EFTA01578246.pdf

DataSet-10 1 page 395 words document
👁 1 💬 0
📄 Extracted Text (395 words)
A Date of Transaction Merchant Name or Transaction Description $ Amount 03/07 ISLAND RIGGING & HYDRAULI ST. THOMAS 306.42 03/11 ISLAND RIGGING & HYDRAULI ST. THOMAS 316.78 03/14 ISLAND RIGGING & HYDRAULI ST. THOMAS 195.50 DANNY VICARS TRANSACTIONS THIS CYCLE (CARD 1259) $4,230.68 02/14 GE APPLIANCE PARTS #115800305.0223 ICI' 25.53 02/14 SEABORNE AIRLINES 340-7735991 177.00 02/16 MOLLY MOLONES WHALE TALE ST. THOMAS VT 40.20 02/16 FOOD CENTER SUPERMAR ST THOMA 105.63 02/22 SOILWORKS 480-545-5454 AZ 3.386.75 02/23 DELTA AIR 0062168575563 SALT LAKE CTY UT 718.70 022513 1 A ABQ ATL 2 S ATL STT 02/23 DELTA AIR 0062168535952 SALT LAKE CTY UT 576.70 0227131 P ABQ ATL 2 0 ATL STT 02/24 DELTA AIR 0062168249157 SALT LAKE CTY UT 150.00 0227131 A ABQ ATL 2 S ATL STT 02/28 US FABRICS. INC CINCINNATI OH 2.405.00 =02/28 FOOD CENTER SUPERMAR ST THOMA 164.41 03/03 FOOD CENTER SUPERMAR ST THOMA 554.95 03/03 GAS WORKS INC. ST THOMAS 62.18 03/05 FOOD CENTER SUPERMAR ST THOMA 170.53 03/06 ISLAND TIME PUB ST THOMAS 45.75 03/05 WESTERN AUTO 5047 ST THOMAS 133.99 03/05 KMART 3829 CHARLOTTEAMAL 134.92 03/06 RED HOOK DIVE CENTER LLC 340-7773483 10.00 03/07 AMERICAN Al 0012320044249 DALLAS TX 581.70 031213 1 I STT MIA 2A MIA DFW 3 AX DFW ABQ 03/07 AMERICAN Al 0012320044250 DALLAS TX 581.70 0312131 I STT MIA 2 A MIA DFW 3 AX DFW ABQ 03/10 FOOD CENTER SUPERMAR ST THOMA 55.40 03/10 KMART 3829 CHARLOTTEAMAL 67.92 03/10 GAS WORKS INC ST.THOMA 150.44 BRICE GORDON TRANSACTIONS THIS CYCLE (CARD 3845) $10299.40 2013 Totals Yearto-Date Total fees charged in 2013 $0.00 Total interest charged in 2013 $0.00 Year-to-date totals reflect all charges minus any refunds applied to your account. I N T Your Annual Percentage Rate (APR) is the annual interest rate on your account. Annual Balance Balance Percentage Subject To Interest Type Rate (APR) Interest Rate Charges PURCHASES Purchases 18.24%(v) -0- -o- CASH ADVANCES Cash Advances 23 24%(v) -0- -o- BALANCE TRANSFERS Balance Transfer 18.24%(v) -0- -o- (v) = Variable Rate 28 Days in Billing Period Please see Information About Your Account section for the Calculation of Balance Subject to Interest Rate. Annual Renewal Notice. How to Avoid Interest on Purchases, and other important information, as applicable. X 0000001 F1S33338C 1 003 Y 9 IS 13103116 Page 3 A 3 05686 MA DA 5358 Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00057138 EFTA01578246
ℹ️ Document Details
SHA-256
1405c4004428028010241ecaf5832d7deb6124e707cc1bfa9f880f0f2af4bbec
Bates Number
EFTA01578246
Dataset
DataSet-10
Type
document
Pages
1

Community Rating

Sign in to rate this document

📋 What Is This?

Loading…
Sign in to add a description

💬 Comments 0

Sign in to join the discussion
Loading comments…
Link copied!