Text extracted via OCR from the original document. May contain errors from the scanning process.
151 Deutsche Bank
P.O. Box 1776, Baltimore, MD 21203
Seeder e
Rea zed Gains and Losses Curren€ Period (continued)
February 1, 2019 - February 28,2019
Cost Basis on fixed income securities may be adjusted for amortization, accretion, original issue discount adjustments, or principal paydowns. The calculation is based upon the taxpayer
election, type of fixed income security, and certain attributes, obtained from sources believed to be reliable. In the event, one or more of these attributes is changed. there may be a temporary
incorrect adjusted cost basis reflected until the cost basis system is amended to reflect this change. These calculations will not be performed under certain circumstances, including those
involving foreign bonds, bonds sold short or bonds issued with less than one year to maturity. This information is meant as a general guide and you should consult your tax advisor in the
preparation of your tax returns.
Please refer to the Your Account Information Section in your brokerage account statement for your account's existing tax-lot disposition method. The disposition method is the method which
you have selected to use in the disposal of each tax lot of the securities held in your account. If you do not select a method, your account will be defaulted to First In, First Out (FIFO). Your
account's selected tax lot method will be used to determine the cost basis for calculating gain and! or loss, unless another method was selected at the time of the security disposal, and this may
be reported on the IRS Form 1099-B.
Although a money market mutual fund seeks to preserve the value of your investment at $1 per share, it is possible to lose money by investing in a money market mutual fund. Shares
of a money market mutual fund or the balance of a bank deposit product held in your brokerage account may be liquidated upon request with the proceeds credited to your brokerage
account. Please see the money market mutual fund's prospectus or the bank deposit product's disclosure document or contact your advisor for additional information. Pursuant to SEC
Rule 10 b-10( b)(1) confirmations are not sent for purchases into money market mutual funds processed on the sweep platform.
Ca IMMITAI=0211111-
Securities
CreditsNs Period
Debits ThisPeriod
Net ThisPetiod
QedksYerto•DMe
Detielfear4o-Dole
Net Yea-to•DMe
Securities Sold
861 212 75
0.00
881,212.75
881,212.75
0.90
881,212 75
Total Securities
8861.212.75
$0.00
$861,212.75
8861.212.75
$0.00
5861.212.75
Dividends and Interest
$405.16
$0.00
8405.18
$35,366.39
$0.00
535366.39
Cash
Withdrawals
0.90
-1,289,497.81
-1,289,407.81
0.00
-5289,407.81
-5,289,497.81
Total Cash
$0.00
41,289,407.81
41,289,407.81
$0.00
45,289,407.81
45,289,407.81
Totals
5861.617.91
41,289,407.81
4427,789.90
8898,579.14
45,289,407.81
44,392,828.87
Account Number
13:W.SADI
CONFIDENTIAL - PURSUANT TO FED. R. CRIM. P. 6(e)
CONFIDENTIAL
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