| 
		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 | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
	
	
	
	
	
	
	
		
  | 
		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 | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
	
	
	
	
	
	
	
	
		
  
		 | 
		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 | 
		
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		          iv.  Enter 8% of line 22.A.iii | 
		
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		0  | 
		3545 | 
		
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		          v.  Enter the sum of 22.A.ii and 22.A.iv | 
		
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		0  | 
		3555 | 
		
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		     B.  Minimum DollarAmount Requirement  | 
		
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		3565 | 
		
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		     C.  Other NFA Requirement | 
		
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		3575 | 
		
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		     D.  Enter the greater of lines 22.A.v, 22.B or 22.C. | 
		
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		#VALUE! | 
		3600 | 
	
	
		
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		23. Excess Net Capital (line 21 less line 22.C.) | 
		
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		#VALUE! | 
		3610 | 
	
	
		
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		Computation of Early Warning Level | 
		
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		24.  Enter the greater of 110% 22.A.v. or 150% of 22.B. or 150% of 22.C or $375,000. | 
		
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		#VALUE! | 
		3620 | 
	
	
		
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		This is your early warning capital level.  If the amount is greater than the amount on line 22, you must immediately notify your | 
		
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		DSRO and the Commission and begin filing monthly financial reports pursuant to section 1.12 of the regulations. | 
		
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		Guaranteed Introducing Brokers | 
		
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		25 List all IBs with which guarantee agreements have been entered into by the FCM and which are currently in effect. | 
		
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		3650 | 
	
	
		
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		(List additional IBs on a separate page) | 
		
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		Name of Company: | 
		
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		Employer ID No: | 
		
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		NFA ID No: | 
		
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		0 | 
		
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		0 | 
		
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		0 | 
		
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		CFTC FORM 1-FR-FCM | 
		
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		STATEMENT OF INCOME(LOSS) | 
		
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		FOR THE PERIOD FROM  12/30/1899 THROUGH 12/30/1899 | 
		
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		Revenues | 
		
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		| 1.   Commissions and brokerage | 
		
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		|       A.  Commoditiy transactions on U.S. commodity exchanges | 
		
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		4000 | 
	
	
		|       B.  Commodity transactions on foreign commodity exchanges | 
		
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		4010 | 
	
	
		|       C.  Securities transactions | 
		
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		4020 | 
	
	
		|       D.  Other brokerage activities (describe on a separate page) | 
		
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		0  | 
		4030 | 
	
	
		
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		| 2.   Firm trading accounts | 
		
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		|       A.  Commoditiy transactions | 
		
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		4040 | 
	
	
		|       B.  Securities transactions | 
		
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		4050 | 
	
	
		|       C.  Other firm trading (describe on a separate page) | 
		
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		0  | 
		4060 | 
	
	
		
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		| 3.  Income from advisory services | 
		
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		4070 | 
	
	
		
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		| 4.   Interest and dividends | 
		
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		|       A.  Interest earned on investments of customers' funds | 
		
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		4080 | 
	
	
		|       B.  Interest earned on investments other than customers' funds | 
		
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		4090 | 
	
	
		|       C.  Dividends | 
		
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		4100 | 
	
	
		
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		| 5.   Other income (itemize on a separate page) | 
		
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		0  | 
		4110 | 
	
	
		
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		| 6.   Total revenue | 
		
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		0  | 
		4120 | 
	
	
		
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		| Expenses | 
		
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		| 7. Sales personnel commissions | 
		
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		4200 | 
	
	
		
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		| 8. Floor brokerage | 
		
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		4210 | 
	
	
		
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		| 9. Clerical and administrative employees' expenses | 
		
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		4220 | 
	
	
		
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		| 10. Commissions to other FCMs | 
		
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		4230 | 
	
	
		
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		| 11. Exchange clearance fees | 
		
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		4240 | 
	
	
		
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		| 12. Occupancy and equipment costs | 
		
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		4250 | 
	
	
		
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		| 13. Promotional costs | 
		
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		4260 | 
	
	
		
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		| 14. Communications | 
		
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		4270 | 
	
	
		
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		| 15. Data processing | 
		
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		4280 | 
	
	
		
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		| 16. Bad debt expense | 
		
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		4290 | 
	
	
		
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		| 17. Trade errors | 
		
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		|       A.  Customers' accounts | 
		
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		4300 | 
	
	
		|       B.  Other | 
		
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		4310 | 
	
	
		
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		| 18. Interest | 
		
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		4320 | 
	
	
		
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		| 19. Other expenses (itemize on a separate page) | 
		
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		0  | 
		4330 | 
	
	
		
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		| 20. Total expenses | 
		
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		0  | 
		4340 | 
	
	
		
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		| 21. Income (loss) before income taxes and items below | 
		
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		0  | 
		4400 | 
	
	
		
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		| 22. Provision for income taxes | 
		
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		4410 | 
	
	
		
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		| 23. Equity in earnings (losses) of unconsolidated subsidiaries, less applicable tax | 
		
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		4420 | 
	
	
		
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		| 24. Extraordinary gains (losses), less applicable tax | 
		
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		4430 | 
	
	
		
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		| 25. Cumulative effect of changes in accounting principles, less applicable tax | 
		
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		4440 | 
	
	
		
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		| 26. Net Income (loss) | 
		
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		0  | 
		4450 | 
	
	
		
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		(2-88) | 
		
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		| Name of Company: | 
		Employer ID No: | 
		
  | 
		NFA ID No: | 
		
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		| 0 | 
		0 | 
		
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		0 | 
		
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		| CFTC FORM 1-FR-FCM | 
		
	
		| STATEMENT OF SEGREGATION REQIREMENTS AND FUNDS IN SEGREGATION FOR CUSTOMERS TRADING ON U.S. COMMODITY EXCHANGES | 
		
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		| AS OF  12/30/1899 | 
		
	
		| SEGREGATION REQUIREMENTS  (Section 4d(2) of the CEAct) | 
		
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		| 1.   Net ledger balance | 
		
  | 
		
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		|       A.  Cash | 
		
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		 | 
		5000 | 
	
	
		|       B.  Securities (at market) | 
		
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  | 
		5010 | 
	
	
		
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  | 
		
  | 
	
	
		| 2.   Net unrealized profit (loss) in open futures contracts traded on a contract market | 
		
  | 
		
  | 
		
  | 
		5020 | 
	
	
		
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  | 
		
  | 
	
	
		| 3. Exchange traded options | 
		
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  | 
	
	
		|       A.  Market value of open option contracts purchased on a contract market | 
		
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  | 
		
  | 
		5030 | 
	
	
		|       B.  Market value of open option contracts granted (sold) on a contract market | 
		
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		5040 | 
	
	
		
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  | 
		
  | 
	
	
		| 4.   Net equity (deficit) (Add lines 1, 2 and 3) | 
		
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  | 
		0  
		 | 
		5050 | 
	
	
		
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  | 
	
	
		| 5.   Accounts liquidating to a deficit and accounts with debit balances- | 
		
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		|       gross amount | 
		
  
		 | 
		5060 | 
		
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		|       Less: amount offset against U.S. Treasury obligations owned by | 
		
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		|      particular customers | 
		
  
		 | 
		5070 | 
		0  | 
		5080 | 
	
	
		
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  | 
	
	
		| 6.   Amount required to be segregated (add lines 4 and 5) | 
		
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		0  
		 | 
		5090 | 
	
	
		
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		| FUNDS IN SEGREGATED ACCOUNTS | 
		
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		| 7.   Deposited in segregated funds bank accounts | 
		
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		|       A.  Cash | 
		
  | 
		
  | 
		
  
		 | 
		5100 | 
	
	
		|       B.  Securities representing investments of customers' funds (at market) | 
		
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  | 
		
  | 
		5110 | 
	
	
		|       C.  Securities held for particular customers or option customers in lieu of cash | 
		
  | 
		
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		|           margins (at market) | 
		
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  | 
		5120 | 
	
	
		
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  | 
	
	
		| 8.   Margins on deposit with clearing organizations of contract markets: | 
		
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  | 
	
	
		|       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 | 
		
  | 
		
  | 
		
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  | 
	
	
		|           margins (at market) | 
		
  | 
		
  | 
		
  | 
		5150 | 
	
	
		
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  | 
	
	
		| 9.   Net settlement from (to) clearing organizations of contract markets | 
		
  | 
		
  | 
		
  | 
		5160 | 
	
	
		
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  | 
	
	
		| 10.   Exchange traded options | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		|       A.  Value of open long option contracts | 
		
  | 
		
  | 
		
  | 
		5170 | 
	
	
		|       B.  Value of open short option contracts | 
		
  | 
		
  | 
		
  
		 | 
		5180 | 
	
	
		
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  | 
		
  | 
		
  | 
	
	
		| 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 | 
	
	
		
  | 
		
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  | 
	
	
		
  
		 | 
		
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		| 12. Segregated funds on hand (describe on separate page): | 
		
  | 
		0  | 
		5215 | 
	
	
		
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  | 
		
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  | 
	
	
		| 13. Total amount in segregation (add lines 7 through 12) | 
		
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		 | 
		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) | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
	
	
	
	
	
	
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
	
	
	
	
	
	
	
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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. | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
	
	
	
	
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
	
	
		
  | 
		
  | 
		
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		 | 
		
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  | 
		
  | 
	
	
		| 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 | 
		
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		| (2-88) | 
		
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		| Name of Company: | 
		Employer ID No: | 
		
  | 
		NFA ID No: | 
		
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  | 
	
	
		| 0 | 
		0 | 
		
  | 
		0 | 
		
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  | 
	
	
		| CFTC FORM 1-FR-FCM | 
		
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  | 
	
	
		| Exchange Supplementary  | 
		
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  | 
	
	
		| NFA Financial Requirements Section 16 Information | 
		
  | 
		
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  | 
	
	
		| AS OF  12/30/1899 | 
		
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		| Leverage Calculation | 
		
  | 
		
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		|       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 | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		|       f.  US Treasury securities - Long (firm owned) | 
		
  | 
		
  | 
		
  | 
		8850 | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		|       g.  US Government agency and government sponsored entities -  | 
		
  | 
		
  | 
		
  | 
		8860 | 
		
  | 
		
  | 
		
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  | 
	
	
		|               Long(firm owned) | 
		
  | 
		
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		|       h.  Reverse Repos backed by US Treasury securities and  | 
		
  | 
		
  | 
		
  | 
		8870 | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		|            US Government agency and govt sponsored entities(firm owned) | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
	
	
		|       i.  Ownership Equity | 
		
  | 
		
  | 
		0  | 
		8880 | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		|       j.  Subordinated Loans | 
		
  | 
		
  | 
		0  | 
		8890 | 
		
  | 
		
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  | 
	
	
		
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  | 
		
  | 
	
	
		| Leverage | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		#DIV/0! | 
		8900 | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| Depositories | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		       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 | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| Eligible Contract Participant Information | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
	
	
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
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  | 
	
	
		
  | 
		
  | 
		
  | 
		
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  | 
	
	
		
  | 
		
  | 
		
  | 
		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  | 
	
	
	
	
	
	
	
		| Filing_Request_Date | 
		
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		| Version_Date | 
		7/31/2006 | 
		
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		| Othr_Rcvbl_Option_Choice | 
		1 | 
		
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		FILING_SEQUENCE | 
		NFA_ID | 
		ENDING_DATE | 
		FILENAME | 
		FILING_VERSION | 
		SIGNATURE | 
		FILING_TYPE | 
		
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		| Prev_Othr_Rcvbl_Option_Choice | 
		1 | 
		
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		0 | 
		0000000 | 
		12/30/1899 | 
		00_0000000_12301899.NFA | 
		FRF38929 | 
		Unsigned | 
		C | 
		
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		| Othr_Assets_Option_Choice | 
		1 | 
		
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		| Prev_Othr_Assets_Option_Choice | 
		1 | 
		
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		| Advances_Option_Choice | 
		1 | 
		
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		| Prev_Advances_Option_Choice | 
		1 | 
		
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		| Other_Income_Option_Choice | 
		2 | 
		
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		| Prev_Other_Income_Option_Choice | 
		2 | 
		
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		| Other_Expense_Option_Choice | 
		2 | 
		
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		| Prev_Other_Expense_Option_Choice | 
		2 | 
		
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		| Brokerage_Activity_Option_Choice | 
		2 | 
		
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		| Prev_Brokerage_Activity_Option_Choice | 
		2 | 
		
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		| Trading_Income_Option_Choice | 
		2 | 
		
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		| Prev_Trading_Income_Option_Choice | 
		2 | 
		
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		| Other_Deductions_Option_Choice | 
		1 | 
		
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		| Prev_Other_Deductions_Option_Choice | 
		1 | 
		
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		| Subo_Liab_Decreases_Option_Choice | 
		2 | 
		
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		| Prev_Subo_Liab_Decreases_Option_Choice | 
		2 | 
		
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		| Cash_Other_Banks_Option_Choice | 
		1 | 
		
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		| Prev_Cash_Other_Banks_Option_Choice | 
		1 | 
		
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		| Sec_Other_Banks_Option_Choice | 
		1 | 
		
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		| Prev_Sec_Other_Banks_Option_Choice | 
		1 | 
		
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		| Frgn_Clrng_Option_Choice | 
		1 | 
		
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		| Prev_Frgn_Clrng_Option_Choice | 
		1 | 
		
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		| Frgn_BOT_Members_Option_Choice | 
		1 | 
		
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		| Prev_Frgn_Bot_Members_Option_Choice | 
		1 | 
		
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		| Frgn_BOT_Option_Choice | 
		1 | 
		
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		| Prev_Frgn_Bot_Option_Choice | 
		1 | 
		
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		| Seg_Seg_on_Hand_Option_Choice | 
		1 | 
		
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		| Prev_Seg_Seg_on_Hand_Option_Choice | 
		1 | 
		
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		| Seg_on_Hand_Option_Choice | 
		1 | 
		
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		| Prev_Seg_on_Hand_Option_Choice | 
		1 | 
		
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		| Other_Payable_Option_Choice | 
		2 | 
		
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		| Prev_Other_Payable_Option_Choice | 
		2 | 
		
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		| Consolid_Adj_Option_Choice | 
		1 | 
		
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		| Prev_Consolid_Adj_Option_Choice | 
		1 | 
		
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		| Other_Additions_Option_Choice | 
		1 | 
		
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		| Prev_Other_Additions_Option_Choice | 
		1 | 
		
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		| Subo_Liab_Increases_Option_Choice | 
		2 | 
		
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		| Prev_Subo_Liab_Increases_Option_Choice | 
		2 | 
		
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		| PINEntered | 
		
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		| FILING_SEQUENCE | 
		0 | 
		
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		| File Name Computation | 
		1225 | 
		35 | 
		
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		0 | 
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		| NewFileName16 | 
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		| NewFileName32 | 
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		| NewFileName | 
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		| Base 35 List | 
		
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		| 2 | 
		
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		| 4 | 
		
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		| 5 | 
		
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		| 6 | 
		
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		| 7 | 
		
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		| 8 | 
		
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		| 9 | 
		
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		| A | 
		
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		| B | 
		
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		| C | 
		1 | 
		
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		| D | 
		1 | 
		
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		| E | 
		
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		| F | 
		
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		| G | 
		
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		| H | 
		
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		| K | 
		
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		| L | 
		
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		| M | 
		
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		| N | 
		
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		| R | 
		
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		| S | 
		
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		| U | 
		
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		| Values to Match | 
		
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		| 1 | 
		
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		| 2 | 
		
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		| 3 | 
		
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		| 4 | 
		
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		| 5 | 
		
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		| 6 | 
		
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		| 7 | 
		
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		| 8 | 
		
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		| 9 | 
		
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		| 10 | 
		
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		| Special Box Items | 
		
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		| Box_0050 | 
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		| Box_0040 | 
		
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		| Box_0060 | 
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		| Box_0090 | 
		1 | 
		
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		| Box_0095 | 
		1 | 
		
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		| Box_5600 | 
		0 | 
		
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		| Box_5610 | 
		0 | 
		
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		| Box_5620 | 
		0 | 
		
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		| Box_5630 | 
		0 | 
		
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		| Box_5600_Series | 
		0 | 
		
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		| Box_5640 | 
		0 | 
		
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		| BOX_8910_8911_OPTION | 
		1 | 
		0 | 
		
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  | 
	
	
		| BOX_8920_8921_OPTION | 
		1 | 
		0 | 
		
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		| Box_9240 | 
		
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  | 
	
	
		| BOX_9042 | 
		1 | 
		1 | 
		
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		| BOX_8925 | 
		2 | 
		1 | 
		
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		| CFTCDisplayedMinCapital | 
		250,000  | 
		
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		| CFTCDisplayedExcessCapital | 
		(250,000) | 
		
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		| CFTCDisplayedEarlyWarning | 
		#VALUE! | 
		
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		| FirmisFDM | 
		
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		| FirmhasFXAffiliates | 
		
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		| FirmOptionsPositions | 
		
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		| FDMStraightThru | 
		
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		| Payable_to_Forex_Customers | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
	
	
		
  | 
		
  | 
		
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  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
  | 
		
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  | 
		
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  | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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! | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
  | 
		
  | 
		
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  | 
	
	
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
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  | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
	
	
		
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  | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
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  | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
  | 
		
  | 
		
  | 
		
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  | 
	
	
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| SegDealerOptions | 
		
  | 
		
  | 
		FILING_SEQUENCE | 
		NFA_ID | 
		ENDING_DATE | 
		FILING_TYPE | 
		Box_5400 | 
		Box_5410 | 
		Box_5420 | 
		Box_5430 | 
		Box_5440 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
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  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
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  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		0 | 
		0 | 
		0 | 
		0 | 
		0 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
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  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| 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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
	
	
		| 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 | 
		
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  | 
	
	
		
  | 
		
  | 
		
  | 
		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? | 
		
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  | 
		
  | 
	
	
		| NFAEqtyCapt | 
		
  | 
		
  | 
		FILING_SEQUENCE | 
		NFA_ID | 
		ENDING_DATE | 
		FILING_TYPE | 
		EXCESSNET | 
		OWNERSHIP | 
		OWNERSHIP2 | 
		QUALDEBT | 
		RESULT | 
		SUBDEBT | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		0  | 
		0  | 
		0  | 
		0  | 
		0  | 
		0  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		| NFASystemInfo | 
		
  | 
		
  | 
		FILING_SEQUENCE | 
		NFA_ID | 
		ENDING_DATE | 
		FILING_TYPE | 
		Excel_Ver | 
		OS_Version | 
		
  | 
		
  | 
		
  | 
		
  | 
		
  | 
		
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  | 
		
  | 
		
  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		0 | 
		0000000 | 
		12/30/1899 | 
		C | 
		8.0e | 
		Windows (32-bit) 4.00 | 
		
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  | 
	
	
		| 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 | 
		
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  | 
		
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  | 
		
  | 
		
  | 
	
	
		
  | 
		
  | 
		
  | 
		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 | 
		
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