Case File
efta-02696024DOJ Data Set 11OtherEFTA02696024
Date
Unknown
Source
DOJ Data Set 11
Reference
efta-02696024
Pages
5
Persons
0
Integrity
Extracted Text (OCR)
Text extracted via OCR from the original document. May contain errors from the scanning process.
DETAIL
LEON & DEBRA BLACK
PROJECTED CASH FLOW
FY 2015
[repeated 12 times]
FY 1015
FY 2015
PREPARED BY A IOSLIN
JAN 1.15
JAN 16.31
APRIL 1.15
APRIL 16.30
TOTAL
FEB 27 2015
MN
JAN
FEB
MAR
APRIL
APRIL
JUN
JULY
AUG
SEP
OCT
NOV
DEC
NET INFLOW
MAY
PAYMENT DATE: OSP/ GRAT
1/9/2015
1/24/2015
2/27/2015
3/3/2015
4/15/2015
4/24/205
5/7/2015
6/3/2015
7/20/2015
8/7/2015
9/3/2015
10/24/2015
11/7/2015
12/3/2015
INFLOWS
BFP LP DISTIVB
2,003,428
•
2,810,745
5533,378
5,781,892
5,183,717
28801,490
GRAY ANNUITY
70,200,013
38,610,00)
16,575.389
40,033.658
4,733.011
13,416,732
1,067,418
16.081,324
171,718,545
LOAN PROCEEDS BOFA • ART
9,000.000
4,700.000
13,700.000
LOAN PROCEEDS LOB 2014LLC (DUE 4/30/15)
6,000,000
6,000,000
DISTRIS (TRUST) . DIM. APO 2
10,001.000
10,000.000
DISTRIB ICORP) ORB DRB PRODUCTIONS
560,000
560.000
SALE
ARIZONA PROPERTY
1.410.497
1,410,497
SALE
CLASS B INTEREST AP NARROWS LLC
10,000.000
LOAN REPAYMENT- ARTSPACE ORB
450.000
450.000
LOAN REPAYMENT- PHAIDON GLOBAL ORB
1,000,000
1,000,000
OTHER REFUNDS/ REalPTS
3.166
31.779
35045
TOTAL INFLOWS
18,563,694
30,642,289
12,191,331
50,060,000
2,810,745
16,575,389
5,533,378
40,033.658
4,733.011
5,781,892
23,016,732
1,067,418
5,183,717
26,082,324
243,675,577
OUTLOWS
HOUSEHOIO/ TRANSFER TO MS
(5,030,000)
(3.000,003)
(3.000.000)
(3,000.000)
(3.000000)
(17000.000)
FINE ART
(185.305)
110534,198)
1501,022)
1171,,2:711680t3504
24)))
RARE BOOKS
118.304)
FURNITURE ET Al.
(248,305)
(315.556)
136.745)
ART EXPENSE - CONSULTANT/INSURANCE
(4005031
BOFA • MT LOAN - 5470MM; LIBOR 1M+ 125: 5/2015
BOAT: DEBT SERV - 517.2MM; LIBOR IDAY•185; 12/2018
1105.787)
1105.749)
11,794003)
(106000)
(106.000)
(106.000)
(1,79000)
1106.000)
(1 20 ,000
000
(106,000)
(106.000)
(106,030)
(1,790.0001
1106,0001
1.(2471.736))
BOAT- USE (NET OF CHARTER REVENUE)*
(4°"3°)
(200,000)
162.000
(200,003)
(200,000)
((n0106:000060))
(600.606)
(200,000)
[repeated 3 times]
21:2743°
787202/
PLANE: DEBT SERV - 521.1MM; LIBOR IM.172; 9/2016
(158.202)
(162,000)
(162.000)
(162,000)
(162.000)
II210006.,000000:
(162.003)
(162,030)
(162,000)
(162.030)
(162,000)
PLANE USE (NET OF REIMBURSEMENT)*
(98.139)
(300,000)
(300.000)
[repeated 4 times]
986010)
(300.000)
(300,000)
(30":"
(30110°D)
3,098.139)
TOWNHOUSE - CONSTRUCTION
1986,0101
72
:30000
(986,010) f300000)
TRANSFER TO NARROWS LW
15,630000) ,695
3285.:0266
30):
5,630,000)
APO I INTEREST
(6,831,316)
(6,831.316)
16,831,316)
(6.831,316)
LOAN REPAY . LDS 201411C (DUE 4/30/151
16,000,000)
6,000,000)
INSURANCE/TAXES - PROPERTY
(334,000)
1137,000)
(190,000)
(27,000)
(688.000)
LEGAL & ACCOUNTING . CURRENT
(150.000)
(150.000)
1150,0001
LEGAL & ACCOUNTING - PRIOR YEAR
CHARITY
1391,300)
•
(750,000)
-
(10.250.000)
00.250,000)
(24(600
500.030)
,
.0001
IRS - INCOME & GIFT
(21030000)
(12.429.351)
(5,774,750)
:45;4 ',.°°7
750):
19.11:914781.5300
51))
NYS/CA/ IA INCOME TAX
(15,470,000)
(7.900,000)
13,059.000)
13,059,000)
130,288.000)
USE ET AL TAX
(6.500.000)
(6,500.000)
ADVISORY/ TRUSTEE FEE
15,000000)
(41,824)
(5,000,000)
(5,000,000)
(10.000,0001
(25,041520)
SUPPORT - CHILDREN
120.000)
MISC OUTFLOW
12,554)
(1.849)
112.203)
(20,000)
(16,606)
TOTAL OUTFLOWS
(26.456.164)
(26,427.389)
(6,993.487)
(12.743,316)
128.583.361)
(11.750,000)
(0.502,0001
(18,777.066)
(17,141,010)
(3.768,000)
(22,967,066)
(6.754.010)
(3,768,000)
129.820.3161
(210,451,187)
NET IN(OUT)FLOWS
17,892,470)
1,214,900
5,197,800
37,316,684
(25,772,616)
4,625,359
1,031,378
21,756,592
(12,407,999)
2,013,892
449,666
(4,686,592)
1,415,717
(3,737,992)
23,224,390
CASH BALANCE
18,444,902
12,659.802
17,857.647
65,174,330
39,001,710
44,127,103
45,258,480
66,515,022
54,102,073
56,110,965
56.570.630
51.884,038
53,299,754
49.561,761
• ANNUAL ESTIMATED OUT OF POCKET COST SPREAD RATABLY
CHANGE FROM FEB 15 2015:
CHANGE • EOM CASH
11,683.787)
2,839,539
2,839.539
487.949
521.535
324.372
443,545
441,018
321,845
443.545
565,246
443,545
Page 1 441
EFTA_R1_02048227
EFTA02696024
BLACK FAMILY PARTNERS
CASH PROJECTIONS
FY 2015
[repeated 11 times]
EY 2015
Pe 2015
PREPARED BY R 10SUN
TOTAL
FEB 27 2015
/AN
FEB
MM
MR
MAY
JUN
JULY
AUG
SEP
OCT
NOV
DEC
INFLOWS
APOLLO RELATED:
2/27/2015
4/15/2015
5/7/2015
4/7/2015
11/7/2015
APO D5TRIBUTION PER SR
$
0.86
$
042
$
0.42
S
0.42
APO DISTRIBUTION • PUBLIC
79,745,361
38.945.410
38.945.410
38,945,410
196.58).591
APO CORP TAX DISTRIB
1,854,543
1,854.543
GROSS UP - ONI TO AP PROFESSIONALS
16.690.890
16.690.890
TRA
16.581.365
16,581.365
INVESTMENT RELATED:
DISTRIB (LP) • TENFORE
57,333
57.333
DISTRIB BP) KNOWLEDGE UNIVERSE LIQUIDATION
4,004000
4.000.000
DISTRIB (LP) - KNOWLEDGE UNIVERSE LIQUIDATION • PROPCO
5,000,000.00
6000,000
SALE K12 INC (LM)
665,721
1,129,299
1,795,020
SALE & DISTRIB & FEE SUSTAINABLE WOODLANDS
15,694,938
(161,446)
15,533,493
SALE I -INK
110,100
110,100
REDEMPTION • LOAN CASCADE
10,000,000
10,000.003
REDEMPTION APOLLO VIE (EFF 3/31/15)
6.965,100
6.965,100
REDEMPTION • KING ST (SIDE POCKET)
5,049
5.449
DIVIDEND - AINV
120.726
120.726
120,726
120,726
482.906
LOAN REPAYMENT MANION GLOBAL
11,350.030
LOAN REPAYMENT P1.B LOAN
3,200,040
INT REPAY. PLB/ UP
381,000
HERITAGE PAYMENT
675.192
675.192
TOTAL INFLOWS
25,983,098
79,589.403
7.409,528
40.376.823
45.914510
6.282.463
38.945.410
5,120,726
43,646,059
293,264.020
OUTFLOWS (EXCL DISTRIBUTIONS TO LP'S)
•
CAPITAL CALL- /CI II
CAPITAL CALL - COP CO-INVEST III
(192,874)
12844741
(1,526,919)
(659,000)
(450,000)
(600,000)
(1,125.000)
(750,0001
(500.000)
(1,125,000)
(504000)
004000)
(1,125,000)
(500030)
(500,000)
(1(.512006 000
001
(500,000
(6,878,793)
(5,584,874)
CAPITAL CALL • ATHENE
(41,600,000)
(41.600.000)
CAPITAL CALL-TENFORE
(16,8171
CAPITAL CALI. - HAO
(60,000)
(250.000)
1250.000)
($16.817)
(60.000)
CAPITAL CALL - OWL
1650,000)
440000
(650.003)
(1.300.010)
FAMILY OFFICE
(170,000)
MISC
(95)
(S02,100)
(440.000)
(440,000)
(440.000)
(440400)
(440000)
(440,000)
(440,0001
(444000)
(440030
(5,172,000)
(95)
TOTAL OUTFLOWS (EXCL DISTRIB. TO LP'S)
(824,660)
(2,028,919)
(44,049000)
(1,040,000)
(2,315,000)
(1,590.000)
(2,065000)
(1,190,000)
12.0654001
(940,000)
(2,065,000)
(940,000
161,112.579)
DISTRIBUTIONS TO LIMITED PARTNERS
(24,999,9991
(55,000,000)
(35.126.796)
(38,945.410)
(38.945.410)
(38,945,410)
(231.963.025)
NET CASH BY MONTH
158.439
22,560,484
(36,639,472)
4,210,027
4,650,100
(1,590,000)
4217,463
(1,190.000)
(2.065,000)
4.180,726
2,635,650
(940.000)
188.417
CASH BALANCE
11,275,692
40434,176
4,196,704
8,406,731
13,056,431
11,466,831
15,644,293
14,494,293
12,429,293
16,610,020
19,245,669
14.305,149
CHANGE FROM FEB 15 2015:
CHANGE - EOM CASH
(7,411.633)
1,405,495
672,463
5,739.229
5,215,896
9,729,299
9.205.966
7457,632
7.034,299
10,086,61$
9,563,282
Page 1 oil
EFTA_R1_02048228
EFTA02696025
APO 1 (INC LDB 2011 LLC/ LBF HOLDINGS)
PROJECTED CASH FLOW
FEB 27 2015 - R JOSLIN
INFLOWS
FY 2015
JAN
FY 2015
FEB
FY 2015
MAR
FY 2015
APRIL
FY 2015
MAY
FY 2015
JUN
FY 2015
JULY
FY 2015
AUG
FY 2015
SEP
FY 2015
OCT
FY 2015
NOV
FY 2015
DEC
FY 2015
TOTAL
INT INCOME - LOB REAPYMENT
6,831,316
[repeated 4 times]
27,325,266
INT INCOME
1,425
1,425
DIVIDEND INC
148,021
144,790
[repeated 3 times]
582,390
LOAN- BFP PHAIDON GLOBAL
LOAN DRB
APOLLO CREDIT OPP FUND I
30,182
30,182
NARROWS PURCHASE PRICE ADJ APO 1
FCI INVESTORS I (LDB 2011 LLC)
402,631
1.000000
1,402,631
APOLLO REAL ESTATE INV LOB 2011 LLC
TOTAL INFLOWS
552,077
30,182
6,831,316
144,790
6,831,316
144,790
6,831,316
144,790
7,831,316
29,341,893
DISBURSEMENTS
TOWNHOUSE - REMAINDER INTEREST
(167,833)
(167,833)
(2,013,990)
[repeated 3 times]
(167,833)
16,545,468)
CAPITAL CALL -SEARCHLIGHT
(359,894)
(90,106)
(450,000)
PURCHASE CLASS B INTEREST AP NARROWS
(10,000,000)
PHAIDON PRESS
ACTUAL
REGAN ARTS
ACTUAL
DISTRIB - BEN
13,200.000)
LOAN PHAIDON GLOBAL (REFI BFP - PRINCIPAL)
116.550.000)
LOAN PHAIDON GLOBAL (REFI - BFP INTEREST)
(381,000)
SALES / USE TAX
18,756)
(1,255,717)
(1,264,473)
ART INSURANCE/ FRAMING
(66,332)
(140000)
(206.332)
ART Rhinoceros (B. 136; M, Hill. CORER, ALBRECHT
ART - Volo di Rondini
EtALLA, GIACOMO
VALUATION, LEGAL, ACCOUNTING
(55AU)
(55,888)
MISC
(35)
(35)
TOTAL DISBURSEMENTS
(368,685)
(290,053)
(19,436,447)
(3,269,707)
(8,265,832)
(140,000)
(2,013,990)
(4,700,650)
(167,833)
(38,653,196)
NET CASH BY MONTH
183,392
(259,8711
(12.605.130)
(3,124918)
6.831.316
(8.121.043)
6.691,316
(1,869,200)
(4.700.650)
7.663.484
19.311.302)
CASH BALANCE
31,217,507
30,957,637
18,352,507
15,227,589
15,227,589
22,058,905
13,937,863
13,937,863
20,629,179
18,759,979
14,059,329
21,722,813
CHANGE FROM FEB 15 2015:
CHANGE EOM CASH
2,816,500
(16,178,715)
(16,057,015)
(16,198,815)
116,175,715)
(22,295,171)
122,236,871)
(22,139,071)
(21,883,671)
126,578,921)
(26,646,821)
Page 1 of 1
EFTA_R1_02048229
EFTA02696026
APO 2
PROJECTED CASH FLOWS
FY2015
PREPARED BY Ft JOSLIN
FEB 27 2015
JAN
BFP DISTRIBUTION DATE
INFLOWS
FY2015
FEB
BFP
DISTRIB
2/28/2015
FY2015
MAR
FY2015
APRIL
BFP
DISTRIB
4/15/2015
FY2015
MAY
BFP
DISTRIB
5/7/2014
FY2015
JUN
FY2015
JULY
FY2015
AUG
BFP
DISTRIB
8/7/2014
FY2015
SEP
FY2015
OCT
FY2015
NOV
BFP
DISTRIB
11/7/2014
FY2015
DEC
FY 2015
TOTAL
BFP DISTRIBUTIONS
3,137,447
6,902,384
4,408.339
4,887,567
[repeated 3 times]
29,110,871
SALE - 101 WARREN ST
4,061,810
4,061,810
DISTRIB (LP) - BLUE STAR
5,997
5,997
DISTRIB (LP) - M RELATED
45.500
45,500
[repeated 3 times]
182,000
MISC INFLOWS
260
260
TOTAL INFLOWS
7,250,754
6,902,384
4,453,839
4,887,567
45,500
4,887,567
45,500
4,887,567
33,360,678
DISBURSEMENTS
DISTRIBUTION TO ORB
110.000.000)
(10,000,000)
LOAN REPAYMENT ORB - PHAIDON/ REGAN ARTS
(1,000000)
LOAN REPAYMENT DRB - ARTSPACE
(450,000)
ARTSPACE
(2,475,000)
PHAIDON PRESS
(1,200,000)
REGAN ARTS
(5,600,000)
SH MEADOW - CONSTRUCTION
(700,000)
(1,466,900)
[repeated 3 times]
(733,500)
(5,834,200)
SH MEADOW - REAL ESTATE TAX
(160,000)
1160,0001
(320,000)
MIAMI PROPERTY ACQUISITION
(8,250,000
(8.250,000)
USE TAX
1261,813)
(261,813)
ART INSURANCE
(206,000)
(206,000)
DISTRIB TO JOSH BLACK
(9,500)
(9,500)
(19,000)
LEGAL & ACCOUNTING FEES
(20,000)
(20.000)
MISC OUTFLOWS/ EXPENSES
(12.0121
(12,012)
TOTAL DISBURSEMENTS
(721,512)
(379,500)
(5,566,900)
(1,728,713)
(1,626,900)
(3,158,500)
(3,356,000)
(700,000)
(8,410,000)
(25,648,025)
7,712,653
NET CASH BY MONTH
6,529,242
6,522,884
(5,566,900)
2,725,126
3,260,667
13.158,500)
45,500
4,887,567
(3,356,000)
45,500
4,187,567
(8,410,000)
CASH BALANCE
20,080,735
26,607,619
21,000,719
23,765,845
27,026,512
23,868,012
23,913,512
28,801,079
25,445,079
25,490,579
29,678,146
21,268,146
CHANGE FROM FEB 15 2015:
CHANGE - EOM CASH
26,275,932
23,606,432
24,197,532
23,161,532
21,212,432
21,853,652
22,735,752
21,035,252
22,591,252
21,273,752
21,168,079
Page 1 of 1
EFTA_R1_02048230
EFTA02696027
LDB 2014 LLC
PROJECTED CASH FLOWS
FEB 27 2015 R JOSLIN
INFLOWS
FY 2015
JAN
BFP
DISTRIB
FY 2015
FEB
BFP
DISTRIB
FY 2015
MAR
BFP
DISTRIB
FY 2015
APRIL
FY 2015
MAY
FY 2015
JUN
FY 2015
JULY
FY 2015
AUG
FY 2015
SEP
FY 2015
OCT
FY 2015
NOV
FY 2015
DEC
FY 2015
TOTAL
1/9/2015 2/27/2015
4/15/2015
5/7/2015
8/7/2015
11/7/2015
CASH ON HAND
INFLOWS
BFP DISTRIBUTION
1,792,125
3,942,675
2,518,064
2,791,802
[repeated 3 times]
16,628,270
REPAYMENT - LOAN - LDB
6,000,000
6,000,000
TOTAL INFLOWS 1,792,125
3,942,675
8,518,064
2,791,802
[repeated 3 times]
•
22,628,270
DISBURSEMENTS
LOAN -LDB
(6,000,000)
-6000000
TOTAL OUTFLOWS (6,000,000)
-
(6,000,000)
NET CASH BY MONTH
(4,207,875) 3,942,675
8,518,064
2,791,802
[repeated 3 times]
16,628,270
CASH BALANCE
5,575,225
9,517,900
9,517,900
18,035,964
20,827,766
[repeated 3 times]
23,619,568
[repeated 3 times]
26,411,370
26,411,370
Page 1 of 1
EFTA_R1_02048231
EFTA02696028
Technical Artifacts (16)
View in Artifacts BrowserEmail addresses, URLs, phone numbers, and other technical indicators extracted from this document.
Phone
(4005031Phone
12844741Phone
2696024Phone
2696025Phone
2696026Phone
2696027Phone
2696028Phone
6000000Phone
695
3285Phone
745
5533Phone
787)
1105Phone
790.0001Phone
820.3161Phone
914781.5300SWIFT/BIC
ALBRECHTSWIFT/BIC
EXPENSESForum Discussions
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