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Data delayed per exchange requirement**
Account Summary as of 08/06/2006
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Welcome to First Republic Securities


Asset Allocation
Account:
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Asset Allocation
Asset Type Total Value ($)
 spacer CASH & EQUIV. 140,000.00
 spacer EQUITIES 190,000.00
 spacer OPTIONS 332,500.00
 spacer MUTUAL FUNDS 337,500.00
Total * 1,000,000.00
If your account is carrying margin debt, the asset allocation pie chart will add the debt percentage to your account's equity balance rather than subtracting the debt percentage. As a result, the equity allocation will be overstated by the percentage of margin debt in your account.

Alerts
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Positions & Prices as of 11/29/2006
Account Number
Account Name
Total Value
123456 DEMO -$7,834,153.65
Total* -$7,834,153.65

Top 10 Positions as of as of 11/29/2006 10:15:15 ET
Account: 123456 DEMO
Data delayed per exchange requirement** 
Symbol Quantity Last Price Change Market Value
IBM 200 $91.80 $0.00 $18,360.00
KO 234.84 $46.64 $0.00 $10,952.74
DIS 320.23 $31.73 $0.00 $10,160.86
472904GN5 5,000 $104.47 $0.00 $5,223.00
751090Z38 3,000 $102.00 $0.00 $3,060.00
DELL 100.00 $24.02 $0.00 $2,402.00
CHINA 300.00 $6.24 $0.00 $1,872.00
AA 60.00 $28.33 $0.00 $1,699.80
C 30.00 $50.09 $0.00 $1,502.70
PLAY 105.00 $12.41 $0.00 $1,303.05

 
Market indices as of 04/04/2008 18:31 ET


Market
Value
$Chg
%Chg
DJIA
10573.00
NYSE
2004.40
NASDAQ
2004.00
S&P 500
1183.87
S&P 100
564.51

Watch List
No watch lists are available.


* PRICING- Securities pricing may vary from actual liquidation value. Prices shown should only be used as a general guide to portfolio value. Prices are received from various pricing services. However, pricing services are sometimes unable to provide timely information. Where pricing sources are not readily available, particularly on certain debt securities, estimated prices may be generated by a matrix system taking various factors into consideration. The pricing of listed options takes into account the last closing price, as well as the current bid and offer prices. Where securities have not been priced, such securities have not been included in the Asset Valuation information. Market Values for Fixed Income and Alternative Investments are the most recently available price.
COST BASIS- Cost basis on Fixed Income securities is adjusted for amortization, accretion or principal paydowns. Original cost basis is provided under the corresponding tax lot. The costs basis of securities positions delivered into this account has been provided to Pershing by your financial institution and we make no representation as to the accuracy of such cost basis. Unrealized gains and losses are not reported for securities for which cost basis or market values are not available.
REINVESTMENT- The dollar amount of Mutual Fund distributions, Money Market Fund income or dividends or other securities shown may have been reinvested into additional shares. You will not receive confirmation of these reinvestment transactions. However, information pertaining to these transactions which would otherwise appear on confirmations, including the time of execution and the name of the person from whom your security was purchased, will be furnished to you upon written request to your introducing firm. In dividend reinvestment transactions, Pershing acts as your agent and receives payment for order flow, the source and nature of which payment will be furnished to you upon your written request.
OPTION DISCLOSURE- Information with respect to commissions and charges incurred in connection with the execution of option transactions has been included in confirmations previously furnished to you. A summary of this information is available to you promptly upon your written request. In order to assist us in maintaining the current background and financial information concerning your option accounts, please promptly advise us in writing of any material change in your investment objectives or financial situation. Expiring options which are valuable are exercised automatically pursuant to the exercise by exception procedure of the Options Clearing Corporation. Additional information regarding this procedure is available upon written request.
ASSET ALLOCATION- Asset allocation percentages are rounded to the nearest whole percentage. Bonds that are defaulted are not included. Bond quality ratings reflect Moody's or Standard & Poor's ratings. Bonds may be rated by other services.

Special Notice to Non-U.S. Investors

Each of the investment products and services referred to on this website is intended to be made available to U.S. residents. This website shall not be considered a solicitation or offering for any investment product or service to any person in any jurisdiction where such solicitation or offer would be unlawful.
 
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**NYSE and AMEX data delayed at least 20 minutes;
NASDAQ, OTC, OTCBB and OPRA data delayed at least 15 minutes
 
All data shown above is for demonstration purposes only