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Financial record · July 31, 2015

Wealth management portfolio statement for Jeffrey Epstein, July 2015

A wealth management division of a major international bank issued this account statement showing Epstein's cash holdings, transactions, and currency allocations as of July 31, 2015.Machine-written summary

Deutsche Asset & Wealth Management

Contacts

As of July 31, 2015

Account Name:JEFFREY EPSTEIN
Account Number:680519
Base Currency:USD

manifest line

CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

DB-SDNY-0001893

EFTA_00015367

EFTA00166119

Deutsche Asset & Wealth Management

This Page Intentionally Left Blank

CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. (e)

DB-SDNY-0001894 EFTA_00015368

EFTA00166120

Deutsche Asset & Wealth Management

Portfolio Summary

As of July 31, 2015

Account Name:JEFFREY EPSTEIN
Account Number:680519
Base Currency:USD
Asset ClassAdjusted Cost Basis in USDMarket Value in USD% of Category
Cash and Cash Equivalents83,344.5582,994.61100.00%
Total83,344.5582,994.61100.00%
Current Period
Estimated Annual Income0.00
Total0.00
Market Value Reconciliation in USDCurrent PeriodYear to Date
Opening Balance as of July 1, 201523,451.84198,993.53
Addition/Withdrawal
Cash Disbursement(138,780.17)
Cash Receipt200,000.00
Net Addition/Withdrawal61,239.83(100,643.73)
Income
Interest(7.28)
Change in Accrued Income0.44
Net Income(6.82)(73.55)
Realized Currency Gain/Loss(1,087.75)(26,230.56)
Change in Unrealized Currency Gain/Loss(802.49)10,948.92
Closing Balance as of July 31, 201582,994.6182,994.61

Note: Market Values Include Accrued Income

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CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

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Deutsche Asset & Wealth Management

Regional Diversification

As of July 31, 2015

Allocation by RegionCash and Cash Equivalents in USDFixed Income in USDEquity in USDAlternative Investments in USDMarket Value in USD*% of Category
Europe82,993.490.000.000.0082,993.49100.00%
United States/Canada1.120.000.000.001.120.00%
Total82,994.610.000.000.0082,994.61100.00%
  • Excludes Foreign Exchange Contracts

CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

DB-SDNY-0001896 EFTA_00015370

EFTA00166122

Deutsche Asset & Wealth Management

Currency Diversification

As of July 31, 2015

Account Name:JEFFREY EPSTEIN
Account Number:680519
Base Currency:USD
Allocation by CurrencyCash and Cash Equivalents in USDFixed Income in USDEquity in USDAlternative Investments in USDForeign Exchange in USDMarket Value in USD% of Category
US Dollar(USD)1.120.000.000.000.001.120.00%
Euro(EUR)82,993.490.000.000.000.0082,993.49100.00%
Total82,994.610.000.000.000.0082,994.61100.00%

Exchange Rates

USD 1 = EUR 0.91054EUR 1 = USD 1.09825

CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

DB-SDNY-0001897 EFTA_00015371

EFTA00166123

Deutsche Asset & Wealth Management

Detailed Portfolio Information

As of July 31, 2015

List of Holdings - Cash and Cash Equivalents

Account Name:JEFFREY EPSTEIN
Account Number:680519
Base Currency:USD
QuantitySecurity Description
Security ID Moody's/S&P Rating
% of CategoryLocal Unit CostPrice in USD Local PriceAdjusted Cost Basis in USDMarket Value in USDAccrued Income in USDEstimated Annual Income in USDYield to Maturity %
Cash
75,589.81EURO100.00%EUR 1.000USD 1.098
EUR 1.000
83,349.8782,993.49
Total Cash100.00%83,343.8782,993.49
Cash Management United States
0.68DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.00%USD 1.0001.0000.680.68
Total United States0.00%0.680.68
Total Cash Management0.00%0.680.68
Total Cash and Cash Equivalents100.00%83,344.5582,994.17
Total Accrued Income
Total Cash and Cash Equivalents including Accrued Income82,994.61

Adjusted Cost Basis column reflects Tax Cost for those clients who subscribe to our tax cost services, for all other clients, we report Average cost. For Cash Management vehicles and Money Market Funds, Annual Yield is reported in the Yield to Maturity column.

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CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

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Deutsche Asset & Wealth Management

Transaction Summary

July 1, 2015 to July 31, 2015

US Dollar (USD)
AmountAmount Year to Date
Transaction Category
Opening Balance as of July 1, 2015
Cash Management0.880.22
Cash23,451.16198,993.31
Addition/Withdrawal
Cash Disbursement(138,760.17)(550,843.73)
Cash Receipt200,000.00450,000.00
Not Addition/Withdrawal61,239.83(100,643.73)
Investment Income
Dividend0.000.46
Interest(7.26)(74.45)
Not Investment Income(7.26)(73.99)
Realized FX Gain/Loss on Cash(1,087.75)(26,230.58)
Unrealized FX Gain/Loss on Cash(802.49)10,948.92
Closing Balance as of July 31, 2015
Cash Management0.680.68
Cash82,993.4982,993.49

000194 419

CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e)

DB-SDNY-0001899 EFTA_00015373

Wealth management portfolio statement for Jeffrey Epstein, July 2015

Financial records

A wealth management division of a major international bank issued this account statement showing Epstein's cash holdings, transactions, and currency allocations as of July 31, 2015.

DOJ Epstein Files, Data Set 9 · July 31, 2015

Deutsche Asset & Wealth Management Contacts As of July 31, 2015 <table border="1" <tr <td Account Name:</td <td JEFFREY EPSTEIN</td </tr <tr <td Account Number:</td <td 680519</td </tr <tr <td Base Currency:</td <td USD</td </tr </table manifest line CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) DB-SDNY-0001893 EFTA 00015367 EFTA00166119 Deutsche Asset & Wealth Management This Page Intentionally Left Blank CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. (e) DB-SDNY-0001894 EFTA 00015368 EFTA00166120 Deutsche Asset & Wealth Management Portfolio Summary As of July 31, 2015 <table border="1" <tr <…