See
notes
to
financial
statements.
iShares
MSCI
Australia
ETF
iShares
MSCI
Mexico
ETF
iShares
MSCI
Turkey
ETF
iShares
MSCI
USA
Equal
Weighted
ETF
ASSETS
Investments,
at
value
—
unaffiliated
(a)
(b)
.....................................
$
1,528,750,604
$
1,785,796,110
$
174,086,346
$
1,558,667,429
Investments,
at
value
—
affiliated
(c)
........................................
1,429,115
20,075,152
13,965,883
33,186,242
Cash
............................................................
82,445
—
—
7,273
Cash
pledged:
Futures
contracts
..................................................
—
—
—
237,000
Foreign
currency
collateral
pledged:
(d)
Futures
contracts
..................................................
630,235
346,433
—
—
Foreign
currency,
at
value
(e)
.............................................
2,054,361
4,324,528
26,071
—
Receivables:
Investments
sold
..................................................
—
—
523,215
—
Securities
lending
income
—
affiliated
....................................
155
20,955
21,414
4,431
Dividends
—
unaffiliated
.............................................
7,089,621
—
17,237
1,870,236
Dividends
—
affiliated
...............................................
1,205
1,239
195
9,387
Interest
—
unaffiliated
...............................................
129,587
24,406
—
—
From
custodian
...................................................
—
—
4,624,461
—
Variation
margin
on
futures
contracts
.....................................
625
—
—
—
Total
assets
.......................................................
1,540,167,953
1,810,588,823
193,264,822
1,593,981,998
LIABILITIES
Bank
overdraft
......................................................
—
—
4,593,748
—
Collateral
on
securities
loaned
...........................................
948,143
19,382,869
13,964,963
28,527,095
Payables:
Investments
purchased
..............................................
—
1,509
146,140
—
Capital
shares
redeemed
.............................................
288,048
1,848
—
—
Investment
advisory
fees
.............................................
628,430
735,201
83,780
117,704
Variation
margin
on
futures
contracts
.....................................
—
49,965
312
20,410
Total
liabilities
......................................................
1,864,621
20,171,392
18,788,943
28,665,209
Commitments
and
contingent
liabilities
NET
ASSETS
......................................................
$
1,538,303,332
$
1,790,417,431
$
174,475,879
$
1,565,316,789
NET
ASSETS
CONSIST
OF:
Paid-in
capital
......................................................
$
2,042,985,989
$
2,518,257,591
$
505,007,037
$
1,417,921,141
Accumulated
earnings
(loss)
............................................
(
504,682,657
)
(
727,840,160
)
(
330,531,158
)
147,395,648
NET
ASSETS
......................................................
$
1,538,303,332
$
1,790,417,431
$
174,475,879
$
1,565,316,789
NET
ASSET
VALUE
Shares
outstanding
..................................................
56,800,000
28,900,000
4,950,000
15,250,000
Net
asset
value
.....................................................
$
27.08
$
61.95
$
35.25
$
102.64
Shares
authorized
...................................................
1
billion
255
million
200
million
500
million
Par
value
.........................................................
$ 0.001
$ 0.001
$ 0.001
$ 0.001
(a)
Securities
loaned,
at
value
...........................................
$
901,816
$
18,477,587
$
11,943,998
$
27,751,776
(b)
Investments,
at
cost
—
unaffiliated
......................................
$
1,533,917,294
$
1,961,321,493
$
178,751,444
$
1,347,050,792
(c)
Investments,
at
cost
—
affiliated
........................................
$
1,429,027
$
20,071,692
$
13,965,097
$
32,457,733
(d)
Foreign
currency
collateral
pledged,
at
cost
................................
$
626,329
$
347,970
$
—
$
—
(e)
Foreign
currency,
at
cost
.............................................
$
2,051,509
$
4,326,053
$
26,071
$
—