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Papa 1 03
FEDA
NAV Statement of Account
On%lit Union Statement Period
YA•12110.30:0 12/15118-01/14119
Access No.
Routing Number:
latINLLSV
Questions about this Statement?
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CURRENT! Feder", insured by NCUA. 14mrcp ona S. TA". ea./ amieswaials nonfonntrt
Summary of your deposit accounts
Previous Deposits? INIthdrawals/ Ending YTD
Balance Credits Debits Balance Dividends
SkIng
$1.044.62
wings
$6233.50
Totals $7.278.12
DEPOSIT VOUCHER
(FOR MAIL USE ONLY 00 NOT SEND CASH THROUGH TI1E MAIL
DEPOSITS MAY NOT BE AVAILABLE FOR IMMEDIATE WITHDRAWAL)
afxflWFlfraa—
MARK "C TO CHANGE Cneciong
ACOFtESSORCER
ITEMS ON REVERSE Savings
NFCU
MERRIFIELD VA 22119-3100
Navy Federal Credit Union SP CD1
EFTA00124783
Pao- 2M3
Statement Period
• Vst:if.11 VA • 22119-3000 12/15/18 - 01/14/19
nawild!t1 Oct
Access No.
Fa
Checking
EveryDay Checking -
Joint Owner(s): NONE
Data Transaction Detail Amount($) Baia nce(S)
12-15
12-18
12-26
12-26
12-26
12-28
12-28
12-31
12-31
12-31
12-31
01-08 POS Data- Debit Card X 01-08-19 ShopMegatewaycen Brooklyn Ny 126.58- 807.49
01-09 POS Debt- Debit Card MO 01-08-19 Ft Hamilton Commis Brooklyn Ny 57.55- 749.94
01-14 Transfer From Shares 400.00 1.149.94
01-14 Transfer To Credit Card 105.32- 1.04492
01.14 Ending Balance 1,044.62
Average Dells Baran ran Cycle
Your account 6.8MO WN1? an en rage yield earned 01 la the dividend period from 12-01-2018 through 1241-2018
Items Paid
Pate Hem Amagagal
12-18 01-08 POS 126.58
12-26 01-09
12-31 12-26
12-31
CHANGE OF ADDRESS
PLEASE PRINT. USE BLUE OR BLACK BALL POINT PEN.
RANKAATE I NAME (FIRST MI LAST ACCOUNT NUMBERS AFFECTED
ADDRESS INO. STREET)
CRY STATE ZIP CODE
SIGNATURE OF NAVY FEDERAL MEMBER
EFFECTIVE DATE IMO. DAY.YR I IRENE TELEPHONE NUMBER DAYTIME TELEPHONE NUMBER
Navy Federal Credit Union SP 001
EFTA00124784
Pag” 3 co 3
millimommulamilimomomm
Statement Period
illieoteilloll VA • 22110-30X 12/15/18 - 01/14/19
wAYROWS OM
Access No.
Fa
Savings
Membership Savings -
Joint Owner(s): NONE
Date Transaction Detail Amount($) Balance(S)
12-15
12-28
12-31
01-14 Transfer To Checking 400.00- 6.233.50
01.14 Ending Balance 6233.50
Your account earned= with en annual percenrege yield end otM tot die dividend period from 12-01-2018 through 12-31.2018
2018 Year to Date Federal Income Tax Information
SAVINGS DIVIDENDS
CHECKING DIVIDENDS FINANCE CHARGE CHECKING LOC
Disclosure Information
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What to Do N You Think You Find a Mistake on Your Statement
Groh Related to a Chocking Line of Credit Advance
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Navy Federal Credit Union SP 001
EFTA00124785
Raga 1 of a
NAlyal 5t. Statement of Account
FE
C►edit Union Statement Period
Mu, • 22110.3000 01/15/19 -02/14/19
Access No.
Routing Number:
BlINLYSV
Questions about this Statement'
Toll-free in the U.S.
For toll-free numbers when overseas.
1523-6397
visit navytederator overseas/
Collect internationally
Say - Yes" to Paperlessl View your
digital statements via Mobile or
Navy Federal Online Banking.
Effective April 13, 2019, Visas will revise the International Service Assessment Fee for
international Point of Sale (the location where you make a purchase) and ATM transactions,
from 0.8% to 1.0%. This change is applicable for international transactions charged in U.S.
currency. You can see the updated debit card disclosures at navyfederal.org.
Summary of your deposit accounts
Previous Deposits? Withdrawals/ Ending YTD
Balance Credits Debits Balance Dividends
isaiirecking
1.044 62 $3.128.66 $2.070.86 $2.102.42 $0.04
SW Savings
$6.233.50 $2.442.26 $3.111.07 45.564.69 $1.26
Totals $7.278.12 $5.570.92 $5.181.93 $7.667.11 $1.30
DEPOSIT VOUCHER
(FOR MAIL USE ONLY 00 NOT SEND CASH THROUGH THE MAIL
DEPOSITS MAY NOT BE AVAILASLE FOR IMMEDIATE WITHDRAWAL)
afxflWFlfrFR-
MARK *re TO CHANGE Checlong
ADORESSADRIXR
ITEMS ON REVERSE Savois
NFCU
MERRIFIELD VA 22119-3100
Navy Federal Credit Union SP CD1
EFTA00124786
Page 2(44
NALI/A5t.
FE
C►edit Union Statement Period
Vsitif.11 •VA • 22119-30W 01/1919 - 02/14/19
Access No.
Fo
Checking
EveryDay Checking -
Joint Owner(s): NONE
Date Transaction Detail Amount(S) Balance(S)
01-15 Beginning Balance 1.04492
01-15 Transfer From Shares 1.000.00 2.04492
01-15 Transfer To Shares 442.00- 1,602.62
01-15 Pald To - Twc - Spectrum Onine Pmt Chk 12114128 70.99- 1,531.63
01-15 Paid To - Contest Online Pint Chk 12114128 131.59- 1,400.04
01-15 Payment To - Frtib Payment 011519 CIO 195 332.41- 1,067.63
01-16 POS Deta- Debit Card 01-16-19 Shopritegatewaycen Brooklyn Ny 67.44- 1,000.19
01-29 Deposit - ACH Paid From Agri Tress 310 Fed Sal 1.32190 2,322.09
01-29 Paid To - Georgia Power Online Prot Chk 12114128 260.77- 2,061.32
01-30 ATM Fee - Withdrawal 01-29-19 Advantage Evian Brooklyn Ny 1.00- 2,060.32
01-30 ATM Withdrawal 01-29-19 Advantage Fran Brooklyn Ny 103.00- 1,957.32
01-30 POS Data- Debit Card 01-29-19 Ft /Jamaica Commis Brooklyn Ny 273.67- 1,68165
01-31 Pald To - Chase Card Sery OnIne Pint Chk 12114128 100.00- 1,58165
01-31 Pald To - American Express Online Pmt Chk 12114128 100.00- 1,48165
01-31 Dividend 0.04 1,48169
02-01 Transfer To Credit Cat 102.00- 1,38199
02-07 Deposit - ACH Paid From Agri Tress 310 Fed Sal 806.72 2,188.41
02-11 Paid To - Twc - Spectrum Olathe Pmt Chk 12114128 70.99- 2,117.42
02-13 Check 5520 15.00- 2,102.42
02-14 Ending Balance 2,102.42
Average Deily Balance - Conant Cycle: $1.444.58
Your account earned $0.04. with an annual percenrage yield earned of 0.05%. for Me Modem; pee/Whom 01-01-2019 Mrough Of-31-2019
CHANGE OF ADDRESS
PLEASE PRINT. USE BLUE OR BLACK BALL POINT PEN.
RANKAATE I NAME (FIRST MI LAST ACCOUNT NUMBERS AFFECTED
ADDRESS INO. STREET)
CITY STATE ZIP CODE
SIGNATURE OF NAVY FEDERAL MEMBER
EFFECTIVE DATE IMO. DAY.YR I IRENE TELEPHONE NUMBER DAYTIME TELEPHONE NUMBER
Navy Federal Credit Union SP 001
EFTA00124787
P898 3oT 4
N
FE
Ara
Credit Union Statement Period
01/1919 - 02/14/19
Access No.
Far
Items Paid
Date hem Amasialla Dab hem AmeunUI1
01-15 ACH 70.99 02-11 ACH 70.99
01-15 ACH 131.59 01-16 POS 67.44
01-15 000195 - ACH 332.41 01-30 POS 273.67
01-29 ACH 260.77 01-30 AMC, 103.00
01-31 ACH 100.00 02-13 005520 - Check 15.00
01-31 ACH 100.00
Savings
Membership Savings -
Joint Ovmer(s): NONE
Date Transaction Detail Amount(f) Balance(5)
01-15 Beginning Balance 6.233.50
01-15 Transfer To Checking 1,000.00- 5.233.50
01-29 Deposit - ACH Paid From Agri Treas 310 Fed Sal 500.00 5,733.50
01-29 Deposit - ACH Paid From Agri Trees 310 Fed Sad 500.00 6,233.50
01-31 DNIdend 1.26 6,234.76
02-01 Transfer From Shares 441.00 6,675.76
02-05 Transfer From Shares 500.00 7,175.76
02-07 Deposit - AC41 Paid From Agri Trees 310 Fed Sal~ 500.00 7,675.76
02-08 Transfer To Credit Card 2,111.07- 5,564.69
02-14 Ending Balance 5,584.89
Your account earned $1.2& with an annual percentage yield earned 010.25%. for the dividend peekx1 from 01-01-2019 through 01-31-2019
2018 Year to Date Federal Income Tax Information
SAVINGS DIVIDENDS
CHECKING DIVIDENDS FINANCE CHARGE CHECKING LOC
Navy Federal Credit Union SP 001
EFTA00124788
POOCI 4 014
NALI/A5t.
FE
Credit Union Statement Period
Vorrilbal vA • 22119-3000 01/1919 -07114119
Access No.
For
Disclosure Information
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What to Do if You Think You Find a Mistake on Your Statement
Error* Related to a Checking Line of Cr•dit ACIV•170
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Navy Federal Credit Union SP 001
EFTA00124789
Pena 1 013
Nig/A5t. Statement of Account
FE
C►edit Union Statement Period
V•m• 4641 '.A . 22.110.3000 02/15/19 - 03/14/19
Access No.
Routing Number:
BlINLYSV
Questions about this Statement'
Toll-free in the U.S.
For toll-free numbers when overseas.
1523-6397
visit navytederator overseas/
Collect internationally
Say - Yes" to Paperlessl View your
digital statements via Mobile or
Navy Federal Online Banking.
Effective April 13, 2019, Visas will revise the International Service Assessment Fee for
international Point of Sale (the location where you make a purchase) and ATM transactions,
from 0.8% to 1.0%. This change is applicable for international transactions charged in U.S.
currency. You can see the updated debit card disclosures at navyfederal.org.
Summary of your deposit accounts
Previous Deposits? Withdrawals/ Ending YTD
Balance Credits Debits Balance Dividends
narking
$2.102.42 5669.12 $1.642.82 $1348.72 $0.10
Savings
NM $5.564.69 $1.500.94 $3.125.28 $3.941.35 $2.20
Totals $7.667.11 $2.390.06 $4.768.10 $5289.07 $2.30
DEPOSIT VOUCHER
(FOR MAIL USE ONLY 00 NOT SEND CASH THROUGH THE MAIL
DEPOSITS MAY NOT BE AVAILASLE FOR IMMEDIATE WITHDRAWAL)
afxflWFlfrFR-
MARK 'X' TO CHANGE Cbeclong
ACORESSORMR
ITEMS ON REVERSE Savois
NFCU
MERRIFIELD VA 22119-3100
Navy Federal Credit Union SP CD1
EFTA00124790
PIKS 2013
NANA:li
t
FE
Credit Union Statement Period
lwnfMy•M • 22GB.3O,O 02/15/19 - 03/14/19
Access No.
Fa
Checking
EveryDay Checking -
Joint Owner(s): NONE
Date Transaction Detail Amount(5) Balance(4)
02-15 Beginning Balance 2,102.42
02-19 Transfer To Credit Card 1.000.00- 1,102.42
02-20 Pald To - Comeau Online Pmt Chk 12114128 131.59- 970.83
02-22 Deposit - ACH Paid From Agri Treas 310 Fed Sal 307.15 1,277.98
02-26 Pald To - Georgia Power Oline Pelt Chk 12114128 189.40- 1,088.58
02-27 Pald To - American Express Online Pmt Chk 12114128 100.00- 988.58
02-27 Pald To - Chase Card Sery Onene Pmt Chk 12114128 150.00- 838.58
02-28 Dividend 0.06 838.64
03-01 Deposit - ACH Paid From Agri Tress 310 Fed Sal 38.42 875.06
03-08 Deposit - ACH Paid From Agri Tress 310 Fed Sal 545.49 1,420.55
03-12 POS Dew- Debit Card 03-11-19 CVS/Pharmacy *0271 New York Ny 15.60- 1,404.95
03-12 POS Debit- Debit Card 03-11-19 Citymd Ny18 Brooldyn Ny 30.00- 1,374.95
03-13 POS Dew- Debit Card =03-11-19 Metropolitan City Brooklyn Ny 26.23- 1,348.72
03-14 Ending Balance 1,348.72
Average Daily Balance - Cumin' Cycle: .$1.257.5,5
Your account earned 50.0& with an annual pefcenrage yield earned of 0.05%. for the dividend petted from 02-01-2019 thrOugn 02-28-2019
Items Paid
rate item Armenia\ pate Item Arnountig
02-20 ACH 131.59 03-12 POS 15.60
02-26 ACH 189.40 03-12 POS 30.00
02-27 100.00 03-13 POS 26.23
02-27 g 150.00
CHANGE OF ADDRESS
PLEASE PRINT. USE BLUE OR BLACK BALL POINT PEN.
RANKAATE I NAME (FIRST MI LAST ACCOUNT NUMBERS AFTECTED
ADDRESS INO. STREET)
CITY 'TATE ZIP CODE
SIGNATURE OF NAVY FEDERAL MEMBER
EFFECTIVE DATE IMO. DAY.YR I IRENE TELEPHONE NUMBER DAYTIME TELEPHONE NUMBER
Navy Federal Credit Union SP 001
EFTA00124791
Pogo 3013
FEDA
NAV
Mal Union Statement Period
ituninall VA• 12110-30:0 02/15 /19 - 03/14/19
Twasiton
Access No.
Savings
Membership Savings -
Joint Owner(s): NONE
Date Transaction Detail Amount(S) Balance(5)
02-15 Beginning Balance 5.564.69
02-18 Transfer To Credit Call 3.125.28- 2A 39.41
02-22 Deposit - ACH Paid From Agri Tress 310 Fed Sea 500.00 2.939.41
02-28 Dividend 0.94 2.940.35
03-08 Deposit - ACH Paid From Agri Treas 310 Fed Sal 500.00 3.440.35
03-11 Transfer From Shares 500.00 3.940.35
03.14 Ending Balance 3.94 35
Your account earned 50.94. with an annual percentage yield earned of 0.25%. for Me avklen0 period tram 02-01-2019 through 02-28-2019
2018 Year to Date Federal Income Tax Information
SAVINGS DIVIDENDS
CHECKING DIVIDENDS FINANCE CHARGE CHECKING LOC
Disclosure Information
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Navy Federal Credit Union SP 001
EFTA00124792
Papa 1 or 3
NAXEYR2 L Statement of Account
FE
Credit Union Statement Period
03/15/19 -04/14/19
Access No.
Routing Number:
IMINLLSV
Questions about this Statement'
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Summary of your deposit accounts
Previous Deposits! Withdra
Deb
wals/
ks Ending YTD
Balance Credits Balance Dividends
i sighecking $1.348.72 $1.207.44 $1.319.06 $1231.10 $0.14
Mi. Savings $3.940.35 S500.62 $1.643.47 $Z 797.50 $2.82
Totals $5289.07 $1.708.08 $2162.53 54.034.60 $2.96
ℹ️ Document Details
SHA-256
cc911273d65da8c053b4c0023c02378c51b79e72baf98bb82b9fc4e0351fdc0b
Bates Number
EFTA00124783
Dataset
DataSet-9
Document Type
document
Pages
26
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