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<?xml version="1.0" encoding="UTF-8"?>
<FlexQueryResponse queryName="Activity Query" type="AF">
<FlexStatements count="1">
<FlexStatement accountId="U1234567" fromDate="2025-01-01" toDate="2025-01-31"
period="Last30Days" whenGenerated="2025-01-31;235959">
<!-- Trades Section -->
<Trades>
<!-- Stock trade -->
<Trade accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="STK" symbol="AAPL" description="APPLE INC"
conid="265598" securityID="" securityIDType="" cusip="" isin="" listingExchange="NASDAQ"
underlyingConid="" underlyingSymbol="" underlyingSecurityID="" underlyingListingExchange=""
issuer="" multiplier="1" strike="" expiry="" putCall="" principalAdjustFactor=""
transactionType="ExchTrade" tradeID="123456789" orderID="987654321" execID="0000e1a2.65b3c4d5.01.01"
brokerageOrderID="" orderReference="" volatilityOrderLink="" exchOrderId="" extExecID=""
orderTime="2025-01-15;093000" dateTime="2025-01-15;093015" tradeDate="2025-01-15"
tradeTime="093015" settleDateTarget="2025-01-17" transactionID="567890123"
buySell="BUY" quantity="100" price="185.50" amount="-18550.00"
proceeds="-18550.00" taxes="0" ibCommission="-1.00" ibCommissionCurrency="USD"
netCash="-18551.00" closePrice="186.25" openCloseIndicator="O" notes=""
cost="18551.00" fifoPnlRealized="0" fxPnl="0" mtmPnl="75.00"
origTradePrice="" origTradeDate="" origTradeID="" origTransactionID=""
openDateTime="" holdingPeriodDateTime="" whenRealized="" whenReopened=""
levelOfDetail="EXECUTION" changeInPrice="0.75" changeInQuantity="0"
orderType="LMT" traderID="" isAPIOrder="N" />
<!-- Option trade -->
<Trade accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="OPT" symbol="AAPL 250221C00180000" description="AAPL 21FEB25 180.0 C"
conid="622145678" securityID="" securityIDType="" cusip="" isin="" listingExchange="CBOE"
underlyingConid="265598" underlyingSymbol="AAPL" underlyingSecurityID="" underlyingListingExchange="NASDAQ"
issuer="" multiplier="100" strike="180" expiry="2025-02-21" putCall="C" principalAdjustFactor=""
transactionType="ExchTrade" tradeID="123456790" orderID="987654322" execID="0000e1a2.65b3c4d6.01.01"
brokerageOrderID="" orderReference="" volatilityOrderLink="" exchOrderId="" extExecID=""
orderTime="2025-01-16;140000" dateTime="2025-01-16;140030" tradeDate="2025-01-16"
tradeTime="140030" settleDateTarget="2025-01-17" transactionID="567890124"
buySell="SELL" quantity="-1" price="7.50" amount="750.00"
proceeds="750.00" taxes="0" ibCommission="-0.65" ibCommissionCurrency="USD"
netCash="749.35" closePrice="7.25" openCloseIndicator="O" notes=""
cost="-749.35" fifoPnlRealized="0" fxPnl="0" mtmPnl="-25.00"
origTradePrice="" origTradeDate="" origTradeID="" origTransactionID=""
openDateTime="" holdingPeriodDateTime="" whenRealized="" whenReopened=""
levelOfDetail="EXECUTION" changeInPrice="-0.25" changeInQuantity="0"
orderType="LMT" traderID="" isAPIOrder="N" />
</Trades>
<!-- Open Positions Section -->
<OpenPositions>
<OpenPosition accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="STK" symbol="AAPL" description="APPLE INC"
conid="265598" securityID="" securityIDType="" cusip="" isin="" listingExchange="NASDAQ"
underlyingConid="" underlyingSymbol="" underlyingSecurityID="" underlyingListingExchange=""
issuer="" multiplier="1" strike="" expiry="" putCall="" principalAdjustFactor=""
reportDate="2025-01-31" position="100" markPrice="186.25" positionValue="18625.00"
openPrice="185.51" costBasisPrice="185.51" costBasisMoney="18551.00"
percentOfNAV="2.5" fifoPnlUnrealized="74.00" side="Long"
levelOfDetail="LOT" openDateTime="" holdingPeriodDateTime=""
code="" originatingOrderID="" originatingTransactionID="" accruedInt="" />
<OpenPosition accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="OPT" symbol="AAPL 250221C00180000"
description="AAPL 21FEB25 180.0 C"
conid="622145678" securityID="" securityIDType="" cusip="" isin="" listingExchange="CBOE"
underlyingConid="265598" underlyingSymbol="AAPL" underlyingSecurityID="" underlyingListingExchange="NASDAQ"
issuer="" multiplier="100" strike="180" expiry="2025-02-21" putCall="C" principalAdjustFactor=""
reportDate="2025-01-31" position="-1" markPrice="7.25" positionValue="-725.00"
openPrice="7.50" costBasisPrice="7.50" costBasisMoney="-750.00"
percentOfNAV="-0.1" fifoPnlUnrealized="25.00" side="Short"
levelOfDetail="LOT" openDateTime="" holdingPeriodDateTime=""
code="" originatingOrderID="" originatingTransactionID="" accruedInt="" />
</OpenPositions>
<!-- Cash Transactions Section -->
<CashTransactions>
<CashTransaction accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="" symbol="" description="ELECTRONIC FUND TRANSFER"
conid="" securityID="" securityIDType="" cusip="" isin="" underlyingConid=""
underlyingSymbol="" issuer="" multiplier="" strike="" expiry="" putCall=""
principalAdjustFactor="" date="2025-01-02" dateTime="2025-01-02;120000"
amount="10000.00" type="Deposits & Withdrawals" tradeID="" code="" transactionID="567890125"
reportDate="2025-01-02" clientReference="" levelOfDetail="DETAIL" />
<CashTransaction accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="STK" symbol="MSFT" description="MICROSOFT CORPORATION - DIVIDEND"
conid="272093" securityID="" securityIDType="" cusip="" isin="" underlyingConid=""
underlyingSymbol="" issuer="" multiplier="1" strike="" expiry="" putCall=""
principalAdjustFactor="" date="2025-01-10" dateTime="2025-01-10;000000"
amount="37.50" type="Dividends" tradeID="" code="" transactionID="567890126"
reportDate="2025-01-10" clientReference="" levelOfDetail="DETAIL" />
<CashTransaction accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="" symbol="" description="USD CREDIT INTEREST FOR JAN-2025"
conid="" securityID="" securityIDType="" cusip="" isin="" underlyingConid=""
underlyingSymbol="" issuer="" multiplier="" strike="" expiry="" putCall=""
principalAdjustFactor="" date="2025-01-31" dateTime="2025-01-31;000000"
amount="12.45" type="Broker Interest Paid" tradeID="" code="" transactionID="567890127"
reportDate="2025-01-31" clientReference="" levelOfDetail="DETAIL" />
</CashTransactions>
<!-- Corporate Actions Section -->
<CorporateActions>
<CorporateAction accountId="U1234567" acctAlias="Test Account" model="" currency="USD"
fxRateToBase="1" assetCategory="STK" symbol="GOOGL" description="ALPHABET INC-CL A"
conid="208813719" securityID="" securityIDType="" cusip="" isin="" underlyingConid=""
underlyingSymbol="" issuer="" multiplier="1" strike="" expiry="" putCall=""
principalAdjustFactor="" date="2025-01-20" dateTime="2025-01-20;000000"
amount="0" proceeds="0" value="0" quantity="0" fifoPnlRealized="0"
type="Stock Split" code="" description="ALPHABET INC-CL A(US02079K3059) Split 2 for 1"
actionID="123456" transactionID="567890128" reportDate="2025-01-20"
levelOfDetail="DETAIL" />
</CorporateActions>
<!-- Securities Info Section -->
<SecuritiesInfo>
<SecurityInfo assetCategory="STK" symbol="AAPL" description="APPLE INC"
conid="265598" securityID="037833100" securityIDType="CUSIP"
cusip="037833100" isin="US0378331005" listingExchange="NASDAQ"
underlyingConid="" underlyingSymbol="" underlyingSecurityID=""
underlyingListingExchange="" issuer="" multiplier="1" strike="" expiry=""
putCall="" principalAdjustFactor="" currency="USD" />
<SecurityInfo assetCategory="OPT" symbol="AAPL 250221C00180000" description="AAPL 21FEB25 180.0 C"
conid="622145678" securityID="" securityIDType=""
cusip="" isin="" listingExchange="CBOE"
underlyingConid="265598" underlyingSymbol="AAPL" underlyingSecurityID="037833100"
underlyingListingExchange="NASDAQ" issuer="" multiplier="100" strike="180"
expiry="2025-02-21" putCall="C" principalAdjustFactor="" currency="USD" />
<SecurityInfo assetCategory="STK" symbol="MSFT" description="MICROSOFT CORPORATION"
conid="272093" securityID="594918104" securityIDType="CUSIP"
cusip="594918104" isin="US5949181045" listingExchange="NASDAQ"
underlyingConid="" underlyingSymbol="" underlyingSecurityID=""
underlyingListingExchange="" issuer="" multiplier="1" strike="" expiry=""
putCall="" principalAdjustFactor="" currency="USD" />
</SecuritiesInfo>
<!-- Conversion Rates Section -->
<ConversionRates>
<ConversionRate reportDate="2025-01-31" fromCurrency="USD" toCurrency="USD" rate="1.000000" />
<ConversionRate reportDate="2025-01-31" fromCurrency="EUR" toCurrency="USD" rate="1.080500" />
<ConversionRate reportDate="2025-01-31" fromCurrency="GBP" toCurrency="USD" rate="1.267800" />
</ConversionRates>
</FlexStatement>
</FlexStatements>
</FlexQueryResponse>