Futures Cash Position

It can sometimes be difficult to calculate the cash position in an account with futures due to the good faith deposit (margin) requirement and the current mark-to-market value of the futures.

Schwab

A typical daily futures statement will look like this:

The current positions page might look like this:

To find the true cash position it would be:

\[\text{Total Cash & Cash Investments} + \text{ACCOUNT VALUE AT MARKET} - \text{OPEN TRADE EQUITY} = 12602.91 + 8777.47 - 3843.50 = 17536.88\]
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