Primary Account: 000000739110438 For the Period 3/30/13 to 4/30/13 Consolidated Summary Assets Account Number Prior Period Value Current Period Value Change In Value Checking Private Client Checking Plus 000000739110438 684,047.96 389.720 20 (294,327.76) Savings Private Client Savings 000003040543620 56,809.79 56.819 73 9.94 Total Assets S740,857.75 $446,539.93 ($294,317.82) All Su tttttt am Bah es awnn here art• as of April 30. 2013 unless other,, ba stated. For details of our retirement accounts. credit ACCOUtli 3 or securities accounts. statements. valance al nnnan Information for annuities Is provided In. the Issuing Insurance c lllll panics and believed to be reliable n hhout guarantee of its completeness or ACCOrat, products and services are offered b, 3PAlorgan Chase hank, N.A. and its affiliates. J.P.Morgan Confidential Treatment Requested by JPMorgan Chase CONFIDENTIAL von receive sepanue Rank Page 2 of 10 JPM-SDNY-00003405 SDNY_GM_00272603 EFTA01482269