The full text on this page is automatically extracted from the file linked above and may contain errors and inconsistencies.
MONTHLY REPORT TO CONGRESS SEPTEMBER 2014 October 10, 2014 Troubled Asset Relief Program U.S. Department of the Treasury TABLE OF CONTENTS Highlights in September ........................................................................................................................................................................... 1 Bank Support Programs ........................................................................................................................................................................... 2 Capital Purchase Program ................................................................................................................................................................... 2 Community Development Capital Initiative ........................................................................................................................................... 4 Automotive Industry Financing Programs ................................................................................................................................................ 5 Ally Financial ........................................................................................................................................................................................ 5 Credit Market Programs ........................................................................................................................................................................... 6 Public-Private Investment Program ..................................................................................................................................................... 6 Housing Programs ................................................................................................................................................................................... 7 Making Home Affordable ...................................................................................................................................................................... 7 Hardest Hit Fund .................................................................................................................................................................................. 8 Lifetime Costs ........................................................................................................................................................................................ 10 Treasury Estimates of the Impact of TARP Programs and AIG Investments on the Federal Budget ................................................ 12 Appendix Table of Contents ................................................................................................................................................................... 14 HIGHLIGHTS IN SEPTEMBER As of September 30, 2014, a total of $425.5 billion has been disbursed under TARP, and cumulative collections, together with Treasury’s additional proceeds from the sale of non-TARP shares of AIG, total $440.0 billion. On September 9, Treasury announced that it would continue to wind down its investment in First BanCorp. (FBP) by selling additional shares of common stock through its first pre-defined written trading plan. Treasury currently holds approximately 19.7 million shares, or approximately 9.2 percent of FBP common stock. On September 12, Treasury announced the completion of its first pre-defined written trading plan for Ally Financial Inc. (Ally) common stock. Treasury sold 8.89 million shares and recovered approximately $218.7 million during the plan. Treasury also announced that it would continue to wind down its investment in Ally by selling additional shares of common stock through its second pre-defined written trading plan, which began on September 12. Including proceeds from the first pre-defined written trading plan, taxpayers have now recovered approximately $18.0 billion on the Ally investment, roughly $873 million more than the original $17.2 billion investment. On September 30, Treasury received a final $1.8 million distribution from the Public-Private Investment Program (PPIP). In total, Treasury disbursed $18.6 billion under the PPIP and, including September’s final distribution, recovered $22.5 billion. Disposition of TARP Funds as of September 30, 2014 Obligated Principal Total Cash Back Disbursed Repayments Outstanding 500 billion dollars 400 300 200 100 0 Housing Credit Banks Autos AIG Non TARP AIG Cash Back 1 BANK SUPPORT PROGRAMS CAPITAL PURCHASE PROGRAM Treasury created the Capital Purchase Program (CPP) in October 2008 to help stabilize the financial system by providing capital to viable banking institutions of all sizes throughout the nation. The CPP Snapshot shows the cumulative CPP activity from the program since its inception. As of September 30, 2014, $226.3 billion in total CPP proceeds have been collected. Today, every dollar recovered from CPP participants represents an additional positive return for taxpayers. In addition to its CPP investments, Treasury continues to hold outstanding investments in Community Development Financial Institutions through the Community Development Capital Initiative. CPP SNAPSHOT 707 253 SBLF Repayments 137 $200 CDCI Conversions Sold Investments Auctioned Investments In Bankruptcy/Receivership 28 30 182 30 $150 Merged Institutions Total Remaining Institutions Partial Repayments Currently in Common2 1 2 Total CPP Proceeds1 Total Institutions Funded Full Repayments 4 43 2 2 $226.3 billion $196.36 $100 $50 $2.99 $19.01 $7.97 $Repayments Auctions Total Dividends, Interest & Other Income Warrant Income Repayments: Actual collections as of September 30, 2014, including (i) $2.21 billion in CPP investments refinanced under the Small Business Lending Fund (SBLF), a program created by Congress outside of TARP under which certain CPP institutions were allowed to repay TARP funds by borrowing under that program, and (ii) $0.36 billion in exchanges of CPP investments into the Community Development Capital Initiative (CDCI), as permitted under the terms of that program. Auctions: Includes net proceeds from all auctions of CPP preferred and note securities where cash has settled with OFS as of August 31, 2014. Warrant Income: Net Proceeds. Includes proceeds from exercised warrants. Institutions where Treasury has converted its original investment at a discount into shares of common stock in the institution. 2 SALES & DISPOSITIONS On September 9, Treasury announced that it would continue to wind down its investment in First BanCorp. (FBP) by selling additional shares of common stock through its first pre-defined written trading plan. Treasury currently holds approximately 19.7 million shares, or approximately 9.2 percent of FBP common stock. More information is available in Treasury’s Press Release here: http://www.treasury.gov/press-center/press-releases/Pages/jl2626.aspx. WARRANT REPURCHASES On September 3, Intervest Bancshares Corporation repurchased its warrants to purchase common stock from Treasury for a total of $2.9 million. TOP 10 REMAINING CPP INSTITUTIONS 1 2 3 4 5 6 7 8 9 10 Institution First BanCorp3 Location San Juan, PR U.S. Century Bank Porter Bancorp Inc. First United Corporation Chambers Bancshares, Inc. OneFinancial Corporation Liberty Shares, Inc. Broadway Financial Corporation4 Suburban Illinois Bancorp, Inc. Tidelands Bancshares, Inc. Miami, FL Louisville, KY Oakland, MD Danville, AR Little Rock, AR Hinesville, GA Los Angeles, CA Elmhurst, IL Mount Pleasant, SC Amount Outstanding (millions) $ 239.0 $ $ $ $ $ $ $ $ $ 50.2 35.0 30.0 19.8 17.3 17.3 15.0 15.0 14.4 3 Treasury exchanged its preferred stock for mandatorily convertible preferred stock (MCP) with capitalized dividends. First Bancorp fulfilled the conversion conditions and Treasury's MCP was converted into 32,941,797 shares of common stock. Treasury sold 12,000,000 of such shares on August 16, 2013. Treasury sold a further 1,261,356 shares on September 13, 2013 following the exercise by the underwriters of their over-allotment option. On September 9, 2014, Treasury began its first pre-defined written trading plan for the sale of additional shares of common stock. 4 On August 22, 2013, Treasury exchanged its preferred stock in Broadway Financial Corporation (Broadway) for 10,146 shares of common stock equivalent representing 50% of the liquidation preference of the preferred stock, plus 100% of previously accrued and unpaid dividends on the preferred stock. On December 5, 2013, Treasury's 10,146 shares of common stock equivalent in Broadway converted to 10,146,000 shares of common stock. 3 COMMUNITY DEVELOPMENT CAPITAL INITIATIVE In order to provide lower-cost capital to community development financial institutions, Treasury established the Community Development Capital Initiative (CDCI). In total, Treasury invested approximately $570 million in 84 community development financial institutions, which included approximately $363 million exchanged by 28 financial institutions from the Capital Purchase Program. There are currently 68 institutions remaining in the program with $465.0 million in investment outstanding. Treasury has not taken any specific action to date to wind down the CDCI, however some institutions have repaid Treasury’s investments. REPAYMENTS AT PAR On September 10, Bainbridge Bancshares, Inc. repurchased part of its outstanding CDCI investment from Treasury for total proceeds of $2.4 million. Treasury continues to hold $1.0 million in outstanding CDCI investment in Bainbridge Bancshares, Inc. 4 AUTOMOTIVE INDUSTRY FINANCING PROGRAMS 7 ALLY FINANCIAL On September 12, Treasury announced the completion of its first pre-defined written trading plan for Ally Financial Inc. (Ally) common stock. Treasury sold 8.89 million shares and recovered approximately $218.7 million during the plan. Treasury also announced that it would continue to wind down its investment in Ally by selling additional shares of common stock through its second pre-defined written trading plan, which began on September 12. More information in available in Treasury’s Press Release here: http://www.treasury.gov/press-center/press-releases/Pages/jl2631.aspx. As part of Ally’s initial public offering in April, Treasury sold 95.0 million shares of Ally common stock at $25.00 per share for $2.4 billion in proceeds to taxpayers. The underwriters of the IPO later exercised their option to purchase approximately 7.2 million additional shares at the IPO price, recovering an additional $181 million for taxpayers. Including proceeds from the first pre-defined written trading plan, taxpayers have now recovered approximately $18.0 billion on the Ally investment, roughly $873 million more than the original $17.2 billion investment. 5 CREDIT MARKET PROGRAMS 7 PUBLIC-PRIVATE INVESTMENT PROGRAM Disposition of PPIP Funds as of September 30, 2014 On September 30, Treasury received its final $1.8 million distribution from the Public-Private Investment Program (PPIP). Treasury announced the PPIP in March 2009 to support market functioning and facilitate price discovery in the markets for legacy Commercial Mortgage-Backed Securities (CMBS) and nonagency Residential Mortgage-Backed Securities (RMBS). The purpose of the PPIP was to draw new private capital into the market for legacy RMBS and CMBS by providing financing on attractive terms as well as a matching equity investment from Treasury. PPIP helped restart the market for these securities by helping financial institutions begin to remove these assets from their balance sheets, while allowing a general increase in credit availability to consumers and small businesses. Treasury disbursed a total of $18.6 billion under the PPIP and, including September’s final distribution, recovered a total of $22.5 billion. Obligated Principal Total Cash Disbursed Repayments Outstanding Back 25 billion dollars 20 15 10 5 0 6 HOUSING PROGRAMS 7 MAKING HOME AFFORDABLE 8 In total5, more than 2.1 million homeowner assistance actions have taken place under MHA programs. These include permanent first and second lien mortgage modifications, completed short sales and deeds-in-lieu of foreclosure, and unemployment forbearance plans. For more information about Treasury’s housing programs, please visit: http://www.treasury.gov/initiatives/financialstability/TARP-Programs/housing/Pages/default.aspx. 5 Program Total Includes: GSE and Non-GSE HAMP permanent modifications; FHA- and RD-HAMP modification; and GSE Standard Modifications since October 2011 under the GSEs’ Servicer Alignment Initiative as reported by the GSEs to Treasury. HAFA Transactions Completed in the ‘Other MHA Programs’ table includes both GSE and Non-GSE HAFA transactions completed, including those completed by the GSEs since the GSEs jointly streamlined their short sale and deed-in-lieu of foreclosure programs in November 2012. The GSE Standard HAFA program is closely aligned with Treasury’s MHA HAFA program 7 7 HARDEST HIT FUND 8 The Hardest Hit Fund provides $7.6 billion to 18 states and the District of Columbia to provide assistance to struggling homeowners through locally tailored programs administered by each respective housing finance agency (HFA). These states were chosen because they experienced steep home price declines or severe unemployment in the economic downturn. HFAs offer a number of different programs to help homeowners, including mortgage payment assistance, reinstatement, principal reduction, modification assistance, short sale/transition assistance, note purchase and modification, and blight elimination. As of September 30, 2014, the 19 HFAs have drawn a total of $4.5 billion. There are now 73 active programs across the 19 HFAs. Approximately 66 percent of total program funds are targeted to helping unemployed borrowers, primarily through reinstatement and programs that help homeowners pay their mortgage while looking for work. Treasury continues to work to identify best practices, share lessons learned, and provide additional assistance and oversight to the HFAs. It also hosts biweekly calls with servicers and HFAs to identify operational barriers. In September, Alabama and California made changes to their programs. Alabama expanded mortgage payment assistance to underemployed homeowners and introduced a new Blight Elimination Program, which will provide up to $25,000 per property for the removal, greening, and maintenance of blighted properties to stabilize local housing markets and prevent avoidable foreclosures. Alabama allocated $25 million to fund the new Blight Elimination Program. California introduced a new Reverse Mortgage Assistance Program (RevMAP), which provides up to $25,000 to reinstate past due property expenses for low-to-moderate income senior homeowners with FHA Home Equity Conversion Mortgage (HECM) loans who have received the maximum benefit under their HECM loans. California allocated $25 million to fund RevMAP, and expanded its Transition Assistance Program to provide assistance to HECM borrowers who cannot demonstrate long-term sustainability to offset some of the costs associated with exiting their homes via either a short sale or a deed-in-lieu of foreclosure. Two HFAs drew a total of $95 million in September. Over the life of the program, the 19 HFAs have drawn a total of $4.5 billion. Each HFA draws down funds as they are needed (See Hardest Hit Fund as of September 30, 2014 chart). HFAs have until December 31, 2017 to expend funds, and must have no more than five percent of their allocation on hand before they can draw additional funds. Treasury continues to publish the Hardest Hit Fund Quarterly Performance Summary containing performance data and trends, key economic and loan performance indicators, and brief program descriptions for each HFA. The Hardest Hit Fund Quarterly Performance Summary is available at http://www.treasury.gov/initiatives/financial-stability/reports/Pages/HHF.aspx. Each HFA also submits a quarterly report on the progress of its programs. Direct links to each HFA’s most recent performance report can be found at http://www.treasury.gov/initiatives/financial-stability/programs/housing-programs/hhf/Pages/default.aspx. 8 7 HARDEST HIT FUND AS OF SEPTEMBER 30, 2014 8 9 LIFETIME COSTS The true cost of the financial crisis will always be measured in the human suffering and economic damage it caused – the jobs that were lost, the businesses that were closed, and the college educations or retirements that were deferred. However, the fiscal cost of TARP is also important. When Congress created TARP, it authorized up to $700 billion for the programs. That authority was later reduced to $475 billion. To date, a total of $425.5 billion has been disbursed under TARP. As of September 30, 2014, cumulative collections under TARP, together with Treasury’s additional proceeds from the sale of non-TARP shares of AIG6, have exceeded total disbursements by $14.5 billion7. Treasury estimates that the combined overall cost of TARP will be approximately $37.5 billion. These estimates assume that the budget for TARP housing programs will be disbursed in full and do not include Treasury’s additional proceeds from its non-TARP AIG shares. For a daily snapshot of the amount of funds obligated, the amount disbursed, repayments, income received and any losses by program, please visit the Daily TARP Update (DTU) at: http://www.treasury.gov/initiatives/financialstability/reports/Pages/daily-tarp-reports.aspx. The DTU is updated after every business day. To see how Treasury has invested and recovered TARP funds over time, please visit the interactive TARP Tracker at: http://www.treasury.gov/initiatives/financialstability/reports/Pages/TARP-Tracker.aspx. 6 7 For more information, see note 10 to the Daily TARP Update: http://www.treasury.gov/initiatives/financial-stability/reports/Pages/daily-tarp-reports.aspx. Treasury is continuing to disburse funds related to its housing programs, and continuing to recoup its outstanding investments. For the latest lifetime cost estimates, please see the chart on page 12: Treasury Estimates of the Impact of TARP Programs and AIG Investments on the Federal Budget. Cumulative TARP Disbursements and Cumulative TARP Cash Back (together with Treasury's additional proceeds from AIG shares) 500 billion dollars 400 300 200 100 0 Oct Apr Oct Apr Oct Apr Oct' Apr Oct Apr Oct Apr '08 '09 '09 '10 '10 '11 11 '12 '12 '13 '13 '14 10 7 The Treasury Estimates of the Impact of TARP Programs and AIG Investments on the Federal Budget chart provides for each 8 program within TARP the amount obligated, the amount disbursed, the outstanding balance, and the estimated lifetime cost. Estimated lifetime cost represents Treasury’s best estimate of what the program will ultimately cost the taxpayer. This chart also shows the estimated lifetime cost of the additional investment by Treasury in AIG separate and apart from the TARP investment. This chart utilizes the methodology that OFS has consistently used to estimate lifetime costs including the requirement to use a discount rate that reflects market risk as required by EESA for future cash flows. Over time, market conditions and the performance of specific investments will be critical determinants of TARP’s lifetime cost. The methodology used adheres to government budgeting guidance and includes investments and other disbursements expected to be made in the future. It also includes assumptions regarding future events, which are inherently uncertain. These estimates do not necessarily reflect official Administration budgetary estimates of the deficit impact of TARP and may differ from the official estimates presented in the President’s Budget, the Midsession Review of the Budget, and the report required in 2013 under Section 134 of EESA. 11 7 8 TREASURY ESTIMATES OF THE IMPACT OF TARP PROGRAMS AND AIG INVESTMENTS ON THE FEDERAL BUDGET Programs as of September 30, 2014 Estimated Lifetime Cost as of Outstanding Investment Balance as of September 30 Obligation/ Commitment Disbursed as of September 30 Citigroup $ 25.00 $ 25.00 $ - $ (6.89) Other banks with assets $10 billion or greater $ $ 165.33 14.57 $ $ 165.33 14.57 $ $ 0.23 0.39 $ $ (10.28) 1.02 $ 204.89 $ 204.89 $ 0.62 $ (16.15) $ 40.00 $ 40.00 $ - $ (4.00) $ 5.00 $ 0.00 $ - $ (4.00) $ 0.57 $ 0.57 $ 0.47 $ 0.11 Debt $ $ 6.37 12.38 $ $ 6.25 12.38 $ $ - $ $ (3.06) 0.33 Total $ 18.75 $ 18.63 $ - $ (2.73) Term Asset Backed Securities Lending Facility (TALF) $ 0.10 $ 0.10 $ - $ (0.60) Purchase SBA 7(a) Securities (SBA) $ 0.37 $ 0.37 $ - $ (0.00) Common Stock $ $ 20.29 47.54 $ $ 20.29 47.54 $ $ - $ $ 15.18 Total $ 67.84 $ 67.84 $ - $ 15.18 Automotive Industry Financing Program (AIFP) $ 79.69 $ 79.69 $ 1.83 $ 12.23 Sub-total for Investment Programs $ 417.21 $ 411.72 $ 2.92 $ 0.03 Making Home Affordable $ $ $ 29.83 7.60 1.03 $ $ $ 9.25 4.47 0.06 n/a n/a n/a $ $ $ 29.83 7.60 0.04 $ 38.45 $ 13.78 n/a $ 37.47 $ 455.67 $ 425.50 2.92 $ 37.50 n/a $ (17.55) 2.92 $ 19.95 (dollar amounts in billions) Bank Support Programs: 1 May 31 Capital Purchase Program (CPP): Banks with assets less than $10 billion2 Total Targeted Investment Program (TIP) 3 Asset Guarantee Program (AGP) Community Development Capital Initiative (CDCI) Credit Market Programs: Public-Private Investment Program (PPIP): Equity Other Programs: American International Group (AIG): Preferred Stock Hardest Hit Fund FHA-Refinance4 Sub-total for Housing Programs Total for TARP Programs Additional AIG Common Shares Held by Treasury5 Total for TARP Programs and Additional AIG Shares n/a $ 455.67 $ n/a $ 425.50 $ 12 7 Footnotes to Treasury Estimates of the Impact of TARP Programs and AIG Investments on the Federal Budget 81 Lifetime cost information is as of May 31, 2014. Estimated lifetime cost figures shown above are currently updated quarterly in conjunction with the Office of Management and Budget. 2 The law creating the Small Business Lending Fund (SBLF) provided that banks could refinance securities issued under the CPP and CDCI programs with securities issued under the SBLF. A total of 137 CPP banks refinanced under the SBLF resulting in repayments of $2.21 billion in CPP investments. 3 Estimated lifetime costs for AGP includes $276 million for the termination fee Bank of America paid Treasury-OFS for the value received from the announcement of the negotiations on the guarantee and share losses on a pool of assets. 4 In March 2013, Treasury extended the letter of credit facility to provide coverage for loans refinanced throughout the eligibility period, which had been extended to December 2014, but reduced the amount from $8 billion to $1 billion. Treasury believes this lower amount will be sufficient to accommodate any increased usage that could result through the close of the program. The figures in this line include administrative expenses associated with the letter of credit facility. 5 As discussed in note 10 to the Daily TARP Update, Treasury’s investment in AIG common shares consisted of shares acquired in exchange for preferred stock purchased with TARP funds (TARP shares) and shares received from the trust created by the FRBNY for the benefit of Treasury as a result of its loan to AIG (non-TARP shares). Treasury managed the TARP shares and non-TARP shares together, and disposed of them pro-rata in proportion to its holdings. Only the TARP shares are included under “Other Programs—AIG” and the lifetime cost estimate shows a loss based on Treasury’s cost basis in the TARP shares alone. However, a gain is shown for the non-TARP shares on the line entitled “Additional AIG Common Shares Held by Treasury” because Treasury’s cost basis in such shares was deemed to be zero. When the TARP shares and non-TARP shares are considered together, Treasury’s cost on a cash basis was $28.73 per share. TARP estimates include financing costs (borrowing) from the time of initial investment through the close of the program. 13 APPENDIX TABLE OF CONTENTS Section Statutory Requirement8 CPP Institutions Additional Information 15 Administrative Obligations and Expenditures EESA §105(a)(2) 17 Agreements under TARP EESA §105(a)(3)(A) 18 Insurance Contracts EESA §105(a)(3)(B) 24 Transactions Report EESA §105(a)(3)(C,D,G) 25 Page Investment Programs 25 Home Affordable Modification Program 73 Projected Costs and Liabilities EESA §105(a)(3)(E) 122 Programmatic Operating Expenses EESA §105(a)(3)(F) 123 Description of Vehicles Established EESA §105(a)(3)(H) 124 HAMP Application Activity by Servicer Dodd-Frank §1483(b) 125 8 §105(a)(1) is covered by the body of this report. EESA (Emergency Economic Stabilization Act of 2008). Dodd-Frank (Dodd-Frank Wall Street Reform and Consumer Protection Act). 14 Troubled Asset Relief Program Capital Purchase Program Institutions As of September 30, 2014 A. Remaining CPP Portfolion Institutions B. Institutions Entered into Bankruptcy/Receivership - Realized Loss/Write-Off A. Remaining CPP Portfolio Institutions Institution Name First BanCorp* U.S. Century Bank Porter Bancorp Inc. First United Corporation Chambers Bancshares, Inc. OneFinancial Corporation Liberty Shares, Inc. Broadway Financial Corporation* Suburban Illinois Bancorp, Inc. Tidelands Bancshares, Inc HCSB Financial Corporation OneUnited Bank Cecil Bancorp, Inc. Farmers & Merchants Bancshares, Inc. NCAL Bancorp Regent Bancorp, Inc. City National Bancshares Corporation Western Community Bancshares, Inc. Harbor Bankshares Corporation Highlands Independent Bancshares, Inc. Liberty Bancshares, Inc. Citizens Commerce Bancshares, Inc. Patapsco Bancorp, Inc. Rising Sun Bancorp Capital Commerce Bancorp, Inc. CalWest Bancorp Pinnacle Bank Holding Company, Inc. Metropolitan Capital Bancorp, Inc. Community Bancshares, Inc. Allied First Bancorp, Inc. Grand Mountain Bancshares, Inc. Lone Star Bank St. Johns Bancshares, Inc. Location San Juan, PR Miami, FL Louisville, KY Oakland, MD Danville, AR Little Rock, AR Hinesville, GA Los Angeles, CA Elmhurst, IL Mount Pleasant, SC Loris, SC Boston, MA Elkton, MD Houston, TX Los Angeles, CA Davie, FL Newark, NJ Palm Desert, CA Baltimore, MD Sebring, FL Fort Worth, TX Versailles, KY Dundalk, MD Rising Sun, MD Milwaukee, WI Rancho Santa Margarita, CA Orange City, FL Chicago, IL Kingman, AZ Oswego, IL Granby, CO Houston, TX St. Louis, MO Public/P rivate Public Private Public Public Private Private Private Public Private Public Public Private Public Private Public Public Private Private Public Private Private Public Public Public Private Public Private Private Private Public Private Private Private Amount Outstanding $ 238,972,281.88 $ 50,236,000.00 $ 35,000,000.00 $ 30,000,000.00 $ 19,817,000.00 $ 17,300,000.00 $ 17,280,000.00 $ 15,000,000.00 $ 15,000,000.00 $ 14,448,000.00 $ 12,895,000.00 $ 12,063,000.00 $ 11,560,000.00 $ 11,000,000.00 $ 10,000,000.00 $ 9,982,000.00 $ 9,439,000.00 $ 7,290,000.00 $ 6,800,000.00 $ 6,700,000.00 $ 6,500,000.00 $ 6,300,000.00 $ 6,000,000.00 $ 5,983,000.00 $ 5,100,000.00 $ 4,656,000.00 $ 4,389,000.00 $ 4,388,000.00 $ 3,872,000.00 $ 3,652,000.00 $ 3,076,000.00 $ 3,072,000.00 $ 3,000,000.00 15 US Metro Bank Garden Grove, CA Public $ 2,861,000.00 Prairie Star Bancshares, Inc. Olathe, KS Private $ 2,800,000.00 SouthFirst Bancshares, Inc. Sylacauga, AL Public $ 2,760,000.00 Goldwater Bank, N.A. Scottsdale, AZ Private $ 2,568,000.00 Grand Financial Corporation Hattiesburg, MS Private $ 2,443,320.00 CSRA Bank Corp. Wrens, GA Private $ 2,400,000.00 Citizens Bank & Trust Company Covington, LA Private $ 2,400,000.00 Crazy Woman Creek Bancorp, Inc. Buffalo, WY Public $ 2,100,000.00 Saigon National Bank Westminster, CA Public $ 1,549,000.00 Calvert Financial Corporation Ashland, MO Private $ 1,037,000.00 *Original Investment has been converted at a discount into common stock in the institution. Amount shown is original invesment amount B. Institutions Entered into Bankruptcy/Receivership - Realized Loss/Write-Off Institution Name CIT Group Inc.* UCBH Holdings, Inc. Pacific Coast National Bancorp* Midwest Banc Holdings, Inc.* Sonoma Valley Bancorp Pierce County Bancorp Tifton Banking Company* Legacy Bancorp, Inc. Superior Bancorp Inc. FPB Bancorp Inc. One Georgia Bank* Integra Bank Corporation Citizens Bancorp CB Holding Corp. Tennessee Commerce Bancorp, Inc. Blue River Bancshares, Inc. Fort Lee Federal Savings Bank* Gregg Bancshares, Inc. GulfSouth Private Bank* Investors Financial Corporation of Pettis County, Inc. First Place Financial Corporation* Princeton National Bancorp Premier Bank Holding Company* Gold Canyon Bank* Indiana Bank Corp. Rogers Bancshares, Inc. Anchor Bancorp Wisconsin, Inc.* TCB Holding Company Syringa Bancorp Idaho Bancorp *Institution has exited the bankruptcy/receivership process Bankruptcy/ Receivership Date 11/1/2009 11/6/2009 11/13/2009 5/14/2010 8/20/2010 11/5/2010 11/12/2010 3/11/2011 4/15/2011 7/15/2011 7/15/2011 7/29/2011 9/23/2011 10/14/2011 1/27/2012 2/10/2012 4/20/2012 7/13/2012 10/19/2012 10/19/2012 10/29/2012 11/2/2012 8/14/2012 4/5/2013 4/9/2013 7/5/2013 8/12/2013 12/13/2013 1/31/2014 4/24/2014 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ Realized Loss/ Write-Off Amount 2,330,000,000.00 298,737,000.00 4,120,000.00 84,784,000.00 8,653,000.00 6,800,000.00 3,800,000.00 5,498,000.00 69,000,000.00 5,800,000.00 5,500,000.00 83,586,000.00 10,400,000.00 4,114,000.00 30,000,000.00 5,000,000.00 1,300,000.00 825,000.00 7,500,000.00 4,000,000.00 72,927,000.00 25,083,000.00 9,500,000.00 1,607,000.00 1,312,000.00 25,000,000.00 104,000,000.00 11,730,000.00 8,000,000.00 6,900,000.00 16 United States Department of the Treasury Office of Financial Stability Report of Administrative Obligations and Expenditures For Period Ending September 30, 2014 PERSONNEL SERVICES NON-PERSONNEL SERVICES Budget Object Class (BOC) Budget Object Class Title Obligations 1100, 1200 & 1300 PERSONNEL COMPENSATION & BENEFITS $ 134,361,417 PERSONNEL SERVICES Total: $ 134,361,417 2100 TRAVEL & TRANSPORTATION OF PERSONS $ 2,519,071 2200 TRANSPORTATION OF THINGS 11,960 2300 RENTS, COMMUNICATIONS, UTILITIES & MISC CHARGES 715,716 2400 PRINTING & REPRODUCTION 459 2500 OTHER SERVICES 280,048,256 2600 SUPPLIES AND MATERIALS 2,105,886 3100 3200 4200 4300 EQUIPMENT LAND & STRUCTURES INSURANCE CLAIMS & INDEMNITIES INTEREST & DIVIDENDS NON-PERSONNEL SERVICES Total: $ GRAND TOTAL: $ 246,603 634 285,648,586 420,010,003 Expenditures $ 134,361,417 $ 134,361,417 $ 2,511,120 11,960 715,716 459 241,815,852 1,881,701 $ $ For Period Ending October 31, 2014 Projected Obligations $ 135,469,000 $ 135,469,000 $ 2,534,000 12,000 717,000 500 290,724,000 2,185,000 246,603 $ 634 247,184,045 $ 381,545,462 $ 247,000 640 296,420,140 431,889,140 Projected Expenditures $ 135,469,000 $ 135,469,000 $ 2,527,000 12,000 717,000 500 244,628,000 1,887,000 $ $ 247,000 640 250,019,140 385,488,140 Note: The amounts presented above are cumulative from the initiation of the TARP. 17 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Agreements Under TARP [Section 105(a)(3)(A)] For Period September 2014 Date Approved 10/10/2008 10/11/2008 10/14/2008 10/16/2008 10/17/2008 10/18/2008 10/29/2008 10/29/2008 10/31/2008 11/07/2008 11/09/2008 11/17/2008 11/25/2008 12/03/2008 12/05/2008 12/10/2008 12/10/2008 12/15/2008 12/16/2008 12/22/2008 12/24/2008 01/06/2009 01/07/2009 01/27/2009 01/27/2009 01/30/2009 02/02/2009 02/03/2009 02/09/2009 02/12/2009 02/18/2009 02/18/2009 02/20/2009 02/20/2009 02/20/2009 02/20/2009 Type of Transaction Contract Contract Financial Agent Contract Contract Contract Contract Contract Contract Contract Interagency Agreement Interagency Agreement Interagency Agreement Interagency Agreement Contract Contract Contract Interagency Agreement Interagency Agreement Interagency Agreement Contract Interagency Agreement Contract Contract Contract Interagency Agreement Interagency Agreement Interagency Agreement Contract Contract Financial Agent Financial Agent Interagency Agreement Contract Contract Interagency Agreement Vendor Simpson Thacher & Bartlett LLP Ennis Knupp & Associates Inc. The Bank of New York Mellon PricewaterhouseCoopers LLP Turner Consulting Group, Inc. Ernst & Young LLP Hughes Hubbard & Reed LLP Squire, Sanders & Dempsey LLP Lindholm & Associates, Inc. Sonnenschein Nath & Rosenthal LLP Internal Revenue Service (IRS) Internal Revenue Service (IRS) Department of the Treasury ‐ Departmental Offices Trade and Tax Bureau ‐ Treasury Washington Post Thacher Proffitt & Wood LLP Sonnenschein Nath & Rosenthal LLP Office of Thrift Supervision Department of Housing and Urban Development Office of Thrift Supervision Cushman And Wakefield Of VA Inc. U.S. Securities and Exchange Commission Colonial Parking Inc. Whitaker Brothers Business Machines Inc Cadwalader Wickersham & Taft LLP Office of the Comptroller of the Currency Government Accountability Office Internal Revenue Service (IRS) Pat Taylor and Associates, Inc. Locke Lord Bissell & Liddell LLP Fannie Mae Freddie Mac FINANCIAL CLERK U.S. SENATE Venable LLP Simpson Thacher & Bartlett LLP Office of Thrift Supervision Purpose Legal Advisory Investment and Advisory Services Custodian and Cash Management Accounting/Internal Controls Archiving Services Accounting/Internal Controls Legal Advisory Legal Advisory Human Resources Services Legal Advisory Administrative Support Information Technology Administrative Support Information Technology Administrative Support Legal Advisory Legal Advisory Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Facilities Support Legal Advisory Administrative Support Compliance Administrative Support Administrative Support Legal Advisory Homeownership Program Homeownership Program Financial Advisory Legal Advisory Legal Advisory Administrative Support Socio‐Economic Category Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Woman‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business Other Than Small Business Woman‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business 18 Date Approved 02/26/2009 02/27/2009 03/06/2009 03/16/2009 03/30/2009 03/30/2009 03/30/2009 03/30/2009 03/30/2009 03/31/2009 04/03/2009 04/03/2009 04/17/2009 04/17/2009 04/21/2009 04/21/2009 04/21/2009 04/30/2009 05/05/2009 05/13/2009 05/20/2009 05/22/2009 05/26/2009 05/26/2009 06/09/2009 06/29/2009 07/17/2009 07/30/2009 07/30/2009 07/30/2009 08/10/2009 08/10/2009 08/18/2009 08/25/2009 09/02/2009 09/10/2009 09/11/2009 09/18/2009 09/30/2009 09/30/2009 09/30/2009 09/30/2009 11/09/2009 12/16/2009 12/22/2009 Type of Transaction Interagency Agreement Interagency Agreement Contract Financial Agent Contract Contract Contract Contract Contract Contract Contract Contract Interagency Agreement Contract Financial Agent Financial Agent Financial Agent Interagency Agreement Interagency Agreement Interagency Agreement Interagency Agreement Interagency Agreement Contract Contract Interagency Agreement Interagency Agreement Contract Contract Contract Contract Interagency Agreement Interagency Agreement Contract Interagency Agreement Contract Contract Contract Interagency Agreement Contract Contract Contract Contract Interagency Agreement Interagency Agreement Contract Vendor U.S. Securities and Exchange Commission Pension Benefit Guaranty Corporation The Boston Consulting Group EARNEST Partners Cadwalader Wickersham & Taft LLP Sonnenschein Nath & Rosenthal LLP Bingham McCutchen LLP Haynes and Boone LLP Mckee Nelson LLP FI Consulting Inc. The Boston Consulting Group American Furniture Rentals, Inc. Bureau of Engraving and Printing (BEP) Herman Miller, Inc. Alliance Bernstein L.P. FSI Group, LLC Piedmont Investment Advisors, LLC U.S. Department of State Federal Reserve Board Department of Treasury ‐ US Mint U.S. Securities and Exchange Commission Department of Justice ‐ ATF Anderson Mc Coy & Orta Simpson Thacher & Bartlett LLP Financial Management Service Department of the Interior Korn/Ferry International Debevoise & Plimpton, LLP Cadwalader Wickersham & Taft LLP Fox, Swibel, Levin & Carroll, LLP NASA U.S. Department of Justice The Mercer Group, Inc. U.S. Department of Justice Knowledge Mosaic Inc. Equilar, Inc. PricewaterhouseCoopers LLP Bureau of Public Debt (BPD) Immixtechnology, Inc. Immixtechnology, Inc. Nna Incorporated SNL Financial LC Department of the Treasury ‐ Departmental Offices Internal Revenue Service (IRS) Hughes Hubbard & Reed LLP Purpose Administrative Support Legal Advisory Financial Advisory Small Business Assistance Program Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Accounting/Internal Controls Financial Advisory Administrative Support Administrative Support Facilities Support Asset Management Services Asset Management Services Asset Management Services Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Legal Advisory Legal Advisory Information Technology Administrative Support Administrative Support Legal Advisory Legal Advisory Legal Advisory Detailee(s) Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Accounting/Internal Controls Administrative Support Information Technology Information Technology Administrative Support Financial Advisory Administrative Support Administrative Support Legal Advisory Socio‐Economic Category Other Than Small Business Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business Other Than Small Business Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Small Business Woman‐Owned Small Business, Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business Other Than Small Business Other Than Small Business 19 Date Approved 12/22/2009 12/22/2009 12/22/2009 12/22/2009 12/22/2009 12/22/2009 01/14/2010 01/15/2010 02/16/2010 02/16/2010 02/18/2010 03/08/2010 03/12/2010 03/22/2010 03/26/2010 03/29/2010 04/02/2010 04/08/2010 04/12/2010 04/22/2010 04/22/2010 04/23/2010 05/04/2010 05/17/2010 06/24/2010 06/30/2010 07/21/2010 07/21/2010 07/22/2010 07/22/2010 07/22/2010 07/27/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 08/06/2010 Type of Transaction Financial Agent Financial Agent Financial Agent Financial Agent Financial Agent Financial Agent Interagency Agreement Contract Interagency Agreement Contract Interagency Agreement Contract Interagency Agreement Interagency Agreement Interagency Agreement Financial Agent Interagency Agreement Contract Contract Contract Contract Contract Interagency Agreement Financial Agent Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Contract Vendor Avondale Investments, LLC Bell Rock Capital, LLC Howe Barnes Hoefer & Arnett, Inc. KBW Asset Management, Inc. Lombardia Capital Partners, LLC Paradigm Asset Management Co., LLC Government Accountability Office Association of Govt Accountants Internal Revenue Service (IRS) The MITRE Corporation Bureau of Public Debt (BPD) QualX Corporation Department of the Treasury ‐ Departmental Offices Financial Management Service Federal Maritime Commission Morgan Stanley & Co. Incorporated FINANCIAL CLERK U.S. SENATE Squire, Sanders & Dempsey LLP Hewitt EnnisKnupp, Inc. MicroLink, LLC Digital Management Inc. RDA Corporation Internal Revenue Service (IRS) Lazard Fréres & Co. LLC Reed Elsevier PLC (dba LexisNexis) The George Washington University Navigant Consulting, Inc. Regis & Associates, PC Schiff Hardin LLP Ernst & Young LLP PricewaterhouseCoopers LLP West Publishing Corporation Sullivan Cove Reign Enterprises Jv Perkins Coie LLP Orrick, Herrington & Sutcliffe LLP. Haynes and Boone LLP Love and Long, LLP Venable LLP Fox, Swibel, Levin & Carroll, LLP Shulman, Rogers, Gandal, Pordy & Ecker, PA Hughes Hubbard & Reed LLP Alston & Bird LLP Seyfarth Shaw LLP Paul, Weiss, Rifkind, Wharton & Garrison LLP Cadwalader Wickersham & Taft LLP Purpose Asset Management Services Asset Management Services Asset Management Services Asset Management Services Asset Management Services Asset Management Services Compliance Administrative Support Administrative Support Information Technology Administrative Support Administrative Support Administrative Support Information Technology Administrative Support Disposition Agent Services Financial Advisory Legal Advisory Investment and Advisory Services Administrative Support Information Technology Information Technology Administrative Support Transaction Structuring Services Administrative Support Administrative Support Compliance Compliance Legal Advisory Compliance Compliance Administrative Support Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Legal Advisory Socio‐Economic Category Small Disadvantaged Business, Small Business Woman‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Small Business Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Service‐Disabled Veteran‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Woman‐Owned Small Business, Small Disadvantaged Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business 20 Date Approved Type of Transaction 08/12/2010 08/30/2010 09/01/2010 09/17/2010 09/27/2010 09/30/2010 10/01/2010 10/01/2010 10/08/2010 10/08/2010 10/08/2010 10/08/2010 10/08/2010 10/08/2010 10/08/2010 10/08/2010 10/14/2010 10/26/2010 11/18/2010 12/29/2010 01/05/2011 01/18/2011 01/24/2011 01/26/2011 02/24/2011 02/28/2011 03/03/2011 03/10/2011 03/22/2011 04/20/2011 04/26/2011 04/27/2011 04/27/2011 04/27/2011 04/27/2011 04/27/2011 04/27/2011 Contract Interagency Agreement Contract Contract Contract Contract Interagency Agreement Interagency Agreement Contract Contract Contract Contract Contract Contract Contract Contract Contract Interagency Agreement Financial Agent Contract Contract Financial Agent Interagency Agreement Contract Contract Interagency Agreement Contract Contract Contract Interagency Agreement Contract Contract Contract Contract Contract Contract Contract 04/28/2011 04/28/2011 04/28/2011 05/31/2011 05/31/2011 06/02/2011 06/09/2011 Interagency Agreement Contract Contract Contract Contract Contract Contract Vendor Knowledge Mosaic Inc. Department of Housing and Urban Development CQ‐Roll Call Inc. Bingham McCutchen LLP Davis Audrey Robinette CCH Incorporated FINANCIAL CLERK U.S. SENATE Department of the Treasury ‐ Departmental Offices Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Management Concepts, Inc. Hispanic Assoc Of Coll & Univ Government Accountability Office Greenhill & Co., LLC Reed Elsevier PLC (dba LexisNexis) Canon U.S.A. Inc. Perella Weinberg Partners & Co. Bureau of Public Debt (BPD) Association of Govt Accountants ESI International Inc. Department of the Treasury ‐ Departmental Offices Equilar, Inc. The Mercer Group, Inc. Harrison Scott Publications, Inc. Federal Reserve Bank of New York PricewaterhouseCoopers LLP MorganFranklin Consulting, LLC Oculus Group LLC Ernst & Young LLP FI Consulting Inc. Lani Eko & Company, CPAs, LLC ASR Analytics LLC Office of Personnel Management (OPM) ‐ Western Management Development Center KPMG LLP Booz Allen Hamilton Inc. West Publishing Corporation Reed Elsevier PLC (dba LexisNexis) ESI International Inc. CQ‐Roll Call Inc. Purpose Administrative Support Administrative Support Administrative Support Legal Advisory Administrative Support Administrative Support Financial Advisory Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Compliance Structuring and Disposition Services Administrative Support Administrative Support Structuring and Disposition Services Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Financial Advisory Financial Advisory Financial Advisory Financial Advisory Financial Advisory Financial Advisory Financial Advisory Financial Advisory Administrative Support Financial Advisory Financial Advisory Administrative Support Administrative Support Administrative Support Administrative Support Socio‐Economic Category Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Woman‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Small Business Other Than Small Business Small Business Other Than Small Business Other Than Small Business Small Disadvantaged Business, Woman‐Owned Small Business, Small Business Other Than Small Business Small Business Small Disadvantaged Business, Small Business Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business 21 Date Approved Type of Transaction 07/28/2011 09/09/2011 09/12/2011 09/15/2011 09/29/2011 09/29/2011 10/04/2011 10/20/2011 11/18/2011 11/29/2011 12/20/2011 12/30/2011 12/30/2011 01/04/2012 Interagency Agreement Interagency Agreement Contract Contract Interagency Agreement Contract Interagency Agreement Contract Contract Financial Agent Contract Interagency Agreement Interagency Agreement Interagency Agreement 01/05/2012 02/02/2012 02/07/2012 02/14/2012 02/27/2012 03/06/2012 03/14/2012 03/30/2012 Vendor Purpose Administrative Support Intern Compliance Administrative Support Administrative Support Administrative Support Detailee Administrative Support Administrative Support Transaction Structuring Services Professional/Management Training Administrative Support Administrative Support Compliance Interagency Agreement Contract Financial Agent Contract Contract Contract Interagency Agreement Contract Internal Revenue Service (IRS) Financial Management Service ADC LTD NM All Business Machines, Inc. Department of the Interior Knowledge Mosaic Inc. Internal Revenue Service (IRS) All Business Machines, Inc. QualX Corporation Houlihan Lokey, Inc. The Allison Group, LLC Department of the Treasury ‐ ARC Department of the Treasury ‐ Departmental Offices Government Accountability Office Office of Personnel Management (OPM) ‐ Western Management Development Center Moody's Analytics, Inc. Greenhill & Co., LLC Association of Govt Accountants Diversified Search LLC Integrated Federal Solutions, Inc. Department of the Interior E‐Launch Multimedia, Inc. 03/30/2012 05/10/2012 06/12/2012 06/15/2012 07/26/2012 08/01/2012 08/03/2012 09/19/2012 09/28/2012 11/19/2012 12/13/2012 12/19/2012 01/01/2013 01/01/2013 02/13/2013 02/21/2013 Interagency Agreement Contract Interagency Agreement Contract Contract Interagency Agreement Contract Interagency Agreement Contract Interagency Agreement Contract Interagency Agreement Financial Agent Financial Agent Contract Financial Agent Department of the Treasury ‐ Departmental Offices ‐ WCF Equilar, Inc. U.S. Department of Justice QualX Corporation Knowledge Mosaic Inc. Internal Revenue Service (IRS) Harrison Scott Publications, Inc. Bureau of Public Debt (BPD) SNL Financial LC Government Accountability Office Association of Govt Accountants Department of the Treasury ‐ Departmental Offices Lazard Fréres & Co. LLC Lazard Fréres & Co. LLC The Mercer Group, Inc. Raymond James and Associates, Inc. Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Information Technology Compliance Administrative Support Administrative Support Transaction Structuring Services Transaction Structuring Services Administrative Support Asset Management Services 03/04/2013 03/07/2013 03/26/2013 03/27/2013 05/01/2013 Interagency Agreement Interagency Agreement Contract Interagency Agreement Interagency Agreement Department of the Treasury ‐ Departmental Offices ‐ WCF Department of Housing and Urban Development Bloomberg Finance L.P. IRS ‐ Treasury Acquisition Institute Internal Revenue Service (IRS) Administrative Support Administrative Support Subscription Administrative Support Administrative Support Administrative Support Administrative Support Structuring and Disposition Services Administrative Support Financial Advisory Administrative Support Administrative Support Administrative Support Socio‐Economic Category Small Disadvantaged Business, HUBZone Small Business, Small Business Service‐Disabled Veteran‐Owned Small Business, HUBZone Small Business, Small Business Small Business Service‐Disabled Veteran‐Owned Small Business, HUBZone Small Business, Small Business Service‐Disabled Veteran‐Owned Small Business, Small Business Other Than Small Business Woman‐Owned Small Business, Small Business Other Than Small Business Other Than Small Business Other Than Small Business Woman‐Owned Small Business, Small Business Small Disadvantaged Business, Small Business Small Disadvantaged Business, Service‐Disabled Veteran‐Owned Small Business, Small Business Small Disadvantaged Business, Small Business Service‐Disabled Veteran‐Owned Small Business, Small Business Small Business Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business 22 Date Approved Type of Transaction Vendor Purpose 05/10/2013 06/13/2013 08/01/2013 08/20/2013 09/25/2013 09/27/2013 11/22/2013 11/22/2013 Contract Contract Contract Contract Interagency Agreement Contract Interagency Agreement Interagency Agreement Equilar, Inc. West Publishing Corporation Evolution Management, Inc. Knowledge Mosaic Inc. Government Accountability Office SNL Financial LC Internal Revenue Service (IRS) Department of the Treasury ‐ Departmental Offices Administrative Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support Administrative Support 11/27/2013 12/12/2013 12/18/2013 03/05/2014 03/12/2014 03/24/2014 04/14/2014 06/13/2014 Interagency Agreement Contract Interagency Agreement Interagency Agreement Interagency Agreement Contract Contract Contract Department of the Treasury ‐ Departmental Offices ‐ WCF Association of Govt Accountants U.S. Department of Justice U.S. Department of Justice Department of the Treasury ‐ Departmental Offices The Mercer Group, Inc. Bloomberg Finance L.P. The Winvale Group, LLC Administrative Support Administrative Support Administrative Support Administrative Support Information Technology Compliance Administrative Support Administrative Support Socio‐Economic Category Small Disadvantaged Business, Small Business Other Than Small Business Small Disadvantaged Business, Woman‐Owned Small Business, Small Business Small Business Other Than Small Business Other Than Small Business Other Than Small Business Other Than Small Business Small Business ∙Contract responsibilities for Thatcher Proffitt & Wood assumed by Sonnenschein Nath & Rosenthal via novation. ∙Contract responsibilities for McKee Nelson LLP assumed by Bingham McCutchen, LLP via novation. ∙Management Concepts contracts for various training are now being reported separately rather than combined single line item. ∙Financial Agent responsibilities assumed by Raymond James and Associates, Inc. via novation 23 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Insurance Contracts [Section 105(a)(3)(B)] For Period Ending September 30, 2014 Name Amount Termination of the $5,000,000,000 Master Agreement between Citigroup and the UST, and FDIC occurred on December 23, 2009 due to the improvement of Citigroup's financial condition and financial market stability. 24 This copy of the Transactions Report is subject to the terms and conditions of download as stated at http://www.treasury.gov/initiatives/financial-stability/reports/Pages/default.aspx. *Investment Status Definition Key Full investment outstanding : Treasury's full investment is still outstanding Redeemed – institution has repaid Treasury’s investment Sold – by auction, an offering, or through a restructuring Troubled Asset Relief Program Exited bankruptcy/receivership - Treasury has no outstanding investment Transactions Report - Investment Programs Currently not collectible - investment is currently not collectible; therefore there is no outstanding investment and a corresponding (Realized Loss) / (Write-off) For Period Ending September 30, 2014 In full – all of Treasury’s investment amount In part – part of the investment is no longer held by Treasury, but some remains CAPITAL PURCHASE PROGRAM Warrants outstanding – Treasury’s warrant to purchase additional stock is still outstanding, including any exercised warrants Warrants not outstanding – Treasury has disposed of its warrant to purchase additional stock through various means as described in the Warrant Report (such as sale back to company and auctions) or Treasury did not receive a warrant to purchase additional stock FootNote 11 8,14,18,44 102 11 11,8,14 44,8,14 8,14 104 11 15,14 8 8,14 45,8,14 44,8,14 11 11,8,14 11,8,14 45 15,14 94 11,90 11 8,17 Institution Name 1ST CONSTITUTION BANCORP 1ST CONSTITUTION BANCORP 1ST CONSTITUTION BANCORP 1ST ENTERPRISE BANK 1ST ENTERPRISE BANK 1ST ENTERPRISE BANK 1ST FINANCIAL SERVICES CORPORATION 1ST FINANCIAL SERVICES CORPORATION 1ST SOURCE CORPORATION 1ST SOURCE CORPORATION 1ST SOURCE CORPORATION 1ST UNITED BANCORP, INC. 1ST UNITED BANCORP, INC. AB&T FINANCIAL CORPORATION AB&T FINANCIAL CORPORATION AB&T FINANCIAL CORPORATION AB&T FINANCIAL CORPORATION AB&T FINANCIAL CORPORATION ADBANC, INC. ADBANC, INC. ALARION FINANCIAL SERVICES, INC. ALARION FINANCIAL SERVICES, INC. ALARION FINANCIAL SERVICES, INC. ALARION FINANCIAL SERVICES, INC. ALASKA PACIFIC BANCSHARES, INC. ALASKA PACIFIC BANCSHARES, INC. ALASKA PACIFIC BANCSHARES, INC. ALASKA PACIFIC BANCSHARES, INC. ALASKA PACIFIC BANCSHARES, INC. ALASKA PACIFIC BANCSHARES, INC. ALLIANCE BANCSHARES, INC. ALLIANCE BANCSHARES, INC. ALLIANCE BANCSHARES, INC. ALLIANCE BANCSHARES, INC. ALLIANCE FINANCIAL CORPORATION ALLIANCE FINANCIAL CORPORATION ALLIANCE FINANCIAL CORPORATION ALLIANCE FINANCIAL SERVICES, INC. ALLIANCE FINANCIAL SERVICES, INC. ALLIANCE FINANCIAL SERVICES, INC. ALLIANCE FINANCIAL SERVICES, INC. ALLIED FIRST BANCORP, INC. ALPINE BANKS OF COLORADO ALPINE BANKS OF COLORADO ALPINE BANKS OF COLORADO ALPINE BANKS OF COLORADO ALPINE BANKS OF COLORADO AMB FINANCIAL CORPORATION AMB FINANCIAL CORPORATION AMERIBANK HOLDING COMPANY, INC. / AMERICAN BANK OF OKLAHOMA AMERIBANK HOLDING COMPANY, INC. / AMERICAN BANK OF OKLAHOMA AMERICAN EXPRESS COMPANY AMERICAN EXPRESS COMPANY AMERICAN EXPRESS COMPANY AMERICAN PREMIER BANCORP AMERICAN PREMIER BANCORP AMERICAN STATE BANCSHARES, INC. AMERICAN STATE BANCSHARES, INC. AMERIS BANCORP AMERIS BANCORP AMERIS BANCORP AMERISERV FINANCIAL, INC. AMERISERV FINANCIAL, INC. AMERISERV FINANCIAL, INC. AMFIRST FINANCIAL SERVICES, INC AMFIRST FINANCIAL SERVICES, INC AMFIRST FINANCIAL SERVICES, INC AMFIRST FINANCIAL SERVICES, INC AMFIRST FINANCIAL SERVICES, INC ANCHOR BANCORP WISCONSIN, INC. ANCHOR BANCORP WISCONSIN, INC. ANNAPOLIS BANCORP, INC. / F.N.B. CORPORATION ANNAPOLIS BANCORP, INC. / F.N.B. CORPORATION ANNAPOLIS BANCORP, INC. / F.N.B. CORPORATION ASSOCIATED BANC‐CORP ASSOCIATED BANC‐CORP ASSOCIATED BANC‐CORP ASSOCIATED BANC‐CORP ATLANTIC BANCSHARES, INC. City CRANBURY CRANBURY CRANBURY LOS ANGELES LOS ANGELES LOS ANGELES HENDERSONVILLE HENDERSONVILLE SOUTH BEND SOUTH BEND SOUTH BEND BOCA RATON BOCA RATON GASTONIA GASTONIA GASTONIA GASTONIA GASTONIA OGALLALA OGALLALA OCALA OCALA OCALA OCALA JUNEAU JUNEAU JUNEAU JUNEAU JUNEAU JUNEAU DALTON DALTON DALTON DALTON SYRACUSE SYRACUSE SYRACUSE SAINT PAUL SAINT PAUL SAINT PAUL SAINT PAUL OSWEGO GLENWOOD SPRINGS GLENWOOD SPRINGS GLENWOOD SPRINGS GLENWOOD SPRINGS GLENWOOD SPRINGS MUNSTER MUNSTER COLLINSVILLE COLLINSVILLE NEW YORK NEW YORK NEW YORK ARCADIA ARCADIA GREAT BEND GREAT BEND MOULTRIE MOULTRIE MOULTRIE JOHNSTOWN JOHNSTOWN JOHNSTOWN MCCOOK MCCOOK MCCOOK MCCOOK MCCOOK MADISON MADISON ANNAPOLIS ANNAPOLIS ANNAPOLIS GREEN BAY GREEN BAY GREEN BAY GREEN BAY BLUFFTON State NJ NJ NJ CA CA CA NC NC IN IN IN FL FL NC NC NC NC NC NE NE FL FL FL FL AK AK AK AK AK AK GA GA GA GA NY NY NY MN MN MN MN IL CO CO CO CO CO IN IN OK OK NY NY NY CA CA KS KS GA GA GA PA PA PA NE NE NE NE NE WI WI MD MD MD WI WI WI WI SC Date 23‐Dec‐08 27‐Oct‐10 22‐Nov‐11 13‐Feb‐09 11‐Dec‐09 1‐Sep‐11 14‐Nov‐08 31‐Dec‐13 23‐Jan‐09 29‐Dec‐10 9‐Mar‐11 13‐Mar‐09 18‐Nov‐09 23‐Jan‐09 19‐Nov‐13 6‐Jan‐14 10‐Feb‐14 19‐Mar‐14 30‐Jan‐09 21‐Jul‐11 23‐Jan‐09 19‐Jul‐13 22‐Jul‐13 12‐Sep‐13 6‐Feb‐09 28‐Nov‐12 29‐Nov‐12 11‐Jan‐13 26‐Mar‐13 1‐Apr‐14 26‐Jun‐09 27‐Mar‐13 28‐Mar‐13 9‐Apr‐13 19‐Dec‐08 13‐May‐09 17‐Jun‐09 26‐Jun‐09 6‐Feb‐13 7‐Feb‐13 26‐Mar‐13 24‐Apr‐09 27‐Mar‐09 18‐Sep‐12 19‐Sep‐12 20‐Sep‐12 16‐Nov‐12 30‐Jan‐09 22‐Sep‐11 6‐Mar‐09 15‐Sep‐11 9‐Jan‐09 17‐Jun‐09 29‐Jul‐09 29‐May‐09 26‐Jan‐11 9‐Jan‐09 2‐Nov‐11 21‐Nov‐08 19‐Jun‐12 22‐Aug‐12 19‐Dec‐08 11‐Aug‐11 2‐Nov‐11 21‐Aug‐09 26‐Mar‐13 27‐Mar‐13 28‐Mar‐13 9‐Apr‐13 30‐Jan‐09 27‐Sep‐13 30‐Jan‐09 18‐Apr‐12 6‐Mar‐13 21‐Nov‐08 6‐Apr‐11 14‐Sep‐11 6‐Dec‐11 29‐Dec‐09 Original Investment Type 1 Preferred Stock w/ Warrants Original Investment Amount $12,000,000.00 Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $0.00 $13,433,242.67 (Fee) 4 $4,400,000.00 $6,000,000.00 $0.00 Preferred Stock w/ Warrants $16,369,000.00 $0.00 $9,229,948.97 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $111,000,000.00 $0.00 $125,480,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $10,870,902.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $3,500,000.00 $0.00 $11,748,156.44 $1,274,909.59 Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares Redeemed, in full; warrants not outstanding $12,000,000.00 Preferred Stock w/ Warrants Shares 12,000 $1,000.00 $326,576.00 231,782 $220,000.00 220 $3,750,000.00 837,947 $500,000.00 500 $636,000.00 636 $337,363.35 326 $2,370,908.26 175,772 $94,153.69 $44,746.31 101 48 Redeemed, in full; warrants not outstanding $10,400,000.00 10,400 $1,000.00 $8,000,000.00 16,369 $488.70 $111,000,000.00 111,000 $1,000.00 $10,000,000.00 10,000 $1,000.00 $815,100.00 2,964 $275.00 ($2,148,900.00) 536 $281.00 ($385,378.64) $12,720,000.00 12,720 $1,000.00 $877,729.70 $5,524,880.90 893 5,621 $982.90 $982.90 ($15,270.30) ($96,119.10) 234 4,547 $892.60 $892.60 ($25,129.26) ($488,302.33) ($8,369,000.00) Sold, in full; warrants outstanding ($50,000.00) $150,621.36 ($1,506.21) Preferred Stock w/ Exercised Warrants $12,720,000.00 $0.00 $15,071,769.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,514,000.00 $0.00 $7,674,004.73 Sold, in full; warrants not outstanding ($64,026.11) Preferred Stock w/ Warrants $4,781,000.00 $0.00 $7,501,881.70 Sold, in full; warrants not outstanding $208,870.74 $4,058,697.67 ($42,675.67) ($7,324.33) Preferred Stock w/ Exercised Warrants $2,986,000.00 $0.00 $3,581,397.27 Sold, in full; warrants not outstanding $2,856,437.46 2,986 $956.60 ($129,562.54) $26,918,000.00 26,918 $1,000.00 $900,000.00 173,069 $3,375,945.00 $5,626,575.00 4,500,000 7,500,000 $0.75 $0.75 ($1,124,055.00) ($1,873,425.00) $504,900.00 600,000 344 8,056 61,600 $814.30 $814.30 $814.30 ($63,884.24) ($1,496,079.76) ($11,439,736.00) $3,291,750.00 3,500 ($25,000.00) Preferred Stock w/ Warrants $26,918,000.00 $0.00 $28,356,360.00 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $12,000,000.00 $0.00 $9,806,136.60 Sold, in full; warrants not outstanding ($90,025.20) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $3,652,000.00 $70,000,000.00 $3,652,000.00 $0.00 $409,753.00 $73,129,160.69 Full investment outstanding; warrants outstanding Sold, in full; warrants not outstanding $280,115.76 $6,559,920.24 $50,160,264.00 ($570,003.00) Preferred Stock w/ Exercised Warrants $3,674,000.00 $0.00 Preferred Stock w/ Exercised Warrants $2,492,000.00 Preferred Stock w/ Warrants $3,388,890,000.00 Preferred Stock w/ Exercised Warrants $1,800,000.00 Preferred Stock w/ Exercised Warrants $6,000,000.00 $4,387,576.45 Redeemed, in full; warrants not outstanding $0.00 $2,960,021.33 Redeemed, in full; warrants not outstanding $0.00 $3,803,257,308.33 Redeemed, in full; warrants not outstanding $0.00 $2,052,682.49 Redeemed, in full; warrants not outstanding $0.00 $7,220,141.67 $3,674,000.00 3,674 $1,000.00 $184,000.00 184 $2,492,000.00 2,492 $1,000.00 $125,000.00 125 $3,388,890,000.00 3,388,890 $1,000.00 $340,000,000.00 24,264,129 $1,800,000.00 1,800 $1,000.00 $90,000.00 90 $6,000,000.00 6,000 $1,000.00 $300,000.00 300 52,000 $930.60 $2,670,000.00 698,554 $21,000,000.00 21,000 $1,000.00 $825,000.00 1,312,500 $359,040.00 $2,112,000.00 $2,328,960.00 374,000 2,200,000 2,426,000 $0.96 $0.96 $0.96 ($14,960.00) ($88,000.00) ($97,040.00) $259,875.00 250,000 ($104,000,000.00) $3,435,005.65 3,983,308 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $52,000,000.00 $0.00 $59,637,438.67 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $21,000,000.00 $0.00 $24,601,666.66 Redeemed, in full; warrants not outstanding $48,391,200.00 Subordinated Debentures w/ Exercised Warrants $5,000,000.00 $0.00 $6,523,255.00 ($725,868.00) ($3,608,800.00) Sold, in full; warrants not outstanding ($48,000.00) Preferred Stock w/ Warrants $110,000,000.00 $0.00 $6,000,000.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $8,152,000.00 $0.00 $9,643,136.33 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $525,000,000.00 $2,000,000.00 $0.00 $0.00 $596,539,172.32 $2,503,554.78 $6,000,000.00 60,000,000 $0.10 $4,076,000.00 $4,076,000.00 4,076 4,076 $1,000.00 $1,000.00 $262,500,000.00 $262,500,000.00 262,500 262,500 $1,000.00 $1,000.00 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding 25 FootNote 44,8,14 11 8,44 8,17,44 11 11,8,14 8,14 83 8,14 6,7,11 8,14 44 8 11 11 105 11 8,106 44,8,14 8,14 44,8,14 12,16 11 8,112 11 11,8,14 11,14,8 11 44,8,14 8,14,18,44 15,17 8,14 Institution Name ATLANTIC BANCSHARES, INC. ATLANTIC BANCSHARES, INC. ATLANTIC BANCSHARES, INC. AVENUE FINANCIAL HOLDINGS AVENUE FINANCIAL HOLDINGS AVIDBANK HOLDING, INC. / PENINSULA BANK HOLDING CO. AVIDBANK HOLDING, INC. / PENINSULA BANK HOLDING CO. AVIDBANK HOLDING, INC. / PENINSULA BANK HOLDING CO. BANCINDEPENDENT, INCORPORATED BANCINDEPENDENT, INCORPORATED BANCORP FINANCIAL, INC. BANCORP FINANCIAL, INC. BANCORP RHODE ISLAND, INC. BANCORP RHODE ISLAND, INC. BANCORP RHODE ISLAND, INC. BANCPLUS CORPORATION BANCPLUS CORPORATION BANCSTAR, INC. BANCSTAR, INC. BANCSTAR, INC. BANCSTAR, INC. BANCTRUST FINANCIAL GROUP, INC. BANCTRUST FINANCIAL GROUP, INC. BANK FINANCIAL SERVICES, INC. BANK FINANCIAL SERVICES, INC. BANK FINANCIAL SERVICES, INC. BANK FINANCIAL SERVICES, INC. BANK FINANCIAL SERVICES, INC. BANK OF AMERICA BANK OF AMERICA BANK OF AMERICA BANK OF AMERICA BANK OF COMMERCE BANK OF COMMERCE BANK OF COMMERCE BANK OF COMMERCE HOLDINGS BANK OF COMMERCE HOLDINGS BANK OF COMMERCE HOLDINGS BANK OF GEORGE BANK OF GEORGE BANK OF GEORGE BANK OF MARIN BANCORP BANK OF MARIN BANCORP BANK OF MARIN BANCORP BANK OF NEW YORK MELLON BANK OF NEW YORK MELLON BANK OF NEW YORK MELLON BANK OF THE CAROLINAS CORPORATION BANK OF THE CAROLINAS CORPORATION BANK OF THE OZARKS, INC. BANK OF THE OZARKS, INC. BANK OF THE OZARKS, INC. BANKERS' BANK OF THE WEST BANCORP, INC. BANKERS' BANK OF THE WEST BANCORP, INC. BANKFIRST CAPITAL CORPORATION BANKFIRST CAPITAL CORPORATION BANKGREENVILLE FINANCIAL CORPORATION BANKGREENVILLE FINANCIAL CORPORATION BANKGREENVILLE FINANCIAL CORPORATION BANKGREENVILLE FINANCIAL CORPORATION BANNER CORPORATION/BANNER BANK BANNER CORPORATION/BANNER BANK BANNER CORPORATION/BANNER BANK BANNER COUNTY BAN CORPORATION BANNER COUNTY BAN CORPORATION BAR HARBOR BANKSHARES BAR HARBOR BANKSHARES BAR HARBOR BANKSHARES BB&T CORP. BB&T CORP. BB&T CORP. BCB HOLDING COMPANY, INC. BCB HOLDING COMPANY, INC. BCSB BANCORP, INC. BCSB BANCORP, INC. BCSB BANCORP, INC. BEACH BUSINESS BANK BEACH BUSINESS BANK BEACH BUSINESS BANK BEACH BUSINESS BANK BEACH BUSINESS BANK BEACH BUSINESS BANK BERKSHIRE BANCORP, INC. / CUSTOMERS BANCORP, INC. BERKSHIRE BANCORP, INC. / CUSTOMERS BANCORP, INC. BERKSHIRE BANCORP, INC. / CUSTOMERS BANCORP, INC. BERKSHIRE HILLS BANCORP, INC. BERKSHIRE HILLS BANCORP, INC. BERKSHIRE HILLS BANCORP, INC. BERN BANCSHARES, INC. BERN BANCSHARES, INC. BIRMINGHAM BLOOMFIELD BANCSHARES, INC. BIRMINGHAM BLOOMFIELD BANCSHARES, INC. BIRMINGHAM BLOOMFIELD BANCSHARES, INC. BISCAYNE BANCSHARES, INC. BISCAYNE BANCSHARES, INC. BISCAYNE BANCSHARES, INC. BISCAYNE BANCSHARES, INC. BLACKHAWK BANCORP, INC. BLACKHAWK BANCORP, INC. City BLUFFTON BLUFFTON BLUFFTON NASHVILLE NASHVILLE PALO ALTO PALO ALTO PALO ALTO SHEFFIELD SHEFFIELD OAK BROOK OAK BROOK PROVIDENCE PROVIDENCE PROVIDENCE RIDGELAND RIDGELAND FESTUS FESTUS FESTUS FESTUS MOBILE MOBILE EDEN PRAIRIE EDEN PRAIRIE EDEN PRAIRIE EDEN PRAIRIE EDEN PRAIRIE CHARLOTTE CHARLOTTE CHARLOTTE CHARLOTTE CHARLOTTE CHARLOTTE CHARLOTTE REDDING REDDING REDDING LAS VEGAS LAS VEGAS LAS VEGAS NOVATO NOVATO NOVATO NEW YORK NEW YORK NEW YORK MOCKSVILLE MOCKSVILLE LITTLE ROCK LITTLE ROCK LITTLE ROCK DENVER DENVER MACON MACON GREENVILLE GREENVILLE GREENVILLE GREENVILLE WALLA WALLA WALLA WALLA WALLA WALLA HARRISBURG HARRISBURG BAR HARBOR BAR HARBOR BAR HARBOR WINSTON‐SALEM WINSTON‐SALEM WINSTON‐SALEM THEODORE THEODORE BALTIMORE BALTIMORE BALTIMORE MANHATTAN BEACH MANHATTAN BEACH MANHATTAN BEACH MANHATTAN BEACH MANHATTAN BEACH MANHATTAN BEACH PHOENIXVILLE PHOENIXVILLE PHOENIXVILLE PITTSFIELD PITTSFIELD PITTSFIELD BERN BERN BIRMINGHAM BIRMINGHAM BIRMINGHAM COCONUT GROVE COCONUT GROVE COCONUT GROVE COCONUT GROVE BELOIT BELOIT State SC SC SC TN TN CA CA CA AL AL IL IL RI RI RI MS MS MO MO MO MO AL AL MN MN MN MN MN NC NC NC NC NC NC NC CA CA CA NV NV NV CA CA CA NY NY NY NC NC AR AR AR CO CO MS MS SC SC SC SC WA WA WA NE NE ME ME ME NC NC NC AL AL MD MD MD CA CA CA CA CA CA PA PA PA MA MA MA KS KS MI MI MI FL FL FL FL WI WI Date 7‐Feb‐14 10‐Feb‐14 19‐Mar‐14 27‐Feb‐09 15‐Sep‐11 30‐Jan‐09 31‐Jul‐13 28‐Aug‐13 13‐Mar‐09 14‐Jul‐11 10‐Jul‐09 18‐Aug‐11 19‐Dec‐08 5‐Aug‐09 30‐Sep‐09 20‐Feb‐09 29‐Sep‐10 3‐Apr‐09 26‐Apr‐13 29‐Apr‐13 31‐May‐13 19‐Dec‐08 15‐Feb‐13 14‐Aug‐09 19‐Dec‐12 20‐Dec‐12 11‐Jan‐13 26‐Mar‐13 28‐Oct‐08 9‐Jan‐09 9‐Dec‐09 9‐Mar‐10 16‐Jan‐09 30‐Nov‐12 11‐Jan‐13 14‐Nov‐08 27‐Sep‐11 26‐Oct‐11 13‐Mar‐09 21‐Oct‐13 6‐Jan‐14 5‐Dec‐08 31‐Mar‐09 23‐Nov‐11 28‐Oct‐08 17‐Jun‐09 5‐Aug‐09 17‐Apr‐09 16‐Jul‐14 12‐Dec‐08 4‐Nov‐09 24‐Nov‐09 30‐Jan‐09 24‐Apr‐14 23‐Jan‐09 8‐Sep‐11 13‐Feb‐09 9‐Nov‐12 11‐Jan‐13 26‐Mar‐13 21‐Nov‐08 3‐Apr‐12 12‐Jun‐13 6‐Feb‐09 28‐Jul‐11 16‐Jan‐09 24‐Feb‐10 28‐Jul‐10 14‐Nov‐08 17‐Jun‐09 22‐Jul‐09 3‐Apr‐09 1‐Jul‐14 23‐Dec‐08 26‐Jan‐11 19‐Apr‐13 30‐Jan‐09 6‐Jul‐11 19‐Oct‐11 7‐Mar‐12 6‐Jun‐12 27‐Jun‐12 12‐Jun‐09 19‐Sep‐11 28‐Dec‐11 19‐Dec‐08 27‐May‐09 24‐Jun‐09 13‐Feb‐09 1‐Sep‐11 24‐Apr‐09 18‐Dec‐09 28‐Jul‐11 19‐Jun‐09 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 13‐Mar‐09 29‐Oct‐12 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $1,950,000.00 $50,000.00 Shares Avg. Price 1,950 50 (Realized Loss) / (Write‐off) $1,150.00 $1,150.00 Gain5 Warrant Proceeds Amount $292,500.00 $7,500.00 Shares $95,031.02 $10,798.98 88 10 $370,000.00 370 ($25,000.00) Preferred Stock w/ Exercised Warrants $7,400,000.00 $0.00 $8,798,415.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $6,000,000.00 $0.00 $7,563,057.15 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $21,100,000.00 $0.00 $24,841,411.03 $7,400,000.00 7,400 $1,000.00 $6,000,000.00 6,000 $1,000.00 $190,781.12 81,670 $21,100,000.00 21,100 $1,000.00 $1,055,000.00 1,055 $13,669,000.00 13,669 $1,000.00 $410,000.00 410 $30,000,000.00 30,000 $1,000.00 $1,400,000.00 192,967 $48,000,000.00 48,000 $1,000.00 $2,400,000.00 2,400 $98,267.00 $8,352,695.00 100 8,500 $982.70 $982.70 ($1,733.00) ($147,305.00) $426,338.55 430 $50,000,000.00 50,000 $1,000.00 $15,000.00 730,994 $451,600.92 $481,335.96 486 518 $929.20 $929.20 ($34,399.08) ($36,664.04) $23,500.00 50 1,000,000 $25,000.00 $305,913,040.28 121,792,790 3,000 $834.00 $100,100.00 150 $17,000,000.00 17,000 $1,000.00 $125,000.00 405,405 $955,240.00 2,672 $357.50 $23,709.00 134 $28,000,000.00 28,000 $1,000.00 $1,703,984.00 154,908 $3,000,000,000.00 3,000,000 $1,000.00 $136,000,000.00 14,516,129 $3,294,750.00 13,179 $250.00 $75,000,000.00 75,000 $1,000.00 $2,650,000.00 379,811 $12,639,000.00 12,639 $1,000.00 $632,000.00 632 $15,500,000.00 15,500 $1,000.00 $775,000.00 775 $900,000.00 1,000 $900.00 ($100,000.00) $21,880.50 50 ($14,282,320.00) $134,201.00 243,998 $40,000.00 4 $250,000.00 52,455 $67,010,401.86 13,902,573 $85,000.00 85 $1,442,000.00 183,465 $300,000.00 300 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $13,669,000.00 $0.00 $15,595,736.93 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $30,000,000.00 $0.00 $32,341,666.66 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $48,000,000.00 $0.00 $54,607,399.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $8,600,000.00 $0.00 $10,701,460.58 Sold, in full; warrants not outstanding ($84,509.62) Preferred Stock w/ Warrants $50,000,000.00 $0.00 $60,451,155.74 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,004,000.00 $0.00 $1,114,680.76 Sold, in full; warrants not outstanding ($9,329.37) ($15,670.63) Preferred Stock w/ Warrants $15,000,000,000.00 $10,000,000,000.00 $0.00 $26,599,663,040.28 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,000,000.00 $0.00 $3,087,573.33 Sold, in full; warrants not outstanding $25,000,000,000.00 $2,502,000.00 ($498,000.00) ($25,000.00) Preferred Stock w/ Warrants $17,000,000.00 $0.00 $19,564,027.78 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,672,000.00 $0.00 $1,233,940.00 Sold, in full; warrants not outstanding ($1,716,760.00) ($25,000.00) Preferred Stock w/ Warrants $28,000,000.00 $0.00 $30,155,095.11 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $3,000,000,000.00 $0.00 $3,231,416,666.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $13,179,000.00 $0.00 $4,334,427.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $75,000,000.00 $0.00 $81,004,166.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,639,000.00 $0.00 $17,097,990.60 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,500,000.00 $0.00 $18,492,469.25 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,000,000.00 $0.00 $1,100,653.50 Sold, in full; warrants not outstanding ($9,884,250.00) ($9,000.00) ($16,000.00) Preferred Stock w/ Warrants $124,000,000.00 $0.00 $129,079,862.47 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $795,000.00 $0.00 $942,411.42 Redeemed, in full; warrants not outstanding $109,717,680.00 Preferred Stock w/ Warrants Preferred Stock w/ Warrants $18,751,000.00 $3,133,640,000.00 $0.00 $0.00 $20,037,514.11 $3,293,353,918.53 $1,706,000.00 $0.00 $2,315,853.14 Redeemed, in full; warrants not outstanding $10,800,000.00 $0.00 $13,371,500.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $2,892,000.00 $40,000,000.00 $0.00 $0.00 $0.00 $7,263,316.66 $3,444,478.21 $41,917,777.78 $884.80 795 $1,000.00 $18,751,000.00 18,751 $1,000.00 $3,133,640,000.00 3,134 $1,000,000.00 $1,706,000.00 1,706 $1,000.00 $10,800,000.00 10,800 $1,000.00 $1,500,000.00 $1,500,000.00 $1,500,000.00 $1,200,000.00 $300,000.00 1,500 1,500 1,500 1,200 300 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $0.00 $2,892,000.00 2,892 2,892 $1,000.00 $1,000.00 $40,000,000.00 40,000 $1,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $6,000,000.00 ($1,645,765.20) Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants 124,000 $795,000.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $145,000.00 145 $1,040,000.00 226,330 $50,000.00 5 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $985,000.00 $0.00 $1,172,062.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,635,000.00 $1,744,000.00 $0.00 $3,803,022.67 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $6,400,000.00 $0.00 $8,271,975.28 Sold, in full; warrants not outstanding $985,000.00 985 $1,000.00 $3,379,000.00 3,379 $1,000.00 $2,532,140.00 $3,700,820.00 2,600,000 3,800,000 $0.97 $0.97 ($67,860.00) ($99,180.00) 205 $910.00 ($18,450.00) $82,000.00 82 $64,158.97 $140,347.75 64,000 140,000 ($62,329.60) Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $11,459,461.11 Sold, in full; warrants not outstanding $186,550.00 26 FootNote 14,8,14 8,14 8,64,97 8 44,8,14 8 44,8,14 15,14 11 11 8 9,10,18,65,96,99 15,14 8,44,14 11,8,14 11,8,14 11 8,14,18,44 44,8,14 11,8,14 8 8 11,8,14 39 8 11 8,14 15,45,14 11 11,9,36 Institution Name BLACKHAWK BANCORP, INC. BLACKHAWK BANCORP, INC. BLACKRIDGE FINANCIAL, INC. BLACKRIDGE FINANCIAL, INC. BLACKRIDGE FINANCIAL, INC. BLUE RIDGE BANCSHARES, INC. BLUE RIDGE BANCSHARES, INC. BLUE RIDGE BANCSHARES, INC. BLUE RIDGE BANCSHARES, INC. BLUE RIVER BANCSHARES, INC. BLUE RIVER BANCSHARES, INC. BLUE VALLEY BAN CORP BLUE VALLEY BAN CORP BLUE VALLEY BAN CORP BLUE VALLEY BAN CORP BNB FINANCIAL SERVICES CORPORATION BNB FINANCIAL SERVICES CORPORATION BNC BANCORP BNC BANCORP BNC BANCORP BNC FINANCIAL GROUP, INC. BNC FINANCIAL GROUP, INC. BNCCORP, INC. BNCCORP, INC. BNCCORP, INC. BNCCORP, INC. BOH HOLDINGS, INC. BOH HOLDINGS, INC. BOSCOBEL BANCORP, INC. BOSCOBEL BANCORP, INC. BOSCOBEL BANCORP, INC. BOSCOBEL BANCORP, INC. BOSTON PRIVATE FINANCIAL HOLDINGS INC. BOSTON PRIVATE FINANCIAL HOLDINGS INC. BOSTON PRIVATE FINANCIAL HOLDINGS INC. BOSTON PRIVATE FINANCIAL HOLDINGS INC. BRIDGE CAPITAL HOLDINGS BRIDGE CAPITAL HOLDINGS BRIDGE CAPITAL HOLDINGS BRIDGE CAPITAL HOLDINGS BRIDGEVIEW BANCORP, INC. BRIDGEVIEW BANCORP, INC. BRIDGEVIEW BANCORP, INC. BROADWAY FINANCIAL CORPORATION BROADWAY FINANCIAL CORPORATION BROGAN BANKSHARES, INC. BROGAN BANKSHARES, INC. BROGAN BANKSHARES, INC. BROGAN BANKSHARES, INC. BROTHERHOOD BANCSHARES, INC. BROTHERHOOD BANCSHARES, INC. BUSINESS BANCSHARES, INC. BUSINESS BANCSHARES, INC. BUSINESS BANCSHARES, INC. BUSINESS BANCSHARES, INC. BUTLER POINT, INC. BUTLER POINT, INC. C&F FINANCIAL CORPORATION C&F FINANCIAL CORPORATION C&F FINANCIAL CORPORATION C&F FINANCIAL CORPORATION CACHE VALLEY BANKING COMPANY CACHE VALLEY BANKING COMPANY CACHE VALLEY BANKING COMPANY CADENCE FINANCIAL CORPORATION CADENCE FINANCIAL CORPORATION CALIFORNIA BANK OF COMMERCE CALIFORNIA BANK OF COMMERCE CALIFORNIA OAKS STATE BANK CALIFORNIA OAKS STATE BANK CALVERT FINANCIAL CORPORATION CALWEST BANCORP CAPITAL BANCORP, INC. CAPITAL BANCORP, INC. CAPITAL BANK CORPORATION CAPITAL BANK CORPORATION CAPITAL COMMERCE BANCORP, INC. CAPITAL ONE FINANCIAL CORP CAPITAL ONE FINANCIAL CORP CAPITAL ONE FINANCIAL CORP CAPITAL PACIFIC BANCORP CAPITAL PACIFIC BANCORP CAPITAL PACIFIC BANCORP CAPITAL PACIFIC BANCORP CARDINAL BANCORP II, INC. CARDINAL BANCORP II, INC. CAROLINA BANK HOLDINGS, INC. CAROLINA BANK HOLDINGS, INC. CAROLINA BANK HOLDINGS, INC. CAROLINA BANK HOLDINGS, INC. CAROLINA BANK HOLDINGS, INC. CAROLINA TRUST BANK CAROLINA TRUST BANK CAROLINA TRUST BANK CAROLINA TRUST BANK CAROLINA TRUST BANK CARROLLTON BANCORP CARROLLTON BANCORP CARVER BANCORP, INC. City State BELOIT WI BELOIT WI FARGO ND FARGO ND FARGO ND INDEPENDENCE MO INDEPENDENCE MO INDEPENDENCE MO INDEPENDENCE MO SHELBYVILLE IN SHELBYVILLE IN OVERLAND PARK KS OVERLAND PARK KS OVERLAND PARK KS OVERLAND PARK KS NEW YORK NY NEW YORK NY THOMASVILLE NC THOMASVILLE NC THOMASVILLE NC NEW CANAAN CT NEW CANAAN CT BISMARCK ND BISMARCK ND BISMARCK ND BISMARCK ND HOUSTON TX HOUSTON TX BOSCOBEL WI BOSCOBEL WI BOSCOBEL WI BOSCOBEL WI BOSTON MA BOSTON MA BOSTON MA BOSTON MA SAN JOSE CA SAN JOSE CA SAN JOSE CA SAN JOSE CA BRIDGEVIEW IL BRIDGEVIEW IL BRIDGEVIEW IL LOS ANGELES CA LOS ANGELES CA KAUKAUNA WI KAUKAUNA WI KAUKAUNA WI KAUKAUNA WI KANSAS CITY KS KANSAS CITY KS CLAYTON MO CLAYTON MO CLAYTON MO CLAYTON MO CATLIN IL CATLIN IL WEST POINT VA WEST POINT VA WEST POINT VA WEST POINT VA LOGAN UT LOGAN UT LOGAN UT STARKVILLE MS STARKVILLE MS LAFAYETTE CA LAFAYETTE CA THOUSAND OAKS CA THOUSAND OAKS CA ASHLAND MO RANCHO SANTA MARGARIT CA ROCKVILLE MD ROCKVILLE MD RALEIGH NC RALEIGH NC MILWAUKEE WI MCLEAN VA MCLEAN VA MCLEAN VA PORTLAND OR PORTLAND OR PORTLAND OR PORTLAND OR WASHINGTON MO WASHINGTON MO GREENSBORO NC GREENSBORO NC GREENSBORO NC GREENSBORO NC GREENSBORO NC LINCOLNTON NC LINCOLNTON NC LINCOLNTON NC LINCOLNTON NC LINCOLNTON NC BALTIMORE MD BALTIMORE MD NEW YORK NY Date 31‐Oct‐12 11‐Jan‐13 22‐May‐09 27‐Jun‐12 12‐Sep‐12 6‐Mar‐09 29‐Oct‐12 31‐Oct‐12 11‐Jan‐13 6‐Mar‐09 10‐Feb‐12 5‐Dec‐08 18‐Oct‐13 21‐Oct‐13 6‐Jan‐14 17‐Apr‐09 30‐Aug‐13 5‐Dec‐08 29‐Aug‐12 19‐Sep‐12 27‐Feb‐09 4‐Aug‐11 16‐Jan‐09 14‐Mar‐14 17‐Mar‐14 25‐Apr‐14 6‐Mar‐09 14‐Jul‐11 15‐May‐09 8‐Mar‐13 11‐Mar‐13 9‐Apr‐13 21‐Nov‐08 13‐Jan‐10 16‐Jun‐10 7‐Feb‐11 23‐Dec‐08 23‐Feb‐11 16‐Mar‐11 20‐Apr‐11 19‐Dec‐08 19‐Nov‐13 6‐Jan‐14 14‐Nov‐08 4‐Dec‐09 15‐May‐09 26‐Apr‐13 29‐Apr‐13 31‐May‐13 17‐Jul‐09 15‐Sep‐11 24‐Apr‐09 23‐May‐12 9‐Jan‐13 24‐Apr‐13 13‐Mar‐09 2‐Nov‐11 9‐Jan‐09 27‐Jul‐11 11‐Apr‐12 14‐May‐14 23‐Dec‐08 18‐Dec‐09 14‐Jul‐11 9‐Jan‐09 4‐Mar‐11 27‐Feb‐09 15‐Sep‐11 23‐Jan‐09 8‐Dec‐10 23‐Jan‐09 23‐Jan‐09 23‐Dec‐08 30‐Dec‐10 12‐Dec‐08 28‐Jan‐11 10‐Apr‐09 14‐Nov‐08 17‐Jun‐09 9‐Dec‐09 23‐Dec‐08 8‐Nov‐12 9‐Nov‐12 11‐Jan‐13 23‐Oct‐09 8‐Sep‐11 9‐Jan‐09 20‐Feb‐13 21‐Feb‐13 26‐Mar‐13 19‐Apr‐13 6‐Feb‐09 30‐Nov‐12 11‐Jan‐13 26‐Mar‐13 11‐Jun‐13 13‐Feb‐09 19‐Apr‐13 16‐Jan‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $8,913,450.00 Shares Avg. Price 9,795 $910.00 $2,250,000.00 $2,750,000.00 2,250 2,750 $1,000.00 $1,000.00 $19,630.00 $9,040,370.00 26 11,974 $755.00 $755.00 3,250 18,500 $977.60 $977.60 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount ($881,550.00) Shares $470,250.00 500 $250,000.00 250 $541,793.34 600 $375,000.00 375 $939,920.00 543,337 $240,000.00 240 $154.44 $21,546.00 $29,737.13 $966,456.56 30 975 $500,000.00 500 $592,730.46 $232,180.54 $129,709.80 179,000 100,000 $6,202,523.25 2,887,500 $1,395,000.00 396,412 $709,155.81 1,900 $125,135.60 120,000 ($91,000.00) Preferred Stock w/ Exercised Warrants $5,000,000.00 $0.00 $6,127,326.35 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $11,938,437.34 Sold, in full; warrants not outstanding ($6,370.00) ($2,933,630.00) ($90,600.00) Preferred Stock w/ Exercised Warrants $5,000,000.00 $0.00 $529,105.00 Currently not collectible Preferred Stock w/ Warrants $21,750,000.00 $0.00 $21,261,845.65 Sold, in full; warrants outstanding ($5,000,000.00) $3,177,232.50 $18,085,785.00 ($72,767.50) ($414,215.00) ($212,630.18) Preferred Stock w/ Exercised Warrants $7,500,000.00 $0.00 $9,776,051.62 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $31,260,000.00 $0.00 $35,140,666.12 Sold, in full; warrants not outstanding $7,500,000.00 7,500 $1,000.00 31,260 $921.20 $4,797,000.00 4,797 $1,000.00 $143,000.00 $19,950,000.00 143 19,950 $1,001.10 $1,001.10 $10,000,000.00 10,000 $1,000.00 $5,586,000.00 5,586,000 $1.11 $50,000,000.00 $104,000,000.00 50,000 104,000 $1,000.00 $1,000.00 $15,000,000.00 $8,864,000.00 15,000 8,864 $1,000.00 $1,000.00 $10,450,000.00 38,000 $275.00 60,000 2,340,000 $1.05 $1.05 $11,000,000.00 11,000 $1,000.00 $550,000.00 550 $6,000,000.00 $2,500,000.00 $6,500,000.00 6,000 2,500 6,500 $1,000.00 $1,000.00 $1,000.00 $750,000.00 750 $607,000.00 607 $1,000.00 $30,000.00 30 $10,000,000.00 $10,000,000.00 10,000 10,000 $1,000.00 $1,000.00 $2,303,180.00 167,504 $238,000.00 238 $28,797,649.80 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $4,797,000.00 $20,093,000.00 $0.00 $0.00 $5,673,920.75 $26,941,865.35 ($431,964.75) ($2,462,350.20) Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($201,147.00) Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $11,783,777.44 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $5,586,000.00 $0.00 $6,947,457.50 Sold, in full; warrants not outstanding ($61,787.30) Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $154,000,000.00 $23,864,000.00 $38,000,000.00 $0.00 $0.00 $0.00 $171,224,745.48 $27,872,582.22 $13,447,811.37 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($27,550,000.00) ($104,500.00) Preferred Stock w/ Warrants Subordinated Debentures w/ Exercised Warrants $9,000,000.00 $6,000,000.00 $2,400,000.00 $15,000,000.00 $810,416.67 Full investment outstanding; warrants not outstanding $0.00 $3,022,879.60 Sold, in full; warrants not outstanding $60,000.00 $2,340,000.00 $3,000.60 $117,023.40 ($25,000.00) Preferred Stock w/ Exercised Warrants $11,000,000.00 $0.00 $12,845,586.01 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,000,000.00 $0.00 $18,707,708.84 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $607,000.00 $20,000,000.00 $0.00 $0.00 $724,123.53 $25,205,957.78 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,767,000.00 $4,640,000.00 $0.00 $10,674,333.80 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $44,000,000.00 $0.00 $41,984,062.50 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $4,755,899.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,300,000.00 $0.00 $3,802,219.25 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $1,037,000.00 $4,656,000.00 $4,700,000.00 $1,037,000.00 $4,656,000.00 $0.00 $215,442.61 $396,163.67 $5,452,281.19 Full investment outstanding; warrants outstanding Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $41,279,000.00 $0.00 $45,252,104.25 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $5,100,000.00 $3,555,199,000.00 $5,100,000.00 $0.00 $304,973.00 $3,806,873,702.13 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $4,742,850.89 Sold, in full; warrants not outstanding $9,407,000.00 9,407 $1,000.00 $38,000,000.00 44,000 $863.60 $4,000,000.00 4,000 $1,000.00 $200,000.00 200 $3,300,000.00 3,300 $1,000.00 $165,000.00 165 $235,000.00 235 $146,500,064.55 12,657,960 $169,042.00 200 $313,000.00 313,000 $1,800,000.00 357,675 $4,700,000.00 4,700 $1,000.00 $41,279,000.00 41,279 $1,000.00 $3,555,199,000.00 3,555,199 $1,000.00 $247,727.04 $3,505,712.96 264 3,736 $938.40 $938.40 ($6,000,000.00) ($16,272.96) ($230,287.04) ($25,000.00) Subordinated Debentures w/ Exercised Warrants $6,251,000.00 $0.00 $7,547,479.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $16,000,000.00 $0.00 $19,941,788.94 Sold, in full; warrants not outstanding $6,251,000.00 6,251,000 $1.00 $14,525,843.40 $435,756.60 15,534 466 $935.10 $935.10 ($1,008,156.60) ($30,243.40) 4,000 $853.00 ($588,000.00) 9,201 $1,000.00 ($149,616.00) Preferred Stock w/ Warrants $4,000,000.00 $0.00 $3,994,452.00 Sold, in full; warrants not outstanding $3,412,000.00 ($34,120.00) ($15,880.00) Preferred Stock w/ Warrants $9,201,000.00 $0.00 $11,388,958.51 $9,201,000.00 Preferred Stock $18,980,000.00 $0.00 $20,511,580.55 $19,132.00 86,957 $213,594.16 205,379 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding 27 FootNote 11 8,18,14,44 8,57,97 8,18,18 8,14 8 44 11,59 8,14 12,16 11,8,14 45 8,113 11,8,14 8,14 11 40 45 93 8,17,44 44,8,14 15,14 15 8 23 19,30 11 8,55,97 8,14 Institution Name CARVER BANCORP, INC. CASCADE FINANCIAL CORPORATION CASCADE FINANCIAL CORPORATION CATHAY GENERAL BANCORP CATHAY GENERAL BANCORP CATHAY GENERAL BANCORP CATHAY GENERAL BANCORP CATSKILL HUDSON BANCORP, INC. CATSKILL HUDSON BANCORP, INC. CATSKILL HUDSON BANCORP, INC. CB HOLDING CORP. CB HOLDING CORP. CBB BANCORP CBB BANCORP CBB BANCORP CBB BANCORP CBB BANCORP CBB BANCORP CBS BANC‐CORP. CBS BANC‐CORP. CBS BANC‐CORP. CBS BANC‐CORP. CBS BANC‐CORP. CECIL BANCORP, INC. CEDARSTONE BANK CEDARSTONE BANK CENTER BANCORP, INC. CENTER BANCORP, INC. CENTER BANCORP, INC. CENTER FINANCIAL CORPORATION / BBCN BANCORP, INC. CENTER FINANCIAL CORPORATION / BBCN BANCORP, INC. CENTERBANK CENTERBANK CENTERBANK CENTERBANK CENTERBANK CENTERSTATE BANKS OF FLORIDA INC. CENTERSTATE BANKS OF FLORIDA INC. CENTERSTATE BANKS OF FLORIDA INC. CENTRA FINANCIAL HOLDINGS, INC. CENTRA FINANCIAL HOLDINGS, INC. CENTRA FINANCIAL HOLDINGS, INC. CENTRAL BANCORP, INC. (MA) CENTRAL BANCORP, INC. (MA) CENTRAL BANCORP, INC. (MA) CENTRAL BANCORP, INC. (TX) CENTRAL BANCORP, INC. (TX) CENTRAL BANCSHARES, INC. CENTRAL BANCSHARES, INC. CENTRAL COMMUNITY CORPORATION CENTRAL COMMUNITY CORPORATION CENTRAL COMMUNITY CORPORATION CENTRAL COMMUNITY CORPORATION CENTRAL FEDERAL CORPORATION CENTRAL FEDERAL CORPORATION CENTRAL JERSEY BANCORP CENTRAL JERSEY BANCORP CENTRAL JERSEY BANCORP CENTRAL PACIFIC FINANCIAL CORP. CENTRAL PACIFIC FINANCIAL CORP. CENTRAL PACIFIC FINANCIAL CORP. CENTRAL PACIFIC FINANCIAL CORP. CENTRAL VALLEY COMMUNITY BANCORP CENTRAL VALLEY COMMUNITY BANCORP CENTRAL VALLEY COMMUNITY BANCORP CENTRAL VIRGINIA BANKSHARES, INC. CENTRAL VIRGINIA BANKSHARES, INC. CENTRIC FINANCIAL CORPORATION CENTRIC FINANCIAL CORPORATION CENTRIX BANK & TRUST CENTRIX BANK & TRUST CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTRUE FINANCIAL CORPORATION CENTURY FINANCIAL SERVICES CORPORATION CENTURY FINANCIAL SERVICES CORPORATION CENTURY FINANCIAL SERVICES CORPORATION CENTURY FINANCIAL SERVICES CORPORATION CHAMBERS BANCSHARES, INC. CHICAGO SHORE CORPORATION CHICAGO SHORE CORPORATION CHICAGO SHORE CORPORATION CHICAGO SHORE CORPORATION CIT GROUP INC. CIT GROUP INC. CITIGROUP INC. CITIGROUP INC. CITIGROUP INC. CITIZENS & NORTHERN CORPORATION CITIZENS & NORTHERN CORPORATION CITIZENS & NORTHERN CORPORATION CITIZENS BANCORP CITIZENS BANCORP CITIZENS BANCSHARES CO. CITIZENS BANCSHARES CO. City NEW YORK EVERETT EVERETT LOS ANGELES LOS ANGELES LOS ANGELES LOS ANGELES ROCK HILL ROCK HILL ROCK HILL ALEDO ALEDO CARTERSVILLE CARTERSVILLE CARTERSVILLE CARTERSVILLE CARTERSVILLE CARTERSVILLE RUSSELLVILLE RUSSELLVILLE RUSSELLVILLE RUSSELLVILLE RUSSELLVILLE ELKTON LEBANON LEBANON UNION UNION UNION LOS ANGELES LOS ANGELES MILFORD MILFORD MILFORD MILFORD MILFORD DAVENPORT DAVENPORT DAVENPORT MORGANTOWN MORGANTOWN MORGANTOWN SOMERVILLE SOMERVILLE SOMERVILLE GARLAND GARLAND HOUSTON HOUSTON TEMPLE TEMPLE TEMPLE TEMPLE FAIRLAWN FAIRLAWN OAKHURST OAKHURST OAKHURST HONOLULU HONOLULU HONOLULU HONOLULU FRESNO FRESNO FRESNO POWHATAN POWHATAN HARRISBURG HARRISBURG BEDFORD BEDFORD OTTAWA OTTAWA OTTAWA OTTAWA OTTAWA OTTAWA OTTAWA SANTA FE SANTA FE SANTA FE SANTA FE DANVILLE CHICAGO CHICAGO CHICAGO CHICAGO NEW YORK NEW YORK NEW YORK NEW YORK NEW YORK WELLSBORO WELLSBORO WELLSBORO NEVADA CITY NEVADA CITY CHILLICOTHE CHILLICOTHE State NY WA WA CA CA CA CA NY NY NY IL IL GA GA GA GA GA GA AL AL AL AL AL MD TN TN NJ NJ NJ CA CA OH OH OH OH OH FL FL FL WV WV WV MA MA MA TX TX TX TX TX TX TX TX OH OH NJ NJ NJ HI HI HI HI CA CA CA VA VA PA PA NH NH IL IL IL IL IL IL IL NM NM NM NM AR IL IL IL IL NY NY NY NY NY PA PA PA CA CA MO MO Date 27‐Aug‐10 21‐Nov‐08 30‐Jun‐11 5‐Dec‐08 20‐Mar‐13 30‐Sep‐13 9‐Dec‐13 27‐Feb‐09 22‐Dec‐09 21‐Jul‐11 29‐May‐09 14‐Oct‐11 20‐Feb‐09 29‐Dec‐09 28‐Nov‐12 29‐Nov‐12 11‐Jan‐13 26‐Mar‐13 27‐Mar‐09 7‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 23‐Dec‐08 6‐Feb‐09 20‐Nov‐13 9‐Jan‐09 15‐Sep‐11 7‐Dec‐11 12‐Dec‐08 27‐Jun‐12 1‐May‐09 29‐Oct‐12 1‐Nov‐12 11‐Jan‐13 26‐Mar‐13 21‐Nov‐08 30‐Sep‐09 28‐Oct‐09 16‐Jan‐09 31‐Mar‐09 15‐Apr‐09 5‐Dec‐08 25‐Aug‐11 19‐Oct‐11 27‐Feb‐09 29‐Aug‐14 30‐Jan‐09 6‐Jul‐11 20‐Feb‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 5‐Dec‐08 26‐Sep‐12 23‐Dec‐08 24‐Nov‐10 1‐Dec‐10 9‐Jan‐09 22‐Jun‐11 4‐Apr‐12 11‐Jun‐13 30‐Jan‐09 18‐Aug‐11 28‐Sep‐11 30‐Jan‐09 1‐Oct‐13 18‐Dec‐09 14‐Jul‐11 6‐Feb‐09 28‐Jul‐11 9‐Jan‐09 25‐Sep‐13 18‐Oct‐13 29‐Oct‐13 6‐Jan‐14 10‐Feb‐14 19‐Mar‐14 19‐Jun‐09 19‐Dec‐12 20‐Dec‐12 11‐Jan‐13 29‐May‐09 31‐Jul‐09 14‐Mar‐14 17‐Mar‐14 25‐Apr‐14 31‐Dec‐08 10‐Dec‐09 28‐Oct‐08 10‐Dec‐10 31‐Jan‐11 16‐Jan‐09 4‐Aug‐10 1‐Sep‐10 23‐Dec‐08 23‐Sep‐11 29‐May‐09 7‐Feb‐13 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $18,980,000.00 Preferred Stock w/ Warrants $38,970,000.00 $0.00 $17,678,900.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $258,000,000.00 $0.00 $329,874,444.96 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,000,000.00 $3,500,000.00 $0.00 $7,448,071.47 Preferred Stock w/ Exercised Warrants $4,114,000.00 $0.00 $271,579.53 Currently not collectible Preferred Stock w/ Exercised Warrants $2,644,000.00 $1,753,000.00 $0.00 $4,982,141.86 Sold, in full; warrants not outstanding Shares 18,980 Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $1,000.00 $16,250,000.00 38,970 $417.00 $129,000,000.00 $129,000,000.00 129,000 129,000 $1,000.00 $1,000.00 ($22,720,000.00) $13,107,778.30 1,846,374 $263,000.00 263 Redeemed, in full; warrants not outstanding $6,500,000.00 6,500 $1,000.00 ($4,114,000.00) $1,268,825.60 $2,831,259.86 1,360 3,037 $932.05 $932.05 ($91,174.40) ($205,740.14) $115,861.34 132 1,020 23,280 $905.20 $905.20 ($96,696.00) ($2,206,944.00) $287,213.85 $689,313.24 $131,297.76 315 756 144 $3,564,000.00 3,564 $1,000.00 $178,000.00 178 $10,000,000.00 10,000 $1,000.00 $245,000.00 86,705 $55,000,000.00 55,000 $1,000.00 30 2,220 $825.00 $825.00 $84,057.43 113 $27,875,000.00 27,875 $1,000.00 $212,000.00 125,413 $15,000,000.00 15,000 $1,000.00 $750,000.00 750 $10,000,000.00 10,000 $1,000.00 $2,525,000.00 234,742 $22,500,000.00 22,500 $1,000.00 $1,125,000.00 1,125 $5,800,000.00 5,800 $1,000.00 $290,000.00 290 $5,333,059.60 $15,043,340.40 5,758 16,242 $926.20 $926.20 ($424,940.40) ($1,198,659.60) $1,058,725.80 1,100 ($4,225,000.00) $319,658.99 268,621 ($32,969.92) ($363.42) Preferred Stock w/ Exercised Warrants $24,300,000.00 $0.00 $27,432,357.95 Sold, in full; warrants not outstanding $923,304.00 $21,073,056.00 ($219,963.60) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $11,560,000.00 $3,564,000.00 $10,000,000.00 $55,000,000.00 $2,250,000.00 $11,560,000.00 $0.00 $0.00 $0.00 $0.00 $516,988.89 $4,672,098.50 $11,586,666.67 $64,739,583.33 $2,344,662.43 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants outstanding Sold, in full; warrants not outstanding $24,750.00 $1,831,500.00 ($5,250.00) ($388,500.00) ($18,562.50) ($6,437.50) Preferred Stock w/ Warrants $27,875,000.00 $0.00 $29,283,302.58 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,000,000.00 $0.00 $15,922,937.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,000,000.00 $0.00 $13,886,111.11 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $22,500,000.00 $0.00 $31,086,221.13 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,800,000.00 $0.00 $6,859,176.83 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $22,000,000.00 $0.00 $25,797,528.80 Sold, in full; warrants not outstanding ($203,764.00) Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $7,225,000.00 $11,300,000.00 $135,000,000.00 $0.00 $0.00 $0.00 $3,612,118.06 $12,704,145.10 $75,036,891.42 Sold, in full; warrants not outstanding $3,000,000.00 7,225 $415.20 $11,300,000.00 11,300 $1,000.00 2,850,000 2,770,117 $12.75 $13.15 7,000 $1,000.00 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding $36,337,500.00 $36,427,038.55 Preferred Stock w/ Warrants $7,000,000.00 $0.00 $8,077,516.47 ($454,218.75) ($387,816.38) Preferred Stock w/ Warrants $11,385,000.00 $0.00 $3,800,656.00 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,056,000.00 $0.00 $6,739,821.89 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,500,000.00 $0.00 $8,887,791.42 Redeemed, in full; warrants not outstanding $32,668,000.00 $0.00 $11,203,387.14 $751,888.00 79,288 $185,016.80 79,067 Redeemed, in full; warrants not outstanding $7,000,000.00 Preferred Stock w/ Warrants ($32,121,928.87) ($30,113,532.58) $3,350,000.00 11,385 $294.20 $6,056,000.00 6,056 $1,000.00 ($8,035,000.00) $182,000.00 182 $7,500,000.00 7,500 $1,000.00 $375,000.00 375 $8,211,450.00 $1,950,000.00 25,266 6,000 $325.00 $325.00 ($17,054,550.00) ($4,050,000.00) 1,402 $412.00 ($824,361.98) 40,000 9,960,000 $0.99 $0.99 ($600.00) ($149,400.00) $198,635.58 $297,953.37 200,000 300,000 260 6,740 $991.00 $991.00 ($2,340.00) ($60,660.00) $347,193.00 350 $25,000,000,000.00 7,692,307,692 $4.14 $54,621,848.84 210,084,034 $26,440,000.00 26,440 $1,000.00 $400,000.00 194,794 $258,018.75 500 Sold, in full; warrants outstanding ($82,114.50) ($19,500.00) $577,638.02 ($5,776.38) Subordinated Debentures w/ Exercised Warrants $10,000,000.00 $0.00 $13,186,960.25 Sold, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $19,817,000.00 $7,000,000.00 $19,817,000.00 $0.00 $5,754,674.98 $8,981,348.81 Full investment outstanding; warrants outstanding Sold, in full; warrants not outstanding $39,400.00 $9,810,600.00 ($98,500.00) $257,660.00 $6,679,340.00 ($69,370.00) Preferred Stock w/ Warrants $2,330,000,000.00 $0.00 $43,687,500.00 Exited bankruptcy/receivership Preferred Stock w/ Warrants $25,000,000,000.00 $0.00 $32,839,267,986.44 Redeemed, in full; warrants not outstanding ($2,330,000,000.00) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $26,440,000.00 $10,400,000.00 $0.00 $0.00 $28,889,100.00 $223,571.11 $6,852,354,470.93 Redeemed, in full; warrants not outstanding Currently not collectible ($10,400,000.00) Preferred Stock w/ Exercised Warrants $24,990,000.00 $0.00 $13,952,381.45 Sold, in full; warrants not outstanding $6,657,375.00 12,990 $512.50 ($6,332,625.00) 28 FootNote 11,9,36 8 8 44,8,14 11 86 45 8,9 11 8,14 82 8,17 45 44 8,14 11,8,14 11,16 44,8,14 11 11 15,14 8,14 11,8,14 11,8,14 11,8,14 8,17 11,9,36 44 11,101 8,14 81 76,8,14 8 Institution Name City State Date CITIZENS BANCSHARES CO. CITIZENS BANCSHARES CO. CITIZENS BANCSHARES CORPORATION CITIZENS BANCSHARES CORPORATION CITIZENS BANK & TRUST COMPANY, ESTABLISHED 1945 CITIZENS COMMERCE BANCSHARES, INC. CITIZENS COMMUNITY BANK CITIZENS COMMUNITY BANK CITIZENS FIRST CORPORATION CITIZENS FIRST CORPORATION CITIZENS FIRST CORPORATION CITIZENS FIRST CORPORATION CITIZENS REPUBLIC BANCORP, INC. / FIRSTMERIT CORPORATION CITIZENS REPUBLIC BANCORP, INC. / FIRSTMERIT CORPORATION CITIZENS SOUTH BANKING CORPORATION CITIZENS SOUTH BANKING CORPORATION CITIZENS SOUTH BANKING CORPORATION CITY NATIONAL BANCSHARES CORPORATION CITY NATIONAL CORPORATION CITY NATIONAL CORPORATION CITY NATIONAL CORPORATION CITY NATIONAL CORPORATION CLOVER COMMUNITY BANKSHARES, INC. CLOVER COMMUNITY BANKSHARES, INC. CLOVER COMMUNITY BANKSHARES, INC. CLOVER COMMUNITY BANKSHARES, INC. COASTAL BANKING COMPANY, INC. COASTAL BANKING COMPANY, INC. COASTAL BANKING COMPANY, INC. COASTAL BANKING COMPANY, INC. COASTAL BANKING COMPANY, INC. COASTAL BANKING COMPANY, INC. COASTALSOUTH BANCHARES, INC. COASTALSOUTH BANCHARES, INC. CHILLICOTHE CHILLICOTHE ATLANTA ATLANTA COVINGTON VERSAILLES SOUTH HILL SOUTH HILL BOWLING GREEN BOWLING GREEN BOWLING GREEN BOWLING GREEN FLINT FLINT GASTONIA GASTONIA GASTONIA NEWARK BEVERLY HILLS BEVERLY HILLS BEVERLY HILLS BEVERLY HILLS CLOVER CLOVER CLOVER CLOVER FERNANDINA BEACH FERNANDINA BEACH FERNANDINA BEACH FERNANDINA BEACH FERNANDINA BEACH FERNANDINA BEACH HILTON HEAD ISLAND HILTON HEAD ISLAND MO MO GA GA LA KY VA VA KY KY KY KY MI MI NC NC NC NJ CA CA CA CA SC SC SC SC FL FL FL FL FL FL SC SC 8‐Feb‐13 26‐Mar‐13 6‐Mar‐09 13‐Aug‐10 20‐Mar‐09 6‐Feb‐09 23‐Dec‐08 28‐Jul‐11 19‐Dec‐08 16‐Feb‐11 13‐Feb‐13 15‐Jan‐14 12‐Dec‐08 12‐Apr‐13 12‐Dec‐08 22‐Sep‐11 9‐Nov‐11 10‐Apr‐09 21‐Nov‐08 30‐Dec‐09 3‐Mar‐10 7‐Apr‐10 27‐Mar‐09 28‐Nov‐12 29‐Nov‐12 11‐Jan‐13 5‐Dec‐08 8‐Mar‐13 11‐Mar‐13 9‐Apr‐13 10‐Apr‐13 12‐Jun‐13 28‐Aug‐09 8‐Mar‐13 COASTALSOUTH BANCHARES, INC. COASTALSOUTH BANCHARES, INC. COBIZ FINANCIAL INC. COBIZ FINANCIAL INC. COBIZ FINANCIAL INC. CODORUS VALLEY BANCORP, INC. CODORUS VALLEY BANCORP, INC. CODORUS VALLEY BANCORP, INC. COLOEAST BANKSHARES, INC. COLOEAST BANKSHARES, INC. COLOEAST BANKSHARES, INC. COLOEAST BANKSHARES, INC. COLONIAL AMERICAN BANK COLONIAL AMERICAN BANK COLONY BANKCORP, INC. COLONY BANKCORP, INC. COLONY BANKCORP, INC. COLONY BANKCORP, INC. COLONY BANKCORP, INC. COLUMBIA BANKING SYSTEM, INC. COLUMBIA BANKING SYSTEM, INC. COLUMBIA BANKING SYSTEM, INC. COLUMBINE CAPITAL CORP. COLUMBINE CAPITAL CORP. COMERICA INC. COMERICA INC. COMERICA INC. COMMERCE NATIONAL BANK COMMERCE NATIONAL BANK COMMERCE NATIONAL BANK COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BANCSHARES, INC. COMMONWEALTH BUSINESS BANK COMMONWEALTH BUSINESS BANK COMMONWEALTH BUSINESS BANK COMMUNITY 1ST BANK COMMUNITY 1ST BANK COMMUNITY BANCSHARES OF KANSAS, INC. COMMUNITY BANCSHARES OF KANSAS, INC. HILTON HEAD ISLAND HILTON HEAD ISLAND DENVER DENVER DENVER YORK YORK YORK LAMAR LAMAR LAMAR LAMAR WEST CONSHOHOCKEN WEST CONSHOHOCKEN FITZGERALD FITZGERALD FITZGERALD FITZGERALD FITZGERALD TACOMA TACOMA TACOMA BUENA VISTA BUENA VISTA DALLAS DALLAS DALLAS NEWPORT BEACH NEWPORT BEACH NEWPORT BEACH LOUISVILLE LOUISVILLE LOUISVILLE LOUISVILLE LOUISVILLE LOUISVILLE LOS ANGELES LOS ANGELES LOS ANGELES ROSEVILLE ROSEVILLE GOFF GOFF SC SC CO CO CO PA PA PA CO CO CO CO PA PA GA GA GA GA GA WA WA WA CO CO TX TX TX CA CA CA KY KY KY KY KY KY CA CA CA CA CA KS KS 11‐Mar‐13 9‐Apr‐13 19‐Dec‐08 8‐Sep‐11 23‐Nov‐11 9‐Jan‐09 18‐Aug‐11 28‐Sep‐11 13‐Feb‐09 19‐Jul‐13 22‐Jul‐13 12‐Sep‐13 27‐Mar‐09 26‐Oct‐11 9‐Jan‐09 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 12‐Jun‐13 21‐Nov‐08 11‐Aug‐10 1‐Sep‐10 27‐Feb‐09 22‐Sep‐11 14‐Nov‐08 17‐Mar‐10 12‐May‐10 9‐Jan‐09 7‐Oct‐09 1‐Oct‐13 22‐May‐09 7‐Aug‐12 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 23‐Jan‐09 17‐Jul‐13 12‐Sep‐13 16‐Jan‐09 19‐Dec‐12 6‐Mar‐09 18‐Jul‐12 COMMUNITY BANCSHARES OF MISSISSIPPI, INC./COMMUNITY BANK OF MISSISSIPPI COMMUNITY BANCSHARES OF MISSISSIPPI, INC./COMMUNITY BANK OF MISSISSIPPI COMMUNITY BANCSHARES, INC. COMMUNITY BANK OF THE BAY COMMUNITY BANK OF THE BAY COMMUNITY BANK SHARES OF INDIANA, INC. COMMUNITY BANK SHARES OF INDIANA, INC. COMMUNITY BANK SHARES OF INDIANA, INC. COMMUNITY BANKERS TRUST CORPORATION COMMUNITY BANKERS TRUST CORPORATION COMMUNITY BANKERS TRUST CORPORATION COMMUNITY BANKERS TRUST CORPORATION COMMUNITY BANKERS TRUST CORPORATION COMMUNITY BUSINESS BANK COMMUNITY BUSINESS BANK COMMUNITY BUSINESS BANK COMMUNITY FINANCIAL CORPORATION / CITY HOLDING COMPANY COMMUNITY FINANCIAL CORPORATION / CITY HOLDING COMPANY COMMUNITY FINANCIAL SHARES, INC. COMMUNITY FINANCIAL SHARES, INC. COMMUNITY FIRST BANCSHARES, INC. (AR) BRANDON BRANDON KINGMAN OAKLAND OAKLAND NEW ALBANY NEW ALBANY NEW ALBANY GLEN ALLEN GLEN ALLEN GLEN ALLEN GLEN ALLEN GLEN ALLEN WEST SACRAMENTO WEST SACRAMENTO WEST SACRAMENTO STAUNTON STAUNTON GLEN ELLYN GLEN ELLYN HARRISON MS MS AZ CA CA IN IN IN VA VA VA VA VA CA CA CA VA VA IL IL AR 11‐Sep‐09 29‐Sep‐10 24‐Jul‐09 16‐Jan‐09 29‐Sep‐10 29‐May‐09 15‐Sep‐11 19‐Oct‐11 19‐Dec‐08 24‐Jul‐13 20‐Nov‐13 23‐Apr‐14 4‐Jun‐14 27‐Feb‐09 30‐Nov‐12 11‐Jan‐13 19‐Dec‐08 9‐Jan‐13 15‐May‐09 21‐Dec‐12 3‐Apr‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $6,150,000.00 Shares Avg. Price 12,000 $512.50 $7,462,000.00 7,462 $1,000.00 (Realized Loss) / (Write‐off) ($5,850,000.00) Gain5 Warrant Proceeds Amount Shares $387,028.12 750 $150,000.00 150 $225,157.00 450,314 $18,500,000.00 1,128,668 $114,021.50 150 $99,000.00 $225,647.45 60,000 145,579 ($128,073.75) Preferred Stock $7,462,000.00 $0.00 $7,997,813.22 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $2,400,000.00 $6,300,000.00 $3,000,000.00 $2,400,000.00 $6,300,000.00 $0.00 $567,183.00 $180,258.50 $3,574,645.84 Full investment outstanding; warrants outstanding Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $8,779,000.00 $0.00 $10,530,923.11 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $300,000,000.00 $0.00 $369,245,436.64 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $20,500,000.00 $0.00 $23,572,379.22 Redeemed, in full; warrants not outstanding Preferred Stock Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $9,439,000.00 $400,000,000.00 $3,000,000.00 $9,439,000.00 $0.00 $0.00 $281,859.00 $442,416,666.67 $3,318,585.05 $3,000,000.00 3,000 $1,000.00 $2,212,308.00 $3,300,904.00 $3,265,788.00 63 94 93 $35,116.00 $35,116.00 $35,116.00 $300,000,000.00 300,000 $1,000.00 $20,500,000.00 20,500 $1,000.00 Full investment outstanding; warrants not outstanding Redeemed, in full; warrants not outstanding $200,000,000.00 $200,000,000.00 200,000 200,000 $1,000.00 $1,000.00 $955,825.50 $1,662,874.50 1,095 1,905 $872.90 $872.90 ($139,174.50) ($242,125.50) 3,950 6,000 $955.10 $955.10 ($177,355.00) ($269,400.00) Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Warrants $9,950,000.00 $0.00 $11,166,897.79 Sold, in full; warrants not outstanding $3,772,645.00 $5,730,600.00 ($95,032.45) Preferred Stock w/ Exercised Warrants $16,015,000.00 $0.00 $14,257,487.71 Sold, in full; warrants not outstanding $397,550.00 500 $795.10 ($102,450.00) $389,857.05 450 15,515 $795.10 ($3,179,023.50) $25,990.47 30 $64,450,000.00 64,450 $1,000.00 $143,677.00 895,968 $16,500,000.00 16,500 $1,000.00 $526,604.00 263,859 $46,995.00 $8,990,505.00 52 9,948 $903.80 $903.80 574 $1,000.00 27,661 339 $782.10 $782.10 76,898 $1,000.00 $12,335,976.50 ($127,335.27) Preferred Stock w/ Warrants $64,450,000.00 $0.00 $73,357,086.72 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $16,500,000.00 $0.00 $19,178,479.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $10,670,784.03 Sold, in full; warrants not outstanding ($5,005.00) ($957,495.00) $494,381.25 50 $29,000.00 29 $810,000.00 500,000 $3,301,647.00 398,023 ($90,375.00) Preferred Stock w/ Exercised Warrants $574,000.00 $0.00 $668,142.53 Redeemed, in full; warrants not outstanding $574,000.00 Preferred Stock w/ Warrants $28,000,000.00 $0.00 $26,480,089.20 Sold, in full; warrants not outstanding $21,633,944.71 $265,135.29 ($6,027,055.29) ($73,864.71) ($218,990.80) Preferred Stock w/ Warrants $76,898,000.00 $0.00 $86,821,419.22 Redeemed, in full; warrants not outstanding $76,898,000.00 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $2,260,000.00 $2,250,000,000.00 $0.00 $0.00 $2,689,478.64 $2,582,039,543.40 Redeemed, in full; warrants not outstanding $2,260,000.00 2,260 $1,000.00 $2,250,000,000.00 2,250,000 $1,000.00 $113,000.00 113 $181,102,043.40 11,479,592 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $5,000,000.00 $0.00 $5,602,969.61 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $20,400,000.00 $0.00 $21,575,016.54 Sold, in full; warrants not outstanding $5,000,000.00 5,000 $1,000.00 $566,858.50 87,209 $130,500.00 $1,469,250.00 $13,100,250.00 $600,000.00 174,000 1,959,000 17,467,000 800,000 $0.75 $0.75 $0.75 $0.75 ($43,500.00) ($489,750.00) ($4,366,750.00) ($200,000.00) $792,990.00 $105,732.00 900,000 120,000 7,701 $951.00 ($377,349.00) $362,427.91 385 ($153,000.00) Preferred Stock w/ Exercised Warrants $7,701,000.00 $0.00 $8,451,110.79 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,550,000.00 $0.00 $2,899,659.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $500,000.00 $0.00 $616,741.75 Redeemed, in full; warrants not outstanding $7,323,651.00 ($73,236.51) Preferred Stock w/ Exercised Warrants $52,000,000.00 $0.00 $57,575,699.54 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock $3,872,000.00 $1,747,000.00 $3,872,000.00 $0.00 $981,158.70 $1,823,188.61 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $19,468,000.00 $0.00 $22,802,281.62 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $17,680,000.00 $3,976,000.00 $0.00 $0.00 $23,135,879.12 $4,674,050.16 $2,550,000.00 2,550 $1,000.00 $128,000.00 128 $500,000.00 500 $1,000.00 $25,000.00 25 $52,000,000.00 52,000 $1,000.00 $2,600,000.00 2,600 $1,100,869.50 386,270 $1,747,000.00 1,747 $1,000.00 $19,468,000.00 19,468 $1,000.00 $4,500,000.00 $2,500,000.00 $10,680,000.00 4,500 2,500 10,680 $1,000.00 $1,000.00 $1,000.00 $3,717,560.00 3,976 $935.00 $12,643,000.00 12,643 $1,000.00 $3,136,500.00 6,970 $450.00 Redeemed, in full; warrants not outstanding $780,000.00 780,000 ($258,440.00) $167,035.00 199 ($3,833,500.00) $157,050.00 349 Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Warrants $15,206,719.94 Redeemed, in full; warrants outstanding $0.00 $4,240,743.82 Sold, in full; warrants not outstanding $0.00 $16,441,884.63 Sold, in full; warrants not outstanding $12,643,000.00 $0.00 Preferred Stock w/ Exercised Warrants $6,970,000.00 Preferred Stock w/ Exercised Warrants $12,725,000.00 29 FootNote 44,8,14 8 8,67 8,14 44 15,17 44,8,14 53,110 8,14 8,14 8,14 8 8 58 8,14 8 11,16 44,8,14 15,44,14 8,14 8,18 15,14 8,14 11 44 15 12,44 11,16 Institution Name COMMUNITY FIRST BANCSHARES, INC. (AR) COMMUNITY FIRST BANCSHARES, INC. (AR) COMMUNITY FIRST BANCSHARES, INC. (AR) COMMUNITY FIRST BANCSHARES, INC. (TN) COMMUNITY FIRST BANCSHARES, INC. (TN) COMMUNITY FIRST, INC. COMMUNITY FIRST, INC. COMMUNITY FIRST, INC. COMMUNITY FIRST, INC. COMMUNITY HOLDING COMPANY OF FLORIDA, INC. / COMMUNITY BANCSHARES OF MISSISSIPPI, INC. COMMUNITY HOLDING COMPANY OF FLORIDA, INC. / COMMUNITY BANCSHARES OF MISSISSIPPI, INC. COMMUNITY HOLDING COMPANY OF FLORIDA, INC. / COMMUNITY BANCSHARES OF MISSISSIPPI, INC. COMMUNITY HOLDING COMPANY OF FLORIDA, INC. / COMMUNITY BANCSHARES OF MISSISSIPPI, INC. COMMUNITY INVESTORS BANCORP, INC. COMMUNITY INVESTORS BANCORP, INC. COMMUNITY INVESTORS BANCORP, INC. COMMUNITY INVESTORS BANCORP, INC. COMMUNITY INVESTORS BANCORP, INC. COMMUNITY PARTNERS BANCORP COMMUNITY PARTNERS BANCORP COMMUNITY PARTNERS BANCORP COMMUNITY PRIDE BANK CORPORATION COMMUNITY PRIDE BANK CORPORATION COMMUNITY PRIDE BANK CORPORATION COMMUNITY TRUST FINANCIAL CORPORATION COMMUNITY TRUST FINANCIAL CORPORATION COMMUNITY WEST BANCSHARES COMMUNITY WEST BANCSHARES COMMUNITY WEST BANCSHARES COMMUNITY WEST BANCSHARES COMMUNITY WEST BANCSHARES COMMUNITYONE BANCORP / FNB UNITED CORP. COMMUNITYONE BANCORP / FNB UNITED CORP. CONGAREE BANCSHARES, INC. CONGAREE BANCSHARES, INC. CONGAREE BANCSHARES, INC. CONGAREE BANCSHARES, INC. CORNING SAVINGS AND LOAN ASSOCIATION CORNING SAVINGS AND LOAN ASSOCIATION CORNING SAVINGS AND LOAN ASSOCIATION CORNING SAVINGS AND LOAN ASSOCIATION COUNTRY BANK SHARES, INC. COUNTRY BANK SHARES, INC. COUNTRY BANK SHARES, INC. COUNTRY BANK SHARES, INC. COVENANT FINANCIAL CORPORATION COVENANT FINANCIAL CORPORATION CRAZY WOMAN CREEK BANCORP INCORPORATED CRAZY WOMAN CREEK BANCORP INCORPORATED CRESCENT FINANCIAL BANCSHARES, INC. (CRESCENT FINANCIAL CORPORATION) / VantageSouth Bancshares, Inc. CRESCENT FINANCIAL BANCSHARES, INC. (CRESCENT FINANCIAL CORPORATION) / VantageSouth Bancshares, Inc. CRESCENT FINANCIAL BANCSHARES, INC. (CRESCENT FINANCIAL CORPORATION) / VantageSouth Bancshares, Inc. CROSSTOWN HOLDING COMPANY CROSSTOWN HOLDING COMPANY CROSSTOWN HOLDING COMPANY CROSSTOWN HOLDING COMPANY CSRA BANK CORP. CVB FINANCIAL CORP. CVB FINANCIAL CORP. CVB FINANCIAL CORP. CVB FINANCIAL CORP. D.L. EVANS BANCORP D.L. EVANS BANCORP DEERFIELD FINANCIAL CORPORATION DEERFIELD FINANCIAL CORPORATION DELMAR BANCORP DELMAR BANCORP DELMAR BANCORP DELMAR BANCORP DESOTO COUNTY BANK DESOTO COUNTY BANK DESOTO COUNTY BANK DESOTO COUNTY BANK DESOTO COUNTY BANK DIAMOND BANCORP, INC. DIAMOND BANCORP, INC. DIAMOND BANCORP, INC. DIAMOND BANCORP, INC. DIAMOND BANCORP, INC. DICKINSON FINANCIAL CORPORATION II DICKINSON FINANCIAL CORPORATION II DICKINSON FINANCIAL CORPORATION II DICKINSON FINANCIAL CORPORATION II DISCOVER FINANCIAL SERVICES DISCOVER FINANCIAL SERVICES DISCOVER FINANCIAL SERVICES DNB FINANCIAL CORPORATION DNB FINANCIAL CORPORATION DNB FINANCIAL CORPORATION DUKE FINANCIAL GROUP, INC. DUKE FINANCIAL GROUP, INC. DUKE FINANCIAL GROUP, INC. DUKE FINANCIAL GROUP, INC. EAGLE BANCORP, INC. EAGLE BANCORP, INC. EAGLE BANCORP, INC. EAGLE BANCORP, INC. EAST WEST BANCORP, INC. EAST WEST BANCORP, INC. City HARRISON HARRISON HARRISON UNION CITY UNION CITY COLUMBIA COLUMBIA COLUMBIA COLUMBIA BRANDON BRANDON BRANDON BRANDON BUCYRUS BUCYRUS BUCYRUS BUCYRUS BUCYRUS MIDDLETOWN MIDDLETOWN MIDDLETOWN HAM LAKE HAM LAKE HAM LAKE RUSTON RUSTON GOLETA GOLETA GOLETA GOLETA GOLETA ASHEBORO ASHEBORO CAYCE CAYCE CAYCE CAYCE CORNING CORNING CORNING CORNING MILFORD MILFORD MILFORD MILFORD CLARKSDALE CLARKSDALE BUFFALO BUFFALO RALEIGH RALEIGH RALEIGH BLAINE BLAINE BLAINE BLAINE WRENS ONTARIO ONTARIO ONTARIO ONTARIO BURLEY BURLEY DEERFIELD DEERFIELD DELMAR DELMAR DELMAR DELMAR HORN LAKE HORN LAKE HORN LAKE HORN LAKE HORN LAKE WASHINGTON WASHINGTON WASHINGTON WASHINGTON WASHINGTON KANSAS CITY KANSAS CITY KANSAS CITY KANSAS CITY RIVERWOODS RIVERWOODS RIVERWOODS DOWNINGTOWN DOWNINGTOWN DOWNINGTOWN MINNEAPOLIS MINNEAPOLIS MINNEAPOLIS MINNEAPOLIS BETHESDA BETHESDA BETHESDA BETHESDA PASADENA PASADENA State AR AR AR TN TN TN TN TN TN MS MS MS MS OH OH OH OH OH NJ NJ NJ MN MN MN LA LA CA CA CA CA CA NC NC SC SC SC SC AR AR AR AR NE NE NE NE MS MS WY WY NC NC NC MN MN MN MN GA CA CA CA CA ID ID WI WI MD MD MD MD MS MS MS MS MS MO MO MO MO MO MO MO MO MO IL IL IL PA PA PA MN MN MN MN MD MD MD MD CA CA Date 7‐Feb‐14 10‐Feb‐14 19‐Mar‐14 20‐Mar‐09 18‐Aug‐11 27‐Feb‐09 11‐Apr‐14 14‐Apr‐14 18‐Jul‐14 6‐Feb‐09 30‐Nov‐12 11‐Jan‐13 26‐Mar‐13 23‐Dec‐08 19‐Dec‐12 20‐Dec‐12 11‐Jan‐13 26‐Mar‐13 30‐Jan‐09 11‐Aug‐11 26‐Oct‐11 13‐Nov‐09 12‐Aug‐13 12‐Sep‐13 9‐Jan‐09 6‐Jul‐11 19‐Dec‐08 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 12‐Jun‐13 13‐Feb‐09 23‐May‐14 9‐Jan‐09 29‐Oct‐12 31‐Oct‐12 11‐Jan‐13 13‐Feb‐09 30‐Nov‐12 11‐Jan‐13 26‐Mar‐13 30‐Jan‐09 28‐Nov‐12 29‐Nov‐12 11‐Jan‐13 5‐Jun‐09 30‐Apr‐14 20‐Feb‐09 8‐Jan‐14 9‐Jan‐09 19‐Feb‐14 11‐Jun‐14 23‐Jan‐09 19‐Jul‐13 22‐Jul‐13 12‐Sep‐13 27‐Mar‐09 5‐Dec‐08 26‐Aug‐09 2‐Sep‐09 28‐Oct‐09 27‐Feb‐09 27‐Sep‐11 15‐May‐09 8‐Sep‐11 4‐Dec‐09 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 13‐Feb‐09 29‐Dec‐09 24‐Sep‐13 25‐Sep‐13 29‐Oct‐13 22‐May‐09 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 16‐Jan‐09 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 13‐Mar‐09 21‐Apr‐10 7‐Jul‐10 30‐Jan‐09 4‐Aug‐11 21‐Sep‐11 19‐Jun‐09 27‐Nov‐13 5‐Mar‐14 2‐Apr‐14 5‐Dec‐08 23‐Dec‐09 14‐Jul‐11 23‐Nov‐11 5‐Dec‐08 29‐Dec‐10 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $3,705,037.50 $8,867,389.75 Shares Avg. Price (Realized Loss) / (Write‐off) 3,750 8,975 $988.00 $988.00 $20,000,000.00 20,000 $1,000.00 $1,322,500.50 $4,028,202.50 4,401 13,405 $300.50 $300.50 ($3,078,499.50) ($9,376,797.50) 105 $9,550.00 1,003 1,597 $950.00 $950.00 $9,000,000.00 9,000 $1,000.00 $4,400,000.00 4,400,000 $1.11 $24,000,000.00 24,000 $1,000.00 $2,172,000.00 $9,122,400.00 3,000 12,600 $724.00 $724.00 ($828,000.00) ($3,477,600.00) 1,085,554 $9.35 ($41,350,070.10) 29 3,256 $825.30 $825.30 638 Gain5 Warrant Proceeds Amount ($44,962.50) ($107,610.25) Shares $85,157.88 $544,614.34 86 550 $1,000,000.00 1,000 $72,314.55 $387,399.37 140 750 ($47,250.00) $25,000.00 5 ($50,150.00) ($79,850.00) $105,000.00 130 $460,000.00 311,972 $177,716.96 132,000 $1,200,000.00 1,200 $698,351.00 521,158 ($5,067.46) ($568,953.44) $106,364.00 164 $860.00 ($89,320.00) $3,960.00 32 777 6,748 $917.90 $917.90 ($63,791.70) ($554,010.80) $372,240.00 376 $5,000,000.00 5,000 $1,000.00 $250,000.00 250 $1,000,000.00 1,000 $1,000.00 $24,900,000.00 24,900 $1,000.00 $1,681,000.00 833,705 $343,794.50 $10,117,381.00 350 10,300 $982.30 $982.30 $531,210.67 533 $97,500,000.00 $32,500,000.00 97,500 32,500 $1,000.00 $1,000.00 $1,307,000.00 834,761 $19,891,000.00 19,891 $1,000.00 $995,000.00 995 $2,639,000.00 2,639,000 $1.00 $132,000.00 132,000 8,648 352 $612.10 $612.10 ($3,354,472.72) ($136,537.28) $311,943.55 450 366 2,315 $823.03 $816.45 ($64,571.42) ($419,532.41) $40,563.34 59 6,000,000 13,965,000 480,000 $0.73 $0.73 $0.73 ($1,618,500.00) ($3,767,058.75) ($129,480.00) $688,041.09 $91,535.40 902,000 120,000 14,523 131,530 $552.60 $552.60 ($6,497,444.97) ($58,845,206.70) $3,372.19 $4,922,044.87 5 7,298 $1,224,558,000.00 1,224,558 $1,000.00 $172,000,000.00 20,500,413 $11,750,000.00 11,750 $1,000.00 $458,000.00 186,311 $5,000,000.00 $2,000,000.00 $5,000,000.00 5,000,000 2,000,000 5,000,000 $1.00 $1.00 $1.00 $600,000.00 600,000 $15,000,000.00 $23,235,000.00 15,000 23,235 $1,000.00 $1,000.00 $2,794,422.00 770,868 $306,546,000.00 306,546 $1,000.00 ($125,724.27) Preferred Stock w/ Exercised Warrants $20,000,000.00 $0.00 $23,628,111.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $17,806,000.00 $0.00 $7,665,362.89 Sold, in full; warrants not outstanding ($53,507.03) Preferred Stock w/ Exercised Warrants $1,050,000.00 $0.00 $1,220,300.65 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,600,000.00 $0.00 $3,115,616.28 Sold, in full; warrants not outstanding $1,002,750.00 ($10,027.50) ($14,972.50) $952,850.00 $1,517,150.00 ($24,700.00) ($300.00) Preferred Stock w/ Warrants $9,000,000.00 $0.00 $10,598,750.00 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $4,400,000.00 $0.00 $5,462,045.14 Sold, in full; warrants not outstanding $484,924.00 ($48,849.24) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $24,000,000.00 $15,600,000.00 $0.00 $0.00 $28,459,100.00 $14,341,140.33 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($112,944.00) Preferred Stock w/ Warrants $51,500,000.00 $0.00 $12,739,234.90 Sold, in full; warrants outstanding $10,149,929.90 Preferred Stock w/ Exercised Warrants $3,285,000.00 $0.00 $3,483,629.20 Sold, in full; warrants not outstanding $23,932.54 $2,687,046.56 ($25,000.00) Preferred Stock w/ Exercised Warrants $638,000.00 $0.00 $659,705.04 Sold, in full; warrants not outstanding $548,680.00 ($5,486.80) ($19,513.20) Preferred Stock w/ Exercised Warrants $7,525,000.00 $0.00 $8,781,205.02 Sold, in full; warrants not outstanding $713,208.30 $6,193,989.20 ($69,071.98) Preferred Stock w/ Exercised Warrants $5,000,000.00 $0.00 $6,594,635.27 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,100,000.00 $2,100,000.00 $1,917,739.58 Redeemed, in part; warrants outstanding Preferred Stock w/ Warrants $24,900,000.00 $0.00 $33,014,741.20 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,650,000.00 $0.00 $13,498,324.83 Sold, in full; warrants not outstanding ($6,205.50) ($182,619.00) ($104,611.76) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $2,400,000.00 $130,000,000.00 $19,891,000.00 $2,400,000.00 $0.00 $0.00 $180,940.00 $136,046,583.33 $23,686,592.33 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $2,639,000.00 $0.00 $3,283,338.96 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $9,000,000.00 $0.00 $6,598,331.15 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,173,000.00 $1,508,000.00 $0.00 $2,781,331.97 Sold, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $20,445,000.00 $0.00 $21,101,618.19 Sold, in full; warrants not outstanding $5,293,527.28 $215,462.72 ($55,089.90) $301,428.58 $1,895,467.59 ($33,333.34) $4,381,500.00 $10,197,941.25 $350,520.00 ($149,299.61) Preferred Stock w/ Exercised Warrants $146,053,000.00 $0.00 $87,459,858.69 Sold, in full; warrants not outstanding $8,025,555.03 $72,684,793.30 ($807,103.48) Preferred Stock w/ Warrants $1,224,558,000.00 $0.00 $1,464,248,844.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $11,750,000.00 $0.00 $13,683,277.61 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $12,000,000.00 $38,235,000.00 $306,546,000.00 $0.00 $0.00 $0.00 $17,424,285.82 $44,847,153.76 $352,722,420.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants outstanding Redeemed, in full; warrants not outstanding 30 FootNote 89 44 45 11 8,44,14 8,44,72 8,14 8,14,18 8,14 15,14 8,14 11 8 8,14 11,8 15,14 45,8,14 15,17 8,14 45,8,14 8,14 15,11,14 77 8,17 8,14 11 Institution Name EAST WEST BANCORP, INC. EASTERN VIRGINIA BANKSHARES, INC. EASTERN VIRGINIA BANKSHARES, INC. EASTERN VIRGINIA BANKSHARES, INC. EASTERN VIRGINIA BANKSHARES, INC. ECB BANCORP, INC. / CRESCENT FINANCIAL BANCSHARES, INC. / VantageSouth Bancshares, Inc. ECB BANCORP, INC. / CRESCENT FINANCIAL BANCSHARES, INC. / VantageSouth Bancshares, Inc. ECB BANCORP, INC. / CRESCENT FINANCIAL BANCSHARES, INC. / VantageSouth Bancshares, Inc. EMCLAIRE FINANCIAL CORP. EMCLAIRE FINANCIAL CORP. EMCLAIRE FINANCIAL CORP. ENCORE BANCSHARES INC. ENCORE BANCSHARES INC. ENCORE BANCSHARES INC. ENTERPRISE FINANCIAL SERVICES CORP. ENTERPRISE FINANCIAL SERVICES CORP. ENTERPRISE FINANCIAL SERVICES CORP. ENTERPRISE FINANCIAL SERVICES GROUP, INC. ENTERPRISE FINANCIAL SERVICES GROUP, INC. EQUITY BANCSHARES, INC. EQUITY BANCSHARES, INC. EXCHANGE BANK EXCHANGE BANK EXCHANGE BANK EXCHANGE BANK EXCHANGE BANK EXCHANGE BANK EXCHANGE BANK F & M BANCSHARES, INC. F & M BANCSHARES, INC. F & M BANCSHARES, INC. F & M BANCSHARES, INC. F & M BANCSHARES, INC. F & M BANCSHARES, INC. F & M FINANCIAL CORPORATION (NC) F & M FINANCIAL CORPORATION (NC) F & M FINANCIAL CORPORATION (NC) F & M FINANCIAL CORPORATION (NC) F & M FINANCIAL CORPORATION (NC) F&C BANCORP. INC. F&C BANCORP. INC. F&C BANCORP. INC. F&C BANCORP. INC. F&M FINANCIAL CORPORATION (TN) F&M FINANCIAL CORPORATION (TN) F&M FINANCIAL CORPORATION (TN) F&M FINANCIAL CORPORATION (TN) F&M FINANCIAL CORPORATION (TN) F.N.B. CORPORATION F.N.B. CORPORATION F.N.B. CORPORATION FARMERS & MERCHANTS BANCSHARES, INC. FARMERS & MERCHANTS FINANCIAL CORPORATION FARMERS & MERCHANTS FINANCIAL CORPORATION FARMERS & MERCHANTS FINANCIAL CORPORATION FARMERS BANK, WINDSOR, VIRGINIA FARMERS BANK, WINDSOR, VIRGINIA FARMERS BANK, WINDSOR, VIRGINIA FARMERS CAPITAL BANK CORPORATION FARMERS CAPITAL BANK CORPORATION FARMERS CAPITAL BANK CORPORATION FARMERS ENTERPRISES, INC. FARMERS ENTERPRISES, INC. FARMERS ENTERPRISES, INC. FARMERS ENTERPRISES, INC. FARMERS ENTERPRISES, INC. FARMERS STATE BANKSHARES, INC. FARMERS STATE BANKSHARES, INC. FBHC HOLDING COMPANY FBHC HOLDING COMPANY FC HOLDINGS, INC. FC HOLDINGS, INC. FC HOLDINGS, INC. FCB BANCORP, INC. FCB BANCORP, INC. FFW CORPORATION FFW CORPORATION FFW CORPORATION FFW CORPORATION FIDELITY BANCORP, INC. (LA) FIDELITY BANCORP, INC. (LA) FIDELITY BANCORP, INC. (PA) / WESBANCO, INC. FIDELITY BANCORP, INC. (PA) / WESBANCO, INC. FIDELITY FEDERAL BANCORP FIDELITY FEDERAL BANCORP FIDELITY FEDERAL BANCORP FIDELITY FEDERAL BANCORP FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY FINANCIAL CORPORATION FIDELITY SOUTHERN CORPORATION FIDELITY SOUTHERN CORPORATION FIFTH THIRD BANCORP City PASADENA TAPPAHANNOCK TAPPAHANNOCK TAPPAHANNOCK TAPPAHANNOCK ENGELHARD ENGELHARD ENGELHARD EMLENTON EMLENTON EMLENTON HOUSTON HOUSTON HOUSTON ST. LOUIS ST. LOUIS ST. LOUIS ALLISON PARK ALLISON PARK WICHITA WICHITA SANTA ROSA SANTA ROSA SANTA ROSA SANTA ROSA SANTA ROSA SANTA ROSA SANTA ROSA TREZEVANT TREZEVANT TREZEVANT TREZEVANT TREZEVANT TREZEVANT SALISBURY SALISBURY SALISBURY SALISBURY SALISBURY HOLDEN HOLDEN HOLDEN HOLDEN CLARKSVILLE CLARKSVILLE CLARKSVILLE CLARKSVILLE CLARKSVILLE HERMITAGE HERMITAGE HERMITAGE HOUSTON ARGONIA ARGONIA ARGONIA WINDSOR WINDSOR WINDSOR FRANKFORT FRANKFORT FRANKFORT GREAT BEND GREAT BEND GREAT BEND GREAT BEND GREAT BEND HOLTON HOLTON BOULDER BOULDER HOUSTON HOUSTON HOUSTON LOUISVILLE LOUISVILLE WABASH WABASH WABASH WABASH BATON ROUGE BATON ROUGE PITTSBURGH PITTSBURGH EVANSVILLE EVANSVILLE EVANSVILLE EVANSVILLE WICHITA WICHITA WICHITA WICHITA WICHITA WICHITA WICHITA WICHITA WICHITA ATLANTA ATLANTA CINCINNATI State CA VA VA VA VA NC NC NC PA PA PA TX TX TX MO MO MO PA PA KS KS CA CA CA CA CA CA CA TN TN TN TN TN TN NC NC NC NC NC MO MO MO MO TN TN TN TN TN PA PA PA TX KS KS KS VA VA VA KY KY KY KS KS KS KS KS KS KS CO CO TX TX TX KY KY IN IN IN IN LA LA PA PA IN IN IN IN KS KS KS KS KS KS KS KS KS GA GA OH Date 26‐Jan‐11 9‐Jan‐09 18‐Oct‐13 21‐Oct‐13 6‐Jan‐14 16‐Jan‐09 19‐Feb‐14 11‐Jun‐14 23‐Dec‐08 18‐Aug‐11 7‐Dec‐11 5‐Dec‐08 27‐Sep‐11 23‐Nov‐11 19‐Dec‐08 7‐Nov‐12 9‐Jan‐13 12‐Jun‐09 25‐Aug‐11 30‐Jan‐09 11‐Aug‐11 19‐Dec‐08 3‐Aug‐12 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 13‐Aug‐12 11‐Sep‐12 30‐Jan‐09 6‐Nov‐09 6‐Feb‐13 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 6‐Feb‐09 18‐Sep‐12 19‐Sep‐12 20‐Sep‐12 16‐Nov‐12 22‐May‐09 8‐Nov‐12 13‐Nov‐12 11‐Jan‐13 13‐Feb‐09 19‐Sep‐12 20‐Sep‐12 21‐Sep‐12 16‐Nov‐12 9‐Jan‐09 9‐Sep‐09 23‐Nov‐11 6‐Mar‐09 20‐Mar‐09 24‐Jun‐13 26‐Jul‐13 23‐Jan‐09 9‐Jan‐13 31‐Dec‐13 9‐Jan‐09 19‐Jun‐12 18‐Jul‐12 19‐Jun‐09 8‐Nov‐12 9‐Nov‐12 13‐Nov‐12 11‐Jan‐13 20‐Mar‐09 21‐Jul‐11 29‐Dec‐09 9‐Mar‐11 26‐Jun‐09 20‐Feb‐13 26‐Mar‐13 19‐Dec‐08 22‐Sep‐11 19‐Dec‐08 28‐Nov‐12 30‐Nov‐12 11‐Jan‐13 29‐May‐09 27‐Mar‐13 12‐Dec‐08 30‐Nov‐12 13‐Nov‐09 19‐Jul‐13 22‐Jul‐13 12‐Sep‐13 19‐Dec‐08 1‐Aug‐12 2‐Aug‐12 3‐Aug‐12 7‐Aug‐12 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 19‐Dec‐08 3‐Jul‐12 31‐Dec‐08 Original Investment Type 1 Preferred Stock w/ Warrants Original Investment Amount $24,000,000.00 Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $0.00 $28,453,653.60 (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $14,500,000.00 1,517,555 $871,000.00 514,693 Sold, in full; warrants outstanding $3,900,000.00 $20,100,000.00 3,900 20,100 $1,104.10 $1,104.10 $17,949,000.00 17,949 $1,000.00 $7,500,000.00 7,500 $1,000.00 $34,000,000.00 34,000 $1,000.00 $406,029.00 $2,092,611.00 ($264,986.40) Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $17,949,000.00 $7,500,000.00 $34,000,000.00 $0.00 $0.00 $0.00 $23,397,494.08 $8,545,904.67 $39,415,959.89 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $51,113.00 50,111 $637,071.00 728,052 $1,006,100.00 324,074 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $35,000,000.00 $0.00 $42,801,933.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $4,680,205.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $8,750,000.00 $0.00 $10,394,872.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $43,000,000.00 $0.00 $47,294,527.29 Sold, in full; warrants not outstanding $35,000,000.00 35,000 $1,000.00 $4,000,000.00 4,000 $1,000.00 $200,000.00 200 $8,750,000.00 8,750 $1,000.00 $438,000.00 438 $481,387.50 $17,505,000.00 $8,725,367.25 $420,995.25 $10,503,000.00 550 20,000 9,969 481 12,000 $875.20 $875.20 $875.20 $875.20 $875.20 ($68,612.50) ($2,495,000.00) ($1,243,632.75) ($60,004.75) ($1,497,000.00) $1,910,898.00 $120,386.57 $22,930.78 2,000 126 24 5,090 2,901 153 $942.50 $942.50 $942.50 ($292,675.00) ($166,807.50) ($8,797.50) $222,007.50 230 $136,813.05 150 2,805 14,195 $950.00 $950.00 ($140,250.00) ($709,750.00) $638,460.90 700 1,659,000 1,334,000 $0.96 $0.96 ($68,400.57) ($55,000.82) $125,000.00 150,000 $96,465.60 112 200 17,043 $787.50 $787.50 ($42,500.00) ($3,621,637.50) $645,975.00 750 100,000 $1,000.00 $690,100.00 651,042 ($376,357.50) Preferred Stock w/ Exercised Warrants $4,609,000.00 $3,535,000.00 $0.00 $9,405,391.28 Sold, in full; warrants not outstanding $4,797,325.00 $2,734,192.50 $144,202.50 ($76,757.21) Preferred Stock w/ Exercised Warrants $17,000,000.00 $0.00 $20,119,744.45 Sold, in full; warrants not outstanding $2,664,750.00 $13,485,250.00 ($161,500.00) Subordinated Debentures w/ Exercised Warrants $2,993,000.00 $0.00 $3,842,376.65 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $17,243,000.00 $0.00 $17,573,762.97 Sold, in full; warrants not outstanding $1,590,599.43 $1,278,999.18 ($25,000.00) $157,500.00 $13,421,362.50 ($135,788.63) Preferred Stock w/ Warrants $100,000,000.00 $0.00 $104,023,433.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $11,000,000.00 $442,000.00 $11,000,000.00 $0.00 $2,662,780.00 $500,199.14 Full investment outstanding; warrants outstanding Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $8,752,000.00 $0.00 $11,396,202.11 Redeemed, in full; warrants not outstanding $100,000,000.00 $425,425.00 442 $962.50 3,063 5,689 $1,000.00 $1,000.00 30,000 $739.90 ($16,575.00) ($2,835.00) 22 ($25,000.00) $3,063,000.00 $5,689,000.00 Preferred Stock w/ Warrants $30,000,000.00 $0.00 $27,105,349.50 $22,196,700.00 Subordinated Debentures w/ Exercised Warrants $12,000,000.00 $0.00 $15,452,669.34 $438,000.00 438 $75,000.00 223,992 $37,387.14 $552,936.00 38,000 562,000 $40,000.00 4 Sold, in full; warrants not outstanding ($332,950.50) ($7,803,300.00) Sold, in full; warrants not outstanding $96,290.00 100,000 $0.96 ($3,710.00) 11,900,000 $0.96 ($441,490.00) $700,000.00 700 $1,000.00 $650,000.00 3,035,000 $0.21 ($2,385,000.00) ($2,167,326.00) $11,458,510.00 ($115,548.00) Preferred Stock w/ Exercised Warrants $700,000.00 $0.00 $830,173.67 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $3,035,000.00 $0.00 $804,592.16 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $21,042,000.00 $0.00 $19,836,630.66 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $9,294,000.00 $0.00 $11,156,234.25 Redeemed, in full; warrants not outstanding $18,874,674.00 21,042 $897.00 $9,294,000.00 9,294 $1,000.00 $879,424.60 $5,701,813.50 974 6,315 $902.90 $902.90 $994,613.40 1,052 $465,000.00 465 $358,558.20 364 $197,000.00 197,000 $242,302.50 200 $170,227.93 $167,374.94 $1,210,615.36 $176,884.89 179 176 1,273 186 ($188,746.74) Preferred Stock w/ Exercised Warrants $7,289,000.00 $0.00 $8,441,836.26 Sold, in full; warrants not outstanding ($94,575.40) ($613,186.50) ($65,812.38) Subordinated Debentures w/ Exercised Warrants $3,942,000.00 $0.00 $5,404,924.35 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $7,000,000.00 $0.00 $8,388,333.33 Redeemed, in full; warrants outstanding Preferred Stock w/ Exercised Warrants $6,657,000.00 $0.00 $7,220,908.83 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $36,282,000.00 $0.00 $40,966,780.82 Sold, in full; warrants not outstanding $3,942,000.00 3,942,000 $1.00 $7,000,000.00 7,000 $1,000.00 439 6,218 $1,058.90 $1,058.90 135 30 335 3,591 2,635 29,236 320 $891.30 $891.30 $891.30 $891.30 $891.30 $891.30 $891.30 ($14,679.90) ($3,262.20) ($36,427.90) ($390,485.34) ($286,529.90) ($3,179,122.64) ($34,796.80) 48,200 $900.60 ($4,791,080.00) $439,000.00 $6,218,000.00 $25,857.10 $366,240.20 ($70,490.97) $120,320.10 $26,737.80 $298,572.10 $3,200,514.66 $2,348,470.10 $26,056,877.36 $285,203.20 ($323,366.95) Preferred Stock w/ Warrants $48,200,000.00 $0.00 $51,286,669.09 Sold, in full; warrants outstanding $43,408,920.00 Preferred Stock w/ Warrants $3,408,000,000.00 $0.00 $4,043,972,602.67 ($651,133.80) Redeemed, in full; warrants not outstanding 31 FootNote 11 45,8,14 15,17,44 8,14 8,14 15,11,14 11,9,36 45 34 8,11,14 45,8,14 45,8,14 8 45 8,14,18 45 8,11,14,18,36 44,8,14 12 8,72 8 15,36,11 11,8,14 12,16 15,17,44 Institution Name FIFTH THIRD BANCORP FIFTH THIRD BANCORP FINANCIAL INSTITUTIONS, INC. FINANCIAL INSTITUTIONS, INC. FINANCIAL INSTITUTIONS, INC. FINANCIAL INSTITUTIONS, INC. FINANCIAL SECURITY CORPORATION FINANCIAL SECURITY CORPORATION FINANCIAL SERVICES OF WINGER, INC. FINANCIAL SERVICES OF WINGER, INC. FIRST ADVANTAGE BANCSHARES, INC. FIRST ADVANTAGE BANCSHARES, INC. FIRST ADVANTAGE BANCSHARES, INC. FIRST ADVANTAGE BANCSHARES, INC. FIRST ADVANTAGE BANCSHARES, INC. FIRST ALLIANCE BANCSHARES, INC. FIRST ALLIANCE BANCSHARES, INC. FIRST ALLIANCE BANCSHARES, INC. FIRST ALLIANCE BANCSHARES, INC. FIRST AMERICAN BANK CORPORATION FIRST AMERICAN BANK CORPORATION FIRST AMERICAN BANK CORPORATION FIRST AMERICAN INTERNATIONAL CORP. FIRST AMERICAN INTERNATIONAL CORP. FIRST BANCORP (NC) FIRST BANCORP (NC) FIRST BANCORP (NC) FIRST BANCORP (PR) FIRST BANCORP (PR) FIRST BANCORP (PR) FIRST BANCTRUST CORPORATION FIRST BANCTRUST CORPORATION FIRST BANCTRUST CORPORATION FIRST BANK OF CHARLESTON, INC. FIRST BANK OF CHARLESTON, INC. FIRST BANKERS TRUSTSHARES, INC. FIRST BANKERS TRUSTSHARES, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BANKS, INC. FIRST BUSEY CORPORATION FIRST BUSEY CORPORATION FIRST BUSEY CORPORATION FIRST BUSINESS BANK, NATIONAL ASSOCIATION / BANK OF SOUTHERN CALIFORNIA, N.A. FIRST BUSINESS BANK, NATIONAL ASSOCIATION / BANK OF SOUTHERN CALIFORNIA, N.A. FIRST BUSINESS BANK, NATIONAL ASSOCIATION / BANK OF SOUTHERN CALIFORNIA, N.A. FIRST BUSINESS BANK, NATIONAL ASSOCIATION / BANK OF SOUTHERN CALIFORNIA, N.A. FIRST BUSINESS BANK, NATIONAL ASSOCIATION / BANK OF SOUTHERN CALIFORNIA, N.A. FIRST CALIFORNIA FINANCIAL GROUP, INC. FIRST CALIFORNIA FINANCIAL GROUP, INC. FIRST CALIFORNIA FINANCIAL GROUP, INC. FIRST CAPITAL BANCORP, INC. FIRST CAPITAL BANCORP, INC. FIRST CAPITAL BANCORP, INC. FIRST CHOICE BANK FIRST CHOICE BANK FIRST CHOICE BANK FIRST CITIZENS BANC CORP FIRST CITIZENS BANC CORP FIRST CITIZENS BANC CORP FIRST COLEBROOK BANCORP, INC. FIRST COLEBROOK BANCORP, INC. FIRST COMMUNITY BANCSHARES INC. FIRST COMMUNITY BANCSHARES INC. FIRST COMMUNITY BANCSHARES INC. FIRST COMMUNITY BANCSHARES, INC. / EQUITY BANCSHARES, INC. FIRST COMMUNITY BANCSHARES, INC. / EQUITY BANCSHARES, INC. FIRST COMMUNITY BANK CORPORATION OF AMERICA FIRST COMMUNITY BANK CORPORATION OF AMERICA FIRST COMMUNITY CORPORATION FIRST COMMUNITY CORPORATION FIRST COMMUNITY CORPORATION FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST COMMUNITY FINANCIAL PARTNERS, INC. FIRST DEFIANCE FINANCIAL CORP. FIRST DEFIANCE FINANCIAL CORP. FIRST EAGLE BANCSHARES, INC. FIRST EAGLE BANCSHARES, INC. FIRST EXPRESS OF NEBRASKA, INC. FIRST EXPRESS OF NEBRASKA, INC. FIRST FEDERAL BANCSHARES OF ARKANSAS, INC. FIRST FEDERAL BANCSHARES OF ARKANSAS, INC. FIRST FINANCIAL BANCORP FIRST FINANCIAL BANCORP FIRST FINANCIAL BANCORP FIRST FINANCIAL BANCSHARES, INC. FIRST FINANCIAL BANCSHARES, INC. FIRST FINANCIAL HOLDINGS INC. City CINCINNATI CINCINNATI WARSAW WARSAW WARSAW WARSAW BASIN BASIN WINGER WINGER COON RAPIDS COON RAPIDS COON RAPIDS COON RAPIDS COON RAPIDS CORDOVA CORDOVA CORDOVA CORDOVA ELK GROVE VILLAGE ELK GROVE VILLAGE ELK GROVE VILLAGE BROOKLYN BROOKLYN TROY TROY TROY SAN JUAN SAN JUAN SAN JUAN PARIS PARIS PARIS CHARLESTON CHARLESTON QUINCY QUINCY CLAYTON CLAYTON CLAYTON CLAYTON CLAYTON CLAYTON CLAYTON CLAYTON URBANA URBANA URBANA SAN DIEGO SAN DIEGO SAN DIEGO SAN DIEGO SAN DIEGO WESTLAKE VILLAGE WESTLAKE VILLAGE WESTLAKE VILLAGE GLEN ALLEN GLEN ALLEN GLEN ALLEN CERRITOS CERRITOS CERRITOS SANDUSKY SANDUSKY SANDUSKY COLEBROOK COLEBROOK BLUEFIELD BLUEFIELD BLUEFIELD WICHITA WICHITA PINELLAS PARK PINELLAS PARK LEXINGTON LEXINGTON LEXINGTON JOLIET JOLIET JOLIET JOLIET JOLIET JOLIET JOLIET JOLIET DEFIANCE DEFIANCE HANOVER PARK HANOVER PARK GERING GERING HARRISON HARRISON CINCINNATI CINCINNATI CINCINNATI LAWRENCE LAWRENCE CHARLESTON State OH OH NY NY NY NY WY WY MN MN MN MN MN MN MN TN TN TN TN IL IL IL NY NY NC NC NC PR PR PR IL IL IL WV WV IL IL MO MO MO MO MO MO MO MO IL IL IL CA CA CA CA CA CA CA CA VA VA VA CA CA CA OH OH OH NH NH VA VA VA KS KS FL FL SC SC SC IL IL IL IL IL IL IL IL OH OH IL IL NE NE AR AR OH OH OH KS KS SC Date 2‐Feb‐11 16‐Mar‐11 23‐Dec‐08 23‐Feb‐11 30‐Mar‐11 11‐May‐11 13‐Feb‐09 21‐Jul‐11 31‐Jul‐09 1‐Sep‐11 22‐May‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 26‐Mar‐13 26‐Jun‐09 20‐Dec‐12 11‐Jan‐13 26‐Mar‐13 24‐Jul‐09 21‐Dec‐11 11‐Dec‐12 13‐Mar‐09 13‐Aug‐10 9‐Jan‐09 1‐Sep‐11 23‐Nov‐11 16‐Jan‐09 16‐Aug‐13 13‐Sep‐13 20‐Feb‐09 18‐Jan‐12 24‐Oct‐12 6‐Feb‐09 21‐Jul‐11 16‐Jan‐09 8‐Sep‐11 31‐Dec‐08 8‐Aug‐13 9‐Aug‐13 12‐Aug‐13 12‐Sep‐13 24‐Sep‐13 25‐Sep‐13 29‐Oct‐13 6‐Mar‐09 25‐Aug‐11 23‐Nov‐11 10‐Apr‐09 11‐Dec‐09 19‐Dec‐12 20‐Dec‐12 11‐Jan‐13 19‐Dec‐08 14‐Jul‐11 24‐Aug‐11 3‐Apr‐09 19‐Jun‐12 6‐Feb‐13 13‐Feb‐09 22‐Dec‐09 24‐Sep‐10 23‐Jan‐09 3‐Jul‐12 5‐Sep‐12 20‐Mar‐09 22‐Sep‐11 21‐Nov‐08 8‐Jul‐09 22‐Nov‐11 15‐May‐09 16‐Jul‐14 23‐Dec‐08 31‐May‐11 21‐Nov‐08 29‐Aug‐12 1‐Nov‐12 11‐Dec‐09 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 19‐Sep‐12 20‐Sep‐12 21‐Sep‐12 16‐Nov‐12 5‐Dec‐08 19‐Jun‐12 11‐Sep‐09 17‐Sep‐10 6‐Feb‐09 15‐Feb‐12 6‐Mar‐09 3‐May‐11 23‐Dec‐08 24‐Feb‐10 8‐Jun‐10 12‐Jun‐09 22‐Sep‐11 5‐Dec‐08 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $3,408,000,000.00 Preferred Stock w/ Warrants $37,515,000.00 $0.00 $43,787,611.61 Preferred Stock w/ Exercised Warrants $5,000,000.00 $0.00 $5,914,597.33 Redeemed, in full; warrants not outstanding $3,742,000.00 $0.00 $4,487,322.46 Redeemed, in full; warrants not outstanding $1,177,000.00 $0.00 $1,289,436.37 Avg. Price 136,320 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $25,000.00 $280,025,936.00 43,617,747 $2,079,962.50 378,175 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Shares $12,505,000.00 $25,010,000.00 2,501 5,002 $5,000.00 $5,000.00 $5,000,000.00 5,000 $1,000.00 $250,000.00 250 $3,742,000.00 3,742,000 $1.00 $112,000.00 112,000 769 408 $898.20 $898.20 ($78,276.51) ($41,530.32) $2,979.49 $26,318.80 6 53 3,422 $700.10 ($1,026,257.80) $94,701.71 171 $15,000,000.00 $35,000,000.00 15,000,000 35,000,000 $1.00 $1.00 $2,500,000.00 2,500,000 $17,000,000.00 17,000 $1,000.00 $65,000,000.00 65,000 $1,000.00 $924,462.00 616,308 $81,000,000.00 $8,514,153.00 12,000,000 1,261,356 $6.75 $6.75 $3,675,000.00 $3,675,000.00 3,675 3,675 $1,000.00 $1,000.00 $368,000.00 368 $3,345,000.00 3,345 $1,000.00 $167,000.00 167 $10,000,000.00 10,000 $1,000.00 $500,000.00 500 $105,000.00 $12,171,950.00 $87,028,900.00 300 34,777 248,654 $350.00 $350.00 $350.00 ($195,000.00) ($22,605,050.00) ($161,625,100.00) $2,430,181.71 $5,919,151.59 4,299 10,471 5,819 5,850 $551.60 $551.60 ($2,609,297.79) ($2,623,198.50) 100,000 $1,000.00 $63,677.00 573,833 $90,461.65 111 $599,042.00 599,042 $266,041.78 417,648 Sold, in full; warrants not outstanding $690,723.49 $366,469.68 ($10,571.93) ($14,428.07) Preferred Stock w/ Exercised Warrants $3,422,000.00 $0.00 $3,003,674.75 Sold, in full; warrants not outstanding $2,395,742.20 ($23,957.42) ($1,042.58) Subordinated Debentures w/ Exercised Warrants $50,000,000.00 $0.00 $65,558,530.56 Redeemed, in full; warrants not outstanding Preferred Stock $17,000,000.00 $0.00 $18,204,166.78 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $65,000,000.00 $0.00 $74,518,906.44 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $400,000,000.00 $238,972,281.88 $122,513,539.32 Sold, in part; warrants outstanding Preferred Stock w/ Exercised Warrants $7,350,000.00 $0.00 $9,050,516.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,345,000.00 $0.00 $3,960,105.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $10,000,000.00 $295,400,000.00 $0.00 $0.00 $11,941,222.22 $119,071,500.97 ($64,711,540.92) ($6,802,024.20) Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($993,058.50) $3,209,702.21 $3,226,801.50 ($64,365.04) Preferred Stock w/ Warrants $100,000,000.00 $0.00 $112,410,898.89 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $2,211,000.00 $2,032,000.00 $0.00 $4,693,275.61 Sold, in full; warrants not outstanding $100,000,000.00 $1,373,084.00 $2,510,399.84 1,500 2,743 $916.70 $915.60 25,000 $1,000.00 10,958 $920.10 ($126,916.00) ($232,600.16) ($33,333.33) Preferred Stock w/ Warrants $25,000,000.00 $0.00 $28,810,847.55 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,958,000.00 $0.00 $11,956,712.44 Sold, in full; warrants not outstanding $25,000,000.00 $10,082,565.38 Preferred Stock w/ Exercised Warrants $2,200,000.00 $2,836,000.00 $0.00 $5,446,642.94 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $23,184,000.00 $0.00 $25,245,684.71 Sold, in full; warrants not outstanding ($151,238.48) $5,036,000.00 $21,004,704.00 Preferred Stock w/ Exercised Warrants $4,500,000.00 $0.00 $5,339,487.75 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $41,500,000.00 $0.00 $42,839,002.78 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $14,800,000.00 $0.00 $19,957,763.30 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,685,000.00 $0.00 $8,499,249.92 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $11,350,000.00 $0.00 $13,425,979.36 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $22,000,000.00 $0.00 $18,252,479.06 Sold, in full; warrants not outstanding ($315,070.56) 5,036 $1,000.00 23,184 $906.00 $4,500,000.00 4,500 $1,000.00 $41,500,000.00 41,500 $1,000.00 ($875,434.62) $14,800,000.00 14,800 $1,000.00 $7,754,267.48 10,685 $725.70 ($2,930,732.52) 11,350 $982.80 ($194,879.50) $11,155,120.50 ($167,326.81) $326,250.00 $3,051,090.00 $10,977,660.00 $110,000.00 110 $563,174.00 469,312 ($2,179,296.00) 500 4,676 16,824 $652.50 $652.50 $652.50 ($173,750.00) ($1,624,910.00) ($5,846,340.00) ($1,381,580.00) $225,000.00 225 $30,600.00 88,273 $740,000.00 740 $297,500.00 195,915 $70,727.58 $440,082.72 $209,563.20 108 672 320 ($143,550.00) Preferred Stock w/ Warrants $37,000,000.00 $0.00 $41,631,005.92 Sold, in full; warrants outstanding Subordinated Debentures w/ Exercised Warrants $7,500,000.00 $0.00 $8,514,738.21 Redeemed, in full; warrants not outstanding $35,618,420.00 Preferred Stock w/ Exercised Warrants $5,000,000.00 $0.00 $6,074,313.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $16,500,000.00 $0.00 $6,570,625.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $80,000,000.00 $0.00 $87,644,066.10 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $3,756,000.00 $0.00 $4,563,280.34 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $65,000,000.00 $0.00 $68,141,972.19 37,000 $962.70 $7,500,000.00 ($534,276.30) 7,500,000 $1.00 $375,000.00 375,000 $5,000,000.00 5,000 $1,000.00 $250,000.00 250 $6,000,000.00 16,500 $363.60 $80,000,000.00 80,000 $1,000.00 $2,966,288.32 465,117 $3,756,000.00 3,756,000 $1.00 $113,000.00 113,000 ($10,500,000.00) Sold, in full; warrants not outstanding 32 FootNote 9,17 8,14 8,14,44 11 8,9 8 11 11,36 11,8,14 11,25 44,8,14 33,44,45 11 8,14 44,8,14 12,16 44 11 73,97 8,14,18 8,14 8,14,18,44,45 87 79 15,11,14 11,8,14 8,14 44,8,14 15,14 11,8,14 11,8,14,36 8,14,18 Institution Name FIRST FINANCIAL HOLDINGS INC. FIRST FINANCIAL HOLDINGS INC. FIRST FINANCIAL SERVICE CORPORATION FIRST FINANCIAL SERVICE CORPORATION FIRST FINANCIAL SERVICE CORPORATION FIRST FREEDOM BANCSHARES, INC. FIRST FREEDOM BANCSHARES, INC. FIRST FREEDOM BANCSHARES, INC. FIRST GOTHENBURG BANCSHARES, INC. FIRST GOTHENBURG BANCSHARES, INC. FIRST GOTHENBURG BANCSHARES, INC. FIRST GOTHENBURG BANCSHARES, INC. FIRST GUARANTY BANCSHARES, INC. FIRST GUARANTY BANCSHARES, INC. FIRST HORIZON NATIONAL CORPORATION FIRST HORIZON NATIONAL CORPORATION FIRST HORIZON NATIONAL CORPORATION FIRST INDEPENDENCE CORPORATION FIRST INDEPENDENCE CORPORATION FIRST INDEPENDENCE CORPORATION FIRST INDEPENDENCE CORPORATION FIRST INTERCONTINENTAL BANK FIRST INTERCONTINENTAL BANK FIRST INTERCONTINENTAL BANK FIRST LITCHFIELD FINANCIAL CORPORATION FIRST LITCHFIELD FINANCIAL CORPORATION FIRST M&F CORPORATION FIRST M&F CORPORATION FIRST M&F CORPORATION FIRST MANITOWOC BANCORP, INC. FIRST MANITOWOC BANCORP, INC. FIRST MARKET BANK, FSB / UNION FIRST MARKET BANKSHARES CORPORATION FIRST MARKET BANK, FSB / UNION FIRST MARKET BANKSHARES CORPORATION FIRST MENASHA BANCSHARES, INC. FIRST MENASHA BANCSHARES, INC. FIRST MERCHANTS CORPORATION FIRST MERCHANTS CORPORATION FIRST MERCHANTS CORPORATION FIRST MIDWEST BANCORP, INC. FIRST MIDWEST BANCORP, INC. FIRST MIDWEST BANCORP, INC. FIRST NATIONAL CORPORATION FIRST NATIONAL CORPORATION FIRST NBC BANK HOLDING COMPANY FIRST NBC BANK HOLDING COMPANY FIRST NIAGARA FINANCIAL GROUP FIRST NIAGARA FINANCIAL GROUP FIRST NIAGARA FINANCIAL GROUP FIRST NORTHERN COMMUNITY BANCORP FIRST NORTHERN COMMUNITY BANCORP FIRST NORTHERN COMMUNITY BANCORP FIRST PACTRUST BANCORP, INC. FIRST PACTRUST BANCORP, INC. FIRST PACTRUST BANCORP, INC. FIRST PLACE FINANCIAL CORP. FIRST PLACE FINANCIAL CORP. FIRST PRIORITY FINANCIAL CORP. FIRST PRIORITY FINANCIAL CORP. FIRST PRIORITY FINANCIAL CORP. FIRST PRIORITY FINANCIAL CORP. FIRST PRIORITY FINANCIAL CORP. FIRST RELIANCE BANCSHARES, INC. FIRST RELIANCE BANCSHARES, INC. FIRST RELIANCE BANCSHARES, INC. FIRST RESOURCE BANK FIRST RESOURCE BANK FIRST RESOURCE BANK FIRST SECURITY GROUP, INC. FIRST SECURITY GROUP, INC. FIRST SOUND BANK FIRST SOUND BANK FIRST SOUTH BANCORP, INC. FIRST SOUTH BANCORP, INC. FIRST SOUTH BANCORP, INC. FIRST SOUTHERN BANCORP, INC. FIRST SOUTHERN BANCORP, INC. FIRST SOUTHWEST BANCORPORATION, INC. FIRST SOUTHWEST BANCORPORATION, INC. FIRST SOUTHWEST BANCORPORATION, INC. FIRST SOUTHWEST BANCORPORATION, INC. FIRST SOUTHWEST BANCORPORATION, INC. FIRST TEXAS BHC, INC. FIRST TEXAS BHC, INC. FIRST TRUST CORPORATION FIRST TRUST CORPORATION FIRST TRUST CORPORATION FIRST ULB CORP. FIRST ULB CORP. FIRST UNITED CORPORATION FIRST VERNON BANCSHARES, INC. FIRST VERNON BANCSHARES, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRST WESTERN FINANCIAL, INC. FIRSTBANK CORPORATION City CHARLESTON CHARLESTON ELIZABETHTOWN ELIZABETHTOWN ELIZABETHTOWN LEBANON LEBANON LEBANON GOTHENBURG GOTHENBURG GOTHENBURG GOTHENBURG HAMMOND HAMMOND MEMPHIS MEMPHIS MEMPHIS DETROIT DETROIT DETROIT DETROIT DORAVILLE DORAVILLE DORAVILLE LITCHFIELD LITCHFIELD KOSCIUSKO KOSCIUSKO KOSCIUSKO MANITOWOC MANITOWOC RICHMOND RICHMOND NEENAH NEENAH MUNCIE MUNCIE MUNCIE ITASCA ITASCA ITASCA STRASBURG STRASBURG NEW ORLEANS NEW ORLEANS LOCKPORT LOCKPORT LOCKPORT DIXON DIXON DIXON CHULA VISTA CHULA VISTA CHULA VISTA WARREN WARREN MALVERN MALVERN MALVERN MALVERN MALVERN FLORENCE FLORENCE FLORENCE EXTON EXTON EXTON CHATTANOOGA CHATTANOOGA SEATTLE SEATTLE LEXINGTON LEXINGTON LEXINGTON BOCA RATON BOCA RATON ALAMOSA ALAMOSA ALAMOSA ALAMOSA ALAMOSA FORT WORTH FORT WORTH NEW ORLEANS NEW ORLEANS NEW ORLEANS OAKLAND OAKLAND OAKLAND VERNON VERNON DENVER DENVER DENVER DENVER DENVER DENVER DENVER ALMA State SC SC KY KY KY TN TN TN NE NE NE NE LA LA TN TN TN MI MI MI MI GA GA GA CT CT MS MS MS WI WI VA VA WI WI IN IN IN IL IL IL VA VA LA LA NY NY NY CA CA CA CA CA CA OH OH PA PA PA PA PA SC SC SC PA PA PA TN TN WA WA TN TN TN FL FL CO CO CO CO CO TX TX LA LA LA CA CA MD AL AL CO CO CO CO CO CO CO MI Date 3‐Apr‐12 22‐May‐13 9‐Jan‐09 29‐Apr‐13 31‐May‐13 22‐Dec‐09 9‐Nov‐12 11‐Jan‐13 27‐Feb‐09 29‐Oct‐12 31‐Oct‐12 11‐Jan‐13 28‐Aug‐09 22‐Sep‐11 14‐Nov‐08 22‐Dec‐10 9‐Mar‐11 28‐Aug‐09 20‐Dec‐12 11‐Jan‐13 26‐Mar‐13 13‐Mar‐09 12‐Aug‐13 12‐Sep‐13 12‐Dec‐08 7‐Apr‐10 27‐Feb‐09 29‐Sep‐10 30‐Aug‐13 16‐Jan‐09 27‐May‐09 6‐Feb‐09 7‐Dec‐11 13‐Feb‐09 15‐Sep‐11 20‐Feb‐09 22‐Sep‐11 23‐Nov‐11 5‐Dec‐08 23‐Nov‐11 21‐Dec‐11 13‐Mar‐09 29‐Aug‐12 20‐Mar‐09 4‐Aug‐11 21‐Nov‐08 27‐May‐09 24‐Jun‐09 13‐Mar‐09 15‐Sep‐11 16‐Nov‐11 21‐Nov‐08 15‐Dec‐10 5‐Jan‐11 13‐Mar‐09 29‐Oct‐12 20‐Feb‐09 18‐Dec‐09 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 6‐Mar‐09 11‐Mar‐13 9‐Apr‐13 30‐Jan‐09 11‐Dec‐09 15‐Sep‐11 9‐Jan‐09 11‐Apr‐13 23‐Dec‐08 20‐Feb‐13 17‐Jul‐09 28‐Sep‐11 28‐Nov‐12 30‐Jan‐09 16‐Jun‐10 6‐Mar‐09 26‐Mar‐13 27‐Mar‐13 28‐Mar‐13 9‐Apr‐13 6‐Mar‐09 15‐Sep‐11 5‐Jun‐09 20‐Feb‐13 26‐Mar‐13 23‐Jan‐09 22‐Apr‐09 30‐Jan‐09 12‐Jun‐09 29‐Sep‐10 6‐Feb‐09 11‐Dec‐09 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 24‐Jun‐13 26‐Jul‐13 30‐Jan‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $56,778,150.00 Preferred Stock w/ Warrants $20,000,000.00 $0.00 $12,333,778.00 (Fee) 4 ($851,672.25) Shares 65,000 Avg. Price $873.50 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($8,221,850.00) $1,400,000.00 241,696 $256,118.75 261 Sold, in full; warrants outstanding $10,842,200.00 20,000 $542.10 ($9,157,800.00) 8,700 $922.50 ($674,250.00) 29 7,541 $910.30 $910.30 ($2,601.01) ($676,352.29) $20,699,000.00 2,070 $10,000.00 $866,540,000.00 866,540 $1,000.00 $2,336,675.00 3,223 $725.00 ($886,325.00) 6,398 $507.50 ($3,150,887.04) 10,000 $1,000.00 ($108,422.00) Preferred Stock w/ Exercised Warrants $8,700,000.00 $0.00 $9,522,346.17 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,570,000.00 $0.00 $8,702,021.25 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $20,699,000.00 $0.00 $24,059,476.66 Redeemed, in full; warrants not outstanding $8,025,750.00 ($80,257.50) $26,398.99 $6,864,647.71 $362,118.92 379 $1,030,000.00 103 $79,700,000.00 14,842,321 ($68,910.46) Preferred Stock w/ Warrants $866,540,000.00 $0.00 $1,037,467,405.56 Redeemed, in full; warrants not outstanding Preferred Stock $3,223,000.00 $0.00 $2,820,256.96 Sold, in full; warrants not outstanding ($23,366.75) ($26,633.25) Preferred Stock w/ Exercised Warrants $6,398,000.00 $0.00 $4,118,886.85 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $10,000,000.00 $0.00 $12,147,768.63 Redeemed, in full; warrants not outstanding $3,247,112.96 $139,320.00 320 $1,488,046.41 199,203 $4,089,510.61 513,113 $600,000.00 600 $240,000.00 240 $367,500.00 991,453 $900,000.00 1,305,230 ($25,000.00) $10,000,000.00 Preferred Stock w/ Warrants $30,000,000.00 $0.00 $36,472,843.94 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $12,837,983.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $33,900,000.00 $0.00 $40,834,859.35 $4,797,000.00 $0.00 $5,713,865.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $116,000,000.00 $0.00 $131,383,055.11 Redeemed, in full; warrants not outstanding $193,000,000.00 $0.00 $222,528,333.33 30,000 $1,000.00 12,000 $1,000.00 $33,900,000.00 35,595 $1,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $30,000,000.00 $12,000,000.00 $4,797,000.00 4,797 $1,000.00 $116,000,000.00 116,000 $1,000.00 $193,000,000.00 193,000 $1,000.00 13,900 $882.50 $17,836,000.00 17,836 $1,000.00 $184,011,000.00 184,011 $1,000.00 $17,390,000.00 17,390 $1,000.00 $19,300,000.00 19,300 $1,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $13,900,000.00 $0.00 $15,329,326.44 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $17,836,000.00 $0.00 $21,033,989.56 Redeemed, in full; warrants not outstanding $12,266,750.00 Preferred Stock w/ Warrants $184,011,000.00 $0.00 $191,464,618.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $17,390,000.00 $0.00 $19,943,580.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $19,300,000.00 $0.00 $22,297,560.34 $1,695,000.00 ($184,001.25) ($1,633,250.00) $624,674.69 695 $892,000.00 892 $2,700,000.00 953,096 $375,000.00 352,977 $1,003,227.00 280,795 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $72,927,000.00 $0.00 $7,009,094.50 Exited bankruptcy/receivership Preferred Stock w/ Exercised Warrants $4,579,000.00 $4,596,000.00 $0.00 $9,948,069.58 Sold, in full; warrants not outstanding ($72,927,000.00) $6,682,192.50 $1,410,831.60 7,575 1,600 $882.23 $882.05 ($892,807.50) ($189,168.40) $48,083.60 $176,633.62 49 180 15,349 $679.60 ($4,917,666.11) $624,632.45 767 $5,017,000.00 5,017 $1,000.00 $130,000.00 130 $14,912,862.00 9,941,908 $1.50 ($18,087,138.00) ($3,700,000.00) ($80,930.24) Preferred Stock w/ Exercised Warrants $15,349,000.00 $0.00 $12,994,059.00 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,600,000.00 $2,417,000.00 $0.00 $5,731,793.60 Redeemed, in full; warrants not outstanding $10,431,333.89 ($104,313.34) Preferred Stock w/ Warrants $33,000,000.00 $0.00 $16,315,362.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $7,400,000.00 $0.00 $4,030,944.44 Sold, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $50,000,000.00 $0.00 $65,432,450.94 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $10,900,000.00 $5,500,000.00 $0.00 $0.00 $12,263,468.31 $5,359,772.59 $3,700,000.00 7,400 $500.00 $13,125,000.00 $36,875,000.00 13,125,000 36,875,000 $1.00 $1.00 $2,500,000.00 2,500,000 $10,900,000.00 10,900 $1,000.00 $545,000.00 545 $315,007.00 $2,835,063.00 $1,800,040.00 350 3,150 2,000 $900.00 $900.00 $900.00 $206,048.21 $45,788.48 225 50 $13,533,000.00 13,533 $1,000.00 $13,750,058.49 17,969,000 $0.77 $4,900,000.00 4,900 $6,000,000.00 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($34,993.00) ($314,937.00) ($199,960.00) ($49,501.10) Preferred Stock w/ Exercised Warrants $13,533,000.00 $0.00 $16,072,389.00 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $17,969,000.00 $0.00 $15,304,180.50 Sold, in full; warrants not outstanding $677,000.00 677 $644,726.19 898,000 $1,000.00 $245,000.00 245 6,000 $1,000.00 $245,000.00 245 7,920 80 $775.00 $775.00 ($1,782,000.00) ($18,000.00) $311,681.70 $39,370.32 380 48 12,440 $874.81 ($1,445,760.00) ($4,218,941.51) ($137,500.58) Preferred Stock w/ Exercised Warrants $4,900,000.00 $0.00 $5,211,020.69 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $30,000,000.00 $6,000,000.00 $30,000,000.00 $0.00 $9,489,361.91 $6,662,770.42 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $8,559,000.00 $11,881,000.00 $0.00 $21,142,314.80 Sold, in full; warrants not outstanding $6,138,000.00 $62,000.00 ($62,000.00) $10,994,240.00 ($109,942.41) Preferred Stock w/ Warrants $33,000,000.00 $0.00 $38,185,560.05 Sold, in full; warrants not outstanding 33 FootNote 11 8,84 8,44,14 12,16 45,8,14 11,8,14 8,66,97 45,8,14 50,97 11,8,14 8,14 15 15,11,14 44,8,14 15,11,14 11 8,14 11,8,14 8 8,14 8,17,91,97 11 8 44,8,14 15 8 8,14,18,44 15 45 11,8,14 11,8,14 8 8,68,97 45,8,14 9,15,36 11 Institution Name FIRSTBANK CORPORATION FIRSTBANK CORPORATION FIRSTMERIT CORPORATION FIRSTMERIT CORPORATION FIRSTMERIT CORPORATION FLAGSTAR BANCORP, INC. FLAGSTAR BANCORP, INC. FLAGSTAR BANCORP, INC. FLAGSTAR BANCORP, INC. FLAGSTAR BANCORP, INC. FLAGSTAR BANCORP, INC. FLORIDA BANK GROUP, INC. FLORIDA BANK GROUP, INC. FLORIDA BUSINESS BANCGROUP, INC. FLORIDA BUSINESS BANCGROUP, INC. FLUSHING FINANCIAL CORPORATION FLUSHING FINANCIAL CORPORATION FLUSHING FINANCIAL CORPORATION FNB BANCORP FNB BANCORP FORESIGHT FINANCIAL GROUP, INC. FORESIGHT FINANCIAL GROUP, INC. FORT LEE FEDERAL SAVINGS BANK, FSB FORT LEE FEDERAL SAVINGS BANK, FSB FORTUNE FINANCIAL CORPORATION FORTUNE FINANCIAL CORPORATION FPB BANCORP, INC. FPB BANCORP, INC. FPB FINANCIAL CORP. FPB FINANCIAL CORP. FPB FINANCIAL CORP. FRANKLIN BANCORP, INC. FRANKLIN BANCORP, INC. FRANKLIN BANCORP, INC. FRANKLIN BANCORP, INC. FREEPORT BANCSHARES, INC. FREEPORT BANCSHARES, INC. FREEPORT BANCSHARES, INC. FREEPORT BANCSHARES, INC. FREMONT BANCORPORATION FREMONT BANCORPORATION FRESNO FIRST BANK FRESNO FIRST BANK FRONTIER BANCSHARES, INC FRONTIER BANCSHARES, INC FRONTIER BANCSHARES, INC FULTON FINANCIAL CORPORATION FULTON FINANCIAL CORPORATION FULTON FINANCIAL CORPORATION GATEWAY BANCSHARES, INC. GATEWAY BANCSHARES, INC. GEORGIA COMMERCE BANCSHARES, INC. GEORGIA COMMERCE BANCSHARES, INC. GEORGIA PRIMARY BANK GEORGIA PRIMARY BANK GEORGIA PRIMARY BANK GERMANTOWN CAPITAL CORPORATION GERMANTOWN CAPITAL CORPORATION GERMANTOWN CAPITAL CORPORATION GERMANTOWN CAPITAL CORPORATION GOLD CANYON BANK GOLD CANYON BANK GOLDMAN SACHS GROUP, INC. GOLDMAN SACHS GROUP, INC. GOLDMAN SACHS GROUP, INC. GOLDWATER BANK, N.A. GRAND CAPITAL CORPORATION GRAND CAPITAL CORPORATION GRAND FINANCIAL CORPORATION GRAND MOUNTAIN BANCSHARES, INC. GRANDSOUTH BANCORPORATION GRANDSOUTH BANCORPORATION GRANDSOUTH BANCORPORATION GREAT RIVER HOLDING COMPANY GREAT RIVER HOLDING COMPANY GREAT RIVER HOLDING COMPANY GREAT RIVER HOLDING COMPANY GREAT SOUTHERN BANCORP GREAT SOUTHERN BANCORP GREAT SOUTHERN BANCORP GREEN BANKSHARES, INC. GREEN BANKSHARES, INC. GREEN CIRCLE INVESTMENTS, INC. GREEN CIRCLE INVESTMENTS, INC. GREEN CIRCLE INVESTMENTS, INC. GREEN CIRCLE INVESTMENTS, INC. GREEN CITY BANCSHARES, INC. GREEN CITY BANCSHARES, INC. GREER BANCSHARES INCORPORATED GREER BANCSHARES INCORPORATED GREER BANCSHARES INCORPORATED GREER BANCSHARES INCORPORATED GREGG BANCSHARES, INC. GREGG BANCSHARES, INC. GUARANTY BANCORP, INC. GUARANTY BANCORP, INC. GUARANTY CAPITAL CORPORATION GUARANTY CAPITAL CORPORATION GUARANTY FEDERAL BANCSHARES, INC. City ALMA ALMA AKRON AKRON AKRON TROY TROY TROY TROY TROY TROY TAMPA TAMPA TAMPA TAMPA LAKE SUCCESS LAKE SUCCESS LAKE SUCCESS SOUTH SAN FRANCISCO SOUTH SAN FRANCISCO ROCKFORD ROCKFORD FORT LEE FORT LEE ARNOLD ARNOLD PORT ST. LUCIE PORT ST. LUCIE HAMMOND HAMMOND HAMMOND WASHINGTON WASHINGTON WASHINGTON WASHINGTON FREEPORT FREEPORT FREEPORT FREEPORT FREMONT FREMONT FRESNO FRESNO AUSTIN AUSTIN AUSTIN LANCASTER LANCASTER LANCASTER RINGGOLD RINGGOLD ATLANTA ATLANTA ATLANTA ATLANTA ATLANTA GERMANTOWN GERMANTOWN GERMANTOWN GERMANTOWN GOLD CANYON GOLD CANYON NEW YORK NEW YORK NEW YORK SCOTTSDALE TULSA TULSA HATTIESBURG GRANBY GREENVILLE GREENVILLE GREENVILLE BAXTER BAXTER BAXTER BAXTER SPRINGFIELD SPRINGFIELD SPRINGFIELD GREENEVILLE GREENEVILLE CLIVE CLIVE CLIVE CLIVE GREEN CITY GREEN CITY GREER GREER GREER GREER OZARK OZARK WOODSVILLE WOODSVILLE BELZONI BELZONI SPRINGFIELD State MI MI OH OH OH MI MI MI MI MI MI FL FL FL FL NY NY NY CA CA IL IL NJ NJ MO MO FL FL LA LA LA MO MO MO MO IL IL IL IL CA CA CA CA TX TX TX PA PA PA GA GA GA GA GA GA GA TN TN TN TN AZ AZ NY NY NY AZ OK OK MS CO SC SC SC MN MN MN MN MO MO MO TN TN IA IA IA IA MO MO SC SC SC SC MO MO NH NH MS MS MO Date 3‐Jul‐12 18‐Jul‐12 9‐Jan‐09 22‐Apr‐09 27‐May‐09 30‐Jan‐09 26‐Mar‐13 27‐Mar‐13 28‐Mar‐13 9‐Apr‐13 12‐Jun‐13 24‐Jul‐09 14‐Aug‐13 20‐Feb‐09 22‐Sep‐11 19‐Dec‐08 28‐Oct‐09 30‐Dec‐09 27‐Feb‐09 15‐Sep‐11 15‐May‐09 11‐Dec‐12 22‐May‐09 20‐Apr‐12 3‐Apr‐09 15‐Sep‐11 5‐Dec‐08 15‐Jul‐11 23‐Jan‐09 16‐Dec‐09 16‐Jun‐10 22‐May‐09 9‐Nov‐12 13‐Nov‐12 11‐Jan‐13 8‐May‐09 11‐Apr‐14 14‐Apr‐14 18‐Jul‐14 26‐Jun‐09 25‐Jul‐12 23‐Jan‐09 1‐Nov‐12 24‐Apr‐09 24‐Nov‐09 6‐Oct‐10 23‐Dec‐08 14‐Jul‐10 8‐Sep‐10 8‐May‐09 13‐Apr‐12 6‐Feb‐09 16‐Feb‐11 1‐May‐09 10‐Feb‐14 19‐Mar‐14 6‐Mar‐09 29‐Oct‐12 31‐Oct‐12 11‐Jan‐13 26‐Jun‐09 5‐Apr‐13 28‐Oct‐08 17‐Jun‐09 22‐Jul‐09 30‐Jan‐09 24‐Apr‐09 8‐Sep‐11 25‐Sep‐09 29‐May‐09 9‐Jan‐09 11‐Dec‐09 8‐Sep‐11 17‐Jul‐09 11‐Apr‐14 14‐Apr‐14 18‐Jul‐14 5‐Dec‐08 18‐Aug‐11 21‐Sep‐11 23‐Dec‐08 7‐Sep‐11 27‐Feb‐09 14‐Nov‐12 23‐Jan‐13 24‐Apr‐13 27‐Feb‐09 14‐Jul‐10 30‐Jan‐09 19‐Mar‐14 11‐Jun‐14 23‐Jul‐14 13‐Feb‐09 13‐Jul‐12 20‐Feb‐09 15‐Sep‐11 25‐Sep‐09 30‐Jul‐10 30‐Jan‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $31,053,330.00 Preferred Stock w/ Warrants $125,000,000.00 $0.00 $131,813,194.44 (Fee) 4 ($465,799.95) $266,657,000.00 $0.00 $277,861,053.94 Avg. Price 33,000 $941.00 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($1,946,670.00) $1,946,670.00 578,947 $5,025,000.00 952,260 $12,905.00 645,138 Redeemed, in full; warrants not outstanding $125,000,000.00 Preferred Stock w/ Warrants Shares 125,000 $1,000.00 Sold, in full; warrants not outstanding 1,579 250,578 14,500 $911.50 $911.50 $911.50 ($139,741.50) ($22,176,153.00) ($1,283,250.00) 20,471 $390.80 ($12,471,000.00) $9,495,000.00 9,495 $1,000.00 $70,000,000.00 70,000 $1,000.00 $1,439,258.50 $228,401,847.00 $13,216,750.00 ($2,430,578.56) Preferred Stock w/ Exercised Warrants $20,471,000.00 $0.00 $9,180,793.08 Sold, in full; warrants not outstanding $8,000,000.00 Preferred Stock w/ Exercised Warrants $9,495,000.00 $0.00 $11,309,750.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $70,000,000.00 $0.00 $73,904,166.66 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $14,267,700.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,000,000.00 $0.00 $18,670,291.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,300,000.00 $0.00 $87,184.85 $475,000.00 475 $900,000.00 375,806 $12,000,000.00 12,000 $1,000.00 $600,000.00 600 $15,000,000.00 15,000 $1,000.00 $750,000.00 750 $155,000.00 155 Exited bankruptcy/receivership ($1,300,000.00) Preferred Stock w/ Exercised Warrants $3,100,000.00 $0.00 $3,668,927.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $5,800,000.00 $0.00 $273,888.89 Currently not collectible $3,100,000.00 3,100 $1,000.00 ($5,800,000.00) Preferred Stock w/ Exercised Warrants $3,240,000.00 $0.00 $3,623,721.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,097,000.00 $0.00 $4,336,183.67 Sold, in full; warrants not outstanding $1,000,000.00 $2,240,000.00 1,000 2,240 $1,000.00 $1,000.00 $594,550.00 $2,629,302.50 940 4,157 $632.50 $632.50 2,800,000 200,000 $1.01 $1.01 ($345,450.00) ($1,527,697.50) $162,000.00 162 $126,798.62 $45,188.88 188 67 $84,514.33 $42,257.17 100,000 50,000 ($25,000.00) Subordinated Debentures w/ Exercised Warrants $3,000,000.00 $0.00 $4,363,022.95 Sold, in full; warrants not outstanding $2,800,000.00 $200,000.00 $18,228.00 $1,302.00 ($25,000.00) Subordinated Debentures w/ Exercised Warrants $35,000,000.00 $0.00 $45,796,066.36 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,968,000.00 $0.00 $2,437,100.33 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $3,000,000.00 $0.00 $3,408,191.65 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $376,500,000.00 $0.00 $416,635,625.00 Preferred Stock w/ Exercised Warrants $6,000,000.00 $0.00 $7,260,794.87 Redeemed, in full; warrants not outstanding $8,700,000.00 $0.00 $10,096,470.83 Redeemed, in full; warrants not outstanding $4,500,000.00 $0.00 $1,576,457.50 35,000,000 $1.00 $1,750,000.00 1,750,000 $1,968,000.00 1,968 $1,000.00 $98,000.00 98 $1,600,000.00 $1,400,000.00 1,600,000 1,400,000 $1.00 $1.00 $150,000.00 150,000 $376,500,000.00 376,500 $1,000.00 $10,800,000.00 5,509,756 $6,000,000.00 6,000 $1,000.00 $300,000.00 300 $8,700,000.00 8,700 $1,000.00 $435,000.00 435 $1,556,145.00 4,500 $345.80 ($2,943,855.00) $45,312.50 225 29 4,938 $910.10 $910.10 ($2,606.23) ($443,778.06) $214,595.28 248 10,000,000 $1,000.00 $1,100,000,000.00 12,205,045 $200,000.00 200 $450,000.00 450 $626,007.69 420,000 $6,436,364.00 909,091 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $35,000,000.00 Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Exercised Warrants $4,967,000.00 $0.00 $5,699,100.75 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,607,000.00 $0.00 $53,859.52 Exited bankruptcy/receivership Preferred Stock w/ Warrants $10,000,000,000.00 $0.00 $11,418,055,555.44 Redeemed, in full; warrants not outstanding $26,393.77 $4,494,221.94 ($25,000.00) ($1,607,000.00) $10,000,000,000.00 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $2,568,000.00 $4,000,000.00 $2,568,000.00 $0.00 $145,750.00 $4,717,144.78 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $2,443,320.00 $3,076,000.00 $9,000,000.00 $6,319,000.00 $2,443,320.00 $3,076,000.00 $0.00 $1,002,082.52 $0.00 $17,625,917.08 Full investment outstanding; warrants outstanding Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $8,400,000.00 $0.00 $11,306,571.15 Sold, in full; warrants not outstanding $4,000,000.00 4,000 $1,000.00 $15,319,000.00 15,319 $1,000.00 $4,800,000.00 $3,600,000.00 4,800,000 3,600,000 $1.19 $1.19 $58,000,000.00 58,000 $1,000.00 $68,700,000.00 72,278 $950.50 $800,000.00 $800,000.00 $800,000.00 800 800 800 $1,000.00 $1,000.00 $1,000.00 $120,000.00 120 $651,000.00 651 $1,000.00 $33,000.00 33 $3,150,000.00 $1,980,000.00 $4,863,000.00 3,150 1,980 4,863 $1,000.00 $1,000.00 $1,000.00 $500,000.00 500 $346,000.00 346 $926,400.00 $694,800.00 ($100,212.00) Preferred Stock w/ Warrants $58,000,000.00 $0.00 $72,274,419.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $72,278,000.00 $0.00 $74,642,857.78 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,400,000.00 $0.00 $3,036,021.12 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $651,000.00 $0.00 $733,037.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $9,993,000.00 $825,000.00 $0.00 $0.00 $13,693,111.07 $45,190.00 ($3,578,000.00) Redeemed, in full; warrants not outstanding Currently not collectible ($825,000.00) Preferred Stock w/ Exercised Warrants $6,920,000.00 $0.00 $8,235,040.33 Redeemed, in full; warrants not outstanding Subordinated Debentures $14,000,000.00 $0.00 $14,913,299.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $17,000,000.00 $0.00 $21,887,871.44 $6,920,000.00 6,920 $1,000.00 $14,000,000.00 14,000,000 $1.00 Sold, in full; warrants not outstanding 34 FootNote 17,28,70,97 45,8,14 11,8,14 38 8,9 11,8,14 11 8,17 45 8,17,45 11 11,16 11 11 8,18,21,44 8,111 11,8,14 11 8 8,14 8,17 11 11,45 44,8,14 8,11,14,18 11 8,14 8,17 9,15,36 12,16 8,14 11,8,10 44,8,14 8,108 Institution Name GUARANTY FEDERAL BANCSHARES, INC. GUARANTY FEDERAL BANCSHARES, INC. GUARANTY FEDERAL BANCSHARES, INC. GUARANTY FEDERAL BANCSHARES, INC. GUARANTY FEDERAL BANCSHARES, INC. GULFSOUTH PRIVATE BANK GULFSOUTH PRIVATE BANK GULFSTREAM BANCSHARES, INC. GULFSTREAM BANCSHARES, INC. HAMILTON STATE BANCSHARES, INC. HAMILTON STATE BANCSHARES, INC. HAMPTON ROADS BANKSHARES, INC. HAMPTON ROADS BANKSHARES, INC. HARBOR BANKSHARES CORPORATION HAVILAND BANCSHARES, INC. HAVILAND BANCSHARES, INC. HAWTHORN BANCSHARES, INC. HAWTHORN BANCSHARES, INC. HAWTHORN BANCSHARES, INC. HAWTHORN BANCSHARES, INC. HCSB FINANCIAL CORPORATION HEARTLAND BANCSHARES, INC. HEARTLAND BANCSHARES, INC. HEARTLAND FINANCIAL USA, INC. HEARTLAND FINANCIAL USA, INC. HEARTLAND FINANCIAL USA, INC. HERITAGE BANKSHARES, INC. HERITAGE BANKSHARES, INC. HERITAGE BANKSHARES, INC. HERITAGE COMMERCE CORP. HERITAGE COMMERCE CORP. HERITAGE COMMERCE CORP. HERITAGE FINANCIAL CORPORATION HERITAGE FINANCIAL CORPORATION HERITAGE FINANCIAL CORPORATION HERITAGE OAKS BANCORP HERITAGE OAKS BANCORP HERITAGE OAKS BANCORP HF FINANCIAL CORP. HF FINANCIAL CORP. HF FINANCIAL CORP. HIGHLANDS BANCORP, INC. HIGHLANDS BANCORP, INC. HIGHLANDS BANCORP, INC. HIGHLANDS INDEPENDENT BANCSHARES, INC. HILLTOP COMMUNITY BANCORP, INC. HILLTOP COMMUNITY BANCORP, INC. HMN FINANCIAL, INC. HMN FINANCIAL, INC. HMN FINANCIAL, INC. HMN FINANCIAL, INC. HOME BANCSHARES, INC. HOME BANCSHARES, INC. HOME BANCSHARES, INC. HOMETOWN BANCORP OF ALABAMA, INC. HOMETOWN BANCORP OF ALABAMA, INC. HOMETOWN BANCSHARES, INC. HOMETOWN BANCSHARES, INC. HOMETOWN BANCSHARES, INC. HOMETOWN BANCSHARES, INC. HOMETOWN BANCSHARES, INC. HOMETOWN BANKSHARES CORPORATION HOMETOWN BANKSHARES CORPORATION HOMETOWN BANKSHARES CORPORATION HOPFED BANCORP HOPFED BANCORP HOPFED BANCORP HORIZON BANCORP HORIZON BANCORP HORIZON BANCORP HORIZON BANCORP HOWARD BANCORP, INC. HOWARD BANCORP, INC. HPK FINANCIAL CORPORATION HPK FINANCIAL CORPORATION HPK FINANCIAL CORPORATION HUNTINGTON BANCSHARES HUNTINGTON BANCSHARES HUNTINGTON BANCSHARES HYPERION BANK HYPERION BANK HYPERION BANK HYPERION BANK IA BANCORP, INC / INDUS AMERICAN BANK IA BANCORP, INC / INDUS AMERICAN BANK IA BANCORP, INC / INDUS AMERICAN BANK IA BANCORP, INC / INDUS AMERICAN BANK IBC BANCORP, INC. IBC BANCORP, INC. IBERIABANK CORPORATION IBERIABANK CORPORATION IBERIABANK CORPORATION IBT BANCORP, INC. IBT BANCORP, INC. IBW FINANCIAL CORPORATION IBW FINANCIAL CORPORATION ICB FINANCIAL ICB FINANCIAL IDAHO BANCORP City SPRINGFIELD SPRINGFIELD SPRINGFIELD SPRINGFIELD SPRINGFIELD DESTIN DESTIN STUART STUART HOSCHTON HOSCHTON NORFOLK NORFOLK BALTIMORE HAVILAND HAVILAND LEE'S SUMMIT LEE'S SUMMIT LEE'S SUMMIT LEE'S SUMMIT LORIS FRANKLIN FRANKLIN DUBUQUE DUBUQUE DUBUQUE NORFOLK NORFOLK NORFOLK SAN JOSE SAN JOSE SAN JOSE OLYMPIA OLYMPIA OLYMPIA PASO ROBLES PASO ROBLES PASO ROBLES SIOUX FALLS SIOUX FALLS SIOUX FALLS VERNON VERNON VERNON SEBRING SUMMIT SUMMIT ROCHESTER ROCHESTER ROCHESTER ROCHESTER CONWAY CONWAY CONWAY ONEONTA ONEONTA CORBIN CORBIN CORBIN CORBIN CORBIN ROANOKE ROANOKE ROANOKE HOPKINSVILLE HOPKINSVILLE HOPKINSVILLE MICHIGAN CITY MICHIGAN CITY MICHIGAN CITY MICHIGAN CITY ELLICOTT CITY ELLICOTT CITY CHICAGO CHICAGO CHICAGO COLUMBUS COLUMBUS COLUMBUS PHILADELPHIA PHILADELPHIA PHILADELPHIA PHILADELPHIA ISELIN ISELIN ISELIN ISELIN CHICAGO CHICAGO LAFAYETTE LAFAYETTE LAFAYETTE IRVING IRVING WASHINGTON WASHINGTON ONTARIO ONTARIO BOISE State MO MO MO MO MO FL FL FL FL GA GA VA VA MD KS KS MO MO MO MO SC IN IN IA IA IA VA VA VA CA CA CA WA WA WA CA CA CA SD SD SD NJ NJ NJ FL NJ NJ MN MN MN MN AR AR AR AL AL KY KY KY KY KY VA VA VA KY KY KY IN IN IN IN MD MD IL IL IL OH OH OH PA PA PA PA NJ NJ NJ NJ IL IL LA LA LA TX TX DC DC CA CA ID Date 13‐Jun‐12 26‐Apr‐13 29‐Apr‐13 15‐May‐13 31‐May‐13 25‐Sep‐09 19‐Oct‐12 26‐Jun‐09 18‐Aug‐11 20‐Feb‐09 13‐Apr‐11 31‐Dec‐08 14‐Apr‐14 17‐Jul‐09 13‐Mar‐09 29‐Dec‐10 19‐Dec‐08 9‐May‐12 15‐May‐13 12‐Jun‐13 6‐Mar‐09 11‐Sep‐09 17‐Jul‐12 19‐Dec‐08 15‐Sep‐11 28‐Sep‐11 25‐Sep‐09 16‐Mar‐11 11‐Aug‐11 21‐Nov‐08 7‐Mar‐12 10‐Jun‐13 21‐Nov‐08 22‐Dec‐10 17‐Aug‐11 20‐Mar‐09 17‐Jul‐13 7‐Aug‐13 21‐Nov‐08 3‐Jun‐09 30‐Jun‐09 8‐May‐09 22‐Dec‐09 22‐Sep‐11 6‐Mar‐09 30‐Jan‐09 21‐Apr‐10 23‐Dec‐08 7‐Feb‐13 8‐Feb‐13 26‐Mar‐13 16‐Jan‐09 6‐Jul‐11 27‐Jul‐11 20‐Feb‐09 28‐Aug‐13 13‐Feb‐09 28‐Nov‐12 30‐Nov‐12 11‐Jan‐13 26‐Mar‐13 18‐Sep‐09 31‐Oct‐12 11‐Jan‐13 12‐Dec‐08 19‐Dec‐12 16‐Jan‐13 19‐Dec‐08 10‐Nov‐10 25‐Aug‐11 23‐Nov‐11 27‐Feb‐09 22‐Sep‐11 1‐May‐09 13‐Nov‐09 11‐Dec‐12 14‐Nov‐08 22‐Dec‐10 19‐Jan‐11 6‐Feb‐09 20‐Dec‐12 11‐Jan‐13 26‐Mar‐13 18‐Sep‐09 14‐Mar‐14 17‐Mar‐14 25‐Apr‐14 15‐May‐09 10‐Sep‐10 5‐Dec‐08 31‐Mar‐09 20‐May‐09 27‐Mar‐09 12‐Jun‐13 13‐Mar‐09 3‐Sep‐10 6‐Mar‐09 1‐Nov‐12 16‐Jan‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $5,000,000.00 $96,750.00 $11,513,250.00 Shares Avg. Price 5,000 100 11,900 $1,000.00 $967.50 $967.50 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($3,250.00) ($386,750.00) $2,003,250.00 459,459 ($116,100.00) Preferred Stock w/ Exercised Warrants $7,500,000.00 $0.00 $757,380.08 Exited bankruptcy/receivership Preferred Stock w/ Exercised Warrants $7,500,000.00 $0.00 $8,751,541.63 Redeemed, in full; warrants not outstanding ($7,500,000.00) Preferred Stock w/ Exercised Warrants $7,000,000.00 $0.00 $8,169,165.89 $80,347,000.00 $0.00 $5,790,608.79 Sold, in full; warrants outstanding Preferred Stock Preferred Stock w/ Exercised Warrants $6,800,000.00 $425,000.00 $6,800,000.00 $0.00 $282,744.47 $487,524.22 Full investment outstanding; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $30,255,000.00 $0.00 $36,849,504.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $12,895,000.00 $7,000,000.00 $12,895,000.00 $0.00 $1,090,702.00 $8,321,471.08 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $81,698,000.00 $0.00 $94,686,087.22 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,103,000.00 $0.00 $11,353,284.46 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $40,000,000.00 $0.00 $46,901,266.80 Redeemed, in full; warrants not outstanding $24,000,000.00 $0.00 $26,953,333.33 Preferred Stock w/ Warrants $21,000,000.00 $0.00 $27,241,335.26 Redeemed, in full; warrants not outstanding $25,000,000.00 $0.00 $26,316,666.67 Redeemed, in full; warrants not outstanding $3,091,000.00 $2,359,000.00 $0.00 $6,211,926.79 $1,000.00 $375,000.00 375 $7,000,000.00 280 $25,000.00 $350,000.00 35 $3,279,764.54 2,089,022 $1.57 $21,000.00 21 $540,000.00 287,134 $425,000.00 425 $1,000.00 $12,000,000.00 $18,255,000.00 12,000 18,255 $1,000.00 $1,000.00 $7,000,000.00 7,000 $1,000.00 $81,698,000.00 81,698 $1,000.00 $2,606,000.00 $7,497,000.00 2,606 7,497 $1,000.00 $1,000.00 $40,000,000.00 40,000 $1,000.00 $24,000,000.00 24,000 $1,000.00 ($77,067,235.46) $248,000.00 248 $1,800,000.00 609,687 $303,000.00 303 $140,000.00 462,963 $450,000.00 138,037 $1,575,000.00 611,650 $650,000.00 302,419 $155,000.00 155 $200,000.00 200 $1,300,000.00 158,472 $163,000.00 163 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants 7,500 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants $7,500,000.00 $21,000,000.00 21,000 $1,000.00 $25,000,000.00 25,000 $1,000.00 $5,450,000.00 5,450 $1,000.00 $4,000,000.00 4,000 $1,000.00 $2,561,325.00 $16,197,675.00 3,550 22,450 $721.50 $721.50 $50,000,000.00 50,000 $1,000.00 $3,250,000.00 3,250 $1,000.00 $608,170.50 $1,183,339.50 645 1,255 $942.90 $942.90 ($36,829.50) ($71,660.50) $70,095.00 95 ($815,000.00) $315,461.52 374 $256,257.00 253,666 $1,750,551.00 212,188 $299,000.00 299 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $6,700,000.00 $4,000,000.00 $6,700,000.00 $0.00 $617,712.00 $4,467,049.67 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $26,000,000.00 $0.00 $21,034,187.78 Sold, in full; warrants outstanding ($988,675.00) ($6,252,325.00) ($187,590.00) Preferred Stock w/ Warrants $50,000,000.00 $0.00 $57,480,555.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,250,000.00 $0.00 $4,214,202.31 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,900,000.00 $0.00 $2,229,801.03 Sold, in full; warrants not outstanding ($17,915.11) ($7,084.89) Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $11,111,011.94 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $18,400,000.00 $0.00 $22,354,145.89 Redeemed, in full; warrants not outstanding 10,000 $918.50 $18,400,000.00 $9,185,000.00 18,400 $1,000.00 $6,250,000.00 $18,750,000.00 6,250 18,750 $1,000.00 $1,000.00 $5,983,000.00 5,983 $1,000.00 $9,000,000.00 9,000 $1,000.00 $1,398,071,000.00 1,398,071 $1,000.00 ($91,850.00) Preferred Stock w/ Warrants $25,000,000.00 $0.00 $29,857,321.83 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,983,000.00 $0.00 $7,119,793.05 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,000,000.00 $5,000,000.00 $0.00 $10,940,554.65 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $1,398,071,000.00 $0.00 $1,594,356,808.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,552,000.00 $0.00 $1,337,166.22 $344,000.00 344 $49,100,000.00 23,562,994 Sold, in full; warrants not outstanding $1,008,800.00 1,552 $650.00 ($543,200.00) $25,700.00 78 2,770 3,206 $981.10 $981.10 ($52,325.30) ($60,561.34) $186,513.52 179 $1,200,000.00 138,490 $115,000.00 115 $300,000.00 300 ($10,088.00) ($14,912.00) Preferred Stock w/ Exercised Warrants $5,976,000.00 $0.00 $6,907,223.22 Sold, in full; warrants not outstanding Subordinated Debentures $4,205,000.00 $0.00 $4,632,216.32 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $90,000,000.00 $0.00 $92,650,000.00 Redeemed, in full; warrants not outstanding $2,717,674.70 $3,145,438.66 ($58,631.13) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $2,295,000.00 $6,000,000.00 $0.00 $0.00 $2,936,462.50 $6,453,067.00 $4,205,000.00 4,205,000 $1.00 $90,000,000.00 90,000 $1,000.00 $2,295,000.00 2,295 $1,000.00 $6,000,000.00 6,000 $1,000.00 $6,000,000.00 6,000 $1,000.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,000,000.00 $0.00 $7,494,458.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,900,000.00 $0.00 $124,305.92 Currently not collectible 35 FootNote 8,14,18,44 8 11 29 8,22,92,97 11 22,52,97 11 15,71,97 11 44,8,14 11 8 8,14 8,11,14,18,36 11 12 8,14 11 11,8,14 9,48,97 45,8,14 45,8,14 8,17 11,9,36 8 11 8 11 8,9,17 11 8 44,11,8 Institution Name IDAHO BANCORP ILLINOIS STATE BANCORP, INC. ILLINOIS STATE BANCORP, INC. ILLINOIS STATE BANCORP, INC. INDEPENDENCE BANK INDEPENDENCE BANK INDEPENDENT BANK CORP. INDEPENDENT BANK CORP. INDEPENDENT BANK CORP. INDEPENDENT BANK CORPORATION INDEPENDENT BANK CORPORATION INDIANA BANK CORP. INDIANA BANK CORP. INDIANA COMMUNITY BANCORP INDIANA COMMUNITY BANCORP INTEGRA BANK CORPORATION INTEGRA BANK CORPORATION INTERMOUNTAIN COMMUNITY BANCORP INTERMOUNTAIN COMMUNITY BANCORP INTERNATIONAL BANCSHARES CORPORATION INTERNATIONAL BANCSHARES CORPORATION INTERNATIONAL BANCSHARES CORPORATION INTERNATIONAL BANCSHARES CORPORATION INTERNATIONAL BANCSHARES CORPORATION INTERVEST BANCSHARES CORPORATION INTERVEST BANCSHARES CORPORATION INTERVEST BANCSHARES CORPORATION INTERVEST BANCSHARES CORPORATION INVESTORS FINANCIAL CORPORATION OF PETTIS COUNTY, INC. INVESTORS FINANCIAL CORPORATION OF PETTIS COUNTY, INC. JPMORGAN CHASE & CO. JPMORGAN CHASE & CO. JPMORGAN CHASE & CO. KATAHDIN BANKSHARES CORP. KATAHDIN BANKSHARES CORP. KEYCORP KEYCORP KEYCORP KIRKSVILLE BANCORP, INC. KIRKSVILLE BANCORP, INC. KS BANCORP, INC KS BANCORP, INC KS BANCORP, INC LAFAYETTE BANCORP, INC. LAFAYETTE BANCORP, INC. LAFAYETTE BANCORP, INC. LAKELAND BANCORP, INC. LAKELAND BANCORP, INC. LAKELAND BANCORP, INC. LAKELAND BANCORP, INC. LAKELAND BANCORP, INC. LAKELAND FINANCIAL CORPORATION LAKELAND FINANCIAL CORPORATION LAKELAND FINANCIAL CORPORATION LAYTON PARK FINANCIAL GROUP, INC. LAYTON PARK FINANCIAL GROUP, INC. LAYTON PARK FINANCIAL GROUP, INC. LAYTON PARK FINANCIAL GROUP, INC. LCNB CORP. LCNB CORP. LCNB CORP. LEADER BANCORP, INC. LEADER BANCORP, INC. LEGACY BANCORP, INC. LEGACY BANCORP, INC. LIBERTY BANCSHARES, INC. (AR) LIBERTY BANCSHARES, INC. (AR) LIBERTY BANCSHARES, INC. (MO) LIBERTY BANCSHARES, INC. (MO) LIBERTY BANCSHARES, INC. (TX) LIBERTY FINANCIAL SERVICES, INC. LIBERTY FINANCIAL SERVICES, INC. LIBERTY SHARES, INC. LINCOLN NATIONAL CORPORATION LINCOLN NATIONAL CORPORATION LINCOLN NATIONAL CORPORATION LNB BANCORP, INC. LNB BANCORP, INC. LNB BANCORP, INC. LONE STAR BANK LSB CORPORATION LSB CORPORATION LSB CORPORATION M&F BANCORP, INC. M&F BANCORP, INC. M&T BANK CORPORATION M&T BANK CORPORATION M&T BANK CORPORATION M&T BANK CORPORATION MACKINAC FINANCIAL CORPORATION MACKINAC FINANCIAL CORPORATION MACKINAC FINANCIAL CORPORATION MADISON FINANCIAL CORPORATION MADISON FINANCIAL CORPORATION MADISON FINANCIAL CORPORATION MAGNA BANK MAGNA BANK MAGNA BANK MAGNA BANK City BOISE CHICAGO CHICAGO CHICAGO EAST GREENWICH EAST GREENWICH ROCKLAND ROCKLAND ROCKLAND IONIA IONIA DANA DANA COLUMBUS COLUMBUS EVANSVILLE EVANSVILLE SANDPOINT SANDPOINT LAREDO LAREDO LAREDO LAREDO LAREDO NEW YORK NEW YORK NEW YORK NEW YORK SEDALIA SEDALIA NEW YORK NEW YORK NEW YORK HOULTON HOULTON CLEVELAND CLEVELAND CLEVELAND KIRKSVILLE KIRKSVILLE SMITHFIELD SMITHFIELD SMITHFIELD OXFORD OXFORD OXFORD OAK RIDGE OAK RIDGE OAK RIDGE OAK RIDGE OAK RIDGE WARSAW WARSAW WARSAW MILWAUKEE MILWAUKEE MILWAUKEE MILWAUKEE LEBANON LEBANON LEBANON ARLINGTON ARLINGTON MILWAUKEE MILWAUKEE JONESBORO JONESBORO SPRINGFIELD SPRINGFIELD FORT WORTH NEW ORLEANS NEW ORLEANS HINESVILLE RADNOR RADNOR RADNOR LORAIN LORAIN LORAIN HOUSTON NORTH ANDOVER NORTH ANDOVER NORTH ANDOVER DURHAM DURHAM BUFFALO BUFFALO BUFFALO BUFFALO MANISTIQUE MANISTIQUE MANISTIQUE RICHMOND RICHMOND RICHMOND MEMPHIS MEMPHIS MEMPHIS MEMPHIS State ID IL IL IL RI RI MA MA MA MI MI IN IN IN IN IN IN ID ID TX TX TX TX TX NY NY NY NY MO MO NY NY NY ME ME OH OH OH MO MO NC NC NC MS MS MS NJ NJ NJ NJ NJ IN IN IN WI WI WI WI OH OH OH MA MA WI WI AR AR MO MO TX LA LA GA PA PA PA OH OH OH TX MA MA MA NC NC NY NY NY NY MI MI MI KY KY KY TN TN TN TN Date 24‐Apr‐14 22‐May‐09 29‐Dec‐09 22‐Sep‐11 9‐Jan‐09 16‐Oct‐13 9‐Jan‐09 22‐Apr‐09 27‐May‐09 12‐Dec‐08 30‐Aug‐13 24‐Apr‐09 9‐Apr‐13 12‐Dec‐08 12‐Sep‐12 27‐Feb‐09 29‐Jul‐11 19‐Dec‐08 20‐Nov‐13 23‐Dec‐08 11‐Jul‐12 1‐Nov‐12 28‐Nov‐12 11‐Jun‐13 23‐Dec‐08 24‐Jun‐13 26‐Jul‐13 3‐Sep‐14 8‐May‐09 19‐Oct‐12 28‐Oct‐08 17‐Jun‐09 16‐Dec‐09 30‐Jan‐09 18‐Aug‐11 14‐Nov‐08 30‐Mar‐11 20‐Apr‐11 20‐Mar‐09 19‐Mar‐14 21‐Aug‐09 30‐Nov‐12 11‐Jan‐13 20‐Feb‐09 29‐Dec‐09 29‐Sep‐10 6‐Feb‐09 4‐Aug‐10 16‐Mar‐11 8‐Feb‐12 29‐Feb‐12 27‐Feb‐09 9‐Jun‐10 22‐Nov‐11 18‐Dec‐09 29‐Nov‐12 11‐Jan‐13 26‐Mar‐13 9‐Jan‐09 21‐Oct‐09 22‐Nov‐11 23‐Dec‐08 24‐Nov‐10 30‐Jan‐09 11‐Mar‐11 23‐Jan‐09 21‐Jul‐11 13‐Feb‐09 18‐Aug‐11 4‐Dec‐09 6‐Feb‐09 24‐Sep‐10 20‐Feb‐09 10‐Jul‐09 30‐Jun‐10 22‐Sep‐10 12‐Dec‐08 19‐Jun‐12 18‐Jul‐12 6‐Feb‐09 12‐Dec‐08 18‐Nov‐09 16‐Dec‐09 26‐Jun‐09 20‐Aug‐10 23‐Dec‐08 18‐May‐11 21‐Aug‐12 17‐Dec‐12 24‐Apr‐09 29‐Aug‐12 19‐Dec‐12 13‐Mar‐09 19‐Nov‐13 6‐Jan‐14 23‐Dec‐08 24‐Nov‐09 8‐Jun‐11 18‐Aug‐11 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($6,900,000.00) Preferred Stock w/ Exercised Warrants $6,272,000.00 $4,000,000.00 $0.00 $11,836,113.40 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,065,000.00 $0.00 $1,394,723.17 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $78,158,000.00 $0.00 $81,476,093.61 $10,272,000.00 10,272 $1,000.00 $406,000.00 $1,065,000.00 1,065 $1,000.00 $53,000.00 406 53 $78,158,000.00 78,158 $1,000.00 $2,200,000.00 481,664 $1,800,000.00 188,707 $4,018,511.00 1,326,238 $2,892,066.00 691,882 $936,063,469.11 88,401,697 $522,000.00 522 $70,000,000.00 35,244,361 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $72,000,000.00 $0.00 $83,430,000.00 Preferred Stock w/ Exercised Warrants $1,312,000.00 $0.00 $165,139.00 Redeemed, in full; warrants not outstanding Currently not collectible Preferred Stock w/ Warrants $21,500,000.00 $0.00 $27,331,250.00 Redeemed, in full; warrants not outstanding $72,000,000.00 72,000 $1,000.00 $2,426,000.00 ($1,312,000.00) $21,500,000.00 Preferred Stock w/ Warrants $83,586,000.00 $0.00 $1,950,340.00 Currently not collectible Preferred Stock w/ Warrants $27,000,000.00 $0.00 $33,944,884.23 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $216,000,000.00 $0.00 $261,538,649.89 Redeemed, in full; warrants not outstanding 21,500 $1,000.00 ($83,586,000.00) Preferred Stock w/ Warrants $25,000,000.00 $0.00 $32,927,621.56 $27,000,000.00 27,000 $1,000.00 $40,000,000.00 $45,000,000.00 $131,000,000.00 40,000 45,000 131,000 $1,000.00 $1,000.00 $1,000.00 25,000 $970.00 Sold, in full; warrants not outstanding $24,250,000.00 ($750,000.00) ($242,500.00) Subordinated Debentures w/ Exercised Warrants $4,000,000.00 $0.00 $174,324.60 Currently not collectible Preferred Stock w/ Warrants $25,000,000,000.00 $0.00 $26,731,202,358.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,449,000.00 $0.00 $12,423,046.75 Redeemed, in full; warrants not outstanding ($4,000,000.00) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $2,500,000,000.00 $470,000.00 $4,000,000.00 $0.00 $0.00 $0.00 $2,867,222,222.22 $622,228.44 $4,137,336.64 $25,000,000,000.00 2,500,000 $10,000.00 $10,449,000.00 10,449 $1,000.00 $2,500,000,000.00 25,000 $100,000.00 $470,000.00 470 $1,000.00 $3,308,000.00 4,000 $827.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $24,000.00 24 $140,400.00 200 $100,000.00 100 $2,800,000.00 997,050 $877,557.00 198,269 $104,375.00 150 $602,557.00 217,063 $292,000.00 292 Sold, in full; warrants not outstanding ($692,000.00) ($25,000.00) Preferred Stock w/ Exercised Warrants $1,998,000.00 $2,453,000.00 $0.00 $4,818,134.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $59,000,000.00 $0.00 $68,260,833.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $56,044,000.00 $3,000,000.00 $0.00 $0.00 $60,517,713.33 $2,932,162.50 $4,451,000.00 4,451 $1,000.00 $20,000,000.00 $20,000,000.00 $19,000,000.00 20,000 20,000 19,000 $1,000.00 $1,000.00 $1,000.00 $56,044,000.00 56,044 $1,000.00 3,000 $790.30 $13,400,000.00 13,400 $1,000.00 $5,830,000.00 5,830 $1,000.00 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding $2,370,930.00 ($629,070.00) ($23,709.29) ($1,290.71) Preferred Stock w/ Warrants $13,400,000.00 $0.00 $14,527,390.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,830,000.00 $0.00 $6,731,961.06 Redeemed, in full; warrants not outstanding Preferred Stock $5,498,000.00 $0.00 $355,079.00 Currently not collectible Preferred Stock w/ Exercised Warrants $57,500,000.00 $0.00 $68,191,965.77 Redeemed, in full; warrants not outstanding ($5,498,000.00) Preferred Stock w/ Exercised Warrants $21,900,000.00 $0.00 $25,995,452.08 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock $6,500,000.00 $5,645,000.00 $6,500,000.00 $0.00 $1,609,456.22 $6,106,008.58 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $17,280,000.00 $950,000,000.00 $17,280,000.00 $0.00 $1,399,560.00 $1,209,851,873.70 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $25,223,000.00 $0.00 $26,893,046.60 $57,500,000.00 57,500 $1,000.00 $2,875,000.00 2,875 $21,900,000.00 21,900 $1,000.00 $1,095,000.00 1,095 $5,645,000.00 5,645 $1,000.00 $950,000,000.00 950,000 $1,000.00 $213,671,319.20 13,049,451 25,223 $869.20 $860,326.00 561,343 $560,000.00 209,497 $31,838,761.34 1,218,522 $1,300,000.00 398,734 $182,878.45 169 $690,000.00 690 Sold, in full; warrants not outstanding $21,923,074.91 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $3,072,000.00 $15,000,000.00 $3,072,000.00 $0.00 $0.00 $16,260,000.00 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock $11,735,000.00 $0.00 $12,409,762.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants $600,000,000.00 $11,000,000.00 $0.00 $0.00 $718,392,161.34 $13,521,828.15 $15,000,000.00 15,000 $1,000.00 $11,735,000.00 11,735 $1,000.00 $370,000,000.00 $230,000,000.00 370,000 230,000 $1,000.00 $1,000.00 11,000 $958.10 $3,370,000.00 $0.00 $3,773,495.65 ($3,299,925.09) Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding $10,538,990.00 Preferred Stock w/ Exercised Warrants ($328,846.12) ($158,084.85) ($461,010.00) Sold, in full; warrants not outstanding $3,370,000.00 3,370 $1,022.60 3,455 3,455 6,885 $1,000.00 $1,000.00 $1,000.00 $76,195.70 ($25,000.00) Preferred Stock w/ Exercised Warrants $13,795,000.00 $0.00 $16,146,467.87 Redeemed, in full; warrants not outstanding $3,455,000.00 $3,455,000.00 $6,885,000.00 36 FootNote 8,14 11 15,14 8 8 15,14 8,14 43 8 11 8,45,14 8,14,18,44 11 44,8,14 56,8,14 8,44,14 8,18 8,14 8,42 8,18 11 12 11,8,14 44 8 22,27,97 11,8,14 11 11,8,14 8 11,9 11,9,36 11,8,14 98 Institution Name MAINLINE BANCORP, INC. MAINLINE BANCORP, INC. MAINSOURCE FINANCIAL GROUP, INC. MAINSOURCE FINANCIAL GROUP, INC. MAINSOURCE FINANCIAL GROUP, INC. MANHATTAN BANCORP MANHATTAN BANCORP MANHATTAN BANCORP MANHATTAN BANCSHARES, INC. MANHATTAN BANCSHARES, INC. MANHATTAN BANCSHARES, INC. MANHATTAN BANCSHARES, INC. MARINE BANK & TRUST COMPANY MARINE BANK & TRUST COMPANY MARINE BANK & TRUST COMPANY MARINE BANK & TRUST COMPANY MARINE BANK & TRUST COMPANY MARKET BANCORPORATION, INC. MARKET BANCORPORATION, INC. MARKET BANCORPORATION, INC. MARKET STREET BANCSHARES, INC. MARKET STREET BANCSHARES, INC. MARKET STREET BANCSHARES, INC. MARKET STREET BANCSHARES, INC. MARQUETTE NATIONAL CORPORATION MARQUETTE NATIONAL CORPORATION MARQUETTE NATIONAL CORPORATION MARQUETTE NATIONAL CORPORATION MARQUETTE NATIONAL CORPORATION MARSHALL & ILSLEY CORPORATION MARSHALL & ILSLEY CORPORATION MARYLAND FINANCIAL BANK MARYLAND FINANCIAL BANK MARYLAND FINANCIAL BANK MB FINANCIAL INC. MB FINANCIAL INC. MB FINANCIAL INC. MCLEOD BANCSHARES, INC. MCLEOD BANCSHARES, INC. MEDALLION BANK MEDALLION BANK MEDALLION BANK MERCANTILE BANK CORPORATION MERCANTILE BANK CORPORATION MERCANTILE BANK CORPORATION MERCANTILE BANK CORPORATION MERCANTILE CAPITAL CORPORATION MERCANTILE CAPITAL CORPORATION MERCHANTS & PLANTERS BANCSHARES, INC. MERCHANTS & PLANTERS BANCSHARES, INC. MERCHANTS AND MANUFACTURERS BANK CORPORATION MERCHANTS AND MANUFACTURERS BANK CORPORATION MERIDIAN BANK MERIDIAN BANK MERIDIAN BANK MERIDIAN BANK METRO CITY BANK METRO CITY BANK METRO CITY BANK METRO CITY BANK METROCORP BANCSHARES, INC. METROCORP BANCSHARES, INC. METROCORP BANCSHARES, INC. METROPOLITAN BANK GROUP, INC. METROPOLITAN BANK GROUP, INC. METROPOLITAN CAPITAL BANCORP, INC. METROPOLITAN CAPITAL BANCORP, INC. MID PENN BANCORP, INC./MID PENN BANK MID PENN BANCORP, INC./MID PENN BANK MID PENN BANCORP, INC./MID PENN BANK MIDDLEBURG FINANCIAL CORPORATION MIDDLEBURG FINANCIAL CORPORATION MIDDLEBURG FINANCIAL CORPORATION MIDLAND STATES BANCORP, INC. MIDLAND STATES BANCORP, INC. MIDSOUTH BANCORP, INC. MIDSOUTH BANCORP, INC. MIDSOUTH BANCORP, INC. MIDTOWN BANK & TRUST COMPANY MIDTOWN BANK & TRUST COMPANY MIDTOWN BANK & TRUST COMPANY MIDWEST BANC HOLDINGS, INC. MIDWEST BANC HOLDINGS, INC. MIDWEST REGIONAL BANCORP, INC. / THE BANK OF OTTERVILLE MIDWEST REGIONAL BANCORP, INC. / THE BANK OF OTTERVILLE MIDWESTONE FINANCIAL GROUP, INC. MIDWESTONE FINANCIAL GROUP, INC. MIDWESTONE FINANCIAL GROUP, INC. MID‐WISCONSIN FINANCIAL SERVICES, INC. MID‐WISCONSIN FINANCIAL SERVICES, INC. MILLENNIUM BANCORP, INC. MILLENNIUM BANCORP, INC. MISSION COMMUNITY BANCORP MISSION COMMUNITY BANCORP MISSION VALLEY BANCORP MISSION VALLEY BANCORP MONADNOCK BANCORP, INC. MONADNOCK BANCORP, INC. MONARCH COMMUNITY BANCORP, INC. City EBENSBURG EBENSBURG GREENSBURG GREENSBURG GREENSBURG EL SEGUNDO EL SEGUNDO EL SEGUNDO MANHATTAN MANHATTAN MANHATTAN MANHATTAN VERO BEACH VERO BEACH VERO BEACH VERO BEACH VERO BEACH NEW MARKET NEW MARKET NEW MARKET MT. VERNON MT. VERNON MT. VERNON MT. VERNON CHICAGO CHICAGO CHICAGO CHICAGO CHICAGO MILWAUKEE MILWAUKEE TOWSON TOWSON TOWSON CHICAGO CHICAGO CHICAGO SHOREWOOD SHOREWOOD SALT LAKE CITY SALT LAKE CITY SALT LAKE CITY GRAND RAPIDS GRAND RAPIDS GRAND RAPIDS GRAND RAPIDS BOSTON BOSTON TOONE TOONE JOLIET JOLIET DEVON DEVON DEVON DEVON DORAVILLE DORAVILLE DORAVILLE DORAVILLE HOUSTON HOUSTON HOUSTON CHICAGO CHICAGO CHICAGO CHICAGO MILLERSBURG MILLERSBURG MILLERSBURG MIDDLEBURG MIDDLEBURG MIDDLEBURG EFFINGHAM EFFINGHAM LAFAYETTE LAFAYETTE LAFAYETTE ATLANTA ATLANTA ATLANTA MELROSE PARK MELROSE PARK FESTUS FESTUS IOWA CITY IOWA CITY IOWA CITY MEDFORD MEDFORD EDWARDS EDWARDS SAN LUIS OBISPO SAN LUIS OBISPO SUN VALLEY SUN VALLEY PETERBOROUGH PETERBOROUGH COLDWATER State PA PA IN IN IN CA CA CA IL IL IL IL FL FL FL FL FL MN MN MN IL IL IL IL IL IL IL IL IL WI WI MD MD MD IL IL IL MN MN UT UT UT MI MI MI MI MA MA TN TN IL IL PA PA PA PA GA GA GA GA TX TX TX IL IL IL IL PA PA PA VA VA VA IL IL LA LA LA GA GA GA IL IL MO MO IA IA IA WI WI CO CO CA CA CA CA NH NH MI Date 29‐Dec‐09 9‐Mar‐12 16‐Jan‐09 3‐Apr‐12 11‐Jun‐13 5‐Dec‐08 16‐Sep‐09 14‐Oct‐09 19‐Jun‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 6‐Mar‐09 1‐Jul‐14 2‐Jul‐14 3‐Jul‐14 26‐Sep‐14 20‐Feb‐09 2‐Jul‐14 26‐Sep‐14 15‐May‐09 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 19‐Dec‐08 7‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 14‐Nov‐08 5‐Jul‐11 27‐Mar‐09 2‐Jul‐14 26‐Sep‐14 5‐Dec‐08 14‐Mar‐12 2‐May‐12 20‐Nov‐09 18‐Aug‐11 27‐Feb‐09 22‐Dec‐09 21‐Jul‐11 15‐May‐09 4‐Apr‐12 6‐Jun‐12 3‐Jul‐12 6‐Feb‐09 4‐Aug‐11 6‐Mar‐09 7‐Sep‐11 19‐Jun‐09 8‐Sep‐11 13‐Feb‐09 11‐Dec‐09 17‐Mar‐14 25‐Apr‐14 30‐Jan‐09 29‐Oct‐12 1‐Nov‐12 11‐Jan‐13 16‐Jan‐09 3‐Jul‐12 11‐Jun‐13 26‐Jun‐09 28‐Jun‐13 10‐Apr‐09 20‐Nov‐09 19‐Dec‐08 28‐Dec‐12 23‐Jan‐13 30‐Jan‐09 23‐Dec‐09 18‐Nov‐11 23‐Jan‐09 23‐Dec‐09 9‐Jan‐09 25‐Aug‐11 22‐Nov‐11 27‐Feb‐09 19‐Nov‐13 6‐Jan‐14 5‐Dec‐08 14‐May‐10 13‐Feb‐09 10‐Nov‐09 6‐Feb‐09 6‐Jul‐11 27‐Jul‐11 20‐Feb‐09 26‐Apr‐13 3‐Apr‐09 14‐Aug‐12 9‐Jan‐09 28‐Dec‐11 23‐Dec‐08 20‐Aug‐10 19‐Dec‐08 28‐Dec‐12 6‐Feb‐09 Original Investment Type 1 Preferred Stock w/ Exercised Warrants Original Investment Amount $4,500,000.00 Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $0.00 $5,263,187.50 (Fee) 4 $4,500,000.00 Preferred Stock w/ Warrants $57,000,000.00 $0.00 $62,949,121.28 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares Redeemed, in full; warrants not outstanding 4,500 $1,000.00 57,000 $931.10 $225,000.00 225 $1,512,177.00 571,906 $63,363.90 29,480 14,000 118,000 111 38 1 Sold, in full; warrants not outstanding $53,073,270.00 Preferred Stock w/ Warrants $1,700,000.00 $0.00 $1,829,711.12 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $2,639,000.00 $0.00 $3,438,793.11 Sold, in full; warrants not outstanding ($796,099.05) $1,700,000.00 1,700 $2,586,404.73 ($3,926,730.00) $1,000.00 2,639,000 $0.98 ($52,595.27) $11,385.02 $95,959.50 2,246 722 32 $670.00 $670.00 $670.00 ($741,180.00) ($238,260.00) ($10,560.00) $55,870.00 $19,126.67 $503.33 ($25,000.00) Preferred Stock w/ Exercised Warrants $3,000,000.00 $0.00 $2,296,213.00 Sold, in full; warrants not outstanding $1,504,820.00 $483,740.00 $21,440.00 ($25,000.00) Preferred Stock w/ Exercised Warrants $2,060,000.00 $0.00 $2,714,911.32 Sold, in full; warrants not outstanding $2,060,000.00 2,060 $1,210.00 $108,471.52 103 19,931,000 369,000 $0.90 $0.90 ($2,011,037.90) ($37,232.10) $432,661.80 $727,225.54 $97,505.10 895,000 120,000 3,514 8,198 23,788 $720.20 $720.20 $720.20 ($983,041.50) ($2,293,390.50) ($6,654,693.00) $142,974.56 $1,054,743.77 $252,452.23 175 1,291 309 $1,715,000,000.00 1,715,000 $1,000.00 $3,250,000.00 13,815,789 $527,000.00 1,700 $310.00 $1,775.00 85 ($25,000.00) Subordinated Debentures w/ Exercised Warrants $20,300,000.00 $0.00 $24,429,245.84 Sold, in full; warrants not outstanding $17,919,962.10 $331,767.90 ($182,517.30) Preferred Stock w/ Exercised Warrants $35,500,000.00 $0.00 $33,835,943.42 Sold, in full; warrants not outstanding $2,530,958.50 $5,904,609.50 $17,133,307.00 ($255,688.75) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $1,715,000,000.00 $1,700,000.00 $0.00 $0.00 $1,944,772,916.66 $817,240.50 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($1,173,000.00) ($25,000.00) Preferred Stock w/ Warrants $196,000,000.00 $0.00 $229,613,072.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,000,000.00 $0.00 $6,870,433.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $11,800,000.00 $9,698,000.00 $0.00 $24,460,674.81 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $21,000,000.00 $0.00 $31,631,120.56 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $3,500,000.00 $1,881,000.00 $0.00 $0.00 $4,150,815.03 $2,231,560.00 $196,000,000.00 196,000 $1,000.00 $1,518,072.00 506,024 $6,000,000.00 600 $10,000.00 $300,000.00 30 $645,000.00 645 $21,498,000.00 21,498 $1,000.00 $10,500,000.00 $10,500,000.00 10,500 10,500 $1,000.00 $1,000.00 $7,465,100.00 616,438 $3,500,000.00 3,500 $1,000.00 $175,000.00 175 $1,881,000.00 1,881 $1,000.00 $94,000.00 94 $3,510,000.00 3,510 $1,000.00 $176,000.00 176 12,535 $824.15 ($2,206,847.65) $262,399.50 310 29 7,671 $900.10 $900.10 ($2,897.10) ($766,332.90) $369,948.00 385 $2,087,368.00 771,429 $58,479.20 73,099 $301,001.00 104,101 $509,000.00 509 $206,557.00 104,384 $136,833.05 261 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,510,000.00 $0.00 $4,110,668.47 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,200,000.00 $6,335,000.00 $0.00 $13,582,165.84 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,700,000.00 $0.00 $8,806,297.80 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $45,000,000.00 $0.00 $53,406,628.25 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $71,526,000.00 $0.00 $27,172,726.72 Sold, in full; warrants not outstanding $10,328,152.35 ($103,281.52) $26,102.90 $6,904,667.10 ($69,307.70) $44,152,650.00 Preferred Stock w/ Warrants $4,388,000.00 $1,170,924.44 Full investment outstanding; warrants outstanding Preferred Stock w/ Warrants $2,040,000.00 $2,348,000.00 $10,000,000.00 $0.00 $12,070,979.20 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $22,000,000.00 $0.00 $23,287,945.11 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $10,189,000.00 $20,000,000.00 $5,222,000.00 $0.00 $0.00 $0.00 $11,206,989.34 $22,834,334.78 $3,520,137.55 45,000 $981.20 ($847,350.00) $23,718,541.95 ($662,289.75) 71,526 $331.60 ($47,807,458.05) $10,000,000.00 10,000 $1,000.00 $22,000,000.00 22,000 $1,000.00 $10,189,000.00 10,189 $1,000.00 $20,000,000.00 20,000 $1,000.00 $3,133,200.00 5,222 $600.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($2,088,800.00) ($25,000.00) Preferred Stock w/ Warrants $84,784,000.00 $0.00 $824,288.89 Exited bankruptcy/receivership ($84,784,000.00) Preferred Stock w/ Exercised Warrants $700,000.00 $0.00 $763,294.14 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $16,000,000.00 $0.00 $18,933,333.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $12,844,226.31 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,260,000.00 $0.00 $4,296,561.73 Sold, in full; warrants not outstanding Preferred Stock $5,116,000.00 $0.00 $5,875,583.89 Redeemed, in full; warrants not outstanding Preferred Stock $5,500,000.00 $0.00 $5,956,041.66 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,834,000.00 $0.00 $2,339,348.60 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $6,785,000.00 $0.00 $4,808,121.00 Sold, in full; warrants not outstanding $700,000.00 700 $1,000.00 $16,000,000.00 16,000 $1,000.00 $10,000,000.00 10,000 $1,000.00 $2,904,000.00 7,260 $400.00 $5,116,000.00 5,116 $1,000.00 $5,500,000.00 5,500 $1,000.00 $1,834,000.00 1,834 $1,000.00 $35,000.00 35 $1,000,000.00 198,675 $500,000.00 500 $92,000.00 92 ($4,356,000.00) 37 FootNote 12,16 45,8,14 44,8,14 11 11,8,14 11,8,14 8,14 11,8,14 45 8 59,11 8,14 11,16 15,11,14 8,42 8 15,11,14 44 11,8,14 44,8,14 11 11 8,11,14,18 109 11 44,8,14 8,14 11,8,14 45 12,16 8 11 11 Institution Name MONARCH COMMUNITY BANCORP, INC. MONARCH FINANCIAL HOLDINGS, INC. MONARCH FINANCIAL HOLDINGS, INC. MONARCH FINANCIAL HOLDINGS, INC. MONEYTREE CORPORATION MONEYTREE CORPORATION MONUMENT BANK MONUMENT BANK MORGAN STANLEY MORGAN STANLEY MORGAN STANLEY MORRILL BANCSHARES, INC. MORRILL BANCSHARES, INC. MOSCOW BANCSHARES, INC. MOSCOW BANCSHARES, INC. MOSCOW BANCSHARES, INC. MOUNTAIN VALLEY BANCSHARES, INC. MOUNTAIN VALLEY BANCSHARES, INC. MOUNTAIN VALLEY BANCSHARES, INC. MS FINANCIAL, INC. MS FINANCIAL, INC. MUTUALFIRST FINANCIAL, INC. MUTUALFIRST FINANCIAL, INC. MUTUALFIRST FINANCIAL, INC. NAPLES BANCORP, INC. NAPLES BANCORP, INC. NARA BANCORP, INC. / BBCN BANCORP, INC. NARA BANCORP, INC. / BBCN BANCORP, INC. NARA BANCORP, INC. / BBCN BANCORP, INC. NATIONAL BANCSHARES, INC. NATIONAL BANCSHARES, INC. NATIONAL BANCSHARES, INC. NATIONAL BANCSHARES, INC. NATIONAL PENN BANCSHARES, INC. NATIONAL PENN BANCSHARES, INC. NATIONAL PENN BANCSHARES, INC. NATIONWIDE BANKSHARES, INC. NATIONWIDE BANKSHARES, INC. NC BANCORP, INC. / METROPOLITAN BANK GROUP, INC. NC BANCORP, INC. / METROPOLITAN BANK GROUP, INC. NCAL BANCORP NEMO BANCSHARES, INC. NEMO BANCSHARES, INC. NEW HAMPSHIRE THRIFT BANCSHARES, INC. NEW HAMPSHIRE THRIFT BANCSHARES, INC. NEW HAMPSHIRE THRIFT BANCSHARES, INC. NEW YORK PRIVATE BANK & TRUST CORPORATION NEW YORK PRIVATE BANK & TRUST CORPORATION NEWBRIDGE BANCORP NEWBRIDGE BANCORP NEWBRIDGE BANCORP NEWBRIDGE BANCORP NEWBRIDGE BANCORP NICOLET BANKSHARES, INC. NICOLET BANKSHARES, INC. NORTH CENTRAL BANCSHARES, INC. NORTH CENTRAL BANCSHARES, INC. NORTH CENTRAL BANCSHARES, INC. NORTHEAST BANCORP NORTHEAST BANCORP NORTHEAST BANCORP NORTHERN STATE BANK / FIRST COMMERCE BANK NORTHERN STATE BANK / FIRST COMMERCE BANK NORTHERN STATE BANK / FIRST COMMERCE BANK NORTHERN STATES FINANCIAL CORPORATION NORTHERN STATES FINANCIAL CORPORATION NORTHERN TRUST CORPORATION NORTHERN TRUST CORPORATION NORTHERN TRUST CORPORATION NORTHWAY FINANCIAL, INC. NORTHWAY FINANCIAL, INC. NORTHWEST BANCORPORATION, INC. NORTHWEST BANCORPORATION, INC. NORTHWEST BANCORPORATION, INC. NORTHWEST BANCORPORATION, INC. NORTHWEST COMMERCIAL BANK NORTHWEST COMMERCIAL BANK OAK RIDGE FINANCIAL SERVICES, INC. OAK RIDGE FINANCIAL SERVICES, INC. OAK RIDGE FINANCIAL SERVICES, INC. OAK RIDGE FINANCIAL SERVICES, INC. OAK VALLEY BANCORP OAK VALLEY BANCORP OAK VALLEY BANCORP OCEANFIRST FINANCIAL CORP. OCEANFIRST FINANCIAL CORP. OCEANFIRST FINANCIAL CORP. OJAI COMMUNITY BANK OJAI COMMUNITY BANK OLD LINE BANCSHARES, INC. OLD LINE BANCSHARES, INC. OLD LINE BANCSHARES, INC. OLD NATIONAL BANCORP OLD NATIONAL BANCORP OLD NATIONAL BANCORP OLD SECOND BANCORP, INC. OLD SECOND BANCORP, INC. OLD SECOND BANCORP, INC. OLD SECOND BANCORP, INC. City COLDWATER CHESAPEAKE CHESAPEAKE CHESAPEAKE LENOIR CITY LENOIR CITY BETHESDA BETHESDA NEW YORK NEW YORK NEW YORK MERRIAM MERRIAM MOSCOW MOSCOW MOSCOW CLEVELAND CLEVELAND CLEVELAND KINGWOOD KINGWOOD MUNCIE MUNCIE MUNCIE NAPLES NAPLES LOS ANGELES LOS ANGELES LOS ANGELES BETTENDORF BETTENDORF BETTENDORF BETTENDORF BOYERTOWN BOYERTOWN BOYERTOWN WEST POINT WEST POINT CHICAGO CHICAGO LOS ANGELES MADISON MADISON NEWPORT NEWPORT NEWPORT NEW YORK NEW YORK GREENSBORO GREENSBORO GREENSBORO GREENSBORO GREENSBORO GREEN BAY GREEN BAY FORT DODGE FORT DODGE FORT DODGE LEWISTON LEWISTON LEWISTON CLOSTER CLOSTER CLOSTER WAUKEGAN WAUKEGAN CHICAGO CHICAGO CHICAGO BERLIN BERLIN SPOKANE SPOKANE SPOKANE SPOKANE LAKEWOOD LAKEWOOD OAK RIDGE OAK RIDGE OAK RIDGE OAK RIDGE OAKDALE OAKDALE OAKDALE TOMS RIVER TOMS RIVER TOMS RIVER OJAI OJAI BOWIE BOWIE BOWIE EVANSVILLE EVANSVILLE EVANSVILLE AURORA AURORA AURORA AURORA State MI VA VA VA TN TN MD MD NY NY NY KS KS TN TN TN GA GA GA TX TX IN IN IN FL FL CA CA CA IA IA IA IA PA PA PA NE NE IL IL CA MO MO NH NH NH NY NY NC NC NC NC NC WI WI IA IA IA ME ME ME NJ NJ NJ IL IL IL IL IL NH NH WA WA WA WA WA WA NC NC NC NC CA CA CA NJ NJ NJ CA CA MD MD MD IN IN IN IL IL IL IL Date 15‐Nov‐13 19‐Dec‐08 23‐Dec‐09 10‐Feb‐10 13‐Mar‐09 15‐Sep‐11 30‐Jan‐09 11‐Aug‐11 28‐Oct‐08 17‐Jun‐09 12‐Aug‐09 16‐Jan‐09 20‐Jul‐11 23‐Jan‐09 25‐Apr‐12 5‐Dec‐12 25‐Sep‐09 22‐Jul‐13 12‐Sep‐13 27‐Mar‐09 19‐Oct‐11 23‐Dec‐08 25‐Aug‐11 28‐Sep‐11 27‐Mar‐09 12‐Jul‐12 21‐Nov‐08 27‐Jun‐12 8‐Aug‐12 27‐Feb‐09 19‐Feb‐13 20‐Feb‐13 26‐Mar‐13 12‐Dec‐08 16‐Mar‐11 13‐Apr‐11 11‐Dec‐09 29‐Dec‐10 26‐Jun‐09 28‐Jun‐13 19‐Dec‐08 19‐Jun‐09 24‐Apr‐13 16‐Jan‐09 25‐Aug‐11 15‐Feb‐12 9‐Jan‐09 24‐Jul‐13 12‐Dec‐08 26‐Apr‐13 29‐Apr‐13 15‐May‐13 31‐May‐13 23‐Dec‐08 1‐Sep‐11 9‐Jan‐09 14‐Dec‐11 11‐Jan‐12 12‐Dec‐08 28‐Nov‐12 28‐Dec‐12 15‐May‐09 18‐Dec‐09 28‐Mar‐12 20‐Feb‐09 30‐Apr‐14 14‐Nov‐08 17‐Jun‐09 26‐Aug‐09 30‐Jan‐09 15‐Sep‐11 13‐Feb‐09 8‐Mar‐13 11‐Mar‐13 9‐Apr‐13 13‐Feb‐09 9‐Jan‐13 30‐Jan‐09 31‐Oct‐12 11‐Jan‐13 6‐Feb‐13 5‐Dec‐08 11‐Aug‐11 28‐Sep‐11 16‐Jan‐09 30‐Dec‐09 3‐Feb‐10 30‐Jan‐09 25‐Sep‐13 5‐Dec‐08 15‐Jul‐09 2‐Sep‐09 12‐Dec‐08 31‐Mar‐09 8‐May‐09 16‐Jan‐09 11‐Mar‐13 26‐Mar‐13 27‐Mar‐13 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Amount Preferred Stock w/ Warrants $14,700,000.00 $0.00 $15,703,166.66 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $9,516,000.00 $0.00 $11,291,481.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,734,000.00 $0.00 $5,623,958.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,000,000,000.00 $0.00 $11,268,055,555.11 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $13,000,000.00 $0.00 $15,429,122.22 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,216,000.00 $0.00 $7,803,377.38 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,300,000.00 Capital Repayment / Disposition / Auction3,5 Investment Status* $0.00 $4,069,975.55 (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $4,545,202.00 2,272,601 $2.00 ($2,239,798.00) $14,700,000.00 14,700 $1,000.00 $260,000.00 132,353 $9,516,000.00 9,516 $1,000.00 $476,000.00 476 $4,734,000.00 4,734 $1,000.00 $237,000.00 237 $10,000,000,000.00 10,000,000 $1,000.00 $950,000,000.00 65,245,759 $13,000,000.00 13,000 $1,000.00 $650,000.00 650 $1,100,000.00 $5,116,000.00 1,100 5,116 $1,000.00 $1,000.00 $3,267,000.00 3,300 $990.00 $311,000.00 311 $140,034.65 165 $386,000.00 386 $900,194.00 625,135 $2,189,317.20 521,266 $342,841.95 $502,606.30 500 733 Sold, in full; warrants not outstanding ($33,000.00) ($25,000.00) Preferred Stock w/ Exercised Warrants $7,723,000.00 $0.00 $9,206,289.90 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $32,382,000.00 $0.00 $37,608,789.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $956,066.67 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $67,000,000.00 $0.00 $81,249,317.20 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $24,664,000.00 $0.00 $21,471,087.90 Sold, in full; warrants not outstanding $7,723,000.00 7,723 $1,000.00 $32,382,000.00 32,382 $1,000.00 $600,000.00 4,000 $150.00 $67,000,000.00 67,000 $1,000.00 $2,438,182.50 $16,064,996.94 3,250 21,414 $750.20 $750.20 $150,000,000.00 150,000 $1,000.00 $2,000,000.00 2,000,000 $1.00 $2,281,458.05 6,880 $331.60 ($3,400,000.00) ($811,817.50) ($5,349,003.06) ($185,031.79) Preferred Stock w/ Warrants $150,000,000.00 $0.00 $167,958,333.33 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $2,000,000.00 $0.00 $2,276,190.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $6,880,000.00 $0.00 $2,613,714.23 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Subordinated Debentures w/ Exercised Warrants $10,000,000.00 $2,330,000.00 $10,000,000.00 $0.00 $1,311,027.78 $3,199,347.39 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,000,000.00 $0.00 $12,041,266.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $267,274,000.00 $52,372,000.00 $0.00 $0.00 $346,794,005.83 $70,087,060.35 $2,330,000.00 2,330,000 $1.00 $10,000,000.00 10,000 $1,000.00 $267,274,000.00 267,274 $1,000.00 $2,709,121.50 $48,641,624.50 2,763 49,609 $980.50 $980.50 $1,000,000.00 735,294 $100,000.00 100,000 $117,000.00 117,000 ($4,598,541.95) $737,100.00 184,275 $13,364,000.00 13,364 $7,778,782.65 2,567,255 $748,000.00 748 $600,000.00 99,157 $95,000.00 67,958 $67,000.00 67 $87,000,000.00 3,824,624 $500,000.00 500 $587,634.55 525 $100,000.00 100 $122,887.50 163,830 $560,000.00 350,346 $430,797.00 190,427 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($53,878.50) ($967,375.50) ($513,507.46) Preferred Stock w/ Exercised Warrants $14,964,000.00 $0.00 $17,904,842.66 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $10,200,000.00 $0.00 $12,294,583.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $4,227,000.00 $0.00 $5,159,181.33 $1,341,000.00 $1,230,000.00 $0.00 $2,987,782.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $17,211,000.00 $0.00 $6,442,172.50 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $1,576,000,000.00 $0.00 $1,709,623,333.35 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,000,000.00 $0.00 $11,930,624.67 Redeemed, in full; warrants not outstanding $10,500,000.00 $0.00 $11,891,847.50 14,964 $1,000.00 10,200 $1,000.00 $4,227,000.00 4,227 $1,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $14,964,000.00 $10,200,000.00 $2,571,000.00 2,571 $1,000.00 $6,023,850.00 20,079,500 $0.30 $1,576,000,000.00 1,576,000 $1,000.00 $10,000,000.00 10,000 $1,000.00 $2,000,000.00 $8,500,000.00 2,000 8,500 $1,032.10 $1,032.10 $1,992,000.00 1,992 $1,000.00 $7,095,550.00 7,700 $921.50 $13,500,000.00 13,500 $1,000.00 $38,263,000.00 38,263 $1,000.00 ($11,187,150.00) Sold, in full; warrants not outstanding $64,220.00 $272,935.00 ($108,371.55) Preferred Stock w/ Exercised Warrants $1,992,000.00 $0.00 $2,380,393.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $7,700,000.00 $0.00 $8,592,336.00 Sold, in full; warrants not outstanding ($604,450.00) ($70,955.50) Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $13,500,000.00 $38,263,000.00 $2,080,000.00 $7,000,000.00 $0.00 $0.00 $0.00 $0.00 $15,871,250.00 $40,521,918.61 $2,654,758.89 $7,438,888.89 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $2,080,000.00 2,080 $1,000.00 $7,000,000.00 7,000 $1,000.00 $104,000.00 104 $225,000.00 141,892 $1,200,000.00 813,008 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $100,000,000.00 $0.00 $102,713,888.89 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $73,000,000.00 $0.00 $31,423,238.49 Sold, in full; warrants not outstanding $100,000,000.00 100,000 $1,000.00 $24,684,870.00 $452,424.00 $668,079.44 70,028 1,200 1,772 $352.50 $377.00 $377.00 ($45,343,130.00) ($747,576.00) ($1,103,920.56) 38 FootNote 8,14 8,51,97 8,9 15,17 8 15,11,14 35,11 8 45,8,14 8,26 8 85 8,14 11 60 8,21,11 8 44 8,14 8 8,11,14 11 44,8,14 11 56,8,14 8,14 8,14 8 8,17,45 11,9,36 8,46,97 8,69 11 Institution Name OLD SECOND BANCORP, INC. OLD SECOND BANCORP, INC. OMEGA CAPITAL CORP. OMEGA CAPITAL CORP. OMEGA CAPITAL CORP. OMEGA CAPITAL CORP. ONE GEORGIA BANK ONE GEORGIA BANK ONE UNITED BANK ONEFINANCIAL CORPORATION OREGON BANCORP, INC. OREGON BANCORP, INC. OREGON BANCORP, INC. OREGON BANCORP, INC. OSB FINANCIAL SERVICES, INC. OSB FINANCIAL SERVICES, INC. PACIFIC CAPITAL BANCORP PACIFIC CAPITAL BANCORP PACIFIC CAPITAL BANCORP PACIFIC CITY FINANCIAL CORPORATION PACIFIC CITY FINANCIAL CORPORATION PACIFIC CITY FINANCIAL CORPORATION PACIFIC COAST BANKERS' BANCSHARES PACIFIC COAST BANKERS' BANCSHARES PACIFIC COAST NATIONAL BANCORP PACIFIC COAST NATIONAL BANCORP PACIFIC COMMERCE BANK PACIFIC COMMERCE BANK PACIFIC COMMERCE BANK PACIFIC INTERNATIONAL BANCORP / BBCN BANCORP, INC. PACIFIC INTERNATIONAL BANCORP / BBCN BANCORP, INC. PARK BANCORPORATION, INC. PARK BANCORPORATION, INC. PARK BANCORPORATION, INC. PARK BANCORPORATION, INC. PARK BANCORPORATION, INC. PARK NATIONAL CORPORATION PARK NATIONAL CORPORATION PARK NATIONAL CORPORATION PARKE BANCORP, INC. PARKE BANCORP, INC. PARKE BANCORP, INC. PARKE BANCORP, INC. PARKE BANCORP, INC. PARKVALE FINANCIAL CORPORATION / F.N.B. CORPORATION PARKVALE FINANCIAL CORPORATION / F.N.B. CORPORATION PASCACK BANCORP, INC. PASCACK BANCORP, INC. PATAPSCO BANCORP, INC. PATHFINDER BANCORP, INC. PATHFINDER BANCORP, INC. PATHFINDER BANCORP, INC. PATHWAY BANCORP PATHWAY BANCORP PATHWAY BANCORP PATRIOT BANCSHARES, INC. PATRIOT BANCSHARES, INC. PATRIOT BANCSHARES, INC. PATRIOT BANCSHARES, INC. PATTERSON BANCSHARES, INC. PATTERSON BANCSHARES, INC. PATTERSON BANCSHARES, INC. PATTERSON BANCSHARES, INC. PATTERSON BANCSHARES, INC. PATTERSON BANCSHARES, INC. PEAPACK‐GLADSTONE FINANCIAL CORPORATION PEAPACK‐GLADSTONE FINANCIAL CORPORATION PEAPACK‐GLADSTONE FINANCIAL CORPORATION PEAPACK‐GLADSTONE FINANCIAL CORPORATION PEAPACK‐GLADSTONE FINANCIAL CORPORATION PENN LIBERTY FINANCIAL CORP. PENN LIBERTY FINANCIAL CORP. PEOPLES BANCORP (OH) PEOPLES BANCORP (OH) PEOPLES BANCORP (OH) PEOPLES BANCORP (OH) PEOPLES BANCORP (WA) PEOPLES BANCORP (WA) PEOPLES BANCORP OF NORTH CAROLINA, INC. PEOPLES BANCORP OF NORTH CAROLINA, INC. PEOPLES BANCORP OF NORTH CAROLINA, INC. PEOPLES BANCORPORATION, INC. PEOPLES BANCORPORATION, INC. PEOPLES BANCSHARES OF TN, INC. PEOPLES BANCSHARES OF TN, INC. PEOPLES BANCSHARES OF TN, INC. PEOPLESSOUTH BANCSHARES, INC. PEOPLESSOUTH BANCSHARES, INC. PFSB BANCORPORATION, INC. / PIGEON FALLS STATE BANK PFSB BANCORPORATION, INC. / PIGEON FALLS STATE BANK PGB HOLDINGS, INC. PGB HOLDINGS, INC. PIERCE COUNTY BANCORP PIERCE COUNTY BANCORP PINNACLE BANK HOLDING COMPANY, INC. PINNACLE FINANCIAL PARTNERS, INC. PINNACLE FINANCIAL PARTNERS, INC. PINNACLE FINANCIAL PARTNERS, INC. PINNACLE FINANCIAL PARTNERS, INC. City AURORA AURORA LAKEWOOD LAKEWOOD LAKEWOOD LAKEWOOD ATLANTA ATLANTA BOSTON LITTLE ROCK SALEM SALEM SALEM SALEM ORANGE ORANGE SANTA BARBARA SANTA BARBARA SANTA BARBARA LOS ANGELES LOS ANGELES LOS ANGELES SAN FRANCISCO SAN FRANCISCO SAN CLEMENTE SAN CLEMENTE LOS ANGELES LOS ANGELES LOS ANGELES SEATTLE SEATTLE MADISON MADISON MADISON MADISON MADISON NEWARK NEWARK NEWARK SEWELL SEWELL SEWELL SEWELL SEWELL MONROEVILLE MONROEVILLE WESTWOOD WESTWOOD DUNDALK OSWEGO OSWEGO OSWEGO CAIRO CAIRO CAIRO HOUSTON HOUSTON HOUSTON HOUSTON PATTERSON PATTERSON PATTERSON PATTERSON PATTERSON PATTERSON GLADSTONE GLADSTONE GLADSTONE GLADSTONE GLADSTONE WAYNE WAYNE MARIETTA MARIETTA MARIETTA MARIETTA LYNDEN LYNDEN NEWTON NEWTON NEWTON EASLEY EASLEY MADISONVILLE MADISONVILLE MADISONVILLE COLQUITT COLQUITT PIGEON FALLS PIGEON FALLS CHICAGO CHICAGO TACOMA TACOMA ORANGE CITY NASHVILLE NASHVILLE NASHVILLE NASHVILLE State IL IL CO CO CO CO GA GA MA AR OR OR OR OR TX TX CA CA CA CA CA CA CA CA CA CA CA CA CA WA WA WI WI WI WI WI OH OH OH NJ NJ NJ NJ NJ PA PA NJ NJ MD NY NY NY NE NE NE TX TX TX TX LA LA LA LA LA LA NJ NJ NJ NJ NJ PA PA OH OH OH OH WA WA NC NC NC SC SC TN TN TN GA GA WI WI IL IL WA WA FL TN TN TN TN Date 9‐Apr‐13 11‐Jun‐13 17‐Apr‐09 19‐Jul‐13 22‐Jul‐13 12‐Sep‐13 8‐May‐09 15‐Jul‐11 19‐Dec‐08 5‐Jun‐09 24‐Apr‐09 18‐Oct‐13 21‐Oct‐13 6‐Jan‐14 1‐May‐09 5‐Oct‐11 21‐Nov‐08 23‐Feb‐11 30‐Nov‐12 19‐Dec‐08 19‐Nov‐13 6‐Jan‐14 23‐Dec‐08 28‐Jul‐11 16‐Jan‐09 11‐Feb‐10 23‐Dec‐08 10‐Feb‐14 19‐Mar‐14 12‐Dec‐08 15‐Feb‐13 6‐Mar‐09 7‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 23‐Dec‐08 25‐Apr‐12 2‐May‐12 30‐Jan‐09 28‐Nov‐12 29‐Nov‐12 11‐Jan‐13 12‐Jun‐13 23‐Dec‐08 3‐Jan‐12 6‐Feb‐09 19‐Oct‐11 19‐Dec‐08 11‐Sep‐09 1‐Sep‐11 1‐Feb‐12 27‐Mar‐09 24‐Jun‐13 26‐Jul‐13 19‐Dec‐08 11‐Apr‐14 14‐Apr‐14 18‐Jul‐14 17‐Apr‐09 7‐Mar‐12 22‐Aug‐12 5‐Dec‐12 8‐May‐13 5‐Jun‐13 9‐Jan‐09 6‐Jan‐10 2‐Mar‐11 11‐Jan‐12 4‐Apr‐12 17‐Apr‐09 1‐Sep‐11 30‐Jan‐09 2‐Feb‐11 28‐Dec‐11 15‐Feb‐12 13‐Feb‐09 3‐Aug‐11 23‐Dec‐08 3‐Jul‐12 8‐Aug‐12 24‐Apr‐09 24‐Apr‐12 20‐Mar‐09 31‐Oct‐12 11‐Jan‐13 6‐Mar‐09 18‐Sep‐13 11‐Sep‐09 25‐Aug‐11 6‐Feb‐09 13‐Aug‐10 23‐Jan‐09 5‐Nov‐10 6‐Mar‐09 12‐Dec‐08 28‐Dec‐11 20‐Jun‐12 18‐Jul‐12 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($258,053.73) Preferred Stock w/ Exercised Warrants $2,816,000.00 $0.00 $3,403,603.15 $106,891.00 815,339 $159,886.25 141 $9,459.13 $128,988.07 11 150 $305,000.00 305,000 Sold, in full; warrants not outstanding $1,239,000.00 $1,577,000.00 1,239 1,577 $1,142.90 $1,142.90 $177,053.10 $225,353.30 ($25,000.00) Preferred Stock w/ Exercised Warrants $5,500,000.00 $0.00 $0.00 Exited bankruptcy/receivership Preferred Stock Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $12,063,000.00 $17,300,000.00 $3,216,000.00 $12,063,000.00 $17,300,000.00 $0.00 $93,823.33 $3,782,990.59 $4,116,801.92 Full investment outstanding; warrants not outstanding Full investment outstanding; warrants outstanding Sold, in full; warrants not outstanding ($5,500,000.00) $100,000.00 $3,116,000.00 100 3,116 $1,000.00 $1,000.00 ($25,000.00) Subordinated Debentures w/ Exercised Warrants $6,100,000.00 $0.00 $7,662,314.53 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $180,634,000.00 $0.00 $168,483,804.20 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $16,200,000.00 $0.00 $21,003,597.96 $6,100,000.00 6,100,000 $1.00 $14.75 $165,983,272.00 1 3,608,332 $29.50 $46.00 16,200 $1,215.20 11,600 $1,000.00 ($10.28) ($14,650,702.97) $393,120.78 15,120 $1,156,636.50 810 $580,000.00 580 ($1,540,039.20) $109,487.50 203 ($619,346.00) ($1,495,494.00) ($4,143,360.00) $88,059.01 $482,779.69 $325,200.40 114 625 421 $2,842,400.00 227,376 $1,650,288.00 438,906 $188,000.00 188 Sold, in full; warrants not outstanding $16,200,000.00 $3,485,754.00 ($196,857.54) Preferred Stock w/ Exercised Warrants $11,600,000.00 $0.00 $13,821,963.89 Redeemed, in full; warrants not outstanding $11,600,000.00 Preferred Stock w/ Exercised Warrants $4,120,000.00 $0.00 $18,087.94 Exited bankruptcy/receivership Preferred Stock w/ Exercised Warrants $4,060,000.00 $0.00 $2,991,670.80 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $6,500,000.00 $0.00 $7,937,744.97 Redeemed, in full; warrants outstanding ($4,120,000.00) $2,519,960.80 4,060 $620.70 $6,500,000.00 6,500 $1,000.00 $1,676,654.00 $4,048,506.00 $11,216,640.00 2,296 5,544 15,360 $730.20 $730.20 $730.20 $100,000,000.00 100,000 $1,000.00 $394,072.28 $11,318,791.40 548 15,740 $719.10 $719.10 $31,762,000.00 31,762 $1,000.00 $3,756,000.00 3,756 $1,000.00 $6,771,000.00 6,771 $1,000.00 $537,633.00 154,354 $3,727,000.00 3,727 $1,167.00 $622,446.27 $226,565.00 186 12,000 14,038 $1,142.00 $1,142.00 $1,704,360.00 $1,993,817.14 $1,035,834.25 $645,781.95 802 500 $250,000.00 $250,000.00 $250,000.00 $500,000.00 $2,440,000.00 250 250 250 500 2,440 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $185,000.00 185 $7,172,000.00 $7,172,000.00 $14,341,000.00 7,172 7,172 14,341 $1,000.00 $1,000.00 $1,000.00 $110,000.00 150,296 $9,960,000.00 9,960 $1,000.00 $498,000.00 498 $21,000,000.00 $18,000,000.00 21,000 18,000 $1,000.00 $1,000.00 $1,200,724.15 313,505 $18,000,000.00 18,000 $1,000.00 $900,000.00 900 25,054 $933.40 $425,000.00 357,234 $12,660,000.00 12,660 $1,000.00 $633,000.00 633 $2,944,500.00 3,900 $755.00 12,325 ($25,000.00) Preferred Stock w/ Exercised Warrants $23,200,000.00 $0.00 $22,020,064.10 Sold, in full; warrants not outstanding ($169,418.00) Preferred Stock w/ Warrants Preferred Stock w/ Warrants $100,000,000.00 $16,288,000.00 $0.00 $0.00 $119,536,844.44 $16,365,554.76 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($153,927.72) ($4,421,208.60) ($117,128.64) Preferred Stock w/ Warrants $31,762,000.00 $0.00 $36,570,413.89 Redeemed, in full; warrants outstanding Preferred Stock w/ Exercised Warrants $3,756,000.00 $0.00 $4,497,312.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $6,000,000.00 $6,771,000.00 $6,000,000.00 $0.00 $377,866.67 $7,976,328.84 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,727,000.00 $0.00 $4,628,862.77 Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Exercised Warrants $26,038,000.00 $0.00 $33,824,567.35 Sold, in full; warrants not outstanding $12,000,000.00 $14,038,000.00 ($297,361.77) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $3,690,000.00 $28,685,000.00 $9,960,000.00 $39,000,000.00 $0.00 $0.00 $0.00 $0.00 $4,692,022.77 $32,075,739.67 $11,745,689.33 $44,926,557.48 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $18,000,000.00 $0.00 $21,325,250.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $25,054,000.00 $0.00 $27,877,966.16 Sold, in full; warrants not outstanding $23,384,401.44 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $12,660,000.00 $3,900,000.00 $0.00 $0.00 $15,362,909.75 $3,809,874.42 ($350,766.02) ($1,669,598.56) Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($955,500.00) $122,225.00 195 $1,000.00 $616,000.00 616 $71,000.00 71 $755,000.00 267,455 ($25,000.00) Preferred Stock w/ Exercised Warrants $12,325,000.00 $0.00 $15,985,994.66 Redeemed, in full; warrants not outstanding $12,325,000.00 Preferred Stock w/ Exercised Warrants $1,500,000.00 $0.00 $1,730,162.66 Redeemed, in full; warrants not outstanding Preferred Stock $3,000,000.00 $0.00 $3,227,916.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $6,800,000.00 $0.00 $207,947.78 Currently not collectible Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $4,389,000.00 $95,000,000.00 $4,389,000.00 $0.00 $284,999.00 $111,918,194.45 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding $1,500,000.00 1,500 $1,000.00 $3,000,000.00 3,000 $1,000.00 ($6,800,000.00) $23,750,000.00 $71,250,000.00 23,750 71,250 $1,000.00 $1,000.00 39 FootNote 44,8,14 15,17 20 8 9,15,36 8,22,97 15,14 8 80 8,17 75,97 8,18 12 8,17,44 88 107 11,8,14 44,8,14 44 8 8,17 44,8,14 44,8,14 8 44,8,14 8,17,62 8,14 11 8 8,14 8 15,11,14 15 8,95,97 Institution Name PLAINS CAPITAL CORPORATION PLAINS CAPITAL CORPORATION PLATO HOLDINGS INC. PLATO HOLDINGS INC. PLATO HOLDINGS INC. PLATO HOLDINGS INC. PLUMAS BANCORP PLUMAS BANCORP PLUMAS BANCORP PLUMAS BANCORP POPULAR, INC. POPULAR, INC. POPULAR, INC. PORTER BANCORP, INC.(PBI) LOUISVILLE, KY PRAIRIE STAR BANCSHARES, INC. PREMIER BANCORP, INC. PREMIER BANCORP, INC. PREMIER BANK HOLDING COMPANY PREMIER BANK HOLDING COMPANY PREMIER FINANCIAL BANCORP, INC. PREMIER FINANCIAL BANCORP, INC. PREMIER FINANCIAL BANCORP, INC. PREMIER FINANCIAL BANCORP, INC. PREMIER FINANCIAL BANCORP, INC. PREMIER FINANCIAL CORP. PREMIER FINANCIAL CORP. PREMIER FINANCIAL CORP. PREMIER SERVICE BANK PREMIER SERVICE BANK PREMIERWEST BANCORP PREMIERWEST BANCORP PRESIDIO BANK PRESIDIO BANK PRESIDIO BANK PRESIDIO BANK PRINCETON NATIONAL BANCORP, INC. PRINCETON NATIONAL BANCORP, INC. PRIVATE BANCORPORATION, INC. PRIVATE BANCORPORATION, INC. PRIVATE BANCORPORATION, INC. PRIVATEBANCORP, INC. PRIVATEBANCORP, INC. PRIVATEBANCORP, INC. PROVIDENCE BANK PROVIDENCE BANK PROVIDENT BANCSHARES CORP. / M&T BANK CORPORATION PROVIDENT BANCSHARES CORP. / M&T BANK CORPORATION PROVIDENT BANCSHARES CORP. / M&T BANK CORPORATION PROVIDENT BANCSHARES CORP. / M&T BANK CORPORATION PROVIDENT COMMUNITY BANCSHARES, INC. PROVIDENT COMMUNITY BANCSHARES, INC. PSB FINANCIAL CORPORATION PSB FINANCIAL CORPORATION PUGET SOUND BANK PUGET SOUND BANK PULASKI FINANCIAL CORP. PULASKI FINANCIAL CORP. PULASKI FINANCIAL CORP. QCR HOLDINGS, INC. QCR HOLDINGS, INC. QCR HOLDINGS, INC. RANDOLPH BANK & TRUST COMPANY RANDOLPH BANK & TRUST COMPANY RCB FINANCIAL CORPORATION RCB FINANCIAL CORPORATION RCB FINANCIAL CORPORATION REDWOOD CAPITAL BANCORP REDWOOD CAPITAL BANCORP REDWOOD FINANCIAL, INC. REDWOOD FINANCIAL, INC. REGENT BANCORP, INC. REGENT CAPITAL CORPORATION, INC. / REGENT BANK REGENT CAPITAL CORPORATION, INC. / REGENT BANK REGENTS BANCSHARES, INC. REGENTS BANCSHARES, INC. REGIONAL BANKSHARES, INC. REGIONAL BANKSHARES, INC. REGIONAL BANKSHARES, INC. REGIONAL BANKSHARES, INC. REGIONAL BANKSHARES, INC. REGIONS FINANCIAL CORPORATION REGIONS FINANCIAL CORPORATION REGIONS FINANCIAL CORPORATION RELIANCE BANCSHARES, INC. RELIANCE BANCSHARES, INC. RELIANCE BANCSHARES, INC. RIDGESTONE FINANCIAL SERVICES, INC. RIDGESTONE FINANCIAL SERVICES, INC. RIDGESTONE FINANCIAL SERVICES, INC. RISING SUN BANCORP RIVER VALLEY BANCORPORATION, INC. RIVER VALLEY BANCORPORATION, INC. RIVER VALLEY BANCORPORATION, INC. RIVERSIDE BANCSHARES, INC. RIVERSIDE BANCSHARES, INC. ROGERS BANCSHARES, INC. ROGERS BANCSHARES, INC. ROYAL BANCSHARES OF PENNSYLVANIA, INC. ROYAL BANCSHARES OF PENNSYLVANIA, INC. City DALLAS DALLAS SAINT PAUL SAINT PAUL SAINT PAUL SAINT PAUL QUINCY QUINCY QUINCY QUINCY SAN JUAN SAN JUAN SAN JUAN LOUISVILLE OLATHE WILMETTE WILMETTE TALLAHASSEE TALLAHASSEE HUNTINGTON HUNTINGTON HUNTINGTON HUNTINGTON HUNTINGTON DUBUQUE DUBUQUE DUBUQUE RIVERSIDE RIVERSIDE MEDFORD MEDFORD SAN FRANCISCO SAN FRANCISCO SAN FRANCISCO SAN FRANCISCO PRINCETON PRINCETON MINNEAPOLIS MINNEAPOLIS MINNEAPOLIS CHICAGO CHICAGO CHICAGO ROCKY MOUNT ROCKY MOUNT BALTIMORE BALTIMORE BALTIMORE BALTIMORE ROCK HILL ROCK HILL MANY MANY BELLEVUE BELLEVUE CREVE COEUR CREVE COEUR CREVE COEUR MOLINE MOLINE MOLINE ASHEBORO ASHEBORO ROME ROME ROME EUREKA EUREKA REDWOOD FALLS REDWOOD FALLS DAVIE NOWATA NOWATA VANCOUVER VANCOUVER HARTSVILLE HARTSVILLE HARTSVILLE HARTSVILLE HARTSVILLE BIRMINGHAM BIRMINGHAM BIRMINGHAM FRONTENAC FRONTENAC FRONTENAC BROOKFIELD BROOKFIELD BROOKFIELD RISING SUN WAUSAU WAUSAU WAUSAU LITTLE ROCK LITTLE ROCK LITTLE ROCK LITTLE ROCK NARBERTH NARBERTH State TX TX MN MN MN MN CA CA CA CA PR PR PR KY KS IL IL FL FL WV WV WV WV WV IA IA IA CA CA OR OR CA CA CA CA IL IL MN MN MN IL IL IL NC NC MD MD MD MD SC SC LA LA WA WA MO MO MO IL IL IL NC NC GA GA GA CA CA MN MN FL OK OK WA WA SC SC SC SC SC AL AL AL MO MO MO WI WI WI MD WI WI WI AR AR AR AR PA PA Date 19‐Dec‐08 27‐Sep‐11 17‐Jul‐09 26‐Apr‐13 29‐Apr‐13 31‐May‐13 30‐Jan‐09 29‐Apr‐13 22‐May‐13 31‐May‐13 5‐Dec‐08 2‐Jul‐14 23‐Jul‐14 21‐Nov‐08 3‐Apr‐09 8‐May‐09 13‐Aug‐10 20‐Mar‐09 14‐Aug‐12 2‐Oct‐09 8‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 22‐May‐09 22‐Jul‐13 12‐Sep‐13 20‐Feb‐09 31‐Jan‐14 13‐Feb‐09 9‐Apr‐13 20‐Nov‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 23‐Jan‐09 2‐Nov‐12 27‐Feb‐09 29‐Dec‐09 25‐Jun‐14 30‐Jan‐09 24‐Oct‐12 14‐Nov‐12 2‐Oct‐09 15‐Sep‐11 14‐Nov‐08 21‐Aug‐12 20‐Mar‐13 25‐Mar‐13 13‐Mar‐09 30‐Apr‐14 27‐Feb‐09 29‐Sep‐10 16‐Jan‐09 11‐Aug‐11 16‐Jan‐09 3‐Jul‐12 8‐Aug‐12 13‐Feb‐09 15‐Sep‐11 16‐Nov‐11 30‐Oct‐09 30‐Sep‐13 19‐Jun‐09 25‐Sep‐13 29‐Oct‐13 16‐Jan‐09 21‐Jul‐11 9‐Jan‐09 18‐Aug‐11 6‐Mar‐09 27‐Feb‐09 21‐Jul‐11 23‐Oct‐09 26‐Jan‐12 13‐Feb‐09 8‐Nov‐12 9‐Nov‐12 11‐Jan‐13 26‐Mar‐13 14‐Nov‐08 4‐Apr‐12 2‐May‐12 13‐Feb‐09 25‐Sep‐13 29‐Oct‐13 27‐Feb‐09 20‐Feb‐13 26‐Mar‐13 9‐Jan‐09 12‐Jun‐09 6‐Jun‐12 15‐May‐13 15‐May‐09 14‐May‐14 30‐Jan‐09 5‐Jul‐13 20‐Feb‐09 1‐Jul‐14 Original Investment Type 1 Preferred Stock w/ Exercised Warrants Subordinated Debentures w/ Exercised Warrants Original Investment Amount $87,631,000.00 $2,500,000.00 Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $0.00 $0.00 $105,252,939.77 $3,103,618.40 (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares Redeemed, in full; warrants not outstanding $87,631,000.00 87,631 $1,000.00 $120,000.00 $2,380,000.00 120,000 2,380,000 $1.00 $1.00 $180.00 $3,570.00 11,949 $1,091.10 $1,088,673.39 $4,382,000.00 4,382 $90,582.47 107,000 $234,500.00 237,712 $3,000,000.00 2,093,284 $478,590.75 317,000 $200,000.00 200 $83,086.12 $195,295.20 97 228 $248,000.00 248 $1,225,000.00 645,013 $175,000.00 175 Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Warrants $11,949,000.00 $0.00 $13,764,140.41 Sold, in full; warrants not outstanding $11,949,000.00 ($130,376.73) Preferred Stock w/ Warrants $935,000,000.00 $0.00 $1,220,280,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Subordinated Debentures $35,000,000.00 $2,800,000.00 $6,784,000.00 $35,000,000.00 $2,800,000.00 $0.00 $4,783,333.33 $132,253.00 $7,444,215.12 Full investment outstanding; warrants outstanding Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $9,500,000.00 $0.00 $467,412.50 Exited bankruptcy/receivership Preferred Stock w/ Warrants $22,252,000.00 $0.00 $23,052,240.29 Sold, in full; warrants outstanding $935,000,000.00 935,000 $1,000.00 $6,784,000.00 6,784,000 $1.00 $1,678,618.89 $8,575,102.51 $9,795,998.16 1,863 9,517 10,872 $901.00 $901.00 $901.00 6,349,000 $1.24 $4,000,000.00 4,000 $1,000.00 $41,400,000.00 41,400 $1,000.00 310 10,490 $847.20 $847.20 $8,222,000.00 8,222 $1,000.00 $243,815,000.00 243,815 $1,000.00 $4,000,000.00 4,000 $1,000.00 $151,500,000.00 151,500 $1,000.00 ($9,500,000.00) ($184,381.11) ($941,897.49) ($1,076,001.84) ($200,497.20) Subordinated Debentures w/ Exercised Warrants $6,349,000.00 $0.00 $8,778,669.11 Sold, in full; warrants not outstanding $6,349,000.00 $1,507,379.58 ($78,563.80) Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $4,300,522.22 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $41,400,000.00 $0.00 $42,446,500.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $10,800,000.00 $0.00 $11,077,694.89 Sold, in full; warrants not outstanding $262,635.10 $8,887,232.90 ($47,364.90) ($1,602,767.10) ($91,498.68) Preferred Stock w/ Warrants $25,083,000.00 $0.00 $2,271,405.00 Currently not collectible Preferred Stock w/ Exercised Warrants $4,960,000.00 $3,262,000.00 $0.00 $10,836,280.71 Redeemed, in full; warrants not outstanding ($25,083,000.00) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $243,815,000.00 $4,000,000.00 $151,500,000.00 $0.00 $0.00 $0.00 $290,552,132.92 $4,596,311.80 $199,100,113.41 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding $71.62 $19,047,005.12 Preferred Stock w/ Warrants $9,266,000.00 $0.00 $5,639,391.00 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $9,270,000.00 $0.00 $10,536,802.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,500,000.00 $0.00 $5,355,156.75 $5,096,300.00 9,266 $550.00 $9,270,000.00 9,270 $1,000.00 ($4,169,700.00) $464,000.00 464 $4,500,000.00 4,500 $1,000.00 $225,000.00 225 32,538 $888.00 38,237 $1,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $32,538,000.00 $0.00 $35,195,847.13 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $38,237,000.00 $0.00 $44,286,567.33 Redeemed, in full; warrants not outstanding $28,893,744.00 ($433,406.16) $38,237,000.00 Preferred Stock w/ Exercised Warrants $6,229,000.00 $0.00 $7,190,593.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $8,900,000.00 $0.00 $9,139,863.61 Sold, in full; warrants not outstanding $6,229,000.00 ($3,644,256.00) $1,100,000.00 778,421 $1,100,000.00 521,888 $311,000.00 311 $253,383.25 268 6,229 $1,000.00 8,900 $907.10 $3,800,000.00 3,800 $1,000.00 $190,000.00 190 $2,995,000.00 2,995 $1,000.00 $150,000.00 150 $8,073,279.00 ($826,721.00) ($80,732.79) Preferred Stock w/ Exercised Warrants $3,800,000.00 $0.00 $4,510,626.39 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,995,000.00 $0.00 $3,570,810.92 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $9,982,000.00 $2,655,000.00 $9,982,000.00 $0.00 $784,281.50 $3,135,328.00 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,700,000.00 $0.00 $14,594,338.99 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $1,500,000.00 $0.00 $1,718,159.50 $2,655,000.00 2,655 $1,000.00 $133,000.00 133 $12,700,000.00 12,700 $1,000.00 $381,000.00 381 267 1,233 $925.00 $925.00 $50,000.00 75 $3,500,000,000.00 3,500,000 $1,000.00 $45,000,000.00 48,253,677 $40,000,000.00 40,000 $1,004.90 $2,199,799.80 2,000 10,900 $822.60 $476,206.83 545 $10,500,000.00 $4,500,000.00 10,500,000 4,500,000 $1.00 $1.00 $750,000.00 750,000 $1,100,000.00 1,100,000 $1.00 $55,000.00 55,000 Sold, in full; warrants not outstanding $246,975.00 $1,140,525.00 ($20,025.00) ($92,475.00) ($13,875.00) ($11,125.00) Preferred Stock w/ Warrants $3,500,000,000.00 $0.00 $4,138,055,555.55 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $40,000,000.00 $0.00 $45,820,950.80 Sold, in full; warrants not outstanding $196,000.00 ($401,960.00) Preferred Stock w/ Exercised Warrants $10,900,000.00 $0.00 $9,630,106.93 Sold, in full; warrants not outstanding $8,966,340.00 ($1,933,660.00) ($89,663.40) Preferred Stock w/ Exercised Warrants Subordinated Debentures w/ Exercised Warrants $5,983,000.00 $15,000,000.00 $5,983,000.00 $0.00 $195,637.00 $19,928,275.00 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $1,100,000.00 $0.00 $1,622,708.57 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $25,000,000.00 $0.00 $738,021.00 Currently not collectible ($25,000,000.00) Preferred Stock w/ Warrants $30,407,000.00 $0.00 $36,696,518.83 Sold, in full; warrants outstanding $9,000,000.00 9,000 $1,207.10 $1,863,990.00 40 FootNote 11 8 44 11,44 8,14 44,8,14 11 44,8,14 8,14 44,8,14 44,8,14 11,8,14,36 11,36 44,8,14 15,14 11 15,11,14 11 11 8,32,97 8,14 8,14 11,9,36 8,45,14 44,8,14 44 8 11 44,8,14 8 8 74,8,14 11,61 Institution Name ROYAL BANCSHARES OF PENNSYLVANIA, INC. ROYAL BANCSHARES OF PENNSYLVANIA, INC. S&T BANCORP, INC. S&T BANCORP, INC. S&T BANCORP, INC. SAIGON NATIONAL BANK SALISBURY BANCORP, INC. SALISBURY BANCORP, INC. SALISBURY BANCORP, INC. SANDY SPRING BANCORP, INC. SANDY SPRING BANCORP, INC. SANDY SPRING BANCORP, INC. SANDY SPRING BANCORP, INC. SANTA CLARA VALLEY BANK, N.A SANTA CLARA VALLEY BANK, N.A SANTA CLARA VALLEY BANK, N.A SANTA LUCIA BANCORP SANTA LUCIA BANCORP SBT BANCORP, INC. SBT BANCORP, INC. SCBT FINANCIAL CORPORATION SCBT FINANCIAL CORPORATION SCBT FINANCIAL CORPORATION SEACOAST BANKING CORPORATION OF FLORIDA SEACOAST BANKING CORPORATION OF FLORIDA SEACOAST BANKING CORPORATION OF FLORIDA SEACOAST COMMERCE BANK SEACOAST COMMERCE BANK SECURITY BANCSHARES OF PULASKI COUNTY, INC. SECURITY BANCSHARES OF PULASKI COUNTY, INC. SECURITY BANCSHARES OF PULASKI COUNTY, INC. SECURITY BANCSHARES OF PULASKI COUNTY, INC. SECURITY BANCSHARES OF PULASKI COUNTY, INC. SECURITY BUSINESS BANCORP SECURITY BUSINESS BANCORP SECURITY CALIFORNIA BANCORP SECURITY CALIFORNIA BANCORP SECURITY CAPITAL CORPORATION SECURITY CAPITAL CORPORATION SECURITY FEDERAL CORPORATION SECURITY FEDERAL CORPORATION SECURITY FEDERAL CORPORATION SECURITY STATE BANCSHARES, INC. SECURITY STATE BANCSHARES, INC. SECURITY STATE BANK HOLDING COMPANY SECURITY STATE BANK HOLDING COMPANY SECURITY STATE BANK HOLDING COMPANY SEVERN BANCORP, INC. SEVERN BANCORP, INC. SEVERN BANCORP, INC. SHORE BANCSHARES, INC. SHORE BANCSHARES, INC. SHORE BANCSHARES, INC. SIGNATURE BANCSHARES, INC. SIGNATURE BANCSHARES, INC. SIGNATURE BANK SIGNATURE BANK SIGNATURE BANK SOMERSET HILLS BANCORP SOMERSET HILLS BANCORP SOMERSET HILLS BANCORP SONOMA VALLEY BANCORP SONOMA VALLEY BANCORP SOUND BANKING COMPANY SOUND BANKING COMPANY SOUND BANKING COMPANY SOUTH FINANCIAL GROUP, INC./ CAROLINA FIRST BANK SOUTH FINANCIAL GROUP, INC./ CAROLINA FIRST BANK SOUTHCREST FINANCIAL GROUP, INC. SOUTHCREST FINANCIAL GROUP, INC. SOUTHCREST FINANCIAL GROUP, INC. SOUTHCREST FINANCIAL GROUP, INC. SOUTHERN BANCORP, INC. SOUTHERN BANCORP, INC. SOUTHERN COMMUNITY FINANCIAL CORP. SOUTHERN COMMUNITY FINANCIAL CORP. SOUTHERN FIRST BANCSHARES, INC. SOUTHERN FIRST BANCSHARES, INC. SOUTHERN FIRST BANCSHARES, INC. SOUTHERN HERITAGE BANCSHARES, INC. SOUTHERN HERITAGE BANCSHARES, INC. SOUTHERN ILLINOIS BANCORP, INC. SOUTHERN ILLINOIS BANCORP, INC. SOUTHERN MISSOURI BANCORP, INC. SOUTHERN MISSOURI BANCORP, INC. SOUTHFIRST BANCSHARES, INC. SOUTHWEST BANCORP, INC. SOUTHWEST BANCORP, INC. SOUTHWEST BANCORP, INC. SOVEREIGN BANCSHARES, INC. SOVEREIGN BANCSHARES, INC. SPIRIT BANKCORP, INC. SPIRIT BANKCORP, INC. SPIRIT BANKCORP, INC. ST. JOHNS BANCSHARES, INC. STANDARD BANCSHARES, INC. STANDARD BANCSHARES, INC. STATE BANCORP, INC. / VALLEY NATIONAL BANCORP STATE BANCORP, INC. / VALLEY NATIONAL BANCORP City NARBERTH NARBERTH INDIANA INDIANA INDIANA WESTMINSTER LAKEVILLE LAKEVILLE LAKEVILLE OLNEY OLNEY OLNEY OLNEY SANTA PAULA SANTA PAULA SANTA PAULA ATASCADERO ATASCADERO SIMSBURY SIMSBURY COLUMBIA COLUMBIA COLUMBIA STUART STUART STUART CHULA VISTA CHULA VISTA WAYNESVILLE WAYNESVILLE WAYNESVILLE WAYNESVILLE WAYNESVILLE SAN DIEGO SAN DIEGO RIVERSIDE RIVERSIDE BATESVILLE BATESVILLE AIKEN AIKEN AIKEN CHARLESTON CHARLESTON JAMESTOWN JAMESTOWN JAMESTOWN ANNAPOLIS ANNAPOLIS ANNAPOLIS EASTON EASTON EASTON DALLAS DALLAS NEW YORK NEW YORK NEW YORK BERNARDSVILLE BERNARDSVILLE BERNARDSVILLE SONOMA SONOMA MOREHEAD CITY MOREHEAD CITY MOREHEAD CITY GREENVILLE GREENVILLE FAYETTEVILLE FAYETTEVILLE FAYETTEVILLE FAYETTEVILLE ARKADELPHIA ARKADELPHIA WINSTON‐SALEM WINSTON‐SALEM GREENVILLE GREENVILLE GREENVILLE CLEVELAND CLEVELAND CARMI CARMI POPLAR BLUFF POPLAR BLUFF SYLACAUGA STILLWATER STILLWATER STILLWATER DALLAS DALLAS BRISTOW BRISTOW BRISTOW ST. LOUIS HICKORY HILLS HICKORY HILLS JERICHO JERICHO State PA PA PA PA PA CA CT CT CT MD MD MD MD CA CA CA CA CA CT CT SC SC SC FL FL FL CA CA MO MO MO MO MO CA CA CA CA MS MS SC SC SC MO MO ND ND ND MD MD MD MD MD MD TX TX NY NY NY NJ NJ NJ CA CA NC NC NC SC SC GA GA GA GA AR AR NC NC SC SC SC TN TN IL IL MO MO AL OK OK OK TX TX OK OK OK MO IL IL NY NY Date 2‐Jul‐14 26‐Sep‐14 16‐Jan‐09 7‐Dec‐11 11‐Jun‐13 23‐Dec‐08 13‐Mar‐09 25‐Aug‐11 2‐Nov‐11 5‐Dec‐08 21‐Jul‐10 15‐Dec‐10 23‐Feb‐11 13‐Feb‐09 8‐Mar‐13 9‐Apr‐13 19‐Dec‐08 21‐Oct‐11 27‐Mar‐09 11‐Aug‐11 16‐Jan‐09 20‐May‐09 24‐Jun‐09 19‐Dec‐08 3‐Apr‐12 30‐May‐12 23‐Dec‐08 1‐Sep‐11 13‐Feb‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 26‐Mar‐13 9‐Jan‐09 14‐Jul‐11 9‐Jan‐09 15‐Sep‐11 26‐Jun‐09 29‐Sep‐10 19‐Dec‐08 29‐Sep‐10 31‐Jul‐13 20‐Feb‐09 22‐Sep‐11 1‐May‐09 24‐Jun‐13 26‐Jul‐13 21‐Nov‐08 25‐Sep‐13 29‐Oct‐13 9‐Jan‐09 15‐Apr‐09 16‐Nov‐11 26‐Jun‐09 15‐Dec‐10 12‐Dec‐08 31‐Mar‐09 16‐Mar‐10 16‐Jan‐09 20‐May‐09 24‐Jun‐09 20‐Feb‐09 20‐Aug‐10 9‐Jan‐09 13‐Nov‐12 11‐Jan‐13 5‐Dec‐08 30‐Sep‐10 17‐Jul‐09 8‐Mar‐13 11‐Mar‐13 9‐Apr‐13 16‐Jan‐09 6‐Aug‐10 5‐Dec‐08 1‐Oct‐12 27‐Feb‐09 3‐Jul‐12 25‐Jul‐12 15‐May‐09 8‐Sep‐11 23‐Jan‐09 25‐Aug‐11 5‐Dec‐08 21‐Jul‐11 12‐Jun‐09 5‐Dec‐08 8‐Aug‐12 29‐May‐13 13‐Mar‐09 22‐Sep‐11 27‐Mar‐09 21‐Oct‐13 6‐Jan‐14 13‐Mar‐09 24‐Apr‐09 22‐Feb‐13 5‐Dec‐08 14‐Dec‐11 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $21,407,000.00 Shares Avg. Price 21,407 $1,207.10 108,676 $1,000.00 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $4,433,603.77 ($367,045.94) Preferred Stock w/ Warrants $108,676,000.00 $0.00 $124,916,099.34 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $1,549,000.00 $8,816,000.00 $1,549,000.00 $0.00 $0.00 $10,100,960.44 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $83,094,000.00 $0.00 $95,137,868.33 Redeemed, in full; warrants not outstanding $108,676,000.00 Preferred Stock w/ Exercised Warrants $2,900,000.00 $0.00 $2,697,208.51 $8,816,000.00 8,816 $1,000.00 $41,547,000.00 $41,547,000.00 41,547 41,547 $1,000.00 $1,000.00 $2,465,029.00 2,900 $850.00 ($434,971.00) 4,000 $700.00 ($1,200,000.00) $527,361.00 517,012 $205,000.00 57,671 $4,450,000.00 651,547 $98,251.45 145 $200,000.00 200 Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Warrants $4,000,000.00 $0.00 $3,131,111.11 Sold, in full; warrants not outstanding $2,800,000.00 Preferred Stock w/ Exercised Warrants $4,000,000.00 $0.00 $4,717,144.78 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $64,779,000.00 $0.00 $67,294,638.84 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $50,000,000.00 $0.00 $49,045,470.38 $4,000,000.00 4,000 $1,000.00 $64,779,000.00 64,779 $1,000.00 2,000 $20,510.00 $1,400,000.00 303,083 $55,000.00 589,623 Sold, in full; warrants not outstanding $41,020,000.00 Preferred Stock w/ Exercised Warrants $1,800,000.00 $0.00 $2,153,780.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,152,000.00 $0.00 $1,983,756.24 Sold, in full; warrants not outstanding ($615,300.00) $1,800,000.00 1,800 $1,000.00 $174,537.72 $1,315,959.00 252 1,900 $692.60 $692.60 ($8,980,000.00) ($77,462.28) ($584,041.00) $90,000.00 90 $69,186.80 108 ($14,904.97) ($10,095.03) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $5,803,000.00 $6,815,000.00 $0.00 $0.00 $6,888,017.86 $8,152,698.33 Redeemed, in full; warrants not outstanding $17,388,000.00 $0.00 $19,063,111.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $18,000,000.00 $0.00 $19,650,000.00 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $12,500,000.00 $10,750,000.00 $0.00 $0.00 $14,888,679.86 $14,543,635.13 5,803 $1,000.00 $290,000.00 290 $6,815,000.00 6,815 $1,000.00 $341,000.00 341 $17,388,000.00 17,388 $1,000.00 $522,000.00 522 $18,000,000.00 18,000 $1,000.00 $50,000.00 137,966 $12,500,000.00 12,500 $1,000.00 $10,750,000.00 10,750,000 $1.17 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $5,803,000.00 Redeemed, in full; warrants not outstanding $625,000.00 625 $720,368.55 538,000 $25,000.00 172,970 $85,000.00 85,000 Sold, in full; warrants not outstanding $1,784,607.50 ($125,346.08) Preferred Stock w/ Warrants $23,393,000.00 $0.00 $26,915,463.85 Sold, in full; warrants outstanding $23,367,267.70 23,393 $998.90 $25,000,000.00 25,000 $1,000.00 $1,700,000.00 1,700,000 $1.00 $120,000,000.00 120,000 $1,000.00 $7,414,000.00 7,414 $1,000.00 ($25,732.30) ($233,672.68) Preferred Stock w/ Warrants Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $25,000,000.00 $1,700,000.00 $120,000,000.00 $7,414,000.00 $0.00 $0.00 $0.00 $0.00 $25,358,333.33 $1,994,587.59 $132,967,606.41 $7,816,685.55 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $11,150,939.74 595,829 $275,000.00 163,065 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $8,653,000.00 $0.00 $347,164.00 Currently not collectible Preferred Stock w/ Exercised Warrants $3,070,000.00 $0.00 $3,575,224.44 Sold, in full; warrants not outstanding ($8,653,000.00) $2,832,412.70 3,070 $922.60 ($237,587.30) $124,412.34 154 $130,179,218.75 130,179 $1,000.00 ($216,820,781.25) $400,000.00 10,106,796 $1,814,620.00 $9,889,679.00 2,000 10,900 $907.30 $907.30 ($185,380.00) ($1,010,321.00) $588,264.19 645 11,000 $1,000.00 42,750 $1,000.00 17,299 $904.00 $1,100,000.00 399,970 $4,862,000.00 4,862 $1,000.00 $243,000.00 243 $5,000,000.00 5,000 $1,000.00 $250,000.00 250 $9,550,000.00 9,550 $1,000.00 $70,000,000.00 70,000 $1,000.00 $2,287,197.00 703,753 $18,215,000.00 18,215 $1,000.00 $9,000,000.00 30,000 $300.00 ($25,000.00) Preferred Stock w/ Warrants $347,000,000.00 $0.00 $146,965,329.86 Sold, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,900,000.00 $0.00 $13,109,014.25 Sold, in full; warrants not outstanding ($117,042.99) Preferred Stock $11,000,000.00 $0.00 $11,855,555.56 Redeemed, in full; warrants not outstanding $11,000,000.00 Preferred Stock w/ Warrants $42,750,000.00 $0.00 $51,088,046.14 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $17,299,000.00 $0.00 $19,401,361.89 Sold, in full; warrants not outstanding $42,750,000.00 $15,638,296.00 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $4,862,000.00 $5,000,000.00 $9,550,000.00 $0.00 $0.00 $0.00 $5,718,111.14 $5,955,472.22 $10,804,763.89 ($234,574.44) ($1,660,704.00) Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $2,760,000.00 $70,000,000.00 $2,760,000.00 $0.00 $364,796.34 $85,247,569.91 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $18,215,000.00 $0.00 $21,632,668.61 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $30,000,000.00 $0.00 $11,803,691.75 Sold, in full; warrants not outstanding ($21,000,000.00) $911,000.00 911 $631,941.75 1,500 ($90,000.00) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $3,000,000.00 $60,000,000.00 $3,000,000.00 $0.00 $916,533.00 $75,757,163.03 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $36,842,000.00 $0.00 $42,414,352.50 Redeemed, in full; warrants outstanding $60,000,000.00 12,903,226 $1,432.56 $36,842,000.00 36,842 $1,000.00 $3,000,000.00 41 FootNote 15,17,44 8,11 8,36,11 12,16 15,11,14 15,17,45 11 11 11 31 44 11,8,14 8,14 15 44 11 11 24,49,97 11,8,14 11 11,8,14 12,16 15,44,14 11 8,103 15,17,45 8,97,100 11 11,8,14 63,97 8,14 11 11,8,14 44,8,14 12,16 8 11 Institution Name STATE BANK OF BARTLEY, THE STATE BANK OF BARTLEY, THE STATE BANKSHARES, INC. STATE BANKSHARES, INC. STATE BANKSHARES, INC. STATE CAPITAL CORP. STATE CAPITAL CORP. STATE STREET CORPORATION STATE STREET CORPORATION STATE STREET CORPORATION STEARNS FINANCIAL SERVICES, INC. STEARNS FINANCIAL SERVICES, INC. STEELE STREET BANK CORPORATION STEELE STREET BANK CORPORATION STELLARONE CORPORATION STELLARONE CORPORATION STELLARONE CORPORATION STELLARONE CORPORATION STERLING BANCORP STERLING BANCORP STERLING BANCORP STERLING BANCSHARES, INC. STERLING BANCSHARES, INC. STERLING BANCSHARES, INC. STERLING FINANCIAL CORPORATION STERLING FINANCIAL CORPORATION STERLING FINANCIAL CORPORATION STEWARDSHIP FINANCIAL CORPORATION STEWARDSHIP FINANCIAL CORPORATION STEWARDSHIP FINANCIAL CORPORATION STOCKMENS FINANCIAL CORPORATION STOCKMENS FINANCIAL CORPORATION STOCKMENS FINANCIAL CORPORATION STONEBRIDGE FINANCIAL CORP. STONEBRIDGE FINANCIAL CORP. STONEBRIDGE FINANCIAL CORP. STONEBRIDGE FINANCIAL CORP. SUBURBAN ILLINOIS BANCORP, INC. SUMMIT STATE BANK SUMMIT STATE BANK SUMMIT STATE BANK SUN BANCORP, INC. SUN BANCORP, INC. SUN BANCORP, INC. SUNTRUST BANKS, INC. SUNTRUST BANKS, INC. SUNTRUST BANKS, INC. SUNTRUST BANKS, INC. SUPERIOR BANCORP INC. SUPERIOR BANCORP INC. SURREY BANCORP SURREY BANCORP SUSQUEHANNA BANCSHARES, INC. SUSQUEHANNA BANCSHARES, INC. SUSQUEHANNA BANCSHARES, INC. SUSQUEHANNA BANCSHARES, INC. SV FINANCIAL, INC. SV FINANCIAL, INC. SVB FINANCIAL GROUP SVB FINANCIAL GROUP SVB FINANCIAL GROUP SWORD FINANCIAL CORPORATION SWORD FINANCIAL CORPORATION SYNOVUS FINANCIAL CORP. SYNOVUS FINANCIAL CORP. SYRINGA BANCORP SYRINGA BANCORP TAYLOR CAPITAL GROUP TAYLOR CAPITAL GROUP TAYLOR CAPITAL GROUP TCB CORPORATION/COUNTY BANK TCB CORPORATION/COUNTY BANK TCB HOLDING COMPANY TCB HOLDING COMPANY TCF FINANCIAL CORPORATION TCF FINANCIAL CORPORATION TCF FINANCIAL CORPORATION TCNB FINANCIAL CORP TCNB FINANCIAL CORP TENNESSEE COMMERCE BANCORP, INC. TENNESSEE COMMERCE BANCORP, INC. TENNESSEE VALLEY FINANCIAL HOLDINGS, INC. TENNESSEE VALLEY FINANCIAL HOLDINGS, INC. TENNESSEE VALLEY FINANCIAL HOLDINGS, INC. TENNESSEE VALLEY FINANCIAL HOLDINGS, INC. TEXAS CAPITAL BANCSHARES, INC. TEXAS CAPITAL BANCSHARES, INC. TEXAS CAPITAL BANCSHARES, INC. TEXAS NATIONAL BANCORPORATION INC. TEXAS NATIONAL BANCORPORATION INC. THE ANB CORPORATION THE ANB CORPORATION THE BANCORP, INC. THE BANCORP, INC. THE BANCORP, INC. THE BANK OF CURRITUCK THE BANK OF CURRITUCK THE BANK OF KENTUCKY FINANCIAL CORPORATION THE BANK OF KENTUCKY FINANCIAL CORPORATION City BARTLEY BARTLEY FARGO FARGO FARGO GREENWOOD GREENWOOD BOSTON BOSTON BOSTON ST. CLOUD ST. CLOUD DENVER DENVER CHARLOTTESVILLE CHARLOTTESVILLE CHARLOTTESVILLE CHARLOTTESVILLE NEW YORK NEW YORK NEW YORK HOUSTON HOUSTON HOUSTON SPOKANE SPOKANE SPOKANE MIDLAND PARK MIDLAND PARK MIDLAND PARK RAPID CITY RAPID CITY RAPID CITY WEST CHESTER WEST CHESTER WEST CHESTER WEST CHESTER ELMHURST SANTA ROSA SANTA ROSA SANTA ROSA VINELAND VINELAND VINELAND ATLANTA ATLANTA ATLANTA ATLANTA BIRMINGHAM BIRMINGHAM MOUNT AIRY MOUNT AIRY LITITZ LITITZ LITITZ LITITZ STERLING STERLING SANTA CLARA SANTA CLARA SANTA CLARA HORICON HORICON COLUMBUS COLUMBUS BOISE BOISE ROSEMONT ROSEMONT ROSEMONT GREENWOOD GREENWOOD THE WOODLANDS THE WOODLANDS WAYZATA WAYZATA WAYZATA DAYTON DAYTON FRANKLIN FRANKLIN OAK RIDGE OAK RIDGE OAK RIDGE OAK RIDGE DALLAS DALLAS DALLAS JACKSONVILLE JACKSONVILLE TERRELL TERRELL WILMINGTON WILMINGTON WILMINGTON MOYOCK MOYOCK CRESTVIEW HILLS CRESTVIEW HILLS State NE NE ND ND ND MS MS MA MA MA MN MN CO CO VA VA VA VA NY NY NY TX TX TX WA WA WA NJ NJ NJ SD SD SD PA PA PA PA IL CA CA CA NJ NJ NJ GA GA GA GA AL AL NC NC PA PA PA PA IL IL CA CA CA WI WI GA GA ID ID IL IL IL SC SC TX TX MN MN MN OH OH TN TN TN TN TN TN TX TX TX TX TX TX TX DE DE DE NC NC KY KY Date Original Investment Type 1 4‐Sep‐09 22‐Sep‐11 16‐Jan‐09 12‐Aug‐09 29‐Jun‐11 13‐Feb‐09 29‐Sep‐10 28‐Oct‐08 17‐Jun‐09 8‐Jul‐09 26‐Jun‐09 18‐Jan‐12 25‐Sep‐09 1‐Sep‐11 19‐Dec‐08 13‐Apr‐11 28‐Dec‐11 18‐Dec‐13 23‐Dec‐08 27‐Apr‐11 18‐May‐11 12‐Dec‐08 5‐May‐09 15‐Jun‐10 5‐Dec‐08 20‐Aug‐12 19‐Sep‐12 30‐Jan‐09 1‐Sep‐11 26‐Oct‐11 6‐Feb‐09 12‐Jan‐11 16‐Mar‐11 23‐Jan‐09 26‐Mar‐13 27‐Mar‐13 9‐Apr‐13 19‐Jun‐09 19‐Dec‐08 4‐Aug‐11 14‐Sep‐11 9‐Jan‐09 8‐Apr‐09 27‐May‐09 14‐Nov‐08 31‐Dec‐08 30‐Mar‐11 28‐Sep‐11 5‐Dec‐08 15‐Apr‐11 9‐Jan‐09 29‐Dec‐10 12‐Dec‐08 21‐Apr‐10 22‐Dec‐10 19‐Jan‐11 10‐Apr‐09 31‐Aug‐11 12‐Dec‐08 23‐Dec‐09 16‐Jun‐10 8‐May‐09 15‐Sep‐11 19‐Dec‐08 26‐Jul‐13 16‐Jan‐09 31‐Jan‐14 21‐Nov‐08 19‐Jun‐12 18‐Jul‐12 28‐Aug‐09 8‐Sep‐11 16‐Jan‐09 13‐Dec‐13 14‐Nov‐08 22‐Apr‐09 21‐Dec‐09 23‐Dec‐08 3‐Aug‐11 19‐Dec‐08 27‐Jan‐12 23‐Dec‐08 26‐Apr‐13 29‐Apr‐13 31‐May‐13 16‐Jan‐09 13‐May‐09 17‐Mar‐10 9‐Jan‐09 19‐May‐10 7‐Aug‐09 25‐Aug‐11 12‐Dec‐08 10‐Mar‐10 8‐Sep‐10 6‐Feb‐09 3‐Dec‐10 13‐Feb‐09 22‐Dec‐10 Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Original Investment Amount $1,697,000.00 $50,000,000.00 $15,000,000.00 Total Cash Back2 Outstanding Investment $0.00 $0.00 $2,030,299.18 $58,008,472.23 $17,080,708.67 $2,123,611,111.12 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $24,900,000.00 $0.00 $31,495,442.29 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $11,019,000.00 $0.00 $13,078,672.60 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $30,000,000.00 $0.00 $37,191,875.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants $125,198,000.00 $303,000,000.00 $0.00 $0.00 $47,869,108.33 $130,542,485.91 $121,757,209.63 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $10,000,000.00 $15,568,000.00 $10,973,000.00 $0.00 $0.00 $0.00 $11,400,453.22 $18,101,553.84 $2,652,816.96 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $1,697,000.00 1,697,000 $1.00 $51,000.00 $12,500,000.00 $37,500,000.00 12,500 37,500 $1,000.00 $1,000.00 $2,500,000.00 250 $15,000,000.00 15,000 $1,000.00 $750,000.00 750 $2,000,000,000.00 20,000 $100,000.00 $60,000,000.00 2,788,104 $24,900,000.00 24,900,000 $1.00 $1,245,000.00 1,245,000 $11,019,000.00 11,019,000 $1.00 $331,000.00 331,000 $7,500,000.00 $22,500,000.00 7,500 22,500 $1,000.00 $1,000.00 51,000 $2,920,000.00 302,623 $42,000,000.00 42,000 $1,000.00 $945,775.00 516,817 $125,198,000.00 125,198 $1,000.00 $2,857,914.52 2,615,557 5,738,637 $20.00 $825,000.00 97,541 $107,398.00 133,475 $778,000.00 778 $130,704.17 $8,358.99 516 33 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding $114,772,740.00 Preferred Stock w/ Warrants Avg. Price Redeemed, in full; warrants not outstanding $0.00 $0.00 Shares Redeemed, in full; warrants not outstanding $2,000,000,000.00 $42,000,000.00 (Fee) 4 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants Capital Repayment / Disposition / Auction3,5 Investment Status* Amount $0.00 ($1,434,659.25) ($188,227,260.00) Redeemed, in full; warrants not outstanding $10,000,000.00 10,000 $1,000.00 $4,000,000.00 $11,568,000.00 4,000 11,568 $1,000.00 $1,000.00 $1,796,209.03 $107,935.66 10,351 622 $173.50 $173.50 $8,500,000.00 8,500 $1,000.00 $89,310,000.00 89,310 $1,000.00 Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($8,554,790.97) ($514,064.34) ($25,000.00) Subordinated Debentures w/ Exercised Warrants Preferred Stock w/ Warrants $15,000,000.00 $8,500,000.00 $15,000,000.00 $0.00 $2,083,520.25 $9,930,625.00 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $89,310,000.00 $0.00 $92,513,970.83 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $3,500,000,000.00 $1,350,000,000.00 $0.00 $5,448,052,772.51 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $69,000,000.00 $0.00 $4,983,333.33 Currently not collectible $4,850,000,000.00 48,500 $315,000.00 239,212 $2,100,000.00 1,620,545 $30,066,661.40 17,900,182 $100,000.00 100 $5,269,179.36 3,028,264 $100,000.00 ($69,000,000.00) Preferred Stock w/ Exercised Warrants $2,000,000.00 $0.00 $2,314,972.22 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $300,000,000.00 $0.00 $328,991,401.58 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $4,000,000.00 $235,000,000.00 $0.00 $0.00 $4,721,382.89 $253,929,027.78 $2,000,000.00 2,000 $1,000.00 $200,000,000.00 $100,000,000.00 200,000 100,000 $1,000.00 $1,000.00 $4,000,000.00 4,000 $1,000.00 $235,000,000.00 235,000 $1,000.00 Redeemed, in full; warrants not outstanding $200,000.00 200 $6,820,000.00 354,058 $682,000.00 682,000 $9,839,273.00 1,462,647 $292,000.00 292,000 $9,449,980.56 3,199,988 $100,000.00 100 $19,218.87 $124,922.63 20 130 $6,559,066.21 758,086 Redeemed, in full; warrants not outstanding Subordinated Debentures w/ Exercised Warrants $13,644,000.00 $0.00 $17,019,233.91 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $967,870,000.00 $0.00 $1,190,614,526.39 Redeemed, in full; warrants outstanding Preferred Stock w/ Exercised Warrants $8,000,000.00 $0.00 $253,122.22 Currently not collectible Preferred Stock w/ Warrants $104,823,000.00 $0.00 $120,845,170.80 Sold, in full; warrants not outstanding $13,644,000.00 13,644,000 $1.00 $967,870,000.00 967,870 $1,000.00 104,823 $893.50 9,720,000 $1.00 ($8,000,000.00) $93,659,350.50 Subordinated Debentures w/ Exercised Warrants $9,720,000.00 $0.00 $11,611,381.34 ($1,404,890.26) ($11,163,649.50) Redeemed, in full; warrants not outstanding $9,720,000.00 Preferred Stock w/ Exercised Warrants $11,730,000.00 $0.00 $690,832.08 Currently not collectible Preferred Stock w/ Warrants $361,172,000.00 $0.00 $378,547,699.45 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $2,000,000.00 $0.00 $2,384,611.11 Redeemed, in full; warrants not outstanding ($11,730,000.00) Preferred Stock w/ Warrants $30,000,000.00 $0.00 $3,233,333.33 $361,172,000.00 361,172 $1,000.00 $2,000,000.00 2,000 $1,000.00 Currently not collectible ($30,000,000.00) Preferred Stock w/ Exercised Warrants $3,000,000.00 $0.00 $3,331,713.17 Sold, in full; warrants not outstanding $298,000.00 $2,702,000.00 298 2,702 $1,022.10 $1,022.10 $6,588.78 $59,741.22 $75,000,000.00 75,000 $1,000.00 $3,981,000.00 3,981 $1,000.00 $199,000.00 199 $20,000,000.00 20,000 $1,000.00 $1,000,000.00 1,000 $45,220,000.00 45,220 $1,000.00 $4,753,984.55 980,203 $1,742,850.00 4,021 $433.40 $17,000,000.00 17,000 $1,000.00 ($25,000.00) Preferred Stock w/ Warrants $75,000,000.00 $0.00 $82,777,816.21 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $3,981,000.00 $0.00 $4,475,307.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $20,000,000.00 $0.00 $23,234,499.98 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $45,220,000.00 $0.00 $52,787,673.44 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,021,000.00 $0.00 $1,912,684.00 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $34,000,000.00 $0.00 $40,091,342.55 ($2,278,150.00) Redeemed, in full; warrants not outstanding 42 FootNote 8,14 44 11 11,36 11,8,14 11,8,14 11 8,44,14 8,14 11 44,8,14 8,14 8,18,21,44 8,21 8,47,97 11,8,14 8 45 8 44,8,14 44,8,14 8,14 11,8,9 11,8 8,14,18 11 44,8,14 11 8 44,8,14 22,97 12,16 8,14,18,44,45 Institution Name THE BANK OF KENTUCKY FINANCIAL CORPORATION THE BANK OF KENTUCKY FINANCIAL CORPORATION THE BARABOO BANCORPORATION, INC. THE BARABOO BANCORPORATION, INC. THE BARABOO BANCORPORATION, INC. THE BARABOO BANCORPORATION, INC. THE CONNECTICUT BANK AND TRUST COMPANY THE CONNECTICUT BANK AND TRUST COMPANY THE ELMIRA SAVINGS BANK, FSB THE ELMIRA SAVINGS BANK, FSB THE FIRST BANCORP, INC. THE FIRST BANCORP, INC. THE FIRST BANCORP, INC. THE FIRST BANCORP, INC. THE FIRST BANCSHARES, INC. THE FIRST BANCSHARES, INC. THE FIRST STATE BANK OF MOBEETIE THE FIRST STATE BANK OF MOBEETIE THE FREEPORT STATE BANK THE FREEPORT STATE BANK THE HARTFORD FINANCIAL SERVICES GROUP, INC. THE HARTFORD FINANCIAL SERVICES GROUP, INC. THE HARTFORD FINANCIAL SERVICES GROUP, INC. THE LANDRUM COMPANY THE LANDRUM COMPANY THE LITTLE BANK, INCORPORATED THE LITTLE BANK, INCORPORATED THE LITTLE BANK, INCORPORATED THE PNC FINANCIAL SERVICES GROUP, INC. THE PNC FINANCIAL SERVICES GROUP, INC. THE PNC FINANCIAL SERVICES GROUP, INC. THE PRIVATE BANK OF CALIFORNIA THE PRIVATE BANK OF CALIFORNIA THE QUEENSBOROUGH COMPANY THE QUEENSBOROUGH COMPANY THE QUEENSBOROUGH COMPANY THE QUEENSBOROUGH COMPANY THE VICTORY BANCORP, INC. THE VICTORY BANCORP, INC. THE VICTORY BANCORP, INC. THREE SHORES BANCORPORATION, INC. THREE SHORES BANCORPORATION, INC. THREE SHORES BANCORPORATION, INC. THREE SHORES BANCORPORATION, INC. TIB FINANCIAL CORP TIB FINANCIAL CORP TIDELANDS BANCSHARES, INC. TIFTON BANKING COMPANY TIFTON BANKING COMPANY TIMBERLAND BANCORP, INC. TIMBERLAND BANCORP, INC. TIMBERLAND BANCORP, INC. TIMBERLAND BANCORP, INC. TIMBERLAND BANCORP, INC. TIMBERLAND BANCORP, INC. TITONKA BANCSHARES, INC. TITONKA BANCSHARES, INC. TODD BANCSHARES, INC. TODD BANCSHARES, INC. TOWNEBANK TOWNEBANK TOWNEBANK TREATY OAK BANCORP, INC. TREATY OAK BANCORP, INC. TREATY OAK BANCORP, INC. TRIAD BANCORP, INC. TRIAD BANCORP, INC. TRI‐COUNTY FINANCIAL CORPORATION TRI‐COUNTY FINANCIAL CORPORATION TRINITY CAPITAL CORPORATION TRINITY CAPITAL CORPORATION TRINITY CAPITAL CORPORATION TRINITY CAPITAL CORPORATION TRINITY CAPITAL CORPORATION TRI‐STATE BANK OF MEMPHIS TRI‐STATE BANK OF MEMPHIS TRISTATE CAPITAL HOLDINGS, INC. TRISTATE CAPITAL HOLDINGS, INC. TRISUMMIT BANK TRISUMMIT BANK TRISUMMIT BANK TRISUMMIT BANK TRUSTMARK CORPORATION TRUSTMARK CORPORATION TRUSTMARK CORPORATION TWO RIVERS FINANCIAL GROUP, INC. TWO RIVERS FINANCIAL GROUP, INC. U.S. BANCORP U.S. BANCORP U.S. BANCORP U.S. CENTURY BANK UBT BANCSHARES, INC. UBT BANCSHARES, INC. UCBH HOLDINGS INC. UCBH HOLDINGS INC. UMPQUA HOLDINGS CORP. UMPQUA HOLDINGS CORP. UMPQUA HOLDINGS CORP. UNION BANK & TRUST COMPANY City CRESTVIEW HILLS CRESTVIEW HILLS BARABOO BARABOO BARABOO BARABOO HARTFORD HARTFORD ELMIRA ELMIRA DAMARISCOTTA DAMARISCOTTA DAMARISCOTTA DAMARISCOTTA HATTIESBURG HATTIESBURG MOBEETIE MOBEETIE HARPER HARPER HARTFORD HARTFORD HARTFORD COLUMBIA COLUMBIA KINSTON KINSTON KINSTON PITTSBURGH PITTSBURGH PITTSBURGH LOS ANGELES LOS ANGELES LOUISVILLE LOUISVILLE LOUISVILLE LOUISVILLE LIMERICK LIMERICK LIMERICK ORLANDO ORLANDO ORLANDO ORLANDO NAPLES NAPLES MT. PLEASANT TIFTON TIFTON HOQUIAM HOQUIAM HOQUIAM HOQUIAM HOQUIAM HOQUIAM TITONKA TITONKA HOPKINSVILLE HOPKINSVILLE PORTSMOUTH PORTSMOUTH PORTSMOUTH AUSTIN AUSTIN AUSTIN FRONTENAC FRONTENAC WALDORF WALDORF LOS ALAMOS LOS ALAMOS LOS ALAMOS LOS ALAMOS LOS ALAMOS MEMPHIS MEMPHIS PITTSBURGH PITTSBURGH KINGSPORT KINGSPORT KINGSPORT KINGSPORT JACKSON JACKSON JACKSON BURLINGTON BURLINGTON MINNEAPOLIS MINNEAPOLIS MINNEAPOLIS MIAMI MARYSVILLE MARYSVILLE SAN FRANCISCO SAN FRANCISCO PORTLAND PORTLAND PORTLAND OXFORD State KY KY WI WI WI WI CT CT NY NY ME ME ME ME MS MS TX TX KS KS CT CT CT MO MO NC NC NC PA PA PA CA CA GA GA GA GA PA PA PA FL FL FL FL FL FL SC GA GA WA WA WA WA WA WA IA IA KY KY VA VA VA TX TX TX MO MO MD MD NM NM NM NM NM TN TN PA PA TN TN TN TN MS MS MS IA IA MN MN MN FL KS KS CA CA OR OR OR NC Date 23‐Nov‐11 29‐May‐13 16‐Jan‐09 10‐Dec‐12 11‐Dec‐12 11‐Jan‐13 19‐Dec‐08 19‐Apr‐12 19‐Dec‐08 25‐Aug‐11 9‐Jan‐09 24‐Aug‐11 27‐Mar‐13 8‐May‐13 6‐Feb‐09 29‐Sep‐10 27‐Feb‐09 14‐Apr‐10 6‐Feb‐09 19‐Dec‐12 26‐Jun‐09 31‐Mar‐10 27‐Sep‐10 22‐May‐09 18‐Aug‐11 23‐Dec‐08 31‐Oct‐12 11‐Jan‐13 31‐Dec‐08 10‐Feb‐10 5‐May‐10 20‐Feb‐09 1‐Sep‐11 9‐Jan‐09 8‐Mar‐13 11‐Mar‐13 9‐Apr‐13 27‐Feb‐09 11‐Dec‐09 22‐Sep‐11 23‐Jan‐09 8‐Nov‐12 9‐Nov‐12 11‐Jan‐13 5‐Dec‐08 30‐Sep‐10 19‐Dec‐08 17‐Apr‐09 12‐Nov‐10 23‐Dec‐08 8‐Nov‐12 9‐Nov‐12 13‐Nov‐12 11‐Jan‐13 11‐Jun‐13 3‐Apr‐09 4‐Apr‐12 6‐Feb‐09 25‐Sep‐13 12‐Dec‐08 22‐Sep‐11 15‐May‐13 16‐Jan‐09 15‐Feb‐11 21‐Dec‐12 27‐Mar‐09 22‐Sep‐11 19‐Dec‐08 22‐Sep‐11 27‐Mar‐09 7‐Aug‐12 9‐Aug‐12 10‐Aug‐12 11‐Sep‐12 3‐Apr‐09 13‐Aug‐10 27‐Feb‐09 26‐Sep‐12 3‐Apr‐09 22‐Dec‐09 29‐Nov‐12 11‐Jan‐13 21‐Nov‐08 9‐Dec‐09 30‐Dec‐09 29‐May‐09 1‐Sep‐11 14‐Nov‐08 17‐Jun‐09 15‐Jul‐09 7‐Aug‐09 30‐Jan‐09 11‐Aug‐11 14‐Nov‐08 6‐Nov‐09 14‐Nov‐08 17‐Feb‐10 31‐Mar‐10 1‐May‐09 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 $17,000,000.00 Preferred Stock w/ Exercised Warrants $20,749,000.00 $0.00 $18,023,831.85 Shares Avg. Price 17,000 (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $1,000.00 $2,150,648.55 276,078 $403,161.92 $455,316.35 487 550 $792,783.00 175,742 Sold, in full; warrants not outstanding $1,956,900.00 $11,577,672.70 3,000 17,749 $652.30 $652.30 ($1,043,100.00) ($6,171,327.30) ($135,345.73) Preferred Stock w/ Warrants $5,448,000.00 $0.00 $6,902,866.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $9,090,000.00 $0.00 $10,309,575.00 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $25,000,000.00 $0.00 $29,332,986.11 Preferred Stock w/ Warrants $5,000,000.00 $0.00 $5,411,805.56 Redeemed, in full; warrants outstanding $731,000.00 $0.00 $813,086.56 Redeemed, in full; warrants not outstanding $301,000.00 $0.00 $379,458.89 5,448 $1,000.00 9,090 $1,000.00 $12,500,000.00 $2,500,000.00 $10,000,000.00 12,500 2,500 10,000 $1,000.00 $1,000.00 $1,000.00 $5,000,000.00 5,000 $1,000.00 $731,000.00 731 $1,000.00 $37,000.00 37 $301,000.00 301 $1,000.00 $15,000.00 15 $3,400,000,000.00 3,400,000 $1,000.00 $706,264,559.89 52,093,973 $15,000,000.00 15,000 $1,000.00 $750,000.00 750 $7,359,000.00 7,500 $981.20 $371,250.00 375 $7,579,200,000.00 $75,792.00 $100,000.00 $320,372,284.16 16,885,192 $5,450,000.00 5,450 $1,000.00 $273,000.00 273 $244,225.00 $11,478,575.00 250 11,750 $976.90 $976.90 $4,806.45 $571,967.55 5 595 $2,046,000.00 2,046 $1,000.00 $61,000.00 61 $1,165,528.32 $3,877,691.40 1,312 4,365 $888.40 $888.40 ($146,471.68) ($487,308.60) $282,284.64 284 $12,119,637.37 12,120 $1,000.00 ($24,880,362.63) $40,000.00 1,106,389 $3,290,437.50 $1,580,962.50 $9,481,462.50 3,815 1,833 10,993 $862.50 $862.50 $862.50 $1,301,856.00 370,899 $2,117,000.00 2,117 $1,000.00 $106,000.00 106 $4,000,000.00 4,000 $1,000.00 $200,000.00 200 $76,458,000.00 76,458 $1,000.00 $1,500,000.00 554,330 $500,000.00 $150,000.00 3,118 150,000 $155.47 $1.00 Redeemed, in full; warrants outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $5,448,000.00 $9,090,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $3,400,000,000.00 $0.00 $4,236,125,671.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,000,000.00 $0.00 $17,580,291.55 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,500,000.00 $0.00 $9,232,652.17 Sold, in full; warrants not outstanding ($141,000.00) ($73,590.00) Preferred Stock w/ Warrants $7,579,200,000.00 $0.00 $8,320,638,950.83 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,450,000.00 $0.00 $6,474,752.14 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $13,065,246.00 Sold, in full; warrants not outstanding ($5,775.00) ($271,425.00) ($117,228.00) Preferred Stock w/ Exercised Warrants $541,000.00 $1,505,000.00 $0.00 $2,322,183.20 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,677,000.00 $0.00 $6,449,130.64 Sold, in full; warrants not outstanding ($50,432.20) Preferred Stock w/ Warrants $37,000,000.00 $0.00 $13,444,359.59 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $14,448,000.00 $3,800,000.00 $14,448,000.00 $0.00 $1,195,973.33 $223,208.00 Full investment outstanding; warrants outstanding Exited bankruptcy/receivership Preferred Stock w/ Warrants $16,641,000.00 $0.00 $18,857,818.52 Sold, in full; warrants not outstanding ($3,800,000.00) ($524,562.50) ($252,037.50) ($1,511,537.50) ($143,528.63) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $2,117,000.00 $4,000,000.00 $76,458,000.00 $3,268,000.00 $0.00 $0.00 $0.00 $0.00 $2,569,490.36 $5,210,672.22 $88,577,166.67 $842,415.03 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants outstanding Preferred Stock w/ Exercised Warrants $3,700,000.00 $0.00 $4,386,324.64 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $15,540,000.00 $0.00 $18,653,115.75 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $35,539,000.00 $0.00 $34,644,476.74 Sold, in full; warrants not outstanding ($2,618,000.00) $3,700,000.00 3,700 $1,000.00 $185,000.00 185 $15,540,000.00 15,540 $1,000.00 $777,000.00 777 3,518 9,382 22,639 $750.20 $750.20 $750.20 $163,062.90 $1,300,776.05 $191,948.33 175 1,396 206 $1,150,000.00 1,150 $124,665.75 138 $10,000,000.00 1,647,931 $600,000.00 60 $139,000,000.00 32,679,102 $450,000.00 45 $4,500,000.00 1,110,898 $2,639,379.50 $7,038,845.50 $16,984,909.75 ($878,620.50) ($2,343,154.50) ($5,654,090.25) ($266,631.35) Preferred Stock $2,795,000.00 $0.00 $2,985,215.11 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $23,000,000.00 $0.00 $28,642,402.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $2,765,000.00 $4,237,000.00 $0.00 $6,496,417.16 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $215,000,000.00 $0.00 $236,287,500.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $14,075,133.27 Redeemed, in full; warrants not outstanding $2,795,000.00 2,795 $1,000.00 $23,000,000.00 23,000 $1,000.00 7,002 $750.00 $5,251,500.00 ($1,750,500.00) ($52,515.00) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $6,599,000,000.00 $50,236,000.00 $8,950,000.00 $0.00 $50,236,000.00 $0.00 $6,933,220,416.67 $745,311.72 $10,634,911.78 $215,000,000.00 215,000 $1,000.00 $12,000,000.00 12,000 $1,000.00 $6,599,000,000.00 6,599,000 $1,000.00 Redeemed, in full; warrants not outstanding Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding $8,950,000.00 Preferred Stock w/ Warrants $298,737,000.00 $0.00 $7,509,920.07 Currently not collectible Preferred Stock w/ Warrants $214,181,000.00 $0.00 $232,156,554.58 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $3,194,000.00 $0.00 $7,031,291.65 Redeemed, in full; warrants not outstanding 8,950 $1,000.00 ($298,737,000.00) $214,181,000.00 214,181 $1,000.00 43 FootNote 8,17,11 12,16,25 8 11,36 15,11,14 44,11,8 11 8 11,9,15 8 11,8 11,8,14 8 11 8,44,14 11 8,41,44 11 8,17 11,8,14 45,8,14 8,17,11 11 11,16 11 8,18,21,44 8,17 Institution Name UNION BANK & TRUST COMPANY UNION BANK & TRUST COMPANY UNION FINANCIAL CORPORATION UNION FINANCIAL CORPORATION UNION FINANCIAL CORPORATION UNION FIRST MARKET BANKSHARES CORPORATION UNION FIRST MARKET BANKSHARES CORPORATION UNION FIRST MARKET BANKSHARES CORPORATION UNITED AMERICAN BANK UNITED AMERICAN BANK UNITED AMERICAN BANK UNITED BANCORP, INC. UNITED BANCORP, INC. UNITED BANCORP, INC. UNITED BANCORPORATION OF ALABAMA, INC. UNITED BANCORPORATION OF ALABAMA, INC. UNITED BANK CORPORATION UNITED BANK CORPORATION UNITED COMMUNITY BANKS, INC. UNITED COMMUNITY BANKS, INC. UNITED COMMUNITY BANKS, INC. UNITED COMMUNITY BANKS, INC. UNITED COMMUNITY BANKS, INC. UNITED COMMUNITY BANKS, INC. UNITED FINANCIAL BANKING COMPANIES, INC. UNITED FINANCIAL BANKING COMPANIES, INC. UNITED FINANCIAL BANKING COMPANIES, INC. UNITY BANCORP, INC. UNITY BANCORP, INC. UNITY BANCORP, INC. UNITY BANCORP, INC. UNIVERSAL BANCORP UNIVERSAL BANCORP UNIVERSAL BANCORP UNIVERSAL BANCORP UNIVERSITY FINANCIAL CORP. UNIVERSITY FINANCIAL CORP. US METRO BANK UWHARRIE CAPITAL CORP UWHARRIE CAPITAL CORP UWHARRIE CAPITAL CORP VALLEY COMMERCE BANCORP VALLEY COMMERCE BANCORP VALLEY COMMUNITY BANK VALLEY COMMUNITY BANK VALLEY COMMUNITY BANK VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL CORPORATION VALLEY FINANCIAL GROUP, LTD. VALLEY FINANCIAL GROUP, LTD. VALLEY NATIONAL BANCORP VALLEY NATIONAL BANCORP VALLEY NATIONAL BANCORP VALLEY NATIONAL BANCORP VALLEY NATIONAL BANCORP VERITEX HOLDINGS, INC. (FIDELITY RESOURCES COMPANY) VERITEX HOLDINGS, INC. (FIDELITY RESOURCES COMPANY) VILLAGE BANK AND TRUST FINANCIAL CORP. VILLAGE BANK AND TRUST FINANCIAL CORP. VILLAGE BANK AND TRUST FINANCIAL CORP. VIRGINIA COMMERCE BANCORP, INC. VIRGINIA COMMERCE BANCORP, INC. VIRGINIA COMMERCE BANCORP, INC. VIRGINIA COMPANY BANK VIRGINIA COMPANY BANK VIRGINIA COMPANY BANK VIRGINIA COMPANY BANK VISION BANK ‐ TEXAS VISION BANK ‐ TEXAS VISION BANK ‐ TEXAS VIST FINANCIAL CORP. VIST FINANCIAL CORP. W.T.B. FINANCIAL CORPORATION W.T.B. FINANCIAL CORPORATION WACHUSETT FINANCIAL SERVICES, INC. WACHUSETT FINANCIAL SERVICES, INC. WACHUSETT FINANCIAL SERVICES, INC. WACHUSETT FINANCIAL SERVICES, INC. WAINWRIGHT BANK & TRUST COMPANY WAINWRIGHT BANK & TRUST COMPANY WAINWRIGHT BANK & TRUST COMPANY WASHINGTON BANKING COMPANY WASHINGTON BANKING COMPANY WASHINGTON BANKING COMPANY WASHINGTON FEDERAL, INC. WASHINGTON FEDERAL, INC. WASHINGTON FEDERAL, INC. WASHINGTONFIRST BANKSHARES, INC. WASHINGTONFIRST BANKSHARES, INC. WASHINGTONFIRST BANKSHARES, INC. WAUKESHA BANKSHARES, INC. WAUKESHA BANKSHARES, INC. WAUKESHA BANKSHARES, INC. WAUKESHA BANKSHARES, INC. City OXFORD OXFORD ALBUQUERQUE ALBUQUERQUE ALBUQUERQUE BOWLING GREEN BOWLING GREEN BOWLING GREEN SAN MATEO SAN MATEO SAN MATEO TECUMSEH TECUMSEH TECUMSEH ATMORE ATMORE BARNESVILLE BARNESVILLE BLAIRSVILLE BLAIRSVILLE BLAIRSVILLE BLAIRSVILLE BLAIRSVILLE BLAIRSVILLE VIENNA VIENNA VIENNA CLINTON CLINTON CLINTON CLINTON BLOOMFIELD BLOOMFIELD BLOOMFIELD BLOOMFIELD ST. PAUL ST. PAUL GARDEN GROVE ALBEMARLE ALBEMARLE ALBEMARLE VISALIA VISALIA PLEASANTON PLEASANTON PLEASANTON ROANOKE ROANOKE ROANOKE ROANOKE ROANOKE ROANOKE ROANOKE SAGINAW SAGINAW WAYNE WAYNE WAYNE WAYNE WAYNE DALLAS DALLAS MIDLOTHIAN MIDLOTHIAN MIDLOTHIAN ARLINGTON ARLINGTON ARLINGTON NEWPORT NEWS NEWPORT NEWS NEWPORT NEWS NEWPORT NEWS RICHARDSON RICHARDSON RICHARDSON WYOMISSING WYOMISSING SPOKANE SPOKANE CLINTON CLINTON CLINTON CLINTON BOSTON BOSTON BOSTON OAK HARBOR OAK HARBOR OAK HARBOR SEATTLE SEATTLE SEATTLE RESTON RESTON RESTON WAUKESHA WAUKESHA WAUKESHA WAUKESHA State NC NC NM NM NM VA VA VA CA CA CA MI MI MI AL AL GA GA GA GA GA GA GA GA VA VA VA NJ NJ NJ NJ IN IN IN IN MN MN CA NC NC NC CA CA CA CA CA VA VA VA VA VA VA VA MI MI NJ NJ NJ NJ NJ TX TX VA VA VA VA VA VA VA VA VA VA TX TX TX PA PA WA WA MA MA MA MA MA MA MA WA WA WA WA WA WA VA VA VA WI WI WI WI Date 18‐Dec‐09 22‐Sep‐11 29‐Dec‐09 25‐Jul‐12 2‐Oct‐13 19‐Dec‐08 18‐Nov‐09 23‐Dec‐09 20‐Feb‐09 2‐Jul‐14 26‐Sep‐14 16‐Jan‐09 19‐Jun‐12 18‐Jul‐12 23‐Dec‐08 3‐Sep‐10 22‐May‐09 3‐Jul‐12 5‐Dec‐08 26‐Mar‐13 27‐Mar‐13 28‐Mar‐13 9‐Apr‐13 10‐Jun‐13 16‐Jan‐09 15‐Dec‐10 15‐Sep‐11 5‐Dec‐08 15‐May‐13 3‐Jul‐13 28‐Aug‐13 22‐May‐09 8‐Aug‐13 12‐Aug‐13 12‐Sep‐13 19‐Jun‐09 30‐Jul‐10 6‐Feb‐09 23‐Dec‐08 3‐Apr‐13 16‐Oct‐13 30‐Jan‐09 21‐Mar‐12 9‐Jan‐09 21‐Oct‐13 6‐Jan‐14 12‐Dec‐08 14‐Nov‐12 20‐Feb‐13 15‐May‐13 14‐Aug‐13 16‐Oct‐13 13‐Nov‐13 18‐Dec‐09 22‐Sep‐11 14‐Nov‐08 3‐Jun‐09 23‐Sep‐09 23‐Dec‐09 24‐May‐10 26‐Jun‐09 25‐Aug‐11 1‐May‐09 19‐Nov‐13 6‐Jan‐14 12‐Dec‐08 11‐Dec‐12 31‐Jan‐14 12‐Jun‐09 8‐Aug‐13 12‐Aug‐13 12‐Sep‐13 24‐Apr‐09 28‐Dec‐12 10‐Jul‐13 19‐Dec‐08 1‐Aug‐12 30‐Jan‐09 15‐Sep‐11 11‐Dec‐09 4‐Apr‐12 30‐Jan‐13 23‐Apr‐14 19‐Dec‐08 24‐Nov‐09 16‐Dec‐09 16‐Jan‐09 12‐Jan‐11 2‐Mar‐11 14‐Nov‐08 27‐May‐09 15‐Mar‐10 30‐Jan‐09 30‐Oct‐09 4‐Aug‐11 26‐Jun‐09 6‐Feb‐13 7‐Feb‐13 8‐Feb‐13 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares $2,997,000.00 Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $2,179,000.00 $59,000,000.00 $8,700,000.00 $0.00 $0.00 $0.00 $2,639,873.33 $62,145,972.22 $3,432,657.85 $6,191,000.00 6,191 $1,000.00 $160,000.00 160 $600,000.00 $1,579,000.00 600 1,579 $1,000.00 $1,000.00 $65,000.00 65 $59,000,000.00 59,000 $1,000.00 $450,000.00 211,318 $3,319,050.00 8,700 $381.50 ($5,380,950.00) $138,607.85 435 20,600 $825.50 ($3,594,700.00) $38,000.00 311,492 $10,300,000.00 10,300 $1,000.00 $14,400,000.00 14,400,000 $1.00 $720,000.00 720,000 $1,516,900.00 $12,587,575.00 $159,145,525.00 1,576 13,078 165,346 $962.50 $962.50 $962.50 $3,000,000.00 $2,658,000.00 3,000 2,658 $1,000.00 $1,000.00 $10,324,000.00 $10,325,000.00 10,324 10,325 $1,000.00 $1,000.00 $237,527.50 $9,168,561.50 250 9,650 $950.10 $950.10 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($25,000.00) Preferred Stock w/ Warrants $20,600,000.00 $0.00 $20,315,924.72 Sold, in full; warrants not outstanding $17,005,300.00 Preferred Stock w/ Warrants $10,300,000.00 $0.00 $11,172,638.89 ($255,079.50) Redeemed, in full; warrants outstanding Subordinated Debentures w/ Exercised Warrants $14,400,000.00 $0.00 $18,882,079.62 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $180,000,000.00 $0.00 $210,367,527.00 Sold, in full; warrants not outstanding ($59,100.00) ($490,425.00) ($6,200,475.00) ($1,732,500.00) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants $5,658,000.00 $20,649,000.00 $9,900,000.00 $0.00 $0.00 $0.00 $6,649,963.92 $28,013,814.50 $12,066,668.65 $6,677.00 219,908 $283,000.00 283 $2,707,314.00 764,778 $476,573.62 495 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants not outstanding ($12,472.50) ($481,438.50) ($94,060.89) Subordinated Debentures $11,926,000.00 $0.00 $12,948,886.40 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $2,861,000.00 $10,000,000.00 $2,861,000.00 $0.00 $432,678.00 $12,916,040.83 Full investment outstanding; warrants outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $7,700,000.00 $0.00 $9,403,400.50 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,500,000.00 $0.00 $2,947,090.75 Sold, in full; warrants not outstanding $11,926,000.00 11,926,000 $1.00 $7,742,000.00 $2,258,000.00 7,742 2,258 $1,000.00 $1,000.00 $500,000.00 500 $7,700,000.00 7,700 $1,000.00 $385,000.00 385 $2,296,800.00 5,500 $417.60 $45,815.25 275 $1,600,000.00 $1,600,000.00 $1,600,000.00 $1,600,000.00 $9,619,000.00 1,600 1,600 1,600 1,600 9,619 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,000.00 $1,547,891.58 344,742 $1,300,000.00 1,300 $1,000.00 $65,000.00 65 $75,000,000.00 $125,000,000.00 $100,000,000.00 75,000 125,000 100,000 $1,000.00 $1,000.00 $1,000.00 $5,421,615.27 2,532,542 $3,000,000.00 3,000 $1,000.00 $150,000.00 150 14,738 $384.90 $71,000,000.00 71,000 $1,000.00 $33,263,000.00 2,696,203 $325,353.86 $2,543,620.14 533 4,167 $610.40 $610.40 $63,481.25 143 $787,500.00 $712,500.00 788 713 $1,000.00 $1,000.00 $75,000.00 75 $25,000,000.00 25,000 $1,000.00 $1,189,813.00 367,984 $110,000,000.00 110,000 $1,000.00 $5,500,000.00 5,500 $3,000,000.00 $4,000,000.00 $5,000,000.00 3,000 4,000 5,000 $1,000.00 $1,000.00 $1,000.00 $478,000.00 478 $22,000,000.00 22,000 $1,000.00 $568,700.00 390,071 $26,380,000.00 26,380 $1,000.00 $200,000,000.00 200,000 $1,000.00 ($3,203,200.00) ($25,000.00) Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $16,019,000.00 $1,300,000.00 $300,000,000.00 $3,000,000.00 $14,738,000.00 $0.00 $0.00 $0.00 $0.00 $0.00 $21,311,670.48 $1,489,774.73 $318,400,781.94 $3,503,795.81 $6,933,870.05 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Sold, in full; warrants outstanding $5,672,361.44 ($9,065,638.56) ($56,723.61) Preferred Stock w/ Warrants $71,000,000.00 $0.00 $118,453,138.89 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $4,700,000.00 $0.00 $3,694,442.50 Sold, in full; warrants not outstanding ($207,646.14) ($1,623,379.86) ($25,000.00) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants $1,500,000.00 $25,000,000.00 $0.00 $0.00 $1,898,258.59 $30,710,646.33 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $110,000,000.00 $0.00 $131,236,874.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $12,000,000.00 $0.00 $14,731,826.23 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants Preferred Stock w/ Warrants $22,000,000.00 $26,380,000.00 $200,000,000.00 $0.00 $0.00 $0.00 $23,592,311.11 $30,628,344.45 $220,749,985.18 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $1,625,000.00 246,082 $15,388,874.07 1,707,456 $332,000.00 332 $18,644.66 $147,194.69 19 150 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $6,633,000.00 $6,842,000.00 $0.00 $15,317,317.86 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $5,625,000.00 $0.00 $6,398,893.44 Sold, in full; warrants not outstanding $13,475,000.00 13,475 $1,000.00 $4,831,002.80 $92,690.00 $290,119.70 5,212 100 313 $926.90 $926.90 $926.90 ($380,997.20) ($7,310.00) ($22,880.30) 44 FootNote 11 11 11 11 11 44 8 8,14,18 8,78,11 8 11 11 8,14 45,8,14 11 Institution Name WAUKESHA BANKSHARES, INC. WEBSTER FINANCIAL CORPORATION WEBSTER FINANCIAL CORPORATION WEBSTER FINANCIAL CORPORATION WEBSTER FINANCIAL CORPORATION WEBSTER FINANCIAL CORPORATION WELLS FARGO & CO. WELLS FARGO & CO. WELLS FARGO & CO. WESBANCO, INC. WESBANCO, INC. WESBANCO, INC. WEST BANCORPORATION, INC. WEST BANCORPORATION, INC. WEST BANCORPORATION, INC. WESTAMERICA BANCORPORATION WESTAMERICA BANCORPORATION WESTAMERICA BANCORPORATION WESTAMERICA BANCORPORATION WESTERN ALLIANCE BANCORPORATION WESTERN ALLIANCE BANCORPORATION WESTERN ALLIANCE BANCORPORATION WESTERN COMMUNITY BANCSHARES, INC. WESTERN ILLINOIS BANCSHARES, INC. WESTERN ILLINOIS BANCSHARES, INC. WESTERN ILLINOIS BANCSHARES, INC. WESTERN ILLINOIS BANCSHARES, INC. WESTERN ILLINOIS BANCSHARES, INC. WESTERN RESERVE BANCORP, INC. WESTERN RESERVE BANCORP, INC. WHITE RIVER BANCSHARES COMPANY WHITE RIVER BANCSHARES COMPANY WHITE RIVER BANCSHARES COMPANY WHITE RIVER BANCSHARES COMPANY WHITNEY HOLDING CORPORATION WHITNEY HOLDING CORPORATION WILMINGTON TRUST CORPORATION / M&T BANK CORPORATION WILMINGTON TRUST CORPORATION / M&T BANK CORPORATION WILSHIRE BANCORP, INC. WILSHIRE BANCORP, INC. WILSHIRE BANCORP, INC. WINTRUST FINANCIAL CORPORATION WINTRUST FINANCIAL CORPORATION WINTRUST FINANCIAL CORPORATION WORTHINGTON FINANCIAL HOLDINGS, INC. WORTHINGTON FINANCIAL HOLDINGS, INC. WORTHINGTON FINANCIAL HOLDINGS, INC. WSFS FINANCIAL CORPORATION WSFS FINANCIAL CORPORATION WSFS FINANCIAL CORPORATION YADKIN VALLEY FINANCIAL CORPORATION / YADKIN FINANCIAL CORPORATION YADKIN VALLEY FINANCIAL CORPORATION / YADKIN FINANCIAL CORPORATION YADKIN VALLEY FINANCIAL CORPORATION / YADKIN FINANCIAL CORPORATION YADKIN VALLEY FINANCIAL CORPORATION / YADKIN FINANCIAL CORPORATION YADKIN VALLEY FINANCIAL CORPORATION / YADKIN FINANCIAL CORPORATION YORK TRADITIONS BANK YORK TRADITIONS BANK ZIONS BANCORPORATION ZIONS BANCORPORATION ZIONS BANCORPORATION ZIONS BANCORPORATION City WAUKESHA WATERBURY WATERBURY WATERBURY WATERBURY WATERBURY MINNEAPOLIS MINNEAPOLIS MINNEAPOLIS WHEELING WHEELING WHEELING WEST DES MOINES WEST DES MOINES WEST DES MOINES SAN RAFAEL SAN RAFAEL SAN RAFAEL SAN RAFAEL LAS VEGAS LAS VEGAS LAS VEGAS PALM DESERT MONMOUTH MONMOUTH MONMOUTH MONMOUTH MONMOUTH MEDINA MEDINA FAYETTEVILLE FAYETTEVILLE FAYETTEVILLE FAYETTEVILLE NEW ORLEANS NEW ORLEANS WILMINGTON WILMINGTON LOS ANGELES LOS ANGELES LOS ANGELES LAKE FOREST LAKE FOREST LAKE FOREST HUNTSVILLE HUNTSVILLE HUNTSVILLE WILMINGTON WILMINGTON WILMINGTON ELKIN ELKIN ELKIN ELKIN ELKIN YORK YORK SALT LAKE CITY SALT LAKE CITY SALT LAKE CITY SALT LAKE CITY State WI CT CT CT CT CT MN MN MN WV WV WV IA IA IA CA CA CA CA NV NV NV CA IL IL IL IL IL OH OH AR AR AR AR LA LA DE DE CA CA CA IL IL IL AL AL AL DE DE DE NC NC NC NC NC PA PA UT UT UT UT Date 26‐Mar‐13 21‐Nov‐08 3‐Mar‐10 13‐Oct‐10 29‐Dec‐10 8‐Jun‐11 28‐Oct‐08 23‐Dec‐09 26‐May‐10 5‐Dec‐08 9‐Sep‐09 23‐Dec‐09 31‐Dec‐08 29‐Jun‐11 31‐Aug‐11 13‐Feb‐09 2‐Sep‐09 18‐Nov‐09 21‐Nov‐11 21‐Nov‐08 27‐Sep‐11 23‐Nov‐11 23‐Dec‐08 23‐Dec‐08 29‐Dec‐09 8‐Nov‐12 9‐Nov‐12 11‐Jan‐13 15‐May‐09 30‐Nov‐12 20‐Feb‐09 1‐Jul‐14 2‐Jul‐14 26‐Sep‐14 19‐Dec‐08 3‐Jun‐11 12‐Dec‐08 13‐May‐11 12‐Dec‐08 3‐Apr‐12 20‐Jun‐12 19‐Dec‐08 22‐Dec‐10 14‐Feb‐11 15‐May‐09 24‐Jun‐13 26‐Jul‐13 23‐Jan‐09 3‐Apr‐12 12‐Sep‐12 16‐Jan‐09 24‐Jul‐09 18‐Sep‐12 10‐Jun‐13 11‐Jun‐13 24‐Apr‐09 14‐Jul‐11 14‐Nov‐08 28‐Mar‐12 26‐Sep‐12 5‐Dec‐12 Original Investment Type 1 Original Investment Amount Total Cash Back2 Outstanding Investment Capital Repayment / Disposition / Auction3,5 Investment Status* Amount (Fee) 4 Shares Avg. Price (Realized Loss) / (Write‐off) Gain5 Warrant Proceeds Amount Shares ($52,138.13) Preferred Stock w/ Warrants Preferred Stock w/ Warrants $400,000,000.00 $25,000,000,000.00 $0.00 $0.00 $457,333,286.51 $27,281,347,113.95 Redeemed, in full; warrants not outstanding $75,000,000.00 $0.00 $78,804,166.67 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $36,000,000.00 $0.00 $41,195,000.00 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Exercised Warrants Preferred Stock w/ Exercised Warrants $83,726,000.00 $140,000,000.00 $7,290,000.00 $6,855,000.00 $4,567,000.00 $0.00 $0.00 $7,290,000.00 $0.00 $87,360,236.61 $160,365,000.00 $554,083.00 $13,053,910.87 100,000 100,000 200,000 $1,000.00 $1,000.00 $1,000.00 $25,000,000,000.00 25,000 $1,000,000.00 $20,388,842.06 3,282,276 $840,374,891.73 110,261,688 $950,000.00 439,282 $700,000.00 474,100 $878,256.00 246,698 $415,000.00 787,107 $335,417.06 343 $235,000.00 235 $1,002,535.38 840 $6,900,000.00 2,631,579 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants Preferred Stock w/ Warrants $100,000,000.00 $100,000,000.00 $200,000,000.00 $75,000,000.00 75,000 $1,000.00 $36,000,000.00 36,000 $1,000.00 $41,863,000.00 $41,863,000.00 41,863 41,863 $1,000.00 $1,000.00 $140,000,000.00 140,000 $1,000.00 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding Full investment outstanding; warrants outstanding Sold, in full; warrants not outstanding $1,050,524.72 $9,673,015.37 1,117 10,305 $940.38 $939.53 $4,700,000.00 4,700 $1,000.00 $1,300,000.00 $15,500,000.00 1,300 15,500 $1,063.20 $1,063.20 $300,000,000.00 300,000 $1,000.00 $330,000,000.00 330,000 $1,000.00 62,158 $943.50 250,000 $1,000.00 ($66,475.28) ($631,984.63) ($107,235.41) Preferred Stock w/ Exercised Warrants $4,700,000.00 $0.00 $5,842,197.92 Redeemed, in full; warrants not outstanding Preferred Stock w/ Exercised Warrants $16,800,000.00 $0.00 $20,275,427.10 Sold, in full; warrants not outstanding $82,173.00 $979,755.00 ($178,619.28) Preferred Stock w/ Warrants $300,000,000.00 $0.00 $343,733,333.33 Redeemed, in full; warrants not outstanding Preferred Stock w/ Warrants $330,000,000.00 $0.00 $369,920,833.33 Redeemed, in full; warrants outstanding Preferred Stock w/ Warrants $62,158,000.00 $0.00 $68,809,170.52 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $250,000,000.00 $0.00 $300,704,730.81 Redeemed, in full; warrants not outstanding $58,646,694.58 ($879,700.42) $250,000,000.00 Preferred Stock w/ Exercised Warrants $2,720,000.00 $0.00 $2,780,391.21 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $52,625,000.00 $0.00 $57,640,856.64 Sold, in full; warrants not outstanding Preferred Stock w/ Warrants $36,000,000.00 $13,312,000.00 $0.00 $52,383,419.85 Sold, in full; warrants not outstanding $2,343,851.20 ($3,511,305.42) 2,720 $861.70 ($376,148.80) $760,000.00 949,460 $25,600,564.15 1,643,295 $90,940.00 136 $1,800,000.00 175,105 ($24,999.99) Preferred Stock w/ Exercised Warrants Preferred Stock w/ Warrants TOTALS $4,871,000.00 $1,400,000,000.00 $204,894,726,320.00 $0.00 $0.00 $633,688,601.88 $5,705,022.14 $1,661,027,529.62 $226,326,205,758.54 $48,157,663.75 ($722,364.96) 52,625 $915.10 ($4,467,336.25) $44,149,056.00 ($662,235.84) 49,312 $893.00 ($5,162,944.00) $4,871,000.00 4,871 $1,000.00 $700,000,000.00 $700,000,000.00 700,000 700,000 $1,000.00 $1,000.00 $55,677.00 $20,000.00 91,178 128,663 $244,000.00 244 $7,666,418.51 $7,971,635,903.35 5,789,909 Redeemed, in full; warrants not outstanding Redeemed, in full; warrants not outstanding $199,359,679,113.86 ($37,359,310.76) ($4,901,358,604.25) $6,905,634,452.41 45 Footnote Description All pricing is at par. Total Cash Back includes net capital repayments, interest and dividends, warrant proceeds, and other income (less expenses). Capital Repayments includes gross capital repayments, gross auction proceeds, exchanges into CDCI, and SBLF fundings. Includes: (i) placement fees in private auctions of a CPP issuer’s securities where Treasury pays placement fees to the placement agents in an amount equal to a minimum of $50,000 (per issuer) or 1.00% of gross aggregate proceeds for each security and (ii) unreimbursed underwriting fees in public offerings. Placement fees in private auctions are paid approximately one month after settlement. 5 Net proceeds from sales and auctions can be calculated by adding the “Amount” and “(Fee)” columns under the "Capital Repayment / Disposition / Auction" plus any amount in the "Gain" column. Note that "(Fee)" is a negative number. 6 This transaction was included in previous Transaction Reports with Merrill Lynch & Co., Inc. listed as the qualifying institution and a 10/28/2008 transaction date, footnoted to indicate that settlement was deferred pending merger. The purchase of Merrill Lynch by Bank of America was completed on 1/1/2009, and this transaction under the CPP was funded on 1/9/2009. 7 The warrant disposition proceeds amount are stated pro rata in respect of the CPP investments in Bank of America Corporation that occurred on 10/28/2008 and 1/9/2009. The total net disposition proceeds from CPP warrants on 3/3/2010 was $305,913,040, consisting of $183,547,824 and $122,365,216. Proceeds from the disposition of TIP warrants on 3/3/2010 appear on a following page of this report. 8 Privately-held qualified financial institution; Treasury received a warrant to purchase additional shares of preferred stock (unless the institution is a CDFI), which it exercised immediately. Footnote 1 2 3 4 9 To promote community development financial institutions (CDFIs), Treasury does not require warrants as part of its investment in certified CDFIs when the size of the investment is $50 million or less. 10 Treasury cancelled the warrants received from this institution due to its designation as a CDFI. 11 Repayment pursuant to Title VII, Section 7001(g) of the American Recovery and Reinvestment Act of 2009. 12 Redemption pursuant to a qualified equity offering. 13 This amount does not include accrued and unpaid dividends, which must be paid at the time of capital repayment. 14 The proceeds associated with the disposition of this investment do not include accrued and unpaid dividends. 15 Subchapter S corporation; Treasury received a warrant to purchase additional subordinated debentures (unless the institution is a CDFI), which it exercised immediately. 16 In its qualified equity offering, this institution raised more capital than Treasury’s original investment, therefore, the number of Treasury’s shares underlying the warrant was reduced by half. 17 This institution participated in the expansion of CPP for small banks. 18 This institution received an additional investment through the expansion of CPP for small banks. 19 Treasury made three separate investments in Citigroup Inc. (Citigroup) under the CPP, Targeted Investment Program (TIP), and Asset Guarantee Program (AGP) for a total of $49 billion. On 6/9/2009, Treasury entered into an agreement with Citigroup to exchange up to $25 billion of Treasury's investment in Fixed Rate Cumulative Perpetual Preferred Stock, Series H (CPP Shares) "dollar for dollar" in Citigroup's Private and Public Exchange Offerings. On 7/23/2009 and 7/30/2009, Treasury exchanged a total of $25 billion of the CPP shares for Series M Common Stock Equivalent (“Series M”) and a warrant to purchase shares of Series M. On 9/11/2009, Series M automatically converted to 7,692,307,692 shares of common stock and the associated warrant terminated on receipt of certain shareholder approvals. 20 On 8/24/2009, Treasury exchanged its series C preferred stock issued by Popular, Inc. for a like amount of non tax-deductible trust preferred securities issued by Popular Capital Trust III, administrative trustee for Popular, Inc. Popular, Inc. paid a $13 million exchange fee in connection with this transaction. 21 This institution converted to a bank holding company structure and Treasury exchanged its securities for a like amount of securities that comply with the CPP terms applicable to bank holding companies. The institution in which Treasury's original investment was made is shown in parentheses. 22 As of the date of this report, this institution is in bankruptcy proceedings. 46 Footnote 23 Footnote Description On 12/10/2009, the bankruptcy reorganization plan of CIT Group Inc. became effective and Treasury's preferred stock and warrant investment were extinguished and replaced by contingent value rights (CVRs). On 2/8/2010, the CVRs expired without value as the terms and conditions for distribution of common shares to holders of CVRs were not met. 24 On 12/11/2009, Treasury exchanged its series A preferred stock issued by Superior Bancorp, Inc. for a like amount of non tax-deductible Trust Preferred Securities issued by Superior Capital Trust II, administrative trustee for Superior Bancorp. 25 On 2/1/2010, following the acquisition of First Market Bank (First Market) by Union Bankshares Corporation (the acquiror), the preferred stock and exercised warrants issued by First Market on 2/6/2009 were exchanged for a like amount of securities of the acquiror in a single series but with a blended dividend rate equivalent to those of Treasury's original investment. 26 On 2/11/2010, Pacific Coast National Bancorp dismissed its bankruptcy proceedings with no recovery to any creditors or investors, including Treasury, and the investment was extinguished. 27 On 3/8/2010, Treasury exchanged its $84,784,000 of preferred stock in Midwest Banc Holdings, Inc. (MBHI) for $89,388,000 of mandatory convertible preferred Stock (MCP), which is equivalent to the initial investment amount of $84,784,000, plus $4,604,000 of capitalized previously accrued and unpaid dividends. Subject to the fulfillment by MBHI of the conditions related to its capital plan, the MCP may be converted to common stock. 28 On 3/30/2010, Treasury exchanged its $7,500,000 of subordinated debentures in GulfSouth Private Bank for an equivalent amount of preferred stock, in connection with its conversion from a Subchapter S-Corporation, that comply with the CPP terms applicable to privately held qualified financial institutions. 29 On 4/16/2010, Treasury exchanged its $72,000,000 of preferred stock in Independent Bank Corporation (Independent) for $74,426,000 of mandatory convertible preferred Stock (MCP), which is equivalent to the initial investment amount of $72,000,000, plus $2,426,000 of capitalized previously accrued and unpaid dividends. On 7/26/13, Treasury entered into a securities purchase agreement with Independent pursuant to which Treasury agreed to sell to Independent the MCP and the warrant issued by Independent, subject to the conditions specified in such agreement. On 8/30/13, Treasury completed the sale of the MCP and warrant to Independent pursuant to the terms of such agreement. 30 Treasury received Citigroup common stock pursuant to the June 2009 Exchange Agreement between Treasury and Citigroup which provided for the exchange into common shares of the preferred stock that Treasury purchased in connection with Citigroup's participation in the Capital Purchase Program (see note 11). On April 26, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority as its sales agent to sell subject to certain parameters up to 1,500,000,000 shares of the common stock from time to time during the period ending on June 30, 2010 (or on completion of the sale). Completion of the sale under this authority occurred on May 26, 2010. On May 26, 2010, Treasury again gave Morgan Stanley discretionary authority as its sales agent to sell subject to certain parameters up to 1,500,000,000 shares of the common stock from time to time during the period ending on June 30, 2010 (or on completion of the sale). Completion of the sale under this authority occurred on June 30, 2010. On July 23, 2010, Treasury again gave Morgan Stanley discretionary authority as its sales agent to sell subject to certain parameters up to 1,500,000,000 shares of the common stock from time to time during the period ending on September 30, 2010 (or on completion of the sale). Completion of the sale under this authority occurred on September 30, 2010. On October 19, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority, as its sales agent, to sell subject to certain parameters up to 1,500,000,000 shares of common stock from time to time during the period ending on December 31, 2010 (or upon completion of the sale), which plan was terminated on December 6, 2010. All such sales were generally made at the market price. On December 6, 2010, Treasury commenced an underwritten public offering of its remaining 2,417,407,607 shares. See "Capital Purchase Program - Citigroup, Inc., Common Stock Disposition" on following page for the actual number of shares sold by Morgan Stanley, the weighted average price per share and the total proceeds to Treasury from all such sales during those periods. 31 On 8/26/2010, Treasury completed the exchange of its $303,000,000 of preferred stock in Sterling Financial Corporation (Sterling) for a like amount of mandatorily convertible preferred Stock (MCP), pursuant to the terms of the exchange agreement between Treasury and Sterling entered into on 4/29/2010. Since Sterling also fulfilled the conversion conditions set forth in the Certificate of Designations for the MCP, including those related to its capital plan, Treasury’s $303,000,000 of MCP was subsequently, as of 8/26/2010, converted into 378,750,000 shares of common stock. 47 Footnote Description Footnote 32 On 8/20/2010, Sonoma Valley Bank, Sonoma, CA, the banking subsidiary of Sonoma Valley Bancorp, was closed by the California Department of Financial Institutions, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 33 On 6/30/2010, Treasury exchanged $46,400,000 of its series A preferred stock in First Merchants Corporation for a like amount of non tax-deductible Trust Preferred Securities issued by First Merchants Capital Trust III. 34 On 7/20/2010, Treasury completed the exchange of its $400,000,000 of preferred stock in First BanCorp for $424,174,000 of mandatorily convertible preferred Stock (MCP), which is equivalent to the initial investment amount of $400,000,000, plus $24,174,000 of capitalized previously accrued and unpaid dividends. On 10/07/2011, following the completion of the conversion conditions set forth in the Certificate of Designations for the MCP, all of Treasury’s MCP was converted into 32,941,797 shares of common stock of First BanCorp. Treasury received all accrued and previously unpaid dividends on the MCP at the time of the conversion. First BanCorp has agreed to have a Treasury observer attend board of directors meetings. 35 On 8/31/2010, following the completion of the conditions related to Pacific Capital Bancorp's (Pacific Capital) capital plan, Treasury exchanged its $180,634,000 of preferred stock in Pacific Capital for $195,045,000 of mandatorily convertible preferred Stock (MCP), which is equivalent to the initial investment amount of $180,634,000, plus $14,411,000 of capitalized previously accrued and unpaid dividends. On 9/27/2010, following the completion of the conversion conditions set forth in the Certificate of Designations for the MCP, all of Treasury’s MCP was converted into 360,833,250 shares of common stock of Pacific Capital. Following a reverse stock split effective 12/28/10, Treasury held 3,608,332 shares of Pacific Capital common stock. Effective 11/30/12, Pacific Capital merged with and into UnionBanCal Corporation and each outstanding share of common stock of the Company was converted into the right to receive $46.00 per share in cash, and Treasury received $165,983,272 in respect of its common stock and $393,121 in respect of its warrant. 36 This institution qualified to participate in the Community Development Capital Initiative (CDCI), and has completed an exchange of its Capital Purchase Program investment for an investment under the terms of the CDCI program. See "Community Development Capital Initiative" below. 37 At the time of this institution’s exchange into the CDCI program, the warrant preferreds were included in the total amount of preferred stock exchanged for Treasury’s CDCI investment. Therefore this disposition amount does not represent cash proceeds to Treasury. 38 On 9/30/2010, Treasury completed the exchange of its $80,347,000 of preferred stock in Hampton Roads Bankshares, Inc. (Hampton) for a like amount of mandatorily convertible preferred Stock (MCP), pursuant to the terms of the exchange agreement between Treasury and Hampton entered into on 8/12/2010. Since Hampton also fulfilled the conversion conditions set forth in the Certificate of Designations for the MCP, Treasury’s $80,347,000 of MCP was subsequently converted into 52,225,550 shares of common stock. 39 Treasury entered into an agreement on 1/28/2011 with North American Financial Holdings, Inc. for the sale of all preferred stock and warrants issued by Capital Bank Corporation to Treasury for an aggregate purchase price of $41,279,000. Since the conditions to closing of the sale were satisfied, the closing of the sale also occurred on 1/28/2011. 40 On 2/18/11, Treasury completed the exchange of its $135,000,000 of preferred stock (including accrued and unpaid dividends thereon) in Central Pacific Financial Corp. for not less than 5,620,117 shares of common stock, pursuant to an exchange agreement dated 2/17/2011. 41 As a result of the acquisition of Fidelity Resources Company (the acquired company) by Veritex Holdings, Inc. (the acquiror), the preferred stock and exercised warrants issued by the acquired company on 6/26/2009 were exchanged for a like amount of securities of the acquiror, pursuant to the terms of an agreement among Treasury, the acquired company and the acquiror entered into on 3/23/2011. 42 As a result of the acquisition of NC Bancorp, Inc. (the acquired company) by Metropolitan Bank Group, Inc. (the acquiror), Treasury exchanged $6,880,000 of its preferred stock in NC Bancorp, Inc. and $71,526,000 of its preferred stock in Metropolitan Bank Group, Inc. for $81,892,000 of a new series of preferred stock in Metropolitan Bank Group, Inc., which is equivalent to the combined initial investment amount of $78,406,000 plus $3,486,000 of capitalized previously accrued and unpaid dividends, pursuant to the terms of an agreement among Treasury, the acquired company and the acquiror entered into on 3/30/2011. Exercised warrants were also exchanged at the time of the agreement. 48 Footnote Description Footnote 43 On 7/5/2011, Treasury completed a transaction with Harris Financial Corp., a wholly-owned subsidiary of Bank of Montreal ("BMO"), for the sale of (i) all Marshall & Ilsley Corporation ("M&I") Preferred Stock held by Treasury for a purchase price of $1,715,000,000 plus accrued dividends and (ii) the Treasury-held M&I Warrant for an amount equal to $3,250,000, pursuant to the terms of the agreement between Treasury and BMO entered into on 05/16/2011. 44 Repayment pursuant to Title VII, Section 7001(g) of the American Recovery and Reinvestment Act of 2009 using proceeds received in connection with the institution’s participation in the Small Business Lending Fund. 45 Repayment pursuant to Title VII, Section 7001(g) of the American Recovery and Reinvestment Act of 2009 - part of the repayment amount obtained from proceeds received in connection with the institution’s participation in the Small Business Lending Fund. 46 On 11/5/2010, Pierce Commercial Bank, Tacoma, WA, the banking subsidiary of Pierce County Bancorp, was closed by the Washington Department of Financial Institutions, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 47 On 11/12/2010, Tifton Banking Company, Tifton, GA, was closed by the Georgia Department of Banking & Finance, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 48 On 3/11/2011, Legacy Bank, Milwaukee, WI, the banking subsidiary of Legacy Bancorp, Inc., was closed by the State of Wisconsin Department of Financial Institutions, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 49 On 4/15/2011, Superior Bank, Birmingham, AL, the banking subsidiary of Superior Bancorp Inc., was closed by the Office of Thrift Supervision, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 50 On 7/15/2011, First Peoples Bank, Port Saint Lucie, Florida, the banking subsidiary of FPB Bancorp, Inc., was closed by the Florida Office of Financial Regulation, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 51 On 7/15/2011, One Georgia Bank, Atlanta, GA was closed by the State of Georgia Department of Banking & Finance, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 52 On 7/29/2011, Integra Bank, National Association, Evansville, Indiana, the banking subsidiary of Integra Bank Corporation, was closed by the Office of the Comptroller of the Currency, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 53 On 10/21/2011, Treasury completed the exchange of all FNB United Corp. ("FNB United") preferred stock and warrants held by Treasury for 108,555,303 shares of FNB United common stock and an amended and restated warrant, pursuant to the terms of the agreement between Treasury and FNB United entered into on 08/12/2011. 54 As a result of the acquisition of Berkshire Bancorp, Inc. (the acquired company) by Customers Bancorp, Inc. (the acquiror), the preferred stock and exercised warrants issued by the acquired company on 6/12/2009 were exchanged for a like amount of securities of the acquiror plus accrued and previously unpaid dividends, pursuant to the terms of an agreement among Treasury, the acquired company and the acquiror entered into on 9/16/2011. 55 On 9/23/2011, Citizens Bank of Northern California, Nevada City, California, the banking subsidiary of Citizens Bancorp, was closed by the California Department of Financial Institutions, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 56 Repayment pursuant to Title VII, Section 7001(g) of the American Recovery and Reinvestment Act of 2009 in connection with the institution’s participation in the Small Business Lending Fund, which occurred at a later date. 57 On 10/14/2011, Country Bank, Aledo, Illinois, the banking subsidiary of CB Holding Corp., was closed by the Illinois Department of Financial and Professional Regulation - Division of Banking, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 58 As a result of a reincorporation transaction whereby Crescent Financial Corporation (CFC) was merged into Crescent Financial Bancshares, Inc. (CFB), the preferred stock and warrant issued by CFC on 1/9/2009 were exchanged for a like amount of securities of CFB, pursuant to the terms of an agreement among Treasury, CFC and CFB entered into on 11/15/2011. 59 As a result of the acquisition of Center Financial Corporation by BBCN Bancorp, Inc. (formerly Nara Bancorp, Inc.), the preferred stock and warrant issued by Center Financial Corporation were exchanged for a like amount of securities of BBCN Bancorp, Inc., pursuant to the terms of an agreement among Treasury, Center Financial Corporation, and BBCN Bancorp, Inc. entered into on 11/30/2011. 49 Footnote Description Footnote 60 On 1/3/2012, Treasury completed (i) the sale to F.N.B. Corporation (“F.N.B.”) of all of the preferred stock that had been issued to Treasury by Parkvale Financial Corporation (“Parkvale”) for a purchase price of $31,762,000 plus accrued dividends and (ii) the exchange of the Parkvale warrant held by Treasury for a like F.N.B. warrant, pursuant to the terms of the agreement between Treasury and F.N.B. entered into on 12/29/2011 in connection with the merger of Parkvale and F.N.B. effective 01/01/2012. 61 As a result of the acquisition of State Bancorp, Inc. (the acquired company) by Valley National Bancorp (the acquiror), the warrant issued by the acquired company on 12/5/2008 was exchanged for a like security of the acquiror, pursuant to the terms of an agreement among Treasury, the acquired company and the acquiror entered into on 1/1/2012. 62 On 1/27/2012, pursuant to the terms of the merger of Regents Bancshares, Inc. (“Regents”) with Grandpoint Capital, Inc., Treasury received $13,214,858.00 (representing the par amount together with accrued and unpaid dividends thereon) in respect of the preferred stock (including that received from the exercise of warrants) that had been issued to Treasury by Regents. 63 On 1/27/2012, Tennessee Commerce Bank, Franklin, TN, the banking subsidiary of Tennessee Commerce Bancorp, Inc., was closed by the Tennessee Department of Financial Institutions, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 64 On 2/10/2012, SCB Bank, Shelbyville, Indiana, the banking subsidiary of Blue River Bancshares, Inc., was closed by the Office of the Comptroller of the Currency, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 65 On 2/10/2012, Treasury entered into an agreement with Broadway Financial Corporation to exchange Treasury’s $15,000,000 of preferred stock for common stock. The exchange is subject to the fulfillment by Broadway Financial Corporation of certain conditions, including the satisfactory completion of a capital plan. 66 On 4/20/2012, Fort Lee Federal Savings Bank, FSB, Fort Lee, New Jersey, was closed by the Office of the Comptroller of the Currency, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 67 As a result of the acquisition of Community Holding Company of Florida, Inc. (the acquired company) by Community Bancshares of Mississippi, Inc. (the acquiror), the preferred stock and exercised warrants issued by the acquired company on 2/6/2009 were exchanged for a like amount of securities of the acquiror, pursuant to the terms of an agreement among Treasury, the acquired company and the acquiror entered into on 7/19/2012. 68 On 7/13/2012, Glasgow Savings Bank, Glasgow, MO, the banking subsidiary of Gregg Bancshares, Inc. , was closed by the Missouri Division of Finance, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 69 On 7/27/2012, Treasury entered into an agreement with Pinnacle Bank Holding Company, Inc. (“Pinnacle”) pursuant to which Treasury agreed to sell its CPP preferred stock back to Pinnacle at a discount subject to the satisfaction of the conditions specified in the agreement. 70 On 10/19/2012, GulfSouth Private Bank, Destin, Florida, was closed by the Florida Office of Financial Regulation, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 71 On 10/19/2012, Excel Bank, Sedalia, Missouri, the banking subsidiary of Investors Financial Corporation of Pettis County, Inc., was closed by the Missouri Division of Finance, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 72 On 10/25/2012, pursuant to the terms of the merger of First Community Bancshares, Inc. ("First Community") and Equity Bancshares, Inc. ("Equity"), Treasury received a like amount of preferred stock and exercised warrants from Equity in exchange for Treasury's original investment in First Community, plus accrued and unpaid dividends, pursuant to a placement agency agreement executed on 10/23/2012. 73 On 10/29/2012, First Place Financial Corp. filed for Chapter 11 protection in the U.S. Bankruptcy Court for the District of Delaware. 74 On 2/22/2013, Treasury completed the exchange of its Standard Bancshares, Inc. preferred stock for common stock, pursuant to an exchange agreement, dated as of 11/5/2012, with Standard Bancshares, Inc., and immediately sold the resulting Standard Bancshares, Inc. common stock, pursuant to securities purchase agreements, each dated as of 11/5/2012, with W Capital Partners II, L.P., Trident SBI Holdings, LLC, PEPI Capital, LP, LCB Investment, LLC, Cohesive Capital Partners, L.P., and Athena Select Private Investment Fund LLC. 75 On 11/2/2012, Citizens First National Bank, Princeton, IL, the banking subsidiary of Princeton National Bancorp, was closed by the Office of the Comptroller of the Currency, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 50 Footnote Description Footnote 76 On 11/13/2012, Treasury entered into an agreement with Community Financial Shares, Inc. (“CFS”) pursuant to which Treasury agreed to sell its CPP preferred stock back to CFS at a discount subject to the satisfaction of the conditions specified in the agreement. 77 In connection with the merger of Fidelity Bancorp, Inc. (“Fidelity”) and WesBanco, Inc. (“WesBanco”) effective 01/01/2012, Treasury (i) sold to WesBanco all of the preferred stock that had been issued by Fidelity to Treasury for a purchase price of $7,000,000 plus accrued dividends and (ii) exchanged the Fidelity warrant held by Treasury for a like WesBanco warrant, pursuant to the terms of an agreement among Treasury and WesBanco entered into on 11/28/2012. 78 On 11/30/12, Western Reserve Bancorp, Inc. was acquired by an affiliate of Westfield Bancorp, Inc. Pursuant to the terms of the merger, each outstanding share of Series A and Series B preferred stock issued to Treasury was redeemed for the respective principal amount together with accrued and unpaid dividends thereon. 79 On 2/20/2013, Treasury sold its CPP preferred stock and warrant issued by First Sound Bank (“First Sound”) back to First Sound for an aggregate purchase price of $3,700,000, pursuant to the terms of the agreement between Treasury and First Sound entered into on 11/30/2012. 80 On 4/9/2013, Treasury sold its CPP preferred stock and warrant issued by PremierWest Bancorp (“PremierWest”) pursuant to an agreement with PremierWest and Starbuck Bancshares, Inc. (“Starbuck”) entered into on 12/11/2012. 81 In connection with the merger of Community Financial Corporation (“Community Financial”) and City Holding Company (“City Holding”) effective 1/09/13, Treasury (i) sold to City Holding all of the preferred stock that had been issued by Community Financial to Treasury for a purchase price of $12,643,000 plus accrued dividends and (ii) exchanged the Community Financial warrant held by Treasury for a like City Holding warrant, pursuant to the terms of an agreement among Treasury and City Holding entered into on 1/09/13. 82 On 1/29/2013, Treasury executed a placement agency agreement pursuant to which Treasury agreed to sell 9,950 shares of Coastal Banking Company, Inc. Preferred stock at $815.00 per share (less a placement agent fee) for net proceeds of $8,028,157.50. On 2/6/2013, the placement agent notified Coastal Banking Company, Inc. that, pursuant to the placement agency agreement, it was terminating the transaction and, therefore, Treasury did not receive any proceeds or pay any fees in connection with the transaction. 83 On 2/15/2013, Treasury sold its CPP preferred stock and warrant issued by BancTrust Financial Group, Inc. (“BancTrust”) pursuant to an agreement with BancTrust and Trustmark Corporation (“Trustmark”) entered into on 02/11/2013. 84 On 8/14/2013, Treasury sold its CPP preferred stock issued by Florida Bank Group, Inc. (“FBG”) back to FBG for an aggregate purchase price of $8,000,000, pursuant to the terms of the agreement between Treasury and FBG entered into on 2/12/13. 85 On 2/15/2013, pursuant to the terms of the merger of Pacific International Bancorp, Inc. (“Pacific International”) with BBCN Bancorp, Inc. (“BBCN”), Treasury received $7,474,619.97 (representing the par amount together with accrued and unpaid dividends thereon) in respect of the preferred stock that had been issued to Treasury by Pacific International. Treasury exchanged its Pacific International warrant for an equivalent warrant issued by BBCN. 86 On 4/12/2013, Treasury completed (i) the sale of its CPP preferred in Citizens Republic Bancorp, Inc. (Citizens Republic) to FirstMerit Corporation (FirstMerit) and (ii) the exchange of its warrant in Citizens Republic for a warrant issued by FirstMerit, pursuant to a securities purchase agreement, dated as of 2/19/13, among Treasury, FirstMerit and Citizens Republic. 87 On 4/11/2013, Treasury completed the exchange of its First Security Group, Inc. (FSGI) preferred stock for common stock, pursuant to an exchange agreement, dated as of 2/25/2013, between Treasury and FSGI, and sold the resulting FSGI common stock, pursuant to securities purchase agreements, each dated as of 4/9/2013, between Treasury and the purchasers party thereto. 88 On 3/19/2013, Treasury exercised its warrant on a cashless basis and received (i) 186,589 shares of common stock and (ii) $71.62 in cash in lieu of fractional shares. Treasury sold such shares of common stock on 3/19/2013. 89 As a result of the acquisition of ECB Bancorp, Inc. by Crescent Financial Bancshares, Inc., the preferred stock and warrant issued by ECB Bancorp, Inc. were exchanged for a like amount of securities of Crescent Financial Bancshares, Inc., pursuant to the terms of an agreement among Treasury, ECB Bancorp, Inc., and Crescent Financial Bancshares, Inc. entered into on 4/1/2013. 90 As a result of the merger of Annapolis Bancorp, Inc. into F.N.B. Corporation, the warrant issued by Annapolis Bancorp, Inc. was exchanged for a like warrant issued by F.N.B. Corporation, pursuant to the terms of an agreement among Treasury, Annapolis Bancorp, Inc., and F.N.B. Corporation entered into on 4/6/2013. 51 Footnote Description Footnote 91 On 04/05/2013, Gold Canyon Bank, Gold Canyon, Arizona was closed by the Arizona Department of Financial Institutions, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. 92 On 04/09/2013, Indiana Bank Corp. filed for Chapter 11 protection in the U.S. Bankruptcy Court for the Southern District of Indiana. 93 On 7/17/13, Treasury entered into a securities purchase agreement with Central Virginia Bankshares, Inc. (CVB) and C&F Financial Corporation (C&F) pursuant to which Treasury agreed to sell to C&F the CPP preferred stock and warrant issued by CVB, subject to the conditions specified in such agreement. The sale was completed on 10/01/2013. 94 On 8/12/2013, Anchor BanCorp Wisconsin Inc. ( “Anchor”) filed a voluntary petition for Chapter 11 protection in the U.S. Bankruptcy Court for the Western District of Wisconsin to implement a “pre-packaged” Plan of Reorganization in order to facilitate the restructuring of Anchor. On 9/27/ 2013, the Plan of Reorganization became effective in accordance with its terms, pursuant to which (i) Treasury’s preferred stock was exchanged for 60,000,000 shares of common stock (the “Common Stock”) and (ii) Treasury’s warrant was cancelled. On 9/27/2013, Treasury sold the Common Stock to purchasers pursuant to securities purchase agreements entered into on 9/19/2013. 95 On 7/5/2013, Rogers Bancshares, Inc. filed for Chapter 11 protection in the U.S. Bankruptcy Court for the Eastern District of Arkansas. 96 On 8/22/2013, Treasury exchanged its preferred stock in Broadway Financial Corporation for 10,146 shares of common stock equivalent representing (i) 50% of the liquidation preference of the preferred stock, plus (ii) 100% of previously accrued and unpaid dividends on the preferred stock ($2,646,000). The common stock equivalent will be converted to common stock upon the receipt of certain shareholder approvals. 97 This institution has entered into bankruptcy or receivership. For a full list of institutions that have entered bankruptcy or receivership and Treasury's remaining investments, reference appendices B and C in the section titled “Capital Purchase Program Institutions” in the most recent report to congress found on Treasury’s website: http://www.treasury.gov/initiatives/financial-stability/reports/Pages/Monthly-Report-to-Congress.aspx. 98 On 10/30/2013, Treasury entered into an agreement with Monarch Community Bancorp, Inc. (Monarch) to exchange Treasury’s CPP warrant and $6,785,000 of preferred stock for common stock. The exchange was subject to the fulfillment by Monarch of certain conditions, including the satisfactory completion of a capital plan. On 11/15/2013, the exchange of the CPP warrant and preferred stock for common stock was completed and Treasury sold such common stock to purchasers pursuant to securities purchase agreements dated as of 11/15/2013. 99 On 12/5/2013, Treasury's 10,146 shares of common stock equivalent in Broadway Financial converted to 10,146,000 shares of common stock. 100 On 12/13/2013, Texas Community Bank, National Association, The Woodlands, Texas, the banking subsidiary of TCB Holding Company, was closed by the Office of the Comptroller of the Currency, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 101 As a result of a reincorporation merger of Community Bankers Trust Corporation, a Delaware corporation (CBTC Delaware) into Community Bankers Trust Corporation, a Virginia corporation (CBTC Virginia), the outstanding preferred stock and warrant issued by CBTC Delaware were exchanged for a like amount of securities issued by CBTC Virginia, pursuant to the terms of an agreement among Treasury, CBTC Delaware and CBTC Virginia entered into on 1/1/14. 102 On 10/15/13, Treasury entered into a securities purchase agreement with First-Citizens Bank & Trust Company (FCBTC) and 1st Financial Services Corporation (FFSC) pursuant to which Treasury agreed to sell to FCBTC the CPP preferred stock and warrant issued by FFSC, subject to the conditions specified in such agreement. The sale was completed on 12/31/2013. 103 On 1/31/2014, Syringa Bank, Boise, Idaho, the banking subsidiary of Syringa Bancorp, was closed by the Idaho Department of Finance, which appointed the Federal Deposit Insurance Corporation (FDIC) as receiver. 104 On 4/1/2014, pursuant to the terms of the merger of Alaska Pacific Bancshares, Inc. with Northrim Bancorp, Inc., Treasury received $2,370,908.26 for the warrants that had been issued to Treasury by Alaska Pacific Bancshares, Inc. 105 On 4/18/2014, Treasury entered into an agreement with Bank of the Carolinas Corporation (“BCAR”) pursuant to which Treasury agreed to sell its CPP preferred stock and warrant back to BCAR at a discount subject to the satisfaction of the conditions specified in the agreement. The sale was completed on 7/16/2014. 106 On 4/24/2014, Treasury sold all of its preferred stock issued by Bankers’ Bank of the West Bancorp, Inc. (BBW) to private investors for total proceeds of $13.5million, pursuant to securities purchase agreements dated as of April 21, 2014. BBW paid all accrued and unpaid dividends on the preferred stock as of April 24, 2014. 52 Footnote Description Footnote 107 On 4/25/2014, Treasury entered into a securities purchase agreement with Provident Community Bankshares, Inc. (PCBS) and Park Sterling Corporation (Park Sterling) pursuant to which Treasury agreed to sell to Park Sterling the CPP preferred stock and warrant issued by PCBS, subject to the conditions specified in such agreement. The sale was completed on 4/30/2014. 108 On 4/24/2014, Idaho Bancorp filed for Chapter 11 protection in the U.S. Bankruptcy Court for the District of Idaho. 109 On 4/30/2014, Treasury completed the exchange of its Northern States Financial Corporation preferred stock for common stock, pursuant to an exchange agreement, dated as of 4/29/2014, with Northern States Financial Corporation, and immediately sold the resulting Northern States Financial Corporation common stock, pursuant to securities purchase agreements, each dated as of 4/29/14, with Blue Pine Financial Opportunities Fund II, LP, EJF Sidecar Fund, Series LLC, Endeavour Regional Bank Opportunities Fund L.P., Endeavour Regional Bank Opportunities Fund II L.P., Hot Creek Investors, L.P.,JCSD Partners, LP, and PRB Investors, LP. 110 On 5/23/2014 Treasury completed the sale of its CommunityOne Bancorp common stock in an underwritten public offering. 111 On 5/30/2014, Treasury entered into a securities purchase agreement with Highlands Independent Bancshares, Inc. ("Highlands") and HCBF Holding Company, Inc. ("HCBF") pursuant to which Treasury agreed to sell to HCBF the CPP preferred stock issued by Highlands, subject to the conditions specified in such agreement. 112 On 6/30/2014, BCB Holding Company, Inc. (the “Institution”) repurchased their preferred and warrant preferred shares from Treasury and funds were wired from the Institution to the Bank of New York Mellon (BNYM) for the benefit of Treasury. The repurchase was finalized after the close of business on 6/30/14 and the funds were subsequently transferred from BNYM to Treasury on 7/1/2014. 113 On 8/28/2014, Treasury entered into an agreement with Central Bancorp, Inc. and Hanmi Financial Corporation, in connection with a merger, pursuant to which Treasury agreed to sell its Central Bancorp, Inc. CPP preferred stock (including warrant preferred stock) to Hanmi Financial Corporation for (i) $23,625,000, plus (ii) all accrued and unpaid dividends, subject to the satisfaction of the conditions specified in the agreement. The sale was completed on 8/29/2014. 53 CAPITAL PURCHASE PROGRAM - CITIGROUP, INC. COMMON STOCK DISPOSITION Date 4/26/2010 5/26/2010 5/26/2010 6/30/2010 7/23/2010 9/30/2010 10/19/2010 12/6/2010 12/6/2010 Pricing Mechanism 1 2 3 4 5 6 Number of Shares Proceeds 7 $4.1217 1,500,000,000 $ 6,182,493,158 $3.8980 1,108,971,857 $ 4,322,726,825 $3.9090 1,500,000,000 $ 5,863,489,587 $4.2609 1,165,928,228 $ 4,967,921,811 $4.3500 2,417,407,607 $ 10,515,723,090 Total Proceeds: $31,852,354,471 1/ On April 26, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority, as its sales agent, to sell subject to certain parameters up to 1,500,000,000 shares of common stock from time to time during the period ending on June 30, 2010 (or upon completion of the sale). Completion of the sale under this authority occurred on May 26, 2010. 2/ On May 26, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority, as its sales agent, to sell subject to certain parameters up to 1,500,000,000 shares of common stock from time to time during the period ending on June 30, 2010 (or upon completion of the sale). Completion of the sale under this authority occurred on June 30, 2010. 3/ On July 23, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority, as its sales agent, to sell subject to certain parameters up to 1,500,000,000 shares of common stock from time to time during the period ending on September 30, 2010 (or upon completion of the sale). Completion of the sale under this authority occured on September 30, 2010. 4/ On October 19, 2010, Treasury gave Morgan Stanley & Co. Incorporated (Morgan Stanley) discretionary authority, as its sales agent, to sell subject to certain parameters up to 1,500,000,000 shares of common stock from time to time during the period ending on December 31, 2010 (or upon completion of the sale), which plan was terminated on December 6, 2010. 5/ On December 6, 2010, Treasury commenced an underwritten public offering of its remaining 2,417,407,607 shares. Closing of the offering is subject to the fulfillment of certain closing conditions. 6/ The price set forth is the weighted average price for all sales of Citigroup, Inc. common stock made by Treasury over the course of the corresponding period. 7/ Amount represents the gross proceeds to Treasury. 54 COMMUNITY DEVELOPMENT CAPITAL INITIATIVE Seller Footnote Purchase Date Purchase Details Name of Institution City State Investment Description Amount from CPP Disposition Details Investment Amount Additional Investment 1 7/30/2010 Guaranty Capital Corporation Belzoni MS Subordinated Debentures $ 14,000,000 $ $ 14,000,000 1, 2 7/30/2010 University Financial Corp, Inc. St. Paul MN $ 11,926,000 $ 10,189,000 $ 22,115,000 Par 1, 2 8/6/2010 Southern Bancorp, Inc. Arkadelphia AR Subordinated Debentures Preferred Stock $ 11,000,000 $ 22,800,000 $ 33,800,000 Par $ 6,784,000 $ - Preferred Stock $ 7,462,000 $ - Preferred Stock $ $ 11,841,000 Par Preferred Stock $ 3,000,000 $ - $ 3,000,000 Par NY Preferred Stock $ 17,000,000 $ - $ 17,000,000 Par Memphis TN Preferred Stock $ 2,795,000 $ - $ 2,795,000 Mission Valley Bancorp Sun Valley CA Preferred Stock $ 5,500,000 $ - Preferred Stock $ $ 10,336,000 Par 8/20/2010 M&F Bancorp, Inc. Durham NC Preferred Stock $ 11,735,000 $ - $ 11,735,000 Par 8/27/2010 Carver Bancorp, Inc New York NY Common Stock $ 18,980,000 $ - $ 18,980,000 Par 9/3/2010 Kilmichael Bancorp, Inc. Kilmichael MS Subordinated Debentures $ $ - $ 3,154,000 Par 9/3/2010 United Bancorporation of Alabama, Inc. Atmore AL Preferred Stock $ $ - $ 10,300,000 Par DC 8/13/2010 1 8/13/2010 Premier Bancorp, Inc. Wilmette Citizens Bancshares Corporation Atlanta GA 2a 9/17/2010 1 IL 8/13/2010 PGB Holdings, Inc. Chicago IL 1 8/13/2010 First American International Corp. Brooklyn 1 8/13/2010 Tri-State Bank of Memphis 1 8/20/2010 2a 9/24/2010 1 1, 3 - - 10,300,000 $ $ Preferred Stock $ 6,000,000 $ Subordinated Debentures $ 4,205,000 $ Preferred Stock $ - $ Subordinated Debentures $ - $ MS Subordinated Debentures $ - Rochester NY Subordinated Debentures $ - First Eagle Bancshares, Inc. Hanover Park IL Subordinated Debentures $ 9/24/2010 Liberty Financial Services, Inc. New Orleans LA Preferred Stock 9/24/2010 First Choice Bank Cerritos CA Preferred Stock 9/24/2010 Bainbridge Bancshares, Inc. Bainbridge GA Preferred Stock $ 9/24/2010 Virginia Community Capital, Inc. Christiansburg VA Subordinated Debentures 9/24/2010 Lower East Side People's Federal Credit Union New York NY Subordinated Debentures 9/24/2010 Atlantic City Federal Credit Union Lander WY 9/24/2010 Neighborhood Trust Federal Credit Union New York 9/24/2010 Gateway Community Federal Credit Union 9/24/2010 Union Baptist Church Federal Credit Union 9/24/2010 Buffalo Cooperative Federal Credit Union Buffalo 9/24/2010 Tulane-Loyola Federal Credit Union New Orleans 9/24/2010 Alternatives Federal Credit Union 9/24/2010 1 9/3/2010 IBW Financial Corporation Washington 1, 2 9/10/2010 IBC Bancorp, Inc. Chicago 9/17/2010 CFBanc Corporation Washington DC 9/17/2010 American Bancorp of Illinois, Inc. Oak Brook IL 9/17/2010 Hope Federal Credit Union Jackson 9/17/2010 Genesee Co-op Federal Credit Union 1 9/17/2010 1, 2 1, 7 4,379,000 4,836,000 6,784,000 Remaining Investment Amount Par 11/28/2012 6 $22,115,000 $0 1/29/2013 4 $79,900 $0 Par Par Par $ 6,000,000 Par $ 8,086,000 Par - $ 5,781,000 Par - $ 5,457,000 Par $ - $ 4,520,000 Par $ - $ 300,000 Par 7,875,000 $ - $ 7,875,000 Par $ 5,645,000 $ $ 11,334,000 Par $ 5,146,000 $ - $ 5,146,000 Par 5/1/2013 7 $5,146,000 $0 - $ - $ 3,372,000 Par 9/10/2014 6 $2,372,000 $1,000,000 $ - $ - $ 1,915,000 Par $ - $ - $ 898,000 Par Subordinated Debentures $ - $ - $ 2,500,000 Par 9/26/2012 6 $2,500,000 $0 NY Subordinated Debentures $ - $ - $ 283,000 Par Missoula MT Subordinated Debentures $ - $ - $ 1,657,000 Par 10/17/2012 6 $1,657,000 $0 Fort Wayne IN Subordinated Debentures $ - $ - $ 10,000 Par NY Subordinated Debentures $ - $ - $ 145,000 Par LA Subordinated Debentures $ - $ - $ 424,000 Par Ithaca NY Subordinated Debentures $ - $ - $ 2,234,000 Par Liberty County Teachers Federal Credit Union Liberty TX Subordinated Debentures $ - $ - $ 435,000 Par 4/2/2014 6 $87,000 $348,000 9/24/2010 UNO Federal Credit Union New Orleans LA Subordinated Debentures $ - $ - $ 743,000 Par 9/4/2013 6 $743,000 $0 9/24/2010 Butte Federal Credit Union Biggs CA Subordinated Debentures $ - $ - $ 1,000,000 Par 9/24/2010 Thurston Union of Low-Income People (TULIP) Cooperative Credit Union Olympia WA Subordinated Debentures $ - $ - $ 75,000 Par 9/24/2010 Phenix Pride Federal Credit Union Phenix City AL Subordinated Debentures $ - $ - $ 153,000 Par 9/24/2010 Pyramid Federal Credit Union Tucson AZ Subordinated Debentures $ - $ - $ 2,500,000 Par 9/24/2010 Cooperative Center Federal Credit Union Berkeley CA Subordinated Debentures $ - $ - $ 2,799,000 Par 9/24/2010 Prince Kuhio Federal Credit Union Honolulu HI Subordinated Debentures $ - $ - $ 273,000 Par 9/24/2010 Community First Guam Federal Credit Union Hagatna GU Subordinated Debentures $ - $ - $ 2,650,000 Par 9/24/2010 Brewery Credit Union Milwaukee WI Subordinated Debentures $ - $ - $ 1,096,000 Par 10/3/2012 6 $1,096,000 $0 9/24/2010 Tongass Federal Credit Union Ketchikan AK Subordinated Debentures $ - $ - $ 1,600,000 Par 9/24/2010 Santa Cruz Community Credit Union Santa Cruz CA Subordinated Debentures $ - $ - $ 2,828,000 Par 9/24/2010 Northeast Community Federal Credit Union San Francisco CA Subordinated Debentures $ - $ - $ 350,000 Par 9/24/2010 Fairfax County Federal Credit Union Fairfax VA $ - $ - $ 8,044,000 Par 1, 2 9/29/2010 Security Federal Corporation Aiken SC Subordinated Debentures Preferred Stock $ 18,000,000 $ 4,000,000 $ 22,000,000 Par 1, 2 9/29/2010 Community Bank of the Bay Oakland CA Preferred Stock $ 1,747,000 $ 2,313,000 $ 4,060,000 Par 8/30/2013 7 $30,000,000 $0 12/28/2012 7 $9,734,000 $0 6 6 6 6 IL - $ Amount Date Par Subordinated Debentures 1, 4 1 - Pricing Mechanism 3,881,000 5,689,000 1, 2 9/29/2010 The First Bancshares, Inc. Hattiesburg MS Preferred Stock $ 5,000,000 $ 12,123,000 $ 17,123,000 Par 1, 2 9/29/2010 BancPlus Corporation Ridgeland MS Preferred Stock $ 50,400,000 $ 30,514,000 $ 80,914,000 Par 1 9/29/2010 First M&F Corporation Kosciusko MS Preferred Stock $ 30,000,000 $ - $ 30,000,000 Par 1 9/29/2010 State Capital Corporation Greenwood MS Preferred Stock $ 15,750,000 $ - $ 15,750,000 Par 1 9/29/2010 Lafayette Bancorp, Inc. Oxford MS Preferred Stock $ 4,551,000 $ - $ 4,551,000 Par 1, 7 9/29/2010 PSB Financial Corporation Many LA Preferred Stock $ 9,734,000 $ - $ 9,734,000 Par 1 9/29/2010 Community Bancshares of Mississippi, Inc. Brandon MS Preferred Stock $ 54,600,000 $ - $ 54,600,000 Par 1 9/29/2010 First Vernon Bancshares, Inc. Vernon AL Preferred Stock $ 6,245,000 $ - $ 6,245,000 Par 55 Seller Purchase Details Name of Institution City State Investment Description Amount from CPP Disposition Details Investment Amount Additional Investment Pricing Mechanism Footnote Purchase Date 1 9/29/2010 Security Capital Corporation Batesville MS Preferred Stock $ $ - $ 17,910,000 Par 9/29/2010 BankAsiana Palisades Park NJ Preferred Stock $ - $ - $ 5,250,000 Par 9/29/2010 The Magnolia State Corporation Bay Springs MS Subordinated Debentures $ - $ - $ 7,922,000 Par 8 17,910,000 9/29/2010 Bancorp of Okolona, Inc. Okolona MS Subordinated Debentures $ - $ - $ 3,297,000 Par 9/29/2010 Southern Chautauqua Federal Credit Union Lakewood NY Subordinated Debentures $ - $ - $ 1,709,000 Par 9/29/2010 Fidelis Federal Credit Union New York NY Subordinated Debentures $ - $ - $ 14,000 Par 9/29/2010 Bethex Federal Credit Union Bronx NY Subordinated Debentures $ - $ - $ 502,000 Par 9/29/2010 Shreveport Federal Credit Union Shreveport LA Subordinated Debentures $ - $ - $ 2,646,000 Par 6 9/29/2010 Springhill LA Subordinated Debentures $ - $ - $ 6,300,000 Par 6 9/29/2010 Carter Federal Credit Union UNITEHERE Federal Credit Union (Workers United Federal Credit Union) New York NY Subordinated Debentures $ - $ - $ 57,000 Par 9/29/2010 North Side Community Federal Credit Union Chicago IL Subordinated Debentures $ - $ - $ 325,000 Par 9/29/2010 East End Baptist Tabernacle Federal Credit Union Bridgeport CT Subordinated Debentures $ - $ - $ 7,000 Par 9/29/2010 Community Plus Federal Credit Union Rantoul IL Subordinated Debentures $ - $ - $ 450,000 Par 9/29/2010 Border Federal Credit Union Del Rio TX Subordinated Debentures $ - $ - $ 3,260,000 Par 9/29/2010 Opportunities Credit Union Burlington VT Subordinated Debentures $ - $ - $ 1,091,000 Par 9/29/2010 First Legacy Community Credit Union Charlotte NC Subordinated Debentures $ - $ - $ 1,000,000 Par 9/29/2010 Union Settlement Federal Credit Union New York NY Subordinated Debentures $ - $ - $ 295,000 Par 6 6 9/29/2010 Southside Credit Union San Antonio TX Subordinated Debentures $ - $ - $ 1,100,000 Par 9/29/2010 D.C. Federal Credit Union Washington DC Subordinated Debentures $ - $ - $ 1,522,000 Par Par 9/29/2010 Faith Based Federal Credit Union Oceanside CA Subordinated Debentures $ - $ - $ 30,000 9/29/2010 Greater Kinston Credit Union Kinston NC Subordinated Debentures $ - $ - $ 350,000 Par 9/29/2010 Hill District Federal Credit Union Pittsburgh PA Subordinated Debentures $ - $ - $ 100,000 Par 9/29/2010 Freedom First Federal Credit Union Roanoke VA Subordinated Debentures $ - $ - $ 9,278,000 Par 9/29/2010 Episcopal Community Federal Credit Union Los Angeles CA Subordinated Debentures $ - $ - $ 100,000 Par 9/29/2010 Vigo County Federal Credit Union Terre Haute IN Subordinated Debentures $ - $ - $ 1,229,000 Par 9/29/2010 Renaissance Community Development Credit Union Somerset NJ Subordinated Debentures $ - $ - $ 31,000 Par 9/29/2010 9/30/2010 Independent Employers Group Federal Credit Union Brooklyn Cooperative Federal Credit Union Hilo Brooklyn HI NY Subordinated Debentures Subordinated Debentures $ $ - $ $ - $ $ 698,000 300,000 Par Par Total Purchase Amount $ 570,073,000 Amount Date Remaining Investment Amount 10/1/2013 6 $5,250,000 $0 3/13/2013 6 $3,297,000 $0 2/6/2013 6 $2,500,000 $3,800,000 3/20/2013 6 $57,000 $0 4/2/2014 6 $1,000,000 $0 10/30/2013 6 $1,100,000 $0 4/10/2012 6 $350,000 $0 6/12/2013 6 $9,278,000 $0 Total Capital Repayment Amount TOTAL TREASURY COMMUNITY DEVELOPMENT INITIATIVE (CDCI) INVESTMENT AMOUNT $ $98,361,900 465,007,000 1/ This institution qualified to participate in the Community Development Capital Initiative (CDCI), and has exchanged its Capital Purchase Program investment for an equivalent amount of investment with Treasury under the CDCI program terms. 2/ Treasury made an additional investment in this institution at the time it entered the CDCI program. 2a/ Treasury made an additional investment in this institution after the time it entered the CDCI program. 3/ On 10/28/2011, Treasury completed the exchange of all Carver Bancorp, Inc. ("Carver") preferred stock held by Treasury for 2,321,286 shares of Carver common stock, pursuant to the terms of the agreement between Treasury and Carver entered into on 06/29/2011. Accrued and previously unpaid dividends were paid on the date of the exchange. 4/ On 3/23/2012, Premier Bank, Wilmette, IL, the banking subsidiary of Premier Bancorp, Inc., was closed by the Illinois Department of Financial and Professional Regulation - Division of Banking, and the Federal Deposit Insurance Corporation (FDIC) was named Receiver. On 1/29/2013, UST received $79,900 representing the total amount of distributions paid to creditors as a result of the liquidation of Premier Bancorp, Inc. 5/ Repayment pursuant to Section 5 of the CDCI Certificate of Designation. 6/ Repayment pursuant to Section 6.10 of the CDCI Securities Purchase Agreement 7/ Repayment pursuant to Section 5 of the CDCI Exchange Agreement. 8/ Repayment pursuant to Section 6.11 of the CDCI Securities Purchase Agreement. 9/ Repayment pursuant to Section 5.11 of the CDCI Exchange Agreement. 56 AUTOMOTIVE INDUSTRY FINANCING PROGRAM Initial Investment City, State Date Transaction Type 12/29/2008 Purchase 5/21/2009 GMAC (Ally) Purchase Seller GMAC GMAC Detroit, MI 12/30/2009 12/30/2009 Purchase Purchase 12/29/2008 Purchase 12/31/2008 Purchase 4/22/2009 Purchase GMAC GMAC General Motors Corporation General Motors Corporation General Motors Corporation Description Preferred Stock w/ Exercised Warrants Convertible Preferred Stock w/ Exercised Warrants Convertible Preferred Stock w/ Exercised Warrants Exchange/Transfer/Other Details Amount $ $ $ Trust Preferred Securities w/ $ Exercised Warrants Debt Obligation $ Debt Obligation w/ Additional $ Note Debt Obligation w/ Additional $ Note 5,000,000,000 7,500,000,000 1,250,000,000 2,540,000,000 Pricing Mechanism Par Par Par 12/30/2009 22 22, 26 Par 884,024,131 Par 13,400,000,000 Par 2,000,000,000 Date Par 12/30/2009 12/30/2010 3/1/2011 2 5/29/2009 7/10/2009 4 7/10/2009 Type Exchange for convertible preferred stock Amount Treasury Investment After Exchange/Transfer/Other Pricing Mechanism $ 5,000,000,000 N/A Partial conversion of preferred $ stock for common stock 3,000,000,000 N/A Partial conversion of preferred $ stock for common stock Exchange for amended and restated Trust Preferred Securities Exchange for equity interest in GMAC Exchange for preferred and common stock in New GM Exchange for preferred and common stock in New GM $ Obligor GMAC (Ally) GMAC (Ally) 5,500,000,000 2,667,000,000 N/A N/A $ 884,024,131 N/A $ 13,400,000,000 N/A $ 2,000,000,000 N/A 26 27 GMAC (Ally) Description 21, 22 3, 26, 32, 38 Convertible Preferred Stock Amount/Equity % $ 5,937,500,000 General Motors Purchase General Motors Corporation Debt Obligation w/ Additional $ Note 4,000,000,000 Par 5 7/10/2009 Exchange for preferred and common stock in New GM $ 4,000,000,000 $ 2,667,000,000 6/3/2009 Purchase Purchase General Motors Corporation General Motors Corporation Debt Obligation w/ Additional $ Note Debt Obligation w/ Additional $ Note 360,624,198 30,100,000,000 Par Par 6 8 7/10/2009 Exchange for preferred and common stock in New GM $ 360,624,198 7 General Motors Company General Motors Company N/A N/A 7/10/2009 Exchange for preferred and common stock in New GM $ 22,041,706,310 N/A 7/10/2009 Transfer of debt to New GM $ 7,072,488,605 N/A 7/10/2009 Debt left at Old GM $ 985,805,085 N/A 11/20/2013 Disposition 38 Amount/ Proceeds Remaining Investment Description N/A Remaining Investment Amount/Equity % $ 5,925,000,000 1/23/2014 Partial Disposition40 $ 3,023,750,000 Common Stock 36.96% 4/15/2014 Partial Disposition41 $ 2,375,000,000 Common Stock 17.09% 5/14/2014 Partial Disposition42 $ 181,141,750 Common Stock 15.60% 9/12/2014 Partial Disposition43 $ 218,680,700 Common Stock 13.80% $ 0 10, 11, Preferred Stock 24 $ 2,100,000,000 3/2/2011 Disposition 28 $ 2,667,000,000 N/A $ 2,139,406,778 N/A $ 0 7 10, 11, 25 Common Stock 7 General Motors Holdings LLC 11, 12 Debt Obligation 12/15/2010 Repayment $ 11/18/2010 Partial Disposition 25 $ 11,743,303,903 Common Stock 36.9% 0 11/26/2010 Partial Disposition 25 $ 1,761,495,577 Common Stock 32.04% 12/21/2012 Partial Disposition 33 $ 5,500,000,000 Common Stock 21.97% 4/11/2013 Partial Disposition 34 $ 1,637,839,844 Common Stock 17.69% 6/12/2013 Partial Disposition 35 $ 1,031,700,000 Common Stock 13.80% 9/13/2013 Partial Disposition 36 $ 3,822,724,832 Common Stock 7.32% 11/20/2013 Partial Disposition 37 $ 2,563,441,956 Common Stock 2.24% 12/9/2013 Partial Disposition 39 $ 1,208,249,982 Common Stock 7/10/2009 Partial Repayment $ 360,624,198 Debt Obligation $ 6,711,864,407 12/18/2009 Partial Repayment $ 1,000,000,000 Debt Obligation $ 5,711,864,407 1/21/2010 Partial Repayment $ 35,084,421 Debt Obligation $ 5,676,779,986 3/31/2010 Partial Repayment $ 1,000,000,000 Debt Obligation $ 4,676,779,986 4/20/2010 Repayment $ 4,676,779,986 3/31/2011 Partial Repayment $ 50,000,000 4/5/2011 Partial Repayment $ 45,000,000 5/3/2011 Partial Repayment $ 15,887,795 12/16/2011 Partial Repayment $ 144,444 12/23/2011 Partial Repayment $ 18,890,294 1/11/2012 Partial Repayment $ 6,713,489 10/23/2012 Partial Repayment $ 435,097 5/22/2013 Partial Repayment $ 10,048,968 9/20/2013 Partial Repayment $ 11,832,877 12/27/2013 Partial Repayment $ 410,705 $ 470,269 60.8% Detroit, MI 5/27/2009 Type 3 7 5/20/2009 Date 1 63.45% Common Stock Trust Preferred Securities 27 Payment or Disposition $ 7,072,488,605 N/A 0.00% $ 0 9 9 9 Motors Liquidation Company 29 Debt Obligation $ 985,805,085 1/9/2014 Partial Repayment Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds Right to recover proceeds N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A 57 1/16/2009 Chrysler FinCo Chrysler FinCo Debt Obligation w/ Additional $ Note 1,500,000,000 Par 13 Farmington Hills, MI 1/2/2009 4/29/2009 4/29/2009 Chrysler Purchase Purchase Chrysler Holding Purchase Chrysler Holding Purchase Chrysler Holding 5/1/2009 Purchase Old Chrysler 5/20/2009 Purchase Old Chrysler Debt Obligation w/ Additional Note Debt Obligation w/ Additional Note Debt Obligation w/ Additional Note Debt Obligation w/ Additional Note Debt Obligation w/ Additional Note $ 4,000,000,000 $ - $ 280,130,642 $ 1,888,153,580 $ - Par Par 6/10/2009 $ 500,000,000 N/A 19 Chrysler Holding 20 Debt obligation w/ additional note $ 3,500,000,000 15 4/30/2010 17 Completion of bankruptcy $ proceeding; transfer of collateral security to liquidation trust (1,888,153,580) N/A 23 Old Carco Liquidation Trust 23 Right to recover proceeds N/A Auburn Hills, MI 5/27/2009 Purchase New Chrysler Debt Obligation w/ Additional Note, Zero Coupon Note, $ Equity 18 6,642,000,000 N/A 6/10/2009 Issuance of equity in New Chrysler $ - N/A Chrysler Group LLC Chrysler Group LLC Total Initial Investment Amount $ Partial Repayment 4/17/2009 Partial Repayment 5/18/2009 Partial Repayment 6/17/2009 Partial Repayment 7/14/2009 Repayment $ 1,369,197,029 7/14/2009 Repayment* $ 15,000,000 N/A - 5/14/2010 Termination and settlement 20 payment $ 1,900,000,000 N/A - N/A 14 16 - Transfer of debt to New Chrysler 19, 31 Debt obligation w/ additional note & zero coupon note 30 81,344,932,551 Total Treasury Investment Amount $ Common equity $ 7,142,000,000 6.6% Debt Obligation w/ 3,499,055 Additional Note Debt Obligation w/ 31,810,122 Additional Note Debt Obligation w/ 51,136,084 Additional Note Debt Obligation w/ 44,357,710 Additional Note 3/17/2009 $ $ $ $ 7/10/2009 Repayment $ 280,130,642 5/10/2010 Proceeds from sale of collateral $ 30,544,528 9/9/2010 Proceeds from sale of collateral $ Additional Note 1,496,500,945 $ 1,464,690,823 $ 1,413,554,739 $ 1,369,197,029 $ 12/29/2010 Proceeds from sale of collateral $ 4/30/2012 Proceeds from sale of collateral $ 9,302,185 5/24/2011 Repayment - Principal $ 5,076,460,000 5/24/2011 Termination of undrawn facility $ 2,065,540,000 5/24/2011 Repayment* - Additional Note $ 288,000,000 5/24/2011 Repayment* - Zero Coupon Note $ 100,000,000 7/21/2011 Disposition $ 560,000,000 Total Payments $ 62,405,006,412 Additional Proceeds * $ 403,000,000 0 $ Right to recover proceeds Right to recover 9,666,784 proceeds Right to recover 7,844,409 proceeds 31 $ 0 N/A N/A N/A Right to recover proceeds N/A N/A $ N/A 0 - 13,386,232,559 Footnotes appear on following page. As used in this table and its footnotes: GMAC refers to GMAC Inc., formerly known as GMAC LLC., and now known as Ally Financial, Inc. ("Ally"). "Old GM" refers to General Motors Corporation, which is now known as Motors Liquidation Company. "New GM" refers to General Motors Company, the company that purchased Old GM's assets on 7/10/2009 in a sale pursuant to section 363 of the Bankruptcy Code. See also footnote 11. "Chrysler FinCo" refers to Chrysler Financial Services Americas LLC. "Chrysler Holding" refers to CGI Holding LLC, the company formerly known as "Chrysler Holding LLC". "Old Chrysler" refers to Old Carco LLC (fka Chrysler LLC). "New Chrysler" refers to Chrysler Group LLC, the company that purchased Old Chrysler's assets on 6/10/2009 in a sale pursuant to section 363 of the Bankruptcy Code. 1. Payment amount does not include accrued and unpaid interest on a debt obligation, which must be paid at the time of principal repayment. 2. Treasury committed to lend General Motors Corporation up to $1,000,000,000. The ultimate funding was dependent upon the level of investor participation in GMAC LLC's rights offering. The amount has been updated to reflect the final level of funding. 3. Pursuant to its rights under the loan agreement with Old GM reported on 12/29/2008, Treasury exchanged its $884 million loan to Old GM for a portion of Old GM’s common equity interest in GMAC. Treasury held a 35.4% common equity interest in GMAC until the transactions reported on 12/30/2009. (See transactions marked by orange line in the table above and footnote 22.) 4. This transaction is an amendment to Treasury's 12/31/2008 agreement with Old GM (the "Old GM Loan"), which brought the total loan amount to $15,400,000,000. 5. This transaction was a further amendment to the Old GM Loan, which brought the total loan amount to $19,400,000,000. 6. This transaction was a further amendment to the Old GM Loan, which brought the total loan amount to $19,760,624,198. The $360,624,198 loan was used to capitalize GM Warranty LLC, a special purpose vehicle created by Old GM . On 7/10/2009, the principal amount was included in the $7.07 billion of debt assumed by the new GM, as explained in footnote 10. 7. On 7/10/2009, the principal amount outstanding under the Old GM Loan and interest accrued thereunder were extinguished and exchanged for privately placed preferred and common equity in New GM. (See green lines in the table above.) 8. Under the terms of the $33.3 billion debtor-in-possession credit agreement dated 6/3/2009 with Old GM (the "GM DIP Loan"), Treasury's commitment amount was $30.1 billion. The remaining $2.2 billion of the financing was provided by Canadian government entities. As of 7/09/2009, $30.1 billion of funds had been disbursed by Treasury. 9. On 7/10/2009, Treasury and Old GM amended the GM DIP Loan, and the principal amount and interest accrued thereunder were extinguished and exchanged for privately placed preferred and common equity in New GM, except for (i) $7.07 billion, which was assumed by New GM as a new obligation under the terms of a separate credit agreement between Treasury and New GM (see transactions marked by green lines in table above) and (ii) $986 million, which remained a debt obligation of Old GM. 10. In total, for the exchange of the Old GM Loan and the GM DIP Loan (other than as explained in footnote 9), Treasury received $2.1 billion in preferred shares and 60.8% of the common shares of New GM. (See transactions marked by green lines in the table above.) 11. Pursuant to a corporate reorganization completed on or about 10/19/2009, the shareholders of New GM, including with respect to Treasury's preferred and common stock, became shareholders of General Motors Holding Company (the ultimate parent company of New GM), which was renamed "General Motors Company" on an equal basis to their shareholdings in New GM, and New GM was converted to "General Motors LLC". General Motors LLC is a wholly owned subsidiary of General Motors Holdings LLC, and General Motors Holdings LLC is a wholly owned subsidiary of General Motors Company. 12. Pursuant to a corporate reorganization completed on 10/19/2009, Treasury's loan with New GM was assigned and assumed by General Motors Holdings LLC. 13. The loan was funded through Chrysler LB Receivables Trust, a special purpose vehicle created by Chrysler FinCo. The amount of $1,500,000,000 represents the maximum loan amount. The loan was incrementally funded until it reached the maximum amount of $1.5 billion on 4/9/2009. 14. This transaction was an amendment to Treasury's 1/2/2009 agreement with Chrysler Holding. As of 4/30/2009, Treasury's obligation to lend any funds committed under this amendment had terminated. No funds were disbursed. 15. The loan was used to capitalize Chrysler Warranty SPV LLC, a special purpose vehicle created by Old Chrysler. 16. This transaction was set forth in a credit agreement with Old Chrysler fully executed on 5/5/2009 following a term sheet executed on 5/1/2009 and made effective on 4/30/2009. Treasury's commitment was $3.04 billion of the total $4.1 billion debtor-in-possession credit facility (the "Chrysler DIP Loan"). As of 6/30/2009, Treasury's commitment to lend under the Chrysler DIP Loan had terminated. The remaining principal amount reflects the final amount of funds disbursed under the Chrysler DIP Loan. 17. This transaction was an amendment to Treasury's commitment under the Chrysler DIP Loan, which increased Treasury's commitment by an amount $756,857,000 to a total of $3.8 billion under the Chrysler DIP Loan. As of 6/30/2009, Treasury's obligation to lend funds committed under the Chrysler DIP Loan had terminated. 18. This transaction, first reported based on a term sheet fully executed on 5/27/2009 for an amount up to $6.943 billion, was set forth in a credit agreement with New Chrysler fully executed on 6/10/2009. Under the terms of the credit agreement, Treasury made a new commitment to New Chrysler of up to $6.642 billion. The total loan amount is up to $7.142 billion including $500 million of debt assumed on 6/10/2009 from Chrysler Holding originally incurred under Treasury's 1/2/2009 credit agreement with Chrysler Holding. The debt obligations are secured by a first priority lien on the assets of New Chrysler. When the sale to new Chrysler was completed, Treasury acquired the rights to 9.85% of the common equity in new Chrysler. 19. Pursuant to the agreement explained in footnote 18, $500 million of this debt obligation was assumed by New Chrysler. 20. Under loan agreement, as amended on 7/23/2009, Treasury was entitled to proceeds Chrysler Holdco received from Chrysler FinCo equal to the greater of $1.375 billion or 40% of the equity value of Chrysler FinCo. Pursuant to a termination agreement dated 5/14/2010, Treasury agreed to accept a settlement payment of $1.9 billion as satisfaction in full of all existing debt obligations (including additional notes and accrued and unpaid interest) of Chrysler Holdco, and upon receipt of such payment to terminate all such obligations. 58 21. Amount of the Treasury investment exchange includes the exercised warrants from Treasury's initial investments. 22. Under the terms of an agreement dated 12/30/2009, the convertible preferred shares will mandatorily convert to common stock under the conditions and the conversion price as set forth in the terms of the agreement. 23. On April 30, 2010, the Plan of Liquidation for the debtors of Old Chrysler approved by the respective bankruptcy court became effective (the “Liquidation Plan”). Under the Liquidation Plan, the loan Treasury had provided to Old Chrysler was extinguished without repayment, and all assets of Old Chrysler were transferred to a liquidation trust. Treasury retained the right to recover the proceeds from the liquidation from time to time of the specified collateral security attached to such loan. 24. On October 27, 2010, Treasury accepted an offer by General Motors Company (GM) to repurchase all of the approximately $2.1 billion preferred stock at a price per share of $25.50, which is equal to 102% of the liquidation preference, subject to the closing of the proposed initial public offering of GM’s common stock. The repurchase was completed on 12/15/2010. 25. On 11/17/2010, Treasury agreed to sell 358,546,795 shares of common stock at $32.7525 per share (which represents the $33 public sale price less underwriting discounts and fees) pursuant to an underwriting agreement. Following settlement, the net proceeds to Treasury were $11,743,303,903. On 11/26/2010, the underwriters exercised their option to purchase an additional 53,782,019 shares of common stock from Treasury at the same purchase price resulting in additional proceeds of $1,761,495,577. Treasury's aggregate net proceeds from the sale of common stock pursuant to the underwriting agreement total $13,504,799,480. 26. On 12/30/2010, Treasury of they total convertible( preferred stock then outstanding and held by Treasury (including exercised gg warrants) into of convertible preferred stock. y converted $5,500,000,000 g y) p g q 531,850 p shares of common y stock p of Ally. Following this conversion, pTreasury holds $5,937,500,000 g y g p $28,170,000. 28. On 3/2/2011, Treasury entered into an underwritten offering for all of its Ally trust preferred securities, the proceeds of which were $2,638,830,000, which together with the distribution fee referred to in footnote 27, provided total disposition proceeds to Treasury of $2,667,000,000. This amount does not include the accumulated and unpaid dividends on the trust preferred securities from the date of the amendment and restatement through but excluding the closing date that Treasury will receive separately at settlement. 29. On March 31, 2011, the Plan of Liquidation for Motors Liquidation Company (Old GM) became effective, Treasury’s $986 million loan to Old GM was converted to an administrative claim and the assets remaining with Old GM, including Treasury's liens on certain collateral and other rights attached to the loan, were transferred to liquidation trusts. On December 15, 2011, Old GM was dissolved, as required by the Plan of Liquidation. Treasury retained the right to recover additional proceeds; however, any additional recovery is dependent on actual liquidation proceeds and pending litigation. 30. In June 2009, Treasury provided a $6.6 billion loan commitment to Chrysler Group LLC and received a 9.9 percent equity ownership in Chrysler Group LLC (Chrysler). In January and April 2011, Chrysler met the first and second of three performance related milestones. As a result, Fiat’s ownership automatically increased from 20% to 30%, and Treasury’s ownership was reduced to 8.6%. On May 24, 2011, Fiat, through the exercise of an equity call option, purchased an incremental 16% fully diluted ownership interest in Chrysler for $1.268 billion, reducing Treasury’s ownership to 6.6% (or 6.0% on a fully diluted basis). On July 21, 2011, Fiat, through the exercise of an equity call option, purchased Treasury’s ownership interest for $500 million. In addition, Fiat paid $60 million to Treasury for its rights under an agreement with the UAW retirement trust pertaining to the trust's shares in Chrysler. 31 On May 24, 2011, Chrysler Group LLC terminated its ability to draw on the remaining $2.066 billion outstanding under this loan facility. 32. On November 1, 2011, Treasury received a $201,345.42 pro-rata tax distribution on its common stock from Ally Financial, Inc. pursuant to the terms of the Sixth Amended and Restated Limited Liability Company Operating Agreement of GMAC LLC dated May 22, 2009. 33. On 12/21/2012, Treasury sold 200,000,000 shares of common stock at $27.50 per share pursuant to a letter agreement. Following settlement, the net proceeds to Treasury were $5,500,000,000. 34 On January 18, 2013, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 58,392,078 shares of common stock from time to time during the period ending on April 17, 2013 (or upon completion of the sale). Completion of the sale under this authority occurred on April 11, 2013. 35. On 6/12/2013, Treasury sold 30,000,000 shares of GM common stock in a registered public offering at $34.41 per share for net proceeds to Treasury of $ 1,031,700,000. 36. Pursuant to pre-arranged written trading plans dated May 6, 2013, as amended, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 142,814,136 shares of common stock from time to time during the period ending on September 13, 2013 (or upon completion of the sale). Completion of the sale 37. On September 26, 2013, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 70,214,460 shares of common stock from time to time during the period ending on December 20, 2013 (or upon completion of the sale). Completion of the sale under this authority occurred on November 20, 2013. 38. On November 20, 2013, Ally completed a private placement of an aggregate of 216,667 shares of its common stock for an aggregate price of approximately $1.3 billion and the repurchase of all outstanding shares of its Fixed Rate Cumulative Mandatorily Convertible Preferred Stock, Series F-2, held by Treasury, including payment for the elimination or relinquishment of any right to receive additional shares of common stock to be issued (the “Share Adjustment Right”). Ally paid to Treasury a total of approximately $5.93 billion for the repurchase of the Series F-2 Preferred Stock and the elimination of the Share Adjustment Right. As a result of the private placement, Treasury's common stock ownership stake was diluted from 73.8 percent to 63.45 percent. Treasury continues to own 981,971 shares of common stock in Ally. 39. On November 21, 2013, Treasury gave J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell, subject to certain parameters, the remaining shares of common stock, from time to time during the period ending on February 15, 2014 (or upon completion of the sale). Completion of the sale under this authority occurred on December 9, 2013. 40. On January 23, 2014, Treasury sold 410,000 shares of Ally common stock in a private offering at $7,375 per share for gross proceeds of $3,023,750,000. 41. On April 15, 2014, Treasury sold 95,000,000 shares of Ally common stock in an IPO at $25.00 per share for net proceeds of $2,375,000,000. 42. On 5/14/2014, the underwriters partially exercised their option to purchase an additional 7,245,670 shares of Ally common stock from Treasury at $25.00 resulting in additional proceeds of $181,141,750. 43. On August 14, 2014, Treasury gave Goldman Sachs discretionary authority, as its sales agent, to sell subject to certain parameters up to 8,890,000 shares of common stock from time to time during the period ending on November 12, 2014 (or upon completion of the sale). Completion of the sale under this authority occurred on September 12, 2014. AUTOMOTIVE SUPPLIER SUPPORT PROGRAM Adjustment Details Adjustment Adjusted or Final Amount Investment Amount Seller Footnote Date Name of Institution City State Transaction Type Investment Description Investment Amount Pricing Mechanism Adjustment Date Payment or Disposition4 Date 2/11/2010 3/4/2010 4/5/2010 11/20/2009 1 4/9/2009 GM Supplier Receivables LLC Wilmington DE Purchase Debt Obligation w/ $ 3,500,000,000 Additional Note 7/8/2009 3 $ (1,000,000,000) $ N/A 6 2 4/9/2009 Chrysler Receivables SPV LLC INITIAL TOTAL $ 5,000,000,000 Wilmington DE Purchase ADJUSTED TOTAL Debt Obligation w/ $ 1,500,000,000 Additional Note $ 413,076,735 2,500,000,000 N/A 7/8/2009 3 $ $ 290,000,000 (500,000,000) $ 1,000,000,000 $ 123,076,735 7 Total Repayments $ 413,076,735 Remaining Investment Description Type Partial repayment Partial repayment 3/9/2010 4/7/2010 Amount Debt Obligation w/ Additional Note $ 140,000,000 Debt Obligation w/ Additional Note $ 100,000,000 Repayment5 Additional Note $ 50,000,000 Payment6 None $ 56,541,893 Additional Note None $ $ 123,076,735 44,533,054 $ 101,074,947 5 Repayment 7 Payment Total Proceeds from Additional Notes 1/ The loan was funded through GM Supplier Receivables, LLC, a special purpose vehicle created by General Motors Corporation. The amount of $3,500,000,000 represents the maximum loan amount. The loan will be incrementally funded. The credit agreement was fully executed on 4/9/2009, but was made effective as of 4/3/2009. General Motors Company assumed GM Supplier 2/ The loan was funded through Chrysler Receivables SPV LLC, a special purpose vehicle created by Chrysler LLC. The amount of $1,500,000,000 represents the maximum loan amount. The loan will be incrementally funded. The credit agreement was fully executed on 4/9/2009, but was made effective as of 4/7/2009. Chrysler Group LLC assumed Chrysler Receivables SPV LLC on 3/ Treasury issued notice to the institution of the permanent reduced commitment on 7/8/2009; the reduction was effective on 7/1/2009. 4/ Does not include accrued and unpaid interest due on the amount of principal repayment, which interest must be paid at the time of principal repayment. 5/ All outstanding principal drawn under the credit agreement was repaid. 6/ Treasury's commitment was $2.5 billion (see note 3). As of 4/5/2010, Treasury's commitment to lend under the credit agreement had terminated and the borrower has paid its obligations with respect to the Additional Note. The final investment amount reflects the total funds disbursed under the loan, all of which have been repaid. 7/ Treasury's commitment was $1 billion (see note 3). As of 4/7/2010, Treasury's commitment to lend under the credit agreement had terminated and the borrower has paid its obligations with respect to the Additional Note. The final investment amount reflects the total funds disbursed under the loan, all of which have been repaid. 59 AUTOMOTIVE INDUSTRY FINANCING PROGRAM - GENERAL MOTORS COMPANY COMMON STOCK DISPOSITION Date 01/18/13 – 04/17/13 05/6/13 – 9/13/2013 9/26/13 – 11/20/13 11/21/2013 12/9/2013 3 4 5 6 Pricing Mechanism1 Number of Shares $28.0490 58,392,078 $ 1,637,839,844 $34.6461 110,336,510 $ 3,822,724,832 $36.5087 70,214,460 $ 2,563,441,956 $38.8228 31,122,206 $ 1,208,249,982 Total Proceeds: Proceeds2 $9,232,256,614 1/ The price set forth is the weighted average price for all sales of General Motors Company common stock made by Treasury over the course of the corresponding period. 2/ Amount represents the gross proceeds to Treasury. 3/ On January 18, 2013, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 58,392,078 shares of common stock from time to time during the period ending on April 17, 2013 (or upon completion of the sale). Completion of the sale under this authority occurred on April 11, 2013. 4/ Pursuant to pre-arranged written trading plans dated May 6, 2013, as amended, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 142,814,136 shares of common stock from time to time during the period ending on September 13, 2013 (or upon completion of the sale). Completion of the sale under this authority occurred on September 13, 2013. 5/ On September 26, 2013, Treasury gave Citigroup Global Markets, Inc. and J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell subject to certain parameters up to 70,214,460 shares of common stock from time to time during the period ending on December 20, 2013 (or upon completion of the sale). Completion of the sale under this authority occurred on November 20, 2013. 6/ On November 21, 2013, Treasury gave J.P. Morgan Securities, LLC discretionary authority, as its sales agent, to sell, subject to certain parameters, the remaining shares of common stock, from time to time during the period ending on February 15, 2014 (or upon completion of the sale). Completion of the sale under this authority occurred on December 9, 2013. 60 AUTOMOTIVE INDUSTRY FINANCING PROGRAM - ALLY FINANCIAL, INC. COMMON STOCK DISPOSITION Date 08/14/14 – 09/12/14 3 Pricing Mechanism1 Number of Shares $24.5985 8,890,000 Total Proceeds: Proceeds2 $ 218,680,700 $218,680,700 1/ The price set forth is the weighted average price for all sales of Ally Financial, Inc.(Ally) common stock made by Treasury over the course of the corresponding period. 2/ Amount represents the gross proceeds to Treasury. 3/ On August 14, 2014, Treasury gave Goldman Sachs discretionary authority, as its sales agent, to sell subject to certain parameters up to 8,890,000 shares of common stock from time to time during the period ending on November 12, 2014 (or upon completion of the sale). Completion of the sale under this authority occurred on September 12, 2014. 61 TARGETED INVESTMENT PROGRAM Footnote 1 Date Name of Institution 12/31/2008 Citigroup Inc. Bank of America 1/16/2009 Corporation Treasury Investment Remaining After Capital Repayment Capital Repayment Details Seller City State Transaction Type New York NY Purchase Charlotte NC Purchase Investment Description Investment Amount Trust Preferred Securities w/ Warrants $ 20,000,000,000 Preferred Stock w/ Warrants $ 20,000,000,000 TOTAL $ 40,000,000,000 Pricing Mechanism Capital Repayment Date Par 12/23/2009 Par 12/9/2009 Capital Repayment Amount 2 Remaining Capital Amount Remaining Capital Description Final Disposition Final Disposition Description Final Disposition Date 3 Final Disposition Proceeds $ 20,000,000,000 $ 0 Warrants 1/25/2011 A Warrants $ 190,386,428 $ 20,000,000,000 $ 0 Warrants 3/3/2010 A Warrants $ 1,236,804,513 $ 40,000,000,000 $ 1,427,190,941 2 AMOUNT TOTAL TREASURY TIP INVESTMENT AMOUNT $ Total Warrant Proceeds 0 1/ Treasury made three separate investments in Citigroup Inc. ("Citigroup") under CPP, TIP, and AGP for a total of $49 billion. On 6/9/2009, Treasury entered into an agreement with Citigroup to exchange all of Treasury’s investments. On 7/30/2009, Treasury exchanged all of its Fixed Rate Cumulative Perpetual Preferred Stock, Series I (TIP Shares) “dollar for dollar” for Trust Preferred Securities. 2/ Repayment pursuant to Title VII, Section 7001 of the American Recovery and Reinvestment Act of 2009. 3/ For final disposition of warrants, "R" represents proceeds from a repurchase of warrants by the financial institution, and "A" represents the proceeds to Treasury, after underwriting fees, from a sale by Treasury in a registered public offering of the warrants issued by the financial institution. ASSET GUARANTEE PROGRAM Initial Investment Footnote 1 Date Seller Name of Institution 1/16/2009 Citigroup Inc. 12/23/2009 Citigroup Inc. City New York New York State NY NY Type Guarantee Termination Exchange/Transfer/Other Details Premium Description Master Agreement Termination Agreement Guarantee Limit $ $ 5,000,000,000 $ Preferred Stock w/ Warrants Amount $ Payment or Disposition Date 2 6/9/2009 Exchange preferred stock Trust Preferred for trust preferred securities Securities w/ Warrants $ 4,034,000,000 4 9/29/2010 Exchange trust preferred Trust Preferred securities for trust preferred Securities w/ Warrants securities $ 2,246,000,000 4,034,000,000 Type Description Footnote Amount Remaining Premium Description Remaining Premium Trust Preferred Securities w/ Warrants $2,234,000,000 Footnote Date 3 12/23/2009 5 9/30/2010 Disposition $ 2,246,000,000 Warrants $ 0 1/25/2011 Warrant Auction $ 67,197,045 None $ 0 $894,000,000.00 None $ 0 Type Partial cancellation for early termination of guarantee Amount $ (1,800,000,000) (5,000,000,000) 3 TOTAL Description 0 6 12/28/2012 7 2/4/2013 Trust preferred securities received from the FDIC Exchange Trust preferred securities for subordinated note Trust Preferred Securities $ 800,000,000.00 Subordinated Note $ 894,000,000.00 8 2/8/2013 Disposition Total Proceeds $ 3,207,197,045 1/ In consideration for the guarantee, Treasury received $4.03 billion of preferred stock, which pays 8% interest. 2/ Treasury made three separate investments in Citigroup Inc. ("Citigroup") under CPP, TIP, and AGP for a total of $49 billion. On 6/9/2009, Treasury entered into an agreement with Citigroup to exchange all of Treasury’s investments. On 7/30/2009, Treasury exchanged all of its Fixed Rate Cumulative Perpetual Preferred Stock Series G (AGP Shares), received as premium with the AGP agreement, “dollar for dollar” for Trust Preferred Securities. 3/ On 12/23/2009, Treasury entered into a Termination Agreement with the other parties to the Master Agreement which served to terminate Treasury’s guarantee and obligations under the Master Agreement. In connection with the early termination of the guarantee, Treasury agreed to cancel $1.8 billion of the AGP Trust Preferred Securities, and the Federal Deposit Insurance Corporation (FDIC) and Treasury agreed that, subject to the conditions set out in the Termination Agreement, the FDIC may transfer $800 million of Trust Preferred Securities to Treasury at the close of Citigroup’s participation in the FDIC’s Temporary Liquidity Guarantee Program. 4/ On 9/29/2010, Treasury entered into an agreement with Citigroup Inc. to exchange $2,234,000,000 in aggregate liquidation preference of its trust preferred securities for $2,246,000,000 in aggregate liquidation preference of trust preferred securities with certain modified terms. At the time of exchange, Citigroup Inc. paid the outstanding accrued and unpaid dividends. 5/ On 9/30/2010, Treasury entered into underwritten offering of the trust preferred securities, the gross proceeds of which do not include accumulated and unpaid distributions from the date of the exchange through the closing date. 6/ 12/28/2012, as contemplated by the Termination Agreement and the Letter Agreement dated 12/23/2009, between Treasury and the Federal Deposit Insurance Corporation (FDIC), Treasury received from the FDIC, Citigroup Inc. trust preferred securities in aggregate liquidation preference equal to $800 million and approximately $183 million in dividend and interest payments from those securities. 7/ On 2/4/2013, Treasury exchanged $800 million in Citigroup Capital XXXIII Trust Preferred Securities (TruPs) for $894 million in Citigroup subordinated notes pursuant to an agreement between Citigroup and Treasury executed on 2/4/2013. Accrued interest on the TruPs was received at the time of the exchange. 8/ On 2/8/2013, Treasury completed the sale of its Citigroup subordinated notes for $894 million plus accrued interest, pursuant to an underwriting agreement executed on 2/8/2012. 62 AMERICAN INTERNATIONAL GROUP, INC. (AIG) INVESTMENT PROGRAM (formerly referred to as Systemically Significant Failing Institutions Program) Seller Name of Institution Note Date 1 11/25/2008 AIG 2, 3 4/17/2009 AIG Purchase Details Exchange/Transfer Details State Transaction Type New York NY Purchase Preferred Stock w/ Warrants (Series D) $ 40,000,000,000 Par New York NY Purchase Preferred Stock w/ Warrants (Series F) $ 29,835,000,000 Par City Pricing Mechanism Investment Amount Investment Description 2 Date Transaction Type 4/17/2009 Exchange Pricing Mechanism Amount Investment Description Preferred Stock w/ Warrants (Series E) 1 $ 40,000,000,000 Par See table below for exchange/transfer details in connection with the recapitalization conducted on 1/14/2011. Final Disposition TOTAL $ 69,835,000,000 Date Investment Transaction Type 3/1/2013 Warrants (Series D) Repurchase $ 25,150,923.10 3/1/2013 Warrants (Series F) Repurchase $ 5,767.50 Total Warrant Proceeds $ Proceeds 25,156,690.60 1/ On 4/17/2009, Treasury exchanged its Series D Fixed Rate Cumulative Preferred Shares for Series E Fixed Rate Non-Cumulative Preferred Shares with no change to Treasury's initial investment amount. In addition, in order for AIG to fully redeem the Series E Preferred Shares, it had an additional obligation to Treasury of $1,604,576,000 to reflect the cumulative unpaid dividends for the Series D Preferred Shares due to Treasury through and including the exchange date. 2/ The investment amount reflected Treasury's commitment to invest up to $30 billion less a reduction of $165 million representing retention payments AIG Financial Products made to its employees in March 2009. 3/ This transaction does not include AIG's commitment fee of an additional $165 million paid from its operating income over the life of the facility. A $55 million payment was received by Treasury on 12/17/2010. The remaining $110 million payment was received by Treasury on 05/27/2011. AIG POST-RECAPITALIZATION Treasury Holdings Post-Recapitalization Recapitalization Note Date Investment Description Transaction Type Pricing Mechanism Exchange Par Investment Description Preferred Stock (Series G) AIA Preferred Units 4 1/14/2011 Preferred Stock (Series F) Exchange Final Disposition Date Amount / Shares $ $ 2,000,000,000 16,916,603,568 7 N/A ALICO Junior Preferred Interests Exchange $ 3,375,328,432 167,623,733 7 1/14/2011 Preferred Stock (Series E) Exchange 924,546,133 N/A 6 1/14/2011 Common Stock (non-TARP) Transfer Common Stock 562,868,096 Proceeds Pricing Mechanism 5/27/2011 Cancellation $ 2/14/2011 Payment $ 185,726,192 - N/A 3/8/2011 Payment $ 5,511,067,614 Par Payment $ 55,833,333 Par 8/17/2011 Payment $ 97,008,351 Par 8/18/2011 Payment $ 2,153,520,000 Par 9/2/2011 Payment $ 55,885,302 Par 11/1/2011 Payment $ 971,506,765 Par 3/8/2012 Payment $ 5,576,121,382 Par 3/15/2012 Payment $ 1,521,632,096 Par 3/22/2012 Payment $ 1,493,250,339 Par 2/14/2011 Payment $ 2,009,932,072 Par 3/8/2011 Payment $ 1,383,888,037 Par 3/15/2012 Payment $ 44,941,843 Par 5/24/2011 Partial Disposition $ 5,800,000,000 N/A Partial Disposition $ 6,000,000,008 N/A 5/6/2012 Partial Disposition $ 4,999,999,993 N/A 5/7/2012 Partial Disposition $ 749,999,972 N/A 8/3/2012 Partial Disposition $ 4,999,999,993 N/A 8/6/2012 Partial Disposition $ 750,000,002 N/A 9/10/2012 Partial Disposition $ 17,999,999,973 Remaining Recap Investment Amount, Shares, or Equity % $ 0 10 $ 0 8 $ 0 8 Par 3/15/2011 3/8/2012 5 Transaction Type 8 N/A 9/11/2012 Partial Disposition $ 2,699,999,965 N/A 12/14/2012 Final Disposition $ 7,610,497,570 N/A 1,455,037,962 9 77% 1,248,141,410 11 70% 1,084,206,984 12 63% 1,059,616,821 12 61% 895,682,395 13 55% 871,092,231 13 53% 317,246,078 14 22% 234,169,156 14 16% 234,169,156 15 0% Footnotes appear on following page. 63 4/ On 1/14/2011, (A) Treasury exchanged $27,835,000,000 of Treasury's investment in AIG's Fixed Rate Non-Cumulative Perpetual Preferred Stock (Series F) which is equal to the amount funded (including amounts drawn at closing) under the Series F equity capital facility, for (i) the transferred SPV preferred interests and (ii) 167,623,733 shares of AIG Common Stock, and (B) Treasury exchanged $2,000,000,000 of undrawn Series F for 20,000 shares of preferred stock under the new Series G Cumulative Mandatory Convertible Preferred Stock equity capital facility under which AIG has the right to draw up to $2,000,000,000. 5/ On 1/14/2011, Treasury exchanged an amount equivalent to the $40 billion initial investment plus capitalized interest from the April 2009 exchange (see note 1 above) of Fixed Rate Non-Cumulative Perpetual Preferred Stock (Series E) for 924,546,133 shares of AIG Common Stock. 6/ On 1/14/2011, Treasury received 562,868,096 shares of AIG Common Stock from the AIG Credit Facility Trust, which trust was established in connection with the credit facility between AIG and the Federal Reserve Bank of New York. This credit facility was repaid and terminated pursuant to this recapitalization transaction. The trust had received 562,868,096 shares of AIG common stock in exchange for AIG's Series C Perpetual, Convertible Participating Preferred Stock, which was previously held by the trust for the benefit of the U.S. Treasury. 7/ The amount of Treasury's AIA Preferred Units and ALICO Junior Preferred Interests holdings do not reflect preferred returns on the securities that accrue quarterly. 8/ Proceeds include amounts applied to pay (i) accrued preferred returns and (ii) redeem the outstanding liquidation amount. 9/ On 5/27/2011, Treasury completed the sale of 200,000,000 shares of common stock at $29.00 per share for total proceeds of $5,800,000,000, pursuant to an underwriting agreement executed on 05/24/2011. 10/ On 5/27/2011, pursuant to the terms of the agreements governing the Preferred Stock (Series G), the available amount of the Preferred Stock (Series G) was reduced to $0 as a result of AIG’s primary offering of its common stock and the Preferred Stock (Series G) was cancelled. 11/ On 3/13/2012, Treasury completed the sale of 206,896,552 shares of common stock at $29.00 per share for total proceeds of $6,000,000,008, pursuant to an underwriting agreement executed on 3/8/2012. 12/ On 5/10/2012, Treasury completed the sale of 188,524,589 shares of common stock at $30.50 per share for total proceeds of $5,749,999,965, pursuant to an underwriting agreement executed on 5/6/2012. 13/ On 8/8/2012, Treasury completed the sale of 188,524,590 shares of common stock at $30.50 per share for total proceeds of $5,749,999,995, pursuant to an underwriting agreement executed on 8/3/2012. 14/ On 9/14/2012, Treasury completed the sale of 636,923,075 shares of common stock at $32.50 per share for total proceeds of $20,699,999,938, pursuant to an underwriting agreement executed on 9/10/2012. 15/ On 12/14/2012, Treasury completed the sale of 234,169,156 shares of common stock at $32.50 per share for total proceeds of $7,610,497,570, pursuant to an underwriting agreement executed on 12/10/2012. 64 CREDIT MARKET PROGRAMS TERM ASSET-BACKED SECURITIES LOAN FACILITY Seller Footnote 1 Date 3/3/2009 Name of Institution TALF LLC City Wilmington State DE Transaction Type Purchase Investment Description Debt Obligation w/ Additional Note Investment Amount $ 20,000,000,000 Pricing Mechanism Adjusted Investment Date Amount 2 7/19/2010 $ 4,300,000,000 6/28/2012 3 1/15/2013 4 $ 1,400,000,000 $ 100,000,000 N/A Final Investment Amount $ Total Investment Amount $ 100,000,000 100,000,000 Date Repayment 5 Description Amount 2/6/2013 Principal Repayment $ 100,000,000 2/6/2013 3/6/2013 4/4/2013 5/6/2013 6/6/2013 7/5/2013 8/6/2013 9/6/2013 10/4/2013 11/6/2013 12/5/2013 1/7/2014 2/6/2014 3/6/2014 4/4/2014 5/6/2014 6/5/2014 7/7/2014 8/6/2014 Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds Contingent Interest Proceeds $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 212,829,610 97,594,053 6,069,968 4,419,259 96,496,772 11,799,670 66,072,965 74,797,684 1,114,074 933,181 1,102,424 1,026,569 1,107,574 1,225,983 11,597,602 1,055,556 1,343,150 27,005,139 14,059,971 9/5/2014 Contingent Interest Proceeds $ 262,036 $ 731,913,241 Total Repayment Amount 5 1/ The loan was funded through TALF LLC, a special purpose vehicle created by The Federal Reserve Bank of New York ("FRBNY"). The amount of $20,000,000,000 represents the maximum loan amount. The loan will be incrementally funded. 2/ On 7/19/2010, Treasury, the FRBNY and TALF LLC entered into an amendment of the credit agreement previously entered into on 3/3/2009, which amendment reduced Treasury's maximum loan amount to $4,300,000,000. 3/ On 6/28/2012, Treasury, the FRBNY and TALF LLC entered into an amendment of the credit agreement previously amended 7/19/2010, which reduced Treasury's maximum loan amount to $1,400,000,000. 4/ On 1/15/2013, Treasury, the FRBNY and TALF LLC entered into an amendment that stated that, due to the fact that the accumulated fees collected through TALF exceed the total principal amount of TALF loans outstanding, Treasury’s commitment of TARP funds to provide credit protection is no longer necessary. 5/ Repayment amounts do not include accrued interest proceeds received on 2/6/2013, which are reflected on the Dividends & Interest Report. 65 CREDIT MARKET PROGRAMS SBA 7a SECURITIES PURCHASE PROGRAM Purchase Details 1 Date 3/19/2010 3/19/2010 3/19/2010 4/8/2010 4/8/2010 5/11/2010 5/11/2010 5/11/2010 5/25/2010 5/25/2010 6/17/2010 6/17/2010 7/14/2010 7/14/2010 7/14/2010 7/29/2010 7/29/2010 8/17/2010 8/17/2010 8/17/2010 8/31/2010 8/31/2010 8/31/2010 9/14/2010 9/14/2010 9/14/2010 9/14/2010 9/28/2010 9/28/2010 9/28/2010 9/28/2010 Investment Description Floating Rate SBA 7a security due 2025 Floating Rate SBA 7a security due 2022 Floating Rate SBA 7a security due 2022 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2016 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2035 Floating Rate SBA 7a security due 2033 Floating Rate SBA 7a security due 2029 Floating Rate SBA 7a security due 2033 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2025 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2017 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2019 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2024 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2020 Floating Rate SBA 7a security due 2021 Floating Rate SBA 7a security due 2029 Floating Rate SBA 7a security due 2026 Floating Rate SBA 7a security due 2035 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2034 Floating Rate SBA 7a security due 2035 Total Purchase Face Amount Settlement Details Purchase Face 3 Amount $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 4,070,000 7,617,617 8,030,000 23,500,000 8,900,014 10,751,382 12,898,996 8,744,333 8,417,817 17,119,972 34,441,059 28,209,085 6,004,156 6,860,835 13,183,361 2,598,386 9,719,455 8,279,048 5,000,000 10,000,000 9,272,482 10,350,000 6,900,000 8,902,230 8,050,000 5,750,000 5,741,753 3,450,000 11,482,421 13,402,491 14,950,000 $ 332,596,893 Pricing Mechanism TBA or PMF3 Investment Amount Settlement Date 107.75 109 108.875 110.502 107.5 106.806 109.42 110.798 110.125 109.553 110.785 112.028 106.625 108.505 111.86 108.4375 106.75 110.198 110.088 110.821 110.515 112.476 105.875 111.584 110.759 106.5 110.5 110.875 113.838 113.9 114.006 - 3/24/2010 3/24/2010 3/24/2010 5/28/2010 4/30/2010 6/30/2010 6/30/2010 6/30/2010 7/30/2010 7/30/2010 8/30/2010 8/30/2010 9/30/2010 9/30/2010 9/30/2010 9/30/2010 10/29/2010 9/30/2010 10/29/2010 10/29/2010 9/29/2010 10/29/2010 11/30/2010 10/29/2010 11/30/2010 11/30/2010 11/30/2010 11/30/2010 12/30/2010 11/30/2010 12/30/2010 TOTAL INVESTMENT AMOUNT 2, 3 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ Senior Security Proceeds 4 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 2,184 4,130 4,348 12,983 4,783 5,741 7,057 4,844 4,635 9,377 19,077 15,801 3,200 3,722 7,373 1,408 5,187 4,561 2,752 5,541 5,123 5,820 3,652 4,966 4,458 3,061 3,172 1,912 6,535 7,632 8,521 Total Senior Security Proceeds $ 183,555 $ 4,377,249 8,279,156 8,716,265 26,041,643 9,598,523 11,511,052 14,151,229 9,717,173 9,294,363 18,801,712 38,273,995 31,693,810 6,416,804 7,462,726 14,789,302 2,826,678 10,394,984 9,150,989 5,520,652 11,115,031 10,277,319 11,672,766 7,319,688 9,962,039 8,940,780 6,134,172 6,361,173 3,834,428 13,109,070 15,308,612 17,092,069 TBA or PMF3 - Final Disposition 368,145,452 Purchase Face Amount 3 6 Trade Date PMF 6/21/2011 10/19/2011 6/21/2011 6/7/2011 6/7/2011 6/7/2011 6/7/2011 6/7/2011 6/7/2011 9/20/2011 6/21/2011 9/20/2011 6/21/2011 10/19/2011 6/21/2011 1/24/2012 6/21/2011 9/20/2011 10/19/2011 10/19/2011 9/20/2011 10/19/2011 1/24/2012 1/24/2012 1/24/2012 1/24/2012 1/24/2012 10/19/2011 1/24/2012 10/19/2011 1/24/2012 - $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 4,070,000 7,617,617 8,030,000 23,500,000 8,900,014 10,751,382 12,898,996 8,744,333 8,417,817 17,119,972 34,441,059 28,209,085 6,004,156 6,860,835 13,183,361 2,598,386 9,719,455 8,279,048 5,000,000 10,000,000 9,272,482 10,350,000 6,900,000 8,902,230 8,050,000 5,750,000 5,741,753 3,450,000 11,482,421 13,402,491 14,950,000 Life-to-date Principal Received Current Face Amount 6, 8 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ Disposition Amount 5, 6 1, 8 3,151,186 5,891,602 5,964,013 22,350,367 6,542,218 9,819,270 12,570,392 8,483,188 8,171,159 15,030,712 32,656,125 25,930,433 5,656,049 6,520,875 12,704,841 1,903,407 9,531,446 6,425,217 4,580,543 9,030,539 8,403,846 10,099,555 6,236,800 7,503,681 7,053,867 5,473,724 4,307,881 3,367,168 10,592,775 12,963,737 14,562,161 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 902,633 1,685,710 2,022,652 1,149,633 2,357,796 932,112 328,604 261,145 246,658 2,089,260 1,784,934 2,278,652 348,107 339,960 478,520 694,979 188,009 1,853,831 419,457 969,461 868,636 250,445 663,200 1,398,549 996,133 276,276 1,433,872 82,832 889,646 438,754 387,839 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 3,457,746 6,462,972 6,555,383 25,039,989 7,045,774 10,550,917 13,886,504 9,482,247 8,985,818 16,658,561 36,072,056 29,142,474 6,051,772 7,105,304 14,182,379 2,052,702 10,223,264 7,078,089 5,029,356 9,994,806 9,230,008 11,314,651 6,556,341 8,269,277 7,703,610 5,764,858 4,693,918 3,698,411 11,818,944 14,433,039 16,383,544 Disposition Proceeds $ 334,924,711 TOTAL PROGRAM PROCEEDS TO DATE7 $ 376,748,302 1/ The amortizing principal and interest payments are reported on the monthly Dividends and Interest Report available at www.FinancialStability.gov. 2/ Investment Amount is stated after applying the appropriate month's factor and includes accrued interest paid at settlement, if applicable. 3/ If a purchase is listed as TBA, or To-Be-Announced, the underlying loans in the SBA Pool have yet to come to market, and the TBA pricing mechanism, purchase face amount, investment amount and senior security proceeds will be adjusted within the variance permitted under the program terms. If a purchase is listed as PMF, or Prior-Month-Factor, the trade was made prior to the applicable month's factor being published and the SBA 7a security and senior security are priced according to the prior-month's factor. The PMF investment amount and senior security proceeds will be adjusted after publication of the applicable month's factor (on or about the 11th business day of each month). 4/ In order to satisfy the requirements under Section 113 of the Emergency Economic Stabilization Act of 2008, Treasury will acquire a senior indebtedness instrument (a Senior Security) from the seller of each respective SBA 7a Security. Each Senior Security will (i) have an aggregate principal amount equal to the product of (A) 0.05% and (B) the Investment Amount (excluding accrued interest) paid by Treasury for the respective SBA 7a Security, and (ii) at the option of the respective seller, may be redeemed at par value immediately upon issuance, or remain outstanding with the terms and conditions as set forth in the Master Purchase Agreement. 5/ Disposition Amount is stated after applying the appropriate month's factor and includes accrued interest received at settlement, if applicable. If the disposition is listed as PMF, the disposition amount will be adjusted after publication of the applicable month's factor. 6/ If a disposition is listed as PMF, or Prior-Month-Factor, the trade was made prior to the applicable month's factor being published and the SBA 7a security is priced according to the prior-month's factor. The PMF disposition amount will be adjusted after publication of the applicable month's factor (on or about the 11th business day of each month). 7/ Total Program Proceeds To Date includes life-to-date disposition proceeds, life-to-date principal received, life-to-date interest received, and senior security proceeds (excluding accruals). 8/ The sum of Current Face Amount and Life-to-date Principal Received will equal Purchase Face Amount for CUSIPs that were originally purchased as TBAs only after the applicable month's factor has been published and trailing principal & interest payments have been received. 66 CREDIT MARKET PROGRAMS LEGACY SECURITIES PUBLIC-PRIVATE INVESTMENT PROGRAM (S-PPIP) Final Investment Preliminary Adjusted Seller Footnote Date 1 9/30/2009 2 1 9/30/2009 9/30/2009 Name of Institution UST/TCW Senior Mortgage Securities Fund, L.P. UST/TCW Senior Mortgage Securities Fund, L.P. Invesco Legacy Securities Master Fund, L.P. Commitment City Wilmington Wilmington Wilmington Transaction Type State DE DE DE Purchase Purchase Purchase Commitment Amount Investment Description Membership Interest Debt Obligation w/ Contingent Proceeds Membership Interest $ $ $ 1,111,111,111 2,222,222,222 1,111,111,111 Pricing Mechanism Date Par 1/4/2010 Par Par 1/4/2010 3 Amount 4 $ 4 $ 3/22/2010 6 $ 156,250,000 200,000,000 1,244,437,500 Final Commitment Amount Date 1/4/2010 1/4/2010 7/16/2010 7 Amount Amount 4 $ 4 $ $ 156,250,000 200,000,000 856,000,000 9 Amount $ $ $ 156,250,000 200,000,000 580,960,000 Capital Repayment Details Repayment Date 1/15/2010 9/30/2009 Invesco Legacy Securities Master Fund, L.P. Wilmington DE Purchase Debt Obligation w/ Contingent Proceeds $ 2,222,222,222 Par 3/22/2010 6 $ 2,488,875,000 9/26/2011 8 $ 1,161,920,000 $ 1,161,920,000 Repayment Amount $ 156,250,000 Amount $ 1/11/2010 $ 34,000,000 $ 1/12/2010 $ 166,000,000 $ Description 0 0 $ 578,515,653 Membership Interest 4/15/2010 $ 3,533,199 $ 574,982,454 Membership Interest 9/15/2010 $ 30,011,187 $ 544,971,267 Membership Interest 11/15/2010 $ 66,463,982 $ 478,507,285 Membership Interest 12/14/2010 $ 15,844,536 $ 462,662,749 Membership Interest 1/14/2011 $ 13,677,726 $ 448,985,023 Membership Interest 2/14/2011 $ 48,523,845 $ 400,461,178 Membership Interest 3/14/2011 $ 68,765,544 $ 331,695,634 Membership Interest 4/14/2011 $ 77,704,254 $ 253,991,380 Membership Interest 5/20/2011 $ 28,883,733 $ 225,107,647 Membership Interest 6/14/2011 $ 9,129,709 $ 215,977,938 Membership Interest 7/15/2011 $ 31,061,747 $ 184,916,192 Membership Interest 8/12/2011 $ 10,381,214 $ 174,534,977 Membership Interest 10/17/2011 $ 6,230,731 $ 168,304,246 Membership Interest 12/14/2011 $ 1,183,959 $ 167,120,288 Membership Interest 1/17/2012 $ 1,096,185 $ 166,024,103 Membership Interest 2/14/2012 $ 1,601,688 $ 164,422,415 Membership Interest 3/14/2012 $ 3,035,546 $ 161,386,870 Membership Interest 2/18/2010 $ 4/15/2010 9/15/2010 $ 4,888,718 $ $ 7,066,434 $ $ 60,022,674 $ 11/15/2010 $ 132,928,628 $ 12/14/2010 $ 31,689,230 $ 1/14/2010 $ 27,355,590 $ 2/14/2011 $ 92,300,138 $ 3/14/2011 $ 128,027,536 $ 4/14/2011 $ 155,409,286 $ 5/20/2011 $ 75,085,485 $ 6/14/2011 $ 18,259,513 $ 7/15/2011 $ 62,979,809 $ 8/12/2011 $ 20,762,532 $ 10/17/2011 $ 37,384,574 $ Proceeds 5 Distribution 2/24/2010 Final Distribution 1/29/2010 Distribution 2/24/2010 Final Distribution 3/29/2012 Distribution 8/9/2012 Distribution 9/28/2012 Final Distribution 6/4/2013 Adjusted Distribution 7/8/2013 Distribution 5 $ 20,091,872 $ 48,922 0 5 Contingent Proceeds 2,444,347 161,386,870 Description 1/29/2010 Debt Obligation w/ Contingent 166,000,000 Proceeds $ $ Distribution or Disposition Date Membership Interest 2/18/2010 3/29/2012 2 Investment After Capital Repayment Membership Interest $ 502,302 $ 1,223 $ 56,390,209 $ 1,056,751 $ 18,772 $ 69,399 $ 64,444 5 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 10 5 5 10 5 5, 13 5, 14 Debt Obligation w/ Contingent 1,157,031,282 Proceeds Debt Obligation w/ Contingent 1,149,964,848 Proceeds Debt Obligation w/ Contingent 1,089,942,174 Proceeds Debt Obligation w/ Contingent 957,013,546 Proceeds Debt Obligation w/ Contingent 925,324,316 Proceeds Debt Obligation w/ Contingent 897,968,726 Proceeds Debt Obligation w/ Contingent 805,668,588 Proceeds Debt Obligation w/ Contingent 677,641,052 Proceeds Debt Obligation w/ Contingent 522,231,766 Proceeds Debt Obligation w/ Contingent 447,146,281 Proceeds Debt Obligation w/ Contingent 428,886,768 Proceeds Debt Obligation w/ Contingent 365,906,960 Proceeds Debt Obligation w/ Contingent 345,144,428 Proceeds Debt Obligation w/ Contingent 307,759,854 Proceeds 67 Preliminary Adjusted Seller Footnote Date Name of Institution Commitment City Transaction Type State Commitment Amount Investment Description Pricing Mechanism Date 3 Amount Final Investment Final Commitment Amount Date 7 Amount Amount 9 Amount Capital Repayment Details Repayment Date 10/1/2009 Wellington Management Legacy Securities PPIF Master Fund, LP Wilmington DE Purchase Membership Interest $ 1,111,111,111 Par 3/22/2010 6 $ 1,262,037,500 7/16/2010 $ 1,149,487,000 $ 1,149,487,000 Repayment Amount Amount 12/14/2011 $ 7,103,787 $ 1/17/2012 $ 6,577,144 $ 2/14/2012 $ 9,610,173 $ 3/14/2012 1 Investment After Capital Repayment $ 284,468,750 $ Description Distribution or Disposition Date 1 10/1/2009 10/2/2009 Wellington Management Legacy Securities PPIF Master Fund, LP AllianceBernstein Legacy Securities Master Fund, L.P. Wilmington Wilmington DE DE Purchase Purchase Debt Obligation w/ Contingent Proceeds Membership Interest $ $ 2,222,222,222 1,111,111,111 Par Par 3/22/2010 6 $ 3/22/2010 6 $ 2,524,075,000 1,244,437,500 7/16/2010 7/16/2010 $ $ 2,298,974,000 1,150,423,500 $ $ 2,298,974,000 0 Contingent Proceeds 7/16/2012 $ 62,499,688 $ 1,086,987,313 Membership Interest 9/17/2012 $ 152,499,238 $ 934,488,075 Membership Interest 1/15/2013 $ 254,581,112 $ 679,906,963 Membership Interest 2/13/2013 $ 436,447,818 $ 243,459,145 Membership Interest 3/13/2013 $ 243,459,145 $ 1,064,141,738 6/26/2012 $ 125,000,000 $ 9/17/2012 $ 305,000,000 $ 12/6/2012 $ 800,000,000 $ 12/21/2012 $ 630,000,000 $ 1/15/2013 $ 97,494,310 $ 1/24/2013 $ 341,479,690 $ 0 Membership Interest Distribution 9/28/2012 Final Distribution 6/4/2013 Adjusted Distribution 7/8/2013 Distribution 3/13/2013 Distribution 10 2 10/2/2009 AllianceBernstein Legacy Securities Master Fund, L.P. Wilmington DE Purchase Debt Obligation w/ Contingent Proceeds $ 2,222,222,222 Par 3/22/2010 6 $ 2,488,875,000 7/16/2010 $ 2,300,847,000 12 $ 2,128,000,000 - Contingent Proceeds 712,284 $ 1,063,385,410 Membership Interest 10 6,716,327 $ 1,056,669,083 Membership Interest 10 4/14/2011 $ 7,118,388 $ 1,049,550,694 Membership Interest 10 5/14/2012 $ 39,999,800 $ 1,009,550,894 Membership Interest 10 6/14/2012 $ 287,098,565 $ 722,452,330 Membership Interest 10 7/16/2012 $ 68,749,656 $ 653,702,674 Membership Interest 10 8/14/2012 $ 361,248,194 $ 292,454,480 Membership Interest 10 $ 5/16/2011 $ 6/14/2011 5/3/2012 292,454,480 $ 30,244,575 $ $ 88,087 $ $ 80,000,000 $ 5/14/2012 $ 30,000,000 $ 5/23/2012 $ 500,000,000 $ 6/14/2012 $ 44,200,000 $ 6/25/2012 $ 120,000,000 $ 7/16/2012 $ 17,500,000 $ 7/27/2012 $ 450,000,000 $ 40,556 5, 13 5, 14 $ 469 $ 1,735 $ 1,611 Distribution $ 479,509,240 $ 2,802,754 5 5, 11 Debt Obligation w/ Contingent 2,173,974,000 Proceeds Debt Obligation w/ Contingent 1,868,974,000 Proceeds Debt Obligation w/ Contingent 1,068,974,000 Proceeds Debt Obligation w/ Contingent 438,974,000 Proceeds Debt Obligation w/ Contingent 341,479,690 Proceeds $ 8/30/2012 5 10 $ 3/14/2011 3,434,460 10 10 2/14/2011 $ $ 5 10 1,064,097,694 Membership Interest $ 5 Distribution 8/9/2012 10 44,043 $ 1/15/2010 Proceeds 3/29/2012 7/11/2013 2 Description Debt Obligation w/ Contingent 300,656,067 Proceeds Debt Obligation w/ Contingent 294,078,924 Proceeds Debt Obligation w/ Contingent 284,468,750 Proceeds - Membership Interest 10 4/17/2013 Distribution 7/11/2013 Distribution 8/30/2012 Distribution 9/12/2012 Distribution 9/19/2012 Distribution 5, 11 5, 11 5, 11 5, 11 5, 11 5, 11 10/1/2012 Distribution 12/21/2012 Distribution 8/13/2013 Distribution Refund 5, 11 $ 16,195,771 $ 69,932 $ 75,278,664 $ 79,071,633 $ 106,300,357 $ 25,909,972 $ 678,683 $ (18,405) Debt Obligation w/ Contingent 2,097,755,425 Proceeds Debt Obligation w/ Contingent 2,097,667,339 Proceeds Debt Obligation w/ Contingent 2,017,667,339 Proceeds Debt Obligation w/ Contingent 1,987,667,339 Proceeds Debt Obligation w/ Contingent 1,487,667,339 Proceeds Debt Obligation w/ Contingent 1,443,467,339 Proceeds Debt Obligation w/ Contingent 1,323,467,339 Proceeds Debt Obligation w/ Contingent 1,305,967,339 Proceeds Debt Obligation w/ Contingent 855,967,339 Proceeds 68 Preliminary Adjusted Seller Footnote 1 2 1 Date 10/2/2009 10/2/2009 Name of Institution Blackrock PPIF, L.P. Blackrock PPIF, L.P. 10/30/2009 AG GECC PPIF Master Fund, L.P. Commitment City Wilmington Wilmington Wilmington Transaction Type State DE DE DE Purchase Purchase Purchase Commitment Amount Investment Description Membership Interest Debt Obligation w/ Contingent Proceeds Membership Interest $ $ $ 1,111,111,111 2,222,222,222 1,111,111,111 Pricing Mechanism Par Par Par Date 3/22/2010 6 $ 3/22/2010 6 $ 3/22/2010 6 $ 3 Amount 1,244,437,500 2,488,875,000 1,271,337,500 Final Investment Final Commitment Amount Date 7/16/2010 7/16/2010 7/16/2010 7 Amount Amount $ $ $ 694,980,000 1,389,960,000 1,243,275,000 9 Amount $ $ $ 528,184,800 1,053,000,000 1,117,399,170 Capital Repayment Details Repayment Date 10/30/2009 AG GECC PPIF Master Fund, L.P. Wilmington DE Purchase Debt Obligation w/ Contingent Proceeds $ 2,222,222,222 Par 3/22/2010 6 $ 2,542,675,000 7/16/2010 $ 2,486,550,000 $ 2,234,798,340 Repayment Amount Amount 8/14/2012 $ 272,500,000 $ 8/22/2012 $ 583,467,339 $ 8/14/2012 $ 90,269,076 Description $ 437,915,724 Membership Interest $ 8,833,632 $ 429,082,092 Membership Interest $ 10,055,653 $ 419,026,439 Membership Interest 11/5/2012 $ 419,026,439 $ $ 175,000,000 $ 8/14/2012 8/31/2012 $ 5,539,055 $ $ 16,000,000 $ 9/17/2012 $ 1,667,352 $ 9/28/2012 $ 35,000,000 $ 10/15/2012 $ 25,334,218 $ 10/18/2012 $ 794,459,374 $ $ 1,030,299,606 Membership Interest 3/14/2012 $ 99,462,003 $ 930,837,603 Membership Interest 5/14/2012 $ 74,999,625 $ 855,837,978 Membership Interest 7/16/2012 $ 18,749,906 $ 837,088,072 Membership Interest 8/14/2012 $ 68,399,658 $ 768,688,414 Membership Interest 9/17/2012 $ 124,999,375 $ 643,689,039 Membership Interest 10/15/2012 $ 240,673,797 $ 403,015,242 Membership Interest 11/15/2012 $ 45,764,825 $ 357,250,417 Membership Interest 12/14/2012 $ 24,588,926 $ 332,661,491 Membership Interest 1/15/2013 $ 30,470,429 $ 302,191,061 Membership Interest 2/14/2013 $ 295,328,636 $ 6,862,425 Membership Interest 2/14/2012 $ 174,200,000 $ 3/14/2012 $ 198,925,000 $ 5/14/2012 $ 150,000,000 $ 7/16/2012 $ 37,500,000 $ 8/14/2012 $ 136,800,000 $ 9/17/2012 $ 250,000,000 $ 10/15/2012 $ 481,350,000 $ 5, 11 10/3/2012 Distribution 12/21/2012 Distribution 8/13/2013 Distribution Refund 5, 11 $ 12,012,957 $ 16,967 $ (460) 10 10 - Contingent Proceeds 87,099,565 $ Proceeds 5, 11 11/5/2012 Distribution 12/5/2012 Distribution 5, 11 12/6/2013 Distribution 11/5/2012 Distribution 12/5/2012 Distribution 5, 11 12/6/2013 Distribution 5, 11 $ 297,511,708 $ 57,378,964 $ 1,609,739 Debt Obligation w/ Contingent 878,000,000 Proceeds Debt Obligation w/ Contingent 872,460,945 Proceeds Debt Obligation w/ Contingent 856,460,945 Proceeds Debt Obligation w/ Contingent 854,793,592 Proceeds Debt Obligation w/ Contingent 819,793,592 Proceeds Debt Obligation w/ Contingent 794,459,374 Proceeds $ 6,862,425 Description 10 - Membership Interest 10 2/14/2012 $ Date - Contingent Proceeds 9/17/2012 7/31/2012 Distribution or Disposition Debt Obligation w/ Contingent 583,467,339 Proceeds 10/15/2012 2/21/2013 2 Investment After Capital Repayment 5, 11 5, 11 $ 8,289,431 $ 1,433,088 $ 141,894 $ 184,431,858 10 10 10 10 10 10 10 10 10 10 10 - Membership Interest 10 5, 11 2/21/2013 Distribution 2/27/2013 Distribution 3/14/2013 Distribution 4/19/2013 Distribution 4/25/2013 Distribution 5/29/2013 Distribution 5, 11 9/30/2014 Final Distribution 5, 11 5, 11 5, 11 5, 11 5, 11 $ 20,999,895 $ 156,174,219 $ 105,620,441 $ 42,099,442 $ 49,225,244 $ 1,748,833 Debt Obligation w/ Contingent 2,060,598,340 Proceeds Debt Obligation w/ Contingent 1,861,673,340 Proceeds Debt Obligation w/ Contingent 1,711,673,340 Proceeds Debt Obligation w/ Contingent 1,674,173,340 Proceeds Debt Obligation w/ Contingent 1,537,373,340 Proceeds Debt Obligation w/ Contingent 1,287,373,340 Proceeds Debt Obligation w/ Contingent 806,023,340 Proceeds 69 Preliminary Adjusted Seller Footnote Date Name of Institution Commitment City Transaction Type State Commitment Amount Investment Description Pricing Mechanism Date 3 Amount Final Investment Final Commitment Amount Date 7 Amount Amount 9 Amount Capital Repayment Details Repayment Date 11/4/2009 RLJ Western Asset Public/Private Master Fund, L.P. Wilmington DE Purchase Membership Interest $ 1,111,111,111 Par 3/22/2010 6 $ 1,244,437,500 7/16/2010 $ 620,578,258 $ 620,578,258 1 11/4/2009 RLJ Western Asset Public/Private Master Fund, L.P. 11/25/2009 Marathon Legacy Securities Public-Private Investment Partnership, L.P. Wilmington Wilmington DE DE Purchase Purchase Debt Obligation w/ Contingent Proceeds Membership Interest $ $ 2,222,222,222 1,111,111,111 Par Par 3/22/2010 6 $ 3/22/2010 6 $ 2,488,875,000 1,244,437,500 7/16/2010 7/16/2010 $ $ 1,241,156,516 474,550,000 $ $ 1,241,000,000 474,550,000 274,590,324 $ 12/14/2012 $ 147,534,295 $ 1/15/2013 $ 182,823,491 $ 11/25/2009 Marathon Legacy Securities Public-Private Investment Partnership, L.P. Wilmington DE Purchase Debt Obligation w/ Contingent Proceeds $ 2,222,222,222 Par 3/22/2010 6 $ 2,488,875,000 7/16/2010 $ 949,100,000 $ 949,000,000 $ 201,075,230 $ Description Date - Contingent Proceeds 1,202,957 $ 619,375,301 Membership Interest $ 3,521,835 $ 615,853,465 Membership Interest 10 $ 104,959,251 $ 510,894,215 Membership Interest 10 $ 72,640,245 $ 438,253,970 Membership Interest 10 $ 180,999,095 $ 257,254,875 Membership Interest 10 $ 134,999,325 $ 122,255,550 Membership Interest 10 $ 4/14/2011 8/14/2012 9/17/2012 9/28/2012 10/15/2012 $ 122,255,550 $ 5/13/2011 $ 13,531,530 $ 7/31/2012 $ 618,750,000 $ 8/9/2012 $ 151,006,173 $ 8/14/2012 $ 11,008,652 $ 8/23/2012 $ 160,493,230 $ 8/29/2012 $ 103,706,836 $ 9/17/2012 $ 20,637,410 $ 9/21/2012 $ 161,866,170 $ - Membership Interest 10 - Contingent Proceeds $ 74,499,628 $ 400,050,373 Membership Interest 11/15/2012 $ 59,787,459 $ 340,262,914 Membership Interest 12/14/2012 $ 40,459,092 $ 299,803,821 Membership Interest 1/15/2013 $ 10,409,317 $ 289,394,504 Membership Interest 1/30/2013 $ 219,998,900 $ 69,395,604 Membership Interest 2/25/2013 $ 39,026,406 $ 30,369,198 Membership Interest 30,369,198 $ 9/17/2012 $ 149,000,000 $ 11/15/2012 $ 119,575,516 $ 11/20/2012 $ 195,000,000 $ 12/14/2012 $ 47,755,767 $ Description Proceeds 5, 11 4/19/2013 Distribution 4/25/2013 Distribution 5/29/2013 Distribution 5, 11 9/30/2014 Final Distribution 10/19/2012 Distribution 11/2/2012 Distribution 12/21/2012 Distribution 5, 11 12/11/2013 Final Distribution 10/19/2012 Distribution 11/2/2012 Distribution 12/21/2012 Distribution 5, 11 12/11/2013 Final Distribution 3/25/2013 Distribution 4/16/2013 Distribution 5/16/2013 Distribution 7/11/2013 Distribution 9/5/2013 Distribution 12/27/2013 Distribution $ 5, 11 5, 11 5, 11 5, 11 5, 11 17,118,005 $ 1,052,497 $ 1,230,643 $ 41,556 $ 147,464,888 $ 148,749,256 $ 549,997 $ 75,372 $ 6,789,287 $ 3,718,769 $ 13,750 $ 1,884 $ 164,629,827 $ 71,462,104 $ 38,536,072 $ 29,999,850 $ 3,999,980 $ 5,707,723 Debt Obligation w/ Contingent 1,227,468,470 Proceeds Debt Obligation w/ Contingent 608,718,470 Proceeds Debt Obligation w/ Contingent 457,712,297 Proceeds Debt Obligation w/ Contingent 446,703,645 Proceeds Debt Obligation w/ Contingent 286,210,415 Proceeds Debt Obligation w/ Contingent 182,503,579 Proceeds Debt Obligation w/ Contingent 161,866,170 Proceeds 9/17/2012 $ Distribution or Disposition Debt Obligation w/ Contingent 531,433,016 Proceeds Debt Obligation w/ Contingent 383,898,721 Proceeds Debt Obligation w/ Contingent 201,075,230 Proceeds 10 3/14/2011 3/25/2013 2 Amount $ 10/19/2012 2 Repayment Amount 11/15/2012 2/14/2013 1 Investment After Capital Repayment 5, 11 5, 11 5, 11 10 10 10 10 10 10 - Membership Interest 10 5, 11 5, 11 5, 11 5, 11 5, 11 5, 11 Debt Obligation w/ Contingent 800,000,000 Proceeds Debt Obligation w/ Contingent 680,424,484 Proceeds Debt Obligation w/ Contingent 485,424,484 Proceeds Debt Obligation w/ Contingent 437,668,717 Proceeds 70 Preliminary Adjusted Seller Footnote Date Name of Institution Commitment City Transaction Type State Commitment Amount Investment Description Pricing Mechanism Date 3 Amount Final Investment Final Commitment Amount Date 7 Amount Amount 9 Amount Capital Repayment Details Repayment Date 1/15/2013 1/24/2013 1 12/18/2009 Oaktree PPIP Fund, L.P. Wilmington DE Purchase Membership Interest $ 1,111,111,111 Par 3/22/2010 6 $ 1,244,437,500 7/16/2010 $ 1,160,784,100 $ 555,904,633 Investment After Capital Repayment Repayment Amount $ $ 62,456,214 375,212,503 Amount $ $ Description Date - Contingent Proceeds $ 39,499,803 $ 516,404,830 Membership Interest 10 3/14/2012 $ 39,387,753 $ 477,017,077 Membership Interest 10 9/17/2012 $ 22,111,961 $ 454,905,116 Membership Interest 10 10/15/2012 $ 32,496,972 $ 422,408,144 Membership Interest 10 11/15/2012 $ 111,539,536 $ 310,868,608 Membership Interest 10 12/14/2012 $ 55,540,026 $ 255,328,581 Membership Interest 10 1/15/2013 $ 14,849,910 $ 240,478,671 Membership Interest 10 4/12/2013 $ 18,268,328 $ 222,210,343 Membership Interest 10 5/14/2013 $ 70,605,973 $ 151,604,370 Membership Interest 10 5/28/2013 $ 119,769,362 $ 31,835,008 Membership Interest 10 $ 31,835,008 $ Description Proceeds Debt Obligation w/ Contingent 375,212,503 Proceeds 7/15/2011 6/3/2013 Distribution or Disposition - Membership Interest 10 4/16/2013 Distribution 5/16/2013 Distribution 7/11/2013 Distribution 9/5/2013 Distribution 12/27/2013 Distribution 5, 11 5, 11 5, 11 5, 11 5, 11 5, 11 6/3/2013 Distribution 6/14/2013 Distribution 6/24/2013 Distribution 6/26/2013 Distribution 7/9/2013 Distribution 5, 11 12/12/2013 Final Distribution 5, 11 5, 11 5, 11 5, 11 $ 7,143,340 $ 963,411 $ 750,004 $ 100,001 $ 142,168 $ 46,575,750 $ 54,999,725 $ 27,999,860 $ 11,749,941 $ 40,974,795 $ 539,009 71 Preliminary Adjusted Seller Footnote 2 Date Name of Institution 12/18/2009 Oaktree PPIP Fund, L.P. Commitment City Wilmington Transaction Type State DE Purchase Commitment Amount Investment Description Debt Obligation w/ Contingent Proceeds $ 2,222,222,222 Pricing Mechanism Par Date 3 Amount 3/22/2010 6 $ 2,488,875,000 Final Investment Final Commitment Amount Date 7/16/2010 7 Amount Amount $ 9 Amount 2,321,568,200 $ 1,111,000,000 Capital Repayment Details Repayment Date $ 30,000,000,000 FINAL COMMITMENT AMOUNT $ Repayment Amount Amount Description 7/15/2011 $ 79,000,000 $ 3/14/2012 $ 78,775,901 $ Debt Obligation w/ Contingent 1,032,000,000 Proceeds Debt Obligation w/ Contingent 953,224,099 Proceeds 9/17/2012 $ 44,224,144 $ Debt Obligation w/ Contingent 908,999,956 Proceeds 10/15/2012 $ 64,994,269 $ Debt Obligation w/ Contingent 844,005,687 Proceeds 11/15/2012 $ 223,080,187 $ Debt Obligation w/ Contingent 620,925,500 Proceeds 12/14/2012 $ 111,080,608 $ Debt Obligation w/ Contingent 509,844,892 Proceeds 1/15/2013 $ 89,099,906 $ Debt Obligation w/ Contingent 420,744,985 Proceeds 4/12/2013 $ 109,610,516 $ Debt Obligation w/ Contingent 311,134,469 Proceeds 5/14/2013 INITIAL COMMITMENT AMOUNT Investment After Capital Repayment $ 311,134,469 - Contingent Proceeds Date Description 5, 11 5/28/2013 Distribution 6/3/2013 Distribution 6/14/2013 Distribution 6/24/2013 Distribution 6/26/2013 Distribution 7/9/2013 Distribution 5, 11 12/12/2013 Final Distribution 5, 11 5, 11 5, 11 5, 11 5, 11 TOTAL DISTRIBUTIONS 5 21,856,403,574 TOTAL CAPITAL REPAYMENT AMOUNT $ $ Distribution or Disposition Proceeds $ 444,393 $ 1,960,289 $ 1,375,007 $ 700,004 $ 293,751 $ 1,024,380 $ 13,475 $ 2,645,106,311 18,625,147,938 1/ The equity amount may be incrementally funded. Commitment amount represents Treasury's maximum obligation if the limited partners other than Treasury fund their maximum equity capital obligations. 2/ The loan may be incrementally funded. Commitment amount represents Treasury's maximum obligation if Treasury and the limited partners other than Treasury fund 100% of their maximum equity obligations. 3/ Adjusted to show Treasury's maximum obligations to a fund. 4/ On 1/4/2010, Treasury and the fund manager entered into a Winding-Up and Liquidation Agreement. 5/ Distributions after capital repayments will be considered profit and are paid pro rata (subject to prior distribution of Contingent Proceeds to Treasury) to the fund's partners, including Treasury, in proportion to their membership interests. These figures exclude pro-rata distributions to Treasury of gross investment proceeds (reported on the Dividends & Interest report), which may be made from time to time in accordance with the terms of the fund's Limited Partnership Agreement. 6/ Following termination of the TCW fund, the $3.33 billion of obligations have been reallocated to the remaining eight funds pursuant to consent letters from Treasury dated as of 3/22/2010. $133 million of maximum equity capital obligation and $267 million of maximum debt obligation were reallocated per fund, after adjustment for the $17.6 million and $26.9 million equity capital reallocations from private investors in the TCW fund to the Wellington fund and the AG GECC fund The $356 million of final investment in the TCW fund will remain a part of Treasury's total maximum S-PPIP investment amount. 7/ Amount adjusted to show Treasury's final capital commitment (membership interest) and the maximum amount of Treasury's debt obligation that may be drawn down in accordance with the Loan Agreement. 8/ On 09/26/2011, the General Partner notified Treasury that the Investment Period was terminated in accordance with the Limited Partnership Agreement. As a result, the Final Investment Amount, representing Treasury's debt obligation, has been reduced to the cumulative amount of debt funded. 9/ Cumulative capital drawn at end of the Investment Period. 10/ The Amount is adjusted to reflect pro-rata equity distributions that have been deemed to be capital repayments to Treasury. 11/ Distribution represents a gain on funded capital and is subject to revision pending any additional fundings of the outstanding commitment. 12/ On 08/23/2012, AllianceBernstein agreed to de-obligate its unused debt commitment. The Final Investment Amount represents the cumulative capital drawn as of the de-obligation. 13/ On, 6/5/2013, Invesco Mortgage Recovery Master Fund L.P. made a distribution to Treasury that is the result of adjustments made to positions previously held by the Invesco Legacy Securities Master Fund, L.P. “Partnership”, of which The U.S. Department of the Treasury is a Limited Partner. The adjusted distribution was made 18 months after the Final Distribution on 9/28/2012. 72 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Transactions Report - Housing Programs For Period Ending 9/29/2014 MAKING HOME AFFORDABLE PROGRAM Servicer Modifying Borrowers' Loans Name of Institution Date 03/14/2013 09/30/2010 09/11/2009 08/14/2014 09/30/2010 21st Mortgage Corporation AgFirst Farm Credit Bank City Knoxville Columbia Allstate Mortgage Loans & Investments, Ocala Inc. Ally Bank Amarillo National Bank Midvale Amarillo Adjustment Details State TN SC FL UT TX Transaction Type Purchase Purchase Purchase Purchase Purchase Investment Description Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Ameriana Bank New Castle IN Purchase Financial Instrument for Home Loan Modifications 12/09/2009 American Eagle Federal Credit Union East Hartford CT Purchase Financial Instrument for Home Loan Modifications 09/30/2010 05/21/2010 American Finance House LARIBA American Financial Resources Inc. Aurora Financial Group, Inc. Pasadena Parsippany Marlton CA NJ NJ Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Pricing Mechanism - N/A $ $ Financial Instrument for Home Loan Modifications 07/16/2014 09/24/2010 Cap of Incentive Payments on Behalf of Borrowers and to Servicers & Lenders/Investors (Cap) * 250,000 N/A $ $ $ 3 100,000 N/A - N/A $ 3 100,000 N/A - N/A $ Note 1,590,000 N/A 100,000 N/A 100,000 N/A 10,000 N/A 3 Adjustment Date CAP Adjustment Amount Adjusted CAP Reason for Adjustment 03/14/2013 $ 130,000 $ 130,000 Transfer of cap due to servicing transfer 03/25/2013 $ (1) $ 129,999 Updated due to quarterly assessment and reallocation 12/16/2013 $ 30,000 $ 159,999 Transfer of cap due to servicing transfer 12/23/2013 $ (96) $ 159,903 Updated due to quarterly assessment and reallocation 01/16/2014 $ 180,000 $ 03/26/2014 $ (20) $ 04/16/2014 $ 10,000,000 $ 10,339,883 Transfer of cap due to servicing transfer 06/16/2014 $ 190,000 $ 10,529,883 Transfer of cap due to servicing transfer 06/26/2014 $ (3,148) $ 10,526,735 Updated due to quarterly assessment and reallocation 07/29/2014 $ (6,175) $ 10,520,560 Updated due to quarterly assessment and reallocation 08/14/2014 $ 50,000 $ 10,570,560 Transfer of cap due to servicing transfer 09/16/2014 $ 130,000 $ 10,700,560 Transfer of cap due to servicing transfer 09/29/2014 $ (2,146) $ 10,698,414 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 03/23/2011 $ (145,056) 10/02/2009 $ 60,000 $ 310,000 12/30/2009 $ (80,000) $ 03/26/2010 $ 280,000 $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap Updated portfolio data from servicer/additional program 230,000 initial cap 510,000 Updated portfolio data from servicer 07/14/2010 $ (410,000) $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 08/14/2014 $ 7,600,000 $ 7,600,000 Transfer of cap due to servicing transfer 09/29/2014 $ (1,152) $ 7,598,848 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 144,461 Updated due to quarterly assessment and reallocation 07/16/2014 $ 60,000 $ 01/22/2010 $ 70,000 $ 1,660,000 03/26/2010 $ (290,000) $ 1,370,000 Updated portfolio data from servicer 07/14/2010 $ (570,000) $ 800,000 Updated portfolio data from servicer 09/30/2010 $ 70,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (13) $ 870,319 Updated due to quarterly assessment and reallocation 01/25/2012 $ (870,319) 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 02/02/2011 $ (145,056) 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 05/26/2010 $ 30,000 $ 09/30/2010 $ 250,111 $ 144,461 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 40,000 initial cap 290,111 Updated portfolio data from servicer 06/29/2011 $ 59,889 $ 350,000 Updated due to quarterly assessment and reallocation 339,903 Transfer of cap due to servicing transfer 339,883 Updated due to quarterly assessment and reallocation 144,461 Updated due to quarterly assessment and reallocation 60,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial cap - Termination of SPA - Termination of SPA 73 05/01/2009 Aurora Loan Services, LLC Littleton CO Purchase Financial Instrument for Home Loan Modifications $ 798,000,000 N/A 11 09/30/2010 09/15/2011 04/17/2009 04/17/2009 Banco Popular de Puerto Rico Bangor Savings Bank Bank of America, N.A. Bank of America, N.A. (BAC Home Loans Servicing, LP) San Juan Bangor Simi Valley Simi Valley PR Purchase Financial Instrument for Home Loan Modifications ME Purchase Financial Instrument for Home Loan Modifications CA Purchase Financial Instrument for Home Loan Modifications CA Purchase Financial Instrument for Home Loan Modifications $ 1,700,000 N/A - N/A $ $ 3 798,900,000 N/A 1,864,000,000 N/A 06/28/2012 $ (2) $ 349,998 Updated due to quarterly assessment and reallocation 09/27/2012 $ (5) $ 349,993 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 349,992 Updated due to quarterly assessment and reallocation 03/25/2013 $ (3) $ 349,989 Updated due to quarterly assessment and reallocation 06/27/2013 $ (1) $ 349,988 Updated due to quarterly assessment and reallocation 12/23/2013 $ (759) $ 349,229 Updated due to quarterly assessment and reallocation 03/26/2014 $ (27) $ 349,202 Updated due to quarterly assessment and reallocation 06/26/2014 $ (315) $ 348,887 Updated due to quarterly assessment and reallocation 07/29/2014 $ (625) $ 09/29/2014 $ (207) $ 06/17/2009 $ (338,450,000) $ 09/30/2009 $ (11,860,000) $ 12/30/2009 $ 21,330,000 $ 03/26/2010 $ 9,150,000 $ 07/14/2010 $ (76,870,000) $ 09/01/2010 $ 400,000 $ 09/30/2010 $ (8,454,269) $ 401,300,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 401,700,000 initial cap 393,245,731 Updated portfolio data from servicer 01/06/2011 $ (342) $ 393,245,389 Updated due to quarterly assessment and reallocation 03/30/2011 $ (374) $ 393,245,015 Updated due to quarterly assessment and reallocation 05/13/2011 $ 18,000,000 $ 411,245,015 Transfer of cap due to servicing transfer 06/29/2011 $ (3,273) $ 411,241,742 Updated due to quarterly assessment and reallocation 10/14/2011 $ (200,000) $ 411,041,742 Transfer of cap due to servicing transfer 03/15/2012 $ 100,000 $ 411,141,742 Transfer of cap due to servicing transfer 04/16/2012 $ (500,000) $ 410,641,742 Transfer of cap due to servicing transfer 06/28/2012 $ (1,768) $ 410,639,974 Updated due to quarterly assessment and reallocation 07/16/2012 $ (90,000) $ 410,549,974 Transfer of cap due to servicing transfer 08/16/2012 $ (134,230,000) $ 276,319,974 Transfer of cap due to servicing transfer 08/23/2012 $ (166,976,849) $ 109,343,125 Transfer of cap due to servicing transfer 09/27/2012 $ 1 $ 109,343,126 Updated due to quarterly assessment and reallocation 11/15/2012 $ (230,000) $ 109,113,126 Transfer of cap due to servicing transfer 03/25/2013 $ (1) $ 109,113,125 Updated due to quarterly assessment and reallocation 05/16/2013 $ (20,000) $ 109,093,125 Transfer of cap due to servicing transfer 06/14/2013 $ (50,000) $ 109,043,125 Transfer of cap due to servicing transfer 06/27/2013 $ (15) $ 109,043,110 Updated due to quarterly assessment and reallocation 07/09/2013 $ (23,179,591) $ 09/30/2010 $ 765,945 $ 2,465,945 Updated portfolio data from servicer 01/06/2011 $ (3) $ 2,465,942 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 2,465,938 Updated due to quarterly assessment and reallocation 06/29/2011 $ (36) $ 2,465,902 Updated due to quarterly assessment and reallocation 06/28/2012 $ (30) $ 2,465,872 Updated due to quarterly assessment and reallocation 09/27/2012 $ (83) $ 2,465,789 Updated due to quarterly assessment and reallocation 12/27/2012 $ (14) $ 2,465,775 Updated due to quarterly assessment and reallocation 03/25/2013 $ (53) $ 2,465,722 Updated due to quarterly assessment and reallocation 06/27/2013 $ (20) $ 2,465,702 Updated due to quarterly assessment and reallocation 09/16/2013 $ 460,000 $ 2,925,702 Transfer of cap due to servicing transfer 09/27/2013 $ (7) $ 2,925,695 Updated due to quarterly assessment and reallocation 12/23/2013 $ (12,339) $ 2,913,356 Updated due to quarterly assessment and reallocation 01/16/2014 $ 50,000 $ 2,963,356 Transfer of cap due to servicing transfer 03/26/2014 $ (449) $ 2,962,907 Updated due to quarterly assessment and reallocation 04/16/2014 $ 10,000 $ 2,972,907 Transfer of cap due to servicing transfer 05/15/2014 $ 20,000 $ 2,992,907 Transfer of cap due to servicing transfer 06/26/2014 $ (5,322) $ 2,987,585 Updated due to quarterly assessment and reallocation 07/29/2014 $ (10,629) $ 2,976,956 Updated due to quarterly assessment and reallocation 09/29/2014 $ (3,515) $ 2,973,441 Updated due to quarterly assessment and reallocation 09/15/2011 $ 100,000 $ 06/12/2009 $ 5,540,000 $ 09/30/2009 $ 162,680,000 $ 12/30/2009 $ 665,510,000 $ 01/26/2010 $ 800,390,000 $ 03/26/2010 $ (829,370,000) $ 07/14/2010 $ (366,750,000) $ 09/30/2010 $ 95,300,000 $ 09/30/2010 $ 222,941,084 $ 1,236,900,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 1,332,200,000 initial cap 1,555,141,084 Updated portfolio data from servicer 01/06/2011 $ (2,199) $ 1,555,138,885 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2,548) $ 1,555,136,337 Updated due to quarterly assessment and reallocation 06/29/2011 $ (23,337) $ 1,555,113,000 Updated due to quarterly assessment and reallocation 08/16/2011 $ (300,000) $ 1,554,813,000 Transfer of cap due to servicing transfer 10/14/2011 $ (120,700,000) $ 1,434,113,000 Transfer of cap due to servicing transfer 11/16/2011 $ (900,000) $ 1,433,213,000 Transfer of cap due to servicing transfer 05/16/2012 $ (200,000) $ 1,433,013,000 Transfer of cap due to servicing transfer 1,432,995,107 Updated due to quarterly assessment and reallocation 06/28/2012 $ (17,893) $ 7 08/10/2012 $ (1,401,716,594) $ 7 10/16/2013 $ (260,902) $ 06/12/2009 $ 3,318,840,000 $ 09/30/2009 $ (717,420,000) $ 12/30/2009 $ 2,290,780,000 $ 348,262 Updated due to quarterly assessment and reallocation 348,055 Updated due to quarterly assessment and reallocation 459,550,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 447,690,000 initial capportfolio data from servicer/additional program Updated 469,020,000 initial cap 478,170,000 Updated portfolio data from servicer 85,863,519 Termination of SPA 100,000 Transfer of cap due to servicing transfer 804,440,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 967,120,000 initial capportfolio data from servicer/additional program Updated 1,632,630,000 initial capportfolio data from servicer/additional program Updated 2,433,020,000 initial cap 1,603,650,000 Updated portfolio data from servicer 31,278,513 Termination of SPA 31,017,611 Termination of SPA 5,182,840,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 4,465,420,000 initial capportfolio data from servicer/additional program Updated 6,756,200,000 initial cap 74 10/23/2009 Bank United Miami Lakes FL Purchase Financial Instrument for Home Loan Modifications $ 93,660,000 N/A 01/26/2010 $ 450,100,000 $ 03/26/2010 $ 905,010,000 $ Updated portfolio data from servicer/additional program initial cap 8,111,310,000 Updated portfolio data from servicer 04/19/2010 $ 10,280,000 $ 8,121,590,000 Transfer of cap due to servicing transfer 06/16/2010 $ 286,510,000 $ 8,408,100,000 Transfer of cap due to servicing transfer 07/14/2010 $ (1,787,300,000) $ 09/30/2010 $ 105,500,000 $ 09/30/2010 $ (614,527,362) $ 6,620,800,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 6,726,300,000 initial cap 6,111,772,638 Updated portfolio data from servicer 12/15/2010 $ 236,000,000 $ 6,347,772,638 Transfer of cap due to servicing transfer 01/06/2011 $ (8,012) $ 6,347,764,626 Updated due to quarterly assessment and reallocation 02/16/2011 $ 1,800,000 $ 6,349,564,626 Transfer of cap due to servicing transfer 03/16/2011 $ 100,000 $ 6,349,664,626 Transfer of cap due to servicing transfer 03/30/2011 $ (9,190) $ 6,349,655,436 Updated due to quarterly assessment and reallocation 04/13/2011 $ 200,000 $ 6,349,855,436 Transfer of cap due to servicing transfer 05/13/2011 $ 300,000 $ 6,350,155,436 Transfer of cap due to servicing transfer 06/16/2011 $ (1,000,000) $ 6,349,155,436 Transfer of cap due to servicing transfer 06/29/2011 $ (82,347) $ 6,349,073,089 Updated due to quarterly assessment and reallocation 07/14/2011 $ (200,000) $ 6,348,873,089 Transfer of cap due to servicing transfer 08/16/2011 $ (3,400,000) $ 6,345,473,089 Transfer of cap due to servicing transfer 09/15/2011 $ (1,400,000) $ 6,344,073,089 Transfer of cap due to servicing transfer 10/14/2011 $ 120,600,000 $ 6,464,673,089 Transfer of cap due to servicing transfer 10/19/2011 $ 317,956,289 $ 6,782,629,378 Transfer of cap due to merger/acquisition 11/16/2011 $ 800,000 $ 6,783,429,378 Transfer of cap due to servicing transfer 12/15/2011 $ (17,600,000) $ 6,765,829,378 Transfer of cap due to servicing transfer 02/16/2012 $ (2,100,000) $ 6,763,729,378 Transfer of cap due to servicing transfer 03/15/2012 $ (23,900,000) $ 6,739,829,378 Transfer of cap due to servicing transfer 04/16/2012 $ (63,800,000) $ 6,676,029,378 Transfer of cap due to servicing transfer 05/16/2012 $ 20,000 $ 6,676,049,378 Transfer of cap due to servicing transfer 06/14/2012 $ (8,860,000) $ 6,667,189,378 Transfer of cap due to servicing transfer 06/28/2012 $ (58,550) $ 6,667,130,828 Updated due to quarterly assessment and reallocation 07/16/2012 $ (6,840,000) $ 6,660,290,828 Transfer of cap due to servicing transfer 08/10/2012 $ 1,401,716,594 $ 8,062,007,423 Transfer of cap due to merger/acquisition 08/16/2012 $ (4,780,000) $ 8,057,227,423 Transfer of cap due to servicing transfer 09/27/2012 $ (205,946) $ 8,057,021,476 Updated due to quarterly assessment and reallocation 10/16/2012 $ (153,220,000) $ 7,903,801,476 Transfer of cap due to servicing transfer 11/15/2012 $ (27,300,000) $ 7,876,501,476 Transfer of cap due to servicing transfer 12/14/2012 $ (50,350,000) $ 7,826,151,476 Transfer of cap due to servicing transfer 12/27/2012 $ (33,515) $ 7,826,117,961 Updated due to quarterly assessment and reallocation 01/16/2013 $ (27,000,000) $ 7,799,117,961 Transfer of cap due to servicing transfer 02/14/2013 $ (41,830,000) $ 7,757,287,961 Transfer of cap due to servicing transfer 03/14/2013 $ (5,900,000) $ 7,751,387,961 Transfer of cap due to servicing transfer 03/25/2013 $ (122,604) $ 7,751,265,357 Updated due to quarterly assessment and reallocation 04/16/2013 $ (1,410,000) $ 7,749,855,357 Transfer of cap due to servicing transfer 05/16/2013 $ (940,000) $ 7,748,915,357 Transfer of cap due to servicing transfer 06/14/2013 $ (16,950,000) $ 7,731,965,357 Transfer of cap due to servicing transfer 06/27/2013 $ (45,103) $ 7,731,920,254 Updated due to quarterly assessment and reallocation 07/16/2013 $ (25,580,000) $ 7,706,340,254 Transfer of cap due to servicing transfer 08/15/2013 $ (6,730,000) $ 7,699,610,254 Transfer of cap due to servicing transfer 09/16/2013 $ (290,640,000) $ 7,408,970,254 Transfer of cap due to servicing transfer 09/27/2013 $ (15,411) $ 7,408,954,843 Updated due to quarterly assessment and reallocation 10/15/2013 $ (79,200,000) $ 7,329,754,843 Transfer of cap due to servicing transfer 10/16/2013 $ 260,902 $ 7,330,015,745 Transfer of cap due to merger/acquisition 11/14/2013 $ (14,600,000) $ 7,315,415,745 Transfer of cap due to servicing transfer 12/16/2013 $ (23,220,000) $ 7,292,195,745 Transfer of cap due to servicing transfer 12/23/2013 $ (25,226,860) $ 7,266,968,885 Updated due to quarterly assessment and reallocation 01/16/2014 $ (27,070,000) $ 7,239,898,885 Transfer of cap due to servicing transfer 02/13/2014 $ (110,110,000) $ 7,129,788,885 Transfer of cap due to servicing transfer 03/14/2014 $ (27,640,000) $ 7,102,148,885 Transfer of cap due to servicing transfer 03/26/2014 $ (868,425) $ 7,101,280,460 Updated due to quarterly assessment and reallocation 04/16/2014 $ (17,710,000) $ 7,083,570,460 Transfer of cap due to servicing transfer 05/15/2014 $ (30,040,000) $ 7,053,530,460 Transfer of cap due to servicing transfer 06/16/2014 $ (9,660,000) $ 7,043,870,460 Transfer of cap due to servicing transfer 06/26/2014 $ (10,084,970) $ 7,033,785,490 Updated due to quarterly assessment and reallocation 07/16/2014 $ (6,180,000) $ 7,027,605,490 Transfer of cap due to servicing transfer 07/29/2014 $ (19,885,198) $ 7,007,720,292 Updated due to quarterly assessment and reallocation 08/14/2014 $ (11,870,000) $ 6,995,850,292 Transfer of cap due to servicing transfer 09/16/2014 $ (21,390,000) $ 6,974,460,292 Transfer of cap due to servicing transfer 09/29/2014 $ (6,533,419) $ 01/22/2010 $ 4,370,000 $ 03/26/2010 $ 23,880,000 $ 6,967,926,873 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 98,030,000 initial cap 121,910,000 Updated portfolio data from servicer 07/14/2010 $ (16,610,000) $ 105,300,000 Updated portfolio data from servicer 09/30/2010 $ 1,751,033 $ 107,051,033 Updated portfolio data from servicer 01/06/2011 $ (77) $ 107,050,956 Updated due to quarterly assessment and reallocation 03/16/2011 $ (9,900,000) $ 97,150,956 Transfer of cap due to servicing transfer 03/30/2011 $ (88) $ 97,150,868 Updated due to quarterly assessment and reallocation 06/29/2011 $ (773) $ 97,150,095 Updated due to quarterly assessment and reallocation 03/15/2012 $ (1,400,000) $ 95,750,095 Transfer of cap due to servicing transfer 06/28/2012 $ (277) $ 95,749,818 Updated due to quarterly assessment and reallocation 7,206,300,000 75 09/16/2009 12/09/2009 07/01/2009 Bay Federal Credit Union Bay Gulf Credit Union Bayview Loan Servicing, LLC Capitola Tampa Coral Gables CA FL FL Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ 410,000 N/A 230,000 N/A 44,260,000 N/A 09/27/2012 $ (549) $ 95,749,269 Updated due to quarterly assessment and reallocation 12/27/2012 $ (65) $ 95,749,204 Updated due to quarterly assessment and reallocation 02/14/2013 $ (2,670,000) $ 93,079,204 Transfer of cap due to servicing transfer 03/25/2013 $ (142) $ 93,079,062 Updated due to quarterly assessment and reallocation 05/16/2013 $ (610,000) $ 92,469,062 Transfer of cap due to servicing transfer 06/27/2013 $ (48) $ 92,469,014 Updated due to quarterly assessment and reallocation 09/16/2013 $ (40,000) $ 92,429,014 Transfer of cap due to servicing transfer 09/27/2013 $ (14) $ 92,429,000 Updated due to quarterly assessment and reallocation 11/14/2013 $ (30,000) $ 92,399,000 Transfer of cap due to servicing transfer 12/16/2013 $ (1,190,000) $ 91,209,000 Transfer of cap due to servicing transfer 12/23/2013 $ (14,953) $ 91,194,047 Updated due to quarterly assessment and reallocation 02/13/2014 $ (170,000) $ 91,024,047 Transfer of cap due to servicing transfer 03/26/2014 $ (721) $ 91,023,326 Updated due to quarterly assessment and reallocation 06/16/2014 $ (660,000) $ 90,363,326 Transfer of cap due to servicing transfer 06/26/2014 $ (6,982) $ 90,356,344 Updated due to quarterly assessment and reallocation 07/29/2014 $ (13,755) $ 90,342,589 Updated due to quarterly assessment and reallocation 09/16/2014 $ (440,000) $ 89,902,589 Transfer of cap due to servicing transfer 09/29/2014 $ (3,805) $ 10/02/2009 $ 90,000 $ 12/30/2009 $ 1,460,000 $ 03/26/2010 $ 160,000 $ 89,898,784 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 500,000 initial capportfolio data from servicer/additional program Updated 1,960,000 initial cap 2,120,000 Updated portfolio data from servicer 07/14/2010 $ (120,000) $ 2,000,000 Updated portfolio data from servicer 09/30/2010 $ (1,419,778) $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 01/25/2012 $ (580,212) 01/22/2010 $ 10,000 $ 240,000 03/26/2010 $ 440,000 $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 680,000 Updated portfolio data from servicer 07/14/2010 $ (80,000) $ 600,000 Updated portfolio data from servicer 09/30/2010 $ (19,778) $ 580,222 Updated portfolio data from servicer 10/15/2010 $ (580,222) 09/30/2009 $ 23,850,000 $ 68,110,000 12/30/2009 $ 43,590,000 $ 111,700,000 03/26/2010 $ 34,540,000 $ 05/07/2010 $ 1,010,000 $ 07/14/2010 $ (34,250,000) $ 09/30/2010 $ 600,000 $ 09/30/2010 $ (15,252,303) $ initial cap 146,240,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 147,250,000 initial cap 113,000,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 113,600,000 initial cap 98,347,697 Updated portfolio data from servicer 01/06/2011 $ (70) $ 98,347,627 Updated due to quarterly assessment and reallocation 03/30/2011 $ (86) $ 98,347,541 Updated due to quarterly assessment and reallocation 04/13/2011 $ 400,000 $ 98,747,541 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 98,847,541 Transfer of cap due to servicing transfer 06/29/2011 $ (771) $ 98,846,770 Updated due to quarterly assessment and reallocation 09/15/2011 $ 600,000 $ 99,446,770 Transfer of cap due to servicing transfer 10/14/2011 $ (18,900,000) $ 80,546,770 Transfer of cap due to servicing transfer 01/13/2012 $ 900,000 $ 81,446,770 Transfer of cap due to servicing transfer 02/16/2012 $ 2,400,000 $ 83,846,770 Transfer of cap due to servicing transfer 03/15/2012 $ (100,000) $ 83,746,770 Transfer of cap due to servicing transfer 04/16/2012 $ 200,000 $ 83,946,770 Transfer of cap due to servicing transfer 05/16/2012 $ 30,000 $ 83,976,770 Transfer of cap due to servicing transfer 06/14/2012 $ 1,810,000 $ 85,786,770 Transfer of cap due to servicing transfer 06/28/2012 $ (508) $ 85,786,262 Updated due to quarterly assessment and reallocation 07/16/2012 $ 2,660,000 $ 88,446,262 Transfer of cap due to servicing transfer 09/27/2012 $ (1,249) $ 88,445,013 Updated due to quarterly assessment and reallocation 10/16/2012 $ 160,000 $ 88,605,013 Transfer of cap due to servicing transfer 11/15/2012 $ 6,970,000 $ 95,575,013 Transfer of cap due to servicing transfer 12/14/2012 $ 13,590,000 $ 109,165,013 Transfer of cap due to servicing transfer 12/27/2012 $ (298) $ 109,164,715 Updated due to quarterly assessment and reallocation 01/16/2013 $ 90,000 $ 109,254,715 Transfer of cap due to servicing transfer 02/14/2013 $ 3,250,000 $ 112,504,715 Transfer of cap due to servicing transfer 03/14/2013 $ 830,000 $ 113,334,715 Transfer of cap due to servicing transfer 03/25/2013 $ (1,023) $ 113,333,692 Updated due to quarterly assessment and reallocation 04/16/2013 $ 1,490,000 $ 114,823,692 Transfer of cap due to servicing transfer 05/16/2013 $ 660,000 $ 115,483,692 Transfer of cap due to servicing transfer 06/14/2013 $ 7,470,000 $ 122,953,692 Transfer of cap due to servicing transfer 06/27/2013 $ (308) $ 122,953,384 Updated due to quarterly assessment and reallocation 07/16/2013 $ 21,430,000 $ 144,383,384 Transfer of cap due to servicing transfer 09/16/2013 $ 11,730,000 $ 156,113,384 Transfer of cap due to servicing transfer 09/27/2013 $ (91) $ 156,113,293 Updated due to quarterly assessment and reallocation 10/15/2013 $ 5,430,000 $ 161,543,293 Transfer of cap due to servicing transfer 11/14/2013 $ 20,900,000 $ 182,443,293 Transfer of cap due to servicing transfer 12/16/2013 $ 260,000 $ 182,703,293 Transfer of cap due to servicing transfer 12/23/2013 $ (131,553) $ 182,571,740 Updated due to quarterly assessment and reallocation 01/16/2014 $ 1,070,000 $ 183,641,740 Transfer of cap due to servicing transfer 02/13/2014 $ 2,570,000 $ 186,211,740 Transfer of cap due to servicing transfer 03/14/2014 $ 1,530,000 $ 187,741,740 Transfer of cap due to servicing transfer - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 76 05/15/2014 BMO Harris Bank, NA Chicago IL Purchase Financial Instrument for Home Loan Modifications 08/20/2010 Bramble Savings Bank Cincinanati OH Purchase Financial Instrument for Home Loan Modifications 07/16/2013 09/15/2010 03/14/2014 09/30/2010 04/27/2009 Bridgelock Capital dba Peak Loan Servicing Caliber Home Loans, Inc (Vericrest Financial, Inc.) California Housing Finance Agency Capital International Financial, Inc. Carrington Mortgage Services, LLC Woodland Hills Oklahoma City Sacramento Coral Gables Santa Ana CA OK CA FL CA Purchase Purchase Purchase Purchase Purchase - N/A $ Financial Instrument for Home Loan Modifications - N/A Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 700,000 N/A - N/A Financial Instrument for Home Loan Modifications - N/A $ $ 3 100,000 N/A 195,000,000 N/A 3 3 3 03/26/2014 $ (1,050) $ 187,740,690 Updated due to quarterly assessment and reallocation 04/16/2014 $ 5,270,000 $ 193,010,690 Transfer of cap due to servicing transfer 05/15/2014 $ 500,000 $ 193,510,690 Transfer of cap due to servicing transfer 06/16/2014 $ 2,600,000 $ 196,110,690 Transfer of cap due to servicing transfer 06/26/2014 $ 18,557,651 $ 214,668,341 Updated due to quarterly assessment and reallocation 07/16/2014 $ 10,000 $ 214,678,341 Transfer of cap due to servicing transfer 07/29/2014 $ 13,360,843 $ 228,039,184 Updated due to quarterly assessment and reallocation 08/14/2014 $ 4,260,000 $ 232,299,184 Transfer of cap due to servicing transfer 09/16/2014 $ 260,000 $ 232,559,184 Transfer of cap due to servicing transfer 09/29/2014 $ 13,718,841 $ 246,278,025 Updated due to quarterly assessment and reallocation 05/15/2014 $ 30,000 $ 09/30/2010 $ 1,040,667 $ 1,740,667 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,740,665 Updated due to quarterly assessment and reallocation 03/30/2011 $ (3) $ 1,740,662 Updated due to quarterly assessment and reallocation 06/29/2011 $ (28) $ 1,740,634 Updated due to quarterly assessment and reallocation 08/10/2011 $ (1,740,634) 07/16/2013 $ 10,000 $ 12/16/2013 $ 30,000 $ 04/16/2014 $ 30,000 $ 70,000 Transfer of cap due to servicing transfer 06/16/2014 $ 40,000 $ 110,000 Transfer of cap due to servicing transfer 06/26/2014 $ (21) $ 109,979 Updated due to quarterly assessment and reallocation 07/29/2014 $ (43) $ 109,936 Updated due to quarterly assessment and reallocation 09/29/2014 $ (14) $ 09/15/2010 $ 1,000,000 $ 1,000,000 Transfer of cap due to servicing transfer 09/30/2010 $ 450,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (2) $ 02/16/2011 $ 3,000,000 $ 4,450,554 Transfer of cap due to servicing transfer 03/16/2011 $ 10,200,000 $ 14,650,554 Transfer of cap due to servicing transfer 03/30/2011 $ (24) $ 14,650,530 Updated due to quarterly assessment and reallocation 06/29/2011 $ (227) $ 14,650,303 Updated due to quarterly assessment and reallocation 07/14/2011 $ 12,000,000 $ 26,650,303 Transfer of cap due to servicing transfer 12/15/2011 $ 4,100,000 $ 30,750,303 Transfer of cap due to servicing transfer 01/13/2012 $ 900,000 $ 31,650,303 Transfer of cap due to servicing transfer 04/16/2012 $ 300,000 $ 31,950,303 Transfer of cap due to servicing transfer 06/28/2012 $ (266) $ 31,950,037 Updated due to quarterly assessment and reallocation 09/27/2012 $ (689) $ 31,949,348 Updated due to quarterly assessment and reallocation 11/15/2012 $ 720,000 $ 32,669,348 Transfer of cap due to servicing transfer 12/27/2012 $ (114) $ 32,669,234 Updated due to quarterly assessment and reallocation 01/16/2013 $ 8,020,000 $ 40,689,234 Transfer of cap due to servicing transfer 03/25/2013 $ (591) $ 40,688,643 Updated due to quarterly assessment and reallocation 05/16/2013 $ (40,000) $ 40,648,643 Transfer of cap due to servicing transfer 06/27/2013 $ (223) $ 40,648,420 Updated due to quarterly assessment and reallocation 09/27/2013 $ (80) $ 40,648,340 Updated due to quarterly assessment and reallocation 12/23/2013 $ (135,776) $ 40,512,564 Updated due to quarterly assessment and reallocation 01/16/2014 $ (1,130,000) $ 39,382,564 Transfer of cap due to servicing transfer 02/13/2014 $ (2,500,000) $ 36,882,564 Transfer of cap due to servicing transfer 03/14/2014 $ 90,000 $ 36,972,564 Transfer of cap due to servicing transfer 03/26/2014 $ (4,697) $ 36,967,867 Updated due to quarterly assessment and reallocation 06/26/2014 $ (55,442) $ 36,912,425 Updated due to quarterly assessment and reallocation 07/16/2014 $ 2,590,000 $ 39,502,425 Transfer of cap due to servicing transfer 07/29/2014 $ (120,725) $ 39,381,700 Updated due to quarterly assessment and reallocation 09/29/2014 $ (40,882) $ 39,340,818 Updated due to quarterly assessment and reallocation 03/14/2014 $ 210,000 $ 210,000 Transfer of cap due to servicing transfer 03/26/2014 $ (20) $ 209,980 Updated due to quarterly assessment and reallocation 06/16/2014 $ 10,000 $ 219,980 Transfer of cap due to servicing transfer 06/26/2014 $ (258) $ 219,722 Updated due to quarterly assessment and reallocation 07/29/2014 $ (512) $ 219,210 Updated due to quarterly assessment and reallocation 09/29/2014 $ (169) $ 219,041 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 30,000 Transfer of cap due to servicing transfer - Termination of SPA 10,000 Transfer of cap due to servicing transfer 40,000 Transfer of cap due to servicing transfer 109,922 Updated due to quarterly assessment and reallocation 1,450,554 Updated due to quarterly assessment and reallocation 144,461 Updated due to quarterly assessment and reallocation 06/17/2009 $ (63,980,000) $ 09/30/2009 $ 90,990,000 $ 12/30/2009 $ 57,980,000 $ 03/26/2010 $ 74,520,000 $ 131,020,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 222,010,000 initial capportfolio data from servicer/additional program Updated 279,990,000 initial cap 354,510,000 Updated portfolio data from servicer 07/14/2010 $ (75,610,000) $ 278,900,000 Updated portfolio data from servicer 08/13/2010 $ 1,100,000 $ 280,000,000 Transfer of cap due to servicing transfer 09/30/2010 $ 3,763,685 $ 283,763,685 Updated portfolio data from servicer 12/15/2010 $ 300,000 $ 284,063,685 Transfer of cap due to servicing transfer 77 06/17/2009 09/09/2009 CCO Mortgage, a division of RBS Citizens NA Glen Allen Central Florida Educators Federal Credit Lake Mary Union VA FL Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 16,520,000 N/A 1,250,000 N/A 01/06/2011 $ (325) $ 284,063,360 Updated due to quarterly assessment and reallocation 01/13/2011 $ 2,400,000 $ 286,463,360 Transfer of cap due to servicing transfer 03/30/2011 $ (384) $ 286,462,976 Updated due to quarterly assessment and reallocation 06/29/2011 $ (3,592) $ 286,459,384 Updated due to quarterly assessment and reallocation 08/16/2011 $ 1,800,000 $ 288,259,384 Transfer of cap due to servicing transfer 09/15/2011 $ 100,000 $ 288,359,384 Transfer of cap due to servicing transfer 11/16/2011 $ 1,000,000 $ 289,359,384 Transfer of cap due to servicing transfer 02/16/2012 $ 1,100,000 $ 290,459,384 Transfer of cap due to servicing transfer 04/16/2012 $ 100,000 $ 290,559,384 Transfer of cap due to servicing transfer 05/16/2012 $ 850,000 $ 291,409,384 Transfer of cap due to servicing transfer 06/14/2012 $ 2,240,000 $ 293,649,384 Transfer of cap due to servicing transfer 06/28/2012 $ (2,520) $ 293,646,864 Updated due to quarterly assessment and reallocation 07/16/2012 $ 1,690,000 $ 295,336,864 Transfer of cap due to servicing transfer 08/16/2012 $ (30,000) $ 295,306,864 Transfer of cap due to servicing transfer 09/27/2012 $ (6,632) $ 295,300,232 Updated due to quarterly assessment and reallocation 10/16/2012 $ 2,880,000 $ 298,180,232 Transfer of cap due to servicing transfer 11/15/2012 $ 1,500,000 $ 299,680,232 Transfer of cap due to servicing transfer 12/14/2012 $ 2,040,000 $ 301,720,232 Transfer of cap due to servicing transfer 12/27/2012 $ (1,103) $ 301,719,129 Updated due to quarterly assessment and reallocation 01/16/2013 $ (10,000) $ 301,709,129 Transfer of cap due to servicing transfer 02/14/2013 $ 4,960,000 $ 306,669,129 Transfer of cap due to servicing transfer 03/14/2013 $ (30,000) $ 306,639,129 Transfer of cap due to servicing transfer 03/25/2013 $ (4,179) $ 306,634,950 Updated due to quarterly assessment and reallocation 04/16/2013 $ (70,000) $ 306,564,950 Transfer of cap due to servicing transfer 05/16/2013 $ 1,570,000 $ 308,134,950 Transfer of cap due to servicing transfer 06/14/2013 $ (1,880,000) $ 306,254,950 Transfer of cap due to servicing transfer 06/27/2013 $ (1,522) $ 306,253,428 Updated due to quarterly assessment and reallocation 07/16/2013 $ 270,000 $ 306,523,428 Transfer of cap due to servicing transfer 09/16/2013 $ 5,370,000 $ 311,893,428 Transfer of cap due to servicing transfer 09/27/2013 $ (525) $ 311,892,903 Updated due to quarterly assessment and reallocation 10/15/2013 $ (240,000) $ 311,652,903 Transfer of cap due to servicing transfer 11/14/2013 $ 2,000,000 $ 313,652,903 Transfer of cap due to servicing transfer 12/16/2013 $ 1,370,000 $ 315,022,903 Transfer of cap due to servicing transfer 12/23/2013 $ (873,891) $ 314,149,012 Updated due to quarterly assessment and reallocation 01/16/2014 $ 120,000 $ 314,269,012 Transfer of cap due to servicing transfer 02/13/2014 $ 280,000 $ 314,549,012 Transfer of cap due to servicing transfer 03/14/2014 $ 50,000 $ 314,599,012 Transfer of cap due to servicing transfer 03/26/2014 $ (30,084) $ 314,568,928 Updated due to quarterly assessment and reallocation 04/16/2014 $ 2,660,000 $ 317,228,928 Transfer of cap due to servicing transfer 05/15/2014 $ (430,000) $ 316,798,928 Transfer of cap due to servicing transfer 06/16/2014 $ (130,000) $ 316,668,928 Transfer of cap due to servicing transfer 06/26/2014 $ (351,513) $ 316,317,415 Updated due to quarterly assessment and reallocation 07/16/2014 $ (23,460,000) $ 292,857,415 Transfer of cap due to servicing transfer 07/29/2014 $ (621,598) $ 292,235,817 Updated due to quarterly assessment and reallocation 08/14/2014 $ (560,000) $ 291,675,817 Transfer of cap due to servicing transfer 09/16/2014 $ 8,810,000 $ 300,485,817 Transfer of cap due to servicing transfer 09/29/2014 $ (205,371) $ 09/30/2009 $ 13,070,000 $ 12/30/2009 $ 145,510,000 $ 03/26/2010 $ (116,950,000) $ 300,280,446 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 29,590,000 initial cap Updated portfolio data from servicer/additional program 175,100,000 initial cap 58,150,000 Updated portfolio data from servicer 07/14/2010 $ (23,350,000) $ 34,800,000 Updated portfolio data from servicer 09/30/2010 $ 7,846,346 $ 42,646,346 Updated portfolio data from servicer 01/06/2011 $ (46) $ 42,646,300 Updated due to quarterly assessment and reallocation 03/30/2011 $ (55) $ 42,646,245 Updated due to quarterly assessment and reallocation 06/29/2011 $ (452) $ 42,645,793 Updated due to quarterly assessment and reallocation 06/28/2012 $ (309) $ 42,645,484 Updated due to quarterly assessment and reallocation 09/27/2012 $ (807) $ 42,644,677 Updated due to quarterly assessment and reallocation 12/27/2012 $ (131) $ 42,644,546 Updated due to quarterly assessment and reallocation 03/25/2013 $ (475) $ 42,644,071 Updated due to quarterly assessment and reallocation 06/27/2013 $ (175) $ 42,643,896 Updated due to quarterly assessment and reallocation 09/27/2013 $ (62) $ 42,643,834 Updated due to quarterly assessment and reallocation 12/23/2013 $ (97,446) $ 42,546,388 Updated due to quarterly assessment and reallocation 03/26/2014 $ (3,201) $ 42,543,187 Updated due to quarterly assessment and reallocation 06/26/2014 $ (35,874) $ 42,507,313 Updated due to quarterly assessment and reallocation 07/29/2014 $ (69,315) $ 42,437,998 Updated due to quarterly assessment and reallocation 09/29/2014 $ (21,381) $ 10/02/2009 $ 280,000 $ 12/30/2009 $ (750,000) $ 03/26/2010 $ 120,000 $ 42,416,617 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 1,530,000 initial cap Updated portfolio data from servicer/additional program 780,000 initial cap 900,000 Updated portfolio data from servicer 07/14/2010 $ (300,000) $ 600,000 Updated portfolio data from servicer 09/30/2010 $ 270,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (5) $ 870,327 Updated due to quarterly assessment and reallocation 06/28/2012 $ 21,717 $ 892,044 Updated due to quarterly assessment and reallocation 09/27/2012 $ 190,077 $ 1,082,121 Updated due to quarterly assessment and reallocation 78 09/23/2009 Central Jersey Federal Credit Union Woodbridge NJ Purchase Financial Instrument for Home Loan Modifications $ 30,000 N/A 12/27/2012 $ 35,966 $ 1,118,087 Updated due to quarterly assessment and reallocation 03/25/2013 $ 59,464 $ 1,177,551 Updated due to quarterly assessment and reallocation 06/27/2013 $ 35,438 $ 1,212,989 Updated due to quarterly assessment and reallocation 09/27/2013 $ 26,926 $ 1,239,915 Updated due to quarterly assessment and reallocation 12/23/2013 $ 87,045 $ 1,326,960 Updated due to quarterly assessment and reallocation 03/26/2014 $ 31,204 $ 1,358,164 Updated due to quarterly assessment and reallocation 06/26/2014 $ 68,259 $ 1,426,423 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2) $ 1,426,421 Updated due to quarterly assessment and reallocation 1,426,400 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 40,000 initial capportfolio data from servicer/additional program Updated 160,000 initial cap 170,000 Updated portfolio data from servicer 09/29/2014 $ (21) $ 10/02/2009 $ 10,000 $ 12/30/2009 $ 120,000 $ 03/26/2010 $ 10,000 $ 07/14/2010 $ (70,000) $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 10/29/2010 $ (145,056) 09/30/2010 $ 856,056 $ 2,756,056 Updated portfolio data from servicer 01/06/2011 $ (4) $ 2,756,052 Updated due to quarterly assessment and reallocation - Termination of SPA 09/24/2010 Centrue Bank Ottawa IL Purchase Financial Instrument for Home Loan Modifications $ 1,900,000 N/A 03/09/2011 $ (2,756,052) - Termination of SPA 04/13/2009 Chase Home Finance, LLC Iselin NJ Purchase Financial Instrument for Home Loan Modifications $ 3,552,000,000 N/A 1 07/31/2009 $ (3,552,000,000) - Termination of SPA 06/14/2013 Cheviot Savings Bank Cincinnati OH Purchase Financial Instrument for Home Loan Modifications - N/A 3 06/14/2013 $ 10,000 $ 06/27/2013 $ 1,344 $ 04/13/2009 CitiMortgage, Inc. O'Fallon MO Purchase Financial Instrument for Home Loan Modifications $ 2,071,000,000 N/A 06/12/2009 $ (991,580,000) $ 09/30/2009 $ 1,010,180,000 $ 12/30/2009 $ (105,410,000) $ 03/26/2010 $ (199,300,000) $ 04/19/2010 $ (230,000) $ 1,079,420,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 2,089,600,000 initial capportfolio data from servicer/additional program Updated 1,984,190,000 initial capportfolio data from servicer/additional program Updated 1,784,890,000 initial cap 1,784,660,000 Transfer of cap due to servicing transfer 05/14/2010 $ (3,000,000) $ 1,781,660,000 Transfer of cap due to servicing transfer 06/16/2010 $ (12,280,000) $ 1,769,380,000 Transfer of cap due to servicing transfer 07/14/2010 $ (757,680,000) $ 1,011,700,000 Updated portfolio data from servicer 07/16/2010 $ (7,110,000) $ 1,004,590,000 Transfer of cap due to servicing transfer 08/13/2010 $ (6,300,000) $ 998,290,000 Transfer of cap due to servicing transfer 09/15/2010 $ (8,300,000) $ 09/30/2010 $ 32,400,000 $ 09/30/2010 $ 101,287,484 $ 989,990,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial cap 1,123,677,484 Updated portfolio data from servicer 10/15/2010 $ (1,400,000) $ 1,122,277,484 Transfer of cap due to servicing transfer 11/16/2010 $ (3,200,000) $ 1,119,077,484 Transfer of cap due to servicing transfer 01/06/2011 $ (981) $ 1,119,076,503 Updated due to quarterly assessment and reallocation 01/13/2011 $ (10,500,000) $ 1,108,576,503 Transfer of cap due to servicing transfer 02/16/2011 $ (4,600,000) $ 1,103,976,503 Transfer of cap due to servicing transfer 03/16/2011 $ (30,500,000) $ 1,073,476,503 Transfer of cap due to servicing transfer 03/30/2011 $ (1,031) $ 1,073,475,472 Updated due to quarterly assessment and reallocation 04/13/2011 $ 100,000 $ 1,073,575,472 Transfer of cap due to servicing transfer 05/13/2011 $ (7,200,000) $ 1,066,375,472 Transfer of cap due to servicing transfer 06/16/2011 $ (400,000) $ 1,065,975,472 Transfer of cap due to servicing transfer 06/29/2011 $ (9,131) $ 1,065,966,341 Updated due to quarterly assessment and reallocation 07/14/2011 $ (14,500,000) $ 1,051,466,341 Transfer of cap due to servicing transfer 08/16/2011 $ (1,600,000) $ 1,049,866,341 Transfer of cap due to servicing transfer 09/15/2011 $ 700,000 $ 1,050,566,341 Transfer of cap due to servicing transfer 10/14/2011 $ 15,200,000 $ 1,065,766,341 Transfer of cap due to servicing transfer 11/16/2011 $ (2,900,000) $ 1,062,866,341 Transfer of cap due to servicing transfer 12/15/2011 $ (5,000,000) $ 1,057,866,341 Transfer of cap due to servicing transfer 01/13/2012 $ (900,000) $ 1,056,966,341 Transfer of cap due to servicing transfer 02/16/2012 $ (1,100,000) $ 1,055,866,341 Transfer of cap due to servicing transfer 03/15/2012 $ (1,700,000) $ 1,054,166,341 Transfer of cap due to servicing transfer 04/16/2012 $ (600,000) $ 1,053,566,341 Transfer of cap due to servicing transfer 05/16/2012 $ (340,000) $ 1,053,226,341 Transfer of cap due to servicing transfer 06/14/2012 $ (2,880,000) $ 1,050,346,341 Transfer of cap due to servicing transfer 06/28/2012 $ (5,498) $ 1,050,340,843 Updated due to quarterly assessment and reallocation 07/16/2012 $ (298,960,000) $ 751,380,843 Transfer of cap due to servicing transfer 07/27/2012 $ 263,550,000 $ 1,014,930,843 Transfer of cap due to servicing transfer 08/16/2012 $ 30,000 $ 1,014,960,843 Transfer of cap due to servicing transfer 09/27/2012 $ (12,722) $ 1,014,948,121 Updated due to quarterly assessment and reallocation 10/16/2012 $ (4,020,000) $ 1,010,928,121 Transfer of cap due to servicing transfer 11/15/2012 $ (1,460,000) $ 1,009,468,121 Transfer of cap due to servicing transfer 12/14/2012 $ (6,000,000) $ 1,003,468,121 Transfer of cap due to servicing transfer 12/27/2012 $ (1,916) $ 1,003,466,205 Updated due to quarterly assessment and reallocation 02/14/2013 $ (8,450,000) $ 995,016,205 Transfer of cap due to servicing transfer 03/14/2013 $ (1,890,000) $ 993,126,205 Transfer of cap due to servicing transfer 03/25/2013 $ (6,606) $ 993,119,599 Updated due to quarterly assessment and reallocation 04/16/2013 $ (3,490,000) $ 989,629,599 Transfer of cap due to servicing transfer 06/14/2013 $ (3,630,000) $ 985,999,599 Transfer of cap due to servicing transfer 06/27/2013 $ (2,161) $ 985,997,438 Updated due to quarterly assessment and reallocation 07/16/2013 $ (26,880,000) $ 959,117,438 Transfer of cap due to servicing transfer 09/16/2013 $ (12,160,000) $ 946,957,438 Transfer of cap due to servicing transfer 09/27/2013 $ (610) $ 946,956,828 Updated due to quarterly assessment and reallocation 11/14/2013 $ (38,950,000) $ 908,006,828 Transfer of cap due to servicing transfer 12/16/2013 $ (8,600,000) $ 899,406,828 Transfer of cap due to servicing transfer 10,000 Transfer of cap due to servicing transfer 11,344 Updated due to quarterly assessment and reallocation 1,022,390,000 79 09/24/2010 12/16/2009 Citizens Community Bank Citizens First National Bank Freeburg Spring Valley IL IL Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 800,000 N/A 620,000 N/A 6 06/26/2009 Citizens First Wholesale Mortgage Company The Villages FL Purchase Financial Instrument for Home Loan Modifications $ 30,000 N/A 12/23/2013 $ (769,699) $ 898,637,129 Updated due to quarterly assessment and reallocation 01/16/2014 $ (5,360,000) $ 893,277,129 Transfer of cap due to servicing transfer 02/13/2014 $ (7,680,000) $ 885,597,129 Transfer of cap due to servicing transfer 03/14/2014 $ (2,950,000) $ 882,647,129 Transfer of cap due to servicing transfer 03/26/2014 $ (21,827) $ 882,625,302 Updated due to quarterly assessment and reallocation 04/16/2014 $ (60,000) $ 882,565,302 Transfer of cap due to servicing transfer 05/15/2014 $ (30,000) $ 882,535,302 Transfer of cap due to servicing transfer 06/16/2014 $ (330,000) $ 882,205,302 Transfer of cap due to servicing transfer 06/26/2014 $ (195,762) $ 882,009,540 Updated due to quarterly assessment and reallocation 07/16/2014 $ (430,000) $ 881,579,540 Transfer of cap due to servicing transfer 07/29/2014 $ (377,564) $ 881,201,976 Updated due to quarterly assessment and reallocation 08/14/2014 $ (1,080,000) $ 880,121,976 Transfer of cap due to servicing transfer 09/29/2014 $ (92,495) $ 880,029,481 Updated due to quarterly assessment and reallocation 09/30/2010 $ 360,445 $ 1,160,445 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,160,443 Updated due to quarterly assessment and reallocation 03/23/2011 $ (1,160,443) 01/22/2010 $ 30,000 $ 03/26/2010 $ (580,000) $ 07/14/2010 $ 1,430,000 $ 1,500,000 Updated portfolio data from servicer 09/30/2010 $ 95,612 $ 1,595,612 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,595,610 Updated due to quarterly assessment and reallocation 03/30/2011 $ (3) $ 1,595,607 Updated due to quarterly assessment and reallocation 06/29/2011 $ (24) $ 1,595,583 Updated due to quarterly assessment and reallocation 06/28/2012 $ (16) $ 1,595,567 Updated due to quarterly assessment and reallocation 09/27/2012 $ (45) $ 1,595,522 Updated due to quarterly assessment and reallocation 12/27/2012 $ (8) $ 1,595,514 Updated due to quarterly assessment and reallocation 03/25/2013 $ (30) $ 1,595,484 Updated due to quarterly assessment and reallocation 06/27/2013 $ (11) $ 1,595,473 Updated due to quarterly assessment and reallocation 09/27/2013 $ (4) $ 1,595,469 Updated due to quarterly assessment and reallocation 12/23/2013 $ (6,733) $ 1,588,736 Updated due to quarterly assessment and reallocation 03/26/2014 $ (237) $ 1,588,499 Updated due to quarterly assessment and reallocation 05/15/2014 $ (90,000) $ 1,498,499 Transfer of cap due to servicing transfer 06/26/2014 $ (2,840) $ 1,495,659 Updated due to quarterly assessment and reallocation 07/01/2014 $ (1,353,853) $ 09/30/2009 $ (10,000) $ $ 590,000 $ 03/26/2010 $ (580,000) $ 141,806 Termination of SPA Updated portfolio data from servicer/additional program 20,000 initial cap Updated portfolio data from servicer/additional program 610,000 initial cap 30,000 Updated portfolio data from servicer 07/14/2010 $ 70,000 $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 02/17/2011 $ (145,056) 10/02/2009 $ 1,310,000 $ 7,310,000 12/30/2009 $ (3,390,000) $ 3,920,000 03/26/2010 $ 410,000 $ Updated portfolio data from servicer/additional program initial cap 4,330,000 Updated portfolio data from servicer 07/14/2010 $ (730,000) $ 3,600,000 Updated portfolio data from servicer 09/15/2010 $ 4,700,000 $ 8,300,000 Transfer of cap due to servicing transfer 09/30/2010 $ 117,764 $ 8,417,764 Updated portfolio data from servicer 11/16/2010 $ 800,000 $ 9,217,764 Transfer of cap due to servicing transfer 12/15/2010 $ 2,700,000 $ 11,917,764 Transfer of cap due to servicing transfer 01/06/2011 $ (17) $ 11,917,747 Updated due to quarterly assessment and reallocation 01/13/2011 $ 700,000 $ 12,617,747 Transfer of cap due to servicing transfer 02/16/2011 $ 1,800,000 $ 14,417,747 Transfer of cap due to servicing transfer 03/30/2011 $ (19) $ 14,417,728 Updated due to quarterly assessment and reallocation 04/13/2011 $ 300,000 $ 14,717,728 Transfer of cap due to servicing transfer 06/29/2011 $ (189) $ 14,717,539 Updated due to quarterly assessment and reallocation 08/16/2011 $ 300,000 $ 15,017,539 Transfer of cap due to servicing transfer 09/15/2011 $ 100,000 $ 15,117,539 Transfer of cap due to servicing transfer 10/14/2011 $ 100,000 $ 15,217,539 Transfer of cap due to servicing transfer 06/28/2012 $ (147) $ 15,217,392 Updated due to quarterly assessment and reallocation 07/16/2012 $ (10,000) $ 15,207,392 Transfer of cap due to servicing transfer 09/27/2012 $ (413) $ 15,206,979 Updated due to quarterly assessment and reallocation 11/15/2012 $ (40,000) $ 15,166,979 Transfer of cap due to servicing transfer 12/27/2012 $ (71) $ 15,166,908 Updated due to quarterly assessment and reallocation 02/14/2013 $ (770,000) $ 14,396,908 Transfer of cap due to servicing transfer 03/14/2013 $ (20,000) $ 14,376,908 Transfer of cap due to servicing transfer 03/25/2013 $ (256) $ 14,376,652 Updated due to quarterly assessment and reallocation 04/16/2013 $ (620,000) $ 13,756,652 Transfer of cap due to servicing transfer 05/16/2013 $ 40,000 $ 13,796,652 Transfer of cap due to servicing transfer 06/14/2013 $ 10,000 $ 13,806,652 Transfer of cap due to servicing transfer 06/27/2013 $ (95) $ 13,806,557 Updated due to quarterly assessment and reallocation 07/16/2013 $ (290,000) $ 13,516,557 Transfer of cap due to servicing transfer 09/27/2013 $ (34) $ 13,516,523 Updated due to quarterly assessment and reallocation 12/16/2013 $ 40,000 $ 13,556,523 Transfer of cap due to servicing transfer 12/23/2013 $ (57,271) $ 13,499,252 Updated due to quarterly assessment and reallocation 02/13/2014 $ (90,000) $ 13,409,252 Transfer of cap due to servicing transfer 03/14/2014 $ (40,000) $ 13,369,252 Transfer of cap due to servicing transfer 12/30/2009 09/02/2009 ClearSpring Loan Services, Inc. (Vantium Capital, Inc. d/b/a Acqura Loan Plano Services) TX Purchase Financial Instrument for Home Loan Modifications $ 6,000,000 N/A 4 - Termination of SPA Updated portfolio data from servicer/additional program initial cap 70,000 Updated portfolio data from servicer 650,000 - Termination of SPA Updated portfolio data from servicer/additional program initial cap 80 05/15/2014 12/04/2009 09/30/2010 Columbia Bank Community Bank & Trust Company Community Credit Union of Florida Fair Lawn Clarks Summit Rockledge NJ PA FL Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ $ 3 380,000 N/A 2,000,000 N/A 6 09/30/2010 09/09/2009 12/16/2013 01/15/2010 10/30/2009 CU Mortgage Services, Inc. CUC Mortgage Corporation Desjardins Bank N.A. Digital Federal Credit Union DuPage Credit Union New Brighton Albany Hallandale Beach Marlborough Naperville MN NY FL MA IL Purchase Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 100,000 N/A 4,350,000 N/A - N/A $ $ 3,050,000 N/A 70,000 N/A 3 03/26/2014 $ (1,989) $ 13,367,263 Updated due to quarterly assessment and reallocation 04/16/2014 $ 80,000 $ 13,447,263 Transfer of cap due to servicing transfer 05/15/2014 $ (230,000) $ 13,217,263 Transfer of cap due to servicing transfer 06/16/2014 $ 100,000 $ 13,317,263 Transfer of cap due to servicing transfer 06/26/2014 $ (23,438) $ 13,293,825 Updated due to quarterly assessment and reallocation 07/16/2014 $ 1,210,000 $ 14,503,825 Transfer of cap due to servicing transfer 07/29/2014 $ (51,728) $ 14,452,097 Updated due to quarterly assessment and reallocation 09/29/2014 $ (17,168) $ 14,434,929 Updated due to quarterly assessment and reallocation 05/15/2014 $ 160,000 $ 160,000 Transfer of cap due to servicing transfer 06/26/2014 $ (72) $ 159,928 Updated due to quarterly assessment and reallocation 07/29/2014 $ (143) $ 159,785 Updated due to quarterly assessment and reallocation 09/29/2014 $ (47) $ 01/22/2010 $ 10,000 $ 03/26/2010 $ 520,000 $ 159,738 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 390,000 initial cap 910,000 Updated portfolio data from servicer 07/14/2010 $ (810,000) $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 08/26/2014 $ (144,524) 09/30/2010 $ 901,112 $ 2,901,112 Updated portfolio data from servicer 01/06/2011 $ (4) $ 2,901,108 Updated due to quarterly assessment and reallocation 03/30/2011 $ (5) $ 2,901,103 Updated due to quarterly assessment and reallocation 06/29/2011 $ (48) $ 2,901,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (36) $ 2,901,019 Updated due to quarterly assessment and reallocation 09/14/2012 $ (2,888,387) $ 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 09/29/2014 $ (63) $ 10/02/2009 $ 950,000 $ 12/30/2009 $ 5,700,000 $ 03/26/2010 $ 740,000 $ 144,461 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 11,000,000 initial cap 11,740,000 Updated portfolio data from servicer 07/14/2010 $ (1,440,000) $ 10,300,000 Updated portfolio data from servicer 09/30/2010 $ (6,673,610) $ 3,626,390 Updated portfolio data from servicer 01/06/2011 $ (5) $ 3,626,385 Updated due to quarterly assessment and reallocation 03/30/2011 $ (6) $ 3,626,379 Updated due to quarterly assessment and reallocation 06/29/2011 $ (52) $ 3,626,327 Updated due to quarterly assessment and reallocation 06/28/2012 $ (38) $ 3,626,289 Updated due to quarterly assessment and reallocation 09/27/2012 $ (107) $ 3,626,182 Updated due to quarterly assessment and reallocation 12/27/2012 $ (18) $ 3,626,164 Updated due to quarterly assessment and reallocation 03/25/2013 $ (69) $ 3,626,095 Updated due to quarterly assessment and reallocation 06/27/2013 $ (26) $ 3,626,069 Updated due to quarterly assessment and reallocation 09/27/2013 $ (9) $ 3,626,060 Updated due to quarterly assessment and reallocation 12/23/2013 $ (15,739) $ 3,610,321 Updated due to quarterly assessment and reallocation 03/26/2014 $ (554) $ 3,609,767 Updated due to quarterly assessment and reallocation 06/26/2014 $ (6,538) $ 3,603,229 Updated due to quarterly assessment and reallocation 07/29/2014 $ (12,989) $ 3,590,240 Updated due to quarterly assessment and reallocation 09/29/2014 $ (4,292) $ 3,585,948 Updated due to quarterly assessment and reallocation 12/16/2013 $ 30,000 $ 09/16/2014 $ 10,000 $ 03/26/2010 $ 12,190,000 $ 05/14/2010 $ (15,240,000) 01/22/2010 $ 10,000 $ 03/26/2010 $ 10,000 $ 07/14/2010 $ 10,000 $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,053 Updated due to quarterly assessment and reallocation 12/23/2013 $ (145) $ 144,908 Updated due to quarterly assessment and reallocation 03/26/2014 $ (5) $ 144,903 Updated due to quarterly assessment and reallocation 06/26/2014 $ (59) $ 144,844 Updated due to quarterly assessment and reallocation 07/29/2014 $ (117) $ 144,727 Updated due to quarterly assessment and reallocation 09/29/2014 $ (39) $ 144,688 Updated due to quarterly assessment and reallocation 144,524 Updated due to quarterly assessment and reallocation - Termination of SPA 12,632 Termination of SPA 144,524 Updated due to quarterly assessment and reallocation 5,300,000 30,000 Transfer of cap due to servicing transfer 40,000 Transfer of cap due to servicing transfer 15,240,000 Updated portfolio data from servicer - Termination of SPA Updated portfolio data from servicer/additional program initial cap 90,000 Updated portfolio data from servicer 80,000 81 12/23/2009 07/31/2009 07/16/2013 07/17/2009 Eaton National Bank & Trust Company EMC Mortgage Corporation Everbank Farmers State Bank Eaton Lewisville Jacksonville West Salem OH TX FL OH Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ 90,000 $ 150,000 Updated portfolio data from servicer 07/14/2010 $ 50,000 $ 200,000 Updated portfolio data from servicer 09/30/2010 $ (54,944) $ 05/20/2011 $ (145,056) 09/30/2009 $ (10,000) $ 12/30/2009 $ 502,430,000 $ 03/26/2010 $ (134,560,000) $ 07/14/2010 $ (392,140,000) $ 07/16/2010 $ (630,000) $ 09/30/2010 $ 13,100,000 $ 09/30/2010 $ (8,006,457) $ 682,470,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 695,570,000 initial cap 687,563,543 Updated portfolio data from servicer 10/15/2010 $ (100,000) $ 687,463,543 Transfer of cap due to servicing transfer 12/15/2010 $ (4,400,000) $ 683,063,543 Transfer of cap due to servicing transfer 01/06/2011 $ (802) $ 683,062,741 Updated due to quarterly assessment and reallocation 02/16/2011 $ (900,000) $ 682,162,741 Transfer of cap due to servicing transfer 03/16/2011 $ (4,000,000) $ 678,162,741 Transfer of cap due to servicing transfer 03/30/2011 $ (925) $ 678,161,816 Updated due to quarterly assessment and reallocation 05/13/2011 $ (122,900,000) $ 555,261,816 Transfer of cap due to servicing transfer 06/29/2011 $ (8,728) $ 555,253,088 Updated due to quarterly assessment and reallocation 07/14/2011 $ (600,000) $ 554,653,088 Transfer of cap due to servicing transfer 8 10/19/2011 $ (519,211,309) $ 3 07/16/2013 $ 60,000 $ 09/16/2014 $ 30,000 $ 09/30/2009 $ (90,000) $ 707,380,000 N/A - N/A $ 03/26/2010 60,000 N/A 170,000 N/A Fay Servicing, LLC Chicago IL Purchase Financial Instrument for Home Loan Modifications $ 3,100,000 N/A - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 1,209,800,000 initial capportfolio data from servicer/additional program Updated 1,075,240,000 initial cap 683,100,000 Updated portfolio data from servicer 35,441,779 Termination of SPA 60,000 Transfer of cap due to servicing transfer 50,000 $ 03/26/2010 $ 100,000 $ 90,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 80,000 initial capportfolio data from servicer/additional program Updated 130,000 initial cap 230,000 Updated portfolio data from servicer 07/14/2010 $ (130,000) $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 05/20/2011 $ (145,056) 09/30/2010 $ 5,168,169 $ 8,268,169 Updated portfolio data from servicer 01/06/2011 $ (12) $ 8,268,157 Updated due to quarterly assessment and reallocation 03/30/2011 $ (15) $ 8,268,142 Updated due to quarterly assessment and reallocation 04/13/2011 $ 400,000 $ 8,668,142 Transfer of cap due to servicing transfer 06/29/2011 $ (143) $ 8,667,999 Updated due to quarterly assessment and reallocation 09/15/2011 $ 700,000 $ 9,367,999 Transfer of cap due to servicing transfer 10/14/2011 $ 100,000 $ 9,467,999 Transfer of cap due to servicing transfer 11/16/2011 $ 200,000 $ 9,667,999 Transfer of cap due to servicing transfer 12/15/2011 $ 1,700,000 $ 11,367,999 Transfer of cap due to servicing transfer 04/16/2012 $ 1,600,000 $ 12,967,999 Transfer of cap due to servicing transfer 05/16/2012 $ 40,000 $ 13,007,999 Transfer of cap due to servicing transfer 06/14/2012 $ (210,000) $ 12,797,999 Transfer of cap due to servicing transfer 06/28/2012 $ (105) $ 12,797,894 Updated due to quarterly assessment and reallocation 07/16/2012 $ 50,000 $ 12,847,894 Transfer of cap due to servicing transfer 08/16/2012 $ 90,000 $ 12,937,894 Transfer of cap due to servicing transfer 09/27/2012 $ (294) $ 12,937,600 Updated due to quarterly assessment and reallocation 10/16/2012 $ 1,810,000 $ 14,747,600 Transfer of cap due to servicing transfer 12/27/2012 $ (61) $ 14,747,539 Updated due to quarterly assessment and reallocation 01/16/2013 $ 30,000 $ 14,777,539 Transfer of cap due to servicing transfer 02/14/2013 $ (590,000) $ 14,187,539 Transfer of cap due to servicing transfer 03/14/2013 $ (80,000) $ 14,107,539 Transfer of cap due to servicing transfer 03/25/2013 $ (214) $ 14,107,325 Updated due to quarterly assessment and reallocation 04/16/2013 $ 200,000 $ 14,307,325 Transfer of cap due to servicing transfer 05/16/2013 $ 3,710,000 $ 18,017,325 Transfer of cap due to servicing transfer 06/14/2013 $ 1,760,000 $ 19,777,325 Transfer of cap due to servicing transfer 06/27/2013 $ (86) $ 19,777,239 Updated due to quarterly assessment and reallocation 07/16/2013 $ 6,650,000 $ 26,427,239 Transfer of cap due to servicing transfer 08/15/2013 $ 20,000 $ 26,447,239 Transfer of cap due to servicing transfer 09/16/2013 $ 4,840,000 $ 31,287,239 Transfer of cap due to servicing transfer 09/27/2013 $ (54) $ 31,287,185 Updated due to quarterly assessment and reallocation 10/15/2013 $ 720,000 $ 32,007,185 Transfer of cap due to servicing transfer 11/14/2013 $ 1,040,000 $ 33,047,185 Transfer of cap due to servicing transfer 12/16/2013 $ 140,000 $ 33,187,185 Transfer of cap due to servicing transfer 12/23/2013 $ (84,376) $ 33,102,809 Updated due to quarterly assessment and reallocation 01/16/2014 $ 8,350,000 $ 41,452,809 Transfer of cap due to servicing transfer 02/13/2014 $ 5,890,000 $ 47,342,809 Transfer of cap due to servicing transfer 03/14/2014 $ 5,720,000 $ 53,062,809 Transfer of cap due to servicing transfer 03/26/2014 $ (4,045) $ 53,058,764 Updated due to quarterly assessment and reallocation 04/16/2014 $ 70,000 $ 53,128,764 Transfer of cap due to servicing transfer 05/15/2014 $ 640,000 $ 53,768,764 Transfer of cap due to servicing transfer 06/16/2014 $ 15,780,000 $ 69,548,764 Transfer of cap due to servicing transfer 06/26/2014 $ (69,560) $ 69,479,204 Updated due to quarterly assessment and reallocation 07/16/2014 $ (290,000) $ 69,189,204 Transfer of cap due to servicing transfer 07/29/2014 $ (138,184) $ 69,051,020 Updated due to quarterly assessment and reallocation 08/14/2014 $ 990,000 $ 70,041,020 Transfer of cap due to servicing transfer 09/16/2014 $ 2,890,000 $ 72,931,020 Transfer of cap due to servicing transfer 09/29/2014 $ (38,150) $ 72,892,870 Updated due to quarterly assessment and reallocation 12/30/2009 09/03/2010 145,056 Updated portfolio data from servicer 707,370,000 $ - Termination of SPA 82 05/13/2011 12/09/2009 07/29/2009 FCI Lender Services, Inc. Fidelity Homestead Savings Bank FIRST BANK Anaheim Hills New Orleans St. Louis CA LA MO Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ $ 2,940,000 N/A 6,460,000 N/A 3 05/13/2011 $ 500,000 $ 500,000 Transfer of cap due to servicing transfer 06/16/2011 $ 100,000 $ 600,000 Transfer of cap due to servicing transfer 06/29/2011 $ (9) $ 599,991 Updated due to quarterly assessment and reallocation 07/14/2011 $ 200,000 $ 799,991 Transfer of cap due to servicing transfer 09/15/2011 $ 100,000 $ 899,991 Transfer of cap due to servicing transfer 11/16/2011 $ 2,500,000 $ 3,399,991 Transfer of cap due to servicing transfer 05/16/2012 $ 1,510,000 $ 4,909,991 Transfer of cap due to servicing transfer 06/14/2012 $ 450,000 $ 5,359,991 Transfer of cap due to servicing transfer 06/28/2012 $ (66) $ 5,359,925 Updated due to quarterly assessment and reallocation 07/16/2012 $ 250,000 $ 5,609,925 Transfer of cap due to servicing transfer 08/16/2012 $ 90,000 $ 5,699,925 Transfer of cap due to servicing transfer 09/27/2012 $ (191) $ 5,699,734 Updated due to quarterly assessment and reallocation 10/16/2012 $ 140,000 $ 5,839,734 Transfer of cap due to servicing transfer 11/15/2012 $ 70,000 $ 5,909,734 Transfer of cap due to servicing transfer 12/14/2012 $ 40,000 $ 5,949,734 Transfer of cap due to servicing transfer 12/27/2012 $ (34) $ 5,949,700 Updated due to quarterly assessment and reallocation 01/16/2013 $ 40,000 $ 5,989,700 Transfer of cap due to servicing transfer 02/14/2013 $ 50,000 $ 6,039,700 Transfer of cap due to servicing transfer 03/14/2013 $ 360,000 $ 6,399,700 Transfer of cap due to servicing transfer 03/25/2013 $ (135) $ 6,399,565 Updated due to quarterly assessment and reallocation 04/16/2013 $ (10,000) $ 6,389,565 Transfer of cap due to servicing transfer 05/16/2013 $ 40,000 $ 6,429,565 Transfer of cap due to servicing transfer 06/14/2013 $ 200,000 $ 6,629,565 Transfer of cap due to servicing transfer 06/27/2013 $ (53) $ 6,629,512 Updated due to quarterly assessment and reallocation 07/16/2013 $ 20,000 $ 6,649,512 Transfer of cap due to servicing transfer 09/27/2013 $ (19) $ 6,649,493 Updated due to quarterly assessment and reallocation 10/15/2013 $ 260,000 $ 6,909,493 Transfer of cap due to servicing transfer 11/14/2013 $ 30,000 $ 6,939,493 Transfer of cap due to servicing transfer 12/23/2013 $ (33,755) $ 6,905,738 Updated due to quarterly assessment and reallocation 02/13/2014 $ 110,000 $ 7,015,738 Transfer of cap due to servicing transfer 03/14/2014 $ 640,000 $ 7,655,738 Transfer of cap due to servicing transfer 03/26/2014 $ (1,305) $ 7,654,433 Updated due to quarterly assessment and reallocation 04/16/2014 $ 120,000 $ 7,774,433 Transfer of cap due to servicing transfer 05/15/2014 $ 40,000 $ 7,814,433 Transfer of cap due to servicing transfer 06/16/2014 $ 110,000 $ 7,924,433 Transfer of cap due to servicing transfer 06/26/2014 $ (15,838) $ 7,908,595 Updated due to quarterly assessment and reallocation 07/16/2014 $ 440,000 $ 8,348,595 Transfer of cap due to servicing transfer 07/29/2014 $ (33,291) $ 8,315,304 Updated due to quarterly assessment and reallocation 08/14/2014 $ 1,110,000 $ 9,425,304 Transfer of cap due to servicing transfer 09/16/2014 $ 40,000 $ 9,465,304 Transfer of cap due to servicing transfer 09/29/2014 $ (12,454) $ 01/22/2010 $ 140,000 $ 03/26/2010 $ 6,300,000 $ 9,452,850 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 3,080,000 initial cap 9,380,000 Updated portfolio data from servicer 07/14/2010 $ (1,980,000) $ 7,400,000 Updated portfolio data from servicer 09/30/2010 $ (6,384,611) $ 1,015,389 Updated portfolio data from servicer 01/06/2011 $ (1) $ 1,015,388 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,015,386 Updated due to quarterly assessment and reallocation 06/29/2011 $ (16) $ 1,015,370 Updated due to quarterly assessment and reallocation 06/28/2012 $ (12) $ 1,015,358 Updated due to quarterly assessment and reallocation 09/27/2012 $ (32) $ 1,015,326 Updated due to quarterly assessment and reallocation 12/27/2012 $ (5) $ 1,015,321 Updated due to quarterly assessment and reallocation 03/25/2013 $ (21) $ 1,015,300 Updated due to quarterly assessment and reallocation 06/27/2013 $ (8) $ 1,015,292 Updated due to quarterly assessment and reallocation 09/27/2013 $ (3) $ 1,015,289 Updated due to quarterly assessment and reallocation 12/23/2013 $ (4,716) $ 1,010,573 Updated due to quarterly assessment and reallocation 03/26/2014 $ (165) $ 1,010,408 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,944) $ 1,008,464 Updated due to quarterly assessment and reallocation 07/29/2014 $ (3,862) $ 1,004,602 Updated due to quarterly assessment and reallocation 09/29/2014 $ (1,276) $ 09/30/2009 $ (1,530,000) $ 12/30/2009 $ 680,000 $ 03/26/2010 $ 2,460,000 $ 1,003,326 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 4,930,000 initial capportfolio data from servicer/additional program Updated 5,610,000 initial cap 8,070,000 Updated portfolio data from servicer 07/14/2010 $ (2,470,000) $ 5,600,000 Updated portfolio data from servicer 09/30/2010 $ 2,523,114 $ 8,123,114 Updated portfolio data from servicer 01/06/2011 $ (2) $ 8,123,112 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 8,123,110 Updated due to quarterly assessment and reallocation 06/29/2011 $ (15) $ 8,123,095 Updated due to quarterly assessment and reallocation 06/28/2012 $ (3) $ 8,123,092 Updated due to quarterly assessment and reallocation 09/27/2012 $ (5) $ 8,123,087 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 8,123,086 Updated due to quarterly assessment and reallocation 03/25/2013 $ (5) $ 8,123,081 Updated due to quarterly assessment and reallocation 06/27/2013 $ (1) $ 8,123,080 Updated due to quarterly assessment and reallocation 12/23/2013 $ (474) $ 8,122,606 Updated due to quarterly assessment and reallocation 03/26/2014 $ (18) $ 8,122,588 Updated due to quarterly assessment and reallocation 06/26/2014 $ (35) $ 8,122,553 Updated due to quarterly assessment and reallocation 07/29/2014 $ 1,722 $ 8,124,275 Updated due to quarterly assessment and reallocation 09/29/2014 $ 33,199 $ 8,157,474 Updated due to quarterly assessment and reallocation 83 05/15/2014 First Citizens Bank & Trust Company Hendersonville NC Purchase Financial Instrument for Home Loan Modifications 09/30/2010 First Federal Bank of Florida Lake City FL Purchase Financial Instrument for Home Loan Modifications First Federal Savings and Loan 12/16/2009 First Federal Savings and Loan Association of Lakewood Lakewood OH Purchase Financial Instrument for Home Loan Modifications $ 3,460,000 N/A 08/27/2010 First Financial Bank, N.A. Terre Haute ID Purchase Financial Instrument for Home Loan Modifications $ 4,300,000 N/A 11/25/2009 First Keystone Bank Media WA PA Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 06/16/2014 First Mortgage Company, LLC Oklahoma City OK Purchase Financial Instrument for Home Loan Modifications 09/30/2010 First Mortgage Corporation Diamond Bar CA Purchase Financial Instrument for Home Loan Modifications 01/13/2010 09/30/2010 09/30/2010 02/13/2014 First National Bank of Grant Park First Safety Bank Flagstar Capital Markets Corporation Florida Community Bank, NA Grant Park Cincinnati Troy Weston IL OH MI FL Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 770,000 N/A 1,280,000 N/A - N/A $ $ $ $ 3 100,000 N/A 06/19/2009 Port Angeles Purchase - N/A $ $ 10,000 $ 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 10,000 Transfer of cap due to servicing transfer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 09/29/2014 $ (63) $ 12/30/2009 $ 2,020,000 $ $ 144,524 Updated due to quarterly assessment and reallocation 144,461 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap 14,160,000 Updated portfolio data from servicer 2,790,000 03/26/2010 $ 11,370,000 05/26/2010 $ (14,160,000) 01/22/2010 $ 160,000 04/21/2010 $ (3,620,000) 09/30/2010 $ 7,014,337 $ 11,314,337 Updated portfolio data from servicer 01/06/2011 $ (17) $ 11,314,320 Updated due to quarterly assessment and reallocation 03/30/2011 $ (20) $ 11,314,300 Updated due to quarterly assessment and reallocation 06/29/2011 $ (192) $ 11,314,108 Updated due to quarterly assessment and reallocation 06/28/2012 $ (144) $ 11,313,964 Updated due to quarterly assessment and reallocation 09/27/2012 $ (396) $ 11,313,568 Updated due to quarterly assessment and reallocation 12/27/2012 $ (67) $ 11,313,501 Updated due to quarterly assessment and reallocation 03/25/2013 $ (253) $ 11,313,248 Updated due to quarterly assessment and reallocation 06/27/2013 $ (95) $ 11,313,153 Updated due to quarterly assessment and reallocation 09/27/2013 $ (34) $ 11,313,119 Updated due to quarterly assessment and reallocation 12/23/2013 $ (57,776) $ 11,255,343 Updated due to quarterly assessment and reallocation 03/26/2014 $ (2,031) $ 11,253,312 Updated due to quarterly assessment and reallocation 06/26/2014 $ (23,972) $ 11,229,340 Updated due to quarterly assessment and reallocation 07/29/2014 $ (47,613) $ 11,181,727 Updated due to quarterly assessment and reallocation 09/29/2014 $ (15,728) $ 01/22/2010 $ 50,000 $ 03/26/2010 $ 1,020,000 $ 11,165,999 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 1,330,000 initial cap 2,350,000 Updated portfolio data from servicer 07/14/2010 $ (950,000) $ 1,400,000 Updated portfolio data from servicer 09/30/2010 $ 50,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,450,554 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,450,552 Updated due to quarterly assessment and reallocation 06/16/2011 $ (100,000) $ 1,350,552 Transfer of cap due to servicing transfer 1,350,531 Updated due to quarterly assessment and reallocation $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 3,620,000 - Termination of SPA 06/29/2011 $ (21) $ 6 07/22/2011 $ (1,335,614) $ 3 06/16/2014 $ 20,000 $ 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 144,461 Updated due to quarterly assessment and reallocation 03/26/2010 $ 150,000 $ 290,000 Updated portfolio data from servicer 07/14/2010 $ 10,000 $ 300,000 Updated portfolio data from servicer 09/30/2010 $ (9,889) $ 290,111 Updated portfolio data from servicer 01/26/2011 $ (290,111) 09/30/2010 $ 180,222 $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/23/2011 $ (580,221) 09/30/2010 $ 360,445 $ 1,160,445 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,160,443 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,160,441 Updated due to quarterly assessment and reallocation 06/29/2011 $ (18) $ 1,160,423 Updated due to quarterly assessment and reallocation 06/28/2012 $ (14) $ 1,160,409 Updated due to quarterly assessment and reallocation 09/27/2012 $ (37) $ 1,160,372 Updated due to quarterly assessment and reallocation 12/27/2012 $ (6) $ 1,160,366 Updated due to quarterly assessment and reallocation 03/25/2013 $ (24) $ 1,160,342 Updated due to quarterly assessment and reallocation 06/27/2013 $ (9) $ 1,160,333 Updated due to quarterly assessment and reallocation 09/27/2013 $ (3) $ 1,160,330 Updated due to quarterly assessment and reallocation 12/23/2013 $ (5,463) $ 1,154,867 Updated due to quarterly assessment and reallocation 03/26/2014 $ (192) $ 1,154,675 Updated due to quarterly assessment and reallocation 06/26/2014 $ (2,267) $ 1,152,408 Updated due to quarterly assessment and reallocation 07/01/2014 $ (1,152,408) 02/13/2014 $ 150,000 $ 150,000 Transfer of cap due to servicing transfer 03/26/2014 $ (2) $ 149,998 Updated due to quarterly assessment and reallocation 04/16/2014 $ 20,000 $ 169,998 Transfer of cap due to servicing transfer 100,000 N/A 140,000 N/A 400,000 N/A 800,000 N/A - N/A 05/15/2014 3 14,917 Termination of SPA 20,000 Transfer of cap due to servicing transfer - Termination of SPA - Termination of SPA - Termination of SPA 84 09/11/2009 09/30/2010 Franklin Credit Management Corporation Franklin Savings Jersey City Cincinnati NJ OH Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 27,510,000 N/A 1,700,000 N/A 6 01/13/2010 Fresno County Federal Credit Union Fresno CA Purchase Financial Instrument for Home Loan Modifications $ 260,000 N/A 6 09/30/2010 Gateway Mortgage Group, LLC Tulsa OK Purchase Financial Instrument for Home Loan Modifications $ 100,000 N/A 06/26/2014 $ (37) $ 169,961 Updated due to quarterly assessment and reallocation 07/29/2014 $ (73) $ 169,888 Updated due to quarterly assessment and reallocation 09/29/2014 $ (25) $ 10/02/2009 $ 6,010,000 $ 12/30/2009 $ (19,750,000) $ 03/26/2010 $ (4,780,000) $ 07/14/2010 $ (2,390,000) $ 6,600,000 Updated portfolio data from servicer 09/30/2010 $ 2,973,670 $ 9,573,670 Updated portfolio data from servicer 01/06/2011 $ (3) $ 9,573,667 Updated due to quarterly assessment and reallocation 02/16/2011 $ (1,800,000) $ 7,773,667 Transfer of cap due to servicing transfer 03/30/2011 $ (6) $ 7,773,661 Updated due to quarterly assessment and reallocation 06/29/2011 $ (61) $ 7,773,600 Updated due to quarterly assessment and reallocation 10/14/2011 $ (100,000) $ 7,673,600 Transfer of cap due to servicing transfer 06/28/2012 $ (58) $ 7,673,542 Updated due to quarterly assessment and reallocation 09/27/2012 $ (164) $ 7,673,378 Updated due to quarterly assessment and reallocation 12/27/2012 $ (29) $ 7,673,349 Updated due to quarterly assessment and reallocation 03/25/2013 $ (110) $ 7,673,239 Updated due to quarterly assessment and reallocation 06/27/2013 $ (42) $ 7,673,197 Updated due to quarterly assessment and reallocation 09/27/2013 $ (15) $ 7,673,182 Updated due to quarterly assessment and reallocation 12/23/2013 $ (25,724) $ 7,647,458 Updated due to quarterly assessment and reallocation 03/14/2014 $ 40,000 $ 7,687,458 Transfer of cap due to servicing transfer 03/26/2014 $ (913) $ 7,686,545 Updated due to quarterly assessment and reallocation 06/26/2014 $ (10,778) $ 7,675,767 Updated due to quarterly assessment and reallocation 07/29/2014 $ (21,410) $ 7,654,357 Updated due to quarterly assessment and reallocation 09/29/2014 $ (7,073) $ 7,647,284 Updated due to quarterly assessment and reallocation 09/30/2010 $ 765,945 $ 2,465,945 Updated portfolio data from servicer 01/06/2011 $ (4) $ 2,465,941 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 2,465,937 Updated due to quarterly assessment and reallocation 06/29/2011 $ (40) $ 2,465,897 Updated due to quarterly assessment and reallocation 06/28/2012 $ (30) $ 2,465,867 Updated due to quarterly assessment and reallocation 09/27/2012 $ (83) $ 2,465,784 Updated due to quarterly assessment and reallocation 12/27/2012 $ (14) $ 2,465,770 Updated due to quarterly assessment and reallocation 03/25/2013 $ (53) $ 2,465,717 Updated due to quarterly assessment and reallocation 06/14/2013 $ (10,000) $ 2,455,717 Transfer of cap due to servicing transfer 06/27/2013 $ (20) $ 2,455,697 Updated due to quarterly assessment and reallocation 09/27/2013 $ (7) $ 2,455,690 Updated due to quarterly assessment and reallocation 10/24/2013 $ (2,446,075) $ 03/26/2010 $ 480,000 $ 740,000 Updated portfolio data from servicer 07/14/2010 $ (140,000) $ 600,000 Updated portfolio data from servicer 09/30/2010 $ (19,778) $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 06/28/2012 $ (6) $ 580,206 Updated due to quarterly assessment and reallocation 07/06/2012 $ (555,252) $ 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 144,461 Updated due to quarterly assessment and reallocation $ 45,056 $ 145,056 Updated portfolio data from servicer 169,863 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap Updated portfolio data from servicer/additional program 13,770,000 initial cap 8,990,000 Updated portfolio data from servicer 33,520,000 9,615 Termination of SPA 24,954 Termination of SPA 09/30/2010 GFA Federal Credit Union Gardner MA Purchase Financial Instrument for Home Loan Modifications $ 100,000 N/A 09/30/2010 03/23/2011 $ (145,056) 09/23/2009 Glass City Federal Credit Union Maumee OH Purchase Financial Instrument for Home Loan Modifications $ 230,000 N/A 10/02/2009 $ 60,000 $ 290,000 12/30/2009 $ (10,000) $ 280,000 03/26/2010 $ 130,000 $ initial cap 410,000 Updated portfolio data from servicer 07/14/2010 $ (110,000) $ 300,000 Updated portfolio data from servicer 09/30/2010 $ (9,889) $ 290,111 Updated portfolio data from servicer 06/29/2011 $ (3) $ 290,108 Updated due to quarterly assessment and reallocation 06/28/2012 $ (2) $ 290,106 Updated due to quarterly assessment and reallocation 09/27/2012 $ (7) $ 290,099 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 290,098 Updated due to quarterly assessment and reallocation 03/25/2013 $ (4) $ 290,094 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 290,092 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 290,091 Updated due to quarterly assessment and reallocation 12/23/2013 $ (979) $ 289,112 Updated due to quarterly assessment and reallocation 03/26/2014 $ (34) $ 289,078 Updated due to quarterly assessment and reallocation 06/26/2014 $ (406) $ 288,672 Updated due to quarterly assessment and reallocation 07/29/2014 $ (807) $ 287,865 Updated due to quarterly assessment and reallocation 09/29/2014 $ (267) $ 01/22/2010 $ 20,000 $ 03/26/2010 $ 1,250,000 $ 287,598 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 390,000 initial cap 1,640,000 Updated portfolio data from servicer 12/11/2009 Glenview State Bank Glenview IL Purchase Financial Instrument for Home Loan Modifications $ 370,000 N/A - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 85 04/13/2009 12/16/2009 12/23/2009 10/14/2009 GMAC Mortgage, Inc. Golden Plains Credit Union Grafton Suburban Credit Union Great Lakes Credit Union Ft. Washington Garden City North Grafton North Chicago PA KS MA IL Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ $ 633,000,000 N/A 170,000 N/A 340,000 N/A 570,000 N/A 05/26/2010 $ 06/12/2009 $ 384,650,000 $ 09/30/2009 $ 2,537,240,000 (1,640,000) $ 12/30/2009 $ (1,679,520,000) $ 03/26/2010 $ 190,180,000 $ 1,017,650,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 3,554,890,000 initial capportfolio data from servicer/additional program Updated 1,875,370,000 initial cap 2,065,550,000 Updated portfolio data from servicer - Termination of SPA 05/14/2010 $ 1,880,000 $ 2,067,430,000 Transfer of cap due to servicing transfer 07/14/2010 $ (881,530,000) $ 1,185,900,000 Updated portfolio data from servicer 08/13/2010 $ (3,700,000) $ 09/30/2010 $ 119,200,000 $ 09/30/2010 $ 216,998,139 $ 1,182,200,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 1,301,400,000 initial cap 1,518,398,139 Updated portfolio data from servicer 12/15/2010 $ (500,000) $ 1,517,898,139 Transfer of cap due to servicing transfer 01/06/2011 $ (1,734) $ 1,517,896,405 Updated due to quarterly assessment and reallocation 03/16/2011 $ (100,000) $ 1,517,796,405 Transfer of cap due to servicing transfer 03/30/2011 $ (2,024) $ 1,517,794,381 Updated due to quarterly assessment and reallocation 04/13/2011 $ (800,000) $ 1,516,994,381 Transfer of cap due to servicing transfer 05/13/2011 $ (17,900,000) $ 1,499,094,381 Transfer of cap due to servicing transfer 06/29/2011 $ (18,457) $ 1,499,075,924 Updated due to quarterly assessment and reallocation 07/14/2011 $ (200,000) $ 1,498,875,924 Transfer of cap due to servicing transfer 08/16/2011 $ 3,400,000 $ 1,502,275,924 Transfer of cap due to servicing transfer 09/15/2011 $ 200,000 $ 1,502,475,924 Transfer of cap due to servicing transfer 10/14/2011 $ (800,000) $ 1,501,675,924 Transfer of cap due to servicing transfer 11/16/2011 $ (200,000) $ 1,501,475,924 Transfer of cap due to servicing transfer 12/15/2011 $ 2,600,000 $ 1,504,075,924 Transfer of cap due to servicing transfer 01/13/2012 $ (1,600,000) $ 1,502,475,924 Transfer of cap due to servicing transfer 03/15/2012 $ (400,000) $ 1,502,075,924 Transfer of cap due to servicing transfer 04/16/2012 $ (100,000) $ 1,501,975,924 Transfer of cap due to servicing transfer 05/16/2012 $ (800,000) $ 1,501,175,924 Transfer of cap due to servicing transfer 06/14/2012 $ (990,000) $ 1,500,185,924 Transfer of cap due to servicing transfer 06/28/2012 $ (12,463) $ 1,500,173,461 Updated due to quarterly assessment and reallocation 08/16/2012 $ 10,000 $ 1,500,183,461 Transfer of cap due to servicing transfer 09/27/2012 $ (33,210) $ 1,500,150,251 Updated due to quarterly assessment and reallocation 11/15/2012 $ (1,200,000) $ 1,498,950,251 Transfer of cap due to servicing transfer 12/14/2012 $ 40,000 $ 1,498,990,251 Transfer of cap due to servicing transfer 12/27/2012 $ (5,432) $ 1,498,984,819 Updated due to quarterly assessment and reallocation 01/16/2013 $ 60,000 $ 1,499,044,819 Transfer of cap due to servicing transfer 02/14/2013 $ (30,000) $ 1,499,014,819 Transfer of cap due to servicing transfer 03/14/2013 $ (80,000) $ 1,498,934,819 Transfer of cap due to servicing transfer 03/25/2013 $ (19,838) $ 1,498,914,981 Updated due to quarterly assessment and reallocation 06/14/2013 $ 30,000 $ 1,498,944,981 Transfer of cap due to servicing transfer 06/27/2013 $ (7,105) $ 1,498,937,876 Updated due to quarterly assessment and reallocation 09/16/2013 $ (66,500,000) $ 1,432,437,876 Transfer of cap due to servicing transfer 09/27/2013 $ (2,430) $ 1,432,435,446 Updated due to quarterly assessment and reallocation 10/15/2013 $ (197,220,000) $ 1,235,215,446 Transfer of cap due to servicing transfer 11/14/2013 $ (30,000) $ 1,235,185,446 Transfer of cap due to servicing transfer 12/16/2013 $ (2,230,000) $ 1,232,955,446 Transfer of cap due to servicing transfer 12/23/2013 $ (3,902,818) $ 1,229,052,628 Updated due to quarterly assessment and reallocation 01/16/2014 $ (9,350,000) $ 1,219,702,628 Transfer of cap due to servicing transfer 02/13/2014 $ (36,560,000) $ 1,183,142,628 Transfer of cap due to servicing transfer 03/14/2014 $ (17,170,000) $ 1,165,972,628 Transfer of cap due to servicing transfer 03/26/2014 $ (136,207) $ 1,165,836,421 Updated due to quarterly assessment and reallocation 04/16/2014 $ (20,570,000) $ 1,145,266,421 Transfer of cap due to servicing transfer 05/15/2014 $ (260,000) $ 1,145,006,421 Transfer of cap due to servicing transfer 06/16/2014 $ (400,000) $ 1,144,606,421 Transfer of cap due to servicing transfer 06/26/2014 $ (1,585,532) $ 1,143,020,889 Updated due to quarterly assessment and reallocation 07/16/2014 $ (70,000) $ 1,142,950,889 Transfer of cap due to servicing transfer 07/29/2014 $ (3,099,444) $ 1,139,851,445 Updated due to quarterly assessment and reallocation 08/14/2014 $ (7,900,000) $ 1,131,951,445 Transfer of cap due to servicing transfer 09/16/2014 $ (2,480,000) $ 1,129,471,445 Transfer of cap due to servicing transfer 1,128,449,437 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 180,000 initial cap 210,000 Updated portfolio data from servicer 09/29/2014 $ (1,022,008) $ 01/22/2010 $ 10,000 $ 03/26/2010 $ 30,000 $ 07/14/2010 $ (10,000) $ 09/30/2010 $ 90,111 $ 290,111 Updated portfolio data from servicer 02/17/2011 $ (290,111) 01/22/2010 $ 20,000 $ 360,000 03/26/2010 $ (320,000) $ 07/14/2010 $ 760,000 $ 800,000 Updated portfolio data from servicer 09/30/2010 $ (74,722) $ 725,278 Updated portfolio data from servicer 01/06/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 725,276 Updated due to quarterly assessment and reallocation 06/29/2011 $ (11) $ 01/25/2012 $ (725,265) 12/30/2009 $ 1,030,000 $ 03/26/2010 $ (880,000) $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 720,000 Updated portfolio data from servicer 07/14/2010 $ (320,000) $ 400,000 Updated portfolio data from servicer 09/30/2010 $ 180,222 $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 200,000 Updated portfolio data from servicer - Termination of SPA Updated portfolio data from servicer/additional program initial cap 40,000 Updated portfolio data from servicer 725,265 Updated due to quarterly assessment and reallocation 1,600,000 86 01/13/2010 04/24/2009 Greater Nevada Mortgage Services Green Tree Servicing LLC Carson City Saint Paul NV MN Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 770,000 N/A 156,000,000 N/A 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 06/28/2012 $ (6) $ 580,206 Updated due to quarterly assessment and reallocation 09/27/2012 $ (17) $ 580,189 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 580,186 Updated due to quarterly assessment and reallocation 03/25/2013 $ (11) $ 580,175 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4) $ 580,171 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 580,170 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,438) $ 577,732 Updated due to quarterly assessment and reallocation 03/26/2014 $ (86) $ 577,646 Updated due to quarterly assessment and reallocation 06/26/2014 $ (925) $ 576,721 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,789) $ 09/29/2014 $ (607) $ 03/26/2010 $ 8,680,000 $ 9,450,000 Updated portfolio data from servicer 07/14/2010 $ (8,750,000) $ 700,000 Updated portfolio data from servicer 09/30/2010 $ 170,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 870,324 Updated due to quarterly assessment and reallocation 06/28/2012 $ (4) $ 870,320 Updated due to quarterly assessment and reallocation 09/27/2012 $ (10) $ 870,310 Updated due to quarterly assessment and reallocation 12/27/2012 $ (2) $ 870,308 Updated due to quarterly assessment and reallocation 03/25/2013 $ (7) $ 870,301 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 870,299 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 870,298 Updated due to quarterly assessment and reallocation 12/23/2013 $ (1,504) $ 868,794 Updated due to quarterly assessment and reallocation 03/26/2014 $ (43) $ 868,751 Updated due to quarterly assessment and reallocation 06/26/2014 $ (491) $ 868,260 Updated due to quarterly assessment and reallocation 07/29/2014 $ (975) $ 867,285 Updated due to quarterly assessment and reallocation 09/29/2014 $ (322) $ 06/17/2009 $ (64,990,000) $ 09/30/2009 $ 130,780,000 $ 12/30/2009 $ (116,750,000) $ 03/26/2010 $ 13,080,000 $ 07/14/2010 $ (24,220,000) $ 07/16/2010 $ 210,000 $ 08/13/2010 $ 2,200,000 $ 09/10/2010 $ 34,600,000 $ 09/30/2010 $ 5,600,000 $ 09/30/2010 $ 10,185,090 $ 96,310,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 136,510,000 initial cap 146,695,090 Updated portfolio data from servicer 10/15/2010 $ 400,000 $ 147,095,090 Transfer of cap due to servicing transfer 01/06/2011 $ (213) $ 147,094,877 Updated due to quarterly assessment and reallocation 03/30/2011 $ (250) $ 147,094,627 Updated due to quarterly assessment and reallocation 05/13/2011 $ 1,200,000 $ 148,294,627 Transfer of cap due to servicing transfer 06/16/2011 $ 100,000 $ 148,394,627 Transfer of cap due to servicing transfer 06/29/2011 $ (2,302) $ 148,392,325 Updated due to quarterly assessment and reallocation 07/14/2011 $ 1,900,000 $ 150,292,325 Transfer of cap due to servicing transfer 09/15/2011 $ 200,000 $ 150,492,325 Transfer of cap due to servicing transfer 10/14/2011 $ 200,000 $ 150,692,325 Transfer of cap due to servicing transfer 11/16/2011 $ 400,000 $ 151,092,325 Transfer of cap due to servicing transfer 02/16/2012 $ 900,000 $ 151,992,325 Transfer of cap due to servicing transfer 03/15/2012 $ 100,000 $ 152,092,325 Transfer of cap due to servicing transfer 05/16/2012 $ 3,260,000 $ 155,352,325 Transfer of cap due to servicing transfer 06/14/2012 $ 920,000 $ 156,272,325 Transfer of cap due to servicing transfer 06/28/2012 $ (1,622) $ 156,270,703 Updated due to quarterly assessment and reallocation 07/16/2012 $ 110,000 $ 156,380,703 Transfer of cap due to servicing transfer 08/16/2012 $ 5,120,000 $ 161,500,703 Transfer of cap due to servicing transfer 09/27/2012 $ (4,509) $ 161,496,194 Updated due to quarterly assessment and reallocation 10/16/2012 $ 8,810,000 $ 170,306,194 Transfer of cap due to servicing transfer 11/15/2012 $ 2,910,000 $ 173,216,194 Transfer of cap due to servicing transfer 12/27/2012 $ (802) $ 173,215,392 Updated due to quarterly assessment and reallocation 02/14/2013 $ 10,210,000 $ 183,425,392 Transfer of cap due to servicing transfer 03/25/2013 $ (3,023) $ 183,422,369 Updated due to quarterly assessment and reallocation 05/16/2013 $ 140,000 $ 183,562,369 Transfer of cap due to servicing transfer 06/27/2013 $ (1,077) $ 183,561,292 Updated due to quarterly assessment and reallocation 07/16/2013 $ 7,210,000 $ 190,771,292 Transfer of cap due to servicing transfer 08/15/2013 $ 6,730,000 $ 197,501,292 Transfer of cap due to servicing transfer 09/27/2013 $ (388) $ 197,500,904 Updated due to quarterly assessment and reallocation 10/15/2013 $ 3,610,000 $ 201,110,904 Transfer of cap due to servicing transfer 11/14/2013 $ (320,000) $ 200,790,904 Transfer of cap due to servicing transfer 12/16/2013 $ 21,280,000 $ 222,070,904 Transfer of cap due to servicing transfer 12/23/2013 $ (710,351) $ 221,360,553 Updated due to quarterly assessment and reallocation 02/13/2014 $ 1,700,000 $ 223,060,553 Transfer of cap due to servicing transfer 03/26/2014 $ (22,400) $ 223,038,153 Updated due to quarterly assessment and reallocation 04/16/2014 $ 2,280,000 $ 225,318,153 Transfer of cap due to servicing transfer 05/15/2014 $ 12,810,000 $ 238,128,153 Transfer of cap due to servicing transfer 06/16/2014 $ (2,000,000) $ 236,128,153 Transfer of cap due to servicing transfer 574,932 Updated due to quarterly assessment and reallocation 574,325 Updated due to quarterly assessment and reallocation 866,963 Updated due to quarterly assessment and reallocation 91,010,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 221,790,000 initial capportfolio data from servicer/additional program Updated 105,040,000 initial cap 118,120,000 Updated portfolio data from servicer 93,900,000 Updated portfolio data from servicer 94,110,000 Transfer of cap due to servicing transfer 130,910,000 87 07/14/2011 09/30/2010 Gregory Funding, LLC Guaranty Bank Beaverton Saint Paul OR MN Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ 3 100,000 N/A 06/26/2014 $ (262,535) $ 235,865,618 Updated due to quarterly assessment and reallocation 07/16/2014 $ 130,000 $ 235,995,618 Transfer of cap due to servicing transfer 07/29/2014 $ (499,786) $ 235,495,832 Updated due to quarterly assessment and reallocation 08/14/2014 $ (1,940,000) $ 233,555,832 Transfer of cap due to servicing transfer 09/16/2014 $ 380,000 $ 233,935,832 Transfer of cap due to servicing transfer 09/29/2014 $ (150,666) $ 233,785,166 Updated due to quarterly assessment and reallocation 07/14/2011 $ 200,000 $ 200,000 Transfer of cap due to servicing transfer 11/16/2011 $ 900,000 $ 1,100,000 Transfer of cap due to servicing transfer 01/13/2012 $ 100,000 $ 1,200,000 Transfer of cap due to servicing transfer 06/28/2012 $ (9) $ 1,199,991 Updated due to quarterly assessment and reallocation 08/16/2012 $ 20,000 $ 1,219,991 Transfer of cap due to servicing transfer 09/27/2012 $ (26) $ 1,219,965 Updated due to quarterly assessment and reallocation 10/16/2012 $ 50,000 $ 1,269,965 Transfer of cap due to servicing transfer 12/14/2012 $ 10,000 $ 1,279,965 Transfer of cap due to servicing transfer 12/27/2012 $ (5) $ 1,279,960 Updated due to quarterly assessment and reallocation 01/16/2013 $ 130,000 $ 1,409,960 Transfer of cap due to servicing transfer 02/14/2013 $ 120,000 $ 1,529,960 Transfer of cap due to servicing transfer 03/25/2013 $ (20) $ 1,529,940 Updated due to quarterly assessment and reallocation 05/16/2013 $ 80,000 $ 1,609,940 Transfer of cap due to servicing transfer 06/14/2013 $ 420,000 $ 2,029,940 Transfer of cap due to servicing transfer 06/27/2013 $ (10) $ 2,029,930 Updated due to quarterly assessment and reallocation 09/27/2013 $ (4) $ 2,029,926 Updated due to quarterly assessment and reallocation 11/14/2013 $ 120,000 $ 2,149,926 Transfer of cap due to servicing transfer 12/23/2013 $ (7,685) $ 2,142,241 Updated due to quarterly assessment and reallocation 03/14/2014 $ 10,000 $ 2,152,241 Transfer of cap due to servicing transfer 03/26/2014 $ (274) $ 2,151,967 Updated due to quarterly assessment and reallocation 04/16/2014 $ 240,000 $ 2,391,967 Transfer of cap due to servicing transfer 06/16/2014 $ 30,000 $ 2,421,967 Transfer of cap due to servicing transfer 06/26/2014 $ (3,396) $ 2,418,571 Updated due to quarterly assessment and reallocation 07/29/2014 $ (6,541) $ 2,412,030 Updated due to quarterly assessment and reallocation 08/14/2014 $ 90,000 $ 2,502,030 Transfer of cap due to servicing transfer 09/16/2014 $ 30,000 $ 2,532,030 Transfer of cap due to servicing transfer 09/29/2014 $ (2,150) $ 2,529,880 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 144,461 Updated due to quarterly assessment and reallocation 10/28/2009 Harleysville National Bank & Trust Company Harleysville PA Purchase Financial Instrument for Home Loan Modifications $ 1,070,000 N/A 04/21/2010 $ (1,070,000) 12/11/2009 Hartford Savings Bank Hartford WI Purchase Financial Instrument for Home Loan Modifications $ 630,000 N/A 01/22/2010 $ 30,000 $ 03/26/2010 $ 800,000 $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 1,460,000 Updated portfolio data from servicer 07/14/2010 $ (360,000) $ 1,100,000 Updated portfolio data from servicer 09/30/2010 $ 60,445 $ 1,160,445 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,160,443 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,160,441 Updated due to quarterly assessment and reallocation 06/29/2011 $ (18) $ 1,160,423 Updated due to quarterly assessment and reallocation 06/28/2012 $ (14) $ 1,160,409 Updated due to quarterly assessment and reallocation 09/27/2012 $ (37) $ 1,160,372 Updated due to quarterly assessment and reallocation 12/27/2012 $ (6) $ 1,160,366 Updated due to quarterly assessment and reallocation 03/25/2013 $ (24) $ 1,160,342 Updated due to quarterly assessment and reallocation 06/27/2013 $ (9) $ 1,160,333 Updated due to quarterly assessment and reallocation 09/27/2013 $ (3) $ 1,160,330 Updated due to quarterly assessment and reallocation 12/23/2013 $ (5,463) $ 1,154,867 Updated due to quarterly assessment and reallocation 03/26/2014 $ (192) $ 1,154,675 Updated due to quarterly assessment and reallocation 06/26/2014 $ (2,267) $ 1,152,408 Updated due to quarterly assessment and reallocation 07/29/2014 $ (4,502) $ 1,147,906 Updated due to quarterly assessment and reallocation 09/29/2014 $ (1,487) $ 1,146,419 Updated due to quarterly assessment and reallocation 05/15/2014 $ 90,000 $ 06/26/2014 $ 20,556 $ 09/29/2014 $ (1) $ 01/22/2010 $ 80,000 $ 03/26/2010 $ 330,000 $ 110,555 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap 2,080,000 Updated portfolio data from servicer 07/14/2010 $ (1,080,000) $ 1,000,000 Updated portfolio data from servicer 09/30/2010 $ 160,445 $ 1,160,445 Updated portfolio data from servicer 01/06/2011 $ (1) $ 1,160,444 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,160,442 Updated due to quarterly assessment and reallocation 06/29/2011 $ (16) $ 1,160,426 Updated due to quarterly assessment and reallocation 06/28/2012 $ (12) $ 1,160,414 Updated due to quarterly assessment and reallocation 09/27/2012 $ (33) $ 1,160,381 Updated due to quarterly assessment and reallocation 12/27/2012 $ (6) $ 1,160,375 Updated due to quarterly assessment and reallocation 03/25/2013 $ (21) $ 1,160,354 Updated due to quarterly assessment and reallocation 05/15/2014 11/18/2009 Heartland Bank & Trust Company Hillsdale County National Bank Bloomington Hillsdale IL MI Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ 1,670,000 N/A 3 660,000 90,000 Transfer of cap due to servicing transfer 110,556 Updated due to quarterly assessment and reallocation 1,750,000 88 11/25/2009 Home Financing Center, Inc Coral Gables FL Purchase Financial Instrument for Home Loan Modifications $ 230,000 N/A 04/20/2009 Home Loan Services, Inc. Pittsburgh PA Purchase Financial Instrument for Home Loan Modifications $ 319,000,000 N/A 02/14/2013 08/05/2009 Home Servicing, LLC HomEq Servicing Baton Rouge North Highlands LA CA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ HomeStar Bank & Financial Services Manteno IL Purchase Financial Instrument for Home Loan Modifications $ Homeward Residential, Inc. (American Home Mortgage Servicing, Inc) Coppell TX Purchase Financial Instrument for Home Loan Modifications $ $ 1,160,346 Updated due to quarterly assessment and reallocation (3) $ 1,160,343 Updated due to quarterly assessment and reallocation $ (4,797) $ 1,155,546 Updated due to quarterly assessment and reallocation 03/26/2014 $ (169) $ 1,155,377 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,996) $ 1,153,381 Updated due to quarterly assessment and reallocation 07/29/2014 $ (3,965) $ 1,149,416 Updated due to quarterly assessment and reallocation 09/29/2014 $ (1,311) $ 1,148,105 Updated due to quarterly assessment and reallocation 04/21/2010 $ (230,000) - Termination of SPA $ 128,300,000 $ $ 46,730,000 $ 12/30/2009 $ 145,820,000 $ 03/26/2010 $ (17,440,000) $ 07/14/2010 $ (73,010,000) $ 09/30/2010 $ 6,700,000 $ 09/30/2010 $ (77,126,410) $ 549,400,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 556,100,000 initial cap 478,973,590 Updated portfolio data from servicer 12/15/2010 $ (314,900,000) $ 164,073,590 Transfer of cap due to servicing transfer 01/06/2011 $ (233) $ 164,073,357 Updated due to quarterly assessment and reallocation 02/16/2011 $ (1,900,000) $ 162,173,357 Transfer of cap due to servicing transfer 03/16/2011 $ (400,000) $ 161,773,357 Transfer of cap due to servicing transfer 03/30/2011 $ (278) $ 161,773,079 Updated due to quarterly assessment and reallocation 05/13/2011 $ (400,000) $ 161,373,079 Transfer of cap due to servicing transfer 06/29/2011 $ (2,625) $ 161,370,454 Updated due to quarterly assessment and reallocation 7 10/19/2011 $ (155,061,221) $ 3 02/14/2013 $ 510,000 $ 510,000 Transfer of cap due to servicing transfer 03/25/2013 $ (9) $ 509,991 Updated due to quarterly assessment and reallocation 04/16/2013 $ 200,000 $ 709,991 Transfer of cap due to servicing transfer 05/16/2013 $ 40,000 $ 749,991 Transfer of cap due to servicing transfer 06/27/2013 $ (4) $ 749,987 Updated due to quarterly assessment and reallocation 07/16/2013 $ (120,000) $ 629,987 Transfer of cap due to servicing transfer 09/27/2013 $ (2) $ 629,985 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,620) $ 627,365 Updated due to quarterly assessment and reallocation 03/26/2014 $ (92) $ 627,273 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,088) $ 626,185 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,161) $ 624,024 Updated due to quarterly assessment and reallocation 09/16/2014 $ (290,000) $ 09/29/2014 $ (332) $ 09/30/2009 $ (121,190,000) $ 552,810,000 12/30/2009 $ (36,290,000) $ 516,520,000 03/26/2010 $ 199,320,000 $ initial cap 715,840,000 Updated portfolio data from servicer 07/14/2010 $ (189,040,000) $ 526,800,000 Updated portfolio data from servicer 09/30/2010 $ 38,626,728 $ 565,426,728 Updated portfolio data from servicer 10/15/2010 $ (170,800,000) $ 394,626,728 Transfer of cap due to servicing transfer 12/15/2010 $ (22,200,000) $ 372,426,728 Transfer of cap due to servicing transfer 01/06/2011 $ (549) $ 372,426,179 Updated due to quarterly assessment and reallocation 02/16/2011 $ (900,000) $ 371,526,179 Transfer of cap due to servicing transfer 03/30/2011 $ (653) $ 371,525,526 Updated due to quarterly assessment and reallocation 06/29/2011 $ (6,168) $ 371,519,358 Updated due to quarterly assessment and reallocation 06/28/2012 $ (4,634) $ 371,514,724 Updated due to quarterly assessment and reallocation 08/16/2012 $ (430,000) $ 371,084,724 Transfer of cap due to servicing transfer 09/27/2012 $ (12,728) $ 371,071,996 Updated due to quarterly assessment and reallocation 12/14/2012 $ (20,000) $ 371,051,996 Transfer of cap due to servicing transfer 12/27/2012 $ (2,148) $ 371,049,848 Updated due to quarterly assessment and reallocation 03/25/2013 $ (8,137) $ 371,041,711 Updated due to quarterly assessment and reallocation 06/27/2013 $ (3,071) $ 371,038,640 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1,101) $ 371,037,539 Updated due to quarterly assessment and reallocation 11/14/2013 $ (10,000) $ 371,027,539 Transfer of cap due to servicing transfer 12/23/2013 $ (1,858,220) $ 369,169,319 Updated due to quarterly assessment and reallocation 02/27/2014 $ (360,860,500) $ 01/22/2010 $ 20,000 $ 03/26/2010 $ 820,000 $ 1,150,000 Updated portfolio data from servicer 07/14/2010 $ (350,000) $ 800,000 Updated portfolio data from servicer 09/30/2010 $ 70,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (13) $ 870,319 Updated due to quarterly assessment and reallocation 06/28/2012 $ (10) $ 870,309 Updated due to quarterly assessment and reallocation 07/06/2012 $ (856,986) $ 09/30/2009 $ (53,670,000) $ 1,218,820,000 12/30/2009 $ 250,450,000 $ 1,469,270,000 03/26/2010 $ 124,820,000 $ Updated portfolio data from servicer/additional program initial cap 1,594,090,000 Updated portfolio data from servicer 07/14/2010 $ (289,990,000) $ 1,304,100,000 Updated portfolio data from servicer 09/30/2010 $ 1,690,508 $ 1,305,790,508 Updated portfolio data from servicer 10/15/2010 $ 300,000 $ 1,306,090,508 Transfer of cap due to servicing transfer 11/16/2010 $ (100,000) $ 1,305,990,508 Transfer of cap due to servicing transfer 01/06/2011 $ (1,173) $ 1,305,989,335 Updated due to quarterly assessment and reallocation 674,000,000 N/A 310,000 N/A 1,272,490,000 N/A (8) $ 12/23/2013 06/12/2009 6 07/22/2009 $ 09/27/2013 09/30/2009 13 12/11/2009 06/27/2013 447,300,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 494,030,000 initial capportfolio data from servicer/additional program Updated 639,850,000 initial cap 622,410,000 Updated portfolio data from servicer 6,309,233 Termination of SPA 334,024 Transfer of cap due to servicing transfer 333,692 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 8,308,819 Termination of SPA Updated portfolio data from servicer/additional program 330,000 initial cap 13,323 Termination of SPA Updated portfolio data from servicer/additional program initial cap 89 14 09/02/2009 12/16/2009 12/23/2009 Horicon Bank Horizon Bank, NA Iberiabank Horicon Michigan City Sarasota WI IN FL Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ 560,000 N/A 700,000 N/A 4,230,000 N/A 6 07/10/2009 IBM Southeast Employees' Federal Credit Union Delray Beach FL Purchase Financial Instrument for Home Loan Modifications $ 870,000 N/A 6 02/16/2011 $ (500,000) $ 1,305,489,335 Transfer of cap due to servicing transfer 03/30/2011 $ (1,400) $ 1,305,487,935 Updated due to quarterly assessment and reallocation 04/13/2011 $ 3,100,000 $ 1,308,587,935 Transfer of cap due to servicing transfer 06/29/2011 $ (12,883) $ 1,308,575,052 Updated due to quarterly assessment and reallocation 09/15/2011 $ (1,000,000) $ 1,307,575,052 Transfer of cap due to servicing transfer 10/14/2011 $ (100,000) $ 1,307,475,052 Transfer of cap due to servicing transfer 11/16/2011 $ (1,100,000) $ 1,306,375,052 Transfer of cap due to servicing transfer 05/16/2012 $ (10,000) $ 1,306,365,052 Transfer of cap due to servicing transfer 06/28/2012 $ (8,378) $ 1,306,356,674 Updated due to quarterly assessment and reallocation 07/16/2012 $ (470,000) $ 1,305,886,674 Transfer of cap due to servicing transfer 08/16/2012 $ (80,000) $ 1,305,806,674 Transfer of cap due to servicing transfer 09/27/2012 $ (22,494) $ 1,305,784,180 Updated due to quarterly assessment and reallocation 10/16/2012 $ (260,000) $ 1,305,524,180 Transfer of cap due to servicing transfer 11/15/2012 $ (30,000) $ 1,305,494,180 Transfer of cap due to servicing transfer 12/14/2012 $ (50,000) $ 1,305,444,180 Transfer of cap due to servicing transfer 12/27/2012 $ (3,676) $ 1,305,440,504 Updated due to quarterly assessment and reallocation 01/16/2013 $ (80,000) $ 1,305,360,504 Transfer of cap due to servicing transfer 02/14/2013 $ 20,000 $ 1,305,380,504 Transfer of cap due to servicing transfer 03/14/2013 $ (84,160,000) $ 1,221,220,504 Transfer of cap due to servicing transfer 03/25/2013 $ (12,821) $ 1,221,207,683 Updated due to quarterly assessment and reallocation 04/16/2013 $ (621,110,000) $ 600,097,683 Transfer of cap due to servicing transfer 05/16/2013 $ (19,120,000) $ 580,977,683 Transfer of cap due to servicing transfer 06/27/2013 $ (1,947) $ 580,975,736 Updated due to quarterly assessment and reallocation 07/16/2013 $ (14,870,000) $ 566,105,736 Transfer of cap due to servicing transfer 09/27/2013 $ (655) $ 566,105,081 Updated due to quarterly assessment and reallocation 12/16/2013 $ 20,000 $ 566,125,081 Transfer of cap due to servicing transfer 12/23/2013 $ (1,110,189) $ 565,014,892 Updated due to quarterly assessment and reallocation 03/26/2014 $ (39,031) $ 04/16/2014 $ (10,000) $ 564,965,861 Transfer of cap due to servicing transfer 05/28/2014 $ (284,475,088) $ 10/02/2009 $ 130,000 $ 12/30/2009 $ 1,040,000 $ 03/26/2010 $ (1,680,000) $ 280,490,773 Termination of SPA Updated portfolio data from servicer/additional program 690,000 initial capportfolio data from servicer/additional program Updated 1,730,000 initial cap 50,000 Updated portfolio data from servicer 05/12/2010 $ 1,260,000 $ 07/14/2010 $ (1,110,000) $ 09/30/2010 $ 100,000 $ 09/30/2010 $ (9,889) $ 200,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 300,000 initial cap 290,111 Updated portfolio data from servicer 06/29/2011 $ (3) $ 290,108 Updated due to quarterly assessment and reallocation 06/28/2012 $ (2) $ 290,106 Updated due to quarterly assessment and reallocation 09/27/2012 $ (7) $ 290,099 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 290,098 Updated due to quarterly assessment and reallocation 03/25/2013 $ (4) $ 290,094 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 290,092 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 290,091 Updated due to quarterly assessment and reallocation 12/23/2013 $ (979) $ 289,112 Updated due to quarterly assessment and reallocation 03/26/2014 $ (34) $ 289,078 Updated due to quarterly assessment and reallocation 06/26/2014 $ (406) $ 288,672 Updated due to quarterly assessment and reallocation 07/29/2014 $ (807) $ 287,865 Updated due to quarterly assessment and reallocation 09/29/2014 $ (267) $ 01/22/2010 $ 30,000 $ 03/26/2010 $ 1,740,000 $ 287,598 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 730,000 initial cap 2,470,000 Updated portfolio data from servicer 07/14/2010 $ (1,870,000) $ 600,000 Updated portfolio data from servicer 09/30/2010 $ 850,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,450,554 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,450,552 Updated due to quarterly assessment and reallocation 06/29/2011 $ (23) $ 1,450,529 Updated due to quarterly assessment and reallocation 06/28/2012 $ (17) $ 1,450,512 Updated due to quarterly assessment and reallocation 09/21/2012 $ (1,450,512) 01/22/2010 $ 200,000 $ 4,430,000 03/26/2010 $ (1,470,000) $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 2,960,000 Updated portfolio data from servicer 07/14/2010 $ (1,560,000) $ 1,400,000 Updated portfolio data from servicer 09/30/2010 $ 5,852,780 $ 7,252,780 Updated portfolio data from servicer 01/06/2011 $ (11) $ 7,252,769 Updated due to quarterly assessment and reallocation 03/30/2011 $ (13) $ 7,252,756 Updated due to quarterly assessment and reallocation 04/13/2011 $ (300,000) $ 6,952,756 Transfer of cap due to servicing transfer 06/03/2011 $ (6,927,254) $ 09/30/2009 $ (10,000) $ 12/30/2009 $ 250,000 $ 03/26/2010 $ (10,000) $ 25,502 Termination of SPA Updated portfolio data from servicer/additional program initial cap Updated portfolio data from servicer/additional program 1,110,000 initial cap 1,100,000 Updated portfolio data from servicer 07/14/2010 $ (400,000) $ 700,000 Updated portfolio data from servicer 09/30/2010 $ 170,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (12) $ 870,320 Updated due to quarterly assessment and reallocation 06/28/2012 $ (9) $ 870,311 Updated due to quarterly assessment and reallocation 09/14/2012 $ (821,722) $ 564,975,861 Updated due to quarterly assessment and reallocation 1,310,000 Updated portfolio data from servicer 860,000 48,589 Termination of SPA 90 10/23/2009 12/04/2009 01/29/2010 03/05/2010 09/24/2010 IC Federal Credit Union Fitchburg Idaho Housing and Finance Association Boise iServe Residential Lending, LLC iServe Servicing, Inc. James B. Nutter & Company San Diego Irving Kansas City MA ID CA TX MO Purchase Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ $ $ 760,000 N/A 9,430,000 N/A 960,000 N/A 28,040,000 N/A 300,000 N/A Updated portfolio data from servicer/additional program initial cap 40,000 Updated portfolio data from servicer 01/22/2010 $ 40,000 $ 03/26/2010 $ (760,000) $ 05/12/2010 $ 2,630,000 $ 2,670,000 Updated portfolio data from servicer 07/14/2010 $ (770,000) $ 1,900,000 Updated portfolio data from servicer 09/30/2010 $ 565,945 $ 2,465,945 Updated portfolio data from servicer 01/06/2011 $ (4) $ 2,465,941 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 2,465,937 Updated due to quarterly assessment and reallocation 06/29/2011 $ (40) $ 2,465,897 Updated due to quarterly assessment and reallocation 06/28/2012 $ (29) $ 2,465,868 Updated due to quarterly assessment and reallocation 09/27/2012 $ (80) $ 2,465,788 Updated due to quarterly assessment and reallocation 12/27/2012 $ (14) $ 2,465,774 Updated due to quarterly assessment and reallocation 03/25/2013 $ (52) $ 2,465,722 Updated due to quarterly assessment and reallocation 06/27/2013 $ (19) $ 2,465,703 Updated due to quarterly assessment and reallocation 09/27/2013 $ (7) $ 2,465,696 Updated due to quarterly assessment and reallocation 12/23/2013 $ (11,558) $ 2,454,138 Updated due to quarterly assessment and reallocation 03/26/2014 $ (410) $ 2,453,728 Updated due to quarterly assessment and reallocation 06/26/2014 $ (4,837) $ 2,448,891 Updated due to quarterly assessment and reallocation 07/29/2014 $ (9,607) $ 2,439,284 Updated due to quarterly assessment and reallocation 09/29/2014 $ (3,173) $ 01/22/2010 $ 440,000 $ 2,436,111 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 9,870,000 initial cap 03/26/2010 $ 14,480,000 $ 24,350,000 Updated portfolio data from servicer 05/26/2010 $ (24,200,000) $ 150,000 Updated portfolio data from servicer 07/14/2010 $ 150,000 $ 300,000 Updated portfolio data from servicer 09/30/2010 $ (9,889) $ 290,111 Updated portfolio data from servicer 06/29/2011 $ (3) $ 290,108 Updated due to quarterly assessment and reallocation 06/28/2012 $ (2) $ 290,106 Updated due to quarterly assessment and reallocation 09/27/2012 $ (6) $ 290,100 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 290,099 Updated due to quarterly assessment and reallocation 03/25/2013 $ (3) $ 290,096 Updated due to quarterly assessment and reallocation 06/27/2013 $ (1) $ 290,095 Updated due to quarterly assessment and reallocation 12/23/2013 $ (747) $ 289,348 Updated due to quarterly assessment and reallocation 03/26/2014 $ (26) $ 289,322 Updated due to quarterly assessment and reallocation 06/26/2014 $ (314) $ 289,008 Updated due to quarterly assessment and reallocation 07/29/2014 $ (626) $ 288,382 Updated due to quarterly assessment and reallocation 09/29/2014 $ (226) $ 288,156 Updated due to quarterly assessment and reallocation 03/26/2010 $ (730,000) $ 230,000 Updated portfolio data from servicer 07/14/2010 $ 370,000 $ 09/30/2010 $ 200,000 $ 09/30/2010 $ (364,833) $ 600,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 800,000 initial cap 435,167 Updated portfolio data from servicer 11/16/2010 $ 100,000 $ 535,167 Transfer of cap due to servicing transfer 01/06/2011 $ (1) $ 535,166 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 535,165 Updated due to quarterly assessment and reallocation 06/29/2011 $ (7) $ 535,158 Updated due to quarterly assessment and reallocation 06/28/2012 $ (6) $ 535,152 Updated due to quarterly assessment and reallocation 09/27/2012 $ (15) $ 535,137 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 535,134 Updated due to quarterly assessment and reallocation 03/25/2013 $ (10) $ 535,124 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4) $ 535,120 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 535,119 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,242) $ 532,877 Updated due to quarterly assessment and reallocation 03/26/2014 $ (79) $ 532,798 Updated due to quarterly assessment and reallocation 06/26/2014 $ (930) $ 531,868 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,848) $ 09/29/2014 $ (610) $ 05/26/2010 $ 120,000 $ 800,000 530,020 Updated due to quarterly assessment and reallocation 07/14/2010 $ (12,660,000) $ 09/30/2010 $ 100,000 $ 09/30/2010 $ (3,125,218) $ 529,410 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap 15,500,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 15,600,000 initial cap 12,474,782 Updated portfolio data from servicer 11/16/2010 $ 800,000 $ 13,274,782 Transfer of cap due to servicing transfer 01/06/2011 $ (20) $ 13,274,762 Updated due to quarterly assessment and reallocation 03/30/2011 $ (24) $ 13,274,738 Updated due to quarterly assessment and reallocation 06/29/2011 $ (221) $ 13,274,517 Updated due to quarterly assessment and reallocation 06/28/2012 $ (169) $ 13,274,348 Updated due to quarterly assessment and reallocation 09/27/2012 $ (465) $ 13,273,883 Updated due to quarterly assessment and reallocation 12/27/2012 $ (78) $ 13,273,805 Updated due to quarterly assessment and reallocation 03/25/2013 $ (297) $ 13,273,508 Updated due to quarterly assessment and reallocation 06/27/2013 $ (112) $ 13,273,396 Updated due to quarterly assessment and reallocation 07/16/2013 $ (10,000) $ 13,263,396 Transfer of cap due to servicing transfer 09/27/2013 $ (40) $ 13,263,356 Updated due to quarterly assessment and reallocation 11/14/2013 $ (60,000) $ 13,203,356 Updated due to quarterly assessment and reallocation 12/23/2013 $ (67,516) $ 13,135,840 Updated due to quarterly assessment and reallocation 03/26/2014 $ (2,373) $ 13,133,467 Updated due to quarterly assessment and reallocation 06/26/2014 $ (28,014) $ 13,105,453 Updated due to quarterly assessment and reallocation 07/29/2014 $ (55,640) $ 13,049,813 Updated due to quarterly assessment and reallocation 09/29/2014 $ (18,379) $ 13,031,434 Updated due to quarterly assessment and reallocation 09/30/2010 $ 135,167 $ 28,160,000 435,167 Updated portfolio data from servicer 91 07/31/2009 11/15/2012 JP Morgan Chase Bank, NA Kondaur Capital Corporation Lewisville Orange TX CA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ 2,699,720,000 N/A - N/A 3 01/06/2011 $ (1) $ 435,166 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 435,165 Updated due to quarterly assessment and reallocation 06/29/2011 $ (6) $ 435,159 Updated due to quarterly assessment and reallocation 06/28/2012 $ (4) $ 435,155 Updated due to quarterly assessment and reallocation 09/27/2012 $ (12) $ 435,143 Updated due to quarterly assessment and reallocation 12/27/2012 $ (2) $ 435,141 Updated due to quarterly assessment and reallocation 03/25/2013 $ (8) $ 435,133 Updated due to quarterly assessment and reallocation 06/27/2013 $ (3) $ 435,130 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 435,129 Updated due to quarterly assessment and reallocation 12/23/2013 $ (1,727) $ 433,402 Updated due to quarterly assessment and reallocation 03/26/2014 $ (61) $ 433,341 Updated due to quarterly assessment and reallocation 06/26/2014 $ (716) $ 432,625 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,423) $ 09/29/2014 $ (470) $ 09/30/2009 $ (14,850,000) $ 12/30/2009 $ 1,178,180,000 $ 03/26/2010 $ 1,006,580,000 $ 07/14/2010 $ (1,934,230,000) $ 09/30/2010 $ 72,400,000 $ 09/30/2010 $ 215,625,536 $ 430,732 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 3,863,050,000 initial capportfolio data from servicer/additional program Updated 4,869,630,000 initial cap 2,935,400,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 3,007,800,000 initial cap 3,223,425,536 Updated portfolio data from servicer 01/06/2011 $ (3,636) $ 3,223,421,900 Updated due to quarterly assessment and reallocation 03/16/2011 $ (100,000) $ 3,223,321,900 Transfer of cap due to servicing transfer 03/30/2011 $ (3,999) $ 3,223,317,901 Updated due to quarterly assessment and reallocation 04/13/2011 $ (200,000) $ 3,223,117,901 Transfer of cap due to servicing transfer 05/13/2011 $ 122,700,000 $ 3,345,817,901 Transfer of cap due to servicing transfer 06/29/2011 $ (34,606) $ 3,345,783,295 Updated due to quarterly assessment and reallocation 07/14/2011 $ 600,000 $ 3,346,383,295 Transfer of cap due to servicing transfer 08/16/2011 $ (400,000) $ 3,345,983,295 Transfer of cap due to servicing transfer 09/15/2011 $ (100,000) $ 3,345,883,295 Transfer of cap due to servicing transfer 10/14/2011 $ 200,000 $ 3,346,083,295 Transfer of cap due to servicing transfer 10/19/2011 $ 519,211,309 $ 3,865,294,604 Transfer of cap due to servicing transfer 11/16/2011 $ (2,800,000) $ 3,862,494,604 Transfer of cap due to servicing transfer 01/13/2012 $ (100,000) $ 3,862,394,604 Transfer of cap due to servicing transfer 02/16/2012 $ (100,000) $ 3,862,294,604 Transfer of cap due to servicing transfer 05/16/2012 $ (126,080,000) $ 3,736,214,604 Transfer of cap due to servicing transfer 06/14/2012 $ (1,620,000) $ 3,734,594,604 Transfer of cap due to servicing transfer 06/28/2012 $ (16,192) $ 3,734,578,412 Updated due to quarterly assessment and reallocation 07/16/2012 $ (2,300,000) $ 3,732,278,412 Transfer of cap due to servicing transfer 08/16/2012 $ (20,000) $ 3,732,258,412 Transfer of cap due to servicing transfer 09/27/2012 $ (37,341) $ 3,732,221,071 Updated due to quarterly assessment and reallocation 10/16/2012 $ (1,130,000) $ 3,731,091,071 Transfer of cap due to servicing transfer 11/15/2012 $ (3,770,000) $ 3,727,321,071 Transfer of cap due to servicing transfer 12/14/2012 $ (180,000) $ 3,727,141,071 Transfer of cap due to servicing transfer 12/27/2012 $ (4,535) $ 3,727,136,536 Updated due to quarterly assessment and reallocation 01/16/2013 $ (60,000) $ 3,727,076,536 Transfer of cap due to servicing transfer 02/14/2013 $ (520,000) $ 3,726,556,536 Transfer of cap due to servicing transfer 03/14/2013 $ (90,000) $ 3,726,466,536 Transfer of cap due to servicing transfer 03/25/2013 $ (14,310) $ 3,726,452,226 Updated due to quarterly assessment and reallocation 04/16/2013 $ (110,000) $ 3,726,342,226 Transfer of cap due to servicing transfer 05/16/2013 $ (120,000) $ 3,726,222,226 Transfer of cap due to servicing transfer 06/14/2013 $ (50,000) $ 3,726,172,226 Transfer of cap due to servicing transfer 06/27/2013 $ (3,778) $ 3,726,168,448 Updated due to quarterly assessment and reallocation 07/16/2013 $ (103,240,000) $ 3,622,928,448 Transfer of cap due to servicing transfer 08/15/2013 $ (20,000) $ 3,622,908,448 Transfer of cap due to servicing transfer 09/16/2013 $ (99,960,000) $ 3,522,948,448 Transfer of cap due to servicing transfer 09/27/2013 $ (724) $ 3,522,947,724 Updated due to quarterly assessment and reallocation 10/15/2013 $ (77,990,000) $ 3,444,957,724 Transfer of cap due to servicing transfer 11/14/2013 $ (15,610,000) $ 3,429,347,724 Transfer of cap due to servicing transfer 12/16/2013 $ (50,000) $ 3,429,297,724 Transfer of cap due to servicing transfer 12/23/2013 $ (840,396) $ 3,428,457,328 Updated due to quarterly assessment and reallocation 01/16/2014 $ (5,790,000) $ 3,422,667,328 Transfer of cap due to servicing transfer 02/13/2014 $ (52,670,000) $ 3,369,997,328 Transfer of cap due to servicing transfer 03/14/2014 $ (3,730,000) $ 3,366,267,328 Transfer of cap due to servicing transfer 03/26/2014 $ (21,412) $ 3,366,245,916 Updated due to quarterly assessment and reallocation 04/16/2014 $ (14,000,000) $ 3,352,245,916 Transfer of cap due to servicing transfer 05/15/2014 $ (18,970,000) $ 3,333,275,916 Transfer of cap due to servicing transfer 06/16/2014 $ (30,170,000) $ 3,303,105,916 Transfer of cap due to servicing transfer 06/26/2014 $ (101,752) $ 3,303,004,164 Updated due to quarterly assessment and reallocation 07/16/2014 $ (12,980,000) $ 3,290,024,164 Transfer of cap due to servicing transfer 07/29/2014 $ (154,293) $ 3,289,869,871 Updated due to quarterly assessment and reallocation 08/14/2014 $ (7,180,000) $ 3,282,689,871 Transfer of cap due to servicing transfer 09/16/2014 $ (9,640,000) $ 3,273,049,871 Transfer of cap due to servicing transfer 09/29/2014 $ (18,088) $ 3,273,031,783 Updated due to quarterly assessment and reallocation 11/15/2012 $ 30,000 $ 30,000 Transfer of cap due to servicing transfer 12/14/2012 $ 70,000 $ 100,000 Transfer of cap due to servicing transfer 01/16/2013 $ (10,000) $ 90,000 Transfer of cap due to servicing transfer 02/14/2013 $ (10,000) $ 80,000 Transfer of cap due to servicing transfer 431,202 Updated due to quarterly assessment and reallocation 2,684,870,000 92 08/05/2009 07/10/2009 Lake City Bank Lake National Bank Warsaw Mentor IN OH Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 04/16/2013 $ (10,000) $ 70,000 Transfer of cap due to servicing transfer 05/16/2013 $ 130,000 $ 200,000 Transfer of cap due to servicing transfer 06/14/2013 $ (50,000) $ 150,000 Transfer of cap due to servicing transfer 07/16/2013 $ (20,000) $ 130,000 Transfer of cap due to servicing transfer 12/23/2013 $ (155) $ 03/14/2014 $ 2,240,000 $ 2,369,845 Transfer of cap due to servicing transfer 03/26/2014 $ (373) $ 2,369,472 Updated due to quarterly assessment and reallocation 06/26/2014 $ (4,497) $ 2,364,975 Updated due to quarterly assessment and reallocation 07/29/2014 $ (8,932) $ 2,356,043 Updated due to quarterly assessment and reallocation 09/16/2014 $ (40,000) $ 2,316,043 Transfer of cap due to servicing transfer 09/29/2014 $ (2,954) $ 09/30/2009 $ 180,000 $ 12/30/2009 $ (350,000) $ 03/26/2010 $ 20,000 $ 2,313,089 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 600,000 initial capportfolio data from servicer/additional program Updated 250,000 initial cap 270,000 Updated portfolio data from servicer 07/14/2010 $ (70,000) $ 200,000 Updated portfolio data from servicer 09/30/2010 $ 90,111 $ 290,111 Updated portfolio data from servicer 06/29/2011 $ (3) $ 290,108 Updated due to quarterly assessment and reallocation 06/28/2012 $ (2) $ 290,106 Updated due to quarterly assessment and reallocation 09/27/2012 $ (7) $ 290,099 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 290,098 Updated due to quarterly assessment and reallocation 03/25/2013 $ (4) $ 290,094 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 290,092 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 290,091 Updated due to quarterly assessment and reallocation 12/23/2013 $ (979) $ 289,112 Updated due to quarterly assessment and reallocation 03/26/2014 $ (34) $ 289,078 Updated due to quarterly assessment and reallocation 06/26/2014 $ (406) $ 288,672 Updated due to quarterly assessment and reallocation 07/29/2014 $ (807) $ 287,865 Updated due to quarterly assessment and reallocation 09/29/2014 $ (267) $ 09/30/2009 $ 150,000 $ 12/30/2009 $ 130,000 $ 03/26/2010 $ 50,000 $ 287,598 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 250,000 initial capportfolio data from servicer/additional program Updated 380,000 initial cap 430,000 Updated portfolio data from servicer 07/14/2010 $ (30,000) $ 400,000 Updated portfolio data from servicer 09/30/2010 $ 35,167 $ 435,167 Updated portfolio data from servicer 01/06/2011 $ (1) $ 435,166 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 435,165 Updated due to quarterly assessment and reallocation 06/29/2011 $ (6) $ 435,159 Updated due to quarterly assessment and reallocation 06/28/2012 $ (4) $ 435,155 Updated due to quarterly assessment and reallocation 6 08/23/2012 $ (424,504) $ 06/16/2014 $ 40,000 $ 09/16/2014 $ 20,000 $ 60,000 Transfer of cap due to servicing transfer 01/16/2014 $ 100,000 $ 100,000 Transfer of cap due to servicing transfer 03/14/2014 $ 10,000 $ 110,000 Transfer of cap due to servicing transfer 03/26/2014 $ (2) $ 109,998 Updated due to quarterly assessment and reallocation 05/15/2014 $ 20,000 $ 129,998 Transfer of cap due to servicing transfer 06/16/2014 $ 80,000 $ 209,998 Transfer of cap due to servicing transfer 06/26/2014 $ (236) $ 209,762 Updated due to quarterly assessment and reallocation 07/16/2014 $ 140,000 $ 349,762 Transfer of cap due to servicing transfer 07/29/2014 $ (1,069) $ 348,693 Updated due to quarterly assessment and reallocation 08/14/2014 $ 60,000 $ 408,693 Transfer of cap due to servicing transfer 09/29/2014 $ (438) $ 09/30/2010 $ 450,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,450,554 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,450,552 Updated due to quarterly assessment and reallocation 06/29/2011 $ (23) $ 1,450,529 Updated due to quarterly assessment and reallocation 06/28/2012 $ (17) $ 1,450,512 Updated due to quarterly assessment and reallocation 09/27/2012 $ (48) $ 1,450,464 Updated due to quarterly assessment and reallocation 12/27/2012 $ (8) $ 1,450,456 Updated due to quarterly assessment and reallocation 03/25/2013 $ (30) $ 1,450,426 Updated due to quarterly assessment and reallocation 06/27/2013 $ (11) $ 1,450,415 Updated due to quarterly assessment and reallocation 09/27/2013 $ (4) $ 1,450,411 Updated due to quarterly assessment and reallocation 12/23/2013 $ (6,958) $ 1,443,453 Updated due to quarterly assessment and reallocation 03/26/2014 $ (245) $ 1,443,208 Updated due to quarterly assessment and reallocation 06/26/2014 $ (2,887) $ 1,440,321 Updated due to quarterly assessment and reallocation 07/29/2014 $ (5,734) $ 1,434,587 Updated due to quarterly assessment and reallocation 09/29/2014 $ (1,894) $ 09/30/2009 $ 313,050,000 $ 12/30/2009 $ 275,370,000 $ 03/26/2010 $ 278,910,000 $ 1,432,693 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 1,363,320,000 initial cap 1,642,230,000 Updated portfolio data from servicer 07/14/2010 $ (474,730,000) $ 1,167,500,000 Updated portfolio data from servicer 08/13/2010 $ (700,000) $ 1,166,800,000 Transfer of cap due to servicing transfer 09/15/2010 $ (1,000,000) $ 1,165,800,000 Transfer of cap due to servicing transfer 09/30/2010 $ (115,017,236) $ 1,050,782,764 Updated portfolio data from servicer 10/15/2010 $ (800,000) $ 1,049,982,764 Transfer of cap due to servicing transfer 12/15/2010 $ 800,000 $ 1,050,782,764 Transfer of cap due to servicing transfer 01/06/2011 $ (1,286) $ 1,050,781,478 Updated due to quarterly assessment and reallocation 03/16/2011 $ 8,800,000 $ 1,059,581,478 Transfer of cap due to servicing transfer 03/30/2011 $ (1,470) $ 1,059,580,008 Updated due to quarterly assessment and reallocation 420,000 N/A 100,000 N/A 06/16/2014 Land/Home Financial Services, Inc. Concord CA Purchase Financial Instrument for Home Loan Modifications - N/A 3 01/16/2014 LenderLive Network, Inc Glendale CO Purchase Financial Instrument for Home Loan Modifications - N/A 3 09/30/2010 08/12/2009 Liberty Bank and Trust Co Litton Loan Servicing, LP New Orleans Houston LA TX Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 1,000,000 N/A 774,900,000 N/A 129,845 Updated due to quarterly assessment and reallocation 10,651 Termination of SPA 40,000 Transfer of cap due to servicing transfer 408,255 Updated due to quarterly assessment and reallocation 1,087,950,000 93 12 11/06/2009 09/30/2010 09/30/2010 09/30/2010 Los Alamos National Bank M&T Bank Magna Bank Mainstreet Credit Union Los Alamos Buffalo Germantown Lexena NM NY TN KS Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ $ 700,000 N/A 700,000 N/A 1,400,000 N/A 500,000 N/A 04/13/2011 $ (3,300,000) $ 1,056,280,008 Transfer of cap due to servicing transfer 05/13/2011 $ (300,000) $ 1,055,980,008 Transfer of cap due to servicing transfer 06/16/2011 $ (700,000) $ 1,055,280,008 Transfer of cap due to servicing transfer 06/29/2011 $ (13,097) $ 1,055,266,911 Updated due to quarterly assessment and reallocation 07/14/2011 $ (200,000) $ 1,055,066,911 Transfer of cap due to servicing transfer 09/15/2011 $ (2,900,000) $ 1,052,166,911 Transfer of cap due to servicing transfer 10/14/2011 $ (300,000) $ 1,051,866,911 Transfer of cap due to servicing transfer 11/16/2011 $ (500,000) $ 1,051,366,911 Transfer of cap due to servicing transfer 12/15/2011 $ (2,600,000) $ 1,048,766,911 Transfer of cap due to servicing transfer 01/13/2012 $ (194,800,000) $ 853,966,911 Transfer of cap due to servicing transfer 02/16/2012 $ (400,000) $ 853,566,911 Transfer of cap due to servicing transfer 06/28/2012 $ (9,728) $ 853,557,183 Updated due to quarterly assessment and reallocation 08/16/2012 $ (7,990,000) $ 845,567,183 Transfer of cap due to servicing transfer 09/27/2012 $ (26,467) $ 845,540,716 Updated due to quarterly assessment and reallocation 12/27/2012 $ (4,466) $ 845,536,250 Updated due to quarterly assessment and reallocation 03/25/2013 $ (16,922) $ 845,519,328 Updated due to quarterly assessment and reallocation 06/27/2013 $ (6,386) $ 845,512,942 Updated due to quarterly assessment and reallocation 09/27/2013 $ (2,289) $ 845,510,653 Updated due to quarterly assessment and reallocation 12/16/2013 $ (60,000) $ 845,450,653 Transfer of cap due to servicing transfer 12/23/2013 $ (3,864,503) $ 841,586,150 Updated due to quarterly assessment and reallocation 01/16/2014 $ (30,000) $ 841,556,150 Transfer of cap due to servicing transfer 01/31/2014 $ (765,231,390) $ 01/22/2010 $ 40,000 $ 03/26/2010 $ 50,000 $ 07/14/2010 $ 1,310,000 $ 2,100,000 Updated portfolio data from servicer 09/30/2010 $ 75,834 $ 2,175,834 Updated portfolio data from servicer 01/06/2011 $ (3) $ 2,175,831 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 2,175,827 Updated due to quarterly assessment and reallocation 06/29/2011 $ (35) $ 2,175,792 Updated due to quarterly assessment and reallocation 06/28/2012 $ (26) $ 2,175,766 Updated due to quarterly assessment and reallocation 09/27/2012 $ (70) $ 2,175,696 Updated due to quarterly assessment and reallocation 12/27/2012 $ (12) $ 2,175,684 Updated due to quarterly assessment and reallocation 03/25/2013 $ (45) $ 2,175,639 Updated due to quarterly assessment and reallocation 06/27/2013 $ (17) $ 2,175,622 Updated due to quarterly assessment and reallocation 09/27/2013 $ (6) $ 2,175,616 Updated due to quarterly assessment and reallocation 12/23/2013 $ (9,932) $ 2,165,684 Updated due to quarterly assessment and reallocation 03/26/2014 $ (346) $ 2,165,338 Updated due to quarterly assessment and reallocation 06/26/2014 $ (4,087) $ 2,161,251 Updated due to quarterly assessment and reallocation 07/29/2014 $ (8,119) $ 2,153,132 Updated due to quarterly assessment and reallocation 09/29/2014 $ (2,682) $ 2,150,450 Updated due to quarterly assessment and reallocation 09/30/2010 $ 315,389 $ 1,015,389 Updated portfolio data from servicer 01/06/2011 $ (1) $ 1,015,388 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 1,015,387 Updated due to quarterly assessment and reallocation 06/29/2011 $ (11) $ 1,015,376 Updated due to quarterly assessment and reallocation 06/28/2012 $ (11) $ 1,015,365 Updated due to quarterly assessment and reallocation 09/27/2012 $ (30) $ 1,015,335 Updated due to quarterly assessment and reallocation 12/27/2012 $ (5) $ 1,015,330 Updated due to quarterly assessment and reallocation 03/25/2013 $ (20) $ 1,015,310 Updated due to quarterly assessment and reallocation 06/27/2013 $ (7) $ 1,015,303 Updated due to quarterly assessment and reallocation 09/27/2013 $ (3) $ 1,015,300 Updated due to quarterly assessment and reallocation 12/23/2013 $ (4,381) $ 1,010,919 Updated due to quarterly assessment and reallocation 02/13/2014 $ 1,280,000 $ 2,290,919 Transfer of cap due to servicing transfer 03/26/2014 $ 125,146 $ 2,416,065 Updated due to quarterly assessment and reallocation 04/16/2014 $ 20,000 $ 2,436,065 Transfer of cap due to servicing transfer 05/15/2014 $ 80,000 $ 2,516,065 Transfer of cap due to servicing transfer 06/16/2014 $ 140,000 $ 2,656,065 Transfer of cap due to servicing transfer 06/26/2014 $ 230,716 $ 2,886,781 Updated due to quarterly assessment and reallocation 07/29/2014 $ 688,320 $ 3,575,101 Updated due to quarterly assessment and reallocation 08/14/2014 $ 2,310,000 $ 5,885,101 Transfer of cap due to servicing transfer 09/16/2014 $ 20,000 $ 5,905,101 Transfer of cap due to servicing transfer 09/29/2014 $ 1,468,864 $ 7,373,965 Updated due to quarterly assessment and reallocation 09/30/2010 $ 630,778 $ 2,030,778 Updated portfolio data from servicer 01/06/2011 $ (3) $ 2,030,775 Updated due to quarterly assessment and reallocation 03/30/2011 $ (3) $ 2,030,772 Updated due to quarterly assessment and reallocation 06/29/2011 $ (33) $ 2,030,739 Updated due to quarterly assessment and reallocation 06/28/2012 $ (25) $ 2,030,714 Updated due to quarterly assessment and reallocation 09/27/2012 $ (68) $ 2,030,646 Updated due to quarterly assessment and reallocation 12/27/2012 $ (11) $ 2,030,635 Updated due to quarterly assessment and reallocation 03/25/2013 $ (44) $ 2,030,591 Updated due to quarterly assessment and reallocation 06/27/2013 $ (16) $ 2,030,575 Updated due to quarterly assessment and reallocation 09/27/2013 $ (6) $ 2,030,569 Updated due to quarterly assessment and reallocation 12/23/2013 $ (9,947) $ 2,020,622 Updated due to quarterly assessment and reallocation 03/26/2014 $ (350) $ 2,020,272 Updated due to quarterly assessment and reallocation 06/26/2014 $ (4,127) $ 2,016,145 Updated due to quarterly assessment and reallocation 07/29/2014 $ (8,198) $ 2,007,947 Updated due to quarterly assessment and reallocation 09/29/2014 $ (2,708) $ 2,005,239 Updated due to quarterly assessment and reallocation 09/30/2010 $ 225,278 $ 76,324,760 Termination of SPA Updated portfolio data from servicer/additional program 740,000 initial cap 790,000 Updated portfolio data from servicer 725,278 Updated portfolio data from servicer 94 11/25/2009 09/30/2010 Marix Servicing, LLC Marsh Associates, Inc. Phoenix Charlotte AZ NC Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 20,360,000 N/A 100,000 N/A 01/06/2011 $ (1) 03/09/2011 $ (725,277) 01/22/2010 $ 950,000 $ 03/26/2010 $ (17,880,000) $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap 3,430,000 Updated portfolio data from servicer 06/16/2010 $ 1,030,000 $ 4,460,000 Transfer of cap due to servicing transfer 07/14/2010 $ (1,160,000) $ 3,300,000 Updated portfolio data from servicer 08/13/2010 $ 800,000 $ 09/30/2010 $ 200,000 $ 09/30/2010 $ 1,357,168 $ 4,100,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 4,300,000 initial cap 5,657,168 Updated portfolio data from servicer 01/06/2011 $ (1) $ 03/16/2011 $ 5,700,000 $ 11,357,167 Transfer of cap due to servicing transfer 03/30/2011 $ (6) $ 11,357,161 Updated due to quarterly assessment and reallocation 04/13/2011 $ 7,300,000 $ 18,657,161 Transfer of cap due to servicing transfer 05/13/2011 $ 300,000 $ 18,957,161 Transfer of cap due to servicing transfer 06/16/2011 $ 900,000 $ 19,857,161 Transfer of cap due to servicing transfer 06/29/2011 $ (154) $ 19,857,007 Updated due to quarterly assessment and reallocation 07/14/2011 $ 100,000 $ 19,957,007 Transfer of cap due to servicing transfer 08/16/2011 $ 300,000 $ 20,257,007 Transfer of cap due to servicing transfer 01/13/2012 $ (1,500,000) $ 18,757,007 Transfer of cap due to servicing transfer 02/16/2012 $ (2,100,000) $ 16,657,007 Transfer of cap due to servicing transfer 04/16/2012 $ (1,300,000) $ 15,357,007 Transfer of cap due to servicing transfer 06/14/2012 $ (8,350,000) $ 7,007,007 Transfer of cap due to servicing transfer 06/28/2012 $ (38) $ 7,006,969 Updated due to quarterly assessment and reallocation 08/16/2012 $ (90,000) $ 6,916,969 Transfer of cap due to servicing transfer 09/27/2012 $ (103) $ 6,916,866 Updated due to quarterly assessment and reallocation 10/16/2012 $ (1,020,000) $ 5,896,866 Transfer of cap due to servicing transfer 11/15/2012 $ 170,000 $ 6,066,866 Transfer of cap due to servicing transfer 12/27/2012 $ (15) $ 6,066,851 Updated due to quarterly assessment and reallocation 02/14/2013 $ (100,000) $ 5,966,851 Transfer of cap due to servicing transfer 03/14/2013 $ (490,000) $ 5,476,851 Transfer of cap due to servicing transfer 03/25/2013 $ (61) $ 5,476,790 Updated due to quarterly assessment and reallocation 04/16/2013 $ (10,000) $ 5,466,790 Transfer of cap due to servicing transfer 05/16/2013 $ (30,000) $ 5,436,790 Transfer of cap due to servicing transfer 06/14/2013 $ (10,000) $ 5,426,790 Transfer of cap due to servicing transfer 06/27/2013 $ (23) $ 5,426,767 Updated due to quarterly assessment and reallocation 07/16/2013 $ (20,000) $ 5,406,767 Transfer of cap due to servicing transfer 09/27/2013 $ (8) $ 5,406,759 Updated due to quarterly assessment and reallocation 12/23/2013 $ (13,934) $ 5,392,825 Updated due to quarterly assessment and reallocation 03/26/2014 $ (490) $ 5,392,335 Updated due to quarterly assessment and reallocation 06/26/2014 $ (5,781) $ 5,386,554 Updated due to quarterly assessment and reallocation 07/29/2014 $ (11,483) $ 5,375,071 Updated due to quarterly assessment and reallocation 09/29/2014 $ (3,793) $ 5,371,278 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1) $ 145,053 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,052 Updated due to quarterly assessment and reallocation $ $ 725,277 Updated due to quarterly assessment and reallocation 21,310,000 5,657,167 Updated due to quarterly assessment and reallocation 10/15/2013 $ (60,000) 10/28/2009 Members Mortgage Company, Inc Woburn MA Purchase Financial Instrument for Home Loan Modifications $ 510,000 N/A 04/21/2010 $ (510,000) 09/11/2009 Metropolitan National Bank Little Rock AR Purchase Financial Instrument for Home Loan Modifications $ 280,000 N/A 10/02/2009 $ 70,000 $ 12/30/2009 $ 620,000 $ 03/26/2010 $ 100,000 $ 07/14/2010 $ (670,000) $ 400,000 Updated portfolio data from servicer 09/30/2010 $ 35,167 $ 435,167 Updated portfolio data from servicer 01/06/2011 $ (1) $ 435,166 Updated due to quarterly assessment and reallocation 01/26/2011 $ (435,166) 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 09/30/2010 $ 49,915,806 $ 93,415,806 Updated portfolio data from servicer 01/06/2011 $ (125) $ 93,415,681 Updated due to quarterly assessment and reallocation 03/30/2011 $ (139) $ 93,415,542 Updated due to quarterly assessment and reallocation 06/29/2011 $ (1,223) $ 93,414,319 Updated due to quarterly assessment and reallocation 06/28/2012 $ (797) $ 07/16/2012 $ 294,540,000 $ 387,953,522 Transfer of cap due to servicing transfer 07/27/2012 $ (263,550,000) $ 124,403,522 Transfer of cap due to servicing transfer 09/27/2012 $ (3,170) $ 124,400,352 Updated due to quarterly assessment and reallocation 12/27/2012 $ (507) $ 124,399,845 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1,729) $ 124,398,116 Updated due to quarterly assessment and reallocation 09/30/2010 09/30/2010 Mid America Mortgage, Inc. (Schmidt Mortgage Company) Midland Mortgage Company Rocky River Oklahoma City OH OK Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 100,000 N/A 43,500,000 N/A 85,052 Transfer of cap due to servicing transfer - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 970,000 initial cap 1,070,000 Updated portfolio data from servicer 350,000 - Termination of SPA 144,461 Updated due to quarterly assessment and reallocation 93,413,522 Updated due to quarterly assessment and reallocation 95 04/14/2010 09/15/2010 07/22/2009 07/17/2009 Midwest Bank and Trust Co. Midwest Community Bank Mission Federal Credit Union MorEquity, Inc. Elmwood Park Freeport San Diego Evansville IL IL CA IN Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ $ 300,000 N/A 400,000 N/A 860,000 N/A 23,480,000 N/A 5 07/22/2009 10/14/2009 07/16/2014 Mortgage Center, LLC Mortgage Clearing Corporation Mortgage Investors Group Southfield Tulsa Knoxville MI OK TN Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 4,210,000 N/A 4,860,000 N/A - N/A 3 06/27/2013 $ (593) $ 124,397,523 Updated due to quarterly assessment and reallocation 09/27/2013 $ (199) $ 124,397,324 Updated due to quarterly assessment and reallocation 12/23/2013 $ (280,061) $ 124,117,263 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8,934) $ 124,108,329 Updated due to quarterly assessment and reallocation 06/26/2014 $ (95,352) $ 124,012,977 Updated due to quarterly assessment and reallocation 07/29/2014 $ 30,892,185 $ 154,905,162 Updated due to quarterly assessment and reallocation 09/29/2014 $ (9,245) $ 154,895,917 Updated due to quarterly assessment and reallocation 07/14/2010 $ 300,000 $ 600,000 Updated portfolio data from servicer 09/30/2010 $ (19,778) $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 07/14/2011 $ (580,212) 09/30/2010 $ 180,222 $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 06/28/2012 $ (6) $ 580,206 Updated due to quarterly assessment and reallocation 09/27/2012 $ (17) $ 580,189 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 580,186 Updated due to quarterly assessment and reallocation 03/25/2013 $ (11) $ 580,175 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4) $ 580,171 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 580,170 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,474) $ 577,696 Updated due to quarterly assessment and reallocation 03/26/2014 $ (87) $ 577,609 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,027) $ 576,582 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,039) $ 574,543 Updated due to quarterly assessment and reallocation 09/29/2014 $ (673) $ 09/30/2009 $ (490,000) $ 12/30/2009 $ 6,750,000 $ 03/26/2010 $ (6,340,000) $ initial cap 780,000 Updated portfolio data from servicer 07/14/2010 $ (180,000) $ 600,000 Updated portfolio data from servicer 09/30/2010 $ 125,278 $ 725,278 Updated portfolio data from servicer 03/30/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 06/29/2011 $ (4) $ 725,273 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 725,272 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1) $ 725,271 Updated due to quarterly assessment and reallocation 03/25/2013 $ 47,663 $ 772,934 Updated due to quarterly assessment and reallocation 12/23/2013 $ (149) $ 772,785 Updated due to quarterly assessment and reallocation 03/26/2014 $ (5) $ 772,780 Updated due to quarterly assessment and reallocation 06/26/2014 $ (64) $ 772,716 Updated due to quarterly assessment and reallocation 07/29/2014 $ (19) $ 772,697 Updated due to quarterly assessment and reallocation 09/29/2014 $ (7) $ 09/30/2009 $ 18,530,000 $ 42,010,000 12/30/2009 $ 24,510,000 $ 66,520,000 03/26/2010 $ 18,360,000 $ initial cap 84,880,000 Updated portfolio data from servicer 07/14/2010 $ (22,580,000) $ 62,300,000 Updated portfolio data from servicer 09/30/2010 $ (8,194,261) $ 54,105,739 Updated portfolio data from servicer 01/06/2011 $ (37) $ 54,105,702 Updated due to quarterly assessment and reallocation 03/16/2011 $ (29,400,000) $ 24,705,702 Transfer of cap due to servicing transfer 03/30/2011 $ (34) $ 24,705,668 Updated due to quarterly assessment and reallocation 05/26/2011 $ (20,077,503) $ 09/30/2009 $ 1,780,000 $ 12/30/2009 $ 2,840,000 $ 03/26/2010 $ 2,800,000 $ 4,628,165 Termination of SPA Updated portfolio data from servicer/additional program 5,990,000 initial capportfolio data from servicer/additional program Updated 8,830,000 initial cap 11,630,000 Updated portfolio data from servicer 07/14/2010 $ (5,730,000) $ 5,900,000 Updated portfolio data from servicer 09/30/2010 $ 2,658,280 $ 8,558,280 Updated portfolio data from servicer 01/06/2011 $ (12) $ 8,558,268 Updated due to quarterly assessment and reallocation 03/30/2011 $ (14) $ 8,558,254 Updated due to quarterly assessment and reallocation 06/29/2011 $ (129) $ 8,558,125 Updated due to quarterly assessment and reallocation 06/28/2012 $ (94) $ 8,558,031 Updated due to quarterly assessment and reallocation 09/27/2012 $ (256) $ 8,557,775 Updated due to quarterly assessment and reallocation 12/27/2012 $ (43) $ 8,557,732 Updated due to quarterly assessment and reallocation 03/25/2013 $ (162) $ 8,557,570 Updated due to quarterly assessment and reallocation 06/27/2013 $ (60) $ 8,557,510 Updated due to quarterly assessment and reallocation 09/27/2013 $ (21) $ 8,557,489 Updated due to quarterly assessment and reallocation 12/23/2013 $ (35,751) $ 8,521,738 Updated due to quarterly assessment and reallocation 03/26/2014 $ (1,246) $ 8,520,492 Updated due to quarterly assessment and reallocation 06/26/2014 $ (14,660) $ 8,505,832 Updated due to quarterly assessment and reallocation 07/29/2014 $ (28,986) $ 8,476,846 Updated due to quarterly assessment and reallocation 09/29/2014 $ (9,490) $ 12/30/2009 $ (2,900,000) $ 03/26/2010 $ (1,600,000) $ 8,467,356 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 1,960,000 initial cap 360,000 Updated portfolio data from servicer 07/14/2010 $ (260,000) $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 03/09/2011 $ (145,056) 07/16/2014 $ 10,000 - Termination of SPA 573,870 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 370,000 initial capportfolio data from servicer/additional program Updated 7,120,000 772,690 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated - Termination of SPA $ 10,000 Transfer of cap due to servicing transfer 96 06/26/2009 05/28/2009 National City Bank Nationstar Mortgage LLC Miamisburg Lewisville OH TX Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 294,980,000 N/A 101,000,000 N/A Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 09/30/2009 $ 315,170,000 $ 610,150,000 12/30/2009 $ 90,280,000 $ 700,430,000 03/26/2010 $ (18,690,000) $ 07/14/2010 $ (272,640,000) $ 09/30/2010 $ 80,600,000 $ 09/30/2010 $ 71,230,004 $ 409,100,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 489,700,000 initial cap 560,930,004 Updated portfolio data from servicer 01/06/2011 $ (828) $ 560,929,176 Updated due to quarterly assessment and reallocation 02/16/2011 $ 200,000 $ 561,129,176 Transfer of cap due to servicing transfer 03/16/2011 $ (100,000) $ 561,029,176 Transfer of cap due to servicing transfer 03/30/2011 $ (981) $ 561,028,195 Updated due to quarterly assessment and reallocation 04/13/2011 $ (2,300,000) $ 558,728,195 Transfer of cap due to servicing transfer 05/13/2011 $ (200,000) $ 558,528,195 Transfer of cap due to servicing transfer 06/16/2011 $ (200,000) $ 558,328,195 Transfer of cap due to servicing transfer 06/29/2011 $ (9,197) $ 558,318,998 Updated due to quarterly assessment and reallocation 10/14/2011 $ 300,000 $ 558,618,998 Transfer of cap due to servicing transfer 11/16/2011 $ (300,000) $ 558,318,998 Transfer of cap due to servicing transfer 01/13/2012 $ 200,000 $ 558,518,998 Transfer of cap due to servicing transfer 02/16/2012 $ (100,000) $ 558,418,998 Transfer of cap due to servicing transfer 03/15/2012 $ 200,000 $ 558,618,998 Transfer of cap due to servicing transfer 06/14/2012 $ (10,000) $ 558,608,998 Transfer of cap due to servicing transfer 06/28/2012 $ (6,771) $ 558,602,227 Updated due to quarterly assessment and reallocation 09/27/2012 $ (18,467) $ 558,583,760 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3,105) $ 558,580,655 Updated due to quarterly assessment and reallocation 03/25/2013 $ (11,713) $ 558,568,942 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4,393) $ 558,564,549 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1,565) $ 558,562,984 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,622,925) $ 555,940,059 Updated due to quarterly assessment and reallocation 03/14/2014 $ 7,680,000 $ 563,620,059 Transfer of cap due to servicing transfer 03/26/2014 $ (92,836) $ 563,527,223 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,090,169) $ 562,437,054 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,140,858) $ 560,296,196 Updated due to quarterly assessment and reallocation 08/14/2014 $ (940,000) $ 559,356,196 Transfer of cap due to servicing transfer 09/29/2014 $ (704,516) $ 558,651,680 Updated due to quarterly assessment and reallocation 06/12/2009 $ 16,140,000 $ 09/30/2009 $ 134,560,000 $ 12/30/2009 $ 80,250,000 $ 03/26/2010 $ 67,250,000 $ 117,140,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 251,700,000 initial capportfolio data from servicer/additional program Updated 331,950,000 initial cap 399,200,000 Updated portfolio data from servicer 07/14/2010 $ (85,900,000) $ 313,300,000 Updated portfolio data from servicer 08/13/2010 $ 100,000 $ 09/30/2010 $ 2,900,000 $ 09/30/2010 $ 33,801,486 $ 313,400,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 316,300,000 initial cap 350,101,486 Updated portfolio data from servicer 11/16/2010 $ 700,000 $ 350,801,486 Transfer of cap due to servicing transfer 12/15/2010 $ 1,700,000 $ 352,501,486 Transfer of cap due to servicing transfer 01/06/2011 $ (363) $ 352,501,123 Updated due to quarterly assessment and reallocation 02/16/2011 $ 900,000 $ 353,401,123 Transfer of cap due to servicing transfer 03/16/2011 $ 29,800,000 $ 383,201,123 Transfer of cap due to servicing transfer 03/30/2011 $ (428) $ 383,200,695 Updated due to quarterly assessment and reallocation 05/26/2011 $ 20,077,503 $ 403,278,198 Transfer of cap due to servicing transfer 06/29/2011 $ (4,248) $ 403,273,950 Updated due to quarterly assessment and reallocation 11/16/2011 $ 100,000 $ 403,373,950 Transfer of cap due to servicing transfer 03/15/2012 $ (100,000) $ 403,273,950 Transfer of cap due to servicing transfer 05/16/2012 $ 90,000 $ 403,363,950 Transfer of cap due to servicing transfer 06/14/2012 $ (2,380,000) $ 400,983,950 Transfer of cap due to servicing transfer 06/28/2012 $ (2,957) $ 400,980,993 Updated due to quarterly assessment and reallocation 07/16/2012 $ (2,580,000) $ 398,400,993 Transfer of cap due to servicing transfer 08/16/2012 $ 131,450,000 $ 529,850,993 Transfer of cap due to servicing transfer 08/23/2012 $ 166,976,849 $ 696,827,842 Transfer of cap due to servicing transfer 09/27/2012 $ (12,806) $ 696,815,036 Updated due to quarterly assessment and reallocation 11/15/2012 $ 160,000 $ 696,975,036 Transfer of cap due to servicing transfer 12/14/2012 $ 50,000 $ 697,025,036 Transfer of cap due to servicing transfer 12/27/2012 $ (1,882) $ 697,023,154 Updated due to quarterly assessment and reallocation 02/14/2013 $ (10,000) $ 697,013,154 Transfer of cap due to servicing transfer 03/14/2013 $ (280,000) $ 696,733,154 Transfer of cap due to servicing transfer 03/25/2013 $ (6,437) $ 696,726,717 Updated due to quarterly assessment and reallocation 04/16/2013 $ 30,000 $ 696,756,717 Transfer of cap due to servicing transfer 05/16/2013 $ (1,510,000) $ 695,246,717 Transfer of cap due to servicing transfer 06/14/2013 $ (1,070,000) $ 694,176,717 Transfer of cap due to servicing transfer 06/27/2013 $ (2,099) $ 694,174,618 Updated due to quarterly assessment and reallocation 07/09/2013 $ 23,179,591 $ 717,354,209 Transfer of cap due to servicing transfer 07/16/2013 $ 490,000 $ 717,844,209 Transfer of cap due to servicing transfer 09/16/2013 $ 289,070,000 $ 1,006,914,209 Transfer of cap due to servicing transfer 09/27/2013 $ (1,118) $ 1,006,913,091 Updated due to quarterly assessment and reallocation 10/15/2013 $ 63,440,000 $ 1,070,353,091 Transfer of cap due to servicing transfer 11/14/2013 $ 5,060,000 $ 1,075,413,091 Transfer of cap due to servicing transfer 12/16/2013 $ 3,210,000 $ 1,078,623,091 Transfer of cap due to servicing transfer 12/23/2013 $ (1,697,251) $ 1,076,925,840 Updated due to quarterly assessment and reallocation 01/16/2014 $ (100,000) $ 1,076,825,840 Transfer of cap due to servicing transfer initial cap 681,740,000 Updated portfolio data from servicer 97 12/16/2013 03/10/2010 08/14/2014 04/13/2011 08/05/2009 Nationwide Advantage Mortgage Company Navy Federal Credit Union Des Moines Vienna New Penn Financial, LLC dba Shellpoint Greenville Mortgage Servicing New York Community Bank (AmTrust Bank) Oakland Municipal Credit Union Cleveland Oakland IA VA SC OH CA Purchase Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 60,780,000 N/A - N/A Financial Instrument for Home Loan Modifications - N/A $ 3 3 3 140,000 N/A 6 04/16/2009 Ocwen Loan Servicing LLC West Palm Beach FL Purchase Financial Instrument for Home Loan Modifications $ 659,000,000 N/A 02/13/2014 $ 32,370,000 $ 1,109,195,840 Transfer of cap due to servicing transfer 03/14/2014 $ (20,000) $ 1,109,175,840 Transfer of cap due to servicing transfer 03/26/2014 $ (47,177) $ 1,109,128,663 Updated due to quarterly assessment and reallocation 04/16/2014 $ 370,000 $ 1,109,498,663 Transfer of cap due to servicing transfer 05/15/2014 $ 41,040,000 $ 1,150,538,663 Transfer of cap due to servicing transfer 06/16/2014 $ 120,000 $ 1,150,658,663 Transfer of cap due to servicing transfer 06/26/2014 $ (496,816) $ 1,150,161,847 Updated due to quarterly assessment and reallocation 07/16/2014 $ 90,000 $ 1,150,251,847 Transfer of cap due to servicing transfer 07/29/2014 $ (917,451) $ 1,149,334,396 Updated due to quarterly assessment and reallocation 08/14/2014 $ 47,000,000 $ 1,196,334,396 Transfer of cap due to servicing transfer 09/16/2014 $ 4,250,000 $ 1,200,584,396 Transfer of cap due to servicing transfer 09/29/2014 $ (345,854) $ 1,200,238,542 Updated due to quarterly assessment and reallocation 12/16/2013 $ 10,000 $ 05/15/2014 $ 10,000 $ 07/14/2010 $ (44,880,000) $ 15,900,000 Updated portfolio data from servicer 09/30/2010 $ 1,071,505 $ 16,971,505 Updated portfolio data from servicer 01/06/2011 $ (23) $ 16,971,482 Updated due to quarterly assessment and reallocation 03/30/2011 $ (26) $ 16,971,456 Updated due to quarterly assessment and reallocation 06/29/2011 $ (238) $ 16,971,218 Updated due to quarterly assessment and reallocation 06/28/2012 $ (145) $ 16,971,073 Updated due to quarterly assessment and reallocation 09/27/2012 $ (374) $ 16,970,699 Updated due to quarterly assessment and reallocation 12/27/2012 $ (58) $ 16,970,641 Updated due to quarterly assessment and reallocation 03/25/2013 $ (199) $ 16,970,442 Updated due to quarterly assessment and reallocation 06/27/2013 $ (68) $ 16,970,374 Updated due to quarterly assessment and reallocation 09/27/2013 $ (22) $ 16,970,352 Updated due to quarterly assessment and reallocation 12/23/2013 $ (36,317) $ 16,934,035 Updated due to quarterly assessment and reallocation 03/26/2014 $ (1,230) $ 16,932,805 Updated due to quarterly assessment and reallocation 06/26/2014 $ (13,708) $ 16,919,097 Updated due to quarterly assessment and reallocation 07/29/2014 $ (26,600) $ 16,892,497 Updated due to quarterly assessment and reallocation 09/29/2014 $ (8,647) $ 16,883,850 Updated due to quarterly assessment and reallocation 08/14/2014 $ 240,000 $ 240,000 Transfer of cap due to servicing transfer 09/16/2014 $ 59,230,004 $ 59,470,004 Transfer of cap due to servicing transfer 09/29/2014 $ (69,838) $ 59,400,166 Updated due to quarterly assessment and reallocation 04/13/2011 $ 200,000 $ 200,000 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 300,000 Transfer of cap due to servicing transfer 06/16/2011 $ 300,000 $ 600,000 Transfer of cap due to servicing transfer 06/29/2011 $ (9) $ 599,991 Updated due to quarterly assessment and reallocation 08/16/2011 $ 200,000 $ 799,991 Transfer of cap due to servicing transfer 06/28/2012 $ (7) $ 799,984 Updated due to quarterly assessment and reallocation 09/27/2012 $ (19) $ 799,965 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 799,962 Updated due to quarterly assessment and reallocation 03/25/2013 $ (12) $ 799,950 Updated due to quarterly assessment and reallocation 06/27/2013 $ (5) $ 799,945 Updated due to quarterly assessment and reallocation 07/16/2013 $ 150,000 $ 949,945 Transfer of cap due to servicing transfer 09/27/2013 $ (2) $ 949,943 Updated due to quarterly assessment and reallocation 12/23/2013 $ (3,454) $ 946,489 Updated due to quarterly assessment and reallocation 03/26/2014 $ (121) $ 946,368 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,433) $ 944,935 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,846) $ 942,089 Updated due to quarterly assessment and reallocation 09/29/2014 $ (940) $ 10,000 Transfer of cap due to servicing transfer 20,000 Transfer of cap due to servicing transfer 09/30/2009 $ 290,000 $ 12/30/2009 $ 210,000 $ 03/26/2010 $ 170,000 $ 941,149 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 430,000 initial capportfolio data from servicer/additional program Updated 640,000 initial cap 810,000 Updated portfolio data from servicer 07/14/2010 $ (10,000) $ 800,000 Updated portfolio data from servicer 09/30/2010 $ (74,722) $ 725,278 Updated portfolio data from servicer 01/06/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 725,276 Updated due to quarterly assessment and reallocation 04/13/2011 $ (200,000) $ 525,276 Transfer of cap due to servicing transfer 06/29/2011 $ (7) $ 07/22/2011 $ (515,201) $ 06/12/2009 $ (105,620,000) $ 09/30/2009 $ 102,580,000 $ 12/30/2009 $ 277,640,000 $ 03/26/2010 $ 46,860,000 $ 06/16/2010 $ 156,050,000 $ 07/14/2010 $ (191,610,000) $ 944,900,000 Updated portfolio data from servicer 07/16/2010 $ 23,710,000 $ 09/15/2010 $ 100,000 $ 09/30/2010 $ 3,742,740 $ 968,610,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 968,710,000 initial cap 972,452,740 Updated portfolio data from servicer 10/15/2010 $ 170,800,000 $ 1,143,252,740 Transfer of cap due to servicing transfer 01/06/2011 $ (1,020) $ 1,143,251,720 Updated due to quarterly assessment and reallocation 02/16/2011 $ 900,000 $ 1,144,151,720 Transfer of cap due to servicing transfer 03/30/2011 $ (1,114) $ 1,144,150,606 Updated due to quarterly assessment and reallocation 06/29/2011 $ (10,044) $ 1,144,140,562 Updated due to quarterly assessment and reallocation 10/14/2011 $ (100,000) $ 1,144,040,562 Transfer of cap due to servicing transfer 525,269 Updated due to quarterly assessment and reallocation 10,068 Termination of SPA 553,380,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 655,960,000 initial capportfolio data from servicer/additional program Updated 933,600,000 initial cap 980,460,000 Updated portfolio data from servicer 1,136,510,000 Transfer of cap due to servicing transfer 98 08/28/2009 09/11/2009 OneWest Bank ORNL Federal Credit Union Pasadena Oak Ridge CA TN Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 668,440,000 N/A 2,070,000 N/A 01/13/2012 $ 194,800,000 $ 1,338,840,562 Transfer of cap due to servicing transfer 02/16/2012 $ 400,000 $ 1,339,240,562 Transfer of cap due to servicing transfer 03/15/2012 $ 100,000 $ 1,339,340,562 Transfer of cap due to servicing transfer 05/16/2012 $ 123,530,000 $ 1,462,870,562 Transfer of cap due to servicing transfer 06/14/2012 $ 354,290,000 $ 1,817,160,562 Transfer of cap due to servicing transfer 06/28/2012 $ (6,308) $ 1,817,154,254 Updated due to quarterly assessment and reallocation 07/16/2012 $ 10,080,000 $ 1,827,234,254 Transfer of cap due to servicing transfer 08/16/2012 $ 8,390,000 $ 1,835,624,254 Transfer of cap due to servicing transfer 09/27/2012 $ (10,733) $ 1,835,613,521 Updated due to quarterly assessment and reallocation 10/16/2012 $ 14,560,000 $ 1,850,173,521 Transfer of cap due to servicing transfer 11/15/2012 $ 13,240,000 $ 1,863,413,521 Transfer of cap due to servicing transfer 12/14/2012 $ 2,080,000 $ 1,865,493,521 Transfer of cap due to servicing transfer 12/27/2012 $ (1,015) $ 1,865,492,506 Updated due to quarterly assessment and reallocation 01/16/2013 $ 410,000 $ 1,865,902,506 Transfer of cap due to servicing transfer 02/14/2013 $ 960,000 $ 1,866,862,506 Transfer of cap due to servicing transfer 03/14/2013 $ 83,880,000 $ 1,950,742,506 Transfer of cap due to servicing transfer 03/25/2013 $ (1,877) $ 1,950,740,629 Updated due to quarterly assessment and reallocation 04/09/2013 $ 157,237,929 $ 2,107,978,558 Transfer of cap due to servicing transfer 04/16/2013 $ 620,860,000 $ 2,728,838,558 Transfer of cap due to servicing transfer 05/16/2013 $ 18,970,000 $ 2,747,808,558 Transfer of cap due to servicing transfer 06/14/2013 $ (190,000) $ 2,747,618,558 Transfer of cap due to servicing transfer 06/27/2013 $ (2,817) $ 2,747,615,741 Updated due to quarterly assessment and reallocation 07/16/2013 $ 14,710,000 $ 2,762,325,741 Transfer of cap due to servicing transfer 09/16/2013 $ 66,170,000 $ 2,828,495,741 Transfer of cap due to servicing transfer 09/27/2013 $ (276) $ 2,828,495,465 Updated due to quarterly assessment and reallocation 10/15/2013 $ 267,580,000 $ 3,096,075,465 Transfer of cap due to servicing transfer 11/14/2013 $ 4,290,000 $ 3,100,365,465 Transfer of cap due to servicing transfer 12/16/2013 $ 280,370,000 $ 3,380,735,465 Transfer of cap due to servicing transfer 12/23/2013 $ 49,286,732 $ 3,430,022,197 Updated due to quarterly assessment and reallocation 01/16/2014 $ 51,180,000 $ 3,481,202,197 Transfer of cap due to servicing transfer 01/31/2014 $ 765,231,390 $ 4,246,433,587 Transfer of cap due to merger/acquisition 02/13/2014 $ 38,900,000 $ 4,285,333,587 Transfer of cap due to servicing transfer 02/27/2014 $ 360,860,500 $ 4,646,194,086 Transfer of cap due to merger/acquisition 03/14/2014 $ 25,080,000 $ 4,671,274,086 Transfer of cap due to servicing transfer 03/26/2014 $ (167,651) $ 4,671,106,435 Updated due to quarterly assessment and reallocation 04/16/2014 $ 11,980,000 $ 4,683,086,435 Transfer of cap due to servicing transfer 05/15/2014 $ 130,000 $ 4,683,216,435 Transfer of cap due to servicing transfer 05/28/2014 $ 284,475,088 $ 4,967,691,523 Transfer of cap due to merger/acquisition 06/16/2014 $ 690,000 $ 4,968,381,523 Transfer of cap due to servicing transfer 06/26/2014 $ (2,284,678) $ 4,966,096,845 Updated due to quarterly assessment and reallocation 07/16/2014 $ (10,000) $ 4,966,086,845 Transfer of cap due to servicing transfer 07/29/2014 $ (4,336,420) $ 4,961,750,425 Updated due to quarterly assessment and reallocation 08/14/2014 $ 1,030,000 $ 4,962,780,425 Transfer of cap due to servicing transfer 09/16/2014 $ 2,290,000 $ 4,965,070,425 Transfer of cap due to servicing transfer 09/29/2014 $ (1,332,356) $ 10/02/2009 $ 145,800,000 $ 12/30/2009 $ 1,355,930,000 $ 03/26/2010 $ 121,180,000 $ 4,963,738,069 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 814,240,000 initial capportfolio data from servicer/additional program Updated 2,170,170,000 initial cap 2,291,350,000 Updated portfolio data from servicer 07/14/2010 $ (408,850,000) $ 09/30/2010 $ 5,500,000 $ 09/30/2010 $ (51,741,163) $ 1,882,500,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 1,888,000,000 initial cap 1,836,258,837 Updated portfolio data from servicer 01/06/2011 $ (2,282) $ 1,836,256,555 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2,674) $ 1,836,253,881 Updated due to quarterly assessment and reallocation 06/29/2011 $ (24,616) $ 1,836,229,265 Updated due to quarterly assessment and reallocation 06/28/2012 $ (15,481) $ 1,836,213,784 Updated due to quarterly assessment and reallocation 09/27/2012 $ (40,606) $ 1,836,173,178 Updated due to quarterly assessment and reallocation 12/27/2012 $ (6,688) $ 1,836,166,490 Updated due to quarterly assessment and reallocation 03/25/2013 $ (24,811) $ 1,836,141,679 Updated due to quarterly assessment and reallocation 06/27/2013 $ (9,058) $ 1,836,132,621 Updated due to quarterly assessment and reallocation 09/27/2013 $ (3,154) $ 1,836,129,467 Updated due to quarterly assessment and reallocation 10/15/2013 $ (500,000) $ 1,835,629,467 Transfer of cap due to servicing transfer 11/14/2013 $ (4,440,000) $ 1,831,189,467 Transfer of cap due to servicing transfer 12/16/2013 $ (277,680,000) $ 1,553,509,467 Transfer of cap due to servicing transfer 12/23/2013 $ (5,188,787) $ 1,548,320,680 Updated due to quarterly assessment and reallocation 01/16/2014 $ (25,750,000) $ 1,522,570,680 Transfer of cap due to servicing transfer 02/13/2014 $ (10,000) $ 1,522,560,680 Transfer of cap due to servicing transfer 03/14/2014 $ (6,240,000) $ 1,516,320,680 Transfer of cap due to servicing transfer 03/26/2014 $ (181,765) $ 1,516,138,915 Updated due to quarterly assessment and reallocation 06/16/2014 $ (30,000) $ 1,516,108,915 Transfer of cap due to servicing transfer 06/26/2014 $ (2,139,762) $ 1,513,969,153 Updated due to quarterly assessment and reallocation 07/16/2014 $ (17,620,000) $ 1,496,349,153 Transfer of cap due to servicing transfer 07/29/2014 $ (4,233,602) $ 1,492,115,551 Updated due to quarterly assessment and reallocation 09/16/2014 $ 650,000 $ 1,492,765,551 Transfer of cap due to servicing transfer 09/29/2014 $ (1,394,443) $ 10/02/2009 $ 460,000 $ 12/30/2009 $ 2,730,000 $ 03/26/2010 $ 13,280,000 $ 1,491,371,108 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 2,530,000 initial capportfolio data from servicer/additional program Updated 5,260,000 initial cap 18,540,000 Updated portfolio data from servicer 99 12/16/2009 Park View Federal Savings Bank Solon OH Purchase Financial Instrument for Home Loan Modifications $ 760,000 N/A 6 08/25/2010 08/12/2009 Pathfinder Bank PennyMac Loan Services, LLC Oswego Calasbasa NY CA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 1,300,000 N/A 6,210,000 N/A 07/14/2010 $ (13,540,000) $ 5,000,000 Updated portfolio data from servicer 09/30/2010 $ 1,817,613 $ 6,817,613 Updated portfolio data from servicer 01/06/2011 $ (10) $ 6,817,603 Updated due to quarterly assessment and reallocation 03/30/2011 $ (12) $ 6,817,591 Updated due to quarterly assessment and reallocation 06/29/2011 $ (115) $ 6,817,476 Updated due to quarterly assessment and reallocation 06/28/2012 $ (86) $ 6,817,390 Updated due to quarterly assessment and reallocation 09/27/2012 $ (236) $ 6,817,154 Updated due to quarterly assessment and reallocation 12/27/2012 $ (40) $ 6,817,114 Updated due to quarterly assessment and reallocation 03/25/2013 $ (149) $ 6,816,965 Updated due to quarterly assessment and reallocation 06/27/2013 $ (56) $ 6,816,909 Updated due to quarterly assessment and reallocation 09/27/2013 $ (20) $ 6,816,889 Updated due to quarterly assessment and reallocation 12/23/2013 $ (33,979) $ 6,782,910 Updated due to quarterly assessment and reallocation 03/26/2014 $ (1,192) $ 6,781,718 Updated due to quarterly assessment and reallocation 06/26/2014 $ (14,049) $ 6,767,669 Updated due to quarterly assessment and reallocation 07/29/2014 $ (27,888) $ 6,739,781 Updated due to quarterly assessment and reallocation 09/29/2014 $ (9,230) $ 01/22/2010 $ 40,000 $ 03/26/2010 $ 140,000 $ 6,730,551 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 800,000 initial cap 940,000 Updated portfolio data from servicer 07/14/2010 $ (140,000) $ 800,000 Updated portfolio data from servicer 09/30/2010 $ 70,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 870,332 Updated due to quarterly assessment and reallocation 06/29/2011 $ (12) $ 870,320 Updated due to quarterly assessment and reallocation 06/28/2012 $ (10) $ 09/14/2012 $ (816,373) $ 09/30/2010 $ 2,181,334 $ 3,481,334 Updated portfolio data from servicer 01/06/2011 $ (5) $ 3,481,329 Updated due to quarterly assessment and reallocation 03/30/2011 $ (6) $ 3,481,323 Updated due to quarterly assessment and reallocation 06/29/2011 $ (58) $ 3,481,265 Updated due to quarterly assessment and reallocation 06/28/2012 $ (43) $ 3,481,222 Updated due to quarterly assessment and reallocation 09/27/2012 $ (119) $ 3,481,103 Updated due to quarterly assessment and reallocation 12/27/2012 $ (20) $ 3,481,083 Updated due to quarterly assessment and reallocation 03/25/2013 $ (76) $ 3,481,007 Updated due to quarterly assessment and reallocation 06/27/2013 $ (29) $ 3,480,978 Updated due to quarterly assessment and reallocation 09/27/2013 $ (10) $ 3,480,968 Updated due to quarterly assessment and reallocation 12/23/2013 $ (17,421) $ 3,463,547 Updated due to quarterly assessment and reallocation 03/26/2014 $ (612) $ 3,462,935 Updated due to quarterly assessment and reallocation 06/26/2014 $ (7,228) $ 3,455,707 Updated due to quarterly assessment and reallocation 07/29/2014 $ (14,356) $ 3,441,351 Updated due to quarterly assessment and reallocation 09/29/2014 $ (4,742) $ 09/30/2009 $ (1,200,000) $ 12/30/2009 $ 30,800,000 $ 03/26/2010 $ 23,200,000 $ initial cap 59,010,000 Updated portfolio data from servicer 06/16/2010 $ 2,710,000 $ 61,720,000 Transfer of cap due to servicing transfer 07/14/2010 $ (18,020,000) $ 43,700,000 Updated portfolio data from servicer 07/16/2010 $ 6,680,000 $ 50,380,000 Transfer of cap due to servicing transfer 08/13/2010 $ 2,600,000 $ 52,980,000 Transfer of cap due to servicing transfer 09/15/2010 $ (100,000) $ 09/30/2010 $ 200,000 $ 09/30/2010 $ (1,423,197) $ 52,880,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 53,080,000 initial cap 51,656,803 Updated portfolio data from servicer 11/16/2010 $ 1,400,000 $ 53,056,803 Transfer of cap due to servicing transfer 12/15/2010 $ (100,000) $ 52,956,803 Transfer of cap due to servicing transfer 01/06/2011 $ (72) $ 52,956,731 Updated due to quarterly assessment and reallocation 01/13/2011 $ 4,100,000 $ 57,056,731 Transfer of cap due to servicing transfer 02/16/2011 $ (100,000) $ 56,956,731 Transfer of cap due to servicing transfer 03/16/2011 $ 4,000,000 $ 60,956,731 Transfer of cap due to servicing transfer 03/30/2011 $ (94) $ 60,956,637 Updated due to quarterly assessment and reallocation 04/13/2011 $ (100,000) $ 60,856,637 Transfer of cap due to servicing transfer 05/13/2011 $ 5,800,000 $ 66,656,637 Transfer of cap due to servicing transfer 06/16/2011 $ 600,000 $ 67,256,637 Transfer of cap due to servicing transfer 06/29/2011 $ (812) $ 67,255,825 Updated due to quarterly assessment and reallocation 07/14/2011 $ 2,500,000 $ 69,755,825 Transfer of cap due to servicing transfer 09/15/2011 $ 2,800,000 $ 72,555,825 Transfer of cap due to servicing transfer 10/14/2011 $ 300,000 $ 72,855,825 Transfer of cap due to servicing transfer 11/16/2011 $ 900,000 $ 73,755,825 Transfer of cap due to servicing transfer 12/15/2011 $ 800,000 $ 74,555,825 Transfer of cap due to servicing transfer 01/13/2012 $ 200,000 $ 74,755,825 Transfer of cap due to servicing transfer 03/15/2012 $ 1,900,000 $ 76,655,825 Transfer of cap due to servicing transfer 04/16/2012 $ 200,000 $ 76,855,825 Transfer of cap due to servicing transfer 06/14/2012 $ 1,340,000 $ 78,195,825 Transfer of cap due to servicing transfer 06/28/2012 $ (340) $ 78,195,485 Updated due to quarterly assessment and reallocation 07/16/2012 $ 2,930,000 $ 81,125,485 Transfer of cap due to servicing transfer 08/16/2012 $ 890,000 $ 82,015,485 Transfer of cap due to servicing transfer 09/27/2012 $ (974) $ 82,014,511 Updated due to quarterly assessment and reallocation 10/16/2012 $ 1,800,000 $ 83,814,511 Transfer of cap due to servicing transfer 12/14/2012 $ 3,860,000 $ 87,674,511 Transfer of cap due to servicing transfer 12/27/2012 $ (154) $ 87,674,357 Updated due to quarterly assessment and reallocation 870,310 Updated due to quarterly assessment and reallocation 53,937 Termination of SPA 3,436,609 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 5,010,000 initial capportfolio data from servicer/additional program Updated 35,810,000 100 09/15/2011 11/14/2013 07/17/2009 PHH Mortgage Corporation Plaza Home Mortgage, Inc PNC Bank, National Association Mt. Laurel San Diego Pittsburgh NJ CA PA Purchase Purchase Purchase Financial Instrument for Home Loan Modifications - N/A Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 03/15/2012 PrimeWest Mortgage Corporation Lubbock TX Purchase Financial Instrument for Home Loan Modifications 07/29/2009 Purdue Federal Credit Union West Lafayette IN Purchase Financial Instrument for Home Loan Modifications - N/A $ 3 54,470,000 N/A - N/A $ 3 1,090,000 N/A 3 02/14/2013 $ 2,980,000 $ 90,654,357 Transfer of cap due to servicing transfer 03/25/2013 $ (506) $ 90,653,851 Updated due to quarterly assessment and reallocation 04/16/2013 $ 2,160,000 $ 92,813,851 Transfer of cap due to servicing transfer 06/14/2013 $ 2,440,000 $ 95,253,851 Transfer of cap due to servicing transfer 06/27/2013 $ (128) $ 95,253,723 Updated due to quarterly assessment and reallocation 09/27/2013 $ (7) $ 95,253,716 Updated due to quarterly assessment and reallocation 10/15/2013 $ 4,450,000 $ 12/23/2013 $ 15,826,215 $ 115,529,931 Updated due to quarterly assessment and reallocation 02/13/2014 $ 5,130,000 $ 120,659,931 Transfer of cap due to servicing transfer 03/14/2014 $ (2,390,000) $ 118,269,931 Transfer of cap due to servicing transfer 03/26/2014 $ 2,017,426 $ 120,287,357 Updated due to quarterly assessment and reallocation 05/15/2014 $ (10,000) $ 120,277,357 Transfer of cap due to servicing transfer 06/16/2014 $ 2,360,000 $ 122,637,357 Transfer of cap due to servicing transfer 06/26/2014 $ 5,959,201 $ 128,596,558 Updated due to quarterly assessment and reallocation 07/16/2014 $ 10,000 $ 128,606,558 Transfer of cap due to servicing transfer 07/29/2014 $ 3,708,381 $ 132,314,939 Updated due to quarterly assessment and reallocation 08/14/2014 $ 150,000 $ 132,464,939 Transfer of cap due to servicing transfer 09/16/2014 $ (2,610,000) $ 129,854,939 Transfer of cap due to servicing transfer 09/29/2014 $ (7,217) $ 129,847,722 Updated due to quarterly assessment and reallocation 09/15/2011 $ 1,300,000 $ 1,300,000 Transfer of cap due to servicing transfer 06/28/2012 $ (15) $ 1,299,985 Updated due to quarterly assessment and reallocation 09/27/2012 $ (42) $ 1,299,943 Updated due to quarterly assessment and reallocation 10/16/2012 $ 140,000 $ 1,439,943 Transfer of cap due to servicing transfer 12/27/2012 $ (8) $ 1,439,935 Updated due to quarterly assessment and reallocation 03/25/2013 $ (30) $ 1,439,905 Updated due to quarterly assessment and reallocation 06/27/2013 $ (11) $ 1,439,894 Updated due to quarterly assessment and reallocation 07/16/2013 $ 5,850,000 $ 7,289,894 Transfer of cap due to servicing transfer 09/27/2013 $ (20) $ 7,289,874 Updated due to quarterly assessment and reallocation 12/23/2013 $ (34,545) $ 7,255,329 Updated due to quarterly assessment and reallocation 03/26/2014 $ (1,216) $ 7,254,113 Updated due to quarterly assessment and reallocation 06/26/2014 $ (14,371) $ 7,239,742 Updated due to quarterly assessment and reallocation 07/29/2014 $ (28,561) $ 7,211,181 Updated due to quarterly assessment and reallocation 09/29/2014 $ (9,436) $ 7,201,745 Updated due to quarterly assessment and reallocation 11/14/2013 $ 10,000 $ 07/16/2014 $ 20,000 $ 99,703,716 Transfer of cap due to servicing transfer 10,000 Transfer of cap due to servicing transfer 30,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 09/30/2009 $ (36,240,000) $ 18,230,000 12/30/2009 $ 19,280,000 $ 37,510,000 03/26/2010 $ 2,470,000 $ 07/14/2010 $ (17,180,000) $ 09/30/2010 $ 35,500,000 $ 09/30/2010 $ 23,076,191 $ 22,800,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 58,300,000 initial cap 81,376,191 Updated portfolio data from servicer 01/06/2011 $ (123) $ 81,376,068 Updated due to quarterly assessment and reallocation 03/30/2011 $ (147) $ 81,375,921 Updated due to quarterly assessment and reallocation 05/13/2011 $ (100,000) $ 81,275,921 Transfer of cap due to servicing transfer 06/29/2011 $ (1,382) $ 81,274,539 Updated due to quarterly assessment and reallocation 10/14/2011 $ (300,000) $ 80,974,539 Transfer of cap due to servicing transfer 06/28/2012 $ (1,003) $ 80,973,536 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2,745) $ 80,970,791 Updated due to quarterly assessment and reallocation 12/27/2012 $ (460) $ 80,970,331 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1,740) $ 80,968,591 Updated due to quarterly assessment and reallocation 04/09/2013 $ 60,000 $ 81,028,591 Transfer of cap due to merger/acquisition 06/27/2013 $ (656) $ 81,027,935 Updated due to quarterly assessment and reallocation 09/27/2013 $ (234) $ 81,027,701 Updated due to quarterly assessment and reallocation 12/23/2013 $ (394,926) $ 80,632,775 Updated due to quarterly assessment and reallocation 03/26/2014 $ (13,845) $ 80,618,930 Updated due to quarterly assessment and reallocation 06/26/2014 $ (162,401) $ 80,456,529 Updated due to quarterly assessment and reallocation 07/29/2014 $ (322,480) $ 80,134,049 Updated due to quarterly assessment and reallocation 09/29/2014 $ (106,405) $ 80,027,644 Updated due to quarterly assessment and reallocation 03/15/2012 $ 100,000 $ 09/30/2009 $ (60,000) $ 1,030,000 12/30/2009 $ 1,260,000 $ 2,290,000 03/26/2010 $ 2,070,000 $ initial cap 4,360,000 Updated portfolio data from servicer 07/14/2010 $ (3,960,000) $ 400,000 Updated portfolio data from servicer 09/30/2010 $ 180,222 $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (8) $ 580,212 Updated due to quarterly assessment and reallocation 06/28/2012 $ (6) $ 580,206 Updated due to quarterly assessment and reallocation 09/27/2012 $ (17) $ 580,189 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 580,186 Updated due to quarterly assessment and reallocation 03/25/2013 $ (11) $ 580,175 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4) $ 580,171 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 580,170 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,474) $ 577,696 Updated due to quarterly assessment and reallocation 03/26/2014 $ (87) $ 577,609 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,027) $ 576,582 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,039) $ 574,543 Updated due to quarterly assessment and reallocation initial cap 39,980,000 Updated portfolio data from servicer 100,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 101 11/18/2009 11/18/2009 12/14/2012 09/01/2010 QLending, Inc. Quantum Servicing Corporation Quicken Loans Inc RBC Bank (USA) Coral Gables Tampa Detroit Raleigh FL FL MI NC Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ (673) $ 03/26/2010 $ (10,000) $ 10,000 Updated portfolio data from servicer 07/14/2010 $ 90,000 $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 09/29/2014 $ (63) $ 01/22/2010 $ 890,000 $ 03/26/2010 $ 3,840,000 $ 144,461 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap 23,690,000 Updated portfolio data from servicer 07/14/2010 $ (2,890,000) $ 20,800,000 Updated portfolio data from servicer 09/30/2010 $ 9,661,676 $ 30,461,676 Updated portfolio data from servicer 01/06/2011 $ (46) $ 30,461,630 Updated due to quarterly assessment and reallocation 01/13/2011 $ 1,600,000 $ 32,061,630 Transfer of cap due to servicing transfer 02/16/2011 $ 1,400,000 $ 33,461,630 Transfer of cap due to servicing transfer 03/30/2011 $ (58) $ 33,461,572 Updated due to quarterly assessment and reallocation 04/13/2011 $ 100,000 $ 33,561,572 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 33,661,572 Transfer of cap due to servicing transfer 06/16/2011 $ 800,000 $ 34,461,572 Transfer of cap due to servicing transfer 06/29/2011 $ (559) $ 34,461,013 Updated due to quarterly assessment and reallocation 07/14/2011 $ 300,000 $ 34,761,013 Transfer of cap due to servicing transfer 08/16/2011 $ 200,000 $ 34,961,013 Transfer of cap due to servicing transfer 09/15/2011 $ 100,000 $ 35,061,013 Transfer of cap due to servicing transfer 01/13/2012 $ 100,000 $ 35,161,013 Transfer of cap due to servicing transfer 06/14/2012 $ 330,000 $ 35,491,013 Transfer of cap due to servicing transfer 06/28/2012 $ (428) $ 35,490,585 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1,184) $ 35,489,401 Updated due to quarterly assessment and reallocation 10/16/2012 $ (1,910,000) $ 33,579,401 Transfer of cap due to servicing transfer 11/15/2012 $ (980,000) $ 32,599,401 Transfer of cap due to servicing transfer 12/27/2012 $ (187) $ 32,599,214 Updated due to quarterly assessment and reallocation 03/25/2013 $ (707) $ 32,598,507 Updated due to quarterly assessment and reallocation 04/16/2013 $ (240,000) $ 32,358,507 Transfer of cap due to servicing transfer 06/27/2013 $ (268) $ 32,358,239 Updated due to quarterly assessment and reallocation 07/16/2013 $ 10,000 $ 32,368,239 Transfer of cap due to servicing transfer 09/27/2013 $ (96) $ 32,368,143 Updated due to quarterly assessment and reallocation 11/14/2013 $ (20,000) $ 32,348,143 Transfer of cap due to servicing transfer 12/23/2013 $ (162,518) $ 32,185,625 Updated due to quarterly assessment and reallocation 6 02/27/2014 $ (31,540,186) $ 3 12/14/2012 $ 10,000 $ 10,000 Transfer of cap due to servicing transfer 08/15/2013 $ 10,000 $ 20,000 Transfer of cap due to servicing transfer 03/14/2014 $ 30,000 $ 50,000 Transfer of cap due to servicing transfer 05/15/2014 $ 10,000 $ 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 01/06/2011 $ 34,944 $ 180,000 Updated due to quarterly assessment and reallocation 03/30/2011 $ 40,000 $ 220,000 Updated due to quarterly assessment and reallocation 06/29/2011 $ 50,000 $ 270,000 Updated due to quarterly assessment and reallocation 03/15/2012 $ (200,000) $ 70,000 Transfer of cap due to servicing transfer 06/14/2012 $ (10,000) $ 60,000 Transfer of cap due to servicing transfer 04/09/2013 $ (60,000) 18,960,000 N/A - N/A $ 09/29/2014 20,000 N/A 100,000 N/A 9 06/12/2009 Residential Credit Solutions, Inc. Fort Worth TX Purchase Financial Instrument for Home Loan Modifications $ 19,400,000 N/A 573,870 Updated due to quarterly assessment and reallocation 144,524 Updated due to quarterly assessment and reallocation 19,850,000 645,439 Termination of SPA 60,000 Transfer of cap due to servicing transfer - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 45,460,000 initial cap 44,070,000 Updated portfolio data from servicer 09/30/2009 $ (1,860,000) $ 12/30/2009 $ 27,920,000 $ 03/26/2010 $ (1,390,000) $ 07/14/2010 $ (13,870,000) $ 09/30/2010 $ 400,000 $ 09/30/2010 $ 586,954 $ 30,200,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 30,600,000 initial cap 31,186,954 Updated portfolio data from servicer 01/06/2011 $ (34) $ 31,186,920 Updated due to quarterly assessment and reallocation 03/30/2011 $ (37) $ 31,186,883 Updated due to quarterly assessment and reallocation 04/13/2011 $ 100,000 $ 31,286,883 Transfer of cap due to servicing transfer 06/29/2011 $ (329) $ 31,286,554 Updated due to quarterly assessment and reallocation 09/15/2011 $ (1,900,000) $ 29,386,554 Transfer of cap due to servicing transfer 11/16/2011 $ 2,800,000 $ 32,186,554 Transfer of cap due to servicing transfer 05/16/2012 $ 420,000 $ 32,606,554 Transfer of cap due to servicing transfer 06/14/2012 $ 8,060,000 $ 40,666,554 Transfer of cap due to servicing transfer 06/28/2012 $ (313) $ 40,666,241 Updated due to quarterly assessment and reallocation 07/16/2012 $ 2,160,000 $ 42,826,241 Transfer of cap due to servicing transfer 09/27/2012 $ (911) $ 42,825,330 Updated due to quarterly assessment and reallocation 10/16/2012 $ 5,690,000 $ 48,515,330 Transfer of cap due to servicing transfer 11/15/2012 $ 20,000 $ 48,535,330 Transfer of cap due to servicing transfer 12/27/2012 $ (178) $ 48,535,152 Updated due to quarterly assessment and reallocation 02/14/2013 $ 3,190,000 $ 51,725,152 Transfer of cap due to servicing transfer 03/14/2013 $ (260,000) $ 51,465,152 Transfer of cap due to servicing transfer 03/25/2013 $ (713) $ 51,464,439 Updated due to quarterly assessment and reallocation 17,540,000 102 06/14/2012 06/17/2009 01/13/2010 Resurgent Capital Solutions L.P. RG Mortgage Corporation Roebling Bank Greenville San Juan Roebling SC PR NJ Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ $ 57,000,000 N/A 240,000 N/A 3 04/16/2013 $ 1,330,000 $ 52,794,439 Transfer of cap due to servicing transfer 05/16/2013 $ 100,000 $ 52,894,439 Transfer of cap due to servicing transfer 06/14/2013 $ 20,000 $ 52,914,439 Transfer of cap due to servicing transfer 06/27/2013 $ (264) $ 52,914,175 Updated due to quarterly assessment and reallocation 07/16/2013 $ 6,080,000 $ 58,994,175 Transfer of cap due to servicing transfer 09/16/2013 $ (2,130,000) $ 56,864,175 Transfer of cap due to servicing transfer 09/27/2013 $ (101) $ 56,864,074 Updated due to quarterly assessment and reallocation 10/15/2013 $ 6,910,000 $ 63,774,074 Transfer of cap due to servicing transfer 12/16/2013 $ (1,050,000) $ 62,724,074 Transfer of cap due to servicing transfer 12/23/2013 $ (173,584) $ 62,550,490 Updated due to quarterly assessment and reallocation 01/16/2014 $ 1,310,000 $ 63,860,490 Transfer of cap due to servicing transfer 02/13/2014 $ (2,210,000) $ 61,650,490 Transfer of cap due to servicing transfer 03/14/2014 $ (1,390,000) $ 60,260,490 Transfer of cap due to servicing transfer 03/26/2014 $ (5,632) $ 60,254,858 Updated due to quarterly assessment and reallocation 04/16/2014 $ (220,000) $ 60,034,858 Transfer of cap due to servicing transfer 05/15/2014 $ 940,000 $ 60,974,858 Transfer of cap due to servicing transfer 06/16/2014 $ (640,000) $ 60,334,858 Transfer of cap due to servicing transfer 06/26/2014 $ (63,739) $ 60,271,119 Updated due to quarterly assessment and reallocation 07/16/2014 $ 1,000,000 $ 61,271,119 Transfer of cap due to servicing transfer 07/29/2014 $ (128,318) $ 61,142,801 Updated due to quarterly assessment and reallocation 08/14/2014 $ (2,700,000) $ 58,442,801 Transfer of cap due to servicing transfer 09/16/2014 $ (2,860,000) $ 55,582,801 Transfer of cap due to servicing transfer 09/29/2014 $ (37,047) $ 55,545,754 Updated due to quarterly assessment and reallocation 06/14/2012 $ 940,000 $ 06/28/2012 $ 205,242 $ 1,145,242 Updated due to quarterly assessment and reallocation 09/27/2012 $ (3) $ 1,145,239 Updated due to quarterly assessment and reallocation 12/27/2012 $ (1) $ 1,145,238 Updated due to quarterly assessment and reallocation 01/16/2013 $ 10,000 $ 02/14/2013 $ 8,690,000 $ 9,845,238 Transfer of cap due to servicing transfer 03/14/2013 $ 1,390,000 $ 11,235,238 Transfer of cap due to servicing transfer 03/25/2013 $ (219) $ 11,235,019 Updated due to quarterly assessment and reallocation 05/16/2013 $ 620,000 $ 11,855,019 Transfer of cap due to servicing transfer 06/14/2013 $ 990,000 $ 12,845,019 Transfer of cap due to servicing transfer 06/27/2013 $ (96) $ 12,844,923 Updated due to quarterly assessment and reallocation 07/16/2013 $ 5,780,000 $ 18,624,923 Transfer of cap due to servicing transfer 09/27/2013 $ (50) $ 18,624,873 Updated due to quarterly assessment and reallocation 10/15/2013 $ 880,000 $ 19,504,873 Transfer of cap due to servicing transfer 11/14/2013 $ 6,610,000 $ 26,114,873 Transfer of cap due to servicing transfer 12/16/2013 $ 20,000 $ 26,134,873 Transfer of cap due to servicing transfer 12/23/2013 $ (118,329) $ 26,016,544 Updated due to quarterly assessment and reallocation 01/16/2014 $ 1,770,000 $ 27,786,544 Transfer of cap due to servicing transfer 02/13/2014 $ 23,920,000 $ 51,706,544 Transfer of cap due to servicing transfer 03/14/2014 $ 1,460,000 $ 53,166,544 Transfer of cap due to servicing transfer 03/26/2014 $ (7,186) $ 53,159,358 Updated due to quarterly assessment and reallocation 04/16/2014 $ 2,370,000 $ 55,529,358 Transfer of cap due to servicing transfer 05/15/2014 $ 1,990,000 $ 57,519,358 Transfer of cap due to servicing transfer 06/16/2014 $ 1,720,000 $ 59,239,358 Transfer of cap due to servicing transfer 06/26/2014 $ (96,715) $ 59,142,643 Updated due to quarterly assessment and reallocation 07/16/2014 $ 1,310,000 $ 60,452,643 Transfer of cap due to servicing transfer 07/29/2014 $ (197,950) $ 60,254,693 Updated due to quarterly assessment and reallocation 09/16/2014 $ (56,740,004) $ 940,000 Transfer of cap due to servicing transfer 1,155,238 Transfer of cap due to servicing transfer 3,514,689 Transfer of cap due to servicing transfer 09/29/2014 $ 488,713 $ 09/30/2009 $ (11,300,000) $ 12/30/2009 $ (42,210,000) $ 03/26/2010 $ 65,640,000 $ 4,003,402 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 3,490,000 initial cap 69,130,000 Updated portfolio data from servicer 04/09/2010 $ (14,470,000) $ 54,660,000 Updated portfolio data from servicer 07/14/2010 $ (8,860,000) $ 45,800,000 Updated portfolio data from servicer 09/30/2010 $ (4,459,154) $ 41,340,846 Updated portfolio data from servicer 12/15/2010 $ (4,300,000) $ 37,040,846 Transfer of cap due to servicing transfer 01/06/2011 $ (51) $ 37,040,795 Updated due to quarterly assessment and reallocation 03/30/2011 $ (65) $ 37,040,730 Updated due to quarterly assessment and reallocation 06/29/2011 $ (616) $ 37,040,114 Updated due to quarterly assessment and reallocation 06/28/2012 $ (462) $ 37,039,652 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1,270) $ 37,038,382 Updated due to quarterly assessment and reallocation 12/27/2012 $ (214) $ 37,038,168 Updated due to quarterly assessment and reallocation 03/25/2013 $ (812) $ 37,037,356 Updated due to quarterly assessment and reallocation 06/27/2013 $ (306) $ 37,037,050 Updated due to quarterly assessment and reallocation 09/27/2013 $ (110) $ 37,036,940 Updated due to quarterly assessment and reallocation 12/23/2013 $ (185,423) $ 36,851,517 Updated due to quarterly assessment and reallocation 03/26/2014 $ (6,518) $ 36,844,999 Updated due to quarterly assessment and reallocation 06/26/2014 $ (77,004) $ 36,767,995 Updated due to quarterly assessment and reallocation 07/29/2014 $ (152,943) $ 36,615,052 Updated due to quarterly assessment and reallocation 09/29/2014 $ (50,520) $ 36,564,532 Updated due to quarterly assessment and reallocation 03/26/2010 $ 610,000 $ 850,000 Updated portfolio data from servicer 07/14/2010 $ 50,000 $ 900,000 Updated portfolio data from servicer 09/30/2010 $ (29,666) $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 870,333 Updated due to quarterly assessment and reallocation 45,700,000 103 08/28/2009 RoundPoint Mortgage Servicing Corporation Charlotte NC Purchase Financial Instrument for Home Loan Modifications $ 570,000 N/A 03/23/2011 $ (870,333) 10/02/2009 $ 130,000 $ 12/30/2009 12/15/2011 04/13/2009 Rushmore Loan Management Services Irvine LLC Saxon Mortgage Services, Inc. Irving CA TX Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ 407,000,000 N/A 3 $ - Termination of SPA Updated portfolio data from servicer/additional program initial cap Updated portfolio data from servicer/additional program 390,000 initial cap 2,500,000 Updated portfolio data from servicer 700,000 (310,000) $ 03/26/2010 $ 2,110,000 $ 07/14/2010 $ 8,300,000 $ 10,800,000 Updated portfolio data from servicer 09/30/2010 $ 5,301,172 $ 16,101,172 Updated portfolio data from servicer 01/06/2011 $ (22) $ 16,101,150 Updated due to quarterly assessment and reallocation 03/16/2011 $ (400,000) $ 15,701,150 Transfer of cap due to servicing transfer 03/30/2011 $ (25) $ 15,701,125 Updated due to quarterly assessment and reallocation 06/29/2011 $ (232) $ 15,700,893 Updated due to quarterly assessment and reallocation 06/28/2012 $ (174) $ 15,700,719 Updated due to quarterly assessment and reallocation 09/27/2012 $ (479) $ 15,700,240 Updated due to quarterly assessment and reallocation 11/15/2012 $ (350,000) $ 15,350,240 Transfer of cap due to servicing transfer 12/27/2012 $ (82) $ 15,350,158 Updated due to quarterly assessment and reallocation 03/25/2013 $ (308) $ 15,349,850 Updated due to quarterly assessment and reallocation 04/16/2013 $ 80,000 $ 15,429,850 Transfer of cap due to servicing transfer 06/14/2013 $ 20,000 $ 15,449,850 Transfer of cap due to servicing transfer 06/27/2013 $ (108) $ 15,449,742 Updated due to quarterly assessment and reallocation 07/16/2013 $ 30,000 $ 15,479,742 Transfer of cap due to servicing transfer 09/16/2013 $ 640,000 $ 16,119,742 Transfer of cap due to servicing transfer 09/27/2013 $ (40) $ 16,119,702 Updated due to quarterly assessment and reallocation 12/16/2013 $ 190,000 $ 16,309,702 Transfer of cap due to servicing transfer 12/23/2013 $ (67,286) $ 16,242,416 Updated due to quarterly assessment and reallocation 01/16/2014 $ 520,000 $ 16,762,416 Transfer of cap due to servicing transfer 02/13/2014 $ 10,000 $ 16,772,416 Transfer of cap due to servicing transfer 03/14/2014 $ (30,000) $ 16,742,416 Transfer of cap due to servicing transfer 03/26/2014 $ (2,463) $ 16,739,953 Updated due to quarterly assessment and reallocation 04/16/2014 $ (20,000) $ 16,719,953 Transfer of cap due to servicing transfer 06/26/2014 $ (28,873) $ 16,691,080 Updated due to quarterly assessment and reallocation 07/16/2014 $ 480,000 $ 17,171,080 Transfer of cap due to servicing transfer 07/29/2014 $ (59,055) $ 17,112,025 Updated due to quarterly assessment and reallocation 08/14/2014 $ 360,000 $ 17,472,025 Transfer of cap due to servicing transfer 09/29/2014 $ (19,992) $ 17,452,033 Updated due to quarterly assessment and reallocation 12/15/2011 $ 200,000 $ 200,000 Transfer of cap due to servicing transfer 04/16/2012 $ 600,000 $ 800,000 Transfer of cap due to servicing transfer 06/28/2012 $ (3) $ 799,997 Updated due to quarterly assessment and reallocation 08/16/2012 $ 110,000 $ 909,997 Transfer of cap due to servicing transfer 09/27/2012 $ (13) $ 10/16/2012 $ 1,270,000 $ 2,179,984 Transfer of cap due to servicing transfer 11/15/2012 $ 230,000 $ 2,409,984 Transfer of cap due to servicing transfer 12/27/2012 $ (5) $ 2,409,979 Updated due to quarterly assessment and reallocation 01/16/2013 $ 990,000 $ 3,399,979 Transfer of cap due to servicing transfer 02/14/2013 $ 600,000 $ 3,999,979 Transfer of cap due to servicing transfer 03/14/2013 $ 1,980,000 $ 5,979,979 Transfer of cap due to servicing transfer 03/25/2013 $ (77) $ 5,979,902 Updated due to quarterly assessment and reallocation 04/16/2013 $ 340,000 $ 05/16/2013 $ 1,520,000 $ 7,839,902 Transfer of cap due to servicing transfer 06/14/2013 $ 2,740,000 $ 10,579,902 Transfer of cap due to servicing transfer 06/27/2013 $ (53) $ 10,579,849 Updated due to quarterly assessment and reallocation 09/16/2013 $ 2,570,000 $ 13,149,849 Transfer of cap due to servicing transfer 09/27/2013 $ (26) $ 13,149,823 Updated due to quarterly assessment and reallocation 10/15/2013 $ 10,000 $ 13,159,823 Transfer of cap due to servicing transfer 11/14/2013 $ 19,140,000 $ 32,299,823 Transfer of cap due to servicing transfer 12/16/2013 $ 1,330,000 $ 33,629,823 Transfer of cap due to servicing transfer 12/23/2013 $ (60,644) $ 33,569,179 Updated due to quarterly assessment and reallocation 01/16/2014 $ 10,000 $ 33,579,179 Transfer of cap due to servicing transfer 03/14/2014 $ 50,000 $ 33,629,179 Transfer of cap due to servicing transfer 03/26/2014 $ (2,090) $ 33,627,089 Updated due to quarterly assessment and reallocation 04/16/2014 $ 4,440,000 $ 38,067,089 Transfer of cap due to servicing transfer 05/15/2014 $ 60,000 $ 38,127,089 Transfer of cap due to servicing transfer 06/16/2014 $ 380,000 $ 38,507,089 Transfer of cap due to servicing transfer 06/26/2014 $ (35,305) $ 38,471,784 Updated due to quarterly assessment and reallocation 07/16/2014 $ 270,000 $ 38,741,784 Transfer of cap due to servicing transfer 07/29/2014 $ (69,974) $ 38,671,810 Updated due to quarterly assessment and reallocation 08/14/2014 $ 4,040,000 $ 42,711,810 Transfer of cap due to servicing transfer 09/16/2014 $ 1,670,000 $ 09/29/2014 $ (27,982) $ 06/17/2009 $ 225,040,000 $ 09/30/2009 $ 254,380,000 $ 12/30/2009 $ 355,710,000 $ 03/26/2010 $ (57,720,000) $ 632,040,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 886,420,000 initial capportfolio data from servicer/additional program Updated 1,242,130,000 initial cap 1,184,410,000 Updated portfolio data from servicer 06/16/2010 $ (156,050,000) $ 1,028,360,000 Transfer of cap due to servicing transfer 07/14/2010 $ (513,660,000) $ 514,700,000 Updated portfolio data from servicer 07/16/2010 $ (22,980,000) $ 491,720,000 Transfer of cap due to servicing transfer 09/15/2010 $ 1,800,000 $ 09/30/2010 $ 9,800,000 $ 493,520,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 503,320,000 initial cap 909,984 Updated due to quarterly assessment and reallocation 6,319,902 Transfer of cap due to servicing transfer 44,381,810 Transfer of cap due to servicing transfer 44,353,828 Updated due to quarterly assessment and reallocation 104 10 09/23/2009 12/15/2010 09/25/2009 04/13/2009 Schools Financial Credit Union Scotiabank de Puerto Rico SEFCU Select Portfolio Servicing, Inc. Sacramento San Juan Albany Salt Lake City CA PR NY UT Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 390,000 N/A - N/A $ $ 440,000 N/A 376,000,000 N/A 3 09/30/2010 $ 116,222,668 $ 619,542,668 Updated portfolio data from servicer 10/15/2010 $ 100,000 $ 619,642,668 Transfer of cap due to servicing transfer 12/15/2010 $ 8,900,000 $ 628,542,668 Transfer of cap due to servicing transfer 01/06/2011 $ (556) $ 628,542,112 Updated due to quarterly assessment and reallocation 01/13/2011 $ 2,300,000 $ 630,842,112 Transfer of cap due to servicing transfer 03/16/2011 $ 700,000 $ 631,542,112 Transfer of cap due to servicing transfer 03/30/2011 $ (654) $ 631,541,458 Updated due to quarterly assessment and reallocation 04/13/2011 $ 2,100,000 $ 633,641,458 Transfer of cap due to servicing transfer 06/29/2011 $ (6,144) $ 633,635,314 Updated due to quarterly assessment and reallocation 07/14/2011 $ 200,000 $ 633,835,314 Transfer of cap due to servicing transfer 08/16/2011 $ (100,000) $ 633,735,314 Transfer of cap due to servicing transfer 09/15/2011 $ (700,000) $ 633,035,314 Transfer of cap due to servicing transfer 12/15/2011 $ 17,500,000 $ 650,535,314 Transfer of cap due to servicing transfer 02/16/2012 $ (100,000) $ 650,435,314 Transfer of cap due to servicing transfer 03/15/2012 $ 100,000 $ 650,535,314 Transfer of cap due to servicing transfer 04/16/2012 $ (17,500,000) $ 633,035,314 Transfer of cap due to servicing transfer 05/16/2012 $ (760,000) $ 632,275,314 Transfer of cap due to servicing transfer 06/14/2012 $ (354,290,000) $ 277,985,314 Transfer of cap due to servicing transfer 06/28/2012 $ (1,831) $ 277,983,483 Updated due to quarterly assessment and reallocation 07/16/2012 $ (10,120,000) $ 267,863,483 Transfer of cap due to servicing transfer 08/16/2012 $ (10,000) $ 267,853,483 Transfer of cap due to servicing transfer 09/27/2012 $ (4,701) $ 267,848,782 Updated due to quarterly assessment and reallocation 10/16/2012 $ (9,220,000) $ 258,628,782 Transfer of cap due to servicing transfer 11/15/2012 $ (30,000) $ 258,598,782 Transfer of cap due to servicing transfer 12/14/2012 $ 60,000 $ 258,658,782 Transfer of cap due to servicing transfer 12/27/2012 $ (788) $ 258,657,994 Updated due to quarterly assessment and reallocation 01/16/2013 $ (610,000) $ 258,047,994 Transfer of cap due to servicing transfer 03/25/2013 $ (2,979) $ 258,045,015 Updated due to quarterly assessment and reallocation 04/09/2013 $ (157,237,929) $ 10/02/2009 $ 90,000 $ 12/30/2009 $ 940,000 $ 03/26/2010 $ (980,000) $ 100,807,086 Termination of SPA Updated portfolio data from servicer/additional program 480,000 initial capportfolio data from servicer/additional program Updated 1,420,000 initial cap 440,000 Updated portfolio data from servicer 07/14/2010 $ (140,000) $ 300,000 Updated portfolio data from servicer 09/30/2010 $ 1,150,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,450,554 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 1,450,552 Updated due to quarterly assessment and reallocation 06/29/2011 $ (22) $ 1,450,530 Updated due to quarterly assessment and reallocation 06/28/2012 $ (16) $ 1,450,514 Updated due to quarterly assessment and reallocation 09/27/2012 $ (44) $ 1,450,470 Updated due to quarterly assessment and reallocation 12/27/2012 $ (7) $ 1,450,463 Updated due to quarterly assessment and reallocation 03/25/2013 $ (28) $ 1,450,435 Updated due to quarterly assessment and reallocation 06/27/2013 $ (11) $ 1,450,424 Updated due to quarterly assessment and reallocation 09/27/2013 $ (4) $ 1,450,420 Updated due to quarterly assessment and reallocation 12/23/2013 $ (6,411) $ 1,444,009 Updated due to quarterly assessment and reallocation 03/26/2014 $ (225) $ 1,443,784 Updated due to quarterly assessment and reallocation 06/26/2014 $ (2,661) $ 1,441,123 Updated due to quarterly assessment and reallocation 07/29/2014 $ (5,285) $ 09/29/2014 $ (1,746) $ 1,434,092 Updated due to quarterly assessment and reallocation 12/15/2010 $ 4,300,000 $ 4,300,000 Transfer of cap due to servicing transfer 01/06/2011 $ (4) $ 4,299,996 Updated due to quarterly assessment and reallocation 06/29/2011 $ (5) $ 4,299,991 Updated due to quarterly assessment and reallocation 06/28/2012 $ (23) $ 4,299,968 Updated due to quarterly assessment and reallocation 09/27/2012 $ (63) $ 4,299,905 Updated due to quarterly assessment and reallocation 12/27/2012 $ (11) $ 4,299,894 Updated due to quarterly assessment and reallocation 03/25/2013 $ (41) $ 4,299,853 Updated due to quarterly assessment and reallocation 06/27/2013 $ (16) $ 4,299,837 Updated due to quarterly assessment and reallocation 09/27/2013 $ (6) $ 4,299,831 Updated due to quarterly assessment and reallocation 12/23/2013 $ (9,679) $ 4,290,152 Updated due to quarterly assessment and reallocation 03/26/2014 $ (344) $ 4,289,808 Updated due to quarterly assessment and reallocation 06/26/2014 $ (4,087) $ 4,285,721 Updated due to quarterly assessment and reallocation 07/29/2014 $ (8,126) $ 4,277,595 Updated due to quarterly assessment and reallocation 09/29/2014 $ (2,690) $ 4,274,905 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 540,000 initial capportfolio data from servicer/additional program Updated 560,000 initial cap 270,000 Updated portfolio data from servicer 1,435,838 Updated due to quarterly assessment and reallocation 10/02/2009 $ 100,000 $ 12/30/2009 $ 20,000 $ 03/26/2010 $ (290,000) $ 07/14/2010 $ (70,000) $ 200,000 Updated portfolio data from servicer 09/30/2010 $ (54,944) $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 04/11/2012 $ (145,055) 06/12/2009 $ 284,590,000 $ 09/30/2009 $ 121,910,000 $ 12/30/2009 $ 131,340,000 $ 03/26/2010 $ (355,530,000) $ 07/14/2010 $ 128,690,000 $ 09/30/2010 $ 4,000,000 $ 09/30/2010 $ 59,807,784 $ 687,000,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 691,000,000 initial cap 750,807,784 Updated portfolio data from servicer 11/16/2010 $ (700,000) $ 750,107,784 Transfer of cap due to servicing transfer - Termination of SPA 660,590,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 782,500,000 initial capportfolio data from servicer/additional program Updated 913,840,000 initial cap 558,310,000 Updated portfolio data from servicer 105 06/16/2010 Selene Finance LP Houston TX Purchase Financial Instrument for Home Loan Modifications - N/A 3 12/15/2010 $ 64,400,000 $ 814,507,784 Transfer of cap due to servicing transfer 01/06/2011 $ (639) $ 814,507,145 Updated due to quarterly assessment and reallocation 01/13/2011 $ (2,300,000) $ 812,207,145 Transfer of cap due to servicing transfer 02/16/2011 $ 100,000 $ 812,307,145 Transfer of cap due to servicing transfer 03/16/2011 $ 3,600,000 $ 815,907,145 Transfer of cap due to servicing transfer 03/30/2011 $ (735) $ 815,906,410 Updated due to quarterly assessment and reallocation 04/13/2011 $ (100,000) $ 815,806,410 Transfer of cap due to servicing transfer 05/13/2011 $ 400,000 $ 816,206,410 Transfer of cap due to servicing transfer 06/16/2011 $ (100,000) $ 816,106,410 Transfer of cap due to servicing transfer 06/29/2011 $ (6,805) $ 816,099,605 Updated due to quarterly assessment and reallocation 08/16/2011 $ (100,000) $ 815,999,605 Transfer of cap due to servicing transfer 09/15/2011 $ (200,000) $ 815,799,605 Transfer of cap due to servicing transfer 10/14/2011 $ (100,000) $ 815,699,605 Transfer of cap due to servicing transfer 11/16/2011 $ (100,000) $ 815,599,605 Transfer of cap due to servicing transfer 01/13/2012 $ 200,000 $ 815,799,605 Transfer of cap due to servicing transfer 03/15/2012 $ 24,800,000 $ 840,599,605 Transfer of cap due to servicing transfer 04/16/2012 $ 1,900,000 $ 842,499,605 Transfer of cap due to servicing transfer 05/16/2012 $ 80,000 $ 842,579,605 Transfer of cap due to servicing transfer 06/14/2012 $ 8,710,000 $ 851,289,605 Transfer of cap due to servicing transfer 06/28/2012 $ (5,176) $ 851,284,429 Updated due to quarterly assessment and reallocation 07/16/2012 $ 2,430,000 $ 853,714,429 Transfer of cap due to servicing transfer 08/16/2012 $ 2,310,000 $ 856,024,429 Transfer of cap due to servicing transfer 09/27/2012 $ (13,961) $ 856,010,468 Updated due to quarterly assessment and reallocation 10/16/2012 $ 126,940,000 $ 11/15/2012 $ 9,990,000 $ 992,940,468 Transfer of cap due to servicing transfer 12/14/2012 $ 10,650,000 $ 1,003,590,468 Transfer of cap due to servicing transfer 12/27/2012 $ (2,663) $ 1,003,587,805 Updated due to quarterly assessment and reallocation 01/16/2013 $ 18,650,000 $ 1,022,237,805 Transfer of cap due to servicing transfer 02/14/2013 $ 10,290,000 $ 1,032,527,805 Transfer of cap due to servicing transfer 03/14/2013 $ 4,320,000 $ 1,036,847,805 Transfer of cap due to servicing transfer 03/25/2013 $ (10,116) $ 1,036,837,689 Updated due to quarterly assessment and reallocation 04/16/2013 $ 840,000 $ 1,037,677,689 Transfer of cap due to servicing transfer 05/16/2013 $ 1,330,000 $ 1,039,007,689 Transfer of cap due to servicing transfer 06/14/2013 $ 3,620,000 $ 1,042,627,689 Transfer of cap due to servicing transfer 06/27/2013 $ (3,564) $ 1,042,624,125 Updated due to quarterly assessment and reallocation 07/16/2013 $ 105,080,000 $ 1,147,704,125 Transfer of cap due to servicing transfer 08/15/2013 $ 10,000 $ 1,147,714,125 Transfer of cap due to servicing transfer 09/16/2013 $ 98,610,000 $ 1,246,324,125 Transfer of cap due to servicing transfer 09/27/2013 $ (1,541) $ 1,246,322,584 Updated due to quarterly assessment and reallocation 10/15/2013 $ 1,280,000 $ 1,247,602,584 Transfer of cap due to servicing transfer 11/14/2013 $ 15,130,000 $ 1,262,732,584 Transfer of cap due to servicing transfer 12/16/2013 $ 6,290,000 $ 1,269,022,584 Transfer of cap due to servicing transfer 12/23/2013 $ (2,481,777) $ 1,266,540,807 Updated due to quarterly assessment and reallocation 01/16/2014 $ 1,580,000 $ 1,268,120,807 Transfer of cap due to servicing transfer 02/13/2014 $ 75,350,000 $ 1,343,470,807 Transfer of cap due to servicing transfer 03/14/2014 $ 16,900,000 $ 1,360,370,807 Transfer of cap due to servicing transfer 03/26/2014 $ (85,696) $ 1,360,285,111 Updated due to quarterly assessment and reallocation 04/16/2014 $ 12,470,000 $ 1,372,755,111 Transfer of cap due to servicing transfer 05/15/2014 $ 20,960,000 $ 1,393,715,111 Transfer of cap due to servicing transfer 06/16/2014 $ 14,220,000 $ 1,407,935,111 Transfer of cap due to servicing transfer 06/26/2014 $ (1,023,387) $ 1,406,911,724 Updated due to quarterly assessment and reallocation 07/16/2014 $ 12,690,000 $ 1,419,601,724 Transfer of cap due to servicing transfer 07/29/2014 $ (1,968,183) $ 1,417,633,541 Updated due to quarterly assessment and reallocation 08/14/2014 $ (42,210,000) $ 1,375,423,541 Transfer of cap due to servicing transfer 09/16/2014 $ 7,420,000 $ 1,382,843,541 Transfer of cap due to servicing transfer 09/29/2014 $ (540,365) $ 1,382,303,176 Updated due to quarterly assessment and reallocation 06/16/2010 $ 3,680,000 $ 08/13/2010 $ 3,300,000 $ 09/30/2010 $ 3,043,831 $ 10,023,831 Updated portfolio data from servicer 10/15/2010 $ 1,400,000 $ 11,423,831 Transfer of cap due to servicing transfer 01/06/2011 $ (17) $ 11,423,814 Updated due to quarterly assessment and reallocation 03/16/2011 $ 2,100,000 $ 13,523,814 Transfer of cap due to servicing transfer 03/30/2011 $ (24) $ 13,523,790 Updated due to quarterly assessment and reallocation 04/13/2011 $ 2,900,000 $ 16,423,790 Transfer of cap due to servicing transfer 06/16/2011 $ (200,000) $ 16,223,790 Transfer of cap due to servicing transfer 06/29/2011 $ (273) $ 16,223,517 Updated due to quarterly assessment and reallocation 10/14/2011 $ 100,000 $ 16,323,517 Transfer of cap due to servicing transfer 11/16/2011 $ 1,100,000 $ 17,423,517 Transfer of cap due to servicing transfer 04/16/2012 $ 200,000 $ 17,623,517 Transfer of cap due to servicing transfer 05/16/2012 $ 10,000 $ 17,633,517 Transfer of cap due to servicing transfer 06/14/2012 $ (300,000) $ 17,333,517 Transfer of cap due to servicing transfer 06/28/2012 $ (218) $ 17,333,299 Updated due to quarterly assessment and reallocation 07/16/2012 $ 40,000 $ 17,373,299 Transfer of cap due to servicing transfer 08/16/2012 $ 480,000 $ 17,853,299 Transfer of cap due to servicing transfer 09/27/2012 $ (600) $ 17,852,699 Updated due to quarterly assessment and reallocation 11/15/2012 $ 70,000 $ 17,922,699 Transfer of cap due to servicing transfer 12/27/2012 $ (102) $ 17,922,597 Updated due to quarterly assessment and reallocation 982,950,468 Transfer of cap due to servicing transfer 3,680,000 Transfer of cap due to servicing transfer 6,980,000 Transfer of cap due to servicing transfer 106 09/23/2009 08/12/2009 Seneca Mortgage Servicing LLC (AMS Servicing, LLC) Servis One, Inc., dba BSI Financial Services, Inc. Buffalo Titusville NY PA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 4,390,000 N/A 29,730,000 N/A 03/14/2013 $ 90,000 $ 18,012,597 Transfer of cap due to servicing transfer 03/25/2013 $ (384) $ 18,012,213 Updated due to quarterly assessment and reallocation 05/16/2013 $ (30,000) $ 17,982,213 Transfer of cap due to servicing transfer 06/27/2013 $ (146) $ 17,982,067 Updated due to quarterly assessment and reallocation 07/16/2013 $ 170,000 $ 18,152,067 Transfer of cap due to servicing transfer 09/27/2013 $ (52) $ 18,152,015 Updated due to quarterly assessment and reallocation 12/23/2013 $ (88,613) $ 18,063,402 Updated due to quarterly assessment and reallocation 03/14/2014 $ 10,000 $ 18,073,402 Transfer of cap due to servicing transfer 03/26/2014 $ (3,125) $ 18,070,277 Updated due to quarterly assessment and reallocation 04/16/2014 $ 30,000 $ 18,100,277 Transfer of cap due to servicing transfer 06/26/2014 $ (36,971) $ 18,063,306 Updated due to quarterly assessment and reallocation 07/16/2014 $ 23,490,000 $ 41,553,306 Transfer of cap due to servicing transfer 07/29/2014 $ (142,594) $ 41,410,712 Updated due to quarterly assessment and reallocation 08/14/2014 $ 2,480,000 $ 43,890,712 Transfer of cap due to servicing transfer 09/16/2014 $ 11,650,000 $ 55,540,712 Transfer of cap due to servicing transfer 09/29/2014 $ (52,910) $ 10/02/2009 $ 960,000 $ 12/30/2009 $ (3,090,000) $ 03/26/2010 $ 230,000 $ 55,487,802 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 5,350,000 initial cap Updated portfolio data from servicer/additional program 2,260,000 initial cap 2,490,000 Updated portfolio data from servicer 07/14/2010 $ 5,310,000 $ 7,800,000 Updated portfolio data from servicer 09/30/2010 $ 323,114 $ 8,123,114 Updated portfolio data from servicer 01/06/2011 $ (12) $ 8,123,102 Updated due to quarterly assessment and reallocation 03/16/2011 $ 600,000 $ 8,723,102 Transfer of cap due to servicing transfer 03/30/2011 $ (16) $ 8,723,086 Updated due to quarterly assessment and reallocation 04/13/2011 $ 200,000 $ 8,923,086 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 9,023,086 Transfer of cap due to servicing transfer 06/29/2011 $ (153) $ 9,022,933 Updated due to quarterly assessment and reallocation 09/15/2011 $ 100,000 $ 9,122,933 Transfer of cap due to servicing transfer 11/16/2011 $ 100,000 $ 9,222,933 Transfer of cap due to servicing transfer 04/16/2012 $ 1,100,000 $ 10,322,933 Transfer of cap due to servicing transfer 06/14/2012 $ 650,000 $ 10,972,933 Transfer of cap due to servicing transfer 06/28/2012 $ (136) $ 10,972,797 Updated due to quarterly assessment and reallocation 09/27/2012 $ (347) $ 10,972,450 Updated due to quarterly assessment and reallocation 10/16/2012 $ 250,000 $ 11,222,450 Transfer of cap due to servicing transfer 11/15/2012 $ 30,000 $ 11,252,450 Transfer of cap due to servicing transfer 12/14/2012 $ (10,000) $ 11,242,450 Transfer of cap due to servicing transfer 12/27/2012 $ (59) $ 11,242,391 Updated due to quarterly assessment and reallocation 01/16/2013 $ 20,000 $ 11,262,391 Transfer of cap due to servicing transfer 02/14/2013 $ 290,000 $ 11,552,391 Transfer of cap due to servicing transfer 03/14/2013 $ 10,000 $ 11,562,391 Transfer of cap due to servicing transfer 03/25/2013 $ (220) $ 11,562,171 Updated due to quarterly assessment and reallocation 04/16/2013 $ (60,000) $ 11,502,171 Transfer of cap due to servicing transfer 05/16/2013 $ 50,000 $ 11,552,171 Transfer of cap due to servicing transfer 06/14/2013 $ 10,000 $ 11,562,171 Transfer of cap due to servicing transfer 06/27/2013 $ (79) $ 11,562,092 Updated due to quarterly assessment and reallocation 07/16/2013 $ (90,000) $ 11,472,092 Transfer of cap due to servicing transfer 09/16/2013 $ 310,000 $ 11,782,092 Transfer of cap due to servicing transfer 09/27/2013 $ (28) $ 11,782,064 Updated due to quarterly assessment and reallocation 10/15/2013 $ 230,000 $ 12,012,064 Transfer of cap due to servicing transfer 11/14/2013 $ 120,000 $ 12,132,064 Transfer of cap due to servicing transfer 12/16/2013 $ 460,000 $ 12,592,064 Transfer of cap due to servicing transfer 12/23/2013 $ (49,413) $ 12,542,651 Updated due to quarterly assessment and reallocation 01/16/2014 $ 40,000 $ 12,582,651 Transfer of cap due to servicing transfer 03/14/2014 $ (260,000) $ 12,322,651 Transfer of cap due to servicing transfer 03/26/2014 $ (1,697) $ 12,320,954 Updated due to quarterly assessment and reallocation 04/16/2014 $ 100,000 $ 12,420,954 Transfer of cap due to servicing transfer 06/16/2014 $ 30,000 $ 12,450,954 Transfer of cap due to servicing transfer 06/26/2014 $ (20,009) $ 12,430,945 Updated due to quarterly assessment and reallocation 07/29/2014 $ (39,741) $ 12,391,204 Updated due to quarterly assessment and reallocation 08/14/2014 $ (40,000) $ 12,351,204 Transfer of cap due to servicing transfer 09/16/2014 $ 70,000 $ 12,421,204 Transfer of cap due to servicing transfer 09/29/2014 $ (13,236) $ 09/30/2009 $ (25,510,000) $ 12/30/2009 $ 520,000 $ 03/26/2010 $ 4,330,000 $ 12,407,968 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 4,220,000 initial cap Updated portfolio data from servicer/additional program 4,740,000 initial cap 9,070,000 Updated portfolio data from servicer 04/19/2010 $ 230,000 $ 05/19/2010 $ 850,000 $ 07/14/2010 $ (850,000) $ 09/15/2010 $ 100,000 $ 09/30/2010 $ 100,000 $ 09/30/2010 $ 16,755,064 $ 9,400,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 9,500,000 initial cap 26,255,064 Updated portfolio data from servicer 10/15/2010 $ 100,000 $ 26,355,064 Transfer of cap due to servicing transfer 12/15/2010 $ 100,000 $ 26,455,064 Transfer of cap due to servicing transfer 01/06/2011 $ (40) $ 26,455,024 Updated due to quarterly assessment and reallocation 01/13/2011 $ 300,000 $ 26,755,024 Transfer of cap due to servicing transfer 02/16/2011 $ 100,000 $ 26,855,024 Transfer of cap due to servicing transfer 9,300,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program initial cap 9,300,000 Updated portfolio data from servicer 10,150,000 107 07/17/2009 ShoreBank Chicago IL Purchase Financial Instrument for Home Loan Modifications $ 1,410,000 N/A 6 12/09/2009 Silver State Schools Credit Union Las Vegas NV Purchase Financial Instrument for Home Loan Modifications $ 1,880,000 N/A 03/16/2011 $ 2,200,000 $ 29,055,024 Transfer of cap due to servicing transfer 03/30/2011 $ (52) $ 29,054,972 Updated due to quarterly assessment and reallocation 04/13/2011 $ 1,500,000 $ 30,554,972 Transfer of cap due to servicing transfer 05/13/2011 $ 1,000,000 $ 31,554,972 Transfer of cap due to servicing transfer 06/16/2011 $ 100,000 $ 31,654,972 Transfer of cap due to servicing transfer 06/29/2011 $ (534) $ 31,654,438 Updated due to quarterly assessment and reallocation 08/16/2011 $ 700,000 $ 32,354,438 Transfer of cap due to servicing transfer 09/15/2011 $ (600,000) $ 31,754,438 Transfer of cap due to servicing transfer 10/14/2011 $ 4,000,000 $ 35,754,438 Transfer of cap due to servicing transfer 11/16/2011 $ 600,000 $ 36,354,438 Transfer of cap due to servicing transfer 12/15/2011 $ 200,000 $ 36,554,438 Transfer of cap due to servicing transfer 01/13/2012 $ 100,000 $ 36,654,438 Transfer of cap due to servicing transfer 02/16/2012 $ 1,300,000 $ 37,954,438 Transfer of cap due to servicing transfer 03/15/2012 $ 1,100,000 $ 39,054,438 Transfer of cap due to servicing transfer 04/16/2012 $ 800,000 $ 39,854,438 Transfer of cap due to servicing transfer 05/16/2012 $ (1,080,000) $ 38,774,438 Transfer of cap due to servicing transfer 06/14/2012 $ 1,560,000 $ 40,334,438 Transfer of cap due to servicing transfer 06/28/2012 $ (465) $ 40,333,973 Updated due to quarterly assessment and reallocation 08/16/2012 $ 70,000 $ 40,403,973 Transfer of cap due to servicing transfer 09/27/2012 $ (1,272) $ 40,402,701 Updated due to quarterly assessment and reallocation 10/16/2012 $ 2,100,000 $ 42,502,701 Transfer of cap due to servicing transfer 11/15/2012 $ 1,340,000 $ 43,842,701 Transfer of cap due to servicing transfer 12/14/2012 $ 1,160,000 $ 45,002,701 Transfer of cap due to servicing transfer 12/27/2012 $ (239) $ 45,002,462 Updated due to quarterly assessment and reallocation 01/16/2013 $ 210,000 $ 45,212,462 Transfer of cap due to servicing transfer 02/14/2013 $ 1,790,000 $ 47,002,462 Transfer of cap due to servicing transfer 03/14/2013 $ 1,920,000 $ 48,922,462 Transfer of cap due to servicing transfer 03/25/2013 $ (960) $ 48,921,502 Updated due to quarterly assessment and reallocation 04/16/2013 $ 410,000 $ 49,331,502 Transfer of cap due to servicing transfer 05/16/2013 $ (60,000) $ 49,271,502 Transfer of cap due to servicing transfer 06/14/2013 $ 1,620,000 $ 50,891,502 Transfer of cap due to servicing transfer 06/27/2013 $ (359) $ 50,891,143 Updated due to quarterly assessment and reallocation 07/16/2013 $ 2,030,000 $ 52,921,143 Transfer of cap due to servicing transfer 08/15/2013 $ 10,000 $ 52,931,143 Transfer of cap due to servicing transfer 09/16/2013 $ 2,600,000 $ 55,531,143 Transfer of cap due to servicing transfer 09/27/2013 $ (135) $ 55,531,008 Updated due to quarterly assessment and reallocation 10/15/2013 $ 270,000 $ 55,801,008 Transfer of cap due to servicing transfer 11/14/2013 $ 30,000 $ 55,831,008 Transfer of cap due to servicing transfer 12/16/2013 $ 9,960,000 $ 65,791,008 Transfer of cap due to servicing transfer 12/23/2013 $ (239,727) $ 65,551,281 Updated due to quarterly assessment and reallocation 01/16/2014 $ 2,090,000 $ 67,641,281 Transfer of cap due to servicing transfer 02/13/2014 $ 2,450,000 $ 70,091,281 Transfer of cap due to servicing transfer 03/14/2014 $ (130,000) $ 69,961,281 Transfer of cap due to servicing transfer 03/26/2014 $ (8,837) $ 69,952,444 Updated due to quarterly assessment and reallocation 04/16/2014 $ 60,000 $ 70,012,444 Transfer of cap due to servicing transfer 05/15/2014 $ (460,000) $ 69,552,444 Transfer of cap due to servicing transfer 06/16/2014 $ 920,000 $ 70,472,444 Transfer of cap due to servicing transfer 06/26/2014 $ (103,723) $ 70,368,721 Updated due to quarterly assessment and reallocation 07/29/2014 $ (205,396) $ 70,163,325 Updated due to quarterly assessment and reallocation 08/14/2014 $ 4,050,000 $ 74,213,325 Transfer of cap due to servicing transfer 09/16/2014 $ 420,000 $ 74,633,325 Transfer of cap due to servicing transfer 09/29/2014 $ (73,587) $ 09/30/2009 $ 890,000 $ 12/30/2009 $ 1,260,000 $ 03/26/2010 $ (20,000) $ 74,559,738 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 2,300,000 initial capportfolio data from servicer/additional program Updated 3,560,000 initial cap 3,540,000 Updated portfolio data from servicer 07/14/2010 $ (240,000) $ 3,300,000 Updated portfolio data from servicer 09/30/2010 $ 471,446 $ 3,771,446 Updated portfolio data from servicer 01/06/2011 $ (3) $ 3,771,443 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 3,771,439 Updated due to quarterly assessment and reallocation 04/13/2011 $ (1,100,000) $ 2,671,439 Transfer of cap due to servicing transfer 06/29/2011 $ (38) $ 2,671,401 Updated due to quarterly assessment and reallocation 06/28/2012 $ (29) $ 2,671,372 Updated due to quarterly assessment and reallocation 09/27/2012 $ (79) $ 2,671,293 Updated due to quarterly assessment and reallocation 12/27/2012 $ (13) $ 2,671,280 Updated due to quarterly assessment and reallocation 03/25/2013 $ (50) $ 2,671,230 Updated due to quarterly assessment and reallocation 04/09/2013 $ (2,324,244) $ 01/22/2010 $ 90,000 $ 03/26/2010 $ 1,110,000 $ 346,986 Termination of SPA Updated portfolio data from servicer/additional program initial cap 3,080,000 Updated portfolio data from servicer 07/14/2010 $ (1,180,000) $ 1,900,000 Updated portfolio data from servicer 09/30/2010 $ 275,834 $ 2,175,834 Updated portfolio data from servicer 01/06/2011 $ (2) $ 2,175,832 Updated due to quarterly assessment and reallocation 03/30/2011 $ (3) $ 2,175,829 Updated due to quarterly assessment and reallocation 06/29/2011 $ (26) $ 2,175,803 Updated due to quarterly assessment and reallocation 06/28/2012 $ (21) $ 2,175,782 Updated due to quarterly assessment and reallocation 09/27/2012 $ (57) $ 2,175,725 Updated due to quarterly assessment and reallocation 12/27/2012 $ (10) $ 2,175,715 Updated due to quarterly assessment and reallocation 03/25/2013 $ (37) $ 2,175,678 Updated due to quarterly assessment and reallocation 1,970,000 108 10/15/2013 12/16/2009 01/13/2010 12/09/2009 SN Servicing Corporation Sound Community Bank Specialized Loan Servicing LLC Spirit of Alaska Federal Credit Union Baton Rouge Seattle Highlands Ranch Fairbanks LA WA CO AK Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications - N/A $ $ $ 440,000 N/A 64,150,000 N/A 360,000 N/A 06/27/2013 $ (15) $ 6 07/09/2013 $ (1,889,819) $ 3 10/15/2013 $ 60,000 $ 2,175,663 Updated due to quarterly assessment and reallocation 12/16/2013 $ 10,000 $ 70,000 Transfer of cap due to servicing transfer 07/16/2014 $ 170,000 $ 240,000 Transfer of cap due to servicing transfer 07/29/2014 $ (544) $ 239,456 Updated due to quarterly assessment and reallocation 09/29/2014 $ (180) $ 01/22/2010 $ 20,000 $ 03/26/2010 $ 1,430,000 $ 239,276 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 460,000 initial cap 1,890,000 Updated portfolio data from servicer 07/14/2010 $ (390,000) $ 1,500,000 Updated portfolio data from servicer 09/08/2010 $ (1,500,000) 03/26/2010 $ (51,240,000) $ 12,910,000 Updated portfolio data from servicer 05/14/2010 $ 3,000,000 $ 15,910,000 Transfer of cap due to servicing transfer 06/16/2010 $ 4,860,000 $ 20,770,000 Transfer of cap due to servicing transfer 07/14/2010 $ 3,630,000 $ 24,400,000 Updated portfolio data from servicer 07/16/2010 $ 330,000 $ 24,730,000 Transfer of cap due to servicing transfer 08/13/2010 $ 700,000 $ 25,430,000 Transfer of cap due to servicing transfer 09/15/2010 $ 200,000 $ 25,630,000 Transfer of cap due to servicing transfer 09/30/2010 $ (1,695,826) $ 23,934,174 Updated portfolio data from servicer 11/16/2010 $ 200,000 $ 24,134,174 Transfer of cap due to servicing transfer 01/06/2011 $ (32) $ 24,134,142 Updated due to quarterly assessment and reallocation 01/13/2011 $ 1,500,000 $ 25,634,142 Transfer of cap due to servicing transfer 03/16/2011 $ 7,100,000 $ 32,734,142 Transfer of cap due to servicing transfer 03/30/2011 $ (36) $ 32,734,106 Updated due to quarterly assessment and reallocation 04/13/2011 $ 1,000,000 $ 33,734,106 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 33,834,106 Transfer of cap due to servicing transfer 06/16/2011 $ 300,000 $ 34,134,106 Transfer of cap due to servicing transfer 06/29/2011 $ (332) $ 34,133,774 Updated due to quarterly assessment and reallocation 08/16/2011 $ 100,000 $ 34,233,774 Transfer of cap due to servicing transfer 09/15/2011 $ 300,000 $ 34,533,774 Transfer of cap due to servicing transfer 10/14/2011 $ 300,000 $ 34,833,774 Transfer of cap due to servicing transfer 12/15/2011 $ (1,700,000) $ 33,133,774 Transfer of cap due to servicing transfer 01/13/2012 $ 1,600,000 $ 34,733,774 Transfer of cap due to servicing transfer 02/16/2012 $ 100,000 $ 34,833,774 Transfer of cap due to servicing transfer 03/15/2012 $ 100,000 $ 34,933,774 Transfer of cap due to servicing transfer 04/16/2012 $ 77,600,000 $ 112,533,774 Transfer of cap due to servicing transfer 05/16/2012 $ 40,000 $ 112,573,774 Transfer of cap due to servicing transfer 06/14/2012 $ (350,000) $ 112,223,774 Transfer of cap due to servicing transfer 06/28/2012 $ (1,058) $ 112,222,716 Updated due to quarterly assessment and reallocation 07/16/2012 $ 4,430,000 $ 116,652,716 Transfer of cap due to servicing transfer 08/16/2012 $ (1,280,000) $ 115,372,716 Transfer of cap due to servicing transfer 09/27/2012 $ (3,061) $ 115,369,655 Updated due to quarterly assessment and reallocation 10/16/2012 $ 5,600,000 $ 120,969,655 Transfer of cap due to servicing transfer 11/15/2012 $ 880,000 $ 121,849,655 Transfer of cap due to servicing transfer 12/14/2012 $ 24,180,000 $ 146,029,655 Transfer of cap due to servicing transfer 12/27/2012 $ (663) $ 146,028,992 Updated due to quarterly assessment and reallocation 01/16/2013 $ 2,410,000 $ 148,438,992 Transfer of cap due to servicing transfer 02/14/2013 $ 6,650,000 $ 155,088,992 Transfer of cap due to servicing transfer 03/14/2013 $ (1,450,000) $ 153,638,992 Transfer of cap due to servicing transfer 03/25/2013 $ (2,584) $ 153,636,408 Updated due to quarterly assessment and reallocation 04/16/2013 $ (750,000) $ 152,886,408 Transfer of cap due to servicing transfer 05/16/2013 $ (1,250,000) $ 151,636,408 Transfer of cap due to servicing transfer 06/14/2013 $ 3,670,000 $ 155,306,408 Transfer of cap due to servicing transfer 06/27/2013 $ (985) $ 155,305,423 Updated due to quarterly assessment and reallocation 07/16/2013 $ (3,720,000) $ 151,585,423 Transfer of cap due to servicing transfer 09/16/2013 $ (180,000) $ 151,405,423 Transfer of cap due to servicing transfer 09/27/2013 $ (346) $ 151,405,077 Updated due to quarterly assessment and reallocation 10/15/2013 $ 860,000 $ 152,265,077 Transfer of cap due to servicing transfer 11/14/2013 $ (410,000) $ 151,855,077 Transfer of cap due to servicing transfer 12/16/2013 $ (10,160,000) $ 141,695,077 Transfer of cap due to servicing transfer 12/23/2013 $ (381,129) $ 141,313,948 Updated due to quarterly assessment and reallocation 01/16/2014 $ 8,200,000 $ 149,513,948 Transfer of cap due to servicing transfer 02/13/2014 $ 21,910,000 $ 171,423,948 Transfer of cap due to servicing transfer 03/14/2014 $ 300,000 $ 171,723,948 Transfer of cap due to servicing transfer 03/26/2014 $ (10,851) $ 171,713,097 Updated due to quarterly assessment and reallocation 04/16/2014 $ 4,470,000 $ 176,183,097 Transfer of cap due to servicing transfer 05/15/2014 $ (28,460,000) $ 147,723,097 Transfer of cap due to servicing transfer 06/16/2014 $ 4,680,000 $ 152,403,097 Transfer of cap due to servicing transfer 06/26/2014 $ (57,511) $ 152,345,586 Updated due to quarterly assessment and reallocation 07/16/2014 $ 16,450,000 $ 168,795,586 Transfer of cap due to servicing transfer 07/29/2014 $ (115,275) $ 168,680,311 Updated due to quarterly assessment and reallocation 08/14/2014 $ 230,000 $ 168,910,311 Transfer of cap due to servicing transfer 09/16/2014 $ (4,270,000) $ 164,640,311 Transfer of cap due to servicing transfer 09/29/2014 $ (27,454) $ 01/22/2010 $ 10,000 $ 164,612,857 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 370,000 initial cap 03/26/2010 $ 850,000 $ 285,844 Termination of SPA 60,000 Transfer of cap due to servicing transfer - Termination of SPA 1,220,000 Updated portfolio data from servicer 109 08/28/2009 12/15/2010 12/09/2009 09/30/2010 08/04/2010 Stanford Federal Credit Union Statebridge Company, LLC Sterling Savings Bank Stockman Bank of Montana Suburban Mortgage Company of New Mexico Palo Alto Denver Spokane Miles City Albuquerque CA CO WA MT NM Purchase Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 300,000 N/A - N/A $ $ $ 2,250,000 N/A 100,000 N/A 880,000 N/A 3 07/14/2010 $ (120,000) $ 09/30/2010 $ 100,000 $ 09/30/2010 $ 105,500 $ 1,100,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 1,200,000 initial cap 1,305,500 Updated portfolio data from servicer 01/06/2011 $ (2) $ 1,305,498 Updated due to quarterly assessment and reallocation 02/17/2011 $ (1,305,498) 10/02/2009 $ 70,000 $ 370,000 12/30/2009 $ 2,680,000 $ 3,050,000 03/26/2010 $ 350,000 $ initial cap 3,400,000 Updated portfolio data from servicer 07/14/2010 $ (1,900,000) $ 1,500,000 Updated portfolio data from servicer 09/30/2010 $ (1,209,889) $ 290,111 Updated portfolio data from servicer 03/23/2011 $ (290,111) 12/15/2010 $ 5,000,000 $ 5,000,000 Transfer of cap due to servicing transfer 01/06/2011 $ (7) $ 4,999,993 Updated due to quarterly assessment and reallocation 02/16/2011 $ 500,000 $ 5,499,993 Transfer of cap due to servicing transfer 03/16/2011 $ 100,000 $ 5,599,993 Transfer of cap due to servicing transfer 03/30/2011 $ (9) $ 5,599,984 Updated due to quarterly assessment and reallocation 06/29/2011 $ (85) $ 5,599,899 Updated due to quarterly assessment and reallocation 11/16/2011 $ (2,500,000) $ 3,099,899 Transfer of cap due to servicing transfer 03/15/2012 $ 200,000 $ 3,299,899 Transfer of cap due to servicing transfer 06/28/2012 $ (40) $ 3,299,859 Updated due to quarterly assessment and reallocation 09/27/2012 $ (100) $ 3,299,759 Updated due to quarterly assessment and reallocation 10/16/2012 $ 170,000 $ 3,469,759 Transfer of cap due to servicing transfer 11/15/2012 $ (30,000) $ 3,439,759 Transfer of cap due to servicing transfer 12/14/2012 $ (80,000) $ 3,359,759 Transfer of cap due to servicing transfer 12/27/2012 $ (17) $ 3,359,742 Updated due to quarterly assessment and reallocation 01/16/2013 $ 50,000 $ 3,409,742 Transfer of cap due to servicing transfer 02/14/2013 $ 1,240,000 $ 4,649,742 Transfer of cap due to servicing transfer 03/14/2013 $ 90,000 $ 4,739,742 Transfer of cap due to servicing transfer 03/25/2013 $ (90) $ 4,739,652 Updated due to quarterly assessment and reallocation 04/16/2013 $ (10,000) $ 4,729,652 Transfer of cap due to servicing transfer 06/27/2013 $ (34) $ 4,729,618 Updated due to quarterly assessment and reallocation 09/27/2013 $ (13) $ 4,729,605 Updated due to quarterly assessment and reallocation 11/14/2013 $ 60,000 $ 4,789,605 Transfer of cap due to servicing transfer 12/23/2013 $ (21,773) $ 4,767,832 Updated due to quarterly assessment and reallocation 01/16/2014 $ (20,000) $ 4,747,832 Transfer of cap due to servicing transfer 02/13/2014 $ 60,000 $ 4,807,832 Transfer of cap due to servicing transfer 03/14/2014 $ (30,000) $ 4,777,832 Transfer of cap due to servicing transfer 03/26/2014 $ (770) $ 4,777,062 Updated due to quarterly assessment and reallocation 06/26/2014 $ (8,978) $ 4,768,084 Updated due to quarterly assessment and reallocation 07/16/2014 $ 150,000 $ 4,918,084 Transfer of cap due to servicing transfer 07/29/2014 $ (18,319) $ 4,899,765 Updated due to quarterly assessment and reallocation 08/14/2014 $ 330,000 $ 5,229,765 Transfer of cap due to servicing transfer 09/16/2014 $ 510,000 $ 5,739,765 Transfer of cap due to servicing transfer 09/29/2014 $ (7,084) $ 01/22/2010 $ 100,000 $ 03/26/2010 $ (740,000) $ 5,732,681 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 2,350,000 initial cap 1,610,000 Updated portfolio data from servicer 07/14/2010 $ (710,000) $ 900,000 Updated portfolio data from servicer 09/30/2010 $ 550,556 $ 1,450,556 Updated portfolio data from servicer 01/06/2011 $ (1) $ 1,450,555 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 1,450,554 Updated due to quarterly assessment and reallocation 06/29/2011 $ (11) $ 1,450,543 Updated due to quarterly assessment and reallocation 09/27/2012 $ 30,907 $ 1,481,450 Updated due to quarterly assessment and reallocation 12/27/2012 $ 58,688 $ 1,540,138 Updated due to quarterly assessment and reallocation 03/25/2013 $ 235,175 $ 1,775,313 Updated due to quarterly assessment and reallocation 06/27/2013 $ 84,191 $ 1,859,504 Updated due to quarterly assessment and reallocation 09/27/2013 $ 13,786 $ 1,873,290 Updated due to quarterly assessment and reallocation 12/23/2013 $ (35) $ 1,873,255 Updated due to quarterly assessment and reallocation 03/26/2014 $ 12,095 $ 1,885,350 Updated due to quarterly assessment and reallocation 06/26/2014 $ 122,307 $ 2,007,657 Updated due to quarterly assessment and reallocation 07/29/2014 $ 22,184 $ 2,029,841 Updated due to quarterly assessment and reallocation 09/29/2014 $ 24,565 $ 2,054,406 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 144,524 Updated due to quarterly assessment and reallocation 09/29/2014 $ (63) $ 09/30/2010 $ 1,585,945 $ 2,465,945 Updated portfolio data from servicer 01/06/2011 $ (4) $ 2,465,941 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 2,465,937 Updated due to quarterly assessment and reallocation 06/29/2011 $ (40) $ 2,465,897 Updated due to quarterly assessment and reallocation 06/28/2012 $ (30) $ 2,465,867 Updated due to quarterly assessment and reallocation - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated - Termination of SPA 144,461 Updated due to quarterly assessment and reallocation 110 08/10/2012 $ (2,465,867) 01/13/2012 Sun West Mortgage Company, Inc Cerritos CA Purchase Financial Instrument for Home Loan Modifications - N/A 3 01/13/2012 $ 100,000 $ 100,000 Transfer of cap due to servicing transfer 04/13/2011 SunTrust Mortgage, Inc. Richmond VA Purchase Financial Instrument for Home Loan Modifications - N/A 3 04/13/2011 $ 100,000 $ 100,000 Transfer of cap due to servicing transfer 06/14/2013 $ 120,000 $ 220,000 Transfer of cap due to servicing transfer 06/27/2013 $ (1) $ 219,999 Updated due to quarterly assessment and reallocation 07/16/2013 $ 10,000 $ 229,999 Transfer of cap due to servicing transfer 12/23/2013 $ (670) $ 229,329 Updated due to quarterly assessment and reallocation 01/16/2014 $ 20,000 $ 249,329 Transfer of cap due to servicing transfer 02/13/2014 $ 90,000 $ 339,329 Transfer of cap due to servicing transfer 03/14/2014 $ 50,000 $ 389,329 Transfer of cap due to servicing transfer 03/26/2014 $ (38) $ 389,291 Updated due to quarterly assessment and reallocation 04/16/2014 $ 60,000 $ 449,291 Transfer of cap due to servicing transfer 06/26/2014 $ (486) $ 448,805 Updated due to quarterly assessment and reallocation 07/16/2014 $ 70,000 $ 518,805 Transfer of cap due to servicing transfer 07/29/2014 $ (989) $ 517,816 Updated due to quarterly assessment and reallocation 08/14/2014 $ 30,000 $ 09/29/2014 $ (358) $ 12/30/2009 $ 2,180,000 $ 03/26/2010 $ (720,000) $ 547,458 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial cap 1,530,000 Updated portfolio data from servicer 07/14/2010 $ (430,000) $ 1,100,000 Updated portfolio data from servicer 09/30/2010 $ 60,445 $ 1,160,445 Updated portfolio data from servicer 01/06/2011 $ (1) $ 1,160,444 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 1,160,443 Updated due to quarterly assessment and reallocation 06/29/2011 $ (12) $ 1,160,431 Updated due to quarterly assessment and reallocation 06/28/2012 $ (9) $ 1,160,422 Updated due to quarterly assessment and reallocation 09/27/2012 $ (23) $ 1,160,399 Updated due to quarterly assessment and reallocation 12/27/2012 $ (4) $ 1,160,395 Updated due to quarterly assessment and reallocation 03/25/2013 $ (13) $ 1,160,382 Updated due to quarterly assessment and reallocation 06/27/2013 $ (5) $ 1,160,377 Updated due to quarterly assessment and reallocation 09/27/2013 $ (2) $ 1,160,375 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,729) $ 1,157,646 Updated due to quarterly assessment and reallocation 03/26/2014 $ (101) $ 1,157,545 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,195) $ 1,156,350 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,373) $ 1,153,977 Updated due to quarterly assessment and reallocation 09/29/2014 $ (784) $ 1,153,193 Updated due to quarterly assessment and reallocation 03/26/2010 $ (20,000) $ 90,000 Updated portfolio data from servicer 07/14/2010 $ 10,000 $ 100,000 Updated portfolio data from servicer 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 12/08/2010 $ (145,056) 04/21/2010 $ (150,000) 06/16/2011 $ 100,000 $ 01/22/2010 $ 290,000 $ 03/26/2010 $ 40,000 $ 100,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 6,450,000 initial cap 6,490,000 Updated portfolio data from servicer 07/14/2010 $ (2,890,000) $ 3,600,000 Updated portfolio data from servicer 09/30/2010 $ 606,612 $ 4,206,612 Updated portfolio data from servicer 01/06/2011 $ (4) $ 4,206,608 Updated due to quarterly assessment and reallocation 03/30/2011 $ (4) $ 4,206,604 Updated due to quarterly assessment and reallocation 06/29/2011 $ (35) $ 4,206,569 Updated due to quarterly assessment and reallocation 06/28/2012 $ (9) $ 4,206,560 Updated due to quarterly assessment and reallocation 09/27/2012 $ (14) $ 4,206,546 Updated due to quarterly assessment and reallocation 12/27/2012 $ (2) $ 4,206,544 Updated due to quarterly assessment and reallocation 03/25/2013 $ (8) $ 4,206,536 Updated due to quarterly assessment and reallocation 06/27/2013 $ (4) $ 4,206,532 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 4,206,531 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,412) $ 4,204,119 Updated due to quarterly assessment and reallocation 03/26/2014 $ (84) $ 4,204,035 Updated due to quarterly assessment and reallocation 06/26/2014 $ (302) $ 4,203,733 Updated due to quarterly assessment and reallocation 07/29/2014 $ (16) $ 09/29/2014 $ 20,590 $ 10/02/2009 $ 24,920,000 $ 139,140,000 12/30/2009 $ 49,410,000 $ 188,550,000 03/26/2010 $ 41,830,000 $ initial cap 230,380,000 Updated portfolio data from servicer 07/14/2010 $ (85,780,000) $ 144,600,000 Updated portfolio data from servicer 09/30/2010 $ 36,574,444 $ 181,174,444 Updated portfolio data from servicer 01/06/2011 $ (160) $ 181,174,284 Updated due to quarterly assessment and reallocation 03/30/2011 $ (172) $ 181,174,112 Updated due to quarterly assessment and reallocation 06/29/2011 $ (1,431) $ 181,172,681 Updated due to quarterly assessment and reallocation 06/28/2012 $ (746) $ 181,171,935 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1,926) $ 181,170,009 Updated due to quarterly assessment and reallocation 12/27/2012 $ (308) $ 181,169,701 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1,135) $ 181,168,566 Updated due to quarterly assessment and reallocation 06/27/2013 $ (418) $ 181,168,148 Updated due to quarterly assessment and reallocation 09/27/2013 $ (139) $ 181,168,009 Updated due to quarterly assessment and reallocation 12/23/2013 $ (212,077) $ 180,955,932 Updated due to quarterly assessment and reallocation 03/26/2014 $ (6,391) $ 180,949,541 Updated due to quarterly assessment and reallocation 06/26/2014 $ (71,209) $ 180,878,332 Updated due to quarterly assessment and reallocation 07/29/2014 $ (125,785) $ 180,752,547 Updated due to quarterly assessment and reallocation 06/26/2009 12/23/2009 12/11/2009 Technology Credit Union Tempe Schools Credit Union The Bryn Mawr Trust Co. San Jose Tempe Bryn Mawr CA AZ PA Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ 70,000 N/A 110,000 N/A 150,000 N/A 3 12/09/2009 09/09/2009 The Golden 1 Credit Union U.S. Bank National Association Sacramento Owensboro CA KY Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 6,160,000 N/A 114,220,000 N/A - Termination of SPA 547,816 Transfer of cap due to servicing transfer 2,250,000 - Termination of SPA - Termination of SPA 4,203,717 Updated due to quarterly assessment and reallocation 4,224,307 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 111 01/29/2010 10/21/2009 09/30/2010 04/13/2011 03/03/2010 United Bank United Bank Mortgage Corporation University First Federal Credit Union Urban Partnership Bank Urban Trust Bank Griffin Grand Rapids Salt Lake City Chicago Lake Mary GA MI UT IL FL Purchase Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications 540,000 N/A 410,000 N/A 600,000 N/A - N/A $ 3 1,060,000 N/A 3 12/11/2009 Verity Credit Union Seattle WA Purchase Financial Instrument for Home Loan Modifications 05/16/2013 ViewPoint Bank Plano TX Purchase Financial Instrument for Home Loan Modifications 03/10/2010 VIST Financial Corp Wyomissing PA Purchase Financial Instrument for Home Loan Modifications $ 600,000 N/A - N/A $ 300,000 N/A 3 09/29/2014 $ (39,094) $ 03/26/2010 $ 160,000 $ 700,000 Updated portfolio data from servicer 09/30/2010 $ 25,278 $ 180,713,453 Updated due to quarterly assessment and reallocation 725,278 Updated portfolio data from servicer 01/06/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 725,276 Updated due to quarterly assessment and reallocation 06/29/2011 $ (11) $ 725,265 Updated due to quarterly assessment and reallocation 06/28/2012 $ (8) $ 725,257 Updated due to quarterly assessment and reallocation 09/27/2012 $ (22) $ 725,235 Updated due to quarterly assessment and reallocation 12/27/2012 $ (4) $ 725,231 Updated due to quarterly assessment and reallocation 03/25/2013 $ (14) $ 725,217 Updated due to quarterly assessment and reallocation 06/27/2013 $ (5) $ 725,212 Updated due to quarterly assessment and reallocation 09/27/2013 $ (2) $ 725,210 Updated due to quarterly assessment and reallocation 12/23/2013 $ (3,221) $ 721,989 Updated due to quarterly assessment and reallocation 03/26/2014 $ (113) $ 721,876 Updated due to quarterly assessment and reallocation 06/26/2014 $ (1,337) $ 720,539 Updated due to quarterly assessment and reallocation 07/29/2014 $ (2,655) $ 717,884 Updated due to quarterly assessment and reallocation 09/29/2014 $ (877) $ 01/22/2010 $ 20,000 $ 03/26/2010 $ 400,000 $ 717,007 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 430,000 initial cap 830,000 Updated portfolio data from servicer 07/14/2010 $ (430,000) $ 400,000 Updated portfolio data from servicer 09/30/2010 $ 180,222 $ 580,222 Updated portfolio data from servicer 01/06/2011 $ (1) $ 580,221 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 580,220 Updated due to quarterly assessment and reallocation 06/29/2011 $ (5) $ 580,215 Updated due to quarterly assessment and reallocation 06/28/2012 $ (4) $ 580,211 Updated due to quarterly assessment and reallocation 09/27/2012 $ (11) $ 580,200 Updated due to quarterly assessment and reallocation 12/27/2012 $ (2) $ 580,198 Updated due to quarterly assessment and reallocation 03/25/2013 $ (7) $ 580,191 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 580,189 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 580,188 Updated due to quarterly assessment and reallocation 12/23/2013 $ (1,471) $ 578,717 Updated due to quarterly assessment and reallocation 03/26/2014 $ (52) $ 578,665 Updated due to quarterly assessment and reallocation 06/26/2014 $ (613) $ 578,052 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,217) $ 576,835 Updated due to quarterly assessment and reallocation 09/29/2014 $ (403) $ 576,432 Updated due to quarterly assessment and reallocation 09/30/2010 $ 270,334 $ 870,334 Updated portfolio data from servicer 01/06/2011 $ (1) $ 02/17/2011 $ (870,333) 04/13/2011 $ 1,000,000 $ 1,000,000 Transfer of cap due to servicing transfer 06/29/2011 $ 233,268 $ 1,233,268 Updated due to quarterly assessment and reallocation 11/16/2011 $ 100,000 $ 1,333,268 Transfer of cap due to servicing transfer 06/28/2012 $ (3) $ 1,333,265 Updated due to quarterly assessment and reallocation 09/27/2012 $ (10) $ 1,333,255 Updated due to quarterly assessment and reallocation 12/27/2012 $ (2) $ 1,333,253 Updated due to quarterly assessment and reallocation 03/25/2013 $ (7) $ 1,333,246 Updated due to quarterly assessment and reallocation 06/27/2013 $ (3) $ 1,333,243 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 1,333,242 Updated due to quarterly assessment and reallocation 12/23/2013 $ (1,744) $ 1,331,498 Updated due to quarterly assessment and reallocation 03/26/2014 $ (62) $ 1,331,436 Updated due to quarterly assessment and reallocation 06/26/2014 $ (735) $ 1,330,701 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,463) $ 1,329,238 Updated due to quarterly assessment and reallocation 09/29/2014 $ (498) $ 1,328,740 Updated due to quarterly assessment and reallocation 07/14/2010 $ 4,440,000 $ 5,500,000 Updated portfolio data from servicer 09/24/2010 $ (5,500,000) 12/16/2013 $ 40,000 $ 01/22/2010 $ 30,000 $ 03/26/2010 $ 400,000 $ 40,000 Transfer of cap due to servicing transfer Updated portfolio data from servicer/additional program 630,000 initial cap 1,030,000 Updated portfolio data from servicer 07/14/2010 $ (330,000) $ 700,000 Updated portfolio data from servicer 09/30/2010 $ 25,278 $ 725,278 Updated portfolio data from servicer 01/06/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 02/17/2011 $ (725,277) 05/16/2013 $ 50,000 $ 12/16/2013 $ 10,000 $ 07/14/2010 $ 400,000 $ 700,000 Updated portfolio data from servicer 09/30/2010 $ 25,278 $ 725,278 Updated portfolio data from servicer 01/06/2011 $ (1) $ 725,277 Updated due to quarterly assessment and reallocation 03/30/2011 $ (1) $ 725,276 Updated due to quarterly assessment and reallocation 06/29/2011 $ (11) $ 725,265 Updated due to quarterly assessment and reallocation 06/28/2012 $ (8) $ 725,257 Updated due to quarterly assessment and reallocation 09/27/2012 $ (22) $ 725,235 Updated due to quarterly assessment and reallocation 12/27/2012 $ (4) $ 725,231 Updated due to quarterly assessment and reallocation 03/25/2013 $ (14) $ 725,217 Updated due to quarterly assessment and reallocation 06/27/2013 $ (5) $ 725,212 Updated due to quarterly assessment and reallocation 09/27/2013 $ (2) $ 725,210 Updated due to quarterly assessment and reallocation 12/23/2013 $ (3,221) $ 721,989 Updated due to quarterly assessment and reallocation 03/26/2014 $ (113) $ 721,876 Updated due to quarterly assessment and reallocation 870,333 Updated due to quarterly assessment and reallocation - Termination of SPA - Termination of SPA - Termination of SPA 50,000 Transfer of cap due to servicing transfer 60,000 Transfer of cap due to servicing transfer 112 07/29/2009 07/01/2009 Wachovia Bank, N.A. Wachovia Mortgage, FSB Charlotte Des Moines NC IA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 85,020,000 N/A 634,010,000 N/A 2 04/14/2010 04/13/2009 Wealthbridge Mortgage Corp Wells Fargo Bank, NA Beaverton Des Moines OR IA Purchase Purchase Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ 6,550,000 N/A 2,873,000,000 N/A 04/23/2014 $ (721,876) 09/30/2009 $ (37,700,000) $ 47,320,000 12/30/2009 $ 26,160,000 $ 73,480,000 03/26/2010 $ 9,820,000 $ initial cap 83,300,000 Updated portfolio data from servicer 07/14/2010 $ (46,200,000) $ 37,100,000 Updated portfolio data from servicer 09/30/2010 $ (28,686,775) $ 8,413,225 Updated portfolio data from servicer 12/03/2010 $ (8,413,225) 09/30/2009 $ 723,880,000 12/30/2009 $ 692,640,000 02/17/2010 $ (2,050,236,344) $ 03/12/2010 $ (54,767) $ 07/14/2010 $ (150,000) $ 6,400,000 Updated portfolio data from servicer 09/15/2010 $ 1,600,000 $ 8,000,000 Transfer of cap due to servicing transfer 09/30/2010 $ (4,352,173) $ 3,647,827 Updated portfolio data from servicer 01/06/2011 $ (5) $ 3,647,822 Updated due to quarterly assessment and reallocation 03/30/2011 $ (6) $ 3,647,816 Updated due to quarterly assessment and reallocation 04/13/2011 $ (3,000,000) $ 647,816 Transfer of cap due to servicing transfer 06/29/2011 $ (9) $ 647,807 Updated due to quarterly assessment and reallocation 06/28/2012 $ (7) $ 647,800 Updated due to quarterly assessment and reallocation 09/27/2012 $ (19) $ 647,781 Updated due to quarterly assessment and reallocation 12/27/2012 $ (3) $ 647,778 Updated due to quarterly assessment and reallocation 03/25/2013 $ (12) $ 647,766 Updated due to quarterly assessment and reallocation 06/27/2013 $ (5) $ 647,761 Updated due to quarterly assessment and reallocation 09/27/2013 $ (2) $ 647,759 Updated due to quarterly assessment and reallocation 12/23/2013 $ (2,822) $ 02/27/2014 $ (644,937) 06/17/2009 $ (462,990,000) $ 09/30/2009 $ 65,070,000 $ 12/30/2009 $ 1,213,310,000 $ 02/17/2010 $ 2,050,236,344 $ 03/12/2010 $ 54,767 $ 03/19/2010 $ 668,108,890 $ 03/26/2010 $ 683,130,000 $ 5,738,681,110 Transfer of cap due to merger/acquisition Updated portfolio data from servicer/additional program 6,406,790,000 initial cap 7,089,920,000 Updated portfolio data from servicer 07/14/2010 $ (2,038,220,000) $ 5,051,700,000 Updated portfolio data from servicer 09/30/2010 $ (287,348,828) $ 09/30/2010 $ 344,000,000 $ 12/03/2010 $ 8,413,225 $ 4,764,351,172 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 5,108,351,172 initial cap 5,116,764,397 Transfer of cap due to merger/acquisition 12/15/2010 $ 22,200,000 $ 5,138,964,397 Transfer of cap due to servicing transfer 01/06/2011 $ (6,312) $ 5,138,958,085 Updated due to quarterly assessment and reallocation 01/13/2011 $ (100,000) $ 5,138,858,085 Transfer of cap due to servicing transfer 03/16/2011 $ (100,000) $ 5,138,758,085 Transfer of cap due to servicing transfer 03/30/2011 $ (7,171) $ 5,138,750,914 Updated due to quarterly assessment and reallocation 04/13/2011 $ (9,800,000) $ 5,128,950,914 Transfer of cap due to servicing transfer 05/13/2011 $ 100,000 $ 5,129,050,914 Transfer of cap due to servicing transfer 06/16/2011 $ (600,000) $ 5,128,450,914 Transfer of cap due to servicing transfer 06/29/2011 $ (63,856) $ 5,128,387,058 Updated due to quarterly assessment and reallocation 07/14/2011 $ (2,300,000) $ 5,126,087,058 Transfer of cap due to servicing transfer 08/16/2011 $ (1,100,000) $ 5,124,987,058 Transfer of cap due to servicing transfer 09/15/2011 $ 1,400,000 $ 5,126,387,058 Transfer of cap due to servicing transfer 10/14/2011 $ 200,000 $ 5,126,587,058 Transfer of cap due to servicing transfer 11/16/2011 $ (200,000) $ 5,126,387,058 Transfer of cap due to servicing transfer 12/15/2011 $ (200,000) $ 5,126,187,058 Transfer of cap due to servicing transfer 01/13/2012 $ (300,000) $ 5,125,887,058 Transfer of cap due to servicing transfer 02/16/2012 $ (200,000) $ 5,125,687,058 Transfer of cap due to servicing transfer 03/15/2012 $ (1,000,000) $ 5,124,687,058 Transfer of cap due to servicing transfer 04/16/2012 $ (800,000) $ 5,123,887,058 Transfer of cap due to servicing transfer 05/16/2012 $ (610,000) $ 5,123,277,058 Transfer of cap due to servicing transfer 06/14/2012 $ (2,040,000) $ 5,121,237,058 Transfer of cap due to servicing transfer 06/28/2012 $ (39,923) $ 5,121,197,135 Updated due to quarterly assessment and reallocation 08/16/2012 $ (120,000) $ 5,121,077,135 Transfer of cap due to servicing transfer 09/27/2012 $ (104,111) $ 5,120,973,024 Updated due to quarterly assessment and reallocation 10/16/2012 $ (1,590,000) $ 5,119,383,024 Transfer of cap due to servicing transfer 11/15/2012 $ (2,910,000) $ 5,116,473,024 Transfer of cap due to servicing transfer 12/14/2012 $ (1,150,000) $ 5,115,323,024 Transfer of cap due to servicing transfer 12/27/2012 $ (16,392) $ 5,115,306,632 Updated due to quarterly assessment and reallocation 01/16/2013 $ (3,350,000) $ 5,111,956,632 Transfer of cap due to servicing transfer 02/14/2013 $ (820,000) $ 5,111,136,632 Transfer of cap due to servicing transfer 03/14/2013 $ (270,000) $ 5,110,866,632 Transfer of cap due to servicing transfer 03/25/2013 $ (58,709) $ 5,110,807,923 Updated due to quarterly assessment and reallocation 04/16/2013 $ (40,000) $ 5,110,767,923 Transfer of cap due to servicing transfer 05/16/2013 $ (5,320,000) $ 5,105,447,923 Transfer of cap due to servicing transfer 06/14/2013 $ (1,260,000) $ 5,104,187,923 Transfer of cap due to servicing transfer 06/27/2013 $ (20,596) $ 5,104,167,327 Updated due to quarterly assessment and reallocation 07/16/2013 $ (1,200,000) $ 5,102,967,327 Transfer of cap due to servicing transfer 08/15/2013 $ (30,000) $ 5,102,937,327 Transfer of cap due to servicing transfer 09/16/2013 $ (10,760,000) $ 5,092,177,327 Transfer of cap due to servicing transfer 09/27/2013 $ (6,701) $ 5,092,170,626 Updated due to quarterly assessment and reallocation $ $ - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated - Termination of SPA Updated portfolio data from servicer/additional program initial capportfolio data from servicer/additional program Updated 2,050,530,000 initial cap 293,656 Transfer of cap due to merger/acquisition 1,357,890,000 238,890 Termination of SPA 644,937 Updated due to quarterly assessment and reallocation - Termination of SPA 2,410,010,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 2,475,080,000 initial capportfolio data from servicer/additional program Updated 3,688,390,000 initial cap 5,738,626,344 Transfer of cap due to merger/acquisition 113 06/19/2009 04/13/2011 09/30/2010 04/20/2009 Wescom Central Credit Union Western Federal Credit Union Weststar Mortgage, Inc. Wilshire Credit Corporation Anaheim Hawthorne Woodbridge Beaverton CA CA VA OR Purchase Purchase Purchase Purchase Financial Instrument for Home Loan Modifications $ Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications Financial Instrument for Home Loan Modifications $ $ (780,000) $ 5,091,390,626 Transfer of cap due to servicing transfer 11/14/2013 $ (60,000) $ 5,091,330,626 Transfer of cap due to servicing transfer 12/16/2013 $ (860,000) $ 5,090,470,626 Transfer of cap due to servicing transfer 12/23/2013 $ (10,569,304) $ 5,079,901,322 Updated due to quarterly assessment and reallocation 01/16/2014 $ (1,990,000) $ 5,077,911,322 Transfer of cap due to servicing transfer 02/13/2014 $ (170,000) $ 5,077,741,322 Transfer of cap due to servicing transfer 03/14/2014 $ (80,000) $ 5,077,661,322 Transfer of cap due to servicing transfer 03/26/2014 $ (358,566) $ 5,077,302,756 Updated due to quarterly assessment and reallocation 04/16/2014 $ (4,560,000) $ 5,072,742,756 Transfer of cap due to servicing transfer 05/15/2014 $ (560,000) $ 5,072,182,756 Transfer of cap due to servicing transfer 06/16/2014 $ (240,000) $ 5,071,942,756 Transfer of cap due to servicing transfer 06/26/2014 $ (4,070,420) $ 5,067,872,336 Updated due to quarterly assessment and reallocation 07/16/2014 $ 250,000 $ 5,068,122,336 Transfer of cap due to servicing transfer 07/29/2014 $ (8,035,053) $ 5,060,087,283 Updated due to quarterly assessment and reallocation 08/14/2014 $ 10,000 $ 5,060,097,283 Transfer of cap due to servicing transfer 09/16/2014 $ (20,000) $ 5,060,077,283 Transfer of cap due to servicing transfer 09/29/2014 $ (2,607,017) $ 09/30/2009 $ 330,000 $ 12/30/2009 $ 16,490,000 $ 03/26/2010 $ (14,260,000) $ 5,057,470,266 Updated due to quarterly assessment and reallocation Updated portfolio data from servicer/additional program 870,000 initial capportfolio data from servicer/additional program Updated 17,360,000 initial cap 3,100,000 Updated portfolio data from servicer 07/14/2010 $ (1,800,000) $ 1,300,000 Updated portfolio data from servicer 07/30/2010 $ 1,500,000 $ 2,800,000 Updated portfolio data from servicer 09/30/2010 $ 1,551,668 $ 4,351,668 Updated portfolio data from servicer 01/06/2011 $ (2) $ 4,351,666 Updated due to quarterly assessment and reallocation 03/30/2011 $ (2) $ 4,351,664 Updated due to quarterly assessment and reallocation 05/13/2011 $ (1,800,000) $ 2,551,664 Transfer of cap due to servicing transfer 6 06/03/2011 $ (1,872,787) $ 3 06/14/2012 $ 990,000 $ 1,668,877 Transfer of cap due to servicing transfer 09/27/2012 $ 372,177 $ 2,041,054 Updated due to quarterly assessment and reallocation 12/23/2013 $ (192) $ 2,040,862 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 2,040,854 Updated due to quarterly assessment and reallocation 06/26/2014 $ (102) $ 2,040,752 Updated due to quarterly assessment and reallocation 07/29/2014 $ (207) $ 2,040,545 Updated due to quarterly assessment and reallocation 09/29/2014 $ (76) $ 2,040,469 Updated due to quarterly assessment and reallocation 04/13/2011 $ 200,000 $ 200,000 Transfer of cap due to servicing transfer 06/29/2011 $ 17,687 $ 217,687 Updated due to quarterly assessment and reallocation 09/27/2012 $ (1) $ 217,686 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 217,685 Updated due to quarterly assessment and reallocation 12/23/2013 $ (290) $ 217,395 Updated due to quarterly assessment and reallocation 03/26/2014 $ (10) $ 217,385 Updated due to quarterly assessment and reallocation 06/26/2014 $ (121) $ 217,264 Updated due to quarterly assessment and reallocation 07/29/2014 $ (240) $ 217,024 Updated due to quarterly assessment and reallocation 09/29/2014 $ (79) $ 216,945 Updated due to quarterly assessment and reallocation 09/30/2010 $ 45,056 $ 145,056 Updated portfolio data from servicer 06/29/2011 $ (1) $ 145,055 Updated due to quarterly assessment and reallocation 06/28/2012 $ (1) $ 145,054 Updated due to quarterly assessment and reallocation 09/27/2012 $ (2) $ 145,052 Updated due to quarterly assessment and reallocation 03/25/2013 $ (1) $ 145,051 Updated due to quarterly assessment and reallocation 12/23/2013 $ (232) $ 144,819 Updated due to quarterly assessment and reallocation 03/26/2014 $ (8) $ 144,811 Updated due to quarterly assessment and reallocation 06/26/2014 $ (96) $ 144,715 Updated due to quarterly assessment and reallocation 07/29/2014 $ (191) $ 09/29/2014 $ (63) $ 06/12/2009 $ 87,130,000 $ 09/30/2009 $ (249,670,000) $ 12/30/2009 $ 119,700,000 $ 03/26/2010 $ 52,270,000 $ 453,130,000 Updated portfolio data from servicer Updated portfolio data from servicer/additional program 203,460,000 initial capportfolio data from servicer/additional program Updated 323,160,000 initial cap 375,430,000 Updated portfolio data from servicer 04/19/2010 $ (10,280,000) $ 365,150,000 Transfer of cap due to servicing transfer 05/14/2010 $ (1,880,000) $ 363,270,000 Transfer of cap due to servicing transfer 06/16/2010 $ (286,510,000) $ 76,760,000 Transfer of cap due to servicing transfer 07/14/2010 $ 19,540,000 $ 96,300,000 Updated portfolio data from servicer 07/16/2010 $ (210,000) $ 08/13/2010 $ (100,000) $ 09/30/2010 $ 68,565,782 $ 164,555,782 Updated portfolio data from servicer 01/06/2011 $ (247) $ 164,555,535 Updated due to quarterly assessment and reallocation 03/30/2011 $ $ 164,555,241 Updated due to quarterly assessment and reallocation 06/29/2011 $ (2,779) $ 164,552,462 Updated due to quarterly assessment and reallocation 10/19/2011 $ (162,895,068) $ 10/02/2009 $ 60,000 $ 12/30/2009 $ 350,000 $ 03/26/2010 $ 1,360,000 $ 07/14/2010 $ (1,810,000) $ 200,000 Updated portfolio data from servicer 09/30/2010 $ 235,167 $ 435,167 Updated portfolio data from servicer 01/06/2011 $ (1) $ 435,166 Updated due to quarterly assessment and reallocation 06/29/2011 $ (4) $ 435,162 Updated due to quarterly assessment and reallocation 06/28/2012 $ (3) $ 435,159 Updated due to quarterly assessment and reallocation 09/27/2012 $ (7) $ 435,152 Updated due to quarterly assessment and reallocation 540,000 N/A - N/A $ 10/15/2013 3 100,000 N/A 366,000,000 N/A 7 09/23/2009 Yadkin Valley Bank Elkin NC Purchase Financial Instrument for Home Loan Modifications $ 240,000 N/A (294) 678,877 Termination of SPA 144,524 Updated due to quarterly assessment and reallocation 144,461 Updated due to quarterly assessment and reallocation 96,090,000 Transfer of cap due to servicing transfer 95,990,000 Transfer of cap due to servicing transfer 1,657,394 Termination of SPA Updated portfolio data from servicer/additional program 300,000 initial capportfolio data from servicer/additional program Updated 650,000 initial cap 2,010,000 Updated portfolio data from servicer 114 Total Initial CAP 23,831,570,000 $ $ (1) $ 435,151 Updated due to quarterly assessment and reallocation 03/25/2013 $ (5) $ 435,146 Updated due to quarterly assessment and reallocation 06/27/2013 $ (2) $ 435,144 Updated due to quarterly assessment and reallocation 09/27/2013 $ (1) $ 435,143 Updated due to quarterly assessment and reallocation 12/23/2013 $ (1,174) $ 433,969 Updated due to quarterly assessment and reallocation 03/26/2014 $ (43) $ 433,926 Updated due to quarterly assessment and reallocation 06/26/2014 $ (507) $ 433,419 Updated due to quarterly assessment and reallocation 07/29/2014 $ (1,008) $ 432,411 Updated due to quarterly assessment and reallocation 09/29/2014 $ (333) $ 432,078 Updated due to quarterly assessment and reallocation Total CAP Adjustments Total CAP 1/ 12/27/2012 $ 5,997,236,082 $ 29,828,806,082 On July 31, 2009, the SPA with Chase Home Finance, LLC was terminated and superseded by new SPAs with J.P. Morgan Chase Bank, NA and EMC Mortgage Corporation. 2/ Wachovia Mortgage, FSB was merged with Wells Fargo Bank, NA, and the remaining Adjusted Cap stated above represents the amount previously paid to Wachovia Mortgage, FSB prior to such merger. 3/ This institution executed an Assignment and Assumption Agreement (a copy of which is available on www.FinancialStability.gov) with respect to all rights and obligations for the transferred loan modifications. The amount transferred is realized as a cap adjustment and not as initial cap. 4/ On 8/27/10, an amendment was executed to reflect a change in the legal name of the institution. 5/ MorEquity, Inc executed a subservicing agreement with Nationstar Mortgage, LLC, that took effect 02/01/2011. All mortgage loans including all HAMP loans were transferred to Nationstar. The remaining Adjusted Cap stated above represents the amount previously paid to MorEquity, Inc. prior to such agreement. 6/ The remaining Adjusted Cap stated above represents the amount paid to servicer prior to SPA termination. 7/ Bank of America, N.A., Home Loan Services, Inc. and Wilshire Credit Corporation were merged into BAC Home Loans Servicing, LP. and the remaining Adjusted Cap stated above represents the amount previously paid to each servicer prior to such merger. 8/ In April 2011, EMC Mortgage, an indirect subsidiary of JP Morgan Chase & Co, transferred the servicing of all loans to JP Morgan Chase Bank, NA. The remaining Adjusted Cap stated above represents the amount previously paid to EMC Mortgage prior to such transfer. 9/ RBC Bank (USA) was merged with PNC Bank, NA, and the remaining Adjusted Cap stated above represents the amount previously paid to RBC Bank (USA) prior to such merger. 10/ On July 1, 2012, Saxon Mortgage Services, Inc. ceased servicing operations by selling its mortgage servicing rights and transferring the subservicing relationships to third-party servicers. The remaining Adjusted Cap stated above represents the amount previously paid to Saxon Mortgage Services, Inc. prior to ceasing servicing operations. 11/ As of July,3 2012, Aurora Loan Services LLC has discontinued its servicing function and sold all remaining servicing rights to Nationstar Mortgage. The remaining Adjusted Cap stated above represents the amount previously paid to Aurora Loan Services LLC, prior to ceasing servicing operations. 12/ Effective September 1, 2011 Litton Loan Servicing LP was acquired by Ocwen Financial Corporation. The remaining Adjusted Cap stated above represents the amount previously paid to Litton prior to such acquistion. 13/ In May 2010, U.S. mortgage servicing business HomEq was sold to Ocwen Loan Servicing. The remaining Adjusted Cap stated above represents the amount previously paid to HomEq prior to such sale. 14/ In December 2012, Ocwen Financial Corporation completed the acquisition of Homeward Residential, Inc. The remaining Adjusted Cap stated above represents the amount previously paid to Homeward prior to such acquisition. * The Cap of Incentive Payments represents the potential total amount allocated to each servicer and includes the maximum amount allotted for all payments on behalf of borrowers and payments to servicers and lenders/investors. The Cap is subject to adjustment based on the total amount allocated to the program and individual servicer usage for borrower modifications. Each adjustment to the Cap is reflected under Adjustment Details. 115 Supplemental Information [Not Required by EESA §114(a)] Making Home Affordable Program Non‐GSE Incentive Payments (through September 2014) Name of Institution 21st Mortgage Corporation Allstate Mortgage Loans & Investments, Inc Ally Bank Aurora Financial Group, Inc Aurora Loan Services LLC Banco Popular de Puerto Rico Bank of America, N.A. Bank of America, National Association BankUnited Bayview Loan Servicing LLC Caliber Home Loans, Inc. Carrington Mortgage Services, LLC. CCO Mortgage, a division of RBS Citizens NA Central Florida Educators Federal Credit Union Cheviot Savings Bank CitiMortgage Inc Citizens First National Bank ClearSpring Loan Services, Inc. Columbia Bank Community Credit Union of Florida CUC Mortgage Corporation Desjardins Bank DuPage Credit Union EMC Mortgage Corporation Fay Servicing, LLC FCI Lender Services, Inc. Fidelity Homestead Savings Bank Borrowers $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 308,647.41 6,742.19 89,765.27 24,689.43 15,997,418.00 66,233.73 4,099,061.97 343,033,327.08 9,527,160.82 18,034,179.15 1,058,274.97 13,311,130.48 2,782,940.28 152,056.84 2,000.00 81,305,250.48 27,229.56 243,469.32 1,916.67 3,000.00 66,979.61 1,000.00 8,542.42 7,569,459.20 2,627,262.74 38,909.09 - Lenders / Investors $ $ $ 995,595.02 11,665.09 275,587.95 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 41,236,849.69 75,077.77 17,843,110.01 711,253,455.16 28,820,102.43 38,394,078.65 2,826,942.19 33,366,099.28 6,440,303.57 241,342.08 1,517.28 272,839,920.57 67,847.26 493,583.48 9,443.95 4,631.53 175,048.42 3,065.24 33,021.25 11,592,937.05 6,388,669.53 86,898.00 - Servicer $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 280,404.95 8,035.81 32,293.99 27,843.67 28,629,251.10 42,783.08 9,075,438.92 408,021,690.58 12,871,606.68 21,448,837.51 2,067,675.08 21,936,423.43 4,299,208.83 275,222.22 2,000.00 120,662,341.92 46,729.55 394,847.42 2,000.00 5,000.00 105,417.28 1,000.00 15,442.42 16,279,383.05 2,313,762.64 40,612.38 8,400.00 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ Total Payments to Date 1,584,647.38 26,443.09 397,647.21 52,533.10 85,863,518.79 184,094.58 31,017,610.90 1,462,308,472.82 51,218,869.93 77,877,095.31 5,952,892.24 68,613,653.19 13,522,452.68 668,621.14 5,517.28 474,807,512.97 141,806.37 1,131,900.22 13,360.62 12,631.53 347,445.31 5,065.24 57,006.09 35,441,779.30 11,329,694.91 166,419.47 8,400.00 116 FIRST BANK First Citizens Bank & Trust Company First Keystone Bank First Mortgage Corporation Florida Community Bank, NA Franklin Credit Management Corporation Franklin Savings Fresno County Federal Credit Union Glass City Federal Credit Union GMAC Mortgage, LLC Great Lakes Credit Union Greater Nevada Mortgage Services Green Tree Servicing LLC Gregory Funding, LLC Guaranty Bank Heartland Bank & Trust Company Hillsdale County National Bank Home Loan Services, Inc. Home Servicing, LLC HomEqServicing HomeStar Bank and Financial Services Homeward Residential, Inc. Horicon Bank Iberiabank IBM Southeast Employees' Federal Credit Union IC Federal Credit Union Idaho Housing and Finance Association James B.Nutter and Company JPMorgan Chase Bank, N.A. Kondaur Capital Corporation Lake City Bank Lake National Bank LenderLive Network, Inc Litton Loan Servicing, LP $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 1,163,649.58 916.67 2,775.62 2,916.67 5,750.00 342,554.37 1,750.00 3,833.34 4,000.00 62,522,610.93 13,229.10 92,345.16 4,969,748.45 104,143.28 916.67 3,812.88 38,968.62 169,857.80 7,867.05 1,916.66 51,759,481.72 10,181.80 9,000.00 27,333.34 27,514.18 13,047.18 341,764,368.57 416.67 10,878.50 3,000.00 11,833.34 13,441,220.42 $ $ $ 2,320,061.50 3,423.27 $ $ $ $ $ $ $ $ $ $ 5,590.07 657,697.20 3,864.59 13,204.31 2,473.84 148,766,916.41 24,689.68 186,109.72 35,156,830.38 241,644.66 $ $ $ $ $ $ $ $ $ $ $ $ 8,505.00 48,632.18 2,440,767.73 18,013.90 3,036,319.34 5,572.90 133,893,684.23 22,207.42 10,502.00 23,589.08 51,742.97 30,370.25 $ $ $ $ $ $ 958,414,531.50 2,680.88 11,628.13 3,651.45 35,353,125.99 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 1,579,938.44 8,717.90 3,000.00 6,000.00 743,023.67 4,000.00 7,916.67 6,000.00 96,392,231.10 22,095.76 114,518.91 11,761,597.69 95,552.48 1,000.00 2,812.88 57,400.46 3,698,606.99 8,783.72 5,272,500.00 5,833.34 94,837,607.23 13,169.53 15,000.00 16,000.00 40,200.00 32,025.20 14,323.00 435,330,480.73 13,400.00 23,196.44 4,000.00 6,000.00 27,530,413.93 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 5,063,649.52 916.67 14,916.79 5,916.67 17,340.07 1,743,275.24 9,614.59 24,954.32 12,473.84 307,681,758.44 60,014.54 392,973.79 51,888,176.52 441,340.42 1,916.67 15,130.76 145,001.26 6,309,232.52 34,664.67 8,308,819.34 13,322.90 280,490,773.18 45,558.75 25,502.00 48,589.08 119,276.31 89,909.63 27,370.18 1,735,509,380.80 16,497.55 45,703.07 10,651.45 17,833.34 76,324,760.34 117 Los Alamos National Bank M&T Bank Marix Servicing LLC Marsh Associates, Inc. Midland Mortgage Co. Midwest Community Bank Mission Federal Credit Union MorEquity, Inc. Mortgage Center LLC Mortgage Investors Group National City Bank Nationstar Mortgage LLC Navy Federal Credit Union New Penn Financial, LLC dba Shellpoint Mortgage Ser New York Community Bank Oakland Municipal Credit Union Ocwen Loan Servicing, LLC OneWest Bank ORNL Federal Credit Union Park View Federal Savings Bank Pathfinder Bank PennyMac Loan Services, LLC PHH Mortgage Corporation Plaza Home Mortgage, Inc PNC Bank, National Association Purdue Federal Credit Union Quantum Servicing Corporation Quicken Loans, Inc. Residential Credit Solutions, Inc. Resurgent Capital Services L.P. RG Mortgage RoundPoint Mortgage Servicing Corporation Rushmore Loan Management Services LLC Saxon Mortgage Services Inc $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 40,697.50 241,254.09 352,195.77 9,687.97 13,538,182.32 1,000.00 87,431.25 345,841.21 205,462.28 3,916.67 5,036,478.46 65,252,055.99 829,670.05 80,538.12 13,344.17 233,908,936.08 62,987,760.58 21,597.47 11,000.00 7,417.47 7,711,165.65 51,905.43 4,916.67 218,333.45 3,000.00 133,393.34 7,000.00 2,808,154.80 708,326.40 164,852.94 332,174.51 2,327,283.56 19,655,074.77 $ $ $ 46,557.96 1,332.31 970,196.74 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 1,913,304.22 1,817.60 223,122.74 2,305,003.00 328,734.12 12,941,879.16 178,568,872.38 2,088,067.65 171,217.67 34,310.37 3,568.11 866,270,072.05 215,382,905.35 39,139.37 23,936.55 10,261.88 24,828,111.17 81,187.71 1,237,428.48 2,650.80 332,061.47 7,460,663.67 1,696,730.62 227,582.28 768,574.43 5,137,866.41 41,738,413.24 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 58,277.67 243,087.45 839,632.77 10,649.38 14,864,884.81 2,000.00 121,981.25 1,977,320.74 360,128.18 2,916.67 7,443,814.39 88,779,612.97 1,505,656.82 61,230.67 22,003.56 6,500.00 306,403,150.92 87,380,184.22 49,817.74 19,000.00 16,506.84 10,057,849.63 51,220.02 3,000.00 597,250.00 4,000.00 179,984.09 6,000.00 3,486,656.33 797,664.52 401,333.81 561,901.61 1,104,943.20 39,413,598.23 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 145,533.13 485,673.85 2,162,025.28 20,337.35 30,316,371.35 4,817.60 432,535.24 4,628,164.95 894,324.58 6,833.34 25,422,172.01 332,600,541.34 4,423,394.52 312,986.46 69,658.10 10,068.11 1,406,582,159.05 365,750,850.15 110,554.58 53,936.55 34,186.19 42,597,126.45 184,313.16 7,916.67 2,053,011.93 9,650.80 645,438.90 13,000.00 13,755,474.80 3,202,721.54 793,769.03 1,662,650.55 8,570,093.17 100,807,086.24 118 Schools Financial Credit Union Scotiabank de Puerto Rico Select Portfolio Servicing, Inc. Selene Finance, LP Seneca Mortgage Servicing LLC Servis One, Inc., dba BSI Financial Services, Inc. ShoreBank Silver State Schools Credit Union SN Servicing Corporation Specialized Loan Servicing LLC Statebridge Company, LLC Sterling Savings Bank SunTrust Mortgage, Inc Technology Credit Union The Bryn Mawr Trust Company The Golden 1 Credit Union U.S. Bank National Association United Bank United Bank Mortgage Corporation Urban Partnership Bank Urban Trust Bank ViewPoint Bank Wachovia Mortgage, FSB Wells Fargo Bank, N.A. Wescom Central Credit Union Western Federal Credit Union Wilshire Credit Corporation Yadkin Valley Bank Grand Total $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 29,166.70 528,835.67 105,559,657.97 169,648.55 36,866.28 2,238,270.58 49,915.10 40,355.90 4,345.26 11,976,273.24 34,427.04 232,522.52 60,204.99 61,000.00 13,316.16 418,219.78 16,585,714.46 2,916.67 46,192.71 172,539.34 2,000.00 299,165,365.74 283,771.13 21,333.34 31,522.98 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 66,279.23 763,914.37 217,829,880.75 414,051.89 174,535.59 4,353,812.42 153,906.17 176,298.89 24,122,672.46 114,333.70 482,035.70 1,516.95 220,730.99 16,729.83 1,199,360.23 36,992,858.12 2,651.90 85,878.54 352,540.33 5,990.95 1,335.78 76,889.58 790,952,361.76 838,018.68 56,123.99 490,394.10 35,278.70 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 39,500.00 418,008.60 134,755,514.21 185,076.10 103,774.66 1,681,723.40 143,165.10 69,189.24 5,017.16 16,585,336.09 42,360.12 361,755.82 38,105.88 76,816.67 8,435.80 663,523.72 26,046,129.26 6,600.00 61,706.85 135,918.87 1,000.00 162,000.00 402,890,730.68 312,225.08 22,916.67 1,167,000.00 50,372.98 $ 1,831,782,916.36 $ 4,939,050,774.14 $ 2,479,428,660.03 $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ $ 134,945.93 1,710,758.64 458,145,052.93 768,776.54 315,176.53 8,273,806.40 346,986.37 285,844.03 9,362.42 52,684,281.79 191,120.86 1,076,314.04 99,827.82 358,547.66 38,481.79 2,281,103.73 79,624,701.84 12,168.57 193,778.10 660,998.54 8,990.95 1,335.78 238,889.58 1,493,008,458.18 1,434,014.89 100,374.00 1,657,394.10 117,174.66 9,250,262,350.53 119 Housing Finance Agency Innovation Fund for the Hardest Hit Housing Markets Hardest Hit Funds (HHF) Program Seller Note Date Name of Institution 6/23/2010 Nevada Affordable Housing Assistance Corporation 2 9/23/2010 3 9/29/2010 9/23/2010 3 9/29/2010 6/23/2010 Florida Housing Finance Corporation 2 9/23/2010 3 9/29/2010 6/23/2010 Arizona (Home) Foreclosure Prevention Funding Corporation 3 9/29/2010 2 9/23/2010 3 9/29/2010 6/23/2010 Michigan Homeowner Assistance Nonprofit Housing Corporation 8/3/2010 Transaction Type NV Purchase Purchase Financial Instrument for HHF Program Sacramento CA Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program City Purchase 6/23/2010 CalHFA Mortgage Assistance Corporation 2 State Reno North Carolina Housing Finance Agency Tallahassee Phoenix Lansing Raleigh FL AZ MI NC Investment Description Financial Instrument for HHF Program Initial Investment Amount $ 102,800,000 $ 699,600,000 Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program $ $ - $ 34,056,581 - $ 57,169,659 $ - - $ 476,257,070 - $ 799,477,026 418,000,000 - - $ 238,864,755 - $ 400,974,381 125,100,000 - $ Investment Amount Pricing Additional 1 Mechanism Investment Amount $ 194,026,240 N/A $ 142,666,006 - $ 128,461,559 - $ 215,644,179 154,500,000 - 159,000,000 - 2 9/23/2010 Purchase Financial Instrument for HHF Program - $ 120,874,221 3 9/29/2010 Purchase Financial Instrument for HHF Program - $ 202,907,565 Purchase Financial Instrument for HHF Program 8/3/2010 Ohio Homeowner Assistance LLC Columbus OH $ 172,000,000 - N/A N/A $ 1,975,334,096 $ 1,057,839,136 $ 267,766,006 N/A $ 498,605,738 N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A $ 482,781,786 $ 570,395,099 N/A N/A N/A N/A 2 9/23/2010 Purchase Financial Instrument for HHF Program - $ 148,728,864 N/A 3 9/29/2010 Purchase Financial Instrument for HHF Program - $ 249,666,235 N/A Purchase Financial Instrument for HHF Program 2 9/23/2010 Purchase Financial Instrument for HHF Program - $ 49,294,215 3 9/29/2010 Purchase Financial Instrument for HHF Program - $ 82,748,571 Purchase Financial Instrument for HHF Program 8/3/2010 8/3/2010 Oregon Affordable Housing Assistance Corporation Rhode Island Housing and Mortgage Finance Corporation Salem Providence OR RI $ $ 88,000,000 - 43,000,000 - 2 9/23/2010 Purchase Financial Instrument for HHF Program - $ 13,570,770 3 9/29/2010 Purchase Financial Instrument for HHF Program - $ 22,780,803 Purchase Financial Instrument for HHF Program 8/3/2010 SC Housing Corp Columbia SC $ 138,000,000 - 2 9/23/2010 Purchase Financial Instrument for HHF Program - $ 58,772,347 3 9/29/2010 Purchase Financial Instrument for HHF Program - $ 98,659,200 Financial Instrument for HHF Program 9/23/2010 Alabama Housing Finance Authority 3 3 9/29/2010 3 9/29/2010 9/23/2010 Mississippi Home Corporation 9/23/2010 GHFA Affordable Housing, Inc. Financial Instrument for HHF Program KY Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Financial Instrument for HHF Program Jackson MS Atlanta GA Purchase Purchase Financial Instrument for HHF Program Indianapolis IN Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Financial Instrument for HHF Program Chicago IL Purchase Purchase Financial Instrument for HHF Program Trenton NJ Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program 9/29/2010 9/23/2010 New Jersey Housing and Mortgage Finance Agency 3 Purchase Frankfort 9/29/2010 9/23/2010 Illinois Housing Development Authority 3 Purchase 9/29/2010 9/23/2010 Indiana Housing and Community Development Authority 3 AL 9/29/2010 9/23/2010 Kentucky Housing Corporation 3 Montgomery 9/29/2010 9/23/2010 District of Columbia Housing Finance Agency 3 9/29/2010 3 9/23/2010 Tennessee Housing Development Agency 9/29/2010 Washington Nashville DC TN Purchase Financial Instrument for HHF Program Purchase Financial Instrument for HHF Program Purchase Purchase Financial Instrument for HHF Program Financial Instrument for HHF Program $ 60,672,471 $ 55,588,050 $ $ 126,650,987 $ 82,762,859 $ 166,352,726 $ 112,200,637 - $ 93,313,825 $ 63,851,373 $ 81,128,260 - $ 79,351,573 $ 295,431,547 $ 162,521,345 $ 148,901,875 $ 101,888,323 $ 339,255,819 N/A $ 221,694,139 N/A $ 138,931,280 $ 279,250,831 - N/A 12,970,520 $ 136,187,333 TOTAL INVESTMENT AMOUNT N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A N/A $ 445,603,557 $ 300,548,144 $ 20,697,198 $ 217,315,593 $ 7,600,000,000 N/A N/A 188,347,507 $ N/A N/A 212,604,832 - $ 220,042,786 101,848,874 - 7,726,678 - $ $ 38,036,950 - $ - $ N/A N/A N/A N/A N/A N/A 1/ The purchase will be incrementally funded up to the investment amoun 2/ On 9/23/2010, Treasury provided additonal investment to this HFA and substituted its investment for an amended and restated Financial Instrument. 3/ On 9/29/2010, Treasury provided additonal investment to this HFA and substituted its investment for an amended and restated Financial Instrument. 120 FHA SHORT REFINANCE PROGRAM Seller Footnote Date 1 9/3/2010 2 3/4/2013 Name Citigroup, Inc. City New York State Transaction Type NY Purchase Initial Investment Amount Investment Description Facility Purchase Agreement $ Investment Adjustments 8,117,000,000 - $ Investment Amount $ 1,025,000,000 (7,092,000,000) TOTAL INVESTMENT AMOUNT Pricing Mechanism N/A N/A $ 1,025,000,000 1/ On September 3, 2010, the U.S. Department of the Treasury and Citibank, N.A. entered into a facility purchase agreement (the 'L/C Facility Agreement"), which allowed Treasury to demand from Citigroup the issuance of an up to $8 billion, 10-year letter of credit (the "L/C"). Treasury will increase availability under the L/C incrementally in proportion to the mortgages refinanced under the FHA Short Refinance program during the eligibility period. After that time, the amount of the L/C will be capped at the then-current level. Under the terms of the L/C Facility Agreement, Treasury could incur fees for the availability and usage of the L/C up to a maximum amount of $117 million. 2/ On March 4, 2013, the U.S. Department of the Treasury and Citibank, N.A. entered into Amendment No. 1 to the L/C Facility Agreement, which reduced the maximum amount of the L/C from $8 billion to $1 billion; extends by two years the period of time Treasury has to increase the L/C to cover new loans that are entered into the program; and modified the fee structure paid to Citibank, N.A. Based on this new fee structure and the lower L/C, Treasury expects that the fees incurred for the availability and usage of the L/C will not exceed $25 million. 121 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Projected Costs and Liabilities [Section 105(a)(3)(E)] For Period Ending September 30, 2014 Type of Expense/Liability Amount None Note: Treasury interprets this reporting requirement as applicable to costs and liabilities related to insurance contracts entered into under the provisions of section 102 of the EESA; and the single insurance contract with Citigroup was terminated on December 23, 2009. 122 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Programmatic Operating Expenses [Section 105(a)(3)(F)] For Period Ending September 30, 2014 Type of Expense Amount Compensation for financial agents and legal firms $1,092,291,489 123 U.S. Treasury Department Office of Financial Stability Troubled Asset Relief Program Description of Vehicles Established [Section 105(a)(3)(H)] For Period Ending September 30, 2014 Date Vehicle Description None 124 HAMP Application Activity by Servicer 1 As of August 2014 Servicer Name Bank of America, NA BankUnited Bayview Loan Servicing, LLC Carrington Mortgage Services, LLC CCO Mortgage, a division of RBS Citizens NA CitiMortgage Inc Green Tree Servicing LLC JPMorgan Chase Bank, NA Nationstar Mortgage LLC Navy Federal Credit Union Ocwen Loan Servicing, LLC OneWest Bank ORNL Federal Credit Union PennyMac Loan Services, LLC PNC Bank, National Association PNC Mortgage6 Residential Credit Solutions, Inc. Select Portfolio Servicing, Inc. Specialized Loan Servicing LLC U.S. Bank National Association Wells Fargo Bank, NA Other Servicers7 TOTAL # Requests Received 2 13,723 20 1,437 2,504 550 6,291 1,205 7,249 9,111 180 16,874 696 13 1,025 29 496 301 5,045 1,946 1,817 7,741 78,253 Activity in August 2014 # Requests # Requests Processed 3 Approved 4 497 10,865 8 8 287 89 1,100 111 604 53 3,654 622 1,548 560 3,737 895 10,404 1,723 172 16 14,282 4,418 735 135 13 1,026 297 27 3 510 56 358 27 3,519 1,497 1,463 272 2,055 269 9,239 1,432 65,606 12,980 # Requests Denied 5 10,368 198 989 551 3,032 988 2,842 8,681 156 9,864 600 13 729 24 454 331 2,022 1,191 1,786 7,807 52,626 # Requests Received 2 1,400,904 9,865 44,558 84,247 30,306 541,142 99,629 1,563,139 446,596 11,861 883,131 384,154 605 21,830 1,041 42,420 18,881 181,147 63,254 131,285 1,439,961 170,842 7,570,798 Program-to-Date # Requests # Requests Processed 3 Approved 4 1,383,400 579,087 9,623 4,754 39,643 12,845 80,433 24,747 29,492 6,213 528,261 228,708 96,383 38,087 1,539,046 443,842 433,988 92,885 11,393 2,169 861,065 151,669 383,845 102,739 605 53 21,111 6,029 952 51 42,396 27,880 18,771 2,151 168,352 101,285 60,936 10,108 128,383 44,428 1,426,803 426,691 170,842 106,111 7,435,723 2,412,532 # Requests Denied 5 804,313 4,869 26,798 55,686 23,279 299,553 58,296 1,095,204 341,103 9,224 709,396 281,106 552 15,082 901 14,516 16,620 67,067 50,828 83,955 1,000,112 64,731 5,023,191 This report is sourced from the Monthly Servicer Survey of select servicers participating in MHA under a Servicer Participation Agreement. All data present in this report reflects what is provided by servicers participating in the survey and is not separately validated by Treasury. Servicers regularly perform evaluation and refinement of reporting, which can lead to updating Program-to-Date results. 1 In 2013, the Bureau of Consumer Financial Protection (CFPB) issued new mortgage servicing rules under the Real Estate Settlement Procedures Act (Regulation X). These rules, which became effective on January 10, 2014, may impact servicer processes for evaluation of requests for assistance under MHA. As a result, servicers’ reporting of Requests Received, Requests Processed, and Requests Denied (defined below) may include all mortgage modification requests. Previously, servicer reporting for these categories included only requests that met basic HAMP eligibility criteria. Due to the ongoing implementation of the mortgage servicing rules and refinement of reporting, some servicers have updated Program-to-Date results to better reflect HAMP Application Activity. "Requests Received" is the total number of mortgage modification requests received, as reported by servicers. Cumulative Requests Received include all mortgage modification requests received since implementation of Supplemental Directive 10-02, effective June 1, 2010, and any requests that were approved for a trial modification prior to implementation of such guidance. As noted in Footnote 1 above, some servicers may include all mortgage modification requests received, whereas they previously included only requests that met basic HAMP eligibility criteria. 2 3 "Requests Processed" is the sum of Requests Approved and Requests Denied, defined below. "Requests Approved" is the total number of mortgage modification requests approved for a trial modification under HAMP and trial offers sent to the borrowers, as reported by servicers. Note that all Requests Approved do not become Active Trials because some borrowers do not accept the trial or fail to make the first trial payment. 4 "Requests Denied" is the total number of mortgage modification requests not approved for a trial modification under HAMP and the decision communicated to the borrower by the servicer in accordance with program guidance, as reported by servicers. Cumulative Requests Denied include all mortgage modification requests denied and communicated to the borrower by the servicer since implementation of Supplemental Directive 10-02, effective June 1, 2010; servicers do not report Requests Denied prior to then as relevant data is incomplete. Figures include HAMP mortgage modification requests denied due to insufficient documentation, failure to meet basic eligibility criteria, and/or other reasons. 5 6 Formerly National City Bank. Includes servicers that are no longer actively participating in the survey process or those whose Servicer Participation Agreement has been terminated. These servicers no longer submit a survey, and their results only reflect previous periods when the survey questions were not as extensive as current surveys (e.g. #Requests Denied was not a component of earlier surveys). 7