Form 1-FR-FCM Statement of Financial Condition

Regulations and Forms Pertaining to Financial Integrity of the Market Place; Margin Requirements for SDs/MSPs

Form 1FR_FCM.xls

Regulations and Forms Pertaining to Financial Integrity of the Market Place

OMB: 3038-0024

Document [xlsx]
Download: xlsx | pdf

Overview

Cover
BalanceSheetAssets
BalanceSheetLiabilities
CapitalComputation
IncomeLoss
ChgsinOwnersEquity
SegregationSchedule
SegregationDealerOptions
SecuredAmounts
SecuredAmountsDeposits
SequestrationSchedule
NFASect16
NFAMiscDtl
Dtl2210A
FOIA
NFAMinCapt
NFAEqtyCapt
NFARcvbls
NFAAdvances
NFAInventory
NFAUndrMrgnAccts
NFAPropAccts
Links


Sheet 1: Cover



CFTC FORM 1-FR-FCM
0005 OMB No. 3038-0024










Name of Company:
Employer ID No:
NFA ID No:



0010
0020
0030









Address of Principal Place of Business:
Person to Contact Concerning this Report:









0040





Telephone No:



0050


0060





E-Mail Address:






0065









1. Report for the period beginning

0070



and ending:

0080














































0090































0095

















4. Name of FCM's Designated Self-Regulatoy Organization:







0100













5. Name(s) of consolidated subsidiaries and affiliated companies:






Name
Percentage Ownership
Line of Business



0110
0120
0130


0140
0150
0160


0170
0180
0190


0200
0210
0220


0230
0240
0250

































Signed this _____________________ day of _________________________, 19 ____














Manual Signature _______________________________________________________






Type or Print Name















Authority: Sections 4c, 4d, 4f, 4g, 5a, 8a, and 17 of the Commodity Exchange Act (7 U.S.C. §§ 6c, 6d, 6f, 6g, 7a, 12a and 21)














(2-88: previous editions are obsolete)















Digitally Signed by:







Sheet 2: BalanceSheetAssets


Name of Company:


Employer ID No:
NFA ID No:

0


0 0

CFTC FORM 1-FR-FCM

STATEMENT OF FINANCIAL CONDITION

AS OF 12/30/1899

Assets



Current
NonCurrent
Total










1. Funds segregated or in separate accounts pursuant to CEAct and the regulations







A. U.S. exchanges (page 11, line 13)

1000

0 1005

B. Dealer options (page 12, line 2.C.)
1010

0 1015

C. Foreign exchanges (page 14, line 8)
0 1020
1025 0 1030

D. Cleared Swaps (page 15 line 13)
0 1022
1027 0 1032

(Do not duplicate line 1. Assets below)
















2. Cash

1040
1045 0 1050










3. Securities, at market value







A. Firm owned

1055
1060 0 1065

B. Noncustomer-owned

1070

0 1075

C. Individual partners' securities accounts

1090

0 1095

D. Stock in clearing organization - cost

1100
1105 0 1110










4. Securities purchased under resale agreements

1115
1120 0 1125










5. Receivables from and deposits with U.S. commodity clearing organizations







A. Margins

1130

0 1135

B. Settlement receivable

1140

0 1145

C. Guarantee deposits

1150

0 1155

D. Net long (short) options value

1157

0 1158










6. Receivables from and deposits with foreign commodity clearing organizations







A. Margins

1160
1165 0 1170

B. Settlement receivable

1175

0 1180

C. Guarantee deposits

1182
1185 0 1190

D. Net long (short) options value

1191
1192 0 1193










7. Receivables from registered FCMs







A. Net liquidating equity

1195
1200 0 1205

B. Security Deposits



1210 0 1215

C. Other

1220
1225 0 1230










8. Receivables from foreign commodity brokers







A. Net liquidating equity

1235
1240 0 1245

B. Security deposits



1250 0 1255

C. Other

1260
1265 0 1270



















9 Receivables from traders on U.S. commodity exchanges







A. Customer debit and deficit accounts

1275
1280 0 1285

B. Noncustomer and proprietary accounts

1290
1295 0 1300

C. Other

1305
1310 0 1315

D. Allowance for doubtful accounts



1320 0 1325



















10. Receivables from traders on foreign boards of trade







A. Customer Debit and deficit accounts

1330
1335 0 1340

B. Noncustomer and proprietary accounts

1345
1350 0 1355

C. Other

1360
1365 0 1370

D. Allowance for doubtful accounts



1375 0 1380



















11. Inventories of cash commodities, raw materials, work in progress and finished goods







A. Covered

1385
1390 0 1395

B. Not covered

1400
1405 0 1410










12. Secured Demand Notes







(value of collateral








1415















1420
1425
1430 0 1435








13. Other receivables and advances







A. Merchandise accounts receivable

1440
1445 0 1450

B. Notes receivable

1455
1460 0 1465

C. Commissions and brokerage receivable

1470
1475 0 1480

D. Receivables from employees







and associated persons

1485
1490 0 1495

E. Advances on cash commodities

1500
1505 0 1510

F. Dividends and interest

1515
1520 0 1525

G. Taxes receivable

1530
1535 0 1540

H. Receivable from subsidiaries and affiliates

1545
1550 0 1555











0 1560 0 1565 0 1570

J. Allowance for doubtful accounts



1575 0 1580










14. Unreallized gains on forward contracts







and commitments

1585
1590 0 1595










15. Exchange memberships, at cost







(market value)








1600


1605 0 1610









16. Investments in subsidiaries

1612
1615 0 1620










17. Plant, property, equipment and capitalized leases







(cost net of accumulated depreciation and amortization of)








1625
1630
1635 0 1640









18 Prepaid expenses and deferred charges



1645 0 1650


















19







A. Other assets (itemize on a separate page)
0 1655 0 1660 0 1665

B. Retail Forex Aggregate Assets

1657
1662 0 1667










20 Total Assets
0 1670 0 1675 0 1680











Sheet 3: BalanceSheetLiabilities


Name of Company:
Employer ID No:
NFA ID No:

0
0 0

CFTC FORM 1-FR-FCM

STATEMENT OF FINANCIAL CONDITION

AS OF 12/30/1899

Liabilities and Ownership Equity

Liabilities












21. Payables to banks





A. Secured loans



2000

B. Unsecured loans


2010

C. Overdrafts



2020








22. Equities in commodity accounts





A. Customers trading on U.S. commodity exchanges



2030

B. Customers trading on foreign exchanges



2040

C. Customers' dealer options accounts



2050

D. Noncustomers' accounts



2060

E. General partners' trading accounts (not included in capital)



2070

F. Customer Trading Cleared Swaps



2072








23. Payable to U.S. commodity clearing organizations



2080

Including short option value $
2075










24. Payable to foreign commodity clearing organizations



2090

Including short option value $
2085










25. Payable to registered futures commission merchants



2100








26. Payable to foreign commodity brokers



2110








27. Accounts payable, accrued expenses and other payables





A. Accounts payable and accrued expenses



2120

B. Salaries, wages, commissions and bonuses payable



2130

C. Taxes payable



2140

D. Deferred income taxes



2150

E. Security deposits held



2160

F. Advances against commodities



2170

G. Unrealized losses on forward contracts and commitments



2180

H. Due to subsidiaries and affiliates



2190

I. Notes,mortgages and other payables due within twelve months



2200

J. Obligation to Retail FX Customers



2205







0 2210








28. Notes, mortgages and other payables not due within twelve months of the date of this statement





A. Unsecured



2220

B. Secured



2230















29. Securities sold under agreements to repurchase



2240








30. Securities sold not yet purchased at market value



2250








31. Liabilities subordinated to the claims of general creditors





A. Subject to a satisfactory subordination agreement



2260

B. Not subject to a satisfactory subordination agreement



2270








32. Total liabilities


0 2280








Ownership Equity












33. Sole proprietorship

2500









34. Partnership or Limited Liability Company





A. Partnership or LLC contributed and retained capital

2510


B. Additional capital per partnership agreement





(equities in partners' trading accounts, etc.)

2515


C. Total
0 2520









35. Corporation





A. Preferred stock

2530


B. Common stock

2535


C. Additional paid in capital

2540


D. Retained earnings

2545


E. Subtotal
0 2550


F. Less: capital stock in treasury

2555


G. Total
0 2560







36. Total ownership equity (line 33, 34.C, or 35.G)


0 2570








37. Total liabilities and ownership equity (add lines 32 and 36)


0 2580







Sheet 4: CapitalComputation


Name of Company:
Employer ID No:
NFA ID No:


0
0
0


CFTC FORM 1-FR-FCM

STATEMENT OF THE COMPUTATION OF THE MINIMUM CAPITAL REQUIREMENTS

AS OF 12/30/1899

Net Capital














1. Current assets (page 3, line 20)



0 3000









2. Increase/(decrease) to U.S. clearing organization stock to reflect margin value




3010









3. Net current assets



0 3020









4.Total liabilities (page 5, line 32)

0 3030










5. Deductions from total liabilities






A. Liabilities subject to satisfactory subordination






agreements (page 5, line 31. A) 0 3040




B. Certain deferred income tax liability






(see regulation 1.17(c) (4) (iv)) 0 3050




C. Certain current income tax liability






(see regulation 1.17(c) (4) (v)) 0 3060




D. Long term debt pursuant to regulation






1.17(c)(4)(vi) 0 3070




E. Total Deductions (add lines 5.A. - 5.D)

0 3080


F. Adjusted liabilities (subtract line 5.E from line 4)


0 3090









6. Net capital (subtract line 5.F from line 3)



0 3100









Charges against Net Capital (see regulation 1.17(c) (5))






7. Excess of advances paid on cash commodity




contracts over 95% of the market value


of commodities covered by such contracts 0 3110









8. Five percent (5%) of the market value of inventories covered by open futures contracts or






commodity options (no charges are applicable to inventories registered as deliverable on a






contract market and which are covered by futures contracts)



0 3120









9. Twenty percent (20%) of market value of uncovered inventories



0 3130









10. Ten percent (10%) of the market value of commodities underlying fixed price commitments






and forward contracts which are covered by open futures contracts or commodity options



0 3140









11. Twenty percent (20%) of the market value of commodities underlying fixed price






commitments and forward contracts which are not covered by open futures contracts






or commodity options



0 3150

















12. Charges as specified in section 240.15c3-1(c) (2) (vi) and (vii) against securities owned by the firm, including






securities representing investments of domestic and foreign customer funds:







Market Value
Charge



A. U.S. and Canadian Government obligations 0 3160 0 3170


B. State and Muncipal government






obligations 0 3180 0 3190


C. Certificates of Deposit, commercial






paper and bankers acceptances 0 3200 0 3210


D. Corporate obligations 0 3220 0 3230


E. Stocks and warrants 0 3240 0 3250


F. Other securities 0 3260 0 3270


G. Total charges (add lines 12.A - 12.F)



0 3280









13. Charges as specified in section 240.15c3-1(c) (2) (iv) (F)






A. Against securities purchased under agreements to resell



0 3290

B. Against securities sold under agreements to repurchase



0 3300









14. Charges on securities options as specified in section 240.15c3-1 Appendix A



0 3310









15. Undermargined commodity futures and option accounts -- amount in each account required to






meet maintenance margin requirements, less the amount of current margin calls in that account






and the amount of any noncurrent deficit in the account






A. Customer accounts



0 3320

B. Noncustomer accounts



0 3330

C. Omnibus accounts



0 3340









16. Charges against open commodity positions in proprietary accounts






A. Uncovered exchange-traded futures and granted option contracts






i. percentage of margin requirements applicable to such






contracts

0 3350


ii. less: equity in proprietary accounts included in






liabilities

0 3360 0 3370

B. Ten percent (10%) of market value of commodities which underlie commodity






options not traded on a contract market carried long by the applicant






or registrant which has value and such value increased adjusted






net capital (this charge is limited to the value attributed to such options)



0 3380

C. Commodity options which are traded on contract markets and






carried long in proprietary accounts . Charge is the same as would






be applied if the applicant or registrant was the grantor of the






options (this charge is limited to the value attributed to such options)



0 3390









17. Five percent (5%) of all unsecured receivalbes from foreign brokers



0 3410









18. Deficiency in collateral for secured demand notes



0 3420









19. Adjustment to eliminate benefits of consolidation



(explain on a separate page) 0 3430









20. Total charges (add lines 7 through 20)



0 3440









Net Capital Computation














21. Adjusted net capital (subtract line 21 from line 6)



0 3500









22. Net Capital required






A. Risk Based Requirement






i. Amount of Customer Risk






Maintenance Margin
3515




ii. Enter 8% of line 22.A.i

0 3525


iii. Amount of Non-Customer Risk






Maintenance Margin
3535




iv. Enter 8% of line 22.A.iii

0 3545


v. Enter the sum of 22.A.ii and 22.A.iv

0 3555


B. Minimum DollarAmount Requirement


3565


C. Other NFA Requirement


3575


D. Enter the greater of lines 22.A.v, 22.B or 22.C.



#VALUE! 3600









23. Excess Net Capital (line 21 less line 22.C.)



#VALUE! 3610









Computation of Early Warning Level






24. Enter the greater of 110% 22.A.v. or 150% of 22.B. or 150% of 22.C or $375,000.



#VALUE! 3620

This is your early warning capital level. If the amount is greater than the amount on line 22, you must immediately notify your






DSRO and the Commission and begin filing monthly financial reports pursuant to section 1.12 of the regulations.














Guaranteed Introducing Brokers






25 List all IBs with which guarantee agreements have been entered into by the FCM and which are currently in effect.




3650
















































(List additional IBs on a separate page)




Sheet 5: IncomeLoss












Name of Company:

Employer ID No:
NFA ID No:



0

0
0



CFTC FORM 1-FR-FCM

STATEMENT OF INCOME(LOSS)

FOR THE PERIOD FROM 12/30/1899 THROUGH 12/30/1899

Revenues







1. Commissions and brokerage








A. Commoditiy transactions on U.S. commodity exchanges






4000
B. Commodity transactions on foreign commodity exchanges






4010
C. Securities transactions




4020
D. Other brokerage activities (describe on a separate page)



0 4030










2. Firm trading accounts








A. Commoditiy transactions






4040
B. Securities transactions




4050
C. Other firm trading (describe on a separate page)



0 4060










3. Income from advisory services







4070










4. Interest and dividends








A. Interest earned on investments of customers' funds







4080
B. Interest earned on investments other than customers' funds







4090
C. Dividends







4100


















5. Other income (itemize on a separate page)


0 4110










6. Total revenue






0 4120










Expenses








7. Sales personnel commissions







4200









8. Floor brokerage







4210










9. Clerical and administrative employees' expenses







4220










10. Commissions to other FCMs







4230










11. Exchange clearance fees







4240










12. Occupancy and equipment costs







4250










13. Promotional costs







4260










14. Communications







4270










15. Data processing







4280










16. Bad debt expense







4290










17. Trade errors








A. Customers' accounts







4300
B. Other







4310










18. Interest







4320


















19. Other expenses (itemize on a separate page)


0 4330










20. Total expenses






0 4340










21. Income (loss) before income taxes and items below






0 4400










22. Provision for income taxes







4410










23. Equity in earnings (losses) of unconsolidated subsidiaries, less applicable tax







4420










24. Extraordinary gains (losses), less applicable tax







4430










25. Cumulative effect of changes in accounting principles, less applicable tax







4440










26. Net Income (loss)






0 4450

(2-88)








Sheet 6: ChgsinOwnersEquity









Name of Company: Employer ID No:
NFA ID No:


0 0
0


CFTC FORM 1-FR-FCM

STATEMENT OF CHANGES IN OWNERSHIP EQUITY

FOR THE PERIOD FROM 12/30/1899 THROUGH 12/30/1899















1. Total ownership equity as previously reported



4500







2. Net Income (loss) for the period


0 4510








3. Other Additions to capital (explain





below)
0 4520








4. Dividends



4530







5. Other deductions from capital (including partner and proprietary withdrawals)





(explain below)
0 4540








6. Balance (page 5 line 36)


0 4550








CFTC FORM 1-FR-FCM

STATEMENT OF CHANGES IN LIABILITIES SUBORDINATED TO THE CLAIMS OF GENERAL CREDITORS

PURSUANT TO A SATISFACTORY SUBORDINATION AGREEMENT

FOR THE PERIOD FROM 12/30/1899 THROUGH 12/30/1899



All satisfactory Subordinated Debt Debt that Qualifies as Equity Capital*








1. Total subordinated borrowings as previously reported

4600
4605








2. Increases (explain





below)
0 4610 0 4615








3. Decreases (explain





below)
0 4620 0 4625








4. Balance (page 5, line 31.A)
0 4630 0 4635








* Equity Capital is defined in regulation 1.17(d).





(2-88)






Sheet 7: SegregationSchedule






Name of Company: Employer ID No:
NFA ID No:
0 0
0
CFTC FORM 1-FR-FCM
STATEMENT OF SEGREGATION REQIREMENTS AND FUNDS IN SEGREGATION FOR CUSTOMERS TRADING ON U.S. COMMODITY EXCHANGES



AS OF 12/30/1899
SEGREGATION REQUIREMENTS (Section 4d(2) of the CEAct)








1. Net ledger balance



A. Cash

5000
B. Securities (at market)


5010





2. Net unrealized profit (loss) in open futures contracts traded on a contract market


5020





3. Exchange traded options



A. Market value of open option contracts purchased on a contract market


5030
B. Market value of open option contracts granted (sold) on a contract market


5040





4. Net equity (deficit) (Add lines 1, 2 and 3)

0 5050





5. Accounts liquidating to a deficit and accounts with debit balances-



gross amount
5060

Less: amount offset against U.S. Treasury obligations owned by


particular customers
5070 0 5080




6. Amount required to be segregated (add lines 4 and 5)

0 5090





FUNDS IN SEGREGATED ACCOUNTS



7. Deposited in segregated funds bank accounts



A. Cash


5100
B. Securities representing investments of customers' funds (at market)


5110
C. Securities held for particular customers or option customers in lieu of cash



margins (at market)


5120





8. Margins on deposit with clearing organizations of contract markets:



A. Cash


5130
B. Securities representing investments of customers' funds (at market)


5140
C. Securities held for particular customers or option customers in lieu of cash



margins (at market)


5150





9. Net settlement from (to) clearing organizations of contract markets


5160





10. Exchange traded options



A. Value of open long option contracts


5170
B. Value of open short option contracts


5180




11. Net equities with other FCMs



A. Net liquidating equity


5190
B. Securities representing investments of customers' funds (at market)


5200
C. Securities held for particular customers or option customers in lieu of cash (at market)


5210








12. Segregated funds on hand (describe on separate page):
0 5215





13. Total amount in segregation (add lines 7 through 12)

5220





14. Excess (deficiency) funds in segregation (subtract line 6 from line 13)

0 5230





15. Management Target Amount for Excess funds in segregation







5240





16. Excess (deficiency) funds in segregation over (under) Management Target Amount Excess






0 5250
(2-88)





Sheet 8: SegregationDealerOptions






Name of Company: Employer ID No:
NFA ID No:
0 0
0
CFTC FORM 1-FR-FCM
STATEMENT OF SEGREGATION REQIREMENTS AND FUNDS
IN SEGREGATION FOR CUSTOMERS DEALER OPTIONS ACCOUNTS
AS OF 12/30/1899










1. Amount required to be segregated in accordance with Commission regulation 32.6


5400





2. Funds in segregated accounts



a. Cash
5410

b. Securities (at market)
5420

c. Total

0 5430





3. Excess (deficiency) funds in segregation (subtract line2.C from line 1)

0 5440







Sheet 9: SecuredAmounts













Name of Company:





Employer ID No:
NFA ID No:

0





0
0

CFTC FORM 1-FR-FCM
STATEMENT OF SECURED AMOUNTS AND FUNDS HELD IN SEPARATE ACCOUNTS PURSUANT TO COMMISSION REGULATION 30.7
AS OF 12/30/1899












FOREIGN FUTURES AND FOREIGN OPTIONS SECURED AMOUNTS






















Amount required to be set aside pursuant to law, rule or regulation of a foreign










government or a rule of a self-regulatory organization authorized thereunder









5605












1. Net ledger balance - Foreign Futures and Foreign Options Trading - All Customers











A. Cash







5615

B. Securities (at market)







5617












2. Net unrealized profit (loss) in open futures contracts traded on a foreign board of trade





5625












3. Exchange traded options











A. Market value of open option contracts purchased on a foreign board of trade







5635

B. Market value of open contracts granted (sold) on a foreign board of trade







5637












4. Net equity (deficit) (add lines 1., 2., and 3.)




0 5645












5. Accounts liquidating to a deficit and accounts with











debit balances - gross amount





5651



Less: amount offset by customer owned securities





5652 0 5654












6. Amount required to be set aside as the secured amount - Net Liquidating Equity Method (add lines 4 and 5)




0 5655












7. Greater of amount required to be set aside pursuant to foreign jurisdiction (above) or line 6.




0 5660


Sheet 10: SecuredAmountsDeposits










Name of Company:



Employer ID No:
NFA ID No:
0



0
0
CFTC FORM 1-FR-FCM
STATEMENT OF SECURED AMOUNTS AND FUNDS HELD IN SEPARATE ACCOUNTS
FOR FOREIGN FUTURES AND OPTIONS CUSTOMERS
PURSUANT TO COMMISSION REGULATION 30.7
AS OF 12/30/1899









FUNDS DEPOSITED IN SEPARATE REGULATION 30.7 ACCOUNTS







1. Cash in Banks







A. Banks located in the United States




5700

B. Other banks qualified under Regulation 30.7









Name(s):

0 5720 0 5730









2. Securities







A. In safekeeping with banks located in the United States


5740

B. In safekeeping with other banks






qualified under Regulation 30.7





Name(s):
0 5760 0 5770









3. Equities with registered futures commission merchants







A. Cash




5780

B. Securities




5790

C. Unrealized gain (loss) on open futures contracts




5800

D. Value of long option contracts




5810

E. Value of short option contracts




5815 0 5820








4. Amounts held by clearing organizations of foreign boards of trade







Name(s):







A. Cash
0 5840

B. Securities
0 5850

C. Amount due to (from) clearing organizations - daily variation



0 5860

D. Value of long option contracts



0 5870

E. Value of short option contracts



0 5875 0 5880









5. Amounts held by members of foreign boards of trade







Name(s):







A. Cash
0 5900

B. Securities



0 5910

C. Amount due to (from) clearing organizations - daily variation



0 5920

D. Value of long option contracts



0 5930

E. Value of short option contracts



0 5935 0 5940









6. Amounts with other depositories designated by foreign





boards of trade Name(s):

0 5960









7. Segregated funds on hand






(describe: )


0 5965









8. Total funds in separate section 30.7 accounts (to Page 13, line 2)





0 5970









9. Excess (deficiency) set Aside Funds for Secured Amount (subtract Line 7 Secured Statement page 16 from Line 8)



0 5680









10. Management Target Amount for Excess funds in separate section 30.7 accounts




5980









11. Excess (deficiency) funds in separate 30.7 accounts over (under) Management Target



0 5985
A. If any securities shown above are other than the types of securities referred to in Commission regulation 1.25, attach a separate







schedule detailing the obligations shown on each such line.









Sheet 11: SequestrationSchedule







Name of Company: Employer ID No:
NFA ID No:

0 0
0

CFTC FORM 1-FR-FCM
STATEMENT OF CLEARED SWAPS CUSTOMER SEGREGATION REQUIREMENTS AND FUNDS IN CLEARED SWAPS CUSTOMER ACCOUNTS UNDER 4D(F) of CEA
AS OF 12/30/1899
Cleared Swaps Customer Requirements










1. Net ledger balance




A. Cash

8500
B. Securities (at market)


8510






2. Net unrealized profit (loss) in open cleared OTC derivatives


8520






3. Cleared OTC derivatives options




A. Market value of open cleared OTC derivatives option contracts purchased


8530
B. Market value of open cleared OTC derivatives option contracts granted (sold)


8540






4. Net equity (deficit) (Add lines 1, 2 and 3)

0 8550






5. Accounts liquidating to a deficit and accounts with debit balances-




gross amount
8560







Less: amount offset by customer owned securities
8570 0 8580





6. Amount required to be sequestered for cleared OTC derivatives customers (add lines 4 and 5)

0 8590






Funds in Cleared OTC Derivatives Customer Sequestered Accounts




7. Deposited in cleared OTC derivatives customer sequestered accounts at banks




A. Cash


8600
B. Securities representing investments of customers' funds (at market)


8610
C. Securities held for particular customers or option customers in lieu of cash




margins (at market)


8620






8. Margins on deposit with derivatives clearing organizations in cleared OTC derivatives customer sequestered accounts




A. Cash


8630
B. Securities representing investments of customers' funds (at market)


8640
C. Securities held for particular customers or option customers in lieu of cash




margins (at market)


8650






9. Net settlement from (to) derivatives clearing organizations


8660






10. Cleared OTC derivatives options




A. Value of open cleared OTC derivatives long option contracts


8670
B. Value of open cleared OTC derivatives short option contracts


8680





11. Net equities with other FCMs




A. Net liquidating equity


8690
B. Securities representing investments of customers' funds (at market)


8700
C. Securities held for particular customers or option customers in lieu of cash (at market)


8710












12. Cleared OTC derivatives customer funds on hand
0 8715






13. Total amount in sequestration (add lines 7 through 12)

8720






14. Excess (deficiency) funds in sequestration (subtract line 6 from line 13)

0 8730






15. Management Target Amount for Excess funds in cleared swaps segregated accounts

0 8760






16. Excess (deficiency) funds in cleared swaps customer accounts over (under)

0 8770
Management Target Excess










(2-88)





Sheet 12: NFASect16










Name of Company: Employer ID No:
NFA ID No:




0 0
0




CFTC FORM 1-FR-FCM



Exchange Supplementary



NFA Financial Requirements Section 16 Information



AS OF 12/30/1899





















Leverage Calculation







a. Total Assets


8800



b. Amount required to be segregated

0 8810



c. Amount required to be set aside in separate section 30.7 accts

0 8820



d. Amount required to be sequestered for cleared OTC

0 8830



derivatives customers







f. US Treasury securities - Long (firm owned)


8850



g. US Government agency and government sponsored entities -


8860



Long(firm owned)







h. Reverse Repos backed by US Treasury securities and


8870



US Government agency and govt sponsored entities(firm owned)







i. Ownership Equity

0 8880



j. Subordinated Loans

0 8890












Leverage




#DIV/0! 8900









Depositories













Yes 8910
During the month did the firm maintain customer segregated funds at a depository which is an affiliate?




No 8911









During the month did the firm maintain separate 30.7 funds at a depository which is an affiliate?




Yes 8920






No 8921









During the month did the firm maintain cleared swaps customer segregated funds at a depository which is an affiliate?














8925






8925

















FCM’s Customer Segregated Funds Residual Interest Target (choose one):
















a. Minimum dollar amount:


8930



b. Minimum percentage of customer segregated funds required:


8940



c. Dollar amount range between:


8950

8950
d. Percentage range of customer segregated funds required between:


8960

8960









FCM’s Customer Secured Amount Funds Residual Interest Target (choose one):
















a. Minimum dollar amount:


8970



b. Minimum percentage of customer segregated funds required:


8980



c. Dollar amount range between:


8990

8990
d. Percentage range of customer segregated funds required between:


9000

9000









FCM's Cleared Swaps Customer Collateral Residual Interest Target (choose one):
















a. Minimum dollar amount:


9010



b. Minimum percentage of cleared swaps customer collateral required:


9020



c. Dollar amount range between:


9030

9031
d. Percentage range of cleared swaps customer collateral required between:


9040

9041


















Eligible Contract Participant Information
















Did the firm act as counterparty to a forex transaction with any Eligible Contract Participants (ECPs)?


9042







9042












If yes, indicate the number of ECPs that the firm acted as a counterparty to a forex transaction(s).


9043














Sheet 13: NFAMiscDtl


Miscellaneous Adjustments to Calculations

Use this sheet to override calculations on the form


Enter the box number, reason and change amount below


Box Number Reason Amount
















































Sheet 14: Dtl2210A

Other Payables Itemization (Box 2210)


0
Description Payable Amount




























Sheet 15: FOIA








































































































































































































































































































































































































































































































































































Sheet 16: NFAMinCapt

National Futures Association Supplemental Schedule FCM





A) Capital Requirements and Restrictions





This schedule provides additional information and calculations which are required by National Futures Association but





are not provided for on the Form 1-FR. All FCMs (including securities brokers/dealers) must complete Sections A & B.





Minimum Capital Schedule must be completed before filing















1 2 3 4





Equity Suspended



Minimum Capital Early Warning Withdrawal Repayment



Requirement Requirement Restriction Restriction

A. Minimum dollar amount
1,000,000 1,500,000 #VALUE! #VALUE!

B. Calculation based on branch offices





# branch offices





# guaranteed IBs





# branch offices of guaranteed IBs





= 0 0 0 0 0

C. Calculation based on associated





persons





# associated persons





# associated persons of guaranteed IBs





= 0 0 0 0 0

D. Calculation based on customer funds





Customer funds required to be





segregated and foreign futures/





options secured amount, less market





value of options up to the amount





of funds in the customer's account
0 0 0 0

E. Forex Dealer Members ONLY





8. Gross revenue from Forex transactions





with retail customers












9. Total net aggregate notional value of all





open Forex transactions in retail customer





and non-customer (not proprietary)





accounts
0 0 0 0

10. Total aggregate retail forex assets





[Reference CFTC Regulation 5.1(b)] 0




11. Total amount of retail forex obligation





[Reference CFTC Regulation 5.1(l)] 0 0



F. Calculation based on Risk Margin
0 0 0 0

Greatest of A to F
1,000,000 1,500,000 #VALUE! #VALUE!











+ Subordinated debt maturing in next 6 mos.
0




+ Expected capital withdrawals in next 6 mos.





Total #VALUE! 0

Sheet 17: NFAEqtyCapt

National Futures Association Supplemental Schedule FCM




B) Equity Capital Ratio





Equity capital must be at least 30% of the required total shown here.










Ownership Equity 0
Ownership Equity 0

+ Qualifying subordinated debt 0
+ Total subordinated debt 0

= Equity Capital 0






= Required Total 0





















Equity Capital/Required Total: 0.0000%

Sheet 18: NFARcvbls

National Futures Association Supplemental Schedule FCM





C) Current Receivables (Balance Sheet Lines 9,10 & 13)






* - 5% if collateral is hedged but not registered as deliverable; 20% if unhedged



$0

Receivable Amount Description Market Value Charge Net NonCurrent Receivable





0 0





0 0





0 0





0 0





0 0





0 0





0 0





0 0





0 0





0 0





0 0














Sheet 19: NFAAdvances

National Futures Association Supplemental Schedule FCM




D) Advances Paid on Cash Commodities (Net Capital Computation Line 7)



$0


Collateral


Advance Amount Description Market Value Charge Net Capital Charge



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0



95% 0 0












Sheet 20: NFAInventory

National Futures Association Supplemental Schedule FCM


E) Inventory/Fixed Price Commitments/Forward Contracts (Net Capital Computation Lines 8-11)




5% charge items 0


10% charge items 0


20% charge items 0


Total Market value 0




Description Market Value Charge Pct Charge Amount



0



0



0



0



0



0



0








Sheet 21: NFAUndrMrgnAccts

National Futures Association Supplemental Schedule FCM



F) Undermargined Accounts (Net Capital Computation Line 15)






Total Charge: 0
Account Number Maint. Margin Equity Securities Current Margin Call Charge Amount




0




0




0




0




0




0




0




0




0




0




0










Sheet 22: NFAPropAccts

National Futures Association Supplemental Schedule FCM



G) Proprietary Accounts (Net Capital Computation Line 16)


0

Account Number Maint. Margin Charge Pct Charge Amount























































Sheet 23: Links

Filing_Request_Date
























































































































































Version_Date 7/31/2006























































































































































Othr_Rcvbl_Option_Choice 1

FILING_SEQUENCE NFA_ID ENDING_DATE FILENAME FILING_VERSION SIGNATURE FILING_TYPE














































































































































Prev_Othr_Rcvbl_Option_Choice 1

0 0000000 12/30/1899 00_0000000_12301899.NFA FRF38929 Unsigned C














































































































































Othr_Assets_Option_Choice 1























































































































































Prev_Othr_Assets_Option_Choice 1























































































































































Advances_Option_Choice 1























































































































































Prev_Advances_Option_Choice 1























































































































































Other_Income_Option_Choice 2























































































































































Prev_Other_Income_Option_Choice 2























































































































































Other_Expense_Option_Choice 2























































































































































Prev_Other_Expense_Option_Choice 2























































































































































Brokerage_Activity_Option_Choice 2























































































































































Prev_Brokerage_Activity_Option_Choice 2























































































































































Trading_Income_Option_Choice 2























































































































































Prev_Trading_Income_Option_Choice 2























































































































































Other_Deductions_Option_Choice 1























































































































































Prev_Other_Deductions_Option_Choice 1























































































































































Subo_Liab_Decreases_Option_Choice 2























































































































































Prev_Subo_Liab_Decreases_Option_Choice 2























































































































































Cash_Other_Banks_Option_Choice 1























































































































































Prev_Cash_Other_Banks_Option_Choice 1























































































































































Sec_Other_Banks_Option_Choice 1























































































































































Prev_Sec_Other_Banks_Option_Choice 1























































































































































Frgn_Clrng_Option_Choice 1























































































































































Prev_Frgn_Clrng_Option_Choice 1























































































































































Frgn_BOT_Members_Option_Choice 1























































































































































Prev_Frgn_Bot_Members_Option_Choice 1























































































































































Frgn_BOT_Option_Choice 1























































































































































Prev_Frgn_Bot_Option_Choice 1























































































































































Seg_Seg_on_Hand_Option_Choice 1























































































































































Prev_Seg_Seg_on_Hand_Option_Choice 1























































































































































Seg_on_Hand_Option_Choice 1























































































































































Prev_Seg_on_Hand_Option_Choice 1























































































































































Other_Payable_Option_Choice 2























































































































































Prev_Other_Payable_Option_Choice 2























































































































































Consolid_Adj_Option_Choice 1























































































































































Prev_Consolid_Adj_Option_Choice 1























































































































































Other_Additions_Option_Choice 1























































































































































Prev_Other_Additions_Option_Choice 1























































































































































Subo_Liab_Increases_Option_Choice 2























































































































































Prev_Subo_Liab_Increases_Option_Choice 2























































































































































PINEntered
























































































































































FILING_SEQUENCE 0























































































































































File Name Computation 1225 35























































































































































0 0 0





















































































































































NewFileName16 00000000.000























































































































































NewFileName32 00_0000000_12301899.NFA























































































































































NewFileName 00000000.000























































































































































Base 35 List
























































































































































0
























































































































































1
























































































































































2
























































































































































3
























































































































































4
























































































































































5
























































































































































6
























































































































































7
























































































































































8
























































































































































9
























































































































































A
























































































































































B
























































































































































C 1























































































































































D 1























































































































































E
























































































































































F
























































































































































G
























































































































































H
























































































































































I
























































































































































J
























































































































































K
























































































































































L
























































































































































M
























































































































































N
























































































































































O
























































































































































P
























































































































































Q
























































































































































R
























































































































































S
























































































































































T
























































































































































U
























































































































































V
























































































































































W
























































































































































X
























































































































































Y
























































































































































Z


















































































































































































































































































































Values to Match
























































































































































1

0





















































































































































2
























































































































































3
























































































































































4
























































































































































5
























































































































































6
























































































































































7
























































































































































8
























































































































































9
























































































































































10


















































































































































































































































































































Special Box Items
























































































































































Box_0050























































































































































Box_0040
























































































































































Box_0060























































































































































Box_0090 1























































































































































Box_0095 1























































































































































Box_5600 0























































































































































Box_5610 0























































































































































Box_5620 0























































































































































Box_5630 0























































































































































Box_5600_Series 0























































































































































Box_5640 0























































































































































BOX_8910_8911_OPTION 1 0






















































































































































BOX_8920_8921_OPTION 1 0






















































































































































Box_9240
























































































































































BOX_9042 1 1






















































































































































BOX_8925 2 1
















































































































































































































































































































CFTCDisplayedMinCapital 250,000























































































































































CFTCDisplayedExcessCapital (250,000)























































































































































CFTCDisplayedEarlyWarning #VALUE!























































































































































FirmisFDM
























































































































































FirmhasFXAffiliates
























































































































































FirmOptionsPositions
























































































































































FDMStraightThru
























































































































































Payable_to_Forex_Customers


















































































































































































































































































































Assets

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_1000 Box_1005 Box_1010 Box_1015 Box_1020 Box_1022 Box_1027 Box_1032 Box_1025 Box_1030 Box_1040 Box_1045 Box_1050 Box_1055 Box_1060 Box_1065 Box_1070 Box_1075 Box_1090 Box_1095 Box_1100 Box_1105 Box_1110 Box_1115 Box_1120 Box_1125 Box_1130 Box_1135 Box_1140 Box_1145 Box_1150 Box_1155 Box_1157 Box_1158 Box_1160 Box_1165 Box_1170 Box_1175 Box_1180 Box_1185 Box_1190 Box_1191 Box_1192 Box_1193 Box_1195 Box_1200 Box_1205 Box_1210 Box_1215 Box_1220 Box_1225 Box_1230 Box_1235 Box_1240 Box_1245 Box_1250 Box_1255 Box_1260 Box_1265 Box_1270 Box_1275 Box_1280 Box_1285 Box_1290 Box_1295 Box_1300 Box_1305 Box_1310 Box_1315 Box_1320 Box_1325 Box_1330 Box_1335 Box_1340 Box_1345 Box_1350 Box_1355 Box_1360 Box_1365 Box_1370 Box_1375 Box_1380 Box_1385 Box_1390 Box_1395 Box_1400 Box_1405 Box_1410 Box_1415 Box_1420 Box_1425 Box_1430 Box_1435 Box_1440 Box_1445 Box_1450 Box_1455 Box_1460 Box_1465 Box_1470 Box_1475 Box_1480 Box_1485 Box_1490 Box_1495 Box_1500 Box_1505 Box_1510 Box_1515 Box_1520 Box_1525 Box_1530 Box_1535 Box_1540 Box_1545 Box_1550 Box_1555 Box_1560 Box_1565 Box_1570 Box_1575 Box_1580 Box_1585 Box_1590 Box_1595 Box_1600 Box_1605 Box_1610 Box_1615 Box_1620 Box_1625 Box_1630 Box_1635 Box_1640 Box_1645 Box_1650 Box_1655 Box_1657 Box_1660 Box_1662 Box_1665 Box_1667 Box_1670 Box_1675 Box_1680 Box_1612 Box_1182



0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0


























































































































































Liabs

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_2000 Box_2010 Box_2020 Box_2030 Box_2040 Box_2050 Box_2060 Box_2070 Box_2072 Box_2080 Box_2090 Box_2100 Box_2110 Box_2120 Box_2130 Box_2140 Box_2150 Box_2160 Box_2170 Box_2180 Box_2190 Box_2200 Box_2205 Box_2210 Box_2220 Box_2230 Box_2240 Box_2250 Box_2260 Box_2270 Box_2280 Box_2500 Box_2510 Box_2515 Box_2520 Box_2530 Box_2535 Box_2540 Box_2545 Box_2550 Box_2555 Box_2560 Box_2570 Box_2580 Box_2075 Box_2085







































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0






























































































































































































































































CaptComp

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_3000 Box_3010 Box_3020 Box_3030 Box_3040 Box_3050 Box_3060 Box_3070 Box_3080 Box_3090 Box_3100 Box_3110 Box_3120 Box_3130 Box_3140 Box_3150 Box_3160 Box_3170 Box_3180 Box_3190 Box_3200 Box_3210 Box_3220 Box_3230 Box_3240 Box_3250 Box_3260 Box_3270 Box_3280 Box_3290 Box_3300 Box_3310 Box_3320 Box_3330 Box_3340 Box_3350 Box_3360 Box_3370 Box_3380 Box_3390 Box_3410 Box_3420 Box_3430 Box_3440 Box_3500 Box_3515 Box_3525 Box_3535 Box_3545 Box_3555 Box_3565 BOX_3575 Box_3600 BOX_3610 Box_3620






























































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 Box_3545 0 0 0 #VALUE! #VALUE! #VALUE!





















































































































































































































































ChgOE

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_4262 Box_4272 Box_4500 Box_4510 Box_4520 Box_4530 Box_4540 Box_4550













































































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0




































































































































































































































































































chgSL

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_4600 Box_4610 Box_4620 Box_4630 Box_4605 Box_4615 Box_4625 Box_4635













































































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0




































































































































































































































































































Cover

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Signature Box_0010 Box_0020 Box_0030 Box_0040 Box_0050 Box_0060 Box_0070 Box_0080 Box_0090 Box_0090A Box_0095 Box_0110 Box_0120 Box_0130 Box_0140 Box_0150 Box_0160 Box_0170 Box_0180 Box_0190 Box_0200 Box_0210 Box_0220 Box_0230 Box_0240 Box_0250 Box_0065

























































































































0 0000000 12/30/1899 C Unsigned 0 0 0
0 0 C 0 I 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0
















































































































































































































































































IncomeStmt

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_4000 Box_4010 Box_4020 Box_4030 Box_4040 Box_4050 Box_4060 Box_4070 Box_4080 Box_4090 Box_4100 Box_4110 Box_4120 Box_4200 Box_4210 Box_4220 Box_4230 Box_4240 Box_4250 Box_4260 Box_4270 Box_4280 Box_4290 Box_4300 Box_4310 Box_4320 Box_4330 Box_4340 Box_4400 Box_4410 Box_4420 Box_4430 Box_4440 Box_4450



















































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0










































































































































































































































































SecuredAmts

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_5600 Box_5605 Box_5615 Box_5617 Box_5625 Box_5635 Box_5637 Box_5645 Box_5651 Box_5652 Box_5654 Box_5655 Box_5660 Box_5680







































































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0






























































































































































































































































































SecuredAmtsDeps

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_5720 Box_5740 Box_5760 Box_5780 Box_5790 Box_5800 Box_5810 Box_5815 Box_5840 Box_5850 Box_5860 Box_5870 Box_5875 Box_5880 Box_5900 Box_5910 Box_5920 Box_5930 Box_5935 Box_5700 Box_5730 Box_5770 Box_5820 Box_5940 Box_5960 Box_5965 Box_5970 Box_5980 Box_5985
























































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0















































































































































































































































































SegDealerOptions

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_5400 Box_5410 Box_5420 Box_5430 Box_5440
















































































































































0 0000000 12/30/1899 C 0 0 0 0 0







































































































































































































































































































Segregation

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Box_5000 Box_5010 Box_5020 Box_5030 Box_5040 Box_5050 Box_5060 Box_5070 Box_5080 Box_5090 Box_5100 Box_5110 Box_5120 Box_5130 Box_5140 Box_5150 Box_5160 Box_5170 Box_5180 Box_5190 Box_5200 Box_5210 Box_5215 Box_5220 Box_5230 Box_5240 Box_5250 SPANC SPANP PROFIT_LOSS CURR_CUST_DD DOM_CURR_NCUST_DD
PROPCAPCHARGE



















































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0










































































































































































































































































NFAMinCapt

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE BranchOffices GuarIBs BranchGuarIBs Assoc AssocIBs CustFunds Secur1 Secur2 Secur3 Secur4 SubEquity SubSusp WidEquity wdSusp TotEquity TotSusp Check Box_8140 Box_8150 Box_8160 Box_8170
































































































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 #VALUE! 0 0 0 0 #NAME? #NAME?























































































































































































































































































NFAEqtyCapt

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE EXCESSNET OWNERSHIP OWNERSHIP2 QUALDEBT RESULT SUBDEBT















































































































































0 0000000 12/30/1899 C 0 0 0 0 0 0






































































































































































































































































































NFASystemInfo

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE Excel_Ver OS_Version



















































































































































0 0000000 12/30/1899 C 8.0e Windows (32-bit) 4.00










































































































































































































































































































Sequestration

FILING_SEQUENCE NFA_ID ENDING_DATE FILING_TYPE BOX_8500 BOX_8510 BOX_8520 BOX_8530 BOX_8540 BOX_8550 BOX_8560 BOX_8570 BOX_8580 BOX_8590 BOX_8600 BOX_8610 BOX_8620 BOX_8630 BOX_8640 BOX_8650 BOX_8660 BOX_8670 BOX_8680 BOX_8690 BOX_8700 BOX_8710 BOX_8715 BOX_8720 BOX_8730 BOX_8760 BOX_8770 BOX_8800 BOX_8810 BOX_8820 BOX_8830 BOX_8850 BOX_8860 BOX_8870 BOX_8880 BOX_8890 BOX_8900 BOX_8910 BOX_8920 BOX_8925 BOX_8930 BOX_8940 BOX_8950 BOX_8951 BOX_8960 BOX_8961 BOX_8970 BOX_8980 BOX_8990 BOX_8991 BOX_9000 BOX_9001 BOX_9010 BOX_9020 BOX_9030 BOX_9031 BOX_9040 BOX_9041 BOX_9042 BOX_9043

























































































0 0000000 12/30/1899 C 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 #DIV/0! 1 1 2 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 1 0






















































































File Typeapplication/vnd.ms-excel
File TitleiNFAst 1FR Financial Filing
SubjectElectronic Filing Document
AuthorNational Futures Association
Last Modified ByHCastro
File Modified2014-09-12
File Created1997-09-30

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