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efta-efta01252939DOJ Data Set 9OtherJEFFREY EPSTEIN
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JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 1
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
Amougr IN
USD
GAIN/LOSS CRI
INVESTMENT USD
04/10/14
OPENING BALANCE
0.00
0.00
04/21/14 04/21/14
138,050
SWEEP PURCHASE
-136,050.00
-138,050.00
DEUTSCHE GOVERMENT CASH
INSTITUT1MAL SHARES
04/21/14 04/22/14
-138,050
PURCHASE FOREIGN EXCHANGE
-138,050.00
-138,050.00
SPOT
THROUGH: DEUTSCHE BANK - LO4KON
BUY EUR: 100,000.00
SELL USD: 138,050.00
PRICE: 1.38050
04/21/14 04/21/14
138,050
RECEIPT OF FUNDS
136,050.00
136,050.00
04/22/14 04/22/14
138,050
SWEEP SALE
138,050.00
118,050.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/02/14 05/02/14
0.11 SWEEP PURCHASE
-0.11
-0.11
DEUTSCHE GOVERNMENT CASH
INSTITUTIMAL SHARES
05/02/14 05/02/14
CASH DIVIDEND
0.11
0.11
0.111NC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/23/14 05/23/14
134,460
SWEEP PURCHASE
-136,460.00
-136,460.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/23/14 05/27/14
-136,460
PURCHASE FOREIGN EXCHANGE
-136,460.00
-136,160.00
SPOT
THROUGH: DEUTSCHE BANK - LONEON
BUY EUR: 100,000.00
SELL USD: 136,460.00
PRICE: 1.36460
05/23/14 05/23/14
134,460
RECEIPT OF FUNDS
136,460.00
136,460.00
05/27/14 05/27/14
136,460
SWEEP SALE
136,460.00
136,460.00
DEUTSCHE GOVERNMENT CASH
INSTITUTICNAL SHARES
06/03/14 06/03/14
0.11 SHEEP PURCHASE
-0.11
-0.11
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037770
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000594
EFTA_00148379
EFTA01252939
JEFFREY EPSTEIN
TRANSACTION STATEMENT PC0 US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 2
TRADE
SETTLE
DATE
DATE
FACE
MOUNT
DESCRIPTION
AMOUNT IN
USD ex RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
06/03/14 06/03/14
CASH DIVIDEND
0.11
0.11
0.IIINC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
03/30/15 01/30/15
100,000
SWEEP PURCHASE
-100,000.00
-100,00o.00
DEUTSCHE GOVERMENT CASH
IHSTITUTICIIAL SHARES
03/30/15 03/31/15
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCOCON
BUY EVE: 92,336.10
SELL USD: 100,000.00
PRICE: 1.08300
03/30/15 03/30/15
100,000
ADDITION TO PRINCIPAL
100,000.00
100,000.00
FUNDS RECEIVED FROM OBTCO
AMERICAS NYC
03/31/15 03/31/15
100,000
SWEEP SALE
100,000.00
100,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/01/15 04/01/15
0.08 SHEEP PURCHASE
-0.08
-0.08
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/01/15 04/01/15
CASH DIVIDEND
0.08
0.08
0.08INC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
04/16/15 04/16/15
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/16/15 04/11/15
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY P.M: 92,738.57
SELL USD: 100,000.00
PRICE: 1.07830
04/16/15 04/16/15
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
04/17/15 04/17/15
100,000
SHEEP SALE
100,000.00
100.000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037771
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000595
EFTA_00148380
EFTA01252940
JEFFREY EPSTEIN
TRANSACTICE STATEMENT FM US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT' NUMBER:
PAGE 3
TRADE
SETTLE
DATE
DATE
FACE
MOUNT
DESCRIPTION
AMOUNT IN
USD ex RATE
Axougr IN
USD
GAIN/LOSS OCI
INVESTMENT USD
04/28/15 04/28/15
50,000
SWEEP PURCHASE
-50,000.00
-50,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
04/28/15 04/29/15
-50,000
PURCHASE FOREIGN EXCHANGE
-50,000.00
-50,000.00
SPOT
THROUGH: DEUTSCHE BANK - LOICOU
BUY 'UR: 45,578.85
SELL USD: 50,000.00
PRICE: 1.09700
04/28/15 04/28/15
50,000
RECEIPT OF FUNDS
50,000.00
50,000.00
04/29/15 04/29/15
50,000
SWEEP SALE
50,000.00
50,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/04/15 05/04/15
0.38 SWEEP PURCHASE
-0.38
-0.38
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
05/04/15 05/04/15
CASH DIVIDEND
0.38
0.38
0.38INC
DEUTSCHE GOVERMENT CASH
INSTITUTIMAL SHARES
07/02/15 07/02/15
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIMAL SHARES
07/02/15 07/06/15
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LMEON
BUY EUR: 89,928.06
SELL USD: 100,000.00
PRICE: 1.11200
07/02/15 07/02/15
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
07/06/15 07/06/15
100,000
SWEEP SALE
100,000.00
100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
V7/23/33 07/23/15
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037772
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000596
EFTA_00148381
EFTA01252941
JEFFREY EPSTEIN
TRANSACTICE STATEMENT FC44 US DOLLAR
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AMOUNT IN
DESCRIPTION
USD
FX RATE
ACCOUNT NUMBER:
Amougr IN
USD
PAGE 4
GAIN/LOSS CAI
INVESTMENT USD
07/23/15 07/24/15
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EAR: 90,892.56
SELL USD: 100,000.00
PRICE: 1.10020
07/23/15 07/23/15
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
07/24/15 07/24/15
100,000
SWEEP SALE
100,000.00
100.000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
08/03/15 08/03/15
0.44 SWEEP PURCHASE
40.44
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
08/03/15 08/03/15
CASH DIVIDEND
0.44
0.44
0.441NC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
11/03/23 21/03/15
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTICHAL SHARES
11/03/15 11/04/15
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EAR: 91,232.55
SELL USD: 100,000.00
PRICE: 1.09610
11/03/15 11/03/15
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
11/04/15 11/04/15
100,000
SWEEP SALE
100,000.00
100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
11/24/25 11/24/15
500,000
SWEEP PURCHASE
-500,000.00
-500,000.00
DEUTSCHE GOVERM4ENT. CASH
INSTITUTIONAL SHARES
21/24/25 11/25/15
-500,000
PURCHASE FOREIGN EXCHANGE
-500,000.00
-500,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EAR: 469,083.16
SELL USD: 500,000.00
PRICE: 1.06590
SDNY_GM_00037773
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000597
EFTA_00 I 48382
EFTA01252942
JEFFREY EPSTEIN
TRANSACTICt4 STATEMENT PCR US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 5
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
Anougr IN
USD
GAIN/LOSS OH
INVESTMENT USD
11/24/15 11/24/15
500,000
RECEIPT OF FUNDS
500,000.00
500,000.00
11/25/15 11/25/15
500,000
SWEEP SALE
500,000.00
500,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTICNAL SHARES
12/01/15 12/01/15
1.21 SWEEP PURCHASE
-1.21
-1.21
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
12/01/25 22/01/15
CASH DIVIDEND
1.21
1.21
1.21lNC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
01/08/16 01/08/26
380,000
SWEEP PURCHASE
-380,000.00
-380,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTICVAL SHARES
01/08/16 01/11/16
-380,000
PURCHASE FOREIGN EXCHANGE
-180,000.00
-380,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCOCON
BUY EAR: 348,400.11
SELL USD: 360,000.00
PRICE: 1.09070
01/08/16 01/08/16
380,000
RECEIPT OF FUNDS
380,000.00
380,000.00
01/11/16 01/11/16
380,000
SWEEP SALE
380,000.00
380,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
02/01/16 02/01/16
2.28 SWEEP PURCHASE
-2.28
-2.28
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
02/01/16 02/01/16
CASH DIVIDEND
2.28
2.28
2.28INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
03/23/16 03/23/16
400,000
SWEEP PURCHASE
-400,000.00
-400.000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
03/23/16 03/24/16
-400,000
PURCHASE FOREIGN EXCHANGE
-400,000.00
-400,000.00
SPOT
THROUGH: DEUTSCHE RANK - LONDON
BUY EVE: 357,442.85
SELL USD: 400,000.00
PRICE: 1.11906
SDNY_GM_00037774
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000598
EFTA_00148383
EFTA01252943
JEFFREY EPSTEIII
TRANSACTION( STATEMENT PC« US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT' NUMBER:
PAGE 6
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
AMOUNT IN
USD
GAIN/LOSS C41
INVESTMENT USD
03/23/16 03/23/16
400,000
RECEIPT OF FUNDS
400,000.00
400,000.00
03/24/16 03/24/16
400,000
SWEEP SALE
400,000.00
400,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
04/01/16 04/01/16
11.8 SWEEP PURCHASE
-11.80
-11.80
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/01/16 04/01/16
CASH DIVIDEND
11.80
11.80
11.80INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
07/19/16 07/19/16
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
07/19/16 07/19/16
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
07/20/16 07/21/16
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 90,778.86
SELL USD: 100,000.00
PRICE: 1.10158
07/21/16 07/21/16
100,000
SWEEP SALE
100,000.00
100,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
08/01/16 08/01/16
1.6 SWEEP PURCHASE
-1.60
-1.60
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
08/01/16 08/01/16
CASH DIVIDEND
1.60
1.60
1.60INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
01/03/17 01/03/17
105,000
SWEEP PURCHASE
-105,000.00
-105,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SNARES
SDNY_GM_00037775
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000599
EFTA_00148384
EFTA01252944
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR US DOLLAR
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AMOUNT IN
DESCRIPTION
USD
FX RATE
ACCOUNT NUMBER:
Amougr IN
USD
PAGE 7
GAIN/LOSS OH
INVESTMENT USD
01/03/17 01/04/17
-105,000
PURCHASE FOREIGN EXCHANGE
-105,000.00
-105,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUFM 100,617.21
SELL USD: 105,000.00
PRICE: 1.04356
01/03/17 01/03/17
105,000
RECEIPT OF FUNDS
105,000.00
105,000.00
01/04/1? 01/04/17
105,000
SHEEP SALE
105,000.00
105.000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
02/01/17 02/01/17
1.32 SWEEP PURCHASE
-1.32
-1.32
DEUTSCHE GOVERNMENT CASH
THSTITUTICHAL SHARES
02/01/17 02/01/17
CASH DIVIDEND
1.32
1.32
1.32INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
03/03/17 03/03/17
430,000
SHEEP PURCHASE
-430,000.00
-430,000.00
DEUTSCHE GOVERNMENT CASH
IHSTITUTICNAL SHARES
03/03/1? 03/06/17
-430,000
PURCHASE FOREIGN EXCHANGE
-430,000.00
-430,000.00
SPOT
THROUGH: DEUTSCHE SANK - LONDON
BUY EVE: 404,767.98
SELL USD: 430,000.00
PRICE: 1.06234
03/03/17 03/03/17
430,000
RECEIPT OF FUNDS
430,000.00
430,000.00
03/06/17 03/06/17
430,000
SWEEP SALE.
430,000.00
430,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/03/17 04/03/17
5.82 SWEEP PURCHASE
-5.82
-5.82
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
04/03/1? 04/03/17
CASH DIVIDEND
5.82
5.82
5.82INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/31/17 05/31/17
400,000
SWEEP PURCHASE
-400,000.00
-400,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037776
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000600
EFTA_00148385
EFTA01252945
JEFFREY EPSTEIN
TRANSACTION STATEMENT PC44 US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 8
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD ex RATE
Amougr IN
USD
GAIN/LOSS ON
INVESTMENT USD
05/31/17 06/01/17
-400,000
PURCHASE FOREIGN EXCHANGE
-400,000.00
-400,000.00
SPOT
THROUGH: DEUTSCHE RANK - LONDON
BUY EUR: 355,773.76
SELL USD: 400,000.00
PRICE: 1.12431
05/31/17 05/31/17
400,000
RECEIPT OF FUNDS
100,000.00
400,000.00
06/01/17 06/01/17
400,000
SWEEP SALE
400,000.00
400,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
07/03/17 07/03/17
7.99 SWEEP PURCHASE
-7.99
-7.99
DEUTSCHE GOVERMENT CASH
INSTINTICNAL SHARES
01/03/11 01/01/11
CASH DIVIDEND
7.99
7.99
1.99INC
DEUTSCHE GOVERNMENT CASH
INSTITUTICNAL SHARES
07/01/17 07/07/17
650,000
SWEEP PURCHASE
-650,000.00
-650,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
07/07/17 07/10/17
-650,000
PURCHASE FOREIGN EXCHANGE
-650,000.00
-650,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EVE: 569,934.47
SELL USD: 650,000.00
PRICE: 1.11018
01/01/17 07/07/17
650.000
RECEIPT OF FUNDS
650,000.00
650,000.00
07/10/17 07/10/17
650,000
SWEEP SALE
650,000.00
650,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTICNAL SHARES
08/01/17 08/01/17
15.8 SWEEP PURCHASE
-15.80
-15.80
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
08/01/17 08/01/17
CASH DIVIDEND
15.80
15.80
15.80INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037777
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000601
EFTA_00148386
EFTA01252946
JEFFREY EPSTEIN
TRANSACTICt4 STATEMENT PCR US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 9
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
Amougr IN
USD
GAIN/LOSS OH
INVESTMENT USD
09/25/17 09/25/17
100,000
SWEEP PURCHASE
-100,000.00
-100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
09/25/17 09/26/17
-100,000
PURCHASE FOREIGN EXCHANGE
-100,000.00
-100,000.00
SPOT
THROUGH: DEUTSCHE RANK - LR1COU
BUY EUR: 84,334.45
SELL USD: 100,000.00
PRICE: 1.10576
09/25/17 09/25/17
100,000
RECEIPT OF FUNDS
100,000.00
100,000.00
09/26/17 09/26/17
100,000
SWEEP SALE
100,000.00
100,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
10/02/17 10/02/17
2.54 SWEEP PURCHASE
-2.54
-2.54
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
10/02/17 10/02/17
CASH DIVIDEND
2.54
2.54
2.54INC
DEUTSCHE GOVERMENT CASH
INSTITUTICNAL SHARES
10/05/17 10/05/17
200,000
SWEEP PURCHASE
-200,000.00
-200,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIMAL SHARES
10/05/17 10/06/17
-200,000
PURCHASE FOREIGN EXCHANGE
-200,000.00
-200,000.00
SPOT
THROUGH: DEUTSCHE RANK - LONDON
BUY EUR: 170,798.57
SELL USD: 200,000.00
PRICE: 1.17097
10/05/17 10/05/17
200,000
RECEIPT OF FUNDS
200,000.00
200,000.00
10/06/17 10/06/17
200,000
SWEEP SALE
200,000.00
200,000.00
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
11/03/17 11/03/17
20.79 SWEEP PURCHASE
-20.79
-20.79
DEUTSCHE GOVERINEHT CASH
INSTITUTIONAL SHARES
11/03/17 11/03/17
CASH DIVIDEND
20.79
20.79
20.79INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037778
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000602
EFTA_00148387
EFTA01252947
JEFFREY EPSTEIN
TRANSACTICW STATEMENT FOR US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 10
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
MOUNT
DESCRIPTION
USD
IN
EX RATE
AMOUNT IN
USD
GAIN/LOSS GI
INVESTMENT USD
12/01/17 12/01/17
0.03 SWEEP PURCHASE
-0.03
-0.03
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL MARES
12/01/17 12/01/17
CASH DIVIDEND
0.03
0.03
0.03INC
DEUTSCHE GOVERNMENT CASH
INSTITUTICMAL SHARES
01/05/18 01/05/18
0.05 SWEEP PURCHASE
-0.05
-0.05
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
01/05/18 01/05/18
72.3 CASH DIVIDEND
0.05
0.05
O.OSINC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
02/07/18 02/07/18
0.04 SWEEP PURCHASE
-0.04
-0.04
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
02/07/18 02/07/18
72.35 CASH DIVIDEND
0.04
0.04
0.04INC
DEUTSCHE GOVERMENT CASH
INSTITUTICMPL SHARES
02/08/18 02/08/18
72.35 CASH DIVIDEND
-0.04
-0.04
-0.04INC
(REVERSAL)
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
02/08/18 02/08/18
72.35 CASH DIVIDEND
0.04
0.04
0.04INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
03/01/18 03/01/18
0.04 SWEEP PURCHASE
-0.04
-0.04
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
03/01/16 03/01/18
CASH DIVIDEND
0.04
0.04
0.04INC
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
04/02/18 04/02/18
0.05 SWEEP PURCHASE
-0.05
-0.05
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
04/02/18 04/02/18
CASH DIVIDEND
0.05
0.05
0.05INC
DEUTSCHE GOVERNMENT CASH
INSTITUTICNAL SHARES
SDNY_GM_00037779
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000603
EFTA_00148388
EFTA01252948
JEFFREY EPSTEIN
TRANSACTION STATEMENT F(Tft US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AOCOUNT NUMBER:
PAGE 11
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
05/04/18 05/04/18
0.04 SWEEP PURCHASE
-0.04
-0.04
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
05/04/18 05/04/18
CASH DIVIDEND
0.04
0.04
0.04INC
DEUTSCHE GOVERNMENT CASH
INSTITUTICNAL SHARES
06/01/18 06/01/18
0.04 SHEEP PURCHASE
-0.04
-0.04
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
06/01/18 06/01/18
CASH DIVIDEND
0.04
0.04
0.04 INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
06/12/18 06/12/18
250,000
SWEEP PURCHASE
-250,000.00
-250,000.00
DEUTSCHE GOVERNmENT CASH
INSTITUTIONAL SHARES
06/12/18 06/13/18
-250,000
PURCHASE DDREIGN EXCHANGE
-250,000.00
-250,000.00
SPOT
THROUGH: DEUTSCHE BANK FX
BUY SUR: 212,002.93
SELL USD: 250,000.00
PRICE: 1.17923
06/12/18 06/12/18
250,000
RECEIPT OF FUNDS
250,000.00
250,000.00
06/13/18 06/13/18
250,000
SWEEP SALE
250,000.00
250,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
07/02/18 07/02/18
11.71 SWEEP PURCHASE
-11.73
-11.73
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
07/02/18 07/02/18
CASH DIVIDEND
11.73
11.73
11.73INC
DEUTSCHE GOVERNMENT CASH
INSTITUTICNAL SHARES
08/07/18 08/07/18
0.05 SWEEP PURCHASE
-0.05
-0.05
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
08/07/18 08/07/18
CASH DIVIDEND
0.05
0.05
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037780
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000604
EFTA_00148389
EFTA01252949
JEFFREY EPSTEIN
TRANSACTION STATEMENT PCN US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AOCOUNT NUMBER:
PAGE 12
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FE RATE
AMOUNT IN
USD
GAIN/LOSS CH
INVESTMENT USD
09/04/18 09/04/18
0.04 SWEEP PURCHASE
-0.04
-0.04
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
09/04/18 09/04/18
CASH DIVIDEND
0.04
0.04
0.OIINC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
09/27/18 09/27/18
200,000
SWEEP PURCHASE
-200,000.00
-200.000.00
DEUTSCHE GOVERNMENT CASH
IIISTITUTICtIAL SHARES
09/27/18 09/28/18
200,000
PURCHASE FOREIGN EXCHANGE
-200,000.00
200.000.00
SPOT
THROUGH: DEUTSCHE RANK - LONDON
BUY EUR: 171,211.09
SELL USD: 200,000.00
PRICE: 1.16794
09/27/18 09/27/18
200.000
RECEIPT OF FUNDS
200.000.00
200,000.00
09/28/18 09/28/18
200,000
SWEEP SALE
200,000.00
200,000.00
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARPS
10/04/18 10/04/18
33.12 SWEEP PURCHASE
-33.12
-33.12
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
10/04/18 10/04/18
CASH DIVIDEND
33.12
33.12
33.12INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARPS
11/02/18 11/02/18
0.21 SWEEP PURCHASE
-0.23
-0.23
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
11/02/18 11/02/18
CASH DIVIDEND
0.23
0.23
0.23INC
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
12/05/18 12/05/18
0.25 SWEEP PURCHASE
-0.25
-0.25
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
12/05/18 12/05/18
CASH DIVIDEND
0.25
0.25
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
SDNY_GM_00037781
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000605
EFTA_00I 48390
EFTA01252950
JEFFREY EPSTEIN
TRANSACTICH STATEMENT PCH US DOLLAR
FOR PERIOD (O4/1O/2O14 THROUGH 07/12/2019)
AGTOUNT NUMBER:
PAGE 11
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
USD
FX RATE
MOUNT IN
USD
GAIN/LOSS
INVESTMENT USD
O1/O7/19 O1/O7/19
0.25 SHEEP PURCHASE
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
01/07/19 O1/O7/19
117.90 CASH DIVIDEND
DEUTSCHE GOVERIR4F,NT CASH
INSTITUTIONAL SHARES
O2/O6/19 O2/O6/19
0.27 SHEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
02/06/19 O2/O6/19
118.23 CASH DIVIDEND
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
O3/O5/19 O3/O5/19
0.24 SWEEP PURCHASE
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
O3/O5/19 O3/O5/19
CASH DIVIDEND
DEUTSCHE GOVERMENT CASH
INSTITUTICHAL SHARES
O3/13/19 O3/14/19
-18.93 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: STATE ST BR TR CO
BUY EUR: 16.73
SELL USD: 10.93
PRICE: 1.13150
O3/14/19 O3/14/19
O3/15/19 O3/15/19
03/15/19 O3/15/19
O4/14/19 O4/18/19
110.74 SALE OP SECURITY
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
PRICE: USD 1.00
99.93 DEPOSIT ACCOUNT
PAID TO:
35269691 - JEFFREY EPSTEIN
CASH DIVIDEND
DEUTSCHE GOVERMENT CASH
INSTITUTIONAL SHARES
4
RECEIPT OF FUNDS
0.29
-
-0.25
-0.25
0.25
0.25
O.25INC
0.27
0.27
O.27INC
0.24
D.24
O.24INC
-18.93
-10.93
118.74
118.74
-99.93
0.12
-99.93
0.12
4.0O
4.OO
CONFIDENTIAL
O.1218C
SDNY_GM_00037782
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000606
EFTA_00I 48391
EFTA01252951
JEFFREY EPSTEIII
TRANSACTICH STATEMENT PCft US DOLLAR
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A..-COUNT NUMBER:
PAGE 14
TRADE
SETTLE
FACE
DATE
DATE
At4OUKT
DESCRIPTION
AMOUNT IN
USD
EX RATE
AMOUNT IN
USD
GAIN/DOSS CO
INVESTMENT USD
04/19/19 04/19/19
05/14/19 05/14/19
07/12/19
-3.55 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: STATE ST BR TR CO
BUY EUR: 3.16
SELL USD: 3.55
PRICE: 1.12342
0.45 DEPOSIT ACCOUNT
RESIDUAL BALANCE
PAID TO:
35269691 - JEFFREY EPSTEIN
CLOSING BALANCE
-3.55
-3.55
-0.45
-0.45
0.00
0.00
CONFIDENTIAL
SDNY_GM_00037783
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000607
EFTA 00148392
EFTA01252952
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 15
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
Amoumr IN
USD
GAIN/LOSS ON
INVESTMENT USD
04/10/14
OPENING BALANCE
0.00
0.00
04/23/14 04/23/14
2,000
DISBURSEMENT OF FUNDS
-2,000.00
0.7238
-2,763.30
FUNDS TRANS TO BLIP PARIBAS
SSB REFS SCMSI404224641:9 swirr REF11404229A49T
PAID TO:
JEFFREY EPSTEIN
05/02/14 05/02/14
10,000
DISBURSEMENT OF FUNDS
-10,000.00
0.7209
-13.672.49
FUNDS TRANS TO HANDELSBANKEN
SSB REFISCMS14043050117:3
SHIFT REF414050158686
PAID TO:
JEFFREY EPSTEIN
05/08/14 05/08/14
0.27 IDLE CASH INTEREST
0.27
0.7221
0.37
0.37INC
05/09/14 05/09/14
2,000
DISBURSEMENT OF FUNDS
-2,000.00
0.7269
-2,751.30
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFISCMSI40508563105
SWIFT REFI1405089A092
PAID TO:
JEFFREY EPSTEIN
05/09/14 05/09/14
2,500
DISBURSEMENT OF FUNDS
-2,500.00
0.7269
-3,439.13
FUNDS TRANS TO OUP PARIBAS
SSE, RU45.04514050(1563104
SWIFT REF11405089A096
PAID TO:
JEFFREY EPSTEIN
05/22/14 05/22/14
60,000
DISBURSEMENT OF FUNDS
-60,000.00
0.7323
-81.555.98
FUNDS TRANS TO BHP PARIBAS
SSB REPSSCMS140521628732
SWIFT REFfI4052205514
PAID TO:
JEFFREY EPSTEIN
05/28/14 05/28/14
2,461.54 DISBURSEMENT OF FUNDS
-2,461.54
0.7356
-3,346.34
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPOSCMS14052765925
SWIFT REFI14052799WSP
PAID TO:
JEFFREY EPSTEIN
06/06/14 06/06/14
13.26 IDLE CASH INTEREST
13.26
0.7329
18.09
18.09INC
SDNY_GM_00037784
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000608
EFTA_00148393
EFTA01252953
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 16
TRADE
SETTLE
DATE
DATE
FACE
NYSE
DESCRIPTION
AMOUNT IN
EUR
FR RATE kmoumr IN
USD
GAIN/LOSS ON
INVESTMENT USD
06/26/14 06/26/14
2,461.54 DISBURSEMENT OF FUNDS
-2,461.54
0.7346
-3,350.03
FUNDS TRANS TO CREDIT
LYONNAIS
SSE REFISCMS140625848426
SWIFT REF$14062604526
PAID TO:
JEFFREY EPSTEIN
07/02/14 07/02/14
1,547.5 DISBURSEMENT OF FUNDS
-1,567.50
0.7324
-2.140.34
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSD REF4SCMSI40701870773
SWIFT REF114070251064
PAID TO:
JEFFREY EPSTEIN
07/03/14 07/03/14
9,000
DISBURSEMENT OF FUNDS
-9,000.00
0.7349
-12,246.75
FUNDS TRANS TO BHP PARIEAS
SSB REFINCMS1402(363176
SWIFT REFf14070306652
PAID TO:
JEFFREY EPSTEIN
07/11/14 07/11/14
0.51 IDLE. CASH INTEREST
0.51
0.734$
0.69
0.69INC
07/15/14 07/15/14
1,000
DISBURSEMENT OF FUNDS
-1,000.00
0.7371
-1,356.70
FUNDS TRANS TO SOCIETTE
GENERALE
SSE REF4SCMS140714954426
SWIFT REF414071506006
PAID TO:
JEFFREY EPSTEIN
07/18/14 07/18/14
50,000
DISBURSEMENT OF FUNDS
-50,000.00
0.7394
-67,622.49
FUNDS TRANS TO BHP PARIBAS
$SB REFFSCMS140717961260
SWIFT REF41407179AJEN
PAID TO:
JEFFREY EPSTEIN
07/23/14 07/23/14
2,461.54 DISBURSEMENT OF FUNDS
-2,461.54
0.7426
-3,313.8S
FUNDS TRANS TO CREDIT
LYONNAIS
558 REFISCMS140722990341
SWIFT REFI1407229AQPD
PAID TO:
JEFFREY EPSTEIN
SDNY_GM_00037785
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000609
EFTA_00 I 48394
EFTA01252954
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 17
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA KM!
07/23/14 07/23/14
07/23/14 07/23/14
07/29/14 07/29/14
08/20/14 08/20/14
08/27/14 08/27/14
09/05/14 09/05/14
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REF15CM5140722993865
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKEN
SSE, REFISCMS140722990338
SWIFT REFI1407229Acrov
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE, REFISCMS140728027007
SWIFT REF11407289AOWS
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMSI40819153688
SWIFT REFI1408199A3JA
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFISCMSI40826202111
SWIFT REFI14002703:76
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUND TRANS TO HANDELSBANKEN
SSB REF. SCHS140904229576
SWIFT REF014090504114
PAID TO:
JEFFREY EPSTEIN
-2,500.00
-2,500.00
2,500.00
-2,461.54
-2,500.00
-5,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.7428
-3,365.63
0.7428
-3,365.63
0.7457
-3.352.37
0.7541
-3,264.37
0.7579
-3,298.75
0.7721
-6,475.75
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037786
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000610
EFTA_00148395
EFTA01252955
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019) accovrrr NUMBER:
PAGE 18
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
09/08/14 09/08/14
9,675.89 DISBURSEMENT OF FUNDS
-9,675.89
0.7752
-12,481.41
FUNDS TRANS TO BHP PARIBAS
SSE: REFISCMS140905258608
SWIFT REF41409059ANOT
PAID TO:
JEFFREY EPSTEIN
09/18/14 09/18/14
2,500
DISBURSEMENT OF FUNDS
-2,500.00
0.7741
-3,229.37
FUNDS TRANS TO BHP PARIBAS
558 REF* SCHS140917131901
SWIFT REFI1409179AZG8
PAID 70:
JEFFREY EPSTEIN
09/23/14 09/23/14
2,461.54 DISBURSEMENT OF FUNDS
-2,461.54
0.7776
-3,164.93
FUND TRANS TO CREDIT LYONNAIS
SSB REF. SC1451409:2356424
SKIFF REF11409229AORK
PAID TO:
JEFFREY EPSTEIN
10/02/14 10/02/14
0.08 IDLE CASH INTEREST
0.08
0.7896
0.10
0.10IHC
10/03/14 10/03/14
2,000
DISBURSEMENT OF FUNDS
-2,000.00
0.7993
-2,502.30
FUNDS TRANS TO SOCIETE
GENERALE
SSE: REFISCMS141002416563
SWIFT REFI14100307533
PAID 70:
JEFFREY EPSTEIN
10/16/14 10/16/14
1,876.28 DISBURSEMENT OF FUNDS
-1,876.28
0.7810
-2,402.48
FUNDS TRANS TO BHP PARIBAS
558 REFISCMS141015487461
SWIFT REFI14101598H22
PAID TO:
JEFFREY EPSTEIN
10/27/14 10/27/14
2,461.54 DISBURSEMENT OF FUNDS
-2,461.54
0.7871
-3,127.51
FUNDS TRANS TO CREDIT
LYONNAIS
SS8 REFOSOMS141024541831
SWIFT REFf1410249AFZU
PAID 70:
JEFFREY EPSTEIN
SDNY_GM_00037787
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000611
EFTA_00148396
EFTA01252956
JEFFREY EPSTEIN
TRANSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019) accovrrr NUMBER:
PAGE 19
TRADE
SETTLE
FACE
DATE
DATE
WW2
DESCRIPTION
AMOUNT IN
EUR
FA RATE
10/28/14 10/28/14
11/18/14 11/18/14
11/21/14 11/21/14
11/21/14 11/21/14
12/05/14 12/05/14
12/05/14 12/05/14
291,846.67 RECEIPT OF FUNDS
FUNDS RECEIVED FROM PERSHING
RECD FROM DEUTSCHE
SECURITIES
1,650
DISBURSEMENT OF FUNDS
FUND TRANS TO SUP PARIBAS
SSE, REFI SCMS141117686619
IRAN: BE58001408700179
Sinn REFM4111804705
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSE: REFI SCHM41120705731
I BAN:
FR7630001017150005054672111
SWIFT REF411112106687
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSE: REFI SCHS141120712637
IRAN:
FR2330002004490000060269Q70
SWIFT REF41411209889F
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNCS
FUND TRANS TO BHP PARIBAS
SSE: REM SCMSI41204785944
IRAN: BE58001408700179
SWIFT REF403MT141205112410
PAID TO:
JEFFREY EPSTEIN
75,000
DISBURSEMENT OF FUNDS
FUND TRANS TO BHP PARIBAS
SSE: REFS SCM141204785943
I9AN:
FR7610004029310000006235160
SWIFT REE11412049BFPB
PAID TO:
JEFFREY EPSTEIN
291,846.67
-1,650.00
-2,000.00
-2,461.54
-1,650.00
-75,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.7850
371,768.78
0.7977
-2,068.36
0.8070
-2,478.40
0.8070
-3,050.34
0.8118
-2,027.60
0.8138
-92,163.75
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037788
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000612
EFTA_00148397
EFTA01252957
JEFFREY EPSTEIN
TRAHSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 20
TRADE
SETTLE
FACE
DATE
DATE
WHIR
DESCRIPTION
AMOUNT IN
CUR
FX RATE
12/10/14 12/10/14
12/22/14 12/22/14
12/23/14 12/23/14
12/23/14 12/23/14
01/12/15 01/12/15
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSE: REFI SCHS141209823548
!BAN:
FR2310002004690000060269Q70
SHIFT RET01412099SDBC
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FONDS
FUND TRANS TO CREDIT LYONNAIS
SSE: REPS SCHS141.219885840
IRAN:
FR2330002004690000060269(270
SHIFT REF111122205011
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUND TRANS TO SCCIETE
GENERALE
SSS REFI SC219141222903141
IRAN:
FR7620003037150005054672113
SWIFT REF$14122305385
PAID TO:
JEFFREY EPSTEIN
53,336.8 DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC BANK
SSD REFI 50345141.222903142
IRAN:
FR7610056009170917003866868
JEFFREY EPSTEIN INVOICE
•F000014949
SWIFT REF#14122305698
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUND TRANS TO BHP PAMBAS
SSB REPO 5C345150109988992
IRAN: BE58001408700179
INVOICE 1447
SWIFT REr115011203812
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-2,461.54
-2,500.00
-53,336.80
-1,650.00
CONFIDENTIAL
AMOUNT IN
USD
0.8036
-3,063.26
0.8179
-3.009.48
0.8217
-3,042.62
0.8217
-64,913.55
0.8441
-1,951.35
GAIN/LOSS CAI
INVESTMENT USD
SDNY_GM_00037789
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000613
EFTA_00148398
EFTA01252958
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 21
TRADE
SETTLE
FACE
DATE
DATE
At4OVNT
DESCRIPTION
AMOUNT IN
EVR
FX RATE
01/15/15 01/15/15
01/26/15 01/26/15
01/27/15 01/27/15
01/29/15 01/29/15
02/03/15 02/03/15
10,000
DISBURSEMENT OF FUNDS
FUND TRANS TO BANCA DEL
FUCINO
SSE: REFS SCMS150114012565
IRAN:
172770312403210000000237514
SWIFT REF4150114988J8
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKEN
SSD REFIISCMS150123073137
IBAN:
SE6760000000000046708618
SWIFT REF415012604426
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS150126009616
IRAN:
FR2310002004690000060269Q70
SWIFT REFI1501269CITO
PAID 70:
JEFFREY EPSTEIN
2,600
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSE( REFISCHS150128104610
IRAN: 9E59 001408700179
SWIFT REFI15012904180
PAID TO:
JEFFREY EPSTEIN
20
NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE DANK
-10,000.00
-5,000.00
-2,461.54
-2,600.00
-20.00
CONFIDENTIAL
AMOUNT IN
USD
0.8606
-11,619.50
0.8879
-5,611.50
0.8788
-2,881.11
0.8810
-2,944.50
0.8708
-22.97
GAIN/LOSS C44
INVESTMENT USD
SDNY_GM_00037790
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000614
EFTA_00148399
EFTA01252959
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOI/BKP NUMBER:
PAGE 22
TRADE
SETTLE
FACE
DATE
DATE
ANSLUDr
DESCRIPTION
AMOUNT IN
EUR
FX RATE
02/13/15 02/13/15
02/19/15 02/19/15
02/23/15 02/23/15
03/11/15 03/11/15
03/11/15 03/11/15
69,924.8 DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC BANK
SSE: REFI SCHSI50212182568
IRAN:
FR7610056009110917001866868
JEFFREY EPSTEIN INVOICE
HP00015184
SKIFF REFII5021310917
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
358 REFI SCHS150218217539
IRAN:
PR2330002004690000060269Q70
SWIFT REF01502189AWPB
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
558 REFI SCMSI50220244201
!BAN:
FR7610003037150005054672133
SWIFT REF$1502209B30A
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUND TRANS TO SWEDBANK
SSG REPI SCHS150310142273
IRAN: LT737300010134027037
SKIFF REF41503109808K
PAID TO:
JEFFREY EPSTEIN
1,000
DISBURSEMENT OF FUNDS
FUND TRANS TO NCRDEA
SSD REFI SCHS150110342274
IRAN:
5E1030000000009204044748
SWIFT REP$1503109BOBT
PAID TO:
JEFFREY EPSTEIN
-69,924.80
-2,461.54
-2,000.00
-2,500.00
-1,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.8772
-79,717.72
0.8802
-2,796.43
0.8826
-2,266.10
0.9487
-2,635.12
0.9487
-1,054.05
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037791
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000615
EFTA 00148400
EFTA01252960
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 21
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
03/11/15 03/11/15
03/13/15 03/13/15
03/13/15 03/13/15
03/18/15 03/18/15
03/18/15 03/18/15
2,500
DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSB REFI SCMS150310342275
IRAN:
FR7630001037150005054672133
SWIFT RE/11501109008N
PAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSD REFI SO45150312360026
IRAN:
FR943000200730000005623339
SWIFT REF81501129C5KR
PAID TO:
JEFFREY EPSTEIN
1,900
DISBURSEMENT OF FUNDS
FUND TRANS TO BHP PARIBAS
SSS REFI SCMS150310342273
IRAN:
FR7610004015210001005597877
REF I FACT 03 15 026
SWIFT REF11503129C5EN
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSD REFI SCES150317370261
IRAN:
FR23100020046900000602694270
SWIFT REFO1503179BLTC
PAID TO:
JEFFREY EPSTEIN
4,950
DISBURSEMENT OF FUNDS
FUND TRANS BHP PARIBAS
SSE. REF. SCMSI50317380677
IRAN: IA58001408700179
SWIFT REFf1503179BUDO
PAID TO:
JEFFREY EPSTEIN
-2,500.00
-1,800.00
-1,900.00
-2,461.54
-4,950.00
CONFIDENTIAL
AMOUNT IN
USD
0.9487
-2,635.12
0.954:
-1,886.31
0.9542
-1,991.11
0.9227
-2,667.69
0.9227
-5,364.56
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037792
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000616
EFTA 00148401
EFTA01252961
JEFFREY EPSTEIN
TRANSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PACE 24
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
03/19/15 03/19/15
03/19/15 03/19/15
03/23/15 03/23/15
03/26/15 03/26/15
04/01/15 04/01/15
3,100
DISBURSEMENT OF FUNDS
FUND TRANS TO NORDEN
SSB REFS SCHSI50318392427
IBAN:
S1.4010000000009204044748
SWIFT REF01503189BNOL
PAID TO:
JEFFREY EPSTEIN
-3.100.00
1,000
DISBURSEMENT OF FUNDS
1,000.00
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
3,100
DISBURSEMENT OF FUNDS
3,100.00
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
11.72 NEGATIVE IDLE CASH INTEREST
-11.72
PAID TO:
DEUTSCHE BANK
7,540
DISBURSEMENT OF FUNDS
-7,540.00
FUND MANS TO HSBC
SSB REF{ 5075150331468745
SWIFT REF41503319CC2C
PAID TO:
JEFFREY EPSTEIN
04/01/15 04/01/15
48,488
DISBURSEMENT OF FUNDS
FUND TRANS TO BANQUE NEATLIEE
OBC
SSD REF. SCM.515033146(046
I BAN:
FR7630788009000114095000159
SWIFT REF41503319CCL2
PAID TO:
JEFFREY EPSTEIN
-48,400.00
CONFIDENTIAL
AMOUNT IN
USD
0.9395
-3,299.64
0.9395
1.064.40
0.9119
3,399.61
0.9187
-12.76
0.9292
-8,114.55
0.9292
-52,182.80
GAIN/LOSS C41
INVESTMENT USD
SDNY_GM_00037793
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000617
EFTA (()148402
EFTA01252962
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 25
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
04/09/15 04/09/15
04/13/15 04/13/15
04/20/15 04/20/15
04/20/15 04/20/15
20,942.56 DISBURSEMENT OF FUNDS
FUND TRANS TO LCL LE CREDIT
LYONNAIS
SSB REPO SCHSI50409493864
IRAN:
FRI030002006880000009564W85
REF CODE CLIENT 000223 CLIENT
NAME MATHIEU
SWIFT R£F11504099B8WE
PAID TO:
JEFFREY EPSTEIN
2.000
DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALS
SSB REPS SCMSI50410508892
IRAN:
FR7630003037150005054672133
SWIFT REF61504109B0P7
PAID TO:
JEFFREY EPSTEIN
86,895.6 DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC BANK
SSB REF! 5048150417551986
IRAN:
FR7630056009170917001866868
JEFFREY EPSTEIN, SALE
REFERENCE • DESIGN ITALIA'
DATE PP SALE APRIL 15TH
20115
SWIFT REFf1504179BNDV
PAID TO:
JEFFREY EPSTEIN
9,222.2 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT DV NORD
SSE: REFS SCHSI50417562968
1BAN:
FR7630076021151559370020019
REFERENCE: EPSTEIN, CLIENTS
E10470,
INVOICE D150328 f 0150328
SWIFT REP41504179C3I0
PAID TO:
JEFFREY EPSTEIN
-20,942.56
-2.000.00
-86,895.60
-9,222.20
CONFIDENTIAL
Amoumr IN
USD
0.9386
-22,313.24
0.9452
-2,115.90
0.9311
-93.299.79
0.9314
-9.901.87
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037794
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000618
EFTA_00148403
EFTA01252963
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 26
TRADE
SETTLE
FACE
DATE
DATE
ANOINT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
04/23/15 04/23/15
04/27/15 04/:7/15
04/30/15 04/30/15
[repeated 3 times]
05/20/15 05/20/15
7.8 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSE REFS SCUS150424599521
IBAN:
FR2330002004690000060269Q70 swirl REF11SO4249B8NR
PAID TO:
JEFFREY EPSTEIN
50,000
DISBURSEMENT OF FUNDS
FUND TRANS TO ESP PARIBAS
SSB REFS SCHS150429628511
IRAN:
FR7630004029330000006235160
SWIFT REFI1504299846U
PAID TO:
JEFFREY EPSTEIN
1,450
DISBURSEMENT OF FUNDS
FUND TRANS TO SNP PARIBAS
SSB REF! SCMSI50429628515
IRAN: 5E5$001408700179
SWIFT REF#15042998467
PAID TO:
JEFFREY EPSTEIN
11,500
DISBURSEMENT OF FUNDS
FUND TRANS TO SNP PARIBAS
SSB REFS 50145150429629519
IBAN:
FR7630004008040002501500236
SWIFT RU115042998468
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE; REFISCMS150519748852
IBAN:FR7630003037150005054672
133
SWIFT REFI1505199BOZU
PAID TO:
JEFFREY EPSTEIN
-7.80
-2,461.54
-50,000.00
-1,650.00
-11,500.00
-2,500.00
CONFIDENTIAL
AMOUNT IN
USD
0.9237
-8.44
0.9181
-2,680.49
0.8906
-56,142.49
0.8906
-1,852.70
0.8906
-12,912.77
0.9003
-2,776.81
GAIN/LOSS C44
INVESTMENT USD
SDNY_GM_00037795
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000619
EFTA_00 I 48404
EFTA01252964
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 27
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
05/20/15 05/20/15
05/27/15 05/27/15
06/05/15 06/05/15
06/18/15 06/18/15
06/19/15 06/19/15
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
558 REFIISOPM150519748860
IBAN:
FR2330002004690000060269Q70
SWIFT REF4150519902RT
PAID TO:
JEFFREY EPSTEIN
13.3 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
1,176
DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT
INDUSTRIEL ET COMMERCIAL PM
SSI1 REFS 5C345150604642648
1BAN:
FR7610066108020001007960111
REFI VR15.18162-1 MONSIEUR
JEFFREY
EPSTEIN, COLLECTOR OF PIASA
LOTS
SKIFF REF61506049BREL
PAID TO:
JEFFREY EPSTEIN
7.19 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,500
DISBURSEMENT OF FUNCS
FUND TRANS TO SOCIETE
GENERALE
SSB REFS SCHS150618917060
IBAN:
FR7630003037150005054672133
SWIFT REFI15061898795
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-13.30
-1,176.00
-7.49
-2,500.00
CONFIDENTIAL
AMOUNT IN
USD
0.9003
-2,734.15
0.917:
-14.50
0.8998
-1,306.95
0.8792
-8.52
0.8816
-2,835.80
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037796
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000620
EFTA (()148405
EFTA01252965
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 28
TRADE
SETTLE
FACE
DATE
DATE
AN-JUKE
DESCRIPTION
AMOUNT IN
EUR
FX RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
06/23/15 06/23/15
06/23/15 06/23/15
2,461.54 DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSE: REFI SCHS1506222946609
IRAN:
FR2310002004690000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REFf15062304301
PAID TO:
JEFFREY EPSTEIN
10,000
DISBURSEMENT OF FUNDS
FUND TRANS TO BANCA DEL
PUCINO
SSE: REFI M49150622951118
I BAN:
IT21J0122401210000000237514
SWIFT REFf15062306818
PAID TO:
JEFFREY EPSTEIN
07/03/15 07/03/15
14,875
DISBURSEMENT OF FUNDS
FUND TRANS TO SCCIETE
GENERALE
SSD REFI SCHSI50702007045
IRAN:
FR76
4
/
52181
REP:
HET ID
A95933 ORDER f 50Z33
SWIFT REFS 150702919203
PAID TO:
JEFFREY EPSTEIN
07/03/15 07/03/15
07/03/15 07/03/15
11,000
DISBURSEMENT OF FUNDS
FUND TRANS TO ROYAL BANK
SSE: REFI SCHSI50702007045
IRAN:
FR/6
4
17
5218/
REF:
NET ID
A95983 O o R 170233
SWIFT REFf 1507029B9UI
PAID TO:
JEFFREY EPSTEIN
6.54 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-2,461.54
-10,000.00
-14,875.00
-11,000.00
-6.54
CONFIDENTIAL
0.8957
-2,748.31
0.8957
-11,165.00
0.9003
-16,521.66
0.9003
-12,217.70
0.9003
-7.26
SDNY_GM_00037797
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000621
EFTA 00148406
EFTA01252966
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 29
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS 041
INVESTMENT USD
07/08/15 07/08/15
07/10/15 07/10/15
07/14/15 07/14/15
07/15/15 07/15/15
11,000
DISBURSEMENT OF FUNDS
(REVERSAII
PAID TO:
JEFFREY EPSTEIN
11,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO ADAM 4 COMPANY
FLC
558 REFI SCHSI50709042565
IRAN: GB36ADAG83913611308629
REF: INV/ FEA 3756
SHIFT REF. 15070998954
PAID 70:
JEFFREY EPSTEIN
743
DISBURSEMENT OF FUNDS
FUND TRANS TO BANCA CARIPE
SPA
SSD REF. SCMS150715069122
IRAN:
IT51C06245772300C0160050101
REF: REGISTRATION SUMER
FESTIVAL MASTER
SWIFT REFS 15071.39AMB81
PAID TO:
JEFFREY EPSTEIN
3,300
DISBURSEMENT OF FUNDS
FUND TRANS TO SNP PARIBAS
SSB REPS SCMS150714062012
IRAN: BE58 001 406700179
REF: INV 1515 s 1520 (MAY 4
JUNE 20151
SWIFT REF. 1507149ATJ1
PAID TO:
JEFFREY EPSTEIN
11,000.00
-11,000.00
-743.00
-3,300.00
CONFIDENTIAL
0.9033
12,177.54
0.8973
-12,258.94
0.9088
-617.56
0.9130
-3,614.12
SDNY_GM_00037798
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000622
EFTA (()148407
EFTA01252967
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 30
TRADE
SETTLE
FACE
DATE
DATE
NYSE
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
07/21/15 07/21/15
07/22/15 07/22/15
07/24/15 07/24/15
07/27/15 07/27/15
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE: REP/ SCNS150720120807
IBAN:FR2330002004690000060269
070
SORT CODE: 30002 RIB CODE :
0009117
CODE GUCHET: 00169 KEY CODE:
70
SWIFT REFI 1507209ACOK
PAID TO:
JEFFREY EPSTEIN
50,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PART BAS
S8B REFS SCHS150721115242
I BAN:
FR7630004029110000006225160
SWIFT REF4 1507219ACG9
PAID TO:
JEFFREY EPSTEIN
36,600
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSD REFS SCMS150723137729
IRAN:
PR7630003040300002025174078
REFERENCE: INV 135 MR.
EPSTEIN USA
SWIFT REFS 15072404166
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SS11 REFSSCMS150724134936
IRAN:
FR7630001037150005054672133
SWIM REFS 1507249AFIX
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-50,000.00
-36,600.00
-2,000.00
CONFIDENTIAL
0.9144
-2,692.06
0.9161
-54,580.03
0.9110
-40,177.66
0.9013
-2,219.00
SDNY_GM_00037799
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000623
EFTA_00148408
EFTA01252968
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A...-COUNT NUMBER:
PAGE II
TRADE
SETTLE
FACE
DATE
DATE
MOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
07/28/15 07/28/15
07/29/15 07/29/15
07/31/15 07/31/15
08/03/15 08/03/15
2,201
DISBURSEMENT OF FUNDS
FUNDS TRANS TO INC BARQUE
(SCHAEREEEK -GHAZAL)
SSB REF. SGMSI50727158312
(BAH: 8E43310039004901
REFERENCE: QUOTE 2015/8128 ST
OVEN - NY
SWIFT REF. 15072803023
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPISCMSI50726150736
IBAN:
FR9430002007300000005623J39
REFERENCE: 16, LAMP
SWIFT REFS 1507289AF3J
PAID TO:
JEFFREY EPSTEIN
1,100
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS150730178769
IBAN:
FR9430002007300000005623J39
REFERENCE: FACTURE Ili, 2
LAMPS
SWIFT REFS 1507309ASWY
PAID TO:
JEFFREY EPSTEIN
650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQ
SSE( REFISCMS150731184848
IRAN:
FR7630558199040001207230191
REF: 2015 WEALTH TAX RETURN -
JEFFREY EPSTEIN
SWIFT REFS 150731989OP
PAID TO:
JEFFREY EPSTEIN
-2,201.00
-2,000.00
-1,100.00
-650.00
CONFIDENTIAL
AMOUNT IN
USD
0.9042
-2,434.20
0.9105
-2,196.50
0.9105
-1,208.08
0.9127
-712.20
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037800
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000624
EFTA_00 I 48409
EFTA01252969
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 32
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
08/05/15 08/05/15
08/07/15 08/01/15
08/07/15 08/07/15
08/25/15 08/25/15
08/26/15 08/26/15
3,234
DISBURSEMENT OF FUNDS
FUNDS TRANS TO INC BANQUE
SSE: REFISCMS150804197941
IRAN: 8E43310039001901
REF: INVOICE. 2015/1180 MR.
EPSTEIN
SWIFT REFI 15080498193
PAID TO:
JEFFREY EPSTEIN
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REFISCMS150806221504
IRAN: LT387300010129516294
SWIFT REPO 1508069ARKH
PAID TO:
JEFFREY EPSTEIN
500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSE% REFfSCMS150801221615
IRAN: LT387300010129516294
SWIFT REFf 15080799T9K
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS150820305419
IRAN:
FR2330002004690000060269070
SORT CODE 30002 RIB CODE
:00091 17
CODE GUCNET:00469 KEY CODE
:70
SWIFT RE. 15082460540
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSD REFI SCRS
IRAN: FR76 3000 3037 1500
0505 4672 133
PAID TO:
JEFFREY EPSTEIN
-3,234.00
-1,000.00
-500.00
-2,461.54
-2,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.9171
-3,526.35
0.9125
-1,095.95
0.9125
-547.98
0.8704
-2,828.19
0.8822
-2,267.10
GAIN/LOSS ON
INVESTMENT USD
SDNY_GI1.1_00037801
CONFIDENTIAL - PURSUANT TO FED R CRIMP 6(e)
DB-SDNY-0000625
EFTA_00 1484 1 0
EFTA01252970
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A...-COUNT NUMBER:
PAGE 31
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
08/31/15 08/31/15
09/18/15 09/18/15
09/23/15 09/23/15
09/29/15 09/29/15
09/29/15 09/29/15
10/05/15 10/05/15
14.34 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
16.48 NEGATIVE IDLE. CASH INTEREST
PAID 70:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPISCMS150922479853
IBAN:
FR2110002004690000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCMET: 00469
KEY CODE: 70
SWIFT REF[ 1509229AR50
PAID TO:
JEFFREY EPSTEIN
6,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKEN
SSB REFISCMS150928528320
SE6760000000000046708618
SWIFT REF. 15092904595
PAID 70:
JEFFREY EPSTEIN
2,300
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SS& REFISCHS150928528319
IBAN:PR76100010371500050546,2
133
SWIFT REF[ 15092904592
PAID TO:
JEFFREY EPSTEIN
4,950
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
IBAN: 8E58001408700179
SSD REF/ 8cms15100:551085
SWIFT REF[ 1510029BALY
PAID 70:
JEFFREY EPSTEIN
-14.34
-16.48
-2,461.54
-6,000.00
-2,300.00
-4,950.00
CONFIDENTIAL
0.8911
-16.09
0.8863
-18.59
0.8942
-2,752.86
0.8890
-6.749.10
0.8890
-2,587.16
0.8942
-5,535.84
SDNY_GM_00037802
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000626
EFTA_0014841 I
EFTA01252971
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NlIMSER:
PAGE 34
TRADE
SETTLE
FACE
DATE
DATE
MfOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
10/13/15 10/13/15
10/20/15 10/20/15
10/21/15 10/21/15
10/26/15 10/26/15
15.9 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSD REF4SCMS151019655736
IBAN: LT387300010129510294
SWIFT R£FI 15102003553
PAID TO:
JEFFREY EPSTEIN
5.000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFSSOMS151020660775
IRAN:
PR7630003032900005054038502
SWIFT REFS 15102104182
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF. SCMS151021657561
IRAN:
FR2330002004690000060260Q70
SORT CODE: 30002 RIB CODE
00091 17
CODE GUCHLT:00169 KEY CODE:
70
SWIFT REFS 151027EURI0000
PAID TO:
JEFFREY EPSTEIN
11/05/15 11/05/15
50,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REFISCMS151104753617
IBAN:
FR7630004029330000006235160
SWIFT REFS 15110498131
PAID TO:
JEFFREY EPSTEIN
-15.90
-1,000.00
-5.000.00
-2,461.54
-50,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.8783
-18.10
0.8818
-1,134.05
0.8819
-5,668.75
0.9049
-2,720.13
0.9194
-54,382.52
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037803
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000627
EFTA (()148412
EFTA01252972
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT /01:4BER:
PAGE 35
TRADE
SETTLE
FACE
DATE
DATE
MOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
11/13/15 11/13/15
11/19/15 11/19/15
11/20/15 11/20/15
11/25/15 11/25/15
11/27/15 11/27/15
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REPO SC145151112794549
IRAN:
FR7630001037150005054672133
SWIFT REFI 1511129AWNS
PAID TO:
JEFFREY EPSTEIN
12.19 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF. SCHS151119013855
I BAN:
FR2310002004490000060269470
SORT CODS 30002
RIB CODE 0009117
CODE GUCHET 00469 KEY CODE
70
SWIFT REFI 15112003811
PAID TO:
JEFFREY EPSTEIN
432,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D•AFFAIRES
SSB REPO SCMS151124865257
IRAN:
FR7616206002804248361300136
SWIFT REFI 1511249ACEJ
PAID TO:
JEFFREY EPSTEIN
9.6 DISBURSEMENT OF FUNDS
FUNDS TRANS TO AGENCIA DE
GESTAO DA TESOURARIA
SSB REPO SCES15112$863192
IRAN:
P1500781010000000295242
REF HYPERION AIR INC.,
INVOIVE 2086/2015 (TES:
SWIFT REPO 1511259A2YL
PAID TO:
JEFFREY EPSTEIN
-2,000.00
-12.19
-2,461.54
-432,000.00
-9.60
CONFIDENTIAL
AMOUNT IN
USD
0.9302
-2,150.10
0.9315
-13.09
0.9393
-2,620.56
0.9418
-458,697.51
0.9419
-10.17
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037804
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000628
EFTA_00148413
EFTA01252973
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 36
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE kmoumr IN
USD
GAIN/LOSS CAI
INVESTMENT USD
12/07/15 12/07/15
12/16/15 12/16/15
12/22/15 12/22/15
12/22/15 12/22/15
4,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE. REF. SC315151204935107
IRAN:
FR7630003032900005054036502
SWIFT REF, 1512049C4M0
PAID TO:
JEFFREY EPSTEIN
21.07 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE REPS SCMS151221028210
INN:
FR2330002004690000060269Q70
SORT CODE 30002 RIB CODE
0009117
CODE GUCHET 00469 KEY CODE
70
SWIFT REFI 15122199NC
PAID TO:
JEFFREY EPSTEIN
3,100
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REPS SCMSI51221010330
IRAN: BE58001408700179
51411-T REF. 15122205369
PAID TO:
JEFFREY EPSTEIN
-4,000.00
-21.07
-2,461.54
-3,300.00
CONFIDENTIAL
0.9221
-4,338.00
0.9162
-23.00
0.9131
-2,695.76
0.9131
-3,613.99
SDNY_GM_00037805
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000629
EFTA_00148414
EFTA01252974
JEFFREY EPSTEIN
TRAHSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT N1114BER:
PAGE 37
TRADE
SETTLE
FACE
DATE
DATE
WWI
DESCRIPTION
AMOUNT IN
CUR
FX RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
12/24/15 12/24/15
01/08/16 01/08/16
01/11/16 01/11/16
01/13/16 01/13/16
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE REPO SC14.5151223040776
IRAN:
FR2330002004690000060269Q70
SORT CODE 30002 RIB CODE
0009117
CODE GUCHET 00469 KEY CODE
70
SWIFT REFI 1512234:AC00
PAID TO:
JEFFREY EPSTEIN
50,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PART BAS
SSE: REFI SCHS160107114754
I BAN:
FR7630004029320000006225160
SWIFT REF4 1601079AEK9
PAID TO:
JEFFREY EPSTEIN
288,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSE: REFI SCHSI60108134603
IRAN:
FR7618206002804246381300136
SWIFT REF4 160108911422
PAID TO:
JEFFREY EPSTEIN
3.000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF+ SCNS160112136528
IRAN:
FR7630003037150005054672133
SWIFT REFI 1601129/14TC
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-50,000.00
-288,000.00
-3.000.00
CONFIDENTIAL
0.9130
-2,696.12
0.9157
-54,602.50
0.9215
-312,537.64
0.9109
-3.264.75
SDNY_GM_00037806
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000630
EFTA_00148415
EFTA01252975
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 30
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
01/13/16 01/13/16
01/14/16 01/14/16
01/20/16 01/20/16
01/21/16 01/21/16
01/26/16 01/26/16
3,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL
FUCINO
SS8 REPO SCMSI60112136529
IRAN:
172770312403210000000237514
SWIFT REFI 16011296765
PAID TO:
JEFFREY EPSTEIN
27.98 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFI SCHS160119183136
'BAN:
FR7610003040300002025174078
REFERENCE: IKV 35 MR. EPSTEIN
USA
SWIFT REFI 16012007499
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF* SCMS160120194133
IRAN:
FR2310002004690000060269070
SORT CODE 30002
RIB CODE 00091 17
CODE GUCHET 00469 KEY CODE
70
SWIFT REFI 1601209ND:0
PAID TO:
JEFFREY EPSTEIN
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSE: REPO SCMS160125229225
IBAN: LT387300010129516294
SWIFT REFI 16012604242
PAID TO:
JEFFREY EPSTEIN
-3,500.00
.27.98
-5,000.00
-2,461.54
-1,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.9189
-3,808.87
0.9204
-30.40
0.9182
-5,445.25
0.9185
-2,680.00
0.9209
-1,085.85
GAIN/LOSS CAI
INVESTMENT USD
SDNY_GM_00037807
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000631
EFTA_001484I6
EFTA01252976
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 39
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
01/26/16 01/26/16
01/26/16 01/26/16
01/27/16 01/27/16
02/08/16 02/08/16
2,530
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSE, REFI 5043160125229226
IRAN: BE58001408700179
REF INV 1534 4 1.535 (DEC.
2015)
SWIFT REFI 16012604240
PAID TO:
JEFFREY EPSTEIN
2,750
DISBURSEMENT OF FUNDS
FUNDS TRANS TO UNICREDIT BANK
AUSTRIA AG
SSD REFI SCHS160125229227
IRAN: AT131200050778146101
REF 010004166655
SWIFT REFI 16012604259
PAID TO:
JEFFREY EPSTEIN
2,213
DISBURSEMENT OF FUNDS
FUNDS TRANS TV LNG BANQUE
(SCHAERBEEK - CI(AZAL)
558 REFI SCKSI60126226876
!BAN: 8E43310039004901
REFERENCE: QUOTE 16-16 HR.
EPSTEIN
SWIFT REFI 16012698872
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
558 REF. SCHSI60205300354
IRAN:
FR7630003032900005054038502
SWIFT REFI 16-2/8/2016-4-1
PAID TO:
JEFFREY EPSTEIN
-2,530.00
..2.150.00
-2,213.00
-5,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.9209
-2,747.20
0.9209
-2,986.09
0.9181
-2,410.29
0.8936
-5,595.25
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037808
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000632
EFTA_00148417
EFTA01252977
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 40
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
02/25/16 02/25/16
02/26/16 02/26/16
03/09/16 03/09/16
03/10/16 03/10/16
03/24/16 03/24/16
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSI4 REPO SCMSI60224399353
IRAN:
FR2330002004690000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SHIFT REF. 16022491919Q
PAID TO:
JEFFREY EPSTEIN
24.75 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
3,300
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PARIBAS
SSB REF/ SCMSI60308486235
IRAN: BE50001408700179
REF: INV 1602
SWIFT REF] 16030$995P9
PAID TO:
JEFFREY EPSTEIN
20.77 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
360,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D•AFFAIRES
SSA REF. SCMS160323566853
I RAN:
FR,618206002804240381100136
SWIFT ROI 1603239BIEG
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-24.75
-3,300.00
-20.77
-360,000.00
CONFIDENTIAL
0.9069
-2,714.22
0.9144
-27.07
0.900?
-3,631.49
0.8946
-23.22
0.8947
-402,390.20
SDNY_GM_00037809
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000633
EFTA_00148418
EFTA01252978
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 41
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
Amoumr IN
USD
GAIN/LOSS OCI
INVESTMENT USD
03/29/16 03/29/16
04/05/16 04/05/16
04/05/16 04/05/16
04/07/16 04/07/16
04/08/16 D4/08/16
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPO SCMSI60325594918
IBAN:
FR2330002004690000060269070
SORT CODE: 30002 RIB 0008:
0009117
CODE GUCHET: 00469
KEY COVE: 70
SWIFT REF. 16032830058
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF) SO59160404644439
'BAN:
FR763000303, 150005054672113
SWIFT REFI 16040509563
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANK
SSB REFS 5045160404644440
'BAN: LT117044060003842361
SWIFT REF. 16040509565
PAID TO:
JEFFREY EPSTEIN
4,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PARIBAS
SSB REP) 1041160106647699
I BAN:
FR7630004008,00000580/43949
SWIFT RIFE 16040698CK1
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO GNP PARIBAS
SSB REPO SCMS160407643997
IRAN: BE58001408700179
REF: INV 1610 (MARCH 2016)
SWIFT RIFE 16040798F3X
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-2,000.00
-5,000.00
-4,000.00
-1,650.00
CONFIDENTIAL
0.8852
-2,780.92
0.8782
-2,277.40
0.8782
-5,613.50
0.8794
-4,548.80
0.8772
-1,881.08
SDNY_GM_00037810
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000634
EFTA_00I 48419
EFTA01252979
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 42
TRADE
SETTLE
FACE
DATE
DATE
MOW(
DESCRIPTION
AMOUNT IN
EUR
FA RATE
Amoumr IN
USD
GAIN/LOSS CAI
INVESTMENT USD
04/13/16 04/13/16
04/22/16 04/22/16
04/26/16 04/26/16
05/18/16 05/18/16
05/24/16 05/24/16
20.48 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GEWERALE
SSB REF. SCHS160421748490
IRAN:
FR7630003032900005054036502
SWIFT REFS 16042204253
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE REPS SC345160425788002
IBAN:
FR2330002004690000060269Q70
Scat CODE: 30002
RIB CODE: 0009117
CODE GUCHET: 00469
KEY CODE: 70
SWIFT REF. 16042598006
PAID 70:
JEFFREY EPSTEIN
15.4 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2.000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSD REF+ 5045160523961046
IBAN:FR7630003037150005054672
133
SWIFT REF! 1605239ATI7
PAID TO:
JEFFREY EPSTEIN
-20.48
-5,000.00
-2,461.54
-15.40
-2.000.00
CONFIDENTIAL
0.8865
-21.10
0.8910
-5,611.75
0.8859
-2,778.46
0.8914
-17.28
0.8975
-2,220.30
SDNY_GM_00037811
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000635
EFTA 00148420
EFTA01252980
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 41
TRADE
SETTLE
FACE
DATE
DATE
MIMIC
DESCRIPTION
AMOUNT IN
CUR
FA RATE
05/25/16 05/25/16
05/26/16 05/26/16
05/31/16 05/31/16
06/02/16 06/02/16
06/15/:6 06/15/16
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DNB
LITHUANIA
IBAN: LT604010051001676974
SSE REFS SCXS160524968632
SWIFT REPO 1605249AJQF
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FONDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE REFS SC/45160525964440
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCRET: 00469 KEY CODE:
/0
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE REPS 5045160527988064
!BAN:
FR7610003032900005054038502
SWIFT REPO 16053004148
PAID TO:
JEFFREY EPSTEIN
3,300
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PARIBAS
SSB REPS SCHSI60601020544
IRAN: DE58001408700179
REF: INV 1614
SWIFT REFS 1606019BCNI
PAID TO:
JEFFREY EPSTEIN
13.66 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-1,000.00
-2,461.54
-2,500.00
-3,300.00
-13.66
CONFIDENTIAL
AMOUNT IN
USD
0.8966
-1,115.30
0.8937
0.8988
-2,781.63
0.8965
-3,680.82
0.8585
-15.31
GAIN/LOSS CII
INVESTMENT USD
SDNY_GM_00037812
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000636
EFTA 00148421
EFTA01252981
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 44
TRADE
SETTLE
FACE
DATE
DATE
MOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
Amoumr IN
USD
GAIN/LOSS ON
INVESTMENT USD
06/27/16 06/27/16
06/28/16 06/28/16
06/29/16 06/29/16
07/11/16 07/11/16
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF. SCMSI60627171601
IRAN:
FR233000200,1490000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF( 140627991100
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
PUNDS TRANS TO SOCIETE
GENERALE
SSB REFO SCHS160627176427
IRAN:
FR7430003037180008084472133
SKIFF REPO 1606279AX32
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL
FUCINO
SSB REF. SCHS160628182806
IRAN: IT27J03124032100
00000237514 stint REPO 16062904549
PAID TO:
JEFFREY EPSTEIN
20,000
DISBURSEMENT OF FUNDS
PUNDS TRANS TO REP PARIBAS
558 REF. SC/15160708234039
IRAN:
FR7630004029330000006235160
SWIFT REPO 160708986MT
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-2,500.00
-2,500.00
-20,000.00
CONFIDENTIAL
0.9078
-2,711.51
0.9026
-2,769.75
0.9007
-2075.75
0.9044
-22,114.99
SDNY_GM_00037813
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000637
EFTA_00 148422
EFTA01252982
JEFFREY EPSTEIN
TRANSACTION STATEMENT PCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 45
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX an
07/15/16 07/15/16
07/19/16 07/19/16
07/21/16 07/21/16
07/25/16 07/25/16
07/25/16 07/25/16
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSEI REFI SCHSI60714274656
IBAN: BE5B 001 408700179
REF: INV 1618 (JUNE 2016)
StarrREFS 1607149BPP%
PAID TO:
JEFFREY EPSTEIN
10.65 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE DANK
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL
PUCIHO
SSB REFI SCHS160720318223
IBAN:
IT27203124022100000002375I4
SWIFT REFf 1607209AUAB
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANKAS
SSE; REF. SCHS160722136630
IBAN: LT647044060006106780
SWIFT REF. 1607229AUMC
PAID TO:
JEFFREY EPSTEIN
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DNB
LITHUANIA
SSD REF. SCMS160722316631
IRAN: LT604010051001676974
SWIFT REFS 1607229A1940
PAID TO:
JEFFREY EPSTEIN
-1,650.00
-10.65
2,000.00
-2,000.00
-1,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.9035
-1,826.30
0.9076
-11.73
0.9073
-2,204.30
0.9098
-2,190.30
0.9098
-1,099.15
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037814
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000638
EFTA_00148423
EFTA01252983
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019) accovrrr NIYMBER:
PAGE 46
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS OCI
INVESTMENT USD
07/25/16 07/25/16
07/26/16 07/26/16
08/09/16 08/09/16
08/10/16 08/10/16
08/10/16 08/10/16
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPO SCHS160725348901
IBAN:
FR2330002004690000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF. 1607259A2WG
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFI SCHS160725351132
'BAN:
FR763000303, 150005054672113
SHIFT REFI 1607259ATE6
PAID TO:
JEFFREY EPSTEIN
13.19 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REFI SCXS160809437908
IBAN: BE58001408700179
REF: INV 1626 (JULY 20161
SWIFT REF, 14000SBAJQE
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REP* SCMS160809444503
IBAN:
PR763000303, 150005054672133
SWIFT REFS 16081004247
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-2,000.00
-13.19
-1,650.00
-2,000.00
CONFIDENTIAL
0.9098
-2,705.60
0.9100
-2,197.70
0.8999
-14.66
0.8948
-1,813.96
0.8948
-2,235.10
SDNY_GM_00037815
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000639
EFTA_00148424
EFTA01252984
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A...-COUNT NUMBER:
PAGE 47
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
F% RATE
08/10/16 08/10/16
08/11/16 08/11/16
08/15/16 06/15/16
08/25/16 08/25/16
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL
FUCINO
SSE' REPS SC145160809444504
IBAN:
172770312403210000000237514
SWIFT REFI 16081004245
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBAHKEN
SSD REFS SC145180810427024
!PAN:
5E6760000000000046708618
SWIFT REFS 1608109A13T
PAID 70:
JEFFREY EPSTEIN
450
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TMNSATLAIITIQUE
SSB REFS SCHS160812463840
IBAN:
FR763016819904000120723019/
REF: 2016 WEALTH TM RETURN -
JEFFREYEPSEEIN
SWIFT REFS 16081513739
PAID 70:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE, REPS 5C145160825512307
IBAN:
FR2330002004690000060269Q10
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REFS 16082197NGN
PAID 70:
JEFFREY EPSTEIN
-2,000.00
-2,000.00
-450.00
-2,461.54
CONFIDENTIAL
AMOUNT IN
USD
0.8948
-2,235.10
0.8976
-2,228.10
0.8540
-503.37
0.8861
-2,776.86
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037816
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000640
EFTA (()148425
EFTA01252985
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 40
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
08/29/16 08/29/16
09/16/16 09/16/16
09/23/16 09/23/16
09/23/16 09/23/16
10/06/16 10/06/16
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSI4 REF. SC145160826517442
IBAN:
Pi:0630001037150005054672133
SWIFT REFI 16082903589
PAID TO:
JEFFREY EPSTEIN
22.84 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OP FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF) SO69160922695575
!BAN:
FR2310002004490000060269Q70
SORT CODE: 30002
RIB OODE: 00091 17 CODE
GUCHET:00469
KEY CODE: 70
SWIFT REF) 1609I303132
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE) REPO SCMSI60922707137
IRAN:
FR7610003037150005054612133
SWIFT REPO 16092303766
PAID TO:
JEFFREY EPSTEIN
9,307
DISBURSEMENT OF FUNDS
FULLS TRANS TO BRED
SNIFF REFO SCMS161006761866
IRAN:
FR7610107001/60061076123463
REF: FRACTURE NUMBER 54023
SSD REPO 1610069AKMB
PAID TO:
JEFFREY EPSTEIN
-2,000.00
-22.84
-2,461.54
-2,500.00
-9,307.00
CONFIDENTIAL
Amoumr IN
USD
0.8936
-2,237.60
0.8965
-25.48
0.8906
-2,761.06
0.8906
-2,807.25
0.8969
-10,377.30
GAIN/LOSS GI
INVESTMENT USD
SDNY_GM_00037817
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000641
EFTA (()148426
EFTA01252986
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
KOCOUNT NUMBER:
PAGE 49
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
10/06/16 10/06/16
10/14/16 10/14/16
10/10/16 10/18/16
11/01/16 11/01/16
11/01/16 11/01/16
3,300
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SWIFT REFS SCMS161006761069
IRAN: BE58001408700179
REF: INV 1632 (AUGUST AND
SEPTEMBER 2016)
SSB REFS 1610069AIED
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO GNP PARIBAS
SSD REFS SCMSI61013836059
IRAN:
FR1630004008700000500743949
SWIFT REFS 16101403937
PAID TO:
JEFFREY EPSTEIN
20.3 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFS SO15161031935807
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 0009117
CODE GUCEET: 00469
KEY CODE: 70
SWIFT REF4 16103198F0S
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REF. SCHSI:41031940016
IRAN: 5E58001408700179
REF: INV 1634 (OCTOBER 2016)
SWIFT REFS 1610319E:F87
PAID 70:
JEFFREY EPSTEIN
-3,300.00
-5,000.00
-20.30
-2,461.54
-1,650.00
CONFIDENTIAL
AMOUNT IN
USD
0.8969
-3,679.50
0.9114
-5,486.00
0.9107
-22.29
0.9047
-2,720.74
0.9047
-1,823.74
GAIN/LOSS C41
INVESTMENT USD
SDNY_GM_00037818
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000642
EFTA (()148427
EFTA01252987
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 50
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
11/09/16 11/09/16
11/09/16 11/09/16
11/16/16 11/16/16
11/25/16 11/25/16
12/06/16 12/06/16
12/12/16 12/12/16
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF/ SCXS161108983912
IRAN: FR76
30003037150005054672133
SWIFT REFI 161109041%
PAID TO:
JEFFREY EPSTEIN
2,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO LLOYDS BANK
SSB REF, SCH5161108985913
IRAN: GB29LOYD30647226234560
SWIFT REFI 16110904199
PAID TO:
JEFFREY EPSTEIN
16.52 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SWIFT REFI SCMS161123062376
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
0009117
CODE GUCHET: 00459 KEY CODE:
70
SWIFT REPS 16112499UPC
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCO DO
BRASIL SA
SSB REF. SC945161202129040
SWIFT REFI 16120605979
PAID TO:
JEFFREY EPSTEIN
12.28 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-2,000.00
-2,000.00
-16.52
-2,461.54
-5,000.00
-12.28
CONFIDENTIAL
Amoumr IN
USD
0.9165
-2,162.10
0.9165
-2,102.10
0.9162
-17.65
0.9440
-:,607.51
0.9329
-5.359.75
0.9402
-13.06
GAIN/LOSS
INVESTMENT USD
SDNY_GM_00037819
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000643
EFTA 00148428
EFTA01252988
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 51
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
12/22/16 12/22/16
12/23/16 12/23/16
22/28/16 12/28/16
01/04/17 01/01/17
01/04/17 01/04/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE: REPO SC145161221235596
IRAN:
FR2330002004690000060269070
REF: 11TM MONTH
SWIFT REF. 1612219B4BL
FAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE: REPS SCMS161222261025
IRAN:
FR2330002004690000060269Q70
SWIFT REF( 1612229AOQB
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF, SC219161227278721
IRAN:
FR7630003037150005054672133
SWIFT REF( 26122802864
PAID TO:
JEFFREY EPSTEIN
4,180
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
558 REF. 5045170103320121
IRAN: BE58001408700179
REF: INV 1636,1167 (NOV/DEC
2016 TRAVEL EXPI
SWIFT REF( 17010403104
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO PlIttIOD DO
BRASIL SA
558 REF4 50113170103320122
SWIFT REF. 17010403354
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-2,461.54
-5,000.00
-4,180.00
-5,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.9583
-2,568.74
0.9571
-2,571.94
0.9600
-5,201.75
0.9537
-1,382.94
0.9537
-7,242.75
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037820
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000644
EFTA 00148429
EFTA01252989
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT MR4BER:
PAGE 52
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
01/05/17 01/05/17
01/19/17 01/19/17
01/25/17 01/25/17
01/27/17 01/27/17
02/07/17 02/07/17
02/17/17 02/17/17
100,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
ACAIOOLE CENTRE D'AFFAIRES
S514 REPO SCHS170104116939
IRAN:
FR7616206002804246381300136
REF:INvOICE H-16/111 NY
PROJECT
SWIFT REFS 17010511711
PAID TO:
JEFFREY EPSTEIN
11.13 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHERANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSD REF. SCHS170123450504
IRAN:
FR2310002004690000060269Q70
SCAT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REFS 17012467453
PAID TO:
JEFFREY EPSTEIN
0.82 NEGATIVE IDLE CASH INTEREST
IDLE CASH ADJUSTMENT NOVEMBER
2016
PAID TO:
DEUTSCHE BANK
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCO DO
BRASIL SA
SSB REF! SCHS170206545211
SWIFT REFS 1702079A8K0
PAID TO:
JEFFREY EPSTEIN
7.71 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBMIK
-100,000.00
-2,461.54
-0.82
-5,000.00
-7.71
CONFIDENTIAL
AMOUNT IN
USD
0.9435
-105,990.03
0.9382
-11.86
0.9301
-2,646.65
0.9349
-0.88
0.9357
-5,343.75
0.9426
-8.18
GAIN/LOSS CI
INVESTMENT USD
SDNY_GM_00037821
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000645
EFTA_00I 48430
EFTA01252990
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 53
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
02/27/17 02/27/17
03/03/17 03/03/17
03/03/17 03/03/17
03/07/17 03/07/17
03/22/17 03/22/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF. 5C1451702246415$5
IBAN:
FR2330002004690000060269070
SORT CODE: 30002, RIB CODE:
00091 17
CODE GUCHET: 00169, KEY CODE:
70
SWIFT REP( 1702240ATNZ
PAID TO:
JEFFREY EPSTEIN
3,300
DISBURSEMENT OP FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REFI SC14.91.70302605688
IBAN: BE58001108700179
REF: INV 1702,1704(JAN/FEB
2017)
SHIFT REFI 1703029DZS7
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANK DO
BRASIL SA
SSB REF. SCM.9170302685686
SWIFT REFI 1703039AT84
PAID TO:
JEFFREY EPSTEIN
300,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D•AFFAIRES
SSE( REPS SCRS170306111617
IBAN:
FR7610206002804248381300136
REF:IST DEPOSIT ON LOOSE
DECORATIVE NY PROJECT
SWIFT REPO 170307040W
PAID TO:
JEFFREY EPSTEIN
4.68 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-2,461.54
-3,300.00
-5,000.00
-300,000.00
-4.68
CONFIDENTIAL
0.9443
-2,606.77
0.9119
-3,501.45
0.9419
-5,308.25
0.9461
-317,099.93
0.9263
-5.05
SDNY_GM_00037822
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000646
EFTA_00I 48431
EFTA01252991
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 54
TRADE
SETTLE
FACE
DATE
DATE
ANOUtrt
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
03/24/17 03/24/17
04/04/17 04/04/17
04/11/17 04/11/17
04/13/17 04/13/17
04/18/17 04/18/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPS SC145170321833034
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469
KEY COVE: 70
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PAFtIBAS
SSB REFS SCHS170403918023
!BAN:- 8E5$001408700179
REF: INV 1706 (MARCH 2017)
Sinn REF 17040404417
PAID TO:
JEFFREY EPSTEIN
5,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REF! SCESI70410977602
IBAN: -FR7630004006(70000058074
3949
SWIFT REF. 17041136066
PAID TO:
JEFFREY EPSTEIN
26.98 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
3,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO AS'SEB BASICA
SSE, REFS SCHS170414007725
IBAN:-LVO9UNLA0050009399019
SWIFT REF! 17041739691
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-1,650.00
-5,000.00
-26.98
-3,000.00
CONFIDENTIAL
0.9265
-2,656.66
0.9375
-1,760.05
0.9429
-5,302.75
0.9417
-28.65
0.9316
-1,C20.20
SDNY_GM_00037823
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000647
EFTA (()148432
EFTA01252992
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A...-COUNT NUMBER:
PAGE 55
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
04/21/17 04/21/17
04/25/17 04/25/17
05/10/17 05/10/17
05/15/17 05/18/17
05/24/17 05/24/17
29,295.25 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
ACAIOOLE CENTRE D'AFFAIRES
SSB REPO SC%5170420057310
IRAN: -FR761820600280424838130
0136
REF:TRAVELING EXPENSES
STATEMENT 03/20/17
DECORATIVE NY PROJECT
SWIFT REFS 17042105241
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REPS SCMSI70424073016
IRAN: -FR233000200469000006026
9Q70
SORT CODE: 30002 KEY CODE:
70
RIB OODE: 00091 17
CODE GUCHET: 00469
SWIFT REFI 17042504698
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PARIBAS
SSD REFS 5C345170509166551
IBAN:-BE50001408700179
REF: INV 1713 (APRIL 2017)
SWIFT REPS 1705099E5IV
PAID TO:
JEFFREY EPSTEIN
23.32 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEISANN
10,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO EMIRATES MID
SSE; REFS 50345170519242041
IRAN: AE00260000215214743201
SWIFT REFS 1705239AYM4
PAID TO:
JEFFREY EPSTEIN
-29,299.25
-2,461.54
-1,650.00
-23.32
-10,000.00
CONFIDENTIAL
0.9343
-31,360.45
0.9143
-2,692.18
0.9203
-1,792.97
0.9109
-25.60
0.8917
-14214.50
SDNY_GM_00037824
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000648
EFTA_00148433
EFTA01252993
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 56
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
05/25/17 05/25/17
05/31/17 05/31/17
[repeated 3 times]
06/01/17 06/01/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE: REP/ SCMSI70524259557
IBAN:
FR2330002004690000060269070
SORT CODE: 30002 KEY CODE:
70
RIB °ODE: 00091 17
CODE COMET: 00469
SWIFT REF. 1705249AV5J
PAID TO:
JEFFREY EPSTEIN
10,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKE74
SSE: REFI SCM5170530303327
I BAN:
SE6760000000000046708620
SWIFT REF. 17053106930
PAID TO:
JEFFREY EPSTEIN
465
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSD REFI SO18170530303326
IBAN:
FR7630003037150005054672133
SWIFT REFI 17053106918
PAID TO:
JEFFREY EPSTEIN
2.000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO :MEGA DEL
PUCIND
SSD REF+ SCHS170530303324
IRAN:
17'2730312403210000000237514
SWIFT REFI 17053106898
PAID TO:
JEFFREY EPSTEIN
24.89 DISBURSEMENT OF FUNDS
RETURN WIRE FEE
PAID TO:
RETURN WIRE FEE
-2,461.54
-10,000.00
-465.00
-2,000.00
-24.129
CONFIDENTIAL
0.8920
-2,759.63
0.8902
-11,233.49
0.8902
-522.36
0.8902
-2.246.70
0.8918
-27.91
SDNY_GM_00037825
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000649
EFTA_00I 48434
EFTA01252994
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 57
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR ex RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
06/01/17 06/01/17
06/02/17 06/02/17
06/06/17 06/06/17
06/08/17 06/08/17
06/08/17 06/08/17
10,000
DISBURSEMENT OF FUNDS
(REVERSAL)
PAID 70:
JEFFREY EPSTEIN
327,916.87 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
ACRICOLE CENTRE D•AFFAIRES
S58 REFf SCMS170601325549
IRON:
FR761$20600280424$381300136
REF:SECOND DEPOSIT DECORATIVE
In
PROJECT AND EXPENSES
SWIFT REF, 17060252234
PAID TO:
JEFFREY EPSTEIN
1,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SS8 REPS SC/65170605344425
IBANI -FR363000206800000038926
7814
REFS 1706059AYNK
PAID TO:
JEFFREY EPSTEIN
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REFS 50(5170607344499
IRAN: LT387300010129516294
SWIFT REFS 17060859731
PAID TO:
JEFFREY EPSTEIN
5.000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANKAS
SSB REPS SCMSI70607368401
IBAN: LT647044070008106768
SWIFT REPO 17060859773
PAID TO:
JEFFREY EPSTEIN
10,000.00
-327,916.87
-1,000.00
-2,500.00
-5,000.00
CONFIDENTIAL
0.8918
11,213.50
0.8864
-369,955.67
0.8867
-1,127.80
0.8915
-2,804.12
0.8915
-5.608.25
SDNY_GM_00037826
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000650
EFTA_00148435
EFTA01252995
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE Se
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS OB
INVESTMENT USD
06/08/17 06/08/17
06/16/17 06/16/17
06/23/17 06/23/17
2,500
DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DNB
LITHUANIA
358 REPO 5013170607168402
(BAH: LT604010051001676974
SWIFT REF/ 17060859730
PAID TO:
JEFFREY EPSTEIN
16.49 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE/ZANE
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE. REFI SCHS170622461448
I BAN:
P0.2330002004690000060269070
SORT COLE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SICIFt REFI 1706229A2CQ
PAID TO:
JEFFREY EPSTEIN
07/03/17 07/03/17
3,300
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REFS SOM170610511509
IBAN BE58001408700179
SHIFT REF* 17070305788
PAID TO:
JEFFREY EPSTEIN
07/11/17 07/11/17
100,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
338 REFI SCHS120711527213
IBAN
FR9610004029330000006235160
SWIFT REFI 17071199304
PAID TO:
JEFFREY EPSTEIN
07/19/17 07/19/17
20.25 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBMIK
-2,500.00
-16.49
-2,461.54
-3,300.00
-100,000.00
-20.25
CONFIDENTIAL
0.8915
-2,804.12
0.8929
-18.47
0.8931
-2,756.31
0.8000
-3,749.79
0.8724
-114,630.00
0.8682
-23.32
SDNY_GM_00037827
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000651
EFTA_00148436
EFTA01252996
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A...nCOUNT NUMBER:
PAGE 59
TRADE
SETTLE
FACE
DATE
DATE
WWI
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
07/25/17 07/25/17
07/27/17 07/27/17
07/31/17 07/31/17
08/16/17 08/16/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSI4 REPS SCHSI70724658817
IRAN:
FR2330002004690000060269070
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET: 00469
KEY
COVE: 70
THERE IS STANDING
INSTRUCTIONS FROM LETTER
RECD4/4/16 FOR 2,461.54 BUR
EVERY 25TH
OF THE 910NTH
SWIFT REFS 17072504182
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PMIBAS
SSB REPS 3049170726680523
IRAN: BE58001408700179
REF: INV 1719 (APRIL 2017)
REF: INV 1719 (JULY 2017)
SWIFT REFS 17072704103
PAID TO:
JEFFREY EPSTEIN
400,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D•AFFAIRBS
SSB REPS SCMS170728683086
IRAN: FR76 1820 6002 9042
4838 1300 136
REF: 3RD DEPOSIT AND PEES
SHIFT REFS 17073103640
PAID TO:
JEFFREY EPSTEIN
195.02 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSONEEANK
-2,461.54
-1,650.00
-400,000.00
-195.02
CONFIDENTIAL
0.8586
-2,866.96
0.8565
-1,926.46
0.8447
-473,520.16
0.8496
-229.54
SDNY_GN1_00037828
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0000652
EFTA 00148437
EFTA01252997
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 60
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FX RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
08/18/17 08/18/17
08/30/17 08/30/17
450
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSB REFI SCMSI70817837437
IRAN:
FR7630568199040001207230197
REF: 2017 WEALTH TAX RETURN -
JEFFREYEPSTEIN
SWIFT R£F)17081803542
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF) SCMS170829910801
IBAN:
FR2330002004690000060269Q70
SCR? CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF! 17083003102
PAID TO:
JEFFREY EPSTEIN
09/07/17 09/07/17
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO OUP PARIBAS
SSB REF) SCMS170906940282
IRAN BE58001408700179
SWIFT REF) 17090703813
PAID TO:
JEFFREY EPSTEIN
09/07/17 09/07/17
120,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PARIBAS
SSB REFf 5015170906940283
IRAN
FR7630004029330000006235160
SWIFT REF. 17090703822
PAID TO:
JEFFREY EPSTEIN
09/18/17 09/18/17
65.81 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEDANK
-450.00
-2.461.54
-1,650.00
-120,000.00
-65.81
CONFIDENTIAL
0.8502
-529.27
0.8417
-2,924.40
0.8316
-1,984.13
0.8316
-144,300.00
0.8365
-78.67
SDNY_GM_00037829
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000653
EFTA_00148438
EFTA01252998
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
A....-COUNT NUMBER:
PAGE 61
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
09/26/17 09/26/17
10/05/17 10/05/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSI4 REFI SCMSI7O925O645O3
IRAN:
FR2330002004690000060269070
SORT CODE: 3OOO2 KEY CODE:
70
RIB CODE: OOO91 17
COVE WORST: 00469
SWIFT REF. 17O9259AO7O
PAID TO:
JEFFREY EPSTEIN
21.1 NEGATIVE IDLE CASH INTEREST
PAID TO:
DENTSCHEBANK
10/10/17 10/10/17
139,360
10/11/17 10/11/17
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BARCLAYS BANK
PLC
SSB REFI 5049171006132446
IBAN:FR76 3O588 OOOO1
58O5399O1O1 62
REF:INVOICE 00017004639 ACCT
11O276177,
INVOICE 10817004600 ACCT
010662
SWIFT REFI 17100952777
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PARIBAS
SSE: REFI SCHSI71O1O145557
'BAN BE58OO14O87OO179
SWIFT REF. 1710109114EV
PAID TO:
JEFFREY EPSTEIN
-2,461.54
-21.10
-139,160.00
-1,650.00
CONFIDENTIAL
0.8485
-2,901.02
0.8541
-24.70
0.8466
-164,605.06
0.8428
-1,957.73
SDNY_GM_00037830
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000654
EFTA_00I 48439
EFTA01252999
JEFFREY EPSTEIN
TRAHSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 62
TRADE
SETTLE
FACE
DATE
DATE
ANOUtrt
DESCRIPTION
AMOUNT IN
CUR
FA RATE
Amoumr IN
USD
GAIN/LOSS C44
INVESTMENT USD
10/25/17 10/25/17
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REP/ SCMSI71024229775
(BAN:
FR2330002004690000060269O70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469
KEY COVE: 70
SKEET REFI1710249AHWB
PAID TO:
JEFFREY EPSTEIN
10/25/17 10/25/17
139,335
11/07/17 11/07/17
11/24/17 11/24/17
11/27/17 11/27/17
12/01/17 12/01/17
RECEIPT OF FUNDS
FUNDS RECEIVED PROM BARCLAYS
BANK PLC - CHRISTIES
REFUND FROM CHRISTIES
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PMIBAS
SSS REPS SC10171106123624
IBAN DE58001408700179
PAID TO:
JEFFREY EPSTEIN
81.82 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCREBANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
5SB REF ISCHS171124450739
!BAN:
PR2310002004690000060269Q70
SORT CODE: 30002
RIB CODE: 0009117
CODE GUCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
1,650
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PARIBAS
SSE: REP OSCHS171130514219
IRAN: DE58001408700179
PAID TO:
JEFFREY EPSTEIN
-2,461.54
139,335.00
-1,650.00
-81.82
-2,461.54
-1,650.00
CONFIDENTIAL
0.8472
-2,905.33
0.8472
164,455.71
0.8631
-1,911.19
0.8380
-97.64
0.8407
-2,928.12
0.8405
-1,961.02
SDNY_GM_00037831
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000655
EFTA_00148440
EFTA01253000
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 61
TRADE
SETTLE
FACE
DATE
DATE
WWI
DESCRIPTION
AMOUNT IN
EUR
FA KM!
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
12/21/17 12/21/17
[repeated 3 times]
01/03/18 01/03/18
01/18/18 01/18/18
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE( REF ISCMS171220642470
IBAN:
FR2310002004690000060269Q70
REF: 13TH MONTH
SORT CODE: 30002
RIB CODE: 0009117
CODE GUOHET: 00469
KEY CODE: 70
PAID 70:
JEFFREY EPSTEIN
100,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REF ISCHS171220642471
I BAN:
FR7610004029330000006235160
PAID TO:
JEFFREY EPSTEIN
124.09 NEGATIVE IDLE CASH INTEREST
PAID TO:
DENTSCHERNIK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF 15C345180102719858
IRAN:
PR2310002004690000060269Q70
SORT CODE: 30002
RIB CODE: 0009117
CODE GUCHRT: 00469
KEY CODE: 70
PAID 70:
JEFFREY EPSTEIN
2,530
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PARIBAS
SSE) REF iSCMS180117003499
IBAN 9E58001408700179
REF: INV 1736 (DEC 2017) AND
INV 1737 - 2017 EXPENSES
PAID 70:
JEFFREY EPSTEIN
-2,461.54
-100,000.00
-124.09
-2,461.54
-2,530.00
CONFIDENTIAL
0.8122
-2,922.73
0.8422
-118,736.00
0.8422
-147.34
0.8325
-2,956.85
0.8171
-3,096.19
SDNY_GM_00037832
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000656
EFTA_00148441
EFTA01253001
JEFFREY EPSTEIN
TRANSACTICN STATEMENT FCR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 64
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AYOUNT IN
CUR
FX RATE
AMOUME IN
USD
GAIN/LOSS CAI
INVESTMENT USD
01/25/16 01/25/18
01/25/18 01/25/18
02/12/18 02/12/18
02/23/18 02/23/18
02/26/18 02/26/18
03/05/18 03/05/18
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF OS00180124870039
I BAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GCCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
107.58 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCREBANK
1,800
DISBURSEMENT OF FUNCS
FUNDS TRANS TO BHP PARIBAS
558 REF. SCHS180209954995
IBAN BE58001408700179
REF: INV 1802 JANUARY 2018
PAID TO:
JEFFREY EPSTEIN
107.58 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHESANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REP 15C345180223051068
IBAN:
FR2310002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469
KEY CODE: 70
FAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF4SCMS180302104317
IBAN BE58001408700179
REF: INV 1805 FEBRUARY 2018
PAID 70:
JEFFREY EPSTEIN
-2,461.54
-107.58
-1.800.00
-107.58
-2.461.54
-1,800.00
CONFIDENTIAL
0.8058
-3,054.87
0.8055
-133.51
0.8136
-2,212.31
0.8134
-132.25
0.8120
-3.031.44
0.8109
-2,219.83
SDNY_GM_00037833
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000657
EFTA (()148442
EFTA01253002
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 65
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
Amoumr IN
USD
GAIN/LOSS ON
INVESTMENT USD
03/16/18 03/16/18
[repeated 3 times]
03/23/18 03/23/18
03/28/18 03/28/18
04/25/18 04/25/18
62.62 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
71.78 NEGATIVE IDLE CASH INTEREST
JANUARY IDLE CASH
PAID TO:
DEUTSCHEBANK
107.58 NEGATIVE IDLE CASH INTEREST
(REVERSAL)
PAID TO:
DEUTSCHEBANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFtStmS100122216025
IRAN:
FR2330002004690000060269Q70
San CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF, 5°15180327251032
IRAN 9t58001408700179
REF: INV 1806 MARCH 2010
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCHS180424453252
IRAN:
FR2330002004690000060269(310
SCRS COTE: 30002
RIB CODE: 00091 17
CODE OUCMET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-62.62
-71.78
107.58
-2,461.54
-1,800.00
-2,461.54
CONFIDENTIAL
0.8141
-76.92
0.8141
-88.17
0.8141
132.14
0.8093
-3,041.68
0.8125
-2,215.31
0.8220
-2,994.66
SDNY_GM_00037834
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000658
EFTA_00 I 48443
EFTA01253003
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 66
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
04/25/18 04/25/18
05/04/18 05/04/18
05/16/18 05/16/18
05/25/18 05/25/18
06/15/18 06/15/18
06/15/18 06/15/18
66.4 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHESANK
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
$$B REFISCMS160503531306
IRAN BE58001408700119
REF: INV 1812 APRIL 2018
PAID TO:
JEFFREY EPSTEIN
62.16 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHERANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFfSCMS180524659254
IBAN:
FR2310002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID 70:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSE: REFISCHS180614830679
IRAN 5E58001409700179
REF: INV 1815 MAY 2018
PAID TO:
JEFFREY EPSTEIN
200,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF4SCMS160614830675
IRAN:
FR7618206002804246381300136
REF: 4TH DEPOSIT AND
EXPENSES
PAID TO:
JEFFREY EPSTEIN
-66.40
-1,800.00
-62.16
-2,461.54
-1,000.00
-200,000.00
CONFIDENTIAL
AMOUNT IN
USD
0.8220
-80.78
0.8364
-2,152.12
0.8470
-73.39
0.8577
-2,870.03
0.8616
-2,089.15
0.6616
-232,126.00
GAIN/LOSS ON
INVESTMENT USD
SONY_GM_00037835
CONFIDENTIAL - PURSUANT TO FED R CRIM. P 6(e)
DB-SDNY-0000659
EFTA_00148444
EFTA01253004
JEFFREY EPSTEIN
TRANSACTICN STATEMENT MR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 67
TRADE
SETTLE
FACE
DATE
DATE
ANOTArt
DESCRIPTION
AMOUNT IN
CUR
FA RATE
Amougr IN
USD
GAIN/LOSS ON
INVESTMENT USD
06/15/18 06/15/18
06/25/18 06/25/18
06/26/18 06/26/18
07/05/18 07/05/18
8,538.98 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT DU NORD
SSD REF1SCMS180614630476
IRAN:
FR7610076020192019510020093
REF: SCI JEP - MONSIEUR
EPSTEIN 201201 OOP: 09022
RIB 130076020192019580020093
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SS& REP1SCMS180622670791
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
000E GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
62.12 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO GNP PARIBAS
SSB REF13CM5180703967043
IRAN 9E58001408700179
REF: INV Isla
PAID TO:
JEFFREY EPSTEIN
07/12/18 07/12/18
10,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFISCMS180711018289
IRAN:
FR7630003037600002002076839
REF:COMMANDE NO B547468
MERCEDES MAYEACH
5560 4 MATIC FL DOWNFAYMENT
PAID TO:
JEFFREY EPSTEIN
-6,538.98
-2,461.54
-62.12
-1,800.00
-10,000.00
CONFIDENTIAL
0.8616
-9,910.68
0.8546
-2,680.42
0.8505
-72.36
0.8556
-2,103.86
0.8569
-11,669.70
SDNY_GM_00037836
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000660
EFTA (()148445
EFTA01253005
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 68
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RA7E
Amoumr IN
USD
GAIN/LOSS CII
INVESTMENT USD
07/18/18 07/18/18
07/25/18 07/25/18
07/30/16 07/30/18
08/06/18 08/06/18
08/09/28 08/09/18
08/20/18 08/20/18
66.32 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHESANK
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCM8100724008060
IRAN:
FR2310002004690000060269070
SORT CODE: 30002
RIB CODE: 00091 17
CODE 00CHET: 00169
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
6,230
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSI3 REFISCMS100727126055
IBAN:
FR7610004029330000014965160
REF: REIMBURSEMENT FOR
PAYMENT TO VMSAF
PAID TO:
JEFFREY EPSTEIN
450
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSB REF1SCMS100003102022
IRAN:
PR7610568199040001207230191
REF: 2018 WEALTH TM RETURN -
JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REFISCMS100808214201
IRAN 8E$8001408700179
REF: INV 1822 AUGUST 2018
PAID 70:
JEFFREY EPSTEIN
56.07 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE/AUK
-66.32
-2,461.54
-6,230.00
-450.00
-1,800.00
-56.07
CONFIDENTIAL
0.8590
-77.20
0.8527
-2,886.92
0.8545
-7,290.53
0.8656
-519.86
0.8675
-2,075.02
0.8710
-64.37
SDNY_GM_00037837
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000661
EFTA_00 I 48446
EFTA01253006
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 69
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS ON
INVESTMENT USD
08/20/18 08/20/18
08/24/18 08/24/18
08/28/18 08/28/18
09/05/18 09/05/18
475.32 DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSE. REFISCMS100817277964
IBAN:
FR7610003031750002011435892
REF:FACIVRE NO 8520057362
MONSIEUR EPSTEIN
CLIENT .69551 CONTRACT
NO.201119
PAID TO:
JEFFREY EPSTEIN
2,461.54 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS100923315459
I BAN:
FR2O10002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
10,000
DISBURSEMENT OF FUNDS
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
2,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO DPP PARIBAS
SSB REINISCMS100904304983
IRAN 8E59001408700179
REF: INV 1824 AUGUST 2018
PAID 70:
JEFFREY EPSTEIN
-475.32
-2,461.54
10,000.00
-1,900.00
CONFIDENTIAL
0.8710
-545.72
0.8605
-2,860.46
0.8552
11,692.70
0.9598
-2,091.51
SDNY_GM_00037838
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000662
EFTA_00148447
EFTA01253007
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019) accovrrr NUMBER:
PAGE 70
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
09/06/18 09/06/18
09/18/18 09/18/18
09/25/18 09/25/18
09/25/18 09/25/18
09/26/18 09/26/18
3,294.5 DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REFISCMSI80905402488
IBAN:FR7630003038240002001471
047
REF: FACTURE NO. FC7889
CONTRACT NO 01012017
22 RUE FOCH PARIS
PAID TO:
JEFFREY EPSTEIN
25
DISBURSEMENT OF FUNDS
RETURN WIRE FEE
PAID TO:
RETURN WIRE PEE
2,461.54 DISBURSEMENT OF FUNDS
PUNDS TRANS TO CREDIT
LYONNAIS
SSB REFfSCMS180924516957
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET: 00469 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
49.51 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEIDANK
121.87 DISBURSEMENT OF FUNDS
PUNDS TRANS TO SOCIP.TE
GENERALE
SSE: REFISCMS180925553550
IBAN:FR7630003038240002001471
047
REF: FACTURE NO. FC7602
CONTRACT 110 01012017 22
RUE FOCH PARIS
PAID 70:
JEFFREY EPSTEIN
-3,294.50
-25.00
-2,161.54
-49.51
-121.87
CONFIDENTIAL
AMOUNT IN
USD
0.8604
-3,829.07
0.8570
-29.17
0.8499
-2,896.15
0.8499
-58.25
0.8517
-141.08
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037839
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000663
EFTA_00148448
EFTA01253008
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 71
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
Amougr IN
USD
GAIN/LOSS CR
INVESTMENT USD
09/28/16 09/28/18
09/28/18 09/28/18
10/02/18 10/02/18
10/04/18 10/04/18
100,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSE REFISCMS180927581775
IRAN:
FR7616206002804248381300136
REF: LSJE LLC
PAID TO:
JEFFREY EPSTEIN
242
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANQUE
POPULAIRE LORRAINE CHAMPAGNE
558 REFISCMS100927501776
IRAN:
FA7114707000203092177039944
RE: FACTURE NO. 17-09-10
MONSIEUR EPSTEIN
INTERVEIlSION 25/07/2017 BON no. 5782
PAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BLIP PARIBAS
SSE: REFISCMS101001611209
IRAN 8E58001408700179
REF: INV 1828 SEPTEMBER 2010
PAID TO:
JEFFREY EPSTEIN
12,141.21 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT DU NORD
558 REFISCMS101003625648
I BAN:
PR7630076020199677110020094
REF: SCI JEP - MONSIEUR
EPSTEIN 201203
COP: 09022 4TH TERM OF 2018
PAID TO:
JEFFREY EPSTEIN
-100,000.00
-242.00
-1,800.00
-12,141.21
CONFIDENTIAL
0.8617
-116,056.00
0.8617
-280.86
0.8660
-2,078.53
0.8686
-13,977.57
SDNY_GM_00037840
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000664
EFTA_00148449
EFTA01253009
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 72
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS 041
INVESTMENT USD
10/11/18 10/11/18
10/18/18 10/18/18
10/25/18 10/25/18
10/25/18 10/25/18
9,992
DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNP PARIBAS
SSE: REFISCMS181011660289
IBAN:
FR7630004029330000014965160
REF: REIMBURSEMENT RR
PAYMENT TO URSSAF
PAID TO:
JEFFREY EPSTEIN
153.81 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
358 REFISCHS101017722451
IBAN:
FR2330002004690000060269070
REF: COMPLEMENTARY AMOUNT
COVERING 9 MUTH
PERIOD
JANUARY-SEPTEMBER 2018
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET: 00469 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
2,509.27 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
558 REF15CH5181024772454
IRAN:
PR2310002004690000060269070
SORT CODE: 30002
RIB CODE: 00091 17
00DR GUCHRT: 00469
KEY CODE: 70
PAID 70:
JEFFREY EPSTEIN
51.99 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-9,992.00
-153.81
-2,509.27
-51.99
CONFIDENTIAL
0.8624
-11,586.42
0.8730
-176.18
0.8796
-2,852.76
0.8796
-59.11
SDNY_GN1_00037841
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0000665
EFTA_00148450
EFTA01253010
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 71
TRADE
SETTLE
FACE
DATE
DATE
MOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
11/01/18 11/01/18
11/14/18 11/14/18
11/26/18 11/26/16
11/26/18 11/26/18
11/30/18 11/30/18
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSE: REFISCMS101031821662
IRAN 8E58001408700179
REF: INV 1830 OCTOBER 2010
PAID 70:
JEFFREY EPSTEIN
29,456
DISBURSEMENT OF FUNDS
FUNDS TRANS TO GIG BANQUE
TRANSATLAHTIQUE
SSE. REFISCMS181113916328
IRAN:
FR7630568199040001207230197
REF: 2018 WEALTH TAX
RETURN - JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
2,509.27 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS101123905256
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCNET: 00469
KEY CODE: 70
PAID 70:
JEFFREY EPSTEIN
74.59 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCREBANK
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSB REF$SCMS181129023449
IRAN BE58001408700179
REF: INV 1833 NOVEMBER 2018
PAID 70:
JEFFREY EPSTEIN
-1,800.00
-21,456.00
-2,509.27
-74.59
-1,000.00
CONFIDENTIAL
Amoumr IN
USD
0.8767
-2,053.17
0.8839
-33,325.05
0.8630
-2,041.82
0.8830
-84.48
0.8839
-2.036.52
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037842
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000666
EFTA_00I 48451
EFTA01253011
JEFFREY EPSTEIN
TRANSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT 701MBER:
PAGE 74
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FA RATE
12/13/18 12/13/18
46,544
12/18/18 12/18/18
12/20/18 12/20/18
12/20/18 12/20/18
12/24/18 12/24/18
DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AC4tICOLE CENTRE D'AFFAIRES
SSB REFISCMS181212117376
IRAN:
FR7618206002804246381300136
REF: LSJE LIC
PAID TO:
JEFFREY EPSTEIN
59.66 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSE: REFISCMS181219169863
IRAN 0E58001406700179
REF: INV 1835 DECEMBER 2018
PAID TO:
JEFFREY EPSTEIN
2,521.37 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSE: REFISCMS181219169864
IRAN:
FR2330002004690000060269:270
REF: 13114 PAY
SORT CODE: 30002 RIB CODE:
0009117
CODE GUCHET: 00169 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
2,509.27 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS181221181174
IBAN:
FR2330002004690000060269Q70
SCRS COLE: 30002 RIB CODE:
0009117
CODE OUCHET: 00469 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
-46,564.00
-59.66
-1,800.00
42,521.37
-2,509.27
CONFIDENTIAL
Amougr IN
USD
0.8802
-52,903.22
0.0801
.67.79
0.8730
-2,061.76
0.8730
-2.888.03
0.8769
-2.861.52
GAIN/LOSS OCI
INVESTMENT USD
SDNY_GM_00037843
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000667
EFTA (()148452
EFTA01253012
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 75
TRADE
SETTLE
FACE
DATE
DATE
MOUNT
DESCRIPTION
AMOUNT IN
ERR
FX RATE
01/14/19 01/14/19
01/23/19 01/23/19
01/24/19 01/24/19
02/07/19 02/07/19
02/19/19 02/19/19
02/20/19 02/20/19
3,406
DISBURSEMENT OF FUNDS
FUNDS TRANS TO BHP PARIBAS
SSE: REFISCMS190111325621
IBAN 9E59001409700179
REF: INV 1838 EXTRA WORK AND
EXPENSES 2018
PAID TO:
JEFFREY EPSTEIN
37.41 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
2,509.27 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS190123389994
I BAN:
PR2110002004690000060269(770
SORT COLE: 30002
RIB CODE: 0009117
CODE GUOPIRT: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
1,800
DISBURSEMENT OF FUNDS
FUNDS TRANS TO OUP PARIBAS
SSE: REFISCMS190206497916
IRAN: 8E58001408700179
REF: INV 1903 JANUARY 2019
PAID TO:
JEFFREY EPSTEIN
24.64 NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
20,000
DISBURSEMENT OF FUNDS
FUNDS TRANS TO LCL CREDIT
LYONNAIS
SSB REFISCMS1902195878I5
IBAN:
FR9530002004320000445367G97
REF: JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
-3,406.00
-37.41
-2,509.27
-1,800.00
-24.64
-20,000.00
CONFIDENTIAL
Amoumr IN
USD
0.8721
-3,905.52
0.8788
-42.57
0.8841
-2,838.19
0.8821
-2,040.55
0.8819
-27.94
0.8823
-22,668.80
GAIN/LOSS ON
INVESTMENT USD
SDNY_GM_00037844
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000668
EFTA_00148453
EFTA01253013
JEFFREY EPSTEIN
TRAHSACTICN STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 76
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
CUR
FA RATE
AMOUNT IN
USD
GAIN/LOSS CAI
INVESTMENT USD
02/20/19 02/20/19
03/05/19 03/05/19
03/08/19 03/08/19
03/11/19 03/11/19
04/17/19 04/17/19
2,501.53 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS190219587819
IRAN:
FR2330002004690000060209Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00169
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
2,505.4 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFISCMS190304673151
IRAN:
PR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
0009117
CODE GUCHET: 00469 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
16.73 NEGATIVE IDLE CASH INTEREST
PAYMENT
NEGATIVE IDLE CASH INTEREST
PAYMENT BY EVEAM30983 .
INTEREST ON EURO IDLE FROM
2/1/2019 TO 2/28/2019
18,016.11 DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REFfSCMS190306714506
IRAN:
FR0630002004510000375926048
REF: JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
3.16 NEGATIVE IDLE CASH INTEREST
PAYMENT
NEGATIVE IDLE CASH INTEREST
PAYMENT BY EVENT30903 .
INTEREST CAI EURO IDLE FRCP(
3/1/2019 TO 3/31/2019
-2,501.53
-2,505.40
0.8823
-2,835.33
0.8845
-2,632.51
-16.73
0.8904
-16,016.11
-18.79
-18.79INC
0.8095
-20.254.97
-3.16
0.8849
CONFIDENTIAL
-3.57
-3.57114C
SDNY_GM_00037845
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000669
EFTA_00148454
EFTA01253014
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 77
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
Amougr IN
USD
GAIN/LOSS CAI
INVESTMENT USD
04/21/14 04/22/14
05/23/14 05/27/14
03/30/15 03/31/15
04/16/15 04/17/15
04/28/15 04/29/15
07/02/15 07/06/15
100,000
PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: DEUTSCHE BANK -
BVY EUR: 100,000.00
SELL USD: 138,050.03
PRICE: 1.38050
100,000
PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: DEUTSCHE BANK - LCREON
BUY RUE: 100,000.00
SELL USD: 136,460.00
PRICE: 1.36460
92,136.1
PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: DEUTSCHE BANK - LOMEON
BUY EUR: 92,336.10
SELL USD: 100,000.00
PRICE: 1.08300
92,738.57 PURCHASE FOREIGN EXCHANGE
SHOT
THROUGH: DEUTSCHE RANK - L0NEON
BUY EVE: 92,738.57
SELL USD: 100,000.00
PRICE: 1.07830
45,578.85 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: DEUTSCHE BANK - LCNCON
BUY EUR: 45,578.85
SELL USD: 50,000.00
PRICE: 1.09700
89,928.06 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: DEUTSCHE RANK - LEMON
BUY EUR: 89,928.06
SELL USD: 100,000.00
PRICE: 1.11200
100,000.00
100,000.00
92,136.10
92,738.57
45,578.85
89,928.06
CONFIDENTIAL
0.7244
138,050.00
0.7328
136,460.00
0.9234
100,000.00
0.9274
100,000.00
0.9116
50,000.00
0.8993
100,000.00
SDNY_GM_00037846
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000670
EFTA_00148455
EFTA01253015
JEFFREY EPSTEIN
TRANSACTION STATEMENT FCR EURO
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AMOUNT IN
DESCRIPTION
EUR
EX RATE
PAGE 79
ACCOUNT NUMBER:
Amougr IN
GAIN/LOSS C44
USD
INVESTMENT USD
07/23/15 07/24/15
90,092.56 PURCHASE FOREIGN EXCHANGE
90,092.56
0.9089
100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LWEON
BUY EUR: 90,892.56
SELL USD: 100,000.00
PRICE: 1.10020
11/03/15 11/04/15
91,232.55 PURCHASE FOREIGN EXCHANGE
91,232.55
0.9123
100,000.00
SPOT
THROUGH: DEUTSCHE RANK - LECIDON
BUY EUR: 91,232.55
SELL USD: 100,000.00
PRICE: 1.09610
11/24/15 11/25/15
469,007.16 PURCHASE FOREIGN EXCHANGE
409,067.16
0.9382
500,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCODON
BUY EUR: 469,067.16
SELL USD: 500,000.00
PRICE: 1.06590
01/08/16 01/11/16
346,400.11 PURCHASE FOREIGN EXCHANGE
348,400.11
0.9168
390,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCDEON
BUY EUR: 348,400.11
SELL USD: 380,000.00
PRICE: 1.09070
03/23/16 03/24/16
357,442.85 PURCHASE FOREIGN EXCHANGE
357,442.85
0.8936
400,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 357,442.85
SELL USD: 400,000.00
PRICE: 1.11906
07/20/16 07/21/16
90,178.86 PURCHASE FOREIGN EXCHANGE
90,178.86
0.9076
100,000.00
SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 90,770.86
SELL USD: 100,000.00
PRICE: 1.10158
01/01/17 01/04/17
100,617.21 PURCHASE FOREIGN EXCHANGE
100,617.21
0.9583
105,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCOOO14
BUY EUR: 100,617.21
SELL USD: 105,000.00
PRICE: 1.04356
SDNY_GM_00037847
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
DB-SDNY-0000671
EFTA_00148456
EFTA01253016
JEFFREY ERSTEIN
TRANSACTION STATEMENT FCR EURO
TRADE
SETTLE
DATE
DATE
FACE
AMOUNT
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
AMOUNT IN
DESCRIPTION
EUR
FX RATE
PAGE 79
ACCOUNT NUMBER:
AXOUNT IN
GAIN/LOSS UI
USD
INVESTMENT USD
03/03/17 03/06/17
404,167.98 PURCHASE FOREIGN EXCHANGE
404,147.98
0.9413
430,000.00
SPOT
THROUGH: DEUTSCHE BANK - LC4VEON
BUY EUR: 101,767.98
SELL USD: 430,000.00
PRICE: 1.06234
05/31/11 06/01/17
355,173.76 PURCHASE PDREIGH EXCHANGE
355,773.76
0.8894
400,000.00
SPOT
THROUGH: DEUTSCHE RANK - LCNEON
BUY EUR: 355,773.76
SELL USD: 400,000.00
PRICE: 1.12431
07/07/17 07/10/17
569,934.47 PURCHASE MREICH EXCHANGE
569,934.47
0.8768
650,000.00
SPOT
THROUGH: DEUTSCHE DANK - Lampom
BUY LUR: 569,934.47
SELL USD: 650,000.00
PRICE: 1.14048
09/25/17 09/26/17
84,334.45 PURCHASE PDREIGN EXCHANGE
84,334.45
0.8433
100,000.00
SPOT
THROUGH: DEUTSCHE RANK - LCHIPON
BVY EUR: 84,334.45
SELL USD: 100,000.00
PRICE: 1.18576
10/05/17 10/06/17
170,798.57 PURCHASE FOREIGN EXCHANGE
170,798.57
0.8540
200,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCHDON
BUY EUR: 170,798.57
SELL USD: 200,000.00
PRICE: 1.17097
06/12/18 06/13/18
212,002.93 PURCHASE ACHEIGH EXCHANGE
212,002.93
0.8480
250,000.00
SPOT
THROUGH: DEUTSCHE RANK FX
DUX EUR: 212,002.93
SELL USD: 250,000.00
PRICE: 1.17923
09/27/18 09/28/18
171,241.09 PURCHASE FOREIGN EXCHANGE
171,241.09
0.8562
200,000.00
SPOT
THROUGH: DEUTSCHE BANK - LCHDOH
DUX EUR: 171,241.09
SELL USD: 200,000.00
PRICE: 1.16794
SDNY_GM_00037848
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED. R CRIM. P. 6(e)
DB-SDNY-0000672
EFTA_00148457
EFTA01253017
JEFFREY EPSTEIN
TRANSACTION STATEMENT FOR EURO
FOR PERIOD (04/10/2014 THROUGH 07/12/2019)
ACCOUNT NUMBER:
PAGE 80
TRADE
SETTLE
FACE
DATE
DATE
AMOUNT
DESCRIPTION
AMOUNT IN
EUR
FX RATE
Amoumr IN
USD
GAIN/LOSS OU
INVESTMENT USD
03/13/19 03/14/19
04/19/19 04/19/19
16.73 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: STATE ST BK TR CO
BUY EUR: 16.73
SELL USD: 16.93
PRICE: 1.13150
3.16 PURCHASE FOREIGN EXCHANGE
SPOT
THROUGH: STATE ST BK TR CO
BUY EUR: 3.16
SELL USD: 3.55
PRICE: 1.1:342
16.73
0.8838
16.93
3.16
0.89D1
3.55
07/12/19
CLOSING BALANCE
0.00
17,172.06
REALIZED FX LOSS ON CASH
-17,172.08
CLOSING BALANCE (BOOK VALUE)
0.00
0.00
SDNY_GM_00037849
CONFIDENTIAL
CONFIDENTIAL - PURSUANT TO FED R CRIM. P. 6(e)
DB-SDNY-0000673
EFTA_00 148458
EFTA01253018
Technical Artifacts (470)
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9988992SWIFT/BIC
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BARCLAYSSWIFT/BIC
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COVERINGSWIFT/BIC
DESCRIPTIONSWIFT/BIC
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FESTIVALSWIFT/BIC
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STANDINGSWIFT/BIC
SWEDBANKSWIFT/BIC
TRAHSACTICNSWIFT/BIC
TRANSACTICESWIFT/BIC
TRANSACTICWSWIFT/BIC
TRANSACTIONWire Ref
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