--- type: tax-form category: tax person: Xuewei Jiang & Yanxin Lu date: 2018-12-31 source: lu_1099_trade_2018.pdf --- # TD Ameritrade 1099 Consolidated Tax Statement (2018) - **Account:** 427688166 - **Account Holders:** Xuewei Jiang & Yanxin Lu TEN ENT - **Address:** 3517 N Hills Dr Apt A104, Austin, TX 78731 - **Payer's TIN:** 47-0533629 - **Recipient's TIN:** XXX-XX-3215 - **Statement Date:** 02/06/2019 - **Document ID:** 1WWA 0DT 21TH ## 1099-DIV - Dividends and Distributions | Box | Description | Amount | |---|---|---| | 1a | Total ordinary dividends | $156.84 | | 1b | Qualified dividends | $151.36 | | 2a | Total capital gain distributions | $0.00 | | 3 | Nondividend distributions | $0.00 | | 4 | Federal income tax withheld | $0.00 | | 5 | Section 199A dividends | $0.00 | | 7 | Foreign tax paid | $0.00 | ### Dividend Detail by Security | Security | CUSIP | Amount | Type | |---|---|---|---| | Fidelity Covington Trust Consumer Staples ETF | 316092303 FSTA | $15.02 | Qualified | | Fidelity Covington Trust Consumer Staples ETF | 316092303 FSTA | $0.39 | Nonqualified | | Fidelity Covington Trust MSCI Financials ETF | 316092501 FNCL | $24.83 | Qualified | | Fidelity Covington Trust MSCI Financials ETF | 316092501 FNCL | $0.49 | Nonqualified | | Fidelity Covington Trust MSCI Info Tech ETF | 316092808 FTEC | $25.56 | Qualified (Q1) | | Fidelity Covington Trust MSCI Info Tech ETF | 316092808 FTEC | $17.89 | Qualified (Q2) | | Fidelity Covington Trust MSCI Info Tech ETF | 316092808 FTEC | $17.77 | Qualified (Q3) | | Fidelity Covington Trust MSCI Info Tech ETF | 316092808 FTEC | $22.68 | Qualified (Q4) | | iShares Trust Core S&P Small Cap ETF | 464287804 IJR | $12.93 | Qualified | | iShares Trust Core S&P Small Cap ETF | 464287804 IJR | $4.60 | Nonqualified | | **Total** | | **$156.84** | | ## 1099-INT - Interest Income | Box | Description | Amount | |---|---|---| | 1 | Interest income | $0.19 | | 4 | Federal income tax withheld | $0.00 | ### Interest Detail - FDIC Insured Deposit Interest (01/31/18): $0.08 - Int Earned Bank Dep Program (02/26/18): $0.02 - FDIC Insured Deposit Account (10-12/2018): $0.09 ## 1099-B - Proceeds Summary | Term | Type | Proceeds | Cost Basis | Wash Sale Disallowed | Net Gain/Loss | |---|---|---|---|---|---| | Short | A (basis reported) | $41,781.33 | $44,856.07 | $1,624.99 | -$1,449.75 | | Long | D (basis reported) | $0.00 | $0.00 | $0.00 | $0.00 | | **Grand Total** | | **$41,781.33** | **$44,856.07** | **$1,624.99** | **-$1,449.75** | ### Short-Term Transactions (Covered, Box A) | Security | Date Sold | Qty | Proceeds | Cost Basis | Wash Sale (W) | Gain/Loss | |---|---|---|---|---|---|---| | Fidelity MSCI Financials ETF (FNCL) | 07/10/18 | 130 | $5,206.64 | $5,488.40 | | -$281.76 | | Fidelity MSCI Info Tech ETF (FTEC) | 11/27/18 | 80 | $4,163.39 | $4,259.54 | $96.15 W | $0.00 | | Fidelity MSCI Info Tech ETF (FTEC) | 11/28/18 | 46 | $2,435.61 | $2,448.54 | $11.31 W | -$1.62 | | Five Below Inc (FIVE) | 01/19/18 | 70 | $4,672.10 | $4,689.95 | | -$17.85 | | General Motors Co (GM) | 01/23/18 | 120 | $5,204.20 | $5,270.15 | | -$65.95 | | iShares Core S&P Small Cap ETF (IJR) | 10/25/18 | 61 | $4,720.48 | $5,270.95 | | -$550.47 | | Kraton Corporation (KRA) | 02/06/18 | 50 | $2,337.50 | $2,577.50 | $240.00 W | $0.00 | | Kraton Corporation (KRA) | 02/15/18 | 100 | $4,999.93 | $5,133.27 | | -$133.34 | | W & T Offshore Inc (WTI) | 02/09/18 | 700 | $2,487.44 | $3,274.48 | $787.04 W | $0.00 | | W & T Offshore Inc (WTI) | 02/12/18 | 700 | $2,786.61 | $3,185.37 | | -$398.76 | | W & T Offshore Inc (WTI) | 02/12/18 | 700 | $2,767.43 | $3,257.92 | $490.49 W | $0.00 | | **Totals** | | | **$41,781.33** | **$44,856.07** | **$1,624.99** | **-$1,449.75** | ## Fees and Expenses - Margin interest paid: $1.04 - Interest Charged (02/28/18): $0.45 - MGN INT 1 Day @ 9% (02/23/18): $0.15 - MGN INT 3 Days @ 9% (02/28/18): $0.44