200,000,000 2010/11/09
26447 Goldman Sachs SP (Asia) HSI European Warrants Mar 2011 E 0.175 24,000 per 8,000 units 2011/03/30 200,000,000 2010/11/09
26436 J P Morgan SP BV HSI European Warrants May 2011 0.25 23,500 per 8,000 units 2011/05/30 200,000,000 2010/11/09
26440 J P Morgan SP BV HSI European Put Warrants May 2011 0.25 23,500 per 10,000 units 2011/05/30 200,000,000 2010/11/09
26435 J P Morgan SP BV ICBC European Warrants May 2011 0.253 7.08 per unit 2011/05/09 120,000,000 2010/11/09
26434 J P Morgan SP BV ICBC European Warrants Apr 2011 B 0.369 6.50 per unit 2011/04/13 120,000,000 2010/11/09
26432 Macquarie Bank Ltd. Ch Oilfield European Warrants Jun 2011 0.25 15 2011/06/02 200,000,000 2010/11/09
26437 Macquarie Bank Ltd. C Transmission European Warrants Aug11 0.254 20 2011/08/01 200,000,000 2010/11/09
26441 Macquarie Bank Ltd. CITIC Pacific European Warrants Jun 11 0.25 25 2011/06/02 200,000,000 2010/11/09
26438 Macquarie Bank Ltd. Evergrande European Warrants May 2011 0.25 4.50 per unit 2011/05/30 88,000,000 2010/11/09
26431 Standard Chartered Bank Tencent Hldg European Wts Oct 2011 0.27 208 per 100 units 2011/10/04 100,000,000 2010/11/09
26442 UBS AG China Mobile European Warrants Mar 2011 A 0.25 85 2011/03/24 200,000,000 2010/11/09
26443 UBS AG HSBC European Warrants Apr 2011 B 0.3 84 2011/04/19 200,000,000 2010/11/09
26444 UBS AG Hutchison European Warrants Jun 2011 A 0.25 94.88 2011/06/14 200,000,000 2010/11/09
#
25032 Credit Suisse AG China Mobile European Warrants Jan 2011 A 0.231 86.9 2011/01/31 300,000,000 2010/11/09
#
26308 HK Bank AIA European Warrants Sep 2011 0.222 24.88 2011/09/15 250,000,000 2010/11/09
#
25325 KBC Fin Products Int’l Ltd. HSBC European Wts Feb 2011 B 0.325 88.9 2011/02/08 180,000,000 2010/11/09
#
23887 UBS AG China Mobile European Warrants Feb 2011 A 0.227 88 2011/02/14 200,000,000 2010/11/09
26494 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Mar 2011 0.19 93 2011/03/28 100,000,000 2010/11/10
26495 BNP Paribas Arbit Issu B.V. ICBC European Wts May 2011 0.2 8.01 per unit 2011/05/04 100,000,000 2010/11/10
26504 BNP Paribas Arbit Issu B.V. ICBC European Wts Jul 2011 0.32 7.60 per unit 2011/07/04 100,000,000 2010/11/10
26498 Credit Suisse AG Agricultural Bank European Wts Apr 2011 D 0.15 4.91 per unit 2011/04/11 300,000,000 2010/11/10
26501 Credit Suisse AG HSI European Warrants Apr 2011 D 0.15 25,100 per 8,500 units 2011/04/28 300,000,000 2010/11/10
26496 Credit Suisse AG HSI European Put Warrants Apr 2011 B 0.15 23,900 per 9,000 units 2011/04/28 300,000,000 2010/11/10
26497 Credit Suisse AG HSI European Put Warrants Apr 2011 C 0.23 24,900 per 8,000 units 2011/04/28 300,000,000 2010/11/10
26503 Citigroup Global Mkt H Inc. SHK Ppt European Wts Aug 2011B 0.18 140.88 per 100 units 2011/08/24 80,000,000 2010/11/10
26499 Deutsche Bank AG ICBC European Warrants May 2011 0.22 8 per unit 2011/05/03 300,000,000 2010/11/10
26457 HK Bank Ch Ship Cont European Warrants Jun 2011 B 0.25 4.38 per unit 2011/06/16 80,000,000 2010/11/10
26462 HK Bank HSI European Put Warrants May 2011 E 0.25 22,300 per 8,500 units 2011/05/30 250,000,000 2010/11/10
26456 HK Bank HSI European Warrants May 2011 B 0.25 24,600 per 8,000 units 2011/05/30 250,000,000 2010/11/10
26458 HK Bank Jiangxi Copper European Warrants May 2011 B 0.25 27.28 2011/05/20 120,000,000 2010/11/10
26459 HK Bank PetroChina European Warrants Apr 2011 0.25 12 per unit 2011/04/14 120,000,000 2010/11/10
26460 HK Bank PICC European Warrants Jul 2011 C 0.25 13.88 2011/07/28 100,000,000 2010/11/10
26461 HK Bank Renhe Comm European Warrants Oct 2011 0.25 1.88 per unit 2011/10/20 80,000,000 2010/11/10
26505 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Apr 11D 0.15 4.90 per unit 2011/04/07 198,000,000 2010/11/10
26506 KBC Fin Products Int’l Ltd. ICBC Euro Put Wts May 2011 0.25 6.18 per unit 2011/05/11 88,000,000 2010/11/10
26491 Macquarie Bank Ltd. ICBC European Warrants Jul 2011 A 0.269 7.80 per unit 2011/07/05 150,000,000 2010/11/10
26455 Macquarie Bank Ltd. Sino Land European Warrants Jul 2011 0.25 20 2011/07/04 200,000,000 2010/11/10
26468 CC Rabobank B.A. CHALCO European Warrants May 2011 0.43 9.80 per unit 2011/05/23 50,000,000 2010/11/10
26463 CC Rabobank B.A. Shineway Pharm European Warrants May 2011 0.37 31.2 2011/05/18 100,000,000 2010/11/10
26469 CC Rabobank B.A. Ch Zhongwang European Warrants May 2011 0.53 5.40 per unit 2011/05/23 70,000,000 2010/11/10
26470 CC Rabobank B.A. GCL-Poly Energy European Wts Jun 2011 A 0.31 2.80 per unit 2011/06/17 120,000,000 2010/11/10
26464 CC Rabobank B.A. Lee & Man Paper European Warrants Jun 12 0.25 7.4 2012/06/28 300,000,000 2010/11/10
26465 CC Rabobank B.A. Shimao Ppt European Warrants Oct 2011 0.25 14.8 2011/10/28 150,000,000 2010/11/10
26471 CC Rabobank B.A. Sino Ocean Land European Warrants Jul 12 0.25 5.6 2012/07/30 300,000,000 2010/11/10
26466 CC Rabobank B.A. Yuexiu Property European Warrants Jun 11 0.25 2.40 per unit 2011/06/29 120,000,000 2010/11/10
26467 CC Rabobank B.A. Zhaojin Mining European Warrants May 2011 0.34 28.8 2011/05/20 120,000,000 2010/11/10
26472 CC Rabobank B.A. Zijin Mining European Warrants Oct 2011 0.25 8.3 2011/10/03 280,000,000 2010/11/10
26500 RB of Scotland N.V. Sinopec Corp European Warrants May 11B 0.277 9.18 per unit 2011/05/11 100,000,000 2010/11/10
26473 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Mar 2011 0.21 4.48 per unit 2011/03/14 200,000,000 2010/11/10
26474 SGA Societe Generale Acceptance N.V. CHALCO Eu Wt Jul 2011 0.15 7.38 2011/07/04 400,000,000 2010/11/10
26475 SGA Societe Generale Acceptance N.V. CITBK Euro Wt May 11 0.5 6.78 per unit 2011/05/11 50,000,000 2010/11/10
26477 SGA Societe Generale Acceptance N.V. CLife Eu Wt Apr 2011D 0.17 43 2011/04/20 300,000,000 2010/11/10
26478 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jun 2011A 0.25 40 2011/06/20 300,000,000 2010/11/10
26479 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jul 11 A 0.18 44.88 2011/07/25 300,000,000 2010/11/10
26476 SGA Societe Generale Acceptance N.V. CMB Euro Wts May 2011 0.25 25.88 2011/05/11 200,000,000 2010/11/10
26480 SGA Societe Generale Acceptance N.V. CPIC Euro Wts Jun 11A 0.25 36.88 2011/06/01 100,000,000 2010/11/10
26481 SGA Societe Generale Acceptance N.V. Esprit Euro Wts May11 0.25 51.88 2011/05/11 80,000,000 2010/11/10
26483 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Apr 2011 B 0.15 190.88 per 100 units 2011/04/27 300,000,000 2010/11/10
26485 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Jun 2011A 0.15 108 2011/06/22 200,000,000 2010/11/10
26484 SGA Societe Generale Acceptance N.V. HSBC Eu Wt May 2011 D 0.4 85.88 2011/05/11 200,000,000 2010/11/10
26482 SGA Societe Generale Acceptance N.V. HSI Eur Wt Apr 2011 E 0.15 25,200 per 7,800 units 2011/04/28 300,000,000 2010/11/10
26486 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Mar 2011 C 0.22 7.40 per unit 2011/03/23 120,000,000 2010/11/10
26487 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Apr 2011 C 0.15 8 per unit 2011/04/20 120,000,000 2010/11/10
26488 SGA Societe Generale Acceptance N.V. JIANC Eu Wts May 2011 0.26 27.88 2011/05/11 200,000,000 2010/11/10
26489 SGA Societe Generale Acceptance N.V. Sinopharm Eu Wts May11 0.26 36.88 2011/05/11 60,000,000 2010/11/10
26490 SGA Societe Generale Acceptance NV Zijin Mining Eu Wt Aug 11 0.15 8.88 2011/08/31 300,000,000 2010/11/10
26493 UBS AG SHK Ppt European Warrants Dec 2011 0.15 155.08 per 100 units 2011/12/19 100,000,000 2010/11/10
#
25755 Credit Suisse AG Tencent Holdings European Wts Apr 2011 B 0.114 197.90 per 100 units 2011/04/04 300,000,000 2010/11/10
#
26304 KBC Fin Products Int’l Ltd. AIA European Warrants Apr 11B 0.3 21.88 2011/04/29 200,000,000 2010/11/10
26527 Barclays Bank plc Agricultural Bank European Wts Jul 2011B 0.25 5.08 per unit 2011/07/18 100,000,000 2010/11/11
26528 Barclays Bank plc Sinopec Corp European Wts May 2012 0.15 7.8 2012/05/21 150,000,000 2010/11/11
26530 Barclays Bank plc Sinopec Corp European Put Wts Jul 2011 0.37 6.58 per unit 2011/07/04 100,000,000 2010/11/11
26526 Barclays Bank plc HSI European Warrants May 2011 0.25 25,900 per 8,000 units 2011/05/30 150,000,000 2010/11/11
26524 Barclays Bank plc HSI European Warrants Apr 2011 K 0.16 25,000 per 9,000 units 2011/04/28 150,000,000 2010/11/11
26525 Barclays Bank plc HSI European Warrants Apr 2011 L 0.16 25,500 per 8,000 units 2011/04/28 150,000,000 2010/11/11
26531 Barclays Bank plc HSI European Put Warrants May 2011 A 0.25 23,900 per 8,500 units 2011/05/30 150,000,000 2010/11/11
26532 Barclays Bank plc HSI European Put Warrants May 2011 B 0.25 24,400 per 9,000 units 2011/05/30 150,000,000 2010/11/11
26529 Barclays Bank plc Tencent Holdings European Warrants Sep 11 0.25 213.88 per 100 units 2011/09/12 150,000,000 2010/11/11
26533 Barclays Bank plc Tencent Holdings European Put Wts Sep11B 0.25 170 per 100 units 2011/09/12 150,000,000 2010/11/11
26563 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Nov 2012 0.27 128.88 per 100 units 2012/11/01 100,000,000 2010/11/11
26564 BNP Paribas Arbit Issu B.V. HSI European Wts Oct 2011 0.26 24,500 per 10,000 units 2011/10/28 100,000,000 2010/11/11
26565 BNP Paribas Arbit Issu B.V. HSI European Wts Nov 2011 0.26 26,800 per 8,000 units 2011/11/29 100,000,000 2010/11/11
26566 BNP Paribas Arbit Issu B.V. HSI Euro Put Wts Jun 2011 0.25 23,000 per 10,000 units 2011/06/29 100,000,000 2010/11/11
26543 Credit Suisse AG China Mobile European Warrants Mar 2011A 0.15 92.98 2011/03/14 300,000,000 2010/11/11
26544 Credit Suisse AG China Mobile European Warrants Apr 2011 A 0.15 98.9 2011/04/29 300,000,000 2010/11/11
26550 Deutsche Bank AG CITIC Bank European Warrants May 2011 0.35 7 per unit 2011/05/11 80,000,000 2010/11/11
26551 Deutsche Bank AG HSBC European Warrants Feb 2011 C 0.19 94.88 2011/02/21 300,000,000 2010/11/11
26552 Deutsche Bank AG HSBC European Warrants Feb 2011 D 0.15 100 2011/02/28 300,000,000 2010/11/11
26553 Deutsche Bank AG HSBC European Warrants Jun 2011 B 0.22 108 2011/06/21 300,000,000 2010/11/11
26562 Deutsche Bank AG HSI European Warrants May 2011 C 0.25 26,600 per 8,000 units 2011/05/30 300,000,000 2010/11/11
26554 Deutsche Bank AG SJM Holdings European Warrants Jun 2011 B 0.25 13.2 2011/06/07 80,000,000 2010/11/11
26547 Goldman Sachs SP (Asia) HSI European Put Wts May 2011 C 0.25 24,000 per 8,000 units 2011/05/30 200,000,000 2010/11/11
26545 Goldman Sachs SP (Asia) HSI European Put Wts Mar 2011 F 0.155 23,600 per 10,500 units 2011/03/30 200,000,000 2010/11/11
26546 Goldman Sachs SP (Asia) HSI European Put Wts Apr 2011 B 0.26 24,600 per 8,000 units 2011/04/28 200,000,000 2010/11/11
26534 HK Bank Agricultural Bank European Warrants Feb 2011 0.15 4.69 per unit 2011/02/25 120,000,000 2010/11/11
26535 HK Bank HWL European Warrants Oct 2012 0.15 108.88 per 100 units 2012/10/16 200,000,000 2010/11/11
26536 J P Morgan SP BV Minsheng Bank European Warrants Feb 2011 0.15 8.28 per unit 2011/02/21 100,000,000 2010/11/11
26537 J P Morgan SP BV ICBC European Warrants Apr 2011 C 0.15 8 per unit 2011/04/21 200,000,000 2010/11/11
26557 KBC Fin Products Int’l Ltd. CK(H) Euro Put Wts Nov 2011 0.15 123.98 per 100 units 2011/11/04 108,000,000 2010/11/11
26555 KBC Fin Products Int’l Ltd. HKEx European Warrants Jun 11A 0.15 208.98 per 100 units 2011/06/01 128,000,000 2010/11/11
26556 KBC Fin Products Int’l Ltd. Hutchison Euro Wts May 2011 A 0.36 100 2011/05/05 158,000,000 2010/11/11
26539 Macquarie Bank Ltd. HSCEI European Warrants Jun 2011 0.25 15,400 per 6,000 units 2011/06/29 200,000,000 2010/11/11
26538 Macquarie Bank Ltd. HSI European Warrants May 2011 0.189 26,000 per 8,000 units 2011/05/30 200,000,000 2010/11/11
26542 Macquarie Bank Ltd. HSI European Put Warrants May 2011 0.25 24,200 per 9,500 units 2011/05/30 200,000,000 2010/11/11
26540 Macquarie Bank Ltd. SHK Ppt European Warrants Apr 2011 0.788 160 2011/04/26 75,000,000 2010/11/11
26541 Macquarie Bank Ltd. SHK Ppt European Put Warrants Jun 2011 0.15 136 per 100 units 2011/06/03 200,000,000 2010/11/11
26507 Merrill Lynch Int’l & Co. C.V. HSCEI European Wts Apr 11C 0.169 14,200 per 6,000 units 2011/04/28 100,000,000 2010/11/11
26513 Merrill Lynch Int’l & Co. C.V. HSCEI Euro Put Wts Apr 2011 0.157 13,600 per 6,800 units 2011/04/28 100,000,000 2010/11/11
26508 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Apr11B 0.233 23,900 per 8,000 units 2011/04/28 200,000,000 2010/11/11
26509 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Apr11C 0.159 24,900 per 9,000 units 2011/04/28 200,000,000 2010/11/11
26510 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Apr11D 0.151 25,900 per 8,000 units 2011/04/28 200,000,000 2010/11/11
26512 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May11B 0.15 26,100 per 8,000 units 2011/05/30 200,000,000 2010/11/11
26514 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Mar11K 0.15 23,600 per 10,500 units 2011/03/30 200,000,000 2010/11/11
26515 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Apr11E 0.152 22,500 per 8,000 units 2011/04/28 200,000,000 2010/11/11
26516 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Apr11F 0.167 23,500 per 9,000 units 2011/04/28 200,000,000 2010/11/11
26518 Nomura Int’l plc BOC HK European Warrants Jul 2011 0.209 26.928 2011/07/25 100,000,000 2010/11/11
26519 Nomura Int’l plc CNOOC European Warrants Jul 2011 A 0.2 17.38 2011/07/18 100,000,000 2010/11/11
26520 Nomura Int’l plc Sinopec European Warrants May 2012 0.15 7.81 2012/05/21 250,000,000 2010/11/11
26517 Nomura Int’l plc HKEx European Warrants Apr 2011 0.15 190.98 per 100 units 2011/04/18 300,000,000 2010/11/11
26521 Nomura Int’l plc HKEx European Warrants Jul 2011 B 0.173 198.98 per 100 units 2011/07/18 300,000,000 2010/11/11
26548 RB of Scotland N.V. HWL European Warrants Jun 2011 A 0.366 98.88 2011/06/02 80,000,000 2010/11/11
26549 RB of Scotland N.V. ICBC European Warrants Jun 2011 B 0.329 7.50 per unit 2011/06/10 100,000,000 2010/11/11
26522 Standard Chartered Bank Sinopec Corp European Wts Dec 2011 0.4 11.88 per unit 2011/12/01 100,000,000 2010/11/11
26523 Standard Chartered Bank PetroChina European Warrants Jan12 0.25 8.88 2012/01/12 100,000,000 2010/11/11
26558 UBS AG Agricultural Bank European Warrants Apr 2011 B 0.15 5.08 per unit 2011/04/26 200,000,000 2010/11/11
26560 UBS AG HSBC European Warrants Mar 2011 0.25 90 2011/03/30 200,000,000 2010/11/11
26561 UBS AG HSI European Warrants May 2011 C 0.25 27,000 per 10,000 units 2011/05/30 200,000,000 2010/11/11
26559 UBS AG ICBC European Warrants Apr 2011 A 0.15 8 per unit 2011/04/20 200,000,000 2010/11/11
#
25559 Deutsche Bank AG China Life European Warrants Feb 2011 B 0.215 38 2011/02/28 300,000,000 2010/11/11
#
26307 HK Bank AIA European Warrants Apr 2011 B 0.325 22.88 2011/04/29 300,000,000 2010/11/11
#
26399 KBC Fin Products Int’l Ltd. AIA European Warrants May 11A 0.209 25.18 2011/05/09 370,000,000 2010/11/11
#
22010 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 A 0.177 100 2011/02/28 300,000,000 2010/11/11
#
25883 UBS AG China Life European Warrants Feb 2011 C 0.136 39.38 2011/02/16 200,000,000 2010/11/11
26638 BNP Paribas Arbit Issu B.V. BOCL European Wts Jul 2011 0.25 6.30 per unit 2011/07/04 100,000,000 2010/11/12
26644 BNP Paribas Arbit Issu B.V BankComm European Warrants Dec 12 0.17 10 2012/12/31 100,000,000 2010/11/12
26639 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Jun 2011 0.59 88 2011/06/01 200,000,000 2010/11/12
26640 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Dec 2011 0.42 106 2011/12/01 200,000,000 2010/11/12
26641 BNP Paribas Arbit Issu B.V. HSBC European Wts Jul 2011 A 0.39 105 2011/07/04 200,000,000 2010/11/12
26642 BNP Paribas Arbit Issu B.V. HSBC European Wts Jun 2012 0.48 122 2012/06/01 200,000,000 2010/11/12
26643 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Aug2011A 0.38 26 2011/08/01 100,000,000 2010/11/12
26599 Credit Suisse AG Cheung Kong European Warrants Jun 2011 A 0.25 140.88 2011/06/07 300,000,000 2010/11/12
26605 Credit Suisse AG CNOOC European Warrants Apr 2011 D 0.15 18.4 2011/04/18 300,000,000 2010/11/12
26603 Credit Suisse AG Sinopec Corp European Warrants May 2011 B 0.25 9.48 per unit 2011/05/16 300,000,000 2010/11/12
26604 Credit Suisse AG HKEx European Warrants Jul 2011 C 0.25 238.88 per 100 units 2011/07/18 300,000,000 2010/11/12
26600 Credit Suisse AG HSBC European Wts Apr 2011 C 0.15 98 2011/04/18 300,000,000 2010/11/12
26606 Credit Suisse AG HSI European Warrants Apr 2011 E 0.15 25,900 per 8,000 units 2011/04/28 300,000,000 2010/11/12
26601 Credit Suisse AG SHK Ppt European Warrants Jun 2011 0.25 149.88 per 100 units 2011/06/27 300,000,000 2010/11/12
26602 Credit Suisse AG SHK Ppt European Warrants Aug 2011 0.25 156.88 per 100 units 2011/08/29 300,000,000 2010/11/12
26589 Deutsche Bank AG Sands China European Warrants May 2011 0.25 19 2011/05/12 80,000,000 2010/11/12
26595 Deutsche Bank AG Wynn Macau European Warrants May 2011 0.25 20 2011/05/12 80,000,000 2010/11/12
26616 Goldman Sachs SP (Asia) HSBC European Warrants Mar 2011 B 0.196 102 2011/03/16 200,000,000 2010/11/12
26613 HK Bank BOCL European Warrants May 2011 A 0.25 5.50 per unit 2011/05/12 120,000,000 2010/11/12
26614 HK Bank BOCL European Warrants May 2011 B 0.25 5.88 per unit 2011/05/25 120,000,000 2010/11/12
26615 HK Bank Henderson Land Dev European Warrants Jun 2011 0.25 73.88 2011/06/08 120,000,000 2010/11/12
26635 J P Morgan SP BV BOCL European Warrants May 2011 0.25 6 per unit 2011/05/12 200,000,000 2010/11/12
26636 J P Morgan SP BV HKEx European Warrants May 2011 0.25 220 per 100 units 2011/05/18 300,000,000 2010/11/12
26637 J P Morgan SP BV HSBC European Warrants Feb 2011 B 0.198 94.88 2011/02/14 200,000,000 2010/11/12
26612 KBC Fin Products Int’l Ltd. BOCL Euro Put Wts May 2011 0.25 4.38 per unit 2011/05/12 88,000,000 2010/11/12
26609 KBC Fin Products Int’l Ltd. BOCL European Wts Apr 2011 C 0.233 5.28 per 1 units 2011/04/18 128,000,000 2010/11/12
26610 KBC Fin Products Int’l Ltd. BOCL European Wts May 2011 B 0.25 5.688 per unit 2011/05/16 128,000,000 2010/11/12
26624 KBC Fin Products Int’l Ltd. CMB European Warrants Jul 2011 0.15 26.88 2011/07/04 88,000,000 2010/11/12
26625 KBC Fin Products Int’l Ltd. Sinopec Euro Wts May 2011 B 0.38 8.99 per unit 2011/05/03 128,000,000 2010/11/12
26607 KBC Fin Products Int’l Ltd. HSI European Wts May 2011 A 0.25 26,000 per 9,000 units 2011/05/30 200,000,000 2010/11/12
26608 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 H 0.25 26,800 per 10,000 units 2011/06/29 200,000,000 2010/11/12
26611 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2011 D 0.25 25,400 per 10,800 units 2011/05/30 200,000,000 2010/11/12
26626 KBC Fin Products Int’l Ltd. ICBC European Wts May 2011 B 0.25 8.18 per unit 2011/05/12 158,000,000 2010/11/12
26627 KBC Fin Products Int’l Ltd. SHK Ppt European Wts Sep 2011 0.25 149.80 per 100 units 2011/09/15 108,000,000 2010/11/12
26574 Macquarie Bank Ltd. Agricultural Bk European Warrants May11 0.25 5.48 per unit 2011/05/30 150,000,000 2010/11/12
26579 Macquarie Bank Ltd. Agricultural Bk European Put Wt May 11 0.276 4 per unit 2011/05/30 150,000,000 2010/11/12
26598 Macquarie Bank Ltd. China Mobile European Wts Jun 2011 A 0.251 99.99 2011/06/02 150,000,000 2010/11/12
26597 Macquarie Bank Ltd. China Overseas European Wts Nov 2011 0.251 21.5 2011/11/02 150,000,000 2010/11/12
26575 Macquarie Bank Ltd. Cheung Kong European Warrants May 2011 0.536 160 2011/05/12 150,000,000 2010/11/12
26580 Macquarie Bank Ltd. Cheung Kong European Put Wts Jun 2011 0.573 110 2011/06/07 250,000,000 2010/11/12
26581 Macquarie Bank Ltd. Cheung Kong European Put Wts Nov 2011 0.154 123.99 per 100 units 2011/11/04 250,000,000 2010/11/12
26583 Macquarie Bank Ltd. HSBC European Warrants Mar 2011 B 0.15 100 2011/03/02 200,000,000 2010/11/12
26576 Macquarie Bank Ltd. Li Ning European Warrants Jun 2011 0.253 28 2011/06/30 250,000,000 2010/11/12
26582 Macquarie Bank Ltd. New World Dev European Put Wts Jul11 0.25 14.68 2011/07/28 100,000,000 2010/11/12
26577 Macquarie Bank Ltd. Stanchart European Warrants Jun 2011 B 0.251 288.80 per 100 units 2011/06/30 250,000,000 2010/11/12
26578 Macquarie Bank Ltd. Wharf European Warrants Jun 2011 0.25 70 2011/06/01 150,000,000 2010/11/12
26596 Standard Chartered Bank ICBC European Warrants Aug 2011 0.25 8.88 per unit 2011/08/01 100,000,000 2010/11/12
26628 SGA Societe Generale Acceptance N.V. AGBK Eu Wt May 2011 D 0.27 5.28 per unit 2011/05/18 200,000,000 2010/11/12
26584 SGA Societe Generale Acceptance N.V. Alibaba Eu Wts Jun 11 0.18 18.18 2011/06/27 100,000,000 2010/11/12
26585 SGA Societe Generale Acceptance N.V. BOCom Eur Wt Jun 2011 0.28 11.88 per unit 2011/06/13 50,000,000 2010/11/12
26587 SGA Societe Generale Acceptance N.V China EB Ltd Eu Wt May11 0.25 24.88 2011/05/16 80,000,000 2010/11/12
26588 SGA Societe Generale Acceptance N.V. Ch LongYuan Eu Wt Dec11 0.15 8.88 2011/12/21 200,000,000 2010/11/12
26586 SGA Societe Generale Acceptance N.V Chi COSCO Euro Wt Nov 11 0.19 10 2011/11/09 200,000,000 2010/11/12
26630 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Sep 2011 0.15 16.88 2011/09/26 400,000,000 2010/11/12
26571 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Oct 2011 0.15 17.38 2011/10/24 300,000,000 2010/11/12
26590 SGA Societe Generale Acceptance N.V. GCL-Poly Eu Wt Jun11A 0.25 3.18 per unit 2011/06/27 70,000,000 2010/11/12
26591 SGA Societe Generale Acceptance N.V. HLand Eur Wt May 2011 0.29 68.88 2011/05/16 50,000,000 2010/11/12
26569 SGA Societe Generale Acceptance N.V. HSBC Eu Wt May 2011 E 0.46 100 2011/05/18 300,000,000 2010/11/12
26570 SGA Societe Generale Acceptance N.V. HSBC Eu Wt May 2011 F 0.25 115 2011/05/16 300,000,000 2010/11/12
26633 SGA Societe Generale Acceptance N.V. HSCEI Eu Wt May 2011B 0.25 15,000 per 6,000 units 2011/05/30 200,000,000 2010/11/12
26634 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt May 11 0.28 13,600 per 6,000 units 2011/05/30 200,000,000 2010/11/12
26568 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2011 A 0.15 26,000 per 8,000 units 2011/05/30 300,000,000 2010/11/12
26567 SGA Societe Generale Acceptance N.V. HSI Eur Wt Jul 2011 A 0.15 26,800 per 8,000 units 2011/07/28 300,000,000 2010/11/12
26573 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 11D 0.25 24,600 per 8,500 units 2011/05/30 300,000,000 2010/11/12
26572 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 11F 0.26 25,000 per 8,000 units 2011/04/28 300,000,000 2010/11/12
26592 SGA Societe Generale Acceptance N.V HuanengPower Eu Wt Jun11 0.34 5.88 per unit 2011/06/13 38,000,000 2010/11/12
26629 SGA Societe Generale Acceptance N.V. HWL Eur Wt Oct 2012 A 0.15 108.90 per 100 units 2012/10/15 1,200,000,000 2010/11/12
26593 SGA Societe Generale Acceptance N.V. KECL Euro Wts Nov 11 0.25 11.28 2011/11/14 200,000,000 2010/11/12
26631 SGA Societe Generale Acceptance N.V. Tencent Eu Wt Jun 11A 0.15 220.20 per 100 units 2011/06/22 150,000,000 2010/11/12
26594 SGA Societe Generale Acceptance NV Yanzhou Coal Eu Wt Jun11A 0.25 28.88 2011/06/13 120,000,000 2010/11/12
26618 UBS AG BOCL European Warrants May 2011 B 0.25 5.68 per unit 2011/05/19 100,000,000 2010/11/12
26621 UBS AG China Life European Warrants May 2011 A 0.25 41.88 2011/05/23 300,000,000 2010/11/12
26620 UBS AG CNOOC European Warrants Jun 2011 B 0.25 20.38 2011/06/09 100,000,000 2010/11/12
26619 UBS AG Sinopec Corp European Warrants May 2011 0.25 9.88 per unit 2011/05/12 100,000,000 2010/11/12
26622 UBS AG PetroChina European Warrants Apr 2011 B 0.3 11.88 per unit 2011/04/18 100,000,000 2010/11/12
26623 UBS AG Ping An European Warrants May 2011 B 0.25 108.88 2011/05/12 100,000,000 2010/11/12
#
23880 Macquarie Bank Ltd. ICBC European Warrants Feb 2011 0.37 7 per unit 2011/02/07 200,000,000 2010/11/12
#
23836 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Mar 2011 A 0.186 92.88 2011/03/01 280,000,000 2010/11/12
#
25995 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Jun 2011 C 0.122 15.19 2011/06/22 200,000,000 2010/11/12
#
26057 UBS AG HKEx European Warrants May 2011 E 0.154 218.88 per 100 units 2011/05/16 300,000,000 2010/11/12
#
23891 UBS AG HSBC European Warrants Feb 2011 0.255 94.88 2011/02/14 200,000,000 2010/11/12
26690 BNP Paribas Arbit Issu B.V. BOCHK European Warrants Nov 11 0.35 30 2011/11/01 100,000,000 2010/11/15
26691 BNP Paribas Arbit Issu B.V. CNOOC European Wts Nov 2011 B 0.29 19 2011/11/01 100,000,000 2010/11/15
26698 Credit Suisse AG China Life European Warrants May 2011 B 0.15 43 2011/05/09 300,000,000 2010/11/15
26694 Credit Suisse AG HKEx European Warrants May 2011 C 0.15 218.88 per 100 units 2011/05/09 300,000,000 2010/11/15
26695 Credit Suisse AG HKEx European Warrants May 2011 D 0.25 228.88 per 100 units 2011/05/16 300,000,000 2010/11/15
26696 Credit Suisse AG HKEx European Warrants Jun 2011 E 0.25 248.88 per 100 units 2011/06/13 300,000,000 2010/11/15
26692 Credit Suisse AG HSBC European Wts Mar 2011 A 0.25 90 2011/03/28 300,000,000 2010/11/15
26679 Credit Suisse AG HSBC European Wts Apr 2011 D 0.34 87 2011/04/04 300,000,000 2010/11/15
26680 Credit Suisse AG Hutchison European Warrants Apr 2011 G 0.15 92.9 2011/04/11 300,000,000 2010/11/15
26699 Credit Suisse AG Hutchison European Warrants Mar 2012 B 0.25 88.88 per 100 units 2012/03/28 300,000,000 2010/11/15
26711 Credit Suisse AG ICBC European Warrants May 2011A 0.25 8.28 per unit 2011/05/16 300,000,000 2010/11/15
26693 Credit Suisse AG Jiangxi Copper European Wts May 2011 A 0.25 28.88 2011/05/16 200,000,000 2010/11/15
26697 Credit Suisse AG Tencent Holdings European Wts Jun 2011 D 0.15 220.20 per 100 units 2011/06/27 300,000,000 2010/11/15
26666 Citigroup Global Mkt H Inc. A50 China Euro Wts Sep 2011 B 0.15 16.88 2011/09/22 120,000,000 2010/11/15
26685 Deutsche Bank AG BOCL European Warrants Apr 2011 C 0.24 5.28 per 1 units 2011/04/18 150,000,000 2010/11/15
26686 Deutsche Bank AG CNBM European Warrants May 2011 0.17 25 2011/05/31 80,000,000 2010/11/15
26706 Deutsche Bank AG CNOOC European Warrants Jul 2011 0.25 20 2011/07/18 200,000,000 2010/11/15
26687 Deutsche Bank AG Sinopec Corp European Warrants Apr 2011 B 0.37 9 per unit 2011/04/18 150,000,000 2010/11/15
10020 Deutsche Bank AG EUR/USD European Put Warrants May 2011 0.28 1.30 per 1 units 2011/05/20 50,000,000 2010/11/15
10018 Deutsche Bank AG Gold European Warrants Jun 2011 0.25 1,518 per 3,000 units 2011/06/08 50,000,000 2010/11/15
26702 Deutsche Bank AG HSI European Warrants Jun 2011 A 0.25 27,400 per 8,000 units 2011/06/29 300,000,000 2010/11/15
26703 Deutsche Bank AG HSI European Put Warrants May 2011 A 0.41 25,200 per 8,000 units 2011/05/30 300,000,000 2010/11/15
26704 Deutsche Bank AG HSI European Put Warrants May 2011 B 0.41 26,000 per 9,000 units 2011/05/30 300,000,000 2010/11/15
26689 Deutsche Bank AG Yanzhou Coal European Warrants Jun 2011 B 0.31 27 2011/06/13 80,000,000 2010/11/15
26681 J P Morgan SP BV CNOOC European Warrants Jul 2011 A 0.25 20 2011/07/25 200,000,000 2010/11/15
26682 J P Morgan SP BV JX Copper European Warrants May 2011 0.25 30.88 2011/05/30 200,000,000 2010/11/15
26713 KBC Fin Products Int’l Ltd. BOC HK European Wts Jun 2011 0.25 33.28 2011/06/03 128,000,000 2010/11/15
26714 KBC Fin Products Int’l Ltd. HKEx European Warrants Jun 11B 0.25 228.88 per 100 units 2011/06/15 128,000,000 2010/11/15
26712 KBC Fin Products Int’l Ltd. HSBC European Wts May 2011 D 0.42 88.28 2011/05/16 128,000,000 2010/11/15
26716 KBC Fin Products Int’l Ltd. HSBC Euro Put Wts May 2011 E 0.25 76 2011/05/25 108,000,000 2010/11/15
26715 KBC Fin Products Int’l Ltd. PetroChina Euro Wts Nov 2011 0.15 9.99 2011/11/14 128,000,000 2010/11/15
26668 Macquarie Bank Ltd. BankComm European Warrants Jun 2011 0.27 10.88 per unit 2011/06/02 200,000,000 2010/11/15
26701 Macquarie Bank Ltd. China Life European Wts Jul 2011 0.251 45 2011/07/06 500,000,000 2010/11/15
26705 Macquarie Bank Ltd. China Life European Put Wts Jul 2011 0.427 35 2011/07/06 500,000,000 2010/11/15
26667 Macquarie Bank Ltd. Jiangxi Copper European Wts May 2011 C 0.253 30 2011/05/20 250,000,000 2010/11/15
26651 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Mar 2011 B 0.35 88.01 2011/03/07 100,000,000 2010/11/15
26648 Merrill Lynch Int’l & Co. C.V. A50 China Eur Wt Oct 2011 0.15 17.39 2011/10/21 100,000,000 2010/11/15
26647 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Apr 2011 0.27 98 2011/04/15 80,000,000 2010/11/15
26645 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Mar 2011 B 0.159 102 2011/03/09 80,000,000 2010/11/15
26654 CC Rabobank B.A. A50 China European Warrants Jun 2011 B 0.15 15.2 2011/06/22 150,000,000 2010/11/15
26655 CC Rabobank B.A. A50 China European Warrants Jul 2011 0.25 14.28 2011/07/28 150,000,000 2010/11/15
26665 CC Rabobank B.A. A50 China European Warrants Sep 2011 0.15 16.9 2011/09/22 150,000,000 2010/11/15
26649 RB of Scotland N.V. HSI European Warrants Apr 2011 D 0.261 24,800 per 8,000 units 2011/04/28 250,000,000 2010/11/15
26650 RB of Scotland N.V. HSI European Warrants Apr 2011 E 0.257 25,300 per 7,800 units 2011/04/28 250,000,000 2010/11/15
26653 Standard Chartered Bank China Mobile European Wts Jun2011A 0.25 95 2011/06/03 100,000,000 2010/11/15
26652 Standard Chartered Bank HKEx European Warrants Sep 2011 0.25 222.80 per 100 units 2011/09/29 100,000,000 2010/11/15
26669 SGA Societe Generale Acceptance N.V. Agile Ppt Eu Wts Jul11 0.25 13.88 2011/07/20 200,000,000 2010/11/15
26670 SGA Societe Generale Acceptance N.V Angang Steel Eu Wt Jun11A 0.16 14.88 2011/06/20 120,000,000 2010/11/15
26657 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt May 11A 0.3 96 2011/05/16 200,000,000 2010/11/15
26671 SGA Societe Generale Acceptance N.V. Ch Overseas Eu Wt Jun11A 0.15 19.88 2011/06/27 200,000,000 2010/11/15
26673 SGA Societe Generale Acceptance N.V. CITIC Pac Eu Wts May11 0.25 26.88 2011/05/30 70,000,000 2010/11/15
26656 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Apr 11E 0.19 102 2011/04/27 200,000,000 2010/11/15
26659 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt May 2011 0.27 17.88 2011/05/18 300,000,000 2010/11/15
26660 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Jun 2011A 0.25 19.88 2011/06/22 300,000,000 2010/11/15
26658 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt May 2012 0.15 7.8 2012/05/21 500,000,000 2010/11/15
26672 SGA Societe Generale Acceptance N.V Ch Ship Cont Eu Wt May11 0.36 4.18 per unit 2011/05/16 50,000,000 2010/11/15
26675 SGA Societe Generale Acceptance N.V. R&F Ppt Eu Wts Jul 11 0.16 13.88 2011/07/27 150,000,000 2010/11/15
26674 SGA Societe Generale Acceptance N.V. Geely Auto Eu Wt May11 0.53 5.88 per unit 2011/05/16 80,000,000 2010/11/15
26661 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 B 0.15 218.88 per 100 units 2011/05/11 300,000,000 2010/11/15
26662 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 C 0.19 208.89 per 100 units 2011/05/30 300,000,000 2010/11/15
26683 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Aug 2011 C 0.25 224.80 per 100 units 2011/08/01 300,000,000 2010/11/15
26684 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Nov 2011 B 0.25 244.80 per 100 units 2011/11/28 300,000,000 2010/11/15
26677 SGA Societe Generale Acceptance N.V. Mongolia En Eu Wt May11 0.29 4.18 per unit 2011/05/16 50,000,000 2010/11/15
26678 SGA Societe Generale Acceptance N.V Nine Dragons Eu Wt Aug11 0.25 14.68 2011/08/29 120,000,000 2010/11/15
26663 SGA Societe Generale Acceptance N.V. SHK P Eu Wt May 2011A 0.67 178 2011/05/16 50,000,000 2010/11/15
26664 SGA Societe Generale Acceptance N.V. SHK P Eu Wt May 2011B 0.95 168 2011/05/30 50,000,000 2010/11/15
26707 UBS AG Agricultural Bank European Warrants May 2011 A 0.25 5.38 per unit 2011/05/16 200,000,000 2010/11/15
26708 UBS AG China Shenhua European Warrants Jun 2011 A 0.25 43.88 2011/06/14 100,000,000 2010/11/15
26709 UBS AG HKEx European Warrants Jun 2011 C 0.25 225 per 100 units 2011/06/27 300,000,000 2010/11/15
26710 UBS AG HKEx European Warrants Jul 2011 C 0.25 259.88 per 100 units 2011/07/04 300,000,000 2010/11/15
26700 UBS AG HKEx European Put Warrants Jun 2011 E 0.25 187.50 per 100 units 2011/06/27 200,000,000 2010/11/15
#
20307 BNP Paribas Arbit Issu B.V. HSBC European Wts Sep 2011 A 0.076 86.88 per 100 units 2011/09/01 200,000,000 2010/11/15
#
25968 Credit Suisse AG HKEx European Warrants May 2011 B 0.181 203.88 per 100 units 2011/05/16 300,000,000 2010/11/15
#
23561 Citigroup Global Mkt H Inc. Agricultural Bk Eu Wt Jan 11 B 0.057 5 per unit 2011/01/18 175,500,000 2010/11/15
#
23348 Deutsche Bank AG China Life European Warrants Jan 2011 A 0.162 37 2011/01/03 400,000,000 2010/11/15
#
25955 Deutsche Bank AG China Life European Warrants Feb 2011 C 0.106 40 2011/02/14 300,000,000 2010/11/15
#
24099 Deutsche Bank AG China Mobile European Warrants Feb 2011 A 0.184 92 2011/02/21 300,000,000 2010/11/15
#
26388 Deutsche Bank AG HKEx European Warrants May 2011 D 0.207 190.88 per 100 units 2011/05/03 300,000,000 2010/11/15
#
25958 Deutsche Bank AG HSBC European Warrants Feb 2011 B 0.223 92.88 2011/02/14 300,000,000 2010/11/15
#
25935 HK Bank HSI European Warrants Apr 2011 0.172 25,200 per 7,800 units 2011/04/28 250,000,000 2010/11/15
#
24542 J P Morgan SP BV China Mob European Wts Mar 2011 0.09 98.88 2011/03/01 250,000,000 2010/11/15
#
24541 J P Morgan SP BV China Life European Warrants Mar 2011 B 0.19 38 2011/03/01 108,000,000 2010/11/15
#
26400 KBC Fin Products Int’l Ltd. AIA European Warrants May 11B 0.174 26.68 2011/05/18 230,000,000 2010/11/15
#
24165 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Feb 11D 0.162 70 2011/02/14 138,000,000 2010/11/15
#
25480 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Feb 2011 D 0.247 92.7 2011/02/14 100,000,000 2010/11/15
26720 Barclays Bank plc BOCL European Warrants Aug 2011 0.25 5.75 per unit 2011/08/08 100,000,000 2010/11/16
26721 Barclays Bank plc Cheung Kong European Put Warrants Nov 11 0.15 124 per 100 units 2011/11/14 150,000,000 2010/11/16
26723 Barclays Bank plc HKEx European Put Warrants Jun 2011 0.15 180 per 100 units 2011/06/27 150,000,000 2010/11/16
26719 Barclays Bank plc HSBC European Warrants Jun 2011 0.29 100 2011/06/07 100,000,000 2010/11/16
26722 Barclays Bank plc HSBC European Put Warrants Oct 2011 0.15 90 per 100 units 2011/10/03 150,000,000 2010/11/16
26729 BOCI Asia Ltd. China Mobile European Warrants May 2011 0.25 98.88 2011/05/16 100,000,000 2010/11/16
26730 BOCI Asia Ltd. HSBC European Warrants Jun 2011 0.25 108 2011/06/07 100,000,000 2010/11/16
26731 BOCI Asia Ltd. SHK Ppt European Warrants Feb 2012 0.25 160 per 100 units 2012/02/02 300,000,000 2010/11/16
26732 Credit Suisse AG Agricultural Bank European Wts May 2011 0.25 5.288 per unit 2011/05/16 300,000,000 2010/11/16
26765 Credit Suisse AG HKEx European Warrants May 2011 E 0.15 195.90 per 100 units 2011/05/16 300,000,000 2010/11/16
26766 Credit Suisse AG HKEx European Warrants May 2011 F 0.15 208.90 per 100 units 2011/05/30 300,000,000 2010/11/16
26742 Credit Suisse AG ICBC European Warrants Apr 2011 A 0.15 7.69 per unit 2011/04/27 300,000,000 2010/11/16
26744 Deutsche Bank AG Agricultural Bk European Warrants May 11B 0.25 5.28 per unit 2011/05/16 150,000,000 2010/11/16
26743 Deutsche Bank AG Agile Ppt European Warrants Jun 2011 0.18 12.38 2011/06/20 80,000,000 2010/11/16
26745 Deutsche Bank AG China Coal European Warrants Jul 2011 0.15 16.88 2011/07/04 80,000,000 2010/11/16
26746 Deutsche Bank AG China Life European Warrants Apr 2011 C 0.29 37.8 2011/04/26 300,000,000 2010/11/16
26747 Deutsche Bank AG COSCO Pacific European Warrants Aug 2011 0.25 15 2011/08/08 80,000,000 2010/11/16
26748 Deutsche Bank AG Geely Auto European Warrants May 2011 C 0.55 5.80 per unit 2011/05/30 80,000,000 2010/11/16
26749 Deutsche Bank AG HKEx European Warrants Oct 2011 C 0.25 228 per 100 units 2011/10/03 300,000,000 2010/11/16
26751 Deutsche Bank AG Jiangxi Copper European Warrants Jun 2011 0.25 29 2011/06/07 80,000,000 2010/11/16
26752 Deutsche Bank AG PICC P&C European Warrants Oct 2011 0.16 15 2011/10/31 80,000,000 2010/11/16
26753 Goldman Sachs SP (Asia) BOCL European Warrants May 2011 B 0.305 5.18 per unit 2011/05/23 200,000,000 2010/11/16
26736 Goldman Sachs SP (Asia) HKEx European Warrants Aug 2011 B 0.255 220 per 100 units 2011/08/08 200,000,000 2010/11/16
26734 Goldman Sachs SP (Asia) HSI European Warrants Apr 2011 C 0.178 25,800 per 8,000 units 2011/04/28 200,000,000 2010/11/16
26735 Goldman Sachs SP (Asia) HSI European Warrants Jul 2011 A 0.25 27,000 per 8,250 units 2011/07/28 200,000,000 2010/11/16
26724 HK Bank HSCEI European Warrants Jun 2011 B 0.25 14,800 per 6,000 units 2011/06/29 200,000,000 2010/11/16
26725 HK Bank HSCEI European Warrants Sep 2011 0.25 16,800 per 6,000 units 2011/09/29 200,000,000 2010/11/16
26728 HK Bank HSCEI European Put Warrants Jun 2011 0.25 13,400 per 7,000 units 2011/06/29 200,000,000 2010/11/16
26754 J P Morgan SP BV BOC HK European Warrants May 2011 0.25 32 2011/05/30 150,000,000 2010/11/16
26756 J P Morgan SP BV China Agri European Warrants Aug 2011 0.25 12.88 2011/08/30 150,000,000 2010/11/16
26758 J P Morgan SP BV China Tel European Warrants May 2011 0.15 4.88 per unit 2011/05/12 100,000,000 2010/11/16
26757 J P Morgan SP BV CPIC European Warrants May 2011 0.25 36.88 2011/05/30 100,000,000 2010/11/16
26759 J P Morgan SP BV PICC European Warrants Jul 2011 0.25 12.88 2011/07/28 200,000,000 2010/11/16
26767 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt May2011A 0.25 5.288 per unit 2011/05/16 198,000,000 2010/11/16
26773 KBC Fin Products Int’l Ltd. Agricultural Eu Put Wt May 11 0.25 4.20 per unit 2011/05/18 128,000,000 2010/11/16
26768 KBC Fin Products Int’l Ltd. BEA European Warrants Jun 2011 0.25 41.88 2011/06/16 58,000,000 2010/11/16
26769 KBC Fin Products Int’l Ltd. BYD European Warrants Jun 2011 0.48 50.88 2011/06/03 88,000,000 2010/11/16
26774 KBC Fin Products Int’l Ltd. BYD European Put Wts Jun 2011 0.25 40 2011/06/08 80,000,000 2010/11/16
26770 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Jun 2011 0.25 158.88 2011/06/03 108,000,000 2010/11/16
26772 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Sep 2011 B 0.15 16.888 2011/09/22 238,000,000 2010/11/16
26775 KBC Fin Products Int’l Ltd. HKEx European Put Wts Jun 11D 0.25 200 per 100 units 2011/06/15 108,000,000 2010/11/16
26771 KBC Fin Products Int’l Ltd. Henderson Land Dev Eu Wt May11 0.25 69.88 2011/05/16 50,000,000 2010/11/16
26776 KBC Fin Products Int’l Ltd. SHK Ppt Euro Put Wts Sep 2011 0.25 148 per 100 units 2011/09/06 88,000,000 2010/11/16
26733 Macquarie Bank Ltd. HKEx European Warrants Jun 2011 A 0.25 228.88 per 100 units 2011/06/02 200,000,000 2010/11/16
26737 Macquarie Bank Ltd. HKEx European Put Warrants Jun 2011 0.39 200 per 100 units 2011/06/02 200,000,000 2010/11/16
26738 Macquarie Bank Ltd. Hutchison European Warrants Oct 2012 0.15 108.98 per 100 units 2012/10/15 888,000,000 2010/11/16
26739 Macquarie Bank Ltd. SJM Holdings European Warrants Jun 11 0.251 15 2011/06/30 300,000,000 2010/11/16
26740 Macquarie Bank Ltd. Soho China European Warrants Jan 2012 0.251 8 2012/01/31 200,000,000 2010/11/16
26741 Macquarie Bank Ltd. Swrie Pacific A European Warrants May12 0.251 150 per 100 units 2012/05/04 500,000,000 2010/11/16
26717 Merrill Lynch Int’l & Co. C.V. HKEx Euro Wts Jun 2011 F 0.25 228.88 per 100 units 2011/06/03 100,000,000 2010/11/16
26718 Merrill Lynch Int’l & Co. C.V. HKEx Eur Put Wts May 2011 F 0.25 187.88 per 100 units 2011/05/18 100,000,000 2010/11/16
26764 CC Rabobank B.A. AIA European Warrants Jun 2011 0.15 28.88 2011/06/03 250,000,000 2010/11/16
26761 CC Rabobank B.A. China Life European Warrants Apr 2011 B 0.15 43 2011/04/28 200,000,000 2010/11/16
26760 CC Rabobank B.A. HKEx European Put Warrants May 2011 0.25 188.88 per 100 units 2011/05/20 200,000,000 2010/11/16
26762 CC Rabobank B.A. HKEx European Warrants May 2011 A 0.15 218.98 per 100 units 2011/05/09 200,000,000 2010/11/16
26763 CC Rabobank B.A. HKEx European Warrants May 2011 B 0.25 228.98 per 100 units 2011/05/20 200,000,000 2010/11/16
26726 Standard Chartered Bank China Mobile European Wts Oct 2011 0.36 100 2011/10/10 100,000,000 2010/11/16
26727 Standard Chartered Bank China Life European Warrants Sep 11 0.25 48 2011/09/30 100,000,000 2010/11/16
#
25506 KBC Fin Products Int’l Ltd. PetroChina Euro Wts May 2011 A 0.194 8.89 2011/05/04 250,000,000 2010/11/16
#
22849 SGA Societe Generale Acceptance N.V. BYD Euro Wts May 2011 0.045 60.88 per 100 units 2011/05/23 400,000,000 2010/11/16
#
24438 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Feb 11A 0.178 88.8 2011/02/07 100,000,000 2010/11/16
26809 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Nov 2012 B 0.25 7 2012/11/01 300,000,000 2010/11/17
26815 Credit Suisse AG CC Bank European Warrants May 2011 A 0.25 9.08 per unit 2011/05/17 300,000,000 2010/11/17
26817 Credit Suisse AG CC Bank European Warrants Oct 2013 0.25 8.702 2013/10/18 300,000,000 2010/11/17
26816 Credit Suisse AG CC Bank European Warrants Dec 2012 B 0.25 7.3 2012/12/17 300,000,000 2010/11/17
26784 Credit Suisse AG HKEx European Warrants May 2011 G 0.25 233 per 100 units 2011/05/17 300,000,000 2010/11/17
26822 Deutsche Bank AG CC Bank European Warrants Apr 2011A 0.35 8.73 per 1 units 2011/04/18 300,000,000 2010/11/17
26823 Deutsche Bank AG CC Bank European Warrants May 2011 A 0.25 9.50 per unit 2011/05/23 300,000,000 2010/11/17
10021 Deutsche Bank AG Oil Futures European Warrants Jun 2011 0.25 96 per 300 units 2011/06/08 80,000,000 2010/11/17
10025 Deutsche Bank AG Oil Futures European Put Warrants Jun 11 0.25 83 per 300 units 2011/06/08 80,000,000 2010/11/17
26777 HK Bank BOC HK European Warrants May 2011 0.25 33.5 2011/05/30 100,000,000 2010/11/17
26805 HK Bank CC Bank European Warrants May 2011 A 0.25 9.50 per unit 2011/05/17 150,000,000 2010/11/17
26778 HK Bank CITIC Bank European Warrants Aug 2011 0.25 7.28 per unit 2011/08/15 80,000,000 2010/11/17
26779 HK Bank China Life European Warrants Jul 2011 0.15 44.88 2011/07/21 120,000,000 2010/11/17
26780 HK Bank Geely Auto European Warrants Jun 2011 A 0.25 6 per unit 2011/06/16 100,000,000 2010/11/17
26781 HK Bank HKEx European Warrants Jul 2011 0.25 228.88 per 100 units 2011/07/20 200,000,000 2010/11/17
26782 HK Bank SHK Ppt European Warrants May 2011 0.25 182 2011/05/17 100,000,000 2010/11/17
26804 J P Morgan SP BV Agricultural Bk European Warrants May 11 0.25 5 per unit 2011/05/30 150,000,000 2010/11/17
26821 KBC Fin Products Int’l Ltd. CC Bank Euro Wts May 2011 A 0.25 8.88 per unit 2011/05/17 188,000,000 2010/11/17
26789 Macquarie Bank Ltd. CC Bank European Put Warrants Jun 2011 0.293 6.60 per unit 2011/06/03 250,000,000 2010/11/17
26785 Macquarie Bank Ltd. CC Bank European Warrants Jun 2011 B 0.25 9.39 per unit 2011/06/03 250,000,000 2010/11/17
26818 Macquarie Bank Ltd. WISE CSI European Warrants May 2011 0.253 46.88 2011/05/30 200,000,000 2010/11/17
26806 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Apr11G 0.155 25,100 per 8,500 units 2011/04/28 150,000,000 2010/11/17
26819 RB of Scotland N.V. CC Bank European Warrants May 2011 B 0.276 9.08 per unit 2011/05/17 100,000,000 2010/11/17
26820 RB of Scotland N.V. China Life European Wts May 2011 0.258 38.88 2011/05/17 150,000,000 2010/11/17
26783 Standard Chartered Bank China Coal European Warrants Sep11 0.156 18.28 2011/09/26 100,000,000 2010/11/17
26786 SGA Societe Generale Acceptance N.V. AGBK Eu Wt Apr 2011 D 0.22 4.88 per unit 2011/04/04 200,000,000 2010/11/17
26807 SGA Societe Generale Acceptance N.V. CCB Eur Wt Apr 2011 C 0.27 8.613 per 1 units 2011/04/20 150,000,000 2010/11/17
26808 SGA Societe Generale Acceptance N.V. CCB Eur Wt May 2011 C 0.25 9.18 per unit 2011/05/18 150,000,000 2010/11/17
26799 SGA Societe Generale Acceptance N.V. C Transmiss Eu Wt Jul11A 0.25 19.88 2011/07/27 90,000,000 2010/11/17
26787 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt May 2011A 0.73 148.88 2011/05/30 50,000,000 2010/11/17
26788 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt May 2011B 0.53 158.88 2011/05/30 50,000,000 2010/11/17
26790 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt May 2011C 0.37 168.88 2011/05/30 50,000,000 2010/11/17
26791 SGA Societe Generale Acceptance N.V. CK(H) Eu Wt Oct 2012B 0.25 130.08 per 100 units 2012/10/03 400,000,000 2010/11/17
26813 SGA Societe Generale Acceptance N.V. CNBM Euro Wts Jul2011A 0.25 24.18 2011/07/13 150,000,000 2010/11/17
26793 SGA Societe Generale Acceptance N.V. CNOOC Eu Wt Apr 2011C 0.17 18.38 2011/04/27 400,000,000 2010/11/17
26792 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Apr 11B 0.37 9 per unit 2011/04/20 150,000,000 2010/11/17
26811 SGA Societe Generale Acceptance N.V. CPAir Eur Wt Jun 2011 0.25 25.88 2011/06/27 80,000,000 2010/11/17
26800 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Jun11B 0.25 21.88 2011/06/01 200,000,000 2010/11/17
26794 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt May 11 0.34 17.38 2011/05/23 300,000,000 2010/11/17
26795 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Jul 11 0.49 18.88 2011/07/25 300,000,000 2010/11/17
26796 SGA Societe Generale Acceptance N.V. A50 Ch Eu Put Wt Apr 12 0.54 18.68 2012/04/23 300,000,000 2010/11/17
26801 SGA Societe Generale Acceptance N.V. Gome Euro Wts May11A 0.32 3.08 per unit 2011/05/18 120,000,000 2010/11/17
26824 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 D 0.25 228.88 per 100 units 2011/05/18 500,000,000 2010/11/17
26802 SGA Societe Generale Acceptance NV Maanshan Iron Eu Wt May11 0.29 6.88 per unit 2011/05/18 40,000,000 2010/11/17
26812 SGA Societe Generale Acceptance N.V. Ch Mengniu Eu Wt Jun11 0.25 25.88 2011/06/27 80,000,000 2010/11/17
26814 SGA Societe Generale Acceptance NV New World Dev Eu Wt Jul11 0.25 19.08 2011/07/13 100,000,000 2010/11/17
26797 SGA Societe Generale Acceptance N.V. Petch Eu Wt May 2011B 0.41 12.88 per unit 2011/05/23 100,000,000 2010/11/17
26798 SGA Societe Generale Acceptance N.V. Petch Eu Wt May 2011C 0.3 13.88 per unit 2011/05/23 100,000,000 2010/11/17
26803 SGA Societe Generale Acceptance N.V. Shimao Ppt Eu Wt Jul 11 0.16 16.88 2011/07/20 150,000,000 2010/11/17
26828 UBS AG China Overseas European Warrants Jul 2011 0.25 19.68 2011/07/11 100,000,000 2010/11/17
26827 UBS AG CC Bank European Warrants May 2011 B 0.25 9.28 per unit 2011/05/30 200,000,000 2010/11/17
26826 UBS AG Hutchison European Put Warrants Oct 2011 0.25 90 per 100 units 2011/10/17 200,000,000 2010/11/17
26829 UBS AG Hutchison European Warrants Jun 2011 B 0.25 113.88 2011/06/27 300,000,000 2010/11/17
26830 UBS AG Shimao Ppt European Warrants Jul 2011 0.15 16.88 2011/07/18 100,000,000 2010/11/17
#
24540 J P Morgan SP BV China Life European Warrants Mar 2011 A 0.224 36 2011/03/01 100,000,000 2010/11/17
#
18233 UBS AG PetroChina European Warrants Feb 2011 0.062 10.88 2011/02/21 200,000,000 2010/11/17
26857 Credit Suisse AG CC Bank European Warrants May 2011 B 0.25 9.52 per unit 2011/05/18 300,000,000 2010/11/18
26869 Credit Suisse AG China Life European Warrants Apr 2011 B 0.15 40.05 2011/04/11 300,000,000 2010/11/18
26858 Credit Suisse AG HSBC European Wts Mar 2011 B 0.15 102.1 2011/03/09 300,000,000 2010/11/18
26855 Credit Suisse AG Hutchison European Warrants May 2011 B 0.25 118.88 2011/05/30 300,000,000 2010/11/18
26856 Credit Suisse AG Hutchison European Warrants May 2011 C 0.25 108 2011/05/31 300,000,000 2010/11/18
26871 Citigroup Global Mkt H Inc. HSBC European Wts Apr 2011 B 0.26 98 2011/04/15 80,000,000 2010/11/18
26872 Citigroup Global Mkt H Inc. Jiangxi Copper Euro Wts May 11 0.25 31.88 2011/05/31 80,000,000 2010/11/18
26873 Citigroup Global Mkt H Inc. Maanshan Iron Euro Wts Sep 11 0.25 5.68 per unit 2011/09/08 80,000,000 2010/11/18
26874 Citigroup Global Mkt H Inc. Ping An Euro Wts May 2011 0.75 100 2011/05/18 80,000,000 2010/11/18
26875 Citigroup Global Mkt H Inc. Ping An Euro Wts Dec 2011 0.25 88.88 per 100 units 2011/12/28 180,000,000 2010/11/18
26870 J P Morgan SP BV BYD European Warrants Nov 2011 0.15 51.88 per 100 units 2011/11/28 300,000,000 2010/11/18
26852 J P Morgan Int’l Der. Ltd. CC Bank European Wts May 2011 A 0.25 9.50 per unit 2011/05/18 200,000,000 2010/11/18
26853 J P Morgan Int’l Der. Ltd. CC Bank European Wts May 2011 B 0.25 10 per unit 2011/05/18 200,000,000 2010/11/18
26854 J P Morgan SP BV PetroChina European Warrants Oct 2012 0.25 11 2012/10/29 300,000,000 2010/11/18
26864 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt May 2011 0.41 88.38 2011/05/18 128,000,000 2010/11/18
26868 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Sep 11 0.15 13 2011/09/22 88,000,000 2010/11/18
26866 KBC Fin Products Int’l Ltd. HSBC European Wts Jun 2011 A 0.25 108.88 2011/06/02 128,000,000 2010/11/18
26865 KBC Fin Products Int’l Ltd. HSBC European Wts May 2011 F 0.46 93.98 2011/05/03 128,000,000 2010/11/18
26859 KBC Fin Products Int’l Ltd. HSCEI Euro Wts May 2011 0.25 14,600 per 6,800 units 2011/05/30 100,000,000 2010/11/18
26861 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Jun 2011 A 0.25 13,000 per 9,800 units 2011/06/29 100,000,000 2010/11/18
26862 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Jun 2011 B 0.25 15,400 per 6,800 units 2011/06/29 100,000,000 2010/11/18
26860 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts May 2011 A 0.27 14,200 per 6,800 units 2011/05/30 100,000,000 2010/11/18
26863 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2011 D 0.28 15,000 per 8,800 units 2011/06/29 100,000,000 2010/11/18
26867 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2011 B 0.25 108.88 2011/06/17 158,000,000 2010/11/18
26850 Macquarie Bank Ltd. HKEx European Warrants May 2011 D 0.15 218.88 per 100 units 2011/05/06 200,000,000 2010/11/18
26849 Macquarie Bank Ltd. HKEx European Warrants Jun 2011 B 0.193 200 per 100 units 2011/06/02 200,000,000 2010/11/18
26851 Macquarie Bank Ltd. Ping An European Warrants Jul 2012 0.25 92.88 per 100 units 2012/07/04 200,000,000 2010/11/18
26831 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jul 2011 0.159 18.89 2011/07/18 100,000,000 2010/11/18
26833 Merrill Lynch Int’l & Co. C.V. CNOOC Euro Put Wts Jun 11E 0.154 15.38 2011/06/03 80,000,000 2010/11/18
26836 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Apr 2011 A 0.61 8.09 per unit 2011/04/19 100,000,000 2010/11/18
26837 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts Apr 2011 B 0.345 8.89 per unit 2011/04/13 100,000,000 2010/11/18
26839 Merrill Lynch Int’l & Co. C.V. Sinopec Euro Wts May 2012 0.151 7.81 2012/05/21 100,000,000 2010/11/18
26838 Merrill Lynch Int’l & Co. C.V. Sinopec Eu Put Wts May 2011 0.335 6.68 per unit 2011/05/05 80,000,000 2010/11/18
26834 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Wt Apr 2011 B 0.64 10.89 per unit 2011/04/12 100,000,000 2010/11/18
26835 Merrill Lynch Int’l & Co. C.V. PetroChina Eu Put Wt Mar 11 0.152 10.48 2011/03/31 80,000,000 2010/11/18
26840 Merrill Lynch Int’l & Co. C.V. Ping An Euro Wts Apr 2011 0.59 98.89 2011/04/19 100,000,000 2010/11/18
26844 CC Rabobank B.A. C Transmission European Warrants Jun2011A 0.25 18.5 2011/06/08 100,000,000 2010/11/18
26847 CC Rabobank B.A. HSBC European Warrants May 2011 C 0.25 116.88 2011/05/30 200,000,000 2010/11/18
26846 CC Rabobank B.A. Hutchison European Warrants Apr 2011 0.59 94 2011/04/11 200,000,000 2010/11/18
26848 CC Rabobank B.A. Jiangxi Copper European Warrants May 11B 0.25 29.88 2011/05/30 100,000,000 2010/11/18
26842 Standard Chartered Bank CHALCO European Warrants Dec 2011 0.5 12 per unit 2011/12/02 50,000,000 2010/11/18
26841 Standard Chartered Bank BOC HK European Warrants Sep 2011 0.25 33.88 2011/09/01 100,000,000 2010/11/18
26843 Standard Chartered Bank China Life European Warrants Apr11B 0.15 42.88 2011/04/21 100,000,000 2010/11/18
26877 UBS AG CC Bank European Warrants Mar 2013 0.25 8.88 2013/03/25 300,000,000 2010/11/18
26878 UBS AG HKEx European Warrants May 2011 H 0.25 238.88 per 100 units 2011/05/30 300,000,000 2010/11/18
26876 UBS AG HSI European Warrants Jul 2011 A 0.25 29,000 per 8,000 units 2011/07/28 200,000,000 2010/11/18
26879 UBS AG Hutchison European Warrants Jun 2011 C 0.25 123.88 2011/06/20 200,000,000 2010/11/18
26880 UBS AG Ping An European Warrants Jun 2011 A 0.25 118.88 2011/06/28 100,000,000 2010/11/18
#
22552 Macquarie Bank Ltd. Tencent European Warrants Apr 2011 0.09 198 per 100 units 2011/04/07 250,000,000 2010/11/18
#
19427 Credit Suisse China Mobile European Warrants Oct 2011 A 0.049 88.88 per 100 units 2011/10/31 600,000,000 2010/11/18
#
21789 Credit Suisse AG A50 China European Warrants Jan 2011 A 0.03 14.98 2011/01/17 1,000,000,000 2010/11/18
#
26259 SGA Societe Generale Acceptance N.V. CLife Eu Wt Feb 2011D 0.082 40.7 2011/02/07 200,000,000 2010/11/18
26899 Barclays Bank plc China Shenhua European Warrants Aug 2011 0.25 45 2011/08/01 100,000,000 2010/11/19
26898 Barclays Bank plc HKEx European Warrants Oct 2011 B 0.25 225 per 100 units 2011/10/03 150,000,000 2010/11/19
26901 Barclays Bank plc Hutchison European Put Warrants Oct 2011 0.25 90 per 100 units 2011/10/31 150,000,000 2010/11/19
26897 Barclays Bank plc Jiangxi Copper European Warrants Jun 11 0.25 31 2011/06/30 100,000,000 2010/11/19
26900 Barclays Bank plc Ping An European Warrants Jun 2012 0.25 100 per 100 units 2012/06/29 150,000,000 2010/11/19
26902 Credit Suisse AG Hutchison European Warrants May 2011 D 0.25 128 2011/05/30 300,000,000 2010/11/19
26903 Credit Suisse AG Ping An European Warrants May 2011 A 0.55 100 2011/05/19 300,000,000 2010/11/19
26904 Credit Suisse AG Ping An European Warrants May 2011 B 0.27 113 2011/05/19 300,000,000 2010/11/19
26905 Credit Suisse AG Ping An European Warrants May 2011 C 0.25 123 2011/05/19 300,000,000 2010/11/19
26910 Citigroup Global Mkt H Inc. CNOOC Euro Put Wts May 2011 D 0.25 16.88 2011/05/31 80,000,000 2010/11/19
26906 Deutsche Bank AG China Shenhua European Warrants Apr 2011B 0.21 42.88 2011/04/11 80,000,000 2010/11/19
26907 Deutsche Bank AG Gome European Warrants May 2011 0.42 3.68 per unit 2011/05/23 80,000,000 2010/11/19
26908 Deutsche Bank AG Zijin Mining European Warrants Aug 2011 0.15 8.68 2011/08/22 80,000,000 2010/11/19
26917 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Mar 2011 C 0.191 37.5 2011/03/14 100,000,000 2010/11/19
26914 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Mar 2011 C 0.33 90 2011/03/23 100,000,000 2010/11/19
26915 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Apr 2011A 0.3 7.39 per unit 2011/04/15 100,000,000 2010/11/19
26916 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Apr 2011B 0.45 6.89 per unit 2011/04/04 100,000,000 2010/11/19
26888 Nomura Int’l plc China Agri European Warrants Oct 2011 0.151 12.52 2011/10/10 200,000,000 2010/11/19
26891 Nomura Int’l plc CC Bank European Warrants Jun 2011 A 0.481 8.28 per unit 2011/06/30 100,000,000 2010/11/19
26892 Nomura Int’l plc CC Bank European Warrants Jun 2011 B 0.31 8.88 per unit 2011/06/30 100,000,000 2010/11/19
26893 Nomura Int’l plc China Coal European Warrants Jun 2011 0.151 15.7 2011/06/23 200,000,000 2010/11/19
26890 Nomura Int’l plc Chaoda Modern European Warrants Aug 2011 0.151 7.688 2011/08/23 100,000,000 2010/11/19
26889 Nomura Int’l plc C Transmission European Warrants Jun 2011 0.15 19.888 2011/06/30 100,000,000 2010/11/19
26882 Nomura Int’l plc Cheung Kong European Warrants Sep 2012 B 0.19 130.08 per 100 units 2012/09/28 100,000,000 2010/11/19
26894 Nomura Int’l plc China Life European Warrants May 2011 0.25 39.88 2011/05/31 100,000,000 2010/11/19
26895 Nomura Int’l plc China Life European Warrants Jul 2011 A 0.15 44.888 2011/07/29 100,000,000 2010/11/19
26885 Nomura Int’l plc Hang Lung Ppt European Warrants May 2011 0.25 42.88 2011/05/19 100,000,000 2010/11/19
26884 Nomura Int’l plc HSBC European Warrants Feb 2011 0.15 100.1 2011/02/21 300,000,000 2010/11/19
26883 Nomura Int’l plc HSBC European Warrants Apr 2011 0.249 96.05 2011/04/01 300,000,000 2010/11/19
26886 Nomura Int’l plc JIANC European Warrants May 2011 A 0.25 29.88 2011/05/31 100,000,000 2010/11/19
26896 Nomura Int’l plc Stanchart European Warrants Jun 2011 0.251 268 per 100 units 2011/06/30 100,000,000 2010/11/19
26881 Standard Chartered Bank CC Bank European Warrants Jun 11B 0.25 10.88 per unit 2011/06/01 100,000,000 2010/11/19
26845 Standard Chartered Bank HSBC European Warrants Apr 2011A 0.25 99.88 2011/04/21 100,000,000 2010/11/19
26909 SGA Societe Generale Acceptance N.V. Gome Euro Wt May11B 0.27 4.18 per unit 2011/05/23 120,000,000 2010/11/19
26912 UBS AG HSI European Warrants Jun 2011 A 0.25 26,500 per 8,000 units 2011/06/29 200,000,000 2010/11/19
26913 UBS AG HSI European Warrants Jun 2011 B 0.25 28,000 per 8,000 units 2011/06/29 200,000,000 2010/11/19
26911 UBS AG Ping An European Warrants Mar 2012 B 0.25 93.88 per 100 units 2012/03/19 300,000,000 2010/11/19
#
26058 UBS AG HSI European Warrants Apr 2011 D 0.145 25,000 per 8,000 units 2011/04/28 400,000,000 2010/11/19
#
26124 UBS AG CNOOC European Warrants Apr 2011 0.125 18.38 2011/04/27 200,000,000 2010/11/19
26934 BNP Paribas Arbit Issu B.V. Gome European Warrants Sep 11 0.33 3.90 per unit 2011/09/01 100,000,000 2010/11/22
26928 Credit Suisse AG CPIC European Warrants Mar 2011 0.15 32.85 2011/03/28 300,000,000 2010/11/22
26924 Deutsche Bank AG CC Bank European Warrants May 2011 B 0.53 7.80 per unit 2011/05/23 200,000,000 2010/11/22
26925 Deutsche Bank AG China Mobile European Warrants Apr 2011 C 0.39 86 2011/04/11 300,000,000 2010/11/22
26926 Deutsche Bank AG HSBC European Warrants Apr 2011 C 0.4 90.88 2011/04/18 300,000,000 2010/11/22
26935 Goldman Sachs SP (Asia) China Life Euro Wts Apr 2011 A 0.162 40.38 2011/04/21 200,000,000 2010/11/22
26918 HK Bank A50 China European Put Warrants Dec 2011 0.25 13.38 2011/12/21 120,000,000 2010/11/22
26922 HK Bank HKEx European Warrants May 2011 0.25 223.88 per 100 units 2011/05/23 200,000,000 2010/11/22
26930 KBC Fin Products Int’l Ltd. CC Bank Euro Wts May 2011 B 0.56 7.68 per unit 2011/05/23 108,000,000 2010/11/22
26929 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2011 A 0.25 38 2011/06/03 188,000,000 2010/11/22
26933 KBC Fin Products Int’l Ltd. China Life Eur Put Wt Jun 2011 0.25 30.88 2011/06/08 128,000,000 2010/11/22
26931 KBC Fin Products Int’l Ltd. CMB European Put Warrants Jun11 0.25 20.68 2011/06/01 80,000,000 2010/11/22
26932 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts May 2011 0.32 68.88 2011/05/03 108,000,000 2010/11/22
26923 Macquarie Bank Ltd. CNOOC European Warrants Jun 2011 0.151 19.88 2011/06/15 200,000,000 2010/11/22
26920 Standard Chartered Bank CNOOC European Warrants Apr 2011 0.15 18.38 2011/04/18 100,000,000 2010/11/22
26919 Standard Chartered Bank PetroChina European Warrants Aug11 0.4 14.88 per unit 2011/08/03 100,000,000 2010/11/22
26927 UBS AG PetroChina European Warrants Aug 2012 0.25 10.68 2012/08/20 500,000,000 2010/11/22
26921 UBS AG Tencent Holdings European Warrants Jun 2011 B 0.15 213.88 per 100 units 2011/06/27 200,000,000 2010/11/22
#
26368 Credit Suisse AG A50 China European Warrants Mar 2011 0.068 14 2011/03/28 300,000,000 2010/11/22
#
21685 HK Bank HSI European Warrants Dec 2010 B 0.03 24,800 per 8,800 units 2010/12/30 335,000,000 2010/11/22
#
26112 J P Morgan SP BV JX Copper European Warrants Apr 2011 B 0.16 26.88 2011/04/26 200,000,000 2010/11/22
26948 Credit Suisse AG China Life European Warrants Feb 2011 E 0.15 36.4 2011/02/28 300,000,000 2010/11/23
26949 Credit Suisse AG China Life European Warrants Mar 2011 0.15 37.55 2011/03/14 300,000,000 2010/11/23
26947 Credit Suisse AG China Mobile European Warrants Mar 2011 B 0.15 85.9 2011/03/15 300,000,000 2010/11/23
26946 Credit Suisse AG PetroChina European Warrants Nov 2011 0.15 10 2011/11/14 300,000,000 2010/11/23
26945 Credit Suisse AG Tencent Holdings European Wts Apr 2011 C 0.15 178.10 per 100 units 2011/04/04 300,000,000 2010/11/23
26938 Citigroup Global Mkt H Inc. HS Bank European Wts Jun 2011 0.15 119.99 per 100 units 2011/06/01 80,000,000 2010/11/23
26939 Citigroup Global Mkt H Inc. Wharf European Wts Jun 2011 0.25 63.88 2011/06/13 80,000,000 2010/11/23
26944 KBC Fin Products Int’l Ltd. Ch Mobile Eu Put Wt Jun 2011 0.48 71.8 2011/06/08 108,000,000 2010/11/23
26940 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts May 2011 B 0.25 12,800 per 6,500 units 2011/05/30 100,000,000 2010/11/23
26941 KBC Fin Products Int’l Ltd. HSI European Wts May 2011 B 0.25 22,800 per 9,000 units 2011/05/30 200,000,000 2010/11/23
26942 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2011 C 0.92 78.88 2011/06/03 108,000,000 2010/11/23
26943 KBC Fin Products Int’l Ltd. Tencent Holdings Eu Wt Jul 11B 0.27 166.38 per 100 units 2011/07/15 108,000,000 2010/11/23
26950 CC Rabobank B.A. China EB Ltd European Warrants Apr 2011 0.15 23 2011/04/19 80,000,000 2010/11/23
26953 CC Rabobank B.A. CSR Times European Warrants Jun 2011 A 0.38 31 2011/06/27 80,000,000 2010/11/23
26952 CC Rabobank B.A. CSR European Warrants Aug 2011 0.25 10 2011/08/15 100,000,000 2010/11/23
26951 CC Rabobank B.A. Lenovo European Warrants Apr 2011 0.34 6.20 per unit 2011/04/26 80,000,000 2010/11/23
26954 CC Rabobank B.A. Sany Int’l European Warrants Oct 2011 0.25 12.4 2011/10/24 120,000,000 2010/11/23
26937 Standard Chartered Bank CNOOC European Warrants Aug 2011 0.25 18 2011/08/30 100,000,000 2010/11/23
26936 Standard Chartered Bank HKEx European Warrants Aug 2011 B 0.25 208.88 per 100 units 2011/08/26 100,000,000 2010/11/23
#
26388 Deutsche Bank AG HKEx European Warrants May 2011 D 0.145 190.88 per 100 units 2011/05/03 400,000,000 2010/11/23
#
25834 SGA Societe Generale Acceptance N.V. HSI Eur Wt Mar 2011 G 0.133 24,000 per 8,000 units 2011/03/30 500,000,000 2010/11/23
26965 BOCI Asia Ltd. BOC HK European Warrants Dec 2011 0.275 30.8 2011/12/05 100,000,000 2010/11/24
26966 BOCI Asia Ltd. Ch Overseas European Warrants Jun 2011 0.15 18.88 2011/06/27 100,000,000 2010/11/24
26967 BOCI Asia Ltd. Shimao Ppt European Warrants Oct 2011 0.16 14.9 2011/10/24 100,000,000 2010/11/24
26970 Citigroup Global Mkt H Inc. CC Bank European Wts May 2011 0.25 8.38 per unit 2011/05/24 80,000,000 2010/11/24
26971 Citigroup Global Mkt H Inc. Link Reit European Wts May 11B 0.25 26.88 2011/05/24 80,000,000 2010/11/24
26972 Goldman Sachs SP (Asia) China Mobile Euro Wts Feb 2011 B 0.305 82.5 2011/02/28 200,000,000 2010/11/24
26973 Goldman Sachs SP (Asia) HKEx European Warrants Apr 2011 0.153 190.88 per 100 units 2011/04/26 200,000,000 2010/11/24
26978 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Jun 2011 0.43 82.88 2011/06/03 128,000,000 2010/11/24
26969 Standard Chartered Bank CHALCO European Warrants Aug 2011 0.25 11.88 per unit 2011/08/01 100,000,000 2010/11/24
26975 Standard Chartered Bank BOCL European Warrants Aug 2011 0.25 5.58 per unit 2011/08/08 100,000,000 2010/11/24
26968 Standard Chartered Bank BYD European Warrants Aug 2011 0.4 80 2011/08/30 100,000,000 2010/11/24
26974 Standard Chartered Bank MTRC European Warrants Jul 2011 0.25 32.28 2011/07/11 100,000,000 2010/11/24
26955 SGA Societe Generale Acceptance N.V. BOCom Eur Wt May 2011 0.45 9.88 per unit 2011/05/25 50,000,000 2010/11/24
26956 SGA Societe Generale Acceptance N.V. BOCom Eur Wt Jan 2013 0.15 10 2013/01/02 200,000,000 2010/11/24
26957 SGA Societe Generale Acceptance N.V. CNBM Euro Wts Jul 11B 0.25 20.38 2011/07/20 150,000,000 2010/11/24
26962 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Apr 2011 C 0.32 160.28 per 100 units 2011/04/11 300,000,000 2010/11/24
26963 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 E 0.15 203.88 per 100 units 2011/05/09 500,000,000 2010/11/24
26958 SGA Societe Generale Acceptance NV SGA Societe Generale Acceptance NV 0.3 5.18 per unit 2011/07/20 38,000,000 2010/11/24
26960 SGA Societe Generale Acceptance N.V. HWL Eur Wt Jun 2011A 0.28 120.88 2011/06/29 200,000,000 2010/11/24
26961 SGA Societe Generale Acceptance N.V. HWL Eur Wt Jul 2011 A 0.25 128.88 2011/07/25 200,000,000 2010/11/24
26959 SGA Societe Generale Acceptance N.V. HWL Eur Wt May 2011 B 0.29 114.88 2011/05/30 200,000,000 2010/11/24
26976 UBS AG China Mobile European Warrants Feb 2011 C 0.2 82.5 2011/02/24 200,000,000 2010/11/24
26977 UBS AG HSI European Warrants Mar 2011 F 0.2 22,500 per 8,000 units 2011/03/30 200,000,000 2010/11/24
#
24023 KBC Fin Products Int’l Ltd. HSBC European Wts Sep 2011 0.09 80 per 100 units 2011/09/01 200,000,000 2010/11/24
26984 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Oct 2011 0.15 66 per 100 units 2011/10/11 128,000,000 2010/11/25
26991 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Jun 2011 0.16 16.88 2011/06/01 108,000,000 2010/11/25
26992 KBC Fin Products Int’l Ltd . China Overseas Eu Put Wt Jul11 0.25 15 2011/07/06 108,000,000 2010/11/25
26987 KBC Fin Products Int’l Ltd. China Tel Euro Wts Jul 2011 0.31 4.28 per unit 2011/07/05 80,000,000 2010/11/25
26982 KBC Fin Products Int’l Ltd. Cheung Kong Eur Wts Nov 2011 0.25 108.88 per 100 units 2011/11/02 108,000,000 2010/11/25
26983 KBC Fin Products Int’l Ltd. Minsheng Bank Euro Wt Jul 2011 0.36 7.88 per unit 2011/07/15 68,000,000 2010/11/25
26986 KBC Fin Products Int’l Ltd. Sinopec Euro Wts Oct 2011 0.15 6.21 2011/10/03 128,000,000 2010/11/25
26985 KBC Fin Products Int’l Ltd. CPIC European Wts Jun 2011 0.29 31.88 2011/06/15 108,000,000 2010/11/25
26988 KBC Fin Products Int’l Ltd. HS Bank European Wts Jun 2011 0.15 120 per 100 units 2011/06/01 108,000,000 2010/11/25
26989 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Jun 2011 0.25 60 2011/06/08 108,000,000 2010/11/25
26990 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Wts May 2011 0.16 27.28 2011/05/18 88,000,000 2010/11/25
26993 RB of Scotland N.V. HKEx European Warrants Jun 2011 C 0.25 188.88 per 100 units 2011/06/30 250,000,000 2010/11/25
26994 RB of Scotland N.V. HWL European Warrants Mar 2012 0.152 88.888 per 100 units 2012/03/21 500,000,000 2010/11/25
26995 RB of Scotland N.V. Tencent Holdings European Wts Jun 11C 0.16 192.888 per 100 units 2011/06/03 250,000,000 2010/11/25
26979 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Feb 11C 0.28 82.5 2011/02/28 200,000,000 2010/11/25
26980 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt May 11B 0.27 88.88 2011/05/30 200,000,000 2010/11/25
26981 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 F 0.15 195.90 per 100 units 2011/05/16 500,000,000 2010/11/25
#
25704 UBS AG ICBC European Warrants Feb 2011 B 0.097 7 per unit 2011/02/14 200,000,000 2010/11/25
#
26623 UBS AG Ping An European Warrants May 2011 B 0.58 108.88 2011/05/12 100,000,000 2010/11/25
27000 Credit Suisse AG Ping An European Warrants Mar 2012 B 0.15 93.90 per 100 units 2012/03/12 300,000,000 2010/11/26
26999 HK Bank China Mobile European Warrants Apr 2011 B 0.16 92 2011/04/27 200,000,000 2010/11/26
27005 J P Morgan SP BV BankComm European Warrants May 2011 0.25 10.38 per unit 2011/05/26 100,000,000 2010/11/26
27008 J P Morgan SP BV China Mob European Wts Apr 2011 0.25 86 2011/04/11 100,000,000 2010/11/26
27006 J P Morgan SP BV China Life European Warrants May 2011 0.25 36.88 2011/05/26 100,000,000 2010/11/26
27007 J P Morgan SP BV China Life European Warrants Jun 2011 A 0.25 38.88 2011/06/07 100,000,000 2010/11/26
27009 J P Morgan SP BV Sinopec Corp European Warrants Apr 2011 B 0.25 8.38 per unit 2011/04/15 100,000,000 2010/11/26
27010 J P Morgan SP BV HS Bank European Warrants May 2011 0.25 138.88 2011/05/26 80,000,000 2010/11/26
27011 J P Morgan SP BV PetroChina European Warrants May 2011 0.3 11 per unit 2011/05/27 100,000,000 2010/11/26
26996 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Apr 2011 B 0.172 38.39 2011/04/19 100,000,000 2010/11/26
26997 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt May 2011 B 0.15 40.89 2011/05/11 100,000,000 2010/11/26
26998 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts May 2011 C 0.227 93.89 2011/05/03 100,000,000 2010/11/26
27003 RB of Scotland N.V. A50 China European Warrants Sep 2011 0.152 13.618 2011/09/12 250,000,000 2010/11/26
27004 RB of Scotland N.V. A50 China European Put Wts May 2011 0.172 13.988 2011/05/04 250,000,000 2010/11/26
27001 SGA Societe Generale Acceptance N.V. HSBC Eu Wt Apr 2011 C 0.153 98 2011/04/18 300,000,000 2010/11/26
27002 UBS AG Ping An European Warrants Jun 2011 B 0.25 128.88 2011/06/14 200,000,000 2010/11/26
#
25668 SGA Societe Generale Acceptance N.V. CCB Eur Wt Mar 2011 B 0.234 8.28 per unit 2011/03/28 168,000,000 2010/11/26
#
26263 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 A 0.147 184.88 per 100 units 2011/05/09 200,000,000 2010/11/26
27031 Barclays Bank plc AIA European Warrants Jun 2011 0.25 25 2011/06/29 120,000,000 2010/11/29
27032 Barclays Bank plc AIA European Warrants Sep 2011 0.25 27 2011/09/29 120,000,000 2010/11/29
27033 Barclays Bank plc China Life European Warrants Sep 2011 0.25 42 2011/09/29 100,000,000 2010/11/29
27029 Barclays Bank plc PetroChina European Warrants Oct 2012 0.15 11 2012/10/31 150,000,000 2010/11/29
27084 BNP Paribas Arbit Issu B.V. AIA European Warrants May 2011 0.2 24 2011/05/04 100,000,000 2010/11/29
27085 BNP Paribas Arbit Issu B.V. AIA European Warrants Jul 2011 0.25 26 2011/07/06 100,000,000 2010/11/29
27086 BNP Paribas Arbit Issu B.V. AIA European Warrants Sep 2011 0.25 27.5 2011/09/08 100,000,000 2010/11/29
27087 BNP Paribas Arbit Issu B.V. AIA European Warrants Dec 2011 0.25 30 2011/12/05 100,000,000 2010/11/29
27074 Credit Suisse AG AIA European Warrants May 2011 A 0.15 28 2011/05/30 300,000,000 2010/11/29
27072 Credit Suisse AG AIA European Warrants Apr 2011 A 0.15 24 2011/04/26 300,000,000 2010/11/29
27073 Credit Suisse AG AIA European Warrants Apr 2011 B 0.15 25.2 2011/04/29 300,000,000 2010/11/29
27066 Citigroup Global Mkt H Inc. AIA European Warrants Apr 2011 0.15 23.99 2011/04/21 80,000,000 2010/11/29
27075 Citigroup Global Mkt H Inc. AIA European Warrants Jun 2011 0.25 25.88 2011/06/27 80,000,000 2010/11/29
27067 Citigroup Global Mkt H Inc. Lenovo European Warrants Jun11 0.25 6.38 per unit 2011/06/08 80,000,000 2010/11/29
27068 Citigroup Global Mkt H Inc. Ping An Euro Wts Jun 2011 0.4 111.11 2011/06/08 80,000,000 2010/11/29
27069 Deutsche Bank AG AIA European Warrants May 2011 A 0.19 25.18 2011/05/06 300,000,000 2010/11/29
27070 Deutsche Bank AG AIA European Warrants May 2011 B 0.3 22.28 2011/05/30 300,000,000 2010/11/29
27071 Deutsche Bank AG AIA European Warrants May 2011 C 0.26 23.28 2011/05/30 300,000,000 2010/11/29
27062 Deutsche Bank AG Ping An European Warrants Jun 2011 0.71 110 2011/06/13 150,000,000 2010/11/29
27063 Deutsche Bank AG Ping An European Warrants Jun 2012 0.19 100 per 100 units 2012/06/28 150,000,000 2010/11/29
27057 Goldman Sachs SP (Asia) China Mobile Euro Wts May 2011 0.4 82 2011/05/30 200,000,000 2010/11/29
27059 Goldman Sachs SP (Asia) China Mobile Euro Wts Jun 2011 A 0.275 88 2011/06/07 200,000,000 2010/11/29
27076 Goldman Sachs SP (Asia) CC Bank European Wts May 2011 B 0.605 7.50 per unit 2011/05/30 200,000,000 2010/11/29
27077 Goldman Sachs SP (Asia) China Life Euro Wts Apr 2011 B 0.236 35.68 2011/04/29 200,000,000 2010/11/29
27078 Goldman Sachs SP (Asia) China Life Euro Wts May 2011 B 0.265 38 2011/05/30 200,000,000 2010/11/29
27060 Goldman Sachs SP (Asia) HSBC European Warrants May 2011 B 0.435 88.28 2011/05/09 200,000,000 2010/11/29
27061 Goldman Sachs SP (Asia) HSBC European Warrants May 2011 C 0.33 92.8 2011/05/30 200,000,000 2010/11/29
27064 Macquarie Bank Ltd. AIA European Warrants Jun 2011 0.152 28 2011/06/02 250,000,000 2010/11/29
27065 Macquarie Bank Ltd. AIA European Put Warrants May 2011 0.18 20.88 2011/05/09 200,000,000 2010/11/29
27041 Nomura Int’l plc Anhui Conch European Warrants Mar 2011 0.172 37.05 2011/03/22 80,000,000 2010/11/29
27042 Nomura Int’l plc Anhui Conch European Warrants Jun 2011 0.253 39.88 2011/06/30 80,000,000 2010/11/29
27043 Nomura Int’l plc Anhui Conch European Warrants Sep 2011 0.49 33.88 2011/09/30 80,000,000 2010/11/29
27044 Nomura Int’l plc Agricultural Bk European Warrants Apr 11 0.151 4.838 per unit 2011/04/11 300,000,000 2010/11/29
27045 Nomura Int’l plc AIA European Warrants Apr 2011 0.175 24 2011/04/20 300,000,000 2010/11/29
27046 Nomura Int’l plc AIA European Warrants Jul 2011 0.193 25.05 2011/07/21 300,000,000 2010/11/29
27037 Nomura Int’l plc China Telecom European Warrants May 2011 0.15 4.888 per unit 2011/05/12 100,000,000 2010/11/29
27038 Nomura Int’l plc China Telecom European Warrants Jun 2011 0.325 4.38 per unit 2011/06/30 100,000,000 2010/11/29
27052 Nomura Int’l plc China Life European Put Warrants May 2011 0.25 30.88 2011/05/31 100,000,000 2010/11/29
27039 Nomura Int’l plc CNOOC European Warrants Apr 2011 B 0.15 18.398 2011/04/18 100,000,000 2010/11/29
27040 Nomura Int’l plc CNOOC European Warrants Jul 2011 B 0.15 19.98 2011/07/29 100,000,000 2010/11/29
27047 Nomura Int’l plc A50 China European Warrants Sep 2011 0.15 14.48 2011/09/30 100,000,000 2010/11/29
27048 Nomura Int’l plc A50 China European Warrants Dec 2011 0.15 14.98 2011/12/30 100,000,000 2010/11/29
27049 Nomura Int’l plc A50 China European Warrants Jul 2012 0.161 15.918 2012/07/31 100,000,000 2010/11/29
27035 Nomura Int’l plc Henderson Land Dev European Warrants Jun11 0.15 70 2011/06/30 100,000,000 2010/11/29
27036 Nomura Int’l plc JIANC European Warrants May 2011 B 0.25 26.28 2011/05/31 100,000,000 2010/11/29
27051 Nomura Int’l plc Jiangxi Copper European Put Warrants May11 0.25 19.98 2011/05/31 100,000,000 2010/11/29
27050 Nomura Int’l plc Stanchart European Warrants Sep 2011 0.328 248 per 100 units 2011/09/30 100,000,000 2010/11/29
27053 Nomura Int’l plc Stanchart European Put Warrants Jun 2011 0.25 208 per 100 units 2011/06/30 75,000,000 2010/11/29
27079 RB of Scotland N.V. AIA European Warrants May 2011 A 0.172 25.188 2011/05/04 200,000,000 2010/11/29
27080 RB of Scotland N.V. AIA European Warrants May 2011 B 0.152 28.038 2011/05/25 200,000,000 2010/11/29
27027 Standard Chartered Bank AIA European Warrants May 2011 0.25 24.5 2011/05/30 100,000,000 2010/11/29
27028 Standard Chartered Bank AIA European Warrants Sep 2011 0.25 27.8 2011/09/30 100,000,000 2010/11/29
27081 SGA Societe Generale Acceptance N.V. AIA European Wt May11A 0.18 26.88 2011/05/04 500,000,000 2010/11/29
27082 SGA Societe Generale Acceptance N.V. AIA European Wt Jun11A 0.27 24.88 2011/06/01 500,000,000 2010/11/29
27083 SGA Societe Generale Acceptance N.V. AIA European Wt Jun11B 0.16 28.88 2011/06/01 500,000,000 2010/11/29
27014 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Apr 2011 D 0.22 178 per 100 units 2011/04/27 500,000,000 2010/11/29
27012 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2011 B 0.25 23,800 per 8,000 units 2011/05/30 500,000,000 2010/11/29
27013 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2011 C 0.25 24,400 per 8,000 units 2011/05/30 500,000,000 2010/11/29
27016 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 11E 0.26 22,800 per 8,000 units 2011/05/30 500,000,000 2010/11/29
27017 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt May 11F 0.31 23,600 per 8,000 units 2011/05/30 500,000,000 2010/11/29
27015 SGA Societe Generale Acceptance N.V. Petch Eu Wt Jan 2012 0.18 8.88 2012/01/09 400,000,000 2010/11/29
27018 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Jul 2011 0.15 133.88 per 100 units 2011/07/11 300,000,000 2010/11/29
27019 SGA Societe Generale Acceptance N.V. SHK P Eu Wt Feb 2012 0.17 145 per 100 units 2012/02/06 300,000,000 2010/11/29
27054 UBS AG AIA European Warrants May 2011 0.15 28.88 2011/05/31 200,000,000 2010/11/29
27058 UBS AG AIA European Put Warrants May 2011 0.15 21.68 2011/05/09 200,000,000 2010/11/29
27055 UBS AG AIA European Warrants Apr 2011 A 0.2 22.88 2011/04/20 200,000,000 2010/11/29
27056 UBS AG AIA European Warrants Apr 2011 B 0.15 25.18 2011/04/29 200,000,000 2010/11/29
#
25873 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Sep 2011 A 0.106 14.08 2011/09/01 250,000,000 2010/11/29
27090 BOCI Asia Ltd. AIA European Warrants Aug 2011 0.25 25 2011/08/01 100,000,000 2010/11/30
27091 BOCI Asia Ltd. Yurun Food European Warrants Jun 2011 B 0.25 33 2011/06/07 100,000,000 2010/11/30
27093 Deutsche Bank AG AIA European Warrants Jun 2011 0.15 28 2011/06/01 300,000,000 2010/11/30
27106 Deutsche Bank AG AIA European Put Warrants May 2011 0.16 20.88 2011/05/09 200,000,000 2010/11/30
27108 Deutsche Bank AG China Life European Warrants May 2011 B 0.17 38.88 2011/05/17 300,000,000 2010/11/30
27109 Deutsche Bank AG China Life European Warrants May 2011 C 0.15 41.88 2011/05/23 300,000,000 2010/11/30
27110 Deutsche Bank AG China Life European Warrants Jun 2011 A 0.39 32.88 2011/06/07 300,000,000 2010/11/30
27111 Deutsche Bank AG China Life European Warrants Jun 2011 B 0.34 34.38 2011/06/13 300,000,000 2010/11/30
27112 Deutsche Bank AG China Life European Warrants Jun 2011 C 0.25 36.88 2011/06/07 300,000,000 2010/11/30
27092 Deutsche Bank AG HSI European Warrants May 2011 D 0.25 23,400 per 8,000 units 2011/05/30 300,000,000 2010/11/30
27096 Deutsche Bank AG HSI European Put Warrants May 2011 E 0.25 23,000 per 8,000 units 2011/05/30 300,000,000 2010/11/30
27098 HK Bank HSI European Warrants May 2011 C 0.25 22,800 per 10,000 units 2011/05/30 200,000,000 2010/11/30
27099 HK Bank HSI European Warrants May 2011 D 0.25 24,000 per 8,800 units 2011/05/30 200,000,000 2010/11/30
27107 HK Bank HSI European Warrants Jul 2011 B 0.25 25,800 per 8,200 units 2011/07/28 200,000,000 2010/11/30
27103 HK Bank HSI European Put Warrants May 2011 F 0.25 23,200 per 10,000 units 2011/05/30 200,000,000 2010/11/30
27104 HK Bank HSI European Put Warrants May 2011 G 0.25 24,800 per 12,800 units 2011/05/30 200,000,000 2010/11/30
27097 HK Bank ICBC European Warrants May 2011 0.25 6.68 per unit 2011/05/30 120,000,000 2010/11/30
27100 J P Morgan SP BV AIA European Warrants Apr 2011 0.15 26.88 2011/04/29 300,000,000 2010/11/30
27102 J P Morgan SP BV Ping An European Warrants May 2011 0.46 110 2011/05/30 100,000,000 2010/11/30
27105 J P Morgan SP BV Ping An European Warrants Jun 2012 0.15 100 per 100 units 2012/06/29 300,000,000 2010/11/30
27094 Macquarie Bank Ltd. China Mobile European Wts Mar 2011 0.745 75 2011/03/25 150,000,000 2010/11/30
27095 Macquarie Bank Ltd. SHK Ppt European Warrants Jun 2011 0.159 126.88 per 100 units 2011/06/24 150,000,000 2010/11/30
27114 Standard Chartered Bank ICBC European Warrants Jul 2011 0.26 6.98 per unit 2011/07/04 100,000,000 2010/11/30
27113 Standard Chartered Bank SHK P European Warrants Dec 2011 0.151 138.08 per 100 units 2011/12/19 100,000,000 2010/11/30
27088 UBS AG China Life European Warrants Apr 2011 B 0.2 35.88 2011/04/11 300,000,000 2010/11/30
27089 UBS AG HSI European Warrants Mar 2011 G 0.3 21,400 per 8,500 units 2011/03/30 200,000,000 2010/11/30
27146 BNP Paribas Arbit Issu B.V. Hutchison European Wts Apr 12 0.15 78.90 per 100 units 2012/04/02 100,000,000 2010/12/01
27147 BNP Paribas Arbit Issu B.V. Ping An European Wts Jul 2012 0.15 100 per 100 units 2012/07/04 100,000,000 2010/12/01
27139 Deutsche Bank AG China Mobile European Warrants May 2011 A 0.15 96 2011/05/17 300,000,000 2010/12/01
27140 Deutsche Bank AG China Mobile European Warrants Jun 2011 0.48 81.88 2011/06/30 300,000,000 2010/12/01
27137 Deutsche Bank AG CC Bank European Warrants Jul 2011 0.5 7.38 per unit 2011/07/11 200,000,000 2010/12/01
27138 Deutsche Bank AG CC Bank European Warrants Aug 2011 0.78 6.88 per unit 2011/08/30 200,000,000 2010/12/01
27136 Deutsche Bank AG CC Bank European Warrants Apr 2011 B 0.57 7.168 per 1 units 2011/04/04 200,000,000 2010/12/01
27149 Deutsche Bank AG HSI European Put Warrants Mar 2011 E 0.15 21,600 per 7,000 units 2011/03/30 300,000,000 2010/12/01
27150 Deutsche Bank AG Tencent Holdings European Warrants Jul11B 0.18 178.88 per 100 units 2011/07/04 200,000,000 2010/12/01
27125 Goldman Sachs SP (Asia) BOCL European Warrants Jun 2011 0.26 4.28 per unit 2011/06/07 200,000,000 2010/12/01
27126 Goldman Sachs SP (Asia) BOCL European Warrants Jul 2011 0.25 4.80 per unit 2011/07/25 200,000,000 2010/12/01
27124 Goldman Sachs SP (Asia) A50 China European Wts Nov 2011 0.16 13.188 2011/11/04 200,000,000 2010/12/01
27127 Goldman Sachs SP (Asia) HKEx European Warrants May 2011 0.213 178.88 per 100 units 2011/05/30 200,000,000 2010/12/01
27128 Goldman Sachs SP (Asia) Hutchison European Wts Jun 2011 0.82 80 2011/06/07 200,000,000 2010/12/01
27129 Goldman Sachs SP (Asia) Hutchison European Wts Jul 2011 A 0.555 90 2011/07/04 200,000,000 2010/12/01
27130 Goldman Sachs SP (Asia) Tencent Holdings European Wt May 11 0.159 180 per 100 units 2011/05/30 200,000,000 2010/12/01
27148 J P Morgan SP BV China Life European Warrants Apr 2011 D 0.15 38.38 2011/04/21 300,000,000 2010/12/01
27134 J P Morgan SP BV HSBC European Warrants Apr 2011 B 0.285 84 2011/04/20 200,000,000 2010/12/01
27135 J P Morgan SP BV HSBC European Warrants Apr 2011 C 0.15 90.88 2011/04/14 200,000,000 2010/12/01
27144 Macquarie Bank Ltd. Alibaba European Warrants Jul 2011 0.15 16.5 2011/07/04 200,000,000 2010/12/01
27143 Macquarie Bank Ltd. Huaneng Power European Wts Jul 2011 0.252 5.20 per unit 2011/07/06 200,000,000 2010/12/01
27145 CC Rabobank B.A. Air China European Warrants Aug 2011 0.25 11 2011/08/23 100,000,000 2010/12/01
27132 CC Rabobank B.A. China Agri European Warrants Dec 2011 0.15 10.82 2011/12/05 150,000,000 2010/12/01
27133 CC Rabobank B.A. KECL European Warrants Aug 2011 0.15 10.9 2011/08/11 200,000,000 2010/12/01
27131 CC Rabobank B.A. China Mengniu European Warrants Jun 2011 0.17 25.9 2011/06/27 150,000,000 2010/12/01
27142 CC Rabobank B.A. MTRC European Warrants May 2011 0.15 33 2011/05/23 100,000,000 2010/12/01
27116 SGA Societe Generale Acceptance N.V. AIA European Wts May11B 0.15 25.18 2011/05/04 500,000,000 2010/12/01
27117 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Mar 2011 0.21 4.39 per 1 units 2011/03/21 200,000,000 2010/12/01
27118 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Apr 2011 C 0.15 4.89 per 1 units 2011/04/27 200,000,000 2010/12/01
27119 SGA Societe Generale Acceptance N.V. CCCCL Eu Wt Dec 2011A 0.15 6 2011/12/28 200,000,000 2010/12/01
27120 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 G 0.2 178.88 per 100 units 2011/05/23 500,000,000 2010/12/01
27121 SGA Societe Generale Acceptance N.V. HKEx Eu Wt May 2011 H 0.15 200 per 100 units 2011/05/30 500,000,000 2010/12/01
27115 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2011 G 0.2 22,800 per 9,000 units 2011/05/30 500,000,000 2010/12/01
27122 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Apr 11G 0.22 23,000 per 8,500 units 2011/04/28 500,000,000 2010/12/01
27141 UBS AG China Life European Warrants Mar 2011 0.26 32.28 2011/03/07 300,000,000 2010/12/01
27170 Credit Suisse AG China Shenhua European Warrants Mar 2011 0.15 36.9 2011/03/28 300,000,000 2010/12/02
27169 Credit Suisse AG Tencent Holdings European Put Wt May2011D 0.15 155.10 per 100 units 2011/05/30 300,000,000 2010/12/02
27174 Deutsche Bank AG HSBC European Warrants May 2011 B 0.38 86.5 2011/05/25 200,000,000 2010/12/02
27171 Deutsche Bank AG HSBC European Warrants Jun 2011 C 0.95 73.88 2011/06/07 200,000,000 2010/12/02
27172 Deutsche Bank AG HSBC European Warrants Jun 2011 D 0.68 78.88 2011/06/07 200,000,000 2010/12/02
27173 Deutsche Bank AG HSBC European Warrants Jun 2011 E 0.49 82.88 2011/06/07 200,000,000 2010/12/02
27186 Deutsche Bank AG HSI European Warrants May 2011 F 0.27 22,200 per 8,000 units 2011/05/30 300,000,000 2010/12/02
27188 Deutsche Bank AG HSI European Warrants May 2011 G 0.19 22,800 per 9,000 units 2011/05/30 300,000,000 2010/12/02
27187 Deutsche Bank AG HSI European Put Warrants Apr 2011 H 0.16 22,400 per 8,000 units 2011/04/28 300,000,000 2010/12/02
27177 Goldman Sachs SP (Asia) HSI European Warrants May 2011 A 0.234 22,800 per 9,000 units 2011/05/30 200,000,000 2010/12/02
27175 Goldman Sachs SP (Asia) HSI European Warrants Apr 2011 D 0.218 23,400 per 8,000 units 2011/04/28 200,000,000 2010/12/02
27176 Goldman Sachs SP (Asia) HSI European Warrants Apr 2011 E 0.153 24,600 per 8,800 units 2011/04/28 200,000,000 2010/12/02
27151 HK Bank Esprit European Warrants Jun 2011 A 0.25 46 2011/06/02 120,000,000 2010/12/02
27183 J P Morgan SP BV China Mob European Wts Jun 2011 A 0.25 88.88 2011/06/02 200,000,000 2010/12/02
27152 J P Morgan SP BV Ch Overseas European Warrants May 2011 0.15 16.88 2011/05/30 200,000,000 2010/12/02
27156 J P Morgan SP BV A50 China European Put Warrants Sep 2011 0.15 13 2011/09/22 300,000,000 2010/12/02
27155 J P Morgan SP BV HSBC European Put Warrants Sep 2011 0.15 90 per 100 units 2011/09/27 388,000,000 2010/12/02
27184 J P Morgan SP BV Lenovo European Warrants Jun 2011 A 0.25 6.38 per unit 2011/06/02 100,000,000 2010/12/02
27153 J P Morgan SP BV Tencent European Warrants Jun 2011 A 0.25 163.88 per 100 units 2011/06/02 200,000,000 2010/12/02
27185 J P Morgan SP BV Tencent European Warrants Jun 2011 B 0.15 188.88 per 100 units 2011/06/21 200,000,000 2010/12/02
27154 J P Morgan SP BV Tencent European Warrants Jul 2011 0.15 200 per 100 units 2011/07/21 200,000,000 2010/12/02
27159 SGA Societe Generale Acceptance N.V Anhui Conch Eu Wt Jun11A 0.35 35.88 2011/06/27 80,000,000 2010/12/02
27157 SGA Societe Generale Acceptance N.V. Air China Eu Wt Jun11 0.15 12 2011/06/27 200,000,000 2010/12/02
27158 SGA Societe Generale Acceptance N.V. Alibaba Eu Wts Dec 11 0.25 16.08 2011/12/21 150,000,000 2010/12/02
27160 SGA Societe Generale Acceptance N.V. Belle Int’l Eu Wt Nov11 0.25 15.68 2011/11/21 150,000,000 2010/12/02
27161 SGA Societe Generale Acceptance N.V Chi Res Land Eu Wt Dec11 0.25 15.38 2011/12/21 150,000,000 2010/12/02
27162 SGA Societe Generale Acceptance N.V Ch Ship Cont Eu Wt Jun11 0.39 3.60 per unit 2011/06/20 70,000,000 2010/12/02
27165 SGA Societe Generale Acceptance N.V. R&F Ppt Eu Wts Jun 11 0.15 12.28 2011/06/27 200,000,000 2010/12/02
27163 SGA Societe Generale Acceptance N.V. GCL-Poly Eu Wt Jun11B 0.25 2.80 per unit 2011/06/13 100,000,000 2010/12/02
27164 SGA Societe Generale Acceptance N.V. Gome Euro Wt Jun 2011A 0.3 3.68 per unit 2011/06/20 120,000,000 2010/12/02
27166 SGA Societe Generale Acceptance NV New World Dev Eu Wt Dec11 0.25 16.38 2011/12/19 150,000,000 2010/12/02
27167 SGA Societe Generale Acceptance N.V. PICC P&C Eu Wt Dec 11 0.25 12.68 2011/12/21 200,000,000 2010/12/02
27168 SGA Societe Generale Acceptance NV Yanzhou Coal Eu Wt Jun11B 0.25 24.48 2011/06/20 120,000,000 2010/12/02
27178 UBS AG CC Bank European Warrants Apr 2011 0.6 6.79 per 1 units 2011/04/18 100,000,000 2010/12/02
27179 UBS AG China Mobile European Warrants Mar 2011 B 0.55 75 2011/03/21 100,000,000 2010/12/02
27182 UBS AG HSI European Put Warrants Mar 2011 H 0.15 21,800 per 8,000 units 2011/03/30 200,000,000 2010/12/02
27180 UBS AG ICBC European Warrants Mar 2011 B 0.45 5.87 per 1 units 2011/03/28 100,000,000 2010/12/02
27181 UBS AG SPDR Gold Trust European Warrants Jun 2011 0.25 1,150 per 100 units 2011/06/20 100,000,000 2010/12/02
#
23662 CC Rabobank B.A. KECL European Warrants Jun 2011 0.09 11.4 2011/06/29 200,000,000 2010/12/02
27216 Credit Suisse AG HSI European Warrants Mar 2011 C 0.2 22,300 per 8,000 units 2011/03/30 300,000,000 2010/12/03
27217 Credit Suisse AG HSI European Warrants Mar 2011 D 0.15 22,900 per 8,500 units 2011/03/30 300,000,000 2010/12/03
27218 Goldman Sachs SP (Asia) AIA European Warrants Apr 2011 A 0.199 22.88 2011/04/29 200,000,000 2010/12/03
27199 Goldman Sachs SP (Asia) HSI European Warrants Jun 2011 B 0.26 22,600 per 8,000 units 2011/06/29 200,000,000 2010/12/03
27200 Goldman Sachs SP (Asia) HSI European Put Wts Apr 2011 F 0.183 22,600 per 8,500 units 2011/04/28 200,000,000 2010/12/03
27194 J P Morgan SP BV Agricultural Bk European Warrants Jun 11A 0.25 4.50 per unit 2011/06/03 200,000,000 2010/12/03
27195 J P Morgan SP BV BankComm European Warrants Jun 2011 0.396 9 per unit 2011/06/29 100,000,000 2010/12/03
27196 J P Morgan Int’l Der. Ltd. CC Bank European Wts Jun 2011 A 0.601 7 per unit 2011/06/03 200,000,000 2010/12/03
27197 J P Morgan Int’l Der. Ltd. CC Bank European Wts Jun 2011 B 0.252 8 per unit 2011/06/03 200,000,000 2010/12/03
27198 J P Morgan SP BV Esprit European Wts Jun 2011 A 0.252 45 2011/06/29 100,000,000 2010/12/03
27215 KBC Fin Products Int’l Ltd. HSBC European Wts Sep 2011 B 0.15 70 per 100 units 2011/09/02 208,000,000 2010/12/03
27214 Macquarie Bank Ltd. AIA European Warrants Aug 2011 0.251 25 2011/08/02 250,000,000 2010/12/03
27189 CC Rabobank B.A. Agile Ppt European Warrants Jun 2011 0.15 12.4 2011/06/08 100,000,000 2010/12/03
27190 CC Rabobank B.A. China Dongxiang European Warrants Jun 11 0.25 4.20 per unit 2011/06/03 120,000,000 2010/12/03
27191 CC Rabobank B.A. Ch Ship Cont European Warrants Jun 2011 0.4 3.75 per unit 2011/06/03 100,000,000 2010/12/03
27192 CC Rabobank B.A. Evergrande European Warrants Jun 2011 0.37 4.10 per unit 2011/06/03 100,000,000 2010/12/03
27193 CC Rabobank B.A. Shanghai Electric European Warrants Jun11 0.65 6.10 per unit 2011/06/03 100,000,000 2010/12/03
27201 SGA Societe Generale Acceptance N.V. Agile Ppt Eu Wts Jun11 0.15 12.38 2011/06/20 200,000,000 2010/12/03
27202 SGA Societe Generale Acceptance N.V. Air China Eu Wt Oct11B 0.25 10.58 2011/10/26 200,000,000 2010/12/03
27203 SGA Societe Generale Acceptance NV Angang Steel Eu Wt Jun11B 0.15 13 2011/06/27 200,000,000 2010/12/03
27204 SGA Societe Generale Acceptance N.V China EB Ltd Eu Wt Aug11 0.25 22 2011/08/22 120,000,000 2010/12/03
27205 SGA Societe Generale Acceptance N.V. C Transmiss Eu Wt Oct11 0.25 17.18 2011/10/26 150,000,000 2010/12/03
27207 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Aug 11 0.25 19.68 2011/08/29 200,000,000 2010/12/03
27206 SGA Societe Generale Acceptance N.V. Dongfeng Eu Wt Jun11C 0.26 17.28 2011/06/27 200,000,000 2010/12/03
27208 SGA Societe Generale Acceptance N.V. Geely Au Eu Wt Jun11A 0.38 5.28 per unit 2011/06/20 80,000,000 2010/12/03
27209 SGA Societe Generale Acceptance N.V. Gome Euro Wt Jun 11B 0.38 3.58 per unit 2011/06/20 120,000,000 2010/12/03
27210 SGA Societe Generale Acceptance NV Maanshan Iron Eu Wt Jun11 0.45 4.68 per unit 2011/06/20 50,000,000 2010/12/03
27213 SGA Societe Generale Acceptance N.V. Sinopharm Eu Wts Jun11 0.31 32.58 2011/06/20 80,000,000 2010/12/03
27211 SGA Societe Generale Acceptance N.V. Shimao Ppt Eu Wt Oct 11 0.16 14.88 2011/10/26 200,000,000 2010/12/03
27212 SGA Societe Generale Acceptance N.V. Shimao Ppt Eu Wt Dec 11 0.25 12.48 2011/12/21 200,000,000 2010/12/03
27236 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Jul 2011 0.49 82.88 2011/07/05 200,000,000 2010/12/06
27237 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Jan 2012 0.4 93.8 2012/01/04 200,000,000 2010/12/06
27235 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Aug 2011 0.63 7.50 per unit 2011/08/02 200,000,000 2010/12/06
27238 BNP Paribas Arbit Issu B.V. ICBC European Wts Aug 2011 0.38 6.80 per unit 2011/08/02 200,000,000 2010/12/06
27225 Goldman Sachs SP (Asia) Cheung Kong European Wts Apr 2011 0.36 135 2011/04/18 200,000,000 2010/12/06
27224 Goldman Sachs SP (Asia) Cheung Kong European Wts Apr 2012 0.154 120.88 per 100 units 2012/04/30 200,000,000 2010/12/06
27227 Goldman Sachs SP (Asia) Ping An European Warrants Jun 2011 0.71 102.88 2011/06/07 200,000,000 2010/12/06
27226 Goldman Sachs SP (Asia) Ping An European Warrants Mar 2012 0.164 93.88 per 100 units 2012/03/12 200,000,000 2010/12/06
27229 J P Morgan SP BV Anta Sports European Warrants Jun 2011 0.25 16 2011/06/07 100,000,000 2010/12/06
27234 J P Morgan SP BV BEA European Warrants Jun 2011 0.25 36.88 2011/06/07 80,000,000 2010/12/06
27219 J P Morgan Int’l Der. Ltd. CC Bank European Wts May 2011 C 0.34 7.50 per unit 2011/05/23 200,000,000 2010/12/06
27231 J P Morgan SP BV CITIC Bank European Warrants Jun 2011 A 0.38 5.50 per unit 2011/06/29 100,000,000 2010/12/06
27232 J P Morgan SP BV CITIC Bank European Warrants Jun 2011 B 0.25 6 per unit 2011/06/29 100,000,000 2010/12/06
27230 J P Morgan SP BV Cathay Pacific European Warrants Jun 2011 0.25 25 2011/06/07 100,000,000 2010/12/06
27222 SGA Societe Generale Acceptance N.V. AIA European Wt May11C 0.19 23.28 2011/05/23 500,000,000 2010/12/06
27220 SGA Societe Generale Acceptance N.V. Ch Overseas Eu Wt Dec11 0.25 17.78 2011/12/21 200,000,000 2010/12/06
27223 SGA Societe Generale Acceptance N.V. A50 Ch Eu Wt Jul 2012 0.15 15.88 2012/07/25 300,000,000 2010/12/06
27228 SGA Societe Generale Acceptance N.V. Ch Mengniu Eu Wt Oct11 0.25 28.88 2011/10/26 100,000,000 2010/12/06
27245 Deutsche Bank AG Esprit European Warrants Jun 2011 0.25 43.88 2011/06/20 100,000,000 2010/12/07
27246 Deutsche Bank AG Evergrande European Warrants Jun 2011 0.44 4.18 per unit 2011/06/27 100,000,000 2010/12/07
27247 Deutsche Bank AG Li & Fung European Warrants Jun 2011 0.31 57.88 2011/06/20 100,000,000 2010/12/07
27243 Goldman Sachs SP (Asia) HSI European Warrants May 2011 B 0.164 23,800 per 8,000 units 2011/05/30 200,000,000 2010/12/07
27244 Goldman Sachs SP (Asia) Sinopharm European Warrants Jun 11 0.315 31.8 2011/06/27 200,000,000 2010/12/07
27239 CC Rabobank B.A. Datang European Warrants Jun 2011 0.35 3.30 per unit 2011/06/08 100,000,000 2010/12/07
27240 CC Rabobank B.A. Huaneng Power European Warrants Jun 2011 0.25 4.86 per unit 2011/06/08 100,000,000 2010/12/07
27241 CC Rabobank B.A. Shanghai Ind European Warrants Jun 2011 0.29 39 2011/06/08 100,000,000 2010/12/07
27249 RB of Scotland N.V. ICBC European Warrants Jun 2011 C 0.444 6.28 per unit 2011/06/07 100,000,000 2010/12/07
27250 Standard Chartered Bank AIA European Warrants Nov 2011 0.15 30 2011/11/28 100,000,000 2010/12/07
27242 Standard Chartered Bank China Mobile European Wts Mar 2011 0.25 85 2011/03/24 100,000,000 2010/12/07
#
26095 J P Morgan Int’l Der. Ltd. CC Bank European Wts Apr 2011 A 0.148 8.88 per unit 2011/04/26 138,000,000 2010/12/07
27288 Citigroup Global Mkt H Inc. Alibaba European Warrants Oct 11 0.25 13.88 2011/10/18 80,000,000 2010/12/08
27290 Citigroup Global Mkt H Inc. Ch Overseas Euro Wts Jun 2011B 0.15 16.88 2011/06/07 80,000,000 2010/12/08
27291 Citigroup Global Mkt H Inc. Sh Ind H European Wts Jul 2011 0.25 38.88 2011/07/18 80,000,000 2010/12/08
27276 Deutsche Bank AG Agricultural Bk European Warrants Aug 11 0.47 4.08 per unit 2011/08/15 150,000,000 2010/12/08
27274 Deutsche Bank AG Agricultural Bk European Warrants Jul 11A 0.25 4.68 per unit 2011/07/25 150,000,000 2010/12/08
27275 Deutsche Bank AG Agricultural Bk European Warrants Jul 11B 0.15 5.08 per unit 2011/07/18 150,000,000 2010/12/08
27278 Deutsche Bank AG AIA European Warrants Sep 2011 0.25 26.5 2011/09/26 300,000,000 2010/12/08
27279 Deutsche Bank AG BOC HK European Warrants May 2011 0.15 33.28 2011/05/30 200,000,000 2010/12/08
27277 Deutsche Bank AG China Mobile European Warrants May 2011 B 0.22 88.88 2011/05/30 300,000,000 2010/12/08
27280 Deutsche Bank AG Cathay Pacific European Warrants Jun 2011 0.25 26.28 2011/06/20 100,000,000 2010/12/08
27281 Deutsche Bank AG ICBC European Warrants Jun 2011 A 0.56 5.80 per unit 2011/06/20 200,000,000 2010/12/08
27282 Deutsche Bank AG ICBC European Warrants Jun 2011 B 0.35 6.38 per unit 2011/06/27 200,000,000 2010/12/08
27283 Deutsche Bank AG ICBC European Warrants Jul 2011 A 0.25 6.98 per unit 2011/07/25 200,000,000 2010/12/08
27284 Deutsche Bank AG ICBC European Warrants Jul 2011 B 0.15 7.65 per 1 units 2011/07/05 200,000,000 2010/12/08
27270 Goldman Sachs SP (Asia) Minsheng Bank European Wts Jun11 0.34 8 per unit 2011/06/13 200,000,000 2010/12/08
27271 Goldman Sachs SP (Asia) Esprit European Warrants Jun 2011A 0.46 39.48 2011/06/13 200,000,000 2010/12/08
27272 Goldman Sachs SP (Asia) Esprit European Warrants Jun 2011B 0.365 43.18 2011/06/20 200,000,000 2010/12/08
27273 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2011 D 0.25 22,200 per 8,000 units 2011/06/29 200,000,000 2010/12/08
27285 KBC Fin Products Int’l Ltd. BankComm Euro Wts Jun 2011 0.55 8.98 per unit 2011/06/08 68,000,000 2010/12/08
27289 KBC Fin Products Int’l Ltd. BankComm Eur Put Wt Jun 2011 0.49 7.20 per unit 2011/06/08 58,000,000 2010/12/08
27286 KBC Fin Products Int’l Ltd. Ch Overseas Euro Wts Aug 2011 0.26 15.088 2011/08/18 108,000,000 2010/12/08
27287 KBC Fin Products Int’l Ltd. Li & Fung Euro Put Wt Aug 2011 0.52 42.8 2011/08/18 58,000,000 2010/12/08
27252 RB of Scotland N.V. CC Bank European Warrants Apr 2011 0.494 7.28 per 1 units 2011/04/13 100,000,000 2010/12/08
27251 RB of Scotland N.V. HSI European Warrants Mar 2011 A 0.151 23,900 per 8,000 units 2011/03/30 250,000,000 2010/12/08
27253 Standard Chartered Bank China Life European Warrants Jul 11B 0.25 36.38 2011/07/04 100,000,000 2010/12/08
27254 SGA Societe Generale Acceptance NV Angang Steel Eu Wt Jun11C 0.16 11.68 2011/06/27 150,000,000 2010/12/08
27256 SGA Societe Generale Acceptance N.V C Transmiss Eu Wt Jul11B 0.25 14.48 2011/07/04 100,000,000 2010/12/08
27257 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Mar 11C 0.64 75 2011/03/21 200,000,000 2010/12/08
27258 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jun 11A 0.45 81.5 2011/06/08 200,000,000 2010/12/08
27259 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt Jun 11B 0.27 87.88 2011/06/08 200,000,000 2010/12/08
27260 SGA Societe Generale Acceptance N.V Ch Overseas Eu Wt Jun11B 0.15 16.88 2011/06/08 200,000,000 2010/12/08
27261 SGA Societe Generale Acceptance N.V. Esprit Euro Wts Jun11 0.29 44.08 2011/06/08 80,000,000 2010/12/08
27263 SGA Societe Generale Acceptance N.V. R&F Ppt Eu Wts May 11 0.15 11.28 2011/05/30 150,000,000 2010/12/08
27262 SGA Societe Generale Acceptance N.V. GCL-Poly Eu Wt Jun11C 0.29 2.80 per unit 2011/06/08 70,000,000 2010/12/08
27265 SGA Societe Generale Acceptance N.V. HKEx Eu Put Wt Sep 11 0.15 142 per 100 units 2011/09/05 300,000,000 2010/12/08
27264 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jul 2011 C 0.15 198.88 per 100 units 2011/07/18 500,000,000 2010/12/08
27266 SGA Societe Generale Acceptance N.V. KECL Euro Wts Jun 11 0.15 11.38 2011/06/22 200,000,000 2010/12/08
27267 SGA Societe Generale Acceptance N.V. Petch Eu Wt Aug 2012 0.15 10.68 2012/08/13 500,000,000 2010/12/08
27268 UBS AG Alibaba European Warrants Sep 2011 0.25 14.88 2011/09/26 100,000,000 2010/12/08
27269 UBS AG Hutchison European Warrants Mar 2012 0.15 78.88 per 100 units 2012/03/19 500,000,000 2010/12/08
#
20626 Macquarie Bank Ltd. HSBC European Warrants Apr 2011 0.02 88 per 100 units 2011/04/11 600,000,000 2010/12/08
27308 Barclays Bank plc China Mobile European Wts Aug 2011 0.25 90 2011/08/01 100,000,000 2010/12/09
27304 Barclays Bank plc China Mobile European Put Wts Aug 2011 0.27 67.5 2011/08/01 100,000,000 2010/12/09
27307 Barclays Bank plc CNOOC European Warrants Aug 2011 0.18 17.38 2011/08/01 120,000,000 2010/12/09
27306 Barclays Bank plc HSBC European Warrants Jul 2011 0.3 87.5 2011/07/25 100,000,000 2010/12/09
27309 Barclays Bank plc ICBC European Warrants Aug 2011 A 0.26 7 per unit 2011/08/08 100,000,000 2010/12/09
27302 BOCI Asia Ltd. CPIC European Warrants Jun 2011 0.15 36.88 2011/06/01 100,000,000 2010/12/09
27303 BOCI Asia Ltd. HKEx European Warrants Sep 2011 0.25 185 per 100 units 2011/09/05 300,000,000 2010/12/09
27329 Credit Suisse AG AIA European Warrants Apr 2011 C 0.15 22.9 2011/04/20 300,000,000 2010/12/09
27328 Citigroup Global Mkt H Inc. China Shenhua Eur Wts Jun 2011 0.25 36.88 2011/06/27 80,000,000 2010/12/09
27327 Citigroup Global Mkt H Inc. A50 China Euro Wts Jun 2011 C 0.15 13.88 2011/06/23 80,000,000 2010/12/09
27333 Citigroup Global Mkt H Inc. HSCEI European Wts Jul 2011 0.25 13,800 per 6,000 units 2011/07/28 80,000,000 2010/12/09
27337 Citigroup Global Mkt H Inc. HSCEI Euro Put Wts Jul 2011 0.25 12,600 per 6,000 units 2011/07/28 80,000,000 2010/12/09
27314 Deutsche Bank AG HKEx European Warrants May 2011 F 0.22 178.88 per 100 units 2011/05/30 300,000,000 2010/12/09
27315 Deutsche Bank AG HKEx European Warrants Jun 2011 C 0.22 188.88 per 100 units 2011/06/27 300,000,000 2010/12/09
27316 Deutsche Bank AG HKEx European Warrants Jul 2011 B 0.17 198.88 per 100 units 2011/07/25 300,000,000 2010/12/09
27322 Goldman Sachs SP (Asia) AIA European Warrants Jun 2011 0.154 24.88 2011/06/01 200,000,000 2010/12/09
27321 Goldman Sachs SP (Asia) AIA European Warrants Apr 2011 B 0.151 23.99 2011/04/21 200,000,000 2010/12/09
27323 Goldman Sachs SP (Asia) Alibaba European Warrants Oct 2011A 0.25 14 2011/10/31 200,000,000 2010/12/09
27332 Goldman Sachs SP (Asia) BYD European Warrants Jun 2011 0.75 52.88 2011/06/14 100,000,000 2010/12/09
27325 Goldman Sachs SP (Asia) Ch Comm Cons European Wts Jun 2011 0.48 8 per unit 2011/06/13 200,000,000 2010/12/09
27324 Goldman Sachs SP (Asia) China Life Euro Wts Jun 2011 B 0.25 36 2011/06/20 200,000,000 2010/12/09
27319 Goldman Sachs SP (Asia) HSI European Warrants Jun 2011 C 0.33 21,800 per 8,000 units 2011/06/29 200,000,000 2010/12/09
27320 Goldman Sachs SP (Asia) HSI European Put Wts May 2011 D 0.275 23,600 per 8,000 units 2011/05/30 200,000,000 2010/12/09
27300 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Jun 11A 0.25 24,700 per 8,000 units 2011/06/29 200,000,000 2010/12/09
27295 Merrill Lynch Int’l & Co. C.V. HSI European Warrants Nov 11 0.151 26,900 per 8,000 units 2011/11/29 200,000,000 2010/12/09
27292 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May11C 0.191 23,500 per 8,000 units 2011/05/30 200,000,000 2010/12/09
27293 Merrill Lynch Int’l & Co. C.V. HSI European Warrants May11D 0.151 24,100 per 8,800 units 2011/05/30 200,000,000 2010/12/09
27296 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Apr11H 0.227 24,000 per 9,000 units 2011/04/28 200,000,000 2010/12/09
27297 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts May11E 0.186 22,400 per 8,500 units 2011/05/30 200,000,000 2010/12/09
27298 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts May11F 0.218 23,500 per 10,000 units 2011/05/30 200,000,000 2010/12/09
27299 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts May11G 0.3 24,000 per 8,000 units 2011/05/30 200,000,000 2010/12/09
27305 RB of Scotland N.V. HSI European Put Warrants Mar 2011 0.152 22,700 per 8,000 units 2011/03/30 250,000,000 2010/12/09
27301 RB of Scotland N.V. HSI European Warrants Mar 2011 B 0.167 23,400 per 8,000 units 2011/03/30 250,000,000 2010/12/09
27317 Standard Chartered Bank HKEx European Warrants Oct 2011 B 0.25 185 per 100 units 2011/10/03 100,000,000 2010/12/09
27318 Standard Chartered Bank PetroChina European Warrants Aug12 0.15 10.68 2012/08/13 100,000,000 2010/12/09
27310 SGA Societe Generale Acceptance N.V. BYD Euro Wts Nov 2013 0.15 58.88 per 100 units 2013/11/25 1,200,000,000 2010/12/09
27311 SGA Societe Generale Acceptance N.V. CCB Eur Wt Dec 2012 0.21 5.27 per 10 units 2012/12/10 1,200,000,000 2010/12/09
27312 SGA Societe Generale Acceptance N.V. CCB Eur Wt Jun 2013 0.15 8 2013/06/03 1,200,000,000 2010/12/09
27326 SGA Societe Generale Acceptance N.V. HKEx Eu Wt Jun 2011 C 0.15 203.88 per 100 units 2011/06/08 500,000,000 2010/12/09
27313 SGA Societe Generale Acceptance N.V. ICBC Eu Wt Dec 2012 0.16 5 per 10 units 2012/12/10 1,200,000,000 2010/12/09
27330 UBS AG HKEx European Warrants Jul 2011 D 0.25 188.88 per 100 units 2011/07/18 300,000,000 2010/12/09
27331 UBS AG HSBC European Put Warrants Mar 2011 0.15 71.98 2011/03/30 100,000,000 2010/12/09
#
24175 Barclays Bank plc China Mobile European Wts Jun 2012 0.064 84.88 per 100 units 2012/06/18 200,000,000 2010/12/09
#
24925 SGA Societe Generale Acceptance N.V. CCB Eur Wt Mar 2011 A 0.29 7.68 per unit 2011/03/02 130,000,000 2010/12/09
27348 Citigroup Global Mkt H Inc. CNBM European Warrants Jun 11B 0.15 22.5 2011/06/03 80,000,000 2010/12/10
27349 Citigroup Global Mkt H Inc. Chi Res Power Euro Wts Aug 11 0.25 14.88 2011/08/08 80,000,000 2010/12/10
27345 Citigroup Global Mkt H Inc. ICBC European Wts Jun 2011 0.25 7 per unit 2011/06/22 80,000,000 2010/12/10
27354 Citigroup Global Mkt H Inc. KECL European Warrants Feb 12 0.25 13.88 2012/02/27 80,000,000 2010/12/10
27346 Citigroup Global Mkt H Inc. Li Ning European Wts Jul 2011B 0.25 24.88 2011/07/18 80,000,000 2010/12/10
27347 Citigroup Global Mkt H Inc. Tencent European Put Wts May11 0.15 167.50 per 100 units 2011/05/26 100,000,000 2010/12/10
27350 Citigroup Global Mkt H Inc. Zijin Mining Euro Wts Sep 2011 0.15 8.38 2011/09/26 80,000,000 2010/12/10
27353 Deutsche Bank AG KECL European Warrants Sep 2011 0.15 12.88 2011/09/26 100,000,000 2010/12/10
27340 J P Morgan SP BV BOC HK European Warrants Jun 2011 B 0.25 29 2011/06/29 200,000,000 2010/12/10
27341 J P Morgan SP BV Minsheng Bank European Warrants Jun 2011A 0.25 8 per unit 2011/06/10 100,000,000 2010/12/10
27342 J P Morgan SP BV Minsheng Bank European Warrants Jun 2011B 0.609 7 per unit 2011/06/20 100,000,000 2010/12/10
27343 J P Morgan SP BV CPIC European Warrants Jun 2011 0.25 33 2011/06/29 100,000,000 2010/12/10
27344 J P Morgan SP BV Hutchison European Warrants Mar 2012 A 0.15 78.88 per 100 units 2012/03/19 500,000,000 2010/12/10
27355 KBC Fin Products Int’l Ltd. Esprit European Wts Jul 2011 0.38 42.88 2011/07/13 80,000,000 2010/12/10
27334 Standard Chartered Bank AIA European Warrants Jun 2011 0.26 21.88 2011/06/13 100,000,000 2010/12/10
27335 Standard Chartered Bank HSBC European Warrants Sep 2011 A 0.455 94.88 2011/09/30 100,000,000 2010/12/10
27336 SGA Societe Generale Acceptance N.V. Ch Mob Eu Wt May 11C 0.43 82 2011/05/23 200,000,000 2010/12/10
27338 SGA Societe Generale Acceptance N.V. CP&CC Eur Wt Jun 11B 0.55 8.08 per unit 2011/06/13 150,000,000 2010/12/10
27339 SGA Societe Generale Acceptance N.V. Petch Eu Wt Oct 2012 0.15 11 2012/10/22 500,000,000 2010/12/10
27352 UBS AG AIA European Warrants Jun 2011 0.25 24.38 2011/06/20 200,000,000 2010/12/10
27351 UBS AG China Shenhua European Warrants Jun 2011 B 0.25 33.88 2011/06/20 100,000,000 2010/12/10
27362 Citigroup Global Mkt H Inc. Sinopharm European Wts Jul 11 0.25 33 2011/07/28 80,000,000 2010/12/13
27359 Goldman Sachs SP (Asia) CITIC Pacific European Wts Jun11 0.25 22 2011/06/20 50,000,000 2010/12/13
27360 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2011 E 0.265 23,000 per 8,000 units 2011/06/29 200,000,000 2010/12/13
27356 RB of Scotland N.V. China Mobile European Wts Jun 2011 A 0.256 88.88 2011/06/13 80,000,000 2010/12/13
27358 RB of Scotland N.V. HWL European Warrants Jun 2011 B 0.466 91.88 2011/06/30 80,000,000 2010/12/13
27369 Standard Chartered Bank Agricultural Bk European Wts Aug11 0.25 5.28 per unit 2011/08/02 100,000,000 2010/12/13
27368 Standard Chartered Bank CC Bank European Warrants Aug 2011 0.25 9.80 per unit 2011/08/02 100,000,000 2010/12/13
27363 SGA Societe Generale Acceptance N.V Anhui Conch Eu Wt Jun11B 0.26 41.28 2011/06/13 80,000,000 2010/12/13
27364 SGA Societe Generale Acceptance N.V. Geely Auto Eu Wt Jun11B 0.42 4.68 per unit 2011/06/13 80,000,000 2010/12/13
27365 SGA Societe Generale Acceptance N.V. JIANC Eu Wts Aug 2011 0.25 31.38 2011/08/08 200,000,000 2010/12/13
27361 SGA Societe Generale Acceptance N.V. KECL Euro Wts Sep 11 0.18 12.88 2011/09/26 200,000,000 2010/12/13
27366 SGA Societe Generale Acceptance N.V. KECL Euro Wts Dec 11 0.25 13.28 2011/12/12 200,000,000 2010/12/13
27367 SGA Societe Generale Acceptance N.V. Li & Fung Eu Wt Jul11 0.47 51.48 2011/07/04 100,000,000 2010/12/13
#
23835 KBC Fin Products Int’l Ltd. Ch Mobile Euro Wt Feb 2011 B 0.12 82.68 2011/02/01 260,000,000 2010/12/13
#
26620 UBS AG CNOOC European Warrants Jun 2011 B 0.108 20.38 2011/06/09 200,000,000 2010/12/13
27371 BNP Paribas Arbit Issu B.V. Chi Res Power Euro Wts Feb12 0.25 16.38 2012/02/02 100,000,000 2010/12/14
27372 BNP Paribas Arbit Issu B.V. Esprit European Wts Jul 2011 0.38 43 2011/07/05 100,000,000 2010/12/14
10027 BNP Paribas Arbit Issu B.V. Gold European Warrants Jun 11 0.27 1,700 per 1,500 units 2011/06/14 200,000,000 2010/12/14
10023 BNP Paribas Arbit Issu B.V. Gold European Warrants Jun 12 0.27 2,000 per 3,500 units 2012/06/06 200,000,000 2010/12/14
10022 BNP Paribas Arbit Issu B.V. Gold European Warrants Dec 11B 0.28 1,850 per 2,500 units 2011/12/06 200,000,000 2010/12/14
27373 BNP Paribas Arbit Issu B.V. KECL European Warrants Oct 11 0.17 12.89 2011/10/04 100,000,000 2010/12/14
10024 BNP Paribas Arbit Issu B.V. Oil Futures European Wt Jun 11 0.25 95 per 300 units 2011/06/16 200,000,000 2010/12/14
10026 BNP Paribas Arbit Issu B.V. Oil Futures European Wt May 12 0.25 110 per 300 units 2012/05/17 200,000,000 2010/12/14
10028 BNP Paribas Arbit Issu B.V. Oil Futures Euro Put Wt Jun 11 0.25 85 per 300 units 2011/06/16 200,000,000 2010/12/14
27374 BNP Paribas Arbit Issu B.V. PetroCh Euro Wts May 2011 C 0.33 11.99 per unit 2011/05/04 100,000,000 2010/12/14
27375 BNP Paribas Arbit Issu B.V. Zijin Mining Euro Wts Jan 2012 0.15 7.89 2012/01/04 100,000,000 2010/12/14
27390 Citigroup Global Mkt H Inc. CNOOC European Wts Jun 2011 B 0.15 20.38 2011/06/01 100,000,000 2010/12/14
27385 Deutsche Bank AG BOCL European Warrants May 2011 0.23 4.497 per 1 units 2011/05/16 150,000,000 2010/12/14
27386 Deutsche Bank AG BOCL European Warrants Jun 2011 0.24 4.28 per unit 2011/06/07 150,000,000 2010/12/14
27387 Deutsche Bank AG BOCL European Warrants Jul 2011 0.15 4.794 per 1 units 2011/07/11 150,000,000 2010/12/14
27381 Deutsche Bank AG HSI European Put Warrants Jun 2011 B 0.25 22,600 per 8,000 units 2011/06/29 300,000,000 2010/12/14
27388 Deutsche Bank AG Hutchison European Warrants Jun 2011 A 0.97 80 2011/06/27 150,000,000 2010/12/14
27389 Deutsche Bank AG Hutchison European Warrants Jun 2011 B 0.6 90 2011/06/27 150,000,000 2010/12/14
27382 Goldman Sachs SP (Asia) CNOOC European Warrants Jun 2011 C 0.15 20.38 2011/06/13 200,000,000 2010/12/14
27384 Goldman Sachs SP (Asia) HSI European Put Wts May 2011 E 0.169 22,200 per 8,500 units 2011/05/30 200,000,000 2010/12/14
27383 Goldman Sachs SP (Asia) PetroChina European Wts Apr 2011 0.49 10.88 per unit 2011/04/11 200,000,000 2010/12/14
27370 Macquarie Bank Ltd. HSI European Warrants Apr 2011 B 0.196 22,500 per 10,000 units 2011/04/28 200,000,000 2010/12/14
27376 CC Rabobank B.A. Anta Sports European Warrants May 2011 0.15 18 2011/05/23 100,000,000 2010/12/14
27377 CC Rabobank B.A. BBMG European Warrants Nov 2011 0.25 14.2 2011/11/07 200,000,000 2010/12/14
27380 CC Rabobank B.A. CNOOC European Warrants Jun 2011 B 0.15 20.4 2011/06/02 120,000,000 2010/12/14
27378 CC Rabobank B.A. Digital China European Warrants Jun 2011 0.25 18.4 2011/06/15 200,000,000 2010/12/14
27379 CC Rabobank B.A. Sinofert European Warrants Apr 2011 0.3 4.98 per unit 2011/04/29 100,000,000 2010/12/14
#
21760 Macquarie Bank Ltd. A50 China European Warrants Mar 2011 A 0.052 14 2011/03/30 300,000,000 2010/12/14
#
22371 HK Bank A50 China European Warrants Feb 2011 0.052 13.38 2011/02/25 193,000,000 2010/12/14
27400 BOCI Asia Ltd. Poly HK Inv European Warrants Jul 2011 0.15 8 2011/07/25 100,000,000 2010/12/15
27398 Goldman Sachs SP (Asia) SHK Ppt European Warrants Jul 2011 0.153 133.88 per 100 units 2011/07/15 200,000,000 2010/12/15
27407 KBC Fin Products Int’l Ltd. HS Bank Euro Put Wts Jun 2011 0.61 120 2011/06/15 58,000,000 2010/12/15
27408 KBC Fin Products Int’l Ltd. Jiangxi Copper Eu Put Wt Jul11 0.25 21.8 2011/07/15 80,000,000 2010/12/15
27409 KBC Fin Products Int’l Ltd. Ping An Euro Put Wts Jun 2011 0.56 80 2011/06/15 68,000,000 2010/12/15
27406 KBC Fin Products Int’l Ltd. Wharf European Warrants Jun11B 0.38 66.88 2011/06/15 80,000,000 2010/12/15
27391 Macquarie Bank Ltd. Ch LongYuan European Warrants Nov 2012 0.156 8.18 2012/11/26 128,000,000 2010/12/15
27395 Macquarie Bank Ltd. China Overseas European Put Wts Nov 11 0.25 14.5 2011/11/17 100,000,000 2010/12/15
27392 Macquarie Bank Ltd. Gome European Warrants Jul 2011 0.251 4 per unit 2011/07/21 88,000,000 2010/12/15
27393 Macquarie Bank Ltd. Hutchison European Warrants Mar 2012 0.16 78.88 per 100 units 2012/03/19 200,000,000 2010/12/15
27394 Macquarie Bank Ltd. Maanshan Iron European Wts Jun 2011 0.254 5.88 per unit 2011/06/15 80,000,000 2010/12/15
27405 RB of Scotland N.V. BYD European Warrants Oct 2011 0.15 39.98 per 100 units 2011/10/10 300,000,000 2010/12/15
27403 RB of Scotland N.V. CNOOC European Warrants Jul 2011 0.15 19.98 2011/07/12 200,000,000 2010/12/15
27404 RB of Scotland N.V. PetroChina European Warrants Oct 2012 0.154 11.018 2012/10/19 250,000,000 2010/12/15
27396 Standard Chartered Bank China Coal European Warrants Jun11 0.15 12 2011/06/02 200,000,000 2010/12/15
27397 Standard Chartered Bank China Life European Warrants Apr 11C 0.25 33.88 2011/04/19 100,000,000 2010/12/15
27401 SGA Societe Generale Acceptance N.V. HSCEI Eu Put Wt Apr11B 0.15 12,200 per 6,000 units 2011/04/28 200,000,000 2010/12/15
27412 UBS AG CC Bank European Warrants Dec 2012 0.15 7.3 2012/12/10 300,000,000 2010/12/15
27411 UBS AG CNOOC European Warrants Jun 2011 C 0.15 19.08 2011/06/27 200,000,000 2010/12/15
27413 UBS AG HSI European Warrants Apr 2011 F 0.15 23,800 per 8,000 units 2011/04/28 300,000,000 2010/12/15
27414 UBS AG HSI European Put Warrants May 2011 E 0.18 23,000 per 8,000 units 2011/05/30 200,000,000 2010/12/15
27410 UBS AG KECL European Warrants Sep 2011 0.15 12.88 2011/09/26 200,000,000 2010/12/15
27416 BOCI Asia Ltd. GCL-Poly Energy European Warrants Jul 2011A 0.3 3.20 per unit 2011/07/05 100,000,000 2010/12/16
27417 BOCI Asia Ltd. KECL European Warrants Sep 2011 0.15 12.88 2011/09/30 100,000,000 2010/12/16
27429 Deutsche Bank AG Angang Steel European Warrants Jun 2011 C 0.15 11.68 2011/06/20 100,000,000 2010/12/16
27430 Deutsche Bank AG BOC HK European Warrants Aug 2011 0.19 28.88 2011/08/22 200,000,000 2010/12/16
27436 Deutsche Bank AG China Telecom European Wts Jun 2011 0.32 4.08 per unit 2011/06/20 100,000,000 2010/12/16
27431 Deutsche Bank AG China Agri European Warrants Dec 2011 B 0.15 10.8 2011/12/05 80,000,000 2010/12/16
27432 Deutsche Bank AG China Coal European Warrants Jun 2011 B 0.17 11.68 2011/06/07 80,000,000 2010/12/16
27433 Deutsche Bank AG Minsheng Bank European Warrants Jun 2011 0.54 7.28 per unit 2011/06/27 150,000,000 2010/12/16
27422 Deutsche Bank AG Sinopec Corp European Warrants Jun 2011 A 0.58 7.38 per unit 2011/06/29 150,000,000 2010/12/16
27423 Deutsche Bank AG Sinopec Corp European Warrants Jul 2011 B 0.85 6.88 per unit 2011/07/28 150,000,000 2010/12/16
27434 Deutsche Bank AG CPIC European Warrants Jun 2011 0.25 32.38 2011/06/27 80,000,000 2010/12/16
27435 Deutsche Bank AG China Shenhua European Warrants Jun 2011 0.25 33 2011/06/20 80,000,000 2010/12/16
27437 Deutsche Bank AG Gome European Warrants Jun 2011 0.4 3.28 per unit 2011/06/20 80,000,000 2010/12/16
27424 Deutsche Bank AG Tencent Holdings European Wts May 2011 B 0.25 163.88 per 100 units 2011/05/30 200,000,000 2010/12/16
27425 CC Rabobank B.A. Dongfang Elec European Warrants Jun 2011 0.32 41 2011/06/24 100,000,000 2010/12/16
27426 CC Rabobank B.A. GCL-Poly Energy European Wts Jun 2011 B 0.25 3.20 per unit 2011/06/17 120,000,000 2010/12/16
27427 CC Rabobank B.A. KECL European Warrants Sep 2011 0.15 12.88 2011/09/23 150,000,000 2010/12/16
27438 CC Rabobank B.A. Maanshan Iron European Wts Jun 2011 B 0.35 4.68 per unit 2011/06/13 100,000,000 2010/12/16
27439 CC Rabobank B.A. SJM Holdings European Warrants Jun 2011 0.18 15 2011/06/23 100,000,000 2010/12/16
27402 RB of Scotland N.V. HSCEI European Warrants Jun 2011 0.15 13,850 per 6,000 units 2011/06/29 250,000,000 2010/12/16
27415 RB of Scotland N.V. HSCEI European Put Warrants Apr 2011 0.151 12,150 per 6,000 units 2011/04/28 200,000,000 2010/12/16
27421 Standard Chartered Bank CSR Times European Wts Jun 2011 0.51 38 2011/06/30 20,000,000 2010/12/16
27418 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jun 2011B 0.21 34.38 2011/06/08 300,000,000 2010/12/16
27419 SGA Societe Generale Acceptance N.V. CLife Eu Wt Jun 2011C 0.15 36.88 2011/06/01 300,000,000 2010/12/16
27420 SGA Societe Generale Acceptance N.V. HWL Eur Wt Oct 2012 B 0.25 68.88 per 100 units 2012/10/29 300,000,000 2010/12/16
27440 UBS AG HSBC European Warrants May 2011 0.15 94 2011/05/30 200,000,000 2010/12/16
27442 UBS AG ICBC European Warrants Jun 2011 0.25 6.48 per unit 2011/06/27 100,000,000 2010/12/16
#
23996 Merrill Lynch Int’l & Co. C.V. HSI European Put Wts Jan 11H 0.02 22,300 per 14,800 units 2011/01/28 600,000,000 2010/12/16
#
26295 CC Rabobank B.A. China Coal European Warrants Jun 2011 B 0.024 16.88 2011/06/27 450,000,000 2010/12/16
27497 Credit Suisse AG CC Bank European Warrants Mar 2011 D 0.15 7.57 per 1 units 2011/03/21 300,000,000 2010/12/17
27498 Credit Suisse AG CC Bank European Warrants Apr 2011 B 0.15 7.76 per 1 units 2011/04/26 300,000,000 2010/12/17
27496 Credit Suisse AG HKEx European Warrants Jun 2011 F 0.15 188.90 per 100 units 2011/06/27 300,000,000 2010/12/17
27493 Credit Suisse AG HSBC European Wts Apr 2011 E 0.25 84.7 2011/04/11 300,000,000 2010/12/17
27491 Credit Suisse AG HSI European Warrants Mar 2011 F 0.15 23,400 per 8,000 units 2011/03/30 300,000,000 2010/12/17
27492 Credit Suisse AG HSI European Warrants Apr 2011 F 0.15 24,300 per 8,000 units 2011/04/28 300,000,000 2010/12/17
27501 Credit Suisse AG HSI European Put Warrants Mar 2011 G 0.15 22,300 per 8,000 units 2011/03/30 300,000,000 2010/12/17
27495 Credit Suisse AG Hutchison European Warrants Apr 2011 H 0.28 88.9 2011/04/04 300,000,000 2010/12/17
27499 Credit Suisse AG ICBC European Warrants Apr 2011 B 0.15 6.76 per 1 units 2011/04/11 300,000,000 2010/12/17
27500 Credit Suisse AG ICBC European Warrants Apr 2011 C 0.15 6.38 per 1 units 2011/04/18 300,000,000 2010/12/17
27482 Citigroup Global Mkt H Inc. MTRC European Wts Oct 2011 0.25 31.88 2011/10/31 60,000,000 2010/12/17
27490 Deutsche Bank AG HSI European Warrants Jun 2011 C 0.28 21,600 per 9,000 units 2011/06/29 300,000,000 2010/12/17
27494 Deutsche Bank AG HSI European Put Warrants Jun 2011 D 0.25 22,000 per 8,000 units 2011/06/29 300,000,000 2010/12/17
27503 Goldman Sachs SP (Asia) China Mobile Euro Wts Apr 2011 A 0.238 86 2011/04/11 200,000,000 2010/12/17
27504 Goldman Sachs SP (Asia) HSI European Put Wts Jun 2011 F 0.31 23,800 per 8,000 units 2011/06/29 200,000,000 2010/12/17
27502 Goldman Sachs SP (Asia) Yanzhou Coal European Wts Apr 2011 0.172 25.33 2011/04/18 200,000,000 2010/12/17
27505 J P Morgan SP BV CNOOC European Warrants Jun 2011 C 0.15 20.4 2011/06/01 200,000,000 2010/12/17
27506 J P Morgan SP BV Geely Auto European Warrants Jun 2011 0.25 4.38 per unit 2011/06/17 100,000,000 2010/12/17
27507 J P Morgan SP BV Hutchison European Warrants Mar 2012 B 0.15 88.90 per 100 units 2012/03/22 400,000,000 2010/12/17
27483 KBC Fin Products Int’l Ltd. KECL European Warrants Jul2011 0.25 10.68 2011/07/08 98,000,000 2010/12/17
27484 KBC Fin Products Int’l Ltd. KECL European Warrants Aug2011 0.17 12.38 2011/08/22 108,000,000 2010/12/17
27478 Macquarie Bank Ltd. CPIC European Warrants Jul 2011 0.297 31.88 2011/07/28 150,000,000 2010/12/17
27479 Macquarie Bank Ltd. Chi Res Land European Wts Oct 2011 0.25 14.5 2011/10/28 100,000,000 2010/12/17
27481 Macquarie Bank Ltd. ICBC European Put Warrants Jul 2011 0.504 5.50 per unit 2011/07/05 88,000,000 2010/12/17
27477 Macquarie Bank Ltd. ICBC European Warrants Jul 2011 B 0.25 7 per unit 2011/07/05 138,000,000 2010/12/17
27480 Macquarie Bank Ltd. Yurun Food European Warrants Jun 2011 0.3 28.88 2011/06/29 100,000,000 2010/12/17
27467 Nomura Int’l plc Agile Ppt European Warrants Jun 2011 0.15 12.398 2011/06/15 100,000,000 2010/12/17
27468 Nomura Int’l plc Agile Ppt European Warrants Feb 2012 0.25 12.88 2012/02/29 100,000,000 2010/12/17
27469 Nomura Int’l plc China Dongxiang European Warrants Jun2011 0.289 4 per unit 2011/06/30 100,000,000 2010/12/17
27470 Nomura Int’l plc China Dongxiang European Warrants Sep2011 0.281 4.68 per unit 2011/09/30 100,000,000 2010/12/17
27456 Nomura Int’l plc Ch LongYuan European Warrants Nov 2012 0.15 8.188 2012/11/26 100,000,000 2010/12/17
27452 Nomura Int’l plc Chaoda Modern European Warrants Jan 2012 0.15 7 2012/01/18 100,000,000 2010/12/17
27451 Nomura Int’l plc C Transmission European Warrants Oct 2011 0.15 17.18 2011/10/19 100,000,000 2010/12/17
27465 Nomura Int’l plc CPIC European Warrants Jun 2011 0.151 34.9 2011/06/13 100,000,000 2010/12/17
27461 Nomura Int’l plc Chi Res Land European Warrants Dec 2011 0.22 15.388 2011/12/14 100,000,000 2010/12/17
27459 Nomura Int’l plc China Shenhua European Warrants Apr 2011 0.154 34.45 2011/04/19 100,000,000 2010/12/17
27460 Nomura Int’l plc China Shenhua European Warrants Sep 2011 0.25 38 2011/09/30 100,000,000 2010/12/17
27449 Nomura Int’l plc Dongfeng European Warrants Jun 2011 0.15 17.28 2011/06/20 100,000,000 2010/12/17
27450 Nomura Int’l plc Dongfeng European Warrants Aug 2011 0.15 19.68 2011/08/22 100,000,000 2010/12/17
27448 Nomura Int’l plc HKEx European Warrants Sep 2011 0.15 222.88 per 100 units 2011/09/30 200,000,000 2010/12/17
27447 Nomura Int’l plc Hang Lung Ppt European Warrants Jun 2011 0.25 39.28 2011/06/17 100,000,000 2010/12/17
27446 Nomura Int’l plc Hutchison European Warrants Mar 2012 0.15 88.88 per 100 units 2012/03/30 200,000,000 2010/12/17
27457 Nomura Int’l plc Lenovo European Warrants Apr 2011 0.15 6.99 per unit 2011/04/19 100,000,000 2010/12/17
27458 Nomura Int’l plc Lenovo European Warrants Sep 2013 0.15 5.708 2013/09/25 100,000,000 2010/12/17
27463 Nomura Int’l plc China Mengniu European Warrants Sep 2011 0.25 26 2011/09/30 100,000,000 2010/12/17
27464 Nomura Int’l plc China Mengniu European Warrants Dec 2011 0.251 28.8 2011/12/30 100,000,000 2010/12/17
27466 Nomura Int’l plc Nine Dragons European Warrants Sep 2011 0.15 15.88 2011/09/30 100,000,000 2010/12/17
27454 Nomura Int’l plc PetroChina European Warrants Aug 2012 0.15 10.68 2012/08/13 100,000,000 2010/12/17
27455 Nomura Int’l plc PetroChina European Warrants Oct 2012 0.15 11 2012/10/19 100,000,000 2010/12/17
27453 Nomura Int’l plc Tencent Holdings European Warrants May 11 0.154 180.98 per 100 units 2011/05/24 200,000,000 2010/12/17
27472 CC Rabobank B.A. Belle Int’l European Warrants Jul 2011 0.15 15.4 2011/07/26 120,000,000 2010/12/17
27473 CC Rabobank B.A. China Life European Warrants Apr 2011 C 0.2 33.98 2011/04/12 200,000,000 2010/12/17
27474 CC Rabobank B.A. China Life European Warrants May 2011 B 0.15 37 2011/05/20 200,000,000 2010/12/17
27475 CC Rabobank B.A. Ch Mobile European Warrants Apr 2011 B 0.15 90.88 2011/04/21 130,000,000 2010/12/17
27476 CC Rabobank B.A. Ch Mobile European Warrants May 2011 B 0.35 82.88 2011/05/27 130,000,000 2010/12/17
27508 RB of Scotland N.V. Sinopec Corp European Warrants Jun 11 0.374 7.80 per unit 2011/06/30 100,000,000 2010/12/17
27509 RB of Scotland N.V. HSI European Warrants Jun 2011 0.16 24,100 per 7,000 units 2011/06/29 250,000,000 2010/12/17
27471 Standard Chartered Bank BOCL European Warrants Jul 2011 0.25 4.48 per unit 2011/07/25 100,000,000 2010/12/17
27441 UBS AG CC Bank European Warrants May 2011 C 0.35 7.50 per unit 2011/05/30 200,000,000 2010/12/17
27444 UBS AG China Life European Warrants Jun 2011 B 0.2 34.38 2011/06/07 300,000,000 2010/12/17
27443 UBS AG China Mobile European Warrants May 2011 B 0.25 82 2011/05/30 200,000,000 2010/12/17
27445 UBS AG Jiangxi Copper European Warrants Jun 2011 B 0.15 31.88 2011/06/07 100,000,000 2010/12/17
27485 BNP Paribas Arbit Issu B.V. Geely Auto European Wts Aug11 0.46 4.76 per unit 2011/08/03 100,000,000 2010/12/20
27488 Credit Suisse AG Agricultural Bank European Wts Mar 2011 C 0.15 4.39 per unit 2011/03/28 300,000,000 2010/12/20
27489 Credit Suisse AG Agricultural Bank European Wts Apr 2011 E 0.15 4.79 per unit 2011/04/26 300,000,000 2010/12/20
27510 Credit Suisse AG BOCL European Warrants May 2011 0.15 4.497 per 1 units 2011/05/09 300,000,000 2010/12/20
27512 Credit Suisse AG China Mobile European Warrants May 2011A 0.15 82 2011/05/23 300,000,000 2010/12/20
27513 Credit Suisse AG China Mobile European Warrants Jun 2011 A 0.25 87.38 2011/06/20 300,000,000 2010/12/20
27511 Credit Suisse AG Ch Comm Cons European Warrants Dec 2011 0.15 6 2011/12/22 300,000,000 2010/12/20
27516 Credit Suisse AG CNOOC European Warrants Jun 2011 A 0.15 19.1 2011/06/27 300,000,000 2010/12/20
27514 Credit Suisse AG China Shenhua European Warrants Apr 2011B 0.15 33.4 2011/04/21 300,000,000 2010/12/20
27515 Credit Suisse AG China Shenhua European Warrants Jun 2011 0.25 31.8 2011/06/20 300,000,000 2010/12/20
27517 Credit Suisse AG Hutchison European Warrants Apr 2011 I 0.38 85.9 2011/04/04 300,000,000 2010/12/20
27518 Credit Suisse AG KECL European Warrants Sep 2011 0.15 12.9 2011/09/26 300,000,000 2010/12/20
27519 Credit Suisse AG MCC European Warrants Jun 2011 0.25 3.88 per unit 2011/06/27 300,000,000 2010/12/20
27520 Credit Suisse AG Sinopharm European Warrants May 2011 0.15 30 2011/05/03 300,000,000 2010/12/20
27526 Deutsche Bank AG Air China European Warrants Sep 2011 0.16 9.88 2011/09/26 100,000,000 2010/12/20
27523 Deutsche Bank AG Cheung Kong European Warrants Apr 2012 0.16 120.88 per 100 units 2012/04/30 100,000,000 2010/12/20
27529 Deutsche Bank AG Henganintl European Warrants Jul 2011 0.74 72.88 2011/07/05 100,000,000 2010/12/20
27524 Deutsche Bank AG HSBC European Warrants Jun 2011 F 0.2 94 2011/06/03 200,000,000 2010/12/20
27528 Deutsche Bank AG HSI European Warrants Jun 2011 E 0.25 24,200 per 8,000 units 2011/06/29 300,000,000 2010/12/20
27530 Deutsche Bank AG Sinopharm European Warrants Jun 2011 0.31 27 2011/06/27 80,000,000 2010/12/20
27525 Deutsche Bank AG SJM Holdings European Warrants Jun 2011 C 0.17 15 2011/06/27 80,000,000 2010/12/20
27521 Goldman Sachs SP (Asia) Alibaba European Warrants Nov 2011 0.28 15.88 2011/11/28 100,000,000 2010/12/20
27522 Goldman Sachs SP (Asia) Ch COSCO European Warrants Oct 11 0.15 9 2011/10/17 100,000,000 2010/12/20
27486 HK Bank HSI European Put Warrants Jun 2011 B 0.25 22,600 per 9,300 units 2011/06/29 250,000,000 2010/12/20
27487 HK Bank HSI European Put Warrants Jun 2011 C 0.25 23,600 per 9,900 units 2011/06/29 250,000,000 2010/12/20
27531 KBC Fin Products Int’l Ltd. BOCL European Wts Jun 2011 A 0.28 4.18 per unit 2011/06/20 128,000,000 2010/12/20
27532 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jul 2011 A 0.34 7.48 per unit 2011/07/08 138,000,000 2010/12/20
27533 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jul 2011 B 0.25 8.28 per unit 2011/07/15 158,000,000 2010/12/20
27534 KBC Fin Products Int’l Ltd. ICBC European Wts Jun 2011 0.25 6.48 per unit 2011/06/20 128,000,000 2010/12/20
27535 KBC Fin Products Int’l Ltd. ICBC European Wts Jul 2011 0.38 5.988 per unit 2011/07/04 128,000,000 2010/12/20
27587 BNP Paribas Arbit Issu B.V. Alibaba European Warrants Nov12 0.27 16.38 2012/11/02 100,000,000 2010/12/21
27588 BNP Paribas Arbit Issu B.V. Angang Steel European Wt Aug11 0.33 8.98 2011/08/02 100,000,000 2010/12/21
27578 BNP Paribas Arbit Issu B.V. Anta Sports European Wts Nov11 0.27 15 2011/11/02 100,000,000 2010/12/21
27582 BNP Paribas Arbit Issu B.V. Ch Mobile Euro Wts Aug 2011 0.62 78.88 2011/08/02 200,000,000 2010/12/21
27579 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Oct 2011 0.51 8.08 per unit 2011/10/04 200,000,000 2010/12/21
27580 BNP Paribas Arbit Issu B.V. CC Bank Euro Wts Dec 2011 B 0.36 9.18 per unit 2011/12/02 200,000,000 2010/12/21
27581 BNP Paribas Arbit Issu B.V. China Life Euro Wts Oct 2011 0.32 34.88 2011/10/04 200,000,000 2010/12/21
27585 BNP Paribas Arbit Issu B.V. A50 China Euro Wts Nov 2011 0.42 17.28 per unit 2011/11/02 200,000,000 2010/12/21
27583 BNP Paribas Arbit Issu B.V. HSBC European Wts Oct 2011 0.47 93 2011/10/04 200,000,000 2010/12/21
27584 BNP Paribas Arbit Issu B.V. Hutchison European Wts Oct 11 0.5 100 2011/10/04 100,000,000 2010/12/21
27589 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts Aug 11B 0.3 28.88 2011/08/02 100,000,000 2010/12/21
27563 Citigroup Global Mkt H Inc. China Mobile Eur Wt Jul 2011 0.25 83.88 2011/07/05 80,000,000 2010/12/21
27562 Citigroup Global Mkt H Inc. CC Bank European Wts Jul 2011 0.25 7.88 per unit 2011/07/18 80,000,000 2010/12/21
27540 Goldman Sachs SP (Asia) China Mobile Euro Wts Apr 2011 B 0.161 92 2011/04/27 200,000,000 2010/12/21
27541 Goldman Sachs SP (Asia) Dongfeng European Warrants Jun 11 0.265 15.88 2011/06/27 50,000,000 2010/12/21
27542 Goldman Sachs SP (Asia) Dongfeng European Warrants Aug 11 0.25 17.88 2011/08/15 50,000,000 2010/12/21
27543 Goldman Sachs SP (Asia) HSBC European Warrants Apr 2011 B 0.23 90.88 2011/04/21 100,000,000 2010/12/21
27577 Goldman Sachs SP (Asia) KECL European Warrants Dec 2011 0.25 14 2011/12/19 100,000,000 2010/12/21
27566 HK Bank Agricultural Bank European Warrants Jun 2011 0.25 4.60 per unit 2011/06/21 150,000,000 2010/12/21
27576 HK Bank Angang Steel European Warrants Jun 2011 C 0.15 13 2011/06/21 120,000,000 2010/12/21
27567 HK Bank CC Bank European Warrants Jun 2011 0.25 8.08 per unit 2011/06/21 150,000,000 2010/12/21
27568 HK Bank CM Bank European Warrants Dec 2011 0.25 24 2011/12/16 120,000,000 2010/12/21
27569 HK Bank Sinopec Corp European Warrants Jun 2011 0.25 8.68 per unit 2011/06/21 120,000,000 2010/12/21
27570 HK Bank Esprit European Warrants Jun 2011 B 0.25 42 2011/06/21 120,000,000 2010/12/21
27571 HK Bank Geely Auto European Warrants Jun 2011 B 0.25 4.50 per unit 2011/06/29 120,000,000 2010/12/21
27575 HK Bank ICBC European Warrants Jul 2011 0.25 7 per unit 2011/07/22 150,000,000 2010/12/21
27572 HK Bank Jiangxi Copper European Warrants Sep 2011 0.25 32 2011/09/22 120,000,000 2010/12/21
27574 HK Bank Zijin Mining European Warrants Dec 2011 0.15 7.89 2011/12/23 120,000,000 2010/12/21
27586 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Sep 2011 C 0.15 13.58 2011/09/12 258,000,000 2010/12/21
27539 Macquarie Bank Ltd. China Travel European Wts Sep 2011 0.251 2.28 per unit 2011/09/30 88,000,000 2010/12/21
27538 Macquarie Bank Ltd. C Transmission European Warrants Nov11 0.252 15.88 2011/11/30 200,000,000 2010/12/21
27555 Nomura Int’l plc HSI European Put Warrants Mar 2011 0.15 22,700 per 8,000 units 2011/03/30 200,000,000 2010/12/21
27544 Nomura Int’l plc HSI European Warrants Mar 2011 A 0.192 23,000 per 8,500 units 2011/03/30 200,000,000 2010/12/21
27545 Nomura Int’l plc HSI European Warrants Mar 2011 B 0.183 23,400 per 8,000 units 2011/03/30 200,000,000 2010/12/21
27546 Nomura Int’l plc HSI European Warrants Mar 2011 C 0.152 24,000 per 8,000 units 2011/03/30 200,000,000 2010/12/21
27547 Nomura Int’l plc HSI European Warrants Apr 2011 A 0.179 23,800 per 8,000 units 2011/04/28 200,000,000 2010/12/21
27548 Nomura Int’l plc HSI European Warrants Apr 2011 B 0.15 24,600 per 8,000 units 2011/04/28 200,000,000 2010/12/21
27549 Nomura Int’l plc HSI European Warrants May 2011 A 0.207 23,600 per 8,000 units 2011/05/30 200,000,000 2010/12/21
27550 Nomura Int’l plc HSI European Warrants May 2011 B 0.164 24,500 per 8,000 units 2011/05/30 200,000,000 2010/12/21
27551 Nomura Int’l plc HSI European Warrants Jun 2011 A 0.228 24,000 per 7,000 units 2011/06/29 200,000,000 2010/12/21
27552 Nomura Int’l plc HSI European Warrants Jun 2011 B 0.164 24,800 per 8,000 units 2011/06/29 200,000,000 2010/12/21
27553 Nomura Int’l plc HSI European Warrants Jul 2011 A 0.164 22,300 per 15,000 units 2011/07/28 200,000,000 2010/12/21
27554 Nomura Int’l plc HSI European Warrants Jul 2011 B 0.15 25,800 per 8,200 units 2011/07/28 200,000,000 2010/12/21
27556 Nomura Int’l plc HSI European Put Warrants Apr 2011 C 0.162 22,600 per 8,500 units 2011/04/28 200,000,000 2010/12/21
27557 Nomura Int’l plc HSI European Put Warrants Apr 2011 D 0.186 23,000 per 8,500 units 2011/04/28 200,000,000 2010/12/21
27558 Nomura Int’l plc HSI European Put Warrants May 2011 C 0.166 22,200 per 8,500 units 2011/05/30 200,000,000 2010/12/21
27559 Nomura Int’l plc HSI European Put Warrants May 2011 D 0.266 23,800 per 8,500 units 2011/05/30 200,000,000 2010/12/21
27560 Nomura Int’l plc HSI European Put Warrants Jun 2011 C 0.197 22,900 per 10,000 units 2011/06/29 200,000,000 2010/12/21
27561 Nomura Int’l plc HSI European Put Warrants Jun 2011 D 0.202 22,200 per 8,000 units 2011/06/29 200,000,000 2010/12/21
27565 Standard Chartered Bank CC Bank European Warrants Sep 2011 0.362 8.18 per unit 2011/09/01 100,000,000 2010/12/21
27564 Standard Chartered Bank HSBC European Warrants Jun 2011 B 0.38 88.88 2011/06/21 100,000,000 2010/12/21
27536 UBS AG CNOOC European Warrants Jun 2011 D 0.25 25.88 per unit 2011/06/21 100,000,000 2010/12/21
27537 UBS AG HSBC European Warrants Jan 2013 0.15 83.88 per 100 units 2013/01/28 500,000,000 2010/12/21
#
25431 KBC Fin Products Int’l Ltd. BOC HK European Wts Apr 2011 0.092 28.88 per units 2011/04/15 180,000,000 2010/12/21
#
24023 KBC Fin Products Int’l Ltd. HSBC European Wts Sep 2011A 0.064 80 per 100 units 2011/09/01 300,000,000 2010/12/21
27621 BNP Paribas Arbit Issu B.V. Agricultural Bank Eu Wt Dec 11 0.31 5.08 per unit 2011/12/02 100,000,000 2010/12/22
27622 BNP Paribas Arbit Issu B.V. Ch Ship Cont European Wt Jul11 0.51 3.19 per unit 2011/07/04 85,000,000 2010/12/22
27628 BNP Paribas Arbit Issu B.V. R&F Ppt European Wts Feb 2012 0.25 11.4 2012/02/02 100,000,000 2010/12/22
27623 BNP Paribas Arbit Issu B.V. HKEx European Put Wts Aug 2011 0.27 182.88 per 100 units 2011/08/02 100,000,000 2010/12/22
27619 Deutsche Bank AG CM Bank European Warrants Aug 2011 0.25 20.5 2011/08/08 150,000,000 2010/12/22
27617 Goldman Sachs SP (Asia) GCL-Poly Energy European Wts Jun11 0.37 3 per unit 2011/06/27 50,000,000 2010/12/22
27618 Goldman Sachs SP (Asia) GCL-Poly Energy European Wts Sep11 0.375 3.28 per unit 2011/09/19 50,000,000 2010/12/22
27613 HK Bank CHALCO European Warrants Aug 2011 0.49 8.38 per unit 2011/08/03 80,000,000 2010/12/22
27616 HK Bank China Agri European Warrants Sep 2011 0.82 11 per unit 2011/09/22 80,000,000 2010/12/22
27604 HK Bank China Mobile European Warrants Jun 2011 0.25 85.5 2011/06/22 150,000,000 2010/12/22
27607 HK Bank China Tel European Warrants Jun 2011 0.25 4.50 per unit 2011/06/22 100,000,000 2010/12/22
27614 HK Bank China Life European Warrants Aug 2011 0.25 36.68 2011/08/08 160,000,000 2010/12/22
27605 HK Bank China Shenhua European Warrants Jun 2011 0.25 35.38 2011/06/22 120,000,000 2010/12/22
27606 HK Bank Chi Taiping European Warrants Sep 2011 0.25 30.88 2011/09/22 80,000,000 2010/12/22
27609 HK Bank GCL-Poly Energy European Warrants Jul 2011 0.25 3.38 per unit 2011/07/28 80,000,000 2010/12/22
27610 HK Bank KECL European Warrants Dec 2011 0.25 13.5 2011/12/22 150,000,000 2010/12/22
27611 HK Bank Lenovo European Warrants Jun 2011 0.25 6.50 per unit 2011/06/22 100,000,000 2010/12/22
27612 HK Bank PetroChina European Warrants Oct 2012 0.15 11 2012/10/22 120,000,000 2010/12/22
27620 HK Bank Shimao Ppt European Warrants Dec 2011 0.25 13.8 2011/12/30 120,000,000 2010/12/22
27615 HK Bank Zhaojin Mining European Warrants Aug 2011 0.25 38.88 2011/08/18 100,000,000 2010/12/22
27590 Macquarie Bank Ltd. CHALCO European Warrants Dec 2011 0.157 6.88 2011/12/02 200,000,000 2010/12/22
27591 Macquarie Bank Ltd. CHALCO European Put Warrants Jul 2011 0.438 5.88 per unit 2011/07/05 100,000,000 2010/12/22
27592 Macquarie Bank Ltd. China Shenhua European Wts Aug 2011 0.25 37.88 2011/08/02 200,000,000 2010/12/22
27593 Macquarie Bank Ltd. Tencent European Warrants Oct 2011 0.25 200 per 100 units 2011/10/04 250,000,000 2010/12/22
27598 CC Rabobank B.A. Anhui Conch European Warrants Jun 2011 0.3 41.3 2011/06/03 100,000,000 2010/12/22
27599 CC Rabobank B.A. China Tel European Warrants May 2011 0.15 4.59 per unit 2011/05/09 100,000,000 2010/12/22
27600 CC Rabobank B.A. Chi Res Power European Warrants Aug 2011 0.15 14.9 2011/08/01 100,000,000 2010/12/22
27602 CC Rabobank B.A. CSR Times European Warrants Jun 2011 B 0.4 38 2011/06/23 100,000,000 2010/12/22
27601 CC Rabobank B.A. Li & Fung European Warrants Jun 2011 0.3 53 2011/06/23 100,000,000 2010/12/22
27624 RB of Scotland N.V. HSI European Put Warrants Jun 2011 A 0.25 22,600 per 7,000 units 2011/06/29 250,000,000 2010/12/22
27625 RB of Scotland N.V. HSI European Put Warrants Jun 2011 B 0.372 24,800 per 8,000 units 2011/06/29 250,000,000 2010/12/22
27603 Standard Chartered Bank Ping An European Warrants Jul 2011 0.67 98.8 2011/07/08 100,000,000 2010/12/22
27595 SGA Societe Generale Acceptance N.V. BBMG Euro Wts Dec 11 0.15 14 2011/12/21 200,000,000 2010/12/22
27594 SGA Societe Generale Acceptance N.V. BOCL Eu Wt Jul 2011 0.15 4.79 per 1 units 2011/07/04 200,000,000 2010/12/22
27596 SGA Societe Generale Acceptance N.V. CITBK Euro Wt Jul 11 0.33 6.08 per unit 2011/07/04 80,000,000 2010/12/22
27597 SGA Societe Generale Acceptance N.V. Shenhua Eu Wt Aug 11 0.25 36.88 2011/08/08 150,000,000 2010/12/22
27627 UBS AG HSI European Put Warrants Jun 2011 0.25 21,500 per 8,000 units 2011/06/29 200,000,000 2010/12/22
27626 UBS AG HSI European Put Warrants Apr 2011 G 0.15 22,500 per 8,000 units 2011/04/28 200,000,000 2010/12/22
27652 BNP Paribas Arbit Issu B.V. BOCL European Wts Sep 2011 0.32 4.30 per unit 2011/09/02 100,000,000 2010/12/23
27653 BNP Paribas Arbit Issu B.V. BYD European Warrants Dec 2011 0.7 50 2011/12/02 100,000,000 2010/12/23
27655 BNP Paribas Arbit Issu B.V. CNOOC European Wts Jan 2012 0.25 20 2012/01/04 100,000,000 2010/12/23
27654 BNP Paribas Arbit Issu B.V. Cathay Pacific Euro Wts Nov11 0.25 24 2011/11/02 100,000,000 2010/12/23
27656 BNP Paribas Arbit Issu B.V. Hutchison European Wts Nov 11B 0.74 93 2011/11/02 100,000,000 2010/12/23
27657 BNP Paribas Arbit Issu B.V. Li & Fung European Wts Oct11 0.53 48.48 2011/10/04 100,000,000 2010/12/23
27635 Credit Suisse AG China Coal European Warrants Jun 2011 0.15 12 2011/06/07 300,000,000 2010/12/23
27634 Credit Suisse AG HSBC European Wts Jan 2013 0.15 83.90 per 100 units 2013/01/25 300,000,000 2010/12/23
27636 Goldman Sachs SP (Asia) CC Bank European Wts Jul 2011 A 0.29 8.08 per unit 2011/07/04 200,000,000 2010/12/23
27637 Goldman Sachs SP (Asia) China Shenhua Euro Wts Apr 2011 0.224 34.4 2011/04/28 200,000,000 2010/12/23
27638 Goldman Sachs SP (Asia) China Shenhua Euro Wts Aug 2011 0.25 37.8 2011/08/15 200,000,000 2010/12/23
27639 Goldman Sachs SP (Asia) JIANC European Warrants Jun 2011 0.28 28.88 2011/06/27 100,000,000 2010/12/23
27640 Goldman Sachs SP (Asia) JIANC European Warrants Oct 2011 0.255 32 2011/10/03 100,000,000 2010/12/23
27644 J P Morgan SP BV CITIC Pacific Euro Wts Jun 2011 0.2 22 2011/06/20 100,000,000 2010/12/23
27645 J P Morgan SP BV Henderson Land Dev European Wts Jun 2011 0.25 60 2011/06/29 100,000,000 2010/12/23
27646 J P Morgan SP BV KECL European Warrants Dec 2011 0.15 13.28 2011/12/05 200,000,000 2010/12/23
27648 J P Morgan SP BV Maanshan Iron European Warrants Jun 2011A 0.33 4.28 per unit 2011/06/23 100,000,000 2010/12/23
27649 J P Morgan SP BV Maanshan Iron European Warrants Jun 2011B 0.25 5 per unit 2011/06/30 100,000,000 2010/12/23
27664 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt Jun 2011 0.25 4.48 per unit 2011/06/23 138,000,000 2010/12/23
27665 KBC Fin Products Int’l Ltd. BOCL European Wts Apr 2011 D 0.16 4.368 per 1 units 2011/04/15 138,000,000 2010/12/23
27666 KBC Fin Products Int’l Ltd. BOCL European Wts May 2011 C 0.2 4.50 per 1 units 2011/05/09 138,000,000 2010/12/23
27667 KBC Fin Products Int’l Ltd. BOCL European Wts Jun 2011 B 0.15 4.798 per 1 units 2011/06/01 138,000,000 2010/12/23
27668 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jun 2011 A 0.5 6.99 per unit 2011/06/01 138,000,000 2010/12/23
27669 KBC Fin Products Int’l Ltd. CC Bank Euro Wts Jun 2011 B 0.27 7.99 per unit 2011/06/03 168,000,000 2010/12/23
27670 KBC Fin Products Int’l Ltd. ICBC European Wts Apr 2011 C 0.36 5.89 per 1 units 2011/04/18 138,000,000 2010/12/23
27671 KBC Fin Products Int’l Ltd. ICBC European Wts May 2011 C 0.15 6.688 per unit 2011/05/30 138,000,000 2010/12/23
27672 KBC Fin Products Int’l Ltd. ICBC European Wts May 2011 D 0.15 6.948 per 1 units 2011/05/16 138,000,000 2010/12/23
27643 Macquarie Bank Ltd. CNOOC European Put Warrants Jul 2011 0.25 17.88 2011/07/05 200,000,000 2010/12/23
27630 Merrill Lynch Int’l & Co. C.V. China Life Eu Wt Jan 2012 0.162 38.89 2012/01/30 100,000,000 2010/12/23
27631 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts Dec 2011 B 0.265 93.99 2011/12/13 80,000,000 2010/12/23
27673 CC Rabobank B.A. China EB Ltd European Warrants Sep 2011 0.25 19 2011/09/20 120,000,000 2010/12/23
27641 CC Rabobank B.A. Chi Resources European Warrants Jun 2011 0.25 37 2011/06/24 80,000,000 2010/12/23
27642 CC Rabobank B.A. China Ship Dev European Warrants Jan 2012 0.25 11.6 2012/01/26 100,000,000 2010/12/23
27675 CC Rabobank B.A. CSR European Warrants Oct 2011 0.25 12.4 2011/10/27 100,000,000 2010/12/23
27674 CC Rabobank B.A. Golden Eagle European Warrants Jun 2011 0.25 25 2011/06/24 120,000,000 2010/12/23
27676 CC Rabobank B.A. Parkson Group European Warrants Oct 2011 0.25 14.2 2011/10/19 120,000,000 2010/12/23
27650 CC Rabobank B.A. Sany Int’l European Warrants Jul 2011 0.25 14.6 2011/07/25 120,000,000 2010/12/23
27632 CC Rabobank B.A. Yurun Food European Warrants Jun 2011 0.25 31 2011/06/24 80,000,000 2010/12/23
27633 CC Rabobank B.A. Zhaojin Mining European Warrants Jun 2011 0.25 40 2011/06/24 100,000,000 2010/12/23
27658 RB of Scotland N.V. BOCL European Warrants Jun 2011 0.25 4.53 per unit 2011/06/30 100,000,000 2010/12/23
27660 RB of Scotland N.V. China Life European Wts Jun 2011 A 0.275 32.38 2011/06/30 100,000,000 2010/12/23
27661 RB of Scotland N.V. China Life European Wts Jun 2011 B 0.25 34.88 2011/06/30 100,000,000 2010/12/23
27659 RB of Scotland N.V. China Mobile European Wts Jun 2011 B 0.294 80.88 2011/06/30 100,000,000 2010/12/23
27662 RB of Scotland N.V. HKEx European Warrants Jun 2011 D 0.171 175.18 per 100 units 2011/06/20 200,000,000 2010/12/23
27663 RB of Scotland N.V. HWL European Warrants Jun 2011 C 0.421 83.88 2011/06/30 80,000,000 2010/12/23
27629 SGA Societe Generale Acceptance N.V. CPIC Euro Wts Jun 11B 0.25 32.58 2011/06/27 100,000,000 2010/12/23
27651 UBS AG Ping An European Warrants Dec 2011 0.15 88.88 per 100 units 2011/12/19 300,000,000 2010/12/23
#
19426 Credit Suisse BOCL European Warrants Feb 2013 0.036 5.19 2013/02/25 1,000,000,000 2010/12/23
27696 BNP Paribas Arbit Issu B.V. HSI European Wts Jun 2011 0.18 24,000 per 7,000 units 2011/06/29 200,000,000 2010/12/24
27705 BNP Paribas Arbit Issu B.V. HSI European Wts Dec 2011 0.25 23,000 per 10,000 units 2011/12/29 200,000,000 2010/12/24
27697 BNP Paribas Arbit Issu B.V. HSI European Wts Sep 2011 B 0.16 25,000 per 8,000 units 2011/09/29 200,000,000 2010/12/24
27684 Credit Suisse AG Cheung Kong European Warrants Oct 2012 0.15 130.10 per 100 units 2012/10/02 300,000,000 2010/12/24
27687 Credit Suisse AG A50 China European Warrants Jul 2012 0.15 15.92 2012/07/30 300,000,000 2010/12/24
27688 Credit Suisse AG HKEx European Warrants Feb 2013 0.25 265.60 per 100 units 2013/02/25 500,000,000 2010/12/24
27695 Credit Suisse AG Ping An European Warrants Dec 2011 0.15 88.90 per 100 units 2011/12/19 300,000,000 2010/12/24
27686 Credit Suisse AG Ping An European Warrants Jun 2012 0.15 100 per 100 units 2012/06/25 300,000,000 2010/12/24
27685 Credit Suisse AG SHK Ppt European Warrants Feb 2012 0.15 145.10 per 100 units 2012/02/06 300,000,000 2010/12/24
27698 J P Morgan SP BV Air China European Warrants Sep 2011 0.15 9.88 2011/09/26 200,000,000 2010/12/24
27699 J P Morgan SP BV C Transmission European Warrants Jun 2011 0.15 14.48 2011/06/29 150,000,000 2010/12/24
27700 J P Morgan SP BV Sinopec Corp European Warrants Jun 2011 0.314 7.50 per unit 2011/06/29 100,000,000 2010/12/24
27702 J P Morgan SP BV HKEx European Put Wts May 2011 0.334 200 per 100 units 2011/05/26 300,000,000 2010/12/24
27703 J P Morgan SP BV Shimao Property European Wts Oct 2011 0.15 14.88 2011/10/28 150,000,000 2010/12/24
27704 J P Morgan SP BV Shimao Property European Wts Dec 2011 0.171 12.5 2011/12/14 150,000,000 2010/12/24
27689 KBC Fin Products Int’l Ltd. Agricultural Bk Eu Wt May2011B 0.15 4.78 per unit 2011/05/12 138,000,000 2010/12/24
27690 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2011 B 0.2 32.88 2011/06/01 198,000,000 2010/12/24
27691 KBC Fin Products Int’l Ltd. China Life Euro Wts Jun 2011 C 0.15 36 2011/06/24 198,000,000 2010/12/24
27692 KBC Fin Products Int’l Ltd. China Life Euro Wts Jul 2011 0.25 34.98 2011/07/08 188,000,000 2010/12/24
27711 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jun 2011 C 0.4 14.68 per unit 2011/06/24 138,000,000 2010/12/24
27712 KBC Fin Products Int’l Ltd. A50 Ch Euro Wts Jul 2011 0.25 15.98 per unit 2011/07/15 158,000,000 2010/12/24
27714 KBC Fin Products Int’l Ltd. A50 Ch European Put Wts Jul11B 0.65 11.88 per unit 2011/07/15 88,000,000 2010/12/24
27707 KBC Fin Products Int’l Ltd. HKEx European Warrants Sep 11 0.15 200 per 100 units 2011/09/19 198,000,000 2010/12/24
27706 KBC Fin Products Int’l Ltd. HKEx European Warrants Aug11B 0.25 180 per 100 units 2011/08/15 198,000,000 2010/12/24
27710 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jul 2011 A 0.27 96.88 2011/07/08 180,000,000 2010/12/24
27713 KBC Fin Products Int’l Ltd. Hutchison Eur Put Wts Jul 11D 0.85 76.88 2011/07/18 80,000,000 2010/12/24
27708 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2011 D 0.49 85.88 2011/06/24 138,000,000 2010/12/24
27709 KBC Fin Products Int’l Ltd. Hutchison Euro Wts Jun 2011 E 0.36 90 2011/06/15 188,000,000 2010/12/24
27693 KBC Fin Products Int’l Ltd. Ping An European Wts Jul 2011 0.25 108 2011/07/05 108,000,000 2010/12/24
27694 KBC Fin Products Int’l Ltd. Ping An European Wts Aug 2011 0.25 116.88 2011/08/08 108,000,000 2010/12/24
27678 Standard Chartered Bank China Life European Warrants Jun 11 0.255 31.88 2011/06/30 100,000,000 2010/12/24
27677 Standard Chartered Bank ICBC European Warrants Jun 2011 0.22 6.48 per unit 2011/06/20 100,000,000 2010/12/24
27680 SGA Societe Generale Acceptance N.V. CLife Eu Wt May 2011B 0.19 32.88 2011/05/30 300,000,000 2010/12/24
27681 SGA Societe Generale Acceptance NV Minsheng Bk Eu Wt Jul 11 0.38 7.38 per unit 2011/07/25 120,000,000 2010/12/24
27679 SGA Societe Generale Acceptance N.V. HSI Eur Wt May 2011 I 0.18 22,200 per 8,000 units 2011/05/30 300,000,000 2010/12/24
27683 SGA Societe Generale Acceptance N.V. HSI Eu Put Wt Jun 11B 0.25 23,200 per 8,000 units 2011/06/29 300,000,000 2010/12/24
27682 SGA Societe Generale Acceptance N.V. HWL Eur Wt Jun 2011 B 0.7 80.88 2011/06/27 120,000,000 2010/12/24
27767 BNP Paribas Arbit Issu B.V. Angang Steel European Wt Jul12 0.25 12.5 2012/07/04 100,000,000 2010/12/28
27769 BNP Paribas Arbit Issu B.V. Jiangxi Copper Eu Wts May 2011 0.17 26.9 2011/05/03 100,000,000 2010/12/28
27768 BNP Paribas Arbit Issu B.V. MTRC European Warrants Nov 2011 0.25 31 2011/11/02 65,000,000 2010/12/28
27770 BNP Paribas Arbit Issu B.V. Tencent Holdings Eu Wts Jul 11 0.18 175 per 100 units 2011/07/04 100,000,000 2010/12/28
27738 Credit Suisse AG Agricultural Bank European Wts Jun 2011 A 0.15 4.99 per unit 2011/06/13 300,000,000 2010/12/28
27739 Credit Suisse AG Agricultural Bank European Wts Jun 2011 B 0.25 4.388 per unit 2011/06/30 300,000,000 2010/12/28
27740 Credit Suisse AG AIA European Warrants May 2011 B 0.15 24.55 2011/05/23 300,000,000 2010/12/28
27749 Credit Suisse AG BOCL European Warrants Jul 2011 0.15 4.80 per 1 units 2011/07/04 300,000,000 2010/12/28
27734 Credit Suisse AG CC Bank European Warrants Jun 2011 A 0.15 8.89 per unit 2011/06/27 300,000,000 2010/12/28
27735 Credit Suisse AG CC Bank European Warrants Jun 2011 B 0.25 7.328 per unit 2011/06/30 300,000,000 2010/12/28
27736 Credit Suisse AG CC Bank European Warrants Jun 2011 C 0.25 7.828 per unit 2011/06/30 300,000,000 2010/12/28
27728 Credit Suisse AG Cheung Kong European Warrants Jun 2012 0.15 125.10 per 100 units 2012/06/04 300,000,000 2010/12/28
27745 Credit Suisse AG China Life European Warrants Jun 2011 B 0.15 36.4 2011/06/27 300,000,000 2010/12/28
27746 Credit Suisse AG China Life European Warrants Jun 2011 C 0.15 33.2 2011/06/24 300,000,000 2010/12/28
27747 Credit Suisse AG CM Bank European Warrants Jul 2011 0.15 22 2011/07/04 300,000,000 2010/12/28
27737 Credit Suisse AG China Mobile European Warrants Jun 2011 B 0.25 82.38 2011/06/30 300,000,000 2010/12/28
27733 Credit Suisse AG HKEx European Warrants May 2011 H 0.15 178 per 100 units 2011/05/13 300,000,000 2010/12/28
27730 Credit Suisse AG HSBC European Wts May 2011 B 0.15 99.99 2011/05/30 300,000,000 2010/12/28
27726 Credit Suisse AG HSCEI European Warrants Jun 2011 0.15 13,800 per 6,000 units 2011/06/29 300,000,000 2010/12/28
27741 Credit Suisse AG ICBC European Warrants Jun 2011 A 0.15 6.99 per unit 2011/06/22 300,000,000 2010/12/28
27742 Credit Suisse AG ICBC European Warrants Jun 2011 B 0.25 6.028 per unit 2011/06/30 300,000,000 2010/12/28
27743 Credit Suisse AG ICBC European Warrants Jun 2011 C 0.25 6.528 per unit 2011/06/30 300,000,000 2010/12/28
27732 Credit Suisse AG Jiangxi Copper European Wts Jun 2011 0.15 28 2011/06/30 300,000,000 2010/12/28
27744 Credit Suisse AG Ping An European Warrants Jun 2011 A 0.25 105.28 2011/06/30 300,000,000 2010/12/28
27715 HK Bank Belle Int’l European Warrants Nov 2011 0.15 15.68 2011/11/14 80,000,000 2010/12/28
27716 HK Bank HSI European Warrants Jun 2011 D 0.25 23,000 per 8,500 units 2011/06/29 400,000,000 2010/12/28
27717 HK Bank HSI European Warrants Jun 2011 E 0.15 24,300 per 8,000 units 2011/06/29 400,000,000 2010/12/28
27772 J P Morgan SP BV Anhui Conch European Warrants Jun 2011 B 0.25 36 2011/06/29 80,000,000 2010/12/28
27773 J P Morgan SP BV Ch LongYuan European Warrants Nov 2012 0.15 8.18 2012/11/26 138,000,000 2010/12/28
27775 J P Morgan SP BV China Mob European Wts May 2011 0.15 82 2011/05/30 200,000,000 2010/12/28
27731 J P Morgan SP BV China Mob European Put Warrants Dec 2011 0.15 80 per 100 units 2011/12/21 300,000,000 2010/12/28
27776 J P Morgan SP BV China Mob European Wts Jun 2011 B 0.284 78 2011/06/29 200,000,000 2010/12/28
27774 J P Morgan SP BV CNOOC European Warrants Jul 2011 B 0.15 18.88 2011/07/18 200,000,000 2010/12/28
27750 KBC Fin Products Int’l Ltd. HSI European Wts Jul 2011 A 0.25 23,600 per 8,000 units 2011/07/28 200,000,000 2010/12/28
27751 KBC Fin Products Int’l Ltd. HSI European Wts May 2011 C 0.2 22,200 per 8,000 units 2011/05/30 200,000,000 2010/12/28
27763 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 I 0.25 22,600 per 8,000 units 2011/06/29 200,000,000 2010/12/28
27764 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 J 0.25 23,200 per 7,800 units 2011/06/29 200,000,000 2010/12/28
27752 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Apr 2011 F 0.23 23,400 per 8,500 units 2011/04/28 200,000,000 2010/12/28
27760 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2011 E 0.236 23,000 per 8,000 units 2011/05/30 200,000,000 2010/12/28
27761 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2011 F 0.21 23,200 per 10,000 units 2011/05/30 200,000,000 2010/12/28
27762 KBC Fin Products Int’l Ltd. HSI Euro Put Wts May 2011 G 0.29 23,600 per 8,000 units 2011/05/30 200,000,000 2010/12/28
27753 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 A 0.25 21,600 per 7,800 units 2011/06/29 200,000,000 2010/12/28
27754 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 B 0.25 22,000 per 8,000 units 2011/06/29 200,000,000 2010/12/28
27755 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 C 0.25 22,400 per 8,500 units 2011/06/29 200,000,000 2010/12/28
27756 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 D 0.25 22,800 per 8,800 units 2011/06/29 200,000,000 2010/12/28
27757 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 E 0.29 23,800 per 9,000 units 2011/06/29 200,000,000 2010/12/28
27758 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 F 0.36 24,200 per 8,000 units 2011/06/29 200,000,000 2010/12/28
27759 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jun 2011 G 0.41 25,000 per 8,500 units 2011/06/29 200,000,000 2010/12/28
27723 Macquarie Bank Ltd. BankComm European Warrants Jul 2011 0.277 9.28 per unit 2011/07/05 100,000,000 2010/12/28
27727 Macquarie Bank Ltd. BankComm European Put Wts Jul 2011 0.436 6.88 per unit 2011/07/05 100,000,000 2010/12/28
27724 Macquarie Bank Ltd. China Railway European Wts Jul 2011 0.252 7 per unit 2011/07/05 100,000,000 2010/12/28
27725 Macquarie Bank Ltd. Tencent European Put Warrants Aug2011A 0.154 160 per 100 units 2011/08/29 250,000,000 2010/12/28
27718 CC Rabobank B.A. China Bluechem European Warrants Oct 2012 0.15 6 2012/10/11 100,000,000 2010/12/28
27719 CC Rabobank B.A. C Transmission European Warrants Jun 11B 0.15 14.5 2011/06/27 100,000,000 2010/12/28
27720 CC Rabobank B.A. ENN Energy European Warrants Jul 2011 0.3 26.5 2011/07/28 100,000,000 2010/12/28
27721 CC Rabobank B.A. PCD Stores European Warrants Jun 2011 0.25 2.70 per unit 2011/06/29 80,000,000 2010/12/28
27722 CC Rabobank B.A. ZTE European Warrants Jun 2011 0.25 36 2011/06/29 75,000,000 2010/12/28
27771 RB of Scotland N.V. A50 China European Put Wts Jun 2011 0.256 14.88 2011/06/29 250,000,000 2010/12/28
27765 UBS AG China Life European Warrants Jul 2011 A 0.25 31.88 2011/07/11 300,000,000 2010/12/28
27848 BNP Paribas Arbit Issu B.V. Ch Comm Cons Eur Wt Dec 2013 0.25 6.6 2013/12/03 200,000,000 2010/12/29
27849 BNP Paribas Arbit Issu B.V. HSBC European Wts Jul 2011 B 0.33 86 2011/07/04 200,000,000 2010/12/29
27850 BNP Paribas Arbit Issu B.V. HSCEI European Wts Dec 2011 0.25 13,200 per 6,000 units 2011/12/29 100,000,000 2010/12/29
27851 BNP Paribas Arbit Issu B.V. HSCEI European Wts Jun 2012 0.26 14,000 per 6,000 units 2012/06/28 100,000,000 2010/12/29
27827 Credit Suisse AG Agricultural Bank European Wts Jun 2011 C 0.15 4.60 per unit 2011/06/20 300,000,000 2010/12/29
27830 Credit Suisse AG BOCL European Warrants Jun 2011 0.25 4.628 per unit 2011/06/30 300,000,000 2010/12/29
27824 Credit Suisse AG CC Bank European Warrants Jun 2011 D 0.15 8.29 per unit 2011/06/27 300,000,000 2010/12/29
27825 Credit Suisse AG CC Bank European Warrants Jun 2011 E 0.5 6.828 per unit 2011/06/30 300,000,000 2010/12/29
27826 Credit Suisse AG China Mobile European Warrants Jun 2011 C 0.35 77.28 2011/06/30 300,000,000 2010/12/29
27823 Credit Suisse AG CNOOC European Warrants Jun 2011 B 0.15 17.9 2011/06/20 300,000,000 2010/12/29
27815 Credit Suisse AG HSBC European Wts May 2011 C 0.15 85.6 2011/05/03 300,000,000 2010/12/29
27816 Credit Suisse AG HSBC European Wts May 2011 D 0.15 88.3 2011/05/09 300,000,000 2010/12/29
27814 Credit Suisse AG HSCEI European Warrants Apr 2011 C 0.15 12,600 per 6,000 units 2011/04/28 300,000,000 2010/12/29
27819 Credit Suisse AG Hutchison European Warrants Jun 2011 A 0.15 113.9 2011/06/20 300,000,000 2010/12/29
27817 Credit Suisse AG Hutchison European Warrants May 2011 E 0.2 90 2011/05/23 300,000,000 2010/12/29
27818 Credit Suisse AG Hutchison European Warrants May 2011 F 0.15 98.9 2011/05/30 300,000,000 2010/12/29
27828 Credit Suisse AG Ping An European Warrants Jun 2011 B 0.5 88.8 2011/06/30 300,000,000 2010/12/29
27829 Credit Suisse AG Ping An European Warrants Jun 2011 C 0.3 96.25 2011/06/30 300,000,000 2010/12/29
27820 Credit Suisse AG SHK Ppt European Warrants Jul 2011 0.15 133.90 per 100 units 2011/07/22 300,000,000 2010/12/29
27821 Credit Suisse AG Tencent Holdings European Wts Jun 2011 E 0.15 175.10 per 100 units 2011/06/24 300,000,000 2010/12/29
27822 Credit Suisse AG Tencent Holdings European Wts Jun 2011 F 0.15 188.90 per 100 units 2011/06/24 300,000,000 2010/12/29
27831 Citigroup Global Mkt H Inc. Agile Ppt European Wts Nov2011 0.15 12.49 2011/11/22 80,000,000 2010/12/29
27832 Citigroup Global Mkt H Inc. CHALCO European Warrants Nov11 0.15 6.89 2011/11/21 80,000,000 2010/12/29
27833 Citigroup Global Mkt H Inc. BankComm European Wts Jul 2011 0.25 8.80 per unit 2011/07/26 80,000,000 2010/12/29
27835 Citigroup Global Mkt H Inc. China Tel Euro Wts Jul 2011 A 0.25 4.38 per unit 2011/07/11 60,000,000 2010/12/29
27834 Citigroup Global Mkt H Inc. Chi Taiping European Wts Dec11 0.25 27.88 2011/12/30 60,000,000 2010/12/29
27836 Citigroup Global Mkt H Inc. Evergrande European Wts Aug 11 0.25 4.68 per unit 2011/08/22 80,000,000 2010/12/29
27837 Citigroup Global Mkt H Inc. New World European Wts Sep2011 0.15 16 2011/09/30 80,000,000 2010/12/29
27838 Citigroup Global Mkt H Inc. Shimao Ppt Euro Wts Nov 2011 0.15 14.28 2011/11/28 80,000,000 2010/12/29
27843 Deutsche Bank AG China Life European Warrants Apr 2011 D 0.15 33.88 2011/04/19 300,000,000 2010/12/29
27844 Deutsche Bank AG HSBC European Warrants Mar 2011 B 0.15 87 2011/03/28 300,000,000 2010/12/29
27780 Goldman Sachs SP (Asia) Minsheng Bank European Wts Jul2011 0.375 7.28 per unit 2011/07/04 50,000,000 2010/12/29
27781 Goldman Sachs SP (Asia) KECL European Warrants Aug 2011 0.157 12.4 2011/08/29 200,000,000 2010/12/29
27782 Goldman Sachs SP (Asia) Sinopharm European Warrants Jul 11 0.265 28.98 2011/07/11 100,000,000 2010/12/29
27783 Goldman Sachs SP (Asia) Yanzhou Coal European Wts Jul 2011 0.255 23.08 2011/07/04 200,000,000 2010/12/29
27784 J P Morgan SP BV Agricultural Bk European Warrants Jun 11B 0.33 4 per unit 2011/06/29 150,000,000 2010/12/29
27785 J P Morgan SP BV AIA European Warrants Jul 2011 0.25 22.88 2011/07/28 200,000,000 2010/12/29
27798 J P Morgan SP BV Alibaba European Warrants Nov 2011 0.15 15.88 2011/11/22 120,000,000 2010/12/29
27839 J P Morgan SP BV CHALCO European Warrants Nov 2012 0.15 7.8 2012/11/26 200,000,000 2010/12/29
27840 J P Morgan SP BV Anta Sports European Warrants Sep 2011 0.25 13 2011/09/29 100,000,000 2010/12/29
27786 J P Morgan SP BV Belle Int’l European Warrants Dec 2011 0.25 15 2011/12/29 150,000,000 2010/12/29
27790 J P Morgan SP BV Ch Comm Cons European Warrants Dec 2011 0.15 6 2011/12/22 250,000,000 2010/12/29
27841 J P Morgan SP BV China COSCO European Warrants Aug 2011 0.15 8.5 2011/08/22 200,000,000 2010/12/29
27789 J P Morgan SP BV China Coal European Warrants Sep 2011 0.15 12.5 2011/09/23 200,000,000 2010/12/29
27788 J P Morgan SP BV CITIC Bank European Warrants Jun 2011 C 0.375 5 per unit 2011/06/29 80,000,000 2010/12/29
27791 J P Morgan SP BV China Shenhua European Warrants Jun 2011 0.25 34 2011/06/29 150,000,000 2010/12/29
27792 J P Morgan SP BV Henganintl European Warrants Jun 2012 B 0.15 68.88 per 100 units 2012/06/18 180,000,000 2010/12/29
27793 J P Morgan SP BV ICBC European Warrants Jun 2011 A 0.25 6 per unit 2011/06/29 200,000,000 2010/12/29
27794 J P Morgan SP BV ICBC European Warrants Jun 2011 B 0.25 6.60 per unit 2011/06/29 200,000,000 2010/12/29
27795 J P Morgan SP BV Lenovo European Warrants Jun 2011 B 0.269 5.50 per unit 2011/06/29 80,000,000 2010/12/29
27842 J P Morgan SP BV Ping An European Warrants Mar 2012 B 0.15 93.88 per 100 units 2012/03/12 300,000,000 2010/12/29
27796 J P Morgan SP BV Sinopharm European Warrants Jun 2011 0.26 30 2011/06/29 80,000,000 2010/12/29
27797 J P Morgan SP BV Sinopharm European Warrants Aug 2011 0.25 33.88 2011/08/15 80,000,000 2010/12/29
27805 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Apr 2011 B 0.15 12,600 per 6,000 units 2011/04/28 128,000,000 2010/12/29
27806 KBC Fin Products Int’l Ltd. HSCEI Euro Wts Jun 2011 C 0.25 12,000 per 5,800 units 2011/06/29 128,000,000 2010/12/29
27810 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2011 E 0.25 12,000 per 5,800 units 2011/06/29 128,000,000 2010/12/29
27811 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2011 F 0.25 12,400 per 5,800 units 2011/06/29 128,000,000 2010/12/29
27812 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2011 G 0.25 13,200 per 6,000 units 2011/06/29 128,000,000 2010/12/29
27813 KBC Fin Products Int’l Ltd. HSCEI Euro Put Wts Jun 2011 H 0.25 13,800 per 6,000 units 2011/06/29 128,000,000 2010/12/29
27807 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Jul 2011 0.53 26,200 per 8,000 units 2011/07/28 200,000,000 2010/12/29
27845 KBC Fin Products Int’l Ltd. HSI European Wts May 2011 H 0.15 24,400 per 8,000 units 2011/05/30 200,000,000 2010/12/29
27803 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 K 0.25 21,800 per 7,500 units 2011/06/29 200,000,000 2010/12/29
27846 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 L 0.15 24,000 per 7,000 units 2011/06/29 200,000,000 2010/12/29
27847 KBC Fin Products Int’l Ltd. HSI European Wts Jun 2011 M 0.15 24,800 per 8,000 units 2011/06/29 200,000,000 2010/12/29
27804 KBC Fin Products Int’l Ltd. HSI European Wts Jul 2011 B 0.28 21,400 per 8,000 units 2011/07/28 200,000,000 2010/12/29
27808 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Aug 2011 A 0.43 25,800 per 9,000 units 2011/08/30 200,000,000 2010/12/29
27809 KBC Fin Products Int’l Ltd. HSI Euro Put Wts Aug 2011 B 0.53 26,600 per 8,500 units 2011/08/30 200,000,000 2010/12/29
27799 Macquarie Bank Ltd. BYD European Warrants Jul 2011 0.34 55 2011/07/28 100,000,000 2010/12/29
27800 Macquarie Bank Ltd. China Mobile European Wts Jun 2011 B 0.25 85 2011/06/29 300,000,000 2010/12/29
27801 Macquarie Bank Ltd. Ch Southern Air European Wts Jun 2011 0.5 5 per unit 2011/06/29 100,000,000 2010/12/29
27802 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt Mar 2011 C 0.43 74.99 2011/03/30 80,000,000 2010/12/29
27779 Standard Chartered Bank China Mobile European Wts Jun 11B 0.27 80.88 2011/06/30 100,000,000 2010/12/29
27778 Standard Chartered Bank HSBC European Warrants Jun 2011 C 0.36 82.88 2011/06/02 100,000,000 2010/12/29
27777 UBS AG ICBC European Warrants Jul 2011 0.25 6.88 per unit 2011/07/11 100,000,000 2010/12/29
27748 UBS AG ICBC European Warrants Apr 2011 B 0.2 6.16 per 1 units 2011/04/20 100,000,000 2010/12/29
27887 Barclays Bank plc AIA European Warrants Oct 2011 0.25 22.8 2011/10/31 100,000,000 2010/12/30
27886 Barclays Bank plc China Mobile European Wts Jul 2011 0.26 85 2011/07/25 100,000,000 2010/12/30
27889 Barclays Bank plc China Life European Warrants Aug 2011 0.26 34.5 2011/08/29 120,000,000 2010/12/30
27885 Barclays Bank plc CNOOC European Warrants Dec 2011 0.25 20 2011/12/28 100,000,000 2010/12/30
27888 Barclays Bank plc ICBC European Warrants Aug 2011 B 0.27 6.50 per unit 2011/08/29 100,000,000 2010/12/30
27858 BOCI Asia Ltd. BOCL European Warrants Aug 2011 0.25 4.60 per unit 2011/08/08 100,000,000 2010/12/30
27861 BOCI Asia Ltd. BOCL European Put Warrants Aug 2011 0.25 3.60 per unit 2011/08/08 100,000,000 2010/12/30
27859 BOCI Asia Ltd. Ch LongYuan European Warrants Dec 2012 0.15 8.18 2012/12/03 100,000,000 2010/12/30
27908 BNP Paribas Arbit Issu B.V. Alibaba European Warrants Oct11 0.17 14.9 2011/10/03 100,000,000 2010/12/30
27916 BNP Paribas Arbit Issu B.V. China Agri European Wts Jan13 0.25 9 2013/01/03 100,000,000 2010/12/30
27917 BNP Paribas Arbit Issu B.V. China COSCO European Wts Jan13 0.25 8.3 2013/01/03 100,000,000 2010/12/30
27909 BNP Paribas Arbit Issu B.V. CITIC Bank Euro Wts Jul 2011 0.35 5.50 per unit 2011/07/05 80,000,000 2010/12/30
27911 BNP Paribas Arbit Issu B.V. Hang Seng Bank Eu Wts Jan 2013 0.25 123 per 100 units 2013/01/03 100,000,000 2010/12/30
27918 BNP Paribas Arbit Issu B.V. Lee & Man Paper Euro Wt Jul13 0.25 5.5 2013/07/03 100,000,000 2010/12/30
27912 BNP Paribas Arbit Issu B.V. Li Ning European Warrants Jul11 0.25 20 2011/07/05 100,000,000 2010/12/30
27913 BNP Paribas Arbit Issu B.V. Sino Land European Wts Nov11 0.25 16 2011/11/02 100,000,000 2010/12/30
27914 BNP Paribas Arbit Issu B.V. Swrie Pacific A Euro Wts Aug11 0.25 117 per 100 units 2011/08/02 100,000,000 2010/12/30
27915 BNP Paribas Arbit Issu B.V. Wharf European Warrants Aug 11 0.52 65 2011/08/02 70,000,000 2010/12/30
27910 BNP Paribas Arbit Issu B.V. Yurun Food European Wts Oct11 0.45 26 2011/10/04 100,000,000 2010/12/30
27904 Citigroup Global Mkt H Inc. China Coal European Wts Aug 11 0.15 14.08 2011/08/25 80,000,000 2010/12/30
27906 Citigroup Global Mkt H Inc. Esprit European Wts Jul 2011 0.25 44.48 2011/07/11 80,000,000 2010/12/30
27907 Citigroup Global Mkt H Inc. Tencent European Warrants Oct 11 0.25 188.88 per 100 units 2011/10/11 100,000,000 2010/12/30
27905 Citigroup Global Mkt H Inc. Yurun Food Euro Wts Jun 2011 0.25 29.88 2011/06/30 60,000,000 2010/12/30
27880 J P Morgan SP BV Agile Ppt European Warrants Jul 2011 B 0.15 13.88 2011/07/20 150,000,000 2010/12/30
27873 J P Morgan SP BV BOCL European Warrants Jun 2011 0.25 4.20 per unit 2011/06/30 200,000,000 2010/12/30
27874 J P Morgan SP BV BOCL European Warrants Jul 2011 0.25 4.60 per unit 2011/07/15 200,000,000 2010/12/30
27878 J P Morgan SP BV CM Bank European Warrants Jun 2011 C 0.25 20 2011/06/30 180,000,000 2010/12/30
27872 J P Morgan SP BV A50 China European Warrants Nov 2011 0.15 12.88 2011/11/21 300,000,000 2010/12/30
27875 J P Morgan SP BV Hang Lung Ppt European Warrants Jun 2011 0.25 40 2011/06/30 80,000,000 2010/12/30
27879 J P Morgan SP BV Huaneng Power European Warrants Jun 2011 0.288 4.68 per unit 2011/06/30 70,000,000 2010/12/30
27876 J P Morgan SP BV Li & Fung European Warrants Jun 2011 0.25 50 2011/06/30 80,000,000 2010/12/30
27877 J P Morgan SP BV Stanchart European Warrants Jun 2011 0.25 250 per 100 units 2011/06/30 100,000,000 2010/12/30
27881 J P Morgan SP BV Zijin Mining European Warrants Dec 2011 B 0.15 7.88 2011/12/20 200,000,000 2010/12/30
27902 KBC Fin Products Int’l Ltd. China Agri European Wts Sep11 0.58 11.18 per unit 2011/09/01 68,000,000 2010/12/30
27903 KBC Fin Products Int’l Ltd. China Agri Euro Put Wts Oct11 0.25 9.28 2011/10/28 80,000,000 2010/12/30
27890 KBC Fin Products Int’l Ltd. Cathay Pac Euro Wts Aug 2011 0.25 21.88 2011/08/08 68,000,000 2010/12/30
27898 KBC Fin Products Int’l Ltd. Cathay Pacific Eu Put Wt Sep11 0.25 20.18 2011/09/30 68,000,000 2010/12/30
27892 KBC Fin Products Int’l Ltd. HK Elec European Wts Sep 2011 0.29 50 2011/09/15 80,000,000 2010/12/30
27899 KBC Fin Products Int’l Ltd. HK Electric Euro Put Wts Sep11 0.25 46 2011/09/15 80,000,000 2010/12/30
27891 KBC Fin Products Int’l Ltd. HS Bank European Wts Jul 2011 0.45 142 2011/07/08 80,000,000 2010/12/30
27895 KBC Fin Products Int’l Ltd. HSBC European Wts Aug 2011 0.25 104.88 2011/08/10 168,000,000 2010/12/30
27893 KBC Fin Products Int’l Ltd. HSBC European Wts Jun 2011 B 0.34 86.88 2011/06/30 168,000,000 2010/12/30
27894 KBC Fin Products Int’l Ltd. HSBC European Wts Jul 2011 B 0.25 98.88 2011/07/18 168,000,000 2010/12/30
27896 KBC Fin Products Int’l Ltd. Sino Land European Wts Sep11 0.25 16.88 2011/09/01 68,000,000 2010/12/30
27900 KBC Fin Products Int’l Ltd. Sino Land Euro Put Wts Sep11 0.26 14.88 2011/09/15 68,000,000 2010/12/30
27897 KBC Fin Products Int’l Ltd. Swrie Pacific A Euro Wts Nov11 0.25 120 per 100 units 2011/11/11 68,000,000 2010/12/30
27901 KBC Fin Products Int’l Ltd Swrie Pacific A Euro Put Wt Sep11 0.25 126 per 100 units 2011/09/30 68,000,000 2010/12/30
27882 Macquarie Bank Ltd. Hang Seng Bank European Wts Jul 2011 0.251 158.88 2011/07/05 200,000,000 2010/12/30
27854 Merrill Lynch Int’l & Co. C.V. Ch Mobile Eur Wt May 2011 0.237 81.99 2011/05/23 80,000,000 2010/12/30
27852 Merrill Lynch Int’l & Co. C.V. CK(H) European Wts May 11A 0.152 148.89 2011/05/23 80,000,000 2010/12/30
27855 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts May2011A 0.172 99.99 2011/05/03 80,000,000 2010/12/30
27857 Merrill Lynch Int’l & Co. C.V. Hutchison Eu Put Wt Oct 2011 0.183 89.99 per 100 units 2011/10/10 80,000,000 2010/12/30
27856 Merrill Lynch Int’l & Co. C.V. Hutchison Euro Wts Jun 11C 0.158 108.89 2011/06/10 80,000,000 2010/12/30
27863 CC Rabobank B.A. CC Bank European Warrants May 2011 0.42 7.50 per unit 2011/05/23 200,000,000 2010/12/30
27865 CC Rabobank B.A. COSCO Pacific European Warrants Aug 2011 0.15 15 2011/08/01 100,000,000 2010/12/30
27862 CC Rabobank B.A. Cathay Pacific European Warrants Jun 2011 0.15 25.9 2011/06/20 100,000,000 2010/12/30
27864 CC Rabobank B.A. Ch Southern Air European Warrants Jun 11 0.4 5.02 per unit 2011/06/30 100,000,000 2010/12/30
27866 CC Rabobank B.A. Esprit European Warrants May 2011 0.26 42 2011/05/31 120,000,000 2010/12/30
27867 CC Rabobank B.A. HSBC European Warrants May 2011 D 0.3 85.9 2011/05/04 200,000,000 2010/12/30
27868 CC Rabobank B.A. HSBC European Warrants May 2011 E 0.2 92.85 2011/05/30 200,000,000 2010/12/30
27869 CC Rabobank B.A. ICBC European Warrants May 2011 0.25 6.29 per unit 2011/05/31 100,000,000 2010/12/30
27870 CC Rabobank B.A. Ping An European Warrants Apr 2011 0.3 98.88 2011/04/19 100,000,000 2010/12/30
27871 CC Rabobank B.A. Want Want China European Warrants Jun 11 0.5 7.50 per unit 2011/06/30 80,000,000 2010/12/30
27919 RB of Scotland N.V. HSBC European Warrants Jun 2011 C 0.345 86.2 2011/06/29 80,000,000 2010/12/30
27884 Standard Chartered Bank China Life Euro Put Wts Jul11 0.25 28.88 2011/07/04 100,000,000 2010/12/30
27883 Standard Chartered Bank Ping An European Warrants Dec 2011 0.15 88.83 per 100 units 2011/12/19 100,000,000 2010/12/30
27933 BNP Paribas Arbit Issu B.V. BOCHK European Warrants Jul 11 0.15 29 2011/07/05 100,000,000 2010/12/31
27934 BNP Paribas Arbit Issu B.V. Cheung Kong Euro Wt Jul 2011 0.43 145 2011/07/05 90,000,000 2010/12/31
27935 BNP Paribas Arbit Issu B.V. HKEx European Wts Jul 2011 C 0.15 188.80 per 100 units 2011/07/05 100,000,000 2010/12/31
27936 BNP Paribas Arbit Issu B.V. KECL European Warrants Sep 11 0.16 12.4 2011/09/02 100,000,000 2010/12/31
27937 BNP Paribas Arbit Issu B.V. Ping An European Wts Jul 2011 0.52 100 2011/07/05 100,000,000 2010/12/31
27938 BNP Paribas Arbit Issu B.V. SHK Ppt European Warrants May11 0.31 160 2011/05/04 90,000,000 2010/12/31
27927 J P Morgan SP BV China Unicom European Warrants Nov 2011 0.15 13 2011/11/25 200,000,000 2010/12/31
27932 Macquarie Bank Ltd. CM Bank European Warrants Dec 2011 0.162 23.98 2011/12/12 250,000,000 2010/12/31
27920 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 11F 0.152 19.89 2011/06/21 80,000,000 2010/12/31
27921 Merrill Lynch Int’l & Co. C.V. CNOOC European Wts Jun 11G 0.152 20.39 2011/06/09 80,000,000 2010/12/31
27922 Merrill Lynch Int’l & Co. C.V. HS Bank Euro Wts Jul 2011 0.25 149.99 2011/07/25 80,000,000 2010/12/31
27923 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts May 2011 D 0.27 85.89 2011/05/18 80,000,000 2010/12/31
27924 Merrill Lynch Int’l & Co. C.V. HSBC Euro Wts May 2011 E 0.214 88.29 2011/05/23 80,000,000 2010/12/31
27925 Merrill Lynch Int’l & Co. C.V. ICBC European Wts Apr 2011C 0.15 6.379 per 1 units 2011/04/27 80,000,000 2010/12/31
27926 Merrill Lynch Int’l & Co. C.V. JX Copper Euro Wts Jun 2011 0.152 28.99 2011/06/13 80,000,000 2010/12/31
27940 RB of Scotland N.V. Minsheng Bank European Wts Mar 2011 0.154 7.58 per unit 2011/03/31 80,000,000 2010/12/31
27939 RB of Scotland N.V. Minsheng Bank European Wts Jun 2011 0.344 6.99 per unit 2011/06/13 80,000,000 2010/12/31
27929 UBS AG Agricultural Bank European Warrants Jul 2011 0.25 4.68 per unit 2011/07/11 200,000,000 2010/12/31
27928 UBS AG Agricultural Bank European Warrants Apr 2011 C 0.25 4.08 per unit 2011/04/11 200,000,000 2010/12/31
27930 UBS AG BOCL European Warrants Jul 2011 0.25 4.58 per unit 2011/07/11 100,000,000 2010/12/31
27931 UBS AG HSBC European Warrants Jun 2011 C 0.25 88.88 2011/06/14 200,000,000 2010/12/31
#
Further issue
69390 Credit Suisse AG HSI R Bull CBBC May 2010 X 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/05/28 210,000,000 2010/01/04
69383 Credit Suisse AG HSI R Bull CBBC Jun 2010 N 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/06/29 200,000,000 2010/01/04
69386 Credit Suisse AG HSI R Bear CBBC May 2010 Y 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/05/28 200,000,000 2010/01/04
69389 Deutsche Bank AG HSI R Bull CBBC May 2010 R 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/05/28 300,000,000 2010/01/04
69384 Deutsche Bank AG HSI R Bear CBBC Apr 2010 Y 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/04/29 300,000,000 2010/01/04
69393 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2010 V 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/04/29 200,000,000 2010/01/04
69394 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2010 L 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2010/05/28 200,000,000 2010/01/04
69391 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 R 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/04/29 208,000,000 2010/01/04
69392 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 S 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/04/29 208,000,000 2010/01/04
69385 UBS AG HSBC R Bear CBBC Jun 2010 C 0.250 93.88 per 100 units 88.88 per 100 units 2010/06/07 200,000,000 2010/01/04
69388 UBS AG HSI R Bull CBBC Apr 2010 M 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/04/29 300,000,000 2010/01/04
69387 UBS AG HSI R Bear CBBC Apr 2010 V 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/04/29 300,000,000 2010/01/04
69443 RB of Scotland N.V. China Mobile R Bull CBBC Apr 2010 A 0.250 51.28 per 100 units 55.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69444 RB of Scotland N.V. China Mobile R Bull CBBC Apr 2010 B 0.250 56.28 per 100 units 60.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69445 RB of Scotland N.V. China Mobile R Bull CBBC Apr 2010 C 0.250 61.28 per 100 units 65.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69449 RB of Scotland N.V. China Mobile R Bear CBBC Apr 2010 D 0.250 79.28 per 100 units 75.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69450 RB of Scotland N.V. China Mobile R Bear CBBC Apr 2010 E 0.250 84.28 per 100 units 80.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69451 RB of Scotland N.V. China Mobile R Bear CBBC Apr 2010 F 0.250 89.28 per 100 units 85.28 per 100 units 2010/04/21 80,000,000 2010/01/05
69452 RB of Scotland N.V. China Mobile R Bear CBBC Apr 2010 G 0.250 94.25 per 100 units 90.25 per 100 units 2010/04/21 80,000,000 2010/01/05
69446 RB of Scotland N.V. CC Bank R Bear CBBC Apr 2010 A 0.250 8.380 7.880 2010/04/21 80,000,000 2010/01/05
69459 RB of Scotland N.V. Ch Life R Bull CBBC May 2010 A 0.250 30.88 per 100 units 32.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69461 RB of Scotland N.V. Ch Life R Bull CBBC May 2010 B 0.250 32.88 per 100 units 34.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69462 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 C 0.250 41.68 per 100 units 40.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69463 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 D 0.250 43.68 per 100 units 42.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69464 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 E 0.250 45.68 per 100 units 44.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69465 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 F 0.250 47.68 per 100 units 46.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69466 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 G 0.250 49.68 per 100 units 48.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69467 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 H 0.250 51.68 per 100 units 50.28 per 100 units 2010/05/26 80,000,000 2010/01/05
69433 RB of Scotland N.V. A50 China R Bull CBBC Apr 2010 A 0.256 11.820 12.320 2010/04/21 80,000,000 2010/01/05
69434 RB of Scotland N.V. A50 China R Bull CBBC Apr 2010 B 0.250 12.820 13.320 2010/04/21 80,000,000 2010/01/05
69435 RB of Scotland N.V. A50 China R Bull CBBC Jun 2010 A 0.250 12.320 12.820 2010/06/18 80,000,000 2010/01/05
69437 RB of Scotland N.V. A50 China R Bull CBBC Jun 2010 B 0.250 13.320 13.820 2010/06/18 80,000,000 2010/01/05
69438 RB of Scotland N.V. A50 China R Bear CBBC Apr 2010 C 0.250 16.820 16.320 2010/04/21 80,000,000 2010/01/05
69439 RB of Scotland N.V. A50 China R Bear CBBC Apr 2010 D 0.250 15.820 15.320 2010/04/21 80,000,000 2010/01/05
69440 RB of Scotland N.V. A50 China R Bear CBBC Jun 2010 C 0.304 17.320 16.820 2010/06/18 80,000,000 2010/01/05
69441 RB of Scotland N.V. A50 China R Bear CBBC Jun 2010 D 0.250 16.320 15.820 2010/06/18 80,000,000 2010/01/05
69442 RB of Scotland N.V. A50 China R Bear CBBC Jun 2010 E 0.505 19.320 18.820 2010/06/18 80,000,000 2010/01/05
69447 RB of Scotland N.V. TCH R Bear CBBC Jun 2010 A 0.341 195.80 per 100 units 188.80 per 100 units 2010/06/18 80,000,000 2010/01/05
69448 RB of Scotland N.V. TCH R Bear CBBC Jun 2010 B 0.541 215.80 per 100 units 208.80 per 100 units 2010/06/18 80,000,000 2010/01/05
69396 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Apr 2010 T 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/04/29 300,000,000 2010/01/05
69395 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Apr 2010 U 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/04/29 300,000,000 2010/01/05
69401 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2010 R 0.250 23,300 per 15,000 units 22,800 per 15,000 units 2010/04/29 300,000,000 2010/01/05
69457 Credit Suisse AG HSI R Bull CBBC May 2010 J 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/05/28 200,000,000 2010/01/05
69398 Credit Suisse AG HSI R Bear CBBC May 2010 N 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/05/28 200,000,000 2010/01/05
69427 Deutsche Bank AG HSI R Bull CBBC Jun 2010 J 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 300,000,000 2010/01/05
69428 Deutsche Bank AG HSI R Bull CBBC Jun 2010 K 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/05
69397 Deutsche Bank AG HSI R Bear CBBC May 2010 S 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/05/28 300,000,000 2010/01/05
69458 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2010 M 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/05/28 200,000,000 2010/01/05
69432 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10E 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/05
69431 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10F 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/06/29 300,000,000 2010/01/05
69430 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10G 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/06/29 300,000,000 2010/01/05
69429 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10H 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2010/06/29 300,000,000 2010/01/05
69436 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10D 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/06/29 300,000,000 2010/01/05
69399 UBS AG CHALCO R Bull CBBC Jun 2010 A 0.250 6.380 7.380 2010/06/21 100,000,000 2010/01/05
69402 UBS AG CHALCO R Bull CBBC Jun 2010 B 0.250 6.880 7.880 2010/06/07 100,000,000 2010/01/05
69416 UBS AG CHALCO R Bear CBBC Jun 2010 C 0.250 10.380 9.380 2010/06/07 100,000,000 2010/01/05
69417 UBS AG CHALCO R Bear CBBC Jun 2010 D 0.250 10.880 9.880 2010/06/21 100,000,000 2010/01/05
69404 UBS AG BOC HK R Bull CBBC Jun 2010 A 0.270 14.880 15.880 2010/06/14 100,000,000 2010/01/05
69419 UBS AG BOC HK R Bear CBBC Jun 2010 B 0.335 20.880 19.880 2010/06/14 100,000,000 2010/01/05
69403 UBS AG BankComm R Bull CBBC Jun 2010 A 0.250 7.280 7.880 2010/06/14 100,000,000 2010/01/05
69418 UBS AG BankComm R Bear CBBC Jun 2010 B 0.250 10.480 9.880 2010/06/14 100,000,000 2010/01/05
69406 UBS AG COVS R Bull CBBC Jun 2010 A 0.255 13.880 14.880 2010/06/28 100,000,000 2010/01/05
69420 UBS AG COVS R Bear CBBC Jun 2010 B 0.350 19.880 18.880 2010/06/28 100,000,000 2010/01/05
69409 UBS AG China Tel R Bull CBBC Jun 2010 A 0.250 2.480 2.880 2010/06/21 100,000,000 2010/01/05
69422 UBS AG China Tel R Bear CBBC Jun 2010 B 0.250 4.280 3.880 2010/06/21 100,000,000 2010/01/05
69410 UBS AG CUni R Bull CBBC Jun 2010 A 0.250 7.880 8.880 2010/06/14 100,000,000 2010/01/05
69423 UBS AG CUni R Bear CBBC Jun 2010 B 0.325 12.880 11.880 2010/06/14 100,000,000 2010/01/05
69405 UBS AG CCHC R Bull CBBC Jul 2010 A 0.255 6.880 7.880 2010/07/05 100,000,000 2010/01/05
69453 UBS AG China Life R Bull CBBC May 2010 L 0.250 36.880 37.880 2010/05/03 200,000,000 2010/01/05
69407 UBS AG China Shenhua R Bull CBBC May 2010 A 0.250 29.88 per 100 units 31.88 per 100 units 2010/05/31 100,000,000 2010/01/05
69408 UBS AG China Shenhua R Bull CBBC May 2010 B 0.250 31.88 per 100 units 33.88 per 100 units 2010/05/17 100,000,000 2010/01/05
69421 UBS AG China Shenhua R Bear CBBC May 2010 C 0.250 43.88 per 100 units 41.88 per 100 units 2010/05/31 100,000,000 2010/01/05
69425 UBS AG A50 China R Bear CBBC Apr 2010 G 0.250 14.880 14.380 2010/04/12 200,000,000 2010/01/05
69411 UBS AG R&F R Bull CBBC Jun 2010 A 0.370 9.880 11.380 2010/06/21 100,000,000 2010/01/05
69412 UBS AG R&F R Bull CBBC Jun 2010 B 0.270 10.880 12.380 2010/06/07 100,000,000 2010/01/05
69424 UBS AG HKEx R Bear CBBC May 2010 G 0.250 144.88 per 100 units 138.88 per 100 units 2010/05/03 200,000,000 2010/01/05
69454 UBS AG HSBC R Bull CBBC Jun 2010 D 0.250 83.88 per 100 units 88.88 per 100 units 2010/06/07 200,000,000 2010/01/05
69455 UBS AG HSI R Bull CBBC Jun 2010 V 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/05
69456 UBS AG HSI R Bull CBBC Jul 2010 L 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/07/29 300,000,000 2010/01/05
69426 UBS AG HSI R Bear CBBC Jun 2010 W 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/06/29 300,000,000 2010/01/05
69460 UBS AG HSI R Bear CBBC Jul 2010 M 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/07/29 300,000,000 2010/01/05
69413 UBS AG Jiangxi Copper R Bull CBBC Jun 2010 C 0.455 13.680 14.880 2010/06/21 100,000,000 2010/01/05
69414 UBS AG Jiangxi Copper R Bull CBBC Jun 2010 D 0.355 14.680 15.880 2010/06/14 100,000,000 2010/01/05
69415 UBS AG Ping An R Bull CBBC Jun 2010 A 0.250 52.88 per 100 units 58.88 per 100 units 2010/06/07 100,000,000 2010/01/05
69483 RB of Scotland N.V. DJIA R Bear CBBC Jun 2010 B 0.346 11,400 per 20,000 units 11,000 per 20,000 units 2010/06/18 40,000,000 2010/01/06
69486 RB of Scotland N.V. DJIA R Bear CBBC Jun 2010 C 0.735 12,400 per 20,000 units 12,000 per 20,000 units 2010/06/18 40,000,000 2010/01/06
69487 RB of Scotland N.V. DJIA R Bear CBBC Jun 2010 D 0.620 12,900 per 30,000 units 12,500 per 30,000 units 2010/06/18 40,000,000 2010/01/06
69468 RB of Scotland N.V. HKEx R Bull CBBC May 2010 A 0.250 114.80 per 100 units 120.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69469 RB of Scotland N.V. HKEx R Bull CBBC May 2010 B 0.250 119.80 per 100 units 125.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69470 RB of Scotland N.V. HKEx R Bull CBBC May 2010 C 0.250 124.80 per 100 units 130.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69474 RB of Scotland N.V. HKEx R Bear CBBC May 2010 D 0.250 151.80 per 100 units 145.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69475 RB of Scotland N.V. HKEx R Bear CBBC May 2010 E 0.250 156.80 per 100 units 150.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69476 RB of Scotland N.V. HKEx R Bear CBBC May 2010 F 0.255 161.80 per 100 units 155.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69477 RB of Scotland N.V. HKEx R Bear CBBC May 2010 G 0.305 166.80 per 100 units 160.80 per 100 units 2010/05/26 80,000,000 2010/01/06
69471 RB of Scotland N.V. HSCEI R Bull CBBC Apr 2010 A 0.250 10,700 per 12,000 units 11,200 per 12,000 units 2010/04/29 250,000,000 2010/01/06
69472 RB of Scotland N.V. HSCEI R Bull CBBC Apr 2010 B 0.250 11,100 per 12,000 units 11,600 per 12,000 units 2010/04/29 250,000,000 2010/01/06
69473 RB of Scotland N.V. HSCEI R Bull CBBC Apr 2010 C 0.250 11,500 per 12,000 units 12,000 per 12,000 units 2010/04/29 250,000,000 2010/01/06
69478 RB of Scotland N.V. HSCEI R Bear CBBC Apr 2010 D 0.250 14,100 per 12,000 units 13,600 per 12,000 units 2010/04/29 250,000,000 2010/01/06
69479 RB of Scotland N.V. HSCEI R Bear CBBC Apr 2010 E 0.250 14,500 per 12,000 units 14,000 per 12,000 units 2010/04/29 250,000,000 2010/01/06
69480 RB of Scotland N.V. Nikkei 225 R Bull CBBC Apr 2010 A 0.250 9,600 per 1,000 units 10,000 per 1,000 units 2010/04/09 40,000,000 2010/01/06
69484 RB of Scotland N.V. Nikkei 225 R Bear CBBC Apr 2010 B 0.250 11,900 per 1,000 units 11,500 per 1,000 units 2010/04/09 40,000,000 2010/01/06
69485 RB of Scotland N.V. Nikkei 225 R Bear CBBC Apr 2010 C 0.250 12,400 per 1,000 units 12,000 per 1,000 units 2010/04/09 40,000,000 2010/01/06
69481 RB of Scotland N.V. Nikkei 225 R Bear CBBC Jun 2010 E 0.250 12,900 per 1,000 units 12,500 per 1,000 units 2010/06/11 40,000,000 2010/01/06
69492 Credit Suisse AG HSI R Bull CBBC May 2010 Z 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/05/28 200,000,000 2010/01/06
69496 Credit Suisse AG HSI R Bear CBBC May 2010 I 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/05/28 210,000,000 2010/01/06
69490 Deutsche Bank AG HSI R Bull CBBC Jun 2010 L 0.280 19,800 per 15,000 units 20,400 per 15,000 units 2010/06/29 300,000,000 2010/01/06
69491 Deutsche Bank AG HSI R Bear CBBC Apr 2010 B 0.250 22,100 per 15,000 units 21,500 per 15,000 units 2010/04/29 300,000,000 2010/01/06
69488 UBS AG China Life R Bear CBBC May 2010 M 0.250 38.880 37.880 2010/05/10 200,000,000 2010/01/06
69489 UBS AG HSI R Bull CBBC Apr 2010 U 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/04/29 300,000,000 2010/01/06
69508 RB of Scotland N.V. HSCEI R Bull CBBC May 2010 A 0.296 9,100 per 12,000 units 9,600 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69509 RB of Scotland N.V. HSCEI R Bull CBBC May 2010 B 0.263 9,500 per 12,000 units 10,000 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69511 RB of Scotland N.V. HSCEI R Bull CBBC May 2010 C 0.258 9,900 per 12,000 units 10,400 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69512 RB of Scotland N.V. HSCEI R Bull CBBC May 2010 D 0.258 10,300 per 12,000 units 10,800 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69516 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 E 0.250 13,700 per 12,000 units 13,200 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69517 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 F 0.279 15,700 per 12,000 units 15,200 per 12,000 units 2010/05/28 250,000,000 2010/01/07
69505 Credit Suisse AG A50 China R Bull CBBC May 2010 C 0.250 13.400 14.000 2010/05/31 100,000,000 2010/01/07
69499 Credit Suisse AG HSI R Bear CBBC May 2010 E 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2010/05/28 210,000,000 2010/01/07
69506 Deutsche Bank AG China Life R Bull CBBC Jun 2010 B 0.250 36.180 37.180 2010/06/07 150,000,000 2010/01/07
69510 Deutsche Bank AG China Life R Bear CBBC Jun 2010 C 0.300 39.680 38.680 2010/06/14 150,000,000 2010/01/07
69507 Deutsche Bank AG HSI R Bear CBBC Apr 2010 O 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/04/29 300,000,000 2010/01/07
69497 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 T 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/04/29 208,000,000 2010/01/07
69498 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 U 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/04/29 208,000,000 2010/01/07
69493 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10C 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/06/29 300,000,000 2010/01/07
69494 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10Q 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/06/29 300,000,000 2010/01/07
69495 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC Jun10B 0.350 195 per 100 units 179 per 100 units 2010/06/30 100,000,000 2010/01/07
69502 UBS AG China Mobile R Bear CBBC Apr 2010 H 0.250 74.88 per 100 units 70.88 per 100 units 2010/04/12 200,000,000 2010/01/07
69504 UBS AG HSI R Bear CBBC Apr 2010 N 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/04/29 300,000,000 2010/01/07
69500 UBS AG TCH R Bull CBBC Apr 2010 H 0.250 145.88 per 100 units 153.88 per 100 units 2010/04/19 100,000,000 2010/01/07
69503 UBS AG TCH R Bear CBBC Jun 2010 A 0.340 196.88 per 100 units 188.88 per 100 units 2010/06/21 100,000,000 2010/01/07
69523 Credit Suisse AG China Mobile R Bull CBBC Apr 2010 D 0.250 65 per 100 units 70 per 100 units 2010/04/26 100,000,000 2010/01/08
69524 Credit Suisse AG HSI R Bull CBBC May 2010 Q 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/05/28 200,000,000 2010/01/08
69515 Credit Suisse AG HSI R Bear CBBC May 2010 F 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/05/28 200,000,000 2010/01/08
69525 Credit Suisse AG TCH R Bull CBBC May 2010 B 0.250 152 per 100 units 160 per 100 units 2010/05/31 100,000,000 2010/01/08
69518 Credit Suisse AG TCH R Bear CBBC May 2010 A 0.315 196 per 100 units 188 per 100 units 2010/05/31 100,000,000 2010/01/08
69528 Deutsche Bank AG HSI R Bull CBBC Jun 2010 M 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/06/29 300,000,000 2010/01/08
69514 Deutsche Bank AG HSI R Bear CBBC Apr 2010 K 0.250 22,400 per 15,000 units 21,800 per 15,000 units 2010/04/29 300,000,000 2010/01/08
69526 Deutsche Bank AG TCH R Bull CBBC May 2010 A 0.340 143 per 100 units 150 per 100 units 2010/05/31 150,000,000 2010/01/08
69527 Deutsche Bank AG TCH R Bull CBBC Jun 2010 A 0.250 153 per 100 units 160 per 100 units 2010/06/07 150,000,000 2010/01/08
69529 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Apr 10C 0.250 13.180 13.680 2010/04/08 188,000,000 2010/01/08
69530 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Apr 10D 0.250 13.780 14.280 2010/04/08 188,000,000 2010/01/08
69513 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 V 0.250 22,400 per 15,000 units 21,800 per 15,000 units 2010/04/29 308,000,000 2010/01/08
69531 UBS AG China Mobile R Bull CBBC Apr 2010 I 0.250 66.88 per 100 units 70.88 per 100 units 2010/04/12 200,000,000 2010/01/08
69535 UBS AG China Mobile R Bear CBBC Apr 2010 J 0.250 76.88 per 100 units 72.88 per 100 units 2010/04/12 200,000,000 2010/01/08
69532 UBS AG Sinopec Corp R Bull CBBC Apr 2010 E 0.250 6.080 6.880 2010/04/12 100,000,000 2010/01/08
69537 UBS AG A50 China R Bull CBBC Apr 2010 J 0.250 14.280 14.880 2010/04/12 200,000,000 2010/01/08
69520 UBS AG A50 China R Bear CBBC Apr 2010 I 0.250 15.480 14.880 2010/04/12 200,000,000 2010/01/08
69533 UBS AG HKEx R Bull CBBC May 2010 H 0.250 132.88 per 100 units 138.88 per 100 units 2010/05/03 200,000,000 2010/01/08
69538 UBS AG HSI R Bull CBBC Apr 2010 B 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/04/29 300,000,000 2010/01/08
69521 UBS AG HSI R Bear CBBC May 2010 J 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/05/28 300,000,000 2010/01/08
69522 UBS AG HSI R Bear CBBC Jun 2010 Q 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/08
69534 UBS AG Jiangxi Copper R Bull CBBC Jun 2010 E 0.270 15.680 16.880 2010/06/14 100,000,000 2010/01/08
69519 UBS AG TCH R Bull CBBC Apr 2010 I 0.250 150.88 per 100 units 158.88 per 100 units 2010/04/19 100,000,000 2010/01/08
69536 UBS AG TCH R Bear CBBC Jun 2010 B 0.335 201.88 per 100 units 193.88 per 100 units 2010/06/21 100,000,000 2010/01/08
68955 # HK Bank Sinopec Corp R Bull CBBC Apr 2010 A 0.104 5.880 6.280 2010/04/23 150,000,000 2010/01/08
68956 # HK Bank Sinopec Corp R Bull CBBC Apr 2010 B 0.151 5.380 5.780 2010/04/23 150,000,000 2010/01/08
69550 Credit Suisse AG China Life R Bull CBBC May 2010 K 0.250 35.800 37.000 2010/05/24 100,000,000 2010/01/11
69554 Credit Suisse AG HSI R Bull CBBC May 2010 O 0.250 21,200 per 15,000 units 21,700 per 15,000 units 2010/05/28 210,000,000 2010/01/11
69539 Credit Suisse AG HSI R Bear CBBC May 2010 S 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/05/28 210,000,000 2010/01/11
69549 Deutsche Bank AG HSI R Bull CBBC Jun 2010 N 0.250 21,200 per 12,000 units 21,700 per 12,000 units 2010/06/29 300,000,000 2010/01/11
69542 Deutsche Bank AG HSI R Bear CBBC Apr 2010 Z 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/04/29 300,000,000 2010/01/11
69551 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2010 A 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/04/29 200,000,000 2010/01/11
69555 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2010 M 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/04/29 200,000,000 2010/01/11
69552 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 X 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/04/29 208,000,000 2010/01/11
69548 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 W 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/04/29 208,000,000 2010/01/11
69544 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10N 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2010/06/29 300,000,000 2010/01/11
69543 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10O 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/06/29 300,000,000 2010/01/11
69545 UBS AG HSCEI R Bull CBBC Apr 2010 H 0.250 12,000 per 20,000 units 12,500 per 20,000 units 2010/04/29 200,000,000 2010/01/11
69546 UBS AG HSI R Bull CBBC Jun 2010 X 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/06/29 300,000,000 2010/01/11
69540 UBS AG HSI R Bear CBBC Apr 2010 R 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/04/29 300,000,000 2010/01/11
69541 UBS AG HSI R Bear CBBC Jun 2010 Y 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/06/29 300,000,000 2010/01/11
68954 # HK Bank China Mobile R Bull CBBC Jun 2010 A 0.114 61.80 per 100 units 64.80 per 100 units 2010/06/18 250,000,000 2010/01/11
69582 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 N 0.250 21,300 per 13,000 units 21,800 per 13,000 units 2010/05/28 300,000,000 2010/01/12
69578 Credit Suisse AG HSI R Bull CBBC May 2010 W 0.250 21,700 per 10,000 units 22,200 per 10,000 units 2010/05/28 200,000,000 2010/01/12
69579 Credit Suisse AG HSI R Bull CBBC Jun 2010 O 0.250 21,400 per 15,000 units 21,900 per 15,000 units 2010/06/29 210,000,000 2010/01/12
69553 Credit Suisse AG HSI R Bear CBBC May 2010 Y 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/05/28 200,000,000 2010/01/12
69577 Deutsche Bank AG HSI R Bull CBBC May 2010 T 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/05/28 300,000,000 2010/01/12
69576 Deutsche Bank AG HSI R Bull CBBC May 2010 U 0.260 21,500 per 12,000 units 22,000 per 12,000 units 2010/05/28 300,000,000 2010/01/12
69557 Deutsche Bank AG HSI R Bear CBBC May 2010 V 0.250 22,600 per 12,000 units 22,100 per 12,000 units 2010/05/28 300,000,000 2010/01/12
69580 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2010 J 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2010/05/28 200,000,000 2010/01/12
69581 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2010 K 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/05/28 200,000,000 2010/01/12
69556 HK Bank HSI R Bull CBBC May 2010 K 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/05/28 80,000,000 2010/01/12
69563 KBC Fin Products Int’l Ltd. CHALCO R Bull CBBC Apr 2010 B 0.250 7.480 8.480 2010/04/15 100,000,000 2010/01/12
69564 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 Y 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/04/29 248,000,000 2010/01/12
69565 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 Z 0.250 21,600 per 12,000 units 22,200 per 12,000 units 2010/04/29 248,000,000 2010/01/12
69572 UBS AG CHALCO R Bull CBBC Jun 2010 E 0.250 7.380 8.380 2010/06/07 100,000,000 2010/01/12
69574 UBS AG China Mobile R Bull CBBC Apr 2010 K 0.250 68.88 per 100 units 72.88 per 100 units 2010/04/12 200,000,000 2010/01/12
69573 UBS AG CC Bank R Bull CBBC May 2010 D 0.250 5.980 6.380 2010/05/03 100,000,000 2010/01/12
69559 UBS AG China Life R Bear CBBC May 2010 N 0.250 39.880 38.880 2010/05/03 200,000,000 2010/01/12
69560 UBS AG HKEx R Bear CBBC May 2010 I 0.250 144.88 per 100 units 138.88 per 100 units 2010/05/03 200,000,000 2010/01/12
69567 UBS AG HSI R Bull CBBC Apr 2010 Q 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/04/29 300,000,000 2010/01/12
69566 UBS AG HSI R Bull CBBC Jun 2010 E 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 300,000,000 2010/01/12
69562 UBS AG HSI R Bear CBBC Jun 2010 G 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/06/29 300,000,000 2010/01/12
69570 UBS AG HSI R Bear CBBC Jun 2010 H 0.250 24,000 per 10,000 units 23,500 per 10,000 units 2010/06/29 300,000,000 2010/01/12
69571 UBS AG HSI R Bear CBBC Jun 2010 U 0.250 24,500 per 10,000 units 24,000 per 10,000 units 2010/06/29 300,000,000 2010/01/12
69561 UBS AG HSI R Bear CBBC Jun 2010 Z 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/06/29 300,000,000 2010/01/12
69569 UBS AG HSI R Bear CBBC Aug 2010 A 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2010/08/30 300,000,000 2010/01/12
69558 UBS AG Hutchison R Bull CBBC Jun 2010 C 0.250 43.88 per 100 units 48.88 per 100 units 2010/06/07 100,000,000 2010/01/12
69575 UBS AG Jiangxi Copper R Bull CBBC Jun 2010 F 0.305 16.680 17.880 2010/06/14 100,000,000 2010/01/12
69609 RB of Scotland N.V. HSI R Bull CBBC May 2010 A 0.251 20,700 per 10,000 units 21,200 per 10,000 units 2010/05/28 250,000,000 2010/01/13
69610 RB of Scotland N.V. HSI R Bull CBBC May 2010 B 0.251 21,100 per 13,000 units 21,600 per 13,000 units 2010/05/28 250,000,000 2010/01/13
69611 RB of Scotland N.V. HSI R Bull CBBC May 2010 C 0.251 21,500 per 10,000 units 22,000 per 10,000 units 2010/05/28 250,000,000 2010/01/13
69612 RB of Scotland N.V. HSI R Bear CBBC Jun 2010 Q 0.251 24,500 per 13,000 units 24,000 per 13,000 units 2010/06/29 250,000,000 2010/01/13
69606 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 C 0.303 145.80 per 100 units 152.80 per 100 units 2010/06/18 80,000,000 2010/01/13
69607 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 D 0.250 151.80 per 100 units 158.80 per 100 units 2010/06/18 80,000,000 2010/01/13
69608 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 E 0.251 155.80 per 100 units 162.80 per 100 units 2010/06/18 80,000,000 2010/01/13
69658 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 O 0.250 21,500 per 13,000 units 22,000 per 13,000 units 2010/05/28 300,000,000 2010/01/13
69659 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 P 0.250 21,900 per 14,000 units 22,400 per 14,000 units 2010/05/28 300,000,000 2010/01/13
69663 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 Q 0.250 24,100 per 15,000 units 23,500 per 15,000 units 2010/05/28 300,000,000 2010/01/13
69625 Credit Suisse AG HKEx R Bull CBBC May 2010 H 0.250 134 per 100 units 140 per 100 units 2010/05/31 100,000,000 2010/01/13
69621 Credit Suisse AG HSI R Bull CBBC May 2010 T 0.250 21,900 per 10,000 units 22,400 per 10,000 units 2010/05/28 200,000,000 2010/01/13
69605 Credit Suisse AG HSI R Bear CBBC May 2010 V 0.250 22,800 per 15,000 units 22,300 per 15,000 units 2010/05/28 210,000,000 2010/01/13
69660 Deutsche Bank AG China Life R Bull CBBC Jun 2010 D 0.300 37.180 38.180 2010/06/14 150,000,000 2010/01/13
69661 Deutsche Bank AG CNOOC R Bull CBBC Jun 2010 A 0.250 11.380 12.180 2010/06/14 150,000,000 2010/01/13
69662 Deutsche Bank AG HKEx R Bull CBBC Jun 2010 B 0.250 134.18 per 100 units 140.18 per 100 units 2010/06/07 150,000,000 2010/01/13
69620 Deutsche Bank AG HSI R Bull CBBC Jun 2010 O 0.250 21,900 per 12,000 units 22,400 per 12,000 units 2010/06/29 300,000,000 2010/01/13
69664 Deutsche Bank AG HSI R Bull CBBC Jun 2010 P 0.250 21,500 per 15,000 units 22,100 per 15,000 units 2010/06/29 300,000,000 2010/01/13
69600 Deutsche Bank AG HSI R Bear CBBC Apr 2010 F 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/04/29 300,000,000 2010/01/13
69601 Deutsche Bank AG HSI R Bear CBBC Apr 2010 W 0.260 23,000 per 12,000 units 22,500 per 12,000 units 2010/04/29 300,000,000 2010/01/13
69665 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2010 B 0.250 21,700 per 15,000 units 22,200 per 15,000 units 2010/04/29 200,000,000 2010/01/13
69613 KBC Fin Products Int’l Ltd. CHALCO R Bull CBBC May 2010 A 0.250 8.080 9.080 2010/05/03 100,000,000 2010/01/13
69614 KBC Fin Products Int’l Ltd. CCHC R Bull CBBC May 2010 A 0.250 8.500 9.500 2010/05/18 100,000,000 2010/01/13
69615 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Jun 2010 A 0.250 5.880 6.680 2010/06/01 208,000,000 2010/01/13
69616 KBC Fin Products Int’l Ltd. China Shenhua R Bull CBBC Jun10A 0.250 35.68 per 100 units 37.68 per 100 units 2010/06/01 100,000,000 2010/01/13
69624 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 D 0.250 21,900 per 10,000 units 22,400 per 10,000 units 2010/04/29 208,000,000 2010/01/13
69617 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 A 0.250 23,000 per 10,000 units 22,500 per 10,000 units 2010/04/29 208,000,000 2010/01/13
69587 Macquarie Bank Ltd. HSI R Bull CBBC Apr 2010 B 0.251 21,100 per 12,000 units 21,600 per 12,000 units 2010/04/29 300,000,000 2010/01/13
69595 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 F 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/07/29 200,000,000 2010/01/13
69596 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 G 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/07/29 200,000,000 2010/01/13
69597 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 H 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/07/29 200,000,000 2010/01/13
69598 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 I 0.250 21,200 per 12,000 units 21,700 per 12,000 units 2010/07/29 200,000,000 2010/01/13
69599 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 J 0.250 21,400 per 12,000 units 21,900 per 12,000 units 2010/07/29 200,000,000 2010/01/13
69590 SGA Societe Generale Acceptance N.V CK(H) R Bull CBBC Jun10A 0.250 84 per 100 units 90 per 100 units 2010/06/30 100,000,000 2010/01/13
69594 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC May10F 0.250 13.300 14.000 2010/05/26 150,000,000 2010/01/13
69591 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Jun10A 0.250 80 per 100 units 85 per 100 units 2010/06/30 300,000,000 2010/01/13
69586 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10I 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 300,000,000 2010/01/13
69585 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10J 0.250 21,600 per 15,000 units 22,100 per 15,000 units 2010/06/29 300,000,000 2010/01/13
69584 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10K 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/06/29 300,000,000 2010/01/13
69583 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10M 0.250 21,400 per 12,000 units 21,900 per 12,000 units 2010/06/29 300,000,000 2010/01/13
69618 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10S 0.250 21,800 per 10,000 units 22,300 per 10,000 units 2010/06/29 300,000,000 2010/01/13
69619 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10U 0.250 21,900 per 15,000 units 22,400 per 15,000 units 2010/06/29 300,000,000 2010/01/13
69623 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10T 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2010/06/29 300,000,000 2010/01/13
69588 SGA Societe Generale Acceptance N.V. HWL R Bull CBBC Jun10A 0.250 47 per 100 units 50 per 100 units 2010/06/30 150,000,000 2010/01/13
69592 SGA Societe Generale Acceptance N.V. HWL R Bear CBBC Jun10B 0.250 69 per 100 units 65 per 100 units 2010/06/30 150,000,000 2010/01/13
69589 SGA Societe Generale Acceptance N.V PetCh R Bull CBBC Jun10A 0.250 8.400 9.000 2010/06/30 200,000,000 2010/01/13
69593 SGA Societe Generale Acceptance N.V PetCh R Bear CBBC Jun10B 0.250 11.700 11.000 2010/06/30 200,000,000 2010/01/13
69630 UBS AG CHALCO R Bull CBBC Jun 2010 F 0.250 7.880 8.880 2010/06/07 100,000,000 2010/01/13
69647 UBS AG China Mobile R Bear CBBC May 2010 D 0.250 86.88 per 100 units 82.88 per 100 units 2010/05/10 200,000,000 2010/01/13
69635 UBS AG China Tel R Bull CBBC Jun 2010 C 0.250 2.680 3.080 2010/06/21 100,000,000 2010/01/13
69642 UBS AG CC Bank R Bear CBBC May 2010 E 0.250 8.280 7.880 2010/05/24 100,000,000 2010/01/13
69632 UBS AG CCHC R Bull CBBC Apr 2010 A 0.250 8.880 9.880 2010/04/19 100,000,000 2010/01/13
69633 UBS AG CCHC R Bull CBBC Jul 2010 B 0.280 7.880 8.880 2010/07/05 100,000,000 2010/01/13
69631 UBS AG Cheung Kong R Bull CBBC Jun 2010 D 0.250 85.88 per 100 units 93.88 per 100 units 2010/06/07 100,000,000 2010/01/13
69634 UBS AG China Life R Bull CBBC May 2010 O 0.250 37.880 38.880 2010/05/03 200,000,000 2010/01/13
69644 UBS AG China Life R Bear CBBC May 2010 P 0.455 43.880 42.880 2010/05/03 200,000,000 2010/01/13
69645 UBS AG China Life R Bear CBBC May 2010 Q 0.560 44.880 43.880 2010/05/17 200,000,000 2010/01/13
69646 UBS AG China Life R Bear CBBC May 2010 R 0.660 45.880 44.880 2010/05/17 200,000,000 2010/01/13
69643 UBS AG CM Bank R Bear CBBC Jun 2010 C 0.480 25.880 23.880 2010/06/21 100,000,000 2010/01/13
69636 UBS AG CNOOC R Bull CBBC Jun 2010 B 0.255 10.580 11.380 2010/06/07 100,000,000 2010/01/13
69657 UBS AG A50 China R Bear CBBC May 2010 B 0.250 16.980 16.380 2010/05/17 200,000,000 2010/01/13
69648 UBS AG R&F R Bear CBBC Jun 2010 C 0.250 15.880 14.380 2010/06/07 100,000,000 2010/01/13
69652 UBS AG HKEx R Bull CBBC May 2010 K 0.250 137.88 per 100 units 143.88 per 100 units 2010/05/03 200,000,000 2010/01/13
69602 UBS AG HKEx R Bear CBBC May 2010 J 0.250 149.88 per 100 units 143.88 per 100 units 2010/05/17 200,000,000 2010/01/13
69654 UBS AG HKEx R Bear CBBC May 2010 L 0.250 159.88 per 100 units 153.88 per 100 units 2010/05/03 200,000,000 2010/01/13
69655 UBS AG HKEx R Bear CBBC May 2010 M 0.250 164.88 per 100 units 158.88 per 100 units 2010/05/17 200,000,000 2010/01/13
69656 UBS AG HKEx R Bear CBBC May 2010 N 0.250 169.88 per 100 units 163.88 per 100 units 2010/05/17 200,000,000 2010/01/13
69649 UBS AG HSBC R Bear CBBC Jun 2010 E 0.250 108.88 per 100 units 103.88 per 100 units 2010/06/07 200,000,000 2010/01/13
69626 UBS AG HSI R Bull CBBC Apr 2010 H 0.250 21,900 per 12,000 units 22,400 per 12,000 units 2010/04/29 300,000,000 2010/01/13
69627 UBS AG HSI R Bull CBBC May 2010 W 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/05/28 300,000,000 2010/01/13
69628 UBS AG HSI R Bull CBBC Jun 2010 J 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/06/29 300,000,000 2010/01/13
69603 UBS AG HSI R Bear CBBC Apr 2010 V 0.250 23,000 per 10,000 units 22,500 per 10,000 units 2010/04/29 300,000,000 2010/01/13
69604 UBS AG HSI R Bear CBBC May 2010 A 0.250 22,800 per 10,000 units 22,300 per 10,000 units 2010/05/28 300,000,000 2010/01/13
69629 UBS AG HSI R Bear CBBC Jul 2010 P 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2010/07/29 300,000,000 2010/01/13
69650 UBS AG Hutchison R Bear CBBC Jun 2010 D 0.250 68.88 per 100 units 63.88 per 100 units 2010/06/14 100,000,000 2010/01/13
69637 UBS AG Petrochina R Bull CBBC Jun 2010 B 0.250 8.280 8.880 2010/06/21 100,000,000 2010/01/13
69638 UBS AG Petrochina R Bull CBBC Jun 2010 C 0.250 8.780 9.380 2010/06/21 100,000,000 2010/01/13
69639 UBS AG SHK Ppt R Bull CBBC Jun 2010 F 0.250 100.88 per 100 units 108.88 per 100 units 2010/06/14 100,000,000 2010/01/13
69651 UBS AG SHK Ppt R Bear CBBC Jun 2010 G 0.255 141.88 per 100 units 133.88 per 100 units 2010/06/14 100,000,000 2010/01/13
69640 UBS AG TCH R Bull CBBC Jun 2010 C 0.250 155.88 per 100 units 163.88 per 100 units 2010/06/07 100,000,000 2010/01/13
69653 UBS AG TCH R Bear CBBC Jun 2010 D 0.335 206.88 per 100 units 198.88 per 100 units 2010/06/21 100,000,000 2010/01/13
69691 RB of Scotland N.V. CNOOC R Bear CBBC Jun 2010 A 0.251 15.180 14.180 2010/06/21 80,000,000 2010/01/14
69692 RB of Scotland N.V. CNOOC R Bear CBBC Jun 2010 B 0.342 16.180 15.180 2010/06/21 80,000,000 2010/01/14
69689 RB of Scotland N.V. HKEx R Bull CBBC Jun 2010 A 0.251 129.88 per 100 units 135.88 per 100 units 2010/06/21 80,000,000 2010/01/14
69690 RB of Scotland N.V. HKEx R Bull CBBC Jun 2010 B 0.250 134.88 per 100 units 140.88 per 100 units 2010/06/21 80,000,000 2010/01/14
69668 Credit Suisse AG HSI R Bull CBBC May 2010 N 0.250 21,800 per 15,000 units 22,300 per 15,000 units 2010/05/28 210,000,000 2010/01/14
69669 Credit Suisse AG HSI R Bull CBBC Jun 2010 Q 0.250 21,300 per 38,000 units 21,800 per 38,000 units 2010/06/29 190,000,000 2010/01/14
69673 Credit Suisse AG HSI R Bear CBBC May 2010 A 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2010/05/28 200,000,000 2010/01/14
69686 Deutsche Bank AG China Mobile R Bull CBBC Jun 2010 A 0.250 66.68 per 100 units 70.68 per 100 units 2010/06/14 150,000,000 2010/01/14
69666 Deutsche Bank AG HSI R Bull CBBC May 2010 Y 0.250 21,800 per 10,000 units 22,300 per 10,000 units 2010/05/28 300,000,000 2010/01/14
69687 Deutsche Bank AG HSI R Bull CBBC Jul 2010 A 0.250 20,400 per 40,000 units 21,000 per 40,000 units 2010/07/29 300,000,000 2010/01/14
69688 Deutsche Bank AG HSI R Bear CBBC May 2010 Z 0.250 23,000 per 15,000 units 22,400 per 15,000 units 2010/05/28 300,000,000 2010/01/14
69693 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2010 S 0.250 22,900 per 15,000 units 22,400 per 15,000 units 2010/05/28 200,000,000 2010/01/14
69682 KBC Fin Products Int’l Ltd. HKEx R Bull CBBC May 2010 A 0.250 134.88 per 100 units 140.88 per 100 units 2010/05/10 188,000,000 2010/01/14
69683 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 B 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/06/29 200,000,000 2010/01/14
69685 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 T 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 200,000,000 2010/01/14
69675 UBS AG CHALCO R Bear CBBC Jun 2010 G 0.250 12.380 11.380 2010/06/21 100,000,000 2010/01/14
69670 UBS AG BankComm R Bull CBBC Jun 2010 C 0.250 7.780 8.380 2010/06/07 100,000,000 2010/01/14
69674 UBS AG A50 China R Bull CBBC Apr 2010 K 0.250 13.780 14.380 2010/04/19 200,000,000 2010/01/14
69671 UBS AG HKEx R Bull CBBC May 2010 P 0.250 142.88 per 100 units 148.88 per 100 units 2010/05/17 200,000,000 2010/01/14
69667 UBS AG HKEx R Bear CBBC May 2010 O 0.250 154.88 per 100 units 148.88 per 100 units 2010/05/17 200,000,000 2010/01/14
69679 UBS AG HSCEI R Bull CBBC Jun 2010 A 0.250 11,500 per 20,000 units 12,000 per 20,000 units 2010/06/29 200,000,000 2010/01/14
69678 UBS AG HSI R Bull CBBC Apr 2010 P 0.250 21,800 per 10,000 units 22,300 per 10,000 units 2010/04/29 300,000,000 2010/01/14
69680 UBS AG HSI R Bear CBBC Jun 2010 M 0.250 22,900 per 12,000 units 22,400 per 12,000 units 2010/06/29 300,000,000 2010/01/14
69681 UBS AG HSI R Bear CBBC Jul 2010 Q 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2010/07/29 300,000,000 2010/01/14
69672 UBS AG Ping An R Bull CBBC Jun 2010 B 0.250 57.88 per 100 units 63.88 per 100 units 2010/06/14 100,000,000 2010/01/14
69676 UBS AG Ping An R Bear CBBC Jun 2010 C 0.250 84.88 per 100 units 78.88 per 100 units 2010/06/14 100,000,000 2010/01/14
69677 UBS AG Ping An R Bear CBBC Jun 2010 D 0.250 89.88 per 100 units 83.88 per 100 units 2010/06/21 100,000,000 2010/01/14
69700 Credit Suisse AG HKEx R Bull CBBC May 2010 I 0.250 139 per 100 units 145 per 100 units 2010/05/31 100,000,000 2010/01/15
69699 Credit Suisse AG HSI R Bull CBBC Jun 2010 R 0.250 21,600 per 15,000 units 22,100 per 15,000 units 2010/06/29 210,000,000 2010/01/15
69704 Credit Suisse AG HSI R Bear CBBC Jun 2010 S 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2010/06/29 210,000,000 2010/01/15
69714 Deutsche Bank AG HKEx R Bear CBBC Jul 2010 A 0.300 176.18 per 100 units 170.18 per 100 units 2010/07/12 150,000,000 2010/01/15
69715 Deutsche Bank AG HKEx R Bear CBBC Jul 2010 B 0.410 186.18 per 100 units 180.18 per 100 units 2010/07/12 150,000,000 2010/01/15
69713 Deutsche Bank AG HSBC R Bear CBBC May 2010 B 0.250 110.88 per 100 units 105.88 per 100 units 2010/05/10 150,000,000 2010/01/15
69712 Deutsche Bank AG HSI R Bull CBBC Jun 2010 Q 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/06/29 300,000,000 2010/01/15
69695 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10V 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2010/06/29 300,000,000 2010/01/15
69694 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10W 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/06/29 300,000,000 2010/01/15
69696 UBS AG China Mobile R Bear CBBC May 2010 E 0.250 78.88 per 100 units 74.88 per 100 units 2010/05/10 200,000,000 2010/01/15
69702 UBS AG CM Bank R Bull CBBC Jun 2010 D 0.360 16.880 18.880 2010/06/21 100,000,000 2010/01/15
69705 UBS AG CNOOC R Bear CBBC Jun 2010 C 0.250 14.680 13.880 2010/06/07 100,000,000 2010/01/15
69706 UBS AG CNOOC R Bear CBBC Jun 2010 D 0.250 15.180 14.380 2010/06/21 100,000,000 2010/01/15
69703 UBS AG China Shenhua R Bear CBBC May 2010 D 0.250 45.88 per 100 units 43.88 per 100 units 2010/05/31 100,000,000 2010/01/15
69697 UBS AG A50 China R Bull CBBC May 2010 C 0.250 12.780 13.380 2010/05/17 200,000,000 2010/01/15
69707 UBS AG HKEx R Bear CBBC May 2010 Q 0.250 174.88 per 100 units 168.88 per 100 units 2010/05/24 200,000,000 2010/01/15
69708 UBS AG HKEx R Bear CBBC May 2010 R 0.295 179.88 per 100 units 173.88 per 100 units 2010/05/31 200,000,000 2010/01/15
69709 UBS AG HKEx R Bear CBBC Jun 2010 C 0.445 194.88 per 100 units 188.88 per 100 units 2010/06/21 200,000,000 2010/01/15
69701 UBS AG HSI R Bull CBBC Aug 2010 C 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2010/08/30 300,000,000 2010/01/15
69698 UBS AG HSI R Bear CBBC Aug 2010 B 0.250 22,800 per 38,000 units 22,300 per 38,000 units 2010/08/30 400,000,000 2010/01/15
69710 UBS AG Petrochina R Bear CBBC Jun 2010 D 0.250 11.480 10.880 2010/06/21 100,000,000 2010/01/15
69711 UBS AG Petrochina R Bear CBBC Jun 2010 E 0.250 11.980 11.380 2010/06/28 100,000,000 2010/01/15
69739 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 R 0.250 20,800 per 13,000 units 21,300 per 13,000 units 2010/05/28 300,000,000 2010/01/18
69743 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 S 0.250 23,000 per 13,000 units 22,500 per 13,000 units 2010/05/28 300,000,000 2010/01/18
69736 Credit Suisse AG HKEx R Bear CBBC May 2010 J 0.250 174 per 100 units 168 per 100 units 2010/05/31 100,000,000 2010/01/18
69737 Credit Suisse AG HKEx R Bear CBBC Jun 2010 C 0.420 194 per 100 units 188 per 100 units 2010/06/28 100,000,000 2010/01/18
69735 Credit Suisse AG HSI R Bull CBBC May 2010 I 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2010/05/28 200,000,000 2010/01/18
69726 Credit Suisse AG HSI R Bear CBBC May 2010 R 0.250 23,100 per 10,000 units 22,600 per 10,000 units 2010/05/28 200,000,000 2010/01/18
69738 Credit Suisse AG TCH R Bear CBBC Jun 2010 A 0.350 206 per 100 units 198 per 100 units 2010/06/28 100,000,000 2010/01/18
69727 Deutsche Bank AG HSI R Bull CBBC Jun 2010 S 0.250 22,100 per 12,000 units 22,600 per 12,000 units 2010/06/29 300,000,000 2010/01/18
69725 Deutsche Bank AG HSI R Bear CBBC Jun 2010 R 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/06/29 300,000,000 2010/01/18
69734 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 F 0.250 22,100 per 12,000 units 22,600 per 12,000 units 2010/04/29 248,000,000 2010/01/18
69718 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Jun10C 0.250 67 per 100 units 70 per 100 units 2010/06/30 300,000,000 2010/01/18
69716 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC May10D 0.250 130 per 100 units 138 per 100 units 2010/05/26 150,000,000 2010/01/18
69717 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC May10E 0.250 135 per 100 units 143 per 100 units 2010/05/26 150,000,000 2010/01/18
69721 SGA Societe Generale Acceptance N.V. HKEx R Bear CBBC May10F 0.250 166 per 100 units 158 per 100 units 2010/05/26 150,000,000 2010/01/18
69729 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10D 0.250 22,000 per 12,000 units 22,500 per 12,000 units 2010/06/29 300,000,000 2010/01/18
69730 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10Z 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2010/06/29 300,000,000 2010/01/18
69719 UBS AG CHALCO R Bull CBBC Jun 2010 H 0.250 8.880 9.880 2010/06/07 100,000,000 2010/01/18
69731 UBS AG China Mobile R Bull CBBC May 2010 F 0.250 70.88 per 100 units 74.88 per 100 units 2010/05/10 200,000,000 2010/01/18
69723 UBS AG CCHC R Bear CBBC Jul 2010 C 0.360 13.880 12.880 2010/07/12 100,000,000 2010/01/18
69720 UBS AG Cheung Kong R Bull CBBC Jun 2010 F 0.250 90.88 per 100 units 98.88 per 100 units 2010/06/07 100,000,000 2010/01/18
69722 UBS AG CNOOC R Bull CBBC Jun 2010 E 0.250 11.080 11.880 2010/06/07 100,000,000 2010/01/18
69732 UBS AG HSI R Bull CBBC Jun 2010 L 0.250 22,000 per 10,000 units 22,500 per 10,000 units 2010/06/29 300,000,000 2010/01/18
69733 UBS AG HSI R Bull CBBC Jul 2010 R 0.250 22,100 per 12,000 units 22,600 per 12,000 units 2010/07/29 300,000,000 2010/01/18
69724 UBS AG HSI R Bear CBBC May 2010 J 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/05/28 300,000,000 2010/01/18
69301 # HK Bank A50 R Bull CBBC Jun 2010 C 0.138 13.080 13.380 2010/06/18 120,000,000 2010/01/18
69754 Credit Suisse AG China Mobile R Bull CBBC Apr 2010 E 0.250 68 per 100 units 73 per 100 units 2010/04/26 100,000,000 2010/01/19
69747 Credit Suisse AG HSI R Bull CBBC May 2010 E 0.250 21,700 per 10,000 units 22,200 per 10,000 units 2010/05/28 200,000,000 2010/01/19
69748 Deutsche Bank AG HSI R Bull CBBC Jun 2010 T 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 300,000,000 2010/01/19
69756 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 A 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/06/29 200,000,000 2010/01/19
69741 HK Bank China Life R Bull CBBC Jun 2010 A 0.380 34.400 35.280 2010/06/25 100,000,000 2010/01/19
69742 HK Bank HSI R Bull CBBC Jun 2010 Q 0.250 21,300 per 13,000 units 21,800 per 13,000 units 2010/06/29 160,000,000 2010/01/19
69755 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 E 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/04/29 248,000,000 2010/01/19
69749 Macquarie Bank Ltd. HSI R Bull CBBC Apr 2010 C 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/04/29 300,000,000 2010/01/19
69740 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 Q 0.250 21,900 per 12,000 units 22,400 per 12,000 units 2010/06/29 200,000,000 2010/01/19
69745 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 A 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2010/06/29 200,000,000 2010/01/19
69746 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 Y 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2010/06/29 200,000,000 2010/01/19
69744 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 Z 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2010/06/29 200,000,000 2010/01/19
69750 UBS AG China Life R Bull CBBC May 2010 S 0.250 36.880 37.880 2010/05/03 200,000,000 2010/01/19
69753 UBS AG A50 China R Bear CBBC May 2010 D 0.250 14.980 14.380 2010/05/17 200,000,000 2010/01/19
69752 UBS AG HSI R Bull CBBC Jun 2010 I 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 300,000,000 2010/01/19
69751 UBS AG HSI R Bull CBBC Aug 2010 D 0.250 21,800 per 38,000 units 22,300 per 38,000 units 2010/08/30 400,000,000 2010/01/19
69783 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 T 0.250 20,600 per 10,000 units 21,200 per 10,000 units 2010/05/28 300,000,000 2010/01/20
69785 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2010 F 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/04/29 300,000,000 2010/01/20
69784 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2010 Q 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/04/29 300,000,000 2010/01/20
69787 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 U 0.250 23,000 per 11,000 units 22,400 per 11,000 units 2010/05/28 300,000,000 2010/01/20
69788 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 V 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69786 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 C 0.250 24,200 per 38,000 units 23,700 per 38,000 units 2010/06/29 300,000,000 2010/01/20
69812 Credit Suisse AG China Mobile R Bear CBBC Jun 2010 C 0.250 88 per 100 units 83 per 100 units 2010/06/28 100,000,000 2010/01/20
69813 Credit Suisse AG China Mobile R Bear CBBC Jun 2010 D 0.250 100 per 100 units 95 per 100 units 2010/06/28 100,000,000 2010/01/20
69811 Credit Suisse AG China Life R Bear CBBC May 2010 L 0.270 40.000 38.800 2010/05/24 100,000,000 2010/01/20
69815 Credit Suisse AG HKEx R Bear CBBC May 2010 K 0.250 164 per 100 units 158 per 100 units 2010/05/31 100,000,000 2010/01/20
69764 Credit Suisse AG HSI R Bull CBBC May 2010 F 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/05/28 200,000,000 2010/01/20
69798 Credit Suisse AG HSI R Bear CBBC May 2010 S 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/05/28 200,000,000 2010/01/20
69799 Credit Suisse AG HSI R Bear CBBC Jun 2010 T 0.250 22,600 per 15,000 units 22,100 per 15,000 units 2010/06/29 210,000,000 2010/01/20
69805 Deutsche Bank AG China Life R Bear CBBC Jun 2010 E 0.260 38.680 37.680 2010/06/14 150,000,000 2010/01/20
69806 Deutsche Bank AG China Life R Bear CBBC Jun 2010 F 0.350 39.680 38.680 2010/06/14 150,000,000 2010/01/20
69804 Deutsche Bank AG Sinopec Corp R Bull CBBC Jun 2010 A 0.250 5.500 6.000 2010/06/28 150,000,000 2010/01/20
69808 Deutsche Bank AG Sinopec Corp R Bear CBBC Jun 2010 B 0.250 7.500 7.000 2010/06/28 150,000,000 2010/01/20
69807 Deutsche Bank AG A50 China R Bear CBBC May 2010 C 0.250 15.280 14.680 2010/05/31 150,000,000 2010/01/20
69801 Deutsche Bank AG HSI R Bull CBBC May 2010 A 0.270 20,200 per 12,000 units 20,700 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69762 Deutsche Bank AG HSI R Bull CBBC May 2010 D 0.260 21,300 per 12,000 units 21,800 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69763 Deutsche Bank AG HSI R Bull CBBC May 2010 F 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69802 Deutsche Bank AG HSI R Bull CBBC Jun 2010 U 0.320 19,800 per 12,000 units 20,300 per 12,000 units 2010/06/29 300,000,000 2010/01/20
69803 Deutsche Bank AG HSI R Bull CBBC Jun 2010 V 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/06/29 300,000,000 2010/01/20
69800 Deutsche Bank AG HSI R Bear CBBC Apr 2010 V 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/04/29 300,000,000 2010/01/20
69771 Deutsche Bank AG HSI R Bear CBBC May 2010 J 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69772 Deutsche Bank AG HSI R Bear CBBC May 2010 K 0.270 22,600 per 12,000 units 22,100 per 12,000 units 2010/05/28 300,000,000 2010/01/20
69796 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 B 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/06/29 200,000,000 2010/01/20
69797 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 C 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69758 HK Bank CHALCO R Bull CBBC Jul 2010 A 0.260 7.880 8.380 2010/07/23 100,000,000 2010/01/20
69759 HK Bank CC Bank R Bull CBBC Jun 2010 A 0.250 5.200 5.500 2010/06/11 120,000,000 2010/01/20
69761 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 L 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/04/29 248,000,000 2010/01/20
69760 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 M 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/04/29 208,000,000 2010/01/20
69794 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 I 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/04/29 208,000,000 2010/01/20
69795 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 J 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/04/29 248,000,000 2010/01/20
69782 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 J 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69781 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 K 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69809 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 H 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69810 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 I 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69776 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 V 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69775 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 W 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69774 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 X 0.250 22,600 per 12,000 units 22,100 per 12,000 units 2010/06/29 200,000,000 2010/01/20
69773 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10X 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2010/06/29 300,000,000 2010/01/20
69779 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10A 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/06/29 300,000,000 2010/01/20
69778 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10C 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/06/29 300,000,000 2010/01/20
69777 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10Q 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/06/29 300,000,000 2010/01/20
69780 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10U 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2010/06/29 300,000,000 2010/01/20
69757 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10Y 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/06/29 300,000,000 2010/01/20
69793 UBS AG China Mobile R Bull CBBC May 2010 H 0.250 72.88 per 100 units 76.88 per 100 units 2010/05/03 200,000,000 2010/01/20
69769 UBS AG China Mobile R Bear CBBC May 2010 G 0.250 80.88 per 100 units 76.88 per 100 units 2010/05/03 200,000,000 2010/01/20
69768 UBS AG Sinopec Corp R Bull CBBC Jun 2010 A 0.250 6.080 6.580 2010/06/21 100,000,000 2010/01/20
69789 UBS AG A50 China R Bull CBBC May 2010 E 0.250 13.280 13.880 2010/05/17 200,000,000 2010/01/20
69790 UBS AG HSCEI R Bear CBBC Jun 2010 B 0.250 13,500 per 20,000 units 13,000 per 20,000 units 2010/06/29 200,000,000 2010/01/20
69766 UBS AG HSI R Bull CBBC Apr 2010 D 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/04/29 300,000,000 2010/01/20
69765 UBS AG HSI R Bull CBBC Apr 2010 J 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/04/29 300,000,000 2010/01/20
69767 UBS AG HSI R Bull CBBC May 2010 W 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/05/28 300,000,000 2010/01/20
69791 UBS AG HSI R Bear CBBC Apr 2010 N 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/04/29 300,000,000 2010/01/20
69792 UBS AG HSI R Bear CBBC Jun 2010 W 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/06/29 300,000,000 2010/01/20
69410 # UBS AG CUni R Bull CBBC Jun 2010 A 0.232 7.880 8.880 2010/06/14 100,000,000 2010/01/20
69828 Credit Suisse AG HKEx R Bear CBBC May 2010 L 0.250 159 per 100 units 153 per 100 units 2010/05/31 100,000,000 2010/01/21
69827 Credit Suisse AG HSI R Bull CBBC May 2010 W 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/05/28 200,000,000 2010/01/21
69816 Credit Suisse AG HSI R Bear CBBC May 2010 Y 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/05/28 200,000,000 2010/01/21
69822 Deutsche Bank AG China Mobile R Bull CBBC Jun 2010 B 0.250 71.68 per 100 units 75.68 per 100 units 2010/06/14 150,000,000 2010/01/21
69821 Deutsche Bank AG CC Bank R Bull CBBC Jul 2010 A 0.250 5.180 5.680 2010/07/05 150,000,000 2010/01/21
69823 Deutsche Bank AG A50 China R Bull CBBC Jun 2010 A 0.290 11.580 12.180 2010/06/14 150,000,000 2010/01/21
69820 Deutsche Bank AG HSI R Bull CBBC May 2010 O 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/05/28 300,000,000 2010/01/21
69824 Deutsche Bank AG HSI R Bear CBBC May 2010 L 0.250 22,600 per 15,000 units 22,000 per 15,000 units 2010/05/28 300,000,000 2010/01/21
69825 Deutsche Bank AG HSI R Bear CBBC May 2010 S 0.280 23,300 per 15,000 units 22,800 per 15,000 units 2010/05/28 300,000,000 2010/01/21
69826 Deutsche Bank AG HSI R Bear CBBC Jun 2010 W 0.330 23,400 per 12,000 units 22,900 per 12,000 units 2010/06/29 300,000,000 2010/01/21
69829 UBS AG China Mobile R Bull CBBC May 2010 J 0.250 74.88 per 100 units 78.88 per 100 units 2010/05/10 200,000,000 2010/01/21
69817 UBS AG China Mobile R Bear CBBC May 2010 I 0.250 82.88 per 100 units 78.88 per 100 units 2010/05/10 200,000,000 2010/01/21
69833 UBS AG China Mobile R Bear CBBC Jun 2010 A 0.250 90.88 per 100 units 86.88 per 100 units 2010/06/21 200,000,000 2010/01/21
69834 UBS AG China Mobile R Bear CBBC Jun 2010 B 0.250 92.88 per 100 units 88.88 per 100 units 2010/06/21 200,000,000 2010/01/21
69835 UBS AG China Mobile R Bear CBBC Jun 2010 C 0.250 94.88 per 100 units 90.88 per 100 units 2010/06/28 200,000,000 2010/01/21
69832 UBS AG China Life R Bull CBBC May 2010 T 0.250 35.880 36.880 2010/05/17 200,000,000 2010/01/21
69838 UBS AG China Life R Bear CBBC May 2010 U 0.250 38.880 37.880 2010/05/17 200,000,000 2010/01/21
69830 UBS AG HKEx R Bull CBBC May 2010 T 0.250 142.88 per 100 units 148.88 per 100 units 2010/05/17 200,000,000 2010/01/21
69818 UBS AG HKEx R Bear CBBC May 2010 S 0.250 154.88 per 100 units 148.88 per 100 units 2010/05/17 200,000,000 2010/01/21
69836 UBS AG HSI R Bull CBBC Jun 2010 K 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/06/29 300,000,000 2010/01/21
69837 UBS AG HSI R Bear CBBC Apr 2010 R 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/04/29 300,000,000 2010/01/21
69819 UBS AG HSI R Bear CBBC Jul 2010 S 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/07/29 300,000,000 2010/01/21
69831 UBS AG Hutchison R Bull CBBC Jun 2010 E 0.250 48.88 per 100 units 53.88 per 100 units 2010/06/14 100,000,000 2010/01/21
69863 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 W 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/05/28 300,000,000 2010/01/22
69864 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 X 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/05/28 300,000,000 2010/01/22
69868 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 Y 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/05/28 300,000,000 2010/01/22
69869 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 Z 0.250 23,200 per 10,000 units 22,700 per 10,000 units 2010/05/28 300,000,000 2010/01/22
69842 Credit Suisse AG HSI R Bull CBBC May 2010 T 0.250 21,200 per 15,000 units 21,700 per 15,000 units 2010/05/28 210,000,000 2010/01/22
69854 Credit Suisse AG HSI R Bear CBBC May 2010 O 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2010/05/28 210,000,000 2010/01/22
69855 Credit Suisse AG HSI R Bear CBBC Jun 2010 U 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/06/29 200,000,000 2010/01/22
69865 Deutsche Bank AG CNOOC R Bear CBBC Jun 2010 B 0.250 13.480 12.680 2010/06/28 150,000,000 2010/01/22
69851 Deutsche Bank AG HSI R Bull CBBC Jun 2010 X 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/22
69852 Deutsche Bank AG HSI R Bear CBBC May 2010 X 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/05/28 300,000,000 2010/01/22
69862 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 D 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/06/29 200,000,000 2010/01/22
69839 HK Bank China Mobile R Bull CBBC Jun 2010 C 0.250 65.80 per 100 units 68.80 per 100 units 2010/06/18 200,000,000 2010/01/22
69841 HK Bank ICBC R Bull CBBC Aug 2010 A 0.250 4.580 4.880 2010/08/12 100,000,000 2010/01/22
69845 HK Bank ICBC R Bear CBBC Aug 2010 B 0.250 7.380 7.080 2010/08/12 100,000,000 2010/01/22
69843 SGA Societe Generale Acceptance N.V. CMob R Bear CBBC Jun10D 0.250 90 per 100 units 86 per 100 units 2010/06/30 300,000,000 2010/01/22
69844 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC May10G 0.250 11.900 12.500 2010/05/26 150,000,000 2010/01/22
69846 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Jun10B 0.250 10,500 per 12,000 units 11,000 per 12,000 units 2010/06/29 200,000,000 2010/01/22
69847 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Jun10C 0.250 11,000 per 12,000 units 11,500 per 12,000 units 2010/06/29 200,000,000 2010/01/22
69850 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10O 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/06/29 300,000,000 2010/01/22
69848 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10S 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/06/29 300,000,000 2010/01/22
69849 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jun10C 0.270 146 per 100 units 154 per 100 units 2010/06/30 100,000,000 2010/01/22
69856 UBS AG BYD Company R Bull CBBC May 2010 A 0.250 46.88 per 100 units 53.88 per 100 units 2010/05/24 100,000,000 2010/01/22
69861 UBS AG BYD Company R Bear CBBC May 2010 B 0.250 80.88 per 100 units 73.88 per 100 units 2010/05/24 100,000,000 2010/01/22
69857 UBS AG China Life R Bear CBBC May 2010 V 0.250 37.880 36.880 2010/05/17 200,000,000 2010/01/22
69853 UBS AG HSI R Bull CBBC Jun 2010 Q 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/22
69858 UBS AG HSI R Bear CBBC Apr 2010 F 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/04/29 300,000,000 2010/01/22
69859 UBS AG HSI R Bear CBBC Jun 2010 Y 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/06/29 300,000,000 2010/01/22
69860 UBS AG HSI R Bear CBBC Aug 2010 E 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/08/30 300,000,000 2010/01/22
69902 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 G 0.250 13,700 per 10,000 units 13,200 per 10,000 units 2010/05/28 250,000,000 2010/01/25
69899 RB of Scotland N.V. HSI R Bear CBBC May 2010 D 0.250 22,700 per 13,000 units 22,200 per 13,000 units 2010/05/28 250,000,000 2010/01/25
69900 RB of Scotland N.V. HSI R Bear CBBC May 2010 E 0.250 22,900 per 13,000 units 22,400 per 13,000 units 2010/05/28 250,000,000 2010/01/25
69901 RB of Scotland N.V. HSI R Bear CBBC May 2010 F 0.250 23,100 per 13,000 units 22,600 per 13,000 units 2010/05/28 250,000,000 2010/01/25
69897 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 B 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/05/28 300,000,000 2010/01/25
69898 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 D 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/01/25
69879 Credit Suisse AG HSI R Bull CBBC May 2010 Q 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/05/28 200,000,000 2010/01/25
69892 Credit Suisse AG HSI R Bear CBBC May 2010 N 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/05/28 210,000,000 2010/01/25
69893 Credit Suisse AG HSI R Bear CBBC Jun 2010 V 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/06/29 210,000,000 2010/01/25
69894 Credit Suisse AG HSI R Bear CBBC Jun 2010 W 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2010/06/29 200,000,000 2010/01/25
69904 Deutsche Bank AG CC Bank R Bear CBBC Jul 2010 B 0.250 7.180 6.680 2010/07/12 150,000,000 2010/01/25
69905 Deutsche Bank AG China Life R Bull CBBC Jun 2010 G 0.250 35.180 36.180 2010/06/28 150,000,000 2010/01/25
69880 Deutsche Bank AG HSI R Bull CBBC May 2010 W 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/05/28 300,000,000 2010/01/25
69881 Deutsche Bank AG HSI R Bull CBBC Jun 2010 Y 0.350 19,600 per 12,000 units 20,100 per 12,000 units 2010/06/29 300,000,000 2010/01/25
69906 Deutsche Bank AG HSI R Bear CBBC Jun 2010 Z 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/06/29 300,000,000 2010/01/25
69903 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2010 T 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/05/28 200,000,000 2010/01/25
69875 HK Bank HSI R Bear CBBC Aug 2010 B 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/08/30 120,000,000 2010/01/25
69896 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 G 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 200,000,000 2010/01/25
69883 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10M 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/06/29 300,000,000 2010/01/25
69882 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun10N 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/06/29 300,000,000 2010/01/25
69866 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10G 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/07/29 300,000,000 2010/01/25
69867 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10H 0.295 19,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/01/25
69870 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10I 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 300,000,000 2010/01/25
69871 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10J 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/07/29 300,000,000 2010/01/25
69884 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10K 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/06/29 300,000,000 2010/01/25
69872 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10K 0.250 23,300 per 15,000 units 22,800 per 15,000 units 2010/07/29 300,000,000 2010/01/25
69874 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10M 0.290 23,500 per 10,000 units 23,000 per 10,000 units 2010/07/29 300,000,000 2010/01/25
69876 UBS AG HKEx R Bull CBBC May 2010 U 0.250 137.88 per 100 units 143.88 per 100 units 2010/05/17 200,000,000 2010/01/25
69877 UBS AG HSBC R Bull CBBC Jun 2010 F 0.250 83.88 per 100 units 88.88 per 100 units 2010/06/07 200,000,000 2010/01/25
69878 UBS AG HSI R Bull CBBC Apr 2010 Q 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/04/29 300,000,000 2010/01/25
69888 UBS AG HSI R Bull CBBC Jun 2010 Z 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/06/29 300,000,000 2010/01/25
69889 UBS AG HSI R Bull CBBC Jul 2010 T 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/01/25
69885 UBS AG HSI R Bull CBBC Aug 2010 F 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/08/30 300,000,000 2010/01/25
69887 UBS AG HSI R Bull CBBC Aug 2010 H 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 300,000,000 2010/01/25
69895 UBS AG HSI R Bear CBBC Apr 2010 B 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/04/29 300,000,000 2010/01/25
69890 UBS AG HSI R Bear CBBC Apr 2010 H 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/04/29 300,000,000 2010/01/25
69891 UBS AG HSI R Bear CBBC Aug 2010 I 0.250 22,300 per 38,000 units 21,800 per 38,000 units 2010/08/30 400,000,000 2010/01/25
69928 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2010 E 0.250 21,100 per 14,000 units 21,600 per 14,000 units 2010/06/29 300,000,000 2010/01/26
69932 Credit Suisse AG HSI R Bull CBBC May 2010 X 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/05/28 210,000,000 2010/01/26
69927 Credit Suisse AG HSI R Bear CBBC May 2010 J 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/05/28 200,000,000 2010/01/26
69907 Deutsche Bank AG HSI R Bull CBBC Jul 2010 C 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/07/29 300,000,000 2010/01/26
69910 Deutsche Bank AG HSI R Bear CBBC May 2010 V 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/05/28 300,000,000 2010/01/26
69911 Deutsche Bank AG HSI R Bear CBBC Jul 2010 D 0.250 22,200 per 15,000 units 21,600 per 15,000 units 2010/07/29 300,000,000 2010/01/26
69912 Deutsche Bank AG TCH R Bull CBBC Jun 2010 B 0.320 133 per 100 units 140 per 100 units 2010/06/28 150,000,000 2010/01/26
69930 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 N 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/04/29 248,000,000 2010/01/26
69931 KBC Fin Products Int’l Ltd. TCH R Bull CBBC May 2010 B 0.250 145 per 100 units 153 per 100 units 2010/05/03 78,000,000 2010/01/26
69914 UBS AG HSBC R Bear CBBC Jun 2010 G 0.250 93.88 per 100 units 88.88 per 100 units 2010/06/07 200,000,000 2010/01/26
69918 UBS AG HSCEI R Bull CBBC May 2010 D 0.250 10,300 per 12,000 units 10,800 per 12,000 units 2010/05/28 200,000,000 2010/01/26
69919 UBS AG HSCEI R Bull CBBC May 2010 E 0.250 11,000 per 20,000 units 11,500 per 20,000 units 2010/05/28 200,000,000 2010/01/26
69920 UBS AG HSCEI R Bull CBBC May 2010 F 0.250 11,300 per 12,000 units 11,800 per 12,000 units 2010/05/28 200,000,000 2010/01/26
69921 UBS AG HSCEI R Bull CBBC Jun 2010 C 0.250 10,500 per 20,000 units 11,000 per 20,000 units 2010/06/29 200,000,000 2010/01/26
69922 UBS AG HSCEI R Bull CBBC Jun 2010 D 0.250 10,800 per 12,000 units 11,300 per 12,000 units 2010/06/29 200,000,000 2010/01/26
69923 UBS AG HSCEI R Bear CBBC May 2010 G 0.250 13,800 per 12,000 units 13,300 per 12,000 units 2010/05/28 200,000,000 2010/01/26
69924 UBS AG HSCEI R Bear CBBC May 2010 H 0.250 14,800 per 12,000 units 14,300 per 12,000 units 2010/05/28 200,000,000 2010/01/26
69925 UBS AG HSCEI R Bear CBBC Jun 2010 E 0.250 14,300 per 20,000 units 13,800 per 20,000 units 2010/06/29 200,000,000 2010/01/26
69926 UBS AG HSCEI R Bear CBBC Jun 2010 F 0.250 15,000 per 20,000 units 14,500 per 20,000 units 2010/06/29 200,000,000 2010/01/26
69909 UBS AG HSI R Bull CBBC Apr 2010 P 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/04/29 300,000,000 2010/01/26
69929 UBS AG HSI R Bull CBBC Aug 2010 K 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/08/30 300,000,000 2010/01/26
69915 UBS AG HSI R Bear CBBC Jun 2010 G 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 300,000,000 2010/01/26
69916 UBS AG HSI R Bear CBBC Aug 2010 J 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/08/30 300,000,000 2010/01/26
69908 UBS AG TCH R Bull CBBC Jun 2010 E 0.250 155.88 per 100 units 163.88 per 100 units 2010/06/07 100,000,000 2010/01/26
69917 UBS AG TCH R Bull CBBC Jun 2010 F 0.250 150.88 per 100 units 158.88 per 100 units 2010/06/07 100,000,000 2010/01/26
69913 UBS AG TCH R Bear CBBC Jun 2010 G 0.250 181.88 per 100 units 173.88 per 100 units 2010/06/07 100,000,000 2010/01/26
69971 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 F 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/06/29 300,000,000 2010/01/27
69936 Credit Suisse AG HSI R Bull CBBC May 2010 Z 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/05/28 200,000,000 2010/01/27
69949 Credit Suisse AG HSI R Bear CBBC May 2010 I 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/05/28 210,000,000 2010/01/27
69950 Credit Suisse AG HSI R Bear CBBC Jun 2010 X 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/06/29 200,000,000 2010/01/27
69948 Credit Suisse AG TCH R Bull CBBC Jun 2010 B 0.340 122 per 100 units 130 per 100 units 2010/06/28 100,000,000 2010/01/27
69962 Deutsche Bank AG A50 China R Bull CBBC Jun 2010 B 0.340 10.580 11.180 2010/06/14 150,000,000 2010/01/27
69960 Deutsche Bank AG HKEx R Bear CBBC Jul 2010 C 0.250 156.18 per 100 units 150.18 per 100 units 2010/07/19 150,000,000 2010/01/27
69961 Deutsche Bank AG HSBC R Bull CBBC Jul 2010 A 0.250 69.88 per 100 units 75.88 per 100 units 2010/07/19 150,000,000 2010/01/27
69955 Deutsche Bank AG HSI R Bull CBBC Jun 2010 C 0.260 20,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 300,000,000 2010/01/27
69959 Deutsche Bank AG HSI R Bear CBBC May 2010 T 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/05/28 300,000,000 2010/01/27
69963 Deutsche Bank AG ICBC R Bear CBBC Jul 2010 A 0.250 6.680 6.180 2010/07/26 100,000,000 2010/01/27
69964 Deutsche Bank AG Petrochina R Bear CBBC Jul 2010 A 0.250 10.780 10.180 2010/07/19 100,000,000 2010/01/27
69965 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 E 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69968 KBC Fin Products Int’l Ltd. HKEx R Bear CBBC May 2010 B 0.250 162.88 per 100 units 156.88 per 100 units 2010/05/05 188,000,000 2010/01/27
69967 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC May 2010 B 0.250 74 per 100 units 79 per 100 units 2010/05/03 188,000,000 2010/01/27
69966 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 K 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/04/29 208,000,000 2010/01/27
69970 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 P 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/04/29 208,000,000 2010/01/27
69969 KBC Fin Products Int’l Ltd. TCH R Bear CBBC May 2010 C 0.310 183 per 100 units 175 per 100 units 2010/05/18 78,000,000 2010/01/27
69933 Macquarie Bank Ltd. HSI R Bull CBBC May 2010 A 0.251 19,800 per 12,000 units 20,300 per 12,000 units 2010/05/28 300,000,000 2010/01/27
69951 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 D 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69952 CC Rabobank B.A. HSI R Bull CBBC Jun 2010 R 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69958 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 B 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69957 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 T 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69956 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 U 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 200,000,000 2010/01/27
69938 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10I 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/06/29 300,000,000 2010/01/27
69937 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10J 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 300,000,000 2010/01/27
69939 UBS AG CHALCO R Bear CBBC Jun 2010 I 0.250 11.380 10.380 2010/06/07 100,000,000 2010/01/27
69934 UBS AG China Mobile R Bull CBBC May 2010 K 0.250 72.88 per 100 units 76.88 per 100 units 2010/05/10 200,000,000 2010/01/27
69940 UBS AG China Mobile R Bear CBBC May 2010 L 0.250 80.88 per 100 units 76.88 per 100 units 2010/05/10 200,000,000 2010/01/27
69941 UBS AG Sinopec Corp R Bear CBBC Jun 2010 B 0.250 7.280 6.880 2010/06/21 100,000,000 2010/01/27
69942 UBS AG China Shenhua R Bear CBBC May 2010 E 0.250 40.88 per 100 units 38.88 per 100 units 2010/05/31 100,000,000 2010/01/27
69935 UBS AG A50 China R Bull CBBC May 2010 F 0.250 13.380 13.880 2010/05/17 200,000,000 2010/01/27
69946 UBS AG HSI R Bull CBBC Jun 2010 E 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/06/29 300,000,000 2010/01/27
69953 UBS AG HSI R Bear CBBC May 2010 W 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/05/28 300,000,000 2010/01/27
69943 UBS AG ICBC R Bear CBBC Jun 2010 D 0.250 6.780 6.380 2010/06/21 100,000,000 2010/01/27
69944 UBS AG Jiangxi Copper R Bear CBBC Jun 2010 G 0.345 21.380 19.880 2010/06/14 100,000,000 2010/01/27
69954 UBS AG TCH R Bull CBBC Jun 2010 I 0.300 125.88 per 100 units 133.88 per 100 units 2010/06/07 100,000,000 2010/01/27
69945 UBS AG TCH R Bear CBBC Jun 2010 H 0.250 176.88 per 100 units 168.88 per 100 units 2010/06/07 100,000,000 2010/01/27
69972 Barclays Bank plc HSI Bull CBBC Apr 2010 A 0.177 19,700 per 10,000 units 20,200 per 10,000 units 2010/04/29 300,000,000 2010/01/28
69973 Barclays Bank plc HSI Bull CBBC May 2010 A 0.153 20,000 per 10,000 units 20,500 per 10,000 units 2010/05/28 300,000,000 2010/01/28
69974 Barclays Bank plc HSI Bull CBBC Jul 2010 A 0.330 18,800 per 12,000 units 19,300 per 12,000 units 2010/07/29 300,000,000 2010/01/28
69975 Barclays Bank plc HSI Bull CBBC Jul 2010 B 0.299 19,100 per 12,000 units 19,600 per 12,000 units 2010/07/29 300,000,000 2010/01/28
69976 Barclays Bank plc HSI Bull CBBC Jul 2010 C 0.264 19,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 300,000,000 2010/01/28
69977 Barclays Bank plc HSI R Bear CBBC Apr 2010 B 0.162 23,000 per 12,000 units 22,500 per 12,000 units 2010/04/29 300,000,000 2010/01/28
69978 Barclays Bank plc HSI R Bear CBBC Apr 2010 C 0.190 23,300 per 12,000 units 22,800 per 12,000 units 2010/04/29 300,000,000 2010/01/28
69979 Barclays Bank plc HSI R Bear CBBC Jul 2010 D 0.254 22,700 per 10,000 units 22,200 per 10,000 units 2010/07/29 300,000,000 2010/01/28
69980 Barclays Bank plc HSI R Bear CBBC Jul 2010 E 0.384 23,600 per 12,000 units 23,100 per 12,000 units 2010/07/29 300,000,000 2010/01/28
60014 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 D 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/05/28 300,000,000 2010/01/28
60015 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 G 0.250 21,700 per 11,000 units 21,200 per 11,000 units 2010/06/29 300,000,000 2010/01/28
60016 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 H 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 300,000,000 2010/01/28
60009 Credit Suisse AG A50 China R Bear CBBC May 2010 E 0.250 14.900 14.300 2010/05/31 100,000,000 2010/01/28
69982 Credit Suisse AG HSI R Bull CBBC May 2010 E 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/05/28 200,000,000 2010/01/28
60007 Credit Suisse AG HSI R Bear CBBC May 2010 K 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/05/28 210,000,000 2010/01/28
60008 Credit Suisse AG HSI R Bear CBBC Jun 2010 Y 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/06/29 200,000,000 2010/01/28
60018 Deutsche Bank AG HSI R Bull CBBC May 2010 R 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/05/28 300,000,000 2010/01/28
60017 Deutsche Bank AG HSI R Bull CBBC May 2010 Y 0.280 18,800 per 12,000 units 19,300 per 12,000 units 2010/05/28 300,000,000 2010/01/28
69985 Deutsche Bank AG HSI R Bull CBBC Jun 2010 D 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/06/29 300,000,000 2010/01/28
60019 Deutsche Bank AG HSI R Bull CBBC Jun 2010 E 0.310 18,600 per 12,000 units 19,100 per 12,000 units 2010/06/29 300,000,000 2010/01/28
60020 Deutsche Bank AG HSI R Bull CBBC Jul 2010 E 0.340 18,400 per 12,000 units 18,900 per 12,000 units 2010/07/29 300,000,000 2010/01/28
60010 Deutsche Bank AG HSI R Bear CBBC May 2010 U 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/05/28 300,000,000 2010/01/28
60021 Deutsche Bank AG HSI R Bear CBBC Jun 2010 G 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/06/29 300,000,000 2010/01/28
60011 Deutsche Bank AG HSI R Bear CBBC Aug 2010 A 0.250 22,300 per 40,000 units 21,700 per 40,000 units 2010/08/30 300,000,000 2010/01/28
60022 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 F 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/06/29 200,000,000 2010/01/28
60023 Goldman Sachs SP (Asia) HSI R Bear CBBC Jun 2010 G 0.250 21,700 per 15,000 units 21,200 per 15,000 units 2010/06/29 200,000,000 2010/01/28
69983 HK Bank A50 R Bull CBBC Aug 2010 A 0.250 11.980 12.380 2010/08/12 120,000,000 2010/01/28
69987 HK Bank A50 R Bear CBBC Aug 2010 B 0.250 15.280 14.880 2010/08/12 120,000,000 2010/01/28
69984 HK Bank HSI R Bear CBBC Jul 2010 J 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/07/29 120,000,000 2010/01/28
69995 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 O 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/04/29 208,000,000 2010/01/28
60006 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2010 U 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/04/29 248,000,000 2010/01/28
60013 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 K 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 200,000,000 2010/01/28
60012 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 Q 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/06/29 200,000,000 2010/01/28
69986 UBS AG BOCL R Bull CBBC Jul 2010 B 0.250 2.580 3.080 2010/07/05 100,000,000 2010/01/28
69991 UBS AG BOCL R Bear CBBC Jul 2010 C 0.250 4.880 4.380 2010/07/05 100,000,000 2010/01/28
69999 UBS AG BankComm R Bull CBBC Jun 2010 D 0.250 6.280 6.880 2010/06/14 100,000,000 2010/01/28
60001 UBS AG China Mobile R Bull CBBC May 2010 M 0.250 70.88 per 100 units 74.88 per 100 units 2010/05/10 200,000,000 2010/01/28
69988 UBS AG COVS R Bull CBBC Jun 2010 C 0.335 11.880 12.880 2010/06/28 100,000,000 2010/01/28
69992 UBS AG COVS R Bear CBBC Jun 2010 D 0.375 18.880 17.880 2010/06/28 100,000,000 2010/01/28
60000 UBS AG China Life R Bull CBBC May 2010 W 0.250 34.880 35.880 2010/05/17 200,000,000 2010/01/28
69989 UBS AG Sinopec Corp R Bull CBBC Jun 2010 C 0.250 5.680 6.080 2010/06/21 100,000,000 2010/01/28
60002 UBS AG HKEx R Bear CBBC May 2010 V 0.250 149.88 per 100 units 143.88 per 100 units 2010/05/17 200,000,000 2010/01/28
69998 UBS AG HSCEI R Bear CBBC May 2010 I 0.250 13,300 per 12,000 units 12,800 per 12,000 units 2010/05/28 200,000,000 2010/01/28
69996 UBS AG HSI R Bull CBBC Apr 2010 M 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/04/29 300,000,000 2010/01/28
69994 UBS AG HSI R Bull CBBC Apr 2010 U 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/04/29 300,000,000 2010/01/28
69997 UBS AG HSI R Bull CBBC Jun 2010 X 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/06/29 300,000,000 2010/01/28
60004 UBS AG HSI R Bear CBBC Apr 2010 J 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/04/29 300,000,000 2010/01/28
60003 UBS AG HSI R Bear CBBC Apr 2010 S 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/04/29 300,000,000 2010/01/28
60005 UBS AG HSI R Bear CBBC Jun 2010 J 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 300,000,000 2010/01/28
69990 UBS AG TCH R Bull CBBC Jun 2010 J 0.250 145.88 per 100 units 153.88 per 100 units 2010/06/14 100,000,000 2010/01/28
69993 UBS AG TCH R Bear CBBC Jun 2010 K 0.250 171.88 per 100 units 163.88 per 100 units 2010/06/07 100,000,000 2010/01/28
60109 RB of Scotland N.V. A50 China R Bear CBBC Jun 2010 F 0.250 15.320 14.820 2010/06/18 80,000,000 2010/01/29
60115 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 H 0.250 13,300 per 10,000 units 12,800 per 10,000 units 2010/05/28 250,000,000 2010/01/29
60111 RB of Scotland N.V. HSI R Bear CBBC May 2010 G 0.250 21,900 per 13,000 units 21,400 per 13,000 units 2010/05/28 250,000,000 2010/01/29
60112 RB of Scotland N.V. HSI R Bear CBBC May 2010 H 0.250 22,100 per 13,000 units 21,600 per 13,000 units 2010/05/28 250,000,000 2010/01/29
60113 RB of Scotland N.V. HSI R Bear CBBC May 2010 I 0.250 22,300 per 13,000 units 21,800 per 13,000 units 2010/05/28 250,000,000 2010/01/29
60114 RB of Scotland N.V. HSI R Bear CBBC May 2010 J 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/05/28 250,000,000 2010/01/29
60110 RB of Scotland N.V. TCH R Bear CBBC Jun 2010 F 0.258 175.80 per 100 units 168.80 per 100 units 2010/06/18 80,000,000 2010/01/29
60033 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 C 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/05/28 300,000,000 2010/01/29
60034 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 E 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/05/28 300,000,000 2010/01/29
60084 Credit Suisse AG China Life R Bull CBBC Jun 2010 C 0.530 29.800 31.000 2010/06/28 100,000,000 2010/01/29
60089 Credit Suisse AG China Life R Bear CBBC Jun 2010 B 0.315 38.000 36.800 2010/06/28 100,000,000 2010/01/29
60090 Credit Suisse AG HKEx R Bear CBBC Jun 2010 D 0.250 154 per 100 units 148 per 100 units 2010/06/28 100,000,000 2010/01/29
60077 Credit Suisse AG HSI R Bull CBBC May 2010 H 0.250 20,200 per 15,000 units 20,700 per 15,000 units 2010/05/28 210,000,000 2010/01/29
60080 Credit Suisse AG HSI R Bull CBBC Jun 2010 I 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/06/29 210,000,000 2010/01/29
60079 Credit Suisse AG HSI R Bull CBBC Jun 2010 J 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/06/29 210,000,000 2010/01/29
60082 Credit Suisse AG HSI R Bull CBBC Jun 2010 K 0.290 17,500 per 10,000 units 18,000 per 10,000 units 2010/06/29 200,000,000 2010/01/29
60078 Credit Suisse AG HSI R Bull CBBC Jun 2010 Z 0.250 18,000 per 15,000 units 18,500 per 15,000 units 2010/06/29 210,000,000 2010/01/29
60081 Credit Suisse AG HSI R Bull CBBC Jul 2010 F 0.250 17,800 per 15,000 units 18,300 per 15,000 units 2010/07/29 210,000,000 2010/01/29
60083 Credit Suisse AG HSI R Bull CBBC Jul 2010 G 0.250 17,200 per 15,000 units 17,700 per 15,000 units 2010/07/29 210,000,000 2010/01/29
60086 Credit Suisse AG HSI R Bear CBBC May 2010 F 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/05/28 210,000,000 2010/01/29
60087 Credit Suisse AG HSI R Bear CBBC Jun 2010 F 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 200,000,000 2010/01/29
60088 Credit Suisse AG HSI R Bear CBBC Jul 2010 H 0.250 22,400 per 38,000 units 21,800 per 38,000 units 2010/07/29 190,000,000 2010/01/29
60085 Credit Suisse AG TCH R Bull CBBC Jun 2010 C 0.350 112 per 100 units 120 per 100 units 2010/06/28 100,000,000 2010/01/29
60091 Credit Suisse AG TCH R Bear CBBC Jun 2010 D 0.250 166 per 100 units 158 per 100 units 2010/06/28 100,000,000 2010/01/29
60116 Deutsche Bank AG China Life R Bear CBBC Jun 2010 H 0.300 37.680 36.680 2010/06/28 150,000,000 2010/01/29
60038 Deutsche Bank AG HSI R Bull CBBC May 2010 D 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/05/28 300,000,000 2010/01/29
60037 Deutsche Bank AG HSI R Bull CBBC May 2010 F 0.260 20,100 per 12,000 units 20,600 per 12,000 units 2010/05/28 300,000,000 2010/01/29
60061 Deutsche Bank AG HSI R Bull CBBC Jun 2010 N 0.250 18,100 per 12,000 units 18,600 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60060 Deutsche Bank AG HSI R Bull CBBC Jun 2010 O 0.280 17,600 per 12,000 units 18,100 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60039 Deutsche Bank AG HSI R Bull CBBC Jun 2010 P 0.270 19,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60062 Deutsche Bank AG HSI R Bull CBBC Jul 2010 F 0.350 16,900 per 12,000 units 17,400 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60063 Deutsche Bank AG HSI R Bull CBBC Jul 2010 G 0.260 17,900 per 12,000 units 18,400 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60064 Deutsche Bank AG HSI R Bull CBBC Aug 2010 B 0.400 16,300 per 12,000 units 16,800 per 12,000 units 2010/08/30 300,000,000 2010/01/29
60065 Deutsche Bank AG HSI R Bear CBBC Jun 2010 M 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60066 Deutsche Bank AG HSI R Bear CBBC Jun 2010 Q 0.260 21,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60067 Deutsche Bank AG HSI R Bear CBBC Jul 2010 H 0.290 21,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60118 Goldman Sachs SP (Asia) HSI R Bull CBBC Jun 2010 H 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/06/29 200,000,000 2010/01/29
60119 Goldman Sachs SP (Asia) HSI R Bull CBBC Jun 2010 I 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 200,000,000 2010/01/29
60046 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 T 0.250 18,100 per 15,000 units 18,600 per 15,000 units 2010/04/29 308,000,000 2010/01/29
60047 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 V 0.250 18,500 per 12,000 units 19,000 per 12,000 units 2010/04/29 248,000,000 2010/01/29
60048 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 W 0.250 18,600 per 10,000 units 19,100 per 10,000 units 2010/04/29 208,000,000 2010/01/29
60050 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2010 Y 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/04/29 208,000,000 2010/01/29
60051 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 H 0.250 18,400 per 12,000 units 18,900 per 12,000 units 2010/05/28 248,000,000 2010/01/29
60052 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2010 I 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2010/05/28 308,000,000 2010/01/29
60035 Macquarie Bank Ltd. HSI R Bull CBBC May 2010 B 0.250 19,000 per 12,000 units 19,600 per 12,000 units 2010/05/28 300,000,000 2010/01/29
60036 Macquarie Bank Ltd. HSI R Bear CBBC Apr 2010 D 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/04/29 300,000,000 2010/01/29
60108 Macquarie Bank Ltd. HSI R Bear CBBC Apr 2010 E 0.250 21,800 per 11,000 units 21,200 per 11,000 units 2010/04/29 300,000,000 2010/01/29
60117 CC Rabobank B.A. HSI R Bear CBBC Jun 2010 J 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/06/29 200,000,000 2010/01/29
60024 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10N 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60025 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10O 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/07/29 300,000,000 2010/01/29
60026 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10P 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60027 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10Q 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60068 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10R 0.305 18,100 per 10,000 units 18,600 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60069 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10S 0.250 18,200 per 15,000 units 18,700 per 15,000 units 2010/07/29 300,000,000 2010/01/29
60070 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10T 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60071 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10U 0.270 18,400 per 10,000 units 18,900 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60032 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10D 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/06/29 300,000,000 2010/01/29
60028 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10E 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/06/29 300,000,000 2010/01/29
60031 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10F 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/06/29 300,000,000 2010/01/29
60030 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10G 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/06/29 300,000,000 2010/01/29
60029 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10Z 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/06/29 300,000,000 2010/01/29
60072 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10V 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 300,000,000 2010/01/29
60073 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10W 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60074 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10X 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60075 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Y 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/07/29 300,000,000 2010/01/29
60076 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Z 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60103 UBS AG China Mobile R Bear CBBC May 2010 N 0.250 78.88 per 100 units 74.88 per 100 units 2010/05/10 200,000,000 2010/01/29
60054 UBS AG China Life R Bull CBBC May 2010 X 0.250 33.880 34.880 2010/05/17 200,000,000 2010/01/29
60102 UBS AG China Life R Bear CBBC May 2010 Y 0.250 36.880 35.880 2010/05/17 200,000,000 2010/01/29
60055 UBS AG Sinopec Corp R Bull CBBC Jun 2010 D 0.250 5.980 6.380 2010/06/21 100,000,000 2010/01/29
60099 UBS AG China Shenhua R Bull CBBC May 2010 F 0.250 27.88 per 100 units 29.88 per 100 units 2010/05/31 100,000,000 2010/01/29
60053 UBS AG A50 China R Bull CBBC May 2010 G 0.250 12.880 13.380 2010/05/17 200,000,000 2010/01/29
60107 UBS AG A50 China R Bull CBBC Jun 2010 B 0.250 11.380 11.880 2010/06/28 200,000,000 2010/01/29
60056 UBS AG HKEx R Bull CBBC May 2010 W 0.250 132.88 per 100 units 138.88 per 100 units 2010/05/17 200,000,000 2010/01/29
60104 UBS AG HKEx R Bear CBBC May 2010 X 0.250 144.88 per 100 units 138.88 per 100 units 2010/05/17 200,000,000 2010/01/29
60058 UBS AG HSI R Bull CBBC Apr 2010 D 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/04/29 300,000,000 2010/01/29
60059 UBS AG HSI R Bull CBBC Apr 2010 I 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/04/29 300,000,000 2010/01/29
60040 UBS AG HSI R Bull CBBC Jul 2010 U 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60041 UBS AG HSI R Bull CBBC Jul 2010 V 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60042 UBS AG HSI R Bull CBBC Jul 2010 W 0.250 18,800 per 10,000 units 19,300 per 10,000 units 2010/07/29 300,000,000 2010/01/29
60043 UBS AG HSI R Bull CBBC Jul 2010 X 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 300,000,000 2010/01/29
60044 UBS AG HSI R Bull CBBC Aug 2010 L 0.250 18,600 per 10,000 units 19,100 per 10,000 units 2010/08/30 300,000,000 2010/01/29
60045 UBS AG HSI R Bull CBBC Aug 2010 M 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/08/30 300,000,000 2010/01/29
60092 UBS AG HSI R Bull CBBC Aug 2010 N 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/08/30 300,000,000 2010/01/29
60094 UBS AG HSI R Bear CBBC Apr 2010 Y 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/04/29 300,000,000 2010/01/29
60095 UBS AG HSI R Bear CBBC Apr 2010 Z 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/04/29 300,000,000 2010/01/29
60096 UBS AG HSI R Bear CBBC May 2010 R 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/05/28 300,000,000 2010/01/29
60097 UBS AG HSI R Bear CBBC Jul 2010 Y 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/07/29 300,000,000 2010/01/29
60098 UBS AG HSI R Bear CBBC Aug 2010 P 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/08/30 400,000,000 2010/01/29
60100 UBS AG ICBC R Bull CBBC Jun 2010 E 0.250 4.480 4.880 2010/06/21 100,000,000 2010/01/29
60101 UBS AG Ping An R Bull CBBC Jun 2010 E 0.250 47.88 per 100 units 53.88 per 100 units 2010/06/14 100,000,000 2010/01/29
60057 UBS AG TCH R Bull CBBC Jun 2010 L 0.250 140.88 per 100 units 148.88 per 100 units 2010/06/14 100,000,000 2010/01/29
60105 UBS AG TCH R Bear CBBC Jun 2010 M 0.250 161.88 per 100 units 153.88 per 100 units 2010/06/14 100,000,000 2010/01/29
60106 UBS AG TCH R Bear CBBC Jun 2010 N 0.250 166.88 per 100 units 158.88 per 100 units 2010/06/14 100,000,000 2010/01/29
60144 RB of Scotland N.V. Sinopec Corp R Bull CBBC May 2010 A 0.250 5.080 5.580 2010/05/18 80,000,000 2010/02/01
60177 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 F 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/05/28 300,000,000 2010/02/01
60181 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 I 0.250 21,300 per 12,000 units 20,700 per 12,000 units 2010/05/28 300,000,000 2010/02/01
60182 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 K 0.250 22,200 per 11,000 units 21,700 per 11,000 units 2010/05/28 300,000,000 2010/02/01
60139 Credit Suisse AG China Life R Bull CBBC Jul 2010 A 1.100 25.800 27.000 2010/07/26 100,000,000 2010/02/01
60141 Credit Suisse AG A50 China R Bull CBBC Jul 2010 A 0.340 10.400 11.000 2010/07/26 100,000,000 2010/02/01
60138 Credit Suisse AG HKEx R Bull CBBC Jul 2010 A 0.250 114 per 100 units 120 per 100 units 2010/07/26 100,000,000 2010/02/01
60140 Credit Suisse AG HSBC R Bull CBBC Jul 2010 A 0.250 65 per 100 units 70 per 100 units 2010/07/26 100,000,000 2010/02/01
60142 Credit Suisse AG HSI R Bull CBBC Jun 2010 P 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/06/29 210,000,000 2010/02/01
60143 Credit Suisse AG HSI R Bull CBBC Jul 2010 I 0.270 16,800 per 15,000 units 17,300 per 15,000 units 2010/07/29 210,000,000 2010/02/01
60147 Credit Suisse AG HSI R Bear CBBC Jun 2010 O 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/06/29 210,000,000 2010/02/01
60165 Deutsche Bank AG HKEx R Bear CBBC Jul 2010 D 0.250 146.18 per 100 units 140.18 per 100 units 2010/07/19 150,000,000 2010/02/01
60176 Deutsche Bank AG HSBC R Bear CBBC Jul 2010 B 0.250 95.88 per 100 units 90.88 per 100 units 2010/07/12 150,000,000 2010/02/01
60145 Deutsche Bank AG HSI R Bull CBBC May 2010 O 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/05/28 300,000,000 2010/02/01
60146 Deutsche Bank AG HSI R Bull CBBC Jun 2010 K 0.310 19,100 per 12,000 units 19,600 per 12,000 units 2010/06/29 300,000,000 2010/02/01
60137 Deutsche Bank AG HSI R Bull CBBC Jul 2010 I 0.250 20,100 per 15,000 units 20,700 per 15,000 units 2010/07/29 300,000,000 2010/02/01
60150 Deutsche Bank AG HSI R Bear CBBC May 2010 M 0.290 21,500 per 12,000 units 21,000 per 12,000 units 2010/05/28 300,000,000 2010/02/01
60149 Deutsche Bank AG HSI R Bear CBBC May 2010 N 0.260 21,300 per 15,000 units 20,700 per 15,000 units 2010/05/28 300,000,000 2010/02/01
60164 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 A 0.250 21,300 per 15,000 units 20,800 per 15,000 units 2010/07/29 200,000,000 2010/02/01
60127 HK Bank China Life R Bull CBBC Jun 2010 B 0.250 30.58 per 100 units 31.28 per 100 units 2010/06/25 150,000,000 2010/02/01
60133 HK Bank China Life R Bear CBBC Jun 2010 C 0.250 41.68 per 100 units 40.88 per 100 units 2010/06/25 150,000,000 2010/02/01
60124 HK Bank Sinopec Corp R Bull CBBC May 2010 A 0.250 4.880 5.280 2010/05/28 200,000,000 2010/02/01
60125 HK Bank Sinopec Corp R Bull CBBC Sep 2010 A 0.250 4.580 4.880 2010/09/17 200,000,000 2010/02/01
60126 HK Bank Sinopec Corp R Bull CBBC Sep 2010 B 0.250 5.280 5.580 2010/09/17 80,000,000 2010/02/01
60128 HK Bank A50 R Bull CBBC Sep 2010 A 0.250 11.500 11.880 2010/09/17 200,000,000 2010/02/01
60129 HK Bank HSI R Bull CBBC Sep 2010 B 0.250 15,800 per 20,000 units 16,300 per 20,000 units 2010/09/29 160,000,000 2010/02/01
60130 HK Bank HSI R Bull CBBC Sep 2010 C 0.280 16,300 per 16,000 units 16,800 per 16,000 units 2010/09/29 160,000,000 2010/02/01
60131 HK Bank HSI R Bull CBBC Sep 2010 D 0.250 18,000 per 12,000 units 18,500 per 12,000 units 2010/09/29 160,000,000 2010/02/01
60132 HK Bank HSI R Bear CBBC May 2010 L 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/05/28 160,000,000 2010/02/01
60166 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC May 10C 0.250 66.48 per 100 units 70.48 per 100 units 2010/05/03 198,000,000 2010/02/01
60171 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Jun 10A 0.250 91.88 per 100 units 87.88 per 100 units 2010/06/01 198,000,000 2010/02/01
60167 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC May 10B 0.250 4.980 5.680 2010/05/10 308,000,000 2010/02/01
60175 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Jun 10A 0.250 15.380 14.880 2010/06/01 188,000,000 2010/02/01
60172 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Jun 2010 A 0.250 97.88 per 100 units 92.88 per 100 units 2010/06/01 188,000,000 2010/02/01
60168 KBC Fin Products Int’l Ltd. Jiangxi C R Bull CBBC Jun 10A 0.310 14.080 15.280 2010/06/15 100,000,000 2010/02/01
60169 KBC Fin Products Int’l Ltd. Jiangxi C R Bull CBBC Jun 10B 0.250 14.800 16.000 2010/06/01 100,000,000 2010/02/01
60170 KBC Fin Products Int’l Ltd. SHK Ppt R Bull CBBC May 10A 0.250 92 per 100 units 100 per 100 units 2010/05/03 188,000,000 2010/02/01
60173 KBC Fin Products Int’l Ltd. SHK Ppt R Bear CBBC May 2010 B 0.250 128.88 per 100 units 120.88 per 100 units 2010/05/18 188,000,000 2010/02/01
60159 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 K 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/07/29 200,000,000 2010/02/01
60160 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 L 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 200,000,000 2010/02/01
60161 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 M 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/07/29 200,000,000 2010/02/01
60162 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 N 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/07/29 200,000,000 2010/02/01
60163 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 O 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 200,000,000 2010/02/01
60120 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10A 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 300,000,000 2010/02/01
60121 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10B 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/08/30 300,000,000 2010/02/01
60122 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10C 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/08/30 300,000,000 2010/02/01
60123 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10D 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/08/30 300,000,000 2010/02/01
60148 UBS AG CC Bank R Bull CBBC Jul 2010 A 0.250 4.880 5.280 2010/07/12 100,000,000 2010/02/01
60151 UBS AG China Life R Bull CBBC Jun 2010 C 0.440 30.880 31.880 2010/06/14 200,000,000 2010/02/01
60152 UBS AG China Life R Bull CBBC Jul 2010 A 0.540 29.880 30.880 2010/07/12 200,000,000 2010/02/01
60153 UBS AG CM Bank R Bull CBBC Jun 2010 E 0.330 14.880 16.880 2010/06/21 100,000,000 2010/02/01
60155 UBS AG A50 China R Bear CBBC May 2010 H 0.250 14.380 13.880 2010/05/17 200,000,000 2010/02/01
60136 UBS AG HSBC R Bull CBBC Jun 2010 H 0.250 78.88 per 100 units 83.88 per 100 units 2010/06/07 200,000,000 2010/02/01
60134 UBS AG HSI R Bull CBBC Jun 2010 V 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/06/29 300,000,000 2010/02/01
60135 UBS AG HSI R Bull CBBC Jul 2010 Z 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/07/29 300,000,000 2010/02/01
60156 UBS AG HSI R Bear CBBC Jun 2010 L 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/01
60157 UBS AG HSI R Bear CBBC Jul 2010 E 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/07/29 300,000,000 2010/02/01
60158 UBS AG HSI R Bear CBBC Aug 2010 Q 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2010/08/30 400,000,000 2010/02/01
60154 UBS AG ICBC R Bull CBBC Jun 2010 F 0.250 3.980 4.380 2010/06/21 100,000,000 2010/02/01
60179 RB of Scotland N.V. COVS R Bull CBBC May 2010 A 0.270 11.480 12.680 2010/05/19 80,000,000 2010/02/02
60191 RB of Scotland N.V. COVS R Bull CBBC May 2010 B 0.250 12.080 13.280 2010/05/19 80,000,000 2010/02/02
60195 RB of Scotland N.V. COVS R Bear CBBC May 2010 C 0.250 16.480 15.280 2010/05/19 80,000,000 2010/02/02
60196 RB of Scotland N.V. COVS R Bear CBBC May 2010 D 0.318 17.280 16.080 2010/05/19 80,000,000 2010/02/02
60205 RB of Scotland N.V. Ch Life R Bull CBBC May 2010 I 0.250 28.88 per 100 units 30.28 per 100 units 2010/05/26 80,000,000 2010/02/02
60209 RB of Scotland N.V. Ch Life R Bear CBBC May 2010 J 0.250 39.68 per 100 units 38.28 per 100 units 2010/05/26 80,000,000 2010/02/02
60204 RB of Scotland N.V. A50 China R Bull CBBC May 2010 A 0.250 11.320 11.820 2010/05/20 80,000,000 2010/02/02
60193 RB of Scotland N.V. HKEx R Bear CBBC May 2010 H 0.250 151.80 per 100 units 145.80 per 100 units 2010/05/26 80,000,000 2010/02/02
60194 RB of Scotland N.V. HKEx R Bear CBBC May 2010 I 0.250 156.80 per 100 units 150.80 per 100 units 2010/05/26 80,000,000 2010/02/02
60208 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 I 0.250 12,900 per 10,000 units 12,400 per 10,000 units 2010/05/28 250,000,000 2010/02/02
60206 RB of Scotland N.V. HSI R Bear CBBC May 2010 K 0.250 21,500 per 13,000 units 21,000 per 13,000 units 2010/05/28 250,000,000 2010/02/02
60207 RB of Scotland N.V. HSI R Bear CBBC May 2010 L 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/05/28 250,000,000 2010/02/02
60192 RB of Scotland N.V. TCH R Bull CBBC May 2010 A 0.250 123.80 per 100 units 130.80 per 100 units 2010/05/14 80,000,000 2010/02/02
60197 RB of Scotland N.V. TCH R Bear CBBC May 2010 B 0.250 165.80 per 100 units 158.80 per 100 units 2010/05/14 80,000,000 2010/02/02
60178 BOCI Asia Ltd. HSI R Bull CBBC May 2010 A 0.250 19,000 per 11,000 units 19,500 per 11,000 units 2010/05/28 100,000,000 2010/02/02
60203 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2010 J 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2010/05/28 300,000,000 2010/02/02
60201 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 I 0.250 20,800 per 13,000 units 20,300 per 13,000 units 2010/06/29 300,000,000 2010/02/02
60202 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 J 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/06/29 300,000,000 2010/02/02
60198 Credit Suisse AG HKEx R Bear CBBC Jun 2010 E 0.250 149 per 100 units 143 per 100 units 2010/06/28 100,000,000 2010/02/02
60199 Credit Suisse AG HSI R Bear CBBC Jun 2010 Q 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/06/29 210,000,000 2010/02/02
60210 Deutsche Bank AG China Life R Bull CBBC Jul 2010 A 0.460 30.180 31.180 2010/07/19 150,000,000 2010/02/02
60211 Deutsche Bank AG Sinopec Corp R Bull CBBC Jul 2010 A 0.250 4.680 5.180 2010/07/12 150,000,000 2010/02/02
60212 Deutsche Bank AG HKEx R Bull CBBC Jul 2010 E 0.330 104.18 per 100 units 110.18 per 100 units 2010/07/26 150,000,000 2010/02/02
60213 Deutsche Bank AG HSBC R Bull CBBC Jul 2010 C 0.250 64.88 per 100 units 70.88 per 100 units 2010/07/26 150,000,000 2010/02/02
60180 Deutsche Bank AG HSI R Bull CBBC May 2010 A 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/05/28 300,000,000 2010/02/02
60186 Deutsche Bank AG HSI R Bull CBBC Jun 2010 S 0.290 18,200 per 15,000 units 18,800 per 15,000 units 2010/06/29 300,000,000 2010/02/02
60187 Deutsche Bank AG HSI R Bull CBBC Jul 2010 J 0.250 18,800 per 15,000 units 19,400 per 15,000 units 2010/07/29 300,000,000 2010/02/02
60188 Deutsche Bank AG HSI R Bull CBBC Aug 2010 C 0.340 17,300 per 12,000 units 17,800 per 12,000 units 2010/08/30 300,000,000 2010/02/02
60215 Deutsche Bank AG HSI R Bear CBBC Jun 2010 J 0.250 20,600 per 12,000 units 20,118 per 12,000 units 2010/06/29 300,000,000 2010/02/02
60189 Deutsche Bank AG HSI R Bear CBBC Jul 2010 K 0.250 20,800 per 12,000 units 20,300 per 12,000 units 2010/07/29 300,000,000 2010/02/02
60190 Deutsche Bank AG HSI R Bear CBBC Aug 2010 D 0.250 21,300 per 40,000 units 20,700 per 40,000 units 2010/08/30 300,000,000 2010/02/02
60214 Deutsche Bank AG ICBC R Bull CBBC Jul 2010 B 0.250 3.680 4.180 2010/07/26 150,000,000 2010/02/02
60216 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 B 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60217 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 C 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 200,000,000 2010/02/02
60218 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 D 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60200 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Jun 10B 0.250 95.88 per 100 units 91.88 per 100 units 2010/06/10 188,000,000 2010/02/02
60255 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 J 0.250 17,000 per 20,000 units 17,500 per 20,000 units 2010/05/28 300,000,000 2010/02/02
60256 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 K 0.280 17,400 per 10,000 units 17,900 per 10,000 units 2010/05/28 208,000,000 2010/02/02
60257 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 L 0.250 17,700 per 12,000 units 18,200 per 12,000 units 2010/05/28 248,000,000 2010/02/02
60258 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 M 0.250 17,900 per 10,000 units 18,400 per 10,000 units 2010/05/28 208,000,000 2010/02/02
60259 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 G 0.250 17,500 per 25,000 units 18,000 per 25,000 units 2010/06/29 300,000,000 2010/02/02
60260 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2010 N 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/05/28 208,000,000 2010/02/02
60261 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2010 O 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/05/28 248,000,000 2010/02/02
60262 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2010 P 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/05/28 208,000,000 2010/02/02
60263 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2010 Q 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/05/28 208,000,000 2010/02/02
60264 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 H 0.250 21,300 per 15,000 units 20,800 per 15,000 units 2010/06/29 308,000,000 2010/02/02
60219 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 P 0.250 18,500 per 12,000 units 19,000 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60220 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 Q 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60221 CC Rabobank B.A. HSI R Bear CBBC Jul 2010 R 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60222 CC Rabobank B.A. HSI R Bear CBBC Jul 2010 S 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60223 CC Rabobank B.A. HSI R Bear CBBC Jul 2010 T 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 200,000,000 2010/02/02
60241 UBS AG BankComm R Bull CBBC Jun 2010 E 0.265 5.280 5.880 2010/06/14 100,000,000 2010/02/02
60243 UBS AG China Life R Bull CBBC May 2010 B 0.250 32.880 33.880 2010/05/17 200,000,000 2010/02/02
60242 UBS AG China Life R Bull CBBC May 2010 Z 0.540 28.880 29.880 2010/05/24 200,000,000 2010/02/02
60250 UBS AG China Life R Bear CBBC May 2010 C 0.250 34.880 33.880 2010/05/17 200,000,000 2010/02/02
60251 UBS AG China Life R Bear CBBC May 2010 G 0.250 35.880 34.880 2010/05/17 200,000,000 2010/02/02
60246 UBS AG CNOOC R Bull CBBC Jun 2010 F 0.250 9.580 10.380 2010/06/14 100,000,000 2010/02/02
60245 UBS AG Sinopec Corp R Bull CBBC Jun 2010 F 0.250 5.280 5.680 2010/06/21 100,000,000 2010/02/02
60253 UBS AG A50 China R Bull CBBC Jun 2010 C 0.255 10.880 11.380 2010/06/28 200,000,000 2010/02/02
60254 UBS AG A50 China R Bear CBBC May 2010 I 0.250 13.880 13.380 2010/05/24 200,000,000 2010/02/02
60184 UBS AG HKEx R Bull CBBC May 2010 Y 0.250 127.88 per 100 units 133.88 per 100 units 2010/05/17 200,000,000 2010/02/02
60247 UBS AG HSBC R Bull CBBC Jun 2010 I 0.250 63.88 per 100 units 68.88 per 100 units 2010/06/21 200,000,000 2010/02/02
60239 UBS AG HSCEI R Bear CBBC May 2010 J 0.250 12,800 per 12,000 units 12,300 per 12,000 units 2010/05/28 200,000,000 2010/02/02
60240 UBS AG HSCEI R Bear CBBC Jun 2010 G 0.250 13,000 per 20,000 units 12,500 per 20,000 units 2010/06/29 200,000,000 2010/02/02
60224 UBS AG HSI R Bull CBBC Jun 2010 I 0.250 18,000 per 10,000 units 18,500 per 10,000 units 2010/06/29 300,000,000 2010/02/02
60226 UBS AG HSI R Bull CBBC Jul 2010 C 0.280 17,500 per 10,000 units 18,000 per 10,000 units 2010/07/29 300,000,000 2010/02/02
60225 UBS AG HSI R Bull CBBC Jul 2010 D 0.250 17,300 per 12,000 units 17,800 per 12,000 units 2010/07/29 300,000,000 2010/02/02
60227 UBS AG HSI R Bull CBBC Jul 2010 G 0.430 19,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/02
60185 UBS AG HSI R Bull CBBC Aug 2010 R 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 300,000,000 2010/02/02
60228 UBS AG HSI R Bull CBBC Aug 2010 S 0.380 16,500 per 10,000 units 17,000 per 10,000 units 2010/08/30 300,000,000 2010/02/02
60229 UBS AG HSI R Bull CBBC Aug 2010 T 0.330 17,000 per 10,000 units 17,500 per 10,000 units 2010/08/30 300,000,000 2010/02/02
60230 UBS AG HSI R Bull CBBC Aug 2010 U 0.250 17,700 per 12,000 units 18,200 per 12,000 units 2010/08/30 300,000,000 2010/02/02
60231 UBS AG HSI R Bull CBBC Aug 2010 V 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2010/08/30 300,000,000 2010/02/02
60232 UBS AG HSI R Bull CBBC Sep 2010 A 0.430 16,000 per 10,000 units 16,500 per 10,000 units 2010/09/29 300,000,000 2010/02/02
60233 UBS AG HSI R Bull CBBC Sep 2010 B 0.300 16,700 per 12,000 units 17,200 per 12,000 units 2010/09/29 300,000,000 2010/02/02
60234 UBS AG HSI R Bull CBBC Oct 2010 E 0.335 16,300 per 12,000 units 16,800 per 12,000 units 2010/10/28 300,000,000 2010/02/02
60235 UBS AG HSI R Bull CBBC Oct 2010 F 0.250 16,800 per 38,000 units 17,300 per 38,000 units 2010/10/28 400,000,000 2010/02/02
60236 UBS AG HSI R Bear CBBC Jun 2010 O 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/06/29 300,000,000 2010/02/02
60237 UBS AG HSI R Bear CBBC Jul 2010 I 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 300,000,000 2010/02/02
60238 UBS AG HSI R Bear CBBC Aug 2010 W 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/02/02
60248 UBS AG Petrochina R Bull CBBC Jun 2010 F 0.250 7.280 7.880 2010/06/21 100,000,000 2010/02/02
60249 UBS AG TCH R Bull CBBC Jun 2010 O 0.250 120.88 per 100 units 128.88 per 100 units 2010/06/28 100,000,000 2010/02/02
60252 UBS AG TCH R Bear CBBC Jun 2010 P 0.250 156.88 per 100 units 148.88 per 100 units 2010/06/07 100,000,000 2010/02/02
60323 RB of Scotland N.V. BOCL R Bull CBBC May 2010 A 0.250 2.880 3.380 2010/05/20 80,000,000 2010/02/03
60327 RB of Scotland N.V. BOCL R Bear CBBC May 2010 B 0.250 4.680 4.180 2010/05/20 80,000,000 2010/02/03
60324 RB of Scotland N.V. CCHC R Bull CBBC Jun 2010 A 0.250 7.580 8.580 2010/06/18 80,000,000 2010/02/03
60328 RB of Scotland N.V. CCHC R Bear CBBC Jun 2010 B 0.250 11.680 10.680 2010/06/18 80,000,000 2010/02/03
60293 RB of Scotland N.V. CITIC Bank R Bull CBBC Jun 2010 A 0.250 3.780 4.580 2010/06/25 80,000,000 2010/02/03
60297 RB of Scotland N.V. CITIC Bank R Bear CBBC Jun 2010 B 0.250 6.880 6.080 2010/06/25 80,000,000 2010/02/03
60298 RB of Scotland N.V. Sinopec Corp R Bear CBBC May 2010 B 0.250 7.580 7.080 2010/05/06 80,000,000 2010/02/03
60325 RB of Scotland N.V. China Shenhua R Bull CBBC Jun 2010 A 0.250 28.28 per 100 units 29.78 per 100 units 2010/06/18 80,000,000 2010/02/03
60329 RB of Scotland N.V. China Shenhua R Bear CBBC Jun 2010 B 0.250 40.28 per 100 units 38.78 per 100 units 2010/06/18 80,000,000 2010/02/03
60331 RB of Scotland N.V. A50 China R Bear CBBC May 2010 B 0.250 14.820 14.320 2010/05/20 80,000,000 2010/02/03
60294 RB of Scotland N.V. HSBC R Bull CBBC Jun 2010 A 0.250 71.88 per 100 units 77.88 per 100 units 2010/06/11 80,000,000 2010/02/03
60299 RB of Scotland N.V. HSBC R Bear CBBC Jun 2010 B 0.250 98.88 per 100 units 92.88 per 100 units 2010/06/11 80,000,000 2010/02/03
60326 RB of Scotland N.V. ICBC R Bull CBBC Jun 2010 A 0.250 4.680 5.080 2010/06/18 80,000,000 2010/02/03
60330 RB of Scotland N.V. ICBC R Bear CBBC Jun 2010 B 0.250 6.980 6.580 2010/06/18 80,000,000 2010/02/03
60295 RB of Scotland N.V. Jiangxi Copper R Bull CBBC May 2010 A 0.302 13.080 14.280 2010/05/06 80,000,000 2010/02/03
60296 RB of Scotland N.V. Jiangxi Copper R Bull CBBC May 2010 B 0.250 13.680 14.880 2010/05/06 80,000,000 2010/02/03
60301 Credit Suisse AG HSI R Bull CBBC Jun 2010 R 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 210,000,000 2010/02/03
60287 Deutsche Bank AG China Life R Bull CBBC Jul 2010 B 0.660 28.180 29.180 2010/07/26 150,000,000 2010/02/03
60288 Deutsche Bank AG China Life R Bear CBBC Jul 2010 C 0.270 35.680 34.680 2010/07/26 150,000,000 2010/02/03
60289 Deutsche Bank AG China Life R Bear CBBC Jul 2010 D 0.370 36.680 35.680 2010/07/26 150,000,000 2010/02/03
60284 Deutsche Bank AG HSI R Bull CBBC Jun 2010 T 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/06/29 300,000,000 2010/02/03
60291 Deutsche Bank AG HSI R Bull CBBC Sep 2010 A 0.260 15,900 per 40,000 units 16,500 per 40,000 units 2010/09/30 300,000,000 2010/02/03
60292 Deutsche Bank AG HSI R Bull CBBC Sep 2010 B 0.250 16,900 per 40,000 units 17,500 per 40,000 units 2010/09/30 300,000,000 2010/02/03
60285 Deutsche Bank AG HSI R Bear CBBC Aug 2010 E 0.250 20,800 per 15,000 units 20,200 per 15,000 units 2010/08/30 300,000,000 2010/02/03
60322 Deutsche Bank AG TCH R Bull CBBC Jul 2010 A 0.270 118 per 100 units 125 per 100 units 2010/07/12 150,000,000 2010/02/03
60279 HK Bank HSI R Bull CBBC Aug 2010 C 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/08/30 80,000,000 2010/02/03
60280 HK Bank HSI R Bear CBBC May 2010 M 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/05/28 80,000,000 2010/02/03
60281 HK Bank HSI R Bear CBBC May 2010 N 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/05/28 160,000,000 2010/02/03
60282 HK Bank HSI R Bear CBBC May 2010 O 0.250 22,000 per 20,000 units 21,500 per 20,000 units 2010/05/28 160,000,000 2010/02/03
60283 HK Bank HSI R Bear CBBC Jul 2010 K 0.250 23,000 per 25,000 units 22,500 per 25,000 units 2010/07/29 160,000,000 2010/02/03
60332 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Jun 10C 0.250 82 per 100 units 78 per 100 units 2010/06/01 188,000,000 2010/02/03
60333 KBC Fin Products Int’l Ltd. COVS R Bull CBBC May 2010 A 0.250 12.080 13.380 2010/05/27 40,000,000 2010/02/03
60334 KBC Fin Products Int’l Ltd. COVS R Bull CBBC May 2010 B 0.320 10.980 12.180 2010/05/28 38,000,000 2010/02/03
60335 KBC Fin Products Int’l Ltd. China Shenhua R Bull CBBC Jun10B 0.390 29.880 31.880 2010/06/08 100,000,000 2010/02/03
60341 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC May 10C 0.250 11.480 11.980 2010/05/10 120,000,000 2010/02/03
60342 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC May 10D 0.250 14.280 13.780 2010/05/10 120,000,000 2010/02/03
60336 KBC Fin Products Int’l Ltd. HKEx R Bull CBBC May 2010 C 0.260 121.80 per 100 units 127.80 per 100 units 2010/05/07 188,000,000 2010/02/03
60337 KBC Fin Products Int’l Ltd. HKEx R Bull CBBC May 2010 D 0.250 116.80 per 100 units 122.80 per 100 units 2010/05/13 188,000,000 2010/02/03
60338 KBC Fin Products Int’l Ltd. HKEx R Bull CBBC Jun 2010 B 0.250 110.80 per 100 units 116.80 per 100 units 2010/06/15 188,000,000 2010/02/03
60339 KBC Fin Products Int’l Ltd. HKEx R Bear CBBC May 2010 E 0.250 152.80 per 100 units 146.80 per 100 units 2010/05/11 188,000,000 2010/02/03
60340 KBC Fin Products Int’l Ltd. HKEx R Bear CBBC May 2010 F 0.280 156.80 per 100 units 150.80 per 100 units 2010/05/17 188,000,000 2010/02/03
60343 KBC Fin Products Int’l Ltd. TCH R Bull CBBC May 2010 D 0.250 128 per 100 units 136 per 100 units 2010/05/03 100,000,000 2010/02/03
60344 KBC Fin Products Int’l Ltd. TCH R Bear CBBC Jun 2010 A 0.350 173 per 100 units 165 per 100 units 2010/06/01 100,000,000 2010/02/03
60265 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10J 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/03
60266 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10E 0.285 17,000 per 15,000 units 17,500 per 15,000 units 2010/08/30 300,000,000 2010/02/03
60267 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10F 0.345 17,100 per 12,000 units 17,600 per 12,000 units 2010/08/30 300,000,000 2010/02/03
60268 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10G 0.400 17,200 per 10,000 units 17,700 per 10,000 units 2010/08/30 300,000,000 2010/02/03
60269 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10H 0.260 17,300 per 15,000 units 17,800 per 15,000 units 2010/08/30 300,000,000 2010/02/03
60270 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10I 0.315 17,400 per 12,000 units 17,900 per 12,000 units 2010/08/30 300,000,000 2010/02/03
60271 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10J 0.365 17,500 per 10,000 units 18,000 per 10,000 units 2010/08/30 300,000,000 2010/02/03
60272 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10K 0.250 17,600 per 15,000 units 18,100 per 15,000 units 2010/08/30 300,000,000 2010/02/03
60273 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10L 0.285 17,700 per 12,000 units 18,200 per 12,000 units 2010/08/30 300,000,000 2010/02/03
60274 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10M 0.325 17,800 per 10,000 units 18,300 per 10,000 units 2010/08/30 300,000,000 2010/02/03
60275 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10N 0.250 17,900 per 15,000 units 18,400 per 15,000 units 2010/08/30 300,000,000 2010/02/03
60276 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10O 0.250 18,000 per 12,000 units 18,500 per 12,000 units 2010/08/30 300,000,000 2010/02/03
60290 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10P 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/02/03
60278 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10H 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/07/29 300,000,000 2010/02/03
60277 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10I 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 300,000,000 2010/02/03
60303 UBS AG CM Bank R Bull CBBC Jun 2010 F 0.445 12.880 14.880 2010/06/21 100,000,000 2010/02/03
60304 UBS AG CM Bank R Bear CBBC Jun 2010 G 0.570 22.880 20.880 2010/06/21 100,000,000 2010/02/03
60305 UBS AG HKEx R Bear CBBC Jun 2010 E 0.250 139.88 per 100 units 133.88 per 100 units 2010/06/07 200,000,000 2010/02/03
60310 UBS AG HSI R Bull CBBC May 2010 U 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/05/28 300,000,000 2010/02/03
60311 UBS AG HSI R Bull CBBC Jun 2010 K 0.530 15,000 per 10,000 units 15,500 per 10,000 units 2010/06/29 300,000,000 2010/02/03
60313 UBS AG HSI R Bull CBBC Jun 2010 P 0.250 18,400 per 10,000 units 18,900 per 10,000 units 2010/06/29 300,000,000 2010/02/03
60312 UBS AG HSI R Bull CBBC Jun 2010 Q 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/06/29 300,000,000 2010/02/03
60315 UBS AG HSI R Bull CBBC Jul 2010 F 0.250 18,200 per 10,000 units 18,700 per 10,000 units 2010/07/29 300,000,000 2010/02/03
60314 UBS AG HSI R Bull CBBC Jul 2010 K 0.250 18,100 per 12,000 units 18,600 per 12,000 units 2010/07/29 300,000,000 2010/02/03
60316 UBS AG HSI R Bull CBBC Aug 2010 X 0.265 17,800 per 10,000 units 18,300 per 10,000 units 2010/08/30 300,000,000 2010/02/03
60317 UBS AG HSI R Bull CBBC Sep 2010 C 0.265 17,600 per 10,000 units 18,100 per 10,000 units 2010/09/29 300,000,000 2010/02/03
60318 UBS AG HSI R Bull CBBC Sep 2010 D 0.250 17,900 per 12,000 units 18,400 per 12,000 units 2010/09/29 300,000,000 2010/02/03
60319 UBS AG HSI R Bull CBBC Oct 2010 G 0.475 15,500 per 10,000 units 16,000 per 10,000 units 2010/10/28 300,000,000 2010/02/03
60320 UBS AG HSI R Bull CBBC Oct 2010 H 0.250 16,300 per 38,000 units 16,800 per 38,000 units 2010/10/28 400,000,000 2010/02/03
60286 UBS AG HSI R Bear CBBC May 2010 V 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/03
60321 UBS AG HSI R Bear CBBC Jul 2010 M 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/03
60306 UBS AG Ping An R Bull CBBC Jun 2010 F 0.250 42.88 per 100 units 48.88 per 100 units 2010/06/14 100,000,000 2010/02/03
60307 UBS AG Ping An R Bear CBBC Jun 2010 G 0.250 74.88 per 100 units 68.88 per 100 units 2010/06/14 100,000,000 2010/02/03
60308 UBS AG TCH R Bull CBBC Jun 2010 Q 0.300 110.88 per 100 units 118.88 per 100 units 2010/06/28 100,000,000 2010/02/03
60309 UBS AG TCH R Bear CBBC Jun 2010 R 0.250 151.88 per 100 units 143.88 per 100 units 2010/06/07 100,000,000 2010/02/03
60359 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 R 0.273 16,900 per 13,000 units 17,400 per 13,000 units 2010/06/29 250,000,000 2010/02/04
60360 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 S 0.257 17,100 per 13,000 units 17,600 per 13,000 units 2010/06/29 250,000,000 2010/02/04
60361 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 T 0.250 17,300 per 13,000 units 17,800 per 13,000 units 2010/06/29 250,000,000 2010/02/04
60365 RB of Scotland N.V. HSI R Bear CBBC Jun 2010 U 0.250 23,300 per 13,000 units 22,800 per 13,000 units 2010/06/29 250,000,000 2010/02/04
60348 Credit Suisse AG A50 China R Bear CBBC May 2010 F 0.250 14.400 13.800 2010/05/31 100,000,000 2010/02/04
60362 Deutsche Bank AG China Life R Bull CBBC Jul 2010 E 0.580 29.180 30.180 2010/07/26 150,000,000 2010/02/04
60363 Deutsche Bank AG China Life R Bull CBBC Aug 2010 A 0.880 26.180 27.180 2010/08/16 150,000,000 2010/02/04
60364 Deutsche Bank AG A50 China R Bear CBBC Jul 2010 A 0.250 14.680 13.680 2010/07/12 150,000,000 2010/02/04
60347 Deutsche Bank AG HSI R Bull CBBC Jun 2010 I 0.260 19,500 per 12,000 units 20,000 per 12,000 units 2010/06/29 300,000,000 2010/02/04
60351 Deutsche Bank AG HSI R Bear CBBC Jun 2010 H 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/06/29 300,000,000 2010/02/04
60366 KBC Fin Products Int’l Ltd. Geely Auto R Bull CBBC Jun10A 0.250 2.380 2.880 2010/06/15 40,000,000 2010/02/04
60367 KBC Fin Products Int’l Ltd. Geely Auto R Bull CBBC Aug10A 0.250 2.780 3.280 2010/08/06 40,000,000 2010/02/04
60368 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 B 0.280 16,300 per 15,000 units 16,800 per 15,000 units 2010/07/29 258,000,000 2010/02/04
60369 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 C 0.300 16,800 per 12,000 units 17,300 per 12,000 units 2010/07/29 228,000,000 2010/02/04
60370 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 E 0.390 15,800 per 12,000 units 16,300 per 12,000 units 2010/08/30 200,000,000 2010/02/04
60371 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 F 0.250 16,000 per 20,000 units 16,500 per 20,000 units 2010/08/30 280,000,000 2010/02/04
60358 UBS AG A50 China R Bull CBBC Jun 2010 D 0.290 10.380 10.880 2010/06/28 200,000,000 2010/02/04
60353 UBS AG HSCEI R Bull CBBC Jun 2010 H 0.250 9,800 per 12,000 units 10,300 per 12,000 units 2010/06/29 200,000,000 2010/02/04
60354 UBS AG HSCEI R Bull CBBC Jun 2010 I 0.250 10,000 per 20,000 units 10,500 per 20,000 units 2010/06/29 200,000,000 2010/02/04
60355 UBS AG HSCEI R Bull CBBC Jul 2010 A 0.250 9,500 per 20,000 units 10,000 per 20,000 units 2010/07/29 200,000,000 2010/02/04
60350 UBS AG HSI R Bull CBBC May 2010 Q 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/04
60352 UBS AG HSI R Bull CBBC Jul 2010 O 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/07/29 300,000,000 2010/02/04
60345 UBS AG HSI R Bull CBBC Sep 2010 E 0.250 17,500 per 15,000 units 18,000 per 15,000 units 2010/09/29 300,000,000 2010/02/04
60349 UBS AG HSI R Bear CBBC Sep 2010 F 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2010/09/29 400,000,000 2010/02/04
60356 UBS AG TCH R Bull CBBC Jun 2010 S 0.250 130.88 per 100 units 138.88 per 100 units 2010/06/28 100,000,000 2010/02/04
60357 UBS AG TCH R Bull CBBC Jun 2010 T 0.250 135.88 per 100 units 143.88 per 100 units 2010/06/28 100,000,000 2010/02/04
60394 RB of Scotland N.V. CNOOC R Bull CBBC Jun 2010 C 0.250 8.880 9.680 2010/06/14 80,000,000 2010/02/05
60398 RB of Scotland N.V. CNOOC R Bear CBBC Jun 2010 D 0.261 13.480 12.680 2010/06/14 80,000,000 2010/02/05
60395 RB of Scotland N.V. PetCh R Bull CBBC Jun 2010 A 0.250 7.080 7.880 2010/06/14 80,000,000 2010/02/05
60399 RB of Scotland N.V. PetCh R Bear CBBC Jun 2010 B 0.252 11.180 10.380 2010/06/14 80,000,000 2010/02/05
60396 Deutsche Bank AG China Life R Bull CBBC Jul 2010 F 0.250 33.180 34.180 2010/07/26 150,000,000 2010/02/05
60397 KBC Fin Products Int’l Ltd. SHK Ppt R Bull CBBC May 2010 C 0.250 78 per 100 units 86 per 100 units 2010/05/18 118,000,000 2010/02/05
60400 KBC Fin Products Int’l Ltd. SHK Ppt R Bull CBBC May 2010 D 0.250 84 per 100 units 92 per 100 units 2010/05/05 118,000,000 2010/02/05
60373 SGA Societe Generale Acceptance N.V. BYD R Bull CBBC Jun10A 0.250 45 per 100 units 50 per 100 units 2010/06/30 100,000,000 2010/02/05
60374 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Jul10A 0.420 30.000 31.000 2010/07/28 100,000,000 2010/02/05
60375 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Jul10B 0.320 31.000 32.000 2010/07/28 100,000,000 2010/02/05
60376 SGA Societe Generale Acceptance N.V CLife R Bear CBBC Jul10C 0.300 37.000 36.000 2010/07/28 100,000,000 2010/02/05
60377 SGA Societe Generale Acceptance N.V CLife R Bear CBBC Jul10D 0.400 38.000 37.000 2010/07/28 100,000,000 2010/02/05
60378 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Jul10A 0.250 11.000 11.500 2010/07/28 150,000,000 2010/02/05
60379 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Jul10B 0.250 11.500 12.000 2010/07/28 150,000,000 2010/02/05
60380 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Jul10C 0.250 14.600 14.000 2010/07/28 150,000,000 2010/02/05
60381 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Jul10D 0.250 15.100 14.500 2010/07/28 150,000,000 2010/02/05
60388 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Jul10A 0.250 10,000 per 12,000 units 10,500 per 12,000 units 2010/07/29 200,000,000 2010/02/05
60389 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Jul10B 0.250 13,000 per 12,000 units 12,500 per 12,000 units 2010/07/29 200,000,000 2010/02/05
60390 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Jul10C 0.250 13,500 per 12,000 units 13,000 per 12,000 units 2010/07/29 200,000,000 2010/02/05
60372 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Q 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/08/30 300,000,000 2010/02/05
60382 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10A 0.300 117 per 100 units 125 per 100 units 2010/07/28 100,000,000 2010/02/05
60383 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10B 0.250 122 per 100 units 130 per 100 units 2010/07/28 100,000,000 2010/02/05
60384 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10C 0.250 127 per 100 units 135 per 100 units 2010/07/28 100,000,000 2010/02/05
60385 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC Jul10D 0.250 166 per 100 units 158 per 100 units 2010/07/28 100,000,000 2010/02/05
60386 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC Jul10E 0.250 171 per 100 units 163 per 100 units 2010/07/28 100,000,000 2010/02/05
60387 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC Jul10F 0.300 176 per 100 units 168 per 100 units 2010/07/28 100,000,000 2010/02/05
60393 UBS AG CNOOC R Bear CBBC Jun 2010 G 0.315 14.180 13.380 2010/06/14 100,000,000 2010/02/05
60391 UBS AG Sinopec Corp R Bull CBBC Jun 2010 G 0.250 5.680 6.080 2010/06/21 100,000,000 2010/02/05
60392 UBS AG HSI R Bull CBBC Aug 2010 Z 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2010/08/30 400,000,000 2010/02/05
60431 RB of Scotland N.V. HSI R Bear CBBC Jun 2010 V 0.250 21,100 per 13,000 units 20,600 per 13,000 units 2010/06/29 250,000,000 2010/02/08
60432 RB of Scotland N.V. HSI R Bear CBBC Jun 2010 W 0.250 21,300 per 13,000 units 20,800 per 13,000 units 2010/06/29 250,000,000 2010/02/08
60438 Deutsche Bank AG China Mobile R Bear CBBC Jul 2010 A 0.250 79.68 per 100 units 75.68 per 100 units 2010/07/19 150,000,000 2010/02/08
60439 Deutsche Bank AG CNOOC R Bear CBBC Jul 2010 A 0.250 12.280 11.680 2010/07/26 150,000,000 2010/02/08
60415 Deutsche Bank AG HSI R Bull CBBC May 2010 W 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/05/28 300,000,000 2010/02/08
60416 Deutsche Bank AG HSI R Bear CBBC May 2010 E 0.250 20,500 per 12,000 units 20,018 per 12,000 units 2010/05/28 300,000,000 2010/02/08
60440 Deutsche Bank AG ICBC R Bull CBBC Jul 2010 C 0.250 4.680 5.180 2010/07/19 150,000,000 2010/02/08
60441 Deutsche Bank AG Petrochina R Bull CBBC Jul 2010 B 0.260 6.580 7.180 2010/07/26 150,000,000 2010/02/08
60442 Deutsche Bank AG Petrochina R Bear CBBC Jul 2010 C 0.250 9.780 9.180 2010/07/19 150,000,000 2010/02/08
60434 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 V 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/07/29 200,000,000 2010/02/08
60435 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 W 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 200,000,000 2010/02/08
60436 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 X 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/07/29 200,000,000 2010/02/08
60437 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 Y 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 200,000,000 2010/02/08
60401 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Jul10A 0.250 4.800 5.200 2010/07/28 200,000,000 2010/02/08
60402 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Jul10B 0.250 5.200 5.600 2010/07/28 200,000,000 2010/02/08
60403 SGA Societe Generale Acceptance N.V CP&CC R Bull CBBC Jul10A 0.250 4.500 5.000 2010/07/28 200,000,000 2010/02/08
60404 SGA Societe Generale Acceptance N.V CP&CC R Bull CBBC Jul10B 0.250 5.500 6.000 2010/07/28 200,000,000 2010/02/08
60405 SGA Societe Generale Acceptance N.V CP&CC R Bear CBBC Jul10C 0.250 7.000 6.500 2010/07/28 200,000,000 2010/02/08
60406 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC Jul10A 0.250 112 per 100 units 118 per 100 units 2010/07/28 150,000,000 2010/02/08
60407 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC Jul10B 0.250 117 per 100 units 123 per 100 units 2010/07/28 150,000,000 2010/02/08
60408 SGA Societe Generale Acceptance N.V. HKEx R Bear CBBC Jul10C 0.250 146 per 100 units 140 per 100 units 2010/07/28 150,000,000 2010/02/08
60409 SGA Societe Generale Acceptance N.V. HKEx R Bear CBBC Jul10D 0.250 151 per 100 units 145 per 100 units 2010/07/28 150,000,000 2010/02/08
60417 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10R 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/08/30 300,000,000 2010/02/08
60418 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10G 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/08
60421 UBS AG BYD Company R Bull CBBC Jun 2010 A 0.250 45.88 per 100 units 50.88 per 100 units 2010/06/28 100,000,000 2010/02/08
60410 UBS AG China Mobile R Bull CBBC May 2010 O 0.250 68.88 per 100 units 72.88 per 100 units 2010/05/10 200,000,000 2010/02/08
60423 UBS AG CC Bank R Bull CBBC Jul 2010 B 0.250 4.580 4.980 2010/07/12 100,000,000 2010/02/08
60422 UBS AG Cheung Kong R Bull CBBC Jul 2010 A 0.250 70.88 per 100 units 78.88 per 100 units 2010/07/26 100,000,000 2010/02/08
60424 UBS AG China Life R Bull CBBC Jul 2010 B 0.750 26.880 27.880 2010/07/12 200,000,000 2010/02/08
60411 UBS AG A50 China R Bull CBBC May 2010 J 0.250 12.380 12.880 2010/05/17 200,000,000 2010/02/08
60419 UBS AG A50 China R Bull CBBC Jul 2010 A 0.300 9.880 10.380 2010/07/12 200,000,000 2010/02/08
60430 UBS AG A50 China R Bear CBBC Jul 2010 B 0.250 13.380 12.880 2010/07/12 200,000,000 2010/02/08
60425 UBS AG HKEx R Bull CBBC Jun 2010 F 0.280 102.88 per 100 units 108.88 per 100 units 2010/06/28 200,000,000 2010/02/08
60412 UBS AG HSI R Bull CBBC Jul 2010 N 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/07/29 300,000,000 2010/02/08
60413 UBS AG HSI R Bull CBBC Sep 2010 G 0.250 17,800 per 38,000 units 18,300 per 38,000 units 2010/09/29 400,000,000 2010/02/08
60414 UBS AG HSI R Bull CBBC Sep 2010 H 0.250 18,300 per 38,000 units 18,800 per 38,000 units 2010/09/29 400,000,000 2010/02/08
60426 UBS AG Petrochina R Bull CBBC Jul 2010 A 0.250 6.780 7.380 2010/07/26 100,000,000 2010/02/08
60420 UBS AG Petrochina R Bear CBBC Jul 2010 B 0.250 10.480 9.880 2010/07/26 100,000,000 2010/02/08
60427 UBS AG SHK Ppt R Bull CBBC Jul 2010 A 0.250 75.88 per 100 units 83.88 per 100 units 2010/07/26 100,000,000 2010/02/08
60428 UBS AG SHK Ppt R Bull CBBC Jul 2010 B 0.250 80.88 per 100 units 88.88 per 100 units 2010/07/26 100,000,000 2010/02/08
60429 UBS AG TCH R Bull CBBC Jul 2010 A 0.355 105.88 per 100 units 113.88 per 100 units 2010/07/12 100,000,000 2010/02/08
60453 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2010 K 0.250 18,300 per 10,000 units 18,800 per 10,000 units 2010/06/29 300,000,000 2010/02/09
60454 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2010 L 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/06/29 300,000,000 2010/02/09
60455 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2010 M 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/06/29 300,000,000 2010/02/09
60452 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 A 0.250 18,000 per 10,000 units 18,500 per 10,000 units 2010/07/29 300,000,000 2010/02/09
60456 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2010 L 0.250 21,300 per 11,000 units 20,800 per 11,000 units 2010/05/28 300,000,000 2010/02/09
60457 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 B 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/07/29 300,000,000 2010/02/09
60445 Credit Suisse AG HSI R Bear CBBC Jun 2010 N 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/06/29 210,000,000 2010/02/09
60465 Deutsche Bank AG HSI R Bull CBBC May 2010 D 0.310 19,000 per 12,000 units 19,500 per 12,000 units 2010/05/28 300,000,000 2010/02/09
60466 Deutsche Bank AG HSI R Bull CBBC May 2010 R 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/05/28 300,000,000 2010/02/09
60467 Deutsche Bank AG HSI R Bull CBBC Jun 2010 X 0.290 19,300 per 12,000 units 19,800 per 12,000 units 2010/06/29 300,000,000 2010/02/09
60443 Deutsche Bank AG HSI R Bear CBBC May 2010 F 0.250 20,800 per 12,000 units 20,300 per 12,000 units 2010/05/28 300,000,000 2010/02/09
60458 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 A 0.250 17,100 per 15,000 units 17,600 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60459 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 B 0.250 17,300 per 15,000 units 17,800 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60460 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 C 0.250 17,500 per 15,000 units 18,000 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60461 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 D 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60462 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 E 0.250 18,700 per 15,000 units 19,200 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60463 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 F 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/08/30 200,000,000 2010/02/09
60464 Goldman Sachs SP (Asia) HSI R Bear CBBC Aug 2010 G 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/08/30 200,000,000 2010/02/09
60451 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 R 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/05/28 208,000,000 2010/02/09
60450 KBC Fin Products Int’l Ltd. TCH R Bull CBBC Jun 2010 B 0.250 118.80 per 100 units 126.80 per 100 units 2010/06/01 100,000,000 2010/02/09
60446 UBS AG China Life R Bear CBBC May 2010 J 0.250 35.880 34.880 2010/05/17 200,000,000 2010/02/09
60448 UBS AG HSI R Bear CBBC May 2010 I 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/05/28 300,000,000 2010/02/09
60449 UBS AG HSI R Bear CBBC Jun 2010 Z 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/09
60447 UBS AG Jiangxi Copper R Bull CBBC Jul 2010 A 0.360 12.380 13.880 2010/07/12 100,000,000 2010/02/09
68967 # HK Bank A50 R Bear CBBC May 2010 B 0.325 16.280 15.880 2010/05/26 100,000,000 2010/02/09
60502 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2010 N 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/06/29 300,000,000 2010/02/10
60503 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 C 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 300,000,000 2010/02/10
60474 Credit Suisse AG China Mobile R Bear CBBC Jun 2010 E 0.250 93 per 100 units 88 per 100 units 2010/06/28 100,000,000 2010/02/10
60473 Credit Suisse AG China Life R Bull CBBC Jun 2010 D 0.260 31.800 33.000 2010/06/28 100,000,000 2010/02/10
60475 Credit Suisse AG HSBC R Bear CBBC Jul 2010 B 0.250 108 per 100 units 103 per 100 units 2010/07/26 100,000,000 2010/02/10
60496 Credit Suisse AG HSI R Bull CBBC Jun 2010 H 0.250 20,200 per 15,000 units 20,700 per 15,000 units 2010/06/29 210,000,000 2010/02/10
60472 Credit Suisse AG HSI R Bear CBBC Jul 2010 J 0.250 23,800 per 15,000 units 23,300 per 15,000 units 2010/07/29 210,000,000 2010/02/10
60506 Deutsche Bank AG CNOOC R Bull CBBC Jul 2010 B 0.250 10.580 11.180 2010/07/26 150,000,000 2010/02/10
60508 Deutsche Bank AG HSI R Bull CBBC Jun 2010 L 0.280 19,800 per 12,000 units 20,300 per 12,000 units 2010/06/29 300,000,000 2010/02/10
60509 Deutsche Bank AG HSI R Bull CBBC Jun 2010 Y 0.260 20,200 per 12,000 units 20,700 per 12,000 units 2010/06/29 300,000,000 2010/02/10
60510 Deutsche Bank AG HSI R Bull CBBC Jul 2010 M 0.270 20,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/02/10
60511 Deutsche Bank AG HSI R Bull CBBC Sep 2010 C 0.250 19,400 per 40,000 units 20,000 per 40,000 units 2010/09/29 300,000,000 2010/02/10
60483 Deutsche Bank AG HSI R Bear CBBC Jun 2010 U 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/10
60476 Deutsche Bank AG HSI R Bear CBBC Jun 2010 V 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/10
60507 Deutsche Bank AG Petrochina R Bull CBBC Jul 2010 D 0.250 7.580 8.180 2010/07/19 150,000,000 2010/02/10
60499 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 H 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/08/30 200,000,000 2010/02/10
60500 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 I 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 200,000,000 2010/02/10
60501 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 J 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/08/30 200,000,000 2010/02/10
60494 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 S 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/05/28 248,000,000 2010/02/10
60495 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 T 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/05/28 208,000,000 2010/02/10
60469 Macquarie Bank Ltd. HSI R Bull CBBC Jun 2010 A 0.250 18,400 per 12,000 units 19,000 per 12,000 units 2010/06/29 400,000,000 2010/02/10
60505 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 A 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 200,000,000 2010/02/10
60504 CC Rabobank B.A. HSI R Bull CBBC Jul 2010 Z 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/07/29 200,000,000 2010/02/10
60480 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10S 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/08/30 300,000,000 2010/02/10
60481 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10T 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 300,000,000 2010/02/10
60482 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10U 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/08/30 300,000,000 2010/02/10
60470 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Q 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 300,000,000 2010/02/10
60484 UBS AG BankComm R Bear CBBC Jun 2010 F 0.250 9.480 8.880 2010/06/07 100,000,000 2010/02/10
60486 UBS AG China Mobile R Bull CBBC May 2010 P 0.250 70.88 per 100 units 74.88 per 100 units 2010/05/10 200,000,000 2010/02/10
60485 UBS AG CM Bank R Bull CBBC Jun 2010 H 0.340 15.880 17.880 2010/06/14 100,000,000 2010/02/10
60487 UBS AG CNOOC R Bull CBBC Jun 2010 H 0.250 10.080 10.880 2010/06/14 100,000,000 2010/02/10
60488 UBS AG CNOOC R Bull CBBC Jun 2010 I 0.250 10.580 11.380 2010/06/14 100,000,000 2010/02/10
60492 UBS AG CNOOC R Bear CBBC Jun 2010 J 0.345 15.680 14.880 2010/06/21 100,000,000 2010/02/10
60489 UBS AG HKEx R Bull CBBC Jun 2010 H 0.250 127.88 per 100 units 133.88 per 100 units 2010/06/14 200,000,000 2010/02/10
60477 UBS AG HKEx R Bear CBBC Jun 2010 G 0.250 139.88 per 100 units 133.88 per 100 units 2010/06/07 200,000,000 2010/02/10
60490 UBS AG HSBC R Bull CBBC Jun 2010 J 0.250 78.88 per 100 units 83.88 per 100 units 2010/06/14 200,000,000 2010/02/10
60497 UBS AG HSI R Bull CBBC May 2010 V 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/05/28 300,000,000 2010/02/10
60498 UBS AG HSI R Bull CBBC Jul 2010 R 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 300,000,000 2010/02/10
60478 UBS AG HSI R Bear CBBC May 2010 X 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/10
60493 UBS AG HSI R Bear CBBC Jun 2010 N 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/10
60479 UBS AG HSI R Bear CBBC Aug 2010 C 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/02/10
60491 UBS AG TCH R Bull CBBC Jun 2010 U 0.250 140.88 per 100 units 148.88 per 100 units 2010/06/28 100,000,000 2010/02/10
60513 Credit Suisse AG HSI R Bull CBBC Jun 2010 G 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/06/29 210,000,000 2010/02/11
60519 Credit Suisse AG HSI R Bear CBBC Jun 2010 I 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/06/29 210,000,000 2010/02/11
60517 Deutsche Bank AG HSI R Bull CBBC May 2010 O 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/05/28 300,000,000 2010/02/11
60518 Deutsche Bank AG HSI R Bull CBBC Jun 2010 C 0.260 19,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/11
60522 Deutsche Bank AG HSI R Bear CBBC Jul 2010 N 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/07/29 300,000,000 2010/02/11
60523 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 E 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 200,000,000 2010/02/11
60512 HK Bank A50 R Bull CBBC Jun 2010 E 0.250 11.080 11.380 2010/06/18 120,000,000 2010/02/11
60516 HK Bank A50 R Bear CBBC Jun 2010 F 0.250 14.480 14.180 2010/06/18 80,000,000 2010/02/11
60521 UBS AG CNOOC R Bull CBBC Jun 2010 K 0.320 9.080 9.880 2010/06/21 100,000,000 2010/02/11
60514 UBS AG HSI R Bull CBBC Jun 2010 E 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/11
60515 UBS AG HSI R Bull CBBC Sep 2010 I 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/09/29 300,000,000 2010/02/11
60520 UBS AG HSI R Bear CBBC Jul 2010 L 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 300,000,000 2010/02/11
60126 # HK Bank Sinopec Corp R Bull CBBC Sep 2010 B 0.066 5.280 5.580 2010/09/17 160,000,000 2010/02/11
60591 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 O 0.250 20,300 per 10,000 units 19,800 per 10,000 units 2010/06/29 300,000,000 2010/02/12
60592 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 P 0.250 20,700 per 15,000 units 20,200 per 15,000 units 2010/06/29 300,000,000 2010/02/12
60593 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2010 Q 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/12
60594 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 D 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60595 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 E 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/07/29 300,000,000 2010/02/12
60570 Credit Suisse AG HSBC R Bear CBBC Jun 2010 C 0.250 93 per 100 units 88 per 100 units 2010/06/28 100,000,000 2010/02/12
60527 Credit Suisse AG HSI R Bull CBBC Jun 2010 P 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/06/29 210,000,000 2010/02/12
60569 Credit Suisse AG HSI R Bull CBBC Sep 2010 A 0.250 16,200 per 38,000 units 16,800 per 38,000 units 2010/09/29 190,000,000 2010/02/12
60568 Credit Suisse AG HSI R Bear CBBC Jun 2010 O 0.250 20,200 per 15,000 units 19,700 per 15,000 units 2010/06/29 210,000,000 2010/02/12
60552 Credit Suisse AG HSI R Bear CBBC Jun 2010 Q 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 200,000,000 2010/02/12
60571 Credit Suisse AG TCH R Bull CBBC Jun 2010 E 0.370 102 per 100 units 110 per 100 units 2010/06/28 100,000,000 2010/02/12
60572 Credit Suisse AG TCH R Bear CBBC Jul 2010 A 0.250 156 per 100 units 148 per 100 units 2010/07/26 100,000,000 2010/02/12
60565 Deutsche Bank AG China Life R Bear CBBC Jul 2010 G 0.330 35.680 34.680 2010/07/26 150,000,000 2010/02/12
60566 Deutsche Bank AG Sinopec Corp R Bear CBBC Jul 2010 B 0.250 7.000 6.500 2010/07/12 150,000,000 2010/02/12
60528 Deutsche Bank AG HSI R Bull CBBC Jun 2010 D 0.260 19,200 per 12,000 units 19,700 per 12,000 units 2010/06/29 300,000,000 2010/02/12
60529 Deutsche Bank AG HSI R Bull CBBC Jul 2010 O 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60553 Deutsche Bank AG HSI R Bull CBBC Jul 2010 P 0.360 17,100 per 12,000 units 17,600 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60554 Deutsche Bank AG HSI R Bull CBBC Jul 2010 Q 0.330 17,500 per 12,000 units 18,000 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60555 Deutsche Bank AG HSI R Bull CBBC Jul 2010 R 0.300 17,800 per 12,000 units 18,300 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60556 Deutsche Bank AG HSI R Bull CBBC Jul 2010 S 0.290 18,000 per 12,000 units 18,500 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60557 Deutsche Bank AG HSI R Bull CBBC Jul 2010 T 0.270 18,200 per 12,000 units 18,700 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60559 Deutsche Bank AG HSI R Bull CBBC Aug 2010 F 0.460 15,900 per 12,000 units 16,400 per 12,000 units 2010/08/30 300,000,000 2010/02/12
60560 Deutsche Bank AG HSI R Bull CBBC Aug 2010 G 0.400 16,700 per 12,000 units 17,200 per 12,000 units 2010/08/30 300,000,000 2010/02/12
60561 Deutsche Bank AG HSI R Bull CBBC Sep 2010 D 0.250 15,400 per 40,000 units 16,000 per 40,000 units 2010/09/29 300,000,000 2010/02/12
60562 Deutsche Bank AG HSI R Bear CBBC Jun 2010 P 0.280 20,600 per 12,000 units 20,100 per 12,000 units 2010/06/29 300,000,000 2010/02/12
60563 Deutsche Bank AG HSI R Bear CBBC Jul 2010 U 0.260 20,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60564 Deutsche Bank AG HSI R Bear CBBC Sep 2010 E 0.250 21,300 per 40,000 units 20,700 per 40,000 units 2010/09/29 300,000,000 2010/02/12
60585 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 F 0.250 16,900 per 12,000 units 17,400 per 12,000 units 2010/07/29 200,000,000 2010/02/12
60589 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 G 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/07/29 200,000,000 2010/02/12
60590 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 H 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 200,000,000 2010/02/12
60536 HK Bank HSI R Bull CBBC Jun 2010 R 0.250 18,600 per 15,000 units 19,100 per 15,000 units 2010/06/29 120,000,000 2010/02/12
60537 HK Bank HSI R Bear CBBC Jul 2010 L 0.250 20,700 per 15,000 units 20,200 per 15,000 units 2010/07/29 120,000,000 2010/02/12
60538 HK Bank HSI R Bear CBBC Jul 2010 M 0.250 21,000 per 22,000 units 20,500 per 22,000 units 2010/07/29 150,000,000 2010/02/12
60573 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 I 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 208,000,000 2010/02/12
60574 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 J 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/06/29 208,000,000 2010/02/12
60575 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 K 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/06/29 248,000,000 2010/02/12
60524 Macquarie Bank Ltd. HSI R Bull CBBC Jun 2010 B 0.250 18,700 per 12,000 units 19,300 per 12,000 units 2010/06/29 300,000,000 2010/02/12
60539 Macquarie Bank Ltd. HSI R Bear CBBC Jun 2010 C 0.250 21,000 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/12
60587 CC Rabobank B.A. HSI R Bear CBBC Jul 2010 B 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/07/29 200,000,000 2010/02/12
60588 CC Rabobank B.A. HSI R Bear CBBC Jul 2010 C 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/07/29 200,000,000 2010/02/12
60546 RB of Scotland N.V. Sinopec Corp R Bull CBBC May 2010 C 0.250 4.580 5.080 2010/05/18 80,000,000 2010/02/12
60550 RB of Scotland N.V. Sinopec Corp R Bear CBBC May 2010 D 0.250 7.080 6.580 2010/05/18 80,000,000 2010/02/12
60549 RB of Scotland N.V. HSCEI R Bear CBBC May 2010 J 0.250 12,500 per 10,000 units 12,000 per 10,000 units 2010/05/28 250,000,000 2010/02/12
60548 RB of Scotland N.V. HSI R Bear CBBC May 2010 M 0.250 20,900 per 13,000 units 20,400 per 13,000 units 2010/05/28 250,000,000 2010/02/12
60547 RB of Scotland N.V. Jiangxi Copper R Bull CBBC May 2010 D 0.250 12.480 13.680 2010/05/12 80,000,000 2010/02/12
60551 RB of Scotland N.V. Jiangxi Copper R Bear CBBC May 2010 E 0.310 17.880 16.680 2010/05/12 80,000,000 2010/02/12
60540 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10X 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/07/29 300,000,000 2010/02/12
60542 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10H 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60541 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10I 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/07/29 300,000,000 2010/02/12
60545 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10J 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/07/29 300,000,000 2010/02/12
60544 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10O 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60543 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10P 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/07/29 300,000,000 2010/02/12
60525 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10V 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/07/29 300,000,000 2010/02/12
60526 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Y 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/07/29 300,000,000 2010/02/12
60576 UBS AG BYD Company R Bear CBBC Jun 2010 B 0.250 73.88 per 100 units 68.88 per 100 units 2010/06/28 100,000,000 2010/02/12
60530 UBS AG CC Bank R Bear CBBC Jul 2010 C 0.250 6.980 6.580 2010/07/12 100,000,000 2010/02/12
60577 UBS AG China Life R Bear CBBC May 2010 D 0.250 34.880 33.880 2010/05/17 200,000,000 2010/02/12
60578 UBS AG China Shenhua R Bull CBBC Jul 2010 A 0.250 24.88 per 100 units 26.88 per 100 units 2010/07/12 100,000,000 2010/02/12
60579 UBS AG HKEx R Bull CBBC Jun 2010 I 0.250 122.88 per 100 units 128.88 per 100 units 2010/06/14 200,000,000 2010/02/12
60532 UBS AG HSCEI R Bear CBBC Jun 2010 J 0.250 12,500 per 20,000 units 12,000 per 20,000 units 2010/06/29 200,000,000 2010/02/12
60533 UBS AG HSI R Bull CBBC May 2010 U 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/12
60534 UBS AG HSI R Bull CBBC Jun 2010 V 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 300,000,000 2010/02/12
60535 UBS AG HSI R Bull CBBC Jul 2010 H 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60584 UBS AG HSI R Bear CBBC Jun 2010 L 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/06/29 300,000,000 2010/02/12
60581 UBS AG HSI R Bear CBBC Jun 2010 O 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 300,000,000 2010/02/12
60582 UBS AG HSI R Bear CBBC Jul 2010 T 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 300,000,000 2010/02/12
60583 UBS AG HSI R Bear CBBC Sep 2010 J 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2010/09/29 400,000,000 2010/02/12
60580 UBS AG TCH R Bull CBBC Jun 2010 V 0.250 130.88 per 100 units 138.88 per 100 units 2010/06/28 100,000,000 2010/02/12
60586 UBS AG TCH R Bear CBBC Jun 2010 W 0.250 156.88 per 100 units 148.88 per 100 units 2010/06/28 100,000,000 2010/02/12
60652 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 F 0.250 17,800 per 11,000 units 18,300 per 11,000 units 2010/07/29 300,000,000 2010/02/17
60653 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 G 0.250 18,700 per 10,000 units 19,200 per 10,000 units 2010/07/29 300,000,000 2010/02/17
60654 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 A 0.250 18,200 per 12,000 units 18,700 per 12,000 units 2010/08/30 300,000,000 2010/02/17
60656 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 B 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2010/08/30 300,000,000 2010/02/17
60657 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 H 0.250 20,100 per 15,000 units 19,600 per 15,000 units 2010/07/29 300,000,000 2010/02/17
60615 Credit Suisse AG China Life R Bear CBBC Jun 2010 E 0.300 36.000 34.800 2010/06/28 100,000,000 2010/02/17
60616 Credit Suisse AG HKEx R Bear CBBC Jun 2010 F 0.250 139 per 100 units 133 per 100 units 2010/06/28 100,000,000 2010/02/17
60617 Credit Suisse AG HSI R Bull CBBC Jul 2010 L 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/07/29 210,000,000 2010/02/17
60603 Credit Suisse AG HSI R Bull CBBC Aug 2010 A 0.325 16,500 per 10,000 units 17,000 per 10,000 units 2010/08/30 200,000,000 2010/02/17
60607 Credit Suisse AG HSI R Bull CBBC Aug 2010 B 0.250 17,000 per 15,000 units 17,500 per 15,000 units 2010/08/30 210,000,000 2010/02/17
60608 Credit Suisse AG HSI R Bull CBBC Sep 2010 B 0.250 16,000 per 15,000 units 16,500 per 15,000 units 2010/09/29 210,000,000 2010/02/17
60602 Credit Suisse AG HSI R Bear CBBC Jul 2010 K 0.250 21,400 per 38,000 units 20,800 per 38,000 units 2010/07/29 190,000,000 2010/02/17
60646 Deutsche Bank AG China Life R Bear CBBC Jul 2010 H 0.350 34.680 33.680 2010/07/26 150,000,000 2010/02/17
60647 Deutsche Bank AG HKEx R Bull CBBC Jul 2010 F 0.370 94.18 per 100 units 100.18 per 100 units 2010/07/26 150,000,000 2010/02/17
60650 Deutsche Bank AG HSBC R Bear CBBC Jul 2010 E 0.250 90.88 per 100 units 85.88 per 100 units 2010/07/26 150,000,000 2010/02/17
60618 Deutsche Bank AG HSI R Bull CBBC Jun 2010 J 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/06/29 300,000,000 2010/02/17
60609 Deutsche Bank AG HSI R Bear CBBC Jun 2010 M 0.250 20,200 per 12,000 units 19,700 per 12,000 units 2010/06/29 300,000,000 2010/02/17
60651 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 I 0.250 16,500 per 15,000 units 17,000 per 15,000 units 2010/07/29 200,000,000 2010/02/17
60655 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 J 0.250 21,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 200,000,000 2010/02/17
60600 HK Bank CC Bank R Bull CBBC Jul 2010 A 0.250 4.780 5.080 2010/07/28 150,000,000 2010/02/17
60604 HK Bank CC Bank R Bear CBBC Jun 2010 B 0.250 7.180 6.880 2010/06/08 150,000,000 2010/02/17
60605 HK Bank Sinopec Corp R Bear CBBC Jul 2010 A 0.250 7.180 6.880 2010/07/16 250,000,000 2010/02/17
60601 HK Bank TCH R Bull CBBC Aug 2010 A 0.270 112 per 100 units 118 per 100 units 2010/08/20 200,000,000 2010/02/17
60606 HK Bank TCH R Bear CBBC Jun 2010 A 0.350 173 per 100 units 168 per 100 units 2010/06/25 200,000,000 2010/02/17
60619 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Jul 2010 A 0.250 4.280 4.780 2010/07/15 308,000,000 2010/02/17
60620 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Jul 2010 B 0.250 4.580 5.180 2010/07/05 308,000,000 2010/02/17
60623 KBC Fin Products Int’l Ltd. CP&CC R Bear CBBC Jun 2010 B 0.250 7.380 6.780 2010/06/15 200,000,000 2010/02/17
60624 KBC Fin Products Int’l Ltd. CP&CC R Bear CBBC Jul 2010 C 0.250 7.780 7.180 2010/07/07 200,000,000 2010/02/17
60621 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 L 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/06/29 248,000,000 2010/02/17
60658 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 A 0.250 18,100 per 12,000 units 18,600 per 12,000 units 2010/08/30 200,000,000 2010/02/17
60659 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 B 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2010/08/30 200,000,000 2010/02/17
60663 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 C 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/08/30 200,000,000 2010/02/17
60664 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 D 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 200,000,000 2010/02/17
60665 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 E 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/08/30 200,000,000 2010/02/17
60644 RB of Scotland N.V. HSBC R Bull CBBC Jun 2010 C 0.250 66.88 per 100 units 72.88 per 100 units 2010/06/11 80,000,000 2010/02/17
60649 RB of Scotland N.V. HSBC R Bear CBBC Jun 2010 D 0.250 93.88 per 100 units 87.88 per 100 units 2010/06/11 80,000,000 2010/02/17
60645 RB of Scotland N.V. HSI R Bear CBBC Jun 2010 X 0.250 20,700 per 13,000 units 20,200 per 13,000 units 2010/06/29 250,000,000 2010/02/17
60613 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10N 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/07/29 300,000,000 2010/02/17
60596 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10V 0.265 16,700 per 15,000 units 17,200 per 15,000 units 2010/08/30 300,000,000 2010/02/17
60597 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10W 0.325 16,800 per 12,000 units 17,300 per 12,000 units 2010/08/30 300,000,000 2010/02/17
60598 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10X 0.375 16,900 per 10,000 units 17,400 per 10,000 units 2010/08/30 300,000,000 2010/02/17
60599 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10Y 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/08/30 300,000,000 2010/02/17
60625 UBS AG BOCL R Bull CBBC Jul 2010 D 0.250 2.380 2.880 2010/07/12 100,000,000 2010/02/17
60611 UBS AG China Life R Bull CBBC Jun 2010 E 0.250 31.880 32.880 2010/06/07 200,000,000 2010/02/17
60626 UBS AG China Life R Bear CBBC May 2010 M 0.250 33.880 32.880 2010/05/17 200,000,000 2010/02/17
60612 UBS AG A50 China R Bear CBBC May 2010 K 0.250 13.380 12.880 2010/05/31 200,000,000 2010/02/17
60627 UBS AG HKEx R Bear CBBC Jun 2010 J 0.250 134.88 per 100 units 128.88 per 100 units 2010/06/14 200,000,000 2010/02/17
60614 UBS AG HSI R Bull CBBC May 2010 Q 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/05/28 300,000,000 2010/02/17
60631 UBS AG HSI R Bull CBBC Jul 2010 J 0.280 16,800 per 10,000 units 17,300 per 10,000 units 2010/07/29 300,000,000 2010/02/17
60632 UBS AG HSI R Bull CBBC Jul 2010 Z 0.250 17,200 per 10,000 units 17,700 per 10,000 units 2010/07/29 300,000,000 2010/02/17
60610 UBS AG HSI R Bull CBBC Aug 2010 D 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/08/30 300,000,000 2010/02/17
60633 UBS AG HSI R Bull CBBC Aug 2010 G 0.250 16,900 per 12,000 units 17,400 per 12,000 units 2010/08/30 300,000,000 2010/02/17
60634 UBS AG HSI R Bull CBBC Aug 2010 K 0.250 17,400 per 10,000 units 17,900 per 10,000 units 2010/08/30 300,000,000 2010/02/17
60635 UBS AG HSI R Bull CBBC Sep 2010 K 0.300 16,600 per 10,000 units 17,100 per 10,000 units 2010/09/29 300,000,000 2010/02/17
60636 UBS AG HSI R Bull CBBC Sep 2010 L 0.250 17,100 per 12,000 units 17,600 per 12,000 units 2010/09/29 300,000,000 2010/02/17
60637 UBS AG HSI R Bull CBBC Oct 2010 I 0.250 17,000 per 15,000 units 17,500 per 15,000 units 2010/10/28 300,000,000 2010/02/17
60638 UBS AG HSI R Bull CBBC Nov 2010 A 0.510 14,500 per 10,000 units 15,000 per 10,000 units 2010/11/29 300,000,000 2010/02/17
60639 UBS AG HSI R Bear CBBC Jun 2010 X 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/06/29 300,000,000 2010/02/17
60640 UBS AG HSI R Bear CBBC Jul 2010 M 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/17
60642 UBS AG HSI R Bear CBBC Aug 2010 F 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/02/17
60641 UBS AG HSI R Bear CBBC Aug 2010 H 0.250 20,400 per 10,000 units 19,900 per 10,000 units 2010/08/30 300,000,000 2010/02/17
60643 UBS AG HSI R Bear CBBC Sep 2010 M 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/09/29 300,000,000 2010/02/17
60628 UBS AG ICBC R Bull CBBC Jul 2010 A 0.250 3.480 3.880 2010/07/05 100,000,000 2010/02/17
60629 UBS AG ICBC R Bear CBBC Jun 2010 G 0.250 6.280 5.880 2010/06/14 100,000,000 2010/02/17
60660 BOCI Asia Ltd. HSI R Bull CBBC May 2010 C 0.250 18,300 per 10,000 units 18,800 per 10,000 units 2010/05/28 100,000,000 2010/02/18
60666 BOCI Asia Ltd. HSI R Bear CBBC May 2010 D 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/05/28 100,000,000 2010/02/18
60675 Credit Suisse AG HKEx R Bear CBBC Jun 2010 G 0.250 144 per 100 units 138 per 100 units 2010/06/28 100,000,000 2010/02/18
60684 Credit Suisse AG HSI R Bull CBBC Jul 2010 M 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/07/29 210,000,000 2010/02/18
60668 Deutsche Bank AG HSI R Bull CBBC Jul 2010 V 0.260 19,000 per 12,000 units 19,500 per 12,000 units 2010/07/29 300,000,000 2010/02/18
60683 Deutsche Bank AG HSI R Bear CBBC Jun 2010 H 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/06/29 300,000,000 2010/02/18
60669 Deutsche Bank AG HSI R Bear CBBC Jun 2010 Q 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/06/29 300,000,000 2010/02/18
60667 HK Bank PetCh R Bear CBBC Jun 2010 B 0.250 10.580 10.280 2010/06/28 150,000,000 2010/02/18
60691 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC May 10D 0.250 69.28 per 100 units 73.28 per 100 units 2010/05/18 108,000,000 2010/02/18
60674 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC May 2010 C 0.250 5.080 5.580 2010/05/18 278,000,000 2010/02/18
60698 KBC Fin Products Int’l Ltd. HKEx R Bear CBBC Jun 2010 C 0.250 144 per 100 units 138 per 100 units 2010/06/15 158,000,000 2010/02/18
60692 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Jun 2010 B 0.250 71 per 100 units 76 per 100 units 2010/06/18 158,000,000 2010/02/18
60693 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Jul 2010 B 0.250 66 per 100 units 71 per 100 units 2010/07/02 158,000,000 2010/02/18
60694 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Aug 2010 A 0.250 61 per 100 units 66 per 100 units 2010/08/02 158,000,000 2010/02/18
60697 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Jun 2010 C 0.250 92 per 100 units 87 per 100 units 2010/06/18 158,000,000 2010/02/18
60699 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 U 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/05/28 248,000,000 2010/02/18
60695 KBC Fin Products Int’l Ltd. Petrochina R Bull CBBC Jun10A 0.250 6.780 7.280 2010/06/18 80,000,000 2010/02/18
60696 KBC Fin Products Int’l Ltd. Petrochina R Bull CBBC Jun10B 0.250 7.400 7.900 2010/06/01 80,000,000 2010/02/18
60661 Macquarie Bank Ltd. HSI R Bull CBBC Jun 2010 D 0.250 17,800 per 12,000 units 18,400 per 12,000 units 2010/06/29 400,000,000 2010/02/18
60686 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 F 0.250 17,100 per 12,000 units 17,600 per 12,000 units 2010/08/30 200,000,000 2010/02/18
60687 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 G 0.250 17,300 per 12,000 units 17,800 per 12,000 units 2010/08/30 200,000,000 2010/02/18
60688 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 H 0.250 17,500 per 12,000 units 18,000 per 12,000 units 2010/08/30 200,000,000 2010/02/18
60689 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 I 0.250 17,700 per 12,000 units 18,200 per 12,000 units 2010/08/30 200,000,000 2010/02/18
60690 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 J 0.250 17,900 per 12,000 units 18,400 per 12,000 units 2010/08/30 200,000,000 2010/02/18
60676 UBS AG BankComm R Bull CBBC Jun 2010 G 0.250 5.780 6.380 2010/06/21 100,000,000 2010/02/18
60672 UBS AG Sinopec Corp R Bull CBBC Jun 2010 H 0.250 5.280 5.680 2010/06/14 100,000,000 2010/02/18
60673 UBS AG Sinopec Corp R Bull CBBC Jul 2010 C 0.250 4.280 4.680 2010/07/05 100,000,000 2010/02/18
60681 UBS AG A50 China R Bull CBBC Jun 2010 E 0.250 12.380 12.880 2010/06/14 200,000,000 2010/02/18
60677 UBS AG HKEx R Bull CBBC Jun 2010 K 0.280 97.88 per 100 units 103.88 per 100 units 2010/06/28 200,000,000 2010/02/18
60671 UBS AG HSBC R Bull CBBC Jun 2010 K 0.250 73.88 per 100 units 78.88 per 100 units 2010/06/14 200,000,000 2010/02/18
60679 UBS AG HSBC R Bear CBBC Jun 2010 L 0.250 83.88 per 100 units 78.88 per 100 units 2010/06/14 200,000,000 2010/02/18
60685 UBS AG HSI R Bull CBBC Jun 2010 Q 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/06/29 300,000,000 2010/02/18
60670 UBS AG HSI R Bull CBBC Sep 2010 N 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/09/29 300,000,000 2010/02/18
60682 UBS AG HSI R Bear CBBC Oct 2010 J 0.250 20,300 per 38,000 units 19,800 per 38,000 units 2010/10/28 400,000,000 2010/02/18
60678 UBS AG TCH R Bull CBBC Jul 2010 B 0.340 100.88 per 100 units 108.88 per 100 units 2010/07/12 100,000,000 2010/02/18
60680 UBS AG TCH R Bear CBBC Jun 2010 X 0.250 151.88 per 100 units 143.88 per 100 units 2010/06/14 100,000,000 2010/02/18
60708 Credit Suisse AG HKEx R Bull CBBC Sep 2010 A 0.250 104 per 100 units 110 per 100 units 2010/09/27 100,000,000 2010/02/19
60707 Credit Suisse AG HSBC R Bull CBBC Sep 2010 A 0.250 55 per 100 units 60 per 100 units 2010/09/27 100,000,000 2010/02/19
60706 Credit Suisse AG HSI R Bull CBBC Dec 2010 E 0.250 15,700 per 38,000 units 16,300 per 38,000 units 2010/12/30 190,000,000 2010/02/19
60710 Credit Suisse AG HSI R Bear CBBC Dec 2010 F 0.250 21,900 per 38,000 units 21,300 per 38,000 units 2010/12/30 190,000,000 2010/02/19
60714 Deutsche Bank AG HSI R Bull CBBC Jun 2010 T 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/06/29 300,000,000 2010/02/19
60717 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 K 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/07/29 200,000,000 2010/02/19
60718 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 L 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 200,000,000 2010/02/19
60715 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 V 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/05/28 248,000,000 2010/02/19
60716 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2010 W 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/05/28 208,000,000 2010/02/19
60705 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Jul10E 0.250 10.500 11.000 2010/07/28 150,000,000 2010/02/19
60701 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Jul10A 0.250 61 per 100 units 65 per 100 units 2010/07/28 300,000,000 2010/02/19
60702 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Jul10B 0.250 66 per 100 units 70 per 100 units 2010/07/28 300,000,000 2010/02/19
60703 SGA Societe Generale Acceptance N.V. HSBC R Bear CBBC Jul10C 0.250 95 per 100 units 90 per 100 units 2010/07/28 300,000,000 2010/02/19
60700 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10F 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/07/29 300,000,000 2010/02/19
60713 UBS AG China Mobile R Bear CBBC Jun 2010 D 0.250 80.88 per 100 units 76.88 per 100 units 2010/06/14 200,000,000 2010/02/19
60709 UBS AG HSI R Bull CBBC Aug 2010 W 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/08/30 300,000,000 2010/02/19
60711 UBS AG HSI R Bull CBBC Oct 2010 K 0.250 19,300 per 38,000 units 19,800 per 38,000 units 2010/10/28 400,000,000 2010/02/19
60712 UBS AG TCH R Bull CBBC Jun 2010 Y 0.250 125.88 per 100 units 133.88 per 100 units 2010/06/28 100,000,000 2010/02/19
60727 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 I 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/07/29 300,000,000 2010/02/22
60728 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 J 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/07/29 300,000,000 2010/02/22
60729 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 C 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/08/30 300,000,000 2010/02/22
60721 Credit Suisse AG HSI R Bull CBBC Aug 2010 C 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 200,000,000 2010/02/22
60720 Credit Suisse AG HSI R Bull CBBC Dec 2010 G 0.250 16,700 per 38,000 units 17,300 per 38,000 units 2010/12/30 190,000,000 2010/02/22
60724 Credit Suisse AG HSI R Bear CBBC Dec 2010 H 0.250 21,900 per 38,000 units 21,300 per 38,000 units 2010/12/30 190,000,000 2010/02/22
60732 Deutsche Bank AG China Life R Bull CBBC Jul 2010 I 0.280 32.180 33.180 2010/07/26 150,000,000 2010/02/22
60719 Deutsche Bank AG HSI R Bull CBBC Jul 2010 W 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/07/29 300,000,000 2010/02/22
60723 Deutsche Bank AG HSI R Bear CBBC Jul 2010 X 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/07/29 300,000,000 2010/02/22
60733 Deutsche Bank AG HSI R Bear CBBC Jul 2010 Y 0.250 20,800 per 12,000 units 20,300 per 12,000 units 2010/07/29 300,000,000 2010/02/22
60730 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 K 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/08/30 200,000,000 2010/02/22
60731 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 L 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 200,000,000 2010/02/22
60725 UBS AG HSI R Bull CBBC Jun 2010 S 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/06/29 300,000,000 2010/02/22
60726 UBS AG HSI R Bull CBBC Sep 2010 O 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/09/29 300,000,000 2010/02/22
60722 UBS AG HSI R Bear CBBC May 2010 V 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/22
60749 Credit Suisse AG HSI R Bull CBBC Jul 2010 N 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/07/29 210,000,000 2010/02/23
60740 Credit Suisse AG HSI R Bull CBBC Nov 2010 A 0.250 17,700 per 38,000 units 18,300 per 38,000 units 2010/11/29 190,000,000 2010/02/23
60744 Credit Suisse AG HSI R Bear CBBC Nov 2010 B 0.250 22,900 per 38,000 units 22,300 per 38,000 units 2010/11/29 190,000,000 2010/02/23
60742 Deutsche Bank AG China Life R Bull CBBC Jul 2010 J 0.430 31.180 32.180 2010/07/26 150,000,000 2010/02/23
60743 Deutsche Bank AG China Life R Bull CBBC Jul 2010 K 0.250 33.180 34.180 2010/07/26 150,000,000 2010/02/23
60745 Deutsche Bank AG Sinopec Corp R Bull CBBC Jul 2010 C 0.250 4.000 4.500 2010/07/28 150,000,000 2010/02/23
60761 Deutsche Bank AG HSI R Bull CBBC May 2010 A 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/05/28 300,000,000 2010/02/23
60746 Deutsche Bank AG HSI R Bull CBBC Jul 2010 Z 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/07/29 300,000,000 2010/02/23
60762 Deutsche Bank AG HSI R Bear CBBC Jun 2010 I 0.260 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/23
60747 Deutsche Bank AG TCH R Bull CBBC Jul 2010 B 0.280 124 per 100 units 131 per 100 units 2010/07/21 150,000,000 2010/02/23
60748 Deutsche Bank AG TCH R Bull CBBC Jul 2010 C 0.250 131 per 100 units 138 per 100 units 2010/07/21 150,000,000 2010/02/23
60741 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 M 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/06/29 208,000,000 2010/02/23
60763 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 K 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/08/30 200,000,000 2010/02/23
60764 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 L 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/08/30 200,000,000 2010/02/23
60735 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10A 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/08/30 300,000,000 2010/02/23
60736 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10B 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/08/30 300,000,000 2010/02/23
60737 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10C 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/08/30 300,000,000 2010/02/23
60738 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10D 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/02/23
60734 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Z 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/08/30 300,000,000 2010/02/23
60758 UBS AG BOCL R Bear CBBC Jul 2010 E 0.250 5.080 4.580 2010/07/05 100,000,000 2010/02/23
60753 UBS AG China Mobile R Bull CBBC Jun 2010 E 0.250 60.88 per 100 units 64.88 per 100 units 2010/06/28 200,000,000 2010/02/23
60754 UBS AG China Mobile R Bull CBBC Jun 2010 F 0.250 64.88 per 100 units 68.88 per 100 units 2010/06/14 200,000,000 2010/02/23
60756 UBS AG Sinopec Corp R Bull CBBC Jul 2010 D 0.250 4.480 4.880 2010/07/05 100,000,000 2010/02/23
60759 UBS AG HSBC R Bear CBBC Jun 2010 M 0.250 98.88 per 100 units 93.88 per 100 units 2010/06/21 200,000,000 2010/02/23
60750 UBS AG HSI R Bull CBBC May 2010 X 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/05/28 300,000,000 2010/02/23
60751 UBS AG HSI R Bull CBBC Jul 2010 I 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/07/29 300,000,000 2010/02/23
60752 UBS AG HSI R Bear CBBC Jun 2010 E 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/23
60739 UBS AG HSI R Bear CBBC Sep 2010 P 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2010/09/29 400,000,000 2010/02/23
60760 UBS AG ICBC R Bear CBBC Jul 2010 B 0.250 7.280 6.880 2010/07/05 100,000,000 2010/02/23
60757 UBS AG TCH R Bull CBBC Jul 2010 C 0.330 115.88 per 100 units 123.88 per 100 units 2010/07/12 100,000,000 2010/02/23
60782 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2010 K 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/07/29 300,000,000 2010/02/24
60783 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 D 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 300,000,000 2010/02/24
60775 Credit Suisse AG HSI R Bull CBBC Aug 2010 E 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 210,000,000 2010/02/24
60771 Credit Suisse AG HSI R Bear CBBC Aug 2010 D 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/08/30 210,000,000 2010/02/24
60795 Deutsche Bank AG China Mobile R Bear CBBC Jul 2010 B 0.250 89.68 per 100 units 85.68 per 100 units 2010/07/26 150,000,000 2010/02/24
60796 Deutsche Bank AG A50 China R Bull CBBC Jul 2010 B 0.250 12.180 12.680 2010/07/12 150,000,000 2010/02/24
60776 Deutsche Bank AG HSI R Bull CBBC Jun 2010 X 0.270 19,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/02/24
60777 Deutsche Bank AG HSI R Bull CBBC Jun 2010 Y 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/02/24
60773 Deutsche Bank AG HSI R Bear CBBC Jun 2010 K 0.250 21,200 per 12,000 units 20,700 per 12,000 units 2010/06/29 300,000,000 2010/02/24
60774 Deutsche Bank AG HSI R Bear CBBC Jul 2010 B 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/02/24
60797 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 M 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 200,000,000 2010/02/24
60798 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 N 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/06/29 248,000,000 2010/02/24
60790 RB of Scotland N.V. HSCEI R Bull CBBC Jun 2010 A 0.250 10,700 per 10,000 units 11,200 per 10,000 units 2010/06/29 250,000,000 2010/02/24
60794 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 M 0.250 19,700 per 13,000 units 20,200 per 13,000 units 2010/06/29 250,000,000 2010/02/24
60793 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 O 0.250 19,500 per 13,000 units 20,000 per 13,000 units 2010/06/29 250,000,000 2010/02/24
60791 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 Y 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/06/29 250,000,000 2010/02/24
60792 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 Z 0.250 19,300 per 13,000 units 19,800 per 13,000 units 2010/06/29 250,000,000 2010/02/24
60765 SGA Societe Generale Acceptance N.V CK(H) R Bull CBBC Jul10A 0.250 78 per 100 units 85 per 100 units 2010/07/28 100,000,000 2010/02/24
60766 SGA Societe Generale Acceptance N.V CK(H) R Bear CBBC Jul10B 0.250 117 per 100 units 110 per 100 units 2010/07/28 100,000,000 2010/02/24
60767 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Jul10E 0.250 32.000 33.000 2010/07/28 100,000,000 2010/02/24
60779 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10P 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 300,000,000 2010/02/24
60778 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Q 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/08/30 300,000,000 2010/02/24
60780 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10R 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/08/30 300,000,000 2010/02/24
60781 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10U 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/08/30 300,000,000 2010/02/24
60768 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10G 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/07/29 300,000,000 2010/02/24
60769 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Q 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 300,000,000 2010/02/24
60770 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10G 0.250 127 per 100 units 135 per 100 units 2010/07/28 100,000,000 2010/02/24
60786 UBS AG HSCEI R Bull CBBC Jun 2010 K 0.250 10,500 per 20,000 units 11,000 per 20,000 units 2010/06/29 200,000,000 2010/02/24
60785 UBS AG HSI R Bull CBBC Jun 2010 Z 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/06/29 300,000,000 2010/02/24
60784 UBS AG HSI R Bull CBBC Aug 2010 Z 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/08/30 300,000,000 2010/02/24
60788 UBS AG HSI R Bear CBBC Aug 2010 O 0.290 23,500 per 10,000 units 23,000 per 10,000 units 2010/08/30 300,000,000 2010/02/24
60772 UBS AG HSI R Bear CBBC Aug 2010 R 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/02/24
60789 UBS AG HSI R Bear CBBC Oct 2010 L 0.250 23,500 per 15,000 units 23,000 per 15,000 units 2010/10/28 300,000,000 2010/02/24
60787 UBS AG TCH R Bull CBBC Jun 2010 Z 0.250 135.88 per 100 units 143.88 per 100 units 2010/06/28 100,000,000 2010/02/24
60809 Credit Suisse AG HSI R Bear CBBC Jul 2010 O 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/07/29 210,000,000 2010/02/25
60799 Credit Suisse AG TCH R Bull CBBC Jul 2010 B 0.250 132 per 100 units 140 per 100 units 2010/07/26 100,000,000 2010/02/25
60811 Goldman Sachs SP (Asia) HSI R Bear CBBC Jul 2010 N 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 200,000,000 2010/02/25
60810 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 G 0.250 131.80 per 100 units 138.80 per 100 units 2010/06/18 80,000,000 2010/02/25
60803 UBS AG China Mobile R Bull CBBC Jun 2010 G 0.250 70.88 per 100 units 74.88 per 100 units 2010/06/28 200,000,000 2010/02/25
60804 UBS AG Sinopec Corp R Bull CBBC Jun 2010 J 0.250 5.480 5.880 2010/06/21 100,000,000 2010/02/25
60801 UBS AG HSI R Bull CBBC May 2010 I 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/05/28 300,000,000 2010/02/25
60802 UBS AG HSI R Bull CBBC Nov 2010 B 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2010/11/29 400,000,000 2010/02/25
60805 UBS AG HSI R Bear CBBC May 2010 U 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/05/28 300,000,000 2010/02/25
60806 UBS AG HSI R Bear CBBC Oct 2010 M 0.270 23,200 per 10,000 units 22,700 per 10,000 units 2010/10/28 300,000,000 2010/02/25
60807 UBS AG HSI R Bear CBBC Nov 2010 C 0.290 23,400 per 10,000 units 22,900 per 10,000 units 2010/11/29 300,000,000 2010/02/25
60808 UBS AG HSI R Bear CBBC Dec 2010 A 0.250 23,800 per 38,000 units 23,300 per 38,000 units 2010/12/30 400,000,000 2010/02/25
60834 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 L 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 300,000,000 2010/02/26
60835 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2010 M 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/07/29 300,000,000 2010/02/26
60836 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2010 E 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 300,000,000 2010/02/26
60837 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2010 F 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/08/30 300,000,000 2010/02/26
60817 Credit Suisse AG HSI R Bear CBBC Jul 2010 P 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/07/29 200,000,000 2010/02/26
60816 Deutsche Bank AG HSI R Bull CBBC Jun 2010 L 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/06/29 300,000,000 2010/02/26
60818 Deutsche Bank AG HSI R Bull CBBC Aug 2010 H 0.270 18,300 per 12,000 units 18,800 per 12,000 units 2010/08/30 300,000,000 2010/02/26
60819 Deutsche Bank AG HSI R Bull CBBC Aug 2010 I 0.260 18,500 per 12,000 units 19,000 per 12,000 units 2010/08/30 300,000,000 2010/02/26
60820 Deutsche Bank AG HSI R Bear CBBC Jun 2010 C 0.250 20,600 per 12,000 units 20,100 per 12,000 units 2010/06/29 300,000,000 2010/02/26
60832 Deutsche Bank AG HSI R Bear CBBC Jun 2010 V 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/06/29 300,000,000 2010/02/26
60833 Deutsche Bank AG ICBC R Bull CBBC Jul 2010 D 0.250 4.280 4.680 2010/07/26 150,000,000 2010/02/26
60828 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 O 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 208,000,000 2010/02/26
60829 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 P 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/06/29 208,000,000 2010/02/26
60830 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 M 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 200,000,000 2010/02/26
60831 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 N 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 200,000,000 2010/02/26
60821 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10H 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/07/29 300,000,000 2010/02/26
60822 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10I 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/07/29 300,000,000 2010/02/26
60823 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10J 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/07/29 300,000,000 2010/02/26
60812 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10O 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/02/26
60813 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10P 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/07/29 300,000,000 2010/02/26
60826 UBS AG China Life R Bear CBBC Jun 2010 F 0.250 35.880 34.880 2010/06/14 200,000,000 2010/02/26
60814 UBS AG HSI R Bull CBBC Jun 2010 O 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 300,000,000 2010/02/26
60815 UBS AG HSI R Bull CBBC Jul 2010 X 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/07/29 300,000,000 2010/02/26
60824 UBS AG HSI R Bear CBBC Jul 2010 O 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/07/29 300,000,000 2010/02/26
60825 UBS AG HSI R Bear CBBC Aug 2010 M 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/02/26
60827 UBS AG TCH R Bear CBBC Jun 2010 C 0.250 161.88 per 100 units 153.88 per 100 units 2010/06/28 100,000,000 2010/02/26
60848 Credit Suisse AG HSI R Bear CBBC Jul 2010 Q 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/07/29 210,000,000 2010/03/01
60850 Deutsche Bank AG HSI R Bull CBBC Jul 2010 I 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/07/29 300,000,000 2010/03/01
60846 Deutsche Bank AG HSI R Bear CBBC Jul 2010 A 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/07/29 300,000,000 2010/03/01
60847 Deutsche Bank AG HSI R Bear CBBC Jul 2010 C 0.260 20,800 per 12,000 units 20,300 per 12,000 units 2010/07/29 300,000,000 2010/03/01
60854 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 P 0.250 18,300 per 15,000 units 18,800 per 15,000 units 2010/07/29 200,000,000 2010/03/01
60855 Goldman Sachs SP (Asia) HSI R Bull CBBC Jul 2010 Q 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/07/29 200,000,000 2010/03/01
60851 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 M 0.250 17,700 per 12,000 units 18,200 per 12,000 units 2010/08/30 200,000,000 2010/03/01
60852 Goldman Sachs SP (Asia) HSI R Bull CBBC Aug 2010 N 0.250 17,900 per 15,000 units 18,400 per 15,000 units 2010/08/30 200,000,000 2010/03/01
60856 Goldman Sachs SP (Asia) HSI R Bear CBBC Aug 2010 O 0.300 23,500 per 12,000 units 23,000 per 12,000 units 2010/08/30 200,000,000 2010/03/01
60843 HK Bank HSI R Bull CBBC Aug 2010 D 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/08/30 180,000,000 2010/03/01
60839 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10W 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 300,000,000 2010/03/01
60840 SGA Societe Generale Acceptance N.V. ICBC R Bull CBBC Jul10A 0.250 4.200 4.500 2010/07/28 300,000,000 2010/03/01
60841 SGA Societe Generale Acceptance N.V. ICBC R Bull CBBC Jul10B 0.250 4.700 5.000 2010/07/28 300,000,000 2010/03/01
60838 SGA Societe Generale Acceptance N.V PetCh R Bull CBBC Jul10A 0.250 6.900 7.500 2010/07/28 200,000,000 2010/03/01
60842 SGA Societe Generale Acceptance N.V PetCh R Bear CBBC Jul10B 0.250 10.600 10.000 2010/07/28 200,000,000 2010/03/01
60849 UBS AG HSI R Bull CBBC Sep 2010 Q 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/09/29 300,000,000 2010/03/01
60844 UBS AG HSI R Bear CBBC Jun 2010 L 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 300,000,000 2010/03/01
60845 UBS AG HSI R Bear CBBC Jul 2010 G 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/07/29 300,000,000 2010/03/01
69226 # Credit Suisse AG HSBC R Bull CBBC Jun 2010 B 0.149 70 per 100 units 75 per 100 units 2010/06/28 100,000,000 2010/03/01
60880 Barclays Bank plc HSI R Bull CBBC Sep 2010 A 0.251 19,100 per 10,000 units 19,600 per 10,000 units 2010/09/29 300,000,000 2010/03/02
60881 Barclays Bank plc HSI R Bear CBBC Jun 2010 A 0.164 22,100 per 12,000 units 21,600 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60882 Barclays Bank plc HSI R Bear CBBC Jun 2010 B 0.193 22,400 per 12,000 units 21,900 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60883 Barclays Bank plc HSI R Bear CBBC Jun 2010 C 0.248 22,700 per 12,000 units 22,200 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60884 Barclays Bank plc HSI R Bear CBBC Sep 2010 B 0.321 21,800 per 12,000 units 21,300 per 12,000 units 2010/09/29 300,000,000 2010/03/02
60885 Credit Suisse AG HSBC R Bull CBBC Jul 2010 C 0.250 75 per 100 units 80 per 100 units 2010/07/26 100,000,000 2010/03/02
60870 Credit Suisse AG HSI R Bull CBBC Jul 2010 R 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/07/29 210,000,000 2010/03/02
60886 Credit Suisse AG HSI R Bull CBBC Dec 2010 I 0.250 19,200 per 38,000 units 19,800 per 38,000 units 2010/12/30 190,000,000 2010/03/02
60887 Credit Suisse AG HSI R Bear CBBC Nov 2010 C 0.250 23,900 per 38,000 units 23,300 per 38,000 units 2010/11/29 190,000,000 2010/03/02
60888 Credit Suisse AG HSI R Bear CBBC Nov 2010 D 0.300 23,500 per 10,000 units 23,000 per 10,000 units 2010/11/29 200,000,000 2010/03/02
60894 Deutsche Bank AG China Life R Bull CBBC Aug 2010 B 0.270 33.180 34.180 2010/08/02 150,000,000 2010/03/02
60897 Deutsche Bank AG HSBC R Bull CBBC Aug 2010 A 0.250 75.88 per 100 units 80.88 per 100 units 2010/08/02 150,000,000 2010/03/02
60895 Deutsche Bank AG HSI R Bull CBBC Jul 2010 K 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/03/02
60896 Deutsche Bank AG HSI R Bull CBBC Sep 2010 F 0.250 19,400 per 40,000 units 20,000 per 40,000 units 2010/09/29 300,000,000 2010/03/02
60869 Deutsche Bank AG HSI R Bear CBBC Jun 2010 P 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60891 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 Q 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/06/29 208,000,000 2010/03/02
60859 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 A 0.300 17,600 per 10,000 units 18,200 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60860 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 B 0.270 17,900 per 10,000 units 18,500 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60863 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 C 0.250 18,200 per 10,000 units 18,800 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60864 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 D 0.250 18,500 per 10,000 units 19,100 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60865 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 E 0.250 18,900 per 10,000 units 19,500 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60866 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 F 0.250 19,200 per 10,000 units 19,800 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60867 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Sep 2010 G 0.250 19,500 per 10,000 units 20,100 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60871 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 H 0.250 21,000 per 10,000 units 20,400 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60872 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 I 0.250 21,300 per 10,000 units 20,700 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60873 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 J 0.250 21,600 per 10,000 units 21,000 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60874 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 K 0.250 21,900 per 10,000 units 21,300 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60876 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 M 0.250 22,500 per 10,000 units 21,900 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60877 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 N 0.250 22,700 per 10,000 units 22,100 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60878 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Sep 2010 O 0.280 23,000 per 10,000 units 22,400 per 10,000 units 2010/09/29 100,000,000 2010/03/02
60892 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 O 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/08/30 200,000,000 2010/03/02
60893 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 P 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/08/30 200,000,000 2010/03/02
60857 RB of Scotland N.V. Cheung Kong R Bull CBBC Jun 2010 A 0.250 78.88 per 100 units 86.88 per 100 units 2010/06/17 80,000,000 2010/03/02
60861 RB of Scotland N.V. Cheung Kong R Bear CBBC Jun 2010 B 0.250 114.88 per 100 units 106.88 per 100 units 2010/06/17 80,000,000 2010/03/02
60858 RB of Scotland N.V. SHK Ppt R Bull CBBC Jun 2010 A 0.250 84.88 per 100 units 92.88 per 100 units 2010/06/17 80,000,000 2010/03/02
60862 RB of Scotland N.V. SHK Ppt R Bear CBBC Jun 2010 B 0.250 120.88 per 100 units 112.88 per 100 units 2010/06/17 80,000,000 2010/03/02
60868 UBS AG HSI R Bull CBBC Jun 2010 X 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60879 UBS AG HSI R Bear CBBC Jun 2010 N 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/03/02
60889 UBS AG HSI R Bear CBBC Jul 2010 N 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 300,000,000 2010/03/02
60890 UBS AG SHK Ppt R Bull CBBC Jul 2010 C 0.250 90.88 per 100 units 98.88 per 100 units 2010/07/26 100,000,000 2010/03/02
60908 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 G 0.250 19,000 per 11,000 units 19,500 per 11,000 units 2010/08/30 300,000,000 2010/03/03
60909 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 H 0.250 19,800 per 11,000 units 20,300 per 11,000 units 2010/08/30 300,000,000 2010/03/03
60910 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2010 A 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/09/29 300,000,000 2010/03/03
60913 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2010 I 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/08/30 300,000,000 2010/03/03
60905 Deutsche Bank AG HSI R Bull CBBC Jun 2010 M 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/06/29 300,000,000 2010/03/03
60904 Deutsche Bank AG HSI R Bull CBBC Jun 2010 U 0.260 19,900 per 12,000 units 20,400 per 12,000 units 2010/06/29 300,000,000 2010/03/03
60907 Deutsche Bank AG HSI R Bear CBBC Jul 2010 M 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/07/29 300,000,000 2010/03/03
60898 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Jul10D 0.250 9,500 per 12,000 units 10,000 per 12,000 units 2010/07/29 200,000,000 2010/03/03
60899 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Jul10E 0.250 10,500 per 12,000 units 11,000 per 12,000 units 2010/07/29 200,000,000 2010/03/03
60902 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Jul10F 0.250 12,500 per 12,000 units 12,000 per 12,000 units 2010/07/29 200,000,000 2010/03/03
60906 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10S 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 300,000,000 2010/03/03
60900 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10T 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/03/03
60901 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10V 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/07/29 300,000,000 2010/03/03
60903 UBS AG HSI R Bull CBBC Aug 2010 H 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/03/03
60914 BOCI Asia Ltd. HSI R Bull CBBC Jun 2010 A 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/06/29 100,000,000 2010/03/04
60918 BOCI Asia Ltd. HSI R Bear CBBC Jun 2010 B 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/06/29 100,000,000 2010/03/04
60923 Credit Suisse AG HSI R Bear CBBC Aug 2010 G 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 210,000,000 2010/03/04
60917 Deutsche Bank AG HSI R Bull CBBC Aug 2010 J 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/08/30 300,000,000 2010/03/04
60921 Deutsche Bank AG HSI R Bear CBBC Aug 2010 K 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/08/30 300,000,000 2010/03/04
60911 HK Bank CC Bank R Bull CBBC Jul 2010 B 0.250 4.580 4.880 2010/07/22 180,000,000 2010/03/04
60915 HK Bank CC Bank R Bear CBBC Jul 2010 C 0.250 6.800 6.500 2010/07/22 180,000,000 2010/03/04
60919 HK Bank China Life R Bull CBBC Jul 2010 A 0.640 28.280 29.280 2010/07/22 160,000,000 2010/03/04
60912 HK Bank China Shenhua R Bull CBBC Sep 2010 A 0.250 24.28 per 100 units 26.28 per 100 units 2010/09/17 120,000,000 2010/03/04
60920 HK Bank ICBC R Bull CBBC Jun 2010 A 0.250 3.980 4.280 2010/06/18 160,000,000 2010/03/04
60924 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 R 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/06/29 208,000,000 2010/03/04
60925 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 S 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/06/29 248,000,000 2010/03/04
60916 UBS AG HSI R Bull CBBC Nov 2010 D 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2010/11/29 400,000,000 2010/03/04
60922 UBS AG HSI R Bear CBBC Aug 2010 F 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/03/04
60931 Credit Suisse AG China Mobile R Bear CBBC Sep 2010 A 0.315 108 per 100 units 103 per 100 units 2010/09/20 100,000,000 2010/03/05
60930 Credit Suisse AG HSI R Bull CBBC Aug 2010 H 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 210,000,000 2010/03/05
60939 Deutsche Bank AG China Mobile R Bear CBBC Aug 2010 A 0.250 94.68 per 100 units 90.68 per 100 units 2010/08/02 150,000,000 2010/03/05
60932 Deutsche Bank AG HSI R Bull CBBC Aug 2010 L 0.250 17,400 per 40,000 units 18,000 per 40,000 units 2010/08/30 300,000,000 2010/03/05
60933 Deutsche Bank AG HSI R Bear CBBC Aug 2010 M 0.310 23,600 per 12,000 units 23,100 per 12,000 units 2010/08/30 300,000,000 2010/03/05
60934 Deutsche Bank AG HSI R Bear CBBC Aug 2010 N 0.350 24,000 per 12,000 units 23,500 per 12,000 units 2010/08/30 300,000,000 2010/03/05
60935 Deutsche Bank AG HSI R Bear CBBC Aug 2010 O 0.380 24,400 per 12,000 units 23,900 per 12,000 units 2010/08/30 300,000,000 2010/03/05
60940 Deutsche Bank AG Petrochina R Bear CBBC Aug 2010 A 0.340 11.680 11.180 2010/08/02 150,000,000 2010/03/05
60936 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10D 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/08/30 300,000,000 2010/03/05
60937 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10U 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/08/30 300,000,000 2010/03/05
60926 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Y 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/08/30 300,000,000 2010/03/05
60927 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Y 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 300,000,000 2010/03/05
60938 UBS AG HSI R Bull CBBC Jun 2010 V 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/06/29 300,000,000 2010/03/05
60928 UBS AG HSI R Bear CBBC Jul 2010 R 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 300,000,000 2010/03/05
60946 Credit Suisse AG HSI R Bull CBBC Aug 2010 I 0.250 20,200 per 15,000 units 20,700 per 15,000 units 2010/08/30 210,000,000 2010/03/08
60947 Credit Suisse AG HSI R Bull CBBC Aug 2010 J 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 200,000,000 2010/03/08
60952 Deutsche Bank AG HSI R Bull CBBC Aug 2010 P 0.270 20,300 per 12,000 units 20,800 per 12,000 units 2010/08/30 300,000,000 2010/03/08
60953 Deutsche Bank AG HSI R Bull CBBC Aug 2010 Q 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 300,000,000 2010/03/08
60985 Deutsche Bank AG HSI R Bull CBBC Oct 2010 A 0.250 20,000 per 40,000 units 20,600 per 40,000 units 2010/10/28 300,000,000 2010/03/08
60943 Deutsche Bank AG HSI R Bear CBBC Jun 2010 Q 0.250 21,200 per 12,000 units 20,700 per 12,000 units 2010/06/29 300,000,000 2010/03/08
60954 Deutsche Bank AG HSI R Bear CBBC Jul 2010 N 0.260 21,600 per 12,000 units 21,100 per 12,000 units 2010/07/29 300,000,000 2010/03/08
60944 Deutsche Bank AG HSI R Bear CBBC Jul 2010 U 0.270 21,400 per 12,000 units 20,900 per 12,000 units 2010/07/29 300,000,000 2010/03/08
60968 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 T 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/06/29 158,000,000 2010/03/08
60969 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 D 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 128,000,000 2010/03/08
60970 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 E 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/07/29 128,000,000 2010/03/08
60973 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 U 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/06/29 158,000,000 2010/03/08
60974 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 F 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/07/29 128,000,000 2010/03/08
60975 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 G 0.250 22,800 per 10,000 units 22,300 per 10,000 units 2010/07/29 128,000,000 2010/03/08
60976 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 H 0.250 22,900 per 12,000 units 22,400 per 12,000 units 2010/07/29 158,000,000 2010/03/08
60977 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 I 0.250 23,300 per 12,000 units 22,800 per 12,000 units 2010/07/29 158,000,000 2010/03/08
60971 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 G 0.250 22,600 per 15,000 units 22,100 per 15,000 units 2010/08/30 158,000,000 2010/03/08
60972 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 H 0.250 23,100 per 15,000 units 22,600 per 15,000 units 2010/08/30 158,000,000 2010/03/08
60945 Macquarie Bank Ltd. HSI R Bull CBBC Jul 2010 A 0.251 19,400 per 12,000 units 20,000 per 12,000 units 2010/07/29 300,000,000 2010/03/08
60980 RB of Scotland N.V. China Mobile R Bull CBBC Jun 2010 A 0.250 66.28 per 100 units 70.28 per 100 units 2010/06/21 80,000,000 2010/03/08
60979 RB of Scotland N.V. COVS R Bull CBBC Jun 2010 A 0.268 13.880 15.080 2010/06/28 80,000,000 2010/03/08
60983 RB of Scotland N.V. COVS R Bear CBBC Jun 2010 B 0.294 19.280 18.080 2010/06/28 80,000,000 2010/03/08
60978 RB of Scotland N.V. HSI R Bull CBBC Jun 2010 H 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/06/29 250,000,000 2010/03/08
60982 RB of Scotland N.V. ICBC R Bear CBBC Jun 2010 C 0.250 6.480 6.080 2010/06/23 80,000,000 2010/03/08
60981 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Jun 2010 A 0.251 14.280 15.480 2010/06/17 80,000,000 2010/03/08
60984 RB of Scotland N.V. PetCh R Bear CBBC Jun 2010 C 0.250 10.680 9.880 2010/06/22 80,000,000 2010/03/08
60948 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jul10Q 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/07/29 300,000,000 2010/03/08
60950 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10P 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/08/30 300,000,000 2010/03/08
60951 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Q 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/08/30 300,000,000 2010/03/08
60955 UBS AG BOCL R Bull CBBC Jul 2010 F 0.250 2.880 3.380 2010/07/12 100,000,000 2010/03/08
60967 UBS AG BYD Company R Bull CBBC Jun 2010 C 0.250 50.88 per 100 units 55.88 per 100 units 2010/06/21 100,000,000 2010/03/08
60956 UBS AG CC Bank R Bull CBBC Jul 2010 D 0.250 5.480 5.880 2010/07/19 100,000,000 2010/03/08
60957 UBS AG China Life R Bull CBBC Jun 2010 G 0.250 32.880 33.880 2010/06/21 200,000,000 2010/03/08
60963 UBS AG A50 China R Bull CBBC Jun 2010 F 0.250 12.380 12.880 2010/06/21 200,000,000 2010/03/08
60958 UBS AG HKEx R Bull CBBC Jun 2010 L 0.250 122.88 per 100 units 128.88 per 100 units 2010/06/21 200,000,000 2010/03/08
60959 UBS AG HSBC R Bull CBBC Jun 2010 N 0.250 78.88 per 100 units 83.88 per 100 units 2010/06/28 200,000,000 2010/03/08
60964 UBS AG HSI R Bull CBBC Jun 2010 E 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 300,000,000 2010/03/08
60965 UBS AG HSI R Bull CBBC Sep 2010 S 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/09/29 300,000,000 2010/03/08
60941 UBS AG HSI R Bear CBBC Jun 2010 S 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/06/29 300,000,000 2010/03/08
60942 UBS AG HSI R Bear CBBC Sep 2010 R 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/09/29 300,000,000 2010/03/08
60960 UBS AG Hutchison R Bull CBBC Jun 2010 F 0.250 47.88 per 100 units 52.88 per 100 units 2010/06/14 100,000,000 2010/03/08
60961 UBS AG ICBC R Bull CBBC Jun 2010 H 0.250 4.780 5.180 2010/06/28 100,000,000 2010/03/08
60962 UBS AG Jiangxi Copper R Bull CBBC Jun 2010 H 0.335 13.380 14.880 2010/06/21 100,000,000 2010/03/08
60966 UBS AG Jiangxi Copper R Bear CBBC Jun 2010 I 0.370 20.380 18.880 2010/06/21 100,000,000 2010/03/08
60986 Barclays Bank plc HSI R Bull CBBC Aug 2010 A 0.234 18,500 per 12,000 units 19,000 per 12,000 units 2010/08/30 300,000,000 2010/03/09
60987 Barclays Bank plc HSI R Bull CBBC Sep 2010 C 0.265 19,400 per 12,000 units 19,900 per 12,000 units 2010/09/29 300,000,000 2010/03/09
60988 Barclays Bank plc HSI R Bull CBBC Sep 2010 D 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 300,000,000 2010/03/09
61003 Deutsche Bank AG HKEx R Bear CBBC Jul 2010 G 0.360 166.18 per 100 units 160.18 per 100 units 2010/07/26 150,000,000 2010/03/09
61004 Deutsche Bank AG HSBC R Bear CBBC Jul 2010 F 0.250 90.88 per 100 units 85.88 per 100 units 2010/07/26 150,000,000 2010/03/09
60999 Deutsche Bank AG HSI R Bull CBBC Jul 2010 O 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/07/29 300,000,000 2010/03/09
61000 Deutsche Bank AG HSI R Bull CBBC Aug 2010 R 0.310 19,400 per 10,000 units 19,900 per 10,000 units 2010/08/30 300,000,000 2010/03/09
61001 Deutsche Bank AG HSI R Bull CBBC Aug 2010 S 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/08/30 300,000,000 2010/03/09
61002 Deutsche Bank AG HSI R Bear CBBC Sep 2010 G 0.320 23,800 per 12,000 units 23,300 per 12,000 units 2010/09/29 300,000,000 2010/03/09
61005 Deutsche Bank AG TCH R Bull CBBC Jul 2010 D 0.250 138 per 100 units 145 per 100 units 2010/07/26 150,000,000 2010/03/09
61006 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 V 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/06/29 128,000,000 2010/03/09
61007 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 W 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/06/29 128,000,000 2010/03/09
61008 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 X 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/06/29 128,000,000 2010/03/09
61009 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 J 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/07/29 158,000,000 2010/03/09
61010 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 K 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/07/29 158,000,000 2010/03/09
61011 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 L 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 158,000,000 2010/03/09
61012 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 I 0.250 18,100 per 15,000 units 18,600 per 15,000 units 2010/08/30 158,000,000 2010/03/09
61013 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 J 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/08/30 158,000,000 2010/03/09
61014 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 K 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/08/30 158,000,000 2010/03/09
60989 RB of Scotland N.V. DJIA R Bull CBBC Jun 2010 E 0.346 9,100 per 30,000 units 9,500 per 30,000 units 2010/06/18 40,000,000 2010/03/09
60997 UBS AG BYD Company R Bear CBBC Jul 2010 A 0.250 83.88 per 100 units 78.88 per 100 units 2010/07/12 100,000,000 2010/03/09
60995 UBS AG COVS R Bull CBBC Jun 2010 E 0.250 13.880 14.880 2010/06/21 100,000,000 2010/03/09
60993 UBS AG HSBC R Bull CBBC Jun 2010 O 0.250 71.38 per 100 units 76.38 per 100 units 2010/06/21 200,000,000 2010/03/09
60994 UBS AG HSBC R Bull CBBC Jul 2010 A 0.250 58.88 per 100 units 63.88 per 100 units 2010/07/05 200,000,000 2010/03/09
60998 UBS AG HSBC R Bear CBBC Jun 2010 P 0.250 88.88 per 100 units 83.88 per 100 units 2010/06/21 200,000,000 2010/03/09
60990 UBS AG HSCEI R Bull CBBC Jul 2010 B 0.250 10,800 per 12,000 units 11,300 per 12,000 units 2010/07/29 200,000,000 2010/03/09
60991 UBS AG HSI R Bull CBBC Jul 2010 T 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 300,000,000 2010/03/09
60996 UBS AG TCH R Bull CBBC Jul 2010 D 0.250 140.88 per 100 units 148.88 per 100 units 2010/07/05 100,000,000 2010/03/09
61024 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 J 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/08/30 300,000,000 2010/03/10
61028 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2010 K 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/08/30 300,000,000 2010/03/10
61023 Deutsche Bank AG HSI R Bear CBBC Aug 2010 T 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 300,000,000 2010/03/10
61015 HK Bank HSI R Bull CBBC Jul 2010 N 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/07/29 120,000,000 2010/03/10
61016 HK Bank HSI R Bull CBBC Jul 2010 O 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/07/29 120,000,000 2010/03/10
61017 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10X 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/06/29 300,000,000 2010/03/10
61018 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10A 0.290 23,600 per 15,000 units 23,100 per 15,000 units 2010/09/29 300,000,000 2010/03/10
61019 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10B 0.375 23,700 per 12,000 units 23,200 per 12,000 units 2010/09/29 300,000,000 2010/03/10
61020 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10C 0.460 23,800 per 10,000 units 23,300 per 10,000 units 2010/09/29 300,000,000 2010/03/10
61021 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10D 0.315 23,900 per 15,000 units 23,400 per 15,000 units 2010/09/29 300,000,000 2010/03/10
61022 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10E 0.405 24,000 per 12,000 units 23,500 per 12,000 units 2010/09/29 300,000,000 2010/03/10
61025 UBS AG Sinopec Corp R Bull CBBC Jun 2010 K 0.250 5.580 5.980 2010/06/28 100,000,000 2010/03/10
61027 UBS AG HSI R Bull CBBC Jul 2010 M 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/07/29 300,000,000 2010/03/10
61029 UBS AG HSI R Bear CBBC Aug 2010 C 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/08/30 300,000,000 2010/03/10
61026 UBS AG TCH R Bull CBBC Jul 2010 E 0.250 145.88 per 100 units 153.88 per 100 units 2010/07/05 100,000,000 2010/03/10
60126 # HK Bank Sinopec Corp R Bull CBBC Sep 2010 B 0.083 5.280 5.580 2010/09/17 160,000,000 2010/03/10
61039 Credit Suisse AG China Mobile R Bear CBBC Aug 2010 A 0.250 83 per 100 units 78 per 100 units 2010/08/23 100,000,000 2010/03/11
61040 Credit Suisse AG HSI R Bear CBBC Aug 2010 K 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/08/30 210,000,000 2010/03/11
61030 Deutsche Bank AG China Mobile R Bull CBBC Aug 2010 B 0.250 61.68 per 100 units 65.68 per 100 units 2010/08/02 150,000,000 2010/03/11
61031 Deutsche Bank AG China Mobile R Bear CBBC Jul 2010 C 0.250 84.68 per 100 units 80.68 per 100 units 2010/07/26 150,000,000 2010/03/11
61032 Deutsche Bank AG HSI R Bull CBBC Jul 2010 Y 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2010/07/29 300,000,000 2010/03/11
61033 Deutsche Bank AG HSI R Bull CBBC Oct 2010 B 0.250 18,400 per 40,000 units 19,000 per 40,000 units 2010/10/28 300,000,000 2010/03/11
61043 Deutsche Bank AG HSI R Bear CBBC Aug 2010 U 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/08/30 300,000,000 2010/03/11
61042 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 Y 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/06/29 158,000,000 2010/03/11
61041 CC Rabobank B.A. HSI R Bear CBBC Aug 2010 Q 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/08/30 200,000,000 2010/03/11
61038 UBS AG China Mobile R Bear CBBC Jul 2010 A 0.250 80.88 per 100 units 76.88 per 100 units 2010/07/12 200,000,000 2010/03/11
61034 UBS AG HSI R Bull CBBC Jul 2010 L 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/07/29 300,000,000 2010/03/11
61035 UBS AG HSI R Bear CBBC Aug 2010 W 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/08/30 300,000,000 2010/03/11
61036 UBS AG HSI R Bear CBBC Sep 2010 T 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/09/29 300,000,000 2010/03/11
61037 UBS AG HSI R Bear CBBC Oct 2010 N 0.250 23,300 per 12,000 units 22,800 per 12,000 units 2010/10/28 300,000,000 2010/03/11
61048 Deutsche Bank AG CNOOC R Bull CBBC Jul 2010 C 0.250 11.080 11.680 2010/07/26 150,000,000 2010/03/12
61049 Deutsche Bank AG CNOOC R Bear CBBC Jul 2010 D 0.260 13.780 13.180 2010/07/26 150,000,000 2010/03/12
61045 Deutsche Bank AG HSI R Bear CBBC Aug 2010 V 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/08/30 300,000,000 2010/03/12
61050 Deutsche Bank AG ICBC R Bear CBBC Aug 2010 A 0.250 7.080 6.680 2010/08/02 150,000,000 2010/03/12
61047 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 R 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/08/30 200,000,000 2010/03/12
61046 UBS AG HSI R Bull CBBC Oct 2010 O 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 300,000,000 2010/03/12
61044 UBS AG HSI R Bear CBBC Jul 2010 O 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/07/29 300,000,000 2010/03/12
61055 Credit Suisse AG HSI R Bear CBBC Aug 2010 L 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 200,000,000 2010/03/15
61075 Deutsche Bank AG China Life R Bull CBBC Jul 2010 L 0.280 33.180 34.180 2010/07/26 150,000,000 2010/03/15
61056 Deutsche Bank AG HSI R Bull CBBC Jul 2010 B 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/07/29 300,000,000 2010/03/15
61057 Deutsche Bank AG HSI R Bull CBBC Aug 2010 W 0.280 20,400 per 10,000 units 20,900 per 10,000 units 2010/08/30 300,000,000 2010/03/15
61051 Deutsche Bank AG HSI R Bear CBBC Jul 2010 X 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/07/29 300,000,000 2010/03/15
61052 Deutsche Bank AG HSI R Bear CBBC Jul 2010 Z 0.250 21,700 per 15,000 units 21,100 per 15,000 units 2010/07/29 300,000,000 2010/03/15
61077 Deutsche Bank AG HSI R Bear CBBC Sep 2010 H 0.250 22,800 per 40,000 units 22,200 per 40,000 units 2010/09/29 300,000,000 2010/03/15
61070 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 S 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/08/30 200,000,000 2010/03/15
61071 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 T 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/08/30 200,000,000 2010/03/15
61072 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 U 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 200,000,000 2010/03/15
61073 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 V 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/08/30 200,000,000 2010/03/15
61074 CC Rabobank B.A. HSI R Bull CBBC Aug 2010 W 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 200,000,000 2010/03/15
61059 RB of Scotland N.V. CCHC R Bull CBBC Jun 2010 C 0.252 8.980 9.980 2010/06/18 80,000,000 2010/03/15
61063 RB of Scotland N.V. CCHC R Bear CBBC Jun 2010 D 0.250 12.380 11.380 2010/06/18 80,000,000 2010/03/15
61058 RB of Scotland N.V. DJIA R Bull CBBC Jun 2010 F 0.387 9,600 per 20,000 units 10,000 per 20,000 units 2010/06/18 40,000,000 2010/03/15
61061 RB of Scotland N.V. A50 China R Bull CBBC Jul 2010 A 0.250 12.320 12.820 2010/07/09 80,000,000 2010/03/15
61062 RB of Scotland N.V. HSCEI R Bull CBBC Jun 2010 B 0.250 11,100 per 10,000 units 11,600 per 10,000 units 2010/06/29 250,000,000 2010/03/15
61060 RB of Scotland N.V. SHK Ppt R Bull CBBC Jul 2010 A 0.250 94.88 per 100 units 102.88 per 100 units 2010/07/05 80,000,000 2010/03/15
61064 RB of Scotland N.V. SHK Ppt R Bear CBBC Jul 2010 B 0.254 130.88 per 100 units 122.88 per 100 units 2010/07/05 80,000,000 2010/03/15
61069 UBS AG China Mobile R Bull CBBC Jul 2010 B 0.250 66.88 per 100 units 70.88 per 100 units 2010/07/12 200,000,000 2010/03/15
61065 UBS AG HSCEI R Bull CBBC Jul 2010 C 0.250 11,000 per 20,000 units 11,500 per 20,000 units 2010/07/29 200,000,000 2010/03/15
61066 UBS AG HSI R Bull CBBC Jul 2010 Y 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/07/29 300,000,000 2010/03/15
61053 UBS AG HSI R Bear CBBC Jun 2010 L 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 300,000,000 2010/03/15
61067 UBS AG HSI R Bear CBBC Aug 2010 Z 0.250 23,000 per 10,000 units 22,500 per 10,000 units 2010/08/30 300,000,000 2010/03/15
61054 UBS AG HSI R Bear CBBC Sep 2010 U 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/09/29 300,000,000 2010/03/15
61068 UBS AG HSI R Bear CBBC Sep 2010 V 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 300,000,000 2010/03/15
61078 Barclays Bank plc HSI R Bull CBBC Jun 2010 D 0.153 19,300 per 13,000 units 19,800 per 13,000 units 2010/06/29 300,000,000 2010/03/16
61079 Barclays Bank plc HSI R Bull CBBC Jun 2010 E 0.150 19,800 per 10,000 units 20,300 per 10,000 units 2010/06/29 300,000,000 2010/03/16
61080 Barclays Bank plc HSI R Bull CBBC Aug 2010 B 0.181 19,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 300,000,000 2010/03/16
61081 Barclays Bank plc HSI R Bull CBBC Sep 2010 E 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/09/29 300,000,000 2010/03/16
61082 Barclays Bank plc HSI R Bear CBBC Jun 2010 F 0.159 22,800 per 12,000 units 22,300 per 12,000 units 2010/06/29 300,000,000 2010/03/16
61087 Credit Suisse AG China Life R Bull CBBC Aug 2010 A 0.490 31.800 33.000 2010/08/23 100,000,000 2010/03/16
61088 Credit Suisse AG A50 China R Bull CBBC Aug 2010 A 0.250 12.400 13.000 2010/08/23 100,000,000 2010/03/16
61089 Credit Suisse AG TCH R Bull CBBC Aug 2010 A 0.250 142 per 100 units 150 per 100 units 2010/08/23 100,000,000 2010/03/16
61094 Deutsche Bank AG China Life R Bull CBBC Jul 2010 M 0.280 34.180 35.180 2010/07/26 150,000,000 2010/03/16
61084 Deutsche Bank AG HSI R Bear CBBC Jul 2010 C 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/07/29 300,000,000 2010/03/16
61083 Deutsche Bank AG HSI R Bear CBBC Jul 2010 H 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/07/29 300,000,000 2010/03/16
61085 Deutsche Bank AG HSI R Bear CBBC Aug 2010 Y 0.270 23,000 per 12,000 units 22,500 per 12,000 units 2010/08/30 300,000,000 2010/03/16
61086 Deutsche Bank AG HSI R Bear CBBC Sep 2010 I 0.290 23,200 per 12,000 units 22,700 per 12,000 units 2010/09/29 300,000,000 2010/03/16
61097 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Jul 2010 D 0.250 5.500 6.000 2010/07/15 80,000,000 2010/03/16
61098 KBC Fin Products Int’l Ltd. HKEx R Bull CBBC Jun 2010 D 0.250 122.88 per 100 units 128.88 per 100 units 2010/06/17 58,000,000 2010/03/16
61095 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 L 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/08/30 158,000,000 2010/03/16
61096 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 M 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/07/29 158,000,000 2010/03/16
61099 KBC Fin Products Int’l Ltd. SHK Ppt R Bull CBBC Jul 2010 A 0.250 95.88 per 100 units 103.88 per 100 units 2010/07/15 48,000,000 2010/03/16
61100 KBC Fin Products Int’l Ltd. SHK Ppt R Bear CBBC Aug 2010 A 0.310 144.88 per 100 units 136.88 per 100 units 2010/08/02 48,000,000 2010/03/16
61101 KBC Fin Products Int’l Ltd. TCH R Bull CBBC Jun 2010 D 0.250 142 per 100 units 150 per 100 units 2010/06/18 58,000,000 2010/03/16
61093 UBS AG China Life R Bull CBBC Jul 2010 C 0.275 33.880 34.880 2010/07/12 200,000,000 2010/03/16
61090 UBS AG HSI R Bull CBBC Jun 2010 J 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 300,000,000 2010/03/16
61091 UBS AG HSI R Bull CBBC Aug 2010 R 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/08/30 300,000,000 2010/03/16
61092 UBS AG HSI R Bear CBBC Sep 2010 W 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2010/09/29 300,000,000 2010/03/16
61123 Deutsche Bank AG China Life R Bull CBBC Aug 2010 C 0.250 35.180 36.180 2010/08/09 150,000,000 2010/03/17
61121 Deutsche Bank AG HSI R Bear CBBC Jul 2010 A 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/07/29 300,000,000 2010/03/17
61122 Deutsche Bank AG HSI R Bear CBBC Jul 2010 M 0.410 24,200 per 12,000 units 23,700 per 12,000 units 2010/07/29 300,000,000 2010/03/17
61103 RB of Scotland N.V. BYD Company R Bull CBBC Jul 2010 A 0.250 52.08 per 100 units 57.08 per 100 units 2010/07/08 80,000,000 2010/03/17
61104 RB of Scotland N.V. BYD Company R Bull CBBC Jul 2010 B 0.251 55.08 per 100 units 60.08 per 100 units 2010/07/08 80,000,000 2010/03/17
61107 RB of Scotland N.V. BYD Company R Bear CBBC Jul 2010 C 0.250 77.08 per 100 units 72.08 per 100 units 2010/07/08 80,000,000 2010/03/17
61108 RB of Scotland N.V. BYD Company R Bear CBBC Jul 2010 D 0.250 80.08 per 100 units 75.08 per 100 units 2010/07/08 80,000,000 2010/03/17
61105 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 H 0.250 136.80 per 100 units 143.80 per 100 units 2010/06/28 80,000,000 2010/03/17
61106 RB of Scotland N.V. TCH R Bull CBBC Jun 2010 I 0.250 141.80 per 100 units 148.80 per 100 units 2010/06/28 80,000,000 2010/03/17
61119 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10F 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/03/17
61120 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10G 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/09/29 300,000,000 2010/03/17
61118 UBS AG China Mobile R Bear CBBC Jul 2010 C 0.250 88.88 per 100 units 84.88 per 100 units 2010/07/26 200,000,000 2010/03/17
61112 UBS AG CCHC R Bull CBBC Jun 2010 A 0.250 9.130 10.130 2010/06/21 100,000,000 2010/03/17
61117 UBS AG CCHC R Bear CBBC Jul 2010 D 0.275 13.380 12.380 2010/07/12 100,000,000 2010/03/17
61113 UBS AG China Life R Bull CBBC Jul 2010 D 0.250 34.880 35.880 2010/07/19 200,000,000 2010/03/17
61114 UBS AG CNOOC R Bull CBBC Jul 2010 A 0.250 11.080 11.880 2010/07/19 100,000,000 2010/03/17
61109 UBS AG A50 China R Bull CBBC Jul 2010 C 0.250 12.630 13.130 2010/07/26 200,000,000 2010/03/17
61110 UBS AG HSCEI R Bull CBBC Aug 2010 A 0.250 11,300 per 12,000 units 11,800 per 12,000 units 2010/08/30 200,000,000 2010/03/17
61111 UBS AG HSI R Bear CBBC Oct 2010 P 0.250 24,300 per 38,000 units 23,800 per 38,000 units 2010/10/28 400,000,000 2010/03/17
61115 UBS AG SHK Ppt R Bull CBBC Jul 2010 D 0.250 95.88 per 100 units 103.88 per 100 units 2010/07/05 100,000,000 2010/03/17
61116 UBS AG SHK Ppt R Bull CBBC Jul 2010 E 0.250 100.88 per 100 units 108.88 per 100 units 2010/07/26 100,000,000 2010/03/17
61124 BOCI Asia Ltd. HSI R Bear CBBC Jun 2010 C 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/06/29 100,000,000 2010/03/18
61125 Deutsche Bank AG HSI R Bear CBBC Sep 2010 J 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/09/29 300,000,000 2010/03/18
61126 Macquarie Bank Ltd. HSI R Bear CBBC Jun 2010 E 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2010/06/29 300,000,000 2010/03/18
61127 Macquarie Bank Ltd. HSI R Bear CBBC Jul 2010 B 0.276 23,500 per 12,000 units 23,000 per 12,000 units 2010/07/29 300,000,000 2010/03/18
61128 UBS AG BYD Company R Bull CBBC Aug 2010 A 0.250 58.88 per 100 units 63.88 per 100 units 2010/08/09 100,000,000 2010/03/18
61131 UBS AG China Life R Bear CBBC Jul 2010 E 0.570 41.880 40.880 2010/07/19 200,000,000 2010/03/18
61133 UBS AG A50 China R Bear CBBC Jul 2010 D 0.320 16.380 15.880 2010/07/26 200,000,000 2010/03/18
61129 UBS AG HSBC R Bull CBBC Aug 2010 A 0.250 68.88 per 100 units 73.88 per 100 units 2010/08/16 200,000,000 2010/03/18
61132 UBS AG HSI R Bull CBBC Sep 2010 X 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/09/29 300,000,000 2010/03/18
61134 UBS AG HSI R Bull CBBC Nov 2010 E 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2010/11/29 400,000,000 2010/03/18
61135 UBS AG HSI R Bear CBBC Aug 2010 M 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/08/30 300,000,000 2010/03/18
61136 UBS AG HSI R Bear CBBC Sep 2010 Y 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/09/29 300,000,000 2010/03/18
61130 UBS AG TCH R Bull CBBC Jul 2010 F 0.250 150.88 per 100 units 158.88 per 100 units 2010/07/12 100,000,000 2010/03/18
61144 Deutsche Bank AG CC Bank R Bear CBBC Aug 2010 A 0.270 8.680 8.180 2010/08/16 150,000,000 2010/03/19
61145 Deutsche Bank AG China Life R Bear CBBC Aug 2010 D 0.820 43.680 42.680 2010/08/16 150,000,000 2010/03/19
61146 Deutsche Bank AG Sinopec Corp R Bear CBBC Aug 2010 A 0.250 8.500 8.000 2010/08/16 150,000,000 2010/03/19
61141 Deutsche Bank AG HSI R Bull CBBC Oct 2010 C 0.250 18,900 per 40,000 units 19,500 per 40,000 units 2010/10/28 300,000,000 2010/03/19
61138 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Jun10E 0.250 69 per 100 units 72 per 100 units 2010/06/30 300,000,000 2010/03/19
61139 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Aug10A 0.250 63 per 100 units 66 per 100 units 2010/08/30 300,000,000 2010/03/19
61137 SGA Societe Generale Acceptance N.V CLife R Bear CBBC Jul10F 0.690 43.000 42.000 2010/07/28 100,000,000 2010/03/19
61140 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10P 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/06/29 300,000,000 2010/03/19
61142 UBS AG BYD Company R Bear CBBC Aug 2010 B 0.250 88.88 per 100 units 83.88 per 100 units 2010/08/16 100,000,000 2010/03/19
61143 UBS AG HSI R Bear CBBC Nov 2010 F 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/11/29 400,000,000 2010/03/19
61151 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2010 B 0.350 19,600 per 5,000 units 20,100 per 5,000 units 2010/09/29 300,000,000 2010/03/22
61156 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Sep 2010 C 0.350 22,800 per 5,000 units 22,300 per 5,000 units 2010/09/29 300,000,000 2010/03/22
61152 Credit Suisse AG HSI R Bull CBBC Aug 2010 M 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2010/08/30 195,000,000 2010/03/22
61153 Deutsche Bank AG HSI R Bull CBBC Aug 2010 Z 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 300,000,000 2010/03/22
61164 Deutsche Bank AG HSI R Bear CBBC Jul 2010 U 0.250 21,700 per 15,000 units 21,100 per 15,000 units 2010/07/29 300,000,000 2010/03/22
61165 Deutsche Bank AG TCH R Bull CBBC Jul 2010 E 0.250 153 per 100 units 160 per 100 units 2010/07/26 150,000,000 2010/03/22
61176 KBC Fin Products Int’l Ltd. SHK Ppt R Bear CBBC Aug 2010 B 0.250 136.88 per 100 units 128.88 per 100 units 2010/08/18 48,000,000 2010/03/22
61174 KBC Fin Products Int’l Ltd. TCH R Bull CBBC Jul 2010 B 0.250 152 per 100 units 160 per 100 units 2010/07/15 58,000,000 2010/03/22
61178 KBC Fin Products Int’l Ltd. TCH R Bear CBBC Jul 2010 C 0.250 188 per 100 units 180 per 100 units 2010/07/15 58,000,000 2010/03/22
61179 KBC Fin Products Int’l Ltd. TCH R Bear CBBC Jul 2010 D 0.300 195 per 100 units 187 per 100 units 2010/07/08 48,000,000 2010/03/22
61175 KBC Fin Products Int’l Ltd. TCH R Bear CBBC Sep 2010 A 0.370 203 per 100 units 195 per 100 units 2010/09/01 48,000,000 2010/03/22
61168 RB of Scotland N.V. CNOOC R Bull CBBC Jul 2010 A 0.250 10.880 11.680 2010/07/12 80,000,000 2010/03/22
61150 RB of Scotland N.V. DJIA R Bull CBBC Sep 2010 A 0.250 9,350 per 60,000 units 9,750 per 60,000 units 2010/09/17 40,000,000 2010/03/22
61154 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 B 0.250 11,650 per 60,000 units 11,250 per 60,000 units 2010/09/17 40,000,000 2010/03/22
61155 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 C 0.341 11,900 per 30,000 units 11,500 per 30,000 units 2010/09/17 40,000,000 2010/03/22
61171 RB of Scotland N.V. HKEx R Bear CBBC Jul 2010 A 0.250 146.80 per 100 units 140.80 per 100 units 2010/07/19 80,000,000 2010/03/22
61167 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 A 0.251 19,100 per 30,000 units 19,600 per 30,000 units 2010/10/28 250,000,000 2010/03/22
61170 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 B 0.250 22,500 per 30,000 units 22,000 per 30,000 units 2010/10/28 250,000,000 2010/03/22
61166 RB of Scotland N.V. Nikkei 225 R Bull CBBC Sep 2010 A 0.250 9,600 per 1,000 units 10,000 per 1,000 units 2010/09/10 40,000,000 2010/03/22
61169 RB of Scotland N.V. Nikkei 225 R Bear CBBC Sep 2010 B 0.251 11,900 per 1,000 units 11,500 per 1,000 units 2010/09/10 40,000,000 2010/03/22
61172 RB of Scotland N.V. TCH R Bear CBBC Jul 2010 A 0.250 185.80 per 100 units 178.80 per 100 units 2010/07/05 80,000,000 2010/03/22
61173 RB of Scotland N.V. TCH R Bear CBBC Jul 2010 B 0.252 190.80 per 100 units 183.80 per 100 units 2010/07/05 80,000,000 2010/03/22
61157 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10H 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 300,000,000 2010/03/22
61158 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10H 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/06/29 300,000,000 2010/03/22
61159 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10R 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/06/29 300,000,000 2010/03/22
61148 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10H 0.300 132 per 100 units 140 per 100 units 2010/07/28 100,000,000 2010/03/22
61149 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10I 0.250 137 per 100 units 145 per 100 units 2010/07/28 100,000,000 2010/03/22
61161 UBS AG A50 China R Bear CBBC Jul 2010 E 0.250 15.380 14.880 2010/07/19 200,000,000 2010/03/22
61162 UBS AG A50 China R Bear CBBC Aug 2010 A 0.285 15.880 15.380 2010/08/16 200,000,000 2010/03/22
61163 UBS AG HSI R Bull CBBC Jun 2010 N 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 300,000,000 2010/03/22
61160 UBS AG TCH R Bear CBBC Aug 2010 A 0.295 191.88 per 100 units 183.88 per 100 units 2010/08/09 100,000,000 2010/03/22
61182 Barclays Bank plc HSI R Bull CBBC Sep 2010 G 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/09/29 300,000,000 2010/03/23
61183 Barclays Bank plc HSI R Bull CBBC Sep 2010 H 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 300,000,000 2010/03/23
61180 Barclays Bank plc HSI R Bear CBBC Jun 2010 G 0.181 22,500 per 10,000 units 22,000 per 10,000 units 2010/06/29 300,000,000 2010/03/23
61181 Barclays Bank plc HSI R Bear CBBC Jun 2010 H 0.177 22,600 per 10,000 units 22,100 per 10,000 units 2010/06/29 300,000,000 2010/03/23
61177 Barclays Bank plc HSI R Bear CBBC Sep 2010 F 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/09/29 300,000,000 2010/03/23
61189 RB of Scotland N.V. BYD Company R Bull CBBC Jul 2010 F 0.250 64.08 per 100 units 69.08 per 100 units 2010/07/08 80,000,000 2010/03/23
61193 RB of Scotland N.V. BYD Company R Bear CBBC Jul 2010 G 0.250 86.08 per 100 units 81.08 per 100 units 2010/07/08 80,000,000 2010/03/23
61194 RB of Scotland N.V. BYD Company R Bear CBBC Jul 2010 H 0.250 89.08 per 100 units 84.08 per 100 units 2010/07/08 80,000,000 2010/03/23
61187 UBS AG BYD Company R Bull CBBC Aug 2010 C 0.250 63.88 per 100 units 68.88 per 100 units 2010/08/09 100,000,000 2010/03/23
61191 UBS AG BYD Company R Bear CBBC Aug 2010 D 0.250 93.88 per 100 units 88.88 per 100 units 2010/08/16 100,000,000 2010/03/23
61185 UBS AG HSI R Bear CBBC Jun 2010 S 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/06/29 300,000,000 2010/03/23
61186 UBS AG HSI R Bear CBBC Jul 2010 G 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/07/29 300,000,000 2010/03/23
61184 UBS AG ICBC R Bull CBBC Jul 2010 C 0.250 5.080 5.480 2010/07/19 100,000,000 2010/03/23
61202 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2010 L 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/08/30 300,000,000 2010/03/24
61203 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2010 D 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2010/09/29 300,000,000 2010/03/24
61199 Credit Suisse AG HSI R Bull CBBC Aug 2010 N 0.250 20,800 per 22,000 units 21,300 per 22,000 units 2010/08/30 220,000,000 2010/03/24
61200 Deutsche Bank AG HSI R Bull CBBC Aug 2010 D 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/08/30 300,000,000 2010/03/24
61201 Deutsche Bank AG HSI R Bull CBBC Sep 2010 K 0.280 20,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/03/24
61192 Deutsche Bank AG HSI R Bear CBBC Aug 2010 E 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/08/30 300,000,000 2010/03/24
61204 Deutsche Bank AG HSI R Bear CBBC Aug 2010 K 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/08/30 300,000,000 2010/03/24
61213 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Aug 10A 0.250 12.500 13.000 2010/08/02 68,000,000 2010/03/24
61208 KBC Fin Products Int’l Ltd. Geely Auto R Bull CBBC Oct10A 0.250 3.180 3.680 2010/10/08 40,000,000 2010/03/24
61214 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jun 2010 Z 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/06/29 128,000,000 2010/03/24
61215 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 O 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/07/29 158,000,000 2010/03/24
61216 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 M 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/08/30 128,000,000 2010/03/24
61217 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 N 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/08/30 158,000,000 2010/03/24
61218 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jun 2010 C 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2010/06/29 128,000,000 2010/03/24
61198 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 N 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/07/29 128,000,000 2010/03/24
61219 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 P 0.250 23,200 per 10,000 units 22,700 per 10,000 units 2010/07/29 128,000,000 2010/03/24
61220 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 Q 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2010/07/29 158,000,000 2010/03/24
61221 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 R 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2010/07/29 158,000,000 2010/03/24
61224 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 O 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2010/08/30 158,000,000 2010/03/24
61225 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 P 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2010/08/30 128,000,000 2010/03/24
61226 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 Q 0.290 23,800 per 10,000 units 23,300 per 10,000 units 2010/08/30 128,000,000 2010/03/24
61227 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 B 0.250 23,900 per 15,000 units 23,400 per 15,000 units 2010/09/29 158,000,000 2010/03/24
61209 KBC Fin Products Int’l Ltd. Petrochina R Bull CBBC Aug10A 0.250 7.880 8.380 2010/08/18 40,000,000 2010/03/24
61210 KBC Fin Products Int’l Ltd. Petrochina R Bear CBBC Jul10A 0.250 10.380 9.780 2010/07/15 40,000,000 2010/03/24
61211 KBC Fin Products Int’l Ltd. Petrochina R Bear CBBC Sep10A 0.250 10.880 10.380 2010/09/16 40,000,000 2010/03/24
61212 KBC Fin Products Int’l Ltd. SHK Ppt R Bear CBBC Oct 2010 A 0.350 148.88 per 100 units 140.88 per 100 units 2010/10/15 48,000,000 2010/03/24
61206 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 A 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 200,000,000 2010/03/24
61207 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 B 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 200,000,000 2010/03/24
61196 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10I 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2010/09/29 300,000,000 2010/03/24
61197 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10J 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/03/24
61190 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Jul10J 0.250 142 per 100 units 150 per 100 units 2010/07/28 100,000,000 2010/03/24
61205 UBS AG HSI R Bull CBBC Jul 2010 R 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/07/29 300,000,000 2010/03/24
61195 UBS AG HSI R Bear CBBC Jul 2010 N 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/07/29 300,000,000 2010/03/24
68858 # Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Jun 2010 K 0.206 23,300 per 10,000 units 22,700 per 10,000 units 2010/06/29 200,000,000 2010/03/24
61230 Barclays Bank plc HSI R Bull CBBC Sep 2010 J 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/09/29 300,000,000 2010/03/25
61231 Barclays Bank plc HSI R Bear CBBC Jun 2010 I 0.152 22,900 per 12,000 units 22,400 per 12,000 units 2010/06/29 300,000,000 2010/03/25
61232 Barclays Bank plc HSI R Bear CBBC Jun 2010 J 0.175 23,100 per 12,000 units 22,600 per 12,000 units 2010/06/29 300,000,000 2010/03/25
61233 Barclays Bank plc HSI R Bear CBBC Jun 2010 K 0.219 23,200 per 10,000 units 22,700 per 10,000 units 2010/06/29 300,000,000 2010/03/25
61236 RB of Scotland N.V. HSI R Bull CBBC Jul 2010 A 0.250 20,100 per 13,000 units 20,600 per 13,000 units 2010/07/29 250,000,000 2010/03/25
61237 RB of Scotland N.V. HSI R Bull CBBC Jul 2010 B 0.250 20,300 per 13,000 units 20,800 per 13,000 units 2010/07/29 250,000,000 2010/03/25
61238 RB of Scotland N.V. HSI R Bull CBBC Jul 2010 C 0.252 20,500 per 13,000 units 21,000 per 13,000 units 2010/07/29 250,000,000 2010/03/25
61234 UBS AG China Mobile R Bull CBBC Jul 2010 D 0.250 68.88 per 100 units 72.88 per 100 units 2010/07/26 200,000,000 2010/03/25
61235 UBS AG HSI R Bull CBBC Aug 2010 Q 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/08/30 300,000,000 2010/03/25
61228 UBS AG HSI R Bear CBBC Sep 2010 Z 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 300,000,000 2010/03/25
61244 Deutsche Bank AG HSI R Bull CBBC Sep 2010 L 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 300,000,000 2010/03/26
61246 Deutsche Bank AG HSI R Bull CBBC Sep 2010 N 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/03/26
61248 Deutsche Bank AG HSI R Bear CBBC Sep 2010 M 0.260 21,800 per 12,000 units 21,300 per 12,000 units 2010/09/29 300,000,000 2010/03/26
61245 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10L 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/06/29 300,000,000 2010/03/26
61239 UBS AG BankComm R Bull CBBC Jul 2010 A 0.250 7.280 7.880 2010/07/26 100,000,000 2010/03/26
61242 UBS AG HSI R Bull CBBC Jun 2010 Z 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/06/29 300,000,000 2010/03/26
61243 UBS AG HSI R Bull CBBC Dec 2010 B 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2010/12/30 400,000,000 2010/03/26
61240 UBS AG Ping An R Bull CBBC Jul 2010 A 0.250 52.88 per 100 units 58.88 per 100 units 2010/07/19 100,000,000 2010/03/26
61241 UBS AG TCH R Bear CBBC Aug 2010 B 0.250 171.88 per 100 units 163.88 per 100 units 2010/08/09 100,000,000 2010/03/26
61254 Credit Suisse AG HSI R Bear CBBC Aug 2010 O 0.250 21,500 per 13,000 units 21,000 per 13,000 units 2010/08/30 195,000,000 2010/03/29
61249 Deutsche Bank AG HSI R Bull CBBC Aug 2010 T 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 300,000,000 2010/03/29
61259 Deutsche Bank AG HSI R Bull CBBC Sep 2010 O 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/09/29 300,000,000 2010/03/29
61263 Deutsche Bank AG HSI R Bear CBBC Sep 2010 P 0.270 21,500 per 12,000 units 21,000 per 12,000 units 2010/09/29 300,000,000 2010/03/29
61257 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 S 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/07/29 128,000,000 2010/03/29
61258 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 R 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 128,000,000 2010/03/29
61260 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 C 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 200,000,000 2010/03/29
61261 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 D 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 200,000,000 2010/03/29
61262 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 E 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/09/29 200,000,000 2010/03/29
61250 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10K 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/09/29 300,000,000 2010/03/29
61251 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10L 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 300,000,000 2010/03/29
61252 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10M 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/06/29 300,000,000 2010/03/29
61253 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jun10N 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/06/29 300,000,000 2010/03/29
61247 UBS AG HSI R Bull CBBC Oct 2010 Q 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/10/28 300,000,000 2010/03/29
61255 UBS AG HSI R Bear CBBC Sep 2010 F 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/09/29 300,000,000 2010/03/29
61256 UBS AG HSI R Bear CBBC Dec 2010 C 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/12/30 400,000,000 2010/03/29
61266 Deutsche Bank AG CNOOC R Bear CBBC Aug 2010 A 0.270 14.780 14.180 2010/08/02 150,000,000 2010/03/30
61264 Deutsche Bank AG HSI R Bear CBBC Aug 2010 U 0.250 21,700 per 15,000 units 21,100 per 15,000 units 2010/08/30 300,000,000 2010/03/30
61269 UBS AG HSI R Bull CBBC Aug 2010 C 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/08/30 300,000,000 2010/03/30
61265 UBS AG HSI R Bear CBBC Aug 2010 F 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/08/30 300,000,000 2010/03/30
61274 Credit Suisse AG HSI R Bull CBBC Sep 2010 C 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2010/09/29 195,000,000 2010/03/31
61273 Deutsche Bank AG HSI R Bear CBBC Jul 2010 N 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/07/29 300,000,000 2010/03/31
61270 HK Bank China Shenhua R Bull CBBC Aug 2010 A 0.250 27.30 per 100 units 28.88 per 100 units 2010/08/23 150,000,000 2010/03/31
61267 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10G 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/07/29 300,000,000 2010/03/31
61268 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10P 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/07/29 300,000,000 2010/03/31
61276 UBS AG HSI R Bull CBBC Jul 2010 O 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/07/29 300,000,000 2010/03/31
61272 UBS AG HSI R Bear CBBC Jul 2010 E 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/07/29 300,000,000 2010/03/31
60126 # HK Bank Sinopec Corp R Bull CBBC Sep 2010 B 0.095 5.280 5.580 2010/09/17 300,000,000 2010/03/31
61275 BOCI Asia Ltd. HSI R Bull CBBC Jul 2010 A 0.250 18,600 per 15,000 units 19,100 per 15,000 units 2010/07/29 100,000,000 2010/04/01
61280 Credit Suisse AG HSI R Bear CBBC Sep 2010 D 0.250 21,300 per 22,000 units 20,800 per 22,000 units 2010/09/29 220,000,000 2010/04/01
61285 Deutsche Bank AG China Life R Bear CBBC Aug 2010 E 0.290 37.680 36.680 2010/08/02 150,000,000 2010/04/01
61277 Deutsche Bank AG HSI R Bull CBBC Aug 2010 V 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/08/30 300,000,000 2010/04/01
61278 Deutsche Bank AG HSI R Bull CBBC Sep 2010 Q 0.270 20,200 per 10,000 units 20,700 per 10,000 units 2010/09/29 300,000,000 2010/04/01
61282 Deutsche Bank AG HSI R Bear CBBC Sep 2010 R 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 300,000,000 2010/04/01
61286 RB of Scotland N.V. HSI R Bear CBBC Jul 2010 D 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/07/29 250,000,000 2010/04/01
61287 RB of Scotland N.V. HSI R Bear CBBC Jul 2010 E 0.250 21,900 per 13,000 units 21,400 per 13,000 units 2010/07/29 250,000,000 2010/04/01
61281 UBS AG HKEx R Bear CBBC Jul 2010 A 0.250 139.88 per 100 units 133.88 per 100 units 2010/07/26 200,000,000 2010/04/01
61279 UBS AG HSI R Bull CBBC Jul 2010 Y 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 300,000,000 2010/04/01
61283 UBS AG HSI R Bear CBBC Jul 2010 R 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/07/29 300,000,000 2010/04/01
61284 UBS AG HSI R Bear CBBC Sep 2010 I 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/04/01
61293 Deutsche Bank AG HSI R Bull CBBC Aug 2010 Q 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/08/30 300,000,000 2010/04/07
61292 Deutsche Bank AG HSI R Bear CBBC Aug 2010 X 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/08/30 300,000,000 2010/04/07
61291 HK Bank Sinopec Corp R Bull CBBC Jul 2010 B 0.250 5.080 5.380 2010/07/09 180,000,000 2010/04/07
61298 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 T 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2010/07/29 128,000,000 2010/04/07
61299 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 S 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 128,000,000 2010/04/07
61288 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Q 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/08/30 300,000,000 2010/04/07
61294 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10R 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2010/08/30 300,000,000 2010/04/07
61290 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10J 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/07/29 300,000,000 2010/04/07
61289 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10O 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/07/29 300,000,000 2010/04/07
61295 UBS AG BYD Company R Bull CBBC Aug 2010 E 0.250 68.88 per 100 units 73.88 per 100 units 2010/08/16 100,000,000 2010/04/07
61296 UBS AG HSI R Bull CBBC Aug 2010 P 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/08/30 300,000,000 2010/04/07
61297 UBS AG HSI R Bear CBBC Sep 2010 J 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/09/29 300,000,000 2010/04/07
61308 Deutsche Bank AG A50 China R Bear CBBC Aug 2010 A 0.290 16.180 15.680 2010/08/23 150,000,000 2010/04/08
61304 Deutsche Bank AG HSI R Bull CBBC Oct 2010 D 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/10/28 300,000,000 2010/04/08
61305 Deutsche Bank AG HSI R Bear CBBC Sep 2010 S 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/09/29 300,000,000 2010/04/08
61306 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 F 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 200,000,000 2010/04/08
61307 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 G 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 200,000,000 2010/04/08
61300 UBS AG BOCL R Bull CBBC Jul 2010 G 0.250 3.380 3.880 2010/07/19 100,000,000 2010/04/08
61302 UBS AG A50 China R Bull CBBC Jul 2010 F 0.250 12.880 13.380 2010/07/12 200,000,000 2010/04/08
61303 UBS AG HSI R Bull CBBC Sep 2010 M 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 300,000,000 2010/04/08
61301 UBS AG TCH R Bull CBBC Aug 2010 C 0.250 145.88 per 100 units 153.88 per 100 units 2010/08/09 100,000,000 2010/04/08
61310 Credit Suisse AG Sinopec Corp R Bull CBBC Aug 2010 A 0.250 5.400 5.800 2010/08/23 100,000,000 2010/04/09
61314 Credit Suisse AG Sinopec Corp R Bear CBBC Aug 2010 B 0.250 7.700 7.300 2010/08/23 100,000,000 2010/04/09
61311 Credit Suisse AG A50 China R Bull CBBC Aug 2010 B 0.250 12.400 13.000 2010/08/23 100,000,000 2010/04/09
61312 Credit Suisse AG HSI R Bull CBBC Aug 2010 P 0.250 20,300 per 22,000 units 20,800 per 22,000 units 2010/08/30 220,000,000 2010/04/09
61315 Credit Suisse AG HSI R Bear CBBC Aug 2010 R 0.250 22,800 per 22,000 units 22,300 per 22,000 units 2010/08/30 220,000,000 2010/04/09
61322 Deutsche Bank AG China Life R Bull CBBC Aug 2010 F 0.280 35.180 36.180 2010/08/23 150,000,000 2010/04/09
61323 Deutsche Bank AG HSI R Bull CBBC Sep 2010 T 0.270 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/04/09
61324 Deutsche Bank AG HSI R Bear CBBC Aug 2010 Z 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/08/30 300,000,000 2010/04/09
61319 RB of Scotland N.V. China Mobile R Bear CBBC Aug 2010 A 0.250 84.28 per 100 units 80.28 per 100 units 2010/08/16 80,000,000 2010/04/09
61316 RB of Scotland N.V. DJIA R Bull CBBC Sep 2010 D 0.250 10,100 per 60,000 units 10,500 per 60,000 units 2010/09/17 40,000,000 2010/04/09
61318 RB of Scotland N.V. A50 China R Bull CBBC Aug 2010 A 0.250 12.820 13.320 2010/08/09 80,000,000 2010/04/09
61317 RB of Scotland N.V. Nikkei 225 R Bull CBBC Sep 2010 C 0.250 10,100 per 1,000 units 10,500 per 1,000 units 2010/09/10 40,000,000 2010/04/09
61320 UBS AG China Life R Bull CBBC Jul 2010 F 0.250 34.880 35.880 2010/07/19 200,000,000 2010/04/09
61321 UBS AG HSI R Bull CBBC Aug 2010 M 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/08/30 300,000,000 2010/04/09
61309 UBS AG HSI R Bear CBBC Nov 2010 G 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/11/29 400,000,000 2010/04/09
61332 Deutsche Bank AG HSI R Bull CBBC Sep 2010 U 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/04/12
61334 RB of Scotland N.V. COVS R Bull CBBC Aug 2010 A 0.250 15.680 16.880 2010/08/09 80,000,000 2010/04/12
61337 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 B 0.315 20.480 19.280 2010/08/09 80,000,000 2010/04/12
61336 RB of Scotland N.V. CC Bank R Bull CBBC Aug 2010 A 0.250 5.380 5.880 2010/08/23 80,000,000 2010/04/12
61338 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Aug 2010 A 0.251 15.480 16.680 2010/08/16 80,000,000 2010/04/12
61335 RB of Scotland N.V. SHK Ppt R Bull CBBC Jul 2010 C 0.250 99.88 per 100 units 107.88 per 100 units 2010/07/19 80,000,000 2010/04/12
61339 RB of Scotland N.V. SHK Ppt R Bear CBBC Jul 2010 D 0.250 135.88 per 100 units 127.88 per 100 units 2010/07/19 80,000,000 2010/04/12
61325 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10M 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/04/12
61326 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10N 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2010/09/29 300,000,000 2010/04/12
61327 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10O 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/04/12
61328 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10I 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/07/29 300,000,000 2010/04/12
61330 UBS AG HSCEI R Bull CBBC Aug 2010 A 0.250 11,300 per 12,000 units 11,800 per 12,000 units 2010/08/30 200,000,000 2010/04/12
61331 UBS AG HSCEI R Bull CBBC Sep 2010 A 0.250 11,500 per 20,000 units 12,000 per 20,000 units 2010/09/29 200,000,000 2010/04/12
61329 UBS AG HSI R Bull CBBC Jul 2010 N 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/07/29 300,000,000 2010/04/12
61333 UBS AG HSI R Bear CBBC Jul 2010 T 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/07/29 300,000,000 2010/04/12
61342 Credit Suisse AG HSI R Bull CBBC Aug 2010 S 0.250 21,000 per 13,000 units 21,500 per 13,000 units 2010/08/30 195,000,000 2010/04/13
61343 Credit Suisse AG HSI R Bull CBBC Oct 2010 A 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2010/10/28 190,000,000 2010/04/13
61354 Deutsche Bank AG HSI R Bull CBBC Oct 2010 E 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/10/28 300,000,000 2010/04/13
61358 Deutsche Bank AG HSI R Bear CBBC Oct 2010 F 0.300 22,700 per 12,000 units 22,200 per 12,000 units 2010/10/28 300,000,000 2010/04/13
61340 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jul 2010 U 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/07/29 128,000,000 2010/04/13
61341 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 T 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/08/30 128,000,000 2010/04/13
61352 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 H 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 200,000,000 2010/04/13
61353 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 I 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/09/29 200,000,000 2010/04/13
61348 UBS AG China Mobile R Bear CBBC Sep 2010 A 0.250 84.88 per 100 units 80.88 per 100 units 2010/09/27 200,000,000 2010/04/13
61344 UBS AG CC Bank R Bull CBBC Aug 2010 A 0.250 5.780 6.180 2010/08/16 100,000,000 2010/04/13
61345 UBS AG China Life R Bull CBBC Aug 2010 A 0.250 35.880 36.880 2010/08/23 200,000,000 2010/04/13
61346 UBS AG China Life R Bear CBBC Oct 2010 A 0.490 42.880 41.880 2010/10/18 200,000,000 2010/04/13
61347 UBS AG China Life R Bear CBBC Oct 2010 B 0.590 43.880 42.880 2010/10/18 200,000,000 2010/04/13
61349 UBS AG HKEx R Bear CBBC Oct 2010 A 0.280 159.88 per 100 units 153.88 per 100 units 2010/10/11 200,000,000 2010/04/13
61351 UBS AG HSI R Bull CBBC Nov 2010 H 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/11/29 300,000,000 2010/04/13
61350 UBS AG ICBC R Bull CBBC Aug 2010 A 0.250 5.380 5.780 2010/08/16 100,000,000 2010/04/13
61361 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 A 0.250 20,600 per 8,000 units 21,100 per 8,000 units 2010/11/29 200,000,000 2010/04/14
61397 Credit Suisse AG China Mobile R Bull CBBC Sep 2010 B 0.250 63 per 100 units 68 per 100 units 2010/09/27 100,000,000 2010/04/14
61398 Credit Suisse AG A50 China R Bear CBBC Sep 2010 A 0.250 15.900 15.300 2010/09/27 100,000,000 2010/04/14
61399 Credit Suisse AG HSBC R Bear CBBC Sep 2010 B 0.250 98 per 100 units 93 per 100 units 2010/09/27 100,000,000 2010/04/14
61400 Credit Suisse AG HSBC R Bear CBBC Oct 2010 A 0.250 103 per 100 units 98 per 100 units 2010/10/25 100,000,000 2010/04/14
61395 Credit Suisse AG HSI R Bull CBBC Sep 2010 E 0.250 21,300 per 22,000 units 21,800 per 22,000 units 2010/09/29 220,000,000 2010/04/14
61396 Credit Suisse AG HSI R Bull CBBC Oct 2010 B 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2010/10/28 190,000,000 2010/04/14
61401 Credit Suisse AG HSI R Bear CBBC Sep 2010 F 0.250 23,300 per 22,000 units 22,800 per 22,000 units 2010/09/29 220,000,000 2010/04/14
61402 Credit Suisse AG HSI R Bear CBBC Oct 2010 C 0.250 24,000 per 13,000 units 23,500 per 13,000 units 2010/10/28 195,000,000 2010/04/14
61403 Deutsche Bank AG HSI R Bull CBBC Sep 2010 W 0.260 21,100 per 12,000 units 21,600 per 12,000 units 2010/09/29 300,000,000 2010/04/14
61404 Deutsche Bank AG HSI R Bull CBBC Sep 2010 X 0.250 21,400 per 12,000 units 21,900 per 12,000 units 2010/09/29 300,000,000 2010/04/14
61405 Deutsche Bank AG HSI R Bull CBBC Oct 2010 H 0.280 21,300 per 10,000 units 21,800 per 10,000 units 2010/10/28 300,000,000 2010/04/14
61362 Deutsche Bank AG HSI R Bear CBBC Sep 2010 V 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/09/29 300,000,000 2010/04/14
61363 Deutsche Bank AG HSI R Bear CBBC Oct 2010 G 0.260 22,300 per 12,000 units 21,800 per 12,000 units 2010/10/28 300,000,000 2010/04/14
61406 Deutsche Bank AG HSI R Bear CBBC Oct 2010 I 0.290 23,700 per 12,000 units 23,200 per 12,000 units 2010/10/28 300,000,000 2010/04/14
61407 Deutsche Bank AG HSI R Bear CBBC Nov 2010 A 0.260 23,900 per 15,000 units 23,400 per 15,000 units 2010/11/29 300,000,000 2010/04/14
61408 Deutsche Bank AG HSI R Bear CBBC Nov 2010 B 0.330 24,100 per 12,000 units 23,600 per 12,000 units 2010/11/29 300,000,000 2010/04/14
61409 Deutsche Bank AG HSI R Bear CBBC Dec 2010 A 0.250 23,800 per 40,000 units 23,200 per 40,000 units 2010/12/30 300,000,000 2010/04/14
61410 Deutsche Bank AG HSI R Bear CBBC Dec 2010 B 0.250 24,300 per 40,000 units 23,700 per 40,000 units 2010/12/30 300,000,000 2010/04/14
61372 HK Bank Sinopec Corp R Bull CBBC Oct 2010 A 0.250 5.580 5.880 2010/10/15 160,000,000 2010/04/14
61373 HK Bank Sinopec Corp R Bull CBBC Oct 2010 B 0.250 5.980 6.280 2010/10/15 160,000,000 2010/04/14
61374 HK Bank HSI R Bull CBBC Sep 2010 E 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/09/29 120,000,000 2010/04/14
61375 HK Bank HSI R Bull CBBC Sep 2010 F 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 180,000,000 2010/04/14
61418 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 U 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2010/08/30 128,000,000 2010/04/14
61419 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 V 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/08/30 128,000,000 2010/04/14
61420 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 W 0.250 21,400 per 12,000 units 21,900 per 12,000 units 2010/08/30 128,000,000 2010/04/14
61421 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 C 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/09/29 158,000,000 2010/04/14
61422 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 D 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2010/09/29 158,000,000 2010/04/14
61423 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jul 2010 V 0.290 24,500 per 10,000 units 24,000 per 10,000 units 2010/07/29 128,000,000 2010/04/14
61424 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 X 0.250 24,200 per 12,000 units 23,700 per 12,000 units 2010/08/30 128,000,000 2010/04/14
61425 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 E 0.260 24,100 per 10,000 units 23,600 per 10,000 units 2010/09/29 128,000,000 2010/04/14
61426 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 F 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2010/09/29 128,000,000 2010/04/14
61427 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 G 0.250 24,400 per 15,000 units 23,900 per 15,000 units 2010/09/29 158,000,000 2010/04/14
61428 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 J 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/09/29 200,000,000 2010/04/14
61429 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 K 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/09/29 200,000,000 2010/04/14
61379 RB of Scotland N.V. BYD Company R Bull CBBC Aug 2010 A 0.250 70.08 per 100 units 75.08 per 100 units 2010/08/16 80,000,000 2010/04/14
61383 RB of Scotland N.V. BYD Company R Bear CBBC Aug 2010 B 0.251 95.08 per 100 units 90.08 per 100 units 2010/08/16 80,000,000 2010/04/14
61380 RB of Scotland N.V. Ch Life R Bull CBBC Aug 2010 A 0.251 34.88 per 100 units 36.28 per 100 units 2010/08/09 80,000,000 2010/04/14
61384 RB of Scotland N.V. HSCEI R Bull CBBC Aug 2010 A 0.252 11,500 per 10,000 units 12,000 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61385 RB of Scotland N.V. HSCEI R Bull CBBC Aug 2010 B 0.251 11,900 per 10,000 units 12,400 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61389 RB of Scotland N.V. HSCEI R Bear CBBC Aug 2010 C 0.251 14,100 per 10,000 units 13,600 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61390 RB of Scotland N.V. HSCEI R Bear CBBC Aug 2010 D 0.251 14,500 per 10,000 units 14,000 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61386 RB of Scotland N.V. HSI R Bull CBBC Aug 2010 A 0.251 20,300 per 13,000 units 20,800 per 13,000 units 2010/08/30 250,000,000 2010/04/14
61387 RB of Scotland N.V. HSI R Bull CBBC Aug 2010 B 0.251 20,500 per 13,000 units 21,000 per 13,000 units 2010/08/30 250,000,000 2010/04/14
61388 RB of Scotland N.V. HSI R Bull CBBC Aug 2010 C 0.251 20,700 per 10,000 units 21,200 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61392 RB of Scotland N.V. HSI R Bear CBBC Aug 2010 D 0.253 23,700 per 13,000 units 23,200 per 13,000 units 2010/08/30 250,000,000 2010/04/14
61393 RB of Scotland N.V. HSI R Bear CBBC Aug 2010 E 0.252 24,100 per 10,000 units 23,600 per 10,000 units 2010/08/30 250,000,000 2010/04/14
61381 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Aug 2010 B 0.251 20.880 19.680 2010/08/16 80,000,000 2010/04/14
61382 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Aug 2010 C 0.302 21.480 20.280 2010/08/16 80,000,000 2010/04/14
61394 RB of Scotland N.V. Nikkei 225 R Bear CBBC Sep 2010 D 0.252 12,400 per 1,000 units 12,000 per 1,000 units 2010/09/10 40,000,000 2010/04/14
61357 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Jul10E 0.250 71 per 100 units 75 per 100 units 2010/07/28 300,000,000 2010/04/14
61355 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10P 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 300,000,000 2010/04/14
61356 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Q 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/09/29 300,000,000 2010/04/14
61376 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10R 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/09/29 300,000,000 2010/04/14
61377 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10S 0.250 21,200 per 12,000 units 21,700 per 12,000 units 2010/09/29 300,000,000 2010/04/14
61378 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10T 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2010/09/29 300,000,000 2010/04/14
61359 SGA Societe Generale Acceptance N.V SHK P R Bull CBBC Jul10A 0.250 102 per 100 units 110 per 100 units 2010/07/28 100,000,000 2010/04/14
61367 UBS AG BOCL R Bear CBBC Oct 2010 A 0.250 5.380 4.880 2010/10/18 100,000,000 2010/04/14
61364 UBS AG BYD Company R Bull CBBC Sep 2010 A 0.250 73.88 per 100 units 78.88 per 100 units 2010/09/13 100,000,000 2010/04/14
61368 UBS AG CC Bank R Bear CBBC Oct 2010 A 0.250 7.780 7.380 2010/10/11 100,000,000 2010/04/14
61365 UBS AG Cheung Kong R Bull CBBC Sep 2010 A 0.250 85.88 per 100 units 93.88 per 100 units 2010/09/06 100,000,000 2010/04/14
61366 UBS AG HKEx R Bull CBBC Sep 2010 A 0.250 122.88 per 100 units 128.88 per 100 units 2010/09/13 200,000,000 2010/04/14
61411 UBS AG HSCEI R Bull CBBC Sep 2010 B 0.250 11,800 per 12,000 units 12,300 per 12,000 units 2010/09/29 200,000,000 2010/04/14
61412 UBS AG HSCEI R Bull CBBC Oct 2010 A 0.250 12,000 per 20,000 units 12,500 per 20,000 units 2010/10/28 200,000,000 2010/04/14
61414 UBS AG HSI R Bull CBBC Aug 2010 F 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/08/30 300,000,000 2010/04/14
61413 UBS AG HSI R Bull CBBC Aug 2010 Q 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/08/30 300,000,000 2010/04/14
61415 UBS AG HSI R Bull CBBC Dec 2010 E 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2010/12/30 400,000,000 2010/04/14
61370 UBS AG HSI R Bear CBBC Aug 2010 R 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/08/30 300,000,000 2010/04/14
61416 UBS AG HSI R Bear CBBC Oct 2010 R 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/10/28 300,000,000 2010/04/14
61417 UBS AG HSI R Bear CBBC Nov 2010 I 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2010/11/29 300,000,000 2010/04/14
61371 UBS AG HSI R Bear CBBC Dec 2010 D 0.250 22,300 per 38,000 units 21,800 per 38,000 units 2010/12/30 400,000,000 2010/04/14
61369 UBS AG TCH R Bear CBBC Sep 2010 A 0.330 186.88 per 100 units 178.88 per 100 units 2010/09/27 100,000,000 2010/04/14
61442 Deutsche Bank AG CNOOC R Bull CBBC Aug 2010 B 0.250 12.080 12.680 2010/08/12 150,000,000 2010/04/15
61441 Deutsche Bank AG Sinopec Corp R Bull CBBC Aug 2010 B 0.250 5.380 5.880 2010/08/12 150,000,000 2010/04/15
61432 Deutsche Bank AG HSI R Bull CBBC Sep 2010 Y 0.250 21,200 per 12,000 units 21,700 per 12,000 units 2010/09/29 300,000,000 2010/04/15
61436 Deutsche Bank AG HSI R Bear CBBC Sep 2010 Z 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/09/29 300,000,000 2010/04/15
61430 HK Bank CC Bank R Bull CBBC Aug 2010 A 0.250 5.980 6.280 2010/08/27 160,000,000 2010/04/15
61431 Macquarie Bank Ltd. HSI R Bull CBBC Aug 2010 A 0.250 20,000 per 12,000 units 20,600 per 12,000 units 2010/08/30 300,000,000 2010/04/15
61435 Macquarie Bank Ltd. HSI R Bear CBBC Aug 2010 B 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2010/08/30 300,000,000 2010/04/15
61439 UBS AG China Mobile R Bull CBBC Sep 2010 B 0.250 70.88 per 100 units 74.88 per 100 units 2010/09/27 200,000,000 2010/04/15
61440 UBS AG HKEx R Bull CBBC Sep 2010 B 0.250 127.88 per 100 units 133.88 per 100 units 2010/09/06 200,000,000 2010/04/15
61433 UBS AG HSCEI R Bear CBBC Oct 2010 B 0.250 14,500 per 20,000 units 14,000 per 20,000 units 2010/10/28 200,000,000 2010/04/15
61434 UBS AG HSI R Bull CBBC Jul 2010 L 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/07/29 300,000,000 2010/04/15
61437 UBS AG HSI R Bull CBBC Sep 2010 P 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/09/29 300,000,000 2010/04/15
61443 BOCI Asia Ltd. HSI R Bear CBBC Aug 2010 A 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2010/08/30 100,000,000 2010/04/16
61456 Credit Suisse AG China Mobile R Bull CBBC Oct 2010 A 0.250 70 per 100 units 75 per 100 units 2010/10/25 100,000,000 2010/04/16
61458 Credit Suisse AG A50 China R Bull CBBC Sep 2010 B 0.250 13.000 13.500 2010/09/27 100,000,000 2010/04/16
61457 Credit Suisse AG HSBC R Bull CBBC Sep 2010 C 0.250 75 per 100 units 80 per 100 units 2010/09/27 100,000,000 2010/04/16
61459 Credit Suisse AG HSI R Bull CBBC Sep 2010 G 0.250 21,500 per 13,000 units 22,000 per 13,000 units 2010/09/29 195,000,000 2010/04/16
61460 Credit Suisse AG HSI R Bull CBBC Nov 2010 E 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2010/11/29 190,000,000 2010/04/16
61461 Credit Suisse AG HSI R Bear CBBC Oct 2010 D 0.250 23,800 per 22,000 units 23,300 per 22,000 units 2010/10/28 220,000,000 2010/04/16
61470 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 Y 0.250 21,700 per 10,000 units 22,200 per 10,000 units 2010/08/30 128,000,000 2010/04/16
61471 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 H 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2010/09/29 158,000,000 2010/04/16
61472 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 L 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/09/29 200,000,000 2010/04/16
61473 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 M 0.250 21,700 per 10,000 units 22,200 per 10,000 units 2010/09/29 200,000,000 2010/04/16
61451 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10X 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/09/29 300,000,000 2010/04/16
61452 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Y 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/09/29 300,000,000 2010/04/16
61453 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Z 0.250 21,600 per 15,000 units 22,100 per 15,000 units 2010/09/29 300,000,000 2010/04/16
61444 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10H 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/07/29 300,000,000 2010/04/16
61454 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10G 0.250 24,400 per 15,000 units 23,900 per 15,000 units 2010/09/29 300,000,000 2010/04/16
61455 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10H 0.320 24,500 per 12,000 units 24,000 per 12,000 units 2010/09/29 300,000,000 2010/04/16
61445 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10U 0.250 24,100 per 15,000 units 23,600 per 15,000 units 2010/09/29 300,000,000 2010/04/16
61446 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10V 0.315 24,200 per 12,000 units 23,700 per 12,000 units 2010/09/29 300,000,000 2010/04/16
61447 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10W 0.395 24,300 per 10,000 units 23,800 per 10,000 units 2010/09/29 300,000,000 2010/04/16
61448 UBS AG China Mobile R Bull CBBC Oct 2010 A 0.250 72.88 per 100 units 76.88 per 100 units 2010/10/04 200,000,000 2010/04/16
61462 UBS AG CC Bank R Bull CBBC Sep 2010 A 0.250 6.080 6.480 2010/09/13 100,000,000 2010/04/16
61464 UBS AG China Life R Bear CBBC Nov 2010 A 0.680 44.880 43.880 2010/11/08 200,000,000 2010/04/16
61463 UBS AG Sinopec Corp R Bull CBBC Oct 2010 A 0.250 5.880 6.280 2010/10/11 100,000,000 2010/04/16
61449 UBS AG HKEx R Bull CBBC Sep 2010 C 0.250 132.88 per 100 units 138.88 per 100 units 2010/09/13 200,000,000 2010/04/16
61475 UBS AG HSI R Bull CBBC Jul 2010 G 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/07/29 300,000,000 2010/04/16
61474 UBS AG HSI R Bull CBBC Jul 2010 R 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/07/29 300,000,000 2010/04/16
61476 UBS AG HSI R Bull CBBC Sep 2010 U 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2010/09/29 300,000,000 2010/04/16
61465 UBS AG HSI R Bear CBBC Aug 2010 J 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2010/08/30 300,000,000 2010/04/16
61466 UBS AG HSI R Bear CBBC Sep 2010 R 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2010/09/29 300,000,000 2010/04/16
61450 UBS AG HSI R Bear CBBC Oct 2010 S 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/10/28 300,000,000 2010/04/16
61467 UBS AG HSI R Bear CBBC Oct 2010 T 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2010/10/28 300,000,000 2010/04/16
61468 UBS AG HSI R Bear CBBC Oct 2010 U 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2010/10/28 300,000,000 2010/04/16
61469 UBS AG HSI R Bear CBBC Oct 2010 V 0.250 24,400 per 10,000 units 23,900 per 10,000 units 2010/10/28 300,000,000 2010/04/16
61226 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 Q 0.189 23,800 per 10,000 units 23,300 per 10,000 units 2010/08/30 120,000,000 2010/04/16
61479 BOCI Asia Ltd. HSI R Bull CBBC Aug 2010 B 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/08/30 100,000,000 2010/04/19
61480 BOCI Asia Ltd. HSI R Bull CBBC Aug 2010 C 0.250 21,100 per 15,000 units 21,600 per 15,000 units 2010/08/30 100,000,000 2010/04/19
61484 BOCI Asia Ltd. HSI R Bear CBBC Aug 2010 D 0.250 23,500 per 15,000 units 23,000 per 15,000 units 2010/08/30 100,000,000 2010/04/19
61477 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2010 B 0.250 20,900 per 9,000 units 21,400 per 9,000 units 2010/10/28 200,000,000 2010/04/19
61478 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 B 0.250 21,300 per 11,000 units 21,800 per 11,000 units 2010/11/29 200,000,000 2010/04/19
61481 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2010 C 0.250 23,700 per 10,000 units 23,200 per 10,000 units 2010/10/28 200,000,000 2010/04/19
61501 Credit Suisse AG HSI R Bull CBBC Sep 2010 I 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/09/29 200,000,000 2010/04/19
61497 Credit Suisse AG HSI R Bear CBBC Nov 2010 F 0.250 24,800 per 38,000 units 24,300 per 38,000 units 2010/11/29 190,000,000 2010/04/19
61498 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Aug 10B 0.250 12.980 13.480 2010/08/10 68,000,000 2010/04/19
61500 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Aug 10C 0.250 14.980 14.480 2010/08/02 68,000,000 2010/04/19
61502 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Sep 10A 0.250 15.780 15.280 2010/09/01 68,000,000 2010/04/19
61499 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 Z 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2010/08/30 128,000,000 2010/04/19
61482 RB of Scotland N.V. China Mobile R Bull CBBC Aug 2010 B 0.250 71.28 per 100 units 75.28 per 100 units 2010/08/16 80,000,000 2010/04/19
61488 RB of Scotland N.V. China Mobile R Bear CBBC Aug 2010 C 0.251 89.28 per 100 units 85.28 per 100 units 2010/08/16 80,000,000 2010/04/19
61483 RB of Scotland N.V. COVS R Bull CBBC Aug 2010 C 0.251 14.480 15.680 2010/08/09 80,000,000 2010/04/19
61489 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 D 0.322 19.880 18.680 2010/08/09 80,000,000 2010/04/19
61485 RB of Scotland N.V. HSI R Bull CBBC Sep 2010 A 0.250 20,900 per 13,000 units 21,400 per 13,000 units 2010/09/29 250,000,000 2010/04/19
61486 RB of Scotland N.V. HSI R Bull CBBC Sep 2010 B 0.250 21,100 per 13,000 units 21,600 per 13,000 units 2010/09/29 250,000,000 2010/04/19
61487 RB of Scotland N.V. HSI R Bull CBBC Sep 2010 C 0.251 21,300 per 13,000 units 21,800 per 13,000 units 2010/09/29 250,000,000 2010/04/19
61494 UBS AG HSBC R Bull CBBC Aug 2010 B 0.250 75 per 100 units 80 per 100 units 2010/08/30 200,000,000 2010/04/19
61490 UBS AG HSI R Bull CBBC Aug 2010 W 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/08/30 300,000,000 2010/04/19
61491 UBS AG HSI R Bull CBBC Sep 2010 X 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2010/09/29 300,000,000 2010/04/19
61492 UBS AG HSI R Bull CBBC Nov 2010 J 0.250 21,300 per 38,000 units 21,800 per 38,000 units 2010/11/29 400,000,000 2010/04/19
61493 UBS AG HSI R Bear CBBC Jul 2010 S 0.250 22,800 per 10,000 units 22,300 per 10,000 units 2010/07/29 300,000,000 2010/04/19
61495 UBS AG TCH R Bull CBBC Sep 2010 B 0.250 150.88 per 100 units 158.88 per 100 units 2010/09/27 100,000,000 2010/04/19
61515 Goldman Sachs SP (Asia) HSI R Bull CBBC Sep 2010 A 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/09/29 200,000,000 2010/04/20
61516 Goldman Sachs SP (Asia) HSI R Bull CBBC Sep 2010 B 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/09/29 200,000,000 2010/04/20
61517 Goldman Sachs SP (Asia) HSI R Bull CBBC Sep 2010 C 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/09/29 200,000,000 2010/04/20
61507 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 I 0.270 24,900 per 12,000 units 24,400 per 12,000 units 2010/09/29 128,000,000 2010/04/20
61508 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 D 0.280 24,700 per 12,000 units 24,200 per 12,000 units 2010/10/28 128,000,000 2010/04/20
61509 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 E 0.360 25,100 per 10,000 units 24,600 per 10,000 units 2010/10/28 128,000,000 2010/04/20
61510 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 B 0.260 25,300 per 15,000 units 24,800 per 15,000 units 2010/11/29 158,000,000 2010/04/20
61511 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 C 0.340 25,500 per 12,000 units 25,000 per 12,000 units 2010/11/29 128,000,000 2010/04/20
61512 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 N 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/09/29 200,000,000 2010/04/20
61513 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 O 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2010/09/29 200,000,000 2010/04/20
61514 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 P 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/09/29 200,000,000 2010/04/20
61503 UBS AG A50 China R Bear CBBC Aug 2010 B 0.250 14.880 14.380 2010/08/16 200,000,000 2010/04/20
61504 UBS AG HSI R Bull CBBC Nov 2010 K 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2010/11/29 400,000,000 2010/04/20
61505 UBS AG HSI R Bear CBBC Sep 2010 F 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/09/29 300,000,000 2010/04/20
61506 UBS AG HSI R Bear CBBC Sep 2010 Z 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2010/09/29 300,000,000 2010/04/20
61542 Goldman Sachs SP (Asia) HSI R Bear CBBC Sep 2010 D 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2010/09/29 200,000,000 2010/04/21
61543 Goldman Sachs SP (Asia) HSI R Bear CBBC Sep 2010 E 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2010/09/29 200,000,000 2010/04/21
61545 Goldman Sachs SP (Asia) HSI R Bear CBBC Sep 2010 F 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2010/09/29 200,000,000 2010/04/21
61520 HK Bank HSI R Bull CBBC Oct 2010 B 0.250 21,100 per 18,000 units 21,600 per 18,000 units 2010/10/28 160,000,000 2010/04/21
61534 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC Aug 10A 0.250 72 per 100 units 76 per 100 units 2010/08/02 108,000,000 2010/04/21
61532 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC Oct 10A 0.250 64.88 per 100 units 68.88 per 100 units 2010/10/04 108,000,000 2010/04/21
61533 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC Oct 10B 0.250 68.88 per 100 units 72.88 per 100 units 2010/10/04 108,000,000 2010/04/21
61535 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Sep 10A 0.250 84.48 per 100 units 80.48 per 100 units 2010/09/01 108,000,000 2010/04/21
61537 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Oct 10C 0.250 88.48 per 100 units 84.48 per 100 units 2010/10/08 108,000,000 2010/04/21
61523 KBC Fin Products Int’l Ltd. China Life R Bull CBBC Aug 10B 0.250 35.380 36.380 2010/08/05 78,000,000 2010/04/21
61524 KBC Fin Products Int’l Ltd. China Life R Bull CBBC Sep 10A 0.460 33.380 34.380 2010/09/09 78,000,000 2010/04/21
61528 KBC Fin Products Int’l Ltd. Ch Life R Bear CBBC Aug 2010 C 0.250 39.580 38.580 2010/08/05 78,000,000 2010/04/21
61529 KBC Fin Products Int’l Ltd. Ch Life R Bear CBBC Aug 2010 D 0.340 40.680 39.680 2010/08/18 78,000,000 2010/04/21
61530 KBC Fin Products Int’l Ltd. Ch Life R Bear CBBC Sep 2010 B 0.480 41.880 40.880 2010/09/15 78,000,000 2010/04/21
61531 KBC Fin Products Int’l Ltd. Ch Life R Bear CBBC Oct 2010 A 0.600 43.000 42.000 2010/10/18 78,000,000 2010/04/21
61525 KBC Fin Products Int’l Ltd. CP&CC R Bear CBBC Oct 2010 A 0.310 8.080 7.580 2010/10/04 128,000,000 2010/04/21
61526 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Sep 2010 A 0.250 101.88 per 100 units 96.88 per 100 units 2010/09/01 108,000,000 2010/04/21
61527 KBC Fin Products Int’l Ltd. SHK Ppt R Bull CBBC Sep 2010 A 0.300 105 per 100 units 113 per 100 units 2010/09/15 80,000,000 2010/04/21
61536 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 A 0.250 11.380 11.880 2010/09/29 100,000,000 2010/04/21
61538 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 B 0.250 11.880 12.380 2010/09/29 100,000,000 2010/04/21
61539 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 C 0.250 12.380 12.880 2010/09/29 100,000,000 2010/04/21
61540 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 D 0.250 12.880 13.380 2010/09/29 100,000,000 2010/04/21
61544 CC Rabobank B.A. A50 China R Bear CBBC Sep 2010 E 0.250 14.880 14.380 2010/09/29 100,000,000 2010/04/21
61519 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10W 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/07/29 300,000,000 2010/04/21
61518 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Z 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2010/07/29 300,000,000 2010/04/21
61541 UBS AG China Life R Bear CBBC Oct 2010 C 0.300 40.880 39.880 2010/10/25 200,000,000 2010/04/21
61521 UBS AG HSI R Bull CBBC Aug 2010 I 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/08/30 300,000,000 2010/04/21
61547 Credit Suisse AG A50 China R Bull CBBC Jul 2010 B 0.250 12.480 12.880 2010/07/26 100,000,000 2010/04/22
61546 Credit Suisse AG HSI R Bull CBBC Aug 2010 T 0.250 21,700 per 22,000 units 22,200 per 22,000 units 2010/08/30 220,000,000 2010/04/22
61551 Goldman Sachs SP (Asia) HSI R Bull CBBC Oct 2010 A 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2010/10/28 200,000,000 2010/04/22
61555 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 B 0.250 23,300 per 15,000 units 22,800 per 15,000 units 2010/10/28 200,000,000 2010/04/22
61556 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 C 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2010/10/28 200,000,000 2010/04/22
61550 UBS AG HSBC R Bear CBBC Sep 2010 A 0.250 103.88 per 100 units 98.88 per 100 units 2010/09/20 200,000,000 2010/04/22
61548 UBS AG HSI R Bear CBBC Nov 2010 L 0.250 22,800 per 38,000 units 22,300 per 38,000 units 2010/11/29 400,000,000 2010/04/22
61549 UBS AG HSI R Bear CBBC Nov 2010 M 0.250 24,700 per 12,000 units 24,200 per 12,000 units 2010/11/29 300,000,000 2010/04/22
69983 # HK Bank A50 R Bull CBBC Aug 2010 A 0.150 11.980 12.380 2010/08/12 200,000,000 2010/04/22
61562 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 A 0.250 23,400 per 9,000 units 22,900 per 9,000 units 2010/12/30 200,000,000 2010/04/23
61571 Credit Suisse AG HSI R Bear CBBC Jul 2010 S 0.250 22,500 per 13,000 units 22,000 per 13,000 units 2010/07/29 195,000,000 2010/04/23
61574 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Sep 10B 0.250 11.980 12.480 2010/09/15 78,000,000 2010/04/23
61575 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Sep 10C 0.250 12.280 12.780 2010/09/01 78,000,000 2010/04/23
61564 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 J 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2010/09/29 128,000,000 2010/04/23
61565 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 K 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/09/29 128,000,000 2010/04/23
61572 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 L 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/08/30 128,000,000 2010/04/23
61573 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 L 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/09/29 128,000,000 2010/04/23
61566 Macquarie Bank Ltd. HSI R Bull CBBC Jul 2010 C 0.250 20,600 per 12,000 units 21,200 per 12,000 units 2010/07/29 300,000,000 2010/04/23
61570 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 Q 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 200,000,000 2010/04/23
61553 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Aug10B 0.250 71 per 100 units 74 per 100 units 2010/08/30 300,000,000 2010/04/23
61552 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Aug10A 0.250 5.600 6.000 2010/08/30 200,000,000 2010/04/23
61558 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Aug10A 0.250 12.000 12.500 2010/08/30 150,000,000 2010/04/23
61559 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Aug10B 0.250 12.500 13.000 2010/08/30 150,000,000 2010/04/23
61560 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Aug10C 0.250 15.500 15.000 2010/08/30 150,000,000 2010/04/23
61554 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Sep10A 0.250 11,000 per 12,000 units 11,500 per 12,000 units 2010/09/29 200,000,000 2010/04/23
61557 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Sep10B 0.250 11,500 per 12,000 units 12,000 per 12,000 units 2010/09/29 200,000,000 2010/04/23
61569 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Q 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/07/29 300,000,000 2010/04/23
61567 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10V 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/07/29 300,000,000 2010/04/23
61568 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10Y 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/07/29 300,000,000 2010/04/23
61577 UBS AG China Life R Bear CBBC Oct 2010 D 0.250 39.880 38.880 2010/10/11 200,000,000 2010/04/23
61563 UBS AG HSI R Bull CBBC Sep 2010 I 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 300,000,000 2010/04/23
61576 UBS AG HSI R Bear CBBC Aug 2010 E 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/08/30 300,000,000 2010/04/23
61605 Credit Suisse AG A50 China R Bear CBBC Aug 2010 C 0.250 14.200 13.800 2010/08/23 100,000,000 2010/04/26
61581 Credit Suisse AG HSI R Bull CBBC Jul 2010 T 0.250 21,000 per 13,000 units 21,500 per 13,000 units 2010/07/29 195,000,000 2010/04/26
61603 Credit Suisse AG HSI R Bear CBBC Jul 2010 U 0.250 22,000 per 13,000 units 21,500 per 13,000 units 2010/07/29 195,000,000 2010/04/26
61582 Credit Suisse AG HSI R Bear CBBC Aug 2010 U 0.250 22,300 per 22,000 units 21,800 per 22,000 units 2010/08/30 220,000,000 2010/04/26
61604 Credit Suisse AG HSI R Bear CBBC Oct 2010 E 0.250 22,800 per 38,000 units 22,300 per 38,000 units 2010/10/28 190,000,000 2010/04/26
61598 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 R 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/09/29 200,000,000 2010/04/26
61599 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 S 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/09/29 200,000,000 2010/04/26
61593 RB of Scotland N.V. COVS R Bull CBBC Aug 2010 E 0.250 12.680 13.880 2010/08/23 80,000,000 2010/04/26
61596 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 F 0.261 17.480 16.280 2010/08/23 80,000,000 2010/04/26
61597 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 G 0.321 18.080 16.880 2010/08/23 80,000,000 2010/04/26
61594 RB of Scotland N.V. A50 China R Bull CBBC Aug 2010 B 0.250 11.820 12.320 2010/08/23 80,000,000 2010/04/26
61595 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Aug 2010 D 0.271 19.680 18.480 2010/08/16 80,000,000 2010/04/26
61578 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10F 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2010/09/29 300,000,000 2010/04/26
61589 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10J 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/09/29 300,000,000 2010/04/26
61591 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10G 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/07/29 300,000,000 2010/04/26
61592 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10O 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/07/29 300,000,000 2010/04/26
61590 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jul10P 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/07/29 300,000,000 2010/04/26
61583 UBS AG CC Bank R Bull CBBC Sep 2010 B 0.250 5.180 5.580 2010/09/13 100,000,000 2010/04/26
61584 UBS AG China Life R Bear CBBC Oct 2010 E 0.250 38.880 37.880 2010/10/18 200,000,000 2010/04/26
61586 UBS AG A50 China R Bear CBBC Aug 2010 C 0.250 14.380 13.880 2010/08/23 200,000,000 2010/04/26
61601 UBS AG HSI R Bull CBBC Sep 2010 J 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/04/26
61579 UBS AG HSI R Bull CBBC Sep 2010 Y 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/09/29 300,000,000 2010/04/26
61580 UBS AG HSI R Bull CBBC Nov 2010 N 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/11/29 300,000,000 2010/04/26
61602 UBS AG HSI R Bear CBBC Jul 2010 E 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/07/29 300,000,000 2010/04/26
61587 UBS AG HSI R Bear CBBC Jul 2010 T 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/07/29 300,000,000 2010/04/26
61588 UBS AG HSI R Bear CBBC Nov 2010 O 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/11/29 300,000,000 2010/04/26
61600 UBS AG Jiangxi Copper R Bull CBBC Aug 2010 A 0.250 14.680 15.880 2010/08/09 200,000,000 2010/04/26
61585 UBS AG TCH R Bear CBBC Sep 2010 C 0.250 171.88 per 100 units 163.88 per 100 units 2010/09/27 100,000,000 2010/04/26
61612 Credit Suisse AG HSI R Bull CBBC Sep 2010 J 0.250 20,800 per 22,000 units 21,300 per 22,000 units 2010/09/29 220,000,000 2010/04/27
61620 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 T 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/09/29 200,000,000 2010/04/27
61624 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 U 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/09/29 200,000,000 2010/04/27
61615 RB of Scotland N.V. China Mobile R Bear CBBC Aug 2010 D 0.250 94.28 per 100 units 90.28 per 100 units 2010/08/16 80,000,000 2010/04/27
61613 RB of Scotland N.V. A50 China R Bear CBBC Sep 2010 A 0.250 14.320 13.820 2010/09/20 80,000,000 2010/04/27
61614 RB of Scotland N.V. A50 China R Bear CBBC Sep 2010 B 0.250 14.820 14.320 2010/09/20 80,000,000 2010/04/27
61611 UBS AG A50 China R Bull CBBC Jul 2010 G 0.250 12.480 12.880 2010/07/27 200,000,000 2010/04/27
61617 UBS AG HKEx R Bull CBBC Oct 2010 B 0.250 117.88 per 100 units 123.88 per 100 units 2010/10/18 200,000,000 2010/04/27
61621 UBS AG HKEx R Bear CBBC Oct 2010 C 0.250 149.88 per 100 units 143.88 per 100 units 2010/10/18 200,000,000 2010/04/27
61622 UBS AG HKEx R Bear CBBC Oct 2010 D 0.250 154.88 per 100 units 148.88 per 100 units 2010/10/25 200,000,000 2010/04/27
61606 UBS AG HSCEI R Bear CBBC Sep 2010 C 0.250 13,500 per 20,000 units 13,000 per 20,000 units 2010/09/29 200,000,000 2010/04/27
61607 UBS AG HSCEI R Bear CBBC Oct 2010 C 0.250 13,800 per 12,000 units 13,300 per 12,000 units 2010/10/28 200,000,000 2010/04/27
61608 UBS AG HSCEI R Bear CBBC Nov 2010 A 0.250 14,000 per 20,000 units 13,500 per 20,000 units 2010/11/29 200,000,000 2010/04/27
61618 UBS AG HSI R Bull CBBC Aug 2010 B 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/08/30 300,000,000 2010/04/27
61619 UBS AG HSI R Bull CBBC Dec 2010 F 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2010/12/30 400,000,000 2010/04/27
61609 UBS AG HSI R Bear CBBC Jul 2010 R 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/07/29 300,000,000 2010/04/27
61610 UBS AG HSI R Bear CBBC Sep 2010 V 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/09/29 300,000,000 2010/04/27
61623 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10I 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 300,000,000 2010/04/28
61626 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Y 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/09/29 300,000,000 2010/04/28
61625 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Z 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 300,000,000 2010/04/28
61627 UBS AG China Mobile R Bear CBBC Oct 2010 B 0.250 86.88 per 100 units 82.88 per 100 units 2010/10/04 200,000,000 2010/04/28
61628 UBS AG HSBC R Bear CBBC Sep 2010 B 0.250 90 per 100 units 85 per 100 units 2010/09/20 200,000,000 2010/04/28
61629 UBS AG HSI R Bull CBBC Aug 2010 R 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/08/30 300,000,000 2010/04/28
61630 UBS AG HSI R Bear CBBC Sep 2010 T 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 300,000,000 2010/04/28
61633 UBS AG COVS R Bull CBBC Aug 2010 A 0.250 12.880 13.880 2010/08/16 100,000,000 2010/04/29
61638 UBS AG COVS R Bear CBBC Aug 2010 B 0.280 17.880 16.880 2010/08/16 100,000,000 2010/04/29
61634 UBS AG CUni R Bull CBBC Aug 2010 A 0.250 6.880 7.880 2010/08/30 100,000,000 2010/04/29
61635 UBS AG CUni R Bull CBBC Aug 2010 B 0.250 7.380 8.380 2010/08/23 100,000,000 2010/04/29
61631 UBS AG HSI R Bull CBBC Oct 2010 W 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 300,000,000 2010/04/29
61632 UBS AG HSI R Bull CBBC Dec 2010 G 0.250 18,800 per 38,000 units 19,300 per 38,000 units 2010/12/30 400,000,000 2010/04/29
61636 UBS AG HSI R Bear CBBC Aug 2010 F 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/08/30 300,000,000 2010/04/29
61637 UBS AG HSI R Bear CBBC Oct 2010 X 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 300,000,000 2010/04/29
61652 Credit Suisse AG HSI R Bull CBBC Sep 2010 K 0.250 19,500 per 13,000 units 20,000 per 13,000 units 2010/09/29 195,000,000 2010/04/30
61653 Credit Suisse AG HSI R Bull CBBC Sep 2010 L 0.250 20,000 per 13,000 units 20,500 per 13,000 units 2010/09/29 195,000,000 2010/04/30
61660 Credit Suisse AG HSI R Bull CBBC Sep 2010 N 0.250 19,800 per 22,000 units 20,300 per 22,000 units 2010/09/29 220,000,000 2010/04/30
61654 Credit Suisse AG HSI R Bull CBBC Oct 2010 F 0.250 19,000 per 13,000 units 19,500 per 13,000 units 2010/10/28 195,000,000 2010/04/30
61661 Credit Suisse AG HSI R Bull CBBC Oct 2010 G 0.250 19,300 per 22,000 units 19,800 per 22,000 units 2010/10/28 220,000,000 2010/04/30
61662 Credit Suisse AG HSI R Bear CBBC Aug 2010 V 0.250 21,800 per 22,000 units 21,300 per 22,000 units 2010/08/30 220,000,000 2010/04/30
61657 Credit Suisse AG HSI R Bear CBBC Sep 2010 M 0.250 23,000 per 13,000 units 22,500 per 13,000 units 2010/09/29 195,000,000 2010/04/30
61639 HK Bank HSI R Bull CBBC Oct 2010 C 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/10/28 120,000,000 2010/04/30
61640 HK Bank HSI R Bull CBBC Oct 2010 D 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/10/28 120,000,000 2010/04/30
61641 HK Bank HSI R Bear CBBC Aug 2010 E 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/08/30 120,000,000 2010/04/30
61642 HK Bank HSI R Bear CBBC Sep 2010 G 0.250 22,600 per 13,000 units 22,100 per 13,000 units 2010/09/29 120,000,000 2010/04/30
61643 HK Bank HSI R Bear CBBC Sep 2010 H 0.250 22,800 per 10,000 units 22,300 per 10,000 units 2010/09/29 120,000,000 2010/04/30
61655 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 V 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 200,000,000 2010/04/30
61656 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 D 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 250,000,000 2010/04/30
61658 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 E 0.250 22,700 per 13,000 units 22,200 per 13,000 units 2010/09/29 250,000,000 2010/04/30
61659 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 A 0.250 22,500 per 30,000 units 22,000 per 30,000 units 2010/11/29 250,000,000 2010/04/30
61646 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10T 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 300,000,000 2010/04/30
61645 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10X 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/09/29 300,000,000 2010/04/30
61647 UBS AG HKEx R Bear CBBC Sep 2010 D 0.250 144.88 per 100 units 138.88 per 100 units 2010/09/20 200,000,000 2010/04/30
61649 UBS AG HSCEI R Bear CBBC Sep 2010 D 0.250 13,300 per 12,000 units 12,800 per 12,000 units 2010/09/29 200,000,000 2010/04/30
61650 UBS AG HSI R Bear CBBC Aug 2010 W 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/08/30 300,000,000 2010/04/30
61651 UBS AG HSI R Bear CBBC Dec 2010 H 0.250 22,300 per 38,000 units 21,800 per 38,000 units 2010/12/30 400,000,000 2010/04/30
61648 UBS AG SHK Ppt R Bear CBBC Sep 2010 A 0.250 126.88 per 100 units 118.88 per 100 units 2010/09/20 100,000,000 2010/04/30
61671 Credit Suisse AG A50 China R Bull CBBC Aug 2010 D 0.250 12.100 12.500 2010/08/23 100,000,000 2010/05/03
61670 Credit Suisse AG HSI R Bull CBBC Sep 2010 O 0.250 21,000 per 13,000 units 21,500 per 13,000 units 2010/09/29 195,000,000 2010/05/03
61669 Credit Suisse AG HSI R Bear CBBC Aug 2010 W 0.250 23,500 per 13,000 units 23,000 per 13,000 units 2010/08/30 195,000,000 2010/05/03
61677 Deutsche Bank AG HSI R Bull CBBC Oct 2010 J 0.270 20,900 per 12,000 units 21,400 per 12,000 units 2010/10/28 300,000,000 2010/05/03
61678 Deutsche Bank AG HSI R Bull CBBC Oct 2010 K 0.260 21,100 per 10,000 units 21,580 per 10,000 units 2010/10/28 300,000,000 2010/05/03
61679 Deutsche Bank AG HSI R Bear CBBC Aug 2010 W 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/08/30 300,000,000 2010/05/03
61681 Deutsche Bank AG HSI R Bear CBBC Sep 2010 B 0.300 22,600 per 12,000 units 22,100 per 12,000 units 2010/09/29 300,000,000 2010/05/03
61680 Deutsche Bank AG HSI R Bear CBBC Sep 2010 C 0.270 22,300 per 12,000 units 21,800 per 12,000 units 2010/09/29 300,000,000 2010/05/03
61676 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Aug 2010 R 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/08/30 128,000,000 2010/05/03
61664 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 N 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/08/30 128,000,000 2010/05/03
61665 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 M 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/09/29 128,000,000 2010/05/03
61666 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 N 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/09/29 128,000,000 2010/05/03
61667 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 F 0.250 22,600 per 15,000 units 22,100 per 15,000 units 2010/10/28 158,000,000 2010/05/03
61668 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10S 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/09/29 300,000,000 2010/05/03
61672 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10R 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/09/29 300,000,000 2010/05/03
61674 UBS AG A50 China R Bear CBBC Aug 2010 D 0.250 13.780 13.380 2010/08/23 200,000,000 2010/05/03
61675 UBS AG HSI R Bull CBBC Nov 2010 P 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/11/29 300,000,000 2010/05/03
61663 UBS AG HSI R Bear CBBC Aug 2010 Q 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/08/30 300,000,000 2010/05/03
61673 UBS AG TCH R Bull CBBC Sep 2010 D 0.250 150.88 per 100 units 158.88 per 100 units 2010/09/13 100,000,000 2010/05/03
61690 Credit Suisse AG HSI R Bear CBBC Aug 2010 X 0.250 22,000 per 13,000 units 21,500 per 13,000 units 2010/08/30 195,000,000 2010/05/04
61685 Deutsche Bank AG HSI R Bull CBBC Nov 2010 C 0.270 20,800 per 10,000 units 21,300 per 10,000 units 2010/11/29 300,000,000 2010/05/04
61692 Deutsche Bank AG HSI R Bear CBBC Aug 2010 E 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/08/30 300,000,000 2010/05/04
61686 Deutsche Bank AG HSI R Bear CBBC Sep 2010 A 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/09/29 300,000,000 2010/05/04
61687 Deutsche Bank AG HSI R Bear CBBC Oct 2010 L 0.280 22,200 per 12,000 units 21,700 per 12,000 units 2010/10/28 300,000,000 2010/05/04
61688 Deutsche Bank AG HSI R Bear CBBC Oct 2010 M 0.300 22,500 per 12,000 units 22,000 per 12,000 units 2010/10/28 300,000,000 2010/05/04
61689 Deutsche Bank AG HSI R Bear CBBC Nov 2010 D 0.330 22,800 per 12,000 units 22,300 per 12,000 units 2010/11/29 300,000,000 2010/05/04
61683 HK Bank CC Bank R Bear CBBC Sep 2010 A 0.250 7.380 7.080 2010/09/22 120,000,000 2010/05/04
61684 HK Bank A50 R Bear CBBC Sep 2010 B 0.250 13.980 13.680 2010/09/22 120,000,000 2010/05/04
61682 UBS AG HSI R Bull CBBC Oct 2010 Y 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/10/28 300,000,000 2010/05/04
61691 UBS AG HSI R Bear CBBC Oct 2010 Z 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/10/28 300,000,000 2010/05/04
61155 # RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 C 0.250 11,900 per 30,000 units 11,500 per 30,000 units 2010/09/17 60,000,000 2010/05/04
61693 Barclays Bank plc HSI R Bear CBBC Aug 2010 C 0.162 22,600 per 10,000 units 22,100 per 10,000 units 2010/08/30 300,000,000 2010/05/05
61694 Barclays Bank plc HSI R Bear CBBC Sep 2010 K 0.171 22,500 per 10,000 units 22,000 per 10,000 units 2010/09/29 300,000,000 2010/05/05
61695 Barclays Bank plc HSI R Bear CBBC Nov 2010 A 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/11/29 300,000,000 2010/05/05
61696 Barclays Bank plc HSI R Bear CBBC Nov 2010 B 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/11/29 300,000,000 2010/05/05
61701 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2010 D 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/10/28 100,000,000 2010/05/05
61702 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 C 0.250 22,300 per 9,000 units 21,800 per 9,000 units 2010/11/29 100,000,000 2010/05/05
61712 Credit Suisse AG A50 China R Bear CBBC Aug 2010 E 0.250 13.700 13.300 2010/08/23 100,000,000 2010/05/05
61714 Credit Suisse AG HSI R Bull CBBC Sep 2010 P 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2010/09/29 195,000,000 2010/05/05
61715 Credit Suisse AG HSI R Bull CBBC Oct 2010 H 0.250 18,800 per 22,000 units 19,300 per 22,000 units 2010/10/28 220,000,000 2010/05/05
61713 Credit Suisse AG HSI R Bear CBBC Aug 2010 Y 0.250 21,500 per 13,000 units 21,000 per 13,000 units 2010/08/30 195,000,000 2010/05/05
61699 Deutsche Bank AG HSI R Bull CBBC Oct 2010 N 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/10/28 300,000,000 2010/05/05
61700 Deutsche Bank AG HSI R Bull CBBC Nov 2010 E 0.260 20,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 300,000,000 2010/05/05
61706 Deutsche Bank AG HSI R Bear CBBC Aug 2010 D 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/08/30 300,000,000 2010/05/05
61707 Deutsche Bank AG HSI R Bear CBBC Sep 2010 E 0.260 21,700 per 15,000 units 21,200 per 15,000 units 2010/09/29 300,000,000 2010/05/05
61708 Deutsche Bank AG HSI R Bear CBBC Oct 2010 O 0.250 22,800 per 40,000 units 22,200 per 40,000 units 2010/10/28 300,000,000 2010/05/05
61698 HK Bank HSI R Bear CBBC Sep 2010 I 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/09/29 120,000,000 2010/05/05
61730 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 G 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 128,000,000 2010/05/05
61731 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 O 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/09/29 128,000,000 2010/05/05
61732 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 G 0.250 21,900 per 15,000 units 21,400 per 15,000 units 2010/10/28 158,000,000 2010/05/05
61733 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 H 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/10/28 128,000,000 2010/05/05
61720 RB of Scotland N.V. CCHC R Bull CBBC Sep 2010 A 0.251 8.280 9.280 2010/09/13 80,000,000 2010/05/05
61716 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 E 0.265 11,550 per 20,000 units 11,150 per 20,000 units 2010/09/17 40,000,000 2010/05/05
61717 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 F 0.343 11,750 per 20,000 units 11,350 per 20,000 units 2010/09/17 40,000,000 2010/05/05
61718 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 G 0.333 12,150 per 30,000 units 11,750 per 30,000 units 2010/09/17 40,000,000 2010/05/05
61719 RB of Scotland N.V. A50 China R Bull CBBC Sep 2010 C 0.250 11.320 11.820 2010/09/20 80,000,000 2010/05/05
61723 RB of Scotland N.V. A50 China R Bear CBBC Sep 2010 D 0.256 13.820 13.320 2010/09/20 80,000,000 2010/05/05
61722 RB of Scotland N.V. HSCEI R Bear CBBC Sep 2010 B 0.251 13,300 per 10,000 units 12,800 per 10,000 units 2010/09/29 250,000,000 2010/05/05
61721 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 F 0.251 22,300 per 13,000 units 21,800 per 13,000 units 2010/09/29 250,000,000 2010/05/05
61705 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Q 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/09/29 300,000,000 2010/05/05
61711 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10J 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/09/29 300,000,000 2010/05/05
61710 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10O 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/05/05
61709 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10P 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/09/29 300,000,000 2010/05/05
61725 UBS AG CC Bank R Bear CBBC Oct 2010 B 0.250 7.280 6.880 2010/10/04 100,000,000 2010/05/05
61726 UBS AG China Life R Bear CBBC Oct 2010 F 0.250 37.880 36.880 2010/10/11 200,000,000 2010/05/05
61728 UBS AG A50 China R Bull CBBC Aug 2010 E 0.250 12.100 12.500 2010/08/09 200,000,000 2010/05/05
61727 UBS AG HKEx R Bear CBBC Oct 2010 E 0.250 139.88 per 100 units 133.88 per 100 units 2010/10/11 200,000,000 2010/05/05
61729 UBS AG HSBC R Bull CBBC Aug 2010 C 0.250 73.88 per 100 units 78.88 per 100 units 2010/08/23 200,000,000 2010/05/05
61703 UBS AG HSI R Bull CBBC Aug 2010 I 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/08/30 300,000,000 2010/05/05
61704 UBS AG HSI R Bull CBBC Nov 2010 Q 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 300,000,000 2010/05/05
61724 UBS AG HSI R Bear CBBC Aug 2010 B 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 300,000,000 2010/05/05
61745 Credit Suisse AG A50 China R Bull CBBC Aug 2010 F 0.250 11.580 11.980 2010/08/23 100,000,000 2010/05/06
61749 Credit Suisse AG A50 China R Bear CBBC Aug 2010 G 0.250 13.280 12.880 2010/08/23 100,000,000 2010/05/06
61747 Credit Suisse AG HSI R Bull CBBC Sep 2010 Q 0.250 20,300 per 22,000 units 20,800 per 22,000 units 2010/09/29 220,000,000 2010/05/06
61746 Credit Suisse AG HSI R Bear CBBC Aug 2010 Z 0.250 21,300 per 22,000 units 20,800 per 22,000 units 2010/08/30 220,000,000 2010/05/06
61737 Deutsche Bank AG HSI R Bull CBBC Sep 2010 J 0.260 20,400 per 12,000 units 20,900 per 12,000 units 2010/09/29 300,000,000 2010/05/06
61738 Deutsche Bank AG HSI R Bear CBBC Oct 2010 P 0.290 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 300,000,000 2010/05/06
61739 Deutsche Bank AG HSI R Bear CBBC Nov 2010 F 0.310 22,400 per 15,000 units 21,900 per 15,000 units 2010/11/29 300,000,000 2010/05/06
61740 Deutsche Bank AG HSI R Bear CBBC Dec 2010 C 0.250 22,300 per 40,000 units 21,700 per 40,000 units 2010/12/30 300,000,000 2010/05/06
61748 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 I 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/10/28 128,000,000 2010/05/06
61750 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 P 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 128,000,000 2010/05/06
61736 RB of Scotland N.V. BYD Company R Bear CBBC Aug 2010 C 0.250 83.08 per 100 units 78.08 per 100 units 2010/08/16 80,000,000 2010/05/06
61741 UBS AG China Mobile R Bear CBBC Oct 2010 C 0.250 84.88 per 100 units 80.88 per 100 units 2010/10/11 100,000,000 2010/05/06
61734 UBS AG HSI R Bull CBBC Sep 2010 U 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/09/29 300,000,000 2010/05/06
61742 UBS AG HSI R Bull CBBC Dec 2010 I 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2010/12/30 400,000,000 2010/05/06
61743 UBS AG HSI R Bear CBBC Sep 2010 P 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 300,000,000 2010/05/06
61751 UBS AG HSI R Bear CBBC Oct 2010 J 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 300,000,000 2010/05/06
61735 UBS AG HSI R Bear CBBC Nov 2010 R 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 300,000,000 2010/05/06
61744 UBS AG HSI R Bear CBBC Nov 2010 S 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/11/29 400,000,000 2010/05/06
61759 Credit Suisse AG HSI R Bear CBBC Oct 2010 I 0.250 22,300 per 38,000 units 21,800 per 38,000 units 2010/10/28 190,000,000 2010/05/07
61760 Deutsche Bank AG HSI R Bull CBBC Oct 2010 R 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 300,000,000 2010/05/07
61761 Deutsche Bank AG HSI R Bear CBBC Nov 2010 G 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/11/29 300,000,000 2010/05/07
61764 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 Q 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2010/09/29 128,000,000 2010/05/07
61758 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10N 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/09/29 300,000,000 2010/05/07
61757 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Y 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 300,000,000 2010/05/07
61753 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10F 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 300,000,000 2010/05/07
61754 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10Z 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/09/29 300,000,000 2010/05/07
61755 UBS AG HSCEI R Bull CBBC Oct 2010 D 0.250 10,300 per 12,000 units 10,800 per 12,000 units 2010/10/28 100,000,000 2010/05/07
61762 UBS AG HSI R Bull CBBC Aug 2010 R 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 200,000,000 2010/05/07
61756 UBS AG HSI R Bear CBBC Sep 2010 X 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/09/29 200,000,000 2010/05/07
61763 UBS AG HSI R Bear CBBC Oct 2010 S 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/10/28 200,000,000 2010/05/07
61772 Credit Suisse AG A50 China R Bull CBBC Sep 2010 C 0.250 11.100 11.500 2010/09/27 100,000,000 2010/05/10
61771 Credit Suisse AG HSBC R Bear CBBC Sep 2010 D 0.250 88 per 100 units 83 per 100 units 2010/09/27 100,000,000 2010/05/10
61774 Deutsche Bank AG HSI R Bull CBBC Sep 2010 L 0.310 19,100 per 10,000 units 19,600 per 10,000 units 2010/09/29 300,000,000 2010/05/10
61773 Deutsche Bank AG HSI R Bull CBBC Sep 2010 N 0.360 18,600 per 10,000 units 19,100 per 10,000 units 2010/09/29 300,000,000 2010/05/10
61775 Deutsche Bank AG HSI R Bull CBBC Oct 2010 S 0.340 18,800 per 10,000 units 19,300 per 10,000 units 2010/10/28 300,000,000 2010/05/10
61767 Deutsche Bank AG HSI R Bear CBBC Sep 2010 K 0.270 21,400 per 15,000 units 20,900 per 15,000 units 2010/09/29 300,000,000 2010/05/10
61768 Deutsche Bank AG HSI R Bear CBBC Dec 2010 D 0.250 21,800 per 40,000 units 21,200 per 40,000 units 2010/12/30 300,000,000 2010/05/10
61765 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10M 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/05/10
61770 UBS AG A50 China R Bear CBBC Aug 2010 F 0.250 13.280 12.880 2010/08/23 100,000,000 2010/05/10
61769 UBS AG HSCEI R Bear CBBC Oct 2010 E 0.250 13,000 per 20,000 units 12,500 per 20,000 units 2010/10/28 100,000,000 2010/05/10
61766 UBS AG HSI R Bull CBBC Sep 2010 I 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/09/29 200,000,000 2010/05/10
61777 Barclays Bank plc HSI R Bear CBBC Aug 2010 D 0.151 22,000 per 10,000 units 21,500 per 10,000 units 2010/08/30 300,000,000 2010/05/11
61778 Barclays Bank plc HSI R Bear CBBC Aug 2010 E 0.155 22,300 per 12,000 units 21,800 per 12,000 units 2010/08/30 300,000,000 2010/05/11
61779 Barclays Bank plc HSI R Bear CBBC Sep 2010 L 0.161 22,200 per 10,000 units 21,700 per 10,000 units 2010/09/29 300,000,000 2010/05/11
61781 Barclays Bank plc HSI R Bear CBBC Nov 2010 D 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/11/29 300,000,000 2010/05/11
61782 Barclays Bank plc HSI R Bear CBBC Nov 2010 E 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/11/29 300,000,000 2010/05/11
61783 Credit Suisse AG A50 China R Bear CBBC Oct 2010 A 0.250 14.700 14.300 2010/10/25 100,000,000 2010/05/11
61784 Credit Suisse AG HSI R Bear CBBC Aug 2010 E 0.250 21,400 per 13,000 units 20,900 per 13,000 units 2010/08/30 195,000,000 2010/05/11
61801 Deutsche Bank AG China Life R Bear CBBC Oct 2010 A 0.400 37.680 36.680 2010/10/11 150,000,000 2010/05/11
61802 Deutsche Bank AG A50 China R Bear CBBC Oct 2010 A 0.290 14.680 14.180 2010/10/11 150,000,000 2010/05/11
61786 Deutsche Bank AG HSI R Bull CBBC Oct 2010 T 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 300,000,000 2010/05/11
61790 Deutsche Bank AG HSI R Bear CBBC Oct 2010 U 0.250 22,900 per 15,000 units 22,400 per 15,000 units 2010/10/28 300,000,000 2010/05/11
61803 Deutsche Bank AG TCH R Bull CBBC Oct 2010 A 0.250 145 per 100 units 152 per 100 units 2010/10/11 150,000,000 2010/05/11
61776 HK Bank BYD Company R Bull CBBC Oct 2010 A 0.250 62.88 per 100 units 66.88 per 100 units 2010/10/22 120,000,000 2010/05/11
61780 HK Bank BYD Company R Bear CBBC Oct 2010 B 0.250 88.28 per 100 units 84.28 per 100 units 2010/10/22 100,000,000 2010/05/11
61797 RB of Scotland N.V. A50 China R Bull CBBC Sep 2010 E 0.252 10.820 11.320 2010/09/20 80,000,000 2010/05/11
61796 RB of Scotland N.V. HSI R Bull CBBC Sep 2010 G 0.253 18,700 per 13,000 units 19,200 per 13,000 units 2010/09/29 250,000,000 2010/05/11
61798 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 H 0.253 22,100 per 13,000 units 21,600 per 13,000 units 2010/09/29 250,000,000 2010/05/11
61799 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 I 0.253 21,900 per 13,000 units 21,400 per 13,000 units 2010/09/29 250,000,000 2010/05/11
61800 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 C 0.256 22,900 per 13,000 units 22,400 per 13,000 units 2010/10/28 250,000,000 2010/05/11
61789 UBS AG China Mobile R Bull CBBC Nov 2010 A 0.250 64.88 per 100 units 68.88 per 100 units 2010/11/08 100,000,000 2010/05/11
61787 UBS AG China Life R Bull CBBC Nov 2010 B 0.420 30.880 31.880 2010/11/08 100,000,000 2010/05/11
61788 UBS AG China Life R Bull CBBC Nov 2010 C 0.320 31.880 32.880 2010/11/08 100,000,000 2010/05/11
61793 UBS AG A50 China R Bull CBBC Nov 2010 A 0.250 10.980 11.380 2010/11/15 100,000,000 2010/05/11
61794 UBS AG A50 China R Bull CBBC Nov 2010 B 0.250 11.480 11.880 2010/11/08 100,000,000 2010/05/11
61791 UBS AG HKEx R Bull CBBC Nov 2010 A 0.250 107.88 per 100 units 113.88 per 100 units 2010/11/08 100,000,000 2010/05/11
61792 UBS AG HKEx R Bull CBBC Nov 2010 B 0.250 112.88 per 100 units 118.88 per 100 units 2010/11/01 100,000,000 2010/05/11
61795 UBS AG HSI R Bull CBBC Oct 2010 Q 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 200,000,000 2010/05/11
61654 # Credit Suisse AG HSI R Bull CBBC Oct 2010 F 0.084 19,000 per 13,000 units 19,500 per 13,000 units 2010/10/28 390,000,000 2010/05/11
61807 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2010 M 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/08/30 100,000,000 2010/05/12
61808 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Sep 2010 E 0.250 21,700 per 11,000 units 21,200 per 11,000 units 2010/09/29 100,000,000 2010/05/12
61813 Credit Suisse AG HSI R Bull CBBC Sep 2010 R 0.250 20,200 per 13,000 units 20,700 per 13,000 units 2010/09/29 195,000,000 2010/05/12
61814 Credit Suisse AG HSI R Bull CBBC Oct 2010 J 0.250 19,100 per 22,000 units 19,600 per 22,000 units 2010/10/28 220,000,000 2010/05/12
61815 Credit Suisse AG HSI R Bull CBBC Nov 2010 H 0.250 18,300 per 22,000 units 18,800 per 22,000 units 2010/11/29 220,000,000 2010/05/12
61816 Credit Suisse AG HSI R Bull CBBC Nov 2010 I 0.250 18,500 per 13,000 units 19,000 per 13,000 units 2010/11/29 195,000,000 2010/05/12
61821 Credit Suisse AG HSI R Bear CBBC Aug 2010 D 0.250 20,900 per 13,000 units 20,400 per 13,000 units 2010/08/30 195,000,000 2010/05/12
61822 Credit Suisse AG HSI R Bear CBBC Aug 2010 G 0.250 21,600 per 22,000 units 21,100 per 22,000 units 2010/08/30 220,000,000 2010/05/12
61823 Credit Suisse AG HSI R Bear CBBC Aug 2010 K 0.250 22,100 per 22,000 units 21,600 per 22,000 units 2010/08/30 220,000,000 2010/05/12
61848 Deutsche Bank AG HSI R Bull CBBC Oct 2010 W 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 300,000,000 2010/05/12
61817 Deutsche Bank AG HSI R Bull CBBC Nov 2010 H 0.260 20,000 per 10,000 units 20,500 per 10,000 units 2010/11/29 300,000,000 2010/05/12
61818 Deutsche Bank AG HSI R Bull CBBC Nov 2010 I 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 300,000,000 2010/05/12
61819 Deutsche Bank AG HSI R Bear CBBC Oct 2010 V 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/10/28 300,000,000 2010/05/12
61820 Deutsche Bank AG HSI R Bear CBBC Nov 2010 J 0.270 21,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/05/12
61854 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 D 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 200,000,000 2010/05/12
61855 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 E 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/10/28 200,000,000 2010/05/12
61856 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 F 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/10/28 200,000,000 2010/05/12
61857 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 G 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 200,000,000 2010/05/12
61858 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 H 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2010/10/28 200,000,000 2010/05/12
61859 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 I 0.250 22,600 per 15,000 units 22,100 per 15,000 units 2010/10/28 200,000,000 2010/05/12
61860 Goldman Sachs SP (Asia) HSI R Bear CBBC Oct 2010 J 0.250 22,900 per 12,000 units 22,400 per 12,000 units 2010/10/28 200,000,000 2010/05/12
61804 HK Bank HSI R Bull CBBC Oct 2010 E 0.250 17,300 per 15,000 units 17,800 per 15,000 units 2010/10/28 150,000,000 2010/05/12
61805 HK Bank HSI R Bull CBBC Oct 2010 F 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 120,000,000 2010/05/12
61809 HK Bank HSI R Bear CBBC Oct 2010 G 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 120,000,000 2010/05/12
61810 HK Bank HSI R Bear CBBC Oct 2010 H 0.250 21,700 per 13,000 units 21,200 per 13,000 units 2010/10/28 150,000,000 2010/05/12
61828 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 R 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/09/29 128,000,000 2010/05/12
61836 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 J 0.320 16,500 per 12,000 units 17,000 per 12,000 units 2010/10/28 128,000,000 2010/05/12
61837 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 K 0.250 17,000 per 15,000 units 17,500 per 15,000 units 2010/10/28 158,000,000 2010/05/12
61838 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 L 0.310 17,300 per 10,000 units 17,800 per 10,000 units 2010/10/28 128,000,000 2010/05/12
61839 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 M 0.250 17,800 per 12,000 units 18,300 per 12,000 units 2010/10/28 128,000,000 2010/05/12
61840 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 S 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 128,000,000 2010/05/12
61844 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 N 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 128,000,000 2010/05/12
61853 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 A 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/09/29 200,000,000 2010/05/12
61849 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 W 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 200,000,000 2010/05/12
61850 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 X 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/09/29 200,000,000 2010/05/12
61851 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 Y 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/09/29 200,000,000 2010/05/12
61852 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 Z 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/09/29 200,000,000 2010/05/12
61845 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 J 0.251 21,300 per 13,000 units 20,800 per 13,000 units 2010/09/29 250,000,000 2010/05/12
61846 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 K 0.252 21,500 per 13,000 units 21,000 per 13,000 units 2010/09/29 250,000,000 2010/05/12
61847 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 L 0.251 21,700 per 10,000 units 21,200 per 10,000 units 2010/09/29 250,000,000 2010/05/12
61826 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10I 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/09/29 300,000,000 2010/05/12
61825 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10K 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/09/29 300,000,000 2010/05/12
61824 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10L 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/09/29 300,000,000 2010/05/12
61827 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10S 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/09/29 300,000,000 2010/05/12
61831 UBS AG Cheung Kong R Bear CBBC Oct 2010 A 0.250 111.88 per 100 units 103.88 per 100 units 2010/10/25 100,000,000 2010/05/12
61832 UBS AG China Life R Bear CBBC Oct 2010 G 0.285 36.880 35.880 2010/10/25 100,000,000 2010/05/12
61833 UBS AG HSBC R Bear CBBC Oct 2010 A 0.250 88.88 per 100 units 83.88 per 100 units 2010/10/25 100,000,000 2010/05/12
61830 UBS AG HSCEI R Bear CBBC Aug 2010 C 0.250 12,800 per 12,000 units 12,300 per 12,000 units 2010/08/30 100,000,000 2010/05/12
61829 UBS AG HSI R Bull CBBC Aug 2010 C 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/08/30 200,000,000 2010/05/12
61811 UBS AG HSI R Bull CBBC Aug 2010 M 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/08/30 200,000,000 2010/05/12
61812 UBS AG HSI R Bull CBBC Nov 2010 T 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/11/29 200,000,000 2010/05/12
61841 UBS AG HSI R Bear CBBC Aug 2010 P 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 200,000,000 2010/05/12
61842 UBS AG HSI R Bear CBBC Sep 2010 Y 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/09/29 200,000,000 2010/05/12
61843 UBS AG HSI R Bear CBBC Dec 2010 J 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2010/12/30 300,000,000 2010/05/12
61834 UBS AG Hutchison R Bear CBBC Nov 2010 A 0.250 63.88 per 100 units 58.88 per 100 units 2010/11/15 100,000,000 2010/05/12
61835 UBS AG SHK Ppt R Bear CBBC Nov 2010 A 0.250 121.88 per 100 units 113.88 per 100 units 2010/11/01 100,000,000 2010/05/12
61746 # Credit Suisse AG HSI R Bear CBBC Aug 2010 Z 0.078 21,300 per 22,000 units 20,800 per 22,000 units 2010/08/30 220,000,000 2010/05/12
60512 # HK Bank A50 R Bull CBBC Jun 2010 E 0.102 11.080 11.380 2010/06/18 100,000,000 2010/05/12
61900 Credit Suisse AG A50 China R Bull CBBC Oct 2010 B 0.250 10.100 10.500 2010/10/25 100,000,000 2010/05/13
61901 Credit Suisse AG A50 China R Bull CBBC Nov 2010 A 0.310 9.100 9.500 2010/11/22 100,000,000 2010/05/13
61914 Credit Suisse AG A50 China R Bear CBBC Sep 2010 D 0.250 12.700 12.300 2010/09/27 100,000,000 2010/05/13
61871 Credit Suisse AG HSI R Bull CBBC Sep 2010 S 0.250 19,800 per 22,000 units 20,300 per 22,000 units 2010/09/29 220,000,000 2010/05/13
61902 Credit Suisse AG HSI R Bull CBBC Sep 2010 T 0.250 19,500 per 13,000 units 20,000 per 13,000 units 2010/09/29 195,000,000 2010/05/13
61904 Credit Suisse AG HSI R Bull CBBC Nov 2010 J 0.250 18,000 per 13,000 units 18,500 per 13,000 units 2010/11/29 195,000,000 2010/05/13
61905 Credit Suisse AG HSI R Bull CBBC Dec 2010 J 0.250 17,800 per 22,000 units 18,300 per 22,000 units 2010/12/30 220,000,000 2010/05/13
61906 Credit Suisse AG HSI R Bear CBBC Aug 2010 J 0.250 21,000 per 13,000 units 20,500 per 13,000 units 2010/08/30 195,000,000 2010/05/13
61913 Credit Suisse AG HSI R Bear CBBC Aug 2010 L 0.250 20,700 per 13,000 units 20,200 per 13,000 units 2010/08/30 195,000,000 2010/05/13
61907 Credit Suisse AG HSI R Bear CBBC Oct 2010 L 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2010/10/28 190,000,000 2010/05/13
61915 Deutsche Bank AG HSI R Bull CBBC Sep 2010 M 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/09/29 300,000,000 2010/05/13
61870 Deutsche Bank AG HSI R Bull CBBC Nov 2010 K 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/05/13
61872 Deutsche Bank AG HSI R Bear CBBC Sep 2010 P 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 300,000,000 2010/05/13
61931 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 T 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 128,000,000 2010/05/13
61908 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 O 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/10/28 128,000,000 2010/05/13
61932 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 P 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 128,000,000 2010/05/13
61909 Macquarie Bank Ltd. HSI R Bull CBBC Oct 2010 A 0.250 19,000 per 12,000 units 19,600 per 12,000 units 2010/10/28 200,000,000 2010/05/13
61861 Macquarie Bank Ltd. HSI R Bear CBBC Aug 2010 C 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/08/30 200,000,000 2010/05/13
61934 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 F 0.250 10.380 10.880 2010/09/29 100,000,000 2010/05/13
61935 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 G 0.250 10.880 11.380 2010/09/29 100,000,000 2010/05/13
61936 CC Rabobank B.A. A50 China R Bull CBBC Sep 2010 H 0.250 11.380 11.880 2010/09/29 100,000,000 2010/05/13
61941 CC Rabobank B.A. A50 China R Bear CBBC Sep 2010 I 0.250 12.880 12.380 2010/09/29 100,000,000 2010/05/13
61937 CC Rabobank B.A. HSI R Bull CBBC Sep 2010 B 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/09/29 200,000,000 2010/05/13
61942 CC Rabobank B.A. HSI R Bear CBBC Sep 2010 D 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 200,000,000 2010/05/13
61888 RB of Scotland N.V. China Mobile R Bull CBBC Aug 2010 E 0.251 61.28 per 100 units 65.28 per 100 units 2010/08/27 80,000,000 2010/05/13
61889 RB of Scotland N.V. China Mobile R Bear CBBC Aug 2010 F 0.251 84.28 per 100 units 80.28 per 100 units 2010/08/27 80,000,000 2010/05/13
61925 RB of Scotland N.V. COVS R Bull CBBC Aug 2010 H 0.255 11.480 12.680 2010/08/27 80,000,000 2010/05/13
61926 RB of Scotland N.V. COVS R Bull CBBC Aug 2010 I 0.252 12.080 13.280 2010/08/27 80,000,000 2010/05/13
61927 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 J 0.253 15.680 14.480 2010/08/27 80,000,000 2010/05/13
61928 RB of Scotland N.V. COVS R Bear CBBC Aug 2010 K 0.250 16.280 15.080 2010/08/27 80,000,000 2010/05/13
61878 RB of Scotland N.V. CC Bank R Bull CBBC Sep 2010 A 0.252 4.880 5.380 2010/09/28 80,000,000 2010/05/13
61881 RB of Scotland N.V. CC Bank R Bear CBBC Sep 2010 B 0.255 7.380 6.880 2010/09/28 80,000,000 2010/05/13
61882 RB of Scotland N.V. CCHC R Bull CBBC Oct 2010 A 0.253 7.580 8.580 2010/10/18 80,000,000 2010/05/13
61883 RB of Scotland N.V. CCHC R Bear CBBC Oct 2010 B 0.251 11.680 10.680 2010/10/18 80,000,000 2010/05/13
61884 RB of Scotland N.V. Ch Life R Bull CBBC Sep 2010 A 0.251 28.88 per 100 units 30.28 per 100 units 2010/09/20 80,000,000 2010/05/13
61885 RB of Scotland N.V. Ch Life R Bull CBBC Sep 2010 B 0.251 30.88 per 100 units 32.28 per 100 units 2010/09/20 80,000,000 2010/05/13
61886 RB of Scotland N.V. Ch Life R Bear CBBC Sep 2010 C 0.256 37.68 per 100 units 36.28 per 100 units 2010/09/20 80,000,000 2010/05/13
61887 RB of Scotland N.V. Ch Life R Bear CBBC Sep 2010 D 0.250 39.68 per 100 units 38.28 per 100 units 2010/09/20 80,000,000 2010/05/13
61873 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 H 0.250 11,650 per 60,000 units 11,250 per 60,000 units 2010/09/17 40,000,000 2010/05/13
61923 RB of Scotland N.V. A50 China R Bull CBBC Sep 2010 F 0.252 10.320 10.820 2010/09/20 80,000,000 2010/05/13
61924 RB of Scotland N.V. A50 China R Bear CBBC Sep 2010 G 0.251 13.320 12.820 2010/09/20 80,000,000 2010/05/13
61890 RB of Scotland N.V. HKEx R Bull CBBC Oct 2010 A 0.254 109.80 per 100 units 115.80 per 100 units 2010/10/11 80,000,000 2010/05/13
61891 RB of Scotland N.V. HKEx R Bear CBBC Oct 2010 B 0.251 141.80 per 100 units 135.80 per 100 units 2010/10/11 80,000,000 2010/05/13
61892 RB of Scotland N.V. HSBC R Bull CBBC Oct 2010 A 0.252 61.88 per 100 units 67.88 per 100 units 2010/10/15 80,000,000 2010/05/13
61893 RB of Scotland N.V. HSBC R Bull CBBC Oct 2010 B 0.251 66.88 per 100 units 72.88 per 100 units 2010/10/15 80,000,000 2010/05/13
61894 RB of Scotland N.V. HSBC R Bear CBBC Oct 2010 C 0.254 88.88 per 100 units 82.88 per 100 units 2010/10/15 80,000,000 2010/05/13
61895 RB of Scotland N.V. HSBC R Bear CBBC Oct 2010 D 0.253 93.88 per 100 units 87.88 per 100 units 2010/10/15 80,000,000 2010/05/13
61875 RB of Scotland N.V. HSCEI R Bull CBBC Sep 2010 D 0.251 10,300 per 10,000 units 10,800 per 10,000 units 2010/09/29 250,000,000 2010/05/13
61922 RB of Scotland N.V. HSCEI R Bull CBBC Sep 2010 G 0.253 9,500 per 10,000 units 10,000 per 10,000 units 2010/09/29 250,000,000 2010/05/13
61876 RB of Scotland N.V. HSCEI R Bear CBBC Sep 2010 E 0.252 12,500 per 10,000 units 12,000 per 10,000 units 2010/09/29 250,000,000 2010/05/13
61877 RB of Scotland N.V. HSCEI R Bear CBBC Sep 2010 F 0.251 12,900 per 10,000 units 12,400 per 10,000 units 2010/09/29 250,000,000 2010/05/13
61916 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 D 0.253 17,900 per 13,000 units 18,400 per 13,000 units 2010/10/28 250,000,000 2010/05/13
61917 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 E 0.252 18,100 per 13,000 units 18,600 per 13,000 units 2010/10/28 250,000,000 2010/05/13
61918 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 F 0.252 18,300 per 10,000 units 18,800 per 10,000 units 2010/10/28 250,000,000 2010/05/13
61919 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 G 0.250 18,500 per 13,000 units 19,000 per 13,000 units 2010/10/28 250,000,000 2010/05/13
61920 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 H 0.250 18,900 per 13,000 units 19,400 per 13,000 units 2010/10/28 250,000,000 2010/05/13
61921 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 I 0.251 21,100 per 13,000 units 20,600 per 13,000 units 2010/10/28 250,000,000 2010/05/13
61896 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Sep 2010 A 0.268 12.480 13.680 2010/09/27 80,000,000 2010/05/13
61897 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Sep 2010 B 0.251 13.080 14.280 2010/09/27 80,000,000 2010/05/13
61898 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Sep 2010 C 0.250 17.280 16.080 2010/09/27 80,000,000 2010/05/13
61899 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Sep 2010 D 0.307 17.880 16.680 2010/09/27 80,000,000 2010/05/13
61863 UBS AG BYD Company R Bull CBBC Oct 2010 A 0.250 53.88 per 100 units 58.88 per 100 units 2010/10/25 50,000,000 2010/05/13
61864 UBS AG BYD Company R Bull CBBC Oct 2010 B 0.250 63.88 per 100 units 68.88 per 100 units 2010/10/11 50,000,000 2010/05/13
61910 UBS AG China Mobile R Bull CBBC Nov 2010 B 0.250 70.88 per 100 units 74.88 per 100 units 2010/11/08 100,000,000 2010/05/13
61865 UBS AG Sinopec Corp R Bull CBBC Oct 2010 B 0.250 5.080 5.480 2010/10/11 50,000,000 2010/05/13
61912 UBS AG HSCEI R Bear CBBC Oct 2010 F 0.250 12,500 per 20,000 units 12,000 per 20,000 units 2010/10/28 100,000,000 2010/05/13
61869 UBS AG HSI R Bull CBBC Sep 2010 J 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 200,000,000 2010/05/13
61911 UBS AG HSI R Bull CBBC Nov 2010 U 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 200,000,000 2010/05/13
61929 UBS AG HSI R Bear CBBC Nov 2010 V 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/05/13
61930 UBS AG HSI R Bear CBBC Nov 2010 W 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 200,000,000 2010/05/13
61862 UBS AG TCH R Bull CBBC Oct 2010 A 0.250 135.88 per 100 units 143.88 per 100 units 2010/10/25 100,000,000 2010/05/13
61866 UBS AG TCH R Bear CBBC Oct 2010 B 0.250 171.88 per 100 units 163.88 per 100 units 2010/10/18 100,000,000 2010/05/13
61867 UBS AG TCH R Bear CBBC Nov 2010 A 0.250 176.88 per 100 units 168.88 per 100 units 2010/11/01 100,000,000 2010/05/13
61868 UBS AG TCH R Bear CBBC Nov 2010 B 0.250 181.88 per 100 units 173.88 per 100 units 2010/11/08 100,000,000 2010/05/13
61945 Barclays Bank plc HSI R Bull CBBC Aug 2010 F 0.158 18,600 per 10,000 units 19,100 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61946 Barclays Bank plc HSI R Bull CBBC Nov 2010 F 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/11/29 300,000,000 2010/05/14
61947 Barclays Bank plc HSI R Bull CBBC Nov 2010 G 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 300,000,000 2010/05/14
61948 Barclays Bank plc HSI R Bull CBBC Nov 2010 H 0.250 19,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 300,000,000 2010/05/14
61949 Barclays Bank plc HSI R Bear CBBC Aug 2010 G 0.157 21,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61950 Barclays Bank plc HSI R Bear CBBC Aug 2010 H 0.158 21,800 per 12,000 units 21,300 per 12,000 units 2010/08/30 300,000,000 2010/05/14
61951 Barclays Bank plc HSI R Bear CBBC Sep 2010 M 0.158 21,600 per 12,000 units 21,100 per 12,000 units 2010/09/29 300,000,000 2010/05/14
61952 Barclays Bank plc HSI R Bear CBBC Sep 2010 N 0.160 21,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 300,000,000 2010/05/14
61953 Barclays Bank plc HSI R Bear CBBC Nov 2010 I 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/11/29 300,000,000 2010/05/14
61954 Barclays Bank plc HSI R Bear CBBC Nov 2010 J 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/11/29 300,000,000 2010/05/14
61955 BOCI Asia Ltd. HSI R Bear CBBC Aug 2010 E 0.250 21,700 per 15,000 units 21,200 per 15,000 units 2010/08/30 100,000,000 2010/05/14
61956 BOCI Asia Ltd. HSI R Bear CBBC Aug 2010 F 0.250 22,300 per 15,000 units 21,800 per 15,000 units 2010/08/30 100,000,000 2010/05/14
62005 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2010 E 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/10/28 100,000,000 2010/05/14
62006 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 D 0.250 20,800 per 12,000 units 20,300 per 12,000 units 2010/11/29 100,000,000 2010/05/14
62007 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 E 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/11/29 100,000,000 2010/05/14
61970 Credit Suisse AG China Mobile R Bull CBBC Nov 2010 A 0.250 50 per 100 units 55 per 100 units 2010/11/22 100,000,000 2010/05/14
61969 Credit Suisse AG China Mobile R Bear CBBC Aug 2010 B 0.250 83 per 100 units 78 per 100 units 2010/08/30 100,000,000 2010/05/14
61972 Credit Suisse AG HSBC R Bull CBBC Dec 2010 A 0.250 50 per 100 units 55 per 100 units 2010/12/13 100,000,000 2010/05/14
61971 Credit Suisse AG HSBC R Bear CBBC Aug 2010 A 0.250 83 per 100 units 78 per 100 units 2010/08/30 100,000,000 2010/05/14
61961 Credit Suisse AG HSI R Bull CBBC Sep 2010 U 0.250 19,600 per 22,000 units 20,100 per 22,000 units 2010/09/29 220,000,000 2010/05/14
61962 Credit Suisse AG HSI R Bull CBBC Oct 2010 M 0.250 17,300 per 22,000 units 17,800 per 22,000 units 2010/10/28 220,000,000 2010/05/14
61963 Credit Suisse AG HSI R Bull CBBC Nov 2010 K 0.250 15,000 per 22,000 units 15,500 per 22,000 units 2010/11/29 220,000,000 2010/05/14
61965 Credit Suisse AG HSI R Bull CBBC Nov 2010 L 0.250 16,800 per 22,000 units 17,300 per 22,000 units 2010/11/29 220,000,000 2010/05/14
61966 Credit Suisse AG HSI R Bull CBBC Dec 2010 K 0.260 14,500 per 22,000 units 15,000 per 22,000 units 2010/12/30 220,000,000 2010/05/14
61967 Credit Suisse AG HSI R Bull CBBC Dec 2010 L 0.250 15,500 per 22,000 units 16,000 per 22,000 units 2010/12/30 220,000,000 2010/05/14
61960 Credit Suisse AG HSI R Bear CBBC Aug 2010 M 0.250 20,800 per 22,000 units 20,300 per 22,000 units 2010/08/30 220,000,000 2010/05/14
61968 Credit Suisse AG HSI R Bear CBBC Aug 2010 N 0.250 20,500 per 22,000 units 20,000 per 22,000 units 2010/08/30 220,000,000 2010/05/14
61957 Deutsche Bank AG HSI R Bull CBBC Sep 2010 R 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 300,000,000 2010/05/14
61985 Deutsche Bank AG HSI R Bull CBBC Oct 2010 X 0.270 19,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/05/14
61986 Deutsche Bank AG HSI R Bear CBBC Sep 2010 S 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/09/29 300,000,000 2010/05/14
61987 Deutsche Bank AG HSI R Bear CBBC Nov 2010 L 0.260 20,800 per 15,000 units 20,300 per 15,000 units 2010/11/29 300,000,000 2010/05/14
61973 HK Bank A50 R Bull CBBC Oct 2010 B 0.250 10.500 10.880 2010/10/22 150,000,000 2010/05/14
61974 HK Bank A50 R Bull CBBC Oct 2010 C 0.250 9.900 10.280 2010/10/22 150,000,000 2010/05/14
61978 HK Bank A50 R Bear CBBC Oct 2010 D 0.250 12.780 12.380 2010/10/22 100,000,000 2010/05/14
61975 HK Bank HSI R Bull CBBC Nov 2010 A 0.250 16,600 per 15,000 units 17,100 per 15,000 units 2010/11/29 150,000,000 2010/05/14
61976 HK Bank HSI R Bull CBBC Nov 2010 B 0.310 16,900 per 10,000 units 17,300 per 10,000 units 2010/11/29 120,000,000 2010/05/14
61977 HK Bank HSI R Bull CBBC Nov 2010 C 0.250 17,100 per 12,000 units 17,500 per 12,000 units 2010/11/29 120,000,000 2010/05/14
61979 HK Bank HSI R Bear CBBC Oct 2010 I 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 100,000,000 2010/05/14
61980 HK Bank HSI R Bear CBBC Oct 2010 J 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/10/28 120,000,000 2010/05/14
62002 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 U 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/09/29 128,000,000 2010/05/14
62003 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 A 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/10/28 200,000,000 2010/05/14
62004 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 B 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 200,000,000 2010/05/14
61981 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10D 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/08/30 300,000,000 2010/05/14
61933 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10R 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/08/30 300,000,000 2010/05/14
61982 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10T 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61939 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10U 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61938 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Y 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/08/30 300,000,000 2010/05/14
61984 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10B 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/08/30 300,000,000 2010/05/14
61983 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10C 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61944 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10Q 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/08/30 300,000,000 2010/05/14
61943 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10S 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/05/14
61995 UBS AG China Mobile R Bear CBBC Nov 2010 C 0.250 82.88 per 100 units 78.88 per 100 units 2010/11/15 100,000,000 2010/05/14
61988 UBS AG China Life R Bull CBBC Dec 2010 B 0.530 28.880 29.880 2010/12/06 100,000,000 2010/05/14
61994 UBS AG China Life R Bear CBBC Oct 2010 H 0.250 35.880 34.880 2010/10/28 100,000,000 2010/05/14
61998 UBS AG A50 China R Bear CBBC Nov 2010 C 0.250 12.780 12.380 2010/11/08 100,000,000 2010/05/14
61989 UBS AG HKEx R Bull CBBC Nov 2010 C 0.250 102.88 per 100 units 108.88 per 100 units 2010/11/29 100,000,000 2010/05/14
61996 UBS AG HKEx R Bear CBBC Nov 2010 D 0.250 134.88 per 100 units 128.88 per 100 units 2010/11/22 100,000,000 2010/05/14
61991 UBS AG HSBC R Bull CBBC Nov 2010 B 0.250 63.88 per 100 units 68.88 per 100 units 2010/11/15 100,000,000 2010/05/14
61997 UBS AG HSBC R Bear CBBC Oct 2010 B 0.250 83.88 per 100 units 78.88 per 100 units 2010/10/18 100,000,000 2010/05/14
61958 UBS AG HSI R Bull CBBC Aug 2010 I 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 200,000,000 2010/05/14
61959 UBS AG HSI R Bull CBBC Oct 2010 Y 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 200,000,000 2010/05/14
61999 UBS AG HSI R Bear CBBC Sep 2010 M 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 200,000,000 2010/05/14
62000 UBS AG HSI R Bear CBBC Nov 2010 X 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 200,000,000 2010/05/14
62001 UBS AG HSI R Bear CBBC Dec 2010 K 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 200,000,000 2010/05/14
61992 UBS AG TCH R Bull CBBC Oct 2010 C 0.250 140.88 per 100 units 148.88 per 100 units 2010/10/25 100,000,000 2010/05/14
61993 UBS AG TCH R Bull CBBC Nov 2010 C 0.250 130.88 per 100 units 138.88 per 100 units 2010/11/01 100,000,000 2010/05/14
62018 Credit Suisse AG HSI R Bull CBBC Sep 2010 V 0.250 19,300 per 22,000 units 19,800 per 22,000 units 2010/09/29 220,000,000 2010/05/17
62019 Credit Suisse AG HSI R Bull CBBC Sep 2010 W 0.250 19,900 per 22,000 units 20,400 per 22,000 units 2010/09/29 220,000,000 2010/05/17
62017 Credit Suisse AG HSI R Bear CBBC Aug 2010 I 0.250 21,100 per 22,000 units 20,600 per 22,000 units 2010/08/30 220,000,000 2010/05/17
62027 Deutsche Bank AG HSI R Bull CBBC Sep 2010 H 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/09/29 300,000,000 2010/05/17
62013 Deutsche Bank AG HSI R Bull CBBC Nov 2010 M 0.280 18,100 per 10,000 units 18,600 per 10,000 units 2010/11/29 300,000,000 2010/05/17
62014 Deutsche Bank AG HSI R Bull CBBC Nov 2010 N 0.250 18,400 per 10,000 units 18,900 per 10,000 units 2010/11/29 300,000,000 2010/05/17
62015 Deutsche Bank AG HSI R Bull CBBC Dec 2010 E 0.350 17,400 per 10,000 units 17,900 per 10,000 units 2010/12/30 300,000,000 2010/05/17
62016 Deutsche Bank AG HSI R Bull CBBC Dec 2010 F 0.320 17,700 per 10,000 units 18,200 per 10,000 units 2010/12/30 300,000,000 2010/05/17
62031 Deutsche Bank AG HSI R Bear CBBC Sep 2010 V 0.260 21,000 per 12,000 units 20,500 per 12,000 units 2010/09/29 300,000,000 2010/05/17
62009 Deutsche Bank AG HSI R Bear CBBC Oct 2010 Y 0.250 20,600 per 12,000 units 20,100 per 12,000 units 2010/10/28 300,000,000 2010/05/17
62028 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 C 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/10/28 200,000,000 2010/05/17
62029 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 D 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/10/28 200,000,000 2010/05/17
62020 UBS AG Cheung Kong R Bull CBBC Dec 2010 A 0.250 80.88 per 100 units 88.88 per 100 units 2010/12/06 50,000,000 2010/05/17
62021 UBS AG China Life R Bull CBBC Oct 2010 I 0.250 32.880 33.880 2010/10/28 100,000,000 2010/05/17
62022 UBS AG China Shenhua R Bull CBBC Dec 2010 A 0.250 26.88 per 100 units 28.88 per 100 units 2010/12/13 50,000,000 2010/05/17
62024 UBS AG HSBC R Bear CBBC Dec 2010 C 0.250 93.88 per 100 units 88.88 per 100 units 2010/12/06 100,000,000 2010/05/17
62025 UBS AG HSI R Bull CBBC Sep 2010 U 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/09/29 200,000,000 2010/05/17
62026 UBS AG HSI R Bull CBBC Oct 2010 K 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/10/28 200,000,000 2010/05/17
62010 UBS AG HSI R Bear CBBC Aug 2010 H 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/08/30 200,000,000 2010/05/17
62011 UBS AG HSI R Bear CBBC Sep 2010 S 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 200,000,000 2010/05/17
62012 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2010/11/29 300,000,000 2010/05/17
62023 UBS AG Hutchison R Bull CBBC Nov 2010 B 0.250 43.88 per 100 units 48.88 per 100 units 2010/11/29 50,000,000 2010/05/17
62038 Credit Suisse AG HSI R Bull CBBC Sep 2010 X 0.250 19,400 per 22,000 units 19,900 per 22,000 units 2010/09/29 220,000,000 2010/05/18
62037 Credit Suisse AG HSI R Bear CBBC Aug 2010 O 0.250 21,200 per 22,000 units 20,700 per 22,000 units 2010/08/30 220,000,000 2010/05/18
62034 Deutsche Bank AG HSI R Bull CBBC Oct 2010 Z 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 300,000,000 2010/05/18
62039 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Sep 10D 0.250 11.080 11.580 2010/09/15 88,000,000 2010/05/18
62040 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Oct 10A 0.250 10.480 10.980 2010/10/18 88,000,000 2010/05/18
62043 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Sep 10E 0.250 13.280 12.780 2010/09/10 88,000,000 2010/05/18
62044 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Oct 10B 0.250 13.780 13.280 2010/10/15 88,000,000 2010/05/18
62035 UBS AG HSCEI R Bull CBBC Nov 2010 B 0.250 10,500 per 20,000 units 11,000 per 20,000 units 2010/11/29 100,000,000 2010/05/18
62036 UBS AG HSCEI R Bull CBBC Dec 2010 A 0.250 10,000 per 20,000 units 10,500 per 20,000 units 2010/12/30 100,000,000 2010/05/18
62030 UBS AG HSI R Bull CBBC Sep 2010 Q 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 200,000,000 2010/05/18
62032 UBS AG HSI R Bull CBBC Nov 2010 Z 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 200,000,000 2010/05/18
62057 Credit Suisse AG HSI R Bull CBBC Sep 2010 Y 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/09/29 195,000,000 2010/05/19
62056 Credit Suisse AG HSI R Bear CBBC Aug 2010 R 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/08/30 195,000,000 2010/05/19
62052 HK Bank Sinopec Corp R Bull CBBC Dec 2010 A 0.250 4.900 5.280 2010/12/30 150,000,000 2010/05/19
62053 HK Bank Sinopec Corp R Bull CBBC Jan 2011 A 0.250 4.780 5.080 2011/01/28 150,000,000 2010/05/19
62054 HK Bank Sinopec Corp R Bear CBBC Oct 2010 C 0.250 7.500 7.180 2010/10/28 100,000,000 2010/05/19
62055 HK Bank Sinopec Corp R Bear CBBC Nov 2010 A 0.250 6.900 6.580 2010/11/11 100,000,000 2010/05/19
62041 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Sep10A 0.300 9.000 9.500 2010/09/29 150,000,000 2010/05/19
62042 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Sep10B 0.250 9.500 10.000 2010/09/29 150,000,000 2010/05/19
62045 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Sep10C 0.250 10.000 10.500 2010/09/29 150,000,000 2010/05/19
62049 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Sep10D 0.250 13.500 13.000 2010/09/29 150,000,000 2010/05/19
62050 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Sep10E 0.250 14.000 13.500 2010/09/29 150,000,000 2010/05/19
62051 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Sep10F 0.260 14.500 14.000 2010/09/29 150,000,000 2010/05/19
62046 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Sep10C 0.250 12,500 per 12,000 units 12,000 per 12,000 units 2010/09/29 200,000,000 2010/05/19
62047 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Sep10D 0.250 13,000 per 12,000 units 12,500 per 12,000 units 2010/09/29 200,000,000 2010/05/19
62048 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Sep10E 0.250 13,500 per 12,000 units 13,000 per 12,000 units 2010/09/29 200,000,000 2010/05/19
62058 UBS AG BankComm R Bull CBBC Dec 2010 A 0.250 6.280 6.880 2010/12/06 50,000,000 2010/05/19
62060 UBS AG COVS R Bull CBBC Nov 2010 A 0.250 12.380 13.380 2010/11/29 50,000,000 2010/05/19
62066 UBS AG COVS R Bear CBBC Nov 2010 B 0.265 16.880 15.880 2010/11/29 50,000,000 2010/05/19
62059 UBS AG Cheung Kong R Bull CBBC Dec 2010 B 0.250 75.88 per 100 units 83.88 per 100 units 2010/12/13 50,000,000 2010/05/19
62061 UBS AG CNOOC R Bull CBBC Dec 2010 C 0.250 10.580 11.380 2010/12/06 50,000,000 2010/05/19
62062 UBS AG HSBC R Bull CBBC Oct 2010 C 0.250 68.88 per 100 units 73.88 per 100 units 2010/10/18 100,000,000 2010/05/19
62063 UBS AG HSBC R Bull CBBC Nov 2010 C 0.250 66.38 per 100 units 71.38 per 100 units 2010/11/08 100,000,000 2010/05/19
62064 UBS AG Hutchison R Bull CBBC Dec 2010 A 0.250 38.88 per 100 units 43.88 per 100 units 2010/12/06 50,000,000 2010/05/19
62065 UBS AG Ping An R Bull CBBC Nov 2010 A 0.250 47.88 per 100 units 53.88 per 100 units 2010/11/29 50,000,000 2010/05/19
62078 Credit Suisse AG A50 China R Bull CBBC Sep 2010 E 0.250 11.600 12.000 2010/09/27 100,000,000 2010/05/20
62077 Credit Suisse AG HSI R Bull CBBC Sep 2010 Z 0.250 19,800 per 22,000 units 20,300 per 22,000 units 2010/09/29 220,000,000 2010/05/20
62076 Credit Suisse AG HSI R Bear CBBC Aug 2010 S 0.250 21,000 per 13,000 units 20,500 per 13,000 units 2010/08/30 195,000,000 2010/05/20
62070 Deutsche Bank AG A50 China R Bull CBBC Oct 2010 B 0.250 11.180 11.680 2010/10/25 150,000,000 2010/05/20
62071 Deutsche Bank AG A50 China R Bull CBBC Nov 2010 A 0.300 10.180 10.680 2010/11/01 150,000,000 2010/05/20
62069 Deutsche Bank AG HSI R Bull CBBC Oct 2010 G 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 300,000,000 2010/05/20
62068 Deutsche Bank AG HSI R Bear CBBC Oct 2010 F 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/10/28 300,000,000 2010/05/20
62074 UBS AG A50 China R Bull CBBC Nov 2010 D 0.250 11.480 11.880 2010/11/08 100,000,000 2010/05/20
62072 UBS AG HSBC R Bear CBBC Sep 2010 C 0.250 85.88 per 100 units 80.88 per 100 units 2010/09/20 100,000,000 2010/05/20
62067 UBS AG HSI R Bear CBBC Aug 2010 R 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/08/30 200,000,000 2010/05/20
62075 UBS AG HSI R Bear CBBC Sep 2010 O 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/09/29 200,000,000 2010/05/20
62073 UBS AG TCH R Bull CBBC Nov 2010 D 0.250 145.88 per 100 units 153.88 per 100 units 2010/11/01 100,000,000 2010/05/20
69298 # Credit Suisse AG HSI R Bull CBBC Jul 2010 E 0.069 18,600 per 15,000 units 19,100 per 15,000 units 2010/07/29 210,000,000 2010/05/20
62091 Deutsche Bank AG HSI R Bull CBBC Sep 2010 Z 0.260 19,000 per 10,000 units 19,500 per 10,000 units 2010/09/29 300,000,000 2010/05/24
62082 Deutsche Bank AG HSI R Bull CBBC Nov 2010 O 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/05/24
62092 Deutsche Bank AG HSI R Bear CBBC Nov 2010 P 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/05/24
62088 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 V 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/09/29 128,000,000 2010/05/24
62089 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 E 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 200,000,000 2010/05/24
62080 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10A 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/08/30 300,000,000 2010/05/24
62081 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10Z 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/08/30 300,000,000 2010/05/24
62079 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Q 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 300,000,000 2010/05/24
62085 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10N 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/09/29 300,000,000 2010/05/24
62083 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10Y 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/09/29 300,000,000 2010/05/24
62086 UBS AG CM Bank R Bull CBBC Nov 2010 A 0.325 14.880 16.880 2010/11/01 50,000,000 2010/05/24
62084 UBS AG HSI R Bull CBBC Aug 2010 M 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/08/30 200,000,000 2010/05/24
62087 UBS AG HSI R Bear CBBC Sep 2010 I 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 200,000,000 2010/05/24
62099 Credit Suisse AG HSI R Bull CBBC Sep 2010 D 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/09/29 195,000,000 2010/05/25
62100 Credit Suisse AG HSI R Bull CBBC Sep 2010 G 0.250 19,600 per 22,000 units 20,100 per 22,000 units 2010/09/29 220,000,000 2010/05/25
62126 Credit Suisse AG HSI R Bear CBBC Aug 2010 Q 0.250 20,200 per 22,000 units 19,700 per 22,000 units 2010/08/30 220,000,000 2010/05/25
62127 Credit Suisse AG HSI R Bear CBBC Aug 2010 T 0.250 20,800 per 22,000 units 20,300 per 22,000 units 2010/08/30 220,000,000 2010/05/25
62097 Deutsche Bank AG HSI R Bull CBBC Sep 2010 X 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 300,000,000 2010/05/25
62098 Deutsche Bank AG HSI R Bull CBBC Oct 2010 H 0.260 19,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/05/25
62123 Deutsche Bank AG HSI R Bull CBBC Nov 2010 S 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/11/29 300,000,000 2010/05/25
62124 Deutsche Bank AG HSI R Bull CBBC Dec 2010 G 0.250 17,900 per 40,000 units 18,500 per 40,000 units 2010/12/30 300,000,000 2010/05/25
62101 Deutsche Bank AG HSI R Bear CBBC Nov 2010 Q 0.250 20,200 per 12,000 units 19,700 per 12,000 units 2010/11/29 300,000,000 2010/05/25
62102 Deutsche Bank AG HSI R Bear CBBC Nov 2010 R 0.270 20,400 per 12,000 units 19,900 per 12,000 units 2010/11/29 300,000,000 2010/05/25
62117 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Sep 2010 B 0.250 85 per 100 units 80 per 100 units 2010/09/09 128,000,000 2010/05/25
62118 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 Q 0.250 17,600 per 10,000 units 18,100 per 10,000 units 2010/10/28 128,000,000 2010/05/25
62119 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 R 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/10/28 180,000,000 2010/05/25
62120 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 D 0.250 17,700 per 15,000 units 18,200 per 15,000 units 2010/11/29 180,000,000 2010/05/25
62121 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 W 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/09/29 128,000,000 2010/05/25
62122 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 X 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 128,000,000 2010/05/25
62108 Macquarie Bank Ltd. HSI R Bear CBBC Sep 2010 A 0.252 21,500 per 12,000 units 21,000 per 12,000 units 2010/09/29 200,000,000 2010/05/25
62125 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 G 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 200,000,000 2010/05/25
62129 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 H 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 200,000,000 2010/05/25
62130 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 I 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 200,000,000 2010/05/25
62109 RB of Scotland N.V. HSI R Bear CBBC Sep 2010 M 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 250,000,000 2010/05/25
62106 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10B 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 300,000,000 2010/05/25
62105 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10C 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/08/30 300,000,000 2010/05/25
62104 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10Q 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/08/30 300,000,000 2010/05/25
62103 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10S 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/08/30 300,000,000 2010/05/25
62107 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Aug10Y 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/08/30 300,000,000 2010/05/25
62094 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10L 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/09/29 300,000,000 2010/05/25
62093 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10M 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 300,000,000 2010/05/25
62110 UBS AG BOCL R Bull CBBC Nov 2010 A 0.250 3.180 3.680 2010/11/29 50,000,000 2010/05/25
62113 UBS AG A50 China R Bear CBBC Nov 2010 E 0.250 12.780 12.380 2010/11/15 100,000,000 2010/05/25
62095 UBS AG HSI R Bull CBBC Sep 2010 Y 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/09/29 200,000,000 2010/05/25
62096 UBS AG HSI R Bull CBBC Dec 2010 L 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/12/30 200,000,000 2010/05/25
62114 UBS AG HSI R Bear CBBC Aug 2010 C 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/08/30 200,000,000 2010/05/25
62115 UBS AG HSI R Bear CBBC Sep 2010 M 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/09/29 200,000,000 2010/05/25
62112 UBS AG Ping An R Bear CBBC Nov 2010 B 0.250 79.88 per 100 units 73.88 per 100 units 2010/11/22 50,000,000 2010/05/25
62111 UBS AG SHK Ppt R Bull CBBC Dec 2010 A 0.250 85.88 per 100 units 93.88 per 100 units 2010/12/06 50,000,000 2010/05/25
62132 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 F 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/11/29 100,000,000 2010/05/26
62133 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 C 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/12/30 100,000,000 2010/05/26
62145 Credit Suisse AG HSI R Bull CBBC Sep 2010 E 0.250 19,300 per 22,000 units 19,800 per 22,000 units 2010/09/29 220,000,000 2010/05/26
62144 Credit Suisse AG HSI R Bear CBBC Aug 2010 P 0.250 20,500 per 13,000 units 20,000 per 13,000 units 2010/08/30 195,000,000 2010/05/26
62134 Deutsche Bank AG HSI R Bear CBBC Oct 2010 E 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/05/26
62146 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 S 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/10/28 128,000,000 2010/05/26
62128 Macquarie Bank Ltd. HSI R Bull CBBC Sep 2010 B 0.250 18,200 per 12,000 units 18,800 per 12,000 units 2010/09/29 300,000,000 2010/05/26
62131 Macquarie Bank Ltd. HSI R Bull CBBC Nov 2010 A 0.251 19,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 200,000,000 2010/05/26
62147 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 J 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 200,000,000 2010/05/26
62138 UBS AG BYD Company R Bull CBBC Nov 2010 A 0.250 43.88 per 100 units 48.88 per 100 units 2010/11/22 100,000,000 2010/05/26
62139 UBS AG BYD Company R Bull CBBC Nov 2010 B 0.250 48.88 per 100 units 53.88 per 100 units 2010/11/08 100,000,000 2010/05/26
62140 UBS AG China Mobile R Bull CBBC Nov 2010 D 0.250 60.88 per 100 units 64.88 per 100 units 2010/11/29 100,000,000 2010/05/26
62142 UBS AG HSI R Bull CBBC Aug 2010 P 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/08/30 200,000,000 2010/05/26
62135 UBS AG HSI R Bull CBBC Nov 2010 B 0.250 18,400 per 10,000 units 18,900 per 10,000 units 2010/11/29 200,000,000 2010/05/26
62143 UBS AG HSI R Bull CBBC Nov 2010 E 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 200,000,000 2010/05/26
62136 UBS AG HSI R Bull CBBC Dec 2010 M 0.250 18,000 per 10,000 units 18,500 per 10,000 units 2010/12/30 200,000,000 2010/05/26
62137 UBS AG HSI R Bull CBBC Feb 2011 A 0.250 17,300 per 38,000 units 17,800 per 38,000 units 2011/02/25 300,000,000 2010/05/26
62141 UBS AG HSI R Bear CBBC Nov 2010 F 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 200,000,000 2010/05/26
62148 BOCI Asia Ltd. HSI R Bull CBBC Sep 2010 A 0.250 18,100 per 15,000 units 18,600 per 15,000 units 2010/09/29 100,000,000 2010/05/27
62153 Credit Suisse AG A50 China R Bull CBBC Jan 2011 A 0.250 10.960 11.360 2011/01/24 100,000,000 2010/05/27
62163 Credit Suisse AG A50 China R Bear CBBC Sep 2010 F 0.250 12.700 12.300 2010/09/27 100,000,000 2010/05/27
62162 Credit Suisse AG HSI R Bear CBBC Aug 2010 H 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/08/30 195,000,000 2010/05/27
62157 Deutsche Bank AG HSI R Bull CBBC Oct 2010 D 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/10/28 300,000,000 2010/05/27
62158 Deutsche Bank AG HSI R Bear CBBC Nov 2010 T 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 300,000,000 2010/05/27
62165 Deutsche Bank AG HSI R Bear CBBC Nov 2010 U 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 300,000,000 2010/05/27
62155 HK Bank HSI R Bear CBBC Nov 2010 D 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 150,000,000 2010/05/27
62156 HK Bank HSI R Bear CBBC Nov 2010 E 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/11/29 120,000,000 2010/05/27
62159 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 Y 0.250 20,100 per 10,000 units 19,600 per 10,000 units 2010/08/30 128,000,000 2010/05/27
62164 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 K 0.250 20,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 200,000,000 2010/05/27
62166 RB of Scotland N.V. CCHC R Bull CBBC Oct 2010 C 0.250 6.180 7.180 2010/10/18 80,000,000 2010/05/27
62167 RB of Scotland N.V. CCHC R Bull CBBC Oct 2010 D 0.250 6.880 7.880 2010/10/18 80,000,000 2010/05/27
62171 RB of Scotland N.V. CCHC R Bear CBBC Oct 2010 E 0.250 10.280 9.280 2010/10/18 80,000,000 2010/05/27
62172 RB of Scotland N.V. CCHC R Bear CBBC Oct 2010 F 0.250 10.980 9.980 2010/10/18 80,000,000 2010/05/27
62168 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 J 0.250 20,700 per 13,000 units 20,200 per 13,000 units 2010/10/28 250,000,000 2010/05/27
62152 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10D 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2010/08/30 300,000,000 2010/05/27
62151 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10R 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/08/30 300,000,000 2010/05/27
62150 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10T 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/08/30 300,000,000 2010/05/27
62149 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Aug10U 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/08/30 300,000,000 2010/05/27
62160 UBS AG HSCEI R Bear CBBC Sep 2010 E 0.250 12,300 per 12,000 units 11,800 per 12,000 units 2010/09/29 100,000,000 2010/05/27
62154 UBS AG HSI R Bull CBBC Dec 2010 N 0.250 19,300 per 38,000 units 19,800 per 38,000 units 2010/12/30 300,000,000 2010/05/27
62173 Barclays Bank plc HSI R Bull CBBC Oct 2010 A 0.155 18,300 per 10,000 units 18,800 per 10,000 units 2010/10/28 300,000,000 2010/05/28
62174 Barclays Bank plc HSI R Bull CBBC Nov 2010 L 0.250 17,900 per 12,000 units 18,400 per 12,000 units 2010/11/29 300,000,000 2010/05/28
62175 Barclays Bank plc HSI R Bull CBBC Nov 2010 M 0.250 18,100 per 12,000 units 18,600 per 12,000 units 2010/11/29 300,000,000 2010/05/28
62170 Barclays Bank plc HSI R Bear CBBC Sep 2010 O 0.153 21,100 per 12,000 units 20,600 per 12,000 units 2010/09/29 300,000,000 2010/05/28
62169 Barclays Bank plc HSI R Bear CBBC Nov 2010 K 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/11/29 300,000,000 2010/05/28
62179 Credit Suisse AG HSI R Bull CBBC Oct 2010 N 0.250 19,000 per 13,000 units 19,500 per 13,000 units 2010/10/28 195,000,000 2010/05/28
62190 Credit Suisse AG HSI R Bear CBBC Aug 2010 C 0.250 20,000 per 22,000 units 19,500 per 22,000 units 2010/08/30 220,000,000 2010/05/28
62187 Deutsche Bank AG HSI R Bull CBBC Oct 2010 K 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 300,000,000 2010/05/28
62191 Deutsche Bank AG HSI R Bear CBBC Oct 2010 J 0.250 20,000 per 12,000 units 19,500 per 12,000 units 2010/10/28 300,000,000 2010/05/28
62203 Goldman Sachs SP (Asia) HSI R Bear CBBC Nov 2010 A 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/11/29 200,000,000 2010/05/28
62204 Goldman Sachs SP (Asia) HSI R Bear CBBC Nov 2010 B 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/11/29 200,000,000 2010/05/28
62188 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 T 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2010/10/28 128,000,000 2010/05/28
62189 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 U 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/10/28 128,000,000 2010/05/28
62197 RB of Scotland N.V. BYD Company R Bull CBBC Oct 2010 A 0.250 46.08 per 100 units 51.08 per 100 units 2010/10/11 80,000,000 2010/05/28
62200 RB of Scotland N.V. BYD Company R Bear CBBC Oct 2010 B 0.250 74.12 per 100 units 69.12 per 100 units 2010/10/11 80,000,000 2010/05/28
62184 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 I 0.250 11,350 per 60,000 units 10,950 per 60,000 units 2010/09/17 40,000,000 2010/05/28
62199 RB of Scotland N.V. HSCEI R Bear CBBC Sep 2010 H 0.250 12,100 per 10,000 units 11,600 per 10,000 units 2010/09/29 250,000,000 2010/05/28
62180 RB of Scotland N.V. Nikkei 225 R Bull CBBC Sep 2010 E 0.250 9,100 per 1,000 units 9,500 per 1,000 units 2010/09/10 40,000,000 2010/05/28
62185 RB of Scotland N.V. Nikkei 225 R Bear CBBC Sep 2010 F 0.250 11,400 per 1,000 units 11,000 per 1,000 units 2010/09/10 40,000,000 2010/05/28
62186 RB of Scotland N.V. Nikkei 225 R Bear CBBC Sep 2010 G 0.250 10,900 per 1,000 units 10,500 per 1,000 units 2010/09/10 40,000,000 2010/05/28
62198 RB of Scotland N.V. TCH R Bull CBBC Oct 2010 A 0.250 131.80 per 100 units 138.80 per 100 units 2010/10/18 80,000,000 2010/05/28
62201 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 B 0.250 170.80 per 100 units 163.80 per 100 units 2010/10/18 80,000,000 2010/05/28
62202 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 C 0.271 175.80 per 100 units 168.80 per 100 units 2010/10/18 80,000,000 2010/05/28
62192 UBS AG HKEx R Bear CBBC Nov 2010 E 0.250 129.88 per 100 units 123.88 per 100 units 2010/11/15 100,000,000 2010/05/28
62176 UBS AG HSBC R Bull CBBC Nov 2010 D 0.250 58.88 per 100 units 63.88 per 100 units 2010/11/22 100,000,000 2010/05/28
62193 UBS AG HSBC R Bear CBBC Oct 2010 D 0.250 80.88 per 100 units 75.88 per 100 units 2010/10/11 100,000,000 2010/05/28
62195 UBS AG HSCEI R Bear CBBC Nov 2010 C 0.250 12,000 per 20,000 units 11,500 per 20,000 units 2010/11/29 100,000,000 2010/05/28
62196 UBS AG HSI R Bull CBBC Sep 2010 J 0.250 18,800 per 10,000 units 19,300 per 10,000 units 2010/09/29 200,000,000 2010/05/28
62177 UBS AG HSI R Bull CBBC Nov 2010 G 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/11/29 200,000,000 2010/05/28
62178 UBS AG HSI R Bear CBBC Aug 2010 D 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/08/30 200,000,000 2010/05/28
62194 UBS AG TCH R Bear CBBC Oct 2010 D 0.250 166.88 per 100 units 158.88 per 100 units 2010/10/25 100,000,000 2010/05/28
69297 # Credit Suisse AG HSI R Bull CBBC Jul 2010 D 0.068 18,200 per 15,000 units 18,700 per 15,000 units 2010/07/29 210,000,000 2010/05/28
61815 # Credit Suisse AG HSI R Bull CBBC Nov 2010 H 0.043 18,300 per 22,000 units 18,800 per 22,000 units 2010/11/29 275,000,000 2010/05/28
62210 Credit Suisse AG HSI R Bull CBBC Nov 2010 M 0.250 18,800 per 22,000 units 19,300 per 22,000 units 2010/11/29 220,000,000 2010/05/31
62219 Deutsche Bank AG China Mobile R Bull CBBC Nov 2010 A 0.250 66.68 per 100 units 70.68 per 100 units 2010/11/01 150,000,000 2010/05/31
62222 Deutsche Bank AG A50 China R Bull CBBC Nov 2010 B 0.270 10.680 11.180 2010/11/15 150,000,000 2010/05/31
62220 Deutsche Bank AG HKEx R Bear CBBC Nov 2010 A 0.270 136.18 per 100 units 130.18 per 100 units 2010/11/15 150,000,000 2010/05/31
62221 Deutsche Bank AG HSBC R Bull CBBC Dec 2010 A 0.250 58.88 per 100 units 63.88 per 100 units 2010/12/06 150,000,000 2010/05/31
62209 Deutsche Bank AG HSI R Bull CBBC Nov 2010 V 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/11/29 300,000,000 2010/05/31
62213 RB of Scotland N.V. DJIA R Bull CBBC Sep 2010 J 0.376 8,850 per 30,000 units 9,250 per 30,000 units 2010/09/17 40,000,000 2010/05/31
62214 RB of Scotland N.V. DJIA R Bull CBBC Sep 2010 K 0.311 9,100 per 30,000 units 9,500 per 30,000 units 2010/09/17 40,000,000 2010/05/31
62205 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10A 0.250 18,800 per 15,000 units 19,300 per 15,000 units 2010/10/28 300,000,000 2010/05/31
62207 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10C 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 300,000,000 2010/05/31
62208 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10K 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/09/29 300,000,000 2010/05/31
62216 UBS AG A50 China R Bull CBBC Nov 2010 F 0.250 11.480 11.880 2010/11/08 100,000,000 2010/05/31
62217 UBS AG HSI R Bull CBBC Oct 2010 K 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 200,000,000 2010/05/31
62218 UBS AG HSI R Bull CBBC Nov 2010 J 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 200,000,000 2010/05/31
62211 UBS AG HSI R Bear CBBC Oct 2010 Y 0.250 20,400 per 10,000 units 19,900 per 10,000 units 2010/10/28 200,000,000 2010/05/31
62212 UBS AG HSI R Bear CBBC Jan 2011 B 0.250 20,300 per 38,000 units 19,800 per 38,000 units 2011/01/28 300,000,000 2010/05/31
62215 UBS AG TCH R Bear CBBC Oct 2010 E 0.250 161.88 per 100 units 153.88 per 100 units 2010/10/18 100,000,000 2010/05/31
62056 # Credit Suisse AG HSI R Bear CBBC Aug 2010 R 0.106 20,600 per 15,000 units 20,100 per 15,000 units 2010/08/30 195,000,000 2010/05/31
62296 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 G 0.250 16,700 per 11,000 units 17,200 per 11,000 units 2010/11/29 200,000,000 2010/06/01
62298 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 H 0.250 17,500 per 10,000 units 18,000 per 10,000 units 2010/11/29 200,000,000 2010/06/01
62299 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2010 D 0.250 17,100 per 10,000 units 17,600 per 10,000 units 2010/12/30 200,000,000 2010/06/01
62300 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 I 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/11/29 100,000,000 2010/06/01
62301 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 E 0.250 19,900 per 11,000 units 19,400 per 11,000 units 2010/12/30 100,000,000 2010/06/01
62238 Credit Suisse AG HSI R Bull CBBC Oct 2010 O 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/10/28 195,000,000 2010/06/01
62233 Credit Suisse AG HSI R Bear CBBC Sep 2010 I 0.250 19,500 per 22,000 units 19,000 per 22,000 units 2010/09/29 220,000,000 2010/06/01
62285 Deutsche Bank AG HSI R Bull CBBC Sep 2010 Y 0.250 17,600 per 12,000 units 18,100 per 12,000 units 2010/09/29 300,000,000 2010/06/01
62232 Deutsche Bank AG HSI R Bull CBBC Nov 2010 W 0.250 18,800 per 10,000 units 19,300 per 10,000 units 2010/11/29 300,000,000 2010/06/01
62240 Deutsche Bank AG HSI R Bull CBBC Nov 2010 Y 0.250 18,600 per 12,000 units 19,100 per 12,000 units 2010/11/29 300,000,000 2010/06/01
62286 Deutsche Bank AG HSI R Bull CBBC Nov 2010 Z 0.330 17,000 per 10,000 units 17,500 per 10,000 units 2010/11/29 300,000,000 2010/06/01
62287 Deutsche Bank AG HSI R Bull CBBC Dec 2010 H 0.400 15,500 per 12,000 units 16,000 per 12,000 units 2010/12/30 300,000,000 2010/06/01
62288 Deutsche Bank AG HSI R Bull CBBC Dec 2010 I 0.270 17,200 per 12,000 units 17,700 per 12,000 units 2010/12/30 300,000,000 2010/06/01
62289 Deutsche Bank AG HSI R Bear CBBC Oct 2010 A 0.250 19,500 per 12,000 units 19,000 per 12,000 units 2010/10/28 300,000,000 2010/06/01
62235 Deutsche Bank AG HSI R Bear CBBC Oct 2010 N 0.250 19,700 per 12,000 units 19,200 per 12,000 units 2010/10/28 300,000,000 2010/06/01
62236 Deutsche Bank AG HSI R Bear CBBC Nov 2010 X 0.270 19,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 300,000,000 2010/06/01
62290 Goldman Sachs SP (Asia) HSI R Bull CBBC Nov 2010 C 0.250 16,200 per 12,000 units 16,700 per 12,000 units 2010/11/29 200,000,000 2010/06/01
62291 Goldman Sachs SP (Asia) HSI R Bear CBBC Nov 2010 D 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 200,000,000 2010/06/01
62292 Goldman Sachs SP (Asia) HSI R Bear CBBC Nov 2010 E 0.250 20,200 per 15,000 units 19,700 per 15,000 units 2010/11/29 200,000,000 2010/06/01
62293 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 Y 0.250 17,100 per 10,000 units 17,600 per 10,000 units 2010/09/29 128,000,000 2010/06/01
62239 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 V 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2010/10/28 128,000,000 2010/06/01
62297 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 Z 0.250 19,700 per 10,000 units 19,200 per 10,000 units 2010/09/29 128,000,000 2010/06/01
62294 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 W 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 128,000,000 2010/06/01
62295 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 X 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/10/28 158,000,000 2010/06/01
62234 Macquarie Bank Ltd. HSI R Bear CBBC Oct 2010 B 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/10/28 200,000,000 2010/06/01
62241 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 L 0.250 16,700 per 10,000 units 17,200 per 10,000 units 2010/10/28 200,000,000 2010/06/01
62242 CC Rabobank B.A. HSI R Bull CBBC Oct 2010 M 0.250 16,900 per 12,000 units 17,400 per 12,000 units 2010/10/28 200,000,000 2010/06/01
62246 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 N 0.250 19,500 per 12,000 units 19,000 per 12,000 units 2010/10/28 200,000,000 2010/06/01
62247 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 O 0.250 19,700 per 10,000 units 19,200 per 10,000 units 2010/10/28 200,000,000 2010/06/01
62248 CC Rabobank B.A. HSI R Bear CBBC Oct 2010 P 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 200,000,000 2010/06/01
62223 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 L 0.299 10,750 per 20,000 units 10,350 per 20,000 units 2010/09/17 40,000,000 2010/06/01
62224 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 M 0.378 10,950 per 20,000 units 10,550 per 20,000 units 2010/09/17 40,000,000 2010/06/01
62225 RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 N 0.304 11,150 per 30,000 units 10,750 per 30,000 units 2010/09/17 40,000,000 2010/06/01
62274 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 K 0.250 17,300 per 13,000 units 17,800 per 13,000 units 2010/10/28 250,000,000 2010/06/01
62275 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 L 0.251 17,500 per 10,000 units 18,000 per 10,000 units 2010/10/28 250,000,000 2010/06/01
62276 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 M 0.250 17,700 per 13,000 units 18,200 per 13,000 units 2010/10/28 250,000,000 2010/06/01
62279 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 N 0.251 20,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 250,000,000 2010/06/01
62280 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 O 0.251 20,300 per 13,000 units 19,800 per 13,000 units 2010/10/28 250,000,000 2010/06/01
62281 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 P 0.251 20,500 per 13,000 units 20,000 per 13,000 units 2010/10/28 250,000,000 2010/06/01
62278 RB of Scotland N.V. Nikkei 225 R Bull CBBC Sep 2010 H 0.250 8,600 per 1,000 units 9,000 per 1,000 units 2010/09/10 40,000,000 2010/06/01
62284 RB of Scotland N.V. Nikkei 225 R Bear CBBC Sep 2010 I 0.251 10,400 per 1,000 units 10,000 per 1,000 units 2010/09/10 40,000,000 2010/06/01
62277 RB of Scotland N.V. TCH R Bull CBBC Oct 2010 D 0.254 126.80 per 100 units 133.80 per 100 units 2010/10/18 80,000,000 2010/06/01
62282 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 E 0.252 160.80 per 100 units 153.80 per 100 units 2010/10/18 80,000,000 2010/06/01
62283 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 F 0.251 165.80 per 100 units 158.80 per 100 units 2010/10/18 80,000,000 2010/06/01
62243 UBS AG China Mobile R Bull CBBC Dec 2010 A 0.250 56.88 per 100 units 60.88 per 100 units 2010/12/13 100,000,000 2010/06/01
62261 UBS AG China Mobile R Bear CBBC Nov 2010 E 0.250 80.88 per 100 units 76.88 per 100 units 2010/11/29 100,000,000 2010/06/01
62260 UBS AG China Life R Bear CBBC Oct 2010 J 0.250 34.880 33.880 2010/10/25 100,000,000 2010/06/01
62244 UBS AG Sinopec Corp R Bull CBBC Nov 2010 A 0.250 4.980 5.380 2010/11/08 100,000,000 2010/06/01
62254 UBS AG A50 China R Bull CBBC Nov 2010 G 0.250 10.480 10.880 2010/11/29 100,000,000 2010/06/01
62245 UBS AG HKEx R Bull CBBC Dec 2010 A 0.250 92.88 per 100 units 98.88 per 100 units 2010/12/13 100,000,000 2010/06/01
62249 UBS AG HKEx R Bull CBBC Dec 2010 B 0.250 97.88 per 100 units 103.88 per 100 units 2010/12/06 100,000,000 2010/06/01
62250 UBS AG HSBC R Bull CBBC Dec 2010 D 0.250 48.88 per 100 units 53.88 per 100 units 2010/12/13 100,000,000 2010/06/01
62262 UBS AG HSBC R Bear CBBC Nov 2010 E 0.250 78.88 per 100 units 73.88 per 100 units 2010/11/01 100,000,000 2010/06/01
62255 UBS AG HSCEI R Bull CBBC Oct 2010 G 0.250 9,800 per 12,000 units 10,300 per 12,000 units 2010/10/28 100,000,000 2010/06/01
62256 UBS AG HSCEI R Bull CBBC Nov 2010 D 0.250 9,300 per 12,000 units 9,800 per 12,000 units 2010/11/29 100,000,000 2010/06/01
62257 UBS AG HSCEI R Bull CBBC Dec 2010 B 0.250 9,000 per 20,000 units 9,500 per 20,000 units 2010/12/30 100,000,000 2010/06/01
62265 UBS AG HSCEI R Bear CBBC Oct 2010 H 0.250 11,800 per 12,000 units 11,300 per 12,000 units 2010/10/28 100,000,000 2010/06/01
62237 UBS AG HSI R Bull CBBC Sep 2010 U 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2010/09/29 200,000,000 2010/06/01
62230 UBS AG HSI R Bull CBBC Oct 2010 W 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/10/28 200,000,000 2010/06/01
62258 UBS AG HSI R Bull CBBC Nov 2010 H 0.280 16,200 per 10,000 units 16,700 per 10,000 units 2010/11/29 200,000,000 2010/06/01
62259 UBS AG HSI R Bull CBBC Dec 2010 O 0.250 16,500 per 15,000 units 17,000 per 15,000 units 2010/12/30 200,000,000 2010/06/01
62231 UBS AG HSI R Bull CBBC Jan 2011 C 0.250 18,800 per 38,000 units 19,300 per 38,000 units 2011/01/28 300,000,000 2010/06/01
62266 UBS AG HSI R Bear CBBC Sep 2010 Q 0.250 19,800 per 10,000 units 19,300 per 10,000 units 2010/09/29 200,000,000 2010/06/01
62270 UBS AG HSI R Bear CBBC Nov 2010 K 0.250 19,700 per 12,000 units 19,200 per 12,000 units 2010/11/29 200,000,000 2010/06/01
62269 UBS AG HSI R Bear CBBC Nov 2010 N 0.250 19,500 per 15,000 units 19,000 per 15,000 units 2010/11/29 200,000,000 2010/06/01
62273 UBS AG HSI R Bear CBBC Dec 2010 P 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/12/30 200,000,000 2010/06/01
62251 UBS AG ICBC R Bull CBBC Nov 2010 A 0.250 4.480 4.880 2010/11/29 100,000,000 2010/06/01
62263 UBS AG ICBC R Bear CBBC Nov 2010 B 0.250 6.780 6.380 2010/11/22 100,000,000 2010/06/01
62252 UBS AG TCH R Bull CBBC Nov 2010 E 0.250 125.88 per 100 units 133.88 per 100 units 2010/11/29 100,000,000 2010/06/01
62253 UBS AG TCH R Bull CBBC Dec 2010 A 0.250 120.88 per 100 units 128.88 per 100 units 2010/12/06 100,000,000 2010/06/01
62264 UBS AG TCH R Bear CBBC Nov 2010 F 0.250 156.88 per 100 units 148.88 per 100 units 2010/11/18 100,000,000 2010/06/01
62322 Credit Suisse AG HSI R Bear CBBC Sep 2010 J 0.250 19,800 per 15,000 units 19,300 per 15,000 units 2010/09/29 300,000,000 2010/06/02
62328 Deutsche Bank AG HSI R Bull CBBC Oct 2010 R 0.250 18,500 per 12,000 units 19,000 per 12,000 units 2010/10/28 300,000,000 2010/06/02
62323 Deutsche Bank AG HSI R Bull CBBC Dec 2010 J 0.250 16,400 per 40,000 units 17,000 per 40,000 units 2010/12/30 300,000,000 2010/06/02
62315 Deutsche Bank AG HSI R Bear CBBC Nov 2010 C 0.250 19,600 per 15,000 units 19,100 per 15,000 units 2010/11/29 300,000,000 2010/06/02
62308 HK Bank China Life R Bull CBBC Dec 2010 A 0.250 27.38 per 100 units 28.38 per 100 units 2010/12/15 120,000,000 2010/06/02
62313 HK Bank China Life R Bear CBBC Dec 2010 B 0.250 36.28 per 100 units 35.28 per 100 units 2010/12/15 120,000,000 2010/06/02
62309 HK Bank China Shenhua R Bull CBBC Dec 2010 A 0.250 22.88 per 100 units 24.88 per 100 units 2010/12/15 120,000,000 2010/06/02
62314 HK Bank China Shenhua R Bear CBBC Dec 2010 B 0.250 35.38 per 100 units 33.38 per 100 units 2010/12/15 120,000,000 2010/06/02
62311 HK Bank HSI R Bear CBBC Dec 2010 A 0.250 19,500 per 12,000 units 19,000 per 12,000 units 2010/12/30 120,000,000 2010/06/02
62312 HK Bank HSI R Bear CBBC Dec 2010 B 0.250 19,900 per 15,000 units 19,400 per 15,000 units 2010/12/30 120,000,000 2010/06/02
62310 HK Bank ICBC R Bear CBBC Dec 2010 A 0.250 6.580 6.180 2010/12/15 120,000,000 2010/06/02
62329 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 A 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2010/11/29 200,000,000 2010/06/02
62331 RB of Scotland N.V. China Shenhua R Bull CBBC Oct 2010 A 0.250 23.78 per 100 units 25.28 per 100 units 2010/10/18 80,000,000 2010/06/02
62332 RB of Scotland N.V. China Shenhua R Bull CBBC Oct 2010 B 0.252 25.28 per 100 units 26.78 per 100 units 2010/10/18 80,000,000 2010/06/02
62334 RB of Scotland N.V. China Shenhua R Bear CBBC Oct 2010 C 0.251 32.78 per 100 units 31.28 per 100 units 2010/10/18 80,000,000 2010/06/02
62335 RB of Scotland N.V. China Shenhua R Bear CBBC Oct 2010 D 0.251 34.28 per 100 units 32.78 per 100 units 2010/10/18 80,000,000 2010/06/02
62330 RB of Scotland N.V. HKEx R Bull CBBC Oct 2010 C 0.251 99.80 per 100 units 105.80 per 100 units 2010/10/11 80,000,000 2010/06/02
62333 RB of Scotland N.V. HKEx R Bear CBBC Oct 2010 D 0.250 131.80 per 100 units 125.80 per 100 units 2010/10/11 80,000,000 2010/06/02
62319 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10J 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/10/28 300,000,000 2010/06/02
62320 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10K 0.250 18,600 per 12,000 units 19,100 per 12,000 units 2010/10/28 300,000,000 2010/06/02
62321 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10L 0.250 18,700 per 10,000 units 19,200 per 10,000 units 2010/10/28 300,000,000 2010/06/02
62302 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10D 0.250 19,500 per 12,000 units 19,000 per 12,000 units 2010/10/28 300,000,000 2010/06/02
62303 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10E 0.250 19,600 per 10,000 units 19,100 per 10,000 units 2010/10/28 300,000,000 2010/06/02
62304 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10F 0.250 19,700 per 15,000 units 19,200 per 15,000 units 2010/10/28 300,000,000 2010/06/02
62305 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10G 0.250 19,800 per 12,000 units 19,300 per 12,000 units 2010/10/28 300,000,000 2010/06/02
62306 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10H 0.250 19,900 per 10,000 units 19,400 per 10,000 units 2010/10/28 300,000,000 2010/06/02
62307 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10I 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/10/28 300,000,000 2010/06/02
62324 UBS AG BYD Company R Bull CBBC Dec 2010 A 0.250 38.88 per 100 units 43.88 per 100 units 2010/12/06 100,000,000 2010/06/02
62325 UBS AG HSI R Bull CBBC Nov 2010 P 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/11/29 200,000,000 2010/06/02
62326 UBS AG HSI R Bull CBBC Nov 2010 Q 0.250 18,600 per 10,000 units 19,100 per 10,000 units 2010/11/29 200,000,000 2010/06/02
62316 UBS AG HSI R Bear CBBC Sep 2010 N 0.250 19,500 per 10,000 units 19,000 per 10,000 units 2010/09/29 200,000,000 2010/06/02
62317 UBS AG HSI R Bear CBBC Dec 2010 Q 0.250 19,800 per 38,000 units 19,300 per 38,000 units 2010/12/30 300,000,000 2010/06/02
62318 UBS AG HSI R Bear CBBC Dec 2010 R 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/12/30 200,000,000 2010/06/02
62336 Deutsche Bank AG HSI R Bear CBBC Oct 2010 T 0.250 19,800 per 15,000 units 19,300 per 15,000 units 2010/10/28 300,000,000 2010/06/03
62341 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 B 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/11/29 200,000,000 2010/06/03
62342 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 C 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/11/29 200,000,000 2010/06/03
62337 UBS AG China Life R Bull CBBC Dec 2010 C 0.550 27.880 28.880 2010/12/13 100,000,000 2010/06/03
62338 UBS AG Sinopec Corp R Bull CBBC Nov 2010 B 0.250 5.280 5.680 2010/11/22 100,000,000 2010/06/03
62340 UBS AG HSCEI R Bull CBBC Nov 2010 E 0.250 10,300 per 12,000 units 10,800 per 12,000 units 2010/11/29 100,000,000 2010/06/03
62343 UBS AG HSI R Bear CBBC Nov 2010 D 0.250 20,000 per 10,000 units 19,500 per 10,000 units 2010/11/29 200,000,000 2010/06/03
62339 UBS AG ICBC R Bull CBBC Nov 2010 C 0.250 4.780 5.180 2010/11/15 100,000,000 2010/06/03
62356 Credit Suisse AG HSI R Bull CBBC Oct 2010 P 0.250 19,200 per 22,000 units 19,700 per 22,000 units 2010/10/28 330,000,000 2010/06/04
62365 Credit Suisse AG HSI R Bull CBBC Oct 2010 Q 0.250 18,700 per 15,000 units 19,200 per 15,000 units 2010/10/28 300,000,000 2010/06/04
62348 Credit Suisse AG HSI R Bear CBBC Sep 2010 C 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/09/29 300,000,000 2010/06/04
62367 Credit Suisse AG HSI R Bear CBBC Sep 2010 N 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/09/29 300,000,000 2010/06/04
62355 Credit Suisse AG HSI R Bear CBBC Sep 2010 O 0.250 20,300 per 22,000 units 19,800 per 22,000 units 2010/09/29 330,000,000 2010/06/04
62368 Credit Suisse AG HSI R Bear CBBC Oct 2010 R 0.250 21,700 per 15,000 units 21,200 per 15,000 units 2010/10/28 300,000,000 2010/06/04
62369 Credit Suisse AG HSI R Bear CBBC Oct 2010 S 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2010/10/28 300,000,000 2010/06/04
62363 Deutsche Bank AG China Life R Bull CBBC Nov 2010 A 0.430 30.680 31.680 2010/11/01 150,000,000 2010/06/04
62364 Deutsche Bank AG China Life R Bear CBBC Nov 2010 B 0.840 41.680 40.680 2010/11/08 150,000,000 2010/06/04
62351 Deutsche Bank AG HSI R Bull CBBC Sep 2010 T 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/09/29 300,000,000 2010/06/04
62350 Deutsche Bank AG HSI R Bull CBBC Sep 2010 W 0.290 18,700 per 12,000 units 19,200 per 12,000 units 2010/09/29 300,000,000 2010/06/04
62346 Deutsche Bank AG HSI R Bear CBBC Oct 2010 W 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/10/28 300,000,000 2010/06/04
62347 Deutsche Bank AG HSI R Bear CBBC Nov 2010 E 0.270 20,200 per 12,000 units 19,700 per 12,000 units 2010/11/29 300,000,000 2010/06/04
62360 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 D 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 200,000,000 2010/06/04
62361 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 Q 0.250 18,500 per 13,000 units 19,000 per 13,000 units 2010/10/28 250,000,000 2010/06/04
62362 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 R 0.250 18,700 per 13,000 units 19,200 per 13,000 units 2010/10/28 250,000,000 2010/06/04
62345 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Sep10A 0.250 56 per 100 units 60 per 100 units 2010/09/27 300,000,000 2010/06/04
62344 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Sep10F 0.250 9,000 per 12,000 units 9,500 per 12,000 units 2010/09/29 200,000,000 2010/06/04
62353 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10M 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/10/28 300,000,000 2010/06/04
62354 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10N 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/10/28 300,000,000 2010/06/04
62352 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10Q 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/09/29 300,000,000 2010/06/04
62358 UBS AG China Life R Bull CBBC Oct 2010 K 0.250 31.880 32.880 2010/10/25 100,000,000 2010/06/04
62359 UBS AG HSI R Bull CBBC Sep 2010 Y 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/09/29 200,000,000 2010/06/04
62349 UBS AG HSI R Bear CBBC Nov 2010 T 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 200,000,000 2010/06/04
62357 UBS AG TCH R Bull CBBC Nov 2010 G 0.250 135.88 per 100 units 143.88 per 100 units 2010/11/18 100,000,000 2010/06/04
62372 Credit Suisse AG China Mobile R Bull CBBC Oct 2010 B 0.250 56 per 100 units 60 per 100 units 2010/10/25 100,000,000 2010/06/07
62377 Credit Suisse AG China Mobile R Bear CBBC Oct 2010 C 0.250 87 per 100 units 83 per 100 units 2010/10/25 100,000,000 2010/06/07
62378 Credit Suisse AG China Mobile R Bear CBBC Nov 2010 B 0.250 92 per 100 units 88 per 100 units 2010/11/22 100,000,000 2010/06/07
62376 Credit Suisse AG A50 China R Bull CBBC Sep 2010 G 0.270 9.600 10.000 2010/09/27 100,000,000 2010/06/07
62374 Credit Suisse AG HSBC R Bull CBBC Oct 2010 B 0.250 60 per 100 units 65 per 100 units 2010/10/25 100,000,000 2010/06/07
62389 Credit Suisse AG HSI R Bull CBBC Oct 2010 T 0.250 18,300 per 15,000 units 18,800 per 15,000 units 2010/10/28 300,000,000 2010/06/07
62373 Credit Suisse AG HSI R Bull CBBC Nov 2010 N 0.250 18,600 per 13,000 units 19,100 per 13,000 units 2010/11/29 325,000,000 2010/06/07
62379 Credit Suisse AG HSI R Bull CBBC Nov 2010 O 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/11/29 300,000,000 2010/06/07
62395 Deutsche Bank AG China Life R Bear CBBC Dec 2010 A 0.330 36.680 35.680 2010/12/06 150,000,000 2010/06/07
62396 Deutsche Bank AG China Life R Bear CBBC Dec 2010 B 0.640 39.680 38.680 2010/12/06 150,000,000 2010/06/07
62381 Deutsche Bank AG HSI R Bull CBBC Oct 2010 S 0.270 18,300 per 10,000 units 18,800 per 10,000 units 2010/10/28 300,000,000 2010/06/07
62371 Deutsche Bank AG HSI R Bull CBBC Oct 2010 V 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/10/28 300,000,000 2010/06/07
62380 Deutsche Bank AG HSI R Bull CBBC Oct 2010 Z 0.250 18,200 per 12,000 units 18,700 per 12,000 units 2010/10/28 300,000,000 2010/06/07
62382 Deutsche Bank AG HSI R Bull CBBC Dec 2010 L 0.290 17,800 per 12,000 units 18,300 per 12,000 units 2010/12/30 300,000,000 2010/06/07
62383 Deutsche Bank AG HSI R Bull CBBC Dec 2010 M 0.310 17,900 per 10,000 units 18,400 per 10,000 units 2010/12/30 300,000,000 2010/06/07
62375 Deutsche Bank AG HSI R Bear CBBC Oct 2010 X 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/06/07
62390 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 H 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/09/29 128,000,000 2010/06/07
62393 RB of Scotland N.V. HKEx R Bull CBBC Oct 2010 E 0.251 104.80 per 100 units 110.80 per 100 units 2010/10/11 80,000,000 2010/06/07
62394 RB of Scotland N.V. HSBC R Bear CBBC Oct 2010 E 0.250 83.88 per 100 units 77.88 per 100 units 2010/10/15 80,000,000 2010/06/07
62370 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10O 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/10/28 300,000,000 2010/06/07
62391 UBS AG China Life R Bull CBBC Dec 2010 D 0.445 29.880 30.880 2010/12/06 100,000,000 2010/06/07
62384 UBS AG CNOOC R Bull CBBC Dec 2010 D 0.250 10.080 10.880 2010/12/13 100,000,000 2010/06/07
62385 UBS AG A50 China R Bull CBBC Dec 2010 A 0.250 9.980 10.380 2010/12/28 100,000,000 2010/06/07
62386 UBS AG HSCEI R Bull CBBC Oct 2010 I 0.250 10,500 per 20,000 units 11,000 per 20,000 units 2010/10/28 100,000,000 2010/06/07
62387 UBS AG HSI R Bull CBBC Dec 2010 S 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/12/30 200,000,000 2010/06/07
62392 UBS AG HSI R Bear CBBC Dec 2010 T 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/12/30 200,000,000 2010/06/07
62397 Credit Suisse AG HSI R Bear CBBC Sep 2010 L 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2010/09/29 304,000,000 2010/06/08
62410 Deutsche Bank AG HSI R Bear CBBC Nov 2010 I 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 300,000,000 2010/06/08
62399 J P Morgan SP BV HSI R Bull CBBC Oct 2010 A 0.250 18,100 per 10,000 units 18,600 per 10,000 units 2010/10/28 200,000,000 2010/06/08
62400 J P Morgan SP BV HSI R Bull CBBC Oct 2010 B 0.250 18,800 per 8,000 units 19,300 per 8,000 units 2010/10/28 200,000,000 2010/06/08
62403 J P Morgan SP BV HSI R Bear CBBC Oct 2010 C 0.250 20,500 per 8,000 units 20,000 per 8,000 units 2010/10/28 200,000,000 2010/06/08
62404 J P Morgan SP BV HSI R Bear CBBC Oct 2010 D 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/10/28 200,000,000 2010/06/08
62406 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 Y 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/10/28 158,000,000 2010/06/08
62407 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 E 0.250 20,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 128,000,000 2010/06/08
62398 Macquarie Bank Ltd. HSI R Bull CBBC Oct 2010 C 0.251 17,600 per 12,000 units 18,200 per 12,000 units 2010/10/28 250,000,000 2010/06/08
62408 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 E 0.250 21,100 per 10,000 units 19,600 per 10,000 units 2010/11/29 200,000,000 2010/06/08
62409 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 F 0.250 21,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 200,000,000 2010/06/08
62401 UBS AG HSI R Bull CBBC Oct 2010 O 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 200,000,000 2010/06/08
62402 UBS AG HSI R Bear CBBC Sep 2010 M 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/09/29 200,000,000 2010/06/08
62405 UBS AG HSI R Bear CBBC Dec 2010 U 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/12/30 200,000,000 2010/06/08
62076 # Credit Suisse AG HSI R Bear CBBC Aug 2010 S 0.103 21,000 per 13,000 units 20,500 per 13,000 units 2010/08/30 195,000,000 2010/06/08
62414 Deutsche Bank AG HSI R Bull CBBC Oct 2010 G 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 300,000,000 2010/06/09
62411 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10P 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/10/28 300,000,000 2010/06/09
62412 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10Q 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/10/28 300,000,000 2010/06/09
62413 UBS AG HSI R Bull CBBC Nov 2010 V 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 200,000,000 2010/06/09
62418 UBS AG HSI R Bear CBBC Jan 2011 D 0.250 20,300 per 38,000 units 19,800 per 38,000 units 2011/01/28 300,000,000 2010/06/09
62430 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 J 0.250 18,500 per 15,000 units 19,000 per 15,000 units 2010/11/29 100,000,000 2010/06/10
62431 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 K 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2010/11/29 100,000,000 2010/06/10
62422 Credit Suisse AG HSBC R Bull CBBC Sep 2010 E 0.250 65 per 100 units 70 per 100 units 2010/09/27 100,000,000 2010/06/10
62420 Credit Suisse AG HSI R Bull CBBC Oct 2010 U 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/10/28 300,000,000 2010/06/10
62421 Credit Suisse AG HSI R Bull CBBC Oct 2010 V 0.250 19,300 per 22,000 units 19,800 per 22,000 units 2010/10/28 330,000,000 2010/06/10
62427 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 G 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 200,000,000 2010/06/10
62424 UBS AG HSI R Bull CBBC Nov 2010 U 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 200,000,000 2010/06/10
62423 UBS AG HSI R Bull CBBC Nov 2010 X 0.250 18,200 per 10,000 units 18,700 per 10,000 units 2010/11/29 200,000,000 2010/06/10
62425 UBS AG HSI R Bull CBBC Dec 2010 V 0.250 18,100 per 12,000 units 18,600 per 12,000 units 2010/12/30 200,000,000 2010/06/10
62426 UBS AG HSI R Bull CBBC Dec 2010 W 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/12/30 200,000,000 2010/06/10
62419 UBS AG HSI R Bear CBBC Oct 2010 K 0.250 20,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 200,000,000 2010/06/10
62428 UBS AG HSI R Bear CBBC Nov 2010 Z 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/11/29 200,000,000 2010/06/10
62429 UBS AG HSI R Bear CBBC Dec 2010 X 0.260 22,400 per 10,000 units 21,900 per 10,000 units 2010/12/30 200,000,000 2010/06/10
62438 Credit Suisse AG HSI R Bear CBBC Sep 2010 Q 0.250 20,300 per 22,000 units 19,800 per 22,000 units 2010/09/29 330,000,000 2010/06/11
62436 Deutsche Bank AG HSI R Bull CBBC Nov 2010 H 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/11/29 300,000,000 2010/06/11
62432 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10R 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 300,000,000 2010/06/11
62434 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10S 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/10/28 300,000,000 2010/06/11
62437 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10T 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/10/28 300,000,000 2010/06/11
62439 UBS AG HSI R Bull CBBC Jan 2011 E 0.250 17,500 per 10,000 units 18,000 per 10,000 units 2011/01/28 200,000,000 2010/06/11
62440 UBS AG HSI R Bull CBBC Feb 2011 B 0.250 17,300 per 12,000 units 17,800 per 12,000 units 2011/02/25 200,000,000 2010/06/11
62443 UBS AG HSI R Bear CBBC Jan 2011 F 0.310 22,800 per 10,000 units 22,300 per 10,000 units 2011/01/28 200,000,000 2010/06/11
62441 UBS AG HSI R Bear CBBC Mar 2011 A 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2011/03/30 200,000,000 2010/06/11
62451 Credit Suisse AG HSI R Bull CBBC Nov 2010 P 0.250 19,200 per 22,000 units 19,700 per 22,000 units 2010/11/29 330,000,000 2010/06/14
62452 Credit Suisse AG HSI R Bear CBBC Sep 2010 K 0.250 19,900 per 22,000 units 19,400 per 22,000 units 2010/09/29 330,000,000 2010/06/14
62453 Credit Suisse AG HSI R Bear CBBC Sep 2010 R 0.250 20,200 per 15,000 units 19,700 per 15,000 units 2010/09/29 300,000,000 2010/06/14
62461 Deutsche Bank AG CNOOC R Bull CBBC Nov 2010 A 0.250 10.680 11.280 2010/11/22 150,000,000 2010/06/14
62462 Deutsche Bank AG HKEx R Bull CBBC Nov 2010 B 0.250 102.18 per 100 units 108.18 per 100 units 2010/11/22 150,000,000 2010/06/14
62466 Deutsche Bank AG HSBC R Bear CBBC Dec 2010 B 0.250 84.88 per 100 units 79.88 per 100 units 2010/12/06 150,000,000 2010/06/14
62446 Deutsche Bank AG HSI R Bull CBBC Oct 2010 C 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/10/28 300,000,000 2010/06/14
62457 Deutsche Bank AG HSI R Bear CBBC Oct 2010 H 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/10/28 300,000,000 2010/06/14
62458 Deutsche Bank AG HSI R Bear CBBC Nov 2010 L 0.260 20,200 per 15,000 units 19,700 per 15,000 units 2010/11/29 300,000,000 2010/06/14
62467 Goldman Sachs SP (Asia) HSI R Bear CBBC Dec 2010 A 0.250 20,200 per 15,000 units 19,700 per 15,000 units 2010/12/30 200,000,000 2010/06/14
62445 HK Bank A50 R Bull CBBC Dec 2010 A 0.250 10.900 11.280 2010/12/20 150,000,000 2010/06/14
62444 HK Bank HSI R Bull CBBC Dec 2010 C 0.250 17,700 per 32,000 units 18,200 per 32,000 units 2010/12/30 150,000,000 2010/06/14
62448 HK Bank HSI R Bear CBBC Dec 2010 D 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/12/30 150,000,000 2010/06/14
62449 HK Bank HSI R Bear CBBC Dec 2010 E 0.250 23,400 per 38,000 units 22,900 per 38,000 units 2010/12/30 150,000,000 2010/06/14
62468 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 H 0.250 18,000 per 12,000 units 18,500 per 12,000 units 2010/11/29 200,000,000 2010/06/14
62469 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 I 0.250 18,200 per 12,000 units 18,700 per 12,000 units 2010/11/29 200,000,000 2010/06/14
62473 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 J 0.250 19,900 per 10,000 units 19,400 per 10,000 units 2010/11/29 200,000,000 2010/06/14
62474 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 K 0.250 20,600 per 12,000 units 20,100 per 12,000 units 2010/11/29 200,000,000 2010/06/14
62475 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 L 0.250 20,800 per 12,000 units 20,300 per 12,000 units 2010/11/29 200,000,000 2010/06/14
62454 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10V 0.250 18,800 per 15,000 units 19,300 per 15,000 units 2010/10/28 300,000,000 2010/06/14
62442 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10U 0.250 20,300 per 15,000 units 19,800 per 15,000 units 2010/10/28 300,000,000 2010/06/14
62455 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10W 0.250 19,900 per 10,000 units 19,400 per 10,000 units 2010/10/28 300,000,000 2010/06/14
62456 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10X 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/10/28 300,000,000 2010/06/14
62459 UBS AG HSI R Bull CBBC Sep 2010 N 0.250 18,400 per 22,000 units 18,900 per 22,000 units 2010/09/29 200,000,000 2010/06/14
62460 UBS AG HSI R Bull CBBC Nov 2010 E 0.250 18,000 per 22,000 units 18,500 per 22,000 units 2010/11/29 200,000,000 2010/06/14
62447 UBS AG HSI R Bull CBBC Dec 2010 Y 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/12/30 200,000,000 2010/06/14
62450 UBS AG HSI R Bull CBBC Jan 2011 G 0.250 18,800 per 38,000 units 19,300 per 38,000 units 2011/01/28 300,000,000 2010/06/14
62463 UBS AG HSI R Bear CBBC Sep 2010 Y 0.250 20,700 per 22,000 units 20,200 per 22,000 units 2010/09/29 200,000,000 2010/06/14
62465 UBS AG HSI R Bear CBBC Nov 2010 K 0.250 21,000 per 22,000 units 20,500 per 22,000 units 2010/11/29 200,000,000 2010/06/14
62464 UBS AG HSI R Bear CBBC Nov 2010 N 0.250 19,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 200,000,000 2010/06/14
62472 Credit Suisse AG HSI R Bull CBBC Nov 2010 Q 0.250 17,600 per 15,000 units 18,100 per 15,000 units 2010/11/29 300,000,000 2010/06/15
62470 Credit Suisse AG HSI R Bear CBBC Sep 2010 S 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/09/29 300,000,000 2010/06/15
62471 Credit Suisse AG HSI R Bear CBBC Sep 2010 W 0.250 20,400 per 15,000 units 19,900 per 15,000 units 2010/09/29 300,000,000 2010/06/15
62483 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 I 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/10/28 128,000,000 2010/06/15
62482 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 Z 0.250 18,700 per 12,000 units 19,200 per 12,000 units 2010/10/28 128,000,000 2010/06/15
62484 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 M 0.250 18,400 per 12,000 units 18,900 per 12,000 units 2010/11/29 200,000,000 2010/06/15
62485 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 N 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/11/29 200,000,000 2010/06/15
62478 RB of Scotland N.V. CCHC R Bear CBBC Oct 2010 G 0.250 9.580 8.580 2010/10/18 80,000,000 2010/06/15
62481 UBS AG HSI R Bull CBBC Sep 2010 J 0.250 18,800 per 10,000 units 19,300 per 10,000 units 2010/09/29 200,000,000 2010/06/15
62477 UBS AG HSI R Bear CBBC Oct 2010 O 0.250 20,100 per 12,000 units 19,600 per 12,000 units 2010/10/28 200,000,000 2010/06/15
62480 UBS AG HSI R Bear CBBC Dec 2010 Z 0.250 20,000 per 15,000 units 19,500 per 15,000 units 2010/12/30 200,000,000 2010/06/15
62476 UBS AG TCH R Bear CBBC Nov 2010 H 0.250 161.88 per 100 units 153.88 per 100 units 2010/11/01 100,000,000 2010/06/15
62127 # Credit Suisse AG HSI R Bear CBBC Aug 2010 T 0.058 20,800 per 22,000 units 20,300 per 22,000 units 2010/08/30 220,000,000 2010/06/15
62492 Credit Suisse AG HSI R Bull CBBC Oct 2010 W 0.250 19,100 per 13,000 units 19,600 per 13,000 units 2010/10/28 325,000,000 2010/06/17
62491 Credit Suisse AG HSI R Bear CBBC Sep 2010 V 0.250 20,100 per 13,000 units 19,600 per 13,000 units 2010/09/29 325,000,000 2010/06/17
62490 Deutsche Bank AG HSI R Bull CBBC Oct 2010 B 0.250 18,900 per 10,000 units 19,400 per 10,000 units 2010/10/28 300,000,000 2010/06/17
62500 Deutsche Bank AG TCH R Bull CBBC Dec 2010 A 0.250 120 per 100 units 128 per 100 units 2010/12/06 150,000,000 2010/06/17
62495 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 P 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 128,000,000 2010/06/17
62496 RB of Scotland N.V. TCH R Bull CBBC Oct 2010 G 0.250 116.80 per 100 units 123.80 per 100 units 2010/10/18 80,000,000 2010/06/17
62497 RB of Scotland N.V. TCH R Bull CBBC Oct 2010 H 0.250 121.80 per 100 units 128.80 per 100 units 2010/10/18 80,000,000 2010/06/17
62499 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 I 0.250 160.80 per 100 units 153.80 per 100 units 2010/10/18 80,000,000 2010/06/17
62486 UBS AG Cheung Kong R Bull CBBC Dec 2010 C 0.250 65.88 per 100 units 73.88 per 100 units 2010/12/28 100,000,000 2010/06/17
62487 UBS AG Cheung Kong R Bull CBBC Dec 2010 D 0.250 70.88 per 100 units 78.88 per 100 units 2010/12/20 100,000,000 2010/06/17
62489 UBS AG HSI R Bull CBBC Nov 2010 G 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2010/11/29 200,000,000 2010/06/17
62494 UBS AG HSI R Bull CBBC Nov 2010 J 0.250 19,000 per 10,000 units 19,500 per 10,000 units 2010/11/29 200,000,000 2010/06/17
62498 UBS AG HSI R Bear CBBC Nov 2010 D 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/11/29 200,000,000 2010/06/17
62488 UBS AG SHK Ppt R Bull CBBC Dec 2010 B 0.250 80.88 per 100 units 88.88 per 100 units 2010/12/13 100,000,000 2010/06/17
62501 Credit Suisse AG China Mobile R Bull CBBC Sep 2010 C 0.250 71 per 100 units 75 per 100 units 2010/09/29 100,000,000 2010/06/18
62506 Deutsche Bank AG HSI R Bull CBBC Nov 2010 K 0.260 18,800 per 12,000 units 19,300 per 12,000 units 2010/11/29 300,000,000 2010/06/18
62507 Deutsche Bank AG HSI R Bull CBBC Nov 2010 O 0.250 19,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 300,000,000 2010/06/18
62502 UBS AG China Mobile R Bull CBBC Nov 2010 F 0.250 68.88 per 100 units 72.88 per 100 units 2010/11/15 100,000,000 2010/06/18
62508 UBS AG TCH R Bull CBBC Nov 2010 K 0.250 110.88 per 100 units 118.88 per 100 units 2010/11/22 100,000,000 2010/06/18
62509 UBS AG TCH R Bull CBBC Nov 2010 L 0.250 115.88 per 100 units 123.88 per 100 units 2010/11/08 100,000,000 2010/06/18
62510 UBS AG TCH R Bull CBBC Dec 2010 C 0.270 100.88 per 100 units 108.88 per 100 units 2010/12/20 100,000,000 2010/06/18
62511 UBS AG TCH R Bull CBBC Dec 2010 D 0.250 105.88 per 100 units 113.88 per 100 units 2010/12/06 100,000,000 2010/06/18
62512 UBS AG TCH R Bull CBBC Jan 2011 A 0.320 95.88 per 100 units 103.88 per 100 units 2011/01/03 100,000,000 2010/06/18
62503 UBS AG TCH R Bear CBBC Nov 2010 I 0.250 146.88 per 100 units 138.88 per 100 units 2010/11/15 100,000,000 2010/06/18
62504 UBS AG TCH R Bear CBBC Nov 2010 J 0.250 151.88 per 100 units 143.88 per 100 units 2010/11/29 100,000,000 2010/06/18
62505 UBS AG TCH R Bear CBBC Dec 2010 B 0.250 156.88 per 100 units 148.88 per 100 units 2010/12/06 100,000,000 2010/06/18
62516 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2010 F 0.250 18,700 per 10,000 units 19,200 per 10,000 units 2010/12/30 100,000,000 2010/06/21
62520 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 G 0.250 21,000 per 11,000 units 20,500 per 11,000 units 2010/12/30 100,000,000 2010/06/21
62521 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 H 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 100,000,000 2010/06/21
62544 Credit Suisse AG HSI R Bull CBBC Oct 2010 X 0.250 19,400 per 22,000 units 19,900 per 22,000 units 2010/10/28 330,000,000 2010/06/21
62545 Credit Suisse AG HSI R Bull CBBC Nov 2010 R 0.250 18,800 per 22,000 units 19,300 per 22,000 units 2010/11/29 330,000,000 2010/06/21
62528 Credit Suisse AG HSI R Bear CBBC Sep 2010 U 0.250 20,300 per 22,000 units 19,800 per 22,000 units 2010/09/29 330,000,000 2010/06/21
62523 Credit Suisse AG TCH R Bull CBBC Oct 2010 A 0.250 112 per 100 units 120 per 100 units 2010/10/25 100,000,000 2010/06/21
62524 Credit Suisse AG TCH R Bull CBBC Nov 2010 A 0.260 102 per 100 units 110 per 100 units 2010/11/22 100,000,000 2010/06/21
62529 Credit Suisse AG TCH R Bear CBBC Oct 2010 B 0.295 156 per 100 units 148 per 100 units 2010/10/25 100,000,000 2010/06/21
62530 Credit Suisse AG TCH R Bear CBBC Nov 2010 B 0.395 166 per 100 units 158 per 100 units 2010/11/22 100,000,000 2010/06/21
62531 Deutsche Bank AG HSI R Bull CBBC Nov 2010 S 0.280 19,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 300,000,000 2010/06/21
62525 Deutsche Bank AG HSI R Bear CBBC Oct 2010 D 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/06/21
62533 Deutsche Bank AG TCH R Bull CBBC Dec 2010 B 0.250 111 per 100 units 119 per 100 units 2010/12/13 150,000,000 2010/06/21
62514 HK Bank TCH R Bull CBBC Nov 2010 A 0.330 94.80 per 100 units 99.80 per 100 units 2010/11/12 100,000,000 2010/06/21
62515 HK Bank TCH R Bear CBBC Oct 2010 A 0.300 156.80 per 100 units 150.80 per 100 units 2010/10/22 100,000,000 2010/06/21
62534 J P Morgan SP BV HSI R Bull CBBC Oct 2010 E 0.250 18,300 per 8,000 units 18,800 per 8,000 units 2010/10/28 200,000,000 2010/06/21
62535 J P Morgan SP BV HSI R Bull CBBC Oct 2010 F 0.250 18,600 per 15,000 units 19,100 per 15,000 units 2010/10/28 200,000,000 2010/06/21
62536 J P Morgan SP BV HSI R Bull CBBC Oct 2010 G 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 200,000,000 2010/06/21
62537 J P Morgan SP BV HSI R Bull CBBC Oct 2010 H 0.250 19,300 per 8,000 units 19,800 per 8,000 units 2010/10/28 200,000,000 2010/06/21
62538 J P Morgan SP BV HSI R Bull CBBC Nov 2010 A 0.250 17,800 per 18,000 units 18,300 per 18,000 units 2010/11/29 200,000,000 2010/06/21
62539 J P Morgan SP BV HSI R Bear CBBC Oct 2010 I 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 200,000,000 2010/06/21
62540 J P Morgan SP BV HSI R Bear CBBC Oct 2010 J 0.250 21,000 per 8,000 units 20,500 per 8,000 units 2010/10/28 200,000,000 2010/06/21
62541 J P Morgan SP BV HSI R Bear CBBC Oct 2010 K 0.250 21,100 per 15,000 units 20,600 per 15,000 units 2010/10/28 200,000,000 2010/06/21
62542 J P Morgan SP BV HSI R Bear CBBC Oct 2010 L 0.250 21,500 per 8,000 units 21,000 per 8,000 units 2010/10/28 200,000,000 2010/06/21
62543 J P Morgan SP BV HSI R Bear CBBC Nov 2010 B 0.250 22,000 per 18,000 units 21,500 per 18,000 units 2010/11/29 200,000,000 2010/06/21
62553 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 O 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/11/29 200,000,000 2010/06/21
62554 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 P 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/11/29 200,000,000 2010/06/21
62526 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10C 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/10/28 300,000,000 2010/06/21
62527 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10I 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2010/10/28 300,000,000 2010/06/21
62513 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10Y 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2010/10/28 300,000,000 2010/06/21
62519 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10Z 0.250 20,200 per 10,000 units 19,700 per 10,000 units 2010/10/28 300,000,000 2010/06/21
62546 UBS AG BOCL R Bull CBBC Dec 2010 A 0.250 2.880 3.380 2010/12/06 100,000,000 2010/06/21
62549 UBS AG China Mobile R Bear CBBC Nov 2010 G 0.250 88.88 per 100 units 84.88 per 100 units 2010/11/29 100,000,000 2010/06/21
62550 UBS AG China Mobile R Bear CBBC Dec 2010 B 0.250 92.88 per 100 units 88.88 per 100 units 2010/12/13 100,000,000 2010/06/21
62547 UBS AG CC Bank R Bull CBBC Dec 2010 A 0.250 4.880 5.280 2010/12/13 100,000,000 2010/06/21
62548 UBS AG CC Bank R Bull CBBC Dec 2010 B 0.250 5.480 5.880 2010/12/06 100,000,000 2010/06/21
62551 UBS AG HSI R Bull CBBC Oct 2010 K 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/10/28 200,000,000 2010/06/21
62552 UBS AG HSI R Bull CBBC Dec 2010 C 0.250 19,300 per 38,000 units 19,800 per 38,000 units 2010/12/30 300,000,000 2010/06/21
62522 UBS AG HSI R Bear CBBC Dec 2010 B 0.250 20,300 per 12,000 units 19,800 per 12,000 units 2010/12/30 200,000,000 2010/06/21
62566 Credit Suisse AG HSI R Bull CBBC Nov 2010 S 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 300,000,000 2010/06/22
62563 Credit Suisse AG HSI R Bear CBBC Sep 2010 T 0.250 20,500 per 22,000 units 20,000 per 22,000 units 2010/09/29 330,000,000 2010/06/22
62562 Deutsche Bank AG HSI R Bull CBBC Oct 2010 J 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/10/28 300,000,000 2010/06/22
62560 Deutsche Bank AG HSI R Bear CBBC Nov 2010 U 0.250 20,500 per 12,000 units 20,000 per 12,000 units 2010/11/29 300,000,000 2010/06/22
62576 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 O 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 128,000,000 2010/06/22
62577 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 F 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 128,000,000 2010/06/22
62580 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 R 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/10/28 128,000,000 2010/06/22
62581 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 G 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/11/29 158,000,000 2010/06/22
62572 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 Q 0.250 18,600 per 12,000 units 19,100 per 12,000 units 2010/11/29 200,000,000 2010/06/22
62573 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 R 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2010/11/29 200,000,000 2010/06/22
62574 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 S 0.250 19,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 200,000,000 2010/06/22
62575 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 T 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/11/29 200,000,000 2010/06/22
62579 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 U 0.250 21,200 per 12,000 units 20,700 per 12,000 units 2010/11/29 200,000,000 2010/06/22
62568 RB of Scotland N.V. HSCEI R Bull CBBC Oct 2010 A 0.250 10,300 per 10,000 units 10,800 per 10,000 units 2010/10/28 250,000,000 2010/06/22
62569 RB of Scotland N.V. TCH R Bull CBBC Oct 2010 J 0.250 111.80 per 100 units 118.80 per 100 units 2010/10/18 80,000,000 2010/06/22
62564 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10G 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 300,000,000 2010/06/22
62565 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10K 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/09/29 300,000,000 2010/06/22
62555 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10H 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/10/28 300,000,000 2010/06/22
62556 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Sep 10A 0.260 107 per 100 units 115 per 100 units 2010/09/27 100,000,000 2010/06/22
62557 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Sep 10B 0.250 112 per 100 units 120 per 100 units 2010/09/27 100,000,000 2010/06/22
62570 UBS AG HSI R Bull CBBC Nov 2010 T 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 200,000,000 2010/06/22
62571 UBS AG HSI R Bull CBBC Nov 2010 V 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/11/29 200,000,000 2010/06/22
62558 UBS AG HSI R Bear CBBC Sep 2010 M 0.250 20,400 per 10,000 units 19,900 per 10,000 units 2010/09/29 200,000,000 2010/06/22
62559 UBS AG HSI R Bear CBBC Jan 2011 H 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2011/01/28 200,000,000 2010/06/22
62586 Credit Suisse AG HSI R Bull CBBC Oct 2010 Y 0.250 19,600 per 22,000 units 20,100 per 22,000 units 2010/10/28 330,000,000 2010/06/23
62587 Credit Suisse AG HSI R Bull CBBC Nov 2010 T 0.250 19,300 per 15,000 units 19,800 per 15,000 units 2010/11/29 300,000,000 2010/06/23
62588 Credit Suisse AG HSI R Bear CBBC Sep 2010 X 0.250 20,700 per 22,000 units 20,200 per 22,000 units 2010/09/29 330,000,000 2010/06/23
62591 Deutsche Bank AG HSI R Bull CBBC Oct 2010 E 0.300 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 300,000,000 2010/06/23
62592 Deutsche Bank AG HSI R Bull CBBC Jan 2011 A 0.250 18,900 per 40,000 units 19,500 per 40,000 units 2011/01/28 300,000,000 2010/06/23
62596 Deutsche Bank AG HSI R Bear CBBC Jan 2011 B 0.250 21,300 per 40,000 units 20,700 per 40,000 units 2011/01/28 300,000,000 2010/06/23
62578 HK Bank HSI R Bull CBBC Nov 2010 F 0.250 18,600 per 10,000 units 19,100 per 10,000 units 2010/11/29 80,000,000 2010/06/23
62582 HK Bank HSI R Bear CBBC Nov 2010 G 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/11/29 80,000,000 2010/06/23
62583 UBS AG CCHC R Bull CBBC Nov 2010 A 0.250 6.380 7.380 2010/11/29 100,000,000 2010/06/23
62584 UBS AG HSCEI R Bull CBBC Nov 2010 F 0.250 10,500 per 20,000 units 11,000 per 20,000 units 2010/11/29 100,000,000 2010/06/23
62589 UBS AG HSI R Bull CBBC Sep 2010 S 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 200,000,000 2010/06/23
62590 UBS AG HSI R Bull CBBC Jan 2011 I 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2011/01/28 200,000,000 2010/06/23
62585 UBS AG HSI R Bear CBBC Oct 2010 Y 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 200,000,000 2010/06/23
62598 Deutsche Bank AG HSI R Bull CBBC Sep 2010 U 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/09/29 300,000,000 2010/06/24
62602 Deutsche Bank AG HSI R Bear CBBC Sep 2010 O 0.260 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 300,000,000 2010/06/24
62604 Goldman Sachs SP (Asia) HSI R Bull CBBC Dec 2010 B 0.250 18,600 per 12,000 units 19,100 per 12,000 units 2010/12/30 200,000,000 2010/06/24
62605 Goldman Sachs SP (Asia) HSI R Bull CBBC Dec 2010 C 0.250 18,900 per 15,000 units 19,400 per 15,000 units 2010/12/30 200,000,000 2010/06/24
62599 J P Morgan SP BV HSI R Bull CBBC Oct 2010 M 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2010/10/28 200,000,000 2010/06/24
62600 J P Morgan SP BV HSI R Bull CBBC Oct 2010 N 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 200,000,000 2010/06/24
62601 J P Morgan SP BV HSI R Bear CBBC Nov 2010 C 0.250 20,700 per 15,000 units 20,200 per 15,000 units 2010/11/29 200,000,000 2010/06/24
62594 UBS AG China Life R Bull CBBC Nov 2010 D 0.250 32.880 33.880 2010/11/22 100,000,000 2010/06/24
62603 UBS AG A50 China R Bull CBBC Sep 2010 A 0.250 11.100 11.500 2010/09/24 100,000,000 2010/06/24
62597 UBS AG HSI R Bear CBBC Sep 2010 Y 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 200,000,000 2010/06/24
62595 UBS AG TCH R Bear CBBC Nov 2010 M 0.250 141.88 per 100 units 133.88 per 100 units 2010/11/22 100,000,000 2010/06/24
62368 # Credit Suisse AG HSI R Bear CBBC Oct 2010 R 0.063 21,700 per 15,000 units 21,200 per 15,000 units 2010/10/28 300,000,000 2010/06/24
61637 # UBS AG HSI R Bear CBBC Oct 2010 X 0.081 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 300,000,000 2010/06/24
62627 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2010 L 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/11/29 100,000,000 2010/06/25
62622 Credit Suisse AG HSI R Bull CBBC Nov 2010 U 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/11/29 300,000,000 2010/06/25
62609 Credit Suisse AG HSI R Bear CBBC Sep 2010 Y 0.250 20,800 per 22,000 units 20,300 per 22,000 units 2010/09/29 330,000,000 2010/06/25
62613 Deutsche Bank AG HSI R Bull CBBC Oct 2010 N 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 300,000,000 2010/06/25
62620 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 X 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/10/28 128,000,000 2010/06/25
62611 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Sep 2010 D 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/09/29 128,000,000 2010/06/25
62606 Macquarie Bank Ltd. HSI R Bull CBBC Oct 2010 D 0.251 18,800 per 12,000 units 19,400 per 12,000 units 2010/10/28 200,000,000 2010/06/25
62623 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 V 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/11/29 200,000,000 2010/06/25
62624 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 W 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/11/29 200,000,000 2010/06/25
62628 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 X 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2010/11/29 200,000,000 2010/06/25
62625 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 T 0.250 19,100 per 10,000 units 19,600 per 10,000 units 2010/10/28 250,000,000 2010/06/25
62626 RB of Scotland N.V. TCH R Bear CBBC Oct 2010 K 0.264 155.80 per 100 units 148.80 per 100 units 2010/10/18 80,000,000 2010/06/25
62616 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10B 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2010/10/28 300,000,000 2010/06/25
62615 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10D 0.250 18,200 per 15,000 units 18,700 per 15,000 units 2010/10/28 300,000,000 2010/06/25
62614 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10E 0.285 18,100 per 10,000 units 18,600 per 10,000 units 2010/10/28 300,000,000 2010/06/25
62607 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10F 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 300,000,000 2010/06/25
62618 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10M 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/10/28 300,000,000 2010/06/25
62617 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10N 0.250 18,400 per 10,000 units 18,900 per 10,000 units 2010/10/28 300,000,000 2010/06/25
62619 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10M 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/09/29 300,000,000 2010/06/25
62608 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Sep10Q 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/09/29 300,000,000 2010/06/25
62621 UBS AG HSI R Bull CBBC Oct 2010 Q 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 200,000,000 2010/06/25
62610 UBS AG HSI R Bear CBBC Oct 2010 O 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 200,000,000 2010/06/25
62703 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2010 I 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/12/30 100,000,000 2010/06/28
62704 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2010 J 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 100,000,000 2010/06/28
62705 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jan 2011 A 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2011/01/28 100,000,000 2010/06/28
62709 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 M 0.250 22,200 per 11,000 units 21,700 per 11,000 units 2010/11/29 100,000,000 2010/06/28
62710 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 K 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/12/30 100,000,000 2010/06/28
62685 Credit Suisse AG HSI R Bull CBBC Oct 2010 A 0.250 20,400 per 13,000 units 20,900 per 13,000 units 2010/10/28 325,000,000 2010/06/28
62684 Credit Suisse AG HSI R Bull CBBC Oct 2010 B 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/10/28 300,000,000 2010/06/28
62686 Credit Suisse AG HSI R Bull CBBC Nov 2010 V 0.250 19,800 per 22,000 units 20,300 per 22,000 units 2010/11/29 330,000,000 2010/06/28
62638 Credit Suisse AG HSI R Bull CBBC Dec 2010 M 0.250 19,300 per 38,000 units 19,800 per 38,000 units 2010/12/30 304,000,000 2010/06/28
62687 Credit Suisse AG HSI R Bear CBBC Sep 2010 G 0.250 22,600 per 15,000 units 22,100 per 15,000 units 2010/09/29 300,000,000 2010/06/28
62636 Credit Suisse AG HSI R Bear CBBC Sep 2010 Z 0.250 20,900 per 13,000 units 20,400 per 13,000 units 2010/09/29 325,000,000 2010/06/28
62688 Credit Suisse AG HSI R Bear CBBC Oct 2010 G 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2010/10/28 300,000,000 2010/06/28
62689 Credit Suisse AG HSI R Bear CBBC Oct 2010 J 0.250 23,600 per 15,000 units 23,100 per 15,000 units 2010/10/28 300,000,000 2010/06/28
62637 Credit Suisse AG HSI R Bear CBBC Oct 2010 Z 0.250 21,300 per 22,000 units 20,800 per 22,000 units 2010/10/28 330,000,000 2010/06/28
62690 Credit Suisse AG HSI R Bear CBBC Nov 2010 W 0.250 23,100 per 22,000 units 22,600 per 22,000 units 2010/11/29 330,000,000 2010/06/28
62691 Credit Suisse AG HSI R Bear CBBC Dec 2010 N 0.250 24,300 per 22,000 units 23,800 per 22,000 units 2010/12/30 330,000,000 2010/06/28
62647 Deutsche Bank AG HSI R Bull CBBC Sep 2010 J 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/09/29 300,000,000 2010/06/28
62648 Deutsche Bank AG HSI R Bull CBBC Oct 2010 T 0.270 20,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62649 Deutsche Bank AG HSI R Bull CBBC Nov 2010 R 0.290 19,900 per 12,000 units 20,400 per 12,000 units 2010/11/29 300,000,000 2010/06/28
62643 Deutsche Bank AG HSI R Bear CBBC Sep 2010 Q 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/09/29 300,000,000 2010/06/28
62644 Deutsche Bank AG HSI R Bear CBBC Oct 2010 A 0.260 20,800 per 12,000 units 20,300 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62645 Deutsche Bank AG HSI R Bear CBBC Oct 2010 K 0.270 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62629 HK Bank HSI R Bull CBBC Nov 2010 H 0.250 18,800 per 15,000 units 19,300 per 15,000 units 2010/11/29 120,000,000 2010/06/28
62630 HK Bank HSI R Bull CBBC Nov 2010 I 0.250 19,100 per 12,000 units 19,600 per 12,000 units 2010/11/29 120,000,000 2010/06/28
62631 HK Bank HSI R Bull CBBC Nov 2010 J 0.250 19,400 per 13,000 units 19,900 per 13,000 units 2010/11/29 120,000,000 2010/06/28
62692 J P Morgan SP BV HSI R Bull CBBC Oct 2010 O 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 200,000,000 2010/06/28
62694 J P Morgan SP BV HSI R Bull CBBC Oct 2010 Q 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/10/28 200,000,000 2010/06/28
62695 J P Morgan SP BV HSI R Bull CBBC Oct 2010 R 0.250 20,400 per 8,000 units 20,900 per 8,000 units 2010/10/28 200,000,000 2010/06/28
62696 J P Morgan SP BV HSI R Bear CBBC Oct 2010 S 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/10/28 200,000,000 2010/06/28
62697 J P Morgan SP BV HSI R Bear CBBC Oct 2010 T 0.250 22,000 per 8,000 units 21,500 per 8,000 units 2010/10/28 200,000,000 2010/06/28
62698 J P Morgan SP BV HSI R Bear CBBC Oct 2010 U 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/10/28 200,000,000 2010/06/28
62699 J P Morgan SP BV HSI R Bear CBBC Oct 2010 V 0.250 22,500 per 8,000 units 22,000 per 8,000 units 2010/10/28 200,000,000 2010/06/28
62679 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 T 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/10/28 128,000,000 2010/06/28
62677 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 U 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 128,000,000 2010/06/28
62680 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 H 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/11/29 158,000,000 2010/06/28
62646 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 W 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 128,000,000 2010/06/28
62702 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 C 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2010/11/29 200,000,000 2010/06/28
62700 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 Y 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 200,000,000 2010/06/28
62701 CC Rabobank B.A. HSI R Bull CBBC Nov 2010 Z 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/11/29 200,000,000 2010/06/28
62706 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 D 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/11/29 200,000,000 2010/06/28
62708 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 E 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/11/29 200,000,000 2010/06/28
62712 RB of Scotland N.V. COVS R Bull CBBC Nov 2010 A 0.340 13.280 14.480 2010/11/11 80,000,000 2010/06/28
62713 RB of Scotland N.V. COVS R Bull CBBC Nov 2010 B 0.280 13.880 15.080 2010/11/11 80,000,000 2010/06/28
62714 RB of Scotland N.V. COVS R Bear CBBC Nov 2010 C 0.272 19.280 18.080 2010/11/11 80,000,000 2010/06/28
62711 RB of Scotland N.V. CCHC R Bull CBBC Oct 2010 H 0.250 6.880 7.880 2010/10/18 80,000,000 2010/06/28
62715 RB of Scotland N.V. HSCEI R Bull CBBC Oct 2010 B 0.250 10,700 per 10,000 units 11,200 per 10,000 units 2010/10/28 250,000,000 2010/06/28
62716 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 U 0.250 19,300 per 13,000 units 19,800 per 13,000 units 2010/10/28 250,000,000 2010/06/28
62719 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 V 0.250 19,500 per 13,000 units 20,000 per 13,000 units 2010/10/28 250,000,000 2010/06/28
62720 RB of Scotland N.V. HSI R Bull CBBC Oct 2010 W 0.250 19,700 per 13,000 units 20,200 per 13,000 units 2010/10/28 250,000,000 2010/06/28
62655 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10F 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/09/29 300,000,000 2010/06/28
62654 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10I 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/09/29 300,000,000 2010/06/28
62650 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10L 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/09/29 300,000,000 2010/06/28
62653 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10N 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/09/29 300,000,000 2010/06/28
62652 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10S 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/09/29 300,000,000 2010/06/28
62651 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Sep10Y 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/09/29 300,000,000 2010/06/28
62632 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10A 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62635 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10O 0.265 22,500 per 12,000 units 22,000 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62634 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10P 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2010/10/28 300,000,000 2010/06/28
62633 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10Q 0.295 22,300 per 10,000 units 21,800 per 10,000 units 2010/10/28 300,000,000 2010/06/28
62658 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10U 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/10/28 300,000,000 2010/06/28
62657 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10W 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2010/10/28 300,000,000 2010/06/28
62656 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10X 0.260 22,600 per 10,000 units 22,100 per 10,000 units 2010/10/28 300,000,000 2010/06/28
62659 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10A 0.315 22,900 per 10,000 units 22,400 per 10,000 units 2010/11/29 300,000,000 2010/06/28
62660 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10B 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2010/11/29 300,000,000 2010/06/28
62661 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10C 0.285 23,100 per 12,000 units 22,600 per 12,000 units 2010/11/29 300,000,000 2010/06/28
62662 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10D 0.355 23,200 per 10,000 units 22,700 per 10,000 units 2010/11/29 300,000,000 2010/06/28
62663 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10E 0.250 23,300 per 15,000 units 22,800 per 15,000 units 2010/11/29 300,000,000 2010/06/28
62664 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10F 0.315 23,400 per 12,000 units 22,900 per 12,000 units 2010/11/29 300,000,000 2010/06/28
62668 UBS AG China Mobile R Bull CBBC Nov 2010 H 0.250 70.88 per 100 units 74.88 per 100 units 2010/11/08 100,000,000 2010/06/28
62667 UBS AG China Life R Bull CBBC Nov 2010 E 0.250 33.880 34.880 2010/11/15 100,000,000 2010/06/28
62666 UBS AG CNOOC R Bear CBBC Dec 2010 F 0.275 16.680 15.880 2010/12/13 100,000,000 2010/06/28
62674 UBS AG A50 China R Bull CBBC Oct 2010 A 0.250 11.480 11.880 2010/10/28 100,000,000 2010/06/28
62669 UBS AG HKEx R Bull CBBC Nov 2010 F 0.250 112.88 per 100 units 118.88 per 100 units 2010/11/15 100,000,000 2010/06/28
62670 UBS AG HSBC R Bull CBBC Nov 2010 F 0.250 68.88 per 100 units 73.88 per 100 units 2010/11/22 100,000,000 2010/06/28
62675 UBS AG HSCEI R Bull CBBC Oct 2010 J 0.250 10,800 per 12,000 units 11,300 per 12,000 units 2010/10/28 100,000,000 2010/06/28
62676 UBS AG HSCEI R Bull CBBC Dec 2010 C 0.250 11,000 per 20,000 units 11,500 per 20,000 units 2010/12/30 100,000,000 2010/06/28
62681 UBS AG HSI R Bull CBBC Sep 2010 X 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/09/29 200,000,000 2010/06/28
62682 UBS AG HSI R Bull CBBC Nov 2010 U 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 200,000,000 2010/06/28
62639 UBS AG HSI R Bear CBBC Sep 2010 I 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/09/29 200,000,000 2010/06/28
62640 UBS AG HSI R Bear CBBC Dec 2010 D 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 200,000,000 2010/06/28
62683 UBS AG HSI R Bear CBBC Dec 2010 E 0.250 22,900 per 12,000 units 22,400 per 12,000 units 2010/12/30 200,000,000 2010/06/28
62641 UBS AG HSI R Bear CBBC Jan 2011 J 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2011/01/28 300,000,000 2010/06/28
62642 UBS AG HSI R Bear CBBC Feb 2011 C 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2011/02/25 300,000,000 2010/06/28
62671 UBS AG ICBC R Bull CBBC Nov 2010 D 0.250 5.080 5.480 2010/11/22 100,000,000 2010/06/28
62672 UBS AG SHK Ppt R Bull CBBC Dec 2010 C 0.250 90.88 per 100 units 98.88 per 100 units 2010/12/06 100,000,000 2010/06/28
62673 UBS AG TCH R Bull CBBC Nov 2010 N 0.250 115.88 per 100 units 123.88 per 100 units 2010/11/01 100,000,000 2010/06/28
62566 # Credit Suisse AG HSI R Bull CBBC Nov 2010 S 0.089 19,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 300,000,000 2010/06/28
62722 Barclays Bank plc HSI R Bull CBBC Nov 2010 N 0.163 19,000 per 12,000 units 19,500 per 12,000 units 2010/11/29 300,000,000 2010/06/29
62723 Barclays Bank plc HSI R Bull CBBC Nov 2010 O 0.155 19,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 300,000,000 2010/06/29
62724 Barclays Bank plc HSI R Bull CBBC Dec 2010 A 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/12/30 300,000,000 2010/06/29
62727 Barclays Bank plc HSI R Bull CBBC Dec 2010 B 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/12/30 300,000,000 2010/06/29
62728 Barclays Bank plc HSI R Bull CBBC Dec 2010 C 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 300,000,000 2010/06/29
62741 Credit Suisse AG HSI R Bull CBBC Nov 2010 X 0.250 19,900 per 13,000 units 20,400 per 13,000 units 2010/11/29 325,000,000 2010/06/29
62743 Credit Suisse AG HSI R Bull CBBC Nov 2010 Y 0.250 20,300 per 22,000 units 20,800 per 22,000 units 2010/11/29 330,000,000 2010/06/29
62758 Credit Suisse AG HSI R Bear CBBC Oct 2010 H 0.250 21,400 per 13,000 units 20,900 per 13,000 units 2010/10/28 325,000,000 2010/06/29
62733 Deutsche Bank AG HSI R Bull CBBC Oct 2010 W 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/10/28 300,000,000 2010/06/29
62730 HK Bank HSI R Bull CBBC Dec 2010 F 0.250 19,600 per 20,000 units 20,100 per 20,000 units 2010/12/30 120,000,000 2010/06/29
62731 HK Bank HSI R Bull CBBC Dec 2010 G 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 120,000,000 2010/06/29
62732 HK Bank HSI R Bull CBBC Dec 2010 H 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 120,000,000 2010/06/29
62736 HK Bank HSI R Bear CBBC Dec 2010 I 0.250 23,600 per 12,000 units 23,100 per 12,000 units 2010/12/30 120,000,000 2010/06/29
62737 HK Bank HSI R Bear CBBC Dec 2010 J 0.250 24,000 per 28,000 units 23,500 per 28,000 units 2010/12/30 120,000,000 2010/06/29
62744 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Nov 10A 0.250 10.880 11.380 2010/11/10 88,000,000 2010/06/29
62745 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Nov 10B 0.250 11.180 11.680 2010/11/01 88,000,000 2010/06/29
62750 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Nov 10C 0.250 14.180 13.680 2010/11/15 88,000,000 2010/06/29
62746 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Sep 2010 K 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/09/29 128,000,000 2010/06/29
62747 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 Y 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 128,000,000 2010/06/29
62748 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 B 0.250 19,200 per 15,000 units 19,700 per 15,000 units 2010/12/30 158,000,000 2010/06/29
62749 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 C 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/12/30 128,000,000 2010/06/29
62751 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 N 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 158,000,000 2010/06/29
62752 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 I 0.250 22,800 per 10,000 units 22,300 per 10,000 units 2010/11/29 128,000,000 2010/06/29
62754 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 K 0.290 23,500 per 10,000 units 23,000 per 10,000 units 2010/11/29 128,000,000 2010/06/29
62721 Macquarie Bank Ltd. HSI R Bull CBBC Oct 2010 E 0.251 19,400 per 12,000 units 20,000 per 12,000 units 2010/10/28 200,000,000 2010/06/29
62726 Macquarie Bank Ltd. HSI R Bear CBBC Oct 2010 F 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2010/10/28 200,000,000 2010/06/29
62755 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 A 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62756 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 B 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62757 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 C 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62761 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 D 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62762 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 E 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62734 UBS AG HSI R Bull CBBC Sep 2010 M 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/09/29 200,000,000 2010/06/29
62735 UBS AG HSI R Bull CBBC Dec 2010 F 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 200,000,000 2010/06/29
62738 UBS AG HSI R Bull CBBC Dec 2010 I 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 200,000,000 2010/06/29
62740 UBS AG HSI R Bear CBBC Sep 2010 O 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/09/29 200,000,000 2010/06/29
62742 UBS AG HSI R Bear CBBC Dec 2010 G 0.310 24,000 per 10,000 units 23,500 per 10,000 units 2010/12/30 200,000,000 2010/06/29
62739 UBS AG HSI R Bear CBBC Jan 2011 K 0.290 23,800 per 10,000 units 23,300 per 10,000 units 2011/01/28 200,000,000 2010/06/29
62760 Credit Suisse AG HSI R Bull CBBC Nov 2010 Z 0.250 20,200 per 15,000 units 20,700 per 15,000 units 2010/11/29 300,000,000 2010/06/30
62778 Deutsche Bank AG CC Bank R Bull CBBC Dec 2010 A 0.250 5.580 5.980 2010/12/06 150,000,000 2010/06/30
62779 Deutsche Bank AG China Life R Bull CBBC Nov 2010 C 0.400 32.680 33.680 2010/11/29 150,000,000 2010/06/30
62767 Deutsche Bank AG HSI R Bear CBBC Nov 2010 Q 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 300,000,000 2010/06/30
62769 J P Morgan SP BV HSI R Bear CBBC Nov 2010 D 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/11/29 200,000,000 2010/06/30
62766 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10H 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 300,000,000 2010/06/30
62759 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Oct10Z 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/10/28 300,000,000 2010/06/30
62775 UBS AG China Mobile R Bear CBBC Dec 2010 C 0.250 96.88 per 100 units 92.88 per 100 units 2010/12/28 100,000,000 2010/06/30
62771 UBS AG China Shenhua R Bull CBBC Dec 2010 B 0.250 24.88 per 100 units 26.88 per 100 units 2010/12/28 100,000,000 2010/06/30
62763 UBS AG HSI R Bull CBBC Oct 2010 J 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/10/28 200,000,000 2010/06/30
62764 UBS AG HSI R Bull CBBC Jan 2011 L 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2011/01/28 300,000,000 2010/06/30
62765 UBS AG HSI R Bull CBBC Feb 2011 D 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2011/02/25 300,000,000 2010/06/30
62777 UBS AG HSI R Bear CBBC Nov 2010 N 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/11/29 200,000,000 2010/06/30
62773 UBS AG Jiangxi Copper R Bull CBBC Dec 2010 A 0.310 12.380 13.880 2010/12/06 100,000,000 2010/06/30
62770 UBS AG Petrochina R Bull CBBC Jan 2011 A 0.250 7.280 7.880 2011/01/17 100,000,000 2010/06/30
62776 UBS AG Petrochina R Bear CBBC Jan 2011 B 0.250 10.480 9.880 2011/01/03 100,000,000 2010/06/30
62774 UBS AG TCH R Bull CBBC Jan 2011 B 0.340 90.88 per 100 units 98.88 per 100 units 2011/01/17 100,000,000 2010/06/30
62787 Credit Suisse AG A50 China R Bull CBBC Nov 2010 B 0.250 11.600 12.000 2010/11/22 100,000,000 2010/07/02
62786 Credit Suisse AG HKEx R Bear CBBC Nov 2010 A 0.250 144 per 100 units 138 per 100 units 2010/11/29 100,000,000 2010/07/02
62780 Credit Suisse AG HSI R Bull CBBC Dec 2010 O 0.250 19,400 per 13,000 units 19,900 per 13,000 units 2010/12/30 325,000,000 2010/07/02
62781 Credit Suisse AG HSI R Bull CBBC Dec 2010 P 0.250 19,600 per 13,000 units 20,100 per 13,000 units 2010/12/30 325,000,000 2010/07/02
62782 Credit Suisse AG HSI R Bull CBBC Dec 2010 Q 0.250 20,100 per 13,000 units 20,600 per 13,000 units 2010/12/30 325,000,000 2010/07/02
62788 Credit Suisse AG HSI R Bull CBBC Dec 2010 R 0.250 18,900 per 13,000 units 19,400 per 13,000 units 2010/12/30 325,000,000 2010/07/02
62783 Credit Suisse AG HSI R Bear CBBC Oct 2010 F 0.250 21,800 per 13,000 units 21,300 per 13,000 units 2010/10/28 325,000,000 2010/07/02
62784 Credit Suisse AG HSI R Bear CBBC Oct 2010 N 0.250 22,300 per 13,000 units 21,800 per 13,000 units 2010/10/28 325,000,000 2010/07/02
62785 Credit Suisse AG HSI R Bear CBBC Oct 2010 P 0.250 22,700 per 13,000 units 22,200 per 13,000 units 2010/10/28 325,000,000 2010/07/02
62789 Deutsche Bank AG HSI R Bull CBBC Nov 2010 X 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 300,000,000 2010/07/02
62790 Deutsche Bank AG HSI R Bull CBBC Dec 2010 O 0.270 19,800 per 10,000 units 20,300 per 10,000 units 2010/12/30 300,000,000 2010/07/02
62795 Goldman Sachs SP (Asia) HSI R Bull CBBC Nov 2010 F 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/11/29 200,000,000 2010/07/02
62796 Goldman Sachs SP (Asia) HSI R Bull CBBC Dec 2010 D 0.250 19,200 per 12,000 units 19,700 per 12,000 units 2010/12/30 200,000,000 2010/07/02
62797 Goldman Sachs SP (Asia) HSI R Bull CBBC Dec 2010 E 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/12/30 200,000,000 2010/07/02
62798 Goldman Sachs SP (Asia) HSI R Bear CBBC Nov 2010 G 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/11/29 200,000,000 2010/07/02
62799 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 F 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 200,000,000 2010/07/02
62800 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 G 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/12/30 200,000,000 2010/07/02
62792 UBS AG HSI R Bull CBBC Nov 2010 F 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 200,000,000 2010/07/02
62794 UBS AG HSI R Bull CBBC Dec 2010 L 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/12/30 200,000,000 2010/07/02
62805 Credit Suisse AG HSI R Bear CBBC Oct 2010 V 0.250 21,200 per 13,000 units 20,700 per 13,000 units 2010/10/28 390,000,000 2010/07/05
62802 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Q 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 300,000,000 2010/07/05
62803 Deutsche Bank AG HSI R Bear CBBC Dec 2010 R 0.290 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 300,000,000 2010/07/05
62804 Deutsche Bank AG HSI R Bear CBBC Dec 2010 S 0.330 22,000 per 10,000 units 21,500 per 10,000 units 2010/12/30 300,000,000 2010/07/05
62801 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10H 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/11/29 300,000,000 2010/07/05
62806 UBS AG HSI R Bear CBBC Nov 2010 D 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 200,000,000 2010/07/05
62810 Credit Suisse AG HSI R Bear CBBC Oct 2010 Z 0.250 21,300 per 15,000 units 20,800 per 15,000 units 2010/10/28 390,000,000 2010/07/06
62807 Deutsche Bank AG HSI R Bear CBBC Oct 2010 V 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/10/28 300,000,000 2010/07/06
62808 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10I 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 300,000,000 2010/07/06
62809 UBS AG HSI R Bear CBBC Feb 2011 E 0.250 23,300 per 38,000 units 22,800 per 38,000 units 2011/02/25 300,000,000 2010/07/06
62824 Credit Suisse AG A50 China R Bear CBBC Nov 2010 C 0.250 12.780 12.380 2010/11/22 100,000,000 2010/07/07
62814 Credit Suisse AG HSI R Bull CBBC Dec 2010 S 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 390,000,000 2010/07/07
62843 Credit Suisse AG HSI R Bull CBBC Dec 2010 T 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/12/30 390,000,000 2010/07/07
62825 Credit Suisse AG HSI R Bear CBBC Oct 2010 A 0.250 20,800 per 13,000 units 20,300 per 13,000 units 2010/10/28 390,000,000 2010/07/07
62826 Credit Suisse AG HSI R Bear CBBC Nov 2010 B 0.250 21,100 per 15,000 units 20,600 per 15,000 units 2010/11/29 390,000,000 2010/07/07
62811 Deutsche Bank AG HSI R Bull CBBC Oct 2010 G 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 300,000,000 2010/07/07
62815 Deutsche Bank AG HSI R Bull CBBC Dec 2010 T 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2010/12/30 300,000,000 2010/07/07
62816 Deutsche Bank AG HSI R Bull CBBC Jan 2011 C 0.300 18,700 per 10,000 units 19,200 per 10,000 units 2011/01/28 300,000,000 2010/07/07
62818 Deutsche Bank AG HSI R Bull CBBC Jan 2011 D 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2011/01/28 300,000,000 2010/07/07
62827 Deutsche Bank AG HSI R Bear CBBC Nov 2010 C 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 300,000,000 2010/07/07
62817 Deutsche Bank AG HSI R Bear CBBC Nov 2010 V 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/07/07
62828 Deutsche Bank AG HSI R Bear CBBC Dec 2010 U 0.270 21,000 per 10,000 units 20,500 per 10,000 units 2010/12/30 300,000,000 2010/07/07
62841 J P Morgan SP BV HSI R Bear CBBC Oct 2010 W 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 200,000,000 2010/07/07
62842 J P Morgan SP BV HSI R Bear CBBC Oct 2010 X 0.250 21,000 per 8,000 units 20,500 per 8,000 units 2010/10/28 200,000,000 2010/07/07
62820 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 R 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/10/28 128,000,000 2010/07/07
62823 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 L 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 128,000,000 2010/07/07
62839 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 T 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 128,000,000 2010/07/07
62838 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 W 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 128,000,000 2010/07/07
62840 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 M 0.290 21,300 per 10,000 units 20,800 per 10,000 units 2010/11/29 128,000,000 2010/07/07
62829 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 H 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 200,000,000 2010/07/07
62830 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 I 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 200,000,000 2010/07/07
62831 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 J 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 200,000,000 2010/07/07
62832 UBS AG CC Bank R Bull CBBC Nov 2010 A 0.250 5.780 6.180 2010/11/29 100,000,000 2010/07/07
62833 UBS AG China Life R Bear CBBC Nov 2010 F 0.250 36.880 35.880 2010/11/08 100,000,000 2010/07/07
62835 UBS AG A50 China R Bear CBBC Oct 2010 B 0.250 12.780 12.380 2010/10/28 100,000,000 2010/07/07
62819 UBS AG HSI R Bull CBBC Nov 2010 Y 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/07/07
62813 UBS AG HSI R Bull CBBC Dec 2010 N 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 200,000,000 2010/07/07
62836 UBS AG HSI R Bear CBBC Oct 2010 Y 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/10/28 200,000,000 2010/07/07
62837 UBS AG HSI R Bear CBBC Dec 2010 P 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/07/07
62873 Credit Suisse AG A50 China R Bear CBBC Nov 2010 D 0.250 12.280 11.880 2010/11/22 100,000,000 2010/07/08
62876 Credit Suisse AG HSI R Bull CBBC Dec 2010 U 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/12/30 390,000,000 2010/07/08
62874 Credit Suisse AG HSI R Bear CBBC Oct 2010 B 0.250 21,000 per 13,000 units 20,500 per 13,000 units 2010/10/28 390,000,000 2010/07/08
62875 Credit Suisse AG HSI R Bear CBBC Nov 2010 E 0.250 21,300 per 22,000 units 20,800 per 22,000 units 2010/11/29 440,000,000 2010/07/08
62864 Deutsche Bank AG HSI R Bull CBBC Oct 2010 X 0.260 19,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 300,000,000 2010/07/08
62865 Deutsche Bank AG HSI R Bull CBBC Nov 2010 E 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/07/08
62880 Deutsche Bank AG HSI R Bear CBBC Oct 2010 Y 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 300,000,000 2010/07/08
62862 HK Bank HSI R Bear CBBC Dec 2010 K 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/12/30 100,000,000 2010/07/08
62863 HK Bank HSI R Bear CBBC Dec 2010 L 0.250 21,300 per 15,000 units 20,800 per 15,000 units 2010/12/30 100,000,000 2010/07/08
62886 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 K 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/12/30 200,000,000 2010/07/08
62891 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 L 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 200,000,000 2010/07/08
62892 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 M 0.250 21,200 per 12,000 units 20,700 per 12,000 units 2010/12/30 200,000,000 2010/07/08
62878 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 A 0.250 10,900 per 60,000 units 10,500 per 60,000 units 2010/12/17 40,000,000 2010/07/08
62877 RB of Scotland N.V. HSI R Bear CBBC Oct 2010 X 0.250 21,300 per 13,000 units 20,800 per 13,000 units 2010/10/28 250,000,000 2010/07/08
62879 RB of Scotland N.V. Nikkei 225 R Bear CBBC Dec 2010 A 0.250 10,400 per 1,000 units 10,000 per 1,000 units 2010/12/10 40,000,000 2010/07/08
62846 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Oct10A 0.470 30.000 31.000 2010/10/27 100,000,000 2010/07/08
62847 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Oct10B 0.360 31.000 32.000 2010/10/27 100,000,000 2010/07/08
62849 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Oct10A 0.250 10.600 11.000 2010/10/27 150,000,000 2010/07/08
62853 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Oct10B 0.250 12.900 12.500 2010/10/27 150,000,000 2010/07/08
62848 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Oct10A 0.250 61 per 100 units 65 per 100 units 2010/10/27 300,000,000 2010/07/08
62854 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Oct10A 0.250 9,500 per 12,000 units 10,000 per 12,000 units 2010/10/28 200,000,000 2010/07/08
62855 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Oct10B 0.250 10,000 per 12,000 units 10,500 per 12,000 units 2010/10/28 200,000,000 2010/07/08
62856 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Oct10C 0.250 10,500 per 12,000 units 11,000 per 12,000 units 2010/10/28 200,000,000 2010/07/08
62871 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10F 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 300,000,000 2010/07/08
62870 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10G 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2010/10/28 300,000,000 2010/07/08
62857 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10M 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/10/28 300,000,000 2010/07/08
62858 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10J 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 300,000,000 2010/07/08
62859 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10K 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/11/29 300,000,000 2010/07/08
62860 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10L 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/11/29 300,000,000 2010/07/08
62861 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10M 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/11/29 300,000,000 2010/07/08
62872 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10N 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/07/08
62867 UBS AG HKEx R Bear CBBC Nov 2010 G 0.250 134.88 per 100 units 128.88 per 100 units 2010/11/15 100,000,000 2010/07/08
62866 UBS AG HSBC R Bear CBBC Nov 2010 G 0.250 80 per 100 units 75 per 100 units 2010/11/22 100,000,000 2010/07/08
62881 UBS AG HSCEI R Bull CBBC Dec 2010 D 0.250 9,500 per 20,000 units 10,000 per 20,000 units 2010/12/30 100,000,000 2010/07/08
62882 UBS AG HSCEI R Bear CBBC Dec 2010 E 0.250 12,500 per 20,000 units 12,000 per 20,000 units 2010/12/30 100,000,000 2010/07/08
62868 UBS AG HSI R Bull CBBC Nov 2010 W 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 200,000,000 2010/07/08
62869 UBS AG HSI R Bull CBBC Jan 2011 M 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2011/01/28 200,000,000 2010/07/08
62884 UBS AG HSI R Bear CBBC Dec 2010 R 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 200,000,000 2010/07/08
62885 UBS AG HSI R Bear CBBC Jan 2011 N 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2011/01/28 300,000,000 2010/07/08
62578 # HK Bank HSI R Bull CBBC Nov 2010 F 0.136 18,600 per 10,000 units 19,100 per 10,000 units 2010/11/29 150,000,000 2010/07/08
62890 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jan 2011 B 0.250 19,000 per 11,000 units 19,500 per 11,000 units 2011/01/28 100,000,000 2010/07/09
62893 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Dec 2010 L 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 100,000,000 2010/07/09
62894 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jan 2011 C 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2011/01/28 100,000,000 2010/07/09
62905 Credit Suisse AG HSI R Bull CBBC Dec 2010 V 0.250 19,400 per 13,000 units 19,900 per 13,000 units 2010/12/30 390,000,000 2010/07/09
62902 Credit Suisse AG HSI R Bear CBBC Nov 2010 I 0.250 20,400 per 13,000 units 19,900 per 13,000 units 2010/11/29 390,000,000 2010/07/09
62904 Credit Suisse AG HSI R Bear CBBC Nov 2010 M 0.250 20,900 per 22,000 units 20,400 per 22,000 units 2010/11/29 440,000,000 2010/07/09
62903 Credit Suisse AG HSI R Bear CBBC Nov 2010 O 0.250 20,700 per 15,000 units 20,200 per 15,000 units 2010/11/29 390,000,000 2010/07/09
62900 Deutsche Bank AG HSI R Bull CBBC Jan 2011 E 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2011/01/28 300,000,000 2010/07/09
62901 Deutsche Bank AG HSI R Bull CBBC Jan 2011 F 0.260 19,600 per 10,000 units 20,100 per 10,000 units 2011/01/28 300,000,000 2010/07/09
62911 Deutsche Bank AG HSI R Bear CBBC Nov 2010 W 0.250 20,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 300,000,000 2010/07/09
62912 Deutsche Bank AG HSI R Bear CBBC Dec 2010 V 0.270 20,600 per 10,000 units 20,100 per 10,000 units 2010/12/30 300,000,000 2010/07/09
62898 HK Bank China Mobile R Bull CBBC Jan 2011 A 0.250 70.88 per 100 units 73.88 per 100 units 2011/01/18 100,000,000 2010/07/09
62895 HK Bank CC Bank R Bull CBBC Jan 2011 A 0.250 5.380 5.680 2011/01/18 100,000,000 2010/07/09
62896 HK Bank China Life R Bull CBBC Jan 2011 A 0.250 30.38 per 100 units 31.38 per 100 units 2011/01/18 100,000,000 2010/07/09
62897 HK Bank China Life R Bear CBBC Jan 2011 B 0.250 38.28 per 100 units 37.28 per 100 units 2011/01/18 100,000,000 2010/07/09
62899 HK Bank ICBC R Bull CBBC Jan 2011 A 0.250 4.880 5.180 2011/01/18 100,000,000 2010/07/09
62909 J P Morgan SP BV HSI R Bear CBBC Nov 2010 E 0.250 20,500 per 8,000 units 20,000 per 8,000 units 2010/11/29 200,000,000 2010/07/09
62918 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 N 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/12/30 200,000,000 2010/07/09
62919 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 O 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/12/30 200,000,000 2010/07/09
62921 RB of Scotland N.V. BYD Company R Bull CBBC Dec 2010 A 0.251 43.08 per 100 units 48.08 per 100 units 2010/12/13 80,000,000 2010/07/09
62925 RB of Scotland N.V. BYD Company R Bear CBBC Dec 2010 B 0.251 68.08 per 100 units 63.08 per 100 units 2010/12/13 80,000,000 2010/07/09
62910 RB of Scotland N.V. DJIA R Bull CBBC Dec 2010 B 0.250 8,600 per 60,000 units 9,000 per 60,000 units 2010/12/17 40,000,000 2010/07/09
62914 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 C 0.254 10,650 per 30,000 units 10,250 per 30,000 units 2010/12/17 40,000,000 2010/07/09
62920 RB of Scotland N.V. A50 China R Bear CBBC Nov 2010 A 0.251 12.820 12.320 2010/11/15 80,000,000 2010/07/09
62922 RB of Scotland N.V. HSCEI R Bear CBBC Nov 2010 A 0.251 12,500 per 10,000 units 12,000 per 10,000 units 2010/11/29 250,000,000 2010/07/09
62923 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 B 0.251 20,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 250,000,000 2010/07/09
62924 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 C 0.251 21,100 per 13,000 units 20,600 per 13,000 units 2010/11/29 250,000,000 2010/07/09
62906 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10O 0.250 20,400 per 12,000 units 19,900 per 12,000 units 2010/11/29 300,000,000 2010/07/09
62907 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10P 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/11/29 300,000,000 2010/07/09
62908 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Q 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/11/29 300,000,000 2010/07/09
62887 UBS AG HSI R Bull CBBC Oct 2010 Q 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 200,000,000 2010/07/09
62889 UBS AG HSI R Bull CBBC Dec 2010 Q 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/12/30 200,000,000 2010/07/09
62913 UBS AG HSI R Bear CBBC Oct 2010 J 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/10/28 200,000,000 2010/07/09
62915 UBS AG HSI R Bear CBBC Dec 2010 S 0.250 20,400 per 10,000 units 19,900 per 10,000 units 2010/12/30 200,000,000 2010/07/09
62916 UBS AG HSI R Bear CBBC Dec 2010 U 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/12/30 200,000,000 2010/07/09
62917 UBS AG HSI R Bear CBBC Jan 2011 O 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2011/01/28 200,000,000 2010/07/09
62935 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jan 2011 D 0.250 18,600 per 12,000 units 19,100 per 12,000 units 2011/01/28 100,000,000 2010/07/12
62936 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 A 0.250 18,300 per 10,000 units 18,800 per 10,000 units 2011/02/25 100,000,000 2010/07/12
62939 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jan 2011 E 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2011/01/28 100,000,000 2010/07/12
62928 Credit Suisse AG HSI R Bull CBBC Dec 2010 W 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2010/12/30 420,000,000 2010/07/12
62932 Credit Suisse AG HSI R Bull CBBC Dec 2010 X 0.250 19,300 per 15,000 units 19,800 per 15,000 units 2010/12/30 390,000,000 2010/07/12
62929 Credit Suisse AG HSI R Bear CBBC Oct 2010 Y 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/10/28 390,000,000 2010/07/12
62930 Credit Suisse AG HSI R Bear CBBC Nov 2010 Y 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/11/29 420,000,000 2010/07/12
62933 Deutsche Bank AG HSI R Bull CBBC Dec 2010 W 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/12/30 300,000,000 2010/07/12
62927 HK Bank HSI R Bull CBBC Dec 2010 M 0.250 18,300 per 18,000 units 18,800 per 18,000 units 2010/12/30 120,000,000 2010/07/12
62931 HK Bank HSI R Bear CBBC Dec 2010 N 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/12/30 120,000,000 2010/07/12
62944 J P Morgan SP BV HSI R Bull CBBC Nov 2010 F 0.250 19,000 per 15,000 units 19,500 per 15,000 units 2010/11/29 200,000,000 2010/07/12
62948 J P Morgan SP BV HSI R Bear CBBC Nov 2010 G 0.250 20,400 per 15,000 units 19,900 per 15,000 units 2010/11/29 200,000,000 2010/07/12
62943 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 N 0.250 20,600 per 12,000 units 20,100 per 12,000 units 2010/11/29 128,000,000 2010/07/12
62937 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10C 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/10/28 300,000,000 2010/07/12
62926 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10I 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2010/10/28 300,000,000 2010/07/12
62938 UBS AG HSCEI R Bear CBBC Nov 2010 G 0.250 12,300 per 12,000 units 11,800 per 12,000 units 2010/11/29 100,000,000 2010/07/12
62934 UBS AG HSI R Bull CBBC Nov 2010 K 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/11/29 200,000,000 2010/07/12
62941 UBS AG HSI R Bear CBBC Nov 2010 U 0.250 20,500 per 10,000 units 20,000 per 10,000 units 2010/11/29 200,000,000 2010/07/12
62942 UBS AG HSI R Bear CBBC Feb 2011 F 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2011/02/25 300,000,000 2010/07/12
62949 Credit Suisse AG A50 China R Bull CBBC Jan 2011 B 0.250 10.600 11.000 2011/01/17 100,000,000 2010/07/13
62946 Credit Suisse AG HSI R Bull CBBC Dec 2010 Y 0.250 17,900 per 15,000 units 18,400 per 15,000 units 2010/12/30 390,000,000 2010/07/13
62947 Credit Suisse AG HSI R Bull CBBC Dec 2010 Z 0.250 18,200 per 13,000 units 18,700 per 13,000 units 2010/12/30 390,000,000 2010/07/13
62945 Credit Suisse AG HSI R Bear CBBC Nov 2010 X 0.250 20,600 per 22,000 units 20,100 per 22,000 units 2010/11/29 440,000,000 2010/07/13
62956 Deutsche Bank AG HSI R Bull CBBC Nov 2010 I 0.280 17,500 per 15,000 units 18,000 per 15,000 units 2010/11/29 300,000,000 2010/07/13
62957 Deutsche Bank AG HSI R Bull CBBC Nov 2010 T 0.250 18,000 per 15,000 units 18,500 per 15,000 units 2010/11/29 300,000,000 2010/07/13
62955 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 P 0.250 19,300 per 10,000 units 19,800 per 10,000 units 2010/12/30 200,000,000 2010/07/13
62959 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 Q 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 200,000,000 2010/07/13
62951 UBS AG A50 China R Bear CBBC Jan 2011 A 0.250 13.280 12.880 2011/01/03 100,000,000 2010/07/13
62952 UBS AG A50 China R Bear CBBC Jan 2011 B 0.250 13.780 13.380 2011/01/17 100,000,000 2010/07/13
62953 UBS AG HSI R Bull CBBC Nov 2010 V 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 200,000,000 2010/07/13
62954 UBS AG HSI R Bear CBBC Dec 2010 T 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/12/30 200,000,000 2010/07/13
62950 UBS AG TCH R Bull CBBC Nov 2010 O 0.250 120.88 per 100 units 128.88 per 100 units 2010/11/22 100,000,000 2010/07/13
62963 Deutsche Bank AG HSI R Bear CBBC Nov 2010 L 0.250 20,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 300,000,000 2010/07/14
62964 Deutsche Bank AG HSI R Bear CBBC Jan 2011 G 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2011/01/28 300,000,000 2010/07/14
62958 J P Morgan SP BV HSI R Bull CBBC Nov 2010 H 0.250 19,300 per 8,000 units 19,800 per 8,000 units 2010/11/29 200,000,000 2010/07/14
62960 J P Morgan SP BV HSI R Bull CBBC Nov 2010 I 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/11/29 200,000,000 2010/07/14
62962 RB of Scotland N.V. Nikkei 225 R Bull CBBC Dec 2010 B 0.251 8,100 per 1,000 units 8,500 per 1,000 units 2010/12/10 40,000,000 2010/07/14
62961 UBS AG HSI R Bull CBBC Feb 2011 G 0.250 19,300 per 38,000 units 19,800 per 38,000 units 2011/02/25 300,000,000 2010/07/14
61664 # UBS AG HSI R Bull CBBC Oct 2009 E 0.139 11,400 per 18,000 units 12,400 per 18,000 units 2009/10/29 160,000,000 2010/07/14
61730 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 G 0.116 21,500 per 10,000 units 21,000 per 10,000 units 2010/08/30 160,000,000 2010/07/14
62225 # RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 N 0.310 11,150 per 30,000 units 10,750 per 30,000 units 2010/09/17 60,000,000 2010/07/14
62965 Credit Suisse AG HSI R Bull CBBC Nov 2010 V 0.250 19,600 per 13,000 units 20,100 per 13,000 units 2010/11/29 390,000,000 2010/07/15
62966 Deutsche Bank AG HSI R Bear CBBC Jan 2011 H 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2011/01/28 300,000,000 2010/07/15
62972 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 R 0.250 20,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 200,000,000 2010/07/15
62967 UBS AG HSI R Bull CBBC Jan 2011 P 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2011/01/28 200,000,000 2010/07/15
62970 UBS AG HSI R Bear CBBC Dec 2010 K 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/12/30 200,000,000 2010/07/15
62969 UBS AG HSI R Bear CBBC Dec 2010 Z 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 200,000,000 2010/07/15
62971 UBS AG HSI R Bear CBBC Jan 2011 Q 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 200,000,000 2010/07/15
60972 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Aug 2010 H 0.184 23,100 per 15,000 units 22,600 per 15,000 units 2010/08/30 150,000,000 2010/07/15
62986 Credit Suisse AG HSI R Bull CBBC Dec 2010 C 0.250 19,800 per 13,000 units 20,300 per 13,000 units 2010/12/30 390,000,000 2010/07/16
62974 Credit Suisse AG HSI R Bear CBBC Oct 2010 X 0.250 20,700 per 13,000 units 20,200 per 13,000 units 2010/10/28 390,000,000 2010/07/16
62987 Deutsche Bank AG HSI R Bull CBBC Jan 2011 I 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2011/01/28 300,000,000 2010/07/16
62975 Deutsche Bank AG HSI R Bear CBBC Dec 2010 X 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/12/30 300,000,000 2010/07/16
62977 J P Morgan SP BV HSI R Bull CBBC Nov 2010 J 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2010/11/29 200,000,000 2010/07/16
62978 J P Morgan SP BV HSI R Bull CBBC Nov 2010 K 0.250 19,600 per 8,000 units 20,100 per 8,000 units 2010/11/29 200,000,000 2010/07/16
62979 J P Morgan SP BV HSI R Bull CBBC Nov 2010 L 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/11/29 200,000,000 2010/07/16
62980 J P Morgan SP BV HSI R Bull CBBC Nov 2010 M 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/07/16
62988 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 Y 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2010/10/28 128,000,000 2010/07/16
62989 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 O 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 128,000,000 2010/07/16
62982 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10F 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/10/28 300,000,000 2010/07/16
62981 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10M 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 300,000,000 2010/07/16
62984 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10S 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/11/29 300,000,000 2010/07/16
62973 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10R 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/07/16
62985 UBS AG HSI R Bull CBBC Nov 2010 F 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/07/16
62976 UBS AG HSI R Bear CBBC Dec 2010 J 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/12/30 200,000,000 2010/07/16
63015 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jan 2011 F 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2011/01/28 100,000,000 2010/07/19
62995 Credit Suisse AG A50 China R Bull CBBC Jan 2011 C 0.250 11.600 12.000 2011/01/17 100,000,000 2010/07/19
62997 Credit Suisse AG HSI R Bull CBBC Dec 2010 D 0.250 19,700 per 22,000 units 20,200 per 22,000 units 2010/12/30 440,000,000 2010/07/19
62998 Credit Suisse AG HSI R Bull CBBC Dec 2010 H 0.250 20,000 per 13,000 units 20,500 per 13,000 units 2010/12/30 390,000,000 2010/07/19
62992 Credit Suisse AG HSI R Bear CBBC Oct 2010 A 0.250 20,900 per 13,000 units 20,400 per 13,000 units 2010/10/28 390,000,000 2010/07/19
62996 Credit Suisse AG HSI R Bear CBBC Nov 2010 U 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/11/29 420,000,000 2010/07/19
63014 Deutsche Bank AG HSI R Bull CBBC Dec 2010 Z 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/12/30 300,000,000 2010/07/19
63013 Deutsche Bank AG HSI R Bull CBBC Jan 2011 J 0.380 16,900 per 15,000 units 17,400 per 15,000 units 2011/01/28 300,000,000 2010/07/19
62991 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Y 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/12/30 300,000,000 2010/07/19
63017 Deutsche Bank AG HSI R Bear CBBC Jan 2011 K 0.390 23,400 per 15,000 units 22,900 per 15,000 units 2011/01/28 300,000,000 2010/07/19
63007 J P Morgan SP BV HSI R Bull CBBC Nov 2010 N 0.250 19,900 per 8,000 units 20,400 per 8,000 units 2010/11/29 200,000,000 2010/07/19
63008 J P Morgan SP BV HSI R Bull CBBC Nov 2010 O 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/11/29 200,000,000 2010/07/19
63016 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 P 0.250 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 128,000,000 2010/07/19
63018 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 Q 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/11/29 128,000,000 2010/07/19
63019 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 R 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 128,000,000 2010/07/19
63020 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 D 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/12/30 128,000,000 2010/07/19
63022 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 E 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 128,000,000 2010/07/19
62999 Macquarie Bank Ltd. HSI R Bull CBBC Nov 2010 B 0.250 19,400 per 11,000 units 20,000 per 11,000 units 2010/11/29 200,000,000 2010/07/19
63009 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 S 0.250 19,400 per 12,000 units 19,900 per 12,000 units 2010/12/30 200,000,000 2010/07/19
63010 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 T 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 200,000,000 2010/07/19
63012 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 U 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 200,000,000 2010/07/19
63005 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10U 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 300,000,000 2010/07/19
62990 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10T 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/11/29 300,000,000 2010/07/19
63003 UBS AG CC Bank R Bull CBBC Dec 2010 C 0.250 5.780 6.180 2010/12/20 100,000,000 2010/07/19
63004 UBS AG A50 China R Bull CBBC Jan 2011 C 0.250 11.480 11.880 2011/01/03 100,000,000 2010/07/19
63000 UBS AG HSI R Bull CBBC Oct 2010 K 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/10/28 200,000,000 2010/07/19
63001 UBS AG HSI R Bull CBBC Oct 2010 Y 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 200,000,000 2010/07/19
63002 UBS AG HSI R Bull CBBC Mar 2011 B 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2011/03/30 300,000,000 2010/07/19
62993 UBS AG HSI R Bear CBBC Jan 2011 R 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2011/01/28 200,000,000 2010/07/19
62994 UBS AG HSI R Bear CBBC Jan 2011 S 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2011/01/28 200,000,000 2010/07/19
63025 Credit Suisse AG HSI R Bull CBBC Dec 2010 F 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2010/12/30 390,000,000 2010/07/20
63030 Deutsche Bank AG China Life R Bull CBBC Dec 2010 C 0.290 31.680 32.680 2010/12/20 150,000,000 2010/07/20
63034 Deutsche Bank AG China Life R Bear CBBC Dec 2010 D 0.300 35.680 34.680 2010/12/20 150,000,000 2010/07/20
63027 Deutsche Bank AG HSI R Bull CBBC Dec 2010 K 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/12/30 300,000,000 2010/07/20
63035 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC Jan2011A 0.250 70 per 100 units 74 per 100 units 2011/01/20 80,000,000 2010/07/20
63043 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Jan2011B 0.250 92.88 per 100 units 88.88 per 100 units 2011/01/20 80,000,000 2010/07/20
63031 KBC Fin Products Int’l Ltd. Ch Life R Bull CBBC Jan 2011 A 0.250 32.000 33.000 2011/01/20 80,000,000 2010/07/20
63032 KBC Fin Products Int’l Ltd. Ch Life R Bull CBBC Feb 2011 A 0.310 31.000 32.000 2011/02/18 80,000,000 2010/07/20
63033 KBC Fin Products Int’l Ltd. Ch Life R Bull CBBC Mar 2011 A 0.420 30.000 31.000 2011/03/01 60,000,000 2010/07/20
63042 KBC Fin Products Int’l Ltd. Ch Life R Bear CBBC Jan 2011 B 0.450 37.880 36.880 2011/01/20 60,000,000 2010/07/20
63036 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Jan 2011 A 0.250 5.380 5.780 2011/01/20 80,000,000 2010/07/20
63037 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC Mar 2011 A 0.250 5.000 5.400 2011/03/01 80,000,000 2010/07/20
63038 KBC Fin Products Int’l Ltd. CP&CC R Bull CBBC May 2011 A 0.250 4.680 5.080 2011/05/05 80,000,000 2010/07/20
63044 KBC Fin Products Int’l Ltd. CP&CC R Bear CBBC Feb 2011 A 0.250 7.400 7.000 2011/02/10 80,000,000 2010/07/20
63039 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Jan 2011 A 0.250 65.88 per 100 units 70.88 per 100 units 2011/01/20 80,000,000 2010/07/20
63040 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Feb 2011 A 0.250 61 per 100 units 66 per 100 units 2011/02/18 80,000,000 2010/07/20
63041 KBC Fin Products Int’l Ltd. HSBC R Bull CBBC Mar 2011 A 0.250 57.88 per 100 units 62.88 per 100 units 2011/03/01 80,000,000 2010/07/20
63045 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Jan 2011 B 0.250 89.88 per 100 units 84.88 per 100 units 2011/01/20 80,000,000 2010/07/20
63047 KBC Fin Products Int’l Ltd. HSBC R Bear CBBC Mar 2011 B 0.250 93.88 per 100 units 88.88 per 100 units 2011/03/01 80,000,000 2010/07/20
63028 RB of Scotland N.V. TCH R Bull CBBC Dec 2010 A 0.250 116.80 per 100 units 123.80 per 100 units 2010/12/20 80,000,000 2010/07/20
63029 RB of Scotland N.V. TCH R Bull CBBC Dec 2010 B 0.250 121.80 per 100 units 128.80 per 100 units 2010/12/20 80,000,000 2010/07/20
63026 UBS AG China Life R Bear CBBC Dec 2010 E 0.250 35.880 34.880 2010/12/06 100,000,000 2010/07/20
63023 UBS AG HSI R Bull CBBC Dec 2010 B 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/12/30 200,000,000 2010/07/20
63024 UBS AG HSI R Bear CBBC Oct 2010 O 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/10/28 200,000,000 2010/07/20
63079 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 C 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2011/02/25 100,000,000 2010/07/21
63059 Credit Suisse AG HSI R Bull CBBC Dec 2010 I 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2010/12/30 390,000,000 2010/07/21
63056 Credit Suisse AG HSI R Bear CBBC Oct 2010 Y 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/10/28 390,000,000 2010/07/21
63060 Deutsche Bank AG HSI R Bull CBBC Jan 2011 L 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2011/01/28 300,000,000 2010/07/21
63049 Deutsche Bank AG HSI R Bear CBBC Nov 2010 P 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/07/21
63064 RB of Scotland N.V. China Mobile R Bull CBBC Nov 2010 A 0.250 66.28 per 100 units 70.28 per 100 units 2010/11/22 80,000,000 2010/07/21
63067 RB of Scotland N.V. COVS R Bull CBBC Dec 2010 A 0.268 13.880 15.080 2010/12/10 80,000,000 2010/07/21
63077 RB of Scotland N.V. COVS R Bear CBBC Dec 2010 B 0.250 18.680 17.480 2010/12/10 80,000,000 2010/07/21
63069 RB of Scotland N.V. CNOOC R Bull CBBC Dec 2010 A 0.250 11.080 11.880 2010/12/09 80,000,000 2010/07/21
63068 RB of Scotland N.V. Sinopec Corp R Bull CBBC Dec 2010 A 0.250 5.180 5.680 2010/12/17 80,000,000 2010/07/21
63074 RB of Scotland N.V. HKEx R Bull CBBC Dec 2010 A 0.250 109.80 per 100 units 115.80 per 100 units 2010/12/13 80,000,000 2010/07/21
63075 RB of Scotland N.V. ICBC R Bull CBBC Nov 2010 A 0.250 4.980 5.380 2010/11/22 80,000,000 2010/07/21
63076 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Dec 2010 A 0.250 13.080 14.280 2010/12/29 80,000,000 2010/07/21
63058 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10X 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/07/21
63048 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10W 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/11/29 300,000,000 2010/07/21
63062 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Y 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/11/29 300,000,000 2010/07/21
63051 UBS AG CCHC R Bull CBBC Dec 2010 A 0.250 6.500 7.500 2010/12/20 100,000,000 2010/07/21
63052 UBS AG CCHC R Bull CBBC Jan 2011 A 0.250 5.880 6.880 2011/01/17 100,000,000 2010/07/21
63050 UBS AG CCHC R Bull CBBC Feb 2011 A 0.255 5.380 6.380 2011/02/14 100,000,000 2010/07/21
63054 UBS AG CCHC R Bear CBBC Feb 2011 B 0.255 10.380 9.380 2011/02/14 100,000,000 2010/07/21
63053 UBS AG HSBC R Bull CBBC Nov 2010 H 0.250 65 per 100 units 70 per 100 units 2010/11/22 100,000,000 2010/07/21
63061 UBS AG HSI R Bull CBBC Oct 2010 J 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/10/28 200,000,000 2010/07/21
63063 UBS AG HSI R Bull CBBC Feb 2011 I 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2011/02/25 200,000,000 2010/07/21
63055 UBS AG HSI R Bear CBBC Dec 2010 D 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/07/21
63093 Credit Suisse AG HSI R Bear CBBC Oct 2010 B 0.250 21,100 per 13,000 units 20,600 per 13,000 units 2010/10/28 390,000,000 2010/07/22
63095 Credit Suisse AG HSI R Bear CBBC Oct 2010 V 0.250 20,800 per 15,000 units 20,300 per 15,000 units 2010/10/28 390,000,000 2010/07/22
63080 Deutsche Bank AG HSI R Bull CBBC Nov 2010 J 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/11/29 300,000,000 2010/07/22
63096 Deutsche Bank AG HSI R Bear CBBC Nov 2010 U 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 300,000,000 2010/07/22
63081 Deutsche Bank AG HSI R Bear CBBC Dec 2010 P 0.270 21,200 per 15,000 units 20,700 per 15,000 units 2010/12/30 300,000,000 2010/07/22
63097 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 S 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 128,000,000 2010/07/22
63098 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 T 0.250 21,000 per 12,000 units 20,500 per 12,000 units 2010/11/29 128,000,000 2010/07/22
63099 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 V 0.250 20,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 200,000,000 2010/07/22
63100 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 W 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 200,000,000 2010/07/22
63082 UBS AG CHALCO R Bull CBBC Feb 2011 A 0.250 4.500 5.500 2011/02/14 100,000,000 2010/07/22
63087 UBS AG CHALCO R Bear CBBC Feb 2011 B 0.250 8.380 7.380 2011/02/21 100,000,000 2010/07/22
63083 UBS AG COVS R Bull CBBC Dec 2010 A 0.250 14.380 15.380 2010/12/13 100,000,000 2010/07/22
63088 UBS AG COVS R Bear CBBC Dec 2010 B 0.250 18.380 17.380 2010/12/20 100,000,000 2010/07/22
63089 UBS AG Sinopec Corp R Bear CBBC Dec 2010 B 0.250 7.280 6.880 2010/12/06 100,000,000 2010/07/22
63091 UBS AG A50 China R Bear CBBC Jan 2011 D 0.250 14.280 13.880 2011/01/24 100,000,000 2010/07/22
63092 UBS AG HSI R Bear CBBC Nov 2010 T 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 200,000,000 2010/07/22
63094 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/07/22
63086 UBS AG Jiangxi Copper R Bull CBBC Dec 2010 B 0.250 13.180 14.380 2010/12/13 100,000,000 2010/07/22
63090 UBS AG Jiangxi Copper R Bear CBBC Dec 2010 C 0.265 18.080 16.880 2010/12/20 100,000,000 2010/07/22
63110 Barclays Bank plc HSI R Bull CBBC Dec 2010 D 0.165 18,600 per 12,000 units 19,100 per 12,000 units 2010/12/30 300,000,000 2010/07/23
63111 Barclays Bank plc HSI R Bull CBBC Jan 2011 C 0.250 18,800 per 12,000 units 19,300 per 12,000 units 2011/01/28 300,000,000 2010/07/23
63112 Barclays Bank plc HSI R Bull CBBC Jan 2011 D 0.250 18,900 per 12,000 units 19,400 per 12,000 units 2011/01/28 300,000,000 2010/07/23
63106 Barclays Bank plc HSI R Bear CBBC Jan 2011 A 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2011/01/28 300,000,000 2010/07/23
63109 Barclays Bank plc HSI R Bear CBBC Jan 2011 B 0.250 21,400 per 12,000 units 20,900 per 12,000 units 2011/01/28 300,000,000 2010/07/23
63105 Credit Suisse AG HSI R Bear CBBC Oct 2010 X 0.250 20,800 per 22,000 units 20,300 per 22,000 units 2010/10/28 440,000,000 2010/07/23
63115 Deutsche Bank AG HSI R Bear CBBC Jan 2011 M 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2011/01/28 300,000,000 2010/07/23
63117 J P Morgan SP BV HSI R Bear CBBC Nov 2010 P 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 200,000,000 2010/07/23
63118 J P Morgan SP BV HSI R Bear CBBC Nov 2010 Q 0.250 21,000 per 8,000 units 20,500 per 8,000 units 2010/11/29 200,000,000 2010/07/23
63120 J P Morgan SP BV HSI R Bear CBBC Nov 2010 S 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/11/29 200,000,000 2010/07/23
63113 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 D 0.261 11,250 per 30,000 units 10,850 per 30,000 units 2010/12/17 40,000,000 2010/07/23
63114 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10F 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2010/10/28 300,000,000 2010/07/23
63103 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10I 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/11/29 300,000,000 2010/07/23
63104 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10N 0.255 22,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 300,000,000 2010/07/23
63102 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Z 0.250 20,800 per 10,000 units 20,300 per 10,000 units 2010/11/29 300,000,000 2010/07/23
63121 UBS AG BYD Company R Bull CBBC Dec 2010 B 0.250 33.88 per 100 units 38.88 per 100 units 2010/12/20 100,000,000 2010/07/23
63122 UBS AG China Shenhua R Bull CBBC Dec 2010 C 0.250 23 per 100 units 25 per 100 units 2010/12/13 100,000,000 2010/07/23
63123 UBS AG China Shenhua R Bear CBBC Jan 2011 A 0.250 32.88 per 100 units 30.88 per 100 units 2011/01/10 100,000,000 2010/07/23
63124 UBS AG HSI R Bear CBBC Feb 2011 J 0.250 20,800 per 38,000 units 20,300 per 38,000 units 2011/02/25 300,000,000 2010/07/23
63146 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Feb 2011 D 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2011/02/25 100,000,000 2010/07/26
63142 Credit Suisse AG HSI R Bull CBBC Dec 2010 Q 0.250 19,700 per 13,000 units 20,200 per 13,000 units 2010/12/30 390,000,000 2010/07/26
63145 Credit Suisse AG HSI R Bear CBBC Nov 2010 Z 0.250 20,600 per 13,000 units 20,100 per 13,000 units 2010/11/29 390,000,000 2010/07/26
63130 Deutsche Bank AG HSI R Bull CBBC Jan 2011 N 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2011/01/28 300,000,000 2010/07/26
63139 Deutsche Bank AG HSI R Bear CBBC Dec 2010 O 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/12/30 300,000,000 2010/07/26
63140 J P Morgan SP BV HSI R Bear CBBC Nov 2010 T 0.250 20,600 per 8,000 units 20,100 per 8,000 units 2010/11/29 200,000,000 2010/07/26
63141 J P Morgan SP BV HSI R Bear CBBC Nov 2010 U 0.250 20,700 per 15,000 units 20,200 per 15,000 units 2010/11/29 200,000,000 2010/07/26
63147 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 U 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/11/29 128,000,000 2010/07/26
63148 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 F 0.250 21,100 per 15,000 units 20,600 per 15,000 units 2010/12/30 158,000,000 2010/07/26
63149 RB of Scotland N.V. BYD Company R Bull CBBC Dec 2010 C 0.250 37.08 per 100 units 42.08 per 100 units 2010/12/13 80,000,000 2010/07/26
63152 RB of Scotland N.V. BYD Company R Bear CBBC Dec 2010 D 0.250 59.08 per 100 units 54.08 per 100 units 2010/12/13 80,000,000 2010/07/26
63150 RB of Scotland N.V. CPIC R Bull CBBC Dec 2010 A 0.250 25.98 per 100 units 27.38 per 100 units 2010/12/29 80,000,000 2010/07/26
63154 RB of Scotland N.V. CPIC R Bear CBBC Dec 2010 B 0.250 33.78 per 100 units 32.38 per 100 units 2010/12/29 80,000,000 2010/07/26
63151 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 D 0.250 21,100 per 13,000 units 20,600 per 13,000 units 2010/11/29 250,000,000 2010/07/26
63126 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Dec10A 0.250 4.900 5.300 2010/12/29 200,000,000 2010/07/26
63127 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Dec10B 0.250 5.400 5.800 2010/12/29 200,000,000 2010/07/26
63144 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10P 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/11/29 300,000,000 2010/07/26
63143 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Q 0.250 20,600 per 15,000 units 20,100 per 15,000 units 2010/11/29 300,000,000 2010/07/26
63128 SGA Societe Generale Acceptance N.V. ICBC R Bull CBBC Dec10A 0.250 4.500 4.800 2010/12/29 300,000,000 2010/07/26
63129 SGA Societe Generale Acceptance N.V. ICBC R Bull CBBC Dec10B 0.250 5.000 5.300 2010/12/29 300,000,000 2010/07/26
63155 UBS AG BYD Company R Bull CBBC Dec 2010 C 0.250 35.88 per 100 units 40.88 per 100 units 2010/12/13 100,000,000 2010/07/26
63133 UBS AG China Tel R Bull CBBC Dec 2010 A 0.250 2.480 2.880 2010/12/20 100,000,000 2010/07/26
63134 UBS AG China Tel R Bull CBBC Dec 2010 B 0.250 2.980 3.380 2010/12/06 100,000,000 2010/07/26
63138 UBS AG China Tel R Bear CBBC Dec 2010 C 0.250 4.780 4.380 2010/12/06 100,000,000 2010/07/26
63135 UBS AG CUni R Bull CBBC Dec 2010 A 0.250 8.380 9.380 2010/12/13 100,000,000 2010/07/26
63131 UBS AG CPIC R Bull CBBC Dec 2010 A 0.320 26.880 27.880 2010/12/20 50,000,000 2010/07/26
63132 UBS AG CPIC R Bull CBBC Dec 2010 B 0.250 27.880 28.880 2010/12/06 50,000,000 2010/07/26
63137 UBS AG CPIC R Bear CBBC Dec 2010 C 0.285 32.880 31.880 2010/12/20 50,000,000 2010/07/26
63136 UBS AG HSI R Bull CBBC Oct 2010 Y 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2010/10/28 200,000,000 2010/07/26
63157 UBS AG HSI R Bear CBBC Oct 2010 K 0.250 20,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 200,000,000 2010/07/26
63168 Credit Suisse AG A50 China R Bull CBBC Jan 2011 D 0.250 11.600 12.000 2011/01/17 100,000,000 2010/07/27
63167 Credit Suisse AG HSI R Bull CBBC Dec 2010 P 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/12/30 390,000,000 2010/07/27
63160 Deutsche Bank AG HSI R Bear CBBC Jan 2011 O 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2011/01/28 300,000,000 2010/07/27
63169 J P Morgan SP BV HSI R Bull CBBC Nov 2010 V 0.250 19,700 per 8,000 units 20,200 per 8,000 units 2010/11/29 200,000,000 2010/07/27
63163 UBS AG A50 China R Bull CBBC Jan 2011 E 0.250 11.480 11.880 2011/01/03 100,000,000 2010/07/27
63162 UBS AG HSI R Bull CBBC Dec 2010 F 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2010/12/30 200,000,000 2010/07/27
63158 UBS AG HSI R Bear CBBC Dec 2010 I 0.250 20,700 per 12,000 units 20,200 per 12,000 units 2010/12/30 200,000,000 2010/07/27
63164 UBS AG SHK Ppt R Bear CBBC Dec 2010 D 0.250 131.88 per 100 units 123.88 per 100 units 2010/12/13 100,000,000 2010/07/27
63179 Credit Suisse AG HSI R Bull CBBC Dec 2010 O 0.250 19,900 per 13,000 units 20,400 per 13,000 units 2010/12/30 390,000,000 2010/07/28
63173 Deutsche Bank AG HSI R Bull CBBC Nov 2010 R 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/11/29 300,000,000 2010/07/28
63175 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Oct 2010 X 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/10/28 128,000,000 2010/07/28
63176 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 V 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/11/29 128,000,000 2010/07/28
63170 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Oct10M 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/10/28 300,000,000 2010/07/28
63174 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10K 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/11/29 300,000,000 2010/07/28
63171 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10O 0.250 20,900 per 15,000 units 20,400 per 15,000 units 2010/11/29 300,000,000 2010/07/28
63178 UBS AG HSI R Bull CBBC Nov 2010 U 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2010/11/29 200,000,000 2010/07/28
63177 UBS AG HSI R Bull CBBC Nov 2010 W 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2010/11/29 200,000,000 2010/07/28
63172 UBS AG HSI R Bear CBBC Oct 2010 J 0.250 20,900 per 12,000 units 20,400 per 12,000 units 2010/10/28 200,000,000 2010/07/28
62751 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 N 0.080 22,000 per 15,000 units 21,500 per 15,000 units 2010/10/28 150,000,000 2010/07/28
63186 Credit Suisse AG HSI R Bull CBBC Dec 2010 M 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 390,000,000 2010/07/29
63181 Credit Suisse AG HSI R Bear CBBC Oct 2010 A 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2010/10/28 390,000,000 2010/07/29
63180 Deutsche Bank AG HSI R Bull CBBC Nov 2010 X 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 300,000,000 2010/07/29
63205 Deutsche Bank AG HSI R Bull CBBC Jan 2011 P 0.250 20,100 per 10,000 units 20,588 per 10,000 units 2011/01/28 300,000,000 2010/07/29
63182 Deutsche Bank AG HSI R Bear CBBC Dec 2010 U 0.250 21,000 per 10,000 units 20,500 per 10,000 units 2010/12/30 300,000,000 2010/07/29
63206 J P Morgan SP BV HSI R Bull CBBC Nov 2010 W 0.250 19,800 per 15,000 units 20,300 per 15,000 units 2010/11/29 200,000,000 2010/07/29
63207 J P Morgan SP BV HSI R Bull CBBC Nov 2010 X 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/11/29 200,000,000 2010/07/29
63192 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 W 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 128,000,000 2010/07/29
63193 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 X 0.250 22,000 per 8,000 units 21,500 per 8,000 units 2010/11/29 128,000,000 2010/07/29
63195 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 G 0.250 22,400 per 8,000 units 21,900 per 8,000 units 2010/12/30 128,000,000 2010/07/29
63196 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 H 0.250 22,400 per 20,000 units 21,900 per 20,000 units 2010/12/30 158,000,000 2010/07/29
63197 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 I 0.280 22,700 per 8,000 units 22,200 per 8,000 units 2010/12/30 128,000,000 2010/07/29
63198 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 J 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2010/12/30 158,000,000 2010/07/29
63199 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 K 0.270 23,100 per 10,000 units 22,600 per 10,000 units 2010/12/30 128,000,000 2010/07/29
63202 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 L 0.360 23,300 per 8,000 units 22,800 per 8,000 units 2010/12/30 108,000,000 2010/07/29
63203 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 A 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2011/01/28 128,000,000 2010/07/29
63204 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 B 0.250 23,400 per 20,000 units 22,900 per 20,000 units 2011/01/28 158,000,000 2010/07/29
63190 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 X 0.250 19,700 per 10,000 units 20,200 per 10,000 units 2010/12/30 200,000,000 2010/07/29
63191 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 Y 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 200,000,000 2010/07/29
63189 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 E 0.250 19,300 per 13,000 units 19,800 per 13,000 units 2010/11/29 250,000,000 2010/07/29
63184 UBS AG A50 China R Bull CBBC Jan 2011 F 0.250 11.730 12.130 2011/01/10 100,000,000 2010/07/29
63188 UBS AG HSI R Bull CBBC Nov 2010 D 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/11/29 200,000,000 2010/07/29
63183 UBS AG HSI R Bull CBBC Jan 2011 T 0.250 19,800 per 38,000 units 20,300 per 38,000 units 2011/01/28 300,000,000 2010/07/29
63187 UBS AG HSI R Bear CBBC Jan 2011 U 0.250 21,000 per 15,000 units 20,500 per 15,000 units 2011/01/28 200,000,000 2010/07/29
63185 UBS AG SHK Ppt R Bear CBBC Jan 2011 A 0.250 136.88 per 100 units 128.88 per 100 units 2011/01/03 100,000,000 2010/07/29
63220 Credit Suisse AG A50 China R Bull CBBC Jan 2011 E 0.250 12.100 12.500 2011/01/24 100,000,000 2010/07/30
63221 Credit Suisse AG HSI R Bull CBBC Dec 2010 T 0.250 20,300 per 13,000 units 20,800 per 13,000 units 2010/12/30 390,000,000 2010/07/30
63222 Credit Suisse AG HSI R Bull CBBC Jan 2011 A 0.250 19,600 per 22,000 units 20,100 per 22,000 units 2011/01/28 440,000,000 2010/07/30
63210 Credit Suisse AG HSI R Bear CBBC Nov 2010 S 0.250 21,100 per 13,000 units 20,600 per 13,000 units 2010/11/29 390,000,000 2010/07/30
63223 Deutsche Bank AG HSI R Bull CBBC Dec 2010 Q 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 300,000,000 2010/07/30
63237 Deutsche Bank AG HSI R Bull CBBC Dec 2010 X 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/12/30 300,000,000 2010/07/30
63217 Deutsche Bank AG HSI R Bear CBBC Nov 2010 S 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/07/30
63218 Deutsche Bank AG HSI R Bear CBBC Jan 2011 Q 0.260 21,300 per 15,000 units 20,800 per 15,000 units 2011/01/28 300,000,000 2010/07/30
63225 J P Morgan SP BV HSI R Bull CBBC Nov 2010 Y 0.250 20,100 per 8,000 units 20,600 per 8,000 units 2010/11/29 200,000,000 2010/07/30
63226 J P Morgan SP BV HSI R Bull CBBC Nov 2010 Z 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/11/29 200,000,000 2010/07/30
63235 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 Y 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 128,000,000 2010/07/30
63236 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 Z 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2010/11/29 128,000,000 2010/07/30
63241 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 A 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 200,000,000 2010/07/30
63240 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 B 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 200,000,000 2010/07/30
63239 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 C 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 200,000,000 2010/07/30
63238 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 Z 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2010/12/30 200,000,000 2010/07/30
63229 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10H 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 300,000,000 2010/07/30
63208 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10J 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 300,000,000 2010/07/30
63209 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10L 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/11/29 300,000,000 2010/07/30
63228 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10M 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/11/29 300,000,000 2010/07/30
63230 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10S 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/11/29 300,000,000 2010/07/30
63216 UBS AG A50 China R Bear CBBC Jan 2011 G 0.250 13.280 12.880 2011/01/03 100,000,000 2010/07/30
63234 UBS AG HSCEI R Bull CBBC Dec 2010 F 0.250 10,800 per 12,000 units 11,300 per 12,000 units 2010/12/30 100,000,000 2010/07/30
63231 UBS AG HSI R Bull CBBC Nov 2010 F 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/11/29 200,000,000 2010/07/30
63233 UBS AG HSI R Bull CBBC Dec 2010 U 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 200,000,000 2010/07/30
63213 UBS AG HSI R Bear CBBC Dec 2010 C 0.250 23,000 per 10,000 units 22,500 per 10,000 units 2010/12/30 200,000,000 2010/07/30
63211 UBS AG HSI R Bear CBBC Dec 2010 L 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/07/30
63214 UBS AG HSI R Bear CBBC Jan 2011 V 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 200,000,000 2010/07/30
63215 UBS AG HSI R Bear CBBC Jan 2011 W 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2011/01/28 200,000,000 2010/07/30
61702 # BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2010 C 0.161 22,300 per 9,000 units 21,800 per 9,000 units 2010/11/29 200,000,000 2010/07/30
63255 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 E 0.250 19,700 per 11,000 units 20,200 per 11,000 units 2011/02/25 100,000,000 2010/08/02
63261 Credit Suisse AG HSI R Bull CBBC Jan 2011 B 0.250 20,200 per 15,000 units 20,700 per 15,000 units 2011/01/28 390,000,000 2010/08/02
63258 Credit Suisse AG HSI R Bear CBBC Nov 2010 T 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/11/29 390,000,000 2010/08/02
63260 Deutsche Bank AG HSI R Bull CBBC Nov 2010 W 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/11/29 300,000,000 2010/08/02
63254 Deutsche Bank AG HSI R Bear CBBC Nov 2010 E 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 300,000,000 2010/08/02
63252 HK Bank HSI R Bull CBBC Dec 2010 O 0.250 19,400 per 10,000 units 19,900 per 10,000 units 2010/12/30 120,000,000 2010/08/02
63253 HK Bank HSI R Bull CBBC Dec 2010 P 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2010/12/30 120,000,000 2010/08/02
63257 HK Bank HSI R Bear CBBC Dec 2010 Q 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2010/12/30 120,000,000 2010/08/02
63248 RB of Scotland N.V. BOCL R Bull CBBC Nov 2010 A 0.250 3.280 3.780 2010/11/22 80,000,000 2010/08/02
63246 RB of Scotland N.V. A50 China R Bull CBBC Nov 2010 B 0.250 11.320 11.820 2010/11/22 80,000,000 2010/08/02
63247 RB of Scotland N.V. A50 China R Bull CBBC Nov 2010 C 0.250 11.820 12.320 2010/11/22 80,000,000 2010/08/02
63249 RB of Scotland N.V. HSBC R Bull CBBC Nov 2010 A 0.250 66.88 per 100 units 72.88 per 100 units 2010/11/08 80,000,000 2010/08/02
63242 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 F 0.250 19,500 per 13,000 units 20,000 per 13,000 units 2010/11/29 250,000,000 2010/08/02
63243 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 G 0.250 19,700 per 13,000 units 20,200 per 13,000 units 2010/11/29 250,000,000 2010/08/02
63244 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 H 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/11/29 250,000,000 2010/08/02
63250 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Nov10A 0.250 11.100 11.500 2010/11/29 150,000,000 2010/08/02
63251 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Nov10B 0.250 11.600 12.000 2010/11/29 150,000,000 2010/08/02
63259 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10R 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 300,000,000 2010/08/02
63262 UBS AG HSBC R Bull CBBC Dec 2010 E 0.250 68.88 per 100 units 73.88 per 100 units 2010/12/06 100,000,000 2010/08/02
63263 UBS AG HSI R Bull CBBC Dec 2010 R 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 200,000,000 2010/08/02
63256 UBS AG HSI R Bear CBBC Dec 2010 S 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/12/30 200,000,000 2010/08/02
63273 Credit Suisse AG HSBC R Bull CBBC Dec 2010 B 0.250 70 per 100 units 75 per 100 units 2010/12/20 100,000,000 2010/08/03
63271 Credit Suisse AG HSI R Bull CBBC Jan 2011 C 0.250 20,100 per 22,000 units 20,600 per 22,000 units 2011/01/28 440,000,000 2010/08/03
63272 Credit Suisse AG HSI R Bull CBBC Jan 2011 D 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2011/01/28 390,000,000 2010/08/03
63270 Credit Suisse AG HSI R Bear CBBC Nov 2010 O 0.250 21,500 per 13,000 units 21,000 per 13,000 units 2010/11/29 390,000,000 2010/08/03
63276 Credit Suisse AG HSI R Bear CBBC Jan 2011 E 0.250 22,900 per 15,000 units 22,400 per 15,000 units 2011/01/28 390,000,000 2010/08/03
63280 Deutsche Bank AG HSI R Bull CBBC Nov 2010 C 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 300,000,000 2010/08/03
63264 Deutsche Bank AG HSI R Bear CBBC Jan 2011 R 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2011/01/28 300,000,000 2010/08/03
63278 Deutsche Bank AG HSI R Bear CBBC Jan 2011 S 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2011/01/28 300,000,000 2010/08/03
63279 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 E 0.250 20,400 per 8,000 units 20,900 per 8,000 units 2010/11/29 128,000,000 2010/08/03
63265 UBS AG China Life R Bull CBBC Dec 2010 F 0.250 32.880 33.880 2010/12/06 100,000,000 2010/08/03
63267 UBS AG HSBC R Bull CBBC Dec 2010 F 0.250 70 per 100 units 75 per 100 units 2010/12/13 100,000,000 2010/08/03
63275 UBS AG HSI R Bull CBBC Nov 2010 T 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 200,000,000 2010/08/03
63274 UBS AG HSI R Bull CBBC Dec 2010 T 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/08/03
63269 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 200,000,000 2010/08/03
63268 UBS AG TCH R Bull CBBC Dec 2010 E 0.250 125.88 per 100 units 133.88 per 100 units 2010/12/06 100,000,000 2010/08/03
63286 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jan 2011 G 0.250 22,800 per 11,000 units 22,300 per 11,000 units 2011/01/28 100,000,000 2010/08/04
63304 Credit Suisse AG HSI R Bull CBBC Dec 2010 S 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2010/12/30 390,000,000 2010/08/04
63302 Credit Suisse AG HSI R Bear CBBC Nov 2010 M 0.250 21,600 per 15,000 units 21,100 per 15,000 units 2010/11/29 390,000,000 2010/08/04
63320 Deutsche Bank AG HSBC R Bull CBBC Feb 2011 A 0.250 64.88 per 100 units 69.88 per 100 units 2011/02/01 150,000,000 2010/08/04
63321 Deutsche Bank AG HSBC R Bear CBBC Feb 2011 B 0.250 94.88 per 100 units 89.88 per 100 units 2011/02/08 150,000,000 2010/08/04
63316 Deutsche Bank AG HSI R Bull CBBC Nov 2010 V 0.250 19,450 per 15,000 units 19,950 per 15,000 units 2010/11/29 300,000,000 2010/08/04
63317 Deutsche Bank AG HSI R Bull CBBC Dec 2010 K 0.260 18,950 per 15,000 units 19,450 per 15,000 units 2010/12/30 300,000,000 2010/08/04
63318 Deutsche Bank AG HSI R Bull CBBC Dec 2010 Y 0.250 20,600 per 10,000 units 21,088 per 10,000 units 2010/12/30 300,000,000 2010/08/04
63319 Deutsche Bank AG HSI R Bull CBBC Jan 2011 T 0.250 19,950 per 15,000 units 20,450 per 15,000 units 2011/01/28 300,000,000 2010/08/04
63285 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Z 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 300,000,000 2010/08/04
63322 Deutsche Bank AG TCH R Bull CBBC Jan 2011 A 0.340 122 per 100 units 130 per 100 units 2011/01/25 150,000,000 2010/08/04
63325 J P Morgan SP BV HSI R Bull CBBC Nov 2010 C 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2010/11/29 200,000,000 2010/08/04
63327 J P Morgan SP BV HSI R Bull CBBC Nov 2010 E 0.250 20,500 per 8,000 units 21,000 per 8,000 units 2010/11/29 200,000,000 2010/08/04
63324 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 M 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 128,000,000 2010/08/04
63305 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 H 0.250 20,000 per 12,000 units 20,500 per 12,000 units 2010/12/30 200,000,000 2010/08/04
63306 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 L 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 200,000,000 2010/08/04
63323 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 I 0.250 20,100 per 13,000 units 20,600 per 13,000 units 2010/11/29 250,000,000 2010/08/04
63287 RB of Scotland N.V. NASDAQ100 Index R Bull CBBC Dec 2010 A 0.251 1,660 per 8,000 units 1,740 per 8,000 units 2010/12/16 40,000,000 2010/08/04
63297 RB of Scotland N.V. NASDAQ100 Index R Bear CBBC Dec 2010 C 0.251 2,060 per 8,000 units 1,980 per 8,000 units 2010/12/16 40,000,000 2010/08/04
63298 RB of Scotland N.V. NASDAQ100 Index R Bear CBBC Dec 2010 D 0.255 2,140 per 8,000 units 2,060 per 8,000 units 2010/12/16 40,000,000 2010/08/04
63281 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Dec10A 0.250 67 per 100 units 70 per 100 units 2010/12/29 300,000,000 2010/08/04
63282 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Dec10B 0.250 71 per 100 units 74 per 100 units 2010/12/29 300,000,000 2010/08/04
63303 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10T 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 300,000,000 2010/08/04
63283 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10V 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/11/29 300,000,000 2010/08/04
63284 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10U 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 300,000,000 2010/08/04
63307 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10X 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/11/29 300,000,000 2010/08/04
63308 UBS AG CPIC R Bull CBBC Dec 2010 D 0.250 28.880 29.880 2010/12/13 50,000,000 2010/08/04
63312 UBS AG CPIC R Bear CBBC Dec 2010 E 0.370 34.880 33.880 2010/12/13 50,000,000 2010/08/04
63313 UBS AG A50 China R Bull CBBC Jan 2011 H 0.250 11.980 12.380 2011/01/03 100,000,000 2010/08/04
63309 UBS AG HKEx R Bull CBBC Dec 2010 C 0.250 117.88 per 100 units 123.88 per 100 units 2010/12/20 100,000,000 2010/08/04
63310 UBS AG HSBC R Bull CBBC Dec 2010 G 0.250 73.88 per 100 units 78.88 per 100 units 2010/12/20 100,000,000 2010/08/04
63314 UBS AG HSI R Bull CBBC Dec 2010 J 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/12/30 200,000,000 2010/08/04
63315 UBS AG HSI R Bull CBBC Feb 2011 K 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2011/02/25 300,000,000 2010/08/04
63289 UBS AG HSI R Bear CBBC Nov 2010 N 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/11/29 200,000,000 2010/08/04
63290 UBS AG HSI R Bear CBBC Dec 2010 P 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 200,000,000 2010/08/04
63311 UBS AG SHK Ppt R Bull CBBC Dec 2010 E 0.250 95.88 per 100 units 103.88 per 100 units 2010/12/20 100,000,000 2010/08/04
63344 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jan 2011 H 0.250 19,900 per 9,000 units 20,400 per 9,000 units 2011/01/28 100,000,000 2010/08/05
63345 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Feb 2011 F 0.250 23,000 per 9,000 units 22,500 per 9,000 units 2011/02/25 100,000,000 2010/08/05
63346 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Feb 2011 G 0.250 23,200 per 11,000 units 22,700 per 11,000 units 2011/02/25 100,000,000 2010/08/05
63328 Deutsche Bank AG HSI R Bull CBBC Jan 2011 U 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2011/01/28 300,000,000 2010/08/05
63330 Deutsche Bank AG HSI R Bull CBBC Mar 2011 A 0.250 19,400 per 40,000 units 20,000 per 40,000 units 2011/03/30 300,000,000 2010/08/05
63331 Deutsche Bank AG HSI R Bear CBBC Dec 2010 P 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2010/12/30 300,000,000 2010/08/05
63332 Deutsche Bank AG HSI R Bear CBBC Jan 2011 V 0.280 22,900 per 10,000 units 22,400 per 10,000 units 2011/01/28 300,000,000 2010/08/05
63333 Deutsche Bank AG HSI R Bear CBBC Feb 2011 A 0.320 23,100 per 10,000 units 22,600 per 10,000 units 2011/02/25 300,000,000 2010/08/05
63334 Deutsche Bank AG HSI R Bear CBBC Feb 2011 B 0.360 23,500 per 10,000 units 23,000 per 10,000 units 2011/02/25 300,000,000 2010/08/05
63335 Deutsche Bank AG HSI R Bear CBBC Feb 2011 C 0.400 23,900 per 10,000 units 23,400 per 10,000 units 2011/02/25 300,000,000 2010/08/05
63336 Deutsche Bank AG HSI R Bear CBBC Feb 2011 D 0.420 25,100 per 12,000 units 24,600 per 12,000 units 2011/02/25 300,000,000 2010/08/05
63337 Deutsche Bank AG HSI R Bear CBBC Mar 2011 B 0.400 24,700 per 12,000 units 24,200 per 12,000 units 2011/03/30 300,000,000 2010/08/05
63338 Deutsche Bank AG HSI R Bear CBBC Mar 2011 C 0.250 25,300 per 40,000 units 24,700 per 40,000 units 2011/03/30 300,000,000 2010/08/05
63339 Deutsche Bank AG HSI R Bear CBBC Mar 2011 D 0.470 25,500 per 12,000 units 25,000 per 12,000 units 2011/03/30 300,000,000 2010/08/05
63340 UBS AG BYD Company R Bull CBBC Dec 2010 D 0.250 43.88 per 100 units 48.88 per 100 units 2010/12/20 100,000,000 2010/08/05
63341 UBS AG HSBC R Bear CBBC Dec 2010 H 0.250 98.88 per 100 units 93.88 per 100 units 2010/12/20 100,000,000 2010/08/05
63342 UBS AG HSCEI R Bull CBBC Jan 2011 A 0.250 11,000 per 20,000 units 11,500 per 20,000 units 2011/01/28 100,000,000 2010/08/05
63343 UBS AG HSI R Bull CBBC Nov 2010 R 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 200,000,000 2010/08/05
63113 # RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 D 0.206 11,250 per 30,000 units 10,850 per 30,000 units 2010/12/17 60,000,000 2010/08/05
63351 Credit Suisse AG China Mobile R Bear CBBC Dec 2010 A 0.250 96 per 100 units 92 per 100 units 2010/12/20 100,000,000 2010/08/06
63349 Credit Suisse AG A50 China R Bear CBBC Dec 2010 A 0.250 13.700 13.300 2010/12/20 100,000,000 2010/08/06
63350 Credit Suisse AG A50 China R Bear CBBC Jan 2011 F 0.250 14.200 13.800 2011/01/17 100,000,000 2010/08/06
63352 Credit Suisse AG HSBC R Bear CBBC Dec 2010 C 0.250 93 per 100 units 88 per 100 units 2010/12/20 100,000,000 2010/08/06
63347 Credit Suisse AG TCH R Bull CBBC Dec 2010 A 0.250 132 per 100 units 140 per 100 units 2010/12/20 100,000,000 2010/08/06
63353 Credit Suisse AG TCH R Bear CBBC Dec 2010 B 0.280 176 per 100 units 168 per 100 units 2010/12/20 100,000,000 2010/08/06
63355 Deutsche Bank AG HSI R Bear CBBC Jan 2011 W 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 300,000,000 2010/08/06
63356 Deutsche Bank AG HSI R Bear CBBC Jan 2011 X 0.280 22,100 per 10,000 units 21,600 per 10,000 units 2011/01/28 300,000,000 2010/08/06
63358 UBS AG A50 China R Bear CBBC Feb 2011 A 0.250 14.780 14.380 2011/02/14 100,000,000 2010/08/06
63359 UBS AG A50 China R Bear CBBC Feb 2011 B 0.265 15.280 14.880 2011/02/21 100,000,000 2010/08/06
63357 UBS AG TCH R Bull CBBC Dec 2010 F 0.250 130.88 per 100 units 138.88 per 100 units 2010/12/20 100,000,000 2010/08/06
63363 BOCI Asia Ltd. HSI R Bull CBBC Nov 2010 A 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2010/11/29 100,000,000 2010/08/09
63367 BOCI Asia Ltd. HSI R Bear CBBC Nov 2010 B 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/11/29 100,000,000 2010/08/09
63360 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 H 0.250 20,100 per 11,000 units 20,600 per 11,000 units 2011/02/25 100,000,000 2010/08/09
63364 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Feb 2011 I 0.250 22,100 per 9,000 units 21,600 per 9,000 units 2011/02/25 100,000,000 2010/08/09
63365 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Feb 2011 J 0.250 22,400 per 12,000 units 21,900 per 12,000 units 2011/02/25 100,000,000 2010/08/09
63361 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 A 0.250 22,700 per 11,000 units 22,200 per 11,000 units 2011/03/30 100,000,000 2010/08/09
63362 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 B 0.250 23,100 per 15,000 units 22,600 per 15,000 units 2011/03/30 100,000,000 2010/08/09
63375 Credit Suisse AG HSI R Bull CBBC Dec 2010 H 0.250 20,900 per 13,000 units 21,400 per 13,000 units 2010/12/30 390,000,000 2010/08/09
63372 Credit Suisse AG HSI R Bear CBBC Nov 2010 B 0.250 23,200 per 13,000 units 22,700 per 13,000 units 2010/11/29 390,000,000 2010/08/09
63369 Credit Suisse AG HSI R Bear CBBC Nov 2010 I 0.250 21,700 per 13,000 units 21,200 per 13,000 units 2010/11/29 390,000,000 2010/08/09
63371 Credit Suisse AG HSI R Bear CBBC Nov 2010 X 0.250 22,500 per 13,000 units 22,000 per 13,000 units 2010/11/29 390,000,000 2010/08/09
63370 Credit Suisse AG HSI R Bear CBBC Nov 2010 Y 0.250 22,000 per 13,000 units 21,500 per 13,000 units 2010/11/29 390,000,000 2010/08/09
63373 Credit Suisse AG HSI R Bear CBBC Dec 2010 C 0.250 23,100 per 15,000 units 22,600 per 15,000 units 2010/12/30 390,000,000 2010/08/09
63374 Credit Suisse AG HSI R Bear CBBC Jan 2011 F 0.250 23,800 per 13,000 units 23,300 per 13,000 units 2011/01/28 390,000,000 2010/08/09
63401 Deutsche Bank AG HKEx R Bear CBBC Jan 2011 A 0.250 148.88 per 100 units 142.88 per 100 units 2011/01/10 150,000,000 2010/08/09
63399 Deutsche Bank AG HSI R Bull CBBC Dec 2010 O 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/12/30 300,000,000 2010/08/09
63400 Deutsche Bank AG HSI R Bull CBBC Jan 2011 Z 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2011/01/28 300,000,000 2010/08/09
63368 Deutsche Bank AG HSI R Bear CBBC Jan 2011 Y 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2011/01/28 300,000,000 2010/08/09
63384 J P Morgan SP BV HSI R Bull CBBC Nov 2010 G 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2010/11/29 200,000,000 2010/08/09
63388 J P Morgan SP BV HSI R Bull CBBC Nov 2010 M 0.250 20,900 per 8,000 units 21,400 per 8,000 units 2010/11/29 200,000,000 2010/08/09
63394 J P Morgan SP BV HSI R Bear CBBC Nov 2010 K 0.250 23,100 per 18,000 units 22,600 per 18,000 units 2010/11/29 200,000,000 2010/08/09
63389 J P Morgan SP BV HSI R Bear CBBC Nov 2010 L 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2010/11/29 200,000,000 2010/08/09
63392 J P Morgan SP BV HSI R Bear CBBC Nov 2010 N 0.250 23,000 per 8,000 units 22,500 per 8,000 units 2010/11/29 200,000,000 2010/08/09
63390 J P Morgan SP BV HSI R Bear CBBC Nov 2010 O 0.250 22,800 per 15,000 units 22,300 per 15,000 units 2010/11/29 200,000,000 2010/08/09
63397 J P Morgan SP BV HSI R Bear CBBC Nov 2010 R 0.265 23,500 per 8,000 units 23,000 per 8,000 units 2010/11/29 200,000,000 2010/08/09
63395 J P Morgan SP BV HSI R Bear CBBC Nov 2010 S 0.250 23,300 per 10,000 units 22,800 per 10,000 units 2010/11/29 200,000,000 2010/08/09
63402 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 G 0.250 20,900 per 8,000 units 21,400 per 8,000 units 2010/11/29 128,000,000 2010/08/09
63403 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 N 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 128,000,000 2010/08/09
63407 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 O 0.250 23,000 per 8,000 units 22,500 per 8,000 units 2010/12/30 128,000,000 2010/08/09
63408 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 P 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/12/30 128,000,000 2010/08/09
63406 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 C 0.290 23,600 per 8,000 units 23,100 per 8,000 units 2011/01/28 128,000,000 2010/08/09
63382 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 I 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/12/30 200,000,000 2010/08/09
63381 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 N 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 200,000,000 2010/08/09
63387 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 J 0.250 23,300 per 10,000 units 22,800 per 10,000 units 2010/12/30 200,000,000 2010/08/09
63386 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 M 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2010/12/30 200,000,000 2010/08/09
63385 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 O 0.250 22,600 per 12,000 units 22,100 per 12,000 units 2010/12/30 200,000,000 2010/08/09
63376 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10W 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/11/29 300,000,000 2010/08/09
63378 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10Y 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/11/29 300,000,000 2010/08/09
63377 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10Z 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/11/29 300,000,000 2010/08/09
63379 UBS AG HSBC R Bear CBBC Dec 2010 I 0.250 95 per 100 units 90 per 100 units 2010/12/20 100,000,000 2010/08/09
63380 UBS AG HSI R Bull CBBC Dec 2010 B 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/12/30 200,000,000 2010/08/09
63366 UBS AG HSI R Bear CBBC Dec 2010 Q 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 200,000,000 2010/08/09
63404 Barclays Bank plc HSI R Bull CBBC Feb 2011 A 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2011/02/25 300,000,000 2010/08/10
63405 Barclays Bank plc HSI R Bull CBBC Feb 2011 B 0.250 19,900 per 15,000 units 20,400 per 15,000 units 2011/02/25 300,000,000 2010/08/10
63409 Barclays Bank plc HSI R Bull CBBC Feb 2011 C 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2011/02/25 300,000,000 2010/08/10
63410 Barclays Bank plc HSI R Bull CBBC Feb 2011 D 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2011/02/25 300,000,000 2010/08/10
63414 Barclays Bank plc HSI R Bear CBBC Feb 2011 E 0.250 23,000 per 15,000 units 22,500 per 15,000 units 2011/02/25 300,000,000 2010/08/10
63416 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 K 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2011/02/25 100,000,000 2010/08/10
63417 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Feb 2011 L 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2011/02/25 100,000,000 2010/08/10
63418 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Mar 2011 C 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2011/03/30 100,000,000 2010/08/10
63419 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 A 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2011/04/28 100,000,000 2010/08/10
63420 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 B 0.250 23,300 per 12,000 units 22,800 per 12,000 units 2011/04/28 100,000,000 2010/08/10
63421 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2011 A 0.250 23,500 per 9,000 units 23,000 per 9,000 units 2011/05/30 100,000,000 2010/08/10
63415 Credit Suisse AG A50 China R Bear CBBC Dec 2010 B 0.250 15.200 14.800 2010/12/20 100,000,000 2010/08/10
63413 Credit Suisse AG HKEx R Bear CBBC Nov 2010 B 0.250 148 per 100 units 142 per 100 units 2010/11/29 100,000,000 2010/08/10
63442 Credit Suisse AG HSI R Bull CBBC Dec 2010 D 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/12/30 390,000,000 2010/08/10
63443 Credit Suisse AG HSI R Bull CBBC Jan 2011 G 0.250 20,500 per 22,000 units 21,000 per 22,000 units 2011/01/28 440,000,000 2010/08/10
63445 Credit Suisse AG HSI R Bull CBBC Jan 2011 H 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2011/01/28 390,000,000 2010/08/10
63435 Deutsche Bank AG HSI R Bull CBBC Nov 2010 L 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 300,000,000 2010/08/10
63436 Deutsche Bank AG HSI R Bull CBBC Feb 2011 G 0.250 20,800 per 12,000 units 21,300 per 12,000 units 2011/02/25 300,000,000 2010/08/10
63425 Deutsche Bank AG HSI R Bear CBBC Feb 2011 E 0.250 21,900 per 10,000 units 21,418 per 10,000 units 2011/02/25 300,000,000 2010/08/10
63426 Deutsche Bank AG HSI R Bear CBBC Feb 2011 F 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2011/02/25 300,000,000 2010/08/10
63437 Deutsche Bank AG HSI R Bear CBBC Feb 2011 H 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2011/02/25 300,000,000 2010/08/10
63438 Deutsche Bank AG HSI R Bear CBBC Feb 2011 I 0.290 23,300 per 10,000 units 22,800 per 10,000 units 2011/02/25 300,000,000 2010/08/10
63439 Deutsche Bank AG HSI R Bear CBBC Feb 2011 J 0.380 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 300,000,000 2010/08/10
63440 Deutsche Bank AG HSI R Bear CBBC Feb 2011 K 0.420 24,600 per 10,000 units 24,100 per 10,000 units 2011/02/25 300,000,000 2010/08/10
63441 Deutsche Bank AG HSI R Bear CBBC Mar 2011 E 0.290 24,500 per 15,000 units 24,050 per 15,000 units 2011/03/30 300,000,000 2010/08/10
63411 HK Bank HSI R Bull CBBC Jan 2011 A 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2011/01/28 120,000,000 2010/08/10
63412 HK Bank HSI R Bull CBBC Jan 2011 B 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 120,000,000 2010/08/10
63428 J P Morgan SP BV HSI R Bull CBBC Nov 2010 Q 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 200,000,000 2010/08/10
63465 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 D 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/01/28 128,000,000 2010/08/10
63466 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 A 0.250 23,600 per 12,000 units 23,100 per 12,000 units 2011/02/25 128,000,000 2010/08/10
63467 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 B 0.340 24,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 128,000,000 2010/08/10
63468 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 C 0.280 24,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 128,000,000 2010/08/10
63469 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 D 0.340 24,700 per 10,000 units 24,200 per 10,000 units 2011/02/25 108,000,000 2010/08/10
63470 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 A 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 128,000,000 2010/08/10
63471 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 B 0.410 24,500 per 8,000 units 24,000 per 8,000 units 2011/03/30 108,000,000 2010/08/10
63452 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 R 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2010/12/30 200,000,000 2010/08/10
63457 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 T 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 200,000,000 2010/08/10
63458 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 V 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2010/12/30 200,000,000 2010/08/10
63459 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 W 0.250 23,200 per 12,000 units 22,700 per 12,000 units 2010/12/30 200,000,000 2010/08/10
63454 RB of Scotland N.V. COVS R Bull CBBC Dec 2010 C 0.257 15.080 16.280 2010/12/10 80,000,000 2010/08/10
63455 RB of Scotland N.V. COVS R Bull CBBC Dec 2010 D 0.250 15.680 16.880 2010/12/10 80,000,000 2010/08/10
63461 RB of Scotland N.V. COVS R Bear CBBC Dec 2010 E 0.253 19.880 18.680 2010/12/10 80,000,000 2010/08/10
63462 RB of Scotland N.V. COVS R Bear CBBC Dec 2010 F 0.307 20.480 19.280 2010/12/10 80,000,000 2010/08/10
63429 RB of Scotland N.V. DJIA R Bull CBBC Dec 2010 E 0.250 9,350 per 60,000 units 9,750 per 60,000 units 2010/12/17 60,000,000 2010/08/10
63430 RB of Scotland N.V. DJIA R Bull CBBC Dec 2010 F 0.250 9,600 per 60,000 units 10,000 per 60,000 units 2010/12/17 60,000,000 2010/08/10
63431 RB of Scotland N.V. HSCEI R Bull CBBC Nov 2010 C 0.250 11,100 per 10,000 units 11,600 per 10,000 units 2010/11/29 250,000,000 2010/08/10
63432 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 K 0.250 23,100 per 13,000 units 22,600 per 13,000 units 2010/11/29 250,000,000 2010/08/10
63433 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 L 0.250 23,300 per 13,000 units 22,800 per 13,000 units 2010/11/29 250,000,000 2010/08/10
63434 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 M 0.250 23,500 per 13,000 units 23,000 per 13,000 units 2010/11/29 250,000,000 2010/08/10
63456 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Dec 2010 B 0.316 14.280 15.480 2010/12/29 80,000,000 2010/08/10
63460 RB of Scotland N.V. Jiangxi Copper R Bull CBBC Dec 2010 C 0.257 14.880 16.080 2010/12/29 80,000,000 2010/08/10
63463 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Dec 2010 D 0.251 19.680 18.480 2010/12/29 80,000,000 2010/08/10
63464 RB of Scotland N.V. Jiangxi Copper R Bear CBBC Dec 2010 E 0.311 20.280 19.080 2010/12/29 80,000,000 2010/08/10
63444 UBS AG HKEx R Bull CBBC Dec 2010 D 0.250 122.88 per 100 units 128.88 per 100 units 2010/12/28 100,000,000 2010/08/10
63447 UBS AG HSI R Bull CBBC Nov 2010 S 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 200,000,000 2010/08/10
63446 UBS AG HSI R Bull CBBC Jan 2011 Y 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2011/01/28 200,000,000 2010/08/10
63448 UBS AG HSI R Bull CBBC Apr 2011 A 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2011/04/28 300,000,000 2010/08/10
63422 UBS AG HSI R Bear CBBC Dec 2010 D 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2010/12/30 200,000,000 2010/08/10
63451 UBS AG HSI R Bear CBBC Jan 2011 A 0.300 24,500 per 10,000 units 24,000 per 10,000 units 2011/01/28 200,000,000 2010/08/10
63423 UBS AG HSI R Bear CBBC Jan 2011 X 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2011/01/28 200,000,000 2010/08/10
63450 UBS AG HSI R Bear CBBC Jan 2011 Z 0.270 24,200 per 10,000 units 23,700 per 10,000 units 2011/01/28 200,000,000 2010/08/10
63449 UBS AG HSI R Bear CBBC Mar 2011 C 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2011/03/30 200,000,000 2010/08/10
62737 # HK Bank HSI R Bear CBBC Dec 2010 J 0.097 24,000 per 28,000 units 23,500 per 28,000 units 2010/12/30 200,000,000 2010/08/10
62226 # RB of Scotland N.V. DJIA R Bear CBBC Sep 2010 O 0.188 11,350 per 30,000 units 10,950 per 30,000 units 2010/09/17 60,000,000 2010/08/10
63486 Deutsche Bank AG China Mobile R Bear CBBC Jan 2011 A 0.250 93.88 per 100 units 89.88 per 100 units 2011/01/17 150,000,000 2010/08/11
63485 Deutsche Bank AG CC Bank R Bear CBBC Jan 2011 A 0.250 8.080 7.680 2011/01/24 150,000,000 2010/08/11
63487 Deutsche Bank AG ICBC R Bull CBBC Jan 2011 A 0.250 4.980 5.380 2011/01/24 150,000,000 2010/08/11
63491 Deutsche Bank AG ICBC R Bear CBBC Jan 2011 B 0.250 7.180 6.780 2011/01/31 150,000,000 2010/08/11
63484 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 Q 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/12/30 128,000,000 2010/08/11
63490 RB of Scotland N.V. China Mobile R Bull CBBC Dec 2010 A 0.250 72.28 per 100 units 76.28 per 100 units 2010/12/22 80,000,000 2010/08/11
63494 RB of Scotland N.V. China Mobile R Bear CBBC Dec 2010 B 0.250 92.28 per 100 units 88.28 per 100 units 2010/12/22 80,000,000 2010/08/11
63488 RB of Scotland N.V. CC Bank R Bull CBBC Dec 2010 A 0.250 5.380 5.880 2010/12/28 80,000,000 2010/08/11
63489 RB of Scotland N.V. CC Bank R Bull CBBC Dec 2010 B 0.250 5.880 6.380 2010/12/28 80,000,000 2010/08/11
63493 RB of Scotland N.V. CC Bank R Bear CBBC Dec 2010 C 0.250 7.880 7.380 2010/12/28 80,000,000 2010/08/11
63492 RB of Scotland N.V. HKEx R Bull CBBC Dec 2010 B 0.250 114.80 per 100 units 120.80 per 100 units 2010/12/13 80,000,000 2010/08/11
63495 RB of Scotland N.V. HKEx R Bear CBBC Dec 2010 C 0.250 146.80 per 100 units 140.80 per 100 units 2010/12/13 80,000,000 2010/08/11
63472 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10I 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2010/11/29 300,000,000 2010/08/11
63478 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10P 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/11/29 300,000,000 2010/08/11
63481 UBS AG HSI R Bull CBBC Dec 2010 I 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/08/11
63482 UBS AG HSI R Bull CBBC Dec 2010 N 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 200,000,000 2010/08/11
63483 UBS AG HSI R Bull CBBC Feb 2011 L 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2011/02/25 200,000,000 2010/08/11
63473 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/11/29 200,000,000 2010/08/11
63474 UBS AG HSI R Bear CBBC Dec 2010 Z 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/12/30 200,000,000 2010/08/11
63479 UBS AG SHK Ppt R Bear CBBC Jan 2011 B 0.250 141.88 per 100 units 133.88 per 100 units 2011/01/17 100,000,000 2010/08/11
63480 UBS AG TCH R Bull CBBC Dec 2010 G 0.250 135.88 per 100 units 143.88 per 100 units 2010/12/28 100,000,000 2010/08/11
63508 Deutsche Bank AG HSCEI R Bull CBBC Dec 2010 A 0.250 10,600 per 10,000 units 11,000 per 10,000 units 2010/12/30 150,000,000 2010/08/12
63509 Deutsche Bank AG HSCEI R Bull CBBC Dec 2010 B 0.250 11,100 per 8,000 units 11,500 per 8,000 units 2010/12/30 150,000,000 2010/08/12
63512 Deutsche Bank AG HSCEI R Bear CBBC Dec 2010 C 0.250 13,000 per 8,000 units 12,600 per 8,000 units 2010/12/30 150,000,000 2010/08/12
63516 Deutsche Bank AG HSCEI R Bear CBBC Dec 2010 D 0.250 13,500 per 10,000 units 13,100 per 10,000 units 2010/12/30 150,000,000 2010/08/12
63507 Deutsche Bank AG HSI R Bull CBBC Mar 2011 F 0.250 20,000 per 40,000 units 20,500 per 40,000 units 2011/03/30 300,000,000 2010/08/12
63519 Deutsche Bank AG HSI R Bull CBBC Mar 2011 G 0.270 19,150 per 20,000 units 19,650 per 20,000 units 2011/03/30 300,000,000 2010/08/12
63520 Deutsche Bank AG HSI R Bull CBBC Mar 2011 H 0.250 20,150 per 20,000 units 20,650 per 20,000 units 2011/03/30 300,000,000 2010/08/12
63524 Deutsche Bank AG HSI R Bear CBBC Mar 2011 I 0.250 23,150 per 20,000 units 22,650 per 20,000 units 2011/03/30 300,000,000 2010/08/12
63526 Deutsche Bank AG HSI R Bear CBBC Mar 2011 J 0.290 24,150 per 20,000 units 23,650 per 20,000 units 2011/03/30 300,000,000 2010/08/12
63497 HK Bank China Mobile R Bull CBBC Jan 2011 B 0.250 72.88 per 100 units 75.88 per 100 units 2011/01/20 80,000,000 2010/08/12
63503 HK Bank China Mobile R Bear CBBC Jan 2011 C 0.250 93.28 per 100 units 90.28 per 100 units 2011/01/20 80,000,000 2010/08/12
63496 HK Bank CC Bank R Bull CBBC Jan 2011 B 0.250 5.980 6.280 2011/01/28 80,000,000 2010/08/12
63502 HK Bank CC Bank R Bear CBBC Dec 2010 A 0.250 7.980 7.680 2010/12/22 80,000,000 2010/08/12
63498 HK Bank China Shenhua R Bull CBBC Jan 2011 A 0.250 26.18 per 100 units 28.18 per 100 units 2011/01/07 80,000,000 2010/08/12
63501 HK Bank A50 R Bull CBBC Feb 2011 A 0.250 11.500 11.800 2011/02/18 100,000,000 2010/08/12
63506 HK Bank A50 R Bear CBBC Feb 2011 B 0.250 13.480 13.180 2011/02/18 100,000,000 2010/08/12
63499 HK Bank ICBC R Bull CBBC Dec 2010 B 0.250 5.080 5.380 2010/12/20 80,000,000 2010/08/12
63504 HK Bank ICBC R Bear CBBC Jan 2011 B 0.250 7.180 6.880 2011/01/18 80,000,000 2010/08/12
63500 HK Bank TCH R Bull CBBC Feb 2011 A 0.250 129.88 per 100 units 134.88 per 100 units 2011/02/08 80,000,000 2010/08/12
63505 HK Bank TCH R Bear CBBC Dec 2010 A 0.250 173.28 per 100 units 168.28 per 100 units 2010/12/22 80,000,000 2010/08/12
63510 UBS AG China Mobile R Bull CBBC Dec 2010 D 0.250 72.88 per 100 units 76.88 per 100 units 2010/12/13 100,000,000 2010/08/12
63511 UBS AG COVS R Bear CBBC Jan 2011 A 0.250 18.880 17.880 2011/01/03 50,000,000 2010/08/12
63517 UBS AG COVS R Bear CBBC Jan 2011 B 0.345 19.880 18.880 2011/01/24 50,000,000 2010/08/12
63518 UBS AG A50 China R Bear CBBC Jan 2011 I 0.250 13.280 12.880 2011/01/03 100,000,000 2010/08/12
63531 Credit Suisse AG HSI R Bull CBBC Nov 2010 V 0.250 21,100 per 13,000 units 21,600 per 13,000 units 2010/11/29 390,000,000 2010/08/13
63533 Credit Suisse AG HSI R Bear CBBC Nov 2010 E 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2010/11/29 390,000,000 2010/08/13
63532 Deutsche Bank AG HSI R Bull CBBC Dec 2010 R 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/12/30 300,000,000 2010/08/13
63530 Deutsche Bank AG HSI R Bear CBBC Jan 2011 B 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2011/01/28 300,000,000 2010/08/13
63536 J P Morgan SP BV HSI R Bull CBBC Nov 2010 D 0.250 21,166 per 12,000 units 21,666 per 12,000 units 2010/11/29 200,000,000 2010/08/13
63535 J P Morgan SP BV HSI R Bull CBBC Nov 2010 P 0.265 21,100 per 15,000 units 21,600 per 15,000 units 2010/11/29 200,000,000 2010/08/13
63538 J P Morgan SP BV HSI R Bear CBBC Nov 2010 T 0.250 23,800 per 15,000 units 23,300 per 15,000 units 2010/11/29 200,000,000 2010/08/13
63537 J P Morgan SP BV HSI R Bear CBBC Nov 2010 U 0.250 23,700 per 10,000 units 23,200 per 10,000 units 2010/11/29 200,000,000 2010/08/13
63539 J P Morgan SP BV HSI R Bear CBBC Dec 2010 A 0.295 24,000 per 8,000 units 23,500 per 8,000 units 2010/12/30 200,000,000 2010/08/13
63540 J P Morgan SP BV HSI R Bear CBBC Dec 2010 B 0.250 24,300 per 28,000 units 23,800 per 28,000 units 2010/12/30 200,000,000 2010/08/13
63541 J P Morgan SP BV HSI R Bear CBBC Jan 2011 A 0.250 24,500 per 38,000 units 24,000 per 38,000 units 2011/01/28 200,000,000 2010/08/13
63521 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10O 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/11/29 300,000,000 2010/08/13
63534 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10R 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/11/29 300,000,000 2010/08/13
63527 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11A 0.250 23,600 per 15,000 units 23,100 per 15,000 units 2011/01/28 300,000,000 2010/08/13
63528 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11B 0.280 23,700 per 12,000 units 23,200 per 12,000 units 2011/01/28 300,000,000 2010/08/13
63529 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11C 0.350 23,800 per 10,000 units 23,300 per 10,000 units 2011/01/28 300,000,000 2010/08/13
63543 UBS AG China Mobile R Bull CBBC Dec 2010 E 0.250 74.88 per 100 units 78.88 per 100 units 2010/12/20 100,000,000 2010/08/13
63552 UBS AG HSCEI R Bull CBBC Jan 2011 B 0.250 11,300 per 12,000 units 11,800 per 12,000 units 2011/01/28 100,000,000 2010/08/13
63555 UBS AG HSI R Bull CBBC Nov 2010 Z 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/11/29 200,000,000 2010/08/13
63551 UBS AG HSI R Bear CBBC Nov 2010 N 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/11/29 200,000,000 2010/08/13
63544 UBS AG Hutchison R Bull CBBC Dec 2010 B 0.250 45 per 100 units 50 per 100 units 2010/12/20 100,000,000 2010/08/13
63547 UBS AG Hutchison R Bear CBBC Dec 2010 C 0.250 70 per 100 units 65 per 100 units 2010/12/20 100,000,000 2010/08/13
63542 UBS AG Jiangxi Copper R Bull CBBC Dec 2010 D 0.250 15.180 16.380 2010/12/20 50,000,000 2010/08/13
63546 UBS AG Jiangxi Copper R Bear CBBC Dec 2010 E 0.250 19.580 18.380 2010/12/20 50,000,000 2010/08/13
63545 UBS AG Jiangxi Copper R Bear CBBC Jan 2011 A 0.325 20.580 19.380 2011/01/10 50,000,000 2010/08/13
61642 # HK Bank HSI R Bear CBBC Sep 2010 G 0.068 22,600 per 13,000 units 22,100 per 13,000 units 2010/09/29 150,000,000 2010/08/13
63569 Credit Suisse AG HSI R Bull CBBC Jan 2011 I 0.250 20,800 per 22,000 units 21,300 per 22,000 units 2011/01/28 440,000,000 2010/08/16
63570 Credit Suisse AG HSI R Bull CBBC Jan 2011 J 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2011/01/28 390,000,000 2010/08/16
63571 Credit Suisse AG HSI R Bear CBBC Nov 2010 Z 0.250 22,300 per 13,000 units 21,800 per 13,000 units 2010/11/29 390,000,000 2010/08/16
63574 Credit Suisse AG HSI R Bear CBBC Jan 2011 K 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/01/28 390,000,000 2010/08/16
63565 Deutsche Bank AG HSI R Bull CBBC Feb 2011 L 0.270 21,300 per 10,000 units 21,800 per 10,000 units 2011/02/25 300,000,000 2010/08/16
63567 Deutsche Bank AG HSI R Bear CBBC Nov 2010 U 0.250 22,300 per 10,000 units 21,808 per 10,000 units 2010/11/29 300,000,000 2010/08/16
63557 Deutsche Bank AG HSI R Bear CBBC Dec 2010 U 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/12/30 300,000,000 2010/08/16
63572 J P Morgan SP BV HSI R Bull CBBC Nov 2010 B 0.250 21,300 per 8,000 units 21,800 per 8,000 units 2010/11/29 200,000,000 2010/08/16
63575 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 L 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2010/11/29 128,000,000 2010/08/16
63558 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 F 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/11/29 128,000,000 2010/08/16
63562 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 F 0.250 23,400 per 12,000 units 22,900 per 12,000 units 2010/12/30 200,000,000 2010/08/16
63564 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 Q 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2010/12/30 200,000,000 2010/08/16
63568 RB of Scotland N.V. HSI R Bull CBBC Nov 2010 N 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2010/11/29 250,000,000 2010/08/16
63556 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10N 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/11/29 300,000,000 2010/08/16
63560 UBS AG Sinopec Corp R Bull CBBC Dec 2010 C 0.250 5.480 5.880 2010/12/06 100,000,000 2010/08/16
63559 UBS AG HSI R Bull CBBC Jan 2011 B 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 200,000,000 2010/08/16
63563 UBS AG HSI R Bear CBBC Jan 2011 C 0.325 25,000 per 10,000 units 24,500 per 10,000 units 2011/01/28 200,000,000 2010/08/16
63573 UBS AG HSI R Bear CBBC Jan 2011 D 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 200,000,000 2010/08/16
63561 UBS AG HSI R Bear CBBC Apr 2011 B 0.250 25,000 per 15,000 units 24,500 per 15,000 units 2011/04/28 200,000,000 2010/08/16
62064 # UBS AG Hutchison R Bull CBBC Dec 2010 A 0.239 38.88 per 100 units 43.88 per 100 units 2010/12/06 100,000,000 2010/08/16
63588 Credit Suisse AG HSI R Bull CBBC Dec 2010 F 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 400,000,000 2010/08/17
63590 Credit Suisse AG HSI R Bear CBBC Nov 2010 S 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2010/11/29 400,000,000 2010/08/17
63589 Credit Suisse AG HSI R Bear CBBC Nov 2010 U 0.250 22,000 per 13,000 units 21,500 per 13,000 units 2010/11/29 390,000,000 2010/08/17
63591 Deutsche Bank AG HSI R Bull CBBC Nov 2010 J 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 300,000,000 2010/08/17
63592 Deutsche Bank AG HSI R Bear CBBC Dec 2010 D 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/12/30 300,000,000 2010/08/17
63593 J P Morgan SP BV HSI R Bear CBBC Nov 2010 Q 0.250 22,000 per 8,000 units 21,500 per 8,000 units 2010/11/29 200,000,000 2010/08/17
63594 J P Morgan SP BV HSI R Bear CBBC Dec 2010 C 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 200,000,000 2010/08/17
63596 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Nov 2010 N 0.250 22,000 per 8,000 units 21,500 per 8,000 units 2010/11/29 128,000,000 2010/08/17
63587 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 D 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/12/30 200,000,000 2010/08/17
63586 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 G 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 200,000,000 2010/08/17
63579 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 G 0.251 11,400 per 30,000 units 11,000 per 30,000 units 2010/12/17 40,000,000 2010/08/17
63580 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 H 0.251 11,550 per 30,000 units 11,150 per 30,000 units 2010/12/17 40,000,000 2010/08/17
63581 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 I 0.286 11,700 per 30,000 units 11,300 per 30,000 units 2010/12/17 80,000,000 2010/08/17
63582 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 J 0.250 11,850 per 60,000 units 11,450 per 60,000 units 2010/12/17 80,000,000 2010/08/17
63583 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 K 0.250 12,000 per 60,000 units 11,600 per 60,000 units 2010/12/17 80,000,000 2010/08/17
63584 UBS AG HSI R Bull CBBC Nov 2010 S 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 200,000,000 2010/08/17
63578 UBS AG HSI R Bull CBBC Dec 2010 L 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2010/12/30 200,000,000 2010/08/17
63585 UBS AG HSI R Bear CBBC Jan 2011 H 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2011/01/28 200,000,000 2010/08/17
63576 UBS AG TCH R Bull CBBC Dec 2010 H 0.250 140.88 per 100 units 148.88 per 100 units 2010/12/20 100,000,000 2010/08/17
63599 Credit Suisse AG HSI R Bull CBBC Nov 2010 T 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/11/29 400,000,000 2010/08/18
63600 Credit Suisse AG HSI R Bull CBBC Jan 2011 L 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2011/01/28 390,000,000 2010/08/18
63609 Credit Suisse AG HSI R Bear CBBC Nov 2010 M 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/11/29 390,000,000 2010/08/18
63603 Credit Suisse AG HSI R Bear CBBC Nov 2010 O 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2010/11/29 400,000,000 2010/08/18
63608 Deutsche Bank AG HSI R Bull CBBC Dec 2010 S 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 300,000,000 2010/08/18
63615 Deutsche Bank AG HSI R Bear CBBC Jan 2011 D 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 300,000,000 2010/08/18
63616 J P Morgan SP BV HSI R Bear CBBC Dec 2010 E 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/12/30 200,000,000 2010/08/18
63617 J P Morgan SP BV HSI R Bear CBBC Dec 2010 F 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/12/30 200,000,000 2010/08/18
63607 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 R 0.250 20,800 per 8,000 units 21,300 per 8,000 units 2010/12/30 128,000,000 2010/08/18
63606 RB of Scotland N.V. DJIA R Bull CBBC Dec 2010 L 0.250 9,100 per 60,000 units 9,500 per 60,000 units 2010/12/17 80,000,000 2010/08/18
63605 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10P 0.250 22,100 per 15,000 units 21,600 per 15,000 units 2010/11/29 300,000,000 2010/08/18
63604 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Q 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/11/29 300,000,000 2010/08/18
63602 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10U 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/11/29 300,000,000 2010/08/18
63598 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10X 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2010/11/29 300,000,000 2010/08/18
63611 UBS AG HKEx R Bear CBBC Dec 2010 E 0.250 139.88 per 100 units 133.88 per 100 units 2010/12/20 100,000,000 2010/08/18
63601 UBS AG HSI R Bull CBBC Dec 2010 S 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2010/12/30 200,000,000 2010/08/18
63612 UBS AG HSI R Bear CBBC Dec 2010 K 0.250 22,000 per 10,000 units 21,500 per 10,000 units 2010/12/30 200,000,000 2010/08/18
63613 UBS AG HSI R Bear CBBC Jan 2011 J 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 200,000,000 2010/08/18
63610 UBS AG Hutchison R Bull CBBC Jan 2011 A 0.250 50 per 100 units 55 per 100 units 2011/01/03 100,000,000 2010/08/18
63614 UBS AG Hutchison R Bear CBBC Jan 2011 B 0.250 75 per 100 units 70 per 100 units 2011/01/03 100,000,000 2010/08/18
63654 Credit Suisse AG China Mobile R Bear CBBC Jan 2011 A 0.250 102 per 100 units 98 per 100 units 2011/01/17 100,000,000 2010/08/19
63651 Credit Suisse AG A50 China R Bear CBBC Dec 2010 C 0.250 13.200 12.800 2010/12/20 100,000,000 2010/08/19
63622 Credit Suisse AG HSI R Bull CBBC Jan 2011 M 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2011/01/28 390,000,000 2010/08/19
63649 Credit Suisse AG HSI R Bear CBBC Nov 2010 I 0.250 21,900 per 15,000 units 21,400 per 15,000 units 2010/11/29 390,000,000 2010/08/19
63635 Credit Suisse AG HSI R Bear CBBC Nov 2010 Y 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 390,000,000 2010/08/19
63657 Deutsche Bank AG HSCEI R Bull CBBC Dec 2010 E 0.270 10,100 per 8,000 units 10,500 per 8,000 units 2010/12/30 150,000,000 2010/08/19
63658 Deutsche Bank AG HSCEI R Bear CBBC Dec 2010 F 0.250 12,500 per 8,000 units 12,100 per 8,000 units 2010/12/30 150,000,000 2010/08/19
63627 Deutsche Bank AG HSI R Bull CBBC Jan 2011 G 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2011/01/28 300,000,000 2010/08/19
63628 Deutsche Bank AG HSI R Bull CBBC Feb 2011 M 0.260 20,500 per 12,000 units 21,000 per 12,000 units 2011/02/25 300,000,000 2010/08/19
63629 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Z 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 300,000,000 2010/08/19
63631 Deutsche Bank AG HSI R Bear CBBC Feb 2011 N 0.260 21,900 per 15,000 units 21,400 per 15,000 units 2011/02/25 300,000,000 2010/08/19
63620 HK Bank HSI R Bear CBBC Jan 2011 C 0.250 22,000 per 25,000 units 21,500 per 25,000 units 2011/01/28 150,000,000 2010/08/19
63621 HK Bank HSI R Bear CBBC Jan 2011 D 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 150,000,000 2010/08/19
63632 J P Morgan SP BV HSI R Bear CBBC Dec 2010 G 0.250 21,500 per 8,000 units 21,000 per 8,000 units 2010/12/30 200,000,000 2010/08/19
63633 J P Morgan SP BV HSI R Bear CBBC Dec 2010 H 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/08/19
63634 J P Morgan SP BV HSI R Bear CBBC Dec 2010 I 0.250 21,700 per 8,000 units 21,200 per 8,000 units 2010/12/30 200,000,000 2010/08/19
63647 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 U 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 128,000,000 2010/08/19
63648 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 V 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 128,000,000 2010/08/19
63625 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 S 0.250 21,500 per 8,000 units 21,000 per 8,000 units 2010/12/30 128,000,000 2010/08/19
63626 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 T 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 128,000,000 2010/08/19
63618 Macquarie Bank Ltd. HSI R Bull CBBC Dec 2010 A 0.251 20,000 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/08/19
63619 Macquarie Bank Ltd. HSI R Bear CBBC Nov 2010 C 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2010/11/29 200,000,000 2010/08/19
63656 CC Rabobank B.A. HSI R Bull CBBC Dec 2010 T 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 200,000,000 2010/08/19
63660 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 I 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 200,000,000 2010/08/19
63661 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 N 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2010/12/30 200,000,000 2010/08/19
63655 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 O 0.250 22,300 per 13,000 units 21,800 per 13,000 units 2010/11/29 250,000,000 2010/08/19
63636 UBS AG China Life R Bear CBBC Dec 2010 G 0.250 35.880 34.880 2010/12/13 100,000,000 2010/08/19
63638 UBS AG A50 China R Bear CBBC Jan 2011 J 0.250 12.900 12.500 2011/01/10 100,000,000 2010/08/19
63639 UBS AG HSCEI R Bear CBBC Dec 2010 G 0.250 12,800 per 12,000 units 12,300 per 12,000 units 2010/12/30 100,000,000 2010/08/19
63640 UBS AG HSCEI R Bear CBBC Jan 2011 C 0.250 12,500 per 20,000 units 12,000 per 20,000 units 2011/01/28 100,000,000 2010/08/19
63624 UBS AG HSI R Bull CBBC Jan 2011 I 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2011/01/28 200,000,000 2010/08/19
63623 UBS AG HSI R Bull CBBC Jan 2011 L 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2011/01/28 200,000,000 2010/08/19
63641 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 200,000,000 2010/08/19
63642 UBS AG HSI R Bear CBBC Dec 2010 P 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/08/19
63645 UBS AG HSI R Bear CBBC Dec 2010 Q 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/12/30 200,000,000 2010/08/19
63646 UBS AG HSI R Bear CBBC Jan 2011 O 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2011/01/28 200,000,000 2010/08/19
63637 UBS AG TCH R Bear CBBC Dec 2010 I 0.250 161.88 per 100 units 153.88 per 100 units 2010/12/20 100,000,000 2010/08/19
62445 # HK Bank A50 R Bull CBBC Dec 2010 A 0.128 10.900 11.280 2010/12/20 120,000,000 2010/08/19
63666 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 C 0.250 22,300 per 9,000 units 21,800 per 9,000 units 2011/04/28 100,000,000 2010/08/20
63667 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2011 B 0.250 22,100 per 10,000 units 21,600 per 10,000 units 2011/05/30 100,000,000 2010/08/20
63668 Credit Suisse AG HSI R Bull CBBC Jan 2011 N 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2011/01/28 390,000,000 2010/08/20
63669 Credit Suisse AG HSI R Bear CBBC Nov 2010 V 0.250 21,700 per 13,000 units 21,200 per 13,000 units 2010/11/29 390,000,000 2010/08/20
63672 Deutsche Bank AG HSI R Bull CBBC Nov 2010 P 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/11/29 300,000,000 2010/08/20
63676 RB of Scotland N.V. BYD Company R Bear CBBC Dec 2010 E 0.250 62.08 per 100 units 57.08 per 100 units 2010/12/13 80,000,000 2010/08/20
63663 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10I 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/11/29 300,000,000 2010/08/20
63659 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10Y 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 300,000,000 2010/08/20
63665 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10W 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/11/29 300,000,000 2010/08/20
63664 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10Z 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/11/29 300,000,000 2010/08/20
63673 UBS AG China Mobile R Bull CBBC Dec 2010 F 0.250 76.88 per 100 units 80.88 per 100 units 2010/12/28 100,000,000 2010/08/20
63674 UBS AG China Mobile R Bear CBBC Jan 2011 A 0.250 100.88 per 100 units 96.88 per 100 units 2011/01/10 100,000,000 2010/08/20
63670 UBS AG HSI R Bull CBBC Nov 2010 R 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 200,000,000 2010/08/20
63671 UBS AG HSI R Bull CBBC Dec 2010 H 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/08/20
63223 # Deutsche Bank AG HSI R Bull CBBC Dec 2010 Q 0.061 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 300,000,000 2010/08/20
63681 Credit Suisse AG HSI R Bull CBBC Jan 2011 O 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2011/01/28 390,000,000 2010/08/23
63677 HK Bank A50 R Bear CBBC Feb 2011 C 0.250 13.000 12.680 2011/02/22 120,000,000 2010/08/23
63680 HK Bank HSI R Bear CBBC Feb 2011 A 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2011/02/25 120,000,000 2010/08/23
63684 J P Morgan SP BV HSI R Bull CBBC Nov 2010 M 0.250 20,500 per 8,000 units 21,000 per 8,000 units 2010/11/29 200,000,000 2010/08/23
63685 J P Morgan SP BV HSI R Bull CBBC Dec 2010 J 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 200,000,000 2010/08/23
63682 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 O 0.250 20,400 per 8,000 units 20,900 per 8,000 units 2010/11/29 128,000,000 2010/08/23
63688 RB of Scotland N.V. HSI R Bear CBBC Nov 2010 P 0.250 22,100 per 13,000 units 21,600 per 13,000 units 2010/11/29 250,000,000 2010/08/23
63679 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Dec10A 0.250 66 per 100 units 70 per 100 units 2010/12/29 300,000,000 2010/08/23
63683 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10R 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/11/29 300,000,000 2010/08/23
63678 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10T 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/11/29 300,000,000 2010/08/23
63686 UBS AG China Mobile R Bear CBBC Jan 2011 B 0.250 104.88 per 100 units 100.88 per 100 units 2011/01/24 100,000,000 2010/08/23
63687 UBS AG HSI R Bull CBBC Jan 2011 R 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2011/01/28 200,000,000 2010/08/23
63690 Credit Suisse AG HSI R Bear CBBC Dec 2010 I 0.250 21,600 per 15,000 units 21,100 per 15,000 units 2010/12/30 390,000,000 2010/08/24
63696 Deutsche Bank AG HSCEI R Bull CBBC Jan 2011 A 0.250 11,100 per 8,000 units 11,500 per 8,000 units 2011/01/28 150,000,000 2010/08/24
63695 Deutsche Bank AG HSI R Bull CBBC Nov 2010 E 0.250 19,850 per 8,000 units 20,350 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63693 Deutsche Bank AG HSI R Bull CBBC Nov 2010 Q 0.250 20,400 per 8,000 units 20,900 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63694 Deutsche Bank AG HSI R Bull CBBC Nov 2010 S 0.300 19,350 per 8,000 units 19,850 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63699 Deutsche Bank AG HSI R Bear CBBC Nov 2010 C 0.300 22,750 per 8,000 units 22,250 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63697 Deutsche Bank AG HSI R Bear CBBC Nov 2010 G 0.250 21,600 per 8,000 units 21,100 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63698 Deutsche Bank AG HSI R Bear CBBC Nov 2010 L 0.250 22,250 per 8,000 units 21,750 per 8,000 units 2010/11/29 300,000,000 2010/08/24
63689 UBS AG China Shenhua R Bear CBBC Dec 2010 D 0.250 34.38 per 100 units 32.38 per 100 units 2010/12/28 100,000,000 2010/08/24
63707 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Apr 2011 D 0.250 19,600 per 8,000 units 20,100 per 8,000 units 2011/04/28 100,000,000 2010/08/25
63708 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2011 C 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2011/05/30 100,000,000 2010/08/25
63711 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 E 0.250 22,500 per 9,000 units 22,000 per 9,000 units 2011/04/28 100,000,000 2010/08/25
63702 Credit Suisse AG HSI R Bull CBBC Jan 2011 P 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2011/01/28 390,000,000 2010/08/25
63700 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Dec10C 0.250 75 per 100 units 78 per 100 units 2010/12/29 300,000,000 2010/08/25
63701 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Dec10A 0.260 122 per 100 units 130 per 100 units 2010/12/29 100,000,000 2010/08/25
63705 UBS AG HKEx R Bear CBBC Feb 2011 A 0.250 144.88 per 100 units 138.88 per 100 units 2011/02/21 100,000,000 2010/08/25
63704 UBS AG HSBC R Bear CBBC Feb 2011 A 0.250 90 per 100 units 85 per 100 units 2011/02/07 100,000,000 2010/08/25
63706 UBS AG HSI R Bear CBBC Mar 2011 D 0.250 21,800 per 38,000 units 21,300 per 38,000 units 2011/03/30 300,000,000 2010/08/25
63188 # UBS AG HSI R Bull CBBC Nov 2010 D 0.093 20,000 per 10,000 units 20,500 per 10,000 units 2010/11/29 200,000,000 2010/08/25
63714 Credit Suisse AG HSI R Bull CBBC Jan 2011 Q 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2011/01/28 390,000,000 2010/08/26
63712 Deutsche Bank AG HSI R Bear CBBC Dec 2010 C 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 300,000,000 2010/08/26
63725 J P Morgan SP BV HSI R Bear CBBC Nov 2010 G 0.250 21,700 per 8,000 units 21,200 per 8,000 units 2010/11/29 200,000,000 2010/08/26
63726 J P Morgan SP BV HSI R Bear CBBC Dec 2010 K 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/08/26
63715 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 W 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 128,000,000 2010/08/26
63716 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 X 0.250 20,700 per 8,000 units 21,200 per 8,000 units 2010/12/30 128,000,000 2010/08/26
63721 UBS AG HSI R Bull CBBC Nov 2010 T 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/11/29 200,000,000 2010/08/26
63709 UBS AG HSI R Bear CBBC Nov 2010 Z 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/11/29 200,000,000 2010/08/26
63722 UBS AG HSI R Bear CBBC Dec 2010 N 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2010/12/30 200,000,000 2010/08/26
63724 UBS AG HSI R Bear CBBC Feb 2011 M 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2011/02/25 200,000,000 2010/08/26
63727 Credit Suisse AG HSI R Bull CBBC Jan 2011 R 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2011/01/28 390,000,000 2010/08/27
63737 Credit Suisse AG HSI R Bear CBBC Nov 2010 T 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 390,000,000 2010/08/27
63738 Credit Suisse AG HSI R Bear CBBC Nov 2010 Y 0.250 21,800 per 22,000 units 21,300 per 22,000 units 2010/11/29 330,000,000 2010/08/27
63739 Credit Suisse AG HSI R Bear CBBC Dec 2010 D 0.250 22,300 per 22,000 units 21,800 per 22,000 units 2010/12/30 330,000,000 2010/08/27
63732 Deutsche Bank AG HSI R Bull CBBC Dec 2010 O 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 300,000,000 2010/08/27
63740 J P Morgan SP BV HSI R Bear CBBC Nov 2010 E 0.250 21,500 per 8,000 units 21,000 per 8,000 units 2010/11/29 200,000,000 2010/08/27
63748 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 Y 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2010/12/30 128,000,000 2010/08/27
63749 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 Z 0.250 22,200 per 8,000 units 21,700 per 8,000 units 2010/12/30 128,000,000 2010/08/27
63751 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 F 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/11/29 200,000,000 2010/08/27
63750 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 G 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 200,000,000 2010/08/27
63756 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 J 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/11/29 200,000,000 2010/08/27
63755 CC Rabobank B.A. HSI R Bear CBBC Nov 2010 K 0.250 22,000 per 12,000 units 21,500 per 12,000 units 2010/11/29 200,000,000 2010/08/27
63733 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 M 0.252 10,950 per 30,000 units 10,550 per 30,000 units 2010/12/17 40,000,000 2010/08/27
63734 RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 N 0.251 11,100 per 30,000 units 10,700 per 30,000 units 2010/12/17 40,000,000 2010/08/27
63735 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Nov10O 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 300,000,000 2010/08/27
63746 UBS AG HSBC R Bear CBBC Dec 2010 J 0.250 85 per 100 units 80 per 100 units 2010/12/28 100,000,000 2010/08/27
63728 UBS AG HSI R Bull CBBC Nov 2010 S 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/11/29 200,000,000 2010/08/27
63747 UBS AG HSI R Bear CBBC Nov 2010 Y 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2010/11/29 200,000,000 2010/08/27
62896 # HK Bank China Life R Bull CBBC Jan 2011 A 0.032 30.38 per 100 units 31.38 per 100 units 2011/01/18 320,000,000 2010/08/27
63762 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2011 D 0.250 19,800 per 10,000 units 20,300 per 10,000 units 2011/05/30 100,000,000 2010/08/30
63763 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2011 A 0.250 19,600 per 9,000 units 20,100 per 9,000 units 2011/06/29 100,000,000 2010/08/30
63766 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2011 E 0.250 21,900 per 9,000 units 21,400 per 9,000 units 2011/05/30 100,000,000 2010/08/30
63767 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2011 B 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2011/06/29 100,000,000 2010/08/30
63761 Credit Suisse AG HSI R Bull CBBC Jan 2011 S 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2011/01/28 390,000,000 2010/08/30
63776 Credit Suisse AG HSI R Bear CBBC Dec 2010 H 0.250 21,400 per 13,000 units 20,900 per 13,000 units 2010/12/30 390,000,000 2010/08/30
63775 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Y 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/12/30 300,000,000 2010/08/30
63757 HK Bank Sinopec Corp R Bull CBBC Feb 2011 A 0.250 5.280 5.580 2011/02/18 150,000,000 2010/08/30
63758 HK Bank Sinopec Corp R Bull CBBC Feb 2011 B 0.250 5.580 5.880 2011/02/18 150,000,000 2010/08/30
63770 J P Morgan SP BV HSI R Bear CBBC Dec 2010 L 0.250 21,400 per 15,000 units 20,900 per 15,000 units 2010/12/30 200,000,000 2010/08/30
63765 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Dec 2010 A 0.150 19,000 per 15,000 units 19,500 per 15,000 units 2010/12/30 150,000,000 2010/08/30
63768 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Dec 2010 B 0.150 19,400 per 12,000 units 19,900 per 12,000 units 2010/12/30 150,000,000 2010/08/30
63772 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Dec 2010 C 0.152 22,300 per 10,000 units 21,800 per 10,000 units 2010/12/30 150,000,000 2010/08/30
63773 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Dec 2010 D 0.150 23,000 per 15,000 units 22,500 per 15,000 units 2010/12/30 150,000,000 2010/08/30
63769 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Nov10V 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/11/29 300,000,000 2010/08/30
63764 UBS AG HSI R Bull CBBC Jan 2011 S 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2011/01/28 200,000,000 2010/08/30
63771 UBS AG HSI R Bear CBBC Dec 2010 B 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/12/30 200,000,000 2010/08/30
63774 UBS AG HSI R Bear CBBC Dec 2010 J 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/12/30 200,000,000 2010/08/30
63778 Credit Suisse AG HSI R Bull CBBC Jan 2011 T 0.250 20,200 per 13,000 units 20,700 per 13,000 units 2011/01/28 390,000,000 2010/08/31
63802 Credit Suisse AG HSI R Bear CBBC Dec 2010 S 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/12/30 390,000,000 2010/08/31
63779 Deutsche Bank AG DJIA R Bull CBBC Dec 2010 A 0.290 9,000 per 78,000 units 9,400 per 78,000 units 2010/12/20 80,000,000 2010/08/31
63782 Deutsche Bank AG DJIA R Bull CBBC Dec 2010 B 0.250 9,400 per 78,000 units 9,800 per 78,000 units 2010/12/20 80,000,000 2010/08/31
63783 Deutsche Bank AG DJIA R Bear CBBC Dec 2010 C 0.300 11,200 per 78,000 units 10,800 per 78,000 units 2010/12/20 80,000,000 2010/08/31
63784 Deutsche Bank AG HSI R Bull CBBC Dec 2010 R 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 300,000,000 2010/08/31
63785 Deutsche Bank AG HSI R Bear CBBC Jan 2011 I 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2011/01/28 300,000,000 2010/08/31
63812 J P Morgan SP BV HSI R Bear CBBC Dec 2010 M 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 200,000,000 2010/08/31
63813 J P Morgan SP BV HSI R Bear CBBC Dec 2010 N 0.250 21,300 per 8,000 units 20,800 per 8,000 units 2010/12/30 200,000,000 2010/08/31
63789 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 C 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 128,000,000 2010/08/31
63791 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 E 0.250 21,400 per 8,000 units 20,900 per 8,000 units 2011/01/28 128,000,000 2010/08/31
63793 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 F 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 128,000,000 2010/08/31
63796 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 G 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2011/01/28 128,000,000 2010/08/31
63797 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 H 0.250 21,700 per 8,000 units 21,200 per 8,000 units 2011/01/28 128,000,000 2010/08/31
63798 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 I 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2011/01/28 128,000,000 2010/08/31
63799 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 L 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 200,000,000 2010/08/31
63800 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 U 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/12/30 200,000,000 2010/08/31
63806 RB of Scotland N.V. HSI R Bear CBBC Dec 2010 A 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 250,000,000 2010/08/31
63807 RB of Scotland N.V. HSI R Bear CBBC Dec 2010 B 0.250 21,900 per 13,000 units 21,400 per 13,000 units 2010/12/30 250,000,000 2010/08/31
63803 RB of Scotland N.V. Nikkei 225 R Bull CBBC Mar 2011 A 0.250 7,350 per 1,000 units 7,750 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63804 RB of Scotland N.V. Nikkei 225 R Bull CBBC Mar 2011 B 0.250 7,600 per 1,000 units 8,000 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63805 RB of Scotland N.V. Nikkei 225 R Bull CBBC Mar 2011 C 0.250 7,850 per 1,000 units 8,250 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63808 RB of Scotland N.V. Nikkei 225 R Bear CBBC Mar 2011 D 0.250 9,900 per 1,000 units 9,500 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63810 RB of Scotland N.V. Nikkei 225 R Bear CBBC Mar 2011 E 0.250 10,150 per 1,000 units 9,750 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63811 RB of Scotland N.V. Nikkei 225 R Bear CBBC Mar 2011 F 0.250 10,650 per 1,000 units 10,250 per 1,000 units 2011/03/11 40,000,000 2010/08/31
63777 UBS AG HSI R Bull CBBC Dec 2010 I 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 200,000,000 2010/08/31
63801 UBS AG HSI R Bear CBBC Jan 2011 N 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2011/01/28 200,000,000 2010/08/31
63016 # KBC Fin Products Int’l Ltd. HSI R Bull CBBC Nov 2010 P 0.106 19,300 per 12,000 units 19,800 per 12,000 units 2010/11/29 120,000,000 2010/08/31
63819 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC May 2011 F 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2011/05/30 100,000,000 2010/09/01
63820 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2011 C 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2011/06/29 100,000,000 2010/09/01
63818 Credit Suisse AG HSI R Bull CBBC Jan 2011 U 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2011/01/28 390,000,000 2010/09/01
63838 Deutsche Bank AG HSI R Bull CBBC Jan 2011 F 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2011/01/28 300,000,000 2010/09/01
63830 Deutsche Bank AG HSI R Bear CBBC Feb 2011 O 0.300 21,100 per 8,000 units 20,600 per 8,000 units 2011/02/25 300,000,000 2010/09/01
63836 Deutsche Bank AG HSI R Bear CBBC Feb 2011 P 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2011/02/25 300,000,000 2010/09/01
63817 Macquarie Bank Ltd. HSI R Bear CBBC Dec 2010 B 0.250 22,000 per 11,000 units 21,500 per 11,000 units 2010/12/30 200,000,000 2010/09/01
63814 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10A 0.250 21,200 per 15,000 units 20,700 per 15,000 units 2010/12/30 300,000,000 2010/09/01
63815 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10B 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 300,000,000 2010/09/01
63816 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10C 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/12/30 300,000,000 2010/09/01
63825 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10D 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 300,000,000 2010/09/01
63821 UBS AG BYD Company R Bull CBBC Jan 2011 A 0.250 30.88 per 100 units 35.88 per 100 units 2011/01/17 100,000,000 2010/09/01
63822 UBS AG BYD Company R Bull CBBC Jan 2011 B 0.250 37.88 per 100 units 42.88 per 100 units 2011/01/31 100,000,000 2010/09/01
63823 UBS AG HSI R Bull CBBC Dec 2010 L 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/09/01
63827 UBS AG HSI R Bull CBBC Jan 2011 U 0.250 19,200 per 10,000 units 19,700 per 10,000 units 2011/01/28 200,000,000 2010/09/01
63829 UBS AG HSI R Bear CBBC Dec 2010 S 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/09/01
63824 UBS AG HSI R Bear CBBC Feb 2011 N 0.250 22,300 per 38,000 units 21,800 per 38,000 units 2011/02/25 400,000,000 2010/09/01
63837 UBS AG HSI R Bear CBBC Feb 2011 O 0.250 21,300 per 12,000 units 20,800 per 12,000 units 2011/02/25 200,000,000 2010/09/01
63848 Credit Suisse AG HSI R Bull CBBC Jan 2011 V 0.250 19,400 per 10,000 units 19,888 per 10,000 units 2011/01/28 400,000,000 2010/09/02
63850 Credit Suisse AG HSI R Bull CBBC Feb 2011 A 0.250 19,100 per 10,000 units 19,588 per 10,000 units 2011/02/25 400,000,000 2010/09/02
63845 Credit Suisse AG HSI R Bear CBBC Dec 2010 T 0.250 21,300 per 10,000 units 20,818 per 10,000 units 2010/12/30 400,000,000 2010/09/02
63844 Credit Suisse AG TCH R Bear CBBC Dec 2010 C 0.250 156 per 100 units 148 per 100 units 2010/12/13 100,000,000 2010/09/02
63861 Deutsche Bank AG China Life R Bull CBBC Mar 2011 A 0.350 27.880 28.880 2011/03/28 150,000,000 2010/09/02
63865 Deutsche Bank AG China Life R Bear CBBC Mar 2011 B 0.400 33.680 32.680 2011/03/28 150,000,000 2010/09/02
63857 Deutsche Bank AG HSI R Bear CBBC Mar 2011 K 0.250 21,700 per 40,000 units 21,200 per 40,000 units 2011/03/30 300,000,000 2010/09/02
63859 J P Morgan SP BV HSI R Bull CBBC Dec 2010 O 0.250 20,100 per 8,000 units 20,600 per 8,000 units 2010/12/30 200,000,000 2010/09/02
63851 UBS AG China Life R Bull CBBC Jan 2011 B 0.530 25.880 26.880 2011/01/31 100,000,000 2010/09/02
63852 UBS AG China Life R Bull CBBC Jan 2011 C 0.430 26.880 27.880 2011/01/17 100,000,000 2010/09/02
63855 UBS AG China Life R Bull CBBC Feb 2011 B 0.630 24.880 25.880 2011/02/14 100,000,000 2010/09/02
63839 UBS AG China Life R Bear CBBC Jan 2011 A 0.250 33.880 32.880 2011/01/17 100,000,000 2010/09/02
63840 UBS AG China Life R Bear CBBC Feb 2011 A 0.250 34.880 33.880 2011/02/14 100,000,000 2010/09/02
63856 UBS AG A50 China R Bull CBBC Dec 2010 C 0.250 10.600 11.000 2010/12/30 100,000,000 2010/09/02
63841 UBS AG HSI R Bull CBBC Dec 2010 P 0.250 18,800 per 10,000 units 19,300 per 10,000 units 2010/12/30 200,000,000 2010/09/02
63842 UBS AG HSI R Bull CBBC Jan 2011 Q 0.250 18,500 per 10,000 units 19,000 per 10,000 units 2011/01/28 200,000,000 2010/09/02
63843 UBS AG HSI R Bull CBBC Feb 2011 P 0.250 18,300 per 38,000 units 18,800 per 38,000 units 2011/02/25 300,000,000 2010/09/02
63858 UBS AG HSI R Bull CBBC Feb 2011 Q 0.250 18,000 per 15,000 units 18,500 per 15,000 units 2011/02/25 200,000,000 2010/09/02
63872 Credit Suisse AG HSI R Bear CBBC Jan 2011 X 0.250 21,100 per 13,000 units 20,600 per 13,000 units 2011/01/28 390,000,000 2010/09/03
63871 Deutsche Bank AG HSI R Bear CBBC Dec 2010 S 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/12/30 300,000,000 2010/09/03
63864 HK Bank China Life R Bull CBBC Mar 2011 A 0.250 25.28 per 100 units 26.28 per 100 units 2011/03/18 200,000,000 2010/09/03
63866 HK Bank China Life R Bull CBBC Mar 2011 B 0.250 28.280 29.280 2011/03/18 100,000,000 2010/09/03
63870 HK Bank China Life R Bear CBBC Mar 2011 C 0.250 34.88 per 100 units 33.88 per 100 units 2011/03/08 200,000,000 2010/09/03
63869 J P Morgan SP BV HSI R Bear CBBC Dec 2010 P 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 200,000,000 2010/09/03
63867 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Dec10A 0.300 27.000 28.000 2010/12/29 100,000,000 2010/09/03
63868 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Dec10B 0.250 28.000 29.000 2010/12/29 100,000,000 2010/09/03
63862 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10E 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 300,000,000 2010/09/03
63873 UBS AG China Life R Bear CBBC Jan 2011 D 0.280 32.880 31.880 2011/01/31 100,000,000 2010/09/03
63874 UBS AG A50 China R Bull CBBC Jan 2011 K 0.250 11.100 11.500 2011/01/03 100,000,000 2010/09/03
63880 UBS AG A50 China R Bear CBBC Jan 2011 L 0.250 12.780 12.380 2011/01/03 100,000,000 2010/09/03
63877 UBS AG HSI R Bull CBBC Jan 2011 V 0.285 17,800 per 10,000 units 18,300 per 10,000 units 2011/01/28 200,000,000 2010/09/03
63878 UBS AG HSI R Bull CBBC Mar 2011 E 0.250 17,700 per 12,000 units 18,200 per 12,000 units 2011/03/30 200,000,000 2010/09/03
63879 UBS AG HSI R Bull CBBC Apr 2011 C 0.250 17,800 per 38,000 units 18,300 per 38,000 units 2011/04/28 400,000,000 2010/09/03
63897 Deutsche Bank AG China Life R Bull CBBC Mar 2011 C 0.420 26.380 27.380 2011/03/07 150,000,000 2010/09/06
63889 Deutsche Bank AG HSI R Bull CBBC Feb 2011 Q 0.250 20,200 per 8,000 units 20,700 per 8,000 units 2011/02/25 300,000,000 2010/09/06
63892 Goldman Sachs SP (Asia) HSI R Bull CBBC Mar 2011 A 0.250 19,500 per 15,000 units 20,000 per 15,000 units 2011/03/30 200,000,000 2010/09/06
63893 Goldman Sachs SP (Asia) HSI R Bull CBBC Mar 2011 B 0.250 19,800 per 13,000 units 20,300 per 13,000 units 2011/03/30 200,000,000 2010/09/06
63894 Goldman Sachs SP (Asia) HSI R Bull CBBC Mar 2011 C 0.250 20,100 per 13,000 units 20,600 per 13,000 units 2011/03/30 200,000,000 2010/09/06
63898 Goldman Sachs SP (Asia) HSI R Bear CBBC Mar 2011 D 0.250 21,300 per 13,000 units 20,800 per 13,000 units 2011/03/30 200,000,000 2010/09/06
63899 Goldman Sachs SP (Asia) HSI R Bear CBBC Mar 2011 E 0.250 21,600 per 13,000 units 21,100 per 13,000 units 2011/03/30 200,000,000 2010/09/06
63900 Goldman Sachs SP (Asia) HSI R Bear CBBC Mar 2011 F 0.250 21,900 per 15,000 units 21,400 per 15,000 units 2011/03/30 200,000,000 2010/09/06
63901 Goldman Sachs SP (Asia) HSI R Bear CBBC Mar 2011 G 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2011/03/30 200,000,000 2010/09/06
63890 J P Morgan SP BV HSI R Bull CBBC Dec 2010 Q 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2010/12/30 200,000,000 2010/09/06
63903 UBS AG China Life R Bull CBBC Feb 2011 D 0.690 22.880 23.880 2011/02/28 100,000,000 2010/09/06
63886 UBS AG China Life R Bear CBBC Jan 2011 E 0.250 31.880 30.880 2011/01/24 100,000,000 2010/09/06
63904 UBS AG CPIC R Bull CBBC Feb 2011 A 0.385 24.880 25.880 2011/02/21 40,000,000 2010/09/06
63882 UBS AG A50 China R Bull CBBC Jan 2011 M 0.250 10.100 10.500 2011/01/31 100,000,000 2010/09/06
63891 UBS AG HSI R Bull CBBC Dec 2010 H 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 200,000,000 2010/09/06
63883 UBS AG HSI R Bull CBBC Feb 2011 R 0.250 17,900 per 12,000 units 18,400 per 12,000 units 2011/02/25 200,000,000 2010/09/06
63884 UBS AG HSI R Bull CBBC Mar 2011 F 0.250 17,500 per 15,000 units 18,000 per 15,000 units 2011/03/30 200,000,000 2010/09/06
63885 UBS AG HSI R Bull CBBC Mar 2011 G 0.305 17,600 per 10,000 units 18,100 per 10,000 units 2011/03/30 200,000,000 2010/09/06
63888 UBS AG HSI R Bear CBBC Feb 2011 S 0.250 21,300 per 38,000 units 20,800 per 38,000 units 2011/02/25 400,000,000 2010/09/06
63887 UBS AG TCH R Bear CBBC Dec 2010 J 0.250 156.88 per 100 units 148.88 per 100 units 2010/12/06 100,000,000 2010/09/06
62308 # HK Bank China Life R Bull CBBC Dec 2010 A 0.027 27.38 per 100 units 28.38 per 100 units 2010/12/15 380,000,000 2010/09/06
63913 Credit Suisse AG HSI R Bull CBBC Jan 2011 Y 0.250 20,000 per 10,000 units 20,488 per 10,000 units 2011/01/28 400,000,000 2010/09/07
63921 Deutsche Bank AG HSI R Bull CBBC Dec 2010 Z 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2010/12/30 300,000,000 2010/09/07
63916 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 E 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 128,000,000 2010/09/07
63907 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 J 0.320 18,000 per 8,000 units 18,500 per 8,000 units 2011/01/28 128,000,000 2010/09/07
63908 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 K 0.250 18,100 per 10,000 units 18,600 per 10,000 units 2011/01/28 128,000,000 2010/09/07
63911 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 L 0.250 18,300 per 12,000 units 18,800 per 12,000 units 2011/01/28 128,000,000 2010/09/07
63920 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 A 0.250 21,800 per 12,000 units 21,300 per 12,000 units 2010/12/30 200,000,000 2010/09/07
63917 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 I 0.250 21,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 200,000,000 2010/09/07
63919 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 R 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 200,000,000 2010/09/07
63918 CC Rabobank B.A. HSI R Bear CBBC Dec 2010 T 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 200,000,000 2010/09/07
63914 UBS AG CC Bank R Bull CBBC Jan 2011 A 0.250 5.180 5.580 2011/01/10 100,000,000 2010/09/07
63915 UBS AG HSCEI R Bear CBBC Feb 2011 A 0.250 12,300 per 12,000 units 11,800 per 12,000 units 2011/02/25 100,000,000 2010/09/07
63912 UBS AG HSI R Bull CBBC Jan 2011 X 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2011/01/28 200,000,000 2010/09/07
63615 # Deutsche Bank AG HSI R Bear CBBC Jan 2011 D 0.091 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 300,000,000 2010/09/07
63943 Credit Suisse AG China Mobile R Bull CBBC Jan 2011 B 0.250 71 per 100 units 75 per 100 units 2011/01/17 100,000,000 2010/09/08
63944 Credit Suisse AG China Mobile R Bull CBBC Feb 2011 A 0.250 66 per 100 units 70 per 100 units 2011/02/14 100,000,000 2010/09/08
63942 Credit Suisse AG HSBC R Bull CBBC Jan 2011 A 0.250 65 per 100 units 70 per 100 units 2011/01/17 100,000,000 2010/09/08
63941 Credit Suisse AG HSI R Bull CBBC Jan 2011 Z 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2011/01/28 390,000,000 2010/09/08
63935 Credit Suisse AG HSI R Bear CBBC Dec 2010 F 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/12/30 390,000,000 2010/09/08
63936 Credit Suisse AG HSI R Bear CBBC Jan 2011 H 0.250 22,800 per 15,000 units 22,300 per 15,000 units 2011/01/28 390,000,000 2010/09/08
63937 Credit Suisse AG HSI R Bear CBBC Feb 2011 B 0.250 22,600 per 13,000 units 22,100 per 13,000 units 2011/02/25 390,000,000 2010/09/08
63940 Credit Suisse AG HSI R Bear CBBC Feb 2011 C 0.250 23,000 per 10,000 units 22,518 per 10,000 units 2011/02/25 400,000,000 2010/09/08
63947 Deutsche Bank AG HSI R Bull CBBC Jan 2011 L 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2011/01/28 300,000,000 2010/09/08
63922 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Jan11A 0.250 9.600 10.000 2011/01/26 150,000,000 2010/09/08
63923 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Jan11B 0.250 10.100 10.500 2011/01/26 150,000,000 2010/09/08
63930 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Jan11C 0.250 13.400 13.000 2011/01/26 150,000,000 2010/09/08
63931 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Jan11D 0.250 13.900 13.500 2011/01/26 150,000,000 2010/09/08
63932 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Jan11A 0.250 12,500 per 12,000 units 12,000 per 12,000 units 2011/01/28 200,000,000 2010/09/08
63933 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Jan11B 0.250 13,000 per 12,000 units 12,500 per 12,000 units 2011/01/28 200,000,000 2010/09/08
63925 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10F 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 300,000,000 2010/09/08
63926 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10G 0.250 20,000 per 15,000 units 20,500 per 15,000 units 2010/12/30 300,000,000 2010/09/08
63928 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11B 0.250 17,900 per 15,000 units 18,400 per 15,000 units 2011/02/25 300,000,000 2010/09/08
63929 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11C 0.295 18,000 per 12,000 units 18,500 per 12,000 units 2011/02/25 300,000,000 2010/09/08
63945 UBS AG HSI R Bull CBBC Dec 2010 R 0.250 20,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/09/08
63946 UBS AG HSI R Bull CBBC Feb 2011 T 0.250 20,000 per 10,000 units 20,500 per 10,000 units 2011/02/25 200,000,000 2010/09/08
63934 UBS AG HSI R Bear CBBC Dec 2010 U 0.250 21,100 per 12,000 units 20,600 per 12,000 units 2010/12/30 200,000,000 2010/09/08
63757 # HK Bank Sinopec Corp R Bull CBBC Feb 2011 A 0.099 5.280 5.580 2011/02/18 300,000,000 2010/09/08
62112 # UBS AG Ping An R Bear CBBC Nov 2010 B 0.107 79.88 per 100 units 73.88 per 100 units 2010/11/22 100,000,000 2010/09/08
63955 Credit Suisse AG HSI R Bull CBBC Jan 2011 G 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2011/01/28 400,000,000 2010/09/09
63948 Credit Suisse AG HSI R Bear CBBC Dec 2010 O 0.250 21,200 per 10,000 units 20,718 per 10,000 units 2010/12/30 400,000,000 2010/09/09
63954 Deutsche Bank AG HSI R Bull CBBC Jan 2011 O 0.310 18,850 per 8,000 units 19,350 per 8,000 units 2011/01/28 300,000,000 2010/09/09
63966 Deutsche Bank AG HSI R Bull CBBC Jan 2011 Q 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2011/01/28 300,000,000 2010/09/09
63949 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Q 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 300,000,000 2010/09/09
63950 Deutsche Bank AG HSI R Bear CBBC Jan 2011 M 0.270 21,400 per 10,000 units 20,900 per 10,000 units 2011/01/28 300,000,000 2010/09/09
63953 J P Morgan SP BV HSI R Bull CBBC Dec 2010 R 0.250 20,300 per 8,000 units 20,800 per 8,000 units 2010/12/30 200,000,000 2010/09/09
63958 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 M 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2010/12/30 128,000,000 2010/09/09
63957 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 N 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2010/12/30 128,000,000 2010/09/09
63956 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 Q 0.250 20,000 per 8,000 units 20,500 per 8,000 units 2010/12/30 128,000,000 2010/09/09
63952 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 F 0.250 21,300 per 10,000 units 20,800 per 10,000 units 2010/12/30 128,000,000 2010/09/09
63962 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 A 0.250 19,900 per 10,000 units 20,400 per 10,000 units 2011/01/28 200,000,000 2010/09/09
63965 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 B 0.250 20,100 per 10,000 units 20,600 per 10,000 units 2011/01/28 200,000,000 2010/09/09
63960 UBS AG HSI R Bull CBBC Jan 2011 Y 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2011/01/28 200,000,000 2010/09/09
63961 UBS AG HSI R Bull CBBC Feb 2011 U 0.250 20,300 per 12,000 units 20,800 per 12,000 units 2011/02/25 200,000,000 2010/09/09
63951 UBS AG HSI R Bear CBBC Dec 2010 T 0.250 21,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 200,000,000 2010/09/09
63964 UBS AG HSI R Bear CBBC Jan 2011 B 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2011/01/28 200,000,000 2010/09/09
63959 UBS AG Ping An R Bull CBBC Jan 2011 A 0.250 54 per 100 units 60 per 100 units 2011/01/10 100,000,000 2010/09/09
63963 UBS AG Ping An R Bear CBBC Jan 2011 B 0.250 84.88 per 100 units 78.88 per 100 units 2011/01/10 100,000,000 2010/09/09
61667 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Oct 2010 F 0.081 22,600 per 15,000 units 22,100 per 15,000 units 2010/10/28 150,000,000 2010/09/09
63970 Credit Suisse AG HSI R Bull CBBC Jan 2011 J 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2011/01/28 390,000,000 2010/09/10
63969 Credit Suisse AG HSI R Bear CBBC Dec 2010 M 0.250 21,400 per 13,000 units 20,900 per 13,000 units 2010/12/30 390,000,000 2010/09/10
63977 Deutsche Bank AG HSI R Bear CBBC Dec 2010 O 0.250 21,500 per 12,000 units 21,000 per 12,000 units 2010/12/30 300,000,000 2010/09/10
63978 J P Morgan SP BV HSI R Bull CBBC Dec 2010 S 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/12/30 200,000,000 2010/09/10
63974 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 M 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2011/01/28 128,000,000 2010/09/10
63975 RB of Scotland N.V. Ch Life R Bull CBBC Mar 2011 A 0.250 26.88 per 100 units 27.88 per 100 units 2011/03/31 80,000,000 2010/09/10
63979 RB of Scotland N.V. Ch Life R Bear CBBC Mar 2011 B 0.250 33.88 per 100 units 32.88 per 100 units 2011/03/31 80,000,000 2010/09/10
63976 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 C 0.251 19,900 per 10,000 units 20,400 per 10,000 units 2010/12/30 250,000,000 2010/09/10
63967 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10H 0.250 20,200 per 10,000 units 20,700 per 10,000 units 2010/12/30 300,000,000 2010/09/10
63968 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10I 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2010/12/30 300,000,000 2010/09/10
63971 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10J 0.250 21,400 per 10,000 units 20,900 per 10,000 units 2010/12/30 300,000,000 2010/09/10
63973 UBS AG HSI R Bull CBBC Feb 2011 V 0.250 20,400 per 10,000 units 20,900 per 10,000 units 2011/02/25 200,000,000 2010/09/10
63972 UBS AG HSI R Bear CBBC Dec 2010 I 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/12/30 200,000,000 2010/09/10
64000 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Apr 2011 F 0.250 19,900 per 12,000 units 20,400 per 12,000 units 2011/04/28 100,000,000 2010/09/13
64001 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Apr 2011 G 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2011/04/28 100,000,000 2010/09/13
64016 Credit Suisse AG A50 China R Bull CBBC Jan 2011 G 0.250 11.600 12.000 2011/01/24 100,000,000 2010/09/13
64011 Credit Suisse AG HSI R Bull CBBC Jan 2011 I 0.250 20,800 per 13,000 units 21,300 per 13,000 units 2011/01/28 390,000,000 2010/09/13
64012 Credit Suisse AG HSI R Bull CBBC Feb 2011 D 0.250 20,200 per 13,000 units 20,700 per 13,000 units 2011/02/25 390,000,000 2010/09/13
64015 Credit Suisse AG HSI R Bull CBBC Feb 2011 E 0.250 20,500 per 13,000 units 21,000 per 13,000 units 2011/02/25 390,000,000 2010/09/13
63998 Credit Suisse AG HSI R Bear CBBC Dec 2010 S 0.250 21,800 per 10,000 units 21,318 per 10,000 units 2010/12/30 400,000,000 2010/09/13
63988 Credit Suisse AG HSI R Bear CBBC Dec 2010 T 0.250 21,500 per 10,000 units 21,018 per 10,000 units 2010/12/30 400,000,000 2010/09/13
64020 Deutsche Bank AG HSI R Bull CBBC Dec 2010 R 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 300,000,000 2010/09/13
64018 Deutsche Bank AG HSI R Bull CBBC Dec 2010 X 0.250 20,400 per 15,000 units 20,900 per 15,000 units 2010/12/30 300,000,000 2010/09/13
64021 Deutsche Bank AG HSI R Bull CBBC Jan 2011 W 0.280 19,900 per 15,000 units 20,400 per 15,000 units 2011/01/28 300,000,000 2010/09/13
64024 Deutsche Bank AG HSI R Bull CBBC Jan 2011 Y 0.290 20,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 300,000,000 2010/09/13
63985 Deutsche Bank AG HSI R Bear CBBC Jan 2011 S 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2011/01/28 300,000,000 2010/09/13
63999 Deutsche Bank AG HSI R Bear CBBC Jan 2011 X 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2011/01/28 300,000,000 2010/09/13
63992 J P Morgan SP BV HSI R Bull CBBC Dec 2010 T 0.250 20,000 per 8,000 units 20,500 per 8,000 units 2010/12/30 200,000,000 2010/09/13
63993 J P Morgan SP BV HSI R Bull CBBC Dec 2010 U 0.250 20,500 per 8,000 units 21,000 per 8,000 units 2010/12/30 200,000,000 2010/09/13
63994 J P Morgan SP BV HSI R Bull CBBC Dec 2010 V 0.250 20,700 per 8,000 units 21,200 per 8,000 units 2010/12/30 200,000,000 2010/09/13
63996 J P Morgan SP BV HSI R Bear CBBC Dec 2010 W 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 200,000,000 2010/09/13
63997 J P Morgan SP BV HSI R Bear CBBC Dec 2010 X 0.265 22,600 per 12,000 units 22,100 per 12,000 units 2010/12/30 200,000,000 2010/09/13
63995 J P Morgan SP BV HSI R Bear CBBC Jan 2011 B 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/01/28 200,000,000 2010/09/13
64029 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 N 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2011/01/28 128,000,000 2010/09/13
64025 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 C 0.250 20,300 per 10,000 units 20,800 per 10,000 units 2011/01/28 200,000,000 2010/09/13
64026 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 D 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 200,000,000 2010/09/13
64027 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 E 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2011/01/28 200,000,000 2010/09/13
64003 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 D 0.251 20,100 per 13,000 units 20,600 per 13,000 units 2010/12/30 250,000,000 2010/09/13
64004 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 E 0.250 20,300 per 13,000 units 20,800 per 13,000 units 2010/12/30 250,000,000 2010/09/13
64008 RB of Scotland N.V. HSI R Bear CBBC Dec 2010 F 0.250 22,700 per 13,000 units 22,200 per 13,000 units 2010/12/30 250,000,000 2010/09/13
63982 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10K 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2010/12/30 300,000,000 2010/09/13
63989 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10M 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2010/12/30 300,000,000 2010/09/13
63990 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10N 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/12/30 300,000,000 2010/09/13
63991 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10O 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 300,000,000 2010/09/13
63987 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10L 0.250 21,500 per 15,000 units 21,000 per 15,000 units 2010/12/30 300,000,000 2010/09/13
64009 UBS AG HKEx R Bull CBBC Jan 2011 A 0.250 117.88 per 100 units 123.88 per 100 units 2011/01/17 100,000,000 2010/09/13
64013 UBS AG HKEx R Bear CBBC Jan 2011 B 0.250 149.88 per 100 units 143.88 per 100 units 2011/01/17 100,000,000 2010/09/13
64010 UBS AG HKEx R Bear CBBC Feb 2011 B 0.295 159.88 per 100 units 153.88 per 100 units 2011/02/14 100,000,000 2010/09/13
64006 UBS AG HSI R Bull CBBC Dec 2010 B 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 200,000,000 2010/09/13
64005 UBS AG HSI R Bull CBBC Dec 2010 L 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2010/12/30 200,000,000 2010/09/13
64007 UBS AG HSI R Bull CBBC Mar 2011 H 0.250 20,300 per 38,000 units 20,800 per 38,000 units 2011/03/30 400,000,000 2010/09/13
63983 UBS AG HSI R Bear CBBC Dec 2010 S 0.250 21,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 200,000,000 2010/09/13
63984 UBS AG HSI R Bear CBBC Feb 2011 W 0.250 21,500 per 10,000 units 21,000 per 10,000 units 2011/02/25 200,000,000 2010/09/13
64039 Credit Suisse AG HSI R Bull CBBC Jan 2011 D 0.250 20,700 per 15,000 units 21,200 per 15,000 units 2011/01/28 390,000,000 2010/09/14
64045 Credit Suisse AG HSI R Bull CBBC Jan 2011 L 0.250 20,900 per 10,000 units 21,388 per 10,000 units 2011/01/28 300,000,000 2010/09/14
64038 Credit Suisse AG HSI R Bear CBBC Dec 2010 H 0.250 21,900 per 15,000 units 21,400 per 15,000 units 2010/12/30 390,000,000 2010/09/14
64057 Deutsche Bank AG HSCEI R Bull CBBC Jan 2011 B 0.250 11,100 per 8,000 units 11,500 per 8,000 units 2011/01/28 150,000,000 2010/09/14
64056 Deutsche Bank AG HSI R Bear CBBC Jan 2011 G 0.310 24,300 per 12,000 units 23,800 per 12,000 units 2011/01/28 300,000,000 2010/09/14
64055 Deutsche Bank AG HSI R Bear CBBC Jan 2011 H 0.270 23,800 per 12,000 units 23,300 per 12,000 units 2011/01/28 300,000,000 2010/09/14
64052 Deutsche Bank AG HSI R Bear CBBC Jan 2011 U 0.370 23,600 per 8,000 units 23,100 per 8,000 units 2011/01/28 300,000,000 2010/09/14
64051 Deutsche Bank AG HSI R Bear CBBC Jan 2011 Z 0.320 23,200 per 8,000 units 22,700 per 8,000 units 2011/01/28 300,000,000 2010/09/14
64044 Deutsche Bank AG HSI R Bear CBBC Feb 2011 R 0.250 21,900 per 15,000 units 21,400 per 15,000 units 2011/02/25 300,000,000 2010/09/14
64054 Deutsche Bank AG HSI R Bear CBBC Feb 2011 T 0.400 24,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 300,000,000 2010/09/14
64035 HK Bank HSI R Bull CBBC Feb 2011 B 0.250 20,100 per 15,000 units 20,600 per 15,000 units 2011/02/25 120,000,000 2010/09/14
64036 HK Bank HSI R Bull CBBC Feb 2011 C 0.250 20,400 per 12,000 units 20,900 per 12,000 units 2011/02/25 120,000,000 2010/09/14
64037 HK Bank HSI R Bull CBBC Feb 2011 D 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2011/02/25 120,000,000 2010/09/14
64060 J P Morgan SP BV HSI R Bull CBBC Dec 2010 Y 0.250 20,600 per 15,000 units 21,100 per 15,000 units 2010/12/30 200,000,000 2010/09/14
64061 J P Morgan SP BV HSI R Bull CBBC Dec 2010 Z 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2010/12/30 200,000,000 2010/09/14
64048 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 R 0.250 20,500 per 8,000 units 21,000 per 8,000 units 2010/12/30 128,000,000 2010/09/14
64033 Macquarie Bank Ltd. HSI R Bull CBBC Dec 2010 C 0.250 20,000 per 11,000 units 20,600 per 11,000 units 2010/12/30 200,000,000 2010/09/14
64030 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Dec 2010 E 0.160 19,850 per 10,000 units 20,350 per 10,000 units 2010/12/30 150,000,000 2010/09/14
64034 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Dec 2010 F 0.208 23,300 per 10,000 units 22,800 per 10,000 units 2010/12/30 150,000,000 2010/09/14
64031 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Jan 2011 A 0.194 23,800 per 13,000 units 23,300 per 13,000 units 2011/01/28 150,000,000 2010/09/14
64032 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Jan 2011 B 0.209 24,300 per 15,000 units 23,800 per 15,000 units 2011/01/28 150,000,000 2010/09/14
64049 RB of Scotland N.V. A50 China R Bull CBBC Jan 2011 A 0.250 11.280 11.780 2011/01/21 80,000,000 2010/09/14
64053 RB of Scotland N.V. A50 China R Bear CBBC Jan 2011 B 0.250 13.480 12.980 2011/01/21 80,000,000 2010/09/14
64041 UBS AG A50 China R Bull CBBC Jan 2011 N 0.250 11.600 12.000 2011/01/17 100,000,000 2010/09/14
64042 UBS AG HSCEI R Bull CBBC Jan 2011 D 0.250 10,800 per 12,000 units 11,300 per 12,000 units 2011/01/28 100,000,000 2010/09/14
64047 UBS AG HSI R Bull CBBC Jan 2011 L 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 200,000,000 2010/09/14
64046 UBS AG HSI R Bull CBBC Feb 2011 X 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2011/02/25 200,000,000 2010/09/14
64043 UBS AG HSI R Bear CBBC Jan 2011 I 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2011/01/28 200,000,000 2010/09/14
64040 UBS AG TCH R Bull CBBC Jan 2011 C 0.250 130.88 per 100 units 138.88 per 100 units 2011/01/17 100,000,000 2010/09/14
64075 Credit Suisse AG HSI R Bear CBBC Jan 2011 M 0.250 21,600 per 15,000 units 21,100 per 15,000 units 2011/01/28 390,000,000 2010/09/15
64065 Deutsche Bank AG HSI R Bull CBBC Feb 2011 U 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2011/02/25 300,000,000 2010/09/15
64066 Deutsche Bank AG HSI R Bear CBBC Feb 2011 V 0.250 21,700 per 8,000 units 21,200 per 8,000 units 2011/02/25 300,000,000 2010/09/15
64074 J P Morgan SP BV HSI R Bear CBBC Dec 2010 G 0.250 21,900 per 13,000 units 21,400 per 13,000 units 2010/12/30 200,000,000 2010/09/15
64072 J P Morgan SP BV HSI R Bear CBBC Dec 2010 H 0.250 21,700 per 8,000 units 21,200 per 8,000 units 2010/12/30 200,000,000 2010/09/15
64071 J P Morgan SP BV HSI R Bear CBBC Dec 2010 I 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/09/15
64080 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 O 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2011/01/28 128,000,000 2010/09/15
64081 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 F 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2011/01/28 200,000,000 2010/09/15
64082 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 G 0.250 21,900 per 10,000 units 21,400 per 10,000 units 2011/01/28 200,000,000 2010/09/15
64063 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10P 0.250 20,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 300,000,000 2010/09/15
64064 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10Q 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2010/12/30 300,000,000 2010/09/15
64067 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10R 0.250 21,600 per 12,000 units 21,100 per 12,000 units 2010/12/30 300,000,000 2010/09/15
64068 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10S 0.250 21,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 300,000,000 2010/09/15
64069 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10T 0.250 21,800 per 15,000 units 21,300 per 15,000 units 2010/12/30 300,000,000 2010/09/15
64070 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10U 0.250 21,900 per 12,000 units 21,400 per 12,000 units 2010/12/30 300,000,000 2010/09/15
64062 UBS AG HSI R Bull CBBC Dec 2010 J 0.250 20,700 per 12,000 units 21,200 per 12,000 units 2010/12/30 200,000,000 2010/09/15
64077 UBS AG HSI R Bear CBBC Dec 2010 Z 0.250 21,600 per 10,000 units 21,100 per 10,000 units 2010/12/30 200,000,000 2010/09/15
64087 Credit Suisse AG China Mobile R Bear CBBC Jan 2011 C 0.250 87 per 100 units 83 per 100 units 2011/01/17 100,000,000 2010/09/16
64086 Credit Suisse AG HSI R Bull CBBC Jan 2011 N 0.250 20,600 per 10,000 units 21,088 per 10,000 units 2011/01/28 300,000,000 2010/09/16
64085 Credit Suisse AG HSI R Bear CBBC Dec 2010 I 0.250 21,700 per 13,000 units 21,200 per 13,000 units 2010/12/30 390,000,000 2010/09/16
64090 Deutsche Bank AG China Mobile R Bear CBBC Feb 2011 A 0.250 87.88 per 100 units 83.88 per 100 units 2011/02/14 150,000,000 2010/09/16
64083 HK Bank A50 R Bull CBBC Feb 2011 D 0.250 10.680 10.980 2011/02/08 160,000,000 2010/09/16
64084 HK Bank A50 R Bull CBBC Mar 2011 A 0.250 11.480 11.780 2011/03/08 160,000,000 2010/09/16
64088 UBS AG China Mobile R Bear CBBC Jan 2011 C 0.250 86.88 per 100 units 82.88 per 100 units 2011/01/17 100,000,000 2010/09/16
64089 UBS AG HSI R Bull CBBC Mar 2011 I 0.250 20,600 per 10,000 units 21,100 per 10,000 units 2011/03/30 200,000,000 2010/09/16
63017 # Deutsche Bank AG HSI R Bear CBBC Jan 2011 K 0.120 23,400 per 15,000 units 22,900 per 15,000 units 2011/01/28 300,000,000 2010/09/16
64091 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 A 0.250 19,800 per 10,000 units 20,000 per 10,000 units 2011/09/29 100,000,000 2010/09/17
64092 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 B 0.250 20,300 per 10,000 units 20,500 per 10,000 units 2011/09/29 100,000,000 2010/09/17
64093 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 A 0.250 22,200 per 10,000 units 22,000 per 10,000 units 2011/10/28 100,000,000 2010/09/17
64094 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 B 0.250 22,700 per 10,000 units 22,500 per 10,000 units 2011/10/28 100,000,000 2010/09/17
64098 UBS AG HKEx R Bull CBBC Jan 2011 C 0.250 122.88 per 100 units 128.88 per 100 units 2011/01/10 100,000,000 2010/09/17
64099 UBS AG HKEx R Bear CBBC Feb 2011 C 0.320 164.88 per 100 units 158.88 per 100 units 2011/02/21 100,000,000 2010/09/17
64097 UBS AG HSI R Bull CBBC Jan 2011 S 0.250 19,500 per 10,000 units 20,000 per 10,000 units 2011/01/28 200,000,000 2010/09/17
64095 UBS AG HSI R Bull CBBC Mar 2011 J 0.250 19,700 per 12,000 units 20,200 per 12,000 units 2011/03/30 200,000,000 2010/09/17
64100 UBS AG HSI R Bear CBBC Mar 2011 K 0.250 23,200 per 10,000 units 22,700 per 10,000 units 2011/03/30 200,000,000 2010/09/17
64101 UBS AG HSI R Bear CBBC Mar 2011 L 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/09/17
64102 UBS AG HSI R Bear CBBC Apr 2011 D 0.250 23,500 per 15,000 units 23,000 per 15,000 units 2011/04/28 200,000,000 2010/09/17
64112 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2011 H 0.250 20,700 per 10,000 units 21,200 per 10,000 units 2011/05/30 100,000,000 2010/09/20
64113 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2011 D 0.250 20,500 per 12,000 units 21,000 per 12,000 units 2011/06/29 100,000,000 2010/09/20
64134 Credit Suisse AG HSI R Bull CBBC Jan 2011 B 0.250 21,100 per 13,000 units 21,600 per 13,000 units 2011/01/28 390,000,000 2010/09/20
64114 Credit Suisse AG HSI R Bear CBBC Dec 2010 O 0.250 21,800 per 10,000 units 21,318 per 10,000 units 2010/12/30 300,000,000 2010/09/20
64119 Credit Suisse AG HSI R Bear CBBC Jan 2011 O 0.250 22,000 per 13,000 units 21,500 per 13,000 units 2011/01/28 390,000,000 2010/09/20
64135 Deutsche Bank AG HSI R Bull CBBC Feb 2011 W 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2011/02/25 300,000,000 2010/09/20
64136 Deutsche Bank AG HSI R Bull CBBC Feb 2011 X 0.260 21,100 per 10,000 units 21,600 per 10,000 units 2011/02/25 300,000,000 2010/09/20
64124 Deutsche Bank AG HSI R Bear CBBC Dec 2010 S 0.280 22,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 300,000,000 2010/09/20
64123 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Y 0.250 21,800 per 10,000 units 21,300 per 10,000 units 2010/12/30 300,000,000 2010/09/20
64128 J P Morgan SP BV HSI R Bull CBBC Dec 2010 J 0.250 20,800 per 15,000 units 21,300 per 15,000 units 2010/12/30 200,000,000 2010/09/20
64131 J P Morgan SP BV HSI R Bull CBBC Dec 2010 M 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 200,000,000 2010/09/20
64129 J P Morgan SP BV HSI R Bull CBBC Dec 2010 N 0.250 21,000 per 8,000 units 21,500 per 8,000 units 2010/12/30 200,000,000 2010/09/20
64137 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 Q 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2011/01/28 128,000,000 2010/09/20
64138 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 R 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2011/01/28 128,000,000 2010/09/20
64120 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 P 0.250 22,100 per 12,000 units 21,600 per 12,000 units 2011/01/28 128,000,000 2010/09/20
64139 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 H 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2011/01/28 200,000,000 2010/09/20
64140 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 I 0.250 20,900 per 10,000 units 21,400 per 10,000 units 2011/01/28 200,000,000 2010/09/20
64111 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC Jan11A 0.250 63 per 100 units 66 per 100 units 2011/01/26 300,000,000 2010/09/20
64125 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10V 0.250 21,000 per 12,000 units 21,500 per 12,000 units 2010/12/30 300,000,000 2010/09/20
64126 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10W 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2010/12/30 300,000,000 2010/09/20
64103 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11D 0.330 19,000 per 10,000 units 19,500 per 10,000 units 2011/02/25 300,000,000 2010/09/20
64104 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11E 0.250 19,100 per 15,000 units 19,600 per 15,000 units 2011/02/25 300,000,000 2010/09/20
64106 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11G 0.290 19,300 per 10,000 units 19,800 per 10,000 units 2011/02/25 300,000,000 2010/09/20
64107 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11H 0.250 19,400 per 15,000 units 19,900 per 15,000 units 2011/02/25 300,000,000 2010/09/20
64108 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11I 0.250 19,500 per 12,000 units 20,000 per 12,000 units 2011/02/25 300,000,000 2010/09/20
64109 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11J 0.250 19,600 per 10,000 units 20,100 per 10,000 units 2011/02/25 300,000,000 2010/09/20
64110 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11K 0.250 19,700 per 15,000 units 20,200 per 15,000 units 2011/02/25 300,000,000 2010/09/20
64127 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Dec10X 0.250 22,200 per 12,000 units 21,700 per 12,000 units 2010/12/30 300,000,000 2010/09/20
64141 UBS AG HKEx R Bull CBBC Jan 2011 D 0.250 127.88 per 100 units 133.88 per 100 units 2011/01/24 100,000,000 2010/09/20
64143 UBS AG HKEx R Bear CBBC Feb 2011 D 0.325 169.88 per 100 units 163.88 per 100 units 2011/02/28 100,000,000 2010/09/20
64145 UBS AG HSI R Bull CBBC Dec 2010 U 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2010/12/30 200,000,000 2010/09/20
64146 UBS AG HSI R Bull CBBC Jan 2011 O 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2011/01/28 200,000,000 2010/09/20
64144 UBS AG HSI R Bull CBBC Apr 2011 E 0.250 20,800 per 38,000 units 21,300 per 38,000 units 2011/04/28 400,000,000 2010/09/20
64122 UBS AG HSI R Bear CBBC Jan 2011 J 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2011/01/28 200,000,000 2010/09/20
64121 UBS AG HSI R Bear CBBC Jan 2011 N 0.250 22,000 per 15,000 units 21,500 per 15,000 units 2011/01/28 200,000,000 2010/09/20
64149 UBS AG HSI R Bear CBBC Feb 2011 Y 0.250 23,100 per 12,000 units 22,600 per 12,000 units 2011/02/25 200,000,000 2010/09/20
64150 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 200,000,000 2010/09/20
64151 UBS AG HSI R Bear CBBC Apr 2011 F 0.250 23,300 per 12,000 units 22,800 per 12,000 units 2011/04/28 200,000,000 2010/09/20
64152 UBS AG HSI R Bear CBBC Apr 2011 G 0.250 24,300 per 38,000 units 23,800 per 38,000 units 2011/04/28 200,000,000 2010/09/20
64166 Credit Suisse AG HKEx R Bull CBBC Jan 2011 A 0.250 124 per 100 units 130 per 100 units 2011/01/17 100,000,000 2010/09/21
64165 Credit Suisse AG HSI R Bull CBBC Dec 2010 T 0.250 21,200 per 10,000 units 21,688 per 10,000 units 2010/12/30 300,000,000 2010/09/21
64160 Credit Suisse AG HSI R Bull CBBC Feb 2011 F 0.250 20,300 per 22,000 units 20,800 per 22,000 units 2011/02/25 330,000,000 2010/09/21
64159 Credit Suisse AG HSI R Bear CBBC Dec 2010 M 0.250 22,200 per 15,000 units 21,700 per 15,000 units 2010/12/30 390,000,000 2010/09/21
64167 Credit Suisse AG HSI R Bear CBBC Feb 2011 G 0.250 22,800 per 22,000 units 22,300 per 22,000 units 2011/02/25 330,000,000 2010/09/21
64161 Credit Suisse AG TCH R Bull CBBC Jan 2011 B 0.250 132 per 100 units 140 per 100 units 2011/01/24 100,000,000 2010/09/21
64186 Deutsche Bank AG HSCEI R Bear CBBC Jan 2011 C 0.280 14,000 per 8,000 units 13,600 per 8,000 units 2011/01/28 150,000,000 2010/09/21
64174 Deutsche Bank AG HSI R Bull CBBC Jan 2011 F 0.250 21,200 per 8,000 units 21,700 per 8,000 units 2011/01/28 300,000,000 2010/09/21
64158 Deutsche Bank AG HSI R Bull CBBC Jan 2011 P 0.250 20,850 per 15,000 units 21,350 per 15,000 units 2011/01/28 300,000,000 2010/09/21
64169 Deutsche Bank AG HSI R Bull CBBC Mar 2011 L 0.250 19,900 per 40,000 units 20,500 per 40,000 units 2011/03/30 300,000,000 2010/09/21
64164 Deutsche Bank AG HSI R Bear CBBC Jan 2011 T 0.260 22,000 per 12,000 units 21,700 per 12,000 units 2011/01/28 300,000,000 2010/09/21
64187 J P Morgan SP BV HSI R Bear CBBC Dec 2010 L 0.250 22,200 per 10,000 units 21,700 per 10,000 units 2010/12/30 200,000,000 2010/09/21
64168 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 S 0.250 21,200 per 8,000 units 21,700 per 8,000 units 2011/01/28 128,000,000 2010/09/21
64175 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 T 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2011/01/28 128,000,000 2010/09/21
64176 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 E 0.250 19,600 per 12,000 units 20,100 per 12,000 units 2011/02/25 128,000,000 2010/09/21
64177 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 F 0.250 19,800 per 12,000 units 20,300 per 12,000 units 2011/02/25 128,000,000 2010/09/21
64181 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 G 0.250 23,200 per 12,000 units 22,700 per 12,000 units 2011/02/25 128,000,000 2010/09/21
64178 RB of Scotland N.V. HSCEI R Bear CBBC Jan 2011 A 0.251 13,300 per 10,000 units 12,800 per 10,000 units 2011/01/28 250,000,000 2010/09/21
64179 RB of Scotland N.V. HSCEI R Bear CBBC Jan 2011 B 0.251 13,700 per 10,000 units 13,200 per 10,000 units 2011/01/28 250,000,000 2010/09/21
64182 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 G 0.251 20,500 per 13,000 units 21,000 per 13,000 units 2010/12/30 250,000,000 2010/09/21
64184 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 H 0.251 20,700 per 10,000 units 21,200 per 10,000 units 2010/12/30 250,000,000 2010/09/21
64185 RB of Scotland N.V. HSI R Bear CBBC Jan 2011 A 0.251 23,700 per 13,000 units 23,200 per 13,000 units 2011/01/28 250,000,000 2010/09/21
64170 UBS AG China Life R Bull CBBC Jan 2011 F 0.250 28.880 29.880 2011/01/17 200,000,000 2010/09/21
64153 UBS AG HSCEI R Bull CBBC Feb 2011 B 0.250 11,000 per 20,000 units 11,500 per 20,000 units 2011/02/25 100,000,000 2010/09/21
64157 UBS AG HSCEI R Bear CBBC Feb 2011 C 0.250 13,300 per 12,000 units 12,800 per 12,000 units 2011/02/25 100,000,000 2010/09/21
64156 UBS AG HSCEI R Bear CBBC Mar 2011 B 0.250 13,800 per 12,000 units 13,300 per 12,000 units 2011/03/30 100,000,000 2010/09/21
64172 UBS AG HSI R Bull CBBC Feb 2011 Z 0.250 21,200 per 10,000 units 21,700 per 10,000 units 2011/02/25 200,000,000 2010/09/21
64173 UBS AG HSI R Bull CBBC Mar 2011 N 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2011/03/30 200,000,000 2010/09/21
64171 UBS AG TCH R Bull CBBC Jan 2011 D 0.250 135.88 per 100 units 143.88 per 100 units 2011/01/10 100,000,000 2010/09/21
64200 Credit Suisse AG HSI R Bull CBBC Jan 2011 P 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2011/01/28 390,000,000 2010/09/22
64198 Credit Suisse AG HSI R Bear CBBC Dec 2010 S 0.250 22,300 per 13,000 units 21,800 per 13,000 units 2010/12/30 390,000,000 2010/09/22
64193 HK Bank HSI R Bear CBBC Feb 2011 E 0.250 22,500 per 10,000 units 22,018 per 10,000 units 2011/02/25 150,000,000 2010/09/22
64194 HK Bank HSI R Bear CBBC Mar 2011 A 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2011/03/30 150,000,000 2010/09/22
64197 HK Bank HSI R Bear CBBC Mar 2011 B 0.250 24,400 per 38,000 units 23,888 per 38,000 units 2011/03/30 280,000,000 2010/09/22
64188 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11D 0.250 22,400 per 15,000 units 21,900 per 15,000 units 2011/01/28 300,000,000 2010/09/22
64189 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11E 0.250 22,500 per 12,000 units 22,000 per 12,000 units 2011/01/28 300,000,000 2010/09/22
64190 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11F 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2011/01/28 300,000,000 2010/09/22
64191 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11G 0.250 22,700 per 15,000 units 22,200 per 15,000 units 2011/01/28 300,000,000 2010/09/22
64192 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11H 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2011/01/28 300,000,000 2010/09/22
64199 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11I 0.250 22,300 per 10,000 units 21,800 per 10,000 units 2011/01/28 300,000,000 2010/09/22
64201 UBS AG HSI R Bear CBBC Jan 2011 H 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 200,000,000 2010/09/22
64202 UBS AG HSI R Bear CBBC Mar 2011 O 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 200,000,000 2010/09/22
63113 # RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 D 0.156 11,250 per 30,000 units 10,850 per 30,000 units 2010/12/17 80,000,000 2010/09/22
63579 # RB of Scotland N.V. DJIA R Bear CBBC Dec 2010 G 0.225 11,400 per 30,000 units 11,000 per 30,000 units 2010/12/17 60,000,000 2010/09/22
64203 Credit Suisse AG HKEx R Bear CBBC Jan 2011 B 0.250 154 per 100 units 148 per 100 units 2011/01/17 100,000,000 2010/09/24
64206 Deutsche Bank AG HSI R Bear CBBC Jan 2011 I 0.270 22,250 per 8,000 units 21,750 per 8,000 units 2011/01/28 300,000,000 2010/09/24
64207 Deutsche Bank AG HSI R Bear CBBC Feb 2011 Y 0.250 22,300 per 12,000 units 21,800 per 12,000 units 2011/02/25 300,000,000 2010/09/24
64204 UBS AG Cheung Kong R Bear CBBC Feb 2011 A 0.250 121.88 per 100 units 113.88 per 100 units 2011/02/14 100,000,000 2010/09/24
64248 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC May 2011 I 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2011/05/30 100,000,000 2010/09/27
64249 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2011 E 0.250 21,100 per 10,000 units 21,600 per 10,000 units 2011/06/29 100,000,000 2010/09/27
64210 Credit Suisse AG HSBC R Bear CBBC Jan 2011 B 0.250 98 per 100 units 93 per 100 units 2011/01/17 100,000,000 2010/09/27
64237 Credit Suisse AG HSI R Bull CBBC Jan 2011 R 0.250 21,400 per 13,000 units 21,900 per 13,000 units 2011/01/28 390,000,000 2010/09/27
64211 Credit Suisse AG HSI R Bear CBBC Dec 2010 H 0.250 22,400 per 10,000 units 21,918 per 10,000 units 2010/12/30 300,000,000 2010/09/27
64212 Credit Suisse AG HSI R Bear CBBC Jan 2011 C 0.250 23,600 per 10,000 units 23,118 per 10,000 units 2011/01/28 300,000,000 2010/09/27
64213 Credit Suisse AG HSI R Bear CBBC Jan 2011 Q 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/01/28 390,000,000 2010/09/27
64214 Credit Suisse AG HSI R Bear CBBC Feb 2011 H 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 390,000,000 2010/09/27
64215 Credit Suisse AG HSI R Bear CBBC Feb 2011 I 0.250 23,900 per 10,000 units 23,418 per 10,000 units 2011/02/25 300,000,000 2010/09/27
64216 Credit Suisse AG HSI R Bear CBBC Feb 2011 J 0.250 24,100 per 13,000 units 23,600 per 13,000 units 2011/02/25 390,000,000 2010/09/27
64245 Deutsche Bank AG HSI R Bull CBBC Feb 2011 Z 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2011/02/25 300,000,000 2010/09/27
64217 Deutsche Bank AG HSI R Bear CBBC Jan 2011 D 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2011/01/28 300,000,000 2010/09/27
64222 J P Morgan SP BV HSI R Bull CBBC Dec 2010 K 0.250 21,400 per 12,000 units 21,900 per 12,000 units 2010/12/30 200,000,000 2010/09/27
64221 J P Morgan SP BV HSI R Bull CBBC Dec 2010 P 0.250 21,300 per 13,000 units 21,800 per 13,000 units 2010/12/30 200,000,000 2010/09/27
64230 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 U 0.250 21,300 per 10,000 units 21,800 per 10,000 units 2011/01/28 128,000,000 2010/09/27
64231 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 V 0.250 21,400 per 8,000 units 21,900 per 8,000 units 2011/01/28 128,000,000 2010/09/27
64232 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 H 0.250 20,600 per 12,000 units 21,100 per 12,000 units 2011/02/25 128,000,000 2010/09/27
64233 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 I 0.250 20,800 per 8,000 units 21,300 per 8,000 units 2011/02/25 128,000,000 2010/09/27
64234 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 J 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2011/02/25 128,000,000 2010/09/27
64208 Macquarie Bank Ltd. HSI R Bull CBBC Jan 2011 A 0.175 20,500 per 10,000 units 21,000 per 10,000 units 2011/01/28 200,000,000 2010/09/27
64246 CC Rabobank B.A. HSI R Bull CBBC Jan 2011 J 0.250 21,350 per 11,000 units 21,800 per 11,000 units 2011/01/28 200,000,000 2010/09/27
64250 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 K 0.250 22,450 per 11,000 units 22,000 per 11,000 units 2011/01/28 200,000,000 2010/09/27
64251 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 L 0.250 22,650 per 11,000 units 22,200 per 11,000 units 2011/01/28 200,000,000 2010/09/27
64252 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 M 0.250 22,850 per 11,000 units 22,400 per 11,000 units 2011/01/28 200,000,000 2010/09/27
64253 CC Rabobank B.A. HSI R Bear CBBC Jan 2011 N 0.250 23,050 per 11,000 units 22,600 per 11,000 units 2011/01/28 200,000,000 2010/09/27
64226 RB of Scotland N.V. DJIA R Bull CBBC Mar 2011 A 0.251 9,550 per 60,000 units 9,950 per 60,000 units 2011/03/18 80,000,000 2010/09/27
64227 RB of Scotland N.V. DJIA R Bull CBBC Mar 2011 B 0.250 9,700 per 30,000 units 10,100 per 30,000 units 2011/03/18 80,000,000 2010/09/27
64229 RB of Scotland N.V. DJIA R Bull CBBC Mar 2011 C 0.250 9,850 per 30,000 units 10,250 per 30,000 units 2011/03/18 80,000,000 2010/09/27
64225 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10D 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/12/30 300,000,000 2010/09/27
64223 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10Y 0.250 21,200 per 15,000 units 21,700 per 15,000 units 2010/12/30 500,000,000 2010/09/27
64224 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Dec10Z 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/12/30 300,000,000 2010/09/27
64242 UBS AG HSBC R Bull CBBC Jan 2011 A 0.250 73.88 per 100 units 78.88 per 100 units 2011/01/24 100,000,000 2010/09/27
64244 UBS AG HSI R Bull CBBC Dec 2010 T 0.250 21,400 per 10,000 units 21,900 per 10,000 units 2010/12/30 200,000,000 2010/09/27
64209 UBS AG HSI R Bear CBBC Feb 2011 C 0.250 22,400 per 10,000 units 21,900 per 10,000 units 2011/02/25 200,000,000 2010/09/27
64243 UBS AG SHK Ppt R Bull CBBC Feb 2011 A 0.250 100.88 per 100 units 108.88 per 100 units 2011/02/14 100,000,000 2010/09/27
64260 Credit Suisse AG China Mobile R Bull CBBC Jan 2011 D 0.250 61 per 100 units 65 per 100 units 2011/01/24 100,000,000 2010/09/28
64261 Credit Suisse AG A50 China R Bull CBBC Jan 2011 H 0.250 9.600 10.000 2011/01/24 100,000,000 2010/09/28
64262 Credit Suisse AG HKEx R Bear CBBC Jan 2011 C 0.250 159 per 100 units 153 per 100 units 2011/01/24 100,000,000 2010/09/28
64259 Credit Suisse AG HSBC R Bull CBBC Jan 2011 C 0.250 60 per 100 units 65 per 100 units 2011/01/24 100,000,000 2010/09/28
64256 Credit Suisse AG HSI R Bull CBBC Feb 2011 K 0.250 21,300 per 15,000 units 21,800 per 15,000 units 2011/02/25 390,000,000 2010/09/28
64263 Credit Suisse AG HSI R Bear CBBC Dec 2010 D 0.250 23,300 per 10,000 units 22,818 per 10,000 units 2010/12/30 300,000,000 2010/09/28
64266 Credit Suisse AG HSI R Bear CBBC Dec 2010 I 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2010/12/30 390,000,000 2010/09/28
64268 Credit Suisse AG TCH R Bear CBBC Jan 2011 C 0.295 186 per 100 units 178 per 100 units 2011/01/17 100,000,000 2010/09/28
64265 Deutsche Bank AG HSI R Bull CBBC Dec 2010 C 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2010/12/30 300,000,000 2010/09/28
64269 Deutsche Bank AG HSI R Bear CBBC Feb 2011 F 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2011/02/25 300,000,000 2010/09/28
64274 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 W 0.250 22,500 per 10,000 units 22,000 per 10,000 units 2011/01/28 128,000,000 2010/09/28
64275 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 C 0.250 23,900 per 15,000 units 23,400 per 15,000 units 2011/03/30 128,000,000 2010/09/28
64271 UBS AG BYD Company R Bull CBBC Feb 2011 A 0.250 43.88 per 100 units 48.88 per 100 units 2011/02/14 100,000,000 2010/09/28
64272 UBS AG HSBC R Bear CBBC Feb 2011 B 0.250 103.88 per 100 units 98.88 per 100 units 2011/02/14 100,000,000 2010/09/28
64255 UBS AG HSI R Bull CBBC Jan 2011 B 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2011/01/28 200,000,000 2010/09/28
64273 UBS AG HSI R Bear CBBC Feb 2011 D 0.250 22,500 per 15,000 units 22,000 per 15,000 units 2011/02/25 200,000,000 2010/09/28
64254 UBS AG Hutchison R Bull CBBC Jan 2011 C 0.250 55 per 100 units 60 per 100 units 2011/01/24 100,000,000 2010/09/28
64258 UBS AG Hutchison R Bear CBBC Jan 2011 D 0.250 80 per 100 units 75 per 100 units 2011/01/24 100,000,000 2010/09/28
63199 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 K 0.103 23,100 per 10,000 units 22,600 per 10,000 units 2010/12/30 100,000,000 2010/09/28
64280 Credit Suisse AG HSI R Bull CBBC Jan 2011 S 0.250 21,500 per 10,000 units 21,988 per 10,000 units 2011/01/28 300,000,000 2010/09/29
64279 Credit Suisse AG HSI R Bear CBBC Dec 2010 O 0.250 22,600 per 13,000 units 22,100 per 13,000 units 2010/12/30 390,000,000 2010/09/29
64281 Credit Suisse AG HSI R Bear CBBC Feb 2011 L 0.260 24,500 per 10,000 units 24,018 per 10,000 units 2011/02/25 300,000,000 2010/09/29
64282 Deutsche Bank AG DJIA R Bull CBBC Mar 2011 A 0.250 9,800 per 78,000 units 10,200 per 78,000 units 2011/03/21 80,000,000 2010/09/29
64286 Deutsche Bank AG DJIA R Bear CBBC Mar 2011 B 0.280 12,000 per 78,000 units 11,600 per 78,000 units 2011/03/21 80,000,000 2010/09/29
64298 Deutsche Bank AG HSI R Bull CBBC Jan 2011 M 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2011/01/28 300,000,000 2010/09/29
64277 HK Bank HSI R Bull CBBC Mar 2011 C 0.250 21,000 per 20,000 units 21,500 per 20,000 units 2011/03/30 200,000,000 2010/09/29
64295 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Dec 2010 V 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2010/12/30 128,000,000 2010/09/29
64276 Macquarie Bank Ltd. HSI R Bear CBBC Jan 2011 B 0.216 23,600 per 10,000 units 23,100 per 10,000 units 2011/01/28 200,000,000 2010/09/29
64289 UBS AG Cheung Kong R Bull CBBC Jan 2011 A 0.250 85.88 per 100 units 93.88 per 100 units 2011/01/31 100,000,000 2010/09/29
64292 UBS AG Cheung Kong R Bear CBBC Feb 2011 B 0.250 131.88 per 100 units 123.88 per 100 units 2011/02/28 100,000,000 2010/09/29
64283 UBS AG HSI R Bull CBBC Dec 2010 I 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2010/12/30 200,000,000 2010/09/29
64288 UBS AG HSI R Bear CBBC Dec 2010 S 0.250 22,600 per 10,000 units 22,100 per 10,000 units 2010/12/30 200,000,000 2010/09/29
64284 UBS AG HSI R Bear CBBC Mar 2011 P 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 200,000,000 2010/09/29
64285 UBS AG HSI R Bear CBBC Apr 2011 H 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2011/04/28 200,000,000 2010/09/29
64291 UBS AG TCH R Bull CBBC Jan 2011 E 0.250 140.88 per 100 units 148.88 per 100 units 2011/01/31 100,000,000 2010/09/29
62737 # HK Bank HSI R Bear CBBC Dec 2010 J 0.075 24,000 per 28,000 units 23,500 per 28,000 units 2010/12/30 380,000,000 2010/09/29
64299 BOCI Asia Ltd. HSI R Bull CBBC Dec 2010 A 0.250 21,000 per 15,000 units 21,500 per 15,000 units 2010/12/30 100,000,000 2010/09/30
64300 BOCI Asia Ltd. HSI R Bear CBBC Dec 2010 B 0.250 23,300 per 15,000 units 22,800 per 15,000 units 2010/12/30 100,000,000 2010/09/30
64301 BOCI Asia Ltd. HSI R Bear CBBC Dec 2010 C 0.250 24,100 per 15,000 units 23,600 per 15,000 units 2010/12/30 100,000,000 2010/09/30
64321 Credit Suisse AG HSI R Bull CBBC Feb 2011 M 0.250 21,600 per 15,000 units 22,100 per 15,000 units 2011/02/25 390,000,000 2010/09/30
64310 Credit Suisse AG HSI R Bear CBBC Dec 2010 F 0.250 22,700 per 10,000 units 22,218 per 10,000 units 2010/12/30 300,000,000 2010/09/30
64312 Credit Suisse AG HSI R Bear CBBC Feb 2011 N 0.250 24,700 per 13,000 units 24,200 per 13,000 units 2011/02/25 390,000,000 2010/09/30
64315 Credit Suisse AG HSI R Bear CBBC Feb 2011 O 0.305 25,100 per 10,000 units 24,618 per 10,000 units 2011/02/25 300,000,000 2010/09/30
64316 Credit Suisse AG HSI R Bear CBBC Feb 2011 P 0.250 25,500 per 15,000 units 25,000 per 15,000 units 2011/02/25 390,000,000 2010/09/30
64320 Credit Suisse AG HSI R Bear CBBC Mar 2011 A 0.250 24,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 390,000,000 2010/09/30
64346 Deutsche Bank AG China Mobile R Bull CBBC Feb 2011 B 0.250 67.88 per 100 units 71.88 per 100 units 2011/02/21 150,000,000 2010/09/30
64344 Deutsche Bank AG China Life R Bull CBBC Mar 2011 D 0.340 28.880 29.880 2011/03/21 150,000,000 2010/09/30
64345 Deutsche Bank AG China Life R Bear CBBC Mar 2011 E 0.520 35.680 34.680 2011/03/21 150,000,000 2010/09/30
64349 Deutsche Bank AG A50 China R Bear CBBC Feb 2011 A 0.250 13.580 13.080 2011/02/14 150,000,000 2010/09/30
64347 Deutsche Bank AG HKEx R Bull CBBC Feb 2011 A 0.250 125.88 per 100 units 131.88 per 100 units 2011/02/14 150,000,000 2010/09/30
64348 Deutsche Bank AG HKEx R Bear CBBC Feb 2011 B 0.250 157.88 per 100 units 151.88 per 100 units 2011/02/14 150,000,000 2010/09/30
64338 Deutsche Bank AG HSI R Bull CBBC Dec 2010 O 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/12/30 300,000,000 2010/09/30
64311 Deutsche Bank AG HSI R Bear CBBC Dec 2010 Q 0.250 22,600 per 12,000 units 22,100 per 12,000 units 2010/12/30 300,000,000 2010/09/30
64307 HK Bank CC Bank R Bear CBBC Mar 2011 A 0.250 7.480 7.180 2011/03/22 80,000,000 2010/09/30
64304 HK Bank Sinopec Corp R Bull CBBC Mar 2011 A 0.250 6.080 6.380 2011/03/18 150,000,000 2010/09/30
64305 HK Bank Sinopec Corp R Bull CBBC Jun 2011 A 0.250 5.880 6.180 2011/06/16 300,000,000 2010/09/30
64308 HK Bank Sinopec Corp R Bear CBBC Mar 2011 B 0.250 7.380 7.080 2011/03/18 100,000,000 2010/09/30
64306 HK Bank China Shenhua R Bull CBBC May 2011 A 0.250 25 per 100 units 26.58 per 100 units 2011/05/05 200,000,000 2010/09/30
64336 J P Morgan SP BV HSI R Bull CBBC Dec 2010 E 0.250 21,500 per 8,000 units 22,000 per 8,000 units 2010/12/30 200,000,000 2010/09/30
64337 J P Morgan SP BV HSI R Bull CBBC Dec 2010 F 0.250 21,600 per 13,000 units 22,100 per 13,000 units 2010/12/30 200,000,000 2010/09/30
64353 J P Morgan SP BV HSI R Bear CBBC Dec 2010 W 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2010/12/30 200,000,000 2010/09/30
64322 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 I 0.250 20,900 per 13,000 units 21,400 per 13,000 units 2010/12/30 250,000,000 2010/09/30
64323 RB of Scotland N.V. HSI R Bull CBBC Dec 2010 J 0.250 21,100 per 13,000 units 21,600 per 13,000 units 2010/12/30 250,000,000 2010/09/30
64324 RB of Scotland N.V. HSI R Bear CBBC Dec 2010 K 0.250 23,900 per 13,000 units 23,400 per 13,000 units 2010/12/30 250,000,000 2010/09/30
64326 RB of Scotland N.V. HSI R Bear CBBC Dec 2010 L 0.250 24,100 per 10,000 units 23,600 per 10,000 units 2010/12/30 250,000,000 2010/09/30
64327 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11J 0.250 21,500 per 15,000 units 22,000 per 15,000 units 2011/01/28 300,000,000 2010/09/30
64328 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11K 0.250 21,600 per 12,000 units 22,100 per 12,000 units 2011/01/28 300,000,000 2010/09/30
64329 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11L 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2011/02/25 300,000,000 2010/09/30
64331 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11N 0.290 24,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 300,000,000 2010/09/30
64332 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11O 0.250 24,200 per 15,000 units 23,700 per 15,000 units 2011/02/25 300,000,000 2010/09/30
64333 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11P 0.265 24,300 per 12,000 units 23,800 per 12,000 units 2011/02/25 300,000,000 2010/09/30
64334 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Q 0.330 24,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 300,000,000 2010/09/30
64335 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11R 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2011/02/25 300,000,000 2010/09/30
64351 UBS AG HSI R Bull CBBC Dec 2010 K 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2010/12/30 200,000,000 2010/09/30
64352 UBS AG HSI R Bull CBBC Apr 2011 I 0.250 21,300 per 38,000 units 21,800 per 38,000 units 2011/04/28 300,000,000 2010/09/30
64309 UBS AG HSI R Bear CBBC Dec 2010 Q 0.250 22,700 per 12,000 units 22,200 per 12,000 units 2010/12/30 200,000,000 2010/09/30
64355 UBS AG HSI R Bear CBBC Dec 2010 Z 0.250 23,200 per 15,000 units 22,700 per 15,000 units 2010/12/30 200,000,000 2010/09/30
64361 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2011 F 0.250 23,900 per 12,000 units 23,400 per 12,000 units 2011/06/29 100,000,000 2010/10/04
64363 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2011 A 0.250 24,100 per 9,000 units 23,600 per 9,000 units 2011/07/28 100,000,000 2010/10/04
64365 Credit Suisse AG A50 China R Bull CBBC Jan 2011 I 0.250 11.600 12.000 2011/01/24 100,000,000 2010/10/04
64364 Credit Suisse AG HKEx R Bull CBBC Feb 2011 A 0.250 134 per 100 units 140 per 100 units 2011/02/21 100,000,000 2010/10/04
64367 Credit Suisse AG HKEx R Bear CBBC Feb 2011 B 0.250 164 per 100 units 158 per 100 units 2011/02/21 100,000,000 2010/10/04
64368 Deutsche Bank AG HSI R Bear CBBC Jan 2011 X 0.250 22,700 per 10,000 units 22,200 per 10,000 units 2011/01/28 300,000,000 2010/10/04
64356 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Jan 2011 C 0.150 20,400 per 15,000 units 20,900 per 15,000 units 2011/01/28 150,000,000 2010/10/04
64357 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Feb 2011 A 0.150 20,900 per 12,000 units 21,400 per 12,000 units 2011/02/25 150,000,000 2010/10/04
64369 UBS AG HKEx R Bull CBBC Feb 2011 E 0.250 132.88 per 100 units 138.88 per 100 units 2011/02/21 100,000,000 2010/10/04
64370 UBS AG HKEx R Bear CBBC Mar 2011 A 0.295 174.88 per 100 units 168.88 per 100 units 2011/03/14 100,000,000 2010/10/04
64372 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jun 2011 G 0.250 21,000 per 9,000 units 21,500 per 9,000 units 2011/06/29 100,000,000 2010/10/05
64371 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2011 B 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2011/07/28 100,000,000 2010/10/05
64375 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2011 C 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2011/07/28 100,000,000 2010/10/05
64373 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2011 A 0.250 24,300 per 10,000 units 23,800 per 10,000 units 2011/08/30 100,000,000 2010/10/05
64374 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2011 B 0.290 24,700 per 9,000 units 24,200 per 9,000 units 2011/08/30 100,000,000 2010/10/05
64400 Credit Suisse AG HKEx R Bull CBBC Jan 2011 D 0.250 146.88 per 100 units 152.88 per 100 units 2011/01/31 100,000,000 2010/10/05
64451 Credit Suisse AG HKEx R Bear CBBC Jan 2011 E 0.250 169 per 100 units 163 per 100 units 2011/01/31 100,000,000 2010/10/05
64452 Credit Suisse AG HKEx R Bear CBBC Jan 2011 F 0.300 179 per 100 units 173 per 100 units 2011/01/31 100,000,000 2010/10/05
64380 Credit Suisse AG HSI R Bull CBBC Feb 2011 R 0.250 21,900 per 10,000 units 22,388 per 10,000 units 2011/02/25 300,000,000 2010/10/05
64378 Credit Suisse AG HSI R Bear CBBC Feb 2011 Q 0.250 22,800 per 15,000 units 22,300 per 15,000 units 2011/02/25 390,000,000 2010/10/05
64453 Credit Suisse AG TCH R Bull CBBC Jan 2011 D 0.300 142 per 100 units 150 per 100 units 2011/01/31 100,000,000 2010/10/05
64454 Credit Suisse AG TCH R Bull CBBC Jan 2011 E 0.250 152 per 100 units 160 per 100 units 2011/01/31 100,000,000 2010/10/05
64458 Credit Suisse AG TCH R Bear CBBC Jan 2011 F 0.300 194 per 100 units 186 per 100 units 2011/01/31 100,000,000 2010/10/05
64455 Deutsche Bank AG HSI R Bull CBBC Jan 2011 B 0.250 21,800 per 10,000 units 22,300 per 10,000 units 2011/01/28 300,000,000 2010/10/05
64376 Deutsche Bank AG HSI R Bear CBBC Jan 2011 S 0.250 22,800 per 12,000 units 22,300 per 12,000 units 2011/01/28 300,000,000 2010/10/05
64377 Deutsche Bank AG HSI R Bear CBBC Feb 2011 E 0.280 22,750 per 8,000 units 22,250 per 8,000 units 2011/02/25 300,000,000 2010/10/05
64385 Deutsche Bank AG HSI R Bear CBBC Apr 2011 A 0.250 25,050 per 15,000 units 24,550 per 15,000 units 2011/04/28 300,000,000 2010/10/05
64386 Deutsche Bank AG HSI R Bear CBBC Apr 2011 B 0.280 25,550 per 15,000 units 25,050 per 15,000 units 2011/04/28 300,000,000 2010/10/05
64456 Deutsche Bank AG TCH R Bull CBBC Feb 2011 A 0.260 146.88 per 100 units 154.88 per 100 units 2011/02/14 100,000,000 2010/10/05
64457 J P Morgan SP BV HSI R Bull CBBC Jan 2011 C 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2011/01/28 200,000,000 2010/10/05
64459 J P Morgan SP BV HSI R Bull CBBC Jan 2011 D 0.250 21,800 per 10,000 units 22,300 per 10,000 units 2011/01/28 200,000,000 2010/10/05
64460 J P Morgan SP BV HSI R Bear CBBC Jan 2011 E 0.250 23,200 per 15,000 units 22,700 per 15,000 units 2011/01/28 200,000,000 2010/10/05
64461 J P Morgan SP BV HSI R Bear CBBC Jan 2011 F 0.250 23,400 per 18,000 units 22,900 per 18,000 units 2011/01/28 200,000,000 2010/10/05
64392 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 X 0.250 21,900 per 10,000 units 22,400 per 10,000 units 2011/01/28 128,000,000 2010/10/05
64393 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 L 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2011/02/25 128,000,000 2010/10/05
64387 Macquarie Bank Ltd. HSI R Bull CBBC Feb 2011 A 0.176 21,100 per 10,000 units 21,600 per 10,000 units 2011/02/25 200,000,000 2010/10/05
64389 Macquarie Bank Ltd. HSI R Bear CBBC Feb 2011 B 0.233 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 200,000,000 2010/10/05
64465 RB of Scotland N.V. China Mobile R Bull CBBC Feb 2011 A 0.251 72.28 per 100 units 76.28 per 100 units 2011/02/18 80,000,000 2010/10/05
64464 RB of Scotland N.V. HKEx R Bull CBBC Feb 2011 A 0.250 139.80 per 100 units 145.80 per 100 units 2011/02/11 80,000,000 2010/10/05
64468 RB of Scotland N.V. HKEx R Bear CBBC Feb 2011 B 0.252 166.80 per 100 units 160.80 per 100 units 2011/02/11 80,000,000 2010/10/05
64466 RB of Scotland N.V. HSI R Bull CBBC Jan 2011 B 0.251 21,300 per 13,000 units 21,800 per 13,000 units 2011/01/28 250,000,000 2010/10/05
64469 RB of Scotland N.V. HSI R Bear CBBC Jan 2011 C 0.251 24,300 per 13,000 units 23,800 per 13,000 units 2011/01/28 250,000,000 2010/10/05
64470 RB of Scotland N.V. HSI R Bear CBBC Jan 2011 D 0.251 24,500 per 13,000 units 24,000 per 13,000 units 2011/01/28 250,000,000 2010/10/05
64463 RB of Scotland N.V. Hutchison R Bull CBBC Feb 2011 A 0.250 59.88 per 100 units 63.88 per 100 units 2011/02/22 80,000,000 2010/10/05
64467 RB of Scotland N.V. Hutchison R Bear CBBC Feb 2011 B 0.250 76.88 per 100 units 72.88 per 100 units 2011/02/22 80,000,000 2010/10/05
64381 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11L 0.250 21,700 per 15,000 units 22,200 per 15,000 units 2011/01/28 300,000,000 2010/10/05
64382 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11M 0.250 21,800 per 12,000 units 22,300 per 12,000 units 2011/01/28 300,000,000 2010/10/05
64384 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11N 0.250 21,900 per 10,000 units 22,400 per 10,000 units 2011/01/28 300,000,000 2010/10/05
64396 UBS AG China Mobile R Bull CBBC Feb 2011 A 0.250 72.88 per 100 units 76.88 per 100 units 2011/02/07 100,000,000 2010/10/05
64397 UBS AG HKEx R Bull CBBC Feb 2011 F 0.250 137.88 per 100 units 143.88 per 100 units 2011/02/14 100,000,000 2010/10/05
64394 UBS AG HSI R Bull CBBC Jan 2011 I 0.250 21,900 per 12,000 units 22,400 per 12,000 units 2011/01/28 200,000,000 2010/10/05
64398 UBS AG HSI R Bear CBBC Jan 2011 R 0.250 22,900 per 12,000 units 22,400 per 12,000 units 2011/01/28 200,000,000 2010/10/05
64395 UBS AG TCH R Bull CBBC Feb 2011 A 0.250 145.88 per 100 units 153.88 per 100 units 2011/02/07 100,000,000 2010/10/05
64399 UBS AG TCH R Bear CBBC Feb 2011 B 0.250 186.88 per 100 units 178.88 per 100 units 2011/02/14 100,000,000 2010/10/05
64473 Credit Suisse AG HSBC R Bull CBBC Jan 2011 D 0.250 75 per 100 units 80 per 100 units 2011/01/24 100,000,000 2010/10/06
64472 Credit Suisse AG HSI R Bull CBBC Feb 2011 S 0.250 21,700 per 13,000 units 22,200 per 13,000 units 2011/02/25 390,000,000 2010/10/06
64476 Credit Suisse AG HSI R Bear CBBC Feb 2011 T 0.250 22,600 per 10,000 units 22,118 per 10,000 units 2011/02/25 300,000,000 2010/10/06
64474 Deutsche Bank AG HSI R Bull CBBC Feb 2011 G 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2011/02/25 300,000,000 2010/10/06
64475 Deutsche Bank AG HSI R Bear CBBC Jan 2011 R 0.250 22,900 per 10,000 units 22,400 per 10,000 units 2011/01/28 300,000,000 2010/10/06
64478 RB of Scotland N.V. HSCEI R Bull CBBC Jan 2011 C 0.250 11,100 per 10,000 units 11,600 per 10,000 units 2011/01/28 250,000,000 2010/10/06
64471 UBS AG HSI R Bull CBBC Jan 2011 D 0.250 21,800 per 15,000 units 22,300 per 15,000 units 2011/01/28 200,000,000 2010/10/06
64477 UBS AG Jiangxi Copper R Bull CBBC Feb 2011 A 0.320 15.680 16.880 2011/02/07 50,000,000 2010/10/06
64481 UBS AG Jiangxi Copper R Bear CBBC Feb 2011 B 0.325 22.080 20.880 2011/02/14 50,000,000 2010/10/06
63202 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Dec 2010 L 0.118 23,300 per 8,000 units 22,800 per 8,000 units 2010/12/30 100,000,000 2010/10/06
64484 Credit Suisse AG HSI R Bull CBBC Feb 2011 U 0.250 21,800 per 15,000 units 22,300 per 15,000 units 2011/02/25 390,000,000 2010/10/07
64480 UBS AG HSCEI R Bull CBBC Feb 2011 D 0.250 11,300 per 12,000 units 11,800 per 12,000 units 2011/02/25 100,000,000 2010/10/07
64482 UBS AG HSI R Bull CBBC Feb 2011 F 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2011/02/25 200,000,000 2010/10/07
64479 UBS AG Hutchison R Bull CBBC Feb 2011 A 0.250 60 per 100 units 65 per 100 units 2011/02/07 100,000,000 2010/10/07
64483 UBS AG Hutchison R Bear CBBC Feb 2011 B 0.250 85 per 100 units 80 per 100 units 2011/02/14 100,000,000 2010/10/07
64055 # Deutsche Bank AG HSI R Bear CBBC Jan 2011 H 0.108 23,800 per 12,000 units 23,300 per 12,000 units 2011/01/28 300,000,000 2010/10/07
63338 # Deutsche Bank AG HSI R Bear CBBC Mar 2011 C 0.083 25,300 per 40,000 units 24,700 per 40,000 units 2011/03/30 300,000,000 2010/10/07
63465 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 D 0.126 23,800 per 10,000 units 23,300 per 10,000 units 2011/01/28 80,000,000 2010/10/07
64485 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2011 C 0.250 21,100 per 10,000 units 21,300 per 10,000 units 2011/08/30 200,000,000 2010/10/08
64486 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jun 2011 H 0.250 23,300 per 10,000 units 23,100 per 10,000 units 2011/06/29 200,000,000 2010/10/08
64487 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2011 D 0.250 23,700 per 10,000 units 23,500 per 10,000 units 2011/07/28 200,000,000 2010/10/08
64489 Deutsche Bank AG A50 China R Bull CBBC Feb 2011 B 0.250 11.180 11.680 2011/02/21 100,000,000 2010/10/08
64490 Deutsche Bank AG HSI R Bear CBBC Mar 2011 M 0.300 24,000 per 8,000 units 23,500 per 8,000 units 2011/03/30 300,000,000 2010/10/08
64491 Deutsche Bank AG HSI R Bear CBBC Mar 2011 N 0.360 24,450 per 8,000 units 23,950 per 8,000 units 2011/03/30 300,000,000 2010/10/08
64496 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 D 0.250 24,600 per 15,000 units 24,100 per 15,000 units 2011/03/30 158,000,000 2010/10/08
64492 UBS AG Sinopec Corp R Bear CBBC Feb 2011 A 0.250 7.780 7.380 2011/02/21 100,000,000 2010/10/08
64493 UBS AG China Shenhua R Bear CBBC Feb 2011 A 0.250 35.88 per 100 units 33.88 per 100 units 2011/02/21 100,000,000 2010/10/08
64494 UBS AG Ping An R Bear CBBC Feb 2011 A 0.250 91 per 100 units 85 per 100 units 2011/02/21 100,000,000 2010/10/08
64495 UBS AG SHK Ppt R Bear CBBC Feb 2011 B 0.250 151.88 per 100 units 143.88 per 100 units 2011/02/14 100,000,000 2010/10/08
64508 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2011 E 0.250 22,100 per 10,000 units 22,300 per 10,000 units 2011/07/28 100,000,000 2010/10/11
64506 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2011 D 0.250 21,800 per 10,000 units 22,000 per 10,000 units 2011/08/30 100,000,000 2010/10/11
64507 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2011 E 0.250 22,000 per 10,000 units 22,200 per 10,000 units 2011/08/30 100,000,000 2010/10/11
64512 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2011 F 0.250 23,500 per 10,000 units 23,300 per 10,000 units 2011/08/30 100,000,000 2010/10/11
64510 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Sep 2011 D 0.250 24,600 per 10,000 units 24,400 per 10,000 units 2011/09/29 100,000,000 2010/10/11
64511 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 C 0.250 24,800 per 10,000 units 24,600 per 10,000 units 2011/10/28 100,000,000 2010/10/11
64549 Credit Suisse AG HSI R Bull CBBC Feb 2011 V 0.250 22,100 per 10,000 units 22,588 per 10,000 units 2011/02/25 300,000,000 2010/10/11
64550 Credit Suisse AG HSI R Bull CBBC Feb 2011 W 0.250 22,000 per 13,000 units 22,500 per 13,000 units 2011/02/25 390,000,000 2010/10/11
64527 Deutsche Bank AG HSI R Bull CBBC Mar 2011 O 0.300 21,900 per 8,000 units 22,400 per 8,000 units 2011/03/30 300,000,000 2010/10/11
64528 Deutsche Bank AG HSI R Bull CBBC Mar 2011 P 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2011/03/30 300,000,000 2010/10/11
64499 Deutsche Bank AG HSI R Bear CBBC Feb 2011 L 0.250 23,000 per 12,000 units 22,500 per 12,000 units 2011/02/25 300,000,000 2010/10/11
64505 Deutsche Bank AG HSI R Bear CBBC Feb 2011 M 0.270 23,100 per 10,000 units 22,600 per 10,000 units 2011/02/25 300,000,000 2010/10/11
64529 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Q 0.280 24,800 per 10,000 units 24,300 per 10,000 units 2011/03/30 300,000,000 2010/10/11
64530 Deutsche Bank AG HSI R Bear CBBC Apr 2011 C 0.250 24,900 per 12,000 units 24,400 per 12,000 units 2011/04/28 300,000,000 2010/10/11
64531 Deutsche Bank AG HSI R Bear CBBC Apr 2011 D 0.300 25,000 per 10,000 units 24,500 per 10,000 units 2011/04/28 300,000,000 2010/10/11
64532 Deutsche Bank AG HSI R Bear CBBC Apr 2011 E 0.330 25,300 per 10,000 units 24,800 per 10,000 units 2011/04/28 300,000,000 2010/10/11
64533 Deutsche Bank AG HSI R Bear CBBC May 2011 A 0.330 25,900 per 12,000 units 25,400 per 12,000 units 2011/05/30 300,000,000 2010/10/11
64534 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 A 0.250 20,900 per 12,000 units 21,400 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64535 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 B 0.250 21,100 per 12,000 units 21,600 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64536 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 C 0.250 21,300 per 12,000 units 21,800 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64538 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 D 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64539 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 E 0.250 21,700 per 10,000 units 22,200 per 10,000 units 2011/04/28 200,000,000 2010/10/11
64540 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 F 0.250 21,900 per 10,000 units 22,400 per 10,000 units 2011/04/28 200,000,000 2010/10/11
64541 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 G 0.250 22,100 per 12,000 units 22,600 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64542 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 H 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64543 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 I 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64544 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 J 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2011/04/28 200,000,000 2010/10/11
64545 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 K 0.250 24,400 per 13,000 units 23,900 per 13,000 units 2011/04/28 200,000,000 2010/10/11
64546 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 L 0.250 24,700 per 14,000 units 24,200 per 14,000 units 2011/04/28 200,000,000 2010/10/11
64547 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 M 0.250 25,000 per 14,000 units 24,500 per 14,000 units 2011/04/28 200,000,000 2010/10/11
64548 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 N 0.250 25,300 per 14,000 units 24,800 per 14,000 units 2011/04/28 200,000,000 2010/10/11
64551 J P Morgan SP BV HSI R Bull CBBC Jan 2011 H 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2011/01/28 200,000,000 2010/10/11
64552 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 Y 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2011/01/28 128,000,000 2010/10/11
64554 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 Z 0.250 22,000 per 12,000 units 22,500 per 12,000 units 2011/01/28 128,000,000 2010/10/11
64559 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 O 0.250 21,800 per 8,000 units 22,300 per 8,000 units 2011/02/25 128,000,000 2010/10/11
64498 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 M 0.250 23,100 per 10,000 units 22,600 per 10,000 units 2011/02/25 128,000,000 2010/10/11
64513 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11O 0.250 22,000 per 10,000 units 22,500 per 10,000 units 2011/01/28 300,000,000 2010/10/11
64514 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11P 0.250 22,100 per 15,000 units 22,600 per 15,000 units 2011/01/28 300,000,000 2010/10/11
64515 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11S 0.250 24,600 per 12,000 units 24,100 per 12,000 units 2011/02/25 300,000,000 2010/10/11
64516 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11T 0.300 24,700 per 10,000 units 24,200 per 10,000 units 2011/02/25 300,000,000 2010/10/11
64517 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11U 0.250 24,800 per 15,000 units 24,300 per 15,000 units 2011/02/25 300,000,000 2010/10/11
64518 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11V 0.270 24,900 per 12,000 units 24,400 per 12,000 units 2011/02/25 300,000,000 2010/10/11
64519 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11W 0.335 25,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 300,000,000 2010/10/11
64523 UBS AG A50 China R Bull CBBC Feb 2011 C 0.250 11.600 12.000 2011/02/07 100,000,000 2010/10/11
64522 UBS AG HKEx R Bear CBBC Feb 2011 G 0.250 179.88 per 100 units 173.88 per 100 units 2011/02/14 100,000,000 2010/10/11
64521 UBS AG HSI R Bull CBBC Jan 2011 J 0.250 22,000 per 15,000 units 22,500 per 15,000 units 2011/01/28 200,000,000 2010/10/11
64520 UBS AG HSI R Bull CBBC Feb 2011 I 0.250 22,100 per 12,000 units 22,600 per 12,000 units 2011/02/25 200,000,000 2010/10/11
64497 UBS AG HSI R Bear CBBC Jan 2011 N 0.250 23,000 per 10,000 units 22,500 per 10,000 units 2011/01/28 200,000,000 2010/10/11
64524 UBS AG HSI R Bear CBBC Feb 2011 J 0.250 24,600 per 15,000 units 24,100 per 15,000 units 2011/02/25 200,000,000 2010/10/11
64525 UBS AG HSI R Bear CBBC Feb 2011 L 0.250 24,800 per 10,000 units 24,300 per 10,000 units 2011/02/25 200,000,000 2010/10/11
64526 UBS AG HSI R Bear CBBC Mar 2011 Q 0.250 24,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 200,000,000 2010/10/11
64575 Deutsche Bank AG China Life R Bull CBBC Mar 2011 F 0.360 29.880 30.880 2011/03/28 150,000,000 2010/10/12
64576 Deutsche Bank AG China Life R Bear CBBC Mar 2011 G 0.500 36.880 35.680 2011/03/28 150,000,000 2010/10/12
64577 Deutsche Bank AG HSI R Bull CBBC Jan 2011 T 0.250 22,000 per 12,000 units 22,500 per 12,000 units 2011/01/28 300,000,000 2010/10/12
64578 Deutsche Bank AG HSI R Bear CBBC Jan 2011 I 0.290 23,200 per 8,000 units 22,700 per 8,000 units 2011/01/28 300,000,000 2010/10/12
64579 Deutsche Bank AG HSI R Bear CBBC Jun 2011 A 0.250 26,200 per 40,000 units 25,700 per 40,000 units 2011/06/29 300,000,000 2010/10/12
64560 HK Bank HSI R Bull CBBC Apr 2011 A 0.250 21,700 per 12,000 units 22,200 per 12,000 units 2011/04/28 150,000,000 2010/10/12
64561 HK Bank HSI R Bull CBBC Apr 2011 B 0.250 22,000 per 10,000 units 22,500 per 10,000 units 2011/04/28 150,000,000 2010/10/12
64562 HK Bank HSI R Bear CBBC Mar 2011 E 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 150,000,000 2010/10/12
64563 HK Bank HSI R Bear CBBC Mar 2011 F 0.250 24,188 per 12,000 units 23,688 per 12,000 units 2011/03/30 150,000,000 2010/10/12
64565 HK Bank HSI R Bear CBBC Apr 2011 C 0.250 24,700 per 12,000 units 24,200 per 12,000 units 2011/04/28 150,000,000 2010/10/12
64564 Macquarie Bank Ltd. HSI R Bear CBBC Mar 2011 A 0.180 24,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 200,000,000 2010/10/12
64566 UBS AG China Life R Bull CBBC Feb 2011 E 0.285 29.880 30.880 2011/02/07 100,000,000 2010/10/12
64570 UBS AG China Life R Bear CBBC Feb 2011 F 0.520 37.880 36.880 2011/02/14 100,000,000 2010/10/12
64568 UBS AG CNOOC R Bear CBBC Feb 2011 A 0.250 17.680 16.880 2011/02/07 100,000,000 2010/10/12
64569 UBS AG HKEx R Bear CBBC Feb 2011 H 0.270 184.88 per 100 units 178.88 per 100 units 2011/02/21 100,000,000 2010/10/12
64567 UBS AG HSCEI R Bull CBBC Jan 2011 E 0.250 11,500 per 20,000 units 12,000 per 20,000 units 2011/01/28 100,000,000 2010/10/12
64571 UBS AG HSI R Bear CBBC Jan 2011 W 0.250 23,100 per 15,000 units 22,600 per 15,000 units 2011/01/28 200,000,000 2010/10/12
64572 UBS AG HSI R Bear CBBC Feb 2011 K 0.260 25,100 per 10,000 units 24,600 per 10,000 units 2011/02/25 200,000,000 2010/10/12
64573 UBS AG HSI R Bear CBBC Feb 2011 O 0.250 25,300 per 12,000 units 24,800 per 12,000 units 2011/02/25 200,000,000 2010/10/12
64574 UBS AG HSI R Bear CBBC Mar 2011 R 0.250 25,500 per 15,000 units 25,000 per 15,000 units 2011/03/30 200,000,000 2010/10/12
64646 Credit Suisse AG HKEx R Bear CBBC Feb 2011 C 0.270 189 per 100 units 183 per 100 units 2011/02/21 100,000,000 2010/10/13
64648 Credit Suisse AG HSI R Bull CBBC Jan 2011 H 0.250 22,300 per 13,000 units 22,800 per 13,000 units 2011/01/28 390,000,000 2010/10/13
64639 Credit Suisse AG HSI R Bear CBBC Jan 2011 M 0.320 26,018 per 10,000 units 25,518 per 10,000 units 2011/01/28 300,000,000 2010/10/13
64640 Credit Suisse AG HSI R Bear CBBC Jan 2011 O 0.250 26,500 per 15,000 units 26,000 per 15,000 units 2011/01/28 390,000,000 2010/10/13
64624 Credit Suisse AG HSI R Bear CBBC Jan 2011 T 0.250 23,200 per 13,000 units 22,700 per 13,000 units 2011/01/28 390,000,000 2010/10/13
64638 Credit Suisse AG HSI R Bear CBBC Jan 2011 X 0.250 25,300 per 13,000 units 24,800 per 13,000 units 2011/01/28 390,000,000 2010/10/13
64643 Credit Suisse AG HSI R Bear CBBC Feb 2011 B 0.250 25,800 per 15,000 units 25,300 per 15,000 units 2011/02/25 390,000,000 2010/10/13
64644 Credit Suisse AG HSI R Bear CBBC Feb 2011 G 0.350 26,300 per 10,000 units 25,818 per 10,000 units 2011/02/25 300,000,000 2010/10/13
64625 Credit Suisse AG HSI R Bear CBBC Feb 2011 X 0.250 23,500 per 15,000 units 23,000 per 15,000 units 2011/02/25 390,000,000 2010/10/13
64641 Credit Suisse AG HSI R Bear CBBC Feb 2011 Y 0.250 24,200 per 10,000 units 23,718 per 10,000 units 2011/02/25 300,000,000 2010/10/13
64642 Credit Suisse AG HSI R Bear CBBC Feb 2011 Z 0.250 25,000 per 15,000 units 24,500 per 15,000 units 2011/02/25 390,000,000 2010/10/13
64647 Credit Suisse AG TCH R Bear CBBC Feb 2011 A 0.385 208 per 100 units 200 per 100 units 2011/02/21 100,000,000 2010/10/13
64663 Deutsche Bank AG HSI R Bull CBBC Feb 2011 O 0.250 22,300 per 8,000 units 22,800 per 8,000 units 2011/02/25 300,000,000 2010/10/13
64653 Deutsche Bank AG HSI R Bear CBBC Jan 2011 V 0.250 23,400 per 10,000 units 22,900 per 10,000 units 2011/01/28 300,000,000 2010/10/13
64664 Deutsche Bank AG HSI R Bear CBBC Apr 2011 F 0.270 24,650 per 20,000 units 24,150 per 20,000 units 2011/04/28 300,000,000 2010/10/13
64665 Deutsche Bank AG HSI R Bear CBBC May 2011 B 0.300 25,150 per 20,000 units 24,650 per 20,000 units 2011/05/30 300,000,000 2010/10/13
64593 HK Bank China Life R Bull CBBC May 2011 A 0.250 30.880 31.880 2011/05/20 100,000,000 2010/10/13
64594 HK Bank China Life R Bear CBBC Apr 2011 A 0.250 41.78 per 100 units 40.28 per 100 units 2011/04/27 150,000,000 2010/10/13
64595 HK Bank Sinopec Corp R Bull CBBC May 2011 A 0.250 6.380 6.680 2011/05/27 200,000,000 2010/10/13
64596 HK Bank Sinopec Corp R Bear CBBC Apr 2011 A 0.250 8.180 7.880 2011/04/12 100,000,000 2010/10/13
64597 HK Bank China Shenhua R Bull CBBC May 2011 B 0.250 28.38 per 100 units 29.88 per 100 units 2011/05/26 150,000,000 2010/10/13
64598 HK Bank China Shenhua R Bear CBBC Apr 2011 A 0.250 40.88 per 100 units 38.88 per 100 units 2011/04/19 150,000,000 2010/10/13
64602 HK Bank A50 R Bull CBBC Apr 2011 A 0.250 11.600 11.980 2011/04/12 150,000,000 2010/10/13
64603 HK Bank A50 R Bull CBBC Apr 2011 B 0.250 11.900 12.280 2011/04/12 150,000,000 2010/10/13
64604 HK Bank A50 R Bear CBBC Mar 2011 B 0.250 14.000 13.520 2011/03/25 150,000,000 2010/10/13
64605 HK Bank A50 R Bear CBBC Mar 2011 C 0.250 14.380 13.880 2011/03/25 150,000,000 2010/10/13
64599 HK Bank TCH R Bull CBBC May 2011 A 0.290 139.88 per 100 units 144.88 per 100 units 2011/05/23 150,000,000 2010/10/13
64600 HK Bank TCH R Bear CBBC Apr 2011 A 0.320 199.88 per 100 units 192.88 per 100 units 2011/04/20 100,000,000 2010/10/13
64611 J P Morgan SP BV HSI R Bull CBBC Jan 2011 I 0.250 22,000 per 8,000 units 22,500 per 8,000 units 2011/01/28 200,000,000 2010/10/13
64612 J P Morgan SP BV HSI R Bull CBBC Jan 2011 J 0.250 22,300 per 12,000 units 22,800 per 12,000 units 2011/01/28 200,000,000 2010/10/13
64613 J P Morgan SP BV HSI R Bear CBBC Jan 2011 K 0.250 24,200 per 12,000 units 23,700 per 12,000 units 2011/01/28 200,000,000 2010/10/13
64617 J P Morgan SP BV HSI R Bear CBBC Jan 2011 L 0.250 24,500 per 8,000 units 24,000 per 8,000 units 2011/01/28 200,000,000 2010/10/13
64618 J P Morgan SP BV HSI R Bear CBBC Jan 2011 M 0.250 24,700 per 15,000 units 24,200 per 15,000 units 2011/01/28 200,000,000 2010/10/13
64619 J P Morgan SP BV HSI R Bear CBBC Jan 2011 N 0.250 24,800 per 12,000 units 24,300 per 12,000 units 2011/01/28 200,000,000 2010/10/13
64620 J P Morgan SP BV HSI R Bear CBBC Jan 2011 O 0.265 25,000 per 8,000 units 24,500 per 8,000 units 2011/01/28 200,000,000 2010/10/13
64621 J P Morgan SP BV HSI R Bear CBBC Jan 2011 P 0.250 25,100 per 15,000 units 24,600 per 15,000 units 2011/01/28 200,000,000 2010/10/13
64622 J P Morgan SP BV HSI R Bear CBBC Jan 2011 Q 0.250 25,300 per 12,000 units 24,800 per 12,000 units 2011/01/28 200,000,000 2010/10/13
64623 J P Morgan SP BV HSI R Bear CBBC Jan 2011 R 0.250 25,500 per 28,000 units 25,000 per 28,000 units 2011/01/28 200,000,000 2010/10/13
64666 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 P 0.250 22,200 per 15,000 units 22,700 per 15,000 units 2011/02/25 158,000,000 2010/10/13
64669 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 Q 0.250 22,300 per 10,000 units 22,800 per 10,000 units 2011/02/25 128,000,000 2010/10/13
64675 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 R 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2011/02/25 128,000,000 2010/10/13
64676 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 S 0.250 24,200 per 12,000 units 23,700 per 12,000 units 2011/02/25 128,000,000 2010/10/13
64677 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 T 0.250 24,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 128,000,000 2010/10/13
64678 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 U 0.250 24,500 per 12,000 units 24,000 per 12,000 units 2011/02/25 128,000,000 2010/10/13
64679 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 V 0.250 24,900 per 10,000 units 24,400 per 10,000 units 2011/02/25 128,000,000 2010/10/13
64670 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 E 0.250 24,800 per 8,000 units 24,300 per 8,000 units 2011/03/30 128,000,000 2010/10/13
64671 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 F 0.250 25,000 per 15,000 units 24,500 per 15,000 units 2011/03/30 158,000,000 2010/10/13
64673 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 H 0.250 25,700 per 12,000 units 25,200 per 12,000 units 2011/03/30 128,000,000 2010/10/13
64674 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 I 0.250 26,000 per 15,000 units 25,500 per 15,000 units 2011/03/30 128,000,000 2010/10/13
64680 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 A 0.300 25,200 per 8,000 units 24,700 per 8,000 units 2011/04/28 128,000,000 2010/10/13
64681 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 B 0.250 25,500 per 20,000 units 25,000 per 20,000 units 2011/04/28 158,000,000 2010/10/13
64682 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 C 0.390 25,900 per 8,000 units 25,400 per 8,000 units 2011/04/28 128,000,000 2010/10/13
64633 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Jan 2011 D 0.150 21,000 per 15,000 units 21,500 per 15,000 units 2011/01/28 150,000,000 2010/10/13
64634 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Jan 2011 E 0.150 21,500 per 15,000 units 22,000 per 15,000 units 2011/01/28 150,000,000 2010/10/13
64635 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Apr 2011 A 0.250 24,700 per 15,000 units 24,200 per 15,000 units 2011/04/28 150,000,000 2010/10/13
64636 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Apr 2011 B 0.150 25,000 per 15,000 units 24,500 per 15,000 units 2011/04/28 150,000,000 2010/10/13
64609 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 A 0.250 21,550 per 11,000 units 22,000 per 11,000 units 2011/04/28 200,000,000 2010/10/13
64610 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 B 0.250 21,950 per 11,000 units 22,400 per 11,000 units 2011/04/28 200,000,000 2010/10/13
64614 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 C 0.250 23,650 per 11,000 units 23,200 per 11,000 units 2011/04/28 200,000,000 2010/10/13
64615 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 D 0.250 24,050 per 11,000 units 23,600 per 11,000 units 2011/04/28 200,000,000 2010/10/13
64616 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 E 0.250 24,450 per 11,000 units 24,000 per 11,000 units 2011/04/28 200,000,000 2010/10/13
64582 SGA Societe Generale Acceptance N.V. CCB R Bull CBBC Feb11A 0.250 5.900 6.300 2011/02/23 200,000,000 2010/10/13
64589 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Feb11A 0.250 10.600 11.000 2011/02/23 150,000,000 2010/10/13
64590 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Feb11B 0.250 11.600 12.000 2011/02/23 150,000,000 2010/10/13
64591 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Feb11C 0.250 14.400 14.000 2011/02/23 150,000,000 2010/10/13
64588 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC Feb11A 0.250 71 per 100 units 75 per 100 units 2011/02/23 300,000,000 2010/10/13
64583 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Feb11A 0.250 11,000 per 12,000 units 11,500 per 12,000 units 2011/02/25 200,000,000 2010/10/13
64584 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Feb11B 0.250 11,500 per 12,000 units 12,000 per 12,000 units 2011/02/25 200,000,000 2010/10/13
64585 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Feb11C 0.250 13,500 per 12,000 units 13,000 per 12,000 units 2011/02/25 200,000,000 2010/10/13
64586 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Feb11D 0.250 14,000 per 12,000 units 13,500 per 12,000 units 2011/02/25 200,000,000 2010/10/13
64626 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11R 0.250 22,200 per 12,000 units 22,700 per 12,000 units 2011/01/28 300,000,000 2010/10/13
64627 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11S 0.250 22,300 per 10,000 units 22,800 per 10,000 units 2011/01/28 300,000,000 2010/10/13
64587 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11Q 0.250 23,200 per 10,000 units 22,700 per 10,000 units 2011/01/28 300,000,000 2010/10/13
64628 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11T 0.250 23,400 per 12,000 units 22,900 per 12,000 units 2011/01/28 300,000,000 2010/10/13
64629 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11U 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2011/01/28 300,000,000 2010/10/13
64630 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11X 0.250 25,100 per 15,000 units 24,600 per 15,000 units 2011/02/25 300,000,000 2010/10/13
64631 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Y 0.280 25,200 per 12,000 units 24,700 per 12,000 units 2011/02/25 300,000,000 2010/10/13
64632 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Z 0.345 25,300 per 10,000 units 24,800 per 10,000 units 2011/02/25 300,000,000 2010/10/13
64592 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Feb 11A 0.270 142 per 100 units 150 per 100 units 2011/02/23 100,000,000 2010/10/13
64654 UBS AG CC Bank R Bull CBBC Feb 2011 A 0.250 6.080 6.480 2011/02/07 100,000,000 2010/10/13
64660 UBS AG CC Bank R Bear CBBC Feb 2011 B 0.250 8.080 7.680 2011/02/28 100,000,000 2010/10/13
64655 UBS AG HKEx R Bull CBBC Feb 2011 I 0.250 142.88 per 100 units 148.88 per 100 units 2011/02/07 100,000,000 2010/10/13
64658 UBS AG HKEx R Bull CBBC Feb 2011 J 0.250 147.88 per 100 units 153.88 per 100 units 2011/02/14 100,000,000 2010/10/13
64661 UBS AG HKEx R Bear CBBC Feb 2011 K 0.275 189.88 per 100 units 183.88 per 100 units 2011/02/28 100,000,000 2010/10/13
64683 UBS AG HSI R Bull CBBC Feb 2011 W 0.250 22,300 per 15,000 units 22,800 per 15,000 units 2011/02/25 200,000,000 2010/10/13
64684 UBS AG HSI R Bull CBBC Mar 2011 S 0.250 21,800 per 38,000 units 22,300 per 38,000 units 2011/03/30 300,000,000 2010/10/13
64606 UBS AG HSI R Bear CBBC Jan 2011 H 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2011/01/28 200,000,000 2010/10/13
64688 UBS AG HSI R Bear CBBC Feb 2011 M 0.255 25,400 per 10,000 units 24,900 per 10,000 units 2011/02/25 200,000,000 2010/10/13
64687 UBS AG HSI R Bear CBBC Feb 2011 N 0.250 24,400 per 12,000 units 23,900 per 12,000 units 2011/02/25 200,000,000 2010/10/13
64689 UBS AG HSI R Bear CBBC Mar 2011 T 0.250 25,200 per 15,000 units 24,700 per 15,000 units 2011/03/30 200,000,000 2010/10/13
64691 UBS AG HSI R Bear CBBC Mar 2011 U 0.315 26,000 per 10,000 units 25,500 per 10,000 units 2011/03/30 200,000,000 2010/10/13
64659 UBS AG TCH R Bull CBBC Feb 2011 C 0.250 150.88 per 100 units 158.88 per 100 units 2011/02/14 100,000,000 2010/10/13
64662 UBS AG TCH R Bear CBBC Feb 2011 D 0.250 191.88 per 100 units 183.88 per 100 units 2011/02/21 100,000,000 2010/10/13
63468 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 C 0.107 24,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 100,000,000 2010/10/13
64698 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2011 G 0.250 22,200 per 10,000 units 22,400 per 10,000 units 2011/08/30 100,000,000 2010/10/14
64699 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2011 F 0.250 23,900 per 10,000 units 23,700 per 10,000 units 2011/07/28 100,000,000 2010/10/14
64702 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2011 H 0.250 24,100 per 10,000 units 23,900 per 10,000 units 2011/08/30 100,000,000 2010/10/14
64700 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2011 A 0.350 26,200 per 10,000 units 26,000 per 10,000 units 2011/11/29 100,000,000 2010/10/14
64701 Credit Suisse AG HSI R Bull CBBC Mar 2011 B 0.250 22,200 per 15,000 units 22,700 per 15,000 units 2011/03/30 390,000,000 2010/10/14
64696 Credit Suisse AG HSI R Bear CBBC Jan 2011 E 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2011/01/28 390,000,000 2010/10/14
64697 Credit Suisse AG HSI R Bear CBBC Feb 2011 C 0.250 24,400 per 13,000 units 23,900 per 13,000 units 2011/02/25 390,000,000 2010/10/14
64706 Credit Suisse AG Hutchison R Bull CBBC Jan 2011 A 0.250 64 per 100 units 68 per 100 units 2011/01/17 100,000,000 2010/10/14
64707 Credit Suisse AG Hutchison R Bull CBBC Feb 2011 A 0.250 59 per 100 units 63 per 100 units 2011/02/14 100,000,000 2010/10/14
64711 Credit Suisse AG Hutchison R Bear CBBC Jan 2011 B 0.250 82 per 100 units 78 per 100 units 2011/01/17 100,000,000 2010/10/14
64712 Credit Suisse AG Hutchison R Bear CBBC Feb 2011 B 0.250 87 per 100 units 83 per 100 units 2011/02/14 100,000,000 2010/10/14
64685 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 O 0.250 20,300 per 14,000 units 20,800 per 14,000 units 2011/04/28 200,000,000 2010/10/14
64686 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 P 0.250 20,600 per 13,000 units 21,100 per 13,000 units 2011/04/28 200,000,000 2010/10/14
64692 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 Q 0.250 21,200 per 12,000 units 21,700 per 12,000 units 2011/04/28 200,000,000 2010/10/14
64693 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 R 0.250 25,500 per 14,000 units 25,000 per 14,000 units 2011/04/28 200,000,000 2010/10/14
64694 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 S 0.250 25,800 per 14,000 units 25,300 per 14,000 units 2011/04/28 200,000,000 2010/10/14
64695 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 W 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2011/02/25 158,000,000 2010/10/14
64708 UBS AG China Life R Bull CBBC Feb 2011 G 0.250 30.880 31.880 2011/02/21 100,000,000 2010/10/14
64710 UBS AG HSCEI R Bear CBBC Feb 2011 E 0.250 14,800 per 12,000 units 14,300 per 12,000 units 2011/02/25 100,000,000 2010/10/14
64714 UBS AG HSCEI R Bear CBBC Mar 2011 C 0.250 14,500 per 20,000 units 14,000 per 20,000 units 2011/03/30 100,000,000 2010/10/14
64715 UBS AG HSCEI R Bear CBBC Mar 2011 D 0.250 15,000 per 20,000 units 14,500 per 20,000 units 2011/03/30 100,000,000 2010/10/14
64709 UBS AG HSI R Bull CBBC Jan 2011 F 0.250 22,200 per 10,000 units 22,700 per 10,000 units 2011/01/28 200,000,000 2010/10/14
64716 UBS AG HSI R Bear CBBC Feb 2011 C 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2011/02/25 200,000,000 2010/10/14
64717 UBS AG HSI R Bear CBBC Mar 2011 V 0.305 26,500 per 12,000 units 26,000 per 12,000 units 2011/03/30 200,000,000 2010/10/14
64718 UBS AG HSI R Bear CBBC Mar 2011 W 0.275 27,000 per 15,000 units 26,500 per 15,000 units 2011/03/30 200,000,000 2010/10/14
64719 UBS AG HSI R Bear CBBC Apr 2011 J 0.310 27,500 per 15,000 units 27,000 per 15,000 units 2011/04/28 200,000,000 2010/10/14
64733 Credit Suisse AG China Mobile R Bull CBBC Feb 2011 B 0.250 70 per 100 units 73 per 100 units 2011/02/07 100,000,000 2010/10/15
64734 Credit Suisse AG China Mobile R Bull CBBC Feb 2011 C 0.250 75 per 100 units 78 per 100 units 2011/02/07 100,000,000 2010/10/15
64738 Credit Suisse AG China Mobile R Bear CBBC Feb 2011 D 0.250 88 per 100 units 85 per 100 units 2011/02/07 100,000,000 2010/10/15
64739 Credit Suisse AG China Mobile R Bear CBBC Feb 2011 E 0.250 93 per 100 units 90 per 100 units 2011/02/07 100,000,000 2010/10/15
64736 Credit Suisse AG A50 China R Bull CBBC Feb 2011 A 0.250 12.100 12.500 2011/02/07 100,000,000 2010/10/15
64741 Credit Suisse AG A50 China R Bear CBBC Feb 2011 B 0.250 14.700 14.300 2011/02/07 100,000,000 2010/10/15
64735 Credit Suisse AG HKEx R Bull CBBC Feb 2011 D 0.250 154 per 100 units 160 per 100 units 2011/02/07 100,000,000 2010/10/15
64740 Credit Suisse AG HKEx R Bear CBBC Feb 2011 E 0.350 199 per 100 units 193 per 100 units 2011/02/07 100,000,000 2010/10/15
64731 Credit Suisse AG HSI R Bull CBBC Mar 2011 C 0.250 21,800 per 22,000 units 22,300 per 22,000 units 2011/03/30 330,000,000 2010/10/15
64732 Credit Suisse AG HSI R Bull CBBC Mar 2011 D 0.250 22,500 per 15,000 units 23,000 per 15,000 units 2011/03/30 390,000,000 2010/10/15
64737 Credit Suisse AG HSI R Bear CBBC Feb 2011 Q 0.250 25,600 per 13,000 units 25,100 per 13,000 units 2011/02/25 390,000,000 2010/10/15
64747 Deutsche Bank AG HSI R Bull CBBC Feb 2011 N 0.250 22,400 per 12,000 units 22,900 per 12,000 units 2011/02/25 300,000,000 2010/10/15
64746 Deutsche Bank AG HSI R Bull CBBC Feb 2011 P 0.250 22,200 per 15,000 units 22,700 per 15,000 units 2011/02/25 300,000,000 2010/10/15
64748 Deutsche Bank AG HSI R Bull CBBC Feb 2011 R 0.250 22,500 per 10,000 units 23,000 per 10,000 units 2011/02/25 300,000,000 2010/10/15
64749 Deutsche Bank AG HSI R Bull CBBC May 2011 C 0.340 20,150 per 20,000 units 20,650 per 20,000 units 2011/05/30 300,000,000 2010/10/15
64750 Deutsche Bank AG HSI R Bull CBBC May 2011 D 0.290 21,150 per 20,000 units 21,650 per 20,000 units 2011/05/30 300,000,000 2010/10/15
64751 Deutsche Bank AG HSI R Bull CBBC May 2011 E 0.250 22,150 per 20,000 units 22,650 per 20,000 units 2011/05/30 300,000,000 2010/10/15
64761 Deutsche Bank AG HSI R Bear CBBC Jan 2011 D 0.250 23,500 per 15,000 units 23,000 per 15,000 units 2011/01/28 300,000,000 2010/10/15
64725 Deutsche Bank AG HSI R Bear CBBC Jun 2011 B 0.350 26,300 per 12,000 units 25,800 per 12,000 units 2011/06/29 300,000,000 2010/10/15
64727 Deutsche Bank AG HSI R Bear CBBC Jun 2011 C 0.300 26,550 per 15,000 units 26,050 per 15,000 units 2011/06/29 300,000,000 2010/10/15
64729 J P Morgan SP BV HSI R Bull CBBC Jan 2011 S 0.250 22,500 per 8,000 units 23,000 per 8,000 units 2011/01/28 200,000,000 2010/10/15
64760 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 X 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/02/25 128,000,000 2010/10/15
64720 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 D 0.320 26,100 per 10,000 units 25,600 per 10,000 units 2011/04/28 128,000,000 2010/10/15
64722 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 E 0.280 26,300 per 12,000 units 25,800 per 12,000 units 2011/04/28 128,000,000 2010/10/15
64724 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 F 0.360 26,500 per 10,000 units 26,000 per 10,000 units 2011/04/28 128,000,000 2010/10/15
64744 Macquarie Bank Ltd. HSI R Bull CBBC Jan 2011 C 0.150 21,700 per 12,000 units 22,200 per 12,000 units 2011/01/28 150,000,000 2010/10/15
64742 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11V 0.250 22,400 per 15,000 units 22,900 per 15,000 units 2011/01/28 300,000,000 2010/10/15
64743 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11W 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/01/28 300,000,000 2010/10/15
64752 UBS AG BYD Company R Bull CBBC Feb 2011 B 0.250 48.88 per 100 units 53.88 per 100 units 2011/02/28 100,000,000 2010/10/15
64756 UBS AG Cheung Kong R Bear CBBC Mar 2011 A 0.250 136.88 per 100 units 128.88 per 100 units 2011/03/07 100,000,000 2010/10/15
64755 UBS AG A50 China R Bull CBBC Feb 2011 D 0.250 12.100 12.500 2011/02/28 100,000,000 2010/10/15
64753 UBS AG HKEx R Bull CBBC Feb 2011 L 0.250 152.88 per 100 units 158.88 per 100 units 2011/02/28 100,000,000 2010/10/15
64759 UBS AG HSI R Bull CBBC Jan 2011 R 0.250 22,500 per 10,000 units 23,000 per 10,000 units 2011/01/28 200,000,000 2010/10/15
64754 UBS AG Hutchison R Bull CBBC Feb 2011 C 0.250 65 per 100 units 70 per 100 units 2011/02/21 100,000,000 2010/10/15
64758 UBS AG Hutchison R Bear CBBC Feb 2011 D 0.250 90 per 100 units 85 per 100 units 2011/02/28 100,000,000 2010/10/15
64757 UBS AG Hutchison R Bear CBBC Mar 2011 A 0.250 95 per 100 units 90 per 100 units 2011/03/07 100,000,000 2010/10/15
64320 # Credit Suisse AG HSI R Bear CBBC Mar 2011 A 0.118 24,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 390,000,000 2010/10/15
64768 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 E 0.250 22,600 per 10,000 units 22,800 per 10,000 units 2011/09/29 100,000,000 2010/10/18
64769 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 D 0.250 22,400 per 10,000 units 22,600 per 10,000 units 2011/10/28 100,000,000 2010/10/18
64772 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Sep 2011 F 0.250 25,000 per 10,000 units 24,800 per 10,000 units 2011/09/29 100,000,000 2010/10/18
64771 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2011 B 0.250 25,200 per 10,000 units 25,000 per 10,000 units 2011/11/29 100,000,000 2010/10/18
64792 Credit Suisse AG A50 China R Bull CBBC Feb 2011 C 0.250 13.000 13.400 2011/02/21 100,000,000 2010/10/18
64806 Credit Suisse AG A50 China R Bear CBBC Feb 2011 D 0.285 16.200 15.800 2011/02/21 100,000,000 2010/10/18
64788 Credit Suisse AG HKEx R Bull CBBC Feb 2011 F 0.250 162 per 100 units 168 per 100 units 2011/02/21 100,000,000 2010/10/18
64804 Credit Suisse AG HKEx R Bear CBBC Feb 2011 G 0.380 206 per 100 units 200 per 100 units 2011/02/21 100,000,000 2010/10/18
64793 Credit Suisse AG HSI R Bull CBBC Mar 2011 E 0.250 22,400 per 10,000 units 22,888 per 10,000 units 2011/03/30 300,000,000 2010/10/18
64794 Credit Suisse AG HSI R Bull CBBC Mar 2011 F 0.250 22,700 per 10,000 units 23,188 per 10,000 units 2011/03/30 300,000,000 2010/10/18
64796 Credit Suisse AG HSI R Bull CBBC Apr 2011 A 0.250 21,900 per 38,000 units 22,400 per 38,000 units 2011/04/28 380,000,000 2010/10/18
64801 Credit Suisse AG HSI R Bull CBBC Apr 2011 B 0.250 22,300 per 22,000 units 22,800 per 22,000 units 2011/04/28 330,000,000 2010/10/18
64767 Credit Suisse AG HSI R Bear CBBC Jan 2011 F 0.250 23,600 per 10,000 units 23,118 per 10,000 units 2011/01/28 300,000,000 2010/10/18
64808 Credit Suisse AG HSI R Bear CBBC Feb 2011 H 0.260 25,700 per 10,000 units 25,218 per 10,000 units 2011/02/25 300,000,000 2010/10/18
64807 Credit Suisse AG HSI R Bear CBBC Feb 2011 T 0.250 25,400 per 10,000 units 24,918 per 10,000 units 2011/02/25 300,000,000 2010/10/18
64809 Credit Suisse AG HSI R Bear CBBC Mar 2011 G 0.250 24,800 per 22,000 units 24,300 per 22,000 units 2011/03/30 330,000,000 2010/10/18
64812 Credit Suisse AG HSI R Bear CBBC Apr 2011 C 0.250 25,200 per 38,000 units 24,700 per 38,000 units 2011/04/28 380,000,000 2010/10/18
64791 Credit Suisse AG TCH R Bull CBBC Feb 2011 B 0.250 167 per 100 units 175 per 100 units 2011/02/21 100,000,000 2010/10/18
64805 Credit Suisse AG TCH R Bear CBBC Feb 2011 C 0.400 216 per 100 units 208 per 100 units 2011/02/21 100,000,000 2010/10/18
64787 Deutsche Bank AG HSI R Bull CBBC Mar 2011 R 0.250 22,700 per 8,000 units 23,200 per 8,000 units 2011/03/30 300,000,000 2010/10/18
64776 Deutsche Bank AG HSI R Bear CBBC Jan 2011 X 0.280 23,700 per 8,000 units 23,200 per 8,000 units 2011/01/28 300,000,000 2010/10/18
64775 Deutsche Bank AG HSI R Bear CBBC Jan 2011 Z 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/01/28 300,000,000 2010/10/18
64825 J P Morgan SP BV HSI R Bull CBBC Feb 2011 A 0.250 22,700 per 12,000 units 23,200 per 12,000 units 2011/02/25 200,000,000 2010/10/18
64813 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 Z 0.250 22,700 per 10,000 units 23,200 per 10,000 units 2011/02/25 128,000,000 2010/10/18
64773 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 Y 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/02/25 128,000,000 2010/10/18
64777 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 F 0.250 22,350 per 11,000 units 22,800 per 11,000 units 2011/04/28 200,000,000 2010/10/18
64778 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 G 0.250 22,750 per 11,000 units 23,200 per 11,000 units 2011/04/28 200,000,000 2010/10/18
64782 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 H 0.250 24,850 per 11,000 units 24,400 per 11,000 units 2011/04/28 200,000,000 2010/10/18
64783 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 I 0.250 25,250 per 11,000 units 24,800 per 11,000 units 2011/04/28 200,000,000 2010/10/18
64784 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 J 0.250 25,650 per 11,000 units 25,200 per 11,000 units 2011/04/28 200,000,000 2010/10/18
64779 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11X 0.250 22,600 per 10,000 units 23,100 per 10,000 units 2011/01/28 300,000,000 2010/10/18
64780 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11Y 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/01/28 300,000,000 2010/10/18
64781 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11Z 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/01/28 300,000,000 2010/10/18
64762 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11A 0.250 25,400 per 15,000 units 24,900 per 15,000 units 2011/04/28 300,000,000 2010/10/18
64763 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11B 0.325 25,500 per 12,000 units 25,000 per 12,000 units 2011/04/28 300,000,000 2010/10/18
64764 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11C 0.405 25,600 per 10,000 units 25,100 per 10,000 units 2011/04/28 300,000,000 2010/10/18
64765 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11D 0.280 25,700 per 15,000 units 25,200 per 15,000 units 2011/04/28 300,000,000 2010/10/18
64766 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11E 0.360 25,800 per 12,000 units 25,300 per 12,000 units 2011/04/28 300,000,000 2010/10/18
64785 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11F 0.410 25,900 per 10,000 units 25,400 per 10,000 units 2011/04/28 300,000,000 2010/10/18
64786 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11G 0.280 26,000 per 15,000 units 25,500 per 15,000 units 2011/04/28 300,000,000 2010/10/18
64826 UBS AG China Life R Bear CBBC Feb 2011 H 0.320 36.880 35.880 2011/02/07 100,000,000 2010/10/18
64822 UBS AG A50 China R Bull CBBC Feb 2011 E 0.250 12.600 13.000 2011/02/21 100,000,000 2010/10/18
64824 UBS AG A50 China R Bear CBBC Mar 2011 A 0.250 15.400 15.000 2011/03/14 100,000,000 2010/10/18
64828 UBS AG HKEx R Bear CBBC Mar 2011 B 0.255 194.88 per 100 units 188.88 per 100 units 2011/03/14 100,000,000 2010/10/18
64816 UBS AG HSI R Bull CBBC Jan 2011 K 0.250 22,700 per 12,000 units 23,200 per 12,000 units 2011/01/28 200,000,000 2010/10/18
64815 UBS AG HSI R Bull CBBC Apr 2011 K 0.250 22,300 per 38,000 units 22,800 per 38,000 units 2011/04/28 300,000,000 2010/10/18
64770 UBS AG HSI R Bear CBBC Jan 2011 N 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/01/28 200,000,000 2010/10/18
64817 UBS AG HSI R Bear CBBC Feb 2011 D 0.250 25,700 per 10,000 units 25,200 per 10,000 units 2011/02/25 200,000,000 2010/10/18
64818 UBS AG HSI R Bear CBBC Mar 2011 X 0.250 25,900 per 12,000 units 25,400 per 12,000 units 2011/03/30 200,000,000 2010/10/18
64819 UBS AG HSI R Bear CBBC Apr 2011 L 0.250 24,800 per 38,000 units 24,300 per 38,000 units 2011/04/28 300,000,000 2010/10/18
64820 UBS AG HSI R Bear CBBC Apr 2011 M 0.250 25,300 per 38,000 units 24,800 per 38,000 units 2011/04/28 300,000,000 2010/10/18
64821 UBS AG HSI R Bear CBBC May 2011 A 0.250 25,800 per 38,000 units 25,300 per 38,000 units 2011/05/30 300,000,000 2010/10/18
64829 UBS AG TCH R Bear CBBC Mar 2011 A 0.250 196.88 per 100 units 188.88 per 100 units 2011/03/07 100,000,000 2010/10/18
64841 Credit Suisse AG A50 China R Bull CBBC Feb 2011 E 0.250 12.600 13.000 2011/02/21 100,000,000 2010/10/19
64845 Credit Suisse AG A50 China R Bear CBBC Feb 2011 F 0.250 15.700 15.300 2011/02/21 100,000,000 2010/10/19
64832 Credit Suisse AG HSI R Bull CBBC Mar 2011 I 0.250 22,600 per 13,000 units 23,100 per 13,000 units 2011/03/30 390,000,000 2010/10/19
64842 Credit Suisse AG HSI R Bear CBBC Jan 2011 C 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/01/28 390,000,000 2010/10/19
64843 Credit Suisse AG Hutchison R Bear CBBC Feb 2011 C 0.250 92 per 100 units 88 per 100 units 2011/02/21 100,000,000 2010/10/19
64834 Deutsche Bank AG HSCEI R Bull CBBC Feb 2011 A 0.320 11,600 per 8,000 units 12,000 per 8,000 units 2011/02/25 100,000,000 2010/10/19
64839 Deutsche Bank AG HSCEI R Bull CBBC Feb 2011 B 0.250 12,100 per 8,000 units 12,500 per 8,000 units 2011/02/25 100,000,000 2010/10/19
64840 Deutsche Bank AG HSCEI R Bear CBBC Feb 2011 C 0.340 14,500 per 8,000 units 14,100 per 8,000 units 2011/02/25 100,000,000 2010/10/19
64833 Deutsche Bank AG HSI R Bull CBBC Feb 2011 V 0.250 22,600 per 10,000 units 23,100 per 10,000 units 2011/02/25 300,000,000 2010/10/19
64852 Deutsche Bank AG HSI R Bull CBBC Jun 2011 D 0.250 21,250 per 40,000 units 21,750 per 40,000 units 2011/06/29 400,000,000 2010/10/19
64846 UBS AG China Life R Bear CBBC Mar 2011 A 0.550 38.880 37.880 2011/03/07 100,000,000 2010/10/19
64850 UBS AG HSCEI R Bull CBBC Feb 2011 F 0.250 11,800 per 12,000 units 12,300 per 12,000 units 2011/02/25 100,000,000 2010/10/19
64831 UBS AG HSI R Bull CBBC Feb 2011 Y 0.250 22,600 per 15,000 units 23,100 per 15,000 units 2011/02/25 200,000,000 2010/10/19
64851 UBS AG HSI R Bear CBBC Feb 2011 E 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 200,000,000 2010/10/19
64847 UBS AG TCH R Bear CBBC Mar 2011 B 0.250 201.88 per 100 units 193.88 per 100 units 2011/03/14 100,000,000 2010/10/19
64849 UBS AG TCH R Bear CBBC Mar 2011 C 0.250 206.88 per 100 units 198.88 per 100 units 2011/03/21 100,000,000 2010/10/19
64386 # Deutsche Bank AG HSI R Bear CBBC Apr 2011 B 0.124 25,550 per 15,000 units 25,050 per 15,000 units 2011/04/28 300,000,000 2010/10/19
64898 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2011 G 0.250 22,800 per 10,000 units 23,000 per 10,000 units 2011/07/28 100,000,000 2010/10/20
64899 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Aug 2011 I 0.250 23,000 per 10,000 units 23,200 per 10,000 units 2011/08/30 100,000,000 2010/10/20
64902 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Jul 2011 H 0.250 24,500 per 10,000 units 24,300 per 10,000 units 2011/07/28 100,000,000 2010/10/20
64904 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Aug 2011 J 0.250 24,700 per 10,000 units 24,500 per 10,000 units 2011/08/30 100,000,000 2010/10/20
64900 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Sep 2011 G 0.300 26,400 per 10,000 units 26,200 per 10,000 units 2011/09/29 100,000,000 2010/10/20
64901 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 E 0.320 26,600 per 10,000 units 26,400 per 10,000 units 2011/10/28 100,000,000 2010/10/20
64863 Credit Suisse AG CK(H) R Bear CBBC Jan 2011 A 0.250 127 per 100 units 120 per 100 units 2011/01/24 100,000,000 2010/10/20
64864 Credit Suisse AG CK(H) R Bear CBBC Feb 2011 A 0.250 132 per 100 units 125 per 100 units 2011/02/14 100,000,000 2010/10/20
64865 Credit Suisse AG CK(H) R Bear CBBC Feb 2011 B 0.250 137 per 100 units 130 per 100 units 2011/02/28 100,000,000 2010/10/20
64878 Credit Suisse AG HSI R Bull CBBC Mar 2011 J 0.250 22,900 per 13,000 units 23,400 per 13,000 units 2011/03/30 390,000,000 2010/10/20
64868 Credit Suisse AG HSI R Bear CBBC Jan 2011 T 0.250 23,800 per 15,000 units 23,300 per 15,000 units 2011/01/28 390,000,000 2010/10/20
64879 Credit Suisse AG HSI R Bear CBBC Mar 2011 K 0.250 25,900 per 13,000 units 25,400 per 13,000 units 2011/03/30 390,000,000 2010/10/20
64880 Credit Suisse AG HSI R Bear CBBC Mar 2011 L 0.250 27,000 per 15,000 units 26,500 per 15,000 units 2011/03/30 390,000,000 2010/10/20
64866 Credit Suisse AG SHK Ppt R Bear CBBC Jan 2011 A 0.250 140 per 100 units 133 per 100 units 2011/01/24 100,000,000 2010/10/20
64867 Credit Suisse AG SHK Ppt R Bear CBBC Feb 2011 A 0.250 150 per 100 units 143 per 100 units 2011/02/14 100,000,000 2010/10/20
64877 Credit Suisse AG TCH R Bull CBBC Mar 2011 A 0.250 177 per 100 units 185 per 100 units 2011/03/14 100,000,000 2010/10/20
64881 Credit Suisse AG TCH R Bear CBBC Mar 2011 B 0.395 226 per 100 units 218 per 100 units 2011/03/14 100,000,000 2010/10/20
64897 Deutsche Bank AG HSI R Bull CBBC Jan 2011 S 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/01/28 300,000,000 2010/10/20
64869 Deutsche Bank AG HSI R Bear CBBC Feb 2011 Y 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 300,000,000 2010/10/20
64882 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 E 0.250 22,400 per 8,000 units 22,900 per 8,000 units 2011/01/28 128,000,000 2010/10/20
64883 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 G 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/02/25 128,000,000 2010/10/20
64884 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 J 0.250 22,600 per 15,000 units 23,100 per 15,000 units 2011/03/30 158,000,000 2010/10/20
64885 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 K 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/03/30 128,000,000 2010/10/20
64859 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Mar11A 0.250 12.100 12.500 2011/03/28 150,000,000 2010/10/20
64860 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Mar11B 0.250 14.900 14.500 2011/03/28 150,000,000 2010/10/20
64861 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Mar11C 0.250 15.400 15.000 2011/03/28 150,000,000 2010/10/20
64857 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC Mar11A 0.310 139 per 100 units 145 per 100 units 2011/03/28 150,000,000 2010/10/20
64858 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC Mar11B 0.250 149 per 100 units 155 per 100 units 2011/03/28 150,000,000 2010/10/20
64855 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11I 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/01/28 300,000,000 2010/10/20
64862 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC Mar11A 0.310 152 per 100 units 160 per 100 units 2011/03/28 100,000,000 2010/10/20
64871 UBS AG A50 China R Bear CBBC Mar 2011 B 0.250 15.900 15.500 2011/03/28 100,000,000 2010/10/20
64870 UBS AG HSI R Bull CBBC Jan 2011 W 0.250 22,400 per 12,000 units 22,900 per 12,000 units 2011/01/28 200,000,000 2010/10/20
64887 UBS AG HSI R Bull CBBC Feb 2011 S 0.250 22,900 per 15,000 units 23,400 per 15,000 units 2011/02/25 200,000,000 2010/10/20
64876 UBS AG HSI R Bear CBBC Jan 2011 H 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/01/28 200,000,000 2010/10/20
64888 UBS AG HSI R Bear CBBC Mar 2011 Y 0.250 26,100 per 15,000 units 25,600 per 15,000 units 2011/03/30 200,000,000 2010/10/20
64892 UBS AG HSI R Bear CBBC Mar 2011 Z 0.250 26,400 per 15,000 units 25,900 per 15,000 units 2011/03/30 200,000,000 2010/10/20
64893 UBS AG HSI R Bear CBBC Apr 2011 N 0.250 26,700 per 15,000 units 26,200 per 15,000 units 2011/04/28 200,000,000 2010/10/20
64894 UBS AG HSI R Bear CBBC Apr 2011 O 0.380 28,000 per 12,000 units 27,500 per 12,000 units 2011/04/28 200,000,000 2010/10/20
64895 UBS AG HSI R Bear CBBC Apr 2011 P 0.340 28,500 per 15,000 units 28,000 per 15,000 units 2011/04/28 200,000,000 2010/10/20
64872 UBS AG TCH R Bull CBBC Feb 2011 E 0.260 160.88 per 100 units 168.88 per 100 units 2011/02/28 100,000,000 2010/10/20
64873 UBS AG TCH R Bull CBBC Feb 2011 F 0.250 170.88 per 100 units 178.88 per 100 units 2011/02/21 100,000,000 2010/10/20
64874 UBS AG TCH R Bear CBBC Mar 2011 D 0.305 216.88 per 100 units 208.88 per 100 units 2011/03/14 100,000,000 2010/10/20
64875 UBS AG TCH R Bear CBBC Mar 2011 E 0.405 226.88 per 100 units 218.88 per 100 units 2011/03/28 100,000,000 2010/10/20
64648 # Credit Suisse AG HSI R Bull CBBC Jan 2011 H 0.118 22,300 per 13,000 units 22,800 per 13,000 units 2011/01/28 390,000,000 2010/10/20
63541 # J P Morgan SP BV HSI R Bear CBBC Jan 2011 A 0.019 24,500 per 38,000 units 24,000 per 38,000 units 2011/01/28 528,000,000 2010/10/20
64934 Credit Suisse AG A50 China R Bull CBBC Feb 2011 G 0.250 13.600 14.000 2011/02/07 100,000,000 2010/10/21
64933 Credit Suisse AG HKEx R Bull CBBC Feb 2011 H 0.250 169 per 100 units 175 per 100 units 2011/02/21 100,000,000 2010/10/21
64942 Credit Suisse AG HKEx R Bear CBBC Mar 2011 A 0.390 214 per 100 units 208 per 100 units 2011/03/21 100,000,000 2010/10/21
64940 Credit Suisse AG HSBC R Bear CBBC Mar 2011 A 0.250 105 per 100 units 100 per 100 units 2011/03/21 100,000,000 2010/10/21
64930 Credit Suisse AG HSI R Bull CBBC Mar 2011 O 0.250 23,300 per 10,000 units 23,788 per 10,000 units 2011/03/30 300,000,000 2010/10/21
64931 Credit Suisse AG HSI R Bull CBBC Apr 2011 E 0.250 22,400 per 38,000 units 22,900 per 38,000 units 2011/04/28 380,000,000 2010/10/21
64932 Credit Suisse AG HSI R Bull CBBC Apr 2011 F 0.250 22,800 per 15,000 units 23,300 per 15,000 units 2011/04/28 390,000,000 2010/10/21
64916 Credit Suisse AG HSI R Bear CBBC Jan 2011 E 0.250 24,800 per 10,000 units 24,318 per 10,000 units 2011/01/28 300,000,000 2010/10/21
64915 Credit Suisse AG HSI R Bear CBBC Jan 2011 Q 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/01/28 390,000,000 2010/10/21
64935 Credit Suisse AG HSI R Bear CBBC Feb 2011 I 0.390 27,500 per 10,000 units 27,018 per 10,000 units 2011/02/25 300,000,000 2010/10/21
64918 Credit Suisse AG HSI R Bear CBBC Feb 2011 X 0.250 25,200 per 15,000 units 24,700 per 15,000 units 2011/02/25 390,000,000 2010/10/21
64919 Credit Suisse AG HSI R Bear CBBC Mar 2011 M 0.250 26,100 per 15,000 units 25,600 per 15,000 units 2011/03/30 390,000,000 2010/10/21
64920 Credit Suisse AG HSI R Bear CBBC Mar 2011 N 0.250 26,400 per 15,000 units 25,900 per 15,000 units 2011/03/30 390,000,000 2010/10/21
64936 Credit Suisse AG HSI R Bear CBBC Mar 2011 P 0.330 28,500 per 15,000 units 28,000 per 15,000 units 2011/03/30 390,000,000 2010/10/21
64922 Credit Suisse AG HSI R Bear CBBC Apr 2011 D 0.250 26,200 per 13,000 units 25,700 per 13,000 units 2011/04/28 390,000,000 2010/10/21
64937 Credit Suisse AG HSI R Bear CBBC Apr 2011 G 0.250 25,700 per 38,000 units 25,200 per 38,000 units 2011/04/28 380,000,000 2010/10/21
64938 Credit Suisse AG HSI R Bear CBBC Apr 2011 H 0.455 28,100 per 10,000 units 27,618 per 10,000 units 2011/04/28 300,000,000 2010/10/21
64939 Credit Suisse AG HSI R Bear CBBC Apr 2011 I 0.435 29,200 per 13,000 units 28,700 per 13,000 units 2011/04/28 390,000,000 2010/10/21
64944 Deutsche Bank AG HSI R Bull CBBC Jan 2011 K 0.250 23,022 per 11,000 units 23,222 per 11,000 units 2011/01/28 300,000,000 2010/10/21
64943 Deutsche Bank AG HSI R Bull CBBC Jan 2011 R 0.270 22,522 per 16,000 units 22,722 per 16,000 units 2011/01/28 300,000,000 2010/10/21
64972 Deutsche Bank AG HSI R Bull CBBC Mar 2011 T 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 300,000,000 2010/10/21
64973 Deutsche Bank AG HSI R Bull CBBC Mar 2011 U 0.260 23,300 per 8,000 units 23,800 per 8,000 units 2011/03/30 300,000,000 2010/10/21
64974 Deutsche Bank AG HSI R Bull CBBC Apr 2011 G 0.270 22,650 per 15,000 units 23,150 per 15,000 units 2011/04/28 300,000,000 2010/10/21
64975 Deutsche Bank AG HSI R Bull CBBC Apr 2011 H 0.290 22,900 per 10,000 units 23,400 per 10,000 units 2011/04/28 300,000,000 2010/10/21
64946 Deutsche Bank AG HSI R Bear CBBC Jan 2011 H 0.260 24,922 per 16,000 units 24,722 per 16,000 units 2011/01/28 300,000,000 2010/10/21
64945 Deutsche Bank AG HSI R Bear CBBC Jan 2011 U 0.250 24,422 per 11,000 units 24,222 per 11,000 units 2011/01/28 300,000,000 2010/10/21
64913 Deutsche Bank AG HSI R Bear CBBC Feb 2011 F 0.270 24,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 300,000,000 2010/10/21
64976 Deutsche Bank AG HSI R Bear CBBC Apr 2011 I 0.260 25,600 per 10,000 units 25,100 per 10,000 units 2011/04/28 300,000,000 2010/10/21
64977 Deutsche Bank AG HSI R Bear CBBC Apr 2011 J 0.280 25,700 per 8,000 units 25,200 per 8,000 units 2011/04/28 300,000,000 2010/10/21
64978 Deutsche Bank AG HSI R Bear CBBC May 2011 F 0.250 25,800 per 12,000 units 25,300 per 12,000 units 2011/05/30 300,000,000 2010/10/21
64981 Deutsche Bank AG HSI R Bear CBBC May 2011 G 0.250 26,050 per 15,000 units 25,550 per 15,000 units 2011/05/30 300,000,000 2010/10/21
64983 Deutsche Bank AG HSI R Bear CBBC Jul 2011 A 0.270 26,400 per 10,000 units 25,900 per 10,000 units 2011/07/28 300,000,000 2010/10/21
64984 Deutsche Bank AG HSI R Bear CBBC Jul 2011 B 0.250 26,800 per 12,000 units 26,300 per 12,000 units 2011/07/28 300,000,000 2010/10/21
64925 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 T 0.250 22,400 per 10,000 units 22,900 per 10,000 units 2011/04/28 200,000,000 2010/10/21
64926 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 U 0.250 22,700 per 10,000 units 23,200 per 10,000 units 2011/04/28 200,000,000 2010/10/21
64947 HK Bank A50 R Bull CBBC May 2011 A 0.250 12.500 12.880 2011/05/18 150,000,000 2010/10/21
64948 HK Bank A50 R Bull CBBC May 2011 B 0.250 13.000 13.380 2011/05/18 120,000,000 2010/10/21
64952 HK Bank A50 R Bear CBBC May 2011 C 0.250 15.000 14.580 2011/05/18 120,000,000 2010/10/21
64954 HK Bank A50 R Bear CBBC May 2011 D 0.250 15.500 15.080 2011/05/18 150,000,000 2010/10/21
64896 HK Bank HSI R Bull CBBC Mar 2011 G 0.250 22,600 per 12,000 units 23,100 per 12,000 units 2011/03/30 150,000,000 2010/10/21
64905 HK Bank HSI R Bull CBBC Mar 2011 H 0.250 22,888 per 10,000 units 23,388 per 10,000 units 2011/03/30 150,000,000 2010/10/21
64906 HK Bank HSI R Bull CBBC Apr 2011 D 0.250 22,300 per 28,000 units 22,800 per 28,000 units 2011/04/28 300,000,000 2010/10/21
64909 HK Bank HSI R Bear CBBC Mar 2011 I 0.250 24,888 per 12,000 units 24,388 per 12,000 units 2011/03/30 200,000,000 2010/10/21
64910 HK Bank HSI R Bear CBBC Mar 2011 J 0.250 25,100 per 10,000 units 24,600 per 10,000 units 2011/03/30 200,000,000 2010/10/21
64911 HK Bank HSI R Bear CBBC Mar 2011 K 0.250 25,388 per 12,000 units 24,888 per 12,000 units 2011/03/30 200,000,000 2010/10/21
64907 HK Bank HSI R Bear CBBC May 2011 A 0.250 25,700 per 12,000 units 25,088 per 12,000 units 2011/05/30 200,000,000 2010/10/21
64908 HK Bank HSI R Bear CBBC May 2011 B 0.250 25,900 per 25,000 units 25,300 per 25,000 units 2011/05/30 300,000,000 2010/10/21
64949 J P Morgan SP BV HSI R Bull CBBC Feb 2011 B 0.250 22,800 per 15,000 units 23,300 per 15,000 units 2011/02/25 200,000,000 2010/10/21
64950 J P Morgan SP BV HSI R Bull CBBC Feb 2011 C 0.250 23,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 200,000,000 2010/10/21
64951 J P Morgan SP BV HSI R Bull CBBC Feb 2011 D 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/02/25 200,000,000 2010/10/21
64955 J P Morgan SP BV HSI R Bull CBBC Feb 2011 E 0.250 23,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 200,000,000 2010/10/21
64956 J P Morgan SP BV HSI R Bear CBBC Feb 2011 F 0.250 24,900 per 38,000 units 24,400 per 38,000 units 2011/02/25 400,000,000 2010/10/21
64957 J P Morgan SP BV HSI R Bear CBBC Feb 2011 G 0.250 25,200 per 10,000 units 24,700 per 10,000 units 2011/02/25 200,000,000 2010/10/21
64958 J P Morgan SP BV HSI R Bear CBBC Feb 2011 H 0.250 25,400 per 12,000 units 24,900 per 12,000 units 2011/02/25 200,000,000 2010/10/21
64959 J P Morgan SP BV HSI R Bear CBBC Feb 2011 I 0.250 25,588 per 8,000 units 25,088 per 8,000 units 2011/02/25 200,000,000 2010/10/21
64960 J P Morgan SP BV HSI R Bear CBBC Feb 2011 J 0.250 25,800 per 10,000 units 25,300 per 10,000 units 2011/02/25 200,000,000 2010/10/21
64961 J P Morgan SP BV HSI R Bear CBBC Feb 2011 K 0.250 26,000 per 38,000 units 25,500 per 38,000 units 2011/02/25 400,000,000 2010/10/21
64962 J P Morgan SP BV HSI R Bear CBBC Feb 2011 L 0.250 26,100 per 12,000 units 25,600 per 12,000 units 2011/02/25 200,000,000 2010/10/21
64963 J P Morgan SP BV HSI R Bear CBBC Mar 2011 A 0.250 26,300 per 15,000 units 25,800 per 15,000 units 2011/03/30 200,000,000 2010/10/21
64964 J P Morgan SP BV HSI R Bear CBBC Apr 2011 A 0.250 26,500 per 38,000 units 26,000 per 38,000 units 2011/04/28 400,000,000 2010/10/21
64965 J P Morgan SP BV HSI R Bear CBBC May 2011 A 0.250 25,700 per 15,000 units 25,200 per 15,000 units 2011/05/30 200,000,000 2010/10/21
64968 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Jan 2011 F 0.250 23,300 per 10,000 units 23,800 per 10,000 units 2011/01/28 128,000,000 2010/10/21
64969 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 K 0.250 23,100 per 8,000 units 23,600 per 8,000 units 2011/02/25 128,000,000 2010/10/21
64966 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 M 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/02/25 128,000,000 2010/10/21
64970 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 L 0.250 26,200 per 10,000 units 25,700 per 10,000 units 2011/03/30 128,000,000 2010/10/21
64971 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 M 0.330 26,400 per 8,000 units 25,900 per 8,000 units 2011/03/30 128,000,000 2010/10/21
64987 UBS AG China Mobile R Bull CBBC Feb 2011 B 0.250 76.88 per 100 units 80.88 per 100 units 2011/02/28 100,000,000 2010/10/21
64985 UBS AG China Life R Bull CBBC Feb 2011 I 0.250 32.880 33.880 2011/02/28 100,000,000 2010/10/21
64986 UBS AG China Life R Bull CBBC Mar 2011 B 0.320 31.880 32.880 2011/03/07 100,000,000 2010/10/21
64996 UBS AG China Life R Bear CBBC Mar 2011 D 0.590 40.880 39.880 2011/03/28 100,000,000 2010/10/21
64990 UBS AG A50 China R Bull CBBC Feb 2011 F 0.250 13.100 13.500 2011/02/21 100,000,000 2010/10/21
64998 UBS AG A50 China R Bear CBBC Mar 2011 C 0.250 16.400 16.000 2011/03/28 100,000,000 2010/10/21
64988 UBS AG HKEx R Bull CBBC Feb 2011 M 0.250 162.88 per 100 units 168.88 per 100 units 2011/02/21 100,000,000 2010/10/21
64997 UBS AG HKEx R Bear CBBC Mar 2011 C 0.270 204.88 per 100 units 198.88 per 100 units 2011/03/28 100,000,000 2010/10/21
64991 UBS AG HSI R Bull CBBC Jan 2011 Z 0.250 23,000 per 12,000 units 23,500 per 12,000 units 2011/01/28 200,000,000 2010/10/21
64992 UBS AG HSI R Bull CBBC Mar 2011 D 0.250 22,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 200,000,000 2010/10/21
64993 UBS AG HSI R Bull CBBC Mar 2011 K 0.250 23,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 200,000,000 2010/10/21
64912 UBS AG HSI R Bear CBBC Feb 2011 C 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/02/25 200,000,000 2010/10/21
65000 UBS AG HSI R Bear CBBC Mar 2011 A 0.250 25,600 per 12,000 units 25,100 per 12,000 units 2011/03/30 200,000,000 2010/10/21
64967 UBS AG HSI R Bear CBBC Mar 2011 B 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/03/30 200,000,000 2010/10/21
65001 UBS AG HSI R Bear CBBC Mar 2011 L 0.250 26,300 per 10,000 units 25,800 per 10,000 units 2011/03/30 200,000,000 2010/10/21
64999 UBS AG HSI R Bear CBBC Apr 2011 Q 0.250 25,800 per 15,000 units 25,300 per 15,000 units 2011/04/28 200,000,000 2010/10/21
65002 UBS AG HSI R Bear CBBC Apr 2011 R 0.250 26,200 per 12,000 units 25,700 per 12,000 units 2011/04/28 200,000,000 2010/10/21
64989 UBS AG ICBC R Bull CBBC Feb 2011 A 0.250 5.380 5.780 2011/02/21 100,000,000 2010/10/21
65023 Credit Suisse AG CK(H) R Bear CBBC Mar 2011 A 0.250 142 per 100 units 135 per 100 units 2011/03/21 100,000,000 2010/10/22
65028 Credit Suisse AG A50 China R Bear CBBC Mar 2011 A 0.270 16.700 16.300 2011/03/21 100,000,000 2010/10/22
65033 Credit Suisse AG HKEx R Bull CBBC Mar 2011 C 0.250 177 per 100 units 183 per 100 units 2011/03/28 100,000,000 2010/10/22
65025 Credit Suisse AG HKEx R Bear CBBC Mar 2011 B 0.570 234 per 100 units 228 per 100 units 2011/03/21 100,000,000 2010/10/22
65018 Credit Suisse AG HSI R Bull CBBC Mar 2011 Q 0.250 23,200 per 13,000 units 23,700 per 13,000 units 2011/03/30 390,000,000 2010/10/22
65029 Credit Suisse AG HSI R Bear CBBC Jan 2011 K 0.250 25,000 per 13,000 units 24,500 per 13,000 units 2011/01/28 390,000,000 2010/10/22
65032 Credit Suisse AG HSI R Bear CBBC Feb 2011 Y 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/02/25 390,000,000 2010/10/22
65024 Credit Suisse AG SHK Ppt R Bear CBBC Feb 2011 B 0.250 160 per 100 units 153 per 100 units 2011/02/28 100,000,000 2010/10/22
65017 Credit Suisse AG TCH R Bull CBBC Feb 2011 E 0.250 162 per 100 units 170 per 100 units 2011/02/28 100,000,000 2010/10/22
65026 Credit Suisse AG TCH R Bear CBBC Feb 2011 F 0.250 203 per 100 units 195 per 100 units 2011/02/28 100,000,000 2010/10/22
65027 Credit Suisse AG TCH R Bear CBBC Mar 2011 C 0.540 236 per 100 units 228 per 100 units 2011/03/21 100,000,000 2010/10/22
65030 Deutsche Bank AG HSI R Bull CBBC Feb 2011 H 0.250 23,522 per 16,000 units 23,722 per 16,000 units 2011/02/25 300,000,000 2010/10/22
65031 Deutsche Bank AG HSI R Bull CBBC Apr 2011 K 0.300 23,200 per 10,000 units 23,700 per 10,000 units 2011/04/28 300,000,000 2010/10/22
65060 Deutsche Bank AG HSI R Bull CBBC Apr 2011 L 0.250 23,050 per 15,000 units 23,550 per 15,000 units 2011/04/28 300,000,000 2010/10/22
65061 Deutsche Bank AG HSI R Bull CBBC May 2011 H 0.250 22,850 per 20,000 units 23,350 per 20,000 units 2011/05/30 300,000,000 2010/10/22
65062 Deutsche Bank AG HSI R Bull CBBC May 2011 I 0.290 23,000 per 8,000 units 23,500 per 8,000 units 2011/05/30 300,000,000 2010/10/22
65034 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 V 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/04/28 200,000,000 2010/10/22
65035 Goldman Sachs SP (Asia) HSI R Bull CBBC Apr 2011 W 0.250 23,300 per 10,000 units 23,800 per 10,000 units 2011/04/28 200,000,000 2010/10/22
65040 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 X 0.250 26,100 per 14,000 units 25,600 per 14,000 units 2011/04/28 200,000,000 2010/10/22
65015 HK Bank HSI R Bull CBBC Jun 2011 A 0.250 20,300 per 28,000 units 20,800 per 28,000 units 2011/06/29 200,000,000 2010/10/22
65016 HK Bank HSI R Bull CBBC Jun 2011 B 0.250 23,300 per 20,000 units 23,800 per 20,000 units 2011/06/29 150,000,000 2010/10/22
65020 HK Bank HSI R Bear CBBC Jun 2011 C 0.250 26,100 per 10,000 units 25,600 per 10,000 units 2011/06/29 180,000,000 2010/10/22
65021 HK Bank HSI R Bear CBBC Jun 2011 D 0.250 26,400 per 12,000 units 25,800 per 12,000 units 2011/06/29 180,000,000 2010/10/22
65022 HK Bank HSI R Bear CBBC Jun 2011 E 0.250 26,800 per 38,000 units 26,200 per 38,000 units 2011/06/29 250,000,000 2010/10/22
65044 J P Morgan SP BV HSI R Bear CBBC Feb 2011 M 0.250 24,300 per 10,000 units 23,800 per 10,000 units 2011/02/25 200,000,000 2010/10/22
65063 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 N 0.250 25,600 per 12,000 units 25,100 per 12,000 units 2011/03/30 128,000,000 2010/10/22
65066 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 O 0.250 25,800 per 10,000 units 25,300 per 10,000 units 2011/03/30 128,000,000 2010/10/22
65043 RB of Scotland N.V. HSCEI R Bear CBBC Jan 2011 D 0.250 14,100 per 10,000 units 13,600 per 10,000 units 2011/01/28 250,000,000 2010/10/22
65037 RB of Scotland N.V. HSI R Bull CBBC Jan 2011 E 0.250 21,900 per 13,000 units 22,400 per 13,000 units 2011/01/28 250,000,000 2010/10/22
65038 RB of Scotland N.V. HSI R Bull CBBC Jan 2011 F 0.250 22,300 per 13,000 units 22,800 per 13,000 units 2011/01/28 250,000,000 2010/10/22
65041 RB of Scotland N.V. HSI R Bear CBBC Jan 2011 G 0.250 24,900 per 13,000 units 24,400 per 13,000 units 2011/01/28 250,000,000 2010/10/22
65042 RB of Scotland N.V. HSI R Bear CBBC Jan 2011 H 0.250 25,100 per 13,000 units 24,600 per 13,000 units 2011/01/28 250,000,000 2010/10/22
65003 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Mar11D 0.250 15.900 15.500 2011/03/28 150,000,000 2010/10/22
65009 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11C 0.250 23,300 per 15,000 units 23,800 per 15,000 units 2011/01/28 300,000,000 2010/10/22
65007 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11D 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/01/28 300,000,000 2010/10/22
65006 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11E 0.250 23,000 per 15,000 units 23,500 per 15,000 units 2011/01/28 300,000,000 2010/10/22
65005 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11F 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/01/28 300,000,000 2010/10/22
65004 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11G 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/01/28 300,000,000 2010/10/22
65008 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jan11H 0.250 23,200 per 10,000 units 23,700 per 10,000 units 2011/01/28 300,000,000 2010/10/22
65010 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11H 0.290 26,100 per 12,000 units 25,600 per 12,000 units 2011/04/28 300,000,000 2010/10/22
65011 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11I 0.360 26,200 per 10,000 units 25,700 per 10,000 units 2011/04/28 300,000,000 2010/10/22
65012 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11J 0.250 26,300 per 15,000 units 25,800 per 15,000 units 2011/04/28 300,000,000 2010/10/22
65013 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11K 0.325 26,400 per 12,000 units 25,900 per 12,000 units 2011/04/28 300,000,000 2010/10/22
65014 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11L 0.400 26,500 per 10,000 units 26,000 per 10,000 units 2011/04/28 300,000,000 2010/10/22
65047 UBS AG A50 China R Bull CBBC Feb 2011 G 0.250 13.600 14.000 2011/02/07 100,000,000 2010/10/22
65045 UBS AG HKEx R Bull CBBC Feb 2011 N 0.250 172.88 per 100 units 178.88 per 100 units 2011/02/14 100,000,000 2010/10/22
65053 UBS AG HKEx R Bear CBBC Mar 2011 D 0.315 214.88 per 100 units 208.88 per 100 units 2011/03/21 100,000,000 2010/10/22
65048 UBS AG HSCEI R Bull CBBC Mar 2011 E 0.250 12,000 per 20,000 units 12,500 per 20,000 units 2011/03/30 100,000,000 2010/10/22
65055 UBS AG HSCEI R Bear CBBC Apr 2011 A 0.250 15,300 per 12,000 units 14,800 per 12,000 units 2011/04/28 100,000,000 2010/10/22
65059 UBS AG HSCEI R Bear CBBC Apr 2011 B 0.250 15,500 per 20,000 units 15,000 per 20,000 units 2011/04/28 100,000,000 2010/10/22
65049 UBS AG HSI R Bull CBBC Mar 2011 O 0.250 23,200 per 15,000 units 23,700 per 15,000 units 2011/03/30 200,000,000 2010/10/22
65050 UBS AG HSI R Bull CBBC Apr 2011 S 0.250 22,800 per 38,000 units 23,300 per 38,000 units 2011/04/28 300,000,000 2010/10/22
65054 UBS AG ICBC R Bear CBBC Feb 2011 B 0.250 7.480 7.080 2011/02/28 100,000,000 2010/10/22
65082 Credit Suisse AG HKEx R Bear CBBC Feb 2011 I 0.455 224 per 100 units 218 per 100 units 2011/02/21 100,000,000 2010/10/25
65068 Credit Suisse AG HSI R Bull CBBC Apr 2011 J 0.250 23,100 per 15,000 units 23,600 per 15,000 units 2011/04/28 390,000,000 2010/10/25
65081 Credit Suisse AG HSI R Bear CBBC Feb 2011 J 0.250 24,100 per 13,000 units 23,600 per 13,000 units 2011/02/25 390,000,000 2010/10/25
65072 Deutsche Bank AG DJIA R Bear CBBC Jun 2011 A 0.250 12,400 per 78,000 units 12,000 per 78,000 units 2011/06/20 80,000,000 2010/10/25
65076 Deutsche Bank AG HSCEI R Bull CBBC Apr 2011 A 0.250 12,600 per 8,000 units 13,000 per 8,000 units 2011/04/28 150,000,000 2010/10/25
65078 Deutsche Bank AG HSCEI R Bear CBBC Apr 2011 B 0.350 15,000 per 8,000 units 14,600 per 8,000 units 2011/04/28 150,000,000 2010/10/25
65073 Deutsche Bank AG HSI R Bear CBBC Jan 2011 I 0.250 23,922 per 16,000 units 23,722 per 16,000 units 2011/01/28 300,000,000 2010/10/25
65074 Deutsche Bank AG HSI R Bear CBBC Feb 2011 A 0.290 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 300,000,000 2010/10/25
65075 Deutsche Bank AG HSI R Bear CBBC Mar 2011 V 0.290 24,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 300,000,000 2010/10/25
65085 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Jan 2011 H 0.250 24,000 per 10,000 units 23,500 per 10,000 units 2011/01/28 128,000,000 2010/10/25
65083 RB of Scotland N.V. HSI R Bull CBBC Jan 2011 I 0.250 21,500 per 13,000 units 22,000 per 13,000 units 2011/01/28 250,000,000 2010/10/25
65070 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11A 0.250 24,200 per 15,000 units 23,700 per 15,000 units 2011/01/28 300,000,000 2010/10/25
65069 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11B 0.250 24,100 per 10,000 units 23,600 per 10,000 units 2011/01/28 300,000,000 2010/10/25
65071 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Jan11U 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/01/28 300,000,000 2010/10/25
65079 UBS AG BOCL R Bull CBBC Feb 2011 A 0.250 3.480 3.980 2011/02/14 100,000,000 2010/10/25
65056 UBS AG HSI R Bull CBBC Jan 2011 N 0.250 23,100 per 10,000 units 23,600 per 10,000 units 2011/01/28 200,000,000 2010/10/25
65091 Credit Suisse AG HSI R Bull CBBC Apr 2011 K 0.250 23,000 per 10,000 units 23,488 per 10,000 units 2011/04/28 300,000,000 2010/10/26
65089 Credit Suisse AG HSI R Bear CBBC Jan 2011 F 0.250 24,200 per 10,000 units 23,718 per 10,000 units 2011/01/28 300,000,000 2010/10/26
65092 Deutsche Bank AG HSI R Bear CBBC Jul 2011 C 0.300 26,450 per 20,000 units 25,950 per 20,000 units 2011/07/28 300,000,000 2010/10/26
65093 Deutsche Bank AG HSI R Bear CBBC Jul 2011 D 0.390 27,050 per 15,000 units 26,550 per 15,000 units 2011/07/28 300,000,000 2010/10/26
65094 Deutsche Bank AG HSI R Bear CBBC Sep 2011 A 0.250 27,250 per 40,000 units 26,750 per 40,000 units 2011/09/29 400,000,000 2010/10/26
65095 Deutsche Bank AG HSI R Bear CBBC Sep 2011 B 0.280 28,250 per 40,000 units 27,750 per 40,000 units 2011/09/29 400,000,000 2010/10/26
65086 Goldman Sachs SP (Asia) HSI R Bear CBBC Apr 2011 Y 0.250 24,000 per 8,000 units 23,500 per 8,000 units 2011/04/28 200,000,000 2010/10/26
65087 J P Morgan SP BV HSI R Bear CBBC Feb 2011 N 0.250 24,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 200,000,000 2010/10/26
65088 J P Morgan SP BV HSI R Bear CBBC Feb 2011 O 0.250 24,100 per 15,000 units 23,600 per 15,000 units 2011/02/25 300,000,000 2010/10/26
65097 UBS AG HSCEI R Bull CBBC Feb 2011 G 0.250 12,400 per 12,000 units 12,800 per 12,000 units 2011/02/25 100,000,000 2010/10/26
65098 UBS AG HSCEI R Bear CBBC Mar 2011 F 0.250 15,700 per 12,000 units 15,300 per 12,000 units 2011/03/30 100,000,000 2010/10/26
65096 UBS AG HSI R Bear CBBC Feb 2011 E 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 200,000,000 2010/10/26
64732 # Credit Suisse AG HSI R Bull CBBC Mar 2011 D 0.075 22,500 per 15,000 units 23,000 per 15,000 units 2011/03/30 390,000,000 2010/10/26
64316 # Credit Suisse AG HSI R Bear CBBC Feb 2011 P 0.139 25,500 per 15,000 units 25,000 per 15,000 units 2011/02/25 390,000,000 2010/10/26
65109 Credit Suisse AG HSI R Bull CBBC Mar 2011 R 0.250 22,900 per 13,000 units 23,400 per 13,000 units 2011/03/30 390,000,000 2010/10/27
65108 Credit Suisse AG Hutchison R Bull CBBC Feb 2011 D 0.250 69 per 100 units 73 per 100 units 2011/02/21 100,000,000 2010/10/27
65114 Deutsche Bank AG HSI R Bear CBBC Aug 2011 A 0.250 27,450 per 20,000 units 26,950 per 20,000 units 2011/08/30 300,000,000 2010/10/27
65101 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 D 0.389 12,400 per 30,000 units 12,000 per 30,000 units 2011/03/18 80,000,000 2010/10/27
65102 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 E 0.250 12,800 per 60,000 units 12,400 per 60,000 units 2011/03/18 60,000,000 2010/10/27
65105 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 F 0.597 13,200 per 30,000 units 12,800 per 30,000 units 2011/03/18 60,000,000 2010/10/27
65106 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 G 0.351 13,600 per 60,000 units 13,200 per 60,000 units 2011/03/18 60,000,000 2010/10/27
65099 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Apr11A 0.250 12,000 per 12,000 units 12,500 per 12,000 units 2011/04/28 200,000,000 2010/10/27
65100 SGA Societe Generale Acceptance NV HSCEI R Bull CBBC Apr11B 0.250 12,500 per 12,000 units 13,000 per 12,000 units 2011/04/28 200,000,000 2010/10/27
65103 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Apr11C 0.250 14,500 per 12,000 units 14,000 per 12,000 units 2011/04/28 200,000,000 2010/10/27
65104 SGA Societe Generale Acceptance NV HSCEI R Bear CBBC Apr11D 0.250 15,000 per 12,000 units 14,500 per 12,000 units 2011/04/28 200,000,000 2010/10/27
65112 UBS AG China Life R Bull CBBC Feb 2011 J 0.250 33.880 34.880 2011/02/14 100,000,000 2010/10/27
65113 UBS AG HSI R Bull CBBC Jan 2011 H 0.250 22,900 per 15,000 units 23,400 per 15,000 units 2011/01/28 200,000,000 2010/10/27
65110 UBS AG Hutchison R Bull CBBC Feb 2011 E 0.250 71 per 100 units 75 per 100 units 2011/02/14 100,000,000 2010/10/27
65111 UBS AG Hutchison R Bear CBBC Mar 2011 B 0.250 99 per 100 units 95 per 100 units 2011/03/14 100,000,000 2010/10/27
65125 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 H 0.250 22,700 per 10,000 units 22,900 per 10,000 units 2011/09/29 100,000,000 2010/10/28
65123 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 F 0.250 22,500 per 10,000 units 22,700 per 10,000 units 2011/10/28 100,000,000 2010/10/28
65124 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 G 0.250 22,900 per 10,000 units 23,100 per 10,000 units 2011/10/28 100,000,000 2010/10/28
65128 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 H 0.250 24,900 per 10,000 units 24,700 per 10,000 units 2011/10/28 100,000,000 2010/10/28
65117 Credit Suisse AG TCH R Bull CBBC Feb 2011 G 0.250 173 per 100 units 180 per 100 units 2011/02/28 100,000,000 2010/10/28
65121 Credit Suisse AG TCH R Bull CBBC Mar 2011 D 0.250 178 per 100 units 185 per 100 units 2011/03/21 100,000,000 2010/10/28
65122 Deutsche Bank AG HSI R Bear CBBC Jan 2011 V 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2011/01/28 300,000,000 2010/10/28
65129 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 A 0.250 23,100 per 8,000 units 23,600 per 8,000 units 2011/02/25 128,000,000 2010/10/28
65132 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 G 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/04/28 128,000,000 2010/10/28
65126 UBS AG China Tel R Bull CBBC Feb 2011 A 0.250 3.480 3.880 2011/02/21 100,000,000 2010/10/28
65130 UBS AG China Tel R Bear CBBC Feb 2011 B 0.250 5.280 4.880 2011/02/21 100,000,000 2010/10/28
65115 UBS AG HSI R Bull CBBC Jan 2011 V 0.250 23,000 per 12,000 units 23,500 per 12,000 units 2011/01/28 200,000,000 2010/10/28
65127 UBS AG Jiangxi Copper R Bull CBBC Feb 2011 C 0.470 17.680 18.880 2011/02/21 100,000,000 2010/10/28
64312 # Credit Suisse AG HSI R Bear CBBC Feb 2011 N 0.075 24,700 per 13,000 units 24,200 per 13,000 units 2011/02/25 390,000,000 2010/10/28
65137 Credit Suisse AG A50 China R Bull CBBC Mar 2011 B 0.250 13.400 13.800 2011/03/21 100,000,000 2010/10/29
65138 Credit Suisse AG HKEx R Bear CBBC Feb 2011 J 0.250 189 per 100 units 183 per 100 units 2011/02/21 100,000,000 2010/10/29
65135 Credit Suisse AG Hutchison R Bull CBBC Feb 2011 E 0.250 74 per 100 units 78 per 100 units 2011/02/21 100,000,000 2010/10/29
65139 Credit Suisse AG Hutchison R Bear CBBC Feb 2011 F 0.250 102 per 100 units 98 per 100 units 2011/02/21 100,000,000 2010/10/29
65140 Credit Suisse AG Hutchison R Bear CBBC Feb 2011 G 0.250 97 per 100 units 93 per 100 units 2011/02/28 100,000,000 2010/10/29
65134 Deutsche Bank AG HSI R Bull CBBC Feb 2011 E 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/02/25 300,000,000 2010/10/29
65145 Deutsche Bank AG HSI R Bull CBBC May 2011 J 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/05/30 300,000,000 2010/10/29
65133 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11L 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/02/25 300,000,000 2010/10/29
65141 UBS AG CC Bank R Bull CBBC Feb 2011 C 0.250 6.580 6.880 2011/02/14 100,000,000 2010/10/29
65144 UBS AG Sinopec Corp R Bull CBBC Feb 2011 B 0.250 6.580 6.880 2011/02/14 100,000,000 2010/10/29
65158 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 I 0.250 23,200 per 10,000 units 23,400 per 10,000 units 2011/09/29 100,000,000 2010/11/01
65157 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 I 0.250 23,100 per 10,000 units 23,300 per 10,000 units 2011/10/28 100,000,000 2010/11/01
65162 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 J 0.250 24,400 per 10,000 units 24,200 per 10,000 units 2011/10/28 100,000,000 2010/11/01
65156 Credit Suisse AG A50 China R Bull CBBC Feb 2011 H 0.250 13.900 14.300 2011/02/28 100,000,000 2010/11/01
65153 Credit Suisse AG HKEx R Bull CBBC Mar 2011 D 0.250 174 per 100 units 180 per 100 units 2011/03/21 100,000,000 2010/11/01
65160 Credit Suisse AG HSI R Bull CBBC Mar 2011 S 0.250 23,200 per 13,000 units 23,700 per 13,000 units 2011/03/30 390,000,000 2010/11/01
65147 Credit Suisse AG HSI R Bear CBBC Feb 2011 J 0.250 24,100 per 13,000 units 23,600 per 13,000 units 2011/02/25 390,000,000 2010/11/01
65150 Deutsche Bank AG HSI R Bull CBBC Feb 2011 B 0.250 21,522 per 16,000 units 21,722 per 16,000 units 2011/02/25 300,000,000 2010/11/01
65151 Deutsche Bank AG HSI R Bull CBBC Feb 2011 M 0.270 22,022 per 11,000 units 22,222 per 11,000 units 2011/02/25 300,000,000 2010/11/01
65155 Deutsche Bank AG HSI R Bear CBBC Feb 2011 C 0.250 25,922 per 16,000 units 25,722 per 16,000 units 2011/02/25 300,000,000 2010/11/01
65149 Deutsche Bank AG HSI R Bear CBBC Feb 2011 I 0.250 23,922 per 16,000 units 23,722 per 16,000 units 2011/02/25 300,000,000 2010/11/01
65154 Deutsche Bank AG HSI R Bear CBBC Feb 2011 L 0.270 25,422 per 11,000 units 25,222 per 11,000 units 2011/02/25 300,000,000 2010/11/01
65171 J P Morgan SP BV HSI R Bull CBBC Feb 2011 P 0.250 23,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 200,000,000 2010/11/01
65172 J P Morgan SP BV HSI R Bull CBBC Feb 2011 Q 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/02/25 200,000,000 2010/11/01
65163 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 R 0.250 25,100 per 12,000 units 24,600 per 12,000 units 2011/02/25 128,000,000 2010/11/01
65152 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11O 0.250 23,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 300,000,000 2010/11/01
65146 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11P 0.250 23,000 per 15,000 units 23,500 per 15,000 units 2011/02/25 300,000,000 2010/11/01
65164 UBS AG ABC R Bull CBBC Feb 2011 A 0.250 3.280 3.580 2011/02/28 100,000,000 2010/11/01
65165 UBS AG ABC R Bull CBBC Feb 2011 B 0.250 3.580 3.880 2011/02/21 100,000,000 2010/11/01
65169 UBS AG ABC R Bear CBBC Feb 2011 C 0.250 4.680 4.380 2011/02/28 100,000,000 2010/11/01
65168 UBS AG ABC R Bear CBBC Mar 2011 A 0.250 4.980 4.680 2011/03/07 100,000,000 2010/11/01
65166 UBS AG BOC HK R Bull CBBC Feb 2011 A 0.250 22.880 23.880 2011/02/28 100,000,000 2010/11/01
65170 UBS AG BOC HK R Bear CBBC Feb 2011 B 0.250 27.380 26.380 2011/02/28 100,000,000 2010/11/01
65159 UBS AG HSI R Bull CBBC Feb 2011 S 0.250 23,200 per 15,000 units 23,700 per 15,000 units 2011/02/25 200,000,000 2010/11/01
65148 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 200,000,000 2010/11/01
65175 Credit Suisse AG HSI R Bull CBBC Apr 2011 L 0.250 23,100 per 15,000 units 23,600 per 15,000 units 2011/04/28 390,000,000 2010/11/02
65174 Credit Suisse AG HSI R Bear CBBC Mar 2011 T 0.250 24,200 per 10,000 units 23,718 per 10,000 units 2011/03/30 300,000,000 2010/11/02
65179 Deutsche Bank AG China Life R Bull CBBC May 2011 A 0.290 33.880 34.880 2011/05/23 100,000,000 2010/11/02
65183 Deutsche Bank AG China Life R Bear CBBC May 2011 B 0.420 38.880 37.880 2011/05/23 100,000,000 2010/11/02
65180 Deutsche Bank AG A50 China R Bull CBBC Apr 2011 A 0.250 12.680 13.180 2011/04/04 100,000,000 2010/11/02
65184 Deutsche Bank AG A50 China R Bear CBBC Apr 2011 B 0.250 16.180 15.680 2011/04/04 100,000,000 2010/11/02
65173 UBS AG HSI R Bull CBBC Feb 2011 R 0.250 23,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 200,000,000 2010/11/02
65177 UBS AG HSI R Bear CBBC Feb 2011 P 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 200,000,000 2010/11/02
65195 Credit Suisse AG HSI R Bull CBBC Apr 2011 M 0.250 23,000 per 10,000 units 23,488 per 10,000 units 2011/04/28 300,000,000 2010/11/03
65214 Credit Suisse AG HSI R Bear CBBC Mar 2011 U 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/03/30 390,000,000 2010/11/03
65216 Credit Suisse AG HSI R Bear CBBC Mar 2011 V 0.250 23,900 per 10,000 units 23,418 per 10,000 units 2011/03/30 300,000,000 2010/11/03
65215 Credit Suisse AG TCH R Bear CBBC Feb 2011 H 0.250 196 per 100 units 188 per 100 units 2011/02/21 100,000,000 2010/11/03
65196 Deutsche Bank AG HSI R Bull CBBC Mar 2011 W 0.250 22,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 300,000,000 2010/11/03
65197 Deutsche Bank AG HSI R Bull CBBC Mar 2011 X 0.250 23,022 per 11,000 units 23,222 per 11,000 units 2011/03/30 300,000,000 2010/11/03
65212 Deutsche Bank AG HSI R Bear CBBC Feb 2011 J 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/02/25 300,000,000 2010/11/03
65213 Deutsche Bank AG HSI R Bear CBBC Feb 2011 Y 0.260 24,000 per 10,000 units 23,500 per 10,000 units 2011/02/25 300,000,000 2010/11/03
65223 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Y 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2011/03/30 300,000,000 2010/11/03
65209 J P Morgan SP BV HSI R Bear CBBC Feb 2011 R 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 200,000,000 2010/11/03
65210 J P Morgan SP BV HSI R Bear CBBC Feb 2011 S 0.250 24,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 200,000,000 2010/11/03
65211 J P Morgan SP BV HSI R Bear CBBC Feb 2011 T 0.250 24,100 per 15,000 units 23,600 per 15,000 units 2011/02/25 200,000,000 2010/11/03
65222 J P Morgan SP BV HSI R Bear CBBC Feb 2011 U 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 200,000,000 2010/11/03
65198 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 W 0.250 22,900 per 8,000 units 23,400 per 8,000 units 2011/02/25 128,000,000 2010/11/03
65199 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 P 0.250 22,700 per 10,000 units 23,200 per 10,000 units 2011/03/30 128,000,000 2010/11/03
65225 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 S 0.250 23,900 per 10,000 units 23,400 per 10,000 units 2011/02/25 128,000,000 2010/11/03
65226 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 Q 0.250 24,100 per 15,000 units 23,600 per 15,000 units 2011/03/30 158,000,000 2010/11/03
65224 RB of Scotland N.V. HSCEI R Bull CBBC Mar 2011 A 0.250 12,000 per 10,000 units 12,500 per 10,000 units 2011/03/30 250,000,000 2010/11/03
65227 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 B 0.250 14,700 per 10,000 units 14,200 per 10,000 units 2011/03/30 250,000,000 2010/11/03
65228 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 C 0.250 15,100 per 10,000 units 14,600 per 10,000 units 2011/03/30 250,000,000 2010/11/03
65181 SGA Societe Generale Acceptance N.V. ABC R Bull CBBC Apr11A 0.250 3.180 3.480 2011/04/27 100,000,000 2010/11/03
65182 SGA Societe Generale Acceptance N.V. ABC R Bull CBBC Apr11B 0.250 3.580 3.880 2011/04/27 100,000,000 2010/11/03
65185 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Apr11A 0.700 29.000 30.000 2011/04/27 100,000,000 2010/11/03
65186 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Apr11B 0.600 30.000 31.000 2011/04/27 100,000,000 2010/11/03
65187 SGA Societe Generale Acceptance N.V CLife R Bull CBBC Apr11C 0.490 31.000 32.000 2011/04/27 100,000,000 2010/11/03
65188 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC Apr11A 0.250 16.400 16.000 2011/04/27 150,000,000 2010/11/03
65201 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11M 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 300,000,000 2010/11/03
65189 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11N 0.250 24,200 per 15,000 units 23,700 per 15,000 units 2011/02/25 300,000,000 2010/11/03
65202 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11A 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 300,000,000 2010/11/03
65203 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11B 0.250 23,900 per 15,000 units 23,400 per 15,000 units 2011/03/30 300,000,000 2010/11/03
65204 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11C 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 300,000,000 2010/11/03
65208 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11D 0.250 24,100 per 10,000 units 23,600 per 10,000 units 2011/03/30 300,000,000 2010/11/03
65190 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11M 0.295 26,600 per 15,000 units 26,100 per 15,000 units 2011/04/28 300,000,000 2010/11/03
65191 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11N 0.380 26,700 per 12,000 units 26,200 per 12,000 units 2011/04/28 300,000,000 2010/11/03
65193 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11O 0.470 26,800 per 10,000 units 26,300 per 10,000 units 2011/04/28 300,000,000 2010/11/03
65217 UBS AG BYD Company R Bull CBBC Mar 2011 A 0.250 40.88 per 100 units 45.88 per 100 units 2011/03/14 100,000,000 2010/11/03
65218 UBS AG China Mobile R Bull CBBC Mar 2011 A 0.250 65.88 per 100 units 68.88 per 100 units 2011/03/14 100,000,000 2010/11/03
65219 UBS AG China Mobile R Bull CBBC Mar 2011 B 0.250 69.88 per 100 units 72.88 per 100 units 2011/03/07 100,000,000 2010/11/03
65200 UBS AG HSI R Bull CBBC Feb 2011 H 0.250 22,900 per 15,000 units 23,400 per 15,000 units 2011/02/25 200,000,000 2010/11/03
65221 UBS AG HSI R Bear CBBC Mar 2011 E 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 200,000,000 2010/11/03
65243 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Oct 2011 K 0.250 23,900 per 10,000 units 23,700 per 10,000 units 2011/10/28 100,000,000 2010/11/04
65244 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Nov 2011 C 0.250 23,800 per 10,000 units 23,600 per 10,000 units 2011/11/29 100,000,000 2010/11/04
65237 Credit Suisse AG HSI R Bull CBBC Apr 2011 N 0.250 22,700 per 10,000 units 23,188 per 10,000 units 2011/04/28 300,000,000 2010/11/04
65234 Credit Suisse AG HSI R Bear CBBC Mar 2011 W 0.250 23,800 per 13,000 units 23,300 per 13,000 units 2011/03/30 390,000,000 2010/11/04
65231 Credit Suisse AG TCH R Bear CBBC Mar 2011 E 0.250 188 per 100 units 180 per 100 units 2011/03/21 100,000,000 2010/11/04
65241 Deutsche Bank AG HSI R Bear CBBC Mar 2011 H 0.250 24,050 per 15,000 units 23,550 per 15,000 units 2011/03/30 300,000,000 2010/11/04
65240 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Z 0.260 23,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 300,000,000 2010/11/04
65249 J P Morgan SP BV HSI R Bull CBBC Feb 2011 V 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 200,000,000 2010/11/04
65230 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 R 0.250 23,700 per 10,000 units 23,200 per 10,000 units 2011/03/30 128,000,000 2010/11/04
65248 UBS AG A50 China R Bear CBBC Feb 2011 H 0.250 14.900 14.500 2011/02/28 100,000,000 2010/11/04
65247 UBS AG HKEx R Bear CBBC Mar 2011 F 0.250 184.88 per 100 units 178.88 per 100 units 2011/03/07 100,000,000 2010/11/04
65246 UBS AG HSI R Bull CBBC Feb 2011 C 0.250 22,700 per 12,000 units 23,200 per 12,000 units 2011/02/25 200,000,000 2010/11/04
65250 UBS AG HSI R Bear CBBC Feb 2011 E 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 200,000,000 2010/11/04
65251 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 L 0.250 21,500 per 10,000 units 21,700 per 10,000 units 2011/10/28 100,000,000 2010/11/05
65253 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 M 0.250 22,300 per 10,000 units 22,500 per 10,000 units 2011/10/28 100,000,000 2010/11/05
65255 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 H 0.250 23,500 per 10,000 units 23,300 per 10,000 units 2011/04/28 100,000,000 2010/11/05
65276 Credit Suisse AG A50 China R Bear CBBC Feb 2011 I 0.250 14.200 13.800 2011/02/28 100,000,000 2010/11/05
65277 Credit Suisse AG A50 China R Bear CBBC Mar 2011 C 0.250 14.700 14.300 2011/03/21 100,000,000 2010/11/05
65275 Credit Suisse AG HKEx R Bear CBBC Mar 2011 E 0.250 181 per 100 units 175 per 100 units 2011/03/21 100,000,000 2010/11/05
65274 Credit Suisse AG HSBC R Bear CBBC Feb 2011 A 0.250 88 per 100 units 83 per 100 units 2011/02/21 100,000,000 2010/11/05
65260 Credit Suisse AG HSI R Bull CBBC Apr 2011 O 0.250 22,600 per 13,000 units 23,100 per 13,000 units 2011/04/28 390,000,000 2010/11/05
65269 Credit Suisse AG HSI R Bear CBBC Mar 2011 X 0.250 23,600 per 10,000 units 23,118 per 10,000 units 2011/03/30 300,000,000 2010/11/05
65273 Credit Suisse AG HSI R Bear CBBC Mar 2011 Y 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 390,000,000 2010/11/05
65261 Deutsche Bank AG HSI R Bull CBBC Mar 2011 F 0.290 21,022 per 11,000 units 21,222 per 11,000 units 2011/03/30 300,000,000 2010/11/05
65265 Deutsche Bank AG HSI R Bull CBBC Mar 2011 I 0.260 22,400 per 10,000 units 22,900 per 10,000 units 2011/03/30 300,000,000 2010/11/05
65262 Deutsche Bank AG HSI R Bull CBBC Mar 2011 K 0.250 21,422 per 11,000 units 21,622 per 11,000 units 2011/03/30 300,000,000 2010/11/05
65266 Deutsche Bank AG HSI R Bull CBBC Mar 2011 M 0.250 22,600 per 10,000 units 23,100 per 10,000 units 2011/03/30 300,000,000 2010/11/05
65283 Deutsche Bank AG HSI R Bear CBBC Feb 2011 A 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/02/25 300,000,000 2010/11/05
65263 Deutsche Bank AG HSI R Bear CBBC Feb 2011 F 0.250 23,422 per 11,000 units 23,222 per 11,000 units 2011/02/25 300,000,000 2010/11/05
65264 Deutsche Bank AG HSI R Bear CBBC Feb 2011 H 0.290 23,822 per 11,000 units 23,622 per 11,000 units 2011/02/25 300,000,000 2010/11/05
65258 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2011 A 0.250 24,100 per 14,000 units 23,600 per 14,000 units 2011/05/30 200,000,000 2010/11/05
65282 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 S 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/03/30 128,000,000 2010/11/05
65286 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 T 0.250 23,800 per 8,000 units 23,300 per 8,000 units 2011/03/30 128,000,000 2010/11/05
65288 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 U 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 128,000,000 2010/11/05
65281 RB of Scotland N.V. A50 China R Bull CBBC Mar 2011 A 0.252 12.280 12.780 2011/03/07 80,000,000 2010/11/05
65285 RB of Scotland N.V. A50 China R Bear CBBC Mar 2011 B 0.253 15.480 14.980 2011/03/07 80,000,000 2010/11/05
65268 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11L 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/02/25 300,000,000 2010/11/05
65267 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11E 0.250 22,400 per 15,000 units 22,900 per 15,000 units 2011/03/30 300,000,000 2010/11/05
65271 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11F 0.250 23,600 per 15,000 units 23,100 per 15,000 units 2011/03/30 300,000,000 2010/11/05
65272 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11G 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2011/03/30 300,000,000 2010/11/05
65280 UBS AG China Life R Bear CBBC Mar 2011 E 0.295 36.880 35.880 2011/03/07 100,000,000 2010/11/05
65256 UBS AG HSI R Bull CBBC Mar 2011 K 0.250 22,600 per 15,000 units 23,100 per 15,000 units 2011/03/30 200,000,000 2010/11/05
65279 UBS AG HSI R Bear CBBC Mar 2011 O 0.250 24,700 per 12,000 units 24,200 per 12,000 units 2011/03/30 200,000,000 2010/11/05
65341 Credit Suisse AG A50 China R Bull CBBC Mar 2011 D 0.250 13.700 14.100 2011/03/21 100,000,000 2010/11/08
65340 Credit Suisse AG HKEx R Bull CBBC Feb 2011 K 0.250 164 per 100 units 170 per 100 units 2011/02/21 100,000,000 2010/11/08
65301 Credit Suisse AG HSI R Bull CBBC Apr 2011 P 0.250 22,900 per 13,000 units 23,400 per 13,000 units 2011/04/28 390,000,000 2010/11/08
65303 Credit Suisse AG HSI R Bull CBBC May 2011 A 0.250 22,500 per 15,000 units 23,000 per 15,000 units 2011/05/30 390,000,000 2010/11/08
65300 Credit Suisse AG HSI R Bear CBBC Mar 2011 J 0.250 24,100 per 13,000 units 23,600 per 13,000 units 2011/03/30 390,000,000 2010/11/08
65289 Credit Suisse AG HSI R Bear CBBC Mar 2011 Z 0.250 23,700 per 13,000 units 23,200 per 13,000 units 2011/03/30 390,000,000 2010/11/08
65344 Credit Suisse AG TCH R Bull CBBC Mar 2011 F 0.250 172 per 100 units 180 per 100 units 2011/03/21 100,000,000 2010/11/08
65304 Deutsche Bank AG HSI R Bull CBBC Mar 2011 J 0.320 21,722 per 11,000 units 21,922 per 11,000 units 2011/03/30 300,000,000 2010/11/08
65306 Deutsche Bank AG HSI R Bull CBBC Apr 2011 M 0.310 22,422 per 11,000 units 22,622 per 11,000 units 2011/04/28 300,000,000 2010/11/08
65308 Deutsche Bank AG HSI R Bull CBBC Apr 2011 N 0.280 22,722 per 11,000 units 22,922 per 11,000 units 2011/04/28 300,000,000 2010/11/08
65309 Deutsche Bank AG HSI R Bear CBBC Apr 2011 O 0.250 24,122 per 11,000 units 23,922 per 11,000 units 2011/04/28 300,000,000 2010/11/08
65313 Deutsche Bank AG HSI R Bear CBBC Apr 2011 P 0.320 24,822 per 11,000 units 24,622 per 11,000 units 2011/04/28 300,000,000 2010/11/08
65347 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 B 0.250 22,400 per 9,000 units 22,900 per 9,000 units 2011/05/30 200,000,000 2010/11/08
65352 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 C 0.250 22,700 per 10,000 units 23,200 per 10,000 units 2011/05/30 200,000,000 2010/11/08
65353 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 D 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/05/30 200,000,000 2010/11/08
65314 J P Morgan SP BV HSI R Bull CBBC Feb 2011 W 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 200,000,000 2010/11/08
65323 J P Morgan SP BV HSI R Bull CBBC Feb 2011 X 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/02/25 200,000,000 2010/11/08
65345 RB of Scotland N.V. HSCEI R Bull CBBC Mar 2011 D 0.250 12,300 per 10,000 units 12,800 per 10,000 units 2011/03/30 250,000,000 2010/11/08
65346 RB of Scotland N.V. HSCEI R Bull CBBC Mar 2011 E 0.250 12,500 per 10,000 units 13,000 per 10,000 units 2011/03/30 250,000,000 2010/11/08
65351 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 F 0.250 14,900 per 10,000 units 14,400 per 10,000 units 2011/03/30 250,000,000 2010/11/08
65292 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11O 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 300,000,000 2010/11/08
65291 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11P 0.250 22,600 per 10,000 units 23,100 per 10,000 units 2011/02/25 300,000,000 2010/11/08
65293 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11H 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/03/30 300,000,000 2010/11/08
65299 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11I 0.250 23,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 300,000,000 2010/11/08
65330 UBS AG China Life R Bull CBBC Mar 2011 F 0.250 32.880 33.880 2011/03/14 100,000,000 2010/11/08
65332 UBS AG HKEx R Bull CBBC Mar 2011 G 0.250 162.88 per 100 units 168.88 per 100 units 2011/03/07 100,000,000 2010/11/08
65324 UBS AG HSI R Bull CBBC Mar 2011 P 0.250 23,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 200,000,000 2010/11/08
65290 UBS AG HSI R Bear CBBC Feb 2011 S 0.250 23,900 per 10,000 units 23,400 per 10,000 units 2011/02/25 200,000,000 2010/11/08
65354 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 D 0.250 22,200 per 10,000 units 22,400 per 10,000 units 2011/11/29 100,000,000 2010/11/09
65358 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 E 0.250 22,400 per 10,000 units 22,600 per 10,000 units 2011/11/29 100,000,000 2010/11/09
65359 Credit Suisse AG HSI R Bull CBBC Apr 2011 Q 0.250 22,400 per 10,000 units 22,888 per 10,000 units 2011/04/28 300,000,000 2010/11/09
65360 Credit Suisse AG HSI R Bull CBBC Apr 2011 R 0.250 23,100 per 15,000 units 23,600 per 15,000 units 2011/04/28 390,000,000 2010/11/09
65361 Credit Suisse AG HSI R Bull CBBC May 2011 B 0.250 22,800 per 15,000 units 23,300 per 15,000 units 2011/05/30 390,000,000 2010/11/09
65374 Credit Suisse AG HSI R Bear CBBC Mar 2011 O 0.250 24,200 per 10,000 units 23,718 per 10,000 units 2011/03/30 300,000,000 2010/11/09
65365 Deutsche Bank AG HSI R Bull CBBC Mar 2011 U 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 300,000,000 2010/11/09
65367 Deutsche Bank AG HSI R Bull CBBC Apr 2011 Q 0.300 22,500 per 12,000 units 23,000 per 12,000 units 2011/04/28 300,000,000 2010/11/09
65368 Deutsche Bank AG HSI R Bull CBBC Apr 2011 R 0.290 22,800 per 10,000 units 23,300 per 10,000 units 2011/04/28 300,000,000 2010/11/09
65371 Deutsche Bank AG HSI R Bear CBBC Feb 2011 V 0.250 24,500 per 12,000 units 24,000 per 12,000 units 2011/02/25 300,000,000 2010/11/09
65399 Deutsche Bank AG HSI R Bear CBBC Apr 2011 S 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2011/04/28 300,000,000 2010/11/09
65397 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 V 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 128,000,000 2010/11/09
65390 UBS AG CC Bank R Bull CBBC Mar 2011 A 0.250 7.080 7.380 2011/03/14 100,000,000 2010/11/09
65377 UBS AG HSI R Bull CBBC Feb 2011 R 0.250 23,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 200,000,000 2010/11/09
65389 UBS AG HSI R Bull CBBC Mar 2011 D 0.250 22,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 200,000,000 2010/11/09
65391 UBS AG HSI R Bear CBBC Feb 2011 P 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2011/02/25 200,000,000 2010/11/09
65157 # BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 I 0.134 23,100 per 10,000 units 23,300 per 10,000 units 2011/10/28 100,000,000 2010/11/09
64396 # UBS AG China Mobile R Bull CBBC Feb 2011 A 0.091 72.88 per 100 units 76.88 per 100 units 2011/02/07 150,000,000 2010/11/09
64574 # UBS AG HSI R Bear CBBC Mar 2011 R 0.068 25,500 per 15,000 units 25,000 per 15,000 units 2011/03/30 200,000,000 2010/11/09
65480 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 J 0.250 23,300 per 10,000 units 23,500 per 10,000 units 2011/09/29 100,000,000 2010/11/10
65481 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Sep 2011 K 0.250 23,500 per 10,000 units 23,700 per 10,000 units 2011/09/29 100,000,000 2010/11/10
65482 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 N 0.250 23,200 per 10,000 units 23,400 per 10,000 units 2011/10/28 100,000,000 2010/11/10
65483 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 F 0.250 22,800 per 10,000 units 23,000 per 10,000 units 2011/11/29 100,000,000 2010/11/10
65484 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 I 0.250 25,400 per 10,000 units 25,200 per 10,000 units 2011/04/28 100,000,000 2010/11/10
65485 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 J 0.250 25,600 per 10,000 units 25,400 per 10,000 units 2011/04/28 100,000,000 2010/11/10
65486 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 K 0.250 25,900 per 10,000 units 25,700 per 10,000 units 2011/04/28 100,000,000 2010/11/10
65453 Credit Suisse AG HSI R Bull CBBC Apr 2011 S 0.250 23,600 per 10,000 units 24,088 per 10,000 units 2011/04/28 300,000,000 2010/11/10
65459 Credit Suisse AG HSI R Bull CBBC May 2011 C 0.250 23,200 per 13,000 units 23,700 per 13,000 units 2011/05/30 390,000,000 2010/11/10
65407 Credit Suisse AG HSI R Bear CBBC Feb 2011 J 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/02/25 390,000,000 2010/11/10
65464 Credit Suisse AG SHK Ppt R Bear CBBC Mar 2011 A 0.300 170 per 100 units 163 per 100 units 2011/03/21 100,000,000 2010/11/10
65431 Deutsche Bank AG HSI R Bull CBBC Feb 2011 R 0.250 23,600 per 10,000 units 24,100 per 10,000 units 2011/02/25 300,000,000 2010/11/10
65432 Deutsche Bank AG HSI R Bull CBBC Mar 2011 S 0.250 23,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 300,000,000 2010/11/10
65433 Deutsche Bank AG HSI R Bull CBBC Apr 2011 T 0.340 23,000 per 10,000 units 23,500 per 10,000 units 2011/04/28 300,000,000 2010/11/10
65434 Deutsche Bank AG HSI R Bull CBBC Apr 2011 U 0.270 23,722 per 11,000 units 23,922 per 11,000 units 2011/04/28 300,000,000 2010/11/10
65490 Deutsche Bank AG HSI R Bull CBBC Apr 2011 V 0.250 23,422 per 11,000 units 23,622 per 11,000 units 2011/04/28 300,000,000 2010/11/10
65421 Deutsche Bank AG HSI R Bear CBBC Mar 2011 T 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 300,000,000 2010/11/10
65491 Deutsche Bank AG HSI R Bear CBBC Apr 2011 W 0.320 25,822 per 11,000 units 25,622 per 11,000 units 2011/04/28 300,000,000 2010/11/10
65492 Deutsche Bank AG HSI R Bear CBBC May 2011 K 0.280 25,122 per 11,000 units 24,922 per 11,000 units 2011/05/30 300,000,000 2010/11/10
65468 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 C 0.250 23,300 per 10,000 units 23,800 per 10,000 units 2011/02/25 128,000,000 2010/11/10
65469 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 W 0.250 23,500 per 10,000 units 24,000 per 10,000 units 2011/03/30 128,000,000 2010/11/10
65471 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 H 0.250 22,800 per 15,000 units 23,300 per 15,000 units 2011/04/28 158,000,000 2010/11/10
65474 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 A 0.250 25,300 per 15,000 units 24,800 per 15,000 units 2011/03/30 250,000,000 2010/11/10
65478 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 B 0.250 25,700 per 13,000 units 25,200 per 13,000 units 2011/03/30 250,000,000 2010/11/10
65402 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Apr11B 0.250 12.600 13.000 2011/04/27 150,000,000 2010/11/10
65403 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC Apr11C 0.250 13.100 13.500 2011/04/27 150,000,000 2010/11/10
65401 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11J 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 300,000,000 2010/11/10
65422 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11K 0.250 23,200 per 10,000 units 23,700 per 10,000 units 2011/03/30 300,000,000 2010/11/10
65423 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11L 0.250 23,300 per 15,000 units 23,800 per 15,000 units 2011/03/30 300,000,000 2010/11/10
65424 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11M 0.250 23,400 per 12,000 units 23,900 per 12,000 units 2011/03/30 300,000,000 2010/11/10
65426 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11N 0.250 23,500 per 10,000 units 24,000 per 10,000 units 2011/03/30 300,000,000 2010/11/10
65427 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11O 0.250 23,600 per 15,000 units 24,100 per 15,000 units 2011/03/30 300,000,000 2010/11/10
65429 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11P 0.275 26,900 per 15,000 units 26,400 per 15,000 units 2011/04/28 300,000,000 2010/11/10
65430 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11Q 0.355 27,000 per 12,000 units 26,500 per 12,000 units 2011/04/28 300,000,000 2010/11/10
65466 UBS AG Cheung Kong R Bear CBBC Mar 2011 B 0.250 141.88 per 100 units 133.88 per 100 units 2011/03/14 100,000,000 2010/11/10
65435 UBS AG HSI R Bull CBBC Feb 2011 J 0.250 23,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 200,000,000 2010/11/10
65436 UBS AG HSI R Bull CBBC Mar 2011 F 0.250 23,600 per 12,000 units 24,100 per 12,000 units 2011/03/30 200,000,000 2010/11/10
65408 UBS AG HSI R Bear CBBC Feb 2011 N 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/02/25 200,000,000 2010/11/10
65452 UBS AG HSI R Bear CBBC Mar 2011 C 0.250 26,800 per 12,000 units 26,300 per 12,000 units 2011/03/30 200,000,000 2010/11/10
65416 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 24,500 per 10,000 units 24,000 per 10,000 units 2011/03/30 200,000,000 2010/11/10
65438 UBS AG HSI R Bear CBBC Apr 2011 T 0.250 27,100 per 12,000 units 26,600 per 12,000 units 2011/04/28 200,000,000 2010/11/10
65450 UBS AG HSI R Bear CBBC Apr 2011 U 0.275 27,400 per 12,000 units 26,900 per 12,000 units 2011/04/28 200,000,000 2010/11/10
65451 UBS AG HSI R Bear CBBC Apr 2011 V 0.300 27,700 per 12,000 units 27,200 per 12,000 units 2011/04/28 200,000,000 2010/11/10
65467 UBS AG SHK Ppt R Bear CBBC Mar 2011 A 0.250 161.88 per 100 units 153.88 per 100 units 2011/03/07 100,000,000 2010/11/10
64919 # Credit Suisse AG HSI R Bear CBBC Mar 2011 M 0.094 26,100 per 15,000 units 25,600 per 15,000 units 2011/03/30 390,000,000 2010/11/10
65114 # Deutsche Bank AG HSI R Bear CBBC Aug 2011 A 0.150 27,450 per 20,000 units 26,950 per 20,000 units 2011/08/30 400,000,000 2010/11/10
64674 # KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 I 0.081 26,000 per 15,000 units 25,500 per 15,000 units 2011/03/30 130,000,000 2010/11/10
64242 # UBS AG HSBC R Bull CBBC Jan 2011 A 0.146 73.88 per 100 units 78.88 per 100 units 2011/01/24 100,000,000 2010/11/10
65200 # UBS AG HSI R Bull CBBC Feb 2011 H 0.136 22,900 per 15,000 units 23,400 per 15,000 units 2011/02/25 300,000,000 2010/11/10
65545 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 G 0.250 23,400 per 10,000 units 23,600 per 10,000 units 2011/11/29 200,000,000 2010/11/11
65546 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 H 0.250 23,600 per 10,000 units 23,800 per 10,000 units 2011/11/29 200,000,000 2010/11/11
65550 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 I 0.250 23,700 per 10,000 units 23,900 per 10,000 units 2011/11/29 200,000,000 2010/11/11
65551 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 J 0.250 23,800 per 10,000 units 24,000 per 10,000 units 2011/11/29 200,000,000 2010/11/11
65553 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 A 0.250 23,000 per 10,000 units 23,200 per 10,000 units 2011/12/29 200,000,000 2010/11/11
65555 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 L 0.250 25,100 per 10,000 units 24,900 per 10,000 units 2011/04/28 200,000,000 2010/11/11
65556 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 M 0.250 25,300 per 10,000 units 25,100 per 10,000 units 2011/04/28 200,000,000 2010/11/11
65557 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 N 0.250 25,500 per 10,000 units 25,300 per 10,000 units 2011/04/28 200,000,000 2010/11/11
65523 Credit Suisse AG China Mobile R Bull CBBC Mar 2011 A 0.250 77 per 100 units 80 per 100 units 2011/03/21 100,000,000 2010/11/11
65513 Credit Suisse AG CK(H) R Bear CBBC Mar 2011 B 0.250 150 per 100 units 143 per 100 units 2011/03/21 100,000,000 2010/11/11
65524 Credit Suisse AG A50 China R Bear CBBC Apr 2011 A 0.285 17.200 16.800 2011/04/26 100,000,000 2010/11/11
65522 Credit Suisse AG HKEx R Bull CBBC Mar 2011 F 0.250 174 per 100 units 180 per 100 units 2011/03/21 100,000,000 2010/11/11
65517 Credit Suisse AG HSI R Bull CBBC Apr 2011 T 0.250 23,300 per 10,000 units 23,788 per 10,000 units 2011/04/28 300,000,000 2010/11/11
65520 Credit Suisse AG HSI R Bull CBBC Apr 2011 U 0.250 24,000 per 15,000 units 24,500 per 15,000 units 2011/04/28 390,000,000 2010/11/11
65558 Credit Suisse AG HSI R Bull CBBC Apr 2011 W 0.250 23,800 per 13,000 units 24,300 per 13,000 units 2011/04/28 390,000,000 2010/11/11
65521 Credit Suisse AG HSI R Bull CBBC May 2011 D 0.250 23,500 per 13,000 units 24,000 per 13,000 units 2011/05/30 390,000,000 2010/11/11
65559 Credit Suisse AG HSI R Bear CBBC Feb 2011 L 0.250 24,900 per 15,000 units 24,400 per 15,000 units 2011/02/25 390,000,000 2010/11/11
65496 Credit Suisse AG HSI R Bear CBBC Feb 2011 Y 0.250 24,700 per 13,000 units 24,200 per 13,000 units 2011/02/25 390,000,000 2010/11/11
65526 Credit Suisse AG HSI R Bear CBBC Mar 2011 Q 0.250 26,800 per 13,000 units 26,300 per 13,000 units 2011/03/30 390,000,000 2010/11/11
65527 Credit Suisse AG HSI R Bear CBBC Mar 2011 R 0.250 27,900 per 15,000 units 27,400 per 15,000 units 2011/03/30 390,000,000 2010/11/11
65538 Credit Suisse AG HSI R Bear CBBC Apr 2011 V 0.250 26,600 per 10,000 units 26,118 per 10,000 units 2011/04/28 300,000,000 2010/11/11
65530 Credit Suisse AG HSI R Bear CBBC May 2011 E 0.260 26,900 per 10,000 units 26,418 per 10,000 units 2011/05/30 300,000,000 2010/11/11
65531 Credit Suisse AG HSI R Bear CBBC May 2011 F 0.250 27,300 per 15,000 units 26,800 per 15,000 units 2011/05/30 390,000,000 2010/11/11
65532 Credit Suisse AG HSI R Bear CBBC May 2011 G 0.300 28,800 per 15,000 units 28,300 per 15,000 units 2011/05/30 390,000,000 2010/11/11
65535 Credit Suisse AG HSI R Bear CBBC Jun 2011 A 0.250 26,700 per 15,000 units 26,200 per 15,000 units 2011/06/29 390,000,000 2010/11/11
65536 Credit Suisse AG HSI R Bear CBBC Jun 2011 B 0.250 27,100 per 13,000 units 26,600 per 13,000 units 2011/06/29 390,000,000 2010/11/11
65537 Credit Suisse AG HSI R Bear CBBC Jun 2011 C 0.260 28,200 per 15,000 units 27,700 per 15,000 units 2011/06/29 390,000,000 2010/11/11
65529 Credit Suisse AG HSI R Bear CBBC Jun 2011 D 0.360 29,700 per 15,000 units 29,200 per 15,000 units 2011/06/29 390,000,000 2010/11/11
65617 Deutsche Bank AG HSI R Bull CBBC Feb 2011 E 0.250 24,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 300,000,000 2010/11/11
65511 Deutsche Bank AG HSI R Bull CBBC Mar 2011 Y 0.250 23,900 per 12,000 units 24,400 per 12,000 units 2011/03/30 300,000,000 2010/11/11
65512 Deutsche Bank AG HSI R Bull CBBC Apr 2011 Y 0.290 24,022 per 11,000 units 24,222 per 11,000 units 2011/04/28 300,000,000 2010/11/11
65498 Deutsche Bank AG HSI R Bear CBBC Mar 2011 R 0.250 24,900 per 12,000 units 24,400 per 12,000 units 2011/03/30 300,000,000 2010/11/11
65499 Deutsche Bank AG HSI R Bear CBBC Apr 2011 X 0.260 24,422 per 11,000 units 24,222 per 11,000 units 2011/04/28 300,000,000 2010/11/11
65618 Deutsche Bank AG HSI R Bear CBBC May 2011 L 0.350 26,000 per 10,000 units 25,500 per 10,000 units 2011/05/30 300,000,000 2010/11/11
65619 Deutsche Bank AG HSI R Bear CBBC May 2011 M 0.370 26,500 per 12,000 units 26,000 per 12,000 units 2011/05/30 300,000,000 2010/11/11
65620 Deutsche Bank AG HSI R Bear CBBC Jun 2011 E 0.380 26,422 per 11,000 units 26,222 per 11,000 units 2011/06/29 300,000,000 2010/11/11
65621 Deutsche Bank AG HSI R Bear CBBC Jun 2011 F 0.410 26,600 per 10,000 units 26,100 per 10,000 units 2011/06/29 300,000,000 2010/11/11
65622 Deutsche Bank AG HSI R Bear CBBC Jun 2011 G 0.450 27,000 per 10,000 units 26,500 per 10,000 units 2011/06/29 300,000,000 2010/11/11
65623 Deutsche Bank AG HSI R Bear CBBC Jul 2011 E 0.410 26,822 per 11,000 units 26,622 per 11,000 units 2011/07/28 300,000,000 2010/11/11
65624 Deutsche Bank AG HSI R Bear CBBC Jul 2011 F 0.430 27,300 per 12,000 units 26,800 per 12,000 units 2011/07/28 300,000,000 2010/11/11
65625 Deutsche Bank AG HSI R Bear CBBC Aug 2011 B 0.460 27,500 per 12,000 units 27,000 per 12,000 units 2011/08/30 300,000,000 2010/11/11
65626 Deutsche Bank AG HSI R Bear CBBC Aug 2011 C 0.450 28,050 per 15,000 units 27,550 per 15,000 units 2011/08/30 300,000,000 2010/11/11
65628 Deutsche Bank AG HSI R Bear CBBC Sep 2011 C 0.410 28,450 per 20,000 units 27,950 per 20,000 units 2011/09/29 300,000,000 2010/11/11
65630 Deutsche Bank AG HSI R Bear CBBC Sep 2011 D 0.550 28,500 per 12,000 units 28,000 per 12,000 units 2011/09/29 300,000,000 2010/11/11
65631 Deutsche Bank AG HSI R Bear CBBC Oct 2011 A 0.500 28,650 per 15,000 units 28,150 per 15,000 units 2011/10/28 300,000,000 2010/11/11
65632 Deutsche Bank AG HSI R Bear CBBC Oct 2011 B 0.320 29,250 per 40,000 units 28,750 per 40,000 units 2011/10/28 300,000,000 2010/11/11
65502 HK Bank HSI R Bull CBBC Jun 2011 F 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/06/29 100,000,000 2010/11/11
65509 HK Bank HSI R Bull CBBC Jun 2011 G 0.250 23,388 per 15,000 units 23,888 per 15,000 units 2011/06/29 100,000,000 2010/11/11
65510 HK Bank HSI R Bull CBBC Jun 2011 H 0.250 23,700 per 10,000 units 24,200 per 10,000 units 2011/06/29 100,000,000 2010/11/11
65514 HK Bank HSI R Bear CBBC Jun 2011 I 0.280 27,100 per 10,000 units 26,518 per 10,000 units 2011/06/29 100,000,000 2010/11/11
65515 HK Bank HSI R Bear CBBC Jun 2011 J 0.250 27,400 per 12,000 units 26,800 per 12,000 units 2011/06/29 100,000,000 2010/11/11
65516 HK Bank HSI R Bear CBBC Jun 2011 K 0.250 27,700 per 20,000 units 27,100 per 20,000 units 2011/06/29 100,000,000 2010/11/11
65501 J P Morgan SP BV HSI R Bull CBBC Feb 2011 C 0.250 23,900 per 13,000 units 24,400 per 13,000 units 2011/02/25 200,000,000 2010/11/11
65500 J P Morgan SP BV HSI R Bull CBBC Feb 2011 D 0.250 23,700 per 15,000 units 24,200 per 15,000 units 2011/02/25 200,000,000 2010/11/11
65495 J P Morgan SP BV HSI R Bull CBBC Feb 2011 E 0.250 23,500 per 12,000 units 24,000 per 12,000 units 2011/02/25 200,000,000 2010/11/11
65560 J P Morgan SP BV HSI R Bull CBBC Feb 2011 O 0.250 24,000 per 15,000 units 24,500 per 15,000 units 2011/02/25 200,000,000 2010/11/11
65493 J P Morgan SP BV HSI R Bull CBBC Feb 2011 Y 0.250 22,500 per 10,000 units 23,000 per 10,000 units 2011/02/25 200,000,000 2010/11/11
65494 J P Morgan SP BV HSI R Bull CBBC Feb 2011 Z 0.250 23,300 per 15,000 units 23,800 per 15,000 units 2011/02/25 200,000,000 2010/11/11
65561 J P Morgan SP BV HSI R Bear CBBC Mar 2011 B 0.250 27,000 per 15,000 units 26,500 per 15,000 units 2011/03/30 200,000,000 2010/11/11
65564 J P Morgan SP BV HSI R Bear CBBC Mar 2011 C 0.250 27,500 per 38,000 units 27,000 per 38,000 units 2011/03/30 200,000,000 2010/11/11
65580 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 X 0.250 23,900 per 12,000 units 24,400 per 12,000 units 2011/03/30 128,000,000 2010/11/11
65585 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 Y 0.250 24,000 per 8,000 units 24,500 per 8,000 units 2011/03/30 128,000,000 2010/11/11
65586 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 I 0.250 23,700 per 15,000 units 24,200 per 15,000 units 2011/04/28 158,000,000 2010/11/11
65589 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 C 0.280 27,300 per 10,000 units 26,800 per 10,000 units 2011/03/30 128,000,000 2010/11/11
65588 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 Z 0.250 27,000 per 12,000 units 26,500 per 12,000 units 2011/03/30 128,000,000 2010/11/11
65591 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 J 0.250 26,900 per 10,000 units 26,400 per 10,000 units 2011/04/28 128,000,000 2010/11/11
65592 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 K 0.330 27,100 per 8,000 units 26,600 per 8,000 units 2011/04/28 128,000,000 2010/11/11
65593 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 A 0.250 26,700 per 15,000 units 26,200 per 15,000 units 2011/05/30 158,000,000 2010/11/11
65596 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 B 0.250 27,500 per 20,000 units 27,000 per 20,000 units 2011/05/30 158,000,000 2010/11/11
65539 Macquarie Bank Ltd. HSI R Bull CBBC Mar 2011 B 0.160 22,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 200,000,000 2010/11/11
65540 Macquarie Bank Ltd. HSI R Bear CBBC Mar 2011 C 0.150 26,100 per 15,000 units 25,600 per 15,000 units 2011/03/30 200,000,000 2010/11/11
65575 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 L 0.250 23,150 per 11,000 units 23,600 per 11,000 units 2011/04/28 150,000,000 2010/11/11
65576 CC Rabobank B.A. HSI R Bull CBBC Apr 2011 M 0.250 23,550 per 11,000 units 24,000 per 11,000 units 2011/04/28 150,000,000 2010/11/11
65577 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 N 0.250 26,450 per 11,000 units 26,000 per 11,000 units 2011/04/28 150,000,000 2010/11/11
65579 CC Rabobank B.A. HSI R Bear CBBC Apr 2011 O 0.250 26,050 per 11,000 units 25,600 per 11,000 units 2011/04/28 150,000,000 2010/11/11
65565 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 C 0.250 26,100 per 13,000 units 25,600 per 13,000 units 2011/03/30 250,000,000 2010/11/11
65597 UBS AG HKEx R Bull CBBC Mar 2011 H 0.250 172.88 per 100 units 178.88 per 100 units 2011/03/14 100,000,000 2010/11/11
65598 UBS AG HSBC R Bull CBBC Feb 2011 C 0.250 75 per 100 units 80 per 100 units 2011/02/28 100,000,000 2010/11/11
65600 UBS AG HSCEI R Bull CBBC Feb 2011 H 0.250 13,100 per 12,000 units 13,500 per 12,000 units 2011/02/25 100,000,000 2010/11/11
65601 UBS AG HSCEI R Bull CBBC Mar 2011 G 0.250 12,600 per 12,000 units 13,000 per 12,000 units 2011/03/30 100,000,000 2010/11/11
65602 UBS AG HSI R Bull CBBC Feb 2011 E 0.250 24,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 200,000,000 2010/11/11
65603 UBS AG HSI R Bull CBBC Mar 2011 B 0.250 23,500 per 15,000 units 24,000 per 15,000 units 2011/03/30 200,000,000 2010/11/11
65604 UBS AG HSI R Bull CBBC Mar 2011 Q 0.250 23,800 per 15,000 units 24,300 per 15,000 units 2011/03/30 200,000,000 2010/11/11
65605 UBS AG HSI R Bull CBBC Apr 2011 W 0.250 23,300 per 12,000 units 23,800 per 12,000 units 2011/04/28 200,000,000 2010/11/11
65610 UBS AG HSI R Bull CBBC May 2011 B 0.250 22,800 per 38,000 units 23,300 per 38,000 units 2011/05/30 300,000,000 2010/11/11
65497 UBS AG HSI R Bear CBBC Feb 2011 L 0.250 24,800 per 10,000 units 24,300 per 10,000 units 2011/02/25 200,000,000 2010/11/11
65613 UBS AG HSI R Bear CBBC May 2011 C 0.300 29,000 per 15,000 units 28,500 per 15,000 units 2011/05/30 200,000,000 2010/11/11
65667 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 O 0.250 23,900 per 10,000 units 24,100 per 10,000 units 2011/10/28 200,000,000 2010/11/12
65668 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 P 0.250 24,000 per 10,000 units 24,200 per 10,000 units 2011/10/28 200,000,000 2010/11/12
65669 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 Q 0.250 24,200 per 10,000 units 24,400 per 10,000 units 2011/10/28 200,000,000 2010/11/12
65670 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 O 0.250 25,700 per 10,000 units 25,500 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65673 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 P 0.250 25,800 per 10,000 units 25,600 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65679 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 Q 0.250 26,000 per 10,000 units 25,800 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65680 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 R 0.250 26,100 per 10,000 units 25,900 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65681 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 S 0.250 26,300 per 10,000 units 26,100 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65682 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 T 0.250 26,800 per 10,000 units 26,600 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65687 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 U 0.250 27,000 per 10,000 units 26,800 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65760 Credit Suisse AG A50 China R Bull CBBC Feb 2011 J 0.250 14.200 14.600 2011/02/28 100,000,000 2010/11/12
65759 Credit Suisse AG HKEx R Bull CBBC Feb 2011 L 0.250 184 per 100 units 190 per 100 units 2011/02/28 100,000,000 2010/11/12
65757 Credit Suisse AG HSBC R Bull CBBC Mar 2011 B 0.250 81 per 100 units 85 per 100 units 2011/03/21 100,000,000 2010/11/12
65761 Credit Suisse AG HSBC R Bear CBBC Apr 2011 A 0.250 109 per 100 units 105 per 100 units 2011/04/26 100,000,000 2010/11/12
65762 Credit Suisse AG HSI R Bull CBBC Apr 2011 X 0.250 24,300 per 15,000 units 24,800 per 15,000 units 2011/04/28 390,000,000 2010/11/12
65763 Credit Suisse AG HSI R Bull CBBC May 2011 L 0.250 23,400 per 15,000 units 23,900 per 15,000 units 2011/05/30 390,000,000 2010/11/12
65764 Credit Suisse AG HSI R Bull CBBC May 2011 M 0.250 23,900 per 10,000 units 24,388 per 10,000 units 2011/05/30 300,000,000 2010/11/12
65689 Credit Suisse AG HSI R Bear CBBC Feb 2011 C 0.250 25,100 per 10,000 units 24,618 per 10,000 units 2011/02/25 300,000,000 2010/11/12
65691 Credit Suisse AG HSI R Bear CBBC Feb 2011 Z 0.250 25,300 per 13,000 units 24,800 per 13,000 units 2011/02/25 390,000,000 2010/11/12
65692 Credit Suisse AG HSI R Bear CBBC Mar 2011 F 0.275 27,200 per 10,000 units 26,718 per 10,000 units 2011/03/30 300,000,000 2010/11/12
65688 Credit Suisse AG HSI R Bear CBBC May 2011 H 0.250 27,600 per 15,000 units 27,100 per 15,000 units 2011/05/30 390,000,000 2010/11/12
65695 Credit Suisse AG HSI R Bear CBBC May 2011 I 0.340 27,800 per 10,000 units 27,318 per 10,000 units 2011/05/30 300,000,000 2010/11/12
65697 Credit Suisse AG HSI R Bear CBBC May 2011 J 0.275 28,000 per 13,000 units 27,500 per 13,000 units 2011/05/30 390,000,000 2010/11/12
65699 Credit Suisse AG HSI R Bear CBBC May 2011 K 0.315 29,100 per 15,000 units 28,600 per 15,000 units 2011/05/30 390,000,000 2010/11/12
65704 Credit Suisse AG HSI R Bear CBBC Jun 2011 E 0.250 27,400 per 13,000 units 26,900 per 13,000 units 2011/06/29 390,000,000 2010/11/12
65705 Credit Suisse AG HSI R Bear CBBC Jun 2011 F 0.255 27,700 per 13,000 units 27,200 per 13,000 units 2011/06/29 390,000,000 2010/11/12
65768 Deutsche Bank AG HSI R Bull CBBC Feb 2011 K 0.250 24,422 per 11,000 units 24,622 per 11,000 units 2011/02/25 300,000,000 2010/11/12
65767 Deutsche Bank AG HSI R Bull CBBC Feb 2011 T 0.250 24,300 per 12,000 units 24,800 per 12,000 units 2011/02/25 300,000,000 2010/11/12
65769 Deutsche Bank AG HSI R Bull CBBC Aug 2011 D 0.250 22,250 per 40,000 units 22,750 per 40,000 units 2011/08/30 300,000,000 2010/11/12
65765 Deutsche Bank AG HSI R Bear CBBC Feb 2011 I 0.250 24,922 per 16,000 units 24,722 per 16,000 units 2011/02/25 300,000,000 2010/11/12
65766 Deutsche Bank AG HSI R Bear CBBC Feb 2011 Y 0.280 25,100 per 12,000 units 24,600 per 12,000 units 2011/02/25 300,000,000 2010/11/12
65770 Deutsche Bank AG HSI R Bear CBBC Apr 2011 Z 0.370 25,950 per 8,000 units 25,450 per 8,000 units 2011/04/28 300,000,000 2010/11/12
65773 Deutsche Bank AG HSI R Bear CBBC May 2011 N 0.300 26,100 per 12,000 units 25,600 per 12,000 units 2011/05/30 300,000,000 2010/11/12
65778 Deutsche Bank AG HSI R Bear CBBC Jun 2011 H 0.250 26,122 per 11,000 units 25,922 per 11,000 units 2011/06/29 300,000,000 2010/11/12
65779 Deutsche Bank AG HSI R Bear CBBC Jul 2011 G 0.360 26,350 per 8,000 units 25,850 per 8,000 units 2011/07/28 300,000,000 2010/11/12
65780 Deutsche Bank AG HSI R Bear CBBC Jul 2011 H 0.290 26,700 per 12,000 units 26,200 per 12,000 units 2011/07/28 300,000,000 2010/11/12
65786 Deutsche Bank AG HSI R Bear CBBC Jul 2011 I 0.370 27,422 per 11,000 units 27,222 per 11,000 units 2011/07/28 300,000,000 2010/11/12
65787 Deutsche Bank AG HSI R Bear CBBC Aug 2011 E 0.460 26,950 per 8,000 units 26,450 per 8,000 units 2011/08/30 300,000,000 2010/11/12
65658 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 E 0.250 23,300 per 8,000 units 23,800 per 8,000 units 2011/05/30 200,000,000 2010/11/12
65659 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 F 0.250 23,600 per 14,000 units 24,100 per 14,000 units 2011/05/30 200,000,000 2010/11/12
65661 Goldman Sachs SP (Asia) HSI R Bull CBBC May 2011 G 0.250 23,900 per 8,000 units 24,400 per 8,000 units 2011/05/30 200,000,000 2010/11/12
65666 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2011 H 0.250 26,400 per 14,000 units 25,900 per 14,000 units 2011/05/30 200,000,000 2010/11/12
65652 HK Bank A50 R Bull CBBC Jun 2011 A 0.250 13.680 13.980 2011/06/15 100,000,000 2010/11/12
65655 HK Bank A50 R Bull CBBC Jun 2011 B 0.250 13.380 13.680 2011/06/29 120,000,000 2010/11/12
65657 HK Bank A50 R Bear CBBC Jun 2011 C 0.250 15.900 15.580 2011/06/15 100,000,000 2010/11/12
65810 HK Bank HSI R Bull CBBC Jul 2011 A 0.250 24,000 per 12,000 units 24,600 per 12,000 units 2011/07/28 120,000,000 2010/11/12
65811 HK Bank HSI R Bear CBBC Apr 2011 E 0.570 27,900 per 10,000 units 27,300 per 10,000 units 2011/04/28 120,000,000 2010/11/12
65816 J P Morgan SP BV HSI R Bull CBBC Feb 2011 B 0.250 24,300 per 10,000 units 24,800 per 10,000 units 2011/02/25 200,000,000 2010/11/12
65815 J P Morgan SP BV HSI R Bull CBBC Feb 2011 N 0.250 24,100 per 12,000 units 24,600 per 12,000 units 2011/02/25 200,000,000 2010/11/12
65833 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 M 0.250 24,300 per 10,000 units 24,800 per 10,000 units 2011/04/28 128,000,000 2010/11/12
65752 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 A 0.250 25,300 per 15,000 units 24,800 per 15,000 units 2011/03/30 158,000,000 2010/11/12
65812 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 K 0.250 27,700 per 12,000 units 27,200 per 12,000 units 2011/03/30 128,000,000 2010/11/12
65813 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 L 0.310 27,900 per 10,000 units 27,400 per 10,000 units 2011/04/28 128,000,000 2010/11/12
65814 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 C 0.250 28,000 per 15,000 units 27,500 per 15,000 units 2011/05/30 158,000,000 2010/11/12
65743 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Mar 2011 A 0.150 21,800 per 22,000 units 22,300 per 22,000 units 2011/03/30 100,000,000 2010/11/12
65744 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Mar 2011 B 0.225 22,200 per 15,000 units 22,700 per 15,000 units 2011/03/30 100,000,000 2010/11/12
65745 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC Mar 2011 C 0.150 22,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 100,000,000 2010/11/12
65746 Merrill Lynch Int’l & Co. C.V. HSI R Bull CBBC May 2011 A 0.250 23,400 per 12,000 units 23,900 per 12,000 units 2011/05/30 100,000,000 2010/11/12
65747 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Mar 2011 D 0.190 27,000 per 15,000 units 26,500 per 15,000 units 2011/03/30 100,000,000 2010/11/12
65748 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Apr 2011 C 0.150 26,100 per 14,000 units 25,600 per 14,000 units 2011/04/28 100,000,000 2010/11/12
65750 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Apr 2011 D 0.225 27,500 per 15,000 units 27,000 per 15,000 units 2011/04/28 100,000,000 2010/11/12
65751 Merrill Lynch Int’l & Co. C.V. HSI R Bear CBBC Jun 2011 A 0.150 26,550 per 15,000 units 26,050 per 15,000 units 2011/06/29 100,000,000 2010/11/12
65832 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 D 0.250 26,300 per 13,000 units 25,800 per 13,000 units 2011/03/30 250,000,000 2010/11/12
65713 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC May11A 0.250 71 per 100 units 74 per 100 units 2011/05/30 300,000,000 2010/11/12
65715 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC May11B 0.250 75 per 100 units 78 per 100 units 2011/05/30 300,000,000 2010/11/12
65716 SGA Societe Generale Acceptance N.V. CMob R Bear CBBC May11C 0.250 89 per 100 units 86 per 100 units 2011/05/30 300,000,000 2010/11/12
65717 SGA Societe Generale Acceptance N.V. CMob R Bear CBBC May11D 0.250 94 per 100 units 91 per 100 units 2011/05/30 300,000,000 2010/11/12
65706 SGA Societe Generale Acceptance N.V CK(H) R Bull CBBC May11A 0.250 108 per 100 units 114 per 100 units 2011/05/30 100,000,000 2010/11/12
65708 SGA Societe Generale Acceptance N.V CK(H) R Bear CBBC May11C 0.250 143 per 100 units 137 per 100 units 2011/05/30 100,000,000 2010/11/12
65709 SGA Societe Generale Acceptance N.V CK(H) R Bear CBBC May11D 0.250 151 per 100 units 145 per 100 units 2011/05/30 100,000,000 2010/11/12
65710 SGA Societe Generale Acceptance N.V CLife R Bull CBBC May11A 0.330 32.000 33.000 2011/05/30 100,000,000 2010/11/12
65711 SGA Societe Generale Acceptance N.V CLife R Bear CBBC May11B 0.400 39.000 38.000 2011/05/30 100,000,000 2010/11/12
65712 SGA Societe Generale Acceptance N.V CLife R Bear CBBC May11C 0.610 41.000 40.000 2011/05/30 100,000,000 2010/11/12
65719 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC May11A 0.270 159 per 100 units 165 per 100 units 2011/05/30 150,000,000 2010/11/12
65723 SGA Societe Generale Acceptance N.V. HKEx R Bull CBBC May11B 0.250 169 per 100 units 175 per 100 units 2011/05/30 150,000,000 2010/11/12
65724 SGA Societe Generale Acceptance N.V. HKEx R Bear CBBC May11C 0.250 201 per 100 units 195 per 100 units 2011/05/30 150,000,000 2010/11/12
65728 SGA Societe Generale Acceptance N.V. HKEx R Bear CBBC May11D 0.280 211 per 100 units 205 per 100 units 2011/05/30 150,000,000 2010/11/12
65729 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC May11A 0.250 76 per 100 units 80 per 100 units 2011/05/30 300,000,000 2010/11/12
65730 SGA Societe Generale Acceptance N.V. HSBC R Bear CBBC May11B 0.250 94 per 100 units 90 per 100 units 2011/05/30 300,000,000 2010/11/12
65731 SGA Societe Generale Acceptance N.V. HSBC R Bear CBBC May11C 0.250 99 per 100 units 95 per 100 units 2011/05/30 300,000,000 2010/11/12
65634 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11P 0.250 23,700 per 12,000 units 24,200 per 12,000 units 2011/03/30 300,000,000 2010/11/12
65635 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11Q 0.250 23,800 per 10,000 units 24,300 per 10,000 units 2011/03/30 300,000,000 2010/11/12
65636 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11R 0.250 23,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 300,000,000 2010/11/12
65638 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11S 0.250 24,000 per 12,000 units 24,500 per 12,000 units 2011/03/30 300,000,000 2010/11/12
65788 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11T 0.250 24,100 per 10,000 units 24,600 per 10,000 units 2011/03/30 300,000,000 2010/11/12
65789 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11U 0.250 24,200 per 15,000 units 24,700 per 15,000 units 2011/03/30 300,000,000 2010/11/12
65790 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11V 0.250 24,300 per 12,000 units 24,800 per 12,000 units 2011/03/30 300,000,000 2010/11/12
65794 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11S 0.250 25,400 per 15,000 units 24,900 per 15,000 units 2011/02/25 300,000,000 2010/11/12
65644 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11R 0.385 27,100 per 10,000 units 26,600 per 10,000 units 2011/04/28 300,000,000 2010/11/12
65645 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11S 0.265 27,200 per 15,000 units 26,700 per 15,000 units 2011/04/28 300,000,000 2010/11/12
65646 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11T 0.345 27,300 per 12,000 units 26,800 per 12,000 units 2011/04/28 300,000,000 2010/11/12
65647 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11U 0.425 27,400 per 10,000 units 26,900 per 10,000 units 2011/04/28 300,000,000 2010/11/12
65648 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Apr11V 0.290 27,500 per 15,000 units 27,000 per 15,000 units 2011/04/28 300,000,000 2010/11/12
65795 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11A 0.370 27,600 per 12,000 units 27,100 per 12,000 units 2011/05/30 300,000,000 2010/11/12
65796 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11B 0.455 27,700 per 10,000 units 27,200 per 10,000 units 2011/05/30 300,000,000 2010/11/12
65797 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11C 0.315 27,800 per 15,000 units 27,300 per 15,000 units 2011/05/30 300,000,000 2010/11/12
65798 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11D 0.405 27,900 per 12,000 units 27,400 per 12,000 units 2011/05/30 300,000,000 2010/11/12
65799 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11E 0.495 28,000 per 10,000 units 27,500 per 10,000 units 2011/05/30 300,000,000 2010/11/12
65800 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11F 0.340 28,100 per 15,000 units 27,600 per 15,000 units 2011/05/30 300,000,000 2010/11/12
65802 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11G 0.435 28,200 per 12,000 units 27,700 per 12,000 units 2011/05/30 300,000,000 2010/11/12
65803 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11H 0.540 28,300 per 10,000 units 27,800 per 10,000 units 2011/05/30 300,000,000 2010/11/12
65804 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11I 0.365 28,400 per 15,000 units 27,900 per 15,000 units 2011/05/30 300,000,000 2010/11/12
65805 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11J 0.465 28,500 per 12,000 units 28,000 per 12,000 units 2011/05/30 300,000,000 2010/11/12
65732 SGA Societe Generale Acceptance N.V. HWL R Bull CBBC May11A 0.250 66 per 100 units 70 per 100 units 2011/05/30 150,000,000 2010/11/12
65733 SGA Societe Generale Acceptance N.V. HWL R Bull CBBC May11B 0.250 71 per 100 units 75 per 100 units 2011/05/30 150,000,000 2010/11/12
65734 SGA Societe Generale Acceptance N.V. HWL R Bear CBBC May11C 0.250 89 per 100 units 85 per 100 units 2011/05/30 150,000,000 2010/11/12
65735 SGA Societe Generale Acceptance N.V. HWL R Bear CBBC May11D 0.250 94 per 100 units 90 per 100 units 2011/05/30 150,000,000 2010/11/12
65736 SGA Societe Generale Acceptance N.V SHK P R Bull CBBC May11A 0.260 120 per 100 units 127 per 100 units 2011/05/30 100,000,000 2010/11/12
65737 SGA Societe Generale Acceptance N.V SHK P R Bull CBBC May11B 0.250 128 per 100 units 135 per 100 units 2011/05/30 100,000,000 2010/11/12
65738 SGA Societe Generale Acceptance N.V SHK P R Bear CBBC May11C 0.250 160 per 100 units 153 per 100 units 2011/05/30 100,000,000 2010/11/12
65740 SGA Societe Generale Acceptance N.V. TCH R Bull CBBC May11A 0.250 161 per 100 units 170 per 100 units 2011/05/30 100,000,000 2010/11/12
65741 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC May11B 0.250 199 per 100 units 190 per 100 units 2011/05/30 100,000,000 2010/11/12
65742 SGA Societe Generale Acceptance N.V. TCH R Bear CBBC May11C 0.280 209 per 100 units 200 per 100 units 2011/05/30 100,000,000 2010/11/12
65822 UBS AG A50 China R Bull CBBC Mar 2011 D 0.250 13.600 14.000 2011/03/07 100,000,000 2010/11/12
65830 UBS AG HKEx R Bear CBBC Mar 2011 I 0.340 224.88 per 100 units 218.88 per 100 units 2011/03/28 100,000,000 2010/11/12
65820 UBS AG HSBC R Bull CBBC Feb 2011 D 0.250 80 per 100 units 85 per 100 units 2011/02/14 100,000,000 2010/11/12
65821 UBS AG HSBC R Bear CBBC Feb 2011 E 0.250 100 per 100 units 95 per 100 units 2011/02/14 100,000,000 2010/11/12
65818 UBS AG HSI R Bull CBBC Feb 2011 K 0.250 24,300 per 10,000 units 24,800 per 10,000 units 2011/02/25 200,000,000 2010/11/12
65817 UBS AG HSI R Bull CBBC Feb 2011 M 0.250 23,700 per 10,000 units 24,200 per 10,000 units 2011/02/25 200,000,000 2010/11/12
65819 UBS AG HSI R Bull CBBC Mar 2011 T 0.250 23,900 per 12,000 units 24,400 per 12,000 units 2011/03/30 200,000,000 2010/11/12
65755 UBS AG HSI R Bear CBBC Feb 2011 O 0.250 25,300 per 12,000 units 24,800 per 12,000 units 2011/02/25 200,000,000 2010/11/12
65753 UBS AG HSI R Bear CBBC Feb 2011 Y 0.250 25,100 per 10,000 units 24,600 per 10,000 units 2011/02/25 200,000,000 2010/11/12
65823 UBS AG HSI R Bear CBBC Mar 2011 O 0.250 26,600 per 10,000 units 26,100 per 10,000 units 2011/03/30 200,000,000 2010/11/12
65825 UBS AG HSI R Bear CBBC Apr 2011 X 0.250 26,900 per 10,000 units 26,400 per 10,000 units 2011/04/28 200,000,000 2010/11/12
65826 UBS AG HSI R Bear CBBC Apr 2011 Y 0.250 27,300 per 15,000 units 26,800 per 15,000 units 2011/04/28 200,000,000 2010/11/12
65827 UBS AG HSI R Bear CBBC Apr 2011 Z 0.390 29,500 per 12,000 units 29,000 per 12,000 units 2011/04/28 200,000,000 2010/11/12
65828 UBS AG HSI R Bear CBBC May 2011 D 0.345 30,000 per 15,000 units 29,500 per 15,000 units 2011/05/30 200,000,000 2010/11/12
65829 UBS AG HSI R Bear CBBC May 2011 E 0.380 30,500 per 15,000 units 30,000 per 15,000 units 2011/05/30 200,000,000 2010/11/12
65195 # Credit Suisse AG HSI R Bull CBBC Apr 2011 M 0.186 23,000 per 10,000 units 23,488 per 10,000 units 2011/04/28 300,000,000 2010/11/12
65857 Credit Suisse AG HSI R Bull CBBC May 2011 N 0.250 23,700 per 15,000 units 24,200 per 15,000 units 2011/05/30 390,000,000 2010/11/15
65858 Credit Suisse AG HSI R Bull CBBC May 2011 O 0.250 24,200 per 10,000 units 24,688 per 10,000 units 2011/05/30 300,000,000 2010/11/15
65868 Credit Suisse AG HSI R Bull CBBC May 2011 P 0.250 24,400 per 13,000 units 24,900 per 13,000 units 2011/05/30 390,000,000 2010/11/15
65856 Credit Suisse AG HSI R Bear CBBC Feb 2011 N 0.250 25,400 per 10,000 units 24,918 per 10,000 units 2011/02/25 300,000,000 2010/11/15
65855 Credit Suisse AG TCH R Bear CBBC Mar 2011 G 0.250 196 per 100 units 188 per 100 units 2011/03/21 100,000,000 2010/11/15
65881 Deutsche Bank AG HSI R Bull CBBC Mar 2011 E 0.250 24,400 per 10,000 units 24,900 per 10,000 units 2011/03/30 300,000,000 2010/11/15
65860 Deutsche Bank AG HSI R Bull CBBC Mar 2011 N 0.250 24,200 per 10,000 units 24,700 per 10,000 units 2011/03/30 300,000,000 2010/11/15
65859 Deutsche Bank AG HSI R Bull CBBC Mar 2011 V 0.250 24,100 per 12,000 units 24,600 per 12,000 units 2011/03/30 300,000,000 2010/11/15
65861 Deutsche Bank AG HSI R Bear CBBC Jun 2011 I 0.370 26,900 per 12,000 units 26,400 per 12,000 units 2011/06/29 300,000,000 2010/11/15
65863 Deutsche Bank AG HSI R Bear CBBC Aug 2011 F 0.390 27,100 per 12,000 units 26,600 per 12,000 units 2011/08/30 300,000,000 2010/11/15
65865 Deutsche Bank AG HSI R Bear CBBC Aug 2011 G 0.440 27,200 per 10,000 units 26,700 per 10,000 units 2011/08/30 300,000,000 2010/11/15
65849 HK Bank China Life R Bull CBBC Jun 2011 A 0.310 32.380 33.380 2011/06/08 100,000,000 2010/11/15
65850 HK Bank Sinopec Corp R Bull CBBC Jun 2011 B 0.250 6.600 6.980 2011/06/28 200,000,000 2010/11/15
65851 HK Bank Sinopec Corp R Bull CBBC Jun 2011 C 0.250 7.000 7.380 2011/06/28 200,000,000 2010/11/15
65852 HK Bank Sinopec Corp R Bear CBBC May 2011 B 0.250 9.300 8.880 2011/05/18 100,000,000 2010/11/15
65853 HK Bank China Shenhua R Bull CBBC May 2011 C 0.250 32 per 100 units 33.88 per 100 units 2011/05/27 100,000,000 2010/11/15
65854 HK Bank China Shenhua R Bear CBBC Apr 2011 B 0.250 47.28 per 100 units 45.28 per 100 units 2011/04/18 100,000,000 2010/11/15
65869 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 J 0.250 23,400 per 12,000 units 23,900 per 12,000 units 2011/03/30 128,000,000 2010/11/15
65870 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 N 0.250 23,600 per 8,000 units 24,100 per 8,000 units 2011/04/28 128,000,000 2010/11/15
65873 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 O 0.250 24,100 per 12,000 units 24,600 per 12,000 units 2011/04/28 128,000,000 2010/11/15
65878 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 B 0.500 28,900 per 8,000 units 28,400 per 8,000 units 2011/03/30 128,000,000 2010/11/15
65877 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 D 0.270 28,100 per 12,000 units 27,600 per 12,000 units 2011/03/30 128,000,000 2010/11/15
65876 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 Q 0.360 27,800 per 8,000 units 27,300 per 8,000 units 2011/03/30 128,000,000 2010/11/15
65880 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 Q 0.320 28,700 per 12,000 units 28,200 per 12,000 units 2011/04/28 128,000,000 2010/11/15
65874 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 D 0.370 28,500 per 10,000 units 28,000 per 10,000 units 2011/05/30 128,000,000 2010/11/15
65875 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 E 0.250 29,000 per 20,000 units 28,500 per 20,000 units 2011/05/30 158,000,000 2010/11/15
65834 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11K 0.570 28,600 per 10,000 units 28,100 per 10,000 units 2011/05/30 300,000,000 2010/11/15
65835 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11L 0.390 28,700 per 15,000 units 28,200 per 15,000 units 2011/05/30 300,000,000 2010/11/15
65836 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11M 0.495 28,800 per 12,000 units 28,300 per 12,000 units 2011/05/30 300,000,000 2010/11/15
65839 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11N 0.610 28,900 per 10,000 units 28,400 per 10,000 units 2011/05/30 300,000,000 2010/11/15
65840 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11O 0.410 29,000 per 15,000 units 28,500 per 15,000 units 2011/05/30 300,000,000 2010/11/15
65841 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11P 0.520 29,100 per 12,000 units 28,600 per 12,000 units 2011/05/30 300,000,000 2010/11/15
65842 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11Q 0.640 29,200 per 10,000 units 28,700 per 10,000 units 2011/05/30 300,000,000 2010/11/15
65843 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11R 0.435 29,300 per 15,000 units 28,800 per 15,000 units 2011/05/30 300,000,000 2010/11/15
65845 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11S 0.550 29,400 per 12,000 units 28,900 per 12,000 units 2011/05/30 300,000,000 2010/11/15
65848 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC May11T 0.670 29,500 per 10,000 units 29,000 per 10,000 units 2011/05/30 300,000,000 2010/11/15
65886 UBS AG HKEx R Bull CBBC Mar 2011 J 0.250 182.88 per 100 units 188.88 per 100 units 2011/03/21 100,000,000 2010/11/15
65882 UBS AG HSI R Bull CBBC Apr 2011 A 0.250 24,200 per 12,000 units 24,700 per 12,000 units 2011/04/28 200,000,000 2010/11/15
65883 UBS AG HSI R Bull CBBC Apr 2011 F 0.250 24,400 per 15,000 units 24,900 per 15,000 units 2011/04/28 200,000,000 2010/11/15
65866 UBS AG HSI R Bear CBBC Feb 2011 S 0.250 25,400 per 10,000 units 24,900 per 10,000 units 2011/02/25 200,000,000 2010/11/15
65884 UBS AG Hutchison R Bull CBBC Mar 2011 C 0.250 76 per 100 units 80 per 100 units 2011/03/07 100,000,000 2010/11/15
65390 # UBS AG CC Bank R Bull CBBC Mar 2011 A 0.093 7.080 7.380 2011/03/14 150,000,000 2010/11/15
65887 Credit Suisse AG HSI R Bull CBBC Jun 2011 G 0.250 24,100 per 13,000 units 24,600 per 13,000 units 2011/06/29 390,000,000 2010/11/16
65888 Credit Suisse AG HSI R Bear CBBC Apr 2011 Y 0.250 26,500 per 13,000 units 26,000 per 13,000 units 2011/04/28 390,000,000 2010/11/16
65890 Deutsche Bank AG HSI R Bull CBBC Mar 2011 Q 0.260 23,650 per 15,000 units 24,150 per 15,000 units 2011/03/30 300,000,000 2010/11/16
65889 Deutsche Bank AG HSI R Bull CBBC Mar 2011 Z 0.250 23,450 per 20,000 units 23,950 per 20,000 units 2011/03/30 300,000,000 2010/11/16
65897 Deutsche Bank AG HSI R Bull CBBC Apr 2011 K 0.290 23,950 per 8,000 units 24,450 per 8,000 units 2011/04/28 300,000,000 2010/11/16
65895 Deutsche Bank AG HSI R Bull CBBC Apr 2011 L 0.360 23,350 per 8,000 units 23,850 per 8,000 units 2011/04/28 300,000,000 2010/11/16
65898 Deutsche Bank AG HSI R Bull CBBC May 2011 O 0.250 23,050 per 15,000 units 23,550 per 15,000 units 2011/05/30 300,000,000 2010/11/16
65900 Deutsche Bank AG HSI R Bull CBBC Oct 2011 C 0.250 23,250 per 40,000 units 23,750 per 40,000 units 2011/10/28 400,000,000 2010/11/16
65906 UBS AG China Life R Bull CBBC Mar 2011 G 0.270 33.880 34.880 2011/03/21 100,000,000 2010/11/16
65907 UBS AG HKEx R Bear CBBC Apr 2011 A 0.375 234.88 per 100 units 228.88 per 100 units 2011/04/04 100,000,000 2010/11/16
65909 UBS AG HSI R Bull CBBC Apr 2011 D 0.250 24,100 per 15,000 units 24,600 per 15,000 units 2011/04/28 200,000,000 2010/11/16
65910 UBS AG HSI R Bear CBBC Feb 2011 P 0.250 27,200 per 10,000 units 26,700 per 10,000 units 2011/02/25 200,000,000 2010/11/16
65908 UBS AG Hutchison R Bear CBBC Mar 2011 D 0.250 104 per 100 units 100 per 100 units 2011/03/21 100,000,000 2010/11/16
65937 Credit Suisse AG A50 China R Bear CBBC Mar 2011 E 0.250 15.200 14.800 2011/03/21 100,000,000 2010/11/17
65917 Credit Suisse AG HSI R Bull CBBC Jun 2011 H 0.250 23,200 per 22,000 units 23,700 per 22,000 units 2011/06/29 330,000,000 2010/11/17
65918 Credit Suisse AG HSI R Bull CBBC Jun 2011 I 0.250 23,500 per 22,000 units 24,000 per 22,000 units 2011/06/29 330,000,000 2010/11/17
65919 Credit Suisse AG HSI R Bull CBBC Jun 2011 J 0.250 23,800 per 22,000 units 24,300 per 22,000 units 2011/06/29 330,000,000 2010/11/17
65920 Credit Suisse AG HSI R Bull CBBC Jun 2011 K 0.250 24,100 per 22,000 units 24,600 per 22,000 units 2011/06/29 330,000,000 2010/11/17
65940 Credit Suisse AG HSI R Bull CBBC Jul 2011 A 0.250 22,900 per 22,000 units 23,400 per 22,000 units 2011/07/28 330,000,000 2010/11/17
65938 Credit Suisse AG HSI R Bear CBBC Feb 2011 T 0.250 25,200 per 15,000 units 24,700 per 15,000 units 2011/02/25 390,000,000 2010/11/17
65912 Credit Suisse AG HSI R Bear CBBC Feb 2011 X 0.250 26,200 per 22,000 units 25,700 per 22,000 units 2011/02/25 330,000,000 2010/11/17
65916 Credit Suisse AG HSI R Bear CBBC Mar 2011 D 0.250 25,900 per 22,000 units 25,400 per 22,000 units 2011/03/30 330,000,000 2010/11/17
65915 Credit Suisse AG HSI R Bear CBBC Mar 2011 E 0.250 25,600 per 22,000 units 25,100 per 22,000 units 2011/03/30 330,000,000 2010/11/17
65947 Deutsche Bank AG HSI R Bull CBBC Aug 2011 H 0.310 22,650 per 15,000 units 23,150 per 15,000 units 2011/08/30 300,000,000 2010/11/17
65951 Deutsche Bank AG HSI R Bull CBBC Aug 2011 I 0.270 22,850 per 20,000 units 23,350 per 20,000 units 2011/08/30 300,000,000 2010/11/17
65953 Deutsche Bank AG HSI R Bull CBBC Sep 2011 E 0.250 23,522 per 16,000 units 23,722 per 16,000 units 2011/09/29 300,000,000 2010/11/17
65946 Deutsche Bank AG HSI R Bear CBBC Feb 2011 J 0.250 25,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 300,000,000 2010/11/17
65927 HK Bank CC Bank R Bull CBBC Jun 2011 A 0.250 6.380 6.680 2011/06/15 100,000,000 2010/11/17
65928 HK Bank CC Bank R Bull CBBC Jul 2011 A 0.250 6.880 7.180 2011/07/15 100,000,000 2010/11/17
65929 HK Bank CC Bank R Bear CBBC May 2011 A 0.250 8.700 8.380 2011/05/16 80,000,000 2010/11/17
65935 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 R 0.250 25,000 per 10,000 units 24,500 per 10,000 units 2011/03/30 128,000,000 2010/11/17
65931 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11N 0.250 25,100 per 15,000 units 24,600 per 15,000 units 2011/02/25 300,000,000 2010/11/17
65930 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Q 0.250 25,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 300,000,000 2010/11/17
65911 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11R 0.250 25,300 per 10,000 units 24,800 per 10,000 units 2011/02/25 300,000,000 2010/11/17
65932 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11W 0.250 25,200 per 12,000 units 24,700 per 12,000 units 2011/02/25 300,000,000 2010/11/17
65942 UBS AG China Mobile R Bear CBBC Mar 2011 C 0.250 87.88 per 100 units 84.88 per 100 units 2011/03/14 100,000,000 2010/11/17
65943 UBS AG China Mobile R Bear CBBC Apr 2011 A 0.250 91.88 per 100 units 88.88 per 100 units 2011/04/11 100,000,000 2010/11/17
65933 UBS AG HSI R Bear CBBC Feb 2011 N 0.250 25,000 per 12,000 units 24,500 per 12,000 units 2011/02/25 200,000,000 2010/11/17
65934 UBS AG HSI R Bear CBBC Apr 2011 H 0.250 25,200 per 15,000 units 24,700 per 15,000 units 2011/04/28 200,000,000 2010/11/17
65957 Deutsche Bank AG China Life R Bull CBBC Mar 2011 H 0.520 31.680 32.680 2011/03/14 100,000,000 2010/11/18
65958 Deutsche Bank AG China Life R Bull CBBC Mar 2011 I 0.330 33.680 34.680 2011/03/14 100,000,000 2010/11/18
65960 Deutsche Bank AG HKEx R Bull CBBC Mar 2011 A 0.260 167.88 per 100 units 173.88 per 100 units 2011/03/14 100,000,000 2010/11/18
65963 Deutsche Bank AG HKEx R Bear CBBC Mar 2011 B 0.280 212.88 per 100 units 206.88 per 100 units 2011/03/14 100,000,000 2010/11/18
65956 Deutsche Bank AG HSI R Bear CBBC Apr 2011 H 0.250 25,400 per 10,000 units 24,900 per 10,000 units 2011/04/28 300,000,000 2010/11/18
65967 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 F 0.500 29,500 per 10,000 units 29,000 per 10,000 units 2011/03/30 128,000,000 2010/11/18
65968 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 R 0.370 30,000 per 15,000 units 29,500 per 15,000 units 2011/04/28 158,000,000 2010/11/18
65969 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 S 0.460 29,100 per 10,000 units 28,600 per 10,000 units 2011/04/28 128,000,000 2010/11/18
65970 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 F 0.410 29,300 per 12,000 units 28,800 per 12,000 units 2011/05/30 128,000,000 2010/11/18
65973 KBC Fin Products Int’l Ltd. HSI R Bear CBBC May 2011 G 0.530 29,700 per 10,000 units 29,200 per 10,000 units 2011/05/30 128,000,000 2010/11/18
65964 UBS AG HSI R Bull CBBC May 2011 F 0.250 23,300 per 38,000 units 23,800 per 38,000 units 2011/05/30 300,000,000 2010/11/18
65965 UBS AG TCH R Bear CBBC Mar 2011 F 0.250 196.88 per 100 units 188.88 per 100 units 2011/03/21 100,000,000 2010/11/18
64560 # HK Bank HSI R Bull CBBC Apr 2011 A 0.201 21,700 per 12,000 units 22,200 per 12,000 units 2011/04/28 250,000,000 2010/11/18
64669 # KBC Fin Products Int’l Ltd. HSI R Bull CBBC Feb 2011 Q 0.171 22,300 per 10,000 units 22,800 per 10,000 units 2011/02/25 80,000,000 2010/11/18
66011 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 K 0.250 22,700 per 10,000 units 22,900 per 10,000 units 2011/11/29 200,000,000 2010/11/19
66012 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 L 0.250 22,900 per 10,000 units 23,100 per 10,000 units 2011/11/29 200,000,000 2010/11/19
66013 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 V 0.250 24,900 per 10,000 units 24,700 per 10,000 units 2011/04/28 200,000,000 2010/11/19
65982 Credit Suisse AG A50 China R Bear CBBC Feb 2011 K 0.250 14.700 14.300 2011/02/21 100,000,000 2010/11/19
65984 Credit Suisse AG HSI R Bull CBBC May 2011 Q 0.250 23,900 per 10,000 units 24,388 per 10,000 units 2011/05/30 300,000,000 2010/11/19
65987 Credit Suisse AG HSI R Bull CBBC May 2011 R 0.250 22,600 per 22,000 units 23,100 per 22,000 units 2011/05/30 330,000,000 2010/11/19
65988 Credit Suisse AG HSI R Bear CBBC Feb 2011 J 0.250 24,800 per 10,000 units 24,318 per 10,000 units 2011/02/25 300,000,000 2010/11/19
65983 Credit Suisse AG HSI R Bear CBBC Feb 2011 O 0.250 25,000 per 13,000 units 24,500 per 13,000 units 2011/02/25 390,000,000 2010/11/19
65978 Deutsche Bank AG HSI R Bull CBBC Mar 2011 H 0.260 23,800 per 10,000 units 24,300 per 10,000 units 2011/03/30 300,000,000 2010/11/19
65985 Deutsche Bank AG HSI R Bull CBBC Apr 2011 F 0.250 24,022 per 11,000 units 24,222 per 11,000 units 2011/04/28 300,000,000 2010/11/19
65974 Deutsche Bank AG HSI R Bull CBBC Apr 2011 G 0.250 24,000 per 10,000 units 24,500 per 10,000 units 2011/04/28 300,000,000 2010/11/19
65997 Deutsche Bank AG HSI R Bear CBBC Feb 2011 H 0.250 24,800 per 10,000 units 24,300 per 10,000 units 2011/02/25 300,000,000 2010/11/19
65980 Deutsche Bank AG HSI R Bear CBBC Mar 2011 C 0.270 25,300 per 12,000 units 24,800 per 12,000 units 2011/03/30 300,000,000 2010/11/19
65994 J P Morgan SP BV HSI R Bear CBBC Feb 2011 A 0.250 25,000 per 8,000 units 24,500 per 8,000 units 2011/02/25 200,000,000 2010/11/19
65995 J P Morgan SP BV HSI R Bear CBBC Feb 2011 Q 0.250 25,300 per 15,000 units 24,800 per 15,000 units 2011/02/25 200,000,000 2010/11/19
65989 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 B 0.250 24,800 per 8,000 units 24,300 per 8,000 units 2011/02/25 128,000,000 2010/11/19
65990 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 E 0.250 25,100 per 12,000 units 24,600 per 12,000 units 2011/03/30 128,000,000 2010/11/19
65998 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 E 0.251 22,500 per 13,000 units 23,000 per 13,000 units 2011/03/30 250,000,000 2010/11/19
65999 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 F 0.255 22,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 250,000,000 2010/11/19
66001 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 G 0.253 23,100 per 13,000 units 23,600 per 13,000 units 2011/03/30 250,000,000 2010/11/19
66002 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 H 0.252 25,200 per 10,000 units 24,700 per 10,000 units 2011/03/30 250,000,000 2010/11/19
66006 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 I 0.251 25,400 per 13,000 units 24,900 per 13,000 units 2011/03/30 250,000,000 2010/11/19
65993 UBS AG A50 China R Bear CBBC Mar 2011 E 0.250 14.900 14.500 2011/03/07 100,000,000 2010/11/19
65975 UBS AG HSI R Bull CBBC Feb 2011 L 0.250 24,000 per 10,000 units 24,500 per 10,000 units 2011/02/25 200,000,000 2010/11/19
65992 UBS AG HSI R Bull CBBC Feb 2011 M 0.250 22,500 per 10,000 units 23,000 per 10,000 units 2011/02/25 200,000,000 2010/11/19
65991 UBS AG HSI R Bull CBBC Feb 2011 Y 0.250 23,800 per 15,000 units 24,300 per 15,000 units 2011/02/25 200,000,000 2010/11/19
65996 UBS AG HSI R Bear CBBC Feb 2011 K 0.250 24,800 per 10,000 units 24,300 per 10,000 units 2011/02/25 200,000,000 2010/11/19
66054 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 M 0.250 21,900 per 10,000 units 22,100 per 10,000 units 2011/11/29 200,000,000 2010/11/22
66055 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 W 0.250 24,700 per 10,000 units 24,500 per 10,000 units 2011/04/28 200,000,000 2010/11/22
66058 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 X 0.250 25,000 per 10,000 units 24,800 per 10,000 units 2011/04/28 200,000,000 2010/11/22
66038 Credit Suisse AG HKEx R Bear CBBC Mar 2011 G 0.250 199 per 100 units 193 per 100 units 2011/03/21 100,000,000 2010/11/22
66022 Credit Suisse AG HSI R Bull CBBC May 2011 S 0.250 23,700 per 15,000 units 24,200 per 15,000 units 2011/05/30 390,000,000 2010/11/22
66021 Credit Suisse AG HSI R Bear CBBC Feb 2011 Y 0.250 24,900 per 15,000 units 24,400 per 15,000 units 2011/02/25 390,000,000 2010/11/22
66027 Deutsche Bank AG HSI R Bull CBBC Feb 2011 F 0.250 23,600 per 10,000 units 24,100 per 10,000 units 2011/02/25 300,000,000 2010/11/22
66029 Deutsche Bank AG HSI R Bear CBBC Feb 2011 D 0.250 24,600 per 10,000 units 24,100 per 10,000 units 2011/02/25 300,000,000 2010/11/22
66030 Deutsche Bank AG HSI R Bear CBBC Mar 2011 T 0.270 24,900 per 12,000 units 24,400 per 12,000 units 2011/03/30 300,000,000 2010/11/22
66031 Deutsche Bank AG HSI R Bear CBBC Apr 2011 D 0.300 24,822 per 11,000 units 24,622 per 11,000 units 2011/04/28 300,000,000 2010/11/22
66028 Goldman Sachs SP (Asia) HSI R Bear CBBC May 2011 I 0.250 25,100 per 10,000 units 24,600 per 10,000 units 2011/05/30 200,000,000 2010/11/22
66043 J P Morgan SP BV HSI R Bear CBBC Feb 2011 P 0.250 24,700 per 15,000 units 24,200 per 15,000 units 2011/02/25 200,000,000 2010/11/22
66045 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 U 0.250 24,600 per 12,000 units 24,100 per 12,000 units 2011/03/30 128,000,000 2010/11/22
66050 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 G 0.251 14,600 per 10,000 units 14,100 per 10,000 units 2011/03/30 250,000,000 2010/11/22
66014 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11W 0.250 23,700 per 12,000 units 24,200 per 12,000 units 2011/03/30 300,000,000 2010/11/22
66034 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11T 0.250 24,600 per 12,000 units 24,100 per 12,000 units 2011/02/25 300,000,000 2010/11/22
66016 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11U 0.250 24,900 per 12,000 units 24,400 per 12,000 units 2011/02/25 300,000,000 2010/11/22
66015 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11V 0.250 24,800 per 15,000 units 24,300 per 15,000 units 2011/02/25 600,000,000 2010/11/22
66037 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Z 0.250 24,700 per 10,000 units 24,200 per 10,000 units 2011/02/25 300,000,000 2010/11/22
66042 UBS AG China Life R Bear CBBC Mar 2011 H 0.295 37.880 36.880 2011/03/21 100,000,000 2010/11/22
66023 UBS AG HSI R Bull CBBC Feb 2011 E 0.250 23,700 per 10,000 units 24,200 per 10,000 units 2011/02/25 200,000,000 2010/11/22
66039 UBS AG HSI R Bull CBBC Mar 2011 M 0.250 22,400 per 12,000 units 22,900 per 12,000 units 2011/03/30 200,000,000 2010/11/22
66040 UBS AG HSI R Bear CBBC Mar 2011 T 0.250 24,900 per 15,000 units 24,400 per 15,000 units 2011/03/30 200,000,000 2010/11/22
66041 UBS AG HSI R Bear CBBC Apr 2011 G 0.250 24,600 per 15,000 units 24,100 per 15,000 units 2011/04/28 200,000,000 2010/11/22
66051 UBS AG HSI R Bear CBBC Apr 2011 S 0.250 26,300 per 38,000 units 25,800 per 38,000 units 2011/04/28 300,000,000 2010/11/22
66052 UBS AG HSI R Bear CBBC May 2011 G 0.250 26,800 per 38,000 units 26,300 per 38,000 units 2011/05/30 300,000,000 2010/11/22
66053 UBS AG HSI R Bear CBBC May 2011 H 0.250 27,300 per 38,000 units 26,800 per 38,000 units 2011/05/30 300,000,000 2010/11/22
64683 # UBS AG HSI R Bull CBBC Feb 2011 W 0.061 22,300 per 15,000 units 22,800 per 15,000 units 2011/02/25 200,000,000 2010/11/22
66107 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 R 0.250 21,700 per 10,000 units 21,900 per 10,000 units 2011/10/28 200,000,000 2010/11/23
66108 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 N 0.300 20,800 per 10,000 units 21,000 per 10,000 units 2011/11/29 200,000,000 2010/11/23
66109 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 O 0.250 21,300 per 10,000 units 21,500 per 10,000 units 2011/11/29 200,000,000 2010/11/23
66114 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 C 0.250 24,600 per 10,000 units 24,400 per 10,000 units 2011/04/28 200,000,000 2010/11/23
66115 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 E 0.250 24,800 per 10,000 units 24,600 per 10,000 units 2011/04/28 200,000,000 2010/11/23
66110 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 Y 0.250 24,200 per 10,000 units 24,000 per 10,000 units 2011/04/28 200,000,000 2010/11/23
66113 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 Z 0.250 24,400 per 10,000 units 24,200 per 10,000 units 2011/04/28 200,000,000 2010/11/23
66100 Credit Suisse AG China Mobile R Bear CBBC Mar 2011 B 0.250 83 per 100 units 80 per 100 units 2011/03/21 100,000,000 2010/11/23
66093 Credit Suisse AG CK(H) R Bear CBBC Apr 2011 A 0.250 137 per 100 units 130 per 100 units 2011/04/11 100,000,000 2010/11/23
66101 Credit Suisse AG A50 China R Bear CBBC Mar 2011 F 0.250 14.200 13.800 2011/03/21 100,000,000 2010/11/23
66097 Credit Suisse AG HKEx R Bear CBBC Mar 2011 H 0.250 191 per 100 units 185 per 100 units 2011/03/28 100,000,000 2010/11/23
66094 Credit Suisse AG HSBC R Bear CBBC Feb 2011 B 0.250 92 per 100 units 88 per 100 units 2011/02/28 100,000,000 2010/11/23
66073 Credit Suisse AG HSI R Bull CBBC Apr 2011 Z 0.250 23,100 per 15,000 units 23,600 per 15,000 units 2011/04/28 390,000,000 2010/11/23
66060 Credit Suisse AG HSI R Bull CBBC May 2011 T 0.250 23,500 per 13,000 units 24,000 per 13,000 units 2011/05/30 390,000,000 2010/11/23
66061 Credit Suisse AG HSI R Bear CBBC Feb 2011 L 0.250 24,600 per 15,000 units 24,100 per 15,000 units 2011/02/25 390,000,000 2010/11/23
66067 Credit Suisse AG HSI R Bear CBBC Mar 2011 S 0.250 25,000 per 22,000 units 24,500 per 22,000 units 2011/03/30 330,000,000 2010/11/23
66098 Credit Suisse AG HSI R Bear CBBC Mar 2011 T 0.250 24,200 per 10,000 units 23,718 per 10,000 units 2011/03/30 300,000,000 2010/11/23
66095 Credit Suisse AG SHK Ppt R Bear CBBC Apr 2011 A 0.250 150 per 100 units 143 per 100 units 2011/04/11 100,000,000 2010/11/23
66099 Credit Suisse AG TCH R Bear CBBC Feb 2011 I 0.250 188 per 100 units 180 per 100 units 2011/02/28 100,000,000 2010/11/23
66070 Deutsche Bank AG HSI R Bull CBBC Feb 2011 A 0.270 23,500 per 12,000 units 24,000 per 12,000 units 2011/02/25 300,000,000 2010/11/23
66078 Deutsche Bank AG HSI R Bull CBBC Feb 2011 T 0.250 23,422 per 11,000 units 23,622 per 11,000 units 2011/02/25 300,000,000 2010/11/23
66071 Deutsche Bank AG HSI R Bull CBBC Feb 2011 V 0.250 23,722 per 11,000 units 23,922 per 11,000 units 2011/02/25 300,000,000 2010/11/23
66074 Deutsche Bank AG HSI R Bull CBBC Feb 2011 Y 0.270 23,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 300,000,000 2010/11/23
66102 Deutsche Bank AG HSI R Bear CBBC Feb 2011 K 0.270 24,122 per 11,000 units 23,922 per 11,000 units 2011/02/25 300,000,000 2010/11/23
66072 Deutsche Bank AG HSI R Bear CBBC Mar 2011 R 0.260 24,422 per 11,000 units 24,222 per 11,000 units 2011/03/30 300,000,000 2010/11/23
66103 Deutsche Bank AG HSI R Bear CBBC Apr 2011 C 0.280 24,300 per 12,000 units 23,800 per 12,000 units 2011/04/28 300,000,000 2010/11/23
66104 Deutsche Bank AG HSI R Bear CBBC May 2011 P 0.250 23,922 per 16,000 units 23,722 per 16,000 units 2011/05/30 300,000,000 2010/11/23
66092 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 G 0.250 23,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 128,000,000 2010/11/23
66059 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 T 0.250 23,500 per 10,000 units 24,000 per 10,000 units 2011/03/30 128,000,000 2010/11/23
66116 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Feb 2011 Y 0.250 24,200 per 15,000 units 23,700 per 15,000 units 2011/02/25 158,000,000 2010/11/23
66117 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 Y 0.250 24,500 per 10,000 units 24,000 per 10,000 units 2011/03/30 128,000,000 2010/11/23
66081 UBS AG China Life R Bear CBBC Apr 2011 A 0.250 36.880 35.880 2011/04/04 100,000,000 2010/11/23
66085 UBS AG A50 China R Bear CBBC Apr 2011 A 0.250 14.400 14.000 2011/04/04 100,000,000 2010/11/23
66084 UBS AG HKEx R Bear CBBC Mar 2011 K 0.250 194.88 per 100 units 188.88 per 100 units 2011/03/21 100,000,000 2010/11/23
66079 UBS AG HSBC R Bull CBBC Apr 2011 A 0.250 65 per 100 units 70 per 100 units 2011/04/11 100,000,000 2010/11/23
66080 UBS AG HSBC R Bull CBBC Apr 2011 B 0.250 70 per 100 units 75 per 100 units 2011/04/04 100,000,000 2010/11/23
66086 UBS AG HSI R Bull CBBC Feb 2011 R 0.250 23,100 per 10,000 units 23,600 per 10,000 units 2011/02/25 200,000,000 2010/11/23
66089 UBS AG HSI R Bull CBBC Mar 2011 Q 0.250 23,500 per 15,000 units 24,000 per 15,000 units 2011/03/30 200,000,000 2010/11/23
66091 UBS AG HSI R Bull CBBC Apr 2011 L 0.250 23,300 per 12,000 units 23,800 per 12,000 units 2011/04/28 200,000,000 2010/11/23
66105 UBS AG HSI R Bear CBBC Mar 2011 F 0.250 24,200 per 10,000 units 23,700 per 10,000 units 2011/03/30 200,000,000 2010/11/23
66106 UBS AG HSI R Bear CBBC Apr 2011 B 0.250 24,400 per 12,000 units 23,900 per 12,000 units 2011/04/28 200,000,000 2010/11/23
66185 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 B 0.260 21,000 per 10,000 units 21,200 per 10,000 units 2011/12/29 200,000,000 2010/11/24
66187 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 C 0.250 21,600 per 10,000 units 21,800 per 10,000 units 2011/12/29 200,000,000 2010/11/24
66183 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 D 0.250 23,800 per 10,000 units 23,600 per 10,000 units 2011/03/30 200,000,000 2010/11/24
66184 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 E 0.250 24,000 per 10,000 units 23,800 per 10,000 units 2011/03/30 200,000,000 2010/11/24
66172 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 A 0.250 24,100 per 10,000 units 23,900 per 10,000 units 2011/04/28 200,000,000 2010/11/24
66173 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 B 0.250 24,300 per 10,000 units 24,100 per 10,000 units 2011/04/28 200,000,000 2010/11/24
66174 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Apr 2011 H 0.250 24,500 per 10,000 units 24,300 per 10,000 units 2011/04/28 200,000,000 2010/11/24
66118 Credit Suisse AG HSI R Bull CBBC Apr 2011 J 0.250 23,000 per 10,000 units 23,488 per 10,000 units 2011/04/28 300,000,000 2010/11/24
66156 Credit Suisse AG HSI R Bear CBBC Mar 2011 U 0.250 24,100 per 13,000 units 23,600 per 13,000 units 2011/03/30 390,000,000 2010/11/24
66155 Credit Suisse AG HSI R Bear CBBC Mar 2011 V 0.250 23,800 per 13,000 units 23,300 per 13,000 units 2011/03/30 390,000,000 2010/11/24
66157 Credit Suisse AG HSI R Bear CBBC Mar 2011 W 0.250 24,500 per 10,000 units 24,018 per 10,000 units 2011/03/30 300,000,000 2010/11/24
66158 Credit Suisse AG HSI R Bear CBBC Apr 2011 K 0.250 24,700 per 13,000 units 24,200 per 13,000 units 2011/04/28 390,000,000 2010/11/24
66152 Credit Suisse AG Hutchison R Bear CBBC Mar 2011 B 0.250 87 per 100 units 83 per 100 units 2011/03/21 100,000,000 2010/11/24
66154 Credit Suisse AG TCH R Bear CBBC Mar 2011 H 0.250 178 per 100 units 170 per 100 units 2011/03/21 100,000,000 2010/11/24
66135 Deutsche Bank AG HSI R Bull CBBC Feb 2011 E 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/02/25 300,000,000 2010/11/24
66145 Deutsche Bank AG HSI R Bull CBBC Apr 2011 A 0.260 23,222 per 11,000 units 23,422 per 11,000 units 2011/04/28 300,000,000 2010/11/24
66196 Deutsche Bank AG HSI R Bull CBBC Apr 2011 E 0.400 20,722 per 11,000 units 20,922 per 11,000 units 2011/04/28 300,000,000 2010/11/24
66151 Deutsche Bank AG HSI R Bull CBBC May 2011 Q 0.250 23,122 per 16,000 units 23,322 per 16,000 units 2011/05/30 300,000,000 2010/11/24
66199 Deutsche Bank AG HSI R Bull CBBC May 2011 R 0.340 22,822 per 11,000 units 23,022 per 11,000 units 2011/05/30 300,000,000 2010/11/24
66200 Deutsche Bank AG HSI R Bull CBBC Jun 2011 J 0.390 22,222 per 11,000 units 22,422 per 11,000 units 2011/06/29 300,000,000 2010/11/24
66207 Deutsche Bank AG HSI R Bull CBBC Jul 2011 J 0.320 20,522 per 16,000 units 20,722 per 16,000 units 2011/07/28 300,000,000 2010/11/24
66208 Deutsche Bank AG HSI R Bull CBBC Aug 2011 J 0.450 20,022 per 11,000 units 20,222 per 11,000 units 2011/08/30 300,000,000 2010/11/24
66195 Deutsche Bank AG HSI R Bear CBBC Mar 2011 V 0.290 23,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 300,000,000 2010/11/24
66194 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Y 0.250 23,422 per 11,000 units 23,222 per 11,000 units 2011/03/30 300,000,000 2010/11/24
66198 Deutsche Bank AG HSI R Bear CBBC Apr 2011 O 0.260 24,222 per 11,000 units 24,022 per 11,000 units 2011/04/28 300,000,000 2010/11/24
66197 Deutsche Bank AG HSI R Bear CBBC Apr 2011 P 0.280 23,822 per 11,000 units 23,622 per 11,000 units 2011/04/28 300,000,000 2010/11/24
66206 Deutsche Bank AG HSI R Bear CBBC Jun 2011 K 0.250 24,522 per 16,000 units 24,322 per 16,000 units 2011/06/29 300,000,000 2010/11/24
66130 HK Bank HSI R Bear CBBC May 2011 C 0.250 25,100 per 10,000 units 24,600 per 10,000 units 2011/05/30 100,000,000 2010/11/24
66188 J P Morgan SP BV HSI R Bull CBBC Feb 2011 S 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 200,000,000 2010/11/24
66193 J P Morgan SP BV HSI R Bear CBBC Feb 2011 M 0.250 24,000 per 8,000 units 23,500 per 8,000 units 2011/02/25 200,000,000 2010/11/24
66190 J P Morgan SP BV HSI R Bear CBBC Feb 2011 R 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 200,000,000 2010/11/24
66134 J P Morgan SP BV HSI R Bear CBBC Feb 2011 T 0.250 24,500 per 8,000 units 24,000 per 8,000 units 2011/02/25 200,000,000 2010/11/24
66133 J P Morgan SP BV HSI R Bear CBBC Feb 2011 U 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/02/25 200,000,000 2010/11/24
66209 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 X 0.250 22,700 per 8,000 units 23,200 per 8,000 units 2011/03/30 128,000,000 2010/11/24
66214 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 W 0.250 23,800 per 8,000 units 23,300 per 8,000 units 2011/03/30 128,000,000 2010/11/24
66216 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 T 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/04/28 128,000,000 2010/11/24
66217 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 U 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/04/28 128,000,000 2010/11/24
66136 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11D 0.250 23,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 600,000,000 2010/11/24
66119 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11X 0.250 23,100 per 12,000 units 23,600 per 12,000 units 2011/03/30 300,000,000 2010/11/24
66120 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC May11U 0.320 21,000 per 12,000 units 21,500 per 12,000 units 2011/05/30 300,000,000 2010/11/24
66121 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC May11V 0.375 21,100 per 10,000 units 21,600 per 10,000 units 2011/05/30 300,000,000 2010/11/24
66122 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC May11W 0.250 21,200 per 15,000 units 21,700 per 15,000 units 2011/05/30 600,000,000 2010/11/24
66124 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC May11Y 0.335 21,400 per 10,000 units 21,900 per 10,000 units 2011/05/30 300,000,000 2010/11/24
66127 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11X 0.250 24,500 per 15,000 units 24,000 per 15,000 units 2011/02/25 600,000,000 2010/11/24
66128 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Feb11Y 0.250 24,400 per 10,000 units 23,900 per 10,000 units 2011/02/25 300,000,000 2010/11/24
66138 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11C 0.250 24,100 per 10,000 units 23,600 per 10,000 units 2011/03/30 300,000,000 2010/11/24
66125 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11Y 0.250 24,200 per 15,000 units 23,700 per 15,000 units 2011/03/30 600,000,000 2010/11/24
66129 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11Z 0.250 24,300 per 12,000 units 23,800 per 12,000 units 2011/03/30 300,000,000 2010/11/24
66162 UBS AG China Life R Bear CBBC Mar 2011 I 0.250 35.880 34.880 2011/03/28 100,000,000 2010/11/24
66139 UBS AG HSI R Bull CBBC Feb 2011 J 0.250 22,800 per 10,000 units 23,300 per 10,000 units 2011/02/25 200,000,000 2010/11/24
66143 UBS AG HSI R Bull CBBC Mar 2011 E 0.250 23,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 200,000,000 2010/11/24
66167 UBS AG HSI R Bear CBBC Feb 2011 H 0.250 24,500 per 10,000 units 24,000 per 10,000 units 2011/02/25 200,000,000 2010/11/24
66168 UBS AG HSI R Bear CBBC Mar 2011 B 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/03/30 200,000,000 2010/11/24
66171 UBS AG HSI R Bear CBBC Apr 2011 A 0.250 24,700 per 12,000 units 24,200 per 12,000 units 2011/04/28 200,000,000 2010/11/24
66170 UBS AG HSI R Bear CBBC Apr 2011 F 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/04/28 200,000,000 2010/11/24
66169 UBS AG HSI R Bear CBBC Apr 2011 M 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/04/28 200,000,000 2010/11/24
66164 UBS AG Hutchison R Bear CBBC Mar 2011 E 0.250 89 per 100 units 85 per 100 units 2011/03/21 100,000,000 2010/11/24
66166 UBS AG TCH R Bear CBBC Apr 2011 A 0.250 186.88 per 100 units 178.88 per 100 units 2011/04/04 100,000,000 2010/11/24
66238 Credit Suisse AG HSI R Bull CBBC May 2011 U 0.250 22,900 per 13,000 units 23,400 per 13,000 units 2011/05/30 390,000,000 2010/11/25
66240 Credit Suisse AG HSI R Bear CBBC Mar 2011 G 0.250 24,300 per 15,000 units 23,800 per 15,000 units 2011/03/30 390,000,000 2010/11/25
66219 Credit Suisse AG HSI R Bear CBBC Apr 2011 F 0.250 23,900 per 10,000 units 23,418 per 10,000 units 2011/04/28 300,000,000 2010/11/25
66239 Credit Suisse AG TCH R Bull CBBC Mar 2011 I 0.250 162 per 100 units 168 per 100 units 2011/03/21 100,000,000 2010/11/25
66243 Deutsche Bank AG HSI R Bull CBBC May 2011 T 0.250 23,022 per 11,000 units 23,222 per 11,000 units 2011/05/30 300,000,000 2010/11/25
66234 Deutsche Bank AG HSI R Bear CBBC Apr 2011 S 0.250 23,522 per 16,000 units 23,322 per 16,000 units 2011/04/28 300,000,000 2010/11/25
66235 Deutsche Bank AG HSI R Bear CBBC May 2011 S 0.280 23,622 per 11,000 units 23,422 per 11,000 units 2011/05/30 300,000,000 2010/11/25
66256 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 V 0.250 23,000 per 10,000 units 23,500 per 10,000 units 2011/03/30 128,000,000 2010/11/25
66255 RB of Scotland N.V. HSCEI R Bull CBBC Mar 2011 H 0.250 12,500 per 15,000 units 13,000 per 15,000 units 2011/03/30 250,000,000 2010/11/25
66259 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 I 0.250 14,400 per 15,000 units 13,900 per 15,000 units 2011/03/30 250,000,000 2010/11/25
66244 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11M 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/02/25 300,000,000 2010/11/25
66220 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Feb11O 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/02/25 600,000,000 2010/11/25
66245 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11F 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/03/30 300,000,000 2010/11/25
66224 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11A 0.405 20,500 per 10,000 units 21,000 per 10,000 units 2011/06/29 300,000,000 2010/11/25
66225 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11B 0.265 20,600 per 15,000 units 21,100 per 15,000 units 2011/06/29 600,000,000 2010/11/25
66229 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11C 0.315 20,700 per 12,000 units 21,200 per 12,000 units 2011/06/29 300,000,000 2010/11/25
66230 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11D 0.365 20,800 per 10,000 units 21,300 per 10,000 units 2011/06/29 300,000,000 2010/11/25
66233 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11E 0.250 20,900 per 15,000 units 21,400 per 15,000 units 2011/06/29 600,000,000 2010/11/25
66222 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11A 0.250 23,900 per 15,000 units 23,400 per 15,000 units 2011/03/30 600,000,000 2010/11/25
66221 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11B 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 300,000,000 2010/11/25
66223 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11G 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 300,000,000 2010/11/25
66254 UBS AG HSBC R Bear CBBC Apr 2011 C 0.250 95 per 100 units 90 per 100 units 2011/04/04 100,000,000 2010/11/25
66248 UBS AG HSI R Bull CBBC Feb 2011 C 0.250 21,600 per 10,000 units 22,100 per 10,000 units 2011/02/25 200,000,000 2010/11/25
66249 UBS AG HSI R Bull CBBC Mar 2011 D 0.250 22,700 per 12,000 units 23,200 per 12,000 units 2011/03/30 200,000,000 2010/11/25
66251 UBS AG HSI R Bull CBBC Apr 2011 D 0.250 22,900 per 15,000 units 23,400 per 15,000 units 2011/04/28 200,000,000 2010/11/25
66252 UBS AG HSI R Bull CBBC May 2011 I 0.250 21,400 per 15,000 units 21,900 per 15,000 units 2011/05/30 200,000,000 2010/11/25
66237 UBS AG HSI R Bear CBBC Apr 2011 W 0.250 24,100 per 12,000 units 23,600 per 12,000 units 2011/04/28 200,000,000 2010/11/25
66253 UBS AG HSI R Bear CBBC Jun 2011 D 0.250 25,300 per 38,000 units 24,800 per 38,000 units 2011/06/29 300,000,000 2010/11/25
66261 Credit Suisse AG CK(H) R Bear CBBC Mar 2011 C 0.250 130 per 100 units 123 per 100 units 2011/03/21 100,000,000 2010/11/26
66265 Credit Suisse AG A50 China R Bear CBBC Apr 2011 B 0.250 13.700 13.300 2011/04/26 100,000,000 2010/11/26
66260 Credit Suisse AG HSI R Bull CBBC Jun 2011 L 0.250 22,800 per 15,000 units 23,300 per 15,000 units 2011/06/29 390,000,000 2010/11/26
66257 Credit Suisse AG HSI R Bear CBBC Mar 2011 A 0.250 24,400 per 13,000 units 23,900 per 13,000 units 2011/03/30 390,000,000 2010/11/26
66268 Credit Suisse AG HSI R Bear CBBC Mar 2011 Y 0.250 24,000 per 15,000 units 23,500 per 15,000 units 2011/03/30 390,000,000 2010/11/26
66258 Credit Suisse AG HSI R Bear CBBC Apr 2011 E 0.250 24,700 per 22,000 units 24,200 per 22,000 units 2011/04/28 330,000,000 2010/11/26
66262 Credit Suisse AG SHK Ppt R Bear CBBC Mar 2011 B 0.250 142 per 100 units 135 per 100 units 2011/03/21 100,000,000 2010/11/26
66271 Deutsche Bank AG HSI R Bull CBBC Mar 2011 N 0.360 21,222 per 11,000 units 21,422 per 11,000 units 2011/03/30 300,000,000 2010/11/26
66272 Deutsche Bank AG HSI R Bull CBBC Apr 2011 X 0.250 22,122 per 16,000 units 22,322 per 16,000 units 2011/04/28 300,000,000 2010/11/26
66279 Deutsche Bank AG HSI R Bear CBBC Apr 2011 V 0.410 25,622 per 11,000 units 25,422 per 11,000 units 2011/04/28 300,000,000 2010/11/26
66277 Deutsche Bank AG HSI R Bear CBBC Apr 2011 Y 0.300 24,622 per 11,000 units 24,422 per 11,000 units 2011/04/28 300,000,000 2010/11/26
66280 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11F 0.415 19,800 per 12,000 units 20,300 per 12,000 units 2011/06/29 300,000,000 2010/11/26
66281 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11G 0.490 19,900 per 10,000 units 20,400 per 10,000 units 2011/06/29 300,000,000 2010/11/26
66282 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11H 0.320 20,000 per 15,000 units 20,500 per 15,000 units 2011/06/29 600,000,000 2010/11/26
66283 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11I 0.385 20,100 per 12,000 units 20,600 per 12,000 units 2011/06/29 300,000,000 2010/11/26
66284 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11J 0.450 20,200 per 10,000 units 20,700 per 10,000 units 2011/06/29 300,000,000 2010/11/26
66285 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11K 0.295 20,300 per 15,000 units 20,800 per 15,000 units 2011/06/29 600,000,000 2010/11/26
66286 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Jun11L 0.355 20,400 per 12,000 units 20,900 per 12,000 units 2011/06/29 300,000,000 2010/11/26
66290 UBS AG HSCEI R Bear CBBC Mar 2011 H 0.250 14,500 per 12,000 units 14,000 per 12,000 units 2011/03/30 100,000,000 2010/11/26
66287 UBS AG HSI R Bull CBBC May 2011 J 0.250 21,100 per 15,000 units 21,600 per 15,000 units 2011/05/30 200,000,000 2010/11/26
66288 UBS AG HSI R Bull CBBC May 2011 K 0.250 21,500 per 12,000 units 22,000 per 12,000 units 2011/05/30 200,000,000 2010/11/26
66292 UBS AG HSI R Bear CBBC May 2011 L 0.250 24,800 per 38,000 units 24,300 per 38,000 units 2011/05/30 300,000,000 2010/11/26
64520 # UBS AG HSI R Bull CBBC Feb 2011 I 0.084 22,100 per 12,000 units 22,600 per 12,000 units 2011/02/25 200,000,000 2010/11/26
66295 Credit Suisse AG HSI R Bull CBBC May 2011 V 0.250 23,000 per 13,000 units 23,500 per 13,000 units 2011/05/30 390,000,000 2010/11/29
66301 J P Morgan SP BV HSI R Bull CBBC Mar 2011 D 0.250 23,000 per 8,000 units 23,500 per 8,000 units 2011/03/30 200,000,000 2010/11/29
66302 J P Morgan SP BV HSI R Bull CBBC Mar 2011 E 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/03/30 200,000,000 2010/11/29
66297 UBS AG HSI R Bull CBBC May 2011 M 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2011/05/30 200,000,000 2010/11/29
66300 UBS AG HSI R Bull CBBC May 2011 N 0.250 20,800 per 15,000 units 21,300 per 15,000 units 2011/05/30 200,000,000 2010/11/29
66326 Credit Suisse AG CK(H) R Bear CBBC Apr 2011 B 0.250 123 per 100 units 116 per 100 units 2011/04/11 100,000,000 2010/11/30
66315 Credit Suisse AG HSI R Bull CBBC Apr 2011 L 0.250 22,700 per 10,000 units 23,188 per 10,000 units 2011/04/28 300,000,000 2010/11/30
66324 Credit Suisse AG HSI R Bear CBBC Mar 2011 X 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2011/03/30 390,000,000 2010/11/30
66325 Credit Suisse AG HSI R Bear CBBC Apr 2011 C 0.250 23,600 per 10,000 units 23,118 per 10,000 units 2011/04/28 300,000,000 2010/11/30
66327 Credit Suisse AG SHK Ppt R Bear CBBC Apr 2011 B 0.250 135 per 100 units 128 per 100 units 2011/04/11 100,000,000 2010/11/30
66333 Deutsche Bank AG HSCEI R Bear CBBC Apr 2011 C 0.250 13,500 per 8,000 units 13,100 per 8,000 units 2011/04/28 150,000,000 2010/11/30
66334 Deutsche Bank AG HSCEI R Bear CBBC Apr 2011 D 0.300 14,000 per 8,000 units 13,600 per 8,000 units 2011/04/28 150,000,000 2010/11/30
66305 Deutsche Bank AG HSI R Bull CBBC Mar 2011 E 0.250 23,322 per 11,000 units 23,522 per 11,000 units 2011/03/30 300,000,000 2010/11/30
66318 Deutsche Bank AG HSI R Bull CBBC Mar 2011 Z 0.250 22,722 per 11,000 units 22,922 per 11,000 units 2011/03/30 300,000,000 2010/11/30
66306 Deutsche Bank AG HSI R Bull CBBC May 2011 U 0.300 22,922 per 11,000 units 23,122 per 11,000 units 2011/05/30 300,000,000 2010/11/30
66319 Deutsche Bank AG HSI R Bull CBBC Jul 2011 K 0.250 22,622 per 11,000 units 22,822 per 11,000 units 2011/07/28 300,000,000 2010/11/30
66320 Deutsche Bank AG HSI R Bull CBBC Aug 2011 K 0.270 22,322 per 11,000 units 22,522 per 11,000 units 2011/08/30 300,000,000 2010/11/30
66336 Deutsche Bank AG HSI R Bull CBBC Aug 2011 M 0.400 19,422 per 11,000 units 19,622 per 11,000 units 2011/08/30 300,000,000 2010/11/30
66337 Deutsche Bank AG HSI R Bear CBBC Apr 2011 U 0.250 23,122 per 11,000 units 22,922 per 11,000 units 2011/04/28 300,000,000 2010/11/30
66322 Deutsche Bank AG HSI R Bear CBBC Jun 2011 L 0.250 23,322 per 11,000 units 23,122 per 11,000 units 2011/06/29 300,000,000 2010/11/30
66323 Deutsche Bank AG HSI R Bear CBBC Jul 2011 L 0.250 23,722 per 11,000 units 23,522 per 11,000 units 2011/07/28 300,000,000 2010/11/30
66303 HK Bank ICBC R Bull CBBC Jun 2011 A 0.250 5.380 5.680 2011/06/15 100,000,000 2010/11/30
66304 HK Bank ICBC R Bear CBBC May 2011 A 0.250 7.180 6.880 2011/05/23 100,000,000 2010/11/30
66339 J P Morgan SP BV HSI R Bear CBBC Mar 2011 F 0.250 23,500 per 8,000 units 23,000 per 8,000 units 2011/03/30 200,000,000 2010/11/30
66340 J P Morgan SP BV HSI R Bear CBBC Mar 2011 G 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/03/30 200,000,000 2010/11/30
66329 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 J 0.250 23,400 per 8,000 units 22,900 per 8,000 units 2011/03/30 128,000,000 2010/11/30
66330 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 P 0.250 24,100 per 10,000 units 23,600 per 10,000 units 2011/03/30 128,000,000 2010/11/30
66331 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 V 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2011/04/28 128,000,000 2010/11/30
66332 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 W 0.250 23,700 per 10,000 units 23,200 per 10,000 units 2011/04/28 128,000,000 2010/11/30
66342 UBS AG A50 China R Bear CBBC Apr 2011 B 0.250 13.900 13.500 2011/04/04 100,000,000 2010/11/30
66341 UBS AG HSBC R Bear CBBC Apr 2011 D 0.250 90 per 100 units 85 per 100 units 2011/04/11 100,000,000 2010/11/30
66316 UBS AG HSI R Bull CBBC Mar 2011 Q 0.250 22,400 per 12,000 units 22,900 per 12,000 units 2011/03/30 200,000,000 2010/11/30
66314 UBS AG HSI R Bull CBBC Apr 2011 L 0.250 22,600 per 15,000 units 23,100 per 15,000 units 2011/04/28 200,000,000 2010/11/30
66345 UBS AG HSI R Bear CBBC Mar 2011 K 0.250 25,100 per 10,000 units 24,600 per 10,000 units 2011/03/30 200,000,000 2010/11/30
66344 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 23,600 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/11/30
66346 UBS AG HSI R Bear CBBC May 2011 O 0.250 23,400 per 15,000 units 22,900 per 15,000 units 2011/05/30 200,000,000 2010/11/30
66347 UBS AG HSI R Bear CBBC Jun 2011 A 0.250 24,300 per 38,000 units 23,800 per 38,000 units 2011/06/29 300,000,000 2010/11/30
64549 # Credit Suisse AG HSI R Bull CBBC Feb 2011 V 0.099 22,100 per 10,000 units 22,588 per 10,000 units 2011/02/25 300,000,000 2010/11/30
66376 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 S 0.250 21,200 per 10,000 units 21,400 per 10,000 units 2011/10/28 200,000,000 2010/12/01
66377 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 T 0.250 21,400 per 10,000 units 21,600 per 10,000 units 2011/10/28 200,000,000 2010/12/01
66378 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 F 0.250 23,900 per 10,000 units 23,700 per 10,000 units 2011/03/30 200,000,000 2010/12/01
66370 Credit Suisse AG HSI R Bull CBBC May 2011 W 0.250 22,500 per 15,000 units 23,000 per 15,000 units 2011/05/30 390,000,000 2010/12/01
66365 Credit Suisse AG HSI R Bear CBBC Apr 2011 X 0.250 23,500 per 13,000 units 23,000 per 13,000 units 2011/04/28 390,000,000 2010/12/01
66373 Deutsche Bank AG HSI R Bull CBBC Apr 2011 K 0.250 22,822 per 11,000 units 23,022 per 11,000 units 2011/04/28 300,000,000 2010/12/01
66363 Deutsche Bank AG HSI R Bear CBBC Apr 2011 L 0.250 23,222 per 11,000 units 23,022 per 11,000 units 2011/04/28 300,000,000 2010/12/01
66358 HK Bank A50 R Bear CBBC Jul 2011 A 0.250 14.500 14.180 2011/07/12 100,000,000 2010/12/01
66359 HK Bank HSI R Bear CBBC May 2011 D 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/05/30 100,000,000 2010/12/01
66360 HK Bank HSI R Bear CBBC May 2011 E 0.250 24,318 per 12,000 units 23,818 per 12,000 units 2011/05/30 100,000,000 2010/12/01
66361 HK Bank HSI R Bear CBBC Jun 2011 L 0.250 24,700 per 15,000 units 24,200 per 15,000 units 2011/06/29 100,000,000 2010/12/01
66367 J P Morgan SP BV HSI R Bull CBBC Mar 2011 H 0.250 22,500 per 8,000 units 23,000 per 8,000 units 2011/03/30 200,000,000 2010/12/01
66348 SGA Societe Generale Acceptance N.V. CMob R Bull CBBC May11E 0.250 67 per 100 units 70 per 100 units 2011/05/30 300,000,000 2010/12/01
66349 SGA Societe Generale Acceptance N.V. A50 R Bull CBBC May11A 0.250 11.100 11.500 2011/05/30 150,000,000 2010/12/01
66356 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC May11B 0.250 14.900 14.500 2011/05/30 150,000,000 2010/12/01
66357 SGA Societe Generale Acceptance N.V. A50 R Bear CBBC May11C 0.250 14.400 14.000 2011/05/30 150,000,000 2010/12/01
66369 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11Q 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/03/30 500,000,000 2010/12/01
66368 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11R 0.250 22,400 per 15,000 units 22,900 per 15,000 units 2011/03/30 700,000,000 2010/12/01
66355 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11S 0.250 23,700 per 12,000 units 23,200 per 12,000 units 2011/03/30 500,000,000 2010/12/01
66354 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11T 0.250 23,600 per 15,000 units 23,100 per 15,000 units 2011/03/30 700,000,000 2010/12/01
66352 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11U 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2011/03/30 500,000,000 2010/12/01
66374 UBS AG CNOOC R Bull CBBC Apr 2011 A 0.260 14.580 15.380 2011/04/11 100,000,000 2010/12/01
66362 UBS AG HSI R Bear CBBC Mar 2011 E 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2011/03/30 200,000,000 2010/12/01
66375 UBS AG HSI R Bear CBBC May 2011 P 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/05/30 200,000,000 2010/12/01
64039 # Credit Suisse AG HSI R Bull CBBC Jan 2011 D 0.148 20,700 per 15,000 units 21,200 per 15,000 units 2011/01/28 390,000,000 2010/12/01
66388 Credit Suisse AG HSI R Bull CBBC Jun 2011 M 0.250 22,400 per 10,000 units 22,888 per 10,000 units 2011/06/29 300,000,000 2010/12/02
66387 Credit Suisse AG HSI R Bear CBBC Mar 2011 H 0.250 23,700 per 15,000 units 23,200 per 15,000 units 2011/03/30 390,000,000 2010/12/02
66396 Deutsche Bank AG HSI R Bull CBBC May 2011 W 0.250 23,022 per 11,000 units 23,222 per 11,000 units 2011/05/30 300,000,000 2010/12/02
66379 Deutsche Bank AG HSI R Bull CBBC Jun 2011 M 0.330 20,822 per 11,000 units 21,022 per 11,000 units 2011/06/29 300,000,000 2010/12/02
66380 Deutsche Bank AG HSI R Bull CBBC Jun 2011 N 0.250 21,822 per 11,000 units 22,022 per 11,000 units 2011/06/29 300,000,000 2010/12/02
66381 Deutsche Bank AG HSI R Bear CBBC May 2011 V 0.340 25,222 per 11,000 units 25,022 per 11,000 units 2011/05/30 300,000,000 2010/12/02
66385 Deutsche Bank AG HSI R Bear CBBC Jun 2011 O 0.250 25,250 per 40,000 units 24,750 per 40,000 units 2011/06/29 300,000,000 2010/12/02
66389 J P Morgan SP BV HSI R Bull CBBC Mar 2011 I 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/03/30 200,000,000 2010/12/02
66391 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11O 0.250 22,700 per 15,000 units 23,200 per 15,000 units 2011/03/30 700,000,000 2010/12/02
66390 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11P 0.250 22,600 per 10,000 units 23,100 per 10,000 units 2011/03/30 500,000,000 2010/12/02
66392 UBS AG HSI R Bull CBBC Mar 2011 D 0.250 22,500 per 10,000 units 23,000 per 10,000 units 2011/03/30 200,000,000 2010/12/02
66397 UBS AG HSI R Bull CBBC May 2011 Q 0.250 22,700 per 12,000 units 23,200 per 12,000 units 2011/05/30 200,000,000 2010/12/02
66398 Credit Suisse AG HSI R Bull CBBC Mar 2011 Z 0.250 22,300 per 13,000 units 22,800 per 13,000 units 2011/03/30 390,000,000 2010/12/03
66403 Deutsche Bank AG HSI R Bear CBBC May 2011 X 0.250 23,422 per 11,000 units 23,222 per 11,000 units 2011/05/30 300,000,000 2010/12/03
66404 J P Morgan SP BV HSI R Bull CBBC Mar 2011 J 0.250 22,300 per 15,000 units 22,800 per 15,000 units 2011/03/30 200,000,000 2010/12/03
66400 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 X 0.250 22,300 per 10,000 units 22,800 per 10,000 units 2011/04/28 128,000,000 2010/12/03
66405 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 J 0.250 21,700 per 13,000 units 22,200 per 13,000 units 2011/03/30 250,000,000 2010/12/03
66406 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 K 0.250 23,700 per 13,000 units 23,200 per 13,000 units 2011/03/30 250,000,000 2010/12/03
66407 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 L 0.251 24,000 per 10,000 units 23,500 per 10,000 units 2011/03/30 250,000,000 2010/12/03
66411 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 M 0.250 24,300 per 13,000 units 23,800 per 13,000 units 2011/03/30 250,000,000 2010/12/03
66412 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 N 0.251 24,600 per 10,000 units 24,100 per 10,000 units 2011/03/30 250,000,000 2010/12/03
66413 RB of Scotland N.V. HSI R Bear CBBC Mar 2011 O 0.250 24,900 per 13,000 units 24,400 per 13,000 units 2011/03/30 250,000,000 2010/12/03
66399 UBS AG HSI R Bull CBBC Apr 2011 D 0.250 22,300 per 15,000 units 22,800 per 15,000 units 2011/04/28 200,000,000 2010/12/03
66429 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 G 0.250 23,600 per 10,000 units 23,400 per 10,000 units 2011/03/30 200,000,000 2010/12/06
66430 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 H 0.250 23,700 per 10,000 units 23,500 per 10,000 units 2011/03/30 200,000,000 2010/12/06
66433 Credit Suisse AG HSI R Bull CBBC Jun 2011 N 0.250 22,600 per 13,000 units 23,100 per 13,000 units 2011/06/29 390,000,000 2010/12/06
66427 Credit Suisse AG HSI R Bear CBBC Mar 2011 J 0.250 23,400 per 10,000 units 22,918 per 10,000 units 2011/03/30 300,000,000 2010/12/06
66436 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Q 0.340 25,022 per 11,000 units 24,822 per 11,000 units 2011/03/30 300,000,000 2010/12/06
66435 Deutsche Bank AG HSI R Bear CBBC Mar 2011 S 0.280 24,322 per 11,000 units 24,122 per 11,000 units 2011/03/30 300,000,000 2010/12/06
66434 Deutsche Bank AG HSI R Bear CBBC Mar 2011 U 0.250 24,022 per 11,000 units 23,822 per 11,000 units 2011/03/30 300,000,000 2010/12/06
66431 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 Y 0.250 24,700 per 15,000 units 24,200 per 15,000 units 2011/04/28 158,000,000 2010/12/06
66424 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 H 0.250 11,750 per 30,000 units 11,350 per 30,000 units 2011/03/18 80,000,000 2010/12/06
66426 RB of Scotland N.V. DJIA R Bear CBBC Mar 2011 I 0.251 12,150 per 60,000 units 11,750 per 60,000 units 2011/03/18 80,000,000 2010/12/06
66414 SGA Societe Generale Acceptance N.V CK(H) R Bull CBBC May11E 0.260 89 per 100 units 95 per 100 units 2011/05/30 100,000,000 2010/12/06
66415 SGA Societe Generale Acceptance N.V CK(H) R Bull CBBC May11F 0.250 99 per 100 units 105 per 100 units 2011/05/30 100,000,000 2010/12/06
66416 SGA Societe Generale Acceptance N.V CLife R Bear CBBC May11D 0.390 37.000 36.000 2011/05/30 100,000,000 2010/12/06
66417 SGA Societe Generale Acceptance N.V CLife R Bear CBBC May11E 0.500 38.000 37.000 2011/05/30 100,000,000 2010/12/06
66418 SGA Societe Generale Acceptance N.V. HSBC R Bull CBBC May11D 0.250 61 per 100 units 65 per 100 units 2011/05/30 300,000,000 2010/12/06
66423 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11N 0.250 22,300 per 10,000 units 22,800 per 10,000 units 2011/03/30 500,000,000 2010/12/06
66421 SGA Societe Generale Acceptance N.V SHK P R Bull CBBC May11E 0.300 98 per 100 units 105 per 100 units 2011/05/30 100,000,000 2010/12/06
66422 SGA Societe Generale Acceptance N.V SHK P R Bull CBBC May11F 0.250 108 per 100 units 115 per 100 units 2011/05/30 100,000,000 2010/12/06
66432 UBS AG HSCEI R Bear CBBC Apr 2011 C 0.250 13,900 per 12,000 units 13,500 per 12,000 units 2011/04/28 100,000,000 2010/12/06
64380 # Credit Suisse AG HSI R Bull CBBC Feb 2011 R 0.105 21,900 per 10,000 units 22,388 per 10,000 units 2011/02/25 300,000,000 2010/12/06
66441 Credit Suisse AG HSI R Bear CBBC Mar 2011 O 0.250 23,600 per 10,000 units 23,118 per 10,000 units 2011/03/30 300,000,000 2010/12/07
66450 Deutsche Bank AG China Life R Bear CBBC May 2011 C 0.430 36.680 35.680 2011/05/30 100,000,000 2010/12/07
66452 Deutsche Bank AG HKEx R Bear CBBC May 2011 A 0.270 198.88 per 100 units 192.88 per 100 units 2011/05/30 100,000,000 2010/12/07
66443 Deutsche Bank AG HSI R Bull CBBC Mar 2011 W 0.250 21,922 per 11,000 units 22,122 per 11,000 units 2011/03/30 300,000,000 2010/12/07
66439 Deutsche Bank AG HSI R Bull CBBC Mar 2011 X 0.250 22,922 per 11,000 units 23,122 per 11,000 units 2011/03/30 300,000,000 2010/12/07
66440 Deutsche Bank AG HSI R Bull CBBC May 2011 Y 0.280 22,722 per 11,000 units 22,922 per 11,000 units 2011/05/30 300,000,000 2010/12/07
66444 Deutsche Bank AG HSI R Bull CBBC May 2011 Z 0.300 21,622 per 11,000 units 21,822 per 11,000 units 2011/05/30 300,000,000 2010/12/07
66445 Deutsche Bank AG HSI R Bear CBBC Mar 2011 H 0.250 23,122 per 11,000 units 22,922 per 11,000 units 2011/03/30 300,000,000 2010/12/07
66446 Deutsche Bank AG HSI R Bear CBBC Apr 2011 T 0.270 23,322 per 11,000 units 23,122 per 11,000 units 2011/04/28 300,000,000 2010/12/07
66449 KBC Fin Products Int’l Ltd. HSI R Bull CBBC May 2011 H 0.250 20,500 per 15,000 units 21,000 per 15,000 units 2011/05/30 158,000,000 2010/12/07
66447 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 Z 0.250 23,500 per 12,000 units 23,000 per 12,000 units 2011/04/28 128,000,000 2010/12/07
66454 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 P 0.250 20,800 per 13,000 units 21,300 per 13,000 units 2011/03/30 250,000,000 2010/12/07
66455 RB of Scotland N.V. HSI R Bull CBBC Mar 2011 Q 0.251 21,200 per 13,000 units 21,700 per 13,000 units 2011/03/30 250,000,000 2010/12/07
66453 UBS AG China Mobile R Bull CBBC Apr 2011 B 0.250 61.88 per 100 units 64.88 per 100 units 2011/04/11 100,000,000 2010/12/07
66438 UBS AG HSI R Bull CBBC Apr 2011 K 0.250 22,700 per 15,000 units 23,100 per 15,000 units 2011/04/28 200,000,000 2010/12/07
66448 UBS AG HSI R Bear CBBC Mar 2011 Q 0.250 23,500 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/12/07
65934 # UBS AG HSI R Bear CBBC Apr 2011 H 0.120 25,200 per 15,000 units 24,700 per 15,000 units 2011/04/28 200,000,000 2010/12/07
66472 Credit Suisse AG A50 China R Bull CBBC Mar 2011 G 0.250 12.600 13.000 2011/03/21 100,000,000 2010/12/08
66471 Credit Suisse AG HSI R Bull CBBC May 2011 X 0.250 22,700 per 10,000 units 23,188 per 10,000 units 2011/05/30 300,000,000 2010/12/08
66470 Credit Suisse AG HSI R Bear CBBC Mar 2011 X 0.250 23,800 per 13,000 units 23,300 per 13,000 units 2011/03/30 390,000,000 2010/12/08
66481 Deutsche Bank AG HSI R Bull CBBC Apr 2011 F 0.250 22,822 per 11,000 units 23,022 per 11,000 units 2011/04/28 300,000,000 2010/12/08
66464 Deutsche Bank AG HSI R Bear CBBC Apr 2011 G 0.250 23,522 per 16,000 units 23,322 per 16,000 units 2011/04/28 300,000,000 2010/12/08
66463 Deutsche Bank AG HSI R Bear CBBC Apr 2011 R 0.250 23,222 per 11,000 units 23,022 per 11,000 units 2011/04/28 300,000,000 2010/12/08
66459 Deutsche Bank AG HSI R Bear CBBC Sep 2011 F 0.250 24,450 per 20,000 units 23,950 per 20,000 units 2011/09/29 300,000,000 2010/12/08
66474 J P Morgan SP BV HSI R Bull CBBC Mar 2011 K 0.250 22,500 per 8,000 units 23,000 per 8,000 units 2011/03/30 200,000,000 2010/12/08
66475 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC May 11A 0.250 68.88 per 100 units 72.88 per 100 units 2011/05/06 108,000,000 2010/12/08
66476 KBC Fin Products Int’l Ltd. Ch Mobile R Bull CBBC Jun 11A 0.250 64.88 per 100 units 68.88 per 100 units 2011/06/03 108,000,000 2010/12/08
66479 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC May 11B 0.250 90.88 per 100 units 86.88 per 100 units 2011/05/06 80,000,000 2010/12/08
66480 KBC Fin Products Int’l Ltd. Ch Mobile R Bear CBBC Jun 11B 0.250 94.88 per 100 units 90.88 per 100 units 2011/06/03 80,000,000 2010/12/08
66477 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 T 0.250 23,800 per 8,000 units 23,300 per 8,000 units 2011/03/30 128,000,000 2010/12/08
66458 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11M 0.250 22,400 per 15,000 units 22,900 per 15,000 units 2011/03/30 700,000,000 2010/12/08
66462 UBS AG HSI R Bull CBBC May 2011 R 0.250 22,500 per 12,000 units 22,900 per 12,000 units 2011/05/30 200,000,000 2010/12/08
66460 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 23,700 per 12,000 units 23,300 per 12,000 units 2011/03/30 200,000,000 2010/12/08
66461 UBS AG HSI R Bear CBBC Apr 2011 L 0.250 23,400 per 12,000 units 23,000 per 12,000 units 2011/04/28 200,000,000 2010/12/08
66503 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 D 0.250 22,700 per 10,000 units 22,900 per 10,000 units 2011/12/29 200,000,000 2010/12/09
66493 Credit Suisse AG HKEx R Bull CBBC Mar 2011 I 0.250 174 per 100 units 180 per 100 units 2011/03/21 100,000,000 2010/12/09
66484 Credit Suisse AG HSI R Bull CBBC May 2011 Y 0.250 22,500 per 15,000 units 23,000 per 15,000 units 2011/05/30 390,000,000 2010/12/09
66483 Credit Suisse AG HSI R Bear CBBC Apr 2011 W 0.250 23,900 per 10,000 units 23,418 per 10,000 units 2011/04/28 300,000,000 2010/12/09
66494 Credit Suisse AG TCH R Bull CBBC Mar 2011 J 0.250 162 per 100 units 170 per 100 units 2011/03/21 100,000,000 2010/12/09
66489 Deutsche Bank AG HSI R Bull CBBC Mar 2011 I 0.250 23,122 per 11,000 units 23,322 per 11,000 units 2011/03/30 300,000,000 2010/12/09
66501 Deutsche Bank AG HSI R Bull CBBC Apr 2011 Q 0.250 23,222 per 16,000 units 23,422 per 16,000 units 2011/04/28 300,000,000 2010/12/09
66486 Deutsche Bank AG HSI R Bear CBBC Mar 2011 M 0.250 23,622 per 11,000 units 23,422 per 11,000 units 2011/03/30 300,000,000 2010/12/09
66505 Deutsche Bank AG HSI R Bear CBBC Apr 2011 N 0.270 23,722 per 11,000 units 23,522 per 11,000 units 2011/04/28 300,000,000 2010/12/09
66502 J P Morgan SP BV HSI R Bull CBBC Mar 2011 L 0.250 22,900 per 12,000 units 23,400 per 12,000 units 2011/03/30 200,000,000 2010/12/09
66500 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 S 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/03/30 128,000,000 2010/12/09
66487 RB of Scotland N.V. DJIA R Bull CBBC Jun 2011 A 0.250 10,100 per 78,000 units 10,500 per 78,000 units 2011/06/17 80,000,000 2010/12/09
66491 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11K 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/03/30 500,000,000 2010/12/09
66490 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11L 0.250 22,800 per 12,000 units 23,300 per 12,000 units 2011/03/30 500,000,000 2010/12/09
66492 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11J 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 500,000,000 2010/12/09
66496 UBS AG A50 China R Bull CBBC Mar 2011 F 0.250 12.600 13.000 2011/03/14 100,000,000 2010/12/09
66499 UBS AG HSI R Bull CBBC May 2011 S 0.250 23,000 per 15,000 units 23,400 per 15,000 units 2011/05/30 200,000,000 2010/12/09
66485 UBS AG HSI R Bear CBBC Mar 2011 E 0.250 23,800 per 10,000 units 23,400 per 10,000 units 2011/03/30 200,000,000 2010/12/09
66508 Credit Suisse AG HSI R Bull CBBC Jun 2011 O 0.250 22,900 per 15,000 units 23,300 per 15,000 units 2011/06/29 390,000,000 2010/12/10
66509 Credit Suisse AG HSI R Bear CBBC Mar 2011 V 0.250 23,900 per 15,000 units 23,500 per 15,000 units 2011/03/30 390,000,000 2010/12/10
66519 J P Morgan SP BV HSI R Bear CBBC Mar 2011 M 0.250 24,000 per 10,000 units 23,500 per 10,000 units 2011/03/30 200,000,000 2010/12/10
66516 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 G 0.250 24,000 per 12,000 units 23,500 per 12,000 units 2011/03/30 128,000,000 2010/12/10
66518 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 A 0.250 25,400 per 10,000 units 24,900 per 10,000 units 2011/04/28 128,000,000 2010/12/10
66517 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 G 0.250 24,900 per 12,000 units 24,400 per 12,000 units 2011/04/28 128,000,000 2010/12/10
66511 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11H 0.250 24,000 per 10,000 units 23,600 per 10,000 units 2011/03/30 500,000,000 2010/12/10
66512 UBS AG HSI R Bull CBBC Mar 2011 B 0.250 22,900 per 10,000 units 23,300 per 10,000 units 2011/03/30 200,000,000 2010/12/10
66515 UBS AG HSI R Bull CBBC Jul 2011 A 0.250 22,400 per 38,000 units 22,800 per 38,000 units 2011/07/28 300,000,000 2010/12/10
66510 UBS AG HSI R Bear CBBC Apr 2011 M 0.250 23,900 per 15,000 units 23,500 per 15,000 units 2011/04/28 200,000,000 2010/12/10
66041 # UBS AG HSI R Bear CBBC Apr 2011 G 0.086 24,600 per 15,000 units 24,100 per 15,000 units 2011/04/28 200,000,000 2010/12/10
66520 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 U 0.250 22,800 per 10,000 units 23,000 per 10,000 units 2011/10/28 200,000,000 2010/12/13
66523 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 V 0.250 22,900 per 10,000 units 23,100 per 10,000 units 2011/10/28 200,000,000 2010/12/13
66527 Credit Suisse AG HSI R Bear CBBC Apr 2011 U 0.250 24,000 per 13,000 units 23,600 per 13,000 units 2011/04/28 390,000,000 2010/12/13
66532 Deutsche Bank AG China Mobile R Bull CBBC May 2011 A 0.250 73 per 100 units 75 per 100 units 2011/05/23 100,000,000 2010/12/13
66534 Deutsche Bank AG China Mobile R Bull CBBC May 2011 B 0.270 70 per 100 units 72 per 100 units 2011/05/24 100,000,000 2010/12/13
66535 Deutsche Bank AG China Mobile R Bear CBBC May 2011 C 0.270 84 per 100 units 82 per 100 units 2011/05/25 100,000,000 2010/12/13
66528 Deutsche Bank AG China Life R Bull CBBC Mar 2011 J 0.400 30.500 31.000 2011/03/29 100,000,000 2010/12/13
66530 Deutsche Bank AG China Life R Bull CBBC Mar 2011 K 0.250 32.000 32.500 2011/03/30 100,000,000 2010/12/13
66531 Deutsche Bank AG China Life R Bear CBBC Mar 2011 L 0.340 35.500 35.000 2011/03/28 100,000,000 2010/12/13
66536 Deutsche Bank AG HSBC R Bull CBBC Apr 2011 A 0.250 75.50 per 100 units 78 per 100 units 2011/04/11 100,000,000 2010/12/13
66537 Deutsche Bank AG HSBC R Bull CBBC Apr 2011 B 0.280 72.50 per 100 units 75 per 100 units 2011/04/12 100,000,000 2010/12/13
66538 Deutsche Bank AG HSBC R Bear CBBC Apr 2011 C 0.270 87.50 per 100 units 85 per 100 units 2011/04/13 100,000,000 2010/12/13
66541 Deutsche Bank AG HSI R Bull CBBC May 2011 I 0.250 23,022 per 11,000 units 23,222 per 11,000 units 2011/05/30 300,000,000 2010/12/13
66539 Deutsche Bank AG HSI R Bear CBBC Aug 2011 N 0.250 25,450 per 20,000 units 24,950 per 20,000 units 2011/08/30 300,000,000 2010/12/13
66547 J P Morgan SP BV HSI R Bear CBBC Mar 2011 N 0.250 23,800 per 15,000 units 23,300 per 15,000 units 2011/03/30 200,000,000 2010/12/13
66542 RB of Scotland N.V. HSI R Bull CBBC May 2011 A 0.250 21,000 per 13,000 units 21,500 per 13,000 units 2011/05/30 250,000,000 2010/12/13
66546 RB of Scotland N.V. HSI R Bull CBBC May 2011 C 0.250 22,100 per 13,000 units 22,600 per 13,000 units 2011/05/30 250,000,000 2010/12/13
66525 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11I 0.250 23,800 per 10,000 units 23,400 per 10,000 units 2011/03/30 500,000,000 2010/12/13
66540 UBS AG HSI R Bear CBBC Mar 2011 P 0.250 24,000 per 12,000 units 23,600 per 12,000 units 2011/03/30 200,000,000 2010/12/13
65123 # BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 F 0.064 22,500 per 10,000 units 22,700 per 10,000 units 2011/10/28 160,000,000 2010/12/13
65306 # Deutsche Bank AG HSI R Bull CBBC Apr 2011 M 0.059 22,422 per 11,000 units 22,622 per 11,000 units 2011/04/28 200,000,000 2010/12/13
66554 Credit Suisse AG HSBC R Bull CBBC Mar 2011 C 0.250 74 per 100 units 78 per 100 units 2011/03/21 100,000,000 2010/12/14
66555 Credit Suisse AG HSBC R Bull CBBC Apr 2011 B 0.250 69 per 100 units 73 per 100 units 2011/04/26 100,000,000 2010/12/14
66549 Deutsche Bank AG HSI R Bull CBBC Apr 2011 A 0.250 22,922 per 11,000 units 23,122 per 11,000 units 2011/04/28 300,000,000 2010/12/14
66553 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Mar 2011 X 0.250 22,900 per 10,000 units 23,400 per 10,000 units 2011/03/30 128,000,000 2010/12/14
66548 RB of Scotland N.V. DJIA R Bull CBBC Jun 2011 B 0.250 10,250 per 78,000 units 10,650 per 78,000 units 2011/06/17 80,000,000 2010/12/14
66552 RB of Scotland N.V. DJIA R Bear CBBC Jun 2011 C 0.250 12,000 per 60,000 units 11,600 per 60,000 units 2011/06/17 60,000,000 2010/12/14
66558 RB of Scotland N.V. HSCEI R Bull CBBC Mar 2011 J 0.251 11,400 per 10,000 units 11,900 per 10,000 units 2011/03/30 250,000,000 2010/12/14
66560 RB of Scotland N.V. HSCEI R Bull CBBC May 2011 A 0.250 11,000 per 13,000 units 11,500 per 13,000 units 2011/05/30 250,000,000 2010/12/14
66561 RB of Scotland N.V. HSCEI R Bull CBBC May 2011 B 0.250 11,700 per 10,000 units 12,200 per 10,000 units 2011/05/30 250,000,000 2010/12/14
66562 RB of Scotland N.V. HSCEI R Bear CBBC Mar 2011 K 0.250 14,100 per 10,000 units 13,600 per 10,000 units 2011/03/30 250,000,000 2010/12/14
66556 RB of Scotland N.V. HSI R Bull CBBC May 2011 D 0.250 22,250 per 13,000 units 22,750 per 13,000 units 2011/05/30 250,000,000 2010/12/14
66557 RB of Scotland N.V. HSI R Bull CBBC May 2011 E 0.250 22,450 per 10,000 units 22,950 per 10,000 units 2011/05/30 250,000,000 2010/12/14
66550 UBS AG HSI R Bull CBBC May 2011 T 0.250 22,800 per 12,000 units 23,200 per 12,000 units 2011/05/30 200,000,000 2010/12/14
66565 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 I 0.250 23,800 per 10,000 units 23,600 per 10,000 units 2011/03/30 200,000,000 2010/12/15
66591 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 J 0.250 23,500 per 10,000 units 23,300 per 10,000 units 2011/03/30 200,000,000 2010/12/15
66592 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 K 0.250 23,600 per 10,000 units 23,400 per 10,000 units 2011/03/30 200,000,000 2010/12/15
66593 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 L 0.250 23,700 per 10,000 units 23,500 per 10,000 units 2011/03/30 200,000,000 2010/12/15
66570 Credit Suisse AG HSI R Bull CBBC May 2011 M 0.250 22,800 per 10,000 units 23,188 per 10,000 units 2011/05/30 300,000,000 2010/12/15
66574 Credit Suisse AG HSI R Bear CBBC Mar 2011 Y 0.250 23,500 per 10,000 units 23,118 per 10,000 units 2011/03/30 300,000,000 2010/12/15
66569 Deutsche Bank AG HSI R Bull CBBC Apr 2011 U 0.250 22,822 per 11,000 units 23,022 per 11,000 units 2011/04/28 300,000,000 2010/12/15
66594 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Y 0.250 23,322 per 11,000 units 23,122 per 11,000 units 2011/03/30 300,000,000 2010/12/15
66595 Deutsche Bank AG HSI R Bear CBBC Apr 2011 S 0.250 23,522 per 16,000 units 23,322 per 16,000 units 2011/04/28 300,000,000 2010/12/15
66578 J P Morgan SP BV HSI R Bull CBBC Mar 2011 O 0.250 22,500 per 8,000 units 23,000 per 8,000 units 2011/03/30 200,000,000 2010/12/15
66582 J P Morgan SP BV HSI R Bear CBBC Mar 2011 P 0.250 23,600 per 12,000 units 23,100 per 12,000 units 2011/03/30 200,000,000 2010/12/15
66581 RB of Scotland N.V. A50 China R Bull CBBC Apr 2011 A 0.250 10.980 11.480 2011/04/11 80,000,000 2010/12/15
66583 RB of Scotland N.V. A50 China R Bull CBBC Apr 2011 B 0.250 11.380 11.880 2011/04/11 80,000,000 2010/12/15
66586 RB of Scotland N.V. A50 China R Bull CBBC Apr 2011 C 0.250 11.880 12.380 2011/04/11 80,000,000 2010/12/15
66589 RB of Scotland N.V. A50 China R Bear CBBC Apr 2011 D 0.250 14.980 14.480 2011/04/11 80,000,000 2010/12/15
66590 RB of Scotland N.V. A50 China R Bear CBBC Apr 2011 E 0.279 15.780 15.280 2011/04/11 80,000,000 2010/12/15
66568 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11E 0.250 22,600 per 12,000 units 23,000 per 12,000 units 2011/03/30 500,000,000 2010/12/15
66564 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11W 0.250 22,800 per 10,000 units 23,200 per 10,000 units 2011/03/30 500,000,000 2010/12/15
66572 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11X 0.250 23,700 per 12,000 units 23,300 per 12,000 units 2011/03/30 500,000,000 2010/12/15
66573 UBS AG HSI R Bull CBBC Apr 2011 W 0.250 22,700 per 15,000 units 23,100 per 15,000 units 2011/04/28 200,000,000 2010/12/15
66579 UBS AG HSI R Bear CBBC Mar 2011 Q 0.250 23,500 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/12/15
66610 Credit Suisse AG China Mobile R Bull CBBC Apr 2011 A 0.250 65 per 100 units 68 per 100 units 2011/04/18 100,000,000 2010/12/16
66612 Credit Suisse AG A50 China R Bull CBBC Mar 2011 H 0.250 11.900 12.300 2011/03/28 100,000,000 2010/12/16
66613 Credit Suisse AG A50 China R Bull CBBC Apr 2011 C 0.250 11.400 11.800 2011/04/26 100,000,000 2010/12/16
66603 Credit Suisse AG HKEx R Bull CBBC Mar 2011 J 0.250 167 per 100 units 173 per 100 units 2011/03/28 100,000,000 2010/12/16
66604 Credit Suisse AG HKEx R Bull CBBC Apr 2011 A 0.260 157 per 100 units 163 per 100 units 2011/04/26 100,000,000 2010/12/16
66605 Credit Suisse AG HKEx R Bull CBBC May 2011 A 0.360 147 per 100 units 153 per 100 units 2011/05/23 100,000,000 2010/12/16
66599 Credit Suisse AG HSBC R Bull CBBC May 2011 A 0.250 64 per 100 units 68 per 100 units 2011/05/30 100,000,000 2010/12/16
66616 Credit Suisse AG HSBC R Bear CBBC May 2011 B 0.250 99 per 100 units 95 per 100 units 2011/05/09 100,000,000 2010/12/16
66620 Credit Suisse AG HSI R Bull CBBC Mar 2011 U 0.250 22,800 per 12,000 units 23,000 per 12,000 units 2011/03/30 180,000,000 2010/12/16
66621 Credit Suisse AG HSI R Bull CBBC Apr 2011 S 0.250 22,200 per 12,000 units 22,400 per 12,000 units 2011/04/28 180,000,000 2010/12/16
66622 Credit Suisse AG HSI R Bull CBBC Apr 2011 T 0.250 22,500 per 12,000 units 22,700 per 12,000 units 2011/04/28 180,000,000 2010/12/16
66615 Credit Suisse AG HSI R Bull CBBC Jun 2011 P 0.250 22,700 per 13,000 units 23,100 per 13,000 units 2011/06/29 390,000,000 2010/12/16
66598 Credit Suisse AG HSI R Bear CBBC Mar 2011 H 0.250 23,400 per 12,000 units 23,200 per 12,000 units 2011/03/30 180,000,000 2010/12/16
66626 Credit Suisse AG HSI R Bear CBBC Mar 2011 J 0.250 23,700 per 12,000 units 23,500 per 12,000 units 2011/03/30 180,000,000 2010/12/16
66628 Credit Suisse AG HSI R Bear CBBC Mar 2011 O 0.250 24,300 per 12,000 units 24,100 per 12,000 units 2011/03/30 180,000,000 2010/12/16
66632 Credit Suisse AG HSI R Bear CBBC Apr 2011 R 0.250 24,000 per 12,000 units 23,800 per 12,000 units 2011/04/28 180,000,000 2010/12/16
66600 Credit Suisse AG Hutchison R Bull CBBC Mar 2011 C 0.250 74 per 100 units 78 per 100 units 2011/03/28 100,000,000 2010/12/16
66601 Credit Suisse AG Hutchison R Bull CBBC Apr 2011 A 0.250 64 per 100 units 68 per 100 units 2011/04/26 100,000,000 2010/12/16
66606 Credit Suisse AG TCH R Bull CBBC Apr 2011 A 0.250 157 per 100 units 165 per 100 units 2011/04/18 100,000,000 2010/12/16
66607 Credit Suisse AG TCH R Bull CBBC May 2011 A 0.310 147 per 100 units 155 per 100 units 2011/05/30 100,000,000 2010/12/16
66623 Deutsche Bank AG HSI R Bear CBBC May 2011 H 0.250 23,422 per 11,000 units 23,222 per 11,000 units 2011/05/30 300,000,000 2010/12/16
66617 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11V 0.250 22,700 per 10,000 units 23,100 per 10,000 units 2011/03/30 500,000,000 2010/12/16
66596 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11D 0.250 23,500 per 10,000 units 23,100 per 10,000 units 2011/03/30 500,000,000 2010/12/16
66597 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11F 0.250 23,600 per 15,000 units 23,200 per 15,000 units 2011/03/30 700,000,000 2010/12/16
66618 UBS AG HSI R Bull CBBC Mar 2011 M 0.250 22,600 per 10,000 units 23,000 per 10,000 units 2011/03/30 200,000,000 2010/12/16
66619 UBS AG HSI R Bear CBBC May 2011 U 0.250 23,600 per 15,000 units 23,200 per 15,000 units 2011/05/30 200,000,000 2010/12/16
66624 Credit Suisse AG HSI R Bear CBBC Mar 2011 X 0.250 23,700 per 13,000 units 23,300 per 13,000 units 2011/03/30 390,000,000 2010/12/17
66625 Deutsche Bank AG HSI R Bear CBBC Mar 2011 Z 0.250 23,222 per 11,000 units 23,022 per 11,000 units 2011/03/30 300,000,000 2010/12/17
66644 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 M 0.250 22,500 per 12,000 units 23,000 per 12,000 units 2011/04/28 128,000,000 2010/12/17
66633 UBS AG HSI R Bull CBBC Mar 2011 D 0.250 22,700 per 12,000 units 22,900 per 12,000 units 2011/03/30 200,000,000 2010/12/17
66634 UBS AG HSI R Bull CBBC Apr 2011 L 0.250 22,500 per 10,000 units 22,700 per 10,000 units 2011/04/28 200,000,000 2010/12/17
66635 UBS AG HSI R Bull CBBC May 2011 V 0.250 22,100 per 12,000 units 22,300 per 12,000 units 2011/05/30 200,000,000 2010/12/17
66636 UBS AG HSI R Bull CBBC Jun 2011 C 0.250 21,300 per 15,000 units 21,500 per 15,000 units 2011/06/29 200,000,000 2010/12/17
66639 UBS AG HSI R Bear CBBC Mar 2011 B 0.250 23,500 per 12,000 units 23,300 per 12,000 units 2011/03/30 200,000,000 2010/12/17
66640 UBS AG HSI R Bear CBBC Apr 2011 K 0.250 23,800 per 12,000 units 23,600 per 12,000 units 2011/04/28 200,000,000 2010/12/17
66641 UBS AG HSI R Bear CBBC May 2011 W 0.250 24,200 per 10,000 units 24,000 per 10,000 units 2011/05/30 200,000,000 2010/12/17
66642 UBS AG HSI R Bear CBBC Jun 2011 B 0.250 24,700 per 15,000 units 24,500 per 15,000 units 2011/06/29 200,000,000 2010/12/17
66665 Credit Suisse AG HSI R Bull CBBC Apr 2011 M 0.250 23,100 per 12,000 units 23,300 per 12,000 units 2011/04/28 180,000,000 2010/12/20
66659 Credit Suisse AG HSI R Bear CBBC Apr 2011 P 0.250 23,800 per 10,000 units 23,418 per 10,000 units 2011/04/28 300,000,000 2010/12/20
66662 Deutsche Bank AG HSI R Bear CBBC Mar 2011 E 0.250 23,622 per 11,000 units 23,422 per 11,000 units 2011/03/30 300,000,000 2010/12/20
66658 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11A 0.250 22,300 per 12,000 units 22,700 per 12,000 units 2011/03/30 300,000,000 2010/12/20
66656 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11B 0.250 22,100 per 12,000 units 22,500 per 12,000 units 2011/03/30 300,000,000 2010/12/20
66657 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11G 0.250 22,200 per 10,000 units 22,600 per 10,000 units 2011/03/30 300,000,000 2010/12/20
66654 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11Q 0.250 22,000 per 15,000 units 22,400 per 15,000 units 2011/03/30 600,000,000 2010/12/20
66653 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11R 0.250 21,900 per 10,000 units 22,300 per 10,000 units 2011/03/30 300,000,000 2010/12/20
66646 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11T 0.250 21,700 per 10,000 units 22,100 per 10,000 units 2011/03/30 300,000,000 2010/12/20
66645 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11U 0.250 21,600 per 12,000 units 22,000 per 12,000 units 2011/03/30 300,000,000 2010/12/20
66660 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11C 0.250 23,800 per 10,000 units 23,400 per 10,000 units 2011/03/30 300,000,000 2010/12/20
66664 UBS AG HSI R Bull CBBC May 2011 Y 0.250 23,100 per 10,000 units 23,300 per 10,000 units 2011/05/30 200,000,000 2010/12/20
66663 UBS AG HSI R Bear CBBC May 2011 X 0.250 23,600 per 10,000 units 23,400 per 10,000 units 2011/05/30 200,000,000 2010/12/20
66200 # Deutsche Bank AG HSI R Bull CBBC Jun 2011 J 0.065 22,222 per 11,000 units 22,422 per 11,000 units 2011/06/29 200,000,000 2010/12/20
66668 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 W 0.250 23,000 per 10,000 units 23,200 per 10,000 units 2011/10/28 200,000,000 2010/12/21
66669 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 P 0.250 22,600 per 10,000 units 22,800 per 10,000 units 2011/11/29 200,000,000 2010/12/21
66674 Deutsche Bank AG HSI R Bull CBBC Mar 2011 V 0.250 23,222 per 11,000 units 23,422 per 11,000 units 2011/03/30 300,000,000 2010/12/21
66673 Deutsche Bank AG HSI R Bull CBBC Apr 2011 L 0.250 23,122 per 16,000 units 23,322 per 16,000 units 2011/04/28 300,000,000 2010/12/21
66676 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC May 11A 0.250 12.080 12.480 2011/05/05 128,000,000 2010/12/21
66679 KBC Fin Products Int’l Ltd. A50 China R Bull CBBC Jun 11A 0.250 11.580 11.980 2011/06/08 128,000,000 2010/12/21
66680 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC May 11B 0.250 14.480 14.080 2011/05/05 128,000,000 2010/12/21
66683 KBC Fin Products Int’l Ltd. A50 China R Bear CBBC Jun 11B 0.250 15.080 14.680 2011/06/15 128,000,000 2010/12/21
66675 UBS AG HSI R Bull CBBC May 2011 Z 0.250 23,000 per 15,000 units 23,400 per 15,000 units 2011/05/30 200,000,000 2010/12/21
66667 UBS AG HSI R Bull CBBC Jun 2011 E 0.250 21,600 per 12,000 units 21,800 per 12,000 units 2011/06/29 200,000,000 2010/12/21
66700 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Mar 2011 M 0.250 22,700 per 10,000 units 22,900 per 10,000 units 2011/03/30 200,000,000 2010/12/22
66707 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 N 0.250 23,400 per 10,000 units 23,200 per 10,000 units 2011/03/30 200,000,000 2010/12/22
66708 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 O 0.250 23,500 per 10,000 units 23,300 per 10,000 units 2011/03/30 200,000,000 2010/12/22
66694 Credit Suisse AG A50 China R Bear CBBC Apr 2011 D 0.250 13.700 13.300 2011/04/26 100,000,000 2010/12/22
66699 Credit Suisse AG HSI R Bull CBBC Apr 2011 Q 0.250 21,900 per 12,000 units 22,100 per 12,000 units 2011/04/28 180,000,000 2010/12/22
66698 Credit Suisse AG HSI R Bull CBBC Apr 2011 Z 0.250 21,600 per 12,000 units 21,800 per 12,000 units 2011/04/28 180,000,000 2010/12/22
66689 Credit Suisse AG HSI R Bull CBBC May 2011 P 0.250 22,800 per 10,000 units 23,188 per 10,000 units 2011/05/30 300,000,000 2010/12/22
66688 Credit Suisse AG HSI R Bull CBBC Jun 2011 Q 0.250 22,500 per 10,000 units 22,888 per 10,000 units 2011/06/29 300,000,000 2010/12/22
66695 Credit Suisse AG HSI R Bear CBBC Mar 2011 Y 0.250 23,400 per 13,000 units 23,000 per 13,000 units 2011/03/30 390,000,000 2010/12/22
66701 Deutsche Bank AG China Life R Bull CBBC Mar 2011 N 0.250 31.500 32.000 2011/03/30 100,000,000 2010/12/22
66684 Deutsche Bank AG China Life R Bear CBBC Mar 2011 M 0.250 34.000 33.500 2011/03/29 100,000,000 2010/12/22
66692 Deutsche Bank AG HSI R Bull CBBC Mar 2011 H 0.250 22,922 per 11,000 units 23,122 per 11,000 units 2011/03/30 300,000,000 2010/12/22
66691 Deutsche Bank AG HSI R Bull CBBC Mar 2011 X 0.260 22,722 per 11,000 units 22,922 per 11,000 units 2011/03/30 300,000,000 2010/12/22
66685 Deutsche Bank AG HSI R Bear CBBC Apr 2011 K 0.250 23,522 per 16,000 units 23,322 per 16,000 units 2011/04/28 300,000,000 2010/12/22
66681 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11O 0.250 22,900 per 12,000 units 23,300 per 12,000 units 2011/03/30 300,000,000 2010/12/22
66682 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11P 0.250 23,000 per 10,000 units 23,400 per 10,000 units 2011/03/30 300,000,000 2010/12/22
66687 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11L 0.250 23,500 per 12,000 units 23,300 per 12,000 units 2011/03/30 300,000,000 2010/12/22
66693 UBS AG HSI R Bull CBBC May 2011 B 0.250 23,000 per 12,000 units 23,200 per 12,000 units 2011/05/30 200,000,000 2010/12/22
66702 UBS AG HSI R Bear CBBC Mar 2011 E 0.250 23,200 per 12,000 units 23,000 per 12,000 units 2011/03/30 200,000,000 2010/12/22
64749 # Deutsche Bank AG HSI R Bull CBBC May 2011 C 0.115 20,150 per 20,000 units 20,650 per 20,000 units 2011/05/30 300,000,000 2010/12/22
66743 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Oct 2011 X 0.250 20,900 per 10,000 units 21,100 per 10,000 units 2011/10/28 200,000,000 2010/12/23
66746 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 Q 0.260 20,400 per 10,000 units 20,600 per 10,000 units 2011/11/29 200,000,000 2010/12/23
66749 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Nov 2011 R 0.250 20,700 per 10,000 units 20,900 per 10,000 units 2011/11/29 200,000,000 2010/12/23
66750 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 E 0.320 19,800 per 10,000 units 20,000 per 10,000 units 2011/12/29 200,000,000 2010/12/23
66751 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 F 0.250 20,500 per 10,000 units 20,700 per 10,000 units 2011/12/29 200,000,000 2010/12/23
66753 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 G 0.250 20,600 per 10,000 units 20,800 per 10,000 units 2011/12/29 200,000,000 2010/12/23
66760 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 Q 0.250 23,200 per 10,000 units 23,000 per 10,000 units 2011/03/30 200,000,000 2010/12/23
66761 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 R 0.250 23,300 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/12/23
66770 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 S 0.250 23,000 per 10,000 units 22,800 per 10,000 units 2011/03/30 200,000,000 2010/12/23
66721 Credit Suisse AG HSI R Bull CBBC Apr 2011 O 0.250 21,300 per 12,000 units 21,500 per 12,000 units 2011/04/28 180,000,000 2010/12/23
66754 Credit Suisse AG HSI R Bull CBBC May 2011 D 0.250 22,400 per 13,000 units 22,800 per 13,000 units 2011/05/30 390,000,000 2010/12/23
66723 Credit Suisse AG HSI R Bull CBBC May 2011 N 0.250 21,600 per 10,000 units 21,988 per 10,000 units 2011/05/30 300,000,000 2010/12/23
66722 Credit Suisse AG HSI R Bull CBBC May 2011 O 0.250 21,200 per 13,000 units 21,600 per 13,000 units 2011/05/30 390,000,000 2010/12/23
66726 Credit Suisse AG HSI R Bull CBBC Jun 2011 R 0.250 21,000 per 10,000 units 21,388 per 10,000 units 2011/06/29 300,000,000 2010/12/23
66728 Credit Suisse AG HSI R Bull CBBC Jun 2011 S 0.250 21,300 per 10,000 units 21,688 per 10,000 units 2011/06/29 300,000,000 2010/12/23
66729 Credit Suisse AG HSI R Bull CBBC Jul 2011 B 0.250 20,700 per 10,000 units 21,088 per 10,000 units 2011/07/28 300,000,000 2010/12/23
66730 Credit Suisse AG HSI R Bull CBBC Jul 2011 C 0.250 20,900 per 13,000 units 21,300 per 13,000 units 2011/07/28 390,000,000 2010/12/23
66732 Credit Suisse AG HSI R Bull CBBC Jul 2011 D 0.250 21,500 per 13,000 units 21,900 per 13,000 units 2011/07/28 390,000,000 2010/12/23
66736 Credit Suisse AG HSI R Bear CBBC Mar 2011 U 0.250 23,500 per 10,000 units 23,118 per 10,000 units 2011/03/30 300,000,000 2010/12/23
66768 Credit Suisse AG HSI R Bear CBBC Mar 2011 Z 0.250 23,100 per 13,000 units 22,700 per 13,000 units 2011/03/30 390,000,000 2010/12/23
66737 Credit Suisse AG HSI R Bear CBBC May 2011 L 0.305 25,900 per 10,000 units 25,518 per 10,000 units 2011/05/30 300,000,000 2010/12/23
66740 Credit Suisse AG HSI R Bear CBBC Jun 2011 T 0.275 26,400 per 13,000 units 26,000 per 13,000 units 2011/06/29 390,000,000 2010/12/23
66741 Deutsche Bank AG China Life R Bull CBBC Mar 2011 O 0.360 29.000 29.500 2011/03/31 100,000,000 2010/12/23
66755 Deutsche Bank AG HSI R Bull CBBC Mar 2011 I 0.260 22,622 per 11,000 units 22,822 per 11,000 units 2011/03/30 300,000,000 2010/12/23
66757 Deutsche Bank AG HSI R Bull CBBC Apr 2011 R 0.250 22,522 per 16,000 units 22,722 per 16,000 units 2011/04/28 300,000,000 2010/12/23
66777 Deutsche Bank AG HSI R Bull CBBC May 2011 J 0.250 22,422 per 11,000 units 22,622 per 11,000 units 2011/05/30 300,000,000 2010/12/23
66779 Deutsche Bank AG HSI R Bull CBBC Jul 2011 M 0.370 20,922 per 11,000 units 21,122 per 11,000 units 2011/07/28 300,000,000 2010/12/23
66780 Deutsche Bank AG HSI R Bull CBBC Jul 2011 N 0.320 21,322 per 11,000 units 21,522 per 11,000 units 2011/07/28 300,000,000 2010/12/23
66781 Deutsche Bank AG HSI R Bull CBBC Aug 2011 O 0.410 20,422 per 11,000 units 20,622 per 11,000 units 2011/08/30 300,000,000 2010/12/23
66782 Deutsche Bank AG HSI R Bull CBBC Aug 2011 P 0.340 21,122 per 16,000 units 21,322 per 16,000 units 2011/08/30 300,000,000 2010/12/23
66742 Deutsche Bank AG HSI R Bear CBBC Apr 2011 T 0.250 23,322 per 11,000 units 23,122 per 11,000 units 2011/04/28 300,000,000 2010/12/23
66783 Deutsche Bank AG HSI R Bear CBBC May 2011 B 0.280 23,122 per 11,000 units 22,922 per 11,000 units 2011/05/30 300,000,000 2010/12/23
66791 Deutsche Bank AG HSI R Bear CBBC Jul 2011 O 0.250 22,922 per 16,000 units 22,722 per 16,000 units 2011/07/28 300,000,000 2010/12/23
66792 Deutsche Bank AG HSI R Bear CBBC Oct 2011 D 0.270 24,250 per 40,000 units 23,750 per 40,000 units 2011/10/28 300,000,000 2010/12/23
66762 J P Morgan SP BV HSI R Bear CBBC Mar 2011 Q 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2011/03/30 200,000,000 2010/12/23
66766 J P Morgan SP BV HSI R Bear CBBC Mar 2011 R 0.250 23,800 per 15,000 units 23,300 per 15,000 units 2011/03/30 200,000,000 2010/12/23
66772 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 J 0.250 23,800 per 10,000 units 23,300 per 10,000 units 2011/03/30 128,000,000 2010/12/23
66771 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Mar 2011 V 0.250 23,500 per 10,000 units 23,000 per 10,000 units 2011/03/30 128,000,000 2010/12/23
66773 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 I 0.250 23,200 per 8,000 units 22,700 per 8,000 units 2011/04/28 128,000,000 2010/12/23
66776 KBC Fin Products Int’l Ltd. HSI R Bear CBBC Apr 2011 O 0.250 23,600 per 15,000 units 23,100 per 15,000 units 2011/04/28 158,000,000 2010/12/23
66716 SGA Societe Generale Acceptance N.V CK(H) R Bear CBBC May11G 0.250 136 per 100 units 130 per 100 units 2011/05/30 100,000,000 2010/12/23
66710 SGA Societe Generale Acceptance N.V. HSI R Bull CBBC Mar11K 0.250 22,700 per 15,000 units 22,900 per 15,000 units 2011/03/30 600,000,000 2010/12/23
66719 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11I 0.250 23,200 per 12,000 units 23,000 per 12,000 units 2011/03/30 300,000,000 2010/12/23
66711 SGA Societe Generale Acceptance N.V. HWL R Bull CBBC May11E 0.250 61 per 100 units 65 per 100 units 2011/05/30 150,000,000 2010/12/23
66715 SGA Societe Generale Acceptance N.V. ICBC R Bull CBBC Jun11A 0.250 4.700 5.000 2011/06/29 300,000,000 2010/12/23
66767 UBS AG HSI R Bull CBBC Mar 2011 Q 0.250 22,400 per 15,000 units 22,800 per 15,000 units 2011/03/30 200,000,000 2010/12/23
66769 UBS AG HSI R Bear CBBC Mar 2011 M 0.250 22,900 per 12,000 units 22,700 per 12,000 units 2011/03/30 200,000,000 2010/12/23
66837 Credit Suisse AG HSI R Bull CBBC Jun 2011 U 0.250 22,200 per 10,000 units 22,588 per 10,000 units 2011/06/29 300,000,000 2010/12/24
66838 Deutsche Bank AG HSI R Bull CBBC Jun 2011 P 0.310 20,622 per 11,000 units 20,822 per 11,000 units 2011/06/29 300,000,000 2010/12/24
66843 Deutsche Bank AG HSI R Bull CBBC Jul 2011 P 0.330 20,322 per 11,000 units 20,522 per 11,000 units 2011/07/28 300,000,000 2010/12/24
66844 Deutsche Bank AG HSI R Bull CBBC Aug 2011 Q 0.390 19,722 per 11,000 units 19,922 per 11,000 units 2011/08/30 300,000,000 2010/12/24
66845 Deutsche Bank AG HSI R Bull CBBC Sep 2011 G 0.340 18,150 per 20,000 units 18,650 per 20,000 units 2011/09/29 300,000,000 2010/12/24
66846 Deutsche Bank AG HSI R Bull CBBC Oct 2011 E 0.250 18,250 per 40,000 units 18,750 per 40,000 units 2011/10/28 300,000,000 2010/12/24
66847 Deutsche Bank AG HSI R Bear CBBC Jun 2011 Q 0.250 22,822 per 11,000 units 22,622 per 11,000 units 2011/06/29 300,000,000 2010/12/24
66848 Deutsche Bank AG HSI R Bear CBBC Jun 2011 R 0.270 23,022 per 11,000 units 22,822 per 11,000 units 2011/06/29 300,000,000 2010/12/24
66802 HK Bank China Mobile R Bull CBBC Jun 2011 A 0.250 63.88 per 100 units 66.88 per 100 units 2011/06/13 150,000,000 2010/12/24
66803 HK Bank China Mobile R Bull CBBC Aug 2011 A 0.250 68.88 per 100 units 71.88 per 100 units 2011/08/02 150,000,000 2010/12/24
66815 HK Bank China Mobile R Bear CBBC Aug 2011 B 0.250 88.88 per 100 units 85.88 per 100 units 2011/08/02 120,000,000 2010/12/24
66797 HK Bank CC Bank R Bull CBBC Jul 2011 B 0.250 5.580 5.880 2011/07/08 120,000,000 2010/12/24
66799 HK Bank CC Bank R Bull CBBC Jul 2011 C 0.250 5.880 6.180 2011/07/18 120,000,000 2010/12/24
66813 HK Bank CC Bank R Bear CBBC Jun 2011 B 0.250 7.980 7.680 2011/06/15 120,000,000 2010/12/24
66801 HK Bank China Life R Bull CBBC Jun 2011 B 0.400 27.800 28.800 2011/06/21 80,000,000 2010/12/24
66814 HK Bank China Life R Bear CBBC Jun 2011 C 0.250 36.88 per 100 units 35.88 per 100 units 2011/06/21 100,000,000 2010/12/24
66806 HK Bank A50 R Bull CBBC Jul 2011 B 0.250 11.380 11.680 2011/07/29 200,000,000 2010/12/24
66830 HK Bank A50 R Bear CBBC Jul 2011 C 0.250 13.980 13.680 2011/07/29 120,000,000 2010/12/24
66831 HK Bank HSI R Bear CBBC Jul 2011 B 0.250 23,800 per 12,000 units 23,300 per 12,000 units 2011/07/28 120,000,000 2010/12/24
66804 HK Bank ICBC R Bull CBBC Jun 2011 B 0.250 4.580 4.880 2011/06/20 100,000,000 2010/12/24
66816 HK Bank ICBC R Bear CBBC Jul 2011 A 0.250 6.680 6.380 2011/07/06 80,000,000 2010/12/24
66819 HK Bank TCH R Bear CBBC Jul 2011 A 0.280 201.38 per 100 units 193.38 per 100 units 2011/07/18 100,000,000 2010/12/24
66796 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11M 0.250 23,100 per 10,000 units 22,900 per 10,000 units 2011/03/30 300,000,000 2010/12/24
66795 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11W 0.250 23,000 per 12,000 units 22,800 per 12,000 units 2011/03/30 300,000,000 2010/12/24
66794 SGA Societe Generale Acceptance N.V. HSI R Bear CBBC Mar11X 0.250 22,900 per 15,000 units 22,700 per 15,000 units 2011/03/30 300,000,000 2010/12/24
66849 UBS AG HSI R Bull CBBC Apr 2011 W 0.250 22,300 per 10,000 units 22,700 per 10,000 units 2011/04/28 200,000,000 2010/12/24
66851 UBS AG HSI R Bear CBBC Mar 2011 D 0.250 23,200 per 10,000 units 22,800 per 10,000 units 2011/03/30 200,000,000 2010/12/24
66884 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 H 0.350 19,300 per 10,000 units 19,500 per 10,000 units 2011/12/29 200,000,000 2010/12/28
66885 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 I 0.290 19,900 per 10,000 units 20,100 per 10,000 units 2011/12/29 200,000,000 2010/12/28
66886 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 J 0.280 20,000 per 10,000 units 20,200 per 10,000 units 2011/12/29 200,000,000 2010/12/28
66887 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 K 0.270 20,100 per 10,000 units 20,300 per 10,000 units 2011/12/29 200,000,000 2010/12/28
66890 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 L 0.260 20,200 per 10,000 units 20,400 per 10,000 units 2011/12/29 200,000,000 2010/12/28
66858 Credit Suisse AG A50 China R Bear CBBC Apr 2011 E 0.250 13.200 12.800 2011/04/26 100,000,000 2010/12/28
66852 Credit Suisse AG HSI R Bull CBBC Apr 2011 J 0.250 22,500 per 12,000 units 22,700 per 12,000 units 2011/04/28 300,000,000 2010/12/28
66853 Credit Suisse AG HSI R Bull CBBC May 2011 C 0.250 22,100 per 13,000 units 22,500 per 13,000 units 2011/05/30 390,000,000 2010/12/28
66859 Credit Suisse AG HSI R Bear CBBC Mar 2011 B 0.250 23,100 per 12,000 units 22,900 per 12,000 units 2011/03/30 180,000,000 2010/12/28
66860 Credit Suisse AG HSI R Bear CBBC Apr 2011 B 0.250 22,900 per 10,000 units 22,518 per 10,000 units 2011/04/28 300,000,000 2010/12/28
66862 Deutsche Bank AG HSI R Bull CBBC Jun 2011 S 0.270 22,222 per 11,000 units 22,422 per 11,000 units 2011/06/29 300,000,000 2010/12/28
66863 Deutsche Bank AG HSI R Bear CBBC May 2011 O 0.250 22,722 per 11,000 units 22,522 per 11,000 units 2011/05/30 300,000,000 2010/12/28
66864 J P Morgan SP BV HSI R Bull CBBC Mar 2011 S 0.250 20,300 per 15,000 units 20,800 per 15,000 units 2011/03/30 200,000,000 2010/12/28
66865 J P Morgan SP BV HSI R Bull CBBC Mar 2011 T 0.250 20,500 per 10,000 units 21,000 per 10,000 units 2011/03/30 200,000,000 2010/12/28
66866 J P Morgan SP BV HSI R Bull CBBC Mar 2011 U 0.250 20,800 per 15,000 units 21,300 per 15,000 units 2011/03/30 200,000,000 2010/12/28
66867 J P Morgan SP BV HSI R Bull CBBC Mar 2011 V 0.250 21,000 per 10,000 units 21,500 per 10,000 units 2011/03/30 200,000,000 2010/12/28
66873 J P Morgan SP BV HSI R Bull CBBC Mar 2011 X 0.250 21,500 per 10,000 units 22,000 per 10,000 units 2011/03/30 200,000,000 2010/12/28
66876 J P Morgan SP BV HSI R Bull CBBC Mar 2011 Y 0.250 21,800 per 15,000 units 22,300 per 15,000 units 2011/03/30 200,000,000 2010/12/28
66877 J P Morgan SP BV HSI R Bull CBBC Mar 2011 Z 0.250 22,000 per 10,000 units 22,500 per 10,000 units 2011/03/30 200,000,000 2010/12/28
66900 RB of Scotland N.V. HSCEI R Bull CBBC Jun 2011 A 0.250 10,800 per 10,000 units 11,300 per 10,000 units 2011/06/29 250,000,000 2010/12/28
66891 RB of Scotland N.V. HSI R Bull CBBC Jun 2011 A 0.250 20,100 per 13,000 units 20,600 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66892 RB of Scotland N.V. HSI R Bull CBBC Jun 2011 B 0.250 20,700 per 13,000 units 21,200 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66893 RB of Scotland N.V. HSI R Bull CBBC Jun 2011 C 0.250 21,100 per 13,000 units 21,600 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66895 RB of Scotland N.V. HSI R Bull CBBC Jun 2011 D 0.250 21,500 per 13,000 units 22,000 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66905 RB of Scotland N.V. HSI R Bear CBBC Jun 2011 E 0.250 24,000 per 13,000 units 23,500 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66907 RB of Scotland N.V. HSI R Bear CBBC Jun 2011 F 0.318 26,700 per 13,000 units 26,200 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66908 RB of Scotland N.V. HSI R Bear CBBC Jun 2011 G 0.349 27,100 per 13,000 units 26,600 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66910 RB of Scotland N.V. HSI R Bear CBBC Jun 2011 H 0.380 27,500 per 13,000 units 27,000 per 13,000 units 2011/06/29 250,000,000 2010/12/28
66854 UBS AG HSI R Bull CBBC Apr 2011 D 0.250 22,200 per 10,000 units 22,400 per 10,000 units 2011/04/28 200,000,000 2010/12/28
66855 UBS AG HSI R Bull CBBC May 2011 F 0.250 22,400 per 12,000 units 22,600 per 12,000 units 2011/05/30 200,000,000 2010/12/28
66883 UBS AG HSI R Bear CBBC Apr 2011 L 0.250 22,700 per 10,000 units 22,500 per 10,000 units 2011/04/28 200,000,000 2010/12/28
66540 # UBS AG HSI R Bear CBBC Mar 2011 P 0.074 24,000 per 12,000 units 23,600 per 12,000 units 2011/03/30 200,000,000 2010/12/28
66921 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 M 0.250 22,200 per 10,000 units 22,400 per 10,000 units 2011/12/29 200,000,000 2010/12/29
66922 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 N 0.250 22,300 per 10,000 units 22,500 per 10,000 units 2011/12/29 200,000,000 2010/12/29
66923 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 O 0.250 22,400 per 10,000 units 22,600 per 10,000 units 2011/12/29 200,000,000 2010/12/29
66924 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 P 0.250 22,500 per 10,000 units 22,700 per 10,000 units 2011/12/29 200,000,000 2010/12/29
66925 BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Dec 2011 Q 0.250 22,600 per 10,000 units 22,800 per 10,000 units 2011/12/29 200,000,000 2010/12/29
66916 Credit Suisse AG HSI R Bull CBBC Apr 2011 L 0.250 22,790 per 12,000 units 22,990 per 12,000 units 2011/04/28 180,000,000 2010/12/29
66912 Deutsche Bank AG China Life R Bull CBBC Mar 2011 P 0.270 30.000 30.500 2011/03/29 80,000,000 2010/12/29
66911 Deutsche Bank AG A50 China R Bull CBBC Apr 2011 C 0.250 11.700 12.000 2011/04/18 80,000,000 2010/12/29
66914 Deutsche Bank AG A50 China R Bear CBBC Apr 2011 D 0.250 13.900 13.600 2011/04/19 80,000,000 2010/12/29
66913 Deutsche Bank AG HSCEI R Bull CBBC May 2011 A 0.300 10,600 per 8,000 units 11,000 per 8,000 units 2011/05/30 100,000,000 2010/12/29
66915 Deutsche Bank AG HSI R Bull CBBC May 2011 R 0.250 22,322 per 11,000 units 22,522 per 11,000 units 2011/05/30 300,000,000 2010/12/29
66917 Deutsche Bank AG HSI R Bear CBBC Jun 2011 T 0.250 23,222 per 11,000 units 23,022 per 11,000 units 2011/06/29 300,000,000 2010/12/29
66904 HK Bank HSI R Bull CBBC Aug 2011 A 0.250 20,200 per 12,000 units 20,700 per 12,000 units 2011/08/30 388,000,000 2010/12/29
66920 KBC Fin Products Int’l Ltd. HSI R Bull CBBC Apr 2011 N 0.250 22,100 per 10,000 units 22,600 per 10,000 units 2011/04/28 128,000,000 2010/12/29
66929 RB of Scotland N.V. HKEx R Bull CBBC May 2011 A 0.250 162 per 100 units 168 per 100 units 2011/05/23 80,000,000 2010/12/29
66930 RB of Scotland N.V. HKEx R Bull CBBC May 2011 B 0.250 167 per 100 units 173 per 100 units 2011/05/23 80,000,000 2010/12/29
66918 UBS AG HSI R Bull CBBC May 2011 O 0.250 22,700 per 12,000 units 22,900 per 12,000 units 2011/05/30 200,000,000 2010/12/29
66919 UBS AG HSI R Bull CBBC Jun 2011 G 0.250 22,100 per 15,000 units 22,500 per 15,000 units 2011/06/29 200,000,000 2010/12/29
66901 UBS AG HSI R Bear CBBC Jun 2011 F 0.250 23,300 per 15,000 units 22,900 per 15,000 units 2011/06/29 200,000,000 2010/12/29
64508 # BNP Paribas Arbit Issu B.V. HSI R Bull CBBC Jul 2011 E 0.084 22,100 per 10,000 units 22,300 per 10,000 units 2011/07/28 120,000,000 2010/12/29
66939 Credit Suisse AG HSI R Bull CBBC Jun 2011 V 0.250 22,700 per 13,000 units 23,100 per 13,000 units 2011/06/29 390,000,000 2010/12/30
66931 Credit Suisse AG HSI R Bear CBBC Apr 2011 C 0.250 23,400 per 13,000 units 23,000 per 13,000 units 2011/04/28 390,000,000 2010/12/30
66953 Deutsche Bank AG HSI R Bull CBBC Apr 2011 G 0.250 22,922 per 11,000 units 23,122 per 11,000 units 2011/04/28 300,000,000 2010/12/30
66932 Macquarie Bank Ltd. HSI R Bear CBBC Apr 2011 A 0.190 24,600 per 10,000 units 24,400 per 10,000 units 2011/04/28 150,000,000 2010/12/30
66935 CC Rabobank B.A. HSI R Bull CBBC Jun 2011 A 0.250 21,200 per 11,000 units 21,600 per 11,000 units 2011/06/29 150,000,000 2010/12/30
66938 CC Rabobank B.A. HSI R Bull CBBC Jun 2011 B 0.250 22,000 per 11,000 units 22,400 per 11,000 units 2011/06/29 150,000,000 2010/12/30
66947 CC Rabobank B.A. HSI R Bear CBBC Jun 2011 D 0.250 24,400 per 11,000 units 24,000 per 11,000 units 2011/06/29 150,000,000 2010/12/30
66948 CC Rabobank B.A. HSI R Bear CBBC Jun 2011 E 0.250 25,200 per 11,000 units 24,800 per 11,000 units 2011/06/29 150,000,000 2010/12/30
66940 UBS AG China Life R Bull CBBC May 2011 A 0.410 27.880 28.880 2011/05/16 100,000,000 2010/12/30
66941 UBS AG A50 China R Bull CBBC May 2011 A 0.250 10.600 11.000 2011/05/30 100,000,000 2010/12/30
66950 UBS AG A50 China R Bull CBBC May 2011 B 0.250 11.100 11.500 2011/05/16 100,000,000 2010/12/30
66952 UBS AG HSI R Bull CBBC May 2011 P 0.250 22,700 per 15,000 units 23,100 per 15,000 units 2011/05/30 200,000,000 2010/12/30
66934 UBS AG HSI R Bear CBBC Mar 2011 E 0.250 23,200 per 12,000 units 23,000 per 12,000 units 2011/03/30 200,000,000 2010/12/30
66957 BNP Paribas Arbit Issu B.V. HSI R Bear CBBC Mar 2011 T 0.250 23,300 per 10,000 units 23,100 per 10,000 units 2011/03/30 200,000,000 2010/12/31
66955 Credit Suisse AG HSI R Bull CBBC Jun 2011 W 0.250 22,500 per 10,000 units 22,888 per 10,000 units 2011/06/29 300,000,000 2010/12/31
66954 Credit Suisse AG HSI R Bear CBBC Apr 2011 X 0.250 23,500 per 10,000 units 23,118 per 10,000 units 2011/04/28 300,000,000 2010/12/31
66956 UBS AG HSI R Bull CBBC May 2011 Q 0.250 22,800 per 10,000 units 23,000 per 10,000 units 2011/05/30 200,000,000 2010/12/31
66960 UBS AG HSI R Bear CBBC May 2011 S 0.250 23,300 per 10,000 units 23,100 per 10,000 units 2011/05/30 200,000,000 2010/12/31
64603 # HK Bank A50 R Bull CBBC Apr 2011 B 0.085 11.900 12.280 2011/04/12 150,000,000 2010/12/31
#
Further issue
Market value and trading for Callable Bull / Bear Contracts, 2006 – 2010
Market value* Turnover value (%) of
Year/Month Number* (HK$ mil.) (HK$ mil.) market total
2006 – – – –
2007 – – – –
2008 – – – –
2009 – – – –
2010 – – – –
2010 Jan – – – –
Feb – – – –
Mar – – – –
Apr – – – –
May – – – –
Jun – – – –
Jul – – – –
Aug – – – –
Sep – – – –
Oct – – – –
Nov – – – –
Dec – – – –
04315 Fita International Ltd. 7% USD Guaranteed Bonds 2020 100.000 2020/02/10 2010/02/11
04316 Bank of China (Hong Kong) Ltd. 5.55% Subordinated Notes 2020 99.591 2020/02/11 2010/02/12
04198 Hong Kong Monetary Authority, The 0.64% Exchange Fund Notes 2012 100.050 2012/02/17 2010/02/18
04199 Hong Kong Monetary Authority, The 2.95% Exchange Fund Notes 2025 100.180 2025/02/24 2010/02/25
04204 The Govt of the HKSAR of the PRC 0.70% Bonds 2012 100.090 2012/03/05 2010/03/05
04317 Far East Consortium Int’l Ltd. 3.625% Convertible Bonds 2015 100.000 2015/03/05 2010/03/08
04318 CLP Power Hong Kong Financing Ltd. 4.75% Notes 2020 99.077 2020/03/19 2010/03/22
#
04176 Hong Kong Monetary Authority, The 2.03% Exchange Fund Notes 2013 102.840 2013/03/18 2010/03/22
04001 Hong Kong Monetary Authority, The 1.75% Exchange Fund Notes 2015 100.000 2015/03/23 2010/03/23
04319 PB Issuer (No.2) Ltd. 1.75% Guaranteed Convertible Bonds 2016 100.000 2016/04/12 2010/04/13
#
04316 Bank of China (Hong Kong) Ltd. 5.55% Subordinated Notes 2020 99.521 2020/02/11 2010/04/20
04320 Axiata SPV1 (Labuan) Ltd. 5.375% Guaranteed Notes 2020 99.939 2020/04/28 2010/04/29
04203# The Govt of the HKSAR of the PRC 2.93% Bonds 2020 99.970 2020/01/13 2010/05/06
04002 Hong Kong Monetary Authority 0.72% Exchange Fund Notes 2012 100.210 2012/05/17 2010/05/18
04321 1Malaysia Global Sukuk Berhad Trust Certificates 2015 100.000 2015/06/04 2010/06/07
#
04178 Hong Kong Monetary Authority 2.88% Exchange Fund Notes 2013 105.080 2013/06/17 2010/06/14
04003 Hong Kong Monetary Authority 1.65% Exchange Fund Notes 2015 99.740 2015/06/15 2010/06/15
99.600
04004 Hong Kong Monetary Authority 2.53% Exchange Fund Notes 2020 100.590 2020/06/22 2010/06/22
04322 China Resources Power Holdings Co. Ltd. 3.75% Notes 2015 99.919 2015/08/03 2010/08/04
04005 Hong Kong Monetary Authority 0.50% Exchange Fund Notes 2012 100.250 2012/08/16 2010/08/17
04006 Hong Kong Monetary Authority 2.39% Exchange Fund Notes 2025 102.930 2025/08/20 2010/08/23
04205 The Govt of the HKSAR of the PRC 0.48% Bonds 2012 100.050 2012/09/03 2010/09/03
04007 Hong Kong Monetary Authority 1.18% Exchange Fund Notes 2015 99.790 2015/09/21 2010/09/21
04325 PHBS Ltd. 6.625% Guaranteed Perpetual Capital Securities 100.000 – 2010/09/30
04324 HBAP 1.6% Fixed Rate Notes 2013 100.000 2013/10/07 2010/10/07
04326 Billion Express Investment Ltd. 0.75% Guaranteed Conv Bonds 2015 100.000 2015/10/18 2010/10/19
86001 Asian Development Bank 2.85% RMB Notes 2020 100.000 2020/10/21 2010/10/22
04329 Intime Department Store (Group) Co. Ltd. 1.75% Convertible Bonds 2013 100.000 2013/10/27 2010/10/28
04327 Chong Hing Bank Ltd. 6.00% Subordinated Notes 2020 99.488 2020/11/04 2010/11/05
04328 SHK Ppt (Cap Market) Ltd. 4.00% Guaranteed Instruments 2020 99.365 2020/11/02 2010/11/09
04503 Ch Overseas Fin (Cayman) II Ltd. 5.50% Guaranteed Notes 2020 100.000 2020/11/10 2010/11/11
04501 Sinochem Overseas Cap Co Ltd. 4.50% Guaranteed Senior Notes 2020 99.467 2020/11/12 2010/11/15
04502 Sinochem Overseas Cap Co Ltd. 6.30% Guaranteed Senior Notes 2040 99.519 2040/11/12 2010/11/15
04008 Hong Kong Monetary Authority 0.36% Exchange Fund Notes 2012 99.650 2012/11/19 2010/11/18
04504 Fubon Bank (Hong Kong) Ltd. 6.125% Fixed Rate Notes 2020 99.447 2020/11/30 2010/12/01
04206 The Govt of the HKSAR of the PRC 1.43% Bonds 2015 99.380 2015/12/02 2010/12/03
04009 Hong Kong Monetary Authority 2.44% Exchange Fund Notes 2020 97.590 2020/12/07 2010/12/07
04505 Hongkong Electric Finance Ltd. 4.25% Notes 2020 99.268 2020/12/14 2010/12/15
86002 Galaxy Entertainment Group Ltd. 4.625% RMB Bonds 2013 100.000 2013/12/17 2010/12/17
#
04185 Hong Kong Monetary Authority 1.67% Exchange Fund Notes 2013 101.840 2013/12/19 2010/12/20
04010 Hong Kong Monetary Authority 1.52% Exchange Fund Notes 2015 98.360 2015/12/21 2010/12/21
#
Further issue
01512 Hopson Development Holdings Redemption of its issue of USD Settled 0% Conv. Bonds due 2010 2010/01/28 2010/02/03
04174 Hong Kong Monetary Authority Redemption of its issue of 1.52% Exchange Fund Notes due 2010 2010/02/10 2010/02/17
04106 Hong Kong Monetary Authority Redemption of its issue of 3.80% Exchange Fund Notes due 2010 2010/02/23 2010/02/26
02547 Kowloon - Canton Railway Corporation Redemption of its issue of 8% Notes due 2010 2010/03/10 2010/03/16
04135 Hong Kong Monetary Authority Redemption of its issue of 3.52% Exchange Fund Notes due 2010 2010/03/17 2010/03/22
02593 China Development Bank - 500 Redemption of its issue of 3.875 Bonds due 2010 2010/03/31 2010/04/09
02594 China Development Bank - 1000
02514 Wise Insight Finance Ltd. Redemption of its issue of Zero Coupon Gua. Conv. Bonds due 2010 2010/03/31 2010/04/09
02517 HKR International Ltd. Redemption of its issue of Zero Coupon Convertible Bonds due 2010 2010/04/21 2010/04/27
02518 TGB (SPV) Ltd. Redemption of its issue of 1.0% Guaranteed Convertible Bonds due 2010 2010/05/12 2010/05/18
04177 Hong Kong Monetary Authority Redemption of its issue of 1.77% Exchange Fund Notes due 2010 2010/05/12 2010/05/17
04109 Hong Kong Monetary Authority Redemption of its issue of 3.19% Exchange Fund Notes due 2010 2010/05/25 2010/05/28
04138 Hong Kong Monetary Authority Redemption of its issue of 3.33% Exchange Fund Notes due 2010 2010/06/09 2010/06/14
04069 Hong Kong Monetary Authority Redemption of its issue of 10.50% Notes due 2010 2010/06/15 2010/06/21
02520 Hang Seng Bank Ltd. Early redemption of its issue of Floating Rate Subordinated Notes due 2015 2010/06/25 2010/07/02
02519 Hang Seng Bank Ltd. Early redemption of its issue of 4.125% Subordinated Notes 2015 2010/06/25 2010/07/02
04180 Hong Kong Monetary Authority Redemption of its issue of 2.36% Exchange Fund Notes due 2010 2010/08/11 2010/08/16
04113 Hong Kong Monetary Authority Redemption of its issue of 3.92% Exchange Fund Notes due 2010 2010/08/17 2010/08/20
04142 Hong Kong Monetary Authority Redemption of its issue of 3.79% Exchange Fund Notes due 2010 2010/09/15 2010/09/20
01603 FU JI F&C Services Hldgs Ltd. Redemption of its issue of Zero Coupon Conv. Bonds due 2010 2010/10/13 2010/10/19
04183 Hong Kong Monetary Authority Redemption of its issue of 0.82% Exchange Fund Notes due 2010 2010/11/12 2010/11/17
04116 Hong Kong Monetary Authority Redemption of its issue of 3.95% Exchange Fund Notes due 2010 2010/11/23 2010/11/26
04075 Hong Kong Monetary Authority Redemption of its issue of 7.01% Exchange Fund Notes due 2010 2010/12/01 2010/12/06
02534 HBAP Redemption of its issue of 5.25% Republic of Korea Credit Linked 2010/12/08 2010/12/14
Notes due 2010
02532 Bank of East Asia Ltd. Early redemption of its issue of 5.625% Subordinated Notes due 2015 2010/12/14 2010/12/22
04146 Hong Kong Monetary Authority Redemption of its issue of 4.26% Exchange Fund Notes due 2010 2010/12/15 2010/12/20
State
Year/month No. of issues Bank Corporation State corporation Supranational Total
Bank 3 15 37,082.74
Corporation 35 58 216,227.08
State 6 85 184,591.25
State corporation 6 10 49,111.54
Supranational 1 1 1,406.10
03051 CICCSZSE 100 Index Tracker China International Capital Corporation Hong Kong n.a. n.a. 2010/01/29
Asset Management Limited
03048 db x-trackers MSCI Brazil TRN Index ETF DB Platinum Advisors n.a. n.a. 2010/02/24
03009 db x-trackers MSCI Emerging Markets DB Platinum Advisors n.a. n.a. 2010/02/24
TRN Index ETF
03035 db x-trackers MSCI EM Asia TRN Index ETF DB Platinum Advisors n.a. n.a. 2010/02/24
03043 db x-trackers MSCI Pacific Ex Japan DB Platinum Advisors n.a. n.a. 2010/02/24
TRN Index ETF
03027 db x-trackers MSCI Russia Capped Index ETF DB Platinum Advisors n.a. n.a. 2010/02/24
03019 db x-trackers MSCI World TRN Index ETF DB Platinum Advisors n.a. n.a. 2010/02/24
03049 db x-trackers CSI300 Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03061 db x-trackers CSI300 Banks Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03025 db x-trackers CSI300 Consumer DB Platinum Advisors n.a. n.a. 2010/03/25
Discretionary Index ETF
03062 db x-trackers CSI300 Materials Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
02816 db x-trackers CSI300 Real Estate Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03052 db x-trackers CSI300 Utilities Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03017 db x-trackers CSI300 Energy Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
02844 db x-trackers CSI300 Financials Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03057 db x-trackers CSI300 Health Care Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03063 db x-trackers CSI300 Transportation Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
03005 db x-trackers CSI300 Industrials Index ETF DB Platinum Advisors n.a. n.a. 2010/03/25
00778 Fortune Real Estate Investment Trust ARA Asset Management (Fortune) Ltd. n.a. n.a. 2010/04/20
02818 PAragon CSI RAFI 50 ETF Ping An of China Asset Management n.a. n.a. 2010/05/07
(Hong Kong) Co. Ltd.
03071 Da Cheng CSI China Mainland Da Cheng International Asset Management n.a. n.a. 2010/07/15
Consumer Tracker Company Limited
02841 iShares CSI A-Share Consumer Staples BlackRock Asset Management North Asia Ltd. n.a. n.a. 2010/07/20
Index ETF
03001 iShares CSI A-Share Consumer BlackRock Asset Management North Asia Ltd. n.a. n.a. 2010/07/20
Discretionary Index ETF
03073 SPDR FTSE Greater China ETF State Street Global Advisors Asia Ltd. n.a. n.a. 2010/09/20
03081 Value Gold ETF Sensible Asset Management Hong Kong Ltd. n.a. n.a. 2010/11/03
03077 Da Cheng CSI HK State-owned Mainland Da Cheng International Asset Management Co. Ltd. n.a. n.a. 2010/12/20
Enterprises Tracker
03022 Da Cheng CSI HK Private-owned Mainland Da Cheng International Asset Management Co. Ltd. n.a. n.a. 2010/12/20
Enterprises Tracker
Nil
Note: No unit trusts and mutual funds was withdrawal of listing in 2010
Others
00820 HSBCDRAGON FUND 8.50 8.17 4.04 741.32 3,034.79
02301 NEW ERA PRC F n.a. n.a. – – –
Total 649,089.39 802,255.77
Trading value for unit trusts and mutual funds, 2006 – 2010
Exchange Traded Real Estate
Funds (ETF) Investment Trust (REIT) Others Total
No. of Turnover value Average daily Turnover value Average daily Turnover value Average daily Turnover value Average daily
Year/Month trading days (HK$mil) (HK$mil) (HK$mil) (HK$mil) (HK$mil) (HK$mil) (HK$mil) (HK$mil)
2006 247 57,818.27 234.08 47,441.13 192.07 0.96 0.00 105,260.35 426.16
2007 246 160,565.55 652.71 51,497.26 209.34 12,521.15 50.90 224,583.96 912.94
2008 245 441,102.94 1,800.42 51,494.26 210.18 1,853.57 7.57 494,450.77 2,018.17
2009 249 499,685.87 2,006.77 43,078.11 173.00 1,047.20 4.21 543,811.17 2,183.98
2010 249 604,457.98 2,427.54 43,890.09 176.27 741.32 2.98 649,089.39 2,606.78
2010 Jan 20 48,910.39 2,445.52 3,083.27 154.16 65.95 3.30 52,059.61 2,602.98
Feb 18 27,757.71 1,542.09 2,555.81 141.99 25.60 1.42 30,339.12 1,685.51
Mar 23 31,884.93 1,386.30 3,580.73 155.68 55.85 2.43 35,521.51 1,544.41
Apr 19 42,835.30 2,254.49 3,142.10 165.37 42.10 2.22 46,019.49 2,422.08
May 20 56,021.81 2,801.09 3,442.85 172.14 69.70 3.48 59,534.37 2,976.72
Jun 21 37,293.62 1,775.89 4,224.81 201.18 65.10 3.10 41,583.54 1,980.17
Jul 21 48,342.95 2,302.05 2,718.54 129.45 48.34 2.30 51,109.84 2,433.80
Aug 22 44,683.25 2,031.06 3,935.53 178.89 39.79 1.81 48,658.57 2,211.75
Sep 21 44,095.75 2,099.80 4,205.95 200.28 94.43 4.50 48,396.12 2,304.58
Oct 20 85,258.38 4,262.92 4,482.67 224.13 116.81 5.84 89,857.86 4,492.89
Nov 22 86,619.55 3,937.25 4,802.84 218.31 84.64 3.85 91,507.03 4,159.41
Dec 22 50,754.32 2,307.01 3,715.00 168.86 33.02 1.50 54,502.34 2,477.38
Note: Turnover value traded in non-HKD currency securities have been included start from 29 November 2010.
Note: The exchange rate of HK$7.8/US$1 was used to calculate the equivalent value in Hong Kong dollars.
No. of
Year Whole year value trading days Average daily Value Date Value Date
Quarter Day
Rank Value (HK$mil) Quarter/Year Rank Value (HK$mil) Date
1 8,306,624.27 4/2007 1 209,808.30 2007/10/03
2 6,102,056.58 3/2007 2 200,833.43 2007/10/16
3 5,901,036.22 1/2008 3 195,257.20 2007/10/12
4 5,494,945.12 4/2010 4 185,024.96 2007/10/30
5 4,623,402.28 2/2008 5 178,712.17 2007/10/11
6 4,353,187.76 2/2009 6 177,627.69 2007/10/29
7 4,312,121.38 3/2009 7 174,395.47 2007/10/15
8 4,095,113.21 4/2009 8 169,636.11 2007/11/06
9 3,931,271.40 3/2008 9 168,521.99 2007/10/18
10 3,928,482.29 3/2010 10 165,175.30 2007/10/25
Quarter Day
Rank Value (HK$mil) Quarter/Year Rank Value (HK$mil) Date
1 8,339,767.42 4/2007 1 210,505.53 2007/10/03
2 6,156,615.82 3/2007 2 201,413.37 2007/10/16
3 5,922,420.08 1/2008 3 195,962.20 2007/10/12
4 5,533,486.38 4/2010 4 185,681.50 2007/10/30
5 4,640,846.32 2/2008 5 179,409.27 2007/10/11
6 4,372,749.49 2/2009 6 178,382.19 2007/10/29
7 4,338,516.02 3/2009 7 174,984.45 2007/10/15
8 4,120,726.27 4/2009 8 170,352.76 2007/11/06
9 3,952,788.64 3/2010 9 169,121.20 2007/10/18
10 3,950,355.27 1/2010 10 165,926.12 2007/10/25
Note: Market turnover values since January 1993 were adjusted for late reported and rejected sales.
Turnover value traded in non-HKD currency securities have been included start from 29 November 2010
Rank Points up Date Closing index Rank Points down Date Closing index
Rank Points up Date Closing index Rank Points down Date Closing index
2010
Jan 4596.88 3383.81 20121.99 1602.43 1259.16 5188.50 10067.33 3739.46
Feb 4651.11 3377.82 20608.70 1594.58 1270.78 5354.50 10325.26 3708.80
Mar 4893.06 3705.48 21239.35 1692.85 1320.57 5679.60 10856.63 3974.01
Apr 4833.88 3667.73 21108.59 1741.56 1346.38 5553.30 11008.61 3816.99
May 4453.59 3498.76 19765.19 1641.25 1285.01 5188.40 10136.63 3507.56
Jun 4324.77 3497.52 20128.99 1698.29 1314.02 4916.90 9774.02 3442.89
Jul 4507.44 3604.49 21029.81 1759.33 1360.92 5258.00 10465.94 3643.14
Aug 4438.84 3473.90 20536.49 1742.75 1422.49 5225.20 10014.72 3490.79
Sep 4636.86 3652.00 22358.17 1872.81 1463.50 5548.60 10788.05 3715.18
Oct 4733.41 3870.31 23096.32 1882.95 1505.66 5675.20 11118.49 3833.50
Nov 4676.44 3921.39 23007.99 1904.63 1485.23 5528.30 11006.02 3610.44
Dec 4846.88 4053.71 23035.45 2051.00 1518.91 5899.90 11577.51 3804.78
2010
Jan 3134.75 1176.05 2745.35 5570.19 7640.44 696.55 10198.04 11094.31
Feb 3200.05 1231.05 2750.86 5763.27 7436.10 721.37 10126.03 11629.63
Mar 3260.00 1271.71 2895.24 6007.84 7920.06 787.98 11089.94 12037.73
Apr 3009.37 1167.51 2974.61 5847.37 8004.25 763.51 11057.40 12210.70
May 2718.42 1084.60 2763.47 5562.49 7373.98 750.43 9768.70 11762.99
Jun 2514.16 990.43 2835.51 5407.82 7329.37 797.31 9382.64 11294.42
Jul 2764.36 1126.45 2987.70 5489.77 7760.63 855.83 9537.30 11713.43
Aug 2764.60 1222.47 2950.33 5465.25 7616.28 913.19 8824.06 11913.86
Sep 2782.02 1223.25 3097.63 5594.62 8237.78 975.30 9369.35 12368.65
Oct 3120.80 1364.47 3142.62 5754.64 8287.09 984.46 9202.45 12676.24
Nov 2953.32 1369.50 3144.70 5652.48 8372.48 1005.12 9937.04 12952.88
Dec 2940.24 1351.14 3190.04 5790.62 8972.50 1032.76 10228.92 13443.22
1400
1300
Germany
1200 New York
Taiwan
1100 London
Shenzhen
Hong Kong
1000 Tokyo
Shanghai
900
800
700
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
New York Hong Kong London Tokyo Shanghai Shenzhen Taiwan Germany
1300
Korea
Kuala Lumpur
1200 Toronto
Singapore
Swiss
1100
A ustralia
Paris
1000
900
800
700
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Singapore Australia Toronto Kuala Lumpur Thailand Korea Paris Swiss
Thailand
1400 Korea
Kuala Lumpur
Toronto
1300 Germany
New York
Singapore
1200
Taiwan
London
1100 Shenzhen
Hong Kong
Swiss
1000 Australia
Tokyo
Paris
900 Shanghai
800
700
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
New York Hong Kong London Tokyo Shanghai Shenzhen Taiwan Germany
Singapore Australia Toronto Kuala Lumpur Thailand Korea Paris Swiss
920 897.33
(26/04)
890
860
830
800
770
740
710
680
686.11
(04/01)
650
01/10 02/10 03/10 04/10 05/10 06/10 07/10 08/10 09/10 10/10 11/10 12/10
Year
Type 2006 2007 2008 2009 2010
Year
Type 2006 2007 2008 2009 2010
Ordinary shares 6 2 2 5 7
Warrants 1 2 1 0 1
Total 7 4 3 5 8
Year
Type 2006 2007 2008 2009 2010
Ordinary shares 9 7 21 5 12
– Withdrawal of listing 7 3 3 1 0
– Transfer of listing on Main Board 2 4 18 4 12
Warrants - equity 0 0 1 2 1
Total 9 7 22 7 13
HK$ bil
200
180
161.08
160
134.67
140
120 105.04
100 88.89
80 67.29 70.18 66.72 66.60
60.96
60 52.22 45.16
40
20 7.24
0
1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Energy 4,500.74 4,271.92 4,487.06 4,529.73 3,832.56 3,807.12 3,225.19 2,561.16 2,468.32 2,894.73 2,527.71 1,468.18
Materials 17,648.18 20,475.49 23,011.71 21,429.24 16,995.39 17,601.70 17,624.76 23,167.06 25,237.17 26,064.86 22,847.51 24,258.08
Industrial Goods 1,899.26 2,156.87 2,781.66 2,876.83 2,608.89 2,521.88 3,047.79 3,536.55 2,635.31 6,496.51 6,668.33 7,173.86
Consumer Goods 25,184.91 26,911.57 30,084.22 33,704.81 27,752.30 37,640.84 23,606.00 24,575.16 27,215.69 26,126.16 25,392.74 23,351.87
Services 21,279.95 22,768.77 26,356.23 28,927.23 25,632.28 24,012.68 25,069.23 24,040.78 22,745.03 22,727.33 24,318.40 22,223.51
Telecommunications 2,227.63 1,965.99 2,074.10 2,071.78 2,137.13 2,318.23 1,597.03 1,370.30 1,269.68 1,731.21 1,462.90 1,312.73
Utilities 7,110.17 6,710.67 7,311.30 6,799.32 5,290.96 5,253.76 5,431.61 4,939.22 5,773.74 5,937.19 5,602.80 5,603.33
Financials 1,712.54 1,715.70 2,912.37 2,825.90 2,562.80 3,049.64 3,124.89 3,047.43 3,249.80 2,917.23 4,802.33 5,074.92
Properties & Construction 4,451.45 4,748.75 4,922.56 4,943.93 4,237.86 4,222.78 4,566.83 4,872.77 5,418.96 6,500.23 6,581.81 2,632.00
Information Technology 24,501.06 24,165.24 27,864.17 33,103.28 29,982.62 28,570.17 27,970.67 26,954.64 31,805.96 30,259.25 36,057.06 40,338.30
Conglomerates 65.14 54.60 2,936.90 3,222.43 2,325.05 1,903.55 2,121.10 1,645.21 2,039.51 2,121.10 1,495.64 1,237.31
Total 110,581.02 115,945.58 134,742.28 144,434.49 123,357.83 130,902.34 117,385.10 120,710.28 129,859.18 133,775.80 137,757.22 134,674.08
Energy 985.15 (1.11%) 3,262.81 (2.03%) 1,760.29 (3.90%) 4,066.76 (3.87%) 1,468.18 (1.09%)
Materials 5,536.97 (6.23%) 2,925.40 (1.82%) 2,913.84 (6.45%) 15,423.16 (14.68%) 24,258.08 (18.01%)
Industrial Goods 6,299.27 (7.09%) 4,671.16 (2.90%) 1,720.51 (3.81%) 2,007.40 (1.91%) 7,173.86 (5.33%)
Consumer Goods 24,824.12 (27.93%) 41,086.11 (25.51%) 11,232.87 (24.87%) 23,776.91 (22.64%) 23,351.87 (17.34%)
Services 21,335.38 (24.00%) 36,000.21 (22.35%) 9,989.03 (22.12%) 20,378.65 (19.40%) 22,223.51 (16.50%)
Telecommunications 166.02 (0.19%) 266.73 (0.17%) 49.86 (0.11%) 2,261.48 (2.15%) 1,312.73 (0.97%)
Utilities 1,178.00 (1.33%) 3,150.08 (1.96%) 999.47 (2.21%) 7,283.78 (6.93%) 5,603.33 (4.16%)
Financials 2,536.50 (2.85%) 5,447.98 (3.38%) 1,149.34 (2.54%) 1,676.50 (1.60%) 5,074.92 (3.77%)
Properties & Construction 496.20 (0.56%) 1,818.61 (1.13%) 433.05 (0.96%) 4,951.98 (4.71%) 2,632.00 (1.95%)
Information Technology 25,527.83 (28.72%) 62,451.88 (38.77%) 14,915.91 (33.03%) 23,152.33 (22.04%) 40,338.30 (29.95%)
Conglomerates – (0.00%) – (0.00%) – (0.00%) 57.48 (0.05%) 1,237.31 (0.92%)
Equity total 88,885.43 (100.00%) 161,080.97 (100.00%) 45,164.18 (100.00%) 105,036.43 (100.00%) 134,674.08 (100.00%)
Trading value for GEM by Hang Seng Industry Classification System, 2010
Equity turnover
Annual turnover
Industry Classification * No. of issue # HK$mil % of total velocity (%)
Energy 3 5,173.62 3.87 352.38
Materials 12 12,292.22 9.20 50.67
Industrial Goods 8 1,634.13 1.22 22.78
Consumer Goods 43 32,794.28 24.54 140.44
Services 21 29,519.56 22.09 132.83
Telecommunications 3 2,388.42 1.79 181.94
Utilities 3 2,290.94 1.71 40.89
Financials 8 4,389.07 3.28 86.49
Properties & Construction 4 6,111.73 4.57 232.21
Information Technology 63 34,925.92 26.13 86.58
Conglomerates 1 2,123.63 1.59 171.63
Total 169 133,643.51 100.00 99.23
Notes:
1. Equity turnover values have been adjusted for late reported and rejected sales.
2. Figures may not add up to total due to rounding.
#
Year-end figures
* Industry Classification is provided by Hang Seng Indexes Company Limited.
(A) Adjusted
(A) Adjusted
* Foreign companies not solely listed in Hong Kong and stock suspended over 1 year are excluded.
Average dividend yields of GEM listed stocks by Hang Seng Industry Classification
System*, 2006 – 2010
(%)
Industrial Consumer Properties & Information
Year/Month All listed stocks Energy Materials Goods Goods Services Telecommunications Utilities Financials Construction Technology Conglomerates
2006 2.17 0.78 0.69 1.51 0.39 0.73 0.00 0.62 1.73 1.47 5.79 0.00
2007 0.68 0.00 1.37 0.36 0.94 1.23 0.00 0.00 1.35 0.59 0.19 0.00
2008 2.76 0.00 0.00 0.77 2.87 1.50 0.00 0.00 0.00 6.62 4.91 0.00
2009 0.77 0.00 0.02 0.47 0.66 0.79 0.00 0.12 0.03 0.29 1.97 0.00
2010 0.95 0.00 0.00 0.03 0.51 0.88 0.00 0.00 0.00 0.29 1.03 43.96
2010 Jan 0.73 0.00 0.02 0.39 0.62 0.76 0.00 0.12 0.03 0.32 1.86 0.00
Feb 0.70 0.00 0.02 0.34 0.58 0.71 0.00 0.13 0.03 0.30 1.89 0.00
Mar 0.63 0.00 0.00 0.63 0.58 0.69 0.00 0.00 0.00 0.17 1.69 0.00
Apr 0.62 0.00 0.00 0.42 0.66 0.63 0.00 0.00 0.00 0.17 1.42 0.00
May 0.73 0.00 0.00 0.46 0.76 0.71 0.00 0.00 0.00 0.33 1.62 0.00
Jun 0.76 0.00 0.00 0.48 0.56 0.78 0.00 0.00 0.00 0.34 2.00 0.00
Jul 0.74 0.00 0.00 0.40 0.34 0.75 0.00 0.00 0.00 0.31 2.05 0.00
Aug 0.50 0.00 0.00 0.34 0.36 0.86 0.00 0.00 0.00 0.29 1.05 0.00
Sep 0.54 0.00 0.00 0.07 0.32 0.91 0.00 0.00 0.00 0.11 1.25 0.00
Oct 0.93 0.00 0.00 0.03 0.34 0.91 0.00 0.00 0.00 0.09 1.31 25.64
Nov 0.93 0.00 0.00 0.03 0.43 0.85 0.00 0.00 0.00 0.12 1.15 36.36
Dec 0.95 0.00 0.00 0.03 0.51 0.88 0.00 0.00 0.00 0.29 1.03 43.96
Average price earnings ratios of GEM listed stocks by Hang Seng Industry
Classification System*, 2006 – 2010
(Times)
Industrial Consumer Properties & Information
Year/Month All GEM stocks Energy Materials Goods Goods Services Telecommunications Utilities Financials Construction Technology Conglomerates
2006 21.86 17.04 34.75 17.01 21.28 46.33 16.35 26.52 3.21 15.11 26.18 0.00
2007 44.91 69.57 12.69 32.77 35.99 55.45 0.00 160.34 58.66 29.21 52.02 0.00
2008 8.01 27.13 4.99 1.23 8.31 15.50 0.00 28.88 130.11 6.11 10.10 0.00
2009 38.98 108.75 155.11 17.81 20.93 36.12 0.00 237.62 501.48 127.73 34.42 0.00
2010 31.10 2.32 182.62 264.44 20.63 37.48 0.00 30.06 1204.91 2060.55 27.96 6.95
2010 Jan 40.93 118.66 175.78 18.44 21.97 37.72 0.00 231.95 512.26 114.82 36.21 0.00
Feb 43.11 112.63 203.94 20.95 23.11 40.98 0.00 218.92 513.20 122.49 36.87 0.00
Mar 43.09 186.43 233.40 26.15 24.16 30.86 0.00 222.88 459.36 240.40 37.71 0.00
Apr 45.27 185.74 206.81 22.43 26.46 33.73 0.00 207.27 445.72 241.45 44.53 0.00
May 38.19 157.15 163.24 20.32 21.25 29.88 0.00 161.29 381.20 206.96 40.04 0.00
Jun 28.88 6.02 165.79 19.64 28.55 27.65 0.00 28.19 724.06 206.23 26.22 0.00
Jul 28.46 5.09 153.56 23.24 25.27 28.81 0.00 29.14 741.93 224.83 26.57 0.00
Aug 29.35 4.05 187.23 34.81 26.09 27.63 0.00 26.50 723.53 239.89 25.60 0.00
Sep 33.11 3.90 203.96 53.35 38.80 38.26 0.00 30.98 771.58 38.20 24.30 0.00
Oct 34.04 4.57 210.65 131.53 37.21 38.23 0.00 31.86 692.62 43.61 23.11 11.91
Nov 34.17 3.99 175.56 135.01 35.54 39.45 0.00 30.06 1140.19 42.12 26.46 8.40
Dec 31.10 2.32 182.62 264.44 20.63 37.48 0.00 30.06 1204.91 2060.55 27.96 6.95
Note: Market capitalisation represents the value of the H shares only, not that of the entire issued capital of the enterprise.
2010 Jan 9 1 – – – – – – – – – – – –
Feb 54 0 – – – – 4.46 – – – – – – 4.46
Mar 112 23 – – – – – – – – – – – –
Apr 8 1 – – 1.95 – – – – – – – – 1.95
May 119 2 – – – 63.03 147.49 – – – – 16.48 – 227.00
Jun 44 1 – – – 71.27 – – – – – 15.87 – 87.14
Jul 6 0 – – 20.31 – – – – – 5.70 122.09 – 148.10
Aug 145 2 – – – 44.88 41.85 – – – – – – 86.73
Sep 20 3 – – – 5.07 5.63 – – – – – – 10.69
Oct 6 1 – – – – – – – – – 64.30 – 64.30
Nov 160 2 – – – – 1.36 – – – – 189.93 – 191.29
Dec 5 0 – – – 20.30 – – – – 1.98 – 543.87 566.15
* Hang Seng Industry Classification System (HSICS) is provided by Hang Seng Indexes Company Limited.
08295 Asian Capital Holdings Ltd. Offer for placing 300,000,000 0.200 60.00 2010/06/18 Asian Capital
Financials – Other Financials (Corporate Finance) Ltd.
VC Capital Ltd.
08356 Tsun Yip Holdings Ltd. Offer for placing 24,800,000 1.280 31.74 2010/08/30 Optima Capital Ltd
Properties & Construction
– Construction
08321 China Automotive Interior Offer for placing 50,000,000 0.930 46.50 2010/09/29 Sun Hung Kai International Ltd.
Decoration Holdings Ltd. Consumer Goods
– Textiles & Clothing
08269 Wealth Glory Holdings Ltd. Offer for placing 104,000,000 0.250 40.00 2010/10/14 Yuanta Securities
Offer for sale 56,000,000 0.250 (Hong Kong) Co., Ltd.
Consumer Goods
– Food & Beverages
08207 Credit China Holdings Ltd. Offer for placing 460,000,000 0.750 345.00 2010/11/19 China Everbright Capital Ltd.
Financials – Other Financials
08312 Brilliance Worldwide Holdings Ltd. Offer for placing 118,500,000 0.230 39.80 2010/11/25 Tanrich Capital Ltd.
Offer for sale 54,500,000 0.230
Consumer Goods
– Textiles & Clothing
Total 649.29
#
Transfers of listing from GEM to Main Board pursuant to the revised Rule 9.24 of the GEM Listing Rules and to the new Chapter 9A of the
Main Board Listing Rules effective from 1 July 2008.
* Effective date of the transfer of listing from GEM to Main Board
08116 Global Resources Development (Holding) Ltd. China Public Healthcare (Holding) Ltd. 2009/12/16 2010/01/20
08167 Big Media Group Ltd. Neo Telemedia Ltd. 2010/02/02 2010/02/10
08176 Blu Spa Holdings Ltd. China AU Group Holdings Ltd. 2010/01/04 2010/02/17
08250 Core Healthcare Investment Holdings Ltd. China Natural Investment Co. Ltd. 2010/01/11 2010/03/05
08019 Everpride Biopharmaceutical Co. Ltd. Hao Wen Holdings Ltd. 2010/03/10 2010/04/09
08153 China Chief Cable TV Group Ltd. Code Agriculture (Holdings) Ltd. 2010/03/23 2010/04/21
08078 Emperor Entertainment Group Ltd. Dragonlott Entertainment Group Ltd. 2010/04/07 2010/04/30
08206 China Cyber Port (International) Co. Ltd. China Communication Telecom Services Co. Ltd. 2010/04/26 2010/05/10
08228 Vertex Group Ltd. National Arts Holdings Ltd. 2010/04/09 2010/05/11
08272 Byford International Ltd. Best Miracle International Ltd. 2010/05/03 2010/05/31
08192 UURG Corporation Ltd. Global Energy Resources International Group Ltd. 2010/05/25 2010/07/02
08066 Cardlink Technology Group Ltd. Phoenitron Holdings Ltd. 2010/06/10 2010/08/02
08190 Goldmond Holdings Ltd. Combest Holdings Ltd. 2010/06/28 2010/08/05
08172 China Star Film Group Ltd. KH Investment Holdings Ltd. 2010/07/22 2010/08/26
08220 Emcom International Ltd. Bingo Group Holdings Ltd. 2010/08/06 2010/09/08
08078 Dragonlott Entertainment Group Ltd. China 3D Digital Entertainment Ltd. 2010/09/22 2010/11/03
08082 Info Communication Holdings Ltd. Sage International Group Ltd. 2010/10/08 2010/11/24
08032 Coolpoint Energy Ltd. Viva China Holdings Ltd. 2010/10/27 2010/11/29
08163 CCT Resources Holdings Ltd. Merdeka Resources Holdings Ltd. 2010/11/05 2010/12/01
08212 Aptus Holdings Ltd. Hong Kong Life Group Holdings Ltd. 2010/10/21 2010/12/08
08079 B.A.L. Holdings Ltd. Unlimited Creativity Holdings Ltd. 2010/11/08 2010/12/15
Nil
08082 Info Communication Holdings Ltd. Sage International Group Ltd. Bermuda 2010/10/08
08228 National Arts Holdings Ltd. National Arts Holdings Ltd. Bermuda 2010/10/14
18,000
16,055.75
16,000
14,000 13,235.00
12,000
10,000
9,100.26 8,512.84 9,060.05
8,000
5,835,53
6,000 5,279.76
4,644.27
4,384.13
4,000
3,045.76
1,583.00
2,000
0
1999 2000 2001 2002 2003 2004 2005 2006 2007 2008 2009 2010
Equities Offer for subscription 231.04 817.28 90.92 1,415.28 93.44 391.64 12.66 297.00. – 54.00 –
Offer for sale 220.38 249.38 370.32 457.38 108.64 61.07 22.10 73.50 163.43 20.00 31.10 26.54
Offer for placing 1,131.57 13,748.16 3,654.58 5,138.00 1,873.21 2,241.42 630.68 1,398.71 1,830.12 196.84 271.10 622.75
Placing – 508.66 274.19 1,216.57 1,512.16 1,650.81 1,646.28 3,163.57 10,910.49 3,728.85 2,535.18 7,651.88
Rights issue – – 153.83 154.90 220.70 191.11 58.22 2,146.02 1,853.63 133.46 237.49 767.95
Open offer – – – – 128.47 5.96 16.47 78.57 248.79 181.99 437.27 670.96
Consideration issue – 682.43 1,245.48 638.87 664.93 656.66 537.42 1,199.87 4,187.92 4,594.00 608.10 2,873.73
Warrants exercised – – 28.20 0.00 0.14 0.06 7.62 2.24 140.46 31.71 4.85 140.25
Share option scheme – 49.84 18.02 79.25 42.57 80.98 114.31 153.36 432.55 173.21 205.03 480.95
Equities funds raised 1,583.00 16,055.75 5,835.53 9,100.26 4,644.27 5,279.69 3,045.76 8,512.84 19,767.38 9,060.05 4,384.13 13,235.00
Placing – – – 113.00 204.00 459.33 272.90 594.25 1,317.33 1,770.67 122.40 638.72
Rights issue – – – – – – – – – – 100.81 –
Open offer – – – – – – – – 82.71 – – –
Consideration issue – – – – – – – – – – – –
Warrants exercised – – – – – – – – – – – –
Share option scheme – – – – – – – – – – – –
Equities funds raised – 644.18 763.99 1,172.60 1,421.91 1,152.93 448.37 2,363.46 1,400.04 1,947.51 223.21 638.72
Equities funds raised 404.24 – – – 0.68 92.00 39.53 6.90 1,049.61 220.22 – 0.03
08343 China Nonferrous Metals Co. Ltd. Warrants 2012 0.260 8/2/2010 – 8/1/2010 7.17 2010/08/02
Market value and trading for equity warrants on GEM, 2006 – 2010
Market value * Turnover value (%) of
Year/Month Number * HK$mil HK$mil market total
500,000
400,000
300,000
200,000
100,000
0
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
350,000 339,170
302,583
300,000
262,577 266,749
258,411
243,493
250,000 229,098 235,695 235,934
208,189 202,453
200,000 187,784
150,000
100,000
50,000
0
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
2010 Highest 8 8
(date) (27/09) (18/10)
2006 247.0 0 0 0
2007 245.0 150 1 0
2008 243.0 0 0 0
2009 247.5 0 0 0
2010 248.0 0 0 0
2010 Highest 0 0
(date)
2010 Jan 20.0 1,728.14 3,278.94 5,007.08 250.35 1,960,567 2,898,927 4,859,494 242,975 1,657,209 3,061,508 4,718,717
Feb 18.0 1,311.03 2,395.01 3,706.04 205.89 1,585,221 1,709,605 3,294,826 183,046 1,707,080 3,122,207 4,829,287
Mar 23.0 1,276.03 2,962.53 4,238.56 184.29 1,849,331 2,536,802 4,386,133 190,701 1,514,485 2,837,919 4,352,404
Apr 19.0 1,396.33 1,988.41 3,384.74 178.14 1,608,309 2,135,804 3,744,113 197,059 1,647,901 3,202,912 4,850,813
May 20.0 1,502.66 2,932.98 4,435.64 221.78 2,186,377 3,119,644 5,306,021 265,301 2,014,032 3,511,570 5,525,602
Jun 21.0 1,472.65 3,320.98 4,793.63 228.27 2,259,816 2,952,522 5,212,338 248,207 1,864,787 3,299,208 5,163,995
Jul 21.0 1,074.28 1,637.03 2,711.31 129.11 1,660,218 2,097,875 3,758,093 178,957 1,922,214 3,431,556 5,353,770
Aug 22.0 1,365.85 2,039.06 3,404.91 154.77 2,128,179 2,644,405 4,772,584 216,936 2,057,119 3,808,946 5,866,065
Sep 21.0 2,023.41 3,828.07 5,851.48 278.64 2,263,668 3,082,749 5,346,417 254,591 1,850,571 3,240,355 5,090,926
Oct 20.0 3,260.00 2,632.44 5,892.44 294.62 3,765,621 3,458,792 7,224,413 361,221 2,642,984 3,731,759 6,374,743
Nov 22.0 3,307.52 3,172.95 6,480.47 294.57 3,642,013 4,027,087 7,669,100 348,595 2,941,510 4,321,762 7,263,272
Dec 21.0 1,821.73 3,855.58 5,677.31 270.35 2,280,015 3,272,100 5,552,115 264,386 1,969,501 3,411,714 5,381,215
Contracts
8,000,000
7,669,100
7,500,000 7,224,413
7,000,000
6,500,000
6,000,000
5,552,115
5,500,000 5,306,021 5,346,417
5,212,338
4,859,494
5,000,000 4,772,584
4,386,133
4,500,000
3,500,000 3,294,826
3,000,000
2,500,000
2,000,000
1,500,000
1,000,000
500,000
0
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Call Put
7,500,000 7,263,272
7,000,000
6,374,743
6,500,000
5,866,065
6,000,000
5,525,602
5,353,770 5,381,215
5,500,000
5,163,995 5,090,926
4,829,287 4,850,813
5,000,000 4,718,717
4,352,404
4,500,000
4,000,000
3,500,000
3,000,000
2,500,000
2,000,000
1,500,000
1,000,000
500,000
0
Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Call Put
1
The size of 3-Month HIBOR futures contracts was increased to 5 times the original size starting from 27 May 2002
2
The size of 1-Month HIBOR futures contracts was increased to 5 times the original size starting from 27 May 2002
2010 Jan 0 0 0
Feb 0 0 6
Mar 0 0 0
Apr 0 0 0
May 0 0 0
Jun 0 0 0
Jul 0 3 336
Aug 0 6 757
Sep 0 0 35
Oct 0 6 725
Nov 1 4 478
Dec 0 1 143
USD
2006 100.00 100.00
2007 98.19 99.19
2008 98.70 99.90
2009 96.31 97.83
2010 98.86 99.75