EFTA01274073.pdf
dataset_10 PDF 47.1 MB • Feb 4, 2026 • 314 pages
U85 Emanuel Semites hc
*UBS
299 Park Avenue
25th Floor
Resource Management Account
New YOrk. NY 10171.0002 February 2014
CPZ6CO2254939 0214 Y1 0
Your Itnandal Advisor.
SCOTT STACKMANILYLE CASMEL
Phone 212 821-70CCV800-308-3140 Account name: GHISLA1NE MAXWELL
Friendly account name: indw V49935006
Questions about your statement?
Call your Financial Advisor or the Account number: Y1 23571 55
RMA Resourceline at 800-RMA-1000
account 029023571
1fisitour website:
www.ubscomainanciatservices
Your investment objectives:
You have identified the fdlowing Value of your account Your account instruclions
• Your account cost basis default closing
investment objectives for this account if on January 31(S) on February 28 (5) method is FIFO, First n, First Out
you have questions about these
objectives. disagree with them, or wish to Your assets 0 00 1,033.286 11
change them, please contact your
Your habitues 0 00 0.00
Financial Advisor or Branch Manager. You
can hind a full description of the Value of your account $0.00 $1,033,286.11
alternative investment obiecoves in
Important information about your
statement at the end of this document
Your return objective:
Current income & capital appreciation Change in the value of your account
Your risk profile: February 2014 (1) Year to date (1)
Primary - Moderate
investment eligibility consderation - None Opening account value $0.00 $0.00
selected Deposits, including investments
transferred in 1,031,614 80 1,031,614 SO
Change in market statue 1,671 31 1,671 31
Closing account value $1,033,286.11 $1,033,286.11
SDNY GM 00021246
Member SIPC C PZ60004C072 54939 P26000144229 00004 0214 030575004 Y173571550 COD:00 Page 21 of 48
CONFIDENTIAL EFTA_00131866
EFTA01274073
SUBS Resource Management Account
February 2014
Account name: GHISLAINE MAXWELL
Friendly account name:Indiv V49939;06
Account number: Y1 23571 55
Your 15 nodal Advisor:
SCOTT STACK MANY LYLE CASFUEL
212-821.7000f 800-308.3140
Cash activity summary
See Account 4Ctivityttus monthlot decals Baances in your Sweep Options are induded n the opening and
closing [glances vane. WIC insurance apples only to deposits at UBS Bank USA, not to depo9ts at UBS AG,
Starifoxt &arch of bank deposits placed t hrougb the UBS Intemationd Deposit ACI0Unt plo7am. SIPC
protedion applies to money market sweep fund hddings but rot bank deposits. See important inkotmation
about youf statement pi the faSt MO pages c( this document for detals
February 2014 (1) Year to date (S)
Opening balances $0.00 $0.00
Additions
Deposits and other funds credited 49,546 11 49,546.11
Total additions $49,546.11 $49,546.11
Net cash flow $49,546.11 $49,546.11
Closing balances $49,546.11 $49,546.11
CP360004002254940 F26000144229 00004 0213 030575004 Y123571550 COC yGm0002,St 22 of 48
CONFIDENTIAL EFTA 00131867
EFTA01274074
Resource Management Account Account name: GHISLA1NE MAXWELL Your II nandal Advisor-
(*)UBS February 2014
Friendly account name: Indiv VA9939C06
Account number, Y1 23571 55
SCOTT STACKMANLYLE CASILEL
212-821-7000800-308-3140
Your assets
Some priC es, income and current bra ueS shoem may be apprOximale. MartiLS, gains and losses may not
be accurately reflected. See imponantinSarntabon about yaw statement alba end of this Occurrent for
more Informalon.
Cash
Cash and money balances
Cash ant money balances may indtde avalable cah balances, UBS Bank USA depost account blames.
UBS AG Stanford Branch deposit account balances and money market mutual fund sweep oatances
UBS Bank USA deposit account balances are insured by the FDIC sNINn applicable limits, but are not
protected by SIPC. U85 AG Stanford Brae h deposit =cum balances are not insured by FDIC and are not
protected by SIPC Money market sweep balances are protected by SIPC but are not insured by the FDIC.
Sire the important information about your statement at the end of this dacurnmt for detain about those
balances
Openng bviance Cloung baaxe Price per mare Average Dniciend Interest Days in
Hddng on Feb 1(S) on Feb (S) on Feb 28 (1) rate period period Cep mount (1)
WS BANK USA DEP ACCT 0.00 49,545.11 250.000.00
Equities
Mutual funds
Total reinvested n the iota Cl al reinvested checlends II does rot include any cash chidends. It is rot a tar if:weak:el (Far) gain or loss is the dfference between the current value and the cost bads and would
lot toe the purposes of determining holing periods or cost basis. The shares you recewe eah one you genet,* be your tactic gin or loss if the sec urny was sold on ten date. The unreat2ed (tan gan or loss
(bluest cluckinas ttCOrne a separate tax h)1. may need 10 be arijusted for rct urn of opted payrnems In Order to determine the reined gam 01 toss lot tax
reporting purposes.
Cost basis is the told purchase cost of the security. indudno reinvestedclwiends The COO basis May need
to be lusted for return Cl tepid payments in order to deterrrine the adlusted cost bars ter far rep:wing Afestmem teRun is the current value minus the aMOunt you (Nested does not include shares that are not
purposes. /alerts on your statement, includngstares that have been reinedas either a 93n or a loss it also does
not nclucle cash dvaends INA were nos reinvested
Purchase once
forGer Average pace Client Cost PnCe Per Shaft value on unrealized nar) investment Hddng
Hddng of shares pershare (S) investment 0) bals(S) on Feb 28(S) Fib 28 (5) gain or loss (S) return (S) Period
ClEARBRIDGE
EQUITY INCOME FUND
CLASS I
Symbol. SOFYX
2339.801 ---This information was unavailable--- 18.680 43,707.45
EAI: 3741 Current yield 1 70%
COLUMBIA CONVERTIBLE
continued next page
SDNY GM 00021248
CPZ60C04CO2254941 PZ6000144229 00004 0214 030575034 Yt 23571550 cO:coo Page 23 of 48
CONFIDENTIAL EFTA_00131868
EFTA01274075
SUBS Resource Management Account
February 2014
Account name: GHISLA1NE MAXWELL
Friendly account name:Indiv VA993$006
Account number. YI 23571 55
Your A nancial Advisor
SCOTT STACKMN/LAE CASRIEL
212-82 1.7000800-3083 140
Your assets Equities . Mutual funds (continued)
Purchase oncost
Nuntne Avetaw peke Client Cost Pete per Sham Value on Unrealized Gat) irwt1IrlItill Heating
Hddng of shares per sham (5) investment CS) basis (I) on Feb 28(1) Fee 28 CD On or loss (S) telum (S) period
SECURITIES FUNDCLASSZ
Symbol: HOAX
1,987.557 information was unavailable-- 19.250 38260.47
EAI: 1844 Current yield 2 2 1%
HARBOR CONVERTIBLE
SECURITIES FUND CLASS I
Symbol: HACSX
2,833.314 —This information was unavailable-- 11.360 32,186.44
EAI: 4589 Current yield 1.83%
JP MORGAN INTREPID
EUROPEAN INST
Symbol: JFEIX
875.283 •••This information was unavailable--• 28.380 24,840.53
EAI: 475 Current yield: 030%
MATTHEWS ASIA DIVIDEND
RIND INSTL
Symbol: MIPIX
2,638.382 ---The informabon wed unavailable-- 15.220 40,156,17
EAI: 41,646 Current yield: 4.10%
SIT DIVIDEND GROWTH FUND
0.ASS I
Symbol: SINGX
2.958.635 ---This information was unavailable--- 17.600 52,071.97
EAI: 4760 Current yield 1.46%
TORTOISE MEP & PIPELLIE
RIND CLASS INSTL
Symbol: TORO(
2296.774 information was unavailable--- 16.400 37,667.09
Total $0.00 6268290.15 $0.00
Total estimated Income: MASS
CP260:040322 54942 P26000144229 00004 0214 0305750•34 iri23571ss0 000SoNVGM0002oltag 24 of 48
CONFIDENTIAL EFTA_00131869
EFTA01274076
Resource Management Account Account name: GHISLAINE MAXWELL Your Finandal Advisor:
*UBS February 2014
Friendly account narne:Indiv. V49935006
Account number Y1 23571 55
SCOTT STACKMANLYLE CASRIEL
212-821-70001800-308-3140
Your assets (continued)
Fixed income
Mutual funds
Total reinvested 4 lee tota d al reinvested &Addends does not include any cash Outten:Is is not a unrealged (ray) gas or loss is the dIference between the current vaue and the cost basis and world
tar lot for the purposes of determinng hdOng pers:OS a (Oft bans. The Shares you receive each time you genertay be your lase gan or loss if the security was sold CA INS date. The unreSiZed (tax) ganef loss may
tomest dirdends become a separate tax lot. need lobe °dusted for return of (spiel payments in order to determine the realized gran or loss for lax
report 1n0 pugposes
Cost Oases is the Iola purchase cost of the Security. inducing reinveStedciudenOS She cost basis may
need to be a:lustedtor return d captor payments in order to cUtetmne the &A ustea cost bass (or a( tnvestment tecum is Iht current vaue anus the amount you Invested. a does not include Mares that se not
reporting purposes reflected on your statement, oldtying shares than hae been realized as either a gain a a loss It also does not
include cash d‘idends that wen not reinvested
Purchase pica
Number Average pace Client Cost Price per share Value on unrealized Rs.) Inits1rnesst HolcIN
nekton of shares ;el share (i) investment (4) basis (S) on Feb 28(3) Feb 28 (S) On or loss (S) lelurn (S) period
AVENUE CREDIT STRATEGIES
FUND CLASS INSTL
Symbol: ACSBX
1734963 ---This information was unavailable--- 11.690 31,971.71
(Al: 1894 Current yield 2.80%
BLACK ROCK HIGH YIELD
BONDI
Symbol: BHYIX
7292.312 --.This information was unavailable-- 8.370 61,036,65
EAI: 33,661 Current yield 600%
COHEN & STEERS PREFERRED
SEC & INC FUND I
Symbol: CPXIX
4,493.967 --This information was unavailable.-- 13.270 59,634.94
EAI: 13,829 Current yield: 6.42°6
DOUBLE LINE TOTAL RETURN
RIND INSIL
Symbol DBLTX
12.496.155 --This information was unavailable-- 10.960 136,979.77
EAI: 16,986 Current yield: 5. 10°6
EATON VANCE FLOATING
RATE ADVANTAGE CL I
SyrnbOl. EIFAX
SDNY Garailit t page
CPZ60004C07254943 n6000144229 00004 0214 030575004 Y123571550000000 Page 25 of 48
CONFIDENTIAL EFTA_00131870
EFTA01274077
SUBS Resource Management Account
February 2014
Account name: GHISLAINE MAXWELL
friendly account name:Indiv V49935006
Account number. YI 23571 S5
Your Pi nodal Advisor
SCOTT STACK MANYLYLE CASRIEL
212.821.70001800-308.3140
Your assets . Fixed income . Mutual funds (Continued)
Purchase pied
Humber Arerap price Client Cost Price per share Value on unrealized0P 'moment Holdng
Hddng of shares pi sham (5) inflame/8 (S) bask (S) on Feb 28(1) Fib 28 (S) pin °Host (S) ratan (S) period
7,524.150 ---This information was unavailable--- 11.190 84,195.23
EAI: 44,003 Current yield: 4.75%
HARBOR HIGH YIELD BD FD
INSTITUTIONAL CL
Symbol: HYFAX
2.660.657 --This information was unavailable--- 11.100 29,533.29
EAI: 41,665 Current yield: 5.64%
HSBC TOTAL RETURN
RIND CLASS I
Symbol: HTRIX
3,858.567 --This information ',vas unavailable— 10.050 38,778.59
EAI: 3741 Current yield 191%
JP MDRGAN MULTI-SECTOR
INCOME FUND SELECT SHS
Symbol: )SISX
4,784.864 information was unavailable-- 10.370 49,619.03
EAI: 41,249 Current yield: 2.52%
METROPOLITAN WEST TOTAL
RETURN BOND FUND CLASS I
Symbol: MWTIX
7,192.344 ---This information was unavailable--- 10.710 77,030.00
EAI: 42,309 Current yield: 3.00%
F4DGEWORTH SEIX FLOATING
RATEHIGH INCOME FUND
CLASS I
Symbol: SAMBX
6502.655 --This information was unavailable-- 9.080 59044.10
EAI: 32,419 Current yield: 4.10%
T ROWE PRICE
INSTITUTIONAL FLOATING
RATE F CLASS
contAnued nert page
CP260004002254944 P26000144229 C0004 0214 033575034 Y123571SSO C00§6NyGM00021431 26 of 48
CONFIDENTIAL EFTA_00113 I 87 I
EFTA01274078
GHISLAIIVE MAXWELL
Resource Management Account Account name: Your Financial Advisor:
SUBS Friendly account naine:Indiy Ye9935C06
Account number. Y1 23571 55
SCOTT STACK MAP/ Le LE CASRIEL
212-821-7000/800-308-3140
Your assets . Fixed income . Mutual funds (continued)
Purchase pow
p.cc Ghent Cost Price per share Value on unrealized na4 investment Ploldng
tithing rre t
of shares Aper apt/, ts) investment (1) basis (t) on Feb 28 (11 Fes 28 (1) gain or toss (4) return (1) period
Symbol. if FR*
5394.060 ---This information was unavailable-- 10.290 55,504.87
EAL 12,226 Current yield 4 I 0%
Total $0.00 3663.328.18 $0.00
Total estimated annual income: $30,032
Non-traditional
Mutual funds
I: !a re rr. estear s she 'die ie a re m.ested dotlends n clots rot nc uce any cash cludends. a Is rota tax Unrealeed (tar,) gam or kiss n the °defence between the current value and Ire cost bass aid would
lot lcr the purposes of determining Pohang periods Of cost taus. The shares you receive each Mr* you generaty be your tenable gen a loss If the sec tally was sold on tan date. The unrealzed dad gen or loss
reinvest dirdend become a separate lax lot. may need to be adjusted for return of caste payments In older to determine the recited gain or toss for last
reporting purposes
Cost basis is the tole purchase con of the security, Intludng reinvested d sedends Ire cost basis may reed
to be °dustedfor return of raped payments in order to determine the adjusted cost basis for tar reporting Investment return n the current valve minus the amount you r ',rested It does not include shares that are not
purposes. reflected on your statement, includng shares that have been realizedas either a gsn cc a loss it also does
not include cash dvcrends that were not reIrrtested
Purchase Once
Writer Avelair puce Client Cost Price per sistre value on unreal:edam) imestment Hdclrig
Hcldng of shares per snare (s) investment cS1 oasis (S) on Feb 28(3) Feb 28d) gain or IOSS (5) return (I) period
GATEWAY RJNO CLASS Y
Symbol. GTEYX
1,089 208 ---Thar information was unavailable— 28.9.40 31,521.67
EAI: 1489 Current yield 1 55%
Your total assets
Percentage of Cott esti-need Ureezazed
vaue on Ftb28($1 your X COUIII taus (S) annual income (S) oan or lees (5)
Cash Cash and money balances 49,546.11 420% 49,546.11
Equities • Mutual funds 266,890.15 26.02% 4.65520
fixed income • Mutual funds 683,328.18 66.13% 30,032.00
Non•tradltional • Mutual funds 31521.67 3.05% 489.00
Total $1,033,286.11 100.00% $49,546,11 $35.176.00
• Missing cosi basis infuriation
SDNY GM 00021252
CP360034007254945 PZ600)144229 00004 0214 030575034 vt2352155000:000 Page 27 of 48
CONFIDENTIAL EFTA_00B1872
EFTA01274079
Account name: GHISLAINE MAXWELL
*UBS Resource Management Account
February 2014
Friendly account name:Indiv V49935X6
Account nu ntbe r. Y1 23571 55
Your Ilnandal Advisor:
SCOTT STACK MAMLYLE CASRIEL
212821.7000/800-308-3140
Account activity this month
Date Mikity DegoptiOn AerOunt
Deposits and other funds credited Feb26 Deposit CHECK DEPOSIT 49.546 11
Total deposit and other funds credited $49,546.11
Investment transactions
For mare Information tout the po(eivalue shown for restricted securities, see Important inlottnatbn oboot
your statement at the end of this dockment
Proceeds Iran FundS
investment vi(thdoven la Accrued
Date Activity Des( 'lotion Quantity Wawa) Pored) transactions (s) ,nvesvnents becalm CS) interest (5)
Feb26 Receive JP MORGAN INTREPID EUROPEAN INST 875.283 24,507.92
Feb26 Receive GATEWAY FUND CIASS Y 1,089.208 31,456.32
Feb26 Receive METROPOLITAN WEST TOTAL RETURN BOND 7,192.344 76,958.08
FUND CLASS I
Feb26 Receive RiDGEWORTH SEV FLOATING RATEHIGH 6,502 655 58.979 08
INCOME FUND CLASS I
Feb26 Receive HARBOR HIGH YIELD BD FD INSTITUTIONAL CL 2.660.657 29,480.07
Feb26 Receive DOUBLE LINE TOTAL RETURN FUND INSTL 12,498.155 137.604.68
Feb26 Receive COHEN & STEERS PREFERRED SEC & INC FUND I 4,493.957 59,769.76
Feb26 Receive EATON VANCE FLOATING RATE ADVANTAGE CL 7,524.150 84,195.23
Feb26 Receive MATTHEWS ASIA DIVIDEND FUND INSTL 2638.382 39,813.18
Feb26 Receive HARBOR CONVERTIBLE SKURMES FUNDCLASS 2,833 314 32,158.11
Feb 26 Receive .1P MORGAN MULTI SECTOR INCOME FUND 4,784 864 49523 34
SELECT SHS
Feb26 Receive CLEARBROGE EQUITY INCOME FUND CLASS i 2339.801 43309.71
Feb26 Receive T ROWE PRICE INSTITUTIONAL FLOATING RATE F 5,394 C60 55,504.87
CLASS
Feb 26 Receive TORTOISE MLP & PIFEUNE FUND CLASS INSTL 2,295.774 37,593.19
Feb26 Receive AVENUE CREDIT STRATEGIES FUND CLASS INSTL 2,7341.963 31,807.61
Feb26 Receive HSBC TOTAL RETURN R/ND CLASS I 3.858.567 38.662.84
Feb 26 Receive SIT DIVIDEND GROWTH FUND CLASS I 2,958.635 51.628.18
Feb26 Receive COLUMBIA CONVERTIBLE SECURITIES FUND 1,987.557 38220.72
ClA SS Z
Feb26 Receive BLACKROCK HIGH YIELD BOND 1 7,292.312 60.89380
Total
CE260004002254946 P26000144229 000G' 02140057%04 VI 23571S50 C0Ceitity_GM00028439 28 of 48
CONFIDENTIAL EFTA 00131873
EFTA01274080
Resource Management Account Account name: GNISLAINE MAXWELL Your !Mandril Advisor:
*UBS February 2014
Friendly account nun*:Imlay V49935006
Account number. 'el 23571 55
SCOTT STACK MANLYLE CASFOEL
212-821-7C00/ 800-308-3140
Account activity this month (COntaitted)
Date 40mq LVArptice Amount 153
Money balance activities Jan 31 Balance forward $0.00
Feb27 Deposit UBS BANK USA DEPOSIT ACCOUNT 49,546 11
Feb 23 Closing UBS Bank USA Deposit Account $49,546.11
The UBS Bank USA Decout Account it your primary sweep option
SONY GM 00021254
CF2600040072 54947 P260001 44229 03004 0214 030575004 Y123571550033000 Page 29 of 48
CONFIDENTIAL EFTA 00131874
EFTA01274081
*UBS
Your notes
CP260004002254948 P26000144229 00004 0214 030575004 Y1 23571 . 0 0.461 ,1Y_GM_0002IIISS 30 of 4,
End of statement for account number Y1 23571 SS
CONFIDENTIAL EFTA 00131875
EFTA01274082
Important information about your statement
LES Financial Services tic. (the F im or UBS biaxial sent you the fin stsemere on which the armor The Finn, together with certain aftEwes, ha also account held, you choose one of the following
Senakes). is a merrter of all ',Motel scanty, cannodty Problem *Peered. purchasechipplonental protection. The mprirrtrn kneserient objectbes'
and cptbis ethawes. LES Frerkial Services and U2S - bade you- name ad accost starter Of any) amount payable to al ekgible clients cobectety ado • frookke CunentIrcome. h.esb,m es seekng the
Bank USA rre rdrect subskiares of LES AG and - Desabe the *nor or he wanner you ere are this protection is 5500 million as of December 10, 2013. generation of income My.
affiliates of LES Sectritin LIC. The Fists I hondal about and.'clan as cleat as you can why you • Adam Capra!Apprenetion: Investmentswaking
statement is available upon reoea. The Fun's excite believe a is an error or thy you need more Biota to the poky conditens limitation, cash a growth of prncpal rather than the generation of
off ices at a: isfamation the Firm is further protected kr .4
mato $1.9 million n the income.
— Proud. the dollar amount d the suspected error. aggregate for all your accounts held n a pasioralar • Produce Combinaton oilman. and Capital
LES Finenoul Sermon km capacity A IA copy of tie poky undeg is /nibble Appel:lawn: 'vestments 'Meg both the generation
1200 Harbor Boulevard The Fim or Cad Issuer wi isressigete your complaint Won request. of mane and 'berth of witical.
Weehawken, to 07086 and eel correct any error promptk.
The SIPC protection and the supplementl protection Dwell ride grog's
Ibis statement represent the any oilicier record of you Please make all rheas payable to the Fain or the both do not apply to.
LES Fe-uncial Stows account. Other wads, except financial intthution eitated on tie front of this • Certain fruitier Asses controlled by (and hided • Con.wvatnt Seeks to manten MOO prectee with
officiates dot-taunt containing conflicted date should low risk and volatility to the accord mewl, thenif
stakemmt had:Mimeo nestle' accord fees. accounts your account valudb.:1 held away from US$Fine-cid that mewls the accost does not generate significant
not be relied tannest° betkve there is an error a mai be subject to mattenance fees, charges for late Services (e.g.. certain(* cash al UBS Bat Id cad, at
omission, please report it amedately narking to the income or roam and may not keep pace with
parent for wastes purchases and charges kr unpaid LES AG StanIcrd branch (1) insuraw mccbaS.
Ranch Manager ce the odic. sentig your account. amounts in cash accosts. Accounts that we transferred including %edible Malta, ad (in shares of mutual
so other institutions may be subject to a transfer fee. funds where such shares are registered dienly n elt • Moderate: Willing to accept some rids to principal and
Athacti al figures shorn T. intended to be accurate. name of the account holder on the books and records tolerate some votathty to seek higher returns,
statement data should not be used for tar purposes Rely UBS Sweep Options of tie applicable issuer or transfer agent); • Aggrezee: Wiling to accept high rids to pnnopal and
sclek craws-end tax lams, 0.e.. Form 1099. Soak UBS offers options for among cash bine; fiances high samara), to seek highreturns over time.
10425, etc) whinprewrigyour La return. The Fim to bat deposits at UBS Bat USA and UBS AG Sufficed • Certain mestmert contracts or thestment interest
required by low to report to the IRS all taxabk disident brads (Clank Sweep Progsms), money media trowel (eg., limited partneshim and prime Owen-ants) the Straternent Isouseholdne
reportthe untenable Ma:lends and tat enema h.rds Northrut) ad theInternationalDeposit we rot registered trder tie Securities Act of 1%3; We may consolidate a1related account statements with
eared an securities held in gar axant, net proceeds Accent (Okla customers with a ktemetional ad the same elites. n the sane envelue. Accounts may
on sale transactixo, and cost base cn certain covered Resource Management Accost. Through tie Bank be relitei la this purpose beaule they haw owners
onsets. Sweep Fremont, cash balances re swept to UISEret • Commodities contacts (e.g, knew excha-ge and who also maintain pia aaam relationships with other
USA up to an weabrched knit ad then to LES AG prterwamelal ccntradsk ncludtg futures contacts dents at the sane address. This practice's known as
Communications with*.Finn Stanford Brandt or e Money Fund. Deposits at UBS ad cormoditY cohort contracts. • househsling II you prefer to receive eche:WI
• Please re-confirm cry oral corms.ncatorts in wring Bak USA are FDIC nured in accordance with FDIC statements mailed in secant envercped — yOu may
to funher protect your opts in:IANyour rite rules. For mcre nlamatim please act mimedicgov. fi e SIPC protect[.' and he suppremental protection do Oka. houveholdwg by (ing you Francis' Advisor.
under the Starnes Marta Protection Ad (EPA). Deposes at UBS AG StanfordBurch std turn of not apply to these assets event they otherwise appear
Money Funds at rot incised by the FDIC. • gar Maternent. The 9PC protecticn and the Friendly accourt name
• If the finesse' hi:Motion at the top left of the front cuPPlerrientalprotenion do not protect agora changes the FrendY account name reflects alormation that you
of this statement is not UBS biaxial Sevbes. U3S Throup the OA, mailable to cash balances we swept to in the market vale of your investments (whether as a entered on the Firm's onlne senores website. h is a
Financial Services carries you account as deanng depose accounts at UBS AG New Yak Branch and UB5 result of market movement. issuer bwkruptcy ce customizable 'nick-erre' chosen by you to auks you
tacker by anargenvint wah the indexed inkiest:en AG Cayman Burch Thew deposits are not inured by otherwis)
with sour MCCirddergoggy t has no legal effect on your
We Rimmed you d this rielaniantes when you the FIX. Balances Feld at the LES AG Cayman Brads amour You can chaweyos hiendk acccunt names,
opened this accost. h this case. your Std. and are tempera* exposed toted sovereign risk of the More information is amid* li on rechost Vas may through
Entities
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- d0902347-14f6-4a3c-9c10-88827cfe43a9
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- dataset_10/49e2/EFTA01274073.pdf
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- 49e273cb017233888825d372ee4bfd6f
- Created
- Feb 4, 2026