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EFTA01519160

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GHISLAINE MAXWELL - TAP DVS ACCT. For the Period 11/1/13 to 11/311/13 Portfolio Activity Detail INFLOWS & OUTFLOWS Settle Date Type Description Quantity Per UM Selection Method Cost Amount Amount 11/1 Interest Income Div Domest DEPOSIT SWEEP INTEREST FOR 10/01/13 .10/31113 .01% RATE ON AVG COLLECTED BALANCE OF $44,946.12 AS OF 11/01/13 0.33 11/1 JPM STRAT INCOME OPPORT FD - SEL FUND 3844 0.02 PER SHARE (ID: 4812A4-35-1) 3,015.900 0.02 80.32 11/1 Div Domest JPM MULTI SECTOR INCOME FD - SEL FUND 2130 0.034 PER SHARE (ID: 48121A-29-0) 4,784.864 0.034 182.69 11/1 Div Domest BLACKROCK HIGH YIELD BOND 10/31/13 INCOME DIVIDEND 0 0.040 PER SHARE AS OF 10/31/13 (ID: 091929-63-8) 8,504.327 0.04 338.36 11/1 Div Domest EATON VANCE FLOATING-RATE ADVANTAGE I 1 0131/1 3 INCOME DIVIDEND fa 0.043 PER SHARE AS OF 10/31/13 (ID: 277923-63-7) 7,524.150 0.043 326.52 11/1 Dlv Domest HSBC FOS TOTAL RETURN I 1 1/01/13 INCOME DIVIDEND 0 0.010 PER SHARE (ID: 40428X-154) 3,858.587 0.01 37.91 11/1 Div Domest METROPOLITAN WEST FDS TOTAL RETCL 110/31/13 INCOME DIVIDEND 0 0.001 PER SHARE AS OF 10/31/13 (ID: 592905404) 7,192.344 0.005 33.22 11/4 Div Domest COHEN & STEERS PREFERRED SECURITIES AND INCOME FUND INC 10/31/13 INCOME DIVIDEND 0 0.071 PER SHARE AS OF 10/31/13 (ID: 19248X-30-7) 4,493.967 0.071 319.07 11/4 Div Domest DOUBLELINE TOTAL RET BD-I 10/31/13 INCOME DIVIDEND 0 0.051 PER SHARE AS OF 10/31/13 (ID: 258620-10-3) 12,498.155 0.051 631.91 J.P.Morgan Account Page 13 of 15 Consolidated Statement Page 69 Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL JPM-SDNY-00046434 SDNY_GM_00315632 EFTA01519160