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efta-efta01565151DOJ Data Set 10Correspondence

EFTA Document EFTA01565151

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SCHAFER CULLEN CAPITAL MANAGEMENT ATTN CAROLYN ROY 645 FIFTH AVENUE FL 7 NEW YORK NY 10022 EFTA01565151 EFTA01565152 JPMorgan Chase Bank, N.A. GHISLAINE MAXWELL - OAP IHD 270 Park Avenue, New York, NY 10017-2014 ACCT. For the Period 2/1/13 to 2/28/13 Investment Management Account J.P. Morgan Team Kirsten Sichler Jason Bell Janet Young Gina Magliocco Online access Banker Investment Specialist Client Service Team Client Service Team www.jpmorganonline.com Please see disclosures located at the end of this statement package for important information relating to each J.P.Morgan account(s). Table of Contents Account Summary Page 2 Holdings Equity Portfolio Activity 4 10 0000004206.15.0.15.00003.SCHAOAP.20130304 Page 1 of 16 EFTA01565153 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Account Summary Asset Allocation Equity Market Value Accruals Market Value with Accruals Beginning Market Value 994,948.63 $994,948.63 1.08 $994,949.71 Ending Market Value 978,369.85 $978,369.85 2,620.94 $980,990.79 Current Portfolio Activity Beginning Market Value Contributions Net Contributions/Withdrawals Income & Distributions Change In Investment Value Ending Market Value Accruals Market Value with Accruals $0.00 1.08 (16,579.86) $978,369.85 2,620.94 $980,990.79 Period Value 994,948.63 Change In Value (16,578.78) ($16,578.78) 2,619.86 ($13,958.92) Year-to-Date Value 0.00 1,000,000.00 $1,000,000.00 1.08 (21,631.23) EFTA01565154 $978,369.85 2,620.94 $980,990.79 Estimated 34,363.15 $34,363.15 Current Annual Income Allocation 100% 100% Page 2 of 16 EFTA01565155 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Account Summary Tax Summary Interest Income Taxable Income CONTINUED Current Period Value 1.08 $1.08 Year-to-Date Value 1.08 $1.08 ST Realized Gain/Loss Realized Gain/Loss Current Period Value (374.67) ($374.67) Year-to-Date Value (374.67) ($374.67) Unrealized Gain/Loss To-Date Value ($21,256.56) Cost Summary Equity Total 999,626.41 Cost $999,626.41 Page 3 of 16 EFTA01565156 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Equity Summary Asset Categories EAFE Equity Beginning Market Value 994,948.63 Ending Market Value 978,369.85 Change In Value (16,578.78) Current Allocation 100% Current Market Value/Cost Market Value Tax Cost Unrealized Gain/Loss Estimated Annual Income Accrued Dividends Yield Period Value 978,369.85 999,626.41 (21,256.56) 34,363.15 2,620.94 3.51% Page 4 of 16 EFTA01565157 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Note: This is the Annual Percentage Yield (APY) which is the rate earned if balances remain on deposit for a full year with compounding, there is no change in the interest rate and all interest is left in the account Equity Detail Price EAFE Equity ABB LTD SPONS ADR 000375-20-4 ABB ASTRAZENECA PLC SPONS ADR 046353-10-8 AZN BAE SYSTEMS PLC SPONS ADR 05523R-10-7 BAES Y BAYER A G SPONS ADR 072730-30-2 BAYR Y BHP LTD SPONS ADR 088606-10-8 BHP BOC HONG KONG HOLDINGS LTD SPONS ADR 096813-20-9 BHKL Y BRITISH AMERICAN TOBACCO PLC SPONS ADR 110448-10-7 BTI 104.28 340.000 35,455.20 35,393.08 62.12 1,416.78 4.00% 67.44 400.000 26,976.80 27,815.96 (839.16) 1,121.60 4.16% 74.86 320.000 23,955.20 25,126.50 (1,171.30) EFTA01565158 729.60 3.05% 21.56 99.18 1,130.000 200.000 24,363.93 19,835.00 25,040.80 19,912.00 (676.87) (77.00) 1,326.62 312.00 5.45% 1.57% 45.44 210.000 9,542.40 10,527.30 (984.90) 588.00 598.50 6.16% Quantity Value Adjusted Tax Cost Original Cost Unrealized Gain/Loss Est. Annual Inc. Accrued Div. Yield 22.72 1,280.000 29,081.60 27,613.70 1,467.90 919.04 3.16% Page 5 of 16 EFTA01565159 GHISLAINE MAXWELL - OAP IHD ACCT. • For the Period 2/1/13 to 2/28/13 Price EAFE Equity COMPANHIA ENERGETICA DE MINAS GERAIS SPONS ADR REP NON VOTING PFD 204409-60-1 CIG AAA /P-2 DEUTSCHE POST AG SPONS ADR 25157Y-20-2 DPSG Y DIAGEO P L C SPONS ADR NEW 25243Q-20-5 DEO GDF SUEZ SPONS ADR 36160B-10-5 GDFZ Y GLAXOSMITHKLINE PLC SPONS ADR 37733W-10-5 GSK HSBC HOLDINGS PLC SPONS ADR 404280-40-6 HBC ISRAEL CHEMICALS LTD ADR 465036-20-0 ISCH Y LUKOIL OAO SPONS ADR MTN GROUP LTD 677862-10-4 LUKO Y 19.57 SPONS ADR 62474M-10-8 MTNO Y 1,660.000 32,484.54 32,502.80 (18.26) 2,040.14 6.28% 64.15 445.000 28,544.53 29,825.59 (1,281.06) 1,359.03 4.76% 12.93 2,215.000 28,628.88 29,762.36 (1,133.48) 1,362.22 EFTA01565160 4.76% 55.44 570.000 31,600.80 32,437.90 (837.10) 1,168.50 3.70% 44.03 650.000 28,619.50 29,659.41 (1,039.91) 1,524.25 403.34 5.33% 18.93 720.000 13,629.60 14,960.95 (1,331.35) 22.47 119.71 1,260.000 40.000 28,308.42 4,788.40 30,114.00 4,728.39 (1,805.58) 60.01 114.00 40.58 1,517.76 2.38% 11.14% 11.90 890.000 10,591.00 9,975.21 615.79 525.99 4.97% Quantity Value Adjusted Tax Cost Original Cost Unrealized Gain/Loss Est. Annual Inc. Accrued Div. EFTA01565161 Yield Page 6 of 16 EFTA01565162 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Price EAFE Equity MUENCHENER RUECKVERSICHERUNGS - GESELLSCHAFT ADR 626188-10-6 MURG Y NESTLE S A SPONS ADR REPSTG REG SH 641069-40-6 NSRG Y NOVARTIS A G ADR 66987V-10-9 NVS PETROCHINA CO LTD ADR 71646E-10-0 PTR RECKITT BENCKISER GROUP PLC SPONSORED ADR 756255-20-4 RBGL Y ROCHE HOLDINGS LTD SPONS ADR 771195-10-4 RHHB Y ROYAL DUTCH SHELL PLC ADR 780259-10-7 RDS B SANOFI 80105N-10-5 SNY SIEMENS A G SPONS ADR 826197-50-1 SI 67.34 47.21 103.78 300.000 720.000 250.000 20,202.00 33,991.20 25,945.00 22,375.65 35,103.55 27,527.50 (2,173.65) (1,112.35) (1,582.50) 1,032.00 938.88 735.50 5.11% 2.76% EFTA01565163 2.83% 13.45 57.52 2,590.000 550.000 34,825.14 31,634.35 35,120.40 30,299.50 (295.26) 1,334.85 1,017.87 535.99 932.25 2.92% 2.95% 136.98 170.000 23,286.60 24,512.78 (1,226.18) 760.41 3.27% 67.80 590.000 40,002.00 40,047.61 (45.61) 969.96 824.70 2.42% 70.19 570.000 40,007.73 39,991.20 16.53 1,010.04 2.52% 18.00 1,650.000 29,703.30 30,162.00 (458.70) 904.20 3.04% Quantity Value Adjusted Tax Cost Original Cost Unrealized Gain/Loss EFTA01565164 Est. Annual Inc. Accrued Div. Yield Page 7 of 16 EFTA01565165 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Price EAFE Equity SINGAPORE TELECOMMUNICATIONS LTD ADR 82929R-30-4 SGAP Y SMITHS GROUP PLC SPONSORED ADR 83238P-20-3 SMGZ Y STATOIL ASA SPONS ADR 85771P-10-2 STO TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD SPONS ADR 874039-10-0 TSM TELEKOMUNIKASI IND SPONS ADR 715684-10-6 TLK TESCO PLC SPONS ADR 881575-30-2 TSCD Y TOTAL SA SPONS ADR 89151E-10-9 TOT UNILEVER N V 904784-70-9 UN UNITED OVERSEAS BANK LTD SPONS ADR 911271-30-2 UOVE Y US DOLLAR 38.92 30.83 1.00 930.000 900.000 24,821.200 36,195.60 27,747.00 24,821.20 37,665.00 27,486.00 24,821.20 (1,469.40) 261.00 990.45 217.55 857.70 2.48 0.28 EFTA01565166 2.74% 3.09% 0.01% Page 8 of 16 16.83 50.02 1,140.000 460.000 19,187.34 23,009.20 19,725.97 25,092.04 (538.63) (2,082.84) 751.26 1,180.36 3.92% 5.13% 44.46 760.000 33,789.60 29,976.22 3,813.38 833.72 2.47% 18.25 800.000 14,600.00 14,240.00 360.00 318.40 2.18% 24.93 950.000 23,683.50 25,206.64 (1,523.14) 858.80 3.63% 27.79 19.14 1,060.000 1,270.000 29,459.52 24,309.07 29,955.60 25,082.50 (496.08) (773.43) 1,308.04 746.76 EFTA01565167 4.44% 3.07% Quantity Value Adjusted Tax Cost Original Cost Unrealized Gain/Loss Est. Annual Inc. Accrued Div. Yield EFTA01565168 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Price EAFE Equity VODAFONE GROUP PLC SPONS ADR 92857W-20-9 VOD ZURICH INSURANCE GROUP-ADR Total EAFE Equity 989825-10-4 ZURV Y $978,369.85 $999,626.41 ($21,256.56) $34,363.15 $2,620.94 3.51% 27.49 1,050.000 28,860.30 29,893.50 (1,033.20) 25.14 1,460.000 36,704.40 39,945.60 (3,241.20) 2,188.54 5.96% Quantity Value Adjusted Tax Cost Original Cost Unrealized Gain/Loss Est. Annual Inc. Accrued Div. Yield Page 9 of 16 EFTA01565169 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Portfolio Activity Summary Beginning Cash Balance Transactions INFLOWS Income Contributions Total Inflows TRADE ACTIVITY Settled Sales/Maturities/Redemptions Settled Securities Purchased Total Trade Activity Ending Cash Balance 17,245.92 (992,425.80) ($975,179.88) $24,821.20 * Year to date information is calculated on a calendar year basis. Your account's standing instructions use a HIGH COST method for relieving assets from your position 17,245.92 (992,425.80) ($975,179.88) -Current Period Value 1,000,000.00 1.08 $1.08 Year-To-Date Value* -1.08 1,000,000.00 $1,000,001.08 Page 10 of 16 EFTA01565170 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Portfolio Activity Detail INFLOWS & OUTFLOWS Type Settle Date Selection Method Income 2/1 Interest Income Description DEPOSIT SWEEP INTEREST FOR 01/01/13 - 01/31/13 @ .01% RATE ON AVG COLLECTED BALANCE OF $129,032.25 AS OF 02/01/13 Quantity Cost Per Unit Amount Amount 1.08 TRADE ACTIVITY Note: S Trade Date Settle Date 2/13 2/19 2/13 2/19 2/13 2/19 indicates Short Term Realized Gain/Loss Settled transaction was initiated in prior statement period and settled in current statement period Type Selection Method Description Settled Sales/Maturities/Redemptions Sale High Cost Sale High Cost Sale High Cost ASTRAZENECA PLC SPONS ADR @ 45.9832 6,437.65 BROKERAGE 5.60 TAX &/OR SEC .15 ESI SECURITIES COMPANY (ID: 046353-10-8) DIAGEO P L C SPONS ADR NEW @ 118.5563 4,742.25 BROKERAGE 1.60 TAX &/OR SEC .11 ESI SECURITIES COMPANY (ID: 25243Q-20-5) TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD SPONS (330.000) ADR @ 18.4349 6,083.52 BROKERAGE 9.90 TAX &/OR EFTA01565171 SEC .14 ESI SECURITIES COMPANY (ID: 874039-10-0) Total Settled Sales/Maturities/Redemptions $17,245.92 ($17,620.59) ($374.67) S 18.404 6,073.48 (5,874.00) 199.48 S (40.000) 118.514 4,740.54 (4,728.39) 12.15 S Quantity (140.000) Per Unit Amount 45.942 Proceeds 6,431.90 Tax Cost (7,018.20) Realized Gain/Loss (586.30) S Page 11 of 16 EFTA01565172 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Trade Date Settle Date Type Settled Securities Purchased 1/29 Purchase 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Description ABB LTD SPONS ADR @ 21 5332 27,562.50 BROKERAGE 51.20 ESI SECURITIES COMPANY (ID: 000375-20-4) ASTRAZENECA PLC SPONS ADR @ 50.09 17,531.50 BROKERAGE 14.00 ESI SECURITIES COMPANY (ID: 046353-10-8) BAE SYSTEMS PLC SPONS ADR @ 22.12 24,995.60 BROKERAGE 45.20 ESI SECURITIES COMPANY (ID: 05523R-10-7) BAYER A G SPONS ADR @ 99.52 19,904.00 BROKERAGE 8.00 ESI SECURITIES COMPANY (ID: 072730-30-2) BHP LTD SPONS ADR @ 78.4803 25,113.70 BROKERAGE 12.80 ESI SECURITIES COMPANY (ID: 088606-10-8) BOC HONG KONG HOLDINGS LTD SPONS ADR @ 69.4999 27,799.96 BROKERAGE 16.00 ESI SECURITIES EFTA01565173 COMPANY (ID: 096813-20-9) BRITISH AMERICAN TOBACCO PLC SPONS ADR @ 104.0573 35,379.48 BROKERAGE 13.60 ESI SECURITIES COMPANY (ID: 110448-10-7) COMPANHIA ENERGETICA DE MINAS GERAIS SPONS ADR REP NON VOTING PFD @ 11.1781 9,948.51 BROKERAGE 26.70 ESI SECURITIES COMPANY (ID: 204409-60-1) DEUTSCHE POST AG SPONS ADR @ 23.86 30,063.60 BROKERAGE 50.40 ESI SECURITIES COMPANY (ID: 25157Y-20-2) DIAGEO P L C SPONS ADR NEW @ 118.1697 9,453.58 BROKERAGE 3.20 ESI SECURITIES COMPANY (ID: 25243Q-20-5) 80.000 118.21 (9,456.78) * 1,260.000 23.90 (30,114.00) * 890.000 11.208 (9,975.21) * 340.000 104.097 (35,393 08) * 200.000 320.000 400.000 99.56 78.52 69.54 (19,912.00) (25,126.50) (27,815.96) * * * 1,130.000 22.16 (25,040.80) * Quantity 1,280.000 350.000 Per Unit Amount 21.573 50.13 Market Cost (27,613.70) (17,545.50) * EFTA01565174 * Page 12 of 16 EFTA01565175 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Trade Date Settle Date Type Settled Securities Purchased 1/29 Purchase 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Description GDF SUEZ SPONS ADR @ 20.6977 14,902.34 BROKERAGE 28.80 TAX &/OR SEC 29.81 ESI SECURITIES COMPANY (ID: 361608-10-5) GLAXOSMITHKLINE PLC SPONS ADR @ 45.575 15,039.75 BROKERAGE 13.20 ESI SECURITIES COMPANY (ID: 37733W-10-5) HSBC HOLDINGS PLC SPONS ADR @ 56.8686 32,415.10 BROKERAGE 22.80 ESI SECURITIES COMPANY (ID: 404280-40-6) ISRAEL CHEMICALS LTD ADR @ 13.40 24,790.00 BROKERAGE 55.50 ESI SECURITIES COMPANY (ID: 465036-20-0) MTN GROUP LTD SPONS ADR @ 19.55 32,453.00 BROKERAGE 49.80 ESI SECURITIES COMPANY EFTA01565176 (ID: 62474M-10-8) MUENCHENER RUECKVERSICHERUNGS - GESELLSCHAFT ADR @ 18.25 30,112.50 BROKERAGE 49.50 ESI SECURITIES COMPANY (ID: 626188-10-6) NESTLE S A SPONS ADR REPSTG REG SH @ 70.12 39,968.40 BROKERAGE 22.80 ESI SECURITIES COMPANY (ID: 641069-40-6) NOVARTIS A G ADR @ 67.8373 40,024.01 BROKERAGE 23.60 ESI SECURITIES COMPANY (ID: 66987V-10-9) LUKOIL OAO SPONS ADR @ 66.99 27,465.90 BROKERAGE 16.40 ESI SECURITIES COMPANY (ID: 677862-10-4) TELEKOMUNIKASI IND SPONS ADR @ 39.4024 29,945.82 BROKERAGE 30.40 ESI SECURITIES COMPANY (ID: 715684-10-6) Page 13 of 16 760.000 39.442 (29,976.22) * 590.000 410.000 67.877 67.03 (40,047.61) (27,482.30) * * 570.000 70.16 (39,991.20) * 1,650.000 18.28 (30,162.00) * 1,660.000 19.58 (32,502.80) * 1,850.000 13.43 (24,845.50) * 570.000 56.909 (32,437.90) * 330.000 45.615 (15,052.95) * Quantity 720.000 Per Unit Amount 20.779 Market Cost EFTA01565177 (14,960.95) * EFTA01565178 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Trade Date Settle Date Type Settled Securities Purchased 1/29 Purchase 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Description PETROCHINA CO LTD ADR @ 144.1528 24,505.98 BROKERAGE 6.80 ESI SECURITIES COMPANY (ID: 71646E-10-0) RECKITT BENCKISER GROUP PLC SPONSORED ADR @ 13.53 35,042.70 BROKERAGE 77.70 ESI SECURITIES COMPANY (ID: 756255-20-4) ROCHE HOLDINGS LTD SPONS ADR @ 55.05 30,277.50 BROKERAGE 22.00 ESI SECURITIES COMPANY (ID: 771195-10-4) ROYAL DUTCH SHELL PLC ADR @ 74.5455 22,363.65 BROKERAGE 12.00 ESI SECURITIES COMPANY (ID: 780259-10-7) SANOFI @ 48.6177 35,004.74 BROKERAGE 28.80 TAX &/OR SEC 70.01 ESI SECURITIES COMPANY (ID: 80105N-10-5) SIEMENS A G SPONS ADR @ 110.07 27,517.50 BROKERAGE 10.00 ESI SECURITIES COMPANY EFTA01565179 (ID: 826197-50-1) SINGAPORE TELECOMMUNICATIONS LTD ADR @ 28.22 29,913.20 BROKERAGE 42.40 ESI SECURITIES COMPANY (ID: 82929R-30-4) SMITHS GROUP PLC SPONSORED ADR @ 19.72 25,044.40 BROKERAGE 38.10 ESI SECURITIES COMPANY (ID: 83238P-20-3) STATOIL ASA SPONS ADR @ 26.4933 25,168.64 BROKERAGE 38.00 ESI SECURITIES COMPANY (ID: 85771P-10-2) 950.000 26.533 (25,206.64) * 1,270.000 19.75 (25,082.50) * 1,060.000 28.26 (29,955.60) * 250.000 110.11 (27,527.50) * 720.000 48.755 (35,103.55) * 300.000 74.586 (22,375.65) * 550.000 55.09 (30,299.50) * 2,590.000 13.56 (35,120.40) * Quantity 170.000 Per Unit Amount 144.193 Market Cost (24,512.78) * Page 14 of 16 EFTA01565180 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Trade Date Settle Date Type Settled Securities Purchased 1/29 Purchase 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 1/29 2/1 2/13 2/19 2/13 2/19 2/13 2/19 Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Purchase Description TAIWAN SEMICONDUCTOR MANUFACTURING CO LTD SPONS ADR @ 17.77 20,080.10 BROKERAGE 33.90 ESI SECURITIES COMPANY (ID: 874039-10-0) TESCO PLC SPONS ADR @ 17.18 14,946.60 BROKERAGE 26.10 ESI SECURITIES COMPANY (ID: 881575-30-2) TOTAL SA SPONS ADR @ 54.3991 25,023.59 BROKERAGE 18.40 TAX &/OR SEC 50.05 ESI SECURITIES COMPANY (ID: 89151E-10-9) UNILEVER N V @ 40.46 37,627.80 BROKERAGE 37.20 ESI SECURITIES COMPANY (ID: 904784-70-9) UNITED OVERSEAS BANK LTD SPONS ADR @ 30.50 27,450.00 BROKERAGE 36.00 ESI SECURITIES COMPANY (ID: 911271-30-2) VODAFONE GROUP PLC SPONS ADR @ 27.32 39,887.20 EFTA01565181 BROKERAGE 58.40 ESI SECURITIES COMPANY (ID: 92857W-20-9) ZURICH INSURANCE GROUP-ADR @ 28.43 29,851.50 BROKERAGE 42.00 ESI SECURITIES COMPANY (ID: 989825-10-4) GLAXOSMITHKLINE PLC SPONS ADR @ 45.6052 14,593.66 BROKERAGE 12.80 ESI SECURITIES COMPANY (ID: 37733W-10-5) ISRAEL CHEMICALS LTD ADR @ 13.4366 2,485.77 BROKERAGE 5.55 ESI SECURITIES COMPANY (ID: 465036-20-0) LUKOIL OAO SPONS ADR @ 66.911 2,341.89 BROKERAGE 1.40 ESI SECURITIES COMPANY (ID: 677862-10-4) Page 15 of 16 35.000 66.951 (2,343.29) 185.000 13.467 (2,491.32) 320.000 45.645 (14,606.46) 1,050.000 28.47 (29,893.50) * 1,460.000 27.36 (39,945.60) * 930.000 900.000 40.50 30.54 (37,665.00) (27,486.00) * * 870.000 460.000 17.21 54.548 (14,972.70) (25,092.04) * * Quantity 1,130.000 Per Unit Amount 17.80 EFTA01565182 Market Cost (20,114.00) * EFTA01565183 GHISLAINE MAXWELL - OAP IHD ACCT. For the Period 2/1/13 to 2/28/13 Trade Date Settle Date Type Settled Securities Purchased 2/13 Purchase 2/19 2/14 2/20 Purchase Total Settled Securities Purchased Description TESCO PLC SPONS ADR @ 17.5747 4,745.17 BROKERAGE 8.10 ESI SECURITIES COMPANY (ID: 881575-30-2) ISRAEL CHEMICALS LTD ADR @ 13.4452 2,420.14 BROKERAGE 5.40 ESI SECURITIES COMPANY (ID: 465036-20-0) ($992,425.80) 180.000 13.475 (2,425.54) Quantity 270.000 Per Unit Amount 17.605 Market Cost (4,753.27) Page 16 of 16 EFTA01565184 For the Period 2/1/13 to 2/28/13 For your convenience we have combined statement(s) for activity you conduct through J.P. Morgan in one package. Below are important disclosures relating to these different accounts. These statements may relate to various account types. Some of the disclosures are applicable to all of your accounts. For ease of reference the disclosures applicable to a particular type of account have been grouped together by descriptive headers. IMPORTANT GENERAL INFORMATION APPLICABLE TO ALL OF YOUR ACCOUNT(S) Important Information about Pricing ,Valuations, Estimated Annual Income, and Estimated Yield Market value information (including without limitation, prices, exchange rates, accrued income and bond ratings) furnished herein, some of which has been provided by pricing sources that J.P. Morgan believes to be reliable, is not guaranteed for accuracy but provided for informational purposes and is furnished for the exclusive use of the client. The current price is the value of the financial asset share, unit or contract as priced at the close of the market on the last day of the statement period or the last available price. All values provided for structured yield deposits (for example, JPMorgan London Time Deposits) reflect the original deposit amount only. The value for Real Estate, Mineral Interests and Miscellaneous Assets may not reflect the most current value of the asset. Important information regarding Auction Rate Securities (ARS). ARS are debt or preferred securities with an interest or dividend rate reset periodically in an auction. Although there may be daily, weekly and monthly resets, there is no guarantee that there will be liquidity. If there are not enough bids at an auction to redeem the securities available for sale, the result may be a failed auction. In the event of a failed auction, there is no assurance that a secondary market will develop or that the security will trade at par or any other price reflected on statements and online. Accordingly, investors should not rely on pricing information appearing in their statements or online with respect to ARS. When J.P. Morgan is unable to obtain a price from an internal or outside source for a particular ARS, the price column on your statement will indicate "unpriced". Valuations of over-the-counter derivative transactions, including certain derivatives-related deposit products, have been prepared on a mid-market basis. These valuations are sourced from the various issuers of the securities or they are sourced from a third party valuation provider. J.P. Morgan expressly disclaims any responsibility for (1) the accuracy of the models or estimates used in deriving the valuations, (2) any errors or omissions in computing or disseminating the valuations, and (3) any uses to which the valuations are put. Valuations are provided for information purposes only and are intended solely for your own use. Please refer to the trade confirmation for details of each transaction. Certain assets, including but not limited to, pooled and private investments, non-publicly traded and infrequently traded securities, derivatives, partnership interests and tangible assets are generally illiquid, the value of such asset may have been provided to us by third EFTA01565185 parties who may or may not be independent of the issuer or manager. Such information is reflected as of the last date provided to us, and is not independently verified. In cases where we are unable to obtain a current market value from an internal or outside source for a particular security, the price column on your statement will indicate "unpriced". Although such securities may have value, please note that the value of a security indicated as "unpriced" will not be included in your overall current market value as reflected on the statement. J.P. Morgan makes no representation, warranty or guarantee, express or implied, that any quoted value represents the actual terms at which securities could be bought or sold or new transactions could be entered into, or the actual terms on which existing transactions or securities could be liquidated. Such values may only be indicative. When we are unable to obtain a current value from an internal or outside source for a particular security, the price column on your statement will indicate "unpriced". If a partial call is made with respect to an issue of securities included in your Accounts we will allocate the call by a method we deem fair and equitable. To the extent applicable, please note the following regarding estimated annual income (EAI) and estimated yield (EY): EAI and EY for certain types of securities could include a return of principal or capital gains in which case the EAI and EY would be overstated. EAI and EY are estimates and the actual income and yield might be lower or higher than the estimated amounts. EY reflects only the income generated by an investment. It does not reflect changes in its price, which may fluctuate. Offshore Deposits - London and Nassau Disclosures Page 1 of 2 EFTA01565186 For the Period 2/1/13 to 2/28/13 Deposits in Foreign Branches are not insured by the FDIC or any other Agency of the Federal Government; amounts in such foreign accounts do not have the benefit of any domestic preference applicable to U.S Banks; certain Foreign accounts are considered reportable to the Internal Revenue Service on a Report of Foreign Bank and Financial Accounts (TD F 90-22.1). Bank products and services are offered through JPMorgan Chase Bank, N.A. ("JPMCB") and its banking affiliates. Securities are offered by J.P.Morgan Securities LLC ("JPMS") and, to the extent noted below, cleared through J.P. Morgan Clearing Corp. ("JPMCC"). Neither JPMS, nor JPMCC is a bank and are each separate legal entities from its bank or thrift affiliates. Investment Products: Not FDIC Insured -No Bank Guarantee -May Lose Value Fund manager disclosure information available upon request If you have an investment account that is managed by an SEC-Registered Investment Advisor, J.P. Morgan will provide a copy of the advisor's Form ADV II or brochure upon written request. These statements are not official documents for income tax reporting purposes and should not be relied upon for such purposes, including determination of income, cost basis, amortization or accretion, or gain/loss. Such information, which may be inaccurate, incomplete or subject to updating, should be confirmed with your records and your tax advisor. Please take the steps indicated below if you think statement(s) are incorrect or contact your J.P.Morgan team if you require additional information about a transaction on your statement(s). IMPORTANT ADDITIONAL INFORMATION APPLICABLE ONLY TO YOUR INVESTMENT MANAGEMENT ACCOUNT(S) WHICH REFLECT ASSETS HELD AT JPMORGAN CHASE BANK, N.A. In case of other errors or questions about other account statement(s) Please review your account statement(s) and promptly report any inaccuracy or discrepancy including possible unauthorized trading activity, unrecorded dividend payments, unaccounted cash positions, improper payments or transfers in writing to JPMCB at the addresses shown on your statement(s). Any oral communication should be re-confirmed in writing to further protect your rights. If you have any questions please contact your J.P. Morgan team. In your written communication, please provide the following information: (1) your name and account number; (2) the dollar amount of the suspected error; and (3) a description of the error and explanation, if you can, why you believe there is an error. If you need more information, you must describe the item you are unsure about. We must receive your written communication no later than 30 days after the statement on which the error or problem appeared is sent or made available. If you do not so notify us, you agree that the statement activity and account balance(s) are correct. You must promptly advise your J.P.Morgan representative of material changes in your investment objectives or financial situation or if you wish to EFTA01565187 modify the management of your account. Unless you inform otherwise, your J.P.Morgan representative will consider the information currently in its files to be complete and accurate. Disclosures Page 2 of 2 EFTA01565188

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