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GLOBAL PRIME INVESTORS FUNDS
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Breakpoint Center:
-
Letter of Intent
-
Rights of Accumulation
Certificates
Account #:
7705486225
BIN #:
9847220
Tax ID/SSN:
000-00-0000
Registration:
MARY SMITH
2105 MAIN ST
KANSAS CITY MO 64108
Phone #:
- Day:
(816) 936-2986
- Evening:
(816) 435-4112
Mgmt Co:
GLOBAL PRIME INVESTORS FUNDS
Fund Name:
GROWTH FUND CLASS A
View Fund Details
Fund Code:
96
Ticker:
GPGWX
Total Shares:
3,116.2159
CUSIP:
531545102
Account Value:
$18,454.09
Account Type:
02 - INDIVIDUAL
Reports
Issued Shares:
0.0000
Unissued Shares:
3,116.2159
Escrow Shares:
0.0000
Total Shares:
3,116.2159
NAV (as of ):
$5.9200
NAV $ Change:
-$0.07
NAV % Change:
-0.97%
Account Value:
$18,454.09
Daily Dividend Accrual:
$1.80
Tax Withholding
1. Reason:
B-Notice
Rate:
28%
2. Reason:
Non-Resident Alien
Country:
England
Rate:
28%
Active Account Options
ACH Privileges
Audio Response
Check Writing
Correspondence Pending
Telephone Exchange
Telephone Check Redemption
Dealer of Record
Name:
BEST FINANCIAL
Dealer #/Branch#:
0045202/436
Rep/Advisor Name:
JOE REP
Rep/Advisor #:
111
NSCC Firm #/Agent:
Clearing Dealer
Name:
PERSHING
Dealer #:
0001
Capital Gains:
Reinvest
Dividends:
Reinvest
Date Established:
02/18/1994
Last Maintenance:
Matrix Level:
0
BIN #:
Name Search Code:
SMITHMARY-
ROA #:
501810
Letter of Intent #:
610673
Trust Name:
Trust #:
0
TPA Name:
5001
TPA #:
0
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