JEFFREY EPSTEIN TRANSACTION STATEMENT FOR US DOLLAR FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/10/14OPENING BALANCE0.000.00
04/21/1404/21/14138,050SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-138,050.00-138,050.00
04/21/1404/22/14-138,050PURCHASE FOREIGN EXCHANGE SLOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 100,000.00 SELL USD: 138,050.00 PRICE: 1.38050-138,050.00-138,050.00
04/21/1404/21/14138,050RECEIPT OF FUNDS138,050.00138,050.00
04/22/1404/22/14138,050SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES138,050.00138,050.00
05/02/1405/02/140.11SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.11-0.11
05/02/1405/02/14CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.110.110.11INC
05/23/1405/23/14136,460SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-136,460.00-136,460.00
05/23/1405/27/14-136,460PURCHASE FOREIGN EXCHANGE SLOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 100,000.00 SELL USD: 136,460.00 PRICE: 1.36460-136,460.00-136,460.00
05/23/1405/23/14136,460RECEIPT OF FUNDS136,460.00136,460.00
05/27/1405/27/14136,460SWEEF SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES136,460.00136,460.00
06/03/1406/03/140.11SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.11-0.11
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001554 DB-SDNY-0000594 EFTA_00019464 EFTA00169211 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR US DOLLAR FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.1 PAGE 2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
06/03/1406/03/14CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.110.110.11INC
03/30/1503/30/15100,000SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-100,000.00-100,000.00
03/30/1503/31/15-100,000PURCHASE POREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 92,336.10
SELL USD: 100,000.00
PRICE: 1.08300
-100,000.00-100,000.00
03/30/1503/30/15100,000AUDITION TO PRINCIPAL FUNDS RECEIVED FROM DBTCO AMERICAS NYC100,000.00100,000.00
03/31/1503/31/15100,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
100,000.00100,000.00
04/01/1504/01/150.08SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-0.08-0.08
04/01/1504/01/15CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.080.080.08INC
04/16/1504/16/15100,000SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-100,000.00-100,000.00
04/16/1504/17/15-100,000PURCHASE POREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 92,738.57
SELL USD: 100,000.00
PRICE: 1.07830
-100,000.00-100,000.00
04/16/1504/16/15100,000RECEIPT OF FUNDS100,000.00100,000.00
04/17/1504/17/15100,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
100,000.00100,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001555 DB-SDNY-0000595 EFTA_00019465 EFTA00169212 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.1 PAGE 3
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/28/1504/28/1550,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-50,000.00-50,000.00
04/28/1504/29/15-50,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK = LONDON BUY EUR: 45,578.85 SELL USD: 50,000.00 PRICE: 1.09700-50,000.00-50,000.00
04/28/1504/28/1550,000RECEIPT OF FUNDS50,000.0050,000.00
04/29/1504/29/1550,000SWEEF SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES50,000.0050,000.00
05/04/1505/04/150.38SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.38-0.38
05/04/1505/04/15CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.380.380.38INC
07/02/1507/02/15100,000SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-100,000.00-100,000.00
07/02/1507/06/15-100,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK = LONDON BUY EUR: 89,928.06 SELL USD: 100,000.00 PRICE: 1.11200-100,000.00-100,000.00
07/02/1507/02/15100,000RECEIPT OF FUNDS100,000.00100,000.00
07/06/1507/06/15100,000SWEEF SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES100,000.00100,000.00
07/23/1507/23/15100,000SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-100,000.00-100,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001556 DB-SDNY-0000596 EFTA_00019466 EFTA00169213 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 4 ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/23/1507/24/15-100,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK = LONDON
BUY EUR: 90,892.56
SELL USD: 100,000.00
PRICE: 1.10020
-100,000.00-100,000.00
07/23/1507/23/15100,000RECEIPT OF FUNDS100,000.00100,000.00
07/24/1507/24/15100,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
100,000.00100,000.00
08/03/1508/03/150.44SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-0.44-0.44
08/03/1508/03/15CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.440.440.44IMC
11/03/1511/03/15100,000SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-100,000.00-100,000.00
11/03/1511/04/15-100,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK = LONDON
BUY EUR: 91,232.55
SELL USD: 100,000.00
PRICE: 1.09610
-100,000.00-100,000.00
11/03/1511/03/15100,000RECEIPT OF FUNDS100,000.00100,000.00
11/04/1511/04/15100,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
100,000.00100,000.00
11/24/1511/24/15500,000SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-500,000.00-500,000.00
11/24/1511/25/15-500,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK = LONDON
BUY EUR: 450,007.15
SELL USD: 500,000.00
PRICE: 1.06590
-500,000.00-500,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001557 DB-SDNY-0000597 EFTA_00019467 EFTA00169214 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 5 ACCOUNT NUMBER: 680519.1
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
11/24/1511/24/15500,000RECEIPT OF FUNDS500,000.00500,000.00
11/25/1511/25/15500,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES500,000.00500,000.00
12/01/1512/01/151.21SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-1.21-1.21
12/01/1512/01/15CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES1.211.211.21INC
01/08/1601/08/16380,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-380,000.00-380,000.00
01/08/1601/11/16-380,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 486,400.11 SELL USD: 800,000.00 PRICE: 1.09070-380,000.00-380,000.00
01/08/1601/08/16380,000RECEIPT OF FUNDS380,000.00380,000.00
01/11/1601/11/16380,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES380,000.00380,000.00
02/01/1602/01/162.28SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-2.28-2.28
02/01/1602/01/16CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES2.282.282.28INC
03/23/1603/23/16400,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-400,000.00-400,000.00
03/23/1603/24/16-400,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 357,442.85 SELL USD: 400,000.00 PRICE: 1.11906-400,000.00-400,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001558 DB-SDNY-0000598 EFTA_00019468 EFTA00169215 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/23/1603/23/16400,000RECEIPT OF FUNDS400,000.00400,000.00
03/24/1603/24/16400,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES400,000.00400,000.00
04/01/1604/01/1611.8SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-11.80-11.80
04/01/1604/01/16CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES11.8011.8011.80INC
07/19/1607/19/16100,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-100,000.00-100,000.00
07/19/1607/19/16100,000RECEIPT OF FUNDS100,000.00100,000.00
07/20/1607/21/16-100,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 90,778.86 SELL USD: 100,000.00 PRICE: 1.10158-100,000.00-100,000.00
07/21/1607/21/16100,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES100,000.00100,000.00
08/01/1608/01/161.6SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-1.60-1.60
08/01/1608/01/16CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES1.601.601.60INC
01/03/1701/03/17105,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-105,000.00-105,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001559 DB-SDNY-0000599 EFTA_00019469 EFTA00169216 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 7 ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/03/1701/04/17-105,000PURCHASE FOREIGN EXCHANGE STOCK THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 100,617.21 SELL USD: 105,000.00 PRICE: 1.04356-105,000.00-105,000.00
01/03/1701/03/17105,000REDEIPT OF FUNDS105,000.00105,000.00
01/04/1701/04/17105,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES105,000.00105,000.00
02/01/1702/01/171.32SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-1.32-1.32
02/01/1702/01/17CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES1.321.321.32INC
03/03/1703/03/17430,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-430,000.00-430,000.00
03/03/1703/06/17-430,000PURCHASE FOREIGN EXCHANGE STOCK THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 404,767.98 SELL USD: 430,000.00 PRICE: 1.06234-430,000.00-430,000.00
03/03/1703/03/17430,000REDEIPT OF FUNDS430,000.00430,000.00
03/06/1703/06/17430,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES430,000.00430,000.00
04/03/1704/03/175.82SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-5.82-5.82
04/03/1704/03/17CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES5.825.825.82INC
05/31/1705/31/17400,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-400,000.00-400,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001560 DB-SDNY-0000600 EFTA_00019470 EFTA00169217 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 8 ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USE
05/31/1706/01/17-400,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 355,773.76
SELL USD: 400,000.00
PRICE: 1.12431
-400,000.00-400,000.00
05/31/1705/31/17400,000RECEIPT OF FUNDS400,000.00400,000.00
06/01/1706/01/17400,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
400,000.00400,000.00
07/03/1707/03/177.99SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-7.99-7.99
07/03/1707/03/17CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
7.997.997.99INC
07/07/1707/07/17650,000SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-650,000.00-650,000.00
07/07/1707/10/17-650,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 569,934.47
SELL USD: 650,000.00
PRICE: 1.14048
-650,000.00-650,000.00
07/07/1707/07/17650,000RECEIPT OF FUNDS650,000.00650,000.00
07/10/1707/10/17650,000SWEEP SALE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
650,000.00650,000.00
08/01/1708/01/1715.8SWEEP PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-15.80-15.80
08/01/1708/01/17CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
15.8015.8015.80INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001561 DB-SDNY-0000601 EFTA_00019471 EFTA00169218 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.1
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/25/1709/25/17100,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-100,000.00-100,000.00
09/25/1709/26/17-100,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 84,334.45 SELL USD: 100,000.00 PRICE: 1.18576-100,000.00-100,000.00
09/25/1709/25/17100,000RECEIPT OF FUNDS100,000.00100,000.00
09/26/1709/26/17100,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES100,000.00100,000.00
10/02/1710/02/172.54SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-2.54-2.54
10/02/1710/02/17CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES2.542.542.54INC
10/05/1710/05/17200,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-200,000.00-200,000.00
10/05/1710/06/17-200,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK - LONDON BUY EUR: 170,708.57 SELL USD: 200,000.00 PRICE: 1.17097-200,000.00-200,000.00
10/05/1710/05/17200,000RECEIPT OF FUNDS200,000.00200,000.00
10/06/1710/06/17200,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES200,000.00200,000.00
11/03/1711/03/1720.79SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-20.79-20.79
11/03/1711/03/17CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES20.7920.7920.79INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001562 DB-SDNY-0000602 EFTA_00019472 EFTA00169219 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 10 ACCOUNT NUMBER: 680519.1
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/01/1712/01/170.03 SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.03-0.03
12/01/1712/01/17CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.030.030.03INC
01/05/1801/05/180.05 SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.05-0.05
01/05/1801/05/1872.3 CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.050.050.05INC
02/07/1802/07/180.04 SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04
02/07/1802/07/1872.35 CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
02/08/1802/08/1872.35 CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04-0.04INC
02/08/1802/08/1872.35 CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
03/01/1803/01/180.04 SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04
03/01/1803/01/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
04/02/1804/02/180.05 SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.05-0.05
04/02/1804/02/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.050.050.05INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001563 DB-SDNY-0000603 EFTA_00019473 EFTA00169220 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.1 PAGE 11
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
05/04/1805/04/180.04SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04
05/04/1805/04/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
06/01/1806/01/180.04SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04
06/01/1806/01/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
06/12/1806/12/18250,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-250,000.00-250,000.00
06/12/1806/13/18-250,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK FX BUY EUR: 212,002.93 SELL USD: 250,000.00 PRICE: 1.17923-250,000.00-250,000.00
06/12/1806/12/18250,000RECEIPT OF FUNDS250,000.00250,000.00
06/13/1806/13/18250,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES250,000.00250,000.00
07/02/1807/02/1811.73SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-11.73-11.73
07/02/1807/02/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES11.7311.7311.73INC
08/07/1808/07/180.05SWEEF PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.05-0.05
08/07/1808/07/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.050.050.05INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001564 DB-SDNY-0000604 EFTA_00019474 EFTA00169221 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 12 ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/04/1809/04/180.04SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.04-0.04
09/04/1809/04/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.040.040.04INC
09/27/1809/27/18200,000SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-200,000.00-200,000.00
09/27/1809/28/18-200,000PURCHASE FOREIGN EXCHANGE SPOT THROUGH: DEUTSCHE BANK = LONDON BUT EUR: 571.241.05 SELL USD: 200,000.00 PRICE: 1.16794.-200,000.00-200,000.00
09/27/1809/27/18200,000RECEIPT OF FUNDS200,000.00200,000.00
09/28/1809/28/18200,000SWEEP SALE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES200,000.00200,000.00
10/04/1810/04/1833.12SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-33.12-33.12
10/04/1810/04/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES33.1233.1233.12INC
11/02/1811/02/180.23SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.23-0.23
11/02/1811/02/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.230.230.23INC
12/05/1812/05/180.25SWEEP PURCHASE DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES-0.25-0.25
12/05/1812/05/18CASH DIVIDEND DEUTSCHE GOVERNMENT CASH INSTITUTIONAL SHARES0.250.250.25INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001565 DB-SDNY-0000605 EFTA_00019475 EFTA00169222 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR US DOLLAR | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 13 ACCOUNT NUMBER: 680519.1
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/07/1901/07/190.25 SWEEF PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-0.25-0.25
01/07/1901/07/19117.98 CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.250.250.25INC
02/06/1902/06/190.27 SWEEF PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-0.27-0.27
02/06/1902/06/19118.23 CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.270.270.27INC
03/05/1903/05/190.24 SWEEF PURCHASE
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
-0.24-0.24
03/05/1903/05/19CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.240.240.24INC
03/13/1903/14/19-18.93 PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: STATE ST BK TR CO
BUY EUR: 16.73
SELL USD: 18.93
PRICE: 1.13150
-18.93-18.93
03/14/1903/14/19118.74 SALE OF SECURITY
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
PRICE: USD 1.00
118.74118.74
03/15/1903/15/1999.93 DEPOSIT ACCOUNT
PAID TO:
35269691 - JEFFREY EPSTEIN
-99.93-99.93
03/15/1903/15/19CASH DIVIDEND
DEUTSCHE GOVERNMENT CASH
INSTITUTIONAL SHARES
0.120.120.12INC
04/18/1904/18/194RECEIPT OF FUNDS4.004.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001566 DB-SDNY-0000606 EFTA_00019476 EFTA00169223 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR US DOLLAR FOR PERIOD [04/10/2014 THROUGH 07/12/2019] # JEFFREY EPSTEIN ACCOUNT NUMBER: 680519.1 PAGE 14
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN USDFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/19/1904/19/19-3.55PURCHASE FOREIGN EXCHANGE SPOT THROUGH: STATE ST BK TR CO BUY EUR: 3.16 SELL USD: 3.55 PRICE: 1.12342-3.55-3.55
05/14/1905/14/190.45DEPOSIT ACCOUNT RESIDUAL BALANCE PAID TO: 35269691 - JEFFREY EPSTEIN-0.45-0.45
07/12/19CLOSING BALANCE0.000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001567 DB-SDNY-0000607 EFTA_00019477 EFTA00169224 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 15 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/10/14OPENING BALANCE0.000.00
04/23/1404/23/142,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCM8140422464129
SWIFT REF#1404229A49T
PAID TO:
JEFFREY EPSTEIN
-2,000.000.7238-2,763.30
05/02/1405/02/1410,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDDELSBANKEN
SSB REF#SCM8140430501178
SWIFT REF#14050158886
PAID TO:
JEFFREY EPSTEIN
-10,000.000.7209-13,872.49
05/08/1405/08/140.27IDLE CASH INTEREST0.270.72210.370.37INC
05/09/1405/09/142,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCM8140508563105
SWIFT REF#1405089A097
PAID TO:
JEFFREY EPSTEIN
-2,000.000.7269-2,751.30
05/09/1405/09/142,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCM8140508563104
SWIFT REF#1405089A096
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7269-3,439.13
05/22/1405/22/1460,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCM8140525628732
SWIFT REF#14052205514
PAID TO:
JEFFREY EPSTEIN
-60,000.000.7323-81,935.98
05/28/1405/28/142,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCM814052765925
SWIFT REF#14052799WSP
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7356-3,346.34
06/06/1406/06/1413.26IDLE CASH INTEREST13.260.732918.0918.09INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001568 DB-SDNY-0000608 EFTA_00019478 EFTA00169225 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 16 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
06/26/1406/26/142,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS140625840628
SWIFT REF#14062604526
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7348-3,350.03
07/02/1407/02/141,567.5DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSB REF#SCMS14070187073
SWIFT REF#14070251084
PAID TO:
JEFFREY EPSTEIN
-1,567.500.7324-2,140.34
07/03/1407/03/149,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS1402863376
SWIFT REF#14070306852
PAID TO:
JEFFREY EPSTEIN
-9,000.000.7349-12,246.75
07/11/1407/11/140.51IDLE CASH INTEREST0.510.73480.690.69INC
07/15/1407/15/141,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETTE
GENERALE
SSB REF#SCMS140714954426
SWIFT REF#14071506006
PAID TO:
JEFFREY EPSTEIN
-1,000.000.7371-1,356.70
07/18/1407/18/1450,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS140717961260
SWIFT REF#1407179AJ6H
PAID TO:
JEFFREY EPSTEIN
-50,000.000.7394-67,622.49
07/23/1407/23/142,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS140722990341
SWIFT REF#1407229AQPD
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7428-3,313.85
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001569 DB-SDNY-0000609 EFTA_00019479 EFTA00169226 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 17 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/23/1407/23/142,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCMS140722993865
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7428-3,365.63
07/23/1407/23/142,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKEN
SSB REF#SCMS14072299338
SWIFT REF#1407229AQWV
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7428-3,365.63
07/29/1407/29/142,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS140728027007
SWIFT REF#1407289AOWS
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7457-3,352.37
08/20/1408/20/142,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS140819153688
SWIFT REF#1408199A3JA
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7541-3,264.37
08/27/1408/27/142,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS140826202111
SWIFT REF#14082703276
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7579-3,298.75
09/05/1409/05/145,000DISBURSEMENT OF FUNDS
FUND TRANS TO HANDELSBANKEN
SSB REF# SCMS140904229576
SWIFT REF#14090504114
PAID TO:
JEFFREY EPSTEIN
-5,000.000.7721-6,475.75
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001570 DB-SDNY-0000610 EFTA_00019480 EFTA00169227 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 16 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/08/1409/08/149,675.89DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF#SCMS140905238608
SWIFT REF#1409059AW0T
PAID TO:
JEFFREY EPSTEIN
-9,675.890.7752-12,481.41
09/18/1409/18/142,500DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF#SCMS14091731901
SWIFT REF#1409179ASG8
PAID TO:
JEFFREY EPSTEIN
-2,500.000.7741-3,229.37
09/23/1409/23/142,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF#SCMS140922356424
SWIFT REF#1409229AORK
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7778-3,164.93
10/02/1410/02/140.08IDLE CASH INTEREST0.080.78960.100.10INC
10/03/1410/03/142,000DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIITE
GENERALE
SSB REF#SCMS141002416563
SWIFT REF#14100307533
PAID TO:
JEFFREY EPSTEIN
-2,000.000.7993-2,502.30
10/16/1410/16/141,876.28DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF#SCMS141015487461
SWIFT REF#1410159BH22
PAID TO:
JEFFREY EPSTEIN
-1,876.280.7810-2,402.48
10/27/1410/27/142,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF#SCMS141024541831
SWIFT REF#1410249AFSV
PAID TO:
JEFFREY EPSTEIN
-2,461.540.7871-3,127.51
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001571 DB-SDNY-0000611 EFTA_00019481 EFTA00169228 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 19
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFK RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
10/28/1410/28/14291,846.67RECEIPT OF FUNDS
FUNDS RECEIVED FROM PERSHING
RUCK FROM DEUTSCHE
SECURITIES
291,846.670.7850371,768.78
11/18/1411/18/141,650DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF# SCMS14111768619
IBAN: BE5001408700179
SWIFT REF#14111804705
PAID TO:
JEFFREY EPSTEIN
-1,650.000.7977-2,068.36
11/21/1411/21/142,000DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSB REF# SCMS141120705731
IBAN:
FR70000303715005054672133
SWIFT REF#1411206687
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8070-2,478.40
11/21/1411/21/142,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS141120712637
IBAN:
FR230002004690000060269Q70
SWIFT REF#1411209B89F
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8070-3,050.34
12/05/1412/05/141,650DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF# SCMS141204785944
IBAN: BE5001408700179
SWIFT REF#3MT141205112410
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8138-2,027.60
12/05/1412/05/1475,000DISBURSEMENT OF FUNDS
FUND TRANS TO BNF PARIBAS
SSB REF# SCMS141204785943
IBAN:
FR70000402933000006235160
SWIFT REF#1412049BFPB
PAID TO:
JEFFREY EPSTEIN
-75,000.000.8138-92,163.75
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001572 DB-SDNY-0000612 EFTA_00019482 EFTA00169229 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 20 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/10/1412/10/142,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS141209823548
IBAN:
FR230002004690000060269Q70
SWIFT REF#1412098BDBC
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8036-3,063.26
12/22/1412/22/142,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS14121985840
IBAN:
FR230002004690000060269Q70
SWIFT REF#14122205011
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8179-3,009.48
12/23/1412/23/142,500DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENEALE
SSB REF# SCMS141222903141
IBAN:
FR7630003037150005054672133
SWIFT REF#14122305385
PAID TO:
JEFFREY EPSTEIN
-2,500.000.8217-3,042.62
12/23/1412/23/1453,336.8DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC BANK
SSB REF# SCMS141222903142
IBAN:
FR7630056009170917003866868
JEFFREY EPSTEIN INVOICE
#FD00014949
SWIFT REF#14122305698
PAID TO:
JEFFREY EPSTEIN
-53,336.800.8217-64,913.55
01/12/1501/12/151,650DISBURSEMENT OF FUNDS
FUND TRANS TO BNP PARIBAS
SSB REF# SCMS150109988992
IBAN: BE58001408700179
INVOICE 1447
SWIFT REF#14011203812
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8447-1,953.35
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001573 DB-SDNY-0000613 EFTA_00019483 EFTA00169230 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 21 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/15/1501/15/1510,000DISBURSEMENT OF FUNDS
FUND TRANS TO BANCA DEL FUCINO
SSB REF# SCMS150114012565
IBAN:
IT27J0312403210000000237514
SWIFT REF#1501149B8J8
PAID TO:
JEFFREY EPSTEIN
-10,000.000.8606-11,819.50
01/26/1501/26/155,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDELSBANKEN
SSB REF#SCMS150123073137
IBAN:
SE6760000000000046708618
SWIFT REF#15012604426
PAID TO:
JEFFREY EPSTEIN
-5,000.000.8879-5,631.50
01/27/1501/27/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT LYONNAIS
SSB REF#SCMS150126089616
IBAN:
PR2330002004690000060269Q70
SWIFT REF#1501269C1TD
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8788-2,801.11
01/29/1501/29/152,600DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS150128104610
IBAN: BE58 001408700179
SWIFT REF#15012904180
PAID TO:
JEFFREY EPSTEIN
-2,600.000.8830-2,944.50
02/03/1502/03/1520NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-20.000.8708-22.97
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001574 DB-SDNY-0000614 EFTA_00019484 EFTA00169231 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 22 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
02/13/1502/13/1569,924.8DISBURSEMENT OF FUNDS
FUND TRANS TO HSRC BANK
SSB REF# SCMS15021182368
IBAN:
FR7600056009170917003866968
JEFFREY EPSTEIN INVOICE
EF000015184
SWIFT REF#15021310917
PAID TO:
JEFFREY EPSTEIN
-69,924.800.8772-79,717.72
02/19/1502/19/152,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS150218217539
IBAN:
FR233002004690000060269Q70
SWIFT REF#1502189AWFB
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8802-2,796.43
02/23/1502/23/152,000DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENEALLE
SSB REF# SCMS150220244201
IBAN:
FR7630003037150005054672133
SWIFT REF#1502209B30A
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8826-2,266.10
03/11/1503/11/152,500DISBURSEMENT OF FUNDS
FUND TRANS TO SWEDBANK
SSB REF# SCMS150310342273
IBAN: DFT1370001034027037
SWIFT REF#1503109B08K
PAID TO:
JEFFREY EPSTEIN
-2,500.000.9487-2,635.12
03/11/1503/11/151,000DISBURSEMENT OF FUNDS
FUND TRANS TO NORDEA
SSB REF# SCMS150310342274
IBAN:
EF80000000009204044748
SWIFT REF#1503109BOBT
PAID TO:
JEFFREY EPSTEIN
-1,000.000.9487-1,054.05
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001575 DB-SDNY-0000615 EFTA_00019485 EFTA00169232 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 23
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/11/1503/11/152,500DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSB REF# SCMS150310342275
IBAN:
FR7630003037150005054672133
SWIFT REF#1503109B08M
PAID TO:
JEFFREY EPSTEIN
-2,500.000.9487-2,635.12
03/13/1503/13/151,800DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS150312360026
IBAN:
FR94300020073000005623J39
SWIFT REF#1503129C5KR
PAID TO:
JEFFREY EPSTEIN
-1,800.000.9542-1,886.31
03/13/1503/13/151,900DISBURSEMENT OF FUNDS
FUND TRANS TO ENP PARIBAS
SSB REF# SCMS150310342273
IBAN:
FR7630004015270001005597877
REF # WACT 03 IN 026
SWIFT REF#1503129C5KN
PAID TO:
JEFFREY EPSTEIN
-1,900.000.9542-1,991.11
03/18/1503/18/152,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS150317370261
IBAN:
FR2330002004690000060269Q70
SWIFT REF#1503179BLTC
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9227-2,667.69
03/18/1503/18/154,950DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMS150317380677
IBAN: BE58001408700179
SWIFT REF#1503179BU00
PAID TO:
JEFFREY EPSTEIN
-4,950.000.9227-5,364.56
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001576 DB-SDNY-0000616 EFTA_00019486 EFTA00169233 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 24 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/19/1503/19/153,100DISBURSEMENT OF FUNDS
FUND TRANS TO NORDEA
SSB REF# SCMS150318392427
IBAN:
SE803000000009204044748
SWITT REF#1503189BNOL
PAID TO:
JEFFREY EPSTEIN
-3,100.000.9395-3,299.64
03/19/1503/19/151,000DISBURSEMENT OF FUNDS
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
1,000.000.93951,084.40
03/23/1503/23/153,100DISBURSEMENT OF FUNDS
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
3,100.000.91193,399.61
03/26/1503/26/1511.72NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-11.720.9187-12.76
04/01/1504/01/157,540DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC
SSB REF# SCMS150331468745
SWITT REF#150319CC2C
PAID TO:
JEFFREY EPSTEIN
-7,540.000.9292-8,114.55
04/01/1504/01/1548,488DISBURSEMENT OF FUNDS
FUND TRANS TO BANQUE NEUFLIZE
OBC
SSB REF# SCMS150331468746
IBAN:
FR7630788009000114095000159
SWITT REF#1503319CC2
PAID TO:
JEFFREY EPSTEIN
-48,488.000.9292-52,182.80
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001577 DB-SDNY-0000617 EFTA_00019487 EFTA00169234 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 25 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/09/1504/09/1520,942.56DISBURSEMENT OF FUNDS
FUND TRANS TO LGL LE CREDIT
LIVONAIE
SSB REF# SCMS150409493864
IBAN:
FR103000200688000009504W85
REF CODE CLIENT 000223 CLIENT
NAME MACHIEU
SWIFT REF#150409B8WE
PAID TO:
JEFFREY EPSTEIN
-20,942.560.9386-22,313.24
04/13/1504/13/152,000DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSB REF# SCMS150410508892
IBAN:
FR750003037150005054672133
SWIFT REF#1504109BOP7
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9452-2,115.90
04/20/1504/20/1586,895.6DISBURSEMENT OF FUNDS
FUND TRANS TO HSBC BANK
SSB REF# SCMS150417551986
IBAN:
FR7630056009170917003866868
JEFFREY EPSTEIN, SALE
REFERENCE " DESIGN ITALIA"
DATE FR SALE APRIL 12TH
20115
SWIFT REF#1504179BWDV
PAID TO:
JEFFREY EPSTEIN
-86,895.600.9314-93,299.79
04/20/1504/20/159,222.2DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT DU NORD
SSB REF# SCMS150417562968
IBAN:
FR7630076021151559370020079
REFERENCE: EPSTEIN, CLIENTE
E10470,
INVOICE DI50328 & D150328
SWIFT REF#1504179C910
PAID TO:
JEFFREY EPSTEIN
-9,222.200.9314-9,901.87
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001578 DB-SDNY-0000618 EFTA_00019488 EFTA00169235 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 26
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/23/1504/23/157.8NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHE BANK-7.800.9237-8.44
04/27/1504/27/152,461.54DISBURSEMENT OF FUNDS FUND TRANS TO CREDIT LYONNAIS SSB REF# SCMS150424599521 IBAN: PR2300020046900006029Q70 SWITT REF#1504249B8NR PAID TO: JEFFREY EPSTEIN-2,461.540.9183-2,680.49
04/30/1504/30/1550,000DISBURSEMENT OF FUNDS FUND TRANS TO BNF PARIBAS SSB REF# SCMS150429628511 IBAN: PR75000402933000006235160 SWITT REF#1504299B46U PAID TO: JEFFREY EPSTEIN-50,000.000.8906-56,142.49
04/30/1504/30/151,650DISBURSEMENT OF FUNDS FUND TRANS TO BNF PARIBAS SSB REF# SCMS150429628515 IBAN: BE58001408700179 SWITT REF#1504299B46T PAID TO: JEFFREY EPSTEIN-1,650.000.8906-1,852.70
04/30/1504/30/1511,500DISBURSEMENT OF FUNDS FUND TRANS TO BNF PARIBAS SSB REF# SCMS150429628519 IBAN: PR750004008040002501500236 SWITT REF#1504299B46V PAID TO: JEFFREY EPSTEIN-11,500.000.8906-12,912.77
05/20/1505/20/152,500DISBURSEMENT OF FUNDS FUND TRANS TO SOCIETE GENERALE SSB REF#SCMS150519748852 IBAN:PR7630003037150005054672 133 SWITT REF#1505199B0ZU PAID TO: JEFFREY EPSTEIN-2,500.000.9003-2,776.87
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001579 DB-SDNY-0000619 EFTA_00019489 EFTA00169236 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 27 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
05/20/1505/20/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS150519748860
IBAN:
FR2330002004690000060269Q70
SWIFT REF#1505199B2RT
PAID TO:
JEFFREY EFSTEIN
-2,461.540.9003-2,734.15
05/27/1505/27/1513.3NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-13.300.9172-14.50
06/05/1506/05/151,176DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT
INDUSTRIEL ET COMMERCIAL PAR
SSB REF# SCMS150604842648
IBAN:
FR7630066108020001007950111
REF# YR15#18162-1 MONSIEUR
JEFFREY
EPSTEIN, COLLECTOR OF PIASA LOTS
SWIFT REF#1506049BRFL
PAID TO:
JEFFREY EFSTEIN
-1,176.000.8998-1,306.95
06/18/1506/18/157.49NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-7.490.8792-8.52
06/19/1506/19/152,500DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE
GENERALE
SSB REF# SCMS150618917060
IBAN:
FR7630003037150005054672133
SWIFT REF#1506189795
PAID TO:
-2,500.000.8816-2,835.88
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001580 DB-SDNY-0000620 EFTA_00019490 EFTA00169237 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.2 PAGE 28
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
06/23/1506/23/152,461.54DISBURSEMENT OF FUNDS
FUND TRANS TO CREDIT LYONNAIS
SSB REF# SCMSI1506222946609
IBAN:
FR233000200469000080269070
SORT CODE: 30002 RIB CODE:
00091 IT
CODE SOCHET:00469 KEY CODE:
70
SWIFT REF#15062304301
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8957-2,748.31
06/23/1506/23/1510,000DISBURSEMENT OF FUNDS
FUND TRANS TO BANCA DEL FUCIND
SSB REF# SCMSI150622951118
IBAN:
IT22J031240321000000237514
SWIFT REF#15062306878
PAID TO:
JEFFREY EPSTEIN
-10,000.000.8957-11,165.00
07/03/1507/03/1514,875DISBURSEMENT OF FUNDS
FUND TRANS TO SOCIETE GENERALS
SSB REF# SCMSI150702007045
IBAN:
FR7630003032900008326652187
REF:
A9593 ORDER # 50233
SWIFT REF# 1507029BJCG
PAID TO:
JEFFREY EPSTEIN
-14,875.000.9003-16,521.66
07/03/1507/03/1511,000DISBURSEMENT OF FUNDS
FUND TRANS TO ROYAL BANK
SSB REF# SCMSI150702007045
IBAN:
FR7630003032900008326652187
REF:
A9593 ORDER # 50233
SWIFT REF# 1507029B9U1
PAID TO:
JEFFREY EPSTEIN
-11,000.000.9003-12,217.70
07/03/1507/03/156.54NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-6.540.9003-7.26
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001581 DB-SDNY-0000621 EFTA_00019491 EFTA00169238 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 29
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/08/1507/08/1511,000DISBURSEMENT OF FUNDS (REVERSAL) PAID TO: JEFFREY EFSTEIN11,000.000.903312,177.54
07/10/1507/10/1511,000DISBURSEMENT OF FUNDS FUNDS TRANS TO ADAM & COMPANY PLC SSB REF# SCMS150709042565 IBAN: GB36ADAG83913613308619 REF: INV# FEA 3758 SWIFT REF# 1507099B854 PAID TO: JEFFREY EFSTEIN-11,000.000.8973-12,258.94
07/14/1507/14/15743DISBURSEMENT OF FUNDS FUND TRANS TO BANCA CARIPE SPA SSB REF# SCMS150713069122 IBAN: IT51C0624577230CC0180050107 REF: REGISTRATION SUMMER FESTIVAL MASTER PAVEL BERMAN SWIFT REF# 1507139AMEW PAID TO: JEFFREY EFSTEIN-743.000.9088-817.56
07/15/1507/15/153,300DISBURSEMENT OF FUNDS FUND TRANS TO BNP PARIBAS SSB REF# SCMS150714082032 IBAN: BE58 001 408700179 REF: INV 1515 & 1520 (MAY & JUNE 2015) SWIFT REF# 1507149ATJ1 PAID TO: JEFFREY EFSTEIN-3,300.000.9130-3,614.32
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001582 DB-SDNY-0000622 EFTA_00019492 EFTA00169239 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 30 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/GLOSS ON INVESTMENT USD
07/21/1507/21/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONMAIS
SSB REF# SCMS150720120807
IBAN:PR2330002004690000060269
Q70
SORT CODE: 30002 RIB CODE :
0009117
CODE GUCHET: 00469 KEY CODE:
TO
SWIFT REF# 1507209ACOK
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9144-2,692.06
07/22/1507/22/1550,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWP PARIBAS
SSB REF# SCMS150721115242
IBAN:
PR7630004029330000006235160
SWIFT REF# 1507219AC09
PAID TO:
JEFFREY EPSTEIN
-50,000.000.9161-54,580.03
07/24/1507/24/1536,600DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS150723137729
IBAN:
PR7630003040300000205174078
REFERENCE: INV #35 MR.
EPSTEIN USA
SWIFT REF# 15072404166
PAID TO:
JEFFREY EPSTEIN
-36,600.000.9110-40,177.66
07/27/1507/27/152,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS150724134936
IBAN:
PR7630003031715000504672133
SWIFT REF# 1507249AFX
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9013-2,219.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001583 DB-SDNY-0000623 EFTA_00019493 EFTA00169240 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 31 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/28/1507/28/152,201DISBURSEMENT OF FUNDS
FUNDS TRANS TO ING BANQUE
(SCMASERREY - CHALIS)
SBR REF# SCMS150721758312
IBAN: BA43310039004901
REFERENCE: QUOTE 2015/812B ST
OUEN = NY
SWIFT REF# 15072803823
PAID TO:
JEFFREY EPSTEIN
-2,201.000.9042-2,434.20
07/29/1507/29/152,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SBR REF#SCMS150728150736
IBAN:
FR49300200730000005623J39
REFERENCE: #6, LAMP
SWIFT REF# 1507289AF3J
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9105-2,196.50
07/31/1507/31/151,100DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SBR REF#SCMS150730178769
IBAN:
FR49300200730000005623J39
REFERENCE: FACTURE #7, 2
LAMPS
SWIFT REF# 1507309ASWY
PAID TO:
JEFFREY EPSTEIN
-1,100.000.9105-1,208.08
08/03/1508/03/15650DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQ
SBR REF#SCMS150731164848
IBAN:
FR7630568199040001207230197
REF: 2015 WEALTH TAX RETURN -
JEFFREY EPSTEIN
SWIFT REF# 1507319B90P
PAID TO:
JEFFREY EPSTEIN
-650.000.9127-712.20
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001584 DB-SDNY-0000624 EFTA_00019494 EFTA00169241 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 32 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/05/1508/05/153,234DISBURSEMENT OF FUNDS
FUNDS TRANS TO INO BANQUE
SSB REF#SCMS1508042197941
IBAN: BE43310039004901
REF: INVOICE# 2015/1180 MR.
EPSTEIN
SWITT REF# 1508049B193
PAID TO:
JEFFREY EPSTEIN
-3,234.000.9171-3,526.35
08/07/1508/07/151,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REF#SCMS150806221504
IBAN: LT387300010129516294
SWITT REF# 1508069ARKH
PAID TO:
JEFFREY EPSTEIN
-1,000.000.9125-1,095.95
08/07/1508/07/15500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REF#SCMS150807221615
IBAN: LT387300010129516294
SWITT REF# 15080799TK
PAID TO:
JEFFREY EPSTEIN
-500.000.9125-547.98
08/25/1508/25/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT LPONNAIS
SSB REF#SCMS150820305419
IBAN: FR230002004690000060269Q70
SORT CODE 30002 RIB CODE :00091 17
CODE GUCHET:00469 KEY CODE :00
SWITT REF# 15082460540
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8704-2,828.19
08/26/1508/26/152,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIERE GENERALE
SSB REF# SCMS
IBAN: FR76 3000 3037 1500
0100 4672 133
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8822-2,267.10
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001585 DB-SDNY-0000625 EFTA_00019495 EFTA00169242 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/31/1508/31/1514.34NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHE BANK-14.340.8911-16.09
09/18/1509/18/1516.48NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHE BANK-16.480.8863-18.59
09/23/1509/23/152,461.54DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS150922479853 IBAN: FR230002004690000060269Q70 SORT CODE: 30002 RIB CODE: 00091 17 CODE GUCHET: 00469 KEY CODE: 70 SWIFT REF# 1509229AR50 PAID TO: JEFFREY EPSTEIN-2,461.540.8942-2,752.86
09/29/1509/29/156,000DISBURSEMENT OF FUNDS FUNDS TRANS TO HANDDELSBANKEN SSB REF#SCMS150928528320 IBAN: SE676000000000040708618 SWIFT REF# 15092904595 PAID TO: JEFFREY EPSTEIN-6,000.000.8890-6,749.10
09/29/1509/29/152,300DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALLE SSB REF#SCMS150928528319 IBAN:R7630003037150005054672 133 SWIFT REF# 15092904592 PAID TO: JEFFREY EPSTEIN-2,300.000.8890-2,587.16
10/05/1510/05/154,950DISBURSEMENT OF FUNDS FUNDS TRANS TO NHP PARIBAS IBAN:BE58001409700179 SSB REF#SCMS150028528305 SWIFT REF# 1510029BALY PAID TO: JEFFREY EPSTEIN-4,950.000.8942-5,535.84
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001586 DB-SDNY-0000626 EFTA_00019496 EFTA00169243 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 34 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENTUSD
10/13/1510/13/1515.9NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-15.900.8783-18.10
10/20/1510/20/151,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEBBANK
SSB REF#SCMS151019655736
IBAN: LT387300010129518294
SWIFT REF# 15102003553
PAID TO:
JEFFREY EPSTEIN
-1,000.000.8818-1,134.05
10/21/1510/21/155,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS151020660775
IBAN:
FR7630003032900005054038502
SWIFT REF# 15102104182
PAID TO:
JEFFREY EPSTEIN
-5,000.000.8819-5,669.75
10/26/1510/26/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS151021657561
IBAN:
FR330002004690000060269070
SORT CODE: 30002 RIB CODE
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF# 151027EUR10000
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9049-2,720.13
11/05/1511/05/1550,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS151104753617
IBAN:
FR763000402933000006235160
SWIFT REF# 151104981J1
PAID TO:
JEFFREY EPSTEIN
-50,000.000.9194-54,382.52
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001587 DB-SDNY-0000627 EFTA_00019497 EFTA00169244 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 35 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
11/13/1511/13/152,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS151112794549
IBAN:
FR7630003037150005054072133
SWIFT REF# 1511129AWMS
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9302-2,150.10
11/19/1511/19/1512.19NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-12.190.9315-13.09
11/20/1511/20/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LVONABLE
SSB REF# SCMS151119813855
IBAN:
FR230000200469000060269Q70
SORT CODE 30002
RIB CODE 0008117
CODE GOCNET 00469 KEY CODE 70
SWIFT REF# 1511203611
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9393-2,620.56
11/25/1511/25/15432,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS1511124665257
IBAN:
FR7618206002804248381300136
SWIFT REF# 1511249AQEJ
PAID TO:
JEFFREY EPSTEIN
-432,000.000.9418-458,697.57
11/27/1511/27/159.6DISBURSEMENT OF FUNDS
FUNDS TRANS TO AGENCIA DE GESTÃO DA TESOURARIA
SSB REF# SCMS151125663192
IBAN:
PT5007810100000000952424
REF HYPERION AIR INC.,
INVOIVE 2086/2015 (TXS)
SWIFT REF# 1511259A2YL
PAID TO:
JEFFREY EPSTEIN
-9.600.9439-10.17
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001588 DB-SDNY-0000628 EFTA_00019498 EFTA00169245 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 36 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/07/1512/07/154,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS151204935107
IBAN:
FR7630003032900005054038502
SWIFT REF# 1512049C4M0
PAID TO:
JEFFREY EPSTEIN
-4,000.000.9221-4,338.00
12/16/1512/16/1521.07NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCH BANK
-21.070.9162-23.00
12/22/1512/22/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS151221028210
IBAN:
FR350002004690000060269070
SORT CODE 30002 RIB CODE 0009117
CODE GUCHET 00469 KEY CODE 70
SWIFT REF# 1512219BD6C
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9131-2,695.76
12/22/1512/22/153,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS151221030330
IBAN: BE58001408700179
SWIFT REF# 15122205369
PAID TO:
JEFFREY EPSTEIN
-3,300.000.9131-3,613.99
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001589 DB-SDNY-0000629 EFTA_00019499 EFTA00169246 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 37 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/24/1512/24/152,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS1152123040776
IBAN:
FR730002004690000060269Q70
SORT CODE 30002 RIB CODE
0009117
CODE GUCHET 00469 KEY CODE
70
SWIFT REF# 1512239AGVO
PAID TO:
JEFFREY EFSTEIN
-2,461.540.9130-2,696.12
01/08/1601/08/1650,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS160107114754
IBAN:
FR7630004029330000006235160
SWIFT REF# 1601079AEK9
PAID TO:
JEFFREY EFSTEIN
-50,000.000.9157-54,602.50
01/11/1601/11/16288,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS160108134603
IBAN:
FR7618206002804248381300136
SWIFT REF# 1601089B422
PAID TO:
JEFFREY EFSTEIN
-288,000.000.9215-312,537.64
01/13/1601/13/163,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160112136528
IBAN:
FR7630003037150005054672133
SWIFT REF# 1601129B4YC
PAID TO:
JEFFREY EFSTEIN
-3,000.000.9189-3,264.75
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001590 DB-SDNY-0000630 EFTA_00019500 EFTA00169247 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 36 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOGS ON INVESTMENT USD
01/13/1601/13/163,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL FUCINE
SSB REF# SCMS160112136529
IBAN:
ITZ730312403210000000237514
SWIFT REF# 1601129B768
PAID TO:
JEFFREY EPSTEIN
-3,500.000.9189-3,808.87
01/14/1601/14/1627.98NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-27.980.9204-30.40
01/20/1601/20/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160119183136
IBAN:
EP750003040300002025174078
REFERENCE: INV 35 MR. EPSTEIN
USA
SWIFT REF# 16012007499
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9182-5,445.25
01/21/1601/21/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LXONNAIS
SSB REF# SCMS160120194133
IBAN:
EP730002004690000060269070
SORT CODE 30002
RIB CODE 00091 17
CODE GUCHET 00469 KEY CODE TO
SWIFT REF# 1601209BFXO
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9185-2,680.00
01/26/1601/26/161,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REF# SCMS16012529225
IBAN:
EP78930001021916294
SWIFT REF# 16012604242
PAID TO:
JEFFREY EPSTEIN
-1,000.000.9209-1,085.85
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001591 DB-SDNY-0000631 EFTA_00019501 EFTA00169248 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 39 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/26/1601/26/162,530DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS160125229226
IBAN: BE58001408700179
REF INV 1534 & 1535 (DEC. 2013)
SWIFT REF# 16012604240
PAID TO:
JEFFREY EPSTEIN
-2,530.000.9209-2,747.20
01/26/1601/26/162,750DISBURSEMENT OF FUNDS
FUNDS TRANS TO UNICREDIT BANK
AUSTRIA AG
SSB REF# SCMS160125229227
IBAN: AT131200050778146401
REF 010004166655
SWIFT REF# 16012604259
PAID TO:
JEFFREY EPSTEIN
-2,750.000.9209-2,986.09
01/27/1601/27/162,213DISBURSEMENT OF FUNDS
FUNDS TRANS TO ING BANQUE
(SCHAERBEEK - CHAZAL)
SSB REF# SCMS160126226876
IBAN: BE43310039004901
REFERENCE: QUOTE 16-16 MR.
EPSTEIN
SWIFT REF# 1601269BB72
PAID TO:
JEFFREY EPSTEIN
-2,213.000.9181-2,410.29
02/08/1602/08/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160205300354
IBAN: FR78300030290005054038502
SWIFT REF# 16-2/8/2016-4-1
PAID TO:
JEFFREY EPSTEIN
-5,000.000.8936-5,595.25
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001592 DB-SDNY-0000632 EFTA_00019502 EFTA00169249 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 40 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
02/25/1602/25/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS16022439353
IBAN:
FRIZ1000200469000060269Q70
SORT CODE: 30002 RIB CODE: 00091 17
CODE GUCHET:00469 KEY CODE: 70
SWIFT REF# 1602249B9BQ
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9069-2,714.22
02/26/1602/26/1624.75NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-24.750.9144-27.07
03/09/1603/09/163,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF# SCMS160308486235
IBAN: 8E59001408700179
REF: INV 1602
SWIFT REF# 1603089B5P9
PAID TO:
JEFFREY EPSTEIN
-3,300.000.9087-3,631.49
03/10/1603/10/1620.77NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-20.770.8946-23.22
03/24/1603/24/16360,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS160323566853
IBAN:
FR7618206002804248381300136
SWIFT REF# 1603239B1EG
PAID TO:
JEFFREY EPSTEIN
-360,000.000.8947-402,390.20
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001593 DB-SDNY-0000633 EFTA_00019503 EFTA00169250 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 41 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLER DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/29/1603/29/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LOVENALS
SSB REF# SCMSI160302594918
IBAN:
FR233002004690000060269Q70
SORT CODE: 30002 RIB CODE:
0009117
CODE GUCHET: 00469
KEY CODE: 70
SWITT REF# 16032830058
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8852-2,780.92
04/05/1604/05/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMSI16040464439
IBAN:
FR763003037150005054672133
SWItt REF# 16040509563
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8782-2,277.40
04/05/1604/05/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANK
SSB REF# SCMSI16040464440
IBAN: LT11704040003842361
SWItt REF# 16040509565
PAID TO:
JEFFREY EPSTEIN
-5,000.000.8782-5,693.50
04/07/1604/07/164,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNF PARIBAS
SSB REF# SCMSI160406647699
IBAN:
FR750004008700000580743949
SWItt REF# 1604069BCK1
PAID TO:
JEFFREY EPSTEIN
-4,000.000.8794-4,548.80
04/08/1604/08/161,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO SNF PARIBAS
SSB REF# SCMSI160407643997
IBAN: BE58001408700179
REF: INV 1610 (MARCH 2016)
SWItt REF# 1604079BFXX
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8772-1,881.08
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001594 DB-SDNY-0000634 EFTA_00019504 EFTA00169251 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 42
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/13/1604/13/1620.48NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHE BANK-20.480.8865-23.10
04/22/1604/22/165,000DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF# SCMS160421748490 IBAN: FR763000303290005054038502 SWIFT REF# 16042204253 PAID TO: JEFFREY EPSTEIN-5,000.000.8910-5,611.75
04/26/1604/26/162,461.54DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF# SCMS160425788002 IBAN: FR2330002004690000060269Q70 SORT CODE: 30002 RIB CODE: 0009117 CODE GRUCHT: 00469 KEY CODE: 70 SWIFT REF# 1604259B0C6 PAID TO: JEFFREY EPSTEIN-2,461.540.8859-2,778.46
05/18/1605/18/1615.4NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHE BANK-15.400.8914-17.28
05/24/1605/24/162,000DISBURSEMENT OF FUNDS FUNDS TRANS TO SOCIETE GENERALE SSB REF# SCMS160523961046 IBAN:FR7630003037150005054672 133 SWIFT REF# 1605239AT17 PAID TO: JEFFREY EPSTEIN-2,000.000.8975-2,228.30
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001595 DB-SDNY-0000635 EFTA_00019505 EFTA00169252 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 43 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
05/25/1605/25/161,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DBN
LITHUANIA
IBAN: L750401005100367974
SSB REF# SCMS1160524968632
SWIFT REF# 1605249AJQF
PAID TO:
JEFFREY EPSTEIN
-1,000.000.8966-1,115.30
05/26/1605/26/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS1160525964440
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET: 00469 KEY CODE:
70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8937-2,754.46
05/31/1605/31/162,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS1160527988064
IBAN:
FR7630003032900005054038502
SWIFT REF# 16053004148
PAID TO:
JEFFREY EPSTEIN
-2,500.000.8988-2,781.63
06/02/1606/02/163,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS1160601020544
IBAN: BE58001408700179
REF: INV 1614
SWIFT REF# 1606019RCMI
PAID TO:
JEFFREY EPSTEIN
-3,300.000.8965-3,680.82
06/15/1606/15/1613.66NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-13.660.8805-15.37
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001596 DB-SDNY-0000636 EFTA_00019506 EFTA00169253 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 44 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOGS ON INVESTMENT USD
06/27/1606/27/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS160627171601
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF# 16062799V00
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9078-2,711.51
06/28/1606/28/162,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160627176427
IBAN:
FR7630003037150005054672133
SWIFT REF# 1606279AX32
PAID TO:
JEFFREY EPSTEIN
-2,500.000.9026-2,769.75
06/29/1606/29/162,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL
FUCINO
SSB REF# SCMS160628182806
IBAN: ITT7U03124032100
00000237514
SWIFT REF# 16062904549
PAID TO:
JEFFREY EPSTEIN
-2,500.000.9007-2,775.75
07/11/1607/11/1620,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS160708234059
IBAN:
FR763000402933000006235160
SWIFT REF# 1607089B6WT
PAID TO:
JEFFREY EPSTEIN
-20,000.000.9044-22,114.99
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001597 DB-SDNY-0000637 EFTA_00019507 EFTA00169254 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 45 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/15/1607/15/161,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS160714274656
IBAN: BE58 001 408700179
REF: INV 1618 (JUNE 2016)
SWIFT REF# 1607149BFFX
PAID TO:
JEFFREY EPSTEIN
-1,650.000.9035-1,826.30
07/19/1607/19/1610.65NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-10.650.9076-11.73
07/21/1607/21/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL FUCIND
SSB REF# SCMS160720318223
IBAN: IZ27J0312403210000000237514
SWIFT REF# 1607209AUAB
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9073-2,204.30
07/25/1607/25/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANKAS
SSB REF# SCMS16072336630
IBAN: LF647044060008106788
SWIFT REF# 1607229AUMC
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9098-2,198.30
07/25/1607/25/161,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DNB
LITHUANIA
SSB REF# SCMS160722336631
IBAN: LF604010051003676974
SWIFT REF# 1607229AUMB
PAID TO:
JEFFREY EPSTEIN
-1,000.000.9098-1,099.15
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001598 DB-SDNY-0000638 EFTA_00019508 EFTA00169255 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 46 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/25/1607/25/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS160725348901
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
70
SWIFT REF# 1607259A2WG
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9098-2,705.60
07/26/1607/26/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160725351132
IBAN:
FR7630003037150005054672133
SWIFT REF# 1607259ATE6
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9100-2,197.70
08/09/1608/09/1613.19NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-13.190.8999-14.66
08/10/1608/10/161,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS160809437908
IBAN: BE58001408700179
REF: INV 1626 (JULY 2016)
SWIFT REF# 1608099AJQE
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8948-1,843.96
08/10/1608/10/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160809444503
IBAN:
FR7630003037150005054672133
SWIFT REF# 16081004247
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8948-2,235.10
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001599 DB-SDNY-0000639 EFTA_00019509 EFTA00169256 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 47 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/10/1608/10/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCA DEL FUOING
SSB REF# SCMS160809444504
IBAN:
IT27J0312403210000000237514
SWIFT REF# 16081004245
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8948-2,235.10
08/11/1608/11/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO HANDDELSBANKEN
SSB REF# SCMS160810427024
IBAN:
S6760000000000046708618
SWIFT REF# 1608109A13T
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8976-2,228.10
08/15/1608/15/16450DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSB REF# SCMS160812463840
IBAN:
FR7630568199040001207230197
REF: 2016 WEALTH TAX RETURN - JEFFREYEPSTEIN
SWIFT REF# 16081513739
PAID TO:
JEFFREY EPSTEIN
-450.000.8940-503.37
08/25/1608/25/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT LYONNAIS
SSB REF# SCMS160825512307
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469 KEY CODE: TO
SWIFT REF# 16082599NQN
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8864-2,776.86
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001600 DB-SDNY-0000640 EFTA_00019510 EFTA00169257 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 46 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/29/1608/29/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160826517442
IBAN:
PR7630003037150005054672133
SWIFT REF# 16082903589
PAID TO:
JEFFREY EPSTEIN
-2,000.000.8938-2,237.60
09/16/1609/16/1622.84NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-22.840.8965-25.48
09/23/1609/23/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS160922695575
IBAN:
PR73000200469000060269070
SORT CODE: 30002
RIB CODE: 00091 17 CODE
GUCHET:00469
KEY CODE: 70
SWIFT REF# 16092303732
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8906-2,764.06
09/23/1609/23/162,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS160922707137
IBAN:
PR7630003037150005054672133
SWIFT REF# 16092303766
PAID TO:
JEFFREY EPSTEIN
-2,500.000.8906-2,807.25
10/06/1610/06/169,307DISBURSEMENT OF FUNDS
FUNDS TRANS TO BRED
SWIFT REF# SCMS161006701868
IBAN:
PR750107001760005076123463
REF: PRACTURE NUMBER 54023
SSB REF# 1610069ARMB
PAID TO:
JEFFREY EPSTEIN
-9,307.000.8969-10,377.30
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001601 DB-SDNY-0000641 EFTA_00019511 EFTA00169258 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 49 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
10/06/1610/06/163,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SWIFT REF# SCMS161006761869
IBAN: BE58001409700179
REF: INV 1632 (AUGUST AND SEPTEMBER 2016)
SSB REF# 1610069AIZD
PAID TO:
JEFFREY EPSTEIN
-3,300.000.8969-3,679.50
10/14/1610/14/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS161013836059
IBAN: FR7630004008700000580743949
SWIFT REF# 16101403937
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9114-5,486.00
10/18/1610/18/1620.3NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-20.300.9107-22.29
11/01/1611/01/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT LYONNAIS
SSB REF# SCMS161031935807
IBAN: FR230002004690000060269Q70
SORT CODE: 30002
RIB CODE: 0009117
CODE ORDER: 00469
KEY CODE: 70
SWIFT REF# 16103198F8S
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9047-2,720.74
11/01/1611/01/161,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS161031940016
IBAN: BE58001409700179
REF: INV 1834 (OCTOBER 2016)
SWIFT REF# 16103198F8Y
PAID TO:
JEFFREY EPSTEIN
-1,650.000.9047-1,823.74
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001602 DB-SDNY-0000642 EFTA_00019512 EFTA00169259 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 50 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
11/09/1611/09/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF# SCMS161108983912
IBAN: PR76
30003037150005054672133
SWIFT REF# 16110904196
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9165-2,182.10
11/09/1611/09/162,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO LLOYDS BANK
SSB REF# SCMS161108983913
IBAN: GB29Loyd30647226234560
SWIFT REF# # 16110904199
PAID TO:
JEFFREY EPSTEIN
-2,000.000.9165-2,182.10
11/16/1611/16/1616.52NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-16.520.9362-17.65
11/25/1611/25/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LIONNAIS
SWIFT REF# SCMS161123062376
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
0009117
CODE GUCHET: 00469 KEY CODE:
TO
SWIFT REF# 16112499UPC
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9440-2,607.51
12/06/1612/06/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BAHCO DO
BRASIL SA
SSB REF# SCMS161202129040
SWIFT REF# 16120605979
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9329-5,359.75
12/12/1612/12/1612.28NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-12.280.9402-13.06
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001603 DB-SDNY-0000643 EFTA_00019513 EFTA00169260 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 51 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLER DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/22/1612/22/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS161221235596
IBAN:
FR230002004690000060269Q70
REF1 13TH MONTH
SWITT REF# 1612219B4BL
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9583-2,568.74
12/23/1612/23/162,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS161222261025
IBAN:
FR230002004690000060269Q70
SWITT REF# 1612229AQGB
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9571-2,571.94
12/28/1612/28/165,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GNENRALE
SSB REF# SCMS161227278721
IBAN:
FR7630003037150005054672133
SWITT REF# 16122802864
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9608-5,203.75
01/04/1701/04/174,180DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS17010330121
IBAN: BE58001408700179
REF1 INV 1636,1367 (NOV/DBC 2016 TRAVEL EXP)
SWITT REF# 17010403104
PAID TO:
JEFFREY EPSTEIN
-4,180.000.9537-4,382.94
01/04/1701/04/175,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCO DO BRASSI SA
SSB REF# SCMS17010330122
SWITT REF# 17010403354
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9537-5,242.75
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001604 DB-SDNY-0000644 EFTA_00019514 EFTA00169261 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 52 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/05/1701/05/17100,000DISBURSEMENT OF FUNDS
FUND PRANE TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS170104316939
IBAN:
FR7618206002804248381300136
REF:INVOICE H-16/111 NY
SBUJCY
SWIFT REF# 17010511711
PAID TO:
JEFFREY EPSTEIN
-100,000.000.9435-105,990.03
01/19/1701/19/1711.13NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHERANK
-11.130.9381-11.86
01/25/1701/25/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS170123450504
IBAN:
FR233002004690000060269Q70
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET:00469 KEY CODE:
TO
SWIFT REF# 17012487453
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9301-2,646.65
01/27/1701/27/170.82NEGATIVE IDLE CASH INTEREST
IDLE CASH ADJUSTMENT NOVEMBER
2016
PAID TO:
DEUTSCHE BANK
-0.820.9349-0.88
02/07/1702/07/175,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCO DO
BRASIL SA
SSB REF# SCMS170206545211
SWIFT REF# 1702079A8K0
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9357-5,343.75
02/17/1702/17/177.71NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHE BANK
-7.710.9426-8.18
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001605 DB-SDNY-0000645 EFTA_00019515 EFTA00169262 | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 53 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
02/27/1702/27/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONMAAS
SSB REF# SCMS170224641585
IBAN:
FR2330002004690000060209Q70
SORT CODE: 30002, RIB CODE: 00091 17
CODE GUCHET: 00469, KEY CODE: 70
SWIFT REF# 1702249ATNZ
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9443-2,606.77
03/03/1703/03/173,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNY PARIBAS
SSB REF# SCMS17030268588
IBAN: BE58001408700179
REF: INV 1702,1704(JAN/FEB 2017)
SWIFT REF# 1703029BES7
PAID TO:
JEFFREY EPSTEIN
-3,300.000.9419-3,503.45
03/03/1703/03/175,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANCO DO BRAGIL SA
SSB REF# SCMS17030268586
SWIFT REF# 1703039AT84
PAID TO:
JEFFREY EPSTEIN
-5,000.000.9419-5,308.25
03/07/1703/07/17300,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS170306733617
IBAN:
FR7618206002804248361300136
REF:LIST DEPOSIT ON LOOSE
DECORATIVE NY PROJECT
SWIFT REF# 17030704050
PAID TO:
JEFFREY EPSTEIN
-300,000.000.9461-317,099.93
03/22/1703/22/174.68NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-4.680.9263-5.05
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001606 DB-SDNY-0000646 EFTA_00019516 EFTA00169263 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | # JEFFREY EPSTEIN ACCOUNT NUMBER: 680519.2 PAGE 54
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/24/1703/24/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS170321833034
IBAN:
FRZ33000200469000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EFSTEIN
-2,461.540.9265-2,656.86
04/04/1704/04/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO HNF PARIBAS
SSB REF# SCMS170403918023
IBAN:- BE58001408700179
REF: INV 1706 (MARCH 2017)
SWIFT REF 17040404437
PAID TO:
JEFFREY EFSTEIN
-1,650.000.9375-1,760.05
04/11/1704/11/175,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO HNF PARIBAS
SSB REF# SCMS170410977602
IBAN:-FR763000400870000580743949
SWIFT REF# 17041136066
PAID TO:
JEFFREY EFSTEIN
-5,000.000.9429-5,302.75
04/13/1704/13/1726.98NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-26.980.9417-28.65
04/18/1704/18/173,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO AS*SEB BANKA
SSB REF# SCMS170414007725
IBAN:-LV09UNLA005000939019
SWIFT REF# 17041739891
PAID TO:
-3,000.000.9316-3,220.20
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001607 DB-SDNY-0000647 EFTA_00019517 EFTA00169264 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 55
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGRAIN/LOSS ON INVESTMENT USD
04/21/1704/21/1729,299.25DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AQRIOLLE CENTER D'ARFAIRES
SSB REF# SCMS170420057310
IBAN:-FR76182060028042483130
0136
REF:TRAVELING EXPENSES
EVENTMENT 03/20/17
DECORATIVE NY PROJECT
SWIFT REF# 17042105241
PAID TO:
JEFFREY EPSTEIN
-29,299.250.9343-31,360.45
04/25/1704/25/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS170424073016
IBAN:-FR233000200469000006026
9Q70
SORT CODE: 30002 KEY CODE: TO
RIB CODE: 00091 17
CODE GUCHET: 00469
SWIFT REF# 17042504690
PAID TO:
JEFFREY EPSTEIN
-2,461.540.9143-2,692.18
05/10/1705/10/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNE PARIBAS
SSB REF# SCMS170509166551
IBAN:-BE58001408700179
REF: INV 1713 (APRIL 2017)
SWIFT REF# 17050985IV
PAID TO:
JEFFREY EPSTEIN
-1,650.000.9203-1,792.97
05/15/1705/15/1723.32NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-23.320.9109-25.60
05/24/1705/24/1710,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO EMIRATES NBD
SSB REF# SCMS170519242041
IBAN: AE00260000215214743201
SWIFT REF# 1705239AY6M
PAID TO:
JEFFREY EPSTEIN
-10,000.000.8917-11,214.50
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001608 DB-SDNY-0000648 EFTA_00019518 EFTA00169265 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 56 ACCOUNT NUMBER: 680519.2
TRADATESETTLEDATEFACEAMOUNTDESCRIPTIONAMOUNT INBURFX RATEAMOUNT INUSDGAIN/LOSS ONINVESTMENT USD
05/25/1705/25/172,461.54DISBURSEMENT OF FUNDSFUNDS TRANS TO CREDITLYONNAISSSB REF# SCMS170524259557IBAN:FR23300200469000060269Q70SORT CODE: 30002 KEY CODE:TOWKB CODE: 00091 17CODE GRUCHST: 00469SWIFT REF# 1705249AV5JPAID TO:JEFFREY EPSTEIN-2,461.540.8920-2,759.63
05/31/1705/31/1710,000DISBURSEMENT OF FUNDSFUNDS TRANS TO HANDDELSRANKENSSB REF# SCMS170530303327IBAN:SE676000000000046708618SWIFT REF# 17053106930PAID TO:JEFFREY EPSTEIN-10,000.000.8902-11,233.49
05/31/1705/31/17465DISBURSEMENT OF FUNDSFUNDS TRANS TO SOCIETEGENERALESSB REF# SCMS17053030326IBAN:FR7630003037150005054672133SWIFT REF# 17053106918PAID TO:JEFFREY EPSTEIN-465.000.8902-522.36
05/31/1705/31/172,000DISBURSEMENT OF FUNDSFUNDS TRANS TO BANCA DELFUGINOSSB REF# SCMS17053030324IBAN:LTE703012403210000000237514SWIFT REF# 17053106898PAID TO:JEFFREY EPSTEIN-2,000.000.8902-2,246.70
06/01/1706/01/1724.89DISBURSEMENT OF FUNDSRETURN WIRE FEEPAID TO:RETURN WIRE FEE-24.890.8918-27.91
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001609 DB-SDNY-0000649 EFTA_00019519 EFTA00169266 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 57 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
06/01/1706/01/1710,000DISBURSEMENT OF FUNDS
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
10,000.000.891811,213.50
06/02/1706/02/17327,916.87DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS170601325549
IBAN:
FR7618206002804248361300136
REF:SECOND DEPOSIT DECORATIVE NY.
PROJECT AND EXPENSESPAID TO:
JEFFREY EPSTEIN
-327,916.870.8864-369,955.67
06/06/1706/06/171,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LVONNAIS
SSB REF# SCMS170605344425
IBAN:-FR363000206800000039926
7B14
REF# 1706059AYNK
PAID TO:
JEFFREY EPSTEIN
-1,000.000.8867-1,127.80
06/08/1706/08/172,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO SWEDBANK
SSB REF# SCMS170607344499
IBAN: LT387300010129516294
SWIFT REF# 17060859731
PAID TO:
JEFFREY EPSTEIN
-2,500.000.8915-2,804.12
06/08/1706/08/175,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SEB BANKAS
SSB REF# SCMS170607368401
IBAN: LT647044060008106788
SWIFT REF# 17060859773
PAID TO:
JEFFREY EPSTEIN
-5,000.000.8915-5,608.25
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001610 DB-SDNY-0000650 EFTA_00019520 EFTA00169267 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 50 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGRIN/LOSS ON INVESTMENT USD
06/08/1706/08/172,500DISBURSEMENT OF FUNDS
FUNDS TRANS TO AB DBB LITHUANIA
SSB REF# SCMS170607368402
IBAN: LT604010051003676974
SWIFT REF# 17060859730
PAID TO:
JEFFREY EPSTEIN
-2,500.000.8915-2,804.12
06/16/1706/16/1716.49NESATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-16.490.8929-18.47
06/23/1706/23/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT LYONNAIS
SSB REF# SCMS170622461448
IBAN:
FR2330002004690000060269070
SORT CODE: 30002 RIB CODE: 00095 17
CODE GUCHET:00469 KEY CODE: 70
SWIFT REF# 1706229A2CQ
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8931-2,756.31
07/03/1707/03/173,300DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF# SCMS170630531509
IBAN BB58001408700179
SWIFT REF# 17070305788
PAID TO:
JEFFREY EPSTEIN
-3,300.000.8800-3,749.79
07/11/1707/11/17100,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF# SCMS170711577233
IBAN
FR763000402933000000235160
SWIFT REF# 170711998Q4
PAID TO:
JEFFREY EPSTEIN
-100,000.000.8724-114,630.00
07/19/1707/19/1720.25NESATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-20.250.8682-23.32
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001611 DB-SDNY-0000651 EFTA_00019521 EFTA00169268 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 59 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/25/1707/25/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS170724658817
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE: 00091 17
CODE GUCHET: 00469 KEY
CODE: 70
THERE IS STANDING
INSTRUCTIONS FROM LETTER
RECD4/4/16 FOR 2,461.54 EUR
EVERY 25TH
OF THE MONTH
SWIFT REF# 17072504182
PAID TO:
JEFFREY EFSTEIN
-2,461.540.8586-2,866.96
07/27/1707/27/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF# SCMS170726680523
IBAN: BE58001408700179
REF: INV 1719 (APRIL 2017)
REF: INV 1719 (JULY 2017)
SWIFT REF# 17072704103
PAID TO:
JEFFREY EFSTEIN
-1,650.000.8565-1,926.46
07/31/1707/31/17400,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF# SCMS170726883086
IBAN: FR74 3920 8002 8042
4638 1300 136
REF: JRD DEPOSIT AND FEES
SWIFT REF# 17073103640
PAID TO:
JEFFREY EFSTEIN
-400,000.000.8447-473,520.16
08/16/1708/16/17195.02NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHERANK
-195.020.8496-229.54
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001612 DB-SDNY-0000652 EFTA_00019522 EFTA00169269 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 60 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/18/1708/18/17450DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BAWQUE
TRANSATLANTIQUE
SSB REF# SCMS170817837437
IBAN:
PR7650568199040001207230197
REF: 2017 WEALTH TAX RETURN - JEFFREYEPSTEIN
SWIFT REF#17081803542
PAID TO:
JEFFREY EPSTEIN
-450.000.8502-529.27
08/30/1708/30/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS170829910801
IBAN:
PR33002004690000060269Q70
SORT CODE: 30002 RIB CODE: 00091 17
CODE GUCHET:00469 KEY CODE: TO
SWIFT REF# 17083003102
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8417-2,924.48
09/07/1709/07/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS170906940282
IBAN BE58001408700179
SWIFT REF# 17090703813
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8316-1,984.13
09/07/1709/07/17120,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS170906940283
IBAN
PR7630004029330000006235160
SWIFT REF# 17090703822
PAID TO:
JEFFREY EPSTEIN
-120,000.000.8316-144,300.00
09/18/1709/18/1765.81NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHERBANK
-65.810.8365-78.67
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001613 DB-SDNY-0000653 EFTA_00019523 EFTA00169270 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 61 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/26/1709/26/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMS1710925064503
IBAN:
FR230002004690000060269070
DOCK CODE: 30002 KEY CODE:
TO
RIB CODE: 00091 17
CODE GUCHET: 00469
SWIFT REF# 1709259AOYO
PAID TO:
JEFFREY ERSTEIN
-2,461.540.8485-2,901.02
10/05/1710/05/1721.1NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-21.100.8544-24.70
10/10/1710/10/17139,360DISBURSEMENT OF FUNDS
FUNDS TRANS TO BARCLAYS BANK
PLC
SSB REF# SCMS171006132446
IBAN:FR76 30588 00001
58053990101 62
REF!INVOICE #DB17004639 ACCT
#10276177
INVOICE #DB17004600 ACCT
#10662
SWIFT REF# 17100952777
PAID TO:
JEFFREY ERSTEIN
-139,360.000.8466-164,605.06
10/11/1710/11/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF# SCMS171010145557
IBAN BE58001408700179
SWIFT REF# 171010984EV
PAID TO:
JEFFREY ERSTEIN
-1,650.000.8428-1,957.73
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001614 DB-SDNY-0000654 EFTA_00019524 EFTA00169271 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 62 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
10/25/1710/25/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF# SCMSI171024229775
IBAN:
PR233000200469000060269Q70
SERV CODE: 30002
RIB CODE: 00091 17
CODE GUCHET:00469
KEY CODE: 70
SWEET REF#1710249AHWB
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8472-2,905.33
10/25/1710/25/17139,335RECEIPT OF FUNDS
FUNDS RECEIVED FROM BARCLAYS
BANK PLC = CHRISTIES
REFUND FROM CHRISTIES
139,335.000.8472164,455.71
11/07/1711/07/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF# SCMSI1116432624
IBAN RES8001408700179
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8631-1,911.79
11/24/1711/24/1781.82NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-81.820.8380-97.64
11/27/1711/27/172,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF #SCMSI171124450739
IBAN:
PR233000200469000060269Q70
SERV CODE: 30002
RIB CODE: 0009117
CODE GUCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8407-2,928.12
12/01/1712/01/171,650DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF #SCMSI171130514219
IBAN: RES8001408700179
PAID TO:
JEFFREY EPSTEIN
-1,650.000.8405-1,963.02
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001615 DB-SDNY-0000655 EFTA_00019525 EFTA00169272 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 63 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/21/1712/21/172,461.54DISBURSMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF #SCMS171220642470
IBAN:
PR230002004690000060269Q70
REF: 122H MONTH
PORT CODE: 30002
RIB CODE: 0009117
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8422-2,922.73
12/21/1712/21/17100,000DISBURSMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF #SCMS171220642471
IBAN:
FR763000402930000006235160
PAID TO:
JEFFREY EPSTEIN
-100,000.000.8422-118,736.00
12/21/1712/21/17124.09NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-124.090.8422-147.34
01/03/1801/03/182,461.54DISBURSMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF #SCMS180102719858
IBAN:
PR230002804690000060269Q70
REF: 30002
RIB CODE: 0009117
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8325-2,956.85
01/18/1801/18/182,530DISBURSMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF #SCMS180117803499
IBAN S58001408700199
REF: INV 1318 (DEC 2017) AND
INV 1737 - 2017 EXPENSES
PAID TO:
JEFFREY EPSTEIN
-2,530.000.8171-3,096.19
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001616 DB-SDNY-0000656 EFTA_00019526 EFTA00169273 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 64 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLER DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/25/1801/25/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LOYALIFE
SSB REF #SCMSI80124870039
IBAN:
PR230002004490000060269Q70
SORT CODE: 30002
KIB CODE: 00091 17
CODE GUCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8058-3,054.87
01/25/1801/25/18107.58NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-107.580.8058-133.51
02/12/1802/12/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMSI80209954995
IBAN BE58001408700179
REF INV 1802 JANUARY 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8136-2,212.31
02/23/1802/23/18107.58NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-107.580.8134-132.25
02/26/1802/26/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LOYALIFE
SSB REF #SCMSI80223051068
IBAN:
PR2330002004690000060269Q70
SORT CODE: 30002
KIB CODE: 00091 17
CODE GUCHET:00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8120-3,031.44
03/05/1803/05/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMSI80302104337
IBAN BE58001408700179
REF INV 1805 FEBRUARY 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8109-2,219.63
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001617 DB-SDNY-0000657 EFTA_00019527 EFTA00169274 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 65 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/16/1803/16/1862.62 NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHEBANK-62.620.8141-76.92
03/16/1803/16/1871.78 NEGATIVE IDLE CASH INTEREST JANUARY IDLE CASH PAID TO: DEUTSCHEBANK-71.780.8141-88.17
03/16/1803/16/18107.58 NEGATIVE IDLE CASH INTEREST (REVERSAL) PAID TO: DEUTSCHEBANK107.580.8141132.14
03/23/1803/23/182,461.54 DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS18032216025 IRAH FR2330002004690000060269Q70 SORT CODE: 30002 RIB CODE: 00091 17 CODE GUCHET: 00469 KEY CODE: 70 PAID TO: JEFFREY EPSTEIN-2,461.540.8093-3,041.68
03/28/1803/28/181,800DISBURSEMENT OF FUNDS FUNDS TRANS TO END PARIBAS SSB REF#SCMS180327251032 IRAH BE58001408700179 REF: INV 1806 MARCH 2018 PAID TO: JEFFREY EPSTEIN-1,800.000.8125-2,215.37
04/25/1804/25/182,461.54 DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS180424453252 IRAH FR2330002004690000060269Q70 SORT CODE: 30002 RIB CODE: 00091 17 CODE GUCHET: 00469 KEY CODE: 70 PAID TO:-2,461.540.8220-2,994.66
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001618 DB-SDNY-0000658 EFTA_00019528 EFTA00169275 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | PAGE 66 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/25/1804/25/1866.4NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-66.400.8220-80.78
05/04/1805/04/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS180503531306
IBAN BE58001408700179
REF: INV 1812 APRIL 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8364-2,152.12
05/16/1805/16/1862.16NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-62.160.8470-73.39
05/25/1805/25/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS180524659254
IBAN
FR23000200469000006269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8577-2,870.03
06/15/1806/15/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS180614830674
IBAN BE58001408700179
REF: INV 1815 MAY 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8616-2,089.15
06/15/1806/15/18200,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRES
SSB REF#SCMS180614830675
IBAN:
FR7618206002804248381300136
REF: 4TH DEPOSIT AND
EXPENSES
PAID TO:
JEFFREY EPSTEIN
-200,000.000.8616-232,128.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001619 DB-SDNY-0000659 EFTA_00019529 EFTA00169276 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] # JEFFREY EPSTEIN PAGE 67 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGRIN/LOSS ON INVESTMENT USD
06/15/1806/15/188,538.98DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT DU NORD
SSB REP#SCMS180614839676
IBAN:
FRY630076021092019580020093
REF: SCI JEF - MONSIEUR
ESSTEIN 201203 COP: 05022
RIB #30076021092019580020093
PAID TO:
JEFFREY EPSTEIN
-8,538.980.8616-9,910.68
06/25/1806/25/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LIONNAIS
SSB REP#SCMS180622870791
IBAN:
FRZ33002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8546-2,880.42
06/26/1806/26/1862.12NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-62.120.8585-72.36
07/05/1807/05/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REP#SCMS180703967043
IBAN BE58001408700179
REF: INV 1818
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8556-2,103.86
07/12/1807/12/1810,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REP#SCMS180711018289
IBAN:
FRY63003003037600002002078839
REF:COMMANDE NO B547468
MERCEEDES MAYBACH
S560 4 MATIC FL DOWNPAYMENT
PAID TO:
-10,000.000.8569-11,669.70
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001620 DB-SDNY-0000660 EFTA_00019530 EFTA00169277 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 68 ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/18/1807/18/1866.32NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHEBANK-66.320.8590-77.20
07/25/1807/25/182,461.54DISBURSEMENT OF FUNDS FUNDS TRANS TO CREDIT LYONNAIS SSB REF#SCMS180724088060 IRAN: FR2330002004690000060269Q70 SORT CODE: 30002 RIB CODE: 0009117 CODE ORDER: 00469 KEY CODE: 70 PAID TO: JEFFREY EPSTEIN-2,461.540.8527-2,886.92
07/30/1807/30/186,230DISBURSEMENT OF FUNDS FUNDS TRANS TO BNF PARIBAS SSB REF#SCMS180727126055 IRAN: FR1940004029330000014965160 REFI: REIMBURSEMENT FOR PAYMENT TO URSSAF PAID TO: JEFFREY EPSTEIN-6,230.000.8545-7,290.53
08/06/1808/06/18450DISBURSEMENT OF FUNDS FUNDS TRANS TO CIC BANQUE TRANSATLANTIQUE SSB REF#SCMS180803182022 IRAN: FR76305681990400001207230197 REFI: 2018 WEALTH TAX RETURN - JEFFREY EPSTEIN PAID TO: JEFFREY EPSTEIN-450.000.8656-519.86
08/09/1808/09/181,800DISBURSEMENT OF FUNDS FUNDS TRANS TO BNF PARIBAS SSB REF#SCMS180808214201 IRAN BS0001408700179 REFI: INV 1922 AUGUST 2010 PAID TO: JEFFREY EPSTEIN-1,800.000.8675-2,075.02
08/20/1808/20/1856.07NEGATIVE IDLE CASH INTEREST PAID TO: DEUTSCHEBANK-56.070.8710-64.37
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001621 DB-SDNY-0000661 EFTA_00019531 EFTA00169278 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] ACCOUNT NUMBER: 680519.2 PAGE 69
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
08/20/1808/20/18475.32DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS180817277964
IBAN:
FR230003031750002011435892
REF#FACTURE NO. 8520057362
MONSIEUR EPSTEIN
CLIENT .69551 CONTRACT
NO.201119
PAID TO:
JEFFREY EPSTEIN
-475.320.8710-545.72
08/24/1808/24/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS180823315459
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8605-2,860.46
08/28/1808/28/1810,000DISBURSEMENT OF FUNDS
(REVERSAL)
PAID TO:
JEFFREY EPSTEIN
10,000.000.855211,692.70
09/05/1809/05/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS180904384983
IBAN BE58001408700179
REF# INV 1824 AUGUST 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8598-2,093.51
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001622 DB-SDNY-0000662 EFTA_00019532 EFTA00169279 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 70 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/06/1809/06/183,294.5DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS180905402488
IBAN:FR7630003038240002001471
047
REF: FACTURE NO. FC7889
CONTRACT NO 01012017
Z2 RUE FOCH PARIS
PAID TO:
JEFFREY EPSTEIN
-3,294.500.8604-3,829.07
09/18/1809/18/1825DISBURSEMENT OF FUNDS
RETURN WIRE FREE
PAID TO:
RETURN WIRE FREE
-25.000.8570-29.17
09/25/1809/25/182,461.54DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS180924536957
IBAN:
FR330002004690000060269Q70
SORT CODE: 30002 RIB CODE:
00091 17
CODE GUCHET: 00469 KEY CODE:
TO
PAID TO:
JEFFREY EPSTEIN
-2,461.540.8499-2,896.15
09/25/1809/25/1849.51NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-49.510.8499-58.25
09/26/1809/26/18121.87DISBURSEMENT OF FUNDS
FUNDS TRANS TO SOCIETE
GENERALE
SSB REF#SCMS180925553550
IBAN:FR7630003038240002001471
047
REF: FACTURE NO. FC7602
CONTRACT NO 01012017 22
RUE FOCH PARIS
PAID TO:
JEFFREY EPSTEIN
-121.870.8517-143.08
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001623 DB-SDNY-0000663 EFTA_00019533 EFTA00169280 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 71 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
09/28/1809/28/18100,000DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICOLE CENTRE D'AFFAIRESPFN48206002804248381300136
-100,000.000.8617-116,056.00
09/28/1809/28/18242DISBURSEMENT OF FUNDS
FUNDS TRANS TO BANQUEPFN114707000203092177039944
-242.000.8617-280.86
10/02/1810/02/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO HNP PARIBAS
-1,800.000.8660-2,078.53
10/04/1810/04/1812,141.21DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT DU NORD
-12,141.210.8686-13,977.57
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001624 DB-SDNY-0000664 EFTA_00019534 EFTA00169281 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] PAGE 72 ACCOUNT NUMBER: 680519.2
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
10/11/1810/11/189,992DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCMS181011660289
IBAN:
FR2630004029333000014965160
REF: REIMBURSEMENT FOR
PAYMENT TO URSSAF
PAID TO:
JEFFREY EPSTEIN
-9,991.000.8624-11,586.42
10/18/1810/18/18153.81DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS181017722451
IBAN:
FR2330002004690000060269Q70
REF: COMPLEMENTARY AMOUNT
COVERING 9 MONTH
PERIOD
JANUARY-SEPTEMBER 2018
SORT CODE: 30002 RIB CODE: 00091 17
CODE GUCHET: 00469 KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-153.810.8730-176.18
10/25/1810/25/182,509.27DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS181024772454
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,509.270.8796-2,852.76
10/25/1810/25/1851.99NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-51.990.8796-59.11
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001625 DB-SDNY-0000665 EFTA_00019535 EFTA00169282 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] # JEFFREY EPSTEIN PAGE 73 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
11/01/1811/01/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS181031823662
IRAN BE58001408700179
REF: INV 1830 OCTOBER 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8767-2,053.17
11/14/1811/14/1829,456DISBURSEMENT OF FUNDS
FUNDS TRANS TO CIC BANQUE
TRANSATLANTIQUE
SSB REF#SCMS181113916328
IRAN:
FR7630568199040001207230197
REF: 2018 WEALTH TAX
RETURN = JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
-29,456.000.8839-33,325.05
11/26/1811/26/182,509.27DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS181123985258
IRAN:
FP310002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,509.270.8830-2,841.82
11/26/1811/26/1874.59NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-74.590.8830-84.48
11/30/1811/30/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNP PARIBAS
SSB REF#SCMS181129023449
IRAN BE58001408700179
REF: INV 1833 NOVEMBER 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8839-2,036.52
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001626 DB-SDNY-0000666 EFTA_00019536 EFTA00169283 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD [04/10/2014 THROUGH 07/12/2019] ACCOUNT NUMBER: 680519.2 PAGE 74
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
12/13/1812/13/1846,564DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
AGRICULTURE PARFAIRES
SSB REF#SCMS181212117376
IRAN:
FR7618206002804248381300136
REF: LSJE LLC
PAID TO:
JEFFREY EPSTEIN
-46,564.000.8802-52,903.22
12/18/1812/18/1839.66NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-59.660.8801-67.79
12/20/1812/20/181,800DISBURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCMS18121916983
IRAN REF: INV 1835 DECEMBER 2018
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8730-2,061.76
12/20/1812/20/182,521.37DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS18121916984
IRAN:
FR2330002004690000060269Q70
REF: 13TH PAY
SORT CODE: 30002 RIB CODE: 0009117
CODE GUCHET: 00469 KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,521.370.8730-2,888.03
12/24/1812/24/182,509.27DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS181221181174
IRAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE: 0009117
CODE GUCHET: 00469 KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,509.270.8769-2,861.52
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001627 DB-SDNY-0000667 EFTA_00019537 EFTA00169284 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) PAGE 75 ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
01/14/1901/14/193,406DISSURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCMS190111335621
IBAN BE58001408700179
REF: INV 1838 EXTRA WORK AND EXPENSES 2018
PAID TO:
JEFFREY EPSTEIN
-3,406.000.8721-3,905.52
01/23/1901/23/1937.41NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-37.410.8788-42.57
01/24/1901/24/192,509.27DISSURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMS190123389994
IBAN:
FR2330007004690000060269Q70
SORT CODE: 30002
RIB CODE: 0009117
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,509.270.8841-2,838.19
02/07/1902/07/191,800DISSURSEMENT OF FUNDS
FUNDS TRANS TO BNF PARIBAS
SSB REF#SCMS1902026497916
IBAN: BE58001408700179
REF: INV 1903 JANUARY 2019
PAID TO:
JEFFREY EPSTEIN
-1,800.000.8821-2,040.55
02/19/1902/19/1924.64NEGATIVE IDLE CASH INTEREST
PAID TO:
DEUTSCHEBANK
-24.640.8819-27.94
02/20/1902/20/1920,000DISSURSEMENT OF FUNDS
FUNDS TRANS TO LCL CREDIT
LYONNAIS
SSB REF#SCMS190219587815
IBAN:
FR853002004320000445367G97
REF: JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
-20,000.000.8823-22,668.80
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001628 DB-SDNY-0000668 EFTA_00019538 EFTA00169285 # | JEFFREY EPSTEIN | | :--- | | TRANSACTION STATEMENT FOR EURO | | FOR PERIOD (04/10/2014 THROUGH 07/12/2019) | ACCOUNT NUMBER: 680519.2 PAGE 76
TRADE DATESettle DateFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
02/20/1902/20/192,501.53DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMB190219587819
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002
RIB CODE: 00091 17
CODE GUCHET: 00469
KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,501.530.8823-2,835.33
03/05/1903/05/192,505.4DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMB190304673151
IBAN:
FR2330002004690000060269Q70
SORT CODE: 30002 RIB CODE: 0009117
CODE GUCHET: 00469 KEY CODE: 70
PAID TO:
JEFFREY EPSTEIN
-2,505.400.8845-2,832.51
03/08/1903/08/1916.73NEGATIVE IDLE CASH INTEREST
PAYMENT
NEGATIVE IDLE CASH INTEREST
PAYMENT BY EVENT30983 .
INTEREST ON EURO IDLE FROM 2/1/2019 TO 2/28/2019
-16.730.8904-18.79-18.79INC
03/11/1903/11/1918,016.11DISBURSEMENT OF FUNDS
FUNDS TRANS TO CREDIT
LYONNAIS
SSB REF#SCMB190308714508
IBAN:
FR0630002004510000375526C48
REF: JEFFREY EPSTEIN
PAID TO:
JEFFREY EPSTEIN
-18,016.110.8895-20,254.97
04/17/1904/17/193.16NEGATIVE IDLE CASH INTEREST
PAYMENT
NEGATIVE IDLE CASH INTEREST
PAYMENT BY EVENT30983 .
INTEREST ON EURO IDLE FROM 3/1/2019 TO 3/31/2019
-3.160.8849-3.57-3.57INC
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001629 DB-SDNY-0000669 EFTA_00019539 EFTA00169286 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
04/21/1404/22/14100,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 100,000.00
SELL USD: 138,050.00
PRICE: 1.38050
100,000.000.7244138,050.00
05/23/1405/27/14100,000PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 100,000.00
SELL USD: 136,460.00
PRICE: 1.36460
100,000.000.7328136,460.00
03/30/1503/31/1592,336.1PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 92,336.10
SELL USD: 100,000.00
PRICE: 1.08300
92,336.100.9234100,000.00
04/16/1504/17/1592,738.57PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 92,738.57
SELL USD: 100,000.00
PRICE: 1.07830
92,738.570.9274100,000.00
04/28/1504/29/1545,578.85PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 45,578.85
SELL USD: 50,000.00
PRICE: 1.09700
45,578.850.911650,000.00
07/02/1507/06/1589,928.06PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 89,928.06
SELL USD: 100,000.00
PRICE: 1.11200
89,928.060.8993100,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO_001630 DB-SDNY-0000670 EFTA_00019540 EFTA00169287 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2
TRADAGE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
07/23/1507/24/1590,892.56PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 90,892.56
SELL USD: 100,000.00
PRICE: 1.10020
90,892.560.9089100,000.00
11/03/1511/04/1591,232.55PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 91,232.55
SELL USD: 100,000.00
PRICE: 1.09610
91,232.550.9123100,000.00
11/24/1511/25/15469,087.16PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 469,087.16
SELL USD: 500,000.00
PRICE: 1.06590
469,087.160.9382500,000.00
01/08/1601/11/16348,400.11PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 348,400.11
SELL USD: 380,000.00
PRICE: 1.09070
348,400.110.9168380,000.00
03/23/1603/24/16357,442.85PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 357,442.85
SELL USD: 400,000.00
PRICE: 1.11906
357,442.850.8936400,000.00
07/20/1607/21/1690,778.86PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 90,778.86
SELL USD: 100,000.00
PRICE: 1.10158
90,778.860.9078100,000.00
01/03/1701/04/17100,617.21PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 100,617.21
SELL USD: 105,000.00
PRICE: 1.04356
100,617.210.9583105,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001631 DB-SDNY-0000671 EFTA_00019541 EFTA00169288 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/03/1703/06/17404,767.98PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 404,767.98
SELL USD: 430,000.00
PRICE: 1.06234
404,767.980.9413430,000.00
05/31/1706/01/17355,773.76PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 355,773.76
SELL USD: 400,000.00
PRICE: 1.12431
355,773.760.8894400,000.00
07/07/1707/10/17569,934.47PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 569,934.47
SELL USD: 600,000.00
PRICE: 1.14048
569,934.470.8768650,000.00
09/25/1709/26/1784,334.45PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 84,334.45
SELL USD: 100,000.00
PRICE: 1.18576
84,334.450.8433100,000.00
10/05/1710/06/17170,798.57PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 170,798.57
SELL USD: 200,000.00
PRICE: 1.17097
170,798.570.8540200,000.00
06/12/1806/13/18212,002.93PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK FX
BUY EUR: 212,002.93
SELL USD: 250,000.00
PRICE: 1.17923
212,002.930.8480250,000.00
09/27/1809/28/18171,241.09PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: DEUTSCHE BANK - LONDON
BUY EUR: 171,241.09
SELL USD: 200,000.00
PRICE: 1.16794
171,241.090.8562200,000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001632 DB-SDNY-0000672 EFTA_00019542 EFTA00169289 JEFFREY EPSTEIN TRANSACTION STATEMENT FOR EURO FOR PERIOD (04/10/2014 THROUGH 07/12/2019) ACCOUNT NUMBER: 680519.2 PAGE 80
TRADE DATESETTLE DATEFACE AMOUNTDESCRIPTIONAMOUNT IN EURFX RATEAMOUNT IN USDGAIN/LOSS ON INVESTMENT USD
03/13/1903/14/1916.73PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: STATE ST BK TR CO
BUY EUR: 16.73
SELL USD: 18.93
PRICE: 1.13150
16.730.883818.93
04/19/1904/19/193.16PURCHASE FOREIGN EXCHANGE SPOT
THROUGH: STATE ST BK TR CO
BUY EUR: 3.16
SELL USD: 3.55
PRICE: 1.12342
3.160.89013.55
07/12/19CLOSING BALANCE0.0017,172.08
REALIZED FX LOSS ON CASH-17,172.08
CLOSING BALANCE (BOOK VALUE)0.000.00
CONFIDENTIAL – PURSUANT TO FED. R. CRIM. P. 6(e) USAO 001633 DB-SDNY-0000673 EFTA_00019543 EFTA00169290