DST Vision Account Management Simplified
 spacerAssetsClientsStatementsNSite myPLANnetwork     
Assets > Mgmt Co Asset Summary > Accounts > Account Details
Automatic Redemptions
GLOBAL PRIME INVESTORS FUNDS   
Statements
Statements
Transactions
Purchase
Redeem
Exchange
Maintenance
Auto Agreements
Dlr#/Branch#/Rep#
Cost Basis
Details
Acct Overview
Acct Value by Date
Transaction History
Maintenance History
Hypothetical Calculator
Auto Purchases
Auto Redemptions
Auto Exchanges
Bank Information
Cost Basis
Beneficiary & Retirement Details
2012 Tax Summary
2011 Tax Summary
Dividend Reinvestment
Pending Trades
Secondary Mailing Addresses
Breakpoint Center:
 - Letter of Intent
 - Rights of Accumulation
Certificates
Account #:  7705486225
BIN #:  8621212250012
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
ACH Redemption:  $3,000.00     Retirement Redeem Type:  N/A
  View Bank Information Back-End Sales Charge Type:  Gross
Start Date:  07/03/2001 Payee:  N/A
Stop Date:  Statement Frequency:  Always
Processing Date(s):  9
  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Process: Y Y N Y Y Y Y Y Y Y S Y
Check Redemption:  2,000.0000 Shares     Retirement Redeem Type:  N/A
  View Bank Information Back-End Sales Charge Type:  Gross
Start Date:  07/03/2001 Payee:  N/A
Stop Date:  Statement Frequency:  Always
Processing Date(s):  9
  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec
Process: Y Y N Y Y N Y Y Y Y S Y
Top of page
Y - Agreement will process for that month.
N - Agreement will not process for that month.
S - Agreement will skip the specified month once.

Contact Us | Disclaimer

Copyright © 2009 DST Systems, Inc. All Rights Reserved.