E*TRADE Financial Corporation Reports Monthly Activity for July 2019

World News: . []

E*TRADE Financial Corporation (NASDAQ: ETFC) today released its Monthly Activity Report for July 2019.

Monthly Activity Data

Jul-19

Jun-19

Jul-18

% Chg. M/M

% Chg. Y/Y

Trading days

21.5

 

20.0

 

20.5

 

N.M.

N.M.

 

 

 

 

 

 

DARTs

255,423

 

252,271

 

242,413

 

1%

5%

Derivative DARTs

90,368

 

87,434

 

83,216

 

3%

9%

Derivative DARTs %

35

%

35

%

34

%

—%

1%

 

 

 

 

 

 

Margin receivables ($B)

$

9.9

 

$

9.9

 

$

11.0

 

—%

(10)%

 

 

 

 

 

 

Net new retail accounts

(11,522

)

18,543

 

(5,940

)

N.M.

(94)%

Net new advisor services accounts

(465

)

174

 

855

 

N.M.

N.M.

Net new corporate services accounts

21,757

 

15,592

 

27,307

 

40%

(20)%

Net new accounts

9,770

 

34,309

 

22,222

 

(72)%

(56)%

 

 

 

 

 

 

End of period retail accounts

5,111,147

 

5,122,669

 

3,986,635

 

—%

28%

End of period advisor services accounts

150,810

 

151,275

 

148,495

 

—%

2%

End of period corporate services accounts

1,875,632

 

1,853,875

 

1,693,661

 

1%

11%

End of period accounts

7,137,589

 

7,127,819

 

5,828,791

 

—%

22%

 

 

 

 

 

 

Net new retail assets ($B)(1)

$

0.2

 

$

1.1

 

$

0.4

 

(82)%

(50)%

Net new advisor services assets ($B)(1)

0.1

 

 

0.1

 

N.M.

—%

Net new retail and advisor services assets ($B)

$

0.3

 

$

1.1

 

$

0.5

 

(73)%

(40)%

 

 

 

 

 

 

Total Customer Assets ($B)

 

 

 

 

 

Security holdings

$

289.2

 

$

286.6

 

$

263.7

 

1%

10%

Cash and deposits

63.1

 

62.2

 

57.2

 

1%

10%

Retail and advisor services assets

$

352.3

 

$

348.8

 

$

320.9

 

1%

10%

Corporate services vested assets

147.3

 

142.3

 

127.0

 

4%

16%

Retail, advisor services, and corporate

services vested assets

$

499.6

 

$

491.1

 

$

447.9

 

2%

12%

Corporate services unvested holdings

123.1

 

117.0

 

109.3

 

5%

13%

Total customer assets

$

622.7

 

$

608.1

 

$

557.2

 

2%

12%

 

 

 

 

 

 

Net (Buy) / Sell Activity ($B)

 

 

 

 

 

Retail net (buy) / sell activity

$

0.4

 

$

1.1

 

$

(1.0

)

N.M.

N.M.

Advisor services net (buy) / sell activity

 

0.1

 

0.1

 

N.M.

N.M.

Net (buy) / sell activity

$

0.4

 

$

1.2

 

$

(0.9

)

N.M.

N.M.

 

 

 

 

 

 

Total Cash and Deposits ($B)

 

 

 

 

 

Sweep deposits

$

30.4

 

$

31.7

 

$

37.2

 

(4)%

(18)%

Customer payables

10.9

 

10.6

 

10.0

 

3%

9%

Savings, checking and other banking assets

9.1

 

8.6

 

4.9

 

6%

86%

Total on-balance sheet cash

$

50.4

 

$

50.9

 

$

52.1

 

(1)%

(3)%

Sweep deposits at unaffiliated financial institutions

10.9

 

9.6

 

3.6

 

14%

203%

Money market funds and other

1.8

 

1.7

 

1.5

 

6%

20%

Total customer cash held by third parties(2)

$

12.7

 

$

11.3

 

$

5.1

 

12%

149%

Total cash and deposits

$

63.1

 

$

62.2

 

$

57.2

 

1%

10%

(1) Net new retail and advisor services assets exclude the effects of market movements in the value of retail and advisor services assets.

(2) Customer cash held by third parties is held outside E*TRADE Financial and includes money market funds and sweep deposit accounts at unaffiliated financial institutions. Customer cash held by third parties is not reflected in the Company's condensed consolidated balance sheet and is not immediately available for liquidity purposes.

Historical metrics and financials can be found on E*TRADE Financial's corporate website at LINK  .

About E*TRADE Financial Corporation

E*TRADE Financial Corporation and its subsidiaries provide financial services including brokerage and related products and services to traders, investors, stock plan administrators and participants, and registered investment advisors (RIAs). Securities products and services are offered by E*TRADE Securities LLC (Member FINRA/SIPC). Commodity futures and options on futures products and services are offered by E*TRADE Futures LLC (Member NFA). Managed Account Solutions are offered through E*TRADE Capital Management, LLC, a Registered Investment Advisor. Bank products and services are offered by E*TRADE Bank, and RIA custody solutions are offered by E*TRADE Savings Bank, both of which are federal savings banks (Members FDIC). E*TRADE Securities LLC, E*TRADE Capital Management, LLC, E*TRADE Futures LLC, E*TRADE Bank and E*TRADE Savings Bank are separate but affiliated companies. More information is available at LINK  .

Important Notices

E*TRADE, E*TRADE Financial, E*TRADE Bank, E*TRADE Savings Bank, and the E*TRADE logo are trademarks or registered trademarks of E*TRADE Financial Corporation. ETFC-G

© 2019 E*TRADE Financial Corporation. All rights reserved.

More news and information about E*TRADE Financial Corporation

Published By:

Business Wire: 13:05 GMT Wednesday 14th August 2019

Published: .

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