Text extracted via OCR from the original document. May contain errors from the scanning process.
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Total enclosures: 0
Page 1 of 10
967 000 PB
457 MADISON AVE
4TH FLOOR
NEW YORK NY 10022
Your JPMorgan Private Bank Team:
MARIA HORNAK
CAMILLO D'ORAZIO
Private Bank ServiceLine
For assistance after business hours,
7 days a week.
Foreign currency
You can purchase up to $5,000 USD of foreign currency or foreign traveler's
checks and
have the order delivered to your home, office or a Chase branch. As a
private banking
client, you will receive preferred exchange rates and free delivery of your
order. There
is no fee for foreign currency bank notes; however, a 1.5% fee is imposed on
the
purchase of foreign traveler's checks. For your convenience, we will debit
your
purchase from your Morgan checking or savings account. Please contact your
Account
Officer for more information on foreign currency or to learn more about the
array of
banking products we offer.
Relationship Banking Summary
Deposit Accounts
Description
Premier Checking
Total
Number
739-110438
Opening
Balance
$762,486.29
Total Credits
$4,760,494.24
Total Debits
$4,843,061.93
Ending
EFTA01526016
Balance
$679,918.60
$679,918.60
JPMorgan Chase Bank
JPMorgan Private Bank
EFTA01526017
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 2 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Summary
Opening Balance
Deposits and Credits
Checks, Withdrawals and Debits
Ending Balance
Activity
Date
Description
Opening Balance
Mar 03
Internal Funds Transfer
Mar 03
FUNDS TRANSFERRED FROM BRKRG AC# Q3
0171005 (PRN) TO DDA AC# 0007391104
38 LETTER FROM CLIENT
Fedwire Debit
/121000248
Mar 03
A/C:
IMAD: 0303B1QGC04C002863
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
457 MADISON AVE
NEW YORK NY
Mar 03
REF: /BNF/EUR1842.66
Book Transfer
A/C: NES LLC
Mar 03
NEW YORK NY 10022-680
ORG: /000739110438
Fedwire Debit
/044000037
REF: /ACC/CONTACT: DEE LEE 614-2482980/TIME/12:08
Mar
EFTA01526018
04
IMAD: 0303B1QGC01C003058
Fedwire Debit
/121000248
A/C:
IMAD: 0304B1QGC05C004057
$500.00
$1,658,980.74
$50,000.00
$1,709,480.74
$2,005.55
$1,759,480.74
$762,486.29
$4,760,494.24
$4,843,061.93
$679,918.60
Average Balance
Interest Paid this Period
Interest Paid Year to Date
Annual Percentage Yield
Debit
Credits
$1,000,000.00
$913,930.28
$921.21
$921.21
1.48%
Balance
$762,486.29
$1,762,486.29
$1,000.00
$1,761,486.29
$50,000.00
$1,659,480.74
EFTA01526019
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 3 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 04
Description
Book Transfer
ORG: /000739110438
REF: /CHGS/USD12,50/ACC/SWIFT: SBZA
ZAJJBANK CODE: 29109/BNF/STANDARDBA
FRICA
Mar 06
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
457 MADISON AVE
NEW YORK NY
Mar 06
REF: /BNF/EUR400000.00
Book Transfer
Mar 07
NEW YORK NY 10022
ORG: /000739110438
Fedwire Credit
/043000261
B/0: JEFFREY EPSTEIN
ST THOMAS VI 00802
REF: CHASE NYC/CTR/BNF=JEFFREY E EP
STEIN NEW YORK NY 10022-/AC-0007391
10438 RFB=O/B MELLON BANK BBI=/TIME
/14:58
Mar 07
IMAD: 0307D3QCI200004643
CHIPS Debit
EFTA01526020
/0103
Mar 07
REF: ACCOUNT
SSN: 0208058
Fedwire Debit
/062001319
IMAD: 0307B1QGC01C002884
$17,539.77
$1,100,200.97
$598,000.00
$617,740.74
$439,240.00
$1,215,740.74
Debit
$4,000.00
Credits
(cont.)
Balance
$1,654,980.74
$500,000.00
$1,117,740.74
$50,000.00
$1,050,200.97
EFTA01526021
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 4 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 07
Description
Book Transfer
A/C: NES LLC
Mar 07
NEW YORK NY 10022-680
ORG: /000739110438
Book Transfer
Mar 10
A/C: THE 2001 JEFFREY&EPSTEIN INSUR
NEW YORK NY 10022
ORG: /000739110438
CHIPS Credit
VIA: CITIBANK
/0008
B/0: EPSTEIN JEFFREY
UNITED STATES
Mar 10
REF: NBNF=JEFFREY E EPSTEIN NEW YOR
K NY 10022-/AC-000739110438 ORG=EPS
TEIN JEFFREY UNITED STATES OGB=/360
10665 92073 PARIS LA DEFENCE, FRANC
SSN: 0019227
Book Transfer
PARIS CEDEX 09 FRANCE 754270RG:
/000739110438
BEN:
MLE.111.1=
Mar 11
REF: 135 RUE DE SEVRES PARIS, FRANC
E 75006/ACC/SWIFT: CCBPFRPPMAR; BAN
K CODE:14607;GUICHET:00060;CLE RIB:
Fedwire Debit
/221571473
EFTA01526022
A/C: LSJ, LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
IMAD: 0311B1QGC01C002876
Debit
$100,000.00
Credits
(cont.)
Balance
$950,200.97
$110,000.00
$840,200.97
$259,573.03
$1,099,774.00
$2,000.00
$1,097,774.00
$10,000.00
$1,087,774.00
EFTA01526023
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 5 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 11
Description
Fedwire Debit
/221571473
Mar 11
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802
IMAD: 0311B1QGC07C002202
Fedwire Debit
/062001319
A/C: JEGE, INC.
Mar 11
IMAD: 0311B1QGC01C002875
Fedwire Debit
/107002192
Mar 11
IMAD: 0311B1QGC04C002223
Fedwire Debit
/221571473
A/C: LSJ, LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
Mar 13
IMAD: 0311B1QGC04C002801
CHIPS Debit
/0509
A/C: ACCAISSE D'EPARGNE
BEN:
Mar 14
REF: IBAN: FR76 1313 5000 8004 0168
EFTA01526024
3496762/ACC/31520 RAMONVILLE SAINT
-AGNE, FRANCE; SWIFT: CAPAFRPP313
SSN: 0244081
Fedwire Debit
/062001319
IMAD: 0314B1QGC07C002483
$2,000.00
$870,774.00
$100,000.00
$872,774.00
$50,000.00
$972,774.00
Debit
$15,000.00
Credits
(cont.)
Balance
$1,072,774.00
$50,000.00
$1,022,774.00
$150,000.00
$720,774.00
EFTA01526025
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 6 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 17
Description
Book Transfer
A/C: NES LLC
Mar 17
NEW YORK NY 10022-680
ORG: /000739110438
Fedwire Debit
/107002192
Mar 18
IMAD: 0317B1QGC08C005150
Internal Funds Transfer
Mar 18
FUNDS TRANSFERRED FROM BRKRG AC# Q3
0171005 (PRN) TO DDA AC# 0007391104
38 LETTER FROM CLIENT
Fedwire Debit
/062001319
AM/acr:1
IMAD: 0318B1QGC01C003044
Book Transfer
A/C: NES LLC
Mar 18
NEW YORK NY 10022-680
ORG: /000739110438
Book Transfer
Mar 19
NEW YORK NY 10022
ORG: /000739110438
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
EFTA01526026
457 MADISON AVE
NEW YORK NY
REF: /BNF/EUR1716.96
$50,000.00
$3,570,274.00
$3,000,000.00
$3,620,774.00
Debit
$50,000.00
Credits
(cont.)
Balance
$670,774.00
$50,000.00
$620,774.00
$500.00
$3,620,274.00
$2,400,000.00
$1,170,274.00
$1,842.81
$1,168,431.19
EFTA01526027
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 7 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 19
Description
Book Transfer
A/C: ITAUSA-SERVICER\BDPRFCO-SPC&DB
NEW YORK NY 10006ORG:
/000739110438
BEN: /02474-8
ENCY # 1765-PAB ROCHE
CHIPS Debit
VIA: CITIBANK
/0008
Mar 24
SSN: 0264152
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
457 MADISON AVE
NEW YORK NY
Mar 26
REF: /BNF/EUR2300.00
Book Transfer
GUYANCOURT CEDEX FRANCE 780420RG:
/000739110438
BEN: /07632600008
MLE III
I
Mar
E 23 83420 LA CROIX VALMER/ACC/IBAN
: FR76 1910 6000 0907 63260000 829,
Book Transfer
EFTA01526028
GUYANCOURT CEDEX FRANCE 780420RG:
/000739110438
BEN: /43505559046
OCHIN PATRICK
REF: BAT C APPT. 43 LES TERRASSES D
E BARBIGOUA 83420 LA CROIX VALMER/A
CC/IBAN: FR76 1910 6000 0743 505559
$2,500.00
$1,153,736.06
$2,445.13
$1,156,236 06
Debit
$7,150.00
Credits
(cont.)
Balance
$1,161,281 19
$2,600.00
$1,158,681 19
$3,000.00
$1,150,736.06
EFTA01526029
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 8 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 26
Description
Fedwire Debit
/062001319
Mar 26
IMAD: 0326B1QGC08C004313
Book Transfer
A/C: NES LLC
Mar 26
NEW YORK NY 10022-680
ORG: /000739110438
Fedwire Debit
/221571473
A/C: LSJ, LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
Mar 26
IMAD: 0326B1QGC08C004312
Fedwire Debit
/031101143
Mar 28
IMAD: 0326B1QGCO2C003796
Book Transfer Debit
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
457 MADISON AVE
NEW YORK NY
Mar 31
Mar 31
REF: /BNF/EUR1842.66
EFTA01526030
Interest Paid
Fedwire Debit
/121100782
IMAD: 0331B1QGC03C004009
$921.21
$1,738.15
$774,668.12
$772,929.97
$1,989.15
$773,746.91
$200,000.00
$775,736.06
$50,000.00
$1,050,736.06
Debit
$50,000.00
Credits
(cont.)
Balance
$1,100,736.06
$75,000.00
$975,736.06
EFTA01526031
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 9 of 10
JPMorgan Private Bank
Premier Checking
Account Number 739-110438
Jeffrey E Epstein
Activity
Date
Mar 31
Description
Fedwire Debit
/266086554
REF: REF: 50% DEPOSIT INVOICE # PHO
01 DNR SOLUTIONS
Mar 31
IMAD: 0331B1QGCO2C003915
Fedwire Debit
/021407912
Mar 31
A/C:
IMAD: 0331B1QGCO2C004106
Fedwire Debit
/107002192
Mar 31
IMAD: 0331B1QGC03C005570
Fedwire Debit
/062001319
A/C: JEGE, INC.
IMAD: 0331B1QGC06C005537
$4,843,061.93
Ending Balance
About Your Relationship
We value your relationship with JPMorgan Private Bank. You were not charged
for
services this statement period. Thank You.
$4,760,494.24
$679,918.60
$50,000.00
$679,918.60
$35,000.00
$729,918.60
$5,000.00
EFTA01526032
$764,918.60
Debit
$3,011.37
Credits
(cont.)
Balance
$769,918.60
EFTA01526033
March 01, 2003 -
March 31, 2003
Jeffrey E Epstein
Primary Account Number: 739-110438
Page 10 of 10
JPMorgan Private Bank
Important Information about Your Statement
Personal accounts are subject to the Deposit Accounts Agreement or the
General Terms For Accounts and Services. Business accounts are
subject to the Terms and Conditions for Commercial Accounts or the General
Terms For Accounts and Services. Your accounts, unless otherwise
indicated on the statement, are held by JPMorgan Chase Bank (the "Bank").
Deposit accounts held at the Bank, including checking, savings, CD, and
money market accounts, are FDIC insured.
In Case of Errors or Questions About Your Electronic Funds Transfers
(personal accounts only)
Telephone or write to the Bank if you think your statement or receipt is
wrong, or if you need more information about an electronic transaction on
a statement or receipt. The phone number for inquiries is printed on the
front of this statement. The address for inquiries appears below. We
must hear from you no later than 60 days after we sent you the FIRST
statement on which the error or problem appeared.
•
•
Tell us your name and account number.
Describe the error or the transfer you are unsure about,
and explain as clearly as you can why you believe it is an
error or why you need more information.
• Tell us the dollar amount of the suspected error.
We will investigate your complaint and will correct any error promptly. If
we take more than 10 business days to do this (20 business days for
transactions outside the U.S. and point-of-sale transactions), we will
recredit your account for the amount you think is in error so that you will
have use of the money during the time it takes us to complete our
investigation.
In Case of Errors or Questions About Non Electronic Transfers
Please examine your account at once. If you feel an error has taken place or
have questions concerning a non-electronic transaction, telephone or
write us within 30 days. The phone number is printed on the front of this
statement. The address appears above. If no report is received within
this period, your account will be considered correct.
Mutual Funds/Securities
Securities (including Mutual Funds) and annuities are not bank deposits and
are not FDIC insured nor are they obligations
of or guaranteed by JPMorgan Chase Bank, or its affiliates or any federal or
state government or government agency or
government sponsored agency. Securities (including mutual funds) and
annuities involve investment risks, including the
possible loss of the principal amount invested.
The distributor of the JPMorgan Funds is JPMorgan Fund Distributors, Inc.
which is not affiliated with the Bank. The Bank and its affiliates
EFTA01526034
receive compensation from the JPMorgan Funds for providing services to the
funds. Read the JPMorgan Funds prospectuses carefully for details,
including fees and expenses, before investing or sending money.
JPMorgan Select Shares of the Connecticut Daily Tax Free Income Fund, Inc.
and JPMorgan Select Shares of the New Jersey Daily Municipal
Income Fund, Inc. are not part of, or affiliated with, the JPMorgan Family
of Mutual Funds. Reich & Tang Distributors Inc. and Reich & Tang
Asset Management L.P., which are unaffiliated with JPMorgan, are the funds'
distributors and investment advisor. Reich & Tang Distributors
Inc. is a member NASD.
The Bank is not a registered broker-dealer. Securities transactions may be
through JPMorgan Fund Distributors, Inc. a subsidiary of the Bank, is
a member of NASD/SIPC.
IRA Accounts
Accounts of the Bank as trustee, or as discretionary investment manager for
an ERISA plan or an IRA that hold Fiduciary Shares (as described
below) do not bear any portion of investment, administrative, custodian or
other charges paid to the Bank or its affiliates for services to JPMorgan
Funds for which a rebate process has been established since these charges
are subject to rebate as defined below. For accounts of the Bank as
trustee, or discretionary investment manager for an ERISA plan or an IRA,
which hold shares in the JPMorgan Funds other than Fiduciary
Shares, the Bank receives fees for services from the JPMorgan Funds but
waives account fees with respect to the funds so held. "fiduciary
Shares" means shares of JPMorgan Select Funds and Institutional Shares of
the JPMorgan Bond Fund II, JPMorgan Short-Term Bond Fund II,
JPMorgan Intermediate Bond Fund II, and JPMorgan Large Cap Equity Fund held
in Bank trust accounts or in discretionary investment
management accounts at the Bank held by ERISA plans or IRAs. "Rebate" means
an amount returned by the Bank to the account which holds the
Fiduciary Shares. The rebate amount represents the portion of servicing fees
paid to the Bank by the mutual fund with respect to Fiduciary
Shares.
Please direct all inquiries to your Morgan Account Officer at
JPMorgan Private Bank Client Service
500 Stanton Christiana Road, 1/OPS3
Newark, DE 19713-2107
EFTA01526035