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Receivables From, Payables To, and Deposits With Broker-Dealers and Clearing Organizations (Tables)
12 Months Ended
Dec. 31, 2020
Due to and from Broker-Dealers and Clearing Organizations [Abstract]  
Schedule of Amounts receivable from / payable to clearing brokers dealers, related parties and other organization
Amounts receivable from, payables to, and deposits with broker-dealers and clearing organizations consisted of the following as of the periods indicated:

   
As of
December 31, 2020
   
As of
December 31, 2019
 
Receivables from and deposits with broker-dealers and clearing organizations
           
  DTCC / OCC / NSCC
 
$
17,841,000
   
$
3,059,000
 
  Goldman Sachs
   
2,430,000
     
2,841,000
 
  Pershing Capital
   
1,266,000
     
1,192,000
 
  NFS
   
1,061,000
     
1,328,000
 
  Securities fail-to-deliver
   
379,000
     
43,000
 
  Globalshares
   
46,000
     
2,000
 
  ICBC
   
     
10,000
 
Total Receivables from and deposits with broker-dealers and clearing organizations
 
$
23,023,000
   
$
8,475,000
 
                 
Payables to broker-dealers and clearing organizations
               
  Securities fail-to-receive
 
$
1,810,000
   
$
523,000
 
Total Payables to broker-dealers and clearing organizations
 
$
1,810,000
   
$
523,000