Business Context and Reporting Period
This Form 8-K is filed by Synthetic Fixed-Income Securities, Inc. on behalf of the STRATS(SM) Trust for Dominion Resources, Inc. Securities, Series 2005-6. The report covers the event date of September 15, 2014. The Trust was established in 2005 to issue synthetic fixed-income securities backed by underlying securities issued by Dominion Resources, Inc.
Key Financial Metrics
The filing reports a distribution event to certificate holders on September 15, 2014. Specific financial metrics such as revenue, profit, cash flow, margins, debt, or liquidity are not provided in this text, as the document serves as a notice of a scheduled distribution rather than a comprehensive financial statement. Detailed distribution amounts are referenced in Exhibit 99.1, which is not included in the source text.
Material Changes
No material changes to the Trust's structure or operations are reported other than the scheduled distribution. The filing explicitly states that no other reportable transactions or matters occurred during the current reporting period.
Outlook, Risks, and Contingencies
The filing includes a standard disclaimer regarding the underlying issuer, Dominion Resources, Inc. Neither the depositor (Synthetic Fixed-Income Securities, Inc.) nor the trustee has verified the accuracy or completeness of Dominion Resources' public reports. There is no assurance that undisclosed events affecting the underlying securities have not occurred. Investors are directed to review Dominion Resources' filings under Exchange Act file number 001-08489 for issuer-specific information.
Key Facts for Investor Verification
- Verify the specific distribution amount per certificate in the referenced Exhibit 99.1 (Trustee's Distribution Statement).
- Review Dominion Resources, Inc.'s recent SEC filings (File No. 001-08489) to assess the status of the underlying securities.
- Confirm that no undisclosed events have occurred that might impact the value of the underlying securities, as the Trustee does not perform due diligence on the issuer's reports.