Epstein Files

EFTA01583382.pdf

dataset_10 PDF 63.3 KB Feb 4, 2026 1 pages
Managed Module. No Is ttus Chant applying for Pnvate Asset Management Account' NO Stanchng aistruction Brokers ea Eftko, Cash Services Stalemero Fully Priced Yes ATM Fee Refund N Shareholder Disclosure ies Date Documents Signed mom, s Send Company Reports: No I would Um to invest in JP Mayan Offshore funds fro Foreign Crossover Relationship us 0n, Cr•onion Assot Account : Asset Fee Schedule Information Fee Schedule Asir Savo,* 13 1Xt3 Fee Payment NxA.ioiam Charge To P-ropal Afimmum Fee: Percent Poncipio Combine And Prorate. No Percent Income. PRB Approval Date Fee Stall Dale C4o920I3 Custom fee schedule into: Asset Account : Funding Information Funding Type Cash Funding Source Cneotteare External Custodian Contact Name Contact Number Internal Transfer AfC # Details Of Transfer Estimated Funding Date. on, 27011 Responsibility Cirri Sensm Tearn !information °brained Name: Confidential Treatment Requested by JPMorgan Chase JPM-SDNY-00063038 EFTA01583382

Entities

0 total entities mentioned

No entities found in this document

Document Metadata

Document ID
38ee824e-786e-43a1-b8a3-9eb971ac8169
Storage Key
dataset_10/99e4/EFTA01583382.pdf
Content Hash
99e4f2b44dec2062d47eb41befb3b91d
Created
Feb 4, 2026