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📄 Extracted Text (148 words)
GHISLAINE MAXWELL ACCT.
For the Period 9/1/II to 930/11
INFLOWS & OUTFLOWS
Per Unit PRINCIPAL INCOME
Type Amount USD Amount USD Amount USD Currency
Settle Date Selection Method Description Quantity Local Value Local Value Local Value GainiLoss USD
9/29 Receipt of Assets JP MORGAN CHASE BANK • CAD LONDON TIME DEPOSITS 114.834.100
0.7100% DATED 09/29/2011 MATURITY 10/06/2011
HELD BY LONDON TREASURY SERVICES CLIENT REF FTD
(ID: 2524Y9.9B-8)
Total Inflows & Outflows $0.00
TRADE ACTIVITY - Canadian Dollar
Per Unit Market
Trade Date Amount USD Cost USD Currency
Settle Date Type Description Quantity Local Value Local Value Gain/Loss USD
Settled Securities Purchased
9/22 Purchase JP MORGAN CHASE BANK • CAD LONDON TIME DEPOSITS 114.820.480 97.90 (112.433.39)
9/22 0.6100% DATED 09/22/2011 MATURITY 09/29/2011 100.00 (114.820.48)
HELD BY LONDON TREASURY SERVICES CLIENT REF FTD
(ID: 2524U9-9C-0)
J.P.Morgan Page 20 of 29
Confidential Treatment Requested by JPMorgan JPM-SDNY-00048141
Chase
CONFIDENTIAL SDNY_GM_00317339
EFTA01520803
ℹ️ Document Details
SHA-256
659ec2b75ec4e9f18c5814a2b0505ab7359964ffd556d5fe31cf0495f0bd4a34
Bates Number
EFTA01520803
Dataset
DataSet-10
Type
document
Pages
1
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