UBS
UB5 Financial Services Inc
299 Park Avenue
25th Floor
New York NY 101714:002
CNP70056751370416 VI 0
Resource Management Account
April 2016
Account name: GHISLAINE MAXWELL
Friendly account name: Ind:Cash/Saying
Value of your account
GHISLAINE MAXWELL
116 E 65TH STREET
NEW YORK NY 10065-7007
Account number
Your Financial Advisor:
SCOTT STACKMAWLYLE CASRIEL
Phone. 212.321.7000/800-308.3140
Questions about your statement?
Call your Financial Advisor or the
RMA ResourceLine at 8CO-RMA-1000,
account 029023575.
on March 31 (S) on April 29(1)
Your assets 4,815,922.95 18,955,082.77
Visit our **mitt
www.ubs.corn/financialservices
Your liabilities 0.00 0.00
Value of your account 54,815,922.95 $18,955,082.77
Sources of your account growth Tracking the value of your account
S Millions
during 2016
Value of your account
at yearend 2015 16,144,731.58
Net deposits and 19.0 withdrawals 312,794,446.43
Your investment return'
Dividend and
interest income $12,397.40
4.2 6.1 48 Change in
market yap/tie 53.507 36
Value of your account
on Apr 29, 2016 118,955,082.77 Dec 2014 Dec 201S Mar 2016 Apr 2016
Member SIPC CW70038005626137 NP7000191098 0000S 0416 030575004 Y123575550000000 Page 1 of 8
EFTA00022399
UBS Resource Management Account April 2016
Your account balance sheet
Summary of your assets
Value on
April 29 (9)
Percentage of
your account
A Cash and money balances 0.00 0.00%
Cash alternatives 15,438,248.43 81.45%
C Equities 0.00 0.00%
D Fixed income 3,516,834.34 18.55%
E Non-traditional 0.00 0.00%
F Commodities 0.00 0.00%
G Other 0.00 0.00%
Total assets
Value of your account
918,955,082.77
518,955,082.77
100.00%
Account name: GHISLAINE MAXWELL
Friendly account name' Ind Cash/Savino
Account number:
Your current asset allocation
Eye on the markets
Index
S&P 50O
Russell 3000
MSCI - Europe, Australia & Far East
Barclays Capital U.S. Aggregate Bond Index
Interest rates on April 29, 2016
3-month Treasury bills: 0.20%
One-month LIBOR: 0.44%
Your Financial Advisor:
SCOTT STACKMANITYLE CASRIEL
212-821-70C0/86O308-3140
Percentage change
April 2016 Year to date
0.39% 1.74%
0.62% 1.59%
3.00% 0.04%
0.38% 3.43%
CNP70008005675138 NP7000191098 00005 0416 030575004 Y123575550000000 Page 2 of 8
EFTA00022400
Resource Management Account UBS April 2016
Change in the value of your account
April 2016 (5) Year to date (S)
Opening account value $4,815,922.95 $6,144,731.58
Deposits, including investments
transferred in 14,261,795.27 14,545,566.37
Withdrawals and fees,
including investments transferred
out -129,982.64 -1,751,119.94
Dividend and interest income 3,844.37 12,397.40
Change in market value 3,502.82 3,507.36
Closing account value $18,955,082.77 $18,955,082.77
Account name: GHISLAINE MAXWELL
Friendly account na
Account number
Dividend and interest income earned
For purposes of this statement, taxabikty of interest and dividend income has been determined from a US tax reporting perspective. Based upon the residence of the account holder. account type, or product type, some merest andror dividend payments may not be suteect to tinted States (US) andror Puerto Rico (PR) income Ins. The chest rronthty statement is not intended to be used and cannot be relied coon for tax purposes. Clients should refer to the applicable tax reporting fano they receive from UBS annually. such as the Forms 1099 and the Forms 480, for tax reporting information. h is the practice of MS to file the applicable tax reporting firms with the US Internal Revenue Service and PR Treasury Department, and in such forms accurately classify chvekmds andror interest as tax exempt or taxable income. Please corisult your individual tax preparer.
April 2016 (5) Year to date (S)
Taxable dividends 3,844.26 10,202.44
Taxable interest 0.11 21.23
Total current year $3,844.37 $10,223.67
Prior year adjustment 0.00 2,173.73
Total dividend & interest $3,844.37 $12,397.40
Summary of gains and losses
Values reported below exclude products for %%hi& gains and losses are not classified.
Realized gains and losses Unrealized
Your roundel Advisor.
SCOTT STACKMANkYLE CASRIEL
212-821-70:0800-308-3140
April 2016 (5) Year to date (S) gains and losses ($)
Short term 0.00
Cash activity summary
0.00 14.29
See Account activity this month for details. Balances n your Sweep Options are included in the opening and closing balances value. FDIC Osurance applies only to deposits at UBS Bank USA, not to deposits at UPS AG, Stamford Branch or bark deposit placed through the ues kmensuccoi Deposit Account Program WC protection applies to money market sweep fund holdings but not bank deposit. Set irrportant inlmmation about your statement on the last two pages of this document for details.
April 2016 (V Year to date (S)
Opening balances $0.00 $2,010,294.62
Additions
Deposits and other funds credited 14,261,795.27 14,545,566.37
Dividend and interest income 3,844.37 12,397.40
Proceeds from investment transactions 129,988.89 1,704,128.54
Total additions $14,395,628.53 $16,262,092.31
Subtractions
Other funds debited -129,982.64 -1,751,119.94
Funds withdrawn for investments
bought -14,265,645.89 -16,521,266.99
Total subtractions -$14,395,628.53 -$18,272,386.93
Net cash flow $0.00 -$2,010,294.62
Closing balances $0.00 $0.00
CNP700080056751 39 NP7000191098 0000S 0416 0305750:4 Y123S7SSSO 000000 Page 3 of 8
EFTA00022401
UBS Resource Management Account April 2016
UBS Bank USA Deposit Account APY
Interest period Mar 7 - Apr 6
Opening UBS Bank USA Deposit balance Mar 7 513,399.64
Closing UBS Bank USA Deposit balance Apr 6 50.11
Number of days in interest period 31
Average daily balance 55,006.70
Interest earned 50.11
Annual percentage yield earned 0.03%
Account name: GHISIAINE MAXWELL
Friendly account name Ind CasNSavinq
Account number:
Your investment objectives:
You have identified the following investment objectives for this account. If you have questions about these objectives, disagree with them, or wish to change them, please contact your Financial Advisor or Branch Manager. You can find a full description of the alternative
investment objectives in Important information about your statement at the end of this
document.
Your return objective:
Current income & capital appreciation
Your risk profile:
Primary - Moderate
Investment eligibility consideration - None selected
Your account instructions
e Your account cost basis default closing method is FIFO, Fist In, First Out.
Your Financial Advisor.
SCOTT STACKMANLYLE CASRIEL
212-821.7000800.308-3140
CNP70008005675140 W70:0191098 00005 0416 030575004 v123575350 0000:0 Page 4 of 8
EFTA00022402
UBS
Resource Management Account
April 2016
Your assets
Account name: GHISLAINE MAXWELL
Friendly account name Ind:CaslYSaving
Account number:
Some prices, income and anent values sronn may be approcomate. As a result, gars and losses may rot be accurately reflected See Important information about your statement at the end of the document for more information
Cash alternatives
Money market funds
Money market funds are neither insured nor guaranteed by the Federal Deposit share, it is possible to lose money by investing in these funds.
Total reinvested is the total of al renvested dredends. It does rot include any cash dividends It is not a tax lot fa the purposes of deterrrmib holding penods or cost basis The shares you receive each time you reinvest dividends become a separate tax lot
Cost basd is the total purchase cost of the security, including renvested dividends. The cost basis may need to be adjusted for return of capital payments in order to determine the adjusted cost basis for tax reporting purposes
Purchase pre& Nantes Average price Hoeing Stares per share (S)
UBS SELECT PRIME
INSTITUTIONAL FUND
EAI 558.665 Current yield 0.38%
Client
investment (S)
Your Finandal Advisor- SCOTT STACKMANAYLE CASRIEL
212.821-7000/800.308-3140
Lame Corporation or any other government agency Although money market Ards seek to preserve the value of you investrivem at SI 00 per
Unrealized (tax)gain or loss e the difference between the assent vale and the cost basis and would generally be your taxable gain or loss if the security was sold on the date. The unrealized (tax) gan a loss may need to be adjusted for return of capital payments in order to determine the realized gan or loss for tax reporting purposes
Investment return is the current value minus the arnant you invested. It does not made shares that are not reflected on your statement, including shares that have been realized as either a gain or a Sass It also does not include cash din:lends that were not reinvested
Cost Price per share
bass (S) per Apr 29 (SI
15A38,248.430 1.000 15,438,248.43 15,438,24843
Fixed income
Mutual funds
Total reinvested is the total of all reinvested dividends n does not include any cash dividends n n not a tax lot for the purposes of determining hoeing periods or cost basis The shares you receive each time you reinvest dividends become a separate tax lot
Cost basis s the total purchase cost of the security, includng reinvested dividends The cost basis may need to be adjusted for return of capital payments n order to determne the adjusted cost basis for tax reporting purposes.
Purchase wife/
Number Average price Client Iltsbng of shares per share (SI investment(S)
PUTNAM SHORT DURATION
INCOME FUND Y
Value on Unrealized Investment Holding Art 29(S) gam or loss (S) return (S) period
1.000 15,438,248 43
Unteabzed (fax)gain or loss is the drfferenoe between the current value and the cost bases and would generally be your taxable gain or loss if the Worley was sold on this date. The unrealized (tax) garner loss may need to be adjusted for return of capital payments in order to determine the reakzed gain or loss for tax repotting purposes
Investment return is the current value minus the amount you rivested It does rot *route shares eat are not selected on your statement, including shares that have been realized as either a gain or a San. It also does rot include cash *Mends that were not reinvested.
Cost Price per share
basis (S) on Apr 29(S)
Value on Urvealized (tad hvestrnent Holing Apr 291S) gan or loss (S) return 3) period
continued next page
CNP70008005675tal NP7000191098 00005 0016 030579034 Y123575550 000000 Page 5 of 8
EFTA00022403
UBS Resource Management Account April 2016
Your assets . Fixed income . Mutual funds (continued)
kicking Nkmber of shares
Purchase price/ Average price
per share (S)
Client
investment CS/
Cost Price per share
basis 5) on Apr 29
Value on
Apr 29 (S
Unrealized (tax) gain or loss(S) Investment Holding return IV period Symbol: PSDYX
Trade date: Jul 20, 15 348,605.578 10.040 3,500.005 25 3,500,005 25 10.040 3,500.000 00 .5.25 ST Total reinvested 1,676.727 10.028 16,814 80 10.040 16,834 34 19.54
EAJ: $22.068 Current yield: 0.63%
Security total 350,282.305 10.040 3.500.00515 3,516,820.05 3,516.834 34 14 29 16,829.09
Your total assets
Percentage of Cost Estimated Unrealized Value on Apr 29 (51 your agoant bans (SI annual tricorn/ (5) gain or loss (5) Cash alternatives Money market funds 15,438.248A3 81.45% 15,438,24843 5%665.00
Fixed Income Mutual funds 3,516,834.34 18.55% 3,516,820.05 22.068.00 14.29
Total 518,955,082.77 100.00% 518,955,068.48 580.733.00 514.29
Account name: :,11.5LAINE MAXWELL
Friendly account nam • • el r chicAttinn
Account number:
Your Rnandal Advisor:
SCOTT STACKMANLYLE CASRIEL
212.821.7000/800-308-3140
Account activity this month
Date Moody Description Amount (5: Deposits and other funds credited Apr 1 Transfer JOURNAL FROM Y1 23574GHISLAINE MAXWELL 436 07
Apr 1 Transfer JOURNAL FROM Y1 23572GHISLAINE MAXWELL 1.396 83
Apr 1 Transfer JOURNAL FROM Y1 23568GHISLAINE MAXWELL 2,072.89
Apr 12 Transfer JOURNAL FROM Y1 28776GHISLAINE MAXWELL 0.88
Apr 20 Transfer JOURNAL FROM YI 23692116 EAST 65TH STREET LLC 14,194,596 49
Apr 27 Transfer JOURNAL FROM Y1 23568GHISLAINE MAXWELL 809.14
Apr 27 Transfer JOURNAL FROM Y1 23574GHISLAINE MAXWELL 1,276 61
Apr 27 Transfer JOURNAL FROM Y1 23572 GHISLAINE MAXWELL 61,206.36
Total deposits and other funds credited 514,261,795.27
Date ACtivity Descriptor Amount (s) Dividend and interest income
Taxable dividends
Taxable interest
Apr 1 Dividend PUTNAM SHORT DURATION INCOME FUND Y AS Of 03/31/16 2,562.85
Apr 29 Dividend UST SELECT PRIME INSTITUTIONAL FUND 1,281.41
Total taxable dividends 1.3,044.26
Apr 7 Interest UBS BANK USA DEPOSIT ACCOUNT AS OF 04/06116 0.11
continued next page
CNP70038005675142 P7003191098 00005 0416 030575004 v123575550000000 Page 6 of 8
EFTA00022404
UBS
Resource Management Account
April 2016
Account activity this month (conbnued)
Date Activity Description Amount (S) Dividend and interest income (continued)
Taxable interest (continued) Total taxable interest
Total dividend and interest income
Date Activity Description
$3,844.37
Amount (S) Other funds debited Apr 1 Transfer JOURNAL TO VI 23692 116 EAST 65TH STREET LLC -5,368.21
Apr I Transfer JOURNAL TO Y1 23692 116 EAST 65TH STREET LLC -30.030.00
Apr 12 Transfer JOURNAL TO Y1 23576 GHISLAINE MAXWELL -718.75
Apr 18 Transfer JOURNAL TO Y1 23576 GHISLAINE MAXWELL -95.68
Apr 19 Transfer JOURNAL TO VI 23679 POT 8 KETTLE, LLC -70,000.00
Apr 20 Transfer TO Y1 23568 7100 -1,51aoo
Apr 20 Transfer TO Y1 23574 1100 -2,290.00 Apr 28 Transfer JOURNAL TO VI 23576 GHISLAINE MAXWELL -20,000.00
Total other funds debited 4129,982.64
Account name: GHISLAINE- MAX•VELL
Friendly account name: Ind Cash/Savrn
Account number.
Your Financial Advisor:
SCOTT SIACKMANA.YLE CASRIEL
212.821.7000/800-308-3140
Investment transactions
For more information about the encenialue shown for restricted securities, see leriportant infoimatiOn about your statement at the end of this document.
Date Activity DescnPtcr, Quantity Value(S)
Proceeds Fran
investment
Pride (%) transactions IS)
Funds
withdrawn for Accrued
investments bought (Si interest (5) Apr 1 Sold US$ SELECT PRIME INSTITUTIONAL FUND -5.368.210 S,368.21
Apr I Reinvestment PUTNAM SHORT DURATION INCOME FUND Y
DNIDEND REINVESTED AT 10.03 NAV ON
03/31/16 AS OF 03/31/16
255.518 -2,562.85
Apr 1 Sold UBS SELECT PRIME INSTITUTIONAL FUND -30,000.000 30,000.00
Apr 6 Bought UBS SELECT PRIME INSTITUTIONAL FUND 3.905.790 -3,905.79 Apr 12 Bought UBS SELECT PRIME INSTITUIK)NAL FUND 0.110 -0.11
Apr 12 Sold UBS SELECT PRIME INSTITUTIONAL FUND -725.000 725.00
Apr 14 Bought UBS SELECT PRIME INSTITUTIONAL FUND 7.130 -7.13 Apr 18 Sold UBS SELECT PRIME INSTITUTIONAL FUND -95.680 95.68
Apr 19 Sold UBS SELECT PRIME INSTITUTIONAL FUND -70,000.= 70,000.00 Apr 20 Sold UBS SELECT PRIME INSTITUTIONAL FUND -38C0.000 3,800.00 Apr 25 Bought UBS SELECT PRIME INSTITUTIONAL FUND 14,194,596 490 -14,194,596.49
continued next page
CNP70008005675143 NP7000191098 00'0050416 030575004 V123575550 000000 Page 7 of 8
EFTA00022405
UBS Resource Management Account April 2016
Account activity this month (continued)
investment transactions (continued)
Date Activity Desorption Quantity value(S) Price(S)
Proceeds from
Investment
transactions (S)
Funds
withdrawn for Accrued
i,wstments bought (S) interest IS) Apr 27 Bought UBS SELECT PRIME INSTITUTIONAL FUND 63,292 110 .63,292.11
Apr 28 Sold UBS SELECT PRIME INSTITUTIONAL FUND -20,000.000 20,000.00
Apr 29 Reinvestment U8S SELECT PRIME INSTITUTIONAL FUND
DNIDEND REINVESTED AT 1.00 NAV ON
04/2W16
1,281.410 •1,281.41
Total $129,988.89 414,285.64523
Date Activity DesCnption Amount IS) Money balance activities Mar 31 Balance forward $0.00
Apr 4 Deposit U8S BANK USA DEPOSIT ACCOUNT 3,905.79
Apr 7 Withdrawal UBS BANK USA DEPOSIT ACCOUNT AS OF 04/06/16 -3,905.79
Apr 7 Deposit UBS BANK USA DEPOSIT ACCOUNT AS OF 04/06/16 0.11
Apr 13 Dep0sit UBS BANK USA DEPOSIT ACCOUNT 7.02
Apr 15 Withdrawal MS BANK USA DEPOSIT ACCOUNT AS OF 04/14/16 -7.13
Apr 21 Deposit UBS BANK USA DEPOSIT ACCOUNT 250,000.00
Apr 26 Withdrawal UBS BANK USA DEPOSIT ACCOUNT AS OF 04/2916 -250,000.00
Apr 29 Closing UBS Bank USA Deposit Account
The UEIS Bank USA Deposit Accoult IS your penury sweep option.
Mar 31 Balance }onward
$0.00
50.00
Apr 21 Deposit UBS AG DEPOSIT ACCOUNT 13,944,596.49
Apr 26 Withdrawal UBS AG DEPOSIT ACCOUNT AS OF 04/25/16 -13,944,59649 Awn Closing UBS AG Deposit Account $0.00
Account name: GHISLAINE MAXWELL
Friendly account name:Ind:CasNSavirla
Account number
Your Financial Advisor:
SCOTT STACKMAN/LYLE CASRIEL
212-821-700W800-308-3140
The UM AG Deposit Account is your secondary sweep Whom
CNP7000800567S1 as NP7000191098 0000S 0416 030575004 Y123575550000000 Page 8 of 8
End of statement for account number Ti 23575 55
EFTA00022406
Discussion 0
No comments yet
Be the first to share your thoughts on this epstein document