<?xml version="1.0" encoding="utf-8" ?>
<!--View is confirmation-->
<!--Version is 5-10-->
<!--NS is http://www.fpml.org/FpML-5/confirmation-->
<!--
        == Copyright (c) 2014-2018 All rights reserved.
        == Financial Products Markup Language is subject to the FpML public license.
        == A copy of this license is available at http://www.fpml.org/documents/license
-->
<executionAdvice
    xmlns="http://www.fpml.org/FpML-5/confirmation"
    xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance"
    fpmlVersion="5-10"
    xsi:schemaLocation="http://www.fpml.org/FpML-5/confirmation ../../fpml-main-5-10.xsd http://www.w3.org/2000/09/xmldsig# ../../xmldsig-core-schema.xsd"
>
  <header>
    <messageId messageIdScheme="http://www.amag.com/coding-scheme/message-id">0485674</messageId>
    <sentBy>CCSTUS6S</sentBy>
    <sendTo>AMAGGB22XXX</sendTo>
    <creationTimestamp>2010-09-10T15:00:00-00:00</creationTimestamp>
  </header>
  <isCorrection>false</isCorrection>
  <correlationId correlationIdScheme="http://www.imgr.com/schemes/correlation-id">CORR019</correlationId>
  <sequenceNumber>3</sequenceNumber>
  <onBehalfOf>
    <partyReference href="SKY" />
  </onBehalfOf>
  <productType productTypeScheme="http://www.fpml.org/coding-scheme/product-type-simple">InterestRateSwaption</productType>
  <optionExercise>
    <tradeIdentifier>
      <partyReference href="SKY" />
      <tradeId tradeIdScheme="http://www.swift.com/coding-scheme/contract-id">IRS2</tradeId>
    </tradeIdentifier>
    <exerciseDate>2010-09-09</exerciseDate>
    <exerciseTime>12:00:00Z</exerciseTime>
    <exerciseInNumberOfOptions>1000</exerciseInNumberOfOptions>
    <outstandingNumberOfOptions>0</outstandingNumberOfOptions>
<!-- implies the options no longer exist -->
    <settlementType>Cash</settlementType>
<!-- uses FpML enumeration: SettlementTypeEnum -->
    <payment id="OPTION_EXERCISE_FEE">
      <payerPartyReference href="AMAG" />
      <receiverPartyReference href="SKY" />
      <receiverAccountReference href="ACC0" />
      <paymentDate>
        <adjustableDate>
          <unadjustedDate>2010-09-09</unadjustedDate>
          <dateAdjustments>
            <businessDayConvention>NONE</businessDayConvention>
          </dateAdjustments>
        </adjustableDate>
      </paymentDate>
      <paymentAmount>
        <currency>USD</currency>
        <amount>100000</amount>
      </paymentAmount>
    </payment>
  </optionExercise>
  <paymentDetails>
    <paymentReference href="OPTION_EXERCISE_FEE" />
    <grossCashflow>
      <cashflowId cashflowIdScheme="http://www.imgr.com/schemes/cashflow-id">IRS-VALUE</cashflowId>
      <payerPartyReference href="AMAG" />
      <receiverPartyReference href="SKY" />
      <cashflowAmount>
        <currency>USD</currency>
        <amount>100000</amount>
      </cashflowAmount>
      <cashflowType cashflowTypeScheme="http://www.fpml.org/coding-scheme/cashflow-type">Fee</cashflowType>
    </grossCashflow>
  </paymentDetails>
  <party id="AMAG">
    <partyId partyIdScheme="http://www.fpml.org/coding-scheme/external/iso17442">969500T86SHG919ON888</partyId>
    <partyName>International Bank Asset Management</partyName>
  </party>
  <party id="SKY">
    <partyId partyIdScheme="http://www.fpml.org/coding-scheme/external/iso17442">549300HTD3SZJWA5TS80</partyId>
    <partyName>Sky Limited</partyName>
  </party>
  <account id="ACC0">
<!-- account info added 9/24 -->
    <accountId accountIdScheme="http://www.party2.com/bondifre">5462346</accountId>
    <accountName>LDF Main Fund</accountName>
    <servicingParty href="AMAG" />
  </account>
</executionAdvice>
