Skip to main content
Skip to content
Case File
sd-10-EFTA01455331Dept. of JusticeOther

EFTA Document EFTA01455331

Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Cost Basis Market Price Market Value Unrealized Gain/ Loss Estimated Estimated Annual Income Yield Equities (continued) Preferred Stocks (continued) ROYAL BANK SCOTLAND GROUP PLC SPON ADR (continued) Total Noncovered 120,000.000 2,924,400.00 3,081,600.00 157,200.00 217,500.00 Total 120 000.000 $2 924 100.00 13 001 600.00 $157,200.00 $217,500.00 Total Preferred Stocks $7,320,391.1

Date
Unknown
Source
Dept. of Justice
Reference
sd-10-EFTA01455331
Pages
1
Persons
0
Integrity
Loading PDF viewer...

Summary

Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Cost Basis Market Price Market Value Unrealized Gain/ Loss Estimated Estimated Annual Income Yield Equities (continued) Preferred Stocks (continued) ROYAL BANK SCOTLAND GROUP PLC SPON ADR (continued) Total Noncovered 120,000.000 2,924,400.00 3,081,600.00 157,200.00 217,500.00 Total 120 000.000 $2 924 100.00 13 001 600.00 $157,200.00 $217,500.00 Total Preferred Stocks $7,320,391.1

Ask AI About This Document

0Share
PostReddit

Extracted Text (OCR)

EFTA Disclosure
Text extracted via OCR from the original document. May contain errors from the scanning process.
Portfolio Holdings (continued) U.S. DOLLARS (continued) Date Acquired Quantity Unit Cost Cost Basis Market Price Market Value Unrealized Gain/ Loss Estimated Estimated Annual Income Yield Equities (continued) Preferred Stocks (continued) ROYAL BANK SCOTLAND GROUP PLC SPON ADR (continued) Total Noncovered 120,000.000 2,924,400.00 3,081,600.00 157,200.00 217,500.00 Total 120 000.000 $2 924 100.00 13 001 600.00 $157,200.00 $217,500.00 Total Preferred Stocks $7,320,391.11 $8,685,971.00 $1,365,582.89 $649,025.00 Options CALL 100 AMERICAN AIRLS GROUP INC COM Option Identifier: EXP 01-17-150 20.000 OPTION ROOT: AAL Underlying Security Identifier: ML 1,000.00 of these contracts are in your margin account Underlying Security Price: $38.88 12/11113' 1,000.000 8.0330 803,314.50 18.8400 1,864,000.00 1.060,685 50 PUT 100 AMERICAN AIRLS GROUP INC COM Option Identifier: 01-17-15@ 20.000 OPTION ROOT: AAL Underlying Security Identifier. ML -1,000.00 of these contrails are a short position Undeilying Security Price: 538 88 12111113' -1,000.000 1.9770 -197,702.00 0 0300 -3.000.00 194,702.00 Total Options $805,812.50 81,881,000.00 $1,255,387.50 $0.00 Total Equities $34,388,849.20 838,678,631.25 $4,289,782.05 $1,882,282.03 Unrealized Estimated Estimated Date Acquired Quantity Unit Cost COI Basis Market Price Market Value Gain/ Loss Annual Income Yield Exchange-Traded Products WISDOM TREE TR JAPAN HEDGED EQUITY FD Dividend Option: Cash: Capital Gains Option: Cash 60,000.00 of these shares are in your margin account 12/11/13 60.000.000 49.4350 Total Exchange-Traded Products Security Identifier: OXJ CUSIP: 97117W851 2.966.098.50 49.8800 2,992,800.00 26,70150 55,004.40 1.83% 12,966,098.50 Cost Basis $2,992,800.00 Market Value $26,70130 Unrealized Gain/ Loss Accrued Interest $55,004.40 Estimated Annual Income Total U.S. DOLLARS EURO Description $96,388,518.56 Quantity Opening Balance $103,835,307.44 Closing Balance Currency $5,451,017.63 $477,085.73 $3,646,365.03 Accrued Income Cash, Money Funds, and Bank Deposits Global Cash Balance 291,846.67 291,846.67 EUR 384.391 25 LSD Total Cash, Money Funds, and Bank Deposits 291,848.67 291,846.81 EUR 0.00 384,391.25 LSD 0.00 Account Number SO 6TF ERA FINANCIAL LLC Cio paperless ARIK)IrC ov.r.ter 30-Day Yield Rated E•CM*AI f vw Vase tone,' .},007 CIALOAR RATED COMMUNICATIONS CMNUFNC? Page 10 of 20 away are. nit: a.twoll C. • otea aana• a a.. ea.. ear ...sa an...a-a: CONFIDENTIAL — PURSUANT TO FED. R. CRIM. P. 6(e) CONFIDENTIAL SDNY_GM_00260227 DB-SDNY-0114043 EFTA01455331

Technical Artifacts (2)

View in Artifacts Browser

Email addresses, URLs, phone numbers, and other technical indicators extracted from this document.

Phone12111113
SWIFT/BICSCOTLAND

Related Documents (6)

Dept. of JusticeOtherUnknown

EFTA Document EFTA01448830

O O OO zz "rt mm zz -i ); C C Al (/) z -1 C 0 Asset Account 0 73 R 7 ce TO JPMergan Chase Bank, NA. 270 Park Avenue, New York, NY 10017-2014 THE HAZE TRUST ACCT. For the Period 7/1/13 to 7/31/13 Z 0 6 8 6 O tW0 J.P. Morgan Team Table of Contents Palle Jusdn Nelson Banker 203/629-3124 Account Summary 2 Paul Barrett Investment Specialist 212/622-2770 Holdings Janet Young Client Service Team B001634-1318 Equity 4 Gina Magiiacco Cash & Reed Income

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01361145

Growth Strategy returns Performance' for taxable client ending 3/31/15 CIO Strategies w/ U.S. Core Equity as U.S. Large Cap Vehicle ® Blended Benchmark 6 - 4 2 - 0 3.51 1.93 1Q15 C [0 Strategies .. Growth Blended Benchmark 9.78 8.30 8.42 4.15 1 Year 9.27 7.98 3 Year 5 Year °A Annualized Performance Gross of Fees 7.35 5.88 10 Year 7.07 2014 2013 2012 2011 2010 2009 2008 2007 4.84% 17.64% 14.43-;•:.. -2.94% 13.79% 29.09% 30.42% 12.52% 3.40% 16.25% 1

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01488410

J.PMorgan Primary Account: For the Period 5129/10 to 6/30/10 Important Information About Your Statement In Case of Error. or (Natiloin About 1. our Electronic Funds Transfers Oil or unto bo the ILtt Waistlines tad me the I haw number .el Mateo on frau of itiorwni and noaconareners that l.P Magna Toon 0vitact infonnation youdunk ram' ginned or recapl is memo* or if yak axd more Informatics ah'ua do:aortic traria:non on a titarea or reatie We mita hati fimru no lam than f0 dayk anti we wan

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01299716

RPTID: MBS01000 INCOMING/OUTGOING WIRES,CHECKS AND ACH REPORT PAGE: 1 DATE: 06/23/2017 IBD: EXE OFF: N4G ACCOUNT RR I/O C/W DESCRIPTION ADDITIONAL INFO BENEFICIARIES NET AMOUNT ISSUER NAME N40024950 ENS 0 W 121000248 6X 115000.00 WELLS FARGO BANK, NA SAN FRANCISCO CA HUMANITY PLUS 9572308337 N40904078 LW8 0 H SEND TO BANK FOR ACH ACH 021001088 619768827 340016774 L1A 0 H 011000028 00041178 STATE STREET BOSTON 12 EVERGREEN WAY BOSTON MA PAWLING NY 12564-1328 6X

1p
Dept. of JusticeOtherUnknown

EFTA Document EFTA01386401

Deutsche Bank Wealth Management AND US Deposits Base Currency USD Deutsche Bank Trust Company Americas Account Deposits Transactions From January 02, 2017 To March 07. 2018 Product Type NOW and SupeiNOW Accounts Value Date 03:0712V8 Market Value S( .I71.92) Transaction Activity from 01/02/2017 - 03/07/2018 Transaction Type Transaction Date Description To/From Funds Added (USD) Funds Subtracted (USD) 443105 L5 PAIN QUOTID€EN NEW YORK NY 01-08-17 SEQ # 700822286688 Total R

1p
OtherUnknown

Deutsche Bank

DOJ EFTA Data Set 10 document EFTA01285353

3p

Forum Discussions

This document was digitized, indexed, and cross-referenced with 1,400+ persons in the Epstein files. 100% free, ad-free, and independent.

Annotations powered by Hypothesis. Select any text on this page to annotate or highlight it.