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8-K - CURRENT REPORT - MARKET 2000 PLUS HOLDRS SM TRUSTss95454_8k-market.htm
 
 
PROSPECTUS SUPPLEMENT EXHIBIT 99.1
(To Prospectus dated April 15, 2010)  REGISTRATION NO.  333-37980
 
 

1,000,000,000 Depositary Receipts
Market 2000+ HOLDRS (SM) Trust

This prospectus supplement supplements information contained in the prospectus dated April 15, 2010 relating to the sale of up to 1,000,000,000 depositary receipts by the Market 2000+ HOLDRS (SM) Trust.
 
The share amounts specified in the table in the “Highlights of Market 2000+ HOLDRS” section of the base prospectus shall be replaced with the following:
 
Name of Company
 
Ticker
 
Share
Amounts
 
Primary
Trading
Market
Alcatel-Lucent
 
ALU
  0.7808    
NYSE
American International Group, Inc.
 
AIG
  0.1000    
NYSE
AOL Inc.
 
AOL
  0.1818    
NYSE
AstraZeneca PLC *
 
AZN
  4.0000    
NYSE
AT&T Inc.
  T   11.5603    
NYSE
BP p.l.c. *
 
BP
  3.0000    
NYSE
Bristol-Myers Squibb Company
 
BMY
  3.0000    
NYSE
Brocade Communications Systems, Inc.
 
BRCD
  0.0552    
NASDAQ GS
BT Group plc
 
BT
  2.0000    
NYSE
CBS Corporation Class B
 
CBS
  1.5000    
NYSE
Cisco Systems, Inc.
 
CSCO
  3.0000    
NASDAQ GS
Citigroup Inc.
  C   3.0000    
NYSE
Comcast Corporation
 
CMCSA
  2.9115    
NASDAQ GS
Dell Inc.
 
DELL
  5.0000    
NASDAQ GS
Discover Financial Services
 
DFS
  1.0000    
NYSE
Eli Lilly and Company
 
LLY
  2.0000    
NYSE
EMC Corporation
 
EMC
  2.0000    
NYSE
LM Ericsson Telephone Company *
 
ERIC
  1.8000    
NASDAQ GS
Exxon Mobil Corporation
 
XOM
  4.0000    
NYSE
France Telecom *
 
FTE
  2.0000    
NYSE
Frontier Communications Corporation(1)
 
FTR
  0.9602    
NYSE
General Electric Company
 
GE
  3.0000    
NYSE
GlaxoSmithKline plc
 
GSK
  3.0000    
NYSE
Hewlett-Packard Company
 
HPQ
  4.0000    
NYSE
The Home Depot, Inc.
 
HD
  4.0000    
NYSE
Intel Corporation
 
INTC
  2.0000    
NASDAQ GS
International Business Machines Corporation
 
IBM
  2.0000    
NYSE
JDS Uniphase Corporation
 
JDSU
  0.2500    
NASDAQ GS
Johnson & Johnson
 
JNJ
  4.0000    
NYSE
LSI Corporation
 
LSI
  0.2379    
NYSE
Medco Health Solutions, Inc.   MHS   0.7236     NYSE
 
 
 

 
 
Merck & Co., Inc.
 
MRK
  3.0000    
NYSE
Microsoft Corporation
 
MSFT
  6.0000    
NASDAQ GS
Morgan Stanley
 
MS
  2.0000    
NYSE
Nippon Telegraph and Telephone Corporation *
 
NTT
  3.0000    
NYSE
Nokia Corp. *
 
NOK
  4.0000    
NYSE
Novartis AG *
 
NVS
  5.0000    
NYSE
Oracle Corporation
 
ORCL
  4.0000    
NASDAQ GS
Pfizer Inc.
 
PFE
  4.0000    
NYSE
Qwest Communications International Inc.
  Q   4.0000    
NYSE
Sony Corporation *
 
SNE
  2.0000    
NYSE
Syngenta AG
 
SYT
  1.0386    
NYSE
Texas Instruments Incorporated
 
TXN
  3.0000    
NYSE
The Coca-Cola Company
 
KO
  3.0000    
NYSE
The Travelers Companies, Inc.
 
TRV
  0.1716    
NYSE
Time Warner Cable Inc.
 
TWC
  0.5020    
NYSE
Time Warner Inc.
 
TWX
  2.0000    
NYSE
TOTAL S.A. *
 
TOT
  4.0000    
NYSE
Toyota Motor Corporation *
 
TM
  2.0000    
NYSE
Verizon Communications Inc.(1)
 
VZ
  4.0000    
NYSE
Viacom Inc. Class B
 
VIA.B
  1.5000    
NYSE
Vodafone Group Public Limited Company*
 
VOD
  4.3750    
NASDAQ GS
Wal-Mart Stores, Inc.
 
WMT
  4.0000    
NYSE
Zimmer Holdings, Inc.
 
ZMH
  0.3000    
NYSE



*The securities of this non-U.S. company trade in the United States as American depositary receipts.

(1) As a result of the spin-off of Frontier Communications Corporation from Verizon Communications Inc., a component of the Market 2000+ HOLDRS Trust, Frontier Communications Corporation was added as an underlying security of the Market 2000+ HOLDRS Trust effective July 8, 2010.  Shareholders of Verizon Communications Inc. received 0.2400397313 shares of Frontier Communications Corporation.  The Bank of New York Mellon received 0.9601589252 shares of Frontier Communications Corporation for the 4 shares of Verizon Communications Inc. per 100 share round-lot of Market 2000+ HOLDRS.  Effective July 8, 2010, 0.9601589252 shares of Frontier Communications Corporation will be required for creations/cancellations per 100 share round-lot of Market 2000+ HOLDRS.

 
The share amounts listed in the table above reflect all previous stock splits, dividends and business combination transactions.
 

The date of this prospectus supplement is July 9, 2010.