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Page 1 | Watchlists 3402200 Set up Watchlists for securities that you want to monitor. List selection – allows selection of a watchlist Action – allows creation of a new watch list, or save, rename or delete an existing watchlist Alert – opens alerts window Symbol Search – opens symbol search dialog View selection – select from a list of pre-defined columns or customize your own columns Customize – opens dialog to customize columns display and order of display Display Format selection – switch between Summary format (columns wrap in display) or List format Inplace Edit - Enables / disables in place editing of position data within watch list display Quick Screen – opens screener tool The watchlist selector groups watchlists into the following categories: Symbol List – an unnamed list that allows symbols to be tracked temporarily, or later saved as a workspace or online Watchlist Quick Screen – opens the most recent screen Workspace Watch Lists – watchlists that are local to the current MarketPro workspace, and not synced with the Merrill Edge website. Up to 100 workspace watchlists can be created, with no limit on number of symbols* Linked Symbol Lists – watchlists linked to a file (.csv or .txt) residing on your computer or network accessible drive. Online Watch Lists – watchlists that are available in MarketPro and are synced with the Merrill Edge website 1 2 3 4 5 6 7 8 9 1 2 3 4 5 6 7 8 9 1

Merrill Edge MarketPro · 2019. 11. 1. · 1. Enter symbols manually by typing in symbol cell 2. Add symbols to watch list from another window displaying security level data o Right

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  • Page 1 | Watchlists 3402200

    Set up Watchlists for securities that you want to monitor.

    List selection – allows selection of a watchlist

    Action – allows creation of a new watch list, or save, rename or delete an existing watchlist

    Alert – opens alerts window

    Symbol Search – opens symbol search dialog

    View selection – select from a list of pre-defined columns or customize your own columns

    Customize – opens dialog to customize columns display and order of display

    Display Format selection – switch between Summary format (columns wrap in display) or List format

    Inplace Edit - Enables / disables in place editing of position data within watch list display

    Quick Screen – opens screener tool

    The watchlist selector groups watchlists into the following categories:

    Symbol List – an unnamed list that allows symbols to be tracked temporarily, or later saved as a workspace or

    online Watchlist

    Quick Screen – opens the most recent screen

    Workspace Watch Lists – watchlists that are local to the current MarketPro workspace, and not synced with the

    Merrill Edge website. Up to 100 workspace watchlists can be created, with no limit on number of symbols*

    Linked Symbol Lists – watchlists linked to a file (.csv or .txt) residing on your computer or network accessible

    drive.

    Online Watch Lists – watchlists that are available in MarketPro and are synced with the Merrill Edge website

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    These watchlists can also be viewed and changes made from the Merrill Edge website (from Research >

    Watchlists) or via the Merrill Edge mobile apps. Up to 20 online watchlists can be created, with up to 250 symbols

    each

    Note: depending on settings, online watchlists may not be saved with the rest of the workspace. Online

    Watchlists can be saved manually from the gear > Save “Name of Online Watchlist”, or can be set to save with the

    workspace from Tools > Preferences > Startup/Exit > and select Save Online Symbols on Workspace Save

    Position Lists – read only watchlists that display your account(s) holdings

    Recognia Strategy Builder Lists – read only watchlists that display results of screens built using Recognia Strategy

    Builder

    Server Symbol Lists – read only watchlists that are maintained and updated server side

    Saved Screeners – list of symbols that have been saved from the screener tool

    *Simultaneously streaming over 500 symbols may cause delays in data updates

    Select the action icon to display the menu for the following actions:

    Manage symbol lists… – Opens dialog to manage workspace watchlists

    Add new Watch list – Creates a new workspace watchlist

    Add new Watch list from file – Creates a new workspace watchlist from a file containing a list of symbols

    (supported file types are .txt and .csv). This is a one time import – the watchlist will not be synced with the file.

    Add new linked list – Creates a new linked watchlist from a file (supported file types are .txt and .csv) containing a

    list of symbols and (optionally) position information, including the quantity held, purchase price, etc. Changes to

    the file will be reflected in MarketPro. See Linked Lists below for complete details.

    Save Watch List as… – Save current symbol list as a workspace watchlist

    Rename Watch List – rename current watch list

    Delete Watch List – delete current watch list

    Save as an Online Watchlist… – Save current symbol list as an online watchlist

    Reload Online Watchlist

    o Available Lists – refreshes the available watch lists that can be selected

    o Online Watchlist – updates the securities in the selected watch list

    Reload Position List

    o Available Lists – refreshes the available accounts that can be selected

    o Portfolio – updates the securities in selected account

    Reload Server Symbol List

    o All – updates the securities in all server symbol lists

    o Symbol List – updates the securities in selected server symbol list

    Reload Linked Symbol List

    o All – updates the securities and position data in all linked lists

    o Symbol List – updates the securities and position data in selected linked list

    2

  • Page 3 | Watchlists 3402200

    1. Enter symbols manually by typing in symbol cell 2. Add symbols to watch list from another window displaying security level data

    o Right click on security o Select “Add to Watchlist” from menu o Select workspace or online watch list from list

    Note: Online watch list must be loaded to support adding symbol. This can be done by selecting list in Watchlist window or using Reload Online Watchlist command described above.

    3. Insert a symbol list from a file o Right click on any cell in the watch list and “Insert Symbols from File” from menu o Use file dialog to select file o Select Open from dialog

    4. Insert a Sector / Industry list into an existing watch list o Right click on any cell in the watch list and select “Insert Sector / Industry List” from menu o Select the list to insert

    5. Insert a Market Mover’s list into an existing watch list o Right click on any cell in the watch list and select “Insert Market Mover Symbols” from menu o Select the list to insert

    Select the view dropdown

    Choose from several pre-defined views or select customize to select from a list of data fields

    (Optional) after selecting data fields, click icon > “Save As” inside Heading Customization to save a custom

    view for later use

    Other ways to customize columns and data:

    Drag & drop columns in current display

    Insert column into existing display o Right click on column header o Select insert > Column(s) o Select field > Click OK

    Delete column from existing display o Right click on column header o Select delete > Selected Column(s)

    Double click on a column header to sort display by that column

    5

  • Page 4 | Watchlists 3402200

    Custom Fields allow you to define data elements that can be displayed in a watchlist, holdings, or detailed quote window.

    To define custom fields, select Tools > Custom Fields

    Add – adds a new custom field

    Edit – allows you to edit a previously defined custom field

    Remove – Removes selected custom field

    Remove All – Removes all your custom fields

    OK – closes the custom field window

    Adding a field

    Field Types o Date: Allows a field to be created to store dates for a security o Price: Allows a field to be created to store prices for a security o Text: Allows a field to be created to store text for a security o Expression: Allows a field to be created to display calculated data based on quote or chart studies

    Short Name

    o How the field will be labeled when display properties set to short name (can be the same as long name if desired)

    Long Name

    o How the field will be labeled when display properties set to long name (can be the same as short name if desired)

    o Note that special characters cannot be used for either the short name or the long name

  • Page 5 | Watchlists 3402200

    Expression (For Expression field type only) o Allows you to define an expression based on quote and/or chart studies

    Defining fields

    Expressions must always begin with =

    Use #IN to refer to the symbol in context

    Example: =#IN will display the last price for the security

    You may use other symbols, numerical values, and mathematical operators (+ - * /)

    Example: =#IN + 2 * XYZ will calculate the sum of the last price of the security shown plus 2 times the price of XYZ (XYZ

    being a hypothetical security)

    You can specify an attribute for the symbol

    Example: =#IN.HIGH will display the high price for the security

    Symbol attributes

    CLOSE

    52WKLO

    BLOCKTRADE2

    OPEN

    EXTHOURS

    BLOCKTRADE3

    HIGH

    IMPVOL

    BLOCKTRADEVOL1

    LOW

    DELTA

    BLOCKTRADEVOL2

    CHANGE

    GAMMA

    BLOCKTRADEVOL3

    '% CHANGE'

    THETA

    BLOCKTRADETOTALVOL

    ASK

    VEGA

    BLOCKTRADETOTALCOUNT

    BID

    RHO

    YIELD

    VOLUME

    VWAP

    PE

  • Page 6 | Watchlists 3402200

    52WKHI

    TRADESIZE

    EPS

    OPENINT

    BLOCKTRADE1

    BETA

    Using fields

    Select the view drop down and click customize, or click the customize columns icon , and add the fields you have defined.

    For date fields: Click the field and enter a date to associate with a given security

    For price fields: Click the field and enter a price to associate with a given security

    For text fields: Click the field and enter text to associate with a given security

    You can use text fields to group your holdings on the Holdings window. For more information, view the Holdings help file.

    Expression: Will display result of defined expression for the listed security

    Right click and select Edit Position on a watch list row or double click a position field (see field definitions below) to open a

    dialog to define positions

    Once position values are defined, the Client Portfolio view can be selected to track positions, or customize can be selected to create your own view (Note: all position related fields are highlighted blue with an asterisk after field name)

    Turn on footer totals for position values by selecting Display Totals for Watchlist under Display Properties / Formatting

  • Page 7 | Watchlists 3402200

    Within a watchlist you can create two different types of Comment Lines:

    In an entry Watchlist row enter # followed by a group label in the symbol column. This will create a comment that creates a collapsible symbol group.

    In an entry Watchlist row enter ## followed by a group label in the symbol column. This will create a comment that is just a row item

    Linked lists allow you to create a read only watchlist that is linked a file on your computer that includes symbol and

    position data. Changes made to the file will be updated in MarketPro.

    Sample Linked List Copy the table below into a spreadsheet program e.g. Excel. Replace symbols with actual security symbols. Symbol is the

    only required field. You can add/edit/remove additional headers from the table at the end of this section. Then save the

    file as a .csv file. For Excel, the steps are File/Office button > Save As > Save as Type: CSV (Comma delimited)

    Symbol Pfshares Entry Price Entry Date

    AAAAA 1500 123 12/15/2013

    BBBBB 2400 234.44 12/15/2013

    CCCCC 800 34.33 12/15/2013

    DDDDD 200 88.76 12/15/2013

    To link a file:

    Select the action/gear icon from the top of the watchlist window then select Add new linked list

    Navigate to the folder containing the file and select the file

    Select Open

    The file will now be linked to MarketPro, and will be a selectable read only watchlist within the list selection menu.

    The list will be read only and changes must be made in the linked file instead of within MarketPro. When the data in the

    file has changed, you can manually refresh the information in MarketPro by refreshing the link. This can be done by

    selecting the action/gear icon followed by Reload Linked Symbol List, and select the list(s) to be refreshed. You can

    also save the linked list as a workspace or online list which will then allow changes (note that changes to the file will then

    no longer change the workspace or online list)

    Additional Header Labels and Data Values

    Symbol Required: Security symbol

    PfShares Quantity of shares or contracts

    Long Omit when all positions are long, for a mixed portfolio of long and short 0 for long, 1 for short

    Entry Price Average price of position entry

    Entry Date Date on which the position was entered

    Entry Commission Dollar value of commission to open position

    Exit Price Average price of position exit

    Exit Date Date on which the position was exited

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    Exit Commission Dollar value of commission to close position

    ValueOfPriceChange Needed if using options or other products where valuation is a multiple. Options valuation

    typically 100, Equity 1, mini Options 10.

    UserComment Comment Field

    reinvestType Allows for Dividend Reinvestment Calculation.

    0 does not reinvest dividends, 1 reinvests dividends

    valueOfInterestAccount The APR (Annual Percentage Rate) of the interest account to which unreinvested dividends are

    deposited

    The Quick Screen allows you to screen by a number of criteria across thousands of stocks. You can easily add, turn on/off

    and save selected criteria. The tool offers both a default and compact view. The compact view allows you to maximize

    screen real estate without losing usability. Screener results set are read only, however you can easily save the result to a

    workspace or online watchlist and then make edits.

    Note: Screens are based on most recent close of business data.

    Accessing the Screener

    The Quick Screen is built into the watchlist. You can access the screener by clicking the screener icon on the toolbar:

    Selecting Criteria

    Once the Quick Screen has been opened, click the funnel icon to add criteria:

    In addition to the default view, you can switch to the compact view to increase viewing of the results set grid:

    Clicking the blue links allows you to select or update any already selected criteria:

  • Page 9 | Watchlists 3402200

    For criteria that need dollar value entry, use abbreviations K, M or B for thousands, millions or billions:

    Viewing Results

    Once you have entered your desired criteria, press the screen button to view the results:

    Note that the screener only will return up to 1,000 securities so if you see 1,000 symbols returned you will want to further

    refine your search, this sample search returned 454 symbols as indicated:

    Disabling Selected Criteria

    Click the green circle to easily unselect criteria you wish to disable then re-click Screen, to re-enable just click again:

    Saving and Retrieving Equity Screener Criteria

    Once a screen has been built that you wish to save click the ‘Save Screener Criteria’ button:

    Saved Screens can be found in the watchlist dropdown under the Saved Screeners folder:

  • Page 10 | Watchlists 3402200

    Note that any changes you make to the screener after saving will be automatically saved. If you want to keep the existing

    screen exactly as it is, do not change any criteria and start a new screen immediately after saving by selecting Quick

    Screen in the dropdown:

    To delete a saved screen, click the gear icon menu and choose delete watchlist.

    Save Results as a Watchlist

    Additionally the results set can be saved as a workspace or online watchlist using the gear icon menu. This will allow you

    to edit the contents of the result set:

    Right click on a security symbol to take one of the actions below. Selectable actions are determined by current holdings. To select a default account and other trading defaults (order type, duration, quantity), right click in Trade window > Trade Defaults and Properties > Equity/Option/Mutual Funds Trade Ticket

    Buy

    Sell

    Additional trading features

    Right click on the ask price for a Buy Stop Quote or Sell Limit order

    Right click on the bid price for a Buy Limit or Sell Stop Quote order

    Trade column

    From heading customization, add the Trade column to provide buy/sell links for given security

  • Page 11 | Watchlists 3402200

    Right click or select the options icon > Display Properties > Heat Map and select Use heat map to turn on heat map

    display. Choose from several available columns which will be highlighted based on cell values. Fields selected in Heat

    Map settings must be added as columns to the Watchlist (see customizing display columns).

    To highlight dates within a defined range (e.g. Ex-dividend dates), right click and choose Display Properties, then click

    Date Highlighting, and select fields to be highlighted, date range and formatting.

    Use RTD (Installation Instructions) to display data in Excel with the options below. Once data is selected it can be pasted into an Excel worksheet (Excel toolbar help).

    o All Symbols o Selected Rows o Selected Cells o Selected Cells with Headers

    Select linking icon to adjust window linking settings

    With “Link to All” enabled, window will send symbols selected to other windows (default). Right Click > Display Properties > Symbol Field to change action that takes place when selecting symbols

    Colors: If selected, window will only send symbols to windows that have “Link to All” or the same color in link settings

    Right-click on the security to launch another symbol-based window with the symbol in context

    Select the options icon to adjust window options

    New - Creates a new window. Select the window type, then select the position of the new window, or choose “In this window” to replace existing window with the new window.

    Show Window Title – Un-selecting this option hides the window description. Re-check to display window description.

    Maximize/Restore – Only displayed if window does not fill entire page. Maximize expands the window to fill the current page. Restore will set back to original size.

    Show Titlebar - Un-selecting this option hides the title bar that is displayed at the upper left. To show the title bar again, move cursor up to the top of the window until the cursor pointer turns to a hand, then right click and re-check Show Titlebar, or from main menu select View > Show Title Bars (this will restore all hidden title bars)

    Show Titlebar description – Display custom description as defined using Customize Titlebar Description

    Customize Titlebar Description… – Replaces default description and titlebar controls with a customizable description. For symbol specific windows, use #sym to insert currently selected symbol into custom description. Click anywhere on the titlebar to restore default description and titlebar controls.

    Show Footer - Un-selecting this option hides the footer. Re-select to display the footer again.

    http://download.esignal.com/products/marketq/baml/rtd/rtd.htmhttp://www.market-q.com/support/MQ42-16_Help/rtd_excel_plugin/about_rtd_excel_toolbar.htm

  • Page 12 | Watchlists 3402200

    Copy Out (displayed when window is docked) – Copies this window as a floating (stand alone) window. This

    action can also be performed using the Copy Out icon

    Attach (displayed when window is un-docked) – Moves a floating (stand alone) window inside the active page

    Cut Window - copies the window to the clipboard, and removes the window from the workspace. Once copied, click Edit > Paste Watchlists to add the window to the workspace using default settings for adding a new window (use View > Preferences > Workspace > Open new window by default to change how new windows are added to the workspace)

    Copy Window – copies the window to the clipboard, with all settings. Once copied, click options icon and choose Paste Watchlists, then choose a position for copy of window. Or click Edit > Paste Watchlists to add the window to the workspace using default settings for adding a new window

    Copy Window Image – copies an image of the window to the clipboard, which can then be pasted into an email, document or image editing application

    Send Image by E-mail… - creates new email message using default email client with screenshot of current window attached

    Take Custom Screenshot – drag mouse to define an area to copy, then paste into image editor

    Print – Prints this window

    Help – loads this help file

    Display Properties o Text & Colors – font setting for display elements and toggle display of totals in footer o Direction – define directional colors for quote display based on a defined field, and control flash settings.

    With direction controlled by “Net Change”, the Extended Hours option is available, which if selected will automatically use Net Change during regular market and Ext Hours Net Change during EHT sessions. Directional colors can be defined independently for “Position Fields” (see Field definitions below for list of these fields)

    o Symbol field – display properties and default actions on click / double click o Gridlines – display and color of gridlines o Formatting – general window formatting o Flags – define display and format of flags, such as News o Black Scholes – define parameters used in Black Scholes calculation o 52 Week Indicator – control display settings for “52 Wk Range with Last” data element o Heat Map – toggles Heat Map display on/off. o Screener – toggle auto reload of screener results

    Empty - (displayed when window is docked) – removes the window and leaves an empty space in which a new window can be added

    Close – removes the window. Any remaining windows will be adjusted to fill empty space

    The following flags may appear to the right of symbols in the Watchlist

    R - Special restrictions govern trades on this issue, e.g. there is a "Short sale restriction" in place for the stock

    H - Trading has been halted on this issue

    X - Symbol has gone X-Dividend

    F - Fast Market Indicator (For selected Futures markets)

    NASDAQ Filing Status codes. Off by default - right click > Display Properties > Flags to enable

    D - Deficient: Issuer Failed to Meet NASDAQ Continued Listing Requirements

    E - Delinquent: Issuer Missed Regulatory Filing Deadline

    Q - Bankrupt: Issuer Has Filed for Bankruptcy

    G - Deficient and Bankrupt

  • Page 13 | Watchlists 3402200

    H - Deficient and Delinquent

    J - Delinquent and Bankrupt

    K - Deficient, Delinquent, and Bankrupt

    The following flags may appear to the left/right of symbols in the watchlist

    H – Position is held in account

    O – Open Order exists for position

    52H – Position price has reached a 52 week high

    52L – Position price has reached a 52 week low

    Fields in blue are “Position Fields” and require defining quantity and purchase price to display information. Right click on

    a symbol and click Edit Position to define.

    % of Portfolio Positions proportion of portfolio

    %Return Percent gain or loss of the position through the holding period. For workspace watchlists, includes dividends, if set to reinvest.

    1Mo Position $ Change $ change of current position value to position value price 1 month ago. For position lists, this will not factor for any trades made in the past 1 month.

    1Mo Position % Change % change of current position value to position value price 1 month ago. For position lists, this will not factor for any trades made in the past 1 month.

    3Mo Position $ Change $ change of current position value to position value price 3 months ago. For position lists, this will not factor for any trades made in the past 3 months.

    3Mo Position % Change % change of current position value to position value price 3 months ago. For position lists, this will not factor for any trades made in the past 3 months.

    6Mo Position $ Change $ change of current position value to position value price 6 months ago. For position lists, this will not factor for any trades made in the past 6 months.

    6Mo Position % Change % change of current position value to position value price 6 months ago. For position lists, this will not factor for any trades made in the past 6 months.

    Annualized Investment Rate The APR (Annual Percentage Rate) of the interest account to which un-reinvested dividends are deposited (defined under Edit Position > Reinvest Types). Only available for workspace watchlists.

    Capital Gain/Loss If exit price is defined: (Exit Price * Quantity) - (Entry Price * Quantity) - Commissions If no exit price is defined: Market Value - (Entry Price * Quantity) - Commissions

    Cost Total cost basis of position: (Entry Price * Quantity) + Commission

    Entry Date Date on which the position was entered. Only one entry date is supported currently. Not available for position lists.

    Exit Date Date on which the position was exited. Only one entry date is supported currently. Not available for position lists.

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    Exit Price Position exit price (for workspace watchlists, does not include commission)

    ExtHours Gain/Loss $ Dollar gain or loss since opening the position based on last extended hours trade.

    ExtHours Gain/Loss % Percentage gain or loss since opening the position based on last extended hours trade.

    ExtHours Value $ Current value of position based on last extended hours trade.

    ExtHours Value $ Change The dollar change in value of the position between the previous sessions closing per share price, and the last extended hours trade.

    ExtHours Value % Change The percentage change between the previous sessions closing price and the last extended hours trade.

    Gain Dollar gain or loss in share price of the positions security from through the holding period

    Gain/Loss Dollar gain or loss since opening the position. Does not include dividends or commissions

    Gain/Loss w Div Dollar gain or loss since opening the position plus any dividends received (as defined in Edit Position > Reinvest Types). Position list returns will not include dividends since multiple purchase dates are not currently supported.

    Market Value Current value of position

    MTD Position $ Change $ change of current position value to position value at the 1st of the current month. For position lists, this will not factor for any trades made in the current month.

    MTD Position % Change % change of current position value to position value at the 1st of the current month. For position lists, this will not factor for any trades made in the current month.

    Purch Price Position entry price (for workspace watchlists, does not include commission)

    QTD Position $ Change $ change of current position value to position value at the 1st of the current quarter. For position lists, this will not factor for any trades made in the current quarter.

    QTD Position % Change % change of current position value to position value at the 1st of the current quarter. For position lists, this will not factor for any trades made in the current quarter.

    Quantity Number of shares or contracts

    Reinvestment Income The total dollar amount paid in dividends through the holding period of the position, plus interest as defined in reinvest settings. Only for positions not being reinvested in shares

    Return w Div Percentage return on investment including dividend payments. Position list returns will not include dividends since multiple purchase dates are not currently supported.

    Shares Purchased w Div The number of shares purchased with dividend proceeds through the holding period of the position.

    Today's % Change The percentage change between the previous sessions closing price and the current price.

    Today's Change The dollar change in value of the position between the previous sessions closing per share price, and its current price.

    Total Dividends The total dollar amount paid in dividends through the holding period of the position.

    Total Shares Shares of the original position + any shares acquired through dividend reinvestment.

    Value at Position Close The Value of the position when closed if defined or current market value

  • Page 15 | Watchlists 3402200

    YTD Position $ Change $ change of current position value to position value at the 1st of the current year. For position lists, this will not factor for any trades made in the current year.

    YTD Position % Change % change of current position value to position value at the 1st of the current year. For position lists, this will not factor for any trades made in the current year.

    $ Change 1 Month $ change of current price to closing price 1 month ago.

    $ Change 3 Month $ change of current price to closing price 3 months ago.

    $ Change 6 Month $ change of current price to closing price 6 months ago.

    $ Change Week $ change of current price to closing price 1 week ago.

    % Change Percentage price change for current trading session

    % Change 1 Month % Price change of current price to the mean of high & low price from one month ago

    % Change 3 Month % Price change of current price to the mean of high & low price from three months ago

    % Change 6 Month % Price change of current price to the mean of high & low price from six months ago

    % Change Month % Price change of current price compared to closing price from one month ago

    % Change Week % Price change of current price compared to closing price from one week ago

    % In/Out of Money Percent difference between last price and strike price

    12Mo % Return Percent difference between last night's close and the close 52 weeks ago.

    12Mo %Tot Return Percent difference between last night's close and the close 52 weeks ago, plus any dividends received.

    12Mo Div Pd Value of dividends paid per share over 12 month period.

    12Mo Prev Close A security’s closing price from 12 months ago

    1Mo % Ret Adj % return over 1 month

    1Mo % Tot Ret Adj % return over 1 month with the addition of any dividends paid out over 1 month.

    1Mo Begin Pr Adj A security’s closing price from 1 month ago

    1Mo Cash Div Pd Sum of dividends paid for 1 share over the past 1 month

    1Mo SpinOff Returns the following values of which are applied to return calculations based on a spinoff corporate action. • S = The return has been zeroed out due to a spinoff • N = The return is zero for other reasons (likely, no price on one of the two dates) • Y = the return is present

    3Mo % Ret Adj % return over 3 month

    3Mo % Tot Ret Adj % return over 3 months with the addition of any dividends paid out over 3 months.

    3Mo Begin Pr Adj A security’s closing price from 3 months ago

    3Mo Cash Div Pd Sum of dividends paid for 1 share over the past 3 months

    3Mo SpinOff Returns the following values of which are applied to return calculations based on a spinoff corporate action. • S = The return has been zeroed out due to a spinoff • N = The return is zero for other reasons (likely, no price on one of the two dates) • Y = the return is present

    52Wk H Date Date the maximum price was reached in the previous 52 weeks

  • Page 16 | Watchlists 3402200

    52Wk High Maximum price for the last 52 weeks

    52Wk High Percent Below Percent Below 52 Week High using current price

    52Wk L Date Date the minimum price was reached in the previous 52 weeks

    52Wk Low Minimum price for the last 52 weeks

    52Wk Low Percent Above Percent Above 52 Week Low using current price

    52Wk Range with Last Display the 52 week price range, low to high, along with the last trading price's relative position in the range

    6Mo % Ret Adj % return over 6 months

    6Mo % Tot Ret Adj % return over 6 months with the addition of any dividends paid out over 6 months.

    6Mo Begin Pr Adj A security’s closing price from 6 months ago

    6Mo Cash Div Pd Sum of dividends paid for 1 share over the past 6 months

    6Mo SpinOff Returns the following values of which are applied to return calculations based on a spinoff corporate action. • S = The return has been zeroed out due to a spinoff • N = The return is zero for other reasons (likely, no price on one of the two dates) • Y = the return is present

    Annual Dividend If regularly paid (i.e., quarterly, monthly), this is the total dividends expected to be paid over the next 12 months. In some cases, the amount and timing of dividends are irregular, and therefore impossible to forecast - in those cases, we sum up dividends paid over the last 12 months.

    Annual Revenue Annual Revenue in millions

    Ask Ask price (lowest available selling price)

    Ask Exchange Exchange of ask price

    Ask Size Quantity available to sell at ask price

    Average Volume Average volume for previous 20 days

    Basecode Determines the method of Price base code translation (1/10, 1/100, etc)

    BETA A measurement of the sensitivity of a company's stock price to the overall fluctuation in the S&P 500 (S&P 500), or for Canadian listings, the Toronto Stock Exchange 300 Index. For example, a beta of 1.5 indicates that a company's stock price tends to rise (or fall) 1.5 percent, with a 1 percent rise (or fall) in the index price.

    Bid Bid price (highest available buying price)

    Bid Exchange Exchange of bid price

    Bid Size Quantity available to buy at bid price

    Bid/Ask Size The bid and asks size (side-by-side in same cell)

    Bid-Ask The bid and ask price (side-by-side in same cell)

    BlockTrade1 Number of trades between 1 and 49,999 shares

    BlockTrade2 Number of trades between 50,000 and 99,999 shares

    BlockTrade3 Number of trades over 100,000 shares

    BlockTradeTotalCount Aggregate number of block trades

    BlockTradeTotalVol Aggregate volume of block trades

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    BlockTradeVol1 Aggregate volume of shares traded in trades between 1 and 49,999 shares

    BlockTradeVol2 Aggregate volume of shares traded in trades between 50,000 and 99,999 shares

    BlockTradeVol3 Aggregate volume of shares traded over 100,000 shares

    Book Value The book value of a company, in millions.

    Book Value per Share Book Value / Common Shares Outstanding

    BuyerID The TSX assigned ID number for the broker on the buy-side of a trade (Canadian securities only)

    Category Name Type of security

    Comment Allows entry of a brief notation in each row. Comments are linked to current watchlist, use the Notes window for symbol linked comments that can be displayed throughout the workspace

    Contract Deliverable Number of shares represented by an option contract

    Contract High The High over the life of the Contract

    Contract High Date The Date that the Contract High was set

    Contract Low The Low over the life of the Contract

    Contract Low Date The Date that the Contract Low was set

    Currency Currency the security trades in

    Current Inside Match Price The Current Inside Match Price reflects the price for which the number of Paired Shares and the number of Imbalance Shares are calculated. Please note that the Current Inside Match Price is determined by the price within the NASDAQ Inside where the maximum number of shares are paired, the imbalance is minimized and the distance from the bid-ask midpoint is minimized, in that order. If this field is null or blank, it is because there is no Current Inside Match Price for the specific security. Note: Market Depth qualification is required to use this field

    Current Ratio Total Current Assets / Total Current Liabilities, on a trailing 12-month basis

    CUSIP The 9-character identifier for North American securities

    Date Date of last update - can be trade or quote update

    Days Til Expiration Options: Number of days until the expiration of an option contract

    Delta The neutral hedge ratio, or the expected change in the option premium given a one point change in the price of the underlying Instrument (Measure of the options sensitivity to changes in the Underlying Instrument)

    Description Equities, Indices, futures: Name. ETFs, ETNs & Mutual Funds: Issuer. Currency: Base Currency. Options: Underlying, Month, Strike, Type.

    Description2 For mutual funds, the name of the fund (i.e., the "issue"). Equities with SEDOLs will display SEDOL

    Div, Date Annc Date the dividend was announced

    Div, Pay Date Date the dividend was/will be paid

    Div, Prev XDate Date of the previous ex-dividend date

    Div, Rec Date Record date of the dividend

    Div, Xdate The ex-dividend date of the most recently announced or paid dividend See Fundamentals window > Dividend History for more information on dividends

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    Dividend The dividend farthest out in the future - almost always the most recently paid or announced dividend.

    Dividend Interval Number of days between dividend payments

    Dividend Yield Dividend Yield = (indicated annual dividend / current price) * 100

    EBITDA (TTM) Earnings before interest, taxes, depreciation, and amortization on a trailing 12-month basis

    EPS Earnings per share (TTM). Sum of last 4 recently reported earnings (excluding extraordinary items and discontinued operations), divided by outstanding shares.

    EPS, Current FY Earnings per share for the current fiscal year

    EPS, Exp NextQ Estimated Amount of Upcoming Earnings

    EPS, Next FY Estimated earnings per share for the next fiscal year

    EPS, Next FYDt Estimated date for the release of the fiscal year’s earnings per share

    EPS, Next Two FY Estimated earnings per share for the fiscal year after next

    EPS, NextQDt Estimated Announcement Date for Upcoming Quarterly Earnings

    EPS, PrevQ Most Recently Reported Quarterly Earnings

    EPS, PrevQDt Announcements Date of Most Recently Reported Quarterly Earnings

    Exchange Exchange security is listed

    Expiration Options and futures: Date of expiration.

    ExtHours Last Price during extended hours trading

    ExtHours Change % Extended hours Percentage Change Value

    ExtHours Net Change Extended hours $ change Value

    Far indicative clearing price This field indicates the price level at which buy orders and sell orders match in the opening/ closing book. If this field is null or blank, this indicates one of two circumstances: • There are no on-open (or on-close) orders entered for the security; or • There is no substantial on-open (or on-close) interest on the opposite side of the market to execute all of the MOO (or MOC) orders on the other side. When this occurs, the No Indicative Price field displays either a Market Buy or Market Sell indicating that offsetting imbalance only orders should be entered on the other side of the market. For the midday opening process, the Current Inside Match Price, the Near Indicative Clearing Price and the Far Indicative Clearing Price will be equal. Note: Market Depth qualification is required to use this field

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    Flags Flags N News article today S Split Today R Record Date is today X XDiv Date is today P Pay Date is today S

    E Significant event for security NASDAQ Filing Status codes. Off by default - right click > Display Properties > Flags to enable D - Deficient: Issuer Failed to Meet NASDAQ Continued Listing Requirements E - Delinquent: Issuer Missed Regulatory Filing Deadline Q - Bankrupt: Issuer Has Filed for Bankruptcy G - Deficient and Bankrupt H - Deficient and Delinquent J - Delinquent and Bankrupt K - Deficient, Delinquent, and Bankrupt

    Float Shares outstanding, less restricted shares

    Forward Earnings Date Date which the next earnings announcement is expected

    Forward P/E Current Fiscal Year Price per Share / Expected Earnings per Share, for Current Fiscal Year

    Forward P/E Current Quarter Price per Share / Expected Earnings per Share, for Current Quarter

    Forward P/E Next Fiscal Year Price per Share / Expected Earnings per Share, for Next Fiscal Year

    Forward P/E Next Quarter Price per Share / Expected Earnings per Share, for Next Quarter

    Forward P/E Next Two Fiscal Year Price per Share / Expected Earnings per Share, for next Two Fiscal Years

    Forward P/E Next Two Quarter Price per Share / Expected Earnings per Share, Next Two Quarters

    Gamma Measure the expected change in Delta, given a one point change in the value of the underlying Instrument (Measures the stability of the options Delta)

    Headline Count Number of headlines available

    High Highest trading price for the current session

    Historical Volatility 20 day close-to-close volatility

    ImpVol Calculated by using an option pricing model and is the amount of price change that can be expected over a given period of time, expressed as a percentage.

    Industry Industry group (sub section of Sector)

    Insider Owned % Insider Owned % = Shares owned by insiders / Shares outstanding

    Institution Owned % Institution Owned % = Shares owned by institutions / Shares outstanding

    Intrinsic Value Difference between the last price for underlying security and the option strike price. Only calculated for options in the money

    ISIN International Securities Identification Number. A unique international code which identifies a securities issue.

    Issue Description ETFs: Part of Instrument's name.

    Last Last price the asset has traded

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    Last News Update Timestamp of the last news update

    Last Trade Time Date and Time of Last Trade

    Last+Change Combination of the Last and the Change between the Last traded price, and the previous session's close

    Last+Settle Last settlement

    Low Lowest price traded in the current session

    Margin Code Y = Marginable, N = Not marginable

    Market The Average of the Bid & Ask. If Bid=0 it will be Ask. If Ask=0 it will be Bid. If neither are present than Market will equal Recent.

    Market Cap Market capitalization - outstanding, non-diluted number of shares, multiplied by the current share price

    Mid Price The Average of the Bid & Ask. If Bid=0 it will be Ask. If Ask=0 it will be Bid. If neither are present than Market will equal Recent.

    Mid Price Change Percentage Mark Price change for current session

    Midpoint Mid price between session's High and Low prices

    Minutes Delayed Reports number of minutes a quote is delayed.

    Month Prev Close The price as of the last workday of the previous month

    Mov Avg 150 The average trade price over the most recent 150 business days, U.S. holidays and weekends excluded

    Mov Avg 20 The average trade price over the most recent 20 business days, U.S. holidays and weekends excluded

    Mov Avg 200 The average trade price over the most recent 200 business days, U.S. holidays and weekends excluded

    Mov Avg 50 The average trade price over the most recent 50 business days, U.S. holidays and weekends excluded

    MTD $ Change $ change of current price to closing price at the end of the previous month

    MTD % Change Percentage Change since the 1st of the Current Month

    MTD Div Paid The MTD dividend will be the sum of the cash dividends which have gone ex in the current month.

    MTD%RetAdj Percentage change between current price and last price of previous month - [(current price / previous month's end price) – 1] * 100

    MTD%TotRetAdj Percentage price change between current price and last price of previous month, plus any dividends received for that period [(current price + MTD cash dividends) / previous price] * 100

    Mutual Fund Category Type of Mutual Fund

    NAV Mutual Funds: Net asset value

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    Near indicative clearing price The crossing price at which orders in the NASDAQ opening/closing book and continuous book clear against each other. If this field is null or blank, this indicates one of two circumstances: • There are no on-open (or on-close) orders entered for the security; or • There is no substantial on-open (or on-close) or continuous book interest on the opposite side of the market to execute all of the MOO (or MOC) orders on the other side. When this occurs, the No Indicative Price field displays either a Market Buy or Market Sell indicating that offsetting imbalance-only or continuous market orders should be entered on the other side of the market. For the midday opening process, the Current Inside Match Price, the Near Indicative Clearing Price and the Far Indicative Clearing Price will be equal. Note: Market Depth qualification is required to use this field

    Net Change Difference between the Last traded price, and the previous session's close

    No indicative clearing price The No Indicative Price field displays either a Market Buy or Market Sell when there is no substantial on-open (or on-close) or continuous book interest on the opposite side of the market to execute all of the MOO (or MOC) orders on the other side. This indicates that offsetting imbalance-only or continuous market orders should be entered on the other side of the market. Note: Market Depth qualification is required to use this field

    Note Displays note for security. Add and edit notes from Tools > Notes

    Number of Market Shares Imbalanced This field is used for an IPO or trading halt opening process. The only time that an imbalance will be disseminated will be when there is a Market Buy or Market Sell condition. Note: Market Depth qualification is required to use this field

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    Number of Shares Imbalanced For the Opening Cross, this field indicates the absolute difference between the number of shares for early “Regular Hours”, Market On Open, Limit On Open and Imbalance Only orders on the buy side and the number of shares for early “Regular hours”, Market On Open, Limit On Open and offsetting Imbalance Only orders on the sell side eligible to be matched at the Current Inside Match price. For the IPO and trading halt opening process, imbalance information will only be disseminated when there is a Market Buy or Market Sell condition. For the Closing Cross, this field indicates the absolute difference between the number of shares for Market On Close, Limit On Close and offsetting Imbalance Only orders on the buy side and the number of shares for Market On Close, Limit On Close, and offsetting Imbalance Only orders on the sell side eligible to be matched at the Current Inside Match Price. For the opening and closing crosses, the Number of Shares of Imbalance may be zero-filled under the following scenarios: • There are no on-open/on-close orders in the NASDAQ book. In this case, the Imbalance Side field would be set to “O”. • There is no imbalance; all shares in eligible orders can be paired at current inside match price. In this case, the Imbalance Side would be set to “Nolmb”. Note: Market Depth qualification is required to use this field

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    Number of Shares Paired The total number of shares that are eligible to be matched at the Current Inside Match Price. For the Opening Cross, this calculation will include early "Regular Hours", Market On Open, Limit On Open, and Imbalance Only orders that are eligible to be matched at the Current Inside Match Price. For the IPO and trading halt opening process, this calculation would include regular hour orders and quotes that are eligible to be matched at the Current Inside Match Price. For the Closing Cross, this calculation will include Market On Close, Limit On Close, and Imbalance Only Orders that are eligible to be matched at the Current Inside Match Price. The Number of Shares Paired may be zero-filled under the following two scenarios: • There are no on-open/on-close orders in the NASDAQ book. In this case, the Imbalance Side field would be set to “O”. • There are no shares in the eligible order types that match at the Current Inside Match Price Note: Market Depth qualification is required to use this field

    Old Set IV Yesterday's Implied Volatility at the close price.

    Open Opening price

    Open Interest Options: The number of outstanding option contracts in the exchange market

    Option Type For options only, either Put or Call

    Option Type (S/NS) Option delivery type, S=Standard, NS=Non Standard, i.e. Adjusted deliverable

    Optional Security Defines if options are available for the security

    Payout Ratio Common and Preferred Stock Dividends Paid / Net Income, on a trailing 12-month basis

    PE Price per Share / Earnings per Share

    PEG Ratio (( Last Close Price / Mean EPS Estimate Current FY ) / Long Term Growth Rate ). If this result is less than zero, PEGRatio is set to null/blank.

    Prev Net Change Price change during the previous trading session

    PrevDay High Highest trading price during the previous trading session

    PrevDay Low Lowest price traded during the previous trading session

    PrevDay Open Opening price from the previous trading session

    Previous Close Last price the asset traded in the previous trading session

    Price to Book Stock Price / (Total Assets – Intangible Assets and Liabilities), for the last fiscal year

    Price to Book (TTM) Stock Price / (Total Assets – Intangible Assets and Liabilities) on a trailing 12-month basis

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    Price to Book Qtr Stock Price / (Total Assets – Intangible Assets and Liabilities), for the most recent reported quarter.

    Price to Sales Stock Price / Revenue per Share, on a trailing 12-month basis

    Price Variance Indicator This field indicates the absolute value of the percentage of deviation of the Near Indicative Clearing Price to the nearest Current Reference Price. Price Variance Indicator = (Near Indicative Clearing Price – Current Inside Price) This field indicates the % difference between the indicative Opening/ Closing Cross price (Near Clearing Price) and the price where the market is currently trading. A high value indicates there will be a large price difference between the Opening/ Closing Cross price and the continuous market if sufficient offsetting interest is not entered. This field will display a percent difference or percent range as listed below: Code Percentage Range L Less than 1% 1 1 to 1.99% 2 2 to 2.99% 3 3 to 3.99% 4 4 to 4.99% 5 5 to 5.99% 6 6 to 6.99% 7 7 to 7.99% 8 8 to 8.99% 9 9 to 9.99% A 10 to 19.99% B 20 to 29.99% C 30% or greater Space Cannot be calculated Note: Market Depth qualification is required to use this field

    Profit Margin % Profit Margin = Net Income / Net Sales (revenue)

    QTD $ Change $ change of current price to closing price at the end of the previous quarter

    QTD % Change % change of current price to closing price at the end of the previous quarter

    QTD Div Paid The sum of the cash dividends which have gone ex in the current quarter.

    QTD%RetAdj Percentage change between current price and last price of previous quarter - [(current price / previous quarter's end price) – 1] * 100

    QTD%TotRetAdj Percentage price change between current price and last price of previous quarter, plus any dividends received for that period [(current price + QTD cash dividends) / previous price] * 100

    Qtr Prev Close The price as of the last workday of the previous quarter

    Quick Ratio (Total Cash and Short Term Investments + Accounts Receivables + Other Receivables) / Total Current Liabilities, on a trailing 12-month basis

    Recent Last Trade or Settlement, whichever is more current.

    Rho Measures the expected change in the option Premium, given a 1% change in the Domestic Interest Rate.

    ROA (TTM) (EBIT * 0.625) / ((Total Assets (t) + Total Assets (t-1)) /2), on a trailing 12-month basis

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    ROE (TTM) Earnings From Continuing Operations / ((Total Equity (t) + Total Equity (t-1)) /2), on a trailing 12-month basis

    Root Options: Complete symbol of the underlying asset

    RSI The internal strength of an instrument as compared to former prices over a period of 14 days.

    Sales (TTM) Total Revenue on a trailing 12-month basis

    Sector Economic sector

    SEDOL The Stock Exchange Daily Official List number, a code used by the London Stock Exchange to identify foreign stocks, especially those that aren't actively traded in the U.S. and don't have a CUSIP number.

    SellerID The TSX assigned ID number for the broker on the sell-side of a trade

    Shares Number of outstanding shares

    Shares Outstanding Number of outstanding shares, in millions

    Short Int Mo % Chg Compares short interest from two months. If the latest reported short interest is midmonth, it will be compared to the previous midmonth short interest. If the latest reported short interest is end-of-month, it will be compared to the previous end-of-month short interest. The month short interest percent is a percentage.

    Short Int Mo Chg Compares short interest from two months. If the latest reported short interest is midmonth, it will be compared to the previous midmonth short interest. If the latest reported short interest is end-of-month, it will be compared to the previous end-of-month short interest. The month short interest change is an absolute value

    Short Int Ratio Latest reported short interest divided by 25-day average daily trading volume

    Short Int YTD % Chg The percent change between latest reported short interest and the last short interest reported the previous year.

    Short Int YTD Chg The YTD short interest change is the absolute change between the latest reported short interest and the last short interest reported the previous year.

    Short Interest Latest exchange reported short interest (mid-monthly periodicity)

    Short Volume Short Volume is a daily value, derived from short sale activity occurring in the US markets. We currently support the composite volume occurring on Nasdaq and its Boston Stock Exchange for trades of NYSE and Nasdaq-listings.

    Side of Imbalance The Imbalance Side field indicates the market side for of the imbalance. This field will display the following values for a specific security: Code Description B Buy-side imbalance S Sell-side imbalance Nolmb No imbalance (buy side equals sell side) O No marketable on-open (or on-close) orders in NASDAQ, thus no imbalance. Note: Market Depth qualification is required to use this field

    Split Date Date of Split (“Ex-Date”)

    Split Ratio Total Current Assets / Total Current Liabilities, on a trailing 12-month basis

    Strike Options: Strike price

    SV Date The previous trading session’s date

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    Symbol A unique alpha numeric value used to identify the security.

    Theoretical Price The value of an option as calculated by the option pricing model using the previous sessions closing implied volatility.

    Theta Reflects expected change in the option Premium, over one day (Measure of time value decay).

    Tick Either + or - to representing the change from the previous Trade Price when instrument is currently trading and a "C" when the session is closed for Equities and Options and a "S" when Futures contracts are settled

    Time Time of the last update (Includes Bids / Asks)

    Time Value Difference between the option last price and its intrinsic value. Only calculated when intrinsic value is defined.

    Tot D/E (TTM) Total Debt / Total Equity on a trailing 12-month basis

    Trade Column that provides Buy and Sell links to trade the security

    Trade Exchange Exchange, market center, where last trade occurred

    Trade Size Quantity of last trade

    Underlying symbol Options: Complete symbol of the underlying asset

    Vega Measures the expected change in the option Premium, given a 1% change in the Implied Volatility of the option (Measures sensitivity to shifting volatility levels).

    Vol Avg 10D The average volume over the most recent 10 business days, U.S. holidays and weekends excluded.

    Vol Avg 25D The average volume over the most recent 25 business days, U.S. holidays and weekends excluded.

    Vol Avg 3Mo The average volume over the most recent 90 business days, U.S. holidays and weekends excluded.

    Vol Avg 50D The average volume over the most recent 50 business days, U.S. holidays and weekends excluded.

    Vol Avg MTD The average month-to-date volume for the business days in the current month

    Volume The number of shares traded from the current day's market opening until the reported trade time.

    VWAP Volume weighted average price, based on 3 minute frequency.

    Yield Indicated annual dividend divided by the last trade

    Yr Prev Close A security’s prior closing price on the last workday of the previous year

    YTD $ Change $ change of current price to closing price at the end of the previous year

    YTD % Change Percentage Change since Jan 1 of Current Year

    YTD Div Pd The sum of the cash dividends which have gone ex in the current year.

    YTD%RetAdj Percentage change between previous closing price and last price of previous year - [(current price / year-end price) – 1] * 100

    YTD%TotRetAdj Percentage price change between previous closing price and last price of previous year, plus any dividends received for that period - [(current price + YTD cash dividends) / year-end price] * 100

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    https://olui2.fs.ml.com/Publish/Content/application/pdf/GWMOL/riskstoc_supplement.pdfhttps://www.sipc.org/https://www.sipc.org/