Morgan Guaranty Trust Company of New York
U 1999 345 Park Avenue, New York, NY 10154-1002
JPMorgan
Account Number Asset Account Portfolio Page 6 orgy
FINANCIAL TRUST COMPANY, INC. October 01, 1999 - October 31. 1999
Activity by Date continued
Sornoment
an Type OusneW DescrOgOn
Arcing USD
Oct 4 Purchase 5,000,000 J P MORGAN INSTITUTIONAL PRIME MONEY
- 5,000,000.00
MARKET FUND
J.P.MORGAN SECURITIES INC AS AGENT
1.00
TRADE DATE 10/04/99
Oct 4 Misc. Receipt FUNDS TR ERRED TO BRKRG 5,000,000.00
A PR FSOM
BRKRG ACt (PRN)
Oct 19 Sale - 19300,000 J P MORGAN INSTITUTIONAL PRIME MONEY 18,300,000.00
MARKET FUND
J.P.MORGAN SECURITIES INC AS AGENT
@ 1.00
TRADE DATE 10/19199
Oct 19 Misc. Disbursement TRANSFERRED BY WIRE TO - 18,300,000.00
BEAR STEARNS
FAO GHISLAINE MAXWELL
Confidential Treatment Requested by JPMorgan
Chase JPM-SDNY-00038868
EFTA01654320
..A
JPMorgan Chase Bank
ll 7 I2002 345 Park Avenue, New York, NY 10154-1002
°JPIVIorgan Private Bank
Account Number: Asset Account Portfolio Page 8 of
JEFFREY EPSTEIN September 01.2002 - September 30 2002
Activity by Date continued
Siang
an Ins* QuiliMy Della *Ion
Amount use
Sep 16 Misc. Disbursement TRANSFERRED BY WARE TO - 1,000,000.00
PALM BEACH NATL BK& TR CO
FAO JEFFREY EPSTEIN
LETTER FROM CLIENT
Sep 18 Sale - 6000,000 J P MORGAN TAX FREE MONEY MARKET
5,000,000.00
FUND INSTITUTIONAL SHARE CLASS
(FUND 840)
J.P.MORGAN SECURITIES INC AS AGENT
1.00
TRADE DATE 09/18/02
Sep 18 Misc. Disbursement TRANSFERRED BY WIRE TO - 5,000,000.00
PALM BEACH NATL BK8 TR CO
FAO GHISLAINE MAXWELL
LETTER FROM CLIENT
Confidential Treatment Requested by JPMorgan
Chase JPM-SDNY-00005512
EFTA01654321
lebluery 01,2003 - Jeffrey E Epstein
rebniary 28,2003
Primary Account Ntunber: 'JPMorgan Private Bank
Page 6 of I
Checking
Account Number iccrt )
Jeffrey E Epstein
Activity
Date Description Debit Credit,. Balance
Fab 27 Book Transfer $2,600.00 $1,191,486.29
NC: CREDIT AGRICOLE SA
GUYANCOURT CEDEX FRANCE 78042-
JEFFREY E EPSTEIN
BEN. /07832600008
E 23 83420 LA CROIX VALMEFt/ACCABAN
Feb 27 Book Transfer $3,000.00 $1,188,486.29
NC: CREDIT AGRICOLE SA
GUYANCOURT CEDEX FRANCE 78042-
ORG /000739110438
JEFFREY E EPSTEIN
BEN: /43505559046
OCHIN PATRICK
REF: BAT C APPT
E BARBIGOUA 83420 LACROIX VAL/AER/A
CC
a
Feb 27 Fedwire Debit $10,000.00 $1,178,48629
VIA FIRSTBANK PR
NC: ISA LLC
REF: 6300 RED HOOK QUARTERS, 8-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE P09146 SAN JUAN 009
Oa
IMAD: 0227B1Q0C05C004631
Feb 27 Fedwire Debit $60,000.00 $1,128,486.29
VIA FIRSTBANK PR
NC: LSJ, LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS, USVI 00802/ACCf1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
IMAD: 02271310GCO2C004535
Feb 27 Fedwire Debit S325,000.00 $803,486.29
VIA COLONIAL SHAM
NC: GHISLAINE MAXWELL
IMAD: 022761QGC07C003282
Confidential Treatment Requested by JPM-SDNY-00003498
EFTA01654322 JPMorgan Chase
May 01,2003 - Jeffrey E Epstein
May 30,2003
Primary Account Number: ° JPMorgan Private Bank
Page 3 of 9
Premier th ecki
Account Number
Jeffrey E E e
Activity
Date Description Debit Credits Balantt
May 08 Fedwire Debit S50.000.00 $999,296. 19
VIA: FIRSTBANK PR
NC: LSJ, LLC
REF. 6300 RED HOOK QUARTERS. B-3 ST
THOMAS, USVI 00802rACC/1518 PONCE
DELEON AVENUE PO 9146 SAN JUAN 009
08
IMAD: 0508131OGC02CO01970
May 08 Fadwtre Debt S50,000.00 $949,296.19
VIA: WELLS FARGO NM
D EVELOPMENT CORPORATION
WAD: 0506B100C07C002008
May DS Internal Funds Transfer $250,000.00 • $899,296.19
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA ACIt
TO 0DA AC
TTF_R FROM CLIENT
May 08 Internal Funds Transfer
$1,500,000.00 $219929819
JEFFREY E EPSTEIN
F FERRED FROM BRKRG Ada di
PRN) TO DOA AC4 ==
38 LETTER FROM CLIENT
May 08 Internet Funds Transfer S50,000.00 $2,149,296.19
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM Dan ACES
-
_TO DDA ACIII I_E
TIER FROM CUENT
May 09 Book Transfer $4,000.00 $2,145,296.19
NC: ITAUSA-SERVICERIBDPRFCO-SPCSDB
NEW YORK NY 10008-
ORG: M00739110438
JEFFREY E EPSTEIN
REF. FONTAO/ACC/SWIFT: ITAUBRSP,AGE
NCY a 1765-PAB ROCRFJBNFiBANKOiTAu,
9341.SAOPAOLO,BRZL CPS 0 542977 53
1-20
May 09 Fedwire Debit $100,000.00
VIA: COLONIAL SHAM 5045,298.19
NC: JEFFREY EPSTEIN
IMAD: 0509B1OGC02C0D2387
Confidential Treatment Requested by
JPM-SDNY-00003522
EFTA01654323 JPMorgan Chase
May 31.2003 - I Jeffrey E Epstein
June 30.2003
Pittway Account NuaubcrMM ® JPMorgan Private Bank
Page 6 of 9
Premier Chcckin
Account Numbe
(cont.)
Jeffrey E
Activity
Date Description Debit Credits Balance
Jun 20 Book Transfer Debit 57,284,76 3757,624.00
NC: FX USD INCOMING/FED/CHIPS/DOA
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
ORG: JEFFREY E EPSTEIN
OGB FX OPERATIONS
NEW YORK NY
REF: /TINF/EUR6158.91
Jun 20 Internal Funds Transfer S93037.97 3664,58ff 03
AS OF MAY 20, 2003
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA AA=
Rip TO DOA ACS AS
ED - TO CORRECT MISPOSTING
OF DEPOSIT
Jun 24 Book Transfer Debit 5587.95 $063.998.08
NC: FX USD INCOMINGIFED/CHIPS,DDA
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
ORG JEFFREY PSTEIN
OGB. FX OPERATIONS
NEW YORK NY
REF: /BNNEUR600.00
Jun 24 Internal Funds Transfer 550,000.00 waste.%
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DOA AC4
l=nro DOA AaLE
TTER FROM CLIENT
Jun 24 FedvAre Debi 550000.00 3563.998.08
VIA: %%ELLS FARGO NM
NC: ZORRO DEVELOPMENT CORPORATION
IMAD: 062451000030001957
Jun 25 CHIPS Debit $003.75 5563.194.33
VIA CITIBANK
NC: t ===
SSN: 0263875
Jun 26 Fedwire Delia 550.000.00 S51%194.33
VIA. COLONIAL SHAM
NC: JEFFREY EPSTEIN
WAD: 00326810GOOBC002235
Confidential Treatment Requested by
EFTA01654324 JPMorgan Chase
JPM-SDNY-00003534
Octoba 30.2004 - Jeffrey E Epstein
November 30,2004
Ffiniary Account Nrunber. ° JPMorgan Private Bank
Page 3 of to
Premier Cheekin
Account Number (cont.)
Jeffrey E Epstein
Activity
Date Description Debit Credits Balance
Nov 04 Fedwire Debt $50,000.00 S1,008,268.52
Viol' COLONIAL BANK NA
NC: JEFFREY EPSTEIN
MOD. 11048100001C003873
Nov 04 Fedwire Debit S50,000.00 $958,268.52
VIA VvELLS FARGO NM
NC. ZORRO DEVELOPMENT CORPORATION
IMAD: 1104B1OCCO7C003742
Nov 04 Internal Funds Transfer $225,000.00 $733,268.52
JEFFREY E EPSTEIN
M
FUNDS TRANSFERRED FROM. DOA ACA
to ODA AC# ? LE.
TIER FROM CLIENT
Nov OS Book Transfer Credit $72,504.88 6805.77140
WO CB FUNDS TRANS SAMEDAY CDT RET
TAMPA FL 33610-
ORG ABA-
FLEET NATIONAL BANK
REF: REVERSAL OF ENTRY D011/05/04 T
RI40247400310ESBECAUSE UNABLE TO APP
LV INVALID A CCOUNT NUMBERA3NHOUR
REF.JPM5964-05NOVO4 JPMCRGAN CHASER
EF036670231OFF REFOS1 OF 04/11/05
NOv 05 CHIPS Debit $750.00 $805,023.40
VIA CITIBANK
/0008
NCIr BS
SSW:
Nov 05 Fedwire Debt $72,504.88 5732,518.52
VIA: FLEET NATL BANK CT
NC: GREENIOACH CADILLAC-OLDSMOBILE
REF: /TIME/15:59
IMAD: 1105810GCO7C004248
Nov 08 Fedwire Debt S72,504.88 8860,013.84
VIA FLEET NATL BANK CT
NC: GREENWICH CADILLAC-OLDSMOBILE
REF: MME/11:02
'MAD: 1108810GC03C001857
Confidential Treatment Requested by JPM-SDNY-00003683
EFTA01654325 JPMorgan Chase
October 30,20114 - Jeffrey E Epstein
November 30.2001
Primary Account Number: ° JPMorgan Private Bank
Pape 7 of 10
Premier Checking
Account Number .8 (cont.)
Jeffrey E Epstein
Activity
Date Desnlptlon Debit Coedits Balance
Nov 18 Fedwire Debit 519000.00 $375,587.00
VIA COLONIAL BANK NA
NC: JEFFREY EPSTEIN
IMACr. 1118B1COC07C001822
Nov 18 Internal Funds Transfer S34,867.33 5340,719.67
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DOA AC/-
- TO
orm AC/ 2 LE
TIER FROM CLIENT
Nov 19 Deposit 3035898641 530,000.00 5370,71987
Nov19 Feasts Debit S28,386.00 $342,334.67
VIA KISLAKNATL BK MIA
NC: AMERICAN COMPOSITES, INC.
RU: REF: REPAIR 727 COWLING
IMAD: 111981OGC02O002059
Nov22 Book Transfer 32,16829 5340,166.38
NC:
NEW YORK NY 10021
ORG: 0000739110438
JEFFREY E EPSTEIN
Nov22 Book Transfer Debit 32,82830 $337,338.08
NC: FX USD INCOMINGFEWCHIPSIDDA
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
ORSk FX USD INCOMINGfFED/CHIPS/DDA
C/O CHASE MANHATTAN BK, CHASESIDE
008: FX OPERATIONS
NEW YORK NY
REF: /OCMTAJSD2828,30/BNFJEUR2160.0
0
Nov22 FeeNtire Debit $50,000.00 $287,338.08
VIA: WELLS FARGO NA
NC: ZORRO DEVELOPMENT CORPORATION
IMAD: 112281OGC07C005182
NoV 22 Fedwire Debit $59000.00 3237,33806
VIA CITIZENS BANK DE
NC: HYPERION AIR INC
WAD: 1122B1OGC0SC005109
Confidential Treatment Requested by JPM-SDNY-00003687
EFTA01654326 JPMorgan Chase
April Ill, 2005 Jeffrey E Epstein da
April 29, 200 i/ JPMorgan
Primary Account Number Private Bank
Page lel 10
Premier Checkin
Account Number (cont.)
Jeffrey E Epstein
Activity
Date Description Debit Credits Bence
Apr 26 CHIPS Debit 23,000,000.00 $1,189.089.32
VIA BANK OF NEW YORK
f0001
NC: AIRCRAFT SERVICES GROUP, INC
SSN.
Apr 26 Check Paid if 1089 340,000. CO 51,129.08832
Apr 27 Fechvire Debit $100,000.00 $1,029,089.32
VIA FIRSTBANK PR
4
NC: FIRSTBANK PUERTO RICO
VIRGIN ISLANDS PR
BEN: LSJ, LW
REF: 8300 RED HOOK QUARTERS. B-3 ST
. THOMAS, USVI 00802/ACC/1518 PONCE
DELEON AVENUE P09146 SAN JUAN 009
IMAD: 0427B1OGCO8C003377
Apr 27 Internal Funds Transfer $205,000.00 5824,089.32
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM ODA ACIF
TO wax* LE
TIER FROM CLIENT
Apr 29 Interest Paid 31,440.03 $825.529.35
Apr 20 Book Transfer Debit 92.633.95 $822,895.40
NC: FX USD INCOMING/FED/CHIPS/ODA
BOURNEMOUTH UNITED KINGDOM BH7 7.06
ORG FX USD INCOMINGIFED/CHIPSWA
CIO CHASE MANHATTAN BK CHASESIDE
0G13: FX OPERATIONS
NEW YORK NY
REF: CCMT/USD2833,95JBNREUR2018.6
0
$7,776,452.04 $7,149,646.55
Ending Balance $822,895.40
fl ecks Paid
check: Daft. Amount Check Date Amount Check Date Amount
Pr'S Apr 13 S40,000.00 1069 Apr 28 540,030.00
Total Chocks $80,000.00
Enclosed Checks: 2
Confidential Treatment Requested by JPM-SDNY-00003733
EFTA01654327 JPMorgan Chase
0512005 JPMorgan Chase Bank, N.A.
345 Park Avenue, Ness York, NY I0154-1002
CIIJPIVIorgan Private Bank
Account Number: Asset Account Portfolio Page 10 of 15
FINANCIAL TRUST COMPANY INC May 01, 2005 • May 31, 2005
Activity by Date continued
sauna..
one TYP• Chanel), Descrtption A MC:: US9
May 19 Sale - 1,000,000 JP MORGAN INSTITUTIONAL PRIME MONEY 1,000,000.00
INSTITUTIONAL CLASS SWEEP FUND (829)
(SWEEP DEADUNE IS 4:30 PM EST)
May 19 Misc. Disbursement FUNDS TRANSFERRED FROM 8RKRG - 1,000,000.00
AG/
DDA A
LETTER FROM CLIENT
May 20 Sale - 139,050 JP MORGAN INSTITUTIONAL PRIME MONEY 139,050.00
INSTITUTIONAL CLASS SWEEP FUND (829)
(SWEEP DEADLINE IS 4:30 PM EST)
May 20 Misc. Disbursement FUN ERRED FROM BRIORG - 139,050.00
ACM (PRN) TO
DDA AC
LErtER FROM CLIENT
May 23 Sale - 50,003 JP MORGAN INSTITUTIONAL PRIME MONEY 50,000.00
INSTITUTIONAL CLASS SWEEP FUND (829)
(SWEEP DEADLINE IS 4:30 PM EST)
May 23 Misc, Disbursement TRANSFERRED BY SPARE TO - 50,000.00
FIRSTBANK PUERTO RICO
FAO FINANCIAL TRUST COMPANY, INC.
LETTER FROM CLIENT
Confidential Treatment Requested by JPMorgan JPMSDNY-00033296
Chase
EFTA01654328
•07 12005
JPMorgan Chase Bank, N.A.
345 Park Avenue, New York, NY 10154.1002
°JPMorgan Private Bank
Account Number: Asset Account Portfolio Page 13 of 18
FINANCIAL TRUST COMPANY INC July 01, 2005 - July 31, 2005
U S Dollar Activity by Date continued
Settlement
Data TWA Qualmly Oncripoon Aiw:MUSD
Jul 14 Spot FX 20000,000 SPOT CURRENCY TRANSACTION - BUY - 180,407.72
BUY JPY SELL USD
SPOT RATE : 110.860000000
TRADE 7112105 VALUE 7/14/05
JAPANESE YEN
U S DOLLAR
Jul 14 Sale - 180,407.72 JP MORGAN INSTITUTIONAL PRIME MONEY 180,407 72
INSTITUTIONAL CLASS SWEEP FUND (829)
(SWEEP DEADLINE IS 4:30 PM EST)
Jul 22 Sale - 200,000 JP MORGAN INSTITUTIONAL PRIME MONEY 200,000 00
INSTITUTIONAL CLASS SWEEP FUND (829)
(SWEEP DEADLINE IS 4:30 PM EST)
Jul 22 Misc, Disbursement FUNDS TRANSFERRED FROM BRKRG - 200,000 00
ACM C1301746. TO
DOA A
LETTER FROM CLIENT
Confidential Treatment Requested by JPMorgan JPM-SDNY-00033367
Chase
EFTA01654329
July 01.2005 - Jeffrey E Epstein
July 29, 2005
Prilliary Account Number. °JPMorgan Private Bank
Page 6 of 9
Premier Cheekiniii
Account Number 8 (cont.)
Jeffrey E Epstein
Activity
Date Desaiptleo Debit Credits Balance
Jul 21 Fedwke Debit 550,000.00 51.264.047.72
VIA FIRSTBANK PR
NC: FIRSTBANK PUERTO RICO
VIRGIN ISLANDS PR
BEM LSJ, LLC
REF: 8300 RED HOOK QUARTERS, 6-3 ST
. THOMAS, USVI 00802/ACC/MTh PONCE
DELEON AVENUE PO9146 SAN JUAN 009
IMAD: 0721BMGC04C005931
Jul 21 Fedwlre Dalt S200,000.00 S1,084,047.72
VIA COLONIAL BANK NA
NC: JEGE, INC.
IMAD 072181OGC03C00:3991
Jul 25 Fedvnre Debit 550.000.00 S1,014147.72
VIA COLONIAL BANK NA
NC: JEFFREY EPSTEIN
IMAD. 0725511OGC03C008830
Jul 25 Internal Funds Transfer 5375,000.00 5436047.72
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM DDA ACS
TO DDA AC
LETTER FROM CLIENT
Jul26 Book Transfer $2,50O.00 $636,547.72
NC: DOWNTOWN FITNESS CENTER LLC
NEW YORK NY 10038
ORG M0000000000739110438
JEFFREY E EPSTEIN
Jul26 Fedwire Debit S15,000.00 $621,547.72
VIA FIRSTBANK PR
NC: LSJ, LLC
REF: 6300 RED HOOK QUARTERS, B-3 ST
. THOMAS. USVI 00802/ACV/Slit PONCE
DELEON AVENUE PO9146 SAN JUAN 009
08
IMAD: 0726B1CIGC05C004888
Confidential Treatment Requested by JPM-SDNY-00003768
EFTA01654330 JPMorgan Chase
J.P.Morgan
Primary Account
GHISLAINE MAXWELL
For the Period 4/1/09 to 4/30109
Checks Paid
Check Date
Number Paid Amount
2020 ¢ 04/10 250.00
2021 ¢ 04/10 1,500 DO
Total Checks Paid ($1,750.00)
c An image of this check is available at MorganOnline.eom. To enroll in Morgan Online, please contact your JP. MorganTeam.
Transaction Detail
Deposits & Transfers 8,
Date DescrIptbn Credits Withdrawals Balance
04/01 Beginning Balance 166,736.15
04/09 Nes Lie Direct Dep 677019409986Tpw PPD ID: 9111111101 5,622.01 172,358.15
04/10 Fedwire Debit Via: Ci0bank West Fsb NC Isabel S. Maxwell imad: 5,000.00 167,35&16
0410131Q6c02C003629 Tm: 05371001C3Es
04/10 Check # 2021 T 1,500.00 165,858.16
04/10 Check #2020 250.00~~~•~µ 165,608.16
04/22 Deposit 441610368 5,225.00 170,833 16
04/22 Deposit 441610367 616.00 171,449.16
04/23 Funds Transferred From DDAAc# To DDA Ac# 100,000.00 271,449.16
As Requested
04/23 Nes Lk Direct Dep 676019692664Tpw PPD ID 9111111101 5,622.01 277,071.17
0- 38
04/30 Interest Payment 9.21 277,060.38
04/30 Ending Balance 5217,080.38
Total $117,094.23 ($6,750.00)
Page 2 of 4
Confidential Treatment Requested by JPMorgen JPNI-SDNY-00052287
Chase
EFTA01654331
November 01, 2006 • GhlslitIne Maxwell
November 30, 2006 JPMorgan 0
Primary Account Number pram.Bank
Page 3 of 6
Premier Checkin
Account Number (cont.)
Ghlslalne Maxwell
Activity
Date , _ Description Debit Credits Balance
Nov 21 Internal Funds Transfer $50,000.00 575,930.24
GHISLAINE MAXWELL
FUNDS TRANSFERRED FROM DOA AC:iiM
MEI TO DDA AC* Letter f
corn client
Nov 22 Electronic Funds Transfer 56,72920 $81,659.44
NES LLC Re: PAYROLL
Ret 7870087160711PW
Nov24 Book Transfer Debit $2,930.76 $76,728.68
NC: FX USD INCOMING/FED/CHIPS/DDA
BOURNEMOUTH UNITED KINGDOM BH7 7-DB
ORO: FX USD INCOMING/FED/CHIPS/ODA
C/O CHASE MANHATTAN BK, CHASESIDE
OOB: FX OPERATIONS
NEW YORK NY
REF: /OCIATNSO2930,76/BNF/GBP1500.0
0
Nov 24 Check Paid Si 1022 $1,000.00 $77,728.68
Nov 28 Internal Funds Transfer $13,750.03 $91,478.68
JEFFREY E EPSTEIN
FUNDS TRANSFERRED FROM MMIA AC*IN
TO DOA ACJi As moo
eared
N0v 28 Fedwire Debit $13,750.00 $77,726.68
VIA: FST BK sp. MO
p
NC: RESEARCH ON DEMAND INC
REF: ACCT NAME:RESEARCH ON DEMAND I
NC CHRISTINE MAXWELL
MAD: 1128B1OGC04C002607
Nov 30 Interest Paid $123.88 $77.852.56
$181,947.40 $229,215.27
Ending Balance $77,852.56
Checks Paid
Check Date Amount Check Date Amount Check Date Amount
1022 Nov24 $1,000.00
Total Checks $1,000.00
Enclosed Checks: 1
Confidential Treatment Requested by JPM-SDNY-00052122
EFTA01654332 JPMorgan Chase
Primary Account:
OHISLAINE MAXWELL For the Period 7/1111 to 7/29/11
IMPORTANT INFORMATION
We are making changes to the "Longer Delays May Apply
section of our Funds Availability Policy Statement
Effective July 17, 2011, at least the first $200 of your deposits will be available on the
first business day after the day of your deposit. Al other terms of your account
remain the same. If you have any questions. please contact your J.P. Morgan team.
Transaction Detail
Deposits .4 Transfers 8,
Date Description Credits Withdrawals Balance
07101 Beginning Balance 1,907,820.04
07/12
r 07/12 07/11/2011 Funds Requested
Transferred From MrHe Act To ODAAct 50,000.00 1,857,820.04
„ ailing. As
0725 Funds Transferred From ODA Act To Mmia Ai* 1,000,000.00 •• 2,857,820.04
As Requested
07/28 Fed Wire Credit Via: Firstbank Puerto Ri b/o: Fsf Lk St Thomas VI 10,900,773.48 13,758,593.52
00802-1348 Ref: Chase N cCtr/Bnfr-Ghlslaine eli Miami Beach FL
33139-1331/Ac Rlb=0/B Fustbank PR Obi=loan Repayment IN Full
Bbl=filmeimad: 0728B1B7741C000020 Tm: 3071409209Ff -
07/28 07/28 Funds Transferred From Mmla &.. To DDA MS 722,802.88 19035,790.84
_JimingigillAs Requested
0728 07/28 Funds Transferred From Mmla Act To Asset Act 339,050.00 12898,740.84
As Requested
07/28 07/28 Funds Transferred From Mmia AS o DIDA AS 9,768,791.41 2,927,949.23
Requested
07/28 07/28 Fedwire Debit Via: Signature Bank/'A/C: George V Dotson Associates 86,000.00 2,862,949.23
imad: 0728BlOgc08C007033 Tm: 1400500209Es
07/29 Interest Payment 487.81 2,883,436.84
07/29 Ending Balance $2,883,438.84
Total $11,901,261.09 (110,948,94420)
J.P.Moruan Page 2 n14
Confidential Treatment Requested by JPMorgan JPM-SDNY-00051807
Chase
EFTA01654333
Primary Accou
GHISLAINE MAXWELL For the Period 1/1/11 to 1/31/11
Checks Paid
Check Date
Number Paid Amount
2069 A 01/10 9,180 06
2070 A 01/31 593 58
2071 A 01/19 3,472 80
Total Checks Paid ($13,246.44)
A An Image of this dm& is awrilabk at AlargamOnline.con. Toenail l»Motgare Online, please contact jourJ.P.MaganTeans.
Transaction Detail
Deposits & Transfers &
Date Description Credits Withdrawals Balance
01/01 Beginning Balance 99,921.84
01/04 Funds Transferred From DDA Ac# aro DDA Ac# 3,000,000.00 3,099,921.84
As Requested
01/04 01/04 Funds Transferred From QUA Act* To DOA Ac# 3,000,000.00 99,921.84
Requested
01/10 iecck #2069 9,18005 90.741 78
01/19 Check # 2071 3,472.80 87,268 98
01/20 Card Purchase 01/19 NH Registry of Ennis 614-888-448 OH Card 9396 70.00 87,198 98
01/21 Deposit 746189045 382.50 87,581 48
01/31 Check #20%0 593.58 86,987 90
01/31 Interest Payment 3.87 86,991.77
01/31 Ending Balance $88,991.77
Total $3,000,386.37 ($3,013,318.44)
Interest paid in 2010for account 00000000000730141.112 was 532 93.
J.P.Morgan Page 2 et 4
Confidential Treatment Requested by JPMorgan JPM-SDNY-00052549
Chase
EFTA01654334
June 01,2007- GhMaine Maxwell -MK/Organ 0
h= 29,2007
Primary Amount Number Ma Private Bank
Page 2 of I
Premier Cheekilf
Account Number 2
Ghislaine Maxwell
Summary
Opening Balance $149,704.20 Average Balance $937,555.13
Deposits and Credits $7,634,946.28 Interest Paid this Period $1,774.31
Checks, Withdrawals and Debits 57,663,408.95 Interest Paid Year to Date 32,721.51
Ending Balance $121,241.53 Annual Percentage Yield 2.33%
Activity
Date Sewn/4km Debit Credits Salaam
Opening Balance 3149,704.20
Jun 06 Deposit_ 140061161 59.,025.00 $158 729.20
Jun 08 Chedc Paid I 1080 $520 00 $158,100.20
Jun 08 Check Paid # 1062 $400 00 $157,709.20
Jun 07 Electronic Funds Transfer $6,599.20 $164,306.40
NES LLC Re: PAYROLL
Ret 250010103529TPW
Jun 07 Electronic Funds Transfer. $105,000.00 $269,308.40
CWB TRANSFER Re: 22495331
Rat 44842831
Jun 08 Check Paid # 1081 $7.00 3289,301.40
Jun 12 Check Paid X 1065 $190 00 3269,111.40
Jun 12 Cheek Paid I 1066 $4,947.00 $264,164.40
Jun 12 Check Paid I 1067 51 133.00 $263 031.40
Jun 12 Check Paid I 1068 $1,396.00 3261,835.40
Jun 14 Check Paid* 1059 $1,842 00 3259,793.40
Jun 15 Fedwire Credit $7.400,000.00 $7,659,793.40
VIA MELLON BANK NA-DUE FROM SK MI
/043000261
WO: JEFFREY EPSTEIN
ST THOMAS VI 00802-1348
REF: CHASE NYC/CTRA3NP4OHISLAINE MA
XWELL NEW YORK NY 10022-/AC O
RF8=0/B MELLON BANK 8131=/TIME
/15:32
IMAM 0615D3OCI20C065971
Jun 18 Internal Funds Transfer $7,400.000.00 $259,793.40
FUNDS TRANSFERRED FROM ODA ACX
TO WA AC1 As reque
sled
Jun 20 Cheek Pawl 1064 $10,000.00 $249,793.40
Jun 21 Electronic Funds Transfer $6,599.20 $258,392.60
NES LLC Re: PAYROLL
Ret 5760062551081W/
Jun 22 Deposit 140031164 $948.57 $257,341.17
Confidential Treatment Requested by JPM-SDNY-00052159
EFTA01654335 JPMorgan Chase
June 01, 2007 - AIR OHISLAINE INC JPMorgan 0
June 29, 20O7
Printery Account Ntmther. Private Bank
Page 2 of 4
Business Checking
Account Number a
AIR GHISLAINE INC
Summary
Opening Balance 532,13142
Deposits and Credits 57,550,000.00
Checks, Wdhdrawals and Debits $7,381,078.71
Ending Balance 8201,058.71
Activity
Date Description Debit Credits Balance
Opening Balance $32,133.42
Jun 12 Book Transfer Credit $50,000.00 382,133,42
WO: BELL HELICOPTER TEXTRON
FT {Merit Tx 78101-
REF: 417 DEPOSIT REFUND
Jun 18 Internal Funds Transfer 37,400,000.00 $7,482,133.42
FUNDS TRANSFERRED FROM DDA AGSM
TO DDA AC* As reque
clad
Jun 18 Book Transfer $7,352,825.00 $129,308.42
NC: SIKORSKY AIRCRAFT CORP
STRATFORD CT 08814-1378
oRa
AIR GHISLAINE INC
REF: RE:PURCHASE OF A GREEN HELICOP
TER SIKORSKY S76C AND DowNpAYMENT 0
N EXECUTIVE FINISH
Jun 22 Internal Funds Transfer 3100,000.00 5229,308.42
FUNDS TRANSFERRED FROM DOA ACISMI
TO DOA ACIs a As rogue
sled
Jun 22 Chedc Paid I 1038 $2,570.00 $226,738.42
Jun 25 Cheek Paid St 1037 $5487.59 $221 250.83
Jun 25 Check Paid!, 1038 S14,708.53 $206a0
..lin 25 Check Paid * 1039 $5A87.59 3201.058.71
$7,381,078.71 37,550,000.00
Ending Balance $201,056.71
Checks Paid
Cheek Date Amount Check Date Amount Check Date Amount
1036 Jun 22 $2 570.00 1038 Jun 25 _314208.53
1037 Jun 25 55.487.59 1039 Jun 25 $5,487.59
Confidential Treatment Requested by JPM-SDNY-00008789
EFTA01654336 JPMorgan Chase
JPMorgan
Private Bank
JPMorgan Chase Bank, N.A. September 29, 2007 throw h October 31, 2007
P O Box 6076
Newark, DE 19714-6076 Account Num
Client Service Information
IIISIIIIIIIII OOOOO
YOUR JPMORGAN PRIVATE B •
00000818 DU 802 WP 30907- NNN P 1 IIIM0000 01 0000
GHISLAINE MAXWELL FRANCISCO VILLACIS
CIO NEW YORK STRATEGY GROUP AMY WEBB
Private Bank ServiceLine
For assistance after business hours, 7 days a week:
NEW YORK NY 10022-6843
JPMorgan Private Access Checking
000000739116312
GHISLAINE MAXWELL
Checking Account Summary
Amount
Beginning Balance $181,417.17
Deposits and Additions 18,928.99
Checks Paid - 58,524.00
Electronic Withdrawals - 62,083.68
Ending Balance $79,758.48
Annual Percentage Yield Earned This Period 1.50%
Interest Paid This Period $125.67
Interest Paid Year-to-Date $3,506.51
ABBREVIATED TRANSACTION INFORMATION MAY BE DISPLAYED ON YOUR
STATEMENT FOR CASH TRANSFERS BETWEEN YOUR PIVATE BANK ACCOUNTS,
DATED BETWEEN 10/9 AND 10/25. CONTACT YOUR JPMORGAN PRIVATE BANK
CLIENT SERVICE TEAM IF YOU REQUIRE ADDITIONAL DETAIL.
Pagd
Confidential Treatment Requested by JPMorgan JPM-SDNY-00052180
Chase
EFTA01654337
JPMorgan 0
Private Bank
September 29, 2007 thro h (ober 31, 2007
Account Num
Checks Paid
Check Dale
Number Paid Amount
1082 10/03 5192.00
1083 10/02 50,000.00
1084 10/23 4,345.00
1085 10/15 1,100.00
1086 10/19 183.00
1087 10/22 2,354.00
1088 10/30 350.00
Total Checks Paid 558,524.00
Transaction Detail
Date Description Amount Balance
10/02 Deposit 231740786 6,067.70 186,484.87
10/02 Deposit 231740788 23.52 186,508.39
10/02 Check # 1083 -50,000.00 136,508.39
10/03 Book Transfer Debit NC: Fx USD Incorning/Fed/Chips/DDA Bournemouth United Kingdom Bh7 -52,063.68 84,444.71
7-Dborg: Fx USD Incoming/Fed/Chips/0DA CIO Chase Manhattan Bk, Chaseside Ogb: Fx Operations
New York NY ReflOcrnt/USD52063,88530/Gbp25000.00 Tm: 7678300276Fx
10/03 Check #1082 -192.00 84,252.71
10/11 Nes Lic Direct Dep 170013309278Tpw PPD ID: 9111111101 6,856.05 91,108.76
10/15 Check # 1085 -1,100.00 90,008.76
10/17 Funds Transferred From DOA Ac# To DDA kit As Reg -10,000.00 80,008.76
10/19 Check #1086 -183.00 79,825.76
10/22 Check # 1087 -2,354.00 77,471.76
10/23 Check # 1084 -4,345.00 73,126.76
10/25 Nes LIc Direct Dep 784013353783Tpw PPD ID: 9111111101 6,856.05 79,982.81
10/30 Check # 1088 -350.00 79,632.81
10/31 Interest Payment 126.67 79,758.48
Ending Balance $79,758.48
Confidential Treatment Requested by JPMorgan JPM-SDNY-00052181
Chase
EFTA01654338
JPMorgan 0
Private Bank
September 29, 2007 throw h October 31, 2007
Account Numb
JPMorgan Private Access Checking Ghtslaine Maxwell
000000739118312
0/741.1411040/Wa IN!
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009070102743 OCT 0380000001082 8192.03 009070102743 OCT 03 a0000001082 $192.00
swilwwwww/s
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MYR I
.total.- Wit/COCO/4
C4791.V4,71
tal7M00000:
008870084871 OCT 02 #0000001063 55800800
008870084871 OCT 02 80000001003 $50,000.00
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w,unn.001001, CO/100001OMB F inxtmlytow $blig.0i13
008570808993 OCT 23 80000001084 $4.345.00
008570808993 OCT 23 10000001084 $4345.00
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Confidential Treatment Requested by JPMorgan
Chase JPM-SDNY-00052183
EFTA01654339