_BOCI ETF_IR2018_CoverC3

Similar documents
Microsoft Word - 中級會計學--試題.doc

untitled

Microsoft PowerPoint - FY Q Results.ppt [互換モード]

二零一四年根據《公司條例》被檢控的上市公司的定罪記錄(一月至十二月)/Conviction Record of Listed Companies Prosecuted Under the Companies Ordinance in 2014(January to December)

untitled

c

W.I.S.E.-CSI 300 CHINA TRACKER, W.I.S.E.-CSI HK 100 TRACKER AND W.I.S.E.-SSE 50 CHINA TRACKER (Sub-funds of World Index Shares ETFs) ETFs C

Company Report: Sinotrans Shipping (00368 HK)

Chengdu ( 成 都 ) 四 川 省 中 国 国 际 旅 行 社 有 限 责 任 公 司 Sichuan China International Travel Service Company 四 川 康 辉 国 际 旅 行 社 有 限 公 司

China Securities Depository and Clearing Corporation Limited CONTENTS Summary for Securities Depository and Clearing 2004 OVERVIEW

中国水泥窑协同处置概况

Microsoft PowerPoint - ~ ppt

<4D F736F F D BCD0B4BCBAADB B0F2AAF7A4BDB67DBBA1A9FAAED12D E646F63>

untitled

PowerPoint Template


关 于 本 报 告 欢 迎 阅 读 中 国 港 中 旅 集 团 公 司 香 港 中 旅 ( 集 团 ) 有 限 公 司 发 布 的 第 六 份 社 会 责 任 报 告 本 报 告 全 面 阐 述 了 中 国 港 中 旅 集 团 服 务 于 客 户 员 工 伙 伴 社 会 环 境 等 利 益 相 关

Guangzhou Haige 海 Communications 格 通 信 Group Incorporated Company 二 六 三 Net263 Ltd 立 讯 精 密 Luxshare Precision Industry Co., Ltd.

序 言 本 研 習 資 料 手 冊 按 照 投 資 相 連 長 期 保 險 考 試 範 圍 編 纂 而 成, 該 考 試 試 題 將 按 本 研 習 資 料 手 冊 擬 定 內 文 每 章 結 尾 部 份 另 列 有 模 擬 試 題 供 參 考 在 香 港 保 險 業 監 理 處 的 應 允 下,

第一章 出口退税制改革的内容

CONTENTS CORPORATE INFORMATION 002 CORPORATE STRUCTURE 004 HIGHLIGHTS 005 CHAIRMAN S STATEMENT 006 MANAGEMENT DISCUSSION AND ANALYSIS 008 DIRECTORS AN

Do China and Hong Kong constitute an optimum currency area?

回 條 ( 請 於 11 月 6 日 或 以 前 郵 寄 或 親 交 寧 波 公 學 九 龍 觀 塘 功 樂 道 七 號 ) 本 人 現 向 寧 波 公 學 申 請 香 港 寧 波 同 鄉 會 教 育 基 金 獎 學 金, 並 隨 函 附 上 本 人 繳 付 大 學 學 費 之 證 明 及 大 學

Gongbei Port Avenida Norte do Hipodromo Avenida Leste do Hipodromo Orient Pearl Lotes T+T1 Rua Central da Areia Preta Avenida do Nordeste Macau Ferry

第 2 頁 問 題 我 們 需 要 向 在 內 地 修 讀 學 士 學 位 課 程 的 學 生 提 供 資 助, 以 確 保 學 生 不 會 因 經 濟 困 難 而 失 去 升 學 機 會 建 議 2. 教 育 局 局 長 建 議 開 立 一 筆 為 數 105,300,000 元 的 新 承 擔

( )

Microsoft Word - A_Daily


untitled

National and Provincial Life Tables Derived from China’s 2000 Census Data

Microsoft PowerPoint (高雄第二社大)-林詠喬.ppt

Microsoft Word - A_Daily

怎样每一年都在大马股市里赚取超过100%的回酬

Microsoft Word - A_Daily

上海自贸区:等待政策细则;审慎选股

目 录 CONTENTS 国 枫 动 态 GRANDWAY NEWS... 2 国 枫 所 与 律 商 联 讯 联 合 主 办 沙 龙 活 动 圆 满 举 行... 2 The salon activity jointly organized by the Grandway and LexisNex

PowerPoint Presentation

2

,292, ,561, ,292, ,498, ,787, ,498, () () ()

/ 2015 CONSOLIDATED STATEMENT OF PROFIT For the six months ended 30 December





Microsoft Word _4.doc

This interim report ( Interim Report ) (in both English and Chinese versions) has been posted on the Company s website at Shareholders w

UDC Hainan Airlines Investment Valuation Analysis (MBA) 厦门大学博硕士论文摘要库

untitled

Chinese oil import policies and reforms 随 着 经 济 的 发 展, 目 前 中 国 石 油 消 费 总 量 已 经 跃 居 世 界 第 二 作 为 一 个 负 责 任 的 大 国, 中 国 正 在 积 极 推 进 能 源 进 口 多 元 化, 鼓 励 替 代



puntos de reembolso china


JIA YAO HOLDINGS LIMITED [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ] [ ][ ] 1% 0.003% 0.005% 0.01 [ ] [ ] [ ] C [ ] S [ ] [ ] [ ] [ ] [ ] [ ][ ] [ ][ ] [ ]

目 录 释 义... 1 公 司 声 明... 4 交 易 对 方 声 明... 5 相 关 证 券 服 务 机 构 声 明... 7 重 大 事 项 提 示... 8 重 大 风 险 提 示 第 一 节 本 次 交 易 概 述 一 本 次 交 易 背 景 和 目 的 二 本

東吳大學 104 學年度碩士班研究生招生考試試題第 2 頁, 共 7 頁 5. Consider a project with the following cash flows. Year Cash Flow 0 -$16, , ,000 What s the IRR o

ÿ襙䜁㤀

HKG_ICSS_FTO_sogobrilingual_100_19Feb2016_31837_tnc

~ ~


18 联 能 科 技 ( 深 圳 ) 有 限 公 司 UNIMICRON SHENZHEN CO., LTD. 19 竞 华 电 子 ( 深 圳 ) 有 限 公 司 APCB ELECTRONICS (SHEN ZHEN) CO., LTD 20 深 圳 裕 达 富 电 子 有 限 公 司 SHEN


39898.indb

untitled

Microsoft Word - SH doc

体育行业求职宝典

untitled


LH_Series_Rev2014.pdf

Contents Financial Summary and Forecast 1 Sales Breakdown by Product Category 3 Sales Breakdown by Region 5 Breakdown of Key Expenses 7 N

案例正文:(幼圆、小三、加粗)(全文段前与段后0


<4D F736F F D A4A4B0EAA5ADBFC5A4BDB67DBBA1A9FAAED1>


Transcription:

Interim Report As of 29 June 2018 ETFs World Index Shares ETFs Fund Manager and Interim Report Issuer BOCI-Prudential Asset Management

, W.I.S.E.-CSI HK 100 TRACKER TM and W.I.S.E.-SSE 50 CHINA TRACKER (Sub-Funds of World Index Shares ETFs) 300 100 TM 50 ETFs CONTENTS PAGE(S) MANAGEMENT AND ADMINISTRATION 1 REPORT OF THE MANAGER TO THE UNITHOLDERS 2 STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME (UNAUDITED) 10 STATEMENTS OF FINANCIAL POSITION UNAUDITED) 13 STATEMENTS OF CHANGES IN NET ASSETS ATTRIBUTABLE TO UNITHOLDERS (UNAUDITED) 16 STATEMENTS OF CASH FLOWS (UNAUDITED) 19 300 INVESTMENT PORTFOLIO (UNAUDITED) 22 STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) 36 PERFORMANCE TABLE (UNAUDITED) 70 W.I.S.E.-CSI HK 100 TRACKER TM 100 TM INVESTMENT PORTFOLIO (UNAUDITED) 71 STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) 75 PERFORMANCE TABLE (UNAUDITED) 80 W.I.S.E.-SSE 50 CHINA TRACKER 50 INVESTMENT PORTFOLIO (UNAUDITED) 81 STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) 84 PERFORMANCE TABLE (UNAUDITED) 88

, W.I.S.E.-CSI HK 100 TRACKER TM and W.I.S.E.-SSE 50 CHINA TRACKER (Sub-Funds of World Index Shares ETFs) 300 100 TM 50 ETFs MANAGEMENT AND ADMINISTRATION MANAGER AND LISTING AGENT BOCI-Prudential Asset Management Limited 27/F, Bank of China Tower 1 Garden Road Central Hong Kong DIRECTORS OF THE MANAGER AND LISTING AGENT Wang Zhongze Lee Yui Leung Tse Yung Hoi Guy Robert Strapp Julian Christopher Vivian Pull TRUSTEE AND CUSTODIAN BOCI-Prudential Trustee Limited 12/F & 25/F, CITICorp Centre 18 Whitfield Road Causeway Bay Hong Kong Standard Chartered Bank (China) Limited 28/F, Standard Chartered Tower 201, Century Avenue Pudong Shanghai China REGISTRAR Computershare Hong Kong Investor Services Limited 46/F, Hopewell Centre 183 Queen s Road East Wanchai Hong Kong CONVERSION AND SERVICE AGENT HK Conversion Agency Services Limited 10/F, One International Finance Centre 1 Harbour View Street Central Hong Kong LEGAL ADVISER TO THE MANAGER Baker & McKenzie 23/F, One Pacific Place 88 Queensway Hong Kong AUDITOR Ernst & Young 22nd Floor, CITIC Tower 1 Tim Mei Avenue Central Hong Kong 1 27 Guy Robert Strapp Julian Christopher Vivian Pull 18 1225 201 28 183 46 10 88 23 1 22 1

REPORT OF THE MANAGER TO THE UNITHOLDERS OF (SUB-FUND OF WORLD INDEX SHARES ETFs) Fund Performance The W.I.S.E.-CSI 300 China Tracker ( WISE-CSI300 or the Sub-Fund ) is an index-tracking exchange traded fund which seeks to track the performance of the CSI 300 Index (the Underlying Index or CSI300 ). As of 28 June 2018, the net asset value ( NAV ) per unit of the Sub-Fund was 32.5721 with a total of 62,400,000 units outstanding and total assets under management ( AUM ) of 2,032,500,297. The WISE-CSI300 adopts a representative sampling strategy. A summary of the performance of the WISE- CSI300 is shown below. 300 ETFs 300 300 300 300 32.5721 62,400,000 AUM 2,032,500,297 300 300 Since Inception Total Return (a) YTD 2017 2016 2015 2014 2013 (Annualized) (f) (a) (f) CSI 300 (RMB) (b) -14.37% 23.99% -9.47% 7.04% 55.61% -5.33% 0.60% 300 (b) CSI 300 () (c) -15.50% 33.35% -15.35% 2.13% 51.95% -2.55% 1.86% 300 (c) WISE-CSI300 NAV-to-NAV (d) -16.16% 30.09% -17.26% 2.13% 40.27% -8.24% -1.44% 300 (d) WISE-CSI300 Market-to-Market (e) -9.07% 33.56% -12.69% 2.80% 28.29% -14.33% -0.77% 300 (e) as of 28 June 2018 (last dealing date of June, 2018) Past performance figures shown are not indicative of the future performance of the Sub-Fund. Starting from 1 July 2014, CSI 300 Total Return Index is replaced with CSI 300 Net Total Return Index for index performance calculation. CSI 300 Net Total Return Index is denominated in RMB. For the purpose of performance comparison, index performance is presented in and calculated by referring to the foreign exchange rates for RMB / quoted by Bloomberg Bloomberg RMB (CNY) rate (Tokyo Composite) at 4:00 p.m. Hong Kong time on the corresponding dealing dates. 300 300 300 (CNY) (a) (b) (c) (d) (e) (f) Total returns represent the rate that an investor would have earned (or lost) on an investment, assuming reinvestment of all dividends and distributions. The index performance in RMB calculated on a total return basis reflects returns due to both price changes and dividend income. An investor cannot invest directly in an index and the index performance returns do not reflect management fees, transaction costs or other expenses, which would reduce performance returns of the Sub-Fund. The index performance in calculated on a total return basis reflects returns due to both price changes and dividend income. An investor cannot invest directly in an index and the index performance returns do not reflect management fees, transaction costs or other expenses, which would reduce performance returns of the Sub-Fund. The Sub-Fund performance is calculated in on NAV-to-NAV basis with gross distribution reinvested. Units in the Sub-Fund are issued and redeemed at NAV. Market returns are calculated in using historical market closing prices, and do not represent the returns you would receive if you traded units at other times. This is the annualized return since the Sub-Fund inception. The Sub-Fund inception date is 13 July 2007. (a) (b) (c) (d) (e) (f) Source: BOCI-Prudential Asset Management Ltd., China Securities Index Co., Ltd. and Bloomberg 2

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF (SUB-FUND OF WORLD INDEX SHARES ETFs) (continued) 300 ETFs Fund Activities As of 28 June 2018, there were 62,400,000 units outstanding in the Sub-Fund and the Sub-Fund had exposure to 274 stocks. 62,400,000274 On 8 February 2018, the Manager announced that the requirement to obtain collateral in relation to the Sub-Fund has been removed. Moreover, the Manager has applied for and has been granted approval by the SFC to remove the Synthetic Fund Name Condition and the removal of such Synthetic Fund Name Condition has taken effect from 28 December 2017. The Sub-Fund s current holding in physical A Shares has increased to and will be maintained at more than 90% of its Net Asset Value on an ongoing basis. The Sub-Fund currently does not invest in AXPs. A 90% AXP On 30 April 2018, the Manager announced that with effect from 1 May 2018, there was a change in the composition of the board of directors of the Manager. The details were shown in the addendum to the Prospectus. On 13 June 2018, the Manager announced that with effect from 13 July 2018, there was a change in distribution policy of the Sub-Fund and changes to the offering documents of the Sub-Fund and Trust Deed of the World Index Shares ETFs. ETFs The distribution policy of the Sub-Fund was revised so that although distributions will normally be paid out of net income, in the event that net income is insufficient to pay distributions, the Manager may determine in its absolute discretion that distributions be paid out of capital. The reason for the change in distribution policy is to offer greater flexibility to the Manager in making distributions for the Sub-Fund. Please refer to the relevant announcements published on the Manager s website 1 (www.boci-pru.com.hk) for details. 1 (www.boci-pru.com.hk) 1 The Manager s website has not been reviewed by the SFC. 1 3

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF (SUB-FUND OF WORLD INDEX SHARES ETFs) (continued) 300 ETFs Index Activities The CSI 300 Index underwent one regular semi-annual review in the first half of 2018. The details of the index changes are summarized in Figure 1. 300 1 Please refer to the relevant announcements published on the CSI web-site (www.csindex.com.cn) for details. (www.csindex.com.cn) Figure 1 1 Deletion Addition Effective Date Stock Code Stock Name Stock Code Stock Name 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 000008 China High-Speed Railway Technology Co., Ltd. 000686 Northeast Securities Co., Ltd. 000738 AECC Aero-Engine Control Co., Ltd. 000750 Sealand Securities Co., Ltd 002174 Youzu Interactive Co.,Ltd. 002292 Alpha Group 002424 Guizhou Bailing Group Pharmaceutical Co., Ltd. 002426 Suzhou Victory Precision Manufacture Co.,Ltd. 002465 Guangzhou Haige Communications Group Incorporated Company 002831 ShenZhen Yuto Packaging Technology Co., Ltd. 002839 Jiangsu Zhangjiagang Rural Commercial Bank Co., Ltd 002841 Guangzhou Shiyuan Electronic Technology Company Limited 300315 Ourpalm Co., Ltd 600021 Shanghai Electric Power Company Limited 000786 Beijing New Building Materials Public Limited Company 001965 China Merchants Expressway Network Technology Co., Ltd. 002050 Zhejiang Sanhua Intelligent Controls Co., Ltd. 002085 Zhejiang Wanfeng Auto Wheel Co., Ltd. 002493 Rongsheng Petrochemical Co., Ltd. 002625 Kuang-Chi Technologies Co., Ltd. 002925 Xiamen Intretech Inc. 300408 Chaozhou Three-Circle (Group) Co., Ltd. 300433 Lens Technology Co., Ltd. 600025 Huaneng Lancang River Hydropower Inc. 600176 China Jushi Co.,Ltd. 600339 China Petroleum Engineering Co., Ltd. 600346 Hengli Petrochemical Co., Ltd. 600398 HLA Corp., Ltd. 4

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF (SUB-FUND OF WORLD INDEX SHARES ETFs) (continued) 300 ETFs Index Activities (continued) Figure 1 (continued) 1 Deletion Addition Effective Date Stock Code Stock Name Stock Code Stock Name 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 600074 Jiangsu Protruly Vision Techonology Group Co., Ltd. 600485 Beijing Xinwei Technology Group Co., Ltd. 600649 Shanghai SMI Holding Co., Ltd. 600685 CSSC Offshore & Marine Engineering (Group) Company Limited 600827 Shanghai Bailian Group Co., Ltd. 600871 Sinopec Oilfield Service Corporation 600895 Shanghai Zhangjiang Hi-Tech Park Development Co.,Ltd 601118 China Hainan Rubber Industry Group Co.,LTD. 601163 Triangle Tyre Co., Ltd. 601375 Central China Securities Co., Ltd. 601608 CITIC Heavy Industries Co., Ltd. 601872 China Merchants Energy Shipping Co., Ltd. 601966 Shandong Linglong Tyre Co.,Ltd 600438 Tongwei Co., Ltd. 600487 Hengtong Optic-Electric Co.,Ltd. 600516 FangDa Carbon New Material Co.,Ltd 600809 Shanxi Xinghuacun Fen Wine Factory Co., Ltd. 600867 Tonghua Dongbao Pharmaceutical Co., Ltd. 601108 Caitong Securities Co., Ltd 601238 Guangzhou Automobile Group Co., Ltd. 601360 360 Security Technology Inc. 601808 China Oilfield Services Limited 601828 Red Star Macalline Group Corporation Ltd. 601838 Bank of Chengdu Co., Ltd 603260 Hoshine Silicon Industry Co., Ltd. 603288 Foshan Haitian Flavouring and Food Company Ltd. Source: China Securities Index Co., Ltd., Shanghai Stock Exchange and Shenzhen Stock Exchange 5

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF W.I.S.E.-CSI HK 100 TRACKER TM (SUB-FUND OF WORLD INDEX SHARES ETFs) 100 TM ETFs Fund Performance The W.I.S.E.-CSI HK 100 Tracker TM ( WISE-CSIHK100 or the Sub-Fund ) is an index-tracking exchange traded fund which seeks to track the performance of the CSI Hong Kong 100 Index (the Underlying Index or CSIHK100 ). As of 29 June 2018, the net asset value ( NAV ) per unit of the Sub-Fund was 26.0648 with a total of 40,567,500 units outstanding and total assets under management ( AUM ) of 1,057,382,151. 100 TM 100 100 100 26.0648 40,567,500AUM 1,057,382,151 The WISE-CSIHK100 adopts a representative sampling strategy, and invests in a representative sample of the index securities of the Underlying Index. A summary of the performance of the WISE-CSIHK100 is shown below. 100 100 Total Return (a) in YTD 2017 2016 2015 2014 2013 Since Inception (Annualized) (e) (a) (e) CSIHK100 (b) -2.09% 44.02% 4.39% -5.78% 5.31% 6.61% 4.88% 100 (b) WISE-CSIHK100 NAV-to-NAV (c) -2.48% 42.52% 2.09% -6.38% 4.44% 4.55% 3.70% 100 (c) WISE-CSIHK100 Market-to-Market (d) -3.54% 41.39% 3.58% -7.42% 5.03% 3.31% 3.61% 100 (d) as of 29 June 2018 (last dealing date of June, 2018) Past performance figures shown are not indicative of the future performance of the Sub-Fund. (a) Total returns represent the rate that an investor would have (a) earned (or lost) on an investment, assuming reinvestment of all dividends and distributions. (b) The index performance calculated on a total return basis reflects (b) returns due to both price changes and dividend income. An investor cannot invest directly in an index and the index performance returns do not reflect management fees, transaction costs or other expenses, which would reduce performance returns of the Sub-Fund. (c) Units in the Sub-Fund are issued and redeemed at NAV. The Sub-Fund performance is calculated on NAV-to-NAV basis with (c) gross distribution reinvested. (d) Market returns are calculated using historical market closing (d) prices, and do not represent the returns you would receive if you traded units at other times. (e) This is the annualized return since the Sub-Fund inception. The (e) Sub-Fund inception date is 13 May 2008. Source: BOCI-Prudential Asset Management Ltd., China Securities Index Co., Ltd. and Bloomberg 6

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF W.I.S.E.-CSI HK 100 TRACKER TM (SUB-FUND OF WORLD INDEX SHARES ETFs) (continued) 100 TM ETFs Fund Activities As of 29 June 2018, there were 40,567,500 outstanding in the Sub-Fund and the Sub-Fund had exposure to 97 stocks. On 30 April 2018, the Manager announced that with effect from 1 May 2018, there was a change in the composition of the board of directors of the Manager. The details were shown in the third addendum to the Prospectus. On 13 June 2018, the Manager announced that with effect from 13 July 2018, there was a change in distribution policy of the Sub-Fund and changes to the offering documents of the Sub-Fund and Trust Deed of the World Index Shares ETFs. The distribution policy of the Sub-Fund was revised so that although distributions will normally be paid out of net income, in the event that net income is insufficient to pay distributions, the Manager may determine in its absolute discretion that distributions be paid out of capital. The reason for the change in distribution policy is to offer greater flexibility to the Manager in making distributions for the Sub-Fund. Please refer to the relevant announcements published on the Manager s website 1 (www.boci-pru.com.hk) for details. Index Activities The CSI HK 100 Index underwent one regular semi-annual review in the first half of 2018. The details of the index changes are summarized in Figure 1. Please refer to the relevant announcements published on the CSI web-site (www.csindex.com.cn) for details. Figure 1 Deletion 40,567,50097 ETFs 1 (www.boci-pru.com.hk) 100 1 (www.csindex.com.cn) 1 Addition Effective Date Stock Code Stock Name Stock Code Stock Name 11-Jun-2018 0020.HK Wheelock and Company Limited 0023.HK The Bank of East Asia, Limited 11-Jun-2018 2098.HK Zall Group Ltd. 0772.HK China Literature Limited 11-Jun-2018 2888.HK Standard Chartered Plc 1378.HK China Hongqiao Group Limited Source: China Securities Index Co., Ltd. and HKEX 1 The Manager s website has not been reviewed by the SFC. 1 7

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF W.I.S.E.-SSE 50 CHINA TRACKER (SUB-FUND OF WORLD INDEX SHARES ETFs) 50 ETFs Fund Performance The W.I.S.E.-SSE 50 China Tracker ( WISE-SSE50 or the Sub-Fund ) is an index-tracking exchange traded fund which seeks to provide investment performance (before taxes) that tracks the performance of the SSE 50 Index (the Underlying Index or SSE50 ). As of 28 June 2018, the net asset value ( NAV ) per unit of the Sub-Fund was 23.2494 with a total of 4,000,000 units outstanding and total assets under management ( AUM ) of 92,997,457. The WISE-SSE50 adopts a representative sampling strategy. The Sub-Fund, at present, invests directly in A Shares via the Shanghai-Hong Kong Stock Connect. A summary of the performance of the WISE-SSE50 is shown below. 50 50 50 50 23.2494 4,000,000 AUM 92,997,457 50 A50 Since Inception Total Return (a) YTD 2017 2016 2015 2014 2013 (Annualized) (f) (a) (f) SSE50 (RMB) (b) -14.26% 27.98% -3.01% -4.42% 69.34% -12.35% 5.44% 50 (b) SSE50 () (c) -15.32% 37.74% -9.35% -8.73% 65.23% -9.75% 5.95% 50 (c) WISE SSE50 NAV-to-NAV (d) -14.94% 35.55% -3.66% -11.48% 57.60% -12.84% 2.63% 50 (d) WISE SSE50 Market-to-Market (e) -15.22% 39.36% -6.85% -7.34% 52.10% -11.92% 2.69% 50 (e) as of 28 June 2018 (last dealing date of June, 2018) It was a synthetic ETF during 15 April 2009 to 11 May 2015. Please note that the investment strategy of the Sub-Fund has changed from synthetic replication to physical replication with effect from 12 May 2015. Past performance figures shown are not indicative of the future performance of the Sub-Fund. Starting from 1 July 2014, SSE 50 Total Return Index is replaced with SSE 50 Net Total Return Index for index performance calculation. SSE 50 Net Total Return Index is denominated in RMB. For the purpose of performance comparison, index performance is presented in and calculated by referring to the foreign exchange rates for RMB / quoted by Bloomberg Bloomberg RMB (CNY) rate (Tokyo Composite) at 3:00 p.m. Hong Kong time on the corresponding dealing dates. (a) Total returns represent the rate that an investor would have earned (or lost) on an investment, assuming reinvestment of all dividends and distributions. (b) The index performance in RMB calculated on a total return basis reflects returns due to both price changes and dividend income. An investor cannot invest directly in an index and the index performance returns do not reflect management fees, transaction costs or other expenses, which would reduce performance returns of the Sub-Fund. (c) The index performance in calculated on a total return basis reflects returns due to both price changes and dividend income. An investor cannot invest directly in an index and the index performance returns do not reflect management fees, transaction costs or other expenses, which would reduce performance returns of the Sub-Fund. (d) The Sub-Fund performance is calculated in on NAV-to-NAV basis with gross distribution reinvested. Units in the Sub-Fund are issued and redeemed at NAV. (e) Market returns are calculated in using historical market closing prices, and do not represent the returns you would receive if you traded units at other times. (f) This is the annualized return since the Sub-Fund inception. The Sub-Fund inception date is 9 April 2009. Source: BOCI-Prudential Asset Management Ltd., China Securities Index Co., Ltd. and Bloomberg 50 50 50 (CNY) (a) (b) (c) (d) (e) (f) 8

REPORT OF THE MANAGER (continued) TO THE UNITHOLDERS OF W.I.S.E.-SSE 50 CHINA TRACKER (SUB-FUND OF WORLD INDEX SHARES ETFs) (continued) 50 ETFs Fund Activities As of 28 June 2018, there were 4,000,000 units outstanding in the Sub-Fund and the Sub-Fund had exposure to 48 stocks. On 30 April 2018, the Manager announced that with effect from 1 May 2018, there was a change in the composition of the board of directors of the Manager. The details were shown in the sixth addendum to the Prospectus. On 13 June 2018, the Manager announced that with effect from 13 July 2018, there was a change in distribution policy of the Sub-Fund and changes to the offering documents of the Sub-Fund and Trust Deed of the World Index Shares ETFs. The distribution policy of the Sub-Fund was revised so that although distributions will normally be paid out of net income, in the event that net income is insufficient to pay distributions, the Manager may determine in its absolute discretion that distributions be paid out of capital. The reason for the change in distribution policy is to offer greater flexibility to the Manager in making distributions for the Sub-Fund. Please refer to the relevant announcements published on the Manager s website 1 (www.boci-pru.com.hk) for details. Index Activities The SSE 50 Index underwent one regular semi-annual review in first half of 2018. The details of the index changes are summarized in Figure 1. Please refer to the corresponding announcements on the CSI web-site (www.csindex.com.cn) for details. Figure 1 Deletion 4,000,00048 ETFs 1 (www.boci-pru.com.hk) 50 1 (www.csindex.com.cn) 1 Addition Effective Date Stock Code Stock Name Stock Code Stock Name 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 11-Jun-2018 600518 Kangmei Pharmaceutical Co.,Ltd 600837 Haitong Securities Co., Ltd. 600919 Bank of Jiangsu Co., Ltd. 601669 Power Construction Corporation of China, Ltd (Powerchinaltd) 601985 China National Nuclear Power Co., Ltd. 600276 Jiangsu Hengrui Medicine Co.,Ltd. 600585 Anhui Conch Cement Company Limited 600690 Qingdao Haier Co.,Ltd. 600703 Sanan Optoelectronics Co.,Ltd 601360 360 Security Technology Inc. Source: China Securities Index Co., Ltd. and Shanghai Stock Exchange 1 The Manager s website has not been reviewed by the SFC. 1 9

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 W.I.S.E. CSI 300 China Tracker 300 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # INCOME Dividend income 20,599,329 72,323,257 Interest income 13,980 30,165 Other income 32,085 4,142,925 20,645,394 76,496,347 EXPENSE Auditor s remuneration 61,172 145,191 Legal & professional fee 155,651 1,026,572 Maintenance fee Management fee 11,818,335 33,178,378 Trustee fee Custodian and bank charges 326,747 941,734 Transaction costs on investments 1,120,553 35,071,201 Transaction handling fee 135,113 1,069,581 Other expenses 104,337 5,845,009 13,721,908 77,277,666 NET PROFIT (LOSS) BEFORE INVESTMENT AND EXCHANGE GAIN (LOSS) 6,923,486 (781,319) NET INVESTMENT AND EXCHANGE GAIN (LOSS) Net exchange gain (loss) (322,902) (827,421) Realised gain (loss) on sale of investments 107,721,228 291,877,840 Unrealised appreciation (diminution) in value of investments (485,209,947) 617,770,179 PROFIT (LOSS) BEFORE TAX (370,888,135) 908,039,279 Tax (2,066,827) (7,543,832) PROFIT (LOSS) AND TOTAL COMPREHENSIVE INCOME FOR THE PERIOD/ YEAR (372,954,962) 900,495,447 # 28 June 2018 is the last dealing day of June 2018 # 10

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 (continued) W.I.S.E. CSI HK 100 Tracker TM 100 TM 01.01.2018 01.01.2017 to 29.06.2018 to 31.12.2017 INCOME Dividend income 16,669,294 28,287,389 Interest income 245 527 Other income 16,669,539 28,287,916 EXPENSE Auditor s remuneration Legal & professional fee 1,167 Maintenance fee Management fee 5,178,876 8,071,346 Trustee fee Custodian and bank charges Transaction costs on investments 281,573 403,205 Transaction handling fee 29,590 38,803 Other expenses 5,491,206 8,513,354 NET PROFIT (LOSS) BEFORE INVESTMENT AND EXCHANGE GAIN (LOSS) 11,178,333 19,774,562 NET INVESTMENT AND EXCHANGE GAIN (LOSS) Net exchange gain (loss) (10,969) 405 Realised gain (loss) on sale of investments 8,925,016 9,339,712 Unrealised appreciation (diminution) in value of investments (50,125,769) 249,454,333 PROFIT (LOSS) BEFORE TAX (30,033,389) 278,569,012 Tax (523,886) (1,282,338) PROFIT (LOSS) AND TOTAL COMPREHENSIVE INCOME FOR THE PERIOD/ YEAR (30,557,275) 277,286,674 11

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF PROFIT OR LOSS AND OTHER COMPREHENSIVE INCOME (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 (continued) W.I.S.E. SSE 50 China Tracker 50 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # INCOME Dividend income 1,319,213 2,340,620 Interest income 224 1,699 Other income 1,319,437 2,342,319 EXPENSE Auditor s remuneration Legal & professional fee 1,167 4,090 Maintenance fee Management fee 480,977 840,395 Trustee fee Custodian and bank charges Transaction costs on investments 34,066 66,208 Transaction handling fee 16,500 19,800 Other expenses 532,710 930,493 NET PROFIT (LOSS) BEFORE INVESTMENT AND EXCHANGE GAIN (LOSS) 786,727 1,411,826 NET INVESTMENT AND EXCHANGE GAIN (LOSS) Net exchange gain (loss) (15,719) 76,528 Realised gain (loss) on sale of investments (892,637) (5,633,161) Unrealised appreciation (diminution) in value of investments (16,072,016) 33,311,814 PROFIT (LOSS) BEFORE TAX (16,193,645) 29,167,007 Tax (131,921) (238,789) PROFIT (LOSS) AND TOTAL COMPREHENSIVE INCOME FOR THE PERIOD/ YEAR (16,325,566) 28,928,218 # 28 June 2018 is the last dealing day of June 2018 # 12

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF FINANCIAL POSITION (UNAUDITED) AS AT 29TH JUNE 2018 W.I.S.E. CSI 300 China Tracker 300 28.06.2018 # 31.12.2017 # CURRENT ASSETS Investments 2,028,589,177 2,639,031,292 Prepayments 14,941 18,239 Depository reserve Dividends and other receivables 288,098 Amount due from broker Bank balances 6,094,016 6,142,677 Total current assets 2,034,698,134 2,645,480,306 CURRENT LIABILITIES Management fee payable 2,069,815 3,483,730 Trustee fee payable Distributions payable Tax payable Amounts payable on redemption Other accounts payable and accruals 128,022 416,917 Total current liabilities 2,197,837 3,900,647 Net current assets 2,032,500,297 2,641,579,659 Net assets attributable to unitholders 2,032,500,297 2,641,579,659 Units in issue 62,400,000 68,000,000 Net asset value per unit 32.5721 38.8468 # 28 June 2018 is the last dealing day of June 2018 # 13

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF FINANCIAL POSITION (UNAUDITED) (continued) AS AT 29TH JUNE 2018 (continued) W.I.S.E. CSI HK 100 Tracker TM 100 TM 29.06.2018 31.12.2017 CURRENT ASSETS Investments 1,042,785,967 1,003,044,462 Prepayments 13,996 17,351 Depository reserve Dividends and other receivables 5,647,150 32,735 Amount due from broker Bank balances 9,853,488 8,143,071 Total current assets 1,058,300,601 1,011,237,619 CURRENT LIABILITIES Management fee payable 906,874 876,383 Trustee fee payable Distributions payable 16,364,700 Tax payable Amounts payable on redemption Other accounts payable and accruals 11,576 5,276 Total current liabilities 918,450 17,246,359 Net current assets 1,057,382,151 993,991,260 Net assets attributable to unitholders 1,057,382,151 993,991,260 Units in issue 40,567,500 37,192,500 Net asset value per unit 26.0648 26.7256 14

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF FINANCIAL POSITION (UNAUDITED) (continued) AS AT 29TH JUNE 2018 (continued) W.I.S.E. SSE 50 China Tracker 50 28.06.2018 # 31.12.2017 # CURRENT ASSETS Investments 92,410,909 109,149,032 Prepayments 13,622 16,919 Depository reserve Dividends and other receivables Amount due from broker Bank balances 649,631 1,246,239 Total current assets 93,074,162 110,412,190 CURRENT LIABILITIES Management fee payable 72,805 85,267 Trustee fee payable Distributions payable 1,000,000 Tax payable Amounts payable on redemption Other accounts payable and accruals 3,900 3,900 Total current liabilities 76,705 1,089,167 Net current assets 92,997,457 109,323,023 Net assets attributable to unitholders 92,997,457 109,323,023 Units in issue 4,000,000 4,000,000 Net asset value per unit 23.2494 27.3308 # 28 June 2018 is the last dealing day of June 2018 # 15

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CHANGES IN NET ASSETS ATTRIBUTABLE TO UNITHOLDERS (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 W.I.S.E. CSI 300 China Tracker 300 Total Balance as at 1 January 2017 3,296,694,212 Total comprehensive income 900,495,447 Issue of units Redemption of units (1,555,610,000) Distributions Balance as at 31 December 2017 2,641,579,659 Balance as at 1 January 2018 2,641,579,659 Total comprehensive income (372,954,962) Issue of units 83,963,520 Redemption of units (320,087,920) Distributions Balance as at 28 June 2018 # # 2,032,500,297 Number of units in issue W.I.S.E. CSI 300 China Tracker 300 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # Units Units Units in issue at the beginning of the period/year 68,000,000 110,400,000 Issue of units 2,400,000 Redemption of units (8,000,000) (42,400,000) Units in issue at the end of the period/year 62,400,000 68,000,000 # 28 June 2018 is the last dealing day of June 2018 # 16

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CHANGES IN NET ASSETS ATTRIBUTABLE TO UNITHOLDERS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 (continued) W.I.S.E. CSI HK 100 Tracker TM 100 TM Total Balance as at 1 January 2017 590,916,660 Total comprehensive income 277,286,674 Issue of units 149,295,049 Redemption of units (7,142,423) Distributions (16,364,700) Balance as at 31 December 2017 993,991,260 Balance as at 1 January 2018 993,991,260 Total comprehensive income (30,557,275) Issue of units 132,107,105 Redemption of units (38,158,939) Distributions Balance as at 29 June 2018 1,057,382,151 Number of units in issue W.I.S.E. CSI HK 100 Tracker TM 100 TM 01.01.2018 01.01.2017 to 29.06.2018 to 31.12.2017 Units Units Units in issue at the beginning of the period/year 37,192,500 31,000,000 Issue of units 4,772,000 6,494,200 Redemption of units (1,397,000) (301,700) Units in issue at the end of the period/year 40,567,500 37,192,500 17

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CHANGES IN NET ASSETS ATTRIBUTABLE TO UNITHOLDERS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 (continued) W.I.S.E. SSE 50 China Tracker 50 Total Balance as at 1 January 2017 81,394,805 Profit (loss) for the year/period and total comprehensive income (expense) 28,928,218 Issue of units Redemption of units Distributions (1,000,000) Balance as at 31 December 2017 109,323,023 Balance as at 1 January 2018 109,323,023 Profit (loss) for the year/period and total comprehensive income (expense) (16,325,566) Issue of units Redemption of units Distributions Balance as at 28 June 2018 # # 92,997,457 Number of units in issue W.I.S.E. SSE 50 China Tracker 50 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # Units Units Units in issue at the beginning of the period/year 4,000,000 4,000,000 Issue of units Redemption of units Units in issue at the end of the period/year 4,000,000 4,000,000 # 28 June 2018 is the last dealing day of June 2018 # 18

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CASH FLOWS (UNAUDITED) FOR THE PERIOD ENDED 29TH JUNE 2018 W.I.S.E. CSI 300 China Tracker 300 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # CASH FLOW FROM OPERATING ACTIVITIES Purchase of investments (591,009,113) (2,964,403,282) Sale of investments 515,754,954 2,993,212,978 Depositary reserve 492,054 Interest received 13,980 30,165 Other income received 320,183 3,854,828 Management fee paid (13,232,250) (34,021,937) Trustee fee paid Fund expenses paid (2,837,378) (50,027,353) Dividend received 20,599,329 72,323,257 Tax (paid) refund (2,066,827) (7,543,832) NET CASH (USED IN) FROM OPERATING ACTIVITIES (72,457,122) 13,916,878 CASH FLOW FROM FINANCING ACTIVITIES Proceeds (Payment) from issuance of units 83,907,528 Proceeds (Payment) for redemption of units (11,518,584) (76,394,624) Distributions paid NET CASH (USED IN) FROM FINANCING ACTIVITIES 72,388,944 (76,394,624) NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS (68,178) (62,477,746) EFFECT OF FOREIGN EXCHANGE RATE CHANGES 19,517 (827,421) CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD/YEAR 6,142,677 69,447,844 CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD/YEAR, represented by Bank balances 6,094,016 6,142,677 # 28 June 2018 is the last dealing day of June 2018 # 19

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CASH FLOWS (UNAUDITED) (continued) FOR THE PERIOD ENDED 29TH JUNE 2018 (continued) W.I.S.E. CSI HK 100 Tracker TM 100 TM 01.01.2018 01.01.2017 to 29.06.2018 to 31.12.2017 CASH FLOW FROM OPERATING ACTIVITIES Purchase of investments (151,552,680) (215,501,480) Sale of investments 70,610,423 99,513,659 Depositary reserve Interest received 245 527 Other income received Management fee paid (5,148,385) (7,721,457) Trustee fee paid Fund expenses paid (302,676) (496,099) Dividend received 11,054,879 26,972,316 Tax (paid) refund (523,886) NET CASH (USED IN) FROM OPERATING ACTIVITIES (75,862,080) (97,232,534) CASH FLOW FROM FINANCING ACTIVITIES Proceeds (Payment) from issuance of units 132,107,105 108,601,796 Proceeds (Payment) for redemption of units (38,158,939) (7,142,423) Distributions paid (16,364,700) (10,540,000) NET CASH (USED IN) FROM FINANCING ACTIVITIES 77,583,466 90,919,373 NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS 1,721,386 (6,313,161) EFFECT OF FOREIGN EXCHANGE RATE CHANGES (10,969) 405 CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD/YEAR 8,143,071 14,455,827 CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD/YEAR, represented by Bank balances 9,853,488 8,143,071 20

Sub-Funds of World Index Shares ETFs ETFs STATEMENTS OF CASH FLOWS (UNAUDITED) (continued) FOR THE PERIOD ENDED 29TH JUNE 2018 (continued) W.I.S.E. SSE 50 China Tracker 50 01.01.2018 01.01.2017 to 28.06.2018 # to 31.12.2017 # CASH FLOW FROM OPERATING ACTIVITIES Purchase of investments (15,569,988) (21,422,211) Sale of investments 15,343,458 20,762,010 Depositary reserve Interest received 224 1,699 Other income received Management fee paid (490,142) (819,870) Trustee fee paid Fund expenses paid (51,733) (90,998) Dividend received 1,319,213 2,340,620 Tax (paid) refund (131,921) (238,789) NET CASH (USED IN) FROM OPERATING ACTIVITIES 419,111 532,461 CASH FLOW FROM FINANCING ACTIVITIES Proceeds (Payment) from issuance of units Proceeds (Payment) for redemption of units Distributions paid (1,000,000) NET CASH (USED IN) FROM FINANCING ACTIVITIES (1,000,000) NET INCREASE (DECREASE) IN CASH AND CASH EQUIVALENTS (580,889) 532,461 EFFECT OF FOREIGN EXCHANGE RATE CHANGES (15,719) 76,528 CASH AND CASH EQUIVALENTS AT THE BEGINNING OF THE PERIOD/YEAR 1,246,239 637,250 CASH AND CASH EQUIVALENTS AT THE END OF THE PERIOD/YEAR, represented by Bank balances 649,631 1,246,239 # 28 June 2018 is the last dealing day of June 2018 # 21

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) China AECC Aviation Power Co Ltd-A A 133,700 3,432,541 0.17 Agricultural Bank of China Ltd-A A 6,862,400 27,467,415 1.35 Aier Eye Hospital Group Co Ltd-A 158,793 5,942,148 0.29 A Air China Ltd-A A 324,300 3,341,114 0.16 Aisino Corp-A A 204,200 5,856,726 0.29 Aluminum Corp of China Ltd-A A 1,139,800 5,061,567 0.25 Angang Steel Co Ltd-A A 278,200 1,874,539 0.09 Anhui Conch Cement Co Ltd-A A 312,000 11,989,314 0.59 Anxin Trust Co Ltd-A A 273,000 2,334,129 0.11 AVIC Aircraft Co Ltd-A A 187,248 3,319,434 0.16 AVIC Capital Co Ltd-A A 780,143 4,240,450 0.21 AVIC Helicopter Co Ltd-A A 37,315 1,703,464 0.08 Bank of Beijing Co Ltd-A A 2,418,000 17,065,838 0.84 Bank of China Ltd-A A 3,651,700 15,351,418 0.76 Bank of Communications Co Ltd-A A 4,735,300 31,794,765 1.56 Bank of Guiyang Co Ltd-A A 195,000 2,805,666 0.14 Bank of Hangzhou Co Ltd-A A 99,852 1,285,320 0.06 Bank of Jiangsu Co Ltd-A A 1,193,539 8,960,886 0.44 Bank of Nanjing Co Ltd-A A 960,622 8,645,521 0.43 Bank of Ningbo Co Ltd-A A 439,449 8,399,183 0.41 Bank of Shanghai Co Ltd-A A 166,800 3,069,532 0.15 Baoshan Iron & Steel Co Ltd-A A 1,469,717 13,331,762 0.66 BBMG Corp-A A 544,600 2,057,280 0.10 Beijing Capital Development Co Ltd-A 210,130 1,694,573 0.08 A Beijing Dabeinong Technology Group Co Ltd-A 556,275 2,687,663 0.13 A Beijing New Building Materials Plc-A 101,400 2,122,977 0.10 A Beijing Orient Landscape & Environment Co Ltd-A A 180,000 3,203,735 0.16 22

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Beijing Originwater Technology Co Ltd-A 320,325 5,105,767 0.25 A Beijing Sanju Environmental Protection and New Material Co 146,288 4,031,161 0.20 Ltd-A A Beijing Tongrentang Co Ltd-A A 124,800 5,079,479 0.25 Beijing Xinwei Technology Group Co Ltd-A 94,900 1,639,734 0.08 A BOE Technology Group Co Ltd-A 3,244,500 13,101,687 0.64 A Bohai Capital Holding Co Ltd-A A 357,200 2,466,068 0.12 BYD Co Ltd-A A 148,200 8,072,928 0.40 Changjiang Securities Co Ltd-A A 975,000 6,130,899 0.30 Chaozhou Three-Circle Group Co Ltd-A 163,793 4,472,802 0.22 A China CITIC Bank Corp Ltd-A A 556,000 4,036,085 0.20 China Coal Energy Co Ltd-A A 278,200 1,564,861 0.08 China Communications Construction Co Ltd-A 292,850 3,908,357 0.19 A China Construction Bank Corp-A A 1,196,900 9,099,509 0.45 China Eastern Airlines Corp Ltd-A A 436,800 3,367,353 0.17 China Everbright Bank Co Ltd-A A 2,720,300 11,629,179 0.57 China Film Co Ltd-A A 93,725 1,755,848 0.09 China Fortune Land Development Co Ltd-A 202,993 6,019,223 0.30 A China Galaxy Securities Co Ltd-A A 101,400 948,615 0.05 China Gezhouba Group Co Ltd-A 507,000 4,250,757 0.21 A China Grand Automotive Services Co Ltd-A 466,306 3,142,016 0.15 A China Hainan Rubber Industry Group Co Ltd-A 82,100 643,615 0.03 A China International Travel Service Corp Ltd-A A 164,900 12,392,125 0.61 23

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) China Jushi Co Ltd-A A 249,600 2,932,117 0.14 China Life Insurance Co Ltd-A A 312,000 8,205,938 0.40 China Merchants Bank Co Ltd-A A 1,757,054 53,765,374 2.66 China Merchants Securities Co Ltd-A A 569,400 8,947,742 0.44 China Merchants Shekou Industrial Zone Co Ltd-A 390,533 8,458,561 0.42 A China Minsheng Banking Corp Ltd-A 3,954,600 32,406,618 1.59 A China Molybdenum Co Ltd-A A 265,200 1,912,564 0.09 China National Chemical Engineering Co Ltd-A 366,600 2,843,537 0.14 A China National Nuclear Power Co Ltd-A 702,000 4,622,075 0.23 A China Northern Rare Earth Group High-Tech Co Ltd-A 153 2,031 - A China Nuclear Engineering Corp Ltd-A 93,600 865,669 0.04 A China Pacific Insurance Group Co Ltd-A 546,000 20,056,701 0.99 A China Petroleum & Chemical Corp-A 1,864,200 14,216,852 0.70 A China Railway Construction Corp Ltd-A 711,916 7,106,919 0.35 A China Railway Group Ltd-A A 1,003,200 8,862,401 0.44 China Reform Health Management and Services Group Co Ltd-A 131,690 4,503,758 0.22 A China Shenhua Energy Co Ltd-A A 339,500 7,900,005 0.39 China Shipbuilding Industry Co Ltd-A 1,541,393 7,210,004 0.35 A China Shipbuilding Industry Group Power Co Ltd-A 137,360 2,797,781 0.14 A China Southern Airlines Co Ltd-A A 592,800 5,784,429 0.28 China Spacesat Co Ltd-A A 102,500 2,252,822 0.11 24

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) China State Construction Engineering Corp Ltd-A 2,551,886 23,299,184 1.15 A China United Network Communications Ltd-A 1,557,900 8,873,802 0.44 A China Vanke Co Ltd-A A 819,000 23,160,252 1.14 China Yangtze Power Co Ltd-A A 1,084,200 20,709,462 1.02 Chinese Universe Publishing and Media Co Ltd-A 140,357 2,075,972 0.10 A Chongqing Changan Automobile Co Ltd-A 442,829 4,630,435 0.23 A Chongqing Zhifei Biological Products Co Ltd-A 76,300 3,884,338 0.19 A CITIC Securities Co Ltd-A A 1,349,200 25,835,175 1.27 COSCO Shipping Development Co Ltd-A 689,200 1,999,569 0.10 A COSCO Shipping Co Ltd-A 646,729 3,691,428 0.18 A CRRC Corp Ltd-A A 1,270,600 11,435,298 0.56 Daqin Railway Co Ltd-A A 1,026,957 9,826,270 0.48 Datang International Power Generation Co Ltd-A 447,567 1,584,726 0.08 A DHC Software Co Ltd-A A 277,416 2,674,120 0.13 Dong-E-E-Jiao Co Ltd-A A 112,302 7,015,119 0.35 Dongxing Securities Co Ltd-A 189,405 2,879,927 0.14 A Dongxu Optoelectronic Technology Co Ltd-A 342,300 2,403,735 0.12 A Dr Peng Telecom & Media Group Co Ltd-A 198,200 2,750,783 0.14 A East Money Information Co Ltd-A A 607,257 8,945,775 0.44 Everbright Securities Co Ltd-A A 351,713 4,481,524 0.22 Fangda Carbon New Material Co Ltd-A A 101,400 2,849,448 0.14 25

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Fiberhome Telecommunication Technologies Co Ltd-A 89,483 2,502,911 0.12 A Financial Street Co Ltd-A A 249,733 2,348,127 0.12 First Capital Securities Co Ltd-A A 326,900 2,578,186 0.13 Focus Media Information Technology Co Ltd-A 1,006,386 12,918,703 0.64 A Foshan Haitian Flavouring & Food Co Ltd-A 132,541 11,216,008 0.55 A Founder Securities Co Ltd-A A 702,000 5,461,696 0.27 Future Land Co Ltd-A A 140,810 4,703,939 0.23 Fuyao Glass Industry Group Co Ltd-A 271,452 8,184,205 0.40 A GD Power Development Co Ltd-A A 2,005,800 6,151,945 0.30 Gemdale Corp-A A 389,100 4,497,137 0.22 GF Securities Co Ltd-A A 553,347 8,544,767 0.42 Giant Network Group Co Ltd-A A 101,400 2,837,440 0.14 Goertek Inc-A A 322,914 3,762,764 0.19 Great Wall Motor Co Ltd-A A 224,600 2,585,241 0.13 Gree Electric Appliances Inc of Zhuhai-A 807,572 43,197,280 2.14 A Greenland Corp Ltd-A A 670,800 5,115,687 0.25 Guangshen Railway Co Ltd-A A 598,300 2,933,218 0.14 Guangzhou Baiyunshan Pharmaceutical Co Ltd-A 151,120 6,412,004 0.32 A Guosen Securities Co Ltd-A A 422,347 4,351,247 0.21 Guotai Junan Securities Co Ltd-A A 623,927 10,964,599 0.54 Guoxuan High-Tech Co Ltd-A A 97,886 1,606,604 0.08 Guoyuan Securities Co Ltd-A A 345,000 2,945,638 0.14 Hainan Airlines Holding Co Ltd-A A 2,141,950 8,172,594 0.40 Haitong Securities Co Ltd-A A 1,410,000 15,378,140 0.76 Hangzhou Hikvision Digital Technology Co Ltd-A A 631,600 26,723,922 1.31 26

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Hangzhou Robam Appliances Co Ltd-A 95,190 3,352,412 0.16 A Han s Laser Technology Industry Group Co Ltd-A 161,000 9,656,737 0.48 A Heilan Home Co Ltd-A A 304,111 4,461,989 0.22 Henan Shuanghui Investment & Development Co Ltd-A 234,774 7,050,571 0.35 A Hengli Petrochemical Co Ltd-A A 101,400 1,700,303 0.08 Hengtong Optic-Electric Co Ltd-A A 78,000 2,746,089 0.14 Hesteel Co Ltd-A A 710,600 2,448,743 0.12 Hithink Royalflush Information Network Co Ltd-A 39,000 1,729,583 0.09 A Huaan Securities Co Ltd-A A 179,400 1,189,695 0.06 Huadong Medicine Co Ltd-A 145,500 8,008,555 0.39 A Hualan Biological Engineering Inc-A 110,616 4,052,876 0.20 A Huaneng Power International Inc-A 725,400 5,377,457 0.26 A Huatai Securities Co Ltd-A A 631,800 10,728,866 0.53 Huaxia Bank Co Ltd-A A 1,142,160 10,144,094 0.50 Huayi Brothers Media Corp-A A 324,098 2,302,781 0.11 Huayu Automotive Systems Co Ltd-A 271,294 7,459,805 0.37 A Hubei Biocause Pharmaceutical Co Ltd-A 226,200 1,829,525 0.09 A Hundsun Technologies Inc-A A 62,307 3,657,470 0.18 Iflytek Co Ltd-A A 257,400 9,254,125 0.46 Industrial & Commercial Bank of China Ltd-A 3,504,054 21,535,909 1.06 A Industrial Bank Co Ltd-A A 2,144,765 36,141,791 1.78 Industrial Securities Co Ltd-A A 858,000 5,263,106 0.26 27

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Inner Mongolia Baotou Steel Union Co Ltd-A 2,753,400 4,956,076 0.24 A Inner Mongolia Junzheng Energy & Chemical Industry Group Co 509,700 1,979,765 0.10 Ltd-A A Inner Mongolia Yili Industrial Group Co Ltd-A 1,053,000 33,667,990 1.66 A Jiangsu Bicon Pharmaceutical Listed Co-A 75,054 2,518,829 0.12 A Jiangsu Broadcasting Cable Information Network Corp Ltd-A 269,669 1,577,550 0.08 A Jiangsu Hengrui Medicine Co Ltd-A 375,150 32,354,919 1.59 A Jiangsu Yanghe Brewery Joint-Stock Co Ltd-A 104,953 15,930,895 0.78 A Jiangsu Zhongnan Construction Group Co Ltd-A 202,953 1,446,828 0.07 A Jiangsu Zhongtian Technology Co Ltd-A 390,263 3,942,135 0.19 A Jiangxi Copper Co Ltd-A A 144,767 2,684,642 0.13 Jiangxi Ganfeng Lithium Co Ltd-A A 128,550 5,749,686 0.28 Jihua Group Corp Ltd-A A 228,400 1,068,362 0.05 Jilin Aodong Pharmaceutical Group Co Ltd-A 225,078 4,728,373 0.23 A Jinduicheng Molybdenum Co Ltd-A A 167,140 1,209,335 0.06 Kangde Xin Composite Material Group Co Ltd-A 386,608 7,819,586 0.38 A Kangmei Pharmaceutical Co Ltd-A A 492,440 13,138,312 0.65 Kingenta Ecological Engineering Group Co Ltd-A 172,500 1,376,810 0.07 A Kweichow Moutai Co Ltd-A A 85,865 72,291,361 3.57 Lens Technology Co Ltd-A A 77,928 1,778,281 0.09 Lepu Medical Technology Beijing Co Ltd-A A 187,200 7,696,807 0.38 28

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Liaoning Cheng Da Co Ltd-A A 132,750 2,380,047 0.12 Lomon Billions Group Co Ltd-A A 99,750 1,485,999 0.07 Longi Green Energy Technology Co Ltd-A 233,934 4,545,974 0.22 A Luxshare Precision Industry Co Ltd-A 268,100 6,756,060 0.33 A Luzhou Laojiao Co Ltd-A A 140,407 9,854,821 0.48 Meinian Onehealth Healthcare Co Ltd-A 236,986 6,081,443 0.30 A Metallurgical Corp of China Ltd-A A 1,041,168 4,044,080 0.20 Midea Group Co Ltd-A A 779,600 46,252,436 2.29 Muyuan Foodstuff Co Ltd-A A 63,500 3,262,785 0.16 Nanjing Xinjiekou Department Store Co Ltd-A 95,890 2,074,612 0.10 A Nari Technology Co Ltd-A A 469,520 8,784,888 0.43 New China Life Insurance Co Ltd-A 132,754 6,558,688 0.32 A New Hope Liuhe Co Ltd-A A 421,600 3,105,389 0.15 Ningbo Zhoushan Port Co Ltd-A A 624,000 3,066,604 0.15 Offshore Oil Engineering Co Ltd-A A 394,900 2,375,614 0.12 O-Film Tech Co Ltd-A A 309,215 5,470,616 0.27 Oppein Home Group Inc-A A 23,387 3,484,017 0.17 Orient Securities Co Ltd/China-A A 579,455 6,175,716 0.30 Pacific Securities Co Ltd/The/China-A A 1,154,500 3,130,794 0.15 Perfect World Co Ltd/China-A A 62,500 2,236,658 0.11 Petrochina Co Ltd-A A 1,147,300 10,447,885 0.51 Ping An Bank Co Ltd-A A 1,468,600 15,512,916 0.76 Ping An Insurance Group Co of China Ltd-A 1,840,800 123,795,122 6.10 A Poly Real Estate Group Co Ltd-A 1,217,097 16,906,288 0.83 A Power Construction Corp of China Ltd-A 761,300 4,904,331 0.24 A Qingdao Haier Co Ltd-A A 606,400 13,105,305 0.64 29

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Qinghai Salt Lake Industry Co Ltd-A 187,297 2,339,959 0.12 A Risesun Real Estate Development Co Ltd-A 256,400 2,550,483 0.13 A Rongsheng Petro Chemical Co Ltd-A A 179,300 2,159,366 0.11 SAIC Motor Corp Ltd-A A 592,800 23,839,708 1.17 Sanan Optoelectronics Co Ltd-A A 414,400 8,828,277 0.43 Sany Heavy Industry Co Ltd-A A 592,800 5,995,027 0.29 SDIC Capital Co Ltd-A A 187,200 2,026,176 0.10 SDIC Power Co Ltd-A A 834,000 7,091,132 0.35 SF Holding Co Ltd-A A 31,200 1,630,103 0.08 Shaanxi Coal Industry Co Ltd-A A 624,000 5,904,137 0.29 Shandong Buchang Pharmaceuticals Co Ltd-A 21,000 1,037,253 0.05 A Shandong Gold Mining Co Ltd-A A 112,900 3,155,230 0.16 Shandong Nanshan Aluminum Co Ltd-A 1,098,800 3,461,189 0.17 A Shanghai Construction Group Co Ltd-A 778,900 2,767,120 0.14 A Shanghai Electric Group Co Ltd-A A 418,086 3,138,918 0.15 Shanghai Fosun Pharmaceutical Group Co Ltd-A 156,105 7,305,649 0.36 A Shanghai International Airport Co Ltd-A 156,177 10,116,481 0.50 A Shanghai International Port Group Co Ltd-A 529,180 3,665,931 0.18 A Shanghai Lujiazui Finance & Trade Zone Development Co Ltd-A 183,636 3,361,959 0.17 A Shanghai Oriental Pearl Group Co Ltd-A 195,000 3,392,200 0.17 A Shanghai Pharmaceuticals Holding Co Ltd-A A 234,519 6,445,821 0.32 30

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Shanghai Pudong Development Bank Co Ltd-A 1,996,114 22,432,445 1.10 A Shanghai Raas Blood Products Co Ltd-A 161,117 3,722,978 0.18 A Shanghai Tunnel Engineering Co Ltd-A 482,726 3,304,103 0.16 A Shanxi Securities Co Ltd-A A 310,200 2,435,457 0.12 Shanxi Xinghuacun Fen Wine Factory Co Ltd-A 38,929 2,791,799 0.14 A Shanxi Xishan Coal & Electricity Power Co Ltd-A 288,600 2,542,695 0.13 A Shenwan Hongyuan Group Co Ltd-A 1,085,500 5,501,722 0.27 A Shenzhen Goodix Technology Co Ltd-A 7,800 580,253 0.03 A Shenzhen Inovance Technology Co Ltd-A 171,600 6,563,642 0.32 A Shenzhen Overseas Chinese Town Co Ltd-A 627,392 5,148,696 0.25 A Shenzhen Salubris Pharmaceuticals Co Ltd-A 61,012 2,600,292 0.13 A Shenzhen Sunway Communication Co Ltd-A 132,727 4,628,813 0.23 A Shenzhen Zhongjin Lingnan Nonfemet Co Ltd-A 447,900 2,524,719 0.12 A Siasun Robot & Automation Co Ltd-A 210,640 4,138,208 0.20 A Sichuan Chuantou Energy Co Ltd-A 384,400 3,914,776 0.19 A Sinolink Securities Co Ltd-A A 660,199 5,464,836 0.27 Sinopec Shanghai Petrochemical Co Ltd-A A 282,400 1,889,462 0.09 31

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Songcheng Performance Development Co Ltd-A 78,000 2,112,447 0.10 A Soochow Securities Co Ltd-A A 445,349 3,533,461 0.17 Southwest Securities Co Ltd-A A 502,210 2,253,978 0.11 Spring Airlines Co Ltd-A A 40,100 1,619,287 0.08 Suning.Com Co Ltd-A A 663,100 10,498,699 0.52 Suofeiya Home Collection Co Ltd-A A 93,781 3,537,116 0.17 Suzhou Gold Mantis Construction Decoration Co Ltd-A 189,452 2,221,056 0.11 A Tasly Pharmaceutical Group Co Ltd-A 167,440 4,897,576 0.24 A Tbea Co Ltd-A A 865,800 6,961,654 0.34 TCL Corp-A TCL A 1,421,200 4,746,018 0.23 Tianqi Lithium Corp-A A 114,035 6,573,759 0.32 Tonghua Dongbao Pharmaceutical Co Ltd-A 198,309 5,366,037 0.26 A Tongling Nonferrous Metals Group Co Ltd-A 1,128,500 2,913,286 0.14 A Tongwei Co Ltd-A A 241,800 1,944,246 0.10 Tsinghua Tongfang Co Ltd-A A 176,100 1,762,143 0.09 Tus-Sound Environmental Resources Co Ltd-A 161,000 3,203,024 0.16 A Unisplendour Corp Ltd-A A 21,458 1,503,035 0.07 Wanda Film Holding Co Ltd-A A 49,566 3,053,956 0.15 Wangsu Science & Technology Co Ltd-A 250,373 3,030,145 0.15 A Wanhua Chemical Group Co Ltd-A 265,780 13,568,298 0.67 A Wanxiang Qianchao Co Ltd-A A 261,800 2,049,256 0.10 Weichai Power Co Ltd-A A 843,900 8,434,483 0.41 Western Securities Co Ltd-A A 308,554 2,703,883 0.13 Wintime Energy Co Ltd-A A 865,600 1,752,824 0.09 Wuchan Zhongda Group Co Ltd-A A 304,200 1,837,192 0.09 32

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Wuhu Shunrong Sanqi Interactive Entertainment Network 70,355 981,444 0.05 Technology Co Ltd-A A Wuliangye Yibin Co Ltd-A A 325,513 28,386,195 1.40 Xcmg Construction Machinery Co Ltd-A 753,900 3,633,567 0.18 A Xiamen C & D Inc-A A 251,100 2,616,703 0.13 Xinhu Zhongbao Co Ltd-A 756,400 3,358,983 0.17 A Xinjiang Goldwind Science & Technology Co Ltd-A 436,800 6,548,493 0.32 A Yango Group Co Ltd-A A 288,600 2,006,132 0.10 Yanzhou Coal Mining Co Ltd-A A 42,601 643,718 0.03 Yonghui Superstores Co Ltd-A A 647,424 5,788,430 0.28 Yonyou Network Technology Co Ltd-A 155,040 4,182,371 0.21 A Youngor Group Co Ltd-A A 449,285 4,032,888 0.20 YTO Express Group Co Ltd-A A 54,726 834,708 0.04 Yunnan Baiyao Group Co Ltd-A A 110,300 13,530,642 0.67 Zhangzhou Pientzehuang Pharmaceutical Co Ltd-A 54,600 7,039,889 0.35 A Zhejiang Century Huatong Group Co Ltd-A 52,608 2,024,698 0.10 A Zhejiang China Commodities City Group Co Ltd-A 509,000 2,555,693 0.13 A Zhejiang Chint Electrics Co Ltd-A A 24,000 625,258 0.03 Zhejiang Dahua Technology Co Ltd-A 296,200 7,443,128 0.37 A Zhejiang Huayou Cobalt Co Ltd-A A 63,200 6,923,582 0.34 Zhejiang Longsheng Group Co Ltd-A A 413,400 5,536,791 0.27 33

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (Stock Connect) (continued) Zhejiang Sanhua Intelligent Controls Co Ltd-A 132,600 2,740,085 0.13 A Zhejiang Zheneng Electric Power Co Ltd-A 702,112 3,816,314 0.19 A Zhengzhou Yutong Bus Co Ltd-A A 109,200 2,437,581 0.12 Zhongtian Financial Group Co Ltd-A 910,234 5,238,590 0.26 A Zijin Mining Group Co Ltd-A A 1,708,200 7,342,947 0.36 Zoomlion Heavy Industry Science and Technology Co Ltd-A 673,080 3,220,128 0.16 A ZTE Corp-A A 451,202 6,903,329 0.34 Total investments - Listed equities (stock connect) 2,025,325,543 99.65 34

300 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 % of net asset value Securities name Fair value (%) Listed equities (QFII) (QFII) China Shanghai Raas Blood Products Co Ltd-A 78,820 1,821,625 0.09 A Wanda Film Holding Co Ltd-A A 23,400 1,442,009 0.07 Total investments Listed equities (QFII) (QFII) 3,263,634 0.16 Total investments 2,028,589,177 99.81 Other net assets 3,911,120 0.19 Net assets value as at 28th June 2018 # # 2,032,500,297 100.00 Total investments, at cost 2,148,915,918 # 28 June 2018 is the last dealing day of June 2018 # 35

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers Additions Bonus Disposals AXP AXP # China AECC Aero-Engine Control Co Ltd 10,000 (10,000) AECC Aviation Power Co Ltd 17,000 (17,000) Agricultural Bank of China Ltd 903,000 (903,000) Air China Ltd 42,000 (42,000) Aisino Corp 25,000 (25,000) Alpha Group 11,000 (11,000) Aluminum Corp of China Ltd 149,000 (149,000) Anhui Conch Cement Co Ltd 48,000 (48,000) Anxin Trust Co Ltd 38,000 (38,000) AVIC Aircraft Co Ltd 23,000 (23,000) AVIC Capital Co Ltd 100,000 (100,000) AVIC Helicopter Co Ltd 5,000 (5,000) Bank of Beijing Co Ltd 352,000 (352,000) Bank of China Ltd 481,000 (481,000) Bank of Communications Co Ltd 601,000 (601,000) Bank of Guiyang Co Ltd 25,000 (25,000) Bank of Hangzhou Co Ltd 38,000 (38,000) Bank of Jiangsu Co Ltd 153,000 (153,000) Bank of Nanjing Co Ltd 123,200 (123,200) Bank of Ningbo Co Ltd 58,500 (58,500) Bank of Shanghai Co Ltd 37,000 (37,000) Baoshan Iron & Steel Co Ltd 189,000 (189,000) BBMG Corp 70,000 (70,000) Beijing Capital Co Ltd 51,000 (51,000) Beijing Capital Development Co Ltd 28,000 (28,000) 36

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Beijing Dabeinong Technology Group Co Ltd 41,000 (41,000) Beijing Enlight Media Co Ltd 15,000 (15,000) Beijing Orient Landscape & Environment Co 24,000 (24,000) Ltd Beijing Originwater Technology Co Ltd 40,000 (40,000) Beijing Sanju Environmental Protection and 19,500 (19,500) New Material Co Ltd Beijing Shiji Information Technology Co Ltd 16,000 (16,000) Beijing Shougang Co Ltd 33,000 (33,000) Beijing Tongrentang Co Ltd 11,000 (11,000) BOE Technology Group Co Ltd 500,000 (500,000) Bohai Capital Holding Co Ltd 43,000 (43,000) BYD Co Ltd 11,000 (11,000) Central China Securities Co Ltd 17,000 (17,000) Changjiang Securities Co Ltd 75,000 (75,000) China Avionics Systems Co Ltd 13,000 (13,000) China CITIC Bank Corp Ltd 74,000 (74,000) China Communications Construction Co Ltd 27,000 (27,000) China Construction Bank Corp 159,000 (159,000) 37

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # China CSSC Ltd 20,000 (20,000) China Eastern Airlines Corp Ltd 80,000 (80,000) China Everbright Bank Co Ltd 358,000 (358,000) China Film Co Ltd 12,000 (12,000) China Fortune Land Development Co Ltd 26,000 (26,000) China Galaxy Securities Co Ltd 13,000 (13,000) China Gezhouba Group Co Ltd 65,000 (65,000) China Grand Automotive Services Co Ltd 59,800 (59,800) China Hainan Rubber Industry Group Co Ltd 18,000 (18,000) China High-Speed Railway Technology Co Ltd 43,000 (43,000) China International Travel Service Corp Ltd 20,000 (20,000) China Life Insurance Co Ltd 35,000 (35,000) China Merchants Bank Co Ltd 228,000 (228,000) China Merchants Securities Co Ltd 50,000 (50,000) China Merchants Shekou Industrial Zone 52,000 (52,000) Co Ltd China Minsheng Banking Corp Ltd 507,000 (507,000) China Molybdenum Co Ltd 82,000 (82,000) 38

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # China National Nuclear Power Co Ltd 109,000 (109,000) China Northern Rare Earth Group High-Tech Co 48,000 (48,000) Ltd China Nuclear Engineering Corp Ltd 12,000 (12,000) China Pacific Insurance Group Co Ltd 70,000 (70,000) China Petroleum & Chemical Corp 239,000 (239,000) China Railway Construction Corp Ltd 99,000 (99,000) China Railway Group Ltd 149,000 (149,000) China Reform Health Management and 12,000 (12,000) Services Group Co Ltd China Shenhua Energy Co Ltd 40,000 (40,000) China Shipbuilding Industry Co Ltd 200,000 (200,000) China Shipbuilding Industry Group Power Co Ltd 8,000 (8,000) China Southern Airlines Co Ltd 76,000 (76,000) China Spacesat Co Ltd 14,000 (14,000) China State Construction Engineering Corp Ltd 295,000 (295,000) China United Network Communications Ltd 191,000 (191,000) China Vanke Co Ltd 108,000 (108,000) China Yangtze Power Co Ltd 141,000 (141,000) 39

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Chinese Universe Publishing and Media Co Ltd 18,000 (18,000) Chongqing Changan Automobile Co Ltd 57,000 (57,000) CITIC Guoan Information Industry Co Ltd 67,000 (67,000) CITIC Heavy Industries Co Ltd 32,000 (32,000) CITIC Securities Co Ltd 166,000 (166,000) COSCO Shipping Development Co Ltd 83,000 (83,000) COSCO Shipping Co Ltd 69,000 (69,000) CRRC Corp Ltd 162,000 (162,000) CSSC Offshore and Marine Engineering Group 5,000 (5,000) Co Ltd Daqin Railway Co Ltd 140,000 (140,000) DHC Software Co Ltd 36,000 (36,000) Dong-E-E-Jiao Co Ltd 12,000 (12,000) Dongxing Securities Co Ltd 26,000 (26,000) Dongxu Optoelectronic Technology Co Ltd 90,000 (90,000) Dr Peng Telecom & Media Group Co Ltd 33,000 (33,000) East Money Information Co Ltd 57,600 (57,600) Everbright Securities Co Ltd 59,000 (59,000) Fiberhome Telecommunication Technologies Co 11,000 (11,000) Ltd Financial Street Co Ltd 33,000 (33,000) 40

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # First Capital Securities Co Ltd 8,000 (8,000) Focus Media Information Technology Co Ltd 108,000 (108,000) Founder Securities Co Ltd 84,000 (84,000) Future Land Co Ltd 20,000 (20,000) Fuyao Glass Industry Group Co Ltd 30,000 (30,000) GD Power Development Co Ltd 261,000 (261,000) Gemdale Corp 49,000 (49,000) GF Securities Co Ltd 69,000 (69,000) Giant Network Group Co Ltd 13,000 (13,000) Goertek Inc 40,000 (40,000) Great Wall Motor Co Ltd 30,000 (30,000) Gree Electric Appliances Inc of Zhuhai 103,000 (103,000) Greenland Corp Ltd 86,000 (86,000) Guangshen Railway Co Ltd 81,000 (81,000) Guangzhou Baiyunshan Pharmaceutical 11,000 (11,000) Co Ltd Guangzhou Haige Communications Group Inc Co 49,000 (49,000) Guizhou Bailing Group Pharmaceutical Co Ltd 9,000 (9,000) Guosen Securities Co Ltd 55,000 (55,000) Guotai Junan Securities Co Ltd 103,000 (103,000) Guoxuan High-Tech Co Ltd 13,000 (13,000) 41

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Guoyuan Securities Co Ltd 39,000 (39,000) Hainan Airlines Holding Co Ltd 255,000 (255,000) Haitong Securities Co Ltd 174,000 (174,000) Hangzhou Hikvision Digital Technology Co Ltd 74,000 (74,000) Hangzhou Robam Appliances Co Ltd 19,000 (19,000) Han s Laser Technology Industry Group Co Ltd 17,000 (17,000) Henan Shuanghui Investment & Development 20,000 (20,000) Co Ltd Hesteel Co Ltd 98,000 (98,000) Hithink Royalflush Information Network Co Ltd 5,000 (5,000) Huaan Securities Co Ltd 23,000 (23,000) Huadong Medicine Co Ltd 15,000 (15,000) Hualan Biological Engineering Inc 13,000 (13,000) Huaneng Power International Inc 93,000 (93,000) Huatai Securities Co Ltd 69,000 (69,000) Huaxia Bank Co Ltd 142,000 (142,000) Huayi Brothers Media Corp 43,000 (43,000) Huayu Automotive Systems Co Ltd 33,000 (33,000) Hubei Biocause Pharmaceutical Co Ltd 29,000 (29,000) Hundsun Technologies Inc 10,000 (10,000) Iflytek Co Ltd 22,000 (22,000) Industrial & Commercial Bank of China Ltd 450,000 (450,000) Industrial Bank Co Ltd 268,000 (268,000) 42

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Industrial Securities Co Ltd 98,000 (98,000) Inner Mongolia Baotou Steel Union Co Ltd 247,000 (247,000) Inner Mongolia Junzheng Energy & Chemical 54,000 (54,000) Industry Group Co Ltd Inner Mongolia Yili Industrial Group Co Ltd 135,000 (135,000) Jiangsu Bicon Pharmaceutical Listed Co 10,000 (10,000) Jiangsu Broadcasting Cable Information 38,000 (38,000) Network Corp Ltd Jiangsu Hengrui Medicine Co Ltd 43,000 (43,000) Jiangsu Protruly Vision Technology Group Co 33,000 (33,000) Ltd Jiangsu Yanghe Brewery Joint-Stock Co Ltd 13,000 (13,000) Jiangsu Zhongnan Construction Group Co Ltd 26,000 (26,000) Jiangsu Zhongtian Technology Co Ltd 50,000 (50,000) Jiangxi Copper Co Ltd 19,000 (19,000) Jiangxi Ganfeng Lithium Co Ltd 11,000 (11,000) Jihua Group Corp Ltd 31,000 (31,000) Jilin Aodong Pharmaceutical Group Co Ltd 22,100 (22,100) Jinduicheng Molybdenum Co Ltd 23,000 (23,000) Kangde Xin Composite Material Group Co Ltd 57,000 (57,000) 43

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Kangmei Pharmaceutical Co Ltd 63,000 (63,000) Kingenta Ecological Engineering Group Co Ltd 43,000 (43,000) Kweichow Moutai Co Ltd 11,000 (11,000) Lepu Medical Technology Beijing Co Ltd 24,000 (24,000) Liaoning Cheng Da Co Ltd 28,000 (28,000) Longi Green Energy Technology Co Ltd 31,000 (31,000) Luxshare Precision Industry Co Ltd 30,000 (30,000) Luzhou Laojiao Co Ltd 16,000 (16,000) Meinian Onehealth Healthcare Co Ltd 25,000 (25,000) Metallurgical Corp of China Ltd 110,000 (110,000) Midea Group Co Ltd 97,000 (97,000) Muyuan Foodstuff Co Ltd 9,000 (9,000) Nanjing Xinjiekou Department Store Co Ltd 11,000 (11,000) Nari Technology Co Ltd 31,000 (31,000) New China Life Insurance Co Ltd 17,000 (17,000) New Hope Liuhe Co Ltd 47,000 (47,000) Ningbo Zhoushan Port Co Ltd 86,000 (86,000) Northeast Securities Co Ltd 30,000 (30,000) Offshore Oil Engineering Co Ltd 53,000 (53,000) O-Film Tech Co Ltd 42,500 (42,500) Orient Securities Co Ltd/China 75,000 (75,000) 44

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Ourpalm Co Ltd 8,000 (8,000) Pacific Securities Co Ltd/The/China 128,000 (128,000) Petrochina Co Ltd 106,000 (106,000) Ping An Bank Co Ltd 194,000 (194,000) Ping An Insurance Group Co of China Ltd 217,000 (217,000) Poly Real Estate Group Co Ltd 143,000 (143,000) Power Construction Corp of China Ltd 98,000 (98,000) Qingdao Haier Co Ltd 67,000 (67,000) Qinghai Salt Lake Industry Co Ltd 27,000 (27,000) Risesun Real Estate Development Co Ltd 35,000 (35,000) SAIC Motor Corp Ltd 74,000 (74,000) Sanan Optoelectronics Co Ltd 55,000 (55,000) Sany Heavy Industry Co Ltd 92,000 (92,000) SDIC Capital Co Ltd 24,000 (24,000) SDIC Power Co Ltd 85,000 (85,000) Sealand Securities Co Ltd 66,000 (66,000) SF Holding Co Ltd 4,000 (4,000) Shaanxi Coal Industry Co Ltd 89,000 (89,000) Shandong Buchang Pharmaceuticals Co Ltd 7,000 (7,000) Shandong Gold Mining Co Ltd 15,000 (15,000) Shandong Linglong Tyre Co Ltd 5,000 (5,000) 45

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Shandong Nanshan Aluminum Co Ltd Shanghai Bailian Group Co Ltd Shanghai Construction Group Co Ltd Shanghai Electric Group Co Ltd Shanghai Electric Power Co Ltd Shanghai Fosun Pharmaceutical Group Co Ltd Shanghai International Airport Co Ltd Shanghai International Port Group Co Ltd Shanghai Lujiazui Finance & Trade Zone Development Co Ltd Shanghai Oriental Pearl Group Co Ltd Shanghai Pharmaceuticals Holding Co Ltd Shanghai Pudong Development Bank Co Ltd Shanghai Raas Blood Products Co Ltd Shanghai Smi Holding Co Ltd Shanghai Tunnel Engineering Co Ltd Shanghai Zhangjiang High-Tech Park Development Co Ltd 123,000 (123,000) 18,000 (18,000) 136,000 (136,000) 56,000 (56,000) 18,000 (18,000) 20,000 (20,000) 20,000 (20,000) 73,000 (73,000) 24,000 (24,000) 29,000 (29,000) 21,000 (21,000) 228,800 (228,800) 16,000 (16,000) 26,000 (26,000) 32,000 (32,000) 21,000 (21,000) 46

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Shanxi Securities Co Ltd 40,000 (40,000) Shanxi Xishan Coal & Electricity Power Co Ltd 37,000 (37,000) Shenwan Hongyuan Group Co Ltd 180,000 (180,000) Shenzhen Goodix Technology Co Ltd 1,000 (1,000) Shenzhen Inovance Technology Co Ltd 22,000 (22,000) Shenzhen Overseas Chinese Town Co Ltd 70,000 (70,000) Shenzhen Sunway Communication Co Ltd 17,000 (17,000) Shenzhen Zhongjin Lingnan Nonfemet Co Ltd 27,000 (27,000) Siasun Robot & Automation Co Ltd 20,000 (20,000) Sichuan Chuantou Energy Co Ltd 51,000 (51,000) Sinolink Securities Co Ltd 40,000 (40,000) Sinopec Oilfield Service Corp 62,000 (62,000) Sinopec Shanghai Petrochemical Co Ltd 64,000 (64,000) Songcheng Performance Development Co Ltd 8,000 (8,000) Soochow Securities Co Ltd 45,000 (45,000) Southwest Securities Co Ltd 67,000 (67,000) Spring Airlines Co Ltd 6,000 (6,000) Suning.Com Co Ltd 105,000 (105,000) Suofeiya Home Collection Co Ltd 12,000 (12,000) 47

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Suzhou Gold Mantis Construction Decoration 40,000 (40,000) Co Ltd Suzhou Victory Precision Manufacture Co Ltd 39,000 (39,000) Tasly Pharmaceutical Group Co Ltd 24,000 (24,000) Tbea Co Ltd 84,400 (84,400) TCL Corp TCL 137,000 (137,000) Tianqi Lithium Corp 14,950 (14,950) Tongling Nonferrous Metals Group Co Ltd 150,000 (150,000) Triangle Tyre Co Ltd 5,000 (5,000) Tsinghua Tongfang Co Ltd 40,000 (40,000) Tus-Sound Environmental Resources Co Ltd 11,000 (11,000) Unisplendour Corp Ltd 3,000 (3,000) Wanda Film Holding Co Ltd 10,000 (10,000) Wangsu Science & Technology Co Ltd 32,950 (32,950) Wanhua Chemical Group Co Ltd 28,000 (28,000) Wanxiang Qianchao Co Ltd 57,000 (57,000) Weichai Power Co Ltd 116,000 (116,000) Western Securities Co Ltd 35,280 (35,280) Wintime Energy Co Ltd 143,000 (143,000) Wuchan Zhongda Group Co Ltd 39,000 (39,000) Wuhu Shunrong Sanqi Interactive 9,000 (9,000) Entertainment Network Technology Co Ltd Wuliangye Yibin Co Ltd 42,000 (42,000) 48

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Xcmg Construction Machinery Co Ltd 112,000 (112,000) Xiamen C & D Inc 40,000 (40,000) Xiamen Tungsten Co Ltd 9,000 (9,000) Xinhu Zhongbao Co Ltd 99,000 (99,000) Xinjiang Goldwind Science & Technology Co Ltd 50,700 (50,700) Yango Group Co Ltd 37,000 (37,000) Yanzhou Coal Mining Co Ltd 9,000 (9,000) Yonghui Superstores Co Ltd 83,000 (83,000) Yonyou Network Technology Co Ltd 13,000 (13,000) Youngor Group Co Ltd 68,000 (68,000) Youzu Interactive Co Ltd 8,000 (8,000) YTO Express Group Co Ltd 7,000 (7,000) Yunnan Baiyao Group Co Ltd 15,000 (15,000) Zhangzhou Pientzehuang Pharmaceutical Co 7,000 (7,000) Ltd Zhejiang Century Huatong Group Co Ltd 7,000 (7,000) Zhejiang China Commodities City Group Co Ltd 100,000 (100,000) Zhejiang Chint Electrics Co Ltd 9,000 (9,000) Zhejiang Dahua Technology Co Ltd 31,000 (31,000) Zhejiang Huayou Cobalt Co Ltd 7,000 (7,000) Zhejiang Longsheng Group Co Ltd 50,000 (50,000) 49

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # AXPs issued by AXP issuers (continued) Additions Bonus Disposals AXP AXP # Zhejiang Zheneng Electric Power Co Ltd 90,000 (90,000) Zhengzhou Yutong Bus Co Ltd 33,000 (33,000) Zhongjin Gold Corp Ltd 37,000 (37,000) Zhongtian Financial Group Co Ltd 69,000 (69,000) Zijin Mining Group Co Ltd 235,000 (235,000) Zoomlion Heavy Industry Science and 121,000 (121,000) Technology Co Ltd ZTE Corp 38,000 (38,000) # 28 June 2018 is the last dealing day of June 2018 # 50

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) Additions Bonus Disposals # China AECC Aero-Engine Control Co Ltd-A 70,100 9,000 (79,100) A AECC Aviation Power Co Ltd-A 128,600 20,400 (15,300) 133,700 A Agricultural Bank of China Ltd-A 6,577,500 1,076,700 (791,800) 6,862,400 A Aier Eye Hospital Group Co Ltd-A 94,899 31,300 42,494 (9,900) 158,793 A Air China Ltd-A A 311,200 50,400 (37,300) 324,300 Aisino Corp-A 202,782 151,700 (150,282) 204,200 Alpha Group-A A 84,100 9,900 (94,000) Aluminum Corp of China Ltd-A 1,138,700 43,800 (42,700) 1,139,800 A Angang Steel Co Ltd-A A 299,300 10,800 (31,900) 278,200 Anhui Conch Cement Co Ltd-A 360,004 55,200 (103,204) 312,000 A Anxin Trust Co Ltd-A A 290,459 299,700 107,871 (425,030) 273,000 Aurora Optoelectronics Co Ltd-A 54,720 (54,720) A AVIC Aircraft Co Ltd-A 180,748 27,900 (21,400) 187,248 A AVIC Capital Co Ltd-A 749,943 120,000 (89,800) 780,143 A AVIC Helicopter Co Ltd-A 35,615 6,000 (4,300) 37,315 A Bank of Beijing Co Ltd-A 2,590,847 409,800 (582,647) 2,418,000 A Bank of China Ltd-A A 3,499,600 573,300 (421,200) 3,651,700 Bank of Communications Co Ltd-A 4,558,600 723,000 (546,300) 4,735,300 A Bank of Guiyang Co Ltd-A 187,500 30,000 (22,500) 195,000 A Bank of Hangzhou Co Ltd-A 73,252 38,100 (11,500) 99,852 A Bank of Jiangsu Co Ltd-A A 1,147,439 183,600 (137,500) 1,193,539 51

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Bank of Nanjing Co Ltd-A 923,622 147,700 (110,700) 960,622 A Bank of Ningbo Co Ltd-A 420,449 69,400 (50,400) 439,449 A Bank of Shanghai Co Ltd-A 146,100 39,600 (18,900) 166,800 A Baoshan Iron & Steel Co Ltd-A 1,412,417 226,500 (169,200) 1,469,717 A BBMG Corp-A A 525,000 84,000 (64,400) 544,600 Beijing Capital Co Ltd-A 379,900 45,900 (425,800) A Beijing Capital Development Co Ltd-A 209,930 25,200 (25,000) 210,130 A Beijing Dabeinong Technology Group Co Ltd-A 172,150 448,025 (63,900) 556,275 A Beijing Enlight Media Co Ltd-A 212,913 13,500 (226,413) A Beijing New Building Materials Plc-A 101,400 101,400 A Beijing Orient Landscape & Environment Co 180,000 21,600 (21,600) 180,000 Ltd-A A Beijing Originwater Technology Co Ltd-A 308,925 48,300 (36,900) 320,325 A Beijing Sanju Environmental Protection and 146,088 17,500 (17,300) 146,288 New Material Co Ltd-A A Beijing Shiji Information Technology Co Ltd-A 54,300 14,400 (68,700) A Beijing Shougang Co Ltd-A 247,438 29,700 (277,138) A Beijing Tongrentang Co Ltd-A 89,800 46,400 (11,400) 124,800 A Beijing Xinwei Technology Group Co Ltd-A A 94,900 94,900 52

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # BOE Technology Group Co Ltd-A 2,100,800 1,602,500 (458,800) 3,244,500 A Bohai Capital Holding Co Ltd-A 318,500 38,700 357,200 A BYD Co Ltd-A A 97,400 67,000 (16,200) 148,200 Central China Securities Co Ltd-A 127,500 15,300 (142,800) A Changjiang Securities Co Ltd-A 518,325 643,045 (186,370) 975,000 A Chaozhou Three-Circle Group Co Ltd-A 163,793 163,793 A China Avionics Systems Co Ltd-A 108,476 11,700 (120,176) A China CITIC Bank Corp Ltd-A 532,000 87,900 (63,900) 556,000 A China Coal Energy Co Ltd-A 299,300 10,800 (31,900) 278,200 A China Communications Construction Co Ltd-A 290,650 35,700 (33,500) 292,850 A China Construction Bank Corp-A 1,145,600 189,000 (137,700) 1,196,900 A China CSSC Ltd-A 249,700 (249,700) A China Eastern Airlines Corp Ltd-A 823,200 88,800 (475,200) 436,800 A China Everbright Bank Co Ltd-A 2,607,000 426,900 (313,600) 2,720,300 A China Film Co Ltd-A A 89,925 14,400 (10,600) 93,725 China Fortune Land Development Co Ltd-A 194,993 31,200 (23,200) 202,993 A China Galaxy Securities Co Ltd-A 97,500 15,600 (11,700) 101,400 A China Gezhouba Group Co Ltd-A A 487,500 78,000 (58,500) 507,000 53

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # China Grand Automotive Services Co Ltd-A 448,006 71,800 (53,500) 466,306 A China Hainan Rubber Industry Group Co Ltd-A 75,600 16,200 (9,700) 82,100 A China High-Speed Railway Technology Co Ltd-A 324,800 38,700 (363,500) A China International Travel Service Corp Ltd-A 164,518 107,900 (107,518) 164,900 A China Jushi Co Ltd-A A 249,600 249,600 China Life Insurance Co Ltd-A 229,956 201,900 (119,856) 312,000 A China Merchants Bank Co Ltd-A 1,710,016 336,754 (289,716) 1,757,054 A China Merchants Securities Co Ltd-A 365,600 257,300 (53,500) 569,400 A China Merchants Shekou Industrial Zone 218,383 219,850 (47,700) 390,533 Co Ltd-A A China Minsheng Banking Corp Ltd-A 3,802,500 608,400 (456,300) 3,954,600 A China Molybdenum Co Ltd-A 615,000 84,000 (433,800) 265,200 A China National Chemical Engineering Co Ltd-A 408,900 (42,300) 366,600 A China National Nuclear Power Co Ltd-A 1,017,682 525,492 (841,174) 702,000 A China Northern Rare Earth Group High-Tech Co 359,953 43,200 (403,000) 153 Ltd-A A China Nuclear Engineering Corp Ltd-A 90,000 14,400 (10,800) 93,600 A China Pacific Insurance Group Co Ltd-A 562,517 116,800 (133,317) 546,000 A China Petroleum & Chemical Corp-A A 1,792,500 286,800 (215,100) 1,864,200 54

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # China Railway Construction Corp Ltd-A A China Railway Group Ltd-A A China Reform Health Management and Services Group Co Ltd-A A China Shenhua Energy Co Ltd-A A China Shipbuilding Industry Co Ltd-A A China Shipbuilding Industry Group Power Co Ltd-A A China Southern Airlines Co Ltd-A A China Spacesat Co Ltd-A A China State Construction Engineering Corp Ltd-A A China United Network Communications Ltd-A A China Vanke Co Ltd-A A China Yangtze Power Co Ltd-A A Chinese Universe Publishing and Media Co Ltd-A A Chongqing Changan Automobile Co Ltd-A A Chongqing Zhifei Biological Products Co Ltd-A A CITIC Guoan Information Industry Co Ltd-A A 677,416 116,400 (81,900) 711,916 974,500 134,100 (105,400) 1,003,200 127,190 15,900 (11,400) 131,690 329,200 49,200 (38,900) 339,500 1,479,993 239,400 (178,000) 1,541,393 140,260 12,600 (15,500) 137,360 570,000 91,200 (68,400) 592,800 97,700 16,500 (11,700) 102,500 2,482,586 363,600 (294,300) 2,551,886 1,505,500 231,900 (179,500) 1,557,900 810,000 128,700 (119,700) 819,000 1,024,100 353,200 (293,100) 1,084,200 134,824 21,533 (16,000) 140,357 425,229 68,400 (50,800) 442,829 80,300 3,000 (7,000) 76,300 490,600 60,300 (550,900) 55

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # CITIC Heavy Industries Co Ltd-A 112,000 (112,000) A CITIC Securities Co Ltd-A 1,303,400 201,300 (155,500) 1,349,200 A COSCO Shipping Development Co Ltd-A 667,300 101,100 (79,200) 689,200 A COSCO Shipping Co Ltd-A 634,229 87,000 (74,500) 646,729 A CRRC Corp Ltd-A A 1,222,400 194,700 (146,500) 1,270,600 CSSC Offshore and Marine Engineering Group 37,885 (37,885) Co Ltd-A A Daqin Railway Co Ltd-A 979,700 165,557 (118,300) 1,026,957 A Datang International Power Generation Co 481,767 17,100 (51,300) 447,567 Ltd-A A DHC Software Co Ltd-A A 266,116 43,200 (31,900) 277,416 Digital China Information Service Co Ltd-A 24,000 (24,000) A Dong-E-E-Jiao Co Ltd-A 109,902 15,000 (12,600) 112,302 A Dongxing Securities Co Ltd-A 180,405 30,600 (21,600) 189,405 A Dongxu Optoelectronic Technology Co Ltd-A 674,971 423,300 (755,971) 342,300 A Dr Peng Telecom & Media Group Co Ltd-A 178,000 37,200 (17,000) 198,200 A East Money Information Co Ltd-A 493,048 75,200 99,909 (60,900) 607,257 A Everbright Securities Co Ltd-A 325,613 66,600 (40,500) 351,713 A Fangda Carbon New Material Co Ltd-A A 101,400 101,400 56

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Fiberhome Telecommunication Technologies Co 86,183 13,200 (9,900) 89,483 Ltd-A A Financial Street Co Ltd-A 239,233 39,300 (28,800) 249,733 A First Capital Securities Co Ltd-A 344,700 19,800 (37,600) 326,900 A Focus Media Information Technology Co Ltd-A 809,986 293,400 (97,000) 1,006,386 A Foshan Haitian Flavouring & Food Co Ltd-A 132,541 132,541 A Founder Securities Co Ltd-A 660,209 610,585 (568,794) 702,000 A Future Land Co Ltd-A 149,923 141,810 (150,923) 140,810 A Fuyao Glass Industry Group Co Ltd-A 264,752 37,500 (30,800) 271,452 A GD Power Development Co Ltd-A 1,925,100 312,000 (231,300) 2,005,800 A Gemdale Corp-A A 374,800 59,100 (44,800) 389,100 GF Securities Co Ltd-A 533,700 83,347 (63,700) 553,347 A Giant Network Group Co Ltd-A 3,900 109,200 (11,700) 101,400 A Goertek Inc-A A 311,514 48,300 (36,900) 322,914 Great Wall Motor Co Ltd-A 214,500 35,700 (25,600) 224,600 A Gree Electric Appliances Inc of Zhuhai-A 776,572 123,900 (92,900) 807,572 A Greenland Corp Ltd-A 645,000 103,200 (77,400) 670,800 A Guangshen Railway Co Ltd-A A 571,100 96,000 (68,800) 598,300 57

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Guangzhou Baiyunshan Pharmaceutical 162,520 5,700 (17,100) 151,120 Co Ltd-A A Guangzhou Haige Communications Group Inc 360,800 44,100 (404,900) Co-A A Guizhou Bailing Group Pharmaceutical Co Ltd-A 68,600 8,100 (76,700) A Guosen Securities Co Ltd-A 405,247 65,700 (48,600) 422,347 A Guotai Junan Securities Co Ltd-A 760,793 116,587 (253,453) 623,927 A Guoxuan High-Tech Co Ltd-A 93,486 15,600 (11,200) 97,886 A Guoyuan Securities Co Ltd-A 336,300 48,300 (39,600) 345,000 A Hainan Airlines Holding Co Ltd-A 1,912,450 229,500 2,141,950 A Haitong Securities Co Ltd-A 1,361,300 210,900 (162,200) 1,410,000 A Hangzhou Hikvision Digital Technology Co 613,400 90,900 (72,700) 631,600 Ltd-A A Hangzhou Robam Appliances Co Ltd-A 84,100 20,690 (9,600) 95,190 A Han s Laser Technology Industry Group Co 157,800 21,600 (18,400) 161,000 Ltd-A A Heilan Home Co Ltd-A 304,111 304,111 A Henan Shuanghui Investment & Development 234,774 27,000 (27,000) 234,774 Co Ltd-A A Hengli Petrochemical Co Ltd-A 101,400 101,400 A Hengtong Optic-Electric Co Ltd-A 78,000 78,000 A Hesteel Co Ltd-A A 677,000 115,500 (81,900) 710,600 58

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Hithink Royalflush Information Network Co 37,500 6,000 (4,500) 39,000 Ltd-A A Huaan Securities Co Ltd-A 172,500 27,600 (20,700) 179,400 A Huadong Medicine Co Ltd-A 90,700 18,900 46,700 (10,800) 145,500 A Hualan Biological Engineering Inc-A 107,341 15,875 (12,600) 110,616 A Huaneng Power International Inc-A 697,500 111,600 (83,700) 725,400 A Huatai Securities Co Ltd-A 517,323 283,900 (169,423) 631,800 A Huaxia Bank Co Ltd-A 1,101,960 171,600 (131,400) 1,142,160 A Huayi Brothers Media Corp-A 310,098 51,300 (37,300) 324,098 A Huayu Automotive Systems Co Ltd-A 262,100 40,194 (31,000) 271,294 A Hubei Biocause Pharmaceutical Co Ltd-A 217,500 34,800 (26,100) 226,200 A Hundsun Technologies Inc-A 82,300 71,307 (91,300) 62,307 A Iflytek Co Ltd-A A 165,000 29,700 82,500 (19,800) 257,400 Industrial & Commercial Bank of China Ltd-A 3,368,473 539,681 (404,100) 3,504,054 A Industrial Bank Co Ltd-A 2,068,400 323,665 (247,300) 2,144,765 A Industrial Securities Co Ltd-A 734,930 603,100 (480,030) 858,000 A Inner Mongolia Baotou Steel Union Co Ltd-A A 1,782,300 1,288,800 (317,700) 2,753,400 59

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Inner Mongolia Junzheng Energy & Chemical Industry Group Co Ltd-A A Inner Mongolia Yili Industrial Group Co Ltd-A A Jiangsu Bicon Pharmaceutical Listed Co-A A Jiangsu Broadcasting Cable Information Network Corp Ltd-A A Jiangsu Hengrui Medicine Co Ltd-A A Jiangsu Protruly Vision Technology Group Co Ltd-A A Jiangsu Yanghe Brewery Joint-Stock Co Ltd-A A Jiangsu Zhongnan Construction Group Co Ltd-A A Jiangsu Zhongtian Technology Co Ltd-A A Jiangxi Copper Co Ltd-A A Jiangxi Ganfeng Lithium Co Ltd-A A Jihua Group Corp Ltd-A A Jilin Aodong Pharmaceutical Group Co Ltd-A A Jinduicheng Molybdenum Co Ltd-A A Kangde Xin Composite Material Group Co Ltd-A A 503,700 18,000 (12,000) 509,700 1,012,500 162,000 (121,500) 1,053,000 74,951 8,903 (8,800) 75,054 279,769 (10,100) 269,669 300,900 53,100 83,250 (62,100) 375,150 235,400 (235,400) 54,453 62,600 (12,100) 104,953 194,953 31,200 (23,200) 202,953 375,000 59,963 (44,700) 390,263 138,367 22,800 (16,400) 144,767 82,500 14,700 41,250 (9,900) 128,550 217,900 36,600 (26,100) 228,400 222,478 28,500 (25,900) 225,078 159,040 27,000 (18,900) 167,140 354,508 51,300 (19,200) 386,608 60

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Kangmei Pharmaceutical Co Ltd-A A Kingenta Ecological Engineering Group Co Ltd-A A Kweichow Moutai Co Ltd-A A Lens Technology Co Ltd-A A Lepu Medical Technology Beijing Co Ltd-A A Liaoning Cheng Da Co Ltd-A A Lomon Billions Group Co Ltd-A A Longi Green Energy Technology Co Ltd-A A Luxshare Precision Industry Co Ltd-A A Luzhou Laojiao Co Ltd-A A Meinian Onehealth Healthcare Co Ltd-A A Metallurgical Corp of China Ltd-A A Midea Group Co Ltd-A A Muyuan Foodstuff Co Ltd-A A Nanjing Xinjiekou Department Store Co Ltd-A A Nari Technology Co Ltd-A A New China Life Insurance Co Ltd-A A 472,440 78,300 (58,300) 492,440 277,400 (104,900) 172,500 82,440 13,125 (9,700) 85,865 77,928 77,928 180,000 28,800 (21,600) 187,200 117,550 30,300 (15,100) 132,750 102,150 3,600 (6,000) 99,750 232,451 36,821 93,055 (128,393) 233,934 261,500 37,200 (30,600) 268,100 116,507 38,000 (14,100) 140,407 189,989 31,500 37,997 (22,500) 236,986 1,021,968 138,900 (119,700) 1,041,168 728,664 162,410 (111,474) 779,600 60,200 10,500 (7,200) 63,500 85,790 13,200 (3,100) 95,890 234,100 274,920 (39,500) 469,520 127,496 20,358 (15,100) 132,754 61

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # New Hope Liuhe Co Ltd-A 411,700 58,500 (48,600) 421,600 A Ningbo Zhoushan Port Co Ltd-A 922,927 101,400 (400,327) 624,000 A Northeast Securities Co Ltd-A 125,930 519,000 (644,930) A Offshore Oil Engineering Co Ltd-A 377,100 63,000 (45,200) 394,900 A O-Film Tech Co Ltd-A A 294,315 50,200 (35,300) 309,215 Oppein Home Group Inc-A 23,387 23,387 A Orient Securities Co Ltd/China-A 556,355 89,700 (66,600) 579,455 A Ourpalm Co Ltd-A A 359,300 7,200 (366,500) Pacific Securities Co Ltd/The/China-A 1,127,900 159,600 (133,000) 1,154,500 A Perfect World Co Ltd/China-A 65,700 2,400 (5,600) 62,500 A Petrochina Co Ltd-A 1,140,100 139,500 (132,300) 1,147,300 A Ping An Bank Co Ltd-A 1,406,800 231,000 (169,200) 1,468,600 A Ping An Insurance Group Co of China Ltd-A 1,844,745 266,100 (270,045) 1,840,800 A Poly Real Estate Group Co Ltd-A 1,181,997 175,500 (140,400) 1,217,097 A Power Construction Corp of China Ltd-A 731,200 117,600 (87,500) 761,300 A Qingdao Haier Co Ltd-A 573,174 136,200 (102,974) 606,400 A Qinghai Salt Lake Industry Co Ltd-A 177,220 31,477 (21,400) 187,297 A Risesun Real Estate Development Co Ltd-A A 244,500 41,400 (29,500) 256,400 62

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Rongsheng Petro Chemical Co Ltd-A 179,300 179,300 A SAIC Motor Corp Ltd-A 555,000 173,400 (135,600) 592,800 A Sanan Optoelectronics Co Ltd-A 396,700 65,400 (47,700) 414,400 A Sany Heavy Industry Co Ltd-A 925,181 105,600 (437,981) 592,800 A SDIC Capital Co Ltd-A 180,000 28,800 (21,600) 187,200 A SDIC Power Co Ltd-A 821,500 108,600 (96,100) 834,000 A Sealand Securities Co Ltd-A 497,279 59,400 (556,679) A SF Holding Co Ltd-A A 30,000 4,800 (3,600) 31,200 Shaanxi Coal Industry Co Ltd-A 26,700 761,700 (164,400) 624,000 A Shandong Buchang Pharmaceuticals Co Ltd-A 16,000 7,200 (2,200) 21,000 A Shandong Gold Mining Co Ltd-A 107,800 17,700 (12,600) 112,900 A Shandong Linglong Tyre Co Ltd-A 36,500 (36,500) A Shandong Nanshan Aluminum Co Ltd-A 1,072,500 153,000 (126,700) 1,098,800 A Shanghai Bailian Group Co Ltd-A 75,565 16,200 (91,765) A Shanghai Construction Group Co Ltd-A 749,900 122,400 (93,400) 778,900 A Shanghai Electric Group Co Ltd-A 417,586 50,400 (49,900) 418,086 A Shanghai Electric Power Co Ltd-A A 142,200 16,200 (158,400) 63

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Shanghai Fosun Pharmaceutical Group Co Ltd-A A Shanghai International Airport Co Ltd-A A Shanghai International Port Group Co Ltd-A A Shanghai Lujiazui Finance & Trade Zone Development Co Ltd-A A Shanghai Oriental Pearl Group Co Ltd-A A Shanghai Pharmaceuticals Holding Co Ltd-A A Shanghai Pudong Development Bank Co Ltd-A A Shanghai Raas Blood Products Co Ltd-A A Shanghai Smi Holding Co Ltd-A A Shanghai Tunnel Engineering Co Ltd-A A Shanghai Zhangjiang High-Tech Park Development Co Ltd-A A Shanxi Securities Co Ltd-A A Shanxi Xinghuacun Fen Wine Factory Co Ltd-A A Shanxi Xishan Coal & Electricity Power Co Ltd-A A Shenwan Hongyuan Group Co Ltd-A A Shenzhen Goodix Technology Co Ltd-A A 149,905 24,000 (17,800) 156,105 149,977 24,000 (17,800) 156,177 504,080 86,100 (61,000) 529,180 175,736 28,800 (20,900) 183,636 217,500 200,586 (223,086) 195,000 233,619 27,900 (27,000) 234,519 1,943,614 282,700 (230,200) 1,996,114 161,717 14,400 (15,000) 161,117 194,909 23,400 (218,309) 490,926 47,400 (55,600) 482,726 159,216 18,900 (178,116) 297,700 48,000 (35,500) 310,200 38,929 38,929 277,500 44,400 (33,300) 288,600 1,006,900 203,700 (125,100) 1,085,500 7,500 1,200 (900) 7,800 64

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Shenzhen Inovance Technology Co Ltd-A A Shenzhen Overseas Chinese Town Co Ltd-A A Shenzhen Salubris Pharmaceuticals Co Ltd-A A Shenzhen Sunway Communication Co Ltd-A A Shenzhen Zhongjin Lingnan Nonfemet Co Ltd-A A Siasun Robot & Automation Co Ltd-A A Sichuan Chuantou Energy Co Ltd-A A Sinolink Securities Co Ltd-A A Sinopec Oilfield Service Corp-A A Sinopec Shanghai Petrochemical Co Ltd-A A Songcheng Performance Development Co Ltd-A A Soochow Securities Co Ltd-A A Southwest Securities Co Ltd-A A Spring Airlines Co Ltd-A A Suning.Com Co Ltd-A A Suofeiya Home Collection Co Ltd-A A Suzhou Gold Mantis Construction Decoration Co Ltd-A A 165,000 26,400 (19,800) 171,600 612,400 86,992 (72,000) 627,392 65,612 2,400 (7,000) 61,012 127,427 20,400 (15,100) 132,727 297,100 41,400 143,600 (34,200) 447,900 208,840 26,100 (24,300) 210,640 367,900 60,600 (44,100) 384,400 336,899 399,300 (76,000) 660,199 489,800 55,800 (545,600) 246,400 68,400 (32,400) 282,400 202,823 85,200 (210,023) 78,000 439,049 57,600 (51,300) 445,349 502,010 60,300 (60,100) 502,210 37,700 6,900 (4,500) 40,100 619,600 120,000 (76,500) 663,100 89,981 14,400 (10,600) 93,781 167,852 43,200 (21,600) 189,452 65

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Suzhou Victory Precision Manufacture Co Ltd-A 159,802 35,100 (194,902) A Tasly Pharmaceutical Group Co Ltd-A 107,000 27,900 46,040 (13,500) 167,440 A Tbea Co Ltd-A A 586,861 503,035 (224,096) 865,800 TCL Corp-A TCL A 1,407,100 177,900 (163,800) 1,421,200 Tianqi Lithium Corp-A 109,135 17,900 (13,000) 114,035 A Tonghua Dongbao Pharmaceutical Co Ltd-A 198,309 198,309 A Tongling Nonferrous Metals Group Co Ltd-A 1,080,000 178,500 (130,000) 1,128,500 A Tongwei Co Ltd-A A 241,800 241,800 Triangle Tyre Co Ltd-A 37,500 130,500 (168,000) A Tsinghua Tongfang Co Ltd-A 191,872 429,000 (444,772) 176,100 A Tus-Sound Environmental Resources Co Ltd-A 112,100 16,200 44,200 (11,500) 161,000 A Unisplendour Corp Ltd-A A 20,058 3,600 (2,200) 21,458 Wanda Film Holding Co Ltd-A 49,566 49,566 A Wangsu Science & Technology Co Ltd-A 239,973 39,200 (28,800) 250,373 A Wanhua Chemical Group Co Ltd-A 195,580 70,200 265,780 A Wanxiang Qianchao Co Ltd-A 230,400 61,500 (30,100) 261,800 A Weichai Power Co Ltd-A 804,300 136,800 (97,200) 843,900 A Western Securities Co Ltd-A 300,354 43,700 (35,500) 308,554 A Wintime Energy Co Ltd-A A 886,600 (21,000) 865,600 66

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Wuchan Zhongda Group Co Ltd-A 292,500 46,800 (35,100) 304,200 A Wuhu Shunrong Sanqi Interactive 67,455 10,800 (7,900) 70,355 Entertainment Network Technology Co Ltd-A A Wuliangye Yibin Co Ltd-A 295,685 65,328 (35,500) 325,513 A Xcmg Construction Machinery Co Ltd-A 710,800 129,900 (86,800) 753,900 A Xiamen C & D Inc-A A 234,300 45,600 (28,800) 251,100 Xiamen Tungsten Co Ltd-A 67,500 8,100 (75,600) A Xinhu Zhongbao Co Ltd-A 725,300 118,200 (87,100) 756,400 A Xinjiang Goldwind Science & Technology Co 288,838 465,218 (317,256) 436,800 Ltd-A A Yango Group Co Ltd-A 277,500 44,400 (33,300) 288,600 A Yanzhou Coal Mining Co Ltd-A 37,701 9,600 (4,700) 42,601 A Yonghui Superstores Co Ltd-A 622,524 99,600 (74,700) 647,424 A Yonyou Network Technology Co Ltd-A 57,200 88,480 15,570 (6,210) 155,040 A Youngor Group Co Ltd-A 422,400 78,585 (51,700) 449,285 A Youzu Interactive Co Ltd-A 60,000 7,200 (67,200) A YTO Express Group Co Ltd-A 52,426 8,400 (6,100) 54,726 A Yunnan Baiyao Group Co Ltd-A A 105,200 17,700 (12,600) 110,300 67

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (Stock Connect) (continued) Additions Bonus Disposals # Zhangzhou Pientzehuang Pharmaceutical Co 52,500 8,400 (6,300) 54,600 Ltd-A A Zhejiang Century Huatong Group Co Ltd-A 52,408 6,300 (6,100) 52,608 A Zhejiang China Commodities City Group Co 458,000 109,500 (58,500) 509,000 Ltd-A A Zhejiang Chint Electrics Co Ltd-A 125,440 9,000 (110,440) 24,000 A Zhejiang Dahua Technology Co Ltd-A 290,900 39,300 (34,000) 296,200 A Zhejiang Huayou Cobalt Co Ltd-A 2,100 67,500 (6,400) 63,200 A Zhejiang Longsheng Group Co Ltd-A 435,000 248,400 (270,000) 413,400 A Zhejiang Sanhua Intelligent Controls Co Ltd-A 132,600 132,600 A Zhejiang Zheneng Electric Power Co Ltd-A 674,912 108,000 (80,800) 702,112 A Zhengzhou Yutong Bus Co Ltd-A 247,324 33,900 (172,024) 109,200 A Zhongjin Gold Corp Ltd-A 282,200 33,300 (315,500) A Zhongtian Financial Group Co Ltd-A 606,823 303,411 910,234 A Zijin Mining Group Co Ltd-A 1,856,957 277,200 (425,957) 1,708,200 A Zoomlion Heavy Industry Science and 1,038,380 134,700 (500,000) 673,080 Technology Co Ltd-A A ZTE Corp-A A 439,402 51,000 (39,200) 451,202 68

300 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (QFII) Additions Bonus Disposals # (QFII) China BOE Technology Group Co Ltd-A 1,732,100 (1,732,100) A BYD Co Ltd-A A 44,600 (44,600) China Merchants Bank Co Ltd-A 77,000 (77,000) A China Merchants Energy Shipping Co Ltd-A 694,800 (694,800) A China Merchants Shekou Industrial Zone 200,556 (200,556) Co Ltd-A A China Shipbuilding Industry Co Ltd-A 3,100 (3,100) A Jiangsu Yanghe Brewery Joint-Stock Co Ltd-A 48,200 (48,200) A Kangmei Pharmaceutical Co Ltd-A 69,200 (69,200) A Leshi Internet Information & Technology Corp 113,400 (113,400) Beijing-A A Shanghai Raas Blood Products Co Ltd-A 78,820 78,820 A Wanda Film Holding Co Ltd-A 23,400 23,400 # 28 June 2018 is the last dealing day of June 2018 # AXP A Share access products, being a security (including without limitation, warrant, note or participation certificate) linked to an A Share or a Basket of A Shares. AXP AA A 69

300 ETFs PERFORMANCE TABLE (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # 1. NET ASSET VALUE Net asset value Net per unit At the end of financial period/year asset value 28 June 2018 # # 2,032,500,297 32.5721 31 December 2017 2,641,579,659 38.8468 2. HIGHEST ISSUE/LOWEST REDEMPTION PRICE PER UNIT Highest Lowest issue redemption unit price unit price Financial period/year ended 28 June 2018 # # 43.4666 32.5721 31 December 2017 40.1864 30.1144 # 28 June 2018 is the last dealing day of June 2018 # 70

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs INVESTMENT PORTFOLIO (UNAUDITED) AS AT 29TH JUNE 2018 % of net asset value Securities name Fair value (%) Listed equities Hong Kong AAC Technologies Hldgs Inc 57,000 6,292,800 0.60 Agricultural Bank of China Ltd-H H 2,636,000 9,674,120 0.91 AIA Group Ltd 1,020,800 70,026,880 6.62 Anta Sports Products Ltd 84,000 3,490,200 0.33 Bank of China Ltd-H H 7,025,000 27,257,000 2.58 Bank of Communications Co Ltd-H H 970,000 5,829,700 0.55 Bank of East Asia Ltd 82,000 2,566,600 0.24 Beijing Enterprises Hldgs Ltd 33,000 1,260,600 0.12 Beijing Enterprises Water Group Ltd 410,000 1,750,700 0.17 BOC Hong Kong (Hldgs) Ltd 357,000 13,191,150 1.25 Brilliance China Automotive Hldgs Ltd 274,000 3,874,360 0.37 Cathay Pacific Airways Ltd 136,000 1,675,520 0.16 China Cinda Asset Management Co Ltd-H 700,000 1,757,000 0.17 H China CITIC Bank Corp Ltd-H H 814,000 3,988,600 0.38 China Communications Construction Co Ltd-H 384,000 2,906,880 0.27 H China Construction Bank Corp-H H 10,115,000 73,232,600 6.93 China Everbright Intl Ltd 198,000 2,007,720 0.19 China Evergrande Group 346,000 6,913,080 0.65 China Gas Hldgs Ltd 162,000 5,103,000 0.48 China Huarong Asset Management Co Ltd-H 862,000 1,948,120 0.18 H China Life Insurance Co Ltd-H H 614,000 12,402,800 1.17 China Literature Ltd 30,000 2,209,500 0.21 China Mengniu Dairy Co Ltd 220,000 5,841,000 0.55 China Merchants Bank Co Ltd-H H 387,000 11,184,300 1.06 China Merchants Ports Hldgs Co Ltd 80,000 1,272,000 0.12 China Minsheng Banking Corp Ltd-H 698,400 3,911,040 0.37 H China Mobile Ltd 516,000 35,939,400 3.40 China Overseas Land & Investment Ltd 354,000 9,133,200 0.86 China Pacific Insurance (Group) Co-H H 243,200 7,381,120 0.70 71

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 29TH JUNE 2018 % of net asset value Securities name Fair value (%) Listed equities (continued) Hong Kong (continued) China Petroleum & Chemical Corp-H 2,044,000 14,308,000 1.35 H China Resources Beer Hldgs Co Ltd 132,000 5,009,400 0.47 China Resources Gas Group Ltd 70,000 2,376,500 0.22 China Resources Land Ltd 223,304 5,895,226 0.56 China Resources Pharmaceutical Group Ltd 158,500 1,711,800 0.16 China Resources Power Hldgs Co 132,000 1,818,960 0.17 China Shenhua Energy Co Ltd-H H 264,000 4,915,680 0.46 China State Construction Intl Hldgs Ltd 200,000 1,610,000 0.15 China Taiping Insurance Hldgs Co Ltd 162,800 3,988,600 0.38 China Telecom Corp Ltd-H H 1,226,000 4,499,420 0.43 China Unicom (Hong Kong) Ltd 606,000 5,932,740 0.56 CK Asset Hldgs Ltd 221,000 13,768,300 1.30 CK Hutchison Hldgs Ltd 219,000 18,220,800 1.72 CK Infrastructure Hldgs Ltd 68,000 3,954,200 0.37 CLP Hldgs Ltd 170,000 14,365,000 1.36 CNOOC Ltd 1,385,000 18,725,200 1.77 Country Garden Hldgs Co Ltd 759,000 10,459,020 0.99 CSPC Pharmaceutical Group Ltd 418,000 9,885,700 0.93 Dali Foods Group Co Ltd 160,000 966,400 0.09 Enn Energy Hldgs Ltd 68,000 5,239,400 0.50 Fosun Intl Ltd 243,500 3,584,320 0.34 Galaxy Entertainment Group Ltd 221,000 13,425,750 1.27 Geely Automobile Hldgs Ltd 444,000 9,013,200 0.85 Guangdong Investment Ltd 274,000 3,397,600 0.32 Haier Electronics Group Co Ltd 116,000 3,108,800 0.29 Haitong Securities Co Ltd-H H 237,600 1,884,168 0.18 Hang Lung Properties Ltd 182,000 2,944,760 0.28 Hang Seng Bank Ltd 64,600 12,674,520 1.20 Henderson Land Development Co Ltd 139,506 5,789,499 0.55 Hengan Intl Group Co Ltd 62,000 4,677,900 0.44 Hong Kong & China Gas Co Ltd 781,800 11,742,636 1.11 Hong Kong Exchanges & Clearing Ltd 103,500 24,405,300 2.31 72

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 29TH JUNE 2018 % of net asset value Securities name Fair value (%) Listed equities (continued) Hong Kong (continued) HSBC Hldgs Plc 1,458,179 107,249,065 10.14 Industrial & Commercial Bk of China-H 7,267,000 42,584,620 4.03 H Kunlun Energy Co Ltd 274,000 1,879,640 0.18 Lenovo Group Ltd 546,000 2,320,500 0.22 Longfor Properties Co Ltd 136,500 2,886,975 0.27 MGM China Hldgs Ltd 109,200 1,985,256 0.19 MTR Corp Ltd 156,000 6,762,600 0.64 New China Life Insurance Co Ltd-H 68,000 2,216,800 0.21 H New World Development Co Ltd 483,000 5,332,320 0.50 Petrochina Co Ltd-H H 1,638,000 9,762,480 0.92 PICC Property & Casualty Co Ltd-H 594,000 5,025,240 0.48 H Ping An Insurance Group Co of China Ltd-H 438,000 31,601,700 2.99 H Postal Savings Bank of China Co Ltd-H 1,149,000 5,859,900 0.55 H Power Assets Hldgs Ltd 143,000 7,843,550 0.74 Prada Spa 40,600 1,463,630 0.14 Sands China Ltd 204,000 8,547,600 0.81 Shenzhou Intl Group Hldgs Ltd 68,000 6,585,800 0.62 Shimao Property Hldgs Ltd 116,000 2,389,600 0.23 Sino Biopharmaceutical Ltd 729,000 8,748,000 0.83 Sino Land Co Ltd 344,000 4,389,440 0.42 Sun Art Retail Group Ltd 300,000 3,078,000 0.29 Sun Hung Kai Properties Ltd 128,100 15,167,040 1.43 Sunac China Hldgs Ltd 208,000 5,699,200 0.54 Sunny Optical Technology Group Co Ltd 71,500 10,431,850 0.99 Swire Pacific Ltd A A 47,324 3,932,624 0.37 Techtronic Industries Co Ltd 147,000 6,423,900 0.61 Tencent Hldgs Ltd 296,500 116,702,400 11.05 Tianhe Chemicals Group Ltd 72,000 8,352 0.00 73

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 29TH JUNE 2018 % of net asset value Securities name Fair value (%) Listed equities (continued) Hong Kong (continued) Tingyi (Cayman Islands) Hldg Corp 120,000 2,181,600 0.21 Want Want China Hldgs Ltd 510,000 3,559,800 0.34 WH Group Ltd 816,993 5,204,245 0.49 Wharf Hldgs Ltd 98,000 2,469,600 0.23 Wharf Real Estate Investment Co Ltd 109,000 6,087,650 0.58 Wynn Macau Ltd 119,200 3,009,800 0.28 Yue Yuen Industrial Hldg 66,000 1,461,900 0.14 Collective Investment Scheme Link Real Estate Investment Trust 190,000 13,613,500 1.29 Total investment 1,042,785,967 98.62 Tax Other net assets 14,596,184 1.38 Net assets value as at 29th June 2018 1,057,382,151 100.00 Total investments, at cost 862,364,480 74

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 Securities name as at as at 01.01.2018 29.06.2018 Listed equities Additions Bonus Disposals Hong Kong CK Hutchison Hldgs Ltd 199,000 29,000 (9,000) 219,000 CLP Hldgs Ltd 145,000 48,000 (23,000) 170,000 Hong Kong & China Gas Co Ltd 590,000 125,000 66,800 781,800 Wharf Hldgs Ltd 66,000 32,000 98,000 HSBC Hldgs Plc 1,260,579 197,600 1,458,179 Power Assets Hldgs Ltd 99,000 53,000 (9,000) 143,000 Hang Seng Bank Ltd 54,600 10,000 64,600 Henderson Land Development Co Ltd 110,460 18,000 11,046 139,506 Sun Hung Kai Properties Ltd 99,100 29,000 128,100 New World Development Co Ltd 483,000 483,000 Swire Pacific Ltd A A 47,324 47,324 Wheelock & Co Ltd 66,000 (66,000) Bank of East Asia Ltd 82,000 82,000 Galaxy Entertainment Group Ltd 198,000 23,000 221,000 MTR Corp Ltd 155,500 38,000 (37,500) 156,000 Sino Land Co Ltd 344,000 344,000 Hang Lung Properties Ltd 132,000 50,000 182,000 Kunlun Energy Co Ltd 274,000 274,000 China Merchants Ports Hldgs Co Ltd 132,000 (52,000) 80,000 Want Want China Hldgs Ltd 528,000 100,000 (118,000) 510,000 Geely Automobile Hldgs Ltd 377,000 67,000 444,000 China Everbright Intl Ltd 198,000 198,000 Guangdong Investment Ltd 274,000 274,000 WH Group Ltd 616,993 200,000 816,993 China Resources Beer Hldgs Co Ltd 132,000 132,000 75

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 Securities name as at as at 01.01.2018 29.06.2018 Listed equities (continued) Additions Bonus Disposals Hong Kong (continued) Cathay Pacific Airways Ltd 66,000 70,000 136,000 Tingyi (Cayman Islands) Hldg Corp 208,000 (88,000) 120,000 Beijing Enterprises Water Group Ltd 410,000 410,000 China Gas Hldgs Ltd 132,000 30,000 162,000 China Petroleum & Chemical Corp-H 1,944,000 100,000 2,044,000 H Hong Kong Exchanges & Clearing Ltd 96,000 7,500 103,500 Beijing Enterprises Hldgs Ltd 33,000 33,000 United Co Rusal 856,000 (856,000) Yue Yuen Industrial Hldg 66,000 66,000 Fosun Intl Ltd 243,500 243,500 Techtronic Industries Co Ltd 121,000 26,000 147,000 China Overseas Land & Investment Ltd 326,000 28,000 354,000 Tencent Hldgs Ltd 316,900 2,500 (22,900) 296,500 China Telecom Corp Ltd-H 1,226,000 1,226,000 H China Unicom (Hong Kong) Ltd 546,000 160,000 (100,000) 606,000 China Literature Ltd 30,000 30,000 Shimao Property Hldgs Ltd 116,000 116,000 China Resources Power Hldgs Co 132,000 132,000 Petrochina Co Ltd-H 1,518,000 120,000 1,638,000 H CNOOC Ltd 1,335,000 50,000 1,385,000 China Construction Bank Corp-H H 8,845,000 1,270,000 10,115,000 76

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 Securities name as at as at 01.01.2018 29.06.2018 Listed equities (continued) Additions Bonus Disposals Hong Kong (continued) China Mobile Ltd 430,000 86,000 516,000 Longfor Properties Co Ltd 136,500 136,500 China Taiping Insurance Hldgs Co Ltd 162,800 162,800 Lenovo Group Ltd 546,000 546,000 China CITIC Bank Corp Ltd-H 814,000 814,000 H CK Infrastructure Hldgs Ltd 83,000 13,000 (28,000) 68,000 Hengan Intl Group Co Ltd 62,000 62,000 China Shenhua Energy Co Ltd-H 264,000 264,000 H CSPC Pharmaceutical Group Ltd 350,000 68,000 418,000 China Resources Land Ltd 187,304 36,000 223,304 CK Asset Hldgs Ltd 190,000 31,000 221,000 Brilliance China Automotive Hldgs Ltd 274,000 274,000 Wynn Macau Ltd 119,200 119,200 Haier Electronics Group Co Ltd 66,000 50,000 116,000 Sino Biopharmaceutical Ltd 434,000 132,000 283,000 (120,000) 729,000 China Resources Gas Group Ltd 70,000 70,000 Agricultural Bank of China Ltd-H 2,636,000 2,636,000 H AIA Group Ltd 878,800 142,000 1,020,800 New China Life Insurance Co Ltd-H 61,600 22,000 (15,600) 68,000 H China Cinda Asset Management Co Ltd-H 990,000 (290,000) 700,000 H Industrial & Commercial Bk of China-H H 6,637,000 630,000 7,267,000 77

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 Securities name as at as at 01.01.2018 29.06.2018 Listed equities (continued) Additions Bonus Disposals Hong Kong (continued) Tianhe Chemicals Group Ltd 72,000 72,000 Postal Savings Bank of China Co Ltd-H 1,449,000 200,000 (500,000) 1,149,000 H China Communications Construction Co 384,000 384,000 Ltd-H H Prada Spa 26,400 32,000 (17,800) 40,600 Sunac China Hldgs Ltd 208,000 208,000 Sands China Ltd 184,000 20,000 204,000 China Minsheng Banking Corp Ltd-H 582,000 116,400 698,400 H Wharf Real Estate Investment Co Ltd 218,000 14,000 (123,000) 109,000 Country Garden Hldgs Co Ltd 799,000 50,000 (90,000) 759,000 AAC Technologies Hldgs Inc 60,000 (3,000) 57,000 Anta Sports Products Ltd 66,000 18,000 84,000 MGM China Hldgs Ltd 109,200 109,200 Shenzhou Intl Group Hldgs Ltd 66,000 15,000 (13,000) 68,000 Ping An Insurance Group Co of China 401,000 37,000 438,000 Ltd-H H China Mengniu Dairy Co Ltd 258,000 (38,000) 220,000 PICC Property & Casualty Co Ltd-H 274,000 122,000 198,000 594,000 H Sunny Optical Technology Group Co Ltd 6,000 65,500 71,500 BOC Hong Kong (Hldgs) Ltd 307,000 50,000 357,000 78

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 Securities name as at as at 01.01.2018 29.06.2018 Listed equities (continued) Additions Bonus Disposals Hong Kong (continued) China Pacific Insurance (Group) Co-H 218,200 25,000 243,200 H China Life Insurance Co Ltd-H 564,000 50,000 614,000 H Enn Energy Hldgs Ltd 68,000 68,000 China Huarong Asset Management Co 602,000 260,000 862,000 Ltd-H H Standard Chartered Plc 221,400 25,000 (246,400) China State Construction Intl Hldgs Ltd 148,000 100,000 (48,000) 200,000 China Resources Pharmaceutical Group 158,500 158,500 Ltd Bank of Communications Co Ltd-H 1,140,000 (170,000) 970,000 H China Evergrande Group 306,000 40,000 346,000 Dali Foods Group Co Ltd 160,000 160,000 China Merchants Bank Co Ltd-H 361,000 26,000 387,000 H Bank of China Ltd-H 6,225,000 800,000 7,025,000 H Country Garden Services Hldgs Co Ltd 97,586 (97,586) Sun Art Retail Group Ltd 380,000 (80,000) 300,000 Haitong Securities Co Ltd-H H 237,600 237,600 Collective Investment Scheme Hong Kong Link Real Estate Investment Trust 177,000 13,000 190,000 79

W.I.S.E.-CSI HK 100 TRACKER TM 100 TM ETFs PERFORMANCE TABLE (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 29TH JUNE 2018 1. NET ASSET VALUE Net asset value Net per unit At the end of financial period/year asset value 29 June 2018 1,057,382,151 26.0648 31 December 2017 993,991,260 26.7256 2. HIGHEST ISSUE/LOWEST REDEMPTION PRICE PER UNIT Highest Lowest issue redemption unit price unit price Financial period/year ended 29 June 2018 29.7956 25.5055 31 December 2017 27.1915 19.1816 80

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs INVESTMENT PORTFOLIO (UNAUDITED) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities China Agricultural Bank of China Ltd-A A 711,500 2,851,214 3.07 Anhui Conch Cement Co Ltd-A A 35,000 1,346,545 1.45 Bank of Beijing Co Ltd-A A 261,500 1,847,805 1.99 Bank of China Ltd-A A 405,000 1,704,596 1.83 Bank of Communications Co Ltd-A A 480,000 3,226,729 3.47 Bank of Shanghai Co Ltd-A A 68,000 1,252,847 1.35 Baoshan Iron & Steel Co Ltd-A A 159,993 1,453,008 1.56 Beijing Xinwei Technology Group Co Ltd-A 47,000 406,526 0.44 A China Communications Construction Co Ltd-A 23,000 307,319 0.33 A China Everbright Bank Co Ltd-A A 252,500 1,080,704 1.16 China Fortune Land Development Co Ltd-A 21,500 638,280 0.69 A China Life Insurance Co Ltd-A A 31,500 829,464 0.89 China Merchants Bank Co Ltd-A A 183,000 5,606,370 6.03 China Merchants Securities Co Ltd-A A 48,000 755,180 0.81 China Minsheng Banking Corp Ltd-A 417,000 3,421,215 3.68 A China Molybdenum Co Ltd-A A 45,000 324,914 0.35 China Northern Rare Earth Group Hi-Tech Co Ltd-A 38,500 511,687 0.55 A China Pacific Insurance (Group) Co Ltd-A 57,982 2,132,422 2.29 A China Petroleum & Chemical Corp-A 194,000 1,481,241 1.59 A China Railway Construction Corp Ltd-A 79,500 794,571 0.85 A China Railway Group Ltd-A A 102,529 906,826 0.98 China Shenhua Energy Co Ltd-A A 30,500 710,560 0.76 China Shipbuilding Industry Co Ltd-A 153,500 718,859 0.77 A China Southern Airlines Co Ltd-A A 70,000 683,854 0.74 81

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (continued) China State Construction Engineering Corp Ltd-A 267,000 2,440,641 2.62 A China United Network Communications Ltd-A 129,500 738,504 0.79 A CITIC Securities Co Ltd-A A 140,000 2,683,961 2.89 CRRC Corp Ltd-A A 140,000 1,261,478 1.36 Daqin Railway Co Ltd-A A 104,027 996,542 1.07 Greenland Hldgs Corp Ltd-A A 72,500 553,557 0.60 Guotai Junan Securities Co Ltd-A A 64,026 1,126,493 1.21 Huatai Securities Co Ltd-A A 58,000 986,087 1.06 Industrial & Commercial Bank of China Ltd-A 381,500 2,347,470 2.52 A Industrial Bank Co Ltd-A A 225,000 3,795,995 4.08 Inner Mongolia Yili Industrial Group Co Ltd-A 107,500 3,441,204 3.70 A Jiangsu Hengrui Medicine Co Ltd-A 39,447 3,406,140 3.66 A Kweichow Moutai Co Ltd-A A 9,000 7,586,228 8.16 New China Life Insurance Co Ltd-A 12,000 593,559 0.64 A Orient Securities Co Ltd-A A 58,000 618,883 0.67 Petrochina Co Ltd-A A 120,000 1,094,072 1.18 Ping An Insurance Group Co of China Ltd-A 191,600 12,900,471 13.87 A Poly Real Estate Group Co Ltd-A 125,500 1,745,340 1.88 A Qingdao Haier Co Ltd-A A 64,000 1,384,781 1.49 SAIC Motor Corp Ltd-A A 65,000 2,617,093 2.81 Sanan Optoelectronics Co Ltd-A A 41,500 885,151 0.95 Shandong Gold Mining Co Ltd-A A 12,000 335,762 0.36 Shanghai Pudong Development Bank Co Ltd-A A 213,000 2,396,536 2.58 82

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs INVESTMENT PORTFOLIO (UNAUDITED) (continued) AS AT 28TH JUNE 2018 # # % of net asset value Securities name Fair value (%) Listed equities (continued) Wanhua Chemical Group Co Ltd-A A 29,000 1,482,225 1.59 92,410,909 99.37 Total investment A Shares A 92,410,909 99.37 Other net assets 586,548 0.63 Net assets value as at 28 June 2018 # # 92,997,457 100.00 Total investments, at cost 101,901,677 # 28 June 2018 is the last dealing day of June 2018 # 83

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities Additions Bonus Disposals # China Agricultural Bank of China Ltd-A A Anhui Conch Cement Co Ltd-A A Bank of Beijing Co Ltd-A A Bank of China Ltd-A A Bank of Communications Co Ltd-A A Bank of Jiangsu Co Ltd-A A Bank of Shanghai Co Ltd-A A Baoshan Iron & Steel Co Ltd-A A Beijing Xinwei Technology Group Co Ltd-A A China Communications Construction Co Ltd-A A China Everbright Bank Co Ltd-A A China Fortune Land Development Co Ltd-A A China Life Insurance Co Ltd-A A China Merchants Bank Co Ltd-A A China Merchants Securities Co Ltd-A A China Minsheng Banking Corp Ltd-A A China Molybdenum Co Ltd-A A 711,500 711,500 35,000 35,000 303,600 21,400 (63,500) 261,500 270,500 134,500 405,000 504,491 (24,491) 480,000 138,000 (138,000) 30,000 38,000 68,000 159,993 159,993 47,000 47,000 23,000 23,000 192,500 60,000 252,500 21,500 21,500 41,500 (10,000) 31,500 190,800 9,200 (17,000) 183,000 48,000 48,000 460,000 (43,000) 417,000 45,000 45,000 84

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (continued) Additions Bonus Disposals # China National Nuclear Power Co Ltd-A A China Northern Rare Earth Group Hi-Tech Co Ltd-A A China Pacific Insurance (Group) Co Ltd-A A China Petroleum & Chemical Corp-A A China Railway Construction Corp Ltd-A A China Railway Group Ltd-A A China Shenhua Energy Co Ltd-A A China Shipbuilding Industry Co Ltd-A A China Southern Airlines Co Ltd-A A China State Construction Engineering Corp Ltd-A A China United Network Communications Ltd-A A CITIC Securities Co Ltd-A A CRRC Corp Ltd-A A Daqin Railway Co Ltd-A A Greenland Hldgs Corp Ltd-A A Guotai Junan Securities Co Ltd-A A Haitong Securities Co Ltd-A A 106,500 (106,500) 38,500 38,500 57,982 57,982 194,000 194,000 79,500 79,500 102,529 102,529 30,500 30,500 153,500 153,500 105,000 (35,000) 70,000 267,000 267,000 69,500 60,000 129,500 155,415 (15,415) 140,000 140,000 140,000 72,027 32,000 104,027 72,500 72,500 49,026 15,000 64,026 150,000 (150,000) 85

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (continued) Additions Bonus Disposals # Huatai Securities Co Ltd-A A Industrial & Commercial Bank of China Ltd-A A Industrial Bank Co Ltd-A A Inner Mongolia Yili Industrial Group Co Ltd-A A Jiangsu Hengrui Medicine Co Ltd-A A Kangmei Pharmaceutical Co Ltd-A A Kweichow Moutai Co Ltd-A A New China Life Insurance Co Ltd-A A Orient Securities Co Ltd-A A Petrochina Co Ltd-A A Ping An Insurance Group Co of China Ltd-A A Poly Real Estate Group Co Ltd-A A Power Construction Corp of China Ltd-A A Qingdao Haier Co Ltd-A A SAIC Motor Corp Ltd-A A Sanan Optoelectronics Co Ltd-A A 41,000 17,000 58,000 469,000 (87,500) 381,500 247,500 (22,500) 225,000 116,500 5,500 (14,500) 107,500 39,447 39,447 61,500 9,000 (70,500) 10,500 (1,500) 9,000 26,902 (14,902) 12,000 58,000 58,000 91,000 29,000 120,000 204,500 (12,900) 191,600 107,000 18,500 125,500 75,000 (75,000) 64,000 64,000 65,000 65,000 41,500 41,500 86

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs STATEMENT OF MOVEMENTS IN PORTFOLIO HOLDINGS (UNAUDITED) (continued) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # Securities name as at as at 01.01.2018 28.06.2018 # Listed equities (continued) Additions Bonus Disposals # Shandong Gold Mining Co Ltd-A A Shanghai Pudong Development Bank Co Ltd-A A Wanhua Chemical Group Co Ltd-A A 12,000 12,000 248,085 (35,085) 213,000 22,000 7,000 29,000 # 28 June 2018 is the last dealing day of June 2018 # 87

W.I.S.E.-SSE 50 CHINA TRACKER 50 ETFs PERFORMANCE TABLE (UNAUDITED) FOR THE PERIOD FROM 1ST JANUARY 2018 TO 28TH JUNE 2018 # # 1. NET ASSET VALUE Net asset value Net per unit At the end of financial year/period asset value 28 June 2018 # # 92,997,457 23.2494 31 December 2017 109,323,023 27.3308 2. HIGHEST ISSUE/LOWEST REDEMPTION PRICE PER UNIT Highest Lowest issue redemption unit price unit price Financial year/period ended 28 June 2018 # # 31.3457 23.2494 31 December 2017 28.5948 20.5704 # 28 June 2018 is the last dealing day of June 2018 # Any opinion contained in this Interim Report represents the Manager s view as at the date of this report and is given in good faith but is subject to change without notice. The information contained in this Interim Report does not constitute recommendation nor is it intended to provide any investment advice. Investors should refer to the Prospectus of the relevant sub-fund for further details (including risk factors, fees and charges and other fund information). The Prospectus of the relevant sub-fund is available for viewing on the website of the Manager at www.boci-pru.com.hk. Information contained in the Manager s website has not been reviewed by the SFC. www.boci-pru.com.hk 88

[This page is intentionally left blank]

[This page is intentionally left blank]

[This page is intentionally left blank]

BOCI-Prudential Asset Management