Asyst Liquidation Trust Trustee Report July 1, 2012 – September 30, 2012
ASYST LIQUIDATION TRUST TRUSTEE REPORT FOR THE PERIOD JULY 1, 2012 THROUGH SEPTEMBER 30, 2012
The Asyst Liquidation Trust holds two accounts at Chase bank, a checking account and a savings account.
On July 1, 2012 the consolidated balance of the Asyst Liquidation Trust checking account and savings account was $317,873.55
The savings account accrued $183.06 of interest during the months of July through September.
As of September 30, 2012 the consolidated balance in the Asyst Liquidation Trust checking and savings account was $284,991.25
The only non-cash asset of the Debtor that remains is an external hard drive with approximately 232 GB of financial and historical data that will be retained by the Liquidating Trustee until the case is closed.
This Case is still open !
The case is pending and the Trust is currently engaging in settlement discussions.
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