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Brighthouse Funds Trust I – ‘NSAR-B’ for 12/31/17 – ‘EX-99.77O RULE 10F-3’

On:  Wednesday, 2/28/18, at 5:16pm ET   ·   Effective:  2/28/18   ·   For:  12/31/17   ·   Accession #:  1410368-18-353   ·   File #:  811-10183

Previous ‘NSAR-B’:  ‘NSAR-B’ on 3/1/17 for 12/31/16   ·   Next & Latest:  ‘NSAR-B/A’ on 4/19/18 for 12/31/17

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  As Of               Filer                 Filing    For·On·As Docs:Size             Issuer                      Filing Agent

 2/28/18  Brighthouse Funds Trust I         NSAR-B     12/31/17    3:353K                                   State Street Bank … DeptAB Global Dynamic Allocation Portfolio Class AClass BClass CClass EAllianz Global Investors Dynamic Multi-Asset Plus Portfolio Class AClass BClass CClass EAllspring Mid Cap Value Portfolio Class AClass BClass CClass EAmerican Funds Balanced Allocation Portfolio Class AClass BClass CAmerican Funds Growth Allocation Portfolio Class AClass BClass CAmerican Funds Growth Portfolio Class AClass BClass CClass EAmerican Funds Moderate Allocation Portfolio Class AClass BClass CBlackRock Global Tactical Strategies Portfolio Class AClass BClass CClass EBlackRock High Yield Portfolio Class AClass BClass CClass EBrighthouse Asset Allocation 100 Portfolio Class AClass BClass CClass EBrighthouse Balanced Plus Portfolio Class AClass BClass CClass EBrighthouse Small Cap Value Portfolio Class AClass BClass CClass EBrighthouse/abrdn Emerging Markets Equity Portfolio Class AClass BClass CClass EBrighthouse/Artisan International Portfolio Class AClass BClass CClass EBrighthouse/Eaton Vance Floating Rate Portfolio Class AClass BClass CClass EBrighthouse/Franklin Low Duration Total Return Portfolio Class AClass BClass CClass EBrighthouse/Templeton International Bond Portfolio Class AClass BClass CClass EBrighthouse/Wellington Large Cap Research Portfolio Class AClass BClass CClass ECBRE Global Real Estate Portfolio Class AClass BClass CClass EHarris Oakmark International Portfolio Class AClass BClass CClass EInvesco Balanced-Risk Allocation Portfolio Class AClass BClass CClass EInvesco Comstock Portfolio Class AClass BClass CClass EInvesco Global Equity Portfolio Class AClass BClass CClass EInvesco Small Cap Growth Portfolio Class AClass BClass CClass EJPMorgan Core Bond Portfolio Class AClass BClass CClass EJPMorgan Global Active Allocation Portfolio Class AClass BClass CClass EJPMorgan Small Cap Value Portfolio Class AClass BClass CClass ELoomis Sayles Global Allocation Portfolio Class AClass BClass CClass ELoomis Sayles Growth Portfolio Class AClass BClass CClass EMetLife Multi-Index Targeted Risk Portfolio Class AClass BClass CClass EMFS Research International Portfolio Class AClass BClass CClass EMorgan Stanley Discovery Portfolio Class AClass BClass CClass EPanAgora Global Diversified Risk Portfolio Class AClass BClass CClass EPanAgora Global Diversified Risk Portfolio Class AClass BClass CClass EPIMCO Inflation Protected Bond Portfolio Class AClass BClass CClass EPIMCO Total Return Portfolio Class AClass BClass CClass ESchroders Global Multi-Asset Portfolio Class AClass BClass CClass ESchroders Global Multi-Asset Portfolio II Class AClass BClass CClass ESSGA Growth & Income ETF Portfolio Class AClass BClass CClass ESSGA Growth ETF Portfolio Class AClass BClass CClass ET. Rowe Price Large Cap Value Portfolio Class AClass BClass CClass ET. Rowe Price Mid Cap Growth Portfolio Class AClass BClass CClass ETCW Core Fixed Income Portfolio Class AClass BClass CClass EVictory Sycamore Mid Cap Value Portfolio Class AClass BClass CClass EWestern Asset Management Government Income Portfolio Class AClass BClass CClass E

Annual Report by an Investment Company   —   Form N-SAR   —   ICA’40
Filing Table of Contents

Document/Exhibit                   Description                      Pages   Size 

 1: NSAR-B      Annual Report by an Investment Company               234    954K 
 3: EX-99.77B ACCT LTTR  Accountant's Report re: Internal Controls     2±    10K 
 2: EX-99.77O RULE 10F-3  Transaction Effected -- Rule 10f-3 -       109±   281K 
                ICA'40                                                           


‘EX-99.77O RULE 10F-3’   —   Transaction Effected — Rule 10f-3 – ICA’40



Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: IHS MARKIT LTD (CUSIP 44962LAB3) Date Purchased: 07/10/17 Price Per Share: 100.000 USD Shares Purchased 392,000 by the Portfolio *: Total Principal Purchased 399,965 USD by the Portfolio *: Commission or Spread: 1.000% Broker: WELLS FARGO SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: UNITED STATES STEEL CORP (CUSIP 912909AM0) Date Purchased: 08/01/17 Price Per Share: 100.000 USD Shares Purchased 714,000 by the Portfolio *: Total Principal Purchased 714,000 USD by the Portfolio *: Commission or Spread: 1.500% Broker: Merrill Lynch, Pierce, Fenner & Smith Incorporated Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: VALVOLINE INC (CUSIP 92047WAA9) Date Purchased: 08/03/17 Price Per Share: 100.000 USD Shares Purchased 206,000 by the Portfolio *: Total Principal Purchased 206,000 USD by the Portfolio *: Commission or Spread: 1.100% Broker: Citigroup Global Markets Inc. Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: STEEL DYNAMICS INC (CUSIP 858119BG4) Date Purchased: 09/06/17 Price Per Share: 100.000 USD Shares Purchased 450,000 by the Portfolio *: Total Principal Purchased 450,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: Merrill Lynch,Pierce,Fenner & Smith Incorporated Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: IRON MOUNTAIN INC (CUSIP 46284VAC5) Date Purchased: 09/06/17 Price Per Share: 100.000 USD Shares Purchased 204,000 by the Portfolio *: Total Principal Purchased 204,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: J.P. Morgan Securities LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: UNITED RENTALS NORTH AM (CUSIP 911365BH6) Date Purchased: 09/08/17 Price Per Share: 100.000 USD Shares Purchased 908,000 by the Portfolio *: Total Principal Purchased 908,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: Morgan Stanley & Co.LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: UNITED RENTALS NORTH AM (CUSIP 911365BJ2) Date Purchased: 09/08/17 Price Per Share: 100.250 USD Shares Purchased 12,17,000 by the Portfolio *: Total Principal Purchased 1,220,043 USD by the Portfolio *: Commission or Spread: 1.250% Broker: Morgan Stanley & Co.LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: WABASH NATIONAL CORP (CUSIP 929566AJ6) Date Purchased: 09/15/17 Price Per Share: 101.000 USD Shares Purchased 30,000 by the Portfolio *: Total Principal Purchased 30,300 USD by the Portfolio *: Commission or Spread: 1.250% Broker: Morgan Stanley & Co. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: CB ESCROW CORP (CUSIP 14987RAA6) Date Purchased: 09/22/17 Price Per Share: 100.000 USD Shares Purchased 316,000 by the Portfolio *: Total Principal Purchased 316,000 USD by the Portfolio *: Commission or Spread: 1.500% Broker: Morgan Stanley & Co. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: QEP Resources, Inc. (CUSIP 74733VAD2) Date Purchased: 11/06/17 Price Per Share: 100.000 USD Shares Purchased 269,000 by the Portfolio *: Total Principal Purchased 269,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: WELLS FARGO SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Kratos Defense & Security Solutions, Inc. (CUSIP 50077BAM0) Date Purchased: 11/08/17 Price Per Share: 100.000 USD Shares Purchased 427,000 by the Portfolio *: Total Principal Purchased 427,000 USD by the Portfolio *: Commission or Spread: 1.500% Broker: GOLDMAN SACHS & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: PDC Energy, Inc. (CUSIP 69327RAH4) Date Purchased: 11/14/17 Price Per Share: 100.000 USD Shares Purchased 400,000 by the Portfolio *: Total Principal Purchased 400,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: MERRILL LYNCH, PIERCE, FENNER & SMI Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Lennar Corp. (CUSIP 526057CA0) Date Purchased: 11/14/17 Price Per Share: 100.000 USD Shares Purchased 612,000 by the Portfolio *: Total Principal Purchased 612,000 USD by the Portfolio *: Commission or Spread: 0.400% Broker: CITIGROUP GLOBAL MARKETS INC. Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Lennar Corp. (CUSIP 526057CB8) Date Purchased: 11/14/17 Price Per Share: 100.000 USD Shares Purchased 820,000 by the Portfolio *: Total Principal Purchased 820,000 USD by the Portfolio *: Commission or Spread: 0.650% Broker: CITIGROUP GLOBAL MARKETS INC. Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Match Group, Inc. (CUSIP 57665RAG1) Date Purchased: 11/17/17 Price Per Share: 99.027 USD Shares Purchased 215,000 by the Portfolio *: Total Principal Purchased 212,908 USD by the Portfolio *: Commission or Spread: 1.125% Broker: J.P. MORGAN SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Endeavor Energy Resources L.P. / EER Finance, Inc. (CUSIP 29260FAD2) Date Purchased: 11/28/17 Price Per Share: 100.000 USD Shares Purchased 280,000 by the Portfolio *: Total Principal Purchased 280,000 USD by the Portfolio *: Commission or Spread: 1.150% Broker: GOLDMAN SACHS & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Endeavor Energy Resources L.P. / EER Finance, Inc. (CUSIP 29260FAE0) Date Purchased: 11/28/17 Price Per Share: 100.000 USD Shares Purchased 512,000 by the Portfolio *: Total Principal Purchased 512,000 USD by the Portfolio *: Commission or Spread: 1.150% Broker: GOLDMAN SACHS & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Cleveland-Cliffs, Inc. (CUSIP 185899AB7) Date Purchased: 12/05/17 Price Per Share: 99.347 USD Shares Purchased 421,231 by the Portfolio *: Total Principal Purchased 421,231 USD by the Portfolio *: Commission or Spread: Broker: MERRILL LYNCH, PIERCE, FENNER & SMI Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Vantiv LLC / Vanity Issuer Corp. (CUSIP ACI0ZDB89) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 155,000 by the Portfolio *: Total Principal Purchased 155,000 USD by the Portfolio *: Commission or Spread: Broker: MORGAN STANLEY & CO. INTERNATIONAL Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Vantiv LLC / Vanity Issuer Corp. (CUSIP 92211WAA9) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 404,000 by the Portfolio *: Total Principal Purchased 404,000 USD by the Portfolio *: Commission or Spread: Broker: MORGAN STANLEY & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Scientific Games International, Inc. (CUSIP 80874YAW0) Date Purchased: 10/02/17 Price Per Share: 100.000 USD Shares Purchased 318,000 by the Portfolio *: Total Principal Purchased 318,000 USD by the Portfolio *: Commission or Spread: 1.500% Broker: J.P. MORGAN SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Hologic, Inc. (CUSIP 436440AK7) Date Purchased: 10/04/17 Price Per Share: 100.000 USD Shares Purchased 210,000 by the Portfolio *: Total Principal Purchased 210,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: GOLDMAN SACHS & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Parsley Energy LLC / Parsley Finance Corp. (CUSIP 701885AH8) Date Purchased: 10/05/17 Price Per Share: 100.000 USD Shares Purchased 575,000 by the Portfolio *: Total Principal Purchased 575,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: CREDIT SUISSE SECURITIES (USA) LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Gulfport Energy Corp. (CUSIP 402635AM8) Date Purchased: 10/05/17 Price Per Share: 100.000 USD Shares Purchased 533,000 by the Portfolio *: Total Principal Purchased 533,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: J.P. MORGAN SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Goldman Sachs Group, Inc. (The) (CUSIP 38148BAD0) Date Purchased: 10/18/17 Price Per Share: 100.000 USD Shares Purchased 1,765,000 by the Portfolio *: Total Principal Purchased 1,765,000 USD by the Portfolio *: Commission or Spread: 1.500% Broker: GOLDMAN SACHS & CO. LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Verizon Communications Inc. (CUSIP ACI0YGL90) Date Purchased: 10/23/17 Price Per Share: 98.631 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 197,262 USD by the Portfolio *: Commission or Spread: 0.400% Broker: DEUTSCHE BANK AG Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: CONSOL ENERGY INC (CUSIP 20854LAA6) Date Purchased: 10/30/17 Price Per Share: 100.000 USD Shares Purchased 1,088,000 by the Portfolio *: Total Principal Purchased 1,088,000 USD by the Portfolio *: Commission or Spread: Broker: J.P. MORGAN SECURITIES LLC Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Verizon Communications Inc. (CUSIP 92343VEE0) Date Purchased: 10/23/17 Price Per Share: 99.432 USD Shares Purchased 125,000 by the Portfolio *: Total Principal Purchased 124,290 USD by the Portfolio *: Commission or Spread: 0.400% Broker: DEUTSCHE BANK AG Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Verizon Communications Inc. (CUSIP 92343VED2) Date Purchased: 10/23/17 Price Per Share: 98.962 USD Shares Purchased 100,000 by the Portfolio *: Total Principal Purchased 98,962 USD by the Portfolio *: Commission or Spread: 0.400% Broker: DEUTSCHE BANK AG Member: PNC Capital Markets Brighthouse Funds Trust I BlackRock High Yield Portfolio Securities Purchases during an Underwriting involving PNC Capital Markets subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: BlackRock High Yield Portfolio Security: Verizon Communications Inc. (CUSIP ACI0YGL90) Date Purchased: 10/23/17 Price Per Share: 98.962 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 197,262 USD by the Portfolio *: Commission or Spread: 0.400% Broker: CREDIT SUISSE SECURITIES (EUROPE) L Member: PNC Capital Markets Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: AerCap Ireland Capital DAC (CUSIP 00774MAB1) Date Purchased: 07/17/17 Price Per Share: 99.494 USD Shares Purchased 791,000 by the Portfolio *: Total Principal Purchased 786,997.54 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Morgan Stanley and Company Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: American Airlines Pass-Through Trust (CUSIP 02376AAA7) Date Purchased: 07/31/17 Price Per Share: 100.000 USD Shares Purchased 409,000 by the Portfolio *: Total Principal Purchased 409,000.000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: American Airlines Pass-Through Trust (CUSIP 02377CAA2) Date Purchased: 07/31/17 Price Per Share: 100.000 USD Shares Purchased 250,000 by the Portfolio *: Total Principal Purchased 250,000.00 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: AT&T, Inc. (CUSIP 00206REN8) Date Purchased: 07/27/17 Price Per Share: 99.822 USD Shares Purchased 2,260,000 by the Portfolio *: Total Principal Purchased 2,255,977.20 USD by the Portfolio *: Commission or Spread: 0.600% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Drive Auto Receivables Trust (CUSIP 26208FAJ0) Date Purchased: 07/25/17 Price Per Share: 99.995 USD Shares Purchased 3,399,000 by the Portfolio *: Total Principal Purchased 3,398,848.06 USD by the Portfolio *: Commission or Spread: 0.440% Broker: Citigroup Global Markets Inc Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Intesa Sanpaolo S.p.A. (CUSIP 46115HBB2) Date Purchased: 07/10/17 Price Per Share: 99.786 USD Shares Purchased 562,000 by the Portfolio *: Total Principal Purchased 560,797.32 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: ORIX Corp (CUSIP 686330AH4) Date Purchased: 7/10/17 Price Per Share: 99.852 USD Shares Purchased 362,000 by the Portfolio *: Total Principal Purchased 361,464.24 USD by the Portfolio *: Commission or Spread: 0.350% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Sumitomo Mitsui Financial Group, Inc. (CUSIP 86562MAQ3) Date Purchased: 7/06/17 Price Per Share: 100.000 USD Shares Purchased 800,000 by the Portfolio *: Total Principal Purchased 800,000.00 USD by the Portfolio *: Commission or Spread: 0.350% Broker: SMBC Nikko Securities America, Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Amazon.com, Inc. (CUSIP 023135BD7) Date Purchased: 8/15/17 Price Per Share: 99.751 USD Shares Purchased 800,000 by the Portfolio *: Total Principal Purchased 798,008.00 USD by the Portfolio *: Commission or Spread: 0.720% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Amazon.com, Inc. (CUSIP 023135BK1) Date Purchased: 8/15/17 Price Per Share: 99.182 USD Shares Purchased 1,000,000 by the Portfolio *: Total Principal Purchased 991,820.00 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Baltimore Gas & Electric Co. (CUSIP 059165EJ5) Date Purchased: 8/21/17 Price Per Share: 99.199 USD Shares Purchased 350,000 by the Portfolio *: Total Principal Purchased 347,196.50 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Digital Realty Trust L.P. (CUSIP 25389JAR7) Date Purchased: 8/2/17 Price Per Share: 99.924 USD Shares Purchased 270,000.000 by the Portfolio *: Total Principal Purchased 269,794.80 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: E*TRADE Financial Corp. (CUSIP 269246BQ6) Date Purchased: 8/15/17 Price Per Share: 99.852 USD Shares Purchased 177,000 by the Portfolio *: Total Principal Purchased 176,738.04 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: General Motors Co. (CUSIP 37045VAP5) Date Purchased: 8/02/17 Price Per Share: 99.852 USD Shares Purchased 400,000 by the Portfolio *: Total Principal Purchased 399,748.00USD by the Portfolio *: Commission or Spread: 0.650% Broker: Deutsche Bank Securities Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Lear Corp. (CUSIP 521865AY1) Date Purchased: 8/14/17 Price Per Share: 99.294 USD Shares Purchased 206,000 by the Portfolio *: Total Principal Purchased 204,545.64 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Noble Energy, Inc. (CUSIP 655044AP0) Date Purchased: 8/8/17 Price Per Share: 99.688 USD Shares Purchased 500,000 by the Portfolio *: Total Principal Purchased 498,440.00 USD by the Portfolio *: Commission or Spread: 0.650% Broker: MUFG Securities Americas Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: O'Reilly Automotive, Inc. (CUSIP 67103HAF4) Date Purchased: 8/10/17 Price Per Share: 99.840 USD Shares Purchased 494,000 by the Portfolio *: Total Principal Purchased 493,209.60 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Procter & Gamble Co. (The) (CUSIP 742718EV7) Date Purchased: 8/9/17 Price Per Share: 99.793 USD Shares Purchased 750,000 by the Portfolio *: Total Principal Purchased 748,447.50 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: VMware, Inc. (CUSIP 928563AB1) Date Purchased: 8/16/17 Price Per Share: 99.792 USD Shares Purchased 933,000 by the Portfolio *: Total Principal Purchased 931,059.36 USD by the Portfolio *: Commission or Spread: 0.600% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Apple, Inc. (CUSIP 037833DB3) Date Purchased: 9/5/17 Price Per Share: 99.888 USD Shares Purchased 1,680,000 by the Portfolio *: Total Principal Purchased 1,678,118.40 USD by the Portfolio *: Commission or Spread: 0.200% Broker: Deutsche Bank Securities Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Apple, Inc. (CUSIP 037833DD9) Date Purchased: 9/5/17 Price Per Share: 99.429 USD Shares Purchased 1,200,000 by the Portfolio *: Total Principal Purchased 1,193,148.00 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: BOC Aviation, Ltd. (CUSIP 09681LAD2) Date Purchased: 9/11/17 Price Per Share: 99.459 USD Shares Purchased 480,000 by the Portfolio *: Total Principal Purchased 477,403.20 USD by the Portfolio *: Commission or Spread: 0.315% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Bunge, Ltd. Finance Corp. (CUSIP 120568AZ3) Date Purchased: 9/18/17 Price Per Share: 99.736 USD Shares Purchased 706,000 by the Portfolio *: Total Principal Purchased 704,136.16 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Canadian Imperial Bank of Commerce (CUSIP 136069VX6) Date Purchased: 9/28/17 Price Per Share: 99.919 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 199,838.00 USD by the Portfolio *: Commission or Spread: 0.250% Broker: Wells Fargo Advisors LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Concho Resources, Inc. (CUSIP 20605PAH4) Date Purchased: 9/13/17 Price Per Share: 99.636 USD Shares Purchased 213,000 by the Portfolio *: Total Principal Purchased 212,224.68 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Concho Resources, Inc. (CUSIP 20605PAJ0) Date Purchased: 9/13/17 Price Per Share: 99.749 USD Shares Purchased 50,000 by the Portfolio *: Total Principal Purchased 49,874.50 USD by the Portfolio *: Commission or Spread: 0.875% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: EQT Corp. (CUSIP 26884LAF6) Date Purchased: 9/27/17 Price Per Share: 99.918 USD Shares Purchased 458,000 by the Portfolio *: Total Principal Purchased 457,624.44 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Goodman U.S. Finance Three LLC (CUSIP 38239JAA9) Date Purchased: 9/19/17 Price Per Share: 99.631 USD Shares Purchased 387,000 by the Portfolio *: Total Principal Purchased 385,571.97 USD by the Portfolio *: Commission or Spread: 0.450% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Goodman U.S. Finance Three LLC (CUSIP 38239JAC5) Date Purchased: 9/19/17 Price Per Share: 99.840 USD Shares Purchased 372,000 by the Portfolio *: Total Principal Purchased 371,404.80 USD by the Portfolio *: Commission or Spread: 0.750% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Magellan Health, Inc. (CUSIP 559079AK4) Date Purchased: 9/15/17 Price Per Share: 99.809 USD Shares Purchased 1,000,000 by the Portfolio *: Total Principal Purchased 998,090.00 USD by the Portfolio *: Commission or Spread: 0.900% Broker: Wells Fargo Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Mexico City Airport Trust. (CUSIP 59284MAD6) Date Purchased: 9/13/17 Price Per Share: 99.398 USD Shares Purchased 208,000 by the Portfolio *: Total Principal Purchased 206,747.84 USD by the Portfolio *: Commission or Spread: 0.230% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: PPL Capital Funding, Inc. (CUSIP 69352PAM5) Date Purchased: 9/6/17 Price Per Share: 98.792 USD Shares Purchased 222,000 by the Portfolio *: Total Principal Purchased 219,318.24 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Union Pacific Corp. (CUSIP 907818EQ7) Date Purchased: 9/12/17 Price Per Share: 99.901 USD Shares Purchased 163,000 by the Portfolio *: Total Principal Purchased 162,838.63 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Union Pacific Corp. (CUSIP 907818ER5) Date Purchased: 9/12/17 Price Per Share: 99.852 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 199,704.00 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Drive Auto Receivables Trust (CUSIP 26207KAE1) Date Purchased: 10/17/17 Price Per Share: 99.997 USD Shares Purchased 9,854,000 by the Portfolio *: Total Principal Purchased 9,853,776 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Societe Generale Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Enel Finance International NV (CUSIP 29278GAF5) Date Purchased: 10/03/17 Price Per Share: 98.762 USD Shares Purchased 465,000 by the Portfolio *: Total Principal Purchased 459,243 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: United Airlines Pass-Through Trust (CUSIP 90933HAA3) Date Purchased: 10/23/17 Price Per Share: 100.000 USD Shares Purchased 246,000 by the Portfolio *: Total Principal Purchased 246,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Bank of America Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Celgene Corp.(CUSIP 151020AW4) Date Purchased: 10/31/17 Price Per Share: 99.733 USD Shares Purchased 278,000 by the Portfolio *: Total Principal Purchased 277,258 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Credit Suisse Securities USA LLC CA Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Sumitomo Mitsui Financial Group, Inc.(CUSIP 86562MAU4) Date Purchased: 10/11/17 Price Per Share: 100.000 USD Shares Purchased by the Portfolio *: 411,000 Total Principal Purchased 411,000 USD by the Portfolio *: Commission or Spread: 0.350% Broker: SMBC NIKKO SECURITIES AMERICA, INC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Wal-Mart Stores, Inc. (CUSIP 931142DW0 ) Date Purchased: 10/11/17 Price Per Share: 99.848 USD Shares Purchased 500,000 by the Portfolio *: Total Principal Purchased 499,240 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: AerCap Ireland Capital DAC (CUSIP 00774MAC9) Date Purchased: 11/16/17 Price Per Share: 99.440 USD Shares Purchased by the Portfolio *: 600,000 Total Principal Purchased 596,640 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Mizuho Securities USA Incorporated Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Alibaba Group Holding, Ltd.(CUSIP 01609WAU6 ) Date Purchased: 11/29/17 Price Per Share: 99.863 USD Shares Purchased 244,000 by the Portfolio *: Total Principal Purchased 243,666 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Apple, Inc.(CUSIP 037833DF4) Date Purchased: 11/06/17 Price Per Share: 99.854 USD Shares Purchased by the Portfolio *: 600,000 Total Principal Purchased 599,124 USD by the Portfolio *: Commission or Spread: 0.150% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Boston Properties L.P.(CUSIP 10112RAZ7) Date Purchased: 11/17/17 Price Per Share: 99.757 USD Shares Purchased 380,000 by the Portfolio *: Total Principal Purchased 379,076 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Deutsche Bank Securities Inc. Govt/Corp Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Ecolab, Inc.(CUSIP 278865BB5) Date Purchased: 11/16/17 Price Per Share: 99.695 USD Shares Purchased 215,000 by the Portfolio *: Total Principal Purchased 214,344 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: General Motors Financial Co., Inc.(CUSIP 37045XCD6) Date Purchased: 11/02/17 Price Per Share: 99.852 USD Shares Purchased 1,200,000 by the Portfolio *: Total Principal Purchased 1,198,224 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Deutsche Bank Securities Inc. Govt/Corp Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Johnson & Johnson (CUSIP 478160CL6) Date Purchased: 11/08/17 Price Per Share: 99.703 USD Shares Purchased by the Portfolio *: 741,000 Total Principal Purchased 738,799 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Macquarie Group, Ltd.(CUSIP 55608JAK4) Date Purchased: 11/20/17 Price Per Share: 100.000 USD Shares Purchased 500,000 by the Portfolio *: Total Principal Purchased 500,000 USD by the Portfolio *: Commission or Spread: 0.400% Broker: HSBC Securities USA Inc New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Oracle Corp.(CUSIP 68389XBP9) Date Purchased: 11/07/17 Price Per Share: 99.624 USD Shares Purchased 900,000 by the Portfolio *: Total Principal Purchased 896,616 USD by the Portfolio *: Commission or Spread: 0.438% Broker: Wells Fargo Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Oracle Corp.(CUSIP 68389XBS3) Date Purchased: 11/07/17 Price Per Share: 99.842 USD Shares Purchased 900,000 by the Portfolio *: Total Principal Purchased 898,578 USD by the Portfolio *: Commission or Spread: 0.200% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Air Lease Corp.(CUSIP 00912XAY0) Date Purchased: 11/13/17 Price Per Share: 98.945 USD Shares Purchased 600,000 by the Portfolio *: Total Principal Purchased 593,670 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Air Canada Pass-Through Trust(CUSIP 00908PAA5) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased by the Portfolio *: 512,000 Total Principal Purchased 512,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC (CA Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAB3) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 726,000 by the Portfolio *: Total Principal Purchased 726,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC (CA Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Core Bond Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Core Bond Portfolio Security: Consumer Loan Underlying Bond Credit Trust (CUSIP 21051DAA3) Date Purchased: 12/13/17 Price Per Share: 99.998 USD Shares Purchased 3,515,000 by the Portfolio *: Total Principal Purchased 3,514,916 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Citigroup Global Markets Inc (Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: American Airlines Pass-Through Trust (CUSIP 02376AAA7) Date Purchased: 07/31/17 Price Per Share: 100.000 USD Shares Purchased 550,000 by the Portfolio *: Total Principal Purchased 550,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AT&T, Inc. (CUSIP 00206REM0) Date Purchased: 07/27/17 Price Per Share: 99.827 USD Shares Purchased 1,185,000 by the Portfolio *: Total Principal Purchased 1,182,949.95 USD by the Portfolio *: Commission or Spread: 0.400% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AT&T, Inc. (CUSIP 00206REP3) Date Purchased: 07/27/17 Price Per Share: 99.779 USD Shares Purchased 475,000 by the Portfolio *: Total Principal Purchased 473,950.25 USD by the Portfolio *: Commission or Spread: 0.750% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Boston Gas Company (CUSIP 100743AK9) Date Purchased: 07/31/17 Price Per Share: 99.906 USD Shares Purchased 480,000 by the Portfolio *: Total Principal Purchased 479,548.80 USD by the Portfolio *: Commission or Spread: 0.400% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: COX Communications, Inc.(CUSIP 224044CH8) Date Purchased: 07/24/17 Price Per Share: 99.862 USD Shares Purchased 385,000 by the Portfolio *: Total Principal Purchased 384,468.70 USD by the Portfolio *: Commission or Spread: 0.625% % Broker: RBC Capital Markets Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: COX Communications, Inc.(CUSIP 224044CJ4) Date Purchased: 07/24/17 Price Per Share: 99.522 USD Shares Purchased 235,000 by the Portfolio *: Total Principal Purchased 233,876.70 USD by the Portfolio *: Commission or Spread: 0.650% % Broker: RBC Capital Markets Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: COX Communications, Inc.(CUSIP 224044CK1) Date Purchased: 07/24/17 Price Per Share: 99.386 USD Shares Purchased 55,000 by the Portfolio *: Total Principal Purchased 54,662.30 USD by the Portfolio *: Commission or Spread: 0.875% % Broker: RBC Capital Markets Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Duquesne Light Holdings, Inc.(CUSIP 266233AG0) Date Purchased: 07/19/17 Price Per Share: 100.000 USD Shares Purchased 240,000 by the Portfolio *: Total Principal Purchased 240000.00 USD by the Portfolio *: Commission or Spread: 0.650% % Broker: MUFG Securities Americas Inc. Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Intesa Sanpaolo S.p.A.(CUSIP 46115HBB2) Date Purchased: 07/10/17 Price Per Share: 99.786 USD Shares Purchased 465,000 by the Portfolio *: Total Principal Purchased 464,04.90 USD by the Portfolio *: Commission or Spread: 0.450% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AerCap Ireland Capital DAC (CUSIP 00774MAB1) Date Purchased: 07/17/17 Price Per Share: 99.494 USD Shares Purchased 407,000 by the Portfolio *: Total Principal Purchased 404,940.58 USD by the Portfolio *: Commission or Spread: 0.650% % Broker: Morgan Stanley and Company Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: American Airlines Pass-Through Trust (CUSIP 02376AAA7) Date Purchased: 07/31/17 Price Per Share: 100.000 USD Shares Purchased 164,000 by the Portfolio *: Total Principal Purchased 164,000.00 USD by the Portfolio *: Commission or Spread: 1.000% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: American Airlines Pass-Through Trust (CUSIP 02377CAA2) Date Purchased: 07/31/17 Price Per Share: 100.000 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 200,000.00 USD by the Portfolio *: Commission or Spread: 1.000% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AT&T, Inc. (CUSIP 00206REN8) Date Purchased: 07/27/17 Price Per Share: 99.822 USD Shares Purchased 706,000 by the Portfolio *: Total Principal Purchased 704,743.32 USD by the Portfolio *: Commission or Spread: 0.600% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Intesa Sanpaolo S.p.A.(CUSIP 46115HBB2) Date Purchased: 07/10/17 Price Per Share: 99.786 USD Shares Purchased 240,000 by the Portfolio *: Total Principal Purchased 239,486.40 USD by the Portfolio *: Commission or Spread: 0.450% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Mitsubishi UFJ Financial Group, Inc.(CUSIP 606822AP9) Date Purchased: 07/18/17 Price Per Share: 100.000 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 300,000.00 USD by the Portfolio *: Commission or Spread: 0.350% % Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: ORIX Corp.(CUSIP 686330AH4) Date Purchased: 07/10/17 Price Per Share: 99.852 USD Shares Purchased 151,000 by the Portfolio *: Total Principal Purchased 150,776.52 USD by the Portfolio *: Commission or Spread: 0.350% % Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Sumitomo Mitsui Financial Group, Inc.(CUSIP 86562MAQ3) Date Purchased: 07/06/17 Price Per Share: 100.000 USD Shares Purchased 450,000 by the Portfolio *: Total Principal Purchased 450,000.00 USD by the Portfolio *: Commission or Spread: 0.350% % Broker: SMBC Nikko Securities America, Inc. Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Amazon.com, Inc.(CUSIP 023135AX4) Date Purchased: 08/15/17 Price Per Share: 99.741 USD Shares Purchased 415,000 by the Portfolio *: Total Principal Purchased 413,925.15 USD by the Portfolio *: Commission or Spread: 0.350% % Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Amazon.com, Inc.(CUSIP 023135BA3) Date Purchased: 08/15/17 Price Per Share: 99.821 USD Shares Purchased 470,000 by the Portfolio *: Total Principal Purchased 469,158.70 USD by the Portfolio *: Commission or Spread: 0.400% % Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Amazon.com, Inc.(CUSIP 023135BD7) Date Purchased: 08/15/17 Price Per Share: 99.751 USD Shares Purchased 480,000 by the Portfolio *: Total Principal Purchased 478,804.80 USD by the Portfolio *: Commission or Spread: 0.720% % Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Amazon.com, Inc.(CUSIP 023135BG0) Date Purchased: 08/15/17 Price Per Share: 99.261 USD Shares Purchased 165,000 by the Portfolio *: Total Principal Purchased 163,780.65 USD by the Portfolio *: Commission or Spread: 0.750% % Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Comcast Corp.(CUSIP 20030NCA7) Date Purchased: 08/01/17 Price Per Share: 99.937 USD Shares Purchased 660,000 by the Portfolio *: Total Principal Purchased 659,584.20 USD by the Portfolio *: Commission or Spread: 0.400% % Broker: Mizuho Securities USA Inc. Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Digital Realty Trust L.P.(CUSIP 25389JAR7) Date Purchased: 08/02/17 Price Per Share: 99.924 USD Shares Purchased 220,000 by the Portfolio *: Total Principal Purchased 219,832.80 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Duke Energy Corp. (CUSIP 26441CAX3) Date Purchased: 08/07/17 Price Per Share: 99.719 USD Shares Purchased 225,000 by the Portfolio *: Total Principal Purchased 224,367.75 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Enterprise Products Operating LLC (CUSIP 29379VBM4) Date Purchased: 08/07/17 Price Per Share: 100.000 USD Shares Purchased 410,000 by the Portfolio *: Total Principal Purchased 410,000.00 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Citigroup Global Markets Inc Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Enterprise Products Operating LLC (CUSIP 29379VBN2) Date Purchased: 08/07/17 Price Per Share: 100.000 USD Shares Purchased 330,000 by the Portfolio *: Total Principal Purchased 330,000.00 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Citigroup Global Markets Inc Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: GENERAL MOTORS COMPANY (CUSIP 37045VAN0) Date Purchased: 08/02/17 Price Per Share: 99.852 USD Shares Purchased 355,000 by the Portfolio *: Total Principal Purchased 354,474.60 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Deutsche Bank Securities Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Philip Morris International, Inc.(CUSIP 718172CA5) Date Purchased: 08/14/17 Price Per Share: 100.000 USD Shares Purchased 820,000 by the Portfolio *: Total Principal Purchased 816,203.40 USD by the Portfolio *: Commission or Spread: 0.300% Broker: SG Americas Securities LLC Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Philip Morris International, Inc.(CUSIP 718172CB3) Date Purchased: 08/14/17 Price Per Share: 99.583 USD Shares Purchased 530,000 by the Portfolio *: Total Principal Purchased 527,789.90 USD by the Portfolio *: Commission or Spread: 0.450% Broker: SG Americas Securities LLC Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Thermo Fisher Scientific, Inc.(CUSIP 883556BX9) Date Purchased: 08/10/17 Price Per Share: 99.263 USD Shares Purchased 445,000 by the Portfolio *: Total Principal Purchased 441,720.35 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Thermo Fisher Scientific, Inc.(CUSIP 883556BY7) Date Purchased: 08/10/17 Price Per Share: 98.825 USD Shares Purchased 130,000 by the Portfolio *: Total Principal Purchased 128,472.50 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: VMware, Inc.(CUSIP 928563AB1) Date Purchased: 08/16/17 Price Per Share: 99.792 USD Shares Purchased 480,000 by the Portfolio *: Total Principal Purchased 479,001.60 USD by the Portfolio *: Commission or Spread: 0.600% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Amazon.com, Inc.(CUSIP 023135BK1) Date Purchased: 08/15/17 Price Per Share: 99.182 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 297,546.00 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: DDR Corp. (CUSIP 23317HAG7) Date Purchased: 08/07/17 Price Per Share: 99.703 USD Shares Purchased 30,000 by the Portfolio *: Total Principal Purchased 29,910.90 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Digital Realty Trust L.P. (CUSIP 25389JAR7) Date Purchased: 08/02/17 Price Per Share: 99.924 USD Shares Purchased 115,000 by the Portfolio *: Total Principal Purchased 114,912.60 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Duke Energy Corp. (CUSIP 26441CAY1) Date Purchased: 08/07/17 Price Per Share: 99.598 USD Shares Purchased 100,000 by the Portfolio *: Total Principal Purchased 99,598.00 USD by the Portfolio *: Commission or Spread: 0.875% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: E*TRADE Financial Corp. (CUSIP 269246BQ6) Date Purchased: 08/15/17 Price Per Share: 99.852 USD Shares Purchased 62,000 by the Portfolio *: Total Principal Purchased 61,908.24 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: General Motors Co. (CUSIP 37045VAP5) Date Purchased: 08/02/17 Price Per Share: 99.937 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 199,874.00 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Deutsche Bank Securities Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Lear Corp. (CUSIP 521865AY1) Date Purchased: 08/14/17 Price Per Share: 99.294 USD Shares Purchased 75,000 by the Portfolio *: Total Principal Purchased 74,470.50 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: O'Reilly Automotive, Inc. (CUSIP 67103HAF4) Date Purchased: 08/10/17 Price Per Share: 99.840 USD Shares Purchased 185,000 by the Portfolio *: Total Principal Purchased 184,704.00 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Priceline Group, Inc. (The) (CUSIP 741503BB1) Date Purchased: 08/10/17 Price Per Share: 99.854 USD Shares Purchased 71,000 by the Portfolio *: Total Principal Purchased 70,896.34 USD by the Portfolio *: Commission or Spread: 0.350% Broker: Wells Fargo Advisors LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Procter & Gamble Co. (The) (CUSIP 742718EV7) Date Purchased: 08/09/17 Price Per Share: 99.793 USD Shares Purchased 400,000 by the Portfolio *: Total Principal Purchased 399,172.00 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: VMware, Inc. (CUSIP 928563AB1) Date Purchased: 08/16/17 Price Per Share: 99.792 USD Shares Purchased 389,000 by the Portfolio *: Total Principal Purchased 388,190.88 USD by the Portfolio *: Commission or Spread: 0.600% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Bank of Montreal (CUSIP 06367TG38) Date Purchased: 09/06/17 Price Per Share: 99.864 USD Shares Purchased 750,000 by the Portfolio *: Total Principal Purchased 748,980.00 USD by the Portfolio *: Commission or Spread: 0.350% Broker: BMO Capital Markets Corporation Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Bank of Nova Scotia (The) (CUSIP 064159KD7) Date Purchased: 09/14/17 Price Per Share: 99.818 USD Shares Purchased 710,000 by the Portfolio *: Total Principal Purchased 708,707.80 USD by the Portfolio *: Commission or Spread: 0.350% Broker: Scotia Capital (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: BP Capital Markets plc (CUSIP 05565QDN5) Date Purchased: 09/14/17 Price Per Share: 100.000 USD Shares Purchased 305,000 by the Portfolio *: Total Principal Purchased 305,000.00 USD by the Portfolio *: Commission or Spread: 0.300% Broker: Credit Suisse Securities (USA) LLC. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Bunge, Ltd. Finance Corp. (CUSIP 120568AY6) Date Purchased: 09/18/17 Price Per Share: 99.876 USD Shares Purchased 150,000 by the Portfolio *: Total Principal Purchased 149,814.00 USD by the Portfolio *: Commission or Spread: 0.600% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Bunge, Ltd. Finance Corp. (CUSIP 120568AZ3) Date Purchased: 09/18/17 Price Per Share: 99.736 USD Shares Purchased 695,000 by the Portfolio *: Total Principal Purchased 693,165.20 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Concho Resources Inc. (CUSIP 20605PAJ0) Date Purchased: 09/13/17 Price Per Share: 99.749 USD Shares Purchased 190,000 by the Portfolio *: Total Principal Purchased 189,523.10 USD by the Portfolio *: Commission or Spread: 0.875% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Eaton Corp. (CUSIP 278062AG9) Date Purchased: 09/06/17 Price Per Share: 100.000 USD Shares Purchased 210,000 by the Portfolio *: Total Principal Purchased 210,000.00 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: General Dynamics Corp. (CUSIP 369550AZ1) Date Purchased: 09/11/17 Price Per Share: 97.831 USD Shares Purchased 590,000 by the Portfolio *: Total Principal Purchased 577,202.90 USD by the Portfolio *: Commission or Spread: 0.450% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Goodman U.S. Finance Three LLC (CUSIP 38239JAA9) Date Purchased: 09/19/17 Price Per Share: 99.631 USD Shares Purchased 590,000 by the Portfolio *: Total Principal Purchased 587,822.90 USD by the Portfolio *: Commission or Spread: 0.450% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Goodman U.S. Finance Three LLC (CUSIP 38239KAA6) Date Purchased: 09/19/17 Price Per Share: 99.840 USD Shares Purchased 150,000 by the Portfolio *: Total Principal Purchased 149,760.00 USD by the Portfolio *: Commission or Spread: 0.750% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Nissan Motor Acceptance Corp. (CUSIP 654740BD0) Date Purchased: 09/25/17 Price Per Share: 99.977 USD Shares Purchased 550,000 by the Portfolio *: Total Principal Purchased 549,873.50 USD by the Portfolio *: Commission or Spread: 0.350% Broker: BofA Merrill Lych Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Textron, Inc.. (CUSIP 883203BY6) Date Purchased: 09/11/17 Price Per Share: 99.966 USD Shares Purchased 415,000 by the Portfolio *: Total Principal Purchased 414,858.90 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Union Pacific Corp. (CUSIP 907818EQ7) Date Purchased: 09/12/17 Price Per Share: 99.901 USD Shares Purchased 150,000 by the Portfolio *: Total Principal Purchased 149,851.50 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Apple, Inc. (CUSIP 037833DB3) Date Purchased: 09/05/17 Price Per Share: 99.888 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 299,664.00 USD by the Portfolio *: Commission or Spread: 0.200% Broker: Deutsche Bank Securities Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: BOC Aviation, Ltd. (CUSIP 09681LAD2) Date Purchased: 09/11/17 Price Per Share: 99.459 USD Shares Purchased 220,000 by the Portfolio *: Total Principal Purchased 218,809.80 USD by the Portfolio *: Commission or Spread: 0.315% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Commonwealth Bank of Australia. (CUSIP 2027A0JR1) Date Purchased: 09/13/17 Price Per Share: 99.921 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 299,763.00 USD by the Portfolio *: Commission or Spread: 0.250% Broker: Wells Fargo Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Concho Resources, Inc.. (CUSIP 20605PAH4) Date Purchased: 09/13/17 Price Per Share: 99.636 USD Shares Purchased 93,000 by the Portfolio *: Total Principal Purchased 92,661.48 USD by the Portfolio *: Commission or Spread: 0.650% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: EQT Corp. (CUSIP 26884LAF6) Date Purchased: 09/27/17 Price Per Share: 99.918 USD Shares Purchased 50,000 by the Portfolio *: Total Principal Purchased 49,959.00 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Goodman U.S. Finance Three LLC (CUSIP 38239JAA9) Date Purchased: 09/19/17 Price Per Share: 99.631 USD Shares Purchased 215,000 by the Portfolio *: Total Principal Purchased 214,206.65 USD by the Portfolio *: Commission or Spread: 0.450% Broker: HSBC Securities (USA) Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Hasbro, Inc. (CUSIP 418056AV9) Date Purchased: 09/08/17 Price Per Share: 99.874 USD Shares Purchased 83,000 by the Portfolio *: Total Principal Purchased 82,895.42 USD by the Portfolio *: Commission or Spread: 0.810% Broker: BofA Merrill Lynch Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Magellan Health, Inc. (CUSIP 559079AK4) Date Purchased: 09/15/17 Price Per Share: 99.809 USD Shares Purchased 292,000 by the Portfolio *: Total Principal Purchased 291,442.28 USD by the Portfolio *: Commission or Spread: 0.900% Broker: Wells Fargo Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: PPL Capital Funding, Inc. (CUSIP 69352PAM5) Date Purchased: 09/06/17 Price Per Share: 98.792 USD Shares Purchased 317,000 by the Portfolio *: Total Principal Purchased 313,170.64 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Union Pacific Corp. (CUSIP 907818EQ7) Date Purchased: 09/12/17 Price Per Share: 99.901 USD Shares Purchased 24,000 by the Portfolio *: Total Principal Purchased 23,976.24 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley and Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: United Airlines Pass-Through Trust (CUSIP 90933HAA3) Date Purchased: 10/23/17 Price Per Share: 100.000 USD Shares Purchased 66,000 by the Portfolio *: Total Principal Purchased 66,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities USA LLC CA Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Sumitomo Mitsui Financial Group, Inc. (CUSIP 86562MAU4) Date Purchased: 10/11/17 Price Per Share: 100.000 USD Shares Purchased 82,000 by the Portfolio *: Total Principal Purchased 82,000 USD by the Portfolio *: Commission or Spread: 0.350% Broker: SMBC NIKKO SECURITIES AMERICA, INC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Wal-Mart Stores, Inc. (CUSIP 931142DW0) Date Purchased: 10/11/17 Price Per Share: 99.848 USD Shares Purchased 65,000 by the Portfolio *: Total Principal Purchased 64,901 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: American Campus Communities (CUSIP 024836AD0) Date Purchased: 10/02/17 Price Per Share: 99.912 USD Shares Purchased 655,000 by the Portfolio *: Total Principal Purchased 654,424 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Wells Fargo Advisors LLC St Louis, MO Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: John Deere Capital Corporation. (CUSIP 24422ETT6) Date Purchased: 10/02/17 Price Per Share: 99.291 USD Shares Purchased 825,000 by the Portfolio *: Total Principal Purchased 825,406 USD by the Portfolio *: Commission or Spread: 0.420% Broker: RBC Capital Markets LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Enel Finance International NV (CUSIP 29278GAF5) Date Purchased: 10/03/17 Price Per Share: 98.762 USD Shares Purchased 685,000 by the Portfolio *: Total Principal Purchased 676,520 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Celgene Corp. (CUSIP 151020AW4) Date Purchased: 10/31/17 Price Per Share: 99.733 USD Shares Purchased 150,000 by the Portfolio *: Total Principal Purchased 149,600 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Credit Suisse Securities USA LLC CA Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Celgene Corp. (CUSIP 151020AY0) Date Purchased: 10/31/17 Price Per Share: 99.848 USD Shares Purchased 595,000 by the Portfolio *: Total Principal Purchased 594,096 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Barclays Capital Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Boral Finance Pty, Ltd. (CUSIP 09952AAA4) Date Purchased: 10/24/17 Price Per Share: 99.646 USD Shares Purchased 315,000 by the Portfolio *: Total Principal Purchased 313,885 USD by the Portfolio *: Commission or Spread: 0.350% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Nationwide Building Society (CUSIP 63859WAF6) Date Purchased: 10/11/17 Price Per Share: 99.911 USD Shares Purchased 625,000 by the Portfolio *: Total Principal Purchased 624,444 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Banco Santander SA (CUSIP 05964HAF2) Date Purchased: 10/17/17 Price Per Share: 99.539 USD Shares Purchased 800,000 by the Portfolio *: Total Principal Purchased 796,312 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Sumitomo Mitsui Financial Group, Inc. (CUSIP 86562MAU4) Date Purchased: 10/11/17 Price Per Share: 100.000 USD Shares Purchased 745,000 by the Portfolio *: Total Principal Purchased 745,000 USD by the Portfolio *: Commission or Spread: 0.350% Broker: SMBC NIKKO SECURITIES AMERICA, INC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Northrop Grumman Corp. (CUSIP 666807BQ4) Date Purchased: 10/10/17 Price Per Share: 99.986 USD Shares Purchased 370,000 by the Portfolio *: Total Principal Purchased 369,948 USD by the Portfolio *: Commission or Spread: 0.250% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Aviation Capital Group LLC (CUSIP 05369AAA9) Date Purchased: 10/11/17 Price Per Share: 98.368 USD Shares Purchased 580,000 by the Portfolio *: Total Principal Purchased 570,534 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Wells Fargo Advisors LLC St Louis, MO Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Northrop Grumman Corp. (CUSIP 666807BN1) Date Purchased: 10/10/17 Price Per Share: 99.947 USD Shares Purchased 335,000 by the Portfolio *: Total Principal Purchased 334,822 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AerCap Ireland Capital DAC (CUSIP 00774MAC9) Date Purchased: 11/16/17 Price Per Share: 99.440 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 298,320 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Mizuho Securities USA Incorporated Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Apple, Inc. (CUSIP 037833DF4) Date Purchased: 11/06/17 Price Per Share: 99.854 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 299,562 USD by the Portfolio *: Commission or Spread: 0.150% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Boston Properties L.P. (CUSIP 10112RAZ7) Date Purchased: 11/17/17 Price Per Share: 99.757 USD Shares Purchased 266,000 by the Portfolio *: Total Principal Purchased 265,354 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Deutsche Bank Securities Inc. Govt/Corp Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Ecolab, Inc. (CUSIP 278865BB5) Date Purchased: 11/16/17 Price Per Share: 99.695 USD Shares Purchased 151,000 by the Portfolio *: Total Principal Purchased 150,539 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: General Motors Financial Co., Inc. (CUSIP 37045XCD6) Date Purchased: 11/02/17 Price Per Share: 99.852 USD Shares Purchased 135,000 by the Portfolio *: Total Principal Purchased 134,800 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Deutsche Bank Securities Inc. Govt/Corp Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Johnson & Johnson (CUSIP 478160CL6) Date Purchased: 11/08/17 Price Per Share: 99.703 USD Shares Purchased 123,000 by the Portfolio *: Total Principal Purchased 122,635 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Macquarie Group, Ltd. (CUSIP 55608JAK4) Date Purchased: 11/20/17 Price Per Share: 100.000 USD Shares Purchased 350,000 by the Portfolio *: Total Principal Purchased 350,000 USD by the Portfolio *: Commission or Spread: 0.400% Broker: HSBC Securities USA Inc New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Oracle Corp. (CUSIP 68389XBP9) Date Purchased: 11/07/17 Price Per Share: 99.624 USD Shares Purchased 300,000 by the Portfolio *: Total Principal Purchased 298,872 USD by the Portfolio *: Commission or Spread: 0.438% Broker: Wells Fargo Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Oracle Corp. (CUSIP 68389XBS3) Date Purchased: 11/07/17 Price Per Share: 99.842 USD Shares Purchased 400,000 by the Portfolio *: Total Principal Purchased 399,368 USD by the Portfolio *: Commission or Spread: 0.200% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Air Lease Corp. (CUSIP 00912XAY0) Date Purchased: 11/13/17 Price Per Share: 98.945 USD Shares Purchased 130,000 by the Portfolio *: Total Principal Purchased 128,629 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Consolidated Edison Co. of New York, Inc. (CUSIP 209111FM0) Date Purchased: 11/13/17 Price Per Share: 99.974 USD Shares Purchased 200,000 by the Portfolio *: Total Principal Purchased 199,948 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: AerCap Ireland Capital DAC (CUSIP 00774MAC9) Date Purchased: 11/13/17 Price Per Share: 99.440 USD Shares Purchased 900,000 by the Portfolio *: Total Principal Purchased 894,960 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Mizuho Securities USA Incorporated Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Alibaba Group Holding (CUSIP 01609WAU6) Date Purchased: 11/29/17 Price Per Share: 99.863 USD Shares Purchased 255,000 by the Portfolio *: Total Principal Purchased 254,651 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Ameren Illinois Co. (CUSIP 02361DAR1) Date Purchased: 11/16/17 Price Per Share: 99.282 USD Shares Purchased 505,000 by the Portfolio *: Total Principal Purchased 501,374 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Mizuho Securities USA Incorporated Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Anthem, Inc. (CUSIP 036752AB9) Date Purchased: 11/14/17 Price Per Share: 99.799 USD Shares Purchased 610,000 by the Portfolio *: Total Principal Purchased 608,774 USD by the Portfolio *: Commission or Spread: 0.450% Broker: UBS Securities LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Apple, Inc. (CUSIP 037833DF4) Date Purchased: 11/06/17 Price Per Share: 99.854 USD Shares Purchased 815,000 by the Portfolio *: Total Principal Purchased 813,810 USD by the Portfolio *: Commission or Spread: 0.150% Broker: Goldman Sachs and Co New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Corning, Inc. (CUSIP 219350BF1) Date Purchased: 11/06/17 Price Per Share: 99.962 USD Shares Purchased 235,000 by the Portfolio *: Total Principal Purchased 234,911 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Deutsche Bank Securities Inc. Govt/Corp Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Johnson & Johnson (CUSIP 478160CK8) Date Purchased: 11/08/17 Price Per Share: 99.881 USD Shares Purchased 890,000 by the Portfolio *: Total Principal Purchased 888,941 USD by the Portfolio *: Commission or Spread: 0.400% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Johnson & Johnson (CUSIP 478160CL6) Date Purchased: 11/08/17 Price Per Share: 99.703 USD Shares Purchased 1,015,000 by the Portfolio *: Total Principal Purchased 1,011,985 USD by the Portfolio *: Commission or Spread: 0.750% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Macquarie Group, Ltd. (CUSIP 55608JAK4) Date Purchased: 11/20/17 Price Per Share: 100.000 USD Shares Purchased 655,000 by the Portfolio *: Total Principal Purchased 655,000 USD by the Portfolio *: Commission or Spread: 0.400% Broker: HSBC Securities USA Inc New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Oracle Corp. (CUSIP 68389XBN4) Date Purchased: 11/07/17 Price Per Share: 99.889 USD Shares Purchased 535,000 by the Portfolio *: Total Principal Purchased 534,406 USD by the Portfolio *: Commission or Spread: 0.225% Broker: Wells Fargo Advisors LLC St Louis, MO Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Oracle Corp. (CUSIP 68389XBP9) Date Purchased: 11/07/17 Price Per Share: 99.624 USD Shares Purchased 425,000 by the Portfolio *: Total Principal Purchased 423,402 USD by the Portfolio *: Commission or Spread: 0.438% Broker: Wells Fargo Advisors LLC St Louis, MO Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Oracle Corp. (CUSIP 68389XBS3) Date Purchased: 11/07/17 Price Per Share: 99.842 USD Shares Purchased 1,960,000 by the Portfolio *: Total Principal Purchased 1,956,903 USD by the Portfolio *: Commission or Spread: 0.200% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Realty Income Corp. (CUSIP 756109AU8) Date Purchased: 11/29/17 Price Per Share: 99.778 USD Shares Purchased 350,000 by the Portfolio *: Total Principal Purchased 349,223 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: SunTrust Banks, Inc. (CUSIP 867914BP7) Date Purchased: 11/07/17 Price Per Share: 100.000 USD Shares Purchased 635,000 by the Portfolio *: Total Principal Purchased 635,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: CARLISLE COS INC (CUSIP 142339AG5) Date Purchased: 11/13/17 Price Per Share: 99.893 USD Shares Purchased 245,000 by the Portfolio *: Total Principal Purchased 244,738 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: CARLISLE COS INC (CUSIP 142339AH3) Date Purchased: 11/13/17 Price Per Share: 99.601 USD Shares Purchased 595,000 by the Portfolio *: Total Principal Purchased 592,626 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Consolidated Edison Co. of New York, Inc. (CUSIP 209111FM0) Date Purchased: 11/13/17 Price Per Share: 99.974 USD Shares Purchased 320,000 by the Portfolio *: Total Principal Purchased 319,917 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Consolidated Edison Co. of New York, Inc. (CUSIP 209111FN8) Date Purchased: 11/13/17 Price Per Share: 99.604 USD Shares Purchased 325,000 by the Portfolio *: Total Principal Purchased 323,713 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Citigroup Global Markets Inc Taxable FI Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Macquarie Group, Ltd. (CUSIP 55608JAH1) Date Purchased: 11/20/17 Price Per Share: 100.000 USD Shares Purchased 525,000 by the Portfolio *: Total Principal Purchased 525,000 USD by the Portfolio *: Commission or Spread: 0.300% Broker: HSBC Securities USA Inc New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Mosaic Co. (The) (CUSIP 61945CAF0) Date Purchased: 11/08/17 Price Per Share: 99.991 USD Shares Purchased 350,000 by the Portfolio *: Total Principal Purchased 349,969 USD by the Portfolio *: Commission or Spread: 0.600% Broker: GOLDMAN SACHS AND CO NEW YORK Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Mosaic Co. (The) (CUSIP 61945CAG8) Date Purchased: 11/08/17 Price Per Share: 99.804 USD Shares Purchased 230,000 by the Portfolio *: Total Principal Purchased 229,549 USD by the Portfolio *: Commission or Spread: 0.650% Broker: GOLDMAN SACHS AND CO NEW YORK Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Republic Services, Inc. (CUSIP 760759AS9) Date Purchased: 11/13/17 Price Per Share: 99.832 USD Shares Purchased 320,000 by the Portfolio *: Total Principal Purchased 319,462 USD by the Portfolio *: Commission or Spread: 0.650% Broker: GOLDMAN SACHS AND CO NEW YORK Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: United Parcel Service, Inc. (CUSIP 911312BL9) Date Purchased: 11/09/17 Price Per Share: 99.647 USD Shares Purchased 1,270,000 by the Portfolio *: Total Principal Purchased 1,265,516 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Societe Generale New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAA5) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 96,000 by the Portfolio *: Total Principal Purchased 96,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAB3) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 82,000 by the Portfolio *: Total Principal Purchased 82,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Charles Schwab Corp. (The) (CUSIP 808513AU9) Date Purchased: 12/04/17 Price Per Share: 99.850 USD Shares Purchased 100,000 by the Portfolio *: Total Principal Purchased 99,850 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Vornado Realty L.P. (The) (CUSIP 929043AJ6) Date Purchased: 12/12/17 Price Per Share: 99.596 USD Shares Purchased 100,000 by the Portfolio *: Total Principal Purchased 99,596 USD by the Portfolio *: Commission or Spread: 0.625% Broker: Citigroup Global Markets Inc. Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAA5) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 290,000 by the Portfolio *: Total Principal Purchased 290,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAC1) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 80,000 by the Portfolio *: Total Principal Purchased 80,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Baker Hughes a GE Co. LLC (CUSIP 05723KAA8) Date Purchased: 12/06/17 Price Per Share: 100.000 USD Shares Purchased 410,000 by the Portfolio *: Total Principal Purchased 410,000 USD by the Portfolio *: Commission or Spread: 0.350% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Baker Hughes a GE Co. LLC (CUSIP 05723KAB6) Date Purchased: 12/06/17 Price Per Share: 100.000 USD Shares Purchased 425,000 by the Portfolio *: Total Principal Purchased 425,000 USD by the Portfolio *: Commission or Spread: 0.450% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Baker Hughes a GE Co. LLC (CUSIP 05723KAC4) Date Purchased: 12/06/17 Price Per Share: 100.000 USD Shares Purchased 165,000 by the Portfolio *: Total Principal Purchased 165,000 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Morgan Stanley And Company LLC Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Martin Marietta Materials, Inc. (CUSIP 573284AT3) Date Purchased: 12/06/17 Price Per Share: 99.750 USD Shares Purchased 165,000 by the Portfolio *: Total Principal Purchased 164,588 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Wells Fargo Advisors LLC (St Louis, MO) Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Martin Marietta Materials, Inc. (CUSIP 573284AU0) Date Purchased: 12/06/17 Price Per Share: 99.681 USD Shares Purchased 305,000 by the Portfolio *: Total Principal Purchased 304,027 USD by the Portfolio *: Commission or Spread: 0.875% Broker: Wells Fargo Advisors LLC (St Louis, MO) Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Packaging Corp. of America (CUSIP 695156AT6) Date Purchased: 12/11/17 Price Per Share: 99.672 USD Shares Purchased 170,000 by the Portfolio *: Total Principal Purchased 169,442 USD by the Portfolio *: Commission or Spread: 0.650% Broker: Wells Fargo Advisors LLC (St Louis, MO) Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Global Active Allocation Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Global Active Allocation Portfolio Security: Westpac Banking Corp. (CUSIP 961214DS9) Date Purchased: 12/04/17 Price Per Share: 99.899 USD Shares Purchased 555,000 by the Portfolio *: Total Principal Purchased 55,443 USD by the Portfolio *: Commission or Spread: 0.250% Broker: Merrill Lynch, Pierce, Fenner And Smith Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Small Cap Value Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Small Cap Value Portfolio Security: Venator Materials plc (CUSIP G9329Z100) Date Purchased: 08/03/17 Price Per Share: 20.000 USD Shares Purchased 22,300 by the Portfolio *: Total Principal Purchased 446,000.00 USD by the Portfolio *: Commission or Spread: 1.150% Broker: Goldman Sachs and Company New York Member: JPMorgan Securities Inc. Brighthouse Funds Trust I JPMorgan Small Cap Value Portfolio Securities Purchases during an Underwriting involving JPMorgan Securities Inc. subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: JPMorgan Small Cap Value Portfolio Security: Funko, Inc. (CUSIP 361008105) Date Purchased: 11/02/17 Price Per Share: 12.000 USD Shares Purchased 27,400 by the Portfolio *: Total Principal Purchased 328,800 USD by the Portfolio *: Commission or Spread: 0.822% Broker: GOLDMAN SACHS AND CO NEW YORK Member: JPMorgan Securities Inc. Brighthouse Funds Trust I Loomis Sayles Global Markets Portfolio Securities Purchases during an Underwriting involving Natixis subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: Loomis Sayles Global Markets Portfolio Security: Air Canada Pass-Through Trust (CUSIP 00908PAA5) Date Purchased: 12/07/17 Price Per Share: 100.000 USD Shares Purchased 230,000 by the Portfolio *: Total Principal Purchased 230,000 USD by the Portfolio *: Commission or Spread: 1.000% Broker: Credit Suisse Securities (USA) LLC Member: Natixis Brighthouse Funds Trust I Loomis Sayles Global Markets Portfolio Securities Purchases during an Underwriting involving Natixis subject to Rule 10f-3 under the Investment Company Act of 1940. For the period 07/01/17 through 12/31/17 Portfolio: Loomis Sayles Global Markets Portfolio Security: Whiting Petroleum Corp. (CUSIP 966387BE1) Date Purchased: 12/12/17 Price Per Share: 100.000 USD Shares Purchased 150,000 by the Portfolio *: Total Principal Purchased 150,000 USD by the Portfolio *: Commission or Spread: 1.250% Broker: J.P. Morgan Securities LLC Member: Natixis
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