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>MRS REETA GULATI

MR RISHI GULATI
2518 RUGBY RD
MISSISSAUGA ON L5B 1T2
Order Execution Only
Cdn. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8
Page 1 of 4
Date of Last Statement: OCT. 29, 2010
RBC Direct Investing Inc.
Local Calls:
416-977-1255
Toll Free Calls:
1-800-769-2560
Postal Address:
200 Bay Street
P.O. Box 75
Toronto, ON
M5J 2Z5
For Your Information
We now have an easier
way for you to create and
review your portfolio.
Simply go to the My Home
tab and follow the link to
learn more about how you
can use our tools to analyze,
compare and rebalance
your investments. You can
also click on Analyze &
Rebalance under the My
Portfolios tab, to learn more
about strategies for reviewing
your portfolio to help ensure
it meets your goals.
Asset Summary
Cash
Preferred Shares
Common Shares
Mutual Funds
Foreign Securities
MARKET VALUE
AT NOV. 30 %
$74,230.30-
$0.00
$0.00
$0.00
$0.00
$0.00
$74,230.30-
100.00 %
0.00 %
0.00 %
0.00 %
0.00 %
0.00 %
100.00 %
Other $0.00 0.00 %
Income Summary
Dividends
Interest
Total Income
THIS MONTH YEAR-TO-DATE
$0.00 $0.00
$0.00 $0.00
$0.00 $0.00
Cash Balance
ACCOUNT
TYPE
OPENINGBALANCE
AT OCT. 29
CLOSING BALANCE
AT NOV. 30
Margin - Long $132,574.93- $74,230.30-
Fixed Income
0019243 -DIC05 - CONTINUED ON NEXT PAGE -
MEMBER CIPF
Total on NOV. 30
Total on OCT. 29 $71,799.93-
Order Execution Only
Cdn. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 2 of 4
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
Opening Balance (OCT. 29, 2010) $132,574.93
NOV. 02 SOLD HORIZONS BETAPRO NYMEX 18,700- 3.02 56,467.05
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WE ACTED AS PRINCIPAL
CA
NOV. 04 WIRE TFR TRANSFER FUNDS TO RBC 450.00
NOV. 08 WIRE TFR TRANSFER FUNDS TO RBC 2,600.00
NOV. 08 WIRE TFR TRANSFER FUNDS TO RBC 1,000.00
NOV. 08 WIRE TFR TRANSFER FUNDS TO RBC 400.00
NOV. 08 WIRE TFR TRANSFER FUNDS TO RBC 275.00
NOV. 09 WIRE TFR TRANSFER FUNDS TO RBC 1,900.00
NOV. 09 BOUGHT HORIZONS BETAPRO NYMEX 10,000 2.93 29,302.17
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
DA
PART OF 32000 SHR
NOV. 09 BOUGHT HORIZONS BETAPRO NYMEX 20,000 2.82 56,404.34
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
DA
PART OF 32000 SHR
NOV. 09 BOUGHT HORIZONS BETAPRO NYMEX 2,000 2.79 5,580.44
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
WE ACTED AS PRINCIPAL
DA
PART OF 32000 SHR
- CONTINUED ON NEXT PAGE -
Order Execution Only
Cdn. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 3 of 4
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
NOV. 09 SOLD HORIZONS BETAPRO NYMEX 22,000- 2.87 63,135.23
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
CA
PART OF 32000 SHR
NOV. 09 SOLD HORIZONS BETAPRO NYMEX 10,000- 2.96 29,597.82
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
WE ACTED AS PRINCIPAL
CA
PART OF 32000 SHR
NOV. 10 BOUGHT HORIZONS BETAPRO NYMEX 5,000 2.97 14,851.74
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
WE ACTED AS PRINCIPAL
DA
PART OF 20000 SHR
NOV. 10 BOUGHT HORIZONS BETAPRO NYMEX 15,000 2.98 44,705.21
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
WE ACTED AS PRINCIPAL
DA
PART OF 20000 SHR
NOV. 10 SOLD HORIZONS BETAPRO NYMEX 20,000- 3.00 59,993.05
NATURAL GAS BULL PLUS ETF
UNIT CL A NO PAR
WITH DUE-BILL SPLIT
CA
NOV. 22 INTEREST INT FR 10/22 THRU11/21@ 4 1/4% 379.62
BAL 80,850 AVBAL 105,169
NOV. 24 WIRE TFR TRANSFER FUNDS FROM RBC 7,000.00
Closing Balance (NOV. 30, 2010) $74,230.30
_________________________________________________________________________________________
0019244 -DIC05 - CONTINUED ON NEXT PAGE -
FOOTNOTES * - Indicates fully paid for securities registered in your name and held by us on your behalf.
# - Part or all of the Book Value on this security position has been provided by you.
- Includes accrued interest.
- Part or all of the Book Value on this security position is unknown. Please contact your RBC Direct Investing Centre
to update your statement records.
- The Book Value of this security is temporarily unavailable due to pending corporate events. Please contact
your RBC Direct Investing Centre for additional information.
- The Book Value of this security is unavailable. Please contact your RBC Direct Investing Centre for additional information.
- Converted U.S. dollar contributions or withdrawals are included in your plan summary.
GST/HST # R122780893
QST # 1003874458
If you have a service request or a question about the details of your statement, please contact your RBC Direct Investing Contact
Centre at 1-800-769-2560 or write to us at:
200 Bay Street
P.O. Box 75
Toronto, ON
M5J 2Z5 http://www.rbcdirectinvesting.com
Please check this Account Statement without delay and advise us of any error or omission within 30 days of the statement date.

***
Please note: Some of these footnotes (#,, ) only apply to non-registered accounts.

TM
TM
- We may make recommendations and facilitate trades in securities of related issuers and connected issuers of the firm in your account. For a list of
such related issuers and connected issuers, refer to the following website: www.rbc.com/issuers-disclosures or contact your investment or trading
representative.
- Market price and Book Value represent currently available prices. Some securities in your portfolio may not be priced because data was unavailable. Market
prices and Book Values shown are obtained from sources we believe are reliable but we do not guarantee their accuracy.
- The Book Value of any security is calculated as the total of all purchases, including any commissions, less the value of any sales. Some securities, such as
Mutual Funds, distribute income that is automatically reinvested in the same security. For those types of securities, Book Value will also include the total
cost of all these reinvested income distributions.
- Fully paid securities are segregated on the records of our custodian and cannot be used in the normal course of our business. Any free credit balance
for non-registered accounts represents funds payable on demand, which although properly recorded in our books, are not segregated and may be used in
the normal course of our business.
- A copy of our most recent summary of financial position, a list of directors and senior officers and certain additional information about us including information
about commissions, fees and administrative proceedings that may relate to the firm or our staff are available for your personal inspection at our office, or a copy
will be mailed to you upon written request.
- Customers accounts are protected by the Canadian Investor Protection Fund within specified limits. A brochure describing the nature and limits of coverage is
available upon request.
- Income derived from mutual funds will be included on a T5 or T3 that will be issued by each mutual fund management company. As such, this income is
not reported in the "Income Summary" of your account statement.
- With the exception of Registered Retirement Savings Accounts, Canadian Income Tax regulations require RBC Direct Investing Inc. to disclose to Canada Customs
and Revenue Agency on a yearly basis transactions involving the sale, redemption or maturity of securities. Such transactions must be reported on your Annual
Income Tax return. This statement should be retained with your Income Tax records as evidence of disposition.
- We or affiliate act as principal on foreign currency conversions and fixed income transactions and apply discretionary currency conversion rates. The
foreign currency conversion rate shown on the confirmation statement includes our or our affiliates spread-based revenues for performing this function.
Spread means the difference between the rate we or our affiliates obtain and the rate you receive.
- RBC Direct Investing Inc. may obtain trade execution and certain other services for client accounts from RBC Dominion Securities Inc. and CDI.
- Please note the following security description abbreviations may appear on your statement : NON VTG for non-voting shares; RES VTG for restricted
voting shares; SUB VTG for subordinate voting shares.
- RBC Direct Investing Inc.* and Royal Bank of Canada are separate corporate entities which are affiliated. *Member CIPF. RBC Direct Investing Inc.
does not provide investment advice or recommendations regarding the purchase or sale of any securities. Investors are responsible for their
own investment decisions. RBC Direct Investing is a business name used by RBC Direct Investing Inc. Trademark of Royal Bank of Canada.
Registered trademark of Royal Bank of Canada. Used under license. Copyright 2010. All rights reserved.
Order Execution Only
Cdn. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 4 of 4
______________________________________________________________________________
>MRS REETA GULATI
MR RISHI GULATI
2518 RUGBY RD
MISSISSAUGA ON L5B 1T2
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8
Page 1 of 6
Date of Last Statement: OCT. 29, 2010
RBC Direct Investing Inc.
Local Calls:
416-977-1255
Toll Free Calls:
1-800-769-2560
Postal Address:
200 Bay Street
P.O. Box 75
Toronto, ON
M5J 2Z5
For Your Information
We now have an easier
way for you to create and
review your portfolio.
Simply go to the My Home
tab and follow the link to
learn more about how you
can use our tools to analyze,
compare and rebalance
your investments. You can
also click on Analyze &
Rebalance under the My
Portfolios tab, to learn more
about strategies for reviewing
your portfolio to help ensure
it meets your goals.
Asset Summary
Cash
Preferred Shares
Common Shares
Mutual Funds
Foreign Securities
MARKET VALUE
AT NOV. 30 %
$48,093.30-
$0.00
$0.00
$164,250.00
$0.00
$0.00
$116,156.70
41.40-%
0.00 %
0.00 %
141.40 %
0.00 %
0.00 %
100.00 %
Other $0.00 0.00 %
Income Summary
Dividends
Interest
Total Income
THIS MONTH YEAR-TO-DATE
$0.00 $240.00
$0.00 $0.00
$0.00 $240.00
Cash Balance
ACCOUNT
TYPE
OPENINGBALANCE
AT OCT. 29
CLOSING BALANCE
AT NOV. 30
Margin - Long $129,182.57 $48,093.30-
Fixed Income
0019245 -DIC05 - CONTINUED ON NEXT PAGE -
MEMBER CIPF
Total on NOV. 30
Total on OCT. 29 $129,171.12
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 2 of 6
______________________________________________________________________________
Asset Review
QUANTITY/ MKT. BOOK MARKET SECURITY
SEGREGATED PRICE VALUE VALUE SYMBOL
_________________________________________________________________________________________
Common Shares
BANK OF AMERICA CORP BAC 15,000 10.950 188,427.12 $164,250.00
Total Value of Common Shares 188,427.12 $164,250.00
_________________________________________________________________________________________
Total Value of All Securities 188,427.12 $164,250.00
_________________________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
Opening Balance (OCT. 29, 2010) $129,182.57
NOV. 02 BOUGHT BANK OF AMERICA CORP 5,000 11.52 57,602.32
DA
PART OF 15000 SHR
NOV. 02 BOUGHT BANK OF AMERICA CORP 10,000 11.52 115,204.63
DA
PART OF 15000 SHR
NOV. 05 BOUGHT BANK OF AMERICA CORP 5,000 11.539 57,701.18
DA
PART OF 20881 SHR
NOV. 05 BOUGHT BANK OF AMERICA CORP 5,881 11.549 67,924.56
DA
PART OF 20881 SHR
NOV. 05 BOUGHT BANK OF AMERICA CORP 10,000 11.51 115,103.32
DA
PART OF 20881 SHR
NOV. 05 SOLD BANK OF AMERICA CORP 20,880- 11.572 241,629.34
CA
NOV. 08 BOUGHT BANK OF AMERICA CORP 5,069 11.48 58,193.41
DA
PART OF 27500 SHR
NOV. 08 BOUGHT BANK OF AMERICA CORP 2,431 11.48 27,908.49
DA
PART OF 27500 SHR
- CONTINUED ON NEXT PAGE -
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 3 of 6
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
NOV. 08 BOUGHT BANK OF AMERICA CORP 5,000 11.519 57,600.76
DA
PART OF 27500 SHR
NOV. 08 BOUGHT BANK OF AMERICA CORP 10,000 11.52 115,202.51
DA
PART OF 27500 SHR
NOV. 08 BOUGHT BANK OF AMERICA CORP 5,000 11.49 57,451.28
DA
PART OF 27500 SHR
NOV. 08 SOLD BANK OF AMERICA CORP 6,754- 11.51 77,735.50
CA
PART OF 27500 SHR
NOV. 08 SOLD BANK OF AMERICA CORP 14,291- 11.525 164,699.03
CA
PART OF 27500 SHR
NOV. 08 SOLD BANK OF AMERICA CORP 6,455- 11.54 74,487.74
CA
PART OF 27500 SHR
NOV. 09 SOLD BANK OF AMERICA CORP 15,000- 11.80 176,990.05
CA
NOV. 10 BOUGHT BANK OF AMERICA CORP 5,000 12.439 62,199.82
DA
PART OF 15000 SHR
NOV. 10 BOUGHT BANK OF AMERICA CORP 10,000 12.43 124,304.63
DA
PART OF 15000 SHR
NOV. 12 BOUGHT BANK OF AMERICA CORP 5,000 12.499 62,502.98
DA
PART OF 10000 SHR
NOV. 12 BOUGHT BANK OF AMERICA CORP 5,000 12.509 62,552.97
DA
PART OF 10000 SHR
NOV. 12 BOUGHT BANK OF AMERICA CORP 30,000 12.54 376,209.95
DA 7NF
0019246 -DIC05 - CONTINUED ON NEXT PAGE -
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 4 of 6
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
NOV. 12 BOUGHT BANK OF AMERICA CORP 5,000 12.49 62,452.31
DA
PART OF 15000 SHR
NOV. 12 BOUGHT BANK OF AMERICA CORP 10,000 12.489 124,902.14
DA
PART OF 15000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 12,350- 12.53 154,741.77
CA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 10,000- 12.52 125,197.02
CA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 45,000- 12.584 566,272.51
CA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 2,650- 12.53 33,203.62
CA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 3,900- 12.61 49,177.78
SHORT
SHORT.
DA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 1,100- 12.61 13,870.67
SHORT
SHORT.
DA
PART OF 80000 SHR
NOV. 12 SOLD BANK OF AMERICA CORP 5,000- 12.62 63,098.87
SHORT
SHORT.
DA
PART OF 80000 SHR
NOV. 15 MARKET MARK TO MARKET 445.61
NOV. 15 MARKET MARK TO MARKET SHORT POS 445.61
- CONTINUED ON NEXT PAGE -
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 5 of 6
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
NOV. 15 BOUGHT BANK OF AMERICA CORP 5,000 12.59 62,950.87
DA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 5,000 12.56 62,800.87
DA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 5,000 12.579 62,900.37
DA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 5,000 12.539 62,700.40
DA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 10,000 12.55 125,501.73
DA
PART OF 40000 SHR
NOV. 15 SOLD BANK OF AMERICA CORP 15,000- 12.62 189,289.81
CA
NOV. 15 BOUGHT BANK OF AMERICA CORP 2,100 12.57 26,397.37
COVER SHORT.
CA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 1,900 12.57 23,883.31
COVER SHORT.
CA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 2,100 12.57 26,397.35
COVER SHORT.
CA
PART OF 40000 SHR
NOV. 15 BOUGHT BANK OF AMERICA CORP 3,900 12.57 49,023.68
COVER SHORT.
CA
PART OF 40000 SHR
NOV. 22 INTEREST INT FR 10/22 THRU11/21@ 4 3/4% 96.37
BAL 47,996 AVBAL 23,887
0019247 -DIC05 - CONTINUED ON NEXT PAGE -
FOOTNOTES * - Indicates fully paid for securities registered in your name and held by us on your behalf.
# - Part or all of the Book Value on this security position has been provided by you.
- Includes accrued interest.
- Part or all of the Book Value on this security position is unknown. Please contact your RBC Direct Investing Centre
to update your statement records.
- The Book Value of this security is temporarily unavailable due to pending corporate events. Please contact
your RBC Direct Investing Centre for additional information.
- The Book Value of this security is unavailable. Please contact your RBC Direct Investing Centre for additional information.
- Converted U.S. dollar contributions or withdrawals are included in your plan summary.
GST/HST # R122780893
QST # 1003874458
If you have a service request or a question about the details of your statement, please contact your RBC Direct Investing Contact
Centre at 1-800-769-2560 or write to us at:
200 Bay Street
P.O. Box 75
Toronto, ON
M5J 2Z5 http://www.rbcdirectinvesting.com
Please check this Account Statement without delay and advise us of any error or omission within 30 days of the statement date.

***
Please note: Some of these footnotes (#,, ) only apply to non-registered accounts.

TM
TM
- We may make recommendations and facilitate trades in securities of related issuers and connected issuers of the firm in your account. For a list of
such related issuers and connected issuers, refer to the following website: www.rbc.com/issuers-disclosures or contact your investment or trading
representative.
- Market price and Book Value represent currently available prices. Some securities in your portfolio may not be priced because data was unavailable. Market
prices and Book Values shown are obtained from sources we believe are reliable but we do not guarantee their accuracy.
- The Book Value of any security is calculated as the total of all purchases, including any commissions, less the value of any sales. Some securities, such as
Mutual Funds, distribute income that is automatically reinvested in the same security. For those types of securities, Book Value will also include the total
cost of all these reinvested income distributions.
- Fully paid securities are segregated on the records of our custodian and cannot be used in the normal course of our business. Any free credit balance
for non-registered accounts represents funds payable on demand, which although properly recorded in our books, are not segregated and may be used in
the normal course of our business.
- A copy of our most recent summary of financial position, a list of directors and senior officers and certain additional information about us including information
about commissions, fees and administrative proceedings that may relate to the firm or our staff are available for your personal inspection at our office, or a copy
will be mailed to you upon written request.
- Customers accounts are protected by the Canadian Investor Protection Fund within specified limits. A brochure describing the nature and limits of coverage is
available upon request.
- Income derived from mutual funds will be included on a T5 or T3 that will be issued by each mutual fund management company. As such, this income is
not reported in the "Income Summary" of your account statement.
- With the exception of Registered Retirement Savings Accounts, Canadian Income Tax regulations require RBC Direct Investing Inc. to disclose to Canada Customs
and Revenue Agency on a yearly basis transactions involving the sale, redemption or maturity of securities. Such transactions must be reported on your Annual
Income Tax return. This statement should be retained with your Income Tax records as evidence of disposition.
- We or affiliate act as principal on foreign currency conversions and fixed income transactions and apply discretionary currency conversion rates. The
foreign currency conversion rate shown on the confirmation statement includes our or our affiliates spread-based revenues for performing this function.
Spread means the difference between the rate we or our affiliates obtain and the rate you receive.
- RBC Direct Investing Inc. may obtain trade execution and certain other services for client accounts from RBC Dominion Securities Inc. and CDI.
- Please note the following security description abbreviations may appear on your statement : NON VTG for non-voting shares; RES VTG for restricted
voting shares; SUB VTG for subordinate voting shares.
- RBC Direct Investing Inc.* and Royal Bank of Canada are separate corporate entities which are affiliated. *Member CIPF. RBC Direct Investing Inc.
does not provide investment advice or recommendations regarding the purchase or sale of any securities. Investors are responsible for their
own investment decisions. RBC Direct Investing is a business name used by RBC Direct Investing Inc. Trademark of Royal Bank of Canada.
Registered trademark of Royal Bank of Canada. Used under license. Copyright 2010. All rights reserved.
Order Execution Only
U.S. Dollar Statement
NOV. 30
2010
Your Account Number: 681-40258-2-8 6 of 6
______________________________________________________________________________
Account Activity
PRICE
QUANTITY \RATE DEBIT CREDIT DATE ACTIVITY DESCRIPTION
Closing Balance (NOV. 30, 2010) $48,093.30
_________________________________________________________________________________________

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