EFTA01487743.pdf

DataSet-10 1 page 169 words document
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June 01, 2002 - l EPSTEIN INTERESTS June 28, 2002 Primly Account Number 000-138912 JPMorgan Private Bank Page 2 of 3 Business Checking Account Number 000-138912 EPSTEIN INTERESTS Summary Opening Balance 522,390.60 Deposits and Credits 3100,000.00 Checks, Withdrawals and Debits $85.000.00 Ending Balance $57,390.60 Activity Date Description Debit Credits Balance Opening Balance $22,390.60 Jun 17 Fedwire Credit 5100,000.00 3122,390.60 VIA'. MELLON BANK NA /043000261 8/0: EPSTEIN INTERESTS NEW YORK NY 1002243843 REF: CHASE NYCICTFUBNF=EPSTEIN INTE RESTS NEW YORK, NY 10022-6830/AC-00 0000138912 RFBCIB MELLON PIT 6814 TIME/14.06 IMAD: 0617D3C1C120C004215 Jun 21 Check Paid 1 2097 350,000.00 872,390.80 Jun 25 Cheek Paid ut 2095 515,000.00 $57.390.60 $65,000.00 3100,000.00 Ending Balance $57,310.60 Checks Paid Cheek Date Amount Cheek Date Amount Cheek Date Amount 2097 Jun 21 sszooacio 2098 Jun 25 $15,000.00 Total Checks $65,000.00 Enclosed Checks: 2 Fees and Charges for Business Accounts We value your relationship with JPMorgan Private Bank. You were not charged for services this statement period. Thank You. Confidential Treatment Requested by JPM-SDNY-00009305 JPMorgan Chase CONFIDENTIAL SDNY_GM_00278503 EFTA01487743
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EFTA01487743
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DataSet-10
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document
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1

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