EFTA00166125
| Euro (EUR) | US Dollar (USD) | US Dollar (USD) | Grand Total in Base CCY (USD) | |
|---|---|---|---|---|
| Transaction Category | ||||
| Opening Balance as of July 1, 2016* | 21,035.27 | 23,451.16 | 0.68 | 23,451.84 |
| Addition/Withdrawal | (126,280.54) | (138,760.17) | (138,760.17) | |
| Investment Income | (6.54) | (7.26) | (7.26) | |
| Investment Activity | ||||
| Capital Gains Distribution | ||||
| Currency Exchange | 180,820.62 | 200,000.00 | 200,000.00 | |
| Realized FX Gain/Loss on Cash | (1,087.75) | (1,087.75) | ||
| Unrealized FX Gain/Loss on Cash | (602.49) | (602.49) | ||
| Closing Balance as of July 31, 2015 | 75,668.81 | 82,993.49 | 0.68 | 82,994.17 |
| 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 US Dollar (USD) | ||||||
| 07/22/2015 07/22/2015 | Cash Receipt | RECEIPT OF FUNDS | 100,000.00 | 100,000.00 | ||
| 07/22/2015 07/22/2015 | Regular Sweep Purchase | PURCHASE OF SECURITY DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 100,000.00 | (100,000.00) | ||
| 07/22/2015 07/08/2015 | Currency Exchange | PURCHASE FOREIGN EXCHANGE SPOT EURO CURRENCY THROUGH: DEUTSCHE BANK - LONDON BUY: EUR 89,928.06 SELL: USD 100,000.00 PRICE: 1.11200 | (100,000.00) | (100,000.00) | ||
| 07/08/2015 07/08/2015 | Regular Sweep Sale | SALE OF SECURITY DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | (100,000.00) | 100,000.00 | ||
| 07/23/2015 07/23/2015 | Cash Receipt | RECEIPT OF FUNDS | 100,000.00 | 100,000.00 | ||
| 07/23/2015 07/23/2015 | Regular Sweep Purchase | PURCHASE OF SECURITY DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 100,000.00 | (100,000.00) | ||
| 07/23/2015 07/24/2015 | Currency Exchange | PURCHASE FOREIGN EXCHANGE SPOT EURO CURRENCY THROUGH: DEUTSCHE BANK - LONDON BUY: EUR 90,892.56 SELL: USD 100,000.00 PRICE: 1.10020 | (100,000.00) | (100,000.00) | ||
| 07/24/2015 07/24/2015 | Regular Sweep Sale | SALE OF SECURITY DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | (100,000.00) | 100,000.00 | ||
| 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) | ||||||
| 07/02/2015 07/08/2015 | Currency Exchange | PURCHASE FOREIGN EXCHANGE SPOT EURO CURRENCY THROUGH DELITSCHE BANK - LONDON BUY EUR: 89,928.00 SELL EUR: 100,000.00 PRICE: 1.11200 | 89,928.00 | 89,928.00 100,000.00 | FX | |
| 07/03/2015 07/03/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO SOCIETE GENERALE SSB | (14,875.00) | (14,875.00) (16,521.00) | 116.55 FX | |
| 07/03/2015 07/03/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO ROYAL BANK SSB REF# | (11,000.00) | (11,000.00) (12,217.70) | 48.27 FX | |
| 07/03/2015 07/03/2015 | Interest | NEGATIVE ILE CASH INTEREST FX RATE: 0.9003 | (8.54) | (6.54) (7.28) | ||
| 07/08/2015 07/08/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS REVERSED ENTRY POSTED ON 07/03/2015 FX RATE: 0.9003 | (11,000.00) | 11,000.00 12,177.54 | ||
| 07/10/2015 07/10/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO ADAM & COMPANY PLC SSB REF# SCMS150709042955 IBAN GB384ADQ8913813308619 REF: INV# FEA 3758 SWIFT REF# 15070908854 FX RATE: 8.8973 | (11,000.00) | (11,000.00) (12,298.94) | 33.17 FX | |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | 680519 |
| Base Currency: | USD |
| 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) | ||||||
| 07/14/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS | (743.00) | (743.00) | (8.23)FX | |
| 07/14/2015 | FUND TRANS TO BANCA CARIPE SPA SSB | (817.56) | ||||
| 07/15/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS | (3,300.00) | (3,300.00) | (53.41) FX |
|---|---|---|---|---|---|
| 07/15/2015 | FUND TRANS TO BNP PARIBAS SSB REF# SCMS1507140B2032 IBAN: 8E58 001 408700179 REF: INV 1515 & 1520 (MAY & JUNE 2015) SWIFT REF# 1507149ATJ1 | (3,814.32) | |||
| 07/21/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS | (2,481.54) | (2,481.54) | (43.78) FX |
| 07/21/2015 | FUNDS TRANS TO CREDIT LYONNAIS SSB REF# SCMS150720120807 IBAN: FR2330002004890000060289Q70 SORT CODE: 30002 RIB CODE: 0009117 CODE GUCHET: 00489 KEY CODE: 705SWIFT REF# 1507209A | (2,692.06) | |||
| 07/22/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS | (50,000.00) | (50,000.00) | (991.83) FX |
| 07/22/2015 | FUNDS TRANS TO BNP PARIBAS SSB REF# SCMS150721115242 IBAN: FR7830004029330000006235160 SWIFT REF# 1507219ACG8 | (54,580.03) | |||
| 07/23/2015 | Currency Exchange | PURCHASE FOREIGN EXCHANGE SPOT | 90,892.56 | 90,892.56 | |
| 07/24/2015 | EURO CURRENCY THROUGH DEUTSCH BANK - LONDON BUY: EUR 90,892.56 SELL: USD 100,000.00 PRICE: 1.10020 | 100,000.00 |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | 680519 |
| Base Currency: | USD |
| 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) | ||||||
| 07/24/2015 07/24/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF#SCMS15072313729 (IBAN FR78300030400002028174090 REFERENCE: INV #5 MR ESTEIN USA SWIFT REF# 15072404186 FX RATE: 0.9110 | (38,600.00) | (38,600.00) (40,177.66) | (188.00) FX | |
| 07/27/2015 07/27/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF#SCMS150724134939 (IBAN FR7830003037150005054072133 SWIFT REF# 150724BAF5K FX RATE: 0.9013 | (2,000.00) | (2,000.00) (2,219.00) | 13.23 FX | |
| 07/28/2015 07/28/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO ING BANQUE ISCHAERBEEN-CRAZAL SSB REF#SCMS150727158212 (IBAN BE4310039004901 REFERENCE: QUOTE 2015M1228 ST QUEN - NY SWIFT REF# 15072803823 FX RATE: 0.9042 | (2,201.00) | (2,201.00) (2,434.20) | 6.75 FX | |
| 07/29/2015 07/29/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS150728150728 (IBAN FR943002007300000050523J9 REFERENCE: #5 LAMPS SWIFT REF# 1507289APSU FX RATE: 0.9105 | (2,000.00) | (2,000.00) (2,198.50) | (9.27) FX | |
| 07/31/2015 07/31/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS150730178789 (IBAN FR943002007300000050523J9 REFERENCE: FACTURE #7, 2 LAMPS FX RATE: 0.9105 | (1,100.00) | (1,100.00) (1,208.08) | (5.10) FX | |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | 680519 |
| Base Currency: | USD |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | 680519 |
| Base Currency: | USD |
| 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 | 23,199.73 | 23,451.84 | 100.00% |
| Total | 23,199.73 | 23,451.84 | 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 June 1,2015 | 40,835.81 | 198,993.53 |
| Addition/Withdrawal | ||
| Cash Disbursement | (18,056.14) | |
| Net Addition/Withdrawal | (18,056.14) | (161,883.56) |
| Income | ||
| Interest | (8.52) | |
| Net Income | (8.52) | (66.73) |
| Realized Currency Gain/Loss | 258.89 | (25,142.81) |
| Change in Unrealized Currency Gain/Loss | 421.80 | 11,551.41 |
| Closing Balance as of June 30,2015 | 23,451.84 | 23,451.84 |
| 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 | 23,451.16 | 0.00 | 0.00 | 0.00 | 23,451.16 | 100.00% |
| United States/Canada | 0.68 | 0.00 | 0.00 | 0.00 | 0.68 | 0.00% |
| Total | 23,451.84 | 0.00 | 0.00 | 0.00 | 23,451.84 | 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) | 0.68 | 0.00 | 0.00 | 0.00 | 0.00 | 0.68 | 0.00% |
| Euro(EUR) | 23,451.16 | 0.00 | 0.00 | 0.00 | 0.00 | 23,451.16 | 100.00% |
| Total | 23,451.84 | 0.00 | 0.00 | 0.00 | 0.00 | 23,451.84 | 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 | ||||||||||
| Cash | |||||||||||
| 21,035.27 | EURO | 100.00% | EUR 1.000 | USD 1.115 EUR 1.000 | 23,199.05 | 23,451.18 | |||||
| Total Cash | 100.00% | 23,199.05 | 23,451.18 | ||||||||
| Cash Management United States | |||||||||||
| 0.68 | DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 0.00% | USD 1.000 | 1.000 | 0.68 | 0.68 | |||||
| Total United States | 0.00% | 0.68 | 0.68 | ||||||||
| Total Cash Management | 0.00% | 0.68 | 0.68 | ||||||||
| Total Cash and Cash Equivalents | 100.00% | 23,199.73 | 23,451.84 | ||||||||
| Total Accrued Income | |||||||||||
| Total Cash and Cash Equivalents including Accrued Income | 23,451.84 | ||||||||||
| US Dollar (USD) | ||
|---|---|---|
| Amount | Amount Year to Date | |
| Transaction Category | ||
| Opening Balance as of June 1, 2015 | ||
| Cash Management | 0.68 | 0.22 |
| Cash | 40,835.13 | 198,993.31 |
| Addition/Withdrawal | ||
| Cash Disbursement | (18,056.14) | (411,893.58) |
| Cash Receipt | 0.00 | 250,000.00 |
| Not Addition/Withdrawal | (18,056.14) | (161,883.56) |
| Investment Income | ||
| Dividend | 0.00 | 0.46 |
| Interest | (8.52) | (17.15) |
| Not Investment Income | (8.52) | (66.73) |
| Realized FX Gain/Loss on Cash | 258.89 | (25,142.81) |
| Unrealized FX Gain/Loss on Cash | 421.80 | 11,551.41 |
| Closing Balance as of June 30, 2015 | ||
| Cash Management | 0.68 | 0.68 |
| Cash | 23,451.16 | 23,451.16 |
| Euro (EUR) | US Dollar (USD) | US Dollar (USD) | Grand Total in Base CCY (USD) | |
|---|---|---|---|---|
| Transaction Category | ||||
| Opening Balance as of June 1, 2015* | 37,180.30 | 40,835.13 | 0.68 | 40,835.81 |
| Addition/Withdrawal | (16,137.54) | (18,056.14) | (18,056.14) | |
| Investment Income | (7.49) | (8.52) | (8.52) | |
| Investment Activity | ||||
| Capital Gains Distribution | ||||
| Currency Exchange | ||||
| Realized FX Gain/Loss on Cash | 258.89 | 258.89 | ||
| Unrealized FX Gain/Loss on Cash | 421.80 | 421.80 | ||
| Closing Balance as of June 30, 2015 | 21,035.27 | 23,451.16 | 0.68 | 23,451.84 |
| 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) | ||||||
| 09/05/2015 09/05/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO CREDIT INDUSTRIEL ET COMMERCIAL PAR SSB REF# SCMS15030604842648 (IBAN: FRR393006108020010078950111 REF# WRTR#181C1 MONNEEU JEFFREY EPSTEIN COLLECTOR OF PIASA LOT FX RATE: 0.8958 | (1,176.00) | (1,176.00) (1,306.96) | 9.98 FX | |
| 09/18/2015 09/18/2015 | Interest | NEGATIVE ICE CASH INTEREST FX RATE: 0.8792 | (7.49) | (7.49) (8.52) | 0.28 FX | |
| 09/19/2015 09/19/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO SOCIETE GENERALE SSB REF# SCMS1503581817050 (IBAN: FRR393002037150020548721133 SWIFT REF#1500989795 FX RATE: 0.8816 | (2,500.00) | (2,500.00) (2,835.88) | 78.72 FX | |
| 09/23/2015 09/23/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO CREDIT LYONNAIS SSB REF# SCMS1505222945895 (IBAN: PRR33002034896005002870 SORT CODE: 20207198 CODE: 2009811 F CODE GUCHET100489 KEY CODE: 705SWIFT REF#150523043 FX RATE: 0.8957 | (2,461.54) | (2,461.54) (2,748.31) | 33.57 FX | |
| 00/23/2015 00/23/2015 | Cash Disbursement | DISBURSEMENT OF FUNDS FUND TRANS TO BANCA DEL FUCIND SSB REF# SCMS150529511118 (IBAN: FRZ20207192071000000027914 SWIFT REF#15052306788 FX RATE: 0.8957 | (10,000.00) | (10,000.00) (11,165.02) | 136.36 FX | |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |