Primary Account
For the Period 12/1/12 b 1201/12
IMPORTANT INTORMATION
IMPORTANT IPDATRS TO TIIE DEPOSIT ACCOUNT AGREEMENT
We will be making the following changes to the Deposit Account Agreement for Chase
chedting and savings account* effective March 24, 21113
We have
- Added the following language tot& Important Minims section Debit card
tramaction Includes any putclaw from a merchant wing your AIN' card or &Nina
- Modified the agreement to clarify that we will only send use copy of any' nonce
relating to your account. ntn if the account has more than one owner
Res tse4 our Funds Mailability Policy Under Longer Iklays !sky Apply. we describe
circianstanecs where funds may not be available until the seventh liminess day after the
day of deposit We are deleting the sentence tat-mg that the firm S21 from your
deposit will be arailitge on the rwxi business day. so &we delay availability in
Moe ernes the sick may apply to the full amount of the deposit
All olio tams of your account ageement remain the Witte If you have questions about
the changes. please call us at the number on this statement or snit )ow newest Ecutch
Consolidated Summit,"
Account Prier Current Change
Assets Number Period Value twscd Value In What
Checking
Chase Better Banking Checking 1.741.53 1,088.91 (652.62)
Savings.
Chase Savings 1.007 83 7.83 (1.000.00)
Total Assets $2.7.19.36 81.09674 ($1.652.(0)
All Summary Ralmwm town here are as of December 31. 2012 miles, othenv ise stated For Mails of you, retirement account* credit accounts or securities accounts. you will receive
separate statements Balance summary information for annuities is provided by the issuing insurance companes and belicvedto he reliable without gnanntee M its compkwness cc
accuracy. Bank products and services we offered by JPMorgan Chase Bank. N A and as affiliates
J.P.Morgan Page 2ofS
Confidential Treatment Requested by JPMorgan JPM-SDNY-00053987
Chase
CONFIDENTIAL SDNY_GM_00323185
EFTA01525464