FILED: NEW YORK COUNTY CLERK 08/11/ :56 PM INDEX NO /2017 NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017 EXHIBIT 36

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NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017 EXHIBIT 36 Bernice Reese TradePMR Account Profile Documents

NYSCEF DOC. NO. 70 RECEIVED TradePMR NYSCEF: Use Only 08/11/2017 Account # 1804 Investment Advisor RIA Firm Registration Type DEAN MUSTAPHALLI New Account Application Advisor Code Individual Joint TWROS Joint TIC Coverdell Education Savings Traditional IRA Rollover IRA Roth IRA SEP IRA Simple IRA Beneficiary IRA Pension/Profit Sharing 401k with Third Party (TPA) Estate (Include Estate Papers) Custodian Trust Business (Corporation) Business (LLC) Business (Partnership) Other Account Type Cash Margin (Margin Agreement Required) Option (Option Agreement Required) Transfer on Death - TOD (Please Provide TOD Agreement) RIA Sundry Account Separately Managed Account* (100% of this account will be invested in the Portfolio Named below) Separate Account Manager Name Open HP8V 2/12/2010 Portfolio Name Account Information Account Name *Account Holder agrees to the Third-Party Money Managers Agreement Attached Mailing (If different from above) Primary Account Holder Information Type: Individual Corporation Trust Partner Minor Estate Primary s Legal Name BERNICE C REESE Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number NY 1939 E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Persons: Drivers License Passport Military ID Institutions: (Attach any of the checked Institutional Documents) Articles of Incorporation Business License Corporate Resolution Partnership Agreement Trust Doc. Document Number Issuance Expiration Country/State of Issuance Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name 12/30/2004 Occupation 2/13/2013 Housewife Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: TPMR_021192-416372438 NY 0

NYSCEF Secondary DOC. Account NO. 70 Holder Information RECEIVED NYSCEF: 08/11/2017 (Attach additional copies if more than one) Type: Joint Holder Custodian Partner Trustee Corporate Officer Executor Secondary s Legal Name Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Document Number Drivers License Passport Military ID Country/State of Issuance Issuance Expiration Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name Occupation Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: Joint Account Ownership It is the express intention of the undersigned that ownership of this account be vested in them as (check one): Joint tenants with rights of survivorship and not as tenants in common or as tenants by the entirety. In the event of the death of either or any of the undersigned, the entire interest in the Joint Account shall be vested in the survivor or survivors on the same terms and conditions as theretofore held, without in any manner releasing the undersigned or their estates from the liability provided for in this Agreement. Tenants in common. In the event of the death of either or any of the undersigned, the interests in the tenancy shall be equal unless otherwise specified immediately below. If tenants in common, if interests are not to be equal, designate the percentage interest of each tenant. Name % Name % Investment Profile (This information is mandatory. Please use combined figures if joint account) Investment Objectives*: Risk Tolerance*: Do you have any accounts at other Brokerage Firms? Yes No If yes, indicate firm(s): Preservation of Capital Conservative Income Moderate CGMI Capital Appreciation/Growth Aggressive Do you have any prior Investment Experience? Yes No If yes, list years: Speculation Tax Bracket % *See Investment Objectives and Risk Tolerance Definitions on page 2 & 3 of Client Agreement Check Appropriate Boxes $0-$49,999 (A) $50,000 - $99,999 (B) $100,000 - $199,999 (C) $200,000 - $499,999 (D) $500,000 - $999,999 (E) $1,000,000- $2,499,999 (F) $2,500,000 - or more (G) Annual Income (all sources) Liquid Net Worth Net Worth (excluding residence) Service Instructions 28 When Buying Securities: When Selling Securities: Deliver in Client Name Settle by Check Hold Certificates Purchase/Redeem Money Market (Choose One): IDP-Insured Deposit Account (FDIC Insured) PCS-Federated Prime Cash Series Cash Dividends/Interest: MCS-Federated Mutual Cash Series GCS-Federated Government Cash Series Mail Check Monthly Semi-Monthly TCS-Federated Treasury Cash Series Sweep to Money Market Fund Online Account Access (Client Access Only) Is this account to be set up with Online Access? Yes No Please Note: An email will be sent to the address of the primary account holder with a temporary password. TPMR_021193-416372438

NYSCEF Householding DOC. NO. of 70 Statements RECEIVED NYSCEF: 08/11/2017 Do you wish for statements to be householded with other accounts of this Household? Yes No If Yes: Primary Account number Electronic Confirmations and/or Statements Do you wish to establish electronic mail Confirmations and/or Statements to the address listed below? Yes No If yes, please provide Email address if other than the Primary address listed above: I understand that I will not receive paper statements, unless requested from my advisor. Primary Initial s Duplicate Statement/Confirmations To (Other than RIA; ie: TPA, Attorney, etc.): Name Certification By Signing below, I/We agree to all terms and conditions listed below, and all terms and conditions contained within the attached applicable agreements: A. Under the penalties of perjury, I certify that: (choose two) I am a U S Person (including a U S Resident Alien) The number shown on this form is my correct Taxpayer Identification Number (or I am waiting for a number to be issued to me) and I am not subject to backup withholding either because I have not been notified by the Internal Revenue Service (IRS) that I am subject to backup withholding as a result of a failure to report all interest or dividends, or the IRS has notified me that I am no longer subject to backup withholding The number shown on this form is my correct Taxpayer identification Number (or I am waiting for a number to be issued to me), and I am subject to backup withholding B. No, I do not want my name, address and securities positions disclosed to all the companies in which I own securities that are being held for me in this account C. If this account is being operated by a person other than the owner, a POWER of ATTORNEY giving authorization must be attached D. I have reviewed the information contained on this application an attest to the accuracy thereof E. THE PRODUCTS OFFERED (1) ARE NOT FDIC INSURED; (2) ARE NOT OBLIGATIONS OF A BANK; (3) ARE NOT GUARANTEED BY A BANK: AND (4) INVOLVE INVESTMENT RISKS, INCLUDING THE POSSIBLE LOSS OF PRINCIPAL F. I have received a copy of the CLIENT ACCOUNT AGREEMENT and agree to the terms and conditions thereof. By signing below, the customer acknowledges receiving a copy of this agreement. G. I have received a copy of the Schedule of Fees. I understand that the fee schedule may change from time to time and I agree to be bound by such changed fee schedule. H. I/WE UNDERSTAND THAT THE CLIENT ACCOUNT AGREEMENT PROVIDED TO ME/US CONTAINS IN NUMBERED PARAGRAPH 19, A PRE-DISPUTE ARBITRATION CLAUSE REQUIRING ALL DISPUTES UNDER THIS AGREEMENT TO BE SETTLED BY BINDING ARBITRATION. BY SIGNING BELOW I/WE ACKNOWLEDGE THAT I/WE HAVE RECEIVED A COPY OF THIS AGREEMENT. I. If applicable, I have read, understand and agree to the terms of the Limited Power of Attorney and Authorization to pay fees to Agent/Advisor and that Trade-PMR does not give investment, legal or tax advice, and will not advise me concerning the nature, potential value, or suitability for me on any particular security transaction or investment strategy J. All decisions relating to my investment or trading activity shall be made solely by me or my authorized Agent/Advisor identified above on this New Account Application or subsequently to Trade-PMR in writing K. Trade-PMR is authorized to accept and act upon the instructions of my Agent/Advisor with respect to my account in accordance with this Agreement until you receive written notice revoking such authority L. My Advisor is not affiliated with or an agent of Trade-PMR and is not authorized to act or make representations on Trade-PMR s behalf M. Trade-PMR has no responsibility and will not review, monitor or supervise the suitability or frequency of the investment or trading activity in my account N. I shall indemnify and hold harmless Trade-PMR and its officers, directors, employees, agents and affiliates from and against any and all losses, claims or financial obligations that may arise from any act or omission of my Agent/Advisor with respect to my account O. If my Brokerage Account has a Margin Account feature, my Agent/Advisor has my authorization to trade on margin and to sell short P. If my Brokerage Account is approved for option trading, my Agent/Advisor has my authorization to trade option contracts, relating to the same on margin, or otherwise in accordance with your terms and conditions for my account and at my risk, in my name, or number on your books I agree to indemnify and hold Trade-PMR harmless of options transactions made by my Agent/Advisor and agree to pay promptly on demand any and all loses arising there from or debit balance due thereon Q. If a Third Party Manager was selected above, I/We agree to the terms and conditions of the THIRD-PARTY MONEY MANAGERS AGREEMENT attached to this application R. If Asset-Based Pricing was selected above, I/We agree to the terms and conditions of the ASSET-BASED PRICING ADDENDUM attached to this application BR I hereby authorize Trade-PMR, Inc to send duplicate confirmations and statements to my Advisor BR Joint I hereby grant the Advisor listed above discretionary power over this account through a Limited Power-of-Attorney authorizing the Advisor to Joint make investment decisions without prior consent Such arrangements are clearly outlined in the Investment Advisory Agreement between the Advisor and the account representative (See I-P above). BR I hereby authorize Trade-PMR, Inc to pay my Advisor s fees from my account as directed by my Advisor BR Joint I hereby authorize my Advisor to open an account or accounts on my behalf Joint Signature Primary Account Holder Signature Joint (Secondary) Account Holder Advisor Use only: I have reviewed the information contained on this application and attest to the accuracy thereof: Name DEAN MUSTAPHALLI Signature Authorized RIA Representative TradePMR Acceptance: Dan Baldwin Signature Registered Representative Richard Wojtowicz Signature Supervisory Principal TradePMR, Inc PO Box 358230, Gainesville, Florida 32635 Member FINRA/SIPC TPMR_021194-416372438

NYSCEF DOC. NO. 70 RECEIVED TradePMR NYSCEF: Use Only 08/11/2017 Account # _ 1804 Investment Advisor RIA Firm Registration Type DEAN MUSTAPHALLI New Account Application Advisor Code Individual Joint TWROS Joint TIC Coverdell Education Savings Traditional IRA Rollover IRA Roth IRA SEP IRA Simple IRA Beneficiary IRA Pension/Profit Sharing 401k with Third Party (TPA) Estate (Include Estate Papers) Custodian Trust Business (Corporation) Business (LLC) Business (Partnership) Other Account Type Cash Margin (Margin Agreement Required) Option (Option Agreement Required) Transfer on Death - TOD (Please Provide TOD Agreement) RIA Sundry Account Separately Managed Account* (100% of this account will be invested in the Portfolio Named below) Separate Account Manager Name Open HP8V 2/12/2010 Portfolio Name Account Information Account Name *Account Holder agrees to the Third-Party Money Managers Agreement Attached Mailing (If different from above) Primary Account Holder Information Type: Individual Corporation Trust Partner Minor Estate Primary s Legal Name BERNICE C REESE Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number NY 1939 E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Persons: Drivers License Passport Military ID Institutions: (Attach any of the checked Institutional Documents) Articles of Incorporation Business License Corporate Resolution Partnership Agreement Trust Doc. Document Number Issuance Expiration Country/State of Issuance Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name 12/30/2004 Occupation 2/13/2013 Housewife Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: TPMR_021201-416372438 NY 0

NYSCEF Secondary DOC. Account NO. 70 Holder Information RECEIVED NYSCEF: 08/11/2017 (Attach additional copies if more than one) Type: Joint Holder Custodian Partner Trustee Corporate Officer Executor Secondary s Legal Name Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Document Number Drivers License Passport Military ID Country/State of Issuance Issuance Expiration Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name Occupation Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: Joint Account Ownership It is the express intention of the undersigned that ownership of this account be vested in them as (check one): Joint tenants with rights of survivorship and not as tenants in common or as tenants by the entirety. In the event of the death of either or any of the undersigned, the entire interest in the Joint Account shall be vested in the survivor or survivors on the same terms and conditions as theretofore held, without in any manner releasing the undersigned or their estates from the liability provided for in this Agreement. Tenants in common. In the event of the death of either or any of the undersigned, the interests in the tenancy shall be equal unless otherwise specified immediately below. If tenants in common, if interests are not to be equal, designate the percentage interest of each tenant. Name % Name % Investment Profile (This information is mandatory. Please use combined figures if joint account) Investment Objectives*: Risk Tolerance*: Do you have any accounts at other Brokerage Firms? Yes No If yes, indicate firm(s): Preservation of Capital Conservative Income Moderate CGMI Capital Appreciation/Growth Aggressive Do you have any prior Investment Experience? Yes No If yes, list years: Speculation Tax Bracket % *See Investment Objectives and Risk Tolerance Definitions on page 2 & 3 of Client Agreement Check Appropriate Boxes $0-$49,999 (A) $50,000 - $99,999 (B) $100,000 - $199,999 (C) $200,000 - $499,999 (D) $500,000 - $999,999 (E) $1,000,000- $2,499,999 (F) $2,500,000 - or more (G) Annual Income (all sources) Liquid Net Worth Net Worth (excluding residence) Service Instructions 28 When Buying Securities: When Selling Securities: Deliver in Client Name Settle by Check Hold Certificates Purchase/Redeem Money Market (Choose One): IDP-Insured Deposit Account (FDIC Insured) PCS-Federated Prime Cash Series Cash Dividends/Interest: MCS-Federated Mutual Cash Series GCS-Federated Government Cash Series Mail Check Monthly Semi-Monthly TCS-Federated Treasury Cash Series Sweep to Money Market Fund Online Account Access (Client Access Only) Is this account to be set up with Online Access? Yes No Please Note: An email will be sent to the address of the primary account holder with a temporary password. TPMR_021202-416372438

NYSCEF Householding DOC. NO. of 70 Statements RECEIVED NYSCEF: 08/11/2017 Do you wish for statements to be householded with other accounts of this Household? Yes No If Yes: Primary Account number Electronic Confirmations and/or Statements Do you wish to establish electronic mail Confirmations and/or Statements to the address listed below? Yes No If yes, please provide Email address if other than the Primary address listed above: I understand that I will not receive paper statements, unless requested from my advisor. Primary Initial s Duplicate Statement/Confirmations To (Other than RIA; ie: TPA, Attorney, etc.): Name Certification By Signing below, I/We agree to all terms and conditions listed below, and all terms and conditions contained within the attached applicable agreements: A. Under the penalties of perjury, I certify that: (choose two) I am a U S Person (including a U S Resident Alien) The number shown on this form is my correct Taxpayer Identification Number (or I am waiting for a number to be issued to me) and I am not subject to backup withholding either because I have not been notified by the Internal Revenue Service (IRS) that I am subject to backup withholding as a result of a failure to report all interest or dividends, or the IRS has notified me that I am no longer subject to backup withholding The number shown on this form is my correct Taxpayer identification Number (or I am waiting for a number to be issued to me), and I am subject to backup withholding B. No, I do not want my name, address and securities positions disclosed to all the companies in which I own securities that are being held for me in this account C. If this account is being operated by a person other than the owner, a POWER of ATTORNEY giving authorization must be attached D. I have reviewed the information contained on this application an attest to the accuracy thereof E. THE PRODUCTS OFFERED (1) ARE NOT FDIC INSURED; (2) ARE NOT OBLIGATIONS OF A BANK; (3) ARE NOT GUARANTEED BY A BANK: AND (4) INVOLVE INVESTMENT RISKS, INCLUDING THE POSSIBLE LOSS OF PRINCIPAL F. I have received a copy of the CLIENT ACCOUNT AGREEMENT and agree to the terms and conditions thereof. By signing below, the customer acknowledges receiving a copy of this agreement. G. I have received a copy of the Schedule of Fees. I understand that the fee schedule may change from time to time and I agree to be bound by such changed fee schedule. H. I/WE UNDERSTAND THAT THE CLIENT ACCOUNT AGREEMENT PROVIDED TO ME/US CONTAINS IN NUMBERED PARAGRAPH 19, A PRE-DISPUTE ARBITRATION CLAUSE REQUIRING ALL DISPUTES UNDER THIS AGREEMENT TO BE SETTLED BY BINDING ARBITRATION. BY SIGNING BELOW I/WE ACKNOWLEDGE THAT I/WE HAVE RECEIVED A COPY OF THIS AGREEMENT. I. If applicable, I have read, understand and agree to the terms of the Limited Power of Attorney and Authorization to pay fees to Agent/Advisor and that Trade-PMR does not give investment, legal or tax advice, and will not advise me concerning the nature, potential value, or suitability for me on any particular security transaction or investment strategy J. All decisions relating to my investment or trading activity shall be made solely by me or my authorized Agent/Advisor identified above on this New Account Application or subsequently to Trade-PMR in writing K. Trade-PMR is authorized to accept and act upon the instructions of my Agent/Advisor with respect to my account in accordance with this Agreement until you receive written notice revoking such authority L. My Advisor is not affiliated with or an agent of Trade-PMR and is not authorized to act or make representations on Trade-PMR s behalf M. Trade-PMR has no responsibility and will not review, monitor or supervise the suitability or frequency of the investment or trading activity in my account N. I shall indemnify and hold harmless Trade-PMR and its officers, directors, employees, agents and affiliates from and against any and all losses, claims or financial obligations that may arise from any act or omission of my Agent/Advisor with respect to my account O. If my Brokerage Account has a Margin Account feature, my Agent/Advisor has my authorization to trade on margin and to sell short P. If my Brokerage Account is approved for option trading, my Agent/Advisor has my authorization to trade option contracts, relating to the same on margin, or otherwise in accordance with your terms and conditions for my account and at my risk, in my name, or number on your books I agree to indemnify and hold Trade-PMR harmless of options transactions made by my Agent/Advisor and agree to pay promptly on demand any and all loses arising there from or debit balance due thereon Q. If a Third Party Manager was selected above, I/We agree to the terms and conditions of the THIRD-PARTY MONEY MANAGERS AGREEMENT attached to this application R. If Asset-Based Pricing was selected above, I/We agree to the terms and conditions of the ASSET-BASED PRICING ADDENDUM attached to this application No I hereby authorize Trade-PMR, Inc to send duplicate confirmations and statements to my Advisor No Joint I hereby grant the Advisor listed above discretionary power over this account through a Limited Power-of-Attorney authorizing the Advisor to Joint make investment decisions without prior consent Such arrangements are clearly outlined in the Investment Advisory Agreement between the Advisor and the account representative (See I-P above). No I hereby authorize Trade-PMR, Inc to pay my Advisor s fees from my account as directed by my Advisor No Joint I hereby authorize my Advisor to open an account or accounts on my behalf Joint Signature Primary Account Holder Signature Joint (Secondary) Account Holder Advisor Use only: I have reviewed the information contained on this application and attest to the accuracy thereof: Name DEAN MUSTAPHALLI Signature Authorized RIA Representative TradePMR Acceptance: Dan Baldwin Signature Registered Representative Richard Wojtowicz Signature Supervisory Principal TradePMR, Inc PO Box 358230, Gainesville, Florida 32635 Member FINRA/SIPC TPMR_021203-416372438

NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017

NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017 TPMR_021205

FILED: NEW YORK COUNTY CLERK 08/11/2017 06:56 PM NYSCEF DOC. NO. 70 INDEX NO. 451705/2017 RECEIVED NYSCEF: 08/11/2017 TPMR_021206

NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017

NYSCEF DOC. NO. 70 RECEIVED TradePMR NYSCEF: Use Only 08/11/2017 Account # 3070 Investment Advisor RIA Firm Registration Type DEAN MUSTAPHALLI New Account Application Advisor Code Individual Joint TWROS Joint TIC Coverdell Education Savings Traditional IRA Rollover IRA Roth IRA SEP IRA Simple IRA Beneficiary IRA Pension/Profit Sharing 401k with Third Party (TPA) Estate (Include Estate Papers) Custodian Trust Business (Corporation) Business (LLC) Business (Partnership) Other Account Type Cash Margin (Margin Agreement Required) Option (Option Agreement Required) Transfer on Death - TOD (Please Provide TOD Agreement) RIA Sundry Account Separately Managed Account* (100% of this account will be invested in the Portfolio Named below) Separate Account Manager Name Open HP8V 3/1/2011 Portfolio Name Account Information Account Name *Account Holder agrees to the Third-Party Money Managers Agreement Attached Mailing (If different from above) Primary Account Holder Information Type: Individual Corporation Trust Partner Minor Estate Primary s Legal Name BERNICE C REESE Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number NY 1939 E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Persons: Drivers License Passport Military ID Institutions: (Attach any of the checked Institutional Documents) Articles of Incorporation Business License Corporate Resolution Partnership Agreement Trust Doc. Document Number Issuance Expiration Country/State of Issuance Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name 12/30/2004 Occupation 2/13/2013 Housewife Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: TPMR_021537 1016921058 NY 0

NYSCEF Secondary DOC. Account NO. 70 Holder Information RECEIVED NYSCEF: 08/11/2017 (Attach additional copies if more than one) Type: Joint Holder Custodian Partner Trustee Corporate Officer Executor Secondary s Legal Name Social Security Number or Taxpayer ID Number of Birth Home Telephone Number Business/Cell Telephone Number E-Mail Citizenship: U.S. Other (W-8 Required) Government ID (Choose One): Document Number Drivers License Passport Military ID Country/State of Issuance Issuance Expiration Gender: Male Female Marital Status: Married Single Widowed Divorced (Number) of Dependents and Ages ( ) Employment Status: Employed Not Employed Retired Employer Name Occupation Are you affiliated with or work for a member firm of a stock exchange or FINRA, Inc., or are you a senior officer of a bank, S&L, insurance company, registered advisory firm or other like account or a person in the securities department of any of the above or an immediate family member of any such person? Yes No Position: Are you a director, a 10% shareholder, or a policy-making executive officer of a publicly traded company? Yes No Company: Joint Account Ownership It is the express intention of the undersigned that ownership of this account be vested in them as (check one): Joint tenants with rights of survivorship and not as tenants in common or as tenants by the entirety. In the event of the death of either or any of the undersigned, the entire interest in the Joint Account shall be vested in the survivor or survivors on the same terms and conditions as theretofore held, without in any manner releasing the undersigned or their estates from the liability provided for in this Agreement. Tenants in common. In the event of the death of either or any of the undersigned, the interests in the tenancy shall be equal unless otherwise specified immediately below. If tenants in common, if interests are not to be equal, designate the percentage interest of each tenant. Name % Name % Investment Profile (This information is mandatory. Please use combined figures if joint account) Investment Objectives*: Risk Tolerance*: Do you have any accounts at other Brokerage Firms? Yes No If yes, indicate firm(s): Preservation of Capital Conservative Income Moderate CGMI Capital Appreciation/Growth Aggressive Do you have any prior Investment Experience? Yes No If yes, list years: Speculation Tax Bracket % *See Investment Objectives and Risk Tolerance Definitions on page 2 & 3 of Client Agreement Check Appropriate Boxes $0-$49,999 (A) $50,000 - $99,999 (B) $100,000 - $199,999 (C) $200,000 - $499,999 (D) $500,000 - $999,999 (E) $1,000,000- $2,499,999 (F) $2,500,000 - or more (G) Annual Income (all sources) Liquid Net Worth Net Worth (excluding residence) Service Instructions 28 When Buying Securities: When Selling Securities: Deliver in Client Name Settle by Check Hold Certificates Purchase/Redeem Money Market (Choose One): IDP-Insured Deposit Account (FDIC Insured) PCS-Federated Prime Cash Series Cash Dividends/Interest: MCS-Federated Mutual Cash Series GCS-Federated Government Cash Series Mail Check Monthly Semi-Monthly TCS-Federated Treasury Cash Series Sweep to Money Market Fund Online Account Access (Client Access Only) Is this account to be set up with Online Access? Yes No Please Note: An email will be sent to the address of the primary account holder with a temporary password. TPMR_021538 1016921058

NYSCEF Householding DOC. NO. of 70 Statements RECEIVED NYSCEF: 08/11/2017 Do you wish for statements to be householded with other accounts of this Household? Yes No If Yes: Primary Account number Electronic Confirmations and/or Statements Do you wish to establish electronic mail Confirmations and/or Statements to the address listed below? Yes No If yes, please provide Email address if other than the Primary address listed above: I understand that I will not receive paper statements, unless requested from my advisor. Primary Initial s Duplicate Statement/Confirmations To (Other than RIA; ie: TPA, Attorney, etc.): Name Certification By Signing below, I/We agree to all terms and conditions listed below, and all terms and conditions contained within the attached applicable agreements: A. Under the penalties of perjury, I certify that: (choose two) I am a U S Person (including a U S Resident Alien) The number shown on this form is my correct Taxpayer Identification Number (or I am waiting for a number to be issued to me) and I am not subject to backup withholding either because I have not been notified by the Internal Revenue Service (IRS) that I am subject to backup withholding as a result of a failure to report all interest or dividends, or the IRS has notified me that I am no longer subject to backup withholding The number shown on this form is my correct Taxpayer identification Number (or I am waiting for a number to be issued to me), and I am subject to backup withholding B. No, I do not want my name, address and securities positions disclosed to all the companies in which I own securities that are being held for me in this account C. If this account is being operated by a person other than the owner, a POWER of ATTORNEY giving authorization must be attached D. I have reviewed the information contained on this application an attest to the accuracy thereof E. THE PRODUCTS OFFERED (1) ARE NOT FDIC INSURED; (2) ARE NOT OBLIGATIONS OF A BANK; (3) ARE NOT GUARANTEED BY A BANK: AND (4) INVOLVE INVESTMENT RISKS, INCLUDING THE POSSIBLE LOSS OF PRINCIPAL F. I have received a copy of the CLIENT ACCOUNT AGREEMENT and agree to the terms and conditions thereof. By signing below, the customer acknowledges receiving a copy of this agreement. G. I have received a copy of the Schedule of Fees. I understand that the fee schedule may change from time to time and I agree to be bound by such changed fee schedule. H. I/WE UNDERSTAND THAT THE CLIENT ACCOUNT AGREEMENT PROVIDED TO ME/US CONTAINS IN NUMBERED PARAGRAPH 19, A PRE-DISPUTE ARBITRATION CLAUSE REQUIRING ALL DISPUTES UNDER THIS AGREEMENT TO BE SETTLED BY BINDING ARBITRATION. BY SIGNING BELOW I/WE ACKNOWLEDGE THAT I/WE HAVE RECEIVED A COPY OF THIS AGREEMENT. I. If applicable, I have read, understand and agree to the terms of the Limited Power of Attorney and Authorization to pay fees to Agent/Advisor and that Trade-PMR does not give investment, legal or tax advice, and will not advise me concerning the nature, potential value, or suitability for me on any particular security transaction or investment strategy J. All decisions relating to my investment or trading activity shall be made solely by me or my authorized Agent/Advisor identified above on this New Account Application or subsequently to Trade-PMR in writing K. Trade-PMR is authorized to accept and act upon the instructions of my Agent/Advisor with respect to my account in accordance with this Agreement until you receive written notice revoking such authority L. My Advisor is not affiliated with or an agent of Trade-PMR and is not authorized to act or make representations on Trade-PMR s behalf M. Trade-PMR has no responsibility and will not review, monitor or supervise the suitability or frequency of the investment or trading activity in my account N. I shall indemnify and hold harmless Trade-PMR and its officers, directors, employees, agents and affiliates from and against any and all losses, claims or financial obligations that may arise from any act or omission of my Agent/Advisor with respect to my account O. If my Brokerage Account has a Margin Account feature, my Agent/Advisor has my authorization to trade on margin and to sell short P. If my Brokerage Account is approved for option trading, my Agent/Advisor has my authorization to trade option contracts, relating to the same on margin, or otherwise in accordance with your terms and conditions for my account and at my risk, in my name, or number on your books I agree to indemnify and hold Trade-PMR harmless of options transactions made by my Agent/Advisor and agree to pay promptly on demand any and all loses arising there from or debit balance due thereon Q. If a Third Party Manager was selected above, I/We agree to the terms and conditions of the THIRD-PARTY MONEY MANAGERS AGREEMENT attached to this application R. If Asset-Based Pricing was selected above, I/We agree to the terms and conditions of the ASSET-BASED PRICING ADDENDUM attached to this application Yes I hereby authorize Trade-PMR, Inc to send duplicate confirmations and statements to my Advisor Yes Joint I hereby grant the Advisor listed above discretionary power over this account through a Limited Power-of-Attorney authorizing the Advisor to Joint make investment decisions without prior consent Such arrangements are clearly outlined in the Investment Advisory Agreement between the Advisor and the account representative (See I-P above). Yes I hereby authorize Trade-PMR, Inc to pay my Advisor s fees from my account as directed by my Advisor Yes Joint I hereby authorize my Advisor to open an account or accounts on my behalf Joint 665/5 Signature Primary Account Holder Signature Joint (Secondary) Account Holder Advisor Use only: I have reviewed the information contained on this application and attest to the accuracy thereof: Name DEAN MUSTAPHALLI Signature Authorized RIA Representative TradePMR Acceptance: Dan Baldwin 3/1/2011 Signature Registered Representative Richard Wojtowicz 3/2/2011 Signature Supervisory Principal TradePMR, Inc PO Box 358230, Gainesville, Florida 32635 Member FINRA/SIPC TPMR_021539 1016921058

NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017

NYSCEF DOC. NO. 70 RECEIVED NYSCEF: 08/11/2017