Account Valuation Summary
Account Valuation Summary is a holdings report that lists accounts within a group and summarizes market values over varying time periods. Information on the report also includes account number, account type, account description, and an allocation of assets pie graph. |
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Asset Rebalancing
Asset Rebalancing is a holding report that illustrates current holdings as compared to the target allocation defined within Models. Information on the report includes current and target asset weighting, current market and target values variances expressed in dollars and percent. |
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Asset Summary
Asset Summary is a holdings / management report that lists all accounts, relative market values, and the account's weighted percentage as compared to all assets held system wide on a specific date. Information on the report also includes account type, account number and account performance start date. |
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Assets Under Management
Assets Under Management is a holding / management report that lists all accounts and their respective market values of holdings grouped by primary security types. Categories displayed are stocks, mutual funds, fixed income, cash and equivalents and other. Any asset not fitting into the first 4 categories are automatically placed into the category of "other". |
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Bond Holdings
The Bond Holdings is a holdings report that lists all fixed income assets held on a specific date. Information on the report includes symbol/cusip, cost basis, tax cost, current market value, weighting of the asset within the portfolio and current yield. |
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Bond Review
Bond Review is a holding report that provides a list of all fixed income securities held by a client, account, or group on a specific date. Information included on the report includes the security description, face value, tax cost, market value, accrued interest, annual income, current yield, yield to maturity, yield to first call, yield to put date, S&P rating, the Moody rating, client account name, account number, and account type. |
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Cash Balances The Cash Balances is a holdings report that lists all money market balances on active accounts for a specific date. |
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Cross Reference by Security Cross Reference by Security report is a global holdings report that lists all portfolios that own a specific security on a specific date. Information on the report also includes client name, account type, account number, quantity of shares owned, tax cost, market value, and unrealized gain/loss. |
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| Master List of Securities Master List of Securities is a holdings / management report that lists all assets held within the system on a specific date. Information on the report includes symbol/cusip, total quantity and market value. |
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Maturity Schedule
Maturity Schedule is a holdings / management report that lists all fixed income securities held on a specific date, arranged by maturity date. Information on the report includes asset owner and account information, maturity date, symbol/cusip and quantity held. |
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Projected Income and Maturities Projected Income and Maturities is a holding report that lists all assets held on a specific date with anticipated income on equities and bonds, and fixed income maturities. |
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Security Analysis by Position
Security Analysis by Position is a holdings report that lists all assets held on a specific date. Information on the report includes symbol/cusip, quantity held, cash invested, tax cost, market value and cumulative income. |
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Security Analysis by Position w/ Income |
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Statement of Assets, Detail
Statement of Assets, Detail is a holdings report that lists all assets held on a specific date, by trade lot. Information on the report includes asset weighting, symbol/cusip, acquisition date, quantity held, cost basis per share & total amount, tax cost per share, and total amount and market value per share and total amount.
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Statement of Assets w/ Commentary
Statement of Assets w/ Commentary is a holdings report that lists all assets held on a specific date with associated commentary on each holding. Information on the report includes symbol/cusip, asset weighting, market value and advisor commentary.
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Statement of Assets, Summary
Statement of Assets, Summary is a holdings report that lists all assets held on a specific date. Information on the report includes asset weighting, symbol/cusip, quantity held, cost basis, tax cost and market value. The report also contains a 3-D graphical representation of the allocation of assets.
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Unrealized Gains and Losses
Unrealized Gains & Losses is a holdings report that provides a list of all assets held on a specific date with an accounting of gains and/or losses not yet realized on all positions. The report displays tax lots with current market value by lot. Information on the report includes symbol/cusip, acquisition date, quantity, cost basis, tax cost, market value, gain/loss and percent of gain/loss.
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