Text extracted via OCR from the original document. May contain errors from the scanning process.
RPTID: K8801000
DATE: 12/20/2013
ACCOUNT
IBD: 6XE
OFF: N40
ADDITIONAL INFO
BENEFICIARIES
ISSUER HAVE
PAGE:
1
NET AMOUNT
1140002246 ENS I W
1140006734 L1A 0
W 021000089
CITIBANK, N.A.
NEW YORK
NY
2140015867 TDS I
IF /M321081669
111 PINE STREET AT FRONT
SAN FRANCISCO CALIFORNIA 94111
97900013065
2140016931 WAN 0 C
2140017855 ENS 0
W 021001033
NEW YORK
NY
L1A I W /FW011000028
TRUST CO.
D.O. BOX 351
225 FRANKLIN STREET - 23RD FLOOR
33630678.2
N40024489 J05 0 C
N40024935 TDS 0
W 021001033
NEW YORK
NY
1140025361 L1A 0
W 021000018
NEW YORK
NY
N40033019 J05 0
W 021000018
WF RECO A/O 12/19/13
NY 10023-5200 6K
111 PINE STREET AT
CALIFORNIA 94111
VOID
/REC/PERSHING, LLC
CHECK NUMBER - 0116
0006010
04
6X
DEUTSCHE BANK 280
NY 10017
VOID
/PSC/PERSHING LLC
CHECK NUMBER - 0103
96703334000000000000
0006010
04
6X
ACCT
PROCEEDS
BNY COST RRN - 0/8 FIRST REPUBL
ACCT
PROCEEDS
BAY OUST RAN - 0/8 FIRST REPUBL
MARJORIE D LANE
BAY COST RRN - 0000000087401448
BNY CURT RRN - 0000000087401448
TRUST CO.
LKYKY
VIRGIN ISLANDS 6X
SORT CODE 90 23 38
BANK OF IRELAND SWIFT: BOFIGB2B
21 SHRESBURY SQUARE
IRELAND
923518.13
50000.00
1088.27
11756.23
10000.00
250000.00
20000.00
2000000.00
20000.00
9000.00
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6; ONFIDENTIAL
SDNY_GM_00065719
DB-SDNY-0028544
EFTA 00176219
EFTA01299652
RPTID: 10.9010D0
DATE: 12/20/2013
ACCOUNT
PAGE:
2
IBD: 6XE
OFF: N4G
ADDITIONAL INFO
BENEFICIARIES
ISSUER NAME
NET AMOUNT
1140047472 J05
N40323592 RAM
NEW YORK
NY
I W /F7,011000028
TRUST CO.
P.O. BOX 351
DEUTSCHE BANK 280
NY 10017
225 FRANKLIN STREET - 23RD FLOOR
VOID
33450408.1
/REC/PERSHING LLC
0B5880FI90233843288104
RUTHARNOW CUST
FFC: ACCT N4G-323592
BUY COST RRN - 0000000087403600
RUTHARNOW CUST
FFC: ACCT N4G-323592
BNY COST RRN - 0000000087403600
83.27
30000.00
1140324798 L1A 0
W 021001033
NEW YORK
NY
TRUST CO.
27000.00
1140330076 J05 0 C
CHECK MASHER - 0551
300.00
1140383182 J05 I C CHECK RECEIVED
ANAQQIT
0000200018824
6010A000002
83.27
1140383190 J05 I C CHECK RECEIVED
83.27
1140801878 J05 0 C
04015431279
1260.48
1140858415 L1A 0 C
04015432647
JOAN 0 CONNORS
25878.59
N40900001 ENJ 0 C
CHECK NUMBER - 0225
3000.00
L1A I W /CP0002
4 METROTECH CENTER, 8TH FLOOR
/EEC/JOHN CROCKER
//1641 THIRD AVENUE
//APARTMENT : 21H-E
45000.00
0006010
04
NA 4 METROTECH
CENTER, 8TH FLOOR
BROOKLYN, N.Y. 11245
000530166976
BROOKLYN, N.Y. 11245
VOID
/REC/JOHN CROCKER
//1641 THIRD AVENUE
//APARTMENT : 21H-E
//NEW YORK NY 10128
US /BlIF/FOR THE
METER
//NEW YORK NY 10128 US
/BNF/FOR THE BENEFIT OF JOHN CROCKS
//R (ACCOUNT NUMBER
ED IN THE 9/10/13 ENGAGEMENT LETTER
CMS OF 13/12/20
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(fcONFIDENTIAL
SIDNY_GM_00065720
DB-SDNY-0028545
EFTA_00 176220
EFTA01299653
RPTIO: 168.501000
PAGE:
3
DATE: 12/20/2013
IBD: EXE
OFF: N40
ACCOUNT
ADDITIONAL INFO
BENEFICIARIES
NET AMOUNT
ISSUER 11A
L1A I W /F8011000028
DEUTSCHE BANK 280
TRUST CO.
PARK AVENUE NEW YORK BUY COST ARA - 0000000087414374
D.O. BOX 351
NY 10017
225 FRANKLIN STREET - 23RD FLOOR
VOID
BUY COST RAN - 0000000087414374
33451132.1
/REG/PERSHING, LLC
GERARD ROTONDA
275000.00
TRUST CO.
N40808880 414 0 C
CHECK NUMBER - 0854
444.00
N40908889 414 0 C
0006010
04
CHECK NUMBER - 0845
411.39
N4G908889 414 0
W
0006010
04
5610.22
N4G908889 414 0
W
AYHENT CHECK 0852
02
000004
1273.21
0210000287966
02
0000.
N4G960005 L1A 0 C
14015432617
JOAN G CONNORS
11757.35
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(fcONFIDENTIAL
SDNY_GM_00065721
DB-SDNY-0028546
EFTA_00 176221
EFTA01299654