type, category, person, date, source
Form 1099 Composite & Year-End Summary - Tax Year 2025
Broker: Charles Schwab & Co., Inc.
Payer Address: 3000 Schwab Way, Westlake, TX 76262
Payer Federal ID: 94-1737782
Payer Phone: (800) 435-4000
Account: Schwab One Account of Yanxin Lu, Designated Bene Plan/TOD
Account Number: 7762-6713
Taxpayer ID: *- -3464
Recipient: Yanxin Lu, Designated Bene Plan/TOD
Address: 12421 Sanford St, Los Angeles, CA 90066-6954
Consultant: Elise Lee, VP_ Financial Consultant, 1 310-571-9055, elise.lee@schwab.com
Date Prepared: February 6, 2026
Total Pages: 18
Table of Contents
Form 1099 Composite (p.3)
Form 1099-DIV (p.3)
Form 1099-INT (p.5)
Form 1099-B (p.7)
Notes for Form 1099-B (p.10)
Year-End Summary (p.11)
Interest & Dividends (p.11)
Realized Gain or (Loss) (p.13)
Terms and Conditions (p.18)
Form 1099-DIV - Dividends and Distributions
Box
Description
Amount
1a
Total Ordinary Dividends
$16,441.45
1b
Qualified Dividends
$3,933.75
2a
Total Capital Gain Distributions
$0.60
2b
Unrecap. Sec. 1250 Gain
$0.00
2c
Section 1202 Gain
$0.00
2d
Collectibles (28%) Gain
$0.00
2e
Section 897 Ordinary Dividends
$0.00
2f
Section 897 Capital Gains
$0.00
3
Nondividend Distributions
$0.00
4
Federal Income Tax Withheld
$0.00
5
Section 199A Dividends
$27.68
6
Investment Expenses
$0.00
7
Foreign Tax Paid
$0.00
9
Cash Liquidation Distributions
$0.00
10
Noncash Liquidation Distributions
$0.00
12
Exempt-Interest Dividends
$0.00
13
Specified Private Activity Bond Interest Dividends
$0.00
16
State Tax Withheld
$0.00
Form 1099-INT - Interest Income
Box
Description
Amount
1
Interest Income
$1.74
3
Interest on U.S. Savings Bonds
$0.00
4
Federal Income Tax Withheld
$0.00
5
Investment Expenses
$0.00
6
Foreign Tax Paid
$0.00
8
Tax-Exempt Interest
$0.00
9
Specified Private Activity Bond Interest
$0.00
10
Market Discount
$0.00
11
Bond Premium
$0.00
12
Bond Premium on Treasury Obligations
$0.00
13
Bond Premium on Tax-Exempt Bond
$0.00
17
State Tax Withheld
$0.00
Form 1099-B - Proceeds from Broker Transactions
Short-Term Transactions (Basis Available but NOT Reported to IRS - Box B)
Security
CUSIP
**
Date Acquired
Date Sold
Proceeds
Cost Basis
Gain/Loss
107 META PLATFORMS INC CLASS A
30303M102
A
05/15/24
02/19/25
$75,273.73
$50,487.95
$24,785.78
125 META PLATFORMS INC CLASS A
30303M102
A
VARIOUS
05/19/25
$79,137.62
$90,769.48
($11,631.86)
Total Short-Term (Not Reported)
$154,411.35
$141,257.43
$13,153.92
Long-Term Transactions (Basis Available but NOT Reported to IRS - Box E)
Security
CUSIP
**
Date Acquired
Date Sold
Proceeds
Cost Basis
Gain/Loss
13 META PLATFORMS INC CLASS A
30303M102
A
02/15/24
02/19/25
$9,145.41
$6,152.64
$2,992.77
52 META PLATFORMS INC CLASS A
30303M102
A
VARIOUS
08/18/25
$40,004.73
$26,787.51
$13,217.22
160 META PLATFORMS INC CLASS A
30303M102
A
VARIOUS
11/18/25
$95,766.58
$88,464.80
$7,301.78
Total Long-Term (Not Reported)
$144,916.72
$121,404.95
$23,511.77
Total Sales Price of Stocks, Bonds, etc.: $299,328.07
Year-End Summary
Interest & Dividends
Detail Information of Dividends and Distributions
Non-Qualified Dividends (included in Box 1a):
Description
Symbol
CUSIP
Paid in 2025
Paid/Adjusted 2026 for 2025
Amount
FIDELITY ELCTRC VHC FTR
FDRV
316092220
$109.03
($76.12)
$32.91
SCHWAB TREASURY OBLIG MO
SNOXX
808515621
$12,445.82
$0.00
$12,445.82
VANGUARD CONSUMER
VDC
92204A207
$823.68
($823.68)
$0.00
VANGUARD INDUSTRIALS
VIS
92204A603
$903.64
($903.64)
$0.00
VANGUARD INFORMATION
VGT
92204A702
$377.94
($377.94)
$0.00
VANGUARD S&P 500 ETF
VOO
922908363
$975.36
($947.68)
$27.68
Total Non-Qualified
$15,635.47
($3,129.06)
$12,506.41
Short-Term Capital Gains (included in Box 1a):
Description
Symbol
CUSIP
Paid in 2025
Amount
SCHWAB TREASURY OBLIG MO
SNOXX
808515621
$1.29
$1.29
Qualified Dividends (Box 1b):
Description
Symbol
CUSIP
Paid in 2025
Paid/Adjusted 2026 for 2025
Amount
APPLE INC
AAPL
037833100
$61.80
$0.00
$61.80
FIDELITY ELCTRC VHC FTR
FDRV
316092220
$0.00
$76.12
$76.12
META PLATFORMS INC
META
30303M102
$742.89
$0.00
$742.89
VANGUARD CONSUMER
VDC
92204A207
$0.00
$823.68
$823.68
VANGUARD INDUSTRIALS
VIS
92204A603
$0.00
$903.64
$903.64
VANGUARD INFORMATION
VGT
92204A702
$0.00
$377.94
$377.94
VANGUARD S&P 500 ETF
VOO
922908363
$0.00
$947.68
$947.68
Total Qualified
$804.69
$3,129.06
$3,933.75
Total Ordinary Dividends (Box 1a): $16,441.45
Capital Gain Distributions (Long-Term, Box 2a):
Description
Symbol
CUSIP
Amount
SCHWAB TREASURY OBLIG MO
SNOXX
808515621
$0.60
Section 199A Dividends (Box 5):
Description
Symbol
CUSIP
Amount
VANGUARD S&P 500 ETF
VOO
922908363
$27.68
Detail Information of Interest Income
Description
Paid in 2025
Amount
DEPOSIT INTEREST
$1.74
$1.74
Realized Gain or (Loss)
Short-Term (Basis NOT Reported to IRS - Box B)
Security
CUSIP
Quantity
Date Acquired
Date Sold
Proceeds
Cost Basis
Gain/Loss
META PLATFORMS INC CLASS A
30303M102
7.00
05/15/24
02/19/25
$4,924.44
$3,302.95
$1,621.49
META PLATFORMS INC CLASS A
30303M102
18.00
05/15/24
02/19/25
$12,662.87
$8,493.30
$4,169.57
META PLATFORMS INC CLASS A
30303M102
34.00
05/15/24
02/19/25
$23,918.76
$16,042.90
$7,875.86
META PLATFORMS INC CLASS A
30303M102
48.00
05/15/24
02/19/25
$33,767.66
$22,648.80
$11,118.86
META PLATFORMS INC CLASS A
30303M102
17.00
02/15/25
05/19/25
$10,762.72
$12,523.39
($1,760.67)
META PLATFORMS INC CLASS A
30303M102
17.00
02/15/25
05/19/25
$10,762.72
$12,523.39
($1,760.67)
META PLATFORMS INC CLASS A
30303M102
31.00
02/15/25
05/19/25
$19,626.13
$22,836.77
($3,210.64)
META PLATFORMS INC CLASS A
30303M102
43.00
02/15/25
05/19/25
$27,223.34
$31,676.81
($4,453.47)
META PLATFORMS INC CLASS A
30303M102
17.00
05/15/25
05/19/25
$10,762.71
$11,209.12
($446.41)
Total Short-Term
$154,411.35
$141,257.43
$13,153.92
Long-Term (Basis NOT Reported to IRS - Box E)
Security
CUSIP
Quantity
Date Acquired
Date Sold
Proceeds
Cost Basis
Gain/Loss
META PLATFORMS INC CLASS A
30303M102
13.00
02/15/24
02/19/25
$9,145.41
$6,152.64
$2,992.77
META PLATFORMS INC CLASS A
30303M102
11.00
05/15/24
08/18/25
$8,462.54
$5,190.35
$3,272.19
META PLATFORMS INC CLASS A
30303M102
18.00
08/15/24
08/18/25
$13,847.79
$9,481.68
$4,366.11
META PLATFORMS INC CLASS A
30303M102
23.00
08/15/24
08/18/25
$17,694.40
$12,115.48
$5,578.92
META PLATFORMS INC CLASS A
30303M102
11.00
08/15/24
11/18/25
$6,583.95
$5,794.36
$789.59
META PLATFORMS INC CLASS A
30303M102
18.00
08/15/24
11/18/25
$10,773.74
$9,481.68
$1,292.06
META PLATFORMS INC CLASS A
30303M102
48.00
08/15/24
11/18/25
$28,729.97
$25,284.48
$3,445.49
META PLATFORMS INC CLASS A
30303M102
34.00
11/15/24
11/18/25
$20,350.40
$19,623.44
$726.96
META PLATFORMS INC CLASS A
30303M102
49.00
11/15/24
11/18/25
$29,328.52
$28,280.84
$1,047.68
Total Long-Term
$144,916.72
$121,404.95
$23,511.77
Realized Gain or (Loss) Summary
Description
Total Proceeds
Cost Basis
Realized Gain/Loss
Total Short-Term (Not Reported, Box B)
$154,411.35
$141,257.43
$13,153.92
Total Long-Term (Not Reported, Box E)
$144,916.72
$121,404.95
$23,511.77
TOTAL REALIZED GAIN OR (LOSS)
$299,328.07
$262,662.38
$36,665.69