Joint Asset Portfolio
An overview of participant information, portfolio details, current status, and asset tracking history.
At a glance
Quick Overview
A concise summary of the principal information associated with the portfolio record.
Information on file
Participants
The following participant information is maintained on file for identification and portfolio administration purposes.
Jessie Soto
Joseph Eddy
Portfolio summary
Joint Asset Balance
The current balance associated with the joint asset portfolio is presented below.
10-stage history
Asset Tracking History
The following timeline presents the recorded sequence of asset processing, review, verification, and portfolio transfer stages.
German Investment Company
Initial portfolio processing and asset registration.
Custodian Bank
Custodial processing associated with the portfolio assets.
International Payment / SWIFT Instruction
International payment instruction and associated transaction record.
| Field | Description | Record |
|---|---|---|
| :20: | Sender's Reference | UJVNR2025090812345678 |
| :23B: | Bank Operation Code | CRED |
| :32A: | Value Date / Currency / Amount | 261001USD2447488,42 |
| :50K: | Ordering Customer |
/DE82300308800123456789 HSBC Continental Europe Hansaallee 3, 40549 Düsseldorf, GERMANY |
| :52A: | Ordering Institution | DEUTDEFFXXX |
| :56A: | Intermediary Institution | IRVTUS3N |
| :57A: | Account With Institution |
VGRDUS33XXX //FW021000021 |
| :59: | Beneficiary |
/31243149 104 1211 Enterprise Dr Belle Plaine, MN 56011 UNITED STATES |
| :70: | Remittance Information |
INV-2026-0421 ASSET TRANSFER FROM GERMANY |
| :71A: | Details of Charges | OUR |
IMF Review
Assets proceed through the applicable review process.
OFAC Review
Assets proceed through the applicable international sanctions review process.
Beneficiary Financial Records Review
Financial records associated with the beneficiary are reviewed as part of the verification process.
Asset Transfer: Vanguard to Fidelity
The assets were transferred from the Vanguard account to the designated Fidelity account for the next stage of processing.
Return to Vanguard
The transaction is currently pending completion of beneficiary verification with Vanguard.
Beneficiary Verification
Following successful completion of beneficiary verification, the portfolio proceeds to the next processing stage.
Atlas Wealth Management Portfolio
Upon completion of the preceding verification and processing stages, the assets proceed to the designated Atlas Wealth Management portfolio in the United States.
Important information
Disclaimer
Information displayed on this portal is provided for informational purposes and is subject to verification, applicable policies, and relevant review procedures.
Portfolio balances, participant records, asset statuses, tracking information, and other information displayed on this portal may be updated as processing progresses.
Displayed information does not constitute confirmation of settlement, transfer, ownership, entitlement, or completion of any financial or regulatory process.
BENEFICIARY INSTRUCTIONS
Asset Contribution Instructions
The following information sets out the requirements and procedures associated with the beneficiary’s asset contribution.
Contribution Instructions
To initiate the review and potential integration of the beneficiary's assets into the existing Atlas Wealth Management Inc. portfolio—under the custody and supervision of the State Treasury Department.
The beneficiary must remit a contribution of $147,000 (One Hundred Forty-Seven Thousand Dollars) as mandated by the applicable Asset Transfer Regulations Agreement.
Where settlement via cashier's check has been explicitly designated as required, the instrument must be issued directly by an accredited financial institution and prepared in accordance with the following specifications:
The cashier's check should be associated with:
52 Druid Ct, Dahlonega GA 30533
Attn: Appointed Asset Portfolio Manager
Upon receipt, the contribution will be subject to applicable identity verification, source-of-funds review, compliance checks, and confirmation of the payment.
Any proposed addition or merger of the beneficiary's assets with the existing portfolio will occur only in accordance with the governing investment agreement and applicable law.
A receipt will be provided after the payment has been received and verified.
Important Payment Verification Notice
Prior to obtaining or delivering the cashier’s check, the beneficiary shall verify the payee name, amount, delivery address, and payment instructions to ensure secure delivery to the designated address and authorized representative (asset portfolio manager) assigned by the appropriate board of trustees and governing authorities.