Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 Sample Contracts

Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – NOTICE OF TERMINATION OF TRUST TO THE CERTIFICATE HOLDERS OF PREFERREDPLUS TRUST SERIES QWS-1 CERTIFICATES (CUSIP NO. 740434873)* (February 19th, 2014)

NOTICE IS HEREBY GIVEN that, pursuant to the terms of the Series Supplement dated October 9, 2001, which incorporates the terms of the Standard Terms for Trust Agreements, dated as of February 20, 1998 (the “Standard Terms” and, together with this Supplement, the “Trust Agreement”), between Merrill Lynch Depositor, Inc., as Depositor (the “Depositor”) and The Bank of New York Mellon, as Trustee (the “Trustee”), the Trustee has not received a notice of exercise from the holder of the warrants to purchase the outstanding PreferredPLUS Trust Series QWS-1 securities (the “Securities”). Under the terms of the Trust Agreement, if the Call Holder chooses not to exercise the Call Rights within 10 days after notice is given, the Trustee will, subject to appropriate minimum denominations of the Underlying Securities, distribute a principal amount of Underlying Securities equal to the stated amount of outstanding Trust Certificates and a pro rata portion of the Related Assets to each Certificateh

Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – Notice of the Underlying Securities Guarantor Ceasing to be a Reporting Company and the Subsequent Trust Termination to the Certificateholders for PreferredPLUS Trust Series QWS-1 (CUSIP No. 740434873)* (February 7th, 2014)

NEW YORK, February 7, 2014 /PRNewswire/ -- NOTICE IS HEREBY GIVEN that, pursuant to the terms of the Series Supplement dated October 9, 2001 which incorporates the terms of the Standard Terms for Trust Agreements, dated as of February 20, 1998 (the “Standard Terms” and, together with this Supplement, the “Trust Agreement”), between Merrill Lynch Depositor, Inc., as Depositor (the “Depositor”) and The Bank of New York Mellon (formerly The Bank of New York), as Trustee (the “Trustee”), the Trustee has received notice from the Depositor that the Depositor has recently determined that the guarantor of the Underlying Securities, Qwest Communications International Inc., is no longer a reporting company under the Exchange Act, and that the trust must therefore terminate. Holders should surrender their Certificates to the Trustee, or deliver security or indemnity acceptable to the Trustee, for their respective pro rata distributions of Trust property pursuant to the Trust Agreement.

Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR (August 22nd, 2013)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR (February 26th, 2013)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR (August 28th, 2012)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR (February 22nd, 2012)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE AUGUST 15, 2011 CUSIP NUMBER 740434873 (August 23rd, 2011)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE FEBRUARY 15, 2011 CUSIP NUMBER 740434873 (February 23rd, 2011)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE AUGUST 16, 2010 CUSIP NUMBER 740434873 (August 27th, 2010)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE FEBRUARY 16, 2010 CUSIP NUMBER 740434873 (February 23rd, 2010)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE AUGUST 17, 2009 CUSIP NUMBER 740434873 (August 27th, 2009)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE FEBRUARY 17, 2009 CUSIP NUMBER 740434873 (March 2nd, 2009)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE AUGUST 15, 2008 CUSIP NUMBER 740434873 (August 25th, 2008)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE FEBRUARY 15, 2008 CUSIP NUMBER 740434873 (February 28th, 2008)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE AUGUST 15, 2007 CUSIP NUMBER 740434873 (August 29th, 2007)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – DISTRIBUTION REPORT FOR PreferredPLUS TRUST SERIES QWS-1 DISTRIBUTION DATE FEBRUARY 15, 2007 CUSIP NUMBER 740434873 (February 22nd, 2007)
Merrill Lynch Depositor Inc Preferredplus Trust Ser Qws- 1 – TERMS AGREEMENT (October 11th, 2001)

Exhibit 1.2 MERRILL LYNCH, PIERCE, FENNER & SMITH INCORPORATED PREFERREDPLUS 7.75% TRUST CERTIFICATES SERIES QWS-1 TERMS AGREEMENT --------------- October 4, 2001 To: Merrill Lynch Depositor, Inc. World Financial Center North Tower New York, New York 10281 Attention: Barry N. Finkelstein Ladies and Gentlemen: We understand that Merrill Lynch Depositor, Inc., a Delaware corporation (the "Company"), proposes to issue and sell 1,600,000 PreferredPLUS 7.75 % Trust Certificates Series QWS-1 at a $25 Stated Amount per Trust Certificate (the "Underwritten Securities"). Subject to the terms and conditions set forth below and subject to the terms of the Purchase Agreement which a