Deutsche Asset & Wealth Management # Contacts As of January 31, 2015 CUSTODY OFFICER ARTHUR TENDLER 60 Wall Street
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |
| Asset Class | Adjusted Cost Basis in USD | Market Value in USD | % of Category |
|---|---|---|---|
| Cash and Cash Equivalents | 182,528.99 | 161,295.15 | 100.00% |
| Total | 182,528.99 | 161,295.15 | 100.00% |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |
| Current Period | |
|---|---|
| Estimated Annual Income | 0.00 |
| Total | 0.00 |
| Market Value Reconciliation in USD | Current Period | Year to Date |
|---|---|---|
| Opening Balance as of January 1, 2015 | 198,993.53 | 198,993.53 |
| Addition/Withdrawal | ||
| Cash Disbursement | (24,949.96) | |
| Net Addition/Withdrawal | (24,949.96) | (24,949.96) |
| Realized Currency Gain/Loss | (2,813.88) | (2,813.88) |
| Change in Unrealized Currency Gain/Loss | (9,934.54) | (9,934.54) |
| Closing Balance as of January 31, 2015 | 161,295.15 | 161,295.15 |
| Allocation by Region | Cash and Cash Equivalents in USD | Fixed Income in USD | Equity in USD | Alternative Investments in USD | Market Value in USD* | % of Category |
| Europe | 161,294.93 | 0.00 | 0.00 | 0.00 | 161,294.93 | 100.00% |
| United States/Canada | 0.22 | 0.00 | 0.00 | 0.00 | 0.22 | 0.00% |
| Total | 161,295.15 | 0.00 | 0.00 | 0.00 | 161,295.15 | 100.00% |
| Allocation by Currency | Cash and Cash Equivalents in USD | Fixed Income in USD | Equity in USD | Alternative Investments in USD | Foreign Exchange in USD | Market Value in USD | % of Category |
| US Dollar(USD) | 0.22 | 0.00 | 0.00 | 0.00 | 0.00 | 0.22 | 0.00% |
| Euro(EUR) | 161,294.93 | 0.00 | 0.00 | 0.00 | 0.00 | 161,294.93 | 100.00% |
| Total | 161,295.15 | 0.00 | 0.00 | 0.00 | 0.00 | 161,295.15 | 100.00% |
| Quantity | Security Description | % of Category | Local Unit Cost | Price in USD Local Price | Adjusted Cost Basis in USD | Market Value in USD | Accrued Income in USD | Estimated Annual Income in USD | Yield to Maturity % | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Security ID | Moody's/S&P Rating | Category | ||||||||||
| Cash | 142,738.92 | EURO | 100.00% | EUR 1.000 | USD 1.130 EUR 1.000 | 182,528.77 | 161,294.93 | |||||
| Total Cash | 100.00% | 182,528.77 | 161,294.93 | |||||||||
| 0.22 DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 0.00% | USD 1.000 | 1.000 | 0.22 | |
| Total United States | 0.00% | 0.22 | |||
| Total Cash Management | 0.00% | 0.22 | |||
| Total Cash and Cash Equivalents | 100.00% | 182,528.99 | 161,295.15 | ||
| Total Accrued Income |
| US Dollar (USD) | ||
|---|---|---|
| Amount | Amount Year to Date | |
| Transaction Category | ||
| Opening Balance as of January 1, 2015 | ||
| Cash Management: | 0.22 | 0.22 |
| Cash | 198,993.31 | 198,993.31 |
| Addition/Withdrawal | ||
| Cash Disbursement | (24,949.96) | (24,949.96) |
| Net Addition/Withdrawal | (24,949.96) | (24,949.96) |
| Realized FX Gain/Loss on Cash | (2,813.88) | (2,813.88) |
| Unrealized FX Gain/Loss on Cash | (9,934.54) | (9,934.54) |
| Closing Balance as of January 31, 2015 | ||
| Cash Management: | 0.22 | 0.22 |
| Cash | 161,294.93 | 161,294.93 |
| Euro (EUR) | US Dollar (USD) | US Dollar (USD) | Grand Total in Base CCY (USD) | |
|---|---|---|---|---|
| Transaction Category | ||||
| Opening Balance as of January 1, 2015* | 164,450.46 | 198,993.31 | 0.22 | 198,993.53 |
| Addition/Withdrawal | (21,711.54) | (24,949.96) | (24,949.96) | |
| Investment Income | ||||
| Investment Activity | ||||
| Capital Gains Distribution | ||||
| Currency Exchange | ||||
| Realized FX Gain/Loss on Cash | (2,813.88) | (2,813.88) | ||
| Unrealized FX Gain/Loss on Cash | (9,934.54) | (9,934.54) | ||
| Closing Balance as of January 31, 2015 | 142,738.92 | 161,294.93 | 0.22 | 161,295.15 |
| Trade Date Settlement Date | Transaction Type | Description Security ID | Quantity | Amount in Local CCY Amount in USD | Cost in Local CCY Cost in USD | Realized Gain/Loss in USD |
|---|---|---|---|---|---|---|
| Transactions for Euro (EUR) | ||||||
| 01/13/2015 01/12/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO BNP PARIBAS SSB REF# SCMS150109988992 IBAN: BE8B001408700179 INVOICE 1447 SWIFT REF#15011203812 FX RATE: 0.8447 | (1,850.00) | (1,650.00) (1,953.30) | (156.80) FX | |
| 01/15/2015 01/15/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO BANCA DEL FUCIND SSB REF# SCMS150114012985 IBAN: IT73091282021000000237514 SWIFT REF#150114988.88 FX RATE: 0.8800 | (10,000.00) | (10,000.00) (11,619.90) | (1,188.10) FX | |
| 01/29/2015 01/28/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO HANDELSBANKEN SSB REF#SCMS150123073137 IBAN: SE678000000000048708618 SWIFT REF#15012904426 FX RATE: 0.8879 | (5,000.00) | (5,000.00) (5,631.50) | (762.30) FX | |
| 01/27/2015 01/27/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO CREDIT LYONNAIS SSB REF#SCMS150128089616 IBAN: FR23000200469000000269Q70 SWIFT REF#1501289C11D FX RATE: 0.8788 | (2,461.54) | (2,461.54) (2,801.11) | (340.61) FX | |
| 01/29/2015 01/29/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO BNP PARIBAS SSB REF#SCMS150128104610 IBAN: BE8B001408700179 SWIFT REF#15012904180 FX RATE: 0.8830 | (2,600.00) | (2,600.00) (2,944.50) | (380.27) FX | |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |