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1099 Tax Form Requirements

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					There are risks involved with investing in ETFs, including possible loss of money. Index-based ETFs are not
actively managed. Actively managed ETFs do not necessarily seek to replicate the performance of a specified
index. Both index-based and actively managed ETFs are subject to risk similar to stocks, including those
related to short selling and margin maintenance. Ordinary brokerage commissions apply.
You may purchase or sell PowerShares throughout the day through any brokerage account, which will result
in typical brokerage commissions. Shares are not individually redeemable and owners of the Shares may
acquire those Shares from the Fund and tender those Shares for redemption to the Fund in Creation Units
only. PowerShares are obligated to distribute portfolio gains to shareholders and trading PowerShares may
generate tax consequences.
The information presented in this document does not constitute tax advice. Please consult your tax advisor
for specific information about your tax situation. To ensure compliance with requirements imposed by the
IRS, we inform you that any U.S. federal tax advice contained in this document is not intended or written to
be used, and cannot be used, for the purpose of (i) avoiding penalties under the Internal Revenue Code, or
(ii) promoting, marketing or recommending to another party any transaction or matter that is contained in

Shares are not FDIC insured, may lose value and have no bank guarantee.
Shares are not individually redeemable and owners of the Shares may acquire those Shares from
the Fund and tender those Shares for redemption to the Fund in Creation Unit aggregations only,
typically consisting of 50,000 Shares.
Invesco Aim Distributors, Inc. is the distributor of the PowerShares Exchange-Traded Fund Trust,
PowerShares Exchange-Traded Fund Trust II, PowerShares India Exchange-Traded Fund Trust
and the PowerShares Actively Managed Exchange-Traded Fund Trust. PowerShares® is a
registered trademark of Invesco PowerShares Capital Management LLC. Invesco PowerShares
Capital Management LLC and Invesco Aim Distributors, Inc. are indirect, wholly owned

ALPS Distributors, Inc. is the distributor of the PowerShares QQQ and BLDRS Funds, which are
Unit Investment Trusts (UITs). ALPS Distributors, Inc. is not affiliated with Invesco PowerShares
Capital Management LLC, Invesco Aim Distributors, Inc. or Invesco Advisers, Inc.
An investor should consider the Funds' investment objectives, risks, charges and expenses
carefully before investing. For this and more complete information about the Fund call
800.983.0903 or visit www.invescopowershares.com/prospectus for a prospectus. Please read
the prospectus carefully before investing.
                                                                                                                                PRIMARY LAYOUT
                                                                                                                    2009 YEAR-END TAX REPORTING INFORMATION




Primary Layout Report Date:      1/19/2010

This spreadsheet and the accompanying instructions do not constitute, and should not be considered a substitute for, legal advice. The rules governing the proper tax characterization of distributions by mutual
funds can be complex. Each fund should consult its own tax advisor regarding the proper tax characterization and reporting of the fund’s distributions. Please note that AMT should be provided in Column 31 as
a percentage of Column 30, not an amount.




               1                      2           3             4               5             6             7              8              9                 10             11           12                13               14              15             16               17
                                                                                                                                                                           Year Included in Shareholders' Income               Form 1099 Box 1a Breakdown             Box 1a Total
            Security                                                                                                                                       Total                                                                                        Foreign         Ordinary
          Description                          Ticker       Estimated        Reclass      Corrected      Record       Ex-Dividend      Payable          Distribution       2008        2010              2009            Income        Short-term         Tax          Dividends
         (Fund Name)               CUSIP       Symbol          (E)            (R)            (C)          Date           Date           Date             Per Share     (Prior Year) (Next Year)      (Current Year)     Dividends     Capital Gain       Paid         (14+15+16)
                                                                                                                                                        (11+12+13)                                (14+15+22+26+28+30)




PowerShares Dynamic Market       73935X104      PWC                                                     3/24/2009       3/20/2009     3/31/2009     $      0.069870                               $      0.069870   $     0.069870                                    $   0.069870
PowerShares Dynamic Market       73935X104      PWC                                                     6/23/2009       6/19/2009     6/30/2009     $      0.100000                               $      0.100000   $     0.100000                                    $   0.100000
PowerShares Dynamic Market       73935X104      PWC                                                     9/22/2009       9/18/2009     9/30/2009     $      0.093690                               $      0.093690   $     0.093690                                    $   0.093690
PowerShares Dynamic Market       73935X104      PWC                                                    12/22/2009      12/18/2009    12/31/2009     $      0.121330                               $      0.121330   $     0.121330                                    $   0.121330
                                                                                                                                                    $      0.384890    $      -     $      -      $      0.384890   $     0.384890   $         -    $             -   $   0.384890

PowerShares Dynamic OTC          73935X203      PWO                                                     6/23/2009      6/19/2009      6/30/2009     $      0.047620                               $      0.047620   $     0.047620                                    $   0.047620
PowerShares Dynamic OTC          73935X203      PWO                                                     9/22/2009      9/18/2009      9/30/2009     $      0.003840                               $      0.003840   $     0.003840                                    $   0.003840
                                                                                                                                                    $      0.051460    $      -     $      -      $      0.051460   $     0.051460   $         -    $             -   $   0.051460

                            73935X401
PowerShares Golden Dragon Halter USX China PGJ                                                          6/23/2009       6/19/2009     6/30/2009     $      0.046080                               $      0.046080   $     0.046080                                    $   0.046080
                            73935X401
PowerShares Golden Dragon Halter USX China PGJ                                                          9/22/2009       9/18/2009     9/30/2009     $      0.029580                               $      0.029580   $     0.029580                                    $   0.029580
                            73935X401
PowerShares Golden Dragon Halter USX China PGJ                                                         12/22/2009      12/18/2009    12/31/2009     $      0.122910                               $      0.122910   $     0.122910                                    $   0.122910
                                                                                                                                                    $      0.198570    $      -     $      -      $      0.198570   $     0.198570   $         -    $             -   $   0.198570

                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        1/20/2009      1/15/2009      1/30/2009     $      0.033950                               $      0.033950   $     0.025086                                    $   0.025086
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        2/18/2009      2/13/2009      2/27/2009     $      0.031120                               $      0.031120   $     0.022995                                    $   0.022995
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        3/17/2009      3/13/2009      3/31/2009     $      0.025010                               $      0.025010   $     0.018480                                    $   0.018480
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        4/17/2009      4/15/2009      4/30/2009     $      0.020950                               $      0.020950   $     0.015480                                    $   0.015480
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        5/19/2009      5/15/2009      5/29/2009     $      0.022120                               $      0.022120   $     0.022120                                    $   0.022120
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        6/17/2009      6/15/2009      6/30/2009     $      0.022900                               $      0.022900   $     0.022900                                    $   0.022900
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        7/17/2009      7/15/2009      7/31/2009     $      0.023530                               $      0.023530   $     0.023530                                    $   0.023530
                               73935X302      PEY
PowerShares High Yield Equity Dividend Achievers                                                        8/18/2009      8/14/2009      8/31/2009     $      0.024750                               $      0.024750   $     0.024750                                    $   0.024750
                                                                                                                        PRIMARY LAYOUT
                                                                                                            2009 YEAR-END TAX REPORTING INFORMATION




       18              19             20             21                 22            23           24             25                26                27              28            29               30           31            32
           Form 1099 Box 1b Breakdown           Box 1b Total         Box 2a         Box 2b      Box 2c          Box 2d             Box 3             Box 6           Box 8         Box 9                                      CUSIP
    Qualified       Qualified      Qualified     Qualified         Total Capital    Unrecap                                                         Foreign          Cash        Noncash           Exempt      Percentage     Number
     Income        Short-term     Foreign Tax    Dividends          Gain Distr.    Sec. 1250 Section 1202    Collectibles       Nondividend           Tax         Liquidation   Liquidation        Interest      of AMT       Change
    Dividends        Gains           Paid       (18+19+20)                           Gain         Gain       (28%) Gain         Distributions        Paid            Distr         Distr          Dividends   in Column 30   (M) or (Y)




$     0.069870                                  $   0.069870   $              -
$     0.100000                                  $   0.100000   $              -
$     0.093690                                  $   0.093690   $              -
$     0.121330                                  $   0.121330   $              -
$     0.384890   $         -    $          -    $   0.384890   $              -    $    -     $       -     $         -     $              -    $         -   $            -    $      -      $           -

$     0.047620                                  $   0.047620   $              -
$     0.003840                                  $   0.003840   $              -
$     0.051460   $         -    $          -    $   0.051460   $              -    $    -     $       -     $         -     $              -    $         -   $            -    $      -      $           -

$     0.046080                                  $   0.046080   $              -
$     0.029580                                  $   0.029580   $              -
$     0.122910                                  $   0.122910   $              -
$     0.198570   $         -    $          -    $   0.198570   $              -    $    -     $       -     $         -     $              -    $         -   $            -    $      -      $           -

$     0.025086                                  $   0.025086   $              -                                             $       0.008864
$     0.022995                                  $   0.022995   $              -                                             $       0.008125
$     0.018480                                  $   0.018480   $              -                                             $       0.006530
$     0.015480                                  $   0.015480   $              -                                             $       0.005470
$     0.022120                                  $   0.022120   $              -
$     0.022900                                  $   0.022900   $              -
$     0.023530                                  $   0.023530   $              -
$     0.024750                                  $   0.024750   $              -
                                                                                                                                                                   SECONDARY LAYOUT
                                                                                                                                                        2009 YEAR-END TAX REPORTING INFORMATION




Secondary Layout Report Date:             1/25/2010

This spreadsheet and the accompanying instructions do not constitute, and should not be considered a substitute for, legal advice. The rules governing the proper tax characterization of distributions by mutual
funds can be complex. Each fund should consult its own tax advisor regarding the proper tax characterization and reporting of the fund's distributions.




                                                       Expressed as an annual percentage with six (6) digits after the decimal point.
           1                   2              3            4            5            6                            7                           8                     9                        10                             11                   12            13   14   15   16   17   18   19
                                                        Reserved Creditable       Foreign                     Optional                    Optional              Threshold                 Threshold                    % of Income
                                                                      Tax         Source              Foreign Source Income           Foreign Qualified       Requirements              Requirements                  From Exempt            % of Taxable
                                                                   Reportable    Income:     (% of Primary Layout Box 1a, Col. 17) Dividend Income:       For Exempt Interest          For State and                Federal Securities:       Distribution
                                                                       on      % of Box 1a,             as adjusted for IRC             % of Box 1a,     Dividends from Federal    Local Exempt Interest               % of Box 1a,         Eligible for the
 Security Description                       Ticker                 IRS Form     Col. 17 on         904(b)(2)(B) type limitation          Col. 17 on     Obligations Not Satisfied Dividends Not Satisfied           Col. 17 on Primary    Dividend Received
  (Fund and Class)          CUSIP          Symbol                    8912     Primary Layout              for foreign QDI              Primary Layout      (Indicate by State)       (Indicate by State)                  Layout              Deduction        AL   AK   AZ   AR   CA   CO   CT


                     73936T466           PFP
PowerShares International Listed Private Equity Portfolio                                                                                                                                                                                          0.000000

                    Market
PowerShares Dynamic 73935X104               PWC                                                                                                                                                                                                  100.000000

                    OTC
PowerShares Dynamic 73935X203               PWO                                                                                                                                                                                                  100.000000

                    73935X401        PGJ
PowerShares Golden Dragon Halter USX China                                                                                                                                                                                                         0.000000

                     73935X302         PEY
PowerShares High Yield Equity Dividend Achievers                                                                                                                                                                                                 100.000000

                     73935X500
PowerShares WilderHill Clean Energy         PBW                                                                                                                                                                                                    0.000000

                    Large Cap
PowerShares Dynamic 73935X609 GrowthPWB                                                                                                                                                                                                          100.000000

                    Large Cap
PowerShares Dynamic 73935X708 Value PWV                                                                                                                                                                                                          100.000000

                    Mid Cap Growth
PowerShares Dynamic 73935X807               PWJ                                                                                                                                                                                                  100.000000

                    Mid Cap Value
PowerShares Dynamic 73935X880               PWP                                                                                                                                                                                                  100.000000

                    Small Cap
PowerShares Dynamic 73935X872 Growth PWT                                                                                                                                                                                                         100.000000

                    Small Cap
PowerShares Dynamic 73935X864 Value PWY                                                                                                                                                                                                          100.000000

                    Biotech &
PowerShares Dynamic 73935X856 GenomePBE                                                                                                                                                                                                          100.000000

                    Food & Beverage PBJ
PowerShares Dynamic 73935X849                                                                                                                                                                                                                    100.000000

                    Hardware        PHW
PowerShares Dynamic 73935X831& Consumer Electronics                                                                                                                                                                                              100.000000

                    Leisure &        PEJ
PowerShares Dynamic 73935X757Entertainment                                                                                                                                                                                                       100.000000

                    Media
PowerShares Dynamic 73935X823                PBS                                                                                                                                                                                                 100.000000

                    Networking
PowerShares Dynamic 73935X815               PXQ                                                                                                                                                                                                    0.000000

                    Pharmaceuticals PJP
PowerShares Dynamic 73935X799                                                                                                                                                                                                                    100.000000

                    Semiconductors
PowerShares Dynamic 73935X781                PSI                                                                                                                                                                                                 100.000000

                    Software
PowerShares Dynamic 73935X773                PSJ                                                                                                                                                                                                   0.000000

                    Telecom &        PTE
PowerShares Dynamic 73935X765 Wireless                                                                                                                                                                                                           100.000000

                     73935X716          PID
PowerShares International Dividend Achievers                                          93.184617                                                                                                                                                    0.000000

                    73935X724         PHJ
PowerShares High Growth Rate Dividend Achievers                                                                                                                                                                                                  100.000000

                     Achievers
PowerShares Dividend 73935X732              PFM                                                                                                                                                                                                  100.000000

                    73935X740
PowerShares Zacks Micro Cap                  PZI                                                                                                                                                                                                 100.000000

                    Oil & Gas
PowerShares Dynamic 73935X625ServicesPXJ                                                                                                                                                                                                         100.000000

                    Insurance
PowerShares Dynamic 73935X641                PIC                                                                                                                                                                                                 100.000000

                    Retail
PowerShares Dynamic 73935X617               PMR                                                                                                                                                                                                  100.000000

                    Building &      PKB
PowerShares Dynamic 73935X666 Construction                                                                                                                                                                                                       100.000000

                    Utilities
PowerShares Dynamic 73935X591                PUI                                                                                                                                                                                                 100.000000

                    Energy Exploration & Production
PowerShares Dynamic 73935X658        PXE                                                                                                                                                                                                         100.000000




                                                                                                                                                                               Page 4
                                                                                    SECONDARY LAYOUT
                                                                         2009 YEAR-END TAX REPORTING INFORMATION




                    73935X633
PowerShares Lux Nanotech                PXN                                                                        100.000000

                   73935X690
PowerShares Aerospace & Defense         PPA                                                                        100.000000

                    73935X682
PowerShares Value Timeliness Select     PIV                                                                        100.000000

                    73935X674
PowerShares Zacks Small Cap             PZJ                                                                        100.000000

                    73935X575
PowerShares Water Resources             PHO                                                                        100.000000

                   73935X583
PowerShares FTSE RAFI US 1000           PRF                                                                        100.000000

                   73935X237         PRFF
PowerShares FTSE RAFI Financials Sector Portfolio                                                                   95.910000

                   73935X518         PRFH
PowerShares FTSE RAFI Health Care Sector Portfolio                                                                  92.100000

                   73935X542          Sector
PowerShares FTSE RAFI Basic Materials PRFM Portfolio                                                               100.000000

                   73935X526      PRFG
PowerShares FTSE RAFI Consumer Goods Sector Portfolio                                                              100.000000

                   73935X492       PRFS
PowerShares FTSE RAFI Consumer Services Sector Portfolio                                                           100.000000

                   73935X559         PRFE
PowerShares FTSE RAFI Energy Sector Portfolio                                                                       87.190000

                   73935X534          PRFN
PowerShares FTSE RAFI Industrials Sector Portfolio                                                                 100.000000

                   73935X484       PRFQ
PowerShares FTSE RAFI Telecommunications & Technology Sector Portfolio                                             100.000000

                   73935X476           PRFU
PowerShares FTSE RAFI Utilities Sector Portfolio                                                                    99.760000

                   73935X567        PRFZ
PowerShares FTSE RAFI US 1500 Small-Mid Portfolio                                                                  100.000000

                    MagniQuant      PIQ
PowerShares Dynamic 73935X468 Portfolio                                                                            100.000000

                    Small Cap         PJM
PowerShares Dynamic 73935X435 Portfolio                                                                            100.000000

                    Deep Value      PVM
PowerShares Dynamic 73935X310 Portfolio                                                                            100.000000

                    Aggressive     PGZ
PowerShares Dynamic 73935X294 Growth Portfolio                                                                       0.000000

                    Large Cap         PJF
PowerShares Dynamic 73935X450 Portfolio                                                                            100.000000

                    Mid Cap Portfolio PJG
PowerShares Dynamic 73935X443                                                                                      100.000000

                    Basic Materials Sector Portfolio
PowerShares Dynamic 73935X427         PYZ                                                                          100.000000

                    Consumer          PEZ
PowerShares Dynamic 73935X419 Discretionary Sector Portfolio                                                       100.000000

                    Consumer          Sector Portfolio
PowerShares Dynamic 73935X393 Staples PSL                                                                          100.000000

                    Energy Sector Portfolio
PowerShares Dynamic 73935X385         PXI                                                                          100.000000

                    Financial Sector Portfolio
PowerShares Dynamic 73935X377          PFI                                                                         100.000000

                    Industrials      Portfolio
PowerShares Dynamic 73935X369 Sector PRN                                                                           100.000000

                    Healthcare       PTH
PowerShares Dynamic 73935X351 Sector Portfolio                                                                     100.000000

                    Technology       Portfolio
PowerShares Dynamic 73935X344 SectorPTF                                                                              0.000000

                    Banking Sector Portfolio
PowerShares Dynamic 73935X336        PJB                                                                           100.000000

                    Healthcare       PTJ
PowerShares Dynamic 73935X328 Services Sector Portfolio                                                              0.000000

                    73935X161         PUW
PowerShares Winderhill Progressive Energy Portfolio                                                                 95.268014

                     73935X195          PSP
PowerShares Listed Private Equity Portfolio                                                                        100.000000

                      Preferred
PowerShares Financial73935X229PortfolioPGF                                                                          91.778594

                    73935X278
PowerShares Cleantech(tm) Portfolio     PZD                                                                        100.000000

                    Achievers(tm) Portfolio
PowerShares Buyback 73935X286        PKW                                                                           100.000000

                   73935X153         PDP
PowerShares DWA Technical Leaders Portfolio                                                                        100.000000

                     73935X179         PYH
PowerShares Value Line Industry Rotation Portfolio                                                                 100.000000

                    Asia Pacific   PUA
PowerShares Dynamic 73936T102 Opportunities Portfolio                                                                0.000000




                                                                                         Page 5
                                                                                             SECONDARY LAYOUT
                                                                                  2009 YEAR-END TAX REPORTING INFORMATION




                    Europe Portfolio PEH
PowerShares Dynamic 73936T409                                         68.853790                                                             0.000000

                    Developed        PFA
PowerShares Dynamic 73936T805 International Opportunities Portfolio   89.637104                                                             0.000000

                   73936T854           PAF
PowerShares FTSE RAFI Asia-Pacific ex-Japan Portfolio                                                                                       0.000000

                   73936T755
PowerShares FTSE RAFI Europe PortfolioPEF                             86.048962                                                             0.000000

                   73936T698
PowerShares FTSE RAFI Japan Portfolio PJO                             63.458313                                                             0.000000

                    73936T623
PowerShares Palisades Global Water PortPIO                            82.168800                                                             0.000000

                    73936T615          PBD
PowerShares Global Clean Energy Portfolio                                                                                                  92.833853

                   73936T789        PXF
PowerShares FTSE RAFI Developed Markets ex-U.S. Portfolio             74.940470                                                             0.000000

                   73936T763        PXH
PowerShares FTSE RAFI Emerging Markets Portfolio                      86.743037                                                             0.000000

                   73936T771        PDN
PowerShares FTSE RAFI Developed Markets ex-US Small-Mid Portfolio                                                                           0.000000

                   73936T847           PDQ
PowerShares FTSE RAFI Asia-Pacific ex-Japan Small-Mid Portfolio                                                                             0.000000

                   73936T748        PWD
PowerShares FTSE RAFI Europe Small Mid Portfolio                      64.819082                                                             0.000000

                   73936T573         PCY
PowerShares Emerging Markets Sovereign Debt Portfolio                                                                          0.000000     0.000000

                    73936T524         PLW
PowerShares 1-30 Laddered Treasury Portfolio                                                                                  99.954115     0.000000

                    73936T474          PZA
PowerShares Insured National Municipal Bond Portfolio                                                            NY, CT, CA    0.000000     0.000000   0.587000   0.816000   0.000000   0.137000   24.673000   2.350000   0.078000

                    73936T458          Bond
PowerShares Insured New York MunicipalPZT Portfolio                                                               CT, CA       0.000000     0.000000   0.000000   0.000000   0.000000   0.000000    0.000000   0.000000   0.000000

                    73936T441          PWZ
PowerShares Insured California Municipal Bond Portfolio                                                           NY, CT       0.000000     0.000000   0.000000   0.000000   0.000000   0.000000   95.492000   0.000000   0.000000

                     73936T557        PHB
PowerShares High Yield Corporate Bond Portfolio                                                                                0.000000     0.000000

                   73936T433         PVI
PowerShares VRDO Tax-Free Weekly Portfolio                                                                       NY, CT, CA    0.000000     0.000000   4.082000   0.000000   0.000000   0.224000   16.077000   1.059000   0.565000

                    BuyWrite Portfolio PBP
PowerShares S&P 500 73936G308                                                                                                               0.000000

                   73936Q108        PIZ
PowerShares DWA Developed Markets Technical Leaders Portfolio                                                                               0.000000

                  73936Q207         PIE
PowerShares DWA Emerging Markets Technical Leaders Portfolio                                                                                0.000000

                   73936T425          PRY
PowerShares FTSE RAFI International Real Estate Portfolio                                                                                   0.000000

                   73936Q603         PMNA
PowerShares MENA Frontier Countries Portfolio                                                                                               0.000000

                    73937B308        PWND
PowerShares Global Wind Energy Portfolio                                                                                                    0.000000

                    73936Q702          PAGG
PowerShares Global Agriculture Portfolio                                                                                                   71.328401

                    73936Q850        PTRP
PowerShares Global Progessive Transportation Portfolio                70.567575                                                            38.863195

                     73936Q868
PowerShares Global Steel Portfolio     PSTL                           76.353682                                                            21.967973

                    73936Q884
PowerShares Global Coal Portfolio      PKOL                                                                                                12.889959

                    73936Q876        PSAU
PowerShares Global Gold and Precious Metals Portfolio                                                                                      10.643495

                    73936Q801
PowerShares Global Biotech Portfolio   PBTQ                                                                                                 0.000000

                    73937B209          PXR
PowerShares Global Emerging Infrastructure Portfolio                                                                                        0.000000

                    73935B508
PowerShares Active US Real Estate Fund PSR                                                                                                  0.638925

                   Internet Portfolio PNQI
PowerShares NASDAQ73935X146                                                                                                                 0.000000

                   73935X138      PQSC
PowerShares FTSE NASDAQ Small Cap Portfolio                                                                                               100.000000

                   Next-Q Portfolio PNXQ
PowerShares NASDAQ73935X120                                                                                                                 0.000000

                     73936T565
PowerShares Preferred Portfolio         PGX                                                                                                18.750229

                    73936G100        PQBW
PowerShares Nasdaq-100 Buy-Write Portfolio                                                                                                  0.000000

                   73936Q504        PCA
PowerShares Autonomic Balanced NFA Global Asset Portfolio                                                                                  20.278897

                   73936Q405        PAO
PowerShares Autonomic Balanced Growth Asset Portfolio                                                                                      23.239727

                   73936Q306        PTO
PowerShares Autonomic Growth NFA Global Asset Portfolio                                                                                    27.567372




                                                                                                  Page 6
                                                         SECONDARY LAYOUT
                                              2009 YEAR-END TAX REPORTING INFORMATION




                    73937B100          PKN
PowerShares Global Nuclear Energy Portfolio                                                          17.324510

                     73935B102
PowerShares Active AlphaQ Fund        PQY                                                             0.000000

                     73935B201        PQZ
PowerShares Active Alpha Multi-Cap Fund                                                             100.000000

                    73935B300
PowerShares Active Mega-Cap Fund      PMA                                                           100.000000

                     73935B409
PowerShares Active Low Duration Fund PLK                                                73.687797     0.000000

                    73937B407         BAB
PowerShares Build America Bond Portfolio                                                              0.000000




                                                              Page 7
                                                                    SECONDARY LAYOUT
                                                         2009 YEAR-END TAX REPORTING INFORMATION




20   21   22   23    24    25   26   27   28   29   30   31       32       33        34        35   36   37   38   39   40   41   42   43   44   45   46




                    Guam
DE   DC   FL   GA    GQ    HI   ID   IL   IN   IA   KS   KY       LA       ME        MD       MA    MI   MN   MS   MO   MT   NE   NV   NH   NJ   NM   NY




                                                                         Page 8
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                Page 9
                                                                                                                                      SECONDARY LAYOUT
                                                                                                                           2009 YEAR-END TAX REPORTING INFORMATION




0.000000   4.235000   5.983000   2.719000   0.000000   0.000000   0.000000   4.290000   2.551000   0.320000   0.000000   4.021000   0.342000    0.983000   0.176000   0.402000   2.159000   0.000000   0.000000   1.397000   0.000000   0.000000   0.745000   0.011000   6.550000   0.000000    5.490000

0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000    0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   94.883000

0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000    0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000    0.000000



0.000000   1.409000   3.677000 12.754000    0.000000   0.000000   0.000000   8.537000   8.086000   0.746000   0.240000   0.312000   2.972000    0.000000   1.574000   1.500000   1.519000   0.222000   0.548000   0.406000   0.000000   0.015000   0.000000   0.807000   2.183000   0.000000    9.962000




                                                                                                                                               Page 10
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                Page 11
                                                                                  SECONDARY LAYOUT
                                                                       2009 YEAR-END TAX REPORTING INFORMATION




47   48     49       50   51   52   53       54        55   56   57   58      59        60        61       62    63   64   65   66   67    68         69              70             71
                                                                                                                                                    Optional                       Optional
                                                                                                                                                                                       DIRECT FEDERAL OBLIGATIONS
          Northern
          Mariana                                                                    US Virgin
          Islands                        Puerto Rico                                  Islands                                                                     Federal Farm   Federal Home
NC   ND     CQ       OH   OK   OR   PA      RQ         RI   SC   SD   TN      TX        VQ       UT        VT    VA   WA   WV   WI   WY   Other   U.S. Treasury   Credit Banks    Loan Banks




                                                                                       Page 12
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                Page 13
                                                                                                                                       SECONDARY LAYOUT
                                                                                                                            2009 YEAR-END TAX REPORTING INFORMATION




                                                                                                                                                                                                                                        99.954115

1.845000   0.000000   0.000000   0.376000   0.000000   0.002000   6.374000   1.909000   0.104000   1.435000   0.000000   0.000000   14.162000   0.000000   0.000000   0.000000   0.000000   2.315000   0.000000   0.463000   0.000000

0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   5.117000   0.000000   0.000000   0.000000   0.000000    0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000

0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   4.508000   0.000000   0.000000   0.000000   0.000000    0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000   0.000000



3.790000   0.000000   0.000000   1.965000   0.469000   0.635000   4.641000   0.000000   0.611000   0.555000   0.000000   2.229000    3.771000   0.000000   0.000000   0.000000   0.983000   0.000000   0.000000   0.875000   0.000000




                                                                                                                                                Page 14
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                                          71.524893   0.088642   2.074262




                Page 15
                                                                                                                                     SECONDARY LAYOUT
                                                                                                                          2009 YEAR-END TAX REPORTING INFORMATION




            72            73            74          75            76            77              78           79            80
                                                  Optional                                                 Optional      Optional
DIRECT FEDERAL OBLIGATIONS                                   INDIRECT FEDERAL OBLIGATIONS
                                      Other                                                   Other
        Student Loan   Tennessee      Direct                               Federal Home      Indirect     Repurchase   RI Five-Year
          Marketing      Valley      Federal                              Loan Mortgage      Federal      Agreements   Capital Gains
         Association    Authority   Obligations   GNMA           FNMA          Corp         Obligations     Income




                                                                                                                                          Page 16
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                Page 17
           SECONDARY LAYOUT
2009 YEAR-END TAX REPORTING INFORMATION




                Page 18
                                 SECONDARY LAYOUT
                      2009 YEAR-END TAX REPORTING INFORMATION




3.182301   1.869145




                                      Page 19
Primary Layout Report Date:                                                          1/19/2010

This spreadsheet and the accompanying instructions do not constitute, and should not be considered a substitute for, legal advice. The rule
regarding the proper tax characterization and reporting of the fund’s distributions. Please note that AMT should be provided in Column 3




1                                                                                           2             3

Security
Description                                                                                            Ticker
 (Fund Name)                                                                             CUSIP         Symbol


PowerShares NASDAQ-100 TRUST Series 1                                                  73935a104       QQQQ
PowerShares NASDAQ-100 TRUST Series 1                                                  73935a104       QQQQ
PowerShares NASDAQ-100 TRUST Series 1                                                  73935a104       QQQQ
PowerShares NASDAQ-100 TRUST Series 1                                                  73935a104       QQQQ
Total

BLDRS Europe 100 ADR Index Fund                                                        09348r409        ADRU
BLDRS Europe 100 ADR Index Fund                                                        09348r409        ADRU
BLDRS Europe 100 ADR Index Fund                                                        09348r409        ADRU
Total

BLDRS Developed Mkts 100 ADR Index Fund                                                09348r201        ADRD
BLDRS Developed Mkts 100 ADR Index Fund                                                09348r201        ADRD
BLDRS Developed Mkts 100 ADR Index Fund                                                09348r201        ADRD
BLDRS Developed Mkts 100 ADR Index Fund                                                09348r201        ADRD
Total

Emerging Mkts 50 ADR Index Fund                                                        09348r300        ADRE
Emerging Mkts 50 ADR Index Fund                                                        09348r300        ADRE
Emerging Mkts 50 ADR Index Fund                                                        09348r300        ADRE
Emerging Mkts 50 ADR Index Fund                                                        09348r300        ADRE
Emerging Mkts 50 ADR Index Fund                                                        09348r300        ADRE
Total

BLDRS Asia 50 ADR Index Fund                                                           09348r102        ADRA
BLDRS Asia 50 ADR Index Fund                                                           09348r102        ADRA
BLDRS Asia 50 ADR Index Fund                                                           09348r102        ADRA
BLDRS Asia 50 ADR Index Fund                                                           09348r102        ADRA
Total
a substitute for, legal advice. The rules governing the proper tax characterization of distributions by mutual funds can be complex. Each fund should co
AMT should be provided in Column 31 as a percentage of Column 30, not an amount.




                   4           5            6               7                   8                  9                 10
                                                                                                                                        Year Included
                                                                                                                   Total
              Estimated     Reclass    Corrected         Record           Ex-Dividend           Payable         Distribution
                 (E)         (R)          (C)             Date               Date                Date            Per Share
                                                                                                                (11+12+13)

                                                        3/24/2009           3/20/2009          4/30/2009       $   0.048880
                                                        6/23/2009           6/19/2009          7/31/2009       $   0.043940
                                                        9/22/2009           9/18/2009         10/30/2009       $   0.040760
                                                       12/22/2009          12/18/2009         12/31/2009       $   0.077600
                                                                                                               $   0.211180

                                                        6/23/2009           6/19/2009          7/31/2009       $   0.218350
                                                        9/22/2009           9/18/2009         10/30/2009       $   0.184890
                                                       12/22/2009          12/18/2009         12/31/2009       $   0.342720
                                                                                                               $   0.745960

                                                        3/24/2009           3/20/2009          4/30/2009       $   0.104960
                                                        6/23/2009           6/19/2009          7/31/2009       $   0.272810
                                                        9/22/2009           9/18/2009         10/30/2009       $   0.168020
                                                       12/22/2009          12/18/2009         12/31/2009       $   0.271200
                                                                                                               $   0.816990

                                                        3/24/2009           3/20/2009          4/30/2009       $   0.102700
                                                        6/23/2009           6/19/2009          7/31/2009       $   0.274690
                                                        9/22/2009           9/18/2009         10/30/2009       $   0.297720
                                                       12/22/2009          12/18/2009         12/31/2009       $   0.256960
                                                         1/5/2010          12/31/2009           1/6/2010       $   0.021420
                                                                                                               $   0.953490

                                                        3/24/2009           3/20/2009          4/30/2009       $   0.418080
                                                        6/23/2009           6/19/2009          7/31/2009       $   0.141180
                                                        9/22/2009           9/18/2009         10/30/2009       $   0.145660
                                                       12/22/2009          12/18/2009         12/31/2009       $   0.085930
                                                                                                               $   0.790850
s can be complex. Each fund should consult its own tax advisor




                      11              12                 13                        14              15             16
                      Year Included in Shareholders' Income                            Form 1099 Box 1a Breakdown
                                                                                                                Foreign
                     2008             2010               2009                    Income         Short-term        Tax
                 (Prior Year)      (Next Year)       (Current Year)             Dividends      Capital Gain      Paid
                                                 (14+15+22+26+28+30)

                                                  $              0.048880   $     0.048880
                                                  $              0.043940   $     0.043940
                                                  $              0.040760   $     0.040760
                                                  $              0.077600   $     0.077600
                                                  $              0.211180   $     0.211180

                                                  $              0.218350   $     0.218350
                                                  $              0.184890   $     0.184890
                                                  $              0.342720   $     0.342720
                                                  $              0.745960   $     0.745960

                                                  $              0.104960   $     0.104960
                                                  $              0.272810   $     0.272810
                                                  $              0.168020   $     0.168020
                                                  $              0.271200   $     0.271200
                                                  $              0.816990   $     0.816990

                                                  $              0.102700   $     0.102700
                                                  $              0.274690   $     0.274690
                                                  $              0.297720   $     0.297720
                                                  $              0.256960   $     0.256960
                                                  $              0.021420   $     0.021420
                                                  $              0.953490   $     0.953490

                                                  $              0.418080   $     0.418080
                                                  $              0.141180   $     0.141180
                                                  $              0.145660   $     0.145660
                                                  $              0.085930   $     0.085930
                                                  $              0.790850   $     0.790850
     17               18              19             20             21                22
Box 1a Total              Form 1099 Box 1b Breakdown           Box 1b Total         Box 2a
  Ordinary         Qualified       Qualified      Qualified     Qualified
 Dividends          Income        Short-term     Foreign Tax    Dividends         Total Capital
(14+15+16)         Dividends        Gains           Paid       (18+19+20)          Gain Distr.


$   0.048880   $     0.048880                                  $   0.048880   $              -
$   0.043940   $     0.043940                                  $   0.043940   $              -
$   0.040760   $     0.040760                                  $   0.040760   $              -
$   0.077600   $     0.077600                                  $   0.077600   $              -
$   0.211180   $     0.211180                                  $   0.211180   $              -

$   0.218350   $     0.218350                                  $   0.218350   $              -
$   0.184890   $     0.184890                                  $   0.184890   $              -
$   0.342720   $     0.342720                                  $   0.342720   $              -
$   0.745960   $     0.745960                                  $   0.745960   $              -

$   0.104960   $     0.104960                                  $   0.104960   $              -
$   0.272810   $     0.272810                                  $   0.272810   $              -
$   0.168020   $     0.168020                                  $   0.168020   $              -
$   0.271200   $     0.271200                                  $   0.271200   $              -
$   0.816990   $     0.816990                                  $   0.816990   $              -

$   0.102700   $     0.102700                                  $   0.102700   $              -
$   0.274690   $     0.274690                                  $   0.274690   $              -
$   0.297720   $     0.297720                                  $   0.297720   $              -
$   0.256960   $     0.256960                                  $   0.256960   $              -
$   0.021420   $     0.021420                                  $   0.021420   $              -
$   0.953490   $     0.953490                                  $   0.953490   $              -

$   0.418080   $     0.418080                                  $   0.418080   $              -
$   0.141180   $     0.141180                                  $   0.141180   $              -
$   0.145660   $     0.145660                                  $   0.145660   $              -
$   0.085930   $     0.085930                                  $   0.085930   $              -
$   0.790850   $     0.790850                                  $   0.790850   $              -
   23             24               25            26               27          28            29
 Box 2b         Box 2c           Box 2d         Box 3            Box 6       Box 8         Box 9
 Unrecap                                                        Foreign      Cash        Noncash
Sec. 1250   Section 1202     Collectibles   Nondividend           Tax     Liquidation   Liquidation
  Gain         Gain          (28%) Gain     Distributions        Paid        Distr         Distr


$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -

$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -

$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -

$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -

$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
$     -     $            -   $        -     $           -   $        -    $       -     $       -
    30           31            32
                             CUSIP
 Exempt       Percentage     Number
 Interest       of AMT       Change
Dividends    in Column 30   (M) or (Y)


$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -

$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -

$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -

$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -

$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -
$        -   $        -

				
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Description: 1099 Tax Form Requirements document sample