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<institution id="6265" deleted="0" institutionIdentifier="Pictet-Institutional" institutionIdentifierAppendix="Japan Equities Tracker" country="CH"/>
<institution id="6272" deleted="0" institutionIdentifier="AIG Equity Fund" institutionIdentifierAppendix="Small &amp; Mid Caps" city="Luxembourg" country="LU"/>
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<institution id="6286" deleted="0" institutionIdentifier="Jefferies Umbrella Fund" institutionIdentifierAppendix="Europe Convertible Bonds" city="Luxembourg" country="LU"/>
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<institution id="6300" deleted="0" institutionIdentifier="VP Bank Cash &amp; Geldmarktfonds USD" country="LI"/>
<institution id="6302" deleted="0" institutionIdentifier="Anglo-Irish Bank Corp. PLC" city="Dublin" country="IE"/>
<institution id="6309" deleted="0" institutionIdentifier="VP Bank Fund Advice FoF" institutionIdentifierAppendix="Aktien Grossbritannien" country="LI"/>
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<institution id="6316" deleted="0" institutionIdentifier="Clariden Leu (Lux) SICAV" institutionIdentifierAppendix="Energy Equity Fund" city="Luxembourg" country="LU"/>
<institution id="6318" deleted="0" institutionIdentifier="Clariden Leu (Lux) SICAV" institutionIdentifierAppendix="Technology Equity Fund" city="Luxembourg" country="LU"/>
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<institution id="6342" deleted="0" institutionIdentifier="DZ BANK AG Deutsche Zentral-Genossenschaftsbank" city="Frankfurt/Main" country="DE"/>
<institution id="6348" deleted="0" institutionIdentifier="Abrias SICAV" institutionIdentifierAppendix="World Equity Selection" city="Luxembourg" country="LU"/>
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<institution id="6369" deleted="0" institutionIdentifier="UBAM" institutionIdentifierAppendix="Local Currency Emerging Market Bond (USD)" city="Luxembourg" country="LU"/>
<institution id="6370" deleted="0" institutionIdentifier="UBAM" institutionIdentifierAppendix="Local Currency Emerging Markt Bond (EURO)" city="Luxembourg" country="LU"/>
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<institution id="6381" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Euro Bond" city="Luxembourg" country="LU"/>
<institution id="6382" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Euro Short-Term" city="Luxembourg" country="LU"/>
<institution id="6383" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Euroland Equity" city="Luxembourg" country="LU"/>
<institution id="6384" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="European Equity Opportunities" city="Luxembourg" country="LU"/>
<institution id="6385" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="European Equity Yield" city="Luxembourg" country="LU"/>
<institution id="6386" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="European Quant Equity" city="Luxembourg" country="LU"/>
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<institution id="6388" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="European Small Companies" city="Luxembourg" country="LU"/>
<institution id="6389" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Global Equity" city="Luxembourg" country="LU"/>
<institution id="6390" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="International Bond" city="Luxembourg" country="LU"/>
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<institution id="6392" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Japanese Equity" city="Luxembourg" country="LU"/>
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<institution id="6394" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Pacific (ex Japan) Equity" city="Luxembourg" country="LU"/>
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<institution id="6398" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="Total Return Dynamic" city="Luxembourg" country="LU"/>
<institution id="6399" deleted="0" institutionIdentifier="Pioneer Funds" institutionIdentifierAppendix="U.S. High Yield Corp. Bond" city="Luxembourg" country="LU"/>
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<institution id="6429" deleted="0" institutionIdentifier="UBS (Lux) Equity Sicav" institutionIdentifierAppendix="Brazil" city="Luxembourg" country="LU"/>
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<institution id="6434" deleted="0" institutionIdentifier="Dexia Sustainable" institutionIdentifierAppendix="World" city="Bruxelles" country="BE"/>
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<institution id="6442" deleted="0" institutionIdentifier="Nordea 1" institutionIdentifierAppendix="Global Stable Equity Fund" city="Luxembourg" country="LU"/>
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<institution id="6448" deleted="0" institutionIdentifier="Lombard Odier Darier Hentsch Invest" institutionIdentifierAppendix="The DIAM Japan Hybrid Strategy Fund" city="Luxembourg" country="LU"/>
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<institution id="6473" deleted="0" institutionIdentifier="Fortis L Fund" institutionIdentifierAppendix="FLF Bond World Emerging" city="Luxembourg" country="LU"/>
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<institution id="6516" deleted="0" institutionIdentifier="Fortis L Fund" institutionIdentifierAppendix="FLF Equity World Emerging" city="Luxembourg" country="LU"/>
<institution id="6525" deleted="0" institutionIdentifier="ASB Finance Ltd" city="London" country="GB"/>
<institution id="6526" deleted="0" institutionIdentifier="Janus Capital Funds" institutionIdentifierAppendix="Janus US All Cap Growth Fund" country="IE"/>
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<institution id="6552" deleted="0" institutionIdentifier="FundQuest International" institutionIdentifierAppendix="Japan" city="Luxembourg" country="LU"/>
<institution id="6553" deleted="0" institutionIdentifier="FundQuest International" institutionIdentifierAppendix="Emerging Markets" city="Luxembourg" country="LU"/>
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<institution id="6620" deleted="0" institutionIdentifier="Baer Multibond (Julius)" institutionIdentifierAppendix="Absolute Return Bond Fund Plus" city="Luxembourg" country="LU"/>
<institution id="6621" deleted="0" institutionIdentifier="Baer Multicooperation (Julius)" institutionIdentifierAppendix="Absolute Return Strategy Fund" city="Luxembourg" country="LU"/>
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<institution id="6624" deleted="0" institutionIdentifier="Baer Special (Julius) Funds" institutionIdentifierAppendix="Real Estate Securities Americas Fund" city="Luxembourg" country="LU"/>
<institution id="6626" deleted="0" institutionIdentifier="Baer Special (Julius) Funds" institutionIdentifierAppendix="Real Estate Securities Europe Fund" city="Luxembourg" country="LU"/>
<institution id="6630" deleted="0" institutionIdentifier="Baer Multistock (Julius)" institutionIdentifierAppendix="Infrastructure Fund" city="Luxembourg" country="LU"/>
<institution id="6631" deleted="0" institutionIdentifier="Baer Multistock (Julius)" institutionIdentifierAppendix="Natural Resources Fund" city="Luxembourg" country="LU"/>
<institution id="6632" deleted="0" institutionIdentifier="Baer Multistock (Julius)" institutionIdentifierAppendix="Nothern Africa Fund" city="Luxembourg" country="LU"/>
<institution id="6635" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="Absolute 3" city="Luxembourg" country="LU"/>
<institution id="6636" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="Balius Sector Rotation Fund" city="Luxembourg" country="LU"/>
<institution id="6637" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="Quality Global Equity Fund" city="Luxembourg" country="LU"/>
<institution id="6638" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="SAM Sustainable Climate Fund" city="Luxembourg" country="LU"/>
<institution id="6640" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="SAM Sustainable Healthy Living Fund" city="Luxembourg" country="LU"/>
<institution id="6641" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="URAM Energy Stock Fund" city="Luxembourg" country="LU"/>
<institution id="6643" deleted="0" institutionIdentifier="Baer Multipartner (Julius)" institutionIdentifierAppendix="WMP Global Equity Fund" city="Luxembourg" country="LU"/>
<institution id="6652" deleted="0" institutionIdentifier="Baer (Julius) SICAV II" institutionIdentifierAppendix="II Euro Medium Duration Fund" city="Luxembourg" country="LU"/>
<institution id="6655" deleted="0" institutionIdentifier="Baer (Julius) SICAV II" institutionIdentifierAppendix="II Swiss Franc Hedged Medium Duration Fund" city="Luxembourg" country="LU"/>
<institution id="6675" deleted="0" institutionIdentifier="Sarasin Investmentfonds" institutionIdentifierAppendix="Real Estate Equity - IIID (EUR)" city="Luxembourg" country="LU"/>
<institution id="6681" deleted="0" institutionIdentifier="Robeco Capital Growth Funds" institutionIdentifierAppendix="Robeco Divirente VaR2" city="Luxembourg" country="LU"/>
<institution id="6682" deleted="0" institutionIdentifier="Robeco Capital Growth Funds" institutionIdentifierAppendix="Robeco Divirente VaR4" city="Luxembourg" country="LU"/>
<institution id="6685" deleted="0" institutionIdentifier="Robeco Capital Growth Funds" institutionIdentifierAppendix="Investment Grade ABS" city="Luxembourg" country="LU"/>
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<institution id="6700" deleted="0" institutionIdentifier="Equator Investment Programmes" institutionIdentifierAppendix="Global Investment Grade Bond Programme" country="IE"/>
<institution id="6709" deleted="0" institutionIdentifier="Midea - Relative Value Strategies Ltd." city="Guernsey" country="GG"/>
<institution id="6724" deleted="0" institutionIdentifier="Merrill Lynch International Investment Funds" institutionIdentifierAppendix="Fixed Income Global Opport. Fund" city="Luxembourg" country="LU"/>
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<institution id="6727" deleted="0" institutionIdentifier="Merrill Lynch International Investment Funds" institutionIdentifierAppendix="UK Focus Fund" city="Luxembourg" country="LU"/>
<institution id="6736" deleted="0" institutionIdentifier="SWISSCANTO (LU) Equity Fund" institutionIdentifierAppendix="Selection European Real Estate" city="Luxembourg" country="LU"/>
<institution id="6739" deleted="0" institutionIdentifier="Motus" institutionIdentifierAppendix="Monti Harvest" city="Luxembourg" country="LU"/>
<institution id="6740" deleted="0" institutionIdentifier="Bruellan Dynamic Fund" institutionIdentifierAppendix="Opportunistic (EUR)" country="CH"/>
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<bond id="27313" deleted="0" valorNumber="86923" isin="CH0000869237" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="besicherte Anleihe" institutionId="429" institutionIdentifier="Control Securities Finance (Consecfin) B.V." country="NL" currency="CHF" issueDate="30.07.1993" redemptionDate="31.03.2010" issuePrice="100" redemptionPrice="100" nominalAmount="1875" interestRate="4.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105"/>
<payment id="1407" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="77.34" withHoldingTax="0" taxEvent="0"/>
<payment id="1408" deleted="0" paymentDate="30.09.2007" currency="CHF" valueCHF="77.34" withHoldingTax="0" taxEvent="0"/>
<legend id="328" deleted="0" effectiveDate="30.09.2007">
<text>Teil-R&#252;ckzahlung des Nennwerts von bisher CHF 3750.00 auf neu CHF 1875.00</text>
</legend>
</bond>
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</bond>
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<taxValue quotationType="PERCENT" yearEndPrice="99.91"/>
<payment id="22094" deleted="0" paymentDate="30.12.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
<legend id="3591" deleted="0">
<text>(prix d&apos;&#233;m.: 99.20%)</text>
</legend>
</bond>
<bond id="31711" deleted="0" valorNumber="981870" isin="CH0009818706" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1012" institutionIdentifier="Italien" country="IT" currency="CHF" issueDate="15.01.1999" redemptionDate="15.07.2010" issuePrice="102.25" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.6"/>
<payment id="22165" deleted="0" paymentDate="15.07.2007" currency="CHF" valueCHF="156.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="31715" deleted="0" valorNumber="982223" isin="CH0009822237" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="859" institutionIdentifier="Gen&#232;ve (Canton de)" country="CH" currency="CHF" issueDate="14.01.1999" redemptionDate="14.01.2009" issuePrice="100.875" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.24"/>
<payment id="22177" deleted="0" paymentDate="14.01.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="31746" deleted="0" valorNumber="987867" isin="CH0009878676" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="21.01.1999" redemptionDate="21.01.2011" issuePrice="101.15" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.8"/>
<payment id="22317" deleted="0" paymentDate="21.01.2007" currency="CHF" valueCHF="175" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="31747" deleted="0" valorNumber="987874" isin="CH0009878742" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="723" institutionIdentifier="Europ&#228;ische Investitionsbank" country="LU" currency="CHF" issueDate="28.01.1999" redemptionDate="28.01.2014" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.75"/>
<payment id="22324" deleted="0" paymentDate="28.01.2007" currency="CHF" valueCHF="175" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="31754" deleted="0" valorNumber="988470" isin="CH0009884708" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="290" institutionIdentifier="Berner Kantonalbank" country="CH" currency="CHF" issueDate="29.01.1999" redemptionDate="29.01.2010" issuePrice="99.25" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.7"/>
<payment id="22359" deleted="0" paymentDate="29.01.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="31761" deleted="0" valorNumber="988664" isin="CH0009886646" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="25.01.1999" redemptionDate="25.01.2011" issuePrice="101.25" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.55"/>
<payment id="22394" deleted="0" paymentDate="25.01.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="31762" deleted="0" valorNumber="988667" isin="CH0009886679" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="775" institutionIdentifier="Fischer (Georg) AG" country="CH" currency="CHF" issueDate="05.02.1999" redemptionDate="05.02.2009" issuePrice="99" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.3"/>
<payment id="22401" deleted="0" paymentDate="05.02.2007" currency="CHF" valueCHF="175" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="31802" deleted="0" valorNumber="993088" isin="CH0009930881" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1461" institutionIdentifier="BAWAG P.S.K. Bank f&#252;r Arbeit und Wirtschaft AG" country="AT" currency="CHF" issueDate="23.02.1999" redemptionDate="23.02.2011" issuePrice="102.35" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.8"/>
<payment id="22592" deleted="0" paymentDate="23.02.2007" currency="CHF" valueCHF="162.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32021" deleted="0" valorNumber="1010416" isin="CH0010104161" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="454" institutionIdentifier="Credit Suisse" country="CH" currency="CHF" issueDate="12.11.1999" redemptionDate="12.11.2009" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.8"/>
<payment id="23498" deleted="0" paymentDate="12.11.2007" currency="CHF" valueCHF="250" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32092" deleted="0" valorNumber="1018739" isin="CH0010187398" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="670" institutionIdentifier="Emissionszentrale f&#252;r gemeinn&#252;tzige Wohnbautr&#228;ger EGW" country="CH" currency="CHF" issueDate="30.11.1999" redemptionDate="30.11.2009" issuePrice="101" redemptionPrice="100" nominalAmount="5000" interestRate="3.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.75"/>
<payment id="23824" deleted="0" paymentDate="30.11.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32108" deleted="0" valorNumber="1021487" isin="CH0010214879" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="14.12.1999" redemptionDate="14.12.2009" issuePrice="100.25" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.65"/>
<payment id="23878" deleted="0" paymentDate="14.12.2007" currency="CHF" valueCHF="181.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32114" deleted="0" valorNumber="1023593" isin="CH0010235932" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2723" institutionIdentifier="Allstate Life Funding, LLC" country="KY" currency="CHF" issueDate="14.01.2000" redemptionDate="14.01.2010" issuePrice="101.7" redemptionPrice="100" nominalAmount="5000" interestRate="4.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.5"/>
<payment id="23914" deleted="0" paymentDate="14.01.2007" currency="CHF" valueCHF="212.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32122" deleted="0" valorNumber="1024758" isin="CH0010247580" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="178" institutionIdentifier="Bank Austria Creditanstalt AG" country="AT" currency="CHF" issueDate="18.01.2000" redemptionDate="18.01.2010" issuePrice="102.425" redemptionPrice="100" nominalAmount="10000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.95"/>
<payment id="23945" deleted="0" paymentDate="18.01.2007" currency="CHF" valueCHF="400" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32194" deleted="0" valorNumber="1033187" isin="CH0010331871" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="10.01.2000" redemptionDate="10.01.2010" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.2"/>
<payment id="24430" deleted="0" paymentDate="10.01.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32196" deleted="0" valorNumber="1033473" isin="CH0010334735" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3139" institutionIdentifier="Kreditanstalt f&#252;r Wiederaufbau" country="DE" currency="CHF" issueDate="15.02.2000" redemptionDate="15.02.2012" issuePrice="102" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.35"/>
<payment id="24442" deleted="0" paymentDate="15.02.2007" currency="CHF" valueCHF="200" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32255" deleted="0" valorNumber="1035500" isin="CH0010355003" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="225" institutionIdentifier="Basel-Landschaft" country="CH" currency="CHF" issueDate="17.02.2000" redemptionDate="17.02.2010" issuePrice="101.5" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.6"/>
<payment id="24741" deleted="0" paymentDate="17.02.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32257" deleted="0" valorNumber="1035687" isin="CH0010356878" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="214" institutionIdentifier="Banque Cantonale Vaudoise" country="CH" currency="CHF" issueDate="10.02.2000" redemptionDate="10.02.2010" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="4.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.35"/>
<payment id="24752" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="212.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32272" deleted="0" valorNumber="1036832" isin="CH0010368329" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="454" institutionIdentifier="Credit Suisse" country="CH" currency="CHF" issueDate="10.02.2000" redemptionDate="10.02.2010" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="4.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.8"/>
<payment id="24796" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="231.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32282" deleted="0" valorNumber="1037930" isin="CH0010379300" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="11.02.2000" redemptionDate="11.02.2013" issuePrice="100.6" redemptionPrice="100" nominalAmount="1000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.45"/>
<payment id="24832" deleted="0" paymentDate="11.02.2007" currency="CHF" valueCHF="40" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32410" deleted="0" valorNumber="1043116" isin="CH0010431168" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2721" institutionIdentifier="Dexia Municipal Agency" country="FR" currency="CHF" issueDate="08.03.2000" redemptionDate="08.03.2010" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.9"/>
<payment id="25203" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="200" withHoldingTax="0" taxEvent="0"/>
<legend id="3850" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="32436" deleted="0" valorNumber="1046780" isin="CH0010467808" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="226" institutionIdentifier="Basel-Stadt" country="CH" currency="CHF" issueDate="08.03.2000" redemptionDate="08.03.2010" issuePrice="101.625" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.4"/>
<payment id="25288" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32437" deleted="0" valorNumber="1046815" isin="CH0010468152" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="227" institutionIdentifier="Basellandschaftliche Kantonalbank" country="CH" currency="CHF" issueDate="10.03.2000" redemptionDate="10.03.2010" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.35"/>
<payment id="25295" deleted="0" paymentDate="10.03.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32455" deleted="0" valorNumber="1049190" isin="CH0010491907" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="17.03.2000" redemptionDate="17.03.2010" issuePrice="101.65" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.45"/>
<payment id="25401" deleted="0" paymentDate="17.03.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32575" deleted="0" valorNumber="1064245" isin="CH0010642459" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="1374" institutionIdentifier="Neue Aargauer Bank" country="CH" currency="CHF" issueDate="07.04.2000" redemptionDate="07.04.2010" issuePrice="101.25" redemptionPrice="100" nominalAmount="5000" interestRate="5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.35"/>
<payment id="25817" deleted="0" paymentDate="07.04.2007" currency="CHF" valueCHF="250" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32655" deleted="0" valorNumber="1070290" isin="CH0010702907" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="601" institutionIdentifier="EUROHYPO AG" country="DE" currency="CHF" issueDate="10.05.2000" redemptionDate="10.05.2010" issuePrice="100.25" redemptionPrice="100" nominalAmount="10000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.6"/>
<payment id="26199" deleted="0" paymentDate="10.05.2007" currency="CHF" valueCHF="450" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32660" deleted="0" valorNumber="1070639" isin="CH0010706395" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="214" institutionIdentifier="Banque Cantonale Vaudoise" country="CH" currency="CHF" issueDate="05.05.2000" redemptionDate="05.05.2010" issuePrice="101.35" redemptionPrice="100" nominalAmount="5000" interestRate="5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.25"/>
<payment id="26213" deleted="0" paymentDate="05.05.2007" currency="CHF" valueCHF="250" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32664" deleted="0" valorNumber="1070732" isin="CH0010707328" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1832" institutionIdentifier="Statkraft SF" country="NO" currency="CHF" issueDate="10.05.2000" redemptionDate="10.05.2010" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.65"/>
<payment id="26223" deleted="0" paymentDate="10.05.2007" currency="CHF" valueCHF="225" withHoldingTax="0" taxEvent="0"/>
<legend id="3954" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="32666" deleted="0" valorNumber="1070889" isin="CH0010708896" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2723" institutionIdentifier="Allstate Life Funding, LLC" country="KY" currency="CHF" issueDate="12.05.2000" redemptionDate="12.05.2010" issuePrice="100.25" redemptionPrice="100" nominalAmount="5000" interestRate="4.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.8"/>
<payment id="26232" deleted="0" paymentDate="12.05.2007" currency="CHF" valueCHF="237.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="32711" deleted="0" valorNumber="1075808" isin="CH0010758081" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2373" institutionIdentifier="Zuger Kantonalbank" country="CH" currency="CHF" issueDate="05.05.2000" redemptionDate="05.05.2010" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="4.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.35"/>
<payment id="26378" deleted="0" paymentDate="05.05.2007" currency="CHF" valueCHF="218.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32723" deleted="0" valorNumber="1078663" isin="CH0010786637" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="31.05.2000" redemptionDate="31.05.2011" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.15"/>
<payment id="26433" deleted="0" paymentDate="31.05.2007" currency="CHF" valueCHF="225" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32788" deleted="0" valorNumber="1083919" isin="CH0010839196" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="15.06.2000" redemptionDate="15.06.2010" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="4.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.1"/>
<payment id="26687" deleted="0" paymentDate="15.06.2007" currency="CHF" valueCHF="231.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32792" deleted="0" valorNumber="1084089" isin="CH0010840897" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="13.06.2000" redemptionDate="10.06.2011" issuePrice="98.5" redemptionPrice="100" nominalAmount="1000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.2"/>
<payment id="26707" deleted="0" paymentDate="10.06.2007" currency="CHF" valueCHF="40" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32803" deleted="0" valorNumber="1084471" isin="CH0010844717" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="286" institutionIdentifier="Bern (Stadt)" country="CH" currency="CHF" issueDate="13.06.2000" redemptionDate="13.06.2010" issuePrice="101" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.7"/>
<payment id="26756" deleted="0" paymentDate="13.06.2007" currency="CHF" valueCHF="225" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32844" deleted="0" valorNumber="1087622" isin="CH0010876222" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="199" institutionIdentifier="Bank Nederlandse Gemeenten (nv)" country="NL" currency="CHF" issueDate="05.07.2000" redemptionDate="05.07.2010" issuePrice="100.25" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.85"/>
<payment id="26894" deleted="0" paymentDate="05.07.2007" currency="CHF" valueCHF="225" withHoldingTax="0" taxEvent="0"/>
<legend id="4048" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="32896" deleted="0" valorNumber="1090606" isin="CH0010906060" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 2500.00 nom. = 15.2439 N&apos;Akt. Swisslog Holding AG)" institutionId="1929" institutionIdentifier="Swisslog Holding AG" country="CH" currency="CHF" issueDate="07.07.2000" redemptionDate="31.12.2009" issuePrice="100" redemptionPrice="100" nominalAmount="2500" interestRate="0" interestType="FIX" iup="0" classicalBond="1" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.5"/>
<payment id="27050" deleted="0" paymentDate="07.07.2007" currency="CHF" valueCHF="50" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32897" deleted="0" valorNumber="1090936" isin="CH0010909361" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="10.07.2000" redemptionDate="10.07.2010" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.9"/>
<payment id="27057" deleted="0" paymentDate="10.07.2007" currency="CHF" valueCHF="225" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="32900" deleted="0" valorNumber="1090997" isin="CH0010909973" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1466" institutionIdentifier="Pacific Life Funding LLC" country="KY" currency="CHF" issueDate="30.06.2000" redemptionDate="30.06.2010" issuePrice="100.75" redemptionPrice="100" nominalAmount="10000" interestRate="4.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<payment id="31208" deleted="0" paymentDate="28.02.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="33903" deleted="0" valorNumber="1192391" isin="CH0011923916" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2249" institutionIdentifier="Vaud" country="CH" currency="CHF" issueDate="08.03.2001" redemptionDate="08.03.2011" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="3.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="31265" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="33959" deleted="0" valorNumber="1201771" isin="CH0012017718" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2373" institutionIdentifier="Zuger Kantonalbank" country="CH" currency="CHF" issueDate="16.03.2001" redemptionDate="16.03.2010" issuePrice="101.1" redemptionPrice="100" nominalAmount="5000" interestRate="3.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.15"/>
<payment id="31494" deleted="0" paymentDate="16.03.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
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<bond id="33962" deleted="0" valorNumber="1202564" isin="CH0012025646" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="454" institutionIdentifier="Credit Suisse" country="CH" currency="CHF" issueDate="28.03.2001" redemptionDate="28.03.2011" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="4.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="33963" deleted="0" valorNumber="1203112" isin="CH0012031123" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="emprunt subordonn&#233;" institutionId="214" institutionIdentifier="Banque Cantonale Vaudoise" country="CH" currency="CHF" issueDate="22.03.2001" redemptionDate="22.03.2011" issuePrice="101.65" redemptionPrice="100" nominalAmount="5000" interestRate="4.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="31517" deleted="0" paymentDate="22.03.2007" currency="CHF" valueCHF="225" withHoldingTax="1" taxEvent="0"/>
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<bond id="34042" deleted="0" valorNumber="1212375" isin="CH0012123755" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="23.04.2001" redemptionDate="23.04.2013" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="4544" deleted="0">
<text>aufgestockt</text>
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<payment id="31887" deleted="0" paymentDate="09.04.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="34053" deleted="0" valorNumber="1215155" isin="CH0012151558" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="10.04.2001" redemptionDate="10.04.2010" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.6"/>
<payment id="31937" deleted="0" paymentDate="10.04.2007" currency="CHF" valueCHF="181.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="34060" deleted="0" valorNumber="1216914" isin="CH0012169147" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="25.04.2001" redemptionDate="25.04.2013" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="31984" deleted="0" paymentDate="25.04.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="34078" deleted="0" valorNumber="1222192" isin="CH0012221922" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="853" institutionIdentifier="General Electric Capital Corporation" country="US" currency="CHF" issueDate="07.05.2001" redemptionDate="07.05.2014" issuePrice="100.63" redemptionPrice="100" nominalAmount="10000" interestRate="3.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="32057" deleted="0" paymentDate="07.05.2007" currency="CHF" valueCHF="387.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="34157" deleted="0" valorNumber="1230233" isin="CH0012302334" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="31.05.2001" redemptionDate="31.05.2012" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="3.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="32480" deleted="0" paymentDate="31.05.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="34235" deleted="0" valorNumber="1238558" isin="CH0012385586" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="11.06.2001" redemptionDate="10.06.2015" issuePrice="99.9" redemptionPrice="100" nominalAmount="1000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.7"/>
<payment id="32800" deleted="0" paymentDate="10.06.2007" currency="CHF" valueCHF="37.5" withHoldingTax="1" taxEvent="0"/>
<legend id="4687" deleted="0">
<text>aufgestockt</text>
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<bond id="34326" deleted="0" valorNumber="1249133" isin="CH0012491335" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3198" institutionIdentifier="Swiss Re America Holding Corp." country="US" currency="CHF" issueDate="29.06.2001" redemptionDate="29.06.2015" issuePrice="101.25" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="33214" deleted="0" paymentDate="29.06.2007" currency="CHF" valueCHF="200" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="34345" deleted="0" valorNumber="1253653" isin="CH0012536535" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1087" institutionIdentifier="Lausanne" country="CH" currency="CHF" issueDate="06.07.2001" redemptionDate="06.07.2010" issuePrice="102.3" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="33304" deleted="0" paymentDate="06.07.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
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<bond id="34351" deleted="0" valorNumber="1254267" isin="CH0012542673" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1212" institutionIdentifier="Luzerner Kantonalbank" country="CH" currency="CHF" issueDate="04.07.2001" redemptionDate="04.07.2013" issuePrice="101.05" redemptionPrice="100" nominalAmount="10000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="33335" deleted="0" paymentDate="04.07.2007" currency="CHF" valueCHF="400" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="34352" deleted="0" valorNumber="1254419" isin="CH0012544190" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1826" institutionIdentifier="St. Galler Kantonalbank" country="CH" currency="CHF" issueDate="18.07.2001" redemptionDate="18.07.2011" issuePrice="102.25" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.55"/>
<payment id="33342" deleted="0" paymentDate="18.07.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
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<bond id="34391" deleted="0" valorNumber="1255811" isin="CH0012558117" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="675" institutionIdentifier="ENAG Energiefinanzierungs AG" country="CH" currency="CHF" issueDate="31.07.2001" redemptionDate="31.07.2009" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.4"/>
<payment id="33546" deleted="0" paymentDate="31.07.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
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<bond id="34425" deleted="0" valorNumber="1256960" isin="CH0012569601" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="27.07.2001" redemptionDate="27.07.2010" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="33671" deleted="0" paymentDate="27.07.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
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<payment id="33907" deleted="0" paymentDate="27.07.2007" currency="CHF" valueCHF="193.75" withHoldingTax="1" taxEvent="0"/>
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<payment id="34569" deleted="0" paymentDate="21.09.2007" currency="CHF" valueCHF="200" withHoldingTax="0" taxEvent="0"/>
<legend id="4814" deleted="0">
<text>aufgestockt</text>
</legend>
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<payment id="34644" deleted="0" paymentDate="25.09.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
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<payment id="34763" deleted="0" paymentDate="26.09.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
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<bond id="34821" deleted="0" valorNumber="1307764" isin="CH0013077646" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="723" institutionIdentifier="Europ&#228;ische Investitionsbank" country="LU" currency="CHF" issueDate="21.11.2001" redemptionDate="21.11.2011" issuePrice="101.015" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="35238" deleted="0" paymentDate="21.11.2007" currency="CHF" valueCHF="168.75" withHoldingTax="0" taxEvent="0"/>
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<legend id="4897" deleted="0">
<text>aufgestockt</text>
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<payment id="36968" deleted="0" paymentDate="23.01.2007" currency="CHF" valueCHF="400" withHoldingTax="1" taxEvent="0"/>
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<payment id="37086" deleted="0" paymentDate="27.02.2007" currency="CHF" valueCHF="175" withHoldingTax="1" taxEvent="0"/>
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<bond id="35261" deleted="0" valorNumber="1358702" isin="CH0013587024" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1457" institutionIdentifier="&#214;sterreich" country="AT" currency="CHF" issueDate="25.01.2002" redemptionDate="25.01.2012" issuePrice="100.28" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="37111" deleted="0" paymentDate="25.01.2007" currency="CHF" valueCHF="168.75" withHoldingTax="0" taxEvent="0"/>
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<taxValue quotationType="PERCENT" yearEndPrice="103.3"/>
<payment id="37442" deleted="0" paymentDate="14.02.2007" currency="CHF" valueCHF="218.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35291" deleted="0" valorNumber="1362577" isin="CH0013625774" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="11.02.2002" redemptionDate="11.02.2010" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.5"/>
<payment id="37493" deleted="0" paymentDate="11.02.2007" currency="CHF" valueCHF="181.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35324" deleted="0" valorNumber="1367236" isin="CH0013672362" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="227" institutionIdentifier="Basellandschaftliche Kantonalbank" country="CH" currency="CHF" issueDate="27.02.2002" redemptionDate="27.02.2012" issuePrice="101" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.1"/>
<payment id="37630" deleted="0" paymentDate="27.02.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35359" deleted="0" valorNumber="1376917" isin="CH0013769176" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="15.03.2002" redemptionDate="15.03.2014" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.3"/>
<payment id="37785" deleted="0" paymentDate="15.03.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35367" deleted="0" valorNumber="1379586" isin="CH0013795866" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="722" institutionIdentifier="Eurohypo Europ&#228;ische Hypothekenbank SA" country="LU" currency="CHF" issueDate="18.03.2002" redemptionDate="18.03.2014" issuePrice="101.1" redemptionPrice="100" nominalAmount="10000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.5"/>
<payment id="37819" deleted="0" paymentDate="18.03.2007" currency="CHF" valueCHF="400" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35441" deleted="0" valorNumber="1394271" isin="CH0013942716" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="30.04.2002" redemptionDate="30.04.2014" issuePrice="100.1" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="105.35"/>
<payment id="38106" deleted="0" paymentDate="30.04.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35451" deleted="0" valorNumber="1396008" isin="CH0013960080" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="172" institutionIdentifier="Banca dello Stato del Cantone Ticino" country="CH" currency="CHF" issueDate="16.04.2002" redemptionDate="16.04.2012" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="104.1"/>
<payment id="38145" deleted="0" paymentDate="16.04.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35483" deleted="0" valorNumber="1402446" isin="CH0014024464" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="26.04.2002" redemptionDate="26.04.2012" issuePrice="101.27" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103"/>
<payment id="38298" deleted="0" paymentDate="26.04.2007" currency="CHF" valueCHF="200" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35507" deleted="0" valorNumber="1405515" isin="CH0014055153" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="208" institutionIdentifier="Banque Cantonale de Fribourg" country="CH" currency="CHF" issueDate="06.05.2002" redemptionDate="06.05.2010" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.95"/>
<payment id="38411" deleted="0" paymentDate="06.05.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35517" deleted="0" valorNumber="1408132" isin="CH0014081324" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 5000.00 nom. = 1 N&apos;Akt. Lonza Group AG)" institutionId="3646" institutionIdentifier="EMS-International Finance (Guernsey) Ltd." country="GG" currency="CHF" issueDate="23.04.2002" redemptionDate="23.04.2010" issuePrice="86.9687" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="116.5"/>
<payment id="38447" deleted="0" paymentDate="23.04.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35518" deleted="0" valorNumber="1408398" isin="CH0014083981" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3139" institutionIdentifier="Kreditanstalt f&#252;r Wiederaufbau" country="DE" currency="CHF" issueDate="16.05.2002" redemptionDate="16.05.2012" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.25"/>
<payment id="38453" deleted="0" paymentDate="16.05.2007" currency="CHF" valueCHF="181.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35522" deleted="0" valorNumber="1409865" isin="CH0014098658" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="226" institutionIdentifier="Basel-Stadt" country="CH" currency="CHF" issueDate="15.05.2002" redemptionDate="15.05.2012" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.85"/>
<payment id="38477" deleted="0" paymentDate="15.05.2007" currency="CHF" valueCHF="181.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35533" deleted="0" valorNumber="1411172" isin="CH0014111725" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="290" institutionIdentifier="Berner Kantonalbank" country="CH" currency="CHF" issueDate="17.05.2002" redemptionDate="17.05.2011" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.6"/>
<payment id="38513" deleted="0" paymentDate="17.05.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35578" deleted="0" valorNumber="1418049" isin="CH0014180498" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="669" institutionIdentifier="Emissionszentrale der Schweizer Gemeinden" country="CH" currency="CHF" issueDate="21.05.2002" redemptionDate="21.05.2010" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="3.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.55"/>
<payment id="38657" deleted="0" paymentDate="21.05.2007" currency="CHF" valueCHF="181.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35600" deleted="0" valorNumber="1420507" isin="CH0014205071" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="CHF" issueDate="14.06.2002" redemptionDate="14.06.2010" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.5"/>
<payment id="38752" deleted="0" paymentDate="14.06.2007" currency="CHF" valueCHF="175" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35712" deleted="0" valorNumber="1425937" isin="CH0014259375" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="17.06.2002" redemptionDate="17.06.2011" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102"/>
<payment id="39215" deleted="0" paymentDate="17.06.2007" currency="CHF" valueCHF="175" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35732" deleted="0" valorNumber="1428592" isin="CH0014285925" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1761" institutionIdentifier="SIG Holding AG" country="CH" currency="CHF" issueDate="01.07.2002" redemptionDate="01.07.2008" earlyRedemptionDate="13.11.2007" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="4.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="39309" deleted="0" paymentDate="01.07.2007" currency="CHF" valueCHF="218.75" withHoldingTax="1" taxEvent="0"/>
<payment id="39310" deleted="1" paymentDate="13.11.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="1"/>
<payment id="212603" deleted="0" paymentDate="13.11.2007" currency="CHF" valueCHF="80.208" withHoldingTax="1" taxEvent="0">
<legend id="26246" deleted="0">
<text>Bruchzins</text>
</legend>
</payment>
<legend id="5136" deleted="0" effectiveDate="30.04.2007" effectiveDateTo="11.05.2007">
<text>&#246;ffentliches Kaufangebot der Rank Group Holdings Limited, Auckland </text>
</legend>
<legend id="5137" deleted="0">
<text>vorz. R&#252;ckzahlung per 13.11.2007 </text>
</legend>
</bond>
<bond id="35793" deleted="0" valorNumber="1432999" isin="CH0014329996" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="1826" institutionIdentifier="St. Galler Kantonalbank" country="CH" currency="CHF" issueDate="28.06.2002" redemptionDate="28.06.2012" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.65"/>
<payment id="39557" deleted="0" paymentDate="28.06.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35860" deleted="0" valorNumber="1441757" isin="CH0014417577" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1073" institutionIdentifier="Landesbank Baden-W&#252;rttemberg" country="DE" currency="CHF" issueDate="22.07.2002" redemptionDate="22.12.2008" issuePrice="99.65" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.88"/>
<payment id="39912" deleted="0" paymentDate="22.12.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35945" deleted="0" valorNumber="1456639" isin="CH0014566399" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1363" institutionIdentifier="Nederlandse Waterschapsbank N.V." country="NL" currency="CHF" issueDate="27.08.2002" redemptionDate="27.08.2012" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.9"/>
<payment id="40260" deleted="0" paymentDate="27.08.2007" currency="CHF" valueCHF="168.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="35962" deleted="0" valorNumber="1459694" isin="CH0014596941" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="CHF" issueDate="19.08.2002" redemptionDate="19.08.2010" issuePrice="100.3" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.6"/>
<payment id="40318" deleted="0" paymentDate="19.08.2007" currency="CHF" valueCHF="156.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35968" deleted="0" valorNumber="1460583" isin="CH0014605833" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1083" institutionIdentifier="Landwirtschaftliche Rentenbank" country="DE" currency="CHF" issueDate="28.08.2002" redemptionDate="28.08.2012" issuePrice="100.58" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.25"/>
<payment id="40346" deleted="0" paymentDate="28.08.2007" currency="CHF" valueCHF="162.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5226" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="35979" deleted="0" valorNumber="1463500" isin="CH0014635004" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="26.08.2002" redemptionDate="26.08.2010" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.35"/>
<payment id="40398" deleted="0" paymentDate="26.08.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="35991" deleted="0" valorNumber="1467862" isin="CH0014678624" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="430" institutionIdentifier="Bank Coop AG" country="CH" currency="CHF" issueDate="06.09.2002" redemptionDate="06.09.2011" issuePrice="100.3" redemptionPrice="100" nominalAmount="5000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="102.1"/>
<payment id="40447" deleted="0" paymentDate="06.09.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36000" deleted="0" valorNumber="1469366" isin="CH0014693664" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1086" institutionIdentifier="Energiedienst Holding AG" country="CH" currency="CHF" issueDate="27.08.2002" redemptionDate="27.08.2010" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="3.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.75"/>
<payment id="40494" deleted="0" paymentDate="27.08.2007" currency="CHF" valueCHF="187.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36030" deleted="0" valorNumber="1472047" isin="CH0014720475" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="225" institutionIdentifier="Basel-Landschaft" country="CH" currency="CHF" issueDate="30.09.2002" redemptionDate="30.09.2014" issuePrice="100.14" redemptionPrice="100" nominalAmount="10000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.1"/>
<payment id="40587" deleted="0" paymentDate="30.09.2007" currency="CHF" valueCHF="325" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36064" deleted="0" valorNumber="1475758" isin="CH0014757584" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1087" institutionIdentifier="Lausanne" country="CH" currency="CHF" issueDate="30.09.2002" redemptionDate="30.09.2011" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101"/>
<payment id="40784" deleted="0" paymentDate="30.09.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36151" deleted="0" valorNumber="1487277" isin="CH0014872771" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1075" institutionIdentifier="Landesbank Hessen-Th&#252;ringen Girozentrale (Helaba)" country="DE" currency="CHF" issueDate="18.10.2002" redemptionDate="18.10.2012" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.35"/>
<payment id="41067" deleted="0" paymentDate="18.10.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36154" deleted="0" valorNumber="1488109" isin="CH0014881095" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3785" institutionIdentifier="Hypo Real Estate Bank AG" country="DE" currency="CHF" issueDate="24.10.2002" redemptionDate="24.10.2012" issuePrice="100.3" redemptionPrice="100" nominalAmount="10000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.5"/>
<payment id="41082" deleted="0" paymentDate="24.10.2007" currency="CHF" valueCHF="300" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36168" deleted="0" valorNumber="1491677" isin="CH0014916776" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="30.10.2002" redemptionDate="30.10.2012" issuePrice="100.15" redemptionPrice="100.15" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.65"/>
<payment id="41142" deleted="0" paymentDate="30.10.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36199" deleted="0" valorNumber="1494166" isin="CH0014941667" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="1076" institutionIdentifier="LRP Landesbank Rheinland-Pfalz" country="DE" currency="CHF" issueDate="30.10.2002" redemptionDate="30.10.2015" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.1"/>
<payment id="41274" deleted="0" paymentDate="30.10.2007" currency="CHF" valueCHF="175" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36229" deleted="0" valorNumber="1499609" isin="CH0014996091" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="13.11.2002" redemptionDate="13.11.2008" issuePrice="99.83" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.48"/>
<payment id="41418" deleted="0" paymentDate="13.11.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5357" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36245" deleted="0" valorNumber="1501126" isin="CH0015011262" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3" institutionIdentifier="Aargau/Argovie" country="CH" currency="CHF" issueDate="12.11.2002" redemptionDate="12.11.2010" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.15"/>
<payment id="41527" deleted="0" paymentDate="12.11.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36250" deleted="0" valorNumber="1505206" isin="CH0015052068" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1072" institutionIdentifier="HypoTirol Bank AG" country="AT" currency="CHF" issueDate="20.11.2002" redemptionDate="20.11.2012" issuePrice="99.25" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.6"/>
<payment id="41552" deleted="0" paymentDate="20.11.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="5385" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36261" deleted="0" valorNumber="1507211" isin="CH0015072116" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1212" institutionIdentifier="Luzerner Kantonalbank" country="CH" currency="CHF" issueDate="14.11.2002" redemptionDate="14.11.2011" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.3"/>
<payment id="41597" deleted="0" paymentDate="14.11.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36264" deleted="0" valorNumber="1507328" isin="CH0015073288" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 1000.00 nom. = 129.03225 N&apos;Akt. Z&#252;blin Immo- bilien Holding AG)" institutionId="4051" institutionIdentifier="Z&#252;blin Immobilien Ltd." country="JE" currency="CHF" issueDate="19.12.2002" redemptionDate="19.12.2008" issuePrice="93.1616" redemptionPrice="100" nominalAmount="1000" interestRate="3.55" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="131"/>
<payment id="41613" deleted="0" paymentDate="19.12.2007" currency="CHF" valueCHF="35.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36280" deleted="0" valorNumber="1510065" isin="CH0015100651" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="18.11.2002" redemptionDate="18.11.2014" issuePrice="101.4" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.05"/>
<payment id="41696" deleted="0" paymentDate="18.11.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36347" deleted="0" valorNumber="1518046" isin="CH0015180463" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2850" institutionIdentifier="Kommunalbanken A/S" country="NO" currency="CHF" issueDate="18.12.2002" redemptionDate="18.12.2009" issuePrice="99.99" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.25"/>
<payment id="41914" deleted="0" paymentDate="18.12.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5456" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36368" deleted="0" valorNumber="1521810" isin="CH0015218107" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3941" institutionIdentifier="Danske Statsbaner DSB S-tog A/S" country="DK" currency="CHF" issueDate="30.12.2002" redemptionDate="30.12.2008" issuePrice="100.25" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.12"/>
<payment id="41987" deleted="0" paymentDate="30.12.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36371" deleted="0" valorNumber="1522166" isin="CH0015221663" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="08.01.2003" redemptionDate="08.01.2018" issuePrice="98.7" redemptionPrice="100" nominalAmount="1000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.63"/>
<payment id="41993" deleted="0" paymentDate="08.01.2007" currency="CHF" valueCHF="30" withHoldingTax="1" taxEvent="0"/>
<legend id="5464" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1028" deleted="0" valorNumber="2922344"/>
</bond>
<bond id="36379" deleted="0" valorNumber="1523184" isin="CH0015231845" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="10.12.2002" redemptionDate="10.12.2011" issuePrice="100.95" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.55"/>
<payment id="42028" deleted="0" paymentDate="10.12.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36390" deleted="0" valorNumber="1524471" isin="CH0015244715" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="14.01.2003" redemptionDate="14.01.2013" issuePrice="100.79" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.35"/>
<payment id="42080" deleted="0" paymentDate="14.01.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36391" deleted="0" valorNumber="1524999" isin="CH0015249995" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="199" institutionIdentifier="Bank Nederlandse Gemeenten (nv)" country="NL" currency="CHF" issueDate="30.12.2002" redemptionDate="30.12.2008" issuePrice="99.51" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.12"/>
<payment id="42086" deleted="0" paymentDate="30.12.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5479" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36393" deleted="0" valorNumber="1525081" isin="CH0015250811" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1789" institutionIdentifier="Solothurn (Kanton)" country="CH" currency="CHF" issueDate="17.12.2002" redemptionDate="17.12.2012" issuePrice="100.93" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="42097" deleted="0" paymentDate="17.12.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36403" deleted="0" valorNumber="1526816" isin="CH0015268169" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1053" institutionIdentifier="Kommuninvest i Sverige AB" country="SE" currency="CHF" issueDate="14.01.2003" redemptionDate="14.12.2009" issuePrice="99.855" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.05"/>
<payment id="42138" deleted="0" paymentDate="14.12.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36412" deleted="0" valorNumber="1531239" isin="CH0015312397" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="653" institutionIdentifier="Eksportfinans asa" country="NO" currency="CHF" issueDate="17.01.2003" redemptionDate="17.03.2009" issuePrice="99.95" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.9"/>
<payment id="42164" deleted="0" paymentDate="17.03.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5502" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36456" deleted="0" valorNumber="1538976" isin="CH0015389767" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1826" institutionIdentifier="St. Galler Kantonalbank" country="CH" currency="CHF" issueDate="03.02.2003" redemptionDate="03.02.2010" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.85"/>
<payment id="42317" deleted="0" paymentDate="03.02.2007" currency="CHF" valueCHF="112.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36457" deleted="0" valorNumber="1538985" isin="CH0015389858" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1957" institutionIdentifier="Thurgauer Kantonalbank" country="CH" currency="CHF" issueDate="14.02.2003" redemptionDate="14.02.2012" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.4"/>
<payment id="42322" deleted="0" paymentDate="14.02.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36460" deleted="0" valorNumber="1539277" isin="CH0015392779" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="15.01.2003" redemptionDate="15.01.2010" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.75"/>
<payment id="42335" deleted="0" paymentDate="15.01.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
<increase id="1039" deleted="1" valorNumber="2989230"/>
</bond>
<bond id="36464" deleted="0" valorNumber="1540576" isin="CH0015405761" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="10.02.2003" redemptionDate="10.02.2010" issuePrice="99.84" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.1"/>
<payment id="42353" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5520" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36479" deleted="0" valorNumber="1541710" isin="CH0015417105" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="208" institutionIdentifier="Banque Cantonale de Fribourg" country="CH" currency="CHF" issueDate="24.02.2003" redemptionDate="24.02.2011" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.85"/>
<payment id="42398" deleted="0" paymentDate="24.02.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36494" deleted="0" valorNumber="1542253" isin="CH0015422535" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="03.02.2003" redemptionDate="03.02.2012" issuePrice="100.9" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.5"/>
<payment id="42445" deleted="0" paymentDate="03.02.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36502" deleted="0" valorNumber="1542887" isin="CH0015428870" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1960" institutionIdentifier="Ticino" country="CH" currency="CHF" issueDate="18.02.2003" redemptionDate="18.02.2011" issuePrice="100.61" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.3"/>
<payment id="42493" deleted="0" paymentDate="18.02.2007" currency="CHF" valueCHF="112.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36503" deleted="0" valorNumber="1542893" isin="CH0015428938" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1975" institutionIdentifier="Toyota Motor Credit Corporation" country="US" currency="CHF" issueDate="18.02.2003" redemptionDate="18.12.2008" issuePrice="100.33" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.55"/>
<payment id="42498" deleted="0" paymentDate="18.12.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36531" deleted="0" valorNumber="1544343" isin="CH0015443432" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="34" institutionIdentifier="Agence Fran&#231;aise de D&#233;veloppement" country="FR" currency="CHF" issueDate="18.02.2003" redemptionDate="18.02.2010" issuePrice="99.86" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.55"/>
<payment id="42635" deleted="0" paymentDate="18.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5542" deleted="0">
<text>(prix d&apos;&#233;m.: 99.86%)</text>
</legend>
<legend id="5543" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="36548" deleted="0" valorNumber="1547316" isin="CH0015473165" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4057" institutionIdentifier="Nordrhein-Westfalen (Bundesland)" country="DE" currency="CHF" issueDate="26.02.2003" redemptionDate="26.02.2010" issuePrice="100.28" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.15"/>
<payment id="42718" deleted="0" paymentDate="26.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36584" deleted="0" valorNumber="1554097" isin="CH0015540971" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1400" institutionIdentifier="Oberhasli AG (Kraftwerke)" country="CH" currency="CHF" issueDate="03.03.2003" redemptionDate="03.03.2011" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.8"/>
<payment id="42863" deleted="0" paymentDate="03.03.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36626" deleted="0" valorNumber="1560048" isin="CH0015600486" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1087" institutionIdentifier="Lausanne" country="CH" currency="CHF" issueDate="07.03.2003" redemptionDate="07.03.2012" issuePrice="100.01" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.7"/>
<payment id="43035" deleted="0" paymentDate="07.03.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36642" deleted="0" valorNumber="1562572" isin="CH0015625723" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="285" institutionIdentifier="Bern (Kanton)" country="CH" currency="CHF" issueDate="25.03.2003" redemptionDate="25.03.2010" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.3"/>
<payment id="43089" deleted="0" paymentDate="25.03.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36644" deleted="0" valorNumber="1562930" isin="CH0015629303" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1089" institutionIdentifier="Leibstadt AG (Kernkraftwerk)" country="CH" currency="CHF" issueDate="31.03.2003" redemptionDate="31.03.2010" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.35"/>
<payment id="43095" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36649" deleted="0" valorNumber="1563345" isin="CH0015633453" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="12.03.2003" redemptionDate="12.03.2016" issuePrice="99.5" redemptionPrice="100" nominalAmount="1000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.59"/>
<payment id="43104" deleted="0" paymentDate="12.03.2007" currency="CHF" valueCHF="25" withHoldingTax="1" taxEvent="0"/>
<legend id="5606" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36656" deleted="0" valorNumber="1565150" isin="CH0015651505" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="17.03.2003" redemptionDate="17.03.2012" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.35"/>
<payment id="43122" deleted="0" paymentDate="17.03.2007" currency="CHF" valueCHF="112.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36661" deleted="0" valorNumber="1566962" isin="CH0015669622" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="25.03.2003" redemptionDate="25.03.2015" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.1"/>
<payment id="43138" deleted="0" paymentDate="25.03.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36668" deleted="0" valorNumber="1567968" isin="CH0015679688" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="17.03.2003" redemptionDate="04.12.2012" issuePrice="100.16" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.55"/>
<payment id="43167" deleted="0" paymentDate="04.12.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36669" deleted="0" valorNumber="1568312" isin="CH0015683128" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1363" institutionIdentifier="Nederlandse Waterschapsbank N.V." country="NL" currency="CHF" issueDate="31.03.2003" redemptionDate="31.03.2010" issuePrice="100.76" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.8"/>
<payment id="43172" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="36702" deleted="0" valorNumber="1572398" isin="CH0015723981" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="307" institutionIdentifier="Blenio AG (Kraftwerke)" country="CH" currency="CHF" issueDate="28.03.2003" redemptionDate="28.03.2011" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.95"/>
<payment id="43305" deleted="0" paymentDate="28.03.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36703" deleted="0" valorNumber="1572461" isin="CH0015724617" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4251" institutionIdentifier="HSH Nordbank AG" country="DE" currency="CHF" issueDate="09.04.2003" redemptionDate="09.04.2010" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.75"/>
<payment id="43310" deleted="0" paymentDate="09.04.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5616" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36722" deleted="0" valorNumber="1575340" isin="CH0015753400" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="670" institutionIdentifier="Emissionszentrale f&#252;r gemeinn&#252;tzige Wohnbautr&#228;ger EGW" country="CH" currency="CHF" issueDate="28.03.2003" redemptionDate="28.03.2013" issuePrice="100.05" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.6"/>
<payment id="43353" deleted="0" paymentDate="28.03.2007" currency="CHF" valueCHF="112.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="36797" deleted="0" valorNumber="1580323" isin="CH0015803239" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="08.04.2003" redemptionDate="08.04.2033" issuePrice="95" redemptionPrice="100" nominalAmount="1000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="103.5"/>
<payment id="43579" deleted="0" paymentDate="08.04.2007" currency="CHF" valueCHF="35" withHoldingTax="1" taxEvent="0"/>
<legend id="5648" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1066" deleted="0" valorNumber="3454743"/>
</bond>
<bond id="36834" deleted="0" valorNumber="1587381" isin="CH0015873810" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1052" institutionIdentifier="KommuneKredit" country="DK" currency="CHF" issueDate="07.05.2003" redemptionDate="07.05.2013" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.8"/>
<payment id="43682" deleted="0" paymentDate="07.05.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5661" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="36993" deleted="0" valorNumber="1597717" isin="CH0015977173" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="19.05.2003" redemptionDate="19.12.2011" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.65"/>
<payment id="44040" deleted="0" paymentDate="19.12.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37044" deleted="0" valorNumber="1603613" isin="CH0016036136" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4081" institutionIdentifier="Statnett SF" country="NO" currency="CHF" issueDate="10.06.2003" redemptionDate="10.06.2010" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.5"/>
<payment id="44244" deleted="0" paymentDate="10.06.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37078" deleted="0" valorNumber="1605769" isin="CH0016057694" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="225" institutionIdentifier="Basel-Landschaft" country="CH" currency="CHF" issueDate="03.06.2003" redemptionDate="03.06.2013" issuePrice="100.82" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.65"/>
<payment id="44408" deleted="0" paymentDate="03.06.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37089" deleted="0" valorNumber="1606274" isin="CH0016062744" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2796" institutionIdentifier="DePfa Deutsche Pfandbriefbank AG" country="DE" currency="CHF" issueDate="16.06.2003" redemptionDate="16.06.2010" issuePrice="99.67" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.8"/>
<payment id="44459" deleted="0" paymentDate="16.06.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5751" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37094" deleted="0" valorNumber="1606998" isin="CH0016069988" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2850" institutionIdentifier="Kommunalbanken A/S" country="NO" currency="CHF" issueDate="24.06.2003" redemptionDate="24.06.2011" issuePrice="100.42" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.15"/>
<payment id="44489" deleted="0" paymentDate="24.06.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37095" deleted="0" valorNumber="1607034" isin="CH0016070341" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="19.06.2003" redemptionDate="19.06.2015" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.75"/>
<payment id="44494" deleted="0" paymentDate="19.06.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37097" deleted="0" valorNumber="1607082" isin="CH0016070820" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1073" institutionIdentifier="Landesbank Baden-W&#252;rttemberg" country="DE" currency="CHF" issueDate="18.06.2003" redemptionDate="18.06.2010" issuePrice="99.74" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.15"/>
<payment id="44504" deleted="0" paymentDate="18.06.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37103" deleted="0" valorNumber="1608017" isin="CH0016080175" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1210" institutionIdentifier="Luzern (Kanton)" country="CH" currency="CHF" issueDate="13.06.2003" redemptionDate="13.06.2013" issuePrice="100.47" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.95"/>
<payment id="44520" deleted="0" paymentDate="13.06.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37123" deleted="0" valorNumber="1612399" isin="CH0016123991" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="653" institutionIdentifier="Eksportfinans asa" country="NO" currency="CHF" issueDate="26.06.2003" redemptionDate="26.06.2013" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.75"/>
<payment id="44589" deleted="0" paymentDate="26.06.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37135" deleted="0" valorNumber="1614132" isin="CH0016141324" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3165" institutionIdentifier="RWE Finance BV" country="NL" currency="CHF" issueDate="02.07.2003" redemptionDate="18.12.2008" issuePrice="99.95" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.83"/>
<payment id="44657" deleted="0" paymentDate="18.12.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="5799" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37136" deleted="0" valorNumber="1614301" isin="CH0016143015" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3216" institutionIdentifier="Kommunalkredit Austria AG" country="AT" currency="CHF" issueDate="30.06.2003" redemptionDate="30.04.2010" issuePrice="100.91" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.35"/>
<payment id="44662" deleted="0" paymentDate="30.04.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37155" deleted="0" valorNumber="1615309" isin="CH0016153097" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="199" institutionIdentifier="Bank Nederlandse Gemeenten (nv)" country="NL" currency="CHF" issueDate="03.07.2003" redemptionDate="03.07.2015" issuePrice="101.46" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.65"/>
<payment id="44725" deleted="0" paymentDate="03.07.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5804" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1092" deleted="0" valorNumber="3403421"/>
</bond>
<bond id="37176" deleted="0" valorNumber="1619253" isin="CH0016192533" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="353" institutionIdentifier="Ixis Corporate and Investment Bank" country="FR" currency="CHF" issueDate="09.07.2003" redemptionDate="28.05.2010" issuePrice="99.59" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.3"/>
<payment id="44796" deleted="0" paymentDate="28.05.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
<legend id="5813" deleted="0">
<text>(prix d&apos;&#233;m.: 99.59%)</text>
</legend>
</bond>
<bond id="37177" deleted="0" valorNumber="1619256" isin="CH0016192566" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="353" institutionIdentifier="Ixis Corporate and Investment Bank" country="FR" currency="CHF" issueDate="09.07.2003" redemptionDate="19.12.2013" issuePrice="99.81" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.75"/>
<payment id="44801" deleted="0" paymentDate="19.12.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
<legend id="5820" deleted="0">
<text>(prix d&apos;&#233;m.: 99.81%)</text>
</legend>
<legend id="5821" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="37181" deleted="0" valorNumber="1619634" isin="CH0016196344" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1448" institutionIdentifier="Ontario (Province of)" country="CA" currency="CHF" issueDate="08.07.2003" redemptionDate="08.07.2013" issuePrice="101.36" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="44817" deleted="0" paymentDate="08.07.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37184" deleted="0" valorNumber="1619993" isin="CH0016199934" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4" institutionIdentifier="Aargauische Kantonalbank" country="CH" currency="CHF" issueDate="07.07.2003" redemptionDate="07.07.2011" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.65"/>
<payment id="44830" deleted="0" paymentDate="07.07.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37187" deleted="0" valorNumber="1621681" isin="CH0016216811" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="30.06.2003" redemptionDate="30.06.2015" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.95"/>
<payment id="44841" deleted="0" paymentDate="30.06.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37198" deleted="0" valorNumber="1622576" isin="CH0016225762" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="285" institutionIdentifier="Bern (Kanton)" country="CH" currency="CHF" issueDate="26.06.2003" redemptionDate="26.06.2013" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.5"/>
<payment id="44882" deleted="0" paymentDate="26.06.2007" currency="CHF" valueCHF="112.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37217" deleted="0" valorNumber="1625364" isin="CH0016253640" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2711" institutionIdentifier="Pfandbriefstelle der &#246;sterreichischen Landes-Hypothekenbank" country="AT" currency="CHF" issueDate="21.07.2003" redemptionDate="21.07.2017" issuePrice="100.59" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.65"/>
<payment id="44966" deleted="0" paymentDate="21.07.2007" currency="CHF" valueCHF="143.75" withHoldingTax="0" taxEvent="0"/>
<legend id="5849" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37225" deleted="0" valorNumber="1625554" isin="CH0016255546" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3305" institutionIdentifier="Bobst Group SA" country="CH" currency="CHF" issueDate="08.07.2003" redemptionDate="08.07.2011" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.75"/>
<payment id="45007" deleted="0" paymentDate="08.07.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
<legend id="5852" deleted="0">
<text>(prix d&apos;&#233;m.: 99.00%)</text>
</legend>
</bond>
<bond id="37229" deleted="0" valorNumber="1626738" isin="CH0016267384" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="723" institutionIdentifier="Europ&#228;ische Investitionsbank" country="LU" currency="CHF" issueDate="22.07.2003" redemptionDate="22.07.2015" issuePrice="99.36" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.4"/>
<payment id="45025" deleted="0" paymentDate="22.07.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37281" deleted="0" valorNumber="1631511" isin="CH0016315118" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="CHF" issueDate="15.07.2003" redemptionDate="15.07.2013" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.1"/>
<payment id="45370" deleted="0" paymentDate="15.07.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37285" deleted="0" valorNumber="1631570" isin="CH0016315704" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="09.07.2003" redemptionDate="09.07.2014" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.5"/>
<payment id="45378" deleted="0" paymentDate="09.07.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37342" deleted="0" valorNumber="1641274" isin="CH0016412741" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1826" institutionIdentifier="St. Galler Kantonalbank" country="CH" currency="CHF" issueDate="08.08.2003" redemptionDate="08.08.2013" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.05"/>
<payment id="45588" deleted="0" paymentDate="08.08.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37413" deleted="0" valorNumber="1648216" isin="CH0016482165" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3048" institutionIdentifier="Citigroup Inc." country="US" currency="CHF" issueDate="29.08.2003" redemptionDate="29.12.2008" issuePrice="100.61" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.6"/>
<payment id="45884" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37487" deleted="0" valorNumber="1659053" isin="CH0016590538" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2796" institutionIdentifier="DePfa Deutsche Pfandbriefbank AG" country="DE" currency="CHF" issueDate="15.09.2003" redemptionDate="15.09.2015" issuePrice="100.3" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="46144" deleted="0" paymentDate="15.09.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6098" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37488" deleted="0" valorNumber="1659126" isin="CH0016591262" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2" institutionIdentifier="Aare-Tessin AG f&#252;r Elektrizit&#228;t (Atel)" country="CH" currency="CHF" issueDate="16.09.2003" redemptionDate="16.09.2013" issuePrice="100.27" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.8"/>
<payment id="46149" deleted="0" paymentDate="16.09.2007" currency="CHF" valueCHF="156.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37491" deleted="0" valorNumber="1659357" isin="CH0016593573" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1957" institutionIdentifier="Thurgauer Kantonalbank" country="CH" currency="CHF" issueDate="10.09.2003" redemptionDate="10.09.2013" issuePrice="100.9" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.2"/>
<payment id="46161" deleted="0" paymentDate="10.09.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37514" deleted="0" valorNumber="1661768" isin="CH0016617687" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1053" institutionIdentifier="Kommuninvest i Sverige AB" country="SE" currency="CHF" issueDate="17.09.2003" redemptionDate="17.09.2013" issuePrice="99.55" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.15"/>
<payment id="46256" deleted="0" paymentDate="17.09.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
<legend id="6117" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1105" deleted="0" valorNumber="3124463"/>
</bond>
<bond id="37589" deleted="0" valorNumber="1669117" isin="CH0016691179" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2249" institutionIdentifier="Vaud" country="CH" currency="CHF" issueDate="26.09.2003" redemptionDate="26.09.2013" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.45"/>
<payment id="46569" deleted="0" paymentDate="26.09.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37595" deleted="0" valorNumber="1670537" isin="CH0016705375" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="670" institutionIdentifier="Emissionszentrale f&#252;r gemeinn&#252;tzige Wohnbautr&#228;ger EGW" country="CH" currency="CHF" issueDate="15.09.2003" redemptionDate="15.09.2011" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.1"/>
<payment id="46600" deleted="0" paymentDate="15.09.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37599" deleted="0" valorNumber="1671424" isin="CH0016714245" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3678" institutionIdentifier="Sparkasse K&#246;lnBonn" country="DE" currency="CHF" issueDate="06.10.2003" redemptionDate="06.07.2010" issuePrice="99.97" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="46620" deleted="0" paymentDate="06.07.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37619" deleted="0" valorNumber="1673309" isin="CH0016733096" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1083" institutionIdentifier="Landwirtschaftliche Rentenbank" country="DE" currency="CHF" issueDate="08.10.2003" redemptionDate="08.10.2013" issuePrice="101.43" redemptionPrice="100" nominalAmount="10000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.15"/>
<payment id="46698" deleted="0" paymentDate="08.10.2007" currency="CHF" valueCHF="325" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37630" deleted="0" valorNumber="1674623" isin="CH0016746239" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="450" institutionIdentifier="Compagnie de financement foncier" country="FR" currency="CHF" issueDate="10.10.2003" redemptionDate="10.10.2014" issuePrice="99.86" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.1"/>
<payment id="46738" deleted="0" paymentDate="10.10.2007" currency="CHF" valueCHF="156.25" withHoldingTax="0" taxEvent="0"/>
<legend id="6278" deleted="0">
<text>(prix d&apos;&#233;m.: 99.86%)</text>
</legend>
<legend id="6279" deleted="0">
<text>r&#233;ouvert</text>
</legend>
<increase id="1109" deleted="0" valorNumber="3434614"/>
<increase id="1108" deleted="0" valorNumber="3396487"/>
</bond>
<bond id="37641" deleted="0" valorNumber="1676602" isin="CH0016766021" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3335" institutionIdentifier="Landeskreditbank Baden-W&#252;rttemberg-F&#246;rderbank" country="DE" currency="CHF" issueDate="14.10.2003" redemptionDate="14.10.2013" issuePrice="100.62" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.2"/>
<payment id="46786" deleted="0" paymentDate="14.10.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37650" deleted="0" valorNumber="1677298" isin="CH0016772987" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 5000.00 nom. = 102.04082 N&apos;Akt. Swatch Group SA [The])" institutionId="4314" institutionIdentifier="Swatch Group Finance (Luxembourg) SA (The)" country="LU" currency="CHF" issueDate="15.10.2003" redemptionDate="15.10.2010" issuePrice="96.157" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="140.85"/>
<payment id="46816" deleted="0" paymentDate="15.10.2007" currency="CHF" valueCHF="131.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37656" deleted="0" valorNumber="1678231" isin="CH0016782317" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="01.10.2003" redemptionDate="26.09.2011" issuePrice="100.07" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.05"/>
<payment id="46842" deleted="0" paymentDate="26.09.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37679" deleted="0" valorNumber="1683044" isin="CH0016830447" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="17.10.2003" redemptionDate="17.10.2011" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="46957" deleted="0" paymentDate="17.10.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
<legend id="6343" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37680" deleted="0" valorNumber="1683380" isin="CH0016833805" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="23.10.2003" redemptionDate="23.10.2015" issuePrice="99.71" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.6"/>
<payment id="46962" deleted="0" paymentDate="23.10.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6351" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1112" deleted="0" valorNumber="3374762"/>
</bond>
<bond id="37709" deleted="0" valorNumber="1688047" isin="CH0016880475" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2711" institutionIdentifier="Pfandbriefstelle der &#246;sterreichischen Landes-Hypothekenbank" country="AT" currency="CHF" issueDate="29.10.2003" redemptionDate="29.10.2010" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="47071" deleted="0" paymentDate="29.10.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37727" deleted="0" valorNumber="1691306" isin="CH0016913060" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1960" institutionIdentifier="Ticino" country="CH" currency="CHF" issueDate="30.10.2003" redemptionDate="30.10.2013" issuePrice="100.125" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.65"/>
<payment id="47139" deleted="0" paymentDate="30.10.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37769" deleted="0" valorNumber="1699585" isin="CH0016995851" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="226" institutionIdentifier="Basel-Stadt" country="CH" currency="CHF" issueDate="12.11.2003" redemptionDate="12.11.2010" issuePrice="100.9" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.5"/>
<payment id="47290" deleted="0" paymentDate="12.11.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37786" deleted="0" valorNumber="1702322" isin="CH0017023224" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1087" institutionIdentifier="Lausanne" country="CH" currency="CHF" issueDate="05.11.2003" redemptionDate="05.11.2012" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.4"/>
<payment id="47371" deleted="0" paymentDate="05.11.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37787" deleted="0" valorNumber="1702390" isin="CH0017023901" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="11.11.2003" redemptionDate="11.11.2013" issuePrice="100.125" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.2"/>
<payment id="47376" deleted="0" paymentDate="11.11.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37824" deleted="0" valorNumber="1706265" isin="CH0017062651" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2846" institutionIdentifier="Akademiska Hus AB" country="SE" currency="CHF" issueDate="04.12.2003" redemptionDate="04.10.2010" issuePrice="100.64" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.9"/>
<payment id="47508" deleted="0" paymentDate="04.10.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37828" deleted="0" valorNumber="1706732" isin="CH0017067320" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="03.12.2003" redemptionDate="03.12.2010" issuePrice="100.34" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.65"/>
<payment id="47528" deleted="0" paymentDate="03.12.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
<legend id="6469" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1118" deleted="1" valorNumber="3437669"/>
</bond>
<bond id="37889" deleted="0" valorNumber="1718715" isin="CH0017187151" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4555" institutionIdentifier="DePfa ACS Bank" country="IE" currency="CHF" issueDate="15.12.2003" redemptionDate="15.12.2010" issuePrice="99.48" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.3"/>
<payment id="47738" deleted="0" paymentDate="15.12.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
<legend id="6541" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37899" deleted="0" valorNumber="1721880" isin="CH0017218808" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="199" institutionIdentifier="Bank Nederlandse Gemeenten (nv)" country="NL" currency="CHF" issueDate="22.12.2003" redemptionDate="22.12.2009" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.45"/>
<payment id="47771" deleted="0" paymentDate="22.12.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="37902" deleted="0" valorNumber="1722262" isin="CH0017222628" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="649" institutionIdentifier="Edipresse SA" country="CH" currency="CHF" issueDate="10.12.2003" redemptionDate="10.12.2010" issuePrice="100.45" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.65"/>
<payment id="47782" deleted="0" paymentDate="10.12.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37909" deleted="0" valorNumber="1724093" isin="CH0017240935" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2722" institutionIdentifier="Australia &amp; New Zealand Banking Group Ltd" country="AU" currency="CHF" issueDate="22.12.2003" redemptionDate="22.12.2008" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.37"/>
<payment id="47812" deleted="0" paymentDate="22.12.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="6552" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="37914" deleted="0" valorNumber="1726032" isin="CH0017260321" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="169" institutionIdentifier="B&#226;loise Holding" country="CH" currency="CHF" issueDate="15.12.2003" redemptionDate="15.12.2009" issuePrice="100.43" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.35"/>
<payment id="47828" deleted="0" paymentDate="15.12.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37919" deleted="0" valorNumber="1726716" isin="CH0017267169" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3520" institutionIdentifier="Total Capital" country="FR" currency="CHF" issueDate="23.12.2003" redemptionDate="23.06.2010" issuePrice="99.97" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="47847" deleted="0" paymentDate="23.06.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
<legend id="6563" deleted="0">
<text>(prix d&apos;&#233;m.: 99.97%)</text>
</legend>
<legend id="6564" deleted="0">
<text>r&#233;ouvert</text>
</legend>
<increase id="1123" deleted="1" valorNumber="3537426"/>
</bond>
<bond id="37923" deleted="0" valorNumber="1727372" isin="CH0017273720" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4420" institutionIdentifier="CIF Euromortgage" country="FR" currency="CHF" issueDate="23.12.2003" redemptionDate="23.06.2014" issuePrice="100.61" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.85"/>
<payment id="47865" deleted="0" paymentDate="23.06.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6567" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="37953" deleted="0" valorNumber="1734002" isin="CH0017340024" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3" institutionIdentifier="Aargau/Argovie" country="CH" currency="CHF" issueDate="05.01.2004" redemptionDate="05.01.2015" issuePrice="100.16" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.6"/>
<payment id="47964" deleted="0" paymentDate="05.01.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37954" deleted="0" valorNumber="1734003" isin="CH0017340032" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3" institutionIdentifier="Aargau/Argovie" country="CH" currency="CHF" issueDate="05.01.2004" redemptionDate="05.01.2011" issuePrice="100.32" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.05"/>
<payment id="47968" deleted="0" paymentDate="05.01.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37969" deleted="0" valorNumber="1737171" isin="CH0017371714" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="07.01.2004" redemptionDate="07.01.2014" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100"/>
<payment id="48011" deleted="0" paymentDate="07.01.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="37992" deleted="0" valorNumber="1741031" isin="CH0017410314" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="30.12.2003" redemptionDate="28.12.2018" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.75"/>
<payment id="48079" deleted="0" paymentDate="28.12.2007" currency="CHF" valueCHF="162.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38005" deleted="0" valorNumber="1744778" isin="CH0017447787" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3216" institutionIdentifier="Kommunalkredit Austria AG" country="AT" currency="CHF" issueDate="20.01.2004" redemptionDate="20.02.2014" issuePrice="100.73" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.85"/>
<payment id="48125" deleted="0" paymentDate="20.02.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6590" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38026" deleted="0" valorNumber="1750316" isin="CH0017503167" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1086" institutionIdentifier="Energiedienst Holding AG" country="CH" currency="CHF" issueDate="16.01.2004" redemptionDate="16.01.2012" issuePrice="100.25" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.6"/>
<payment id="48211" deleted="0" paymentDate="16.01.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38054" deleted="0" valorNumber="1754641" isin="CH0017546414" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" institutionId="1678" institutionIdentifier="Schaffner Holding AG" country="CH" currency="CHF" issueDate="28.01.2004" redemptionDate="28.01.2010" issuePrice="100" redemptionPrice="103" nominalAmount="1000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="1" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="107.7"/>
<payment id="48298" deleted="0" paymentDate="28.01.2007" currency="CHF" valueCHF="22.5" withHoldingTax="1" taxEvent="0"/>
<legend id="6603" deleted="0">
<text>Wandelrecht: siehe Emissionsbedingungen</text>
</legend>
</bond>
<bond id="38079" deleted="0" valorNumber="1759854" isin="CH0017598548" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="10.02.2004" redemptionDate="10.01.2011" issuePrice="100.21" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.25"/>
<payment id="48386" deleted="0" paymentDate="10.01.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38131" deleted="0" valorNumber="1762478" isin="CH0017624781" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3645" institutionIdentifier="DekaBank Deutsche Girozentrale" country="DE" currency="CHF" issueDate="16.02.2004" redemptionDate="16.12.2015" issuePrice="100.68" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.05"/>
<payment id="48520" deleted="0" paymentDate="16.12.2007" currency="CHF" valueCHF="156.25" withHoldingTax="0" taxEvent="0"/>
<legend id="6623" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38155" deleted="0" valorNumber="1764020" isin="CH0017640209" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2917" institutionIdentifier="St. Gallen (Kanton)" country="CH" currency="CHF" issueDate="03.02.2004" redemptionDate="03.02.2020" issuePrice="100.38" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="48611" deleted="0" paymentDate="03.02.2007" currency="CHF" valueCHF="156.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38170" deleted="0" valorNumber="1768021" isin="CH0017680213" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1099" institutionIdentifier="LGT Finance Limited" country="KY" currency="CHF" issueDate="11.02.2004" redemptionDate="11.02.2011" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.2"/>
<payment id="48657" deleted="0" paymentDate="11.02.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38172" deleted="0" valorNumber="1768978" isin="CH0017689784" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2249" institutionIdentifier="Vaud" country="CH" currency="CHF" issueDate="10.02.2004" redemptionDate="10.02.2012" issuePrice="100.03" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.1"/>
<payment id="48663" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38209" deleted="0" valorNumber="1773362" isin="CH0017733624" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4" institutionIdentifier="Aargauische Kantonalbank" country="CH" currency="CHF" issueDate="26.02.2004" redemptionDate="26.02.2010" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.5"/>
<payment id="48771" deleted="0" paymentDate="26.02.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38220" deleted="0" valorNumber="1774193" isin="CH0017741932" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1960" institutionIdentifier="Ticino" country="CH" currency="CHF" issueDate="20.02.2004" redemptionDate="20.02.2014" issuePrice="101.02" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.5"/>
<payment id="48796" deleted="0" paymentDate="20.02.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38267" deleted="0" valorNumber="1779737" isin="CH0017797371" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3139" institutionIdentifier="Kreditanstalt f&#252;r Wiederaufbau" country="DE" currency="CHF" issueDate="27.02.2004" redemptionDate="27.02.2009" issuePrice="101.31" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.17"/>
<payment id="48944" deleted="0" paymentDate="27.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="6710" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38295" deleted="0" valorNumber="1783242" isin="CH0017832426" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="16.02.2004" redemptionDate="16.02.2011" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.75"/>
<payment id="49043" deleted="0" paymentDate="16.02.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
<legend id="6727" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1133" deleted="0" valorNumber="3396171"/>
</bond>
<bond id="38306" deleted="0" valorNumber="1783787" isin="CH0017837870" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2312" institutionIdentifier="Vorarlberger Landes- und Hypothekenbank AG" country="AT" currency="CHF" issueDate="09.03.2004" redemptionDate="09.11.2010" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="49071" deleted="0" paymentDate="09.11.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38325" deleted="0" valorNumber="1786339" isin="CH0017863397" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="12.03.2004" redemptionDate="12.03.2014" issuePrice="100.56" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.05"/>
<payment id="49129" deleted="0" paymentDate="12.03.2007" currency="CHF" valueCHF="143.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38350" deleted="0" valorNumber="1789712" isin="CH0017897122" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="221" institutionIdentifier="B&#228;r (Julius) Holding AG" country="CH" currency="CHF" issueDate="12.03.2004" redemptionDate="12.03.2010" issuePrice="100.1" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.45"/>
<payment id="49216" deleted="0" paymentDate="12.03.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38352" deleted="0" valorNumber="1789775" isin="CH0017897759" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1957" institutionIdentifier="Thurgauer Kantonalbank" country="CH" currency="CHF" issueDate="10.03.2004" redemptionDate="10.03.2014" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.35"/>
<payment id="49224" deleted="0" paymentDate="10.03.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38363" deleted="0" valorNumber="1791387" isin="CH0017913879" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1357" institutionIdentifier="NIBC Bank N.V." country="NL" currency="CHF" issueDate="16.03.2004" redemptionDate="16.03.2009" issuePrice="100.625" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.3"/>
<payment id="49265" deleted="0" paymentDate="16.03.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="6766" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38435" deleted="0" valorNumber="1798073" isin="CH0017980738" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="15.03.2004" redemptionDate="15.03.2012" issuePrice="100.43" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="49523" deleted="0" paymentDate="15.03.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38470" deleted="0" valorNumber="1802401" isin="CH0018024015" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3645" institutionIdentifier="DekaBank Deutsche Girozentrale" country="DE" currency="CHF" issueDate="01.04.2004" redemptionDate="01.04.2010" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.4"/>
<payment id="49631" deleted="0" paymentDate="01.04.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38502" deleted="0" valorNumber="1806267" isin="CH0018062676" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2732" institutionIdentifier="Griechenland" country="GR" currency="CHF" issueDate="18.03.2004" redemptionDate="18.03.2011" issuePrice="100.52" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.1"/>
<payment id="49736" deleted="0" paymentDate="18.03.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38583" deleted="0" valorNumber="1813215" isin="CH0018132156" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1087" institutionIdentifier="Lausanne" country="CH" currency="CHF" issueDate="31.03.2004" redemptionDate="31.03.2014" issuePrice="100.775" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.4"/>
<payment id="49989" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38596" deleted="0" valorNumber="1814087" isin="CH0018140878" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3048" institutionIdentifier="Citigroup Inc." country="US" currency="CHF" issueDate="07.04.2004" redemptionDate="17.12.2014" issuePrice="101.03" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="94.6"/>
<payment id="50022" deleted="0" paymentDate="17.12.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6881" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38597" deleted="0" valorNumber="1814214" isin="CH0018142148" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4585" institutionIdentifier="Hypo Alpe-Adria-Bank International AG" country="AT" currency="CHF" issueDate="15.04.2004" redemptionDate="15.10.2010" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.35"/>
<payment id="50026" deleted="0" paymentDate="15.10.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
<legend id="6884" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38616" deleted="0" valorNumber="1817002" isin="CH0018170024" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="682" institutionIdentifier="Engadiner Kraftwerke AG" country="CH" currency="CHF" issueDate="26.04.2004" redemptionDate="25.04.2014" issuePrice="100.39" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.35"/>
<payment id="50089" deleted="0" paymentDate="25.04.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38629" deleted="0" valorNumber="1819481" isin="CH0018194818" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="853" institutionIdentifier="General Electric Capital Corporation" country="US" currency="CHF" issueDate="16.04.2004" redemptionDate="16.10.2015" issuePrice="100.27" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.2"/>
<payment id="50136" deleted="0" paymentDate="16.10.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6896" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1144" deleted="0" valorNumber="3362543"/>
</bond>
<bond id="38649" deleted="0" valorNumber="1822522" isin="CH0018225224" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="290" institutionIdentifier="Berner Kantonalbank" country="CH" currency="CHF" issueDate="22.04.2004" redemptionDate="22.04.2014" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.55"/>
<payment id="50192" deleted="0" paymentDate="22.04.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38650" deleted="0" valorNumber="1822523" isin="CH0018225232" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="290" institutionIdentifier="Berner Kantonalbank" country="CH" currency="CHF" issueDate="22.04.2004" redemptionDate="22.04.2016" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="50196" deleted="0" paymentDate="22.04.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38670" deleted="0" valorNumber="1826853" isin="CH0018268539" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4375" institutionIdentifier="ASIF III (Jersey) Limited" country="JE" currency="CHF" issueDate="29.04.2004" redemptionDate="29.12.2015" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="92.5"/>
<payment id="50253" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
<legend id="6922" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38676" deleted="0" valorNumber="1827647" isin="CH0018276474" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="112" institutionIdentifier="Autobahnen- und Schnellstrassen-Finanzierungs- Aktiengesellschaft (ASFINAG)" country="AT" currency="CHF" issueDate="29.04.2004" redemptionDate="29.07.2010" issuePrice="100.32" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.75"/>
<payment id="50275" deleted="0" paymentDate="29.07.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38686" deleted="0" valorNumber="1828926" isin="CH0018289261" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="22.04.2004" redemptionDate="22.04.2014" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.75"/>
<payment id="50305" deleted="0" paymentDate="22.04.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38741" deleted="0" valorNumber="1833562" isin="CH0018335627" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="450" institutionIdentifier="Compagnie de financement foncier" country="FR" currency="CHF" issueDate="11.05.2004" redemptionDate="11.05.2011" issuePrice="99.95" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.8"/>
<payment id="50458" deleted="0" paymentDate="11.05.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="6951" deleted="0">
<text>(prix d&apos;&#233;m.: 99.95%)</text>
</legend>
<legend id="6952" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="38742" deleted="0" valorNumber="1833656" isin="CH0018336567" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1286" institutionIdentifier="Migros-Genossenschafts-Bund (MGB)" country="CH" currency="CHF" issueDate="03.05.2004" redemptionDate="03.05.2011" issuePrice="100.48" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.6"/>
<payment id="50462" deleted="0" paymentDate="03.05.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38796" deleted="0" valorNumber="1839146" isin="CH0018391463" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1703" institutionIdentifier="Raiffeisen Schweiz Genossenschaft" country="CH" currency="CHF" issueDate="05.05.2004" redemptionDate="05.05.2014" issuePrice="100.58" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.8"/>
<payment id="50647" deleted="0" paymentDate="05.05.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38803" deleted="0" valorNumber="1839765" isin="CH0018397650" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="917" institutionIdentifier="Helvetia Holding AG" country="CH" currency="CHF" issueDate="05.05.2004" redemptionDate="05.05.2010" issuePrice="100.67" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.75"/>
<payment id="50669" deleted="0" paymentDate="05.05.2007" currency="CHF" valueCHF="150" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38829" deleted="0" valorNumber="1845425" isin="CH0018454253" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="12.05.2004" redemptionDate="12.05.2019" issuePrice="99.25" redemptionPrice="100" nominalAmount="1000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.8"/>
<payment id="50765" deleted="0" paymentDate="12.05.2007" currency="CHF" valueCHF="30" withHoldingTax="1" taxEvent="0"/>
<legend id="6982" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1151" deleted="0" valorNumber="2978496"/>
<increase id="1152" deleted="0" valorNumber="3244898"/>
</bond>
<bond id="38839" deleted="0" valorNumber="1845768" isin="CH0018457686" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4555" institutionIdentifier="DePfa ACS Bank" country="IE" currency="CHF" issueDate="27.05.2004" redemptionDate="27.05.2011" issuePrice="100.22" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.8"/>
<payment id="50792" deleted="0" paymentDate="27.05.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
<legend id="6994" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38840" deleted="0" valorNumber="1846109" isin="CH0018461092" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 1000.00 nom. = 4.78126 N&apos;Akt. Swiss Life Holding)" institutionId="4049" institutionIdentifier="Swiss Life Holding" country="CH" currency="CHF" issueDate="10.06.2004" redemptionDate="10.06.2010" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="0.625" interestType="FIX" iup="0" classicalBond="1" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="134.25"/>
<payment id="50796" deleted="0" paymentDate="10.06.2007" currency="CHF" valueCHF="6.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38847" deleted="0" valorNumber="1846838" isin="CH0018468386" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="28.05.2004" redemptionDate="28.01.2010" issuePrice="100.63" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.35"/>
<payment id="50814" deleted="0" paymentDate="28.01.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38851" deleted="0" valorNumber="1847846" isin="CH0018478468" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="17.05.2004" redemptionDate="17.05.2009" issuePrice="100.44" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.19"/>
<payment id="50831" deleted="0" paymentDate="17.05.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38872" deleted="0" valorNumber="1851310" isin="CH0018513108" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="19.05.2004" redemptionDate="19.05.2014" issuePrice="101" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.25"/>
<payment id="50888" deleted="0" paymentDate="19.05.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38886" deleted="0" valorNumber="1855039" isin="CH0018550399" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="27.05.2004" redemptionDate="27.11.2015" issuePrice="100.37" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.75"/>
<payment id="50930" deleted="0" paymentDate="27.11.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38918" deleted="0" valorNumber="1859402" isin="CH0018594025" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="29" institutionIdentifier="AFG Arbonia-Forster-Holding AG" country="CH" currency="CHF" issueDate="03.06.2004" redemptionDate="03.06.2010" issuePrice="100.6" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98.5"/>
<payment id="51012" deleted="0" paymentDate="03.06.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38929" deleted="0" valorNumber="1860281" isin="CH0018602810" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 5000.00 nom. = 50.35247 N&apos;Akt. Geberit AG)" institutionId="851" institutionIdentifier="Geberit AG" country="CH" currency="CHF" issueDate="14.06.2004" redemptionDate="14.06.2010" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="1" interestType="FIX" iup="0" classicalBond="1" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="156.5"/>
<payment id="51041" deleted="0" paymentDate="14.06.2007" currency="CHF" valueCHF="50" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="38931" deleted="0" valorNumber="1860636" isin="CH0018606365" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4570" institutionIdentifier="Bank of America NA" country="US" currency="CHF" issueDate="10.06.2004" redemptionDate="10.12.2014" issuePrice="100.43" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.3"/>
<payment id="51049" deleted="0" paymentDate="10.12.2007" currency="CHF" valueCHF="162.5" withHoldingTax="0" taxEvent="0"/>
<legend id="7037" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="38962" deleted="0" valorNumber="1865405" isin="CH0018654050" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1975" institutionIdentifier="Toyota Motor Credit Corporation" country="US" currency="CHF" issueDate="22.06.2004" redemptionDate="22.06.2010" issuePrice="100.635" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.2"/>
<payment id="51142" deleted="0" paymentDate="22.06.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="38987" deleted="0" valorNumber="1871234" isin="CH0018712346" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="29.06.2004" redemptionDate="29.12.2020" issuePrice="101.12" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100"/>
<payment id="51208" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="168.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="39034" deleted="0" valorNumber="1874062" isin="CH0018740628" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="nachrangige Anleihe" institutionId="2169" institutionIdentifier="UBS AG" country="CH" currency="CHF" issueDate="30.06.2004" redemptionDate="30.06.2014" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.05"/>
<payment id="51306" deleted="0" paymentDate="30.06.2007" currency="CHF" valueCHF="156.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="39047" deleted="0" valorNumber="1875990" isin="CH0018759909" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1012" institutionIdentifier="Italien" country="IT" currency="CHF" issueDate="01.07.2004" redemptionDate="01.07.2011" issuePrice="100.625" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.5"/>
<payment id="51343" deleted="0" paymentDate="01.07.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="39066" deleted="0" valorNumber="1878914" isin="CH0018789146" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4574" institutionIdentifier="SLM Corp." country="US" currency="CHF" issueDate="13.07.2004" redemptionDate="13.07.2009" issuePrice="100.38" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="94.95"/>
<payment id="51398" deleted="0" paymentDate="13.07.2007" currency="CHF" valueCHF="131.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="39067" deleted="0" valorNumber="1879010" isin="CH0018790102" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="285" institutionIdentifier="Bern (Kanton)" country="CH" currency="CHF" issueDate="25.06.2004" redemptionDate="25.06.2014" issuePrice="100.88" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.5"/>
<payment id="51402" deleted="0" paymentDate="25.06.2007" currency="CHF" valueCHF="156.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="39068" deleted="0" valorNumber="1879012" isin="CH0018790128" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1519" institutionIdentifier="Principal Financial Global Funding LLC" country="KY" currency="CHF" issueDate="12.07.2004" redemptionDate="12.07.2010" issuePrice="100.19" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.85"/>
<payment id="51406" deleted="0" paymentDate="12.07.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="39070" deleted="0" valorNumber="1879265" isin="CH0018792652" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1023" institutionIdentifier="Jelmoli Holding AG" country="CH" currency="CHF" issueDate="05.07.2004" redemptionDate="05.07.2011" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="4" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.6"/>
<payment id="51411" deleted="0" paymentDate="05.07.2007" currency="CHF" valueCHF="200" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="39085" deleted="0" valorNumber="1880326" isin="CH0018803269" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1826" institutionIdentifier="St. Galler Kantonalbank" country="CH" currency="CHF" issueDate="30.06.2004" redemptionDate="30.06.2010" issuePrice="100.85" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="51460" deleted="0" paymentDate="30.06.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="39140" deleted="0" valorNumber="1891291" isin="CH0018912912" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1762" institutionIdentifier="Sigma Finance Corporation" country="KY" currency="CHF" issueDate="29.07.2004" redemptionDate="29.07.2009" issuePrice="100.225" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<payment id="51643" deleted="0" paymentDate="15.07.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="39353" deleted="0" valorNumber="1922452" isin="CH0019224523" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="775" institutionIdentifier="Fischer (Georg) AG" country="CH" currency="CHF" issueDate="15.09.2004" redemptionDate="15.09.2010" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="39378" deleted="0" valorNumber="1926905" isin="CH0019269056" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1960" institutionIdentifier="Ticino" country="CH" currency="CHF" issueDate="06.09.2004" redemptionDate="06.09.2012" issuePrice="100.12" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="52406" deleted="0" paymentDate="06.09.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
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<bond id="39411" deleted="0" valorNumber="1930929" isin="CH0019309290" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4074" institutionIdentifier="NRW.BANK" country="DE" currency="CHF" issueDate="21.09.2004" redemptionDate="21.09.2011" issuePrice="100.24" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="39414" deleted="0" valorNumber="1931545" isin="CH0019315453" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1349" institutionIdentifier="Kommunalfinanzierung AG" country="FI" currency="CHF" issueDate="17.09.2004" redemptionDate="17.09.2014" issuePrice="100.24" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="52505" deleted="0" paymentDate="17.09.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<bond id="39416" deleted="0" valorNumber="1932076" isin="CH0019320768" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="890" institutionIdentifier="Graub&#252;ndner Kantonalbank" country="CH" currency="CHF" issueDate="15.09.2004" redemptionDate="14.09.2012" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="52513" deleted="0" paymentDate="14.09.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
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<bond id="39458" deleted="0" valorNumber="1938588" isin="CH0019385886" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1275" institutionIdentifier="Merrill Lynch &amp; Co. Inc." country="US" currency="CHF" issueDate="24.09.2004" redemptionDate="24.09.2009" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
</legend>
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<bond id="39541" deleted="0" valorNumber="1945382" isin="CH0019453825" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="14.10.2004" redemptionDate="14.10.2016" issuePrice="100.84" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
</legend>
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<bond id="39559" deleted="0" valorNumber="1946030" isin="CH0019460309" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="13.10.2004" redemptionDate="13.10.2010" issuePrice="100.245" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="52950" deleted="0" paymentDate="13.10.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
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<legend id="7314" deleted="0">
<text>aufgestockt</text>
</legend>
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<payment id="53111" deleted="0" paymentDate="18.10.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
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<payment id="53166" deleted="0" paymentDate="19.10.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
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<payment id="53271" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="150" withHoldingTax="0" taxEvent="0"/>
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<payment id="53275" deleted="0" paymentDate="30.12.2007" currency="CHF" valueCHF="143.75" withHoldingTax="0" taxEvent="0"/>
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<bond id="39772" deleted="0" valorNumber="1980345" isin="CH0019803458" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="05.11.2004" redemptionDate="05.11.2009" issuePrice="99.9" redemptionPrice="100" nominalAmount="1000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="53628" deleted="0" paymentDate="05.11.2007" currency="CHF" valueCHF="17.5" withHoldingTax="1" taxEvent="0"/>
<legend id="7401" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="39786" deleted="0" valorNumber="1981977" isin="CH0019819777" instrumentGroup="BOND" instrumentType="BOND.BOND" instrumentIdentifierAppendix="emprunt subordonn&#233;" institutionId="209" institutionIdentifier="Banque Cantonale de Gen&#232;ve" country="CH" currency="CHF" issueDate="17.11.2004" redemptionDate="17.11.2014" issuePrice="100.3" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="39791" deleted="0" valorNumber="1983436" isin="CH0019834362" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1072" institutionIdentifier="HypoTirol Bank AG" country="AT" currency="CHF" issueDate="29.11.2004" redemptionDate="29.08.2011" issuePrice="100.19" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="53682" deleted="0" paymentDate="29.08.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
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<bond id="39796" deleted="0" valorNumber="1984796" isin="CH0019847968" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2378" institutionIdentifier="Z&#252;rich (Kanton)" country="CH" currency="CHF" issueDate="24.11.2004" redemptionDate="24.11.2017" issuePrice="100.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="53697" deleted="0" paymentDate="24.11.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="39802" deleted="0" valorNumber="1985421" isin="CH0019854212" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3520" institutionIdentifier="Total Capital" country="FR" currency="CHF" issueDate="30.11.2004" redemptionDate="30.11.2012" issuePrice="100.32" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="53715" deleted="0" paymentDate="30.11.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
<legend id="7422" deleted="0">
<text>r&#233;ouvert</text>
</legend>
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<bond id="39856" deleted="0" valorNumber="1990336" isin="CH0019903365" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="853" institutionIdentifier="General Electric Capital Corporation" country="US" currency="CHF" issueDate="06.12.2004" redemptionDate="06.12.2019" issuePrice="100.51" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="7499" deleted="0">
<text>aufgestockt</text>
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<increase id="1179" deleted="0" valorNumber="3059258"/>
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<bond id="39899" deleted="0" valorNumber="1994944" isin="CH0019949442" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2711" institutionIdentifier="Pfandbriefstelle der &#246;sterreichischen Landes-Hypothekenbank" country="AT" currency="CHF" issueDate="17.12.2004" redemptionDate="27.03.2012" issuePrice="100.255" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54008" deleted="0" paymentDate="27.03.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="7516" deleted="0">
<text>aufgestockt</text>
</legend>
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<payment id="54124" deleted="0" paymentDate="17.12.2007" currency="CHF" valueCHF="81.25" withHoldingTax="0" taxEvent="0"/>
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<bond id="39956" deleted="0" valorNumber="2000913" isin="CH0020009137" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1789" institutionIdentifier="Solothurn (Kanton)" country="CH" currency="CHF" issueDate="15.12.2004" redemptionDate="15.12.2014" issuePrice="100.9" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54157" deleted="0" paymentDate="15.12.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
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<text>aufgestockt</text>
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<payment id="54271" deleted="0" paymentDate="22.12.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="40029" deleted="0" valorNumber="2011789" isin="CH0020117898" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="169" institutionIdentifier="B&#226;loise Holding" country="CH" currency="CHF" issueDate="20.12.2004" redemptionDate="20.12.2010" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<payment id="54440" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="0"/>
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<text>aufgestockt</text>
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<bond id="40068" deleted="0" valorNumber="2019635" isin="CH0020196355" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4085" institutionIdentifier="WestLB AG" country="DE" currency="CHF" issueDate="30.12.2004" redemptionDate="30.12.2010" issuePrice="100.68" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="40073" deleted="0" valorNumber="2020847" isin="CH0020208473" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3216" institutionIdentifier="Kommunalkredit Austria AG" country="AT" currency="CHF" issueDate="29.12.2004" redemptionDate="29.12.2010" issuePrice="100.18" redemptionPrice="100" nominalAmount="5000" interestRate="1.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54460" deleted="0" paymentDate="29.12.2007" currency="CHF" valueCHF="93.75" withHoldingTax="0" taxEvent="0"/>
<legend id="7602" deleted="0">
<text>aufgestockt</text>
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<bond id="40187" deleted="0" valorNumber="2037090" isin="CH0020370901" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="226" institutionIdentifier="Basel-Stadt" country="CH" currency="CHF" issueDate="28.01.2005" redemptionDate="28.01.2015" issuePrice="101.35" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="40189" deleted="0" valorNumber="2037102" isin="CH0020371024" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="20.01.2005" redemptionDate="20.01.2014" issuePrice="100.1" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54728" deleted="0" paymentDate="20.01.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
<legend id="7640" deleted="0">
<text>aufgestockt</text>
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<bond id="40190" deleted="0" valorNumber="2037106" isin="CH0020371065" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="07.02.2005" redemptionDate="07.02.2020" issuePrice="99.92" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54731" deleted="0" paymentDate="07.02.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
<legend id="7646" deleted="0">
<text>aufgestockt</text>
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<bond id="40193" deleted="0" valorNumber="2037240" isin="CH0020372402" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="28.01.2005" redemptionDate="28.01.2020" issuePrice="101.19" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54740" deleted="0" paymentDate="28.01.2007" currency="CHF" valueCHF="137.5" withHoldingTax="0" taxEvent="0"/>
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<bond id="40194" deleted="0" valorNumber="2037242" isin="CH0020372428" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="28.01.2005" redemptionDate="28.01.2010" issuePrice="100.125" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="7656" deleted="0">
<text>r&#233;ouvert</text>
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<legend id="7666" deleted="0">
<text>aufgestockt</text>
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<payment id="54833" deleted="0" paymentDate="07.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="7669" deleted="0">
<text>aufgestockt</text>
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<payment id="54836" deleted="0" paymentDate="08.12.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
<legend id="7671" deleted="0">
<text>aufgestockt</text>
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<legend id="7674" deleted="0">
<text>aufgestockt</text>
</legend>
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<payment id="54957" deleted="0" paymentDate="03.02.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="0"/>
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<legend id="7699" deleted="0">
<text>aufgestockt</text>
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<bond id="40277" deleted="0" valorNumber="2042334" isin="CH0020423346" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="853" institutionIdentifier="General Electric Capital Corporation" country="US" currency="CHF" issueDate="15.02.2005" redemptionDate="12.02.2010" issuePrice="99.755" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="54966" deleted="0" paymentDate="12.02.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
<legend id="7705" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="40311" deleted="0" valorNumber="2043148" isin="CH0020431489" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1960" institutionIdentifier="Ticino" country="CH" currency="CHF" issueDate="09.02.2005" redemptionDate="09.02.2017" issuePrice="100.97" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="40323" deleted="0" valorNumber="2044494" isin="CH0020444946" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2711" institutionIdentifier="Pfandbriefstelle der &#246;sterreichischen Landes-Hypothekenbank" country="AT" currency="CHF" issueDate="16.02.2005" redemptionDate="18.02.2013" issuePrice="100.53" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="55062" deleted="0" paymentDate="18.02.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="7720" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="40343" deleted="0" valorNumber="2046907" isin="CH0020469075" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="718" institutionIdentifier="EUROFIMA Europ&#228;ische Gesellschaft f&#252;r die Finanzierung von Eisenbahnmaterial" country="CH" currency="CHF" issueDate="04.02.2005" redemptionDate="04.02.2030" issuePrice="100.06" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="89.55"/>
<payment id="55099" deleted="0" paymentDate="04.02.2007" currency="CHF" valueCHF="143.75" withHoldingTax="1" taxEvent="0"/>
<legend id="7730" deleted="0">
<text>aufgestockt</text>
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<increase id="1207" deleted="0" valorNumber="3144178"/>
<increase id="1208" deleted="0" valorNumber="3225032"/>
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<bond id="40351" deleted="0" valorNumber="2048073" isin="CH0020480734" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="887" institutionIdentifier="Grande Dixence SA" country="CH" currency="CHF" issueDate="18.02.2005" redemptionDate="18.02.2015" issuePrice="100.33" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.85"/>
<payment id="55119" deleted="0" paymentDate="18.02.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
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<bond id="40359" deleted="0" valorNumber="2048874" isin="CH0020488745" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4637" institutionIdentifier="Citibank Credit Card Issuance Trust" country="US" currency="CHF" issueDate="23.02.2005" redemptionDate="23.02.2015" issuePrice="100.05" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="87"/>
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<payment id="55223" deleted="0" paymentDate="14.02.2007" currency="CHF" valueCHF="137.5" withHoldingTax="1" taxEvent="0"/>
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<bond id="40440" deleted="0" valorNumber="2051182" isin="CH0020511827" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1075" institutionIdentifier="Landesbank Hessen-Th&#252;ringen Girozentrale (Helaba)" country="DE" currency="CHF" issueDate="24.02.2005" redemptionDate="24.02.2011" issuePrice="100.55" redemptionPrice="100" nominalAmount="5000" interestRate="1.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.55"/>
<payment id="55297" deleted="0" paymentDate="24.02.2007" currency="CHF" valueCHF="93.75" withHoldingTax="0" taxEvent="0"/>
<legend id="7756" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="40470" deleted="0" valorNumber="2053857" isin="CH0020538572" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1076" institutionIdentifier="LRP Landesbank Rheinland-Pfalz" country="DE" currency="CHF" issueDate="01.03.2005" redemptionDate="01.09.2011" issuePrice="100.175" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="55352" deleted="0" paymentDate="01.09.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
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<bond id="40481" deleted="0" valorNumber="2054855" isin="CH0020548555" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="723" institutionIdentifier="Europ&#228;ische Investitionsbank" country="LU" currency="CHF" issueDate="01.03.2005" redemptionDate="01.03.2010" issuePrice="99.585" redemptionPrice="100" nominalAmount="5000" interestRate="1.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="98"/>
<payment id="55380" deleted="0" paymentDate="01.03.2007" currency="CHF" valueCHF="75" withHoldingTax="0" taxEvent="0"/>
<legend id="7785" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="41449" deleted="0" valorNumber="2164589" isin="CH0021645897" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="23.06.2005" redemptionDate="23.06.2016" issuePrice="99.67" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<text>r&#233;ouvert</text>
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<text>r&#233;ouvert</text>
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<legend id="8347" deleted="0">
<text>aufgestockt</text>
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<text>aufgestockt</text>
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<legend id="8389" deleted="0">
<text>r&#233;ouvert</text>
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<legend id="8465" deleted="0">
<text>aufgestockt</text>
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<bond id="41732" deleted="0" valorNumber="2189351" isin="CH0021893513" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2247" institutionIdentifier="Valora Holding AG" country="CH" currency="CHF" issueDate="12.07.2005" redemptionDate="12.07.2012" issuePrice="100.47" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8478" deleted="0">
<text>aufgestockt</text>
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<legend id="8481" deleted="0">
<text>aufgestockt</text>
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<legend id="8492" deleted="0">
<text>r&#233;ouvert</text>
</legend>
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<text>aufgestockt</text>
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<legend id="8514" deleted="0">
<text>aufgestockt</text>
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<text>aufgestockt</text>
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<payment id="59021" deleted="0" paymentDate="19.08.2007" currency="CHF" valueCHF="118.75" withHoldingTax="0" taxEvent="0"/>
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<bond id="41966" deleted="0" valorNumber="2224577" isin="CH0022245770" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="12.08.2005" redemptionDate="12.08.2016" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<legend id="8675" deleted="0">
<text>r&#233;ouvert</text>
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<bond id="42016" deleted="0" valorNumber="2229975" isin="CH0022299751" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="890" institutionIdentifier="Graub&#252;ndner Kantonalbank" country="CH" currency="CHF" issueDate="12.08.2005" redemptionDate="12.08.2015" issuePrice="101" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8723" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42127" deleted="0" valorNumber="2244501" isin="CH0022445016" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4468" institutionIdentifier="ASB Bank Ltd." country="NZ" currency="CHF" issueDate="13.09.2005" redemptionDate="13.09.2010" issuePrice="100.34" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="59437" deleted="0" paymentDate="13.09.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
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<bond id="42153" deleted="0" valorNumber="2246506" isin="CH0022465063" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4540" institutionIdentifier="Danske Bank AS" country="DK" currency="CHF" issueDate="13.09.2005" redemptionDate="13.09.2011" issuePrice="100.405" redemptionPrice="100" nominalAmount="5000" interestRate="1.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8791" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42159" deleted="0" valorNumber="2247166" isin="CH0022471665" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4583" institutionIdentifier="Metropolitan Life Global Funding I" country="US" currency="CHF" issueDate="14.09.2005" redemptionDate="14.09.2011" issuePrice="100.28" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8805" deleted="0">
<text>aufgestockt</text>
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<bond id="42232" deleted="0" valorNumber="2251502" isin="CH0022515024" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="02.09.2005" redemptionDate="02.09.2016" issuePrice="100.86" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8859" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42246" deleted="0" valorNumber="2252793" isin="CH0022527938" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1762" institutionIdentifier="Sigma Finance Corporation" country="KY" currency="CHF" issueDate="21.09.2005" redemptionDate="21.09.2011" issuePrice="99.955" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="42266" deleted="0" valorNumber="2254901" isin="CH0022549015" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3048" institutionIdentifier="Citigroup Inc." country="US" currency="CHF" issueDate="23.09.2005" redemptionDate="23.09.2010" issuePrice="100.475" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="59791" deleted="0" paymentDate="23.09.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
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<bond id="42267" deleted="0" valorNumber="2254912" isin="CH0022549122" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3048" institutionIdentifier="Citigroup Inc." country="US" currency="CHF" issueDate="23.09.2005" redemptionDate="23.09.2015" issuePrice="100.83" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="42279" deleted="0" valorNumber="2256907" isin="CH0022569070" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="15.09.2005" redemptionDate="15.09.2015" issuePrice="100.04" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="8923" deleted="0">
<text>aufgestockt</text>
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<bond id="42351" deleted="0" valorNumber="2265016" isin="CH0022650169" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1705" institutionIdentifier="Schwyzer Kantonalbank" country="CH" currency="CHF" issueDate="22.09.2005" redemptionDate="22.09.2010" issuePrice="100.07" redemptionPrice="100" nominalAmount="5000" interestRate="1.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="60002" deleted="0" paymentDate="05.10.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="8976" deleted="0">
<text>aufgestockt</text>
</legend>
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<payment id="60014" deleted="0" paymentDate="28.09.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
<legend id="8982" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42408" deleted="0" valorNumber="2270730" isin="CH0022707308" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1761" institutionIdentifier="SIG Holding AG" country="CH" currency="CHF" issueDate="07.10.2005" redemptionDate="07.10.2011" earlyRedemptionDate="07.01.2010" issuePrice="100.03" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>Bruchzins</text>
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<text>&#246;ffentliches Kaufangebot der Rank Group Holdings Limited, Auckland </text>
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<bond id="42409" deleted="0" valorNumber="2270847" isin="CH0022708470" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="409" institutionIdentifier="Co&#246;peratieve Centrale Raiffeisen-Boerenleenbank B.A. (Rabobank Nederland)" country="NL" currency="CHF" issueDate="11.10.2005" redemptionDate="11.10.2017" issuePrice="100.385" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="9043" deleted="0">
<text>aufgestockt</text>
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<legend id="9049" deleted="0">
<text>aufgestockt</text>
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<bond id="42545" deleted="0" valorNumber="2278860" isin="CH0022788605" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="18.10.2005" redemptionDate="18.10.2011" issuePrice="100.475" redemptionPrice="100" nominalAmount="5000" interestRate="1.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="42546" deleted="0" valorNumber="2278864" isin="CH0022788647" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="18.10.2005" redemptionDate="18.10.2018" issuePrice="101.12" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="42603" deleted="0" valorNumber="2284322" isin="CH0022843228" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="673" institutionIdentifier="Emosson SA (Electricit&#233; d&apos;)" country="CH" currency="CHF" issueDate="26.10.2005" redemptionDate="26.10.2017" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="9116" deleted="0">
<text>aufgestockt</text>
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<legend id="9126" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1297" deleted="0" valorNumber="2858232"/>
<increase id="1298" deleted="0" valorNumber="3037571"/>
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<payment id="60737" deleted="0" paymentDate="19.10.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
</bond>
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<payment id="61004" deleted="0" paymentDate="07.11.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
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<legend id="9246" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42760" deleted="0" valorNumber="2299576" isin="CH0022995762" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="988" institutionIdentifier="ING Verzekeringen N.V." country="NL" currency="CHF" issueDate="11.11.2005" redemptionDate="11.11.2011" issuePrice="101.09" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="61054" deleted="0" paymentDate="11.11.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="9265" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="42841" deleted="0" valorNumber="2305359" isin="CH0023053595" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="31.10.2005" redemptionDate="31.10.2013" issuePrice="101.175" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="61274" deleted="0" paymentDate="31.10.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="0"/>
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<bond id="42845" deleted="0" valorNumber="2306530" isin="CH0023065300" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1053" institutionIdentifier="Kommuninvest i Sverige AB" country="SE" currency="CHF" issueDate="21.11.2005" redemptionDate="21.11.2012" issuePrice="100.14" redemptionPrice="100" nominalAmount="5000" interestRate="1.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95"/>
<payment id="61285" deleted="0" paymentDate="21.11.2007" currency="CHF" valueCHF="87.5" withHoldingTax="0" taxEvent="0"/>
</bond>
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<taxValue quotationType="PERCENT" yearEndPrice="93"/>
<payment id="61294" deleted="0" paymentDate="15.01.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
<legend id="9287" deleted="0">
<text>aufgestockt</text>
</legend>
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<legend id="9343" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="42956" deleted="0" valorNumber="2315303" isin="CH0023153031" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5487" institutionIdentifier="W&#252;rttembergische Hypothekenbank AG" country="DE" currency="CHF" issueDate="25.11.2005" redemptionDate="25.11.2013" issuePrice="100.8" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="9352" deleted="0">
<text>aufgestockt</text>
</legend>
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<legend id="9355" deleted="0">
<text>aufgestockt</text>
</legend>
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</bond>
<bond id="43064" deleted="0" valorNumber="2326262" isin="CH0023262626" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="659" institutionIdentifier="Elektrizit&#228;ts-Gesellschaft Laufenburg AG (EGL)" country="CH" currency="CHF" issueDate="23.11.2005" redemptionDate="23.11.2015" issuePrice="100.17" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<text>aufgestockt</text>
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<legend id="9767" deleted="0">
<text>aufgestockt</text>
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<text>aufgestockt</text>
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<payment id="63756" deleted="0" paymentDate="16.02.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="43949" deleted="0" valorNumber="2412182" isin="CH0024121821" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5211" institutionIdentifier="Landsbanki Islands HF" country="IS" currency="CHF" issueDate="14.02.2006" redemptionDate="14.02.2011" issuePrice="100.52" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="92.4"/>
<payment id="63766" deleted="0" paymentDate="14.02.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="43954" deleted="0" valorNumber="2412554" isin="CH0024125541" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3919" institutionIdentifier="Generalitat de Valencia" country="ES" currency="CHF" issueDate="22.02.2006" redemptionDate="22.02.2013" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.85"/>
<payment id="63774" deleted="0" paymentDate="22.02.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="43963" deleted="0" valorNumber="2413441" isin="CH0024134410" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3187" institutionIdentifier="New York Life Funding" country="KY" currency="CHF" issueDate="22.02.2006" redemptionDate="22.02.2016" issuePrice="100.53" redemptionPrice="100" nominalAmount="500" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="88.8"/>
<payment id="63791" deleted="0" paymentDate="22.02.2007" currency="CHF" valueCHF="11.87" withHoldingTax="0" taxEvent="0"/>
<legend id="9949" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="43992" deleted="0" valorNumber="2414110" isin="CH0024141100" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="450" institutionIdentifier="Compagnie de financement foncier" country="FR" currency="CHF" issueDate="24.02.2006" redemptionDate="24.02.2031" issuePrice="102.25" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="81.15"/>
<payment id="63849" deleted="0" paymentDate="24.02.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
<legend id="9957" deleted="0">
<text>r&#233;ouvert</text>
</legend>
</bond>
<bond id="44006" deleted="0" valorNumber="2415041" isin="CH0024150416" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="294" institutionIdentifier="Beta Finance Corporation" country="KY" currency="CHF" issueDate="13.02.2006" redemptionDate="13.02.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="5000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.5"/>
<payment id="63874" deleted="0" paymentDate="13.02.2007" currency="CHF" valueCHF="23.94" withHoldingTax="0" taxEvent="0"/>
<payment id="63875" deleted="0" paymentDate="14.05.2007" currency="CHF" valueCHF="27.27" withHoldingTax="0" taxEvent="0"/>
<payment id="63876" deleted="0" paymentDate="13.08.2007" currency="CHF" valueCHF="30.46" withHoldingTax="0" taxEvent="0"/>
<payment id="63877" deleted="0" paymentDate="13.11.2007" currency="CHF" valueCHF="35.01" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44009" deleted="0" valorNumber="2415141" isin="CH0024151414" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4057" institutionIdentifier="Nordrhein-Westfalen (Bundesland)" country="DE" currency="CHF" issueDate="01.03.2006" redemptionDate="01.03.2019" issuePrice="100.44" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="90.05"/>
<payment id="63882" deleted="0" paymentDate="01.03.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<legend id="9970" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="44024" deleted="0" valorNumber="2417344" isin="CH0024173442" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1705" institutionIdentifier="Schwyzer Kantonalbank" country="CH" currency="CHF" issueDate="10.02.2006" redemptionDate="10.02.2011" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.4"/>
<payment id="63909" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="100" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44047" deleted="0" valorNumber="2419722" isin="CH0024197227" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="CHF" issueDate="24.02.2006" redemptionDate="24.02.2011" issuePrice="100.285" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.75"/>
<payment id="63951" deleted="0" paymentDate="24.02.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
<legend id="10014" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="44074" deleted="0" valorNumber="2421780" isin="CH0024217801" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1765" institutionIdentifier="Sika AG" country="CH" currency="CHF" issueDate="15.02.2006" redemptionDate="15.02.2013" issuePrice="100.08" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="94.55"/>
<payment id="63998" deleted="0" paymentDate="15.02.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44114" deleted="0" valorNumber="2424755" isin="CH0024247550" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2346" institutionIdentifier="Winterthur" country="CH" currency="CHF" issueDate="15.02.2006" redemptionDate="15.02.2018" issuePrice="101.06" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="92.35"/>
<payment id="64075" deleted="0" paymentDate="15.02.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44116" deleted="0" valorNumber="2425096" isin="CH0024250968" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 1000.00 nom. = 13.6054 I&apos;Akt. BB Medtech AG)" institutionId="250" institutionIdentifier="BB Medtech AG" country="CH" currency="CHF" issueDate="06.03.2006" redemptionDate="06.03.2009" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="3.12" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="108.2"/>
<payment id="64079" deleted="0" paymentDate="06.03.2007" currency="CHF" valueCHF="31.2" withHoldingTax="1" taxEvent="0"/>
<legend id="10081" deleted="0">
<text>Aufteilung des Coupons:&#10;3.12% Zinskomponente&#10;1.38% Optionspr&#228;mie</text>
</legend>
</bond>
<bond id="44119" deleted="0" valorNumber="2425412" isin="CH0024254127" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4583" institutionIdentifier="Metropolitan Life Global Funding I" country="US" currency="CHF" issueDate="27.02.2006" redemptionDate="25.02.2011" issuePrice="100.025" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.05"/>
<payment id="64085" deleted="0" paymentDate="25.02.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44129" deleted="0" valorNumber="2425669" isin="CH0024256692" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5693" institutionIdentifier="NATIXIS" country="FR" currency="CHF" issueDate="03.03.2006" redemptionDate="03.03.2010" issuePrice="100.415" redemptionPrice="100" nominalAmount="5000" interestRate="2" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.95"/>
<payment id="64105" deleted="0" paymentDate="03.03.2007" currency="CHF" valueCHF="100" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44165" deleted="0" valorNumber="2430282" isin="CH0024302827" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2" institutionIdentifier="Aare-Tessin AG f&#252;r Elektrizit&#228;t (Atel)" country="CH" currency="CHF" issueDate="01.03.2006" redemptionDate="01.03.2018" issuePrice="100.82" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="93.5"/>
<payment id="64175" deleted="0" paymentDate="01.03.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44177" deleted="0" valorNumber="2431872" isin="CH0024318724" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4250" institutionIdentifier="Deutsche Hypothekenbank AG" country="DE" currency="CHF" issueDate="08.03.2006" redemptionDate="08.03.2018" issuePrice="101.015" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="91.8"/>
<payment id="64198" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44194" deleted="1" valorNumber="2433133" isin="CH0024331339" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4653" institutionIdentifier="Glitnir banki hf" country="IS" currency="CHF" issueDate="21.02.2006" redemptionDate="20.02.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="5000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96"/>
<payment id="64231" deleted="0" paymentDate="20.02.2007" currency="CHF" valueCHF="48.55" withHoldingTax="0" taxEvent="0"/>
<payment id="64232" deleted="0" paymentDate="20.08.2007" currency="CHF" valueCHF="60.83" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44217" deleted="0" valorNumber="2436137" isin="CH0024361377" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="853" institutionIdentifier="General Electric Capital Corporation" country="US" currency="CHF" issueDate="09.03.2006" redemptionDate="09.03.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.95"/>
<payment id="64279" deleted="0" paymentDate="09.03.2007" currency="CHF" valueCHF="49.22" withHoldingTax="0" taxEvent="0"/>
<payment id="64280" deleted="0" paymentDate="09.06.2007" currency="CHF" valueCHF="56.6" withHoldingTax="0" taxEvent="0"/>
<payment id="64281" deleted="0" paymentDate="10.09.2007" currency="CHF" valueCHF="63.39" withHoldingTax="0" taxEvent="0"/>
<payment id="64282" deleted="0" paymentDate="10.12.2007" currency="CHF" valueCHF="73.3" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44251" deleted="0" valorNumber="2440271" isin="CH0024402718" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="78" institutionIdentifier="Amsteg AG (Kraftwerk)" country="CH" currency="CHF" issueDate="09.03.2006" redemptionDate="09.03.2018" issuePrice="100.13" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="91.35"/>
<payment id="64344" deleted="0" paymentDate="09.03.2007" currency="CHF" valueCHF="118.75" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44266" deleted="0" valorNumber="2441651" isin="CH0024416510" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1019" institutionIdentifier="Japan Finance Corporation for Municipal Enterprises" country="JP" currency="CHF" issueDate="08.03.2006" redemptionDate="08.03.2012" issuePrice="100.388" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="97.1"/>
<payment id="64372" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44328" deleted="0" valorNumber="2446206" isin="CH0024462068" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="28.02.2006" redemptionDate="28.02.2012" issuePrice="100.34" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="96.9"/>
<payment id="64490" deleted="0" paymentDate="28.02.2007" currency="CHF" valueCHF="106.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44336" deleted="0" valorNumber="2448299" isin="CH0024482991" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1519" institutionIdentifier="Principal Financial Global Funding LLC" country="KY" currency="CHF" issueDate="24.03.2006" redemptionDate="24.01.2013" issuePrice="100.525" redemptionPrice="100" nominalAmount="5000" interestRate="2.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="93.7"/>
<payment id="64504" deleted="0" paymentDate="24.01.2007" currency="CHF" valueCHF="98.95" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44337" deleted="0" valorNumber="2448418" isin="CH0024484187" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2381" institutionIdentifier="Z&#252;rich (Stadt)" country="CH" currency="CHF" issueDate="10.03.2006" redemptionDate="10.03.2036" issuePrice="100.33" redemptionPrice="100" nominalAmount="5000" interestRate="2.55" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="81.8"/>
<payment id="64506" deleted="0" paymentDate="10.03.2007" currency="CHF" valueCHF="127.5" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44370" deleted="0" valorNumber="2451645" isin="CH0024516459" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1386" institutionIdentifier="Nippon Telegraph &amp; Telephone Corporation" country="JP" currency="CHF" issueDate="15.03.2006" redemptionDate="15.03.2013" issuePrice="100.526" redemptionPrice="100" nominalAmount="5000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.45"/>
<payment id="64572" deleted="0" paymentDate="15.03.2007" currency="CHF" valueCHF="112.5" withHoldingTax="0" taxEvent="0"/>
<increase id="1331" deleted="0" valorNumber="2953674"/>
</bond>
<bond id="44377" deleted="0" valorNumber="2452088" isin="CH0024520881" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1072" institutionIdentifier="HypoTirol Bank AG" country="AT" currency="CHF" issueDate="22.03.2006" redemptionDate="22.09.2017" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="93.25"/>
<payment id="64586" deleted="0" paymentDate="22.09.2007" currency="CHF" valueCHF="131.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44379" deleted="0" valorNumber="2452274" isin="CH0024522747" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="298" institutionIdentifier="Biel" country="CH" currency="CHF" issueDate="03.03.2006" redemptionDate="03.03.2026" issuePrice="101.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="86.45"/>
<payment id="64590" deleted="0" paymentDate="03.03.2007" currency="CHF" valueCHF="131.25" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="44386" deleted="0" valorNumber="2452496" isin="CH0024524966" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="652" institutionIdentifier="Eidg. Staatsanleihen/Emprunts f&#233;d&#233;raux/Prestiti federali" country="CH" currency="CHF" issueDate="08.03.2006" redemptionDate="08.03.2036" issuePrice="102.1" redemptionPrice="100" nominalAmount="1000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="86"/>
<payment id="64598" deleted="0" paymentDate="08.03.2007" currency="CHF" valueCHF="25" withHoldingTax="1" taxEvent="0"/>
<legend id="10246" deleted="0">
<text>aufgestockt</text>
</legend>
</bond>
<bond id="44412" deleted="0" valorNumber="2456417" isin="CH0024564178" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4251" institutionIdentifier="HSH Nordbank AG" country="DE" currency="CHF" issueDate="17.03.2006" redemptionDate="17.03.2009" issuePrice="100.02" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="99.33"/>
<payment id="64651" deleted="0" paymentDate="19.03.2007" currency="CHF" valueCHF="51.06" withHoldingTax="0" taxEvent="0"/>
<payment id="64652" deleted="0" paymentDate="18.06.2007" currency="CHF" valueCHF="58.13" withHoldingTax="0" taxEvent="0"/>
<payment id="64653" deleted="0" paymentDate="17.09.2007" currency="CHF" valueCHF="63.42" withHoldingTax="0" taxEvent="0"/>
<payment id="64654" deleted="0" paymentDate="17.12.2007" currency="CHF" valueCHF="73.38" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44439" deleted="0" valorNumber="2458090" isin="CH0024580901" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1076" institutionIdentifier="LRP Landesbank Rheinland-Pfalz" country="DE" currency="CHF" issueDate="28.03.2006" redemptionDate="28.03.2018" issuePrice="100.77" redemptionPrice="100" nominalAmount="5000" interestRate="2.68" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="90.15"/>
<payment id="64708" deleted="0" paymentDate="28.03.2007" currency="CHF" valueCHF="134" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44447" deleted="0" valorNumber="2458953" isin="CH0024589530" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5512" institutionIdentifier="Centauri Corporation" country="KY" currency="CHF" issueDate="27.03.2006" redemptionDate="27.03.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="5000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.75"/>
<payment id="64725" deleted="0" paymentDate="27.03.2007" currency="CHF" valueCHF="25.76" withHoldingTax="0" taxEvent="0"/>
<payment id="64726" deleted="0" paymentDate="27.06.2007" currency="CHF" valueCHF="29.22" withHoldingTax="0" taxEvent="0"/>
<payment id="64727" deleted="0" paymentDate="27.09.2007" currency="CHF" valueCHF="34.1" withHoldingTax="0" taxEvent="0"/>
<payment id="64728" deleted="0" paymentDate="27.12.2007" currency="CHF" valueCHF="34.71" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44448" deleted="0" valorNumber="2459020" isin="CH0024590207" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="27.03.2006" redemptionDate="27.03.2019" issuePrice="101.28" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="90.85"/>
<payment id="64730" deleted="0" paymentDate="27.03.2007" currency="CHF" valueCHF="125" withHoldingTax="0" taxEvent="0"/>
<legend id="10308" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1336" deleted="0" valorNumber="3124214"/>
</bond>
<bond id="44462" deleted="0" valorNumber="2460850" isin="CH0024608504" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="451" institutionIdentifier="Dexia Cr&#233;dit local de France" country="FR" currency="CHF" issueDate="29.03.2006" redemptionDate="29.03.2012" issuePrice="100.08" redemptionPrice="100" nominalAmount="5000" interestRate="2.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="94.55"/>
<payment id="64756" deleted="0" paymentDate="29.03.2007" currency="CHF" valueCHF="106.25" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44502" deleted="0" valorNumber="2464879" isin="CH0024648799" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1353" institutionIdentifier="National Australia Bank Limited" country="AU" currency="CHF" issueDate="03.04.2006" redemptionDate="03.04.2012" issuePrice="100.615" redemptionPrice="100" nominalAmount="1000" interestRate="2.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="95.5"/>
<payment id="64826" deleted="0" paymentDate="03.04.2007" currency="CHF" valueCHF="22.5" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44523" deleted="0" valorNumber="2466722" isin="CH0024667229" instrumentGroup="BOND" instrumentType="BOND.CONVERTABLE" instrumentIdentifier="(Obl. CHF 5000.00 nom. = 276.8549 N&apos;Akt. Temenos Group AG)" institutionId="5756" institutionIdentifier="Temenos Luxembourg SA" country="LU" currency="CHF" issueDate="21.03.2006" redemptionDate="21.03.2013" issuePrice="84.7463" redemptionPrice="115.56" nominalAmount="5000" interestRate="1.5" interestType="FIX" iup="1" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="166.7"/>
<payment id="64867" deleted="0" paymentDate="21.03.2007" currency="CHF" valueCHF="75" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="44539" deleted="0" valorNumber="2467494" isin="CH0024674944" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="CHF" issueDate="24.03.2006" redemptionDate="24.03.2021" issuePrice="100.7" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="90.65"/>
<payment id="64895" deleted="0" paymentDate="24.03.2007" currency="CHF" valueCHF="125" withHoldingTax="1" taxEvent="0"/>
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<bond id="45873" deleted="0" valorNumber="2597864" isin="CH0025978641" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5926" institutionIdentifier="HSBC Finance Corp." country="US" currency="CHF" issueDate="14.07.2006" redemptionDate="14.06.2011" issuePrice="100.485" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<text>aufgestockt</text>
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<bond id="46051" deleted="0" valorNumber="2615097" isin="CH0026150976" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="654" institutionIdentifier="Electricit&#233; de France" country="FR" currency="CHF" issueDate="31.07.2006" redemptionDate="31.01.2013" issuePrice="100.75" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="46084" deleted="0" valorNumber="2621345" isin="CH0026213451" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1460" institutionIdentifier="&#214;sterreichische Kontrollbank AG" country="AT" currency="CHF" issueDate="25.07.2006" redemptionDate="25.07.2036" issuePrice="102.05" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="11283" deleted="0">
<text>aufgestockt</text>
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<legend id="11294" deleted="0">
<text>aufgestockt</text>
</legend>
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<legend id="11315" deleted="0">
<text>aufgestockt</text>
</legend>
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<legend id="11335" deleted="0">
<text>aufgestockt</text>
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<legend id="11370" deleted="0">
<text>aufgestockt</text>
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<legend id="11409" deleted="0">
<text>aufgestockt</text>
</legend>
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<bond id="46485" deleted="0" valorNumber="2675544" isin="CH0026755444" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="680" institutionIdentifier="Energie Ouest Suisse (EOS)" country="CH" currency="CHF" issueDate="22.09.2006" redemptionDate="22.09.2014" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="2.875" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="46533" deleted="0" valorNumber="2679122" isin="CH0026791225" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3048" institutionIdentifier="Citigroup Inc." country="US" currency="CHF" issueDate="27.09.2006" redemptionDate="27.09.2021" issuePrice="100.62" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="68726" deleted="0" paymentDate="27.09.2007" currency="CHF" valueCHF="156.25" withHoldingTax="0" taxEvent="0"/>
<legend id="11427" deleted="0">
<text>aufgestockt</text>
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<bond id="46624" deleted="0" valorNumber="2686335" isin="CH0026863354" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1367" institutionIdentifier="Nestl&#233; Holdings Inc." country="US" currency="CHF" issueDate="03.10.2006" redemptionDate="03.10.2013" issuePrice="100.56" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="11474" deleted="0">
<text>r&#233;ouvert</text>
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<text>aufgestockt</text>
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<bond id="48349" deleted="0" valorNumber="2860557" isin="CH0028605571" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="08.02.2007" redemptionDate="08.02.2012" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71919" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
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<bond id="48355" deleted="0" valorNumber="2860819" isin="CH0028608195" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1363" institutionIdentifier="Nederlandse Waterschapsbank N.V." country="NL" currency="CHF" issueDate="07.02.2007" redemptionDate="07.02.2022" issuePrice="100.81" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="48356" deleted="0" valorNumber="2860885" isin="CH0028608856" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="723" institutionIdentifier="Europ&#228;ische Investitionsbank" country="LU" currency="CHF" issueDate="08.02.2007" redemptionDate="08.02.2019" issuePrice="100.045" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71926" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="48359" deleted="0" valorNumber="2861618" isin="CH0028616180" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1053" institutionIdentifier="Kommuninvest i Sverige AB" country="SE" currency="CHF" issueDate="07.02.2007" redemptionDate="07.12.2016" issuePrice="101.03" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71929" deleted="0" paymentDate="07.12.2007" currency="CHF" valueCHF="109.37" withHoldingTax="0" taxEvent="0"/>
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<bond id="48363" deleted="0" valorNumber="2862260" isin="CH0028622600" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3280" institutionIdentifier="Erste Europ&#228;ische Pfandbrief- und Kommunalkreditbank AG" country="LU" currency="CHF" issueDate="09.02.2007" redemptionDate="09.02.2022" issuePrice="101.305" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71933" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="48364" deleted="0" valorNumber="2862265" isin="CH0028622659" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="6290" institutionIdentifier="EFG Hellas (Cayman Islands) Ltd." country="KY" currency="CHF" issueDate="09.02.2007" redemptionDate="09.02.2011" issuePrice="100.525" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="48369" deleted="0" valorNumber="2862312" isin="CH0028623129" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4585" institutionIdentifier="Hypo Alpe-Adria-Bank International AG" country="AT" currency="CHF" issueDate="12.02.2007" redemptionDate="12.12.2012" issuePrice="100.15" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71939" deleted="0" paymentDate="12.12.2007" currency="CHF" valueCHF="109.37" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<increase id="1403" deleted="0" valorNumber="2883684"/>
<increase id="1404" deleted="0" valorNumber="2966002"/>
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<bond id="48370" deleted="0" valorNumber="2862314" isin="CH0028623145" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1035" institutionIdentifier="Hypo Alpe-Adria-Bank AG" country="AT" currency="CHF" issueDate="12.02.2007" redemptionDate="12.08.2015" issuePrice="100.36" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71940" deleted="0" paymentDate="12.08.2007" currency="CHF" valueCHF="68.75" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<increase id="1405" deleted="0" valorNumber="2883686"/>
<increase id="1413" deleted="0" valorNumber="2965986"/>
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<bond id="48371" deleted="0" valorNumber="2862345" isin="CH0028623459" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1592" institutionIdentifier="Royal Bank of Canada" country="CA" currency="CHF" issueDate="08.02.2007" redemptionDate="08.02.2013" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="48377" deleted="0" valorNumber="2862981" isin="CH0028629811" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1072" institutionIdentifier="HypoTirol Bank AG" country="AT" currency="CHF" issueDate="09.02.2007" redemptionDate="09.02.2015" issuePrice="100.76" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71947" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="48386" deleted="0" valorNumber="2863433" isin="CH0028634332" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5176" institutionIdentifier="Erste Bank der oesterreichischen Sparkassen AG" country="AT" currency="CHF" issueDate="29.01.2007" redemptionDate="29.01.2010" issuePrice="100.02" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71956" deleted="0" paymentDate="30.04.2007" currency="CHF" valueCHF="55.5" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<increase id="1406" deleted="0" valorNumber="3038393"/>
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<bond id="48394" deleted="0" valorNumber="2864464" isin="CH0028644646" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1367" institutionIdentifier="Nestl&#233; Holdings Inc." country="US" currency="CHF" issueDate="14.02.2007" redemptionDate="14.02.2018" issuePrice="100.96" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71966" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<increase id="1407" deleted="0" valorNumber="2885132"/>
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<bond id="48397" deleted="0" valorNumber="2864525" isin="CH0028645254" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="199" institutionIdentifier="Bank Nederlandse Gemeenten (nv)" country="NL" currency="CHF" issueDate="09.02.2007" redemptionDate="09.02.2017" issuePrice="100.77" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71969" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="48416" deleted="0" valorNumber="2866986" isin="CH0028669866" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4610" institutionIdentifier="Raiffeisen Zentralbank Oesterreich AG Rzb" country="AT" currency="CHF" issueDate="26.01.2007" redemptionDate="26.01.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="71988" deleted="0" paymentDate="26.04.2007" currency="CHF" valueCHF="54.37" withHoldingTax="0" taxEvent="0"/>
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<text>aufgestockt</text>
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<legend id="12177" deleted="0">
<text>aufgestockt</text>
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<bond id="48811" deleted="0" valorNumber="2896813" isin="CH0028968136" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="14.02.2007" redemptionDate="14.02.2012" issuePrice="100.365" redemptionPrice="100" nominalAmount="5000" interestRate="2.625" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="48857" deleted="0" valorNumber="2900880" isin="CH0029008809" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3139" institutionIdentifier="Kreditanstalt f&#252;r Wiederaufbau" country="DE" currency="CHF" issueDate="16.02.2007" redemptionDate="16.02.2037" issuePrice="100.345" redemptionPrice="100" nominalAmount="5000" interestRate="2.75" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<payment id="74372" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="50751" deleted="0" valorNumber="3131763" isin="CH0031317636" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="12" institutionIdentifier="Abbey National Treasury Services Plc" country="GB" currency="CHF" issueDate="29.06.2007" redemptionDate="29.07.2010" issuePrice="100.54" redemptionPrice="100" nominalAmount="5000" interestRate="3" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74374" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="50754" deleted="0" valorNumber="3132050" isin="CH0031320507" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3520" institutionIdentifier="Total Capital" country="FR" currency="CHF" issueDate="29.06.2007" redemptionDate="29.09.2015" issuePrice="100.67" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74377" deleted="0" paymentDate="29.09.2007" currency="CHF" valueCHF="39.06" withHoldingTax="0" taxEvent="0"/>
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<increase id="1434" deleted="0" valorNumber="3452139"/>
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<payment id="74597" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51031" deleted="0" valorNumber="3193525" isin="CH0031935254" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5860" institutionIdentifier="Bradford &amp; Bingley PLC" country="GB" currency="CHF" issueDate="16.07.2007" redemptionDate="18.07.2011" issuePrice="100.396" redemptionPrice="100" nominalAmount="5000" interestRate="3.125" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74654" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51032" deleted="0" valorNumber="3193531" isin="CH0031935312" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5860" institutionIdentifier="Bradford &amp; Bingley PLC" country="GB" currency="CHF" issueDate="16.07.2007" redemptionDate="16.07.2015" issuePrice="100.2" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74655" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51033" deleted="0" valorNumber="3193540" isin="CH0031935403" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="5860" institutionIdentifier="Bradford &amp; Bingley PLC" country="GB" currency="CHF" issueDate="16.07.2007" redemptionDate="16.07.2027" issuePrice="100.408" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74656" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51081" deleted="0" valorNumber="3200513" isin="CH0032005131" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3204" institutionIdentifier="Poste (La)" country="FR" currency="CHF" issueDate="18.07.2007" redemptionDate="18.07.2014" issuePrice="100.4" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="74704" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51151" deleted="0" valorNumber="3207737" isin="CH0032077379" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="451" institutionIdentifier="Dexia Cr&#233;dit local de France" country="FR" currency="CHF" issueDate="23.07.2007" redemptionDate="23.07.2010" issuePrice="100.64" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51160" deleted="0" valorNumber="3208948" isin="CH0032089481" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4540" institutionIdentifier="Danske Bank AS" country="DK" currency="CHF" issueDate="24.07.2007" redemptionDate="24.07.2009" issuePrice="100.1" redemptionPrice="100" nominalAmount="5000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<text>aufgestockt</text>
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<bond id="51195" deleted="0" valorNumber="3214260" isin="CH0032142603" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4" institutionIdentifier="Aargauische Kantonalbank" country="CH" currency="CHF" issueDate="27.07.2007" redemptionDate="27.07.2015" issuePrice="100.65" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51266" deleted="0" valorNumber="3223346" isin="CH0032233469" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1075" institutionIdentifier="Landesbank Hessen-Th&#252;ringen Girozentrale (Helaba)" country="DE" currency="CHF" issueDate="30.07.2007" redemptionDate="30.07.2010" issuePrice="100.381" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<legend id="12952" deleted="0">
<text>aufgestockt</text>
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<text>aufgestockt</text>
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<increase id="1440" deleted="0" valorNumber="3277219"/>
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<payment id="74920" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51315" deleted="0" valorNumber="3235305" isin="CH0032353051" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="6579" institutionIdentifier="Fortis Luxembourg Finance SA" country="LU" currency="CHF" issueDate="02.08.2007" redemptionDate="02.08.2012" issuePrice="100.5" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51400" deleted="0" valorNumber="3241034" isin="CH0032410349" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1484" institutionIdentifier="Pfandbriefzentrale der schweiz. Kantonalbanken" country="CH" currency="CHF" issueDate="25.07.2007" redemptionDate="25.07.2013" issuePrice="100.215" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="75020" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
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<bond id="51403" deleted="0" valorNumber="3241393" isin="CH0032413939" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1076" institutionIdentifier="LRP Landesbank Rheinland-Pfalz" country="DE" currency="CHF" issueDate="06.08.2007" redemptionDate="06.08.2009" issuePrice="100.592" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.05"/>
<payment id="75023" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="13005" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1441" deleted="0" valorNumber="3257742"/>
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<bond id="51444" deleted="0" valorNumber="3247742" isin="CH0032477421" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1353" institutionIdentifier="National Australia Bank Limited" country="AU" currency="CHF" issueDate="09.08.2007" redemptionDate="09.08.2010" issuePrice="100.317" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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</bond>
<bond id="51468" deleted="0" valorNumber="3250856" isin="CH0032508563" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2721" institutionIdentifier="Dexia Municipal Agency" country="FR" currency="CHF" issueDate="09.08.2007" redemptionDate="09.08.2017" issuePrice="100.02" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="75088" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="13024" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1442" deleted="0" valorNumber="3450795"/>
</bond>
<bond id="51504" deleted="0" valorNumber="3255530" isin="CH0032555309" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3216" institutionIdentifier="Kommunalkredit Austria AG" country="AT" currency="CHF" issueDate="27.07.2007" redemptionDate="27.07.2009" issuePrice="100.05" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51517" deleted="0" valorNumber="3257467" isin="CH0032574672" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="14.08.2007" redemptionDate="14.08.2012" issuePrice="100.595" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="75137" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
<legend id="13039" deleted="0">
<text>aufgestockt</text>
</legend>
<increase id="1443" deleted="0" valorNumber="3319722"/>
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<bond id="51523" deleted="0" valorNumber="3257727" isin="CH0032577279" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="722" institutionIdentifier="Eurohypo Europ&#228;ische Hypothekenbank SA" country="LU" currency="CHF" issueDate="13.08.2007" redemptionDate="13.11.2013" issuePrice="100.833" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.75"/>
<payment id="75143" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</bond>
<bond id="51541" deleted="0" valorNumber="3260622" isin="CH0032606227" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="4251" institutionIdentifier="HSH Nordbank AG" country="DE" currency="CHF" issueDate="15.08.2007" redemptionDate="15.04.2010" issuePrice="100.675" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51593" deleted="0" valorNumber="3266295" isin="CH0032662956" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="1483" institutionIdentifier="Pfandbriefbank schweiz. Hypothekarinstitute" country="CH" currency="CHF" issueDate="09.08.2007" redemptionDate="09.08.2010" issuePrice="100.09" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.95"/>
<payment id="75210" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
</bond>
<bond id="51628" deleted="0" valorNumber="3268376" isin="CH0032683762" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="244" institutionIdentifier="Bayerische Landesbank" country="DE" currency="CHF" issueDate="24.08.2007" redemptionDate="24.02.2014" issuePrice="100.838" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="101.8"/>
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<bond id="51634" deleted="0" valorNumber="3271130" isin="CH0032711308" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="327" institutionIdentifier="Bremer Landesbank Kreditanstalt Oldenburg - Girozentrale" country="DE" currency="CHF" issueDate="22.08.2007" redemptionDate="22.12.2009" issuePrice="100.311" redemptionPrice="100" nominalAmount="5000" interestRate="3.25" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
<taxValue quotationType="PERCENT" yearEndPrice="100.75"/>
<payment id="75251" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<bond id="51648" deleted="0" valorNumber="3273616" isin="CH0032736164" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3169" institutionIdentifier="Achmea Hypothekenbank NV" country="NL" currency="CHF" issueDate="22.08.2007" redemptionDate="22.08.2017" issuePrice="100.071" redemptionPrice="100" nominalAmount="100000" interestRate="3.5" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<bond id="51734" deleted="0" valorNumber="3289762" isin="CH0032897628" instrumentGroup="BOND" instrumentType="BOND.BOND" institutionId="3139" institutionIdentifier="Kreditanstalt f&#252;r Wiederaufbau" country="DE" currency="CHF" issueDate="30.08.2007" redemptionDate="30.08.2017" issuePrice="101.07" redemptionPrice="100" nominalAmount="5000" interestRate="3.375" interestType="FIX" iup="0" classicalBond="0" maturityUnlimited="0" liberalized="100">
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<payment id="75351" deleted="1" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="13093" deleted="0">
<text>aufgestockt</text>
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<increase id="1444" deleted="0" valorNumber="3319603"/>
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<payment id="76009" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
<legend id="13296" deleted="0">
<text>aufgestockt</text>
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<derivative id="35996" deleted="0" valorNumber="1468703" isin="CH0014687039" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Swiss Market Index [SMI]" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="19.08.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="84.6"/>
<payment id="40473" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="35997" deleted="0" valorNumber="1468712" isin="CH0014687120" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Amex Natural Gas Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="19.08.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="65.26"/>
<payment id="40479" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="35998" deleted="0" valorNumber="1468726" isin="CH0014687260" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Amex Biotechnology Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="19.08.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="89.32"/>
<payment id="40485" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36001" deleted="0" valorNumber="1469830" isin="CH0014698309" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Liker sur l&apos;Indice Nasdaq 100" institutionId="214" institutionIdentifier="Banque Cantonale Vaudoise" country="CH" currency="USD" issueDate="13.08.2002" redemptionDate="12.08.2010" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="118.76"/>
<payment id="40496" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36057" deleted="0" valorNumber="1473890" isin="DE0006389877" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS STAR Grosvenor Performance Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="26.08.2002" redemptionDate="28.09.2012" earlyRedemptionDate="30.09.2009" issuePrice="100" redemptionPrice="100" nominalAmount="50000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="119384.9"/>
<payment id="40765" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="251.02" valueCHF="404.44" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36294" deleted="0" valorNumber="1511959" isin="DE0007361891" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GAM Absolute Return Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="11.11.2002" redemptionDate="31.12.2012" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="22585.88"/>
<payment id="41735" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26015" deleted="1">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="36309" deleted="0" valorNumber="1514763" isin="CH0015147637" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf Swiss Market Index [SMI]" institutionId="202" institutionIdentifier="Bank Sarasin &amp; Cie AG" country="CH" currency="CHF" issueDate="05.12.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
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<payment id="41786" deleted="0" paymentDate="19.09.2007" currency="CHF" valueCHF="1.14" withHoldingTax="0" sign="(L)" taxEvent="0"/>
</derivative>
<derivative id="36380" deleted="0" valorNumber="1523192" isin="CH0015231928" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Quasi-Perpetual Zertifikat auf Nikkei 225 Index" institutionId="454" institutionIdentifier="Credit Suisse" country="CH" currency="CHF" issueDate="20.12.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="153.7"/>
<payment id="42034" deleted="0" paymentDate="12.02.2007" currency="CHF" valueCHF="0.264" withHoldingTax="0" sign="(L)" taxEvent="0"/>
</derivative>
<derivative id="36383" deleted="0" valorNumber="1523272" isin="XS0158774645" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Redeemable Structured Guaranteed (Income)" institutionId="5339" institutionIdentifier="Man Multi-Strategy Series 5 Ltd." country="BM" currency="USD" issueDate="15.04.2003" redemptionDate="31.05.2015" issuePrice="65.444" redemptionPrice="100" nominalAmount="1" interestRate="2" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.3"/>
<payment id="42045" deleted="0" paymentDate="31.05.2007" currency="USD" valueCHF="0.02" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="36396" deleted="0" valorNumber="1525761" isin="CH0015257618" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End PERLES auf Swiss Market Index [SMI]" institutionId="2169" institutionIdentifier="UBS AG" country="CH" currency="CHF" issueDate="10.12.2002" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
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<payment id="42114" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36422" deleted="0" valorNumber="1532022" isin="XS0159969434" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="EMTN sur Pictet Fund Basket" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="30.12.2002" redemptionDate="18.12.2008" issuePrice="79.63" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="124.12"/>
<payment id="42193" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="5504" deleted="0">
<text>(prix d&apos;&#233;m. de la composante obligataire: 79.63%)</text>
</legend>
</derivative>
<derivative id="36453" deleted="0" valorNumber="1536594" isin="XS0160495148" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Basket of Funds" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="31.03.2003" redemptionDate="25.03.2013" issuePrice="74.3" redemptionPrice="100" nominalAmount="100000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="120.3"/>
<payment id="42303" deleted="0" paymentDate="31.03.2007" currency="USD" valueCHF="1213.55" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="36454" deleted="0" valorNumber="1536602" isin="XS0160495650" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Notes on a Basket of Funds" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="31.03.2003" redemptionDate="25.03.2013" issuePrice="74.4" redemptionPrice="100" nominalAmount="10000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="111.3"/>
<payment id="42308" deleted="0" paymentDate="31.03.2007" currency="EUR" valueCHF="162.3" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="36465" deleted="0" valorNumber="1540583" isin="CH0015405837" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Fixed Income Focus Mar 08" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="CHF" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="11870"/>
<payment id="42357" deleted="0" paymentDate="31.12.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36466" deleted="0" valorNumber="1540592" isin="CH0015405928" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Fixed Income Focus Mar 03" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="USD" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="14440.48"/>
<payment id="42361" deleted="0" paymentDate="31.12.2007" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36467" deleted="0" valorNumber="1540595" isin="CH0015405951" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Income Mar 08" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="CHF" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="13240"/>
<payment id="42365" deleted="0" paymentDate="31.12.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36468" deleted="0" valorNumber="1540598" isin="CH0015405985" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Income" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="EUR" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="20972.01"/>
<payment id="42369" deleted="0" paymentDate="31.12.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36469" deleted="0" valorNumber="1540607" isin="CH0015406074" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Balanced Mar 08" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="CHF" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="14910"/>
<payment id="42373" deleted="0" paymentDate="31.12.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36470" deleted="0" valorNumber="1540608" isin="CH0015406082" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Units auf Global Investment Program Balanced Mar 08" institutionId="3840" institutionIdentifier="CSPB Non Traditional Investments Ltd." country="BS" currency="EUR" issueDate="26.03.2003" redemptionDate="26.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="23628.69"/>
<payment id="42377" deleted="0" paymentDate="31.12.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36538" deleted="0" valorNumber="1545236" isin="XS0155818833" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Note auf Participating Fund" institutionId="4083" institutionIdentifier="Premier III SA" country="LU" currency="USD" issueDate="04.03.2003" redemptionDate="04.03.2013" earlyRedemptionDate="10.02.2009" issuePrice="74.5386" redemptionPrice="100" nominalAmount="5000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="91.03"/>
<payment id="42673" deleted="0" paymentDate="04.03.2007" currency="USD" valueCHF="61.09" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="36693" deleted="0" valorNumber="1571697" isin="DE0007363962" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Multi-Strategy Index Basket Euro Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="31.03.2003" redemptionDate="31.03.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="20235.43"/>
<payment id="43270" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26016" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="36813" deleted="0" valorNumber="1582906" isin="XS0166155019" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Notes auf Basket von 12 Aktien" institutionId="33179" institutionIdentifier="AIG-FP Matched Funding Corp" country="US" currency="CHF" issueDate="31.03.2003" redemptionDate="02.04.2013" issuePrice="87.25" redemptionPrice="114" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="119.92"/>
<payment id="43623" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36865" deleted="0" valorNumber="1587963" isin="XS0166794619" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Crown Global Investments Limited" institutionId="5441" institutionIdentifier="Anthracite Rated Investments (Jersey) Limited" country="JE" currency="USD" issueDate="25.04.2003" redemptionDate="26.04.2013" issuePrice="75.561" redemptionPrice="100" nominalAmount="10000" interestRate="1.2" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="125.56"/>
<payment id="43726" deleted="0" paymentDate="26.04.2007" currency="USD" valueCHF="144.92" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="36938" deleted="0" valorNumber="1589955" isin="DE0007364762" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GDA USD Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="14.04.2003" redemptionDate="31.03.2013" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="7418.93"/>
<payment id="43863" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="20.14" valueCHF="24.44" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36939" deleted="0" valorNumber="1589956" isin="DE0007364770" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GDA CHF Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="14.04.2003" redemptionDate="31.03.2013" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="5791"/>
<payment id="43867" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="12.52" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36962" deleted="0" valorNumber="1593829" isin="DE0007364788" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GDA EUR Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="23.04.2003" redemptionDate="31.03.2013" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="10328.76"/>
<payment id="43958" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="16.79" valueCHF="27.05" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="36977" deleted="0" valorNumber="1594405" isin="XS0167723302" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Crown Global Investments Limited" institutionId="5441" institutionIdentifier="Anthracite Rated Investments (Jersey) Limited" country="JE" currency="EUR" issueDate="25.04.2003" redemptionDate="26.04.2013" issuePrice="75.425" redemptionPrice="100" nominalAmount="10000" interestRate="1.2" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="122.31"/>
<payment id="43991" deleted="0" paymentDate="26.04.2007" currency="EUR" valueCHF="197.17" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37019" deleted="0" valorNumber="1601703" isin="CH0016017037" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="TRACKER auf Dax Index" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="EUR" issueDate="13.05.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="133.33"/>
<payment id="44137" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37068" deleted="0" valorNumber="1604373" isin="XS0168486388" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes to Lover Fund" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="17.06.2003" redemptionDate="17.06.2012" earlyRedemptionDate="17.04.2009" issuePrice="72.7571" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="117.29"/>
<payment id="44353" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37077" deleted="0" valorNumber="1605612" isin="XS0168673811" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes to Lover Fund" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="CHF" issueDate="17.06.2003" redemptionDate="18.06.2012" earlyRedemptionDate="16.04.2009" issuePrice="80.6907" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="107.05"/>
<payment id="44403" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37100" deleted="0" valorNumber="1607808" isin="CH0016078088" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Podium Note" institutionId="6148" institutionIdentifier="CS Structured Products Ltd." country="BS" currency="CHF" issueDate="19.06.2003" redemptionDate="19.06.2009" issuePrice="96.72" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="103"/>
<payment id="44510" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37101" deleted="0" valorNumber="1607811" isin="CH0016078112" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Podium Note" institutionId="6148" institutionIdentifier="CS Structured Products Ltd." country="BS" currency="USD" issueDate="19.06.2003" redemptionDate="19.06.2009" issuePrice="95.65" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="100.7"/>
<payment id="44512" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37125" deleted="0" valorNumber="1612496" isin="XS0169505566" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf O&apos;Connor Prop. Series Shs Senior" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="30.05.2003" redemptionDate="15.06.2008" earlyRedemptionDate="21.04.2008" issuePrice="86.55" redemptionPrice="100" nominalAmount="10000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="111.62"/>
<payment id="44598" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37138" deleted="0" valorNumber="1614420" isin="CH0016144203" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End PERLES auf Russian Traded Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="USD" issueDate="27.06.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="354.04"/>
<payment id="44672" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37139" deleted="0" valorNumber="1614611" isin="CH0016146117" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Dynamic Voncert auf European Sector Rotation" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="EUR" issueDate="14.07.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="363.32"/>
<payment id="44677" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37142" deleted="0" valorNumber="1615165" isin="XS0169730503" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="EMTN auf Basket of Funds Senior" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="03.07.2003" redemptionDate="03.07.2009" issuePrice="87.54" redemptionPrice="100" nominalAmount="10000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="113.6"/>
<payment id="44686" deleted="0" paymentDate="03.07.2007" currency="EUR" valueCHF="165.44" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37207" deleted="0" valorNumber="1623670" isin="XS0170696917" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Redeemable Structured Guaranteed Bonds" institutionId="5336" institutionIdentifier="Man Global Strategies Diversified Ltd." country="BM" currency="USD" issueDate="09.10.2003" redemptionDate="31.05.2016" issuePrice="53.516" redemptionPrice="100" nominalAmount="1" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.33"/>
<payment id="44917" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37251" deleted="0" valorNumber="1628208" isin="XS0171290231" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes to Lover Fund" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="USD" issueDate="17.07.2003" redemptionDate="17.07.2012" issuePrice="68.0779" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="125.2"/>
<payment id="45187" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37458" deleted="0" valorNumber="1655704" isin="XS0174463553" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Notes auf Reference Basket" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="13.08.2003" redemptionDate="30.08.2013" issuePrice="69.5317" redemptionPrice="100" nominalAmount="10000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="108.8"/>
<payment id="46021" deleted="0" paymentDate="13.08.2007" currency="USD" valueCHF="120.6" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37653" deleted="0" valorNumber="1677686" isin="GB0033562728" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Certificate auf US Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="10.10.2003" redemptionDate="10.10.2008" issuePrice="84.738" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="46828" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="37735" deleted="0" valorNumber="1693254" isin="XS0179099758" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Crown Global Investments" institutionId="5441" institutionIdentifier="Anthracite Rated Investments (Jersey) Limited" country="JE" currency="EUR" issueDate="24.10.2003" redemptionDate="24.10.2013" issuePrice="74.454" redemptionPrice="100" nominalAmount="1000" interestRate="1.2" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="115.43"/>
<payment id="47163" deleted="0" paymentDate="24.10.2007" currency="EUR" valueCHF="20.02" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37736" deleted="0" valorNumber="1693273" isin="XS0179100358" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Crown Global Investments Limited" institutionId="5441" institutionIdentifier="Anthracite Rated Investments (Jersey) Limited" country="JE" currency="USD" issueDate="24.10.2003" redemptionDate="24.10.2013" issuePrice="72.517" redemptionPrice="100" nominalAmount="1000" interestRate="1.2" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="47166" deleted="0" paymentDate="24.10.2007" currency="USD" valueCHF="14.07" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37740" deleted="0" valorNumber="1694202" isin="XS0178106182" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Stellar Note auf 10 Aktien im DJ Euro Stoxx 50" institutionId="5512" institutionIdentifier="Centauri Corporation" country="KY" currency="EUR" issueDate="15.10.2003" redemptionDate="14.10.2011" issuePrice="78.401" redemptionPrice="100" nominalAmount="1000" interestRate="1" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="90.7"/>
<payment id="47186" deleted="0" paymentDate="09.10.2007" currency="EUR" valueCHF="41.67" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37770" deleted="0" valorNumber="1699727" isin="XS0178714555" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Notes on a Basket of Indices Senior" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="29.10.2003" redemptionDate="29.10.2010" issuePrice="75.048" redemptionPrice="100" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="114"/>
<payment id="47295" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37814" deleted="0" valorNumber="1705896" isin="DE0009542852" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS CHF Star Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="30.01.2004" redemptionDate="30.12.2013" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="5755"/>
<payment id="47471" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="13.28" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37865" deleted="0" valorNumber="1714909" isin="XS0180389271" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Basket linked Notes auf Indices Series C" institutionId="3898" institutionIdentifier="Fortis Banque Luxembourg" country="LU" currency="USD" issueDate="25.11.2003" redemptionDate="25.11.2009" issuePrice="82" redemptionPrice="100" nominalAmount="10000" interestRate="0.75" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="119"/>
<payment id="47658" deleted="0" paymentDate="25.11.2007" currency="USD" valueCHF="82.74" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="37906" deleted="0" valorNumber="1723375" isin="CH0017233757" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="CSFB/Tremont Investable Hedge Fund Index" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="CHF" issueDate="25.02.2004" redemptionDate="25.02.2009" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1030"/>
<payment id="47799" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="2.4" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37907" deleted="0" valorNumber="1723376" isin="CH0017233765" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="CSFB/Tremont Investable Hedge Fund Index" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="EUR" issueDate="25.02.2004" redemptionDate="25.02.2009" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1812.49"/>
<payment id="47803" deleted="0" paymentDate="31.03.2007" currency="EUR" valueCurrency="2.4" valueCHF="3.89" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37908" deleted="0" valorNumber="1723377" isin="CH0017233773" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="CSFB/Tremont Investable Hedge Fund Index" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="USD" issueDate="25.02.2004" redemptionDate="25.02.2009" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1313.28"/>
<payment id="47807" deleted="0" paymentDate="31.03.2007" currency="USD" valueCurrency="2.4" valueCHF="2.91" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37929" deleted="0" valorNumber="1728107" isin="CH0017281079" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PERLES auf Hui-Amex Gold Bugs Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="USD" issueDate="04.12.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="350.96"/>
<payment id="47886" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37951" deleted="0" valorNumber="1732898" isin="CH0017328987" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Voncert auf Scandinavian Large Caps Basket" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="EUR" issueDate="09.12.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="310.69"/>
<payment id="47956" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37970" deleted="0" valorNumber="1737558" isin="XS0182014885" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes auf FTSE/Xihua China 25 Index" institutionId="4600" institutionIdentifier="Credit Suisse International" country="BS" currency="USD" issueDate="19.12.2003" redemptionDate="19.12.2008" issuePrice="74.405" redemptionPrice="90" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="164.8"/>
<payment id="48015" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37971" deleted="0" valorNumber="1737583" isin="XS0182014612" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes auf FTSE/Xihua China 25 Index" institutionId="4600" institutionIdentifier="Credit Suisse International" country="BS" currency="EUR" issueDate="19.12.2003" redemptionDate="19.12.2008" issuePrice="74.226" redemptionPrice="90" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="164.2"/>
<payment id="48019" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="37996" deleted="0" valorNumber="1741317" isin="CH0017413177" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Digital Podium Notes auf Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="29.12.2003" redemptionDate="29.12.2008" issuePrice="89.494" redemptionPrice="100" nominalAmount="1000" interestRate="1.5" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.3"/>
<payment id="48094" deleted="0" paymentDate="29.12.2007" currency="EUR" valueCHF="24.82" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38011" deleted="0" valorNumber="1745833" isin="XS0182476407" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Note auf Basket of Indices" institutionId="451" institutionIdentifier="Dexia Cr&#233;dit local de France" country="FR" currency="EUR" issueDate="19.12.2003" redemptionDate="19.12.2008" issuePrice="97.98" redemptionPrice="105.4" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="108.9"/>
<payment id="48163" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38013" deleted="0" valorNumber="1746806" isin="DE0008223512" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="x-pert Zertifikat auf den Swiss Market Index [SMI]" institutionId="598" institutionIdentifier="Deutsche Bank AG" country="DE" currency="CHF" issueDate="22.12.2003" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="84.55"/>
<payment id="48172" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38018" deleted="0" valorNumber="1747877" isin="CH0017478774" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Lock In Perles Plus auf DJ EuroStoxx 50" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="29.12.2003" redemptionDate="29.12.2008" issuePrice="83.3885" redemptionPrice="100" nominalAmount="2722.2" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="7203.33"/>
<payment id="48191" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38029" deleted="0" valorNumber="1750916" isin="CH0017509164" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Dynamic Voncert auf European Sector Rotation II" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="EUR" issueDate="26.01.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="305.89"/>
<payment id="48223" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38030" deleted="0" valorNumber="1750917" isin="CH0017509172" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Dynamic Voncert auf US Sector Rotation II" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="USD" issueDate="26.01.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="181.14"/>
<payment id="48227" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38031" deleted="0" valorNumber="1750918" isin="CH0017509180" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Dynamic Voncert auf US Sector Rotation" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="USD" issueDate="26.01.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="168.91"/>
<payment id="48231" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38032" deleted="0" valorNumber="1751141" isin="DE0009542886" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Star Meridian Performance Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="30.01.2004" redemptionDate="31.03.2014" earlyRedemptionDate="13.04.2009" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
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<payment id="48234" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38033" deleted="0" valorNumber="1751143" isin="DE0009542894" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Star Meridian Performance Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="30.01.2004" redemptionDate="31.03.2014" earlyRedemptionDate="13.04.2009" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="7789.14"/>
<payment id="48237" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38034" deleted="0" valorNumber="1751144" isin="DE0009542902" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Star Meridian Performance Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="30.01.2004" redemptionDate="31.03.2014" earlyRedemptionDate="13.04.2009" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="6135"/>
<payment id="48240" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38035" deleted="0" valorNumber="1751146" isin="DE0009542910" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS MSA EUR Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="30.01.2004" redemptionDate="31.12.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1978.13"/>
<payment id="48243" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="3.45" valueCHF="5.55" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38036" deleted="0" valorNumber="1751147" isin="DE0009542928" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS MSA USD Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="30.01.2004" redemptionDate="31.12.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1426.38"/>
<payment id="48246" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="4.47" valueCHF="5.42" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38037" deleted="0" valorNumber="1751148" isin="DE0009542936" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS MSA CHF Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="30.01.2004" redemptionDate="31.12.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1134.1"/>
<payment id="48249" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="2.16" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38049" deleted="0" valorNumber="1753472" isin="XS0183118792" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="EMTN auf Basket of Indices" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="30.12.2003" redemptionDate="30.12.2008" issuePrice="83.468" redemptionPrice="100" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="48283" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38073" deleted="0" valorNumber="1759173" isin="DE0009542951" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Goldman Sachs Global Currency Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="02.08.2004" redemptionDate="31.07.2009" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="17456.26"/>
<payment id="48371" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26023" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
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<derivative id="38130" deleted="0" valorNumber="1761915" isin="CH0017619153" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Asset Allocater EMTN" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="CHF" issueDate="23.02.2004" redemptionDate="23.02.2010" earlyRedemptionDate="02.03.2009" issuePrice="92.6069" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="48516" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38138" deleted="0" valorNumber="1763682" isin="DE0009542969" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikate auf Julius B&#228;r Alternative Balanced Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="30.04.2004" redemptionDate="30.06.2014" earlyRedemptionDate="31.12.2009" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
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<payment id="48543" deleted="0" paymentDate="01.01.2007" currency="USD" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26022" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38199" deleted="0" valorNumber="1772813" isin="DE000A0AM3E5" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="BLOC auf Deutsche Telekom" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="18.02.2004" redemptionDate="17.12.2008" issuePrice="84.7906" redemptionPrice="100" nominalAmount="12.68" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="48748" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38201" deleted="0" valorNumber="1772854" isin="DE000A0AM1A7" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="BLOC auf Dow Jones Euro Stoxx 50" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="03.03.2004" redemptionDate="17.12.2008" issuePrice="85.2801" redemptionPrice="100" nominalAmount="17.5" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="48752" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38257" deleted="0" valorNumber="1778709" isin="XS0185165601" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Notes auf Noble Multi Strategy Fund Basket" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="26.04.2004" redemptionDate="26.04.2016" issuePrice="65.07" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="81.59"/>
<payment id="48902" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38258" deleted="0" valorNumber="1778715" isin="XS0185165437" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Note auf Noble Multi Strategy Fund Basket" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="USD" issueDate="26.04.2004" redemptionDate="26.04.2016" issuePrice="61.27" redemptionPrice="100" nominalAmount="10000" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="85.59"/>
<payment id="48906" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38275" deleted="0" valorNumber="1781030" isin="XS0185407037" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes auf Basket von Stocks" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="27.02.2004" redemptionDate="26.02.2010" issuePrice="92.5738" redemptionPrice="100" nominalAmount="1000" interestRate="2.25" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="96.89"/>
<payment id="48968" deleted="0" paymentDate="27.02.2007" currency="EUR" valueCHF="35.98" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38276" deleted="0" valorNumber="1781501" isin="CH0017815017" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="PROPER auf Schweizer Immobilienfonds Basket" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="05.03.2004" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="110.8"/>
<payment id="48972" deleted="0" paymentDate="31.12.2007" currency="CHF" valueCHF="4.65" withHoldingTax="1" taxEvent="0"/>
</derivative>
<derivative id="38281" deleted="0" valorNumber="1781981" isin="XS0185638193" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Note auf Tremont Investment Fund" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="CHF" issueDate="24.02.2004" redemptionDate="31.03.2014" issuePrice="84.6443" redemptionPrice="100" nominalAmount="100000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="93.63"/>
<payment id="48990" deleted="0" paymentDate="28.02.2007" currency="CHF" valueCHF="1000" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38282" deleted="0" valorNumber="1781988" isin="CH0017819886" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Palladium Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="4.08"/>
<payment id="48994" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38284" deleted="0" valorNumber="1781994" isin="CH0017819944" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Platinum Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="17.32"/>
<payment id="49002" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38285" deleted="0" valorNumber="1782003" isin="CH0017820033" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Quanto Zertifikat auf Platinum Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="13.7"/>
<payment id="49006" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38286" deleted="0" valorNumber="1782006" isin="CH0017820066" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Quanto Zertifikat auf Palladium Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="3.12"/>
<payment id="49010" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38287" deleted="0" valorNumber="1782007" isin="CH0017820074" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Silver Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="16.69"/>
<payment id="49014" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38288" deleted="0" valorNumber="1782009" isin="CH0017820090" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Quanto Zertifikat auf Silver Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="13"/>
<payment id="49018" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38289" deleted="0" valorNumber="1782011" isin="CH0017820116" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Quanto Zertifikat auf Gold Spot Price" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="03.02.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="7.31"/>
<payment id="49022" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38293" deleted="0" valorNumber="1782336" isin="CH0017823367" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Gottardo China Basket" institutionId="170" institutionIdentifier="Banca del Gottardo" country="CH" currency="USD" issueDate="10.02.2004" redemptionDate="29.10.2008" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="387.47"/>
<payment id="49038" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38349" deleted="0" valorNumber="1789437" isin="GB0034269596" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. Plus auf DJ EuroStoxx 50" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="05.03.2004" redemptionDate="05.03.2009" issuePrice="83.9132" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2642.44"/>
<payment id="49212" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38372" deleted="0" valorNumber="1792952" isin="DE0005644496" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Balanced Selection Index Basket Euro Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="27.02.2004" redemptionDate="30.12.2008" earlyRedemptionDate="30.09.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="19424.35"/>
<payment id="49288" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26017" deleted="1">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38374" deleted="0" valorNumber="1792954" isin="DE0007363798" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Growth Selection Index Basket Euro Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="27.02.2004" redemptionDate="30.12.2008" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="19714.02"/>
<payment id="49294" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26018" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38382" deleted="0" valorNumber="1793908" isin="CH0017939080" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Groi Mini-Max auf International Stocks Basket" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="05.03.2004" redemptionDate="06.03.2009" issuePrice="92.6425" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.6"/>
<payment id="49347" deleted="0" paymentDate="02.03.2007" currency="CHF" valueCHF="2.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38407" deleted="1" valorNumber="1796037" isin="XS0185945366" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Redeem. Structured Guaranteed Bond" institutionId="5547" institutionIdentifier="Man Global Strategies Diversified Series 2 Ltd." country="BM" currency="USD" issueDate="22.07.2004" redemptionDate="15.02.2017" issuePrice="58.06" redemptionPrice="100" nominalAmount="1" interestRate="2.5" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.29"/>
<payment id="49435" deleted="0" paymentDate="31.07.2007" currency="USD" valueCHF="0.03" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38408" deleted="0" valorNumber="1796043" isin="XS0185948030" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Redeemable Structured Guaranteed Bonds" institutionId="5547" institutionIdentifier="Man Global Strategies Diversified Series 2 Ltd." country="BM" currency="EUR" issueDate="22.07.2004" redemptionDate="28.02.2017" issuePrice="61.776" redemptionPrice="100" nominalAmount="1" interestRate="2.5" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.77"/>
<payment id="49438" deleted="0" paymentDate="31.07.2007" currency="EUR" valueCHF="0.03" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38415" deleted="0" valorNumber="1796587" isin="CH0017965879" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PIP Units auf FTSE 100 Index" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="GBP" issueDate="12.03.2004" redemptionDate="13.03.2009" issuePrice="78.7268" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="138.4"/>
<payment id="49460" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38424" deleted="0" valorNumber="1797295" isin="CH0017972958" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PERLES auf Dow Jones Euro Stoxx Small Return Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="02.03.2004" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="514.78"/>
<payment id="49484" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38442" deleted="0" valorNumber="1798604" isin="XS0187155469" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPPT Notes auf Basket Funds Senior" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="27.02.2004" redemptionDate="30.03.2011" issuePrice="76.3713" redemptionPrice="100" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="116"/>
<payment id="49556" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38468" deleted="0" valorNumber="1802224" isin="CH0018022241" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PIP Units auf World Index Basket" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="02.03.2004" redemptionDate="02.03.2009" issuePrice="85.0156" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="121.2"/>
<payment id="49623" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38473" deleted="0" valorNumber="1803377" isin="GB0034350743" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ EuroStoxx 50" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="10.03.2004" redemptionDate="10.03.2009" issuePrice="84.7281" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2709.11"/>
<payment id="49650" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38500" deleted="0" valorNumber="1806169" isin="GB0034368950" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf S&amp;P 500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="12.11.2004" redemptionDate="12.03.2009" issuePrice="84.7937" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1421.97"/>
<payment id="49728" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38541" deleted="0" valorNumber="1811006" isin="CH0018110061" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="08.04.2004" redemptionDate="08.04.2010" issuePrice="93.888" redemptionPrice="100" nominalAmount="1000" interestRate="2.25" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.3"/>
<payment id="49857" deleted="0" paymentDate="08.04.2007" currency="EUR" valueCHF="36.77" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38542" deleted="0" valorNumber="1811008" isin="CH0018110087" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="08.04.2004" redemptionDate="08.04.2010" issuePrice="93.8006" redemptionPrice="100" nominalAmount="1000" interestRate="2.25" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.2"/>
<payment id="49861" deleted="0" paymentDate="10.04.2007" currency="USD" valueCHF="27.35" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38543" deleted="0" valorNumber="1811009" isin="CH0018110095" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="08.04.2004" redemptionDate="08.04.2010" issuePrice="95.5264" redemptionPrice="100" nominalAmount="1000" interestRate="1.25" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.8"/>
<payment id="49865" deleted="0" paymentDate="08.04.2007" currency="CHF" valueCHF="12.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38559" deleted="0" valorNumber="1812095" isin="XS0188392376" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat on Tremont Investable Hedge Fund Index" institutionId="4600" institutionIdentifier="Credit Suisse International" country="BS" currency="EUR" issueDate="26.03.2004" redemptionDate="26.03.2009" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="112.06"/>
<payment id="49922" deleted="0" paymentDate="31.03.2007" currency="EUR" valueCurrency="24" valueCHF="38.95" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38562" deleted="0" valorNumber="1812153" isin="XS0188402944" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CS Asset Allocator" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="EUR" issueDate="24.05.2004" redemptionDate="25.05.2010" issuePrice="79.4752" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1900.22"/>
<payment id="49929" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38573" deleted="0" valorNumber="1812210" isin="DE0009464982" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="IAM Absolute Return Performance Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="31.03.2004" redemptionDate="31.03.2009" issuePrice="100" redemptionPrice="100" nominalAmount="10000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="21054.78"/>
<payment id="49959" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26019" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38574" deleted="0" valorNumber="1812211" isin="DE0009464990" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="IAM Absolute Return Income Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="31.03.2004" redemptionDate="31.03.2009" issuePrice="100" redemptionPrice="100" nominalAmount="50000" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="96923.16"/>
<payment id="49961" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26020" deleted="1">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38580" deleted="0" valorNumber="1813109" isin="XS0188409014" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Notes auf Gottex Market Neutral Fund II" institutionId="5018" institutionIdentifier="Ixis Corporate &amp; Investment Bank" country="FR" currency="USD" issueDate="31.03.2004" redemptionDate="31.03.2011" earlyRedemptionDate="29.10.2009" issuePrice="87.497" redemptionPrice="112" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="106.36"/>
<payment id="49980" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38601" deleted="0" valorNumber="1814763" isin="XS0188766397" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Notes auf DJ EuroStoxx 50" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="CHF" issueDate="25.03.2004" redemptionDate="25.03.2009" issuePrice="82.4411" redemptionPrice="90" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="123.99"/>
<payment id="50040" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38633" deleted="0" valorNumber="1820246" isin="GB00B00H7P40" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="EUR" issueDate="23.04.2004" redemptionDate="23.04.2009" issuePrice="84.687" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2482.87"/>
<payment id="50146" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38637" deleted="0" valorNumber="1820989" isin="DE0009542324" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Notz Stucki Alternative Diversified Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="31.03.2004" redemptionDate="31.03.2014" issuePrice="100" redemptionPrice="100" nominalAmount="5000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="11046.14"/>
<payment id="50154" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26021" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="38653" deleted="0" valorNumber="1823193" isin="XS0189504722" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="STELLAR auf Basket von 20 Aktien" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="30.03.2004" redemptionDate="30.03.2010" issuePrice="92.246" redemptionPrice="100" nominalAmount="10000" interestRate="2" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="94.86"/>
<payment id="50203" deleted="0" paymentDate="30.03.2007" currency="EUR" valueCHF="325" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38658" deleted="0" valorNumber="1823670" isin="DE0007785560" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="AMC PERLES on Investment Solutions Swiss Small and Mid Cap Stocks Reference Portfolio" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="14.04.2004" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="2029.95"/>
<payment id="50215" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="18.17" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38659" deleted="0" valorNumber="1824180" isin="XS0189547028" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Note auf Basket of 20 Stocks" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="06.04.2004" redemptionDate="06.04.2010" issuePrice="92.469" redemptionPrice="100" nominalAmount="10000" interestRate="2" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.7"/>
<payment id="50217" deleted="0" paymentDate="10.04.2007" currency="EUR" valueCHF="326.8" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38660" deleted="0" valorNumber="1824763" isin="CH0018247632" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Note Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="28.04.2004" redemptionDate="28.04.2010" issuePrice="92.951" redemptionPrice="100" nominalAmount="1000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.4"/>
<payment id="50221" deleted="0" paymentDate="28.04.2007" currency="CHF" valueCHF="10" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38663" deleted="0" valorNumber="1826187" isin="CH0018261872" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="28.04.2004" redemptionDate="28.04.2010" issuePrice="91.0057" redemptionPrice="100" nominalAmount="1000" interestRate="2" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="94.8"/>
<payment id="50231" deleted="0" paymentDate="28.04.2007" currency="EUR" valueCHF="32.93" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38664" deleted="0" valorNumber="1826188" isin="CH0018261880" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes Basket 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="28.04.2004" redemptionDate="28.04.2010" issuePrice="88.8813" redemptionPrice="100" nominalAmount="1000" interestRate="2" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.6"/>
<payment id="50235" deleted="0" paymentDate="28.04.2007" currency="USD" valueCHF="24.13" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="38667" deleted="0" valorNumber="1826378" isin="XS0189519167" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus" institutionId="4564" institutionIdentifier="Banque Nationale de Paris (BNP)" country="HK" currency="USD" issueDate="14.04.2004" redemptionDate="30.03.2009" issuePrice="84.95" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1477.44"/>
<payment id="50246" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="38690" deleted="0" valorNumber="1830156" isin="CH0018301561" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Gold" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="30.04.2004" redemptionDate="30.04.2009" issuePrice="78.9256" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="195.9"/>
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<legend id="26025" deleted="1">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
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<derivative id="41031" deleted="0" valorNumber="2117536" isin="CH0021175366" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf Bovespa Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="14.04.2005" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="40.75"/>
<payment id="56717" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41050" deleted="0" valorNumber="2121377" isin="CH0021213779" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Groi auf DJ Euro Stoxx 50 Index" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="03.05.2005" redemptionDate="06.05.2009" issuePrice="87.896" redemptionPrice="98" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="115"/>
<payment id="56773" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41051" deleted="0" valorNumber="2121519" isin="CH0021215196" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf Pork Bellies Future" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="15.04.2005" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="0.8"/>
<payment id="56776" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41053" deleted="0" valorNumber="2121731" isin="CH0021217317" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Bond Fund Basket" institutionId="3205" institutionIdentifier="Credit Suisse Guernsey Branch" country="GG" currency="EUR" issueDate="05.07.2005" redemptionDate="11.07.2008" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1646.97"/>
<payment id="56780" deleted="0" paymentDate="31.03.2007" currency="EUR" valueCurrency="4.58" valueCHF="7.43" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41072" deleted="0" valorNumber="2123095" isin="CH0021230955" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Annual Realized Volatility Notes auf S&amp;P 500 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="15.04.2005" redemptionDate="15.04.2008" issuePrice="88.125" redemptionPrice="100" nominalAmount="1000000" interestRate="0.125" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="100.4"/>
<payment id="56832" deleted="0" paymentDate="15.04.2007" currency="USD" valueCHF="1516.25" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="41078" deleted="0" valorNumber="2124375" isin="XS0218276573" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Butterfly Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="USD" issueDate="06.05.2005" redemptionDate="06.05.2010" issuePrice="79.79" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1683.83"/>
<payment id="56846" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41107" deleted="0" valorNumber="2127494" isin="CH0021274946" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Dynamix auf den SMI Momentum Strategie Basket" institutionId="202" institutionIdentifier="Bank Sarasin &amp; Cie AG" country="CH" currency="CHF" issueDate="05.12.2005" redemptionDate="03.12.2015" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1221"/>
<payment id="56912" deleted="0" paymentDate="29.06.2007" currency="CHF" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
</derivative>
<derivative id="41157" deleted="0" valorNumber="2130417" isin="CH0021304172" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf Dow Jones Euro Stoxx Select Dividend 30 Price Index" institutionId="202" institutionIdentifier="Bank Sarasin &amp; Cie AG" country="CH" currency="EUR" issueDate="05.12.2005" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="52.88"/>
<payment id="57041" deleted="0" paymentDate="19.09.2007" currency="EUR" valueCHF="1.4" withHoldingTax="0" sign="(L)" taxEvent="0"/>
</derivative>
<derivative id="41160" deleted="0" valorNumber="2131023" isin="DE000UB0ECU8" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Multi-Strategy Alternative II Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="29.04.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="111.06"/>
<payment id="57056" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41161" deleted="0" valorNumber="2131075" isin="DE000UB0ECV6" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Multi-Strategy Alternative II Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="29.04.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="190.55"/>
<payment id="57059" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="0.0015" valueCHF="0.002" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41162" deleted="0" valorNumber="2131090" isin="DE000UB0ECW4" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="UBS Multi-Strategy Alternative II Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="29.04.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="137.12"/>
<payment id="57062" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="0.115" valueCHF="0.139" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41178" deleted="0" valorNumber="2131848" isin="GB00B07PZN51" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. auf GSCI Livestock Excess Return Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="EUR" issueDate="03.05.2005" redemptionDate="15.04.2011" issuePrice="82.9914" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="131.26"/>
<payment id="57104" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41193" deleted="0" valorNumber="2134035" isin="DE000UB0ECX2" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GAM Composite Absolute Return Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="02.05.2005" redemptionDate="30.04.2015" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1960.31"/>
<payment id="57137" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
</derivative>
<derivative id="41194" deleted="0" valorNumber="2134045" isin="DE000UB0ECY0" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="GAM Composite Absolute Return Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="02.05.2005" redemptionDate="30.04.2015" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1422.31"/>
<payment id="57140" deleted="0" paymentDate="01.01.2007" currency="USD" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
</derivative>
<derivative id="41201" deleted="0" valorNumber="2134700" isin="GB00B07ZHH34" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf GSCI" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="25.05.2005" redemptionDate="25.05.2010" issuePrice="86.8875" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1833.78"/>
<payment id="57155" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41212" deleted="0" valorNumber="2134714" isin="GB00B08PRG18" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="16.06.2005" redemptionDate="16.06.2010" issuePrice="92.1205" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1288"/>
<payment id="57181" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41224" deleted="0" valorNumber="2134729" isin="GB00B09KDB21" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf S&amp;P 500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="08.06.2005" redemptionDate="09.06.2009" issuePrice="85.0201" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1406.16"/>
<payment id="57208" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41226" deleted="1" valorNumber="2134734" isin="XS0221583924" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="10.30% Equity Yield Note auf Basket von Aktien" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="14.06.2005" redemptionDate="16.06.2008" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="2.46" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="99.75"/>
<payment id="57213" deleted="0" paymentDate="14.06.2007" currency="EUR" valueCurrency="24.6" valueCHF="40.77" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41237" deleted="0" valorNumber="2135942" isin="CH0021359424" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Voncert Open End auf DJ Euro Stoxx Select Dividend 30 Index" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="EUR" issueDate="25.07.2005" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="72.25"/>
<payment id="57247" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41239" deleted="0" valorNumber="2136403" isin="XS0218484177" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Note auf div." institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="CHF" issueDate="13.05.2005" redemptionDate="13.05.2010" issuePrice="96.392" redemptionPrice="100" nominalAmount="1000" interestRate="1" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.8"/>
<payment id="57250" deleted="0" paymentDate="14.05.2007" currency="CHF" valueCHF="10" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41255" deleted="0" valorNumber="2138097" isin="DE000UB0ECZ7" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Bonds Strategy" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="20.07.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="168.48"/>
<payment id="57293" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="3.41" valueCHF="5.49" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41256" deleted="0" valorNumber="2138123" isin="DE000UB0EC03" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Bonds Strategy" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="20.07.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="125.59"/>
<payment id="57294" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="3.96" valueCHF="4.8" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41257" deleted="0" valorNumber="2138131" isin="DE000UB97UM0" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Bonds Strategy" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="20.07.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="168.12"/>
<payment id="57295" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="3.41" valueCHF="5.49" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41258" deleted="0" valorNumber="2138136" isin="DE000UB97UN8" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Bonds Strategy" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="USD" issueDate="20.07.2005" redemptionDate="30.06.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="125.59"/>
<payment id="57296" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="3.96" valueCHF="4.8" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41285" deleted="0" valorNumber="2143406" isin="GB00B085WD39" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="DynaMo Cert. auf Basket vom Underlying Portfolios" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="21.10.2005" redemptionDate="19.10.2012" issuePrice="81.099" redemptionPrice="100" nominalAmount="1000" interestRate="1.5" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1252.15"/>
<payment id="57367" deleted="0" paymentDate="30.06.2007" currency="USD" valueCHF="18.16" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="41288" deleted="0" valorNumber="2144451" isin="XS0219163317" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Principal Prot. Commodity Linked Note" institutionId="5246" institutionIdentifier="AB Svensk Exportkredit SEK" country="SE" currency="USD" issueDate="13.05.2005" redemptionDate="06.11.2009" issuePrice="82.705" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="114.5"/>
<payment id="57374" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41294" deleted="0" valorNumber="2146312" isin="CH0021463127" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Certificat sur le panier Swiss Momentum" institutionId="214" institutionIdentifier="Banque Cantonale Vaudoise" country="CH" currency="CHF" issueDate="17.05.2005" redemptionDate="21.05.2010" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="187.4"/>
<payment id="57399" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41312" deleted="0" valorNumber="2149195" isin="XS0219405346" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP auf Basket of Commodities" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="USD" issueDate="16.05.2005" redemptionDate="16.05.2008" issuePrice="92.81" redemptionPrice="100" nominalAmount="1000" interestRate="1.5" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="105.75"/>
<payment id="57440" deleted="0" paymentDate="16.05.2007" currency="USD" valueCHF="18.39" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="41313" deleted="0" valorNumber="2149216" isin="XS0219404968" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP auf Basket of Commodities" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="16.05.2005" redemptionDate="16.05.2008" issuePrice="92.69" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="104.08"/>
<payment id="57442" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41317" deleted="0" valorNumber="2149845" isin="CH0021498453" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Bonus Coupon Notes auf Basket von 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="15.06.2005" redemptionDate="15.06.2011" earlyRedemptionDate="15.06.2007" issuePrice="94.848" redemptionPrice="106" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="57452" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="8225" deleted="0">
<text>vorz. R&#252;ckzahlung per 15.6.2007</text>
</legend>
<legend id="8226" deleted="0">
<text>Bondfloor bei vorzeitiger R&#252;ckzahlung = 95.427%</text>
</legend>
</derivative>
<derivative id="41318" deleted="0" valorNumber="2149846" isin="CH0021498461" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Bonus Coupon Notes auf Basket von 20 Stocks" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="15.06.2005" redemptionDate="15.06.2011" earlyRedemptionDate="15.06.2007" issuePrice="91.873" redemptionPrice="109" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="57455" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="8227" deleted="0">
<text>vorz. R&#252;ckzahlung per 15.6.2007</text>
</legend>
<legend id="8228" deleted="0">
<text>Bondfloor bei vorzeitiger R&#252;ckzahlung = 94.517%</text>
</legend>
</derivative>
<derivative id="41397" deleted="0" valorNumber="2161452" isin="XS0220113327" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cp. Notes auf Basket von Aktien" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="CHF" issueDate="10.06.2005" redemptionDate="10.06.2010" issuePrice="94.2" redemptionPrice="100" nominalAmount="1000" interestRate="0.5" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.79"/>
<payment id="57633" deleted="0" paymentDate="10.06.2007" currency="CHF" valueCHF="5" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="41407" deleted="0" valorNumber="2162843" isin="CH0021628430" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Protein auf Basket von int. Aktien" institutionId="3167" institutionIdentifier="Z&#252;rcher Kantonalbank Finance (Guernsey) Ltd." country="GG" currency="CHF" issueDate="03.06.2005" redemptionDate="03.06.2008" issuePrice="96.93" redemptionPrice="100" nominalAmount="5000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.85"/>
<payment id="57659" deleted="0" paymentDate="04.06.2007" currency="CHF" valueCHF="12.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="41408" deleted="0" valorNumber="2162894" isin="XS0220292154" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Notes auf Basket von Commodities" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="USD" issueDate="31.05.2005" redemptionDate="01.06.2010" issuePrice="85.27" redemptionPrice="105" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="196.45"/>
<payment id="57662" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="41451" deleted="0" valorNumber="2164694" isin="DE000UB0EC37" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Global Property Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="04.07.2005" redemptionDate="08.07.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="140.99"/>
<payment id="57754" deleted="0" paymentDate="01.01.2007" currency="USD" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26028" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="41452" deleted="0" valorNumber="2164734" isin="DE000UB0EC45" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Global Property Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="04.07.2005" redemptionDate="08.07.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="196.42"/>
<payment id="57757" deleted="0" paymentDate="01.01.2007" currency="EUR" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26029" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
<derivative id="41453" deleted="0" valorNumber="2164760" isin="DE000UB0EC52" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Global Property Index Zertifikat" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="04.07.2005" redemptionDate="08.07.2015" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="114.36"/>
<payment id="57760" deleted="0" paymentDate="01.01.2007" currency="CHF" withHoldingTax="0" paymentAscertained="0" sign="(I)" taxEvent="0"/>
<legend id="26030" deleted="1">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
</legend>
</derivative>
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<legend id="26027" deleted="0">
<text>UBS kann keinen steuerbaren Ertrag liefern. Besteuerung nach Ermessen </text>
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<derivative id="43331" deleted="0" valorNumber="2351546" isin="CH0023515460" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Nestl&#233; SA" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="15.12.2005" redemptionDate="15.12.2010" issuePrice="90.5" redemptionPrice="100" nominalAmount="1000" interestRate="0.125" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="62502" deleted="0" paymentDate="15.12.2007" currency="CHF" valueCHF="1.25" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<payment id="62763" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="43445" deleted="0" valorNumber="2369317" isin="XS0238681307" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Novartis" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="28.12.2005" redemptionDate="30.12.2008" issuePrice="94.57" redemptionPrice="100" nominalAmount="68.1" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="65.27"/>
<payment id="62765" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="43456" deleted="0" valorNumber="2370224" isin="CH0023702241" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cp. Notes auf Basket of 10 Stocks" institutionId="4066" institutionIdentifier="Credit Suisse Nassau Branch" country="BS" currency="EUR" issueDate="10.02.2006" redemptionDate="10.02.2010" issuePrice="87.821" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="62792" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="43457" deleted="0" valorNumber="2370225" isin="CH0023702258" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Notes auf Basket of 10 Stocks" institutionId="4066" institutionIdentifier="Credit Suisse Nassau Branch" country="BS" currency="USD" issueDate="10.02.2006" redemptionDate="10.02.2010" issuePrice="82.584" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="108.3"/>
<payment id="62794" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="43488" deleted="0" valorNumber="2371263" isin="XS0238337439" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Basket von 20 Shares" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="EUR" issueDate="03.01.2006" redemptionDate="03.01.2011" issuePrice="90.14" redemptionPrice="100" nominalAmount="1000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="89"/>
<payment id="62870" deleted="0" paymentDate="19.12.2007" currency="EUR" valueCHF="16.61" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43499" deleted="0" valorNumber="2375777" isin="XS0238789175" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Commodity Bonus Income Note" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="CHF" issueDate="19.12.2005" redemptionDate="19.12.2011" earlyRedemptionDate="28.08.2009" issuePrice="87.3" redemptionPrice="100" nominalAmount="100" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="20.69"/>
<payment id="62892" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43504" deleted="0" valorNumber="2377418" isin="CH0023774182" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Dynamic Voncert auf Islamic Blue Chips" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="USD" issueDate="27.12.2005" redemptionDate="29.12.2014" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="162.8"/>
<payment id="62902" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43522" deleted="0" valorNumber="2380697" isin="XS0239089484" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Part. Note auf Commodities Basket" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="USD" issueDate="28.12.2005" redemptionDate="29.12.2008" issuePrice="86.93" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="107.78"/>
<payment id="62940" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43528" deleted="0" valorNumber="2383046" isin="XS0239417834" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf SMI Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="CHF" issueDate="29.12.2005" redemptionDate="29.12.2008" issuePrice="94.48" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1126.61"/>
<payment id="62953" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43532" deleted="0" valorNumber="2383906" isin="XS0239347288" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Roche Holding AG" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="04.01.2006" redemptionDate="04.01.2011" issuePrice="85.254" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.5"/>
<payment id="62960" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43537" deleted="0" valorNumber="2384335" isin="CH0023843359" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="03.01.2006" redemptionDate="04.01.2011" earlyRedemptionDate="03.01.2007" issuePrice="89.646" redemptionPrice="100" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="62970" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="9727" deleted="0">
<text>vorz. R&#252;ckzahlung per 3.1.2007</text>
</legend>
</derivative>
<derivative id="43540" deleted="0" valorNumber="2385074" isin="CH0023850743" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PROPER auf Nachhaltigkeits-Basket Wasser" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="EUR" issueDate="24.01.2006" redemptionDate="23.01.2009" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="232.56"/>
<payment id="62976" deleted="0" paymentDate="22.01.2007" currency="EUR" valueCHF="4.69" withHoldingTax="0" sign="(L)" taxEvent="0"/>
</derivative>
<derivative id="43541" deleted="0" valorNumber="2385139" isin="CH0023851394" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Return Note auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="30.01.2006" redemptionDate="30.01.2009" earlyRedemptionDate="31.01.2007" issuePrice="94.4482" redemptionPrice="100" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="62978" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="9730" deleted="0">
<text>vorz. R&#252;ckzahlung per 31.1.2007</text>
</legend>
</derivative>
<derivative id="43547" deleted="0" valorNumber="2387289" isin="CH0023872895" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf KFX OMX Copenhagen 20 Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="09.01.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="102.95"/>
<payment id="62989" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43548" deleted="0" valorNumber="2387296" isin="CH0023872960" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf ATX Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="09.01.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="74.65"/>
<payment id="62991" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43562" deleted="0" valorNumber="2389302" isin="XS0239778771" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Pendulum auf Stock Basket" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="CHF" issueDate="12.01.2006" redemptionDate="14.01.2008" issuePrice="98.2" redemptionPrice="100" nominalAmount="1000" interestRate="0.75" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="100.08"/>
<payment id="63016" deleted="0" paymentDate="04.01.2007" currency="CHF" valueCHF="7.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43563" deleted="0" valorNumber="2389303" isin="XS0239824393" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus-Cert. auf S&amp;P500 Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="05.01.2006" redemptionDate="22.12.2008" issuePrice="86.5589" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1259.58"/>
<payment id="63018" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43565" deleted="0" valorNumber="2389364" isin="DE000DB51515" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Base Metal Bonus Note" institutionId="598" institutionIdentifier="Deutsche Bank AG" country="DE" currency="USD" issueDate="31.01.2006" redemptionDate="01.02.2010" issuePrice="86.63" redemptionPrice="100" nominalAmount="1000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="126.49"/>
<payment id="63022" deleted="0" paymentDate="31.01.2007" currency="USD" valueCHF="12.47" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43583" deleted="0" valorNumber="2394049" isin="XS0240128834" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Opportunity Note" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="CHF" issueDate="25.10.2006" redemptionDate="10.02.2011" issuePrice="92.65" redemptionPrice="100" nominalAmount="1000" interestRate="3" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="91.97"/>
<payment id="63058" deleted="0" paymentDate="10.02.2007" currency="CHF" valueCHF="30" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43603" deleted="0" valorNumber="2397465" isin="CH0023974659" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Protect Outperf. Cert auf Nikkei 225" institutionId="3339" institutionIdentifier="Sal. Oppenheim jr. &amp; Cie. KGaA" country="DE" currency="EUR" issueDate="17.01.2006" redemptionDate="13.01.2011" earlyRedemptionDate="10.11.2009" issuePrice="85.613" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="148.87"/>
<payment id="63111" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43609" deleted="0" valorNumber="2397661" isin="XS0240353440" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Soci&#233;t&#233; g&#233;n&#233;rale" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="19.01.2006" redemptionDate="19.01.2011" issuePrice="86.838" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.65"/>
<payment id="63123" deleted="0" paymentDate="19.01.2007" currency="EUR" valueCHF="4.04" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43610" deleted="0" valorNumber="2397672" isin="XS0240359991" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Vivendi Universal SA" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="19.01.2006" redemptionDate="19.01.2011" issuePrice="86.838" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="63125" deleted="0" paymentDate="19.01.2007" currency="EUR" valueCHF="4.04" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="43625" deleted="0" valorNumber="2397863" isin="XS0240381060" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Nokia OYJ" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="19.01.2006" redemptionDate="19.01.2011" issuePrice="86.838" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="140.8"/>
<payment id="63154" deleted="0" paymentDate="19.01.2007" currency="EUR" valueCHF="4.04" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43646" deleted="0" valorNumber="2399110" isin="GB00B0WCC850" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf der Unze Silber" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="16.01.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="16.64"/>
<payment id="63193" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43648" deleted="0" valorNumber="2399113" isin="GB00B0WCCB84" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf der Unze Platin" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="16.01.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="174.35"/>
<payment id="63197" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43649" deleted="0" valorNumber="2399115" isin="GB00B0WCCC91" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf der Unze Gold" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="16.01.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="93.85"/>
<payment id="63199" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43654" deleted="0" valorNumber="2399412" isin="CH0023994129" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Return Note auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="27.01.2006" redemptionDate="27.01.2009" earlyRedemptionDate="30.01.2007" issuePrice="91.169" redemptionPrice="100" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="63209" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="9774" deleted="0">
<text>vorz. R&#252;ckzahlung per 30.1.2007</text>
</legend>
</derivative>
<derivative id="43655" deleted="0" valorNumber="2399413" isin="CH0023994137" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Return Note auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="27.01.2006" redemptionDate="27.01.2009" earlyRedemptionDate="30.01.2007" issuePrice="87.079" redemptionPrice="100" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="63211" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="9777" deleted="0">
<text>vorz. R&#252;ckzahlung per 30.1.2007</text>
</legend>
</derivative>
<derivative id="43659" deleted="0" valorNumber="2399715" isin="XS0240495746" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Novartis AG" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="24.01.2006" redemptionDate="24.01.2011" issuePrice="86.838" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="92.3"/>
<payment id="63224" deleted="0" paymentDate="24.01.2007" currency="EUR" valueCHF="4.04" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="43680" deleted="0" valorNumber="2400269" isin="GB00B0WCK929" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. on GSCI Non-Energy Excess Return Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="31.01.2006" redemptionDate="27.01.2010" earlyRedemptionDate="13.01.2009" issuePrice="82.54" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="130.98"/>
<payment id="63264" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43686" deleted="0" valorNumber="2400275" isin="GB00B0WCKK34" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf GSCI Petroleum Excess Return Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="31.01.2006" redemptionDate="28.01.2013" earlyRedemptionDate="13.01.2009" issuePrice="71.18" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="113.1"/>
<payment id="63276" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43689" deleted="0" valorNumber="2400278" isin="GB00B0WCKN64" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf GSCI GasOil Excess Return Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="31.01.2006" redemptionDate="28.01.2013" earlyRedemptionDate="13.01.2009" issuePrice="71.18" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="122.04"/>
<payment id="63282" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43725" deleted="0" valorNumber="2401823" isin="CH0024018233" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf S&amp;P Custom Metal &amp; Mining Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="USD" issueDate="10.02.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="205.82"/>
<payment id="63352" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43727" deleted="0" valorNumber="2401843" isin="CH0024018431" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf S&amp;P Custom Metal &amp; Mining Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="10.02.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="158"/>
<payment id="63356" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43734" deleted="0" valorNumber="2402116" isin="XS0240694942" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Notes auf Basket von Indices und ADRs" institutionId="5593" institutionIdentifier="Morgan Stanley" country="US" currency="USD" issueDate="31.01.2006" redemptionDate="31.01.2011" issuePrice="79.08" redemptionPrice="100" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="109.25"/>
<payment id="63374" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="43736" deleted="0" valorNumber="2402218" isin="CH0024022185" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf DJ Euro Stoxx 50 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="30.01.2006" redemptionDate="30.01.2009" issuePrice="86.863" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="112.5"/>
<payment id="63378" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="43740" deleted="0" valorNumber="2402368" isin="CH0024023688" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PROPER auf Emerging Market Telecom Basket" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="USD" issueDate="18.01.2006" redemptionDate="18.01.2008" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
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<payment id="63386" deleted="0" paymentDate="16.01.2007" currency="USD" valueCHF="2.34" withHoldingTax="0" sign="(L)" taxEvent="0"/>
</derivative>
<derivative id="43752" deleted="0" valorNumber="2403126" isin="CH0024031269" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PROPER auf US Pharma Basket" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="USD" issueDate="13.01.2006" redemptionDate="18.01.2008" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="114.91"/>
<payment id="63410" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<payment id="64735" deleted="0" paymentDate="31.03.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44458" deleted="0" valorNumber="2460106" isin="DE000GS0F7T3" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Power Cert. auf GSCI Agricultural Excess Return Index" institutionId="5520" institutionIdentifier="Goldman, Sachs &amp; Co. Wertpapier GmbH" country="DE" currency="EUR" issueDate="21.02.2006" redemptionDate="17.02.2012" issuePrice="81.7763" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="189.79"/>
<payment id="64748" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44460" deleted="0" valorNumber="2460211" isin="XS0245784292" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Opportunity Note in CHF" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="CHF" issueDate="29.03.2006" redemptionDate="29.03.2011" issuePrice="91.89" redemptionPrice="100" nominalAmount="1000" interestRate="3.25" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="94.28"/>
<payment id="64752" deleted="0" paymentDate="29.03.2007" currency="CHF" valueCHF="32.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="44471" deleted="0" valorNumber="2462329" isin="CH0024623297" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf MSCI Taiwan Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="03.04.2006" redemptionDate="03.04.2009" issuePrice="86.211" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1365.36"/>
<payment id="64772" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44504" deleted="0" valorNumber="2465114" isin="XS0246283617" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Coupon Note auf Commodity Basket" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="24.03.2006" redemptionDate="24.03.2009" issuePrice="91.31" redemptionPrice="100" nominalAmount="1000" interestRate="2" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="106.64"/>
<payment id="64830" deleted="0" paymentDate="24.03.2007" currency="USD" valueCHF="24.28" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="44511" deleted="0" valorNumber="2465652" isin="CH0024656529" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Groi Mini-Max Coupon Units auf International Index Basket" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="08.03.2006" redemptionDate="08.03.2013" issuePrice="82.208" redemptionPrice="100" nominalAmount="1000" interestRate="2" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="103.12"/>
<payment id="64844" deleted="0" paymentDate="08.03.2007" currency="USD" valueCHF="24.57" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="44517" deleted="0" valorNumber="2466600" isin="CH0024666007" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Commodity Return Note auf WTI Light Sweet Crude Oil" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="24.03.2006" redemptionDate="24.04.2007" issuePrice="96.726" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="64855" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44521" deleted="0" valorNumber="2466683" isin="CH0024666833" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf DJ Euro Stoxx 50 Return Index" institutionId="170" institutionIdentifier="Banca del Gottardo" country="CH" currency="EUR" issueDate="01.03.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="1054.39"/>
<payment id="64863" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="44530" deleted="0" valorNumber="2467033" isin="CH0024670330" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf BUX Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="07.03.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="16.96"/>
<payment id="64876" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44531" deleted="0" valorNumber="2467038" isin="CH0024670389" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf CECE Composite Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="07.03.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="46.09"/>
<payment id="64878" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="44532" deleted="0" valorNumber="2467042" isin="CH0024670421" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf DX-D Index" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="07.03.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="28.55"/>
<payment id="64880" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="44537" deleted="0" valorNumber="2467124" isin="CH0024671247" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Early Redeemable MultiChance Cert. Plus auf Asian Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="31.03.2006" redemptionDate="31.03.2010" earlyRedemptionDate="31.03.2007" issuePrice="82.082" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="0"/>
<payment id="64890" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10360" deleted="0">
<text>vorz. R&#252;ckzahlung per 31.3.2007</text>
</legend>
</derivative>
<derivative id="44538" deleted="1" valorNumber="2467439" isin="XS0246560394" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf FTSE/Xinhua 25 Index" institutionId="4565" institutionIdentifier="Allegro Investment Corporation S.A." country="LU" currency="HKD" issueDate="10.03.2006" redemptionDate="25.08.2008" issuePrice="83.36" redemptionPrice="85" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="195.02"/>
<payment id="64892" deleted="0" paymentDate="05.01.2007" currency="HKD" valueCHF="16.28" withHoldingTax="0" taxEvent="0" coupon="02"/>
<payment id="64893" deleted="0" paymentDate="30.10.2007" currency="HKD" valueCHF="15.35" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="44541" deleted="0" valorNumber="2467856" isin="XS0246216344" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Swiss Top Ten Garantieperformer auf Voralb. Landes+ Hypobank" institutionId="2312" institutionIdentifier="Vorarlberger Landes- und Hypothekenbank AG" country="AT" currency="CHF" issueDate="21.04.2006" redemptionDate="21.04.2016" issuePrice="76.47" redemptionPrice="100" nominalAmount="2000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.5"/>
<payment id="64898" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10361" deleted="0">
<text>auf Voralb. Landes- + Hypobank</text>
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<derivative id="44549" deleted="0" valorNumber="2468533" isin="CH0024685338" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf A&amp;Q Alternative Solution Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="USD" issueDate="28.04.2006" redemptionDate="28.06.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1335.24"/>
<payment id="64913" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44550" deleted="0" valorNumber="2468590" isin="CH0024685908" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf A&amp;Q Alternative Solution Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="28.04.2006" redemptionDate="28.06.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1119.7"/>
<payment id="64915" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44551" deleted="0" valorNumber="2468599" isin="CH0024685999" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf A&amp;Q Alternative Solution Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="28.04.2006" redemptionDate="28.06.2013" issuePrice="100" redemptionPrice="100" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1891.61"/>
<payment id="64917" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44557" deleted="0" valorNumber="2468768" isin="XS0246608771" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond on FTSE Xinhua 25 Index" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="22.03.2006" redemptionDate="22.03.2010" issuePrice="84.01" redemptionPrice="100" nominalAmount="2000" interestRate="0.75" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="200.3"/>
<payment id="64928" deleted="0" paymentDate="22.03.2007" currency="USD" valueCHF="18.17" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="44566" deleted="0" valorNumber="2469289" isin="CH0024692896" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PIP auf DJ Euro Stoxx 50 Index" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="GBP" issueDate="23.03.2006" redemptionDate="23.03.2009" issuePrice="87.128" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="111.05"/>
<payment id="64944" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44572" deleted="0" valorNumber="2470449" isin="GB00B11LH189" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf S&amp;P 500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="06.04.2006" redemptionDate="06.04.2010" issuePrice="81.659" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1286.11"/>
<payment id="64956" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44573" deleted="0" valorNumber="2470452" isin="GB00B11LG116" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf FTSE 100 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="30.03.2006" redemptionDate="30.03.2009" issuePrice="86.83" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2530.77"/>
<payment id="64958" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44574" deleted="0" valorNumber="2470464" isin="CH0024704642" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf Basket of Commodities" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="19.04.2006" redemptionDate="19.04.2011" issuePrice="83" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="99.89"/>
<payment id="64960" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44575" deleted="0" valorNumber="2470465" isin="GB00B11JRS90" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Roche Holding AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="21.03.2006" redemptionDate="23.03.2009" issuePrice="93.672" redemptionPrice="100" nominalAmount="200" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="64962" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44576" deleted="0" valorNumber="2470466" isin="GB00B11Y7W84" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="20.04.2006" redemptionDate="20.04.2010" issuePrice="91.0206" redemptionPrice="100" nominalAmount="7976.57" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="64964" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44577" deleted="0" valorNumber="2470467" isin="CH0024704675" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Return Note auf Basket von 4 Global Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="24.04.2006" redemptionDate="24.04.2009" earlyRedemptionDate="20.04.2007" issuePrice="89.845" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="64966" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10382" deleted="0">
<text>vorz. R&#252;ckzahlung per 20.4.2007</text>
</legend>
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<derivative id="44579" deleted="0" valorNumber="2470472" isin="GB00B11W6036" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ EuroStoxx 50E Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="24.03.2006" redemptionDate="24.03.2011" issuePrice="83.6099" redemptionPrice="100" nominalAmount="3832.43" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="7153.36"/>
<payment id="64970" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44580" deleted="0" valorNumber="2470473" isin="GB00B11RZ451" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ EuroStoxx 50E Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="24.03.2006" redemptionDate="24.03.2011" issuePrice="77.9472" redemptionPrice="100" nominalAmount="3832.43" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="5223.23"/>
<payment id="64972" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44581" deleted="0" valorNumber="2470487" isin="GB00B125MS10" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="05.05.2006" redemptionDate="05.05.2009" issuePrice="89.816" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="64974" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44582" deleted="0" valorNumber="2470492" isin="GB00B1275999" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="13.04.2006" redemptionDate="13.04.2011" issuePrice="77.426" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1073.49"/>
<payment id="64976" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44583" deleted="0" valorNumber="2470494" isin="GB00B12G3J23" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf GSCI US Agriculture ER Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="05.05.2006" redemptionDate="05.05.2009" issuePrice="89.562" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2082.88"/>
<payment id="64978" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44584" deleted="0" valorNumber="2470495" isin="CH0024704956" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf GSCI US Agriculture ER Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="05.05.2006" redemptionDate="05.05.2009" issuePrice="85.538" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="112.14"/>
<payment id="64980" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44585" deleted="0" valorNumber="2470499" isin="GB00B1297449" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Basket of BRIC Funds and Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="09.05.2006" redemptionDate="09.05.2011" issuePrice="83.1397" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2015.56"/>
<payment id="64982" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44586" deleted="0" valorNumber="2470500" isin="GB00B1297779" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Basket of BRIC Funds and Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="09.05.2006" redemptionDate="09.05.2011" issuePrice="76.81" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="64984" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44589" deleted="0" valorNumber="2470513" isin="CH0024705136" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf DAX Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="12.05.2006" redemptionDate="12.05.2010" issuePrice="86.042" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="64989" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44592" deleted="0" valorNumber="2470530" isin="GB00B131CX33" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf FTSE 100 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="26.04.2006" redemptionDate="26.10.2009" issuePrice="84.499" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2442.81"/>
<payment id="64994" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44595" deleted="0" valorNumber="2470536" isin="GB00B136LQ44" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="24.05.2006" redemptionDate="25.05.2010" issuePrice="90.6658" redemptionPrice="100" nominalAmount="7658.52" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="65000" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44596" deleted="0" valorNumber="2470537" isin="GB00B137WB96" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="04.05.2006" redemptionDate="04.11.2009" issuePrice="88.089" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1557.65"/>
<payment id="65002" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="44599" deleted="0" valorNumber="2470545" isin="GB00B14PYX85" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf S&amp;P 500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="12.05.2006" redemptionDate="12.05.2009" issuePrice="85.3797" redemptionPrice="100" nominalAmount="1325.76" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1663.69"/>
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</derivative>
<derivative id="45049" deleted="0" valorNumber="2516551" isin="CH0025165512" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Swiss Click Income auf Basket of 30 Shares" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="CHF" issueDate="26.05.2006" redemptionDate="27.05.2013" issuePrice="86.967" redemptionPrice="100" nominalAmount="100" interestRate="2.56" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="80.31"/>
<payment id="65861" deleted="0" paymentDate="27.05.2007" currency="CHF" valueCHF="2.56" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45050" deleted="0" valorNumber="2516660" isin="XS0250873485" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Nikkei 225 Index" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="13.04.2006" redemptionDate="13.04.2011" issuePrice="74.69" redemptionPrice="90" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="86.86"/>
<payment id="65863" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45062" deleted="0" valorNumber="2518140" isin="GB00B12GM732" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Zert. auf General Electric Company" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="13.04.2006" redemptionDate="19.04.2010" issuePrice="89.608" redemptionPrice="100" nominalAmount="100" interestRate="2.5" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="122.04"/>
<payment id="65880" deleted="0" paymentDate="13.04.2007" currency="USD" valueCHF="3.03" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45073" deleted="0" valorNumber="2520649" isin="XS0251180906" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Basket von 20 Shares" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="12.05.2006" redemptionDate="12.05.2011" issuePrice="92.4" redemptionPrice="100" nominalAmount="1000" interestRate="5" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="86.86"/>
<payment id="65902" deleted="0" paymentDate="12.05.2007" currency="CHF" valueCHF="50" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45077" deleted="0" valorNumber="2521338" isin="GB00B12LQK94" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf einen Equity &amp; Commodity Basket" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="EUR" issueDate="13.04.2006" redemptionDate="14.04.2011" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="185.71"/>
<payment id="65914" deleted="0" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45079" deleted="0" valorNumber="2521660" isin="CH0025216604" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bearish PIP auf Basket of Indices" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="05.05.2006" redemptionDate="05.05.2011" issuePrice="86.91" redemptionPrice="100" nominalAmount="1000" interestRate="2.3" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.63"/>
<payment id="65918" deleted="0" paymentDate="05.05.2007" currency="USD" valueCHF="27.81" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45080" deleted="0" valorNumber="2521661" isin="CH0025216612" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bearish PIP auf Basket of Indices" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="05.05.2006" redemptionDate="05.05.2011" issuePrice="86.337" redemptionPrice="100" nominalAmount="1000" interestRate="0.75" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="92.9"/>
<payment id="65920" deleted="0" paymentDate="05.05.2007" currency="EUR" valueCHF="12.35" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45101" deleted="0" valorNumber="2525282" isin="CH0025252823" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. auf DJ Euro Stoxx 50 Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="19.05.2006" redemptionDate="19.05.2009" issuePrice="89.52" redemptionPrice="100" nominalAmount="37.5" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="71.67"/>
<payment id="65959" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45106" deleted="0" valorNumber="2525924" isin="CH0025259240" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf Nikkei 225 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="26.04.2006" redemptionDate="26.04.2010" issuePrice="93.715" redemptionPrice="100" nominalAmount="1000" interestRate="2" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.6"/>
<payment id="65968" deleted="0" paymentDate="26.04.2007" currency="EUR" valueCHF="32.86" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45148" deleted="0" valorNumber="2528581" isin="CH0025285815" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="GROI auf Basket of 20 Intern. Stocks" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="24.05.2006" redemptionDate="24.05.2012" issuePrice="90.184" redemptionPrice="100" nominalAmount="5000" interestRate="1" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.72"/>
<payment id="66051" deleted="0" paymentDate="24.05.2007" currency="CHF" valueCHF="50" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45155" deleted="0" valorNumber="2528810" isin="DE000UB8YMF9" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf UBS Alpha Select Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="CHF" issueDate="28.04.2006" redemptionDate="28.03.2011" earlyRedemptionDate="30.09.2008" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="104.91"/>
<payment id="66062" deleted="0" paymentDate="01.01.2007" currency="CHF" valueCHF="0.068" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45156" deleted="0" valorNumber="2528817" isin="DE000UB8YME2" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf UBS Alpha Select Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="USD" issueDate="28.04.2006" redemptionDate="28.03.2011" earlyRedemptionDate="30.09.2008" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="125.21"/>
<payment id="66064" deleted="0" paymentDate="01.01.2007" currency="USD" valueCurrency="0.073" valueCHF="0.088" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45157" deleted="0" valorNumber="2528820" isin="DE000UB8N6U2" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf UBS Alpha Select Index" institutionId="3131" institutionIdentifier="UBS Deutschland AG" country="DE" currency="EUR" issueDate="28.04.2006" redemptionDate="28.03.2011" earlyRedemptionDate="30.12.2008" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="177.47"/>
<payment id="66066" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="0.07" valueCHF="0.112" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45174" deleted="0" valorNumber="2531498" isin="FR0108702392" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="BMTN auf Iris Performance" institutionId="3844" institutionIdentifier="BNP Paribas SA" country="FR" currency="EUR" issueDate="21.04.2006" redemptionDate="21.04.2009" issuePrice="80.592" redemptionPrice="90" nominalAmount="150000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="85.1"/>
<payment id="66096" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45179" deleted="0" valorNumber="2532423" isin="XS0252092811" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Autocall Structure auf DJ Euro Stoxx 50" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="27.04.2006" redemptionDate="27.04.2009" issuePrice="89.54" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="110.56"/>
<payment id="66104" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45180" deleted="0" valorNumber="2532567" isin="NL0000685287" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Wegelin Portable Alpha" institutionId="3333" institutionIdentifier="Morgan Stanley B.V." country="US" currency="CHF" issueDate="16.05.2006" redemptionDate="17.05.2011" nominalAmount="1000" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="785.8"/>
<payment id="66105" deleted="0" paymentDate="31.12.2007" currency="CHF" valueCHF="25.74" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45190" deleted="0" valorNumber="2534566" isin="CH0025345668" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf LPX Private Equity" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="17.05.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="97.6"/>
<payment id="66122" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45193" deleted="0" valorNumber="2534934" isin="CH0025349348" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="26.04.2006" redemptionDate="28.04.2008" earlyRedemptionDate="26.04.2007" issuePrice="93.315" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="66127" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10705" deleted="0">
<text>vorz. R&#252;ckzahlung per 26.4.2007</text>
</legend>
</derivative>
<derivative id="45203" deleted="0" valorNumber="2536259" isin="XS0252450753" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Basket of Indices" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="EUR" issueDate="15.05.2006" redemptionDate="15.05.2008" earlyRedemptionDate="22.05.2007" issuePrice="92.865" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="66147" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10714" deleted="0">
<text>vorz. R&#252;ckzahlung per 22.5.2007</text>
</legend>
</derivative>
<derivative id="45210" deleted="0" valorNumber="2537476" isin="CH0025374767" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. auf den Thailand SET 50 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="05.05.2006" redemptionDate="05.05.2009" issuePrice="85.623" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1368.76"/>
<payment id="66165" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45214" deleted="0" valorNumber="2538355" isin="GB00B139DS98" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. auf MSCI World Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="CHF" issueDate="19.05.2006" redemptionDate="14.05.2012" issuePrice="84.026" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="103.8"/>
<payment id="66171" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45240" deleted="0" valorNumber="2541689" isin="CH0025416899" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Serono AG" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="22.05.2006" redemptionDate="22.05.2009" earlyRedemptionDate="06.05.2009" issuePrice="93.32" redemptionPrice="100" nominalAmount="5000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="99"/>
<payment id="66221" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45251" deleted="0" valorNumber="2542242" isin="GB00B13TC825" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. auf GSCI Agriculture Total Return Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="09.05.2006" redemptionDate="10.05.2011" issuePrice="82.462" redemptionPrice="100" nominalAmount="1022.5" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1995.42"/>
<payment id="66238" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45252" deleted="0" valorNumber="2542243" isin="GB00B14L8X42" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="01.06.2006" redemptionDate="01.06.2010" issuePrice="86.075" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1519.51"/>
<payment id="66240" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45253" deleted="0" valorNumber="2542244" isin="GB00B14L9Y24" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="02.06.2006" redemptionDate="02.06.2009" issuePrice="85.329" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1101.57"/>
<payment id="66242" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45256" deleted="0" valorNumber="2542248" isin="GB00B15GNP54" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ AIG Commodity Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="06.06.2006" redemptionDate="06.06.2011" issuePrice="87.451" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="956.48"/>
<payment id="66246" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45257" deleted="0" valorNumber="2542253" isin="GB00B14NH338" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. auf Swiss Re" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="12.06.2006" redemptionDate="15.06.2009" issuePrice="93.05" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="925"/>
<payment id="66248" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45261" deleted="0" valorNumber="2542258" isin="GB00B15FX304" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf UBS AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="29.05.2006" redemptionDate="29.05.2009" issuePrice="93.051" redemptionPrice="100" nominalAmount="133.4" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="96.59"/>
<payment id="66255" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45263" deleted="0" valorNumber="2542266" isin="CH0025422665" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU Plus auf Basket of BRIC Funds and Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="22.05.2006" redemptionDate="21.05.2010" issuePrice="80.814" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="119.82"/>
<payment id="66258" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45264" deleted="0" valorNumber="2542269" isin="GB00B14ZS149" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="26.05.2006" redemptionDate="26.05.2011" issuePrice="76.513" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1070.02"/>
<payment id="66260" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45265" deleted="0" valorNumber="2542274" isin="CH0025422749" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf S&amp;P500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="26.05.2006" redemptionDate="26.05.2009" issuePrice="81.058" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="115.38"/>
<payment id="66262" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45267" deleted="0" valorNumber="2542278" isin="CH0025422780" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf Basket of Commodities and Commodity Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="26.05.2006" redemptionDate="29.07.2010" issuePrice="80.936" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="119.54"/>
<payment id="66265" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45268" deleted="0" valorNumber="2542279" isin="CH0025422798" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf CECEEUR Index und RDX Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="16.06.2006" redemptionDate="16.06.2011" issuePrice="82.43" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.61"/>
<payment id="66267" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45271" deleted="0" valorNumber="2542290" isin="GB00B15CTS83" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="22.06.2006" redemptionDate="22.06.2010" issuePrice="90.3832" redemptionPrice="100" nominalAmount="7324.4" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="8223.45"/>
<payment id="66272" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45272" deleted="0" valorNumber="2542291" isin="CH0025422913" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Metal Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="01.06.2006" redemptionDate="02.06.2009" issuePrice="85.501" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="104.28"/>
<payment id="66273" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45273" deleted="0" valorNumber="2542294" isin="CH0025422947" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Callable Return Note auf Basket of 4 Global Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="GBP" issueDate="23.06.2006" redemptionDate="23.06.2009" earlyRedemptionDate="25.06.2007" issuePrice="86.299" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="66275" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="10766" deleted="0">
<text>vorz. R&#252;ckzahlung per 25.6.2007</text>
</legend>
</derivative>
<derivative id="45277" deleted="0" valorNumber="2542308" isin="CH0025423085" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="30.06.2006" redemptionDate="30.06.2009" issuePrice="84.782" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="114.85"/>
<payment id="66282" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45278" deleted="0" valorNumber="2542309" isin="CH0025423093" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="30.06.2006" redemptionDate="30.06.2009" issuePrice="89.244" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="106.93"/>
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<derivative id="45648" deleted="0" valorNumber="2570822" isin="XS0255728668" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Notes auf GSPM-ER Index" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="USD" issueDate="01.06.2006" redemptionDate="01.06.2009" issuePrice="77.07" redemptionPrice="90" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="66977" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45667" deleted="0" valorNumber="2572462" isin="GG00B1P8BL34" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Switzerland cell" institutionId="6705" institutionIdentifier="Realis PCC Ltd." country="GG" currency="CHF" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="106.5"/>
<payment id="67011" deleted="0" paymentDate="31.03.2007" currency="CHF" valueCHF="1.38" withHoldingTax="0" taxEvent="1"/>
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<derivative id="45691" deleted="0" valorNumber="2576223" isin="CH0025762235" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cp Note auf Basket of 20 Shares" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="CHF" issueDate="15.06.2006" redemptionDate="09.06.2011" issuePrice="94.26" redemptionPrice="100" nominalAmount="1000" interestRate="1.5" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.64"/>
<payment id="67060" deleted="0" paymentDate="15.06.2007" currency="CHF" valueCHF="15" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="45718" deleted="0" valorNumber="2577629" isin="XS0256176578" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Securities auf Toyota" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="30.05.2006" redemptionDate="30.05.2011" issuePrice="85.242" redemptionPrice="100" nominalAmount="1000" interestRate="0.5" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="67100" deleted="0" paymentDate="30.05.2007" currency="EUR" valueCHF="8.22" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="45724" deleted="0" valorNumber="2578067" isin="CH0025780674" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf CS Healthy Living Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="20.07.2006" redemptionDate="20.07.2009" issuePrice="92.616" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="67110" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45725" deleted="0" valorNumber="2578068" isin="CH0025780682" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf CS Healthy Living Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="20.07.2006" redemptionDate="20.07.2009" issuePrice="89.028" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1638.69"/>
<payment id="67112" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45726" deleted="0" valorNumber="2578069" isin="CH0025780690" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf CS Healthy Living Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="20.07.2006" redemptionDate="20.07.2009" issuePrice="84.823" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1205.73"/>
<payment id="67114" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45727" deleted="0" valorNumber="2578113" isin="CH0025781136" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Dynamic Voncert auf Best of Bric Funds" institutionId="2291" institutionIdentifier="Bank Vontobel Cayman" country="KY" currency="USD" issueDate="29.06.2006" issuePrice="100" redemptionPrice="100" nominalAmount="100" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="247.48"/>
<payment id="67116" deleted="0" paymentDate="01.06.2007" currency="USD" valueCurrency="5.34" valueCHF="6.57" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45744" deleted="0" valorNumber="2581129" isin="XS0256425033" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Autocall Structure auf SX5E" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="07.06.2006" redemptionDate="08.06.2009" issuePrice="89.47" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="107.07"/>
<payment id="67148" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45759" deleted="0" valorNumber="2582552" isin="CH0025825529" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="JPY" issueDate="14.06.2006" redemptionDate="14.06.2011" earlyRedemptionDate="14.06.2007" issuePrice="92.689" redemptionPrice="100" nominalAmount="100000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="67171" deleted="0" currency="JPY" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11056" deleted="0">
<text>vorz. R&#252;ckzahlung per 14.6.2007</text>
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<derivative id="45764" deleted="0" valorNumber="2583625" isin="DE000DR86GH4" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="MBBC auf GE-IBM-MO" institutionId="415" institutionIdentifier="Commerzbank AG" country="DE" currency="USD" issueDate="26.05.2006" redemptionDate="26.05.2009" issuePrice="85.355" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="124.73"/>
<payment id="67181" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45774" deleted="0" valorNumber="2585188" isin="DE000GS0NFF2" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf DJ EuroStoxx Select Div. 30" institutionId="5520" institutionIdentifier="Goldman, Sachs &amp; Co. Wertpapier GmbH" country="DE" currency="EUR" issueDate="05.07.2006" redemptionDate="04.07.2011" issuePrice="91.79" redemptionPrice="112" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="67199" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45790" deleted="0" valorNumber="2586965" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Rev. Bonus-Cert. auf DJ Euro Stoxx 50 Return Index" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="EUR" issueDate="15.06.2006" redemptionDate="12.12.2008" issuePrice="91.27" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1189.62"/>
<payment id="67246" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45810" deleted="0" valorNumber="2589928" isin="CH0025899284" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bear Cert. Plus auf DAX" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="03.07.2006" redemptionDate="03.07.2009" issuePrice="89.105" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="658.78"/>
<payment id="67286" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45848" deleted="0" valorNumber="2594423" isin="CH0025944239" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="14.07.2006" redemptionDate="14.07.2009" earlyRedemptionDate="16.07.2007" issuePrice="89.131" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="67360" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11107" deleted="0">
<text>vorz. R&#252;ckzahlung per 16.7.2007</text>
</legend>
</derivative>
<derivative id="45912" deleted="1" valorNumber="2601698" isin="CH0026016987" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ARN auf Basket von 20 int. Stocks" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="USD" issueDate="26.06.2006" redemptionDate="26.06.2008" issuePrice="96.114" redemptionPrice="100" nominalAmount="5000" interestRate="3.5" interestType="VAR" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.65"/>
<payment id="67471" deleted="0" paymentDate="26.06.2007" currency="USD" valueCHF="214.92" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="45919" deleted="1" valorNumber="2602313" isin="GB00B17Q3647" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Gold &amp; Silber" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="30.06.2006" redemptionDate="30.06.2011" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="893.87"/>
<payment id="67489" deleted="0" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45921" deleted="0" valorNumber="2602318" isin="GB00B17SYL26" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="07.07.2006" redemptionDate="07.07.2009" issuePrice="89.167" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2157.18"/>
<payment id="67493" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45928" deleted="0" valorNumber="2602336" isin="GB00B19FM176" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="04.08.2006" redemptionDate="04.08.2009" issuePrice="89.3888" redemptionPrice="100" nominalAmount="3710.6" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="7152.23"/>
<payment id="67504" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45931" deleted="0" valorNumber="2602342" isin="GB00B18Y1V86" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="JPY" issueDate="14.07.2006" redemptionDate="14.07.2009" issuePrice="96.3133" redemptionPrice="100" nominalAmount="100000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="995.22"/>
<payment id="67510" deleted="0" currency="JPY" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45933" deleted="0" valorNumber="2602344" isin="CH0026023447" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Basket of WTI Oil Crude Future and Gold" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="25.07.2006" redemptionDate="27.07.2009" issuePrice="84.896" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="115.3"/>
<payment id="67514" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45938" deleted="0" valorNumber="2602355" isin="GB00B19HXS70" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="18.08.2006" redemptionDate="18.08.2010" issuePrice="90.1193" redemptionPrice="100" nominalAmount="7858.57" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="8273.06"/>
<payment id="67524" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45939" deleted="0" valorNumber="2602358" isin="CH0026023587" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="31.07.2006" redemptionDate="31.07.2009" issuePrice="84.846" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="116.53"/>
<payment id="67526" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45941" deleted="0" valorNumber="2602360" isin="GB00B19DGX11" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="JPY" issueDate="25.07.2006" redemptionDate="28.07.2009" issuePrice="96.7139" redemptionPrice="100" nominalAmount="100000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1063.17"/>
<payment id="67530" deleted="0" currency="JPY" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45945" deleted="0" valorNumber="2602366" isin="GB00B19HWT13" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Zurich Financial Services AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="21.08.2006" redemptionDate="21.08.2009" issuePrice="92.656" redemptionPrice="100" nominalAmount="282" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="333.7"/>
<payment id="67536" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45946" deleted="0" valorNumber="2602367" isin="GB00B19HN105" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="31.07.2006" redemptionDate="31.07.2009" issuePrice="92.819" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="997.48"/>
<payment id="67538" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45947" deleted="0" valorNumber="2602368" isin="CH0026023686" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Basket of 4 Global Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="24.08.2006" redemptionDate="24.08.2009" issuePrice="85.696" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.12"/>
<payment id="67540" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45948" deleted="0" valorNumber="2602376" isin="GB00B19PR125" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf IShares MSCI Emerging Market Index Fund" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="10.08.2006" redemptionDate="10.08.2009" issuePrice="85.2098" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1771.83"/>
<payment id="67542" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45950" deleted="0" valorNumber="2602382" isin="GB00B19ZKH92" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nokia OYJ" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="28.08.2006" redemptionDate="28.08.2009" issuePrice="89.199" redemptionPrice="100" nominalAmount="16.48" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="43"/>
<payment id="67545" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="45953" deleted="0" valorNumber="2602393" isin="CH0026023934" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="TARN Worst of auf Basket of Shares" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="17.08.2006" redemptionDate="17.08.2009" issuePrice="92.711" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="74.54"/>
<payment id="67551" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45954" deleted="0" valorNumber="2602396" isin="CH0026023967" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Allianz, BMW, RWE" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="01.09.2006" redemptionDate="01.09.2009" issuePrice="89.533" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="104.43"/>
<payment id="67552" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45956" deleted="0" valorNumber="2602409" isin="GB00B1BRLD62" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf FTSE 100 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="29.08.2006" redemptionDate="28.08.2009" issuePrice="85.721" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2489.44"/>
<payment id="67555" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45958" deleted="0" valorNumber="2602414" isin="GB00B1BVF145" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert Plus auf Credit Suisse Group" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="12.09.2006" redemptionDate="11.09.2009" issuePrice="93.1326" redemptionPrice="100" nominalAmount="69.75" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="69.33"/>
<payment id="67559" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45959" deleted="0" valorNumber="2602419" isin="GB00B1C70721" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Market Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="19.09.2006" redemptionDate="17.09.2010" issuePrice="90.4537" redemptionPrice="100" nominalAmount="8195.14" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="67561" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45960" deleted="0" valorNumber="2602425" isin="GB00B1C3YJ05" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf RWE AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="07.09.2006" redemptionDate="07.09.2009" issuePrice="89.5443" redemptionPrice="100" nominalAmount="71.54" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="156.17"/>
<payment id="67563" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45962" deleted="0" valorNumber="2602436" isin="GB00B1CLYS32" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Hang Seng China Enterprises Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="15.09.2006" redemptionDate="15.09.2009" issuePrice="85.941" redemptionPrice="100" nominalAmount="6953" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="17211.66"/>
<payment id="67567" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45964" deleted="0" valorNumber="2602440" isin="GB00B1CQN816" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="22.09.2006" redemptionDate="22.09.2009" issuePrice="89.2338" redemptionPrice="100" nominalAmount="3812.11" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="67571" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="45965" deleted="0" valorNumber="2602441" isin="GB00B1D3BC15" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf GSCI US Agriculture ER Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="06.10.2006" redemptionDate="06.10.2009" issuePrice="86.359" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="68951" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46646" deleted="0" valorNumber="2689388" isin="GB00B1D3SC08" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Certificate auf the CAC40 Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="CHF" issueDate="07.09.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="93.5"/>
<payment id="68953" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46652" deleted="0" valorNumber="2690535" isin="CH0026905353" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Convertible Notes" institutionId="6049" institutionIdentifier="Japan Asia Investment Company, Limited" country="JP" currency="JPY" issueDate="26.09.2006" redemptionDate="26.09.2011" issuePrice="84.4" redemptionPrice="100" nominalAmount="1000000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="105.25"/>
<payment id="68966" deleted="0" currency="JPY" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46660" deleted="0" valorNumber="2691107" isin="CH0026911070" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Alcoa Inc." institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="28.09.2006" redemptionDate="28.09.2009" issuePrice="86.31" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="46664" deleted="0" valorNumber="2692146" isin="CH0026921467" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Enhanced Return Notes auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="29.09.2006" redemptionDate="29.09.2009" earlyRedemptionDate="28.09.2007" issuePrice="89.5179" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="68993" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11483" deleted="0">
<text>vorz. R&#252;ckzahlung per 28.9.2007</text>
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<derivative id="46665" deleted="0" valorNumber="2692151" isin="CH0026921517" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Strategy Zertifikat auf Global Equity Indices" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="08.09.2006" redemptionDate="01.09.2009" issuePrice="100" redemptionPrice="100" nominalAmount="250" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="499.12"/>
<payment id="68994" deleted="0" paymentDate="01.01.2007" currency="EUR" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<taxValue quotationType="PERCENT" yearEndPrice="101.48"/>
<payment id="69042" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46693" deleted="0" valorNumber="2693900" isin="XS0267312758" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU auf Mutual Funds &amp; Indices" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="USD" issueDate="20.10.2006" redemptionDate="20.10.2009" issuePrice="86.015" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="111.14"/>
<payment id="69049" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46700" deleted="0" valorNumber="2694327" isin="CH0026943271" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Synthetic Conv. auf UBS AG" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="26.09.2006" redemptionDate="26.09.2011" issuePrice="88.406" redemptionPrice="100" nominalAmount="5000" interestRate="0.125" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="94"/>
<payment id="69062" deleted="0" paymentDate="26.09.2007" currency="CHF" valueCHF="6.25" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="46709" deleted="0" valorNumber="2695120" isin="CH0026951209" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf DJ EuroStoxx 50 Momentum Strategie Basket" institutionId="202" institutionIdentifier="Bank Sarasin &amp; Cie AG" country="CH" currency="EUR" issueDate="03.11.2006" redemptionDate="03.11.2016" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1815.8"/>
<payment id="69082" deleted="0" paymentDate="29.06.2007" currency="EUR" valueCHF="0" withHoldingTax="1" taxEvent="0"/>
</derivative>
<derivative id="46711" deleted="0" valorNumber="2695259" isin="CH0026952595" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="11.09.2006" redemptionDate="11.09.2009" issuePrice="89.44" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.1"/>
<payment id="69086" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46716" deleted="0" valorNumber="2695675" isin="CH0026956752" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Credit Suisse Group" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="29.09.2006" redemptionDate="29.09.2009" issuePrice="93.0777" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="911"/>
<payment id="69095" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46717" deleted="0" valorNumber="2695782" isin="CH0026957826" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="CHF" issueDate="29.09.2006" redemptionDate="29.09.2009" issuePrice="93.241" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69097" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46718" deleted="0" valorNumber="2695898" isin="CH0026958980" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. auf DJ Euro Stoxx 50 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="28.09.2006" redemptionDate="28.09.2009" issuePrice="89.208" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1969.74"/>
<payment id="69099" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46734" deleted="0" valorNumber="2696975" isin="XS0270417792" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note on S&amp;P500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="10.10.2006" redemptionDate="09.10.2009" issuePrice="86.31" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="110.26"/>
<payment id="69130" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="46736" deleted="0" valorNumber="2696980" isin="JE00B1FRQP91" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CZK" issueDate="12.10.2006" redemptionDate="12.10.2009" issuePrice="100" redemptionPrice="100" nominalAmount="100000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="6726.56"/>
<payment id="69134" deleted="0" currency="CZK" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46737" deleted="0" valorNumber="2696982" isin="JE00B1FRDQ95" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf FTSE 100 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="09.10.2006" redemptionDate="09.10.2009" issuePrice="85.941" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2521.08"/>
<payment id="69136" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46738" deleted="0" valorNumber="2696991" isin="CH0026969912" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="20.10.2006" redemptionDate="20.10.2009" issuePrice="86.38" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="100.76"/>
<payment id="69138" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46740" deleted="0" valorNumber="2696994" isin="CH0026969946" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf SMI" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="26.10.2006" redemptionDate="26.10.2009" issuePrice="88.32" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.06"/>
<payment id="69140" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46741" deleted="0" valorNumber="2697002" isin="CH0026970027" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="TEYN auf Worst of Nestl&#233;, Novartis, Roche und UBS" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="CHF" issueDate="20.12.2006" redemptionDate="08.11.2007" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="2.19" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="69142" deleted="0" paymentDate="08.11.2007" currency="CHF" valueCHF="21.9" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46742" deleted="0" valorNumber="2697010" isin="JE00B1G0C939" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf DJ Eurostoxx 50" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="27.10.2006" redemptionDate="27.10.2010" issuePrice="85.711" redemptionPrice="100" nominalAmount="5000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69143" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46745" deleted="0" valorNumber="2697014" isin="JE00B1G2V364" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf E.ON AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="10.11.2006" redemptionDate="10.11.2009" issuePrice="89.1202" redemptionPrice="100" nominalAmount="91.73" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69149" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46749" deleted="0" valorNumber="2697024" isin="CH0026970241" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ER Note auf 4 Indices Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="CHF" issueDate="28.11.2006" redemptionDate="30.11.2009" earlyRedemptionDate="05.12.2007" issuePrice="93.098" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69155" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11528" deleted="0">
<text>vorz. R&#252;ckzahlung per 5.12.2007</text>
</legend>
</derivative>
<derivative id="46752" deleted="0" valorNumber="2697041" isin="CH0026970415" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPU Plus auf S&amp;P 500 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="10.11.2006" redemptionDate="10.11.2010" issuePrice="81.832" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="103.89"/>
<payment id="69160" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46753" deleted="0" valorNumber="2697044" isin="JE00B1GB6H22" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Pfizer" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="13.11.2006" redemptionDate="13.11.2009" issuePrice="86.0319" redemptionPrice="100" nominalAmount="26.99" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="25.68"/>
<payment id="69162" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46754" deleted="0" valorNumber="2697046" isin="JE00B1GC6085" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Certificate Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="20.11.2006" redemptionDate="21.05.2009" issuePrice="88.097" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1089.07"/>
<payment id="69163" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="46756" deleted="0" valorNumber="2697061" isin="CH0026970613" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPN auf S&amp;P BRIC 40 USA Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="08.11.2006" redemptionDate="08.11.2011" issuePrice="77.992" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="163.3"/>
<payment id="69167" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46757" deleted="0" valorNumber="2697078" isin="JE00B1GJDW05" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="16.11.2006" redemptionDate="15.05.2009" issuePrice="88.475" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1082.47"/>
<payment id="69169" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46758" deleted="0" valorNumber="2697084" isin="JE00B1GJP910" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Certificate Plus auf UBS AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="29.11.2006" redemptionDate="30.11.2009" issuePrice="93.165" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69170" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46760" deleted="0" valorNumber="2697096" isin="JE00B1GN4525" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Royal Dutch Shell" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="27.11.2006" redemptionDate="27.11.2009" issuePrice="89.25" redemptionPrice="100" nominalAmount="27.2" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="47.24"/>
<payment id="69173" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46762" deleted="0" valorNumber="2697115" isin="JE00B1HDLM77" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Certificate Plus auf Credit Suisse Group" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="29.11.2006" redemptionDate="29.06.2009" issuePrice="94.105" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="794"/>
<payment id="69176" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46764" deleted="0" valorNumber="2697134" isin="JE00B1HLXQ95" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Certificate Plus auf DJ Eurostoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="01.12.2006" redemptionDate="01.12.2009" issuePrice="86.359" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69179" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46765" deleted="0" valorNumber="2697141" isin="JE00B1HMSJ09" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf UBS AG" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="08.12.2006" redemptionDate="08.12.2009" issuePrice="93.1083" redemptionPrice="100" nominalAmount="71.1" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69181" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46768" deleted="0" valorNumber="2697148" isin="CH0026971488" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Commodities Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="04.12.2006" redemptionDate="04.12.2009" issuePrice="86.339" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69185" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46769" deleted="0" valorNumber="2697152" isin="JE00B1HY8308" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. auf Emerging Markets Funds and Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="06.12.2006" redemptionDate="06.12.2011" issuePrice="78.353" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69187" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46770" deleted="0" valorNumber="2697155" isin="CH0026971553" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Asian Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="28.11.2006" redemptionDate="27.11.2009" issuePrice="86.359" redemptionPrice="100" nominalAmount="1000000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69188" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46771" deleted="0" valorNumber="2697163" isin="JE00B1HTYZ95" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Total SA" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="18.12.2006" redemptionDate="18.12.2009" issuePrice="89.08" redemptionPrice="100" nominalAmount="54.45" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69189" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46772" deleted="0" valorNumber="2697174" isin="JE00B1KB8383" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Zurich Financial Services" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="22.12.2006" redemptionDate="22.12.2009" issuePrice="92.7" redemptionPrice="100" nominalAmount="320.75" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69190" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46773" deleted="0" valorNumber="2697175" isin="JE00B1JFQN77" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Credit Suisse Group" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="22.12.2006" redemptionDate="22.12.2009" issuePrice="92.7" redemptionPrice="100" nominalAmount="83.8" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69498" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46945" deleted="0" valorNumber="2711940" isin="JE00B1NQBQ49" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Leveraged Certificate Plus auf Tokyo Stock Exchange REIT Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="25.01.2007" redemptionDate="22.01.2010" issuePrice="86.015" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1082.19"/>
<payment id="69499" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46947" deleted="0" valorNumber="2711950" isin="CH0027119509" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Basket of 4 Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="19.02.2007" redemptionDate="19.02.2010" issuePrice="92.372" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69501" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46949" deleted="0" valorNumber="2711964" isin="CH0027119640" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf 4 Indices Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="31.01.2007" redemptionDate="28.12.2009" issuePrice="92.394" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="88.81"/>
<payment id="69503" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46951" deleted="0" valorNumber="2711971" isin="XS0284503892" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Indices Basket of Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="02.02.2007" redemptionDate="02.02.2011" issuePrice="84.826" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69505" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46953" deleted="0" valorNumber="2711985" isin="CH0027119855" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Enhanced Return Note auf Basket of 4 Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="08.02.2007" redemptionDate="08.02.2010" issuePrice="88.363" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="99.19"/>
<payment id="69507" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46954" deleted="0" valorNumber="2711991" isin="XS0284894713" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="3Y Capital Protected Note on a Real Estate Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="06.02.2007" redemptionDate="05.02.2010" issuePrice="85.966" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="94.9"/>
<payment id="69508" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46955" deleted="0" valorNumber="2711998" isin="JE00B1P76823" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert. Plus auf MSCI Taiwan Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="GBP" issueDate="16.02.2007" redemptionDate="16.02.2010" issuePrice="84.607" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="2355.14"/>
<payment id="69509" deleted="0" currency="GBP" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46957" deleted="0" valorNumber="2712034" isin="JE00B1Q3J795" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="5Y Certificate Plus auf SMI Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="CHF" issueDate="13.02.2007" redemptionDate="30.01.2012" issuePrice="87.209" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="914.4"/>
<payment id="69511" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46958" deleted="0" valorNumber="2712038" isin="JE00B1Q2G868" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus MSCI Taiwan Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="07.03.2007" redemptionDate="08.03.2010" issuePrice="86.458" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1249.88"/>
<payment id="69512" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46959" deleted="0" valorNumber="2712039" isin="CH0027120390" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Digital Coupon CPU auf Spanish Shares Basket" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="EUR" issueDate="13.02.2007" redemptionDate="13.02.2009" issuePrice="92.09" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="97.06"/>
<payment id="69513" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="46960" deleted="0" valorNumber="2712040" isin="JE00B1QB5532" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="3Y Annual Review Certificate auf Dow Jones Eurostoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="13.02.2007" redemptionDate="15.02.2010" issuePrice="85.6719" redemptionPrice="100" nominalAmount="1" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.2"/>
<payment id="69514" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46961" deleted="0" valorNumber="2712041" isin="XS0286042030" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Basket of Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="USD" issueDate="14.02.2007" redemptionDate="15.02.2010" issuePrice="85.78" redemptionPrice="100" nominalAmount="10000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="103.93"/>
<payment id="69515" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46962" deleted="0" valorNumber="2712042" isin="JE00B1QBB551" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="3Y Annunal Review Certificate auf Dow Jones Eurostoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="EUR" issueDate="13.02.2007" redemptionDate="15.02.2010" issuePrice="88.3124" redemptionPrice="100" nominalAmount="1" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="173.45"/>
<payment id="69516" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46963" deleted="0" valorNumber="2712043" isin="JE00B1Q38N89" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="3Y Annual Review Certificate auf Dow Jones Eurostoxx 50 Index" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="GB" currency="CHF" issueDate="13.02.2007" redemptionDate="15.02.2010" issuePrice="92.2646" redemptionPrice="100" nominalAmount="1" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1.03"/>
<payment id="69517" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46965" deleted="0" valorNumber="2712056" isin="CH0027120564" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Note auf Asian Index Indices" institutionId="3125" institutionIdentifier="Morgan (J.P.) International Derivatives Ltd." country="JE" currency="USD" issueDate="28.02.2007" redemptionDate="26.02.2010" issuePrice="85.72" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69519" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46968" deleted="0" valorNumber="2712060" isin="CH0027120606" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf Swiss Healthcare Basket" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="31.01.2007" redemptionDate="31.01.2012" issuePrice="85.41" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="90.91"/>
<payment id="69522" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46973" deleted="0" valorNumber="2712066" isin="CH0027120663" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf SMI Index" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="21.02.2007" redemptionDate="22.02.2010" issuePrice="92.29" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.39"/>
<payment id="69527" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46987" deleted="0" valorNumber="2712082" isin="CH0027120820" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf Climate Change Basket" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="EUR" issueDate="13.04.2007" redemptionDate="13.04.2011" issuePrice="84.63" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.13"/>
<payment id="69541" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46991" deleted="0" valorNumber="2712086" isin="CH0027120861" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CPC auf SMI" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="05.11.2007" redemptionDate="05.11.2010" issuePrice="87.03" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95.72"/>
<payment id="69545" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46993" deleted="0" valorNumber="2712088" isin="CH0027120887" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="14.75% auf Nestle,Roche,ABB,SwissRe" instrumentIdentifierAppendix="Spread Barrier Reverse Convertible" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="CHF" issueDate="26.10.2007" redemptionDate="26.10.2008" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="2.99" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69547" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46994" deleted="0" valorNumber="2712089" isin="CH0027120895" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Extra Yield Cert. auf Novartis AG" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="EUR" issueDate="27.02.2007" redemptionDate="27.02.2011" issuePrice="84.663" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69548" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="46998" deleted="0" valorNumber="2712097" isin="CH0027120978" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CP Cert. auf S&amp;P Listed Private Equity Index" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="EUR" issueDate="29.06.2007" redemptionDate="29.06.2010" issuePrice="78.8" redemptionPrice="95" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="89.93"/>
<payment id="69552" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47003" deleted="0" valorNumber="2712103" isin="CH0027121034" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="12.50% auf Givaudan,Swatch,SwissRe" instrumentIdentifierAppendix="Barrier Reverse Convertible" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="CHF" issueDate="02.11.2007" redemptionDate="03.11.2008" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="2.96" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69557" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47024" deleted="0" valorNumber="2712151" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf US Shares" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="USD" issueDate="05.06.2007" redemptionDate="05.12.2008" issuePrice="92.395" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="47036" deleted="0" valorNumber="2714499" isin="CH0027144994" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="GBP" issueDate="29.09.2006" redemptionDate="29.09.2009" issuePrice="85.77" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="1" maturityUnlimited="0">
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<derivative id="47037" deleted="0" valorNumber="2714516" isin="XS0269070636" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="CRN auf DJ Euro Stoxx 50" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="EUR" issueDate="10.10.2006" redemptionDate="12.10.2009" earlyRedemptionDate="10.10.2007" issuePrice="89.62" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69602" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11639" deleted="0">
<text>vorz. R&#252;ckzahlung per 10.10.2007</text>
</legend>
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<derivative id="47044" deleted="0" valorNumber="2715778" isin="CH0027157780" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf FTSE / XINHUA China 25 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="31.10.2006" redemptionDate="30.10.2009" issuePrice="85.745" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69615" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47073" deleted="0" valorNumber="2718930" isin="CH0027189304" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="5.00% auf UBS AG" instrumentIdentifierAppendix="GOAL" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="02.10.2006" redemptionDate="03.10.2011" issuePrice="100" redemptionPrice="100" nominalAmount="5000" interestRate="2.5" interestType="FIX" iup="0" maturityUnlimited="0">
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<derivative id="47092" deleted="0" valorNumber="2720440" isin="CH0027204400" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. Plus auf DJ Euro Stoxx 50 Index" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="EUR" issueDate="16.10.2006" redemptionDate="16.10.2009" issuePrice="89.337" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69711" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47103" deleted="0" valorNumber="2721648" isin="CH0027216487" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Enhanced Return Notes auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="30.10.2006" redemptionDate="30.10.2009" earlyRedemptionDate="30.10.2007" issuePrice="93.05" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69733" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="11690" deleted="0">
<text>vorz. R&#252;ckzahlung per 30.10.2007</text>
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<derivative id="47124" deleted="0" valorNumber="2727360" isin="CH0027273603" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Open End Zertifikat auf ABN AMRO Chile Index (Total Return)" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="CHF" issueDate="11.10.2006" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="1">
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<payment id="69776" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47150" deleted="0" valorNumber="2728486" isin="XS0269933007" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Securities auf Ciba Speciality Chemicals AG" institutionId="16" institutionIdentifier="ABN AMRO Bank N.V." country="NL" currency="EUR" issueDate="29.09.2006" redemptionDate="29.09.2011" issuePrice="84.107" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="69808" deleted="0" paymentDate="29.09.2007" currency="EUR" valueCHF="4.15" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="47160" deleted="0" valorNumber="2729083" isin="CH0027290839" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PIP-Units auf SMI Index" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="CHF" issueDate="20.10.2006" redemptionDate="20.10.2009" issuePrice="93.13" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69819" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47190" deleted="0" valorNumber="2732230" isin="CH0027322301" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Capped Cert. Plus auf Gold" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="USD" issueDate="24.10.2006" redemptionDate="26.10.2009" issuePrice="85.819" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69885" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47195" deleted="0" valorNumber="2733354" isin="CH0027333548" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf WTI Light Sweet Crude Oil" institutionId="2406" institutionIdentifier="Credit Suisse First Boston" country="GB" currency="USD" issueDate="13.10.2006" redemptionDate="13.10.2009" issuePrice="86.187" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69895" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47198" deleted="0" valorNumber="2733579" isin="DE000SCL0NA4" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Twin-Win-Index-Zert. auf DJ Euro Stoxx50" institutionId="3339" institutionIdentifier="Sal. Oppenheim jr. &amp; Cie. KGaA" country="DE" currency="EUR" issueDate="06.11.2006" redemptionDate="31.10.2011" issuePrice="82.7655" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="69899" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="47208" deleted="0" valorNumber="2734909" isin="XS0270828584" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Podium Note auf Basket of 50 Shares" institutionId="4661" institutionIdentifier="Lehman Brothers Treasury Co. B.V." country="NL" currency="CHF" issueDate="25.10.2006" redemptionDate="25.10.2012" issuePrice="90.537" redemptionPrice="100" nominalAmount="1000" interestRate="2.75" interestType="VAR" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="88.27"/>
<payment id="69919" deleted="0" paymentDate="25.10.2007" currency="CHF" valueCHF="27.5" withHoldingTax="0" taxEvent="0" coupon="01"/>
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<derivative id="47217" deleted="0" valorNumber="2736074" isin="XS0270175333" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PCN auf Fund-linked SPI Notes" institutionId="986" institutionIdentifier="ING Bank NV" country="NL" currency="EUR" issueDate="17.11.2006" redemptionDate="27.11.2014" issuePrice="73.585" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<derivative id="50047" deleted="0" valorNumber="3042385" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Multi Cert. Plus auf Basket of Shares" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="CHF" issueDate="10.05.2007" redemptionDate="10.11.2008" issuePrice="95.97" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="619"/>
<payment id="73659" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50048" deleted="0" valorNumber="3042508" isin="CH0030425083" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cash Settled Perles plus aufDJ STOXX Select Dividend 30 Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="04.05.2007" redemptionDate="04.05.2010" issuePrice="88.0082" redemptionPrice="100" nominalAmount="3401.75" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="4901.84"/>
<payment id="73660" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50050" deleted="0" valorNumber="3042757" isin="GB00B1VYTX34" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Multi-Chance Cert. Plus auf Indices" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="USD" issueDate="02.05.2007" redemptionDate="06.05.2011" earlyRedemptionDate="05.11.2007" issuePrice="82.39" redemptionPrice="100" nominalAmount="1000" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="0"/>
<payment id="73662" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="12584" deleted="0">
<text>vorz. R&#252;ckzahlung per 5.11.2007</text>
</legend>
</derivative>
<derivative id="50052" deleted="0" valorNumber="3042802" isin="XS0295678832" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Outperformance auf SD3E, DAX Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="CHF" issueDate="18.04.2007" redemptionDate="18.04.2011" earlyRedemptionDate="28.08.2009" issuePrice="93.38" redemptionPrice="100" nominalAmount="5000" interestRate="1" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="96.32"/>
<payment id="73664" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="50053" deleted="0" valorNumber="3042925" isin="CH0030429259" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cash-Settled Perles Plus auf SMI" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="09.05.2007" redemptionDate="09.05.2011" issuePrice="89.368" redemptionPrice="100" nominalAmount="9444.95" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="8460"/>
<payment id="73665" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50061" deleted="0" valorNumber="3043746" isin="CH0030437468" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="PROPER auf Nachhaltigs-Basket Erneuerbare Energien III" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="20.04.2007" redemptionDate="16.04.2010" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="147.1"/>
<payment id="73673" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50063" deleted="0" valorNumber="3044017" isin="CH0030440173" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Credit Suisse" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="04.05.2007" redemptionDate="03.06.2010" issuePrice="91.9756" redemptionPrice="100" nominalAmount="94.7" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="61.2"/>
<payment id="73675" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50064" deleted="0" valorNumber="3044018" isin="CH0030440181" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Zurich Financial Services" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="04.05.2007" redemptionDate="04.05.2010" issuePrice="92.1838" redemptionPrice="100" nominalAmount="354" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="320"/>
<payment id="73676" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50065" deleted="0" valorNumber="3044174" isin="CH0030441742" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Swiss Re" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="27.04.2007" redemptionDate="03.06.2010" issuePrice="91.9747" redemptionPrice="100" nominalAmount="118.5" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="70.5"/>
<payment id="73677" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50066" deleted="0" valorNumber="3044332" isin="XS0295782147" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Talisman auf 50 Shares of SX5E" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="AUD" issueDate="19.04.2007" redemptionDate="19.04.2010" issuePrice="90.58" redemptionPrice="100" nominalAmount="1000" interestRate="3" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="101.28"/>
<payment id="73678" deleted="0" currency="AUD" valueCHF="0" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="50070" deleted="0" valorNumber="3045075" isin="CH0030450750" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert Plus auf CS Water Index" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="CHF" issueDate="23.05.2007" redemptionDate="25.05.2010" issuePrice="91.781" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="998"/>
<payment id="73682" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50071" deleted="0" valorNumber="3045076" isin="CH0030450768" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf CS Global Alt. Energy Index" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="CHF" issueDate="23.05.2007" redemptionDate="25.05.2010" issuePrice="91.781" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1149"/>
<payment id="73683" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50076" deleted="0" valorNumber="3046091" isin="DE000DB8ALE5" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. Plus auf Amex Gold Bugs Index" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="USD" issueDate="18.04.2007" redemptionDate="19.04.2010" earlyRedemptionDate="19.10.2007" issuePrice="86.47" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="0"/>
<payment id="73688" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="12595" deleted="0">
<text>vorz. R&#252;ckzahlung per 19.10.2007</text>
</legend>
</derivative>
<derivative id="50077" deleted="0" valorNumber="3046905" isin="GB00B1VZHS75" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Agricultural ER Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="USD" issueDate="23.05.2007" redemptionDate="10.05.2010" issuePrice="86.14" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="148.42"/>
<payment id="73689" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50078" deleted="0" valorNumber="3047156" isin="CH0030471566" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf BKB-Nachhaltigkeits Basket" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="EUR" issueDate="03.05.2007" redemptionDate="02.08.2010" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="164.69"/>
<payment id="73690" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50079" deleted="0" valorNumber="3047233" isin="CH0030472333" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Early Red. Cert. Plus auf Asian Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="07.05.2007" redemptionDate="07.05.2012" issuePrice="78.39" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1047.23"/>
<payment id="73691" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50083" deleted="0" valorNumber="3048349" isin="CH0030483496" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="PREALP sur Roche Holding AG" institutionId="4080" institutionIdentifier="Banque Cantonale Vaudoise Guernsey Branch" country="GG" currency="CHF" issueDate="20.04.2007" redemptionDate="20.04.2010" issuePrice="92.32" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="87.15"/>
<payment id="73695" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="12598" deleted="0">
<text>(prix d&apos;&#233;m. de la composante obligataire: 92.32%)</text>
</legend>
</derivative>
<derivative id="50093" deleted="0" valorNumber="3049190" isin="XS0296273807" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="8.25% Return Equity Yield Note auf Indices" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="18.04.2007" redemptionDate="18.04.2008" issuePrice="94.96" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="102.29"/>
<payment id="73705" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50098" deleted="0" valorNumber="3050209" isin="CH0030502097" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Nestl&#233; SA" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="18.04.2007" redemptionDate="27.05.2010" issuePrice="92.1143" redemptionPrice="100" nominalAmount="489.75" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="507.5"/>
<payment id="73710" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50103" deleted="0" valorNumber="3050353" isin="CH0030503533" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Nikkei 225 Index" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="USD" issueDate="04.05.2007" redemptionDate="04.05.2010" issuePrice="86.5073" redemptionPrice="100" nominalAmount="1740.04" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1752.47"/>
<payment id="73715" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50115" deleted="0" valorNumber="3051079" isin="XS0295401284" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Zenith auf SX5E" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="12.04.2007" redemptionDate="12.04.2010" issuePrice="88.24" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="105.98"/>
<payment id="73727" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50121" deleted="0" valorNumber="3051713" isin="CH0030517137" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Memory Cert. auf DJ EuroStoxx" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="EUR" issueDate="19.04.2007" redemptionDate="12.10.2009" issuePrice="89.88" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="103.61"/>
<payment id="73733" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50136" deleted="0" valorNumber="3052640" isin="XS0296759888" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Soft-Protected Note auf Asian Index" institutionId="4565" institutionIdentifier="Allegro Investment Corporation S.A." country="LU" currency="USD" issueDate="30.04.2007" redemptionDate="30.04.2010" issuePrice="86.17" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="106.5"/>
<payment id="73748" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50137" deleted="0" valorNumber="3052871" isin="CH0030528712" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert.Plus auf MSCI Taiwan Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="26.04.2007" redemptionDate="26.04.2010" issuePrice="86.187" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1188.75"/>
<payment id="73749" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50144" deleted="0" valorNumber="3053451" isin="CH0030534512" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Multi-Twin-Win Cert. auf ABB,CS,Nestl&#233;" institutionId="3339" institutionIdentifier="Sal. Oppenheim jr. &amp; Cie. KGaA" country="DE" currency="CHF" issueDate="27.04.2007" redemptionDate="27.10.2008" issuePrice="96.03" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="843"/>
<payment id="73756" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50145" deleted="0" valorNumber="3053502" isin="CH0030535022" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Note auf Swiss Re" institutionId="31118" institutionIdentifier="Vontobel Financial Products Ltd" country="AE" currency="CHF" issueDate="04.05.2007" redemptionDate="04.05.2012" issuePrice="87.939" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="92"/>
<payment id="73757" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0" coupon="01"/>
</derivative>
<derivative id="50150" deleted="0" valorNumber="3054140" isin="DE000CS0PBA1" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ERN auf Multi Stocks" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="EUR" issueDate="09.05.2007" redemptionDate="09.09.2011" issuePrice="82.351" redemptionPrice="100" nominalAmount="1020" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1655.36"/>
<payment id="73762" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50153" deleted="0" valorNumber="3055142" isin="CH0030551425" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="RAN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="22.05.2007" redemptionDate="23.06.2008" issuePrice="95.462" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="98.4"/>
<payment id="73765" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50154" deleted="0" valorNumber="3055144" isin="CH0030551441" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nikkei 225 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="21.05.2007" redemptionDate="21.05.2010" issuePrice="87.932" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1353.99"/>
<payment id="73766" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50157" deleted="0" valorNumber="3055328" isin="XS0297011644" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Athena auf DJ EuroStoxx50" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="26.04.2007" redemptionDate="26.04.2010" issuePrice="86.21" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="106.15"/>
<payment id="73769" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50158" deleted="0" valorNumber="3055820" isin="CH0030558206" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Zertifikat auf Schweizer Banken Basket" institutionId="232" institutionIdentifier="Basler Kantonalbank" country="CH" currency="CHF" issueDate="03.05.2007" redemptionDate="02.08.2010" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="84"/>
<payment id="73770" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50159" deleted="0" valorNumber="3055832" isin="CH0030558321" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Shares" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="18.05.2007" redemptionDate="18.11.2008" issuePrice="95.97" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="703"/>
<payment id="73771" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50161" deleted="0" valorNumber="3055917" isin="CH0030559170" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="0% auf SAP AG" instrumentIdentifierAppendix="SaraSail" institutionId="2941" institutionIdentifier="Bank Sarasin (CI) Ltd" country="GG" currency="EUR" issueDate="24.04.2007" redemptionDate="24.07.2008" issuePrice="94.9645" redemptionPrice="100" nominalAmount="35.56" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="54.15"/>
<payment id="73774" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50166" deleted="0" valorNumber="3056234" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Multi Certificate Plus auf Basket of Shares" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="CHF" issueDate="18.05.2007" redemptionDate="18.11.2008" issuePrice="95.97" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="681"/>
<payment id="73779" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50168" deleted="0" valorNumber="3056713" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. Plus auf Infosys, Reliance Industries" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="USD" issueDate="27.04.2007" redemptionDate="27.04.2010" issuePrice="85.97" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1038.96"/>
<payment id="73781" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50172" deleted="0" valorNumber="3056975" isin="XS0297122631" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Venus auf US Goldlnam, Nikkei 225 Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="30.04.2007" redemptionDate="30.04.2010" issuePrice="86.11" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="99.12"/>
<payment id="73785" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50174" deleted="0" valorNumber="3058190" isin="CH0030581901" instrumentGroup="DEVT" instrumentType="DEVT.INDEXBASKET" instrumentIdentifier="Voncert auf einen Ostschweizer Basket" institutionId="205" institutionIdentifier="Bank Vontobel AG" country="CH" currency="CHF" issueDate="01.06.2007" redemptionDate="18.05.2017" issuePrice="100" redemptionPrice="100" nominalAmount="0" iup="0" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="93"/>
<payment id="73787" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50179" deleted="0" valorNumber="3059290" isin="CH0030592908" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Swiss Re" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="CHF" issueDate="14.05.2007" redemptionDate="14.11.2008" issuePrice="96.04" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="664"/>
<payment id="73792" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50182" deleted="0" valorNumber="3059466" isin="CH0030594664" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="8.00% auf AXA, ABB Ltd., Siemens AG" instrumentIdentifierAppendix="Barrier Reverse Convertible" institutionId="4073" institutionIdentifier="Clariden Leu Ltd, Nassau Branch" country="BS" currency="EUR" issueDate="26.04.2007" redemptionDate="26.04.2010" issuePrice="100" redemptionPrice="100" nominalAmount="1000" interestRate="4.3573" interestType="FIX" iup="0" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="90.7"/>
<payment id="73795" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
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<derivative id="50196" deleted="0" valorNumber="3062804" isin="CH0030628041" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Equity Return Notes auf Dow Jones STOXX 50" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="27.04.2007" redemptionDate="27.05.2008" issuePrice="95.512" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50198" deleted="0" valorNumber="3062902" isin="GB00B1W5Z717" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Certificate Plus auf Nokia" institutionId="3116" institutionIdentifier="Barclays Bank PLC" country="GB" currency="EUR" issueDate="11.05.2007" redemptionDate="11.08.2010" issuePrice="86.96" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<text>vorz. R&#252;ckzahlung per 15.11.2007</text>
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<derivative id="50215" deleted="0" valorNumber="3065392" isin="DE000A0N6XB6" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Autocall auf Worst of Russian &quot;Big Five&quot;" institutionId="5479" institutionIdentifier="Citibank International Plc." country="GB" currency="CHF" issueDate="15.05.2007" redemptionDate="15.05.2009" earlyRedemptionDate="15.11.2007" issuePrice="94.5459" redemptionPrice="100" nominalAmount="1000" interestRate="0" interestType="FIX" iup="1" maturityUnlimited="0">
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<payment id="73829" deleted="0" currency="CHF" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
<legend id="12631" deleted="0">
<text>vorz. R&#252;ckzahlung per 15.11.2007</text>
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<derivative id="50223" deleted="0" valorNumber="3066127" isin="CH0030661273" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Tracker-Plus Zert. auf Swiss Re" institutionId="2376" institutionIdentifier="Z&#252;rcher Kantonalbank" country="CH" currency="CHF" issueDate="30.04.2007" redemptionDate="25.06.2008" issuePrice="96.95" redemptionPrice="100" nominalAmount="116.7" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50227" deleted="0" valorNumber="3066601" isin="XS0298047704" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="High-Yield Commodities Note" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="02.05.2007" redemptionDate="03.05.2010" issuePrice="86.53" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50228" deleted="0" valorNumber="3066610" isin="DE000DB8ANG6" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bull Cert.Plus auf Tokyo Stock Exchange Reit" institutionId="2717" institutionIdentifier="Deutsche Bank AG London" country="GB" currency="USD" issueDate="23.05.2007" redemptionDate="26.05.2009" issuePrice="90.66" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="765.31"/>
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<derivative id="50230" deleted="0" valorNumber="3066654" isin="XS0298029710" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Exch. Bond auf Richemont SA" institutionId="2170" institutionIdentifier="UBS AG Jersey Branch" country="JE" currency="EUR" issueDate="04.05.2007" redemptionDate="04.05.2010" issuePrice="88.773" redemptionPrice="100" nominalAmount="1000" interestRate="0.25" interestType="FIX" iup="1" maturityUnlimited="0">
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<derivative id="50232" deleted="0" valorNumber="3066991" isin="GB00B1W7DV73" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Zert. auf DJ Euro Stoxx 50 Index" institutionId="878" institutionIdentifier="Goldman Sachs International Ltd." country="GB" currency="EUR" issueDate="09.05.2007" redemptionDate="04.09.2008" issuePrice="94.42" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50235" deleted="0" valorNumber="3067896" isin="XS0298299859" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Athena auf DJ EuroStoxx50" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="27.04.2007" redemptionDate="27.04.2010" issuePrice="87.98" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50238" deleted="0" valorNumber="3068882" isin="CH0030688821" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ERN auf DJ Euro Stoxx 50 Index" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="02.05.2007" redemptionDate="02.06.2008" issuePrice="95.512" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="73853" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50249" deleted="0" valorNumber="3070219" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf European Shares" institutionId="5245" institutionIdentifier="Lehman Brothers Securities NV" country="AN" currency="EUR" issueDate="25.05.2007" redemptionDate="25.11.2008" issuePrice="93.73" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50256" deleted="0" valorNumber="3070883" isin="XS0298412338" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="RA Cert. Plus aus SX5E Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="18.05.2007" redemptionDate="18.05.2011" issuePrice="84.18" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50257" deleted="0" valorNumber="3070902" isin="XS0298411108" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Best Market-Timing Cert. auf SX5E" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="04.05.2007" redemptionDate="04.05.2011" issuePrice="84.31" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="73873" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50261" deleted="0" valorNumber="3071305" isin="CH0030713058" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ERN auf Multi Indices" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="EUR" issueDate="26.04.2007" redemptionDate="27.04.2009" issuePrice="91.854" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PERCENT" yearEndPrice="95"/>
<payment id="73877" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
</derivative>
<derivative id="50264" deleted="0" valorNumber="3071913" isin="CH0030719139" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Multi-Twin-Win Cert. auf Holcim, Roche, UBS" institutionId="3339" institutionIdentifier="Sal. Oppenheim jr. &amp; Cie. KGaA" country="DE" currency="CHF" issueDate="11.05.2007" redemptionDate="11.11.2008" issuePrice="95.9245" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="635"/>
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<derivative id="50270" deleted="0" valorNumber="3072590" isin="CH0030725904" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf Nickel" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="11.05.2007" redemptionDate="11.05.2009" issuePrice="90.686" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="594.37"/>
<payment id="73886" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50271" deleted="0" valorNumber="3072591" isin="CH0030725912" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Cert. Plus auf CS Global Altern. Energy Index" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="EUR" issueDate="24.05.2007" redemptionDate="24.05.2010" issuePrice="88.491" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
<taxValue quotationType="PIECE" yearEndPrice="1890.29"/>
<payment id="73887" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50282" deleted="0" valorNumber="3073854" isin="CH0030738543" instrumentGroup="DEVT" instrumentType="DEVT.FUNDSIMILARASSET" instrumentIdentifier="Zertifikat auf Helvetia Investment Trust" institutionId="4073" institutionIdentifier="Clariden Leu Ltd, Nassau Branch" country="BS" currency="USD" issueDate="30.03.2007" issuePrice="100" redemptionPrice="100" nominalAmount="1549.1" iup="0" maturityUnlimited="1">
<taxValue quotationType="PIECE" yearEndPrice="1836.33"/>
<payment id="73898" deleted="0" paymentDate="31.03.2007" currency="USD" valueCurrency="0" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50283" deleted="0" valorNumber="3074054" isin="XS0298784637" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Athena auf Nikkei 225 INDEX Quanto" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="USD" issueDate="08.05.2007" redemptionDate="10.05.2010" issuePrice="86.51" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="73899" deleted="0" currency="USD" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50284" deleted="0" valorNumber="3074070" isin="XS0298780726" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Athena auf Nikkei 225 Index" institutionId="4318" institutionIdentifier="BNP Paribas Arbitrage Issuance B.V." country="NL" currency="EUR" issueDate="08.05.2007" redemptionDate="10.05.2010" issuePrice="88.03" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50285" deleted="0" valorNumber="3074289" isin="CH0030742891" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf RWE AG" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="EUR" issueDate="18.05.2007" redemptionDate="18.05.2010" issuePrice="88.0048" redemptionPrice="100" nominalAmount="82.7" interestRate="0" iup="1" maturityUnlimited="0">
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<payment id="73901" deleted="0" currency="EUR" valueCHF="0" withHoldingTax="0" taxEvent="0"/>
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<derivative id="50287" deleted="0" valorNumber="3074312" isin="CH0030743121" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Perles Plus auf Nestl&#233; SA" institutionId="2971" institutionIdentifier="UBS AG London Branch" country="GB" currency="CHF" issueDate="18.05.2007" redemptionDate="18.06.2010" issuePrice="91.5636" redemptionPrice="100" nominalAmount="481.25" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50288" deleted="0" valorNumber="3074669" isin="CH0030746694" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Bonus Cert. auf Swiss Re" institutionId="1747" institutionIdentifier="SGA Soci&#233;t&#233; G&#233;n&#233;rale Acceptance N.V." country="AN" currency="CHF" issueDate="18.05.2007" redemptionDate="18.06.2010" issuePrice="91.78" redemptionPrice="100" nominalAmount="114.7" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50295" deleted="0" valorNumber="3075161" isin="CH0030751611" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="ERMC Cert. Plus auf Base Metals" institutionId="5408" institutionIdentifier="Credit Suisse London Branch" country="GB" currency="USD" issueDate="30.04.2007" redemptionDate="30.04.2009" issuePrice="90.738" redemptionPrice="100" nominalAmount="1000" interestType="VAR" iup="1" maturityUnlimited="0">
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<derivative id="50311" deleted="0" valorNumber="3077064" isin="CH0030770645" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="Memory Cert. Plus auf Nikkei 225 Index" institutionId="4255" institutionIdentifier="Credit Suisse International" country="GB" currency="USD" issueDate="22.05.2007" redemptionDate="24.05.2010" issuePrice="86.236" redemptionPrice="100" nominalAmount="1000" interestRate="0" iup="1" maturityUnlimited="0">
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<derivative id="50319" deleted="0" valorNumber="3078124" isin="DE000AK0DWC9" instrumentGroup="DEVT" instrumentType="DEVT.COMBINEDPRODUCT" instrumentIdentifier="MaxiRend Alpha Deep Control 2" institutionId="6342" institutionIdentifier="DZ BANK AG Deutsche Zentral-Genossenschaftsbank" country="DE" currency="EUR" issueDate="29.06.2007" redemptionDate="31.10.2011" issuePrice="82.92" redemptionPrice="100" nominalAmount="100" interestRate="0" iup="1" maturityUnlimited="0">
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