Deutsche Asset & Wealth Management # Contacts As of April 30, 2016 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 | 61,313.77 | 63,057.76 | 100.00% |
| Total | 61,313.77 | 63,057.76 | 100.00% |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |
| Current Period | |
|---|---|
| Estimated Annual Income | 0.05 |
| Total | 0.05 |
| Market Value Reconciliation in USD | Current Period | Year to Date |
|---|---|---|
| Opening Balance as of April 1, 2016 | 85,572.30 | 112,041.56 |
| Addition/Withdrawal | ||
| Cash Disbursement | (22,790.99) | |
| Net Addition/Withdrawal | (22,790.99) | (51,471.51) |
| Income | ||
| Dividend | 11.80 | |
| Interest | (23.10) | |
| Change in Accrued Income | (11.80) | |
| Net Income | (23.10) | (89.71) |
| Realized Currency Gain/Loss | 399.63 | 2,506.50 |
| Change in Unrealized Currency Gain/Loss | (100.08) | 70.92 |
| Closing Balance as of April 30, 2016 | 63,057.76 | 63,057.76 |
| 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 | 63,041.35 | 0.00 | 0.00 | 0.00 | 63,041.35 | 99.97% |
| United States/Canada | 16.41 | 0.00 | 0.00 | 0.00 | 16.41 | 0.03% |
| Total | 63,057.76 | 0.00 | 0.00 | 0.00 | 63,057.76 | 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) | 16.41 | 0.00 | 0.00 | 0.00 | 0.00 | 16.41 | 0.03% |
| Euro(EUR) | 63,041.35 | 0.00 | 0.00 | 0.00 | 0.00 | 63,041.35 | 99.97% |
| Total | 63,057.76 | 0.00 | 0.00 | 0.00 | 0.00 | 63,057.76 | 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 % | ||
|---|---|---|---|---|---|---|---|---|---|---|---|
| Cash | 55,055.52 | EURO | 99.97% | EUR 1.000 | USD 1.145 EUR 1.000 | 61,297.38 | 63,041.35 | ||||
| Total Cash | 99.97% | 61,297.36 | 63,041.35 | ||||||||
| 16.41 DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 0.03% | USD 1.000 | 1.000 | 16.41 | 16.41 | 0.30% |
| Total United States | 0.03% | 16.41 | 16.41 | 0.30% | ||
| Total Cash Management | 0.03% | 16.41 | 16.41 | |||
| Total Cash and Cash Equivalents | 100.00% | 61,313.77 | 63,057.76 |
| US Dollar (USD) | ||
|---|---|---|
| Amount | Amount Year to Date | |
| Transaction Category | ||
| Opening Balance as of April 1, 2016 | ||
| Cash Management | 4.61 | 2.33 |
| Cash | 85,555.89 | 112,039.23 |
| Addition/Withdrawal | ||
| Cash Disbursement | (22,790.99) | (831,471.51) |
| Cash Receipt | 0.00 | 780,000.00 |
| Not Addition/Withdrawal | (22,790.99) | (51,471.51) |
| Investment Income | ||
| Dividend | 11.80 | 14.08 |
| Interest | (23.10) | (103.75) |
| Not Investment Income | (11.30) | (89.71) |
| Realized FX Gain/Loss on Cash | 399.63 | 2,508.50 |
| Unrealized FX Gain/Loss on Cash | (100.08) | 70.92 |
| Closing Balance as of April 30, 2016 | ||
| Cash Management | 16.41 | 16.41 |
| Cash | 63,041.35 | 63,041.35 |
| Euro (EUR) | US Dollar (USD) | US Dollar (USD) | Grand Total in Base CCY (USD) | |
|---|---|---|---|---|
| Transaction Category | ||||
| Opening Balance as of April 1, 2016* | 75,187.54 | 85,555.89 | 4.61 | 85,580.50 |
| Addition/Withdrawal | (20,111.54) | (22,790.99) | (22,790.99) | |
| Investment Income | (20.48) | (23.10) | 11.80 | (11.30) |
| Investment Activity | ||||
| Capital Gains Distribution | ||||
| Currency Exchange | ||||
| Realized FX Gain/Loss on Cash | 399.63 | 399.63 | ||
| Unrealized FX Gain/Loss on Cash | (100.08) | (100.08) | ||
| Closing Balance as of April 30, 2016 | 55,055.52 | 63,041.35 | 16.41 | 63,057.76 |
| 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) | ||||||
| 04/01/2018 04/01/2016 | Dividend | CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 11.80 | |||
| 04/01/2018 04/01/2016 | Regular Sweep Purchase | PURCHASE OF SECURITY DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES | 11.80 | (11.80) | ||
| Transactions for Euro (EUR) | ||||||
| 04/05/2018 04/05/2016 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF# SCMS18040484449 (IBAN FR783002032715000504827133 SWIFT REF# 18040509963 FX RATE: 0.8792 | (2,000.00) | (2,000.00) (2,277.40) | 50.65 FX | |
| 04/05/2018 04/05/2016 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO SEB BANK SSB REF# SCMS18040484449 (IBAN LT117044000903842361 SWIFT REF# 18040509965 FX RATE: 0.8792 | (5,000.00) | (5,000.00) (5,693.50) | 126.63 FX | |
| 04/07/2016 04/07/2016 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO BNP PARIBAS SSB REF# SCMS180409847999 (IBAN FR783002040870000508743949 SWIFT REF# 18040988CK1 FX RATE: 0.8794 | (4,000.00) | (4,000.00) (4,548.80) | 95.31 FX | |
| 04/08/2016 04/08/2016 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO BNP PARIBAS SSB REF# SCMS180407843997 (IBAN BE58001408700179 REF: INV 1610 (MARCH 2016) SWIFT REF# 18040788324 FX RATE: 0.8772 | (1,650.00) | (1,650.00) (1,881.08) | 44.01 FX | |
| 04/13/2016 04/13/2016 | Interest | NEGATIVE IDLE CASH INTEREST FX RATE: 0.8895 | (20.48) | (20.48) (23.10) | 0.30 FX | |
| 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) | ||||||
| 04/22/2018 04/22/2018 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF# SCMS180421748490 (IBAN: FR7830003032900005054038502 SWIFT REF# 18042204253 FX RATE: 0.8910 | (5,000.00) | (5,000.00) (5,611.75) | 44.88 FX | |
| 04/26/2018 04/26/2018 | Cash Disbursement | DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF# SCMS180425788002 (IBAN: FR23300200490000506289Q70 SORT CODE: 30002 RIB CODE: 0009117CODE GUCHET: 00449 KEY CODE: 20 SWIFT REF# 18042598 FX RATE: 0.8859 | (2,461.54) | (2,461.54) (2,778.48) | 37.85 FX | |
| Account Name: | JEFFREY EPSTEIN |
| Account Number: | |
| Base Currency: | USD |