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Financial record · June 2007

Financial record, 2007-06

| | |

| :--- | :--- |

| June | 01, 2017 |

| June | 29, 2017 |

JPMorgan Private Bank

JPMorgan Chase Bank, N.A.

Your JPMorgan Private Bank Team:

FRANCISCO VILLACIS

MELISSA DALTON

Relationship Banking Summary

Private Bank ServiceLine

For assistance after business hours,

7 days a week.

(800) 243-6727

Deposit Accounts

DescriptionNumberOpening BalanceTotal CreditsTotal DebitsEnding Balance
Business Checking739-474324$32,133.42$7,550,000.00$7,381,076.71$201,056.71
Total$201,056.71

GOVERNMENT

EXHIBIT

501

S2 20 Cr. 330 (AJN)

Confidential Treatment Requested by JPMorgan Chase

JPM-SDNY-00008788

EFTA00084013

June01, 2⁰⁰7
June29, 2⁰⁰7

Page 2 of 4

AIR GHISLAINE INC

Primary Account Number:

JPMorgan Private Bank

Business Checking

AIR GHISLAINE INC

Summary

Opening Balance$32,133.42
Deposits and Credits$7,550,000.00
Checks, Withdrawals and Debits$7,381,076.71
Ending Balance$201,056.71

Activity

DateDescriptionDebitCreditsBalance
Opening Balance$32,133.42
Jun 12Book Transfer Credit
B/O BELL HELICOPTER TEXTRON
FT WORTH TX 76101-REF 417 DEPOSIT REFUND
$50,000.00$82,133.42
Jun 18Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA AC# 7391
16312 TO DDA As reque sted
$7,400,000.00$7,482,133.42
Jun 18Book Transfer
A/C: SIKORSKY AIRCRAFT CORP
STRATFORD CT 06614-1378
ORG /00000000000739474324
AIR GHISLAINE INC
REF RE PURCHASE OF A GREEN HELICOP TER SIKORSKY S76C AND DOWNPAYMENT O N EXECUTIVE FINISH
$7,352,825.00$129,308.42
Jun 22Internal Funds Transfer
FUNDS TRANSFERRED FROM DDA
16312 TO DDA As reque sted
$100,000.00$229,308.42
Jun 22Check Paid # 1036$2,570.00$226,738.42
Jun 25Check Paid # 1037$5,487.59$221,250.83
Jun 25Check Paid # 1038$14,706.53$206,544.30
Jun 25Check Paid # 1039$5,487.59$201,056.71
$7,381,076.71$7,550,000.00
Ending Balance$201,056.71

Checks Paid

CheckDateAmountCheckDateAmountCheckDateAmount
1036Jun 22$2,570.001038Jun 25$14,706.53
1037Jun 25$5,487.591039Jun 25$5,487.59

Confidential Treatment Requested by JPMorgan Chase

JPM-SDNY-00008789

EFTA00084014

June01, 2007
June29, 2007

Page 3 of 4

AIR GHISLAINE INC

Primary Account Number

JPMorgan Private Bank

Enclosed Checks: 4

$$\overline{$28,251.71}$$

Fees and Charges for Business Accounts

We value your relationship with JPMorgan Private Bank. You were not charged for services this statement period. Thank You.

Confidential Treatment Requested by JPMorgan Chase

JPM-SDNY-00008790

EFTA00084015

June01, 2007 -
June29, 2007

Page 4 of 4

AIR GHISLAINE INC

Primary Account Number:

JPMorgan Private Bank

Important Information about Your Statement

Accounts are subject to the General Terms For Accounts and Services and applicable appendices and account agreements. Your accounts, unless otherwise indicated on the statement, are held by JPMorgan Chase Bank, N.A. (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)

In case of Errors or Questions About Your Electronic Punches 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.

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

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, N.A. 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 Distribution Services, Inc., which is an affiliate of JPMorgan Chase Bank, N.A.. JPMorgan Chase Bank, N.A., and its affiliates receive compensation from JPMorgan Funds for providing services. 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, respectively. Reich & Tang Distributors Inc. is a member NASD.

IRA Accounts

Accounts where the Bank serves 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 the applicable JPMorgan Funds since these charges are subject to rebate as defined below. For accounts where the Bank serves as trustee, or discretionary investment manager for an ERISA plan or an IRA, which holds 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 are shares in the Select Shares class of JPMorgan Tax Aware Large Cap Value Fund, JPMorgan US Equity Fund, JPMorgan Tax Aware US Equity Fund, JPMorgan Tax Aware Large Cap Growth Fund, JPMorgan Mid Cap Equity Fund, JPMorgan Trust Small Cap Equity Fund, JPMorgan Fleming International Equity Fund, JPMorgan Short Term Bond Fund II, JPMorgan Bond Fund II, JPMorgan Tax Aware Enhanced Income Fund, JPMorgan Tax Aware Short-Intermediate Income Fund, JPMorgan Intermediate Tax-Free Income Fund, JPMorgan Tax-Free Income Fund, JPMorgan California Bond Fund, JPMorgan NY Intermediate Tax Free Income Fund and JPMorgan NJ Tax Free Income Fund held in the Bank’s trust accounts or in the Bank’s investment management accounts for 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.

Confidential Treatment Requested by JPMorgan Chase

JPM-SDNY-00008791

EFTA00084016

Financial record, 2007-06

Financial records

DOJ Epstein Files, Data Set 9 · June 2007

| | | | :--- | :--- | | June | 01, 2017 | | June | 29, 2017 | JPMorgan Private Bank JPMorgan Chase Bank, N.A. Your JPMorgan Private Bank Team: FRANCISCO VILLACIS MELISSA DALTON Relationship Banking Summary Private Bank ServiceLine For assistance after business hours, 7 days a week. (800) 243-6727 Deposit Accounts <table border="1" <tr <td Description</td <td Number</td <td Opening Balance</td <td Total Credits</td <td Total Debits</td <td Ending Balance</td </tr <tr <td Business Checking</td <td 739-474324</td <td $32,133.42</td <td $7,550,000.00</td <td $7,381,076.71</td <td $201,056.71</td <…