Text extracted via OCR from the original document. May contain errors from the scanning process.
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Total enclosures: 1
Page 1 of 13
JPMorgan Chase Bank, N.A.
967 000 PB
457 MADISON AVE
4TH FLOOR
NEW YORK NY 10022
Your JPMorgan Private Bank Team:
MELISSA DALTON
Private Bank ServiceLine
For assistance after business hours,
7 days a week.
Morgan Premier Banking Summary
739-110438
Deposit Accounts
Premier Checking
Description
Total
Number
Opening
Balance
$239,176.23
Total Credits
$17,113,435.68
Total Debits
$16,593,859.83
Ending
Balance
$758,752.08
$758,752.08
EFTA01526919
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 2 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Summary
Opening Balance
Deposits and Credits
Checks, Withdrawals and Debits
Ending Balance
Activity
Date
Description
Opening Balance
May 01
Fedwire Debit
/042000314
May 01
REF: REF: 30 PERCENT DEPOSIT ON THE
FOUNTAIN/TIME/16:56
IMAD: 050181QGCO2C006813
Fedwire Debit
/121000248
REF: REF:50 PERCENT DEPOSIT ON BACK
HOE
May 01
IMAD: 050181QGCO6C005909
Fedwire Debit
/221571473
A/C: LSJ, LLC
May 02
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802
IMAD: 050181QGCO7C007080
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA A/C# 000
00000000739470663 TO DDA A/C# 00000
000000739110438 Phone instructions
from client
May 02
Internal Funds Transfer
FUNDS TRANSFERRED FROM ASSET AC# Q3
0171005 TO DDA AC# 739110438 As req
EFTA01526920
uested
$1,000,000.00
$1,049,127.25
$150,000.00
$39,127.25
$239,176.23
$17,113,435.68
$16,593,859.83
$758,752.08
Average Balance
Interest Paid this Period
Interest Paid Year to Date
Annual Percentage Yield
Debit
$7,125.00
Credits
$702,842.09
$1,245.31
$10,349.40
2.11%
Balance
$239,176.23
$232,051.23
$42,923.98
$189,127.25
$10,000.00
$49,127.25
EFTA01526921
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 3 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 02
Description
Book Transfer
NEW YORK NY 10021ORG:
/00000000000739110438
May 02
May 03
NOS- 31857 31858 31407 31838
Check Paid # 1150
Fedwire Debit
/067014466
May 03
IMAD: 0503B1QGC03C005914
Fedwire Debit
/063000021
May 03
IMAD: 0503B1QGC06C006184
Fedwire Debit
VIA: HSBC USA
/021001088
May 03
IMAD: 0503B1QGC06C006010
Fedwire Debit
/066015576
May 03
May 04
EFTA01526922
IMAD: 0503B1QGCO2C006099
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739470663 As reque
sted
Fedwire Debit
/102103407
IMAD: 0504B1QGC08C006871
$4,500.00
$753,047.89
$100,000.00
$757,547.89
$50,000.00
$857,547.89
Debit
$6,579.36
Credits
(cont.)
Balance
$1,042,547 89
$40,000.00
$20,000.00
$1,002,547.89
$982,547.89
$25,000.00
$957,547.89
$50,000.00
$907,547.89
EFTA01526923
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 4 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 04
May 04
Description
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739554964 As reque
sted
Fedwire Debit
/066004367
May 07
REF: LAS-FILE 19859 071200 375533
IMAD: 0504B1QGC04C002899
Fedwire Debit
/221571473
A/C: LSJ LLC
May 08
May 08
REF: ACCT NAME LSJ LLC 6300 RED HOO
K QUARTERS B-3 ST THOMAS USVI 00802
IMAD: 0507B1QGC04C004767
Deposit
143726739
Fedwire Debit
/121000248
May 08
May 09
IMAD: 0508B1QGC05C005336
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739121472 Letter f
rom client
Fedwire Credit
/043000261
B/0: FINANCIAL TRUST COMPANY INC
ST THOMAS VI 00802-1348
EFTA01526924
REF: CHASE NYC/CTR/BNF=JEFFREY E EP
STEIN NEW YORK NY 10022-/AC-0000000
07391 RFB=O/B MELLON BANK BBI=/TIME
/13:59
IMAD: 0509D3QCI200003486
$1,000,000.00
$1,465,109.41
$100,000.00
$465,109.41
$50,000.00
$28,085.95
$714,961.94
Debit
$10,000.00
Credits
(cont.)
Balance
$743,047.89
$100,000.00
$614,961.94
$147.47
$615,109.41
$565,109.41
EFTA01526925
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 5 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 09
Description
Fedwire Debit
/221571473
A/C: LSJ LLC
May 09
REF: 6300 RED HOOK QUARTERS B-3 ST
THOMAS USVI 00802/ACC/1518 PONCE DE
LEON AVENUE PO 9146 SAN JUAN 00908
IMAD: 0509B1QGC05C005541
Fedwire Debit
/221571473
May 09
REF: /ACC/1518 PONCE DELEON AVE PO
9146 SAN JUAN, PR 00908
IMAD: 0509B1QGCO5C005553
Fedwire Debit
/067009646
REF: INC. RE: INVOICE NO 270401/ACC
/ATTN: DARLENE MENDEZ 561-688-9400/
TIME/17:04
May 09
May 09
IMAD: 0509B1QGCO7C006515
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 000000119024 As re
quested
Fedwire Debit
/063000021
May 09
IMAD: 0509B1QGC05C003648
EFTA01526926
CHIPS Debit
/0959
BOSTON MA 02106
SSN: 0263505
$75,000.00
$1,291,402.44
$50,000.00
$1,366,402.44
Debit
$5,000.00
Credits
(cont.)
Balance
$1,460,109.41
$13,400.00
$1,446,709.41
$30,306.97
$1,416,402.44
$75,000.00
$1,216,402.44
EFTA01526927
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 6 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 09
Description
CHIPS Debit
/0108
May 09
PC IOLA ACCOUNT
SSN: 0259747
Fedwire Debit
/011075150
May 09
IMAD: 0509B1QGCO8C003805
Fedwire Debit
/221571473
A/C: LSJ LLC
May 09
REF: 6300 RED HOOK QUARTERS B-3 ST
THOMAS USVI 00802
IMAD: 0509B1QGC06C003352
Fedwire Debit
/011075150
May 10
IMAD: 0509B1QGC08C006649
Book Transfer
PUTNAM VALLEY NY 10579-2107
ORG: /00000000000739110438
May 14
Book Transfer
NEW YORK NY 10021ORG:
/00000000000739110438
EFTA01526928
NOS- 31835 31836
$3,109.21
$735,097.23
$3,196.00
$738,206.44
$150,000.00
$916,402.44
Debit
$75,000.00
Credits
(cont.)
Balance
$1,141,402.44
$75,000.00
$1,066,402.44
$175,000.00
$741,402.44
EFTA01526929
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 7 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 14
Description
Fedwire Debit
/221571473
A/C: LSJ LLC
May 14
REF: 6100 RED HOOK QUARTERS B-3 ST
THOMAS USVI 00802/ACC/1518 PONCE DE
LEON AVENUE PO 9146 SAN JUAN 00908
IMAD: 0514B1QGC01C005396
Fedwire Debit
/221571473
A/C: LSJ LLC
May 15
May 17
May 17
REF: ACCT NAME LSJ LLC 6300 RED HOO
K QUARTERS B-3 ST THOMAS USVI 00802
IMAD: 051481QGCO1C005511
Deposit
140061160
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739474340 As reque
sted
Fedwire Debit
/221571473
A/C: LSJ LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
May 17
May 18
IMAD: 0517B1QGC07C006453
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739470663 As reque
EFTA01526930
sted
Book Transfer
ORG: /00000000000739110438
$15,000.00
$290,140.13
$250,000.00
$305,140.13
$100,000.00
$555,140.13
$50,000.00
Debit
$10,000.00
Credits
(cont.)
Balance
$725,097.23
$20,000.00
$705,097.23
$42.90
$705,140.13
$655,140.13
EFTA01526931
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 8 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 21
Description
Fedwire Credit
/043000261
B/0: FINANCIAL TRUST COMPANY INC
ST THOMAS VI 00802-1348
REF: CHASE NYC/CTR/BNF=JEFFREY E EP
STEIN NEW YORK NY 10022-/AC-0000000
07391 RFB=O/B MELLON BANK BBI=/TIME
/16:33
May 21
IMAD: 0521D3QCI200005495
Fedwire Debit
/121000248
May 21
May 22
IMAD: 0521B1QGC05C006016
Book Transfer Debit
A/C: NES, LLC
NEW YORK NY 10022CHIPS
Credit
VIA: CITIBANK
/0008
B/0: FINANCIAL TRUST COMPANY INC
ST THOMAS VI008021348
May 22
REF: NBNF=JEFFREY E EPSTEIN NEW YOR
K NY 10022-/AC-000000007391 ORG=/03
86605612 ST THOMAS VI008021348 OGB=
/09253186 NY NY 10041
SSN: 0303143
Book Transfer
AMSTERDAM NETHERLANDS 1017 EP
ORG: /00000000000739110438
REF: /ACC/SWF/ROYCCAT2 BR NO 013120
03
EFTA01526932
May 22
Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
10438 TO DDA AC# 739470663 As reque
sted
$150,000.00
$1,905,640.13
$150,000.00
$1,000,000.00
$1,090,140.13
$2,090,140.13
$50,000.00
$1,240,140.13
Debit
Credits
$1,000,000.00
(cont.)
Balance
$1,290,140.13
$34,500.00
$2,055,640.13
EFTA01526933
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 9 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 22
Description
Fedwire Debit
/067009646
LM BEACH INC REF: INVIOCE 270433/AC
C/ATTN DARLENE MENDEZ 516 688 9400/
TIME/17:09
May 22
IMAD: 0522B1QGC04C005450
Fedwire Debit
/221571473
May 23
IMAD: 0522B1QGC04C002991
Fedwire Credit
/121000248
B/0: PROTECTOR USA INC
ALAMEDA CA 94501-7514
May 24
REF: CHASE NYC/CTR/BNF=JEFFREY E EP
STEIN NEW YORK NY 10022-/AC-0000000
07391 RFB=O/B WELLS FARGO OBI=PURCH
ASE OF 2004 PROTECTOR BBI=/TIME/15:
IMAD: 0523I1B7039R002047
Fedwire Debit
/051400549
PORTATION
May 25
IMAD: 0524B1QGC04C005280
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
EFTA01526934
NEW YORK NY
REF: /0CMT/USD2989,47/BNF/EUR2172.5
8
$2,989.47
$1,115,202.45
$102,000.00
$1,168,191.92
$552,841.14
$1,066,191.92
Debit
$286,607.07
Credits
(cont.)
Balance
$1,619,033.06
$50,000.00
$1,118,191.92
EFTA01526935
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 10 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 25
Description
Book Transfer
NY, NY 10022
May 25
ORG: /00000000000739110438
Fedwire Debit
/221571473
A/C: LSJ LLC
May 25
REF: ACCT NAME LSJ LLC 6300 RED HOO
K QUARTERS B-3 ST THOMAS USVI 00802
IMAD: 0525B1QGC03C002945
Book Transfer
NEW YORK NY 10021ORG:
/00000000000739110438
May 25
NOS- 31890
CHIPS Debit
/0959
REF: REF: JOB NO'S 18321,18322,1832
8
May 25
SSN: 0306072
Fedwire Debit
/221571473
A/C: LSJ LLC
May 25
REF: /ACC/1518 PONCE DELEON AVENUE
PO 9146 SAN JUAN 00908
IMAD: 0525B1QGC04C002948
EFTA01526936
CHIPS Debit
/0108
ACCOUNT
SSN: 0306063
$100,000.00
$856,547.30
$27,000.00
$1,083,876.45
Debit
$4,326.00
Credits
(cont.)
Balance
$1,110,876.45
$50,000.00
$1,033,876.45
$77,329.15
$956,547.30
$100,000.00
$756,547.30
EFTA01526937
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 11 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 29
May 29
Description
Internal Funds Transfer
FUNDS TRANSFERRED FROM ASSET AC# Q3
0171005 TO DDA AC# 739110438 As req
uested
Fedwire Debit
/053207766
May 30
IMAD: 0529B1QGC03C007512
Book Transfer
NEW YORK NY 10021ORG:
/00000000000739110438
May 30
NOS- 31983 LSJ
CHIPS Debit
/0959
A/C: UID 042906
CID/5004941057
May 31
May 31
REF: HSIU JI MAO 975 MEMORIAL DR. A
PT 808 RENT
SSN: 0250477
Interest Paid
Fedwire Debit
/121000248
DES MOINES IA
EFTA01526938
May 31
BEN:
IMAD: 0531B1QGCO2C005254
Book Transfer
PUTNAM VALLEY NY 10579-2107
ORG: /00000000000739110438
$3,466.00
$768,752.08
$12,976,977.85
$779,569.45
Debit
Credits
$13,000,000.00
(cont.)
Balance
$13,756,547.30
$1,596.68
$777,972.77
$5,000.00
$772,972.77
$1,245.31
$2,000.00
$774,218.08
$772,218.08
EFTA01526939
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 12 of 13
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
May 31
Description
Fedwire Debit
/221571473
A/C: LSJ LLC
REF: 6100 RED HOOK QUARTERS B-3 ST
THOMAS USVI 00802/ACC/1518 PONCE DE
LEON AVENUE PO 9146 SAN JUAN 00908
IMAD: 0531B1QGC03C004081
$16,593,859.83
Ending Balance
Checks Paid
Check
1150
Date
May 02
Total Checks
Enclosed Checks: 1
About Your Relationship
We value your relationship with JPMorgan Private Bank. You were not charged
for
services this statement period. Thank You.
Amount Check
$40,000.00
$40,000.00
Date
Amount Check
Date
Amount
$17,113,435.68
$758,752.08
Debit
$10,000.00
Credits
(cont.)
Balance
$758,752.08
EFTA01526940
May 01, 2007 -
May 31, 2007
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 13 of 13
Important Information about Your Statement
Accounts are subject to the General Terms For Accounts and Services and
applicable appendices and account agreements. Your accounts, unless
otherwise indicated on the statement, are held by JPMorgan Chase Bank, N.A.
(the "Bank").
Deposit accounts held at the Bank, including checking, savings, CD, and
money market accounts, are FDIC insured.
In Case of Errors or Questions About Your Electronic Funds Transfers
(personal accounts only)
Telephone or write to the Bank if you think your statement or receipt is
wrong, or if you need more information about an electronic transaction on
a statement or receipt. The phone number for inquiries is printed on the
front of this statement. The address for inquiries appears below. We
must hear from you no later than 60 days after we sent you the FIRST
statement on which the error or problem appeared.
•
•
Tell us your name and account number.
Describe the error or the transfer you are unsure about,
and explain as clearly as you can why you believe it is an
error or why you need more information.
• Tell us the dollar amount of the suspected error.
We will investigate your complaint and will correct any error promptly. If
we take more than 10 business days to do this (20 business days for
transactions outside the U.S. and point-of-sale transactions), we will
recredit your account for the amount you think is in error so that you will
have use of the money during the time it takes us to complete our
investigation.
In Case of Errors or Questions About Non Electronic Transfers
Please examine your account at once. If you feel an error has taken place or
have questions concerning a non-electronic transaction, telephone or
write us within 30 days. The phone number is printed on the front of this
statement. The address appears above. If no report is received within
this period, your account will be considered correct.
Mutual Funds/Securities
Securities (including Mutual Funds) and annuities are not bank deposits and
are not FDIC insured nor are they obligations
of or guaranteed by JPMorgan Chase Bank, N.A. or its affiliates or any
federal or state government or government agency or
government sponsored agency. Securities (including mutual funds) and
annuities involve investment risks, including the
possible loss of the principal amount invested.
The distributor of the JPMorgan Funds is JPMorgan Distribution Services,
Inc., which is an affiliate of JPMorgan Chase Bank, N.A.. JPMorgan
Chase Bank, N.A., and its affiliates receive compensation from JPMorgan
Funds for providing services. Read the JPMorgan Funds prospectuses
EFTA01526941
carefully for details, including fees and expenses, before investing or
sending money.
JPMorgan Select Shares of the Connecticut Daily Tax Free Income Fund, Inc.
and JPMorgan Select Shares of the New Jersey Daily Municipal
Income Fund, Inc. are not part of, or affiliated with, the JPMorgan Family
of Mutual Funds. Reich & Tang Distributors Inc. and Reich & Tang
Asset Management L.P., which are unaffiliated with JPMorgan, are the funds'
distributors and investment advisor, respectively. Reich & Tang
Distributors Inc. is a member NASD.
IRA Accounts
Accounts where the Bank serves as trustee or as discretionary investment
manager for an ERISA plan or an IRA that hold Fiduciary Shares (as
described below) do not bear any portion of investment, administrative,
custodian or other charges paid to the Bank or its affiliates for services to
the applicable JPMorgan Funds since these charges are subject to rebate as
defined below. For accounts where the Bank serves as trustee, or
discretionary investment manager for an ERISA plan or an IRA, which hold
shares in the JPMorgan Funds other than Fiduciary Shares, the Bank
receives fees for services from the JPMorgan Funds but waives account fees
with respect to the funds so held. Fiduciary Shares are shares in the
Select Shares class of JPMorgan Tax Aware Large Cap Value Fund, JPMorgan US
Equity Fund, JPMorgan Tax Aware US Equity Fund,
JPMorgan Tax Aware Large Cap Growth Fund, JPMorgan Mid Cap Equity Fund,
JPMorgan Trust Small Cap Equity Fund, JPMorgan Fleming
International Equity Fund, JPMorgan Short Term Bond Fund II, JPMorgan Bond
Fund II, JPMorgan Tax Aware Enhanced Income Fund,
JPMorgan Tax Aware Short-Intermediate Income Fund, JPMorgan Intermediate Tax-
Free Income Fund, JPMorgan Tax-Free Income Fund,
JPMorgan California Bond Fund, JPMorgan NY Intermediate Tax Free Income Fund
and JPMorgan NJ Tax Free Income Fund held in the Bank's
trust accounts or in the Bank's investment management accounts for ERISA
plans or IRAs. "Rebate" means an amount returned by the Bank to
the account which holds the Fiduciary Shares. The rebate amount represents
the portion of servicing fees paid to the Bank by the mutual fund
with respect to Fiduciary Shares.
Please direct all inquiries to your Morgan Account Officer at
JPMorgan Private Bank Client Service
500 Stanton Christiana Road, 1/OPS3
Newark, DE 19713-2107
EFTA01526942