0001193125-18-181596.txt : 20180601 0001193125-18-181596.hdr.sgml : 20180601 20180601142452 ACCESSION NUMBER: 0001193125-18-181596 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 4 CONFORMED PERIOD OF REPORT: 20180331 FILED AS OF DATE: 20180601 DATE AS OF CHANGE: 20180601 EFFECTIVENESS DATE: 20180601 FILER: COMPANY DATA: COMPANY CONFORMED NAME: SPDR INDEX SHARES FUNDS (Formerly streetTRACKS Index Shares Funds) CENTRAL INDEX KEY: 0001168164 IRS NUMBER: 421537593 STATE OF INCORPORATION: MA FISCAL YEAR END: 0930 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-21145 FILM NUMBER: 18874558 BUSINESS ADDRESS: STREET 1: ONE LINCOLN STREET CITY: BOSTON STATE: MA ZIP: 02111 BUSINESS PHONE: 617-664-7037 MAIL ADDRESS: STREET 1: ONE LINCOLN STREET CITY: BOSTON STATE: MA ZIP: 02111 FORMER COMPANY: FORMER CONFORMED NAME: STREETTRACKS INDEX SHARES FUNDS (Formerly Fresco Index Shares Funds) DATE OF NAME CHANGE: 20041202 FORMER COMPANY: FORMER CONFORMED NAME: FRESCO INDEX SHARES FUNDS DATE OF NAME CHANGE: 20020225 0001168164 S000006391 SPDR(R) STOXX Europe 50(R) ETF C000017549 SPDR(R) STOXX Europe 50(R) ETF FEU 0001168164 S000006392 SPDR(R) EURO STOXX 50(R) ETF C000017550 SPDR(R) EURO STOXX 50(R) ETF FEZ 0001168164 S000014038 SPDR(R) Portfolio Developed World ex-US ETF C000038337 SPDR(R) Portfolio Developed World ex-US ETF SPDW 0001168164 S000014039 SPDR(R) S&P(R) International Small Cap ETF C000038338 SPDR(R) S&P(R) International Small Cap ETF GWX 0001168164 S000014040 SPDR(R) Dow Jones International Real Estate ETF C000038339 SPDR(R) Dow Jones International Real Estate ETF RWX 0001168164 S000014041 SPDR(R) S&P GLOBAL INFRASTRUCTURE ETF C000038340 SPDR(R) S&P GLOBAL INFRASTRUCTURE ETF GII 0001168164 S000014042 SPDR(R) MSCI ACWI EX-US ETF C000038341 SPDR(R) MSCI ACWI EX-US ETF CWI 0001168164 S000014046 SPDR(R) S&P(R) EMERGING ASIA PACIFIC ETF C000038345 SPDR(R) S&P(R) EMERGING ASIA PACIFIC ETF GMF 0001168164 S000014047 SPDR(R) S&P(R) CHINA ETF C000038346 SPDR(R) S&P(R) CHINA ETF GXC 0001168164 S000014048 SPDR(R) Portfolio Emerging Markets ETF C000038347 SPDR(R) Portfolio Emerging Markets ETF SPEM 0001168164 S000020665 SPDR (R) S&P (R) International Dividend ETF C000057694 SPDR (R) S&P (R) International Dividend ETF DWX 0001168164 S000021247 SPDR(R) S&P(R) EMERGING MARKETS SMALL CAP ETF C000060582 SPDR(R) S&P(R) EMERGING MARKETS SMALL CAP ETF EWX 0001168164 S000021764 SPDR(R) Dow Jones Global Real Estate ETF C000062489 SPDR(R) Dow Jones Global Real Estate ETF RWO 0001168164 S000030037 SPDR(R) S&P(R) Global Natural Resources ETF C000092104 SPDR(R) S&P(R) Global Natural Resources ETF GNR 0001168164 S000031174 SPDR(R) S&P(R) Emerging Markets Dividend ETF C000096745 SPDR(R) S&P(R) Emerging Markets Dividend ETF EDIV 0001168164 S000036082 SPDR(R) MSCI ACWI IMI ETF C000110424 SPDR(R) MSCI ACWI IMI ETF ACIM 0001168164 S000040740 SPDR S&P Global Dividend ETF C000126352 SPDR S&P Global Dividend ETF WDIV 0001168164 S000045386 SPDR MSCI EAFE StrategicFactors ETF C000141272 SPDR MSCI EAFE StrategicFactors ETF QEFA 0001168164 S000045387 SPDR MSCI Emerging Markets StrategicFactors ETF C000141273 SPDR MSCI Emerging Markets StrategicFactors ETF QEMM 0001168164 S000045388 SPDR MSCI World StrategicFactors ETF C000141274 SPDR MSCI World StrategicFactors ETF QWLD 0001168164 S000045445 SPDR EURO STOXX Small Cap ETF C000141515 SPDR EURO STOXX Small Cap ETF SMEZ 0001168164 S000045596 SPDR MSCI United Kingdom StrategicFactors ETF C000141856 SPDR MSCI United Kingdom StrategicFactors ETF QGBR 0001168164 S000045597 SPDR MSCI Canada StrategicFactors ETF C000141857 SPDR MSCI Canada StrategicFactors ETF QCAN 0001168164 S000045600 SPDR MSCI Germany StrategicFactors ETF C000141860 SPDR MSCI Germany StrategicFactors ETF QDEU 0001168164 S000045601 SPDR MSCI Japan StrategicFactors ETF C000141861 SPDR MSCI Japan StrategicFactors ETF QJPN 0001168164 S000046160 SPDR MSCI China A Shares IMI ETF C000144420 SPDR MSCI China A Shares IMI ETF XINA 0001168164 S000047509 SPDR MSCI ACWI Low Carbon Target ETF C000149166 SPDR MSCI ACWI Low Carbon Target ETF LOWC 0001168164 S000052050 SPDR S&P North American Natural Resources ETF C000163789 SPDR S&P North American Natural Resources ETF NANR 0001168164 S000053083 SPDR MSCI EAFE Fossil Fuel Reserves Free ETF C000167041 SPDR MSCI EAFE Fossil Fuel Reserves Free ETF EFAX 0001168164 S000053084 SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF C000167042 SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF EEMX N-CSRS 1 d512793dncsrs.htm SPDR INDEX SHARES FUNDS SPDR INDEX SHARES FUNDS
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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

FORM N-CSR

 

 

CERTIFIED SHAREHOLDER REPORT OF REGISTERED

MANAGEMENT INVESTMENT COMPANIES

Investment Company Act file number: 811-21145

 

 

SPDR® INDEX SHARES FUNDS

(Exact name of registrant as specified in charter)

 

 

One Iron Street, Boston, Massachusetts, 02210

(Address of principal executive offices) (zip code)

 

 

Joshua A. Weinberg, Esq.

Managing Director and Managing Counsel

c/o SSGA Funds Management, Inc.

One Iron Street

Boston, Massachusetts 02210

(Name and address of agent for service)

Copy to:

W. John McGuire, Esq.

Morgan, Lewis & Bockius LLP

1111 Pennsylvania Avenue, N.W.

Washington, DC 20004

 

 

Registrant’s telephone number, including area code: (617) 664-7037

Date of fiscal year end: September 30

Date of reporting period: March 31, 2018

 

 

 


Table of Contents

Item 1. Report to Shareholders.

 


Table of Contents

Semi-Annual Report

March 31, 2018

 

SPDR® Index Shares Funds

SPDR Dow Jones Global Real Estate ETF

SPDR Dow Jones International Real Estate ETF

SPDR S&P China ETF

SPDR S&P Global Natural Resources ETF

SPDR S&P International Small Cap ETF

SPDR S&P North American Natural Resources ETF

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

LOGO


Table of Contents


Table of Contents

TABLE OF CONTENTS (UNAUDITED)

 

 

Portfolio Statistics (Unaudited)

 

SPDR Dow Jones Global Real Estate ETF (RWO)

    1  

SPDR Dow Jones International Real Estate ETF (RWX)

    2  

SPDR S&P China ETF (GXC)

    3  

SPDR S&P Global Natural Resources ETF (GNR)

    4  

SPDR S&P International Small Cap ETF (GWX)

    5  

SPDR S&P North American Natural Resources ETF (NANR)

    6  

Schedules of Investments (Unaudited)

 

SPDR Dow Jones Global Real Estate ETF (RWO)

    7  

SPDR Dow Jones International Real Estate ETF (RWX)

    16  

SPDR S&P China ETF (GXC) (Summary)

    23  

SPDR S&P Global Natural Resources ETF (GNR)

    32  

SPDR S&P International Small Cap ETF (GWX) (Summary)

    38  

SPDR S&P North American Natural Resources ETF (NANR)

    46  

Financial Statements (Unaudited)

    49  

Financial Highlights (Unaudited)

    61  

Notes to Financial Statements (Unaudited)

    67  

Other Information (Unaudited)

    79  

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

 

 

[This Page Intentionally Left Blank]

 


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Simon Property Group, Inc. REIT

      4.4 %  
 

Prologis, Inc. REIT

      3.1  
 

Public Storage REIT

      2.8  
 

Mitsui Fudosan Co., Ltd.

      2.2  
 

AvalonBay Communities, Inc. REIT

      2.1  
 

Equity Residential REIT

      2.1  
 

Unibail-Rodamco SE REIT

      2.1  
 

Digital Realty Trust, Inc. REIT

      2.0  
 

Welltower, Inc. REIT

      1.9  
   

Boston Properties, Inc. REIT

      1.7    
   

TOTAL

      24.4 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Industry Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Real Estate Investment Trusts (REITs)

      87.3 %  
 

Real Estate Management & Development

      11.9  
 

Equity Real Estate Investment Trusts (REITS)

      0.3  
 

Diversified Financial Services

      0.0 *  
 

Short-Term Investments

      1.1  
   

Liabilities in Excess of Other Assets

      (0.6 )    
   

TOTAL

      100.0 %    

 

  *   Amount shown represents less than 0.05% of net assets.

(The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

1


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Mitsui Fudosan Co., Ltd.

      5.1 %  
 

Unibail-Rodamco SE REIT

      4.9  
 

Link REIT

      4.0  
 

Scentre Group REIT

      3.4  
 

Westfield Corp. REIT

      2.7  
 

Goodman Group REIT

      2.2  
 

Land Securities Group PLC REIT

      2.1  
 

British Land Co. PLC REIT

      1.9  
 

Segro PLC REIT

      1.8  
   

Klepierre SA REIT

      1.8    
   

TOTAL

      29.9 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Industry Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Real Estate Investment Trusts (REITs)

      71.8 %  
 

Real Estate Management & Development

      27.6  
 

Diversified Financial Services

      0.0 *  
 

Short-Term Investments

      4.9  
   

Liabilities in Excess of Other Assets

      (4.3 )    
   

TOTAL

      100.0 %    

 

  *   Amount shown represents less than 0.05% of net assets.

(The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

2


Table of Contents

SPDR S&P CHINA ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Tencent Holdings, Ltd.

      15.1 %  
 

Alibaba Group Holding, Ltd. ADR

      11.1  
 

China Construction Bank Corp.

      5.8  
 

Industrial & Commercial Bank of China, Ltd.

      3.5  
 

Baidu, Inc. ADR

      3.2  
 

China Mobile, Ltd.

      2.8  
 

Ping An Insurance Group Co. of China, Ltd.

      2.7  
 

Bank of China, Ltd.

      2.2  
 

JD.com, Inc. ADR

      1.7  
   

CNOOC, Ltd.

      1.3    
   

TOTAL

      49.4 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Information Technology

      36.1 %  
 

Financials

      22.9  
 

Consumer Discretionary

      10.2  
 

Real Estate

      6.4  
 

Industrials

      5.4  
 

Energy

      4.4  
 

Telecommunication Services

      3.7  
 

Health Care

      3.3  
 

Consumer Staples

      3.0  
 

Materials

      2.3  
 

Utilities

      2.2  
 

Short-Term Investments

      1.8  
   

Liabilities in Excess of Other Assets

      (1.7 )    
   

TOTAL

      100.0 %    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

3


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Nutrien, Ltd.

      4.7 %  
 

Exxon Mobil Corp.

      4.2  
 

BHP Billiton, Ltd.

      4.1  
 

TOTAL SA

      3.9  
 

Royal Dutch Shell PLC Class A

      3.9  
 

Glencore PLC

      3.6  
 

BP PLC

      3.6  
 

Monsanto Co.

      3.1  
 

UPM-Kymmene Oyj

      3.0  
   

Chevron Corp.

      2.9    
   

TOTAL

      37.0 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Industry Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Oil, Gas & Consumable Fuels

      32.2 %  
 

Metals & Mining

      31.0  
 

Chemicals

      11.5  
 

Containers & Packaging

      8.5  
 

Paper & Forest Products

      8.2  
 

Food Products

      4.2  
 

Energy Equipment & Services

      1.9  
 

Real Estate Investment Trusts (REITs)

      1.9  
 

Short-Term Investments

      3.5  
   

Liabilities in Excess of Other Assets

      (2.9 )    
   

TOTAL

      100.0 %    

(The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

4


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Nikkon Holdings Co., Ltd.

      0.4 %  
 

SillaJen, Inc.

      0.4  
 

Wihlborgs Fastigheter AB

      0.3  
 

Shochiku Co., Ltd.

      0.3  
 

Jenoptik AG

      0.3  
 

Canopy Growth Corp.

      0.3  
 

Barco NV

      0.3  
 

Toagosei Co., Ltd.

      0.2  
 

Colliers International Group, Inc.

      0.2  
   

Indus Holding AG

      0.2    
   

TOTAL

      2.9 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Industrials

      20.7 %  
 

Consumer Discretionary

      16.9  
 

Information Technology

      12.3  
 

Materials

      10.6  
 

Real Estate

      9.5  
 

Health Care

      8.9  
 

Financials

      8.2  
 

Consumer Staples

      6.0  
 

Energy

      3.8  
 

Utilities

      1.4  
 

Telecommunication Services

      0.7  
 

Short-Term Investments

      10.6  
   

Liabilities in Excess of Other Assets

      (9.6 )    
   

TOTAL

      100.0 %    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

5


Table of Contents

SPDR S&P NORTH AMERICAN NATURAL RESOURCES ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Chevron Corp.

      10.4 %  
 

Exxon Mobil Corp.

      9.9  
 

Monsanto Co.

      6.5  
 

Freeport-McMoRan, Inc.

      5.9  
 

Newmont Mining Corp.

      5.2  
 

Nutrien, Ltd.

      3.9  
 

Barrick Gold Corp.

      3.6  
 

ConocoPhillips

      3.4  
 

Teck Resources, Ltd. Class B

      3.2  
   

Franco-Nevada Corp.

      3.1    
   

TOTAL

      55.1 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Industry Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Oil, Gas & Consumable Fuels

      46.1 %  
 

Metals & Mining

      33.8  
 

Chemicals

      13.9  
 

Food Products

      5.6  
 

Paper & Forest Products

      0.5  
 

Short-Term Investments

      4.3  
   

Liabilities in Excess of Other Assets

      (4.2 )    
   

TOTAL

      100.0 %    

(The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

6


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.5%

   

AUSTRALIA — 5.7%

   

BGP Holdings PLC (a) (b)

    1,313,937     $  

BWP Trust REIT

    1,157,853       2,682,156  

Charter Hall Retail REIT

    793,071       2,342,052  

Dexus REIT

    2,402,555       17,175,640  

Goodman Group REIT

    3,817,553       24,685,181  

GPT Group REIT

    4,272,067       15,532,454  

Investa Office Fund REIT

    1,195,545       3,952,454  

Scentre Group REIT

    12,685,450       37,267,333  

Vicinity Centres REIT

    7,648,020       14,138,057  

Westfield Corp. REIT

    4,553,743       29,759,921  
   

 

 

 
      147,535,248  
   

 

 

 

AUSTRIA — 0.5%

   

CA Immobilien Anlagen AG

    173,521       5,791,808  

IMMOFINANZ AG

    2,304,159       5,990,592  
   

 

 

 
      11,782,400  
   

 

 

 

BELGIUM — 0.2%

   

Cofinimmo SA REIT

    46,606       6,041,360  
   

 

 

 

BRAZIL — 0.3%

   

BR Malls Participacoes SA

    2,073,121       7,266,777  
   

 

 

 

CANADA — 1.4%

   

Artis Real Estate Investment Trust

    173,554       1,829,435  

Boardwalk Real Estate Investment Trust

    53,836       1,848,610  

Canadian Apartment Properties REIT

    163,012       4,697,224  

Canadian Real Estate Investment Trust

    86,188       3,356,602  

Dream Office Real Estate Investment Trust

    84,625       1,532,669  

First Capital Realty, Inc. (c)

    393,638       6,213,328  

H&R Real Estate Investment Trust

    336,998       5,497,047  

RioCan Real Estate Investment Trust

    375,552       6,886,212  

SmartCentres Real Estate Investment Trust

    153,793       3,472,495  
   

 

 

 
      35,333,622  
   

 

 

 

FRANCE — 4.3%

   

Fonciere Des Regions REIT

    127,354       14,041,554  

Gecina SA REIT

    114,627       19,891,441  

Klepierre SA REIT

    494,061       19,899,592  

Mercialys SA REIT

    132,805       2,549,586  

Unibail-Rodamco SE REIT

    236,676       54,038,275  
   

 

 

 
      110,420,448  
   

 

 

 

 

See accompanying notes to financial statements.

 

7


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

Security Description

 

Shares

   

Value

 

GERMANY — 1.0%

   

Deutsche EuroShop AG

    120,044     $ 4,399,558  

Grand City Properties SA

    250,344       5,979,140  

LEG Immobilien AG

    149,415       16,784,465  
   

 

 

 
      27,163,163  
   

 

 

 

HONG KONG — 3.3%

   

Champion REIT

    4,881,462       3,476,852  

Hang Lung Properties, Ltd.

    4,846,018       11,287,184  

Hongkong Land Holdings, Ltd.

    2,801,000       19,298,890  

Hysan Development Co., Ltd.

    1,216,731       6,433,793  

Link REIT

    5,169,682       44,132,958  
   

 

 

 
      84,629,677  
   

 

 

 

ITALY — 0.1%

   

Beni Stabili SpA SIIQ

    2,436,157       2,025,370  
   

 

 

 

JAPAN — 11.9%

   

Activia Properties, Inc. REIT

    1,670       7,451,011  

Advance Residence Investment Corp. REIT

    3,209       8,134,898  

Aeon Mall Co., Ltd.

    269,900       5,611,179  

AEON REIT Investment Corp.

    3,534       3,728,395  

Daiwa House REIT Investment Corp.

    4,096       9,875,077  

Daiwa Office Investment Corp.

    743       4,296,615  

Frontier Real Estate Investment Corp.

    1,194       4,895,007  

Fukuoka REIT Corp.

    1,930       3,014,321  

GLP J - REIT

    8,042       8,870,020  

Heiwa Real Estate Co., Ltd.

    79,000       1,508,688  

Hoshino Resorts REIT, Inc.

    510       2,680,677  

Hulic Co., Ltd.

    1,151,300       12,427,761  

Hulic Reit, Inc.

    2,338       3,561,410  

Industrial & Infrastructure Fund Investment Corp. REIT

    4,048       4,537,110  

Invincible Investment Corp. REIT

    9,993       4,594,807  

Japan Excellent, Inc.

    3,134       4,051,951  

Japan Hotel REIT Investment Corp.

    9,527       6,736,534  

Japan Logistics Fund, Inc. REIT

    2,193       4,429,303  

Japan Prime Realty Investment Corp. REIT

    2,193       7,938,928  

Japan Real Estate Investment Corp. REIT

    3,116       16,144,015  

Japan Rental Housing Investments, Inc.

    3,949       3,044,833  

Japan Retail Fund Investment Corp. REIT

    6,228       12,063,639  

Kenedix Office Investment Corp. REIT

    961       5,846,422  

Kenedix Residential Next Investment Corp.

    1,900       2,713,775  

Kenedix Retail REIT Corp.

    1,217       2,649,135  

Leopalace21 Corp.

    598,900       4,876,797  

MCUBS MidCity Investment Corp.

    3,964       2,892,397  

 

See accompanying notes to financial statements.

 

8


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Mitsui Fudosan Co., Ltd.

    2,362,600     $ 56,249,207  

Mori Hills REIT Investment Corp.

    3,528       4,465,151  

Mori Trust Sogo REIT, Inc.

    2,314       3,398,654  

Nippon Building Fund, Inc. REIT

    3,362       18,588,209  

Nippon Prologis REIT, Inc.

    5,190       11,229,140  

Nomura Real Estate Master Fund, Inc.

    9,954       13,824,220  

NTT Urban Development Corp.

    259,700       3,142,773  

Orix JREIT, Inc. REIT

    6,373       9,899,573  

Premier Investment Corp.

    3,156       3,317,732  

Tokyu Fudosan Holdings Corp.

    1,218,700       8,674,715  

Tokyu REIT, Inc.

    2,355       3,193,145  

United Urban Investment Corp. REIT

    7,267       11,356,609  

Unizo Holdings Co., Ltd.

    54,000       1,310,014  
   

 

 

 
      307,223,847  
   

 

 

 

MEXICO — 0.4%

   

Fibra Uno Administracion SA de CV REIT

    7,856,870       11,776,589  
   

 

 

 

NETHERLANDS — 0.3%

   

Eurocommercial Properties NV

    118,130       4,875,672  

Wereldhave NV (c)

    97,344       3,718,458  
   

 

 

 
      8,594,130  
   

 

 

 

PHILIPPINES — 0.7%

   

SM Prime Holdings, Inc.

    27,657,100       17,862,954  
   

 

 

 

ROMANIA — 0.5%

   

NEPI Rockcastle PLC (c)

    1,382,467       13,417,762  
   

 

 

 

SINGAPORE — 2.8%

   

Ascendas REIT

    5,752,020       11,536,500  

CapitaLand Commercial Trust

    6,230,508       8,695,058  

CapitaLand Mall Trust REIT

    6,461,104       10,248,681  

CapitaLand, Ltd.

    6,053,551       16,480,727  

Keppel REIT (c)

    4,335,612       4,000,679  

Mapletree Commercial Trust REIT

    4,569,700       5,471,234  

Mapletree Industrial Trust

    2,904,800       4,496,869  

Mapletree Logistics Trust

    4,945,073       4,638,481  

Suntec Real Estate Investment Trust

    5,343,995       7,702,395  
   

 

 

 
      73,270,624  
   

 

 

 

SOUTH AFRICA — 1.3%

   

Growthpoint Properties, Ltd. REIT

    6,589,638       15,800,115  

Hyprop Investments, Ltd.

    597,804       5,460,015  

Redefine Properties, Ltd. REIT

    12,636,271       12,360,323  
   

 

 

 
      33,620,453  
   

 

 

 

 

See accompanying notes to financial statements.

 

9


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SPAIN — 0.8%

   

Inmobiliaria Colonial Socimi SA REIT

    765,708     $ 8,852,039  

Martinsa Fadesa SA (a) (b)

    178        

Merlin Properties Socimi SA

    793,477       12,139,674  
   

 

 

 
      20,991,713  
   

 

 

 

SWEDEN — 0.8%

   

Castellum AB (c)

    654,891       10,674,001  

Fabege AB

    334,008       7,210,757  

Kungsleden AB

    450,307       2,997,637  
   

 

 

 
      20,882,395  
   

 

 

 

SWITZERLAND — 1.0%

   

PSP Swiss Property AG

    96,805       9,421,706  

Swiss Prime Site AG (b)

    170,147       16,426,577  
   

 

 

 
      25,848,283  
   

 

 

 

THAILAND — 0.3%

   

Central Pattana PCL NVDR

    3,186,300       7,998,866  
   

 

 

 

UNITED KINGDOM — 5.0%

   

British Land Co. PLC REIT

    2,366,553       21,313,119  

Capital & Counties Properties PLC

    1,787,083       6,818,823  

Derwent London PLC

    263,535       11,467,688  

Grainger PLC

    999,171       4,050,731  

Great Portland Estates PLC REIT

    669,110       6,250,324  

Hammerson PLC REIT

    1,887,349       14,206,878  

Intu Properties PLC REIT

    2,075,178       6,046,271  

Land Securities Group PLC REIT

    1,789,133       23,519,296  

Segro PLC REIT

    2,367,334       19,965,227  

Shaftesbury PLC

    584,193       8,047,548  

UNITE Group PLC REIT

    626,708       6,958,440  
   

 

 

 
      128,644,345  
   

 

 

 

UNITED STATES — 56.9%

   

Acadia Realty Trust REIT

    198,560       4,884,576  

Alexandria Real Estate Equities, Inc. REIT

    241,141       30,116,099  

American Assets Trust, Inc. REIT

    99,575       3,326,801  

American Campus Communities, Inc. REIT

    325,331       12,564,283  

American Homes 4 Rent Class A, REIT

    598,825       12,024,406  

Apartment Investment & Management Co. Class A, REIT

    376,125       15,327,094  

Apple Hospitality REIT, Inc.

    502,774       8,833,739  

Ashford Hospitality Prime, Inc. REIT

    81,436       791,558  

Ashford Hospitality Trust, Inc. REIT

    218,546       1,411,807  

AvalonBay Communities, Inc. REIT

    329,011       54,109,149  

Boston Properties, Inc. REIT

    367,727       45,311,321  

 

See accompanying notes to financial statements.

 

10


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Brandywine Realty Trust REIT

    415,948     $ 6,605,254  

Brixmor Property Group, Inc. REIT

    724,813       11,053,398  

Camden Property Trust REIT

    220,609       18,570,866  

CBL & Associates Properties, Inc. REIT (c)

    410,614       1,712,260  

Cedar Realty Trust, Inc. REIT

    183,980       724,881  

Chatham Lodging Trust REIT

    106,583       2,041,064  

Chesapeake Lodging Trust REIT

    144,331       4,013,845  

Columbia Property Trust, Inc. REIT

    284,545       5,821,791  

Corporate Office Properties Trust REIT

    239,944       6,197,753  

Cousins Properties, Inc. REIT

    1,007,167       8,742,210  

CubeSmart REIT

    433,501       12,224,728  

DCT Industrial Trust, Inc. REIT

    223,163       12,573,003  

DDR Corp. REIT

    735,629       5,392,161  

DiamondRock Hospitality Co. REIT

    475,691       4,966,214  

Digital Realty Trust, Inc. REIT

    489,526       51,586,250  

Douglas Emmett, Inc. REIT

    379,338       13,944,465  

Duke Realty Corp. REIT

    850,151       22,511,998  

Easterly Government Properties, Inc. REIT (c)

    106,378       2,170,111  

EastGroup Properties, Inc. REIT

    82,865       6,849,621  

Education Realty Trust, Inc. REIT

    181,889       5,956,865  

Equity Commonwealth REIT (b)

    297,626       9,128,189  

Equity LifeStyle Properties, Inc. REIT

    210,344       18,461,893  

Equity Residential REIT

    877,338       54,061,568  

Essex Property Trust, Inc. REIT

    157,353       37,871,720  

Extra Space Storage, Inc. REIT

    300,152       26,221,279  

Federal Realty Investment Trust REIT

    174,622       20,275,360  

First Industrial Realty Trust, Inc. REIT

    285,576       8,347,386  

Forest City Realty Trust, Inc. Class A, REIT

    634,685       12,858,718  

Franklin Street Properties Corp. REIT

    256,684       2,158,712  

GGP, Inc. REIT

    1,498,641       30,662,195  

HCP, Inc. REIT

    1,118,088       25,973,184  

Healthcare Realty Trust, Inc. REIT

    299,477       8,298,508  

Hersha Hospitality Trust REIT (c)

    87,769       1,571,065  

Highwoods Properties, Inc. REIT

    247,369       10,839,710  

Hospitality Properties Trust REIT

    391,659       9,924,639  

Host Hotels & Resorts, Inc. REIT

    1,748,868       32,598,899  

Hudson Pacific Properties, Inc. REIT

    369,337       12,014,533  

Independence Realty Trust, Inc. REIT

    196,864       1,807,212  

Invitation Homes, Inc. REIT

    678,736       15,495,543  

JBG SMITH Properties REIT

    221,878       7,479,507  

Kilroy Realty Corp. REIT

    235,597       16,717,963  

Kimco Realty Corp. REIT

    1,012,595       14,581,368  

Kite Realty Group Trust REIT

    197,665       3,010,438  

LaSalle Hotel Properties REIT

    268,926       7,801,543  

 

See accompanying notes to financial statements.

 

11


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Liberty Property Trust REIT

    350,909     $ 13,941,615  

Life Storage, Inc. REIT

    110,510       9,229,795  

LTC Properties, Inc. REIT

    95,595       3,632,610  

Macerich Co. REIT

    258,008       14,453,608  

Mack-Cali Realty Corp. REIT

    217,404       3,632,821  

Mid-America Apartment Communities, Inc. REIT

    270,660       24,695,018  

National Storage Affiliates Trust REIT

    119,428       2,995,254  

NorthStar Realty Europe Corp. REIT

    133,930       1,743,769  

Paramount Group, Inc. REIT

    484,770       6,903,125  

Park Hotels & Resorts, Inc. REIT

    478,815       12,937,581  

Pebblebrook Hotel Trust REIT (c)

    163,572       5,618,698  

Pennsylvania Real Estate Investment Trust (c)

    166,343       1,605,210  

Piedmont Office Realty Trust, Inc. Class A, REIT

    320,522       5,637,982  

Prologis, Inc. REIT

    1,270,453       80,025,834  

PS Business Parks, Inc. REIT

    47,234       5,339,331  

Public Storage REIT

    357,079       71,555,061  

QTS Realty Trust, Inc. Class A, REIT

    121,244       4,391,458  

Quality Care Properties, Inc. REIT (b)

    222,364       4,320,533  

Ramco-Gershenson Properties Trust REIT

    189,928       2,347,510  

Regency Centers Corp. REIT

    353,840       20,869,483  

Retail Opportunity Investments Corp. REIT (c)

    265,249       4,686,950  

Retail Properties of America, Inc. Class A, REIT

    539,306       6,288,308  

Rexford Industrial Realty, Inc. REIT

    187,821       5,407,367  

RLJ Lodging Trust REIT

    419,020       8,145,749  

Ryman Hospitality Properties, Inc. REIT

    121,706       9,426,130  

Saul Centers, Inc. REIT

    29,773       1,517,530  

Senior Housing Properties Trust REIT

    569,607       8,920,046  

Seritage Growth Properties Class A, REIT (c)

    62,604       2,225,572  

Simon Property Group, Inc. REIT

    741,662       114,475,530  

SL Green Realty Corp. REIT

    215,055       20,823,776  

Summit Hotel Properties, Inc. REIT

    252,408       3,435,273  

Sun Communities, Inc. REIT

    188,887       17,258,605  

Sunstone Hotel Investors, Inc. REIT

    540,428       8,225,314  

Tanger Factory Outlet Centers, Inc. REIT (c)

    225,344       4,957,568  

Taubman Centers, Inc. REIT

    145,586       8,285,299  

Tier REIT, Inc.

    114,270       2,111,710  

UDR, Inc. REIT

    638,643       22,748,464  

Universal Health Realty Income Trust REIT

    30,374       1,825,477  

Urban Edge Properties REIT

    251,008       5,359,021  

Ventas, Inc. REIT

    848,636       42,032,941  

Vornado Realty Trust REIT

    411,792       27,713,602  

Washington Prime Group, Inc. REIT (c)

    438,668       2,925,916  

Washington Real Estate Investment Trust

    186,752       5,098,330  

Weingarten Realty Investors REIT

    286,404       8,042,224  

 

See accompanying notes to financial statements.

 

12


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Welltower, Inc. REIT

    882,543     $ 48,036,815  

Xenia Hotels & Resorts, Inc. REIT

    253,125       4,991,625  
   

 

 

 
      1,471,362,141  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $2,519,804,676)

      2,573,692,167  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.1%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    2,854,482       2,854,482  

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    25,171,435       25,171,435  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $28,025,917)

      28,025,917  
   

 

 

 

TOTAL INVESTMENTS — 100.6%
(Cost $2,547,830,593)

      2,601,718,084  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (0.6)%

      (14,820,924
   

 

 

 

NET ASSETS — 100.0%

    $ 2,586,897,160  
   

 

 

 

 

(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) Non-income producing security.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

NVDR =Non Voting Depositary Receipt

REIT =Real Estate Investment Trust

 

See accompanying notes to financial statements.

 

13


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 147,535,248     $     $ 0 (a)     $ 147,535,248

Austria

      11,782,400                   11,782,400

Belgium

      6,041,360                   6,041,360

Brazil

      7,266,777                   7,266,777

Canada

      35,333,622                   35,333,622

France

      110,420,448                   110,420,448

Germany

      27,163,163                   27,163,163

Hong Kong

      84,629,677                   84,629,677

Italy

      2,025,370                   2,025,370

Japan

      307,223,847                   307,223,847

Mexico

      11,776,589                   11,776,589

Netherlands

      8,594,130                   8,594,130

Philippines

      17,862,954                   17,862,954

Romania

      13,417,762                   13,417,762

Singapore

      73,270,624                   73,270,624

South Africa

      33,620,453                   33,620,453

Spain

      20,991,713             0 (a)       20,991,713

Sweden

      20,882,395                   20,882,395

Switzerland

      25,848,283                   25,848,283

Thailand

      7,998,866                   7,998,866

United Kingdom

      128,644,345                   128,644,345

United States

      1,471,362,141                   1,471,362,141

Short-Term Investments

      28,025,917                   28,025,917
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 2,601,718,084     $     $ 0     $ 2,601,718,084
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

See accompanying notes to financial statements.

 

14


Table of Contents

SPDR DOW JONES GLOBAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      3,970,115       $3,970,115       $110,230,236       $111,345,869       $—       $—       2,854,482       $2,854,482       $34,687

State Street Navigator Securities Lending Government Money Market Portfolio

      22,923,440       22,923,440       236,112,790       233,864,795                   25,171,435       25,171,435       101,601
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

          $26,893,555       $346,343,026       $345,210,664       $—       $—           $28,025,917       $136,288
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

15


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AUSTRALIA — 13.3%

   

BGP Holdings PLC (a) (b)

    32,410,441     $  

BWP Trust REIT

    3,643,532       8,440,209  

Charter Hall Retail REIT

    2,482,874       7,332,281  

Dexus REIT

    7,502,003       53,631,113  

Goodman Group REIT

    11,917,483       77,061,203  

GPT Group REIT

    13,341,046       48,505,601  

Investa Office Fund REIT

    3,754,925       12,413,728  

Scentre Group REIT

    39,593,025       116,316,446  

Vicinity Centres REIT

    23,884,856       44,153,317  

Westfield Corp. REIT

    14,214,334       92,894,452  
   

 

 

 
      460,748,350  
   

 

 

 

AUSTRIA — 1.1%

   

CA Immobilien Anlagen AG

    542,795       18,117,488  

IMMOFINANZ AG

    7,207,986       18,740,070  
   

 

 

 
      36,857,558  
   

 

 

 

BELGIUM — 0.5%

   

Cofinimmo SA REIT

    145,762       18,894,579  
   

 

 

 

BRAZIL — 0.7%

   

BR Malls Participacoes SA

    6,615,416       23,188,590  
   

 

 

 

CANADA — 3.2%

   

Artis Real Estate Investment Trust

    546,114       5,756,594  

Boardwalk Real Estate Investment Trust

    169,796       5,830,420  

Canadian Apartment Properties REIT

    497,934       14,348,069  

Canadian Real Estate Investment Trust

    266,058       10,361,662  

Dream Office Real Estate Investment Trust

    272,585       4,936,870  

First Capital Realty, Inc.

    1,216,038       19,194,395  

H&R Real Estate Investment Trust

    1,054,268       17,197,018  

RioCan Real Estate Investment Trust

    1,174,237       21,531,094  

SmartCentres Real Estate Investment Trust

    482,992       10,905,463  
   

 

 

 
      110,061,585  
   

 

 

 

FRANCE — 10.0%

   

Fonciere Des Regions REIT

    400,309       44,136,506  

Gecina SA REIT

    357,894       62,106,025  

Klepierre SA REIT

    1,542,481       62,127,435  

Mercialys SA REIT

    408,399       7,840,430  

Unibail-Rodamco SE REIT (c)

    738,618       168,642,542  
   

 

 

 
      344,852,938  
   

 

 

 

 

See accompanying notes to financial statements.

 

16


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GERMANY — 2.5%

   

Deutsche EuroShop AG

    380,997     $ 13,963,366  

Grand City Properties SA

    782,994       18,700,790  

LEG Immobilien AG

    466,584       52,413,499  
   

 

 

 
      85,077,655  
   

 

 

 

HONG KONG — 7.6%

   

Champion REIT

    15,347,174       10,931,119  

Hang Lung Properties, Ltd.

    15,046,755       35,046,403  

Hongkong Land Holdings, Ltd.

    8,745,500       60,256,495  

Hysan Development Co., Ltd.

    3,812,846       20,161,450  

Link REIT

    16,136,855       137,758,404  
   

 

 

 
      264,153,871  
   

 

 

 

ITALY — 0.2%

   

Beni Stabili SpA SIIQ

    7,681,391       6,386,146  
   

 

 

 

JAPAN — 27.7%

   

Activia Properties, Inc. REIT

    5,200       23,200,752  

Advance Residence Investment Corp. REIT

    10,021       25,403,494  

Aeon Mall Co., Ltd.

    843,740       17,541,224  

AEON REIT Investment Corp. (c)

    11,267       11,886,764  

Daiwa House REIT Investment Corp.

    12,789       30,833,094  

Daiwa Office Investment Corp.

    2,303       13,317,771  

Frontier Real Estate Investment Corp.

    3,686       15,111,387  

Fukuoka REIT Corp. (c)

    6,015       9,394,372  

GLP J - REIT

    25,132       27,719,639  

Heiwa Real Estate Co., Ltd.

    250,300       4,780,059  

Hoshino Resorts REIT, Inc. (c)

    1,583       8,320,611  

Hulic Co., Ltd.

    3,596,390       38,821,398  

Hulic Reit, Inc.

    7,441       11,334,669  

Industrial & Infrastructure Fund Investment Corp. REIT

    12,759       14,300,638  

Invincible Investment Corp. REIT

    31,322       14,401,935  

Japan Excellent, Inc.

    9,720       12,566,996  

Japan Hotel REIT Investment Corp.

    29,794       21,067,314  

Japan Logistics Fund, Inc. REIT

    6,862       13,859,498  

Japan Prime Realty Investment Corp. REIT

    6,854       24,812,318  

Japan Real Estate Investment Corp. REIT

    9,734       50,431,913  

Japan Rental Housing Investments, Inc.

    12,098       9,328,030  

Japan Retail Fund Investment Corp. REIT

    19,464       37,701,777  

Kenedix Office Investment Corp. REIT

    3,045       18,524,824  

Kenedix Residential Next Investment Corp.

    5,871       8,385,566  

Kenedix Retail REIT Corp.

    3,766       8,197,734  

Leopalace21 Corp.

    1,879,200       15,302,183  

MCUBS MidCity Investment Corp.

    12,272       8,954,464  

 

See accompanying notes to financial statements.

 

17


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Mitsui Fudosan Co., Ltd.

    7,373,400     $ 175,547,238  

Mori Hills REIT Investment Corp.

    11,068       14,008,019  

Mori Trust Sogo REIT, Inc.

    7,152       10,504,395  

Nippon Building Fund, Inc. REIT

    10,499       58,048,068  

Nippon Prologis REIT, Inc.

    16,194       35,037,512  

Nomura Real Estate Master Fund, Inc.

    31,087       43,173,953  

NTT Urban Development Corp.

    803,031       9,717,921  

Orix JREIT, Inc. REIT

    19,912       30,930,535  

Premier Investment Corp.

    9,967       10,477,768  

Tokyu Fudosan Holdings Corp.

    3,808,600       27,109,640  

Tokyu REIT, Inc.

    7,232       9,805,871  

United Urban Investment Corp. REIT

    22,706       35,484,130  

Unizo Holdings Co., Ltd. (c)

    171,100       4,150,804  
   

 

 

 
      959,496,278  
   

 

 

 

MEXICO — 1.0%

   

Fibra Uno Administracion SA de CV REIT

    24,405,275       36,580,838  
   

 

 

 

NETHERLANDS — 0.8%

   

Eurocommercial Properties NV

    368,731       15,218,923  

Wereldhave NV (c)

    297,307       11,356,876  
   

 

 

 
      26,575,799  
   

 

 

 

PHILIPPINES — 1.6%

   

SM Prime Holdings, Inc.

    85,875,400       55,464,539  
   

 

 

 

ROMANIA — 1.2%

   

NEPI Rockcastle PLC

    4,294,860       41,684,473  
   

 

 

 

SINGAPORE — 6.6%

   

Ascendas REIT

    17,845,268       35,791,242  

CapitaLand Commercial Trust

    19,298,229       26,931,869  

CapitaLand Mall Trust REIT

    20,026,447       31,766,194  

CapitaLand, Ltd.

    18,903,097       51,463,476  

Keppel REIT (c)

    13,312,953       12,284,506  

Mapletree Commercial Trust REIT

    14,110,700       16,894,531  

Mapletree Industrial Trust

    9,092,500       14,075,936  

Mapletree Logistics Trust (c)

    15,436,902       14,479,821  

Suntec Real Estate Investment Trust

    16,601,776       23,928,435  
   

 

 

 
      227,616,010  
   

 

 

 

SOUTH AFRICA — 3.0%

   

Growthpoint Properties, Ltd. REIT

    20,564,270       49,307,388  

Hyprop Investments, Ltd.

    1,844,337       16,845,165  

Redefine Properties, Ltd. REIT

    39,470,399       38,608,454  
   

 

 

 
      104,761,007  
   

 

 

 

 

See accompanying notes to financial statements.

 

18


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SPAIN — 1.9%

   

Inmobiliaria Colonial Socimi SA REIT

    2,393,023     $ 27,664,768  

Martinsa Fadesa SA (a) (b)

    35,998        

Merlin Properties Socimi SA

    2,478,652       37,921,738  
   

 

 

 
      65,586,506  
   

 

 

 

SWEDEN — 1.9%

   

Castellum AB (c)

    2,030,063       33,087,787  

Fabege AB

    1,044,139       22,541,473  

Kungsleden AB

    1,416,579       9,429,990  
   

 

 

 
      65,059,250  
   

 

 

 

SWITZERLAND — 2.3%

   

PSP Swiss Property AG

    299,878       29,186,121  

Swiss Prime Site AG (b)

    531,332       51,296,620  
   

 

 

 
      80,482,741  
   

 

 

 

THAILAND — 0.7%

   

Central Pattana PCL NVDR

    10,000,859       25,106,090  
   

 

 

 

UNITED KINGDOM — 11.6%

   

British Land Co. PLC REIT

    7,388,670       66,542,184  

Capital & Counties Properties PLC (c)

    5,587,721       21,320,598  

Derwent London PLC

    823,470       35,833,178  

Grainger PLC

    3,143,780       12,745,173  

Great Portland Estates PLC REIT

    2,091,839       19,540,383  

Hammerson PLC REIT

    5,894,549       44,370,774  

Intu Properties PLC REIT (c)

    6,489,755       18,908,651  

Land Securities Group PLC REIT

    5,585,587       73,426,109  

Segro PLC REIT

    7,391,359       62,336,013  

Shaftesbury PLC

    1,825,998       25,154,028  

UNITE Group PLC REIT

    1,955,757       21,715,087  
   

 

 

 
      401,892,178  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $3,228,755,776)

      3,440,526,981  
   

 

 

 

SHORT-TERM INVESTMENTS — 4.9%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    2,870,583       2,870,583  

 

See accompanying notes to financial statements.

 

19


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    166,351,563     $ 166,351,563  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $169,222,146)

      169,222,146  
   

 

 

 

TOTAL INVESTMENTS — 104.3%
(Cost $3,397,977,922)

      3,609,749,127  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (4.3)%

      (149,601,492
   

 

 

 

NET ASSETS — 100.0%

    $ 3,460,147,635  
   

 

 

 

 

(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) Non-income producing security.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

NVDR =Non Voting Depositary Receipt

REIT =Real Estate Investment Trust

 

See accompanying notes to financial statements.

 

20


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 460,748,350     $     $ 0 (a)     $ 460,748,350

Austria

      36,857,558                   36,857,558

Belgium

      18,894,579                   18,894,579

Brazil

      23,188,590                   23,188,590

Canada

      110,061,585                   110,061,585

France

      344,852,938                   344,852,938

Germany

      85,077,655                   85,077,655

Hong Kong

      264,153,871                   264,153,871

Italy

      6,386,146                   6,386,146

Japan

      959,496,278                   959,496,278

Mexico

      36,580,838                   36,580,838

Netherlands

      26,575,799                   26,575,799

Philippines

      55,464,539                   55,464,539

Romania

      41,684,473                   41,684,473

Singapore

      227,616,010                   227,616,010

South Africa

      104,761,007                   104,761,007

Spain

      65,586,506             0 (a)       65,586,506

Sweden

      65,059,250                   65,059,250

Switzerland

      80,482,741                   80,482,741

Thailand

      25,106,090                   25,106,090

United Kingdom

      401,892,178                   401,892,178

Short-Term Investments

      169,222,146                   169,222,146
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 3,609,749,127     $     $ 0     $ 3,609,749,127
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

See accompanying notes to financial statements.

 

21


Table of Contents

SPDR DOW JONES INTERNATIONAL REAL ESTATE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from

Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      3,755,745     $ 3,755,745     $ 108,670,837     $ 109,555,999     $     $       2,870,583     $ 2,870,583     $ 23,099

State Street Navigator Securities Lending Government Money Market Portfolio

      60,686,836       60,686,836       515,632,774       409,968,047                   166,351,563       166,351,563       253,058
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 64,442,581     $ 624,303,611     $ 519,524,046     $     $         $ 169,222,146     $ 276,157
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

22


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.9%

   

AEROSPACE & DEFENSE — 0.1%

   

Other Security

    1,728,000     $ 1,217,568  
   

 

 

 

AIR FREIGHT & LOGISTICS — 0.2%

 

 

Other Securities

    947,794       2,308,183  
   

 

 

 

AIRLINES — 0.4%

   

Other Securities

    4,414,000       4,565,042  
   

 

 

 

AUTO COMPONENTS — 0.5%

   

Other Securities

    2,384,000       5,429,838  
   

 

 

 

AUTOMOBILES — 2.3%

   

Geely Automobile Holdings, Ltd.

    3,254,000       9,370,233  

Other Securities

    12,402,637       17,386,838  
   

 

 

 
      26,757,071  
   

 

 

 

BANKS — 15.4%

   

Agricultural Bank of China, Ltd. Class H

    17,007,000       9,664,669  

Bank of China, Ltd. Class H

    47,648,700       25,620,518  

Bank of Communications Co., Ltd. Class H

    14,645,824       11,476,602  

China CITIC Bank Corp., Ltd. Class H

    7,176,471       4,901,174  

China Construction Bank Corp. Class H

    66,318,623       68,107,501  

China Merchants Bank Co., Ltd. Class H

    2,452,235       10,045,406  

China Minsheng Banking Corp., Ltd. Class H

    4,654,800       4,525,327  

Industrial & Commercial Bank of China, Ltd. Class H

    48,386,789       41,492,182  

Other Securities

    7,535,000       5,004,352  
   

 

 

 
      180,837,731  
   

 

 

 

BEVERAGES — 0.5%

   

China Resources Beer Holdings Co., Ltd.

    1,053,667       4,564,642  

Other Securities

    1,674,000       1,691,667  
   

 

 

 
      6,256,309  
   

 

 

 

BIOTECHNOLOGY — 0.6%

   

BeiGene, Ltd. ADR (a)

    26,792       4,501,056  

Other Securities

    571,698       2,216,790  
   

 

 

 
      6,717,846  
   

 

 

 

BUILDING PRODUCTS — 0.0% (b)

 

 

Other Security

    356,000       270,800  
   

 

 

 

CAPITAL MARKETS — 1.6%

   

Other Securities

    27,157,994       18,482,010  
   

 

 

 

CHEMICALS — 0.2%

   

China Lumena New Materials Corp. (a) (c) (d)

    3,564,548        

 

See accompanying notes to financial statements.

 

23


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Other Securities

    5,387,999     $ 2,603,944  
   

 

 

 
      2,603,944  
   

 

 

 

COMMERCIAL SERVICES & SUPPLIES — 0.8%

 

China Evergrande Group (a) (c)

    2,151,600       6,771,469  

Other Securities

    2,084,600       2,912,843  
   

 

 

 
      9,684,312  
   

 

 

 

COMMUNICATIONS EQUIPMENT — 0.4%

 

 

China Fiber Optic Network System Group, Ltd. (a) (d)

    1,131,600        

Other Securities

    4,208,607       4,386,096  
   

 

 

 
      4,386,096  
   

 

 

 

CONSTRUCTION & ENGINEERING — 0.8%

 

Other Securities

    15,180,269       9,676,374  
   

 

 

 

CONSTRUCTION MATERIALS — 0.8%

 

Anhui Conch Cement Co., Ltd. Class H

    851,500       4,638,154  

China Shanshui Cement Group, Ltd. (a) (c) (d)

    1,896,000       90,593  

Other Securities

    4,874,363       4,059,840  
   

 

 

 
      8,788,587  
   

 

 

 

CONSUMER FINANCE — 0.2%

   

Other Securities

    18,832,900       2,330,643  
   

 

 

 

CONTAINERS & PACKAGING — 0.1%

 

 

Other Securities

    9,961,714       615,628  
   

 

 

 

DISTRIBUTORS — 0.0% (b)

   

Other Securities

    11,593,000       584,472  
   

 

 

 

DIVERSIFIED CONSUMER SERVICES — 1.4%

 

New Oriental Education & Technology Group, Inc. ADR

    86,975       7,623,359  

TAL Education Group ADR

    189,262       7,019,728  

Other Securities

    1,179,000       1,327,938  
   

 

 

 
      15,971,025  
   

 

 

 

DIVERSIFIED FINANCIAL SERVICES — 0.1%

 

Other Security

    1,161,000       1,227,820  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 0.9%

 

China Telecom Corp., Ltd. Class H

    9,424,951       4,155,082  

China Unicom Hong Kong, Ltd. (a)

    3,855,805       4,863,788  

Other Securities

    3,348,600       1,640,604  
   

 

 

 
      10,659,474  
   

 

 

 

ELECTRICAL EQUIPMENT — 0.3%

   

Other Securities

    7,640,456       3,625,328  
   

 

 

 

 

See accompanying notes to financial statements.

 

24


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 1.8%

 

AAC Technologies Holdings, Inc.

    466,745     $ 8,421,071  

Anxin-China Holdings, Ltd. (a ) (d)

    3,068,000        

Sunny Optical Technology Group Co., Ltd.

    429,000       7,920,454  

Other Securities

    7,003,681       4,875,216  
   

 

 

 
      21,216,741  
   

 

 

 

ENERGY EQUIPMENT & SERVICES — 0.1%

 

Other Securities

    4,145,900       1,706,878  
   

 

 

 

FOOD & STAPLES RETAILING — 0.1%

 

Other Security

    1,439,000       1,674,002  
   

 

 

 

FOOD PRODUCTS — 1.9%

   

China Huishan Dairy Holdings Co., Ltd. (a) (c) (d)

    2,729,000        

China Mengniu Dairy Co., Ltd.

    1,839,220       6,303,915  

WH Group, Ltd. (e)

    4,820,106       5,134,371  

Other Securities

    16,449,277       10,254,837  
   

 

 

 
      21,693,123  
   

 

 

 

GAS UTILITIES — 0.7%

   

China Gas Holdings, Ltd.

    1,500,000       5,456,595  

Other Securities

    2,261,000       2,369,218  
   

 

 

 
      7,825,813  
   

 

 

 

HEALTH CARE EQUIPMENT & SUPPLIES — 0.1%

 

Other Securities

    2,387,000       1,369,279  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES — 0.5%

 

Other Securities

    1,902,200       6,270,447  
   

 

 

 

HOTELS, RESTAURANTS & LEISURE — 1.3%

 

Yum China Holdings, Inc.

    243,244       10,094,626  

Other Securities

    34,057,038       4,597,634  
   

 

 

 
      14,692,260  
   

 

 

 

HOUSEHOLD DURABLES — 0.4%

   

Other Securities

    2,951,423       4,459,137  
   

 

 

 

HOUSEHOLD PRODUCTS — 0.1%

   

Other Security

    434,000       764,227  
   

 

 

 

INDEPENDENT POWER PRODUCERS & ENERGY TRADERS — 1.0%

 

 

Other Securities

    28,196,508       11,877,650  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 0.8%

 

CITIC, Ltd.

    4,282,000       5,990,643  

Other Securities

    749,500       3,077,545  
   

 

 

 
      9,068,188  
   

 

 

 

 

See accompanying notes to financial statements.

 

25


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

INSURANCE — 5.6%

   

China Life Insurance Co., Ltd. Class H

    4,771,040     $ 13,130,801  

China Pacific Insurance Group Co., Ltd. Class H

    1,584,200       7,095,120  

PICC Property & Casualty Co., Ltd. Class H

    2,998,858       5,250,094  

Ping An Insurance Group Co. of China, Ltd. Class H (c)

    3,140,100       31,927,931  

Other Securities

    6,188,665       7,637,825  
   

 

 

 
      65,041,771  
   

 

 

 

INTERNET & CATALOG RETAIL — 3.0%

 

Ctrip.com International, Ltd. ADR (a)

    241,421       11,255,047  

JD.com, Inc. ADR (a)

    496,240       20,092,757  

Other Security

    227,874       3,787,266  
   

 

 

 
      35,135,070  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 32.4%

 

58.com, Inc. ADR (a)

    50,383       4,023,586  

Alibaba Group Holding, Ltd. ADR (a)

    709,906       130,296,147  

Baidu, Inc. ADR (a)

    169,905       37,921,097  

NetEase, Inc. ADR

    46,342       12,993,833  

SINA Corp. (a)

    43,184       4,502,796  

Tencent Holdings, Ltd.

    3,383,615       176,589,670  

Other Securities

    581,340       13,484,896  
   

 

 

 
      379,812,025  
   

 

 

 

IT SERVICES — 0.4%

   

Other Securities

    6,105,000       4,824,863  
   

 

 

 

LIFE SCIENCES TOOLS & SERVICES — 0.2%

 

Other Securities

    552,500       2,475,877  
   

 

 

 

MACHINERY — 1.1%

   

Other Securities

    12,401,230       13,254,109  
   

 

 

 

MARINE — 0.2%

   

Other Securities

    5,127,475       2,259,293  
   

 

 

 

MEDIA — 0.1%

   

Other Securities

    9,829,700       1,292,728  
   

 

 

 

METALS & MINING — 1.0%

   

China Metal Recycling Holdings, Ltd. (a) (c) (d)

    268,085        

Other Securities

    24,223,667       11,752,751  
   

 

 

 
      11,752,751  
   

 

 

 

MULTILINE RETAIL — 0.1%

   

Other Securities

    2,145,120       797,583  
   

 

 

 

OIL, GAS & CONSUMABLE FUELS — 4.2%

 

China Petroleum & Chemical Corp. Class H

    16,016,640       14,060,962  

 

See accompanying notes to financial statements.

 

26


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Shenhua Energy Co., Ltd. Class H

    2,179,200     $ 5,414,472  

CNOOC, Ltd.

    10,459,174       15,405,636  

PetroChina Co., Ltd. Class H

    13,430,930       9,223,999  

Other Securities

    8,481,313       5,585,951  
   

 

 

 
      49,691,020  
   

 

 

 

PAPER & FOREST PRODUCTS — 0.3%

 

Other Securities

    2,907,000       3,633,714  
   

 

 

 

PERSONAL PRODUCTS — 0.4%

   

Hengan International Group Co., Ltd.

    518,500       4,802,945  
   

 

 

 

PHARMACEUTICALS — 1.9%

   

China Animal Healthcare, Ltd. (a)(c)(d)

    763,600        

CSPC Pharmaceutical Group, Ltd.

    2,280,000       6,057,108  

Hua Han Health Industry Holdings, Ltd. (a) (c) (d)

    3,728,400       188,836  

Sino Biopharmaceutical, Ltd.

    3,113,000       6,108,355  

Other Securities

    8,142,632       10,021,669  
   

 

 

 
      22,375,968  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 5.8%

 

China Overseas Land & Investment, Ltd.

    2,703,862       9,388,051  

China Resources Land, Ltd.

    1,926,555       7,008,288  

China Vanke Co., Ltd. Class H

    891,664       4,067,323  

Country Garden Holdings Co., Ltd.

    4,365,500       8,988,759  

Sunac China Holdings, Ltd. (c)

    1,273,300       4,915,840  

Other Securities

    56,669,301       33,513,037  
   

 

 

 
      67,881,298  
   

 

 

 

ROAD & RAIL — 0.2%

   

Other Securities

    2,687,300       1,850,484  
   

 

 

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 0.4%

 

Hanergy Thin Film Power Group, Ltd. (a) (c) (d)

    17,589,376        

Other Securities

    12,533,112       4,766,254  
   

 

 

 
      4,766,254  
   

 

 

 

SOFTWARE — 0.4%

   

Other Securities

    4,543,910       4,266,305  
   

 

 

 

SPECIALTY RETAIL — 0.3%

   

Other Securities

    12,093,248       3,319,621  
   

 

 

 

TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 0.3%

 

Coolpad Group, Ltd. (a) (d)

    2,629,400       120,610  

Other Securities

    5,851,500       3,709,000  
   

 

 

 
      3,829,610  
   

 

 

 

 

See accompanying notes to financial statements.

 

27


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

TEXTILES,APPAREL & LUXURY GOODS — 0.9%

 

Shenzhou International Group Holdings, Ltd.

    429,000     $ 4,517,774  

Other Securities

    9,386,868       6,306,797  
   

 

 

 
      10,824,571  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 0.0% (b)

 

Other Securities

    7,424,000       319,397  
   

 

 

 

TRANSPORTATION INFRASTRUCTURE — 1.0%

 

Other Securities

    12,200,698       11,698,270  
   

 

 

 

WATER UTILITIES — 0.5%

   

Other Securities

    8,066,400       5,741,048  
   

 

 

 

WIRELESS TELECOMMUNICATION SERVICES — 2.8%

 

China Mobile, Ltd.

    3,520,504       32,274,539  
   

 

 

 

TOTAL COMMON STOCKS

(Cost $902,099,523)

      1,169,534,960  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.8%

 

 

State Street Navigator Securities Lending Government Money Market Portfolio (f) (g)

    18,667,846       18,667,846  

State Street Institutional U.S. Government Money Market Fund, Class G Shares
1.62% (f) (h)

    2,369,667       2,369,667  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS

(Cost $21,037,513)

      21,037,513  
   

 

 

 

TOTAL INVESTMENTS — 101.7%
(Cost $923,137,036)

      1,190,572,473  
   

 

 

 

OTHER ASSETS — (1.7)%

      (19,767,962
   

 

 

 

NET ASSETS — 100.0%

    $ 1,170,804,511  
   

 

 

 

 

See accompanying notes to financial statements.

 

28


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Non-income producing security.
(b) Amount is less than 0.05% of net assets.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $400,039, representing less than 0.05% of the Fund’s net assets.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.0% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) Investment of cash collateral for securities loaned.
(h) The rate shown is the annualized seven-day yield at March 31, 2018.

ADR= American Depositary Receipt

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Aerospace & Defense

  $ 1,217,568     $     $     $ 1,217,568  

Air Freight & Logistics

    2,308,183                   2,308,183  

Airlines

    4,565,042                   4,565,042  

Auto Components

    5,429,838                   5,429,838  

Automobiles

    26,757,071                   26,757,071  

Banks

    180,837,731                   180,837,731  

Beverages

    6,256,309                   6,256,309  

Biotechnology

    6,717,846                   6,717,846  

Building Products

    270,800                   270,800  

Capital Markets

    18,482,010                   18,482,010  

Chemicals

    2,603,944             0 (a)      2,603,944  

Commercial Services & Supplies

    9,684,312                   9,684,312  

 

See accompanying notes to financial statements.

 

29


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Communications Equipment

    $ 4,386,096     $     $ 0 (a)     $ 4,386,096

Construction & Engineering

      9,676,374                   9,676,374

Construction Materials

      8,697,994             90,593       8,788,587

Consumer Finance

      2,330,643                   2,330,643

Containers & Packaging

      615,628                   615,628

Distributors

      584,472                   584,472

Diversified Consumer Services

      15,971,025                   15,971,025

Diversified Financial Services

      1,227,820                   1,227,820

Diversified Telecommunication Services

      10,659,474                   10,659,474

Electrical Equipment

      3,586,500       38,828             3,625,328

Electronic Equipment, Instruments & Components

      21,216,741             0 (a)       21,216,741

Energy Equipment & Services

      1,706,878                   1,706,878

Food & Staples Retailing

      1,674,002                   1,674,002

Food Products

      21,693,123             0 (a)       21,693,123

Gas Utilities

      7,825,813                   7,825,813

Health Care Equipment & Supplies

      1,369,279                   1,369,279

Health Care Providers & Services

      6,270,447                   6,270,447

Hotels, Restaurants & Leisure

      14,692,260                   14,692,260

Household Durables

      4,459,137                   4,459,137

Household Products

      764,227                   764,227

Independent Power Producers & Energy Traders

      11,877,650                   11,877,650

Industrial Conglomerates

      9,068,188                   9,068,188

Insurance

      65,041,771                   65,041,771

Internet & Catalog Retail

      35,135,070                   35,135,070

Internet Software & Services

      379,812,025                   379,812,025

IT Services

      4,824,863                   4,824,863

Life Sciences Tools & Services

      2,475,877                   2,475,877

Machinery

      13,254,109                   13,254,109

Marine

      2,259,293                   2,259,293

Media

      1,292,728                   1,292,728

Metals & Mining

      11,752,751             0 (a)       11,752,751

Multiline Retail

      797,583                   797,583

Oil, Gas & Consumable Fuels

      49,691,020                   49,691,020

Paper & Forest Products

      3,633,714                   3,633,714

Personal Products

      4,802,945                   4,802,945

Pharmaceuticals

      22,187,132             188,836       22,375,968

Real Estate Management & Development

      67,881,298                   67,881,298

Road & Rail

      1,850,484                   1,850,484

Semiconductors & Semiconductor Equipment

      4,766,254             0 (a)       4,766,254

 

See accompanying notes to financial statements.

 

30


Table of Contents

SPDR S&P CHINA ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Software

    $ 4,266,305     $        —     $        —     $ 4,266,305

Specialty Retail

      3,319,621              —              —       3,319,621

Technology Hardware, Storage & Peripherals

      3,709,000              —       120,610       3,829,610

Textiles, Apparel & Luxury Goods

      10,824,571              —                —       10,824,571

Trading Companies & Distributors

      319,397              —                —       319,397

Transportation Infrastructure

      11,698,270              —                —       11,698,270

Water Utilities

      5,741,048              —                —       5,741,048

Wireless Telecommunication Services

      32,274,539              —                —       32,274,539

Short-Term Investments

      21,037,513              —                —       21,037,513
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 1,190,133,606     $ 38,828     $ 400,039     $ 1,190,572,473
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a)  Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      2,785,729     $ 2,785,729     $ 54,675,652     $ 55,091,714     $     $       2,369,667     $ 2,369,667     $ 17,272

State Street Navigator Securities Lending Government Money Market Portfolio

      22,187,451       22,187,451       62,355,765       65,875,370                   18,667,846       18,667,846       416,932
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 24,973,180     $ 117,031,417     $ 120,967,084     $     $         $ 21,037,513     $ 434,204
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

31


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AUSTRALIA — 8.4%

   

Amcor, Ltd.

    2,591,769     $ 28,170,192  

BHP Billiton, Ltd.

    2,796,699       60,516,316  

Fortescue Metals Group, Ltd.

    1,480,928       4,918,645  

Newcrest Mining, Ltd.

    664,444       9,968,984  

South32, Ltd.

    4,541,902       11,218,048  

Woodside Petroleum, Ltd.

    367,501       8,242,512  
   

 

 

 
      123,034,697  
   

 

 

 

AUSTRIA — 0.4%

   

Voestalpine AG

    95,939       5,022,861  
   

 

 

 

BRAZIL — 3.9%

   

Fibria Celulose SA ADR

    506,903       9,884,608  

Petroleo Brasileiro SA ADR (a)

    584,712       8,267,828  

Vale SA ADR (b)

    3,040,331       38,673,010  
   

 

 

 
      56,825,446  
   

 

 

 

CANADA — 10.2%

   

Barrick Gold Corp.

    1,015,117       12,638,206  

Canadian Natural Resources, Ltd.

    425,892       13,378,806  

Franco-Nevada Corp. (b)

    161,657       11,021,641  

Goldcorp, Inc.

    754,790       10,415,136  

Imperial Oil, Ltd. (b)

    98,705       2,612,228  

Nutrien, Ltd. (b)

    1,443,811       68,234,501  

Suncor Energy, Inc.

    652,907       22,530,799  

Wheaton Precious Metals Corp.

    385,065       7,840,183  
   

 

 

 
      148,671,500  
   

 

 

 

CHILE — 0.3%

   

Antofagasta PLC

    300,346       3,880,407  
   

 

 

 

CHINA — 0.6%

   

CNOOC, Ltd.

    6,314,000       9,300,083  
   

 

 

 

COLOMBIA — 0.1%

   

Ecopetrol SA ADR (b)

    90,476       1,748,901  
   

 

 

 

FINLAND — 4.6%

   

Stora Enso Oyj Class R (b)

    1,277,461       23,448,458  

UPM-Kymmene Oyj (b)

    1,192,983       44,162,439  
   

 

 

 
      67,610,897  
   

 

 

 

FRANCE — 3.9%

   

TOTAL SA

    994,378       56,414,048  
   

 

 

 

 

See accompanying notes to financial statements.

 

32


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GERMANY — 1.4%

   

KS AG (b)

    427,231     $ 12,316,085  

ThyssenKrupp AG

    335,963       8,755,374  
   

 

 

 
      21,071,459  
   

 

 

 

HONG KONG — 0.4%

   

Nine Dragons Paper Holdings, Ltd.

    3,797,000       5,679,801  
   

 

 

 

IRELAND — 1.5%

   

Smurfit Kappa Group PLC

    530,142       21,463,688  
   

 

 

 

ITALY — 1.2%

   

Eni SpA

    1,004,564       17,652,302  
   

 

 

 

JAPAN — 3.5%

   

JFE Holdings, Inc.

    502,800       10,011,086  

Nippon Steel & Sumitomo Metal Corp.

    769,100       16,690,953  

Oji Holdings Corp.

    2,264,000       14,433,399  

Sumitomo Metal Mining Co., Ltd. (b)

    242,200       9,849,694  
   

 

 

 
      50,985,132  
   

 

 

 

LUXEMBOURG — 1.2%

   

ArcelorMittal (a)

    548,174       17,326,221  
   

 

 

 

MEXICO — 0.2%

   

Fresnillo PLC

    165,998       2,953,854  
   

 

 

 

NETHERLANDS — 4.1%

   

OCI NV (a)(b)

    143,177       3,302,498  

Royal Dutch Shell PLC Class A

    1,792,507       56,162,001  
   

 

 

 
      59,464,499  
   

 

 

 

NORWAY — 2.3%

   

Norsk Hydro ASA

    1,188,625       6,956,778  

Statoil ASA

    431,712       10,153,627  

Yara International ASA

    392,977       16,573,114  
   

 

 

 
      33,683,519  
   

 

 

 

PERU — 0.3%

   

Southern Copper Corp. (b)

    74,032       4,011,054  
   

 

 

 

RUSSIA — 3.3%

   

Gazprom PJSC ADR

    2,604,020       12,671,161  

LUKOIL PJSC ADR

    187,118       12,892,430  

MMC Norilsk Nickel PJSC ADR

    592,298       10,978,244  

Novatek PJSC GDR

    35,784       4,902,408  

Novolipetsk Steel PJSC GDR

    86,393       2,151,186  

Rosneft Oil Co. PJSC GDR

    466,844       2,559,238  

 

See accompanying notes to financial statements.

 

33


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Severstal PJSC GDR

    158,507     $ 2,391,871  
   

 

 

 
      48,546,538  
   

 

 

 

SINGAPORE — 1.6%

   

Golden Agri-Resources, Ltd.

    14,997,768       4,003,065  

Wilmar International, Ltd.

    8,048,019       19,517,044  
   

 

 

 
      23,520,109  
   

 

 

 

SOUTH AFRICA — 1.5%

   

Mondi PLC

    823,799       22,130,223  
   

 

 

 

SOUTH KOREA — 1.9%

   

Korea Zinc Co., Ltd.

    10,997       4,972,844  

POSCO ADR (a)

    263,948       20,812,300  

POSCO

    4,195       1,326,311  
   

 

 

 
      27,111,455  
   

 

 

 

SPAIN — 0.6%

   

Repsol SA

    492,023       8,722,728  
   

 

 

 

SWITZERLAND — 3.6%

   

Glencore PLC (a)

    10,573,706       52,478,428  
   

 

 

 

UNITED KINGDOM — 8.0%

   

Anglo American PLC (b)

    1,228,106       28,615,493  

BP PLC

    7,789,979       52,371,397  

DS Smith PLC

    2,395,361       15,813,160  

Rio Tinto, Ltd.

    359,060       20,022,814  
   

 

 

 
      116,822,864  
   

 

 

 

UNITED STATES — 30.4%

   

Anadarko Petroleum Corp.

    106,045       6,406,178  

Archer-Daniels-Midland Co.

    486,325       21,091,915  

Avery Dennison Corp.

    76,491       8,127,169  

Baker Hughes a GE Co.

    82,284       2,285,027  

Bunge, Ltd.

    121,670       8,996,280  

CF Industries Holdings, Inc.

    201,814       7,614,442  

Chevron Corp.

    368,992       42,079,848  

ConocoPhillips

    231,720       13,738,679  

Devon Energy Corp.

    101,154       3,215,686  

EOG Resources, Inc.

    112,504       11,843,296  

Exxon Mobil Corp.

    824,649       61,527,062  

FMC Corp.

    116,194       8,896,975  

Freeport-McMoRan, Inc. (a)

    1,176,922       20,678,519  

Halliburton Co.

    170,000       7,979,800  

Ingredion, Inc.

    62,154       8,012,894  

International Paper Co.

    359,140       19,188,850  

 

See accompanying notes to financial statements.

 

34


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Monsanto Co.

    381,722     $ 44,543,140  

Mosaic Co.

    302,505       7,344,821  

Newmont Mining Corp.

    464,245       18,138,052  

Nucor Corp.

    276,767       16,907,696  

Occidental Petroleum Corp.

    149,052       9,682,418  

Packaging Corp. of America

    81,648       9,201,730  

Phillips 66

    81,374       7,805,394  

Pioneer Natural Resources Co.

    33,200       5,703,096  

Rayonier, Inc. REIT

    111,608       3,926,369  

Schlumberger, Ltd.

    269,363       17,449,335  

Sealed Air Corp.

    156,100       6,679,519  

Valero Energy Corp.

    85,006       7,886,007  

WestRock Co.

    220,316       14,137,678  

Weyerhaeuser Co. REIT

    656,298       22,970,430  
   

 

 

 
      444,058,305  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,318,671,533)

      1,450,191,019  
   

 

 

 

SHORT-TERM INVESTMENTS — 3.5%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (c) (d)

    2,904,677       2,904,677  

State Street Navigator Securities Lending Government Money Market Portfolio (c) (e)

    48,214,731       48,214,731  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $51,119,408)

      51,119,408  
   

 

 

 

TOTAL INVESTMENTS — 102.9%
(Cost $1,369,790,941)

      1,501,310,427  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (2.9)%

      (42,087,057
   

 

 

 

NET ASSETS — 100.0%

    $ 1,459,223,370  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at March 31, 2018.
(e) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

GDR =Global Depositary Receipt

REIT =Real Estate Investment Trust

 

See accompanying notes to financial statements.

 

35


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Australia

  $ 123,034,697     $     $     $ 123,034,697  

Austria

    5,022,861                   5,022,861  

Brazil

    56,825,446                   56,825,446  

Canada

    148,671,500                   148,671,500  

Chile

    3,880,407                   3,880,407  

China

    9,300,083                   9,300,083  

Colombia

    1,748,901                   1,748,901  

Finland

    67,610,897                   67,610,897  

France

    56,414,048                   56,414,048  

Germany

    21,071,459                   21,071,459  

Hong Kong

    5,679,801                   5,679,801  

Ireland

    21,463,688                   21,463,688  

Italy

    17,652,302                   17,652,302  

Japan

    50,985,132                   50,985,132  

Luxembourg

    17,326,221                   17,326,221  

Mexico

    2,953,854                   2,953,854  

Netherlands

    59,464,499                   59,464,499  

Norway

    33,683,519                   33,683,519  

Peru

    4,011,054                   4,011,054  

Russia

    48,546,538                   48,546,538  

Singapore

    23,520,109                   23,520,109  

South Africa

    22,130,223                   22,130,223  

South Korea

    27,111,455                   27,111,455  

Spain

    8,722,728                   8,722,728  

Switzerland

    52,478,428                   52,478,428  

United Kingdom

    116,822,864                   116,822,864  

United States

    444,058,305                   444,058,305  

Short-Term Investments

    51,119,408                   51,119,408  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 1,501,310,427     $     $     $ 1,501,310,427  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

36


Table of Contents

SPDR S&P GLOBAL NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from
Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Number of
Shares Held
at 3/31/18
    Value at
3/31/18
    Dividend
Income
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

    799,218     $ 799,218     $ 81,266,301     $ 79,160,842     $     $       2,904,677     $ 2,904,677     $ 24,103  

State Street Navigator Securities Lending Government Money Market Portfolio

    27,454,617       27,454,617       294,870,997       274,110,883                   48,214,731       48,214,731       183,019  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

 

Total

    $ 28,253,835     $ 376,137,298     $ 353,271,725     $     $       $ 51,119,408     $ 207,122  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

37


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.0%

   

AUSTRALIA – 6.3%

   

AET&D Holdings No. 1 Pty, Ltd. (a)(b)

    110,316     $  

Arrium, Ltd. (a)(b)(c)

    1,727,582        

Beach Energy, Ltd.

    1,532,360       1,428,107  

CSR, Ltd.

    347,380       1,380,252  

InvoCare, Ltd.

    201,637       2,009,107  

Jacana Minerals, Ltd. (a)(b)(c)

    12,051        

Quintis, Ltd. (a)(b)(c)

    148,677        

Tiger Resources, Ltd. (a)(c)

    2,464        

Other Securities

    36,852,966       53,532,436  
   

 

 

 
      58,349,902  
   

 

 

 

AUSTRIA – 0.3%

   

Other Securities

    112,651       2,903,419  
   

 

 

 

BELGIUM – 1.4%

   

Ablynx NV (c)

    37,391       2,050,026  

Barco NV

    18,725       2,302,895  

Tessenderlo Group SA (c)

    40,793       1,708,264  

Other Securities

    639,382       6,628,421  
   

 

 

 
      12,689,606  
   

 

 

 

CANADA – 7.9%

   

Aurora Cannabis, Inc. (b)(c)

    213,479       1,539,930  

Canopy Growth Corp. (b)(c)

    97,308       2,540,537  

Colliers International Group, Inc.

    30,939       2,146,352  

Colossus Minerals, Inc. (a)(c)

    390        

GASFRAC Energy Services, Inc. (a)(c)

    21,904        

Great Basin Gold, Ltd. (a)(c)

    266,255        

Lightstream Resources, Ltd. (a)(c)

    64,736        

Parex Resources, Inc. (c)

    97,136       1,365,216  

Poseidon Concepts Corp. (a)(c)

    43,064        

Southern Pacific Resource Corp. (a)(c)

    281,142        

Twin Butte Energy, Ltd. (a)(c)

    83,708        

Other Securities

    12,914,924       64,963,126  
   

 

 

 
      72,555,161  
   

 

 

 

CHINA – 0.3%

   

Other Securities

    15,804,505       2,677,820  
   

 

 

 

DENMARK – 0.7%

   

Amagerbanken A/S (a)(c)

    308,573        

OW Bunker A/S (a)(c)

    9,828        

Other Securities

    285,124       6,131,667  
   

 

 

 
      6,131,667  
   

 

 

 

 

See accompanying notes to financial statements.

 

38


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

FINLAND – 0.7%

   

Ahtium PLC (a)

    572,382     $  

Other Securities

    693,066       6,544,251  
   

 

 

 
      6,544,251  
   

 

 

 

FRANCE – 2.1%

   

Other Securities

    1,124,517       19,284,098  
   

 

 

 

GERMANY – 3.2%

   

Indus Holding AG

    29,915       2,093,407  

Jenoptik AG

    80,061       2,827,859  

Other Securities

    1,126,954       25,008,785  
   

 

 

 
      29,930,051  
   

 

 

 

GREECE – 0.0% (d)

   

TT Hellenic Postbank SA (a)(c)

    129,076        
   

 

 

 

HONG KONG – 2.6%

   

China Ocean Resources Co., Ltd. (a)(b)(c)

    26,593        

HKR International, Ltd. (b)

    2,347,259       1,405,670  

Peace Mark Holdings, Ltd. (a)(c)

    504,228        

Superb Summit International Group, Ltd. (a)(b)(c)

    1,685,500        

Other Securities

    157,087,310       22,143,140  
   

 

 

 
      23,548,810  
   

 

 

 

INDIA – 0.0% (d)

   

Other Security

    17,109       186,488  
   

 

 

 

IRELAND – 0.8%

   

Other Securities

    2,579,943       7,055,211  
   

 

 

 

ISRAEL – 1.8%

   

Orbotech, Ltd. (c)

    27,030       1,680,725  

Other Securities

    2,463,129       14,972,760  
   

 

 

 
      16,653,485  
   

 

 

 

ITALY – 1.2%

   

Other Securities

    27,955,516       11,460,844  
   

 

 

 

JAPAN – 36.6%

   

Awa Bank, Ltd.

    254,000       1,647,955  

Bank of the Ryukyus, Ltd.

    92,020       1,407,772  

Doutor Nichires Holdings Co., Ltd.

    69,672       1,644,351  

Fancl Corp.

    40,100       1,461,095  

FCC Co., Ltd.

    49,128       1,368,285  

Fukuoka REIT Corp.

    882       1,377,529  

Iwatani Corp.

    53,000       1,941,091  

Japan Logistics Fund, Inc. REIT

    661       1,335,052  

Kanematsu Corp.

    118,299       1,576,208  

 

See accompanying notes to financial statements.

 

39


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Kiyo Bank, Ltd.

    94,360     $ 1,506,566  

Makino Milling Machine Co., Ltd.

    158,000       1,466,347  

Marudai Food Co., Ltd.

    324,656       1,544,673  

Nakanishi, Inc.

    80,040       1,607,573  

Nikkon Holdings Co., Ltd. (b)

    138,480       3,614,673  

Nippon Gas Co., Ltd.

    33,400       1,579,709  

NIPPON REIT Investment Corp.

    605       1,820,404  

Premier Investment Corp.

    1,506       1,583,176  

Rengo Co., Ltd.

    235,600       2,022,593  

Shima Seiki Manufacturing, Ltd. (b)

    26,545       1,837,059  

Shimachu Co., Ltd.

    45,960       1,456,372  

Shochiku Co., Ltd.

    20,160       2,832,068  

TAKATA Corp. (a)(c)

    300        

Toagosei Co., Ltd.

    186,200       2,183,276  

Toei Co., Ltd.

    14,140       1,497,098  

Toho Holdings Co., Ltd. (b)

    73,819       1,740,143  

Tokai Carbon Co., Ltd.

    134,000       1,951,725  

Tokuyama Corp. (b)

    47,200       1,473,474  

Other Securities

    20,883,549       292,998,609  
   

 

 

 
      338,474,876  
   

 

 

 

LIECHTENSTEIN – 0.0% (d)

   

Other Security

    1,823       282,131  
   

 

 

 

LUXEMBOURG – 0.1%

   

Other Security

    19,911       539,588  
   

 

 

 

MACAU – 0.1%

   

Other Security

    3,261,740       477,938  
   

 

 

 

MALTA – 0.0% (d)

   

Other Security

    28,235       381,645  
   

 

 

 

NETHERLANDS – 1.4%

   

Other Securities

    1,173,676       13,185,764  
   

 

 

 

NEW ZEALAND – 1.1%

   

Other Securities

    5,362,090       10,130,154  
   

 

 

 

NORWAY – 1.3%

   

Other Securities

    2,974,469       12,153,056  
   

 

 

 

PERU – 0.0% (d)

   

Other Security

    91,708       256,202  
   

 

 

 

PORTUGAL – 0.2%

   

Altri SGPS SA

    215,886       1,439,051  

Other Securities

    258,350       661,510  
   

 

 

 
      2,100,561  
   

 

 

 

 

See accompanying notes to financial statements.

 

40


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

  Shares     Value  

SINGAPORE – 1.5%

   

Ezra Holdings, Ltd. (a)(b)(c)

    1,444,295     $  

Swiber Holdings, Ltd. (a)(b)(c)

    100,100        

Technics Oil & Gas, Ltd. (a)(c)

    1,254        

Other Securities

    20,370,383       13,349,673  
   

 

 

 
      13,349,673  
   

 

 

 

SOUTH AFRICA – 0.0% (d)

   

Other Security

    212,460       195,216  
   

 

 

 

SOUTH KOREA – 11.5%

   

CNK International Co., Ltd. (a)(c)

    16,071        

Com2uSCorp

    7,716       1,350,789  

Hanjin Shipping Co., Ltd. (a)(c)

    1,732        

Samsung Engineering Co., Ltd. (c)

    99,738       1,731,075  

SillaJen, Inc. (c)

    33,254       3,341,311  

ViroMed Co., Ltd. (c)

    8,460       1,754,067  

Woojeon Co., Ltd. (a)(c)

    7,674        

Other Securities

    6,184,332       97,836,728  
   

 

 

 
      106,013,970  
   

 

 

 

SPAIN – 1.4%

   

Let’s GOWEX SA (a)(b)(c)

    9,561        

Other Securities

    15,692,818       12,982,699  
   

 

 

 
      12,982,699  
   

 

 

 

SWEDEN – 2.9%

   

Wihlborgs Fastigheter AB

    129,933       3,000,554  

Other Securities

    3,756,320       23,363,976  
   

 

 

 
      26,364,530  
   

 

 

 

SWITZERLAND – 2.2%

   

Valora Holding AG

    5,283       1,804,032  

Other Securities

    991,325       18,615,364  
   

 

 

 
      20,419,396  
   

 

 

 

UNITED ARAB EMIRATES – 0.0% (d)

 

 

Other Securities

    125,871       129,037  
   

 

 

 

UNITED KINGDOM – 8.5%

   

Carillion PLC (a)(b)

    8,202        

Fenner PLC

    178,393       1,524,021  

J D Wetherspoon PLC

    92,793       1,482,637  

Senior PLC

    451,404       1,903,488  

Other Securities

    32,750,475       73,373,258  
   

 

 

 
      78,283,404  
   

 

 

 

 

See accompanying notes to financial statements.

 

41


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

  Shares     Value  

UNITED STATES – 0.9%

   

Ferroglobe Representation & Warranty Insurance Trust (a)(c)

    19,857     $  

Other Securities

    2,120,161       8,670,451  
   

 

 

 
      8,670,451  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $836,992,633)

      914,361,104  
   

 

 

 

WARRANTS - 0.0% (d)

   

AUSTRALIA – 0.0% (d)

   

Other Securities

    19,387       2,893  
   

 

 

 

FRANCE – 0.0% (d)

   

Other Securities

    2,262       516  
   

 

 

 

SINGAPORE – 0.0% (d)

   

Other Security

    115,305       2,638  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      6,047  
   

 

 

 

RIGHTS - 0.0% (d)

   

ITALY – 0.0% (d)

   

Other Security

    16,859       17,927  
   

 

 

 

SWEDEN – 0.0% (d)

   

Other Security

    51,093       854  
   

 

 

 

UNITED KINGDOM – 0.0% (d)

   

Other Securities

    75,189       372,522  
   

 

 

 

TOTAL RIGHTS
(Cost $266,038)

      391,303  
   

 

 

 

SHORT-TERM INVESTMENTS - 10.6%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (e)(f)

    1,510,725       1,510,725  

State Street Navigator Securities Lending Government Money Market Portfolio (e)(g)

    95,964,387       95,964,387  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $97,475,112)

      97,475,112  
   

 

 

 

TOTAL INVESTMENTS - 109.6%
(Cost $934,733,783)

      1,012,233,566  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (9.6)%

      (88,411,858
   

 

 

 

NET ASSETS - 100.0%

    $ 923,821,708  
   

 

 

 

 

See accompanying notes to financial statements.

 

42


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Non-income producing security.
(d) Amount is less than 0.05% of net assets.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

 

REIT Real Estate Investment Trust

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 58,349,902     $ 0 (a)     $ 0 (b)     $ 58,349,902

Austria

      2,903,419                   2,903,419

Belgium

      12,689,606                   12,689,606

Canada

      72,498,781       56,380       0 (b)       72,555,161

China

      2,677,820                   2,677,820

Denmark

      6,131,667             0 (b)       6,131,667

Finland

      6,544,251             0 (b)       6,544,251

France

      19,284,098                   19,284,098

Germany

      29,930,051                   29,930,051

Greece

                  0 (b)       0

Hong Kong

      23,335,653       213,157       0 (b)       23,548,810

India.

      186,488                   186,488

Ireland

      7,055,211                   7,055,211

Israel

      16,653,485                   16,653,485

Italy

      11,460,844                   11,460,844

 

See accompanying notes to financial statements.

 

43


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Japan

    $ 338,474,876     $     $ 0 (b)     $ 338,474,876

Liechtenstein

      282,131                   282,131

Luxembourg

      539,588                   539,588

Macau

      477,938                   477,938

Malta

      381,645                   381,645

Netherlands

      13,185,764                   13,185,764

New Zealand

      10,130,154                   10,130,154

Norway

      12,153,056                   12,153,056

Peru

      256,202                   256,202

Portugal

      2,100,561                   2,100,561

Singapore

      13,078,293       271,380       0 (b)       13,349,673

South Africa

      195,216                   195,216

South Korea

      105,825,744       188,226       0 (b)       106,013,970

Spain

      12,982,699             0 (b)       12,982,699

Sweden

      26,364,530                   26,364,530

Switzerland

      20,419,396                   20,419,396

United Arab Emirates

      129,037                   129,037

United Kingdom

      78,260,663       22,741       0 (b)       78,283,404

United States

      8,670,451             0 (b)       8,670,451

Warrants

               

Australia

      2,893                   2,893

France

      516                   516

Singapore

            2,638             2,638

Rights

               

Italy

      17,927                   17,927

Sweden

      854                   854

United Kingdom

      372,522                   372,522

Short-Term Investments

      97,475,112                   97,475,112
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 1,011,479,044     $ 754,522     $ 0     $ 1,012,233,566
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held a Level 2 security that was valued at $0 at March 31, 2018.
(b) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

See accompanying notes to financial statements.

 

44


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares
Held at
3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      73,500     $ 73,500     $ 71,569,182     $ 70,131,957     $     $       1,510,725     $ 1,510,725     $ 24,500

State Street Navigator Securities Lending Government Money Market Portfolio

      66,029,680       66,029,680       101,110,821       71,176,114                   95,964,387       95,964,387       1,512,147
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 66,103,180     $ 172,680,003     $ 141,308,071     $     $         $ 97,475,112     $ 1,536,647
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

45


Table of Contents

SPDR S&P NORTH AMERICAN NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.9%

   

CANADA — 34.5%

   

Agnico Eagle Mines, Ltd.

    390,653     $ 16,423,031  

ARC Resources, Ltd. (a)

    116,409       1,267,700  

Barrick Gold Corp.

    1,961,058       24,413,404  

Cameco Corp. (a)

    130,273       1,183,244  

Canadian Natural Resources, Ltd.

    356,835       11,209,476  

Cenovus Energy, Inc.

    335,743       2,856,778  

Crescent Point Energy Corp. (a)

    179,642       1,220,604  

Encana Corp.

    320,321       3,520,612  

First Quantum Minerals, Ltd.

    1,159,193       16,265,116  

Franco-Nevada Corp. (a)

    312,314       21,293,311  

Goldcorp, Inc.

    1,458,078       20,119,610  

Husky Energy, Inc.

    99,275       1,419,919  

Imperial Oil, Ltd.

    82,757       2,190,164  

Kinross Gold Corp. (b)

    2,096,817       8,278,300  

Lundin Mining Corp.

    1,064,525       6,977,108  

Nutrien, Ltd. (a)

    558,456       26,375,323  

Peyto Exploration & Development Corp. (a)

    53,898       451,502  

PrairieSky Royalty, Ltd. (a)

    69,215       1,512,342  

Seven Generations Energy, Ltd. Class A (b)

    91,048       1,129,934  

Suncor Energy, Inc.

    544,398       18,786,323  

Teck Resources, Ltd. Class B

    853,731       21,971,530  

Tourmaline Oil Corp.

    82,570       1,399,383  

Vermilion Energy, Inc. (a)

    40,120       1,292,678  

West Fraser Timber Co., Ltd.

    51,759       3,436,950  

Wheaton Precious Metals Corp.

    743,835       15,144,983  

Yamana Gold, Inc. (a)

    1,594,477       4,402,822  
   

 

 

 
      234,542,147  
   

 

 

 

UNITED STATES — 65.4%

   

Anadarko Petroleum Corp.

    180,112       10,880,566  

Antero Resources Corp. (b)

    70,681       1,403,018  

Apache Corp. (a)

    125,364       4,824,007  

Archer-Daniels-Midland Co.

    484,786       21,025,169  

Bunge, Ltd.

    121,835       9,008,480  

Cabot Oil & Gas Corp.

    152,269       3,651,411  

CF Industries Holdings, Inc.

    202,235       7,630,326  

Chevron Corp.

    618,378       70,519,827  

Cimarex Energy Co.

    31,392       2,935,152  

Concho Resources, Inc. (a)(b)

    49,000       7,366,170  

ConocoPhillips

    393,501       23,330,674  

Continental Resources, Inc. (b)

    28,367       1,672,235  

Devon Energy Corp.

    172,944       5,497,890  

 

See accompanying notes to financial statements.

 

46


Table of Contents

SPDR S&P NORTH AMERICAN NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

EOG Resources, Inc.

    190,379     $ 20,041,197  

EQT Corp.

    80,606       3,829,591  

Exxon Mobil Corp.

    905,973       67,594,645  

FMC Corp.

    116,347       8,908,690  

Freeport-McMoRan, Inc. (b)

    2,263,738       39,773,877  

Hess Corp.

    88,900       4,500,118  

Ingredion, Inc.

    62,336       8,036,357  

Marathon Oil Corp.

    279,652       4,510,787  

Monsanto Co.

    380,799       44,435,435  

Mosaic Co.

    303,045       7,357,933  

Newmont Mining Corp.

    896,834       35,039,304  

Noble Energy, Inc.

    160,204       4,854,181  

Occidental Petroleum Corp.

    251,917       16,364,528  

Pioneer Natural Resources Co.

    56,029       9,624,662  
   

 

 

 
      444,616,230  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $580,333,341)

      679,158,377  
   

 

 

 

SHORT-TERM INVESTMENTS — 4.3%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (c) (d)

    337,289       337,289  

State Street Navigator Securities Lending Government Money Market Portfolio (c) (e)

    28,720,522       28,720,522  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $29,057,811)

      29,057,811  
   

 

 

 

TOTAL INVESTMENTS — 104.2%
(Cost $609,391,152)

      708,216,188  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (4.2)%

      (28,491,254
   

 

 

 

NET ASSETS — 100.0%

    $ 679,724,934  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at March 31, 2018.
(e) Investment of cash collateral for securities loaned.

 

See accompanying notes to financial statements.

 

47


Table of Contents

SPDR S&P NORTH AMERICAN NATURAL RESOURCES ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Canada

    $ 234,542,147     $     $     $ 234,542,147

United States

      444,616,230                   444,616,230

Short-Term Investments

      29,057,811                   29,057,811
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 708,216,188     $     $     $ 708,216,188
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      3,488,016     $ 3,488,016     $ 32,165,902     $ 35,316,629     $     $       337,289     $ 337,289     $ 12,753

State Street Navigator Securities Lending Government Money Market Portfolio

      4,770,511       4,770,511       94,529,421       70,579,410                   28,720,522       28,720,522       9,662
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 8,258,527     $ 126,695,323     $ 105,896,039     $     $         $ 29,057,811     $ 22,415
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

48


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES

March 31, 2018 (Unaudited)

 

 

 

     SPDR Dow Jones
Global Real Estate
ETF
  SPDR Dow Jones
International Real
Estate ETF

ASSETS

        

Investments in unaffiliated issuers, at value*

     $ 2,573,692,167     $ 3,440,526,981

Investments in affiliated issuers, at value

       28,025,917       169,222,146
    

 

 

     

 

 

 

Total Investments

       2,601,718,084       3,609,749,127

Foreign currency, at value

       1,854,624       5,528,593

Cash

       733,464      

Receivable for investments sold

             35,391,122

Dividends receivable — unaffiliated issuers

       11,289,306       17,618,514

Dividends receivable — affiliated issuers

       4,846       6,229

Securities lending income receivable — unaffiliated issuers

       2,617       4,505

Securities lending income receivable — affiliated issuers

       26,617       89,553

Receivable for foreign taxes recoverable

       316,993       1,103,859
    

 

 

     

 

 

 

TOTAL ASSETS

       2,615,946,551       3,669,491,502
    

 

 

     

 

 

 

LIABILITIES

        

Payable upon return of securities loaned

       25,171,435       166,351,563

Payable for investments purchased

       618,155       1,886,832

Payable for fund shares repurchased

             35,765,804

Advisory fee payable

       3,255,056       5,328,269

Trustees’ fees and expenses payable

       4,692       11,319

Accrued expenses and other liabilities

       53       80
    

 

 

     

 

 

 

TOTAL LIABILITIES

       29,049,391       209,343,867
    

 

 

     

 

 

 

NET ASSETS

     $ 2,586,897,160     $ 3,460,147,635
    

 

 

     

 

 

 

NET ASSETS CONSIST OF:

        

Paid-in Capital

     $ 2,596,505,383     $ 4,076,681,038

Undistributed (distribution in excess of) net investment income (loss)

       (16,888,191 )       (78,803,865 )

Accumulated net realized gain (loss) investments and foreign currency transactions

       (46,642,992 )       (749,615,833 )

Net unrealized appreciation (depreciation) on:

        

Investments — unaffiliated issuers

       53,887,491       211,771,205

Foreign currency translations

       35,469       115,090
    

 

 

     

 

 

 

NET ASSETS

     $ 2,586,897,160     $ 3,460,147,635
    

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

        

Net asset value per share

     $ 46.19     $ 39.80
    

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       56,000,000       86,935,379
    

 

 

     

 

 

 

COST OF INVESTMENTS:

        

Investments in unaffiliated issuers

     $ 2,519,804,676     $ 3,228,755,776

Investments in affiliated issuers

       28,025,917       169,222,146
    

 

 

     

 

 

 

Total cost of investments

     $ 2,547,830,593     $ 3,397,977,922
    

 

 

     

 

 

 

Foreign currency, at cost

     $ 1,852,934     $ 5,533,647
    

 

 

     

 

 

 

* Includes investments in securities on loan, at value

     $ 42,984,802     $ 170,226,643
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

49


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES (continued)

March 31, 2018 (Unaudited)

 

 

 

    SPDR S&P China
ETF
  SPDR S&P Global
Natural Resources
ETF

ASSETS

       

Investments in unaffiliated issuers, at value*

    $ 1,169,534,960     $ 1,450,191,019

Investments in affiliated issuers, at value

      21,037,513       51,119,408
   

 

 

     

 

 

 

Total Investments

      1,190,572,473       1,501,310,427

Foreign currency, at value

      434,236       4,681,230

Cash

      23,529       11

Dividends receivable — unaffiliated issuers

      40,216       4,758,351

Dividends receivable — affiliated issuers

      2,837       7,378

Securities lending income receivable — unaffiliated issuers

      76,918       15,183

Securities lending income receivable — affiliated issuers

      74,513       33,768

Receivable for foreign taxes recoverable

            30,455

Other Receivable

            1,382
   

 

 

     

 

 

 

TOTAL ASSETS

      1,191,224,722       1,510,838,185
   

 

 

     

 

 

 

LIABILITIES

       

Payable upon return of securities loaned

      18,667,846       48,214,731

Payable for investments purchased

            1,945,886

Advisory fee payable

      1,750,178       1,451,763

Trustees’ fees and expenses payable

      2,174       1,531

Accrued expenses and other liabilities

      13       904
   

 

 

     

 

 

 

TOTAL LIABILITIES

      20,420,211       51,614,815
   

 

 

     

 

 

 

NET ASSETS

    $ 1,170,804,511     $ 1,459,223,370
   

 

 

     

 

 

 

NET ASSETS CONSIST OF:

       

Paid-in Capital

    $ 1,041,159,915     $ 1,524,363,688

Undistributed (distribution in excess of) net investment income (loss)

      (6,253,971 )       9,476,697

Accumulated net realized gain (loss) investments and foreign currency transactions

      (131,537,967 )       (206,104,522 )

Net unrealized appreciation (depreciation) on:

       

Investments — unaffiliated issuers

      267,435,437       131,519,486

Foreign currency translations

      1,097       (31,979 )
   

 

 

     

 

 

 

NET ASSETS

    $ 1,170,804,511     $ 1,459,223,370
   

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

       

Net asset value per share

    $ 109.42     $ 48.16
   

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

      10,700,000       30,300,000
   

 

 

     

 

 

 

COST OF INVESTMENTS:

       

Investments in unaffiliated issuers

    $ 902,099,523     $ 1,318,671,533

Investments in affiliated issuers

      21,037,513       51,119,408
   

 

 

     

 

 

 

Total cost of investments

    $ 923,137,036     $ 1,369,790,941
   

 

 

     

 

 

 

Foreign currency, at cost

    $ 435,801     $ 4,702,250
   

 

 

     

 

 

 

* Includes investments in securities on loan, at value

    $ 80,905,230     $ 84,253,583
   

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

50


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES (continued)

March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
International Small
Cap ETF
  SPDR S&P North
American Natural
Resources ETF

ASSETS

        

Investments in unaffiliated issuers, at value*

     $ 914,758,454     $ 679,158,377

Investments in affiliated issuers, at value

       97,475,112       29,057,811
    

 

 

     

 

 

 

Total Investments

       1,012,233,566       708,216,188

Foreign currency, at value

       2,775,495       394,576

Cash

       5,603      

Receivable for investments sold

       807,678      

Receivable for fund shares sold

             3,356,661

Dividends receivable — unaffiliated issuers

       4,426,871       595,568

Dividends receivable — affiliated issuers

       1,434       2,188

Securities lending income receivable — unaffiliated issuers

       75,434       5,468

Securities lending income receivable — affiliated issuers

       255,527       4,623

Receivable for foreign taxes recoverable

       168,416      
    

 

 

     

 

 

 

TOTAL ASSETS

       1,020,750,024       712,575,272
    

 

 

     

 

 

 

LIABILITIES

        

Payable upon return of securities loaned

       95,964,387       28,720,522

Payable for investments purchased

             3,356,426

Deferred foreign taxes payable

       31,958      

Advisory fee payable

       930,606       771,500

Trustees’ fees and expenses payable

       1,352       1,873

Accrued expenses and other liabilities

       13       17
    

 

 

     

 

 

 

TOTAL LIABILITIES

       96,928,316       32,850,338
    

 

 

     

 

 

 

NET ASSETS

     $ 923,821,708     $ 679,724,934
    

 

 

     

 

 

 

NET ASSETS CONSIST OF:

        

Paid-in Capital

     $ 904,538,738     $ 587,452,251

Undistributed (distribution in excess of) net investment income (loss)

       (2,554,192 )       2,237,451

Accumulated net realized gain (loss) investments and foreign currency transactions

       (55,632,928 )       (8,791,418 )

Net unrealized appreciation (depreciation) on:

        

Investments — unaffiliated issuers**

       77,469,095       98,825,036

Foreign currency translations

       995       1,614
    

 

 

     

 

 

 

NET ASSETS

     $ 923,821,708     $ 679,724,934
    

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

        

Net asset value per share

     $ 35.13     $ 33.57
    

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       26,300,000       20,250,000
    

 

 

     

 

 

 

COST OF INVESTMENTS:

        

Investments in unaffiliated issuers

     $ 837,258,671     $ 580,333,341

Investments in affiliated issuers

       97,475,112       29,057,811
    

 

 

     

 

 

 

Total cost of investments

     $ 934,733,783     $ 609,391,152
    

 

 

     

 

 

 

Foreign currency, at cost

     $ 2,792,388     $ 394,131
    

 

 

     

 

 

 

* Includes investments in securities on loan, at value

     $ 124,248,733     $ 60,839,392
    

 

 

     

 

 

 

** Includes deferred foreign taxes

     $ 30,688     $
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

51


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR Dow Jones
Global Real
Estate ETF
   SPDR Dow Jones
International Real
Estate ETF

INVESTMENT INCOME

         

Dividend income — unaffiliated issuers

     $ 54,098,660      $ 64,974,758

Dividend income — affiliated issuers

       34,687        23,099

Dividend income — non-cash

              3,791,227

Unaffiliated securities lending income

       9,118       

Affiliated securities lending income

       101,601        253,058

Foreign taxes withheld

       (2,018,501 )        (6,658,374 )
    

 

 

      

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       52,225,565        62,383,768
    

 

 

      

 

 

 

EXPENSES

         

Advisory fee

       6,710,161        10,779,273

Trustees’ fees and expenses

       24,119        33,593

Miscellaneous expenses

       1,362        4,052
    

 

 

      

 

 

 

TOTAL EXPENSES

       6,735,642        10,816,918
    

 

 

      

 

 

 

NET INVESTMENT INCOME (LOSS)

       45,489,923        51,566,850
    

 

 

      

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

         

Net realized gain (loss) on:

         

Investments — unaffiliated issuers

       (2,847,775 )        15,547,242

In-kind redemptions — unaffiliated issuers

       17,069,055        60,541,716

Foreign currency transactions

       403,344        1,331,105
    

 

 

      

 

 

 

Net realized gain (loss)

       14,624,624        77,420,063
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation on:

         

Investments — unaffiliated issuers

       (100,624,015 )        40,092,392

Foreign currency translations

       75,411        157,557
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation

       (100,548,604 )        40,249,949
    

 

 

      

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       (85,923,980 )        117,670,012
    

 

 

      

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ (40,434,057 )      $ 169,236,862
    

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

52


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS (continued)

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P China
ETF
  SPDR S&P
Global Natural
Resources ETF

INVESTMENT INCOME

        

Dividend income — unaffiliated issuers

     $ 491,822     $ 16,631,419

Dividend income — affiliated issuers

       17,272       24,103

Dividend income — non-cash

       178,493       3,098,163

Unaffiliated securities lending income

       501,676       30,048

Affiliated securities lending income

       416,932       183,019

Foreign taxes withheld

       (3,358 )       (1,027,453 )
    

 

 

     

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       1,602,837       18,939,299
    

 

 

     

 

 

 

EXPENSES

        

Advisory fee

       3,350,889       2,774,633

Trustees’ fees and expenses

       9,120       10,721

Miscellaneous expenses

       507       1,794
    

 

 

     

 

 

 

TOTAL EXPENSES

       3,360,516       2,787,148
    

 

 

     

 

 

 

NET INVESTMENT INCOME (LOSS)

       (1,757,679 )       16,152,151
    

 

 

     

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

        

Net realized gain (loss) on:

        

Investments — unaffiliated issuers

       4,101,720       (9,306,365 )

In-kind redemptions — unaffiliated issuers

             38,524,672

Foreign currency transactions

       6,433       25,262
    

 

 

     

 

 

 

Net realized gain (loss)

       4,108,153       29,243,569
    

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation on:

        

Investments — unaffiliated issuers

       83,911,279       29,874,238

Foreign currency translations

       1,244       545
    

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation

       83,912,523       29,874,783
    

 

 

     

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       88,020,676       59,118,352
    

 

 

     

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ 86,262,997     $ 75,270,503
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

53


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS (continued)

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
International
Small Cap ETF
  SPDR S&P North
American Natural
Resources ETF

INVESTMENT INCOME

        

Dividend income — unaffiliated issuers

     $ 9,689,562     $ 9,284,112

Dividend income — affiliated issuers

       24,500       12,753

Unaffiliated securities lending income

       425,473       31,691

Affiliated securities lending income

       1,512,147       9,662

Foreign taxes withheld

       (937,126 )       (389,154 )
    

 

 

     

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       10,714,556       8,949,064
    

 

 

     

 

 

 

EXPENSES

        

Advisory fee

       1,793,944       1,688,281

Trustees’ fees and expenses

       7,484       8,940

Miscellaneous expenses

       3,098       52
    

 

 

     

 

 

 

TOTAL EXPENSES

       1,804,526       1,697,273
    

 

 

     

 

 

 

NET INVESTMENT INCOME (LOSS)

       8,910,030       7,251,791
    

 

 

     

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

        

Net realized gain (loss) on:

        

Investments — unaffiliated issuers*

       (55,142,287 )       (8,513,539 )

In-kind redemptions — unaffiliated issuers

       15,947,947       120,608,930

Foreign currency transactions

       33,542       (78,466 )
    

 

 

     

 

 

 

Net realized gain (loss)

       (39,160,798 )       112,016,925
    

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation on:

        

Investments — unaffiliated issuers**

       77,218,589       (108,166,153 )

Foreign currency translations

       4,861       35,410
    

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation

       77,223,450       (108,130,743 )
    

 

 

     

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       38,062,652       3,886,182
    

 

 

     

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ 46,972,682     $ 11,137,973
    

 

 

     

 

 

 

* Includes foreign capital gain taxes

     $ (1,270 )     $
    

 

 

     

 

 

 

** Includes foreign deferred taxes

     $ (30,688 )     $
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

54


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS

 

 

 

    SPDR Dow Jones
Global Real Estate ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 45,489,923     $ 64,602,385  

Net realized gain (loss)

    14,624,624       16,578,175  

Net change in unrealized appreciation/depreciation

    (100,548,604     (96,432,712
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    (40,434,057     (15,252,152
 

 

 

   

 

 

 

Net equalization credits and charges

    268,730       (65,431
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (44,104,984     (89,877,393

Net realized gains

          (857,139
 

 

 

   

 

 

 

Total distributions to shareholders

    (44,104,984     (90,734,532
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    58,219,519       475,561,849  

Cost of shares redeemed

    (74,949,539     (175,481,476

Net income equalization

    (268,730     65,431  
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    (16,998,750     300,145,804  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    (101,269,061     194,093,689  
 

 

 

   

 

 

 

Net assets at beginning of period

    2,688,166,221       2,494,072,532  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 2,586,897,160     $ 2,688,166,221  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ (16,888,191   $ (18,273,130
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    1,200,000       10,000,000  

Shares redeemed

    (1,600,000     (3,800,000
 

 

 

   

 

 

 

Net increase (decrease)

    (400,000     6,200,000  
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

55


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR Dow Jones
International Real Estate ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 51,566,850     $ 113,061,250  

Net realized gain (loss)

    77,420,063       5,247,767  

Net change in unrealized appreciation/depreciation

    40,249,949       (154,768,441
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    169,236,862       (36,459,424
 

 

 

   

 

 

 

Net equalization credits and charges

    12,143,075       15,880,576  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (37,502,617     (311,582,179
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    20,946,055       256,719,441  

Cost of shares redeemed

    (347,165,251     (782,280,454

Net income equalization

    (12,143,075     (15,880,576
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    (338,362,271     (541,441,589
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    (194,484,951     (873,602,616
 

 

 

   

 

 

 

Net assets at beginning of period

    3,654,632,586       4,528,235,202  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 3,460,147,635     $ 3,654,632,586  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ (78,803,865   $ (92,868,098
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    500,000       7,000,000  

Shares redeemed

    (8,800,000     (20,600,000
 

 

 

   

 

 

 

Net increase (decrease)

    (8,300,000     (13,600,000
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

56


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR S&P China ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ (1,757,679   $ 16,238,110  

Net realized gain (loss)

    4,108,153       12,351,245  

Net change in unrealized appreciation/depreciation

    83,912,523       216,230,520  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    86,262,997       244,819,875  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (17,293,452     (13,804,543
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    72,595,854       65,862,580  

Cost of shares redeemed

          (79,843,509

Other capital

          81,680  
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    72,595,854       (13,899,249
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    141,565,399       217,116,083  
 

 

 

   

 

 

 

Net assets at beginning of period

    1,029,239,112       812,123,029  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 1,170,804,511     $ 1,029,239,112  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ (6,253,971   $ 12,797,160  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    600,000       800,000  

Shares redeemed

          (1,000,000
 

 

 

   

 

 

 

Net increase (decrease)

    600,000       (200,000
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

57


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR S&P Global Natural Resources
ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 16,152,151     $ 27,102,435  

Net realized gain (loss)

    29,243,569       (14,310,322

Net change in unrealized appreciation/depreciation

    29,874,783       164,355,129  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    75,270,503       177,147,242  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (17,742,516     (21,131,997
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    286,005,809       383,018,989  

Cost of shares redeemed

    (110,463,967     (35,713,570
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    175,541,842       347,305,419  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    233,069,829       503,320,664  
 

 

 

   

 

 

 

Net assets at beginning of period

    1,226,153,541       722,832,877  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 1,459,223,370     $ 1,226,153,541  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ 9,476,697     $ 11,067,062  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    5,850,000       9,150,000  

Shares redeemed

    (2,300,000     (900,000
 

 

 

   

 

 

 

Net increase (decrease)

    3,550,000       8,250,000  
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

58


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR S&P International Small Cap
ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 8,910,030     $ 15,381,998  

Net realized gain (loss)

    (39,160,798     30,389,035  

Net change in unrealized appreciation/depreciation

    77,223,450       74,520,391  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    46,972,682       120,291,424  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (20,549,602     (18,173,278

Net realized gains

    (25,045,644     (8,822,560
 

 

 

   

 

 

 

Total distributions to shareholders

    (45,595,246     (26,995,838
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    127,692,902       109,633,538  

Cost of shares redeemed

    (91,678,167     (18,811,709
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    36,014,735       90,821,829  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    37,392,171       184,117,415  
 

 

 

   

 

 

 

Net assets at beginning of period

    886,429,537       702,312,122  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 923,821,708     $ 886,429,537  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ (2,554,192   $ 9,085,380  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    3,500,000       3,500,000  

Shares redeemed

    (2,600,000     (600,000
 

 

 

   

 

 

 

Net increase (decrease)

    900,000       2,900,000  
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

59


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR S&P North American
Natural Resources ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 7,251,791     $ 13,633,658  

Net realized gain (loss)

    112,016,925       7,457,091  

Net change in unrealized appreciation/depreciation

    (108,130,743     17,983,725  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    11,137,973       39,074,474  
 

 

 

   

 

 

 

Net equalization credits and charges

    (68,156     344,809  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (9,205,689     (13,273,288

Net realized gains

    (4,485,257     (27,661,995
 

 

 

   

 

 

 

Total distributions to shareholders

    (13,690,946     (40,935,283
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    53,268,085       199,954,790  

Cost of shares redeemed

    (387,750,182     (10,426,420

Net income equalization

    68,156       (344,809
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    (334,413,941     189,183,561  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    (337,035,070     187,667,561  
 

 

 

   

 

 

 

Net assets at beginning of period

    1,016,760,004       829,092,443  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 679,724,934     $ 1,016,760,004  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ 2,237,451     $ 4,191,349  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    1,550,000       6,150,000  

Shares redeemed

    (11,500,000     (300,000
 

 

 

   

 

 

 

Net increase (decrease)

    (9,950,000     5,850,000  
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

60


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS

Selected data for a share outstanding throughout each period

 

 

 

    SPDR Dow Jones Global Real Estate ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 47.66     $ 49.68     $ 45.11     $ 44.24     $ 42.16     $ 40.56  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    0.80       1.19       1.23       1.17       1.23       1.16  

Net realized and unrealized gain (loss) (b)

    (1.50     (1.51     4.88       1.04       2.24       2.21  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    (0.70     (0.32     6.11       2.21       3.47       3.37  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net equalization credits and charges (a)

    0.00 (c)      (0.00 )(c)      0.03       0.02       0.07       0.10  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.77     (1.68     (1.57     (1.36     (1.46     (1.87

Net realized gains

          (0.02                        
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

    (0.77     (1.70     (1.57     (1.36     (1.46     (1.87
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 46.19     $ 47.66     $ 49.68     $ 45.11     $ 44.24     $ 42.16  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (d)

    (1.50 )%      (0.55 )%      13.71     4.96     8.44     8.61

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 2,586,897     $ 2,688,166     $ 2,494,073     $ 1,899,194     $ 1,473,132     $ 1,003,377  

Ratios to average net assets:

           

Total expenses

    0.50 %(e)      0.50     0.50     0.50     0.50     0.50

Net investment income (loss)

    3.39 %(e)      2.52     2.56     2.46     2.77     2.71

Portfolio turnover rate (f)

    4 %(g)      13     9     6     7     8

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

61


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR Dow Jones International Real Estate ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 38.37     $ 41.61     $ 39.24     $ 41.54     $ 42.00     $ 39.29  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    0.56       1.16       1.08       1.02       1.39       1.29  

Net realized and unrealized gain (loss) (b)

    1.15       (1.36     2.32       (2.07     0.16       4.01  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    1.71       (0.20     3.40       (1.05     1.55       5.30  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net equalization credits and charges (a)

    0.13       0.16       0.08       (0.01     (0.06     0.02  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.41     (3.20     (1.11     (1.24     (1.95     (2.61
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 39.80     $ 38.37     $ 41.61     $ 39.24     $ 41.54     $ 42.00  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (c)

    4.79     0.48     8.93     (2.66 )%      3.57     13.83 %(d) 

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 3,460,148     $ 3,654,633     $ 4,528,235     $ 4,753,058     $ 4,903,056     $ 4,045,899  

Ratios to average net assets:

           

Total expenses

    0.59 %(e)      0.59     0.59     0.60     0.59     0.59

Net investment income (loss)

    2.82 %(e)      3.03     2.65     2.40     3.27     3.10

Portfolio turnover rate (f)

    6 %(g)      18     14     8     8     11

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) If the Adviser had not made a contribution during the period ended September 30, 2013, the total return would have remained 13.83%.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

62


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P China ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 101.90     $ 78.85     $ 68.73     $ 76.42     $ 74.18     $ 65.45  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    (0.17     1.57 (b)      1.38       1.92       1.77       1.63  

Net realized and unrealized gain (loss) (c)

    9.40       22.78       10.68       (8.34     1.93       8.72  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    9.23       24.35       12.06       (6.42     3.70       10.35  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Other capital

          0.01       0.00 (d)      0.02              
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (1.71     (1.31     (1.94     (1.29     (1.46     (1.62
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 109.42     $ 101.90     $ 78.85     $ 68.73     $ 76.42     $ 74.18  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (e)

    9.09     31.50 %(b)      17.81     (8.69 )%      5.00     16.20

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 1,170,805     $ 1,029,239     $ 812,123     $ 817,908     $ 947,605     $ 897,623  

Ratios to average net assets:

           

Total expenses

    0.59 %(f)      0.59     0.59     0.59     0.59     0.59

Net investment income (loss)

    (0.31 )%(f)      1.85 %(b)      1.94     2.32     2.33     2.31

Portfolio turnover rate (g)

    2 %(h)      5     6     14     10     12

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Net investment income per share and ratio of net investment income to average net assets reflect receipt of special dividend from portfolio holding. The resulting increase to net investment income amounted to $0.19 per share and 0.23% of average net assets. If the special dividends were not received during the year ended September 30, 2017, the total return would have been 31.24%.
(c) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(d) Amount is less than $0.005 per share.
(e) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

63


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Global Natural Resources ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 45.84     $ 39.07     $ 32.56     $ 48.62     $ 48.54     $ 50.90  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    0.56       1.19       0.97       1.51       1.33       1.30  

Net realized and unrealized gain (loss) (b)

    2.40       6.51       6.63       (16.27     (0.10     (2.41
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    2.96       7.70       7.60       (14.76     1.23       (1.11
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.64     (0.93     (1.09     (1.30     (1.15     (1.25
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 48.16     $ 45.84     $ 39.07     $ 32.56     $ 48.62     $ 48.54  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (c)

    6.44     19.95     23.87     (30.97 )%      2.39     (2.09 )% 

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 1,459,223     $ 1,226,154     $ 722,833     $ 569,822     $ 595,617     $ 407,763  

Ratios to average net assets:

           

Total expenses

    0.40 %(d)      0.41     0.40     0.40     0.40     0.40

Net investment income (loss)

    2.33 %(d)      2.82     2.75     3.52     2.63     2.63

Portfolio turnover rate (e)

    8 %(f)      25     23     21     18     31

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

64


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P International Small Cap ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 34.90     $ 31.21     $ 27.57     $ 32.76     $ 32.82     $ 27.49  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    0.35       0.63       0.62       0.57       0.54       0.65  

Net realized and unrealized gain (loss) (b)

    1.72       4.23       3.76       (2.14     0.36       5.37  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    2.07       4.86       4.38       (1.57     0.90       6.02  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.83     (0.79     (0.59     (0.49     (0.96     (0.69

Net realized gains

    (1.01     (0.38     (0.15     (3.13            
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

    (1.84     (1.17     (0.74     (3.62     (0.96     (0.69
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 35.13     $ 34.90     $ 31.21     $ 27.57     $ 32.76     $ 32.82  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (c)

    5.88     16.30     16.18     (4.77 )%      2.69     22.25

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 923,822     $ 886,430     $ 702,312     $ 650,556     $ 792,719     $ 813,871  

Ratios to average net assets:

           

Total expenses

    0.40 %(d)      0.40     0.40     0.47     0.60     0.59

Net investment income (loss)

    1.99 %(d)      1.99     2.15     1.93     1.59     2.20

Portfolio turnover rate (e)

    2 %(f)      31     20     17     51     21

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

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SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P North American Natural Resources ETF  
    Six Months
Ended

3/31/18
(Unaudited)
    Year
Ended
9/30/17
    For the
Period
12/16/15* -
9/30/16
 

Net asset value, beginning of period

  $ 33.67     $ 34.05     $ 25.00  
 

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

     

Net investment income (loss) (a)

    0.26       0.50       0.39  

Net realized and unrealized gain (loss) (b)

    0.09       0.75       8.91  
 

 

 

   

 

 

   

 

 

 

Total from investment operations

    0.35       1.25       9.30  
 

 

 

   

 

 

   

 

 

 

Net equalization credits and charges (a)

    (0.00 )(c)      0.01       (0.02
 

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

     

Net investment income

    (0.30     (0.51     (0.25

Net realized gains

    (0.15     (1.13      
 

 

 

   

 

 

   

 

 

 

Total distributions

    (0.45     (1.64     (0.25
 

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 33.57     $ 33.67     $ 34.05  
 

 

 

   

 

 

   

 

 

 

Total return (d)

    0.95     3.74     37.21

Ratios and Supplemental Data:

     

Net assets, end of period (in 000s)

  $ 679,725     $ 1,016,760     $ 829,092  

Ratios to average net assets:

     

Total expenses

    0.35 %(e)      0.35     0.35 %(e) 

Net investment income (loss)

    1.50 %(e)      1.53     1.63 %(e) 

Portfolio turnover rate (f)

    9 %(g)      15     15 %(g) 

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS

March 31, 2018 (Unaudited)

 

 

 

1. Organization

SPDR Index Shares Funds (the “Trust”), a Massachusetts business trust, registered under the Investment Company Act of 1940, as amended (“1940 Act”), is an open-end management investment company.

As of March 31, 2018, the Trust consists of thirty (30) series, each of which represents a separate series of beneficial interest in the Trust. The Declaration of Trust permits the Board of Trustees of the Trust (the “Board”) to authorize the issuance of an unlimited number of shares of beneficial interest at $0.01 par value. The financial statements herein relate to the following series (each a “Fund”, and collectively, the “Funds”):

SPDR Dow Jones Global Real Estate ETF

SPDR Dow Jones International Real Estate ETF

SPDR S&P China ETF

SPDR S&P Global Natural Resources ETF

SPDR S&P International Small Cap ETF

SPDR S&P North American Natural Resources ETF

Each Fund is classified as a non-diversified investment company under the 1940 Act.

Under the Trust’s organizational documents, its officers and trustees are indemnified against certain liabilities arising out of the performance of their duties to the Trust. Additionally, in the normal course of business, the Trust enters into contracts with service providers that contain general indemnification clauses. The Trust’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Trust that have not yet occurred.

 

2. Summary of Significant Accounting Policies

The following is a summary of significant accounting policies followed by the Trust in the preparation of its financial statements:

The preparation of financial statements in accordance with U.S. generally accepted accounting principles (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates. Each Fund is an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Valuation

Each Fund’s investments are valued at fair value each day that the New York Stock Exchange (“NYSE”) is open and, for financial reporting purposes, as of the report date should the reporting period end on a day that the NYSE is not open. Fair value is generally defined as the price a fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. By its nature, a fair value price is a good faith estimate of the valuation in a current sale and may not reflect an actual market price. The investments of each Fund are valued pursuant to the policy and procedures developed by the Oversight Committee (the “Committee”) and approved by the Board. The Committee provides oversight of the valuation of investments for the Funds. The Board has responsibility for determining the fair value of investments.

Valuation techniques used to value each Fund’s investments by major category are as follows:

 

  Equity investments (including registered investment companies that are exchange-traded funds) traded on a recognized securities exchange for which market quotations are readily available are valued at the last sale price or official closing price, as applicable, on the primary market or exchange on which they trade. Equity investments traded on a recognized exchange for which there were no sales on that day are valued at the last published sale price or at fair value.

 

  Rights and warrants are valued at the last reported sale price obtained from independent pricing services or brokers on the valuation date. If no price is obtained from pricing services or brokers, valuation will be based upon the intrinsic value, pursuant to the valuation policy and procedures approved by the Board.

 

  Investments in registered investment companies (including money market funds) or other unitized pooled investment vehicles that are not traded on an exchange are valued at that day’s published net asset value (“NAV”) per share or unit.

In the event prices or quotations are not readily available or that the application of these valuation methods results in a price for an investment that is deemed to be not representative of the fair value of such investment, fair value will be determined in good faith by the Committee, in accordance with the valuation policy and procedures approved by the Board.

Fair value pricing could result in a difference between the prices used to calculate a Fund’s NAV and the prices used by the Funds’ underlying benchmarks. Various inputs are used in determining the value of the Funds’ investments.

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Funds value their assets and liabilities at fair value using a fair value hierarchy consisting of three broad levels that prioritize the inputs to valuation techniques giving the highest priority to readily available unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements) when market prices are not readily available or reliable. The categorization of a value determined for an investment within the hierarchy is based upon the pricing transparency of the investment and is not necessarily an indication of the risk associated with investing in it.

The three levels of the fair value hierarchy are as follows:

 

  Level 1 – Unadjusted quoted prices in active markets for an identical asset or liability;

 

  Level 2 – Inputs other than quoted prices included within Level 1 that are observable for the asset or liability either directly or indirectly, including quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not considered to be active, inputs other than quoted prices that are observable for the asset or liability (such as exchange rates, financing terms, interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs; and

 

  Level 3 – Unobservable inputs for the asset or liability, including the Committee’s assumptions used in determining the fair value of investments.

The value of each Fund’s investments according to the fair value hierarchy as of March 31, 2018, is disclosed in each Fund’s respective Schedule of Investments.

Changes in valuation techniques may result in transfers in or out of an assigned level within the fair value hierarchy. Transfers between different levels of the fair value hierarchy are recognized at the end of the reporting period. The Funds had no material transfers between levels for the period ended March 31, 2018.

Investment Transactions and Income Recognition

Investment transactions are accounted for on trade date for financial reporting purposes. Realized gains and losses from the sale or disposition of investments and foreign exchange transactions, if any, are determined using the identified cost method.

Dividend income and capital gain distributions, if any, are recognized on the ex-dividend date, net of any foreign taxes withheld at source, if any. Non-cash dividends received in the form of stock, if any, are recorded as dividend income at fair value. Distributions received by the Funds may include a return of capital that is estimated by

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

management. Such amounts are recorded as a reduction of the cost of investments or reclassified to capital gains.

Certain Funds invest in real estate investment trusts (“REITs”). REITs determine the tax character of their distributions annually and may characterize a portion of their distributions as a return of capital or capital gain. The Funds’ policy is to record all REIT distributions initially as dividend income and re-designate the prior calendar year’s to return of capital or capital gain distributions at year end based on information provided by the REIT and/or SSGA Funds Management, Inc.’s (the “Adviser” or “SSGA FM”) estimates of such re-designations for which actual information has not yet been reported.

Expenses

Certain expenses, which are directly identifiable to a specific Fund, are applied to that Fund within the Trust. Other expenses which cannot be attributed to a specific Fund are allocated in such a manner as deemed equitable, taking into consideration the nature and type of expense and the relative net assets of the Funds within the Trust.

Foreign Currency Translation

The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies as well as investment securities and other assets and liabilities denominated in a foreign currency are translated to U.S. dollars using exchange rates at period end. Purchases and sales of securities, income receipts and expense payments denominated in foreign currencies are translated into U.S. dollars at the prevailing exchange rate on the respective dates of the transactions.

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Foreign Taxes

The Funds may be subject to foreign taxes (a portion of which may be reclaimable) on income, stock dividends, realized and unrealized capital gains on investments or certain foreign currency transactions. Foreign taxes are recorded in accordance with SSGA FM’s understanding of the applicable foreign tax regulations and rates that exist in the foreign jurisdictions in which the Funds invest. These foreign taxes, if any, are paid by the Funds and are reflected in the Statements of Operations, if applicable. Foreign taxes payable or deferred as of March 31, 2018, if any, are disclosed in the Funds’ Statements of Assets and Liabilities.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Equalization

Certain Funds in the Trust follow the accounting practice known as “Equalization” by which a portion of the proceeds from sales and costs of reacquiring Fund shares, equivalent on a per share basis to the amount of distributable net investment income on the date of the transaction, is credited or charged to undistributed net investment income. As a result, undistributed net investment income per share is unaffected by sales or reacquisition of Fund shares. Amounts related to Equalization can be found on the Statements of Changes in Net Assets.

The following Funds utilized equalization during the period ended March 31, 2018:

SPDR Dow Jones Global Real Estate ETF

SPDR Dow Jones International Real Estate ETF

SPDR S&P North American Natural Resources ETF

Distributions

The SPDR Dow Jones Global Real Estate ETF and the SPDR Dow Jones International Real Estate ETF declare and distribute from net investment income, if any, to their shareholders quarterly. The SPDR S&P North American Natural Resources ETF, SPDR S&P China ETF, SPDR S&P International Small Cap ETF and SPDR S&P Global Natural Resources ETF declare and distribute from net investment income, if any, to their shareholders semi-annually.

Net realized capital gains, if any, are distributed annually. Dividends may be declared and paid more frequently or at any other times to improve index tracking or to comply with the distribution requirements of the Internal Revenue Code. The amount and character of income and capital gains to be distributed are determined in accordance with applicable tax regulations which may differ from net investment income and realized gains recognized for U.S. GAAP purposes.

 

3. Fees and Transactions with Affiliates

Advisory Fee

The Trust, on behalf of each Fund, has entered into an Investment Advisory Agreement with SSGA FM. For its advisory services to the Funds, facilities furnished, and expenses borne by the Adviser, each Fund pays the Adviser a fee accrued daily and paid

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

quarterly, based on a percentage of each Fund’s average daily net assets as shown in the following table:

 

    Annual Rate

SPDR Dow Jones Global Real Estate ETF

      0.50 %

SPDR Dow Jones International Real Estate ETF

      0.59

SPDR S&P China ETF

      0.59

SPDR S&P Global Natural Resources ETF

      0.40

SPDR S&P International Small Cap ETF

      0.40

SPDR S&P North American Natural Resources ETF

      0.35

The Adviser pays all operating expenses of each Fund other than management fee, distribution fee pursuant to each Fund’s Distribution and Service Plan, if any, brokerage expenses, taxes, interest, the fees and expenses of the Trust’s trustees who are “not interested persons” of the Trust, as defined in the 1940 Act, (“Independent Trustees”) (including any Trustees’ counsel fees), litigation expenses, acquired fund fees and expenses and other extraordinary expenses.

Administrator, Custodian, Sub-Administrator and Transfer Agent Fees

SSGA FM serves as administrator and State Street Bank and Trust Company (“State Street”), an affiliate of the Adviser, serves as custodian, sub-administrator and transfer agent. State Street receives fees for its services as custodian, sub-administrator and transfer agent from the Adviser.

Distributor

State Street Global Advisors Funds Distributors, LLC (“SSGA FD” or the “Distributor”), an affiliate of the Adviser, serves as the Distributor of the Trust.

Other Transactions with Affiliates - Securities Lending

State Street, an affiliate of the Funds, acts as the securities lending agent for the Funds, pursuant to an amended and restated securities lending authorization agreement dated January 6, 2017.

Proceeds collected by State Street on investment of cash collateral or any fee income are allocated as follows (after deduction of such other amounts payable to State Street under the terms of the securities lending agreement): 85% payable to the Fund, and 15% payable to State Street.

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

In addition, cash collateral from lending activities is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, an affiliated money market fund, for which SSGA FM serves as investment adviser. See Note 8 for additional information regarding securities lending.

Other Transactions with Affiliates

The Funds may invest in affiliated entities, including securities issued by State Street Corporation, affiliated funds, or entities deemed to be affiliates as a result of the Funds owning more than five percent of the entity’s voting securities or outstanding shares. Amounts relating to these transactions during the period ended March 31, 2018, are disclosed in the Schedules of Investments.

 

4. Trustees’ Fees

The fees and expenses of the Trust’s trustees, who are not “interested persons” of the Trust, as defined in the 1940 Act (“Independent Trustees”), are paid directly by the Funds. The Independent Trustees are reimbursed for travel and other out-of-pocket expenses in connection with meeting attendance and industry seminars.

 

5. Investment Transactions

Purchases and sales of investments (excluding in-kind transactions, short term investments and derivative contracts) for the period ended March 31, 2018, were as follows:

 

    Purchases     Sales  

SPDR Dow Jones Global Real Estate ETF

  $ 171,139,483     $ 185,062,388  

SPDR Dow Jones International Real Estate ETF

    257,409,823       565,303,548  

SPDR S&P China ETF

    76,411,897       17,317,575  

SPDR S&P Global Natural Resources ETF

    149,647,493       106,023,104  

SPDR S&P International Small Cap ETF

    20,233,038       54,977,839  

SPDR S&P North American Natural Resources ETF

    87,260,502       88,087,783  

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

For the period ended March 31, 2018, the following Funds had in-kind contributions, redemptions and net realized gains/losses in the amounts as follows:

 

    In-kind
Contributions
    In-kind
Redemptions
    In-kind Net
Realized
Gains/(Losses)
 

SPDR Dow Jones Global Real Estate ETF

  $ 57,938,581     $ 74,674,949     $ 17,069,055  

SPDR Dow Jones International Real Estate ETF

    20,780,831       344,367,972       60,541,716  

SPDR S&P China ETF

    11,919,223              

SPDR S&P Global Natural Resources ETF

    238,043,763       110,299,694       38,524,672  

SPDR S&P International Small Cap ETF

    101,259,362       71,978,458       15,947,947  

SPDR S&P North American Natural Resources ETF

    53,268,695       389,000,735       120,608,930  

 

6. Shareholder Transactions

Each Fund issues and redeems its shares, at NAV, by each Fund only in aggregations of a specified number of shares or multiples thereof (“Creation Units”). Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in capital shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets.

The consideration for the purchase of Creation Units of a Fund may consist of the in-kind deposit of a designated portfolio of securities and a specified amount of cash. Investors purchasing and redeeming Creation Units may pay a purchase transaction fee and a redemption transaction fee directly to the Trust and/or custodian, to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units, including Creation Units for cash. An additional variable fee may be charged for certain transactions. Such variable charges, if any, are included in “Other Capital” on the Statements of Changes on Net Assets.

 

7. Income Tax Information

The Funds have qualified and intend to continue to qualify as regulated investment companies under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund will not be subject to federal income taxes to the extent it distributes its taxable income, including any net realized capital gains, for each fiscal year. Therefore, no provision for federal income tax is required.

The Funds file federal and various state and local tax returns as required. No income tax returns are currently under examination. Generally, the federal returns are subject to examination by the Internal Revenue Service for a period of three years from date of filing, while the state returns may remain open for an additional year depending upon

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

jurisdiction. As of September 30, 2017, SSGA FM has analyzed each Fund’s tax positions taken on tax returns for all open years and does not believe there are any uncertain tax positions that would require recognition of a tax liability.

Distributions to shareholders are recorded on ex-dividend date. Income dividends and gain distributions are determined in accordance with income tax rules and regulations, which may differ from generally accepted accounting principles.

As of March 31, 2018, gross unrealized appreciation and gross unrealized depreciation of investments based on cost for federal income tax purposes were as follows:

 

    Tax
Cost
    Gross
Unrealized
Appreciation
    Gross
Unrealized
Depreciation
    Net Unrealized
Appreciation
(Depreciation)
 

SPDR Dow Jones Global Real Estate ETF

  $ 2,577,945,414     $ 245,698,672     $ 221,926,002     $ 23,772,670  

SPDR Dow Jones International Real Estate ETF

    3,539,911,790       375,081,916       305,244,579       69,837,337  

SPDR S&P China ETF

    930,102,433       387,486,750       127,016,710       260,470,040  

SPDR S&P Global Natural Resources ETF

    1,383,751,554       162,950,812       45,391,939       117,558,873  

SPDR S&P International Small Cap ETF

    943,769,214       161,816,271       93,351,919       68,464,352  

SPDR S&P North American Natural Resources ETF

    610,409,798       112,755,829       14,949,439       97,806,390  

 

8. Securities Lending

Each Fund may lend securities to qualified broker-dealers or institutional investors. The loans are secured at all times by cash, cash equivalents or U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. The value of the collateral with respect to a loaned security may be temporarily more or less than the value of a security due to market fluctuations of securities values. With respect to each loan, if on any U.S. business day the aggregate market value of securities collateral plus cash collateral is less than the aggregate market value of the securities which are subject to the loan, the borrower will be notified to provide additional collateral on the next business day.

The Funds will regain record ownership of loaned securities to exercise certain beneficial rights; however, the Funds may bear the risk of delay in recovery of, or even loss of rights in the securities loaned should the borrower fail financially. In addition, a

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Fund will bear the risk of loss of any cash collateral that it may invest. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash, cash equivalents or U.S. government securities held as collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as the lending agent. Additionally, a Fund will receive a fee from the borrower for non-cash collateral equal to a percentage of the market value of the loaned securities.

The market value of securities on loan as of March 31, 2018, and the value of the invested cash collateral are disclosed in the Funds’ Statements of Assets and Liabilities. Non-cash collateral is not disclosed in the Funds’ Statements of Assets and Liabilities as it is held by the lending agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Securities lending income, as disclosed in the Funds’ Statements of Operations, represents the income earned from the non-cash collateral and the investment of cash collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as lending agent.

The following is a summary of each Fund’s securities lending agreements and related cash and non-cash collateral received as of March 31, 2018:

 

Fund

  Market Value of
Securities on Loan
    Cash
Collateral
Received
    Non Cash
Collateral
Received*
    Total
Collateral
Received
 

SPDR Dow Jones Global Real Estate ETF

  $ 42,984,802     $ 25,171,435     $ 19,325,377     $ 44,496,812  

SPDR Dow Jones International Real Estate ETF

    170,226,643       166,351,563       11,320,596       177,672,159  

SPDR S&P China ETF

    80,905,230       18,667,846       69,825,776       88,493,622  

SPDR S&P Global Natural Resources ETF

    84,253,583       48,214,731       39,097,682       87,312,413  

SPDR S&P International Small Cap ETF

    124,248,733       95,964,387       35,333,821       131,298,208  

SPDR S&P North American Natural Resources ETF

    60,839,392       28,720,522       34,031,804       62,752,326  

 

* The non-cash collateral includes U.S. Treasuries and U.S. Government Agency securities.

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged or securities loaned, and the remaining contractual maturity of those transactions as of March 31, 2018:

 

        Remaining Contractual Maturity of the Agreements
As of March 31, 2018
 

Fund

 

Securities

Lending

Transactions

  Overnight
and
Continuous
    <30 Days     Between
30 & 90
Days
    >90 Days     Total
Borrowings
    Gross Amount
of Recognized
Liabilities for
Securities Lending
Transactions
 

SPDR Dow Jones Global Real Estate ETF

 

Common Stocks

  $ 25,171,435     $     $     $     $ 25,171,435     $ 25,171,435  

SPDR Dow Jones International Real Estate ETF

 

Common Stocks

    166,351,563                         166,351,563       166,351,563  

SPDR S&P China ETF

 

Common Stocks

    18,667,846                         18,667,846       18,667,846  

SPDR S&P Global Natural Resources ETF

 

Common Stocks

    48,214,731                         48,214,731       48,214,731  

SPDR S&P International Small Cap ETF

 

Common Stocks

    95,964,387                         95,964,387       95,964,387  

SPDR S&P North American Natural Resources ETF

 

Common Stocks

    28,720,522                         28,720,522       28,720,522  

 

9. Line of Credit

The Funds and other affiliated funds (each a “Participant” and, collectively, the “Participants”) participate in a $500 million revolving credit facility provided by a syndication of banks under which the Participants may borrow to fund shareholder redemptions. This agreement expires in October 2018 unless extended or renewed.

The Participants are charged an annual commitment fee which is calculated based on the unused portion of the shared credit line. Commitment fees are allocated among each of the Participants based on relative net assets. Commitment fees are ordinary fund operating expenses paid by the Adviser. A Participant incurs and pays the interest expense related to its borrowing. Interest is calculated at a rate per annum equal to the sum of 1% plus the greater of the New York Fed Bank Rate and 1-month LIBOR rate.

Prior to October 12, 2017, the Funds and other affiliated funds participated in a $360 million revolving credit facility.

The Funds had no outstanding loans as of March 31, 2018.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

10. Risks

Concentration Risk

As a result of the Funds’ ability to invest a large percentage of their assets in obligations of issuers within the same country, state, region, currency or economic sector, an adverse economic, business or political development may affect the value of the Funds’ investments more than if the Funds were more broadly diversified.

Foreign and Emerging Markets Risk

Investing in foreign markets involves risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of government regulation, economic, political and social instability in the countries in which the Funds invest. Foreign markets may be less liquid than investments in the U.S. and may be subject to the risks of currency fluctuations. To the extent that a Fund invests in securities of issuers located in emerging markets, these risks may be even more pronounced.

Market and Credit Risk

In the normal course of business, the Funds trade financial instruments and enter into financial transactions where risk of potential loss exists due to changes in the general economic conditions and fluctuations of the market (market risk). Additionally, a Fund may also be exposed to credit risk in the event that an issuer or guarantor fails to perform or that an institution or entity with which the Fund has unsettled or open transactions defaults.

 

11. Subsequent Events

Management has evaluated the impact of all subsequent events on the Funds through the date on which the financial statements were available to be issued and has determined that there were no subsequent events requiring adjustment or disclosure in the financial statements.

 

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Table of Contents

SPDR INDEX SHARES FUNDS

OTHER INFORMATION

March 31, 2018 (Unaudited)

 

 

 

Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads), if applicable, on purchase payments, reinvested dividends, or other distributions and (2) ongoing costs, including advisory fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds. It is based on an investment of $1,000 made at the beginning of the period shown and held for the entire period from October 1, 2017 to March 31, 2018.

The table below illustrates your Fund’s cost in two ways:

Based on actual fund return — This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from each Fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the Fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for the Fund under the heading “Expenses Paid During Period”.

Based on hypothetical 5% return — This section is intended to help you compare your Fund’s costs with those of other mutual funds. It assumes that the Fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case, because the return used is not the Fund’s actual return, the results do not apply to your investment. The example is useful in making comparisons because the U.S. Securities and Exchange Commission (the “SEC”) requires all mutual funds to calculate expenses based on a 5% return. You can assess your Fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as sales load charges (loads). Therefore, the hypothetical 5% return section of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transaction costs were included, your costs would have been higher.

 

79


Table of Contents

SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

 

    SPDR Dow
Jones Global
Real Estate
ETF
    SPDR Dow
Jones
International
Real Estate
ETF
    SPDR S&P
China ETF
 

Annualized Expense Ratio

    0.50     0.59     0.59

Actual:

     

Ending Account Value

  $ 985.00     $ 1,047.90     $ 1,090.90  

Expenses Paid During Period(a)

    2.47       3.01       3.08  

Hypothetical (assuming a 5% return before expenses):

     

Ending Account Value

    1,022.40       1,022.00       1,022.00  

Expenses Paid During Period(a)

    2.52       2.97       2.97  
    SPDR S&P
Global Natural
Resources ETF
    SPDR S&P
International
Small Cap ETF
    SPDR S&P
North
American
Natural
Resources ETF
 

Annualized Expense Ratio

    0.40     0.40     0.35

Actual:

     

Ending Account Value

  $ 1,064.40     $ 1,058.80     $ 1,009.50  

Expenses Paid During Period(a)

    2.06       2.05       1.75  

Hypothetical (assuming a 5% return before expenses):

     

Ending Account Value

    1,022.90       1,022.90       1,023.20  

Expenses Paid During Period(a)

    2.02       2.02       1.77  

 

(a) Expenses are equal to the Fund’s annualized net expense ratio multiplied by the average account value of the period, multiplied by 182, then divided by 365.

Premium/Discount Information

Information regarding how often the Shares of each Fund traded on the exchange at a price above (i.e. at a premium) or below (i.e. at a discount) the NAV of the Fund during the past calendar year can be found at www.spdrs.com.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

Proxy Voting Policies and Procedures and Records

A description of the Trust’s proxy voting policies and procedures that are used by the Funds’ investment adviser to vote proxies relating to the Funds’ portfolio of securities are available (i) without charge, upon request by calling 1-866-787-2257 (toll free) or (ii) on the SEC’s website, at www.sec.gov.

Information regarding how the investment adviser voted for the prior 12-months period ended June 30, is available by August 31 of each year by calling the same number and on the SEC’s website, at www.sec.gov, and on the Funds’ website at www.spdrs.com.

Quarterly Portfolio Schedule

The Funds file a complete schedule of investments with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Funds’ Forms N-Q are available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington DC. Information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. The information on the Form N-Q is available upon request, without charge, by calling 1-866-787-2257 (toll free) and on the Funds’ website at www.spdrs.com.

Full Portfolio Schedule

The complete schedule of portfolio holdings for the following Funds is available on the Funds’ website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

SPDR S&P China ETF

SPDR S&P International Small Cap ETF

 

81


Table of Contents

SPDR® Index Shares Funds

SPDR Index Shares Funds

 

Trustees

Bonny E. Boatman

Dwight D. Churchill

David M. Kelly

Frank Nesvet, Chairman

James E. Ross

Carl G. Verboncoeur

Investment Manager and Administrator

SSGA Funds Management, Inc.

One Iron Street

Boston, MA 02210

Distributor

State Street Global Advisors Funds

Distributors, LLC

One Iron Street

Boston, MA 02210

Custodian, Sub-Administrator and Transfer Agent

State Street Bank and Trust Company

One Lincoln Street

Boston, MA 02111

Legal Counsel

Morgan, Lewis & Bockius LLP

1111 Pennsylvania Avenue, NW

Washington, DC 20004

Independent Registered Public Accounting Firm

PricewaterhouseCoopers LLP

101 Seaport Boulevard

Suite 500

Boston, MA 02210

 

 

Fund Shares are distributed by State Street Global Advisors Funds Distributors, LLC, a wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC; member FINRA, SIPC.

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

SPDR® Index Shares Funds

For more complete information, please call 1.866.787.2257 or

visit spdrs.com today.

ssga.com | spdrs.com

 

The Funds are not sponsored, endorsed, sold, or promoted by Stoxx, S&P Dow Jones Indices LLC, MSCI Inc., and Russell Investment Group. Neither do these companies make any representation regarding the advisability of investing in the Funds. The Funds are distributed by State Street Global Advisors Funds Distributors, LLC, an indirect wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC is a member of FINRA, SIPC. References to State Street may include State Street Corporation and its affiliates. Shares of the Funds are not insured by the FDIC or by another governmental agency; they are not obligations of the FDIC nor are they deposits or obligations of or guaranteed by State Street Bank and Trust Company. Fund shares are subject to investment risks, including possible loss of the principal invested. The Funds pay State Street for its services as investment adviser, administrator and securities lending agent.

Standard & Poor’s®, S&P® and SPDR® are registered trademarks of Standard & Poor’s Financial Services LLC (S&P); Dow Jones is a registered trademark of Dow Jones Trademark Holdings LLC (Dow Jones); and these trademarks have been licensed for use by S&P Dow Jones Indices LLC (SPDJI) and sublicensed for certain

purposes by State Street Corporation. State Street Corporation’s financial products are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates and third party licensors and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability in relation thereto, including for any errors, omissions, or interruptions of any index.

Distributor: State Street Global Advisors Funds Distributors, LLC, member FINRA, SIPC, an indirect wholly-owned subsidiary of State Street Corporation. References to State Street may include State Street Corporation and its affiliates. Certain State Street affiliates provide services and receive fees from the SPDR ETFs.

Before investing, consider the Funds’ investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-866-787-2257 or visit www.spdrs.com. Read it carefully.

Not FDIC Insured • No Bank Guarantee • May Lose Value

 

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

State Street Global Advisors

© 2018 State Street Corporation - All Rights Reserved

0515 Exp. Date: 11/30/2018 SPDRISRASAR


Table of Contents

Semi-Annual Report

March 31, 2018

 

SPDR® Index Shares Funds

SPDR EURO STOXX 50 ETF

SPDR MSCI ACWI ex-US ETF

SPDR S&P Emerging Markets Dividend ETF

SPDR S&P Emerging Markets Small Cap ETF

SPDR S&P International Dividend ETF

SPDR STOXX Europe 50 ETF

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

LOGO


Table of Contents


Table of Contents

TABLE OF CONTENTS (UNAUDITED)

 

 

Portfolio Statistics (Unaudited)

 

SPDR EURO STOXX 50 ETF (FEZ)

    1  

SPDR MSCI ACWI ex-US ETF (CWI)

    2  

SPDR S&P Emerging Markets Dividend ETF (EDIV)

    3  

SPDR S&P Emerging Markets Small Cap ETF (EWX)

    4  

SPDR S&P International Dividend ETF (DWX)

    5  

SPDR STOXX Europe 50 ETF (FEU)

    6  

Schedules of Investments (Unaudited)

 

SPDR EURO STOXX 50 ETF (FEZ)

    7  

SPDR MSCI ACWI ex-US ETF (CWI) (Summary)

    11  

SPDR S&P Emerging Markets Dividend ETF (EDIV)

    19  

SPDR S&P Emerging Markets Small Cap ETF (EWX) (Summary)

    25  

SPDR S&P International Dividend ETF (DWX)

    32  

SPDR STOXX Europe 50 ETF (FEU)

    39  

Financial Statements (Unaudited)

    43  

Financial Highlights (Unaudited)

    55  

Notes to Financial Statements (Unaudited)

    61  

Other Information (Unaudited)

    74  

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

 

 

[This Page Intentionally Left Blank]

 


Table of Contents

SPDR EURO STOXX 50 ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

TOTAL SA

    5.1  
 

SAP SE

    4.0    
 

Siemens AG

    3.8    
 

Banco Santander SA

    3.7    
 

Allianz SE

    3.5    
 

Bayer AG

    3.3    
 

BASF SE

    3.3    
 

Sanofi

    3.2    
 

Unilever NV

    3.1    
   

BNP Paribas SA

    3.0      
   

TOTAL

    36.0    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Financials

    21.9  
 

Industrials

    13.7    
 

Consumer Discretionary

    12.1    
 

Consumer Staples

    10.7    
 

Health Care

    9.9    
 

Information Technology

    8.1    
 

Energy

    6.6    
 

Materials

    6.1    
 

Utilities

    5.2    
 

Telecommunication Services

    4.7    
 

Real Estate

    0.8    
 

Short-Term Investments

    1.6    
   

Liabilities in Excess of Other Assets

    (1.4    
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

1


Table of Contents

SPDR MSCI ACWI EX-US ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

Tencent Holdings, Ltd.

    1.4  
 

Nestle SA

    1.2    
 

Samsung Electronics Co., Ltd. GDR

    1.1    
 

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    1.0    
 

Novartis AG

    0.9    
 

HSBC Holdings PLC

    0.9    
 

Alibaba Group Holding, Ltd. ADR

    0.9    
 

Toyota Motor Corp.

    0.8    
 

Roche Holding AG

    0.8    
   

Royal Dutch Shell PLC Class A

    0.7      
   

TOTAL

    9.7    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Financials

    23.2  
 

Industrials

    12.3    
 

Consumer Discretionary

    11.2    
 

Information Technology

    11.1    
 

Consumer Staples

    9.2    
 

Health Care

    7.8    
 

Materials

    7.6    
 

Energy

    6.7    
 

Telecommunication Services

    4.3    
 

Utilities

    3.0    
 

Real Estate

    2.6    
 

Short-Term Investments

    2.3    
   

Liabilities in Excess of Other Assets

    (1.3    
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

2


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

PTT PCL NVDR

    4.0  
 

Tenaga Nasional Bhd

    3.0    
 

PTT Global Chemical PCL NVDR

    2.9    
 

Public Bank Bhd

    2.6    
 

China Resources Land, Ltd.

    2.6    
 

China Overseas Land & Investment, Ltd.

    2.4    
 

LUKOIL PJSC

    2.3    
 

United Microelectronics Corp.

    2.3    
 

Siam Cement PCL NVDR

    2.3    
   

Barclays Africa Group, Ltd.

    2.3      
   

TOTAL

    26.7    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Financials

    25.3  
 

Information Technology

    14.1    
 

Energy

    10.6    
 

Consumer Discretionary

    8.1    
 

Telecommunication Services

    7.8    
 

Materials

    7.7    
 

Real Estate

    7.2    
 

Consumer Staples

    6.7    
 

Utilities

    6.1    
 

Industrials

    3.2    
 

Health Care

    2.7    
 

Short-Term Investments

    8.1    
   

Liabilities in Excess of Other Assets

    (7.6    
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

3


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

Future Land Holdings Co., Ltd.

    0.5  
 

WNS Holdings, Ltd. ADR

    0.4    
 

Li Ning Co., Ltd.

    0.4    
 

Top Glove Corp. Bhd

    0.4    
 

Moneta Money Bank A/S

    0.4    
 

My EG Services Bhd

    0.4    
 

Indah Kiat Pulp & Paper Corp. Tbk PT

    0.4    
 

Mindtree, Ltd.

    0.4    
 

Chroma ATE, Inc.

    0.4    
   

CVC Brasil Operadora e Agencia de Viagens SA

    0.4      
   

TOTAL

    4.1    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Information Technology

    21.8  
 

Consumer Discretionary

    16.2    
 

Industrials

    13.7    
 

Materials

    10.9    
 

Real Estate

    9.5    
 

Financials

    8.3    
 

Health Care

    6.2    
 

Consumer Staples

    6.1    
 

Utilities

    2.9    
 

Energy

    2.7    
 

Telecommunication Services

    1.4    
 

Short-Term Investments

    3.7    
   

Liabilities in Excess of Other Assets

    (3.4    
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

4


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

SSE PLC

    2.5  
 

EDP - Energias de Portugal SA

    2.4    
 

Gazprom PJSC ADR

    2.1    
 

Enagas SA

    2.0    
 

Swiss Re AG

    2.0    
 

Westpac Banking Corp.

    1.9    
 

National Grid PLC

    1.8    
 

Skanska AB

    1.8    
 

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    1.7    
   

Commonwealth Bank of Australia

    1.6      
   

TOTAL

    19.8    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Financials

    22.0  
 

Utilities

    21.6    
 

Real Estate

    14.1    
 

Industrials

    12.2    
 

Telecommunication Services

    8.6    
 

Consumer Staples

    8.1    
 

Consumer Discretionary

    5.6    
 

Energy

    4.2    
 

Health Care

    1.8    
 

Information Technology

    0.7    
 

Materials

    0.6    
 

Short-Term Investments

    2.9    
   

Liabilities in Excess of Other Assets

    (2.4    
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets andmay change over time.)

 

See accompanying notes to financial statements.

 

5


Table of Contents

SPDR STOXX EUROPE 50 ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets         
 

Nestle SA

    5.7  
 

Novartis AG

    4.6    
 

HSBC Holdings PLC

    4.4    
 

Roche Holding AG

    3.7    
 

Royal Dutch Shell PLC Class A

    3.4    
 

TOTAL SA

    3.3    
 

BP PLC

    3.1    
 

British American Tobacco PLC

    3.1    
 

SAP SE

    2.6    
   

Siemens AG

    2.5      
   

TOTAL

    36.4    

(The ten largest holding s are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets         
 

Financials

    23.1  
 

Consumer Staples

    19.6    
 

Health Care

    18.9    
 

Energy

    10.8    
 

Industrials

    7.5    
 

Materials

    6.1    
 

Information Technology

    4.6    
 

Telecommunication Services

    3.9    
 

Consumer Discretionary

    3.9    
 

Utilities

    0.9    
 

Short-Term Investments

    0.1    
   

Other Assets in Excess of Liabilities

    0.6      
   

TOTAL

    100.0    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

6


Table of Contents

SPDR EURO STOXX 50 ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.8%

   

BELGIUM — 2.9%

   

Anheuser-Busch InBev SA

    1,138,993     $ 125,062,624  
   

 

 

 

FINLAND — 1.1%

   

Nokia Oyj

    8,647,511       47,698,626  
   

 

 

 

FRANCE — 36.8%

   

Air Liquide SA

    657,922       80,493,810  

Airbus SE

    875,498       100,997,424  

AXA SA

    3,198,312       84,962,421  

BNP Paribas SA

    1,769,513       130,944,140  

Cie de Saint-Gobain

    850,129       44,811,481  

Danone SA

    977,524       79,021,153  

Engie SA

    2,838,691       47,322,747  

Essilor International Cie Generale d’Optique SA

    336,531       45,361,555  

L’Oreal SA

    375,503       84,673,327  

LVMH Moet Hennessy Louis Vuitton SE (a)

    414,685       127,602,132  

Orange SA

    3,147,668       53,363,953  

Safran SA

    550,797       58,242,674  

Sanofi

    1,756,951       141,164,212  

Schneider Electric SE

    858,598       75,331,268  

Societe Generale SA

    1,240,782       67,387,113  

TOTAL SA (a)

    3,894,889       220,968,740  

Unibail-Rodamco SE REIT (a) (b)

    147,961       33,782,712  

Unibail-Rodamco SE REIT (b)

    5,396       1,232,024  

Vinci SA

    853,471       83,866,370  

Vivendi SA

    1,581,622       40,848,329  
   

 

 

 
            1,602,377,585  
   

 

 

 

GERMANY — 32.4%

   

adidas AG

    280,079       67,737,131  

Allianz SE

    676,090       152,495,189  

BASF SE

    1,410,572       143,068,345  

Bayer AG

    1,270,000       143,367,724  

Bayerische Motoren Werke AG

    493,697       53,522,342  

Daimler AG

    1,530,643       129,833,402  

Deutsche Bank AG

    2,891,708       40,279,428  

Deutsche Post AG

    1,498,033       65,440,504  

Deutsche Telekom AG

    4,980,550       81,160,644  

E.ON SE

    3,380,380       37,499,404  

Fresenius SE & Co. KGaA

    629,804       48,069,487  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    238,083       55,296,504  

SAP SE

    1,662,646       173,747,158  

Siemens AG

    1,305,402       166,196,103  

 

See accompanying notes to financial statements.

 

7


Table of Contents

SPDR EURO STOXX 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Volkswagen AG Preference Shares

    281,146     $ 55,799,964  
   

 

 

 
          1,413,513,329  
   

 

 

 

IRELAND — 1.0%

   

CRH PLC

    1,288,465       43,687,952  
   

 

 

 

ITALY — 5.1%

   

Enel SpA

    11,930,406       72,922,897  

Eni SpA

    3,901,311       68,554,239  

Intesa Sanpaolo SpA

    22,347,532       81,174,354  
   

 

 

 
      222,651,490  
   

 

 

 

LUXEMBOURG — 0.0% (c)

   

APERAM SA

    1       48  
   

 

 

 

NETHERLANDS — 7.5%

   

ASML Holding NV

    662,874       130,560,026  

ING Groep NV

    5,967,683       100,549,199  

Koninklijke Ahold Delhaize NV

    1,818,310       43,029,910  

Koninklijke Philips NV

    1,445,027       55,385,412  
   

 

 

 
      329,524,547  
   

 

 

 

SPAIN — 9.9%

   

Banco Bilbao Vizcaya Argentaria SA

    10,240,342       80,967,399  

Banco Santander SA

    24,781,415       161,378,013  

Iberdrola SA

    9,047,035       66,447,458  

Industria de Diseno Textil SA

    1,706,855       53,382,055  

Telefonica SA

    7,058,508       69,690,339  
   

 

 

 
      431,865,264  
   

 

 

 

UNITED KINGDOM — 3.1%

   

Unilever NV

    2,400,043       135,394,201  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $4,261,606,853)

      4,351,775,666  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.6%

   

State Street Institutional U.S. Government Money Market Fund,
Class G Shares 1.62% (d) (e)

    92,725       92,725  

 

See accompanying notes to financial statements.

 

8


Table of Contents

SPDR EURO STOXX 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    69,782,046     $ 69,782,046  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $69,874,771)

      69,874,771  
   

 

 

 

TOTAL INVESTMENTS — 101.4%
(Cost $4,331,481,624)

      4,421,650,437  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.4)%

      (63,188,830
   

 

 

 

NET ASSETS — 100.0%

    $  4,358,461,607  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(c) Amount is less than 0.05% of net assets.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

REIT =Real Estate Investment Trust

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted
Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Belgium

    $ 125,062,624     $     $     $ 125,062,624

Finland

      47,698,626                   47,698,626

France

      1,602,377,585                   1,602,377,585

Germany

      1,413,513,329                   1,413,513,329

Ireland

      43,687,952                   43,687,952

Italy

      222,651,490                   222,651,490

Luxembourg

      48                   48

Netherlands

      329,524,547                   329,524,547

Spain

      431,865,264                   431,865,264

United Kingdom

      135,394,201                   135,394,201

Short-Term Investments

      69,874,771                   69,874,771
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 4,421,650,437     $     $     $ 4,421,650,437
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

9


Table of Contents

SPDR EURO STOXX 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      164,128     $ 164,128     $ 25,152,924     $ 25,224,327     $     $       92,725     $ 92,725     $ 7,045

State Street Navigator Securities Lending Government Money Market Portfolio

      2,656,640       2,656,640       664,697,199       597,571,793                   69,782,046       69,782,046       747,194
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 2,820,768     $ 689,850,123     $ 622,796,120     $     $         $ 69,874,771     $ 754,239
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

10


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.0%

   

AUSTRALIA – 4.6%

   

Australia & New Zealand Banking Group, Ltd.

    241,837     $ 4,982,559  

BHP Billiton, Ltd.

    237,595       5,141,195  

Commonwealth Bank of Australia

    139,974       7,763,712  

Westpac Banking Corp.

    265,281       5,823,706  

Other Securities

    5,713,836       47,196,517  
   

 

 

 
      70,907,689  
   

 

 

 

AUSTRIA – 0.3%

   

Other Securities

    98,660       4,820,045  
   

 

 

 

BELGIUM – 0.9%

   

Anheuser-Busch InBev SA

    62,826       6,898,360  

Other Securities

    93,326       7,341,178  
   

 

 

 
      14,239,538  
   

 

 

 

BRAZIL – 1.9%

   

Other Securities

    3,310,595       29,550,197  
   

 

 

 

CANADA – 6.1%

   

Bank of Nova Scotia

    86,760       5,340,526  

Royal Bank of Canada

    109,585       8,459,103  

Toronto-Dominion Bank

    138,395       7,848,019  

Other Securities

    2,429,657       73,211,109  
   

 

 

 
      94,858,757  
   

 

 

 

CHILE – 0.3%

   

Other Securities

    429,896       5,073,113  
   

 

 

 

CHINA – 7.4%

   

Alibaba Group Holding, Ltd. ADR (a) (b)

    74,861       13,739,988  

China Construction Bank Corp. Class H

    5,177,720       5,317,384  

China Huishan Dairy Holdings Co., Ltd. (a) (b) (c)

    1,418,000        

Tencent Holdings, Ltd

    422,000       22,024,031  

Other Securities

    45,160,549       73,903,647  
   

 

 

 
            114,985,050  
   

 

 

 

COLOMBIA – 0.1%

   

Other Securities

    138,217       1,467,836  
   

 

 

 

DENMARK – 1.2%

   

Novo Nordisk A/S Class B

    153,188       7,519,251  

Other Securities

    160,837       11,361,256  
   

 

 

 
      18,880,507  
   

 

 

 

EGYPT – 0.1%

   

Other Securities

    898,429       1,025,331  
   

 

 

 

 

See accompanying notes to financial statements.

 

11


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

FINLAND – 0.8%

   

Other Securities

    607,996     $ 11,648,801  
   

 

 

 

FRANCE – 7.1%

   

Airbus SE

    47,480       5,477,291  

BNP Paribas SA

    78,031       5,774,302  

L’Oreal SA

    23,057       5,199,194  

LVMH Moet Hennessy Louis Vuitton SE

    21,207       6,525,576  

Sanofi

    92,478       7,430,249  

TOTAL SA (b)

    180,943       10,265,439  

Other Securities

    1,324,182       68,555,125  
   

 

 

 
              109,227,176  
   

 

 

 

GERMANY – 6.4%

   

Allianz SE

    40,416       9,116,014  

BASF SE

    72,220       7,324,969  

Bayer AG

    66,057       7,457,041  

Daimler AG

    73,159       6,205,550  

SAP SE

    85,152       8,898,417  

Siemens AG

    67,586       8,604,652  

Other Securities

    1,192,234       51,952,165  
   

 

 

 
      99,558,808  
   

 

 

 

GREECE – 0.1%

   

Other Securities

    780,984       1,543,075  
   

 

 

 

HONG KONG – 2.8%

   

AIA Group, Ltd.

    961,400       8,133,858  

Hanergy Thin Film Power Group, Ltd. (a)(c)

    448,000        

Other Securities

    8,935,402       35,236,022  
   

 

 

 
      43,369,880  
   

 

 

 

HUNGARY – 0.1%

   

Other Securities

    124,205       2,197,237  
   

 

 

 

INDIA – 1.9%

   

Other Securities

    2,795,943       29,614,364  
   

 

 

 

INDONESIA – 0.5%

   

Other Securities

    20,868,300       8,154,204  
   

 

 

 

IRELAND – 0.5%

   

Other Securities

    273,844       6,917,219  
   

 

 

 

ISRAEL – 0.4%

   

Other Securities

    550,679       5,342,873  
   

 

 

 

ITALY – 1.4%

   

Other Securities

    3,611,606       21,840,437  
   

 

 

 

 

See accompanying notes to financial statements.

 

12


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

JAPAN – 16.5%

   

Honda Motor Co., Ltd.

    140,500     $ 4,810,160  

Mitsubishi UFJ Financial Group, Inc.

    836,200       5,474,810  

SoftBank Group Corp.

    79,400       5,827,893  

Toyota Motor Corp.

    201,100       12,937,717  

Other Securities

    11,835,628       226,576,096  
   

 

 

 
              255,626,676  
   

 

 

 

LUXEMBOURG – 0.1%

   

Other Securities

    65,377       1,595,273  
   

 

 

 

MACAU – 0.0% (d)

   

Other Securities

    127,600       397,352  
   

 

 

 

MALAYSIA – 0.5%

   

Other Securities

    5,983,929       7,530,619  
   

 

 

 

MEXICO – 0.8%

   

Other Securities

    6,662,702       12,623,589  
   

 

 

 

NETHERLANDS – 3.2%

   

ASML Holding NV

    31,568       6,217,651  

Royal Dutch Shell PLC Class A

    347,301       10,881,474  

Royal Dutch Shell PLC Class B

    278,858       8,907,214  

Other Securities

    1,121,082       23,866,165  
   

 

 

 
      49,872,504  
   

 

 

 

NEW ZEALAND – 0.1%

   

Other Securities

    647,250       1,456,619  
   

 

 

 

NORWAY – 0.5%

   

Other Securities

    476,916       7,922,160  
   

 

 

 

PERU – 0.1%

   

Other Securities

    27,279       2,018,437  
   

 

 

 

PHILIPPINES – 0.3%

   

Other Securities

    9,388,564       3,851,015  
   

 

 

 

POLAND – 0.2%

   

Other Securities

    361,925       3,628,841  
   

 

 

 

PORTUGAL – 0.1%

   

Other Securities

    192,109       1,040,904  
   

 

 

 

QATAR – 0.0% (d)

   

Other Securities

    51,890       534,255  
   

 

 

 

ROMANIA – 0.0% (d)

   

Other Security

    7,505       72,841  
   

 

 

 

RUSSIA – 0.9%

   

Other Securities

    1,145,211       13,665,748  
   

 

 

 

 

See accompanying notes to financial statements.

 

13


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SINGAPORE – 1.0%

   

Other Securities

    2,806,287     $ 15,880,457  
   

 

 

 

SOUTH AFRICA – 1.7%

   

Naspers, Ltd. Class N

    34,446       8,406,990  

Other Securities

    1,921,025       17,400,742  
   

 

 

 
              25,807,732  
   

 

 

 

SOUTH KOREA – 3.9%

   

Samsung Electronics Co., Ltd. GDR

    15,036       17,231,256  

Other Securities

    530,671       42,496,151  
   

 

 

 
      59,727,407  
   

 

 

 

SPAIN – 2.1%

   

Banco Santander SA

    1,147,808       7,474,592  

Other Securities

    2,322,272       25,646,908  
   

 

 

 
      33,121,500  
   

 

 

 

SWEDEN – 1.8%

   

Other Securities

    1,987,957       27,539,012  
   

 

 

 

SWITZERLAND – 5.8%

   

Nestle SA

    236,318       18,661,620  

Novartis AG

    178,453       14,397,743  

Roche Holding AG

    52,068       11,913,219  

UBS Group AG (a)

    275,054       4,824,073  

Other Securities

    1,406,632       40,599,428  
   

 

 

 
      90,396,083  
   

 

 

 

TAIWAN – 2.7%

   

Hon Hai Precision Industry Co., Ltd. GDR

    878,934       5,466,969  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    364,799       15,963,604  

Other Securities

    11,213,701       21,008,207  
   

 

 

 
      42,438,780  
   

 

 

 

THAILAND – 0.6%

   

Other Securities

    8,094,238       8,443,509  
   

 

 

 

TURKEY – 0.3%

   

Other Securities

    2,352,453       3,841,886  
   

 

 

 

UNITED ARAB EMIRATES – 0.1%

   

Other Securities

    715,190       810,908  
   

 

 

 

UNITED KINGDOM – 10.8%

   

AstraZeneca PLC

    89,976       6,179,018  

BP PLC

    1,463,468       9,838,777  

British American Tobacco PLC

    165,699       9,602,202  

Diageo PLC

    178,770       6,048,779  

 

See accompanying notes to financial statements.

 

14


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GlaxoSmithKline PLC

    346,713     $ 6,779,984  

HSBC Holdings PLC

    1,490,816       13,915,621  

Unilever NV

    127,844       7,212,094  

Unilever PLC

    104,329       5,788,982  

Vodafone Group PLC

    2,142,081       5,836,139  

Other Securities

    13,856,853       95,946,660  
   

 

 

 
      167,148,256  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,415,744,425)

              1,532,214,500  
   

 

 

 

RIGHTS - 0.0% (d)

   

SOUTH KOREA – 0.0% (d)

   

Other Security
(cost $0)

    11,428       22,247  
   

 

 

 

SHORT-TERM INVESTMENTS - 2.3%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (e) (f)

    2,338,108       2,338,108  

State Street Navigator Securities Lending Government Money Market Portfolio (e) (g)

    32,639,102       32,639,102  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $34,977,210)

      34,977,210  
   

 

 

 

TOTAL INVESTMENTS - 101.3%
(Cost $1,450,721,635)

      1,567,213,957  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (1.3)%

      (19,654,945
   

 

 

 

NET ASSETS - 100.0%

    $ 1,547,559,012  
   

 

 

 

 

See accompanying notes to financial statements.

 

15


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(d) Amount is less than 0.05% of net assets.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

ADR American Depositary Receipt

GDR Global Depositary Receipt

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted

Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 70,907,689     $             —     $     $ 70,907,689

Austria

      4,820,045                   4,820,045

Belgium

      14,239,538                   14,239,538

Brazil

      29,550,197                   29,550,197

Canada

      94,858,757                   94,858,757

Chile

      5,073,113                   5,073,113

China

      114,985,050             0 (a)       114,985,050

Colombia

      1,467,836                   1,467,836

Denmark

      18,880,507                   18,880,507

Egypt

      1,025,331                   1,025,331

Finland

      11,648,801                   11,648,801

France

         109,227,176                   109,227,176

Germany

      99,558,808                   99,558,808

 

See accompanying notes to financial statements.

 

16


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 —
Quoted
Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

Greece

    $ 1,543,075     $     $     $ 1,543,075

Hong Kong

      43,369,880             0 (a)       43,369,880

Hungary

      2,197,237                   2,197,237

India

      29,614,364                   29,614,364

Indonesia

      8,154,204                   8,154,204

Ireland

      6,917,219                   6,917,219

Israel

      5,342,873                   5,342,873

Italy

      21,840,437                   21,840,437

Japan

      255,626,676                   255,626,676

Luxembourg

      1,595,273                   1,595,273

Macau

      397,352                   397,352

Malaysia

      7,530,619                   7,530,619

Mexico

      12,623,589                   12,623,589

Netherlands

      49,872,504                   49,872,504

New Zealand

      1,456,619                   1,456,619

Norway

      7,922,160                   7,922,160

Peru

      2,018,437                   2,018,437

Philippines

      3,851,015                   3,851,015

Poland

      3,628,841                   3,628,841

Portugal

      1,040,904                   1,040,904

Qatar

      534,255                   534,255

Romania

      72,841                   72,841

Russia

      13,665,748                   13,665,748

Singapore

      15,880,457                   15,880,457

South Africa

      25,807,732                   25,807,732

South Korea

      59,727,407                   59,727,407

Spain

      33,121,500                   33,121,500

Sweden

      27,539,012                   27,539,012

Switzerland

      90,396,083                   90,396,083

Taiwan

      42,438,780                   42,438,780

Thailand

      1,546,619       6,896,890             8,443,509

Turkey

      3,841,886                   3,841,886

United Arab Emirates

      810,908                   810,908

United Kingdom

      167,148,256                   167,148,256

Rights

               

South Korea

      22,247                   22,247

Short-Term Investments

      34,977,210                   34,977,210
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 1,560,317,067     $ 6,896,890     $     $ 1,567,213,957
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

See accompanying notes to financial statements.

 

17


Table of Contents

SPDR MSCI ACWI EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
From
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      1,559,265     $ 1,559,265     $ 27,790,407     $ 27,011,564     $     $       2,338,108     $ 2,338,108     $ 13,344

State Street Navigator Securities Lending Government Money Market Portfolio

      19,433,641       19,433,641       197,035,868       183,830,407                   32,639,102       32,639,102       149,706
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 20,992,906     $ 224,826,275     $ 210,841,971     $     $         $ 34,977,210     $ 163,050
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

18


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.5%

   

CHILE — 0.8%

   

Banco de Chile ADR (a)

    364     $ 36,611  

Banco de Credito e Inversiones SA

    33,274       2,469,729  

Embotelladora Andina SA Class B, Preference Shares

    231,393       1,136,176  
   

 

 

 
      3,642,516  
   

 

 

 

CHINA — 11.7%

   

China Merchants Port Holdings Co., Ltd.

    2,901,812       6,396,461  

China Overseas Land & Investment, Ltd.

    3,350,000       11,631,500  

China Resources Land, Ltd.

    3,446,000       12,535,619  

China Telecom Corp., Ltd. Class H

    24,632,000       10,859,259  

China Zhongwang Holdings, Ltd. (a)

    3,266,400       1,939,455  

Far East Horizon, Ltd.

    1,362,000       1,440,388  

Guangdong Investment, Ltd.

    3,628,000       5,704,359  

Jiangsu Expressway Co., Ltd. Class H

    1,902,000       2,690,035  

Shenzhen International Holdings, Ltd.

    1,795,719       3,930,845  
   

 

 

 
      57,127,921  
   

 

 

 

COLOMBIA — 1.1%

   

Bancolombia SA Preference Shares

    417,600       4,377,691  

Grupo Aval Acciones y Valores SA Preference Shares

    2,126,183       886,829  
   

 

 

 
      5,264,520  
   

 

 

 

HONG KONG — 2.2%

   

Lee & Man Paper Manufacturing, Ltd.

    6,579,000       6,949,264  

Skyworth Digital Holdings, Ltd.

    8,180,000       3,679,192  
   

 

 

 
      10,628,456  
   

 

 

 

INDIA — 0.4%

   

Infosys, Ltd.

    124,042       2,152,516  
   

 

 

 

INDONESIA — 3.7%

   

Bank Rakyat Indonesia Persero Tbk PT

    38,798,300       10,145,189  

Telekomunikasi Indonesia Persero Tbk PT

    30,259,000       7,912,286  
   

 

 

 
      18,057,475  
   

 

 

 

MALAYSIA — 7.1%

   

Astro Malaysia Holdings Bhd

    1,300,200       685,731  

Bursa Malaysia Bhd

    463,800       1,314,180  

Inari Amertron Bhd

    3,764,100       2,724,788  

IOI Properties Group Bhd

    1,334,100       555,300  

Petronas Gas Bhd

    358,300       1,650,700  

Public Bank Bhd

    2,066,400       12,821,510  

Tenaga Nasional Bhd

    3,519,900       14,705,683  

 

See accompanying notes to financial statements.

 

19


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Westports Holdings Bhd

    321,800     $ 293,680  
   

 

 

 
      34,751,572  
   

 

 

 

MEXICO — 0.4%

   

Bolsa Mexicana de Valores SAB de CV

    466,949       888,696  

Macquarie Mexico Real Estate Management SA de CV REIT (b)

    954,902       1,068,239  
   

 

 

 
      1,956,935  
   

 

 

 

PHILIPPINES — 0.2%

   

DMCI Holdings, Inc.

    1,085,700       253,023  

Semirara Mining & Power Corp.

    964,530       560,112  
   

 

 

 
      813,135  
   

 

 

 

POLAND — 0.7%

   

Asseco Poland SA

    65,500       860,509  

Polskie Gornictwo Naftowe i Gazownictwo SA

    1,610,818       2,657,029  
   

 

 

 
      3,517,538  
   

 

 

 

QATAR — 0.5%

   

Qatar Electricity & Water Co. QSC

    26,839       1,385,429  

Qatar International Islamic Bank QSC

    51,068       701,238  

Qatar Islamic Bank SAQ

    6,616       177,117  
   

 

 

 
      2,263,784  
   

 

 

 

RUSSIA — 5.9%

   

Gazprom PJSC ADR (c)

    496,920       2,418,013  

Gazprom PJSC ADR (c)

    2,236,705       11,026,955  

LUKOIL PJSC ADR

    58,726       4,046,221  

LUKOIL PJSC

    164,413       11,385,958  
   

 

 

 
      28,877,147  
   

 

 

 

SOUTH AFRICA — 26.7%

   

AVI, Ltd.

    407,639       3,812,601  

Barclays Africa Group, Ltd.

    692,761       11,091,192  

FirstRand, Ltd. (a)

    1,486,305       8,391,924  

Foschini Group, Ltd.

    480,050       9,065,191  

Growthpoint Properties, Ltd. REIT (a)

    3,503,223       8,399,752  

JSE, Ltd.

    95,035       1,486,472  

Liberty Holdings, Ltd. (a)

    230,831       2,445,898  

Life Healthcare Group Holdings, Ltd.

    1,770,029       4,124,528  

MMI Holdings, Ltd.

    899,003       1,667,694  

Nedbank Group, Ltd. (a)

    418,058       10,074,673  

Netcare, Ltd.

    2,198,237       5,194,694  

Pick n Pay Stores, Ltd.

    530,521       3,068,839  

Rand Merchant Investment Holdings, Ltd.

    765,294       2,583,543  

Reunert, Ltd.

    107,382       674,992  

 

See accompanying notes to financial statements.

 

20


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

RMB Holdings, Ltd.

    668,998     $ 4,356,003  

Sanlam, Ltd. (a)

    925,283       6,661,179  

SPAR Group, Ltd.

    279,819       4,783,639  

Standard Bank Group, Ltd. (a)

    533,300       9,842,561  

Tiger Brands, Ltd.

    122,215       3,837,028  

Truworths International, Ltd.

    932,065       8,458,694  

Tsogo Sun Holdings, Ltd.

    632,154       1,244,701  

Vodacom Group, Ltd.

    838,964       10,838,293  

Woolworths Holdings, Ltd.

    1,615,149       8,178,832  
   

 

 

 
      130,282,923  
   

 

 

 

TAIWAN — 20.2%

   

Advanced Semiconductor Engineering, Inc.

    5,832,361       8,431,389  

Cheng Shin Rubber Industry Co., Ltd.

    2,217,000       3,600,334  

Chin-Poon Industrial Co., Ltd.

    1,023,000       1,831,485  

FLEXium Interconnect, Inc.

    1,847,864       6,331,297  

Giant Manufacturing Co., Ltd.

    117,000       613,952  

Ginko International Co., Ltd.

    207,000       1,537,041  

Hua Nan Financial Holdings Co., Ltd.

    3,942,900       2,366,524  

Huaku Development Co., Ltd.

    432,000       1,065,295  

Kung Long Batteries Industrial Co., Ltd.

    6,000       29,941  

Lite-On Technology Corp.

    4,682,000       6,535,563  

Mega Financial Holding Co., Ltd.

    4,960,000       4,261,344  

Namchow Holdings Co., Ltd.

    192,000       399,053  

Phison Electronics Corp.

    774,000       8,056,693  

Pou Chen Corp.

    1,813,000       2,406,390  

Sercomm Corp.

    601,000       1,644,881  

Simplo Technology Co., Ltd.

    350,800       2,231,828  

Sinbon Electronics Co., Ltd.

    697,000       1,831,128  

Sitronix Technology Corp.

    148,000       439,579  

Taiwan Mobile Co., Ltd.

    2,224,200       8,314,909  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    206,023       9,015,566  

TTY Biopharm Co., Ltd.

    633,000       2,149,295  

TXC Corp.

    172,000       230,950  

Uni-President Enterprises Corp.

    4,109,000       9,625,294  

United Microelectronics Corp.

    21,622,000       11,346,044  

Wistron NeWeb Corp.

    755,035       1,978,416  

WPG Holdings, Ltd.

    1,759,000       2,274,387  
   

 

 

 
      98,548,578  
   

 

 

 

THAILAND — 17.6%

   

Bangkok Bank PCL (d)

    1,322,451       9,050,352  

Bangkok Bank PCL NVDR

    423,400       2,680,947  

Delta Electronics Thailand PCL (d)

    75,000       158,898  

Delta Electronics Thailand PCL NVDR

    486,600       1,030,932  

 

See accompanying notes to financial statements.

 

21


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Electricity Generating PCL (d)

    32,800     $ 240,205  

Electricity Generating PCL NVDR

    263,300       1,928,228  

Glow Energy PCL (d)

    44,600       121,234  

Glow Energy PCL NVDR

    884,100       2,403,214  

Major Cineplex Group PCL (d)

    714,700       651,389  

Major Cineplex Group PCL NVDR

    849,700       774,431  

Pruksa Holding PCL NVDR

    37,000       25,676  

PTT Global Chemical PCL (d)

    8,600       26,059  

PTT Global Chemical PCL NVDR

    4,652,300       14,096,752  

PTT PCL NVDR

    1,119,853       19,625,182  

Ratchaburi Electricity Generating Holding PCL (d)

    811,500       1,336,497  

Siam Cement PCL (d)

    188,800       2,982,641  

Siam Cement PCL NVDR

    714,800       11,292,331  

Thai Beverage PCL (a)

    8,514,000       5,064,379  

Thai Vegetable Oil PCL (d)

    19,300       21,139  

Thai Vegetable Oil PCL NVDR

    984,937       1,078,801  

Thanachart Capital PCL NVDR

    2,336,600       3,885,616  

Thanachart Capital PCL (d)

    252,600       420,058  

Tisco Financial Group PCL NVDR

    2,166,900       6,098,088  

Tisco Financial Group PCL (d)

    216,300       608,711  
   

 

 

 
      85,601,760  
   

 

 

 

TURKEY — 0.3%

   

Enka Insaat ve Sanayi A/S

    1,018,633       1,391,125  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $420,262,904)

      484,877,901  
   

 

 

 

SHORT-TERM INVESTMENTS — 8.1%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (e) (f)

    713,909       713,909  

State Street Navigator Securities Lending Government Money Market Portfolio (e) (g)

    38,837,851       38,837,851  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $39,551,760)

      39,551,760  
   

 

 

 

TOTAL INVESTMENTS — 107.6%
(Cost $459,814,664)

      524,429,661  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (7.6)%

      (37,099,605 ) 
   

 

 

 

NET ASSETS — 100.0%

    $ 487,330,056  
   

 

 

 

 

See accompanying notes to financial statements.

 

22


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $15,617,183 representing 3.2% of net assets.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

NVDR =Non Voting Depositary Receipt

REIT =Real Estate Investment Trust

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted

Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Chile

    $ 3,642,516       $              —       $—     $ 3,642,516

China

      57,127,921                   57,127,921

Colombia

      5,264,520                   5,264,520

Hong Kong

      10,628,456                   10,628,456

India

      2,152,516                   2,152,516

Indonesia

      18,057,475                   18,057,475

Malaysia

      34,751,572                   34,751,572

Mexico

      1,956,935                   1,956,935

Philippines

      813,135                   813,135

Poland

      3,517,538                   3,517,538

Qatar

      2,263,784                   2,263,784

Russia

      28,877,147                   28,877,147

South Africa

      130,282,923                   130,282,923

Taiwan

      98,548,578                   98,548,578

Thailand

      69,984,577       15,617,183             85,601,760

Turkey

      1,391,125                   1,391,125

Short-Term Investments

      39,551,760                   39,551,760
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 508,812,478       $15,617,183       $—     $ 524,429,661
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

23


Table of Contents

SPDR S&P EMERGING MARKETS DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held

at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      26,195     $ 26,195     $ 21,808,503     $ 21,120,789     $     $       713,909     $ 713,909     $ 4,679

State Street Navigator Securities Lending Government Money Market Portfolio

      16,561,043       16,561,043       79,261,261       56,984,453                   38,837,851       38,837,851       48,726
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 16,587,238     $ 101,069,764     $ 78,105,242     $     $         $ 39,551,760     $ 53,405
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

24


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.7%

   

BRAZIL – 4.5%

   

CVC Brasil Operadora e Agencia de Viagens SA

    108,309     $ 1,976,454  

Other Securities

    6,515,807       23,410,015  
   

 

 

 
      25,386,469  
   

 

 

 

CHILE – 1.5%

   

Vina Concha y Toro SA

    635,708       1,375,130  

Other Securities

    12,104,567       6,741,564  
   

 

 

 
      8,116,694  
   

 

 

 

CHINA – 15.1%

   

Boshiwa International Holding, Ltd. (a) (b) (c)

    1,843,000        

China Animal Healthcare, Ltd. (a) (b) (c)

    1,059,700        

China Forestry Holdings Co., Ltd. (b) (c)

    1,642,000        

China Hongxing Sports, Ltd. (a) (b) (c)

    4,053,000        

China Shanshui Cement Group, Ltd. (a) (b) (c)

    1,224,000       58,484  

Chinasoft International, Ltd. (a) (b)

    1,934,000       1,734,816  

Coolpad Group, Ltd. (a) (c)

    2,353,600       107,959  

Fu Shou Yuan International Group, Ltd.

    1,508,000       1,494,877  

Future Land Holdings Co., Ltd. Class A

    531,529       2,955,144  

Genscript Biotech Corp. (b)

    510,000       1,631,054  

Kingdee International Software Group Co., Ltd. (a) (b)

    1,928,000       1,940,701  

Li Ning Co., Ltd. (a)

    2,197,249       2,250,918  

Luye Pharma Group, Ltd. (b)

    1,916,500       1,833,889  

National Agricultural Holdings, Ltd. (a) (c)

    396,000       30,022  

Real Gold Mining, Ltd. (a) (c)

    251,500        

Silergy Corp.

    64,000       1,442,124  

Other Securities

    212,990,312       69,061,947  
   

 

 

 
      84,541,935  
   

 

 

 

COLOMBIA – 0.0% (d)

   

Other Security

    189,675       203,046  
   

 

 

 

CZECH REPUBLIC – 0.5%

   

Moneta Money Bank A/S (e)

    506,469       2,097,947  

Other Security

    1,032       857,971  
   

 

 

 
      2,955,918  
   

 

 

 

EGYPT – 1.1%

   

Eastern Tobacco

    43,562       1,469,742  

ElSewedy Electric Co.

    107,126       1,316,380  

Other Securities

    6,774,877       3,604,028  
   

 

 

 
      6,390,150  
   

 

 

 

 

See accompanying notes to financial statements.

 

25


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GREECE – 0.9%

   

Other Securities

    1,484,038     $ 5,100,962  
   

 

 

 

HONG KONG – 2.8%

   

Anxin-China Holdings, Ltd. (a) (c)

    2,248,000        

China High Precision Automation Group, Ltd. (a) (c)

    1,226,000        

China Lumena New Materials Corp. (a) (b) (c)

    4,181,298        

China Metal Recycling Holdings, Ltd. (a) (b) (c)

    693,675        

Hua Han Health Industry Holdings, Ltd. (a) (c)

    2,414,560       122,292  

SSY Group, Ltd.

    1,969,562       1,729,073  

Other Securities

    92,963,034       14,065,788  
   

 

 

 
      15,917,153  
   

 

 

 

HUNGARY – 0.2%

   

Other Security

    571,848       1,021,657  
   

 

 

 

INDIA – 13.1%

   

Bharat Financial Inclusion, Ltd. (a)

    104,983       1,765,526  

Chennai Super Kings Cricket, Ltd. (a) (c)

    418,560        

Escorts, Ltd.

    114,143       1,431,738  

Info Edge India, Ltd.

    84,867       1,529,440  

Jubilant Foodworks, Ltd.

    54,417       1,940,547  

Jubilant Life Sciences, Ltd.

    106,181       1,366,626  

MakeMyTrip, Ltd. (a) (b)

    38,166       1,324,360  

Mindtree, Ltd.

    170,441       2,017,303  

NCC, Ltd.

    736,612       1,327,606  

PI Industries, Ltd.

    97,293       1,320,477  

Tata Global Beverages, Ltd.

    384,936       1,527,133  

WNS Holdings, Ltd. ADR (a)

    51,952       2,354,984  

Other Securities

    32,680,327       55,229,618  
   

 

 

 
      73,135,358  
   

 

 

 

INDONESIA – 3.1%

   

Indah Kiat Pulp & Paper Corp. Tbk PT

    2,528,300       2,020,069  

Other Securities

    195,537,086       15,269,960  
   

 

 

 
      17,290,029  
   

 

 

 

MALAYSIA – 5.0%

   

Bursa Malaysia Bhd

    490,073       1,388,625  

My EG Services Bhd

    2,818,450       2,069,389  

Top Glove Corp. Bhd

    855,300       2,155,940  

Other Securities

    55,227,495       22,474,555  
   

 

 

 
      28,088,509  
   

 

 

 

MEXICO – 2.0%

   

Other Securities

    12,537,721       11,386,180  
   

 

 

 

 

See accompanying notes to financial statements.

 

26


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

MONACO – 0.2%

   

Other Securities

    196,530     $ 1,270,391  
   

 

 

 

PAKISTAN – 1.3%

   

Other Securities

    6,288,218       7,072,336  
   

 

 

 

PERU – 0.6%

   

Ferreycorp SAA

    1,893,991       1,490,800  

Other Securities

    2,434,755       1,822,275  
   

 

 

 
      3,313,075  
   

 

 

 

PHILIPPINES – 1.2%

   

Other Securities

    30,649,765       6,808,816  
   

 

 

 

POLAND – 2.0%

   

Other Securities

    1,984,760       10,919,961  
   

 

 

 

QATAR – 0.5%

   

Other Securities

    876,138       2,760,785  
   

 

 

 

RUSSIA – 0.9%

   

Globaltrans Investment PLC GDR

    111,827       1,326,268  

Other Securities

    707,389       3,762,719  
   

 

 

 
      5,088,987  
   

 

 

 

SINGAPORE – 0.3%

   

Other Securities

    3,674,160       1,430,380  
   

 

 

 

SOUTH AFRICA – 5.6%

   

Coronation Fund Managers, Ltd.

    210,012       1,431,068  

Hosken Consolidated Investments, Ltd.

    113,266       1,376,542  

JSE, Ltd.

    111,331       1,741,363  

Reunert, Ltd.

    253,706       1,594,769  

Other Securities

    16,759,487       25,258,296  
   

 

 

 
      31,402,038  
   

 

 

 

TAIWAN – 29.0%

   

Accton Technology Corp.

    487,341       1,587,866  

Acer, Inc. (a)

    2,343,000       1,944,665  

Chipbond Technology Corp.

    685,000       1,609,305  

Chroma ATE, Inc.

    326,680       2,011,149  

King’s Town Bank Co., Ltd.

    1,174,000       1,485,770  

Micro-Star International Co., Ltd.

    578,000       1,936,777  

Realtek Semiconductor Corp.

    440,053       1,894,113  

Silicon Motion Technology Corp. ADR

    31,543       1,517,849  

Sino-American Silicon Products, Inc. (a)

    425,058       1,567,162  

Synnex Technology International Corp.

    1,077,000       1,606,801  

Teco Electric and Machinery Co., Ltd.

    1,773,000       1,462,450  

Tripod Technology Corp.

    427,353       1,437,848  

 

See accompanying notes to financial statements.

 

27


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Walsin Lihwa Corp

    2,550,000     $ 1,556,745  

Other Securities

    139,547,036       140,634,936  
   

 

 

 
      162,253,436  
   

 

 

 

THAILAND – 5.8%

   

Beauty Community PCL (f)

    2,432,400       1,656,863  

Inter Far East Energy Corp. NVDR (a) (c)

    283,900        

International Engineering PCL (a) (c)

    127,711,868        

Srisawad Corp. PCL NVDR

    730,309       1,424,651  

Other Securities

    88,628,451       29,260,160  
   

 

 

 
      32,341,674  
   

 

 

 

TURKEY – 1.6%

   

Other Securities

    9,579,405       8,970,575  
   

 

 

 

UNITED ARAB EMIRATES – 0.7%

   

Other Securities

    14,593,121       3,836,243  
   

 

 

 

UNITED KINGDOM – 0.0% (d)

   

Other Security

    1,269,532       128,574  
   

 

 

 

UNITED STATES – 0.2%

   

Other Securities

    64,851       1,089,844  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $580,255,960)

      558,221,175  
   

 

 

 

WARRANTS - 0.0% (d)

   

INDONESIA – 0.0% (d)

   

Other Security

    2,135,866       97,737  
   

 

 

 

MALAYSIA – 0.0% (d)

   

Other Securities

    354,041       30,403  
   

 

 

 

THAILAND – 0.0% (d)

   

International Engineering PCL (expiring 5/22/19) (a) (c)

    13,635,806        

Other Security

    2,640,860       22,802  
   

 

 

 
      22,802  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      150,942  
   

 

 

 

SHORT-TERM INVESTMENTS - 3.7%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (g) (h)

    823,507       823,507  

 

See accompanying notes to financial statements.

 

28


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

  Shares     Value  

State Street Navigator Securities Lending Government Money Market Portfolio (g) (i)

    19,823,794     $ 19,823,794  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $20,647,301)

      20,647,301  
   

 

 

 

TOTAL INVESTMENTS - 103.4%
(Cost $600,903,261)

      579,019,418  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (3.4)%

      (19,272,977
   

 

 

 

NET ASSETS - 100.0%

    $ 559,746,441  
   

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $318,757, representing less than 0.05% of the Fund’s net assets.
(d) Amount is less than 0.05% of net assets.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 1.9% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $7,937,267 representing 1.4% of net assets.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at March 31, 2018.
(i) Investment of cash collateral for securities loaned.

  ADR American Depositary Receipt

  GDR Global Depositary Receipt

NVDR Non Voting Depositary Receipt

 

See accompanying notes to financial statements.

 

29


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted
Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $ 25,386,469     $     $     $ 25,386,469

Chile

      8,116,694                   8,116,694

China

      84,345,470             196,465       84,541,935

Colombia

      203,046                   203,046

Czech Republic

      2,955,918                   2,955,918

Egypt

      6,390,150                   6,390,150

Greece

      5,100,962                   5,100,962

Hong Kong

      15,742,571       52,290       122,292       15,917,153

Hungary

      1,021,657                   1,021,657

India

      73,135,358             0 (a)       73,135,358

Indonesia

      17,290,029                   17,290,029

Malaysia

      28,088,509                   28,088,509

Mexico

      11,386,180                   11,386,180

Monaco

      1,270,391                   1,270,391

Pakistan

      7,072,336                   7,072,336

Peru

      3,313,075                   3,313,075

Philippines

      6,808,816                   6,808,816

Poland

      10,919,961                   10,919,961

Qatar

      2,760,785                   2,760,785

Russia

      5,088,987                   5,088,987

Singapore

      1,430,380                   1,430,380

South Africa

      31,402,038                   31,402,038

Taiwan

      162,253,436                   162,253,436

Thailand

      24,624,557       7,717,117       0 (a)       32,341,674

Turkey

      8,970,575                   8,970,575

United Arab Emirates

      3,672,476       163,767             3,836,243

United Kingdom

      128,574                   128,574

United States

      1,089,844                   1,089,844

Warrants

               

Indonesia

      97,737                   97,737

Malaysia

      26,310       4,093             30,403

Thailand

      22,802             0 (a)       22,802

Short-Term Investments

      20,647,301                   20,647,301
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 570,763,394     $ 7,937,267     $ 318,757     $ 579,019,418
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

30


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      379,285     $ 379,285     $ 25,055,869     $ 24,611,647     $     $       823,507     $ 823,507     $ 6,544

State Street Navigator Securities Lending Government Money Market Portfolio

      16,261,252       16,261,252       39,107,436       35,544,894                   19,823,794       19,823,794       405,535
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 16,640,537     $ 64,163,305     $ 60,156,541     $     $         $ 20,647,301     $ 412,079
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

31


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.5%

   

AUSTRALIA — 11.5%

   

AusNet Services

    6,625,387     $ 8,512,355  

carsales.com, Ltd.

    833,032       8,632,582  

Charter Hall Group REIT

    1,311,453       5,764,093  

Commonwealth Bank of Australia

    364,791       20,233,273  

DuluxGroup, Ltd.

    1,297,515       7,345,010  

Goodman Group REIT

    668,420       4,322,158  

GPT Group REIT

    1,554,825       5,653,059  

Investa Office Fund REIT

    1,521,418       5,029,786  

Mirvac Group REIT

    3,666,579       6,046,766  

Sonic Healthcare, Ltd.

    808,360       14,186,802  

Stockland REIT

    2,072,642       6,406,975  

Transurban Group Stapled Security

    2,113,050       18,509,707  

Vicinity Centres REIT

    4,327,244       7,999,302  

Westpac Banking Corp.

    1,052,605       23,107,807  
   

 

 

 
      141,749,675  
   

 

 

 

BELGIUM — 0.6%

   

bpost SA

    327,016       7,384,039  
   

 

 

 

CANADA — 13.6%

   

BCE, Inc.

    425,151       18,282,235  

Canadian Imperial Bank of Commerce (a)

    206,991       18,257,915  

Emera, Inc.

    550,246       17,396,181  

Fortis, Inc.

    443,132       14,948,079  

H&R Real Estate Investment Trust

    401,068       6,542,145  

Intact Financial Corp.

    131,286       9,858,288  

Power Corp. of Canada

    648,827       14,795,822  

Royal Bank of Canada

    192,181       14,834,868  

SmartCentres Real Estate Investment Trust

    183,716       4,148,127  

Sun Life Financial, Inc.

    389,532       15,986,145  

TELUS Corp.

    497,737       17,465,675  

Toronto-Dominion Bank

    266,125       15,091,254  
   

 

 

 
      167,606,734  
   

 

 

 

FINLAND — 1.1%

   

Kone Oyj Class B

    270,343       13,475,473  
   

 

 

 

FRANCE — 2.3%

   

Bureau Veritas SA

    480,073       12,463,724  

Danone SA

    135,034       10,915,888  

ICADE REIT

    48,312       4,687,964  
   

 

 

 
      28,067,576  
   

 

 

 

 

See accompanying notes to financial statements.

 

32


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

GERMANY — 5.6%

   

Axel Springer SE

    174,867     $ 14,624,098  

Deutsche EuroShop AG

    263,368       9,652,317  

Deutsche Post AG

    277,685       12,130,471  

Fielmann AG

    74,815       6,045,140  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    90,961       21,126,352  

Talanx AG (b)

    132,336       5,751,708  
   

 

 

 
      69,330,086  
   

 

 

 

HONG KONG — 6.9%

   

CK Infrastructure Holdings, Ltd.

    1,784,500       14,586,047  

CLP Holdings, Ltd.

    1,579,500       16,080,177  

Hang Seng Bank, Ltd.

    618,200       14,304,387  

Link REIT

    654,500       5,587,388  

Power Assets Holdings, Ltd.

    2,214,500       19,737,303  

Sino Land Co., Ltd.

    4,244,597       6,868,542  

Yue Yuen Industrial Holdings, Ltd.

    2,038,500       8,090,832  
   

 

 

 
      85,254,676  
   

 

 

 

ITALY — 1.4%

   

Atlantia SpA

    545,720       16,879,523  
   

 

 

 

JAPAN — 6.8%

   

Activia Properties, Inc. REIT

    1,072       4,782,924  

Advance Residence Investment Corp. REIT

    1,980       5,019,351  

Daiwa House REIT Investment Corp.

    1,791       4,317,935  

GLP J - REIT

    3,920       4,323,611  

Hikari Tsushin, Inc.

    65,300       10,419,756  

Japan Prime Realty Investment Corp. REIT

    1,433       5,187,635  

Japan Real Estate Investment Corp. REIT

    813       4,212,158  

Japan Retail Fund Investment Corp. REIT

    2,794       5,411,979  

Kenedix Office Investment Corp. REIT

    771       4,690,522  

Lawson, Inc. (a)

    226,900       15,446,695  

Nippon Building Fund, Inc. REIT

    795       4,395,487  

Nippon Prologis REIT, Inc.

    2,307       4,991,450  

Orix JREIT, Inc. REIT

    3,304       5,132,307  

United Urban Investment Corp. REIT

    3,378       5,279,018  
   

 

 

 
      83,610,828  
   

 

 

 

MALAYSIA — 3.6%

   

Gamuda Bhd

    6,974,500       9,286,110  

Public Bank Bhd

    2,590,000       16,070,321  

Tenaga Nasional Bhd

    4,522,000       18,892,327  
   

 

 

 
      44,248,758  
   

 

 

 

 

See accompanying notes to financial statements.

 

33


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

NEW ZEALAND — 1.0%

   

Spark New Zealand, Ltd.

    5,021,837     $ 12,099,991  
   

 

 

 

PORTUGAL — 2.4%

   

EDP - Energias de Portugal SA

    7,851,497       29,818,244  
   

 

 

 

RUSSIA — 2.1%

   

Gazprom PJSC ADR

    5,393,901       26,246,722  
   

 

 

 

SINGAPORE — 3.5%

   

CapitaLand, Ltd.

    4,092,600       11,142,059  

Singapore Exchange, Ltd.

    2,086,000       11,724,106  

Singapore Telecommunications, Ltd.

    7,859,800       20,199,440  
   

 

 

 
      43,065,605  
   

 

 

 

SOUTH AFRICA — 1.7%

   

AVI, Ltd.

    954,162       8,924,168  

Shoprite Holdings, Ltd.

    572,799       12,210,366  
   

 

 

 
      21,134,534  
   

 

 

 

SPAIN — 5.2%

   

Enagas SA

    925,387       25,299,688  

Iberdrola SA

    2,681,731       19,696,421  

Red Electrica Corp. SA

    934,050       19,218,450  
   

 

 

 
      64,214,559  
   

 

 

 

SWEDEN — 3.5%

   

ICA Gruppen AB (a)

    342,174       12,069,327  

Intrum Justitia AB (a)

    338,054       9,554,542  

Skanska AB Class B

    1,076,231       21,929,935  
   

 

 

 
      43,553,804  
   

 

 

 

SWITZERLAND — 9.4%

   

Baloise Holding AG

    90,593       13,821,676  

Helvetia Holding AG

    21,629       12,863,111  

Nestle SA

    129,538       10,229,390  

PSP Swiss Property AG

    73,389       7,142,706  

Roche Holding AG Bearer Shares

    33,820       7,833,413  

Schindler Holding AG

    31,497       6,775,670  

Swiss Prime Site AG (b)

    140,193       13,534,715  

Swiss Re AG

    239,810       24,361,651  

Swisscom AG (a)

    39,094       19,334,710  
   

 

 

 
      115,897,042  
   

 

 

 

TAIWAN — 1.8%

   

Hua Nan Financial Holdings Co., Ltd.

    6,466,350       3,881,096  

 

See accompanying notes to financial statements.

 

34


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Taiwan Mobile Co., Ltd.

    4,870,000     $ 18,205,920  
   

 

 

 
      22,087,016  
   

 

 

 

THAILAND — 1.3%

   

Bangkok Bank PCL (c)

    2,243,092       15,350,869  
   

 

 

 

UNITED KINGDOM — 14.2%

   

Diageo PLC

    319,755       10,819,082  

Experian PLC

    432,571       9,329,713  

Imperial Brands PLC

    560,561       19,076,972  

Kingfisher PLC

    3,107,452       12,750,466  

National Grid PLC

    1,990,603       22,400,776  

Pennon Group PLC

    1,584,620       14,302,170  

RELX PLC

    319,598       6,568,065  

Segro PLC REIT

    684,725       5,774,720  

SSE PLC

    1,721,032       30,806,004  

Ultra Electronics Holdings PLC

    345,191       6,696,955  

United Utilities Group PLC

    1,937,888       19,447,929  

WPP PLC

    1,043,630       16,579,847  
   

 

 

 
      174,552,699  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,198,144,738)

      1,225,628,453  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.9%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    1,136,427       1,136,427  

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    33,995,826       33,995,826  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $35,132,253)

      35,132,253  
   

 

 

 

TOTAL INVESTMENTS — 102.4%
(Cost $1,233,276,991)

      1,260,760,706  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (2.4)%

      (29,178,172
   

 

 

 

NET ASSETS — 100.0%

    $ 1,231,582,534  
   

 

 

 

 

See accompanying notes to financial statements.

 

35


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $15,350,869 representing 1.3% of net assets.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

REIT =Real Estate Investment Trust

 

See accompanying notes to financial statements.

 

36


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted
Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 141,749,675     $     $     $ 141,749,675

Belgium

      7,384,039                   7,384,039

Canada

      167,606,734                   167,606,734

Finland

      13,475,473                   13,475,473

France

      28,067,576                   28,067,576

Germany

      69,330,086                   69,330,086

Hong Kong

      85,254,676                   85,254,676

Italy

      16,879,523                   16,879,523

Japan

      83,610,828                   83,610,828

Malaysia

      44,248,758                   44,248,758

New Zealand

      12,099,991                   12,099,991

Portugal

      29,818,244                   29,818,244

Russia

      26,246,722                   26,246,722

Singapore

      43,065,605                   43,065,605

South Africa

      21,134,534                   21,134,534

Spain

      64,214,559                   64,214,559

Sweden

      43,553,804                   43,553,804

Switzerland

      115,897,042                   115,897,042

Taiwan

      22,087,016                   22,087,016

Thailand

            15,350,869             15,350,869

United Kingdom

      174,552,699                   174,552,699

Short-Term Investments

      35,132,253                   35,132,253
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 1,245,409,837     $ 15,350,869     $     $ 1,260,760,706
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

37


Table of Contents

SPDR S&P INTERNATIONAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      870,594     $ 870,594     $ 38,885,319     $ 38,619,486     $     $       1,136,427     $ 1,136,427     $ 8,869

State Street Navigator Securities Lending Government Money Market Portfolio

      513,248       513,248       372,357,066       338,874,489                   33,995,826       33,995,826       176,201
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 1,383,842     $ 411,242,385     $ 377,493,975     $     $         $ 35,132,253     $ 185,070
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

38


Table of Contents

SPDR STOXX EUROPE 50 ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.3%

   

BELGIUM — 1.9%

   

Anheuser-Busch InBev SA

    39,048     $ 4,287,511  
   

 

 

 

DENMARK — 2.0%

   

Novo Nordisk A/S Class B

    94,633       4,645,072  
   

 

 

 

FRANCE — 17.0%

   

Air Liquide SA

    22,579       2,762,440  

Airbus SE

    30,043       3,465,760  

AXA SA

    109,757       2,915,669  

BNP Paribas SA

    60,661       4,488,920  

L’Oreal SA

    12,886       2,905,704  

LVMH Moet Hennessy Louis Vuitton SE

    14,229       4,378,385  

Sanofi

    60,227       4,839,006  

Schneider Electric SE

    29,467       2,585,362  

TOTAL SA (a)

    133,622       7,580,777  

Vinci SA

    29,276       2,876,808  
   

 

 

 
      38,798,831  
   

 

 

 

GERMANY — 14.9%

   

Allianz SE

    23,175       5,227,227  

BASF SE

    48,352       4,904,139  

Bayer AG

    43,533       4,914,352  

Daimler AG

    52,474       4,450,991  

Deutsche Telekom AG

    170,924       2,785,295  

SAP SE

    57,028       5,959,448  

Siemens AG

    44,741       5,696,161  
   

 

 

 
      33,937,613  
   

 

 

 

ITALY — 2.3%

   

Eni SpA

    133,900       2,352,904  

Intesa Sanpaolo SpA

    766,918       2,785,725  
   

 

 

 
      5,138,629  
   

 

 

 

NETHERLANDS — 6.8%

   

ASML Holding NV

    22,715       4,473,959  

ING Groep NV

    204,779       3,450,311  

Royal Dutch Shell PLC Class A

    242,218       7,681,143  
   

 

 

 
      15,605,413  
   

 

 

 

SPAIN — 4.7%

   

Banco Bilbao Vizcaya Argentaria SA

    351,428       2,778,639  

Banco Santander SA

    849,382       5,531,225  

Telefonica SA

    242,254       2,391,831  
   

 

 

 
              10,701,695  
   

 

 

 

 

See accompanying notes to financial statements.

 

39


Table of Contents

SPDR STOXX EUROPE 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SWITZERLAND — 19.2%

   

ABB, Ltd.

    108,174     $ 2,566,534  

Glencore PLC (b)

    638,718       3,170,026  

Nestle SA

    163,963       12,947,872  

Novartis AG

    129,695       10,463,906  

Roche Holding AG

    37,016       8,469,304  

UBS Group AG (b)

    203,092       3,561,957  

Zurich Insurance Group AG (b)

    7,977       2,610,685  
   

 

 

 
      43,790,284  
   

 

 

 

UNITED KINGDOM — 30.5%

   

AstraZeneca PLC

    66,675       4,578,844  

Barclays PLC

    845,689       2,449,777  

BP PLC

    1,049,715       7,057,149  

British American Tobacco PLC

    120,853       7,003,391  

Diageo PLC

    129,880       4,394,561  

GlaxoSmithKline PLC

    261,259       5,108,928  

HSBC Holdings PLC

    1,070,639       9,993,592  

Imperial Brands PLC

    50,280       1,711,125  

Lloyds Banking Group PLC

    3,798,048       3,445,021  

National Grid PLC

    178,078       2,003,958  

Prudential PLC

    136,346       3,401,669  

Reckitt Benckiser Group PLC

    36,493       3,088,948  

Rio Tinto PLC

    61,317       3,106,019  

Unilever NV

    82,283       4,641,851  

Unilever PLC

    64,875       3,599,768  

Vodafone Group PLC

    1,404,567       3,826,766  
   

 

 

 
      69,411,367  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $240,096,571)

              226,316,415  
   

 

 

 

SHORT-TERM INVESTMENTS — 0.1%

   

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (c) (d)

    162,654       162,654  

 

See accompanying notes to financial statements.

 

40


Table of Contents

SPDR STOXX EUROPE 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (c) (e)

    101,922     $ 101,922  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $264,576)

      264,576  
   

 

 

 

TOTAL INVESTMENTS — 99.4%
(Cost $240,361,147)

      226,580,991  
   

 

 

 

OTHER ASSETS IN EXCESS OF LIABILITIES — 0.6%

      1,350,835  
   

 

 

 

NET ASSETS — 100.0%

    $   227,931,826  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at March 31, 2018.
(e) Investment of cash collateral for securities loaned.

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 —
Quoted
Prices
  Level 2 —
Other Significant
Observable
Inputs
  Level 3 —
Significant
Unobservable
Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Belgium

    $ 4,287,511     $     $     $ 4,287,511

Denmark

      4,645,072                   4,645,072

France

      38,798,831                   38,798,831

Germany

      33,937,613                   33,937,613

Italy

      5,138,629                   5,138,629

Netherlands

      15,605,413                   15,605,413

Spain

      10,701,695                   10,701,695

Switzerland

      43,790,284                   43,790,284

United Kingdom

      69,411,367                   69,411,367

Short-Term Investments

      264,576                   264,576
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 226,580,991     $     $     $ 226,580,991
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

41


Table of Contents

SPDR STOXX EUROPE 50 ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      76,612     $ 76,612     $ 3,491,115     $ 3,405,073     $     $       162,654     $ 162,654     $ 820

State Street Navigator Securities Lending Government Money Market Portfolio

      128,419       128,419       61,184,011       61,210,508                   101,922       101,922       36,771
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 205,031     $ 64,675,126     $ 64,615,581     $     $         $ 264,576     $ 37,591
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

42


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES

March 31, 2018 (Unaudited)

 

 

 

     SPDR EURO
STOXX 50 ETF
  SPDR MSCI ACWI
ex-US ETF

ASSETS

        

Investments in unaffiliated issuers, at value*

     $ 4,351,775,666     $ 1,532,236,747

Investments in affiliated issuers, at value

       69,874,771       34,977,210
    

 

 

     

 

 

 

Total Investments

       4,421,650,437       1,567,213,957

Foreign currency, at value

       2,198,379       8,136,447

Cash

             8

Dividends receivable — unaffiliated issuers

       3,385,322       5,313,594

Dividends receivable — affiliated issuers

       1,641       1,713

Securities lending income receivable — unaffiliated issuers

       16,043       17,077

Securities lending income receivable — affiliated issuers

       41,158       46,306

Receivable from Adviser

             163,715

Receivable for foreign taxes recoverable

       4,129,470       662,478

Other Receivable

       1,382      
    

 

 

     

 

 

 

TOTAL ASSETS

       4,431,423,832       1,581,555,295
    

 

 

     

 

 

 

LIABILITIES

        

Payable upon return of securities loaned

       69,782,046       32,639,102

Deferred foreign taxes payable

             24,901

Advisory fee payable

       3,174,480       1,330,910

Trustees’ fees and expenses payable

       4,982       1,351

Accrued expenses and other liabilities

       717       19
    

 

 

     

 

 

 

TOTAL LIABILITIES

       72,962,225       33,996,283
    

 

 

     

 

 

 

NET ASSETS

     $ 4,358,461,607     $ 1,547,559,012
    

 

 

     

 

 

 

NET ASSETS CONSIST OF:

        

Paid-in Capital

     $ 4,642,869,852     $ 1,527,698,419

Undistributed (distribution in excess of) net investment income (loss)

       (886,792 )       5,558,628

Accumulated net realized gain (loss) investments and foreign currency transactions

       (374,069,154 )       (102,189,006 )

Net unrealized appreciation (depreciation) on:

        

Investments — unaffiliated issuers**

       90,168,813       116,467,421

Foreign currency translations

       378,888       23,550
    

 

 

     

 

 

 

NET ASSETS

     $ 4,358,461,607     $ 1,547,559,012
    

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

        

Net asset value per share

     $ 40.17     $ 38.50
    

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       108,500,967       40,200,000
    

 

 

     

 

 

 

COST OF INVESTMENTS:

        

Investments in unaffiliated issuers

     $ 4,261,606,853     $ 1,415,744,425

Investments in affiliated issuers

       69,874,771       34,977,210
    

 

 

     

 

 

 

Total cost of investments

     $ 4,331,481,624     $ 1,450,721,635
    

 

 

     

 

 

 

Foreign currency, at cost

     $ 2,195,189     $ 8,141,865
    

 

 

     

 

 

 

* Includes investments in securities on loan, at value

     $ 68,087,528     $ 67,362,665
    

 

 

     

 

 

 

** Includes deferred foreign taxes

     $     $ 24,901
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

43


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES (continued)

March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
Emerging Markets
Dividend ETF
  SPDR S&P
Emerging Markets
Small Cap ETF

ASSETS

        

Investments in unaffiliated issuers, at value*

     $ 484,877,901     $ 558,372,117

Investments in affiliated issuers, at value

       39,551,760       20,647,301
    

 

 

     

 

 

 

Total Investments

       524,429,661       579,019,418

Foreign currency, at value

       1,149,419       727,443

Cash

             1,145

Dividends receivable — unaffiliated issuers

       1,121,839       588,190

Dividends receivable — affiliated issuers

       2,228       1,034

Securities lending income receivable — unaffiliated issuers

       1,580       50,982

Securities lending income receivable — affiliated issuers

       26,676       65,661

Receivable for foreign taxes recoverable

       18,158      
    

 

 

     

 

 

 

TOTAL ASSETS

       526,749,561       580,453,873
    

 

 

     

 

 

 

LIABILITIES

        

Payable upon return of securities loaned

       38,837,851       19,823,794

Advisory fee payable

       581,143       882,910

Trustees’ fees and expenses payable

       506       722

Accrued expenses and other liabilities

       5       6
    

 

 

     

 

 

 

TOTAL LIABILITIES

       39,419,505       20,707,432
    

 

 

     

 

 

 

NET ASSETS

     $ 487,330,056     $ 559,746,441
    

 

 

     

 

 

 

NET ASSETS CONSIST OF:

        

Paid-in Capital

     $ 656,251,362     $ 642,223,722

Undistributed (distribution in excess of) net investment income (loss)

       836,098       (846,625 )

Accumulated net realized gain (loss) investments and foreign currency transactions

       (234,373,379 )       (59,748,456 )

Net unrealized appreciation (depreciation) on:

        

Investments — unaffiliated issuers

       64,614,997       (21,883,843 )

Foreign currency translations

       978       1,643
    

 

 

     

 

 

 

NET ASSETS

     $ 487,330,056     $ 559,746,441
    

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

        

Net asset value per share

     $ 35.06     $ 51.83
    

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       13,900,000       10,800,000
    

 

 

     

 

 

 

COST OF INVESTMENTS:

        

Investments in unaffiliated issuers

     $ 420,262,904     $ 580,255,960

Investments in affiliated issuers

       39,551,760       20,647,301
    

 

 

     

 

 

 

Total cost of investments

     $ 459,814,664     $ 600,903,261
    

 

 

     

 

 

 

Foreign currency, at cost

     $ 1,147,993     $ 725,192
    

 

 

     

 

 

 

* Includes investments in securities on loan, at value

     $ 37,897,145     $ 35,948,563
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

44


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES (continued)

March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
International
Dividend ETF
    SPDR STOXX
Europe 50 ETF
 

ASSETS

    

Investments in unaffiliated issuers, at value*

   $ 1,225,628,453     $ 226,316,415  

Investments in affiliated issuers, at value

     35,132,253       264,576  
  

 

 

   

 

 

 

Total Investments

     1,260,760,706       226,580,991  

Foreign currency, at value

     2,622,755       485,427  

Cash

     7        

Dividends receivable — unaffiliated issuers

     2,916,291       814,455  

Dividends receivable — affiliated issuers

     2,217       309  

Securities lending income receivable — unaffiliated issuers

     55,574        

Securities lending income receivable — affiliated issuers

     74,741       12  

Receivable for foreign taxes recoverable

     568,958       353,131  
  

 

 

   

 

 

 

TOTAL ASSETS

     1,267,001,249       228,234,325  
  

 

 

   

 

 

 

LIABILITIES

    

Payable upon return of securities loaned

     33,995,826       101,922  

Advisory fee payable

     1,420,784       200,189  

Trustees’ fees and expenses payable

     2,085       388  

Accrued expenses and other liabilities

     20        
  

 

 

   

 

 

 

TOTAL LIABILITIES

     35,418,715       302,499  
  

 

 

   

 

 

 

NET ASSETS

   $ 1,231,582,534     $ 227,931,826  
  

 

 

   

 

 

 

NET ASSETS CONSIST OF:

    

Paid-in Capital

   $ 1,622,844,926     $ 284,457,678  

Undistributed (distribution in excess of) net investment income (loss)

     102,875       359,729  

Accumulated net realized gain (loss) investments and foreign currency transactions

     (418,882,051     (43,116,786

Net unrealized appreciation (depreciation) on:

    

Investments — unaffiliated issuers

     27,483,715       (13,780,156

Foreign currency translations

     33,069       11,361  
  

 

 

   

 

 

 

NET ASSETS

   $ 1,231,582,534     $ 227,931,826  
  

 

 

   

 

 

 

NET ASSET VALUE PER SHARE

    

Net asset value per share

   $ 39.92     $ 34.53  
  

 

 

   

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

     30,851,326       6,600,370  
  

 

 

   

 

 

 

COST OF INVESTMENTS:

    

Investments in unaffiliated issuers

   $ 1,198,144,738     $ 240,096,571  

Investments in affiliated issuers

     35,132,253       264,576  
  

 

 

   

 

 

 

Total cost of investments

   $ 1,233,276,991     $ 240,361,147  
  

 

 

   

 

 

 

Foreign currency, at cost

   $ 2,624,002     $ 489,805  
  

 

 

   

 

 

 

* Includes investments in securities on loan, at value

   $ 52,568,218     $ 91,479  
  

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

45


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR EURO
STOXX 50 ETF
   SPDR MSCI
ACWI ex-US ETF

INVESTMENT INCOME

         

Dividend income — unaffiliated issuers

     $ 27,704,750      $ 16,108,102

Dividend income — affiliated issuers

       7,045        13,344

Dividend income — non-cash

       2,599,092        1,282,927

Unaffiliated securities lending income

       68,724        54,966

Affiliated securities lending income

       747,194        149,706

Foreign taxes withheld

       (4,038,982 )        (1,361,645 )
    

 

 

      

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       27,087,823        16,247,400
    

 

 

      

 

 

 

EXPENSES

         

Advisory fee

       6,380,033        2,653,438

Trustees’ fees and expenses

       35,727        12,675

Miscellaneous expenses

       15,233        78
    

 

 

      

 

 

 

TOTAL EXPENSES

       6,430,993        2,666,191
    

 

 

      

 

 

 

Expenses waived/reimbursed by the Adviser

              (324,922 )
    

 

 

      

 

 

 

NET EXPENSES

       6,430,993        2,341,269
    

 

 

      

 

 

 

NET INVESTMENT INCOME (LOSS)

       20,656,830        13,906,131
    

 

 

      

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

         

Net realized gain (loss) on:

         

Investments — unaffiliated issuers

       (5,954,791 )        (1,297,505 )

In-kind redemptions — unaffiliated issuers

       75,094,718        24,635,409

Foreign currency transactions

       131,150        78,381
    

 

 

      

 

 

 

Net realized gain (loss)

       69,271,077        23,416,285
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation on:

         

Investments — unaffiliated issuers*

       (195,224,055 )        15,464,757

Foreign currency translations

       64,012        918
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation

       (195,160,043 )        15,465,675
    

 

 

      

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       (125,888,966 )        38,881,960
    

 

 

      

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ (105,232,136 )      $ 52,788,091
    

 

 

      

 

 

 

* Includes foreign deferred taxes

     $      $ 115,360
    

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

46


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS (continued)

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
Emerging
Markets Dividend
ETF
   SPDR S&P
Emerging
Markets Small
Cap ETF

INVESTMENT INCOME

         

Dividend income — unaffiliated issuers

     $ 4,173,409      $ 3,351,091

Dividend income — affiliated issuers

       4,679        6,544

Dividend income — non-cash

       622,980       

Unaffiliated securities lending income

       11,324        285,428

Affiliated securities lending income

       48,726        405,535

Foreign taxes withheld

       (491,443 )        (335,623 )
    

 

 

      

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       4,369,675        3,712,975
    

 

 

      

 

 

 

EXPENSES

         

Advisory fee

       1,121,260        1,686,706

Trustees’ fees and expenses

       3,675        4,173

Miscellaneous expenses

       566        160
    

 

 

      

 

 

 

TOTAL EXPENSES

       1,125,501        1,691,039
    

 

 

      

 

 

 

NET INVESTMENT INCOME (LOSS)

       3,244,174        2,021,936
    

 

 

      

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

         

Net realized gain (loss) on:

         

Investments — unaffiliated issuers

       2,985,391        437,805

In-kind redemptions — unaffiliated issuers

       3,014,659       

Foreign currency transactions

       (57,682 )        51,423
    

 

 

      

 

 

 

Net realized gain (loss)

       5,942,368        489,228
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation on:

         

Investments — unaffiliated issuers

       60,550,067        29,510,950

Foreign currency translations

       16,091        5,516
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation

       60,566,158        29,516,466
    

 

 

      

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       66,508,526        30,005,694
    

 

 

      

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ 69,752,700      $ 32,027,630
    

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

47


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS (continued)

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR S&P
International
Dividend ETF
   SPDR STOXX
Europe 50 ETF

INVESTMENT INCOME

         

Dividend income — unaffiliated issuers

     $ 17,723,186      $ 3,959,940

Dividend income — affiliated issuers

       8,869        820

Dividend income — non-cash

       1,003,371       

Unaffiliated securities lending income

       79,279       

Affiliated securities lending income

       176,201        36,771

Foreign taxes withheld

       (1,495,186 )        (324,838 )
    

 

 

      

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       17,495,720        3,672,693
    

 

 

      

 

 

 

EXPENSES

         

Advisory fee

       2,881,870        427,172

Trustees’ fees and expenses

       11,096        2,522

Miscellaneous expenses

       584        1,217
    

 

 

      

 

 

 

TOTAL EXPENSES

       2,893,550        430,911
    

 

 

      

 

 

 

NET INVESTMENT INCOME (LOSS)

       14,602,170        3,241,782
    

 

 

      

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

         

Net realized gain (loss) on:

         

Investments — unaffiliated issuers

       7,252,123        (501,011 )

In-kind redemptions — unaffiliated issuers

       3,931,487        10,005,763

Foreign currency transactions

       27,834        36,446
    

 

 

      

 

 

 

Net realized gain (loss)

       11,211,444        9,541,198
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation on:

         

Investments — unaffiliated issuers

       (15,897,951 )        (15,811,961 )

Foreign currency translations

       70,310        (5,201 )
    

 

 

      

 

 

 

Net change in unrealized appreciation/depreciation

       (15,827,641 )        (15,817,162 )
    

 

 

      

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       (4,616,197 )        (6,275,964 )
    

 

 

      

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ 9,985,973      $ (3,034,182 )
    

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

48


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS

 

 

 

     SPDR EURO STOXX 50 ETF  
     Six Months
Ended
3/31/18
(Unaudited)
       Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

       

Net investment income (loss)

   $ 20,656,830        $ 89,168,391  

Net realized gain (loss)

     69,271,077          (47,488,563

Net change in unrealized appreciation/depreciation

     (195,160,043        767,645,429  
  

 

 

      

 

 

 

Net increase (decrease) in net assets resulting from operations

     (105,232,136        809,325,257  
  

 

 

      

 

 

 

Net equalization credits and charges

     (47,711        11,045,586  
  

 

 

      

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income

     (21,543,622        (96,010,453
  

 

 

      

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

       

Proceeds from sale of shares sold

     320,267,379          1,783,480,945  

Cost of shares redeemed

     (390,697,072        (479,844,142

Net income equalization

     47,711          (11,045,586
  

 

 

      

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

     (70,381,982        1,292,591,217  
  

 

 

      

 

 

 

Net increase (decrease) in net assets during the period

     (197,205,451        2,016,951,607  
  

 

 

      

 

 

 

Net assets at beginning of period

     4,555,667,058          2,538,715,451  
  

 

 

      

 

 

 

NET ASSETS AT END OF PERIOD

   $ 4,358,461,607        $ 4,555,667,058  
  

 

 

      

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

   $ (886,792      $  
  

 

 

      

 

 

 

SHARES OF BENEFICIAL INTEREST:

       

Shares sold

     7,700,000          46,900,000  

Shares redeemed

     (9,500,000        (14,100,000
  

 

 

      

 

 

 

Net increase (decrease)

     (1,800,000        32,800,000  
  

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

49


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR MSCI ACWI ex-US ETF  
     Six Months
Ended
3/31/18
(Unaudited)
       Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

       

Net investment income (loss)

   $ 13,906,131        $ 30,530,226  

Net realized gain (loss)

     23,416,285          (2,679,958

Net change in unrealized appreciation/depreciation

     15,465,675          194,915,268  
  

 

 

      

 

 

 

Net increase (decrease) in net assets resulting from operations

     52,788,091          222,765,536  
  

 

 

      

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income

     (17,865,746        (27,970,511
  

 

 

      

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

       

Proceeds from sale of shares sold

     123,202,349          419,780,280  

Cost of shares redeemed

     (72,460,933         

Other capital

     120,679          (99,689
  

 

 

      

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

     50,862,095          419,680,591  
  

 

 

      

 

 

 

Net increase (decrease) in net assets during the period

     85,784,440          614,475,616  
  

 

 

      

 

 

 

Net assets at beginning of period

     1,461,774,572          847,298,956  
  

 

 

      

 

 

 

NET ASSETS AT END OF PERIOD

   $ 1,547,559,012        $ 1,461,774,572  
  

 

 

      

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

   $ 5,558,628        $ 9,518,243  
  

 

 

      

 

 

 

SHARES OF BENEFICIAL INTEREST:

       

Shares sold

     3,200,000          12,600,000  

Shares redeemed

     (1,800,000         
  

 

 

      

 

 

 

Net increase (decrease)

     1,400,000          12,600,000  
  

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

50


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR S&P Emerging Markets
Dividend ETF
 
     Six Months
Ended
3/31/18
(Unaudited)
       Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

       

Net investment income (loss)

   $ 3,244,174        $ 14,349,782  

Net realized gain (loss)

     5,942,368          28,726,180  

Net change in unrealized appreciation/depreciation

     60,566,158          3,575,929  
  

 

 

      

 

 

 

Net increase (decrease) in net assets resulting from operations

     69,752,700          46,651,891  
  

 

 

      

 

 

 

Net equalization credits and charges

     42,311          447,960  
  

 

 

      

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income

     (3,436,133        (13,211,413
  

 

 

      

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

       

Proceeds from sale of shares sold

     21,595,993          95,845,524  

Cost of shares redeemed

     (23,458,636        (6,518,090

Net income equalization

     (42,311        (447,960

Other capital

     18,545          47,441  
  

 

 

      

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

     (1,886,409        88,926,915  
  

 

 

      

 

 

 

Net increase (decrease) in net assets during the period

     64,472,469          122,815,353  
  

 

 

      

 

 

 

Net assets at beginning of period

     422,857,587          300,042,234  
  

 

 

      

 

 

 

NET ASSETS AT END OF PERIOD

   $ 487,330,056        $ 422,857,587  
  

 

 

      

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

   $ 836,098        $ 1,028,057  
  

 

 

      

 

 

 

SHARES OF BENEFICIAL INTEREST:

       

Shares sold

     650,000          3,250,000  

Shares redeemed

     (700,000        (250,000
  

 

 

      

 

 

 

Net increase (decrease)

     (50,000        3,000,000  
  

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

51


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR S&P
Emerging Markets Small Cap ETF
     Six Months
Ended
3/31/18
(Unaudited)
     Year Ended
9/30/17

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

           

Net investment income (loss)

     $ 2,021,936        $ 9,287,724

Net realized gain (loss)

       489,228          20,776,592

Net change in unrealized appreciation/depreciation

       29,516,466          37,278,832
    

 

 

        

 

 

 

Net increase (decrease) in net assets resulting from operations

       32,027,630          67,343,148
    

 

 

        

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

           

Net investment income

       (10,065,060 )          (8,720,849 )
    

 

 

        

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

           

Proceeds from sale of shares sold

       58,400,001          133,120,554

Cost of shares redeemed

                (33,210,110 )

Other capital

       45,489          249,509
    

 

 

        

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

       58,445,490          100,159,953
    

 

 

        

 

 

 

Net increase (decrease) in net assets during the period

       80,408,060          158,782,252
    

 

 

        

 

 

 

Net assets at beginning of period

       479,338,381          320,556,129
    

 

 

        

 

 

 

NET ASSETS AT END OF PERIOD

     $ 559,746,441        $ 479,338,381
    

 

 

        

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

     $ (846,625 )        $ 7,196,499
    

 

 

        

 

 

 

SHARES OF BENEFICIAL INTEREST:

           

Shares sold

       1,100,000          3,000,000

Shares redeemed

                (800,000 )
    

 

 

        

 

 

 

Net increase (decrease)

       1,100,000          2,200,000
    

 

 

        

 

 

 

 

See accompanying notes to financial statements.

 

52


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR S&P International Dividend
ETF
     Six Months
Ended
3/31/18
(Unaudited)
     Year Ended
9/30/17

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

           

Net investment income (loss)

     $ 14,602,170        $ 44,330,093

Net realized gain (loss)

       11,211,444          77,464,040

Net change in unrealized appreciation/depreciation

       (15,827,641 )          45,336,374
    

 

 

        

 

 

 

Net increase (decrease) in net assets resulting from operations

       9,985,973          167,130,507
    

 

 

        

 

 

 

Net equalization credits and charges

       (28,977 )          (211,475 )
    

 

 

        

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

           

Net investment income

       (19,834,326 )          (58,780,820 )
    

 

 

        

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

           

Proceeds from sale of shares sold

       36,351,454          226,668,368

Cost of shares redeemed

       (46,882,129 )          (93,577,293 )

Net income equalization

       28,977          211,475

Other capital

                12,771
    

 

 

        

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

       (10,501,698 )          133,315,321
    

 

 

        

 

 

 

Net increase (decrease) in net assets during the period

       (20,379,028 )          241,453,533
    

 

 

        

 

 

 

Net assets at beginning of period

       1,251,961,562          1,010,508,029
    

 

 

        

 

 

 

NET ASSETS AT END OF PERIOD

     $ 1,231,582,534        $ 1,251,961,562
    

 

 

        

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

     $ 102,875        $ 5,335,031
    

 

 

        

 

 

 

SHARES OF BENEFICIAL INTEREST:

           

Shares sold

       900,000          5,950,000

Shares redeemed

       (1,150,000 )          (2,450,000 )
    

 

 

        

 

 

 

Net increase (decrease)

       (250,000 )          3,500,000
    

 

 

        

 

 

 

 

See accompanying notes to financial statements.

 

53


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR STOXX Europe 50 ETF  
     Six Months
Ended
3/31/18
(Unaudited)
       Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

       

Net investment income (loss)

   $ 3,241,782        $ 6,456,978  

Net realized gain (loss)

     9,541,198          (5,560,708

Net change in unrealized appreciation/depreciation

     (15,817,162        39,673,053  
  

 

 

      

 

 

 

Net increase (decrease) in net assets resulting from operations

     (3,034,182        40,569,323  
  

 

 

      

 

 

 

Net equalization credits and charges

     (298,771        837,646  
  

 

 

      

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income

     (2,882,053        (7,278,371
  

 

 

      

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

       

Proceeds from sale of shares sold

              115,916,959  

Cost of shares redeemed

     (83,816,536        (17,804,866

Net income equalization

     298,771          (837,646

Other capital

              41,867  
  

 

 

      

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

     (83,517,765        97,316,314  
  

 

 

      

 

 

 

Net increase (decrease) in net assets during the period

     (89,732,771        131,444,912  
  

 

 

      

 

 

 

Net assets at beginning of period

     317,664,597          186,219,685  
  

 

 

      

 

 

 

NET ASSETS AT END OF PERIOD

   $ 227,931,826        $ 317,664,597  
  

 

 

      

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

   $ 359,729        $  
  

 

 

      

 

 

 

SHARES OF BENEFICIAL INTEREST:

       

Shares sold

              3,400,000  

Shares redeemed

     (2,350,000        (600,000
  

 

 

      

 

 

 

Net increase (decrease)

     (2,350,000        2,800,000  
  

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

54


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS

Selected data for a share outstanding throughout each period

 

 

 

    SPDR EURO STOXX 50 ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 41.30     $ 32.76     $ 33.77     $ 39.88     $ 38.33     $ 30.96
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.19       1.04       1.05       1.20       1.32       1.19

Net realized and unrealized gain (loss) (b)

      (1.12 )       8.34       (0.83 )       (6.11 )       1.46       7.19
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      (0.93 )       9.38       0.22       (4.91 )       2.78       8.38
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.00 )(c)       0.13       (0.06 )       (0.01 )       0.06       0.13
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.20 )       (0.97 )       (1.17 )       (1.19 )       (1.29 )       (1.14 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 40.17     $ 41.30     $ 32.76     $ 33.77     $ 39.88     $ 38.33
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      (2.25 )%       29.30 %       0.62 %       (12.60 )%       7.20 %       28.10 %(e)

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 4,358,462     $ 4,555,667     $ 2,538,715     $ 4,044,421     $ 4,949,488     $ 3,285,263

Ratios to average net assets:

                       

Total expenses

      0.29 %(f)       0.29 %       0.29 %       0.29 %       0.29 %       0.29 %

Net investment income (loss)

      0.94 %(f)       2.83 %       3.13 %       3.16 %       3.16 %       3.43 %

Portfolio turnover rate (g)

      1 %(h)       4 %       7 %       6 %       6 %       8 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) If the Adviser had not made a contribution during the period ended September 30, 2013, the total return would have remained 28.10%.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

55


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI ACWI ex-US ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 37.67     $ 32.34     $ 30.31     $ 35.09     $ 34.29     $ 30.49
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.35       0.90       0.87       0.94       1.17       0.90

Net realized and unrealized gain (loss) (b)

      0.92       5.22       2.00       (4.92 )       0.72       3.88
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      1.27       6.12       2.87       (3.98 )       1.89       4.78
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.00 (c)       (0.00 )(c)                        
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.44 )       (0.79 )       (0.84 )       (0.80 )       (1.09 )       (0.98 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 38.50     $ 37.67     $ 32.34     $ 30.31     $ 35.09     $ 34.29
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      3.33 %       19.24 %       9.66 %       (11.58 )%       5.43 %       15.96 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 1,547,559     $ 1,461,775     $ 847,299     $ 715,311     $ 575,494     $ 493,824

Ratios to average net assets:

                       

Total expenses

      0.34 %(e)       0.34 %       0.34 %       0.34 %       0.35 %       0.34 %

Net expenses

      0.30 %(e)       0.30 %       0.30 %       0.32 %       0.35 %       0.34 %

Net investment income (loss)

      1.78 %(e)       2.62 %       2.80 %       2.74 %       3.25 %       2.76 %

Portfolio turnover rate (f)

      0 %(g)(h)       3 %       7 %       8 %       3 %       2 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Amount is less than 0.005%.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

56


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Emerging Markets Dividend ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 30.31     $ 27.40     $ 25.06     $ 36.66     $ 40.34     $ 43.70
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.23       1.18       1.28       1.44       1.77       2.45

Net realized and unrealized gain (loss) (b)

      4.76       2.70       2.29       (11.68 )       (3.86 )       (3.87 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      4.99       3.88       3.57       (10.24 )       (2.09 )       (1.42 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      0.00 (c)       0.04       0.04       (0.03 )       0.04       0.09
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.00 (c)       0.00 (c)       0.02       0.01       0.01       0.05
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.24 )       (1.01 )       (1.29 )       (1.34 )       (1.64 )       (2.08 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 35.06     $ 30.31     $ 27.40     $ 25.06     $ 36.66     $ 40.34
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      16.49 %       14.47 %       14.70 %       (28.56 )%       (5.16 )%       (2.80 )%

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 487,330     $ 422,858     $ 300,042     $ 298,163     $ 491,217     $ 538,651

Ratios to average net assets:

                       

Total expenses

      0.49 %(e)       0.49 %       0.49 %       0.53 %       0.59 %       0.60 %

Net investment income (loss)

      1.42 %(e)       4.05 %       4.91 %       4.32 %       4.50 %       5.71 %

Portfolio turnover rate (f)

      12 %(g)       123 %       48 %       78 %       67 %       85 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

57


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Emerging Markets Small Cap ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 49.42     $ 42.74     $ 37.00     $ 48.31     $ 46.15     $ 44.43
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.20       1.04       0.89       1.01       1.01       0.95

Net realized and unrealized gain (loss) (b)

      3.25       6.61       5.84       (11.19 )       2.11       1.81
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      3.45       7.65       6.73       (10.18 )       3.12       2.76
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

                        0.00 (c)            
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.00 (c)       0.03       0.04       0.04       0.05       0.03
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (1.04 )       (1.00 )       (1.03 )       (1.17 )       (1.01 )       (1.07 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 51.83     $ 49.42     $ 42.74     $ 37.00     $ 48.31     $ 46.15
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      6.98 %       18.46 %       18.67 %       (21.38 )%       6.90 %       6.29 %(e)

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 559,746     $ 479,338     $ 320,556     $ 373,681     $ 570,082     $ 761,466

Ratios to average net assets:

                       

Total expenses

      0.65 %(f)       0.65 %       0.65 %       0.65 %       0.65 %       0.65 %

Net investment income (loss)

      0.78 %(f)       2.30 %       2.29 %       2.26 %       2.10 %       2.05 %

Portfolio turnover rate (g)

      2 %(h)       34 %       19 %       12 %       23 %       18 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) If the Adviser had not made a contribution during the period ended September 30, 2013, the total return would have been 6.29%.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

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SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P International Dividend ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 40.25     $ 36.61     $ 33.95     $ 46.33     $ 46.60     $ 45.27
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.46       1.51       1.68       2.05       2.41       3.27

Net realized and unrealized gain (loss) (b)

      (0.16 )       4.13       2.56       (12.36 )       (0.29 )       1.20
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      0.30       5.64       4.24       (10.31 )       2.12       4.47
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.00 )(c)       (0.01 )       0.05       (0.01 )       0.03       0.00 (c)
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

            0.00 (c)                        
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.63 )       (1.99 )       (1.63 )       (2.06 )       (2.42 )       (3.14 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 39.92     $ 40.25     $ 36.61     $ 33.95     $ 46.33     $ 46.60
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      0.71 %       15.84 %       12.98 %       (22.86 )%       4.43 %       10.24 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 1,231,583     $ 1,251,962     $ 1,010,508     $ 974,416     $ 1,450,114     $ 1,304,826

Ratios to average net assets:

                       

Total expenses

      0.45 %(e)       0.45 %       0.45 %       0.46 %       0.46 %       0.45 %

Net investment income (loss)

      2.28 %(e)       3.95 %       4.81 %       4.84 %       4.96 %       6.97 %

Portfolio turnover rate (f)

      7 %(g)       122 %       39 %       76 %       62 %       121 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

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SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR STOXX Europe 50 ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 35.49     $ 30.28     $ 31.54     $ 36.86     $ 36.47     $ 31.50
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.39       0.95       1.10       1.23       2.03 (b)       1.19

Net realized and unrealized gain (loss) (c)

      (0.92 )       5.14       (1.21 )       (5.37 )       0.22       4.84
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      (0.53 )       6.09       (0.11 )       (4.14 )       2.25       6.03
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.04 )       0.12       (0.04 )       0.04       0.11       0.13
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

            0.01                        
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.39 )       (1.01 )       (1.11 )       (1.22 )       (1.97 )       (1.19 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 34.53     $ 35.49     $ 30.28     $ 31.54     $ 36.86     $ 36.47
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      (1.60 )%       20.83 %       (0.42 )%       (11.36 )%       6.33 %(b)       19.94 %(e)

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 227,932     $ 317,665     $ 186,220     $ 247,626     $ 261,730     $ 109,419

Ratios to average net assets:

                       

Total expenses

      0.29 %(f)       0.29 %       0.29 %       0.29 %       0.29 %       0.29 %

Net investment income (loss)

      2.20 %(f)       2.92 %       3.57 %       3.50 %       5.28 %(b)       3.47 %

Portfolio turnover rate (g)

      1 %(h)       8 %       8 %       9 %       9 %       12 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Net investment income per share and ratio of net investment income to average net assets reflect receipt of special dividends from portfolio holdings. The resulting increase to net investment income amounted to $0.76 per share and 1.96% of average net assets. If the special dividends were not received during the year ended September 30, 2014, the total return would have been 4.56%.
(c) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) If the Adviser had not made a contribution during the period ended September 30, 2013, the total return would have been 19.93%.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS

March 31, 2018 (Unaudited)

 

 

 

1. Organization

SPDR Index Shares Funds (the “Trust”), a Massachusetts business trust, registered under the Investment Company Act of 1940, as amended (“1940 Act”), is an open-end management investment company.

As of March 31, 2018, the Trust consists of thirty (30) series, each of which represents a separate series of beneficial interest in the Trust. The Declaration of Trust permits the Board of Trustees of the Trust (the “Board”) to authorize the issuance of an unlimited number of shares of beneficial interest at $0.01 par value. The financial statements herein relate to the following series (each a “Fund”, and collectively, the “Funds”):

SPDR EURO STOXX 50 ETF

SPDR MSCI ACWI ex-US ETF

SPDR S&P Emerging Markets Dividend ETF

SPDR S&P Emerging Markets Small Cap ETF

SPDR S&P International Dividend ETF

SPDR STOXX Europe 50 ETF

Each Fund is classified as a non-diversified investment company under the 1940 Act.

Under the Trust’s organizational documents, its officers and trustees are indemnified against certain liabilities arising out of the performance of their duties to the Trust. Additionally, in the normal course of business, the Trust enters into contracts with service providers that contain general indemnification clauses. The Trust’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Trust that have not yet occurred.

 

2. Summary of Significant Accounting Policies

The following is a summary of significant accounting policies followed by the Trust in the preparation of its financial statements:

The preparation of financial statements in accordance with U.S. generally accepted accounting principles (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates. Each Fund is an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Valuation

Each Fund’s investments are valued at fair value each day that the New York Stock Exchange (“NYSE”) is open and, for financial reporting purposes, as of the report date should the reporting period end on a day that the NYSE is not open. Fair value is generally defined as the price a fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. By its nature, a fair value price is a good faith estimate of the valuation in a current sale and may not reflect an actual market price. The investments of each Fund are valued pursuant to the policy and procedures developed by the Oversight Committee (the “Committee”) and approved by the Board. The Committee provides oversight of the valuation of investments for the Funds. The Board has responsibility for determining the fair value of investments.

Valuation techniques used to value each Fund’s investments by major category are as follows:

 

  Equity investments traded on a recognized securities exchange for which market quotations are readily available are valued at the last sale price or official closing price, as applicable, on the primary market or exchange on which they trade. Equity investments traded on a recognized exchange for which there were no sales on that day are valued at the last published sale price or at fair value.

 

  Investments in registered investment companies (including money market funds) or other unitized pooled investment vehicles that are not traded on an exchange are valued at that day’s published net asset value (“NAV”) per share or unit.

In the event prices or quotations are not readily available or that the application of these valuation methods results in a price for an investment that is deemed to be not representative of the fair value of such investment, fair value will be determined in good faith by the Committee, in accordance with the valuation policy and procedures approved by the Board.

Fair value pricing could result in a difference between the prices used to calculate a Fund’s NAV and the prices used by the Funds’ underlying benchmarks. Various inputs are used in determining the value of the Funds’ investments.

The Funds value their assets and liabilities at fair value using a fair value hierarchy consisting of three broad levels that prioritize the inputs to valuation techniques giving the highest priority to readily available unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements) when market prices are not readily available or reliable. The categorization of a value determined for an investment within

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

the hierarchy is based upon the pricing transparency of the investment and is not necessarily an indication of the risk associated with investing in it.

The three levels of the fair value hierarchy are as follows:

 

  Level 1 – Unadjusted quoted prices in active markets for an identical asset or liability;

 

  Level 2 – Inputs other than quoted prices included within Level 1 that are observable for the asset or liability either directly or indirectly, including quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not considered to be active, inputs other than quoted prices that are observable for the asset or liability (such as exchange rates, financing terms, interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs; and

 

  Level 3 – Unobservable inputs for the asset or liability, including the Committee’s assumptions used in determining the fair value of investments.

The value of each Fund’s investments according to the fair value hierarchy as of March 31, 2018, is disclosed in each Fund’s respective Schedule of Investments.

Changes in valuation techniques may result in transfers in or out of an assigned level within the fair value hierarchy. Transfers between different levels of the fair value hierarchy are recognized at the end of the reporting period. The SPDR S&P Emerging Markets Dividend ETF and SPDR S&P International Dividend ETF had transfers of securities from Level 1 to Level 2 during the period ended March 31, 2018 in the amounts of $12,032,994 and $15,350,869, respectively. At March 31, 2018, these investments were valued using alternative valuation procedures under the valuation policy and procedures adopted by the Board. At September 30, 2017, these investments were valued at exchange closing prices in accordance with the Fund’s valuation policy.

Investment Transactions and Income Recognition

Investment transactions are accounted for on trade date for financial reporting purposes. Realized gains and losses from the sale or disposition of investments and foreign exchange transactions, if any, are determined using the identified cost method.

Dividend income and capital gain distributions, if any, are recognized on the ex-dividend date, net of any foreign taxes withheld at source, if any. Non-cash dividends received in the form of stock, if any, are recorded as dividend income at fair value. Distributions received by the Funds may include a return of capital that is estimated by management. Such amounts are recorded as a reduction of the cost of investments or reclassified to capital gains.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Certain Funds invest in real estate investment trusts (“REITs”). REITs determine the tax character of their distributions annually and may characterize a portion of their distributions as a return of capital or capital gain. The Funds’ policy is to record all REIT distributions initially as dividend income and re-designate the prior calendar year’s to return of capital or capital gain distributions at year end based on information provided by the REIT and/or SSGA Funds Management, Inc.’s (the “Adviser” or “SSGA FM”) estimates of such re-designations for which actual information has not yet been reported.

Expenses

Certain expenses, which are directly identifiable to a specific Fund, are applied to that Fund within the Trust. Other expenses which cannot be attributed to a specific Fund are allocated in such a manner as deemed equitable, taking into consideration the nature and type of expense and the relative net assets of the Funds within the Trust.

Foreign Currency Translation

The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies as well as investment securities and other assets and liabilities denominated in a foreign currency are translated to U.S. dollars using exchange rates at period end. Purchases and sales of securities, income receipts and expense payments denominated in foreign currencies are translated into U.S. dollars at the prevailing exchange rate on the respective dates of the transactions.

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Foreign Taxes

The Funds may be subject to foreign taxes (a portion of which may be reclaimable) on income, stock dividends, realized and unrealized capital gains on investments or certain foreign currency transactions. Foreign taxes are recorded in accordance with SSGA FM’s understanding of the applicable foreign tax regulations and rates that exist in the foreign jurisdictions in which the Funds invest. These foreign taxes, if any, are paid by the Funds and are reflected in the Statements of Operations, if applicable. Foreign taxes payable or deferred as of March 31, 2018, if any, are disclosed in the Funds’ Statements of Assets and Liabilities.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Equalization

Certain Funds in the Trust follow the accounting practice known as “Equalization” by which a portion of the proceeds from sales and costs of reacquiring Fund shares, equivalent on a per share basis to the amount of distributable net investment income on the date of the transaction, is credited or charged to undistributed net investment income. As a result, undistributed net investment income per share is unaffected by sales or reacquisition of Fund shares. Amounts related to Equalization can be found on the Statements of Changes in Net Assets.

The following Funds utilized equalization during the period ended March 31, 2018:

SPDR EURO STOXX 50 ETF

SPDR S&P Emerging Markets Dividend ETF

SPDR S&P International Dividend ETF

SPDR STOXX Europe 50 ETF

Distributions

The SPDR EURO STOXX 50 ETF, SPDR S&P Emerging Markets Dividend ETF, SPDR S&P International Dividend ETF, and the SPDR STOXX Europe 50 ETF declare and distribute from net investment income, if any, to their shareholders quarterly. The SPDR MSCI ACWI Ex-US ETF and the SPDR S&P Emerging Markets Small Cap ETF declare and distribute from net investment income, if any, to their shareholders semi-annually.

Net realized capital gains, if any, are distributed annually. Dividends may be declared and paid more frequently or at any other times to improve index tracking or to comply with the distribution requirements of the Internal Revenue Code. The amount and character of income and capital gains to be distributed are determined in accordance with applicable tax regulations which may differ from net investment income and realized gains recognized for U.S. GAAP purposes.

 

3. Fees and Transactions with Affiliates

Advisory Fee

The Trust, on behalf of each Fund, has entered into an Investment Advisory Agreement (the “Agreement” ) with SSGA FM. For its advisory services to the Funds, facilities furnished, and expenses borne by the Adviser, each Fund pays the Adviser a fee accrued

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

daily and paid quarterly, based on a percentage of each Fund’s average daily net assets as shown in the following table:

 

    Annual Rate

SPDR EURO STOXX 50 ETF

      0.29 %

SPDR MSCI ACWI ex-US ETF

      0.34

SPDR S&P Emerging Markets Dividend ETF

      0.49

SPDR S&P Emerging Markets Small Cap ETF

      0.65

SPDR S&P International Dividend ETF

      0.45

SPDR STOXX Europe 50 ETF

      0.29

The Adviser pays all operating expenses of each Fund other than management fee, distribution fee pursuant to each Fund’s Distribution and Service Plan, if any, brokerage expenses, taxes, interest, the fees and expenses of the Independent Trustees (including any Trustees’ counsel fees), litigation expenses, acquired fund fees and expenses and other extraordinary expenses.

The Adviser has contractually agreed to waive its advisory fee and reimburse certain expenses, until January 31, 2019, so that the net annual Fund operating expenses of the SPDR MSCI ACWI ex-US ETF will be limited to 0.30% of the Fund’s average daily net assets before application of any fees and expenses not paid by the Adviser under the Investment Advisory Agreement. Such fees and expenses paid by the Adviser are limited to certain direct operating expenses of the Fund and, therefore, do not include the Fund’s acquired fund fees and expenses, if any. The contractual fee waiver does not provide for the recoupment by the Adviser of any fees the Adviser previously waived. The Adviser may continue the waiver from year to year, but there is no guarantee that the Adviser will do so and after January 31, 2019, the waiver may be cancelled or modified at any time. The waiver and/or reimbursement may not be terminated prior to January 31, 2019 except with the approval of the Board. For the period ended March 31, 2018, SPDR MSCI ACWI ex-US ETF waived $324,922.

Administrator, Custodian, Sub-Administrator and Transfer Agent Fees

SSGA FM serves as administrator and State Street Bank and Trust Company (“State Street”), an affiliate of the Adviser, serves as custodian, sub-administrator and transfer agent. State Street receives fees for its services as custodian, sub-administrator and transfer agent from the Adviser.

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Distributor

State Street Global Advisors Funds Distributors, LLC (“SSGA FD” or the “Distributor”), an affiliate of the Adviser, serves as the Distributor of the Trust.

Other Transactions with Affiliates - Securities Lending

State Street, an affiliate of the Funds, acts as the securities lending agent for the Funds, pursuant to an amended and restated securities lending authorization agreement dated January 6, 2017.

Proceeds collected by State Street on investment of cash collateral or any fee income are allocated as follows (after deduction of such other amounts payable to State Street under the terms of the securities lending agreement): 85% payable to the Fund, and 15% payable to State Street.

In addition, cash collateral from lending activities is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, an affiliated money market fund, for which SSGA FM serves as investment adviser. See Note 8 for additional information regarding securities lending.

Other Transactions with Affiliates

The Funds may invest in affiliated entities, including securities issued by State Street Corporation, affiliated funds, or entities deemed to be affiliates as a result of the Funds owning more than five percent of the entity’s voting securities or outstanding shares. Amounts relating to these transactions during the period ended March 31, 2018, are disclosed in the Schedules of Investments.

 

4. Trustees’ Fees

The fees and expenses of the Trust’s trustees, who are not “interested persons” of the Trust, as defined in the 1940 Act (“Independent Trustees”), are paid directly by the Funds. The Independent Trustees are reimbursed for travel and other out-of-pocket expenses in connection with meeting attendance and industry seminars.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

5. Investment Transactions

Purchases and sales of investments (excluding in-kind transactions, short term investments and derivative contracts) for the period ended March 31, 2018, were as follows:

 

    Purchases     Sales  

SPDR EURO STOXX 50 ETF

  $ 40,910,151     $ 42,943,899  

SPDR MSCI ACWI ex-US ETF

    7,499,500       12,738,715  

SPDR S&P Emerging Markets Dividend ETF

    54,805,503       56,455,634  

SPDR S&P Emerging Markets Small Cap ETF

    38,281,438       12,082,726  

SPDR S&P International Dividend ETF

    91,751,697       96,715,359  

SPDR STOXX Europe 50 ETF

    3,090,743       4,309,645  

For the period ended March 31, 2018, the following Funds had in-kind contributions, redemptions and net realized gains/losses in the amounts as follows:

 

    In-kind
Contributions
  In-kind
Redemptions
  In-kind Net
Realized
Gains/(Losses)

SPDR EURO STOXX 50 ETF

    $ 320,239,585     $ 390,199,496     $ 75,094,718

SPDR MSCI ACWI ex-US ETF

      113,624,393       66,779,349       24,635,409

SPDR S&P Emerging Markets Dividend ETF

      14,211,018       15,799,959       3,014,659

SPDR S&P Emerging Markets Small Cap ETF

      23,637,671            

SPDR S&P International Dividend ETF

      33,392,784       43,562,199       3,931,487

SPDR STOXX Europe 50 ETF

            82,987,888       10,005,763

 

6. Shareholder Transactions

Each Fund issues and redeems its shares, at NAV, by each Fund only in aggregations of a specified number of shares or multiples thereof (“Creation Units”). Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in capital shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets.

The consideration for the purchase of Creation Units of a Fund may consist of the in-kind deposit of a designated portfolio of securities and a specified amount of cash. Investors purchasing and redeeming Creation Units may pay a purchase transaction fee and a redemption transaction fee directly to the Trust and/or custodian, to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units, including Creation Units for cash. An additional variable fee may be charged for

 

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NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

certain transactions. Such variable charges, if any, are included in “Other Capital” on the Statements of Changes on Net Assets.

 

7. Income Tax Information

The Funds have qualified and intend to continue to qualify as regulated investment companies under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund will not be subject to federal income taxes to the extent it distributes its taxable income, including any net realized capital gains, for each fiscal year. Therefore, no provision for federal income tax is required.

The Funds file federal and various state and local tax returns as required. No income tax returns are currently under examination. Generally, the federal returns are subject to examination by the Internal Revenue Service for a period of three years from date of filing, while the state returns may remain open for an additional year depending upon jurisdiction. As of September 30, 2017, SSGA FM has analyzed each Fund’s tax positions taken on tax returns for all open years and does not believe there are any uncertain tax positions that would require recognition of a tax liability.

Distributions to shareholders are recorded on ex-dividend date. Income dividends and gain distributions are determined in accordance with income tax rules and regulations, which may differ from generally accepted accounting principles.

As of March 31, 2018, gross unrealized appreciation and gross unrealized depreciation of investments based on cost for federal income tax purposes were as follows:

 

    Tax
Cost
  Gross
Unrealized
Appreciation
  Gross
Unrealized
Depreciation
  Net Unrealized
Appreciation
(Depreciation)

SPDR EURO STOXX 50 ETF

    $ 4,334,026,565     $ 354,858,736     $ 267,234,864     $ 87,623,872

SPDR MSCI ACWI ex-US ETF

      1,456,112,439       227,983,943       116,882,425       111,101,518

SPDR S&P Emerging Markets Dividend ETF

      460,743,413       76,151,111       12,464,863       63,686,248

SPDR S&P Emerging Markets Small Cap ETF

      604,844,591       89,963,009       115,788,182       (25,825,173 )

SPDR S&P International Dividend ETF

      1,235,535,869       82,313,364       57,088,527       25,224,837

SPDR STOXX Europe 50 ETF

      241,015,440       9,668,690       24,103,139       (14,434,449 )

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

8. Securities Lending

Each Fund may lend securities to qualified broker-dealers or institutional investors. The loans are secured at all times by cash, cash equivalents or U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. The value of the collateral with respect to a loaned security may be temporarily more or less than the value of a security due to market fluctuations of securities values. With respect to each loan, if on any U.S. business day the aggregate market value of securities collateral plus cash collateral is less than the aggregate market value of the securities which are subject to the loan, the borrower will be notified to provide additional collateral on the next business day.

The Funds will regain record ownership of loaned securities to exercise certain beneficial rights; however, the Funds may bear the risk of delay in recovery of, or even loss of rights in the securities loaned should the borrower fail financially. In addition, a Fund will bear the risk of loss of any cash collateral that it may invest. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash, cash equivalents or U.S. government securities held as collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as the lending agent. Additionally, a Fund will receive a fee from the borrower for non-cash collateral equal to a percentage of the market value of the loaned securities.

The market value of securities on loan as of March 31, 2018, and the value of the invested cash collateral are disclosed in the Funds’ Statements of Assets and Liabilities. Non-cash collateral is not disclosed in the Funds’ Statements of Assets and Liabilities as it is held by the lending agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Securities lending income, as disclosed in the Funds’ Statements of Operations, represents the income earned from the non-cash collateral and the investment of cash collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as lending agent.

The following is a summary of each Fund’s securities lending agreements and related cash and non-cash collateral received as of March 31, 2018:

 

Fund

  Market Value of
Securities on Loan
  Cash
Collateral
Received
  Non Cash
Collateral
Received*
  Total
Collateral
Received

SPDR EURO STOXX 50 ETF

    $ 68,087,528     $ 69,782,046     $ 213,723     $ 69,995,769

SPDR MSCI ACWI ex-US ETF

      67,362,665       32,639,102       37,399,888       70,038,990

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Fund

  Market Value of
Securities on Loan
  Cash
Collateral
Received
  Non Cash
Collateral
Received*
  Total
Collateral
Received

SPDR S&P Emerging Markets Dividend ETF

    $ 37,897,145     $ 38,837,851     $ 843,463     $ 39,681,314

SPDR S&P Emerging Markets Small Cap ETF

      35,948,563       19,823,794       19,566,899       39,390,693

SPDR S&P International Dividend ETF

      52,568,218       33,995,826       21,099,655       55,095,481

SPDR STOXX Europe 50 ETF

      91,479       101,922             101,922

 

* The non-cash collateral includes U.S. Treasuries and U.S. Government Agency securities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged or securities loaned, and the remaining contractual maturity of those transactions as of March 31, 2018:

 

        Remaining Contractual Maturity of the Agreements
As of March 31, 2018

Fund

 

Securities
Lending
Transactions

  Overnight
and
Continuous
  <30 Days   Between
30 & 90
Days
  >90 Days   Total
Borrowings
  Gross Amount
of Recognized
Liabilities for
Securities Lending
Transactions

SPDR EURO STOXX 50 ETF

 

Common Stocks

    $ 69,782,046     $     $     $     $ 69,782,046     $ 69,782,046

SPDR MSCI ACWI ex-US ETF

 

Common Stocks

      32,639,102                         32,639,102       32,639,102

SPDR S&P Emerging Markets Dividend ETF

 

Common Stocks

      38,837,851                         38,837,851       38,837,851

SPDR S&P Emerging Markets Small Cap ETF

 

Common Stocks

      19,823,794                         19,823,794       19,823,794

SPDR S&P International Dividend ETF

 

Common Stocks

      33,995,826                         33,995,826       33,995,826

SPDR STOXX Europe 50 ETF

 

Common Stocks

      101,922                         101,922       101,922

 

9. Line of Credit

Certain Funds and other affiliated funds (each a “Participant” and, collectively, the “Participants”) participate in a $500 million revolving credit facility provided by a syndication of banks under which the Participants may borrow to fund shareholder redemptions. This agreement expires in October 2018 unless extended or renewed.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Participants are charged an annual commitment fee which is calculated based on the unused portion of the shared credit line. Commitment fees are allocated among each of the Participants based on relative net assets. Commitment fees are ordinary fund operating expenses paid by the Adviser. A Participant incurs and pays the interest expense related to its borrowing. Interest is calculated at a rate per annum equal to the sum of 1% plus the greater of the New York Fed Bank Rate and 1-month LIBOR rate.

Prior to October 12, 2017, the Funds and other affiliated funds participated in a $360 million revolving credit facility.

The following Funds participate in the credit facility as of March 31, 2018:

SPDR MSCI ACWI ex-US ETF

SPDR S&P Emerging Markets Dividend ETF

SPDR S&P Emerging Markets Small Cap ETF

SPDR S&P International Dividend ETF

The Funds had no outstanding loans as of March 31, 2018.

 

10. Risks

Concentration Risk

As a result of the Funds’ ability to invest a large percentage of their assets in obligations of issuers within the same country, state, region, currency or economic sector, an adverse economic, business or political development may affect the value of the Funds’ investments more than if the Funds were more broadly diversified.

Foreign and Emerging Markets Risk

Investing in foreign markets involves risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of government regulation, economic, political and social instability in the countries in which the Funds invest. Foreign markets may be less liquid than investments in the U.S. and may be subject to the risks of currency fluctuations. To the extent that a Fund invests in securities of issuers located in emerging markets, these risks may be even more pronounced.

Market and Credit Risk

In the normal course of business, the Funds trade financial instruments and enter into financial transactions where risk of potential loss exists due to changes in the general economic conditions and fluctuations of the market (market risk). Additionally, a Fund may also be exposed to credit risk in the event that an issuer or guarantor fails to

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

perform or that an institution or entity with which the Fund has unsettled or open transactions defaults.

 

11. Subsequent Events

Management has evaluated the impact of all subsequent events on the Funds through the date on which the financial statements were available to be issued and has determined that there were no subsequent events requiring adjustment or disclosure in the financial statements.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION

March 31, 2018 (Unaudited)

 

 

 

Expense Example

As a shareholder of a Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads), if applicable, on purchase payments, reinvested dividends, or other distributions and (2) ongoing costs, including advisory fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds. It is based on an investment of $1,000 made at the beginning of the period shown and held for the entire period from October 1, 2017 to March 31, 2018.

The table below illustrates your Fund’s cost in two ways:

Based on actual fund return ——This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from each Fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the Fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for the Fund under the heading “Expenses Paid During Period”.

Based on hypothetical 5% return ——This section is intended to help you compare your Fund’s costs with those of other mutual funds. It assumes that the Fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case, because the return used is not the Fund’s actual return, the results do not apply to your investment. The example is useful in making comparisons because the U.S. Securities and Exchange Commission (the “SEC”) requires all mutual funds to calculate expenses based on a 5% return. You can assess your Fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as sales load charges (loads). Therefore, the hypothetical 5% return section of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transaction costs were included, your costs would have been higher.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

 

    SPDR EURO
STOXX 50 ETF
  SPDR MSCI
ACWI ex-US
ETF
  SPDR S&P
Emerging
Markets
Dividend ETF

Annualized Expense Ratio

      0.29 %       0.30 %       0.49 %

Actual:

           

Ending Account Value

    $ 977.50     $ 1,033.30     $ 1,164.90

Expenses Paid During Period(a)

      1.43       1.52       2.64

Hypothetical (assuming a 5% return before expenses):

           

Ending Account Value

      1,023.50       1,023.40       1,022.50

Expenses Paid During Period(a)

      1.46       1.51       2.47
    SPDR S&P
Emerging
Markets Small
Cap ETF
  SPDR S&P
International
Dividend ETF
  SPDR STOXX
Europe 50 ETF

Annualized Expense Ratio

      0.65 %       0.45 %       0.29 %

Actual:

           

Ending Account Value

    $ 1,069.80     $ 1,007.10     $ 984.00

Expenses Paid During Period(a)

      3.35       2.25       1.43

Hypothetical (assuming a 5% return before expenses):

           

Ending Account Value

      1,021.70       1,022.70       1,023.50

Expenses Paid During Period(a)

      3.28       2.27       1.46

 

(a) Expenses are equal to the Fund’s annualized net expense ratio multiplied by the average account value of the period, multiplied by 182, then divided by 365.

Proxy Voting Policies and Procedures and Records

A description of the Trust’s proxy voting policies and procedures that are used by the Funds’ investment adviser to vote proxies relating to the Funds’ portfolio of securities are available (i) without charge, upon request by calling 1-866-787-2257 (toll free) or (ii) on the SEC’s website, at www.sec.gov.

Information regarding how the investment adviser voted for the prior 12-months period ended June 30, is available by August 31 of each year by calling the same number and on the SEC’s website, at www.sec.gov, and on the Funds’ website at www.spdrs.com.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

Quarterly Portfolio Schedule

The Funds file a complete schedule of investments with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Funds’ Forms N-Q are available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington DC. Information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. The information on the Form N-Q is available upon request, without charge, by calling 1-866-787-2257 (toll free) and on the Funds’ website at www.spdrs.com.

Full Portfolio Schedule

The complete schedule of portfolio holdings for the following Funds is available on the Funds’ website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

SPDR MSCI ACWI ex-US ETF

SPDR S&P Emerging Markets Small Cap ETF

 

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SPDR® Index Shares Funds

SPDR Index Shares Funds

 

Trustees

Bonny E. Boatman

Dwight D. Churchill

David M. Kelly

Frank Nesvet, Chairman

James E. Ross

Carl G. Verboncoeur

Investment Manager and

Administrator

SSGA Funds Management, Inc.

One Iron Street

Boston, MA 02210

Distributor

State Street Global Advisors Funds

Distributors, LLC

One Iron Street

Boston, MA 02210

Custodian, Sub-Administrator

and Transfer Agent

State Street Bank and Trust Company

One Lincoln Street

Boston, MA 02111

Legal Counsel

Morgan, Lewis & Bockius LLP

1111 Pennsylvania Avenue, NW

Washington, DC 20004

Independent Registered Public

Accounting Firm

PricewaterhouseCoopers LLP

101 Seaport Boulevard

Suite 500

Boston, MA 02210

 

 

Fund Shares are distributed by State Street Global Advisors Funds Distributors, LLC, a wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC; member FINRA, SIPC.

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

SPDR® Index Shares Funds

For more complete information, please call 1.866.787.2257 or

visit spdrs.com today.

ssga.com | spdrs.com

 

The Funds are not sponsored, endorsed, sold, or promoted by Stoxx, S&P Dow Jones Indices LLC, MSCI Inc., and Russell Investment Group. Neither do these companies make any representation regarding the advisability of investing in the Funds. The Funds are distributed by State Street Global Advisors Funds Distributors, LLC, an indirect wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC is a member of FINRA, SIPC. References to State Street may include State Street Corporation and its affiliates. Shares of the Funds are not insured by the FDIC or by another governmental agency; they are not obligations of the FDIC nor are they deposits or obligations of or guaranteed by State Street Bank and Trust Company. Fund shares are subject to investment risks, including possible loss of the principal invested. The Funds pay State Street for its services as investment adviser, administrator and securities lending agent.

Standard & Poor’s®, S&P® and SPDR® are registered trademarks of Standard & Poor’s Financial Services LLC (S&P); Dow Jones is a registered trademark of Dow Jones Trademark Holdings LLC (Dow Jones); and these trademarks have been licensed for use by S&P

Dow Jones Indices LLC (SPDJI) and sublicensed for certain purposes by State Street Corporation. State Street Corporation’s financial products are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates and third party licensors and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability in relation thereto, including for any errors, omissions, or interruptions of any index.

Distributor: State Street Global Advisors Funds Distributors, LLC, member FINRA, SIPC, an indirect wholly-owned subsidiary of State Street Corporation. References to State Street may include State Street Corporation and its affiliates. Certain State Street affiliates provide services and receive fees from the SPDR ETFs.

Before investing, consider the Funds’ investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-866-787-2257 or visit www.spdrs.com. Read it carefully.

Not FDIC Insured • No Bank Guarantee • May Lose Value

 

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

State Street Global Advisors   

©  2018 State Street Corporation - All Rights Reserved

0515 Exp. Date: 11/30/2018 SPDRISINTLSAR


Table of Contents

Semi-Annual Report

March 31, 2018

 

SPDR® Index Shares Funds

SPDR Portfolio Emerging Markets ETF

(formerly, SPDR S&P Emerging Markets ETF)

SPDR Portfolio Developed World ex-US ETF

(formerly, SPDR Portfolio World ex-US ETF)

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

LOGO


Table of Contents


Table of Contents

TABLE OF CONTENTS (UNAUDITED)

 

Portfolio Statistics (Unaudited)

 

SPDR Portfolio Emerging Markets ETF (SPEM) (formerly, SPDR S&P Emerging Markets ETF)

    1  

SPDR Portfolio Developed World ex-US ETF (SPDW) (formerly, SPDR Portfolio World ex-US ETF)

    2  

Schedules of Investments (Unaudited)

 

SPDR Portfolio Emerging Markets ETF (SPEM) (formerly, SPDR S&P Emerging Markets ETF) (Summary)

    3  

SPDR Portfolio Developed World ex-US ETF (SPDW) (formerly, SPDR Portfolio World ex-US ETF) (Summary)

    10  

Financial Statements (Unaudited)

    17  

Financial Highlights (Unaudited)

    21  

Notes to Financial Statements (Unaudited)

    23  

Other Information (Unaudited)

    36  

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


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[This Page Intentionally Left Blank]


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SPDR PORTFOLIO EMERGING MARKETS ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Tencent Holdings, Ltd.

      5.5 %  
 

Alibaba Group Holding, Ltd. ADR

      3.7  
 

Taiwan Semiconductor Manufacturing Co., Ltd.

      2.4  
 

Naspers, Ltd.

      1.9  
 

China Construction Bank Corp.

      1.8  
 

Industrial & Commercial Bank of China, Ltd.

      1.2  
 

Baidu, Inc. ADR

      1.2  
 

Itau Unibanco Holding SA Preference Shares ADR

      1.2  
 

Housing Development Finance Corp., Ltd.

      1.0  
   

Banco Bradesco SA Preference Shares ADR

      1.0    
   

TOTAL

      20.9 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Financials

      25.3 %  
 

Information Technology

      22.2  
 

Consumer Discretionary

      9.7  
 

Energy

      8.4  
 

Materials

      7.5  
 

Consumer Staples

      6.9  
 

Industrials

      6.1  
 

Telecommunication Services

      4.7  
 

Real Estate

      4.0  
 

Utilities

      2.5  
 

Health Care

      2.0  
 

Short-Term Investments

      2.5  
   

Liabilities in Excess of Other Assets

      (1.8 )    
   

TOTAL

      100.0 %    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

See accompanying notes to financial statements.

 

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Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets       
 

Nestle SA

      1.2 %  
 

Samsung Electronics Co., Ltd. GDR

      1.1  
 

Novartis AG

      1.0  
 

HSBC Holdings PLC

      1.0  
 

Toyota Motor Corp.

      0.9  
 

Roche Holding AG

      0.8  
 

TOTAL SA

      0.7  
 

Royal Dutch Shell PLC Class A

      0.7  
 

BP PLC

      0.7  
   

British American Tobacco PLC

      0.6    
   

TOTAL

      8.7 %    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Financials

      20.6 %  
 

Industrials

      14.6  
 

Consumer Discretionary

      12.2  
 

Consumer Staples

      10.1  
 

Health Care

      9.1  
 

Information Technology

      8.8  
 

Materials

      8.1  
 

Energy

      5.7  
 

Real Estate

      3.9  
 

Telecommunication Services

      3.3  
 

Utilities

      3.0  
 

Short-Term Investments

      2.6  
   

Liabilities in Excess of Other Assets

      (2.0 )    
   

TOTAL

      100.0 %    

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

See accompanying notes to financial statements.

 

2


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.3%

 

 

BRAZIL – 8.5%

   

Ambev SA ADR

    1,647,853     $ 11,979,891  

Banco Bradesco SA Preference Shares ADR

    1,405,188       16,693,633  

Itau Unibanco Holding SA Preference Shares ADR

    1,268,749       19,792,484  

Itausa - Investimentos Itau SA Preference Shares

    1,707,925       7,086,378  

Petroleo Brasileiro SA Preference Shares ADR (a)

    798,594       10,373,736  

Vale SA ADR (b)

    693,490       8,821,193  

Other Securities

    10,025,758       71,088,568  
   

 

 

 
      145,835,883  
   

 

 

 

CHILE – 1.8%

   

SACI Falabella

    683,937       6,598,743  

Other Securities

    7,250,501       23,638,149  
   

 

 

 
      30,236,892  
   

 

 

 

CHINA – 31.5%

   

AAC Technologies Holdings, Inc.

    406,492       7,333,979  

Alibaba Group Holding, Ltd. ADR (a)(b)

    349,873       64,215,690  

Baidu, Inc. ADR (a)

    91,225       20,360,508  

Bank of China, Ltd. Class H

    23,004,900       12,369,644  

China Construction Bank Corp. Class H

    30,770,280       31,600,277  

China Huishan Dairy Holdings Co., Ltd. (a)(b)(c)

    310,600        

China Life Insurance Co., Ltd. Class H

    2,369,260       6,520,650  

China Merchants Bank Co., Ltd. Class H

    1,559,923       6,390,113  

China Mobile, Ltd.

    1,773,366       16,257,493  

China Overseas Land & Investment, Ltd

    1,779,200       6,177,542  

China Petroleum & Chemical Corp. Class H

    8,859,200       7,777,466  

CNOOC, Ltd.

    5,807,603       8,554,195  

Coolpad Group, Ltd. (a)(c)

    253,600       11,633  

Industrial & Commercial Bank of China, Ltd. Class H

    24,794,590       21,261,622  

JD.com, Inc. ADR (a)

    271,935       11,010,648  

National Agricultural Holdings, Ltd. (a)(b)(c)

    72,000       5,459  

NetEase, Inc. ADR

    31,298       8,775,646  

Ping An Insurance Group Co. of China, Ltd. Class H

    1,551,000       15,770,269  

Tencent Holdings, Ltd.

    1,806,167       94,263,217  

Other Securities

    212,984,997       202,965,916  
   

 

 

 
      541,621,967  
   

 

 

 

COLOMBIA – 0.5%

   

Other Securities

    50,055,029       9,080,559  
   

 

 

 

CZECH REPUBLIC – 0.3%

   

Other Securities

    149,714       4,750,366  
   

 

 

 

 

See accompanying notes to financial statements.

 

3


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

EGYPT – 0.3%

   

Other Securities

    2,260,931     $ 5,755,218  
   

 

 

 

GREECE – 0.2%

   

Other Securities

    441,236       3,089,770  
   

 

 

 

HONG KONG – 1.2%

   

Asian Citrus Holdings, Ltd. (a)(c)

    51,000       1,949  

China Fiber Optic Network System Group, Ltd. (a)(c)

    88,800        

Hanergy Thin Film Power Group, Ltd. (a)(c)

    856,000        

Hua Han Health Industry Holdings, Ltd. (a)(b)(c)

    283,600       14,364  

Other Securities

    62,777,235       21,036,807  
   

 

 

 
      21,053,120  
   

 

 

 

HUNGARY – 0.6%

   

Other Securities

    495,927       10,923,729  
   

 

 

 

INDIA – 11.0%

   

CORE Education & Technologies, Ltd. (a)(c)

    9,253        

Era Infra Engineering, Ltd. (a)(c)

    2,941        

HDFC Bank, Ltd.

    220,439       6,374,719  

Hindustan Unilever, Ltd.

    403,334       8,245,498  

Housing Development Finance Corp., Ltd.

    613,615       17,175,504  

ICICI Bank, Ltd. ADR

    850,956       7,530,961  

Infosys, Ltd. ADR (b)

    837,144       14,943,020  

Maruti Suzuki India, Ltd.

    66,707       9,062,895  

Reliance Industries, Ltd. GDR (d)

    407,620       11,046,502  

Tata Consultancy Services, Ltd.

    202,250       8,835,105  

Other Securities

    27,162,233       105,525,287  
   

 

 

 
      188,739,491  
   

 

 

 

INDONESIA – 2.8%

   

Bank Central Asia Tbk PT

    6,324,787       10,704,016  

Bank Rakyat Indonesia Persero Tbk PT

    23,987,325       6,272,335  

Other Securities

    130,202,127       30,358,102  
   

 

 

 
      47,334,453  
   

 

 

 

MACAU – 0.0% (e)

   

Other Security

    35,000       2,141  
   

 

 

 

MALAYSIA – 2.6%

   

Other Securities

    54,221,893       45,459,809  
   

 

 

 

MEXICO – 3.5%

   

America Movil SAB de CV Series L

    10,502,722       9,925,327  

Fomento Economico Mexicano SAB de CV

    906,720       8,236,903  

Other Securities

    22,550,624       41,708,912  
   

 

 

 
      59,871,142  
   

 

 

 

 

See accompanying notes to financial statements.

 

4


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

MONACO – 0.0% (e)

   

Other Security

    7,530     $ 123,868  
   

 

 

 

NETHERLANDS – 0.0% (e)

   

Other Security

    170,558       450,273  
   

 

 

 

PERU – 0.9%

   

Credicorp, Ltd.

    30,548       6,935,618  

Other Securities

    2,334,539       8,368,586  
   

 

 

 
      15,304,204  
   

 

 

 

PHILIPPINES – 1.4%

   

Other Securities

    54,624,468       23,331,413  
   

 

 

 

POLAND – 1.1%

   

Other Securities

    1,870,810       18,273,169  
   

 

 

 

QATAR – 0.5%

   

Other Securities

    733,713       8,021,548  
   

 

 

 

RUSSIA – 4.3%

   

Gazprom PJSC ADR

    2,193,337       10,672,778  

LUKOIL PJSC ADR

    178,836       12,321,800  

Sberbank of Russia PJSC ADR (f)

    339,107       6,317,563  

Sberbank of Russia PJSC ADR (f)

    355,019       6,621,104  

Tatneft PJSC ADR (b)

    101,618       6,414,128  

Other Securities

    3,579,207       32,326,374  
   

 

 

 
      74,673,747  
   

 

 

 

SOUTH AFRICA – 7.4%

   

FirstRand, Ltd. (b)

    1,226,187       6,923,254  

Naspers, Ltd. Class N

    134,550       32,838,660  

Standard Bank Group, Ltd.

    423,815       7,821,911  

Other Securities

    12,603,519       78,857,657  
   

 

 

 
      126,441,482  
   

 

 

 

TAIWAN – 13.8%

   

Formosa Plastics Corp.

    1,785,714       6,308,212  

Hon Hai Precision Industry Co., Ltd.

    4,781,495       14,759,219  

Long Chen Paper Co., Ltd.

    6,595,165       7,419,193  

Pihsiang Machinery Manufacturing Co., Ltd. (a)(c)

    51,000        

ProMOS Technologies, Inc. (a)(c)

    257        

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    173,372       7,586,759  

Taiwan Semiconductor Manufacturing Co., Ltd.

    4,822,500       40,357,033  

Transasia Airways Corp. (a)(c)

    361,784        

Wei Mon Industry Co., Ltd. (a)(c)

    240,450        

Other Securities

    135,490,125       160,878,842  
   

 

 

 
      237,309,258  
   

 

 

 

 

See accompanying notes to financial statements.

 

5


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

THAILAND – 3.3%

   

PTT PCL (g)

    391,936     $ 6,868,594  

Other Securities

    145,583,402       50,738,570  
   

 

 

 
      57,607,164  
   

 

 

 

TURKEY – 1.2%

   

Other Securities

    7,604,368       21,406,630  
   

 

 

 

UNITED ARAB EMIRATES – 0.6%

   

Other Securities

    15,247,303       10,584,570  
   

 

 

 

UNITED KINGDOM – 0.0% (e)

   

Other Security

    871       379  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,626,921,680)

      1,707,282,245  
   

 

 

 

PREFERRED STOCKS - 0.0% (e)

   

SOUTH AFRICA – 0.0% (e)

   

Other Security
(cost: $148,254)

    33,422       169,271  
   

 

 

 

WARRANTS - 0.0% (e)

   

INDONESIA – 0.0% (e)

   

Other Security

    1,696,566       77,635  
   

 

 

 

MALAYSIA – 0.0% (e)

   

Other Security

    179,301       15,529  
   

 

 

 

SOUTH AFRICA – 0.0% (e)

   

Other Security

    335       226  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      93,390  
   

 

 

 

RIGHTS - 0.0% (e)

   

BRAZIL – 0.0% (e)

   

Other Security
(cost $0)

    3,501       32  
   

 

 

 

SHORT-TERM INVESTMENTS - 2.5%

 

 

State Street Institutional U.S. Government Money Market Fund,
Class G Shares 1.62% (h)(i)

    4,427,757       4,427,757  

 

See accompanying notes to financial statements.

 

6


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (h)(j)

    37,930,341     $ 37,930,341  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $42,358,098)

      42,358,098  
   

 

 

 

TOTAL INVESTMENTS - 101.8%
(Cost $1,669,428,032)

      1,749,903,036  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (1.8)%

      (30,253,971
   

 

 

 

NET ASSETS - 100.0%

    $ 1,719,649,065  
   

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $33,405, representing less than 0.05% of the Fund’s net assets.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.9% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Amount is less than 0.05% of net assets.
(f) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(g) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $56,299,184 representing 3.3% of net assets.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.
ADR   American Depositary Receipt
GDR   Global Depositary Receipt

 

See accompanying notes to financial statements.

 

7


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

At March 31, 2018, open futures contracts purchased were as follows:

 

Description

  Number of
Contracts
  Expiration
Date
  Notional
Amount
  Value   Unrealized
Appreciation/
Depreciation

MSCI Taiwan Index Futures

  13   04/27/2018   $528,197   $530,010   $1,813

During the period ended March 31, 2018, average notional value related to futures contracts was $519,369 or less than 0.5% of net assets.

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $     145,835,883     $     $     $ 145,835,883

Chile

      30,236,892                   30,236,892

China

      541,604,875             17,092           541,621,967

Colombia

      9,080,559                   9,080,559

Czech Republic

      4,750,366                   4,750,366

Egypt

      5,755,218                   5,755,218

Greece

      3,089,770                   3,089,770

Hong Kong

      21,032,596       4,211       16,313       21,053,120

Hungary

      10,923,729                   10,923,729

India

      188,012,885       726,606       0 (a)       188,739,491

Indonesia

      47,329,686       4,767             47,334,453

Macau

      2,141                   2,141

Malaysia

      45,459,666       143             45,459,809

Mexico

      59,871,142                   59,871,142

Monaco

      123,868                   123,868

Netherlands

      450,273                   450,273

Peru

      15,304,204                   15,304,204

Philippines

      23,331,413                   23,331,413

Poland

      18,273,169                   18,273,169

Qatar

      8,021,548                   8,021,548

Russia

      74,673,747                   74,673,747

South Africa

      126,441,482                   126,441,482

Taiwan

      237,309,258             0 (a)       237,309,258

Thailand

      2,250,368       55,356,796             57,607,164

Turkey

      21,406,630                   21,406,630

 

See accompanying notes to financial statements.

 

8


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

United Arab Emirates

    $ 10,377,909     $ 206,661     $     $ 10,584,570

United Kingdom

      379                   379

Preferred Stocks

               

South Africa

      169,271                   169,271

Warrants

               

Indonesia

      77,635                   77,635

Malaysia

      15,529                   15,529

South Africa

      226                   226

Rights

               

Brazil

      32                   32

Short-Term Investments

      42,358,098                   42,358,098
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 1,693,570,447     $ 56,299,184     $ 33,405     $ 1,749,903,036
   

 

 

     

 

 

     

 

 

     

 

 

 

OTHER FINANCIAL INSTRUMENTS:

               

Futures Contracts(b)

      1,813                   1,813
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS AND OTHER

               

FINANCIAL INSTRUMENTS

    $ 1,693,572,260     $ 56,299,184     $ 33,405     $ 1,749,904,849
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.
(b) Futures Contracts are valued at unrealized appreciation (depreciation).

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

          $     $ 90,676,387     $ 86,248,630     $     $       4,427,757     $ 4,427,757     $ 12,171

State Street Navigator Securities Lending Government Money Market Portfolio

      8,647,800       8,647,800       84,715,944       55,433,403                   37,930,341       37,930,341       133,723
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 8,647,800     $ 175,392,331     $ 141,682,033     $     $         $ 42,358,098     $ 145,894
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

9


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.4%

   

AUSTRALIA – 5.6%

   

Arrium, Ltd. (a)(b)(c)

    163,093     $  

BHP Billiton, Ltd.

    402,120       8,701,266  

Commonwealth Bank of Australia

    215,502       11,952,901  

CSL, Ltd.

    65,087       7,761,338  

Westpac Banking Corp.

    407,780       8,951,982  

Other Securities

    14,888,337       107,931,593  
   

 

 

 
      145,299,080  
   

 

 

 

AUSTRIA – 0.3%

   

Other Securities

    158,795       8,667,184  
   

 

 

 

BELGIUM – 1.2%

   

Anheuser-Busch InBev SA

    123,856       13,599,518  

Other Securities

    235,263       16,605,148  
   

 

 

 
      30,204,666  
   

 

 

 

CANADA – 7.7%

   

Bank of Nova Scotia

    152,180       9,367,465  

Royal Bank of Canada

    179,931       13,889,264  

Suncor Energy, Inc.

    244,513       8,437,761  

Toronto-Dominion Bank

    249,991       14,176,337  

Other Securities

    6,810,661       153,700,264  
   

 

 

 
      199,571,091  
   

 

 

 

CHILE – 0.0% (d)

   

Other Security

    43,660       564,078  
   

 

 

 

CHINA – 0.1%

   

Other Securities

    2,141,145       1,454,522  
   

 

 

 

DENMARK – 1.4%

   

Novo Nordisk A/S Class B

    249,053       12,224,796  

Other Securities

    406,555       24,562,222  
   

 

 

 
      36,787,018  
   

 

 

 

FINLAND – 0.9%

   

Other Securities

    1,345,995       22,415,427  
   

 

 

 

FRANCE – 8.1%

   

Airbus SE

    79,471       9,167,772  

BNP Paribas SA

    139,116       10,294,598  

LVMH Moet Hennessy Louis Vuitton SE (c)

    34,060       10,480,554  

Sanofi

    152,181       12,227,154  

TOTAL SA

    317,178       17,994,460  

 

See accompanying notes to financial statements.

 

10


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Other Securities

    3,211,059     $ 148,526,611  
   

 

 

 
      208,691,149  
   

 

 

 

GERMANY – 7.8%

   

Allianz SE

    57,181       12,897,436  

BASF SE

    114,818       11,645,504  

Bayer AG

    105,584       11,919,164  

Daimler AG

    124,233       10,537,789  

SAP SE

    124,386       12,998,386  

Siemens AG

    106,173       13,517,322  

Other Securities

    2,824,918       127,441,593  
   

 

 

 
      200,957,194  
   

 

 

 

HONG KONG – 2.9%

   

AIA Group, Ltd.

    1,576,600       13,338,715  

Other Securities

    17,313,487       61,385,977  
   

 

 

 
      74,724,692  
   

 

 

 

IRELAND – 0.5%

   

Irish Bank Resolution Corp., Ltd. (a)

    5,635        

Other Securities

    652,996       13,827,590  
   

 

 

 
      13,827,590  
   

 

 

 

ISRAEL – 0.5%

   

Other Securities

    1,415,957       13,553,579  
   

 

 

 

ITALY – 2.0%

   

Other Securities

    9,890,350       52,470,131  
   

 

 

 

JAPAN – 23.3%

   

FANUC Corp.

    29,855       7,458,837  

Honda Motor Co., Ltd.

    245,075       8,390,391  

Mitsubishi UFJ Financial Group, Inc.

    1,702,324       11,145,540  

SoftBank Group Corp.

    114,536       8,406,845  

Sony Corp.

    163,820       7,871,370  

Toyota Motor Corp.

    340,688       21,918,075  

Other Securities

    28,327,480       538,615,375  
   

 

 

 
      603,806,433  
   

 

 

 

JORDAN – 0.0% (d)

   

Other Security

    17,751       300,930  
   

 

 

 

LUXEMBOURG – 0.2%

   

Other Securities

    171,062       4,921,092  
   

 

 

 

MACAU – 0.0% (d)

   

Other Securities

    177,600       621,230  
   

 

 

 

 

See accompanying notes to financial statements.

 

11


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

MALTA – 0.0% (d)

   

Other Securities

    55,023     $ 746,969  
   

 

 

 

MEXICO – 0.0% (d)

   

Other Security

    25,223       448,831  
   

 

 

 

NETHERLANDS – 3.7%

   

ASML Holding NV

    65,592       12,919,036  

ING Groep NV

    524,648       8,839,768  

Royal Dutch Shell PLC Class A

    562,303       17,617,818  

Royal Dutch Shell PLC Class B

    465,278       14,861,796  

Other Securities

    1,813,203       41,780,588  
   

 

 

 
      96,019,006  
   

 

 

 

NEW ZEALAND – 0.3%

   

Other Securities

    2,211,451       7,039,646  
   

 

 

 

NORWAY – 0.7%

   

Other Securities

    1,328,733       18,432,640  
   

 

 

 

PORTUGAL – 0.2%

   

Other Securities

    2,002,584       4,857,592  
   

 

 

 

SINGAPORE – 1.2%

   

Other Securities

    14,230,306       30,824,309  
   

 

 

 

SOUTH AFRICA – 0.1%

   

Other Securities

    163,845       3,026,071  
   

 

 

 

SOUTH KOREA – 5.0%

   

Digitech Systems Co., Ltd. (a)

    19,094        

Samsung Electronics Co., Ltd. GDR

    24,680       28,283,280  

Other Securities

    2,547,456       101,699,998  
   

 

 

 
      129,983,278  
   

 

 

 

SPAIN – 2.7%

   

Banco Santander SA

    2,053,626       13,373,332  

Let’s GOWEX SA (a)(b)(c)

    4,019        

Other Securities

    5,206,453       55,334,269  
   

 

 

 
      68,707,601  
   

 

 

 

SWEDEN – 2.6%

   

Other Securities

    4,680,299       67,198,759  
   

 

 

 

SWITZERLAND – 6.9%

   

Nestle SA

    386,759       30,541,683  

Novartis AG

    328,125       26,473,410  

Roche Holding AG

    93,196       21,323,354  

UBS Group AG (b)

    456,139       8,000,057  

 

See accompanying notes to financial statements.

 

12


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Other Securities

    2,576,645     $ 91,532,021  
   

 

 

 
      177,870,525  
   

 

 

 

UNITED KINGDOM – 13.3%

   

Afren PLC (a)(c)

    55,933        

AstraZeneca PLC

    172,777       11,865,300  

BP PLC

    2,467,608       16,589,529  

British American Tobacco PLC

    283,584       16,433,599  

Diageo PLC

    345,741       11,698,332  

GlaxoSmithKline PLC

    662,371       12,952,686  

HSBC Holdings PLC

    2,609,645       24,359,030  

Lloyds Banking Group PLC

    8,848,625       8,026,150  

Prudential PLC

    322,109       8,036,232  

Rio Tinto PLC

    149,144       7,554,905  

Unilever NV

    214,288       12,088,680  

Unilever PLC

    185,129       10,272,392  

Vodafone Group PLC

    3,630,455       9,891,241  

Other Securities

    24,463,024       194,062,736  
   

 

 

 
      343,830,812  
   

 

 

 

UNITED STATES – 0.2%

   

Other Securities

    633,872       4,152,617  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $2,514,314,674)

      2,571,975,742  
   

 

 

 

WARRANTS – 0.0% (d)

   

FRANCE – 0.0% (d)

   

Other Securities
(cost $0)

    18,956       4,324  
   

 

 

 

RIGHTS – 0.0% (d)

   

ITALY – 0.0% (d)

   

Other Security

    48,911       52,009  
   

 

 

 

SOUTH KOREA – 0.0% (d)

   

Other Security

    16,450       32,023  
   

 

 

 

UNITED KINGDOM – 0.0% (d)

   

Other Security

    5,756       29,957  
   

 

 

 

TOTAL RIGHTS
(Cost $49,428)

      113,989  
   

 

 

 

SHORT-TERM INVESTMENTS - 2.6%

   

State Street Institutional U.S. Government Money Market Fund,
Class G Shares 1.62% (e)(f)

    2,509,422       2,509,422  

 

See accompanying notes to financial statements.

 

13


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (e)(g)

    65,277,407     $ 65,277,407  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $67,786,829)

      67,786,829  
   

 

 

 

TOTAL INVESTMENTS - 102.0%
(Cost $2,582,150,931)

      2,639,880,884  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (2.0)%

      (50,947,933
   

 

 

 

NET ASSETS - 100.0%

    $ 2,588,932,951  
   

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) Non-income producing security.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Amount is less than 0.05% of net assets.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

GDR  Global Depositary Receipt

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $   145,299,080     $   —     $ 0 (a)     $   145,299,080

Austria

      8,667,184                   8,667,184

Belgium

      30,204,666                   30,204,666

Canada

      199,571,091                   199,571,091

 

See accompanying notes to financial statements.

 

14


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Chile

    $ 564,078     $     $     $ 564,078

China

      1,454,522                   1,454,522

Denmark

      36,787,018                   36,787,018

Finland

      22,415,427                   22,415,427

France

      208,691,149                   208,691,149

Germany

      200,957,194                   200,957,194

Hong Kong

      74,724,692                   74,724,692

Ireland

      13,827,590             0 (a)       13,827,590

Israel

      13,553,579                   13,553,579

Italy

      52,470,131                   52,470,131

Japan

      603,806,433                   603,806,433

Jordan

      300,930                   300,930

Luxembourg

      4,921,092                   4,921,092

Macau

      621,230                   621,230

Malta

      746,969                   746,969

Mexico

      448,831                   448,831

Netherlands

      96,005,511       13,495             96,019,006

New Zealand

      7,039,646                   7,039,646

Norway

      18,432,640                   18,432,640

Portugal

      4,857,592                   4,857,592

Singapore

      30,771,879       52,430             30,824,309

South Africa

      3,026,071                   3,026,071

South Korea

      129,983,278             0 (a)       129,983,278

Spain

      68,707,601             0 (a)       68,707,601

Sweden

      67,198,759                   67,198,759

Switzerland

      177,870,525                   177,870,525

United Kingdom

      343,830,812             0 (a)       343,830,812

United States

      4,152,617                   4,152,617

Warrants

               

France

      4,324                   4,324

Rights

               

Italy

      52,009                   52,009

South Korea.

      32,023                   32,023

United Kingdom

      29,957                   29,957

Short-Term Investments

      67,786,829                   67,786,829
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 2,639,814,959     $ 65,925     $ 0     $ 2,639,880,884
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

See accompanying notes to financial statements.

 

15


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at 9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at 3/31/18
  Value at
3/31/18
  Dividend
Income

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      1,169,081     $ 1,169,081     $ 9,556,166     $ 7,046,744     $     $       2,509,422     $ 2,509,422     $ 28,979

State Street Navigator Securities Lending Government Money Market Portfolio

      22,963,226       22,963,226       224,925,176       182,610,995                   65,277,407       65,277,407       283,601
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

Total

        $ 24,132,307     $ 234,481,342     $ 189,657,739     $     $         $ 67,786,829     $ 312,580
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

16


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES

March 31, 2018 (Unaudited)

 

 

 

     SPDR Portfolio
Emerging Markets
ETF
  SPDR Portfolio
Developed World
ex-US ETF

ASSETS

        

Investments in unaffiliated issuers, at value*

     $ 1,707,544,938     $ 2,572,094,055

Investments in affiliated issuers, at value

       42,358,098       67,786,829
    

 

 

     

 

 

 

Total Investments

       1,749,903,036       2,639,880,884

Foreign currency, at value

       6,365,192       4,916,396

Cash at broker

       22,880      

Cash

       11      

Receivable from broker — variation margin on open futures contracts

       6,831      

Receivable for investments sold

             25

Dividends receivable — unaffiliated issuers

       1,712,110       9,705,077

Dividends receivable — affiliated issuers

       3,290       3,966

Securities lending income receivable — unaffiliated issuers

       35,953       24,991

Securities lending income receivable — affiliated issuers

       37,758       107,015

Receivable for foreign taxes recoverable

       502       804,567
    

 

 

     

 

 

 

TOTAL ASSETS

       1,758,087,563       2,655,442,921
    

 

 

     

 

 

 

LIABILITIES

        

Due to custodian

             874,250

Payable upon return of securities loaned

       37,930,341       65,277,407

Payable for investments purchased

       97,549       99,709

Deferred foreign taxes payable

             20,940

Advisory fee payable

       410,132       236,175

Trustees’ fees and expenses payable

       476       1,478

Accrued expenses and other liabilities

             11
    

 

 

     

 

 

 

TOTAL LIABILITIES

       38,438,498       66,509,970
    

 

 

     

 

 

 

NET ASSETS

     $ 1,719,649,065     $ 2,588,932,951
    

 

 

     

 

 

 

NET ASSETS CONSIST OF:

        

Paid-in Capital

     $ 1,661,509,654     $ 2,521,068,251

Undistributed (distribution in excess of) net investment income (loss)

       4,842,790       14,537,408

Accumulated net realized gain (loss) investments, foreign currency transactions and futures contracts

       (27,191,527 )       (4,386,486 )

Net unrealized appreciation (depreciation) on:

        

Investments — unaffiliated issuers**

       80,475,004       57,709,013

Foreign currency translations

       11,331       4,765

Futures contracts

       1,813      
    

 

 

     

 

 

 

NET ASSETS

     $ 1,719,649,065     $ 2,588,932,951
    

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

        

Net asset value per share

     $ 38.73     $ 31.19
    

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       44,400,000       83,000,000
    

 

 

     

 

 

 

COST OF INVESTMENTS:

        

Investments in unaffiliated issuers

     $ 1,627,069,934     $ 2,514,364,102

Investments in affiliated issuers

       42,358,098       67,786,829
    

 

 

     

 

 

 

Total cost of investments

     $ 1,669,428,032     $ 2,582,150,931
    

 

 

     

 

 

 

Foreign currency, at cost

     $ 6,346,709     $ 4,930,484
    

 

 

     

 

 

 

* Includes investments in securities on loan, at value

     $ 100,219,647     $ 97,149,903
    

 

 

     

 

 

 

** Includes deferred foreign taxes

     $     $ 20,940
    

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

17


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR Portfolio
Emerging
Markets ETF
     SPDR Portfolio
Developed World
ex-US ETF
 

INVESTMENT INCOME

     

Dividend income — unaffiliated issuers

   $ 7,503,485      $ 24,484,150  

Dividend income — affiliated issuers

     12,171        28,979  

Unaffiliated securities lending income

     113,123        85,641  

Affiliated securities lending income

     133,723        283,601  

Foreign taxes withheld

     (603,352      (2,241,683
  

 

 

    

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

     7,159,150        22,640,688  
  

 

 

    

 

 

 

EXPENSES

     

Advisory fee

     725,891        489,887  

Trustees’ fees and expenses

     5,411        10,003  

Miscellaneous expenses

     2,681        1,975  
  

 

 

    

 

 

 

TOTAL EXPENSES

     733,983        501,865  
  

 

 

    

 

 

 

NET INVESTMENT INCOME (LOSS)

     6,425,167        22,138,823  
  

 

 

    

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

     

Net realized gain (loss) on:

     

Investments — unaffiliated issuers

     361,673        1,282,042  

In-kind redemptions — unaffiliated issuers

            (264

Foreign currency transactions

     (124,049      131,176  

Futures contracts

     29,690         
  

 

 

    

 

 

 

Net realized gain (loss)

     267,314        1,412,954  
  

 

 

    

 

 

 

Net change in unrealized appreciation/depreciation on:

     

Investments — unaffiliated issuers*

     35,655,348        (18,330,401

Foreign currency translations

     37,518        (6,039

Futures contracts

     2,903         
  

 

 

    

 

 

 

Net change in unrealized appreciation/depreciation

     35,695,769        (18,336,440
  

 

 

    

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

     35,963,083        (16,923,486
  

 

 

    

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

   $ 42,388,250      $ 5,215,337  
  

 

 

    

 

 

 

* Includes foreign deferred taxes

   $ 287,885      $ (20,940
  

 

 

    

 

 

 

 

See accompanying notes to financial statements.

 

18


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS

 

 

 

    SPDR Portfolio Emerging Markets
ETF
 
    Six Months
Ended
3/31/18(a)
(Unaudited)
    Year Ended
9/30/17(a)
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 6,425,167     $ 7,916,297  

Net realized gain (loss)

    267,314       (718,708

Net change in unrealized appreciation/depreciation

    35,695,769       71,340,770  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    42,388,250       78,538,359  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (7,039,001     (4,140,214
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    1,121,349,786       253,169,111  

Other capital

    514,039       85,243  
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    1,121,863,825       253,254,354  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    1,157,213,074       327,652,499  
 

 

 

   

 

 

 

Net assets at beginning of period

    562,435,991       234,783,492  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 1,719,649,065     $ 562,435,991  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ 4,842,790     $ 5,456,624  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    28,800,000       7,800,000  

 

(a) After the close of trading on October 13, 2017, the SPDR Portfolio Emerging Markets ETF underwent a 2-for-1 share split. The historical per share activity presented here has been retroactively adjusted to reflect this split. See Note 12.

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

    SPDR Portfolio Devleoped World ex-US
ETF
 
    Six Months
Ended
3/31/18
(Unaudited)
    Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

   

Net investment income (loss)

  $ 22,138,823     $ 20,021,553  

Net realized gain (loss)

    1,412,954       10,416,165  

Net change in unrealized appreciation/depreciation

    (18,336,440     118,542,737  
 

 

 

   

 

 

 

Net increase (decrease) in net assets resulting from operations

    5,215,337       148,980,455  
 

 

 

   

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

   

Net investment income

    (13,153,312     (21,128,852
 

 

 

   

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS:

   

Proceeds from sale of shares sold

    1,583,495,203       341,888,994  

Cost of shares redeemed

          (91,199,248

Other capital

          1,822  
 

 

 

   

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

    1,583,495,203       250,691,568  
 

 

 

   

 

 

 

Net increase (decrease) in net assets during the period

    1,575,557,228       378,543,171  
 

 

 

   

 

 

 

Net assets at beginning of period

    1,013,375,723       634,832,552  
 

 

 

   

 

 

 

NET ASSETS AT END OF PERIOD

  $ 2,588,932,951     $ 1,013,375,723  
 

 

 

   

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

  $ 14,537,408     $ 5,551,897  
 

 

 

   

 

 

 

SHARES OF BENEFICIAL INTEREST:

   

Shares sold

    49,800,000       12,600,000  

Shares redeemed

          (3,400,000
 

 

 

   

 

 

 

Net increase (decrease)

    49,800,000       9,200,000  
 

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

20


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS

Selected data for a share outstanding throughout each period

 

 

 

    SPDR Portfolio Emerging Markets ETF  
    Six Months
Ended
3/31/18(a)
(Unaudited)
    Year
Ended
9/30/17(a)
    Year
Ended
9/30/16(a)
    Year
Ended
9/30/15(a)
    Year
Ended
9/30/14(a)
    Year
Ended
9/30/13(a)
 

Net asset value, beginning of period

  $ 36.06     $ 30.10     $ 26.21     $ 33.18     $ 31.57     $ 31.93  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (b)

    0.22       0.70       0.56       0.64       0.70       0.69  

Net realized and unrealized gain (loss) (c)

    2.70       5.64       3.91       (6.94     1.43       (0.28
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    2.92       6.34       4.47       (6.30     2.13       0.41  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net equalization credits and charges (b)

                      0.00 (d)             
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Other capital

    0.02       0.01                          
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.27     (0.39     (0.58     (0.67     (0.52     (0.77
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 38.73     $ 36.06     $ 30.10     $ 26.21     $ 33.18     $ 31.57  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (e)

    8.20     21.36     17.38     (19.34 )%      6.73     1.31

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 1,719,649     $ 562,436     $ 234,783     $ 188,707     $ 285,285     $ 189,412  

Ratios to average net assets:

           

Total expenses

    0.13 %(f)      0.59     0.59     0.59     0.59     0.59

Net investment income (loss)

    1.15 %(f)      2.16     2.05     2.02     2.12     2.15

Portfolio turnover rate (g)

    0 %(h)(i)      0 %(h)      12     18     9     21

 

(a) After the close of trading on October 13, 2017, the SPDR Portfolio Emerging Markets ETF underwent a 2-for-1 share split. The per share data presented here have been retroactively adjusted to reflect this split. See Note 12.
(b) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(c) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(d) Amount is less than $0.005 per share.
(e) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Amount is less than 0.005%.
(i) Not annualized.

 

See accompanying notes to financial statements.

 

21


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR Portfolio Developed World ex-US ETF  
    Six Months
Ended
3/31/18
(Unaudited)
    Year
Ended
9/30/17
    Year
Ended
9/30/16
    Year
Ended
9/30/15
    Year
Ended
9/30/14
    Year
Ended
9/30/13
 

Net asset value, beginning of period

  $ 30.52     $ 26.45     $ 25.17     $ 28.46     $ 28.00     $ 23.91  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

    0.38       0.70       0.69       0.71       0.89       0.73  

Net realized and unrealized gain (loss) (b)

    0.52       4.16       1.32       (3.25     0.40       4.04  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total from investment operations

    0.90       4.86       2.01       (2.54     1.29       4.77  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Other capital

          0.00 (c)                         
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Distributions to shareholders from:

           

Net investment income

    (0.23     (0.79     (0.69     (0.75     (0.83     (0.68

Net realized gains

                (0.04                  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total distributions

    (0.23     (0.79     (0.73     (0.75     (0.83     (0.68
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Net asset value, end of period

  $ 31.19     $ 30.52     $ 26.45     $ 25.17     $ 28.46     $ 28.00  
 

 

 

   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

 

Total return (d)

    2.93     18.75     8.12     (9.14 )%      4.52     20.27

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

  $ 2,588,933     $ 1,013,376     $ 634,833     $ 714,914     $ 825,443     $ 688,755  

Ratios to average net assets:

           

Total expenses

    0.06 %(e)      0.34     0.34     0.34     0.34     0.34

Net investment income (loss)

    2.43 %(e)      2.49     2.70     2.53     3.06     2.79

Portfolio turnover rate (f)

    1 %(g)      5     3     8     17     2

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

22


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS

March 31, 2018 (Unaudited)

 

 

 

1. Organization

SPDR Index Shares Funds (the “Trust”), a Massachusetts business trust, registered under the Investment Company Act of 1940, as amended (“1940 Act”), is an open-end management investment company.

As of March 31, 2018, the Trust consists of thirty (30) series, each of which represents a separate series of beneficial interest in the Trust. The Declaration of Trust permits the Board of Trustees of the Trust (the “Board”) to authorize the issuance of an unlimited number of shares of beneficial interest at $0.01 par value. The financial statements herein relate to the following series (each a “Fund”, and collectively, the “Funds”):

SPDR Portfolio Emerging Markets ETF

SPDR Portfolio Developed World ex-US ETF

Each Fund is classified as a non-diversified investment company under the 1940 Act.

Under the Trust’s organizational documents, its officers and trustees are indemnified against certain liabilities arising out of the performance of their duties to the Trust. Additionally, in the normal course of business, the Trust enters into contracts with service providers that contain general indemnification clauses. The Trust’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Trust that have not yet occurred.

 

2. Summary of Significant Accounting Policies

The following is a summary of significant accounting policies followed by the Trust in the preparation of its financial statements:

The preparation of financial statements in accordance with U.S. generally accepted accounting principles (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates. Each Fund is an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies.

Security Valuation

Each Fund’s investments are valued at fair value each day that the New York Stock Exchange (“NYSE”) is open and, for financial reporting purposes, as of the report date should the reporting period end on a day that the NYSE is not open. Fair value is generally defined as the price a fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. By its nature, a fair value price is a good faith estimate of the valuation in a current sale

 

23


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

and may not reflect an actual market price. The investments of each Fund are valued pursuant to the policy and procedures developed by the Oversight Committee (the “Committee”) and approved by the Board. The Committee provides oversight of the valuation of investments for the Funds. The Board has responsibility for determining the fair value of investments.

Valuation techniques used to value each Fund’s investments by major category are as follows:

 

  Equity investments (including preferred stocks and registered investment companies that are exchange-traded funds) traded on a recognized securities exchange for which market quotations are readily available are valued at the last sale price or official closing price, as applicable, on the primary market or exchange on which they trade. Equity investments traded on a recognized exchange for which there were no sales on that day are valued at the last published sale price or at fair value.

 

  Rights and warrants are valued at the last reported sale price obtained from independent pricing services or brokers on the valuation date. If no price is obtained from pricing services or brokers, valuation will be based upon the intrinsic value, pursuant to the valuation policy and procedures approved by the Board.

 

  Investments in registered investment companies (including money market funds) or other unitized pooled investment vehicles that are not traded on an exchange are valued at that day’s published net asset value (“NAV”) per share or unit.

 

  Exchange-traded futures contracts are valued at the closing settlement price on the primary market on which they are traded most extensively. Exchange-traded futures contracts traded on a recognized exchange for which there were no sales on that day are valued at the last reported sale price obtained from independent pricing services or brokers or at fair value.

In the event prices or quotations are not readily available or that the application of these valuation methods results in a price for an investment that is deemed to be not representative of the fair value of such investment, fair value will be determined in good faith by the Committee, in accordance with the valuation policy and procedures approved by the Board.

Fair value pricing could result in a difference between the prices used to calculate a Fund’s NAV and the prices used by the Funds’ underlying benchmarks. Various inputs are used in determining the value of the Funds’ investments.

 

24


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Funds value their assets and liabilities at fair value using a fair value hierarchy consisting of three broad levels that prioritize the inputs to valuation techniques giving the highest priority to readily available unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements) when market prices are not readily available or reliable. The categorization of a value determined for an investment within the hierarchy is based upon the pricing transparency of the investment and is not necessarily an indication of the risk associated with investing in it.

The three levels of the fair value hierarchy are as follows:

 

  Level 1 – Unadjusted quoted prices in active markets for an identical asset or liability;

 

  Level 2 – Inputs other than quoted prices included within Level 1 that are observable for the asset or liability either directly or indirectly, including quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not considered to be active, inputs other than quoted prices that are observable for the asset or liability (such as exchange rates, financing terms, interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs; and

 

  Level 3 – Unobservable inputs for the asset or liability, including the Committee’s assumptions used in determining the fair value of investments.

The value of each Fund’s investments according to the fair value hierarchy as of March 31, 2018, is disclosed in each Fund’s respective Schedule of Investments.

Changes in valuation techniques may result in transfers in or out of an assigned level within the fair value hierarchy. Transfers between different levels of the fair value hierarchy are recognized at the end of the reporting period. The Funds had no material transfers between levels for the period ended March 31, 2018.

Investment Transactions and Income Recognition

Investment transactions are accounted for on trade date for financial reporting purposes. Realized gains and losses from the sale or disposition of investments and foreign exchange transactions, if any, are determined using the identified cost method.

Dividend income and capital gain distributions, if any, are recognized on the ex-dividend date, net of any foreign taxes withheld at source, if any. Non-cash dividends received in the form of stock are recorded as dividend income at fair value. Distributions received by the Fund’s may include a return of capital that is estimated by

 

25


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

management. Such amounts are recorded as a reduction of the cost of investments or reclassified to capital gains.

Expenses

Certain expenses, which are directly identifiable to a specific Fund, are applied to that Fund within the Trust. Other expenses which cannot be attributed to a specific Fund are allocated in such a manner as deemed equitable, taking into consideration the nature and type of expense and the relative net assets of the Funds within the Trust.

Foreign Currency Translation

The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies as well as investment securities and other assets and liabilities denominated in a foreign currency are translated to U.S. dollars using exchange rates at period end. Purchases and sales of securities, income receipts and expense payments denominated in foreign currencies are translated into U.S. dollars at the prevailing exchange rate on the respective dates of the transactions.

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Foreign Taxes

The Funds may be subject to foreign taxes (a portion of which may be reclaimable) on income, stock dividends, realized and unrealized capital gains on investments or certain foreign currency transactions. Foreign taxes are recorded in accordance with SSGA FM’s understanding of the applicable foreign tax regulations and rates that exist in the foreign jurisdictions in which the Funds invest. These foreign taxes, if any, are paid by the Funds and are reflected in the Statement of Operations, if applicable. Foreign taxes payable or deferred as of March 31, 2018, if any, are disclosed in the Funds’ Statements of Assets and Liabilities.

Equalization

The Funds in the Trust follow the accounting practice known as “Equalization” by which a portion of the proceeds from sales and costs of reacquiring Fund shares, equivalent on a per share basis to the amount of distributable net investment income on the date of the transaction, is credited or charged to undistributed net investment income. As a result, undistributed net investment income per share is unaffected by sales or reacquisition of Fund shares. Amounts related to Equalization can be found on the Statements of Changes in Net Assets.

 

26


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Distributions

The SPDR Portfolio Emerging Markets ETF and the SPDR Portfolio Developed World Ex-US ETF declare and distribute from net investment income, if any, to their shareholders semi-annually.

Net realized capital gains, if any, are distributed annually. Dividends may be declared and paid more frequently or at any other times to improve index tracking or to comply with the distribution requirements of the Internal Revenue Code. The amount and character of income and capital gains to be distributed are determined in accordance with applicable tax regulations which may differ from net investment income and realized gains recognized for U.S. GAAP purposes.

3. Derivative Financial Instruments

Futures Contracts

The Funds may enter into futures contracts to meet the Funds’ objectives. A futures contract is a standardized, exchange-traded agreement to buy or sell a financial instrument at a set price on a future date. Upon entering into a futures contract, the Fund is required to deposit with the broker, cash or securities in an amount equal to the minimum initial margin requirements of the clearing house. Subsequent payments are made or received by the Funds equal to the daily change in the contract value and are recorded as variation margin receivable or payable with a corresponding offset to unrealized gains or losses. The Funds recognize a realized gain or loss when the contract is closed.

Losses may arise if the value of a futures contract decreases due to unfavorable changes in the market rates or values of the underlying instrument during the term of the contract or if the counterparty does not perform under the contract. The use of futures contracts also involves the risk that the movements in the price of the futures contracts do not correlate with the movement of the assets underlying such contracts.

For the period ended March 31, 2018, the SPDR Portfolio Emerging Markets ETF entered into futures contracts for return enhancement, hedging and exposing cash reserves to markets.

 

27


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following tables summarize the value of the Fund’s derivative instruments as of March 31, 2018, and the related location in the accompanying Statements of Assets and Liabilities and Statements of Operations, presented by primary underlying risk exposure:

 

    Asset Derivatives
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR Portfolio Emerging Markets ETF

                       

Futures Contracts

    $     $     $     $ 6,831     $     $ 6,831
    Net Realized Gain (Loss)
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR Portfolio Emerging Markets ETF

                       

Futures Contracts

    $     $     $     $ 29,690     $     $ 29,690
    Net Change in Unrealized Appreciation (Depreciation)
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR Portfolio Emerging Markets ETF

                       

Futures Contracts

    $     $     $     $ 2,903     $     $ 2,903

 

4. Fees and Transactions with Affiliates

Advisory Fee

The Trust, on behalf of each Fund, has entered into an Investment Advisory Agreement (the “Agreement”) with SSGA FM. For its advisory services to the Funds, facilities furnished, and expenses borne by the Adviser, each Fund pays the Adviser a fee accrued

 

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Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

daily and paid quarterly, based on a percentage of each Fund’s average daily net assets as shown in the following table:

 

    Annual Rate  

SPDR Portfolio Emerging Markets ETF

    0.11 %(1) 

SPDR Portfolio Developed World ex-US ETF

    0.04 (2) 

 

(1) Effective October 16, 2017, the advisory fee of the Fund was reduced from 0.59% to 0.11% of the Fund’s average daily net assets.
(2) Effective October 16, 2017, the advisory fee of the Fund was reduced from 0.34% to 0.04% of the Fund’s average daily net assets.

The Adviser pays all operating expenses of each Fund other than management fee, distribution fee pursuant to each Fund’s Distribution and Service Plan, if any, brokerage expenses, taxes, interest, fees and expenses of the Independent Trustees (including any Trustees’ counsel fees, acquired fund fees and expenses, litigation expenses and other extraordinary expenses).

Administrator, Custodian, Sub-Administrator and Transfer Agent Fees

SSGA FM serves as administrator and State Street Bank and Trust Company (“State Street”), an affiliate of the Adviser, serves as custodian, sub-administrator and transfer agent. State Street receives fees for its services as custodian, sub-administrator and transfer agent from the Adviser.

Distributor

State Street Global Advisors Funds Distributors, LLC (“SSGA FD” or the “Distributor”), an affiliate of the Adviser, serves as the Distributor of the Trust.

Other Transactions with Affiliates - Securities Lending

State Street, an affiliate of the Funds, acts as the securities lending agent for the Funds, pursuant to an amended and restated securities lending authorization agreement dated January 6, 2017.

Proceeds collected by State Street on investment of cash collateral or any fee income are allocated as follows (after deduction of such other amounts payable to State Street under the terms of the securities lending agreement): 85% payable to the Fund, and 15% payable to State Street.

 

29


Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

In addition, cash collateral from lending activities is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, an affiliated money market fund, for which SSGA FM serves as investment adviser. See Note 9 for additional information regarding securities lending.

Other Transactions with Affiliates

The Funds may invest in affiliated entities, including securities issued by State Street Corporation, affiliated funds, or entities deemed to be affiliates as a result of the Funds owning more than five percent of the entity’s voting securities or outstanding shares. Amounts relating to these transactions during the period ended March 31, 2018, are disclosed in the Schedules of Investments.

Due to Custodian

In certain circumstances, the Funds may have cash overdraft with the custodian. The Due to Custodian amount, if any, reflects cash overdrawn with State Street as custodian who is an affiliate of the Funds. As of March 31, 2018, the SPDR PortfolioWorld ex-US ETF has a cash overdraft related to investment operations of the Fund.

 

5. Trustees’ Fees

The fees and expenses of the Trust’s trustees, who are not “interested persons” of the Trust, as defined in the 1940 Act (“Independent Trustees”), are paid directly by the Funds. The Independent Trustees are reimbursed for travel and other out-of-pocket expenses in connection with meeting attendance and industry seminars.

 

6. Investment Transactions

Purchases and sales of investments (excluding in-kind transactions, short term investments and derivative contracts) for the period ended March 31, 2018, were as follows:

 

    Purchases     Sales  

SPDR Portfolio Emerging Markets ETF

  $ 338,940,558     $ 2,709,680  

SPDR Portfolio Developed World ex-US ETF

    120,697,892       18,969,637  

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

For the period ended March 31, 2018, the following Funds had in-kind contributions, redemptions and net realized gains/losses in the amounts as follows:

 

    In-kind
Contributions
  In-kind
Redemptions
  In-kind Net
Realized
Gains/(Losses)

SPDR Portfolio Emerging Markets ETF

    $ 777,055,906     $     $

SPDR Portfolio Developed World ex-US ETF

      1,479,266,987       4,148       (264 )

 

7. Shareholder Transactions

Each Fund issues and redeems its shares, at NAV, by each Fund only in aggregations of a specified number of shares or multiples thereof (“Creation Units”). Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in capital shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets.

The consideration for the purchase of Creation Units of a Fund may consist of the in-kind deposit of a designated portfolio of securities and a specified amount of cash. Investors purchasing and redeeming Creation Units may pay a purchase transaction fee and a redemption transaction fee directly to the Trust and/or custodian, to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units, including Creation Units for cash. An additional variable fee may be charged for certain transactions. Such variable charges, if any, are included in “Other Capital” on the Statements of Changes on Net Assets.

 

8. Income Tax Information

The Funds have qualified and intend to continue to qualify as regulated investment companies under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund will not be subject to federal income taxes to the extent it distributes its taxable income, including any net realized capital gains, for each fiscal year. Therefore, no provision for federal income tax is required.

The Funds file federal and various state and local tax returns as required. No income tax returns are currently under examination. Generally, the federal returns are subject to examination by the Internal Revenue Service for a period of three years from date of filing, while the state returns may remain open for an additional year depending upon jurisdiction. As of September 30, 2017, SSGA FM has analyzed each Fund’s tax positions taken on tax returns for all open years and does not believe there are any uncertain tax positions that would require recognition of a tax liability.

 

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Table of Contents

SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Distributions to shareholders are recorded on ex-dividend date. Income dividends and gain distributions are determined in accordance with income tax rules and regulations, which may differ from generally accepted accounting principles.

As of March 31, 2018, gross unrealized appreciation and gross unrealized depreciation of investments and other financial instruments based on cost for federal income tax purposes were as follows:

 

    Tax
Cost
    Gross
Unrealized
Appreciation
    Gross
Unrealized
Depreciation
    Net Unrealized
Appreciation
(Depreciation)
 

SPDR Portfolio Emerging Markets ETF

  $ 1,672,688,489     $ 143,619,808     $ 66,405,261     $ 77,214,547  

SPDR Portfolio Developed World ex-US ETF

    2,585,949,835       164,888,248       110,957,199       53,931,049  

 

9. Securities Lending

Each Fund may lend securities to qualified broker-dealers or institutional investors. The loans are secured at all times by cash, cash equivalents or U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. The value of the collateral with respect to a loaned security may be temporarily more or less than the value of a security due to market fluctuations of securities values. With respect to each loan, if on any U.S. business day the aggregate market value of securities collateral plus cash collateral is less than the aggregate market value of the securities which are subject to the loan, the borrower will be notified to provide additional collateral on the next business day.

The Funds will regain record ownership of loaned securities to exercise certain beneficial rights; however, the Funds may bear the risk of delay in recovery of, or even loss of rights in the securities loaned should the borrower fail financially. In addition, a Fund will bear the risk of loss of any cash collateral that it may invest. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash, cash equivalents or U.S. government securities held as collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as the lending agent. Additionally, a Fund will receive a fee from the borrower for non-cash collateral equal to a percentage of the market value of the loaned securities.

The market value of securities on loan as of March 31, 2018, and the value of the invested cash collateral are disclosed in the Funds’ Statements of Assets and Liabilities. Non-cash collateral is not disclosed in the Funds’ Statements of Assets and Liabilities as

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

it is held by the lending agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Securities lending income, as disclosed in the Funds’ Statements of Operations, represents the income earned from the non-cash collateral and the investment of cash collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as lending agent.

The following is a summary of each Fund’s securities lending agreements and related cash and non-cash collateral received as of March 31, 2018:

 

Fund

  Market Value of
Securities on Loan
  Cash
Collateral
Received
  Non Cash
Collateral
Received*
  Total
Collateral
Received

SPDR Portfolio Emerging Markets ETF

    $ 100,219,647     $ 37,930,341     $ 66,812,162     $ 104,742,503

SPDR Portfolio Developed World ex-US ETF

      97,149,903       65,277,407       35,817,530       101,094,937

 

* The non-cash collateral includes U.S. Treasuries and U.S. Government Agency securities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged or securities loaned, and the remaining contractual maturity of those transactions as of March 31, 2018:

 

        Remaining Contractual Maturity of the Agreements
As of March 31, 2018

Fund

 

Securities

Lending
Transactions

  Overnight
and
Continuous
  <30 Days   Between
30 & 90
Days
  >90 Days   Total
Borrowings
  Gross Amount
of Recognized
Liabilities for
Securities Lending
Transactions

SPDR Portfolio Emerging Markets ETF

 

Common Stocks

    $ 37,930,341     $     $     $     $ 37,930,341     $ 37,930,341

SPDR Portfolio Developed World ex-US ETF

 

Common Stocks

      65,277,407                         65,277,407       65,277,407

 

10. Line of Credit

Certain Funds and other affiliated funds (each a “Participant” and, collectively, the “Participants”) participate in a $500 million revolving credit facility provided by a syndication of banks under which the Participants may borrow to fund shareholder redemptions. This agreement expires in October 2018 unless extended or renewed.

The SPDR Portfolio Emerging Markets ETF participates in the credit facility as of period ended March 31, 2018.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The Participants are charged an annual commitment fee which is calculated based on the unused portion of the shared credit line. Commitment fees are allocated among each of the Participants based on relative net assets. Commitment fees are ordinary fund operating expenses paid by the Adviser. A Participant incurs and pays the interest expense related to its borrowing. Interest is calculated at a rate per annum equal to the sum of 1% plus the greater of the New York Fed Bank Rate and 1-month LIBOR rate.

Prior to October 12, 2017, the Funds and other affiliated funds participated in a $360 million revolving credit facility.

The Fund had no outstanding loans as of March 31, 2018.

 

11. Risks

Concentration Risk

As a result of the Funds’ ability to invest a large percentage of their assets in obligations of issuers within the same country, state, region, currency or economic sector, an adverse economic, business or political development may affect the value of the Funds’ investments more than if the Funds were more broadly diversified.

Foreign and Emerging Markets Risk

Investing in foreign markets involves risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of government regulation, economic, political and social instability in the countries in which the Funds invest. Foreign markets may be less liquid than investments in the U.S. and may be subject to the risks of currency fluctuations. To the extent that a Fund invests in securities of issuers located in emerging markets, these risks may be even more pronounced.

Market and Credit Risk

In the normal course of business, the Funds trade financial instruments and enter into financial transactions where risk of potential loss exists due to changes in the general economic conditions and fluctuations of the market (market risk). Additionally, a Fund may also be exposed to credit risk in the event that an issuer or guarantor fails to perform or that an institution or entity with which the Fund has unsettled or open transactions defaults.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

12. Stock Split

The Board authorized a 2-for-1 split for the SPDR Portfolio Emerging Markets ETF, effective after the close of trading on October 13, 2017 for the shareholders of record on October 11, 2017. The impact of the stock split was to increase the number of shares outstanding by a factor of 2, while decreasing the NAV of shares outstanding by a factor of 2, resulting in no effect to the net assets of the aforementioned Fund.

 

13. Subsequent Events

Management has evaluated the impact of all subsequent events on the Funds through the date on which the financial statements were available to be issued and has determined that there were no subsequent events requiring adjustment or disclosure in the financial statements.

 

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Table of Contents

SPDR INDEX SHARES FUNDS

OTHER INFORMATION

March 31, 2018 (Unaudited)

 

 

 

Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads), if applicable, on purchase payments, reinvested dividends, or other distributions and (2) ongoing costs, including advisory fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds. It is based on an investment of $1,000 made at the beginning of the period shown and held for the entire period from October 1, 2017 to March 31, 2018.

The table below illustrates your Fund’s cost in two ways:

Based on actual fund return — This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from each Fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the Fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for the Fund under the heading “Expenses Paid During Period”.

Based on hypothetical 5% return — This section is intended to help you compare your Fund’s costs with those of other mutual funds. It assumes that the Fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case, because the return used is not the Fund’s actual return, the results do not apply to your investment. The example is useful in making comparisons because the U.S. Securities and Exchange Commission (the “SEC”) requires all mutual funds to calculate expenses based on a 5% return. You can assess your Fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as sales load charges (loads). Therefore, the hypothetical 5% return section of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transaction costs were included, your costs would have been higher.

 

36


Table of Contents

SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

 

     SPDR Portfolio
Emerging
Markets ETF
  SPDR Portfolio
Developed
World ex-US
ETF

Annualized Expense Ratio

      0.13 %       0.06 %

Actual:

       

Ending Account Value

    $ 1,082.00     $ 1,029.30

Expenses Paid During Period(a)

      0.67       0.30

Hypothetical (assuming a 5% return before expenses):

       

Ending Account Value

      1,024.30       1,024.60

Expenses Paid During Period(a)

      0.66       0.30

 

(a) Expenses are equal to the Fund’s annualized net expense ratio multiplied by the average account value of the period, multiplied by 182, then divided by 365.

Premium/Discount Information

Information regarding how often the Shares of each Fund traded on the exchange at a price above (i.e. at a premium) or below (i.e. at a discount) the NAV of the Fund during the past calendar year can be found at www.spdrs.com.

Proxy Voting Policies and Procedures and Records

A description of the Trust’s proxy voting policies and procedures that are used by the Funds’ investment adviser to vote proxies relating to the Funds’ portfolio of securities are available (i) without charge, upon request by calling 1-866-787-2257 (toll free) or (ii) on the SEC’s website, at www.sec.gov.

Information regarding how the investment adviser voted for the prior 12-month period ended June 30, is available by August 31 of each year by calling the same number and on the SEC’s website, at www.sec.gov, and on the Funds’ website at www.spdrs.com.

Quarterly Portfolio Schedule

The Funds file a complete schedule of investments with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Funds’ Forms N-Q are available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington DC. Information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. The information on the Form N-Q is available upon request, without charge, by calling 1-866-787-2257 (toll free) and on the Funds’ website at www.spdrs.com.

 

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Table of Contents

SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

Full Portfolio Schedule

The complete schedule of portfolio holdings for the following Funds is available on the Funds’ website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

SPDR Portfolio Emerging Markets ETF

SPDR Portfolio Developed World ex-US ETF

 

38


Table of Contents

SPDR® Index Shares Funds

SPDR Index Shares Funds

 

Trustees

Bonny E. Boatman

Dwight D. Churchill

David M. Kelly

Frank Nesvet, Chairman

James E. Ross

Carl G. Verboncoeur

Investment Manager and Administrator

SSGA Funds Management, Inc.

One Iron Street

Boston, MA 02210

Distributor

State Street Global Advisors Funds

Distributors, LLC

One Iron Street

Boston, MA 02210

Custodian, Sub-Administrator and Transfer Agent

State Street Bank and Trust Company

One Lincoln Street

Boston, MA 02111

Legal Counsel

Morgan, Lewis & Bockius LLP

1111 Pennsylvania Avenue, NW

Washington, DC 20004

Independent Registered Public Accounting Firm

PricewaterhouseCoopers LLP

101 Seaport Boulevard

Suite 500

Boston, MA 02210

 

 

Fund Shares are distributed by State Street Global Advisors Funds Distributors, LLC, a wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC; member FINRA, SIPC.

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

SPDR® Index Shares Funds

For more complete information, please call 1.866.787.2257 or visit spdrs.com today.

ssga.com | spdrs.com

 

The Funds are not sponsored, endorsed, sold, or promoted by Stoxx, S&P Dow Jones Indices LLC, MSCI Inc., and Russell Investment Group. Neither do these companies make any representation regarding the advisability of investing in the Funds. The Funds are distributed by State Street Global Advisors Funds Distributors, LLC, an indirect wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC is a member of FINRA, SIPC. References to State Street may include State Street Corporation and its affiliates. Shares of the Funds are not insured by the FDIC or by another governmental agency; they are not obligations of the FDIC nor are they deposits or obligations of or guaranteed by State Street Bank and Trust Company. Fund shares are subject to investment risks, including possible loss of the principal invested. The Funds pay State Street for its services as investment adviser, administrator and securities lending agent.

Standard & Poor’s®, S&P® and SPDR® are registered trademarks of Standard & Poor’s Financial Services LLC (S&P); Dow Jones is a registered trademark of Dow Jones Trademark Holdings LLC (Dow Jones); and these trademarks have been licensed for use by S&P Dow Jones Indices LLC (SPDJI) and sublicensed for certain

purposes by State Street Corporation. State Street Corporation’s financial products are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates and third party licensors and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability in relation thereto, including for any errors, omissions, or interruptions of any index.

Distributor: State Street Global Advisors Funds Distributors, LLC, member FINRA, SIPC, an indirect wholly-owned subsidiary of State Street Corporation. References to State Street may include State Street Corporation and its affiliates. Certain State Street affiliates provide services and receive fees from the SPDR ETFs.

Before investing, consider the Funds’ investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-866-787-2257 or visit www.spdrs.com. Read it carefully.

Not FDIC Insured • No Bank Guarantee • May Lose Value

 

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

State Street Global Advisors   

©  2018 State Street Corporation - All Rights Reserved

0515 Exp. Date: 11/30/2018 SPDRPTSAR


Table of Contents

Semi-Annual Report

March 31, 2018

 

SPDR® Index Shares Funds

 

 

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

 

LOGO


Table of Contents


Table of Contents

TABLE OF CONTENTS (UNAUDITED )

 

Portfolio Statistics (Unaudited)

 

SPDR EURO STOXX Small Cap ETF (SMEZ)

    4  

SPDR MSCI ACWI IMI ETF (ACIM)

    5  

SPDR MSCI ACWI Low Carbon Target ETF (LOWC)

    6  

SPDR MSCI Canada StrategicFactorsSM ETF (QCAN)

    7  

SPDR MSCI China A Shares IMI ETF (XINA)

    8  

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF (EFAX)

    9  

SPDR MSCI EAFE StrategicFactorsSM ETF (QEFA)

    10  

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF (EEMX)

    11  

SPDR MSCI Emerging Markets StrategicFactorsSM ETF (QEMM)

    12  

SPDR MSCI Germany StrategicFactorsSM ETF (QDEU)

    13  

SPDR MSCI Japan StrategicFactorsSM ETF (QJPN)

    14  

SPDR MSCI United Kingdom StrategicFactorsSM ETF (QGBR)

    15  

SPDR MSCI World StrategicFactorsSM ETF (QWLD)

    16  

SPDR S&P Emerging Asia Pacific ETF (GMF)

    17  

SPDR S&P Global Dividend ETF (WDIV)

    18  

SPDR S&P Global Infrastructure ETF (GII)

    19  

Schedules of Investments (Unaudited)

 

SPDR EURO STOXX Small Cap ETF (SMEZ)

    20  

SPDR MSCI ACWI IMI ETF (ACIM)

    23  

SPDR MSCI ACWI Low Carbon Target ETF (LOWC) (Summary)

    35  

SPDR MSCI Canada StrategicFactorsSM ETF (QCAN)

    39  

SPDR MSCI China A Shares IMI ETF (XINA)

    42  

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF (EFAX)

    52  

SPDR MSCI EAFE StrategicFactorsSM ETF (QEFA)

    62  

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF (EEMX)

    70  

SPDR MSCI Emerging Markets StrategicFactorsSM ETF (QEMM) (Summary)

    76  

SPDR MSCI Germany StrategicFactorsSM ETF (QDEU)

    79  

SPDR MSCI Japan StrategicFactorsSM ETF (QJPN)

    82  

SPDR MSCI United Kingdom StrategicFactorsSM ETF (QGBR)

    89  

SPDR MSCI World StrategicFactorsSM ETF (QWLD) (Summary)

    93  

SPDR S&P Emerging Asia Pacific ETF (GMF)

    96  

SPDR S&P Global Dividend ETF (WDIV)

    107  

SPDR S&P Global Infrastructure ETF (GII)

    110  

Financial Statements (Unaudited)

    114  

Financial Highlights (Unaudited)

    129  

Notes to Financial Statements (Unaudited)

    145  

Other Information (Unaudited)

    155  

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

SPDR EURO STOXX SMALL CAP ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

ASR Nederland NV

    1.9%  
 

Ipsen SA

  1.7   
 

Merlin Properties Socimi SA

  1.7   
 

Delivery Hero AG

  1.6   
 

Aalberts Industries NV

  1.5   
 

Bollore SA

  1.5   
 

Sartorius AG Preference Shares

  1.4   
 

Gemalto NV

  1.4   
 

Elis SA

  1.4   
   

FinecoBank Banca Fineco SpA

  1.4     
   

TOTAL

  15.5%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  19.0%  
 

Industrials

  17.8     
 

Consumer Discretionary

  13.5     
 

Information Technology

  10.2     
 

Health Care

  8.7   
 

Consumer Staples

  8.4   
 

Real Estate

  8.1   
 

Materials

  5.4   
 

Telecommunication Services

  4.3   
 

Energy

  2.5   
 

Utilities

  1.8   
 

Short-Term Investments

  4.9   
   

Liabilities in Excess of Other Assets

  (4.6)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR MSCI ACWI IMI ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Apple, Inc.

    1.6%  
 

Microsoft Corp.

  1.3   
 

Amazon.com, Inc.

  1.2   
 

JPMorgan Chase & Co.

  0.9   
 

Bank of America Corp.

  0.7   
 

Alphabet, Inc.

  0.7   
 

Alphabet, Inc.

  0.7   
 

Tencent Holdings, Ltd.

  0.7   
 

Visa, Inc.

  0.6   
   

Cisco Systems, Inc.

  0.6     
   

TOTAL

    9.0%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Information Technology

  18.3%  
 

Financials

  17.5     
 

Industrials

  13.1     
 

Consumer Discretionary

  11.8     
 

Health Care

  11.0     
 

Consumer Staples

  7.4   
 

Energy

  6.2   
 

Materials

  5.3   
 

Real Estate

  3.6   
 

Telecommunication Services

  2.9   
 

Utilities

  2.3   
 

Short-Term Investments

  2.0   
   

Liabilities in Excess of Other Assets

  (1.4)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

2


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Apple, Inc.

    1.9%  
 

Microsoft Corp.

  1.5   
 

Amazon.com, Inc.

  1.3   
 

JPMorgan Chase & Co.

  0.9   
 

Facebook, Inc.

  0.8   
 

Johnson & Johnson

  0.8   
 

Alphabet, Inc.

  0.7   
 

Bank of America Corp.

  0.7   
 

Tencent Holdings, Ltd.

  0.7   
   

Alphabet, Inc.

  0.7     
   

TOTAL

  10.0%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  19.7%  
 

Information Technology

  18.7     
 

Industrials

  12.8     
 

Consumer Discretionary

  12.3     
 

Health Care

  10.5     
 

Consumer Staples

  8.5   
 

Energy

  4.0   
 

Materials

  3.8   
 

Telecommunication Services

  3.3   
 

Real Estate

  3.0   
 

Utilities

  2.6   
 

Short-Term Investments

  1.8   
   

Liabilities in Excess of Other Assets

  (1.0)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR MSCI CANADA STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Royal Bank of Canada

    4.3%  
 

Toronto-Dominion Bank

  4.1   
 

Canadian Imperial Bank of Commerce

  4.1   
 

Bank of Nova Scotia

  3.4   
 

Canadian National Railway Co.

  3.3   
 

Sun Life Financial, Inc.

  3.2   
 

Magna International, Inc.

  2.7   
 

CGI Group, Inc.

  2.7   
 

Bank of Montreal

  2.7   
   

Intact Financial Corp.

  2.7     
   

TOTAL

  33.2%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  39.4%  
 

Energy

  12.8     
 

Consumer Staples

  9.6   
 

Consumer Discretionary

  8.7   
 

Industrials

  7.7   
 

Materials

  7.0   
 

Information Technology

  5.7   
 

Telecommunication Services

  4.0   
 

Utilities

  2.9   
 

Real Estate

  1.7   
 

Health Care

  0.3   
 

Short-Term Investments

  4.1   
   

Liabilities in Excess of Other Assets

  (3.9)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Kweichow Moutai Co., Ltd.

    2.8%  
 

Ping An Insurance Group Co. of China, Ltd.

  2.3   
 

China Merchants Bank Co., Ltd.

  2.0   
 

Industrial Bank Co., Ltd.

  1.6   
 

Hangzhou Hikvision Digital Technology Co., Ltd.

  1.4   
 

Midea Group Co., Ltd.

  1.3   
 

Shanghai Pudong Development Bank Co., Ltd.

  1.3   
 

China Vanke Co., Ltd.

  1.2   
 

Agricultural Bank of China, Ltd.

  1.0   
   

Bank of China, Ltd.

  1.0     
   

TOTAL

  15.9%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets       
 

Financials

    19.8%    
 

Industrials

    18.6       
 

Consumer Discretionary

    11.7       
 

Materials

    11.1       
 

Information Technology

    10.3       
 

Consumer Staples

    9.2     
 

Health Care

    6.6     
 

Real Estate

    5.6     
 

Utilities

    2.7     
 

Energy

    2.6     
 

Telecommunication Services

    0.3     
 

Short-Term Investment

    0.0*    
   

Other Assets in Excess of Liabilities

    1.5       
   

TOTAL

    100.0%        
*  

Amount shown represents less than 0.05% of net assets.

           

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Nestle SA

    1.8%  
 

HSBC Holdings PLC

  1.4   
 

Novartis AG

  1.3   
 

Toyota Motor Corp.

  1.3   
 

Roche Holding AG

  1.2   
 

British American Tobacco PLC

  1.0   
 

Banco Santander SA

  0.8   
 

SAP SE

  0.8   
 

AIA Group, Ltd.

  0.8   
   

Allianz SE

  0.8     
   

TOTAL

  11.2%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  23.0%  
 

Industrials

  15.8     
 

Consumer Discretionary

  13.7     
 

Consumer Staples

  11.9     
 

Health Care

  11.2     
 

Information Technology

  7.0   
 

Materials

  6.5   
 

Telecommunication Services

  4.1   
 

Real Estate

  3.7   
 

Utilities

  2.2   
 

Energy

  0.4   
 

Short-Term Investments

  2.9   
   

Liabilities in Excess of Other Assets

  (2.4)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

6


Table of Contents

SPDR MSCI EAFE STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Nestle SA

    2.3%  
 

Roche Holding AG

  2.0   
 

Novo Nordisk A/S

  1.2   
 

AstraZeneca PLC

  1.2   
 

Diageo PLC

  1.1   
 

Unilever NV

  1.0   
 

SAP SE

  0.9   
 

Reckitt Benckiser Group PLC

  0.9   
 

Bayer AG

  0.8   
   

Novartis AG

  0.8     
   

TOTAL

  12.2%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  18.1%  
 

Industrials

  14.3     
 

Consumer Staples

  14.3     
 

Health Care

  13.5     
 

Consumer Discretionary

  12.4     
 

Materials

  5.7   
 

Telecommunication Services

  5.5   
 

Information Technology

  5.3   
 

Utilities

  4.5   
 

Real Estate

  3.3   
 

Energy

  2.5   
 

Short-Term Investments

  2.5   
   

Liabilities in Excess of Other Assets

  (1.9)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

7


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Tencent Holdings, Ltd.

    6.0%  
 

Taiwan Semiconductor Manufacturing Co., Ltd.

  4.4   
 

Alibaba Group Holding, Ltd. ADR

  4.2   
 

Samsung Electronics Co., Ltd.

  4.1   
 

Naspers, Ltd.

  2.2   
 

China Construction Bank Corp.

  1.7   
 

Baidu, Inc. ADR

  1.3   
 

Industrial & Commercial Bank of China, Ltd.

  1.2   
 

China Mobile, Ltd.

  1.2   
   

Itau Unibanco Holding SA Preference Shares

  1.0     
   

TOTAL

  27.3%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Information Technology

  27.7%  
 

Financials

  25.5     
 

Consumer Discretionary

  9.1   
 

Consumer Staples

  6.7   
 

Materials

  6.3   
 

Industrials

  5.0   
 

Telecommunication Services

  4.9   
 

Real Estate

  2.8   
 

Health Care

  2.4   
 

Utilities

  2.1   
 

Energy

  0.8   
 

Short-Term Investments

  6.7   
   

Other Assets in Excess of Liabilities

  0.0     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

8


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Taiwan Semiconductor Manufacturing Co., Ltd.

    2.9%  
 

Tencent Holdings, Ltd.

  2.2   
 

China Mobile, Ltd.

  2.1   
 

Hon Hai Precision Industry Co., Ltd.

  1.9   
 

China Construction Bank Corp.

  1.6   
 

Ambev SA ADR

  1.2   
 

Samsung Electronics Co., Ltd. GDR

  1.2   
 

Industrial & Commercial Bank of China, Ltd.

  1.1   
 

Bank of China, Ltd.

  1.1   
   

Tata Consultancy Services, Ltd.

  1.1     
   

TOTAL

  16.4%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Information Technology

  23.6%  
 

Financials

  23.5     
 

Consumer Staples

  11.0     
 

Consumer Discretionary

  9.0   
 

Telecommunication Services

  7.9   
 

Energy

  6.6   
 

Industrials

  4.7   
 

Health Care

  4.1   
 

Materials

  3.9   
 

Utilities

  3.7   
 

Real Estate

  1.4   
 

Short-Term Investments

  2.0   
   

Liabilities in Excess of Other Assets

  (1.4)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

 

See accompanying notes to financial statements.

 

9


Table of Contents

SPDR MSCI GERMANY STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    5.1%  
 

BASF SE

  4.8   
 

Siemens AG

  4.5   
 

Allianz SE

  4.5   
 

Daimler AG

  4.3   
 

SAP SE

  3.9   
 

Bayer AG

  3.9   
 

Deutsche Post AG

  3.6   
 

Beiersdorf AG

  3.1   
   

Continental AG

  3.1     
   

TOTAL

  40.8%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Consumer Discretionary

  21.2%  
 

Industrials

  17.1     
 

Financials

  13.8     
 

Materials

  13.1     
 

Health Care

  8.9   
 

Information Technology

  8.8   
 

Consumer Staples

  6.9   
 

Utilities

  4.0   
 

Telecommunication Services

  3.3   
 

Real Estate

  1.9   
 

Short-Term Investment

  0.1   
   

Other Assets in Excess of Liabilities

  0.9     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

10


Table of Contents

SPDR MSCI JAPAN STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Toyota Motor Corp.

    2.6%  
 

Astellas Pharma, Inc.

  2.5   
 

Kao Corp.

  2.4   
 

NTT DOCOMO, Inc.

  2.4   
 

KDDI Corp.

  2.3   
 

Keyence Corp.

  2.3   
 

Recruit Holdings Co., Ltd.

  2.0   
 

Bridgestone Corp.

  1.9   
 

Japan Tobacco, Inc.

  1.9   
   

Oriental Land Co., Ltd.

  1.8     
   

TOTAL

  22.1%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Consumer Discretionary

  20.6%  
 

Industrials

  18.2     
 

Consumer Staples

  10.9     
 

Health Care

  10.8     
 

Financials

  10.3     
 

Information Technology

  9.5   
 

Telecommunication Services

  6.2   
 

Real Estate

  5.8   
 

Materials

  3.8   
 

Utilities

  2.2   
 

Energy

  0.7   
 

Short-Term Investments

  10.7     
   

Liabilities in Excess of Other Assets

  (9.7)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

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Table of Contents

SPDR MSCI UNITED KINGDOM STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

GlaxoSmithKline PLC

    5.8%  
 

AstraZeneca PLC

  5.2   
 

Diageo PLC

  5.1   
 

HSBC Holdings PLC

  4.5   
 

Unilever PLC

  4.4   
 

Reckitt Benckiser Group PLC

  4.2   
 

Royal Dutch Shell PLC Class A

  3.9   
 

BP PLC

  3.5   
 

Compass Group PLC

  2.5   
   

Vodafone Group PLC

  2.3     
   

TOTAL

  41.4%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Consumer Staples

  19.8%  
 

Financials

  18.1     
 

Health Care

  13.5     
 

Consumer Discretionary

  11.9     
 

Industrials

  10.4     
 

Energy

  9.5   
 

Materials

  5.8   
 

Telecommunication Services

  4.2   
 

Utilities

  4.1   
 

Real Estate

  1.2   
 

Information Technology

  0.9   
 

Short-Term Investments

  0.8   
   

Liabilities in Excess of Other Assets

  (0.2)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

12


Table of Contents

SPDR MSCI WORLD STRATEGIC FACTORSSM ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Apple, Inc.

    2.2%  
 

Microsoft Corp.

  2.1   
 

Johnson & Johnson

  1.8   
 

Visa, Inc.

  1.1   
 

Procter & Gamble Co.

  1.1   
 

Alphabet, Inc.

  1.0   
 

Intel Corp.

  1.0   
 

Alphabet, Inc.

  1.0   
 

Roche Holding AG

  0.9   
   

Altria Group, Inc.

  0.8     
   

TOTAL

  13.0%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Information Technology

  19.1%  
 

Financials

  14.4     
 

Health Care

  13.5     
 

Industrials

  12.2     
 

Consumer Discretionary

  12.0     
 

Consumer Staples

  11.2     
 

Materials

  4.1   
 

Utilities

  3.7   
 

Telecommunication Services

  3.7   
 

Energy

  3.3   
 

Real Estate

  2.4   
 

Short-Term Investments

  1.3   
   

Liabilities in Excess of Other Assets

  (0.9)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

13


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Tencent Holdings, Ltd.

    7.6%  
 

Alibaba Group Holding, Ltd. ADR

  5.5   
 

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

  4.2   
 

China Construction Bank Corp.

  2.5   
 

Industrial & Commercial Bank of China, Ltd.

  1.8   
 

Baidu, Inc. ADR

  1.7   
 

China Mobile, Ltd.

  1.4   
 

Ping An Insurance Group Co. of China, Ltd.

  1.4   
 

Hon Hai Precision Industry Co., Ltd.

  1.3   
   

Reliance Industries, Ltd. GDR

  1.3     
   

TOTAL

  28.7%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Information Technology

  31.8%  
 

Financials

  23.0     
 

Consumer Discretionary

  8.6   
 

Energy

  5.9   
 

Industrials

  5.6   
 

Materials

  5.6   
 

Consumer Staples

  5.5   
 

Telecommunication Services

  4.2   
 

Real Estate

  4.1   
 

Health Care

  3.4   
 

Utilities

  2.2   
 

Short-Term Investment

  1.1   
   

Liabilities in Excess of Other Assets

  (1.0)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

14


Table of Contents

SPDR S&P GLOBAL DIVIDEND ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

EDP - Energias de Portugal SA

    1.7%  
 

Enbridge Income Fund Holdings, Inc.

  1.7   
 

Fortum Oyj

  1.6   
 

GlaxoSmithKline PLC

  1.6   
 

Enagas SA

  1.4   
 

Truworths International, Ltd.

  1.4   
 

Greene King PLC

  1.3   
 

RioCan Real Estate Investment Trust REIT

  1.3   
 

SCANA Corp.

  1.3   
   

TOTAL SA

  1.3     
   

TOTAL

  14.6%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Sector Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Financials

  22.5%  
 

Utilities

  21.9     
 

Real Estate

  10.9     
 

Consumer Discretionary

  9.3   
 

Consumer Staples

  7.9   
 

Industrials

  6.9   
 

Telecommunication Services

  6.8   
 

Energy

  5.5   
 

Health Care

  4.1   
 

Information Technology

  1.8   
 

Materials

  1.5   
 

Short-Term Investments

  10.6     
   

Liabilities in Excess of Other Assets

  (9.7)     
   

TOTAL

  100.0%      

(The Fund’s sector breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

15


Table of Contents

SPDR S&P GLOBAL INFRASTRUCTURE ETF

PORTFOLIO STATISTICS (UNAUDITED)

 

Top Ten Holdings as of March 31, 2018

 

     Description   % of Net Assets     
 

Abertis Infraestructuras SA

    5.1%  
 

Transurban Group Stapled Security

  4.9   
 

Aena SME SA

  4.4   
 

Atlantia SpA

  4.3   
 

NextEra Energy, Inc.

  4.0   
 

Enbridge, Inc.

  4.0   
 

TransCanada Corp.

  3.0   
 

Duke Energy Corp.

  2.8   
 

Enel SpA

  2.5   
   

Southern Co.

  2.3     
   

TOTAL

  37.3%    

(The ten largest holdings are subject to change, and there are no guarantees the Fund will continue to remain invested in any particular company.)

Industry Breakdown as of March 31, 2018

 

          % of Net Assets     
 

Transportation Infrastructure

  39.5%  
 

Electric Utilities

  25.4     
 

Oil, Gas & Consumable Fuels

  19.7     
 

Multi-Utilities

  13.2     
 

Gas Utilities

  1.3   
 

Water Utilities

  0.6   
 

Independent Power Producers & Energy Traders

  0.2   
 

Short-Term Investments

  1.1   
   

Liabilities in Excess of Other Assets

  (1.0)     
   

TOTAL

  100.0%      

(The Fund’s industry breakdown is expressed as a percentage of net assets and may change over time.)

 

See accompanying notes to financial statements.

 

16


Table of Contents

SPDR EURO STOXX SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.6%

   

AUSTRIA — 2.1%

   

BUWOG AG

    14,135     $ 505,177  

Wienerberger AG

    14,713       367,686  
   

 

 

 
      872,863  
   

 

 

 

BELGIUM — 7.2%

   

Ablynx NV (a)

    9,453       518,277  

Ackermans & van Haaren NV

    2,787       487,404  

bpost SA

    12,259       276,809  

Cofinimmo SA REIT

    2,587       335,343  

Colruyt SA

    7,091       391,741  

Galapagos NV (a) (b)

    5,561       556,027  

Telenet Group Holding NV (a)

    6,467       431,474  
   

 

 

 
      2,997,075  
   

 

 

 

FINLAND — 4.8%

   

Amer Sports Oyj (a)

    14,928       460,265  

Kesko Oyj Class B

    8,599       492,394  

Konecranes Oyj

    8,392       363,709  

Metso Oyj (b)

    13,417       422,588  

Outokumpu Oyj (b)

    40,226       274,174  
   

 

 

 
      2,013,130  
   

 

 

 

FRANCE — 26.3%

   

Air France-KLM (a)

    35,384       392,088  

Altran Technologies SA (b)

    19,728       291,635  

Amundi SA (c)

    6,192       496,970  

BioMerieux

    5,368       442,323  

Bollore SA

    113,507       604,453  

Bollore SA (a)

    248       1,315  

Casino Guichard Perrachon SA (b)

    6,892       337,435  

Christian Dior SE

    1,130       445,965  

Cie Plastic Omnium SA

    8,020       383,686  

CNP Assurances

    19,862       500,759  

Dassault Aviation SA

    293       558,897  

Elior Group SA (c)

    13,412       291,297  

Elis SA

    24,075       595,134  

Eurazeo SA

    5,390       495,510  

Eutelsat Communications SA

    17,304       342,629  

Fonciere Des Regions REIT

    4,359       480,606  

ICADE REIT

    3,943       382,610  

Imerys SA

    4,080       395,904  

Ipsen SA

    4,589       711,963  

JCDecaux SA

    9,577       332,854  

Lagardere SCA

    13,064       372,749  

Remy Cointreau SA

    2,799       398,624  

SEB SA

    3,090       589,797  

Societe BIC SA

    3,271       325,247  

Sopra Steria Group

    2,065       420,819  

SPIE SA

    15,103       333,783  
   

 

 

 
          10,925,052  
   

 

 

 

GERMANY — 22.7%

   

1&1 Drillisch AG

    5,911       398,013  

Aareal Bank AG

    7,494       357,047  

Aroundtown SA

    71,326       552,638  

Aurubis AG

    4,742       398,206  

Axel Springer SE

    5,846       488,900  

Security Description

 

Shares

   

Value

 

Delivery Hero AG (a) (c)

    13,448     $ 649,984  

Duerr AG

    3,084       338,095  

Fraport AG Frankfurt Airport Services Worldwide

    4,689       461,918  

Freenet AG

    16,128       490,124  

Fuchs Petrolub SE Preference Shares

    8,753       474,731  

Gerresheimer AG

    3,931       322,222  

GRENKE AG

    3,184       337,154  

Hella GmbH & Co. KGaA

    5,517       362,324  

HOCHTIEF AG

    2,291       427,428  

METRO AG

    21,077       373,011  

Sartorius AG Preference Shares

    4,302       600,508  

Schaeffler AG Preference Shares

    20,782       320,379  

Scout24 AG (c)

    12,228       569,061  

Siltronic AG (a)

    2,613       445,887  

Software AG

    6,440       336,769  

Telefonica Deutschland Holding AG

    79,393       372,600  

Wacker Chemie AG

    2,187       358,669  
   

 

 

 
      9,435,668  
   

 

 

 

IRELAND — 2.5%

   

AIB Group PLC

    98,688       593,749  

Glanbia PLC

    25,540       439,746  
   

 

 

 
      1,033,495  
   

 

 

 

ITALY — 11.1%

   

A2A SpA

    196,107       374,918  

Azimut Holding SpA

    13,883       297,856  

BPER Banca (b)

    54,308       302,562  

Davide Campari-Milano SpA

    56,911       430,451  

FinecoBank Banca Fineco SpA

    49,436       593,883  

Italgas SpA

    61,244       365,759  

Pirelli & C SpA (a) (c)

    46,183       408,947  

Poste Italiane SpA (c)

    58,778       536,378  

Recordati SpA

    12,837       473,312  

Saipem SpA (a)

    72,028       281,873  

Unione di Banche Italiane SpA

    116,789       533,022  
   

 

 

 
          4,598,961  
   

 

 

 

LUXEMBOURG — 0.9%

   

RTL Group SA

    4,818       399,670  
   

 

 

 

NETHERLANDS — 12.9%

   

Aalberts Industries NV

    12,072       614,062  

ASM International NV

    5,915       431,091  

ASR Nederland NV

    18,495       789,744  

BE Semiconductor Industries NV

    4,783       488,531  

Boskalis Westminster

    10,512       307,691  

Euronext NV (c)

    6,712       490,332  

Gemalto NV

    9,780       597,187  

IMCD Group NV

    6,584       404,219  

Koninklijke Vopak NV

    8,298       406,681  

Philips Lighting NV (c)

    12,785       479,571  

SBM Offshore NV

    21,883       349,732  
   

 

 

 
      5,358,841  
   

 

 

 

PORTUGAL — 0.9%

   

Banco Comercial Portugues SA Class R (a)

    1,127,717       377,243  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

17


Table of Contents

SPDR EURO STOXX SMALL CAP ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SPAIN — 8.2%

   

Bolsas y Mercados Espanoles SHMSF SA

    9,206     $ 311,355  

Cellnex Telecom SA (c)

    19,254       513,609  

Distribuidora Internacional de Alimentacion SA (b)

    66,237       280,798  

Inmobiliaria Colonial Socimi SA REIT

    34,781       402,089  

Mapfre SA

    124,489       413,531  

Merlin Properties Socimi SA

    45,953       703,051  

Siemens Gamesa Renewable Energy SA (b)

    28,255       452,611  

Viscofan SA (b)

    4,900       338,074  
   

 

 

 
      3,415,118  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $39,188,165)

      41,427,116  
   

 

 

 

RIGHTS — 0.1%

   

FRANCE — 0.1%

   

Altran Technologies SA
(expires 4/9/18) (a) (b)
(Cost $0)

    19,342       32,356  
   

 

 

 

SHORT-TERM INVESTMENTS — 4.9%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    1,789       1,789  

Security Description

 

Shares

   

Value

 

State Street Navigator Securities
Lending Government Money
Market Portfolio (d) (f)

    2,031,488     $ 2,031,488  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,033,277)

 

    2,033,277  
   

 

 

 

TOTAL INVESTMENTS — 104.6%
(Cost $41,221,442)

      43,492,749  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER
ASSETS — (4.6)%

 

    (1,928,032
   

 

 

 

NET ASSETS — 100.0%

    $ 41,564,717  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 10.7% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

REIT =Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Austria

      $   872,863       $—       $—       $   872,863

Belgium

      2,997,075                   2,997,075

Finland

      2,013,130                   2,013,130

France

      10,925,052                   10,925,052

Germany

      9,435,668                   9,435,668

Ireland

      1,033,495                   1,033,495

Italy

      4,598,961                   4,598,961

Luxembourg

      399,670                   399,670

Netherlands

      5,358,841                   5,358,841

Portugal

      377,243                   377,243

Spain

      3,415,118                   3,415,118

Rights

               

France

      32,356                   32,356

Short-Term Investments

      2,033,277                   2,033,277
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 43,492,749       $—       $—     $ 43,492,749
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

18


Table of Contents

SPDR EURO STOXX SMALL CAP ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from

Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      720     $ 720     $    179,430     $    178,361     $     $       1,789     $        1,789     $      42     $

State Street Navigator Securities Lending Government Money Market Portfolio

                  3,947,581       1,916,093                   2,031,488       2,031,488       3,651      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 720     $ 4,127,011     $ 2,094,454     $     $         $ 2,033,277     $ 3,693     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

19


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AUSTRALIA — 2.4%

   

Alumina, Ltd.

    41,540     $ 75,197  

Amcor, Ltd.

    3,583       38,944  

AMP, Ltd.

    12,597       48,216  

Australia & New Zealand Banking Group, Ltd.

    2,819       58,080  

BHP Billiton PLC

    822       16,185  

BHP Billiton, Ltd.

    3,499       75,713  

Boral, Ltd.

    16,530       94,334  

Brambles, Ltd.

    8,403       64,326  

Coca-Cola Amatil, Ltd.

    4,110       27,333  

Commonwealth Bank of Australia

    929       51,527  

CSL, Ltd.

    1,602       191,031  

Fortescue Metals Group, Ltd.

    6,250       20,758  

Iluka Resources, Ltd.

    1,663       13,470  

Insurance Australia Group, Ltd.

    19,207       110,201  

LendLease Group

    9,913       131,621  

Macquarie Group, Ltd.

    1,682       132,759  

National Australia Bank, Ltd.

    3,755       82,059  

Newcrest Mining, Ltd.

    1,972       29,587  

Origin Energy, Ltd. (a)

    6,248       41,695  

Orora, Ltd.

    1,507       3,815  

OZ Minerals, Ltd.

    6,043       41,671  

QBE Insurance Group, Ltd.

    2,939       21,710  

Santos, Ltd. (a)

    7,327       28,494  

Scentre Group REIT

    8,770       25,765  

Shopping Centres Australasia Property Group REIT

    94,783       169,399  

Sonic Healthcare, Ltd.

    4,605       80,818  

South32, Ltd. (b)

    6,221       15,362  

Suncorp Group, Ltd.

    6,347       64,945  

Sydney Airport

    943       4,854  

Transurban Group Stapled Security

    6,703       58,716  

Vicinity Centres REIT

    32,610       60,283  

Wesfarmers, Ltd.

    3,839       122,382  

Westfield Corp. REIT

    7,039       46,002  

Westpac Banking Corp.

    4,243       93,147  

Woodside Petroleum, Ltd.

    1,804       40,461  

Woolworths, Ltd.

    1,428       28,797  
   

 

 

 
          2,209,657  
   

 

 

 

AUSTRIA — 0.1%

   

OMV AG

    1,687       98,095  
   

 

 

 

BELGIUM — 0.3%

   

Anheuser-Busch InBev SA

    981       107,715  

Solvay SA

    570       79,109  

UCB SA

    1,483       120,704  
   

 

 

 
      307,528  
   

 

 

 

BRAZIL — 0.8%

   

Ambev SA ADR

    12,779       92,903  

Banco Bradesco SA Preference Shares ADR

    10,314       122,530  

Cia Energetica de Minas Gerais ADR (c)

    7,152       18,452  

Cia Siderurgica Nacional SA ADR (a) (c)

    6,276       16,506  

 

Security Description

 

Shares

   

Value

 

Gerdau SA ADR

    5,672     $ 26,432  

Itau Unibanco Holding SA Preference Shares ADR

    8,148       127,109  

Petroleo Brasileiro SA Preference Shares ADR (a)

    9,465       122,951  

Petroleo Brasileiro SA ADR (a)

    3,229       45,658  

Tim Participacoes SA ADR (c)

    2,160       46,807  

Vale SA ADR (c)

    9,806       124,732  
   

 

 

 
          744,080  
   

 

 

 

CANADA — 2.9%

   

Aphria, Inc. (a) (c)

    700       6,239  

Aurora Cannabis, Inc. (a) (c)

    1,000       7,213  

Bank of Montreal

    921       69,522  

Bank of Nova Scotia

    1,161       71,466  

Barrick Gold Corp.

    1,797       22,371  

Brookfield Asset Management, Inc. Class A

    2,676       104,238  

Cameco Corp.

    2,394       21,744  

Canadian Imperial Bank of Commerce (c)

    419       36,958  

Canadian National Railway Co.

    1,814       132,485  

Canadian Natural Resources, Ltd.

    1,814       56,984  

Canadian Pacific Railway, Ltd.

    383       67,495  

Canadian Tire Corp., Ltd. Class A (c)

    443       58,208  

Canopy Growth Corp. (a)

    300       7,832  

Cenovus Energy, Inc.

    2,298       19,553  

Eldorado Gold Corp. (a) (c)

    2,470       2,069  

Enbridge, Inc. (b)

    2,052       64,493  

Enbridge, Inc. (b) (c)

    2,632       82,829  

Encana Corp.

    3,366       36,995  

Enerplus Corp.

    2,646       29,739  

First Majestic Silver Corp. (a) (c)

    8,089       49,503  

First Quantum Minerals, Ltd.

    1,280       17,960  

Goldcorp, Inc.

    1,761       24,300  

IAMGOLD Corp. (a)

    2,658       13,772  

IGM Financial, Inc. (c)

    707       20,658  

Imperial Oil, Ltd.

    1,316       34,828  

Just Energy Group, Inc.

    16,099       71,052  

Kinross Gold Corp. (a)

    3,893       15,370  

Loblaw Cos., Ltd.

    1,475       74,468  

Manulife Financial Corp.

    4,721       87,591  

National Bank of Canada

    2,489       117,070  

Nutrien, Ltd. (c)

    1,469       69,379  

Obsidian Energy, Ltd. (a)

    1,743       1,744  

Onex Corp.

    1,566       112,866  

Paramount Resources, Ltd. Class A (a) (c)

    2,907       33,439  

PrairieSky Royalty, Ltd. (c)

    24       524  

Rogers Communications, Inc. Class B

    2,494       111,309  

Royal Bank of Canada

    2,184       168,588  

Shaw Communications, Inc. Class B

    1,663       32,015  

SNC-Lavalin Group, Inc.

    1,042       45,721  

Sun Life Financial, Inc.

    2,573       105,594  

Suncor Energy, Inc.

    3,666       126,508  

Teck Resources, Ltd. Class B

    1,304       33,560  

TELUS Corp.

    3,523       123,623  
 

 

See accompanying notes to financial statements.

 

20


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

TMX Group, Ltd.

    18     $ 1,044  

Toronto-Dominion Bank

    3,489       197,852  

TransAlta Corp.

    4,083       22,105  

TransCanada Corp. (c)

    1,606       66,370  

Wheaton Precious Metals Corp

    1,173       23,883  

Yamana Gold, Inc. (c)

    3,594       9,924  
   

 

 

 
          2,711,053  
   

 

 

 

CHILE — 0.0% (d)

   

Enel Americas SA ADR

    1,244       14,455  

Enel Chile SA ADR

    690       4,416  

Enel Generacion Chile SA ADR

    310       7,375  

Liberty Latin America, Ltd. Class C (a)

    309       5,899  

Sociedad Quimica y Minera de Chile SA ADR (c)

    153       7,520  
   

 

 

 
      39,665  
   

 

 

 

CHINA — 3.4%

   

Agricultural Bank of China, Ltd. Class H

    84,000       47,735  

Alibaba Group Holding, Ltd. ADR (a) (c)

    2,036       373,688  

Baidu, Inc. ADR (a)

    500       111,595  

Bank of China, Ltd. Class H

    167,000       89,795  

Bank of Communications Co., Ltd. Class H

    60,000       47,017  

Baozun, Inc. ADR (a)

    2,948       135,254  

China Construction Bank Corp. Class H

    131,000       134,534  

China Life Insurance Co., Ltd. Class H

    23,000       63,300  

China Merchants Bank Co., Ltd. Class H

    29,174       119,509  

China Mobile, Ltd.

    11,500       105,427  

China Overseas Land & Investment, Ltd.

    24,000       83,330  

China Petroleum & Chemical Corp. Class H

    71,200       62,506  

China Pioneer Pharma Holdings, Ltd.

    360,000       114,216  

China Shenhua Energy Co., Ltd. Class H

    11,500       28,573  

China Telecom Corp., Ltd. Class H

    72,000       31,742  

China Unicom Hong Kong, Ltd. (a)

    24,000       30,274  

CITIC, Ltd.

    24,000       33,577  

CNOOC, Ltd.

    36,000       53,026  

COSCO SHIPPING Ports, Ltd.

    23,317       19,608  

Ctrip.com International, Ltd. ADR (a)

    700       32,634  

Health and Happiness H&H International Holdings, Ltd. (a)

    16,500       125,616  

Hengan International Group Co., Ltd.

    6,000       55,579  

Huaneng Power International, Inc. Class H

    48,000       32,231  

Industrial & Commercial Bank of China, Ltd. Class H

    132,000       113,191  

JD.com, Inc. ADR (a)

    1,200       48,588  

NetEase, Inc. ADR

    100       28,039  

Security Description

 

Shares

   

Value

 

New Oriental Education & Technology Group, Inc. ADR

    200     $ 17,530  

PetroChina Co., Ltd. Class H

    48,000       32,965  

PICC Property & Casualty Co., Ltd. Class H

    25,859       45,271  

Ping An Insurance Group Co. of China, Ltd. Class H

    12,000       122,014  

Shandong Xinhua Pharmaceutical Co., Ltd. Class H

    84,000       85,624  

TAL Education Group ADR

    500       18,545  

Tencent Holdings, Ltd.

    12,000       626,276  

Yanzhou Coal Mining Co., Ltd. Class H

    24,000       30,580  

YiChang HEC ChangJiang Pharmaceutical Co., Ltd. Class H (c) (e)

    1,400       6,449  

Yum China Holdings, Inc

    1,244       51,626  
   

 

 

 
          3,157,464  
   

 

 

 

COLOMBIA — 0.0% (d)

   

Bancolombia SA ADR

    260       10,925  
   

 

 

 

DENMARK — 0.7%

   

AP Moeller - Maersk A/S Class B

    60       92,501  

Danske Bank A/S

    2,040       75,866  

DSV A/S

    3,057       239,228  

Novo Nordisk A/S Class B

    4,542       222,944  
   

 

 

 
      630,539  
   

 

 

 

FINLAND — 0.4%

   

Fortum Oyj (c)

    1,590       34,123  

Metso Oyj

    945       29,764  

Nokia Oyj

    9,862       54,398  

Sampo Oyj Class A

    1,113       61,953  

UPM-Kymmene Oyj

    3,630       134,377  

Valmet Oyj (c)

    179       3,584  

Wartsila Oyj Abp

    3,231       71,327  
   

 

 

 
      389,526  
   

 

 

 

FRANCE — 3.2%

   

Accor SA

    1,990       107,319  

Airbus SE

    815       94,018  

Alstom SA

    1,471       66,232  

AXA SA

    3,834       101,849  

BNP Paribas SA

    2,035       150,590  

Bouygues SA

    1,167       58,428  

Capgemini SE

    1,435       178,601  

Carrefour SA

    2,427       50,295  

Credit Agricole SA

    4,166       67,657  

Danone SA

    1,153       93,206  

Engie SA

    1,956       32,608  

Essilor International Cie Generale d’Optique SA

    740       99,746  

Groupe Fnac SA (a)

    1,182       126,543  

Hermes International

    13       7,698  

Kering SA

    251       120,020  

LVMH Moet Hennessy Louis Vuitton SE

    395       121,545  

Orange SA

    5,584       94,668  

Pernod Ricard SA

    536       89,157  
 

 

See accompanying notes to financial statements.

 

21


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Publicis Groupe SA

    970     $ 67,497  

Renault SA

    1,351       163,660  

Sanofi

    1,785       143,418  

Schneider Electric SE

    1,292       113,357  

Societe Generale SA

    1,627       88,363  

Sodexo SA

    1,137       114,524  

TOTAL SA

    3,214       182,340  

Unibail-Rodamco SE REIT

    431       98,407  

Vallourec SA (a)(c)

    1,266       6,701  

Veolia Environnement SA

    3,431       81,207  

Vinci SA

    1,651       162,236  

Vivendi SA

    4,208       108,679  
   

 

 

 
      2,990,569  
   

 

 

 

GERMANY — 3.0%

   

adidas AG

    981       237,255  

Allianz SE

    921       207,736  

BASF SE

    1,483       150,414  

Bayer AG

    1,749       197,441  

Commerzbank AG (a)

    1,651       21,409  

CompuGroup Medical SE

    3,019       163,146  

Daimler AG

    2,052       174,056  

Deutsche Bank AG

    3,905       54,394  

Deutsche Boerse AG

    707       96,167  

Deutsche Lufthansa AG

    4,242       135,330  

Deutsche Post AG

    3,523       153,900  

Deutsche Telekom AG

    5,815       94,758  

E.ON SE

    3,642       40,401  

Fresenius Medical Care AG & Co. KGaA

    395       40,311  

Linde AG (a)

    251       52,817  

MAN SE

    335       39,037  

Merck KGaA

    1,244       119,182  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    536       124,490  

OSRAM Licht AG

    14       1,029  

RWE AG (a)

    1,220       30,098  

Salzgitter AG

    1,292       66,006  

SAP SE

    1,814       189,564  

Siemens AG

    1,443       183,714  

ThyssenKrupp AG

    2,274       59,262  

Uniper SE

    331       10,075  

Volkswagen AG

    431       86,189  

Volkswagen AG Preference Shares

    395       78,397  
   

 

 

 
          2,806,578  
   

 

 

 

HONG KONG — 1.4%

   

AIA Group, Ltd.

    16,800       142,135  

Bank of East Asia, Ltd.

    16,611       66,247  

CK Asset Holdings, Ltd.

    18,920       158,745  

CK Hutchison Holdings, Ltd.

    11,420       136,633  

Global Brands Group Holding, Ltd. (a)

    8,000       449  

Hang Lung Properties, Ltd.

    12,000       27,950  

Henderson Land Development Co., Ltd.

    15,406       100,308  

Hong Kong Exchanges & Clearing, Ltd.

    3,795       123,400  

Security Description

 

Shares

   

Value

 

Li & Fung, Ltd.

    24,000     $ 11,743  

Li Bao Ge Group, Ltd.

    150,000       7,741  

Link REIT

    12,058       102,938  

New World Development Co., Ltd.

    40,993       57,873  

Sands China, Ltd.

    9,600       51,619  

Shangri-La Asia, Ltd.

    24,000       48,316  

Sun Hung Kai Properties, Ltd.

    12,253       193,592  

Swire Pacific, Ltd. Class A

    6,000       60,510  
   

 

 

 
          1,290,199  
   

 

 

 

HUNGARY — 0.1%

   

MOL Hungarian Oil & Gas PLC

    2,200       24,025  

Richter Gedeon Nyrt

    2,238       46,773  
   

 

 

 
      70,798  
   

 

 

 

INDIA — 0.9%

   

Dr Reddy’s Laboratories, Ltd. ADR (c)

    2,554       83,490  

ICICI Bank, Ltd. ADR

    8,764       77,561  

Infosys, Ltd. ADR (c)

    11,147       198,974  

Larsen & Toubro, Ltd. GDR

    3,746       75,295  

Mahindra & Mahindra, Ltd., GDR

    3,446       39,629  

Reliance Industries, Ltd. GDR (e)

    3,960       107,316  

State Bank of India GDR

    1,669       64,423  

Tata Motors, Ltd. ADR (a)

    2,380       61,166  

Vedanta, Ltd. ADR

    3,722       65,396  

Wipro, Ltd. ADR

    10,614       54,768  
   

 

 

 
      828,018  
   

 

 

 

INDONESIA — 0.4%

   

Astra International Tbk PT

    60,800       32,238  

Bank Central Asia Tbk PT

    54,800       92,743  

Bank Mandiri Persero Tbk PT

    109,600       61,099  

Bank Rakyat Indonesia Persero Tbk PT

    321,000       83,937  

Gudang Garam Tbk PT

    6,000       31,585  

Telekomunikasi Indonesia Persero Tbk PT

    402,400       105,222  
   

 

 

 
      406,824  
   

 

 

 

IRELAND — 0.1%

   

CRH PLC

    1,970       66,797  

Prothena Corp. PLC (a)

    1,813       66,555  
   

 

 

 
      133,352  
   

 

 

 

ISRAEL — 0.3%

   

Bank Hapoalim BM

    8,316       56,943  

Bank Leumi Le-Israel BM

    37,874       227,728  

Teva Pharmaceutical Industries, Ltd. ADR

    1,423       24,319  
   

 

 

 
      308,990  
   

 

 

 

ITALY — 0.7%

   

Assicurazioni Generali SpA

    3,450       66,297  

Atlantia SpA

    923       28,549  

Banca Monte dei Paschi di Siena SpA (a)(c)

    90       285  

Enel SpA

    15,198       92,896  

Eni SpA

    5,232       91,937  

Ferrari NV

    277       33,229  
 

 

See accompanying notes to financial statements.

 

22


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Intesa Sanpaolo SpA

    27,419     $ 99,596  

Italgas SpA

    1,720       10,272  

Luxottica Group SpA

    369       22,918  

Mediaset SpA (a)

    13,484       51,607  

Saipem SpA (a)

    1,573       6,156  

Snam SpA

    8,606       39,510  

Telecom Italia SpA/Milano (a)

    64,065       60,747  

UniCredit SpA (a)

    3,642       76,091  
   

 

 

 
      680,090  
   

 

 

 

JAPAN — 8.2%

   

Aisin Seiki Co., Ltd.

    1,200       64,767  

Asahi Group Holdings, Ltd.

    1,200       64,203  

Asahi Kasei Corp.

    12,000       157,800  

Astellas Pharma, Inc.

    6,000       91,171  

Bridgestone Corp.

    1,200       52,220  

Canon, Inc.

    1,200       43,441  

Credit Saison Co., Ltd.

    2,400       39,583  

Daiichi Sankyo Co., Ltd.

    3,600       119,661  

Daikin Industries, Ltd.

    1,200       131,396  

Daiwa Securities Group, Inc.

    12,000       76,310  

Denso Corp.

    2,400       130,482  

Eisai Co., Ltd. (c)

    1,200       76,570  

FUJIFILM Holdings Corp.

    2,400       94,691  

Fujitsu, Ltd.

    11,000       66,093  

Hitachi, Ltd.

    12,000       86,104  

Hokuhoku Financial Group, Inc. (c)

    2,400       32,654  

Honda Motor Co., Ltd.

    2,400       82,166  

Hoya Corp.

    2,400       119,808  

Istyle, Inc.

    500       6,996  

ITOCHU Corp. (c)

    3,600       69,444  

Japan Tobacco, Inc.

    2,400       68,491  

JFE Holdings, Inc.

    2,400       47,786  

JSR Corp.

    2,400       53,326  

JXTG Holdings, Inc.

    6,000       35,972  

Kajima Corp.

    12,000       111,368  

Kamigumi Co., Ltd.

    6,000       132,807  

Kansai Electric Power Co., Inc.

    2,400       31,120  

KDDI Corp.

    7,200       183,165  

Kobe Steel, Ltd. (a)

    3,600       35,306  

Komatsu, Ltd.

    2,400       79,097  

Konica Minolta, Inc. (c)

    6,000       50,381  

Kyocera Corp.

    2,400       133,755  

Makita Corp.

    2,400       117,348  

Marubeni Corp.

    12,000       86,511  

Marui Group Co., Ltd. (c)

    4,300       85,717  

Mebuki Financial Group, Inc.

    12,800       49,106  

Mitsubishi Chemical Holdings Corp.

    6,000       57,546  

Mitsubishi Corp.

    2,400       63,763  

Mitsubishi Electric Corp.

    12,000       191,763  

Mitsubishi Heavy Industries, Ltd. (c)

    1,200       45,800  

Mitsubishi UFJ Financial Group, Inc.

    21,500       140,766  

Mitsui & Co., Ltd.

    2,400       40,846  

Mizuho Financial Group, Inc.

    44,300       79,769  

MS&AD Insurance Group Holdings, Inc.

    2,400       73,929  

Security Description

 

Shares

   

Value

 

Murata Manufacturing Co., Ltd.

    1,200     $ 163,498  

NanoCarrier Co., Ltd. (a)(c)

    800       5,439  

NEC Corp.

    200       5,567  

Nintendo Co., Ltd. (c)

    400       175,496  

Nippon Steel & Sumitomo Metal Corp.

    3,500       75,957  

Nippon Yusen KK

    2,400       46,511  

Nissan Motor Co., Ltd. (c)

    4,800       49,399  

Nitto Denko Corp.

    1,200       89,275  

Nomura Holdings, Inc.

    11,900       68,390  

NTT Data Corp.

    6,000       62,228  

NTT DOCOMO, Inc.

    1,900       48,049  

Obayashi Corp.

    12,000       130,437  

ORIX Corp.

    4,800       84,784  

Osaka Gas Co., Ltd. (c)

    2,400       47,323  

Panasonic Corp.

    7,200       101,788  

Resona Holdings, Inc.

    7,200       38,244  

Rohm Co., Ltd.

    1,200       111,707  

Secom Co., Ltd.

    1,200       88,350  

Seven & i Holdings Co., Ltd.

    1,200       51,137  

Shin-Etsu Chemical Co., Ltd.

    1,200       122,708  

SoftBank Group Corp.

    2,400       176,158  

Sompo Holdings, Inc.

    2,400       95,707  

Sony Corp.

    3,600       172,976  

Sumitomo Chemical Co., Ltd.

    12,000       68,604  

Sumitomo Corp.

    2,400       39,695  

Sumitomo Electric Industries, Ltd.

    3,600       54,381  

Sumitomo Mitsui Financial Group, Inc.

    2,400       100,446  

Sumitomo Mitsui Trust Holdings, Inc.

    1,200       48,553  

T&D Holdings, Inc.

    4,800       75,532  

Takeda Pharmaceutical Co., Ltd.

    1,200       57,772  

TDK Corp.

    1,200       105,049  

Teijin, Ltd.

    2,400       45,134  

Terumo Corp.

    2,400       123,667  

Tokio Marine Holdings, Inc.

    2,400       107,712  

Tokyo Electron, Ltd.

    1,100       198,745  

Tokyu Corp.

    5,500       86,004  

Toppan Printing Co., Ltd.

    12,000       97,489  

Toshiba Corp. (a)

    12,000       34,528  

Toyota Motor Corp.

    4,800       308,807  

Toyota Tsusho Corp.

    3,600       120,000  

UNITED, Inc.

    200       7,917  

West Japan Railway Co.

    1,200       84,344  

Yamada Denki Co., Ltd. (c)

    4,800       28,931  

Yamaha Corp.

    3,900       168,872  
   

 

 

 
      7,574,308  
   

 

 

 

LUXEMBOURG — 0.1%

   

ArcelorMittal (a)

    1,371       43,333  
   

 

 

 

MALAYSIA — 0.1%

   

CIMB Group Holdings Bhd

    12,279       22,729  

Malayan Banking Bhd

    8,160       22,193  

Public Bank Bhd

    5,200       32,265  

Tenaga Nasional Bhd

    6,100       25,485  
   

 

 

 
      102,672  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

23


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

MEXICO — 0.4%

   

America Movil SAB de CV Series L

    93,026     $ 87,912  

Cemex SAB de CV Series CPO (a)

    47,666       31,414  

Fomento Economico Mexicano SAB de CV

    9,562       86,864  

Grupo Financiero Banorte SAB de CV Series O

    9,204       56,035  

Grupo Mexico SAB de CV Series B

    15,308       50,779  

Grupo Televisa SAB Series CPO

    8,133       25,767  

Industrias Penoles SAB de CV

    620       12,475  
   

 

 

 
      351,246  
   

 

 

 

NETHERLANDS — 1.6%

   

Akzo Nobel NV

    972       91,736  

ASML Holding NV

    875       172,341  

Heineken NV

    647       69,466  

ING Groep NV

    8,398       141,498  

Koninklijke Ahold Delhaize NV

    3,577       84,649  

Koninklijke DSM NV

    1,153       114,349  

Koninklijke KPN NV

    11,057       33,139  

Koninklijke Philips NV

    3,480       133,382  

Royal Dutch Shell PLC Class A

    2,293       71,843  

Royal Dutch Shell PLC Class B

    11,878       379,404  

Wolters Kluwer NV

    3,630       192,816  
   

 

 

 
              1,484,623  
   

 

 

 

NORWAY — 0.3%

   

DNB ASA

    4,506       87,326  

Norsk Hydro ASA

    13,852       81,073  

Telenor ASA

    3,690       83,191  

Yara International ASA

    768       32,389  
   

 

 

 
      283,979  
   

 

 

 

PERU — 0.0% (d)

   

Cia de Minas Buenaventura SAA ADR

    324       4,935  
   

 

 

 

PHILIPPINES — 0.0% (d)

   

PLDT, Inc. ADR

    897       25,448  
   

 

 

 

POLAND — 0.0% (d)

   

Polski Koncern Naftowy ORLEN SA

    538       13,212  

Powszechna Kasa Oszczednosci Bank Polski SA (a)

    1,684       19,882  
   

 

 

 
      33,094  
   

 

 

 

RUSSIA — 0.4%

   

Gazprom PJSC ADR (b)

    1,770       8,613  

Gazprom PJSC ADR (b)

    803       3,959  

LUKOIL PJSC ADR

    1,185       82,026  

MMC Norilsk Nickel PJSC ADR (c)

    1,447       27,059  

Mobile TeleSystems PJSC ADR

    2,262       25,764  

RusHydro PJSC ADR (b)

    1,077       1,314  

RusHydro PJSC ADR (b)

    579       728  

Sberbank of Russia PJSC ADR (b)

    4,626       86,182  

Sberbank of Russia PJSC ADR (b)

    427       7,963  

Surgutneftegas OJSC ADR

    445       2,234  

Tatneft PJSC ADR (b)

    1,097       69,243  

Tatneft PJSC ADR (b)

    96       6,166  
   

 

 

 
      321,251  
   

 

 

 

Security Description

 

Shares

   

Value

 

SINGAPORE — 0.6%

   

Broadcom, Ltd.

    929     $         218,919  

CapitaLand, Ltd.

    36,000       98,009  

Singapore Exchange, Ltd.

    24,000       134,889  

Singapore Press Holdings, Ltd. (c)

    24,000       46,122  

Singapore Telecommunications, Ltd.

    12,000       30,840  
   

 

 

 
      528,779  
   

 

 

 

SOUTH AFRICA — 0.8%

   

AngloGold Ashanti, Ltd.

    1,053       10,000  

Discovery, Ltd. (c)

    15,747       226,595  

FirstRand, Ltd. (c)

    13,266       74,902  

Gold Fields, Ltd.

    2,554       10,342  

Harmony Gold Mining Co., Ltd.

    2,422       5,750  

Impala Platinum Holdings, Ltd. (a) (c)

    1,639       3,256  

MTN Group, Ltd. (c)

    4,899       49,210  

Naspers, Ltd. Class N

    780       190,369  

Sanlam, Ltd. (c)

    12,283       88,426  

Sasol, Ltd.

    945       32,160  

Sibanye Gold, Ltd.

    2,507       2,490  

Standard Bank Group, Ltd. (c)

    3,174       58,579  
   

 

 

 
      752,079  
   

 

 

 

SOUTH KOREA — 2.1%

   

Able C&C Co., Ltd. (a)

    5,776       101,875  

Ahnlab, Inc.

    111       8,841  

Aprogen pharmaceuticals, Inc. (a)

    2,268       8,926  

Cell Biotech Co., Ltd.

    341       15,516  

Celltrion, Inc. (a)

    106       31,525  

CMG Pharmaceutical Co., Ltd. (a)

    1,212       7,664  

CrystalGenomics, Inc. (a)

    307       7,114  

Dae Hwa Pharmaceutical Co., Ltd.

    418       11,726  

DIO Corp. (a)

    1,932       80,931  

E-MART, Inc.

    27       6,852  

Genexine Co., Ltd. (a)

    93       8,917  

Green Cross Cell Corp.

    209       10,961  

Hana Financial Group, Inc.

    410       17,540  

Hanall Biopharma Co., Ltd. (a)

    262       7,939  

Humedix Co., Ltd.

    209       8,755  

Huons Co., Ltd.

    92       9,287  

Hyundai Construction Equipment Co., Ltd. (a)

    4       662  

Hyundai Electric & Energy System Co., Ltd. (a)

    4       308  

Hyundai Heavy Industries Co., Ltd. (a)

    35       4,515  

Hyundai Mobis Co., Ltd.

    167       39,795  

Hyundai Motor Co.

    373       50,216  

Hyundai Robotics Co., Ltd. (a)

    6       2,398  

Hyundai Steel Co.

    163       7,891  

iNtRON Biotechnology, Inc. (a)

    214       8,784  

Jayjun Cosmetic Co., Ltd. (a)

    592       10,941  

JW Holdings Corp.

    4,923       37,919  

JW Pharmaceutical Corp.

    1,048       41,540  

KB Financial Group, Inc.

    903       52,186  

Kia Motors Corp.

    300       8,964  

Korea Electric Power Corp. ADR (a) (c)

    990       15,236  
 

 

See accompanying notes to financial statements.

 

24


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

KT&G Corp.

    336     $ 31,523  

LG Chem, Ltd. Preference Shares

    507               102,504  

LG Electronics, Inc.

    129       13,192  

LG Household & Health Care, Ltd.

    53       59,270  

Lotte Chemical Corp.

    17       6,906  

NAVER Corp.

    95       70,054  

NHN Entertainment Corp. (a)

    33       2,090  

NUTRIBIOTECH Co., Ltd. (a)

    353       7,799  

PHARMA RESEARCH PRODUCTS Co., Ltd.

    146       7,369  

POSCO ADR (a)

    1,356       106,921  

Samsung C&T Corp.

    158       20,308  

Samsung Electronics Co., Ltd. GDR

    430       492,780  

Samsung Engineering Co., Ltd. (a)

    355       6,161  

Samsung Fire & Marine Insurance Co., Ltd.

    89       22,377  

Samsung Heavy Industries Co., Ltd. (a)

    692       5,116  

Samsung Securities Co., Ltd.

    351       12,941  

SeAH Steel Corp.

    1,504       118,243  

Sejong Telecom, Inc. (a)

    13,717       7,914  

Shinhan Financial Group Co., Ltd.

    903       38,250  

SillaJen, Inc. (a)

    82       8,239  

SK Holdings Co., Ltd.

    86       24,084  

SK Hynix, Inc.

    1,395       105,093  

SK Innovation Co., Ltd.

    68       13,397  

ViroMed Co., Ltd. (a)

    36       7,464  

Whanin Pharmaceutical Co., Ltd.

    722       16,934  
   

 

 

 
      1,932,653  
   

 

 

 

SPAIN — 1.0%

   

Acciona SA (c)

    1,582       120,084  

Acerinox SA (c)

    3,629       50,634  

ACS Actividades de Construccion y Servicios SA

    2,837       110,429  

Amadeus IT Group SA

    1,206       88,962  

Banco Bilbao Vizcaya Argentaria SA

    10,804       85,424  

Banco Santander SA

    24,626       160,366  

Iberdrola SA

    9,774       71,787  

Industria de Diseno Textil SA

    2,405       75,217  

Repsol SA

    1,841       32,638  

Telefonica SA

    8,707       85,966  
   

 

 

 
      881,507  
   

 

 

 

SWEDEN — 1.0%

   

Assa Abloy AB Class B

    4,095       88,185  

Atlas Copco AB Class B

    3,810       147,627  

Nordea Bank AB

    6,612       70,345  

Sandvik AB

    3,547       64,567  

Securitas AB Class B

    5,512       93,295  

Skandinaviska Enskilda Banken AB Class A

    8,340       87,077  

Skanska AB Class B

    3,618       73,723  

SKF AB Class B (c)

    2,573       52,383  

Svenska Handelsbanken AB Class A

    3,383       42,092  

Tele2 AB Class B

    2,530       30,255  

Telefonaktiebolaget LM Ericsson Class B (c)

    6,751       42,659  

Security Description

 

Shares

   

Value

 

Telia Co. AB

    5,815     $ 27,225  

Volvo AB Class A

    5,565       101,335  
   

 

 

 
      920,768  
   

 

 

 

SWITZERLAND — 2.8%

   

ABB, Ltd.

    5,027       119,270  

Adecco Group AG

    969       68,810  

Cie Financiere Richemont SA

    1,363       122,066  

Credit Suisse Group AG (a)

    4,248       70,933  

Ferguson PLC

    1,053       79,086  

Geberit AG

    395       174,236  

Givaudan SA

    48       109,073  

Glencore PLC (a)

    6,604       32,776  

Kuehne + Nagel International AG

    466       73,141  

LafargeHolcim, Ltd. (a)

    930       50,793  

Nestle SA

    4,818       380,469  

Novartis AG

    3,281       264,714  

Roche Holding AG

    1,220       279,137  

SGS SA

    48       117,694  

Swatch Group AG

    144       63,368  

Swiss Re AG

    1,173       119,162  

TE Connectivity, Ltd.

    2,482       247,952  

TRANSOCEAN, Ltd. (a)

    885       8,734  

UBS Group AG (a)

    6,826       119,719  

Zurich Insurance Group AG (a)

    239       78,219  
   

 

 

 
              2,579,352  
   

 

 

 

TAIWAN — 1.4%

   

Advanced Semiconductor Engineering, Inc. ADR

    14,349       104,174  

AU Optronics Corp. ADR (c)

    24,401       111,513  

Chunghwa Telecom Co., Ltd. ADR

    3,269       127,033  

Hon Hai Precision Industry Co., Ltd. GDR

    25,771       160,296  

Siliconware Precision Industries Co., Ltd. ADR (c)

    16,934       146,479  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    11,449       501,008  

United Microelectronics Corp. ADR (c)

    48,217       124,882  
   

 

 

 
      1,275,385  
   

 

 

 

THAILAND — 0.2%

   

Bangkok Bank PCL (f)

    13,200       90,336  

CP ALL PCL NVDR

    8,900       24,833  

Kasikornbank PCL NVDR

    2,100       14,237  

PTT PCL (f)

    2,400       42,059  

Siam Commercial Bank PCL NVDR

    3,200       14,685  
   

 

 

 
      186,150  
   

 

 

 

TURKEY — 0.1%

   

Akbank Turk A/S

    9,083       21,920  

Emlak Konut Gayrimenkul Yatirim Ortakligi A/S REIT (a)

    49,741       31,768  

Turkiye Garanti Bankasi A/S

    10,507       28,910  

Turkiye Is Bankasi A/S Class C

    24,114       43,402  
   

 

 

 
      126,000  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

25


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

UNITED KINGDOM — 5.7%

   

3i Group PLC

    22,031     $         265,475  

Anglo American PLC (c)

    2,770       64,542  

AstraZeneca PLC

    2,196       150,808  

BAE Systems PLC

    11,076       90,335  

Barclays PLC

    30,004       86,915  

BP PLC

    25,447       171,078  

British American Tobacco PLC

    2,054       119,029  

British Land Co. PLC REIT

    7,942       71,525  

BT Group PLC

    25,842       82,471  

Burberry Group PLC

    1,968       46,822  

Capita PLC

    6,676       13,490  

CNH Industrial NV

    1,712       21,118  

Cobham PLC (a)

    69,090       119,114  

Compass Group PLC

    5,391       110,072  

CYBG PLC

    934       3,862  

Diageo PLC

    3,378       114,296  

Experian PLC

    4,616       99,558  

Fiat Chrysler Automobiles NV

    2,122       43,066  

G4S PLC

    7,743       26,948  

GlaxoSmithKline PLC

    7,767       151,884  

Hammerson PLC REIT (c)

    12,777       96,178  

HSBC Holdings PLC

    31,620       295,148  

Imperial Brands PLC

    1,244       42,336  

Indivior PLC (a)

    946       5,409  

InterContinental Hotels Group PLC

    2,496       149,439  

J Sainsbury PLC

    9,155       30,668  

Land Securities Group PLC REIT

    5,134       67,490  

Liberty Global PLC Class A (a)

    1,244       38,950  

Liberty Global PLC Series C (a)

    2,220       67,555  

Lloyds Banking Group PLC

    107,617       97,614  

Lonmin PLC (a) (c)

    13       11  

Marks & Spencer Group PLC

    12,641       47,914  

Micro Focus International PLC ADR

    683       9,589  

National Grid PLC

    2,355       26,501  

Next PLC

    897       59,883  

Old Mutual PLC

    18,636       62,559  

Pearson PLC

    1,483       15,582  

Pentair PLC

    143       9,743  

Prudential PLC

    6,031       150,466  

Randgold Resources, Ltd.

    367       30,282  

Reckitt Benckiser Group PLC

    993       84,052  

RELX NV

    6,531       135,181  

RELX PLC

    3,869       79,512  

Rio Tinto PLC

    2,668       135,148  

Rio Tinto, Ltd.

    208       11,599  

Rolls-Royce Holdings PLC (a)

    3,929       48,039  

RSA Insurance Group PLC

    8,770       77,506  

Sage Group PLC

    21,128       189,448  

Severn Trent PLC

    3,105       80,319  

Shire PLC ADR

    92       13,744  

Shire PLC

    717       35,912  

Sky PLC

    2,494       45,394  

Smith & Nephew PLC

    5,632       105,157  

Smiths Group PLC

    4,337       92,081  

SSE PLC

    2,334       41,778  

Standard Chartered PLC

    6,071       60,696  

Security Description

 

Shares

   

Value

 

Standard Life Aberdeen PLC

    20,882     $ 105,368  

TechnipFMC PLC (b)

    2,482       73,095  

TechnipFMC PLC (b)

    1,286       37,373  

Tesco PLC

    14,684       42,413  

Tullow Oil PLC (a)

    3,334       9,167  

Unilever NV

    2,492       140,582  

Unilever PLC

    1,901       105,482  

United Utilities Group PLC

    5,524       55,437  

Vodafone Group PLC

    45,308       123,443  

Whitbread PLC

    3,545       183,998  

WPP PLC

    4,276       67,932  
   

 

 

 
              5,335,581  
   

 

 

 

UNITED STATES — 51.5%

   

3M Co.

    1,244       273,083  

Abbott Laboratories

    4,642       278,149  

AbbVie, Inc.

    1,220       115,473  

Abeona Therapeutics, Inc. (a) (c)

    500       7,175  

Accenture PLC Class A

    1,244       190,954  

Adient PLC (c)

    13       777  

Adobe Systems, Inc. (a)

    1,922       415,306  

AdvanSix, Inc. (a)

    88       3,061  

Aetna, Inc.

    1,877       317,213  

Aflac, Inc.

    4,964       217,225  

Agenus, Inc. (a) (c)

    1,900       8,949  

Agilent Technologies, Inc.

    2,482       166,046  

AGNC Investment Corp. REIT

    1,244       23,536  

Alexion Pharmaceuticals, Inc. (a)

    944       105,218  

Allegion PLC

    406       34,628  

Allergan PLC

    463       77,918  

Allstate Corp.

    2,482       235,294  

Alphabet, Inc. Class A (a)

    608       630,581  

Alphabet, Inc. Class C (a)

    608       627,328  

Altria Group, Inc.

    2,482       154,678  

Amazon.com, Inc. (a)

    802       1,160,767  

American Electric Power Co., Inc.

    2,482       170,240  

American Express Co.

    2,482       231,521  

American Tower Corp. REIT

    1,244       180,803  

Amgen, Inc.

    2,124       362,099  

Anadarko Petroleum Corp.

    1,244       75,150  

Annaly Capital Management, Inc. REIT

    2,482       25,887  

Anthem, Inc.

    1,244       273,307  

Apache Corp.

    1,244       47,869  

Apple, Inc.

    8,713       1,461,867  

Applied Materials, Inc.

    5,389       299,682  

Archer-Daniels-Midland Co.

    3,726       161,597  

AT&T, Inc.

    11,045       393,754  

Automatic Data Processing, Inc.

    1,244       141,169  

Baker Hughes a GE Co.

    1,884       52,319  

Bank of America Corp.

    21,134       633,809  

Bank of New York Mellon Corp.

    3,726       192,001  

Baxter International, Inc.

    2,429       157,982  

Becton Dickinson and Co.

    1,244       269,575  

Bed Bath & Beyond, Inc.

    1,244       26,112  

Bellicum Pharmaceuticals, Inc. (a) (c)

    1,500       9,840  

Berkshire Hathaway, Inc. Class B (a)

    1,444       288,049  

Biogen, Inc. (a)

    763       208,925  
 

 

See accompanying notes to financial statements.

 

26


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Boeing Co.

    1,244     $         407,883  

Booking Holdings, Inc. (a)

    92       191,396  

Brighthouse Financial, Inc. (a)

    367       18,864  

Bristol-Myers Squibb Co.

    3,726       235,669  

C.H. Robinson Worldwide, Inc.

    1,244       116,575  

California Resources Corp. (a) (c)

    81       1,389  

Calithera Biosciences, Inc. (a)

    1,000       6,300  

Capital One Financial Corp.

    1,244       119,200  

Cara Therapeutics, Inc. (a) (c)

    700       8,666  

Carnival Corp.

    1,244       81,581  

Caterpillar, Inc.

    1,244       183,341  

CBS Corp. Class B

    2,214       113,777  

CDK Global, Inc.

    409       25,906  

Celgene Corp. (a)

    2,489       222,044  

CenturyLink, Inc.

    2,482       40,779  

Charles Schwab Corp.

    6,214       324,495  

Charter Communications, Inc. Class A (a)

    529       164,635  

Chemours Co.

    422       20,556  

Chesapeake Energy Corp. (a) (c)

    3,726       11,252  

Chevron Corp.

    3,122       356,033  

Chubb, Ltd.

    1,895       259,179  

Church & Dwight Co., Inc.

    3,755       189,102  

Cisco Systems, Inc.

    12,415       532,479  

Citigroup, Inc.

    6,214       419,445  

Citrix Systems, Inc. (a)

    1,244       115,443  

Clorox Co.

    1,244       165,589  

Coca-Cola Co.

    4,977       216,151  

Cognizant Technology Solutions Corp. Class A

    2,489       200,364  

Colgate-Palmolive Co.

    2,482       177,910  

Comcast Corp. Class A

    6,410       219,030  

CommerceHub, Inc. Class A (a)

    46       1,035  

CommerceHub, Inc. Series C (a)

    105       2,361  

Community Healthcare Trust, Inc. REIT (c)

    400       10,296  

Conagra Brands, Inc.

    2,482       91,536  

ConocoPhillips

    2,482       147,158  

Corning, Inc.

    4,977       138,759  

Costco Wholesale Corp.

    1,244       234,407  

Coty, Inc. Class A (c)

    659       12,060  

CSX Corp.

    3,177       176,991  

Cummins, Inc.

    1,244       201,640  

CVS Health Corp.

    2,482       154,405  

Danaher Corp.

    2,482       243,013  

Deere & Co.

    1,244       193,218  

Dell Technologies, Inc. Class V (a)

    555       40,632  

Devon Energy Corp.

    1,244       39,547  

Discover Financial Services

    2,482       178,530  

Dollar Tree, Inc. (a)

    1,675       158,957  

DowDuPont, Inc.

    6,907       440,045  

Duke Energy Corp.

    1,351       104,662  

DXC Technology Co.

    460       46,244  

Easterly Government Properties, Inc. REIT (c)

    7,000       142,800  

Eaton Corp. PLC

    2,482       198,337  

eBay, Inc. (a)

    3,726       149,934  

Ecolab, Inc.

    1,244       170,515  

Security Description

 

Shares

   

Value

 

Edison International

    2,482     $         158,004  

Eli Lilly & Co.

    2,482       192,032  

Emerson Electric Co.

    2,482       169,521  

Entercom Communications Corp. Class A (c)

    1,453       14,021  

EOG Resources, Inc.

    2,489       262,017  

Equity Residential REIT

    1,244       76,655  

Estee Lauder Cos., Inc. Class A

    1,244       186,252  

Exelon Corp.

    2,482       96,823  

Express Scripts Holding Co. (a)

    1,736       119,923  

Exxon Mobil Corp.

    6,652       496,306  

Facebook, Inc. Class A (a)

    3,299       527,147  

Fastenal Co. (c)

    1,244       67,910  

FedEx Corp.

    1,244       298,697  

FirstEnergy Corp.

    2,482       84,413  

Ford Motor Co.

    9,934       110,069  

Fortive Corp.

    1,241       96,202  

Franklin Resources, Inc.

    3,726       129,218  

Freeport-McMoRan, Inc. (a)

    2,482       43,609  

GCI Liberty, Inc. Class A (a)

    314       16,598  

General Dynamics Corp.

    1,244       274,800  

General Electric Co.

    17,316       233,420  

General Mills, Inc.

    1,244       56,055  

General Motors Co.

    2,482       90,196  

Geron Corp. (a) (c)

    3,100       13,175  

Gilead Sciences, Inc.

    3,293       248,259  

Gladstone Commercial Corp. REIT

    4,500       78,030  

Goldman Sachs Group, Inc.

    1,244       313,314  

Halliburton Co.

    2,482       116,505  

Halyard Health, Inc. (a)

    155       7,142  

HCP, Inc. REIT

    3,726       86,555  

Hershey Co.

    1,244       123,106  

Hess Corp.

    1,244       62,971  

Hewlett Packard Enterprise Co.

    4,977       87,297  

Home Depot, Inc.

    2,482       442,392  

Honeywell International, Inc.

    2,482       358,674  

Hovnanian Enterprises, Inc. Class A (a)

    6,700       12,261  

HP, Inc.

    4,977       109,096  

Illinois Tool Works, Inc.

    1,877       294,051  

ImmunoGen, Inc. (a) (c)

    700       7,364  

Ingersoll-Rand PLC

    2,482       212,236  

Intel Corp.

    9,534       496,531  

International Business Machines Corp.

    2,004       307,474  

Intuit, Inc.

    1,244       215,647  

Iron Mountain, Inc. REIT

    91       2,990  

Iron Mountain, Inc. (c)

    29       952  

J.M. Smucker Co.

    1,244       154,268  

Johnson & Johnson

    3,726       477,487  

Johnson Controls International PLC

    3,290       115,940  

JPMorgan Chase & Co.

    7,457       820,046  

Juniper Networks, Inc.

    2,482       60,387  

Kellogg Co. (c)

    1,244       80,872  

Keysight Technologies, Inc. (a)

    1,243       65,121  

Kimberly-Clark Corp.

    1,244       137,002  

Kinder Morgan, Inc.

    3,586       54,005  

Kohl’s Corp. (c)

    1,244       81,494  
 

 

See accompanying notes to financial statements.

 

27


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Kraft Heinz Co.

    203     $ 12,645  

L Brands, Inc. (c)

    1,577       60,257  

Lamb Weston Holdings, Inc.

    826       48,090  

Las Vegas Sands Corp.

    1,244       89,444  

Leidos Holdings, Inc.

    313       20,470  

Liberty Expedia Holdings, Inc. Class A (a)

    210       8,249  

Liberty Interactive Corp. QVC Group Class A (a)

    2,482       62,472  

Liberty TripAdvisor Holdings, Inc. Class A (a)

    168       1,806  

Lockheed Martin Corp.

    1,002       338,606  

LogMeIn, Inc.

    213       24,612  

Lowe’s Cos., Inc.

    3,726               326,956  

LyondellBasell Industries NV Class A

    1,244       131,466  

Macy’s, Inc. (c)

    2,482       73,815  

Mallinckrodt PLC (a)

    155       2,244  

Marathon Oil Corp.

    3,726       60,100  

Marathon Petroleum Corp.

    2,490       182,044  

Marsh & McLennan Cos., Inc.

    2,482       204,988  

Mastercard, Inc. Class A

    800       140,128  

Mattel, Inc. (c)

    3,477       45,723  

McCormick & Co., Inc.

    1,870       198,949  

McDonald’s Corp.

    1,244       194,537  

McKesson Corp.

    944       132,981  

Medtronic PLC

    5,150       413,133  

Merck & Co., Inc.

    4,977       271,097  

MetLife, Inc.

    3,726       170,986  

Microsoft Corp.

    13,664       1,247,113  

Mondelez International, Inc. Class A

    1,244       51,912  

Monsanto Co.

    1,244       145,162  

Morgan Stanley

    3,726       201,055  

Mosaic Co.

    1,244       30,204  

National Oilwell Varco, Inc.

    1,244       45,792  

Nektar Therapeutics (a)

    100       10,626  

NetApp, Inc.

    1,244       76,742  

Netflix, Inc. (a)

    200       59,070  

Newmont Mining Corp.

    1,244       48,603  

News Corp. Class A

    756       11,945  

NexPoint Residential Trust, Inc. REIT

    5,000       124,200  

NextEra Energy, Inc.

    1,244       203,182  

NIKE, Inc. Class B

    4,158       276,257  

Noble Corp. PLC (a) (c)

    2,482       9,208  

Noble Energy, Inc.

    2,482       75,205  

Norfolk Southern Corp.

    1,244       168,910  

Northrop Grumman Corp.

    833       290,817  

Novavax, Inc. (a) (c)

    3,700       7,770  

NOW, Inc. (a) (c)

    310       3,168  

NVIDIA Corp.

    800       185,272  

Occidental Petroleum Corp.

    2,482       161,231  

Oracle Corp.

    8,689       397,522  

O’Reilly Automotive, Inc. (a)

    517       127,895  

Outfront Media, Inc. REIT

    3       56  

Parker-Hannifin Corp.

    1,244       212,761  

PayPal Holdings, Inc. (a)

    3,726       282,692  

Security Description

 

Shares

   

Value

 

PepsiCo, Inc.

    2,482     $         270,910  

Perrigo Co. PLC

    21       1,750  

Pfizer, Inc.

    12,269       435,427  

PG&E Corp.

    1,244       54,649  

Philip Morris International, Inc.

    2,482       246,711  

Phillips 66

    608       58,319  

Pioneer Natural Resources Co.

    844       144,982  

PNC Financial Services Group, Inc.

    1,244       188,143  

PPL Corp.

    3,726       105,409  

Praxair, Inc.

    1,244       179,509  

Procter & Gamble Co.

    2,714       215,166  

Progenics Pharmaceuticals, Inc. (a) (c)

    2,000       14,920  

Prologis, Inc. REIT

    3,726       234,701  

Prudential Financial, Inc.

    1,882       194,881  

PTC Therapeutics, Inc. (a)

    300       8,118  

Public Service Enterprise Group, Inc.

    2,482       124,696  

Public Storage REIT

    1,042       208,806  

QUALCOMM, Inc.

    3,726       206,458  

Quality Care Properties, Inc. REIT (a)

    744       14,456  

Range Resources Corp. (c)

    1,244       18,088  

Raytheon Co.

    1,244       268,480  

Retail Opportunity Investments Corp. REIT

    10,219       180,570  

Ross Stores, Inc.

    2,190       170,776  

salesforce.com, Inc. (a)

    2,566       298,426  

Sangamo Therapeutics, Inc. (a)

    300       5,700  

Schlumberger, Ltd.

    3,654       236,706  

Seagate Technology PLC

    1,244       72,799  

Sears Holdings Corp. (a)

    3,000       8,010  

Simon Property Group, Inc. REIT

    1,244       192,011  

Southern Co.

    1,244       55,557  

Southwestern Energy Co. (a)

    1,244       5,386  

Starbucks Corp.

    4,962       287,250  

State Street Corp. (g)

    1,244       124,064  

Synchrony Financial

    1,387       46,506  

Sysco Corp.

    2,482       148,821  

Tapestry, Inc.

    1,244       65,447  

Target Corp.

    1,244       86,371  

Tesla, Inc. (a)

    100       26,613  

Texas Instruments, Inc.

    3,726       387,094  

Thermo Fisher Scientific, Inc.

    1,879       387,938  

Time Warner, Inc.

    2,004       189,538  

TJX Cos., Inc.

    2,482       202,432  

Travelers Cos., Inc.

    1,244       172,742  

Twenty-First Century Fox, Inc. Class A

    6,214       227,992  

Twitter, Inc. (a)

    200       5,802  

Tyson Foods, Inc. Class A

    2,970       217,374  

UMH Properties, Inc.

    7,100       95,211  

Union Pacific Corp.

    1,889       253,938  

United Financial Bancorp, Inc.

    10,408       168,610  

United Parcel Service, Inc. Class B

    1,244       130,197  

United Technologies Corp.

    1,244       156,520  

UnitedHealth Group, Inc.

    2,482       531,148  

US Bancorp

    3,726       188,163  
 

 

See accompanying notes to financial statements.

 

28


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

Valero Energy Corp.

    2,482     $ 230,255  

Vanda Pharmaceuticals, Inc. (a)

    400       6,740  

Vector Group, Ltd. (c)

    8,194       167,076  

Verizon Communications, Inc.

    4,208       201,227  

Viacom, Inc. Class B

    1,244       38,639  

Visa, Inc. Class A (c)

    4,986       596,425  

Voyager Therapeutics, Inc. (a) (c)

    300       5,637  

Walmart, Inc.

    2,482       220,824  

Walgreens Boots Alliance, Inc.

    2,482       162,497  

Walt Disney Co.

    3,726       374,239  

Washington Prime Group, Inc. REIT

    619       4,129  

Waste Management, Inc.

    2,482       208,786  

Weatherford International PLC (a) (c)

    6,214       14,230  

Wells Fargo & Co.

    9,634       504,918  

Western Digital Corp.

    1,541       142,188  

Williams Cos., Inc.

    3,726       92,628  

Windstream Holdings, Inc.

    8,600       12,126  

Yum! Brands, Inc.

    1,244       105,902  

Zoetis, Inc.

    143       11,942  
   

 

 

 
      47,862,430  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $80,231,092)

      92,419,523  
   

 

 

 

RIGHTS — 0.0% (d)

   

SOUTH KOREA — 0.0% (d)

   

Samsung Heavy Industries Co., Ltd.
(expires 4/13/18) (a)
(Cost $0)

    364       709  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.0%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

    222,089       222,089  

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

    1,690,862       1,690,862  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $1,912,951)

 

    1,912,951  
   

 

 

 

TOTAL INVESTMENTS — 101.4%
(Cost $82,144,043)

      94,333,183  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.4)%

 

    (1,335,771
   

 

 

 

NET ASSETS — 100.0%

    $         92,997,412  
   

 

 

 
(a) Non-income producing security.
(b) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Amount is less than 0.05% of net assets.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.1% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $132,395 representing 0.2% of net assets.
(g) The Fund invested in an affiliated entity, State Street Corp. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below. (h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.

 

ADR   =American Depositary Receipt
GDR   =Global Depositary Receipt
NVDR   =Non Voting Depositary Receipt
REIT   =Real Estate Investment Trust
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Australia

  $     2,209,657       $    —       $—     $     2,209,657  

 

See accompanying notes to financial statements.

 

29


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Austria

    $ 98,095       $        —       $—     $ 98,095

Belgium

      307,528                   307,528

Brazil

      744,080                   744,080

Canada

      2,711,053                   2,711,053

Chile

      39,665                   39,665

China

      3,157,464                   3,157,464

Colombia

      10,925                   10,925

Denmark

      630,539                   630,539

Finland

      389,526                   389,526

France

      2,990,569                   2,990,569

Germany

      2,806,578                   2,806,578

Hong Kong

      1,290,199                   1,290,199

Hungary

      70,798                   70,798

India

      828,018                   828,018

Indonesia

      406,824                   406,824

Ireland

      133,352                   133,352

Israel

      308,990                   308,990

Italy

      680,090                   680,090

Japan

      7,574,308                   7,574,308

Luxembourg

      43,333                   43,333

Malaysia

      102,672                   102,672

Mexico

      351,246                   351,246

Netherlands

      1,484,623                   1,484,623

Norway

      283,979                   283,979

Peru

      4,935                   4,935

Philippines

      25,448                   25,448

Poland

      33,094                   33,094

Russia

      321,251                   321,251

Singapore

      528,779                   528,779

South Africa

      752,079                   752,079

South Korea

      1,932,653                   1,932,653

Spain

      881,507                   881,507

Sweden

      920,768                   920,768

Switzerland

      2,579,352                   2,579,352

Taiwan

      1,275,385                   1,275,385

Thailand

      53,755       132,395             186,150

Turkey

      126,000                   126,000

United Kingdom

      5,335,581                   5,335,581

United States

      47,862,430                   47,862,430

Rights

               

South Korea

      709                   709

Short-Term Investments

      1,912,951                   1,912,951
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 94,200,788     $ 132,395       $—     $ 94,333,183
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

30


Table of Contents

SPDR MSCI ACWI IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Corp

      1,244     $ 118,852     $     $       $—       $5,212       1,244     $ 124,064       $1,045       $—

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      55,517       55,517       2,121,582       1,955,010                   222,089       222,089       1,279      

State Street Navigator Securities Lending Government Money Market Portfolio

      985,141       985,141       6,908,805       6,203,084                   1,690,862       1,690,862       6,970      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 1,159,510     $ 9,030,387       $8,158,094       $—       $5,212           $2,037,015       $9,294       $—
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

31


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS – 99.2%

   

ARGENTINA – 0.0% (a)

   

Other Security

    132     $ 47,043  
   

 

 

 

AUSTRALIA – 2.0%

   

Other Securities

    331,281       3,031,668  
   

 

 

 

AUSTRIA – 0.1%

   

Other Securities

    2,573       118,516  
   

 

 

 

BELGIUM – 0.3%

   

Other Securities

    5,794       487,020  
   

 

 

 

BERMUDA – 0.0% (a)

   

Other Security

    1,918       40,278  
   

 

 

 

BRAZIL – 1.0%

   

Other Securities

    152,994       1,463,939  
   

 

 

 

CANADA – 3.1%

   

Other Securities

    163,577       4,674,085  
   

 

 

 

CHILE – 0.3%

   

Other Securities

    114,703       378,180  
   

 

 

 

CHINA – 3.5%

   

Alibaba Group Holding, Ltd. ADR (b) (c)

    3,785       694,699  

Tencent Holdings, Ltd

    19,184       1,001,206  

Other Securities

    2,805,927       3,578,033  
   

 

 

 
      5,273,938  
   

 

 

 

COLOMBIA – 0.2%

   

Other Securities

    211,074       353,930  
   

 

 

 

CZECH REPUBLIC – 0.0% (a)

   

Other Security

    477       21,746  
   

 

 

 

DENMARK – 0.5%

   

Other Securities

    16,089       735,352  
   

 

 

 

FINLAND – 0.3%

   

Other Securities

    31,117       431,269  
   

 

 

 

FRANCE – 3.6%

   

Other Securities

    98,402       5,452,943  
   

 

 

 

GERMANY – 3.1%

   

Other Securities

    76,771       4,732,899  
   

 

 

 

GREECE – 0.0% (a)

   

Other Securities

    4,660       25,879  
   

 

 

 

HONG KONG – 1.2%

   

Hanergy Thin Film Power Group, Ltd. (c) (d)

    24,000        

Other Securities

    366,109       1,772,137  
   

 

 

 
      1,772,137  
   

 

 

 

HUNGARY – 0.0% (a)

   

Other Security

    1,274       57,317  
   

 

 

 

INDIA – 0.9%

   

Other Securities

    150,483       1,377,639  
   

 

 

 

INDONESIA – 0.3%

   

Other Securities

    866,050       389,526  
   

 

 

 

IRELAND – 0.2%

   

Other Securities

    8,843       245,153  
   

 

 

 

Security Description

 

Shares

   

Value

 

ISRAEL – 0.1%

   

Other Securities

    12,327     $ 202,655  
   

 

 

 

ITALY – 0.7%

   

Other Securities

    254,302       1,104,690  
   

 

 

 

JAPAN – 8.0%

   

Mitsui & Co., Ltd.

    37,600       639,925  

Toyota Motor Corp.

    9,700       624,047  

Other Securities

    586,738       10,905,335  
   

 

 

 
      12,169,307  
   

 

 

 

LUXEMBOURG – 0.1%

   

Other Securities

    4,234       76,584  
   

 

 

 

MACAU – 0.0% (a)

   

Other Security

    6,800       17,545  
   

 

 

 

MALAYSIA – 0.4%

   

Other Securities

    355,638       545,348  
   

 

 

 

MEXICO – 0.4%

   

Other Securities

    195,618       564,384  
   

 

 

 

NETHERLANDS – 0.8%

   

Other Securities

    42,683       1,219,490  
   

 

 

 

NEW ZEALAND – 0.1%

   

Other Security

    47,457       97,742  
   

 

 

 

NORWAY – 0.3%

   

Other Securities

    28,510       505,288  
   

 

 

 

PERU – 0.1%

   

Other Securities

    3,744       192,723  
   

 

 

 

PHILIPPINES – 0.1%

   

Other Securities

    40,135       79,916  
   

 

 

 

POLAND – 0.1%

   

Other Securities

    10,834       211,558  
   

 

 

 

PORTUGAL – 0.1%

   

Other Security

    8,029       151,129  
   

 

 

 

QATAR – 0.1%

   

Other Securities

    15,320       109,685  
   

 

 

 

ROMANIA – 0.0%

   

Other Security

    1,449       14,064  
   

 

 

 

RUSSIA – 0.3%

   

Other Securities

    72,809       470,201  
   

 

 

 

SINGAPORE – 0.6%

   

Other Securities

    211,272       962,056  
   

 

 

 

SOUTH AFRICA – 0.9%

   

Other Securities

    227,493       1,396,235  
   

 

 

 

SOUTH KOREA – 1.7%

   

Samsung Electronics Co., Ltd.

    324       745,331  

Other Securities

    31,155       1,896,237  
   

 

 

 
      2,641,568  
   

 

 

 

SPAIN – 1.2%

   

Other Securities

    160,181       1,748,529  
   

 

 

 

SWEDEN – 0.9%

   

Other Securities

    79,428       1,437,721  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

32


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SWITZERLAND – 2.6%

   

Nestle SA

    10,933     $ 863,360  

Novartis AG

    7,418       598,491  

Roche Holding AG

    2,349       537,454  

Other Securities

    36,568           1,908,001  
   

 

 

 
      3,907,306  
   

 

 

 

TAIWAN – 1.4%

   

Taiwan Semiconductor Manufacturing Co., Ltd.

    88,000       736,427  

Other Securities

    993,022       1,360,393  
   

 

 

 
      2,096,820  
   

 

 

 

THAILAND – 0.2%

   

Other Securities

    238,338       308,452  
   

 

 

 

TURKEY – 0.1%

   

Other Securities

    90,280       157,845  
   

 

 

 

UNITED ARAB EMIRATES – 0.1%

   

Other Securities

    30,406       78,465  
   

 

 

 

UNITED KINGDOM – 5.5%

   

HSBC Holdings PLC

    73,549       686,523  

Other Securities

    952,038       7,708,359  
   

 

 

 
      8,394,882  
   

 

 

 

UNITED STATES – 51.7%

   

AbbVie, Inc.

    5,330       504,485  

Alphabet, Inc. Class A (c)

    957       992,543  

Alphabet, Inc. Class C (c)

    1,084       1,118,460  

Amazon.com, Inc. (c)

    1,375       1,990,093  

Apple, Inc.

    17,425       2,923,567  

AT&T, Inc.

    21,500       766,475  

Bank of America Corp.

    34,890       1,046,351  

Berkshire Hathaway, Inc. Class B (c)

    2,512       501,094  

Boeing Co.

    2,132       699,040  

Cisco Systems, Inc.

    17,467       749,160  

Citigroup, Inc.

    10,098       681,615  

Coca-Cola Co.

    16,555       718,984  

Comcast Corp. Class A

    16,168       552,461  

Eversource Energy

    9,219       543,184  

Facebook, Inc. Class A (c)

    7,865       1,256,748  

Home Depot, Inc.

    4,346       774,631  

Intel Corp.

    17,195       895,516  

International Business Machines Corp.

    3,330       510,922  

Johnson & Johnson

    9,560       1,225,114  

JPMorgan Chase & Co.

    11,997       1,319,310  

Mastercard, Inc. Class A

    3,414       597,996  

McDonald’s Corp.

    3,097       484,309  

Merck & Co., Inc.

    9,952       542,085  

Microsoft Corp.

    24,899       2,272,532  

Netflix, Inc. (c)

    1,573       464,586  

NVIDIA Corp.

    2,042       472,907  

ONEOK, Inc.

    10,283       585,308  

Oracle Corp.

    11,489       525,622  

PepsiCo, Inc.

    5,429       592,575  

Pfizer, Inc.

    20,715       735,175  

Philip Morris International, Inc.

    5,687       565,288  

Phillips 66

    6,681       640,842  

Security Description

 

Shares

   

Value

 

Procter & Gamble Co.

    9,284     $ 736,036  

Schlumberger, Ltd.

    8,723       565,076  

State Street Corp. (e)

    1,155       115,188  

UnitedHealth Group, Inc.

    3,520       753,280  

Verizon Communications, Inc.

    14,049       671,823  

Visa, Inc. Class A

    6,688       800,019  

Walmart, Inc.

    5,345       475,545  

Walt Disney Co.

    5,671       569,595  

Wells Fargo & Co.

    15,886       832,585  

Other Securities

    656,435       44,565,043  
   

 

 

 
      78,333,168  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $124,192,146)

      150,305,813  
   

 

 

 

SHORT-TERM INVESTMENTS -1.8%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    345,905       345,905  

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    2,338,517       2,338,517  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,684,422)

 

    2,684,422  
   

 

 

 

TOTAL INVESTMENTS - 101.0%
(Cost $126,876,568)

      152,990,235  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (1.0)%

 

    (1,577,751
   

 

 

 

NET ASSETS - 100.0%

    $     151,412,484  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

33


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Amount is less than 0.05% of net assets.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Non-income producing security.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the security is $0, representing 0.0% of the Fund’s net assets.
(e) The Fund invested in an affiliated entity, State Street Corp. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.

ADR American Depositary Receipt

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Argentina

  $ 47,043       $    —           $—     $ 47,043  

Australia

    3,031,668       —                 3,031,668  

Austria

    118,516       —                 118,516  

Belgium

    487,020       —                 487,020  

Bermuda

    40,278       —                 40,278  

Brazil

    1,463,939       —                 1,463,939  

Canada

    4,674,085       —                 4,674,085  

Chile

    378,180       —                 378,180  

China

    5,273,938       —                 5,273,938  

Colombia

    353,930       —                 353,930  

Czech Republic

    21,746       —                 21,746  

Denmark

    735,352       —                 735,352  

Finland

    431,269       —                 431,269  

France

    5,452,943       —                 5,452,943  

Germany

    4,732,899       —                 4,732,899  

Greece

    25,879       —                 25,879  

Hong Kong

    1,772,137       —                 0(a)       1,772,137  

Hungary

    57,317       —                 57,317  

India

    1,377,639       —                 1,377,639  

Indonesia

    389,526       —                 389,526  

 

See accompanying notes to financial statements.

 

34


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Ireland

    $ 245,153       $        —       $—     $ 245,153

Israel

      202,655                   202,655

Italy

      1,104,690                   1,104,690

Japan

      12,169,307                   12,169,307

Luxembourg

      76,584                   76,584

Macau

      17,545                   17,545

Malaysia

      545,348                   545,348

Mexico

      564,384                   564,384

Netherlands

      1,219,490                   1,219,490

New Zealand

      97,742                   97,742

Norway

      505,288                   505,288

Peru

      192,723                   192,723

Philippines

      79,916                   79,916

Poland

      211,558                   211,558

Portugal

      151,129                   151,129

Qatar

      109,685                   109,685

Romania

      14,064                   14,064

Russia

      470,201                   470,201

Singapore

      962,056                   962,056

South Africa

      1,396,235                   1,396,235

South Korea

      2,641,568                   2,641,568

Spain

      1,748,529                   1,748,529

Sweden

      1,437,721                   1,437,721

Switzerland

      3,907,306                   3,907,306

Taiwan

      2,096,820                   2,096,820

Thailand

      48,302       260,150             308,452

Turkey

      157,845                   157,845

United Arab Emirates

      78,465                   78,465

United Kingdom

      8,394,882                   8,394,882

United States

      78,333,168                   78,333,168

Short-Term Investments

      2,684,422                   2,684,422
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 152,730,085     $ 260,150       $  0     $ 152,990,235
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held a Level 3 security that was valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Corp.

      1,555     $ 148,565     $     $ 38,137       $6,070       $(1,310)         1,155     $ 115,188       $970       $—

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      215,632       215,632       2,057,884       1,927,611             —         345,905       345,905       1,318      

State Street Navigator Securities Lending Government Money Market Portfolio

      378,038       378,038       9,317,082       7,356,603             —         2,338,517       2,338,517       4,991      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 742,235     $ 11,374,966       $9,322,351       $6,070       $(1,310)             $2,799,610       $7,279       $—
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

35


Table of Contents

SPDR MSCI CANADA STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.8%

   

AEROSPACE & DEFENSE — 1.6%

   

Bombardier, Inc. Class B (a)

    25,073     $ 72,929  

CAE, Inc.

    29,817       554,595  
   

 

 

 
      627,524  
   

 

 

 

AUTO COMPONENTS — 3.4%

   

Linamar Corp.

    5,218       284,850  

Magna International, Inc.

    19,495               1,097,345  
   

 

 

 
      1,382,195  
   

 

 

 

BANKS — 19.7%

   

Bank of Montreal

    14,435       1,089,637  

Bank of Nova Scotia

    22,052       1,357,415  

Canadian Imperial Bank of Commerce

    18,477       1,629,788  

National Bank of Canada

    9,247       434,934  

Royal Bank of Canada

    22,491       1,736,129  

Toronto-Dominion Bank

    29,006       1,644,854  
   

 

 

 
      7,892,757  
   

 

 

 

CAPITAL MARKETS — 4.3%

   

Brookfield Asset Management, Inc. Class A

    13,779       536,732  

CI Financial Corp. (b)

    31,311       670,299  

IGM Financial, Inc.

    1,475       43,097  

Thomson Reuters Corp.

    12,043       465,093  
   

 

 

 
      1,715,221  
   

 

 

 

CHEMICALS — 1.0%

   

Methanex Corp.

    799       48,371  

Nutrien, Ltd. (b)

    7,133       336,884  
   

 

 

 
      385,255  
   

 

 

 

CONSTRUCTION & ENGINEERING — 0.3%

 

 

SNC-Lavalin Group, Inc.

    2,569       112,723  
   

 

 

 

CONTAINERS & PACKAGING — 1.8%

 

 

CCL Industries, Inc. Class B

    14,511       732,050  
   

 

 

 

DIVERSIFIED FINANCIAL SERVICES — 0.8%

 

 

Element Fleet Management Corp. (b)

    4,119       13,259  

Onex Corp.

    4,578       329,950  
   

 

 

 
      343,209  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 3.2%

 

BCE, Inc.

    21,144       909,229  

TELUS Corp.

    10,266       360,236  
   

 

 

 
      1,269,465  
   

 

 

 

ELECTRIC UTILITIES — 2.7%

   

Emera, Inc. (b)

    8,564       270,753  

Fortis, Inc.

    12,243       412,990  

Hydro One, Ltd. (c)

    24,715       401,038  
   

 

 

 
      1,084,781  
   

 

 

 

FOOD & STAPLES RETAILING — 7.4%

 

 

Alimentation Couche-Tard, Inc. Class B

    20,757       928,490  

Empire Co., Ltd.

    4,024       80,714  

George Weston, Ltd.

    3,713       298,710  

Jean Coutu Group PJC, Inc. Class A

    12,956       246,810  

Security Description

 

Shares

   

Value

 

Loblaw Cos., Ltd. (b)

    8,734     $ 440,951  

Metro, Inc.

    30,441       970,429  
   

 

 

 
              2,966,104  
   

 

 

 

FOOD PRODUCTS — 2.2%

   

Saputo, Inc.

    27,750       890,023  
   

 

 

 

HOTELS, RESTAURANTS & LEISURE — 0.2%

 

 

Restaurant Brands International, Inc.

    1,637       93,097  
   

 

 

 

INSURANCE — 14.6%

   

Fairfax Financial Holdings, Ltd.

    581       294,306  

Great-West Lifeco, Inc.

    42,314       1,079,143  

Industrial Alliance Insurance & Financial Services, Inc.

    10,752       442,006  

Intact Financial Corp.

    14,504       1,089,108  

Manulife Financial Corp.

    23,619       438,213  

Power Corp. of Canada

    13,950       318,115  

Power Financial Corp.

    35,524       888,892  

Sun Life Financial, Inc.

    31,434       1,290,031  
   

 

 

 
      5,839,814  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 0.0% (d)

 

Shopify, Inc. Class A (a)

    63       7,834  
   

 

 

 

IT SERVICES — 2.7%

   

CGI Group, Inc. Class A (a)

    19,010       1,095,554  
   

 

 

 

MEDIA — 0.7%

   

Shaw Communications, Inc. Class B

    14,861       286,097  
   

 

 

 

METALS & MINING — 3.2%

   

Agnico Eagle Mines, Ltd.

    3,623       152,311  

Barrick Gold Corp.

    18,895       235,225  

First Quantum Minerals, Ltd.

    8,662       121,540  

Franco-Nevada Corp.

    4,029       274,694  

Goldcorp, Inc.

    8,670       119,635  

Kinross Gold Corp. (a)

    11,049       43,622  

Lundin Mining Corp.

    4,627       30,326  

Teck Resources, Ltd. Class B

    7,872       202,593  

Turquoise Hill Resources, Ltd. (a)

    13,641       41,687  

Wheaton Precious Metals Corp.

    2,586       52,653  
   

 

 

 
      1,274,286  
   

 

 

 

MULTI-UTILITIES — 0.2%

   

Atco, Ltd. Class I

    1,135       36,429  

Canadian Utilities, Ltd. Class A

    1,629       43,453  
   

 

 

 
      79,882  
   

 

 

 

MULTILINE RETAIL — 2.6%

   

Canadian Tire Corp., Ltd. Class A

    6,487       852,354  

Dollarama, Inc.

    1,489       180,840  
   

 

 

 
      1,033,194  
   

 

 

 

OIL, GAS & CONSUMABLE FUELS — 12.8%

 

 

AltaGas, Ltd. (b)

    12,287       227,203  

ARC Resources, Ltd. (b)

    3,527       38,409  

Cameco Corp.

    5,667       51,472  

Canadian Natural Resources, Ltd.

    9,299       292,115  

Cenovus Energy, Inc.

    14,630       124,484  

Crescent Point Energy Corp.

    13,700       93,087  

Enbridge, Inc.

    22,991       722,587  
 

 

See accompanying notes to financial statements.

 

36


Table of Contents

SPDR MSCI CANADA STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

Encana Corp.

    8,655     $ 95,126  

Husky Energy, Inc.

    7,922       113,307  

Imperial Oil, Ltd.

    33,316       881,708  

Inter Pipeline, Ltd. (b)

    6,506       112,836  

Keyera Corp.

    17,579       456,911  

Pembina Pipeline Corp.

    14,073       438,809  

PrairieSky Royalty, Ltd. (b)

    896       19,578  

Seven Generations Energy, Ltd. Class A (a)

    1,515       18,802  

Suncor Energy, Inc.

    24,154       833,517  

Tourmaline Oil Corp.

    2,737       46,386  

TransCanada Corp.

    13,711       566,626  

Vermilion Energy, Inc. (b)

    631       20,331  
   

 

 

 
              5,153,294  
   

 

 

 

PAPER & FOREST PRODUCTS — 1.0%

 

 

West Fraser Timber Co., Ltd. (b)

    6,032       400,543  
   

 

 

 

PHARMACEUTICALS — 0.3%

   

Valeant Pharmaceuticals International, Inc. (a)

    7,527       119,743  
   

 

 

 

REAL ESTATE INVESTMENT TRUSTS (REITS) —1.3%

 

H&R Real Estate Investment Trust

    8,540       139,303  

RioCan Real Estate Investment Trust

    14,999       275,025  

SmartCentres Real Estate Investment Trust

    4,258       96,142  
   

 

 

 
      510,470  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 0.4%

 

First Capital Realty, Inc.

    11,030       174,102  
   

 

 

 

ROAD & RAIL — 5.7%

   

Canadian National Railway Co.

    18,354       1,340,479  

Canadian Pacific Railway, Ltd.

    5,471       964,135  
   

 

 

 
      2,304,614  
   

 

 

 

SOFTWARE — 2.9%

 

 

Constellation Software, Inc.

    1,533       1,039,420  

Open Text Corp.

    3,538       122,996  
   

 

 

 
      1,162,416  
   

 

 

 

TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 0.1%

 

BlackBerry, Ltd. (a)

    2,559       29,396  
   

 

 

 

TEXTILES,APPAREL & LUXURY GOODS — 1.7%

 

Gildan Activewear, Inc.

    23,619       681,685  
   

 

 

 

Security Description

 

Shares

   

Value

 

TRADING COMPANIES & DISTRIBUTORS — 0.1%

 

Finning International, Inc.

    1,483     $ 35,739  
   

 

 

 

WIRELESS TELECOMMUNICATION
SERVICES — 0.9%

 

Rogers Communications, Inc. Class B

    7,985       356,375  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $36,417,959)

              40,039,442  
   

 

 

 

SHORT-TERM INVESTMENTS — 4.1%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (e) (f)

    16,538       16,538  

State Street Navigator Securities Lending Government Money Market Portfolio (e) (g)

    1,622,347       1,622,347  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $1,638,885)

 

    1,638,885  
   

 

 

 

TOTAL INVESTMENTS — 103.9%
(Cost $38,056,844)

      41,678,327  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER
ASSETS — (3.9)%

 

    (1,567,665
   

 

 

 

NET ASSETS — 100.0%

    $ 40,110,662  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 1.0% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Amount is less than 0.05% of net assets.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

REIT =Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Aerospace & Defense

    $ 627,524     $     $     $ 627,524

Auto Components

      1,382,195                   1,382,195

 

See accompanying notes to financial statements.

 

37


Table of Contents

SPDR MSCI CANADA STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Banks

    $ 7,892,757       $—       $—     $ 7,892,757

Capital Markets

      1,715,221                   1,715,221

Chemicals

      385,255                   385,255

Construction & Engineering

      112,723                   112,723

Containers & Packaging

      732,050                   732,050

Diversified Financial Services

      343,209                   343,209

Diversified Telecommunication Services

      1,269,465                   1,269,465

Electric Utilities

      1,084,781                   1,084,781

Food & Staples Retailing

      2,966,104                   2,966,104

Food Products

      890,023                   890,023

Hotels, Restaurants & Leisure

      93,097                   93,097

Insurance

      5,839,814                   5,839,814

Internet Software & Services

      7,834                   7,834

IT Services

      1,095,554                   1,095,554

Media

      286,097                   286,097

Metals & Mining

      1,274,286                   1,274,286

Multi-Utilities

      79,882                   79,882

Multiline Retail

      1,033,194                   1,033,194

Oil, Gas & Consumable Fuels

      5,153,294                   5,153,294

Paper & Forest Products

      400,543                   400,543

Pharmaceuticals

      119,743                   119,743

Real Estate Investment Trusts (REITs)

      510,470                   510,470

Real Estate Management & Development

      174,102                   174,102

Road & Rail

      2,304,614                   2,304,614

Software

      1,162,416                   1,162,416

Technology Hardware, Storage & Peripherals

      29,396                   29,396

Textiles, Apparel & Luxury Goods

      681,685                   681,685

Trading Companies & Distributors

      35,739                   35,739

Wireless Telecommunication Services

      356,375                   356,375

Short-Term Investments

      1,638,885                   1,638,885
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 41,678,327       $—       $—     $ 41,678,327
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      13,104       $13,104       $   504,340       $   500,906       $—       $—       16,538       $     16,538       $202       $—

State Street Navigator Securities Lending Government Money Market Portfolio

                  4,470,806       2,848,459                   1,622,347       1,622,347       591      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

          $13,104       $4,975,146       $3,349,365       $—       $—             $1,638,885       $793       $—
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

38


Table of Contents

SPDR MSCI CHINAA SHARES IMI ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 98.5%

   

AEROSPACE & DEFENSE — 0.8%

   

AECC Aero Science and Technology Co., Ltd. Class A (a)

    400     $ 1,238  

AECC Aero-Engine Control Co., Ltd. Class A

    700       1,765  

AECC Aviation Power Co., Ltd. Class A

    800       3,475  

AVIC Aircraft Co., Ltd. Class A

    1,400       3,689  

AVIC Helicopter Co., Ltd. Class A

    400       2,878  

Changchun UP Optotech Co., Ltd. Class A

    600       1,267  

China Avionics Systems Co., Ltd. Class A

    800       1,883  

China Spacesat Co., Ltd. Class A

    700       2,463  
   

 

 

 
              18,658  
   

 

 

 

AIR FREIGHT & LOGISTICS — 0.4%

   

Jiangsu Aucksun Co., Ltd. Class A

    4,700       6,686  

Sinotrans Air Transportation Development Co., Ltd. Class A

    1,100       3,236  
   

 

 

 
      9,922  
   

 

 

 

AIRLINES — 1.1%

   

Air China, Ltd. Class A

    3,000       5,426  

China Eastern Airlines Corp., Ltd. Class A

    4,300       4,880  

China Southern Airlines Co., Ltd. Class A

    4,700       7,552  

Hainan Airlines Holding Co., Ltd. Class A (b)

    11,900       5,986  

Spring Airlines Co., Ltd. Class A

    700       3,378  
   

 

 

 
      27,222  
   

 

 

 

AUTO COMPONENTS — 1.9%

   

Anhui Zhongding Sealing Parts Co., Ltd. Class A

    1,500       4,029  

China Shipbuilding Industry Group Power Co., Ltd. Class A

    1,000       3,857  

Fangda Special Steel Technology Co., Ltd. Class A

    1,200       3,137  

Fuyao Glass Industry Group Co., Ltd. Class A

    2,500       9,532  

Greatoo Intelligent Equipment, Inc.

    5,100       2,189  

Huayu Automotive Systems Co., Ltd. Class A

    1,700       6,396  

Sailun Jinyu Group Co., Ltd. Class A

    5,940       2,823  

Wanxiang Qianchao Co., Ltd. Class A

    1,560       2,078  

Weifu High-Technology Group Co., Ltd. Class A

    1,000       3,574  

Wuhu Shunrong Sanqi Interactive Entertainment Network Technology Co., Ltd. Class A

    800       2,364  

Zhejiang Dehong Automotive Electronic & Electrical Co., Ltd. Class A

    800       2,257  

Zhejiang Wanfeng Auto Wheel Co., Ltd. Class A (b)

    1,320       2,575  
   

 

 

 
      44,811  
   

 

 

 

AUTOMOBILES — 1.5%

   

Anhui Jianghuai Automobile Group Corp., Ltd Class A

    1,400       1,700  

Beiqi Foton Motor Co., Ltd. Class A

    10,600       4,229  

BYD Co., Ltd. Class A

    700       6,229  

Security Description

 

Shares

   

Value

 

Chongqing Changan Automobile Co., Ltd. Class A

    2,200     $ 3,902  

FAW CAR Co., Ltd. Class A (a)

    1,500       2,418  

Haima Automobile Group Co., Ltd. Class A (a)

    4,100       2,555  

Jiangsu Xinri E-Vehicle Co., Ltd. Class A (a)

    1,200       2,672  

SAIC Motor Corp., Ltd. Class A

    2,400       12,565  
   

 

 

 
      36,270  
   

 

 

 

BANKS — 11.6%

   

Agricultural Bank of China, Ltd. Class A

    38,400       24,169  

Bank of Beijing Co., Ltd. Class A

    2,736       3,014  

Bank of China, Ltd. Class A

    37,100       23,528  

Bank of Communications Co., Ltd. Class A

    12,800       12,735  

Bank of Nanjing Co., Ltd. Class A

    5,544       7,252  

Bank of Ningbo Co., Ltd. Class A

    3,900       11,994  

China CITIC Bank Corp., Ltd. Class A

    3,200       3,301  

China Everbright Bank Co., Ltd. Class A

    20,300       13,229  

China Merchants Bank Co., Ltd. Class A

    10,300       47,983  

China Minsheng Banking Corp., Ltd. Class A

    14,500       18,621  

Huaxia Bank Co., Ltd. Class A

    7,320       10,424  

Industrial & Commercial Bank of China, Ltd. Class A

    15,600       15,100  

Industrial Bank Co., Ltd. Class A

    14,400       38,702  

Ping An Bank Co., Ltd. Class A

    8,520       14,964  

Shanghai Pudong Development Bank Co., Ltd. Class A

    16,302       30,108  
   

 

 

 
              275,124  
   

 

 

 

BEVERAGES — 5.5%

   

Anhui Gujing Distillery Co., Ltd. Class A

    400       3,776  

Beijing Yanjing Brewery Co., Ltd. Class A

    3,200       3,799  

Chongqing Brewery Co., Ltd. Class A

    2,200       7,417  

Hainan Yedao Co., Ltd. Class A (a)

    1,400       1,647  

Jiangsu Yanghe Brewery Joint-Stock Co., Ltd. Class A

    600       10,285  

Kweichow Moutai Co., Ltd. Class A

    600       65,715  

Luzhou Laojiao Co., Ltd. Class A

    1,400       12,615  

Qinghai Huzhu Barley Wine Co., Ltd. Class A

    1,100       2,227  

Shanxi Xinghuacun Fen Wine Factory Co., Ltd. Class A

    600       5,228  

Tsingtao Brewery Co., Ltd. Class A

    700       4,449  

Wuliangye Yibin Co., Ltd. Class A

    1,100       11,801  

Zhejiang Guyuelongshan Shaoxing Wine Co., Ltd. Class A

    2,100       2,770  
   

 

 

 
      131,729  
   

 

 

 

BIOTECHNOLOGY — 0.4%

   

Beijing SL Pharmaceutical Co., Ltd. Class A

    600       3,319  

Da An Gene Co., Ltd. of Sun Yat-Sen University Class A

    660       1,658  

Hualan Biological Engineering, Inc. Class A

    800       3,745  
   

 

 

 
      8,722  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

39


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

BUILDING PRODUCTS — 0.3%

   

Beijing New Building Materials PLC Class A

    1,100     $ 4,366  

Zhejiang Dun’An Artificial Environment Co., Ltd. Class A

    1,400       1,593  

Zhejiang Goldensea Environment Technology Co., Ltd. Class A

    1,000       2,258  
   

 

 

 
      8,217  
   

 

 

 

CAPITAL MARKETS — 4.4%

   

China Merchants Securities Co., Ltd. Class A

    3,700       10,185  

CITIC Securities Co., Ltd. Class A

    3,600       10,477  

Dongxing Securities Co., Ltd. Class A

    1,800       4,065  

Everbright Securities Co., Ltd. Class A

    2,100       4,092  

First Capital Securities Co., Ltd. Class A

    2,800       3,596  

GF Securities Co., Ltd. Class A

    3,100       8,071  

Guosen Securities Co., Ltd. Class A

    2,300       3,948  

Haitong Securities Co., Ltd. Class A

    3,600       6,523  

Huatai Securities Co., Ltd. Class A

    3,000       8,168  

Industrial Securities Co., Ltd. Class A

    5,590       5,828  

Northeast Securities Co., Ltd. Class A

    3,600       4,486  

Orient Securities Co., Ltd. Class A

    2,200       4,350  

Pacific Securities Co., Ltd. Class A

    11,505       5,266  

Sealand Securities Co., Ltd. Class A

    4,950       3,399  

Shanxi Securities Co., Ltd. Class A

    2,700       3,339  

Shenwan Hongyuan Group Co., Ltd. Class A

    8,910       7,010  

Sinolink Securities Co., Ltd. Class A

    2,600       3,405  

Southwest Securities Co., Ltd. Class A

    5,500       3,803  

Western Securities Co., Ltd. Class A

    2,268       3,493  
   

 

 

 
          103,504  
   

 

 

 

CHEMICALS — 4.6%

   

Anhui Sierte Fertilizer Industry, Ltd. Co. Class A

    1,300       1,665  

Anhui Wanwei Updated High-Tech Material Industry Co., Ltd. Class A (a)

    4,100       2,131  

Befar Group Co., Ltd. Class A

    5,520       7,966  

China Hainan Rubber Industry Group Co., Ltd. Class A (a)

    3,200       3,031  

Do-Fluoride Chemicals Co., Ltd. Class A

    400       1,099  

Gpro Titanium Industry Co., Ltd. Class A

    2,800       1,927  

Hubei Biocause Pharmaceutical Co., Ltd. Class A

    2,700       3,352  

Hubei Kaile Science & Technology Co., Ltd. Class A (a)

    1,400       7,205  

Inner Mongolia Junzheng Energy & Chemical Industry Group Co., Ltd. Class A (b)

    4,400       3,378  

Jiangsu Huifeng Bio Agriculture Co., Ltd. Class A

    3,040       2,073  

Jiangsu Yangnong Chemical Co., Ltd. Class A

    700       5,198  

Kangde Xin Composite Material Group Co., Ltd. Class A (b)

    1,599       4,748  

Kingfa Sci & Tech Co., Ltd. Class A

    3,000       2,856  

Luxi Chemical Group Co., Ltd. Class A (a)

    2,200       6,126  

Nanjing Redsun Co., Ltd. Class A

    1,500       5,204  

 

Security Description

 

Shares

   

Value

 

Qinghai Salt Lake Industry Co., Ltd. Class A

    1,650     $ 3,312  

Shanghai Chlor-Alkali Chemical Co., Ltd. Class A (a)

    1,500       2,513  

Shanghai Pret Composites Co., Ltd. Class A

    900       3,337  

Shanghai Yahong Moulding Co., Ltd. Class A

    200       710  

Shanxi Yongdong Chemistry Industry Co., Ltd. Class A

    1,650       4,844  

Shenzhen Noposion Agrochemicals Co., Ltd. Class A (a)

    1,000       1,237  

Sinopec Shanghai Petrochemical Co., Ltd. Class A

    3,500       3,349  

Tianqi Lithium Corp. Class A

    690       6,367  

Wanhua Chemical Group Co., Ltd. Class A (b)

    1,680       10,110  

Xinjiang Xuefeng Sci-Tech Group Co., Ltd. Class A (a)

    1,200       954  

Yueyang Xingchang Petrochemical Class A

    772       1,496  

Zhejiang Huafeng Spandex Co., Ltd. Class A (a)

    3,200       2,457  

Zhejiang Huge Leaf Co., Ltd. Class A (a) (b)

    4,200       4,027  

Zhejiang Jiaao Enprotech Stock Co., Ltd. Class A (b)

    400       2,222  

Zhejiang Longsheng Group Co., Ltd. Class A

    2,500       4,450  
   

 

 

 
          109,344  
   

 

 

 

COMMERCIAL SERVICES & SUPPLIES — 1.0%

 

 

Eternal Asia Supply Chain Management, Ltd. Class A

    1,600       1,841  

Jiangsu Flowers King Horticulture Co., Ltd. Class A

    500       1,117  

Jihua Group Corp., Ltd. Class A

    2,300       2,014  

Shaanxi Jinye Science Technology & Education Group Co., Ltd. Class A (b)

    2,000       2,366  

Shanghai Environment Group Co., Ltd. Class A (a)

    391       1,156  

Shanghai Jielong Industry Group Corp., Ltd. Class A (a)

    1,200       933  

Shenzhen Comix Group Co., Ltd. Class A (b)

    1,400       3,284  

Shenzhen ESUN Display Co., Ltd. Class A

    200       1,155  

Tungkong, Inc. Class A

    600       1,473  

Tus-Sound Environmental Resources Co., Ltd. Class A

    700       3,116  

UE Furniture Co., Ltd. Class A

    1,200       2,161  

Yunnan Yuntou Ecology and Environment Technology Co., Ltd. Class A (a)

    1,300       2,147  
   

 

 

 
      22,763  
   

 

 

 

COMMUNICATIONS EQUIPMENT — 0.9%

 

 

Addsino Co., Ltd. Class A

    1,000       1,689  

Fiberhome Telecommunication Technologies Co., Ltd. Class A

    1,100       4,843  
 

 

See accompanying notes to financial statements.

 

40


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Guangzhou Haige Communications Group, Inc. Co. Class A

    1,600     $ 2,607  

Shenzhen Coship Electronics Co., Ltd. Class A (a)

    2,200       1,619  

Shenzhen Keybridge Communications Co., Ltd. Class A (a)

    1,200       1,995  

ZTE Corp. Class A (a)

    2,000       9,485  
   

 

 

 
      22,238  
   

 

 

 

CONSTRUCTION & ENGINEERING — 3.6%

 

 

Changjiang & Jinggong Steel Building Group Co., Ltd. Class A

    2,500       1,411  

Changshu Fengfan Power Equipment Co., Ltd. Class A

    3,300       2,754  

China Gezhouba Group Co., Ltd. Class A

    4,400       6,056  

China National Chemical Engineering Co., Ltd. Class A

    4,200       4,860  

China Railway Construction Corp., Ltd. Class A

    1,500       2,322  

China Railway Group, Ltd. Class A

    4,900       5,748  

China State Construction Engineering Corp., Ltd. Class A

    13,600       18,957  

East China Engineering Science and Technology Co., Ltd. Class A

    1,000       1,424  

Jiangsu Zhongtai Bridge Steel Structure Co., Ltd. Class A (a)

    1,300       2,574  

Metallurgical Corp. of China, Ltd. Class A

    11,600       6,951  

Norinco International Cooperation, Ltd. Class A

    1,100       3,095  

Northcom Group Co., Ltd. Class A (a)

    1,190       5,163  

Power Construction Corp. of China, Ltd. Class A

    5,300       5,652  

Shanghai Chengdi Construction Corp., Ltd. Class A (b)

    600       2,548  

Shanghai Construction Group Co., Ltd. Class A

    5,141       3,064  

Shanghai Tunnel Engineering Co., Ltd. Class A

    1,900       2,186  

Shenzhen Tagen Group Co., Ltd. Class A

    1,400       2,154  

Suzhou Gold Mantis Construction Decoration Co., Ltd. Class A

    1,950       3,995  

Wuhan Xianglong Power Industry Co., Ltd. Class A (a)

    2,600       2,426  

Xinjiang Beixin Road & Bridge Group Co., Ltd. Class A

    900       1,492  
   

 

 

 
          84,832  
   

 

 

 

CONSTRUCTION MATERIALS — 1.0%

   

Anhui Conch Cement Co., Ltd. Class A

    1,700       8,671  

Anhui Xinli Finance Co., Ltd. Class A (b)

    1,400       2,473  

Arcplus Group PLC Class A (a)

    700       1,708  

Beijing Oriental Yuhong Waterproof Technology Co., Ltd. Class A

    800       5,282  

Shandong Jinjing Science & Technology Co., Ltd. Class A (a)

    4,700       3,003  

Shandong Longquan Pipeline Engineering Co., Ltd. Class A

    1,000       939  

 

Security Description

 

Shares

   

Value

 

Xiamen Wanli Stone Stock Co., Ltd. Class A

    1,200     $ 2,172  
   

 

 

 
          24,248  
   

 

 

 

CONTAINERS & PACKAGING — 0.5%

   

Jiangsu Shuangxing Color Plastic New Materials Co., Ltd. Class A

    2,340       2,484  

Org Packaging Co., Ltd. Class A (a)

    2,880       2,632  

Shanghai Zi Jiang Enterprise Group Co., Ltd. Class A

    3,400       2,507  

Shenzhen Beauty Star Co., Ltd. Class A

    2,700       3,219  
   

 

 

 
      10,842  
   

 

 

 

DISTRIBUTORS — 0.0% (c)

   

Shanghai Shenhua Holdings Co., Ltd. Class A (a)

    2,900       1,060  
   

 

 

 

DIVERSIFIED CONSUMER SERVICES — 0.3%

 

 

But one Information Corp. Xi an Class A (a)

    1,300       6,697  

Zhejiang Yasha Decoration Co., Ltd. Class A

    1,200       1,276  
   

 

 

 
      7,973  
   

 

 

 

DIVERSIFIED FINANCIAL SERVICES — 0.1%

 

 

Avic Capital Co., Ltd. Class A

    4,200       3,571  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 0.3%

   

263 Network Communications Co., Ltd. Class A (a)

    1,700       1,932  

Dr Peng Telecom & Media Group Co., Ltd. Class A

    1,000       2,386  

GuangDong Super Telecom Co., Ltd. Class A

    300       1,856  
   

 

 

 
      6,174  
   

 

 

 

ELECTRIC UTILITIES — 0.1%

   

Xinjiang Tianfu Energy Co., Ltd. Class A

    3,200       2,965  
   

 

 

 

ELECTRICAL EQUIPMENT — 2.9%

   

Anhui Xinlong Electrical Co., Ltd. Class A

    1,100       1,490  

Beijing Sifang Automation Co., Ltd. Class A

    1,200       1,295  

China XD Electric Co., Ltd. Class A

    3,700       2,393  

Dongfang Electronics Co., Ltd. Class A (a)

    5,600       3,863  

Fangda Carbon New Material Co., Ltd. Class A

    1,100       4,621  

Guoxuan High-Tech Co., Ltd. Class A

    1,200       4,158  

Henan Tong-DA Cable Co., Ltd. Class A (b)

    1,300       1,388  

Jiangsu SINOJIT Wind Energy Technology Co., Ltd. Class A (a)

    6,300       3,224  

Jiangsu Zongyi Co., Ltd. Class A (a)

    1,200       1,318  

Luxshare Precision Industry Co., Ltd. Class A

    1,800       6,966  

Nanjing Kangni Mechanical & Electrical Co., Ltd. Class A

    1,750       3,065  
 

 

See accompanying notes to financial statements.

 

41


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Shanghai Welltech Automation Co., Ltd. Class A

    900     $ 2,427  

Shenzhen Center Power Tech Co., Ltd. Class A

    600       1,367  

Shenzhen Hifuture Electric Co., Ltd. Class A (a) (b)

    2,500       5,467  

Shenzhen Invt Electric Co., Ltd. Class A

    1,700       2,262  

Shenzhen Moso Power Supply Technology Co., Ltd. Class A (a)

    1,600       2,403  

Shenzhen Woer Heat-Shrinkable Material Co., Ltd. Class A

    1,600       1,381  

Sieyuan Electric Co., Ltd. Class A

    2,520       6,505  

TBEA Co., Ltd. Class A

    2,313       3,239  

Tongling Jingda Special Magnet Wire Co., Ltd. Class A

    6,000       4,072  

Xinjiang Goldwind Science & Technology Co., Ltd. Class A

    2,210       6,242  
   

 

 

 
          69,146  
   

 

 

 

ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 3.9%

 

 

Accelink Technologies Co., Ltd. Class A

    1,200       5,178  

Beijing SDL Technology Co., Ltd. Class A

    700       1,218  

Dongxu Optoelectronic Technology Co., Ltd. Class A

    2,100       2,577  

Fujian Torch Electron Technology Co., Ltd. Class A

    1,500       5,970  

GoerTek, Inc. Class A

    2,000       4,342  

Hangzhou Hikvision Digital Technology Co., Ltd. Class A

    4,950       32,650  

Holitech Technology Co., Ltd. Class A

    3,000       4,554  

Ningbo Yunsheng Group Co., Ltd. Class A

    900       2,353  

O-film Tech Co., Ltd. Class A

    1,700       5,431  

Shen Zhen Mindata Holding Co., Ltd. Class A (a)

    1,400       2,470  

Shenzhen Fastprint Circuit Tech Co., Ltd. Class A

    2,700       2,257  

Shenzhen Infinova, Ltd. Class A (a)

    2,210       1,651  

Shenzhen Mason Technologies Co., Ltd. Class A

    2,400       2,575  

Shenzhen Sunlord Electronics Co., Ltd. Class A

    1,900       4,901  

TDG Holdings Co., Ltd. Class A (a)

    1,700       2,308  

Unigroup Guoxin Co., Ltd. Class A

    400       3,236  

WUS Printed Circuit Kunshan Co., Ltd. Class A

    3,400       2,307  

Zhejiang Dahua Technology Co., Ltd. Class A

    1,750       7,084  
   

 

 

 
      93,062  
   

 

 

 

ENERGY EQUIPMENT & SERVICES — 0.6%

 

 

Beijing New Oriental Star Petrochemical Engineering Co., Ltd. Class A

    200       792  

Cangzhou Mingzhu Plastic Co., Ltd. Class A

    3,230       4,851  

Offshore Oil Engineering Co., Ltd. Class A

    3,100       3,040  

Yantai Jereh Oilfield Services Group Co., Ltd. Class A

    900       2,130  

 

Security Description

 

Shares

   

Value

 

Zhejiang Kingland Pipeline & Technologies Co., Ltd. Class A

    2,300     $ 3,199  
   

 

 

 
      14,012  
   

 

 

 

FOOD & STAPLES RETAILING — 0.4%

   

Shenzhen Agricultural Products Co., Ltd. Class A

    1,300       1,490  

Yonghui Superstores Co., Ltd. Class A

    5,600       8,865  
   

 

 

 
      10,355  
   

 

 

 

FOOD PRODUCTS — 3.2%

   

Baotou Huazi Industry Co., Ltd. Class A

    1,500       1,822  

Beijing Dabeinong Technology Group Co., Ltd. Class A

    3,450       3,159  

Bright Dairy & Food Co., Ltd. Class A

    1,100       2,224  

COFCO Tunhe Sugar Co., Ltd. Class A

    1,300       1,595  

Foshan Haitian Flavouring & Food Co., Ltd. Class A

    1,000       9,118  

Gansu Yasheng Industrial Group Co., Ltd. Class A

    2,800       1,664  

Henan Shuanghui Investment & Development Co., Ltd. Class A

    2,600           10,529  

Hunan Dakang International Food & Agriculture Co., Ltd. Class A (a)

    6,080       2,416  

Inner Mongolia Yili Industrial Group Co., Ltd. Class A

    3,800       16,899  

Lotus Health Group Co. Class A (a)

    3,000       1,140  

MeiHua Holdings Group Co., Ltd. Class A

    2,800       2,296  

Muyuan Foodstuff Co., Ltd. Class A

    500       3,614  

Qiaqia Food Co., Ltd. Class A

    1,500       3,557  

Shandong Delisi Food Co., Ltd. Class A (a)

    2,800       3,062  

Shanghai Maling Aquarius Co., Ltd. Class A

    1,400       1,604  

Tongwei Co., Ltd. Class A

    2,000       3,312  

Xinjiang Guannong Fruit & Antler Group Co., Ltd. Class A

    1,800       2,023  

Yuan Longping High-tech Agriculture Co., Ltd. Class A

    1,400       5,730  
   

 

 

 
      75,764  
   

 

 

 

HEALTH CARE EQUIPMENT & SUPPLIES — 0.1%

 

 

Jiangsu Yuyue Medical Equipment & Supply Co., Ltd. Class A

    600       2,268  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES — 0.8%

 

 

Huadong Medicine Co., Ltd. Class A

    600       6,037  

Meinian Onehealth Healthcare Holdings Co., Ltd. Class A

    1,400       5,665  

Shanghai Pharmaceuticals Holding Co., Ltd. Class A

    1,200       4,629  

Zhejiang Huatong Pharmaceutical Co., Ltd. Class A

    1,500       2,353  
   

 

 

 
      18,684  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

42


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

HOTELS, RESTAURANTS & LEISURE — 0.7%

 

 

China International Travel Service Corp., Ltd. Class A

    1,200     $ 10,244  

Shenzhen Overseas Chinese Town Co., Ltd. Class A

    4,200       5,574  
   

 

 

 
      15,818  
   

 

 

 

HOUSEHOLD DURABLES — 2.6%

   

A-Zenith Furniture Co., Ltd. Class A

    1,300       2,304  

Chahua Modern Housewares Co., Ltd. Class A

    1,200       2,274  

Guangdong Homa Appliances Co., Ltd. Class A

    560       2,314  

Guangzhou Holike Creative Home Co., Ltd. Class A

    600       2,686  

Hangzhou Robam Appliances Co., Ltd. Class A

    800       4,706  

Hisense Electric Co., Ltd. Class A

    1,600       3,929  

Leo Group Co., Ltd. Class A

    3,163       1,428  

Markor International Home Furnishings Co., Ltd. Class A

    2,530       2,151  

Midea Group Co., Ltd. Class A

    3,600       31,642  

NavInfo Co., Ltd. Class A

    900       3,546  

Suofeiya Home Collection Co., Ltd. Class A

    900       4,832  
   

 

 

 
      61,812  
   

 

 

 

INDEPENDENT POWER PRODUCERS & ENERGY TRADERS — 2.2%

   

An Hui Wenergy Co., Ltd. Class A

    2,210       1,700  

China National Nuclear Power Co., Ltd. Class A

    7,000       7,454  

China Yangtze Power Co., Ltd. Class A

    3,900       9,980  

Datang Huayin Electric Power Co., Ltd. Class A (a)

    2,100       1,128  

Guangdong Baolihua New Energy Stock Co., Ltd. Class A

    1,800       2,360  

Huadian Power International Corp., Ltd. Class A

    4,300       2,590  

Huaneng Power International, Inc. Class A

    2,900       3,144  

Hubei Energy Group Co., Ltd. Class A

    3,200       2,207  

Inner Mongolia MengDian HuaNeng Thermal Power Corp., Ltd. Class A

    5,600       2,412  

SDIC Power Holdings Co., Ltd. Class A

    4,000       4,489  

Shanxi Zhangze Electric Power Co., Ltd. Class A (a)

    4,200       1,822  

Shenergy Co., Ltd. Class A

    3,900       3,571  

Shenzhen Energy Group Co., Ltd. Class A

    2,700       2,489  

Sichuan Chuantou Energy Co., Ltd. Class A

    3,800       5,400  

Zhongmin Energy Co., Ltd. Class A (a)

    4,400       2,748  
   

 

 

 
          53,494  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 0.1%

   

China Baoan Group Co., Ltd. Class A

    2,025       1,950  
   

 

 

 

INSURANCE — 3.5%

   

China Life Insurance Co., Ltd. Class A

    600       2,454  

 

Security Description

 

Shares

   

Value

 

China Pacific Insurance Group Co., Ltd. Class A

    3,300     $ 18,441  

New China Life Insurance Co., Ltd. Class A

    700       5,224  

Ping An Insurance Group Co. of China, Ltd. Class A

    5,200       54,870  

Xishui Strong Year Co., Ltd. Inner Mongolia Class A

    800       2,501  
   

 

 

 
      83,490  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 0.3%

 

 

Focus Technology Co., Ltd. Class A

    600       1,989  

Kee Ever Bright Decorative Technology Co., Ltd. Class A (a) (b)

    640       2,820  

People.cn Co., Ltd. Class A

    900       1,582  
   

 

 

 
      6,391  
   

 

 

 

IT SERVICES — 0.4%

   

DHC Software Co., Ltd. Class A

    2,400       3,090  

Fujian Rongji Software Co., Ltd. Class A

    2,300       3,429  

Shanghai AtHub Co., Ltd. Class A

    300       1,889  
   

 

 

 
      8,408  
   

 

 

 

LEISURE EQUIPMENT & PRODUCTS — 0.2%

 

 

Alpha Group Class A

    900       1,752  

Comefly Outdoor Co., Ltd. Class A

    400       1,904  
   

 

 

 
      3,656  
   

 

 

 

LIFE SCIENCES TOOLS & SERVICES — 0.1%

 

 

Shanghai Runda Medical Technology Co., Ltd. Class A

    1,080       2,722  
   

 

 

 

MACHINERY — 4.8%

   

Anhui Ankai Automobile Co., Ltd. Class A (a)

    2,500       2,591  

Anhui Heli Co., Ltd. Class A

    2,280       3,606  

CRRC Corp., Ltd. Class A

    11,800           18,999  

Dongguan Chitwing Technology Co., Ltd. Class A (a)

    1,300       2,335  

Eurocrane China Co., Ltd. Class A

    600       1,435  

Fujian Longma Environmental Sanitation Equipment Co., Ltd. Class A

    700       2,659  

Fujian Longxi Bearing Group Co., Ltd. Class A

    2,500       3,413  

Geron Co., Ltd. Class A

    100       337  

Han’s Laser Technology Industry Group Co., Ltd. Class A

    900       7,567  

IFE Elevators Co., Ltd. Class A (a)

    1,700       2,397  

Jiangsu Hengli Hydraulic Co., Ltd. Class A

    1,200       5,767  

Jiangsu Nonghua Intelligent Agriculture Technology Co., Ltd. Class A (a)

    1,900       1,048  

Linzhou Heavy Machinery Group Co., Ltd. Class A (a)

    2,210       1,507  

Mesnac Co., Ltd. Class A (a)

    1,300       1,529  

Nancal Energy-Saving Technology Co., Ltd. Class A

    600       2,125  

Nanxing Furniture Machinery & Equipment Co., Ltd. Class A

    300       1,638  
 

 

See accompanying notes to financial statements.

 

43


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

North Navigation Control Technology Co., Ltd. Class A

    1,200     $ 2,098  

Sanlux Co., Ltd. Class A

    2,000       2,489  

Sany Heavy Industry Co., Ltd. Class A

    3,900       4,891  

Shanghai Mechanical and Electrical Industry Co., Ltd. Class A

    800       2,696  

Shanghai Xinpeng Industrial Co., Ltd. Class A

    2,400       2,445  

Shantui Construction Machinery Co., Ltd. Class A (a)

    3,200       2,177  

Shenzhen Silver Basis Technology Co., Ltd. Class A

    1,800       2,603  

Sunward Intelligent Equipment Co., Ltd. Class A

    2,600       2,888  

Suzhou Dongshan Precision Manufacturing Co., Ltd. Class A (b)

    1,000       3,784  

Suzhou Thvow Technology Co., Ltd. Class A (a)

    2,600       3,240  

Taihai Manoir Nuclear Equipment Co., Ltd. Class A (b)

    900       3,881  

Taiyuan Heavy Industry Co., Ltd. Class A (a)

    4,600       2,193  

Tian Di Science & Technology Co., Ltd. Class A

    3,000       2,003  

Weihai Guangtai Airport Equipment Co., Ltd. Class A

    700       1,351  

XCMG Construction Machinery Co., Ltd. Class A

    4,400       2,741  

Zhejiang Sanhua Intelligent Controls Co., Ltd. Class A

    1,900       5,315  

Zhengzhou Yutong Bus Co., Ltd. Class A

    1,500       5,371  

Zoomlion Heavy Industry Science and Technology Co., Ltd. Class A

    4,700       3,145  
   

 

 

 
          114,264  
   

 

 

 

MARINE — 0.2%

   

COSCO SHIPPING Holdings Co., Ltd. Class A (a)

    3,800       3,575  
   

 

 

 

MEDIA — 1.5%

   

Beijing Gehua CATV Network Co., Ltd. Class A

    1,000       2,012  

China Media Group Class A (b)

    1,700       2,090  

China South Publishing & Media Group Co., Ltd. Class A

    1,300       2,661  

China Television Media, Ltd. Class A

    700       1,719  

Chinese Universe Publishing and Media Co., Ltd. Class A

    1,000       2,422  

CITIC Guoan Information Industry Co., Ltd. Class A

    4,000       4,476  

Contemporary Eastern Investment Co., Ltd. Class A (a)

    2,600       6,447  

Guangdong Advertising Group Co., Ltd. Class A

    1,859       1,380  

Jiangsu Phoenix Publishing & Media Corp., Ltd. Class A

    1,500       1,757  

Jishi Media Co., Ltd. Class A

    3,500       1,552  

Shanghai Oriental Pearl Group Co., Ltd. Class A

    1,500       3,876  

Security Description

 

Shares

   

Value

 

Shenzhen Topway Video Communication Co., Ltd. Class A

    1,680     $ 2,411  

Wanda Film Holding Co., Ltd. Class A (b)

    200       1,930  
   

 

 

 
      34,733  
   

 

 

 

METALS & MINING — 4.8%

   

Advanced Technology & Materials Co., Ltd. Class A (a)

    2,100       2,663  

Anyang Iron & Steel, Inc. Class A (a)

    8,100       5,137  

Baoshan Iron & Steel Co., Ltd. Class A

    8,656       11,887  

China Northern Rare Earth Group High-Tech Co., Ltd. Class A

    2,400       4,944  

Hunan Gold Corp., Ltd. Class A

    4,800       6,828  

Inner Mongolia BaoTou Steel Union Co., Ltd. Class A (a)

    37,800       13,157  

Jiangxi Ganfeng Lithium Co., Ltd. Class A

    400       4,975  

Kingswood Enterprise Co., Ltd. Class A (a) (b)

    4,500       2,118  

Maanshan Iron & Steel Co., Ltd. Class A (a)

    7,400       4,246  

Ningxia Xinri Hengli Steel Wire Co., Ltd. Class A (a) (b)

    1,100       2,943  

Shandong Gold Mining Co., Ltd. Class A

    1,600       7,334  

Shandong Humon Smelting Co., Ltd. Class A (a)

    3,100       5,090  

Shandong Iron and Steel Co., Ltd. Class A (a) (b)

    9,360       3,030  

Shanghai Prosolar Resources Development Co., Ltd. Class A (a)

    2,300       1,630  

Shanxi Taigang Stainless Steel Co., Ltd. Class A

    4,600       4,226  

Shenzhen Zhongjin Lingnan Nonfemet Co., Ltd. Class A

    1,700       2,524  

Tongling Nonferrous Metals Group Co., Ltd. Class A (a)

    10,600       4,448  

Western Mining Co., Ltd. Class A

    5,700       6,142  

Zhejiang Huayou Cobalt Co., Ltd. Class A (a)

    300       5,488  

Zhongjin Gold Corp., Ltd. Class A

    4,130       6,072  

Zhongnan Red Culture Group Co., Ltd. Class A

    1,300       2,519  

Zijin Mining Group Co., Ltd. Class A

    10,400       7,273  
   

 

 

 
          114,674  
   

 

 

 

MULTILINE RETAIL — 1.0%

   

Beijing Capital Retailing Group Co., Ltd. Class A

    1,800       2,263  

Chengdu Hongqi Chain Co., Ltd. Class A

    2,800       2,497  

Dalian Friendship Group Class A

    4,200       4,219  

Hunan Friendship & Apollo Cmmericial Co., Ltd. Class A

    4,000       3,147  

Rainbow Department Store Co., Ltd. Class A

    1,700       5,255  

Shanghai Yimin Commerce Group Co., Ltd. Class A

    3,100       2,207  

Wuhan Department Store Group Co., Ltd. Class A

    2,080       5,042  
   

 

 

 
      24,630  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

44


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

OIL, GAS & CONSUMABLE FUELS — 2.0%

 

 

Changchun Sinoenergy Corp. Class A (a) (b)

    2,800     $ 4,750  

China Petroleum & Chemical Corp. Class A

    4,700       4,945  

Guanghui Energy Co., Ltd. Class A (b)

    4,600       3,002  

Jizhong Energy Resources Co., Ltd. Class A

    4,100       3,350  

Oriental Energy Co., Ltd. Class A

    1,400       2,526  

PetroChina Co., Ltd. Class A

    4,500       5,507  

Shanxi Lanhua Sci-Tech Venture Co., Ltd. Class A (a)

    6,800       8,365  

Shanxi Xishan Coal & Electricity Power Co., Ltd. Class A

    7,000       8,767  

Wintime Energy Co., Ltd. Class A (b)

    6,200       3,307  

Yang Quan Coal Industry Group Co., Ltd. Class A (a)

    3,400       3,918  
   

 

 

 
          48,437  
   

 

 

 

PAPER & FOREST PRODUCTS — 0.7%

 

 

DeHua TB New Decoration Materials Co., Ltd. Class A

    1,950       3,490  

Fujian Jinsen Forestry Co., Ltd. Class A

    400       1,448  

Guangdong Weihua Corp. Class A (a)

    3,000       7,739  

Sichuan Guodong Construction Co., Ltd. Class A (a)

    5,200       2,818  
   

 

 

 
      15,495  
   

 

 

 

PHARMACEUTICALS — 5.3%

   

Beijing Tongrentang Co., Ltd. Class A

    1,000       5,353  

China Resources Sanjiu Medical & Pharmaceutical Co., Ltd. Class A

    1,000       4,307  

Dong-E-E-Jiao Co., Ltd. Class A

    700       6,782  

Guangdong Zhongsheng Pharmaceutical Co., Ltd. Class A

    1,900       3,603  

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class A

    600       2,770  

Guizhou Bailing Group Pharmaceutical Co., Ltd. Class A

    800       1,826  

Harbin Gloria Pharmaceuticals Co., Ltd. Class A (b)

    2,400       2,152  

Humanwell Healthcare Group Co., Ltd. Class A

    1,000       2,424  

Jiangsu Hengrui Medicine Co., Ltd. Class A

    1,440       18,951  

Jilin Aodong Pharmaceutical Group Co., Ltd. Class A

    1,430       4,652  

Joincare Pharmaceutical Group Industry Co., Ltd. Class A

    1,400       2,672  

Kangmei Pharmaceutical Co., Ltd. Class A

    2,600       9,257  

Renhe Pharmacy Co., Ltd. Class A

    1,800       1,459  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class A

    1,100       7,350  

Shenzhen Hepalink Pharmaceutical Group Co., Ltd. Class A

    1,280       3,473  

Shenzhen Salubris Pharmaceuticals Co., Ltd. Class A

    800       5,300  

Security Description

 

Shares

   

Value

 

Shijiazhuang Yiling Pharmaceutical Co., Ltd. Class A

    900     $ 2,186  

Sichuan Kelun Pharmaceutical Co., Ltd. Class A

    1,100       5,054  

Tasly Pharmaceutical Group Co., Ltd. Class A

    600       4,100  

Tianjin Lisheng Pharmaceutical Co., Ltd. Class A

    900       4,085  

Tonghua Dongbao Pharmaceutical Co., Ltd. Class A

    1,152       4,581  

Yabao Pharmaceutical Group Co., Ltd. Class A

    1,500       1,805  

Yifan Pharmaceutical Co., Ltd. Class A

    900       3,117  

Zhangzhou Pientzehuang Pharmaceutical Co., Ltd. Class A

    600       7,744  

Zhejiang Yatai Pharmaceutical Co., Ltd. Class A

    3,600       10,545  
   

 

 

 
          125,548  
   

 

 

 

PROFESSIONAL SERVICES — 0.3%

 

 

Beijing Orient Landscape & Environment Co., Ltd. Class A

    2,000       6,361  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 5.6%

 

Beijing Capital Development Co., Ltd. Class A

    1,600       2,177  

Beijing Centergate Technologies Holding Co., Ltd. Class A (a)

    3,200       3,270  

Beijing Urban Construction Investment & Development Co., Ltd. Class A

    1,500       2,804  

China Fortune Land Development Co., Ltd. Class A

    1,400       7,472  

China Merchants Shekou Industrial Zone Holdings Co., Ltd. Class A

    2,721       9,575  

China Vanke Co., Ltd. Class A

    5,100       27,690  

Chongqing Dima Industry Co., Ltd. Class A

    3,600       2,214  

Citychamp Dartong Co., Ltd. Class A

    2,100       1,963  

Gemdale Corp. Class A

    2,700       5,145  

Guangdong Shirongzhaoye Co., Ltd. Class A

    1,900       4,143  

Hainan Haide Industry Co., Ltd. Class A (a)

    1,000       4,069  

Hubei Fuxing Science And Technology Co., Ltd. Class A

    1,700       2,629  

Jinke Properties Group Co., Ltd. Class A

    4,100       3,597  

Lushang Property Co., Ltd. Class A (a)

    3,200       1,882  

Myhome Real Estate Development Group Co., Ltd. Class A

    3,600       1,717  

Oceanwide Holdings Co., Ltd. Class A (b)

    2,600       3,112  

Poly Real Estate Group Co., Ltd. Class A

    1,700       3,718  

RiseSun Real Estate Development Co., Ltd. Class A

    2,600       4,215  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class A

    1,440       4,312  

Shanghai Wanye Enterprises Co., Ltd. Class A

    2,200       4,241  

Shanghai Zhangjiang High-Tech Park Development Co., Ltd. Class A

    1,300       2,765  
 

 

See accompanying notes to financial statements.

 

45


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Shenzhen World Union Properties Consultancy, Inc. Class A

    2,100     $ 3,211  

Tahoe Group Co., Ltd. Class A

    800       3,617  

Xinhu Zhongbao Co., Ltd. Class A (a)

    15,100       11,160  

Youngor Group Co., Ltd. Class A

    2,660       3,556  

Zhejiang China Commodities City Group Co., Ltd. Class A

    4,100       3,499  

Zhongtian Financial Group Co., Ltd. Class A (b)

    3,000       3,928  

Zhongzhu Holding Co., Ltd. Class A (b)

    2,800       2,659  
   

 

 

 
          134,340  
   

 

 

 

ROAD & RAIL — 0.7%

   

China High-Speed Railway Technology Co., Ltd. Class A

    3,300       3,588  

Daqin Railway Co., Ltd. Class A

    7,400       9,762  

Guangshen Railway Co., Ltd. Class A

    4,300       3,130  
   

 

 

 
      16,480  
   

 

 

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 1.2%

 

EGing Photovoltaic Technology Co., Ltd. Class A

    3,600       2,386  

Hangzhou Silan Microelectronics Co., Ltd. Class A

    2,600       6,149  

LONGi Green Energy Technology Co., Ltd. Class A

    1,800       9,653  

Sanan Optoelectronics Co., Ltd. Class A

    2,240       8,253  

Shanghai Belling Co., Ltd. Class A

    1,300       2,847  
   

 

 

 
      29,288  
   

 

 

 

SOFTWARE — 1.9%

   

Beijing Shiji Information Technology Co., Ltd. Class A

    600       2,422  

Glodon Co., Ltd. Class A

    1,000       4,018  

Hangzhou Lianluo Interactive Information Technology Co., Ltd. Class A

    1,000       1,090  

Hunan Tianrun Digital Entertainment & Cultural Media Co., Ltd. Class A (a) (b)

    3,800       5,467  

Hundsun Technologies, Inc. Class A

    400       3,664  

Iflytek Co., Ltd. Class A

    900       8,453  

Inspur Software Co., Ltd. Class A

    500       1,416  

Kingnet Network Co., Ltd. Class A

    1,000       2,707  

Neusoft Corp. Class A

    1,200       2,706  

Shanghai 2345 Network Holding Group Co., Ltd. Class A

    2,040       1,822  

Shanghai Golden Bridge InfoTech Co., Ltd. Class A

    600       1,624  

Sinodata Co., Ltd. Class A

    300       953  

Wisesoft Co., Ltd. Class A

    500       1,381  

Yonyou Network Technology Co., Ltd. Class A

    1,100       6,539  
   

 

 

 
      44,262  
   

 

 

 

SPECIALTY RETAIL — 0.5%

   

Pang Da Automobile Trade Co., Ltd. Class A (a)

    5,700       2,120  

Security Description

 

Shares

   

Value

 

Suning Commerce Group Co., Ltd. Class A

    4,300     $ 9,602  
   

 

 

 
      11,722  
   

 

 

 

TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 1.5%

 

BOE Technology Group Co., Ltd. Class A

    18,800       16,046  

Dawning Information Industry Co., Ltd. Class A

    400       3,370  

Focus Media Information Technology Co., Ltd. Class A

    4,300       9,007  

GRG Banking Equipment Co., Ltd. Class A

    2,025       2,250  

Guangzhou KingTeller Technology Co., Ltd. Class A (a)

    2,700       2,077  

Inspur Electronic Information Industry Co., Ltd. Class A

    1,040       3,954  
   

 

 

 
          36,704  
   

 

 

 

TEXTILES,APPAREL & LUXURY GOODS — 1.4%

 

Anhui Huamao Textile Co. Class A

    4,300       2,877  

Bros Eastern Co., Ltd. Class A

    3,000       2,522  

Gansu Gangtai Holding Group Co., Ltd. Class A

    1,300       2,236  

Huafu Top Dyed Melange Yarn Co., Ltd. Class A

    2,500       4,697  

Huasi Holding Co., Ltd. Class A

    1,000       1,238  

Jiangsu Huaxicun Co., Ltd. Class A

    2,000       2,387  

Jiangsu Sunshine Co., Ltd. Class A (a)

    3,300       1,432  

Luthai Textile Co., Ltd. Class A

    1,300       2,159  

NanJi E-Commerce Co., Ltd. Class A (a)

    2,000       4,854  

Yantai Tayho Advanced Materials Co., Ltd. Class A

    1,200       2,270  

Zhejiang Hangmin Co., Ltd. Class A (b)

    1,700       3,092  

Zhejiang Ming Jewelry Co., Ltd. Class A

    1,500       1,631  

Zhejiang Weixing Industrial Development Co., Ltd. Class A

    1,300       2,322  
   

 

 

 
      33,717  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 0.6%

 

CMST Development Co., Ltd. Class A

    2,700       3,815  

Shandong Hiking International Co., Ltd. Class A (a) (b)

    1,800       2,560  

Shanghai Lansheng Corp. Class A

    600       1,285  

Shanghai Waigaoqiao Free Trade Zone Group Co., Ltd. Class A

    700       1,977  

Sinochem International Corp. Class A

    2,100       2,450  

Tianjin Teda Co., Ltd. Class A

    4,500       3,247  
   

 

 

 
      15,334  
   

 

 

 

TRANSPORTATION INFRASTRUCTURE — 1.8%

 

Dalian Port PDA Co., Ltd. Class A

    7,130       2,878  

Fujian Expressway Development Co., Ltd. Class A

    9,700       5,381  

Henan Zhongyuan Expressway Co., Ltd. Class A

    4,400       3,322  
 

 

See accompanying notes to financial statements.

 

46


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

Hubei Chutian Expressway Co., Ltd. Class A

    6,400     $ 4,313  

Jiangxi Ganyue Expressway Co., Ltd. Class A

    4,000       3,071  

Shanghai International Port Group Co., Ltd. Class A

    3,700       4,181  

Shenzhen Chiwan Wharf Holdings, Ltd. Class A (b)

    1,500       5,787  

TangShan Port Group Co., Ltd. Class A

    5,040       3,821  

Xiandai Investment Co., Ltd. Class A (b)

    4,800       4,937  

Yingkou Port Liability Co., Ltd. Class A

    5,100       2,472  

Zhangjiagang Freetrade Science & Technology Group Co., Ltd. Class A (b)

    3,600       2,635  
   

 

 

 
      42,798  
   

 

 

 

WATER UTILITIES — 0.4%

   

Beijing Capital Co., Ltd. Class A

    4,600       3,846  

Chengdu Xingrong Environment Co., Ltd. Class A

    3,600       2,884  

Guangdong Golden Dragon Development, Inc. Class A

    900       2,214  
   

 

 

 
      8,944  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $2,391,939)

          2,342,527  
   

 

 

 

Security Description

 

Shares

   

Value

 

SHORT-TERM INVESTMENT — 0.0% (c)

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)
(Cost $749)

    749     $ 749  
   

 

 

 

TOTAL INVESTMENTS — 98.5%
(Cost $2,392,688)

      2,343,276  
   

 

 

 

OTHER ASSETS IN EXCESS OF
LIABILITIES — 1.5%

 

    35,233  
   

 

 

 

NET ASSETS — 100.0%

    $   2,378,509  
   

 

 

 

 

(a) Non-income producing security.
(b) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $120,556 representing 5.1% of net assets.
(c) Amount shown represents less than 0.05% of net assets.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Aerospace & Defense

    $ 18,658     $     $     $ 18,658

Air Freight & Logistics

      9,922                   9,922

Airlines

      21,236       5,986             27,222

Auto Components

      42,236       2,575             44,811

Automobiles

      36,270                   36,270

Banks

        275,124                   275,124

Beverages

      131,729                   131,729

Biotechnology

      8,722                   8,722

Building Products

      8,217                   8,217

Capital Markets

      103,504                   103,504

Chemicals

      84,859       24,485             109,344

Commercial Services & Supplies

      17,113       5,650             22,763

Communications Equipment

      22,238                   22,238

Construction & Engineering

      82,284       2,548             84,832

Construction Materials

      21,775       2,473             24,248

Containers & Packaging

      10,842                   10,842

Distributors

      1,060                   1,060

Diversified Consumer Services

      7,973                   7,973

Diversified Financial Services

      3,571                   3,571

Diversified Telecommunication Services

      6,174                   6,174

Electric Utilities

      2,965                   2,965

Electrical Equipment

      62,291       6,855             69,146

Electronic Equipment, Instruments & Components

      93,062                   93,062

 

See accompanying notes to financial statements.

 

47


Table of Contents

SPDR MSCI CHINA A SHARES IMI ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Energy Equipment & Services

    $ 14,012     $     $     $ 14,012

Food & Staples Retailing

      10,355                   10,355

Food Products

      75,764                   75,764

Health Care Equipment & Supplies

      2,268                   2,268

Health Care Providers & Services

      18,684                   18,684

Hotels, Restaurants & Leisure

      15,818                   15,818

Household Durables

      61,812                   61,812

Independent Power Producers & Energy Traders

      53,494                   53,494

Industrial Conglomerates

      1,950                   1,950

Insurance

      83,490                   83,490

Internet Software & Services

      3,571       2,820             6,391

IT Services

      8,408                   8,408

Leisure Equipment & Products

      3,656                   3,656

Life Sciences Tools & Services

      2,722                   2,722

Machinery

      106,599       7,665             114,264

Marine

      3,575                   3,575

Media

      30,713       4,020             34,733

Metals & Mining

      106,583       8,091             114,674

Multiline Retail

      24,630                   24,630

Oil, Gas & Consumable Fuels

      37,378       11,059             48,437

Paper & Forest Products

      15,495                   15,495

Pharmaceuticals

      123,396       2,152             125,548

Professional Services

      6,361                   6,361

Real Estate Management & Development

      124,641       9,699             134,340

Road & Rail

      16,480                   16,480

Semiconductors & Semiconductor Equipment

      29,288                   29,288

Software

      38,795       5,467             44,262

Specialty Retail

      11,722                   11,722

Technology Hardware, Storage & Peripherals

      36,704                   36,704

Textiles, Apparel & Luxury Goods

      30,625       3,092             33,717

Trading Companies & Distributors

      12,774       2,560             15,334

Transportation Infrastructure

      29,439       13,359             42,798

Water Utilities

      8,944                   8,944

Short-Term Investment

      749                   749
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 2,222,720     $ 120,556     $     $ 2,343,276
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      966     $ 966     $ 3,955     $ 4,172     $     $       749     $ 749     $ 6     $

 

See accompanying notes to financial statements.

 

48


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.5%

   

AUSTRALIA — 5.9%

   

Alumina, Ltd.

    13,278     $ 24,036  

Amcor, Ltd.

    6,275       68,204  

AMP, Ltd.

    16,060       61,471  

APA Group

    5,535       33,455  

Aristocrat Leisure, Ltd.

    2,927       54,018  

ASX, Ltd.

    1,040       44,721  

Aurizon Holdings, Ltd.

    11,127       36,103  

Australia & New Zealand Banking Group, Ltd.

    15,820               325,939  

Bank of Queensland, Ltd.

    2,131       17,915  

Bendigo & Adelaide Bank, Ltd. (a)

    2,647       19,979  

BlueScope Steel, Ltd.

    3,378       39,100  

Boral, Ltd.

    5,871       33,505  

Brambles, Ltd.

    8,619       65,980  

Caltex Australia, Ltd.

    1,426       34,346  

Challenger, Ltd.

    3,087       27,325  

CIMIC Group, Ltd.

    540       18,420  

Coca-Cola Amatil, Ltd.

    3,087       20,530  

Cochlear, Ltd.

    320       44,580  

Commonwealth Bank of Australia

    9,032       500,963  

Computershare, Ltd.

    2,527       33,553  

Crown Resorts, Ltd.

    1,970       19,176  

CSL, Ltd.

    2,467       294,179  

Dexus REIT

    5,254       37,560  

Domino’s Pizza Enterprises, Ltd. (a)

    340       10,883  

Flight Centre Travel Group, Ltd. (a)

    422       18,447  

Fortescue Metals Group, Ltd. (a)

    8,459       28,095  

Goodman Group REIT

    9,653       62,419  

GPT Group REIT

    9,773       35,533  

Healthscope, Ltd.

    9,413       13,971  

Incitec Pivot, Ltd.

    9,159       24,659  

Insurance Australia Group, Ltd.

    13,178       75,609  

LendLease Group

    2,987       39,660  

Macquarie Group, Ltd.

    1,686       133,075  

Medibank Pvt, Ltd.

    14,938       33,229  

Mirvac Group REIT

    20,112       33,168  

National Australia Bank, Ltd.

    14,360       313,813  

Newcrest Mining, Ltd.

    4,172       62,595  

Orica, Ltd.

    2,030       27,654  

QBE Insurance Group, Ltd.

    7,461       55,112  

Ramsay Health Care, Ltd. (a)

    760       36,330  

REA Group, Ltd.

    280       17,012  

Scentre Group REIT

    28,899       84,899  

SEEK, Ltd.

    1,787       25,495  

Sonic Healthcare, Ltd.

    2,193       38,487  

Stockland REIT

    13,515       41,778  

Suncorp Group, Ltd.

    6,977       71,392  

Sydney Airport

    5,937       30,557  

Tabcorp Holdings, Ltd.

    8,059       27,137  

Telstra Corp., Ltd.

    23,217       55,919  

Transurban Group Stapled Security

    11,833       103,654  

Treasury Wine Estates, Ltd.

    4,012       51,885  

Vicinity Centres REIT

    18,270       33,774  

Wesfarmers, Ltd.

    6,117       195,001  

Westfield Corp. REIT

    10,707       69,973  

Westpac Banking Corp.

    17,869       392,278  

Security Description

 

Shares

   

Value

 

Woolworths, Ltd.

    7,147     $ 144,125  
   

 

 

 
              4,242,676  
   

 

 

 

AUSTRIA — 0.2%

   

ANDRITZ AG

    400       22,334  

Erste Group Bank AG

    1,646       82,593  

Raiffeisen Bank International AG (b)

    640       24,864  

Voestalpine AG

    620       32,460  
   

 

 

 
      162,251  
   

 

 

 

BELGIUM — 1.3%

   

Ageas

    1,080       55,733  

Anheuser-Busch InBev SA

    4,058       445,573  

Colruyt SA

    360       19,888  

Groupe Bruxelles Lambert SA

    440       50,217  

KBC Group NV

    1,380       120,026  

Proximus SADP

    820       25,444  

Solvay SA

    400       55,516  

Telenet Group Holding NV (b)

    280       18,681  

UCB SA

    680       55,346  

Umicore SA

    1,040       54,909  
   

 

 

 
      901,333  
   

 

 

 

CHILE — 0.0% (c)

   

Antofagasta PLC

    2,127       27,480  
   

 

 

 

CHINA — 0.1%

   

Minth Group, Ltd.

    4,000       18,221  

Yangzijiang Shipbuilding Holdings, Ltd.

    14,000       12,918  
   

 

 

 
      31,139  
   

 

 

 

DENMARK — 2.0%

   

AP Moeller - Maersk A/S Class B

    40       61,667  

AP Moller - Maersk A/S Class A

    15       21,915  

Carlsberg A/S Class B

    580       68,977  

Chr Hansen Holding A/S

    540       46,419  

Coloplast A/S Class B

    640       53,917  

Danske Bank A/S

    3,748       139,385  

DONG Energy A/S (d)

    1,081       69,916  

DSV A/S

    1,020       79,821  

Genmab A/S (b)

    300       64,248  

H Lundbeck A/S

    299       16,665  

ISS A/S

    900       33,203  

Novo Nordisk A/S Class B

    9,976       489,673  

Novozymes A/S Class B

    1,260       64,945  

Pandora A/S

    600       64,327  

TDC A/S (b)

    4,032       33,342  

Tryg A/S

    558       12,935  

Vestas Wind Systems A/S

    1,220       86,515  

William Demant Holding A/S (b)

    640       23,674  
   

 

 

 
      1,431,544  
   

 

 

 

FINLAND — 1.1%

   

Elisa Oyj

    760       34,369  

Fortum Oyj (a)

    2,407       51,656  

Kone Oyj Class B

    1,847       92,065  

Metso Oyj (a)

    620       19,528  

Neste Oyj (a)

    700       48,727  

Nokia Oyj

    31,679       174,738  
 

 

See accompanying notes to financial statements.

 

49


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Nokian Renkaat Oyj

    620     $ 28,137  

Orion Oyj Class B

    560       17,128  

Sampo Oyj Class A

    2,427       135,094  

Stora Enso Oyj Class R (a)

    2,987       54,828  

UPM-Kymmene Oyj

    2,887       106,872  

Wartsila Oyj Abp

    2,404       53,070  
   

 

 

 
              816,212  
   

 

 

 

FRANCE — 10.2%

   

Accor SA

    949       51,179  

Aeroports de Paris

    160       34,829  

Air Liquide SA

    2,313       282,985  

Airbus SE

    3,077       354,963  

Alstom SA

    820       36,920  

Amundi SA (d)

    320       25,683  

Arkema SA

    360       46,931  

Atos SE

    480       65,585  

AXA SA

    10,305       273,750  

BioMerieux

    219       18,046  

BNP Paribas SA

    5,965       441,411  

Bollore SA (e)

    4,760       25,348  

Bollore SA (a) (b) (e)

    22       117  

Bouygues SA

    1,140       57,077  

Bureau Veritas SA

    1,466       38,060  

Capgemini SE

    880       109,526  

Carrefour SA (a)

    3,089       64,013  

Casino Guichard Perrachon SA (a)

    300       14,688  

Cie de Saint-Gobain

    2,687       141,635  

Cie Generale des Etablissements Michelin SCA

    860       126,815  

CNP Assurances

    920       23,195  

Credit Agricole SA

    5,743       93,267  

Danone SA

    3,084       249,305  

Dassault Aviation SA

    14       26,705  

Dassault Systemes SE

    702       95,314  

Edenred

    1,158       40,218  

Eiffage SA

    320       36,396  

Essilor International Cie Generale d’Optique SA

    1,121       151,101  

Eurazeo SA

    235       21,604  

Eutelsat Communications SA

    940       18,613  

Faurecia SA

    401       32,411  

Fonciere Des Regions REIT

    182       20,067  

Gecina SA REIT

    242       41,995  

Getlink SE

    2,523       35,994  

Hermes International

    155       91,787  

ICADE REIT

    200       19,407  

Iliad SA

    140       28,926  

Imerys SA

    200       19,407  

Ingenico Group SA

    303       24,550  

Ipsen SA

    201       31,184  

JCDecaux SA

    400       13,902  

Kering SA

    401       191,745  

Klepierre SA REIT

    1,200       48,333  

Lagardere SCA

    640       18,261  

Legrand SA

    1,466       114,849  

L’Oreal SA

    1,373       309,602  

LVMH Moet Hennessy Louis Vuitton SE

    1,477       454,486  

Security Description

 

Shares

   

Value

 

Natixis SA

    5,094     $ 41,711  

Orange SA

    10,787       182,877  

Pernod Ricard SA

    1,160       192,951  

Peugeot SA

    2,627       63,162  

Publicis Groupe SA

    1,053       73,273  

Remy Cointreau SA

    120       17,090  

Renault SA

    918       111,207  

Rexel SA

    1,666       28,173  

Safran SA

    1,707       180,503  

Sanofi

    5,976       480,148  

Schneider Electric SE

    3,027       265,581  

SCOR SE

    880       35,996  

SEB SA

    105       20,042  

Societe BIC SA

    160       15,909  

Societe Generale SA

    4,043       219,576  

Sodexo SA

    520       52,377  

Suez

    1,932       27,966  

Teleperformance

    304       47,108  

Thales SA

    580       70,575  

Ubisoft Entertainment SA (b)

    335       28,230  

Unibail-Rodamco SE REIT (a)

    540       123,294  

Valeo SA

    1,300       85,760  

Veolia Environnement SA

    2,447       57,917  

Vinci SA

    2,727       267,969  

Vivendi SA

    5,337       137,838  

Wendel SA

    160       24,932  
   

 

 

 
              7,314,350  
   

 

 

 

GERMANY — 10.4%

   

1&1 Drillisch AG

    280       18,854  

adidas AG

    1,020       246,687  

Allianz SE

    2,375       535,692  

Axel Springer SE

    240       20,071  

BASF SE

    4,843       491,205  

Bayer AG

    4,361       492,304  

Bayerische Motoren Werke AG

    1,807       195,899  

Bayerische Motoren Werke AG Preference Shares

    300       28,096  

Beiersdorf AG

    540       61,112  

Brenntag AG

    840       49,897  

Commerzbank AG (b)

    5,783       74,991  

Continental AG

    600       165,513  

Covestro AG (d)

    819       80,439  

Daimler AG

    5,009       424,877  

Deutsche Bank AG

    10,568       147,205  

Deutsche Boerse AG

    1,040       141,462  

Deutsche Lufthansa AG

    1,280       40,835  

Deutsche Post AG

    5,274       230,391  

Deutsche Telekom AG

    17,492       285,041  

Deutsche Wohnen SE

    1,847       86,091  

Evonik Industries AG

    880       30,996  

Fraport AG Frankfurt Airport Services Worldwide

    220       21,672  

Fresenius Medical Care AG & Co. KGaA

    1,200       122,464  

Fresenius SE & Co. KGaA

    2,207       168,448  

Fuchs Petrolub SE Preference Shares

    380       20,610  

GEA Group AG

    980       41,642  
 

 

See accompanying notes to financial statements.

 

50


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Hannover Rueck SE

    320     $ 43,645  

HeidelbergCement AG

    760       74,569  

Henkel AG & Co. KGaA Preference Shares

    960       126,153  

Henkel AG & Co. KGaA

    560       70,456  

HOCHTIEF AG

    120       22,388  

HUGO BOSS AG

    360       31,329  

Infineon Technologies AG

    6,141       164,192  

Innogy SE (d)

    910       43,054  

KION Group AG

    242       22,542  

KS AG

    1,040       29,981  

Lanxess AG

    500       38,248  

Linde AG (b)

    1,000       210,427  

MAN SE

    200       23,306  

Merck KGaA

    700       67,064  

METRO AG

    960       16,990  

MTU Aero Engines AG

    276       46,435  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    761       176,748  

OSRAM Licht AG

    480       35,278  

Porsche Automobil Holding SE Preference Shares

    820       68,072  

ProSiebenSat.1 Media SE

    1,200       41,589  

QIAGEN NV (b)

    1,177       37,998  

RWE AG (b)

    2,647       65,304  

SAP SE

    5,186       541,939  

Schaeffler AG Preference Shares

    900       13,875  

Siemens AG

    4,018       511,548  

Symrise AG

    660       53,053  

Telefonica Deutschland Holding AG

    4,052       19,016  

ThyssenKrupp AG

    1,990       51,860  

TUI AG

    2,275       48,764  

United Internet AG

    660       41,478  

Volkswagen AG

    117       23,397  

Volkswagen AG Preference Shares

    1,000       198,473  

Vonovia SE

    2,608       129,100  

Wirecard AG

    620       73,140  

Zalando SE (b) (d)

    460       25,051  
   

 

 

 
              7,408,956  
   

 

 

 

HONG KONG — 3.6%

   

AIA Group, Ltd.

    64,000       541,468  

ASM Pacific Technology, Ltd.

    1,600       22,344  

Bank of East Asia, Ltd.

    8,134       32,439  

BOC Hong Kong Holdings, Ltd.

    20,000       97,346  

CK Asset Holdings, Ltd.

    12,000       100,684  

CK Hutchison Holdings, Ltd.

    13,000       155,537  

CK Infrastructure Holdings, Ltd.

    2,000       16,347  

CLP Holdings, Ltd.

    9,000       91,625  

Galaxy Entertainment Group, Ltd.

    15,000       136,176  

Hang Lung Group, Ltd.

    3,000       9,805  

Hang Lung Properties, Ltd.

    16,000       37,267  

Hang Seng Bank, Ltd.

    4,000       92,555  

Henderson Land Development Co., Ltd.

    5,000       32,555  

HKT Trust & HKT, Ltd.

    20,000       25,152  

Hong Kong Exchanges & Clearing, Ltd.

    6,076       197,571  

Security Description

 

Shares

   

Value

 

Hongkong Land Holdings, Ltd.

    6,000     $ 41,340  

Hysan Development Co., Ltd.

    2,000       10,575  

Jardine Matheson Holdings, Ltd.

    1,300       80,106  

Jardine Strategic Holdings, Ltd.

    1,500       57,510  

Kerry Properties, Ltd.

    2,500       11,260  

Kingston Financial Group, Ltd. (a)

    20,000       8,945  

Li & Fung, Ltd.

    40,000       19,571  

Link REIT

    10,000       85,369  

Melco Resorts & Entertainment, Ltd. ADR

    1,020       29,560  

MTR Corp., Ltd.

    8,500       45,704  

New World Development Co., Ltd.

    33,943       47,920  

NWS Holdings, Ltd.

    7,530       13,662  

Power Assets Holdings, Ltd.

    8,500       75,758  

Sands China, Ltd.

    13,600       73,127  

Shangri-La Asia, Ltd.

    2,000       4,026  

Sino Land Co., Ltd.

    14,675       23,747  

SJM Holdings, Ltd.

    20,000       17,380  

Sun Hung Kai Properties, Ltd.

    8,000       126,397  

Swire Pacific, Ltd. Class A

    1,000       10,085  

Swire Properties, Ltd.

    8,000       28,031  

Techtronic Industries Co., Ltd.

    8,000       46,634  

WH Group, Ltd. (d)

    47,500       50,597  

Wharf Holdings, Ltd.

    4,000       13,735  

Wharf Real Estate Investment Co., Ltd. (b)

    5,000       32,555  

Wheelock & Co., Ltd.

    2,000       14,615  

Yue Yuen Industrial Holdings, Ltd.

    3,500       13,891  
   

 

 

 
              2,570,971  
   

 

 

 

IRELAND — 0.6%

   

AerCap Holdings NV (b)

    758       38,446  

AIB Group PLC

    4,304       25,895  

Bank of Ireland Group PLC (b)

    4,978       43,529  

CRH PLC

    4,534       153,734  

James Hardie Industries PLC

    2,407       42,224  

Kerry Group PLC Class A

    860       87,152  

Paddy Power Betfair PLC

    440       45,158  

Ryanair Holdings PLC ADR (b)

    180       22,113  
   

 

 

 
      458,251  
   

 

 

 

ISRAEL — 0.5%

   

Azrieli Group, Ltd.

    240       11,491  

Bank Hapoalim BM

    5,783       39,598  

Bank Leumi Le-Israel BM

    6,279       37,754  

Bezeq The Israeli Telecommunication Corp., Ltd.

    11,247       14,352  

Check Point Software Technologies, Ltd. (b)

    700       69,538  

Elbit Systems, Ltd.

    122       14,630  

Frutarom Industries, Ltd.

    218       19,938  

Israel Chemicals, Ltd.

    2,767       11,664  

Mizrahi Tefahot Bank, Ltd.

    760       14,510  

Nice, Ltd.

    320       29,686  

Teva Pharmaceutical Industries, Ltd.

    4,954       84,043  
   

 

 

 
      347,204  
   

 

 

 

ITALY — 1.7%

   

Assicurazioni Generali SpA

    6,335       121,736  
 

 

See accompanying notes to financial statements.

 

51


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Atlantia SpA

    2,227     $ 68,883  

Davide Campari-Milano SpA

    3,070       23,220  

Ferrari NV

    660       79,173  

Intesa Sanpaolo SpA (e)

    70,526       256,176  

Intesa Sanpaolo SpA (e)

    5,054       19,132  

Leonardo SpA

    2,187       25,224  

Luxottica Group SpA

    920       57,139  

Mediobanca Banca di Credito Finanziario SpA

    3,067       36,015  

Poste Italiane SpA (d)

    2,827       25,798  

Prysmian SpA

    1,080       33,870  

Recordati SpA

    561       20,685  

Snam SpA

    13,298       61,052  

Telecom Italia SpA/Milano (b)

    54,948       52,102  

Telecom Italia SpA/Milano

    32,710       27,210  

Terna Rete Elettrica Nazionale SpA

    8,179       47,770  

UniCredit SpA (b)

    10,559       220,606  

UnipolSai Assicurazioni SpA

    6,137       14,589  
   

 

 

 
              1,190,380  
   

 

 

 

JAPAN — 25.8%

   

Aeon Co., Ltd.

    3,400       60,087  

AEON Financial Service Co., Ltd. (a)

    500       11,462  

Air Water, Inc.

    1,500       28,956  

Aisin Seiki Co., Ltd.

    1,200       64,767  

Ajinomoto Co., Inc.

    3,500       63,138  

Alfresa Holdings Corp. (a)

    1,500       33,413  

Alps Electric Co., Ltd.

    500       12,177  

Amada Holdings Co., Ltd.

    2,000       23,977  

ANA Holdings, Inc.

    300       11,518  

Aozora Bank, Ltd.

    300       11,932  

Asahi Glass Co., Ltd.

    1,200       49,591  

Asahi Group Holdings, Ltd.

    2,000       107,005  

Asahi Kasei Corp.

    6,100       80,215  

Asics Corp. (a)

    500       9,220  

Astellas Pharma, Inc.

    11,200       170,185  

Bandai Namco Holdings, Inc.

    1,500       47,955  

Bank of Kyoto, Ltd.

    200       11,171  

Benesse Holdings, Inc.

    300       10,776  

Bridgestone Corp.

    3,600       156,660  

Brother Industries, Ltd.

    1,600       36,513  

Calbee, Inc. (a)

    300       10,127  

Canon, Inc.

    5,700       206,347  

Casio Computer Co., Ltd. (a)

    500       7,353  

Central Japan Railway Co.

    800       151,274  

Chiba Bank, Ltd.

    2,000       16,117  

Chubu Electric Power Co., Inc.

    4,000       57,057  

Chugai Pharmaceutical Co., Ltd.

    1,500       75,176  

Chugoku Electric Power Co., Inc. (a)

    2,000       24,297  

Coca-Cola Bottlers Japan Holdings, Inc.

    300       12,327  

Concordia Financial Group, Ltd.

    6,000       33,456  

Credit Saison Co., Ltd.

    1,500       24,739  

Dai Nippon Printing Co., Ltd.

    1,500       30,790  

Daicel Corp.

    2,000       21,702  

Daifuku Co., Ltd.

    400       23,282  

Dai-ichi Life Holdings, Inc.

    6,000       109,732  

Security Description

 

Shares

   

Value

 

Daiichi Sankyo Co., Ltd.

    3,500     $ 116,338  

Daikin Industries, Ltd.

    1,500       164,245  

Daito Trust Construction Co., Ltd.

    300       50,804  

Daiwa House Industry Co., Ltd.

    3,300       125,360  

Daiwa House REIT Investment Corp.

    4       9,644  

Daiwa Securities Group, Inc.

    6,000       38,155  

DeNA Co., Ltd. (a)

    500       9,017  

Denso Corp.

    2,300       125,046  

Dentsu, Inc.

    1,500       65,585  

Disco Corp.

    100       20,987  

Don Quijote Holdings Co., Ltd.

    500       28,397  

East Japan Railway Co.

    1,800       167,086  

Eisai Co., Ltd.

    1,700       108,474  

FamilyMart UNY Holdings Co., Ltd.

    200       16,568  

FANUC Corp.

    1,200               299,803  

Fast Retailing Co., Ltd.

    300       118,308  

Fuji Electric Co., Ltd.

    2,000       13,521  

FUJIFILM Holdings Corp.

    2,000       78,909  

Fujitsu, Ltd.

    10,000       60,085  

Fukuoka Financial Group, Inc.

    2,000       10,832  

Hakuhodo DY Holdings, Inc.

    2,000       27,325  

Hamamatsu Photonics KK

    600       22,849  

Hankyu Hanshin Holdings, Inc.

    1,500       55,712  

Hikari Tsushin, Inc.

    100       15,957  

Hino Motors, Ltd.

    2,000       25,689  

Hirose Electric Co., Ltd.

    105       14,355  

Hisamitsu Pharmaceutical Co., Inc.

    200       15,308  

Hitachi Chemical Co., Ltd.

    400       8,816  

Hitachi Construction Machinery Co., Ltd. (a)

    400       15,270  

Hitachi High-Technologies Corp.

    300       13,992  

Hitachi Metals, Ltd.

    1,400       16,271  

Hitachi, Ltd.

    25,000       179,384  

Honda Motor Co., Ltd.

    9,400       321,819  

Hoshizaki Corp.

    200       17,640  

Hoya Corp.

    2,000       99,840  

Hulic Co., Ltd.

    2,000       21,589  

IHI Corp.

    500       15,421  

Iida Group Holdings Co., Ltd. (a)

    1,400       25,854  

Isetan Mitsukoshi Holdings, Ltd.

    2,000       21,871  

Isuzu Motors, Ltd.

    2,400       36,310  

ITOCHU Corp. (a)

    8,000       154,321  

J Front Retailing Co., Ltd.

    1,500       24,979  

Japan Airlines Co., Ltd.

    300       12,099  

Japan Exchange Group, Inc.

    3,400       62,821  

Japan Post Bank Co., Ltd. (a)

    2,000       26,949  

Japan Post Holdings Co., Ltd.

    7,900       95,454  

Japan Prime Realty Investment Corp. REIT

    3       10,860  

Japan Real Estate Investment Corp. REIT

    3       15,543  

Japan Retail Fund Investment Corp. REIT

    20       38,740  

Japan Tobacco, Inc.

    6,000       171,227  

JFE Holdings, Inc.

    2,500       49,777  

JGC Corp.

    1,400       30,014  
 

 

See accompanying notes to financial statements.

 

52


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

JSR Corp.

    1,500     $ 33,329  

JTEKT Corp.

    1,400       20,246  

Kajima Corp.

    3,000       27,842  

Kakaku.com, Inc.

    400       6,962  

Kamigumi Co., Ltd.

    500       11,067  

Kaneka Corp.

    1,000       9,864  

Kansai Electric Power Co., Inc.

    4,000       51,866  

Kansai Paint Co., Ltd.

    1,600       37,040  

Kao Corp.

    2,500       186,460  

Kawasaki Heavy Industries, Ltd.

    400       12,732  

KDDI Corp.

    9,700               246,764  

Keihan Holdings Co., Ltd.

    400       12,318  

Keikyu Corp.

    500       8,721  

Keio Corp.

    500       21,345  

Keisei Electric Railway Co., Ltd.

    400       12,186  

Keyence Corp.

    500       307,945  

Kikkoman Corp.

    600       24,034  

Kintetsu Group Holdings Co., Ltd.

    800       31,255  

Kirin Holdings Co., Ltd.

    4,400       116,402  

Kobe Steel, Ltd. (b)

    2,000       19,614  

Koito Manufacturing Co., Ltd.

    500       34,462  

Komatsu, Ltd.

    4,500       148,308  

Konami Holdings Corp.

    300       15,007  

Konica Minolta, Inc. (a)

    2,000       16,794  

Kose Corp.

    100       20,771  

Kubota Corp.

    6,000       104,090  

Kuraray Co., Ltd.

    2,000       34,227  

Kurita Water Industries, Ltd.

    400       12,732  

Kyocera Corp.

    1,800       100,316  

Kyowa Hakko Kirin Co., Ltd.

    1,600       34,407  

Kyushu Electric Power Co., Inc.

    2,000       23,996  

Kyushu Financial Group, Inc.

    2,000       9,892  

Kyushu Railway Co.

    349       10,829  

Lawson, Inc.

    100       6,808  

Lion Corp.

    600       12,214  

LIXIL Group Corp.

    1,600       35,129  

M3, Inc. (a)

    1,400       63,451  

Mabuchi Motor Co., Ltd.

    200       9,817  

Makita Corp.

    1,400       68,453  

Marubeni Corp.

    10,000       72,092  

Marui Group Co., Ltd. (a)

    500       9,967  

Mazda Motor Corp. (a)

    3,300       43,736  

McDonald’s Holdings Co. Japan, Ltd.

    200       9,422  

Mebuki Financial Group, Inc.

    4,500       17,264  

Medipal Holdings Corp.

    1,400       28,935  

MEIJI Holdings Co., Ltd.

    500       38,223  

MINEBEA MITSUMI, Inc. (a)

    2,000       42,181  

MISUMI Group, Inc. (a)

    1,600       43,554  

Mitsubishi Chemical Holdings Corp.

    8,000       76,728  

Mitsubishi Corp.

    8,000       212,544  

Mitsubishi Electric Corp.

    10,000       159,803  

Mitsubishi Estate Co., Ltd.

    6,500       106,958  

Mitsubishi Gas Chemical Co., Inc.

    1,400       33,187  

Mitsubishi Heavy Industries, Ltd.

    1,300       49,616  

Mitsubishi Materials Corp.

    300       8,787  

Mitsubishi Motors Corp. (a)

    4,000       28,284  

Security Description

 

Shares

   

Value

 

Mitsubishi Tanabe Pharma Corp.

    1,600     $ 32,135  

Mitsubishi UFJ Financial Group, Inc.

    63,100       413,131  

Mitsubishi UFJ Lease & Finance Co., Ltd.

    1,600       9,433  

Mitsui & Co., Ltd.

    9,300       158,279  

Mitsui Chemicals, Inc.

    800       25,049  

Mitsui Fudosan Co., Ltd.

    4,500       107,137  

Mitsui OSK Lines, Ltd.

    300       8,420  

Mixi, Inc.

    200       7,410  

Mizuho Financial Group, Inc. (a)

    130,000               234,086  

MS&AD Insurance Group Holdings, Inc.

    2,400       73,930  

Murata Manufacturing Co., Ltd.

    1,200       163,498  

Nabtesco Corp.

    300       11,495  

Nagoya Railroad Co., Ltd.

    400       10,133  

NEC Corp.

    800       22,266  

Nexon Co., Ltd. (b)

    2,800       47,101  

NGK Insulators, Ltd. (a)

    1,600       27,321  

NGK Spark Plug Co., Ltd.

    1,200       28,536  

NH Foods, Ltd.

    500       20,428  

Nidec Corp.

    1,400       211,942  

Nikon Corp.

    2,000       35,712  

Nintendo Co., Ltd.

    600       263,244  

Nippon Building Fund, Inc. REIT

    5       27,645  

Nippon Electric Glass Co., Ltd.

    300       8,575  

Nippon Express Co., Ltd.

    200       13,070  

Nippon Paint Holdings Co., Ltd.

    500       18,218  

Nippon Prologis REIT, Inc.

    7       15,145  

Nippon Steel & Sumitomo Metal Corp.

    4,000       86,808  

Nippon Telegraph & Telephone Corp.

    3,800       175,154  

Nippon Yusen KK

    900       17,441  

Nissan Chemical Industries, Ltd.

    300       12,299  

Nissan Motor Co., Ltd. (a)

    12,200       125,556  

Nisshin Seifun Group, Inc.

    700       13,809  

Nissin Foods Holdings Co., Ltd.

    200       13,803  

Nitori Holdings Co., Ltd.

    400       69,525  

Nitto Denko Corp.

    700       52,077  

NOK Corp.

    200       3,857  

Nomura Holdings, Inc.

    20,000       114,941  

Nomura Real Estate Holdings, Inc.

    500       11,594  

Nomura Real Estate Master Fund, Inc.

    20       27,776  

Nomura Research Institute, Ltd.

    600       27,955  

NSK, Ltd.

    2,000       26,479  

NTT Data Corp.

    3,500       36,300  

NTT DOCOMO, Inc.

    7,600       192,197  

Obayashi Corp.

    4,000       43,479  

Obic Co., Ltd.

    200       16,606  

Odakyu Electric Railway Co., Ltd. (a)

    2,000       40,433  

Oji Holdings Corp.

    2,000       12,750  

Olympus Corp.

    1,700       64,260  

Omron Corp. (a)

    1,400       80,433  

Ono Pharmaceutical Co., Ltd.

    2,000       63,056  

Oracle Corp. Japan

    100       8,171  
 

 

See accompanying notes to financial statements.

 

53


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Oriental Land Co., Ltd.

    1,400     $ 142,040  

ORIX Corp.

    6,700       118,345  

Osaka Gas Co., Ltd. (a)

    2,200       43,379  

Otsuka Corp.

    400       20,160  

Otsuka Holdings Co., Ltd.

    2,000       99,539  

Panasonic Corp.

    12,000       169,647  

Park24 Co., Ltd. (a)

    400       10,840  

Pola Orbis Holdings, Inc.

    300       12,398  

Rakuten, Inc.

    6,000       49,241  

Recruit Holdings Co., Ltd.

    6,000       148,040  

Renesas Electronics Corp. (b)

    2,400       23,718  

Resona Holdings, Inc.

    12,000       63,741  

Ricoh Co., Ltd. (a)

    4,000       39,003  

Rinnai Corp.

    100       9,441  

Rohm Co., Ltd.

    500       46,544  

Ryohin Keikaku Co., Ltd.

    100       33,098  

Santen Pharmaceutical Co., Ltd.

    2,000       33,098  

SBI Holdings, Inc.

    1,300       29,851  

Secom Co., Ltd.

    1,400       103,075  

Sega Sammy Holdings, Inc.

    500       8,016  

Seibu Holdings, Inc.

    1,400       24,275  

Seiko Epson Corp.

    1,600       27,411  

Sekisui Chemical Co., Ltd.

    2,000       34,603  

Sekisui House, Ltd.

    3,400       61,766  

Seven & i Holdings Co., Ltd.

    4,000               170,456  

Seven Bank, Ltd. (a)

    4,000       12,713  

Sharp Corp. (b)

    600       17,772  

Shimadzu Corp.

    1,400       37,992  

Shimamura Co., Ltd.

    100       12,393  

Shimano, Inc.

    300       43,018  

Shimizu Corp.

    2,000       17,621  

Shin-Etsu Chemical Co., Ltd.

    2,000       204,513  

Shinsei Bank, Ltd.

    700       10,775  

Shionogi & Co., Ltd. (a)

    1,800       92,835  

Shiseido Co., Ltd.

    2,000       127,654  

Shizuoka Bank, Ltd.

    2,000       18,994  

Showa Shell Sekiyu KK

    1,300       17,492  

SMC Corp.

    300       120,141  

SoftBank Group Corp.

    4,300       315,616  

Sohgo Security Services Co., Ltd.

    200       9,723  

Sompo Holdings, Inc.

    2,000       79,756  

Sony Corp.

    6,500       312,318  

Sony Financial Holdings, Inc. (a)

    1,400       25,301  

Stanley Electric Co., Ltd.

    500       18,500  

Start Today Co., Ltd.

    1,400       35,925  

Subaru Corp.

    3,500       114,824  

SUMCO Corp.

    1,500       38,392  

Sumitomo Chemical Co., Ltd.

    8,000       45,736  

Sumitomo Corp.

    6,000       99,238  

Sumitomo Dainippon Pharma Co., Ltd.

    500       8,265  

Sumitomo Electric Industries, Ltd.

    4,000       60,423  

Sumitomo Heavy Industries, Ltd.

    500       18,806  

Sumitomo Metal Mining Co., Ltd.

    1,000       40,668  

Sumitomo Mitsui Financial Group, Inc.

    7,300       305,522  

Sumitomo Mitsui Trust Holdings, Inc.

    2,000       80,922  

Security Description

 

Shares

   

Value

 

Sumitomo Realty & Development Co., Ltd.

    2,000     $ 73,794  

Sumitomo Rubber Industries, Ltd.

    1,400       25,486  

Sundrug Co., Ltd. (a)

    200       9,271  

Suntory Beverage & Food, Ltd.

    600       29,055  

Suruga Bank, Ltd.

    1,500       20,818  

Suzuken Co., Ltd.

    300       12,496  

Suzuki Motor Corp.

    2,000       107,250  

Sysmex Corp.

    700       62,793  

T&D Holdings, Inc.

    2,500       39,339  

Taiheiyo Cement Corp.

    300       10,663  

Taisei Corp.

    1,100       55,646  

Takashimaya Co., Ltd.

    1,000       9,525  

Takeda Pharmaceutical Co., Ltd.

    3,800       182,943  

TDK Corp.

    700       61,279  

Teijin, Ltd.

    1,500       28,209  

Temp Holdings Co., Ltd.

    700       20,075  

Terumo Corp.

    1,800       92,750  

THK Co., Ltd.

    300       12,200  

Tobu Railway Co., Ltd.

    600       18,166  

Toho Co., Ltd.

    300       9,887  

Tohoku Electric Power Co., Inc. (a)

    2,000       26,986  

Tokio Marine Holdings, Inc.

    3,700       166,056  

Tokyo Electric Power Co. Holdings, Inc. (b)

    8,000       31,067  

Tokyo Electron, Ltd.

    800       144,542  

Tokyo Gas Co., Ltd.

    2,200       58,294  

Tokyo Tatemono Co., Ltd.

    1,400       20,997  

Tokyu Corp.

    2,100       32,838  

Tokyu Fudosan Holdings Corp.

    2,500       17,795  

Toppan Printing Co., Ltd.

    1,000       8,124  

Toray Industries, Inc.

    7,900       74,357  

Toshiba Corp. (b)

    34,000       97,828  

Tosoh Corp.

    1,600       31,067  

TOTO, Ltd.

    400       20,649  

Toyo Seikan Group Holdings, Ltd. (a)

    1,400       20,694  

Toyo Suisan Kaisha, Ltd.

    300       11,791  

Toyota Industries Corp.

    600       35,882  

Toyota Motor Corp.

    13,800               887,819  

Toyota Tsusho Corp.

    1,400       46,667  

Trend Micro, Inc.

    500       29,008  

Tsuruha Holdings, Inc.

    100       14,283  

Unicharm Corp.

    2,000       57,339  

United Urban Investment Corp. REIT

    20       31,255  

USS Co., Ltd.

    1,400       28,355  

West Japan Railway Co.

    900       63,258  

Yahoo! Japan Corp. (a)

    8,000       37,160  

Yakult Honsha Co., Ltd.

    600       44,739  

Yamada Denki Co., Ltd. (a)

    4,000       24,109  

Yamaha Corp.

    500       21,650  

Yamaha Motor Co., Ltd.

    1,600       47,015  

Yamato Holdings Co., Ltd. (a)

    2,000       49,826  

Yaskawa Electric Corp.

    1,600       71,011  

Yokogawa Electric Corp.

    1,400       27,934  

Yokohama Rubber Co., Ltd.

    500       11,443  
   

 

 

 
      18,405,844  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

54


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

LUXEMBOURG — 0.4%

   

ArcelorMittal (b)

    3,327     $ 105,157  

Eurofins Scientific SE

    59       31,129  

Millicom International Cellular SA SDR

    360       24,481  

RTL Group SA

    220       18,250  

SES SA (a)

    1,970       26,614  

Tenaris SA

    2,547       43,697  
   

 

 

 
      249,328  
   

 

 

 

MACAU — 0.1%

   

MGM China Holdings, Ltd.

    8,000       20,641  

Wynn Macau, Ltd.

    8,000       29,000  
   

 

 

 
      49,641  
   

 

 

 

MEXICO — 0.0% (c)

   

Fresnillo PLC

    1,220       21,709  
   

 

 

 

NETHERLANDS — 3.0%

   

ABN AMRO Group NV (d)

    1,926       57,962  

Aegon NV

    9,226       62,134  

Akzo Nobel NV

    1,390       131,186  

Altice NV Class A (a) (b)

    2,010       16,558  

ASML Holding NV

    1,990       391,952  

Boskalis Westminster

    497       14,547  

EXOR NV

    600       42,592  

Heineken Holding NV

    540       55,587  

Heineken NV

    1,260       135,281  

ING Groep NV

    20,495       345,319  

Koninklijke Ahold Delhaize NV

    6,937       164,163  

Koninklijke DSM NV

    1,007       99,869  

Koninklijke KPN NV

    18,548       55,591  

Koninklijke Philips NV

    4,959       190,070  

Koninklijke Vopak NV

    380       18,624  

NN Group NV

    1,646       72,957  

NXP Semiconductors NV (b)

    1,362       159,354  

Randstad Holding NV (a)

    640       42,047  

Wolters Kluwer NV

    1,646       87,431  
   

 

 

 
              2,143,224  
   

 

 

 

NEW ZEALAND — 0.2%

   

Auckland International Airport, Ltd.

    5,357       23,651  

Fisher & Paykel Healthcare Corp., Ltd.

    3,018       28,739  

Fletcher Building, Ltd.

    3,768       16,391  

Meridian Energy, Ltd.

    6,957       14,329  

Ryman Healthcare, Ltd.

    2,114       16,150  

Spark New Zealand, Ltd.

    9,931       23,928  
   

 

 

 
      123,188  
   

 

 

 

NORWAY — 0.5%

   

DNB ASA

    5,334       103,372  

Gjensidige Forsikring ASA (a)

    1,100       20,120  

Marine Harvest ASA

    2,067       41,388  

Norsk Hydro ASA

    7,301       42,731  

Orkla ASA

    4,434       47,520  

Telenor ASA

    4,072       91,803  

Yara International ASA

    960       40,486  
   

 

 

 
      387,420  
   

 

 

 

Security Description

 

Shares

   

Value

 

PORTUGAL — 0.1%

   

EDP - Energias de Portugal SA

    12,571     $ 47,742  

Jeronimo Martins SGPS SA

    1,380       25,127  
   

 

 

 
      72,869  
   

 

 

 

SINGAPORE — 1.5%

   

Ascendas REIT

    12,000       24,068  

CapitaLand Commercial Trust

    13,894       19,390  

CapitaLand Mall Trust REIT

    14,000       22,207  

CapitaLand, Ltd.

    14,000       38,115  

City Developments, Ltd.

    2,000       19,828  

ComfortDelGro Corp., Ltd.

    12,000       18,760  

DBS Group Holdings, Ltd.

    9,573       200,761  

Genting Singapore PLC

    32,000       26,356  

Golden Agri-Resources, Ltd.

    25,500       6,806  

Hutchison Port Holdings Trust

    36,100       10,649  

Jardine Cycle & Carriage, Ltd.

    400       10,524  

Keppel Corp., Ltd.

    8,000       47,403  

Oversea-Chinese Banking Corp., Ltd.

    16,000       156,425  

SATS, Ltd.

    3,600       14,084  

Sembcorp Industries, Ltd.

    6,000       14,230  

Singapore Airlines, Ltd.

    2,000       16,533  

Singapore Exchange, Ltd.

    4,000       22,481  

Singapore Press Holdings, Ltd. (a)

    8,000       15,374  

Singapore Technologies Engineering, Ltd.

    8,000       21,902  

Singapore Telecommunications, Ltd.

    44,000       113,079  

Suntec Real Estate Investment Trust

    14,000       20,178  

United Overseas Bank, Ltd.

    7,371       154,581  

UOL Group, Ltd.

    2,523       16,451  

Wilmar International, Ltd.

    10,000       24,251  
   

 

 

 
              1,034,436  
   

 

 

 

SOUTH AFRICA — 0.1%

   

Investec PLC

    3,367       25,959  

Mediclinic International PLC (a)

    1,990       16,777  

Mondi PLC

    1,990       53,459  
   

 

 

 
      96,195  
   

 

 

 

SPAIN — 3.3%

   

Abertis Infraestructuras SA

    3,507       78,585  

ACS Actividades de Construccion y Servicios SA

    1,087       42,311  

Aena SME SA (d)

    360       72,455  

Amadeus IT Group SA

    2,367       174,605  

Banco Bilbao Vizcaya Argentaria SA

    36,357       287,464  

Banco de Sabadell SA

    28,698       58,624  

Banco Santander SA

    85,461       556,527  

Bankia SA (a)

    6,250       27,971  

Bankinter SA (a)

    3,667       37,684  

CaixaBank SA

    17,872       85,106  

Enagas SA

    1,240       33,901  

Endesa SA

    1,747       38,427  

Ferrovial SA

    2,787       58,149  

Gas Natural SDG SA

    1,912       45,595  

Grifols SA

    1,646       46,580  

Iberdrola SA

    31,182       229,021  
 

 

See accompanying notes to financial statements.

 

55


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Industria de Diseno Textil SA

    5,687     $ 177,862  

Mapfre SA

    5,863       19,476  

Red Electrica Corp. SA

    2,347       48,291  

Siemens Gamesa Renewable Energy SA (a)

    1,498       23,996  

Telefonica SA

    24,322       240,137  
   

 

 

 
              2,382,767  
   

 

 

 

SWEDEN — 2.9%

   

Alfa Laval AB

    1,606       37,807  

Assa Abloy AB Class B

    5,454       117,451  

Atlas Copco AB Class A

    3,469       149,616  

Atlas Copco AB Class B

    2,107       81,640  

Boliden AB

    1,506       52,599  

Electrolux AB Class B

    1,320       41,374  

Essity AB Class B (b)

    3,307       91,058  

Getinge AB Class B

    1,233       13,978  

Hennes & Mauritz AB Class B (a)

    5,154       77,038  

Hexagon AB Class B

    1,426       84,455  

Husqvarna AB Class B

    2,247       21,593  

ICA Gruppen AB

    440       15,520  

Industrivarden AB Class C

    880       20,380  

Investor AB Class B

    2,467       108,757  

Kinnevik AB Class B

    1,300       46,630  

L E Lundbergforetagen AB Class B

    176       12,567  

Nordea Bank AB

    15,957       169,768  

Sandvik AB

    5,783       105,270  

Securitas AB Class B

    1,727       29,231  

Skandinaviska Enskilda Banken AB Class A

    8,259       86,231  

Skanska AB Class B

    1,867       38,043  

SKF AB Class B (a)

    2,147       43,710  

Svenska Handelsbanken AB Class A (a)

    8,219       102,262  

Swedbank AB Class A

    4,914       109,724  

Swedish Match AB

    1,020       45,977  

Tele2 AB Class B

    1,938       23,176  

Telefonaktiebolaget LM Ericsson Class B (a)

    16,660       105,274  

Telia Co. AB

    14,096       65,996  

Volvo AB Class B

    8,379       152,326  
   

 

 

 
      2,049,451  
   

 

 

 

SWITZERLAND — 8.9%

   

ABB, Ltd.

    9,746       231,233  

Adecco Group AG

    900       63,910  

Baloise Holding AG

    280       42,719  

Barry Callebaut AG

    14       27,310  

Chocoladefabriken Lindt & Spruengli AG (e)

    3       18,562  

Chocoladefabriken Lindt & Spruengli AG (e)

    1       72,577  

Cie Financiere Richemont SA

    2,827       253,178  

Clariant AG (b)

    1,229       29,275  

Coca-Cola HBC AG (b)

    980       36,211  

Credit Suisse Group AG (b)

    12,554       209,627  

Dufry AG (b)

    240       31,366  

EMS-Chemie Holding AG

    40       25,188  

Ferguson PLC

    1,380       103,646  

Security Description

 

Shares

   

Value

 

Geberit AG

    200     $ 88,221  

Givaudan SA

    45       102,256  

Julius Baer Group, Ltd. (b)

    1,220       74,836  

Kuehne + Nagel International AG

    300       47,086  

LafargeHolcim, Ltd. (b)

    2,467       134,737  

Lonza Group AG (b)

    360       84,662  

Nestle SA

    16,381       1,293,579  

Novartis AG

    11,704       944,289  

Pargesa Holding SA

    180       15,921  

Partners Group Holding AG

    100       74,144  

Roche Holding AG

    3,718       850,683  

Schindler Holding AG (e)

    240       51,629  

Schindler Holding AG (e)

    120       25,063  

SGS SA

    24       58,847  

Sika AG

    14       109,430  

Sonova Holding AG

    280       44,386  

STMicroelectronics NV (a)

    3,467       76,686  

Straumann Holding AG

    56       35,205  

Swatch Group AG (e)

    160       70,409  

Swatch Group AG (e)

    260       21,734  

Swiss Life Holding AG (b)

    180       63,966  

Swiss Prime Site AG (b)

    380       36,686  

Swiss Re AG

    1,674       170,057  

Swisscom AG

    140       69,240  

UBS Group AG (b)

    19,305       338,583  

Vifor Pharma AG

    200       30,754  

Zurich Insurance Group AG (b)

    820       268,367  
   

 

 

 
              6,326,258  
   

 

 

 

UNITED KINGDOM — 15.1%

   

3i Group PLC

    5,274       63,552  

Admiral Group PLC

    1,160       30,006  

Ashtead Group PLC

    2,727       74,213  

Associated British Foods PLC

    1,932       67,511  

AstraZeneca PLC

    6,808       467,533  

Auto Trader Group PLC (d)

    5,454       26,824  

Aviva PLC

    22,021       153,189  

Babcock International Group PLC

    1,380       12,947  

BAE Systems PLC

    17,210       140,363  

Barclays PLC

    85,780       248,486  

Barratt Developments PLC

    5,454       40,580  

Berkeley Group Holdings PLC

    720       38,270  

British American Tobacco PLC

    12,061       698,931  

British Land Co. PLC REIT

    5,334       48,038  

BT Group PLC

    45,795       146,149  

Bunzl PLC

    1,827       53,693  

Burberry Group PLC

    2,407       57,266  

Capita PLC

    3,627       7,329  

Carnival PLC

    1,020       65,533  

CNH Industrial NV

    5,574       68,758  

Cobham PLC (b)

    12,969       22,359  

Coca-Cola European Partners PLC

    1,200       49,912  

Compass Group PLC

    8,577       175,123  

ConvaTec Group PLC (d)

    6,289       17,565  

Croda International PLC

    700       44,856  

DCC PLC

    480       44,171  

Diageo PLC

    13,416       453,938  

Direct Line Insurance Group PLC

    7,481       40,015  
 

 

See accompanying notes to financial statements.

 

56


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

easyJet PLC

    860     $ 19,357  

Experian PLC

    5,214       112,456  

Fiat Chrysler Automobiles NV

    5,610       113,855  

G4S PLC

    8,419       29,301  

GKN PLC

    9,299       60,397  

GlaxoSmithKline PLC

    26,240       513,124  

Hammerson PLC REIT (a)

    4,314       32,473  

Hargreaves Lansdown PLC

    1,426       32,666  

HSBC Holdings PLC

    106,167       990,987  

IMI PLC

    1,486       22,513  

Imperial Brands PLC

    5,094       173,359  

InterContinental Hotels Group PLC

    978       58,554  

International Consolidated Airlines Group SA

    3,496       30,183  

Intertek Group PLC

    880       57,526  

ITV PLC

    19,688       39,812  

J Sainsbury PLC

    8,899       29,811  

John Wood Group PLC

    3,575       27,081  

Johnson Matthey PLC

    1,040       44,380  

Kingfisher PLC

    12,351       50,679  

Land Securities Group PLC REIT

    4,022       52,872  

Legal & General Group PLC

    32,290       116,774  

Lloyds Banking Group PLC

    385,214               349,409  

London Stock Exchange Group PLC

    1,727       99,958  

Marks & Spencer Group PLC

    8,819       33,427  

Meggitt PLC

    4,212       25,513  

Merlin Entertainments PLC (d)

    3,848       18,709  

Micro Focus International PLC

    2,303       31,880  

National Grid PLC

    18,783       211,370  

Next PLC

    760       50,737  

Old Mutual PLC

    26,765       89,848  

Pearson PLC

    4,474       47,008  

Persimmon PLC

    1,686       59,838  

Prudential PLC

    13,856       345,691  

Randgold Resources, Ltd.

    500       41,256  

Reckitt Benckiser Group PLC

    3,379       286,015  

RELX NV

    5,414       112,061  

RELX PLC

    5,937       122,011  

Rolls-Royce Holdings PLC (b)

    8,554       104,588  

Royal Bank of Scotland Group PLC (b)

    19,200       69,705  

Royal Mail PLC

    4,894       37,128  

RSA Insurance Group PLC

    5,554       49,084  

Sage Group PLC

    5,863       52,572  

Schroders PLC

    740       33,135  

Segro PLC REIT

    5,519       46,545  

Severn Trent PLC

    1,300       33,628  

Shire PLC

    4,838       242,321  

Sky PLC

    5,614       102,182  

Smith & Nephew PLC

    4,854       90,630  

Smiths Group PLC

    2,147       45,584  

St James’s Place PLC

    2,847       43,392  

Standard Chartered PLC

    17,170       171,662  

Standard Life Aberdeen PLC

    14,522       73,276  

Taylor Wimpey PLC

    17,708       45,856  

Security Description

 

Shares

   

Value

 

Tesco PLC

    51,459     $ 148,632  

Travis Perkins PLC

    896       15,510  

Unilever NV

    8,615       486,000  

Unilever PLC

    6,680       370,658  

United Utilities Group PLC

    3,707       37,202  

Vodafone Group PLC

    137,528       374,698  

Weir Group PLC

    1,190       33,295  

Whitbread PLC

    980       50,866  

Wm Morrison Supermarkets PLC

    12,047       36,081  

WPP PLC

    6,997       111,159  
   

 

 

 
              10,795,390  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $65,862,874)

      71,040,467  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.9%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    7,344       7,344  

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    2,106,482       2,106,482  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,113,826)

      2,113,826  
   

 

 

 

TOTAL INVESTMENTS — 102.4%
(Cost $67,976,700)

      73,154,293  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (2.4)%

      (1,736,667
   

 

 

 

NET ASSETS — 100.0%

    $ 71,417,626  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Amount is less than 0.05% of net assets.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.7% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

REIT =Real Estate Investment Trust

SDR =Swedish Depositary Receipt

 

 

See accompanying notes to financial statements.

 

57


Table of Contents

SPDR MSCI EAFE FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 4,242,676     $     $     $ 4,242,676

Austria

      162,251                   162,251

Belgium

      901,333                   901,333

Chile

      27,480                   27,480

China

      31,139                   31,139

Denmark

      1,431,544                   1,431,544

Finland

      816,212                   816,212

France

      7,314,350                   7,314,350

Germany

      7,408,956                   7,408,956

Hong Kong

      2,570,971                   2,570,971

Ireland

      458,251                   458,251

Israel

      347,204                   347,204

Italy

      1,190,380                   1,190,380

Japan

      18,405,844                   18,405,844

Luxembourg

      249,328                   249,328

Macau

      49,641                   49,641

Mexico

      21,709                   21,709

Netherlands

      2,143,224                   2,143,224

New Zealand

      123,188                   123,188

Norway

      387,420                   387,420

Portugal

      72,869                   72,869

Singapore

      1,034,436                   1,034,436

South Africa

      96,195                   96,195

Spain

      2,382,767                   2,382,767

Sweden

      2,049,451                   2,049,451

Switzerland

      6,326,258                   6,326,258

United Kingdom

      10,795,390                   10,795,390

Short-Term Investments

      2,113,826                   2,113,826
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 73,154,293     $     $     $ 73,154,293
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      75,546     $ 75,546     $ 1,646,576     $ 1,714,778     $     $       7,344     $ 7,344     $ 313     $

State Street Navigator Securities Lending Government Money Market Portfolio

      242,956       242,956       4,347,394       2,483,868                   2,106,482       2,106,482       4,886      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 318,502     $ 5,993,970     $ 4,198,646     $     $         $ 2,113,826     $ 5,199     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

58


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AUSTRALIA — 5.0%

   

AGL Energy, Ltd.

    28,993     $ 482,143  

Amcor, Ltd.

    11,776       127,995  

Aristocrat Leisure, Ltd.

    11,077       204,428  

ASX, Ltd.

    4,727       203,265  

Australia & New Zealand Banking Group, Ltd.

    22,684       467,358  

BHP Billiton PLC

    11,909       234,485  

BHP Billiton, Ltd.

    16,833       364,241  

Brambles, Ltd.

    33,116       253,508  

Caltex Australia, Ltd.

    5,481       132,012  

Cochlear, Ltd.

    2,255       314,148  

Commonwealth Bank of Australia

    15,664       868,810  

CSL, Ltd.

    15,269             1,820,761  

Dexus REIT

    31,237       223,310  

Goodman Group REIT

    18,315       118,429  

GPT Group REIT

    41,624       151,337  

Insurance Australia Group, Ltd.

    30,445       174,679  

LendLease Group

    11,057       146,811  

Macquarie Group, Ltd.

    1,918       151,387  

Medibank Pvt, Ltd.

    102,957       229,022  

Mirvac Group REIT

    92,705       152,885  

National Australia Bank, Ltd.

    18,433       402,821  

Newcrest Mining, Ltd.

    17,348       260,281  

QBE Insurance Group, Ltd.

    13,073       96,566  

Ramsay Health Care, Ltd. (a)

    2,160       103,254  

REA Group, Ltd.

    2,478       150,558  

Scentre Group REIT

    99,811       293,225  

SEEK, Ltd.

    9,699       138,377  

Sonic Healthcare, Ltd.

    24,136       423,589  

Stockland REIT

    49,381       152,647  

Suncorp Group, Ltd.

    12,501       127,916  

Tabcorp Holdings, Ltd.

    18,086       60,902  

Telstra Corp., Ltd.

    276,176       665,180  

Transurban Group Stapled Security

    50,055       438,467  

Vicinity Centres REIT

    138,068       255,231  

Wesfarmers, Ltd.

    24,205       771,621  

Westfield Corp. REIT

    46,778       305,707  

Westpac Banking Corp.

    22,454       492,932  

Woodside Petroleum, Ltd.

    7,620       170,905  

Woolworths, Ltd.

    31,295       631,087  
   

 

 

 
      12,762,280  
   

 

 

 

AUSTRIA — 0.1%

   

OMV AG

    3,205       186,362  
   

 

 

 

BELGIUM — 1.1%

   

Ageas

    2,403       124,006  

Anheuser-Busch InBev SA

    4,003       439,534  

Colruyt SA

    9,530       526,484  

Groupe Bruxelles Lambert SA

    5,682       648,487  

KBC Group NV

    1,760       153,076  

Proximus SADP

    18,028       559,393  

Solvay SA

    1,118       155,166  

UCB SA

    3,843       312,787  
   

 

 

 
      2,918,933  
   

 

 

 

Security Description

 

Shares

   

Value

 

CHILE — 0.0% (b)

   

Antofagasta PLC

    1,193     $ 15,413  
   

 

 

 

DENMARK — 3.9%

   

AP Moeller - Maersk A/S Class B

    81       124,876  

Carlsberg A/S Class B

    1,198       142,474  

Chr Hansen Holding A/S

    8,004       688,030  

Coloplast A/S Class B

    8,249       694,936  

Danske Bank A/S

    30,390             1,130,180  

DONG Energy A/S (c)

    12,361       799,471  

DSV A/S

    8,293       648,975  

Genmab A/S (d)

    945       202,381  

H Lundbeck A/S

    6,077       338,697  

ISS A/S

    9,858       363,683  

Novo Nordisk A/S Class B

    61,488       3,018,146  

Novozymes A/S Class B

    6,249       322,095  

Pandora A/S

    2,887       309,520  

TDC A/S (d)

    33,355       275,826  

Tryg A/S

    14,994       347,582  

William Demant Holding A/S (d)

    18,193       672,981  
   

 

 

 
      10,079,853  
   

 

 

 

FINLAND — 1.3%

   

Elisa Oyj (a)

    10,822       489,388  

Fortum Oyj (a)

    7,287       156,385  

Kone Oyj Class B

    9,459       471,492  

Neste Oyj (a)

    2,642       183,908  

Nokia Oyj

    20,520       113,186  

Nokian Renkaat Oyj

    2,880       130,699  

Orion Oyj Class B

    7,444       227,685  

Sampo Oyj Class A

    19,381       1,078,805  

UPM-Kymmene Oyj

    4,096       151,628  

Wartsila Oyj Abp

    11,052       243,982  
   

 

 

 
      3,247,158  
   

 

 

 

FRANCE — 7.6%

   

Aeroports de Paris

    3,367       732,940  

Air Liquide SA

    7,444       910,740  

Airbus SE

    4,378       505,046  

Atos SE

    1,040       142,102  

AXA SA

    19,872       527,895  

BNP Paribas SA

    13,231       979,095  

Bureau Veritas SA

    6,007       155,955  

Capgemini SE

    1,198       149,104  

Carrefour SA (a)

    5,771       119,592  

Casino Guichard Perrachon SA (a)

    2,076       101,642  

Cie de Saint-Gobain

    4,164       219,490  

Cie Generale des Etablissements Michelin SCA

    4,004       590,426  

Credit Agricole SA

    23,002       373,557  

Danone SA

    6,094       492,627  

Dassault Systemes SE

    6,354       862,718  

Engie SA

    15,389       256,544  

Essilor International Cie Generale d’Optique SA

    4,568       615,728  

Eutelsat Communications SA

    4,306       85,261  

Hermes International

    1,141       675,669  

Iliad SA

    640       132,234  

Kering SA

    561       268,251  

Legrand SA

    5,290       414,426  
 

 

See accompanying notes to financial statements.

 

59


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

L’Oreal SA

    7,997     $ 1,803,268  

LVMH Moet Hennessy Louis Vuitton SE

    5,844       1,798,249  

Orange SA

    12,991       220,243  

Pernod Ricard SA

    878       146,044  

Publicis Groupe SA

    3,115       216,757  

Renault SA

    1,920       232,589  

Safran SA

    1,598       168,977  

Sanofi

    8,444       678,443  

Schneider Electric SE

    3,047       267,336  

SCOR SE

    13,584       555,651  

SEB SA

    961       183,429  

Societe BIC SA

    721       71,692  

Societe Generale SA

    11,534       626,414  

Sodexo SA

    3,845       387,287  

Thales SA

    5,848       711,593  

TOTAL SA

    21,329       1,210,058  

Unibail-Rodamco SE REIT (a)

    456       104,115  

Unibail-Rodamco SE REIT

    24       5,480  

Valeo SA

    5,446       359,268  

Vinci SA

    2,967       291,552  

Vivendi SA

    8,304       214,466  
   

 

 

 
            19,563,953  
   

 

 

 

GERMANY — 8.7%

   

adidas AG

    4,003       968,126  

Allianz SE

    3,207       723,354  

BASF SE

    19,872       2,015,533  

Bayer AG

    18,620       2,101,974  

Bayerische Motoren Werke AG

    2,807       304,311  

Beiersdorf AG

    6,510       736,742  

Commerzbank AG (d)

    21,979       285,014  

Continental AG

    2,880       794,464  

Covestro AG (c)

    2,098       206,057  

Daimler AG

    10,896       924,229  

Deutsche Bank AG

    23,496       327,283  

Deutsche Boerse AG

    2,132       289,998  

Deutsche Lufthansa AG

    6,568       209,534  

Deutsche Post AG

    22,124       966,471  

Deutsche Telekom AG

    17,709       288,577  

E.ON SE

    26,261       291,320  

Fresenius Medical Care AG & Co. KGaA

    6,567       670,182  

Fresenius SE & Co. KGaA

    4,733       361,244  

Fuchs Petrolub SE Preference Shares

    2,160       117,151  

GEA Group AG

    3,285       139,584  

Hannover Rueck SE

    1,438       196,129  

HeidelbergCement AG

    1,200       117,741  

Henkel AG & Co. KGaA Preference Shares

    3,507       460,853  

Henkel AG & Co. KGaA

    5,446       685,181  

HUGO BOSS AG

    2,000       174,048  

Infineon Technologies AG

    8,249       220,553  

Innogy SE (c)

    9,396       444,547  

Linde AG (d)

    952       200,327  

MAN SE

    4,163       485,107  

Merck KGaA

    2,563       245,549  

METRO AG

    5,183       91,726  

Security Description

 

Shares

   

Value

 

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    3,603     $ 836,823  

Porsche Automobil Holding SE Preference Shares

    3,513       291,631  

ProSiebenSat.1 Media SE

    4,324       149,858  

RWE AG (d)

    10,825       267,061  

SAP SE

    22,447       2,345,720  

Siemens AG

    4,163       530,009  

ThyssenKrupp AG

    6,325       164,833  

TUI AG

    13,821       296,250  

Uniper SE

    14,051       427,696  

United Internet AG

    2,467       155,039  

Volkswagen AG Preference Shares

    3,913       776,626  
   

 

 

 
            22,284,455  
   

 

 

 

HONG KONG — 5.4%

   

AIA Group, Ltd.

    240,823       2,037,466  

Bank of East Asia, Ltd.

    32,471       129,498  

BOC Hong Kong Holdings, Ltd.

    40,036       194,867  

CK Asset Holdings, Ltd.

    38,120       319,840  

CK Hutchison Holdings, Ltd.

    38,000       454,646  

CK Infrastructure Holdings, Ltd.

    80,000       653,900  

CLP Holdings, Ltd.

    119,500       1,216,576  

Galaxy Entertainment Group, Ltd.

    48,000       435,763  

Hang Seng Bank, Ltd.

    64,029       1,481,552  

HK Electric Investments & HK Electric Investments, Ltd. (a) (c)

    359,040       347,681  

HKT Trust & HKT, Ltd.

    400,540       503,718  

Hong Kong & China Gas Co., Ltd.

    312,066       640,967  

Hong Kong Exchanges & Clearing, Ltd.

    30,797       1,001,414  

Jardine Matheson Holdings, Ltd.

    1,800       110,916  

Jardine Strategic Holdings, Ltd.

    2,600       99,684  

Li & Fung, Ltd.

    240,000       117,427  

Link REIT

    40,000       341,475  

MTR Corp., Ltd.

    160,167       861,212  

New World Development Co., Ltd.

    165,567       233,743  

PCCW, Ltd.

    400,000       231,388  

Power Assets Holdings, Ltd.

    80,000       713,021  

Sands China, Ltd.

    64,000       344,125  

Sun Hung Kai Properties, Ltd.

    10,000       157,996  

Swire Pacific, Ltd. Class A

    38,000       383,229  

Techtronic Industries Co., Ltd.

    40,000       233,172  

WH Group, Ltd. (c)

    226,000       240,735  

Yue Yuen Industrial Holdings, Ltd.

    80,500       319,505  
   

 

 

 
      13,805,516  
   

 

 

 

IRELAND — 0.7%

   

CRH PLC

    4,095       138,849  

Kerry Group PLC Class A

    10,336       1,047,447  

Paddy Power Betfair PLC

    1,280       131,368  

Ryanair Holdings PLC ADR (d)

    4,599       564,987  
   

 

 

 
      1,882,651  
   

 

 

 

ISRAEL — 0.9%

   

Azrieli Group, Ltd.

    3,426       164,037  

Bank Hapoalim BM

    84,039       575,444  

Bank Leumi Le-Israel BM

    91,550       550,471  
 

 

See accompanying notes to financial statements.

 

60


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Bezeq The Israeli Telecommunication Corp., Ltd.

    75,569     $ 96,429  

Check Point Software Technologies, Ltd. (d)

    4,193       416,533  

Mizrahi Tefahot Bank, Ltd.

    19,473       371,783  

Teva Pharmaceutical Industries, Ltd. ADR

    600       10,254  

Teva Pharmaceutical Industries, Ltd.

    12,568       213,211  
   

 

 

 
      2,398,162  
   

 

 

 

ITALY — 0.9%

   

Assicurazioni Generali SpA

    16,429       315,706  

Enel SpA

    85,297       521,366  

Eni SpA

    16,149       283,772  

Ferrari NV

    1,174       140,833  

Intesa Sanpaolo SpA

    100,846       366,309  

Luxottica Group SpA

    2,960       183,838  

Snam SpA

    42,407       194,692  

Telecom Italia SpA/Milano

    174,517       145,176  

UniCredit SpA (d)

    14,200       296,676  
   

 

 

 
      2,448,368  
   

 

 

 

JAPAN — 24.3%

   

ABC-Mart, Inc.

    6,500       425,388  

Aeon Co., Ltd.

    8,000       141,382  

Ajinomoto Co., Inc.

    8,100       146,120  

ANA Holdings, Inc.

    14,800       568,203  

Aozora Bank, Ltd.

    6,100       242,623  

Asahi Group Holdings, Ltd.

    8,000       428,021  

Astellas Pharma, Inc.

    87,900             1,335,650  

Benesse Holdings, Inc.

    8,000       287,353  

Bridgestone Corp.

    21,100       918,202  

Canon, Inc.

    40,000       1,448,049  

Central Japan Railway Co.

    2,300       435,346  

Chubu Electric Power Co., Inc.

    8,000       114,114  

Concordia Financial Group, Ltd.

    15,300       85,312  

Daicel Corp.

    7,200       78,127  

Dai-ichi Life Holdings, Inc.

    15,408       281,792  

Daiichi Sankyo Co., Ltd.

    15,906       528,704  

Daito Trust Construction Co., Ltd.

    5,100       863,667  

Daiwa House Industry Co., Ltd.

    8,100       307,701  

Daiwa House REIT Investment Corp.

    31       74,738  

Denso Corp.

    7,000       380,574  

Disco Corp.

    500       104,937  

East Japan Railway Co.

    8,000       742,605  

Eisai Co., Ltd.

    7,000       446,657  

FamilyMart UNY Holdings Co., Ltd.

    7,000       579,878  

Fujitsu, Ltd.

    13,000       78,110  

Hitachi, Ltd.

    74,000       530,977  

Honda Motor Co., Ltd.

    17,300       592,283  

Hoya Corp.

    8,100       404,353  

Inpex Corp.

    7,800       95,089  

Isuzu Motors, Ltd.

    9,800       148,267  

ITOCHU Corp. (a)

    22,514       434,297  

Japan Airlines Co., Ltd.

    16,000       645,266  

Japan Exchange Group, Inc.

    16,006       295,738  

Japan Post Bank Co., Ltd. (a)

    15,700       211,548  

Security Description

 

Shares

   

Value

 

Japan Post Holdings Co., Ltd.

    12,300     $ 148,618  

Japan Prime Realty Investment Corp. REIT

    80       289,610  

Japan Real Estate Investment Corp. REIT

    75       388,575  

Japan Retail Fund Investment Corp. REIT

    240       464,880  

Japan Tobacco, Inc.

    29,400       839,013  

JFE Holdings, Inc.

    9,500       189,151  

JXTG Holdings, Inc.

    54,882       329,034  

Kajima Corp.

    72,000       668,209  

Kakaku.com, Inc.

    8,000       139,238  

Kansai Electric Power Co., Inc.

    8,400       108,920  

Kao Corp.

    16,000       1,193,343  

KDDI Corp.

    55,818       1,419,987  

Keikyu Corp. (a)

    22,300       388,966  

Keyence Corp.

    1,800       1,108,604  

Kirin Holdings Co., Ltd.

    26,100       690,478  

Koito Manufacturing Co., Ltd. (a)

    1,600       110,277  

Komatsu, Ltd.

    8,000       263,658  

Konami Holdings Corp.

    1,600       80,038  

Kubota Corp.

    8,000       138,787  

Kyowa Hakko Kirin Co., Ltd.

    8,000       172,036  

Kyushu Railway Co. (a)

    14,719       456,725  

Lawson, Inc. (a)

    6,300       428,886  

M3, Inc. (a)

    7,600       344,448  

Marubeni Corp.

    55,800       402,274  

Mazda Motor Corp. (a)

    8,000       106,027  

McDonald’s Holdings Co. Japan, Ltd.

    8,000       376,869  

MEIJI Holdings Co., Ltd.

    7,000       535,120  

MISUMI Group, Inc. (a)

    6,300       171,495  

Mitsubishi Chemical Holdings Corp.

    24,000       230,183  

Mitsubishi Corp.

    16,500       438,371  

Mitsubishi Electric Corp.

    8,100       129,440  

Mitsubishi Heavy Industries, Ltd. (a)

    4,300       164,116  

Mitsubishi Tanabe Pharma Corp.

    24,113       484,301  

Mitsubishi UFJ Financial Group, Inc.

    175,700       1,150,352  

Mitsui & Co., Ltd.

    24,300       413,568  

Mizuho Financial Group, Inc. (a)

    600,800             1,081,835  

MS&AD Insurance Group Holdings, Inc.

    8,000       246,432  

Murata Manufacturing Co., Ltd.

    1,500       204,372  

Nagoya Railroad Co., Ltd.

    14,600       369,839  

NH Foods, Ltd.

    4,500       183,850  

Nippon Building Fund, Inc. REIT

    53       293,032  

Nippon Prologis REIT, Inc.

    161       348,341  

Nippon Steel & Sumitomo Metal Corp.

    10,200       221,360  

Nippon Telegraph & Telephone Corp.

    32,000       1,474,979  

Nippon Yusen KK

    3,600       69,766  

Nissan Motor Co., Ltd. (a)

    24,016       247,160  

Nissin Foods Holdings Co., Ltd.

    8,000       552,139  

Nitori Holdings Co., Ltd.

    5,400       938,590  

Nitto Denko Corp.

    5,700       424,056  
 

 

See accompanying notes to financial statements.

 

61


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Nomura Holdings, Inc.

    32,800     $ 188,504  

Nomura Real Estate Master Fund, Inc.

    399       554,135  

Nomura Research Institute, Ltd.

    4,700       218,980  

NTT DOCOMO, Inc.

    66,322       1,677,226  

Obayashi Corp.

    16,900       183,699  

Oracle Corp. Japan

    7,100       580,150  

Oriental Land Co., Ltd.

    9,900       1,004,429  

ORIX Corp.

    14,600       257,885  

Osaka Gas Co., Ltd. (a)

    14,800       291,825  

Otsuka Corp.

    14,600       735,834  

Otsuka Holdings Co., Ltd.

    15,900       791,337  

Panasonic Corp.

    16,900       238,920  

Park24 Co., Ltd. (a)

    8,000       216,794  

Recruit Holdings Co., Ltd.

    48,905       1,206,645  

Resona Holdings, Inc.

    40,500       215,124  

Ricoh Co., Ltd. (a)

    8,700       84,832  

Ryohin Keikaku Co., Ltd.

    600       198,590  

Sankyo Co., Ltd.

    8,000       278,326  

Santen Pharmaceutical Co., Ltd.

    16,000       264,786  

Secom Co., Ltd.

    8,000       588,999  

Sekisui House, Ltd.

    8,000       145,331  

Seven & i Holdings Co., Ltd.

    7,900       336,651  

Shimamura Co., Ltd.

    1,300       161,110  

Shimano, Inc.

    800       114,716  

Shionogi & Co., Ltd. (a)

    7,400       381,655  

SMC Corp.

    700       280,329  

SoftBank Group Corp.

    7,600       557,834  

Sompo Holdings, Inc.

    2,700       107,670  

Sony Corp.

    7,700       369,976  

Start Today Co., Ltd.

    6,600       169,360  

Subaru Corp.

    16,100       528,189  

Sumitomo Corp.

    16,112       266,488  

Sumitomo Electric Industries, Ltd.

    8,100       122,357  

Sumitomo Mitsui Financial Group, Inc.

    22,900       958,419  

Sumitomo Mitsui Trust Holdings, Inc.

    6,700       271,087  

Suntory Beverage & Food, Ltd.

    15,787       764,486  

Suzuki Motor Corp. (a)

    1,100       58,987  

Sysmex Corp.

    7,000       627,927  

T&D Holdings, Inc.

    6,900       108,577  

Taisei Corp.

    7,000       354,114  

Taisho Pharmaceutical Holdings Co., Ltd.

    7,200       707,475  

Takeda Pharmaceutical Co., Ltd.

    22,800             1,097,659  

Terumo Corp.

    7,900       407,071  

Tobu Railway Co., Ltd.

    14,000       423,883  

Tohoku Electric Power Co., Inc. (a)

    8,000       107,945  

Tokio Marine Holdings, Inc.

    7,800       350,065  

Tokyo Electric Power Co. Holdings, Inc. (d)

    63,000       244,654  

Tokyo Gas Co., Ltd.

    10,708       283,734  

Toray Industries, Inc.

    71,500       672,981  

Toshiba Corp. (d)

    29,000       83,441  

Tosoh Corp.

    5,300       102,910  

Toyo Suisan Kaisha, Ltd.

    15,900       624,936  

Toyota Motor Corp.

    30,800       1,981,510  

Security Description

 

Shares

   

Value

 

Toyota Tsusho Corp.

    7,100     $ 236,667  

Trend Micro, Inc.

    1,500       87,024  

Tsuruha Holdings, Inc.

    800       114,264  

Unicharm Corp.

    7,606       218,060  

United Urban Investment Corp. REIT

    320       500,085  

USS Co., Ltd.

    16,000       324,062  

West Japan Railway Co.

    7,100       499,036  

Yahoo! Japan Corp. (a)

    32,000       148,641  

Yamada Denki Co., Ltd. (a)

    58,900       355,006  

Yamato Holdings Co., Ltd. (a)

    12,200       303,939  
   

 

 

 
            62,357,750  
   

 

 

 

LUXEMBOURG — 0.3%

   

ArcelorMittal (d)

    7,128       225,296  

RTL Group SA

    4,731       392,453  

SES SA (a)

    7,275       98,284  
   

 

 

 
      716,033  
   

 

 

 

MEXICO — 0.0% (b)

   

Fresnillo PLC

    539       9,591  
   

 

 

 

NETHERLANDS — 2.6%

   

Aegon NV

    30,076       202,552  

Akzo Nobel NV

    1,779       167,900  

ASML Holding NV

    9,590       1,888,851  

Boskalis Westminster

    3,036       88,865  

EXOR NV

    2,887       204,939  

Heineken NV

    1,278       137,214  

ING Groep NV

    27,979       471,417  

Koninklijke Ahold Delhaize NV

    14,062       332,774  

Koninklijke DSM NV

    2,214       219,574  

Koninklijke KPN NV

    29,749       89,162  

Koninklijke Philips NV

    5,714       219,008  

NN Group NV

    11,869       526,079  

Randstad Holding NV (a)

    2,068       135,865  

Royal Dutch Shell PLC Class A

    37,693       1,180,980  

Royal Dutch Shell PLC Class B

    23,123       738,589  

Wolters Kluwer NV

    3,285       174,490  
   

 

 

 
      6,778,259  
   

 

 

 

NEW ZEALAND — 0.2%

   

Auckland International Airport, Ltd.

    35,176       155,301  

Meridian Energy, Ltd.

    61,808       127,300  

Ryman Healthcare, Ltd.

    18,754       143,273  

Spark New Zealand, Ltd.

    94,415       227,491  
   

 

 

 
      653,365  
   

 

 

 

NORWAY — 0.4%

   

DNB ASA

    11,136       215,814  

Gjensidige Forsikring ASA

    5,450       99,685  

Statoil ASA

    14,471       340,350  

Telenor ASA

    9,697       218,619  

Yara International ASA

    2,476       104,421  
   

 

 

 
      978,889  
   

 

 

 

PORTUGAL — 0.1%

   

EDP - Energias de Portugal SA

    31,675       120,295  

Jeronimo Martins SGPS SA

    6,807       123,941  
   

 

 

 
      244,236  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

62


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SINGAPORE — 2.4%

   

ComfortDelGro Corp., Ltd.

    80,000     $ 125,067  

DBS Group Holdings, Ltd.

    69,703       1,461,780  

Keppel Corp., Ltd.

    38,811       229,971  

Oversea-Chinese Banking Corp., Ltd.

    159,602       1,560,358  

SATS, Ltd.

    40,400       158,051  

Singapore Airlines, Ltd.

    80,000       661,328  

Singapore Press Holdings, Ltd. (a)

    80,000       153,741  

Singapore Technologies Engineering, Ltd.

    80,000       219,019  

Singapore Telecommunications, Ltd.

    408,400       1,049,575  

StarHub, Ltd. (a)

    80,000       140,319  

United Overseas Bank, Ltd.

    16,075       337,118  
   

 

 

 
            6,096,327  
   

 

 

 

SOUTH AFRICA — 0.1%

   

Investec PLC

    4,878       37,608  

Mediclinic International PLC (a)

    1,618       13,641  

Mondi PLC

    8,581       230,517  
   

 

 

 
      281,766  
   

 

 

 

SPAIN — 2.0%

   

ACS Actividades de Construccion y Servicios SA

    4,434       172,592  

Amadeus IT Group SA

    11,776       868,674  

Banco Bilbao Vizcaya Argentaria SA

    67,622       534,667  

Banco de Sabadell SA

    67,732       138,362  

Banco Santander SA

    177,817       1,157,955  

CaixaBank SA

    37,668       179,374  

Endesa SA

    10,256       225,590  

Iberdrola SA

    40,992       301,073  

Industria de Diseno Textil SA

    27,329       854,717  

Repsol SA

    20,964       371,656  

Telefonica SA

    33,053       326,340  
   

 

 

 
      5,131,000  
   

 

 

 

SWEDEN — 2.4%

   

Alfa Laval AB

    7,033       165,563  

Assa Abloy AB Class B

    20,494       441,335  

Atlas Copco AB Class A

    21,959       947,078  

Atlas Copco AB Class B

    4,807       186,258  

Boliden AB

    5,520       192,793  

Electrolux AB Class B

    4,011       125,721  

Essity AB Class B (d)

    3,524       97,033  

Hennes & Mauritz AB Class B (a)

    35,255       526,964  

Hexagon AB Class B

    4,811       284,933  

ICA Gruppen AB

    4,244       149,696  

Investor AB Class B

    14,509       639,624  

Kinnevik AB Class B

    7,769       278,670  

L E Lundbergforetagen AB Class B

    2,727       194,721  

Nordea Bank AB

    23,813       253,348  

Sandvik AB

    11,137       202,731  

Skandinaviska Enskilda Banken AB Class A

    12,262       128,026  

Skanska AB Class B

    10,017       204,112  

Svenska Handelsbanken AB Class A (a)

    11,079       137,846  

Security Description

 

Shares

   

Value

 

Swedbank AB Class A

    5,924     $ 132,276  

Swedish Match AB

    5,852       263,783  

Telefonaktiebolaget LM Ericsson Class B (a)

    22,124       139,801  

Telia Co. AB

    67,798       317,424  

Volvo AB Class B (a)

    12,342       224,372  
   

 

 

 
      6,234,108  
   

 

 

 

SWITZERLAND — 11.5%

   

ABB, Ltd.

    48,985       1,162,217  

Adecco Group AG

    4,004       284,327  

Baloise Holding AG

    2,000       305,138  

Barry Callebaut AG

    160       312,114  

Chocoladefabriken Lindt & Spruengli AG

    160       989,975  

Cie Financiere Richemont SA

    1,678       150,277  

Coca-Cola HBC AG (d)

    542       20,027  

Credit Suisse Group AG (d)

    26,873       448,725  

EMS-Chemie Holding AG

    240       151,128  

Ferguson PLC

    6,180       464,154  

Geberit AG

    1,118       493,153  

Givaudan SA

    399       906,667  

Glencore PLC (d)

    101,127       501,904  

Julius Baer Group, Ltd. (d)

    5,428       332,958  

Kuehne + Nagel International AG

    6,967       1,093,505  

LafargeHolcim, Ltd. (d) (e)

    1,280       69,908  

LafargeHolcim, Ltd. (d) (e)

    1,520       82,776  

Nestle SA

    73,910       5,836,544  

Novartis AG

    25,420       2,050,908  

Partners Group Holding AG

    1,041       771,836  

Roche Holding AG

    22,384       5,121,485  

Schindler Holding AG (e)

    1,118       240,505  

Schindler Holding AG (e)

    958       200,084  

SGS SA

    160       392,314  

Sika AG

    78       609,680  

Sonova Holding AG

    5,710       905,157  

Straumann Holding AG

    147       92,412  

Swatch Group AG

    480       211,228  

Swiss Life Holding AG (d)

    880       312,723  

Swiss Prime Site AG (d)

    7,127       688,065  

Swiss Re AG

    14,669       1,490,184  

Swisscom AG

    2,318       1,146,413  

UBS Group AG (d)

    28,219       494,923  

Vifor Pharma AG

    800       123,016  

Zurich Insurance Group AG (d)

    3,040       994,921  
   

 

 

 
            29,451,351  
   

 

 

 

UNITED KINGDOM — 17.5%

   

3i Group PLC

    30,971       373,202  

Admiral Group PLC

    12,210       315,844  

Anglo American PLC (a)

    10,606       247,125  

Ashtead Group PLC

    11,846       322,381  

Associated British Foods PLC

    7,566       264,384  

AstraZeneca PLC

    43,863       3,012,251  

Auto Trader Group PLC (c)

    1,504       7,397  

Aviva PLC

    27,589       191,923  

Babcock International Group PLC

    6,874       64,491  

BAE Systems PLC

    145,031       1,182,855  

Barclays PLC

    243,336       704,891  
 

 

See accompanying notes to financial statements.

 

63


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Barratt Developments PLC

    23,980     $ 178,422  

Berkeley Group Holdings PLC

    4,083       217,020  

BP PLC

    133,491       897,449  

British American Tobacco PLC

    17,862       1,035,097  

British Land Co. PLC REIT

    5,739       51,685  

BT Group PLC

    305,596       975,270  

Bunzl PLC

    9,031       265,409  

Burberry Group PLC

    11,044       262,753  

Capita PLC

    5,258       10,625  

Carnival PLC

    5,135       329,915  

Centrica PLC

    186,054       371,137  

CNH Industrial NV

    10,982       135,467  

Cobham PLC (d)

    37,502       64,655  

Compass Group PLC

    91,262       1,863,365  

ConvaTec Group PLC (c)

    2,654       7,413  

Croda International PLC

    3,542       226,971  

DCC PLC

    423       38,926  

Diageo PLC

    81,600             2,760,980  

Direct Line Insurance Group PLC

    79,379       424,588  

easyJet PLC

    1,276       28,720  

Experian PLC

    22,451       484,224  

Fiat Chrysler Automobiles NV

    21,641       439,204  

G4S PLC

    8,924       31,059  

GKN PLC

    59,171       384,314  

GlaxoSmithKline PLC

    56,828       1,111,273  

Hammerson PLC REIT (a)

    4,204       31,645  

Hargreaves Lansdown PLC

    7,761       177,787  

HSBC Holdings PLC

    205,007       1,913,583  

IMI PLC

    7,717       116,914  

Imperial Brands PLC

    32,542       1,107,467  

InterContinental Hotels Group PLC

    302       18,081  

International Consolidated Airlines Group SA

    5,319       45,922  

Intertek Group PLC

    3,950       258,213  

ITV PLC

    104,428       211,168  

J Sainsbury PLC

    29,595       99,140  

John Wood Group PLC

    1,668       12,635  

Johnson Matthey PLC

    4,949       211,190  

Kingfisher PLC

    88,952       364,987  

Land Securities Group PLC REIT

    5,038       66,228  

Legal & General Group PLC

    156,968       567,662  

Lloyds Banking Group PLC

    433,592       393,290  

London Stock Exchange Group PLC

    6,414       371,239  

Marks & Spencer Group PLC

    47,096       178,511  

Meggitt PLC

    5,098       30,880  

Merlin Entertainments PLC (c)

    3,457       16,808  

Micro Focus International PLC

    580       8,029  

National Grid PLC

    90,980       1,023,822  

Next PLC

    4,035       269,374  

Old Mutual PLC

    31,251       104,907  

Pearson PLC

    8,971       94,258  

Persimmon PLC

    9,033       320,589  

Prudential PLC

    11,486       286,562  

Randgold Resources, Ltd.

    4,545       375,020  

Reckitt Benckiser Group PLC

    25,672       2,173,005  

RELX NV

    27,567       570,592  

RELX PLC

    60,322       1,239,679  

Rio Tinto PLC

    31,265       1,583,732  

Security Description

 

Shares

   

Value

 

Rio Tinto, Ltd.

    9,297     $ 518,443  

Rolls-Royce Holdings PLC (d)

    8,601       105,163  

Royal Bank of Scotland Group PLC (d)

    26,670       96,824  

Royal Mail PLC

    58,947       447,192  

RSA Insurance Group PLC

    5,362       47,387  

Sage Group PLC

    28,524       255,766  

Schroders PLC

    2,912       130,392  

Segro PLC REIT

    3,139       26,473  

Severn Trent PLC

    2,640       68,291  

Shire PLC

    3,775       189,078  

Sky PLC

    22,615       411,623  

Smith & Nephew PLC

    44,613       832,981  

Smiths Group PLC

    8,988       190,828  

SSE PLC

    44,505       796,627  

St James’s Place PLC

    1,031       15,714  

Standard Chartered PLC

    32,005       319,978  

Standard Life Aberdeen PLC

    15,163       76,511  

Taylor Wimpey PLC

    91,027       235,721  

Tesco PLC

    82,137       237,242  

Travis Perkins PLC

    6,094       105,491  

Unilever NV

    43,559       2,457,304  

Unilever PLC

    36,628       2,032,405  

United Utilities Group PLC

    7,486       75,127  

Vodafone Group PLC

    356,605       971,577  

Weir Group PLC

    747       20,900  

Whitbread PLC

    4,519       234,552  

Wm Morrison Supermarkets PLC

    24,261       72,661  

WPP PLC

    30,405       483,035  
   

 

 

 
      44,980,890  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $239,556,739)

            255,506,669  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.5%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    228,183       228,183  

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    6,204,945       6,204,945  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $6,433,128)

      6,433,128  
   

 

 

 

TOTAL INVESTMENTS — 101.9% (Cost $245,989,867)

      261,939,797  

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.9)%

      (4,904,394
   

 

 

 

NET ASSETS — 100.0%

    $ 257,035,403  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

64


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Amount is less than 0.05% of net assets.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.8% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Non-income producing security.
(e) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

REIT =Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 12,762,280     $     $     $ 12,762,280

Austria

      186,362                   186,362

Belgium

      2,918,933                   2,918,933

Chile

      15,413                   15,413

Denmark

      10,079,853                   10,079,853

Finland

      3,247,158                   3,247,158

France

      19,563,953                   19,563,953

Germany

      22,284,455                   22,284,455

Hong Kong

      13,805,516                   13,805,516

Ireland

      1,882,651                   1,882,651

Israel

      2,398,162                   2,398,162

Italy

      2,448,368                   2,448,368

Japan

      62,357,750                   62,357,750

Luxembourg

      716,033                   716,033

Mexico

      9,591                   9,591

Netherlands

      6,778,259                   6,778,259

New Zealand

      653,365                   653,365

Norway

      978,889                   978,889

Portugal

      244,236                   244,236

Singapore

      6,096,327                   6,096,327

South Africa

      281,766                   281,766

Spain

      5,131,000                   5,131,000

Sweden

      6,234,108                   6,234,108

Switzerland

      29,451,351                   29,451,351

United Kingdom

      44,980,890                   44,980,890

Short-Term Investments

      6,433,128                   6,433,128
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 261,939,797     $     $     $ 261,939,797
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

65


Table of Contents

SPDR MSCI EAFE STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/

Depreciation
  Number of
Shares Held
at

3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      152,020     $ 152,020     $ 2,949,375     $ 2,873,212     $     $       228,183     $ 228,183     $ 1,651     $

State Street Navigator Securities Lending Government Money Market Portfolio

      666,545       666,545       21,920,591       16,382,191                   6,204,945       6,204,945       15,935      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 818,565     $ 24,869,966     $ 19,255,403     $     $         $ 6,433,128     $ 17,586     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

66


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 93.3%

   

BRAZIL — 7.1%

   

Ambev SA

    26,285     $ 190,360  

B3 SA - Brasil Bolsa Balcao

    11,600       93,153  

Banco Bradesco SA Preference Shares

    20,809       247,309  

Banco do Brasil SA

    4,904       60,540  

BB Seguridade Participacoes SA

    4,205       37,032  

BRF SA (a)

    4,205       28,884  

CCR SA

    5,593       21,035  

Cia de Saneamento Basico do Estado de Sao Paulo

    3,502       36,879  

Cielo SA

    7,001       43,583  

Embraer SA

    7,005       45,420  

Equatorial Energia SA

    2,103       45,241  

Itau Unibanco Holding SA Preference Shares

    16,113       248,754  

Itausa - Investimentos Itau SA Preference Shares

    25,365       105,242  

Itausa - Investimentos Itau SA (b)

    3       13  

Itausa - Investimentos Itau SA (a) (b)

    596       2,473  

Kroton Educacional SA

    8,406       34,397  

Lojas Americanas SA Preference Shares

    5,805       32,906  

Lojas Renner SA

    5,754       59,469  

Raia Drogasil SA

    1,401       31,531  

Telefonica Brasil SA Preference Shares

    3,502       53,105  

Ultrapar Participacoes SA

    2,103       44,874  

Vale SA

    17,801       226,074  

WEG SA

    6,305       42,892  
   

 

 

 
      1,731,166  
   

 

 

 

CHILE — 1.2%

   

Banco Santander Chile

    817,790       68,939  

Cencosud SA

    11,469       35,116  

Empresas CMPC SA

    19,401       73,909  

Enel Americas SA

    209,900       49,028  

SACI Falabella

    6,901       66,582  
   

 

 

 
      293,574  
   

 

 

 

CHINA — 30.2%

   

58.com, Inc. ADR (a)

    780       62,291  

AAC Technologies Holdings, Inc.

    2,000       36,084  

Agricultural Bank of China, Ltd. Class H

    85,000       48,303  

Alibaba Group Holding, Ltd. ADR (a) (c)

    5,590             1,025,989  

Anhui Conch Cement Co., Ltd. Class H

    14,000       76,259  

Baidu, Inc. ADR (a)

    1,403       313,136  

Bank of China, Ltd. Class H

    370,000       198,948  

Bank of Communications Co., Ltd. Class H

    50,000       39,180  

Beijing Enterprises Holdings, Ltd.

    7,000       36,568  

Beijing Enterprises Water Group, Ltd.

    56,000       31,253  

Brilliance China Automotive Holdings, Ltd.

    28,000       58,438  

Security Description

 

Shares

   

Value

 

Byd Co., Ltd. Class H

    7,000     $ 54,585  

CGN Power Co., Ltd. Class H (d)

    120,000       31,039  

China Cinda Asset Management Co., Ltd. Class H

    99,000       35,950  

China CITIC Bank Corp., Ltd. Class H

    57,000       38,928  

China Communications Construction Co., Ltd. Class H

    35,000       35,944  

China Conch Venture Holdings, Ltd.

    17,500       53,403  

China Construction Bank Corp. Class H

    404,000             414,897  

China Everbright International, Ltd.

    28,000       39,244  

China Evergrande Group (a)

    24,000       75,532  

China Galaxy Securities Co., Ltd. Class H

    39,000       25,939  

China Life Insurance Co., Ltd. Class H

    35,000       96,327  

China Longyuan Power Group Corp., Ltd. Class H

    43,000       32,983  

China Mengniu Dairy Co., Ltd.

    21,000       71,977  

China Merchants Bank Co., Ltd. Class H

    14,000       57,350  

China Merchants Port Holdings Co., Ltd.

    14,981       33,023  

China Minsheng Banking Corp., Ltd. Class H

    32,000       31,110  

China Mobile, Ltd.

    32,000       293,363  

China Overseas Land & Investment, Ltd.

    14,000       48,609  

China Pacific Insurance Group Co., Ltd. Class H

    10,000       44,787  

China Railway Group, Ltd. Class H

    50,000       34,657  

China Resources Beer Holdings Co., Ltd.

    14,000       60,650  

China Resources Gas Group, Ltd.

    14,000       48,609  

China Resources Land, Ltd.

    14,000       50,928  

China Taiping Insurance Holdings Co., Ltd.

    17,000       56,210  

China Telecom Corp., Ltd. Class H

    70,000       30,860  

China Unicom Hong Kong, Ltd. (a)

    28,000       35,320  

China Vanke Co., Ltd. Class H

    14,200       64,773  

CITIC Securities Co., Ltd. Class H

    17,500       40,047  

CITIC, Ltd.

    21,000       29,380  

Country Garden Holdings Co., Ltd.

    65,000       133,838  

CRRC Corp., Ltd. Class H

    35,000       29,834  

CSPC Pharmaceutical Group, Ltd.

    28,000       74,386  

Ctrip.com International, Ltd. ADR (a)

    1,970       91,841  

Fosun International, Ltd.

    25,000       54,152  

Geely Automobile Holdings, Ltd.

    35,000       100,786  

Great Wall Motor Co., Ltd. Class H (c)

    32,000       32,088  

Guangdong Investment, Ltd.

    28,000       44,025  

Haitong Securities Co., Ltd. Class H

    20,000       26,452  

Hengan International Group Co., Ltd.

    3,500       32,421  

Huaneng Power International, Inc. Class H

    56,000       37,603  
 

 

See accompanying notes to financial statements.

 

67


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Huatai Securities Co., Ltd. Class H (d)

    17,000     $ 32,708  

Industrial & Commercial Bank of China, Ltd. Class H

    348,000       298,414  

JD.com, Inc. ADR (a) (c)

    3,618       146,493  

Lenovo Group, Ltd. (c)

    56,000       28,613  

NetEase, Inc. ADR

    397       111,315  

New China Life Insurance Co., Ltd. Class H

    7,800       36,325  

New Oriental Education & Technology Group, Inc. ADR

    751       65,825  

PICC Property & Casualty Co., Ltd. Class H

    28,000       49,020  

Ping An Insurance Group Co. of China, Ltd. Class H

    21,500       218,608  

Semiconductor Manufacturing International Corp. (a) (c)

    28,700       37,519  

Shenzhou International Group Holdings, Ltd.

    7,000       73,717  

Sinopharm Group Co., Ltd. Class H

    8,400       42,063  

TAL Education Group ADR

    2,937       108,933  

Tencent Holdings, Ltd.

    28,100       1,466,529  

Vipshop Holdings, Ltd. ADR (a)

    2,475       41,134  

Want Want China Holdings, Ltd.

    57,000       45,682  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    7,100       34,377  
   

 

 

 
            7,387,574  
   

 

 

 

COLOMBIA — 0.5%

   

Bancolombia SA Preference Shares

    6,026       63,170  

Grupo Argos SA

    6,542       44,080  

Grupo de Inversiones Suramericana SA Preference Shares

    10       128  

Grupo de Inversiones Suramericana SA

    756       10,091  
   

 

 

 
      117,469  
   

 

 

 

EGYPT — 0.1%

   

Commercial International Bank Egypt SAE

    6,167       31,136  
   

 

 

 

GREECE — 0.1%

   

Piraeus Bank SA (a)

    9,963       31,490  
   

 

 

 

HONG KONG — 0.5%

   

Sino Biopharmaceutical, Ltd.

    57,000       111,846  
   

 

 

 

HUNGARY — 0.4%

   

OTP Bank PLC

    1,552       69,824  

Richter Gedeon Nyrt

    1,702       35,571  
   

 

 

 
      105,395  
   

 

 

 

INDONESIA — 2.3%

   

Astra International Tbk PT

    112,100       59,439  

Bank Central Asia Tbk PT

    66,600       112,713  

Bank Mandiri Persero Tbk PT

    105,000       58,535  

Bank Negara Indonesia Persero Tbk PT

    84,300       53,118  

Bank Rakyat Indonesia Persero Tbk PT

    315,400       82,473  

Indofood Sukses Makmur Tbk PT

    52,500       27,456  

Kalbe Farma Tbk PT

    263,100       28,665  

Security Description

 

Shares

   

Value

 

Matahari Department Store Tbk PT

    24,800     $ 19,725  

Telekomunikasi Indonesia Persero Tbk PT

    282,900       73,974  

Unilever Indonesia Tbk PT

    10,600       38,131  
   

 

 

 
      554,229  
   

 

 

 

MALAYSIA — 2.5%

   

CIMB Group Holdings Bhd

    31,829       58,918  

DiGi.Com Bhd

    29,500       35,311  

Genting Bhd

    19,100       42,960  

Genting Malaysia Bhd

    31,500       39,497  

IHH Healthcare Bhd

    23,400       36,298  

IJM Corp. Bhd

    44,700       31,087  

IOI Corp. Bhd

    33,000       40,781  

Malayan Banking Bhd

    17,231       46,864  

Maxis Bhd

    24,800       36,418  

Petronas Chemicals Group Bhd

    22,000       46,355  

Petronas Gas Bhd

    7,100       32,710  

Public Bank Bhd

    12,000       74,457  

Sime Darby Bhd

    20,055       13,584  

Tenaga Nasional Bhd

    17,700       73,948  
   

 

 

 
      609,188  
   

 

 

 

MEXICO — 3.3%

   

Alfa SAB de CV Class A

    21,738       27,736  

America Movil SAB de CV Series L

    161,981       153,076  

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand Class B (c)

    19,632       28,125  

Cemex SAB de CV Series CPO (a)

    75,117       49,506  

Coca-Cola Femsa SAB de CV Series L

    4,207       27,710  

Fibra Uno Administracion SA de CV REIT

    18,646       27,949  

Fomento Economico Mexicano SAB de CV

    9,114       82,794  

Grupo Aeroportuario del Pacifico SAB de CV Class B

    3,505       34,492  

Grupo Bimbo SAB de CV Series A

    12,622       27,507  

Grupo Financiero Banorte SAB de CV Series O

    11,219       68,303  

Grupo Financiero Inbursa SAB de CV Series O

    21,738       35,834  

Grupo Mexico SAB de CV Series B

    21,738       72,109  

Grupo Televisa SAB Series CPO

    12,622       39,989  

Industrias Penoles SAB de CV

    1,510       30,381  

Kimberly-Clark de Mexico SAB de CV Class A (c)

    15,427       28,769  

Promotora y Operadora de Infraestructura SAB de CV

    2,804       27,764  

Wal-Mart de Mexico SAB de CV

    21,892       55,481  
   

 

 

 
              817,525  
   

 

 

 

PERU — 0.7%

   

Credicorp, Ltd.

    702       159,382  
   

 

 

 

PHILIPPINES — 1.2%

   

Aboitiz Equity Ventures, Inc.

    22,500       29,107  

Ayala Corp.

    2,050       37,246  
 

 

See accompanying notes to financial statements.

 

68


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Ayala Land, Inc.

    46,800     $ 36,864  

BDO Unibank, Inc.

    16,875       44,955  

JG Summit Holdings, Inc.

    23,830       28,636  

SM Investments Corp.

    2,550       44,815  

SM Prime Holdings, Inc.

    65,200       42,111  

Universal Robina Corp.

    9,680       28,199  
   

 

 

 
      291,933  
   

 

 

 

POLAND — 1.0%

   

Bank Pekao SA

    1,219       43,880  

KGHM Polska Miedz SA

    2,532       64,178  

Powszechna Kasa Oszczednosci Bank Polski SA (a)

    5,980       70,601  

Powszechny Zaklad Ubezpieczen SA

    5,420       66,063  
   

 

 

 
      244,722  
   

 

 

 

QATAR — 0.6%

   

Ezdan Holding Group QSC

    6,252       18,025  

Industries Qatar QSC

    1,184       34,167  

Masraf Al Rayan QSC

    3,642       35,340  

Qatar Insurance Co. SAQ

    1,923       19,800  

Qatar National Bank QPSC

    1,134       40,478  
   

 

 

 
              147,810  
   

 

 

 

RUSSIA — 1.5%

   

Magnit PJSC GDR

    1,517       27,966  

Mobile TeleSystems PJSC ADR

    4,910       55,925  

Sberbank of Russia PJSC ADR

    13,325       248,245  

VTB Bank PJSC GDR

    16,374       32,060  
   

 

 

 
      364,196  
   

 

 

 

SOUTH AFRICA — 7.0%

   

AngloGold Ashanti, Ltd.

    2,430       23,076  

Aspen Pharmacare Holdings, Ltd.

    1,830       40,073  

Barclays Africa Group, Ltd.

    3,375       54,034  

Bid Corp., Ltd.

    1,999       43,485  

Bidvest Group, Ltd.

    3,035       57,402  

Discovery, Ltd.

    4,537       65,286  

FirstRand, Ltd. (c)

    16,009       90,389  

Fortress REIT, Ltd. Class B, (c)

    15,778       15,846  

Gold Fields, Ltd.

    6,300       25,511  

Growthpoint Properties, Ltd. REIT (c)

    20,878       50,060  

Life Healthcare Group Holdings, Ltd.

    15,553       36,242  

MTN Group, Ltd.

    8,575       86,135  

Naspers, Ltd. Class N

    2,159       526,932  

Nedbank Group, Ltd. (c)

    2,326       56,054  

Redefine Properties, Ltd. REIT

    46,443       45,429  

Remgro, Ltd.

    2,567       48,096  

Sanlam, Ltd. (c)

    7,888       56,786  

Sappi, Ltd.

    6,417       41,268  

Shoprite Holdings, Ltd.

    2,659       56,682  

SPAR Group, Ltd.

    2,574       44,004  

Standard Bank Group, Ltd. (c)

    6,242       115,202  

Steinhoff International Holdings NV

    15,595       4,343  

Tiger Brands, Ltd.

    1,333       41,851  

Vodacom Group, Ltd.

    3,382       43,691  

Security Description

 

Shares

   

Value

 

Woolworths Holdings, Ltd.

    6,520     $ 33,016  
   

 

 

 
            1,700,893  
   

 

 

 

SOUTH KOREA — 16.1%

   

Amorepacific Corp.

    191       55,012  

AMOREPACIFIC Group

    255       32,775  

Celltrion, Inc. (a)

    470       139,779  

CJ CheilJedang Corp.

    113       33,924  

Coway Co., Ltd.

    418       34,431  

DB Insurance Co., Ltd.

    560       34,675  

E-MART, Inc.

    241       61,160  

GS Holdings Corp.

    770       44,499  

Hana Financial Group, Inc.

    1,543       66,011  

Hankook Tire Co., Ltd.

    687       33,902  

Hyundai Engineering & Construction Co., Ltd.

    953       38,088  

Hyundai Glovis Co., Ltd.

    227       38,760  

Hyundai Heavy Industries Co., Ltd. (a)

    192       24,768  

Hyundai Mobis Co., Ltd.

    348       82,927  

Hyundai Motor Co.

    702       94,509  

Hyundai Motor Co. Preference Shares

    411       33,276  

Hyundai Robotics Co., Ltd. (a)

    12       4,796  

Hyundai Steel Co.

    806       39,018  

Industrial Bank of Korea

    3,224       47,185  

Kangwon Land, Inc.

    1,050       26,844  

KB Financial Group, Inc.

    2,032       117,432  

Kia Motors Corp.

    1,507       45,030  

Korea Aerospace Industries, Ltd. (a)

    560       26,243  

Korea Electric Power Corp.

    1,330       41,052  

Korea Zinc Co., Ltd.

    92       41,602  

KT&G Corp.

    638       59,856  

LG Chem, Ltd.

    288       104,295  

LG Corp.

    638       52,014  

LG Display Co., Ltd.

    1,330       32,255  

LG Electronics, Inc.

    799       81,707  

LG Household & Health Care, Ltd.

    57       63,743  

Lotte Chemical Corp.

    128       51,997  

NAVER Corp.

    149       109,873  

NCSoft Corp.

    142       54,621  

POSCO

    397       125,517  

Samsung C&T Corp.

    390       50,127  

Samsung Electronics Co., Ltd. Preference Shares

    79       150,084  

Samsung Electronics Co., Ltd.

    439       1,009,877  

Samsung Fire & Marine Insurance Co., Ltd.

    163       40,983  

Samsung Life Insurance Co., Ltd.

    370       40,093  

Samsung SDI Co., Ltd.

    432       77,411  

Samsung SDS Co., Ltd.

    255       60,407  

Shinhan Financial Group Co., Ltd.

    2,173       92,045  

SK Holdings Co., Ltd.

    248       69,451  

SK Hynix, Inc.

    3,082       232,184  

SK Telecom Co., Ltd.

    177       38,193  

S-Oil Corp.

    489       54,823  

Woori Bank

    3,434       46,392  
   

 

 

 
      3,935,646  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

69


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

TAIWAN — 13.2%

   

Advanced Semiconductor Engineering, Inc.

    35,312     $ 51,048  

Asustek Computer, Inc.

    7,000       65,182  

AU Optronics Corp.

    96,000       44,449  

Catcher Technology Co., Ltd.

    7,000       86,789  

Cathay Financial Holding Co., Ltd.

    34,000       60,404  

Chang Hwa Commercial Bank, Ltd.

    73,500       42,476  

Cheng Shin Rubber Industry Co., Ltd.

    14,000       22,735  

China Development Financial Holding Corp.

    142,000       50,163  

China Life Insurance Co., Ltd.

    34,980       36,291  

China Steel Corp.

    78,000       62,064  

Chunghwa Telecom Co., Ltd.

    13,000       49,714  

Compal Electronics, Inc.

    57,000       38,805  

CTBC Financial Holding Co., Ltd.

    78,000       55,911  

Delta Electronics, Inc.

    7,000       31,210  

E.Sun Financial Holding Co., Ltd.

    70,491       47,386  

Far EasTone Telecommunications Co., Ltd.

    14,000       36,972  

First Financial Holding Co., Ltd.

    72,000       50,005  

Formosa Chemicals & Fibre Corp.

    14,000       52,337  

Formosa Petrochemical Corp.

    14,000       56,899  

Formosa Plastics Corp.

    21,000       74,185  

Foxconn Technology Co., Ltd.

    14,000       37,500  

Fubon Financial Holding Co., Ltd.

    34,000       58,422  

Hon Hai Precision Industry Co., Ltd.

    78,000       240,765  

Hua Nan Financial Holdings Co., Ltd.

    73,500       44,115  

Lite-On Technology Corp.

    28,000       39,085  

MediaTek, Inc.

    6,000       68,114  

Mega Financial Holding Co., Ltd.

    50,000       42,957  

Nan Ya Plastics Corp.

    28,000       78,554  

Pegatron Corp.

    14,000       34,859  

President Chain Store Corp.

    7,000       70,343  

Quanta Computer, Inc.

    12,000       24,200  

Siliconware Precision Industries Co., Ltd.

    21,000       36,660  

SinoPac Financial Holdings Co., Ltd.

    123,975       43,795  

Taishin Financial Holding Co., Ltd.

    103,007       50,520  

Taiwan Cement Corp.

    28,000       35,100  

Taiwan Cooperative Financial Holding Co., Ltd.

    79,650       46,850  

Taiwan Mobile Co., Ltd.

    7,000       26,169  

Taiwan Semiconductor Manufacturing Co., Ltd.

    128,000             1,071,166  

Uni-President Enterprises Corp.

    28,000       65,590  

United Microelectronics Corp.

    99,000       51,950  

Yuanta Financial Holding Co., Ltd.

    99,000       45,329  
   

 

 

 
      3,227,068  
   

 

 

 

THAILAND — 2.1%

   

Advanced Info Service PCL NVDR

    9,200       60,608  

Airports of Thailand PCL NVDR

    30,700       64,797  

Bangkok Dusit Medical Services PCL NVDR

    57,400       43,137  

Security Description

 

Shares

   

Value

 

CP ALL PCL NVDR

    29,100     $ 81,195  

Kasikornbank PCL (e)

    9,900       67,435  

Minor International PCL NVDR

    31,500       38,280  

PTT Global Chemical PCL NVDR

    21,300       64,540  

Siam Cement PCL (e)

    2,800       44,234  

Siam Commercial Bank PCL NVDR

    10,600       48,644  
   

 

 

 
      512,870  
   

 

 

 

TURKEY — 1.0%

   

Akbank Turk A/S

    16,261       39,242  

BIM Birlesik Magazalar A/S

    2,188       39,409  

Haci Omer Sabanci Holding A/S

    11,564       30,593  

Turkcell Iletisim Hizmetleri A/S

    11,113       42,248  

Turkiye Garanti Bankasi A/S

    18,744       51,575  

Turkiye Is Bankasi A/S Class C

    24,410       43,935  
   

 

 

 
      247,002  
   

 

 

 

UNITED ARAB EMIRATES — 0.7%

 

Abu Dhabi Commercial Bank PJSC

    21,129       37,967  

Aldar Properties PJSC

    50,062       29,031  

DP World, Ltd.

    1,891       42,547  

Emaar Properties PJSC

    20,010       31,598  

Emirates Telecommunications Group Co. PJSC

    7,154       34,377  
   

 

 

 
      175,520  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $19,817,886)

            22,797,634  
   

 

 

 

SHORT-TERM INVESTMENTS — 6.7%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    1,195,895       1,195,895  

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    434,013       434,013  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $1,629,908)

      1,629,908  
   

 

 

 

TOTAL INVESTMENTS — 100.0%
(Cost $21,447,794)

      24,427,542  
   

 

 

 

OTHER ASSETS IN EXCESS OF LIABILITIES — 0.0% (i)

      9,598  
   

 

 

 

NET ASSETS — 100.0%

    $ 24,437,140  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

70


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SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

(a) Non-income producing security.
(b) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.3% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $111,669 representing 0.5% of net assets.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.
(i) Amount is less than 0.05% of net assets.

ADR =American Depositary Receipt

GDR =Global Depositary Receipt

NVDR =Non Voting Depositary Receipt

REIT =Real Estate Investment Trust

 

 

At March 31, 2018, open futures contracts purchased were as follows:

 

Description

  Number of
Contracts
   Expiration
Date
   Notional
Amount
   Value    Unrealized
Appreciation/
Depreciation

SGX NIFTY 50

  80        04/26/2018      $ 1,617,197      $ 1,636,634      $ 19,437

During the period ended March 31, 2018, average notional value related to futures contracts was $1,566,171 or less than 0.5% of net assets.

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $   1,731,166     $      —     $     $   1,731,166

Chile

      293,574                   293,574

China

      7,387,574                   7,387,574

Colombia

      117,469                   117,469

Egypt

      31,136                   31,136

Greece

      31,490                   31,490

Hong Kong

      111,846                   111,846

Hungary

      105,395                   105,395

Indonesia

      554,229                   554,229

Malaysia

      609,188                   609,188

Mexico

      817,525                   817,525

Peru

      159,382                   159,382

Philippines

      291,933                   291,933

Poland

      244,722                   244,722

Qatar

      147,810                   147,810

Russia

      364,196                   364,196

 

See accompanying notes to financial statements.

 

71


Table of Contents

SPDR MSCI EMERGING MARKETS FOSSIL FUEL RESERVES FREE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

South Africa

    $ 1,700,893     $     $     $ 1,700,893

South Korea

      3,935,646                   3,935,646

Taiwan

      3,227,068                   3,227,068

Thailand

      401,201       111,669             512,870

Turkey

      247,002                   247,002

United Arab Emirates

      175,520                   175,520

Short-Term Investments

      1,629,908                   1,629,908
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 24,315,873     $ 111,669     $     $ 24,427,542
   

 

 

     

 

 

     

 

 

     

 

 

 

OTHER FINANCIAL INSTRUMENTS:

               

Futures Contracts(a)

      19,437                   19,437
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS AND OTHER FINANCIAL INSTRUMENTS

    $ 24,335,310     $ 111,669     $     $ 24,446,979
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Futures Contracts are valued at unrealized appreciation (depreciation).

Affiliate Table

 

    Number of
Shares Held

at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held

at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      851,592     $ 851,592     $ 2,252,882     $ 1,908,579     $     $       1,195,895     $ 1,195,895     $ 7,371     $

State Street Navigator Securities Lending Government Money Market Portfolio

      172,291       172,291       1,038,024       776,302                   434,013       434,013       1,465      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 1,023,883     $ 3,290,906     $ 2,684,881     $     $         $ 1,629,908     $ 8,836     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

72


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.4%

   

BRAZIL – 5.4%

   

Ambev SA ADR

    511,700     $ 3,720,060  

Itausa - Investimentos Itau SA Preference Shares

    433,691       1,799,434  

Other Securities

    1,303,483               11,702,064  
   

 

 

 
      17,221,558  
   

 

 

 

CHILE – 1.7%

   

Other Securities

    4,300,163       5,614,528  
   

 

 

 

CHINA – 25.3%

   

AAC Technologies Holdings, Inc.

    109,500       1,975,613  

Agricultural Bank of China, Ltd. Class H

    4,040,000       2,295,835  

Alibaba Group Holding, Ltd. ADR (a) (b)

    12,009       2,204,132  

Bank of China, Ltd. Class H

    6,746,071       3,627,336  

China Construction Bank Corp. Class H

    5,094,394       5,231,810  

China Huishan Dairy Holdings Co., Ltd. (a) (c)

    1,072,393        

China Mobile, Ltd.

    740,997       6,793,157  

China Petroleum & Chemical Corp. Class H

    2,388,395       2,096,765  

CSPC Pharmaceutical Group, Ltd.

    958,000       2,545,048  

Geely Automobile Holdings, Ltd.

    492,000       1,416,765  

Guangdong Investment, Ltd.

    968,000       1,522,001  

Industrial & Commercial Bank of China, Ltd. Class H

    4,257,448       3,650,807  

NetEase, Inc. ADR

    11,007       3,086,253  

PetroChina Co., Ltd. Class H

    2,240,000       1,538,371  

Shenzhou International Group Holdings, Ltd.

    146,000       1,537,518  

Sunny Optical Technology Group Co., Ltd.

    86,693       1,600,578  

Tencent Holdings, Ltd.

    136,678       7,133,176  

Yum China Holdings, Inc.

    64,362       2,671,023  

Other Securities

    19,815,308       30,322,005  
   

 

 

 
      81,248,193  
   

 

 

 

COLOMBIA – 0.4%

   

Other Securities

    209,928       1,154,439  
   

 

 

 

CZECH REPUBLIC – 0.3%

   

Other Securities

    109,544       1,104,488  
   

 

 

 

EGYPT – 0.3%

   

Other Security

    193,077       980,831  
   

 

 

 

GREECE – 0.6%

   

Other Securities

    738,417       1,804,234  
   

 

 

 

HONG KONG – 0.9%

   

Hanergy Thin Film Power Group, Ltd. (a) (c)

    598,000        

Other Securities

    2,249,925       3,043,190  
   

 

 

 
      3,043,190  
   

 

 

 

HUNGARY – 0.4%

   

Other Securities

    71,653       1,198,467  
   

 

 

 

Security Description

 

Shares

   

Value

 

INDIA – 9.8%

   

HCL Technologies, Ltd.

    117,425     $ 1,743,865  

Hindustan Unilever, Ltd.

    101,904       2,083,259  

Infosys, Ltd. ADR (b)

    165,681       2,957,406  

Infosys, Ltd.

    100,407       1,742,375  

Tata Consultancy Services, Ltd.

    79,950       3,492,542  

Other Securities

    2,484,248               19,320,154  
   

 

 

 
      31,339,601  
   

 

 

 

INDONESIA – 4.1%

   

Bank Central Asia Tbk PT

    1,946,925       3,294,959  

Bank Rakyat Indonesia Persero Tbk PT

    6,661,500       1,741,885  

Telekomunikasi Indonesia Persero Tbk PT

    8,018,275       2,096,662  

Unilever Indonesia Tbk PT

    419,400       1,508,682  

Other Securities

    15,741,869       4,568,272  
   

 

 

 
      13,210,460  
   

 

 

 

MALAYSIA – 3.7%

   

Malayan Banking Bhd

    614,399       1,671,013  

Public Bank Bhd

    370,511       2,298,931  

Other Securities

    3,772,069       7,850,273  
   

 

 

 
      11,820,217  
   

 

 

 

MEXICO – 2.0%

   

Wal-Mart de Mexico SAB de CV

    801,824       2,032,069  

Other Securities

    1,710,678       4,285,277  
   

 

 

 
      6,317,346  
   

 

 

 

PAKISTAN – 0.1%

   

Other Securities

    163,105       409,785  
   

 

 

 

PERU – 0.5%

   

Credicorp, Ltd.

    6,810       1,546,143  

Other Securities

    2,571       71,251  
   

 

 

 
      1,617,394  
   

 

 

 

PHILIPPINES – 1.5%

   

Other Securities

    3,150,104       4,690,661  
   

 

 

 

POLAND – 1.0%

   

Other Securities

    453,709       3,348,162  
   

 

 

 

QATAR – 0.8%

   

Other Securities

    162,997       2,621,216  
   

 

 

 

ROMANIA – 0.1%

   

Other Security

    24,874       241,419  
   

 

 

 

RUSSIA – 3.7%

   

Gazprom PJSC ADR

    457,553       2,226,453  

LUKOIL PJSC ADR

    21,698       1,494,992  

Sberbank of Russia PJSC ADR

    87,280       1,626,026  

Tatneft PJSC ADR

    24,499       1,546,377  

Other Securities

    64,723,064       4,979,056  
   

 

 

 
      11,872,904  
   

 

 

 

SOUTH AFRICA – 5.0%

   

FirstRand, Ltd. (b)

    363,615       2,053,030  

Vodacom Group, Ltd.

    119,159       1,539,375  

Other Securities

    1,621,021       12,522,158  
   

 

 

 
      16,114,563  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

73


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SOUTH KOREA – 11.7%

   

KT&G Corp.

    20,621     $ 1,934,609  

NAVER Corp.

    3,542       2,611,889  

Samsung Electronics Co., Ltd. GDR (d)

    3,218       3,687,828  

Samsung Electronics Co., Ltd.

    740       1,702,299  

SK Hynix, Inc.

    20,260       1,526,295  

Other Securities

    534,522       25,963,728  
   

 

 

 
      37,426,648  
   

 

 

 

TAIWAN – 14.5%

   

Chunghwa Telecom Co., Ltd.

    739,540       2,828,093  

Far EasTone Telecommunications Co., Ltd.

    604,449       1,596,274  

Hon Hai Precision Industry Co., Ltd.

    1,973,163       6,090,636  

President Chain Store Corp.

    148,000       1,487,259  

Taiwan Cooperative Financial Holding Co., Ltd.

    2,648,165       1,557,637  

Taiwan Mobile Co., Ltd.

    529,542       1,979,630  

Taiwan Semiconductor Manufacturing Co., Ltd.

    1,123,495       9,401,954  

Other Securities

    15,966,627       21,501,672  
   

 

 

 
      46,443,155  
   

 

 

 

THAILAND – 3.7%

   

Other Securities

    9,774,796       11,860,156  
   

 

 

 

TURKEY – 0.8%

   

Other Securities

    827,691       2,721,957  
   

 

 

 

UNITED ARAB EMIRATES – 1.1%

 

 

Other Securities

    1,347,350       3,634,010  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $278,424,508)

              319,059,582  
   

 

 

 

RIGHTS - 0.0% (e)

   

SOUTH KOREA – 0.0% (e)

   

Other Security
(cost $0)

    4,217       8,209  
   

 

 

 

SHORT-TERM INVESTMENTS - 2.0%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    419,516       419,516  

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    5,879,993       5,879,993  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $6,299,509)

      6,299,509  
   

 

 

 

TOTAL INVESTMENTS - 101.4%
(Cost $284,724,017)

 

    325,367,300  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS - (1.4)%

      (4,366,673
   

 

 

 

NET ASSETS - 100.0%

    $ 321,000,627  
   

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(d) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(e) Amount is less than 0.05% of net assets.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.

ADR American Depositary Receipt

GDR Global Depositary Receipt

 

 

See accompanying notes to financial statements.

 

74


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $ 17,221,558     $     $  —     $ 17,221,558

Chile

      5,614,528                   5,614,528

China

      81,248,193             0 (a)       81,248,193

Colombia

      1,154,439                   1,154,439

Czech Republic

      1,104,488                   1,104,488

Egypt

      980,831                   980,831

Greece

      1,804,234                   1,804,234

Hong Kong

      3,043,190             0 (a)       3,043,190

Hungary

      1,198,467                   1,198,467

India

      31,339,601                   31,339,601

Indonesia

      13,210,460                   13,210,460

Malaysia

      11,820,217                   11,820,217

Mexico

      6,317,346                   6,317,346

Pakistan

      409,785                   409,785

Peru

      1,617,394                   1,617,394

Philippines

      4,690,661                   4,690,661

Poland

      3,348,162                   3,348,162

Qatar

      2,621,216                   2,621,216

Romania

      241,419                   241,419

Russia

      11,872,904                   11,872,904

South Africa

      16,114,563                   16,114,563

South Korea

      37,426,648                   37,426,648

Taiwan

      46,443,155                   46,443,155

Thailand

      2,637,588       9,222,568             11,860,156

Turkey

      2,721,957                   2,721,957

United Arab Emirates

      3,634,010                   3,634,010

Rights

               

South Korea

      8,209                   8,209

Short-Term Investments

      6,299,509                   6,299,509
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 316,144,732     $ 9,222,568     $ 0     $ 325,367,300
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      647,704     $ 647,704     $ 12,177,070     $ 12,405,258     $  —     $  —       419,516     $ 419,516     $ 2,997     $  —

State Street Navigator Securities Lending Government Money Market Portfolio

      3,055,835       3,055,835       14,107,878       11,283,720                   5,879,993       5,879,993       12,523      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 3,703,539     $ 26,284,948     $ 23,688,978     $     $         $ 6,299,509     $ 15,520     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

75


Table of Contents

SPDR MSCI GERMANY STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.0%

   

AEROSPACE & DEFENSE — 1.8%

   

MTU Aero Engines AG

    1,009     $ 169,758  
   

 

 

 

AIR FREIGHT & LOGISTICS — 3.6%

   

Deutsche Post AG

    7,791       340,344  
   

 

 

 

AIRLINES — 0.7%

   

Deutsche Lufthansa AG

    1,960       62,529  
   

 

 

 

AUTO COMPONENTS — 3.2%

   

Continental AG

    1,075       296,545  

Schaeffler AG Preference Shares

    592       9,126  
   

 

 

 
      305,671  
   

 

 

 

AUTOMOBILES — 9.5%

   

Bayerische Motoren Werke AG

    1,448       156,980  

Bayerische Motoren Werke AG Preference Shares

    401       37,555  

Daimler AG

    4,884       414,275  

Porsche Automobil Holding SE Preference Shares

    569       47,235  

Volkswagen AG

    184       36,795  

Volkswagen AG Preference Shares

    1,105       219,313  
   

 

 

 
      912,153  
   

 

 

 

BANKS — 0.7%

   

Commerzbank AG (a)

    5,016       65,045  
   

 

 

 

CAPITAL MARKETS — 1.7%

   

Deutsche Bank AG

    7,514       104,665  

Deutsche Boerse AG

    432       58,761  
   

 

 

 
      163,426  
   

 

 

 

CHEMICALS — 12.1%

   

BASF SE

    4,519       458,343  

Covestro AG (b)

    1,970       193,485  

Evonik Industries AG

    2,644       93,129  

Fuchs Petrolub SE Preference Shares

    1,757       95,293  

KS AG

    699       20,151  

Lanxess AG

    174       13,311  

Linde AG (a)

    503       105,845  

Symrise AG

    2,278               183,113  
   

 

 

 
      1,162,670  
   

 

 

 

CONSTRUCTION & ENGINEERING — 0.2%

 

HOCHTIEF AG

    122       22,761  
   

 

 

 

CONSTRUCTION MATERIALS — 0.7%

 

HeidelbergCement AG

    650       63,776  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 3.2%

 

Deutsche Telekom AG

    16,851       274,596  

Telefonica Deutschland Holding AG

    6,005       28,182  
   

 

 

 
      302,778  
   

 

 

 

ELECTRICAL EQUIPMENT — 1.2%

   

OSRAM Licht AG

    1,501       110,317  
   

 

 

 

Security Description

 

Shares

   

Value

 

FOOD & STAPLES RETAILING — 0.2%

 

METRO AG

    1,040     $ 18,406  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES — 3.1%

 

Fresenius Medical Care AG & Co. KGaA

    1,357       138,486  

Fresenius SE & Co. KGaA

    2,034       155,244  
   

 

 

 
      293,730  
   

 

 

 

HOUSEHOLD PRODUCTS — 3.6%

   

Henkel AG & Co. KGaA Preference Shares

    2,045       268,732  

Henkel AG & Co. KGaA

    597       75,111  
   

 

 

 
      343,843  
   

 

 

 

INDEPENDENT POWER PRODUCERS & ENERGY
TRADERS — 1.0%

 

Uniper SE

    3,267       99,444  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 4.5%

 

Siemens AG

    3,419       435,287  
   

 

 

 

INSURANCE — 11.4%

   

Allianz SE

    1,919       432,839  

Hannover Rueck SE

    1,284       175,126  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    2,080       483,095  
   

 

 

 
              1,091,060  
   

 

 

 

INTERNET & CATALOG RETAIL — 0.2%

 

Zalando SE (a) (b)

    302       16,446  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 0.4%

 

United Internet AG

    551       34,628  
   

 

 

 

IT SERVICES — 2.3%

   

Wirecard AG

    1,881       221,896  
   

 

 

 

LIFE SCIENCES TOOLS & SERVICES — 0.4%

 

QIAGEN NV (a)

    1,331       42,969  
   

 

 

 

MACHINERY — 3.2%

   

GEA Group AG

    2,880       122,375  

KION Group AG

    143       13,320  

MAN SE

    1,484       172,928  
   

 

 

 
      308,623  
   

 

 

 

MEDIA — 3.8%

   

Axel Springer SE

    695       58,123  

ProSiebenSat.1 Media SE

    4,662       161,572  

RTL Group SA

    1,798       149,150  
   

 

 

 
      368,845  
   

 

 

 

METALS & MINING — 0.3%

   

ThyssenKrupp AG

    1,189       30,986  
   

 

 

 

MULTI-UTILITIES — 3.0%

   

E.ON SE

    7,517       83,388  

Innogy SE (b)

    2,668       126,229  
 

 

See accompanying notes to financial statements.

 

76


Table of Contents

SPDR MSCI GERMANY STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

RWE AG (a)

    2,995     $ 73,889  
   

 

 

 
      283,506  
   

 

 

 

PERSONAL PRODUCTS — 3.1%

   

Beiersdorf AG

    2,628       297,413  
   

 

 

 

PHARMACEUTICALS — 5.4%

   

Bayer AG

    3,267       368,805  

Merck KGaA

    1,532       146,774  
   

 

 

 
      515,579  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 1.9%

 

Deutsche Wohnen SE

    1,844       85,951  

Vonovia SE

    1,962       97,122  
   

 

 

 
      183,073  
   

 

 

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 2.1%

 

Infineon Technologies AG

    7,701       205,901  
   

 

 

 

SOFTWARE — 3.9%

   

SAP SE

    3,618       378,082  
   

 

 

 

TEXTILES, APPAREL & LUXURY GOODS — 4.5%

 

adidas AG

    1,204       291,188  

HUGO BOSS AG

    1,584       137,846  
   

 

 

 
              429,034  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 1.5%

 

Brenntag AG

    2,349       139,535  
   

 

 

 

TRANSPORTATION INFRASTRUCTURE — 0.5%

 

Fraport AG Frankfurt Airport Services Worldwide

    530       52,211  
   

 

 

 

Security Description

 

Shares

   

Value

 

WIRELESS TELECOMMUNICATION SERVICES — 0.1%

 

1&1 Drillisch AG

    209     $ 14,073  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $9,085,708)

      9,485,798  
   

 

 

 

SHORT-TERM INVESTMENT — 0.1%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (c) (d)
(Cost $4,859)

    4,859       4,859  
   

 

 

 

TOTAL INVESTMENTS — 99.1%
(Cost $9,090,567)

 

            9,490,657  
   

 

 

 

OTHER ASSETS IN EXCESS OF LIABILITIES — 0.9%

      89,284  
   

 

 

 

NET ASSETS — 100.0%

    $ 9,579,941  
   

 

 

 

 

(a) Non-income producing security.
(b) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 3.5% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(c) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(d) The rate shown is the annualized seven-day yield at March 31, 2018.
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Aerospace & Defense

    $ 169,758     $     $     $ 169,758

Air Freight & Logistics

      340,344                   340,344

Airlines

      62,529                   62,529

Auto Components

      305,671                   305,671

Automobiles

      912,153                   912,153

Banks

      65,045                   65,045

Capital Markets

      163,426                   163,426

Chemicals

      1,162,670                   1,162,670

Construction & Engineering

      22,761                   22,761

Construction Materials

      63,776                   63,776

Diversified Telecommunication Services

      302,778                   302,778

Electrical Equipment

      110,317                   110,317

Food & Staples Retailing

      18,406                   18,406

 

See accompanying notes to financial statements.

 

77


Table of Contents

SPDR MSCI GERMANY STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Health Care Providers & Services

    $ 293,730     $     $     $ 293,730

Household Products

      343,843                   343,843

Independent Power Producers & Energy Traders

      99,444                   99,444

Industrial Conglomerates

      435,287                   435,287

Insurance

      1,091,060                   1,091,060

Internet & Catalog Retail

      16,446                   16,446

Internet Software & Services

      34,628                   34,628

IT Services

      221,896                   221,896

Life Sciences Tools & Services

      42,969                   42,969

Machinery

      308,623                   308,623

Media

      368,845                   368,845

Metals & Mining

      30,986                   30,986

Multi-Utilities

      283,506                   283,506

Personal Products

      297,413                   297,413

Pharmaceuticals

      515,579                   515,579

Real Estate Management & Development

      183,073                   183,073

Semiconductors & Semiconductor Equipment

      205,901                   205,901

Software

      378,082                   378,082

Textiles, Apparel & Luxury Goods

      429,034                   429,034

Trading Companies & Distributors

      139,535                   139,535

Transportation Infrastructure

      52,211                   52,211

Wireless Telecommunication Services

      14,073                   14,073

Short-Term Investment

      4,859                   4,859
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 9,490,657     $     $     $ 9,490,657
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      1,300     $ 1,300     $ 62,580     $ 59,021     $     $       4,859     $ 4,859     $ 29     $

 

See accompanying notes to financial statements.

 

78


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.0%

   

AIR FREIGHT & LOGISTICS — 0.1%

 

Yamato Holdings Co., Ltd. (a)

    900     $ 22,582  
   

 

 

 

AIRLINES — 1.2%

   

ANA Holdings, Inc.

    2,500       96,803  

Japan Airlines Co., Ltd.

    4,700       189,237  
   

 

 

 
      286,040  
   

 

 

 

AUTO COMPONENTS — 3.4%

   

Aisin Seiki Co., Ltd.

    900       48,914  

Bridgestone Corp.

    10,700       465,226  

Denso Corp.

    1,200       65,670  

Koito Manufacturing Co., Ltd. (a)

    1,900       131,847  

NGK Spark Plug Co., Ltd.

    300       7,230  

NOK Corp.

    300       5,828  

Stanley Electric Co., Ltd.

    200       7,391  

Sumitomo Electric Industries, Ltd.

    2,800       42,744  

Sumitomo Rubber Industries, Ltd.

    900       16,519  

Toyoda Gosei Co., Ltd.

    200       4,652  

Toyota Industries Corp.

    400       24,222  

Yokohama Rubber Co., Ltd.

    300       6,948  
   

 

 

 
      827,191  
   

 

 

 

AUTOMOBILES — 7.6%

   

Honda Motor Co., Ltd.

    7,400       254,669  

Isuzu Motors, Ltd.

    1,400       21,484  

Mazda Motor Corp. (a)

    2,700       35,708  

Mitsubishi Motors Corp. (a)

    1,800       12,880  

Nissan Motor Co., Ltd. (a)

    17,900       185,817  

Subaru Corp.

    11,100       363,946  

Suzuki Motor Corp. (a)

    5,400       290,945  

Toyota Motor Corp.

    9,900       635,331  

Yamaha Motor Co., Ltd.

    600       17,941  
   

 

 

 
              1,818,721  
   

 

 

 

BANKS — 6.7%

   

Aozora Bank, Ltd.

    1,900       75,661  

Bank of Kyoto, Ltd.

    200       11,171  

Chiba Bank, Ltd.

    4,000       32,158  

Concordia Financial Group, Ltd.

    7,500       41,396  

Fukuoka Financial Group, Inc.

    3,000       16,164  

Hachijuni Bank Ltd.

    2,000       10,719  

Japan Post Bank Co., Ltd. (a)

    7,800       104,733  

Kyushu Financial Group, Inc.

    2,800       13,849  

Mebuki Financial Group, Inc.

    6,200       23,844  

Mitsubishi UFJ Financial Group, Inc.

    56,400       369,636  

Mizuho Financial Group, Inc. (a)

    168,800       303,792  

Resona Holdings, Inc.

    17,400       91,949  

Seven Bank, Ltd. (a)

    800       2,550  

Shinsei Bank, Ltd.

    800       12,307  

Shizuoka Bank, Ltd.

    2,000       18,919  

Sumitomo Mitsui Financial Group, Inc.

    7,900       331,154  

Sumitomo Mitsui Trust Holdings, Inc.

    1,500       60,747  

Suruga Bank, Ltd.

    3,300       45,582  

Security Description

 

Shares

   

Value

 

Yamaguchi Financial Group, Inc. (a)

    4,000     $ 48,444  
   

 

 

 
      1,614,775  
   

 

 

 

BEVERAGES — 1.6%

   

Asahi Group Holdings, Ltd.

    2,100       111,901  

Coca-Cola Bottlers Japan Holdings, Inc.

    700       28,928  

Kirin Holdings Co., Ltd.

    5,400       143,822  

Suntory Beverage & Food, Ltd.

    1,800       87,504  
   

 

 

 
      372,155  
   

 

 

 

BUILDING PRODUCTS — 0.5%

   

Asahi Glass Co., Ltd.

    600       24,852  

Daikin Industries, Ltd.

    500       55,172  

LIXIL Group Corp.

    800       17,873  

TOTO, Ltd.

    200       10,550  
   

 

 

 
      108,447  
   

 

 

 

CAPITAL MARKETS — 1.0%

   

Daiwa Securities Group, Inc.

    4,000       25,527  

Japan Exchange Group, Inc.

    7,500       138,928  

Nomura Holdings, Inc.

    10,000       57,856  

SBI Holdings, Inc. (a)

    600       13,727  
   

 

 

 
              236,038  
   

 

 

 

CHEMICALS — 3.0%

   

Air Water, Inc.

    300       5,856  

Asahi Kasei Corp.

    4,700       61,827  

Daicel Corp.

    600       6,556  

Hitachi Chemical Co., Ltd.

    1,500       34,203  

JSR Corp.

    400       9,000  

Kaneka Corp.

    1,000       9,920  

Kansai Paint Co., Ltd.

    200       4,660  

Kuraray Co., Ltd.

    1,800       30,601  

Mitsubishi Chemical Holdings Corp.

    4,600       44,573  

Mitsubishi Gas Chemical Co., Inc.

    400       9,587  

Mitsui Chemicals, Inc.

    400       12,619  

Nippon Paint Holdings Co., Ltd.

    200       7,344  

Nissan Chemical Industries, Ltd.

    2,100       87,278  

Nitto Denko Corp.

    200       15,003  

Shin-Etsu Chemical Co., Ltd.

    1,300       134,523  

Sumitomo Chemical Co., Ltd.

    4,000       23,319  

Taiyo Nippon Sanso Corp.

    200       3,030  

Teijin, Ltd.

    500       9,408  

Toray Industries, Inc.

    11,500       108,836  

Tosoh Corp.

    4,700       92,276  
   

 

 

 
      710,419  
   

 

 

 

COMMERCIAL SERVICES & SUPPLIES — 1.2%

 

Dai Nippon Printing Co., Ltd.

    1,600       33,068  

Park24 Co., Ltd. (a)

    3,600       96,542  

Secom Co., Ltd.

    1,500       111,707  

Sohgo Security Services Co., Ltd.

    100       4,946  

Toppan Printing Co., Ltd.

    6,000       49,252  
   

 

 

 
      295,515  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

79


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

CONSTRUCTION & ENGINEERING — 2.5%

 

JGC Corp.

    500     $ 10,879  

Kajima Corp.

    9,000       83,526  

Obayashi Corp.

    14,100       154,324  

Shimizu Corp.

    12,500       111,777  

Taisei Corp.

    4,600       233,569  
   

 

 

 
      594,075  
   

 

 

 

CONSTRUCTION MATERIALS — 0.0% (b)

 

Taiheiyo Cement Corp.

    300       10,903  
   

 

 

 

CONSUMER FINANCE — 0.0% (b)

   

Acom Co., Ltd. (a) (c)

    300       1,337  

AEON Financial Service Co., Ltd.

    200       4,598  

Credit Saison Co., Ltd.

    300       4,928  
   

 

 

 
              10,863  
   

 

 

 

CONTAINERS & PACKAGING — 0.0% (b)

 

Toyo Seikan Group Holdings, Ltd. (a)

    500       7,438  
   

 

 

 

DIVERSIFIED CONSUMER SERVICES — 0.2%

 

Benesse Holdings, Inc.

    1,000       36,248  
   

 

 

 

DIVERSIFIED FINANCIAL SERVICES — 0.3%

 

Mitsubishi UFJ Lease & Finance Co., Ltd.

    1,600       9,388  

ORIX Corp.

    4,200       74,107  
   

 

 

 
      83,495  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 0.8%

 

Nippon Telegraph & Telephone Corp.

    4,100       188,905  
   

 

 

 

ELECTRIC UTILITIES — 1.3%

   

Chubu Electric Power Co., Inc.

    5,000       70,663  

Chugoku Electric Power Co., Inc. (a)

    2,100       25,315  

Kansai Electric Power Co., Inc.

    3,900       50,130  

Kyushu Electric Power Co., Inc.

    2,200       26,230  

Tohoku Electric Power Co., Inc. (a)

    4,200       56,118  

Tokyo Electric Power Co. Holdings, Inc. (c)

    23,700       91,368  
   

 

 

 
      319,824  
   

 

 

 

ELECTRICAL EQUIPMENT — 0.6%

 

Fuji Electric Co., Ltd.

    1,000       6,808  

Mitsubishi Electric Corp.

    4,100       65,596  

Nidec Corp.

    400       61,645  
   

 

 

 
      134,049  
   

 

 

 

Security Description

 

Shares

   

Value

 

ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 3.8%

 

Alps Electric Co., Ltd. (a)

    300     $ 7,357  

Hamamatsu Photonics KK

    100       3,780  

Hirose Electric Co., Ltd.

    105       14,434  

Hitachi High-Technologies Corp.

    100       4,758  

Hitachi, Ltd.

    15,000       108,716  

Keyence Corp.

    900       558,872  

Kyocera Corp.

    1,500       84,683  

Murata Manufacturing Co., Ltd.

    300       41,100  

Nippon Electric Glass Co., Ltd.

    200       5,943  

Omron Corp. (a)

    300       17,659  

Shimadzu Corp.

    700       19,693  

TDK Corp.

    300       27,052  

Yaskawa Electric Corp.

    100       4,537  

Yokogawa Electric Corp.

    300       6,200  
   

 

 

 
      904,784  
   

 

 

 

FOOD & STAPLES RETAILING — 2.2%

 

Aeon Co., Ltd. (a)

    4,200       75,015  

FamilyMart UNY Holdings Co., Ltd.

    800       67,400  

Lawson, Inc. (a)

    1,500       102,257  

Seven & i Holdings Co., Ltd.

    2,900       124,453  

Sundrug Co., Ltd. (a)

    1,300       60,080  

Tsuruha Holdings, Inc.

    700       99,850  
   

 

 

 
              529,055  
   

 

 

 

FOOD PRODUCTS — 1.6%

   

Ajinomoto Co., Inc.

    2,900       52,492  

Calbee, Inc. (a)

    1,300       43,028  

Kikkoman Corp.

    100       4,024  

MEIJI Holdings Co., Ltd.

    800       60,931  

NH Foods, Ltd.

    1,500       61,495  

Nisshin Seifun Group, Inc.

    1,100       21,814  

Nissin Foods Holdings Co., Ltd.

    800       55,515  

Toyo Suisan Kaisha, Ltd.

    1,500       58,180  

Yakult Honsha Co., Ltd.

    100       7,400  

Yamazaki Baking Co., Ltd.

    1,100       22,838  
   

 

 

 
      387,717  
   

 

 

 

GAS UTILITIES — 0.8%

   

Osaka Gas Co., Ltd. (a)

    4,900       96,733  

Toho Gas Co., Ltd.

    400       12,299  

Tokyo Gas Co., Ltd.

    2,800       74,285  
   

 

 

 
      183,317  
   

 

 

 

HEALTH CARE EQUIPMENT & SUPPLIES — 2.9%

 

Hoya Corp.

    7,200       359,154  

Olympus Corp.

    300       11,396  

Sysmex Corp.

    2,600       235,675  

Terumo Corp.

    1,800       94,612  
   

 

 

 
      700,837  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES — 0.3%

 

Alfresa Holdings Corp. (a)

    1,200       26,719  
 

 

See accompanying notes to financial statements.

 

80


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Medipal Holdings Corp.

    1,000     $ 20,498  

Suzuken Co., Ltd.

    800       33,061  
   

 

 

 
      80,278  
   

 

 

 

HEALTH CARE TECHNOLOGY — 0.7%

 

M3, Inc. (a)

    3,900       175,289  
   

 

 

 

HOTELS, RESTAURANTS & LEISURE — 2.3%

 

McDonald’s Holdings Co. Japan, Ltd.

    2,700       126,432  

Oriental Land Co., Ltd.

    4,200       429,083  
   

 

 

 
              555,515  
   

 

 

 

HOUSEHOLD DURABLES — 2.0%

   

Casio Computer Co., Ltd. (a)

    300       4,474  

Iida Group Holdings Co., Ltd.

    500       9,347  

Nikon Corp.

    2,000       35,656  

Panasonic Corp.

    5,500       78,660  

Rinnai Corp.

    300       28,491  

Sekisui Chemical Co., Ltd.

    7,300       127,398  

Sekisui House, Ltd.

    3,800       69,390  

Sharp Corp. (c)

    100       2,990  

Sony Corp.

    2,500       120,968  
   

 

 

 
      477,374  
   

 

 

 

HOUSEHOLD PRODUCTS — 0.7%

   

Lion Corp.

    600       12,090  

Unicharm Corp.

    5,900       168,041  
   

 

 

 
      180,131  
   

 

 

 

INDEPENDENT POWER PRODUCERS & ENERGY TRADERS — 0.1%

 

Electric Power Development Co., Ltd.

    600       15,131  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 0.2%

 

Keihan Holdings Co., Ltd.

    100       3,084  

Seibu Holdings, Inc.

    400       6,966  

Toshiba Corp. (c)

    11,000       31,857  
   

 

 

 
      41,907  
   

 

 

 

INSURANCE — 2.2%

 

Dai-ichi Life Holdings, Inc.

    4,100       74,887  

Japan Post Holdings Co., Ltd.

    14,200       171,041  

MS&AD Insurance Group Holdings, Inc.

    2,600       82,022  

Sompo Holdings, Inc.

    1,500       60,395  

Sony Financial Holdings, Inc. (a)

    400       7,281  

T&D Holdings, Inc.

    1,900       30,166  

Tokio Marine Holdings, Inc.

    2,500       111,307  
   

 

 

 
      537,099  
   

 

 

 

INTERNET & CATALOG RETAIL — 0.4%

 

Rakuten, Inc.

    2,000       16,909  

Security Description

 

Shares

   

Value

 

Start Today Co., Ltd.

    3,000     $ 80,169  
   

 

 

 
      97,078  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 0.7%

 

DeNA Co., Ltd. (a)

    200       3,611  

Kakaku.com, Inc.

    2,600       45,521  

Yahoo! Japan Corp. (a)

    26,700       124,023  
   

 

 

 
              173,155  
   

 

 

 

IT SERVICES — 1.5%

   

Fujitsu, Ltd.

    7,000       43,099  

Nomura Research Institute, Ltd.

    600       28,434  

NTT Data Corp.

    6,000       63,865  

Obic Co., Ltd.

    900       74,894  

Otsuka Corp.

    2,800       141,119  
   

 

 

 
      351,411  
   

 

 

 

LEISURE EQUIPMENT & PRODUCTS — 0.6%

 

Bandai Namco Holdings, Inc.

    1,200       39,436  

Sankyo Co., Ltd.

    1,500       52,891  

Sega Sammy Holdings, Inc.

    300       4,753  

Shimano, Inc.

    200       28,848  

Yamaha Corp.

    400       17,584  
   

 

 

 
      143,512  
   

 

 

 

MACHINERY — 2.6%

   

Amada Holdings Co., Ltd.

    300       3,645  

FANUC Corp.

    500       126,751  

Hino Motors, Ltd.

    800       10,298  

Hitachi Construction Machinery Co., Ltd. (a)

    200       7,720  

Hoshizaki Corp.

    1,000       87,823  

IHI Corp.

    400       12,431  

JTEKT Corp.

    600       8,891  

Kawasaki Heavy Industries, Ltd.

    400       12,938  

Komatsu, Ltd.

    2,700       90,051  

Kubota Corp.

    1,800       31,515  

Kurita Water Industries, Ltd.

    400       12,694  

Makita Corp.

    1,300       63,564  

MINEBEA MITSUMI, Inc.

    700       14,954  

Mitsubishi Heavy Industries, Ltd. (a)

    1,200       45,969  

Nabtesco Corp.

    1,600       61,758  

NGK Insulators, Ltd.

    500       8,622  

NSK, Ltd.

    900       12,068  

Sumitomo Heavy Industries, Ltd.

    200       7,588  

THK Co., Ltd.

    200       8,275  
   

 

 

 
      627,555  
   

 

 

 

MARINE — 0.1%

   

Mitsui OSK Lines, Ltd.

    400       11,509  

Nippon Yusen KK

    700       14,138  
   

 

 

 
      25,647  
   

 

 

 

MEDIA — 0.2%

   

Dentsu, Inc.

    500       21,956  

Hakuhodo DY Holdings, Inc.

    1,000       13,757  
 

 

See accompanying notes to financial statements.

 

81


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Toho Co., Ltd.

    600     $ 19,915  
   

 

 

 
      55,628  
   

 

 

 

METALS & MINING — 0.7%

   

Hitachi Metals, Ltd.

    600       7,097  

JFE Holdings, Inc.

    2,000       40,310  

Kobe Steel, Ltd. (c)

    1,900       19,045  

Maruichi Steel Tube, Ltd.

    100       3,061  

Mitsubishi Materials Corp.

    600       18,054  

Nippon Steel & Sumitomo Metal Corp.

    3,000       65,910  

Sumitomo Metal Mining Co., Ltd.

    300       12,637  
   

 

 

 
      166,114  
   

 

 

 

MULTILINE RETAIL — 1.0%

   

Don Quijote Holdings Co., Ltd.

    300       17,235  

Isetan Mitsukoshi Holdings, Ltd.

    1,200       13,247  

J Front Retailing Co., Ltd.

    600       10,206  

Marui Group Co., Ltd. (a)

    400       8,154  

Ryohin Keikaku Co., Ltd.

    500       167,842  

Takashimaya Co., Ltd.

    2,000       19,201  
   

 

 

 
              235,885  
   

 

 

 

OIL, GAS & CONSUMABLE FUELS — 0.7%

 

Idemitsu Kosan Co., Ltd.

    600       22,821  

Inpex Corp.

    2,100       25,986  

JXTG Holdings, Inc.

    19,700       119,237  

Showa Shell Sekiyu KK

    700       9,485  
   

 

 

 
      177,529  
   

 

 

 

PAPER & FOREST PRODUCTS — 0.1%

 

Oji Holdings Corp.

    3,000       19,295  
   

 

 

 

PERSONAL PRODUCTS — 2.9%

   

Kao Corp.

    7,800       585,348  

Kose Corp. (a)

    400       83,761  

Shiseido Co., Ltd.

    300       19,219  
   

 

 

 
      688,328  
   

 

 

 

PHARMACEUTICALS — 6.8%

   

Astellas Pharma, Inc.

    38,900       590,358  

Chugai Pharmaceutical Co., Ltd.

    900       45,529  

Daiichi Sankyo Co., Ltd.

    3,900       129,303  

Eisai Co., Ltd.

    800       51,009  

Hisamitsu Pharmaceutical Co., Inc.

    300       23,244  

Kyowa Hakko Kirin Co., Ltd.

    900       19,777  

Mitsubishi Tanabe Pharma Corp.

    5,000       97,790  

Ono Pharmaceutical Co., Ltd.

    400       12,389  

Otsuka Holdings Co., Ltd.

    2,500       125,270  

Santen Pharmaceutical Co., Ltd.

    1,600       25,802  

Shionogi & Co., Ltd. (a)

    5,400       278,810  

Sumitomo Dainippon Pharma Co., Ltd. (a)

    1,800       30,229  

Taisho Pharmaceutical Holdings Co., Ltd. (a)

    600       59,013  

Takeda Pharmaceutical Co., Ltd.

    2,800       136,459  
   

 

 

 
      1,624,982  
   

 

 

 

Security Description

 

Shares

   

Value

 

PROFESSIONAL SERVICES — 2.0%

   

Recruit Holdings Co., Ltd.

    18,900     $ 469,968  

Temp Holdings Co., Ltd.

    100       2,910  
   

 

 

 
      472,878  
   

 

 

 

REAL ESTATE INVESTMENT TRUSTS (REITS) — 2.8%

 

Daiwa House REIT Investment Corp.

    30       71,820  

Japan Prime Realty Investment Corp. REIT

    14       49,892  

Japan Real Estate Investment Corp. REIT

    19       98,439  

Japan Retail Fund Investment Corp. REIT

    44       84,483  

Nippon Building Fund, Inc. REIT

    19       105,049  

Nippon Prologis REIT, Inc.

    54       116,276  

Nomura Real Estate Master Fund, Inc.

    49       67,637  

United Urban Investment Corp. REIT

    49       76,852  
   

 

 

 
              670,448  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 3.0%

 

Aeon Mall Co., Ltd.

    200       4,194  

Daito Trust Construction Co., Ltd.

    1,700       293,963  

Daiwa House Industry Co., Ltd.

    8,700       335,402  

Hulic Co., Ltd.

    300       3,275  

Mitsubishi Estate Co., Ltd.

    1,400       23,676  

Mitsui Fudosan Co., Ltd.

    1,400       33,983  

Nomura Real Estate Holdings, Inc.

    300       7,086  

Tokyo Tatemono Co., Ltd.

    300       4,522  

Tokyu Fudosan Holdings Corp.

    1,400       10,202  
   

 

 

 
      716,303  
   

 

 

 

ROAD & RAIL — 4.1%

   

Central Japan Railway Co.

    900       170,353  

East Japan Railway Co.

    1,700       157,644  

Hankyu Hanshin Holdings, Inc.

    2,400       89,027  

Keikyu Corp. (a)

    2,200       38,270  

Keio Corp.

    600       25,642  

Keisei Electric Railway Co., Ltd.

    600       18,448  

Kintetsu Group Holdings Co., Ltd.

    1,200       46,770  

Kyushu Railway Co. (a)

    2,700       84,034  

Nagoya Railroad Co., Ltd.

    3,300       83,656  

Nippon Express Co., Ltd.

    400       26,779  

Odakyu Electric Railway Co., Ltd.

    1,000       20,244  

Tobu Railway Co., Ltd.

    2,400       72,327  

Tokyu Corp.

    2,900       45,211  

West Japan Railway Co.

    1,500       104,810  
   

 

 

 
      983,215  
   

 

 

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 0.8%

 

Disco Corp.

    500       107,899  

Renesas Electronics Corp. (c)

    400       4,024  

Rohm Co., Ltd.

    100       9,525  
 

 

See accompanying notes to financial statements.

 

82


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Security Description

 

Shares

   

Value

 

SUMCO Corp.

    100     $ 2,623  

Tokyo Electron, Ltd.

    300       56,460  
   

 

 

 
      180,531  
   

 

 

 

SOFTWARE — 1.2%

   

Konami Holdings Corp.

    700       36,794  

LINE Corp. (c)

    200       7,917  

Nexon Co., Ltd. (c)

    200       3,310  

Oracle Corp. Japan

    1,400       113,869  

Trend Micro, Inc.

    2,100       125,388  
   

 

 

 
      287,278  
   

 

 

 

SPECIALTY RETAIL — 2.9%

   

ABC-Mart, Inc.

    1,400       92,280  

Hikari Tsushin, Inc.

    600       95,966  

Nitori Holdings Co., Ltd.

    1,600       282,915  

Shimamura Co., Ltd.

    400       50,061  

USS Co., Ltd.

    4,600       92,995  

Yamada Denki Co., Ltd. (a)

    13,700       82,187  
   

 

 

 
      696,404  
   

 

 

 

TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 1.6%

   

Brother Industries, Ltd.

    500       11,627  

Canon, Inc.

    4,900       177,524  

FUJIFILM Holdings Corp.

    2,500       99,788  

Konica Minolta, Inc. (a)

    1,600       13,721  

NEC Corp.

    1,200       33,749  

Ricoh Co., Ltd. (a)

    3,200       31,624  

Seiko Epson Corp.

    700       12,447  
   

 

 

 
      380,480  
   

 

 

 

TEXTILES,APPAREL & LUXURY GOODS — 0.0% (b)

   

Asics Corp. (a)

    300       5,554  
   

 

 

 

TOBACCO — 1.9%

 

Japan Tobacco, Inc.

    16,000       461,269  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 3.1%

   

ITOCHU Corp. (a)

    6,400       124,359  

Marubeni Corp.

    11,400       82,528  

MISUMI Group, Inc. (a)

    3,700       101,624  

Mitsubishi Corp.

    5,100       137,247  

Mitsui & Co., Ltd.

    9,500       162,800  

Sumitomo Corp.

    6,100       102,728  

Toyota Tsusho Corp.

    1,000       33,897  
   

 

 

 
              745,183  
   

 

 

 

Security Description

 

Shares

   

Value

 

TRANSPORTATION INFRASTRUCTURE — 0.1%

   

Kamigumi Co., Ltd.

    1,400     $ 31,278  
   

 

 

 

WIRELESS TELECOMMUNICATION SERVICES — 5.4%

   

KDDI Corp.

    21,900       559,392  

NTT DOCOMO, Inc.

    22,200       567,055  

SoftBank Group Corp.

    2,200       164,457  
   

 

 

 
      1,290,904  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $23,067,384)

              23,753,961  
   

 

 

 

SHORT-TERM INVESTMENTS — 10.7%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    11,984       11,984  

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    2,568,084       2,568,084  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,580,068)

      2,580,068  
   

 

 

 

TOTAL INVESTMENTS — 109.7%
(Cost $25,647,452)

      26,334,029  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (9.7)%

      (2,332,790
   

 

 

 

NET ASSETS — 100.0%

    $ 24,001,239  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Amount is less than 0.05% of net assets.
(c) Non-income producing security.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

REIT = Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Air Freight & Logistics

    $   22,582     $     $     $   22,582

 

See accompanying notes to financial statements.

 

83


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Airlines

    $ 286,040     $ —       $ —       $ 286,040

Auto Components

      827,191       —         —         827,191

Automobiles

      1,818,721       —         —         1,818,721

Banks

      1,614,775       —         —         1,614,775

Beverages

      372,155       —         —         372,155

Building Products

      108,447       —         —         108,447

Capital Markets

      236,038       —         —         236,038

Chemicals

      710,419       —         —         710,419

Commercial Services & Supplies

      295,515       —         —         295,515

Construction & Engineering

      594,075       —         —         594,075

Construction Materials

      10,903       —         —         10,903

Consumer Finance

      10,863       —         —         10,863

Containers & Packaging

      7,438       —         —         7,438

Diversified Consumer Services

      36,248       —         —         36,248

Diversified Financial Services

      83,495       —         —         83,495

Diversified Telecommunication Services

      188,905       —         —         188,905

Electric Utilities

      319,824       —         —         319,824

Electrical Equipment

      134,049       —         —         134,049

Electronic Equipment, Instruments & Components

      904,784       —         —         904,784

Food & Staples Retailing

      529,055       —         —         529,055

Food Products

      387,717       —         —         387,717

Gas Utilities

      183,317       —         —         183,317

Health Care Equipment & Supplies

      700,837       —         —         700,837

Health Care Providers & Services

      80,278       —         —         80,278

Health Care Technology

      175,289       —         —         175,289

Hotels, Restaurants & Leisure

      555,515       —         —         555,515

Household Durables

      477,374       —         —         477,374

Household Products

      180,131       —         —         180,131

Independent Power Producers & Energy Traders

      15,131       —         —         15,131

Industrial Conglomerates

      41,907       —         —         41,907

Insurance

      537,099       —         —         537,099

Internet & Catalog Retail

      97,078       —         —         97,078

Internet Software & Services

      173,155       —         —         173,155

IT Services

      351,411       —         —         351,411

Leisure Equipment & Products

      143,512       —         —         143,512

Machinery

      627,555       —         —         627,555

Marine

      25,647       —         —         25,647

Media

      55,628       —         —         55,628

Metals & Mining

      166,114       —         —         166,114

Multiline Retail

      235,885       —         —         235,885

Oil, Gas & Consumable Fuels

      177,529       —         —         177,529

Paper & Forest Products

      19,295       —         —         19,295

Personal Products

      688,328       —         —         688,328

Pharmaceuticals

      1,624,982       —         —         1,624,982

Professional Services

      472,878       —         —         472,878

Real Estate Investment Trusts (REITs)

      670,448       —         —         670,448

Real Estate Management & Development

      716,303       —         —         716,303

Road & Rail

      983,215       —         —         983,215

Semiconductors & Semiconductor Equipment

      180,531       —         —         180,531

Software

      287,278       —         —         287,278

Specialty Retail

      696,404       —         —         696,404

Technology Hardware, Storage & Peripherals

      380,480       —         —         380,480

Textiles, Apparel & Luxury Goods

      5,554       —         —         5,554

Tobacco

      461,269       —         —         461,269

 

See accompanying notes to financial statements.

 

84


Table of Contents

SPDR MSCI JAPAN STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Trading Companies & Distributors

    $ 745,183     $     $     $ 745,183

Transportation Infrastructure

      31,278                   31,278

Wireless Telecommunication Services

      1,290,904                   1,290,904

Short-Term Investments

      2,580,068                   2,580,068
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 26,334,029     $     $     $ 26,334,029
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      131     $ 131     $ 449,523     $ 437,670     $     $       11,984     $ 11,984     $ 114     $

State Street Navigator Securities Lending Government Money Market Portfolio

                  2,964,810       396,726                   2,568,084       2,568,084       617      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 131     $ 3,414,333     $ 834,396     $     $         $ 2,580,068     $ 731     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

85


Table of Contents

SPDR MSCI UNITED KINGDOM STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AEROSPACE & DEFENSE — 2.8%

   

BAE Systems PLC

    46,789     $ 381,605  

Cobham PLC (a)

    14,191       24,466  

Meggitt PLC

    5,457       33,055  

Rolls-Royce Holdings PLC (a)

    5,889       72,004  
   

 

 

 
      511,130  
   

 

 

 

AIR FREIGHT & LOGISTICS — 0.7%

   

Royal Mail PLC

    17,489       132,678  
   

 

 

 

AIRLINES — 0.2%

   

easyJet PLC

    1,877       42,247  
   

 

 

 

AUTO COMPONENTS — 0.8%

   

GKN PLC

    21,770       141,395  
   

 

 

 

BANKS — 8.5%

   

Barclays PLC

    105,620       305,958  

HSBC Holdings PLC

    88,790       828,786  

Lloyds Banking Group PLC

    263,336       238,859  

Royal Bank of Scotland Group PLC (a)

    15,528       56,374  

Standard Chartered PLC

    13,635       136,320  
   

 

 

 
      1,566,297  
   

 

 

 

BEVERAGES — 5.6%

   

Coca-Cola HBC AG (a)

    2,584       95,478  

Diageo PLC

    28,009       947,700  
   

 

 

 
      1,043,178  
   

 

 

 

BIOTECHNOLOGY — 0.7%

   

Shire PLC

    2,555       127,972  
   

 

 

 

CAPITAL MARKETS — 3.4%

   

3i Group PLC

    18,376       221,432  

Hargreaves Lansdown PLC

    3,795       86,935  

Investec PLC

    2,286       17,624  

London Stock Exchange Group PLC

    4,115       238,174  

Schroders PLC

    1,259       56,375  
   

 

 

 
      620,540  
   

 

 

 

CHEMICALS — 1.2%

   

Croda International PLC

    2,284       146,359  

Johnson Matthey PLC

    1,967       83,938  
   

 

 

 
      230,297  
   

 

 

 

COMMERCIAL SERVICES & SUPPLIES — 0.2%

   

Babcock International Group PLC

    2,948       27,658  

G4S PLC

    4,107       14,294  
   

 

 

 
      41,952  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 1.9%

   

BT Group PLC

    109,711       350,128  
   

 

 

 

ELECTRIC UTILITIES — 1.0%

   

SSE PLC

    10,310       184,546  
   

 

 

 

Security Description

 

Shares

   

Value

 

ENERGY EQUIPMENT &
SERVICES — 0.0% (b)

   

John Wood Group PLC

    1,085     $ 8,219  
   

 

 

 

FOOD & STAPLES RETAILING —1.4%

   

J Sainsbury PLC

    14,604       48,922  

Tesco PLC

    47,388       136,874  

Wm Morrison Supermarkets PLC

    22,960       68,764  
   

 

 

 
      254,560  
   

 

 

 

FOOD PRODUCTS — 0.9%

   

Associated British Foods PLC

    4,913       171,679  
   

 

 

 

HEALTH CARE EQUIPMENT & SUPPLIES — 1.7%

   

ConvaTec Group PLC (c)

    9,167       25,603  

Smith & Nephew PLC

    15,537       290,096  
   

 

 

 
      315,699  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES —0.1%

   

Mediclinic International PLC (d)

    1,514       12,764  
   

 

 

 

HOTELS, RESTAURANTS & LEISURE — 4.4%

   

Carnival PLC

    1,626       104,468  

Compass Group PLC

    22,738       464,259  

GVC Holdings PLC

    700       9,024  

InterContinental Hotels Group PLC

    138       8,262  

Merlin Entertainments PLC (c)

    5,631       27,379  

TUI AG

    4,145       88,847  

Whitbread PLC

    1,997       103,651  
   

 

 

 
      805,890  
   

 

 

 

HOUSEHOLD DURABLES — 2.1%

   

Barratt Developments PLC

    9,769       72,686  

Berkeley Group Holdings PLC

    1,715       91,156  

Persimmon PLC

    3,803       134,972  

Taylor Wimpey PLC

    35,260       91,308  
   

 

 

 
      390,122  
   

 

 

 

HOUSEHOLD PRODUCTS — 4.2%

   

Reckitt Benckiser Group PLC

    9,065       767,307  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 0.5%

   

DCC PLC

    317       29,172  

Smiths Group PLC

    3,329       70,679  
   

 

 

 
      99,851  
   

 

 

 

INSURANCE — 6.3%

   

Admiral Group PLC

    6,122       158,362  

Aviva PLC

    20,585       143,199  

Direct Line Insurance Group PLC

    21,568       115,365  

Legal & General Group PLC

    77,746       281,162  

Old Mutual PLC

    12,916       43,358  

Prudential PLC

    7,496       187,016  

RSA Insurance Group PLC

    20,097       177,610  

St James’s Place PLC

    377       5,746  
 

 

See accompanying notes to financial statements.

 

86


Table of Contents

SPDR MSCI UNITED KINGDOM STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Standard Life Aberdeen PLC

    10,163     $ 51,281  
   

 

 

 
      1,163,099  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 0.1%

   

Auto Trader Group PLC (c)

    2,095       10,304  
   

 

 

 

MACHINERY — 0.3%

   

IMI PLC

    2,641       40,012  

Weir Group PLC

    346       9,680  
   

 

 

 
      49,692  
   

 

 

 

MEDIA — 2.1%

   

ITV PLC

    46,599       94,229  

Pearson PLC

    4,425       46,493  

Sky PLC

    8,069       146,867  

WPP PLC

    5,862       93,128  
   

 

 

 
      380,717  
   

 

 

 

METALS & MINING — 3.9%

   

Anglo American PLC (d)

    4,399       102,499  

Antofagasta PLC

    582       7,519  

BHP Billiton PLC

    4,931       97,090  

Fresnillo PLC

    1,628       28,970  

Glencore PLC (a)

    42,200       209,443  

Randgold Resources, Ltd.

    1,395       115,105  

Rio Tinto PLC

    3,258       165,034  
   

 

 

 
      725,660  
   

 

 

 

MULTI-UTILITIES — 2.3%

   

Centrica PLC

    35,775       71,363  

National Grid PLC

    30,805       346,657  
   

 

 

 
      418,020  
   

 

 

 

MULTILINE RETAIL — 1.2%

   

Marks & Spencer Group PLC

    23,010       87,216  

Next PLC

    2,094       139,794  
   

 

 

 
      227,010  
   

 

 

 

OIL, GAS & CONSUMABLE FUELS — 9.5%

   

BP PLC

    97,614       656,251  

Royal Dutch Shell PLC Class A

    22,768       713,357  

Royal Dutch Shell PLC Class B

    12,032       384,323  
   

 

 

 
      1,753,931  
   

 

 

 

PAPER & FOREST PRODUCTS — 0.6%

   

Mondi PLC

    4,301       115,540  
   

 

 

 

PERSONAL PRODUCTS — 4.4%

   

Unilever PLC

    14,547       807,180  
   

 

 

 

PHARMACEUTICALS — 11.0%

   

AstraZeneca PLC

    14,049       964,802  

GlaxoSmithKline PLC

    54,945       1,074,451  
   

 

 

 
      2,039,253  
   

 

 

 

PROFESSIONAL SERVICES — 3.5%

   

Capita PLC

    2,388       4,826  

Experian PLC

    5,097       109,932  

Intertek Group PLC

    2,046       133,748  

Security Description

 

Shares

   

Value

 

RELX PLC

    19,236     $ 395,319  
   

 

 

 
      643,825  
   

 

 

 

REAL ESTATE INVESTMENT TRUSTS (REITS) — 1.2%

   

British Land Co. PLC REIT

    2,950       26,568  

Hammerson PLC REIT (d)

    4,969       37,404  

Land Securities Group PLC REIT

    5,766       75,798  

Segro PLC REIT

    10,381       87,549  
   

 

 

 
      227,319  
   

 

 

 

SOFTWARE — 0.8%

   

Micro Focus International PLC

    945       13,082  

Sage Group PLC

    15,247       136,715  
   

 

 

 
      149,797  
   

 

 

 

SPECIALTY RETAIL — 0.8%

   

Kingfisher PLC

    35,964       147,567  
   

 

 

 

TEXTILES, APPAREL & LUXURY GOODS — 0.6%

   

Burberry Group PLC

    4,306       102,446  
   

 

 

 

TOBACCO — 3.3%

   

British American Tobacco PLC

    6,776       392,667  

Imperial Brands PLC

    6,342       215,830  
   

 

 

 
      608,497  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 2.1%

   

Ashtead Group PLC

    740       20,139  

Bunzl PLC

    5,133       150,852  

Ferguson PLC

    2,396       179,954  

Travis Perkins PLC

    2,654       45,942  
   

 

 

 
      396,887  
   

 

 

 

WATER UTILITIES — 0.8%

   

Severn Trent PLC

    3,126       80,862  

United Utilities Group PLC

    6,674       66,978  
   

 

 

 
      147,840  
   

 

 

 

WIRELESS TELECOMMUNICATION SERVICES — 2.3%

   

Vodafone Group PLC

    158,329       431,370  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $18,532,459)

      18,364,405  
   

 

 

 

SHORT-TERM INVESTMENTS — 0.8%

 

 

State Street Institutional
U.S. Government Money Market Fund, Class G Shares 1.62% (e) (f)

    1,693       1,693  
 

 

See accompanying notes to financial statements.

 

87


Table of Contents

SPDR MSCI UNITED KINGDOM STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (e) (g)

    142,395     $ 142,395  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $144,088)

      144,088  
   

 

 

 

TOTAL INVESTMENTS — 100.2%
(Cost $18,676,547)

      18,508,493  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (0.2)%

      (43,538
   

 

 

 

NET ASSETS — 100.0%

    $ 18,464,955  
   

 

 

 

 

(a) Non-income producing security.
(b) Amount shown represents less than 0.05% of net assets.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.3% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) All or a portion of the shares of the security are on loan at March 31, 2018.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

REIT =Real Estate Investment Trust

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Aerospace & Defense

  $ 511,130     $     $     $ 511,130  

Air Freight & Logistics

    132,678                   132,678  

Airlines

    42,247                   42,247  

Auto Components

    141,395                   141,395  

Banks

    1,566,297                   1,566,297  

Beverages

    1,043,178                   1,043,178  

Biotechnology

    127,972                   127,972  

Capital Markets

    620,540                   620,540  

Chemicals

    230,297                   230,297  

Commercial Services & Supplies

    41,952                   41,952  

Diversified Telecommunication Services

    350,128                   350,128  

Electric Utilities

    184,546                   184,546  

Energy Equipment & Services

    8,219                   8,219  

Food & Staples Retailing

    254,560                   254,560  

Food Products

    171,679                   171,679  

Health Care Equipment & Supplies

    315,699                   315,699  

Health Care Providers & Services

    12,764                   12,764  

Hotels, Restaurants & Leisure

    805,890                   805,890  

Household Durables

    390,122                   390,122  

Household Products

    767,307                   767,307  

Industrial Conglomerates

    99,851                   99,851  

 

See accompanying notes to financial statements.

 

88


Table of Contents

SPDR MSCI UNITED KINGDOM STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

Insurance

  $ 1,163,099     $     $     $ 1,163,099  

Internet Software & Services

    10,304                   10,304  

Machinery

    49,692                   49,692  

Media

    380,717                   380,717  

Metals & Mining

    725,660                   725,660  

Multi-Utilities

    418,020                   418,020  

Multiline Retail

    227,010                   227,010  

Oil, Gas & Consumable Fuels

    1,753,931                   1,753,931  

Paper & Forest Products

    115,540                   115,540  

Personal Products

    807,180                   807,180  

Pharmaceuticals

    2,039,253                   2,039,253  

Professional Services

    643,825                   643,825  

Real Estate Investment Trusts (REITs)

    227,319                   227,319  

Software

    149,797                   149,797  

Specialty Retail

    147,567                   147,567  

Textiles, Apparel & Luxury Goods

    102,446                   102,446  

Tobacco

    608,497                   608,497  

Trading Companies & Distributors

    396,887                   396,887  

Water Utilities

    147,840                   147,840  

Wireless Telecommunication Services

    431,370                   431,370  

Short-Term Investments

    144,088                   144,088  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 18,508,493     $     $     $ 18,508,493  
 

 

 

   

 

 

   

 

 

   

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from
Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Number of
Shares Held
at
3/31/18
    Value at
3/31/18
    Dividend
Income
    Capital
Gains
Distributions
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

    1,793     $ 1,793     $ 96,943     $ 97,043     $     $       1,693     $ 1,693     $ 9     $  

State Street Navigator Securities Lending Government Money Market Portfolio

                458,983       316,588                   142,395       142,395       61        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

Total

    $ 1,793     $ 555,926     $ 413,631     $     $       $ 144,088     $ 70     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

 

See accompanying notes to financial statements.

 

89


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS - 99.6%

   

ARGENTINA – 0.1%

   

Other Security

    50     $ 17,820  
   

 

 

 

AUSTRALIA – 1.3%

   

Other Securities

    34,224               395,510  
   

 

 

 

AUSTRIA – 0.1%

   

Other Securities

    348       18,573  
   

 

 

 

BELGIUM – 0.3%

   

Other Securities

    1,613       87,712  
   

 

 

 

BERMUDA – 0.1%

   

Other Security

    240       33,242  
   

 

 

 

CANADA – 3.0%

   

Other Securities

    23,642       899,625  
   

 

 

 

CHILE – 0.0% (a)

   

Other Security

    148       1,912  
   

 

 

 

DENMARK – 1.2%

   

Novo Nordisk A/S Class B

    2,886       141,660  

Other Securities

    3,821       223,163  
   

 

 

 
      364,823  
   

 

 

 

FINLAND – 0.3%

   

Other Securities

    3,473       91,519  
   

 

 

 

FRANCE – 2.3%

   

Other Securities

    12,143       694,052  
   

 

 

 

GERMANY – 2.5%

   

Other Securities

    16,243       744,961  
   

 

 

 

HONG KONG – 1.9%

   

Other Securities

    103,722       570,787  
   

 

 

 

IRELAND – 0.4%

   

Other Securities

    2,100       106,917  
   

 

 

 

ISRAEL – 0.4%

   

Other Securities

    13,855       122,176  
   

 

 

 

ITALY – 0.7%

   

Other Securities

    33,948       199,866  
   

 

 

 

JAPAN – 10.2%

   

Other Securities

    143,978       3,020,452  
   

 

 

 

LUXEMBOURG – 0.1%

   

Other Securities

    779       27,510  
   

 

 

 

MEXICO – 0.0% (a)

   

Other Security

    16       285  
   

 

 

 

NETHERLANDS – 1.0%

   

Other Securities

    9,534       292,846  
   

 

 

 

NEW ZEALAND – 0.1%

   

Other Securities

    6,315       34,449  
   

 

 

 

NORWAY – 0.1%

   

Other Securities

    2,056       37,453  
   

 

 

 

PORTUGAL – 0.0% (a)

   

Other Securities

    1,432       13,180  
   

 

 

 

SINGAPORE – 0.7%

   

Other Securities

    63,612       212,968  
   

 

 

 

Security Description

 

Shares

   

Value

 

SOUTH AFRICA – 0.1%

   

Other Securities

    670     $ 13,785  
   

 

 

 

SPAIN – 0.9%

   

Other Securities

    22,839       260,280  
   

 

 

 

SWEDEN – 0.8%

   

Other Securities

    10,828       231,120  
   

 

 

 

SWITZERLAND – 4.5%

   

Nestle SA

    1,762       139,142  

Roche Holding AG

    1,200       274,561  

Other Securities

    17,056       905,333  
   

 

 

 
      1,319,036  
   

 

 

 

UNITED KINGDOM – 6.1%

   

AstraZeneca PLC

    1,731       118,875  

Unilever NV

    1,889       106,565  

Other Securities

    167,096       1,584,002  
   

 

 

 
            1,809,442  
   

 

 

 

UNITED STATES – 60.4%

   

3M Co.

    861       189,007  

Accenture PLC Class A

    1,228       188,498  

Alphabet, Inc. Class A (b)

    283       293,511  

Alphabet, Inc. Class C (b)

    299       308,505  

Altria Group, Inc.

    3,770       234,946  

Amgen, Inc.

    873       148,829  

Apple, Inc.

    3,872       649,644  

AT&T, Inc.

    4,025       143,491  

Automatic Data Processing, Inc.

    1,019       115,636  

Bank of America Corp.

    3,854       115,581  

Becton Dickinson and Co.

    565       122,436  

Berkshire Hathaway, Inc. Class B (b)

    841       167,763  

Booking Holdings, Inc. (b)

    52       108,180  

Bristol-Myers Squibb Co.

    2,134       134,976  

Coca-Cola Co.

    2,549       110,703  

Consolidated Edison, Inc.

    1,504       117,222  

Costco Wholesale Corp.

    633       119,276  

Exxon Mobil Corp.

    2,369       176,751  

Gilead Sciences, Inc.

    1,767       133,214  

Honeywell International, Inc.

    809       116,909  

Intel Corp.

    5,746       299,252  

International Business Machines Corp.

    1,367       209,739  

Intuitive Surgical, Inc. (b)

    311       128,390  

Johnson & Johnson

    4,251       544,766  

JPMorgan Chase & Co.

    1,345       147,910  

Lockheed Martin Corp.

    366       123,682  

Mastercard, Inc. Class A

    1,333       233,488  

McDonald’s Corp.

    853       133,392  

Microsoft Corp.

    6,845       624,743  

NIKE, Inc. Class B

    1,767       117,400  

Northrop Grumman Corp.

    672       234,609  

NVIDIA Corp.

    764       176,935  

PepsiCo, Inc.

    1,106       120,720  

Procter & Gamble Co.

    3,916       310,461  

Raytheon Co.

    772       166,613  

Starbucks Corp.

    2,572       148,893  

State Street Corp. (c)

    144       14,361  

Texas Instruments, Inc.

    1,477       153,446  

TJX Cos., Inc.

    1,779       145,095  
 

 

See accompanying notes to financial statements.

 

90


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Union Pacific Corp.

    909     $ 122,197  

UnitedHealth Group, Inc.

    563       120,482  

Verizon Communications, Inc.

    3,255       155,654  

Visa, Inc. Class A

    2,620       313,404  

Walmart, Inc.

    2,600       231,322  

Walt Disney Co.

    1,917       192,544  

Waste Management, Inc.

    1,308       110,029  

Other Securities

    130,840       8,947,533  
   

 

 

 
      17,922,138  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $27,347,281)

      29,544,439  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.3%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    14,591       14,591  

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    376,622       376,622  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $391,213)

 

    391,213  
   

 

 

 

TOTAL INVESTMENTS — 100.9% (Cost $27,738,494)

      29,935,652  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (0.9)%

 

    (259,700
   

 

 

 

NET ASSETS — 100.0%

    $         29,675,952  
   

 

 

 

The Summary Schedule of Investments does not reflect the complete portfolio holdings. It includes the Fund’s 50 largest holdings and each investment of any issuer that exceeds 1% of the Fund’s net assets. “Other Securities” represent all issues not required to be disclosed under the rules adopted by the U.S. Securities and Exchange Commission (“SEC”). In certain instances, securities for which footnotes listed above may otherwise apply are included in the Other Securities caption. The complete schedule of portfolio holdings is available on the Fund’s website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

 

(a) Amount shown represents less than 0.05% of net assets.
(b) Non-income producing security.
(c) The Fund invested in an affiliated entity, State Street Corp. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Argentina

      $       17,820       $—       $—       $         17,820

Australia

      395,510                   395,510

Austria

      18,573                   18,573

Belgium

      87,712                   87,712

Bermuda

      33,242                   33,242

Canada

      899,625                   899,625

Chile

      1,912                   1,912

Denmark

      364,823                   364,823

Finland

      91,519                   91,519

France

      694,052                   694,052

Germany

      744,961                   744,961

Hong Kong

      570,787                   570,787

Ireland

      106,917                   106,917

Israel

      122,176                   122,176

Italy

      199,866                   199,866

Japan

      3,020,452                   3,020,452

Luxembourg

      27,510                   27,510

 

See accompanying notes to financial statements.

 

91


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SUMMARY SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Mexico

    $ 285     $     $     $   285

Netherlands

      292,846                   292,846

New Zealand

      34,449                   34,449

Norway

      37,453                   37,453

Portugal

      13,180                   13,180

Singapore

      212,968                   212,968

South Africa

      13,785                   13,785

Spain

      260,280                   260,280

Sweden

      231,120                   231,120

Switzerland

      1,319,036                   1,319,036

United Kingdom

      1,809,442                   1,809,442

United States

      17,922,138                   17,922,138

Short-Term Investments

      391,213                   391,213
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 29,935,652     $     $     $ 29,935,652
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at

3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Corp.

      108     $ 10,318     $ 3,650     $       $—       $393       367,874,930     $ 14,361       $   106       $—

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      4,411,701       4,411,701       565,543       4,962,653                   14,591       14,591       252      

State Street Navigator Securities Lending Government Money Market Portfolio

      24,983       24,983       1,427,994       1,076,355                   376,622       376,622       792      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 4,447,002     $ 1,997,187       $6,039,008       $—       $393           $405,574       $1,150       $—
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

92


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.9%

   

CHINA — 46.4%

   

21Vianet Group, Inc. ADR (a)

    10,272     $ 71,185  

500.com, Ltd. Class A, ADR (a)

    1,872       32,124  

51job, Inc. (a)

    3,059       263,196  

58.com, Inc. ADR (a)

    4,678       373,585  

AAC Technologies Holdings, Inc.

    89,000       1,605,749  

Agile Group Holdings, Ltd.

    605,598       1,251,583  

Agricultural Bank of China, Ltd. Class H

    3,064,000       1,741,197  

Air China, Ltd. Class H

    439,414       559,884  

Alibaba Group Holding, Ltd. ADR (a) (b)

    150,363       27,597,625  

Aluminum Corp. of China, Ltd. Class H (a) (b)

    784,304       434,708  

Angang Steel Co., Ltd. Class H (b)

    451,244       431,218  

Anhui Conch Cement Co., Ltd. Class H

    267,250       1,455,721  

Anhui Expressway Co., Ltd. Class H

    32,000       24,464  

ANTA Sports Products, Ltd.

    123,000       620,618  

Autohome, Inc. ADR

    5,519       474,303  

AVIC International Holding HK, Ltd. (a) (b)

    974,621       40,980  

AviChina Industry & Technology Co., Ltd. Class H

    500,000       352,306  

BAIC Motor Corp., Ltd. Class H (c)

    226,000       277,018  

Baidu, Inc. ADR (a)

    37,394       8,345,967  

Bank of China, Ltd. Class H

    10,328,466       5,553,576  

Bank of Communications Co., Ltd. Class H

    2,819,630       2,209,488  

BBMG Corp. Class H

    275,000       124,040  

BeiGene, Ltd. ADR (a)

    4,200       705,600  

Beijing Capital International Airport Co., Ltd. Class H

    120,000       161,156  

Beijing Capital Land, Ltd. Class H

    132,000       80,394  

Beijing Enterprises Clean Energy Group, Ltd. (a)

    2,230,400       72,468  

Beijing Enterprises Holdings, Ltd.

    86,000       449,269  

Beijing Enterprises Water Group, Ltd.

    502,000       280,158  

Bitauto Holdings, Ltd. ADR (a) (b)

    2,867       60,637  

Boyaa Interactive International, Ltd. (a)

    106,200       41,136  

Brilliance China Automotive Holdings, Ltd.

    436,000       909,965  

Byd Co., Ltd. Class H (b)

    103,800       809,419  

BYD Electronic International Co., Ltd.

    124,500       233,508  

C.banner International Holdings, Ltd. (a)

    204,000       66,802  

CAR, Inc. (a)

    201,043       180,850  

CGN Power Co., Ltd. Class H (c)

    1,446,000       374,015  

China Aerospace International Holdings, Ltd.

    348,000       37,690  

China Agri-Industries Holdings, Ltd.

    301,000       132,315  

Security Description

 

Shares

   

Value

 

China Animal Healthcare, Ltd. (a) (b) (d)

    305,700     $  

China Biologic Products Holdings, Inc. (a)

    2,151       174,231  

China Chengtong Development Group, Ltd. (a) (b)

    394,074       19,080  

China Cinda Asset Management Co., Ltd. Class H

    1,230,600       446,875  

China CITIC Bank Corp., Ltd. Class H

    1,492,341       1,019,195  

China Coal Energy Co., Ltd. Class H

    735,000       294,064  

China Communications Construction Co., Ltd. Class H

    662,000       679,857  

China Conch Venture Holdings, Ltd.

    165,600       505,348  

China Construction Bank Corp. Class H

    12,196,148       12,525,127  

China Dongxiang Group Co., Ltd.

    539,000       94,088  

China Eastern Airlines Corp., Ltd. Class H

    210,000       152,517  

China Everbright International, Ltd.

    317,000       444,300  

China Everbright, Ltd.

    130,000       272,314  

China Evergrande Group (a)

    616,000       1,938,662  

China Fangda Group Co., Ltd. Class B

    122,150       77,041  

China Fire Safety Enterprise Group, Ltd. (a)

    464,227       21,294  

China Galaxy Securities Co., Ltd. Class H

    394,600       262,453  

China Harmony New Energy Auto Holding, Ltd. (a)

    79,000       50,631  

China Hongqiao Group, Ltd. (b)

    116,000       126,667  

China Huishan Dairy Holdings Co., Ltd. (a) (b) (d)

    549,000        

China Huiyuan Juice Group, Ltd. (a)

    157,000       40,409  

China International Marine Containers Group Co., Ltd. Class H

    94,000       146,600  

China Lesso Group Holdings, Ltd.

    153,000       116,383  

China Life Insurance Co., Ltd. Class H

    1,057,708       2,911,012  

China Lilang, Ltd.

    93,000       116,127  

China Lodging Group, Ltd. ADR

    4,432       583,739  

China Longyuan Power Group Corp., Ltd. Class H

    541,000       414,971  

China Machinery Engineering Corp. Class H

    96,000       50,885  

China Medical System Holdings, Ltd.

    181,000       410,971  

China Mengniu Dairy Co., Ltd.

    439,780       1,507,343  

China Merchants Bank Co., Ltd. Class H

    700,760       2,870,613  

China Merchants Port Holdings Co., Ltd.

    423,606       933,754  

China Minsheng Banking Corp., Ltd. Class H

    977,600       950,408  
 

 

See accompanying notes to financial statements.

 

93


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Mobile, Ltd.

    788,136     $     7,225,308  

China Molybdenum Co., Ltd. Class H

    456,000       343,962  

China National Building Material Co., Ltd. Class H

    448,000       486,342  

China Nuclear Energy Technology Corp., Ltd. (a)

    114,000       20,336  

China Oilfield Services, Ltd. Class H

    316,557       326,306  

China Overseas Land & Investment, Ltd.

    773,084       2,684,217  

China Overseas Property Holdings, Ltd.

    277,361       86,584  

China Pacific Insurance Group Co., Ltd. Class H

    327,400       1,466,319  

China Petroleum & Chemical Corp. Class H

    3,561,726       3,126,829  

China Power International Development, Ltd.

    303,000       77,986  

China Railway Construction Corp., Ltd. Class H

    273,000       273,407  

China Railway Group, Ltd. Class H

    689,000       477,576  

China Resources Beer Holdings Co., Ltd.

    353,357       1,530,795  

China Resources Gas Group, Ltd.

    98,000       340,265  

China Resources Land, Ltd.

    478,767       1,741,625  

China Resources Phoenix Healthcare Holdings Co., Ltd. (b)

    80,000       96,530  

China Resources Power Holdings Co., Ltd.

    352,437       643,056  

China Shengmu Organic Milk, Ltd. (a) (b) (c)

    381,000       51,944  

China Shenhua Energy Co., Ltd. Class H

    534,540       1,328,126  

China Silver Group, Ltd.

    98,000       21,477  

China Singyes Solar Technologies Holdings, Ltd. (b)

    81,600       29,840  

China South City Holdings, Ltd.

    440,000       99,232  

China Southern Airlines Co., Ltd. Class H

    256,000       264,210  

China State Construction International
Holdings, Ltd.

    276,750       337,814  

China Taiping Insurance Holdings Co., Ltd.

    134,541       444,853  

China Telecom Corp., Ltd. Class H

    2,461,320       1,085,097  

China Travel International Investment Hong Kong, Ltd.

    292,000       103,431  

China Unicom Hong Kong, Ltd. (a)

    846,172       1,067,378  

China Vanke Co., Ltd. Class H

    154,500       704,751  

China Yurun Food Group, Ltd. (a)

    220,659       29,521  

Chinasoft International, Ltd. (a) (b)

    216,000       193,754  

Chlitina Holding, Ltd.

    47,000       315,139  

Chong Sing Holdings FinTech Gr (a) (b)

    2,416,000       317,073  

Security Description

 

Shares

   

Value

 

Chongqing Changan Automobile Co., Ltd. Class B

    97,600     $ 97,621  

Chongqing Rural Commercial Bank Co., Ltd. Class H

    222,000       170,001  

CITIC Resources Holdings, Ltd.

    386,000       43,281  

CITIC Securities Co., Ltd. Class H

    234,500       536,628  

CITIC Telecom International Holdings, Ltd.

    221,000       63,921  

CITIC, Ltd.

    665,000       930,354  

CNOOC, Ltd.

    2,159,249       3,180,424  

Cogobuy Group (c)

    78,000       39,555  

Colour Life Services Group Co., Ltd.

    97,000       91,089  

Consun Pharmaceutical Group, Ltd.

    194,400       206,332  

Coolpad Group, Ltd. (a) (d)

    437,400       20,063  

COSCO SHIPPING Development Co., Ltd. Class H (a)

    1,373,339       255,479  

COSCO SHIPPING Energy Transportation Co., Ltd. Class H

    649,215       334,191  

COSCO SHIPPING Holdings Co., Ltd. Class H (a)

    28,500       14,126  

COSCO SHIPPING Ports, Ltd.

    37,562       31,588  

Cosmo Lady China Holdings Co., Ltd. (c)

    108,000       58,484  

Country Garden Holdings Co., Ltd.

    808,333       1,664,394  

CRRC Corp., Ltd. Class H

    557,000       474,795  

CSG Holding Co., Ltd. Class B

    130,000       74,538  

CSMall Group, Ltd. (a)

    1,567       469  

CSPC Pharmaceutical Group, Ltd.

    310,000       823,554  

CT Environmental Group, Ltd. (b)

    438,000       78,690  

Ctrip.com International, Ltd. ADR (a)

    41,333       1,926,944  

Datang International Power Generation Co., Ltd. Class H (a)

    410,000       122,765  

Dazhong Transportation Group Co., Ltd. Class B

    108,050       66,343  

Dongfang Electric Corp., Ltd. Class H (a)

    15,200       11,833  

Dongfeng Motor Group Co., Ltd. Class H

    532,468       618,068  

Fang Holdings, Ltd. ADR (a)

    29,113       149,641  

Fanhua, Inc. ADR

    9,359       252,880  

Far East Horizon, Ltd.

    170,000       179,784  

FIH Mobile, Ltd.

    352,000       76,246  

First Tractor Co., Ltd. Class H (b)

    82,000       30,509  

Fufeng Group, Ltd.

    125,000       74,061  

Future Land Holdings Co., Ltd. Class A

    139,621       776,251  

Geely Automobile Holdings, Ltd.

    653,000       1,880,382  

GF Securities Co., Ltd. Class H

    120,600       221,583  

Golden Eagle Retail Group, Ltd.

    102,000       116,838  

GOME Retail Holdings, Ltd. (b)

    1,731,322       187,509  

Goodbaby International Holdings, Ltd.

    279,000       190,543  
 

 

See accompanying notes to financial statements.

 

94


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Great Wall Motor Co., Ltd. Class H (b)

    395,500     $ 396,594  

Greentown China Holdings, Ltd. (b)

    114,000       154,260  

Guangdong Investment, Ltd.

    388,000       610,058  

Guangshen Railway Co., Ltd. Class H

    80,500       47,592  

Guangzhou Automobile Group Co., Ltd. Class H

    502,032       924,962  

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class H

    100,000       308,347  

Guangzhou R&F Properties Co., Ltd. Class H

    429,776           1,072,209  

Guotai Junan International Holdings, Ltd.

    310,000       89,268  

Haitian International Holdings, Ltd.

    79,000       239,568  

Haitong Securities Co., Ltd. Class H

    370,800       490,412  

Health and Happiness H&H International Holdings, Ltd. (a)

    27,000       205,554  

Hengan International Group Co., Ltd.

    96,500       893,894  

HNA Holding Group Co., Ltd. (a)

    493,400       21,060  

Huadian Fuxin Energy Corp., Ltd. Class H

    254,000       65,051  

Huadian Power International Corp., Ltd. Class H

    254,000       97,738  

Huaneng Power International, Inc. Class H

    666,472       447,525  

Huaneng Renewables Corp., Ltd. Class H

    440,000       164,265  

Huatai Securities Co., Ltd. Class H (c)

    81,000       155,843  

Huishang Bank Corp., Ltd. Class H

    735,000       361,492  

Industrial & Commercial Bank of China, Ltd. Class H

    10,704,138       9,178,911  

Inner Mongolia Yitai Coal Co., Ltd. Class B

    218,681       291,939  

JD.com, Inc. ADR (a)

    110,521       4,474,995  

Jiangsu Expressway Co., Ltd. Class H

    404,299       571,808  

Jiangxi Copper Co., Ltd. Class H

    297,578       424,662  

JinkoSolar Holding Co., Ltd. ADR (a) (b)

    3,590       65,518  

Joy City Property, Ltd.

    504,000       80,914  

Jumei International Holding, Ltd. ADR (a) (b)

    2,761       8,007  

Kama Co., Ltd. Class B (a)

    120,649       94,709  

Kangda International Environmental Co., Ltd. (c)

    255,000       47,762  

Kingdee International Software
Group Co., Ltd. (a) (b)

    264,000       265,739  

Kingsoft Corp., Ltd.

    113,000       358,511  

Konka Group Co., Ltd. Class B (a)

    382,000       159,647  

Kunlun Energy Co., Ltd.

    456,000       393,349  

KWG Property Holding, Ltd.

    190,951       260,334  

Security Description

 

Shares

   

Value

 

Lao Feng Xiang Co., Ltd. Class B

    64,179     $ 232,649  

Launch Tech Co., Ltd. Class H

    28,000       31,039  

Lenovo Group, Ltd. (b)

    1,131,703       578,231  

Leyou Technologies Holdings, Ltd. (a)

    255,800       53,453  

Li Ning Co., Ltd. (a)

    328,874       336,907  

Lifetech Scientific Corp. (a)

    302,000       87,734  

Livzon Pharmaceutical Group, Inc. Class H

    27,227       219,251  

Luoyang Glass Co., Ltd. Class H (a) (b)

    70,153       34,324  

Luthai Textile Co., Ltd. Class B

    50,400       55,420  

Luye Pharma Group, Ltd.

    228,000       218,172  

Maanshan Iron & Steel Co., Ltd. Class H (a)

    800,971       342,910  

Metallurgical Corp. of China, Ltd. Class H

    484,000       138,139  

Minth Group, Ltd.

    98,000       446,402  

Nanjing Panda Electronics Co., Ltd. Class H

    29,000       14,965  

National Agricultural Holdings,
Ltd. (a) (b) (d)

    112,000       8,491  

NetEase, Inc. ADR

    11,730       3,288,975  

New China Life Insurance Co., Ltd. Class H

    87,000       405,164  

New Oriental Education & Technology Group, Inc. ADR

    15,801       1,384,958  

Noah Holdings, Ltd. ADS (a)

    2,803       132,330  

Ourgame International Holdings, Ltd. (a)

    49,000       12,924  

People’s Insurance Co. Group of China, Ltd. Class H

    614,000       287,117  

PetroChina Co., Ltd. Class H

    2,819,208       1,936,156  

PICC Property & Casualty Co., Ltd. Class H

    620,289       1,085,938  

Ping An Insurance Group Co. of China, Ltd. Class H

    672,228           6,835,085  

Poly Culture Group Corp., Ltd. Class H

    36,200       64,206  

Poly Property Group Co., Ltd. (a)

    314,000       154,433  

Renhe Commercial Holdings Co., Ltd. (a) (b)

    2,324,000       45,306  

Semiconductor Manufacturing International Corp. (a) (b)

    650,883       850,893  

Shandong Airlines Co., Ltd. Class B

    24,300       45,731  

Shandong Chenming Paper Holdings, Ltd. Class H

    55,900       94,445  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

    248,000       165,264  

Shang Gong Group Co., Ltd. Class B (a)

    164,200       146,302  

Shanghai Baosight Software Co., Ltd. Class B

    38,500       69,262  

Shanghai Dasheng Agricultural Finance Technology Co., Ltd. Class H

    363,000       9,944  

Shanghai Electric Group Co., Ltd.
Class H (a) (b)

    508,418       176,203  
 

 

See accompanying notes to financial statements.

 

95


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SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

    42,000     $ 257,941  

Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co., Ltd. Class H

    215,000       102,729  

Shanghai Haixin Group Co. Class B

    96,000       59,136  

Shanghai Highly Group Co., Ltd. Class B

    155,300       137,285  

Shanghai Industrial Holdings, Ltd.

    53,000       138,100  

Shanghai Jinjiang International Industrial Investment Co., Ltd. Class B

    14,100       17,075  

Shanghai Jinjiang International Travel Co., Ltd. Class B

    30,074       77,591  

Shanghai Jinqiao Export Processing Zone Development Co., Ltd. Class B

    42,400       54,781  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B

    167,953       239,501  

Shanghai Mechanical and Electrical Industry Co., Ltd. Class B

    54,684       113,415  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

    77,400       207,102  

Shanghai Prime Machinery Co., Ltd. Class H

    678,000       122,671  

Shanghai Waigaoqiao Free Trade Zone Group Co., Ltd. Class B

    10,800       14,785  

Shanghai Zhenhua Heavy Industries Co., Ltd. Class B

    116,500       60,114  

Shengjing Bank Co., Ltd. Class H (c)

    21,000       15,680  

Shenzhen Expressway Co., Ltd. Class H

    29,000       29,524  

Shenzhen Investment, Ltd.

    366,888       155,669  

Shenzhou International Group Holdings, Ltd.

    59,000       621,326  

Shunfeng International Clean Energy, Ltd. (a)

    254,700       9,736  

SINA Corp. (a)

    11,238           1,171,786  

Sino-Ocean Group Holding, Ltd.

    938,211       680,201  

Sinopec Oilfield Service Corp. Class H (a) (b)

    214,000       32,175  

Sinopec Shanghai Petrochemical Co., Ltd. Class H

    676,878       411,389  

Sinopharm Group Co., Ltd. Class H

    132,800       664,990  

Sinotrans, Ltd. Class H

    268,000       147,176  

SITC International Holdings Co., Ltd.

    220,000       218,646  

Sohu.com, Inc. (a)

    4,496       139,016  

Sun King Power Electronics Group

    175,300       34,398  

Sunac China Holdings, Ltd.

    316,000       1,219,984  

Sunny Optical Technology Group Co., Ltd.

    126,000       2,326,287  

TAL Education Group ADR

    42,002       1,557,854  

Security Description

 

Shares

   

Value

 

TCL Multimedia Technology Holdings, Ltd.

    153,000     $ 71,350  

Tencent Holdings, Ltd.

    729,670       38,081,219  

Tian Ge Interactive Holdings, Ltd. (c)

    95,000       80,011  

Tianjin ZhongXin Pharmaceutical Group Corp., Ltd.

    38,345       35,277  

Tianneng Power International, Ltd.

    108,000       127,839  

Tingyi Cayman Islands Holding Corp.

    440,383       913,502  

Tong Ren Tang Technologies Co., Ltd. Class H

    155,000       258,323  

TravelSky Technology, Ltd. Class H

    110,000       318,859  

Tsingtao Brewery Co., Ltd. Class H

    98,000       511,958  

Uni-President China Holdings, Ltd.

    219,000       189,469  

Vipshop Holdings, Ltd. ADR (a)

    41,337       687,021  

Want Want China Holdings, Ltd.

    1,216,000       974,560  

Weibo Corp. ADR

    2,227       266,216  

Weichai Power Co., Ltd. Class H

    59,000       66,154  

West China Cement, Ltd. (a)

    446,000       84,673  

Wisdom Sports Group

    172,000       17,313  

Xiamen International Port Co., Ltd. Class H

    158,000       28,788  

Xinjiang Goldwind Science & Technology Co., Ltd. Class H (b)

    38,659       61,966  

Xinyi Solar Holdings, Ltd.

    301,200       121,657  

Yangzijiang Shipbuilding Holdings, Ltd.

    310,900       286,882  

Yantai Changyu Pioneer Wine Co., Ltd. Class B

    30,553       78,248  

Yanzhou Coal Mining Co., Ltd. Class H

    438,882       559,206  

Yestar Healthcare Holdings Co., Ltd. (b)

    435,000       151,313  

Yum China Holdings, Inc.

    32,093       1,331,860  

YY, Inc. ADR (a)

    3,964       417,013  

Zhejiang Expressway Co., Ltd. Class H

    254,000       259,233  

Zhengzhou Coal Mining Machinery Group Co., Ltd. Class H

    62,600       33,740  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    89,100       431,406  

Zijin Mining Group Co., Ltd. Class H

    1,126,685       503,888  

ZTE Corp. Class H (a) (b)

    108,440       353,024  
   

 

 

 
            233,756,967  
   

 

 

 

HONG KONG — 2.0%

   

Alibaba Pictures Group, Ltd. (a) (b)

    1,370,107       178,065  

Beijing Enterprises Medical & Health Group, Ltd. (a) (b)

    476,500       21,857  

Carnival Group International Holdings, Ltd. (a)

    1,250,000       57,337  

China All Access Holdings, Ltd.

    204,000       64,982  
 

 

See accompanying notes to financial statements.

 

96


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SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Beidahuang Industry Group Holdings, Ltd. Class A (a)

    477,600     $ 24,342  

China Fiber Optic Network System
Group, Ltd. (a) (d)

    686,800        

China Financial International Investments, Ltd. (a)

    600,000       20,641  

China Gas Holdings, Ltd.

    339,600           1,235,373  

China High Speed Transmission Equipment Group Co., Ltd.

    8,000       12,579  

China Jicheng Holdings, Ltd. (a) (b) (c)

    115,575       1,075  

China Minsheng Drawin Technology
Group, Ltd. (a)

    701,658       18,238  

China NT Pharma Group Co., Ltd.

    112,500       26,948  

China Soft Power Technology
Holdings, Ltd. (a) (b)

    266,000       4,135  

Citychamp Watch & Jewellery Group, Ltd.

    510,000       109,170  

Comba Telecom Systems Holdings, Ltd. (b)

    393,847       52,692  

CP Pokphand Co., Ltd.

    950,000       73,838  

Dawnrays Pharmaceutical Holdings, Ltd.

    131,000       71,773  

Digital China Holdings, Ltd. (a) (b)

    160,000       87,866  

EVA Precision Industrial Holdings, Ltd.

    458,000       70,028  

Fullshare Holdings, Ltd. (a) (b)

    726,100       402,448  

GCL-Poly Energy Holdings, Ltd. (a)

    1,022,000       126,313  

Haier Electronics Group Co., Ltd.

    156,000       555,560  

Hanergy Thin Film Power Group, Ltd. (a) (b) (d)

    5,962,000        

Hi Sun Technology China, Ltd. (a)

    324,000       57,383  

Hua Han Health Industry Holdings, Ltd. (a) (b) (d)

    890,400       45,097  

Huabao International Holdings, Ltd.

    18,000       11,926  

Imperial Pacific International Holdings, Ltd. (a) (b)

    8,176,300       102,096  

Kingboard Chemical Holdings, Ltd.

    136,200       622,144  

Lee & Man Paper Manufacturing, Ltd.

    250,000       264,070  

Munsun Capital Group, Ltd. (a)

    550,200       2,804  

NetDragon Websoft Holdings, Ltd. (b)

    62,500       152,103  

New Provenance Everlasting Holdings, Ltd. (a) (b)

    1,225,231       25,134  

Nine Dragons Paper Holdings, Ltd.

    204,000       305,157  

North Mining Shares Co., Ltd. (a) (b)

    2,830,000       49,400  

Qianhai Health Holdings, Ltd. (a)

    906,374       9,123  

Shimao Property Holdings, Ltd.

    181,500       513,398  

Sino Biopharmaceutical, Ltd.

    711,000       1,395,130  

Skyworth Digital Holdings, Ltd.

    290,243       130,545  

SSY Group, Ltd.

    574,691       504,520  

Sun Art Retail Group, Ltd.

    259,000       301,297  

Security Description

 

Shares

   

Value

 

Tech Pro Technology Development, Ltd. (a) (e)

    1,684,800     $ 14,598  

Tibet Water Resources, Ltd. (a)

    381,000       150,977  

United Laboratories International Holdings, Ltd. (a) (b)

    124,000       128,451  

Victory City International Holdings, Ltd. (a)

    969,915       14,212  

Vinda International Holdings, Ltd.

    48,000       84,523  

Vision Values Holdings, Ltd. (a)

    510,000       37,690  

Wasion Group Holdings, Ltd. (b)

    86,000       43,831  

WH Group, Ltd. (c)

    1,019,500       1,085,970  

Xinyi Glass Holdings, Ltd.

    370,000       557,242  
   

 

 

 
            9,824,081  
   

 

 

 

INDIA — 17.5%

   

Adani Ports & Special Economic Zone, Ltd.

    123,233       669,054  

Adani Power, Ltd. (a)

    83,834       30,463  

AIA Engineering, Ltd.

    10,250       226,525  

Ajanta Pharma, Ltd.

    3,873       82,562  

Alembic Pharmaceuticals, Ltd.

    11,431       96,106  

Apollo Hospitals Enterprise, Ltd.

    34,174       557,841  

Apollo Tyres, Ltd.

    58,160       247,053  

Arvind, Ltd.

    32,913       193,249  

Asian Paints, Ltd.

    32,663       561,096  

AstraZeneca Pharma India, Ltd. (a)

    10,557       150,136  

Aurobindo Pharma, Ltd.

    41,816       357,658  

Axis Bank, Ltd.

    176,983       1,385,272  

Bajaj Auto, Ltd.

    7,369       310,107  

Bajaj Finance, Ltd.

    17,910       485,373  

Bharat Electronics, Ltd.

    120,727       261,828  

Bharat Financial Inclusion, Ltd. (a)

    31,402       528,095  

Bharat Forge, Ltd.

    33,191       356,048  

Bharat Heavy Electricals, Ltd.

    282,553       352,424  

Bharat Petroleum Corp., Ltd.

    54,535       357,412  

Bharti Airtel, Ltd.

    222,641       1,361,004  

Bharti Infratel, Ltd.

    58,795       303,027  

Biocon, Ltd.

    83,865       763,663  

Bosch, Ltd.

    880       243,101  

Britannia Industries, Ltd.

    2,865       218,344  

Cadila Healthcare, Ltd.

    31,070       179,998  

Central Bank of India (a)

    78,233       86,783  

CG Power and Industrial Solutions, Ltd. (a)

    92,237       109,742  

Cipla, Ltd.

    108,638       908,541  

Coal India, Ltd.

    165,569       719,173  

Dabur India, Ltd.

    41,469       208,802  

DCB Bank, Ltd.

    85,340       211,382  

Dena Bank (a)

    437,383       126,075  

Divi’s Laboratories, Ltd.

    11,170       186,710  

DLF, Ltd.

    79,933       246,644  

Dr Lal PathLabs, Ltd. (c)

    9,920       133,282  

Dr Reddy’s Laboratories, Ltd.

    12,606       402,127  

Eicher Motors, Ltd.

    1,215       528,548  

Emami, Ltd.

    6,186       101,376  

Escorts, Ltd.

    59,590       747,460  

Federal Bank, Ltd.

    90,373       123,598  
 

 

See accompanying notes to financial statements.

 

97


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Fortis Healthcare, Ltd. (a)

    52,214     $ 98,749  

GAIL India, Ltd.

    74,829       376,946  

GAIL India, Ltd. (a) (e)

    24,943       125,649  

Gateway Distriparks, Ltd.

    39,935       106,999  

Gillette India, Ltd.

    1,059       106,474  

Glenmark Pharmaceuticals, Ltd.

    22,919       184,943  

Godrej Consumer Products, Ltd.

    38,589       647,068  

Godrej Industries, Ltd.

    21,778       183,616  

Granules India, Ltd.

    70,045       110,886  

Grasim Industries, Ltd.

    17,564       283,004  

Gujarat Mineral Development Corp., Ltd.

    50,167       94,647  

Gujarat Pipavav Port, Ltd.

    42,971       95,763  

Havells India, Ltd.

    40,832       305,418  

HCL Technologies, Ltd.

    59,622       885,440  

HDFC Bank, Ltd.

    201,341           5,822,437  

Hero MotoCorp, Ltd.

    14,689       797,897  

Hindalco Industries, Ltd.

    137,471       452,218  

Hindustan Unilever, Ltd.

    135,400       2,768,030  

Hindustan Zinc, Ltd.

    183,639       846,232  

Housing Development & Infrastructure, Ltd. (a)

    75,053       44,418  

Housing Development Finance Corp., Ltd.

    225,931       6,323,963  

ICICI Bank, Ltd. ADR

    240,496       2,128,390  

ICICI Bank, Ltd.

    609       2,599  

Idea Cellular, Ltd. (a)

    241,249       280,747  

IDFC, Ltd.

    166,462       124,422  

Igarashi Motors India, Ltd.

    9,983       123,828  

Indiabulls Housing Finance, Ltd.

    72,461       1,374,579  

Indian Hotels Co., Ltd.

    389,553       772,874  

Indian Oil Corp., Ltd.

    264,382       715,864  

Indo Count Industries, Ltd.

    71,577       93,283  

IndusInd Bank, Ltd.

    28,807       793,585  

Infosys, Ltd. ADR

    290,825       5,191,226  

Ipca Laboratories, Ltd.

    17,258       173,488  

ITC, Ltd. GDR

    298,066       1,168,419  

Jain Irrigation Systems, Ltd.

    75,550       123,307  

Jaiprakash Associates, Ltd. (a)

    359,079       104,054  

Jammu & Kashmir Bank, Ltd. (a)

    107,573       99,538  

Jindal Steel & Power, Ltd. (a)

    71,301       239,522  

JSW Steel, Ltd.

    181,205       800,565  

Jubilant Foodworks, Ltd.

    5,934       211,610  

Jubilant Life Sciences, Ltd.

    11,567       148,876  

Just Dial, Ltd. (a)

    6,251       42,463  

Karnataka Bank Ltd.

    53,148       93,630  

Kaveri Seed Co., Ltd.

    13,459       99,753  

Kotak Mahindra Bank, Ltd.

    81,326       1,306,519  

KPIT Technologies, Ltd.

    60,551       201,042  

Kwality, Ltd.

    72,213       65,380  

Lakshmi Vilas Bank Ltd.

    65,093       98,306  

Larsen & Toubro, Ltd. GDR

    58,396       1,173,760  

Laurus Labs, Ltd. (c)

    12,465       96,103  

LIC Housing Finance, Ltd.

    46,038       377,217  

Lupin, Ltd.

    29,227       329,747  

Mahindra & Mahindra Financial Services, Ltd.

    45,815       325,410  

Mahindra & Mahindra, Ltd.

    139,488       1,580,267  

Security Description

 

Shares

   

Value

 

Manappuram Finance, Ltd.

    74,396     $ 124,389  

Marico, Ltd.

    63,723       318,558  

Marksans Pharma, Ltd.

    194,400       94,336  

Maruti Suzuki India, Ltd.

    3,520       478,232  

Max Financial Services, Ltd. (a)

    17,605       122,398  

Max India, Ltd. (a)

    145,133       186,251  

Mindtree, Ltd.

    15,200       179,904  

Motherson Sumi Systems, Ltd.

    74,364       354,537  

Narayana Hrudayalaya, Ltd. (a)

    37,420       160,216  

Natco Pharma, Ltd.

    10,905       126,010  

Navkar Corp., Ltd. (a) (c)

    40,924       94,621  

NCC, Ltd.

    88,421       159,362  

Nestle India, Ltd.

    2,622       329,794  

NTPC, Ltd.

    167,785       436,559  

Oil & Natural Gas Corp., Ltd.

    439,722           1,198,720  

Page Industries, Ltd.

    951       330,764  

PI Industries, Ltd.

    10,570       143,458  

Piramal Enterprises, Ltd.

    5,047       188,259  

Power Finance Corp., Ltd.

    94,265       123,790  

Power Grid Corp. of India, Ltd.

    100,395       297,467  

Rajesh Exports, Ltd.

    31,294       354,867  

Raymond, Ltd.

    8,934       122,973  

Reliance Capital, Ltd.

    41,559       269,725  

Reliance Communications, Ltd. (a)

    218,613       72,903  

Reliance Home Finance, Ltd. (a)

    37,107       33,909  

Reliance Industries, Ltd. GDR (c)

    233,488       6,327,525  

Reliance Infrastructure, Ltd.

    75,920       497,623  

Repco Home Finance, Ltd.

    11,618       100,172  

Rural Electrification Corp., Ltd.

    88,186       168,606  

Sanghvi Movers, Ltd.

    39,760       105,737  

Sequent Scientific, Ltd.

    129,901       153,658  

Shilpa Medicare, Ltd.

    14,527       103,270  

Shoppers Stop, Ltd.

    18,608       150,241  

Shree Renuka Sugars, Ltd. (a)

    471,223       110,903  

Shriram City Union Finance, Ltd.

    8,640       282,369  

Shriram Transport Finance Co., Ltd.

    20,832       459,812  

Siemens, Ltd.

    34,050       560,098  

Sintex Industries, Ltd.

    484,610       133,372  

SML ISUZU, Ltd.

    19,439       229,077  

State Bank of India

    209,821       803,939  

Steel Authority of India, Ltd. (a)

    255,648       275,161  

Strides Shasun, Ltd.

    15,659       160,655  

Sun Pharma Advanced Research Co., Ltd. (a)

    28,270       163,560  

Sun Pharmaceutical Industries, Ltd.

    142,419       1,081,107  

Suven Life Sciences, Ltd.

    36,389       93,397  

Suzlon Energy, Ltd. (a)

    554,256       90,929  

Tata Consultancy Services, Ltd.

    74,520       3,255,338  

Tata Motors, Ltd. (a)

    231,481       1,160,037  

Tata Steel, Ltd.

    42,654       373,458  

Tech Mahindra, Ltd.

    62,746       614,456  

Thyrocare Technologies, Ltd. (c)

    45,152       413,190  

Titan Co., Ltd.

    14,406       208,133  

Torrent Pharmaceuticals, Ltd.

    9,236       176,976  

Transport Corp. of India, Ltd.

    25,362       105,147  
 

 

See accompanying notes to financial statements.

 

98


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

UltraTech Cement, Ltd.

    7,656     $ 463,668  

Unichem Laboratories, Ltd.

    19,434       85,010  

United Breweries, Ltd.

    8,695       126,362  

United Spirits, Ltd. (a)

    11,171       536,038  

UPL, Ltd.

    33,194       371,654  

Vakrangee, Ltd.

    184,388       625,778  

Vedanta, Ltd.

    141,912       604,557  

V-Mart Retail, Ltd.

    3,420       99,616  

Wipro, Ltd. ADR

    209,098       1,078,946  

WNS Holdings, Ltd. ADR (a)

    10,794       489,292  

Wockhardt, Ltd. (a)

    23,266       259,158  

Yes Bank, Ltd.

    178,962       836,479  

Zee Entertainment Enterprises, Ltd.

    186,105       1,642,144  
   

 

 

 
          88,117,502  
   

 

 

 

INDONESIA — 3.4%

   

Ace Hardware Indonesia Tbk PT

    2,461,200       237,763  

Adaro Energy Tbk PT

    2,982,600       461,445  

AKR Corporindo Tbk PT

    136,700       56,348  

Astra International Tbk PT

    3,173,800       1,682,857  

Bank Central Asia Tbk PT

    2,293,696       3,881,832  

Bank Mandiri Persero Tbk PT

    2,997,610       1,671,085  

Bank Negara Indonesia Persero Tbk PT

    574,300       361,871  

Bank Rakyat Indonesia Persero Tbk PT

    9,133,980       2,388,402  

Charoen Pokphand Indonesia Tbk PT

    386,900       96,953  

Ciputra Development Tbk PT

    949,896       81,070  

Garda Tujuh Buana Tbk PT (a)

    139,100       2,708  

Garuda Indonesia Persero Tbk PT (a)

    3,613,000       77,154  

Gudang Garam Tbk PT

    103,000       542,214  

Indocement Tunggal Prakarsa Tbk PT

    293,025       340,541  

Intiland Development Tbk PT

    1,302,600       31,223  

Kalbe Farma Tbk PT

    1,043,800       113,724  

Kawasan Industri Jababeka Tbk PT

    6,852,998       130,415  

Lippo Cikarang Tbk PT (a)

    339,300       76,399  

Lippo Karawaci Tbk PT

    1,712,700       59,713  

Matahari Department Store Tbk PT

    216,200       171,955  

Matahari Putra Prima Tbk PT (a)

    470,800       13,679  

Media Nusantara Citra Tbk PT

    437,500       44,965  

Modernland Realty Tbk PT

    5,902,000       149,184  

Pakuwon Jati Tbk PT

    2,357,100       107,861  

Pembangunan Perumahan Persero Tbk PT

    804,476       152,510  

Perusahaan Gas Negara Persero Tbk

    1,860,040       310,738  

Semen Indonesia Persero Tbk PT

    573,100       430,840  

Summarecon Agung Tbk PT

    892,700       58,681  

Surya Semesta Internusa Tbk PT

    1,419,600       56,712  

Telekomunikasi Indonesia Persero Tbk PT

    8,943,870       2,338,691  

Tiga Pilar Sejahtera Food Tbk (a)

    943,400       43,855  

Security Description

 

Shares

   

Value

 

Tower Bersama Infrastructure Tbk PT

    338,300     $ 136,991  

Unilever Indonesia Tbk PT

    68,800       247,490  

United Tractors Tbk PT

    291,745       678,107  

Wijaya Karya Persero Tbk PT

    760,557       92,808  
   

 

 

 
          17,328,784  
   

 

 

 

MACAU — 0.0% (f)

   

Newtree Group Holdings, Ltd. (a)

    354,000       21,651  
   

 

 

 

MALAYSIA — 3.7%

   

7-Eleven Malaysia Holdings Bhd Class B

    253,800       98,423  

AEON Credit Service M Bhd

    68,850       218,939  

AirAsia Bhd

    248,100       254,001  

Alliance Bank Malaysia Bhd

    734,810       811,179  

Astro Malaysia Holdings Bhd

    236,000       124,467  

Axiata Group Bhd

    503,833       711,202  

Bermaz Auto Bhd (a)

    272,680       160,027  

British American Tobacco Malaysia Bhd

    14,200       96,551  

Bursa Malaysia Bhd

    246,434       698,272  

Cahya Mata Sarawak Bhd

    245,800       244,656  

Carlsberg Brewery Malaysia Bhd Class B

    201,403       982,022  

CIMB Group Holdings Bhd

    434,645       804,565  

Coastal Contracts Bhd

    101,300       30,380  

Dialog Group Bhd

    644,200       492,976  

Eastern & Oriental Bhd

    568,541       211,660  

Eco World Development Group Bhd (a)

    316,500       81,825  

Genting Bhd

    503,700       1,132,934  

Genting Malaysia Bhd

    558,200       699,915  

IJM Corp. Bhd

    1,122,980       780,976  

Inari Amertron Bhd

    434,208       314,318  

IOI Corp. Bhd

    713,996       882,343  

IOI Properties Group Bhd

    606,616       252,495  

Karex Bhd

    397,425       83,739  

KIP REIT

    479,100       97,232  

KNM Group Bhd (a)

    860,300       46,707  

Kuala Lumpur Kepong Bhd

    54,500       360,421  

Land & General Bhd

    1,057,500       47,844  

Lingkaran Trans Kota Holdings Bhd

    55,900       80,931  

Malayan Banking Bhd

    505,011       1,373,505  

Maxis Bhd

    377,500       554,343  

Media Prima Bhd

    287,400       28,606  

MKH Bhd

    142,500       51,945  

Muhibbah Engineering M Bhd

    310,800       235,430  

Nam Cheong, Ltd. (a) (b) (e)

    320,400       4,887  

OSK Holdings Bhd

    1,315,587       333,318  

Padini Holdings Bhd

    217,900       245,053  

PPB Group Bhd

    107,800       533,426  

Press Metal Aluminium Holdings Bhd

    498,740       585,388  

Prestariang Bhd

    188,400       62,345  

Public Bank Bhd

    193,520       1,200,745  

Sapura Energy Bhd

    204,500       26,699  

Sime Darby Bhd

    382,188       258,876  
 

 

See accompanying notes to financial statements.

 

99


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sime Darby Plantation Bhd (a)

    373,388     $ 530,929  

Sime Darby Property Bhd (a)

    349,388       128,266  

TA Enterprise Bhd

    645,700       88,475  

Telekom Malaysia Bhd

    139,809       188,316  

Tenaga Nasional Bhd

    337,050       1,408,151  

Yinson Holdings Bhd

    147,600       143,479  
   

 

 

 
              18,783,182  
   

 

 

 

PAKISTAN — 0.3%

   

Bank Alfalah, Ltd.

    329,000       149,618  

Bank of Punjab (a)

    1,337,000       113,309  

Cherat Cement Co., Ltd.

    86,500       98,883  

Fauji Fertilizer Bin Qasim, Ltd.

    431,000       156,826  

Habib Bank, Ltd.

    78,600       141,752  

Hascol Petroleum, Ltd.

    96,300       223,476  

Maple Leaf Cement Factory, Ltd.

    154,100       96,413  

MCB Bank, Ltd.

    67,700       130,296  

Nishat Mills, Ltd.

    94,600       130,186  

Pioneer Cement, Ltd.

    144,100       87,908  

Searle Co. Ltd.

    41,229       125,377  

TRG Pakistan (a)

    348,000       115,196  
   

 

 

 
      1,569,240  
   

 

 

 

PHILIPPINES — 1.7%

   

Alliance Global Group, Inc. (a)

    819,600       207,345  

Ayala Land, Inc.

    1,666,988       1,313,079  

BDO Unibank, Inc.

    205,515       547,489  

Belle Corp.

    1,493,200       106,172  

Bloomberry Resorts Corp. (a)

    470,600       129,336  

Cebu Air, Inc.

    64,910       117,685  

Cosco Capital, Inc.

    1,879,700       266,586  

D&L Industries, Inc.

    1,663,400       368,529  

DoubleDragon Properties Corp. (a)

    537,970       328,901  

First Gen Corp.

    1,217,070       396,535  

First Philippine Holdings Corp.

    442,337       559,518  

Globe Telecom, Inc.

    2,455       76,317  

GT Capital Holdings, Inc.

    7,290       163,327  

JG Summit Holdings, Inc.

    354,010       425,402  

Jollibee Foods Corp.

    46,630       267,210  

LT Group, Inc.

    558,600       201,268  

Metro Pacific Investments Corp.

    1,333,100       133,878  

Nickel Asia Corp.

    728,184       85,131  

Philex Mining Corp.

    936,200       109,270  

PLDT, Inc.

    22,869       644,290  

Puregold Price Club, Inc.

    348,770       350,591  

Robinsons Retail Holdings, Inc.

    177,080       303,066  

SM Investments Corp.

    18,915       332,424  

SM Prime Holdings, Inc.

    1,081,300       698,382  

SSI Group, Inc. (a)

    1,956,000       103,090  

Universal Robina Corp.

    98,830       287,905  
   

 

 

 
      8,522,726  
   

 

 

 

SINGAPORE — 0.0% (f)

   

SIIC Environment Holdings, Ltd.

    163,499       57,978  

Silverlake Axis, Ltd.

    233,100       95,103  
   

 

 

 
      153,081  
   

 

 

 

TAIWAN — 20.4%

   

Acer, Inc. (a)

    742,395       616,180  

Security Description

 

Shares

   

Value

 

Advanced Semiconductor Engineering, Inc.

    1,080,797     $         1,562,424  

Advantech Co., Ltd.

    50,898       364,841  

Airtac International Group

    12,431       221,274  

Asia Cement Corp.

    957,073       922,377  

Asustek Computer, Inc.

    141,138       1,314,229  

AU Optronics Corp. ADR (b)

    174,346       796,761  

Catcher Technology Co., Ltd.

    141,539       1,754,856  

Cathay Financial Holding Co., Ltd.

    1,377,604       2,447,436  

Center Laboratories, Inc. (a)

    54,896       115,226  

Chang Hwa Commercial Bank, Ltd.

    2,180,831       1,260,315  

China Development Financial Holding Corp.

    3,416,272       1,206,832  

China Life Insurance Co., Ltd.

    189,812       196,927  

China Steel Chemical Corp.

    18,877       98,409  

China Steel Corp.

    2,057,625       1,637,236  

Chunghwa Telecom Co., Ltd.

    447,268       1,710,409  

Compal Electronics, Inc.

    1,065,431       725,342  

CTBC Financial Holding Co., Ltd.

    3,131,515       2,244,698  

Delta Electronics, Inc.

    337,787       1,506,064  

E.Sun Financial Holding Co., Ltd.

    501,476       337,104  

Eclat Textile Co., Ltd.

    48,365       563,985  

eMemory Technology, Inc.

    16,000       192,064  

Epistar Corp. (a)

    229,170       327,363  

Everlight Electronics Co., Ltd.

    173,996       267,346  

Far Eastern New Century Corp.

    1,224,170       1,102,118  

Far EasTone Telecommunications Co., Ltd.

    175,000       462,153  

Feng TAY Enterprise Co., Ltd.

    46,902       213,140  

Firich Enterprises Co., Ltd. (a)

    30,056       48,037  

First Financial Holding Co., Ltd.

    2,633,258       1,828,839  

Formosa Chemicals & Fibre Corp.

    716,691       2,679,265  

Formosa Petrochemical Corp.

    225,000       914,446  

Formosa Plastics Corp.

    939,137       3,317,595  

Foxconn Technology Co., Ltd.

    259,519       695,148  

Fubon Financial Holding Co., Ltd.

    1,155,998       1,986,333  

Giant Manufacturing Co., Ltd.

    48,000       251,878  

Himax Technologies, Inc. ADR (b)

    20,673       127,346  

Hiwin Technologies Corp.

    33,614       478,438  

Hon Hai Precision Industry Co., Ltd.

    2,050,950       6,330,744  

Hotai Motor Co., Ltd.

    44,000       438,385  

HTC Corp. (a)

    126,710       288,125  

Hua Nan Financial Holdings Co., Ltd.

    2,605,212       1,563,645  

Innolux Corp.

    1,020,753       446,363  

Inventec Corp.

    392,000       310,567  

King Yuan Electronics Co., Ltd.

    873,898       906,658  

Largan Precision Co., Ltd.

    12,710       1,445,061  

Lite-On Technology Corp.

    579,891       809,465  

Macronix International (a)

    633,990       1,067,631  

Makalot Industrial Co., Ltd.

    45,682       215,429  

MediaTek, Inc.

    234,219       2,658,932  

Medigen Biotechnology Corp. (a)

    14,000       18,726  

Mega Financial Holding Co., Ltd.

    1,955,148       1,679,750  

Merry Electronics Co., Ltd.

    49,000       280,653  
 

 

See accompanying notes to financial statements.

 

100


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

MIN AIK Technology Co., Ltd.

    27,400     $ 21,943  

Motech Industries, Inc. (a)

    139,934       109,425  

Nan Ya Plastics Corp.

    975,759       2,737,493  

Novatek Microelectronics Corp.

    153,062       692,945  

PChome Online, Inc.

    26,957       148,852  

Pegatron Corp.

    368,630       917,877  

Pou Chen Corp.

    245,000       325,188  

Powertech Technology, Inc.

    242,518       756,075  

President Chain Store Corp.

    56,000       562,746  

ProMOS Technologies, Inc. (a) (d)

    2,232        

Quanta Computer, Inc.

    587,194       1,184,176  

Radiant Opto-Electronics Corp.

    46,000       112,803  

Realtek Semiconductor Corp.

    173,161       745,334  

Shin Kong Financial Holding Co., Ltd.

    2,664,980       1,009,981  

Silicon Motion Technology Corp. ADR

    3,928       189,015  

Siliconware Precision Industries Co., Ltd.

    451,763       788,652  

SinoPac Financial Holdings Co., Ltd.

    3,420,795       1,208,430  

Synnex Technology International Corp.

    235,000       350,602  

Tainan Enterprises Co., Ltd.

    568,830       457,491  

Taishin Financial Holding Co., Ltd.

    3,211,828       1,575,235  

Taiwan Cement Corp.

    810,216       1,015,653  

Taiwan FU Hsing Industrial Co., Ltd.

    223,000       281,456  

Taiwan Mobile Co., Ltd.

    306,200       1,144,692  

Taiwan Paiho, Ltd.

    30,000       83,445  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    486,082       21,270,948  

Tatung Co., Ltd. (a)

    857,107       620,261  

Teco Electric and Machinery Co., Ltd.

    170,000       140,224  

TPK Holding Co., Ltd. (a)

    25,000       62,078  

Tripod Technology Corp.

    416,361       1,400,865  

Uni-President Enterprises Corp.

    895,971       2,098,804  

United Integrated Services Co., Ltd.

    583,194       1,310,121  

United Microelectronics Corp. ADR

    533,906       1,382,817  

Walsin Lihwa Corp.

    568,000       346,757  

Wistron Corp.

    861,873       737,515  

Yageo Corp.

    78,341       1,397,171  

Yuanta Financial Holding Co., Ltd.

    1,870,383       856,385  
   

 

 

 
      102,998,023  
   

 

 

 

THAILAND — 4.5%

   

Advanced Info Service PCL (e)

    198,402       1,307,029  

Airports of Thailand PCL (e)

    409,500       864,311  

Bangkok Expressway & Metro PCL (e)

    5,031,432       1,158,500  

Beauty Community PCL (e)

    321,000       218,654  

BEC World PCL (e)

    141,600       57,057  

Bumrungrad Hospital PCL (e)

    41,700       276,044  

Central Plaza Hotel PCL (e)

    57,500       88,264  

Security Description

 

Shares

   

Value

 

Charoen Pokphand Foods PCL (e)

    275,500     $ 222,462  

Chularat Hospital PCL (e)

    2,289,300       136,904  

CP ALL PCL (e)

    875,700       2,436,390  

Electricity Generating PCL (e)

    209,899       1,537,156  

Energy Absolute PCL (e)

    269,800       377,478  

Gunkul Engineering PCL (e)

    1,555,303       175,077  

Hana Microelectronics PCL (e)

    122,400       127,215  

Ichitan Group PCL (a) (e)

    158,800       40,881  

Indorama Ventures PCL (e)

    197,300       358,068  

IRPC PCL (e)

    3,540,439       820,856  

Jasmine International PCL (e)

    728,125       143,203  

Kasikornbank PCL (e)

    66,654       454,023  

Kasikornbank PCL NVDR

    33,000       223,729  

KCE Electronics PCL (e)

    187,100       400,886  

Ladprao General Hospital PCL

    481,800       107,084  

MC Group PCL (e)

    353,300       145,749  

Mega Lifesciences PCL (e)

    269,600       381,509  

Minor International PCL (e)

    377,786       459,094  

Nok Airlines PCL (a) (e)

    1,754,000       173,886  

PTG Energy PCL (e)

    210,000       109,466  

PTT Exploration & Production PCL (e)

    365,432       1,338,086  

PTT Global Chemical PCL NVDR

    92,600       280,584  

PTT PCL (e)

    130,755       2,291,453  

Siam Cement PCL NVDR

    58,000       916,278  

Siam Commercial Bank PCL (e)

    280,597       1,269,731  

Somboon Advance Technology PCL (e)

    196,300       129,946  

Srisawad Corp. PCL (e)

    305,828       596,594  

Superblock PCL NVDR (a)

    1,203,400       38,099  

SVI PCL (e)

    1,144,700       159,606  

Thai Beverage PCL

    1,162,700       691,608  

Thai Oil PCL (e)

    457,064       1,326,465  

Thai Union Group PCL Class F (e)

    255,600       152,853  

TMB Bank PCL (e)

    2,352,300       189,568  

True Corp. PCL NVDR

    1,694,983       376,723  
   

 

 

 
      22,558,569  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $404,066,809)

      503,633,806  
   

 

 

 

WARRANTS — 0.0% (f)

   

THAILAND — 0.0% (f)

   

E for L Aim PCL (expiring 6/1/20) (a)

    272,340       87  

Superblock PCL (expiring 8/31/20) (a)

    194,700       1,681  
   

 

 

 
 

 

See accompanying notes to financial statements.

 

101


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SHORT-TERM INVESTMENT — 1.1%

 

 

State Street Navigator Securities Lending Government Money Market Portfolio 0.00% (g) (h)
(Cost $5,463,090)

    5,463,090     $ 5,463,090  
   

 

 

 

TOTAL INVESTMENTS — 101.0%
(Cost $409,529,899)

 

    509,098,664  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.0)%

      (5,081,800
   

 

 

 

NET ASSETS — 100.0%

 

  $         504,016,864  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 1.8% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $73,651, representing less than 0.05% of the Fund’s net assets.
(e) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $20,069,598 representing 4.0% of net assets.
(f) Amount is less than 0.05% of net assets.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(h) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

ADS =American Depositary Shares

GDR =Global Depositary Receipt

NVDR =Non Voting Depositary Receipt

REIT =Real Estate Investment Trust

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

China

    $ 233,728,413     $       $28,554       $233,756,967

Hong Kong

      9,764,386       14,598       45,097       9,824,081

India

      87,991,853       125,649             88,117,502

Indonesia

      17,328,784                   17,328,784

Macau

      21,651                   21,651

Malaysia

      18,778,295       4,887             18,783,182

Pakistan

      1,569,240                   1,569,240

Philippines

      8,522,726                   8,522,726

Singapore

      153,081                   153,081

Taiwan

      102,998,023             0 (a)       102,998,023

 

See accompanying notes to financial statements.

 

102


Table of Contents

SPDR S&P EMERGING ASIA PACIFIC ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Thailand

    $ 2,634,105     $ 19,924,464     $     $ 22,558,569

Warrants

               

Thailand

      1,768                   1,768

Short-Term Investment

      5,463,090                   5,463,090
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 488,955,415     $ 20,069,598     $ 73,651     $ 509,098,664
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held a Level 3 security that was valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from

Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      2,046,576     $ 2,046,576     $ 22,108,210     $ 24,154,786     $     $           $     $ 9,790     $

State Street Navigator Securities Lending Government Money Market Portfolio

      5,790,699       5,790,699       24,268,294       24,595,903                   5,463,090       5,463,090       78,229      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 7,837,275     $ 46,376,504     $ 48,750,689     $     $         $ 5,463,090     $ 88,019     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

103


Table of Contents

SPDR S&P GLOBAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.1%

   

AUSTRALIA — 1.3%

   

APA Group

    376,046     $ 2,272,955  
   

 

 

 

BELGIUM — 0.8%

   

Groupe Bruxelles Lambert SA

    12,622       1,440,550  
   

 

 

 

CANADA — 19.5%

   

Bank of Montreal

    19,888       1,501,261  

Bank of Nova Scotia

    26,333       1,620,932  

Canadian Apartment Properties REIT

    52,256       1,505,767  

Canadian Imperial Bank of Commerce (a)

    19,338       1,705,734  

Canadian Utilities, Ltd. Class A

    60,031       1,601,292  

Emera, Inc.

    58,346       1,844,625  

Enbridge Income Fund Holdings, Inc. (a)

    143,233       3,101,854  

First Capital Realty, Inc.

    111,576       1,761,157  

Fortis, Inc.

    46,849       1,580,347  

Great-West Lifeco, Inc.

    65,669       1,674,770  

IGM Financial, Inc. (a)

    64,379       1,881,060  

Laurentian Bank of Canada (a)

    46,097       1,693,352  

National Bank of Canada

    32,973       1,550,888  

Power Corp. of Canada

    76,674       1,748,470  

Power Financial Corp.

    76,171       1,905,974  

RioCan Real Estate Investment Trust

    131,972       2,419,871  

Royal Bank of Canada

    18,300       1,412,617  

Shaw Communications, Inc. Class B

    85,661       1,649,103  

Sun Life Financial, Inc.

    35,611       1,461,453  

TELUS Corp.

    50,838       1,783,914  
   

 

 

 
              35,404,441  
   

 

 

 

CHINA — 1.1%

   

Guangdong Investment, Ltd.

    1,310,347       2,060,278  
   

 

 

 

DENMARK — 0.7%

   

Coloplast A/S Class B

    15,733       1,325,425  
   

 

 

 

FINLAND — 1.6%

   

Fortum Oyj (a)

    136,251       2,924,068  
   

 

 

 

FRANCE — 7.1%

   

Bouygues SA

    29,833       1,493,655  

CNP Assurances

    74,149       1,869,440  

Klepierre SA REIT

    50,032       2,015,169  

Sanofi

    21,464       1,724,549  

SCOR SE

    49,011       2,004,787  

Societe BIC SA

    14,256       1,417,523  

TOTAL SA (a)

    40,935       2,322,365  
   

 

 

 
      12,847,488  
   

 

 

 

GERMANY — 2.8%

   

Deutsche EuroShop AG

    47,305       1,733,707  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    9,012       2,093,102  

Siemens AG

    9,471       1,205,792  
   

 

 

 
      5,032,601  
   

 

 

 

Security Description

 

Shares

   

Value

 

HONG KONG — 4.5%

   

CK Infrastructure Holdings, Ltd.

    179,880     $ 1,470,293  

CLP Holdings, Ltd.

    159,296       1,621,721  

Power Assets Holdings, Ltd.

    221,195       1,971,458  

Sino Land Co., Ltd.

    921,607       1,491,330  

Wharf Real Estate Investment Co., Ltd. (b)

    241,542       1,572,671  
   

 

 

 
      8,127,473  
   

 

 

 

ITALY — 1.7%

   

Atlantia SpA

    56,012       1,732,493  

Hera SpA

    371,468       1,358,672  
   

 

 

 
      3,091,165  
   

 

 

 

JAPAN — 6.2%

   

Canon, Inc.

    43,116       1,560,852  

Chugoku Electric Power Co., Inc. (a)

    167,200       2,031,240  

Japan Tobacco, Inc.

    52,106       1,486,993  

KDDI Corp.

    57,501       1,462,802  

Lawson, Inc. (a)

    23,264       1,583,746  

MS&AD Insurance Group Holdings, Inc.

    43,380       1,336,275  

NTT DOCOMO, Inc.

    68,259       1,726,211  
   

 

 

 
              11,188,119  
   

 

 

 

MEXICO — 1.2%

   

Kimberly-Clark de Mexico SAB de CV Class A

    1,116,843       2,082,742  
   

 

 

 

NORWAY — 0.8%

   

Orkla ASA

    127,820       1,369,869  
   

 

 

 

PORTUGAL — 1.7%

   

EDP - Energias de Portugal SA

    830,445       3,153,846  
   

 

 

 

SINGAPORE — 1.1%

   

Singapore Telecommunications, Ltd.

    795,703       2,044,932  
   

 

 

 

SOUTH AFRICA — 5.3%

   

AVI, Ltd.

    181,834       1,700,673  

Foschini Group, Ltd.

    105,955       2,000,838  

SPAR Group, Ltd.

    89,561       1,531,088  

Truworths International, Ltd. (a)

    273,854       2,485,285  

Woolworths Holdings, Ltd.

    389,210       1,970,891  
   

 

 

 
      9,688,775  
   

 

 

 

SOUTH KOREA — 0.8%

   

SK Telecom Co., Ltd.

    6,392       1,379,266  
   

 

 

 

SPAIN — 4.6%

   

Abertis Infraestructuras SA

    79,537       1,782,255  

Enagas SA

    92,089       2,517,674  

Red Electrica Corp. SA

    95,871       1,972,584  

Tecnicas Reunidas SA (a)

    70,866       2,090,839  
   

 

 

 
      8,363,352  
   

 

 

 

SWEDEN — 3.7%

   

Castellum AB

    94,115       1,533,971  

Hennes & Mauritz AB Class B (a)

    131,733       1,969,042  

Intrum Justitia AB (a)

    33,283       940,689  
 

 

See accompanying notes to financial statements.

 

104


Table of Contents

SPDR S&P GLOBAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Skanska AB Class B

    107,156     $ 2,183,476  
   

 

 

 
      6,627,178  
   

 

 

 

SWITZERLAND — 2.7%

   

Baloise Holding AG

    9,250       1,411,263  

PSP Swiss Property AG

    17,012       1,655,721  

Swiss Prime Site AG (b)

    19,609       1,893,120  
   

 

 

 
      4,960,104  
   

 

 

 

UNITED KINGDOM — 10.1%

   

Ashmore Group PLC

    312,518       1,668,551  

BAE Systems PLC

    205,011       1,672,045  

Carillion PLC (a)(c)

    1,083,104        

Close Brothers Group PLC

    90,822       1,828,263  

GlaxoSmithKline PLC

    142,611       2,788,763  

Greene King PLC

    366,640       2,424,517  

IG Group Holdings PLC

    183,417       2,051,946  

Pennon Group PLC

    199,211       1,798,002  

RPC Group PLC

    116,000       1,258,188  

Tate & Lyle PLC

    193,351       1,477,134  

Unilever NV

    24,089       1,358,939  
   

 

 

 
              18,326,348  
   

 

 

 

UNITED STATES — 19.8%

   

AT&T, Inc.

    60,615       2,160,925  

Brinker International, Inc. (a)

    45,416       1,639,518  

CenterPoint Energy, Inc.

    62,746       1,719,240  

Compass Minerals International, Inc. (a)

    24,480       1,476,144  

Edison International

    27,835       1,771,976  

International Business Machines Corp.

    10,715       1,644,002  

L Brands, Inc.

    34,618       1,322,754  

Mercury General Corp.

    39,820       1,826,543  

National Health Investors, Inc. REIT

    32,073       2,158,192  

Northwest Bancshares, Inc.

    99,730       1,651,529  

OGE Energy Corp.

    57,031       1,868,906  

Owens & Minor, Inc.

    107,449       1,670,832  

Philip Morris International, Inc.

    16,787       1,668,628  

PPL Corp.

    72,225       2,043,245  

SCANA Corp.

    63,381       2,379,957  

Southern Co.

    48,803       2,179,542  

Tupperware Brands Corp.

    30,085       1,455,512  

Security Description

 

Shares

   

Value

 

United Bankshares, Inc.

    48,080     $ 1,694,820  

Verizon Communications, Inc.

    37,657       1,800,758  

Waddell & Reed Financial, Inc. Class A (a)

    88,308       1,784,705  
   

 

 

 
      35,917,728  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $184,232,598)

      179,628,703  
   

 

 

 

SHORT-TERM INVESTMENTS — 10.6%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (d) (e)

    176,711       176,711  

State Street Navigator Securities Lending Government Money Market Portfolio (d) (f)

    18,986,384       18,986,384  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $19,163,095)

      19,163,095  
   

 

 

 

TOTAL INVESTMENTS — 109.7%
(Cost $203,395,693)

      198,791,798  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (9.7)%

      (17,648,470
   

 

 

 

NET ASSETS — 100.0%

    $       181,143,328  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the security is $0, representing 0.0% of the Fund’s net assets.
(d) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(e) The rate shown is the annualized seven-day yield at March 31, 2018.
(f) Investment of cash collateral for securities loaned.

REIT =Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 2,272,955     $     $     $ 2,272,955

Belgium

      1,440,550                   1,440,550

Canada

        35,404,441                     35,404,441

China

      2,060,278                   2,060,278

Denmark

      1,325,425                   1,325,425

Finland

      2,924,068                   2,924,068

 

See accompanying notes to financial statements.

 

105


Table of Contents

SPDR S&P GLOBAL DIVIDEND ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

France

    $ 12,847,488     $     $     $ 12,847,488

Germany

      5,032,601                   5,032,601

Hong Kong

      8,127,473                   8,127,473

Italy

      3,091,165                   3,091,165

Japan

      11,188,119                   11,188,119

Mexico

      2,082,742                   2,082,742

Norway

      1,369,869                   1,369,869

Portugal

      3,153,846                   3,153,846

Singapore

      2,044,932                   2,044,932

South Africa

      9,688,775                   9,688,775

South Korea

      1,379,266                   1,379,266

Spain

      8,363,352                   8,363,352

Sweden

      6,627,178                   6,627,178

Switzerland

      4,960,104                   4,960,104

United Kingdom

      18,326,348             0 (a)       18,326,348

United States

      35,917,728                   35,917,728

Short-Term Investments

      19,163,095                   19,163,095
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 198,791,798     $     $ 0     $ 198,791,798
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held a Level 3 security that was valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at

3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      150,675     $ 150,675     $ 8,026,932     $ 8,000,896     $     $       176,711     $ 176,711     $ 2,082     $

State Street Navigator Securities Lending Government Money Market Portfolio

      5,848,371       5,848,371       62,061,870       48,923,857                   18,986,384       18,986,384       65,255      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 5,999,046     $ 70,088,802     $ 56,924,753     $     $         $ 19,163,095     $ 67,337     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

106


Table of Contents

SPDR S&P GLOBAL INFRASTRUCTURE ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.9%

   

AUSTRALIA — 8.2%

   

Macquarie Atlas Roads Group

    423,773     $ 1,878,818  

Qube Holdings, Ltd. (a)

    875,853       1,464,574  

Sydney Airport

    708,909       3,648,688  

Transurban Group Stapled Security

    1,218,091       10,670,125  
   

 

 

 
              17,662,205  
   

 

 

 

BRAZIL — 1.0%

   

Cia de Saneamento Basico do Estadode Sao Paulo ADR

    38,300       405,597  

Ultrapar Participacoes SA ADR

    76,249       1,648,503  
   

 

 

 
      2,054,100  
   

 

 

 

CANADA — 9.7%

   

AltaGas, Ltd. (a)

    30,972       572,715  

Enbridge, Inc. (b)

    272,801       8,573,897  

Enbridge, Inc. (b)

    25,122       790,589  

Inter Pipeline, Ltd.

    66,962       1,161,350  

Pembina Pipeline Corp.

    88,419       2,756,985  

TransCanada Corp.

    154,896       6,401,287  

Westshore Terminals Investment Corp. (a)

    31,902       551,310  
   

 

 

 
      20,808,133  
   

 

 

 

CHILE — 0.3%

   

Enel Americas SA ADR

    63,146       733,757  
   

 

 

 

CHINA — 3.5%

   

Beijing Capital International Airport Co., Ltd. Class H

    918,000       1,232,843  

Beijing Enterprises Water Group, Ltd.

    580,000       323,688  

China Merchants Port Holdings Co., Ltd.

    800,074       1,763,602  

China Resources Power Holdings Co., Ltd.

    200,000       364,920  

COSCO SHIPPING Ports, Ltd.

    452,725       380,717  

Guangdong Investment, Ltd.

    322,000       506,285  

Jiangsu Expressway Co., Ltd. Class H

    786,000       1,111,655  

Kunlun Energy Co., Ltd.

    596,000       514,114  

Shenzhen International Holdings, Ltd.

    613,500       1,342,957  
   

 

 

 
      7,540,781  
   

 

 

 

FRANCE — 5.5%

   

Aeroports de Paris

    20,985       4,568,089  

Engie SA

    181,187       3,020,500  

Getlink SE

    300,407       4,285,686  
   

 

 

 
      11,874,275  
   

 

 

 

GERMANY — 2.5%

   

E.ON SE

    246,795       2,737,759  

Fraport AG Frankfurt Airport Services Worldwide

    23,735       2,338,159  

Hamburger Hafen und Logistik AG

    13,504       303,094  
   

 

 

 
      5,379,012  
   

 

 

 

HONG KONG — 2.5%

   

China Gas Holdings, Ltd.

    256,200       931,987  

Security Description

 

Shares

   

Value

 

CLP Holdings, Ltd.

    221,000     $ 2,249,901  

Hong Kong & China Gas Co., Ltd.

    909,200       1,867,450  

Hopewell Highway Infrastructure, Ltd.

    653,500       398,846  
   

 

 

 
      5,448,184  
   

 

 

 

ITALY — 8.9%

   

Ansaldo STS SpA (c)

    34,699       535,993  

ASTM SpA

    22,901       575,970  

Atlantia SpA

    302,200       9,347,269  

Enav SpA (d)

    163,614       872,091  

Enel SpA

    865,489       5,290,177  

Snam SpA

    393,759       1,807,760  

Societa Iniziative Autostradali e Servizi SpA

    43,856       816,057  
   

 

 

 
              19,245,317  
   

 

 

 

MEXICO — 2.7%

   

Grupo Aeroportuario del Centro Norte SAB de CV ADR

    27,615       1,088,307  

Grupo Aeroportuario del Pacifico SAB de CV ADR

    24,228       2,414,078  

Grupo Aeroportuario del Sureste SAB de CV

    12,988       2,215,363  
   

 

 

 
      5,717,748  
   

 

 

 

NETHERLANDS — 0.3%

   

Koninklijke Vopak NV

    11,683       572,578  
   

 

 

 

NEW ZEALAND — 1.2%

   

Auckland International Airport, Ltd.

    600,443       2,650,936  
   

 

 

 

SINGAPORE — 0.6%

   

Hutchison Port Holdings Trust

    3,358,570       990,778  

SIA Engineering Co., Ltd.

    158,100       383,404  
   

 

 

 
      1,374,182  
   

 

 

 

SPAIN — 12.3%

   

Abertis Infraestructuras SA

    481,971       10,799,946  

Aena SME SA (d)

    47,230       9,505,747  

Enagas SA

    39,860       1,089,756  

Iberdrola SA

    678,580       4,983,944  
   

 

 

 
      26,379,393  
   

 

 

 

SWITZERLAND — 1.2%

   

Flughafen Zurich AG

    12,231       2,692,455  
   

 

 

 

UNITED KINGDOM — 4.3%

   

BBA Aviation PLC

    577,693       2,596,482  

National Grid PLC

    404,900       4,556,446  

SSE PLC

    114,642       2,052,061  
   

 

 

 
      9,204,989  
   

 

 

 

UNITED STATES — 35.2%

   

American Electric Power Co., Inc.

    55,187       3,785,276  

Cheniere Energy, Inc. (c)

    35,536       1,899,399  

Consolidated Edison, Inc.

    34,806       2,712,780  

Dominion Energy, Inc.

    73,095       4,928,796  

DTE Energy Co.

    20,101       2,098,544  

Duke Energy Corp.

    78,483       6,080,078  

Edison International

    36,561       2,327,473  

Eversource Energy

    35,573       2,095,961  
 

 

See accompanying notes to financial statements.

 

107


Table of Contents

SPDR S&P GLOBAL INFRASTRUCTURE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Exelon Corp.

    108,243     $ 4,222,559  

Kinder Morgan, Inc.

    333,427       5,021,411  

Macquarie Infrastructure Corp.

    51,243       1,892,404  

NextEra Energy, Inc.

    52,712       8,609,451  

ONEOK, Inc.

    72,204       4,109,852  

PG&E Corp.

    57,710       2,535,200  

PPL Corp.

    77,789       2,200,651  

Public Service Enterprise Group, Inc.

    56,576       2,842,378  

Sempra Energy

    28,630       3,184,229  

Southern Co.

    113,000       5,046,580  

Targa Resources Corp.

    37,939       1,669,316  

WEC Energy Group, Inc.

    35,334       2,215,442  

Williams Cos., Inc.

    145,378       3,614,097  

Xcel Energy, Inc.

    56,968       2,590,905  
   

 

 

 
      75,682,782  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $213,141,587)

      215,020,827  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.1%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (e) (f)

    498,865       498,865  

State Street Navigator Securities Lending Government Money Market Portfolio (e) (g)

    1,861,333       1,861,333  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,360,198)

      2,360,198  
   

 

 

 

TOTAL INVESTMENTS — 101.0%
(Cost $215,501,785)

      217,381,025  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.0)%

      (2,146,964
   

 

 

 

NET ASSETS — 100.0%

    $     215,234,061  
   

 

 

 
(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(c) Non-income producing security.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 4.8% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The rate shown is the annualized seven-day yield at March 31, 2018.
(g) Investment of cash collateral for securities loaned.

ADR =American Depositary Receipt

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 17,662,205     $     $     $ 17,662,205

Brazil

      2,054,100                   2,054,100

Canada

      20,808,133                   20,808,133

Chile

      733,757                   733,757

China

      7,540,781                   7,540,781

France

      11,874,275                   11,874,275

Germany

      5,379,012                   5,379,012

Hong Kong

      5,448,184                   5,448,184

Italy

      19,245,317                   19,245,317

Mexico

      5,717,748                   5,717,748

Netherlands

      572,578                   572,578

 

See accompanying notes to financial statements.

 

108


Table of Contents

SPDR S&P GLOBAL INFRASTRUCTURE ETF

SCHEDULE OF INVESTMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

New Zealand

    $ 2,650,936     $     $     $ 2,650,936

Singapore

      1,374,182                   1,374,182

Spain

      26,379,393                   26,379,393

Switzerland

      2,692,455                   2,692,455

United Kingdom

      9,204,989                   9,204,989

United States

      75,682,782                   75,682,782

Short-Term Investments

      2,360,198                   2,360,198
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 217,381,025     $     $     $ 217,381,025
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at

3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      403,650     $ 403,650     $ 5,120,757     $ 5,025,542     $     $       498,865     $ 498,865     $ 2,654     $

State Street Navigator Securities Lending Government Money Market Portfolio

      7,104,926       7,104,926       41,502,918       46,746,511                   1,861,333       1,861,333       21,619      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 7,508,576     $ 46,623,675     $ 51,772,053     $     $         $ 2,360,198     $ 24,273     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

109


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110


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES

March 31, 2018 (Unaudited)

 

 

 

     SPDR EURO
STOXX Small
Cap ETF
  SPDR MSCI
ACWI IMI ETF
      
SPDR MSCI
ACWI Low
Carbon Target
ETF
  SPDR MSCI
Canada
StrategicFactorsSM
ETF

ASSETS

                

Investments in unaffiliated issuers, at value*

     $ 41,459,472     $ 92,296,168     $ 150,190,625     $ 40,039,442

Investments in affiliated issuers, at value

       2,033,277       2,037,015       2,799,610       1,638,885
    

 

 

     

 

 

     

 

 

     

 

 

 

Total Investments

       43,492,749       94,333,183       152,990,235       41,678,327

Foreign currency, at value

       65,907       163,212       461,508       111,952

Cash at broker

                        

Cash

             18,757       23,806      

Receivable from broker — variation margin on open futures contracts

                        

Receivable for investments sold

       133,654                  

Dividends receivable — unaffiliated issuers

       61,031       210,914       312,706       75,641

Dividends receivable — affiliated issuers

       2       226       355       13

Securities lending income receivable — unaffiliated issuers

       1,768       808       755       1,769

Securities lending income receivable — affiliated issuers

       2,874       2,115       1,660       370

Receivable from Adviser

                   39,152      

Receivable for foreign taxes recoverable

       21,700       18,309       45,113      

Other Receivable

                   1,382      
    

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL ASSETS

       43,779,685       94,747,524       153,876,672       41,868,072
    

 

 

     

 

 

     

 

 

     

 

 

 

LIABILITIES

                

Payable upon return of securities loaned

       2,031,488       1,690,862       2,338,517       1,622,347

Payable for investments purchased

       137,348             341       104,521

Deferred foreign taxes payable

                   8,836      

Advisory fee payable

       46,043       59,129       115,377       30,532

Trustees’ fees and expenses payable

       89       119       174       9

Accrued expenses and other liabilities

             2       943       1
    

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL LIABILITIES

       2,214,968       1,750,112       2,464,188       1,757,410
    

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS

     $ 41,564,717     $ 92,997,412     $ 151,412,484     $ 40,110,662
    

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS CONSIST OF:

                

Paid-in Capital

     $ 40,755,717     $ 80,213,859     $ 125,301,986     $ 36,615,459

Undistributed (distribution in excess of) net investment income (loss)

       67,143       255,546       386,824       130,545

Accumulated net realized gain (loss) on investments, foreign currency transactions and futures contracts

       (1,530,675 )       336,508       (385,878 )       (256,666 )

Net unrealized appreciation (depreciation) on:

                

Investments — unaffiliated issuers**

       2,271,307       12,155,557       26,086,609       3,621,483

Investments — affiliated issuers

             33,583       27,058      

Foreign currency translations

       1,225       2,359       4,721       (159 )

Futures contracts

                        
    

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS

     $ 41,564,717     $ 92,997,412     $ 151,412,484     $ 40,110,662
    

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

                

Net asset value per share

     $ 63.95     $ 77.50     $ 89.07     $ 57.30
    

 

 

     

 

 

     

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

       650,000       1,200,000       1,700,000       700,000
    

 

 

     

 

 

     

 

 

     

 

 

 

COST OF INVESTMENTS:

                

Investments in unaffiliated issuers

     $ 39,188,165     $ 80,140,611     $ 124,104,016     $ 36,417,959

Investments in affiliated issuers

       2,033,277       2,003,432       2,772,552       1,638,885
    

 

 

     

 

 

     

 

 

     

 

 

 

Total cost of investments

     $ 41,221,442     $ 82,144,043     $ 126,876,568     $ 38,056,844
    

 

 

     

 

 

     

 

 

     

 

 

 

Foreign currency, at cost

     $ 66,341     $ 161,625     $ 459,651     $ 112,232
    

 

 

     

 

 

     

 

 

     

 

 

 

*   Includes investments in securities on loan, at value

     $ 2,475,440     $ 3,793,645     $ 4,619,461     $ 1,639,034
    

 

 

     

 

 

     

 

 

     

 

 

 

** Includes deferred foreign taxes

     $     $     $ 8,836     $
    

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

111


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SPDR MSCI
China A Shares
IMI ETF
  SPDR MSCI
EAFE Fossil Fuel
Reserves Free
ETF
  SPDR MSCI
EAFE
StrategicFactorsSM
ETF
  SPDR MSCI
Emerging
Markets Fossil
Fuel Reserves
Free ETF
  SPDR MSCI
Emerging
Markets
StrategicFactorsSM
ETF
  SPDR MSCI
Germany
StrategicFactorsSM
ETF
  SPDR MSCI
Japan
StrategicFactorsSM
ETF
                         
  $ 2,342,527     $ 71,040,467     $ 255,506,669     $ 22,797,634     $ 319,067,791     $ 9,485,798     $ 23,753,961
    749       2,113,826       6,433,128       1,629,908       6,299,509       4,859       2,580,068
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    2,343,276       73,154,293       261,939,797       24,427,542       325,367,300       9,490,657       26,334,029
    39,214       152,664       1,186,029       286,225       1,172,257       9,188       43,426
                      91,459                  
                            1            
                     

    

21,798


                 
                1,175                        
          254,406       899,013       60,769       599,421             200,033
    1       31       227       1,498       565       6       15
          460       1,966       438       2,129             121
          2,749       7,286       309       2,957             515
          14,477                              
          45,454       136,433       518       458       90,372       6,646
          1,382             1,382                  
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    2,382,491       73,625,916       264,171,926       24,891,938       327,145,088       9,590,223       26,584,785
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
          2,106,482       6,204,945       434,013       5,879,993             2,568,084
          58,158       755,557       1,398       18,676            
                            43,221            
    3,934       42,741       176,004       18,628       202,414       10,275       15,438
    25       68       17       7       154       7       24
    23       841             752       3            
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    3,982       2,208,290       7,136,523       454,798       6,144,461       10,282       2,583,546
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $ 2,378,509     $ 71,417,626     $ 257,035,403     $ 24,437,140     $ 321,000,627     $ 9,579,941     $ 24,001,239
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
  $ 2,495,938     $ 65,883,046     $ 239,716,682     $ 21,441,692     $ 285,286,461     $ 9,952,810     $ 23,409,033
    (7,453 )       325,130       1,522,319      

    

28,470


      479,253       (23,503 )       161,275
    (61,414 )       30,644       (157,693 )      

    

(40,155


)

      (5,366,941 )       (757,433 )       (255,757 )
                                
    (49,412 )       5,177,593       15,949,930       2,979,748       40,643,283       400,090       686,577
                                       
    850       1,213       4,165       7,948       1,792       7,977       111
                      19,437                  
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $ 2,378,509     $ 71,417,626     $ 257,035,403     $ 24,437,140     $ 321,000,627     $ 9,579,941     $ 24,001,239
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
  $ 23.79     $ 71.42     $ 64.26     $ 69.82     $ 64.85     $ 63.87     $ 80.00
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    100,000       1,000,000       4,000,000       350,000       4,950,000       150,000       300,000
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
  $ 2,391,939     $ 65,862,874     $ 239,556,739     $ 19,817,886     $ 278,424,508     $ 9,085,708     $ 23,067,384
    749       2,113,826       6,433,128       1,629,908       6,299,509       4,859       2,580,068
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $ 2,392,688     $ 67,976,700     $ 245,989,867     $ 21,447,794     $ 284,724,017     $ 9,090,567     $ 25,647,452
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $ 38,364     $ 153,228     $ 1,187,385     $ 278,499     $ 1,170,980     $ 9,237     $ 43,423
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $     $ 2,635,868     $ 6,524,858     $ 1,703,020     $ 10,839,683     $     $ 2,558,616
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $     $     $     $     $ 43,221     $     $
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

 

112


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF ASSETS AND LIABILITIES (continued)

March 31, 2018 (Unaudited)

 

 

 

    SPDR MSCI
United Kingdom
StrategicFactorsSM
ETF
  SPDR MSCI
World
StrategicFactorsSM
ETF
  SPDR S&P
Emerging Asia
Pacific ETF
  SPDR S&P
Global Dividend
ETF

ASSETS

               

Investments in unaffiliated issuers, at value*

    $ 18,364,405     $ 29,530,078     $ 503,635,574     $ 179,628,703

Investments in affiliated issuers, at value

      144,088       405,574       5,463,090       19,163,095
   

 

 

     

 

 

     

 

 

     

 

 

 

Total Investments

      18,508,493       29,935,652       509,098,664       198,791,798

Foreign currency, at value

      31,969       60,158       912,492       551,452

Cash

            4,917       39,360       28,016

Receivable for investments sold

                       

Dividends receivable — unaffiliated issuers

      74,498       65,342       361,844       870,098

Dividends receivable — affiliated issuers

      2       20       1,184       349

Securities lending income receivable — unaffiliated issuers

            147       18,004      

Securities lending income receivable — affiliated issuers

      28       371       16,388       23,937

Receivable for foreign taxes recoverable

      299       7,873             45,404
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL ASSETS

      18,615,289       30,074,480       510,447,936       200,311,054
   

 

 

     

 

 

     

 

 

     

 

 

 

LIABILITIES

               

Payable upon return of securities loaned

      142,395       376,622       5,463,090       18,986,384

Payable for investments purchased

                  132,111      

Deferred foreign taxes payable

                  224,169      

Advisory fee payable

      7,939       21,905       610,674       181,215

Trustees’ fees and expenses payable

                  1,022       127

Accrued expenses and other liabilities

            1       6      
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL LIABILITIES

      150,334       398,528       6,431,072       19,167,726
   

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS

    $ 18,464,955     $ 29,675,952     $ 504,016,864     $ 181,143,328
   

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS CONSIST OF:

               

Paid-in Capital

    $ 19,118,628     $ 27,198,597     $ 469,519,269     $ 192,214,157

Undistributed (distribution in excess of) net investment income (loss)

      47,373       156,145       (2,256,616 )       (46,936 )

Accumulated net realized gain (loss) on investments, foreign currency transactions and futures contracts

      (533,234 )       123,922       (62,585,744 )       (6,425,618 )

Net unrealized appreciation (depreciation) on:

               

Investments — unaffiliated issuers**

      (168,054 )       2,194,964       99,568,765       (4,603,895 )

Investments — affiliated issuers

            2,194            

Foreign currency translations

      242       130       (4,641 )       5,620
   

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS

    $ 18,464,955     $ 29,675,952     $ 504,016,864     $ 181,143,328
   

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSET VALUE PER SHARE

               

Net asset value per share

    $ 52.76     $ 74.19     $ 105.00     $ 68.36
   

 

 

     

 

 

     

 

 

     

 

 

 

Shares outstanding (unlimited amount authorized, $0.01 par value)

      350,000       400,000       4,800,000       2,650,000
   

 

 

     

 

 

     

 

 

     

 

 

 

COST OF INVESTMENTS:

               

Investments in unaffiliated issuers

    $ 18,532,459     $ 27,335,114     $ 404,066,809     $ 184,232,598

Investments in affiliated issuers

      144,088       403,380       5,463,090       19,163,095
   

 

 

     

 

 

     

 

 

     

 

 

 

Total cost of investments

    $ 18,676,547     $ 27,738,494     $ 409,529,899     $ 203,395,693
   

 

 

     

 

 

     

 

 

     

 

 

 

Foreign currency, at cost

    $ 32,082     $ 60,278     $ 917,805     $ 549,865
   

 

 

     

 

 

     

 

 

     

 

 

 

*   Includes investments in securities on loan, at value

    $ 137,431     $ 572,178     $ 40,115,235     $ 23,861,240
   

 

 

     

 

 

     

 

 

     

 

 

 

** Includes deferred foreign taxes

    $     $     $ 224,169     $
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

113


Table of Contents

    

    

    

 

 

 

SPDR S&P
Global
Infrastructure
ETF
 
  $ 215,020,827
    2,360,198
 

 

 

 
    217,381,025
    429,267
    41,922
    7,088,003
    269,733
    474
    354
    2,194
    20,576
 

 

 

 
    225,233,548
 

 

 

 
 
    1,861,333
    7,942,197
   
    195,892
    65
   
 

 

 

 
    9,999,487
 

 

 

 
  $ 215,234,061
 

 

 

 
 
  $ 237,431,902
   

    

1,172,955


   

    

(25,254,551


)

 
    1,879,240
   
    4,515
 

 

 

 
  $ 215,234,061
 

 

 

 
 
  $ 48.92
 

 

 

 
   

    

4,400,000


 

 

 

 
 
  $ 213,141,587
    2,360,198
 

 

 

 
  $ 215,501,785
 

 

 

 
  $ 425,916
 

 

 

 
  $ 8,656,106
 

 

 

 
  $
 

 

 

 

 

114


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR EURO
STOXX Small
Cap ETF
   SPDR MSCI
ACWI IMI ETF
       
SPDR MSCI
ACWI Low
Carbon Target
ETF
  SPDR MSCI
Canada
StrategicFactorsSM
ETF

INVESTMENT INCOME

                  

Dividend income — unaffiliated issuers

     $ 184,810      $ 982,676      $ 1,511,853     $ 562,099

Dividend income — affiliated issuers

       42        2,324        2,288       202

Unaffiliated securities lending income

       1,834        2,549        3,453       1,775

Affiliated securities lending income

       3,651        6,970        4,991       591

Foreign taxes withheld

       (23,921 )        (42,296 )        (71,547 )       (84,315 )
    

 

 

      

 

 

      

 

 

     

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       166,416        952,223        1,451,038       480,352
    

 

 

      

 

 

      

 

 

     

 

 

 

EXPENSES

                  

Advisory fee

       74,926        117,550        228,774       60,136

Trustees’ fees and expenses

       195        816        1,286       319

Miscellaneous expenses

       210        101              2
    

 

 

      

 

 

      

 

 

     

 

 

 

TOTAL EXPENSES

       75,331        118,467        230,060       60,457
    

 

 

      

 

 

      

 

 

     

 

 

 

Expenses waived/reimbursed by the Adviser

                     (77,544 )      
    

 

 

      

 

 

      

 

 

     

 

 

 

NET EXPENSES

       75,331        118,467        152,516       60,457
    

 

 

      

 

 

      

 

 

     

 

 

 

NET INVESTMENT INCOME (LOSS)

       91,085        833,756        1,298,522       419,895
    

 

 

      

 

 

      

 

 

     

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

                  

Net realized gain (loss) on:

                  

Investments — unaffiliated issuers*

       971,784        315,492        459,636       273,614

Investments — affiliated issuers

                     6,070      

In-kind redemptions — unaffiliated issuers

                          

Foreign currency transactions

       100        (1,504 )        (12,926 )       (4,199 )

Futures contracts

                          
    

 

 

      

 

 

      

 

 

     

 

 

 

Net realized gain (loss)

       971,884        313,988        452,780       269,415
    

 

 

      

 

 

      

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation on:

                  

Investments — unaffiliated issuers**

       (659,697 )        2,936,445        4,879,219       (1,954,539 )

Investments — affiliated issuers

              5,212        (1,310 )      

Foreign currency translations

       (7 )        2,519        3,744       1,376

Futures contracts

                          
    

 

 

      

 

 

      

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation

       (659,704 )        2,944,176        4,881,653       (1,953,163 )
    

 

 

      

 

 

      

 

 

     

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       312,180        3,258,164        5,334,433       (1,683,748 )
    

 

 

      

 

 

      

 

 

     

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ 403,265      $ 4,091,920      $ 6,632,955     $ (1,263,853 )
    

 

 

      

 

 

      

 

 

     

 

 

 

* Includes foreign capital gain taxes

     $      $      $ (1 )     $
    

 

 

      

 

 

      

 

 

     

 

 

 

** Includes foreign deferred taxes

     $      $      $ 2,935     $
    

 

 

      

 

 

      

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

115


Table of Contents

    

    

    

 

 

 

SPDR MSCI
China A Shares
IMI ETF
  SPDR MSCI
EAFE Fossil Fuel
Reserves Free
ETF
  SPDR MSCI
EAFE
StrategicFactorsSM
ETF
  SPDR MSCI
Emerging
Markets Fossil
Fuel Reserves
Free ETF
  SPDR MSCI
Emerging
Markets
StrategicFactorsSM
ETF
  SPDR MSCI
Germany
StrategicFactorsSM
ETF
  SPDR MSCI
Japan
StrategicFactorsSM
ETF
                         
    507     $ 662,175     $ 2,680,629     $ 171,689     $ 2,101,130     $ 37,420     $ 255,903
    6       313       1,651       7,371       2,997       29       114
          1,081       2,592       1,098       7,117       28       176
          4,886       15,935       1,465       12,523             617
    (50 )       (57,271 )       (215,651 )       (23,769 )       (234,624 )       (5,411 )       (25,588 )
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    463       611,184       2,485,156       157,854       1,889,143       32,066       231,222
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
    7,855       80,253       323,703       33,686       373,428       24,919       25,348
    22       395       1,469       145       1,828       151       118
    39             565       860       28             1
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    7,916       80,648       325,737       34,691       375,284       25,070       25,467
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
          (27,146 )                              
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    7,916       53,502       325,737       34,691       375,284       25,070       25,467
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    (7,453 )       557,682       2,159,419       123,163       1,513,859       6,996       205,755
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
                         
                         
    (1,065 )       23,297       67,970       7,554       1,410,813       227,130       (2,458 )
                                       
                4,152,487                   1,893,039       892,635
    251       7,480       16,042       3,289       (77,804 )       409       2,776
                      (17,389 )                  
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
    (814 )       30,777       4,236,499       (6,546 )       1,333,009       2,120,578       892,953
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
   

    

    


                       
    28,676       (105,733 )       (3,541,354 )       1,387,132       14,308,358       (1,335,755 )       (321,810 )
                                       
    767       206       1,132       8,674       6,264       2,683       825
                      35,575                  
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
   

    

29,443


      (105,527 )       (3,540,222 )       1,431,381       14,314,622       (1,333,072 )       (320,985 )
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
   

    

28,629


      (74,750 )       696,277       1,424,835       15,647,631       787,506       571,968
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $ 21,176     $ 482,932      

$

    

2,855,696


    $ 1,547,998     $ 17,161,490     $ 794,502     $ 777,723
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $     $     $     $     $     $     $
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 
  $     $     $     $     $ 34,538     $     $
 

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

 

116


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF OPERATIONS (continued)

For the Six Months Ended March 31, 2018 (Unaudited)

 

 

 

     SPDR MSCI
United Kingdom
StrategicFactorsSM
ETF
   SPDR MSCI
World
StrategicFactorsSM
ETF
   SPDR S&P
Emerging Asia
Pacific ETF
  SPDR S&P
Global Dividend
ETF

INVESTMENT INCOME

                  

Dividend income — unaffiliated issuers

     $ 141,777      $ 190,696      $ 1,184,932     $ 3,502,674

Dividend income — affiliated issuers

       9        358        9,790       2,082

Dividend income — non-cash

       9,548        107,838             

Unaffiliated securities lending income

       1        355        87,346       16,336

Affiliated securities lending income

       61        792        78,229       65,255

Foreign taxes withheld

       (1,124 )        (12,593 )        (62,532 )       (261,547 )
    

 

 

      

 

 

      

 

 

     

 

 

 

TOTAL INVESTMENT INCOME (LOSS)

       150,272        287,446        1,297,765       3,324,800
    

 

 

      

 

 

      

 

 

     

 

 

 

EXPENSES

                  

Advisory fee

       11,922        38,690        1,158,739       355,356

Trustees’ fees and expenses

       55        206        3,705       1,407

Miscellaneous expenses

       1        29        20       1,199
    

 

 

      

 

 

      

 

 

     

 

 

 

TOTAL EXPENSES

       11,978        38,925        1,162,464       357,962
    

 

 

      

 

 

      

 

 

     

 

 

 

NET INVESTMENT INCOME (LOSS)

       138,294        248,521        135,301       2,966,838
    

 

 

      

 

 

      

 

 

     

 

 

 

REALIZED AND UNREALIZED GAIN (LOSS)

                  

Net realized gain (loss) on:

                  

Investments — unaffiliated issuers

       (105,001 )        126,279        611,742       (518,821 )

In-kind redemptions — unaffiliated issuers

                           16,127,913

Foreign currency transactions

       2,044        3,169        (5,038 )       (13,636 )
    

 

 

      

 

 

      

 

 

     

 

 

 

Net realized gain (loss)

       (102,957 )        129,448        606,704       15,595,456
    

 

 

      

 

 

      

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation on:

                  

Investments — unaffiliated issuers*

       (97,485 )        390,524        32,160,584       (13,984,977 )

Investments — affiliated issuers

              393             

Foreign currency translations

       (450 )        (135 )        870       7,522
    

 

 

      

 

 

      

 

 

     

 

 

 

Net change in unrealized appreciation/depreciation

       (97,935 )        390,782        32,161,454       (13,977,455 )
    

 

 

      

 

 

      

 

 

     

 

 

 

NET REALIZED AND UNREALIZED GAIN (LOSS)

       (200,892 )        520,230        32,768,158       1,618,001
    

 

 

      

 

 

      

 

 

     

 

 

 

NET INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS

     $ (62,598 )      $ 768,751      $ 32,903,459     $ 4,584,839
    

 

 

      

 

 

      

 

 

     

 

 

 

* Includes foreign deferred taxes

     $      $      $ (81,404 )     $
    

 

 

      

 

 

      

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

117


Table of Contents

    

    

    

 

 

 

SPDR S&P
Global
Infrastructure
ETF
 
    3,092,703
    2,654
    299,239
    2,110
    21,619
    (239,748 )
 

 

 

 
    3,178,577
 

 

 

 
 
    379,194
    1,463
    414
 

 

 

 
    381,071
 

 

 

 
    2,797,506
 

 

 

 
   

    

    


 
    (1,339,048 )
    1,281,487
    (13,371 )
 

 

 

 
    (70,932 )
 

 

 

 
   

    

    


    (11,152,612 )
   
    4,493
 

 

 

 
   

    

(11,148,119


)

 

 

 

 
   

    

(11,219,051


)

 

 

 

 
   

$

    

(8,421,545


)

 

 

 

 
  $
 

 

 

 

 

118


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS

 

 

 

        
SPDR EURO STOXX Small Cap ETF
  SPDR MSCI ACWI IMI ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year Ended
9/30/17
  Six Months
Ended
3/31/18
(Unaudited)
  Year Ended
9/30/17

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

               

Net investment income (loss)

    $ 91,085     $ 237,931     $ 833,756     $ 1,928,550

Net realized gain (loss)

      971,884       515,016       313,988       3,826,936

Net change in unrealized appreciation/depreciation

      (659,704 )       3,288,061       2,944,176       9,476,943
   

 

 

     

 

 

     

 

 

     

 

 

 

Net increase (decrease) in net assets resulting from operations

      403,265       4,041,008       4,091,920       15,232,429
   

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges

      (161 )       1,847            
   

 

 

     

 

 

     

 

 

     

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

               

Net investment income

      (63,478 )       (243,975 )       (1,415,842 )       (1,770,932 )

Return of capital

                       
   

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions to shareholders

      (63,478 )       (243,975 )       (1,415,842 )       (1,770,932 )
   

 

 

     

 

 

     

 

 

     

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS

               

Proceeds from sale of shares sold

      22,456,335       3,117,605             26,144,694

Cost of shares redeemed

                        (14,167,487 )

Net income equalization

      161       (1,847 )            
   

 

 

     

 

 

     

 

 

     

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

      22,456,496       3,115,758             11,977,207
   

 

 

     

 

 

     

 

 

     

 

 

 

Net increase (decrease) in net assets during the period

      22,796,122       6,914,638       2,676,078       25,438,704
   

 

 

     

 

 

     

 

 

     

 

 

 

Net assets at beginning of period

      18,768,595       11,853,957       90,321,334       64,882,630
   

 

 

     

 

 

     

 

 

     

 

 

 

NET ASSETS AT END OF PERIOD

    $ 41,564,717     $ 18,768,595     $ 92,997,412     $ 90,321,334
   

 

 

     

 

 

     

 

 

     

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

    $ 67,143     $ 39,536     $ 255,546     $ 837,631
   

 

 

     

 

 

     

 

 

     

 

 

 

SHARES OF BENEFICIAL INTEREST:

               

Shares sold

      350,000       50,000             400,000

Shares redeemed

                        (200,000 )
   

 

 

     

 

 

     

 

 

     

 

 

 

Net increase (decrease)

      350,000       50,000             200,000
   

 

 

     

 

 

     

 

 

     

 

 

 

 

See accompanying notes to financial statements.

 

119


Table of Contents

    

    

 

 

 

SPDR MSCI ACWI Low Carbon
Target ETF
   SPDR MSCI Canada
StrategicFactorsSM ETF
   SPDR MSCI China A Shares IMI ETF
Six Months
Ended
3/31/18
(Unaudited)
   Year Ended
9/30/17
   Six Months
Ended
3/31/18
(Unaudited)
   Year Ended
9/30/17
   Six Months
Ended
3/31/18
(Unaudited)
   Year Ended
9/30/17
   

    

    


                        
  $ 1,298,522      $ 2,942,232      $ 419,895      $ 602,610      $ (7,453 )      $ 13,085
    452,780        (99,729 )        269,415        (252,542 )        (814 )        (25,119 )
    4,881,653        19,444,957        (1,953,163 )        4,182,781        29,443        242,801
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

6,632,955


       22,287,460        (1,263,853 )        4,532,849        21,176        230,767
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
           276,534        1,053        48,731              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
                          
    (1,453,991 )        (2,915,464 )        (457,120 )        (529,524 )               (12,958 )
                                       (7,669 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    (1,453,991 )        (2,915,464 )        (457,120 )        (529,524 )               (20,627 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
                          
           30,178,050        3,078,897        16,319,215              
                                      
           (276,534 )        (1,053 )        (48,731 )              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
          

    

29,901,516


       3,077,844        16,270,484              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    5,178,964        49,550,046        1,357,924        20,322,540        21,176        210,140
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    146,233,520        96,683,474        38,752,738        18,430,198        2,357,333        2,147,193
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
  $ 151,412,484      $ 146,233,520      $ 40,110,662      $ 38,752,738      $ 2,378,509      $ 2,357,333
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
  $ 386,824       

$

    

542,293


     $ 130,545      $ 167,770      $ (7,453 )      $
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
                          
           400,000        50,000        300,000              
                                      
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
           400,000        50,000        300,000              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

 

120


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR MSCI EAFE Fossil Fuel
Reserves Free ETF
     SPDR MSCI EAFE StrategicFactorsSM
ETF
     Six Months
Ended
3/31/18
(Unaudited)
     For the Period
10/25/16* -

9/30/17
     Six Months
Ended
3/31/18
(Unaudited)
     Year Ended
9/30/17

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

                         

Net investment income (loss)

     $ 557,682        $ 886,180        $ 2,159,419        $ 3,428,424

Net realized gain (loss)

       30,777          180,696          4,236,499          3,033

Net change in unrealized appreciation/depreciation

       (105,527 )          5,284,333          (3,540,222 )          19,736,059
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets resulting from operations

       482,932          6,351,209          2,855,696          23,167,516
    

 

 

        

 

 

        

 

 

        

 

 

 

Net equalization credits and charges

       17,605          10,704                  
    

 

 

        

 

 

        

 

 

        

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

                         

Net investment income

       (324,489 )          (803,032 )          (1,791,234 )          (2,367,462 )

Net realized gains

       (172,040 )                           
    

 

 

        

 

 

        

 

 

        

 

 

 

Total distributions to shareholders

       (496,529 )          (803,032 )          (1,791,234 )          (2,367,462 )
    

 

 

        

 

 

        

 

 

        

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS

                         

Proceeds from sale of shares sold

       25,451,322          40,431,724          82,745,464          163,529,104

Cost of shares redeemed

                         (19,418,576 )         

Net income equalization

       (17,605 )          (10,704 )                  

Other capital

                                 
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

       25,433,717          40,421,020          63,326,888          163,529,104
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets during the period

       25,437,725          45,979,901          64,391,350          184,329,158
    

 

 

        

 

 

        

 

 

        

 

 

 

Net assets at beginning of period

       45,979,901                   192,644,053          8,314,895
    

 

 

        

 

 

        

 

 

        

 

 

 

NET ASSETS AT END OF PERIOD

     $ 71,417,626        $ 45,979,901        $ 257,035,403        $ 192,644,053
    

 

 

        

 

 

        

 

 

        

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

     $ 325,130        $ 91,937        $ 1,522,319        $ 1,154,134
    

 

 

        

 

 

        

 

 

        

 

 

 

SHARES OF BENEFICIAL INTEREST:

                         

Shares sold

       350,000          650,000          1,250,000          2,900,000

Shares redeemed

                         (300,000 )         
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease)

       350,000          650,000          950,000          2,900,000
    

 

 

        

 

 

        

 

 

        

 

 

 

 

* Inception date.

 

See accompanying notes to financial statements.

 

121


Table of Contents

    

    

 

 

 

SPDR MSCI Emerging Markets Fossil
Fuel Reserves Free ETF
   SPDR MSCI Emerging Markets
StrategicFactorsSM ETF
   SPDR MSCI Germany
StrategicFactorsSM ETF
Six Months
Ended
3/31/18
(Unaudited)
   For the Period
10/25/16* -

9/30/17
   Six Months
Ended
3/31/18
(Unaudited)
   Year Ended
9/30/17
   Six Months
Ended
3/31/18
(Unaudited)
   Year Ended
9/30/17
   

    

    


                        
  $ 123,163      $ 211,804      $ 1,513,859      $ 4,025,325      $ 6,996      $ 283,624
    (6,546 )        92,836        1,333,009        (753,946 )        2,120,578        (626,389 )
   
    
1,431,381

       1,575,752        14,314,622        22,801,699        (1,333,072 )        1,979,796
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

1,547,998


       1,880,392        17,161,490        26,073,078        794,502        1,637,031
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    (3,808 )        26,909                      (10,668 )        117,483
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

    


                        
    (70,747 )        (231,170 )        (3,448,499 )        (2,754,029 )        (30,499 )        (389,383 )
    (131,111 )                                   
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    (201,858 )        (231,170 )        (3,448,499 )        (2,754,029 )        (30,499 )        (389,383 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

    


                        
    6,769,731        14,664,269        93,263,625        74,051,529               11,900,436
                                (10,101,079 )        (7,261,821 )
    3,808        (26,909 )                      10,668        (117,483 )
    3,156        4,622        79,048        35,154              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

6,776,695


       14,641,982        93,342,673        74,086,683        (10,090,411 )        4,521,132
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

8,119,027


       16,318,113        107,055,664        97,405,732        (9,337,076 )        5,886,263
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    16,318,113               213,944,963        116,539,231        18,917,017        13,030,754
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
  $ 24,437,140      $ 16,318,113      $ 321,000,627      $ 213,944,963      $ 9,579,941      $ 18,917,017
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

$

    

28,470


     $ (23,946 )      $ 479,253      $ 2,413,893      $ (23,503 )      $
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
                                 
    100,000        250,000        1,425,000        1,350,000               200,000
                                (150,000 )        (150,000 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    100,000        250,000        1,425,000        1,350,000        (150,000 )        50,000
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

 

122


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR MSCI Japan StrategicFactorsSM
ETF
     SPDR MSCI United Kingdom
StrategicFactorsSM ETF
     Six Months
Ended

3/31/18
(Unaudited)
     Year Ended
9/30/17
     Six Months
Ended
3/31/18
(Unaudited)
     Year Ended
9/30/17

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

                         

Net investment income (loss)

     $ 205,755        $ 229,671        $ 138,294        $ 239,185

Net realized gain (loss)

       892,953          782,617          (102,957 )          125,843

Net change in unrealized appreciation/depreciation

       (320,985 )          587,322          (97,935 )          400,819
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets resulting from operations

       777,723          1,599,610          (62,598 )          765,847
    

 

 

        

 

 

        

 

 

        

 

 

 

Net equalization credits and charges

       (6,813 )          (1,004 )          58,683          124,450
    

 

 

        

 

 

        

 

 

        

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

                         

Net investment income

       (146,582 )          (216,441 )          (87,042 )          (329,690 )

Net realized gains

                                 
    

 

 

        

 

 

        

 

 

        

 

 

 

Total distributions to shareholders

       (146,582 )          (216,441 )          (87,042 )          (329,690 )
    

 

 

        

 

 

        

 

 

        

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS

                         

Proceeds from sale of shares sold

       15,939,799          6,962,943          13,315,872          10,254,196

Cost of shares redeemed

       (7,466,856 )          (6,935,724 )                   (7,804,799 )

Net income equalization

       6,813          1,004          (58,683 )          (124,450 )

Other capital

                                 
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

       8,479,756          28,223          13,257,189          2,324,947
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease) in net assets during the period

       9,104,084          1,410,388          13,166,232          2,885,554
    

 

 

        

 

 

        

 

 

        

 

 

 

Net assets at beginning of period

       14,897,155          13,486,767          5,298,723          2,413,169
    

 

 

        

 

 

        

 

 

        

 

 

 

NET ASSETS AT END OF PERIOD

     $ 24,001,239        $ 14,897,155        $ 18,464,955        $ 5,298,723
    

 

 

        

 

 

        

 

 

        

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

     $ 161,275        $ 102,102        $ 47,373        $ (4,993 )
    

 

 

        

 

 

        

 

 

        

 

 

 

SHARES OF BENEFICIAL INTEREST:

                         

Shares sold

       200,000          100,000          250,000          200,000

Shares redeemed

       (100,000 )          (100,000 )                   (150,000 )
    

 

 

        

 

 

        

 

 

        

 

 

 

Net increase (decrease)

       100,000                   250,000          50,000
    

 

 

        

 

 

        

 

 

        

 

 

 

 

See accompanying notes to financial statements.

 

123


Table of Contents

    

    

 

 

 

SPDR MSCI World StrategicFactorsSM
ETF
   SPDR S&P Emerging Asia Pacific ETF    SPDR S&P Global Dividend ETF
Six Months
Ended

3/31/18
(Unaudited)
   Year Ended
9/30/17
   Six Months
Ended

3/31/18
(Unaudited)
   Year Ended
9/30/17
   Six Months
Ended

3/31/18
(Unaudited)
   Year Ended
9/30/17
   

    

    


                        
  $ 248,521      $ 523,246      $ 135,301      $ 6,803,975      $ 2,966,838      $ 4,815,094
    129,448        1,695,548        606,704        (2,099,858 )        15,595,456        2,573,035
   
    
390,782

       1,458,613        32,161,454        66,181,801        (13,977,455 )        7,158,254
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
 

 

768,751

       3,677,407        32,903,459        70,885,918        4,584,839        14,546,383
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
                                4,720        194,504
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

    


                        
    (257,129 )        (400,647 )        (6,080,034 )        (7,047,374 )        (3,118,194 )        (4,751,992 )
    (110,118 )                                   
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    (367,247 )        (400,647 )        (6,080,034 )        (7,047,374 )        (3,118,194 )        (4,751,992 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

    

    


                        
    7,668,909        19,119,111        63,512,781        29,445,089        83,089,999        57,947,434
           (7,165,424 )               (15,502,785 )        (69,138,491 )        (6,314,476 )
                                (4,720 )        (194,504 )
                  27,902        13,499              
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
 

 

7,668,909

       11,953,687        63,540,683        13,955,803        13,946,788        51,438,454
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    8,070,413        15,230,447        90,364,108        77,794,347        15,418,153        61,427,349
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    21,605,539        6,375,092        413,652,756        335,858,409        165,725,175        104,297,826
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
  $ 29,675,952      $ 21,605,539      $ 504,016,864      $ 413,652,756      $ 181,143,328      $ 165,725,175
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
   

$

    

156,145


     $ 164,753      $ (2,256,616 )      $ 3,688,117      $ (46,936 )      $ 104,420
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
 

 

    

                        
    100,000        300,000        600,000        300,000        1,150,000        900,000
           (100,000 )               (200,000 )        (950,000 )        (100,000 )
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 
    100,000        200,000        600,000        100,000        200,000        800,000
 

 

 

      

 

 

      

 

 

      

 

 

      

 

 

      

 

 

 

 

124


Table of Contents

SPDR INDEX SHARES FUNDS

STATEMENTS OF CHANGES IN NET ASSETS (continued)

 

 

 

     SPDR S&P Global Infrastructure ETF  
     Six Months
Ended
3/31/18
(Unaudited)
       Year Ended
9/30/17
 

INCREASE (DECREASE) IN NET ASSETS FROM OPERATIONS:

       

Net investment income (loss)

   $ 2,797,506        $ 4,524,990  

Net realized gain (loss)

     (70,932        (420,266

Net change in unrealized appreciation/depreciation

     (11,148,119        13,120,650  
  

 

 

      

 

 

 

Net increase (decrease) in net assets resulting from operations

     (8,421,545        17,225,374  
  

 

 

      

 

 

 

DISTRIBUTIONS TO SHAREHOLDERS FROM:

       

Net investment income

     (3,041,099        (3,938,322
  

 

 

      

 

 

 

FROM BENEFICIAL INTEREST TRANSACTIONS

       

Proceeds from sale of shares sold

     50,626,303          91,715,714  

Cost of shares redeemed

     (5,306,624        (9,475,992

Other capital

     76           
  

 

 

      

 

 

 

Net increase (decrease) in net assets from beneficial interest transactions

     45,319,755          82,239,722  
  

 

 

      

 

 

 

Net increase (decrease) in net assets during the period

     33,857,111          95,526,774  
  

 

 

      

 

 

 

Net assets at beginning of period

     181,376,950          85,850,176  
  

 

 

      

 

 

 

NET ASSETS AT END OF PERIOD

   $ 215,234,061        $ 181,376,950  
  

 

 

      

 

 

 

Undistributed (distribution in excess of) net investment income (loss)

   $ 1,172,955        $ 1,416,548  
  

 

 

      

 

 

 

SHARES OF BENEFICIAL INTEREST:

       

Shares sold

     1,000,000          1,900,000  

Shares redeemed

     (100,000        (200,000
  

 

 

      

 

 

 

Net increase (decrease)

     900,000          1,700,000  
  

 

 

      

 

 

 

 

See accompanying notes to financial statements.

 

125


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS

Selected data for a share outstanding throughout each period

 

 

 

    SPDR EURO STOXX Small Cap ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/4/14* -
9/30/14

Net asset value, beginning of period

    $ 62.56     $ 47.42     $ 46.83     $ 50.65     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.18       0.94       1.00       1.18       0.16

Net realized and unrealized gain (loss) (b)

      1.35       15.17       0.43       (4.00 )       (9.47 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      1.53       16.11       1.43       (2.82 )       (9.31 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.00 )(c)       0.01       (0.04 )       0.40      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Voluntary contribution from Adviser

                              0.07
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.14 )       (0.98 )       (0.80 )       (1.40 )       (0.11 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 63.95     $ 62.56     $ 47.42     $ 46.83     $ 50.65
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      2.43 %       34.30 %       3.14 %       (4.97 )%       (15.43 )%(e)

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 41,565     $ 18,769     $ 11,854     $ 11,708     $ 7,598

Ratios to average net assets:

                   

Total expenses

      0.45 %(f)       0.45 %       0.45 %       0.46 %       0.45 %(f)

Net investment income (loss)

      0.55 %(f)       1.79 %       2.13 %       2.33 %       0.89 %(f)

Portfolio turnover rate (g)

      25 %(h)       40 %       53 %       46 %       30 %(h)

 

 * Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than 0.005%.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) If the Adviser had not made a contribution during the period ended September 30, 2014, the total return would have been (15.54)%.
(f) Annualized.
(g) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(h) Not annualized.

 

See accompanying notes to financial statements.

 

126


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI ACWI IMI ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $   75.27     $   64.88     $   58.64     $   63.82     $   58.20     $   50.04
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.69       1.55       1.53       1.74       1.48       1.30

Net realized and unrealized gain (loss) (b)

      2.72       10.34       6.12       (5.17 )       5.39       8.16
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      3.41       11.89       7.65       (3.43 )       6.87       9.46
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (1.18 )       (1.50 )       (1.41 )       (1.75 )       (1.21 )       (1.28 )

Net realized gains

                        (0.00 )(c)       (0.04 )       (0.02 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (1.18 )       (1.50 )       (1.41 )       (1.75 )       (1.25 )       (1.30 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $   77.50     $   75.27     $   64.88     $   58.64     $   63.82     $   58.20
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      4.51 %       18.58 %       13.20 %       (5.61 )%       11.77 %       19.15 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 92,997     $ 90,321     $ 64,883     $ 35,186     $ 57,434     $ 5,820

Ratios to average net assets:

                       

Total expenses

      0.25 %(e)       0.25 %       0.25 %       0.25 %       0.25 %       0.25 %

Net investment income (loss)

      1.77 %(e)       2.25 %       2.48 %       2.70 %       2.31 %       2.40 %

Portfolio turnover rate (f)

      1 %(g)       2 %       2 %       3 %       0 %(h)       0 %(h)

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.
(h) Amount is less than 0.5%.

 

See accompanying notes to financial statements.

 

127


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI ACWI Low Carbon Target ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  For the
Period
11/26/14* -
9/30/15

Net asset value, beginning of period

    $ 86.02     $ 74.37     $ 67.90     $ 75.00
   

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

               

Net investment income (loss) (a)

      0.76       1.82       1.69       1.53

Net realized and unrealized gain (loss) (b)

      3.15       11.37       6.47       (7.64 )
   

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      3.91       13.19       8.16       (6.11 )
   

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

            0.17       0.02       0.03
   

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

               

Net investment income

      (0.86 )       (1.71 )       (1.66 )       (1.02 )

Net realized gains

                  (0.05 )      
   

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (0.86 )       (1.71 )       (1.71 )       (1.02 )
   

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 89.07     $ 86.02     $ 74.37     $ 67.90
   

 

 

     

 

 

     

 

 

     

 

 

 

Total return (c)

      4.52 %       18.16 %       12.22 %       (8.25 )%

Ratios and Supplemental Data:

               

Net assets, end of period (in 000s)

    $ 151,412     $ 146,234     $ 96,683     $ 81,474

Ratios to average net assets:

               

Total expenses

      0.30 %(d)       0.30 %       0.30 %       0.30 %(d)

Net expenses

      0.20 %(d)       0.20 %       0.20 %       0.20 %(d)

Net investment income (loss)

      1.70 %(d)       2.28 %       2.38 %       2.42 %(d)

Portfolio turnover rate (e)

      10 %(f)       12 %       12 %       4 %(f)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

128


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI Canada StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/11/14* -
9/30/14

Net asset value, beginning of period

    $ 59.62     $ 52.66     $ 46.60     $ 59.82     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.62       1.17       1.13       1.18       0.39

Net realized and unrealized gain (loss) (b)

      (2.24 )       6.80       5.90       (13.19 )       (0.55 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      (1.62 )       7.97       7.03       (12.01 )       (0.16 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      0.00 (c)       0.09       0.11       0.40      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.70 )       (1.10 )       (1.08 )       (1.61 )       (0.02 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 57.30     $ 59.62     $ 52.66     $ 46.60     $ 59.82
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      (2.78 )%       15.52 %       15.62 %       (19.84 )%       (0.26 )%

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 40,111     $ 38,753     $ 18,430     $ 9,319     $ 2,991

Ratios to average net assets:

                   

Total expenses

      0.30 %(e)       0.30 %       0.30 %       0.30 %       0.30 %(e)

Net investment income (loss)

      2.09 %(e)       2.11 %       2.30 %       2.21 %       2.06 %(e)

Portfolio turnover rate (f)

      9 %(g)       17 %       21 %       15 %       2 %(g)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

129


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI China A Shares IMI ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  For the
Period
10/29/15* -
9/30/16

Net asset value, beginning of period

    $ 23.57     $ 21.47     $ 25.00
   

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

           

Net investment income (loss) (a)

      (0.07 )       0.13       0.15

Net realized and unrealized gain (loss) (b)

      0.29       2.18       (3.43 )
   

 

 

     

 

 

     

 

 

 

Total from investment operations

      0.22       2.31       (3.28 )
   

 

 

     

 

 

     

 

 

 

Other capital

                  0.06
   

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

           

Net investment income

            (0.13 )       (0.31 )

Return of Capital

            (0.08 )      
   

 

 

     

 

 

     

 

 

 

Total distributions

            (0.21 )       (0.31 )
   

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 23.79     $ 23.57     $ 21.47
   

 

 

     

 

 

     

 

 

 

Total return (c)

      0.86 %       10.82 %       (12.92 )%

Ratios and Supplemental Data:

           

Net assets, end of period (in 000s)

    $ 2,379     $ 2,357     $ 2,147

Ratios to average net assets:

           

Total expenses

      0.66 %(d)       0.65 %       0.66 %(d)

Net investment income (loss)

      (0.62 )%(d)       0.60 %       0.74 %(d)

Portfolio turnover rate (e)

      8 %(f)       1 %       14 %(f)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

130


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI EAFE Fossil Fuel Reserves Free ETF
    Six Months
Ended
3/31/18
(Unaudited)
  For the
Period
10/25/16* -
9/30/17

Net asset value, beginning of period

    $ 70.74     $ 60.00
   

 

 

     

 

 

 

Income (loss) from investment operations:

       

Net investment income (loss) (a)

      0.75       1.72

Net realized and unrealized gain (loss) (b)

      0.62       10.56
   

 

 

     

 

 

 

Total from investment operations

      1.37       12.28
   

 

 

     

 

 

 

Net equalization credits and charges (a)

      0.02       0.02
   

 

 

     

 

 

 

Distributions to shareholders from:

       

Net investment income

      (0.46 )       (1.56 )

Net realized gains

      (0.25 )      
   

 

 

     

 

 

 

Total distributions

      (0.71 )       (1.56 )
   

 

 

     

 

 

 

Net asset value, end of period

    $ 71.42     $ 70.74
   

 

 

     

 

 

 

Total return (c)

      1.94 %       20.89 %

Ratios and Supplemental Data:

       

Net assets, end of period (in 000s)

    $ 71,418     $ 45,980

Ratios to average net assets:

       

Total expenses

      0.30 %(d)       0.30 %(d)

Net expenses

      0.20 %(d)       0.20 %(d)

Net investment income (loss)

      2.08 %(d)       2.83 %(d)

Portfolio turnover rate (e)

      2 %(f)       9 %(f)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

131


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI EAFE StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/4/14* -
9/30/14

Net asset value, beginning of period

    $ 63.16     $ 55.43     $ 52.68     $ 57.28     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.65       1.90       1.56       1.60       0.45

Net realized and unrealized gain (loss) (b)

      1.08       6.86       2.70       (4.56 )       (3.14 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      1.73       8.76       4.26       (2.96 )       (2.69 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.63 )       (1.03 )       (1.51 )       (1.64 )       (0.03 )

Net realized gains

                        (0.00 )(c)      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (0.63 )       (1.03 )       (1.51 )       (1.64 )       (0.03 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 64.26     $ 63.16     $ 55.43     $ 52.68     $ 57.28
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      2.72 %       15.92 %       8.21 %       (5.34 )%       (4.48 )%

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 257,035     $ 192,644     $ 8,315     $ 5,268     $ 5,728

Ratios to average net assets:

                   

Total expenses

      0.30 %(e)       0.30 %       0.30 %       0.30 %       0.30 %(e)

Net investment income (loss)

      2.00 %(e)       3.20 %       2.89 %       2.80 %       2.35 %(e)

Portfolio turnover rate (f)

      5 %(g)       9 %       20 %       14 %       0 %(g)(h)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.
(h) Amount shown represents less than 0.5%.

 

See accompanying notes to financial statements.

 

132


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF
    Six Months
Ended
3/31/18
(Unaudited)
  For the
Period
10/25/16* -
9/30/17

Net asset value, beginning of period

    $ 65.27     $ 55.00
   

 

 

     

 

 

 

Income (loss) from investment operations:

       

Net investment income (loss) (a)

      0.38       1.38

Net realized and unrealized gain (loss) (b)

      4.85       9.81
   

 

 

     

 

 

 

Total from investment operations

      5.23       11.19
   

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.01 )       0.17
   

 

 

     

 

 

 

Other capital

      0.01       0.03
   

 

 

     

 

 

 

Distributions to shareholders from:

       

Net investment income

      (0.24 )       (1.12 )

Net realized gains

      (0.44 )      
   

 

 

     

 

 

 

Total distributions

      (0.68 )       (1.12 )
   

 

 

     

 

 

 

Net asset value, end of period

    $ 69.82     $ 65.27
   

 

 

     

 

 

 

Total return (c)

      7.94 %       21.02 %

Ratios and Supplemental Data:

       

Net assets, end of period (in 000s)

    $ 24,437     $ 16,318

Ratios to average net assets:

       

Total expenses

      0.30 %(d)       0.30 %(d)

Net investment income (loss)

      1.10 %(d)       2.44 %(d)

Portfolio turnover rate (e)

      1 %(f)       2 %(f)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.

 

See accompanying notes to financial statements.

 

133


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI Emerging Markets StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/4/14* -
9/30/14

Net asset value, beginning of period

    $ 60.69     $ 53.58     $ 47.58     $ 59.59     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.39       1.40       1.27       1.58       0.77

Net realized and unrealized gain (loss) (b)

      4.69       6.69       5.69       (12.48 )       (1.23 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      5.08       8.09       6.96       (10.90 )       (0.46 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.02       0.01       0.05       0.20       0.06
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.94 )       (0.99 )       (1.01 )       (1.31 )       (0.01 )

Net realized gains

                        (0.00 )(c)      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (0.94 )       (0.99 )       (1.01 )       (1.31 )       (0.01 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 64.85     $ 60.69     $ 53.58     $ 47.58     $ 59.59
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      8.42 %       15.39 %       15.00 %       (18.29 )%       (0.65 )%

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 321,001     $ 213,945     $ 116,539     $ 71,371     $ 5,959

Ratios to average net assets:

                   

Total expenses

      0.30 %(e)       0.30 %       0.30 %       0.30 %       0.31 %(e)

Net investment income (loss)

      1.22 %(e)       2.50 %       2.59 %       2.82 %       3.85 %(e)

Portfolio turnover rate (f)

      7 %(g)       17 %       34 %       23 %       0 %(g)(h)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.
(h) Amount shown represents less than 0.5%.

 

See accompanying notes to financial statements.

 

134


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI Germany StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/11/14* -
9/30/14

Net asset value, beginning of period

    $ 63.06     $ 52.12     $ 48.44     $ 53.58     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.03       1.39 (b)       1.20       1.24       0.02 (c)

Net realized and unrealized gain (loss) (d)

      0.92       10.33       3.33       (5.39 )       (6.44 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      0.95       11.72       4.53       (4.15 )       (6.42 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.04 )       0.58       0.20       0.18      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.10 )       (1.36 )       (1.05 )       (1.17 )       (0.00 )(e)
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 63.87     $ 63.06     $ 52.12     $ 48.44     $ 53.58
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (f)

      1.44 %       23.78 %(b)       9.99 %       (7.64 )%       (10.70 )%(c)

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 9,580     $ 18,917     $ 13,031     $ 9,688     $ 5,358

Ratios to average net assets:

                   

Total expenses

      0.30 %(g)       0.30 %       0.30 %       0.30 %       0.30 %(g)

Net investment income (loss)

      0.08 %(g)       2.44 %(b)       2.37 %       2.26 %       0.11 %(c)(g)

Portfolio turnover rate (h)

      10 %(i)       19 %       27 %       18 %       1 %(i)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Net investment income per share and ratio of net investment income to average net assets reflect receipt of special dividend from portfolio holding. The resulting increase to net investment income amounted to $0.29 per share and 0.50% of average net assets. If the special dividends were not received during the year ended September 30, 2017, the total return would have been 23.40%.
(c) Net investment income per share and ratio of net investment income to average net assets reflect receipt of special dividends from portfolio holdings. The resulting increase to net investment income amounted to $0.02 per share and 0.04% of average net assets. If the special dividends were not received during the year ended September 30, 2014, the total return would have been (10.73)%.
(d) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(e) Amount is less than $0.005 per share.
(f) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(g) Annualized.
(h) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(i) Not annualized.

 

See accompanying notes to financial statements.

 

135


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI Japan StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/11/14* -
9/30/14

Net asset value, beginning of period

    $ 74.49     $ 67.43     $ 59.76     $ 60.46     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.96       1.16       0.95       0.88       0.41

Net realized and unrealized gain (loss) (b)

      5.31       6.99       7.42       (0.97 )       0.05
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      6.27       8.15       8.37       (0.09 )       0.46
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      (0.03 )       (0.01 )       0.27       0.24      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.73 )       (1.08 )       (0.96 )       (0.84 )      

Net realized gains

                  (0.01 )       (0.01 )      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (0.73 )       (1.08 )       (0.97 )       (0.85 )      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 80.00     $ 74.49     $ 67.43     $ 59.76     $ 60.46
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (c)

      8.40 %       12.21 %       14.55 %       0.21 %       0.76 %

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 24,001     $ 14,897     $ 13,487     $ 11,951     $ 6,046

Ratios to average net assets:

                   

Total expenses

      0.30 %(d)       0.30 %       0.30 %       0.30 %       0.30 %(d)

Net investment income (loss)

      2.44 %(d)       1.67 %       1.48 %       1.38 %       2.21 %(d)

Portfolio turnover rate (e)

      10 %(f)       22 %       23 %       23 %       0 %(f)(g)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(d) Annualized.
(e) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(f) Not annualized.
(g) Amount is less than 0.5%.

 

See accompanying notes to financial statements.

 

136


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI United Kingdom StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/11/14* -

9/30/14

Net asset value, beginning of period

    $ 52.99     $ 48.26     $ 50.14     $ 57.08     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.92       2.26       1.82       2.18       0.62 (b)

Net realized and unrealized gain (loss) (c)

      (0.67 )       3.20       (1.77 )       (7.43 )       (3.53 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      0.25       5.46       0.05       (5.25 )       (2.91 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      0.39       1.18             0.34      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.87 )       (1.91 )       (1.93 )       (2.03 )       (0.01 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 52.76     $ 52.99     $ 48.26     $ 50.14     $ 57.08
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      1.19 %       14.13 %       0.18 %       (8.85 )%       (4.86 )%(b)

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 18,465     $ 5,299     $ 2,413     $ 2,507     $ 5,708

Ratios to average net assets:

                   

Total expenses

      0.30 %(e)       0.30 %       0.31 %       0.30 %       0.30 %(e)

Net investment income (loss)

      3.48 %(e)       4.49 %       3.71 %       3.90 %       3.40 %(b)(e)

Portfolio turnover rate (f)

      9 %(g)       27 %       24 %       31 %       0 %(g)(h)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Net investment income per share and ratio of net investment income to average net assets reflect receipt of special dividends from portfolio holdings. The resulting increase to net investment income amounted to $0.10 per share and 0.18% of average net assets. If the special dividends were not received during the year ended September 30, 2014, the total return would have been (5.02)%.
(c) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.
(h) Amount shown represents less than 0.5%.

 

See accompanying notes to financial statements.

 

137


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR MSCI World StrategicFactorsSM ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  For the
Period
6/4/14* -
9/30/14

Net asset value, beginning of period

    $ 72.02     $ 63.75     $ 57.96     $ 59.95     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                   

Net investment income (loss) (a)

      0.72       1.58       1.40       1.35       0.37

Net realized and unrealized gain (loss) (b)

      2.68       8.20       6.46       (2.04 )       (0.38 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      3.40       9.78       7.86       (0.69 )       (0.01 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                   

Net investment income

      (0.86 )       (1.51 )       (1.37 )       (1.30 )       (0.04 )

Net realized gains

      (0.37 )             (0.70 )       (0.00 )(c)      
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (1.23 )       (1.51 )       (2.07 )       (1.30 )       (0.04 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 74.19     $ 72.02     $ 63.75     $ 57.96     $ 59.95
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      4.69 %       15.53 %       13.78 %       (1.25 )%       (0.02 )%

Ratios and Supplemental Data:

                   

Net assets, end of period (in 000s)

    $ 29,676     $ 21,606     $ 6,375     $ 5,796     $ 5,995

Ratios to average net assets:

                   

Total expenses

      0.30 %(e)       0.30 %       0.30 %       0.30 %       0.30 %(e)

Net investment income (loss)

      1.93 %(e)       2.32 %       2.29 %       2.18 %       1.90 %(e)

Portfolio turnover rate (f)

      5 %(g)       12 %       18 %       13 %       0 %(g)(h)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.
(h) Amount shown represents less than 0.5%.

 

See accompanying notes to financial statements.

 

138


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Emerging Asia Pacific ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 98.49     $ 81.92     $ 72.62     $ 83.84     $ 75.37     $ 73.54
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.03       1.71       1.38       1.83       1.74       1.62

Net realized and unrealized gain (loss) (b)

      7.85       16.67       10.81       (11.83 )       7.95       1.96
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      7.88       18.38       12.19       (10.00 )       9.69       3.58
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.01       0.00 (c)                        
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (1.38 )       (1.81 )       (2.89 )       (1.22 )       (1.22 )       (1.75 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 105.00     $ 98.49     $ 81.92     $ 72.62     $ 83.84     $ 75.37
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      8.03 %       23.02 %       17.24 %       (12.15 )%       12.99 %       4.91 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 504,017     $ 413,653     $ 335,858     $ 428,447     $ 687,494     $ 399,460

Ratios to average net assets:

                       

Total expenses

      0.49 %(e)       0.49 %       0.49 %       0.53 %       0.59 %       0.59 %

Net investment income (loss)

      0.06 %(e)       1.98 %       1.85 %       2.14 %       2.17 %       2.14 %

Portfolio turnover rate (f)

      1 %(g)       4 %       1 %       28 %       15 %       16 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

139


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Global Dividend ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  For the
Period
5/29/13* -
9/30/13

Net asset value, beginning of period

    $ 67.64     $ 63.21     $ 58.60     $ 64.89     $ 63.33     $ 60.00
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      1.16       2.44       2.56       2.70       2.99       0.75

Net realized and unrealized gain (loss) (b)

      0.78       4.19       4.87       (6.27 )       1.32       3.20
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      1.94       6.63       7.43       (3.57 )       4.31       3.95
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net equalization credits and charges (a)

      0.00 (c)       0.10       0.08       0.39       0.06       0.01
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (1.22 )       (2.30 )       (2.61 )       (2.61 )       (2.81 )       (0.63 )

Net realized gains

                  (0.29 )       (0.50 )            
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total distributions

      (1.22 )       (2.30 )       (2.90 )       (3.11 )       (2.81 )       (0.63 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 68.36     $ 67.64     $ 63.21     $ 58.60     $ 64.89     $ 63.33
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      2.82 %       10.83 %       13.16 %       (5.17 )%       6.85 %       6.61 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 181,143     $ 165,725     $ 104,298     $ 73,250     $ 29,200     $ 9,499

Ratios to average net assets:

                       

Total expenses

      0.40 %(e)       0.40 %       0.40 %       0.40 %       0.40 %       0.40 %(e)

Net investment income (loss)

      3.34 %(e)       3.76 %       4.27 %       4.16 %       4.46 %       3.61 %(e)

Portfolio turnover rate (f)

      39 %(g)       47 %       49 %       31 %       37 %       10 %(g)

 

* Commencement of operations.
(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

140


Table of Contents

SPDR INDEX SHARES FUNDS

FINANCIAL HIGHLIGHTS (continued)

Selected data for a share outstanding throughout each period

 

 

 

    SPDR S&P Global Infrastructure ETF
    Six Months
Ended
3/31/18
(Unaudited)
  Year
Ended
9/30/17
  Year
Ended
9/30/16
  Year
Ended
9/30/15
  Year
Ended
9/30/14
  Year
Ended
9/30/13

Net asset value, beginning of period

    $ 51.82     $ 47.69     $ 43.31     $ 48.84     $ 43.51     $ 40.42
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Income (loss) from investment operations:

                       

Net investment income (loss) (a)

      0.75       1.73       1.58       1.46       1.68       1.99

Net realized and unrealized gain (loss) (b)

      (2.76 )       4.03       4.23       (5.62 )       5.20       2.71
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total from investment operations

      (2.01 )       5.76       5.81       (4.16 )       6.88       4.70
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Other capital

      0.00 (c)                              
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Distributions to shareholders from:

                       

Net investment income

      (0.89 )       (1.63 )       (1.43 )       (1.37 )       (1.55 )       (1.61 )
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Net asset value, end of period

    $ 48.92     $ 51.82     $ 47.69     $ 43.31     $ 48.84     $ 43.51
   

 

 

     

 

 

     

 

 

     

 

 

     

 

 

     

 

 

 

Total return (d)

      (3.99 )%       12.35 %       13.85 %       (8.77 )%       15.95 %       11.99 %

Ratios and Supplemental Data:

                       

Net assets, end of period (in 000s)

    $ 215,234     $ 181,377     $ 85,850     $ 56,299     $ 112,333     $ 52,217

Ratios to average net assets:

                       

Total expenses

      0.40 %(e)       0.40 %       0.40 %       0.40 %       0.41 %       0.50 %

Net investment income (loss)

      2.95 %(e)       3.54 %       3.55 %       3.03 %       3.51 %       4.79 %

Portfolio turnover rate (f)

      6 %(g)       22 %       21 %       7 %       14 %       74 %

 

(a) Per share numbers have been calculated using average shares outstanding, which more appropriately presents the per share data for the period.
(b) Amounts shown in this caption for a share outstanding may not accord with the change in aggregate gains and losses in securities for the fiscal period because of the timing of sales and repurchases of Fund shares in relation to fluctuating market values for the Fund.
(c) Amount is less than $0.005 per share.
(d) Total return is calculated assuming a purchase of shares at net asset value on the first day and a sale at net asset value on the last day of each period reported. Distributions are assumed, for the purpose of this calculation, to be reinvested at net asset value per share on the respective payment dates of each distribution. Total returns for periods of less than one year are not annualized. Broker commission charges are not included in this calculation.
(e) Annualized.
(f) Portfolio turnover rate excludes securities received or delivered from in-kind processing of creations or redemptions.
(g) Not annualized.

 

See accompanying notes to financial statements.

 

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1. Organization

SPDR Index Shares Funds (the “Trust”), a Massachusetts business trust, registered under the Investment Company Act of 1940, as amended (“1940 Act”), is an open-end management investment company.

As of March 31, 2018, the Trust consists of thirty (30) series, each of which represents a separate series of beneficial interest in the Trust. The Declaration of Trust permits the Board of Trustees of the Trust (the “Board”) to authorize the issuance of an unlimited number of shares of beneficial interest at $0.01 par value. The financial statements herein relate to the following series (each a “Fund”, and collectively, the “Funds”):

 

SPDR EURO STOXX Small Cap ETF

SPDR MSCI ACWI IMI ETF

SPDR MSCI ACWI Low Carbon Target ETF

SPDR MSCI Canada StrategicFactorsSM ETF

SPDR MSCI China A Shares IMI ETF

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

SPDR MSCI EAFE StrategicFactorsSM ETF

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

SPDR MSCI Germany StrategicFactorsSM ETF

SPDR MSCI Japan StrategicFactorsSM ETF

SPDR MSCI United Kingdom StrategicFactorsSM ETF

SPDR MSCI World StrategicFactorsSM ETF

SPDR S&P Emerging Asia Pacific ETF

SPDR S&P Global Dividend ETF

SPDR S&P Global Infrastructure ETF

 

Each Fund is classified as a non-diversified investment company under the 1940 Act.

Under the Trust’s organizational documents, its officers and trustees are indemnified against certain liabilities arising out of the performance of their duties to the Trust. Additionally, in the normal course of business, the Trust enters into contracts with service providers that contain general indemnification clauses. The Trust’s maximum exposure under these arrangements is unknown as this would involve future claims that may be made against the Trust that have not yet occurred.

 

2. Summary of Significant Accounting Policies

The following is a summary of significant accounting policies followed by the Trust in the preparation of its financial statements:

The preparation of financial statements in accordance with U.S. generally accepted accounting principles (“U.S. GAAP”) requires management to make estimates and assumptions that affect the reported amounts and disclosures in the financial statements. Actual results could differ from those estimates. Each Fund is an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies.

Security Valuation

Each Fund’s investments are valued at fair value each day that the New York Stock Exchange (“NYSE”) is open and, for financial reporting purposes, as of the report date should the reporting period end on a day that the NYSE is not open. Fair value is generally defined as the price a fund would receive to sell an asset or pay to transfer a liability in an orderly transaction between market participants at the measurement date. By its nature, a fair value price is a good faith estimate of the valuation in a current sale and may not reflect an actual market price. The investments of each Fund are valued pursuant to the policy and procedures developed by the Oversight Committee (the “Committee”) and approved by the Board. The Committee provides oversight of the valuation of investments for the Funds. The Board has responsibility for determining the fair value of investments.

Valuation techniques used to value each Fund’s investments by major category are as follows:

 

  Equity investments (including registered investment companies that are exchange-traded funds) traded on a recognized securities exchange for which market quotations are readily available are valued at the last sale price or official closing price, as applicable, on the primary market or exchange on which they trade. Equity investments traded on a recognized exchange for which there were no sales on that day are valued at the last published sale price or at fair value.

 

 

Rights and warrants are valued at the last reported sale price obtained from independent pricing services or brokers on the

 

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  valuation date. If no price is obtained from pricing services or brokers, valuation will be based upon the intrinsic value, pursuant to the valuation policy and procedures approved by the Board.

 

  Investments in registered investment companies (including money market funds) or other unitized pooled investment vehicles that are not traded on an exchange are valued at that day’s published net asset value (“NAV”) per share or unit.

 

  Exchange-traded futures contracts are valued at the closing settlement price on the primary market on which they are traded most extensively. Exchange-traded futures contracts traded on a recognized exchange for which there were no sales on that day are valued at the last reported sale price obtained from independent pricing services or brokers or at fair value.

In the event prices or quotations are not readily available or that the application of these valuation methods results in a price for an investment that is deemed to be not representative of the fair value of such investment, fair value will be determined in good faith by the Committee, in accordance with the valuation policy and procedures approved by the Board.

Fair value pricing could result in a difference between the prices used to calculate a Fund’s NAV and the prices used by the Funds’ underlying benchmarks. Various inputs are used in determining the value of the Funds’ investments.

The Funds value their assets and liabilities at fair value using a fair value hierarchy consisting of three broad levels that prioritize the inputs to valuation techniques giving the highest priority to readily available unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements) when market prices are not readily available or reliable. The categorization of a value determined for an investment within the hierarchy is based upon the pricing transparency of the investment and is not necessarily an indication of the risk associated with investing in it.

The three levels of the fair value hierarchy are as follows:

 

  Level 1 – Unadjusted quoted prices in active markets for an identical asset or liability;

 

  Level 2 – Inputs other than quoted prices included within Level 1 that are observable for the asset or liability either directly or indirectly, including quoted prices for similar assets or liabilities in active markets, quoted prices for identical or similar assets or liabilities in markets that are not considered to be active, inputs other than quoted prices that are observable for the asset or liability (such as exchange rates, financing terms, interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs; and

 

  Level 3 – Unobservable inputs for the asset or liability, including the Committee’s assumptions used in determining the fair value of investments.

The value of each Fund’s investments according to the fair value hierarchy as of March 31, 2018, is disclosed in each Fund’s respective Schedule of Investments.

Changes in valuation techniques may result in transfers in or out of an assigned level within the fair value hierarchy. Transfers between different levels of the fair value hierarchy are recognized at the end of the reporting period.

The SPDR MSCI China A Shares IMI ETF had transfers of securities from Level 1 to Level 2 during the period ended March 31, 2018 in the amounts of $99,016. At March 31, 2018, these investments were valued using alternative valuation procedures under the valuation policy and procedures adopted by the Board. At September 30, 2017, these investments were valued at exchange closing prices in accordance with the Fund’s valuation policy.

Investment Transactions and Income Recognition

Investment transactions are accounted for on trade date for financial reporting purposes. Realized gains and losses from the sale or disposition of investments and foreign exchange transactions, if any, are determined using the identified cost method.

Dividend income and capital gain distributions, if any, are recognized on the ex-dividend date, net of any foreign taxes withheld at source, if any. Non-cash dividends received in the form of stock are recorded as dividend income at fair value.

 

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Certain Funds invest in real estate investment trusts (“REITs”). REITs determine the tax character of their distributions annually and may characterize a portion of their distributions as a return of capital or capital gain. The Funds’ policy is to record all REIT distributions initially as dividend income and re-designate the prior calendar year’s to return of capital or capital gain distributions at year end based on information provided by the REIT and/or SSGA Funds Management, Inc.’s (the “Adviser” or “SSGA FM”) estimates of such re-designations for which actual information has not yet been reported.

Expenses

Certain expenses, which are directly identifiable to a specific Fund, are applied to that Fund within the Trust. Other expenses which cannot be attributed to a specific Fund are allocated in such a manner as deemed equitable, taking into consideration the nature and type of expense and the relative net assets of the Funds within the Trust.

Foreign Currency Translation

The accounting records of the Funds are maintained in U.S. dollars. Foreign currencies as well as investment securities and other assets and liabilities denominated in a foreign currency are translated to U.S. dollars using exchange rates at period end. Purchases and sales of securities, income receipts and expense payments denominated in foreign currencies are translated into U.S. dollars at the prevailing exchange rate on the respective dates of the transactions.

The effects of exchange rate fluctuations on investments are included with the net realized and unrealized gain (loss) on investment securities. Other foreign currency transactions resulting in realized and unrealized gain (loss) are disclosed separately.

Foreign Taxes

The Funds may be subject to foreign taxes (a portion of which may be reclaimable) on income, stock dividends, realized and unrealized capital gains on investments or certain foreign currency transactions. Foreign taxes are recorded in accordance with SSGA FM’s understanding of the applicable foreign tax regulations and rates that exist in the foreign jurisdictions in which the Funds invest. These foreign taxes, if any, are paid by the Funds and are reflected in the Statements of Operations, if applicable. Foreign taxes payable or deferred as of March 31, 2018, if any, are disclosed in the Funds’ Statements of Assets and Liabilities.

Equalization

Certain Funds in the Trust follow the accounting practice known as “Equalization” by which a portion of the proceeds from sales and costs of reacquiring Fund shares, equivalent on a per share basis to the amount of distributable net investment income on the date of the transaction, is credited or charged to undistributed net investment income. As a result, undistributed net investment income per share is unaffected by sales or reacquisition of Fund shares. Amounts related to Equalization can be found on the Statements of Changes in Net Assets.

The following Funds utilized equalization during the period ended March 31, 2018:

 

SPDR EURO STOXX Small Cap ETF

SPDR MSCI Canada StrategicFactorsSM ETF

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

SPDR MSCI Germany StrategicFactorsSM ETF

SPDR MSCI Japan StrategicFactorsSM ETF

SPDR MSCI United Kingdom StrategicFactorsSM ETF

SPDR S&P Global Dividend ETF

 

 

Distributions

The following Fund declares and distributes from net investment income, if any, to its shareholders quarterly:

SPDR S&P Global Dividend ETF

The following Funds declare and distribute from net investment income, if any, to its shareholders semi-annually:

 

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SPDR EURO STOXX Small Cap ETF

SPDR MSCI ACWI IMI ETF

SPDR MSCI ACWI Low Carbon Target ETF

SPDR MSCI Canada StrategicFactorsSM ETF

SPDR MSCI China A Shares IMI ETF

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

SPDR MSCI EAFE StrategicFactorsSM ETF

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

SPDR MSCI Germany StrategicFactorsSM ETF

SPDR MSCI Japan StrategicFactorsSM ETF

SPDR MSCI United Kingdom StrategicFactorsSM ETF

SPDR MSCI World StrategicFactorsSM ETF

SPDR S&P Emerging Asia Pacific ETF

SPDR S&P Global Infrastructure ETF

 

Net realized capital gains, if any, are distributed annually. Dividends may be declared and paid more frequently or at any other times to improve index tracking or to comply with the distribution requirements of the Internal Revenue Code. The amount and character of income and capital gains to be distributed are determined in accordance with applicable tax regulations which may differ from net investment income and realized gains recognized for U.S. GAAP purposes.

 

3. Derivative Financial Instruments

Futures Contracts

Certain Funds may enter into futures contracts to meet the Funds’ objectives. A futures contract is a standardized, exchange-traded agreement to buy or sell a financial instrument at a set price on a future date. Upon entering into a futures contract, the Fund is required to deposit with the broker, cash or securities in an amount equal to the minimum initial margin requirements of the clearing house. Subsequent payments are made or received by the Funds equal to the daily change in the contract value and are recorded as variation margin receivable or payable with a corresponding offset to unrealized gains or losses. The Funds recognize a realized gain or loss when the contract is closed.

Losses may arise if the value of a futures contract decreases due to unfavorable changes in the market rates or values of the underlying instrument during the term of the contract or if the counterparty does not perform under the contract. The use of futures contracts also involves the risk that the movements in the price of the futures contracts do not correlate the movement of the assets underlying such contracts.

For the period ended March 31, 2018, the SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF entered into futures contracts for return enhancement, hedging and exposing cash reserves to markets.

The following tables summarize the value of the Fund’s derivative instruments as of March 31, 2018, and the related location in the accompanying Statement of Assets and Liabilities and Statement of Operations, presented by primary underlying risk exposure:

 

    Asset Derivatives
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

 

                   

Futures Contracts

    $     $     $     $ 21,798     $     $ 21,798
    Net Realized Gain (Loss)
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

 

                   

Futures Contracts

    $     $     $     $ (17,389 )     $     $ (17,389 )

 

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    Net Change in Unrealized Appreciation (Depreciation)
    Interest Rate
Contracts
Risk
  Foreign
Exchange
Contracts
Risk
  Credit
Contracts
Risk
  Equity
Contracts
Risk
  Commodity
Contracts
Risk
  Total

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

 

                   

Futures Contracts

    $     $     $     $ 35,575     $     $ 35,575

 

4. Fees and Transactions with Affiliates

Advisory Fee

The Trust, on behalf of each Fund, has entered into an Investment Advisory Agreement (the “Agreement” ) with SSGA FM. For its advisory services to the Funds, facilities furnished, and expenses borne by the Adviser, each Fund pays the Adviser a fee accrued daily and paid quarterly, based on a percentage of each Fund’s average daily net assets as shown in the following table:

 

    Annual Rate

SPDR EURO STOXX Small Cap ETF

      0.45 %

SPDR MSCI ACWI IMI ETF

      0.25

SPDR MSCI ACWI Low Carbon Target ETF

      0.30

SPDR MSCI Canada StrategicFactorsSM ETF

      0.30

SPDR MSCI China A Shares IMI ETF

      0.65

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

      0.30

SPDR MSCI EAFE StrategicFactorsSM ETF

      0.30

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

      0.30

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

      0.30

SPDR MSCI Germany StrategicFactorsSM ETF

      0.30

SPDR MSCI Japan StrategicFactorsSM ETF

      0.30

SPDR MSCI United Kingdom StrategicFactorsSM ETF

      0.30

SPDR MSCI World StrategicFactorsSM ETF

      0.30

SPDR S&P Emerging Asia Pacific ETF

      0.49

SPDR S&P Global Dividend ETF

      0.40

SPDR S&P Global Infrastructure ETF

      0.40

The Adviser pays all operating expenses of each Fund other than management fee, distribution fee pursuant to each Fund’s Distribution and Service Plan, if any, brokerage expenses, taxes, interest, fees and expenses of the Independent Trustees (including any Trustees’ counsel fees, acquired fund fees and expenses, litigation expenses and other extraordinary expenses).

The Adviser has contractually agreed to waive its management fee and reimburse certain expenses, until January 31, 2019, so that the net annual Fund operating expenses of the SPDR MSCI ACWI Low Carbon Target ETF and the SPDR MSCI EAFE Fossil Fuel Reserves Free ETF will be limited to 0.20% of each Fund’s average daily net assets before application of any fees and expenses not paid by the Adviser under the Investment Advisory Agreement. Such fees and expenses paid by the Adviser are limited to certain direct operating expenses of the Fund and, therefore, do not include the Fund’s acquired fund fees and expenses, if any. The contractual fee waiver does not provide for the recoupment by the Adviser of any fees the Adviser previously waived. The Adviser may continue the waiver from year to year, but there is no guarantee that the Adviser will do so and after January 31, 2019, the waiver may be cancelled or modified at any time. For the period ended March 31, 2018, the SPDR MSCI ACWI Low Carbon Target ETF and the SPDR MSCI EAFE Fossil Fuel Reserves Free ETF waived $77,544 and $27,146, respectively.

 

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Administrator, Custodian, Sub-Administrator and Transfer Agent Fees

SSGA FM serves as administrator and State Street, an affiliate of the Adviser, serves as custodian, sub-administrator and transfer agent. State Street receives fees for its services as custodian, sub-administrator and transfer agent from the Adviser.

Distributor

Distributor

State Street Global Advisors Funds Distributors, LLC (“SSGA FD” or the “Distributor”), an affiliate of the Adviser, serves as the Distributor of the Trust.

Other Transactions with Affiliates - Securities Lending

State Street, an affiliate of the Funds, acts as the securities lending agent for the Funds, pursuant to an amended and restated securities lending authorization agreement dated January 6, 2017.

Proceeds collected by State Street on investment of cash collateral or any fee income are allocated as follows (after deduction of such other amounts payable to State Street under the terms of the securities lending agreement): 85% payable to the Fund, and 15% payable to State Street.

In addition, cash collateral from lending activities is invested in the State Street Navigator Securities Lending Government Money Market Portfolio, an affiliated money market fund, for which SSGA FM serves as investment adviser. See Note 9 for additional information regarding securities lending.

Other Transactions with Affiliates

The Funds may invest in affiliated entities, including securities issued by State Street Corporation, affiliated funds, or entities deemed to be affiliates as a result of the Funds owning more than five percent of the entity’s voting securities or outstanding shares. Amounts relating to these transactions during the period ended March 31, 2018, are disclosed in the Schedules of Investments.

 

5. Trustees’ Fees

The fees and expenses of the Trust’s trustees , who are not “interested persons” of the Trust, as defined in the 1940 Act (“Independent Trustees”), are paid directly by the Funds. The Independent Trustees are reimbursed for travel and other out-of-pocket expenses in connection with meeting attendance and industry seminars.

 

6. Investment Transactions

Purchases and sales of investments (excluding in-kind transactions, short term investments and derivative contracts) for the period ended March 31, 2018, were as follows:

 

    Purchases     Sales  

SPDR EURO STOXX Small Cap ETF

  $ 30,787,192     $ 8,398,059  

SPDR MSCI ACWI IMI ETF

    933,368       1,828,732  

SPDR MSCI ACWI Low Carbon Target ETF

      14,762,701         15,300,576  

SPDR MSCI Canada StrategicFactorsSM ETF

    6,598,252       3,457,074  

SPDR MSCI China A Shares IMI ETF

    181,290       213,672  

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

    26,451,910       1,037,088  

SPDR MSCI EAFE StrategicFactorsSM ETF

    10,821,289       10,066,912  

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

    6,541,201       199,640  

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

    59,697,689       17,800,341  

SPDR MSCI Germany StrategicFactorsSM ETF

    1,698,125       1,721,847  

 

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    Purchases     Sales  

SPDR MSCI Japan StrategicFactorsSM ETF

  $ 17,441,437     $ 9,006,002  

SPDR MSCI United Kingdom StrategicFactorsSM ETF

    14,116,632       801,203  

SPDR MSCI World StrategicFactorsSM ETF

    8,789,107       1,297,777  

SPDR S&P Emerging Asia Pacific ETF

    63,573,521       3,288,731  

SPDR S&P Global Dividend ETF

    150,944,744       137,834,631  

SPDR S&P Global Infrastructure ETF

    12,020,473       11,706,640  

For the period ended March 31, 2018, the following Funds had in-kind contributions, redemptions and net realized gains/losses in the amounts as follows:

 

    In-kind
Contributions
    In-kind
Redemptions
    In-kind Net
Realized
Gains/(Losses)
 

SPDR EURO STOXX Small Cap ETF

  $ 22,315,246     $     $  

SPDR MSCI Canada StrategicFactorsSM ETF

    3,078,721              

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

    24,360,468              

SPDR MSCI EAFE StrategicFactorsSM ETF

    81,878,209       19,001,122       4,152,487  

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

    3,606,791              

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

    48,811,097              

SPDR MSCI Germany StrategicFactorsSM ETF

          10,100,611       1,893,039  

SPDR MSCI Japan StrategicFactorsSM ETF

    15,634,074       7,317,402       892,635  

SPDR MSCI United Kingdom StrategicFactorsSM ETF

    13,316,537              

SPDR MSCI World StrategicFactorsSM ETF

    7,407,940              

SPDR S&P Emerging Asia Pacific ETF

    41,659,363              

SPDR S&P Global Dividend ETF

    80,286,696       69,705,255       16,127,913  

SPDR S&P Global Infrastructure ETF

    50,588,931       5,306,994       1,281,487  

 

7. Shareholder Transactions

Each Fund issues and redeems its shares, at NAV, by each Fund only in aggregations of a specified number of shares or multiples thereof (“Creation Units”). Except when aggregated in Creation Units, shares of each Fund are not redeemable. Transactions in capital shares for each Fund are disclosed in detail in the Statements of Changes in Net Assets.

The consideration for the purchase of Creation Units of a Fund may consist of the in-kind deposit of a designated portfolio of securities and a specified amount of cash. Investors purchasing and redeeming Creation Units may pay a purchase transaction fee and a redemption transaction fee directly to the Trust and/or custodian, to offset transfer and other transaction costs associated with the issuance and redemption of Creation Units, including Creation Units for cash. An additional variable fee may be charged for certain transactions. Such variable charges, if any, are included in “Other Capital” on the Statements of Changes on Net Assets.

 

8. Income Tax Information

The Funds have qualified and intend to continue to qualify as regulated investment companies under Subchapter M of the Internal Revenue Code of 1986, as amended. Each Fund will not be subject to federal income taxes to the extent it distributes its taxable income, including any net realized capital gains, for each fiscal year. Therefore, no provision for federal income tax is required.

The Funds file federal and various state and local tax returns as required. No income tax returns are currently under examination. Generally, the federal returns are subject to examination by the Internal Revenue Service for a period of three years from date of filing, while the state returns may remain open for an additional year depending upon jurisdiction. As of

 

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September 30, 2017, SSGA FM has analyzed each Fund’s tax positions taken on tax returns for all open years and does not believe there are any uncertain tax positions that would require recognition of a tax liability.

Distributions to shareholders are recorded on ex-dividend date. Income dividends and gain distributions are determined in accordance with income tax rules and regulations, which may differ from generally accepted accounting principles.

As of March 31, 2018, gross unrealized appreciation and gross unrealized depreciation of investments and other financial instruments based on cost for federal income tax purposes were as follows:

 

    Tax
Cost
  Gross
Unrealized
Appreciation
  Gross
Unrealized
Depreciation
  Net Unrealized
Appreciation
(Depreciation)

SPDR EURO STOXX Small Cap ETF

    $ 41,306,779     $ 3,681,342     $ 1,495,372     $ 2,185,970

SPDR MSCI ACWI IMI ETF

      82,341,610       17,390,871       5,399,298       11,991,573

SPDR MSCI ACWI Low Carbon Target ETF

      127,062,958       31,855,978       5,928,701       25,927,277

SPDR MSCI Canada StrategicFactorsSM ETF

      38,144,366       4,478,304       944,343       3,533,961

SPDR MSCI China A Shares IMI ETF

      2,392,688       407,359       456,771       (49,412 )

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

      68,059,640       6,450,175       1,355,522       5,094,653

SPDR MSCI EAFE StrategicFactorsSM ETF

      246,157,415       20,987,556       5,205,174       15,782,382

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

      21,473,842       3,665,180       711,480       2,953,700

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

      285,339,310       49,602,688       9,574,698       40,027,990

SPDR MSCI Germany StrategicFactorsSM ETF

      9,129,190       755,482       394,015       361,467

SPDR MSCI Japan StrategicFactorsSM ETF

      25,671,706       1,331,381       669,058       662,323

SPDR MSCI United Kingdom StrategicFactorsSM ETF

      18,724,281       374,484       590,272       (215,788 )

SPDR MSCI World StrategicFactorsSM ETF

      27,749,743       3,092,172       906,263       2,185,909

SPDR S&P Emerging Asia Pacific ETF

      412,435,832       146,971,045       50,308,213       96,662,832

SPDR S&P Global Dividend ETF

      204,803,470       8,784,904       14,796,576       (6,011,672 )

SPDR S&P Global Infrastructure ETF

      216,068,437       16,426,084       15,113,496       1,312,588

 

9. Securities Lending

Each Fund may lend securities to qualified broker-dealers or institutional investors. The loans are secured at all times by cash, cash equivalents or U.S. government securities in an amount at least equal to the market value of the securities loaned, plus accrued interest and dividends, determined on a daily basis and adjusted accordingly. The value of the collateral with respect to a loaned security may be temporarily more or less than the value of a security due to market fluctuations of securities values. With respect to each loan, if on any U.S. business day the aggregate market value of securities collateral plus cash collateral is less than the aggregate market value of the securities which are subject to the loan, the borrower will be notified to provide additional collateral on the next business day.

The Funds will regain record ownership of loaned securities to exercise certain beneficial rights; however, the Funds may bear the risk of delay in recovery of, or even loss of rights in the securities loaned should the borrower fail financially. In addition, a Fund will bear the risk of loss of any cash collateral that it may invest. Each Fund receives compensation for lending its securities from interest or dividends earned on the cash, cash equivalents or U.S. government securities held as collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as the lending agent. Additionally, a Fund will receive a fee from the borrower for non-cash collateral equal to a percentage of the market value of the loaned securities.

The market value of securities on loan as of March 31, 2018, and the value of the invested cash collateral are disclosed in the Funds’ Statements of Assets and Liabilities. Non-cash collateral is not disclosed in the Funds’ Statements of Assets and Liabilities as it is held by the lending agent on behalf of the Funds, and the Funds do not have the ability to re-hypothecate those securities. Securities lending income, as disclosed in the Funds’ Statements of Operations, represents the income earned from the non-cash collateral and the investment of cash collateral, net of fee rebates paid to the borrower and net of fees paid to State Street as lending agent.

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

The following is a summary of each Fund’s securities lending agreements and related cash and non-cash collateral received as of March 31, 2018:

 

Fund

  Market Value of
Securities on Loan
  Cash
Collateral
Received
  Non Cash
Collateral
Received*
  Total
Collateral
Received

SPDR EURO STOXX Small Cap ETF

    $ 2,475,440     $ 2,031,488     $ 555,924     $ 2,587,412

SPDR MSCI ACWI IMI ETF

      3,793,645       1,690,862       2,235,614       3,926,476

SPDR MSCI ACWI Low Carbon Target ETF

      4,619,461       2,338,517       2,451,605       4,790,122

SPDR MSCI Canada StrategicFactorsSM ETF

      1,639,034       1,622,347       59,088       1,681,435

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

      2,635,868       2,106,482       659,871       2,766,353

SPDR MSCI EAFE StrategicFactorsSM ETF

      6,524,858       6,204,945       643,893       6,848,838

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

      1,703,020       434,013       1,326,818       1,760,831

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

      10,839,683       5,879,993       5,303,149       11,183,142

SPDR MSCI Japan StrategicFactorsSM ETF

      2,558,616       2,568,084       113,042       2,681,126

SPDR MSCI United Kingdom StrategicFactorsSM ETF

      137,431       142,395             142,395

SPDR MSCI World StrategicFactorsSM ETF

      572,178       376,622       215,810       592,432

SPDR S&P Emerging Asia Pacific ETF

      40,115,235       5,463,090       36,823,763       42,286,853

SPDR S&P Global Dividend ETF

      23,861,240       18,986,384       6,102,638       25,089,022

SPDR S&P Global Infrastructure ETF

      8,656,106       1,861,333       7,247,988       9,109,321

 

* The non-cash collateral includes U.S. Treasuries and U.S. Government Agency securities.

The following table reflects a breakdown of transactions accounted for as secured borrowings, the gross obligation by the type of collateral pledged or securities loaned, and the remaining contractual maturity of those transactions as of March 31, 2018:

 

        Remaining Contractual Maturity of the Agreements
As of March 31, 2018

Fund

 

Securities

Lending
Transactions

  Overnight
and
Continuous
  <30 Days   Between
30 & 90
Days
  >90 Days   Total
Borrowings
  Gross Amount
of Recognized
Liabilities for
Securities Lending
Transactions

SPDR EURO STOXX Small Cap ETF

 

Common Stocks

    $ 2,031,488     $     $     $     $ 2,031,488     $ 2,031,488

SPDR MSCI ACWI IMI ETF

 

Common Stocks

      1,690,862                         1,690,862       1,690,862

SPDR MSCI ACWI Low Carbon Target ETF

 

Common Stocks

      2,338,517                         2,338,517       2,338,517

SPDR MSCI Canada StrategicFactorsSM ETF

 

Common Stocks

      1,622,347                         1,622,347       1,622,347

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

 

Common Stocks

      2,106,482                         2,106,482       2,106,482

SPDR MSCI EAFE StrategicFactorsSM ETF

 

Common Stocks

      6,204,945                         6,204,945       6,204,945

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

 

Common Stocks

      434,013                         434,013       434,013

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

 

Common Stocks

      5,879,993                         5,879,993       5,879,993

SPDR MSCI Japan StrategicFactorsSM ETF

 

Common Stocks

      2,568,084                         2,568,084       2,568,084

SPDR MSCI United Kingdom StrategicFactorsSM ETF

 

Common Stocks

      142,395                         142,395       142,395

SPDR MSCI World StrategicFactorsSM ETF

 

Common Stocks

      376,622                         376,622       376,622

SPDR S&P Emerging Asia Pacific ETF

 

Common Stocks

      5,463,090                         5,463,090       5,463,090

SPDR S&P Global Dividend ETF

 

Common Stocks

      18,986,384                         18,986,384       18,986,384

SPDR S&P Global Infrastructure ETF

 

Common Stocks

      1,861,333                         1,861,333       1,861,333

 

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SPDR INDEX SHARES FUNDS

NOTES TO FINANCIAL STATEMENTS (continued)

March 31, 2018 (Unaudited)

 

 

 

10. Line of Credit

Certain Funds and other affiliated funds (each a “Participant” and, collectively, the “Participants”) participate in a $500 million revolving credit facility provided by a syndication of banks under which the Participants may borrow to fund shareholder redemptions. This agreement expires in October 2018 unless extended or renewed.

The following Funds participate in the credit facility as of March 31, 2018:

 

SPDR MSCI ACWI IMI ETF

SPDR MSCI ACWI Low Carbon Target ETF

SPDR MSCI China A Shares IMI ETF

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

SPDR S&P Emerging Asia Pacific ETF

SPDR S&P Global Dividend ETF

SPDR S&P Global Infrastructure ETF

 

 

The Participants are charged an annual commitment fee which is calculated based on the unused portion of the shared credit line. Commitment fees are allocated among each of the Participants based on relative net assets. Commitment fees are ordinary fund operating expenses paid by the Adviser. A Participant incurs and pays the interest expense related to its borrowing. Interest is calculated at a rate per annum equal to the sum of 1% plus the greater of the New York Fed Bank Rate and 1-month LIBOR rate.

Prior to October 12, 2017, the Funds and other affiliated funds participated in a $360 million revolving credit facility.

The Funds had no outstanding loans as of March 31, 2018.

 

11. Risks

Concentration Risk

As a result of the Funds’ ability to invest a large percentage of their assets in obligations of issuers within the same country, state, region, currency or economic sector, an adverse economic, business or political development may affect the value of the Funds’ investments more than if the Funds were more broadly diversified.

Foreign and Emerging Markets Risk

Investing in foreign markets involves risks and considerations not typically associated with investing in the U.S. Foreign securities may be subject to risk of loss because of government regulation, economic, political and social instability in the countries in which the Funds invest. Foreign markets may be less liquid than investments in the U.S. and may be subject to the risks of currency fluctuations. To the extent that a Fund invests in securities of issuers located in emerging markets, these risks may be even more pronounced.

Market and Credit Risk

In the normal course of business, the Funds trade financial instruments and enter into financial transactions where risk of potential loss exists due to changes in the general economic conditions and fluctuations of the market (market risk). Additionally, a Fund may also be exposed to credit risk in the event that an issuer or guarantor fails to perform or that an institution or entity with which the Fund has unsettled or open transactions defaults.

 

12. Subsequent Events

Management has evaluated the impact of all subsequent events on the Funds through the date on which the financial statements were available to be issued and has determined that there were no subsequent events requiring adjustment or disclosure in the financial statements.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION

March 31, 2018 (Unaudited)

 

 

 

Expense Example

As a shareholder of the Fund, you incur two types of costs: (1) transaction costs, including sales charges (loads), if applicable, on purchase payments, reinvested dividends, or other distributions and (2) ongoing costs, including advisory fees and other Fund expenses. This example is intended to help you understand your ongoing costs (in dollars) of investing in the Fund and to compare these costs with the ongoing costs of investing in other mutual funds. It is based on an investment of $1,000 made at the beginning of the period shown and held for the entire period from October 1, 2017 to March 31, 2018.

The table below illustrates your Fund’s cost in two ways:

Based on actual fund return — This section helps you to estimate the actual expenses that you paid over the period. The “Ending Account Value” shown is derived from each Fund’s actual return, and the third column shows the dollar amount that would have been paid by an investor who started with $1,000 in the Fund. You may use the information here, together with the amount you invested, to estimate the expenses that you paid over the period. To do so, simply divide your account value by $1,000 (for example, an $8,600 account value divided by $1,000 = 8.6), then multiply the result by the number given for the Fund under the heading “Expenses Paid During Period”.

Based on hypothetical 5% return — This section is intended to help you compare your Fund’s costs with those of other mutual funds. It assumes that the Fund had a yearly return of 5% before expenses, but that the expense ratio is unchanged. In this case, because the return used is not the Fund’s actual return, the results do not apply to your investment. The example is useful in making comparisons because the U.S. Securities and Exchange Commission (the “SEC”) requires all mutual funds to calculate expenses based on a 5% return. You can assess your Fund’s costs by comparing this hypothetical example with the hypothetical examples that appear in shareholder reports of other funds.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as sales load charges (loads). Therefore, the hypothetical 5% return section of the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds. In addition, if these transaction costs were included, your costs would have been higher.

 

        Actual   Hypothetical (assuming a 5%
return before expenses)
    Annualized
Expense Ratio
  Ending Account
Value
  Expenses Paid
During
Period(a)
  Ending Account
Value
  Expenses Paid
During
Period(a)

SPDR EURO STOXX Small Cap ETF

      0.45 %     $ 1,024.30     $ 2.27     $ 1,022.70     $ 2.27

SPDR MSCI ACWI IMI ETF

      0.25       1,045.10       1.27       1,023.70       1.26

SPDR MSCI ACWI Low Carbon Target ETF

      0.20       1,045.20       1.02       1,023.90       1.01

SPDR MSCI Canada StrategicFactorsSM ETF

      0.30       972.20       1.48       1,023.40       1.51

SPDR MSCI China A Shares IMI ETF

      0.66       1,008.60       3.31       1,021.60       3.33

SPDR MSCI EAFE Fossil Fuel Reserves Free ETF

      0.20       1,019.40       1.01       1,023.90       1.01

SPDR MSCI EAFE StrategicFactorsSM ETF

      0.30       1,027.20       1.52       1,023.40       1.51

SPDR MSCI Emerging Markets Fossil Fuel Reserves Free ETF

      0.30       1,079.40       1.56       1,023.40       1.51

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

      0.30       1,084.20       1.56       1,023.40       1.51

SPDR MSCI Germany StrategicFactorsSM ETF

      0.30       1,014.40       1.51       1,023.40       1.51

SPDR MSCI Japan StrategicFactorsSM ETF

      0.30       1,084.00       1.56       1,023.40       1.51

SPDR MSCI United Kingdom StrategicFactorsSM ETF

      0.30       1,011.90       1.50       1,023.40       1.51

SPDR MSCI World StrategicFactorsSM ETF

      0.30       1,046.90       1.53       1,023.40       1.51

SPDR S&P Emerging Asia Pacific ETF

      0.49       1,080.30       2.54       1,022.50       2.47

SPDR S&P Global Dividend ETF

      0.40       1,028.20       2.02       1,022.90       2.02

SPDR S&P Global Infrastructure ETF

      0.40       960.10       1.95       1,022.90       2.02

 

(a) Expenses are equal to the Fund’s annualized net expense ratio multiplied by the average account value of the period, multiplied by 182, then divided by 365.

 

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SPDR INDEX SHARES FUNDS

OTHER INFORMATION (continued)

March 31, 2018 (Unaudited)

 

 

 

Proxy Voting Policies and Procedures and Records

A description of the Trust’s proxy voting policies and procedures that are used by the Funds’ investment adviser to vote proxies relating to the Funds’ portfolio of securities are available (i) without charge, upon request by calling 1-866-787-2257 (toll free) or (ii) on the SEC’s website, at www.sec.gov.

Information regarding how the investment adviser voted for the prior 12-month period ended June 30, is available by August 31 of each year by calling the same number and on the SEC’s website, at www.sec.gov, and on the Funds’ website at www.spdrs.com.

Quarterly Portfolio Schedule

The Funds file a complete schedule of investments with the SEC for the first and third quarters of each fiscal year on Form N-Q. The Funds’ Forms N-Q are available on the SEC’s website at www.sec.gov and may be reviewed and copied at the SEC’s Public Reference Room in Washington DC. Information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. The information on the Form N-Q is available upon request, without charge, by calling 1-866-787-2257 (toll free) and on the Funds’ website at www.spdrs.com.

Full Portfolio Schedule

The complete schedule of portfolio holdings for the following Funds is available on the Funds’ website at www.spdrs.com, without charge, upon request by calling 1-866-787-2257 (toll-free) and on the SEC’s website at www.sec.gov.

SPDR MSCI ACWI Low Carbon Target ETF

SPDR MSCI Emerging Markets StrategicFactorsSM ETF

SPDR MSCI World StrategicFactorsSM ETF

 

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Table of Contents

SPDR® Index Shares Funds

SPDR Index Shares Funds

 

Trustees

Bonny E. Boatman

Dwight D. Churchill

David M. Kelly

Frank Nesvet, Chairman

James E. Ross

Carl G. Verboncoeur

Investment Manager and Administrator

SSGA Funds Management, Inc.

One Iron Street

Boston, MA 02210

Distributor

State Street Global Advisors Funds Distributors, LLC

One Iron Street

Boston, MA 02210

Custodian, Sub-Administrator and Transfer Agent

State Street Bank and Trust Company

One Lincoln Street

Boston, MA 02111

Legal Counsel

Morgan, Lewis & Bockius LLP

1111 Pennsylvania Avenue, NW

Washington, DC 20004

Independent Registered Public Accounting Firm

PricewaterhouseCoopers LLP

101 Seaport Boulevard

Suite 500

Boston, MA 02210

 

 

 

Fund Shares are distributed by State Street Global Advisors Funds Distributors, LLC, a wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC; member FINRA, SIPC.

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.


Table of Contents

SPDR® Index Shares Funds

For more complete information, please call 1.866.787.2257 or visit spdrs.com today.

ssga.com | spdrs.com

 

The Funds are not sponsored, endorsed, sold, or promoted by Stoxx, S&P Dow Jones Indices LLC, MSCI Inc., and Russell Investment Group. Neither do these companies make any representation regarding the advisability of investing in the Funds. The Funds are distributed by State Street Global Advisors Funds Distributors, LLC, an indirect wholly-owned subsidiary of State Street Corporation. State Street Global Advisors Funds Distributors, LLC is a member of FINRA, SIPC. References to State Street may include State Street Corporation and its affiliates. Shares of the Funds are not insured by the FDIC or by another governmental agency; they are not obligations of the FDIC nor are they deposits or obligations of or guaranteed by State Street Bank and Trust Company. Fund shares are subject to investment risks, including possible loss of the principal invested. The Funds pay State Street for its services as investment adviser, administrator and securities lending agent.

Standard & Poor’s®, S&P® and SPDR® are registered trademarks of Standard & Poor’s Financial Services LLC (S&P); Dow Jones is a registered trademark of Dow Jones Trademark Holdings LLC (Dow Jones); and these trademarks have been licensed for use by S&P Dow Jones Indices LLC (SPDJI) and sublicensed for certain purposes by State Street Corporation.

State Street Corporation’s financial products are not sponsored, endorsed, sold or promoted by SPDJI, Dow Jones, S&P, their respective affiliates and third party licensors and none of such parties make any representation regarding the advisability of investing in such product(s) nor do they have any liability in relation thereto, including for any errors, omissions, or interruptions of any index.

Distributor: State Street Global Advisors Funds Distributors, LLC, member FINRA, SIPC, an indirect wholly-owned subsidiary of State Street Corporation. References to State Street may include State Street Corporation and its affiliates. Certain State Street affiliates provide services and receive fees from the SPDR ETFs.

Before investing, consider the Funds’ investment objectives, risks, charges and expenses. To obtain a prospectus or summary prospectus which contains this and other information, call 1-866-787-2257 or visit www.spdrs.com. Read it carefully.

Not FDIC Insured • No Bank Guarantee • May Lose Value

 

 

The information contained in this report is intended for the general information of shareholders of the Trust. This report is not authorized for distribution to prospective investors unless preceded or accompanied by a current Trust prospectus which contains important information concerning the Trust. You may obtain a current prospectus and SAI from the Distributor by calling 1-866-787-2257 or visiting www.spdrs.com. Please read the prospectus carefully before you invest.

State Street Global Advisors

© 2018 State Street Corporation - All Rights Reserved

0515 Exp. Date: 11/30/2018 SPDRISMAINSAR


Table of Contents

Item 2. Code of Ethics.

Not applicable to the registrant; this Form N-CSR is a Semi-Annual Report.

Item 3. Audit Committee Financial Expert.

Not applicable to the registrant; this Form N-CSR is a Semi-Annual Report.

Item 4. Principal Accountant Fees and Services.

Not applicable to the registrant; this Form N-CSR is a Semi-Annual Report.

Item 5. Disclosure of Audit Committees for Listed Registrants.

Not applicable to the registrant; this Form N-CSR is a Semi-Annual Report.

Item 6. Investments.

 

(a) The Schedules of Investments for the SPDR S&P China ETF, SPDR S&P International Small Cap ETF, SPDR MSCI ACWI ex-US ETF, SPDR S&P Emerging Markets Small Cap ETF, SPDR Portfolio Emerging Markets ETF, SPDR Portfolio Developed World ex-US ETF, SPDR MSCI Emerging Markets StrategicFactors ETF, SPDR MSCI World StrategicFactors ETF and SPDR MSCI ACWI Low Carbon Target ETF are listed below. Summary Schedules of Investments for these funds as well as the Schedules of Investments for the remaining series of the registrant are included as part of the report to shareholders filed under Item 1 of this Form N-CSR.


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.0%

   

AUSTRALIA — 4.6%

   

Alumina, Ltd.

    532,857     $ 964,598  

Amcor, Ltd.

    156,696       1,703,144  

AMP, Ltd.

    260,702       997,858  

Australia & New Zealand Banking Group, Ltd.

    241,837       4,982,559  

BHP Billiton PLC

    141,808       2,792,157  

BHP Billiton, Ltd.

    237,595       5,141,195  

Boral, Ltd.

    307,476       1,754,720  

Brambles, Ltd.

    178,246       1,364,501  

Coca-Cola Amatil, Ltd.

    147,065       978,030  

Commonwealth Bank of Australia

    139,974       7,763,712  

CSL, Ltd.

    40,115       4,783,537  

Fortescue Metals Group, Ltd.

    200,755       666,773  

Insurance Australia Group, Ltd.

    277,909       1,594,512  

LendLease Group

    138,630       1,840,679  

Macquarie Group, Ltd.

    39,268       3,099,401  

Medibank Pvt, Ltd.

    215,229       478,765  

National Australia Bank, Ltd.

    197,224       4,309,986  

Newcrest Mining, Ltd.

    58,003       870,248  

Origin Energy, Ltd. (a)

    219,105       1,462,161  

QBE Insurance Group, Ltd.

    86,310       637,545  

Santos, Ltd. (a)

    178,194       692,986  

Scentre Group REIT

    207,820       610,534  

Sonic Healthcare, Ltd.

    88,800       1,558,449  

South32, Ltd.

    443,878       1,096,179  

Suncorp Group, Ltd.

    184,427       1,887,139  

Sydney Airport

    73,257       377,047  

Telstra Corp., Ltd.

    314,212       756,791  

Transurban Group Stapled Security

    157,531       1,379,926  

Vicinity Centres REIT

    455,281       841,628  

Wesfarmers, Ltd.

    92,488       2,948,388  

Westfield Corp. REIT

    137,258       897,018  

Westpac Banking Corp.

    265,281       5,823,706  

Woodside Petroleum, Ltd.

    68,763       1,542,254  

Woolworths, Ltd.

    114,529       2,309,563  
   

 

 

 
              70,907,689  
   

 

 

 

AUSTRIA — 0.3%

   

Erste Group Bank AG

    47,874       2,402,217  

OMV AG

    23,048       1,340,180  

Raiffeisen Bank International AG (a)

    27,738       1,077,648  
   

 

 

 
      4,820,045  
   

 

 

 

BELGIUM — 0.9%

   

Ageas

    36,457       1,881,346  

Anheuser-Busch InBev SA

    62,826       6,898,360  

KBC Group NV

    29,844       2,595,683  

Solvay SA

    11,578       1,606,895  

UCB SA

    15,447       1,257,254  
   

 

 

 
      14,239,538  
   

 

 

 

BRAZIL — 1.9%

   

Ambev SA ADR

    459,779       3,342,593  

B3 SA - Brasil Bolsa Balcao

    145,253       1,166,447  

Security Description

 

Shares

   

Value

 

Banco Bradesco SA Preference Shares ADR

    326,448     $ 3,878,202  

Banco do Brasil SA

    60,212       743,320  

BB Seguridade Participacoes SA

    52,264       460,274  

Braskem SA Class A, Preference Shares

    32,292       466,367  

BRF SA (a)

    40,314       276,919  

Cia Energetica de Minas Gerais ADR (b)

    185,346       478,193  

Cia Siderurgica Nacional SA ADR (a) (b)

    145,659       383,083  

Cielo SA

    77,693       483,653  

EDP - Energias do Brasil SA

    147,857       592,122  

Embraer SA

    56,084       363,645  

Fibria Celulose SA

    10,152       198,635  

Gerdau SA ADR

    106,280       495,265  

Itau Unibanco Holding SA Preference Shares ADR

    294,543               4,594,871  

JBS SA

    34,951       98,325  

Kroton Educacional SA

    106,087       434,103  

Lojas Renner SA

    100,132       1,034,882  

Natura Cosmeticos SA

    26,845       258,467  

Odontoprev SA

    176,089       791,012  

Petroleo Brasileiro SA Preference Shares ADR (a)

    266,851       3,466,394  

Porto Seguro SA

    10,196       148,970  

Qualicorp SA

    79,695       534,241  

Raia Drogasil SA

    29,049       653,769  

Sul America SA

    55,047       363,546  

Tim Participacoes SA ADR

    23,646       512,409  

Vale SA ADR (b)

    261,831       3,330,490  
   

 

 

 
      29,550,197  
   

 

 

 

CANADA — 6.1%

   

Agnico Eagle Mines, Ltd.

    12,999       546,477  

Alimentation Couche-Tard, Inc. Class B (b)

    23,248       1,039,916  

Bank of Montreal

    55,351       4,178,212  

Bank of Nova Scotia

    86,760       5,340,526  

Barrick Gold Corp.

    93,473       1,163,655  

BlackBerry, Ltd. (a)

    46,415       533,183  

Bombardier, Inc. Class B (a)

    165,402       481,099  

Brookfield Asset Management, Inc. Class A

    86,356       3,363,815  

CAE, Inc.

    52,280       972,406  

Cameco Corp.

    38,531       349,969  

Canadian Imperial Bank of Commerce (b)

    34,257       3,021,684  

Canadian National Railway Co.

    64,429       4,705,553  

Canadian Natural Resources, Ltd.

    98,751       3,102,126  

Canadian Pacific Railway, Ltd.

    12,657       2,230,499  

Canadian Tire Corp., Ltd. Class A (b)

    11,259       1,479,368  

Cenovus Energy, Inc.

    74,843       636,826  

CGI Group, Inc. Class A (a)

    12,015       692,429  

Constellation Software, Inc.

    1,410       956,022  

Crescent Point Energy Corp. (b)

    42,163       286,483  

Dollarama, Inc.

    3,960       480,944  
 

 

1


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Enbridge, Inc.

    84,905     $ 2,668,490  

Encana Corp.

    75,240       826,954  

Fairfax Financial Holdings, Ltd.

    1,255       635,721  

First Quantum Minerals, Ltd.

    57,355       804,772  

Franco-Nevada Corp.

    12,999       886,261  

Gildan Activewear, Inc.

    49,748       1,435,814  

Goldcorp, Inc.

    68,981       951,849  

H&R Real Estate Investment Trust

    3,804       62,050  

Husky Energy, Inc.

    39,149       559,944  

IGM Financial, Inc. (b)

    19,828       579,345  

Imperial Oil, Ltd.

    43,724       1,157,156  

Kinross Gold Corp. (a)

    117,905       465,493  

Loblaw Cos., Ltd.

    38,962       1,967,063  

Magna International, Inc.

    16,865       949,306  

Manulife Financial Corp.

    137,007       2,541,949  

National Bank of Canada

    41,892       1,970,394  

Nutrien, Ltd. (b)

    70,254       3,318,027  

Onex Corp.

    6,833       492,474  

Open Text Corp.

    19,835       689,552  

Pembina Pipeline Corp.

    2,144       66,852  

PrairieSky Royalty, Ltd. (b)

    4,552       99,461  

Restaurant Brands International, Inc.

    12,183       692,851  

Rogers Communications, Inc. Class B

    46,414       2,071,485  

Royal Bank of Canada

    109,585       8,459,103  

Seven Generations Energy, Ltd. Class A (a)

    11,081       137,519  

Shaw Communications, Inc. Class B

    49,731       957,396  

Shopify, Inc. Class A (a)

    4,900       609,322  

SmartCentres Real Estate Investment Trust

    6,559       148,096  

SNC-Lavalin Group, Inc.

    25,991       1,140,439  

Sun Life Financial, Inc.

    55,314       2,270,051  

Suncor Energy, Inc.

    116,702       4,027,203  

Teck Resources, Ltd. Class B

    41,726       1,073,856  

TELUS Corp.

    32,559       1,142,501  

Thomson Reuters Corp.

    40,856       1,577,832  

Toronto-Dominion Bank

    138,395       7,848,019  

TransCanada Corp. (b)

    58,475       2,416,558  

Turquoise Hill Resources, Ltd. (a)

    17,580       53,725  

Valeant Pharmaceuticals International, Inc. (a)

    28,602       455,014  

West Fraser Timber Co., Ltd.

    6,842       454,329  

Wheaton Precious Metals Corp.

    31,106       633,339  
   

 

 

 
              94,858,757  
   

 

 

 

CHILE — 0.3%

   

Embotelladora Andina SA Class B, Preference Shares

    23,791       116,818  

Enel Americas SA ADR

    196,469       2,282,970  

Enel Chile SA ADR

    149,679       957,946  

Enel Generacion Chile SA ADR

    48,561       1,155,266  

Sociedad Quimica y Minera de Chile SA ADR (b)

    11,396       560,113  
   

 

 

 
      5,073,113  
   

 

 

 

Security Description

 

Shares

   

Value

 

CHINA — 7.4%

   

58.com, Inc. ADR (a)

    3,196     $ 255,233  

AAC Technologies Holdings, Inc.

    86,000       1,551,623  

Agricultural Bank of China, Ltd. Class H

    2,242,000       1,274,075  

Air China, Ltd. Class H

    64,000       81,546  

Alibaba Group Holding, Ltd. ADR (a) (b)

    74,861               13,739,988  

Alibaba Health Information Technology, Ltd. (a) (b)

    84,000       41,742  

Anhui Conch Cement Co., Ltd. Class H

    8,500       46,300  

ANTA Sports Products, Ltd.

    29,000       146,325  

Autohome, Inc. ADR

    1,312       112,753  

AviChina Industry & Technology Co., Ltd. Class H (b)

    612,000       431,222  

Baidu, Inc. ADR (a)

    20,028       4,470,049  

Bank of China, Ltd. Class H

    6,168,436       3,316,744  

Bank of Communications Co., Ltd. Class H

    1,232,710       965,963  

Beijing Enterprises Water Group, Ltd.

    424,000       236,627  

Brilliance China Automotive Holdings, Ltd.

    326,000       680,387  

Byd Co., Ltd. Class H (b)

    24,500       191,048  

CGN PowerCo.,Ltd.Class H (b) (c)

    192,400       49,765  

China CITIC Bank Corp., Ltd. Class H

    595,000       406,356  

China Communications Construction Co., Ltd. Class H

    380,000       390,250  

China Conch Venture Holdings, Ltd.

    16,000       48,826  

China Construction Bank Corp. Class H

    5,177,720       5,317,384  

China Everbright Bank Co., Ltd. Class H

    36,000       17,293  

China Everbright International, Ltd.

    26,000       36,441  

China Everbright, Ltd.

    44,000       92,168  

China Evergrande Group (a) (b)

    242,000       761,617  

China Galaxy Securities Co., Ltd. Class H

    201,500       134,020  

China Huishan Dairy Holdings Co., Ltd. (a) (b) (d)

    1,418,000        

China Life Insurance Co., Ltd. Class H

    623,000       1,714,613  

China Mengniu Dairy Co., Ltd.

    442,000       1,514,952  

China Merchants Bank Co., Ltd. Class H

    480,514       1,968,391  

China Merchants Port Holdings Co., Ltd.

    455,366       1,003,763  

China Minsheng Banking Corp., Ltd. Class H (b)

    318,500       309,641  

China Mobile, Ltd.

    506,000       4,638,801  

China Oilfield Services, Ltd. Class H

    100,000       103,080  
 

 

2


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Overseas Land & Investment, Ltd.

    402,000     $ 1,395,780  

China Pacific Insurance Group Co., Ltd. Class H

    201,200       901,110  

China Petroleum & Chemical Corp. Class H

    2,509,800       2,203,346  

China Railway Construction Corp., Ltd. Class H

    126,000       126,188  

China Railway Group, Ltd. Class H

    254,000       176,058  

China Resources Beer Holdings Co., Ltd.

    403,670       1,748,758  

China Resources Land, Ltd.

    52,000       189,162  

China Shenhua Energy Co., Ltd. Class H

    198,500       493,196  

China Southern Airlines Co., Ltd. Class H

    110,000       113,528  

China Taiping Insurance Holdings Co., Ltd.

    150,200       496,629  

China Telecom Corp., Ltd. Class H

    1,950,000       859,677  

China Unicom Hong Kong, Ltd. (a)

    796,000       1,004,090  

China Vanke Co., Ltd. Class H

    76,100       347,130  

CITIC Securities Co., Ltd. Class H

    115,500       264,309  

CITIC, Ltd.

    402,000       562,410  

CNOOC, Ltd.

    1,614,217       2,377,629  

COSCO SHIPPING Ports, Ltd.

    516,042       433,964  

Country Garden Holdings Co., Ltd.

    232,000       477,698  

CRRC Corp., Ltd. Class H

    347,000       295,788  

CSPC Pharmaceutical Group, Ltd.

    440,000       1,168,916  

Ctrip.com International, Ltd. ADR (a)

    14,259       664,755  

ENN Energy Holdings, Ltd.

    38,000       339,411  

Fosun International, Ltd.

    92,500       200,362  

Geely Automobile Holdings, Ltd.

    995,000               2,865,206  

GF Securities Co., Ltd. Class H

    153,200       281,481  

GOME Retail Holdings, Ltd. (b)

    1,618,000       175,235  

Great Wall Motor Co., Ltd. Class H (b)

    274,500       275,259  

Guangzhou Automobile Group Co., Ltd. Class H

    104,000       191,613  

Haitong Securities Co., Ltd. Class H

    157,600       208,439  

Hengan International Group Co., Ltd.

    100,000       926,315  

Huaneng Power International, Inc. Class H

    860,000       577,475  

Huaneng Renewables Corp., Ltd. Class H

    912,000       340,476  

Huatai Securities Co., Ltd. Class H (c)

    160,600       308,992  

Industrial & Commercial Bank of China, Ltd. Class H

    5,429,045       4,655,463  

JD.com, Inc. ADR (a)

    50,970       2,063,775  

Security Description

 

Shares

   

Value

 

Jiangsu Expressway Co., Ltd. Class H

    14,000     $ 19,800  

Kingsoft Corp., Ltd.

    156,000       494,935  

Lenovo Group, Ltd. (b)

    450,000       229,922  

Momo, Inc. ADR (a)

    6,200       231,756  

NetEase, Inc. ADR

    5,153       1,444,850  

New China Life Insurance Co., Ltd. Class H

    75,300       350,677  

New Oriental Education & Technology Group, Inc. ADR

    6,289       551,231  

PetroChina Co., Ltd. Class H

    1,558,000       1,069,992  

PICC Property & Casualty Co., Ltd. Class H

    439,610       769,624  

Ping An Insurance Group Co. of China, Ltd. Class H

    400,000       4,067,123  

Semiconductor Manufacturing International Corp. (a) (b)

    109,400       143,017  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

    124,000       82,632  

Shanghai Electric Group Co., Ltd. Class H (a) (b)

    334,000       115,755  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B

    84,940       121,124  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

    35,700       95,524  

Sihuan Pharmaceutical Holdings Group, Ltd.

    129,000       38,133  

SINA Corp. (a)

    3,352       349,513  

Sinopec Shanghai Petrochemical Co., Ltd. Class H

    326,000       198,135  

Sinopharm Group Co., Ltd. Class H

    69,200       346,516  

Sunac China Holdings, Ltd. (b)

    164,300       634,314  

Sunny Optical Technology Group Co., Ltd.

    36,600       675,731  

TAL Education Group ADR

    10,761       399,125  

Tencent Holdings, Ltd.

    422,000               22,024,031  

Tingyi Cayman Islands Holding Corp.

    398,000       825,585  

TravelSky Technology, Ltd. Class H

    56,000       162,328  

Tsingtao Brewery Co., Ltd. Class H

    8,000       41,792  

Vipshop Holdings, Ltd. ADR (a)

    19,185       318,855  

Want Want China Holdings, Ltd.

    199,000       159,488  

Weibo Corp. ADR

    3,020       361,011  

Yanzhou Coal Mining Co., Ltd. Class H

    396,000       504,568  

Yum China Holdings, Inc.

    20,824       864,196  

YY, Inc. ADR (a)

    2,950       310,340  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    82,700       400,418  

Zijin Mining Group Co., Ltd. Class H (b)

    1,558,000       696,785  

ZTE Corp. Class H (a) (b)

    39,200       127,615  
   

 

 

 
      114,985,050  
   

 

 

 
 

 

3


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COLOMBIA — 0.1%

   

Bancolombia SA ADR

    25,637     $ 1,077,267  

Cementos Argos SA

    112,580       390,569  
   

 

 

 
      1,467,836  
   

 

 

 

DENMARK — 1.2%

   

AP Moeller - Maersk A/S Class B

    1,000       1,541,685  

Danske Bank A/S

    67,415       2,507,110  

DSV A/S

    46,590       3,645,933  

Genmab A/S (a)

    2,819       603,716  

Novo Nordisk A/S Class B

    153,188       7,519,251  

Novozymes A/S Class B

    14,633       754,236  

Pandora A/S

    8,156       874,420  

Vestas Wind Systems A/S

    20,224       1,434,156  
   

 

 

 
              18,880,507  
   

 

 

 

EGYPT — 0.1%

   

Commercial International Bank Egypt SAE

    147,670       745,553  

Global Telecom Holding SAE (a)

    750,759       279,778  
   

 

 

 
      1,025,331  
   

 

 

 

FINLAND — 0.8%

   

Elisa Oyj (b)

    10,558       477,450  

Fortum Oyj (b)

    11,672       250,492  

Kone Oyj Class B

    31,381       1,564,212  

Metso Oyj (b)

    26,215       825,680  

Neste Oyj (b)

    9,472       659,341  

Nokia Oyj (e)

    210,629       1,161,804  

Nokia Oyj (e)

    111,591       614,425  

Sampo Oyj Class A

    33,151       1,845,285  

Stora Enso Oyj Class R (b)

    69,860       1,282,316  

UPM-Kymmene Oyj

    60,527       2,240,619  

Wartsila Oyj Abp

    32,940       727,177  
   

 

 

 
      11,648,801  
   

 

 

 

FRANCE — 7.1%

   

Accor SA

    24,907       1,343,208  

Air Liquide SA

    36,766       4,498,156  

Airbus SE

    47,480       5,477,291  

Alstom SA

    21,216       955,247  

AXA SA

    134,839       3,581,967  

BNP Paribas SA

    78,031       5,774,302  

Bouygues SA

    24,030       1,203,115  

Capgemini SE

    15,617       1,943,705  

Carrefour SA

    67,586       1,400,583  

Cie de Saint-Gobain

    35,937       1,894,289  

Cie Generale des Etablissements Michelin SCA

    13,972       2,060,298  

Credit Agricole SA

    79,999       1,299,198  

Danone SA

    55,243       4,465,738  

Electricite de France SA

    6,506       94,097  

Engie SA

    93,324       1,555,769  

Essilor International Cie Generale d’Optique SA

    21,112       2,845,720  

Hermes International

    1,014       600,463  

ICADE REIT

    676       65,596  

Kering SA

    7,301       3,491,089  

Security Description

 

Shares

   

Value

 

Klepierre SA REIT

    3,508     $ 141,294  

Lagardere SCA

    18,016       514,042  

Legrand SA

    19,995       1,566,438  

L’Oreal SA

    23,057       5,199,194  

LVMH Moet Hennessy Louis Vuitton SE

    21,207       6,525,576  

Orange SA

    177,848       3,015,144  

Pernod Ricard SA

    18,453       3,069,422  

Peugeot SA

    34,773       836,067  

Publicis Groupe SA

    25,917       1,803,433  

Renault SA

    16,760       2,030,311  

Safran SA

    22,546       2,384,071  

Sanofi

    92,478       7,430,249  

Schneider Electric SE

    48,461       4,251,848  

Societe Generale SA

    56,815       3,085,634  

Sodexo SA

    14,036       1,413,773  

TOTAL SA (b)

    180,943       10,265,439  

Unibail-Rodamco SE REIT

    7,015       1,601,677  

Valeo SA

    17,219       1,135,923  

Veolia Environnement SA

    42,688       1,010,360  

Vinci SA

    45,044       4,426,251  

Vivendi SA

    115,043       2,971,199  
   

 

 

 
              109,227,176  
   

 

 

 

GERMANY — 6.4%

   

adidas AG

    16,489       3,987,866  

Allianz SE

    40,416       9,116,014  

BASF SE

    72,220       7,324,969  

Bayer AG

    66,057       7,457,041  

Bayerische Motoren Werke AG

    26,193       2,839,618  

Commerzbank AG (a)

    59,485       771,374  

Continental AG

    8,393       2,315,255  

Covestro AG (c)

    1,290       126,698  

Daimler AG

    73,159       6,205,550  

Deutsche Bank AG

    136,336       1,899,063  

Deutsche Boerse AG

    24,047       3,270,908  

Deutsche Lufthansa AG

    37,068       1,182,555  

Deutsche Post AG

    98,926       4,321,512  

Deutsche Telekom AG

    268,971       4,383,022  

E.ON SE

    171,858       1,906,464  

Fresenius Medical Care AG & Co. KGaA

    27,844       2,841,563  

Fresenius SE & Co. KGaA

    30,147       2,300,955  

Henkel AG & Co. KGaA Preference Shares

    7,005       920,524  

Infineon Technologies AG

    38,560       1,030,977  

KS AG

    5,857       168,844  

Linde AG (e)

    3       601  

Linde AG (a) (e)

    12,776       2,688,421  

MAN SE

    4,482       522,280  

Merck KGaA

    20,440       1,958,261  

METRO AG

    18,216       322,379  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    19,220       4,463,984  

OSRAM Licht AG

    7,445       547,177  

RWE AG (a)

    44,322       1,093,459  

SAP SE

    85,152       8,898,417  

Siemens AG

    67,586       8,604,652  
 

 

4


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

ThyssenKrupp AG

    36,282     $ 945,528  

TUI AG

    28,958       620,708  

United Internet AG

    1,560       98,039  

Volkswagen AG

    5,659       1,131,651  

Volkswagen AG Preference Shares

    10,670       2,117,710  

Vonovia SE

    23,732       1,174,769  
   

 

 

 
      99,558,808  
   

 

 

 

GREECE — 0.1%

   

Alpha Bank AE (a)

    98,055       208,626  

Eurobank Ergasias SA (a)

    123,333       116,415  

Hellenic Telecommunications Organization SA

    2,846       38,432  

JUMBO SA

    27,278       486,444  

National Bank of Greece SA (a)

    459,502       147,609  

OPAP SA

    39,251       448,455  

Piraeus Bank SA (a)

    30,719       97,094  
   

 

 

 
      1,543,075  
   

 

 

 

HONG KONG — 2.8%

   

AIA Group, Ltd.

    961,400       8,133,858  

Alibaba Pictures Group, Ltd. (a) (b)

    510,000       66,282  

ASM Pacific Technology, Ltd.

    7,400       103,340  

Bank of East Asia, Ltd.

    361,040       1,439,873  

BOC Hong Kong Holdings, Ltd.

    173,500       844,476  

CK Asset Holdings, Ltd.

    230,032       1,930,049  

CK Hutchison Holdings, Ltd.

    279,532       3,344,426  

CLP Holdings, Ltd.

    118,000       1,201,305  

Fullshare Holdings, Ltd. (a) (b)

    380,000       210,619  

Galaxy Entertainment Group, Ltd.

    180,000       1,634,112  

Haier Electronics Group Co., Ltd.

    23,000       81,909  

Hanergy Thin Film Power Group, Ltd. (a) (d)

    448,000        

Hang Lung Properties, Ltd.

    402,000       936,325  

Hang Seng Bank, Ltd.

    60,000       1,388,326  

Henderson Land Development Co., Ltd.

    220,263       1,434,124  

Hong Kong & China Gas Co., Ltd.

    1,395,252       2,865,775  

Hong Kong Exchanges & Clearing, Ltd.

    107,650       3,500,412  

Jardine Matheson Holdings, Ltd.

    3,200       197,184  

Jardine Strategic Holdings, Ltd.

    1,000       38,340  

Li & Fung, Ltd.

    804,000       393,379  

Link REIT

    319,286       2,725,706  

Melco Resorts & Entertainment, Ltd. ADR

    6,582       190,746  

New World Development Co., Ltd.

    884,740       1,249,050  

Sands China, Ltd.

    240,800       1,294,772  

Shangri-La Asia, Ltd.

    400,333       805,940  

Sino Biopharmaceutical, Ltd.

    768,000       1,506,976  

SJM Holdings, Ltd.

    38,000       33,021  

Sun Art Retail Group, Ltd.

    228,000       265,235  

Sun Hung Kai Properties, Ltd.

    188,185       2,973,248  

Security Description

 

Shares

   

Value

 

Swire Pacific, Ltd. Class A

    111,006     $ 1,119,494  

Techtronic Industries Co., Ltd.

    178,500       1,040,528  

WH Group, Ltd. (c)

    298,101       317,537  

Wharf Holdings, Ltd.

    6,000       20,603  

Wharf Real Estate Investment Co., Ltd. (a)

    6,000       39,066  

Wheelock & Co., Ltd.

    6,000       43,844  
   

 

 

 
      43,369,880  
   

 

 

 

HUNGARY — 0.1%

   

MOL Hungarian Oil & Gas PLC

    99,524       1,086,846  

OTP Bank PLC

    24,681       1,110,391  
   

 

 

 
      2,197,237  
   

 

 

 

INDIA — 1.9%

   

ACC, Ltd.

    24,680       570,441  

Adani Ports & Special Economic Zone, Ltd.

    50,610       274,771  

Ambuja Cements, Ltd.

    127,090       453,923  

Apollo Hospitals Enterprise, Ltd.

    369       6,023  

Aurobindo Pharma, Ltd.

    28,542       244,124  

Axis Bank, Ltd.

    79,563       622,751  

Bajaj Auto, Ltd.

    5,842       245,847  

Bajaj Finance, Ltd.

    17,551       475,643  

Bajaj Finserv, Ltd.

    1,940       153,826  

Bharat Forge, Ltd.

    9,570       102,660  

Bharat Heavy Electricals, Ltd.

    103,808       129,478  

Bharat Petroleum Corp., Ltd.

    45,411       297,615  

Bharti Airtel, Ltd.

    31,397       191,930  

Bharti Infratel, Ltd.

    68,128       351,129  

Bosch, Ltd.

    134       37,018  

Cadila Healthcare, Ltd.

    7,660       44,377  

Dabur India, Ltd.

    60,009       302,153  

Dr Reddy’s Laboratories, Ltd. ADR (b)

    19,800       647,262  

Eicher Motors, Ltd.

    801       348,450  

Glenmark Pharmaceuticals, Ltd.

    19,577       157,975  

Godrej Consumer Products, Ltd.

    25,916       434,564  

HCL Technologies, Ltd.

    39,793       590,961  

Hindalco Industries, Ltd.

    18,538       60,982  

Hindustan Petroleum Corp., Ltd.

    45,017       238,021  

Hindustan Unilever, Ltd.

    45,570       931,603  

Housing Development Finance Corp., Ltd.

    94,843       2,654,720  

ICICI Bank, Ltd. ADR

    114,403       1,012,467  

Idea Cellular, Ltd. (a)

    63,901       74,363  

Indiabulls Housing Finance, Ltd.

    23,950       454,329  

Indian Oil Corp., Ltd.

    35,414       95,890  

Infosys, Ltd. ADR (b)

    172,810       3,084,658  

ITC, Ltd.

    185,947       728,430  

LIC Housing Finance, Ltd.

    33,503       274,510  

Lupin, Ltd.

    10,764       121,443  

Mahindra & Mahindra Financial Services, Ltd.

    111,006       788,442  

Mahindra & Mahindra, Ltd., GDR

    70,117       806,345  

Marico, Ltd.

    94,566       472,745  

Maruti Suzuki India, Ltd.

    2,827       384,080  
 

 

5


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Motherson Sumi Systems, Ltd.

    18,316     $ 87,323  

Nestle India, Ltd.

    3,700       465,384  

Piramal Enterprises, Ltd.

    5,923       220,935  

Power Finance Corp., Ltd.

    58,326       76,594  

Reliance Industries, Ltd. GDR (c)

    141,135       3,824,758  

Rural Electrification Corp., Ltd.

    19,627       37,526  

Shree Cement, Ltd.

    1,990       494,175  

Shriram Transport Finance Co., Ltd.

    27,105       598,273  

Siemens, Ltd.

    32,620       536,576  

State Bank of India

    8,543       32,733  

Sun Pharmaceutical Industries, Ltd.

    42,502       322,634  

Tata Consultancy Services, Ltd.

    22,046       963,059  

Tata Motors, Ltd. ADR (a)

    40,172       1,032,420  

Tata Power Co., Ltd.

    264,624       320,527  

Tech Mahindra, Ltd.

    8,228       80,575  

United Spirits, Ltd. (a)

    4,521       216,939  

UPL, Ltd.

    21,265       238,092  

Vedanta, Ltd.

    37,833       161,172  

Yes Bank, Ltd.

    60,349       282,075  

Zee Entertainment Enterprises, Ltd.

    85,751       756,645  
   

 

 

 
              29,614,364  
   

 

 

 

INDONESIA — 0.5%

   

Adaro Energy Tbk PT

    399,000       61,730  

Astra International Tbk PT

    2,159,200       1,144,882  

Bank Central Asia Tbk PT

    703,400       1,190,428  

Bank Danamon Indonesia Tbk PT

    17,500       8,739  

Bank Mandiri Persero Tbk PT

    1,634,700       911,300  

Bank Rakyat Indonesia Persero Tbk PT

    7,734,700       2,022,511  

Bumi Serpong Damai Tbk PT

    202,500       26,181  

Charoen Pokphand Indonesia Tbk PT

    2,068,600       518,371  

Gudang Garam Tbk PT

    98,500       518,525  

Matahari Department Store Tbk PT

    217,400       172,909  

Surya Citra Media Tbk PT

    36,500       7,185  

Telekomunikasi Indonesia Persero Tbk PT

    5,543,900       1,449,649  

United Tractors Tbk PT

    52,400       121,794  
   

 

 

 
      8,154,204  
   

 

 

 

IRELAND — 0.5%

   

Bank of Ireland Group PLC (a)

    75,520       660,365  

CRH PLC

    72,031       2,442,353  

James Hardie Industries PLC

    107,236       1,881,180  

Kerry Group PLC Class A

    17,438       1,767,161  

Paddy Power Betfair PLC

    1,619       166,160  
   

 

 

 
      6,917,219  
   

 

 

 

ISRAEL — 0.4%

   

Bank Hapoalim BM

    233,095       1,596,082  

Bank Leumi Le-Israel BM

    230,453       1,385,665  

Check Point Software Technologies, Ltd. (a)

    818       81,260  

Security Description

 

Shares

   

Value

 

Nice, Ltd.

    10,634     $ 986,512  

Teva Pharmaceutical Industries, Ltd. ADR (b)

    75,679       1,293,354  
   

 

 

 
      5,342,873  
   

 

 

 

ITALY — 1.4%

   

Assicurazioni Generali SpA

    93,873       1,803,902  

Atlantia SpA

    70,855       2,191,597  

Enel SpA

    535,902       3,275,624  

Eni SpA

    184,694       3,245,462  

Ferrari NV

    14,776       1,772,523  

Intesa Sanpaolo SpA

    966,779       3,511,693  

Leonardo SpA

    52,841       609,444  

Mediobanca Banca di Credito Finanziario SpA

    64,207       753,958  

Snam SpA

    181,427       832,937  

Telecom Italia SpA/Milano (a)

    1,322,311       1,253,835  

UniCredit SpA (a)

    123,941       2,589,462  
   

 

 

 
              21,840,437  
   

 

 

 

JAPAN — 16.5%

   

Acom Co., Ltd. (a) (b)

    43,800       194,392  

Aeon Co., Ltd.

    59,800       1,056,832  

Aisin Seiki Co., Ltd.

    38,700       2,088,745  

Ajinomoto Co., Inc.

    24,900       449,183  

Alps Electric Co., Ltd. (b)

    6,100       148,557  

Asahi Glass Co., Ltd.

    35,000       1,446,403  

Asahi Group Holdings, Ltd.

    60,200       3,220,856  

Asahi Kasei Corp.

    170,600       2,243,386  

Astellas Pharma, Inc.

    241,600       3,671,139  

Bridgestone Corp.

    60,200       2,619,705  

Canon, Inc.

    80,000       2,896,098  

Central Japan Railway Co.

    10,200       1,928,745  

Chiba Bank, Ltd.

    192,000       1,547,193  

Chubu Electric Power Co., Inc.

    80,200       1,143,991  

Concordia Financial Group, Ltd.

    201,000       1,120,762  

Credit Saison Co., Ltd.

    59,700       984,615  

Dai-ichi Life Holdings, Inc.

    57,400       1,049,770  

Daiichi Sankyo Co., Ltd.

    80,300       2,669,116  

Daikin Industries, Ltd.

    17,300       1,894,297  

Daiwa Securities Group, Inc.

    199,000       1,265,479  

Denso Corp.

    40,200       2,185,580  

Dentsu, Inc.

    2,200       96,192  

East Japan Railway Co.

    39,700       3,685,175  

Eisai Co., Ltd.

    20,100       1,282,544  

Electric Power Development Co., Ltd.

    20,100       514,076  

FANUC Corp.

    17,700       4,422,087  

Fast Retailing Co., Ltd.

    1,900       749,281  

FUJIFILM Holdings Corp.

    59,900       2,363,332  

Fujitsu, Ltd.

    201,000       1,207,701  

Hitachi, Ltd.

    401,000       2,877,321  

Honda Motor Co., Ltd.

    140,500       4,810,160  

Hoya Corp.

    40,200       2,006,787  

Inpex Corp.

    79,600       970,394  

ITOCHU Corp.

    197,200       3,804,004  

Japan Real Estate Investment Corp. REIT

    240       1,243,441  
 

 

6


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Japan Retail Fund Investment Corp. REIT

    751     $ 1,454,687  

Japan Tobacco, Inc.

    80,300       2,291,589  

JFE Holdings, Inc.

    42,800       852,177  

JSR Corp.

    40,200       893,207  

JXTG Holdings, Inc.

    324,908       1,947,920  

Kajima Corp.

    201,000       1,865,416  

Kamigumi Co., Ltd.

    85,500       1,892,496  

Kansai Electric Power Co., Inc.

    99,900       1,295,365  

Kao Corp.

    38,100       2,841,647  

KDDI Corp.

    120,600       3,068,014  

Keikyu Corp. (b)

    104,711       1,826,412  

Keyence Corp.

    6,700       4,126,469  

Kintetsu Group Holdings Co., Ltd. (b)

    38,700       1,511,975  

Kobe Steel, Ltd. (a)

    40,200       394,251  

Komatsu, Ltd.

    100,300       3,305,609  

Konica Minolta, Inc. (b)

    100,500       843,879  

Kose Corp. (b)

    2,200       456,963  

Kubota Corp.

    122,000       2,116,502  

Kyocera Corp.

    40,000       2,229,243  

LIXIL Group Corp.

    39,900       876,037  

Makita Corp.

    39,800       1,946,027  

Marubeni Corp.

    200,000       1,441,843  

Marui Group Co., Ltd. (b)

    70,700       1,409,347  

Mazda Motor Corp.

    15,600       206,753  

Mebuki Financial Group, Inc.

    237,200       909,992  

MEIJI Holdings Co., Ltd.

    3,200       244,626  

Mitsubishi Chemical Holdings Corp.

    201,000       1,927,786  

Mitsubishi Corp.

    140,500       3,732,795  

Mitsubishi Electric Corp.

    200,000       3,196,051  

Mitsubishi Estate Co., Ltd.

    180,618       2,972,087  

Mitsubishi Heavy Industries, Ltd. (b)

    38,700       1,477,041  

Mitsubishi UFJ Financial Group, Inc.

    836,200               5,474,810  

Mitsui & Co., Ltd.

    197,100       3,354,499  

Mitsui Chemicals, Inc.

    38,800       1,214,894  

Mitsui Fudosan Co., Ltd.

    26,000       619,013  

Mizuho Financial Group, Inc.

    1,158,900       2,086,783  

MS&AD Insurance Group Holdings, Inc.

    60,200       1,854,398  

Murata Manufacturing Co., Ltd.

    17,900       2,438,843  

NEC Corp.

    17,800       495,421  

Nidec Corp.

    25,000       3,784,673  

Nintendo Co., Ltd.

    5,900       2,588,566  

Nippon Steel & Sumitomo Metal Corp.

    65,800       1,427,987  

Nippon Telegraph & Telephone Corp.

    61,400       2,830,116  

Nippon Yusen KK

    19,400       375,961  

Nissan Motor Co., Ltd. (b)

    200,700       2,065,502  

Nitori Holdings Co., Ltd.

    3,100       538,820  

Nitto Denko Corp.

    20,000       1,487,917  

Nomura Holdings, Inc.

    221,400       1,272,399  

NTT Data Corp.

    100,500       1,042,327  

NTT DOCOMO, Inc.

    126,300       3,194,018  

Obayashi Corp.

    145,100       1,577,204  

Security Description

 

Shares

   

Value

 

Ono Pharmaceutical Co., Ltd.

    25,100     $ 791,352  

Oriental Land Co., Ltd.

    5,800       588,453  

ORIX Corp.

    160,300       2,831,439  

Osaka Gas Co., Ltd. (b)

    77,400       1,526,166  

Otsuka Holdings Co., Ltd.

    8,700       432,996  

Panasonic Corp.

    202,200       2,858,559  

Rakuten, Inc.

    43,900       360,281  

Recruit Holdings Co., Ltd.

    38,400       947,453  

Resona Holdings, Inc.

    60,200       319,765  

Rohm Co., Ltd.

    19,900       1,852,468  

Ryohin Keikaku Co., Ltd.

    1,300       430,277  

Secom Co., Ltd.

    20,100       1,479,859  

Seven & i Holdings Co., Ltd.

    80,300       3,421,905  

Sharp Corp. (a) (b)

    7,100       210,296  

Shin-Etsu Chemical Co., Ltd.

    37,700       3,855,078  

Shionogi & Co., Ltd.

    18,300       943,822  

Shiseido Co., Ltd.

    21,300       1,359,515  

Shizuoka Bank, Ltd.

    156,000       1,481,523  

SMC Corp.

    1,300       520,611  

SoftBank Group Corp.

    79,400       5,827,893  

Sompo Holdings, Inc.

    54,700       2,181,314  

Sony Corp.

    100,100       4,809,694  

Subaru Corp.

    23,800       780,801  

Sumitomo Chemical Co., Ltd.

    201,000       1,149,111  

Sumitomo Corp.

    100,400       1,660,589  

Sumitomo Electric Industries, Ltd.

    80,300       1,212,994  

Sumitomo Mitsui Financial Group, Inc.

    64,500       2,699,478  

Sumitomo Mitsui Trust Holdings, Inc.

    20,000       809,215  

Sysmex Corp.

    1,400       125,585  

T&D Holdings, Inc.

    39,900       627,858  

Takeda Pharmaceutical Co., Ltd.

    80,300       3,865,877  

TDK Corp.

    20,100       1,759,577  

Teijin, Ltd.

    66,700       1,254,349  

Terumo Corp.

    57,600       2,968,011  

Tohoku Electric Power Co., Inc.

    40,300       543,775  

Tokio Marine Holdings, Inc.

    60,200       2,701,783  

Tokyo Electric Power Co. Holdings, Inc. (a)

    140,400       545,230  

Tokyo Electron, Ltd.

    20,100       3,631,608  

Tokyo Gas Co., Ltd.

    70,600       1,870,717  

Tokyu Corp.

    106,500       1,665,346  

Toppan Printing Co., Ltd.

    201,000       1,632,948  

Toray Industries, Inc.

    201,000       1,891,876  

Toshiba Corp. (a)

    241,000       693,427  

Toyota Motor Corp.

    201,100       12,937,717  

Toyota Tsusho Corp.

    60,200       2,006,667  

West Japan Railway Co.

    20,700       1,454,937  

Yahoo! Japan Corp. (b)

    261,000       1,212,355  

Yakult Honsha Co., Ltd.

    900       67,109  

Yamada Denki Co., Ltd. (b)

    120,900       728,697  

Yamaha Corp.

    27,500       1,190,762  

Yamaha Motor Co., Ltd.

    60,300       1,771,862  
   

 

 

 
      255,626,676  
   

 

 

 

LUXEMBOURG — 0.1%

   

ArcelorMittal (a)

    39,345       1,243,583  
 

 

7


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SES SA (b)

    26,032     $ 351,690  
   

 

 

 
      1,595,273  
   

 

 

 

MACAU — 0.0% (f)

   

MGM China Holdings, Ltd.

    62,400       161,003  

Wynn Macau, Ltd.

    65,200       236,349  
   

 

 

 
      397,352  
   

 

 

 

MALAYSIA — 0.5%

   

AirAsia Bhd

    541,700       554,584  

Alliance Bank Malaysia Bhd

    656,800       725,061  

AMMB Holdings Bhd

    211,300       211,956  

Astro Malaysia Holdings Bhd

    100,600       53,057  

British American Tobacco Malaysia Bhd

    38,500       261,776  

CIMB Group Holdings Bhd

    414,114       766,561  

Dialog Group Bhd

    900,000       688,728  

Felda Global Ventures Holdings Bhd

    668,900       287,067  

Gamuda Bhd

    56,766       75,580  

Genting Bhd

    187,100       420,830  

Genting Malaysia Bhd

    470,300       589,699  

Genting Plantations Bhd

    208,700       550,346  

Hong Leong Financial Group Bhd

    35,439       175,729  

IOI Properties Group Bhd

    615,400       256,151  

Malaysia Airports Holdings Bhd

    155,500       355,785  

Petronas Chemicals Group Bhd

    18,000       37,927  

PPB Group Bhd

    112,700       557,673  

RHB Capital Bhd

    114,410       152,921  

Sapura Energy Bhd

    141,400       18,461  

Tenaga Nasional Bhd

    140,600       587,408  

UMW Holdings Bhd (a)

    38,400       59,764  

Westports Holdings Bhd

    157,300       143,555  
   

 

 

 
              7,530,619  
   

 

 

 

MEXICO — 0.8%

   

America Movil SAB de CV Series L

    2,892,812       2,733,778  

Cemex SAB de CV Series CPO (a)

    1,708,912       1,126,261  

Fomento Economico Mexicano SAB de CV

    272,136       2,472,161  

Fresnillo PLC

    22,026       391,942  

Gentera SAB de CV (b)

    261,072       189,652  

Grupo Financiero Banorte SAB de CV Series O

    382,672       2,329,764  

Grupo Mexico SAB de CV Series B

    236,137       783,307  

Grupo Televisa SAB Series CPO (b)

    329,065       1,042,530  

Industrias Penoles SAB de CV

    17,002       342,080  

Kimberly-Clark de Mexico SAB de CV Class A

    236,926       441,831  

Wal-Mart de Mexico SAB de CV

    303,942       770,283  
   

 

 

 
      12,623,589  
   

 

 

 

NETHERLANDS — 3.2%

   

Akzo Nobel NV

    23,586       2,226,017  

Security Description

 

Shares

   

Value

 

Altice NV Class A (a)

    25,497     $ 210,032  

ASML Holding NV

    31,568       6,217,651  

Gemalto NV

    1,704       104,050  

Heineken NV

    25,630       2,751,789  

ING Groep NV

    247,925       4,177,276  

Koninklijke Ahold Delhaize NV

    138,391       3,274,993  

Koninklijke DSM NV

    22,843       2,265,458  

Koninklijke KPN NV

    483,110       1,447,951  

Koninklijke Philips NV

    102,282       3,920,294  

NXP Semiconductors NV (a)

    12,936       1,513,512  

Royal Dutch Shell PLC Class A

    347,301       10,881,474  

Royal Dutch Shell PLC Class B

    278,858       8,907,214  

Wolters Kluwer NV

    37,178       1,974,793  
   

 

 

 
              49,872,504  
   

 

 

 

NEW ZEALAND — 0.1%

   

Mercury NZ, Ltd.

    241,570       561,145  

Meridian Energy, Ltd.

    234,371       482,709  

Spark New Zealand, Ltd.

    171,309       412,765  
   

 

 

 
      1,456,619  
   

 

 

 

NORWAY — 0.5%

   

DNB ASA

    108,701       2,106,606  

Norsk Hydro ASA

    177,852       1,040,931  

Statoil ASA

    92,065       2,165,318  

Telenor ASA

    78,267       1,764,533  

Yara International ASA

    20,031       844,772  
   

 

 

 
      7,922,160  
   

 

 

 

PERU — 0.1%

   

Cia de Minas Buenaventura SAA ADR

    19,711       300,198  

Credicorp, Ltd.

    7,568       1,718,239  
   

 

 

 
      2,018,437  
   

 

 

 

PHILIPPINES — 0.3%

   

Alliance Global Group, Inc. (a)

    622,500       157,482  

Ayala Land, Inc.

    545,400       429,609  

BDO Unibank, Inc.

    41,307       110,041  

DMCI Holdings, Inc.

    1,474,050       343,528  

Globe Telecom, Inc.

    2,920       90,772  

GT Capital Holdings, Inc.

    8,260       185,059  

JG Summit Holdings, Inc.

    260,090       312,542  

Jollibee Foods Corp.

    111,780       640,549  

Megaworld Corp.

    1,779,300       159,933  

Metro Pacific Investments Corp.

    3,882,800       389,936  

PLDT, Inc. ADR

    16,447       466,601  

SM Prime Holdings, Inc.

    577,900       373,250  

Universal Robina Corp.

    65,810       191,713  
   

 

 

 
      3,851,015  
   

 

 

 

POLAND — 0.2%

   

Alior Bank SA (a)

    38,229       820,875  

Bank Millennium SA (a)

    133,696       320,452  

Bank Zachodni WBK SA

    3,808       402,668  

CCC SA

    7,974       542,883  

Grupa Azoty SA

    12,416       202,988  

LPP SA

    48       121,916  

Orange Polska SA (a)

    96,653       163,661  
 

 

8


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Polski Koncern Naftowy ORLEN SA

    18,630     $ 457,524  

Powszechna Kasa Oszczednosci Bank Polski SA (a)

    50,471       595,874  
   

 

 

 
      3,628,841  
   

 

 

 

PORTUGAL — 0.1%

   

EDP - Energias de Portugal SA

    170,505       647,540  

Jeronimo Martins SGPS SA

    21,604       393,364  
   

 

 

 
      1,040,904  
   

 

 

 

QATAR — 0.0% (f)

   

Commercial Bank PQSC

    12,627       104,011  

Ezdan Holding Group QSC

    13,561       39,097  

Qatar Electricity & Water Co. QSC

    5,974       308,378  

Qatar Gas Transport Co., Ltd.

    19,728       82,769  
   

 

 

 
      534,255  
   

 

 

 

ROMANIA — 0.0% (f)

   

NEPI Rockcastle PLC

    7,505       72,841  
   

 

 

 

RUSSIA — 0.9%

   

Gazprom PJSC ADR

    472,498       2,299,175  

LUKOIL PJSC ADR

    53,415       3,697,386  

Magnit PJSC GDR

    8,336       153,674  

MMC Norilsk Nickel PJSC ADR (b)

    39,882       745,793  

Mobile TeleSystems PJSC ADR

    94,354       1,074,692  

RusHydro PJSC ADR (e)

    58,736       71,658  

RusHydro PJSC ADR (e)

    122,584       154,211  

Sberbank of Russia PJSC ADR

    124,382       2,317,237  

Surgutneftegas OJSC ADR

    131,551       660,386  

Tatneft PJSC ADR (b)

    39,473       2,491,536  
   

 

 

 
      13,665,748  
   

 

 

 

SINGAPORE — 1.0%

   

CapitaLand, Ltd.

    401,000       1,091,718  

DBS Group Holdings, Ltd.

    217,558       4,562,530  

Singapore Exchange, Ltd.

    401,000       2,253,771  

Singapore Press Holdings, Ltd. (b)

    602,300       1,157,474  

Singapore Telecommunications, Ltd.

    979,500       2,517,284  

United Overseas Bank, Ltd.

    204,929       4,297,680  
   

 

 

 
              15,880,457  
   

 

 

 

SOUTH AFRICA — 1.7%

   

Anglo American Platinum, Ltd.

    7,474       204,374  

AngloGold Ashanti, Ltd.

    42,028       399,113  

Aspen Pharmacare Holdings, Ltd.

    25,150       550,726  

Bid Corp., Ltd.

    23,398       508,985  

Bidvest Group, Ltd.

    23,451       443,538  

Brait SE (a)

    33,236       101,261  

Capitec Bank Holdings, Ltd.

    5,191       381,257  

Coronation Fund Managers, Ltd.

    46,760       318,633  

Discovery, Ltd. (b)

    76,863       1,106,036  

FirstRand, Ltd. (b)

    325,989       1,840,588  

Foschini Group, Ltd.

    31,201       589,195  

Gold Fields, Ltd.

    49,079       198,739  

Security Description

 

Shares

   

Value

 

Imperial Holdings, Ltd. (b)

    21,794     $ 429,028  

Mr. Price Group, Ltd.

    29,851       718,011  

MTN Group, Ltd. (b)

    126,805       1,273,749  

Naspers, Ltd. Class N

    34,446       8,406,990  

Pioneer Foods Group, Ltd. (b)

    30,631       321,078  

PSG Group, Ltd.

    16,414       311,788  

Rand Merchant Investment Holdings, Ltd.

    35,868       121,086  

Remgro, Ltd.

    39,100       732,584  

Resilient REIT, Ltd.

    49,940       210,740  

Sanlam, Ltd.

    240,709       1,732,881  

Sasol, Ltd.

    43,989       1,497,009  

Sibanye Gold, Ltd.

    144,218       143,259  

Standard Bank Group, Ltd.

    132,031       2,436,758  

Steinhoff International Holdings NV (b)

    213,898       59,573  

Truworths International, Ltd. (b)

    58,385       529,857  

Woolworths Holdings, Ltd.

    47,572       240,896  
   

 

 

 
              25,807,732  
   

 

 

 

SOUTH KOREA — 3.9%

   

Amorepacific Corp.

    409       117,800  

Amorepacific Corp. Preference Shares

    2,137       320,781  

AMOREPACIFIC Group

    532       68,378  

BGF retail Co., Ltd.

    781       111,739  

Celltrion, Inc. (a) (b)

    8,945       2,660,254  

CJ CheilJedang Corp.

    2,406       722,319  

CJ Corp.

    790       116,732  

Coway Co., Ltd.

    3,206       264,084  

E-MART, Inc.

    2,796       709,558  

Hana Financial Group, Inc.

    45,711       1,955,551  

Hanmi Pharm Co., Ltd.

    374       181,403  

Hanmi Science Co., Ltd. (b)

    1,855       164,286  

Hanssem Co., Ltd.

    1,190       167,464  

Hotel Shilla Co., Ltd.

    910       78,544  

Hyundai Department Store Co., Ltd.

    4,697       398,798  

Hyundai Development Co-Engineering & Construction

    11,817       420,175  

Hyundai Heavy Industries Co., Ltd. (a)

    4,794       618,421  

Hyundai Mobis Co., Ltd.

    6,544       1,559,411  

Hyundai Motor Co.

    14,440       1,944,028  

Hyundai Robotics Co., Ltd. (a)

    844       337,315  

Hyundai Steel Co.

    6,665       322,651  

KB Financial Group, Inc.

    47,535       2,747,121  

Kia Motors Corp.

    28,690       857,282  

Korea Aerospace Industries, Ltd. (a)

    4,544       212,940  

Korea Electric Power Corp. ADR (a) (b)

    48,615       748,185  

Korea Zinc Co., Ltd.

    2,486       1,124,169  

KT Corp. ADR (a)

    39,684       543,671  

KT&G Corp.

    13,869       1,301,154  

LG Chem, Ltd.

    810       293,330  

LG Chem, Ltd. Preference Shares

    569       115,038  
 

 

9


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

LG Electronics, Inc.

    15,580     $ 1,593,226  

LG Household & Health Care, Ltd.

    1,366       1,527,603  

Lotte Chemical Corp.

    2,760       1,121,193  

NAVER Corp.

    2,876       2,120,777  

NCSoft Corp.

    2,407       925,856  

POSCO ADR (a)

    29,023       2,288,463  

Samsung C&T Corp.

    4,552       585,068  

Samsung Electronics Co., Ltd. GDR

    15,036       17,231,256  

Samsung Electronics Co., Ltd. Preference Shares

    545       1,035,393  

Samsung Fire & Marine Insurance Co., Ltd.

    4,855       1,220,696  

Samsung Heavy Industries Co., Ltd. (a)

    21,676       160,247  

Samsung SDS Co., Ltd.

    1,445       342,305  

Samsung Securities Co., Ltd.

    27,030       996,603  

Shinhan Financial Group Co., Ltd.

    42,203       1,787,659  

SK Holdings Co., Ltd.

    4,399       1,231,918  

SK Hynix, Inc.

    35,354       2,663,408  

SK Innovation Co., Ltd.

    6,282       1,237,658  

SK Telecom Co., Ltd. ADR

    19,673       475,496  
   

 

 

 
              59,727,407  
   

 

 

 

SPAIN — 2.1%

   

Abertis Infraestructuras SA

    93,565       2,096,593  

ACS Actividades de Construccion y Servicios SA

    46,085       1,793,848  

Aena SME SA (c)

    1,006       202,473  

Amadeus IT Group SA

    24,646       1,818,048  

Banco Bilbao Vizcaya Argentaria SA

    462,215       3,654,599  

Banco de Sabadell SA

    240,691       491,679  

Banco Santander SA

    1,147,808       7,474,592  

CaixaBank SA

    33,878       161,326  

Ferrovial SA

    79,003       1,648,351  

Gas Natural SDG SA

    33,672       802,970  

Iberdrola SA

    515,594       3,786,866  

Industria de Diseno Textil SA

    96,119       3,006,131  

Mapfre SA

    230,310       765,050  

Repsol SA

    104,786       1,857,677  

Telefonica SA

    360,702       3,561,297  
   

 

 

 
      33,121,500  
   

 

 

 

SWEDEN — 1.8%

   

Assa Abloy AB Class B

    125,975       2,712,852  

Atlas Copco AB Class B

    87,395       3,386,311  

Essity AB Class B (a)

    5,550       152,819  

Hennes & Mauritz AB Class B (b)

    86,293       1,289,841  

Husqvarna AB Class B

    201,590       1,937,236  

Nordea Bank AB

    217,869       2,317,921  

Sandvik AB

    108,792       1,980,386  

Securitas AB Class B

    65,600       1,110,331  

Skandinaviska Enskilda Banken AB Class A

    117,412       1,225,881  

Skanska AB Class B

    65,407       1,332,773  

Security Description

 

Shares

   

Value

 

SKF AB Class B (b)

    53,565     $ 1,090,514  

Svenska Handelsbanken AB Class A (b)

    144,198       1,794,124  

Swedbank AB Class A (b)

    71,519       1,596,940  

Tele2 AB Class B

    90,062       1,077,006  

Telefonaktiebolaget LM Ericsson Class B (b)

    275,114       1,738,433  

Telia Co. AB

    158,710       743,065  

Volvo AB Class B

    112,906       2,052,579  
   

 

 

 
      27,539,012  
   

 

 

 

SWITZERLAND — 5.8%

   

ABB, Ltd.

    191,708       4,548,461  

Adecco Group AG

    16,250       1,153,926  

Cie Financiere Richemont SA

    41,103       3,681,071  

Coca-Cola HBC AG (a)

    12,984       479,756  

Credit Suisse Group AG (a)

    155,357       2,594,150  

Ferguson PLC

    20,051       1,505,949  

Geberit AG

    4,417       1,948,351  

Givaudan SA

    1,172       2,663,191  

Glencore PLC (a)

    835,931       4,148,814  

Julius Baer Group, Ltd. (a)

    12,578       771,545  

Kuehne + Nagel International AG

    9,425       1,479,300  

LafargeHolcim, Ltd. (a)

    26,738       1,460,315  

Lonza Group AG (a)

    4,397       1,034,048  

Nestle SA

    236,318       18,661,620  

Novartis AG

    178,453       14,397,743  

Roche Holding AG

    52,068       11,913,219  

SGS SA

    803       1,968,926  

Sika AG

    154       1,203,728  

Sonova Holding AG

    2,383       377,756  

STMicroelectronics NV (b)

    26,349       582,810  

Swatch Group AG

    4,595       2,022,069  

Swiss Re AG

    27,442       2,787,759  

UBS Group AG (a)

    275,054       4,824,073  

Zurich Insurance Group AG (a)

    12,795       4,187,503  
   

 

 

 
              90,396,083  
   

 

 

 

TAIWAN — 2.7%

   

Advanced Semiconductor Engineering, Inc. ADR

    222,852       1,617,905  

Advantech Co., Ltd.

    28,599       205,000  

Asia Pacific Telecom Co., Ltd. (a)

    48,000       15,014  

Asustek Computer, Inc.

    11,000       102,428  

AU Optronics Corp. ADR (b)

    268,400       1,226,588  

Catcher Technology Co., Ltd.

    32,000       396,749  

Cathay Financial Holding Co., Ltd.

    229,000       406,839  

Chicony Electronics Co., Ltd.

    162,581       413,186  

China Airlines, Ltd. (a)

    786,000       287,097  

China Development Financial Holding Corp.

    448,000       158,260  

China Life Insurance Co., Ltd.

    193,296       200,542  

Chunghwa Telecom Co., Ltd. ADR

    71,895       2,793,840  

Compal Electronics, Inc.

    237,000       161,349  
 

 

10


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

CTBC Financial Holding Co., Ltd.

    573,558     $ 411,132  

Delta Electronics, Inc.

    59,785       266,559  

E.Sun Financial Holding Co., Ltd.

    799,741       537,604  

Eclat Textile Co., Ltd.

    15,650       182,495  

Eva Airways Corp.

    508,897       260,933  

Feng TAY Enterprise Co., Ltd.

    34,036       154,672  

Formosa Plastics Corp.

    336,000       1,186,953  

Foxconn Technology Co., Ltd.

    24,240       64,929  

Fubon Financial Holding Co., Ltd.

    360,000       618,582  

Giant Manufacturing Co., Ltd.

    17,000       89,207  

Globalwafers Co., Ltd.

    6,000       95,380  

Highwealth Construction Corp.

    164,400       253,166  

Hiwin Technologies Corp.

    6,429       91,506  

Hon Hai Precision Industry Co., Ltd. GDR

    878,934       5,466,969  

Hotai Motor Co., Ltd.

    7,000       69,743  

HTC Corp. (a)

    51,000       115,969  

Innolux Corp.

    230,000       100,576  

Largan Precision Co., Ltd.

    5,000       568,474  

MediaTek, Inc.

    61,000       692,492  

Mega Financial Holding Co., Ltd.

    25,948       22,293  

Pegatron Corp.

    48,000       119,518  

Phison Electronics Corp.

    18,000       187,365  

Pou Chen Corp.

    145,000       192,458  

Powertech Technology, Inc.

    162,000       505,052  

President Chain Store Corp.

    35,000       351,717  

Ruentex Development Co., Ltd. (a)

    42,189       49,631  

Siliconware Precision Industries Co., Ltd. ADR (b)

    106,856       924,304  

Standard Foods Corp.

    230,822       540,698  

Taishin Financial Holding Co., Ltd.

    808,500       396,527  

Taiwan Business Bank

    1,982,173       591,450  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    364,799       15,963,604  

Teco Electric and Machinery Co., Ltd.

    394,000       324,989  

Transcend Information, Inc.

    3,000       8,849  

Uni-President Enterprises Corp.

    370,000       866,722  

United Microelectronics Corp. ADR (b)

    822,854       2,131,192  

Zhen Ding Technology Holding, Ltd.

    21,000       50,273  
   

 

 

 
              42,438,780  
   

 

 

 

THAILAND — 0.6%

   

Bangkok Bank PCL (g)

    201,276       1,377,456  

Bumrungrad Hospital PCL (g)

    79,100       523,623  

Central Pattana PCL (g)

    240,200       602,996  

CP ALL PCL NVDR

    362,200       1,010,616  

Delta Electronics Thailand PCL (g)

    75,400       159,746  

Indorama Ventures PCL (g)

    43,600       79,127  

IRPC PCL (g)

    5,114,000       1,185,689  

Security Description

 

Shares

   

Value

 

Kasikornbank PCL (g)

    63,300     $ 431,177  

Minor International PCL (g)

    217,100       263,825  

PTT PCL (g)

    115,862       2,030,457  

Siam Commercial Bank PCL NVDR

    116,800       536,003  

Thai Union Group PCL Class F (g)

    241,000       144,122  

TMB Bank PCL (g)

    1,224,400       98,672  
   

 

 

 
      8,443,509  
   

 

 

 

TURKEY — 0.3%

   

Akbank Turk A/S

    505,243       1,219,297  

Emlak Konut Gayrimenkul Yatirim Ortakligi A/S REIT (a)

    921,979       588,834  

Turkiye Garanti Bankasi A/S

    387,167       1,065,310  

Turkiye Is Bankasi A/S Class C

    538,064       968,445  
   

 

 

 
      3,841,886  
   

 

 

 

UNITED ARAB EMIRATES — 0.1%

 

 

Abu Dhabi Commercial Bank PJSC

    69,909       125,619  

DP World, Ltd.

    9,646       217,035  

DXB Entertainments PJSC (a)

    383,611       50,758  

Emaar Malls PJSC

    71,379       41,782  

Emaar Properties PJSC

    138,440       218,609  

Emirates Telecommunications Group Co. PJSC

    13,991       67,232  

First Abu Dhabi Bank PJSC

    28,214       89,873  
   

 

 

 
      810,908  
   

 

 

 

UNITED KINGDOM — 10.8%

   

3i Group PLC

    168,890       2,035,133  

Anglo American PLC

    105,076       2,448,324  

Associated British Foods PLC

    1,854       64,786  

AstraZeneca PLC

    89,976       6,179,018  

Aviva PLC

    292,922       2,037,708  

BAE Systems PLC

    251,013       2,047,232  

Barclays PLC

    1,206,765       3,495,735  

Barratt Developments PLC

    45,176       336,130  

Berkeley Group Holdings PLC

    3,974       211,226  

BP PLC

    1,463,468       9,838,777  

British American Tobacco PLC

    165,699       9,602,202  

British Land Co. PLC REIT

    218,519       1,967,977  

BT Group PLC

    570,070       1,819,304  

Burberry Group PLC

    53,593       1,275,057  

Capita PLC

    50,467       101,980  

Centrica PLC

    643,053       1,282,750  

CNH Industrial NV

    67,635       834,305  

Cobham PLC (a)

    164,307       283,272  

Compass Group PLC

    191,310       3,906,120  

Diageo PLC

    178,770       6,048,779  

Experian PLC

    76,875       1,658,044  

Fiat Chrysler Automobiles NV

    105,287       2,136,799  

G4S PLC

    118,700       413,117  

GlaxoSmithKline PLC

    346,713       6,779,984  

Hammerson PLC REIT

    195,066       1,468,345  

HSBC Holdings PLC

    1,490,816               13,915,621  
 

 

11


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Imperial Brands PLC

    92,158     $ 3,136,314  

InterContinental Hotels Group PLC

    13,590       813,654  

ITV PLC

    53,863       108,918  

J Sainsbury PLC

    202,065       676,895  

Land Securities Group PLC REIT

    101,782       1,337,989  

Legal & General Group PLC

    91,636       331,394  

Lloyds Banking Group PLC

    4,089,935       3,709,777  

Marks & Spencer Group PLC

    169,382       642,020  

National Grid PLC

    372,532       4,192,200  

Next PLC

    17,159       1,145,522  

Old Mutual PLC

    573,320       1,924,578  

Pearson PLC

    91,059       956,754  

Persimmon PLC

    14,772       524,271  

Prudential PLC

    138,774       3,462,244  

Randgold Resources, Ltd.

    5,643       465,619  

Reckitt Benckiser Group PLC

    47,262       4,000,490  

RELX NV

    123,260       2,551,283  

RELX PLC

    132,577       2,724,593  

Rio Tinto PLC

    90,420       4,580,235  

Rio Tinto, Ltd.

    31,663       1,765,672  

Rolls-Royce Holdings PLC (a)

    148,472       1,815,338  

Royal Bank of Scotland Group PLC (a)

    222,732       808,617  

RSA Insurance Group PLC

    94,182       832,347  

Sage Group PLC

    183,083       1,641,650  

Segro PLC REIT

    91,207       769,206  

Severn Trent PLC

    59,889       1,549,187  

Shire PLC

    51,364       2,572,667  

Sky PLC

    118,285       2,152,944  

Smith & Nephew PLC

    126,239       2,357,042  

Smiths Group PLC

    30,244       642,122  

SSE PLC

    128,617       2,302,209  

Standard Chartered PLC

    206,689       2,066,426  

Standard Life Aberdeen PLC

    262,687       1,325,485  

Taylor Wimpey PLC

    179,009       463,556  

Tesco PLC

    738,267       2,132,385  

Unilever NV

    127,844       7,212,094  

Unilever PLC

    104,329       5,788,982  

United Utilities Group PLC

    88,738       890,542  

Vodafone Group PLC

    2,142,081       5,836,139  

Whitbread PLC

    12,981       673,761  

WPP PLC

    130,764       2,077,410  
   

 

 

 
      167,148,256  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,415,744,425)

            1,532,214,500  
   

 

 

 

RIGHTS — 0.0% (f)

   

SOUTH KOREA — 0.0% (f)

   

Samsung Heavy Industries Co., Ltd. (expires 4/13/18) (a) (Cost $0)

    11,428       22,247  
   

 

 

 

Security Description

 

Shares

   

Value

 

SHORT-TERM INVESTMENTS — 2.3%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

    2,338,108     $ 2,338,108  

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

    32,639,102       32,639,102  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $34,977,210)

 

    34,977,210  
   

 

 

 

TOTAL INVESTMENTS — 101.3%
(Cost $1,450,721,635)

 

    1,567,213,957  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.3)%

 

    (19,654,945
   

 

 

 

NET ASSETS — 100.0%

 

  $     1,547,559,012  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.3% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(e) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(f) Amount is less than 0.05% of net assets.
(g) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $6,896,890 representing 0.4% of net assets.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.

 

ADR   = American Depositary Receipt
GDR   = Global Depositary Receipt
NVDR   = Non Voting Depositary Receipt
REIT   = Real Estate Investment Trust
 

 

12


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 – Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Australia

  $ 70,907,689     $     $     $ 70,907,689  

Austria

    4,820,045                   4,820,045  

Belgium

    14,239,538                   14,239,538  

Brazil

    29,550,197                   29,550,197  

Canada

    94,858,757                   94,858,757  

Chile

    5,073,113                   5,073,113  

China

    114,985,050             0 (a)      114,985,050  

Colombia

    1,467,836                   1,467,836  

Denmark

    18,880,507                   18,880,507  

Egypt

    1,025,331                   1,025,331  

Finland

    11,648,801                   11,648,801  

France

    109,227,176                   109,227,176  

Germany

    99,558,808                   99,558,808  

Greece

    1,543,075                   1,543,075  

Hong Kong

    43,369,880             0 (a)      43,369,880  

Hungary

    2,197,237                   2,197,237  

India

    29,614,364                   29,614,364  

Indonesia

    8,154,204                   8,154,204  

Ireland

    6,917,219                   6,917,219  

Israel

    5,342,873                   5,342,873  

Italy

    21,840,437                   21,840,437  

Japan

    255,626,676                   255,626,676  

Luxembourg

    1,595,273                   1,595,273  

Macau

    397,352                   397,352  

Malaysia

    7,530,619                   7,530,619  

Mexico

    12,623,589                   12,623,589  

Netherlands

    49,872,504                   49,872,504  

New Zealand

    1,456,619                   1,456,619  

Norway

    7,922,160                   7,922,160  

Peru

    2,018,437                   2,018,437  

Philippines

    3,851,015                   3,851,015  

Poland

    3,628,841                   3,628,841  

Portugal

    1,040,904                   1,040,904  

Qatar

    534,255                   534,255  

Romania

    72,841                   72,841  

Russia

    13,665,748                   13,665,748  

Singapore

    15,880,457                   15,880,457  

South Africa

    25,807,732                   25,807,732  

South Korea

    59,727,407                   59,727,407  

Spain

    33,121,500                   33,121,500  

Sweden

    27,539,012                   27,539,012  

Switzerland

    90,396,083                   90,396,083  

Taiwan

    42,438,780                   42,438,780  

Thailand

    1,546,619       6,896,890             8,443,509  

Turkey

    3,841,886                   3,841,886  

United Arab Emirates

    810,908                   810,908  

 

13


Table of Contents

SPDR MSCI ACWI EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant

Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

United Kingdom

  $ 167,148,256     $     $     $ 167,148,256  

Rights

       

South Korea

    22,247                   22,247  

Short-Term Investments

    34,977,210                   34,977,210  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 1,560,317,067     $ 6,896,890     $ 0     $ 1,567,213,957  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.    

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from
Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Number of
Shares Held
at
3/31/18
    Value at
3/31/18
    Dividend
Income
    Capital
Gains

Distributions
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

    1,559,265     $ 1,559,265     $ 27,790,407     $ 27,011,564     $     $       2,338,108     $ 2,338,108     $ 13,344     $  

State Street Navigator Securities Lending Government Money Market Portfolio

    19,433,641       19,433,641       197,035,868       183,830,407                   32,639,102       32,639,102       149,706        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

Total

    $ 20,992,906     $ 224,826,275     $ 210,841,971     $     $       $ 34,977,210     $ 163,050     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

 

14


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.7%

   

BRAZIL — 4.5%

   

AES Tiete Energia SA

    48,858     $ 178,462  

Aliansce Shopping Centers SA (a)

    99,189       560,467  

Alupar Investimento SA

    48,367       260,055  

Anima Holding SA

    81,960       624,145  

Arezzo Industria e Comercio SA

    48,155       732,409  

Banco ABC Brasil SA Preference Shares

    86,860       474,338  

BR Properties SA

    95,955       260,992  

Cia de Saneamento de Minas Gerais-COPASA

    54,148       783,318  

Cia de Saneamento do Parana Preference Shares

    185,493       604,432  

CiaEnergetica de Sao Paulo Class B, Preference Shares

    107,339       510,277  

CiaFerro Ligas da Bahia - FERBASA Preference Shares

    110,836       707,315  

Cia Hering

    133,146       826,854  

Construtora Tenda SA (a)

    25,768       204,293  

Cosan Logistica SA (a)

    81,462       246,327  

Cosan, Ltd.

    99,929       1,038,196  

CVC Brasil Operadora e Agencia de Viagens SA

    108,309       1,976,454  

Cyrela Brazil Realty SA Empreendimentos e Participacoes

    167,210       769,238  

Direcional Engenharia SA (a)

    178,730       326,958  

Duratex SA

    157,370       561,089  

EcoRodovias Infraestrutura e Logistica SA

    144,242       379,744  

Eletropaulo Metropolitana Eletricidade de Sao Paulo SA

    102,088       548,589  

Even Construtora e Incorporadora SA (a)

    258,027       406,030  

Ez Tec Empreendimentos e Participacoes SA

    91,688       636,707  

Gafisa SA (a)

    67,917       208,435  

Helbor Empreendimentos SA (a)

    307,651       138,848  

International Meal Co. Alimentacao SA Class A (a)

    99,823       255,294  

Iochpe Maxion SA

    110,903       873,249  

JSL SA (a)

    47,738       91,351  

Kepler Weber SA (a)

    18,547       67,634  

Light SA (a)

    75,142       306,347  

Linx SA

    69,748       424,750  

LPS Brasil Consultoria de Imoveis SA (a)

    100,405       147,725  

Magnesita Refratarios SA

    41,816       732,246  

Mahle-Metal Leve SA

    37,594       278,256  

Marcopolo SA Preference Shares

    513,296       602,315  

Marfrig Global Foods SA (a)

    212,401       379,607  

Metalurgica Gerdau SA Preference Shares

    500,794       1,075,842  

Mills Estruturas e Servicos de Engenharia SA (a)

    145,457       141,798  

Minerva SA

    43,410       98,873  

MRV Engenharia e Participacoes SA

    261,487       1,278,482  

Security Description

 

Shares

   

Value

 

Oi SA Preference Shares (a)

    186,700     $ 197,733  

Paranapanema SA (a)

    253,596       113,689  

QGEP Participacoes SA

    179,052       612,535  

Randon SA Implementos e Participacoes Preference Shares

    271,909       706,034  

Santos Brasil Participacoes SA (a)

    167,697       178,111  

Sao Martinho SA

    79,835       421,082  

Ser Educacional SA (b)

    58,314       351,084  

SLC Agricola SA

    80,479       836,608  

TOTVS SA

    91,933       796,904  

Valid Solucoes e Servicos de Seguranca em Meios de Pagamento e Identificacao SA

    79,543       435,577  

Wiz Solucoes e Corretagem de Seguros SA

    5,800       19,371  
   

 

 

 
      25,386,469  
   

 

 

 

CHILE — 1.5%

   

Besalco SA

    132,412       153,000  

CAP SA

    63,887       725,598  

Inversiones Aguas Metropolitanas SA

    556,503       1,024,279  

Inversiones La Construccion SA

    50,887       1,001,864  

Ripley Corp. SA

    1,032,093       1,064,677  

Salfacorp SA

    479,808       911,338  

SMU SA (a)

    2,199,501       674,174  

Sociedad Matriz SAAM SA

    7,367,176       754,825  

SONDA SA

    222,300       431,809  

Vina Concha y Toro SA

    635,708       1,375,130  
   

 

 

 
      8,116,694  
   

 

 

 

CHINA — 15.1%

   

21Vianet Group, Inc. ADR (a)

    47,310       327,858  

361 Degrees International, Ltd.

    1,008,000       324,942  

500.com, Ltd. Class A, ADR (a) (c)

    30,005       514,886  

Anton Oilfield Services Group (a)

    2,494,000       308,243  

AVIC International Holding HK, Ltd. (a) (c)

    3,323,933       139,762  

Baozun, Inc. ADR (a)

    23,888       1,095,981  

Beijing Capital Land, Ltd. Class H

    1,240,400       755,464  

Beijing Enterprises Clean Energy Group, Ltd. (a) (c)

    20,023,885       650,598  

Boshiwa International Holding, Ltd. (a) (c) (d)

    1,843,000        

Boyaa Interactive International, Ltd. (a)

    928,000       359,456  

Bright Scholar Education Holdings, Ltd. ADR (a) (c)

    1,200       18,528  

CGN Meiya Power Holdings Co., Ltd. (a) (b)

    1,918,000       259,047  

Changyou.com, Ltd. ADR (a)

    16,168       450,925  

Chaowei Power Holdings, Ltd. (c)

    783,000       423,011  

Cheetah Mobile, Inc. ADR (a) (c)

    38,997       521,390  

China Aerospace International Holdings, Ltd.

    2,468,000       267,294  

China Aircraft Leasing Group Holdings, Ltd.

    544,500       573,757  

China Animal Healthcare, Ltd. (a) (c) (d)

    1,059,700        
 

 

15


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Aoyuan Property Group, Ltd.

    1,208,000     $ 1,109,754  

China BlueChemical, Ltd. Class H

    1,982,000       555,585  

China Chengtong Development Group, Ltd. (a) (c)

    2,916,000       141,187  

China Distance Education Holdings, Ltd. ADR

    37,994       310,411  

China Dongxiang Group Co., Ltd.

    4,497,000       784,997  

China Electronics Corp. Holdings Co., Ltd.

    1,274,000       186,677  

China Energine International Holdings, Ltd. (a)

    698,000       30,683  

China Fangda Group Co., Ltd. Class B

    441,050       278,175  

China Foods, Ltd.

    782,000       359,698  

China Forestry Holdings Co., Ltd. (c) (d)

    1,642,000        

China Greenland Broad Greenstate Group Co., Ltd. (c)

    848,000       124,256  

China Harmony New Energy Auto Holding, Ltd. (a) (c)

    747,500       479,075  

China Hongxing Sports, Ltd. (a) (c) (d)

    4,053,000        

China Huiyuan Juice Group, Ltd. (a)

    1,494,400       384,630  

China Lilang, Ltd.

    1,028,000       1,283,641  

China Logistics Property Holdings Co., Ltd. (a) (c)

    1,283,000       398,879  

China Maple Leaf Educational Systems, Ltd.

    696,000       932,931  

China Modern Dairy Holdings, Ltd. (a)

    2,532,000       432,308  

China National Materials Co., Ltd. Class H

    1,347,000       1,228,867  

China Nuclear Energy Technology Corp., Ltd. (a)

    1,312,000       234,038  

China Overseas Grand Oceans Group, Ltd.

    1,172,000       567,460  

China Overseas Property Holdings, Ltd. (c)

    1,766,232       551,364  

China Pioneer Pharma Holdings, Ltd.

    498,000       157,999  

China Power Clean Energy Development Co., Ltd.

    550,000       299,237  

China Rare Earth Holdings, Ltd. (a)

    1,910,400       113,188  

China Resources Phoenix Healthcare Holdings Co., Ltd.

    645,500       778,880  

China SCE Property Holdings, Ltd.

    2,415,800       1,249,716  

China Shanshui Cement Group, Ltd. (a) (c) (d)

    1,224,000       58,484  

China Shengmu Organic Milk, Ltd. (a) (b) (c)

    2,712,000       369,741  

China Shineway Pharmaceutical Group, Ltd. (a)

    390,000       594,320  

China Silver Group, Ltd.

    1,086,000       238,003  

China Singyes Solar Technologies Holdings, Ltd. (c)

    568,600       207,928  

Security Description

 

Shares

   

Value

 

China South City Holdings, Ltd.

    1,054,000     $ 237,705  

China Suntien Green Energy Corp., Ltd. Class H

    1,667,000       467,286  

China Travel International Investment Hong Kong, Ltd.

    3,574,000       1,265,971  

China Yurun Food Group, Ltd. (a) (c)

    1,129,000       151,045  

Chinasoft International, Ltd. (a) (c)

    1,934,000       1,734,816  

Chlitina Holding, Ltd.

    71,678       480,607  

Chongqing Iron & Steel Co., Ltd. Class H (a)

    646,000       124,289  

CITIC Resources Holdings, Ltd.

    3,469,000       388,966  

CITIC Telecom International Holdings, Ltd.

    1,959,000       566,611  

Colour Life Services Group Co., Ltd.

    625,000       586,911  

Consun Pharmaceutical Group, Ltd.

    530,600       563,166  

Coolpad Group, Ltd. (a) (d)

    2,353,600       107,959  

CPMC Holdings, Ltd.

    81,000       52,016  

CSMall Group, Ltd. (a)

    17,600       5,270  

CT Environmental Group, Ltd. (c)

    3,409,900       612,611  

Dah Chong Hong Holdings, Ltd.

    1,260,000       635,755  

Daqo New Energy Corp. ADR (a)

    3,103       151,892  

Eastern Communications Co., Ltd. Class B

    246,074       146,660  

Fang Holdings, Ltd. ADR (a) (c)

    176,767       908,582  

Fanhua, Inc. ADR (c)

    41,184       1,112,792  

First Tractor Co., Ltd. Class H (c)

    646,500       240,534  

Foshan Electrical and Lighting Co., Ltd. Class B

    157,800       119,029  

Foxsemicon Integrated Technology, Inc

    81,000       641,733  

Fu Shou Yuan International Group, Ltd.

    1,508,000       1,494,877  

Fufeng Group, Ltd.

    1,180,600       699,488  

Future Land Holdings Co., Ltd. Class A

    531,529       2,955,144  

GDS Holdings, Ltd. ADR (a)

    5,000       137,250  

Genscript Biotech Corp. (c)

    510,000       1,631,054  

Goodbaby International Holdings, Ltd.

    945,000       645,388  

Grand Baoxin Auto Group, Ltd. (a)

    922,101       386,544  

Greatview Aseptic Packaging Co., Ltd.

    1,022,048       687,590  

Greentown Service Group Co., Ltd.

    1,338,000       1,130,301  

Guorui Properties, Ltd.

    1,147,000       302,523  

Harbin Electric Co., Ltd. Class H

    1,222,000       428,182  

Hilong Holding, Ltd.

    1,158,100       175,597  

HNA Holding Group Co., Ltd. (a) (c)

    4,054,000       173,043  

Hollysys Automation Technologies, Ltd.

    47,047       1,163,002  

Honghua Group, Ltd. (a)

    2,718,000       283,980  

Hua Hong Semiconductor, Ltd. (b)

    120,000       237,606  

Huadian Energy Co.,Ltd. Class B (a)

    345,900       125,216  
 

 

16


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Huangshan Tourism Development Co., Ltd. Class B

    427,861     $ 539,105  

JA Solar Holdings Co., Ltd. ADR (a) (c)

    65,273       428,191  

Jiangnan Group, Ltd. (c)

    504,000       31,146  

JinkoSolar Holding Co., Ltd. ADR (a) (c)

    23,708       432,671  

Jumei International Holding, Ltd. ADR (a) (c)

    47,587       138,002  

Kama Co., Ltd. Class B (a)

    270,800       212,578  

Kandi Technologies Group, Inc. (a) (c)

    45,064       218,560  

Kangda International Environmental Co., Ltd. (b)

    1,904,200       356,660  

Kingdee International Software Group Co., Ltd. (a) (c)

    1,928,000       1,940,701  

Launch Tech Co., Ltd. Class H

    180,500       200,088  

Leyou Technologies Holdings, Ltd. (a)

    1,459,200       304,918  

Li Ning Co., Ltd. (a)

    2,197,249       2,250,918  

Lifetech Scientific Corp. (a) (c)

    2,478,000       719,881  

Link Motion, Inc. ADR (a) (c)

    105,480       175,097  

Lonking Holdings, Ltd.

    2,415,000       1,027,751  

Luoyang Glass Co., Ltd. Class H (a) (c)

    472,000       230,939  

Luye Pharma Group, Ltd. (c)

    1,916,500       1,833,889  

Maoye International Holdings, Ltd.

    1,666,000       186,802  

Nanjing Panda Electronics Co., Ltd. Class H

    144,000       74,309  

National Agricultural Holdings, Ltd. (a) (d)

    396,000       30,022  

Noah Holdings, Ltd. ADS (a) (c)

    26,530       1,252,481  

Ourgame International Holdings, Ltd. (a)

    604,000       159,306  

Ozner Water International Holding, Ltd. (a) (b) (c)

    1,309,000       350,254  

Pacific Online, Ltd.

    932,100       133,016  

Parkson Retail Group, Ltd. (a)

    2,874,000       333,236  

Poly Culture Group Corp., Ltd. Class H

    166,700       295,665  

Poly Property Group Co., Ltd. (a)

    2,099,000       1,032,343  

Powerlong Real Estate Holdings, Ltd. (c)

    1,344,000       707,251  

PW Medtech Group, Ltd. (a)

    2,526,000       415,191  

Real Gold Mining, Ltd. (a) (d)

    251,500        

Renhe Commercial Holdings Co., Ltd. (a) (c)

    7,450,000       145,235  

Renren, Inc. ADR (a) (c)

    23,786       199,802  

Shandong Airlines Co., Ltd. Class B

    216,700       407,816  

Shandong Zhonglu Oceanic Fisheries Co., Ltd. Class B (a)

    90,900       53,973  

Shang Gong Group Co., Ltd. Class B (a)

    252,000       224,532  

Shanghai Chlor-Alkali Chemical Co., Ltd. Class B (a)

    429,600       333,799  

Shanghai Diesel Engine Co., Ltd. Class B

    373,360       255,005  

Security Description

 

Shares

   

Value

 

Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co., Ltd. Class H (c)

    498,000     $ 237,950  

Shanghai Greencourt Investment Group Co., Ltd. Class B (a)

    466,800       256,740  

Shanghai Haixin Group Co. Class B

    645,708       397,756  

Shanghai Highly Group Co., Ltd. Class B

    259,900       229,752  

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

    1,072,000       438,454  

Shanghai Jinjiang International Industrial Investment Co., Ltd. Class B

    115,600       139,992  

Shanghai Jinjiang International Travel Co., Ltd. Class B

    99,400       256,452  

Shanghai Potevio Co., Ltd. Class B (a)

    79,800       32,638  

Shenwan Hongyuan HK, Ltd.

    520,000       159,678  

Shenzhen China Bicycle Co. Holdings, Ltd. Class B (a)

    231,500       66,663  

Shenzhen Chiwan Petroleum Class B (a)

    40,300       125,445  

Shenzhen SEG Co., Ltd. Class B

    150,300       66,070  

Shougang Concord International Enterprises Co., Ltd. (a) (c)

    19,058,000       529,369  

Shougang Fushan Resources Group, Ltd.

    3,122,000       795,586  

Shui On Land, Ltd.

    491,500       133,391  

Shunfeng International Clean Energy, Ltd. (a)

    1,445,300       55,246  

Sichuan Expressway Co., Ltd. Class H

    1,642,000       579,532  

Silergy Corp.

    64,000       1,442,124  

Sinofert Holdings, Ltd. (a) (c)

    1,588,000       202,337  

Sinopec Kantons Holdings, Ltd.

    1,096,000       540,438  

Sinosoft Technology Group, Ltd.

    728,200       245,879  

Sinotrans Shipping, Ltd. (c)

    2,170,500       580,769  

Sinovac Biotech, Ltd. (a)

    73,417       632,120  

Skyfame Realty Holdings, Ltd. (a)

    554,000       407,296  

Sohu.com, Inc. (a)

    30,947       956,881  

Springland International Holdings, Ltd.

    1,357,000       325,059  

Sun King Power Electronics Group

    1,119,000       219,571  

Tarena International, Inc. ADR

    39,970       448,463  

Tian Ge Interactive Holdings, Ltd. (b)

    741,000       624,085  

Tiangong International Co., Ltd.

    1,712,000       296,666  

Tianjin Development Holdings, Ltd.

    836,000       370,689  

Tianjin Port Development Holdings, Ltd.

    4,070,000       565,256  

Tianjin ZhongXin Pharmaceutical Group Corp., Ltd.

    361,500       332,580  

Tianneng Power International, Ltd.

    996,000       1,178,961  

Tong Ren Tang Technologies Co., Ltd. Class H

    754,000       1,256,619  
 

 

17


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Tongfang Kontafarma Holdings, Ltd. (a)

    2,013,553     $ 112,886  

Tuniu Corp. ADR (a) (c)

    90,956       547,555  

Universal Medical Financial & Technical Advisory Services Co., Ltd. (b)

    949,900       827,863  

V1 Group, Ltd. (a) (c)

    2,188,999       61,361  

Virscend Education Co., Ltd. (b)

    1,038,000       645,419  

West China Cement, Ltd. (a)

    2,616,000       496,648  

Wisdom Sports Group (c)

    1,251,000       125,924  

Xiamen International Port Co., Ltd. Class H

    2,098,000       382,266  

Xi’an Haitiantian Holdings Co., Ltd. (a)

    242,000       185,625  

Xunlei, Ltd. ADR (a) (c)

    20,400       205,836  

Yangtze Optical Fibre and Cable Joint Stock, Ltd. Co. Class H (b)

    174,000       804,786  

Yestar Healthcare Holdings Co., Ltd. (c)

    1,692,200       588,625  

YiChang HEC ChangJiang Pharmaceutical Co., Ltd. Class H (b)

    34,400       158,450  

YuanShengTai Dairy Farm, Ltd. (a)

    5,309,000       236,758  

Yuexiu Transport Infrastructure, Ltd.

    1,160,549       893,151  

Zhengzhou Coal Mining Machinery Group Co., Ltd. Class H

    220,600       118,897  
   

 

 

 
      84,541,935  
   

 

 

 

COLOMBIA — 0.0% (e)

   

Avianca Holdings SA Preference Shares

    189,675       203,046  
   

 

 

 

CZECH REPUBLIC — 0.5%

   

Moneta Money Bank A/S (b)

    506,469       2,097,947  

Philip Morris CR A/S

    1,032       857,971  
   

 

 

 
      2,955,918  
   

 

 

 

EGYPT — 1.1%

   

Eastern Tobacco

    43,562       1,469,742  

Egypt Kuwait Holding Co. SAE

    558,391       558,391  

Egyptian Financial Group-Hermes Holding Co.

    404,753       590,944  

ElSewedy Electric Co.

    107,126       1,316,380  

Ezz Steel (a)

    383,580       576,349  

Global Telecom Holding SAE (a)

    1,489,242       554,981  

Juhayna Food Industries

    467,628       301,849  

Orascom Telecom Media And Technology Holding SAE

    2,912,994       143,750  

Sidi Kerir Petrochemicals Co.

    126,671       213,322  

Six of October Development & Investment (a)

    431,618       664,442  
   

 

 

 
      6,390,150  
   

 

 

 

GREECE — 0.9%

   

Aegean Airlines SA

    53,542       588,028  

Aegean Marine Petroleum Network, Inc.

    43,542       97,970  

Security Description

 

Shares

   

Value

 

Attica Bank SA (a)

    540,359     $ 20,203  

Diana Shipping, Inc. (a)

    70,867       259,373  

Ellaktor SA (a)

    93,990       181,020  

FF Group (a)

    24,815       483,417  

Grivalia Properties REIC AE REIT

    47,984       522,266  

Hellenic Exchanges - Athens Stock Exchange SA

    76,425       437,060  

Holding Co. ADMIE IPTO SA (a)

    129,043       279,318  

Mytilineos Holdings SA (a)

    94,302       1,009,003  

Public Power Corp. SA (a)

    108,603       345,400  

Star Bulk Carriers Corp. (a)

    20,144       234,275  

StealthGas, Inc. (a)

    67,939       272,435  

Tsakos Energy Navigation, Ltd.

    112,483       371,194  
   

 

 

 
      5,100,962  
   

 

 

 

HONG KONG — 2.8%

   

Ajisen China Holdings, Ltd.

    687,000       323,879  

Anxin-China Holdings, Ltd. (a) (d)

    2,248,000        

Beijing Enterprises Medical & Health Group, Ltd. (a)

    2,351,600       107,867  

Carnival Group International Holdings, Ltd. (a)

    6,350,000       291,273  

China All Access Holdings, Ltd.

    1,282,000       408,369  

China Animation Characters Co., Ltd. (c)

    1,062,000       389,710  

China Beidahuang Industry Group Holdings, Ltd. Class A (a)

    2,170,400       110,618  

China Financial International Investments, Ltd. (a)

    2,850,000       98,047  

China First Capital Group, Ltd. (a)

    2,760,000       1,297,657  

China High Precision Automation Group, Ltd. (a) (d)

    1,226,000        

China High Speed Transmission Equipment Group Co., Ltd. (c)

    836,000       1,314,455  

China Lumena New Materials Corp. (a) (c) (d)

    4,181,298        

China Metal Recycling Holdings, Ltd. (a) (c) (d)

    693,675        

China Minsheng Drawin Technology Group, Ltd. (a) (c)

    1,480,000       38,469  

China Minsheng Financial Holding Corp., Ltd. (a)

    1,230,000       39,180  

China NT Pharma Group Co., Ltd.

    949,400       227,422  

China Oil & Gas Group, Ltd.

    4,868,000       390,765  

China Soft Power Technology Holdings, Ltd. (a)

    1,736,000       26,986  

China Water Affairs Group, Ltd.

    28,000       28,506  

Comba Telecom Systems Holdings, Ltd.

    1,140,575       152,594  

Concord New Energy Group, Ltd.

    8,380,000       379,050  

Co-Prosperity Holdings, Ltd. (a)

    656,000       25,911  

Dawnrays Pharmaceutical Holdings, Ltd.

    705,000       386,262  

Digital China Holdings, Ltd. (a) (c)

    942,000       517,312  

EPI Holdings, Ltd. (a)

    540,000       63,988  

Glorious Property Holdings, Ltd. (a)

    2,003,000       176,098  

Golden Meditech Holdings, Ltd.

    684,000       78,437  
 

 

18


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Greater China Financial Holdings, Ltd. (a)

    1,560,300     $ 35,984  

Green Leader Holdings Group, Ltd. (a)

    1,580,000       71,468  

Hengdeli Holdings, Ltd.

    2,168,400       103,608  

Hi Sun Technology China, Ltd. (a)

    1,797,000       318,264  

Hua Han Health Industry Holdings, Ltd. (a) (d)

    2,414,560       122,292  

Huabao International Holdings, Ltd.

    1,390,000       920,964  

Huayi Tencent Entertainment Co., Ltd. (a) (c)

    3,090,000       153,549  

Jiayuan International Group, Ltd. (a)

    150,000       216,735  

Ju Teng International Holdings, Ltd.

    995,500       246,075  

MIE Holdings Corp. (a)

    2,042,754       106,715  

Munsun Capital Group, Ltd. (a)

    2,402,000       12,242  

Neo Telemedia, Ltd.

    4,820,000       105,633  

NetDragon Websoft Holdings, Ltd. (c)

    259,500       631,532  

New Provenance Everlasting Holdings, Ltd. (a) (c)

    7,930,000       162,676  

NewOcean Energy Holdings, Ltd. (a)

    1,656,000       377,692  

Pou Sheng International Holdings, Ltd.

    2,217,000       562,138  

Qianhai Health Holdings, Ltd. (a)

    849,005       8,546  

Skyworth Digital Holdings, Ltd.

    1,836,000       825,794  

Solartech International Holdings, Ltd. (a)

    300,000       31,727  

SSY Group, Ltd.

    1,969,562       1,729,073  

Tech Pro Technology Development, Ltd. (a) (f)

    6,035,100       52,290  

Tibet Water Resources, Ltd. (a) (c)

    1,984,000       786,188  

United Laboratories International Holdings, Ltd. (a) (c)

    996,500       1,032,268  

Vision Values Holdings, Ltd. (a)

    430,000       31,778  

Wasion Group Holdings, Ltd.

    783,000       399,067  
   

 

 

 
      15,917,153  
   

 

 

 

HUNGARY — 0.2%

   

Magyar Telekom

   

Telecommunications PLC

    571,848       1,021,657  
   

 

 

 

INDIA — 13.1%

   

Aarti Industries

    1,510       26,550  

Abbott India, Ltd.

    3,952       330,412  

Adani Power, Ltd. (a)

    805,404       292,664  

Aditya Birla Capital, Ltd. (a)

    399,787       894,624  

Aditya Birla Fashion and Retail, Ltd. (a)

    273,739       633,126  

Aegis Logistics, Ltd.

    17,698       70,443  

AIA Engineering, Ltd.

    52,233       1,154,350  

Ajanta Pharma, Ltd.

    1,199       25,559  

Arvind, Ltd.

    178,130       1,045,892  

Avanti Feeds, Ltd.

    4,606       157,812  

Bajaj Corp., Ltd.

    58,574       423,936  

Bajaj Hindusthan Sugar, Ltd. (a)

    904,905       122,094  

Balrampur Chini Mills, Ltd.

    360,417       418,044  

Security Description

 

Shares

   

Value

 

Bata India, Ltd.

    102,195     $ 1,143,749  

Bharat Financial Inclusion, Ltd. (a)

    104,983       1,765,526  

Blue Dart Express, Ltd.

    6,426       371,318  

CARE Ratings, Ltd.

    20,693       383,486  

Ceat, Ltd.

    34,067       786,780  

CG Power and Industrial Solutions, Ltd. (a)

    539,183       641,513  

Chennai Super Kings Cricket, Ltd. (a) (d)

    418,560        

City Union Bank, Ltd.

    198,522       524,904  

Coffee Day Enterprises, Ltd. (a) (b)

    7,365       34,424  

Cyient, Ltd.

    47,150       502,320  

DCM Shriram, Ltd.

    5,934       38,599  

DEN Networks, Ltd. (a)

    21,115       32,747  

Dilip Buildcon, Ltd. (b)

    12,470       191,825  

Dish TV India, Ltd. (a)

    580,204       633,831  

Dixon Technologies India, Ltd. (a)

    666       33,606  

Dr Lal PathLabs, Ltd. (b)

    31,362       421,371  

eClerx Services, Ltd.

    17,307       318,826  

Engineers India, Ltd.

    104,015       252,695  

Eros International Media, Ltd. (a)

    78,802       200,806  

Escorts, Ltd.

    114,143       1,431,738  

Force Motors, Ltd.

    10,516       440,654  

Fortis Healthcare, Ltd. (a)

    229,936       434,865  

Gateway Distriparks, Ltd.

    188,197       504,241  

GE T&D India, Ltd.

    87,235       545,037  

GMR Infrastructure, Ltd. (a)

    2,493,975       644,317  

Godfrey Phillips India, Ltd.

    23,764       299,228  

Godrej Properties, Ltd. (a)

    77,149       855,099  

Graphite India, Ltd.

    36,246       403,519  

GTL Infrastructure, Ltd. (a)

    972,215       38,756  

Gujarat Alkalies & Chemicals, Ltd.

    4,302       46,076  

Gujarat Fluorochemicals, Ltd.

    3,553       43,390  

Gujarat Narmada Valley Fertilizers & Chemicals, Ltd.

    9,931       55,417  

Gujarat Pipavav Port, Ltd.

    374,332       834,219  

GVK Power & Infrastructure, Ltd. (a)

    196,798       42,545  

Hathway Cable & Datacom, Ltd. (a)

    139,090       72,188  

HEG, Ltd.

    12,144       593,033  

Hexaware Technologies, Ltd.

    215,637       1,245,947  

Himachal Futuristic Communications, Ltd. (a)

    351,674       139,383  

Himadri Speciality Chemical, Ltd.

    38,420       86,092  

Hindustan Construction Co., Ltd. (a)

    141,116       48,033  

Hindustan Copper, Ltd.

    18,768       18,100  

Housing Development & Infrastructure, Ltd. (a)

    349,914       207,089  

HSIL, Ltd.

    3,677       20,927  

IDBI Bank, Ltd. (a)

    243,206       269,227  

IDFC, Ltd.

    889,215       664,644  

IFCI, Ltd. (a)

    977,802       293,093  

India Cements, Ltd.

    400,931       871,366  

Indiabulls Real Estate, Ltd. (a)

    454,901       1,265,557  
 

 

19


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Indiabulls Ventures, Ltd.

    172,657     $ 645,660  

Indian Hotels Co., Ltd.

    601,544       1,193,465  

Infibeam Incorporation, Ltd.

    29,719       67,666  

Info Edge India, Ltd.

    84,867       1,529,440  

Ipca Laboratories, Ltd.

    68,083       684,414  

IRB Infrastructure Developers, Ltd.

    211,438       722,929  

J Kumar Infraprojects, Ltd.

    5,375       22,366  

Jain Irrigation Systems, Ltd.

    291,658       476,022  

Jaiprakash Associates, Ltd. (a)

    795,035       230,386  

Jaiprakash Power Ventures, Ltd. (a)

    369,736       26,927  

Jammu & Kashmir Bank, Ltd. (a)

    430,004       397,885  

Jaypee Infratech, Ltd. (a)

    304,143       39,171  

Jindal Steel & Power, Ltd. (a)

    299,180       1,005,039  

JM Financial, Ltd.

    43,441       85,787  

JSW Energy, Ltd.

    718,231       801,684  

Jubilant Foodworks, Ltd.

    54,417       1,940,547  

Jubilant Life Sciences, Ltd.

    106,181       1,366,626  

Just Dial, Ltd. (a)

    49,842       338,576  

Jyothy Laboratories, Ltd.

    51,394       311,926  

Kajaria Ceramics, Ltd.

    118,883       1,043,617  

Karur Vysya Bank, Ltd.

    465,229       716,514  

KEC International, Ltd.

    4,524       27,034  

KEI Industries, Ltd.

    11,261       66,473  

KPIT Technologies, Ltd.

    239,764       796,068  

KRBL, Ltd.

    43,252       289,234  

Mahindra CIE Automotive, Ltd. (a)

    114,835       378,108  

MakeMyTrip, Ltd. (a) (c)

    38,166       1,324,360  

Manappuram Finance, Ltd.

    554,702       927,456  

Manpasand Beverages, Ltd.

    4,228       23,972  

Marksans Pharma, Ltd.

    549,434       266,623  

McLeod Russel India, Ltd.

    125,381       276,438  

Minda Industries, Ltd.

    5,872       96,027  

Mindtree, Ltd.

    170,441       2,017,303  

Monsanto India, Ltd.

    6,752       285,638  

Mphasis, Ltd.

    84,577       1,086,362  

Natco Pharma, Ltd.

    85,543       988,467  

NCC, Ltd.

    736,612       1,327,606  

Oberoi Realty, Ltd.

    71,459       559,046  

PC Jeweller, Ltd.

    111,758       548,666  

Persistent Systems, Ltd.

    55,232       587,746  

Pfizer, Ltd.

    11,803       395,450  

Phoenix Mills, Ltd.

    42,479       385,180  

PI Industries, Ltd.

    97,293       1,320,477  

Prestige Estates Projects, Ltd.

    120,495       539,091  

PTC India, Ltd.

    431,251       577,896  

PVR, Ltd.

    53,392       994,832  

Quess Corp., Ltd. (a) (b)

    17,563       276,821  

Radico Khaitan, Ltd.

    13,164       67,060  

Rain Industries, Ltd.

    50,869       292,204  

Redington India, Ltd.

    367,613       827,418  

Reliance Communications, Ltd. (a)

    1,072,846       357,771  

Reliance Home Finance, Ltd. (a)

    121,394       110,931  

Reliance Naval and Engineering, Ltd. (a)

    340,290       142,958  

Security Description

 

Shares

   

Value

 

Reliance Power, Ltd. (a)

    397,256     $ 219,880  

Repco Home Finance, Ltd.

    8,749       75,435  

Sadbhav Engineering, Ltd.

    88,291       527,201  

Sanghvi Movers, Ltd.

    14,917       39,670  

Schaeffler India, Ltd.

    3,964       316,112  

Shree Renuka Sugars, Ltd. (a)

    206,604       48,624  

Sintex Industries, Ltd.

    460,375       126,702  

Sintex Plastics Technology, Ltd. (a)

    483,594       426,341  

SKF India, Ltd.

    25,799       693,493  

Sobha, Ltd.

    15,447       120,314  

Sterlite Technologies, Ltd.

    71,188       340,977  

Strides Shasun, Ltd.

    66,306       680,275  

Sun Pharma Advanced Research Co., Ltd. (a)

    121,745       704,374  

Sundram Fasteners, Ltd.

    7,728       65,323  

Suzlon Energy, Ltd. (a)

    3,867,988       634,566  

Symphony, Ltd.

    38,036       1,044,971  

Syndicate Bank (a)

    43,155       36,689  

Tata Elxsi, Ltd.

    18,352       277,257  

Tata Global Beverages, Ltd.

    384,936       1,527,133  

Thermax, Ltd.

    61,183       1,064,343  

Time Technoplast, Ltd.

    22,307       54,774  

Torrent Power, Ltd.

    229,424       806,410  

TTK Prestige, Ltd.

    219       20,765  

TV18 Broadcast, Ltd. (a)

    95,183       97,924  

Union Bank of India (a)

    355,687       512,630  

Unitech, Ltd. (a)

    1,817,647       154,672  

Vardhman Textiles, Ltd.

    1,232       23,087  

Varun Beverages, Ltd.

    4,968       47,942  

Videocon d2h, Ltd. ADR (a)

    56,933       466,851  

WABCO India, Ltd.

    6,335       770,321  

Welspun Corp., Ltd.

    221,570       458,280  

Welspun India, Ltd.

    314,563       279,974  

WNS Holdings, Ltd. ADR (a)

    51,952       2,354,984  

Wockhardt, Ltd. (a)

    1,983       22,089  
   

 

 

 
      73,135,358  
   

 

 

 

INDONESIA — 3.1%

   

Ace Hardware Indonesia Tbk PT

    2,170,400       209,670  

Adhi Karya Persero Tbk PT

    3,869,291       581,764  

AKR Corporindo Tbk PT

    1,961,500       808,536  

Alam Sutera Realty Tbk PT

    18,758,600       515,036  

Bank Pan Indonesia Tbk PT (a)

    293,500       22,811  

Bank Pembangunan Daerah Jawa Barat Dan Banten Tbk PT

    4,456,400       666,801  

Blue Bird Tbk PT

    735,305       153,817  

Bumitama Agri, Ltd.

    556,100       301,099  

Ciputra Development Tbk PT

    11,922,699       1,017,554  

Delta Dunia Makmur Tbk PT (a)

    1,277,700       87,701  

Eagle High Plantations Tbk PT (a)

    2,606,900       40,900  

Gajah Tunggal Tbk PT

    1,995,000       117,374  

Garuda Indonesia Persero Tbk PT (a)

    10,002,500       213,600  

Global Mediacom Tbk PT

    3,828,600       148,778  

Indah Kiat Pulp & Paper Corp. Tbk PT

    2,528,300       2,020,069  

Indika Energy Tbk PT (a)

    1,010,000       258,965  

Indo Tambangraya Megah Tbk PT

    586,135       1,213,354  
 

 

20


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Intiland Development Tbk PT

    6,201,500     $ 148,647  

Japfa Comfeed Indonesia Tbk PT

    5,801,300       623,637  

Kawasan Industri Jababeka Tbk PT

    28,707,184       546,307  

Link Net Tbk PT

    1,811,000       687,305  

Lippo Cikarang Tbk PT (a)

    514,900       115,939  

Lippo Karawaci Tbk PT

    12,117,300       422,466  

Matahari Putra Prima Tbk PT (a)

    2,675,600       77,737  

Medco Energi Internasional Tbk PT (a)

    9,525,966       837,220  

Media Nusantara Citra Tbk PT

    7,871,200       808,988  

Mitra Adiperkasa Tbk PT

    1,011,100       571,004  

MNC Investama Tbk PT (a)

    12,641,300       103,756  

Modernland Realty Tbk PT

    6,238,700       157,695  

Pembangunan Perumahan Persero Tbk PT

    4,435,698       840,906  

Perusahaan Perkebunan London Sumatra Indonesia Tbk PT

    7,076,800       665,659  

Siloam International Hospitals Tbk PT (a)

    1,090,743       633,807  

Summarecon Agung Tbk PT

    8,728,100       573,737  

Surya Semesta Internusa Tbk PT

    3,428,300       136,958  

Timah Persero Tbk PT

    4,162,329       293,260  

Wijaya Karya Persero Tbk PT

    5,467,436       667,172  
   

 

 

 
      17,290,029  
   

 

 

 

MALAYSIA — 5.0%

   

Aeon Co. M Bhd

    995,900       460,874  

Alliance Bank Malaysia Bhd

    645,600       712,697  

Berjaya Corp. Bhd (a)

    4,037,667       334,037  

Berjaya Sports Toto Bhd

    1,158,458       646,915  

Bermaz Auto Bhd (a)

    860,760       505,151  

Bumi Armada Bhd (a)

    3,093,000       663,700  

Bursa Malaysia Bhd

    490,073       1,388,625  

Cahya Mata Sarawak Bhd

    582,900       580,187  

Carlsberg Brewery Malaysia Bhd Class B

    116,000       565,605  

Datasonic Group Bhd

    1,163,100       258,600  

DRB-Hicom Bhd

    1,067,100       662,110  

Eastern & Oriental Bhd

    1,285,152       478,443  

Evergreen Fibreboard Bhd

    1,606,750       195,236  

Felda Global Ventures Holdings Bhd

    1,774,400       761,506  

Gas Malaysia Bhd

    562,900       411,843  

Heineken Malaysia Bhd

    132,900       721,536  

Hengyuan Refining Co. Bhd

    66,100       129,534  

Hibiscus Petroleum Bhd (a)

    251,300       53,275  

IGB Real Estate Investment Trust

    1,096,900       436,718  

Inari Amertron Bhd

    1,411,586       1,021,831  

Karex Bhd

    708,100       149,199  

KNM Group Bhd (a)

    3,404,806       184,852  

KPJ Healthcare Bhd

    3,695,672       855,126  

Lafarge Malaysia Bhd (a)

    252,300       279,826  

Magnum Bhd

    1,337,100       632,599  

Malaysia Building Society Bhd

    1,676,000       467,963  

Malaysian Pacific Industries Bhd

    15,700       35,029  

Malaysian Resources Corp. Bhd

    2,717,500       681,483  

Media Prima Bhd

    1,431,900       142,524  

My EG Services Bhd

    2,818,450       2,069,389  

Security Description

 

Shares

   

Value

 

OSK Holdings Bhd

    1,579,850     $ 400,272  

Padini Holdings Bhd

    553,600       622,585  

Pavilion Real Estate Investment Trust

    1,079,700       385,208  

Petron Malaysia Refining & Marketing Bhd

    10,800       23,873  

Pos Malaysia Bhd

    678,700       628,166  

PureCircle, Ltd. (a) (c)

    58,640       302,717  

QL Resources Bhd

    418,150       541,606  

Sime Darby Property Bhd (a)

    2,018,300       740,948  

SKP Resources Bhd

    223,200       91,173  

Sunway Real Estate Investment Trust

    2,238,900       931,910  

TIME dotCom Bhd

    244,000       526,101  

Top Glove Corp. Bhd

    855,300       2,155,940  

UEM Sunrise Bhd (a)

    1,112,400       286,153  

UMW Holdings Bhd (a)

    363,400       565,581  

UMW Oil & Gas Corp. Bhd (a)

    2,065,915       165,572  

Unisem M Bhd

    438,300       277,620  

UOA Development Bhd

    1,533,500       959,429  

VS Industry Bhd

    1,389,600       844,250  

WCT Holdings Bhd (a)

    1,372,289       471,857  

Yinson Holdings Bhd

    700,700       681,135  
   

 

 

 
      28,088,509  
   

 

 

 

MEXICO — 2.0%

   

Asesor de Activos Prisma SAPI de CV REIT (a)

    403,139       268,119  

Axtel SAB de CV (a) (c)

    1,709,882       383,127  

Bolsa Mexicana de Valores SAB de CV

    596,063       1,134,425  

Concentradora Fibra Hotelera Mexicana SA de CV (b)

    483,658       302,858  

Concentradora Hipotecaria SAPI de CV REIT

    597,161       558,116  

Consorcio ARA SAB de CV

    1,908,774       747,678  

Controladora Vuela Cia de Aviacion SAB de CV Class A (a) (c)

    794,654       637,778  

Corp. Inmobiliaria Vesta SAB de CV

    420,458       621,698  

Credito Real SAB de CV SOFOM ER

    275,285       393,921  

Genomma Lab Internacional SAB de CV Class B (a)

    644,664       695,750  

Grupo Aeromexico SAB de CV (a) (c)

    172,983       274,824  

Grupo GICSA SA de CV (a)

    433,675       246,138  

Hoteles City Express SAB de CV (a)

    349,624       474,823  

Macquarie Mexico Real Estate Management SA de CV REIT (a)

    685,956       767,372  

Megacable Holdings SAB de CV

    247,587       1,138,953  

PLA Administradora Industrial S de RL de CV (a)

    775,568       1,284,859  

Prologis Property Mexico SA de CV REIT

    388,118       739,090  

Qualitas Controladora SAB de CV

    184,510       508,645  
 

 

21


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

TV Azteca SAB de CV Series CPO (c)

    1,465,962     $ 208,006  
   

 

 

 
      11,386,180  
   

 

 

 

MONACO — 0.2%

   

Costamare, Inc.

    45,373       283,128  

GasLog, Ltd.

    54,754       900,703  

Navios Maritime Holdings, Inc. (a) (c)

    96,403       86,560  
   

 

 

 
      1,270,391  
   

 

 

 

PAKISTAN — 1.3%

   

Attock Refinery, Ltd.

    10,700       23,506  

Bank Alfalah, Ltd.

    176,500       80,266  

Bank of Punjab (a)

    272,500       23,094  

Dawood Hercules Corp., Ltd.

    22,600       25,463  

DG Khan Cement Co., Ltd.

    693,100       984,034  

Engro Corp., Ltd.

    249,000       670,488  

Engro Fertilizers, Ltd.

    513,500       309,613  

Fauji Cement Co., Ltd.

    95,000       24,186  

Fauji Fertilizer Bin Qasim, Ltd.

    73,000       26,562  

Fauji Fertilizer Co., Ltd.

    293,500       237,954  

Hascol Petroleum, Ltd.

    21,700       50,358  

Honda Atlas Cars Pakistan, Ltd.

    14,650       59,873  

Hub Power Co. Ltd.

    77,500       67,910  

K-Electric, Ltd. (a)

    500,000       30,286  

Kot Addu Power Co., Ltd.

    173,500       97,485  

Lucky Cement, Ltd.

    158,700       946,699  

Maple Leaf Cement Factory, Ltd.

    593,900       371,573  

Mari Petroleum Co., Ltd.

    3,680       46,575  

Millat Tractors, Ltd.

    12,340       136,297  

National Bank of Pakistan

    163,000       71,514  

National Refinery, Ltd.

    16,200       60,075  

Pak Elektron, Ltd.

    171,500       69,952  

PAK Suzuki Motor Co., Ltd.

    15,600       64,580  

Pakistan Oilfields, Ltd.

    65,900       369,543  

Pakistan State Oil Co., Ltd.

    405,798       1,134,757  

Pakistan Stock Exchange, Ltd.

    399,000       90,069  

Searle Co. Ltd.

    17,300       52,609  

SUI Northern Gas Pipeline

    811,400       787,283  

Thal, Ltd.

    17,150       76,976  

TRG Pakistan (a)

    250,000       82,756  
   

 

 

 
      7,072,336  
   

 

 

 

PERU — 0.6%

   

Ferreycorp SAA

    1,893,991       1,490,800  

Grana y Montero SAA (a)

    356,171       210,814  

InRetail Peru Corp. (b)

    38,326       852,754  

Volcan Cia Minera SAA Class B

    2,040,258       758,707  
   

 

 

 
      3,313,075  
   

 

 

 

PHILIPPINES — 1.2%

   

Belle Corp.

    3,615,400       257,067  

Cebu Air, Inc.

    446,418       809,375  

CEMEX Holdings Philippines, Inc. (a) (b)

    4,288,105       299,146  

Cosco Capital, Inc.

    5,914,200       838,773  

D&L Industries, Inc.

    5,279,500       1,169,681  

First Gen Corp.

    1,562,200       508,982  

First Philippine Holdings Corp.

    371,250       469,599  

Security Description

 

Shares

   

Value

 

MacroAsia Corp.

    147,900     $ 74,407  

Manila Water Co., Inc.

    1,087,300       579,310  

Melco Resorts And Entertainment Philippines Corp. (a)

    306,800       45,863  

Nickel Asia Corp.

    3,918,600       458,118  

Philex Mining Corp.

    1,532,900       178,916  

Rizal Commercial Banking Corp.

    582,020       509,208  

Robinsons Land Corp.

    1,597,171       610,370  

SM Prime Holdings, Inc.

    1       1  
   

 

 

 
      6,808,816  
   

 

 

 

POLAND — 2.0%

   

Alumetal SA

    12,993       208,628  

Asseco Poland SA

    95,737       1,257,748  

Boryszew SA (a)

    90,651       242,950  

Ciech SA (a)

    55,424       954,666  

Dino Polska SA (a) (b)

    43,412       1,100,731  

Emperia Holding SA (a)

    28,521       832,657  

Enea SA

    137,357       369,729  

Energa SA

    196,807       553,310  

Eurocash SA

    90,142       618,438  

Getin Noble Bank SA (a)

    345,883       136,321  

Globe Trade Centre SA

    392,428       1,047,147  

Grupa Azoty SA

    44,199       722,606  

Grupa Kety SA

    8,882       889,419  

KRUK SA

    15,685       998,257  

Lubelski Wegiel Bogdanka SA

    11,000       149,972  

Netia SA

    397,418       616,089  

PKP Cargo SA (a)

    18,221       221,293  
   

 

 

 
      10,919,961  
   

 

 

 

QATAR — 0.5%

   

Al Meera Consumer Goods Co. QSC

    12,980       506,084  

Gulf Warehousing Co.

    17,783       197,752  

Medicare Group

    17,908       337,213  

Qatar First Bank (a)

    284,361       498,139  

Salam International Investment, Ltd. QSC (a)

    93,936       149,854  

Vodafone Qatar QSC (a)

    449,170       1,071,743  
   

 

 

 
      2,760,785  
   

 

 

 

RUSSIA — 0.9%

   

Etalon Group PLC GDR

    118,906       362,664  

Globaltrans Investment PLC GDR

    111,827       1,326,268  

LSR Group PJSC GDR

    216,646       693,267  

M Video PJSC

    50,000       358,261  

QIWI PLC ADR (c)

    41,883       800,384  

Ros Agro PLC GDR

    44,770       463,817  

Sistema PJSC FC GDR

    151,320       611,333  

TMK PJSC GDR

    83,864       472,993  
   

 

 

 
      5,088,987  
   

 

 

 

SINGAPORE — 0.3%

   

Asian Pay Television Trust

    1,545,800       624,780  

SIIC Environment Holdings, Ltd.

    1,175,560       416,865  

Silverlake Axis, Ltd.

    952,800       388,735  
   

 

 

 
      1,430,380  
   

 

 

 
 

 

22


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SOUTH AFRICA — 5.6%

   

Adcock Ingram Holdings, Ltd.

    203,828     $ 1,219,312  

Advtech, Ltd.

    483,007       644,485  

AECI, Ltd.

    94,440       920,588  

African Rainbow Minerals, Ltd.

    71,051       608,045  

Alexander Forbes Group Holdings, Ltd.

    874,583       531,448  

ArcelorMittal South Africa, Ltd. (a)

    274,850       61,471  

Arrowhead Properties, Ltd. Class A, REIT

    1,238,438       758,819  

Ascendis Health, Ltd.

    115,594       96,680  

Astral Foods, Ltd.

    1,944       51,324  

Attacq, Ltd. (a)

    510,255       850,084  

Aveng, Ltd. (a)

    390,579       32,964  

Balwin Properties, Ltd.

    276,567       143,550  

Blue Label Telecoms, Ltd.

    445,991       485,560  

Cashbuild, Ltd.

    1,062       43,310  

Coronation Fund Managers, Ltd.

    210,012       1,431,068  

Curro Holdings, Ltd. (a) (c)

    199,573       537,135  

DataTec, Ltd.

    311,055       546,044  

Dis-Chem Pharmacies, Ltd. (b)

    111,500       324,655  

Emira Property Fund, Ltd. REIT

    671,966       881,871  

EOH Holdings, Ltd.

    112,795       409,341  

Famous Brands, Ltd. (a) (c)

    72,875       689,403  

Grindrod, Ltd. (a)

    529,298       614,676  

Harmony Gold Mining Co., Ltd.

    296,140       703,063  

Hosken Consolidated Investments, Ltd.

    113,266       1,376,542  

JSE, Ltd.

    111,331       1,741,363  

KAP Industrial Holdings, Ltd.

    1,380,838       1,002,233  

Lewis Group, Ltd.

    200,456       713,936  

Montauk Holdings, Ltd.

    1       5  

Mpact, Ltd.

    237,357       580,935  

Murray & Roberts Holdings, Ltd.

    368,376       429,040  

Nampak, Ltd. (a)

    550,973       706,808  

Net 1 UEPS Technologies, Inc. (a) (c)

    66,707       631,048  

Northam Platinum, Ltd. (a)

    356,564       1,093,578  

Omnia Holdings, Ltd.

    61,121       768,607  

PPC, Ltd. (a)

    1,430,722       947,878  

Reunert, Ltd.

    253,706       1,594,769  

SA Corporate Real Estate, Ltd. REIT

    2,886,087       1,188,657  

Stadio Holdings, Ltd. (a) (c)

    191,572       92,805  

Sun International, Ltd. (a)

    117,689       568,642  

Super Group, Ltd. (a)

    423,084       1,289,739  

Tongaat Hulett, Ltd.

    101,935       874,497  

Trencor, Ltd.

    107,758       343,771  

Tsogo Sun Holdings, Ltd.

    222,997       439,078  

Vukile Property Fund, Ltd. REIT

    677,498       1,251,073  

Wilson Bayly Holmes-Ovcon, Ltd.

    90,361       1,182,138  
   

 

 

 
      31,402,038  
   

 

 

 

TAIWAN — 29.0%

   

Ability Enterprise Co., Ltd.

    334,141       222,325  

AcBel Polytech, Inc.

    901,000       635,029  

Accton Technology Corp.

    487,341       1,587,866  

Acer, Inc. (a)

    2,343,000       1,944,665  

Security Description

 

Shares

   

Value

 

A-DATA Technology Co., Ltd.

    241,652     $ 624,912  

Adlink Technology, Inc.

    167,625       349,542  

Advanced Ceramic X Corp.

    57,642       535,754  

Advanced Wireless Semiconductor Co.

    34,000       72,182  

AGV Products Corp. (a)

    1,828,414       466,557  

Alpha Networks, Inc.

    446,513       356,818  

Altek Corp.

    209,516       210,903  

AmTRAN Technology Co., Ltd.

    904,717       440,614  

Arcadyan Technology Corp.

    208,172       381,260  

Ardentec Corp.

    104,000       134,472  

Asia Optical Co., Inc.

    208,540       736,688  

Asia Polymer Corp.

    878,028       540,543  

ASPEED Technology, Inc.

    17,000       529,993  

Aten International Co., Ltd.

    213,000       693,271  

Basso Industry Corp.

    110,800       197,606  

BES Engineering Corp.

    2,791,356       767,798  

Bizlink Holding, Inc.

    92,764       769,931  

Capital Securities Corp.

    2,057,730       786,902  

Career Technology MFG. Co., Ltd.

    429,060       612,901  

Casetek Holdings, Ltd.

    135,820       398,744  

Cathay Real Estate Development Co., Ltd.

    847,332       450,446  

Center Laboratories, Inc. (a)

    289,527       607,712  

Chang Wah Electromaterials, Inc.

    76,419       391,832  

Charoen Pokphand Enterprise

    339,675       761,901  

Cheng Loong Corp.

    1,221,128       680,568  

Cheng Uei Precision Industry Co., Ltd.

    388,915       544,217  

Chicony Electronics Co., Ltd.

    469,310       1,192,711  

Chilisin Electronics Corp.

    66,000       235,415  

China Bills Finance Corp.

    960,394       494,081  

China Chemical & Pharmaceutical Co., Ltd.

    652,000       442,762  

China Man-Made Fiber Corp. (a)

    1,957,899       637,927  

China Motor Corp.

    781,000       735,276  

China Petrochemical Development Corp. (a)

    2,128,575       916,199  

China Steel Chemical Corp.

    173,000       901,876  

China Synthetic Rubber Corp.

    546,373       899,472  

Chin-Poon Industrial Co., Ltd.

    304,000       544,254  

Chipbond Technology Corp.

    685,000       1,609,305  

Chong Hong Construction Co., Ltd.

    263,275       762,998  

Chroma ATE, Inc.

    326,680       2,011,149  

Chung Hung Steel Corp. (a)

    720,239       285,309  

Clevo Co.

    522,265       531,096  

CMC Magnetics Corp. (a)

    1,211,788       189,933  

Compeq Manufacturing Co., Ltd.

    999,000       1,027,884  

Coremax Corp.

    6,000       26,237  

Coretronic Corp.

    451,652       670,732  

Crown Bioscience International

    23,000       57,900  

CTCI Corp.

    664,000       1,081,730  

Cub Elecparts, Inc.

    61,000       850,448  

CyberTAN Technology, Inc.

    508,210       324,200  

Darwin Precisions Corp.

    376,576       331,281  

D-Link Corp.

    973,054       382,120  
 

 

23


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Dynapack International Technology Corp.

    169,000     $ 242,861  

E Ink Holdings, Inc.

    704,000               1,165,003  

Elan Microelectronics Corp.

    522,899       793,575  

Elite Advanced Laser Corp.

    6,000       22,945  

Elite Material Co., Ltd.

    279,782       918,309  

Elite Semiconductor Memory Technology, Inc.

    298,674       455,842  

eMemory Technology, Inc.

    73,000       876,290  

Ennoconn Corp.

    38,000       624,275  

Epistar Corp. (a)

    919,572       1,313,584  

Eternal Materials Co., Ltd.

    1,030,659       1,035,714  

Everlight Chemical Industrial Corp.

    541,304       328,603  

Everlight Electronics Co., Ltd.

    626,503       962,628  

Excelsior Medical Co., Ltd.

    164,403       272,624  

Far Eastern Department Stores, Ltd.

    851,490       474,559  

Far Eastern International Bank

    3,329,096       1,116,664  

Faraday Technology Corp.

    273,385       650,716  

Farglory Land Development Co., Ltd.

    222,464       250,641  

Feng Hsin Steel Co., Ltd.

    461,270       927,065  

Firich Enterprises Co., Ltd. (a)

    192,792       308,129  

FLEXium Interconnect, Inc.

    272,099       932,287  

Formosa Taffeta Co., Ltd.

    951,000       1,046,990  

Formosan Rubber Group, Inc.

    345,610       177,801  

Gamania Digital Entertainment Co., Ltd. (a)

    38,000       98,268  

Gemtek Technology Corp.

    437,234       404,888  

Genius Electronic Optical Co., Ltd. (a)

    62,000       645,368  

GeoVision, Inc.

    180,631       180,897  

Giant Manufacturing Co., Ltd.

    206,000       1,080,975  

Gigabyte Technology Co., Ltd.

    495,000       1,152,742  

Gigastorage Corp. (a)

    391,114       201,211  

Ginko International Co., Ltd.

    39,000       289,587  

Gintech Energy Corp. (a)

    477,275       258,632  

Global Unichip Corp.

    88,669       970,107  

Gloria Material Technology Corp.

    546,909       372,334  

Goldsun Building Materials Co., Ltd. (a)

    1,805,041       580,694  

Gourmet Master Co., Ltd.

    81,200       1,055,486  

Grand Pacific Petrochemical

    851,000       890,198  

Grape King Bio, Ltd.

    109,000       957,026  

Great Wall Enterprise Co., Ltd.

    855,867       1,014,172  

HannStar Display Corp.

    2,242,599       772,992  

HannsTouch Solution, Inc. (a)

    631,511       172,622  

Hey Song Corp.

    295,770       315,480  

Highwealth Construction Corp.

    745,730       1,148,379  

Himax Technologies, Inc. ADR (c)

    101,167       623,189  

Ho Tung Chemical Corp. (a)

    1,561,351       455,173  

Holy Stone Enterprise Co., Ltd.

    58,000       258,600  

Hota Industrial Manufacturing Co., Ltd.

    208,680       887,482  

HTC Corp. (a)

    557,000       1,266,560  

Huaku Development Co., Ltd.

    307,260       757,691  

Huang Hsiang Construction Corp.

    294,484       297,443  

Ibase Technology, Inc.

    350,817       550,464  

Security Description

 

Shares

   

Value

 

Ichia Technologies, Inc. (a)

    358,000     $ 205,662  

Iron Force Industrial Co., Ltd.

    81,000       274,195  

ITE Technology, Inc.

    525,887       691,696  

Jess-Link Products Co., Ltd.

    193,230       194,178  

Jhen Vei Electronic Co., Ltd. (a)

    39,000       22,873  

Jih Sun Financial Holdings Co., Ltd.

    1,836,422       533,474  

KEE TAI Properties Co., Ltd.

    972,076       341,729  

Kenda Rubber Industrial Co., Ltd.

    692,247       870,146  

Kerry TJ Logistics Co., Ltd.

    227,000       294,679  

King Slide Works Co., Ltd.

    60,000       841,650  

King Yuan Electronics Co., Ltd.

    1,172,656                1,216,615  

Kingpak Technology, Inc.

    6,000       47,947  

King’s Town Bank Co., Ltd.

    1,174,000       1,485,770  

Kinpo Electronics

    1,832,371       647,303  

Kinsus Interconnect Technology Corp.

    314,030       600,983  

Kuoyang Construction Co., Ltd. (a)

    850,527       482,773  

Land Mark Optoelectronics Corp.

    20,000       260,658  

LCY Chemical Corp.

    712,862       1,083,094  

Lextar Electronics Corp. (a)

    46,000       32,894  

Lien Hwa Industrial Corp.

    756,000       972,322  

Lingsen Precision Industries, Ltd.

    784,694       356,593  

Lite-On Semiconductor Corp.

    26,000       37,542  

Long Chen Paper Co., Ltd.

    605,000       680,591  

Longwell Co.

    224,000       376,445  

Lotes Co., Ltd.

    73,000       537,041  

Lumax International Corp., Ltd.

    181,322       357,582  

Lung Yen Life Service Corp.

    190,000       411,188  

Machvision, Inc.

    6,000       61,941  

Makalot Industrial Co., Ltd.

    160,070       754,866  

Masterlink Securities Corp.

    1,520,329       481,800  

Medigen Biotechnology Corp. (a)

    193,000       258,154  

Mercuries & Associates Holding, Ltd.

    563,978       486,471  

Merida Industry Co., Ltd.

    204,000       958,535  

Merry Electronics Co., Ltd.

    161,000       922,146  

Microbio Co., Ltd. (a)

    511,723       383,481  

Micro-Star International Co., Ltd.

    578,000       1,936,777  

MIN AIK Technology Co., Ltd.

    200,800       160,808  

Mirle Automation Corp.

    297,331       458,891  

Mitac Holdings Corp.

    731,412       844,120  

Motech Industries, Inc. (a)

    438,728       343,074  

Nan Kang Rubber Tire Co., Ltd.

    811,204       712,241  

Nantex Industry Co., Ltd.

    670,004       540,011  

Neo Solar Power Corp. (a)

    982,758       436,489  

OBI Pharma, Inc. (a)

    119,000       746,888  

On-Bright Electronics, Inc.

    4,000       43,489  

OptoTech Corp.

    45,000       35,497  

Oriental Union Chemical Corp.

    701,500       715,767  

Pan Jit International, Inc.

    86,000       142,611  

Pan-International Industrial Corp.

    491,539       375,098  

Parade Technologies, Ltd.

    63,000       1,227,287  

PChome Online, Inc.

    85,670       473,055  

PharmaEngine, Inc.

    104,197       514,606  

Phytohealth Corp. (a)

    452,511       380,235  

Pixart Imaging, Inc.

    106,060       452,875  
 

 

24


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Polaris Group/Tw (a)

    48,000     $ 99,039  

Poya International Co., Ltd.

    46,300       581,191  

President Securities Corp. (a)

    1,336,943       674,043  

Primax Electronics, Ltd.

    405,000       894,536  

Prince Housing & Development Corp.

    1,786,996       726,272  

Promate Electronic Co., Ltd.

    375,000       368,479  

Qisda Corp.

    1,434,641               1,062,806  

Radiant Opto-Electronics Corp.

    474,331       1,163,174  

Radium Life Tech Co., Ltd. (a)

    938,810       367,062  

Realtek Semiconductor Corp.

    440,053       1,894,113  

Ritek Corp. (a)

    1,867,045       345,785  

Ruentex Development Co., Ltd. (a)

    788,000       926,995  

Ruentex Industries, Ltd. (a)

    520,000       1,004,081  

Sampo Corp.

    845,527       404,538  

Sanyang Motor Co., Ltd.

    812,945       599,455  

ScinoPharm Taiwan, Ltd.

    499,500       580,754  

SDI Corp.

    54,000       154,831  

Senao International Co., Ltd.

    164,911       295,807  

Sercomm Corp.

    235,000       643,173  

Shin Kong No.1 REIT

    459,000       231,885  

Shinkong Insurance Co., Ltd.

    397,841       416,848  

Shinkong Synthetic Fibers Corp.

    2,516,796       829,523  

ShunSin Technology Holding, Ltd.

    5,000       25,380  

Shuttle, Inc.

    73,000       44,440  

Sigurd Microelectronics Corp.

    894,694       1,120,017  

Silicon Integrated Systems Corp. (a)

    918,299       309,596  

Silicon Motion Technology Corp. ADR

    31,543       1,517,849  

Simplo Technology Co., Ltd.

    115,277       733,405  

Sinbon Electronics Co., Ltd.

    334,444       878,637  

Sinmag Equipment Corp.

    72,726       407,816  

Sino-American Silicon Products, Inc. (a)

    425,058       1,567,162  

Sinon Corp.

    844,662       496,826  

Sinphar Pharmaceutical Co., Ltd.

    415,879       339,470  

Sinyi Realty, Inc.

    627,611       932,042  

Soft-World International Corp.

    101,848       265,125  

Solartech Energy Corp. (a)

    426,207       198,800  

St Shine Optical Co., Ltd.

    37,000       1,084,988  

Sunny Friend Environmental Technology Co., Ltd.

    12,000       92,396  

Sunonwealth Electric Machine Industry Co., Ltd.

    20,000       30,902  

Synnex Technology International Corp.

    1,077,000       1,606,801  

Systex Corp.

    293,000       640,124  

Taichung Commercial Bank Co., Ltd.

    2,661,405       931,040  

Taiflex Scientific Co., Ltd.

    313,699       461,559  

Taimide Tech, Inc.

    31,000       80,910  

Tainan Enterprises Co., Ltd.

    316,000       254,148  

Tainan Spinning Co., Ltd.

    1,624,105       729,697  

Taisun Enterprise Co., Ltd. (a)

    740,549       436,857  

Taiwan Business Bank

    4,282,648       1,277,876  

Taiwan Cogeneration Corp.

    709,469       658,200  

Taiwan Fertilizer Co., Ltd.

    658,000       872,233  

Security Description

 

Shares

   

Value

 

Taiwan Glass Industry Corp. (a)

    944,000     $ 555,256  

Taiwan Hon Chuan Enterprise Co., Ltd.

    404,218       776,356  

Taiwan Land Development Corp. (a)

    869,781       286,079  

Taiwan Paiho, Ltd.

    214,000       595,240  

Taiwan Secom Co., Ltd.

    315,961       976,372  

Taiwan Semiconductor Co., Ltd.

    58,000       155,160  

Taiwan Surface Mounting Technology Corp.

    562,308       538,066  

Taiwan Union Technology Corp.

    224,000       707,563  

Taiyen Biotech Co., Ltd.

    386,979       374,277  

Tatung Co., Ltd. (a)

    1,658,691               1,200,342  

TCI Co., Ltd.

    23,000       322,633  

Teco Electric and Machinery Co., Ltd.

    1,773,000       1,462,450  

Test Rite International Co., Ltd.

    496,896       400,489  

Thye Ming Industrial Co., Ltd.

    288,218       397,378  

Ton Yi Industrial Corp.

    725,000       323,250  

Tong Hsing Electronic Industries, Ltd.

    141,327       601,041  

Tong Yang Industry Co., Ltd.

    412,872       740,584  

Topco Scientific Co., Ltd.

    299,299       867,399  

TPK Holding Co., Ltd. (a)

    229,000       568,632  

Transcend Information, Inc.

    206,484       609,035  

Tripod Technology Corp.

    427,353       1,437,848  

TSRC Corp.

    691,028       705,082  

TTY Biopharm Co., Ltd.

    222,436       755,262  

Tung Ho Steel Enterprise Corp.

    677,258       570,247  

Tung Thih Electronic Co., Ltd.

    38,893       166,073  

TXC Corp.

    470,120       631,245  

U-Ming Marine Transport Corp.

    437,000       522,326  

Unimicron Technology Corp.

    1,221,000       789,376  

Unitech Printed Circuit Board Corp. (a)

    162,000       112,789  

Unity Opto Technology Co., Ltd. (a)

    701,307       233,553  

Unizyx Holding Corp.

    526,694       254,703  

UPC Technology Corp.

    899,536       580,007  

USI Corp.

    1,512,344       754,694  

Visual Photonics Epitaxy Co., Ltd.

    197,371       761,541  

Voltronic Power Technology Corp.

    42,000       813,870  

Wafer Works Corp. (a)

    491,872       767,575  

Walsin Lihwa Corp.

    2,550,000       1,556,745  

Walsin Technology Corp.

    282,000       1,146,106  

Wan Hai Lines, Ltd.

    1,064,320       653,405  

Waterland Financial Holdings Co., Ltd.

    2,228,547       779,613  

Wei Chuan Foods Corp. (a)

    618,899       513,680  

Wistron NeWeb Corp.

    268,872       704,524  

WT Microelectronics Co., Ltd.

    486,090       785,226  

WUS Printed Circuit Co., Ltd.

    360,750       210,335  

XinTec, Inc. (a)

    80,000       183,832  

Yang Ming Marine Transport Corp. (a)

    627,970       223,990  

Yeong Guan Energy Technology Group Co., Ltd.

    92,000       271,359  

YFY, Inc. (a)

    1,778,941       790,112  

Yieh Phui Enterprise Co., Ltd.

    1,223,079       453,039  
 

 

25


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Yulon Finance Corp.

    220,000     $ 916,761  

Yungtay Engineering Co., Ltd.

    397,000       750,238  

Zenitron Corp.

    421,348       330,928  

Zhen Ding Technology Holding, Ltd.

    452,000       1,082,059  

Zinwell Corp.

    524,674       492,157  
   

 

 

 
            162,253,436  
   

 

 

 

THAILAND — 5.8%

   

Bangkok Chain Hospital PCL NVDR

    1,952,000       1,054,966  

Bangkok Land PCL NVDR

    15,170,300       892,656  

Beauty Community PCL (f)

    2,432,400       1,656,863  

BEC World PCL NVDR

    1,075,400       433,324  

Carabao Group PCL Class F (f)

    434,162       860,826  

Central Plaza Hotel PCL NVDR

    820,002       1,258,717  

Chularat Hospital PCL NVDR

    7,739,000       462,806  

CPN Retail Growth Leasehold REIT (f)

    1,420,400       1,022,034  

Dynasty Ceramic PCL NVDR

    3,975,420       376,311  

Esso Thailand PCL NVDR (a)

    1,459,367       826,057  

GFPT PCL (f)

    305,100       130,743  

Global Power Synergy PCL NVDR

    66,100       159,595  

Group Lease PCL NVDR

    799,079       196,767  

Gunkul Engineering PCL NVDR

    6,478,370       729,257  

Hana Microelectronics PCL (f)

    806,657       838,387  

Ichitan Group PCL NVDR (a)

    1,516,500       390,401  

Inter Far East Energy Corp. NVDR (a) (d)

    283,900        

International Engineering PCL (a) (d)

    127,711,868        

Jasmine International PCL NVDR

    2,889,825       568,354  

KCE Electronics PCL NVDR

    398,000       852,766  

Kiatnakin Bank PCL NVDR

    510,500       1,175,440  

Krungthai Card PCL (f)

    46,800       481,919  

LPN Development PCL NVDR

    906,700       298,657  

Major Cineplex Group PCL NVDR

    1,074,300       979,135  

MK Restaurants Group PCL NVDR

    452,731       1,071,381  

Precious Shipping PCL (a) (f)

    616,400       230,633  

Pruksa Holding PCL NVDR

    1,352,531       938,597  

PTG Energy PCL NVDR

    797,700       415,814  

Robinson PCL NVDR

    647,200       1,293,572  

RS PCL (a) (f)

    56,800       52,677  

Siam Global House PCL NVDR

    1,856,476       926,160  

Sino-Thai Engineering & Construction PCL NVDR

    1,292,700       773,057  

Sri Trang Agro-Industry PCL NVDR

    1,017,180       357,818  

Srisawad Corp. PCL NVDR

    730,309       1,424,651  

Supalai PCL NVDR

    1,076,600       753,999  

Tesco Lotus Retail Growth Freehold & Leasehold Property Fund

    1,870,000       1,070,451  

Thai Airways International PCL NVDR (a)

    893,600       437,227  

Thai Vegetable Oil PCL NVDR

    470,000       514,791  

Security Description

 

Shares

   

Value

 

Thaicom PCL NVDR

    701,800     $ 267,075  

Thoresen Thai Agencies PCL (f)

    3,193,706       817,066  

Tipco Asphalt PCL NVDR

    965,400       527,929  

Tisco Financial Group PCL (f)

    323,103       909,276  

TPI Polene PCL (f)

    1,043,400       57,058  

TPI Polene Power PCL NVDR

    4,488,600       990,449  

TTW PCL (f)

    1,718,900       659,635  

VGI Global Media PCL NVDR

    3,996,012       1,003,156  

WHA Corp. PCL NVDR

    9,953,630       1,203,221  
   

 

 

 
            32,341,674  
   

 

 

 

TURKEY — 1.6%

   

Afyon Cimento Sanayi TAS (a)

    315,285       574,635  

AKIS Gayrimenkul Yatirimi A/S REIT

    329,458       272,788  

Albaraka Turk Katilim Bankasi A/S

    1,705,748       676,030  

Aygaz A/S

    126,782       466,623  

Bera Holding A/S (a)

    210,995       156,060  

Dogan Sirketler Grubu Holding A/S (a) (c)

    1,037,907       348,467  

Ihlas Holding A/S (a)

    1,140,954       144,009  

Kardemir Karabuk Demir Celik Sanayi ve Ticaret A/S Class D (a)

    1,291,343       1,297,406  

Koza Altin Isletmeleri A/S (a)

    69,825       716,687  

Koza Anadolu Metal Madencilik Isletmeleri A/S (a)

    186,303       291,583  

Migros Ticaret A/S (a)

    125,115       748,530  

NET Holding A/S (a)

    291,043       164,572  

Pegasus Hava Tasimaciligi A/S (a)

    42,706       385,727  

Tekfen Holding A/S

    258,859       1,110,871  

Torunlar Gayrimenkul Yatirim Ortakligi A/S REIT

    417,489       304,575  

Turkiye Sinai Kalkinma Bankasi A/S

    1,933,748       741,984  

Yazicilar Holding A/S Class A

    95,845       570,028  
   

 

 

 
      8,970,575  
   

 

 

 

UNITED ARAB EMIRATES — 0.7%

 

Air Arabia PJSC

    1,834,393       569,346  

Ajman Bank PJSC (f)

    592,627       163,767  

Al Waha Capital PJSC

    1,110,280       658,974  

Arabtec Holding PJSC (a)

    787,143       477,901  

Dana Gas PJSC (a)

    3,003,693       752,354  

DXB Entertainments PJSC (a)

    2,832,681       374,812  

Eshraq Properties Co. PJSC (a)

    1,700,217       333,285  

RAK Properties PJSC

    2,732,087       505,804  
   

 

 

 
      3,836,243  
   

 

 

 

UNITED KINGDOM — 0.0% (e)

 

Pan African Resources PLC

    1,269,532       128,574  
   

 

 

 

UNITED STATES — 0.2%

   

IntelliEPI, Inc.

    6,000       19,570  

Luxoft Holding, Inc. (a)

    25,451       1,042,218  
 

 

26


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Navios Maritime Acquisition Corp. (c)

    33,400     $ 28,056  
   

 

 

 
      1,089,844  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $580,255,960)

      558,221,175  
   

 

 

 

WARRANTS — 0.0% (e)

   

INDONESIA — 0.0% (e)

   

Medco Energi Internasional Tbk PT (expiring 12/11/20) (a)

    2,135,866       97,737  
   

 

 

 

MALAYSIA — 0.0% (e)

   

Hibiscus Petroleum Bhd (expiring 3/18/21) (a) (f)

    50,260       4,093  

Malaysian Resources Corp. Bhd (expiring 10/29/27) (a)

    303,781       26,310  
   

 

 

 
      30,403  
   

 

 

 

THAILAND — 0.0% (e)

   

International Engineering PCL (expiring 5/22/19) (a) (d)

    13,635,806        

Superblock PCL (expiring 8/31/20) (a)

    2,640,860       22,802  
   

 

 

 
      22,802  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      150,942  
   

 

 

 

SHORT-TERM INVESTMENTS — 3.7%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (g) (h)

    823,507       823,507  

State Street Navigator Securities Lending Government Money Market Portfolio (g) (i)

    19,823,794       19,823,794  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $20,647,301)

 

    20,647,301  
   

 

 

 

TOTAL INVESTMENTS — 103.4%
(Cost $600,903,261)

 

    579,019,418  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (3.4)%

 

    (19,272,977
   

 

 

 

NET ASSETS — 100.0%

 

  $     559,746,441  
   

 

 

 
(a) Non-income producing security.
(b) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 1.9% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $318,757, representing less than 0.05% of the Fund’s net assets.
(e) Amount is less than 0.05% of net assets.
(f) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $7,937,267 representing 1.4% of net assets.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at March 31, 2018.
(i) Investment of cash collateral for securities loaned.

 

ADR   = American Depositary Receipt
ADS   = American Depositary Shares
CPO   = Certificate of Ordinary Participation
GDR   = Global Depositary Receipt
NVDR   = Non Voting Depositary Receipt
REIC   = Real Estate Investment Company
REIT   = Real Estate Investment Trust
 

 

During the period ended March 31, 2018, average notional value related to futures contracts was $0 or less than 0.5% of net assets.

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $   25,386,469     $         —     $         —     $   25,386,469

 

27


Table of Contents

SPDR S&P EMERGING MARKETS SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Chile

    $ 8,116,694     $     $     $ 8,116,694

China

      84,345,470             196,465       84,541,935

Colombia

      203,046                   203,046

Czech Republic

      2,955,918                   2,955,918

Egypt

      6,390,150                   6,390,150

Greece

      5,100,962                   5,100,962

Hong Kong

      15,742,571       52,290       122,292       15,917,153

Hungary

      1,021,657                   1,021,657

India

      73,135,358             0 (a)       73,135,358

Indonesia

      17,290,029                   17,290,029

Malaysia

      28,088,509                   28,088,509

Mexico

      11,386,180                   11,386,180

Monaco

      1,270,391                   1,270,391

Pakistan

      7,072,336                   7,072,336

Peru

      3,313,075                   3,313,075

Philippines

      6,808,816                   6,808,816

Poland

      10,919,961                   10,919,961

Qatar

      2,760,785                   2,760,785

Russia

      5,088,987                   5,088,987

Singapore

      1,430,380                   1,430,380

South Africa

      31,402,038                   31,402,038

Taiwan

      162,253,436                   162,253,436

Thailand

      24,624,557       7,717,117       0 (a)       32,341,674

Turkey

      8,970,575                   8,970,575

United Arab Emirates

      3,672,476       163,767             3,836,243

United Kingdom

      128,574                   128,574

United States

      1,089,844                   1,089,844

Warrants

               

Indonesia

      97,737                   97,737

Malaysia

      26,310       4,093             30,403

Thailand

      22,802             0 (a)       22,802

Short-Term Investments

      20,647,301                   20,647,301
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 570,763,394     $ 7,937,267     $ 318,757     $ 579,019,418
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      379,285     $ 379,285     $ 25,055,869     $ 24,611,647     $     $       823,507     $ 823,507     $ 6,544     $

State Street Navigator Securities Lending Government Money Market Portfolio

      16,261,252       16,261,252       39,107,436       35,544,894                   19,823,794       19,823,794       405,535      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 16,640,537     $ 64,163,305     $ 60,156,541     $     $         $ 20,647,301     $ 412,079     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

28


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.2%

   

ARGENTINA — 0.0% (a)

   

MercadoLibre, Inc.

    132     $ 47,043  
   

 

 

 

AUSTRALIA — 2.0%

   

Amcor, Ltd.

    2,314       25,151  

AMP, Ltd.

    12,549       48,032  

APA Group

    14,312       86,507  

Aristocrat Leisure, Ltd.

    2,627       48,482  

Aurizon Holdings, Ltd.

    2,081       6,752  

Australia & New Zealand Banking Group, Ltd.

    10,407       214,415  

Bank of Queensland, Ltd.

    3,609       30,340  

Bendigo & Adelaide Bank, Ltd. (b)

    2,686       20,273  

Brambles, Ltd.

    9,258       70,872  

Caltex Australia, Ltd.

    450       10,838  

Challenger, Ltd.

    1,826       16,163  

Coca-Cola Amatil, Ltd.

    2,727       18,135  

Cochlear, Ltd.

    28       3,901  

Commonwealth Bank of Australia

    6,513       361,246  

Computershare, Ltd.

    2,957       39,262  

Crown Resorts, Ltd.

    1,018       9,909  

CSL, Ltd.

    1,456       173,622  

Dexus REIT

    3,575       25,557  

Domino’s Pizza Enterprises, Ltd. (b)

    250       8,002  

Flight Centre Travel Group, Ltd. (b)

    392       17,136  

Fortescue Metals Group, Ltd. (b)

    25,419       84,425  

Goodman Group REIT

    8,221       53,159  

GPT Group REIT

    5,886       21,400  

Harvey Norman Holdings, Ltd. (b)

    2,601       7,362  

Healthscope, Ltd.

    8,746       12,981  

Insurance Australia Group, Ltd.

    10,485       60,158  

LendLease Group

    2,334       30,990  

Macquarie Group, Ltd.

    1,430       112,869  

Medibank Pvt, Ltd.

    8,023       17,847  

Mirvac Group REIT

    13,939       22,988  

National Australia Bank, Ltd.

    10,652       232,781  

Newcrest Mining, Ltd.

    2,536       38,049  

QBE Insurance Group, Ltd.

    5,010       37,007  

Ramsay Health Care, Ltd. (b)

    452       21,607  

Scentre Group REIT

    25,230       74,121  

SEEK, Ltd.

    1,309       18,676  

Sonic Healthcare, Ltd.

    1,078       18,919  

Stockland REIT

    10,895       33,679  

Suncorp Group, Ltd.

    7,265       74,339  

Sydney Airport

    12,894       66,364  

Tabcorp Holdings, Ltd.

    11,895       40,055  

Telstra Corp., Ltd.

    20,544       49,481  

TPG Telecom, Ltd. (b)

    1,620       6,822  

Transurban Group Stapled Security

    17,671       154,793  

Treasury Wine Estates, Ltd.

    3,569       46,156  

Vicinity Centres REIT

    5,532       10,226  

Wesfarmers, Ltd.

    2,947       93,946  

Westfield Corp. REIT

    8,119       53,060  

Westpac Banking Corp.

    12,098       265,587  

Woolworths, Ltd.

    1,846       37,226  
   

 

 

 
              3,031,668  
   

 

 

 

Security Description

 

Shares

   

Value

 

AUSTRIA — 0.1%

   

ANDRITZ AG

    170     $ 9,492  

Erste Group Bank AG

    1,383       69,396  

Raiffeisen Bank International AG (c)

    1,020       39,628  
   

 

 

 
      118,516  
   

 

 

 

BELGIUM — 0.3%

   

Ageas

    491       25,338  

Anheuser-Busch InBev SA

    2,876       315,788  

Colruyt SA

    272       15,026  

Groupe Bruxelles Lambert SA

    277       31,614  

Proximus SADP

    442       13,715  

UCB SA

    340       27,673  

Umicore SA

    1,096       57,866  
   

 

 

 
      487,020  
   

 

 

 

BERMUDA — 0.0% (a)

   

Marvell Technology Group, Ltd.

    1,918       40,278  
   

 

 

 

BRAZIL — 1.0%

   

Ambev SA

    21,590       156,358  

B3 SA - Brasil Bolsa Balcao

    8,144       65,400  

Banco Bradesco SA Preference Shares

    11,953       142,058  

Banco Bradesco SA

    3,010       34,840  

Banco do Brasil SA

    3,363       41,516  

Banco Santander Brasil SA

    900       10,807  

BB Seguridade Participacoes SA

    1,287       11,334  

CCR SA

    7,852       29,531  

Cielo SA

    5,722       35,620  

Cosan SA Industria e Comercio

    3,371       42,102  

Embraer SA

    3,087       20,016  

Fibria Celulose SA

    1,400       27,393  

Hypera SA

    2,100       22,847  

Itau Unibanco Holding SA Preference Shares

    10,182       157,191  

Itausa - Investimentos Itau SA Preference Shares

    6,200       25,725  

Itausa - Investimentos Itau SA (c)

    145       602  

Klabin SA

    4,913       30,599  

Kroton Educacional SA

    3,852       15,762  

Localiza Rent a Car SA

    5,700       49,255  

Lojas Renner SA

    2,500       25,838  

Qualicorp SA

    2,100       14,077  

Raia Drogasil SA

    500       11,253  

Rumo SA (c)

    5,500       21,761  

Suzano Papel e Celulose SA

    2,700       27,101  

Telefonica Brasil SA Preference Shares

    2,184       33,119  

TIM Participacoes SA

    1,607       6,963  

Transmissora Alianca de Energia Eletrica SA

    4,600       30,075  

Ultrapar Participacoes SA

    6,360       135,712  

Vale SA

    17,272       219,356  

WEG SA

    2,900       19,728  
   

 

 

 
              1,463,939  
   

 

 

 

CANADA — 3.1%

   

Agnico Eagle Mines, Ltd.

    1,815       76,303  
 

 

29


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Alimentation Couche-Tard, Inc. Class B

    1,823     $ 81,545  

Bank of Montreal

    2,287                172,636  

Bank of Nova Scotia

    4,571       281,369  

Barrick Gold Corp.

    2,168       26,990  

BCE, Inc.

    1,773       76,242  

BlackBerry, Ltd. (c)

    3,437       39,482  

Bombardier, Inc. Class B (c)

    12,262       35,666  

Brookfield Asset Management, Inc. Class A

    3,327       129,596  

CAE, Inc.

    784       14,582  

Cameco Corp.

    2,512       22,816  

Canadian Imperial Bank of Commerce

    1,733       152,862  

Canadian National Railway Co.

    2,216       161,845  

Canadian Pacific Railway, Ltd.

    127       22,381  

Canadian Tire Corp., Ltd. Class A

    260       34,163  

CCL Industries, Inc. Class B

    925       46,664  

CGI Group, Inc. Class A (c)

    524       30,198  

CI Financial Corp. (b)

    1,200       25,689  

Constellation Software, Inc.

    55       37,292  

Dollarama, Inc.

    400       48,580  

Element Fleet Management Corp. (b)

    2,500       8,047  

Enbridge, Inc. (d)

    2,043       64,210  

Enbridge, Inc. (d)

    4,681       147,311  

Fairfax Financial Holdings, Ltd.

    132       66,865  

Finning International, Inc.

    16       386  

First Quantum Minerals, Ltd.

    8,698       122,045  

Franco-Nevada Corp.

    1,423       97,019  

George Weston, Ltd.

    800       64,360  

Goldcorp, Inc.

    4,110       56,713  

Great-West Lifeco, Inc.

    524       13,364  

Hydro One, Ltd. (e)

    11,567       187,692  

Intact Financial Corp.

    300       22,527  

Inter Pipeline, Ltd. (b)

    3,344       57,996  

Loblaw Cos., Ltd.

    825       41,652  

Lundin Mining Corp.

    21,100       138,294  

Magna International, Inc.

    182       10,245  

Manulife Financial Corp.

    5,508       102,192  

Metro, Inc.

    600       19,127  

National Bank of Canada

    800       37,628  

Open Text Corp.

    520       18,077  

Pembina Pipeline Corp.

    8,163       254,530  

Power Corp. of Canada

    1,048       23,899  

Power Financial Corp.

    800       20,018  

PrairieSky Royalty, Ltd. (b)

    12,087       264,100  

Restaurant Brands International, Inc.

    1,060       60,282  

Rogers Communications, Inc. Class B

    1,563       69,758  

Royal Bank of Canada

    5,372       414,676  

Shaw Communications, Inc. Class B

    1,408       27,106  

Shopify, Inc. Class A (c)

    200       24,870  

SNC-Lavalin Group, Inc. (b)

    1,598       70,117  

Sun Life Financial, Inc. (b)

    1,687       69,233  

TELUS Corp.

    1,300       45,617  

Thomson Reuters Corp.

    690       26,647  

Security Description

 

Shares

   

Value

 

Toronto-Dominion Bank

    6,917     $ 392,245  

Wheaton Precious Metals Corp.

    5,812       118,336  
   

 

 

 
              4,674,085  
   

 

 

 

CHILE — 0.3%

   

Aguas Andinas SA Class A

    83,447       54,311  

Antofagasta PLC

    16,766       216,613  

Cencosud SA

    10,492       32,125  

SACI Falabella

    3,062       29,543  

Sociedad Quimica y Minera de Chile SA Class B, Preference Shares

    936       45,588  
   

 

 

 
      378,180  
   

 

 

 

CHINA — 3.5%

   

58.com, Inc. ADR (c)

    300       23,958  

AAC Technologies Holdings, Inc.

    2,500       45,105  

Agricultural Bank of China, Ltd. Class H

    150,000       85,241  

Alibaba Group Holding, Ltd. ADR (b) (c)

    3,785       694,699  

ANTA Sports Products, Ltd.

    3,000       15,137  

Baidu, Inc. ADR (c)

    913       203,773  

Bank of China, Ltd. Class H

    341,000       183,354  

Bank of Communications Co., Ltd. Class H

    77,000       60,338  

Beijing Capital International Airport Co., Ltd. Class H

    22,000       29,545  

Beijing Enterprises Water Group, Ltd.

    68,000       37,950  

Brilliance China Automotive Holdings, Ltd.

    12,000       25,045  

Byd Co., Ltd. Class H (b)

    2,000       15,596  

CGN Power Co., Ltd. Class H (e)

    369,200       95,495  

China Cinda Asset Management Co., Ltd. Class H

    54,000       19,609  

China CITIC Bank Corp., Ltd. Class H

    68,000       46,441  

China Construction Bank Corp. Class H

    347,000       356,360  

China Everbright Bank Co., Ltd. Class H

    17,000       8,166  

China Evergrande Group (b) (c)

    12,700       39,969  

China Life Insurance Co., Ltd. Class H

    34,000       93,574  

China Mengniu Dairy Co., Ltd.

    6,000       20,565  

China Merchants Bank Co., Ltd. Class H

    19,500       79,880  

China Merchants Port Holdings Co., Ltd.

    26,598       58,630  

China Minsheng Banking Corp., Ltd. Class H (b)

    40,000       38,887  

China Mobile, Ltd.

    17,000       155,849  

China Oilfield Services, Ltd. Class H

    34,000       35,047  

China Overseas Land & Investment, Ltd.

    6,000       20,833  

China Pacific Insurance Group Co., Ltd. Class H

    10,400       46,578  

China Resources Beer Holdings Co., Ltd.

    6,000       25,993  
 

 

30


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Resources Gas Group, Ltd.

    28,000     $ 97,219  

China Taiping Insurance Holdings Co., Ltd.

    2,000       6,613  

China Telecom Corp., Ltd. Class H

    34,000       14,989  

China Unicom Hong Kong, Ltd. (c)

    22,000       27,751  

China Vanke Co., Ltd. Class H

    6,696       30,544  

Chongqing Rural Commercial Bank Co., Ltd. Class H

    26,000       19,910  

CITIC Securities Co., Ltd. Class H

    8,500       19,451  

COSCO SHIPPING Ports, Ltd.

    12,953       10,893  

Country Garden Holdings Co., Ltd.

    17,000       35,004  

CSPC Pharmaceutical Group, Ltd.

    12,000       31,880  

Ctrip.com International, Ltd. ADR (c)

    1,163       54,219  

Geely Automobile Holdings, Ltd.

    19,000       54,713  

Great Wall Motor Co., Ltd. Class H (b)

    25,500       25,571  

Guangdong Investment, Ltd.

    26,000       40,880  

Guangzhou Automobile Group Co., Ltd. Class H

    12,000       22,109  

Haitian International Holdings, Ltd.

    4,000       12,130  

Haitong Securities Co., Ltd. Class H

    1,600       2,116  

Huaneng Renewables Corp., Ltd. Class H

    188,000       70,186  

Huatai Securities Co., Ltd. Class H (e)

    6,500       12,506  

Industrial & Commercial Bank of China, Ltd. Class H

    287,000               246,106  

JD.com, Inc. ADR (b) (c)

    2,405       97,378  

Jiangsu Expressway Co., Ltd. Class H

    24,000       33,944  

Lenovo Group, Ltd. (b)

    34,000       17,372  

NetEase, Inc. ADR

    271       75,986  

New China Life Insurance Co., Ltd. Class H

    3,200       14,903  

New Oriental Education & Technology Group, Inc. ADR

    405       35,498  

People’s Insurance Co. Group of China, Ltd. Class H

    78,000       36,474  

PICC Property & Casualty Co., Ltd. Class H

    12,000       21,008  

Ping An Insurance Group Co. of China, Ltd. Class H

    19,500       198,272  

Shanghai Electric Group Co., Ltd. Class H (b) (c)

    44,000       15,249  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

    3,500       21,495  

Shanghai Industrial Holdings, Ltd.

    3,000       7,817  

SINA Corp. (c)

    164       17,100  

Sunac China Holdings, Ltd.

    8,000       30,886  

Sunny Optical Technology Group Co., Ltd.

    2,000       36,925  

TAL Education Group ADR

    1,026       38,054  

Tencent Holdings, Ltd.

    19,184       1,001,206  

Vipshop Holdings, Ltd. ADR (c)

    1,407       23,384  

Want Want China Holdings, Ltd.

    17,000       13,625  

Weibo Corp. ADR

    16       1,913  

Yangzijiang Shipbuilding Holdings, Ltd.

    34,000       31,373  

Security Description

 

Shares

   

Value

 

Yum China Holdings, Inc.

    1,410     $ 58,515  

Zhejiang Expressway Co., Ltd. Class H

    24,000       24,495  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    2,000       9,684  

ZTE Corp. Class H (c)

    4,600       14,975  
   

 

 

 
              5,273,938  
   

 

 

 

COLOMBIA — 0.2%

   

Bancolombia SA

    3,396       36,743  

Bancolombia SA Preference Shares

    2,562       26,858  

Grupo Aval Acciones y Valores SA Preference Shares

    171,816       71,664  

Grupo de Inversiones Suramericana SA Preference Shares

    696       8,871  

Grupo de Inversiones Suramericana SA

    6,331       84,501  

Interconexion Electrica SA ESP

    26,273       125,293  
   

 

 

 
      353,930  
   

 

 

 

CZECH REPUBLIC — 0.0% (a)

   

Komercni banka A/S

    477       21,746  
   

 

 

 

DENMARK — 0.5%

   

Carlsberg A/S Class B

    9       1,070  

Chr Hansen Holding A/S

    677       58,195  

Coloplast A/S Class B

    374       31,508  

Danske Bank A/S

    1,712       63,668  

Genmab A/S (c)

    153       32,766  

ISS A/S

    513       18,926  

Novo Nordisk A/S Class B

    6,352       311,789  

Novozymes A/S Class B

    1,759       90,665  

Pandora A/S

    425       45,565  

TDC A/S (c)

    3,362       27,802  

Vestas Wind Systems A/S

    753       53,398  
   

 

 

 
      735,352  
   

 

 

 

FINLAND — 0.3%

   

Kone Oyj Class B

    1,660       82,744  

Metso Oyj (b)

    100       3,150  

Neste Oyj (b)

    674       46,917  

Nokia Oyj (d)

    21,883       120,704  

Nokia Oyj (d)

    2,449       13,484  

Nokian Renkaat Oyj

    493       22,373  

Sampo Oyj Class A

    1,689       94,015  

Wartsila Oyj Abp

    2,169       47,882  
   

 

 

 
      431,269  
   

 

 

 

FRANCE — 3.6%

   

Aeroports de Paris

    579       126,039  

Airbus SE

    2,401       276,979  

Alstom SA

    1,174       52,859  

Amundi SA (e)

    358       28,733  

Atos SE

    332       45,363  

AXA SA

    8,100       215,175  

BNP Paribas SA

    3,820       282,680  

Bollore SA (d)

    10,605       56,474  

Bollore SA (c) (d)

    60       318  

Bureau Veritas SA

    1,464       38,009  

Capgemini SE

    707       87,994  
 

 

31


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

CNP Assurances

    1,654     $ 41,701  

Credit Agricole SA

    4,635       75,273  

Danone SA

    2,188       176,874  

Dassault Aviation SA

    17       32,428  

Dassault Systemes SE

    292       39,646  

Edenred

    1,821       63,245  

Eiffage SA

    370       42,083  

Essilor International Cie Generale d’Optique SA

    744       100,285  

Eurazeo SA

    530       48,724  

Eutelsat Communications SA

    1,018       20,157  

Fonciere Des Regions REIT

    419       46,197  

Gecina SA REIT

    325       56,398  

Getlink SE

    4,744       67,679  

Hermes International

    125       74,022  

ICADE REIT

    196       19,019  

Iliad SA

    175       36,158  

Ingenico Group SA

    194       15,718  

Kering SA

    293       140,103  

Klepierre SA REIT

    1,431       57,637  

Lagardere SCA

    340       9,701  

Legrand SA

    1,385       108,503  

L’Oreal SA

    1,336       301,259  

LVMH Moet Hennessy Louis Vuitton SE

    1,124       345,864  

Natixis SA

    4,073       33,351  

Orange SA

    8,254       139,934  

Pernod Ricard SA

    970       161,347  

Peugeot SA

    2,778       66,793  

Publicis Groupe SA

    734       51,075  

Remy Cointreau SA

    157       22,359  

Renault SA

    1,182       143,188  

Rexel SA

    2,366       40,010  

Safran SA

    1,630       172,360  

Sanofi

    4,287       344,444  

Schneider Electric SE

    2,899       254,351  

SCOR SE

    776       31,742  

Societe BIC SA

    102       10,142  

Societe Generale SA

    2,855       155,056  

Sodexo SA

    502       50,564  

Teleperformance

    113       17,511  

Thales SA

    437       53,175  

Ubisoft Entertainment SA (c)

    223       18,792  

Unibail-Rodamco SE REIT (b)

    463       105,713  

Valeo SA

    673       44,397  

Vinci SA

    2,781       273,275  

Vivendi SA

    5,191       134,067  
   

 

 

 
              5,452,943  
   

 

 

 

GERMANY — 3.1%

   

1&1 Drillisch AG

    287       19,325  

adidas AG

    708       171,230  

Allianz SE

    1,887       425,621  

BASF SE

    3,352       339,979  

Bayer AG

    2,484       280,414  

Bayerische Motoren Werke AG

    1,636       177,361  

Bayerische Motoren Werke AG Preference Shares

    630       59,001  

Beiersdorf AG

    528       59,754  

Security Description

 

Shares

   

Value

 

Brenntag AG

    1,132     $ 67,243  

Commerzbank AG (c)

    2,569       33,314  

Continental AG

    272       75,033  

Daimler AG

    4,212       357,274  

Deutsche Bank AG

    9,178       127,843  

Deutsche Boerse AG

    607       82,565  

Deutsche Post AG

    1,935       84,529  

Deutsche Telekom AG

    11,989       195,367  

Deutsche Wohnen SE

    790       36,823  

Fraport AG Frankfurt Airport Services Worldwide

    476       46,891  

Fresenius Medical Care AG & Co. KGaA

    838       85,520  

Fresenius SE & Co. KGaA

    1,467       111,968  

Fuchs Petrolub SE Preference Shares

    747       40,515  

GEA Group AG

    595       25,282  

Hannover Rueck SE

    78       10,638  

Henkel AG & Co. KGaA Preference Shares

    547       71,881  

Henkel AG & Co. KGaA

    601       75,614  

HUGO BOSS AG

    279       24,280  

Infineon Technologies AG

    4,246       113,525  

KION Group AG

    220       20,493  

Merck KGaA

    510       48,861  

MTU Aero Engines AG

    235       39,537  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    886       205,780  

ProSiebenSat.1 Media SE

    645       22,354  

SAP SE

    3,694       386,024  

Siemens AG

    3,027       385,380  

Symrise AG

    1,081       86,894  

Telefonica Deutschland Holding AG

    9,319       43,735  

United Internet AG

    332       20,865  

Volkswagen AG Preference Shares

    733       145,481  

Vonovia SE

    1,303       64,500  

Wirecard AG

    397       46,833  

Zalando SE (c) (e)

    319       17,372  
   

 

 

 
              4,732,899  
   

 

 

 

GREECE — 0.0% (a)

   

Alpha Bank AE (c)

    2,943       6,262  

OPAP SA

    1,717       19,617  
   

 

 

 
      25,879  
   

 

 

 

HONG KONG — 1.2%

   

AIA Group, Ltd.

    44,000       372,259  

BOC Hong Kong Holdings, Ltd.

    5,500       26,770  

China Gas Holdings, Ltd.

    8,000       29,102  

CK Asset Holdings, Ltd.

    9,459       79,364  

CK Hutchison Holdings, Ltd.

    500       5,982  

CK Infrastructure Holdings, Ltd.

    2,000       16,347  

Galaxy Entertainment Group, Ltd.

    7,000       63,549  

Hanergy Thin Film Power Group, Ltd. (c) (f)

    24,000        

Hang Lung Properties, Ltd.

    11,000       25,621  

Henderson Land Development Co., Ltd.

    5,630       36,657  
 

 

32


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Hong Kong & China Gas Co., Ltd.

    112,020     $ 230,083  

Hong Kong Exchanges & Clearing, Ltd.

    2,874       93,453  

Hongkong Land Holdings, Ltd.

    6,800       46,852  

Jardine Matheson Holdings, Ltd.

    800       49,296  

Kerry Properties, Ltd.

    7,000       31,529  

Kingston Financial Group, Ltd. (b)

    22,000       9,839  

Li & Fung, Ltd.

    34,000       16,635  

Link REIT

    7,000       59,758  

Melco Resorts & Entertainment, Ltd. ADR

    1,409       40,833  

MTR Corp., Ltd.

    11,380       61,190  

Power Assets Holdings, Ltd.

    24,500       218,363  

Sands China, Ltd.

    11,200       60,222  

Sino Land Co., Ltd.

    6,237       10,093  

Sun Hung Kai Properties, Ltd.

    6,000       94,798  

Swire Properties, Ltd.

    6,800       23,827  

Techtronic Industries Co., Ltd.

    4,000       23,317  

Wharf Holdings, Ltd.

    5,000       17,169  

Wheelock & Co., Ltd.

    4,000       29,229  
   

 

 

 
              1,772,137  
   

 

 

 

HUNGARY — 0.0% (a)

   

OTP Bank PLC

    1,274       57,317  
   

 

 

 

INDIA — 0.9%

   

Adani Ports & Special Economic Zone, Ltd.

    5,918       32,130  

Asian Paints, Ltd.

    3,701       63,577  

Axis Bank, Ltd.

    4,683       36,655  

Bajaj Auto, Ltd.

    578       24,324  

Bharat Petroleum Corp., Ltd.

    10,860       71,174  

Bharti Airtel, Ltd.

    4,501       27,515  

Bharti Infratel, Ltd.

    3,012       15,524  

Eicher Motors, Ltd.

    52       22,621  

Godrej Consumer Products, Ltd.

    1,128       18,914  

HCL Technologies, Ltd.

    1,915       28,439  

Hindustan Petroleum Corp., Ltd.

    6,902       36,493  

Hindustan Unilever, Ltd.

    3,336       68,199  

Housing Development Finance Corp., Ltd.

    5,058       141,577  

ICICI Bank, Ltd. ADR

    4,895       43,321  

Idea Cellular, Ltd. (c)

    15,021       17,480  

Infosys, Ltd. ADR (b)

    8,224       146,798  

ITC, Ltd.

    17,927       70,227  

Larsen & Toubro, Ltd. GDR

    2,818       56,642  

Lupin, Ltd.

    329       3,712  

Mahindra & Mahindra, Ltd. GDR

    2,238       25,737  

Maruti Suzuki India, Ltd.

    421       57,198  

Nestle India, Ltd.

    195       24,527  

Power Finance Corp., Ltd.

    4,887       6,418  

Reliance Industries, Ltd.

    2,260       30,586  

Rural Electrification Corp., Ltd.

    8,180       15,640  

State Bank of India GDR

    929       35,859  

Sun Pharmaceutical Industries, Ltd.

    2,792       21,194  

Tata Consultancy Services, Ltd.

    1,849       80,772  

Tata Motors, Ltd. (c) (d)

    10,536       29,611  

Tata Motors, Ltd. (c) (d)

    2,808       14,072  

Tech Mahindra, Ltd.

    2,866       28,066  

Security Description

 

Shares

   

Value

 

Titan Co., Ltd.

    1,844     $ 26,641  

United Spirits, Ltd. (c)

    413       19,818  

Wipro, Ltd. ADR (b)

    3,204       16,533  

Yes Bank, Ltd.

    4,203       19,645  
   

 

 

 
              1,377,639  
   

 

 

 

INDONESIA — 0.3%

   

Astra International Tbk PT

    91,800       48,675  

Bank Central Asia Tbk PT

    36,500       61,772  

Bank Mandiri Persero Tbk PT

    68,000       37,908  

Bank Rakyat Indonesia Persero Tbk PT

    170,000       44,452  

Gudang Garam Tbk PT

    4,700       24,742  

Hanjaya Mandala Sampoerna Tbk PT

    159,000       45,965  

Indofood CBP Sukses Makmur Tbk PT

    15,600       9,376  

Jasa Marga Persero Tbk PT

    63,050       20,975  

Telekomunikasi Indonesia Persero Tbk PT

    248,900       65,084  

Unilever Indonesia Tbk PT

    8,500       30,577  
   

 

 

 
      389,526  
   

 

 

 

IRELAND — 0.2%

   

AerCap Holdings NV (c)

    882       44,735  

AIB Group PLC

    4,628       27,844  

James Hardie Industries PLC

    1,323       23,209  

Kerry Group PLC Class A

    537       54,419  

Paddy Power Betfair PLC

    286       29,352  

XL Group, Ltd.

    1,187       65,594  
   

 

 

 
      245,153  
   

 

 

 

ISRAEL — 0.1%

   

Bank Leumi Le-Israel BM

    2,181       13,114  

Bezeq The Israeli Telecommunication Corp., Ltd.

    5,345       6,821  

Check Point Software Technologies, Ltd. (c)

    528       52,452  

Elbit Systems, Ltd.

    88       10,552  

Frutarom Industries, Ltd.

    654       59,814  

Teva Pharmaceutical Industries, Ltd.

    3,531       59,902  
   

 

 

 
      202,655  
   

 

 

 

ITALY — 0.7%

   

Assicurazioni Generali SpA

    6,502       124,945  

Atlantia SpA

    3,522       108,938  

Davide Campari-Milano SpA

    2,841       21,488  

Ferrari NV

    783       93,928  

Intesa Sanpaolo SpA

    53,695       195,040  

Leonardo SpA

    1,722       19,861  

Luxottica Group SpA

    759       47,140  

Mediobanca Banca di Credito Finanziario SpA

    2,469       28,993  

Poste Italiane SpA (e)

    3,413       31,145  

Snam SpA

    11,356       52,136  

Telecom Italia SpA/Milano

    132,070       109,865  

Terna Rete Elettrica Nazionale SpA

    15,163       88,560  

UniCredit SpA (c)

    7,296       152,433  
 

 

33


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

UnipolSai Assicurazioni SpA

    12,711     $ 30,218  
   

 

 

 
              1,104,690  
   

 

 

 

JAPAN — 8.0%

   

Aisin Seiki Co., Ltd.

    300       16,192  

Alfresa Holdings Corp. (b)

    600       13,365  

Alps Electric Co., Ltd. (b)

    500       12,177  

Amada Holdings Co., Ltd.

    900       10,790  

Asahi Group Holdings, Ltd.

    1,300       69,553  

Asics Corp. (b)

    400       7,376  

Astellas Pharma, Inc.

    8,200       124,600  

Bandai Namco Holdings, Inc.

    400       12,788  

Bank of Kyoto, Ltd.

    200       11,171  

Benesse Holdings, Inc.

    600       21,551  

Bridgestone Corp.

    800       34,813  

Brother Industries, Ltd.

    500       11,410  

Canon, Inc.

    4,800       173,766  

Casio Computer Co., Ltd. (b)

    1,100       16,177  

Central Japan Railway Co.

    800       151,274  

Chiba Bank, Ltd.

    3,000       24,175  

Chugai Pharmaceutical Co., Ltd.

    600       30,071  

Coca-Cola Bottlers Japan Holdings, Inc.

    600       24,654  

Concordia Financial Group, Ltd.

    5,600       31,225  

Daifuku Co., Ltd.

    400       23,282  

Dai-ichi Life Holdings, Inc.

    3,300       60,353  

Daiichi Sankyo Co., Ltd.

    1,700       56,507  

Daikin Industries, Ltd.

    1,200       131,396  

Daito Trust Construction Co., Ltd.

    200       33,869  

Daiwa House Industry Co., Ltd.

    2,600       98,768  

Daiwa Securities Group, Inc.

    11,000       69,951  

DeNA Co., Ltd. (b)

    200       3,607  

Denso Corp.

    2,000       108,735  

Dentsu, Inc.

    1,200       52,468  

East Japan Railway Co.

    1,100       102,108  

Eisai Co., Ltd.

    1,100       70,189  

FANUC Corp.

    700       174,885  

Fast Retailing Co., Ltd.

    200       78,872  

FUJIFILM Holdings Corp.

    600       23,673  

Fujitsu, Ltd.

    5,000       30,042  

Fukuoka Financial Group, Inc.

    3,000       16,248  

Hachijuni Bank Ltd.

    3,100       16,673  

Hankyu Hanshin Holdings, Inc.

    400       14,857  

Hitachi Chemical Co., Ltd.

    400       8,816  

Hitachi, Ltd.

    13,000       93,280  

Honda Motor Co., Ltd.

    5,600       191,722  

Hoshizaki Corp.

    200       17,640  

Hoya Corp.

    1,400       69,888  

IHI Corp.

    500       15,421  

Iida Group Holdings Co., Ltd.

    200       3,693  

Isetan Mitsukoshi Holdings, Ltd.

    1,900       20,778  

Isuzu Motors, Ltd.

    3,100       46,901  

ITOCHU Corp. (b)

    7,200       138,889  

Japan Airport Terminal Co., Ltd. (b)

    300       11,509  

Japan Exchange Group, Inc.

    300       5,543  

Japan Post Bank Co., Ltd. (b)

    3,700       49,855  

Japan Post Holdings Co., Ltd.

    6,332       76,508  

Japan Real Estate Investment Corp. REIT

    3       15,543  

Security Description

 

Shares

   

Value

 

Japan Tobacco, Inc.

    4,700     $ 134,128  

JGC Corp. (b)

    1,400       30,014  

Kajima Corp.

    6,000       55,684  

Kamigumi Co., Ltd.

    2,000       44,269  

Kansai Paint Co., Ltd.

    2,800       64,820  

Kao Corp.

    1,400       104,417  

KDDI Corp.

    6,600       167,901  

Keikyu Corp.

    1,000       17,442  

Keio Corp.

    400       17,076  

Keisei Electric Railway Co., Ltd.

    1,000       30,465  

Keyence Corp.

    300       184,767  

Kikkoman Corp.

    400       16,023  

Kirin Holdings Co., Ltd.

    1,700       44,974  

Koito Manufacturing Co., Ltd.

    600       41,354  

Komatsu, Ltd.

    3,000       98,872  

Konami Holdings Corp.

    300       15,007  

Kose Corp.

    100       20,771  

Kubota Corp.

    3,600       62,454  

Kyocera Corp.

    1,000       55,731  

Lawson, Inc. (b)

    700       47,654  

Lion Corp.

    100       2,036  

M3, Inc. (b)

    500       22,661  

Mabuchi Motor Co., Ltd.

    200       9,817  

Makita Corp.

    800       39,116  

Marubeni Corp.

    58,100       418,855  

Marui Group Co., Ltd. (b)

    500       9,967  

Mazda Motor Corp. (b)

    1,700       22,531  

Mebuki Financial Group, Inc.

    6,200       23,786  

Medipal Holdings Corp.

    1,300       26,868  

MINEBEA MITSUMI, Inc.

    800       16,873  

MISUMI Group, Inc. (b)

    1,200       32,666  

Mitsubishi Corp.

    11,200       297,561  

Mitsubishi Electric Corp.

    7,000       111,862  

Mitsubishi Estate Co., Ltd.

    5,000       82,276  

Mitsubishi Heavy Industries, Ltd.

    1,100       41,983  

Mitsubishi Motors Corp. (b)

    1,700       12,021  

Mitsubishi Tanabe Pharma Corp.

    500       10,042  

Mitsubishi UFJ Financial Group, Inc.

    44,400       290,698  

Mitsui & Co., Ltd.

    37,600       639,925  

Mitsui Fudosan Co., Ltd.

    3,800       90,471  

Mizuho Financial Group, Inc. (b)

    101,800       183,307  

MS&AD Insurance Group Holdings, Inc.

    1,800       55,447  

Murata Manufacturing Co., Ltd.

    500       68,124  

Nabtesco Corp.

    400       15,327  

NEC Corp.

    600       16,700  

Nexon Co., Ltd. (c)

    1,200       20,186  

NGK Spark Plug Co., Ltd.

    600       14,268  

Nidec Corp.

    900       136,248  

Nikon Corp.

    1,700       30,355  

Nintendo Co., Ltd. (b)

    400       175,496  

Nippon Building Fund, Inc. REIT

    3       16,587  

Nippon Paint Holdings Co., Ltd. (b)

    1,600       58,298  

Nippon Telegraph & Telephone Corp.

    2,600       119,842  

Nissan Chemical Industries, Ltd.

    400       16,399  

Nissan Motor Co., Ltd. (b)

    6,400       65,866  
 

 

34


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Nitori Holdings Co., Ltd.

    300     $ 52,144  

Nitto Denko Corp.

    700       52,077  

Nomura Holdings, Inc.

    17,000       97,700  

Nomura Real Estate Holdings, Inc.

    1,200       27,825  

Nomura Research Institute, Ltd.

    800       37,273  

NTT Data Corp.

    1,500       15,557  

NTT DOCOMO, Inc.

    6,000       151,735  

Obayashi Corp.

    3,700       40,218  

Odakyu Electric Railway Co., Ltd. (b)

    1,400       28,303  

Olympus Corp.

    1,200       45,360  

Omron Corp. (b)

    500       28,726  

Ono Pharmaceutical Co., Ltd.

    1,400       44,139  

Oriental Land Co., Ltd.

    1,100       111,603  

ORIX Corp.

    4,800       84,784  

Otsuka Holdings Co., Ltd.

    900       44,793  

Panasonic Corp.

    6,800       96,134  

Rakuten, Inc.

    5,500       45,138  

Recruit Holdings Co., Ltd.

    4,500                 111,030  

Renesas Electronics Corp. (c)

    2,600       25,694  

Resona Holdings, Inc.

    11,900       63,209  

Rohm Co., Ltd.

    300       27,927  

Ryohin Keikaku Co., Ltd.

    100       33,098  

SBI Holdings, Inc. (b)

    1,700       39,035  

Secom Co., Ltd.

    1,500       110,437  

Sekisui House, Ltd.

    3,400       61,766  

Seven & i Holdings Co., Ltd.

    2,300       98,012  

Seven Bank, Ltd. (b)

    5,300       16,844  

Sharp Corp. (c)

    700       20,733  

Shimano, Inc.

    200       28,679  

Shimizu Corp.

    5,600       49,339  

Shin-Etsu Chemical Co., Ltd.

    1,700       173,836  

Shinsei Bank, Ltd.

    600       9,236  

Shionogi & Co., Ltd. (b)

    800       41,260  

Shiseido Co., Ltd.

    1,200       76,592  

Shizuoka Bank, Ltd.

    2,000       18,994  

SMC Corp.

    200       80,094  

SoftBank Group Corp.

    3,100       227,537  

Sohgo Security Services Co., Ltd.

    200       9,723  

Sompo Holdings, Inc.

    1,700       67,792  

Sony Corp.

    4,700       225,830  

Start Today Co., Ltd.

    500       12,830  

Subaru Corp.

    2,600       85,298  

Sumitomo Corp.

    4,000       66,159  

Sumitomo Heavy Industries, Ltd.

    300       11,283  

Sumitomo Metal Mining Co., Ltd. (b)

    1,400       56,935  

Sumitomo Mitsui Financial Group, Inc.

    5,900       246,929  

Sumitomo Mitsui Trust Holdings, Inc.

    1,700       68,783  

Sumitomo Realty & Development Co., Ltd.

    1,000       36,897  

Suntory Beverage & Food, Ltd.

    300       14,527  

Suzuki Motor Corp. (b)

    1,700       91,162  

Sysmex Corp.

    500       44,852  

T&D Holdings, Inc.

    1,100       17,309  

Taisei Corp.

    1,300       65,764  

Security Description

 

Shares

   

Value

 

Takeda Pharmaceutical Co., Ltd.

    3,000     $ 144,429  

Terumo Corp.

    1,100       56,681  

Toho Gas Co., Ltd. (b)

    3,200       99,144  

Tokio Marine Holdings, Inc.

    3,000       134,640  

Tokyo Electron, Ltd.

    600       108,406  

Tokyu Corp.

    1,800       28,147  

Toshiba Corp. (c)

    7,000       20,141  

TOTO, Ltd.

    800       41,298  

Toyota Industries Corp.

    800       47,842  

Toyota Motor Corp.

    9,700       624,047  

Toyota Tsusho Corp.

    2,500       83,333  

Trend Micro, Inc.

    200       11,603  

Unicharm Corp.

    1,000       28,669  

USS Co., Ltd.

    1,000       20,254  

Yahoo! Japan Corp. (b)

    5,100       23,690  

Yakult Honsha Co., Ltd.

    300       22,370  

Yamaha Corp.

    300       12,990  

Yamaha Motor Co., Ltd.

    600       17,630  

Yamato Holdings Co., Ltd. (b)

    200       4,983  

Yaskawa Electric Corp.

    500       22,191  
   

 

 

 
              12,169,307  
   

 

 

 

LUXEMBOURG — 0.1%

   

Millicom International Cellular SA SDR

    188       12,785  

SES SA

    1,540       20,805  

Tenaris SA

    2,506       42,994  
   

 

 

 
      76,584  
   

 

 

 

MACAU — 0.0% (a)

   

MGM China Holdings, Ltd.

    6,800       17,545  
   

 

 

 

MALAYSIA — 0.4%

   

AMMB Holdings Bhd

    23,300       23,372  

Astro Malaysia Holdings Bhd

    38,500       20,305  

Axiata Group Bhd

    16,200       22,868  

British American Tobacco Malaysia Bhd

    900       6,119  

CIMB Group Holdings Bhd

    21,820       40,391  

Dialog Group Bhd

    67,300       51,502  

Gamuda Bhd

    23,100       30,756  

IHH Healthcare Bhd

    12,900       20,010  

IOI Properties Group Bhd

    8,712       3,626  

Malayan Banking Bhd

    23,144       62,946  

Maxis Bhd

    11,000       16,153  

Petronas Chemicals Group Bhd

    200       421  

Petronas Dagangan Bhd

    17,900       114,305  

PPB Group Bhd

    11,100       54,926  

Sapura Energy Bhd

    1,000       131  

Telekom Malaysia Bhd

    13,400       18,049  

Westports Holdings Bhd

    65,162       59,468  
   

 

 

 
      545,348  
   

 

 

 

MEXICO — 0.4%

   

America Movil SAB de CV Series L

    78,072       73,780  

Arca Continental SAB de CV

    3,200       22,038  

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand Class B (b)

    14,700       21,059  
 

 

35


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Coca-Cola Femsa SAB de CV Series L

    1,687     $ 11,112  

Fibra Uno Administracion SA de CV REIT

    22,096       33,119  

Fomento Economico Mexicano SAB de CV

    6,730       61,137  

Fresnillo PLC

    3,196       56,871  

Grupo Aeroportuario del Pacifico SAB de CV Class B

    1,687       16,602  

Grupo Aeroportuario del Sureste SAB de CV Class B

    3,014       50,596  

Grupo Financiero Banorte SAB de CV Series O

    9,862       60,041  

Grupo Financiero Inbursa SAB de CV Series O (b)

    13,000       21,430  

Grupo Mexico SAB de CV Series B

    3,743       12,416  

Grupo Televisa SAB Series CPO (b)

    6,730       21,322  

Promotora y Operadora de Infraestructura SAB de CV

    4,364       43,211  

Wal-Mart de Mexico SAB de CV

    23,537       59,650  
   

 

 

 
      564,384  
   

 

 

 

NETHERLANDS — 0.8%

   

ABN AMRO Group NV (e)

    833       25,069  

Aegon NV

    5,830       39,263  

Altice NV Class A (b) (c)

    1,214       10,000  

ASML Holding NV

    1,309       257,821  

Heineken NV

    647       69,466  

ING Groep NV

    10,199       171,843  

Koninklijke Ahold Delhaize NV

    2,107       49,862  

Koninklijke DSM NV

    1,050       104,134  

Koninklijke KPN NV

    10,916       32,717  

Koninklijke Philips NV

    3,836       147,027  

Koninklijke Vopak NV

    219       10,733  

NN Group NV

    1,683       74,597  

NXP Semiconductors NV (c)

    1,038       121,446  

Randstad Holding NV (b)

    782       51,376  

Royal Dutch Shell PLC Class A

    2       63  

Wolters Kluwer NV

    1,018       54,073  
   

 

 

 
              1,219,490  
   

 

 

 

NEW ZEALAND — 0.1%

   

Meridian Energy, Ltd.

    47,457       97,742  
   

 

 

 

NORWAY — 0.3%

   

DNB ASA

    6,309       122,267  

Gjensidige Forsikring ASA

    3,195       58,439  

Marine Harvest ASA

    4,395       88,001  

Orkla ASA

    8,052       86,295  

Schibsted ASA Class B

    877       22,185  

Telenor ASA

    5,682       128,101  
   

 

 

 
      505,288  
   

 

 

 

PERU — 0.1%

   

Cia de Minas Buenaventura SAA ADR

    260       3,960  

Southern Copper Corp. (b)

    3,484       188,763  
   

 

 

 
      192,723  
   

 

 

 

Security Description

 

Shares

   

Value

 

PHILIPPINES — 0.1%

   

International Container Terminal Services, Inc.

    3,400     $ 6,516  

PLDT, Inc.

    425       11,973  

SM Investments Corp.

    1,970       34,622  

SM Prime Holdings, Inc.

    32,300       20,862  

Universal Robina Corp.

    2,040       5,943  
   

 

 

 
      79,916  
   

 

 

 

POLAND — 0.1%

   

Bank Pekao SA

    1,113       40,064  

Bank Zachodni WBK SA

    136       14,381  

CCC SA

    182       12,391  

Cyfrowy Polsat SA

    1,224       8,912  

LPP SA

    12       30,479  

mBank SA (c)

    68       8,314  

Powszechna Kasa Oszczednosci Bank Polski SA (c)

    4,444       52,467  

Powszechny Zaklad Ubezpieczen SA

    3,655       44,550  
   

 

 

 
      211,558  
   

 

 

 

PORTUGAL — 0.1%

   

Galp Energia SGPS SA

    8,029       151,129  
   

 

 

 

QATAR — 0.1%

   

Barwa Real Estate Co.

    5,815       53,488  

Commercial Bank PQSC

    2,179       17,949  

Ezdan Holding Group QSC

    6,804       19,616  

Qatar National Bank QPSC

    522       18,632  
   

 

 

 
      109,685  
   

 

 

 

ROMANIA — 0.0% (a)

   

NEPI Rockcastle PLC

    1,449       14,064  
   

 

 

 

RUSSIA — 0.3%

   

Magnit PJSC GDR

    1,985       36,593  

Mobile TeleSystems PJSC ADR

    5,044       57,451  

Moscow Exchange MICEX-RTS PJSC

    30,397       61,915  

Sberbank of Russia PJSC ADR

    14,693       273,731  

VTB Bank PJSC GDR

    20,690       40,511  
   

 

 

 
              470,201  
   

 

 

 

SINGAPORE — 0.6%

   

Broadcom, Ltd.

    1,524       359,131  

City Developments, Ltd.

    1,832       18,162  

DBS Group Holdings, Ltd.

    6,549       137,343  

Genting Singapore PLC

    34,000       28,003  

Hutchison Port Holdings Trust

    78,000       23,010  

Jardine Cycle & Carriage, Ltd.

    784       20,627  

Oversea-Chinese Banking Corp., Ltd.

    9,708       94,911  

SATS, Ltd.

    6,200       24,255  

Singapore Press Holdings, Ltd. (b)

    13,100       25,175  

Singapore Technologies Engineering, Ltd.

    9,000       24,640  

Singapore Telecommunications, Ltd.

    44,129       113,410  

United Overseas Bank, Ltd.

    3,554       74,533  

UOL Group, Ltd.

    2,892       18,856  
   

 

 

 
      962,056  
   

 

 

 
 

 

36


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SOUTH AFRICA — 0.9%

   

Aspen Pharmacare Holdings, Ltd.

    1,579     $ 34,576  

Barclays Africa Group, Ltd.

    3,455       55,315  

Bid Corp., Ltd.

    1,657       36,045  

Brait SE (b) (c)

    9,239       28,149  

Discovery, Ltd.

    1,173       16,879  

FirstRand, Ltd. (b)

    17,502       98,819  

Fortress REIT, Ltd. Class A,

    22,317       30,117  

Growthpoint Properties, Ltd. REIT (b)

    32,009       76,749  

Hyprop Investments, Ltd.

    2,053       18,751  

Investec PLC

    5,644       43,514  

Investec, Ltd.

    1,825       14,213  

Liberty Holdings, Ltd. (b)

    2,205       23,364  

Mediclinic International PLC (b)

    1,509       12,722  

MMI Holdings, Ltd.

    15,027       27,876  

Mr. Price Group, Ltd.

    1,788       43,007  

MTN Group, Ltd.

    6,994       70,254  

Naspers, Ltd. Class N

    1,534       374,393  

Nedbank Group, Ltd. (b)

    1,241       29,907  

Redefine Properties, Ltd. REIT

    52,463       51,317  

Resilient REIT, Ltd.

    1,877       7,921  

RMB Holdings, Ltd.

    6,790       44,211  

Sanlam, Ltd. (b)

    10,773       77,556  

SPAR Group, Ltd.

    1,590       27,182  

Standard Bank Group, Ltd. (b)

    5,561       102,634  

Steinhoff International Holdings NV

    15,597       4,344  

Truworths International, Ltd.

    1,673       15,183  

Vodacom Group, Ltd.

    2,418       31,237  
   

 

 

 
              1,396,235  
   

 

 

 

SOUTH KOREA — 1.7%

   

Amorepacific Corp.

    147       42,339  

Amorepacific Corp. Preference Shares

    52       7,806  

AMOREPACIFIC Group

    130       16,709  

BNK Financial Group, Inc.

    2,348       23,460  

Celltrion, Inc. (c)

    293       87,139  

Coway Co., Ltd.

    130       10,708  

Daelim Industrial Co., Ltd.

    492       33,972  

Daewoo Engineering & Construction Co., Ltd. (c)

    4,883       23,868  

Dongsuh Cos., Inc.

    900       21,996  

Hana Financial Group, Inc.

    916       39,187  

Hanssem Co., Ltd.

    40       5,629  

Hanwha Corp.

    371       13,696  

Hanwha Life Insurance Co., Ltd.

    897       5,285  

Hotel Shilla Co., Ltd.

    202       17,435  

Hyundai Engineering & Construction Co., Ltd.

    910       36,369  

Hyundai Glovis Co., Ltd.

    352       60,103  

Hyundai Heavy Industries Co., Ltd. (c)

    679       87,590  

Hyundai Mobis Co., Ltd.

    299       71,251  

Hyundai Motor Co.

    228       30,695  

Hyundai Motor Co. Preference Shares (d)

    395       34,538  

Hyundai Motor Co. Preference Shares (d)

    404       32,710  

Security Description

 

Shares

   

Value

 

Hyundai Robotics Co., Ltd. (c)

    42     $ 16,786  

Industrial Bank of Korea

    897       13,128  

Kakao Corp.

    194       23,570  

Kangwon Land, Inc.

    840       21,475  

KB Financial Group, Inc.

    1,125       65,015  

KEPCO Plant Service & Engineering Co., Ltd.

    174       7,411  

Kia Motors Corp.

    827       24,711  

Korea Aerospace Industries, Ltd. (c)

    570       26,711  

Korea Gas Corp. (c)

    1,437       65,453  

Korea Zinc Co., Ltd.

    37       16,731  

KT&G Corp.

    758       71,114  

LG Electronics, Inc.

    398       40,700  

LG Household & Health Care, Ltd.

    34       38,022  

LG Household & Health Care, Ltd. Preference Shares

    13       8,562  

Mirae Asset Daewoo Co., Ltd.

    2,070       17,886  

NAVER Corp.

    102       75,215  

NCSoft Corp.

    52       20,002  

Orion Corp/Republic of Korea

    85       10,207  

S-1 Corp.

    104       9,367  

Samsung Biologics Co., Ltd. (c) (e)

    77       35,108  

Samsung C&T Corp.

    370       47,556  

Samsung Card Co., Ltd.

    156       5,247  

Samsung Electronics Co., Ltd. Preference Shares

    65       123,487  

Samsung Electronics Co., Ltd.

    324       745,331  

Samsung Fire & Marine Insurance Co., Ltd.

    119       29,920  

Samsung Life Insurance Co., Ltd.

    255       27,632  

Samsung SDI Co., Ltd.

    91       16,306  

Samsung SDS Co., Ltd.

    101       23,926  

Samsung Securities Co., Ltd.

    206       7,595  

Shinhan Financial Group Co., Ltd.

    1,079       45,705  

SillaJen, Inc. (c)

    202       20,297  

SK Holdings Co., Ltd.

    223       62,450  

SK Hynix, Inc.

    1,902       143,288  

SK Telecom Co., Ltd.

    65       14,026  

Woori Bank

    1,417       19,143  
   

 

 

 
              2,641,568  
   

 

 

 

SPAIN — 1.2%

   

Abertis Infraestructuras SA

    5,853       131,153  

Aena SME SA (e)

    495       99,626  

Amadeus IT Group SA

    1,476       108,879  

Banco Bilbao Vizcaya Argentaria SA

    23,768       187,927  

Banco de Sabadell SA

    13,364       27,300  

Banco Santander SA

    55,415       360,866  

Bankia SA (b)

    1,370       6,131  

CaixaBank SA

    5,160       24,572  

Enagas SA

    2,589       70,782  

Ferrovial SA

    3,310       69,061  

Industria de Diseno Textil SA

    5,403       168,980  

Mapfre SA

    7,399       24,578  

Red Electrica Corp. SA

    10,370       213,367  

Siemens Gamesa Renewable Energy SA (b)

    2,650       42,450  
 

 

37


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Telefonica SA

    21,559     $ 212,857  
   

 

 

 
      1,748,529  
   

 

 

 

SWEDEN — 0.9%

   

Alfa Laval AB

    1,343       31,615  

Assa Abloy AB Class B

    5,247       112,993  

Atlas Copco AB Class A

    1,202       51,842  

Atlas Copco AB Class B

    3,011       116,668  

Autoliv, Inc.

    272       39,696  

Boliden AB

    5,404       188,741  

Electrolux AB Class B

    659       20,656  

Hennes & Mauritz AB Class B (b)

    3,769       56,336  

Hexagon AB Class B

    731       43,294  

Industrivarden AB Class C

    2,294       53,126  

Investor AB Class B

    2,991       131,857  

Kinnevik AB Class B

    1,507       54,055  

Nordea Bank AB

    9,165       97,507  

Sandvik AB

    4,521       82,298  

Skandinaviska Enskilda Banken AB Class A

    1,465       15,296  

Skanska AB Class B

    1,832       37,330  

Svenska Handelsbanken AB Class A

    233       2,899  

Swedbank AB Class A

    1,120       25,008  

Tele2 AB Class B

    1,277       15,271  

Telefonaktiebolaget LM Ericsson Class B (b)

    12,710       80,314  

Telia Co. AB

    11,749       55,008  

Volvo AB Class B

    6,926       125,911  
   

 

 

 
      1,437,721  
   

 

 

 

SWITZERLAND — 2.6%

   

ABB, Ltd.

    5,259       124,775  

Adecco Group AG

    782       55,530  

Chocoladefabriken Lindt & Spruengli AG

    3       18,562  

Cie Financiere Richemont SA

    1,873       167,741  

Credit Suisse Group AG (c)

    8,342       139,295  

EMS-Chemie Holding AG

    52       32,744  

Ferguson PLC

    1,134       85,170  

Geberit AG

    119       52,491  

Givaudan SA

    66       149,975  

Kuehne + Nagel International AG

    384       60,271  

Lonza Group AG (c)

    124       29,161  

Nestle SA

    10,933       863,360  

Novartis AG

    7,418       598,491  

Roche Holding AG

    2,349       537,454  

SGS SA

    3       7,356  

Sika AG

    16       125,063  

STMicroelectronics NV

    2,177       48,153  

Swatch Group AG

    706       59,018  

Swiss Life Holding AG (c)

    48       17,057  

Swiss Re AG

    1,371       139,276  

Swisscom AG

    87       43,027  

TE Connectivity, Ltd.

    1,406       140,459  

UBS Group AG (c)

    11,924       209,131  

Vifor Pharma AG

    131       20,144  

Zurich Insurance Group AG (c)

    561       183,602  
   

 

 

 
              3,907,306  
   

 

 

 

Security Description

 

Shares

   

Value

 

TAIWAN — 1.4%

   

Acer, Inc. (c)

    35,000     $ 29,050  

Advantech Co., Ltd.

    2,199       15,763  

Asia Pacific Telecom Co., Ltd. (c)

    105,000       32,843  

Asustek Computer, Inc.

    6,000       55,870  

Catcher Technology Co., Ltd.

    3,000       37,195  

Cathay Financial Holding Co., Ltd.

    49,000       87,053  

Cheng Shin Rubber Industry Co., Ltd.

    12,000       19,487  

China Development Financial Holding Corp.

    52,000       18,369  

China Life Insurance Co., Ltd.

    19,620       20,355  

Chunghwa Telecom Co., Ltd.

    23,000       87,955  

CTBC Financial Holding Co., Ltd.

    55,359       39,682  

Delta Electronics, Inc.

    6,000       26,752  

Eclat Textile Co., Ltd.

    1,020       11,894  

Fubon Financial Holding Co., Ltd.

    27,000       46,394  

Hiwin Technologies Corp.

    2,040       29,036  

Hon Hai Precision Industry Co., Ltd.

    57,820       178,475  

Hotai Motor Co., Ltd.

    1,000       9,963  

HTC Corp. (c)

    9,000       20,465  

Macronix International (c)

    12,000       20,208  

MediaTek, Inc.

    8,000       90,819  

Mega Financial Holding Co., Ltd.

    49,922       42,890  

Novatek Microelectronics Corp.

    4,000       18,109  

President Chain Store Corp.

    5,000       50,245  

Quanta Computer, Inc.

    6,000       12,100  

Ruentex Industries, Ltd. (c)

    13,000       25,102  

Shin Kong Financial Holding Co., Ltd.

    100,469       38,076  

SinoPac Financial Holdings Co., Ltd.

    49,000       17,310  

Synnex Technology International Corp.

    22,000       32,822  

Taishin Financial Holding Co., Ltd.

    52,000       25,503  

Taiwan Mobile Co., Ltd.

    7,000       26,169  

Taiwan Semiconductor Manufacturing Co., Ltd.

    88,000       736,427  

Teco Electric and Machinery Co., Ltd.

    7,000       5,774  

Uni-President Enterprises Corp.

    40,000       93,700  

Win Semiconductors Corp.

    2,000       21,470  

WPG Holdings, Ltd.

    6,000       7,758  

Yuanta Financial Holding Co., Ltd.

    143,573       65,737  
   

 

 

 
              2,096,820  
   

 

 

 

THAILAND — 0.2%

   

Advanced Info Service PCL (g)

    3,400       22,398  

Airports of Thailand PCL (g)

    44,900       94,768  

Bangkok Bank PCL NVDR

    1,000       6,332  

Bangkok Expressway & Metro PCL

    85,000       19,571  

BTS Group Holdings PCL (g)

    43,000       11,413  

CP ALL PCL (g)

    21,500       59,818  

Energy Absolute PCL (g)

    12,738       17,822  

Kasikornbank PCL (g)

    3,400       23,160  

Kasikornbank PCL NVDR

    400       2,712  

Minor International PCL NVDR

    16,200       19,687  
 

 

38


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Siam Commercial Bank PCL (g)

    6,800     $ 30,771  
   

 

 

 
                308,452  
   

 

 

 

TURKEY — 0.1%

   

Akbank Turk A/S

    9,781       23,604  

BIM Birlesik Magazalar A/S

    1,415       25,486  

Emlak Konut Gayrimenkul Yatirim Ortakligi A/S REIT (c)

    29,727       18,986  

TAV Havalimanlari Holding A/S

    1,020       6,092  

Turkcell Iletisim Hizmetleri A/S

    102       388  

Turkiye Garanti Bankasi A/S

    9,554       26,288  

Turkiye Halk Bankasi A/S

    2,030       4,638  

Turkiye Is Bankasi A/S Class C

    16,543       29,775  

Yapi ve Kredi Bankasi A/S (c)

    20,108       22,588  
   

 

 

 
      157,845  
   

 

 

 

UNITED ARAB EMIRATES — 0.1%

   

Aldar Properties PJSC

    6,484       3,760  

DP World, Ltd.

    644       14,490  

Emaar Properties PJSC

    15,328       24,204  

Emirates Telecommunications Group Co. PJSC

    6,597       31,701  

First Abu Dhabi Bank PJSC

    1,353       4,310  
   

 

 

 
      78,465  
   

 

 

 

UNITED KINGDOM — 5.5%

   

3i Group PLC

    6,766       81,531  

Ashtead Group PLC

    1,699       46,237  

Associated British Foods PLC

    617       21,560  

AstraZeneca PLC

    4,407       302,647  

Auto Trader Group PLC (e)

    3,126       15,374  

Aviva PLC

    19,325       134,434  

Babcock International Group PLC

    537       5,038  

BAE Systems PLC

    9,258       75,507  

Barclays PLC

    58,877       170,554  

Barratt Developments PLC

    5,176       38,512  

Berkeley Group Holdings PLC

    657       34,921  

British American Tobacco PLC ADR

    2,066       119,188  

British American Tobacco PLC

    6,536       378,759  

British Land Co. PLC REIT

    9,050       81,504  

BT Group PLC

    36,952       117,927  

Bunzl PLC

    1,557       45,758  

Burberry Group PLC

    1,873       44,561  

Capita PLC

    3,097       6,258  

CNH Industrial NV

    3,424       42,236  

Cobham PLC (c)

    9,045       15,594  

Coca-Cola European Partners PLC

    333       13,873  

Compass Group PLC

    7,954       162,403  

ConvaTec Group PLC (e)

    8,998       25,131  

Croda International PLC

    664       42,549  

DCC PLC

    353       32,484  

Diageo PLC

    10,500       355,273  

Direct Line Insurance Group PLC

    4,516       24,156  

Experian PLC

    5,134       110,730  

Fiat Chrysler Automobiles NV

    3,027       61,433  

GlaxoSmithKline PLC

    17,742       346,945  

Hammerson PLC REIT (b)

    6,021       45,323  

Security Description

 

Shares

   

Value

 

Hargreaves Lansdown PLC

    561     $ 12,851  

HSBC Holdings PLC

    73,549                686,523  

IMI PLC

    2,014       30,513  

Imperial Brands PLC

    4,937       168,016  

Intertek Group PLC

    717       46,871  

ITV PLC

    13,129       26,549  

John Wood Group PLC

    10,783       81,683  

Johnson Matthey PLC

    1,695       72,331  

Kingfisher PLC

    8,193       33,617  

Land Securities Group PLC REIT

    6,549       86,091  

Legal & General Group PLC

    23,253       84,093  

Liberty Global PLC Class A (c)

    1,715       53,697  

Liberty Global PLC Series C (c)

    583       17,741  

Lloyds Banking Group PLC

    277,973       252,136  

London Stock Exchange Group PLC

    867       50,182  

Marks & Spencer Group PLC

    6,628       25,123  

Meggitt PLC

    5,804       35,156  

Merlin Entertainments PLC (e)

    3,755       18,257  

Micro Focus International PLC ADR

    1,420       19,937  

National Grid PLC

    7,225       81,305  

Next PLC

    597       39,855  

Old Mutual PLC

    17,154       57,584  

Pearson PLC

    5,667       59,543  

Pentair PLC

    733       49,939  

Persimmon PLC

    1,477       52,420  

Prudential PLC

    9,353       233,346  

Randgold Resources, Ltd.

    573       47,280  

Reckitt Benckiser Group PLC

    2,741       232,012  

RELX NV

    4,419       91,466  

RELX PLC

    5,448       111,962  

Rolls-Royce Holdings PLC (c)

    7,733       94,550  

Royal Bank of Scotland Group PLC (c)

    11,652       42,302  

Royal Mail PLC

    2,656       20,149  

RSA Insurance Group PLC

    2,894       25,576  

Sage Group PLC

    4,101       36,772  

Schroders PLC

    953       42,673  

Segro PLC REIT

    6,088       51,344  

Severn Trent PLC

    4,453       115,189  

Shire PLC

    2,837       142,097  

Sky PLC

    5,410       98,469  

Smith & Nephew PLC

    3,575       66,750  

Smiths Group PLC

    1,398       29,681  

St James’s Place PLC

    1,340       20,423  

Standard Chartered PLC

    12,814       128,111  

Standard Life Aberdeen PLC

    14,942       75,395  

Taylor Wimpey PLC

    13,813       35,770  

TechnipFMC PLC (d)

    3,149       92,738  

TechnipFMC PLC (d)

    3,708       107,760  

Tesco PLC

    13,010       37,578  

Travis Perkins PLC

    1,602       27,731  

Unilever NV

    5,264       296,959  

Unilever PLC

    4,651       258,074  

United Utilities Group PLC

    18,697       187,636  

Vodafone Group PLC

    122,281       333,157  

Weir Group PLC

    1,347       37,687  

Whitbread PLC

    884       45,883  
 

 

39


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

WPP PLC

    5,536     $ 87,949  
   

 

 

 
              8,394,882  
   

 

 

 

UNITED STATES — 51.7%

   

3M Co.

    2,051       450,236  

Abbott Laboratories

    6,650       398,468  

AbbVie, Inc.

    5,330       504,485  

Accenture PLC Class A

    2,303       353,511  

Activision Blizzard, Inc.

    2,339       157,789  

Acuity Brands, Inc. (b)

    140       19,487  

Adobe Systems, Inc. (c)

    1,715       370,577  

Advance Auto Parts, Inc.

    221       26,200  

Advanced Micro Devices, Inc. (b) (c)

    2,800       28,140  

Aetna, Inc.

    1,323       223,587  

Affiliated Managers Group, Inc.

    187       35,451  

Aflac, Inc.

    3,294       144,145  

AGCO Corp.

    392       25,421  

Agilent Technologies, Inc.

    1,231       82,354  

AGNC Investment Corp. REIT

    2,590       49,003  

Akamai Technologies, Inc. (c)

    544       38,613  

Albemarle Corp. (b)

    656       60,837  

Alexandria Real Estate Equities, Inc. REIT

    260       32,471  

Alexion Pharmaceuticals, Inc. (c)

    777       86,604  

Align Technology, Inc. (c)

    260       65,294  

Alkermes PLC (b) (c)

    437       25,329  

Alleghany Corp.

    29       17,819  

Allegion PLC

    400       34,116  

Allergan PLC

    1,144       192,524  

Alliance Data Systems Corp.

    170       36,186  

Allstate Corp.

    1,163       110,252  

Ally Financial, Inc.

    2,671       72,518  

Alnylam Pharmaceuticals, Inc. (c)

    200       23,820  

Alphabet, Inc. Class A (c)

    957       992,543  

Alphabet, Inc. Class C (c)

    1,084       1,118,460  

Altria Group, Inc.

    7,267       452,879  

Amazon.com, Inc. (c)

    1,375       1,990,093  

AMERCO

    100       34,510  

American Express Co.

    3,062       285,623  

American International Group, Inc.

    4,975       270,740  

American Tower Corp. REIT

    1,456       211,615  

American Water Works Co., Inc.

    4,196       344,618  

Ameriprise Financial, Inc.

    488       72,195  

AmerisourceBergen Corp.

    800       68,968  

AMETEK, Inc.

    1,077       81,820  

Amgen, Inc.

    2,541       433,190  

Amphenol Corp. Class A

    362       31,179  

Analog Devices, Inc.

    1,652       150,547  

Andeavor

    1,800       181,008  

Annaly Capital Management, Inc. REIT

    5,942       61,975  

ANSYS, Inc. (c)

    132       20,683  

Anthem, Inc.

    1,103       242,329  

AO Smith Corp.

    792       50,363  

Aon PLC

    1,066       149,592  

Apple, Inc.

    17,425       2,923,567  

Applied Materials, Inc.

    3,628       201,753  

Aptiv PLC

    952       80,891  

Arch Capital Group, Ltd. (c)

    60       5,135  

Security Description

 

Shares

   

Value

 

Arista Networks, Inc. (c)

    71     $ 18,126  

Arrow Electronics, Inc. (c)

    200       15,404  

Assurant, Inc.

    104       9,507  

AT&T, Inc.

    21,500       766,475  

Atmos Energy Corp.

    2,592       218,350  

Autodesk, Inc. (c)

    671       84,264  

Automatic Data Processing, Inc.

    1,687       191,441  

AutoZone, Inc. (c)

    119       77,194  

AvalonBay Communities, Inc. REIT

    493       81,079  

Avery Dennison Corp.

    565       60,031  

Avnet, Inc.

    967       40,382  

Axalta Coating Systems, Ltd. (c)

    3,046       91,959  

Axis Capital Holdings, Ltd.

    270       15,544  

Baker Hughes a GE Co.

    4,824       133,962  

Ball Corp.

    1,014       40,266  

Bank of America Corp.

    34,890                1,046,351  

Bank of New York Mellon Corp.

    3,688       190,043  

Baxter International, Inc.

    1,093       71,089  

BB&T Corp.

    3,642       189,530  

Becton Dickinson and Co.

    771       167,076  

Berkshire Hathaway, Inc. Class B (c)

    2,512       501,094  

Best Buy Co., Inc.

    891       62,361  

Biogen, Inc. (c)

    643       176,066  

BioMarin Pharmaceutical, Inc. (c)

    290       23,510  

BlackRock, Inc.

    490       265,443  

Boeing Co.

    2,132       699,040  

Booking Holdings, Inc. (c)

    187       389,033  

BorgWarner, Inc.

    683       34,307  

Boston Properties, Inc. REIT

    391       48,179  

Boston Scientific Corp. (c)

    5,044       137,802  

Brighthouse Financial, Inc. (c)

    699       35,929  

Bristol-Myers Squibb Co.

    5,504       348,128  

Brixmor Property Group, Inc. REIT

    545       8,311  

Brown-Forman Corp. Class B

    1,185       64,464  

C.H. Robinson Worldwide, Inc.

    224       20,991  

CA, Inc.

    1,373       46,545  

Cadence Design Systems, Inc. (c)

    524       19,267  

Camden Property Trust REIT

    60       5,051  

Campbell Soup Co. (b)

    410       17,757  

Capital One Financial Corp.

    1,981       189,819  

Cardinal Health, Inc.

    1,283       80,418  

CarMax, Inc. (b) (c)

    611       37,845  

Caterpillar, Inc.

    2,184       321,878  

CBRE Group, Inc. Class A (c)

    1,792       84,618  

CBS Corp. Class B

    53       2,724  

CDW Corp.

    200       14,062  

Celgene Corp. (c)

    2,626       234,265  

Centene Corp. (c)

    689       73,633  

CenturyLink, Inc.

    2,371       38,956  

Cerner Corp. (c)

    1,354       78,532  

Charles Schwab Corp.

    3,194       166,791  

Charter Communications, Inc. Class A (c)

    563       175,217  

Chemours Co.

    1,200       58,452  

Cheniere Energy, Inc. (b) (c)

    4,574       244,480  

Chipotle Mexican Grill, Inc. (b) (c)

    102       32,957  

Chubb, Ltd.

    1,813       247,964  

Church & Dwight Co., Inc.

    524       26,389  
 

 

40


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Cigna Corp.

    994     $ 166,734  

Cincinnati Financial Corp.

    455       33,788  

Cintas Corp.

    417       71,132  

Cisco Systems, Inc.

    17,467       749,160  

CIT Group, Inc.

    1,200       61,800  

Citigroup, Inc.

    10,098                681,615  

Citizens Financial Group, Inc.

    2,293       96,260  

Citrix Systems, Inc. (c)

    544       50,483  

Clorox Co.

    285       37,936  

CME Group, Inc.

    905       146,375  

Coca-Cola Co.

    16,555       718,984  

Cognex Corp.

    400       20,796  

Cognizant Technology Solutions Corp. Class A

    2,217       178,469  

Colgate-Palmolive Co.

    3,098       222,065  

Colony NorthStar, Inc. Class A, REIT (b)

    4,308       24,211  

Comcast Corp. Class A

    16,168       552,461  

Comerica, Inc.

    417       40,003  

Consolidated Edison, Inc.

    4,046       315,345  

Constellation Brands, Inc. Class A

    656       149,516  

Cooper Cos., Inc.

    170       38,898  

Corning, Inc.

    2,348       65,462  

CoStar Group, Inc. (c)

    65       23,574  

Costco Wholesale Corp.

    1,873       352,929  

Coty, Inc. Class A (b)

    2,126       38,906  

Crown Castle International Corp. REIT

    1,553       170,224  

CSX Corp.

    2,734       152,311  

Cummins, Inc.

    505       81,855  

CVS Health Corp.

    4,388       272,978  

D.R. Horton, Inc.

    1,287       56,422  

Danaher Corp.

    2,352       230,284  

DaVita, Inc. (c)

    557       36,729  

Deere & Co.

    912       141,652  

Dell Technologies, Inc. Class V (c)

    648       47,440  

Delphi Technologies PLC

    317       15,105  

DENTSPLY SIRONA, Inc.

    861       43,317  

Diamondback Energy, Inc. (c)

    1,574       199,143  

Digital Realty Trust, Inc. REIT

    656       69,129  

Discover Financial Services

    1,123       80,777  

Discovery Communications, Inc. Class A (b) (c)

    463       9,922  

Discovery Communications, Inc. Class C (b) (c)

    470       9,174  

DISH Network Corp. Class A (c)

    964       36,526  

Dollar General Corp.

    935       87,469  

Dollar Tree, Inc. (c)

    800       75,920  

Domino’s Pizza, Inc.

    260       60,726  

Dover Corp.

    601       59,030  

DowDuPont, Inc.

    6,900       439,599  

Dr. Pepper Snapple Group, Inc.

    282       33,383  

Duke Realty Corp. REIT

    916       24,256  

DXC Technology Co.

    1,114       111,990  

E*TRADE Financial Corp. (c)

    335       18,562  

East West Bancorp, Inc.

    100       6,254  

Eaton Corp. PLC

    1,634       130,573  

eBay, Inc. (c)

    3,624       145,830  

Security Description

 

Shares

   

Value

 

Ecolab, Inc.

    2,417     $ 331,298  

Edison International

    3,496       222,555  

Edwards Lifesciences Corp. (c)

    678       94,595  

Electronic Arts, Inc. (c)

    952       115,420  

Eli Lilly & Co.

    3,162       244,644  

Emerson Electric Co.

    2,638       180,175  

Equifax, Inc.

    611       71,982  

Equinix, Inc. REIT

    292       122,097  

Equity Residential REIT

    1,041       64,146  

Essex Property Trust, Inc. REIT

    190       45,729  

Estee Lauder Cos., Inc. Class A

    1,054       157,805  

Everest Re Group, Ltd.

    131       33,643  

Eversource Energy

    9,219       543,184  

Expedia Group, Inc.

    669       73,864  

Expeditors International of Washington, Inc.

    1,923       121,726  

Express Scripts Holding Co. (c)

    2,543       175,670  

Extra Space Storage, Inc. REIT

    224       19,569  

F5 Networks, Inc. (c)

    21       3,037  

Facebook, Inc. Class A (c)

    7,865               1,256,748  

Fastenal Co. (b)

    1,123       61,305  

Fidelity National Information Services, Inc.

    1,351       130,101  

Fifth Third Bancorp

    3,362       106,744  

First Data Corp. Class A (c)

    1,221       19,536  

First Republic Bank

    231       21,393  

Fiserv, Inc. (c)

    1,410       100,547  

FleetCor Technologies, Inc. (c)

    334       67,635  

FLIR Systems, Inc.

    392       19,604  

Flowserve Corp.

    799       34,621  

Fluor Corp.

    1,431       81,882  

FMC Corp.

    800       61,256  

FNF Group

    1,125       45,023  

Ford Motor Co.

    11,210       124,207  

Fortinet, Inc. (c)

    524       28,076  

Fortive Corp.

    1,224       94,884  

Fortune Brands Home & Security, Inc.

    54       3,180  

Franklin Resources, Inc.

    1,687       58,505  

Freeport-McMoRan, Inc. (c)

    4,564       80,189  

Gap, Inc.

    867       27,050  

Garmin, Ltd.

    459       27,049  

Gartner, Inc. (c)

    200       23,524  

General Dynamics Corp.

    1,149       253,814  

General Electric Co.

    33,200       447,536  

General Mills, Inc.

    2,111       95,122  

General Motors Co.

    3,770       137,002  

Genuine Parts Co.

    392       35,217  

GGP, Inc. REIT

    1,687       34,516  

Gilead Sciences, Inc.

    4,652       350,714  

Global Payments, Inc.

    524       58,436  

Goldman Sachs Group, Inc.

    1,355       341,270  

H&R Block, Inc.

    243       6,175  

Halliburton Co.

    7,272       341,348  

Hanesbrands, Inc. (b)

    424       7,810  

Harley-Davidson, Inc.

    765       32,803  

Harris Corp.

    425       68,544  
 

 

41


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Hartford Financial Services Group, Inc.

    1,476     $ 76,044  

Hasbro, Inc.

    425       35,828  

HCA Healthcare, Inc.

    99       9,603  

HCP, Inc. REIT

    987       22,928  

HD Supply Holdings, Inc. (c)

    776       29,441  

Helmerich & Payne, Inc.

    2,238       148,961  

Henry Schein, Inc. (b) (c)

    32       2,151  

Hershey Co.

    548       54,230  

Hewlett Packard Enterprise Co.

    6,086       106,748  

HollyFrontier Corp.

    4,300       210,098  

Hologic, Inc. (c)

    712       26,600  

Home Depot, Inc.

    4,346       774,631  

Honeywell International, Inc.

    2,553       368,934  

Hormel Foods Corp. (b)

    316       10,845  

Host Hotels & Resorts, Inc. REIT

    3,127       58,287  

HP, Inc.

    5,350       117,272  

Humana, Inc.

    596       160,223  

Huntington Bancshares, Inc.

    3,651       55,130  

Huntington Ingalls Industries, Inc.

    83       21,394  

IAC/InterActiveCorp (c)

    100       15,638  

IDEX Corp.

    100       14,251  

IDEXX Laboratories, Inc. (c)

    260       49,761  

IHS Markit, Ltd. (c)

    2,119       102,221  

Illinois Tool Works, Inc.

    1,409       220,734  

Illumina, Inc. (c)

    459       108,517  

Incyte Corp. (c)

    421       35,082  

Ingersoll-Rand PLC

    873       74,650  

Intel Corp.

    17,195       895,516  

Intercontinental Exchange, Inc.

    1,559       113,059  

International Business Machines Corp.

    3,330       510,922  

International Flavors & Fragrances, Inc.

    632       86,527  

Interpublic Group of Cos., Inc.

    1,031       23,744  

Intuit, Inc.

    867       150,294  

Intuitive Surgical, Inc. (c)

    320       132,106  

Invesco, Ltd.

    911       29,161  

Invitation Homes, Inc. REIT

    900       20,547  

IPG Photonics Corp. (c)

    100       23,338  

IQVIA Holdings, Inc. (c)

    434       42,580  

Iron Mountain, Inc. REIT

    344       11,304  

J.M. Smucker Co.

    611       75,770  

Jacobs Engineering Group, Inc.

    1,699       100,496  

Jazz Pharmaceuticals PLC (c)

    4       604  

Johnson & Johnson

    9,560       1,225,114  

Johnson Controls International PLC

    3,462       122,001  

Jones Lang LaSalle, Inc.

    260       45,406  

JPMorgan Chase & Co.

    11,997               1,319,310  

Juniper Networks, Inc.

    787       19,148  

Kellogg Co. (b)

    433       28,149  

KeyCorp

    3,146       61,504  

Kimberly-Clark Corp.

    3       330  

Kimco Realty Corp. REIT

    2,687       38,693  

Kinder Morgan, Inc.

    6,699       100,887  

KLA-Tencor Corp.

    360       39,244  

Knight-Swift Transportation Holdings, Inc.

    400       18,404  

Security Description

 

Shares

   

Value

 

Kohl’s Corp.

    61     $ 3,996  

Kraft Heinz Co.

    2,755       171,609  

L Brands, Inc.

    1,028       39,280  

L3 Technologies, Inc.

    393       81,744  

Laboratory Corp. of America Holdings (c)

    285       46,099  

Lam Research Corp.

    483       98,126  

Las Vegas Sands Corp.

    1,687       121,295  

Leidos Holdings, Inc.

    525       34,335  

Lennar Corp. Class A

    481       28,350  

Lennox International, Inc.

    200       40,874  

Liberty Interactive Corp. QVC Group Class A (c)

    1,687       42,462  

Liberty Media Corp.-Liberty Formula One Class C (b) (c)

    800       24,680  

Liberty Media Corp.-Liberty SiriusXM Class A (c)

    93       3,822  

Liberty Media Corp.-Liberty SiriusXM Class C (c)

    475       19,404  

Lincoln National Corp.

    691       50,484  

LKQ Corp. (c)

    1,259       47,779  

Lockheed Martin Corp.

    946       319,682  

Loews Corp.

    800       39,784  

Lowe’s Cos., Inc.

    2,966       260,267  

Lululemon Athletica, Inc. (c)

    392       34,935  

M&T Bank Corp.

    438       80,750  

Macerich Co. REIT

    285       15,966  

Macquarie Infrastructure Corp.

    2,756       101,779  

ManpowerGroup, Inc.

    505       58,126  

Marathon Petroleum Corp.

    2,100       153,531  

Markel Corp. (c)

    18       21,065  

Marriott International, Inc. Class A

    856       116,399  

Marsh & McLennan Cos., Inc.

    2,412       199,207  

Masco Corp.

    1,687       68,222  

Mastercard, Inc. Class A

    3,414       597,996  

Mattel, Inc. (b)

    1,291       16,977  

Maxim Integrated Products, Inc.

    250       15,055  

McCormick & Co., Inc.

    539       57,344  

McDonald’s Corp.

    3,097       484,309  

McKesson Corp.

    884       124,529  

Medtronic PLC

    4,747       380,804  

Merck & Co., Inc.

    9,952       542,085  

MetLife, Inc.

    3,696       169,609  

MGM Resorts International

    1,560       54,631  

Michael Kors Holdings, Ltd. (c)

    734       45,567  

Microchip Technology, Inc. (b)

    724       66,145  

Micron Technology, Inc. (c)

    3,662       190,937  

Microsoft Corp.

    24,899               2,272,532  

Mid-America Apartment Communities, Inc. REIT

    360       32,846  

Middleby Corp. (c)

    260       32,185  

Molson Coors Brewing Co. Class B

    842       63,428  

Mondelez International, Inc. Class A

    6,063       253,009  

Monsanto Co.

    2,117       247,033  

Monster Beverage Corp. (c)

    1,524       87,188  

Moody’s Corp.

    708       114,200  

Morgan Stanley

    5,060       273,038  
 

 

42


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Motorola Solutions, Inc.

    491     $ 51,702  

MSCI, Inc.

    200       29,894  

Mylan NV (c)

    1,687       69,454  

Nasdaq, Inc.

    51       4,397  

National Oilwell Varco, Inc.

    4,708       173,302  

NetApp, Inc.

    1,031       63,602  

Netflix, Inc. (c)

    1,573                464,586  

New York Community Bancorp, Inc.

    1,440       18,763  

Newell Brands, Inc.

    1,704       43,418  

News Corp. Class A

    2,690       42,502  

Nielsen Holdings PLC

    2,272       72,227  

NIKE, Inc. Class B

    4,912       326,353  

Nordstrom, Inc.

    392       18,977  

Norfolk Southern Corp.

    500       67,890  

Northern Trust Corp.

    550       56,722  

Northrop Grumman Corp.

    594       207,377  

NVIDIA Corp.

    2,042       472,907  

NVR, Inc. (c)

    10       28,000  

Old Dominion Freight Line, Inc.

    400       58,788  

Omnicom Group, Inc.

    743       53,994  

ONEOK, Inc.

    10,283       585,308  

Oracle Corp.

    11,489       525,622  

O’Reilly Automotive, Inc. (c)

    357       88,315  

PACCAR, Inc.

    1,187       78,544  

Palo Alto Networks, Inc. (c)

    337       61,172  

Parker-Hannifin Corp.

    355       60,716  

Parsley Energy, Inc. Class A (c)

    1,304       37,803  

Paychex, Inc.

    1,131       69,658  

PayPal Holdings, Inc. (c)

    4,127       313,116  

People’s United Financial, Inc.

    1,000       18,660  

PepsiCo, Inc.

    5,429       592,575  

Perrigo Co. PLC

    493       41,087  

Pfizer, Inc.

    20,715       735,175  

PG&E Corp.

    2,156       94,713  

Philip Morris International, Inc.

    5,687       565,288  

Phillips 66

    6,681       640,842  

Pioneer Natural Resources Co.

    333       57,203  

PNC Financial Services Group, Inc.

    1,873       283,273  

Polaris Industries, Inc. (b)

    187       21,415  

PPG Industries, Inc.

    1,606       179,230  

Principal Financial Group, Inc.

    1,189       72,422  

Procter & Gamble Co.

    9,284       736,036  

Progressive Corp.

    1,487       90,603  

Prologis, Inc. REIT

    2,268       142,861  

Prudential Financial, Inc.

    1,782       184,526  

Public Storage REIT

    561       112,419  

PulteGroup, Inc.

    587       17,311  

PVH Corp.

    240       36,343  

Qorvo, Inc. (c)

    304       21,417  

QUALCOMM, Inc.

    5,529       306,362  

Quest Diagnostics, Inc.

    510       51,153  

Ralph Lauren Corp.

    289       32,310  

Raytheon Co.

    1,170       252,509  

Realty Income Corp. REIT

    337       17,433  

Red Hat, Inc. (c)

    476       71,167  

Regency Centers Corp. REIT

    500       29,490  

Regeneron Pharmaceuticals, Inc. (c)

    255       87,812  

Regions Financial Corp.

    4,510       83,796  

Security Description

 

Shares

   

Value

 

ResMed, Inc.

    425     $ 41,850  

Robert Half International, Inc.

    961       55,632  

Rockwell Automation, Inc.

    405       70,551  

Rockwell Collins, Inc.

    858       115,701  

Rollins, Inc.

    600       30,618  

Roper Technologies, Inc.

    461       129,398  

Ross Stores, Inc.

    1,139       88,819  

Royal Caribbean Cruises, Ltd.

    85       10,008  

S&P Global, Inc.

    833       159,153  

Sabre Corp.

    1,570       33,677  

salesforce.com, Inc. (c)

    2,186       254,232  

SBA Communications Corp. REIT (c)

    435       74,350  

Schlumberger, Ltd.

    8,723                565,076  

Seagate Technology PLC

    952       55,711  

Sealed Air Corp. (b)

    1,118       47,839  

Seattle Genetics, Inc. (b) (c)

    260       13,608  

Sensata Technologies Holding PLC (c)

    1,034       53,592  

ServiceNow, Inc. (c)

    512       84,710  

Sherwin-Williams Co.

    530       207,824  

Signature Bank (c)

    132       18,737  

Simon Property Group, Inc. REIT

    1,220       188,307  

Sirius XM Holdings, Inc. (b)

    4,526       28,242  

Skyworks Solutions, Inc.

    645       64,668  

SL Green Realty Corp. REIT

    387       37,473  

Snap-on, Inc.

    340       50,164  

Spirit AeroSystems Holdings, Inc. Class A

    500       41,850  

Splunk, Inc. (c)

    471       46,342  

Sprint Corp. (b) (c)

    5,133       25,049  

Square, Inc. Class A (c)

    1,000       49,200  

SS&C Technologies Holdings, Inc.

    500       26,820  

Stanley Black & Decker, Inc.

    773       118,424  

Starbucks Corp.

    5,796       335,530  

State Street Corp. (h)

    1,155       115,188  

Stryker Corp.

    1,323       212,897  

SunTrust Banks, Inc.

    2,211       150,436  

SVB Financial Group (c)

    200       48,002  

Symantec Corp.

    2,182       56,405  

Synchrony Financial

    3,084       103,407  

Synopsys, Inc. (c)

    356       29,633  

Sysco Corp.

    2,169       130,053  

T Rowe Price Group, Inc.

    828       89,399  

Take-Two Interactive Software, Inc. (c)

    400       39,112  

Tapestry, Inc.

    997       52,452  

Target Corp.

    1,287       89,356  

TD Ameritrade Holding Corp.

    1,019       60,355  

Teleflex, Inc.

    132       33,657  

Tesla, Inc. (c)

    553       147,170  

Texas Instruments, Inc.

    3,562       370,056  

Textron, Inc.

    719       42,399  

Thermo Fisher Scientific, Inc.

    1,423       293,793  

Tiffany & Co.

    544       53,127  

Time Warner, Inc.

    2,538       240,044  

TJX Cos., Inc.

    2,375       193,705  

T-Mobile US, Inc. (c)

    338       20,632  
 

 

43


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Toll Brothers, Inc.

    1,010     $ 43,683  

Total System Services, Inc.

    569       49,082  

Tractor Supply Co.

    425       26,784  

TransDigm Group, Inc.

    219       67,220  

TransUnion (c)

    600       34,068  

Travelers Cos., Inc.

    1,130       156,912  

Trimble, Inc. (c)

    899       32,256  

TripAdvisor, Inc. (b) (c)

    391       15,988  

Twenty-First Century Fox, Inc. Class A

    3,185       116,858  

Twenty-First Century Fox, Inc. Class B

    1,039       37,788  

Twitter, Inc. (c)

    2,397       69,537  

UDR, Inc. REIT

    348       12,396  

Ulta Salon Cosmetics & Fragrance, Inc. (c)

    172       35,134  

Under Armour, Inc. Class A (b) (c)

    902       14,748  

Under Armour, Inc. Class C (b) (c)

    1,512       21,697  

Union Pacific Corp.

    2,402       322,901  

United Parcel Service, Inc. Class B

    1,241       129,883  

United Rentals, Inc. (c)

    359       62,010  

United Technologies Corp.

    3,252       409,167  

United Therapeutics Corp. (c)

    132       14,832  

UnitedHealth Group, Inc.

    3,520       753,280  

Unum Group

    163       7,760  

US Bancorp

    6,110       308,555  

Vail Resorts, Inc.

    100       22,170  

Valero Energy Corp.

    3,534       327,849  

Varian Medical Systems, Inc. (c)

    225       27,596  

Veeva Systems, Inc. Class A (c)

    374       27,309  

Ventas, Inc. REIT

    814       40,317  

VEREIT, Inc. REIT

    3,131       21,792  

Verisk Analytics, Inc. (c)

    827       86,008  

Verizon Communications, Inc.

    14,049               671,823  

Vertex Pharmaceuticals, Inc. (c)

    866       141,141  

VF Corp.

    1,241       91,983  

Viacom, Inc. Class B

    491       15,250  

Visa, Inc. Class A

    6,688       800,019  

VMware, Inc. Class A (b) (c)

    306       37,109  

Vornado Realty Trust REIT

    388       26,112  

Voya Financial, Inc.

    1,028       51,914  

Vulcan Materials Co.

    500       57,085  

W.W. Grainger, Inc.

    223       62,946  

WABCO Holdings, Inc. (c)

    260       34,806  

Wabtec Corp. (b)

    429       34,921  

Walmart, Inc.

    5,345       475,545  

Walgreens Boots Alliance, Inc.

    3,752       245,643  

Walt Disney Co.

    5,671       569,595  

Waters Corp. (c)

    257       51,053  

Wells Fargo & Co.

    15,886       832,585  

Welltower, Inc. REIT

    1,545       84,094  

Western Digital Corp.

    1,097       101,220  

Western Union Co.

    1,687       32,441  

WestRock Co.

    638       40,940  

Weyerhaeuser Co. REIT

    2,040       71,400  

Whirlpool Corp.

    204       31,234  

Willis Towers Watson PLC

    418       63,615  

Workday, Inc. Class A (c)

    456       57,962  

Security Description

 

Shares

   

Value

 

Worldpay, Inc. Class A (c) (d)

    470     $ 38,653  

Worldpay, Inc. Class A (c) (d)

    621       50,064  

WR Grace & Co.

    500       30,615  

Wyndham Worldwide Corp.

    208       23,801  

Wynn Resorts, Ltd.

    389       70,938  

Xerox Corp.

    1,261       36,292  

Xilinx, Inc.

    1,031       74,479  

Xylem, Inc.

    1,518       116,765  

Zayo Group Holdings, Inc. (c)

    600       20,496  

Zillow Group, Inc. (b) (c)

    564       30,343  

Zimmer Biomet Holdings, Inc.

    682       74,365  

Zions Bancorp

    700       36,911  

Zoetis, Inc.

    1,398       116,747  
   

 

 

 
      78,333,168  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $124,192,146)

      150,305,813  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.8%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (i) (j)

    345,905       345,905  

State Street Navigator Securities Lending Government Money Market Portfolio (i) (k)

    2,338,517       2,338,517  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $2,684,422)

 

    2,684,422  
   

 

 

 

TOTAL INVESTMENTS — 101.0%
(Cost $126,876,568)

 

    152,990,235  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.0)%

 

    (1,577,751
   

 

 

 

NET ASSETS — 100.0%

 

  $     151,412,484  
   

 

 

 
 

 

44


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

(a) Amount shown represents less than 0.05% of net assets.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Non-income producing security.
(d) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.4% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the security is $0, representing 0.0% of the Fund’s net assets.
(g) Fair valued as determined ingood faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $260,150 representing 0.2% of net assets.
(h) The Fund invested in an affiliated entity, State Street Corp. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(j) The rate shown is the annualized seven-day yield at March 31, 2018.
(k) Investment of cash collateral for securities loaned.
ADR   =American Depositary Receipt
GDR   =Global Depositary Receipt
NVDR   =Non Voting Depositary Receipt
REIT   =Real Estate Investment Trust
SDR   =Swedish Depositary Receipt
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Argentina

    $ 47,043     $              —     $     $ 47,043

Australia

      3,031,668                     3,031,668

Austria

      118,516                   118,516

Belgium

      487,020                   487,020

Bermuda

      40,278                   40,278

Brazil

      1,463,939                   1,463,939

Canada

          4,674,085                   4,674,085

Chile

      378,180                   378,180

China

      5,273,938                   5,273,938

Colombia

      353,930                   353,930

Czech Republic

      21,746                   21,746

Denmark

      735,352                   735,352

Finland

      431,269                   431,269

France

      5,452,943                   5,452,943

Germany

      4,732,899                       4,732,899

Greece

      25,879                   25,879

Hong Kong

      1,772,137             0 (a)       1,772,137

Hungary

      57,317                   57,317

India

      1,377,639                   1,377,639

Indonesia

      389,526                   389,526

 

45


Table of Contents

SPDR MSCI ACWI LOW CARBON TARGET ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Ireland

    $ 245,153     $     $     $ 245,153

Israel

      202,655                   202,655

Italy

      1,104,690                   1,104,690

Japan

      12,169,307                   12,169,307

Luxembourg

      76,584                   76,584

Macau

      17,545                   17,545

Malaysia

      545,348                   545,348

Mexico

      564,384                   564,384

Netherlands

      1,219,490                   1,219,490

New Zealand

      97,742                   97,742

Norway

      505,288                   505,288

Peru

      192,723                   192,723

Philippines

      79,916                   79,916

Poland

      211,558                   211,558

Portugal

      151,129                   151,129

Qatar

      109,685                   109,685

Romania

      14,064                   14,064

Russia

      470,201                   470,201

Singapore

      962,056                   962,056

South Africa

      1,396,235                   1,396,235

South Korea

      2,641,568                   2,641,568

Spain

      1,748,529                   1,748,529

Sweden

      1,437,721                   1,437,721

Switzerland

      3,907,306                   3,907,306

Taiwan

      2,096,820                   2,096,820

Thailand

      48,302       260,150             308,452

Turkey

      157,845                   157,845

United Arab Emirates

      78,465                   78,465

United Kingdom

      8,394,882                   8,394,882

United States

      78,333,168                   78,333,168

Short-Term Investments

      2,684,422                   2,684,422
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 152,730,085     $ 260,150     $ 0     $ 152,990,235
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held a Level 3 security that was valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Corp.

      1,555     $ 148,565     $     $ 38,137     $ 6,070     $ (1,310 )       1,155     $ 115,188     $ 970     $

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      215,632       215,632       2,057,884       1,927,611                   345,905       345,905       1,318      

State Street Navigator Securities Lending Government Money Market Portfolio

      378,038       378,038       9,317,082       7,356,603                   2,338,517       2,338,517       4,991      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 742,235     $ 11,374,966     $ 9,322,351     $ 6,070     $ (1,310 )         $ 2,799,610     $ 7,279     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

46


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

BRAZIL — 5.4%

   

Ambev SA ADR

    511,700     $         3,720,060  

Ambev SA

    91,431       662,157  

Atacadao Distribuicao Comercio e Industria Ltda (a)

    8,095       36,534  

B3 SA - Brasil Bolsa Balcao

    20,926       168,045  

Banco Bradesco SA Preference Shares

    70,202       834,330  

Banco Bradesco SA

    23,883       276,441  

Banco do Brasil SA

    32,705       403,745  

Banco Santander Brasil SA

    10,656       127,958  

BB Seguridade Participacoes SA

    83,636       736,558  

BR Malls Participacoes SA

    10,262       35,971  

Braskem SA Class A, Preference Shares

    3,539       51,111  

BRF SA (a)

    1,694       11,636  

BRF SA ADR (a) (b)

    5,348       37,008  

CCR SA

    9,596       36,090  

Centrais Eletricas Brasileiras SA (a)

    6,991       44,172  

Centrais Eletricas Brasileiras SA ADR (b)

    7,506       54,569  

Centrais Eletricas Brasileiras SA Class B, Preference Shares

    490       3,553  

Cia Brasileira de Distribuicao ADR

    2,242       45,288  

Cia Brasileira de Distribuicao Preference Shares

    600       12,014  

Cia de Saneamento Basico do Estado de Sao Paulo

    2,402       25,295  

Cia de Saneamento Basico do Estado de Sao Paulo ADR

    5,039       53,363  

Cia Energetica de Minas Gerais ADR (b)

    36,621       94,482  

Cia Energetica de Minas Gerais Preference Shares

    5,447       14,029  

Cia Energetica de Minas Gerais (a) (c)

    868       2,243  

Cia Energetica de Minas Gerais (a) (c)

    50       119  

Cia Siderurgica Nacional SA ADR (a) (b)

    13,569       35,686  

Cia Siderurgica Nacional SA (a)

    1,232       3,262  

Cielo SA

    173,610       1,080,753  

Cosan SA Industria e Comercio

    2,554       31,898  

EDP - Energias do Brasil SA

    7,240       28,994  

Embraer SA

    980       6,354  

Embraer SA ADR

    4,338       112,788  

Engie Brasil Energia SA

    16,843       198,451  

Equatorial Energia SA

    18,601       400,160  

Fibria Celulose SA ADR

    4,411       86,015  

Gerdau SA Preference Shares

    25,538       119,099  

Hypera SA

    982       10,684  

Itau Unibanco Holding SA Preference Shares ADR

    70,791       1,104,340  

Itau Unibanco Holding SA Preference Shares

    2,177       33,609  

Security Description

 

Shares

   

Value

 

Itausa - Investimentos Itau SA Preference Shares

    433,691     $         1,799,434  

Itausa - Investimentos Itau SA (a)

    7,958       33,019  

JBS SA

    68,570       192,902  

Klabin SA

    6,163       38,384  

Kroton Educacional SA

    19,138       78,312  

Localiza Rent a Car SA

    2,745       23,720  

Lojas Americanas SA Preference Shares

    5,401       30,616  

Lojas Renner SA

    66,191       684,096  

M Dias Branco SA

    10,471       160,707  

Multiplan Empreendimentos Imobiliarios SA

    210       4,340  

Natura Cosmeticos SA

    604       5,815  

Odontoprev SA

    28,748       129,139  

Petroleo Brasileiro SA Preference Shares ADR (a)

    35,827       465,393  

Petroleo Brasileiro SA ADR (a)

    32,618       461,219  

Petroleo Brasileiro SA Preference Shares (a)

    43,809       282,209  

Petroleo Brasileiro SA (a)

    19,893       139,818  

Porto Seguro SA

    2,384       34,832  

Qualicorp SA

    746       5,001  

Raia Drogasil SA

    15,816       355,950  

Rumo SA (a)

    9,785       38,715  

Sul America SA

    20,568       135,837  

Suzano Papel e Celulose SA

    4,228       42,438  

Telefonica Brasil SA ADR

    7,901       121,359  

Telefonica Brasil SA Preference Shares

    712       10,797  

Tim Participacoes SA ADR (b)

    3,931       85,185  

TIM Participacoes SA

    1,806       7,825  

Transmissora Alianca de Energia Eletrica SA

    1,570       10,265  

Ultrapar Participacoes SA

    429       9,154  

Ultrapar Participacoes SA ADR

    5,354       115,754  

Vale SA ADR (b)

    33,563       426,921  

Vale SA

    20,902       265,457  

WEG SA

    42,347       288,081  
   

 

 

 
      17,221,558  
   

 

 

 

CHILE — 1.7%

   

AES Gener SA

    141,905       40,235  

Aguas Andinas SA Class A

    1,236,993       805,096  

Banco de Chile

    1,621,857       272,663  

Banco de Chile ADR

    13,880       1,396,050  

Banco de Credito e Inversiones SA

    3,348       248,502  

Banco Santander Chile ADR

    2,409       80,726  

Banco Santander Chile

    90,118       7,597  

Cencosud SA

    47,390       145,099  

Cia Cervecerias Unidas SA

    2,796       41,160  

Cia Cervecerias Unidas SA ADR

    6,326       186,048  

Colbun SA

    543,203       130,238  

Embotelladora Andina SA Class B, Preference Shares

    1,220       5,990  

Empresa Nacional de Telecomunicaciones SA

    1,413       16,219  

Empresas CMPC SA

    21,618       82,355  
 

 

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SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Empresas COPEC SA

    16,372     $         257,155  

Enel Americas SA ADR

    14,881       172,917  

Enel Americas SA

    137,946       32,221  

Enel Chile SA ADR

    6,517       41,709  

Enel Chile SA

    219,678       28,473  

Enel Generacion Chile SA ADR

    14,876       353,900  

Enel Generacion Chile SA

    33,558       27,380  

Itau CorpBanca ADR (b)

    1,852       27,132  

Latam Airlines Group SA ADR (b)

    5,548       85,384  

Latam Airlines Group SA

    684       10,635  

SACI Falabella

    113,220       1,092,366  

Sociedad Quimica y Minera de Chile SA ADR (b)

    555       27,278  
   

 

 

 
      5,614,528  
   

 

 

 

CHINA — 25.3%

   

3SBio, Inc. (a) (d)

    76,890       173,211  

58.com, Inc. ADR (a)

    215       17,170  

AAC Technologies Holdings, Inc.

    109,500       1,975,613  

Agile Group Holdings, Ltd.

    28,000       57,867  

Agricultural Bank of China, Ltd. Class H

    4,040,000       2,295,835  

Air China, Ltd. Class H

    52,000       66,256  

Alibaba Group Holding, Ltd. ADR (a) (b)

    12,009       2,204,132  

Aluminum Corp. of China, Ltd. Class H (a)

    74,000       41,015  

Anhui Conch Cement Co., Ltd. Class H

    14,000       76,259  

ANTA Sports Products, Ltd.

    197,000       993,999  

Autohome, Inc. ADR

    5,808       499,140  

AviChina Industry & Technology Co., Ltd. Class H

    58,000       40,867  

Baidu, Inc. ADR (a)

    5,976       1,333,783  

Bank of China, Ltd. Class H

    6,746,071       3,627,336  

Bank of Communications Co., Ltd. Class H

    639,000       500,726  

Beijing Capital International Airport Co., Ltd. Class H

    156,000       209,503  

Beijing Enterprises Holdings, Ltd.

    12,500       65,301  

Beijing Enterprises Water Group, Ltd.

    38,000       21,207  

Brilliance China Automotive Holdings, Ltd.

    266,000       555,162  

Byd Co., Ltd. Class H (b)

    6,000       46,787  

BYD Electronic International Co., Ltd.

    11,000       20,631  

CGN Power Co., Ltd. Class H (d)

    174,100       45,032  

China Cinda Asset Management Co., Ltd. Class H

    370,548       134,559  

China CITIC Bank Corp., Ltd. Class H

    996,000       680,219  

China Communications Construction Co., Ltd. Class H

    226,000       232,096  

China Communications Services Corp., Ltd. Class H

    96,000       57,368  

China Conch Venture Holdings, Ltd.

    20,000       61,032  

Security Description

 

Shares

   

Value

 

China Construction Bank Corp. Class H

    5,094,394     $         5,231,810  

China Everbright Bank Co., Ltd. Class H

    691,274       332,060  

China Everbright International, Ltd.

    19,000       26,630  

China Everbright, Ltd.

    18,000       37,705  

China Evergrande Group (a)

    20,625       64,911  

China Galaxy Securities Co., Ltd. Class H

    79,834       53,099  

China Huarong Asset Management Co., Ltd. Class H (d)

    562,200       236,390  

China Huishan Dairy Holdings Co., Ltd. (a) (e)

    1,072,393        

China Jinmao Holdings Group, Ltd.

    88,000       50,120  

China Life Insurance Co., Ltd. Class H

    163,000       448,607  

China Longyuan Power Group Corp., Ltd. Class H

    55,000       42,188  

China Medical System Holdings, Ltd.

    343,733       780,465  

China Mengniu Dairy Co., Ltd.

    200,000       685,499  

China Merchants Bank Co., Ltd. Class H

    101,500       415,788  

China Merchants Port Holdings Co., Ltd.

    37,812       83,349  

China Minsheng Banking Corp., Ltd. Class H (b)

    366,800       356,598  

China Mobile, Ltd.

    740,997       6,793,157  

China National Building Material Co., Ltd. Class H

    110,000       119,414  

China Oilfield Services, Ltd. Class H

    28,000       28,862  

China Overseas Land & Investment, Ltd.

    116,000       402,762  

China Pacific Insurance Group Co., Ltd. Class H

    41,000       183,626  

China Petroleum & Chemical Corp. Class H

    2,388,395       2,096,765  

China Railway Construction Corp., Ltd. Class H

    122,000       122,182  

China Railway Group, Ltd. Class H

    229,000       158,730  

China Resources Beer Holdings Co., Ltd.

    186,092       806,178  

China Resources Gas Group, Ltd.

    124,000       430,539  

China Resources Land, Ltd.

    70,444       256,256  

China Resources Pharmaceutical Group, Ltd. (d)

    93,000       130,347  

China Resources Power Holdings Co., Ltd.

    142,267       259,580  

China Shenhua Energy Co., Ltd. Class H

    96,500       239,765  

China Southern Airlines Co., Ltd. Class H

    34,000       35,090  

China State Construction International Holdings, Ltd.

    254,000       310,044  
 

 

48


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SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Taiping Insurance Holdings Co., Ltd.

    34,810     $ 115,097  

China Telecom Corp., Ltd. Class H

    1,460,000       643,655  

China Unicom Hong Kong, Ltd. (a)

    314,000       396,086  

China Vanke Co., Ltd. Class H

    113,692       518,606  

Chongqing Rural Commercial Bank Co., Ltd. Class H

    165,000       126,352  

CIFI Holdings Group Co., Ltd.

    66,000       57,605  

CITIC Securities Co., Ltd. Class H

    28,000       64,075  

CITIC, Ltd.

    232,000       324,575  

CNOOC, Ltd.

    573,000       843,989  

COSCO SHIPPING Ports, Ltd.

    353,816       297,540  

Country Garden Holdings Co., Ltd.

    47,266       97,323  

CRRC Corp., Ltd. Class H

    143,000       121,895  

CSPC Pharmaceutical Group, Ltd.

    958,000               2,545,048  

Ctrip.com International, Ltd. ADR (a)

    1,748       81,492  

Dongfeng Motor Group Co., Ltd. Class H

    346,000       401,623  

ENN Energy Holdings, Ltd.

    9,000       80,387  

Far East Horizon, Ltd.

    51,000       53,935  

Fosun International, Ltd.

    65,500       141,878  

Fuyao Glass Industry Group Co., Ltd. Class H (d)

    68,400       263,637  

Geely Automobile Holdings, Ltd.

    492,000       1,416,765  

GF Securities Co., Ltd. Class H

    36,200       66,512  

GOME Retail Holdings, Ltd. (b)

    396,000       42,888  

Great Wall Motor Co., Ltd. Class H (b)

    374,500       375,536  

Guangdong Investment, Ltd.

    968,000       1,522,001  

Guangzhou Automobile Group Co., Ltd. Class H

    22,000       40,534  

Guangzhou R&F Properties Co., Ltd. Class H

    22,000       54,886  

Haitian International Holdings, Ltd.

    52,000       157,690  

Haitong Securities Co., Ltd. Class H

    82,400       108,981  

Hengan International Group Co., Ltd.

    112,874       1,045,569  

Huaneng Power International, Inc. Class H

    286,000       192,044  

Huaneng Renewables Corp., Ltd. Class H

    130,000       48,533  

Huatai Securities Co., Ltd. Class H (d)

    33,643       64,729  

Industrial & Commercial Bank of China, Ltd. Class H

    4,257,448       3,650,807  

JD.com, Inc. ADR (a) (b)

    2,219       89,847  

Jiangsu Expressway Co., Ltd. Class H

    462,000       653,415  

Jiangxi Copper Co., Ltd. Class H

    58,000       82,770  

Kingsoft Corp., Ltd.

    2,000       6,345  

Kunlun Energy Co., Ltd.

    58,000       50,031  

Lenovo Group, Ltd.

    756,915       386,737  

Security Description

 

Shares

   

Value

 

Longfor Properties Co., Ltd.

    23,500     $ 71,863  

NetEase, Inc. ADR

    11,007               3,086,253  

New China Life Insurance Co., Ltd. Class H

    17,900       83,361  

New Oriental Education & Technology Group, Inc. ADR

    15,771       1,382,328  

Nexteer Automotive Group, Ltd.

    92,000       138,557  

People’s Insurance Co. Group of China, Ltd. Class H

    344,000       160,860  

PetroChina Co., Ltd. Class H

    2,240,000       1,538,371  

PICC Property & Casualty Co., Ltd. Class H

    438,180       767,121  

Ping An Insurance Group Co. of China, Ltd. Class H

    97,500       991,361  

Semiconductor Manufacturing International Corp. (a) (b)

    265,200       346,693  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

    348,000       231,902  

Shanghai Electric Group Co., Ltd. Class H (a) (b)

    104,000       36,043  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

    1,500       9,212  

Shanghai Industrial Holdings, Ltd.

    11,000       28,662  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B

    200,627       286,094  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

    86,900       232,522  

Shenzhou International Group Holdings, Ltd.

    146,000       1,537,518  

Sihuan Pharmaceutical Holdings Group, Ltd.

    1,174,000       347,041  

SINA Corp. (a)

    811       84,563  

Sino-Ocean Group Holding, Ltd.

    113,500       82,287  

Sinopec Shanghai Petrochemical Co., Ltd. Class H

    54,000       32,820  

Sinopharm Group Co., Ltd. Class H

    66,400       332,495  

SOHO China, Ltd.

    22,000       11,521  

Sunac China Holdings, Ltd.

    9,697       37,437  

Sunny Optical Technology Group Co., Ltd.

    86,693       1,600,578  

TAL Education Group ADR

    10,285       381,471  

Tencent Holdings, Ltd.

    136,678       7,133,176  

Tingyi Cayman Islands Holding Corp.

    18,000       37,338  

TravelSky Technology, Ltd. Class H

    230,000       666,705  

Tsingtao Brewery Co., Ltd. Class H

    50,000       261,203  

Vipshop Holdings, Ltd. ADR (a)

    7,811       129,819  

Want Want China Holdings, Ltd.

    606,000       485,677  

Weibo Corp. ADR

    3,986       476,486  

Weichai Power Co., Ltd. Class H

    40,000       44,851  

Yanzhou Coal Mining Co., Ltd.Class H

    46,000       58,611  

Yum China Holdings, Inc.

    64,362       2,671,023  

YY, Inc. ADR (a)

    3,759       395,447  
 

 

49


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Zhejiang Expressway Co., Ltd. Class H

    20,000     $ 20,412  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    53,400       258,553  

Zijin Mining Group Co., Ltd. Class H

    320,000       143,114  

ZTE Corp. Class H (a)

    44,480       144,804  
   

 

 

 
            81,248,193  
   

 

 

 

COLOMBIA — 0.4%

   

Bancolombia SA ADR

    1,805       75,846  

Bancolombia SA

    4,908       53,102  

Bancolombia SA Preference Shares

    3,614       37,885  

Cementos Argos SA

    1,555       5,395  

Ecopetrol SA ADR (b)

    5,475       105,832  

Ecopetrol SA

    9,534       8,926  

Grupo Argos SA

    14,939       100,660  

Grupo Aval Acciones y Valores SA Preference Shares

    38,422       16,026  

Grupo de Inversiones Suramericana SA Preference Shares

    10,551       134,480  

Grupo de Inversiones Suramericana SA

    5,618       74,984  

Interconexion Electrica SA ESP

    113,507       541,303  
   

 

 

 
      1,154,439  
   

 

 

 

CZECH REPUBLIC — 0.3%

   

CEZ A/S

    6,946       172,971  

Komercni banka A/S

    7,769       354,185  

Moneta Money Bank A/S (d)

    75,738       313,730  

O2 Czech Republic A/S

    19,091       263,602  
   

 

 

 
      1,104,488  
   

 

 

 

EGYPT — 0.3%

   

Commercial International Bank Egypt SAE

    193,077       980,831  
   

 

 

 

GREECE — 0.6%

   

Alpha Bank AE (a)

    104,883       223,153  

Eurobank Ergasias SA (a)

    161,302       152,255  

FF Group (a)

    491       9,565  

Hellenic Telecommunications Organization SA

    20,285       273,924  

JUMBO SA

    15,563       277,532  

National Bank of Greece SA (a)

    353,613       113,594  

OPAP SA

    29,693       339,252  

Piraeus Bank SA (a)

    41,082       129,848  

Titan Cement Co. SA

    11,505       285,111  
   

 

 

 
      1,804,234  
   

 

 

 

HONG KONG — 0.9%

   

Alibaba Pictures Group, Ltd. (a)

    10,000       1,300  

China Gas Holdings, Ltd.

    63,200       229,905  

Fullshare Holdings, Ltd. (a) (b)

    505,893       280,396  

GCL-Poly Energy Holdings, Ltd. (a)

    417,000       51,538  

Haier Electronics Group Co., Ltd.

    142,000       505,702  

Hanergy Thin Film Power Group, Ltd. (a) (e)

    598,000        

Security Description

 

Shares

   

Value

 

Kingboard Chemical Holdings, Ltd.

    21,500     $ 98,209  

Lee & Man Paper Manufacturing, Ltd.

    29,000       30,632  

Nine Dragons Paper Holdings, Ltd.

    21,000       31,413  

Shimao Property Holdings, Ltd.

    34,000       96,174  

Sino Biopharmaceutical, Ltd.

    685,000       1,344,113  

Sun Art Retail Group, Ltd.

    321,332       373,808  
   

 

 

 
            3,043,190  
   

 

 

 

HUNGARY — 0.4%

   

MOL Hungarian Oil & Gas PLC

    41,383       451,921  

OTP Bank PLC

    4,729       212,756  

Richter Gedeon Nyrt

    25,541       533,790  
   

 

 

 
      1,198,467  
   

 

 

 

INDIA — 9.8%

   

ACC, Ltd.

    193       4,461  

Adani Ports & Special Economic Zone, Ltd.

    55,327       300,380  

Ambuja Cements, Ltd.

    2,887       10,311  

Ashok Leyland, Ltd.

    1,669       3,722  

Asian Paints, Ltd.

    62,017       1,065,349  

Aurobindo Pharma, Ltd.

    21,701       185,612  

Axis Bank, Ltd.

    28,634       224,123  

Bajaj Auto, Ltd.

    8,224       346,087  

Bajaj Finance, Ltd.

    200       5,420  

Bajaj Finserv, Ltd.

    187       14,828  

Bharat Forge, Ltd.

    678       7,273  

Bharat Heavy Electricals, Ltd.

    12,896       16,085  

Bharat Petroleum Corp., Ltd.

    74,651       489,248  

Bharti Airtel, Ltd.

    15,349       93,828  

Bharti Infratel, Ltd.

    56,349       290,420  

Bosch, Ltd.

    601       166,027  

Britannia Industries, Ltd.

    3,249       247,609  

Cadila Healthcare, Ltd.

    25,741       149,126  

Cipla, Ltd.

    8,024       67,105  

Coal India, Ltd.

    100,400       436,102  

Container Corp. Of India, Ltd.

    170       3,245  

Dabur India, Ltd.

    200,009       1,007,072  

Dr Reddy’s Laboratories, Ltd. ADR (b)

    743       24,289  

Dr Reddy’s Laboratories, Ltd.

    579       18,470  

Eicher Motors, Ltd.

    1,532       666,448  

GAIL India, Ltd. GDR

    1,790       72,674  

Glenmark Pharmaceuticals, Ltd.

    11,546       93,169  

Godrej Consumer Products, Ltd.

    20,139       337,695  

Grasim Industries, Ltd.

    4,578       73,764  

Havells India, Ltd.

    19,418       145,244  

HCL Technologies, Ltd.

    117,425       1,743,865  

Hero MotoCorp, Ltd.

    6,364       345,688  

Hindalco Industries, Ltd.

    25,364       83,436  

Hindustan Petroleum Corp., Ltd.

    72,350       382,540  

Hindustan Unilever, Ltd.

    101,904       2,083,259  

Housing Development Finance Corp., Ltd.

    22,791       637,936  

ICICI Bank, Ltd. ADR

    19,934       176,416  

ICICI Bank, Ltd.

    2,115       9,026  
 

 

50


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Idea Cellular, Ltd. (a)

    28,189     $ 32,804  

IDFC Bank, Ltd.

    43,557       31,622  

Indiabulls Housing Finance, Ltd.

    4,407       83,600  

Indian Oil Corp., Ltd.

    28,654       77,586  

Infosys, Ltd. ADR (b)

    165,681       2,957,406  

Infosys, Ltd.

    100,407       1,742,375  

ITC, Ltd.

    351,554       1,377,180  

JSW Steel, Ltd.

    10,407       45,978  

Larsen & Toubro, Ltd. GDR

    3,914       78,671  

Larsen & Toubro, Ltd.

    429       8,623  

LIC Housing Finance, Ltd.

    6,277       51,431  

Lupin, Ltd.

    7,102       80,127  

Mahindra & Mahindra Financial Services, Ltd.

    1,058       7,515  

Mahindra & Mahindra, Ltd. GDR

    8,376       96,324  

Mahindra & Mahindra, Ltd.

    672       7,613  

Marico, Ltd.

    128,008       639,925  

Maruti Suzuki India, Ltd.

    10,169       1,381,573  

Motherson Sumi Systems, Ltd.

    3,802       18,126  

Nestle India, Ltd.

    3,558       447,523  

NTPC, Ltd.

    32,972       85,790  

Oil & Natural Gas Corp., Ltd.

    29,833       81,327  

Petronet LNG, Ltd.

    41,009       145,213  

Piramal Enterprises, Ltd.

    155       5,782  

Power Finance Corp., Ltd.

    12,757       16,753  

Reliance Industries, Ltd. GDR (d)

    19,974       541,295  

Reliance Industries, Ltd.

    12,968       175,507  

Rural Electrification Corp., Ltd.

    25,488       48,732  

Shree Cement, Ltd.

    612       151,977  

Shriram Transport Finance Co., Ltd.

    1,243       27,436  

Siemens, Ltd.

    93       1,530  

State Bank of India GDR

    3,605       139,153  

Sun Pharmaceutical Industries, Ltd.

    91,942       697,935  

Tata Consultancy Services, Ltd.

    79,950       3,492,542  

Tata Motors, Ltd. ADR (a)

    8,693       223,410  

Tata Motors, Ltd. (a)

    16,600       46,653  

Tata Motors, Ltd. (a)

    4,696       23,533  

Tata Power Co., Ltd.

    21,349       25,859  

Tata Steel, Ltd.

    742       6,497  

Tata Steel, Ltd. GDR

    4,572       39,685  

Tech Mahindra, Ltd.

    94,910       929,430  

Titan Co., Ltd.

    41,506       599,664  

UltraTech Cement, Ltd.

    325       19,683  

United Spirits, Ltd. (a)

    35       1,680  

UPL, Ltd.

    32,617       365,194  

Vakrangee, Ltd.

    80,596       273,527  

Vedanta, Ltd.

    16,384       69,797  

Wipro, Ltd. ADR (b)

    164,490       848,768  

Wipro, Ltd.

    129,924       560,061  

Yes Bank, Ltd.

    18,612       86,994  

Zee Entertainment Enterprises, Ltd.

    47,014       414,840  
   

 

 

 
            31,339,601  
   

 

 

 

INDONESIA — 4.1%

   

Adaro Energy Tbk PT

    279,600       43,258  

AKR Corporindo Tbk PT

    19,500       8,038  

Security Description

 

Shares

   

Value

 

Astra International Tbk PT

    259,900     $ 137,808  

Bank Central Asia Tbk PT

    1,946,925       3,294,959  

Bank Danamon Indonesia Tbk PT

    135,500       67,664  

Bank Mandiri Persero Tbk PT

    614,900       342,790  

Bank Negara Indonesia Persero Tbk PT

    175,300       110,458  

Bank Rakyat Indonesia Persero Tbk PT

    6,661,500       1,741,885  

Bank Tabungan Negara Persero Tbk PT

    160,800       44,383  

Bumi Serpong Damai Tbk PT

    118,000       15,256  

Charoen Pokphand Indonesia Tbk PT

    86,500       21,676  

Gudang Garam Tbk PT

    85,900       452,196  

Hanjaya Mandala Sampoerna Tbk PT

    3,404,800       984,282  

Indocement Tunggal Prakarsa Tbk PT

    23,000       26,730  

Indofood CBP Sukses Makmur Tbk PT

    477,900       287,243  

Indofood Sukses Makmur Tbk PT

    480,200       251,131  

Jasa Marga Persero Tbk PT

    140,600       46,773  

Kalbe Farma Tbk PT

    5,549,100       604,587  

Matahari Department Store Tbk PT

    331,400       263,579  

Pakuwon Jati Tbk PT

    1,776,778       81,305  

Perusahaan Gas Negara Persero Tbk

    299,200       49,984  

Semen Indonesia Persero Tbk PT

    257,500       193,581  

Surya Citra Media Tbk PT

    816,900       160,799  

Telekomunikasi Indonesia Persero Tbk PT

    8,018,275       2,096,662  

Tower Bersama Infrastructure Tbk PT

    17,391       7,042  

Unilever Indonesia Tbk PT

    419,400       1,508,682  

United Tractors Tbk PT

    152,000       353,296  

Waskita Karya Persero Tbk PT

    23,000       4,126  

XL Axiata Tbk PT (a)

    56,200       10,287  
   

 

 

 
            13,210,460  
   

 

 

 

MALAYSIA — 3.7%

   

AirAsia Bhd

    13,200       13,514  

Alliance Bank Malaysia Bhd

    43,700       48,242  

AMMB Holdings Bhd

    55,000       55,171  

Astro Malaysia Holdings Bhd

    6,700       3,534  

Axiata Group Bhd

    33,366       47,099  

British American Tobacco Malaysia Bhd

    19,200       130,548  

CIMB Group Holdings Bhd

    113,339       209,800  

Dialog Group Bhd

    9,700       7,423  

DiGi.Com Bhd

    97,200       116,348  

Felda Global Ventures Holdings Bhd

    17,200       7,382  

Gamuda Bhd

    11,400       15,178  

Genting Bhd

    44,600       100,315  

Genting Malaysia Bhd

    37,800       47,397  

Genting Plantations Bhd

    800       2,110  

HAP Seng Consolidated Bhd

    63,800       160,325  

Hartalega Holdings Bhd

    112,600       170,880  
 

 

51


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Hong Leong Bank Bhd

    269,120     $ 1,301,071  

Hong Leong Financial Group Bhd

    2,900       14,380  

IHH Healthcare Bhd

    791,300       1,227,456  

IJM Corp. Bhd

    38,400       26,705  

IOI Corp. Bhd

    17,700       21,873  

IOI Properties Group Bhd

    18,308       7,620  

Kuala Lumpur Kepong Bhd

    2,600       17,194  

Malayan Banking Bhd

    614,399       1,671,013  

Malaysia Airports Holdings Bhd

    3,100       7,093  

Maxis Bhd

    391,200       574,461  

MISC Bhd

    24,400       44,473  

Nestle Malaysia Bhd

    6,400       249,845  

Petronas Chemicals Group Bhd

    359,700       757,899  

Petronas Dagangan Bhd

    51,100       326,311  

Petronas Gas Bhd

    178,000       820,052  

PPB Group Bhd

    3,300       16,329  

Public Bank Bhd

    370,511       2,298,931  

RHB Capital Bhd

    16,738       22,372  

Sapura Energy Bhd

    186,900       24,401  

Sime Darby Bhd

    20,727       14,039  

Sime Darby Plantation Bhd (a)

    20,727       29,472  

Sime Darby Property Bhd (a)

    20,727       7,609  

SP Setia Bhd Group

    39,400       30,457  

Telekom Malaysia Bhd

    178,985       241,084  

Tenaga Nasional Bhd

    174,600       729,456  

UMW Holdings Bhd (a)

    11,000       17,120  

Westports Holdings Bhd

    169,438       154,632  

YTL Corp. Bhd

    77,538       26,862  

YTL Power International Bhd

    18,156       4,741  
   

 

 

 
            11,820,217  
   

 

 

 

MEXICO — 2.0%

   

Alfa SAB de CV Class A

    103,841       132,493  

America Movil SAB de CV Series L

    501,709       474,127  

Arca Continental SAB de CV

    61,012       420,183  

Banco Santander Mexico SA Institucion de Banca Multiple Grupo Financiero Santand Class B (b)

    38,448       55,081  

Cemex SAB de CV Series CPO (a)

    290,945       191,748  

Coca-Cola Femsa SAB de CV Series L

    19,310       127,189  

El Puerto de Liverpool SAB de CV Series C1 (b)

    2,386       17,712  

Fibra Uno Administracion SA de CV REIT

    77,209       115,728  

Fomento Economico Mexicano SAB de CV

    23,902       217,133  

Gentera SAB de CV (b)

    120,196       87,315  

Gruma SAB de CV Class B

    35,031       400,275  

Grupo Aeroportuario del Pacifico SAB de CV Class B

    55,830       549,415  

Grupo Aeroportuario del Sureste SAB de CV Class B

    18,579       311,884  

Grupo Bimbo SAB de CV Series A

    36,852       80,312  

Security Description

 

Shares

   

Value

 

Grupo Carso SAB de CV Series A1

    9,053     $ 31,756  

Grupo Financiero Banorte SAB de CV Series O

    41,778       254,351  

Grupo Financiero Inbursa SAB de CV Series O (b)

    45,185       74,485  

Grupo Lala SAB de CV (b)

    49,877       67,574  

Grupo Mexico SAB de CV Series B

    58,055       192,578  

Grupo Televisa SAB Series CPO (b)

    40,939       129,701  

Industrias Penoles SAB de CV

    1,018       20,482  

Infraestructura Energetica Nova SAB de CV

    47,313       230,480  

Kimberly-Clark de Mexico SAB de CV Class A

    10,285       19,180  

Mexichem SAB de CV

    19,406       59,153  

Promotora y Operadora de Infraestructura SAB de CV

    2,519       24,942  

Wal-Mart de Mexico SAB de CV

    801,824       2,032,069  
   

 

 

 
            6,317,346  
   

 

 

 

PAKISTAN — 0.1%

   

Habib Bank, Ltd.

    52,534       94,743  

Lucky Cement, Ltd.

    26,106       155,731  

MCB Bank, Ltd.

    72,397       139,336  

Oil & Gas Development Co., Ltd.

    5,662       8,550  

United Bank, Ltd.

    6,406       11,425  
   

 

 

 
      409,785  
   

 

 

 

PERU — 0.5%

   

Cia de Minas Buenaventura SAA ADR

    1,747       26,607  

Credicorp, Ltd.

    6,810       1,546,143  

Southern Copper Corp. (b)

    824       44,644  
   

 

 

 
      1,617,394  
   

 

 

 

PHILIPPINES — 1.5%

   

Aboitiz Equity Ventures, Inc.

    425,100       549,935  

Aboitiz Power Corp.

    583,200       432,559  

Alliance Global Group, Inc. (a)

    104,400       26,411  

Ayala Corp.

    2,020       36,701  

Ayala Land, Inc.

    39,700       31,272  

Bank of the Philippine Islands

    314,140       704,411  

BDO Unibank, Inc.

    298,732       795,817  

DMCI Holdings, Inc.

    334,430       77,939  

Globe Telecom, Inc.

    130       4,041  

GT Capital Holdings, Inc.

    1,125       25,205  

International Container Terminal Services, Inc.

    6,090       11,672  

JG Summit Holdings, Inc.

    23,930       28,756  

Jollibee Foods Corp.

    137,780       789,540  

Manila Electric Co.

    23,830       145,234  

Megaworld Corp.

    200,000       17,977  

Metro Pacific Investments Corp.

    160,600       16,128  

Metropolitan Bank & Trust Co.

    140,408       230,885  

PLDT, Inc.

    2,051       57,783  

Robinsons Land Corp.

    95,663       36,558  

Security Bank Corp.

    36,050       165,819  

SM Investments Corp.

    2,255       39,631  
 

 

52


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SM Prime Holdings, Inc.

    75,000     $ 48,440  

Universal Robina Corp.

    143,470       417,947  
   

 

 

 
            4,690,661  
   

 

 

 

POLAND — 1.0%

   

Alior Bank SA (a)

    2,047       43,954  

Bank Handlowy w Warszawie SA

    779       17,193  

Bank Millennium SA (a)

    21,021       50,385  

Bank Pekao SA

    13,689       492,761  

Bank Zachodni WBK SA

    1,836       194,143  

CCC SA

    206       14,025  

CD Projekt SA

    1,835       58,608  

Cyfrowy Polsat SA

    20,249       147,435  

Dino Polska SA (a) (d)

    4,054       102,791  

Grupa Azoty SA

    970       15,859  

Grupa Lotos SA

    5,532       85,274  

KGHM Polska Miedz SA

    2,205       55,889  

LPP SA

    11       27,939  

mBank SA (a)

    411       50,252  

Orange Polska SA (a)

    22,924       38,817  

PGE Polska Grupa Energetyczna SA (a)

    94,277       272,760  

PLAY Communications SA (a)

    13,384       129,413  

Polski Koncern Naftowy ORLEN SA

    18,058       443,476  

Polskie Gornictwo Naftowe i Gazownictwo SA

    39,661       65,421  

Powszechna Kasa Oszczednosci Bank Polski SA (a)

    20,345       240,199  

Powszechny Zaklad Ubezpieczen SA

    59,308       722,888  

Tauron Polska Energia SA (a)

    110,907       78,680  
   

 

 

 
      3,348,162  
   

 

 

 

QATAR — 0.8%

   

Barwa Real Estate Co.

    2,062       18,967  

Commercial Bank PQSC

    27,091       223,155  

Doha Bank QPSC

    23,776       176,264  

Ezdan Holding Group QSC

    27,624       79,641  

Industries Qatar QSC

    2,021       58,322  

Masraf Al Rayan QSC

    15,208       147,570  

Ooredoo QSC

    3,471       78,645  

Qatar Electricity & Water Co. QSC

    12,765       658,929  

Qatar Gas Transport Co., Ltd.

    10,407       43,662  

Qatar Insurance Co. SAQ

    3,482       35,853  

Qatar Islamic Bank SAQ

    17,069       456,954  

Qatar National Bank QPSC

    18,021       643,254  
   

 

 

 
      2,621,216  
   

 

 

 

ROMANIA — 0.1%

   

NEPI Rockcastle PLC

    24,874       241,419  
   

 

 

 

RUSSIA — 3.7%

   

Alrosa PJSC

    241,348       381,456  

Gazprom PJSC ADR

    457,553       2,226,453  

Inter RAO UES PJSC

    1,676,638       111,562  

LUKOIL PJSC ADR

    21,698       1,494,992  

Magnit PJSC GDR

    35,662       657,429  

Security Description

 

Shares

   

Value

 

Magnitogorsk Iron & Steel Works PJSC

    50,355     $ 38,708  

MMC Norilsk Nickel PJSC ADR

    10,214       189,316  

Mobile TeleSystems PJSC ADR

    50,599       576,323  

Moscow Exchange MICEX-RTS PJSC

    18,240       37,153  

Novatek PJSC GDR

    8,373       1,147,101  

Novolipetsk Steel PJSC

    27,637       69,679  

PhosAgro PJSC GDR

    772       11,225  

Polyus PJSC

    357       27,796  

Rosneft Oil Co. PJSC

    20,476       112,867  

Rosneft Oil Co. PJSC GDR

    58,839       322,555  

RusHydro PJSC ADR

    44,660       56,182  

Sberbank of Russia PJSC ADR

    87,280       1,626,026  

Sberbank of Russia PJSC ADR (b)

    6,842       127,603  

Severstal PJSC GDR

    4,031       60,828  

Surgutneftegas OJSC ADR (c)

    62,636       314,433  

Surgutneftegas OJSC ADR (c)

    63,843       312,192  

Tatneft PJSC ADR

    24,499       1,546,377  

Tatneft PJSC ADR (b)

    1,551       99,621  

Transneft PJSC Preference Shares

    36       110,442  

VTB Bank PJSC GDR

    81,263       159,113  

VTB Bank PJSC

    62,258,692       55,472  
   

 

 

 
            11,872,904  
   

 

 

 

SOUTH AFRICA — 5.0%

   

Anglo American Platinum, Ltd.

    429       11,731  

AngloGold Ashanti, Ltd.

    13,983       132,788  

Aspen Pharmacare Holdings, Ltd.

    3,399       74,430  

Barclays Africa Group, Ltd.

    25,549       409,043  

Bid Corp., Ltd.

    30,520       663,912  

Bidvest Group, Ltd.

    14,481       273,885  

Brait SE (a)

    60,753       185,098  

Capitec Bank Holdings, Ltd.

    4,152       304,947  

Coronation Fund Managers, Ltd.

    23,951       163,207  

Discovery, Ltd.

    4,556       65,559  

Exxaro Resources, Ltd.

    5,372       49,414  

FirstRand, Ltd. (b)

    363,615       2,053,030  

Fortress REIT, Ltd. Class A,

    193,322       260,890  

Fortress REIT, Ltd. Class B, (b)

    4,842       4,863  

Foschini Group, Ltd.

    19,100       360,682  

Gold Fields, Ltd.

    34,173       138,379  

Growthpoint Properties, Ltd. REIT (b)

    38,299       91,830  

Hyprop Investments, Ltd.

    3,356       30,652  

Imperial Holdings, Ltd.

    6,112       120,319  

Investec, Ltd.

    9,387       73,108  

Kumba Iron Ore, Ltd. (b)

    7,562       180,646  

Liberty Holdings, Ltd. (b)

    3,966       42,024  

Life Healthcare Group Holdings, Ltd.

    14,551       33,907  

MMI Holdings, Ltd.

    27,627       51,249  

Mondi, Ltd.

    11,241       305,702  

Mr. Price Group, Ltd.

    29,251       703,579  

MTN Group, Ltd.

    33,543       336,937  

Naspers, Ltd. Class N

    1,217       297,025  

Nedbank Group, Ltd. (b)

    6,737       162,353  

Netcare, Ltd.

    132,368       312,801  

Pick n Pay Stores, Ltd.

    42,856       247,904  
 

 

53


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Pioneer Foods Group, Ltd. (b)

    1,775     $ 18,606  

PSG Group, Ltd.

    789       14,987  

Rand Merchant Investment Holdings, Ltd.

    54,687       184,617  

Redefine Properties, Ltd. REIT

    103,060       100,809  

Remgro, Ltd.

    10,609       198,772  

Resilient REIT, Ltd.

    5,137       21,677  

RMB Holdings, Ltd.

    80,858       526,485  

Sanlam, Ltd. (b)

    143,619       1,033,923  

Sappi, Ltd.

    20,475       131,676  

Sasol, Ltd.

    14,161       481,919  

Shoprite Holdings, Ltd.

    45,811       976,554  

Sibanye Gold, Ltd.

    17,645       17,528  

SPAR Group, Ltd.

    27,261       466,040  

Standard Bank Group, Ltd. (b)

    32,711       603,713  

Steinhoff International Holdings NV

    74,041       20,621  

Telkom SA SOC, Ltd.

    6,631       29,627  

Tiger Brands, Ltd.

    18,770       589,298  

Truworths International, Ltd.

    56,049       508,657  

Vodacom Group, Ltd.

    119,159       1,539,375  

Woolworths Holdings, Ltd.

    100,277       507,785  
   

 

 

 
            16,114,563  
   

 

 

 

SOUTH KOREA — 11.7%

   

Amorepacific Corp.

    2,404       692,399  

Amorepacific Corp. Preference Shares

    724       108,678  

AMOREPACIFIC Group

    370       47,556  

BGF retail Co., Ltd.

    489       69,962  

BNK Financial Group, Inc.

    19,510       194,935  

Celltrion, Inc. (a)

    774       230,189  

Cheil Worldwide, Inc.

    5,284       90,223  

CJ CheilJedang Corp.

    510       153,110  

CJ Corp.

    729       107,719  

CJ E&M Corp.

    95       8,226  

CJ Logistics Corp. (a)

    1,368       176,471  

Coway Co., Ltd.

    7,205       593,488  

Daelim Industrial Co., Ltd.

    768       53,030  

Daewoo Engineering & Construction Co., Ltd. (a)

    1,280       6,256  

DB Insurance Co., Ltd.

    14,730       912,074  

DGB Financial Group, Inc.

    11,281       123,298  

Dongsuh Cos., Inc.

    104       2,542  

Doosan Bobcat, Inc.

    668       19,772  

Doosan Heavy Industries & Construction Co., Ltd. (a)

    3,825       57,057  

E-MART, Inc.

    1,230       312,145  

GS Engineering & Construction Corp.

    3,026       84,600  

GS Holdings Corp.

    1,957       113,098  

GS Retail Co., Ltd.

    2,257       65,006  

Hana Financial Group, Inc.

    12,465       533,262  

Hankook Tire Co., Ltd.

    2,277       112,365  

Hanmi Pharm Co., Ltd.

    7       3,395  

Hanmi Science Co., Ltd.

    10       886  

Hanon Systems

    15,638       169,452  

Hanssem Co., Ltd.

    1,754       246,834  

Hanwha Chemical Corp.

    3,007       83,363  

Security Description

 

Shares

   

Value

 

Hanwha Corp.

    4,815     $ 177,756  

Hanwha Life Insurance Co., Ltd.

    25,070       147,706  

Hanwha Techwin Co., Ltd. (a)

    1,388       37,633  

Hotel Shilla Co., Ltd.

    70       6,042  

Hyosung Corp.

    830       93,053  

Hyundai Department Store Co., Ltd.

    734       62,320  

Hyundai Development Co-Engineering & Construction

    1,682       59,807  

Hyundai Engineering & Construction Co., Ltd.

    4,302       171,935  

Hyundai Glovis Co., Ltd.

    533       91,009  

Hyundai Heavy Industries Co., Ltd. (a)

    1,574       203,044  

Hyundai Marine & Fire Insurance Co., Ltd.

    9,105       335,277  

Hyundai Mobis Co., Ltd.

    2,533       603,604  

Hyundai Motor Co.

    7,592       1,022,096  

Hyundai Motor Co. Preference Shares

    2,860       250,072  

Hyundai Motor Co. Preference Shares

    1,419       114,889  

Hyundai Motor Co. GDR

    1,246       49,965  

Hyundai Robotics Co., Ltd. (a)

    194       77,534  

Hyundai Steel Co.

    4,602       222,782  

Hyundai Wia Corp.

    1,357       70,021  

Industrial Bank of Korea

    12,906       188,886  

ING Life Insurance Korea, Ltd.

    993       41,596  

Kakao Corp.

    1,703       206,904  

Kangwon Land, Inc.

    29,306       749,215  

KB Financial Group, Inc.

    3,107       179,558  

KB Financial Group, Inc. ADR (a)

    11,956       692,731  

KCC Corp.

    208       64,689  

KEPCO Plant Service & Engineering Co., Ltd.

    1,080       46,001  

Kia Motors Corp.

    23,845       712,509  

Korea Aerospace Industries, Ltd. (a)

    730       34,209  

Korea Electric Power Corp. ADR (a) (b)

    41,586       640,009  

Korea Electric Power Corp.

    6,980       215,444  

Korea Gas Corp. (a)

    2,763       125,850  

Korea Investment Holdings Co., Ltd.

    912       70,674  

Korea Zinc Co., Ltd.

    139       62,856  

Korean Air Lines Co., Ltd.

    2,175       66,725  

KT Corp. ADR (a)

    17,817       244,093  

KT Corp.

    123       3,156  

KT&G Corp.

    20,621               1,934,609  

Kumho Petrochemical Co., Ltd.

    747       67,839  

LG Chem, Ltd.

    636       230,318  

LG Chem, Ltd. Preference Shares

    208       42,053  

LG Corp.

    2,224       181,317  

LG Display Co., Ltd. ADR (a) (b)

    23,890       289,069  

LG Display Co., Ltd.

    3,045       73,847  

LG Electronics, Inc.

    3,639       372,128  

LG Household & Health Care, Ltd.

    849       949,440  
 

 

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Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

LG Household & Health Care, Ltd. Preference Shares

    198     $ 130,402  

LG Innotek Co., Ltd.

    244       28,271  

Lotte Chemical Corp.

    375       152,336  

Lotte Corp. (a)

    1,605       95,466  

Lotte Shopping Co., Ltd.

    547       120,084  

Medy-Tox, Inc.

    423       296,326  

Mirae Asset Daewoo Co., Ltd.

    9,263       80,038  

NAVER Corp.

    3,542       2,611,889  

NCSoft Corp.

    1,251       481,199  

Netmarble Games Corp. (d)

    217       29,927  

NH Investment & Securities Co., Ltd.

    2,852       37,326  

OCI Co., Ltd.

    368       54,549  

Orion Corp./Republic of Korea

    173       20,775  

Ottogi Corp.

    4       2,668  

Pan Ocean Co., Ltd. (a)

    4,977       24,654  

POSCO ADR (a)

    9,100       717,535  

POSCO

    550       173,891  

Posco Daewoo Corp.

    3,207       69,050  

S-1 Corp.

    6,634       597,489  

Samsung Biologics Co., Ltd. (a) (d)

    1,072       488,781  

Samsung C&T Corp.

    1,238       159,120  

Samsung Card Co., Ltd.

    367       12,343  

Samsung Electro-Mechanics Co., Ltd.

    2,138       214,622  

Samsung Electronics Co., Ltd. GDR (c)

    3,218       3,687,828  

Samsung Electronics Co., Ltd. Preference Shares

    131       248,874  

Samsung Electronics Co., Ltd.

    740       1,702,299  

Samsung Electronics Co., Ltd. GDR (c)

    768       728,064  

Samsung Fire & Marine Insurance Co., Ltd.

    3,210       807,093  

Samsung Heavy Industries Co., Ltd. (a)

    8,872       65,589  

Samsung Life Insurance Co., Ltd.

    8,186       887,028  

Samsung SDI Co., Ltd.

    2,129       381,498  

Samsung SDS Co., Ltd.

    410       97,124  

Samsung Securities Co., Ltd.

    1,502       55,379  

Shinhan Financial Group Co., Ltd.

    4,093       173,374  

Shinhan Financial Group Co., Ltd. ADR (a) (b)

    13,985       592,964  

Shinsegae, Inc.

    193       63,102  

SK Holdings Co., Ltd.

    1,781       498,760  

SK Hynix, Inc.

    20,260       1,526,295  

SK Innovation Co., Ltd.

    1,951       384,379  

SK Networks Co., Ltd.

    12,549       68,167  

SK Telecom Co., Ltd. ADR

    30,218       730,369  

SK Telecom Co., Ltd.

    656       141,552  

S-Oil Corp.

    798       89,465  

Woori Bank

    14,854       200,673  

Yuhan Corp.

    214       44,370  
   

 

 

 
            37,426,648  
   

 

 

 

TAIWAN — 14.5%

   

Acer, Inc. (a)

    155,258       128,862  

Security Description

 

Shares

   

Value

 

Advanced Semiconductor Engineering, Inc.

    250,248     $ 361,764  

Advantech Co., Ltd.

    126,951       909,996  

Asia Cement Corp.

    43,200       41,634  

Asia Pacific Telecom Co., Ltd. (a)

    9,000       2,815  

Asustek Computer, Inc.

    63,000       586,634  

AU Optronics Corp.

    772,000       357,444  

Catcher Technology Co., Ltd.

    60,000       743,904  

Cathay Financial Holding Co., Ltd.

    192,100       341,283  

Chailease Holding Co., Ltd.

    10,160       34,846  

Chang Hwa Commercial Bank, Ltd.

    142,585       82,401  

Cheng Shin Rubber Industry Co., Ltd.

    38,000       61,711  

Chicony Electronics Co., Ltd.

    238,644       606,493  

China Airlines, Ltd. (a)

    127,000       46,389  

China Development Financial Holding Corp.

    452,000       159,673  

China Life Insurance Co., Ltd.

    52,711       54,687  

China Steel Corp.

    263,440       209,617  

Chunghwa Telecom Co., Ltd.

    739,540               2,828,093  

Compal Electronics, Inc.

    394,000       268,234  

CTBC Financial Holding Co., Ltd.

    511,900       366,935  

Delta Electronics, Inc.

    239,623       1,068,388  

E.Sun Financial Holding Co., Ltd.

    204,750       137,638  

Eclat Textile Co., Ltd.

    16,379       190,996  

Eva Airways Corp.

    211,279       108,331  

Evergreen Marine Corp. Taiwan, Ltd. (a)

    38,985       20,123  

Far Eastern New Century Corp.

    150,560       135,549  

Far EasTone Telecommunications Co., Ltd.

    604,449       1,596,274  

Feng TAY Enterprise Co., Ltd.

    36,468       165,724  

First Financial Holding Co., Ltd.

    1,641,458       1,140,019  

Formosa Chemicals & Fibre Corp.

    41,000       153,274  

Formosa Petrochemical Corp.

    169,000       686,851  

Formosa Plastics Corp.

    137,000       483,966  

Formosa Taffeta Co., Ltd.

    15,000       16,514  

Foxconn Technology Co., Ltd.

    127,892       342,572  

Fubon Financial Holding Co., Ltd.

    180,000       309,291  

General Interface Solution Holding, Ltd.

    11,000       66,588  

Giant Manufacturing Co., Ltd.

    4,000       20,990  

Globalwafers Co., Ltd.

    3,000       47,690  

Highwealth Construction Corp.

    15,500       23,869  

Hiwin Technologies Corp.

    1,020       14,518  

Hon Hai Precision Industry Co., Ltd.

    1,973,163       6,090,636  

Hotai Motor Co., Ltd.

    3,000       29,890  

HTC Corp. (a)

    8,000       18,191  

Hua Nan Financial Holdings Co., Ltd.

            1,447,009       868,493  

Innolux Corp.

    749,751       327,857  

Inventec Corp.

    142,000       112,501  

Largan Precision Co., Ltd.

    11,000       1,250,643  

Lite-On Technology Corp.

    446,952       623,896  

MediaTek, Inc.

    28,877       327,821  

Mega Financial Holding Co., Ltd.

    362,657       311,574  
 

 

55


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Micro-Star International Co., Ltd.

    56,000     $ 187,646  

Nan Ya Plastics Corp.

    75,000       210,413  

Nanya Technology Corp.

    173,000       547,652  

Nien Made Enterprise Co., Ltd.

    16,000       153,102  

Novatek Microelectronics Corp.

    64,000       289,742  

Pegatron Corp.

    133,000       331,166  

Phison Electronics Corp.

    26,000       270,638  

Pou Chen Corp.

    49,000       65,038  

Powertech Technology, Inc.

    80,000       249,408  

President Chain Store Corp.

    148,000       1,487,259  

Quanta Computer, Inc.

    171,000       344,850  

Realtek Semiconductor Corp.

    3,000       12,913  

Ruentex Development Co., Ltd. (a)

    11,443       13,461  

Ruentex Industries, Ltd. (a)

    43,000       83,030  

Shin Kong Financial Holding Co., Ltd.

    231,936       87,900  

Siliconware Precision Industries Co., Ltd.

    748,300       1,306,323  

SinoPac Financial Holdings Co., Ltd.

    460,620       162,719  

Standard Foods Corp.

    84,168       197,163  

Synnex Technology International Corp.

    408,900       610,047  

Taishin Financial Holding Co., Ltd.

    258,027       126,549  

Taiwan Business Bank

    522,575       155,928  

Taiwan Cement Corp.

    66,000       82,735  

Taiwan Cooperative Financial Holding Co., Ltd.

    2,648,165       1,557,637  

Taiwan High Speed Rail Corp.

    18,000       13,767  

Taiwan Mobile Co., Ltd.

    529,542       1,979,630  

Taiwan Semiconductor Manufacturing Co., Ltd.

    1,123,495       9,401,954  

Teco Electric and Machinery Co., Ltd.

    32,000       26,395  

Uni-President Enterprises Corp.

    77,164       180,756  

United Microelectronics Corp.

    829,000       435,014  

Vanguard International Semiconductor Corp.

    74,000       161,162  

Win Semiconductors Corp.

    3,000       32,205  

Winbond Electronics Corp.

    158,000       105,940  

Wistron Corp.

    182,671       156,314  

WPG Holdings, Ltd.

    230,000       297,390  

Yageo Corp.

    3,000       53,503  

Yuanta Financial Holding Co., Ltd.

    318,466       145,815  

Zhen Ding Technology Holding, Ltd.

    15,000       35,909  
   

 

 

 
            46,443,155  
   

 

 

 

THAILAND — 3.7%

   

Advanced Info Service PCL (f)

    140,300       924,266  

Airports of Thailand PCL (f)

    55,300       116,719  

Airports of Thailand PCL NVDR

    352,870       744,785  

Bangkok Bank PCL (f)

    3,700       25,321  

Bangkok Bank PCL NVDR

    3,500       22,162  

Bangkok Dusit Medical Services PCL (f)

    982,592       738,437  

Security Description

 

Shares

   

Value

 

Bangkok Expressway & Metro PCL (f)

    1,835,333     $ 422,590  

Banpu PCL (f)

    35,770       22,649  

Berli Jucker PCL NVDR

    17,400       31,439  

BTS Group Holdings PCL (f)

    2,280,898       605,419  

Bumrungrad Hospital PCL (f)

    121,500       804,301  

Central Pattana PCL NVDR

    43,100       108,198  

Central Pattana PCL (f)

    97,900       245,767  

Charoen Pokphand Foods PCL (f)

    80,086       64,668  

CP ALL PCL (f)

    422,800       1,176,322  

Delta Electronics Thailand PCL (f)

    179,444       380,178  

Delta Electronics Thailand PCL NVDR

    300       636  

Electricity Generating PCL (f)

    54,400       398,388  

Energy Absolute PCL (f)

    900       1,259  

Energy Absolute PCL NVDR

    2,700       3,778  

Glow Energy PCL (f)

    97,300       264,487  

Glow Energy PCL NVDR

    119,000       323,473  

Home Product Center PCL (f)

    977,759       434,629  

Indorama Ventures PCL (f)

    1,400       2,541  

Indorama Ventures PCL NVDR

    36,200       65,697  

IRPC PCL (f)

    274,100       63,551  

Kasikornbank PCL (f)

    19,700       134,189  

Kasikornbank PCL NVDR

    64,600       437,966  

KCE Electronics PCL NVDR

    137,300       294,183  

Krung Thai Bank PCL (f)

    136,800       83,121  

Minor International PCL (f)

    17,800       21,631  

Minor International PCL NVDR

    83,419       101,373  

PTT Exploration & Production PCL (f)

    43,328       158,652  

PTT Global Chemical PCL (f)

    58,803       178,177  

PTT PCL (f)

    33,356       584,557  

Robinson PCL NVDR

    76,700       153,302  

Robinson PCL (f)

    19,200       38,375  

Siam Cement PCL (f)

    61,150       966,041  

Siam Cement PCL NVDR

    13,100       206,952  

Siam Commercial Bank PCL (f)

    55,000       248,881  

Thai Oil PCL (f)

    21,288       61,781  

Thai Union Group PCL NVDR

    203,600       121,756  

Thai Union Group PCL Class F (f)

    21,900       13,097  

TMB Bank PCL (f)

    44,000       3,546  

TMB Bank PCL NVDR

    271,600       21,888  

True Corp. PCL (f)

    175,600       39,028  
   

 

 

 
            11,860,156  
   

 

 

 

TURKEY — 0.8%

   

Akbank Turk A/S

    84,929       204,958  

Anadolu Efes Biracilik Ve Malt Sanayii A/S

    5,176       35,383  

Arcelik A/S

    4,944       22,315  

Aselsan Elektronik Sanayi Ve Ticaret A/S

    17,237       133,583  

BIM Birlesik Magazalar A/S

    27,100       488,106  

Coca-Cola Icecek A/S

    812       7,387  

Emlak Konut Gayrimenkul Yatirim Ortakligi A/S REIT (a)

    182,809       116,753  

Eregli Demir ve Celik Fabrikalari TAS

    27,863       73,150  
 

 

56


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Ford Otomotiv Sanayi A/S

    6,722     $ 104,103  

Haci Omer Sabanci Holding A/S

    23,481       62,120  

KOC Holding A/S

    17,767       73,016  

Petkim Petrokimya Holding A/S

    7,539       15,415  

TAV Havalimanlari Holding A/S

    3,162       18,885  

Tofas Turk Otomobil Fabrikasi A/S

    10,989       73,512  

Tupras Turkiye Petrol Rafinerileri A/S

    13,178       365,594  

Turk Hava Yollari AO (a)

    33,737       165,304  

Turk Telekomunikasyon A/S (a)

    8,322       14,096  

Turkcell Iletisim Hizmetleri A/S

    26,511       100,786  

Turkiye Garanti Bankasi A/S

    83,331       229,290  

Turkiye Halk Bankasi A/S

    52,591       120,147  

Turkiye Is Bankasi A/S Class C

    81,818       147,262  

Turkiye Sise ve Cam Fabrikalari A/S

    36,335       47,421  

Turkiye Vakiflar Bankasi TAO

    34,937       57,326  

Ulker Biskuvi Sanayi A/S

    1,166       6,464  

Yapi ve Kredi Bankasi A/S (a)

    35,235       39,581  
   

 

 

 
      2,721,957  
   

 

 

 

UNITED ARAB EMIRATES — 1.1%

 

 

Abu Dhabi Commercial Bank PJSC

    61,684       110,840  

Aldar Properties PJSC

    86,266       50,026  

DAMAC Properties Dubai Co. PJSC

    252,666       205,682  

DP World, Ltd.

    24,486       550,935  

Dubai Investments PJSC

    55,960       31,842  

Dubai Islamic Bank PJSC

    128,861       186,293  

DXB Entertainments PJSC (a)

    65,426       8,657  

Emaar Malls PJSC

    6,474       3,790  

Emaar Properties PJSC

    59,031       93,215  

Emirates Telecommunications Group Co. PJSC

    284,453       1,366,892  

First Abu Dhabi Bank PJSC

    322,043       1,025,838  
   

 

 

 
      3,634,010  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $278,424,508)

            319,059,582  
   

 

 

 

RIGHTS — 0.0% (g)

   

SOUTH KOREA — 0.0% (g)

   

Samsung Heavy Industries Co., Ltd. (expires 4/13/18) (a) (Cost $0)

    4,217       8,209  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.0%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

    419,516       419,516  

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

    5,879,993     $ 5,879,993  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $6,299,509)

      6,299,509  
   

 

 

 

TOTAL INVESTMENTS — 101.4%
(Cost $284,724,017)

      325,367,300  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.4)%

      (4,366,673
   

 

 

 

NET ASSETS — 100.0%

    $   321,000,627  
   

 

 

 

 

(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.7% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(f) Fair valued as determined ingood faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $9,222,568 representing 2.9% of net assets.
(g) Amount shown represents less than 0.05% of net assets.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.

 

ADR   =American Depositary Receipt
GDR   =Global Depositary Receipt
NVDR   =Non Voting Depositary Receipt
REIT   =Real Estate Investment Trust
 

 

57


Table of Contents

SPDR MSCI EMERGING MARKETS STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Brazil

    $ 17,221,558     $     $     $ 17,221,558

Chile

      5,614,528                   5,614,528

China

      81,248,193             0 (a)       81,248,193

Colombia

      1,154,439                   1,154,439

Czech Republic

      1,104,488                   1,104,488

Egypt

      980,831                   980,831

Greece

      1,804,234                   1,804,234

Hong Kong

      3,043,190             0 (a)       3,043,190

Hungary

      1,198,467                   1,198,467

India

      31,339,601                   31,339,601

Indonesia

      13,210,460                   13,210,460

Malaysia

      11,820,217                   11,820,217

Mexico

      6,317,346                   6,317,346

Pakistan

      409,785                   409,785

Peru

      1,617,394                   1,617,394

Philippines

      4,690,661                   4,690,661

Poland

      3,348,162                   3,348,162

Qatar

      2,621,216                   2,621,216

Romania

      241,419                   241,419

Russia

      11,872,904                   11,872,904

South Africa

      16,114,563                   16,114,563

South Korea

      37,426,648                   37,426,648

Taiwan

      46,443,155                   46,443,155

Thailand

      2,637,588       9,222,568             11,860,156

Turkey

      2,721,957                   2,721,957

United Arab Emirates

      3,634,010                   3,634,010

Rights

               

South Korea

      8,209                   8,209

Short-Term Investments

      6,299,509                   6,299,509
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 316,144,732     $ 9,222,568     $ 0     $ 325,367,300
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $ 0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      647,704     $ 647,704     $ 12,177,070     $ 12,405,258     $     $       419,516     $ 419,516     $ 2,997     $

State Street Navigator Securities Lending Government Money Market Portfolio

      3,055,835       3,055,835       14,107,878       11,283,720                   5,879,993       5,879,993       12,523      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 3,703,539     $ 26,284,948     $ 23,688,978     $     $         $ 6,299,509     $ 15,520     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

58


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.6%

   

ARGENTINA — 0.1%

   

MercadoLibre, Inc.

    50     $ 17,820  
   

 

 

 

AUSTRALIA — 1.3%

   

AGL Energy, Ltd.

    346       5,754  

Amcor, Ltd.

    1,196       12,999  

AMP, Ltd.

    901       3,449  

Aurizon Holdings, Ltd.

    933       3,027  

Australia & New Zealand Banking Group, Ltd.

    1,104       22,746  

Bendigo & Adelaide Bank, Ltd. (a)

    246       1,857  

BHP Billiton PLC

    275       5,415  

BHP Billiton, Ltd.

    539       11,663  

Brambles, Ltd.

    1,679       12,853  

Caltex Australia, Ltd.

    88       2,119  

Cochlear, Ltd.

    76       10,588  

Commonwealth Bank of Australia

    468       25,958  

CSL, Ltd.

    711       84,784  

Flight Centre Travel Group, Ltd. (a)

    4       175  

Fortescue Metals Group, Ltd. (a)

    1,049       3,484  

Incitec Pivot, Ltd.

    499       1,343  

Insurance Australia Group, Ltd.

    805       4,619  

LendLease Group

    338       4,488  

Macquarie Group, Ltd.

    80       6,314  

Medibank Pvt, Ltd.

    793       1,764  

National Australia Bank, Ltd.

    1,013       22,137  

Newcrest Mining, Ltd.

    434       6,511  

Oil Search, Ltd.

    398       2,183  

Orica, Ltd.

    232       3,160  

QBE Insurance Group, Ltd.

    438       3,235  

REA Group, Ltd.

    108       6,562  

Santos, Ltd. (b)

    4       16  

Scentre Group REIT

    1,870       5,494  

SEEK, Ltd.

    291       4,152  

Sonic Healthcare, Ltd.

    406       7,125  

South32, Ltd.

    761       1,880  

Suncorp Group, Ltd.

    334       3,418  

Telstra Corp., Ltd.

    10,568       25,453  

Transurban Group Stapled Security

    127       1,112  

Wesfarmers, Ltd.

    247       7,874  

Westfield Corp. REIT

    2,273       14,855  

Westpac Banking Corp.

    1,138       24,982  

Woodside Petroleum, Ltd.

    301       6,751  

Woolworths, Ltd.

    1,151       23,211  
   

 

 

 
                395,510  
   

 

 

 

AUSTRIA — 0.1%

   

Erste Group Bank AG

    132       6,623  

OMV AG

    120       6,978  

Raiffeisen Bank International AG (b)

    4       155  

Voestalpine AG

    92       4,817  
   

 

 

 
      18,573  
   

 

 

 

BELGIUM — 0.3%

   

Ageas

    104       5,367  

Anheuser-Busch InBev SA

    116       12,737  

Colruyt SA

    84       4,641  

Security Description

 

Shares

   

Value

 

Groupe Bruxelles Lambert SA

    40     $ 4,565  

KBC Group NV

    76       6,610  

Proximus SADP

    801       24,854  

Solvay SA

    32       4,441  

UCB SA

    192       15,627  

Umicore SA

    168       8,870  
   

 

 

 
      87,712  
   

 

 

 

BERMUDA — 0.1%

   

RenaissanceRe Holdings, Ltd.

    240                 33,242  
   

 

 

 

CANADA — 3.0%

   

Agnico Eagle Mines, Ltd.

    738       31,026  

Alimentation Couche-Tard, Inc. Class B

    382       17,087  

Bank of Montreal

    539       40,687  

Bank of Nova Scotia

    374       23,022  

Barrick Gold Corp.

    2,357       29,343  

BCE, Inc.

    627       26,962  

Bombardier, Inc. Class B (b)

    773       2,248  

Brookfield Asset Management, Inc. Class A

    196       7,635  

Canadian Imperial Bank of Commerce

    322       28,402  

Canadian National Railway Co.

    754       55,068  

Canadian Natural Resources, Ltd.

    247       7,759  

Canadian Pacific Railway, Ltd.

    128       22,557  

Canadian Tire Corp., Ltd. Class A

    44       5,781  

CI Financial Corp. (a)

    160       3,425  

Constellation Software, Inc.

    24       16,273  

Dollarama, Inc.

    20       2,429  

Enbridge, Inc.

    204       6,412  

Enbridge, Inc.

    204       6,420  

Fairfax Financial Holdings, Ltd.

    48       24,314  

First Capital Realty, Inc.

    479       7,561  

Franco-Nevada Corp.

    957       65,247  

Gildan Activewear, Inc.

    208       6,003  

Goldcorp, Inc.

    2,420       33,393  

Great-West Lifeco, Inc.

    148       3,774  

Imperial Oil, Ltd.

    84       2,223  

Intact Financial Corp.

    663       49,785  

Loblaw Cos., Ltd.

    104       5,251  

Magna International, Inc.

    523       29,439  

Manulife Financial Corp.

    797       14,787  

Metro, Inc.

    299       9,532  

Nutrien, Ltd. (a)

    80       3,778  

Onex Corp.

    72       5,189  

Pembina Pipeline Corp.

    32       998  

Power Corp. of Canada

    156       3,557  

Power Financial Corp.

    132       3,303  

PrairieSky Royalty, Ltd. (a)

    314       6,861  

Restaurant Brands International, Inc.

    9       512  

RioCan Real Estate Investment Trust

    587       10,763  

Rogers Communications, Inc. Class B

    957       42,712  

Royal Bank of Canada

    492       37,979  

Saputo, Inc.

    224       7,184  
 

 

59


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Shaw Communications, Inc. Class B

    1,440     $ 27,722  

SmartCentres Real Estate Investment Trust

    410       9,257  

Sun Life Financial, Inc. (a)

    128       5,253  

Suncor Energy, Inc.

    793       27,365  

TELUS Corp.

    627       22,002  

Thomson Reuters Corp.

    595       22,979  

Toronto-Dominion Bank

    1,164       66,007  

Wheaton Precious Metals Corp.

    607       12,359  
   

 

 

 
                899,625  
   

 

 

 

CHILE — 0.0% (c)

   

Antofagasta PLC

    148       1,912  
   

 

 

 

DENMARK — 1.2%

   

Carlsberg A/S Class B

    40       4,757  

Chr Hansen Holding A/S

    293       25,186  

Coloplast A/S Class B

    374       31,508  

Danske Bank A/S

    208       7,735  

DONG Energy A/S (d)

    583       37,707  

DSV A/S

    247       19,329  

H Lundbeck A/S

    398       22,182  

ISS A/S

    185       6,825  

Novo Nordisk A/S Class B

    2,886       141,660  

Novozymes A/S Class B

    370       19,071  

Pandora A/S

    136       14,581  

Tryg A/S

    240       5,564  

Vestas Wind Systems A/S

    32       2,269  

William Demant Holding A/S (b)

    715       26,449  
   

 

 

 
      364,823  
   

 

 

 

FINLAND — 0.3%

   

Elisa Oyj

    667       30,163  

Fortum Oyj (a)

    4       86  

Kone Oyj Class B

    398       19,839  

Nokia Oyj

    511       2,818  

Nokia Oyj

    579       3,188  

Orion Oyj Class B

    140       4,282  

Sampo Oyj Class A

    96       5,344  

Stora Enso Oyj Class R (a)

    410       7,526  

UPM-Kymmene Oyj

    236       8,736  

Wartsila Oyj Abp

    432       9,537  
   

 

 

 
      91,519  
   

 

 

 

FRANCE — 2.3%

   

Aeroports de Paris

    100       21,768  

Air Liquide SA

    69       8,442  

Airbus SE

    120       13,843  

Alstom SA

    108       4,863  

Arkema SA

    44       5,736  

AXA SA

    1,037       27,548  

BNP Paribas SA

    695       51,430  

Bouygues SA

    108       5,407  

Bureau Veritas SA

    4       104  

Capgemini SE

    56       6,970  

Carrefour SA (a)

    258       5,347  

Casino Guichard Perrachon SA (a)

    4       196  

Cie de Saint-Gobain

    152       8,012  

Cie Generale des Etablissements Michelin SCA

    68       10,027  

Security Description

 

Shares

   

Value

 

CNP Assurances

    192     $ 4,841  

Credit Agricole SA

    1,332       21,632  

Danone SA

    106       8,569  

Dassault Systemes SE

    100       13,578  

Electricite de France SA

    4       58  

Engie SA

    1,014       16,904  

Essilor International Cie Generaled’Optique SA

    60       8,087  

Hermes International

    35       20,726  

Iliad SA

    4       826  

Kering SA

    20       9,563  

Lagardere SCA

    4       114  

Legrand SA

    64       5,014  

L’Oreal SA

    251       56,599  

LVMH Moet Hennessy Louis Vuitton SE

    286       88,005  

Natixis SA

    627       5,134  

Orange SA

    845       14,326  

Pernod Ricard SA

    40       6,653  

Peugeot SA

    322       7,742  

Publicis Groupe SA

    134       9,324  

Renault SA

    100       12,114  

Rexel SA

    176       2,976  

Safran SA

    64       6,767  

Sanofi

    251       20,167  

Schneider Electric SE

    104       9,125  

SCOR SE

    116       4,745  

Societe BIC SA

    32       3,182  

Societe Generale SA

    599       32,532  

Sodexo SA

    40       4,029  

Suez

    220       3,185  

Thales SA

    112       13,628  

TOTAL SA

    1,151       65,300  

Unibail-Rodamco SE REIT (a)

    20       4,566  

Valeo SA

    275       18,141  

Veolia Environnement SA

    244       5,775  

Vinci SA

    148       14,543  

Vivendi SA

    228       5,889  
   

 

 

 
                694,052  
   

 

 

 

GERMANY — 2.5%

   

adidas AG

    192       46,435  

Allianz SE

    180       40,600  

BASF SE

    306       31,036  

Bayer AG

    168       18,965  

Bayerische Motoren Werke AG

    180       19,514  

Bayerische Motoren Werke AG Preference Shares

    44       4,121  

Beiersdorf AG

    88       9,959  

Brenntag AG

    72       4,277  

Commerzbank AG (b)

    1,336       17,325  

Continental AG

    128       35,309  

Covestro AG (d)

    149       14,634  

Daimler AG

    523       44,362  

Deutsche Bank AG

    2,032       28,304  

Deutsche Boerse AG

    24       3,265  

Deutsche Lufthansa AG

    4       128  

Deutsche Post AG

    1,136       49,625  

Deutsche Telekom AG

    1,124       18,316  
 

 

60


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

E.ON SE

    1,563     $ 17,339  

Fresenius Medical Care AG & Co. KGaA

    40       4,082  

Fresenius SE & Co. KGaA

    84       6,411  

Fuchs Petrolub SE Preference Shares

    88       4,773  

Hannover Rueck SE

    48       6,547  

HeidelbergCement AG

    48       4,710  

Henkel AG & Co. KGaA Preference Shares

    180       23,654  

Henkel AG & Co. KGaA

    108       13,588  

HUGO BOSS AG

    92       8,006  

Infineon Technologies AG

    374       10,000  

KS AG

    116       3,344  

Lanxess AG

    60       4,590  

Linde AG (b)

    40       8,417  

MAN SE

    180       20,975  

Merck KGaA

    48       4,599  

METRO AG

    338       5,982  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    84       19,510  

Porsche Automobil Holding SE Preference Shares

    240       19,924  

ProSiebenSat.1 Media SE

    200       6,931  

RWE AG (b)

    723       17,837  

SAP SE

    120       12,540  

Siemens AG

    204       25,972  

Telefonica Deutschland Holding AG

    1,288       6,045  

ThyssenKrupp AG

    148       3,857  

TUI AG

    1,751       37,532  

United Internet AG

    120       7,541  

Volkswagen AG

    64       12,798  

Volkswagen AG Preference Shares

    208       41,282  
   

 

 

 
                744,961  
   

 

 

 

HONG KONG — 1.9%

   

AIA Group, Ltd.

    1,600       13,537  

Bank of East Asia, Ltd.

    2,524       10,066  

BOC Hong Kong Holdings, Ltd.

    4,000       19,469  

CK Asset Holdings, Ltd.

    1,770       14,851  

CK Hutchison Holdings, Ltd.

    2,000       23,929  

CK Infrastructure Holdings, Ltd.

    4,000       32,695  

CLP Holdings, Ltd.

    8,000       81,444  

Hang Seng Bank, Ltd.

    4,000       92,555  

HK Electric Investments & HK Electric Investments, Ltd. (a) (d)

    13,831       13,393  

HKT Trust & HKT, Ltd.

    15,540       19,543  

Hong Kong & China Gas Co., Ltd.

    17,193       35,314  

Hong Kong Exchanges & Clearing, Ltd.

    1,238       40,256  

Jardine Matheson Holdings, Ltd.

    100       6,162  

Jardine Strategic Holdings, Ltd.

    400       15,336  

Link REIT

    4,000       34,147  

MTR Corp., Ltd.

    8,059       43,333  

New World Development Co., Ltd.

    4,267       6,024  

Power Assets Holdings, Ltd.

    4,000       35,651  

Sands China, Ltd.

    3,200       17,206  

Security Description

 

Shares

   

Value

 

Yue Yuen Industrial Holdings, Ltd.

    4,000     $ 15,876  
   

 

 

 
      570,787  
   

 

 

 

IRELAND — 0.4%

   

AerCap Holdings NV (b)

    398       20,187  

Bank of Ireland Group PLC (b)

    365       3,192  

CRH PLC

    177       6,002  

James Hardie Industries PLC

    434       7,613  

Kerry Group PLC Class A

    422       42,765  

Paddy Power Betfair PLC

    76       7,800  

Ryanair Holdings PLC ADR (b)

    100       12,285  

XL Group, Ltd.

    128       7,073  
   

 

 

 
      106,917  
   

 

 

 

ISRAEL — 0.4%

   

Azrieli Group, Ltd.

    224       10,725  

Bank Hapoalim BM

    3,904       26,732  

Bank Leumi Le-Israel BM

    3,341       20,089  

Bezeq The Israeli Telecommunication Corp., Ltd.

    4,653       5,937  

Check Point Software Technologies, Ltd. (b)

    279       27,716  

Israel Chemicals, Ltd.

    4       17  

Mizrahi Tefahot Bank, Ltd.

    781       14,911  

Nice, Ltd.

    62       5,752  

Teva Pharmaceutical Industries, Ltd.

    607       10,297  
   

 

 

 
      122,176  
   

 

 

 

ITALY — 0.7%

   

Assicurazioni Generali SpA

    801       15,392  

Atlantia SpA

    152       4,702  

Enel SpA

    3,728       22,787  

Eni SpA

    519       9,120  

Ferrari NV

    104       12,476  

Intesa Sanpaolo SpA

    4,601       16,713  

Luxottica Group SpA

    301       18,694  

Mediobanca Banca di Credito Finanziario SpA

    909       10,674  

Snam SpA

    8,709       39,983  

Telecom Italia SpA/Milano (b)

    6,915       6,557  

Telecom Italia SpA/Milano

    5,376       4,472  

UniCredit SpA (b)

    1,833       38,296  
   

 

 

 
                199,866  
   

 

 

 

JAPAN — 10.2%

   

ABC-Mart, Inc.

    400       26,178  

Aeon Co., Ltd.

    400       7,069  

Ajinomoto Co., Inc.

    800       14,432  

ANA Holdings, Inc.

    800       30,714  

Aozora Bank, Ltd.

    400       15,910  

Astellas Pharma, Inc.

    4,400       66,858  

Benesse Holdings, Inc.

    400       14,368  

Bridgestone Corp.

    400       17,407  

Canon, Inc.

    2,100       76,023  

Chubu Electric Power Co., Inc.

    400       5,706  

Chugai Pharmaceutical Co., Ltd.

    400       20,047  

Chugoku Electric Power Co., Inc. (a)

    400       4,859  

Concordia Financial Group, Ltd.

    400       2,230  

Dai-ichi Life Holdings, Inc.

    1,200       21,946  
 

 

61


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Daiichi Sankyo Co., Ltd.

    800     $           26,591  

Daito Trust Construction Co., Ltd.

    300       50,804  

Daiwa House REIT Investment Corp.

    6       14,465  

Denso Corp.

    400       21,747  

East Japan Railway Co.

    100       9,283  

Eisai Co., Ltd.

    400       25,523  

FUJIFILM Holdings Corp.

    400       15,782  

Hino Motors, Ltd.

    400       5,138  

Hitachi Construction Machinery Co., Ltd. (a)

    400       15,270  

Hitachi, Ltd.

    4,000       28,701  

Honda Motor Co., Ltd.

    800       27,389  

Hoya Corp.

    400       19,968  

Idemitsu Kosan Co., Ltd.

    400       15,045  

Inpex Corp.

    800       9,753  

Isetan Mitsukoshi Holdings, Ltd.

    400       4,374  

Isuzu Motors, Ltd.

    400       6,052  

ITOCHU Corp. (a)

    1,200       23,148  

Japan Airlines Co., Ltd.

    800       32,263  

Japan Exchange Group, Inc.

    400       7,391  

Japan Post Bank Co., Ltd.

    400       5,390  

Japan Post Holdings Co., Ltd.

    400       4,833  

Japan Prime Realty Investment Corp. REIT

    4       14,480  

Japan Real Estate Investment Corp. REIT

    4       20,724  

Japan Retail Fund Investment Corp. REIT

    12       23,244  

Japan Tobacco, Inc.

    1,200       34,245  

JFE Holdings, Inc.

    800       15,928  

JTEKT Corp.

    400       5,785  

JXTG Holdings, Inc.

    2,500       14,988  

Kajima Corp.

    1,000       9,281  

Kakaku.com, Inc.

    800       13,924  

Kansai Electric Power Co., Inc.

    400       5,187  

Kao Corp.

    400       29,834  

Kawasaki Heavy Industries, Ltd.

    400       12,732  

KDDI Corp.

    2,800       71,231  

Keikyu Corp.

    1,000       17,442  

Keyence Corp.

    100       61,589  

Kirin Holdings Co., Ltd.

    1,100       29,101  

Kobe Steel, Ltd. (b)

    400       3,923  

Komatsu, Ltd.

    400       13,183  

Konami Holdings Corp.

    300       15,007  

Konica Minolta, Inc.

    400       3,359  

Kubota Corp.

    400       6,939  

Kyowa Hakko Kirin Co., Ltd.

    800       17,204  

Kyushu Electric Power Co., Inc.

    400       4,799  

Kyushu Financial Group, Inc.

    400       1,978  

Kyushu Railway Co.

    657       20,386  

Lawson, Inc.

    100       6,808  

M3, Inc. (a)

    400       18,129  

Marubeni Corp.

    4,000       28,837  

Mazda Motor Corp.

    400       5,301  

McDonald’s Holdings Co. Japan, Ltd.

    400       18,843  

MEIJI Holdings Co., Ltd.

    100       7,645  

Security Description

 

Shares

   

Value

 

Mitsubishi Chemical Holdings Corp.

    1,200     $           11,509  

Mitsubishi Corp.

    900       23,911  

Mitsubishi Heavy Industries, Ltd.

    400       15,267  

Mitsubishi Motors Corp. (a)

    1,200       8,485  

Mitsubishi Tanabe Pharma Corp.

    1,200       24,102  

Mitsubishi UFJ Financial Group, Inc.

    10,800       70,710  

Mitsubishi UFJ Lease & Finance Co., Ltd.

    400       2,358  

Mitsui & Co., Ltd.

    1,200       20,423  

Mitsui OSK Lines, Ltd.

    400       11,227  

Mizuho Financial Group, Inc. (a)

    20,000       36,013  

MS&AD Insurance Group Holdings, Inc.

    400       12,322  

Nagoya Railroad Co., Ltd.

    800       20,265  

NGK Spark Plug Co., Ltd.

    400       9,512  

NH Foods, Ltd.

    500       20,428  

Nikon Corp.

    400       7,142  

Nippon Building Fund, Inc. REIT

    4       22,116  

Nippon Prologis REIT, Inc.

    8       17,309  

Nippon Steel & Sumitomo Metal Corp.

    400       8,681  

Nippon Telegraph & Telephone Corp.

    1,900       87,577  

Nippon Yusen KK

    400       7,752  

Nissan Motor Co., Ltd. (a)

    1,600       16,466  

Nissin Foods Holdings Co., Ltd.

    400       27,607  

Nitori Holdings Co., Ltd.

    300       52,144  

Nomura Holdings, Inc.

    2,000       11,494  

Nomura Real Estate Master Fund, Inc.

    16       22,221  

Nomura Research Institute, Ltd.

    800       37,273  

NSK, Ltd.

    800       10,591  

NTT Data Corp.

    4,000       41,486  

NTT DOCOMO, Inc.

    3,668       92,761  

Oracle Corp. Japan

    400       32,684  

Oriental Land Co., Ltd.

    400       40,583  

ORIX Corp.

    400       7,065  

Osaka Gas Co., Ltd.

    800       15,774  

Otsuka Corp.

    800       40,320  

Otsuka Holdings Co., Ltd.

    800       39,816  

Panasonic Corp.

    1,200       16,965  

Park24 Co., Ltd. (a)

    400       10,840  

Rakuten, Inc.

    400       3,283  

Recruit Holdings Co., Ltd.

    1,198       29,558  

Resona Holdings, Inc.

    2,000       10,623  

Ricoh Co., Ltd.

    400       3,900  

Sankyo Co., Ltd.

    400       13,916  

Santen Pharmaceutical Co., Ltd.

    500       8,275  

SBI Holdings, Inc. (a)

    400       9,185  

Secom Co., Ltd.

    500       36,812  

Sekisui House, Ltd.

    400       7,267  

Seven & i Holdings Co., Ltd.

    400       17,046  

Shionogi & Co., Ltd. (a)

    400       20,630  

Showa Shell Sekiyu KK

    800       10,764  

SoftBank Group Corp.

    400       29,360  

Sompo Holdings, Inc.

    400       15,951  
 

 

62


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sony Corp.

    400     $ 19,220  

Subaru Corp.

    800       26,245  

Sumitomo Corp.

    800       13,232  

Sumitomo Electric Industries, Ltd.

    400       6,042  

Sumitomo Mitsui Financial Group, Inc.

    1,200       50,223  

Sumitomo Mitsui Trust Holdings, Inc.

    400       16,184  

Suntory Beverage & Food, Ltd.

    800       38,740  

Suzuken Co., Ltd.

    400       16,662  

T&D Holdings, Inc.

    800       12,589  

Taisho Pharmaceutical Holdings Co., Ltd. (a)

    400       39,304  

Takeda Pharmaceutical Co., Ltd.

    789       37,985  

Terumo Corp.

    400       20,611  

Tobu Railway Co., Ltd.

    800       24,222  

Toho Co., Ltd.

    400       13,183  

Tohoku Electric Power Co., Inc. (a)

    400       5,397  

Tokio Marine Holdings, Inc.

    400       17,952  

Tokyo Electric Power Co. Holdings, Inc. (b)

    1,200       4,660  

Toshiba Corp. (b)

    4,000       11,509  

Toyo Suisan Kaisha, Ltd.

    400       15,722  

Toyota Motor Corp.

    1,500       96,502  

Toyota Tsusho Corp.

    400       13,333  

Unicharm Corp.

    400       11,468  

United Urban Investment Corp. REIT

    12       18,753  

USS Co., Ltd.

    1,200       24,305  

Yahoo! Japan Corp. (a)

    1,600       7,432  

Yamada Denki Co., Ltd. (a)

    3,500       21,095  

Yamaha Motor Co., Ltd.

    400       11,754  

Yamato Holdings Co., Ltd.

    100       2,491  

Yokohama Rubber Co., Ltd.

    400       9,155  
   

 

 

 
            3,020,452  
   

 

 

 

LUXEMBOURG — 0.1%

   

ArcelorMittal (b)

    395       12,485  

RTL Group SA

    132       10,950  

SES SA

    68       918  

Tenaris SA

    184       3,157  
   

 

 

 
      27,510  
   

 

 

 

MEXICO — 0.0% (c)

   

Fresnillo PLC

    16       285  
   

 

 

 

NETHERLANDS — 1.0%

   

Aegon NV

    1,257       8,466  

Akzo Nobel NV

    60       5,663  

Altice NV Class A (a) (b)

    48       395  

ASML Holding NV

    382       75,239  

EXOR NV

    108       7,667  

Heineken Holding NV

    64       6,588  

Heineken NV

    64       6,871  

ING Groep NV

    1,723       29,031  

Koninklijke Ahold Delhaize NV

    472       11,170  

Koninklijke DSM NV

    56       5,554  

Koninklijke KPN NV

    1,340       4,016  

Koninklijke Philips NV

    232       8,892  

NN Group NV

    234       10,372  

Security Description

 

Shares

   

Value

 

Randstad Holding NV (a)

    72     $ 4,730  

Royal Dutch Shell PLC Class A

    1,823       57,117  

Royal Dutch Shell PLC Class B

    1,599       51,075  
   

 

 

 
                292,846  
   

 

 

 

NEW ZEALAND — 0.1%

   

Auckland International Airport, Ltd.

    4,278       18,887  

Ryman Healthcare, Ltd.

    2,037       15,562  
   

 

 

 
      34,449  
   

 

 

 

NORWAY — 0.1%

   

DNB ASA

    374       7,248  

Norsk Hydro ASA

    773       4,524  

Statoil ASA

    489       11,501  

Telenor ASA

    180       4,058  

Yara International ASA

    240       10,122  
   

 

 

 
      37,453  
   

 

 

 

PORTUGAL — 0.0% (c)

   

EDP - Energias de Portugal SA

    905       3,437  

Galp Energia SGPS SA

    240       4,517  

Jeronimo Martins SGPS SA

    287       5,226  
   

 

 

 
      13,180  
   

 

 

 

SINGAPORE — 0.7%

   

Broadcom, Ltd.

    36       8,483  

CapitaLand Commercial Trust

    10,900       15,212  

Keppel Corp., Ltd.

    1,500       8,888  

Oversea-Chinese Banking Corp., Ltd.

    4,026       39,361  

SATS, Ltd.

    4,108       16,071  

Singapore Airlines, Ltd.

    4,000       33,066  

Singapore Press Holdings, Ltd. (a)

    8,000       15,374  

Singapore Telecommunications, Ltd.

    27,042       69,497  

StarHub, Ltd. (a)

    4,000       7,016  
   

 

 

 
      212,968  
   

 

 

 

SOUTH AFRICA — 0.1%

   

Investec PLC

    220       1,696  

Mondi PLC

    450       12,089  
   

 

 

 
      13,785  
   

 

 

 

SPAIN — 0.9%

   

ACS Actividades de Construccion y Servicios SA

    107       4,165  

Amadeus IT Group SA

    727       53,628  

Banco Bilbao Vizcaya Argentaria SA

    4,174       33,003  

Banco de Sabadell SA

    1,667       3,405  

Banco Santander SA

    7,881       51,322  

CaixaBank SA

    4       19  

Endesa SA

    603       13,264  

Ferrovial SA

    203       4,235  

Gas Natural SDG SA

    4       95  

Iberdrola SA

    2,487       18,266  

Industria de Diseno Textil SA

    1,172       36,654  

Mapfre SA

    750       2,491  

Repsol SA

    1,212       21,487  

Telefonica SA

    1,848       18,246  
   

 

 

 
      260,280  
   

 

 

 
 

 

63


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SWEDEN — 0.8%

   

Alfa Laval AB

    303     $ 7,133  

Assa Abloy AB Class B

    969       20,867  

Atlas Copco AB Class A

    719       31,010  

Atlas Copco AB Class B

    422       16,351  

Autoliv, Inc.

    40       5,838  

Boliden AB

    295       10,303  

Electrolux AB Class B

    168       5,266  

Essity AB Class B (b)

    144       3,965  

Hennes & Mauritz AB Class B (a)

    1,188       17,757  

Investor AB Class B

    731       32,226  

Kinnevik AB Class B

    310       11,120  

Nordea Bank AB

    1,472       15,661  

Sandvik AB

    279       5,079  

Skandinaviska Enskilda Banken AB Class A

    459       4,792  

Skanska AB Class B

    418       8,518  

SKF AB Class B (a)

    430       8,754  

Svenska Handelsbanken AB Class A

    418       5,201  

Swedbank AB Class A

    267       5,962  

Telefonaktiebolaget LM Ericsson Class B (a)

    675       4,265  

Telia Co. AB

    691       3,235  

Volvo AB Class B

    430       7,817  
   

 

 

 
      231,120  
   

 

 

 

SWITZERLAND — 4.5%

   

ABB, Ltd.

    438       10,392  

Adecco Group AG

    204       14,486  

Baloise Holding AG

    36       5,493  

Barry Callebaut AG

    4       7,803  

Chocoladefabriken Lindt & Spruengli AG

    1       6,187  

Chocoladefabriken Lindt & Spruengli AG

    1       72,577  

Cie Financiere Richemont SA

    4       358  

Credit Suisse Group AG (b)

    1,413       23,594  

EMS-Chemie Holding AG

    52       32,744  

Ferguson PLC

    275       20,654  

Geberit AG

    40       17,644  

Givaudan SA

    16       36,358  

Glencore PLC (b)

    9,175       45,537  

Julius Baer Group, Ltd. (b)

    134       8,220  

Kuehne + Nagel International AG

    326       51,167  

LafargeHolcim, Ltd. (b)

    220       12,016  

Nestle SA

    1,762       139,142  

Novartis AG

    1,168       94,235  

Partners Group Holding AG

    94       69,695  

Roche Holding AG

    1,200       274,561  

Schindler Holding AG

    76       16,349  

Schindler Holding AG

    124       25,898  

SGS SA

    4       9,808  

Sika AG

    4       31,266  

Sonova Holding AG

    275       43,593  

STMicroelectronics NV

    208       4,601  

Straumann Holding AG

    56       35,205  

Swatch Group AG

    4       334  

Swiss Life Holding AG (b)

    16       5,686  

Swiss Prime Site AG (b)

    295       28,480  

Security Description

 

Shares

   

Value

 

Swiss Re AG

    156     $ 15,848  

Swisscom AG

    136       67,262  

TE Connectivity, Ltd.

    406       40,559  

UBS Group AG (b)

    1,603       28,115  

Vifor Pharma AG

    40       6,151  

Zurich Insurance Group AG (b)

    52       17,018  
   

 

 

 
      1,319,036  
   

 

 

 

UNITED KINGDOM — 6.1%

   

3i Group PLC

    422       5,085  

Admiral Group PLC

    255       6,596  

Anglo American PLC (a)

    1,371       31,945  

Ashtead Group PLC

    96       2,613  

Associated British Foods PLC

    84       2,935  

AstraZeneca PLC

    1,731       118,875  

Auto Trader Group PLC (d)

    68       334  

Aviva PLC

    1,344       9,350  

Babcock International Group PLC

    48       450  

BAE Systems PLC

    4,343       35,421  

Barclays PLC

    12,669       36,699  

Barratt Developments PLC

    208       1,548  

Berkeley Group Holdings PLC

    168       8,930  

BP PLC

    7,786       52,345  

British American Tobacco PLC ADR

    591       34,095  

British Land Co. PLC REIT

    334       3,008  

BT Group PLC

    12,797       40,840  

Bunzl PLC

    346       10,169  

Burberry Group PLC

    507       12,062  

Capita PLC

    1,049       2,120  

Carnival PLC

    104       6,682  

Centrica PLC

    266       531  

CNH Industrial NV

    374       4,613  

Cobham PLC (b)

    837       1,443  

Coca-Cola European Partners PLC

    259       10,790  

Compass Group PLC

    3,558       72,646  

ConvaTec Group PLC (d)

    5,896       16,467  

Croda International PLC

    152       9,740  

Diageo PLC

    2,619       88,615  

Direct Line Insurance Group PLC

    885       4,734  

easyJet PLC

    61       1,373  

Experian PLC

    1,029       22,194  

Fiat Chrysler Automobiles NV

    1,631       33,101  

G4S PLC

    555       1,932  

GKN PLC

    2,744       17,822  

GlaxoSmithKline PLC

    2,185       42,728  

Hargreaves Lansdown PLC

    291       6,666  

HSBC Holdings PLC

    8,824       82,365  

IMI PLC

    4       61  

Imperial Brands PLC

    1,029       35,019  

International Consolidated Airlines Group SA

    639       5,517  

Intertek Group PLC

    220       14,382  

ITV PLC

    4,263       8,620  

J Sainsbury PLC

    683       2,288  

Johnson Matthey PLC

    204       8,705  

Kingfisher PLC

    5,790       23,757  

Land Securities Group PLC REIT

    236       3,102  

Legal & General Group PLC

    7,196       26,024  
 

 

64


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Liberty Global PLC Class A (b)

    124     $ 3,882  

Liberty Global PLC Series C (b)

    180       5,477  

Lloyds Banking Group PLC

    10,387       9,422  

London Stock Exchange Group PLC

    200       11,576  

Marks & Spencer Group PLC

    1,897       7,190  

Merlin Entertainments PLC (d)

    1,599       7,775  

Micro Focus International PLC ADR

    197       2,766  

National Grid PLC

    2,410       27,120  

Next PLC

    306       20,428  

Old Mutual PLC

    1,424       4,780  

Pearson PLC

    212       2,228  

Pentair PLC

    56       3,815  

Persimmon PLC

    386       13,699  

Prudential PLC

    491       12,250  

Randgold Resources, Ltd.

    442       36,471  

Reckitt Benckiser Group PLC

    930       78,720  

RELX NV

    1,360       28,150  

RELX PLC

    1,528       31,402  

Rio Tinto PLC

    1,517       76,844  

Rio Tinto, Ltd.

    318       17,733  

Rolls-Royce Holdings PLC (b)

    911       11,139  

Royal Bank of Scotland Group PLC (b)

    3,046       11,058  

Royal Mail PLC

    3,090       23,442  

RSA Insurance Group PLC

    559       4,940  

Sage Group PLC

    1,192       10,688  

Schroders PLC

    120       5,373  

Shire PLC

    116       5,810  

Sky PLC

    1,332       24,244  

Smith & Nephew PLC

    877       16,375  

Smiths Group PLC

    442       9,384  

SSE PLC

    68       1,217  

St James’s Place PLC

    515       7,849  

Standard Chartered PLC

    2,728       27,274  

Standard Life Aberdeen PLC

    1,383       6,978  

Taylor Wimpey PLC

    3,449       8,931  

TechnipFMC PLC

    8       233  

Tesco PLC

    6,794       19,624  

Travis Perkins PLC

    156       2,700  

Unilever NV

    1,889       106,565  

Unilever PLC

    1,456       80,790  

Vodafone Group PLC

    14,031       38,228  

Weir Group PLC

    4       112  

Whitbread PLC

    164       8,512  

Wm Morrison Supermarkets PLC

    1,368       4,097  

WPP PLC

    303       4,814  
   

 

 

 
            1,809,442  
   

 

 

 

UNITED STATES — 60.4%

   

3M Co.

    861       189,007  

Abbott Laboratories

    994       59,560  

AbbVie, Inc.

    208       19,687  

Accenture PLC Class A

    1,228       188,498  

Activision Blizzard, Inc.

    196       13,222  

Adobe Systems, Inc. (b)

    68       14,693  

Advance Auto Parts, Inc.

    76       9,010  

AES Corp.

    295       3,354  

Aetna, Inc.

    306       51,714  

Security Description

 

Shares

   

Value

 

Aflac, Inc.

    748     $ 32,732  

AGCO Corp.

    76       4,929  

Agilent Technologies, Inc.

    72       4,817  

AGNC Investment Corp. REIT

    1,779       33,659  

Air Products & Chemicals, Inc.

    102       16,221  

Albemarle Corp. (a)

    84       7,790  

Align Technology, Inc. (b)

    100       25,113  

Alleghany Corp.

    76       46,697  

Allergan PLC

    32       5,385  

Allstate Corp.

    750       71,100  

Ally Financial, Inc.

    386       10,480  

Alphabet, Inc. Class A (b)

    283       293,511  

Alphabet, Inc. Class C (b)

    299       308,505  

Altria Group, Inc.

    3,770       234,946  

Amazon.com, Inc. (b)

    20       28,947  

Ameren Corp.

    108       6,116  

American Electric Power Co., Inc.

    144       9,877  

American Express Co.

    160       14,925  

American International Group, Inc.

    379       20,625  

American Tower Corp. REIT

    75       10,901  

American Water Works Co., Inc.

    196       16,097  

Ameriprise Financial, Inc.

    40       5,918  

AmerisourceBergen Corp.

    68       5,862  

Amgen, Inc.

    873       148,829  

Amphenol Corp. Class A

    687       59,171  

Anadarko Petroleum Corp.

    76       4,591  

Analog Devices, Inc.

    141       12,849  

Andeavor

    84       8,447  

Annaly Capital Management, Inc. REIT

    5,380       56,113  

ANSYS, Inc. (b)

    298       46,694  

Anthem, Inc.

    120       26,364  

Aon PLC

    241       33,820  

Apache Corp. (a)

    160       6,157  

Apple, Inc.

    3,872                 649,644  

Applied Materials, Inc.

    1,203       66,899  

Aptiv PLC

    426       36,197  

Arch Capital Group, Ltd. (b)

    793       67,873  

Archer-Daniels-Midland Co.

    283       12,274  

Arconic, Inc.

    112       2,580  

Arrow Electronics, Inc. (b)

    76       5,854  

Assurant, Inc.

    64       5,850  

AT&T, Inc.

    4,025       143,491  

Athene Holding, Ltd. Class A (b)

    394       18,837  

Automatic Data Processing, Inc.

    1,019       115,636  

AutoZone, Inc. (b)

    44       28,542  

AvalonBay Communities, Inc. REIT

    303       49,831  

Avnet, Inc.

    96       4,009  

Axis Capital Holdings, Ltd.

    483       27,806  

Baker Hughes a GE Co.

    108       2,999  

Ball Corp.

    32       1,271  

Bank of America Corp.

    3,854       115,581  

Bank of New York Mellon Corp.

    382       19,684  

Baxter International, Inc.

    797       51,837  

BB&T Corp.

    232       12,073  

Becton Dickinson and Co.

    565       122,436  

Berkshire Hathaway, Inc. Class B (b)

    841       167,763  
 

 

65


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Best Buy Co., Inc.

    378     $ 26,456  

Biogen, Inc. (b)

    322       88,170  

BlackRock, Inc.

    24       13,001  

Boeing Co.

    81       26,558  

Booking Holdings, Inc. (b)

    52       108,180  

BorgWarner, Inc.

    68       3,416  

Boston Scientific Corp. (b)

    306       8,360  

Brighthouse Financial, Inc. (b)

    32       1,645  

Bristol-Myers Squibb Co.

    2,134       134,976  

Brixmor Property Group, Inc. REIT

    295       4,499  

Broadridge Financial Solutions, Inc.

    664       72,834  

Brown-Forman Corp. Class B

    328       17,843  

Bunge, Ltd.

    92       6,802  

C.H. Robinson Worldwide, Inc.

    575       53,883  

CA, Inc.

    342       11,594  

Camden Property Trust REIT

    72       6,061  

Campbell Soup Co. (a)

    603       26,116  

Capital One Financial Corp.

    236       22,614  

Cardinal Health, Inc.

    346       21,687  

CarMax, Inc. (a) (b)

    96       5,946  

Carnival Corp.

    100       6,558  

Caterpillar, Inc.

    172       25,349  

Cboe Global Markets, Inc.

    133       15,175  

CBS Corp. Class B

    432       22,200  

CDK Global, Inc.

    216       13,681  

Celanese Corp. Series A

    68       6,814  

CenterPoint Energy, Inc.

    188       5,151  

CenturyLink, Inc.

    208       3,417  

Cerner Corp. (b)

    398       23,084  

CF Industries Holdings, Inc.

    299       11,281  

Charles Schwab Corp.

    156       8,146  

Charter Communications, Inc. Class A (b)

    164       51,040  

Chevron Corp.

    603       68,766  

Chipotle Mexican Grill, Inc. (a) (b)

    52       16,802  

Chubb, Ltd.

    495       67,701  

Church & Dwight Co., Inc.

    1,563       78,713  

Cigna Corp.

    68       11,406  

Cimarex Energy Co.

    32       2,992  

Cincinnati Financial Corp.

    398       29,555  

Cintas Corp.

    132       22,517  

Cisco Systems, Inc.

    1,889       81,019  

CIT Group, Inc.

    100       5,150  

Citigroup, Inc.

    1,364       92,070  

Citizens Financial Group, Inc.

    271       11,377  

Citrix Systems, Inc. (b)

    148       13,734  

Clorox Co.

    611       81,330  

CME Group, Inc.

    96       15,527  

Coca-Cola Co.

    2,549       110,703  

Cognizant Technology Solutions Corp. Class A

    88       7,084  

Colgate-Palmolive Co.

    411       29,460  

Comcast Corp. Class A

    2,093       71,518  

Comerica, Inc.

    92       8,826  

Conagra Brands, Inc.

    128       4,721  

ConocoPhillips

    362       21,463  

Consolidated Edison, Inc.

    1,504                 117,222  

Constellation Brands, Inc. Class A

    100       22,792  

Security Description

 

Shares

   

Value

 

Corning, Inc.

    370     $ 10,316  

Costco Wholesale Corp.

    633                 119,276  

Crown Castle International Corp. REIT

    475       52,065  

CSX Corp.

    208       11,588  

Cummins, Inc.

    172       27,879  

CVS Health Corp.

    585       36,393  

Danaher Corp.

    303       29,667  

Darden Restaurants, Inc.

    88       7,502  

DaVita, Inc. (b)

    60       3,956  

Deere & Co.

    108       16,775  

Dell Technologies, Inc. Class V (b)

    487       35,653  

Delta Air Lines, Inc.

    108       5,919  

Devon Energy Corp.

    100       3,179  

Discover Financial Services

    132       9,495  

Discovery Communications, Inc. Class C (b)

    88       1,718  

DISH Network Corp. Class A (b)

    72       2,728  

Dollar General Corp.

    338       31,620  

Dollar Tree, Inc. (b)

    216       20,498  

Dominion Energy, Inc.

    989       66,688  

Dover Corp.

    48       4,715  

DowDuPont, Inc.

    346       22,044  

Dr. Pepper Snapple Group, Inc.

    591       69,963  

DTE Energy Co.

    64       6,682  

Duke Energy Corp.

    985       76,308  

DXC Technology Co.

    92       9,249  

Eastman Chemical Co.

    160       16,893  

Eaton Corp. PLC

    96       7,671  

Eaton Vance Corp.

    128       7,126  

eBay, Inc. (b)

    575       23,138  

Edison International

    96       6,111  

Edwards Lifesciences Corp. (b)

    216       30,136  

Eli Lilly & Co.

    821       63,521  

Emerson Electric Co.

    106       7,240  

Entergy Corp.

    72       5,672  

EOG Resources, Inc.

    84       8,843  

EQT Corp.

    52       2,471  

Equity Residential REIT

    467       28,777  

Estee Lauder Cos., Inc. Class A

    240       35,933  

Everest Re Group, Ltd.

    232       59,582  

Eversource Energy

    291       17,146  

Exelon Corp.

    303       11,820  

Expeditors International of Washington, Inc.

    985       62,351  

Express Scripts Holding Co. (b)

    263       18,168  

Exxon Mobil Corp.

    2,369       176,751  

F5 Networks, Inc. (b)

    172       24,873  

Facebook, Inc. Class A (b)

    242       38,669  

Fastenal Co. (a)

    295       16,104  

Federal Realty Investment Trust REIT

    24       2,787  

FedEx Corp.

    68       16,327  

Fidelity National Information Services, Inc.

    434       41,794  

Fifth Third Bancorp

    342       10,859  

FirstEnergy Corp.

    180       6,122  

Fiserv, Inc. (b)

    1,198       85,429  
 

 

66


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

FleetCor Technologies, Inc. (b)

    60     $ 12,150  

Flex, Ltd. (b)

    414       6,761  

Flowserve Corp.

    140       6,066  

Fluor Corp.

    172       9,842  

FNF Group

    574       22,971  

Ford Motor Co.

    2,117       23,456  

Fortive Corp.

    434       33,644  

Franklin Resources, Inc.

    406       14,080  

Freeport-McMoRan, Inc. (b)

    719       12,633  

Gap, Inc.

    314       9,797  

Gartner, Inc. (b)

    200       23,524  

General Dynamics Corp.

    416       91,894  

General Electric Co.

    2,057       27,728  

General Mills, Inc.

    1,723       77,638  

General Motors Co.

    1,001       36,376  

Genuine Parts Co.

    267       23,987  

Gilead Sciences, Inc.

    1,767                 133,214  

Goldman Sachs Group, Inc.

    168       42,312  

Halliburton Co.

    144       6,759  

Harris Corp.

    241       38,868  

Hartford Financial Services Group, Inc.

    160       8,243  

Hasbro, Inc.

    100       8,430  

HCA Healthcare, Inc.

    84       8,148  

HCP, Inc. REIT

    104       2,416  

Henry Schein, Inc. (a) (b)

    592       39,788  

Hershey Co.

    208       20,584  

Hess Corp.

    120       6,074  

Hewlett Packard Enterprise Co.

    1,076       18,873  

HollyFrontier Corp.

    88       4,300  

Home Depot, Inc.

    366       65,236  

Honeywell International, Inc.

    809       116,909  

Hormel Foods Corp. (a)

    483       16,577  

Host Hotels & Resorts, Inc. REIT

    196       3,653  

HP, Inc.

    1,909       41,845  

Humana, Inc.

    52       13,979  

Huntington Ingalls Industries, Inc.

    100       25,776  

Illinois Tool Works, Inc.

    467       73,160  

Ingersoll-Rand PLC

    72       6,157  

Intel Corp.

    5,746       299,252  

Intercontinental Exchange, Inc.

    120       8,702  

International Business Machines Corp.

    1,367       209,739  

International Flavors & Fragrances, Inc.

    76       10,405  

International Paper Co.

    128       6,839  

Interpublic Group of Cos., Inc.

    398       9,166  

Intuit, Inc.

    420       72,807  

Intuitive Surgical, Inc. (b)

    311       128,390  

Invesco, Ltd.

    116       3,713  

J.M. Smucker Co.

    196       24,306  

Jack Henry & Associates, Inc.

    498       60,233  

Jacobs Engineering Group, Inc.

    76       4,495  

JB Hunt Transport Services, Inc.

    271       31,748  

Johnson & Johnson

    4,251       544,766  

Johnson Controls International PLC

    358       12,616  

JPMorgan Chase & Co.

    1,345       147,910  

Juniper Networks, Inc.

    164       3,990  

Security Description

 

Shares

   

Value

 

Kellogg Co. (a)

    945     $ 61,434  

KeyCorp

    330       6,452  

Kimberly-Clark Corp.

    864       95,152  

Kinder Morgan, Inc.

    503       7,575  

KLA-Tencor Corp.

    68       7,413  

Kohl’s Corp.

    88       5,765  

Kraft Heinz Co.

    362       22,549  

Kroger Co.

    446       10,677  

L Brands, Inc.

    144       5,502  

L3 Technologies, Inc.

    169       35,152  

Laboratory Corp. of America Holdings (b)

    263       42,540  

Las Vegas Sands Corp.

    487       35,015  

Lear Corp.

    100       18,609  

Leucadia National Corp.

    160       3,637  

Liberty Broadband Corp. Class C (b)

    200       17,138  

Liberty Interactive Corp. QVC Group Class A (b)

    160       4,027  

Liberty Media Corp.-Liberty SiriusXM Class A (b)

    132       5,425  

Liberty Media Corp.-Liberty SiriusXM Class C (b)

    263       10,744  

Lincoln National Corp.

    88       6,429  

Lockheed Martin Corp.

    366                 123,682  

Loews Corp.

    108       5,371  

Lowe’s Cos., Inc.

    1,180       103,545  

Lululemon Athletica, Inc. (b)

    116       10,338  

LyondellBasell Industries NV Class A

    579       61,189  

M&T Bank Corp.

    68       12,536  

ManpowerGroup, Inc.

    52       5,985  

Marathon Oil Corp.

    639       10,307  

Marathon Petroleum Corp.

    467       34,142  

Markel Corp. (b)

    73       85,428  

Marriott International, Inc. Class A

    40       5,439  

Marsh & McLennan Cos., Inc.

    1,017       83,994  

Mastercard, Inc. Class A

    1,333       233,488  

Maxim Integrated Products, Inc.

    299       18,006  

McCormick & Co., Inc.

    679       72,239  

McDonald’s Corp.

    853       133,392  

McKesson Corp.

    314       44,233  

Medtronic PLC

    669       53,667  

Merck & Co., Inc.

    1,371       74,678  

MetLife, Inc.

    358       16,429  

Mettler-Toledo International, Inc. (b)

    36       20,701  

MGM Resorts International

    164       5,743  

Michael Kors Holdings, Ltd. (b)

    271       16,824  

Micron Technology, Inc. (b)

    355       18,510  

Microsoft Corp.

    6,845       624,743  

Molson Coors Brewing Co. Class B

    64       4,821  

Mondelez International, Inc. Class A

    434       18,111  

Monsanto Co.

    790       92,185  

Monster Beverage Corp. (b)

    438       25,058  

Morgan Stanley

    419       22,609  

Mosaic Co.

    96       2,331  

Motorola Solutions, Inc.

    415       43,700  
 

 

67


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Mylan NV (b)

    88     $ 3,623  

National Oilwell Varco, Inc.

    499       18,368  

NetApp, Inc.

    116       7,156  

New York Community Bancorp, Inc.

    291       3,792  

Newell Brands, Inc.

    267       6,803  

Newmont Mining Corp.

    1,265       49,424  

News Corp. Class A

    251       3,966  

NextEra Energy, Inc.

    338       55,206  

NIKE, Inc. Class B

    1,767                 117,400  

Noble Energy, Inc.

    60       1,818  

Nordstrom, Inc.

    156       7,552  

Norfolk Southern Corp.

    60       8,147  

Northern Trust Corp.

    72       7,425  

Northrop Grumman Corp.

    672       234,609  

Nucor Corp.

    84       5,132  

NVIDIA Corp.

    764       176,935  

Occidental Petroleum Corp.

    603       39,171  

Omnicom Group, Inc.

    259       18,822  

ONEOK, Inc.

    64       3,643  

Oracle Corp.

    817       37,378  

O’Reilly Automotive, Inc. (b)

    251       62,092  

PACCAR, Inc.

    72       4,764  

Parker-Hannifin Corp.

    36       6,157  

Paychex, Inc.

    1,579       97,251  

PayPal Holdings, Inc. (b)

    120       9,104  

People’s United Financial, Inc.

    121       2,258  

PepsiCo, Inc.

    1,106       120,720  

Pfizer, Inc.

    2,974       105,547  

PG&E Corp.

    467       20,515  

Philip Morris International, Inc.

    251       24,949  

Phillips 66

    318       30,503  

Pioneer Natural Resources Co.

    20       3,436  

Plains GP Holdings L.P. Class A (b)

    148       3,219  

PNC Financial Services Group, Inc.

    216       32,668  

Polaris Industries, Inc. (a)

    76       8,704  

PPG Industries, Inc.

    48       5,357  

PPL Corp.

    176       4,979  

Principal Financial Group, Inc.

    88       5,360  

Procter & Gamble Co.

    3,916       310,461  

Progressive Corp.

    599       36,497  

Prologis, Inc. REIT

    108       6,803  

Prudential Financial, Inc.

    140       14,497  

Public Service Enterprise Group, Inc.

    144       7,235  

Public Storage REIT

    410       82,160  

PulteGroup, Inc.

    216       6,370  

QUALCOMM, Inc.

    366       20,280  

Quest Diagnostics, Inc.

    72       7,222  

Ralph Lauren Corp.

    60       6,708  

Raytheon Co.

    772       166,613  

Realty Income Corp. REIT

    398       20,589  

Red Hat, Inc. (b)

    200       29,902  

Regeneron Pharmaceuticals, Inc. (b)

    100       34,436  

Regions Financial Corp.

    539       10,015  

Republic Services, Inc.

    1,340       88,748  

ResMed, Inc.

    136       13,392  

Robert Half International, Inc.

    152       8,799  

Rockwell Automation, Inc.

    148       25,782  

Security Description

 

Shares

   

Value

 

Rockwell Collins, Inc.

    152     $ 20,497  

Ross Stores, Inc.

    777       60,590  

Royal Caribbean Cruises, Ltd.

    76       8,948  

SBA Communications Corp. REIT (b)

    64       10,939  

SCANA Corp.

    120       4,506  

Schlumberger, Ltd.

    442       28,633  

Seagate Technology PLC

    96       5,618  

SEI Investments Co.

    156       11,686  

Sempra Energy

    88       9,787  

Sherwin-Williams Co.

    84       32,938  

Simon Property Group, Inc. REIT

    28       4,322  

Skyworks Solutions, Inc.

    164       16,443  

Southern Co.

    1,891       84,452  

Southwest Airlines Co.

    24       1,375  

Stanley Black & Decker, Inc.

    48       7,354  

Starbucks Corp.

    2,572       148,893  

State Street Corp. (e)

    144       14,361  

Stericycle, Inc. (b)

    20       1,171  

Stryker Corp.

    383       61,632  

SunTrust Banks, Inc.

    212       14,424  

Symantec Corp.

    184       4,756  

Synchrony Financial

    128       4,292  

Synopsys, Inc. (b)

    471       39,206  

Sysco Corp.

    549       32,918  

T Rowe Price Group, Inc.

    267       28,828  

Tapestry, Inc.

    382       20,097  

Target Corp.

    257       17,844  

TD Ameritrade Holding Corp.

    244       14,452  

Texas Instruments, Inc.

    1,477       153,446  

Textron, Inc.

    112       6,605  

Thermo Fisher Scientific, Inc.

    52       10,736  

Tiffany & Co.

    116       11,329  

Time Warner, Inc.

    442       41,804  

TJX Cos., Inc.

    1,779                 145,095  

Tractor Supply Co.

    156       9,831  

Travelers Cos., Inc.

    495       68,736  

TripAdvisor, Inc. (a)(b)

    112       4,580  

Twenty-First Century Fox, Inc. Class A

    259       9,503  

Twenty-First Century Fox, Inc. Class B

    515       18,731  

Tyson Foods, Inc. Class A

    112       8,197  

UDR, Inc. REIT

    793       28,247  

Ulta Salon Cosmetics & Fragrance, Inc. (b)

    60       12,256  

Under Armour, Inc. Class A (a) (b)

    136       2,224  

Under Armour, Inc. Class C (a) (b)

    136       1,952  

Union Pacific Corp.

    909       122,197  

United Parcel Service, Inc. Class B

    543       56,830  

United Technologies Corp.

    156       19,628  

UnitedHealth Group, Inc.

    563       120,482  

Universal Health Services, Inc. Class B

    48       5,684  

Unum Group

    120       5,713  

US Bancorp

    750       37,875  

Valero Energy Corp.

    322       29,872  

Varian Medical Systems, Inc. (b)

    375       45,994  
 

 

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Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Ventas, Inc. REIT

    41     $ 2,031  

VeriSign, Inc. (a) (b)

    100       11,856  

Verisk Analytics, Inc. (b)

    200       20,800  

Verizon Communications, Inc.

    3,255       155,654  

VF Corp.

    395       29,277  

Visa, Inc. Class A

    2,620       313,404  

VMware, Inc. Class A (a) (b)

    398       48,265  

Voya Financial, Inc.

    112       5,656  

W.W. Grainger, Inc.

    64       18,065  

Wabtec Corp. (a)

    88       7,163  

Walmart, Inc.

    2,600       231,322  

Walgreens Boots Alliance, Inc.

    176       11,523  

Walt Disney Co.

    1,917       192,544  

Waste Management, Inc.

    1,308       110,029  

Waters Corp. (b)

    84       16,687  

WEC Energy Group, Inc.

    769       48,216  

Wells Fargo & Co.

    1,911       100,156  

Welltower, Inc. REIT

    205       11,158  

Western Digital Corp.

    60       5,536  

Western Union Co.

    667       12,826  

WestRock Co.

    88       5,647  

Weyerhaeuser Co. REIT

    136       4,760  

Whirlpool Corp.

    28       4,287  

Williams Cos., Inc.

    88       2,188  

Willis Towers Watson PLC

    48       7,305  

Worldpay, Inc. Class A (b)

    200       16,448  

WR Berkley Corp.

    551       40,058  

Xcel Energy, Inc.

    1,344       61,125  

Xerox Corp.

    121       3,482  

Xilinx, Inc.

    228       16,471  

Yum! Brands, Inc.

    112       9,535  

Zimmer Biomet Holdings, Inc.

    40       4,362  

Zoetis, Inc.

    32       2,672  
   

 

 

 
      17,922,138  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $27,347,281)

            29,544,439  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.3%

 

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (f) (g)

    14,591       14,591  

Security Description

 

Shares

   

Value

 

State Street Navigator Securities Lending Government Money Market Portfolio (f) (h)

    376,622     $ 376,622  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $391,213)

      391,213  
   

 

 

 

TOTAL INVESTMENTS — 100.9%
(Cost $27,738,494)

      29,935,652  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (0.9)%

      (259,700
   

 

 

 

NET ASSETS — 100.0%

    $   29,675,952  
   

 

 

 

 

(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Amount is less than 0.05% of net assets.
(d) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.3% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(e) The Fund invested in an affiliated entity, State Street Corp. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(f) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(g) The rate shown is the annualized seven-day yield at March 31, 2018.
(h) Investment of cash collateral for securities loaned.

 

ADR   =American Depositary Receipt
REIT   =Real Estate Investment Trust
 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant
Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Argentina

    $ 17,820     $     $     $ 17,820

Australia

      395,510                   395,510

Austria

      18,573                   18,573

Belgium

      87,712                   87,712

Bermuda

      33,242                   33,242

 

69


Table of Contents

SPDR MSCI WORLD STRATEGICFACTORSSM ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant

Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

Canada

    $ 899,625     $     $     $ 899,625

Chile

      1,912                   1,912

Denmark

      364,823                   364,823

Finland

      91,519                   91,519

France

      694,052                   694,052

Germany

      744,961                   744,961

Hong Kong

      570,787                   570,787

Ireland

      106,917                   106,917

Israel

      122,176                   122,176

Italy

      199,866                   199,866

Japan

      3,020,452                   3,020,452

Luxembourg

      27,510                   27,510

Mexico

      285                   285

Netherlands

      292,846                   292,846

New Zealand

      34,449                   34,449

Norway

      37,453                   37,453

Portugal

      13,180                   13,180

Singapore

      212,968                   212,968

South Africa

      13,785                   13,785

Spain

      260,280                   260,280

Sweden

      231,120                   231,120

Switzerland

      1,319,036                   1,319,036

United Kingdom

      1,809,442                   1,809,442

United States

      17,922,138                   17,922,138

Short-Term Investments

      391,213                   391,213
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 29,935,652     $     $     $ 29,935,652
   

 

 

     

 

 

     

 

 

     

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Corp.

      108     $ 10,318     $ 3,650     $     $     $ 393       367,874,930     $ 14,361     $ 106     $

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      4,411,701       4,411,701       565,543       4,962,653                   14,591       14,591       252      

State Street Navigator Securities Lending Government Money Market Portfolio

      24,983       24,983       1,427,994       1,076,355                   376,622       376,622       792      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

          $4,447,002       $1,997,187     $ 6,039,008     $     $ 393         $ 405,574     $ 1,150     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

70


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.3%

   

BRAZIL — 8.5%

   

Ambev SA ADR

    1,647,853     $     11,979,891  

Anima Holding SA

    8,470       64,501  

B2W Cia Digital (a)

    25,448       196,319  

B3 SA - Brasil Bolsa Balcao

    647,263       5,197,812  

Banco Bradesco SA Preference Shares ADR

    1,405,188       16,693,633  

Banco Bradesco SA

    25,200       291,685  

Banco do Brasil SA

    304,999       3,765,227  

Banco Pan SA Preference Shares (a)

    115,297       66,259  

Banco Pan SA (a)

    13,746       7,900  

Banco Santander Brasil SA

    5,972       71,712  

BB Seguridade Participacoes SA

    202,325       1,781,819  

BR Malls Participacoes SA

    376,423       1,319,451  

Bradespar SA Preference Shares

    168,499       1,596,472  

Brasil Brokers Participacoes SA (a)

    35,315       5,313  

Braskem SA Preference Shares ADR

    65,191       1,889,887  

BRF SA ADR (a) (b)

    185,473       1,283,473  

CCR SA

    181,755       683,577  

Centrais Eletricas Brasileiras SA ADR (a) (b)

    208,798       1,325,867  

Cia Brasileira de Distribuicao ADR (b)

    82,430       1,665,086  

Cia de Saneamento Basico do Estado de Sao Paulo

    265,309       2,793,903  

Cia Energetica de Minas Gerais ADR (b)

    465,756       1,201,650  

Cia Energetica de Sao Paulo Class B, Preference Shares

    16,303       77,503  

Cia Hering

    13,774       85,538  

Cia Siderurgica Nacional SA ADR (a) (b)

    533,872       1,404,083  

Cielo SA

    376,026       2,340,829  

Construtora Tenda SA (a)

    730       5,788  

Cosan Logistica SA (a)

    14,759       44,629  

Cosan SA Industria e Comercio

    66,587       831,636  

Cyrela Brazil Realty SA Empreendimentos e Participacoes

    187,665       863,340  

Duratex SA

    143,386       511,230  

Eletropaulo Metropolitana Eletricidade de Sao Paulo SA

    9,260       49,760  

Embraer SA

    286,647       1,858,600  

Engie Brasil Energia SA

    23,842       280,916  

Estacio Participacoes SA

    80,677       848,861  

Eternit SA (a)

    37,424       9,571  

Fibria Celulose SA ADR

    102,699       2,002,631  

Gafisa SA (a)

    2,958       9,078  

Gerdau SA ADR (b)

    397,579       1,852,718  

Hypera SA

    16,503       179,549  

Itau Unibanco Holding SA Preference Shares ADR

    1,268,749       19,792,484  

Itausa - Investimentos Itau SA Preference Shares

    1,707,925       7,086,378  

Itausa - Investimentos Itau SA

    157,928       665,240  

Security Description

 

Shares

   

Value

 

Itausa - Investimentos Itau SA (a)

    3,518     $ 14,819  

Itausa - Investimentos Itau SA (a)

    38,048       157,866  

JBS SA

    132,414       372,509  

Kepler Weber SA (a)

    5,535       20,184  

Klabin SA

    54,529       339,617  

Kroton Educacional SA

    399,965       1,636,636  

Log-in Logistica Intermodal SA (a)

    4,554       4,714  

Lojas Americanas SA Preference Shares

    329,949       1,870,333  

Lojas Renner SA

    545,696       5,639,866  

Magnesita Refratarios SA

    17,519       306,778  

Marcopolo SA Preference Shares

    128,598       150,900  

Metalurgica Gerdau SA Preference Shares

    529,543       1,137,603  

Mills Estruturas e Servicos de Engenharia SA (a)

    20,498       19,982  

MMX Mineracao e Metalicos SA (a)

    6,509       5,621  

MRV Engenharia e Participacoes SA

    31,303       153,049  

Natura Cosmeticos SA

    102,615       987,989  

Oi SA ADR (a)

    893       5,296  

PDG Realty SA Empreendimentos e Participacoes (a)

    5,472       2,634  

Petroleo Brasileiro SA Preference Shares ADR (a)

    798,594       10,373,736  

Petroleo Brasileiro SA ADR (a)

    355,706       5,029,683  

Profarma Distribuidora de Produtos Farmaceuticos SA (a)

    9,317       16,848  

Prumo Logistica SA (a)

    336       1,152  

Qualicorp SA

    28,806       193,103  

Raia Drogasil SA

    22,171       498,974  

Restoque Comercio e Confeccoes de Roupas SA (a)

    4,662       43,904  

Rodobens Negocios Imobiliarios SA (a)

    24,618       45,850  

Rossi Residencial SA (a)

    38,339       75,441  

Rumo SA (a)

    20,962       82,937  

Suzano Papel e Celulose SA

    27,424       275,263  

T4F Entretenimento SA

    50,065       159,673  

Telefonica Brasil SA ADR

    73,780       1,133,261  

Telefonica Brasil SA Preference Shares

    240,613       3,648,723  

Tim Participacoes SA ADR

    82,670       1,791,459  

TOTVS SA

    19,522       169,223  

Ultrapar Participacoes SA

    97,984       2,090,813  

Usinas Siderurgicas de Minas Gerais SA ADR (a) (b)

    286,276       930,397  

Vale SA ADR (b)

    693,490       8,821,193  

WEG SA

    433,061       2,946,055  
   

 

 

 
      145,835,883  
   

 

 

 
 

 

71


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

CHILE — 1.8%

   

AntarChile SA

    117,260     $     2,148,726  

Empresas COPEC SA

    274,679       4,314,385  

Empresas Iansa SA

    1,897,298       56,583  

Enel Americas SA ADR

    256,803       2,984,051  

Enel Chile SA ADR

    235,950       1,510,080  

Enel Generacion Chile SA ADR

    61,396       1,460,611  

Enjoy SA (a)

    1,133,963       113,253  

Latam Airlines Group SA ADR (b)

    182,596       2,810,152  

Multiexport Foods SA

    1,191,589       552,790  

Parque Arauco SA

    1,850,520       5,578,249  

SACI Falabella

    683,937       6,598,743  

Sociedad Quimica y Minera de Chile SA Class B, Preference Shares

    8,101       394,564  

Vina Concha y Toro SA ADR (b)

    40,346       1,714,705  
   

 

 

 
      30,236,892  
   

 

 

 

CHINA — 31.5%

   

21Vianet Group, Inc. ADR (a)

    4,792       33,209  

3SBio, Inc. (a) (b) (c)

    218,000       491,092  

500.com, Ltd. Class A, ADR (a) (b)

    2,656       45,577  

58.com, Inc. ADR (a)

    6,244       498,646  

AAC Technologies Holdings, Inc.

    406,492       7,333,979  

Agile Group Holdings, Ltd.

    1,642,999       3,395,569  

Agricultural Bank of China, Ltd. Class H

    7,966,000       4,526,886  

Air China, Ltd. Class H

    903,744       1,151,516  

Alibaba Group Holding, Ltd. ADR (a) (b)

    349,873       64,215,690  

Aluminum Corp. of China, Ltd. Class H (a) (b)

    2,508,000       1,390,085  

Angang Steel Co., Ltd. Class H (b)

    734,640       702,037  

Anhui Conch Cement Co., Ltd. Class H

    847,135       4,614,378  

Anhui Expressway Co., Ltd. Class H

    8,000       6,116  

ANTA Sports Products, Ltd.

    365,000       1,841,673  

Anton Oilfield Services Group (a) (b)

    130,000       16,067  

Autohome, Inc. ADR

    10,109       868,767  

AVIC International Holding HK, Ltd. (a) (b)

    1,414,527       59,477  

AVIC International Holdings, Ltd. Class H (b)

    730,000       497,624  

AviChina Industry & Technology Co., Ltd. Class H (b)

    816,000       574,963  

BAIC Motor Corp., Ltd. Class H (c)

    6,500       7,967  

Baidu, Inc. ADR (a)

    91,225       20,360,508  

BAIOO Family Interactive, Ltd. (c)

    894,000       53,538  

Bank of China, Ltd. Class H

    23,004,900       12,369,644  

Security Description

 

Shares

   

Value

 

Bank of Communications Co., Ltd. Class H

    6,573,864     $     5,151,340  

BBMG Corp. Class H (b)

    366,000       165,085  

Beijing Capital International Airport Co., Ltd. Class H

    1,620,000       2,175,605  

Beijing Capital Land, Ltd. Class H

    28,000       17,053  

Beijing Enterprises Clean Energy Group, Ltd. (a)

    7,554,856       245,466  

Beijing Enterprises Holdings, Ltd.

    213,500       1,115,337  

Beijing Enterprises Water Group, Ltd.

    1,644,000       917,488  

Beijing Jingneng Clean Energy Co., Ltd. Class H

    136,000       33,098  

Bitauto Holdings, Ltd. ADR (a) (b)

    6,120       129,438  

BOE Technology Group Co., Ltd. Class B

    243,000       137,781  

Boer Power Holdings, Ltd. (a)

    7,000       1,391  

Boyaa Interactive International, Ltd. (a)

    64,000       24,790  

Brilliance China Automotive Holdings, Ltd.

    902,000       1,882,543  

Byd Co., Ltd. Class H (b)

    215,000       1,676,541  

BYD Electronic International Co., Ltd. (b)

    213,500       400,433  

C.banner International Holdings, Ltd. (a)

    12,000       3,930  

Cabbeen Fashion, Ltd.

    376,000       104,920  

CAR, Inc. (a)

    367,000       330,138  

CGN Meiya Power Holdings Co., Ltd. (a) (c)

    24,000       3,242  

CGN Mining Co., Ltd.

    325,000       20,705  

CGN PowerCo.,Ltd.Class H (b) (c)

    3,062,000       792,001  

Changyou.com, Ltd. ADR (a)

    2,136       59,573  

Chanjet Information Technology Co., Ltd. Class H (a)

    2,600       4,923  

Chaowei Power Holdings, Ltd. (b)

    75,000       40,518  

Cheetah Mobile, Inc. ADR (a) (b)

    3,464       46,314  

China Aerospace International Holdings, Ltd.

    740,000       80,145  

China Agri-Industries Holdings, Ltd.

    436,000       191,659  

China Aircraft Leasing Group Holdings, Ltd.

    6,500       6,849  

China Aoyuan Property Group, Ltd. (b)

    374,000       343,583  

China Biologic Products Holdings, Inc. (a) (b)

    5,119       414,639  

China Chengtong Development Group, Ltd. (a) (b)

    1,640,000       79,406  

China Child Care Corp., Ltd. (a)

    443,000       9,031  

China Cinda Asset Management Co., Ltd. Class H

    3,708,000       1,346,508  
 

 

72


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China CITIC Bank Corp., Ltd. Class H

    3,525,000     $     2,407,400  

China Coal Energy Co., Ltd. Class H

    2,220,000       888,192  

China Communications Construction Co., Ltd. Class H

    1,701,241       1,747,130  

China Communications Services Corp., Ltd. Class H

    152,000       90,832  

China Conch Venture Holdings, Ltd.

    450,700       1,375,363  

China Construction Bank Corp. Class H

    30,770,280       31,600,277  

China Datang Corp. Renewable Power Co., Ltd. Class H

    510,000       68,881  

China Distance Education Holdings, Ltd. ADR

    3,984       32,549  

China Dongxiang Group Co., Ltd.

    370,000       64,587  

China Eastern Airlines Corp., Ltd. Class H

    144,000       104,583  

China Electronics Corp. Holdings Co., Ltd.

    134,000       19,635  

China Energine International Holdings, Ltd. (a)

    864,000       37,980  

China Everbright International, Ltd.

    874,000       1,224,979  

China Everbright, Ltd.

    24,000       50,273  

China Evergrande Group (a) (b)

    1,321,000       4,157,423  

China Fangda Group Co., Ltd. Class B

    641,500       404,600  

China Financial Services Holdings, Ltd.

    758,000       63,744  

China Foods, Ltd.

    16,000       7,360  

China Galaxy Securities Co., Ltd. Class H

    889,900       591,883  

China Hanking Holdings, Ltd.

    379,000       50,705  

China Harmony New Energy Auto Holding, Ltd. (a) (b)

    7,000       4,486  

China Hongqiao Group, Ltd. (b)

    24,500       26,753  

China Huarong Energy Co., Ltd. (a)

    128,400       3,926  

China Huishan Dairy Holdings Co.,
Ltd. (a) (b) (d)

    310,600        

China Huiyuan Juice Group, Ltd. (a)

    188,500       48,516  

China International Marine Containers Group Co., Ltd. Class H

    51,700       80,630  

China Lesso Group Holdings, Ltd.

    365,000       277,646  

China Life Insurance Co., Ltd. Class H

    2,369,260       6,520,650  

China Lodging Group, Ltd. ADR

    6,120       806,065  

China Longyuan Power Group Corp., Ltd. Class H

    817,000       626,676  

China Machinery Engineering Corp. Class H

    14,000       7,421  

Security Description

 

Shares

   

Value

 

China Medical System Holdings, Ltd.

    451,000     $     1,024,021  

China Mengniu Dairy Co., Ltd.

    1,320,620       4,526,417  

China Merchants Bank Co., Ltd. Class H

    1,559,923       6,390,113  

China Merchants China Direct Investments, Ltd.

    4,000       6,636  

China Merchants Port Holdings Co., Ltd.

    761,281       1,678,091  

China Minsheng Banking Corp., Ltd. Class H (b)

    1,933,900       1,880,109  

China Mobile, Ltd.

    1,773,366       16,257,493  

China Modern Dairy Holdings, Ltd. (a) (b)

    6,000       1,024  

China Molybdenum Co., Ltd. Class H

    222,000       167,455  

China National Accord Medicines Corp., Ltd. Class B

    7,100       32,568  

China National Building Material Co., Ltd. Class H (b)

    732,000       794,649  

China National Materials Co., Ltd. Class H

    374,000       341,200  

China Oilfield Services, Ltd. Class H

    897,723       925,370  

China Overseas Grand Oceans Group, Ltd.

    109,500       53,018  

China Overseas Land & Investment, Ltd.

    1,779,200       6,177,542  

China Overseas Property Holdings, Ltd. (b)

    62,066       19,375  

China Pacific Insurance Group Co., Ltd. Class H

    787,200       3,525,614  

China Petroleum & Chemical Corp. Class H

    8,859,200       7,777,466  

China Power Clean Energy Development Co., Ltd.

    34,246       18,632  

China Power International Development, Ltd.

    2,220,000       571,385  

China Railway Construction Corp., Ltd. Class H

    854,990       856,265  

China Railway Group, Ltd. Class H

    1,787,487       1,238,985  

China Rare Earth Holdings, Ltd. (a)

    745,200       44,152  

China Resources Beer Holdings Co., Ltd.

    754,625       3,269,147  

China Resources Gas Group, Ltd.

    44,000       152,772  

China Resources Land, Ltd.

    914,222       3,325,693  

China Resources Power Holdings Co., Ltd.

    894,432       1,631,980  

China Sanjiang Fine Chemicals Co., Ltd.

    73,000       29,857  

China Shenhua Energy Co., Ltd. Class H

    1,547,056       3,843,838  

China Singyes Solar Technologies Holdings, Ltd. (b)

    9,600       3,511  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China South City Holdings, Ltd. (b)

    742,000     $       167,341  

China Southern Airlines Co., Ltd. Class H

    732,000       755,476  

China State Construction International Holdings, Ltd.

    159,250       194,388  

China Taiping Insurance Holdings Co., Ltd.

    354,435       1,171,921  

China Telecom Corp., Ltd. Class H

    6,069,615       2,675,849  

China Travel International Investment Hong Kong, Ltd.

    2,518,000       891,918  

China Unicom Hong Kong, Ltd. (a)

    1,781,668       2,247,431  

China Vanke Co., Ltd. Class H

    347,500       1,585,120  

China Yurun Food Group, Ltd. (a)

    12,000       1,605  

China ZhengTong Auto Services Holdings, Ltd. (b)

    38,000       27,598  

ChinaCache International Holdings, Ltd. ADR (a)

    6,120       6,548  

Chinasoft International, Ltd. (a) (b)

    142,000       127,375  

Chlitina Holding, Ltd.

    2,000       13,410  

Chong Sing Holdings FinTech Gr (a) (b)

    1,681,618       220,693  

Chongqing Changan Automobile Co., Ltd. Class B

    344,000       344,075  

Chongqing Machinery & Electric Co., Ltd. Class H

    138,000       13,539  

CIFI Holdings Group Co., Ltd.

    26,000       22,693  

CIMC Enric Holdings, Ltd. (a)

    10,000       9,582  

CITIC Resources Holdings, Ltd. (b)

    738,000       82,749  

CITIC Securities Co., Ltd. Class H

    476,000       1,089,275  

CITIC Telecom International Holdings, Ltd.

    368,000       106,438  

CITIC, Ltd.

    2,143,000       2,998,119  

CNOOC, Ltd.

    5,807,603       8,554,195  

Cogobuy Group (b) (c)

    64,000       32,455  

Colour Life Services Group Co., Ltd.

    69,000       64,795  

Comtec Solar Systems Group, Ltd. (a)

    872,000       25,221  

Coolpad Group, Ltd. (a) (d)

    253,600       11,633  

COSCO SHIPPING Development Co., Ltd. Class H (a) (b)

    2,658,117       494,483  

COSCO SHIPPING Energy Transportation Co., Ltd. Class H

    872,000       448,872  

COSCO SHIPPING Holdings Co., Ltd.
Class H (a) (b)

    1,334,925       661,654  

COSCO SHIPPING Ports, Ltd. .

    898,086       755,242  

Cosmo Lady China Holdings Co., Ltd. (c)

    71,000       38,448  

Country Garden Holdings Co., Ltd.

    1,829,466       3,766,952  

 

Security Description

 

Shares

   

Value

 

CRRC Corp., Ltd. Class H

    1,325,000     $      1,129,448  

CSG Holding Co., Ltd. Class B

    28,300       16,226  

Ctrip.com International, Ltd. ADR (a)

    108,040       5,036,825  

Daqo New Energy Corp. ADR (a)

    3,984       195,017  

Datang International Power Generation Co., Ltd. Class H (a)

    2,664,000       797,676  

Dazhong Transportation Group Co., Ltd. Class B

    479,150       294,198  

Dongfang Electric Corp., Ltd. Class H (a)

    88,800       69,132  

Dongfeng Motor Group Co., Ltd. Class H

    1,772,000       2,056,868  

E-Commodities Holdings, Ltd.

    6,500       613  

Fang Holdings, Ltd. ADR (a) (b)

    55,912       287,388  

Fanhua, Inc. ADR (b)

    12,765       344,910  

Fantasia Holdings Group Co., Ltd.

    549,000       106,326  

Far East Horizon, Ltd.

    809,000       855,561  

Fufeng Group, Ltd.

    71,000       42,066  

Future Land Holdings Co., Ltd. Class A

    59,871       332,864  

Geely Automobile Holdings, Ltd.

    612,000       1,762,318  

GF Securities Co., Ltd. Class H

    530,000       973,791  

Global Bio-Chem Technology Group Co., Ltd. (a)

    914,000       11,413  

Goldpac Group, Ltd.

    64,000       19,408  

GOME Retail Holdings, Ltd. (b)

    3,479,000       376,789  

Goodbaby International Holdings, Ltd.

    67,000       45,758  

Grand Baoxin Auto Group, Ltd. (a)

    3,158       1,324  

Great Wall Motor Co., Ltd. Class H (b)

    1,097,250       1,100,284  

Greatview Aseptic Packaging Co., Ltd.

    10,000       6,728  

Greentown China Holdings, Ltd. (b)

    216,500       292,959  

Guangdong Electric Power Development Co., Ltd. Class B

    653,340       257,230  

Guangdong Investment, Ltd.

    1,778,000       2,795,576  

Guangshen Railway Co., Ltd. Class H (b)

    1,776,000       1,049,990  

Guangzhou Automobile Group Co., Ltd. Class H

    908,636       1,674,105  

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class H

    6,000       18,501  

Guangzhou R&F Properties Co., Ltd. Class H

    856,800       2,137,551  

Guodian Technology & Environment Group Corp., Ltd. Class H (a)

    73,000       4,651  

Guotai Junan International Holdings, Ltd. (b)

    512,000       147,436  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Haichang Ocean Park Holdings, Ltd. (a) (c)

    374,000     $         95,307  

Haitian International Holdings, Ltd.

    5,000       15,163  

Haitong Securities Co., Ltd. Class H

    856,800       1,133,186  

Hangzhou Steam Turbine Co., Ltd. Class B (a)

    126,900       122,077  

Harbin Electric Co., Ltd. Class H

    732,000       256,489  

Health and Happiness H&H International Holdings, Ltd. (a)

    5,000       38,066  

Hengan International Group Co., Ltd.

    224,000       2,074,946  

HNA Infrastructure Co., Ltd. Class H

    65,000       69,569  

Honghua Group, Ltd. (a)

    14,000       1,463  

Honworld Group, Ltd. (b) (c)

    35,000       15,876  

Hopson Development Holdings, Ltd.

    26,000       29,683  

Hua Hong Semiconductor, Ltd. (c)

    7,000       13,860  

Huadian Fuxin Energy Corp., Ltd. Class H

    128,000       32,782  

Huadian Power International Corp., Ltd. Class H

    1,021,308       392,996  

Huaneng Power International, Inc. Class H

    1,776,000       1,192,554  

Huaneng Renewables Corp., Ltd. Class H

    884,000       330,023  

Huangshan Tourism Development Co., Ltd. Class B

    309,332       389,758  

Huatai Securities Co., Ltd. Class H (c)

    250,200       481,381  

Industrial & Commercial Bank of China, Ltd. Class H

    24,794,590       21,261,622  

Inner Mongolia Yitai Coal Co., Ltd. Class B

    172,436       230,202  

JA Solar Holdings Co., Ltd. ADR (a) (b)

    7,451       48,879  

JD.com, Inc. ADR (a)

    271,935       11,010,648  

Jiangnan Group, Ltd.

    134,000       8,281  

Jiangsu Expressway Co., Ltd. Class H

    1,022,000       1,445,434  

Jiangxi Copper Co., Ltd. Class H

    446,000       636,469  

JinkoSolar Holding Co., Ltd. ADR (a) (b)

    4,792       87,454  

Joy City Property, Ltd.

    908,000       145,774  

Jumei International Holding, Ltd. ADR (a) (b)

    2,656       7,702  

Kama Co., Ltd. Class B (a)

    30,600       24,021  

Kingdee International Software Group Co., Ltd. (a) (b)

    746,000       750,914  

Kingsoft Corp., Ltd.

    75,000       237,950  

Konka Group Co., Ltd. Class B (a)

    4,761,600       1,989,991  

 

Security Description

 

Shares

   

Value

 

Kunlun Energy Co., Ltd.

    2,508,000     $     2,163,419  

KWG Property Holding, Ltd.

    455,168       620,554  

Lao Feng Xiang Co., Ltd. Class B

    48,530       175,921  

Lenovo Group, Ltd. (b)

    3,396,000       1,735,148  

Li Ning Co., Ltd. (a)

    660,333       676,462  

Lianhua Supermarket Holdings Co., Ltd. Class H (a)

    13,000       3,959  

Lifetech Scientific Corp. (a) (b)

    730,000       212,071  

Link Motion, Inc. ADR (a) (b)

    12,253       20,340  

Livzon Pharmaceutical Group, Inc. Class H

    40,666       327,471  

Luye Pharma Group, Ltd. (b)

    218,000       208,603  

Maanshan Iron & Steel Co., Ltd. Class H (a)

    1,620,000       693,552  

Metallurgical Corp. of China, Ltd. Class H

    446,000       127,294  

Minth Group, Ltd.

    34,000       154,874  

MOBI Development Co., Ltd.

    516,000       69,034  

Momo, Inc. ADR (a)

    5,312       198,563  

National Agricultural Holdings, Ltd. (a) (b) (d)

    72,000       5,459  

NetEase, Inc. ADR

    31,298       8,775,646  

New China Life Insurance Co., Ltd. Class H

    220,100       1,025,019  

New Oriental Education & Technology Group, Inc. ADR

    37,457       3,283,106  

Noah Holdings, Ltd. ADS (a)

    3,984       188,085  

Ourgame International Holdings, Ltd. (a) (b)

    65,000       17,144  

Ozner Water International Holding,
Ltd. (a) (b) (c)

    371,000       99,270  

Pacific Online, Ltd.

    64,000       9,133  

Parkson Retail Group, Ltd. (a)

    626,634       72,657  

People’s Insurance Co. Group of China, Ltd. Class H

    1,705,000       797,287  

PetroChina Co., Ltd. Class H

    7,028,970       4,827,306  

PICC Property & Casualty Co., Ltd. Class H

    2,515,506       4,403,890  

Ping An Insurance Group Co. of China, Ltd. Class H

    1,551,000       15,770,269  

Poly Culture Group Corp., Ltd. Class H (b)

    7,200       12,770  

Poly Property Group Co., Ltd. (a)

    378,000       185,910  

PW Medtech Group, Ltd. (a)

    68,000       11,177  

ReneSola, Ltd. ADR (a) (b)

    11,108       28,325  

Renhe Commercial Holdings Co., Ltd. (a) (b)

    5,165,000       100,690  

Semiconductor Manufacturing International Corp. (a) (b)

    858,400       1,122,177  

Shandong Airlines Co., Ltd. Class B

    5,800       10,915  

Shandong Chenming Paper Holdings, Ltd. Class B

    83,400       138,145  

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

    272,000       181,257  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Shanghai Baosight Software Co., Ltd. Class B

    28,300     $         50,912  

Shanghai Electric Group Co., Ltd.
Class H (a) (b)

    1,794,077       621,777  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

    33,500       205,739  

Shanghai Fudan Microelectronics Group Co., Ltd. Class H (a)

    16,000       13,394  

Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co., Ltd. Class H

    8,000       3,823  

Shanghai Greencourt Investment Group Co., Ltd. Class B (a)

    216,848       119,266  

Shanghai Huayi Group Corp., Ltd. Class B

    200       185  

Shanghai Industrial Urban Development Group, Ltd.

    26,000       5,930  

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

    28,000       11,452  

Shanghai Jinjiang International Industrial Investment Co., Ltd. Class B

    257,082       311,326  

Shanghai Jinjiang International Travel Co., Ltd. Class B

    6,000       15,480  

Shanghai Jinqiao Export Processing Zone Development Co., Ltd. Class B

    322,766       417,014  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B

    171,740       244,901  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

    88,900       237,873  

Shanghai Prime Machinery Co., Ltd. Class H

    136,000       24,607  

Shengjing Bank Co., Ltd. Class H (c)

    215,300       160,756  

Shenwan Hongyuan HK, Ltd.

    10,000       3,071  

Shenzhen Expressway Co., Ltd. Class H

    860,482       876,018  

Shenzhen International Holdings, Ltd.

    222,865       487,854  

Shenzhen Investment, Ltd. (b)

    765,099       324,628  

Shenzhou International Group Holdings, Ltd.

    64,000       673,980  

Shougang Concord International Enterprises Co., Ltd. (a) (b)

    1,456,000       40,443  

Shunfeng International Clean Energy, Ltd. (a)

    138,000       5,275  

Silver Grant International Industries, Ltd. (a)

    142,000       29,854  

SINA Corp. (a)

    26,365       2,749,079  

Sinofert Holdings, Ltd. (a) (b)

    130,000       16,564  

SinoMedia Holding, Ltd. (a) (b)

    65,000       17,392  

Sino-Ocean Group Holding, Ltd.

    1,762,480       1,277,794  

Sinopec Oilfield Service Corp. Class H (a) (b)

    148,000       22,252  

Sinopec Shanghai Petrochemical Co., Ltd. Class H

    1,774,600       1,078,557  

 

Security Description

 

Shares

   

Value

 

Sinopharm Group Co., Ltd. Class H

    326,800     $      1,636,436  

Sinosoft Technology Group, Ltd. (b)

    366,600       123,784  

Sinotrans, Ltd. Class H

    2,144,300       1,177,571  

Sinovac Biotech, Ltd. (a)

    36,152       311,269  

SITC International Holdings Co., Ltd.

    69,000       68,575  

SOHO China, Ltd.

    189,000       98,976  

SPT Energy Group, Inc. (a)

    20,000       2,013  

Sunac China Holdings, Ltd. (b)

    444,000       1,714,155  

Sunny Optical Technology Group Co., Ltd.

    134,000       2,473,988  

Synertone Communication Corp. (a)

    54,400       582  

TCL Multimedia Technology Holdings, Ltd.

    52,000       24,250  

Tencent Holdings, Ltd.

    1,806,167       94,263,217  

Tian Ge Interactive Holdings, Ltd. (b) (c)

    70,000       58,955  

Tiangong International Co., Ltd.

    138,000       23,913  

Tianneng Power International, Ltd.

    130,000       153,880  

Tingyi Cayman Islands Holding Corp.

    1,024,000       2,124,119  

Tong Ren Tang Technologies Co., Ltd. Class H

    10,000       16,666  

TravelSky Technology, Ltd. Class H

    885,841       2,567,802  

Trigiant Group, Ltd.

    22,000       3,308  

Uni-President China Holdings, Ltd.

    72,000       62,291  

Universal Health International Group Holding, Ltd. (a)

    69,000       1,372  

Universal Medical Financial & Technical Advisory Services Co., Ltd. (b) (c)

    225,600       196,616  

V1 Group, Ltd. (a)

    1,630,200       45,697  

Vipshop Holdings, Ltd. ADR (a)

    92,277       1,533,644  

Want Want China Holdings, Ltd. (b)

    2,588,000       2,074,146  

Weibo Corp. ADR

    2,592       309,848  

West China Cement, Ltd. (a)

    750,000       142,388  

Wisdom Sports Group (b)

    75,000       7,549  

Xiamen International Port Co., Ltd. Class H

    26,000       4,737  

Xinchen China Power Holdings, Ltd. (a)

    369,000       44,666  

Xinjiang Goldwind Science & Technology Co., Ltd. Class H (b)

    16,260       26,063  

Xinyi Solar Holdings, Ltd.

    882,000       356,248  

Yangtze Optical Fibre and Cable Joint Stock, Ltd. Co. Class H (c)

    6,500       30,064  

Yanzhou Coal Mining Co., Ltd. Class H

    1,620,000       2,064,141  

Yestar Healthcare Holdings Co., Ltd. (b)

    22,500       7,827  
 

 

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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Yingli Green Energy Holding Co., Ltd. ADR (a) (b)

    6,623     $ 11,127  

Yuexiu Property Co., Ltd.

    3,396,000       800,505  

Yuexiu Transport Infrastructure, Ltd. (b)

    1,258       968  

Yum China Holdings, Inc.

    23,535       976,703  

YY, Inc. ADR (a)

    7,966       838,023  

Zhaojin Mining Industry Co., Ltd. Class H (b)

    36,500       28,695  

Zhejiang Expressway Co., Ltd. Class H

    1,643,862       1,677,731  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    217,800       1,054,547  

Zijin Mining Group Co., Ltd. Class H (b)

    2,577,000       1,152,513  

ZTE Corp. Class H (a) (b)

    445,327       1,449,754  
   

 

 

 
        541,621,967  
   

 

 

 

COLOMBIA — 0.5%

   

Almacenes Exito SA

    46,509       274,415  

Avianca Holdings SA Preference Shares

    697,012       746,148  

Banco Davivienda SA Preference Shares

    78,382       845,249  

Banco de Bogota SA

    24,305       591,026  

Bancolombia SA ADR

    26,348       1,107,143  

Bancolombia SA

    72,786       787,510  

Bolsa de Valores de Colombia

    44,768,079       363,838  

Celsia SA ESP

    40,616       65,655  

Cementos Argos SA

    49,162       170,556  

Cementos Argos SA Preference Shares

    58,901       177,772  

Cemex Latam Holdings SA (a)

    14,728       46,930  

Constructora Conconcreto SA

    108,336       37,507  

Corp. Financiera Colombiana SA

    24,369       207,648  

Ecopetrol SA

    700,843       656,154  

Empresa de Telecomunicaciones de Bogota (a)

    1,292,876       185,153  

Grupo Argos SA Preference Shares

    79,320       465,736  

Grupo Argos SA

    18,023       121,440  

Grupo Aval Acciones y Valores SA

    1,764,739       732,912  

Grupo de Inversiones Suramericana SA Preference Shares

    28,752       366,464  

Grupo de Inversiones Suramericana SA

    28,568       381,302  

Grupo Nutresa SA

    26,192       243,625  

Interconexion Electrica SA ESP

    106,183       506,376  
   

 

 

 
      9,080,559  
   

 

 

 

CZECH REPUBLIC — 0.3%

   

CEZ A/S

    95,604       2,380,756  

Komercni banka A/S

    50,545       2,304,323  

UNIPETROL A/S

    3,565       65,287  
   

 

 

 
      4,750,366  
   

 

 

 

 

Security Description

 

Shares

   

Value

 

EGYPT — 0.3%

   

Commercial International Bank Egypt SAE

    908,771     $     4,588,185  

Egypt Kuwait Holding Co. SAE

    355,362       355,362  

Egyptian Financial Group-Hermes Holding Co.

    434,601       634,522  

Global Telecom Holding SAE (a)

    462,109       172,210  

Orascom Telecom Media And Technology Holding SAE

    100,088       4,939  
   

 

 

 
      5,755,218  
   

 

 

 

GREECE — 0.2%

   

Alpha Bank AE (a)

    16,742       35,621  

Diana Shipping, Inc. (a)

    16,283       59,596  

Ellaktor SA (a)

    354       682  

Eurobank Ergasias SA (a)

    12,195       11,511  

FF Group (a)

    5,237       102,021  

Fourlis Holdings SA (a)

    176       1,221  

Frigoglass SAIC (a)

    99       20  

GEK Terna Holding Real Estate Construction SA (a)

    665       3,999  

Grivalia Properties REIC AE REIT

    30,955       336,920  

Hellenic Exchanges - Athens Stock Exchange SA

    58,651       335,413  

Hellenic Telecommunications Organization SA

    49,016       661,900  

Holding Co. ADMIE IPTO SA (a)

    5,208       11,273  

Intralot SA-Integrated Lottery Systems & Services (a)

    126,041       178,263  

JUMBO SA

    20,172       359,724  

Marfin Investment Group Holdings SA (a)

    8,445       1,869  

Mytilineos Holdings SA (a)

    181       1,937  

National Bank of Greece SA (a)

    4,078       1,310  

OPAP SA

    60,438       690,523  

Piraeus Bank SA (a)

    49       155  

Public Power Corp. SA (a)

    16,236       51,637  

Terna Energy SA

    215       1,317  

Titan Cement Co. SA

    9,800       242,858  
   

 

 

 
      3,089,770  
   

 

 

 

HONG KONG — 1.2%

   

AGTech Holdings, Ltd. (a) (b)

    56,000       6,636  

Alibaba Pictures Group, Ltd. (a) (b)

    4,312,400       560,459  

AMVIG Holdings, Ltd.

    130,000       35,613  

Asian Citrus Holdings, Ltd. (a) (d)

    51,000       1,949  

Bosideng International Holdings, Ltd.

    736,000       72,209  

Carnival Group International Holdings, Ltd. (a) (b)

    680,000       31,191  

Chia Tai Enterprises International, Ltd. (a)

    2,300       615  

China All Access Holdings, Ltd.

    28,000       8,919  

China Animation Characters Co., Ltd. (b)

    65,000       23,852  
 

 

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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Fiber Optic Network System Group, Ltd. (a) (d)

    88,800     $  

China Financial International Investments, Ltd. (a)

    640,000       22,018  

China Financial Leasing Group, Ltd. (a)

    80,000       1,651  

China Gas Holdings, Ltd.

    806,000       2,932,011  

China High Speed Transmission Equipment Group Co., Ltd. (b)

    319,000       501,568  

China Jicheng Holdings, Ltd. (a) (b) (c)

    117,414       1,092  

China National Culture Group, Ltd. (a)

    670,000       1,537  

China NT Pharma Group Co., Ltd.

    852,100       204,114  

China Ocean Industry Group, Ltd. (a)

    2,175,000       16,074  

China Oil & Gas Group, Ltd.

    132,000       10,596  

China Public Procurement, Ltd. (a)

    67,200       1,062  

China Soft Power Technology Holdings, Ltd. (a) (b)

    168,000       2,612  

China Vanguard You Champion Holdings, Ltd. (a)

    70,000       6,511  

Citychamp Watch & Jewellery Group, Ltd. (b)

    734,000       157,119  

Comba Telecom Systems Holdings, Ltd. (b)

    146,117       19,549  

Concord New Energy Group, Ltd.

    120,000       5,428  

CP Pokphand Co., Ltd.

    1,652,000       128,400  

Digital China Holdings, Ltd. (a) (b)

    376,000       206,485  

Essex Bio-technology, Ltd.

    377,000       377,082  

Eternity Investment, Ltd. (a)

    40,574       931  

Feiyu Technology International Co., Ltd. (a) (c)

    19,500       1,938  

First Shanghai Investments, Ltd. (a)

    40,000       4,179  

Fullshare Holdings, Ltd. (a) (b)

    2,134,500       1,183,068  

GCL-Poly Energy Holdings, Ltd. (a)

    2,581,000       318,995  

Golden Meditech Holdings, Ltd.

    44,000       5,046  

Haier Electronics Group Co., Ltd.

    72,000       256,412  

Hanergy Thin Film Power Group, Ltd. (a) (d)

    856,000        

Hengdeli Holdings, Ltd.

    5,585,600       266,886  

Hi Sun Technology China, Ltd. (a)

    225,000       39,849  

Hua Han Health Industry Holdings, Ltd. (a) (b) (d)

    283,600       14,364  

Huabao International Holdings, Ltd.

    344,000       227,922  

Huayi Tencent Entertainment Co., Ltd. (a) (b)

    110,000       5,466  

Imperial Pacific International Holdings, Ltd. (a) (b)

    8,930,000       111,507  

 

Security Description

 

Shares

   

Value

 

Ju Teng International Holdings, Ltd.

    134,500     $ 33,247  

Kingboard Chemical Holdings, Ltd.

    441,340       2,015,983  

Kingboard Laminates Holdings, Ltd.

    225,500       326,974  

Lee & Man Paper Manufacturing, Ltd.

    76,000       80,277  

Life Healthcare Group, Ltd. (a)

    88,000       2,669  

Millennium Pacific Group Holdings, Ltd. (a)

    190,000       4,745  

Munsun Capital Group, Ltd. (a) (b)

    982,224       5,006  

Neo Telemedia, Ltd.

    3,516,000       77,055  

NetDragon Websoft Holdings, Ltd. (b)

    34,500       83,961  

New Provenance Everlasting Holdings, Ltd. (a) (b)

    3,648,030       74,836  

NewOcean Energy Holdings, Ltd. (a) (b)

    22,000       5,018  

Nine Dragons Paper Holdings, Ltd.

    810,000       1,211,651  

Portico International Holdings, Ltd. (a)

    37,000       12,682  

Pou Sheng International Holdings, Ltd.

    456,000       115,622  

Qianhai Health Holdings, Ltd. (a)

    59,221       596  

Real Nutriceutical Group, Ltd. (a)

    195,000       5,739  

Shimao Property Holdings, Ltd.

    666,000       1,883,873  

SIM Technology Group, Ltd.

    1,622,000       74,401  

Sino Biopharmaceutical, Ltd.

    1,326,000       2,601,888  

Skyworth Digital Holdings, Ltd.

    733,225       329,789  

Solargiga Energy Holdings, Ltd. (a)

    3,036,000       82,783  

SSY Group, Ltd.

    23,740       20,841  

Sun Art Retail Group, Ltd.

    408,000       474,630  

Suncorp Technologies, Ltd. (a)

    4,330,000       11,034  

Tech Pro Technology Development, Ltd. (a) (e)

    486,000       4,211  

Tibet Water Resources, Ltd. (a)

    67,000       26,550  

United Laboratories International Holdings, Ltd. (a) (b)

    12,000       12,431  

Vision Values Holdings, Ltd. (a)

    90,000       6,651  

Wanda Hotel Development Co., Ltd. (a)

    328,000       50,569  

Wasion Group Holdings, Ltd. (b)

    24,000       12,232  

WH Group, Ltd. (c)

    2,196,000       2,339,177  

Xinyi Automobile Glass Hong Kong Enterprises, Ltd. (a)

    12,250       3,215  

Xinyi Glass Holdings, Ltd.

    854,000       1,286,174  

Yip’s Chemical Holdings, Ltd.

    10,000       3,695  
   

 

 

 
      21,053,120  
   

 

 

 

HUNGARY — 0.6%

   

MOL Hungarian Oil & Gas PLC

    256,002       2,795,656  

OTP Bank PLC

    129,255       5,815,144  
 

 

78


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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Richter Gedeon Nyrt

    110,670     $ 2,312,929  
   

 

 

 
        10,923,729  
   

 

 

 

INDIA — 11.0%

   

Adani Enterprises, Ltd.

    2,378       5,702  

Adani Ports & Special Economic Zone, Ltd.

    266,678       1,447,841  

Adani Power, Ltd. (a)

    3,460       1,257  

Adani Transmission, Ltd. (a)

    3,300       9,801  

Aditya Birla Capital, Ltd. GDR (a)

    322       721  

AIA Engineering, Ltd.

    3,541       78,256  

Alok Industries, Ltd. (a)

    1,263,036       57,127  

Amtek Auto, Ltd. (a)

    25,377       8,132  

Anant Raj, Ltd.

    369,961       264,332  

Apollo Hospitals Enterprise, Ltd.

    32,995       538,596  

Ashok Leyland, Ltd.

    198,542       442,766  

Asian Paints, Ltd.

    28,032       481,543  

Aurobindo Pharma, Ltd.

    107,700       921,173  

Axis Bank, Ltd.

    421,042       3,295,559  

Bajaj Finance, Ltd.

    16,654       451,334  

Bajaj Hindusthan Sugar, Ltd. (a)

    532,769       71,883  

Balrampur Chini Mills, Ltd.

    262,663       304,660  

BF Investment, Ltd. (a)

    64,921       279,356  

Bharat Financial Inclusion, Ltd. (a)

    16,812       282,732  

Bharat Forge, Ltd.

    13,817       148,218  

Bharat Heavy Electricals, Ltd.

    644,155       803,444  

Bharat Petroleum Corp., Ltd.

    73,961       484,726  

Bharti Airtel, Ltd.

    701,316       4,287,142  

Bharti Infratel, Ltd.

    114,138       588,263  

Biocon, Ltd.

    40,430       368,150  

Bosch, Ltd.

    427       117,959  

Britannia Industries, Ltd.

    27,664       2,108,296  

Cipla, Ltd.

    293,156       2,451,668  

Coal India, Ltd.

    216,390       939,922  

CORE Education & Technologies, Ltd. (a) (d)

    9,253        

DCB Bank, Ltd.

    778,123       1,927,361  

Dewan Housing Finance Corp., Ltd.

    217,222       1,699,063  

Dr Reddy’s Laboratories, Ltd. ADR (b)

    84,787       2,771,687  

Educomp Solutions, Ltd. (a)

    29,982       2,069  

Eicher Motors, Ltd.

    2,732       1,188,471  

Era Infra Engineering, Ltd. (a) (d)

    2,941        

Fortis Healthcare, Ltd. (a)

    153,193       289,725  

GAIL India, Ltd.

    429,949       2,165,840  

GAIL India, Ltd. (a) (e)

    143,316       721,946  

Gammon India, Ltd. (a)

    139,302       9,077  

Gateway Distriparks, Ltd.

    91,654       245,571  

Gitanjali Gems, Ltd.

    3,473       442  

Glenmark Pharmaceuticals, Ltd.

    24,606       198,556  

Godrej Consumer Products, Ltd.

    38,164       639,941  

Godrej Industries, Ltd.

    157,713       1,329,717  

Grasim Industries, Ltd. GDR

    230       3,726  

Grasim Industries, Ltd.

    31,377       505,569  

 

Security Description

 

Shares

   

Value

 

GRUH Finance, Ltd.

    257,707     $     2,272,954  

GTL Infrastructure, Ltd. (a)

    1,523,200       60,721  

GTL, Ltd. (a)

    3,458       604  

Gujarat NRE Coke, Ltd. (a) (e)

    25,505       352  

Gujarat Pipavav Port, Ltd.

    12,241       27,280  

GVK Power & Infrastructure, Ltd. (a)

    678,690       146,723  

HCL Technologies, Ltd.

    165,499       2,457,807  

HDFC Bank, Ltd.

    220,439       6,374,719  

Hero MotoCorp, Ltd.

    93,857       5,098,251  

Hindalco Industries, Ltd.

    298,831       983,019  

Hindustan Construction Co., Ltd. (a)

    71,470       24,327  

Hindustan Unilever, Ltd.

    403,334       8,245,498  

Housing Development & Infrastructure, Ltd. (a)

    64,845       38,377  

Housing Development Finance Corp., Ltd.

    613,615       17,175,504  

ICICI Bank, Ltd. ADR

    850,956       7,530,961  

Idea Cellular, Ltd. (a)

    122,237       142,250  

IDFC Bank, Ltd.

    27       20  

IDFC, Ltd.

    18       13  

Indiabulls Housing Finance, Ltd.

    49,891       946,428  

Indiabulls Real Estate, Ltd. (a)

    111,378       309,859  

Indian Hotels Co., Ltd.

    403,176       799,902  

Indian Oil Corp., Ltd.

    198,674       537,947  

IndusInd Bank, Ltd.

    28,577       787,249  

Infosys, Ltd. ADR (b)

    837,144       14,943,020  

IRB Infrastructure Developers, Ltd.

    21,534       73,627  

ITC, Ltd.

    796,946       3,121,962  

ITC, Ltd. GDR

    60,326       236,321  

IVRCL, Ltd. (a)

    23,282       1,071  

Jain Irrigation Systems, Ltd.

    58,977       96,258  

Jaiprakash Associates, Ltd. (a)

    300,888       87,192  

Jet Airways India, Ltd. (a)

    83,315       777,625  

Jindal Steel & Power, Ltd. (a)

    28,269       94,964  

Kotak Mahindra Bank, Ltd.

    184,708       2,967,372  

Lanco Infratech, Ltd. (a)

    51,317       865  

Larsen & Toubro, Ltd. GDR

    272,374       5,474,717  

LIC Housing Finance, Ltd.

    92,719       759,702  

Lupin, Ltd.

    56,391       636,219  

Magma Fincorp, Ltd.

    42,624       99,009  

Mahanagar Telephone Nigam, Ltd. (a)

    259,382       74,567  

Mahindra & Mahindra Financial Services, Ltd.

    83,639       594,062  

Mahindra & Mahindra, Ltd. GDR

    407,700       4,688,550  

Marico, Ltd.

    43,669       218,306  

Marksans Pharma, Ltd.

    46,473       22,552  

Maruti Suzuki India, Ltd.

    66,707       9,062,895  

Mindtree, Ltd.

    16,687       197,504  

Monnet Ispat & Energy, Ltd. (a)

    13,336       3,077  

MRF, Ltd.

    876       973,934  

NCC, Ltd.

    100,098       180,408  

NTPC, Ltd.

    589,170       1,532,958  

Oil & Natural Gas Corp., Ltd.

    1,210,205       3,299,124  

OnMobile Global, Ltd.

    12,965       8,587  
 

 

79


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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Opto Circuits India, Ltd. (a)

    7,471     $ 899  

Page Industries, Ltd.

    952       331,112  

Paisalo Digital, Ltd.

    10,341       47,962  

Power Grid Corp. of India, Ltd.

    152,889       453,006  

PS IT Infrastructure & Services, Ltd. (a)

    132       108  

PTC India, Ltd.

    269,773       361,508  

Punj Lloyd, Ltd. (a)

    22,533       5,839  

Rajesh Exports, Ltd.

    43,960       498,497  

RattanIndia Infrastructure, Ltd. (a)

    169,615       14,433  

REI Agro, Ltd. (a) (e)

    1,873,023       4,308  

Reliance Capital, Ltd.

    36,995       240,104  

Reliance Communications, Ltd. (a)

    422,235       140,806  

Reliance Home Finance, Ltd. (a)

    12,479       11,403  

Reliance Industries, Ltd. GDR (c)

    407,620         11,046,502  

Reliance Infrastructure, Ltd.

    109,073       714,926  

Rolta India, Ltd. (a)

    19,156       16,815  

Ruchi Soya Industries, Ltd. (a)

    144,973       35,453  

Sharda Cropchem, Ltd.

    10,351       60,506  

Shree Renuka Sugars, Ltd. (a)

    365,980       86,134  

Shriram Transport Finance Co., Ltd.

    38,529       850,428  

Siemens, Ltd.

    99,510       1,636,868  

Sintex Industries, Ltd.

    232,951       64,112  

Sintex Plastics Technology, Ltd. (a)

    70,273       61,953  

State Bank of India GDR

    47,464       1,832,110  

Strides Shasun, Ltd.

    10,446       107,172  

Sun Pharma Advanced Research Co., Ltd. (a)

    10,801       62,491  

Sun Pharmaceutical Industries, Ltd.

    350,345       2,659,480  

Sun TV Network, Ltd.

    32,995       429,298  

Suzlon Energy, Ltd. (a)

    1,888,700       309,852  

Symphony, Ltd.

    4,909       134,866  

Tata Communications, Ltd.

    74,138       704,929  

Tata Consultancy Services, Ltd.

    202,250       8,835,105  

Tata Elxsi, Ltd.

    12,039       181,882  

Tata Motors, Ltd. ADR (a)

    147,197       3,782,963  

Tata Power Co., Ltd.

    1,070,388       1,296,511  

Tata Steel, Ltd.

    157,422       1,378,312  

Tech Mahindra, Ltd.

    142,281       1,393,323  

UltraTech Cement, Ltd.

    7,921       479,717  

Unitech, Ltd. (a)

    534,381       45,473  

United Breweries, Ltd.

    23,285       338,395  

United Spirits, Ltd. (a)

    20,614       989,159  

UPL, Ltd.

    46,907       525,191  

Vedanta, Ltd.

    270,434       1,152,072  

Videocon Industries, Ltd. (a)

    79,375       15,882  

VST Industries, Ltd.

    8,747       393,725  

Welspun India, Ltd.

    65,871       58,628  

Wipro, Ltd. ADR (b)

    647,293       3,340,032  

Wockhardt, Ltd. (a)

    9,419       104,918  

Yes Bank, Ltd.

    164,963       771,047  

 

Security Description

 

Shares

   

Value

 

Zee Entertainment Enterprises, Ltd.

    182,093     $ 1,606,743  
   

 

 

 
        188,739,491  
   

 

 

 

INDONESIA — 2.8%

   

Alam Sutera Realty Tbk PT

    2,891,300       79,383  

Astra International Tbk PT

    9,586,488       5,083,084  

Bank Central Asia Tbk PT

    6,324,787       10,704,016  

Bank Danamon Indonesia Tbk PT

    1,938,618       968,077  

Bank Mandiri Persero Tbk PT

    9,561,898       5,330,493  

Bank Negara Indonesia Persero Tbk PT

    777,000       489,593  

Bank Rakyat Indonesia Persero Tbk PT

    23,987,325       6,272,335  

Barito Pacific Tbk PT (a)

    7,590,600       1,273,600  

Bekasi Fajar Industrial Estate Tbk PT

    1,795,600       37,562  

Bumi Resources Tbk PT (a)

    1,115,100       23,165  

Bumi Serpong Damai Tbk PT

    1,521,500       196,715  

Charoen Pokphand Indonesia Tbk PT

    1,679,000       420,741  

Ciputra Development Tbk PT

    2,385,452       203,589  

Citra Marga Nusaphala Persada Tbk PT (a)

    649,241       68,378  

Garuda Indonesia Persero Tbk PT (a)

    5,113,400       109,195  

Global Mediacom Tbk PT

    254,300       9,882  

Indocement Tunggal Prakarsa Tbk PT

    210,800       244,983  

Indofood Sukses Makmur Tbk PT

    4,206,551       2,199,903  

Indosat Tbk PT

    1,010,300       348,569  

Japfa Comfeed Indonesia Tbk PT

    434,500       46,709  

Kalbe Farma Tbk PT

    21,085,367       2,297,298  

Kawasan Industri Jababeka Tbk PT

    1,982,631       37,730  

Lippo Cikarang Tbk PT (a)

    80,700       18,171  

Lippo Karawaci Tbk PT

    4,940,000       172,232  

Matahari Putra Prima Tbk PT (a)

    254,500       7,394  

Mayora Indah Tbk PT

    3,540,575       758,649  

Medco Energi Internasional Tbk PT (a)

    12,259,066       1,077,426  

Media Nusantara Citra Tbk PT

    337,100       34,647  

Modernland Realty Tbk PT

    3,087,400       78,040  

Pakuwon Jati Tbk PT

    2,176,000       99,574  

Perusahaan Gas Negara Persero Tbk

    5,781,900       965,925  

Semen Indonesia Persero Tbk PT

    339,900       255,527  

Sigmagold Inti Perkasa Tbk PT (a) (e)

    1,312,600       4,767  

Summarecon Agung Tbk PT

    1,684,100       110,703  

Telekomunikasi Indonesia Persero Tbk PT

    14,653,100       3,831,571  

Tiga Pilar Sejahtera Food Tbk (a)

    2,375,800       110,442  

Unilever Indonesia Tbk PT

    253,500       911,900  
 

 

80


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

United Tractors Tbk PT

    1,031,115     $ 2,396,635  

XL Axiata Tbk PT (a)

    305,125       55,850  
   

 

 

 
        47,334,453  
   

 

 

 

MACAU — 0.0% (f)

   

Newtree Group Holdings, Ltd. (a)

    35,000       2,141  
   

 

 

 

MALAYSIA — 2.6%

   

Aeon Co. M Bhd

    3,175,490       1,469,526  

AEON Credit Service M Bhd

    49,350       156,930  

AirAsia Bhd

    486,900       498,481  

Alliance Bank Malaysia Bhd

    1,875,800       2,070,751  

Axiata Group Bhd

    580,199       818,999  

Berjaya Sports Toto Bhd

    919,314       513,371  

Bintulu Port Holdings Bhd (e)

    94       143  

British American Tobacco Malaysia Bhd

    7,200       48,955  

Bursa Malaysia Bhd

    391,893       1,110,431  

Capitaland Malaysia Mall Trust REIT

    591,800       163,709  

Carlsberg Brewery Malaysia Bhd Class B

    967,976       4,719,759  

CIMB Group Holdings Bhd

    562,980       1,042,124  

Dialog Group Bhd

    6,655,067       5,092,812  

DiGi.Com Bhd

    2,435,400       2,915,176  

Felda Global Ventures Holdings Bhd

    156,500       67,164  

Genting Bhd

    1,469,000       3,304,111  

Genting Malaysia Bhd

    264,800       332,027  

Guan Chong Bhd

    369,000       129,741  

Hap Seng Plantations Holdings Bhd

    26,500       17,059  

IHH Healthcare Bhd

    371,900       576,887  

IOI Corp. Bhd

    2,331,360       2,881,050  

IOI Properties Group Bhd

    1,775,162       738,886  

Iskandar Waterfront City Bhd (a)

    133,000       38,511  

KLCCP Stapled Group

    257,600       475,508  

KNM Group Bhd (a)

    1,884,021       102,287  

KPJ Healthcare Bhd

    660,880       152,918  

Lingkaran Trans Kota Holdings Bhd

    168,400       243,806  

Magnum Bhd

    1,405,760       665,083  

Malayan Banking Bhd

    1,123,449       3,055,502  

Malaysian Resources Corp. Bhd

    3,492,100       875,733  

MPHB Capital Bhd (a)

    676,630       223,911  

Naim Holdings Bhd (a)

    87       22  

OSK Holdings Bhd

    4,079,359       1,033,550  

Pavilion Real Estate Investment Trust

    572,500       204,253  

Petronas Chemicals Group Bhd

    99,100       208,807  

Pos Malaysia Bhd

    452,600       418,901  

Public Bank Bhd

    412,100       2,556,980  

Sapura Energy Bhd

    205,600       26,843  

Sime Darby Bhd

    442,924       300,016  

Sime Darby Plantation Bhd (a)

    218,024       310,013  

Sime Darby Property Bhd (a)

    218,024       80,040  

SP Setia Bhd Group

    136,120       105,222  

Sunway Real Estate Investment Trust

    611,600       254,570  

 

Security Description

 

Shares

   

Value

 

TA Enterprise Bhd

    2,402,900     $ 329,249  

TA Global Bhd

    1,663,956       124,754  

Telekom Malaysia Bhd

    309,027       416,244  

Tenaga Nasional Bhd

    421,800       1,762,225  

UEM Edgenta Bhd

    295,000       176,939  

UEM Sunrise Bhd (a)

    1,937,488       498,397  

UMW Holdings Bhd (a)

    128,500       199,992  

UMW Oil & Gas Corp. Bhd (a)

    38,463       3,083  

Unisem M Bhd

    121,900       77,212  

United Plantations Bhd

    37,500       276,112  

VS Industry Bhd

    635,000       385,794  

WCT Holdings Bhd (a)

    3,516,796       1,209,240  
   

 

 

 
        45,459,809  
   

 

 

 

MEXICO — 3.5%

   

Alfa SAB de CV Class A

    1,846,449       2,355,921  

America Movil SAB de CV Series L

    10,502,722       9,925,327  

Axtel SAB de CV (a) (b)

    746,786       167,330  

Cemex SAB de CV Series CPO (a)

    5,432,086       3,580,025  

Coca-Cola Femsa SAB de CV Series L

    273,010       1,798,230  

Consorcio ARA SAB de CV

    742,015       290,651  

Desarrolladora Homex SAB de CV (a)

    15,435       307  

El Puerto de Liverpool SAB de CV Series C1 (b)

    154,568       1,147,394  

Fibra Uno Administracion SA de CV REIT

    635,544       952,611  

Fomento Economico Mexicano SAB de CV

    906,720       8,236,903  

Grupo Aeroportuario del Sureste SAB de CV Class B (b)

    200,672       3,368,664  

Grupo Bimbo SAB de CV Series A

    1,269,240       2,766,065  

Grupo Elektra SAB DE CV (b)

    23,044       643,947  

Grupo Financiero Banorte SAB de CV Series O

    714,480       4,349,860  

Grupo Financiero Inbursa SAB de CV Series O (b)

    572,729       944,116  

Grupo Mexico SAB de CV Series B

    1,413,616       4,689,207  

Grupo Televisa SAB Series CPO (b)

    849,334       2,690,826  

Impulsora del Desarrollo y el Empleo en America Latina SAB de CV (a)

    731,174       1,291,827  

Industrias CH SAB de CV Series B (b)

    198,464       831,976  

Industrias Penoles SAB de CV

    68,793       1,384,114  

Kimberly-Clark de Mexico SAB de CV Class A (b)

    1,130,769       2,108,712  

Sare Holding SAB de CV Class B (a)

    832,296       2,143  

Telesites SAB de CV (a) (b)

    529,902       414,260  

TV Azteca SAB de CV Series CPO (b)

    1,707,097       242,221  
 

 

81


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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Urbi Desarrollos Urbanos SAB de CV (a)

    255,403     $ 93,467  

Wal-Mart de Mexico SAB de CV

    2,207,718       5,595,038  
   

 

 

 
      59,871,142  
   

 

 

 

MONACO — 0.0%(f)

   

GasLog, Ltd. (b)

    7,530       123,868  
   

 

 

 

NETHERLANDS — 0.0% (f)

   

VEON, Ltd. ADR (b)

    170,558       450,273  
   

 

 

 

PERU — 0.9%

   

Cia de Minas Buenaventura SAA
ADR (g)

    141,913       2,161,335  

Cia de Minas Buenaventura SAA
ADR (g)

    5,932       86,963  

Credicorp, Ltd.

    30,548       6,935,618  

Southern Copper Corp. (b) (g)

    94,102       5,098,446  

Southern Copper Corp. (g)

    4,688       245,417  

Volcan Cia Minera SAA Class B

    2,087,904       776,425  
   

 

 

 
        15,304,204  
   

 

 

 

PHILIPPINES — 1.4%

   

Alliance Global Group, Inc. (a)

    923,700       233,680  

Ayala Land, Inc.

    5,944,680       4,682,600  

Bank of the Philippine Islands

    2,142,557       4,804,354  

BDO Unibank, Inc.

    1,580,246       4,209,749  

Bloomberry Resorts Corp. (a)

    354,600       97,455  

Cebu Air, Inc.

    643,960       1,167,527  

Cebu Holdings, Inc.

    3,182,300       363,500  

D&L Industries, Inc.

    972,100       215,370  

DoubleDragon Properties Corp. (a)

    651,750       398,463  

East West Banking Corp.

    537,600       194,732  

Filinvest Land, Inc.

    27,294,000       863,113  

First Philippine Holdings Corp.

    180,390       228,178  

Global Ferronickel Holdings, Inc. (a)

    812,333       37,676  

GMA Holdings, Inc.

    1,547,500       182,399  

GT Capital Holdings, Inc.

    4,390       98,355  

JG Summit Holdings, Inc.

    215,270       258,683  

Megawide Construction Corp. (a)

    2,065,388       809,490  

Megaworld Corp.

    3,027,500       272,128  

Nickel Asia Corp.

    258,000       30,162  

PLDT, Inc.

    45,965       1,294,975  

Puregold Price Club, Inc.

    140,350       141,083  

San Miguel Corp.

    61,780       158,661  

SM Investments Corp.

    73,910       1,298,941  

SM Prime Holdings, Inc.

    1,374,290       887,616  

Top Frontier Investment Holdings, Inc. (a)

    8,171       43,222  

Universal Robina Corp.

    102,860       299,645  

Vista Land & Lifescapes, Inc.

    478,878       59,656  
   

 

 

 
        23,331,413  
   

 

 

 

POLAND — 1.1%

   

Asseco Poland SA

    38,361       503,969  

Bank Pekao SA

    70,023       2,520,607  

Bank Zachodni WBK SA

    10,484       1,108,605  

 

Security Description

 

Shares

   

Value

 

Bioton SA (a)

    450     $ 562  

Eurocash SA

    3,544       24,314  

Getin Holding SA (a)

    137,432       46,141  

Getin Noble Bank SA (a)

    127,468       50,239  

Globe Trade Centre SA

    118,981       317,487  

Grupa Lotos SA

    74,414       1,147,070  

KGHM Polska Miedz SA

    74,947       1,899,658  

LPP SA

    73       185,414  

mBank SA (a)

    11,403       1,394,207  

Orange Polska SA (a)

    459,047       777,296  

Orbis SA

    36,026       1,020,209  

PGE Polska Grupa Energetyczna SA (a)

    261,211       755,730  

Polimex-Mostostal SA (a)

    6,647       7,568  

Polski Koncern Naftowy ORLEN SA

    99,179       2,435,681  

Powszechna Kasa Oszczednosci Bank Polski SA (a)

    207,615       2,451,158  

Powszechny Zaklad Ubezpieczen SA

    133,505       1,627,254  
   

 

 

 
        18,273,169  
   

 

 

 

QATAR — 0.5%

   

Aamal Co.

    16,876       44,854  

Industries Qatar QSC

    19,810       571,672  

Mannai Corp. QSC

    12,637       195,003  

Masraf Al Rayan QSC

    141,147       1,369,614  

Mazaya Qatar Real Estate Development QSC (a)

    76,961       154,683  

Medicare Group

    10,167       191,448  

National Leasing

    113,412       320,431  

Ooredoo QSC

    36,182       819,807  

Qatar Electricity & Water Co. QSC

    3,294       170,036  

Qatar Insurance Co. SAQ

    39,528       407,002  

Qatar National Bank QPSC

    86,990       3,105,080  

Qatari Investors Group QSC

    36,186       336,623  

Vodafone Qatar QSC (a)

    140,523       335,295  
   

 

 

 
      8,021,548  
   

 

 

 

RUSSIA — 4.3%

   

Evraz PLC

    86,517       527,336  

Gazprom PJSC ADR

    2,193,337       10,672,778  

LSR Group PJSC, GDR

    52,305       167,376  

LUKOIL PJSC ADR

    178,836       12,321,800  

Magnit PJSC GDR

    61,320       1,130,434  

Mail.Ru Group, Ltd. GDR (a)

    15,391       538,377  

Mechel PJSC ADR (a) (b)

    65,827       286,347  

MMC Norilsk Nickel PJSC ADR

    261,828       4,852,982  

Mobile TeleSystems PJSC ADR

    333,223       3,795,410  

Novatek PJSC, GDR

    34,583       4,737,871  

Novolipetsk Steel PJSC, GDR

    14,092       350,891  

Novorossiysk Commercial Sea Port PJSC, GDR

    21,999       222,190  

Polymetal International PLC

    47,667       490,806  

Rosneft Oil Co. PJSC GDR

    536,165       2,939,257  

Rostelecom PJSC ADR

    39,641       275,505  
 

 

82


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sberbank of Russia PJSC ADR (g)

    339,107     $ 6,317,563  

Sberbank of Russia PJSC ADR (g)

    355,019       6,621,104  

Severstal PJSC GDR

    200,690       3,028,412  

Sistema PJSC FC GDR

    57,924       234,013  

Surgutneftegas OJSC ADR

    774,602       3,787,804  

Tatneft PJSC ADR (b)

    101,618       6,414,128  

Tatneft PJSC ADR

    12,997       834,797  

TMK PJSC, GDR

    19,817       111,768  

VTB Bank PJSC GDR

    882,251       1,727,448  

X5 Retail Group NV GDR (a)

    16,097       540,859  

Yandex NV Class A (a)

    44,271       1,746,491  
   

 

 

 
        74,673,747  
   

 

 

 

SOUTH AFRICA — 7.4%

   

Adbee Rf, Ltd. (a)

    6,985       33,013  

Adcock Ingram Holdings, Ltd.

    38,881       232,589  

Adcorp Holdings, Ltd.

    224,685       319,523  

African Phoenix Investments, Ltd. (a)

    992,463       52,769  

African Rainbow Minerals, Ltd.

    47,936       410,230  

Allied Electronics Corp., Ltd. (a)

    52,875       57,611  

Anglo American Platinum, Ltd.

    13,164       359,965  

AngloGold Ashanti, Ltd.

    115,380       1,095,690  

ArcelorMittal South Africa, Ltd. (a)

    69,157       15,467  

Aspen Pharmacare Holdings, Ltd.

    114,912       2,516,305  

Aveng, Ltd. (a)

    258,482       21,815  

Barclays Africa Group, Ltd.

    155,386       2,487,750  

Barloworld, Ltd.

    110,593       1,549,959  

Bid Corp., Ltd.

    44,379       965,392  

Bidvest Group, Ltd.

    162,114       3,066,125  

Coronation Fund Managers, Ltd.

    233,603       1,591,822  

Discovery, Ltd. (b)

    159,279       2,291,978  

FirstRand, Ltd. (b)

    1,226,187       6,923,254  

Foschini Group, Ltd.

    106,258       2,006,560  

Gold Fields, Ltd.

    257,153       1,041,308  

Grindrod, Ltd. (a)

    435,088       505,269  

Group Five, Ltd.

    123,607       82,413  

Growthpoint Properties, Ltd. REIT

    355,773       853,045  

Harmony Gold Mining Co., Ltd.

    104,139       247,235  

Impala Platinum Holdings, Ltd. (a) (b)

    184,859       367,261  

Imperial Holdings, Ltd. (b)

    85,414       1,681,428  

Investec, Ltd.

    94,269       734,182  

Invicta Holdings, Ltd.

    176,388       751,775  

Kumba Iron Ore, Ltd. (b)

    18,427       440,195  

Lewis Group, Ltd.

    111,717       397,886  

Massmart Holdings, Ltd.

    72,736       994,470  

Mediclinic International PLC

    56,687       479,139  

MMI Holdings, Ltd.

    413,625       767,294  

Mr. Price Group, Ltd.

    75,815       1,823,591  

MTN Group, Ltd. (b)

    468,396       4,705,010  

Murray & Roberts Holdings, Ltd.

    309,656       360,650  

 

Security Description

 

Shares

   

Value

 

Naspers, Ltd. Class N

    134,550     $ 32,838,660  

Nedbank Group, Ltd.

    125,690       3,028,971  

Netcare, Ltd.

    973,029       2,299,383  

Northam Platinum, Ltd. (a)

    130,118       399,071  

PPC, Ltd. (a)

    222,514       147,419  

PSG Group, Ltd.

    105,724       2,008,254  

Rand Merchant Investment Holdings, Ltd.

    516,261       1,742,837  

Remgro, Ltd.

    219,572       4,113,935  

RMB Holdings, Ltd.

    418,339       2,723,904  

Sanlam, Ltd.

    658,712       4,742,115  

Sappi, Ltd.

    131,336       844,629  

Sasol, Ltd.

    154,619       5,261,907  

Shoprite Holdings, Ltd.

    220,524       4,700,914  

Sibanye Gold, Ltd.

    395,177       392,551  

Standard Bank Group, Ltd.

    423,815       7,821,911  

Steinhoff International Holdings NV (b)

    946,432       263,591  

Sun International, Ltd. (a)

    76,897       371,546  

Telkom SA SOC, Ltd.

    124,491       556,224  

Tiger Brands, Ltd.

    90,899       2,853,839  

Trans Hex Group, Ltd. (a)

    9,341       1,340  

Truworths International, Ltd. (b)

    184,256       1,672,164  

Vodacom Group, Ltd.

    162,909       2,104,566  

Wilson Bayly Holmes-Ovcon, Ltd.

    107,095       1,401,059  

Woolworths Holdings, Ltd.

    379,303       1,920,724  
   

 

 

 
        126,441,482  
   

 

 

 

TAIWAN — 13.8%

   

Acer, Inc. (a)

    1,303,701       1,082,058  

Adlink Technology, Inc.

    367,665       766,678  

Advanced Ceramic X Corp.

    4,000       37,178  

Advanced Semiconductor Engineering, Inc.

    2,698,117       3,900,457  

Advanced Wireless Semiconductor Co.

    13,000       27,599  

Advancetek Enterprise Co., Ltd.

    1,342,996       912,005  

Advantech Co., Ltd.

    5,499       39,417  

AGV Products Corp. (a)

    2,226,415       568,115  

Airmate Cayman International Co., Ltd.

    11,000       8,941  

APCB, Inc.

    441,000       390,982  

Asustek Computer, Inc.

    368,340       3,429,856  

AU Optronics Corp. ADR (b)

    474,276       2,167,441  

Audix Corp.

    377,600       562,703  

Bank of Kaohsiung Co., Ltd.

    813,390       259,720  

Basso Industry Corp.

    1,262,900       2,252,317  

Biostar Microtech International Corp. (a)

    856,000       688,452  

C Sun Manufacturing, Ltd. (a)

    439,000       400,501  

Carnival Industrial Corp. (a)

    841,000       131,528  

Catcher Technology Co., Ltd.

    370,000       4,587,406  

Cathay Financial Holding Co., Ltd.

    2,225,541       3,953,871  

Cathay No. 1 REIT

    490,000       231,245  

Center Laboratories, Inc. (a)

    386,961       812,224  

Chailease Holding Co., Ltd.

    367,608       1,260,788  
 

 

83


Table of Contents

SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Champion Building Materials Co., Ltd. (a)

    490,000     $ 139,486  

Chang Hwa Commercial Bank, Ltd.

    3,903,465       2,255,835  

Chang Wah Electromaterials, Inc.

    7,431       38,102  

Charoen Pokphand Enterprise

    2,165,060       4,856,293  

Chen Full International Co., Ltd.

    12,000       18,500  

Cheng Loong Corp.

    365,000       203,425  

Cheng Shin Rubber Industry Co., Ltd.

    68,850       111,810  

China Airlines, Ltd. (a)

    881,000       321,797  

China Chemical & Pharmaceutical Co., Ltd.

    810,000       550,057  

China Development Financial Holding Corp.

    5,529,945       1,953,508  

China Steel Chemical Corp.

    373,595       1,947,609  

China Steel Corp.

    3,535,451       2,813,131  

Chipbond Technology Corp.

    66,000       155,057  

Chong Hong Construction Co., Ltd.

    7,717       22,365  

Chung Hwa Pulp Corp.

    882,794       346,675  

Chunghwa Chemical Synthesis & Biotech Co., Ltd.

    370,000       341,993  

Chunghwa Telecom Co., Ltd.

    1,252,457       4,789,552  

CMC Magnetics Corp. (a)

    904,933       141,837  

Coland Holdings, Ltd.

    11,938       19,448  

Compal Electronics, Inc.

    2,220,774       1,511,896  

Coxon Precise Industrial Co., Ltd. (a)

    10,000       10,100  

CTBC Financial Holding Co., Ltd.

    6,193,527       4,439,576  

Da-Li Development Co., Ltd.

    511,444       617,444  

Delta Electronics, Inc.

    886,167       3,951,082  

Dimerco Express Corp.

    1,267,000       925,579  

E.Sun Financial Holding Co., Ltd.

    849,687       571,179  

Eclat Textile Co., Ltd.

    8,854       103,247  

Elan Microelectronics Corp.

    2,000       3,035  

Elite Advanced Laser Corp.

    11,520       44,054  

Elite Material Co., Ltd.

    13,000       42,669  

Elite Semiconductor Memory Technology, Inc.

    814,750       1,243,488  

Episil-Precision, Inc. (a)

    998       1,244  

Epistar Corp. (a)

    366,180       523,078  

Etron Technology, Inc. (a)

    12,445       5,122  

Eva Airways Corp.

    503,291       258,058  

Excelsior Medical Co., Ltd.

    72,344       119,965  

Far Eastern New Century Corp.

    2,582,850       2,325,336  

Feng TAY Enterprise Co., Ltd.

    15,747       71,560  

Flytech Technology Co., Ltd.

    8,854       24,384  

Formosa Chemicals & Fibre Corp.

    1,262,243       4,718,746  

Formosa Petrochemical Corp.

    59,000       239,788  

Formosa Plastics Corp.

    1,785,714       6,308,212  

Founding Construction & Development Co., Ltd.

    1,834,677       1,006,785  

Foxconn Technology Co., Ltd.

    508,223       1,361,327  

Security Description

 

Shares

   

Value

 

Fubon Financial Holding Co., Ltd.

    3,019,903     $ 5,189,050  

Fullerton Technology Co., Ltd.

    363,000       303,776  

Fwusow Industry Co., Ltd.

    885,383       560,254  

Giant Manufacturing Co., Ltd.

    72,302       379,401  

Grape King Bio, Ltd.

    73,664       646,774  

Great Wall Enterprise Co., Ltd.

    365,300       432,867  

HannStar Display Corp.

    483,500       166,656  

Himax Technologies, Inc. ADR (b)

    22,907       141,107  

Hiwin Technologies Corp.

    9,548       135,899  

Hocheng Corp. (a)

    1,322,000       431,644  

Hon Hai Precision Industry Co., Ltd.

    4,781,495       14,759,219  

Hong TAI Electric Industrial

    876,000       345,509  

Hota Industrial Manufacturing Co., Ltd.

    9,574       40,717  

Hotai Motor Co., Ltd.

    72,433       721,672  

HTC Corp. (a)

    436,198       991,869  

Hua Nan Financial Holdings Co., Ltd.

    3,940,683       2,365,194  

Hung Sheng Construction, Ltd.

    446,000       465,014  

Ibase Technology, Inc.

    823,222       1,291,711  

Innolux Corp.

    1,766,820       772,609  

Iron Force Industrial Co., Ltd.

    6,000       20,311  

Janfusun Fancyworld Corp. (a)

    886,112       68,380  

KEE TAI Properties Co., Ltd.

    422,000       148,352  

Kenda Rubber Industrial Co., Ltd.

    4,766       5,991  

Kerry TJ Logistics Co., Ltd.

    435,000       564,693  

Kindom Construction Corp.

    371,000       260,846  

Kung Long Batteries Industrial Co., Ltd.

    9,000       44,912  

Kuoyang Construction Co., Ltd. (a)

    363,225       206,173  

Kwong Fong Industries Corp.

    55,776       31,659  

Land Mark Optoelectronics Corp.

    2,600       33,886  

Largan Precision Co., Ltd.

    6,000       682,169  

Leofoo Development Co., Ltd. (a)

    879,645       224,761  

Li Cheng Enterprise Co., Ltd.

    9,225       15,788  

Lite-On Technology Corp.

    1,263,265       1,763,380  

Long Bon International Co., Ltd.

    11,000       5,319  

Long Chen Paper Co., Ltd.

    6,595,165       7,419,193  

Makalot Industrial Co., Ltd.

    4,139       19,519  

MediaTek, Inc.

    435,329       4,942,000  

Medigen Biotechnology Corp. (a)

    5,248       7,020  

Mega Financial Holding Co., Ltd.

    2,649,333       2,276,153  

Merida Industry Co., Ltd.

    2,100       9,867  

Merry Electronics Co., Ltd.

    13,356       76,498  

Mosel Vitelic, Inc. (a)

    759       725  

Namchow Holdings Co., Ltd.

    434,000       902,027  

Nan Ya Plastics Corp.

    1,777,486       4,986,739  

Nanya Technology Corp.

    3,982       12,605  

National Petroleum Co., Ltd.

    2,140,003       2,979,872  

Neo Solar Power Corp. (a)

    63,938       28,398  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

New Era Electronics Co., Ltd.

    70,000     $ 43,935  

Newmax Technology Co., Ltd. (a)

    67,185       98,046  

Nexcom International Co., Ltd.

    452,638       449,424  

Novatek Microelectronics Corp.

    354,225       1,603,653  

OBI Pharma, Inc. (a)

    3,000       18,829  

Pacific Hospital Supply Co., Ltd.

    68,000       176,081  

Pan Jit International, Inc.

    9,000       14,924  

Parade Technologies, Ltd.

    4,000       77,923  

PChome Online, Inc.

    3,519       19,431  

Pegatron Corp.

    436,686       1,087,334  

Phytohealth Corp. (a)

    9,000       7,562  

Pihsiang Machinery Manufacturing Co., Ltd. (a) (d)

    51,000        

Pou Chen Corp.

    1,584,462       2,103,052  

Powertech Technology, Inc.

    448,285       1,397,575  

Promate Electronic Co., Ltd.

    438,000       430,384  

ProMOS Technologies, Inc. (a) (d)

    257        

Quanta Computer, Inc.

    1,696,664       3,421,609  

Radiant Opto-Electronics Corp.

    14,000       34,331  

Sampo Corp.

    1,503,000       719,102  

Sesoda Corp.

    520,574       533,840  

Shih Wei Navigation Co., Ltd. (a)

    870,321       217,304  

Shin Kong Financial Holding Co., Ltd.

    2,137,663       810,137  

Silicon Motion Technology Corp. ADR

    6,261       301,279  

Siliconware Precision Industries Co., Ltd.

    875,473       1,528,332  

Sinbon Electronics Co., Ltd.

    456,068       1,198,162  

Sinon Corp.

    877,000       515,847  

SinoPac Financial Holdings Co., Ltd.

    5,683,907       2,007,897  

Sinphar Pharmaceutical Co., Ltd.

    501,524       409,379  

Solar Applied Materials Technology Co. (a)

    696,418       517,113  

Solartech Energy Corp. (a)

    10,041       4,684  

Stark Technology, Inc.

    403,400       506,377  

Supreme Electronics Co., Ltd.

    1,253,818       1,369,623  

Ta Ya Electric Wire & Cable (a)

    2,654,000       1,365,367  

Tainan Enterprises Co., Ltd.

    373,000       299,991  

Taishin Financial Holding Co., Ltd.

    5,242,615       2,571,231  

Taisun Enterprise Co., Ltd. (a)

    957,000       564,544  

Taiwan Cement Corp.

    2,138,533         2,680,776  

Taiwan Chinsan Electronic Industrial Co., Ltd.

    75,000       168,999  

Taiwan Cogeneration Corp.

    375,000       347,901  

Taiwan Fire & Marine Insurance Co., Ltd.

    69,000       48,868  

Taiwan FU Hsing Industrial Co., Ltd.

    367,000       463,203  

Taiwan Land Development Corp. (a)

    1,353,750       445,261  

 

Security Description

 

Shares

   

Value

 

Taiwan Mobile Co., Ltd.

    4,000     $ 14,954  

Taiwan Paiho, Ltd.

    377,433       1,049,827  

Taiwan Pulp & Paper Corp. (a)

    2,185,000       1,363,892  

Taiwan Sakura Corp.

    463,200       606,066  

Taiwan Semiconductor Manufacturing Co., Ltd. ADR

    173,372       7,586,759  

Taiwan Semiconductor Manufacturing Co., Ltd.

    4,822,500       40,357,033  

Taiwan TEA Corp.

    814,913       410,852  

Taiwan Union Technology Corp.

    884,000       2,792,345  

Taiyen Biotech Co., Ltd.

    428,500       414,436  

Tatung Co., Ltd. (a)

    1,240,885       897,989  

TPK Holding Co., Ltd. (a)

    8,000       19,865  

Transasia Airways Corp. (a) (d)

    361,784        

Tripod Technology Corp.

    448,320       1,508,392  

TrueLight Corp.

    9,100       9,426  

Tung Thih Electronic Co., Ltd.

    5,000       21,350  

Uni-President Enterprises Corp.

    877,993       2,056,690  

United Microelectronics Corp. ADR (b)

    1,735,440       4,494,790  

Unity Opto Technology Co., Ltd. (a)

    12,759       4,249  

Ve Wong Corp.

    436,000       393,278  

Visual Photonics Epitaxy Co., Ltd.

    491,151       1,895,068  

Wei Chuan Foods Corp. (a)

    362,000       300,456  

Wei Mon Industry Co., Ltd. (a) (d)

    240,450        

Weikeng Industrial Co., Ltd.

    448,526       337,660  

Winbond Electronics Corp.

    381,670       255,913  

Wistron Corp.

    1,261,911       1,079,833  

Yulon Finance Corp.

    9,000       37,504  

Zeng Hsing Industrial Co., Ltd.

    70,350       316,077  

Zenitron Corp.

    894,000       702,150  
   

 

 

 
        237,309,258  
   

 

 

 

THAILAND — 3.3%

   

Advanced Info Service PCL (e)

    741,515       4,884,940  

Airports of Thailand PCL (e)

    1,180,300       2,491,199  

Bangkok Dusit Medical Services PCL (e)

    345,900       259,950  

Bangkok Expressway & Metro PCL (e)

    21,690,908       4,994,389  

Bangkok Land PCL (e)

    4,705,600       276,889  

Bank of Ayudhya PCL

    154,000       200,688  

Banpu PCL (e)

    1,475,860       934,507  

BEC World PCL (e)

    177,400       71,482  

BTS Group Holdings PCL (e)

    220,500       58,527  

Bumrungrad Hospital PCL (e)

    45,500       301,199  

Central Pattana PCL (e)

    352,000       883,658  

Central Plaza Hotel PCL (e)

    262,700       403,249  

CH Karnchang PCL (e)

    44,248       33,253  

Charoen Pokphand Foods PCL (e)

    132,300       106,830  

CP ALL PCL (e)

    1,226,600       3,412,670  

Electricity Generating PCL (e)

    532,374       3,898,741  

IRPC PCL (e)

    6,117,858       1,418,435  

Jasmine International PCL (e)

    1,848,141       363,482  

Kasikornbank PCL (e)

    393,600       2,681,062  
 

 

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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Krung Thai Bank PCL (e)

    305,100     $ 185,382  

Land & Houses PCL (e)

    472,400       158,625  

Minor International PCL (e)

    50,728       61,646  

Pruksa Holding PCL (e)

    176,900       122,761  

PTT Exploration & Production PCL (e)

    773,530       2,832,401  

PTT Global Chemical PCL (e)

    139,500       422,693  

PTT PCL (e)

    391,936       6,868,594  

Quality Houses PCL (e)

    1,645,383       153,646  

Sansiri PCL (e)

    1,715,233       91,055  

Siam Cement PCL (e)

    264,723       4,182,065  

Siam Commercial Bank PCL (e)

    788,802       3,569,411  

Siam Future Development PCL (e)

    1,192,513       343,224  

Tesco Lotus Retail Growth Freehold & Leasehold Property Fund

    581,066       332,622  

Thai Airways International PCL (a) (e)

    434,400       212,546  

Thai Beverage PCL (b)

    2,683,200       1,596,047  

Thai Oil PCL (e)

    749,995       2,176,592  

Thaicom PCL (e)

    265,600       101,076  

TICON Industrial Connection PCL (e)

    781,880       442,574  

Tisco Financial Group PCL NVDR

    43,000       121,011  

Tisco Financial Group PCL (e)

    926,818       2,608,250  

TMB Bank PCL (e)

    30,573,517       2,463,872  

Total Access Communication PCL (a) (e)

    45,000       64,759  

True Corp. PCL (e)

    3,402,510       756,234  

TTCL PCL (e)

    44,800       11,318  

U City PCL (a) (e)

    55,879,500       53,610  
   

 

 

 
        57,607,164  
   

 

 

 

TURKEY — 1.2%

   

Akbank Turk A/S

    692,084       1,670,198  

Anadolu Efes Biracilik Ve Malt Sanayii A/S

    148,745       1,016,816  

Aselsan Elektronik Sanayi Ve Ticaret A/S

    41,070       318,284  

BIM Birlesik Magazalar A/S

    27,110       488,287  

Coca-Cola Icecek A/S

    3,094       28,149  

Dogan Sirketler Grubu Holding A/S (a)

    987,767       331,633  

Eregli Demir ve Celik Fabrikalari TAS

    1,023,388       2,686,736  

Haci Omer Sabanci Holding A/S

    369,181       976,679  

KOC Holding A/S

    554,111       2,277,207  

Migros Ticaret A/S (a)

    5,749       34,395  

Tupras Turkiye Petrol Rafinerileri A/S

    75,703       2,100,207  

Turk Hava Yollari AO (a)

    181,733       890,452  

Turkcell Iletisim Hizmetleri A/S

    318,212       1,209,742  

Turkiye Garanti Bankasi A/S

    1,373,113       3,778,192  

Turkiye Halk Bankasi A/S

    70,846       161,851  

Turkiye Is Bankasi A/S Class C

    864,515       1,556,013  

Turkiye Vakiflar Bankasi TAO

    120,800       198,213  

Ulker Biskuvi Sanayi A/S

    191,006       1,058,841  

 

Security Description

 

Shares

   

Value

 

Yapi ve Kredi Bankasi A/S (a)

    556,141     $ 624,735  
   

 

 

 
      21,406,630  
   

 

 

 

UNITED ARAB EMIRATES — 0.6%

 

 

Abu Dhabi Commercial Bank PJSC

    624,100       1,121,443  

Agthia Group PJSC

    35,863       42,961  

Air Arabia PJSC

    1,441,800       447,496  

Ajman Bank PJSC (e)

    595,778       164,638  

Al Waha Capital PJSC

    266,355       158,087  

Aldar Properties PJSC

    1,209,581       701,445  

Arabtec Holding PJSC (a)

    188,641       114,530  

Bank of Sharjah

    230,323       68,978  

DAMAC Properties Dubai Co. PJSC

    1,002,468       816,058  

Depa, Ltd.

    120,293       48,799  

Deyaar Development PJSC (a)

    898,807       116,480  

DP World, Ltd.

    49,386       1,111,185  

Dubai Financial Market PJSC (a)

    541,753       153,396  

Dubai Investments PJSC

    487,034       277,131  

Emaar Malls PJSC

    289,046       169,194  

Emaar Properties PJSC

    1,044,471       1,649,314  

Eshraq Properties Co. PJSC (a)

    690,450       135,345  

First Abu Dhabi Bank PJSC

    522,475       1,664,296  

Gulf General Investment Co. (a) (e)

    469,156       42,023  

Gulf Pharmaceutical Industries PSC

    81,964       51,325  

Invest bank PSC

    59,153       38,652  

National Central Cooling Co. PJSC

    1,087,135       458,769  

Orascom Construction, Ltd. (a)

    3,310       28,764  

RAK Properties PJSC

    1,071,683       198,406  

Ras Al Khaimah Ceramics

    86,729       59,031  

SHUAA Capital PSC (a)

    1,498,243       428,303  

Union National Bank PJSC

    225,268       217,724  

Union Properties PJSC (a)

    426,038       100,797  
   

 

 

 
      10,584,570  
   

 

 

 

UNITED KINGDOM — 0.0% (f)

   

Tiso Blackstar Group SE

    871       379  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $1,626,921,680)

      1,707,282,245  
   

 

 

 

PREFERRED STOCKS — 0.0% (f)

   

SOUTH AFRICA — 0.0% (f)

   

Zambezi Platinum RF, Ltd.
Preference Shares
(Cost $148,254)

    33,422       169,271  
   

 

 

 

WARRANTS — 0.0% (f)

   

INDONESIA — 0.0% (f)

   

Medco Energi Internasional Tbk
PT (expiring 12/11/20) (a)

    1,696,566       77,635  
   

 

 

 
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

 

Value

 

MALAYSIA — 0.0% (f)

   

Malaysian Resources Corp. Bhd
(expiring 10/29/27) (a)

  179,301   $ 15,529  
   

 

 

 

SOUTH AFRICA — 0.0% (f)

   

Adcock Ingram Holdings, Ltd.
(expiring 7/26/19) (a)

  335     226  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      93,390  
   

 

 

 

RIGHTS — 0.0% (f)

   

BRAZIL — 0.0% (f)

   

PDG Realty SA
Empreendimentos e Participacoes (expiring
4/30/18) (a)
(Cost $0)

  3,501     32  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.5%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

  4,427,757     4,427,757  

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

  37,930,341     37,930,341  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS (Cost $42,358,098)

    42,358,098  
   

 

 

 

TOTAL INVESTMENTS — 101.8%
(Cost $1,669,428,032)

    1,749,903,036  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER
ASSETS — (1.8)%

    (30,253,971
   

 

 

 

NET ASSETS — 100.0%

    $     1,719,649,065  
   

 

 

 
(a) Non-income producing security.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.9% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $33,405, representing less than 0.05% of the Fund’s net assets.
(e) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $56,299,184 representing 3.3% of net assets.
(f) Amount is less than 0.05% of net assets.
(g) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.

ADR = American Depositary Receipt

ADS = American Depositary Shares

GDR = Global Depositary Receipt

NVDR = Non Voting Depositary Receipt

REIC = Real Estate Investment Company

REIT = Real Estate Investment Trust

 

 

At March 31, 2018, open futures contracts purchased were as follows:

 

Description

  Number of
Contracts
     Expiration
Date
     Notional
Amount
     Value      Unrealized
Appreciation/
Depreciation
 

MSCI Taiwan Index Futures

    13        04/27/2018      $ 528,197      $ 530,010      $ 1,813  

During the period ended March 31, 2018, average notional value related to futures contracts was $519,369 or less than 0.5% of net assets.

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Brazil

  $ 145,835,883     $     $     $ 145,835,883  

Chile

    30,236,892                   30,236,892  

China

      541,604,875             17,092         541,621,967  

Colombia

    9,080,559                   9,080,559  

 

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SPDR PORTFOLIO EMERGING MARKETS ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

Czech Republic

  $ 4,750,366     $     $     $ 4,750,366  

Egypt

    5,755,218                   5,755,218  

Greece

    3,089,770                   3,089,770  

Hong Kong

    21,032,596       4,211       16,313       21,053,120  

Hungary

    10,923,729                   10,923,729  

India

    188,012,885       726,606       0 (a)      188,739,491  

Indonesia

    47,329,686       4,767             47,334,453  

Macau

    2,141                   2,141  

Malaysia

    45,459,666       143             45,459,809  

Mexico

    59,871,142                   59,871,142  

Monaco

    123,868                   123,868  

Netherlands

    450,273                   450,273  

Peru

    15,304,204                   15,304,204  

Philippines

    23,331,413                   23,331,413  

Poland

    18,273,169                   18,273,169  

Qatar

    8,021,548                   8,021,548  

Russia

    74,673,747                   74,673,747  

South Africa

    126,441,482                   126,441,482  

Taiwan

    237,309,258             0 (a)      237,309,258  

Thailand

    2,250,368       55,356,796             57,607,164  

Turkey

    21,406,630                   21,406,630  

United Arab Emirates

    10,377,909       206,661             10,584,570  

United Kingdom

    379                   379  

Preferred Stocks

       

South Africa

    169,271                   169,271  

Warrants

       

Indonesia

    77,635                   77,635  

Malaysia

    15,529                   15,529  

South Africa

    226                   226  

Rights

       

Brazil

    32                   32  

Short-Term Investments

    42,358,098                   42,358,098  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 1,693,570,447     $ 56,299,184     $ 33,405     $ 1,749,903,036  
 

 

 

   

 

 

   

 

 

   

 

 

 

OTHER FINANCIAL INSTRUMENTS:

       

Futures Contracts(b)

    1,813                   1,813  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS AND OTHER FINANCIAL

INSTRUMENTS

  $ 1,693,572,260     $ 56,299,184     $ 33,405     $ 1,749,904,849  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) Fund held Level 3 securities that were valued at $ 0 at March 31, 2018.
(b) Futures Contracts are valued at unrealized appreciation (depreciation).

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from

Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Number of
Shares Held
at

3/31/18
    Value at
3/31/18
    Dividend
Income
    Capital
Gains
Distributions
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

        $     $ 90,676,387     $ 86,248,630     $     $       4,427,757     $ 4,427,757     $ 12,171     $  

State Street Navigator Securities Lending Government Money Market Portfolio

    8,647,800       8,647,800       84,715,944       55,433,403                   37,930,341       37,930,341       133,723        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

Total

      8,647,800     $ 175,392,331     $ 141,682,033     $     $       $ 42,358,098     $ 145,894     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

 

88


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.4%

   

AUSTRALIA — 5.6%

   

Abacus Property Group REIT

    37,637     $ 100,177  

AGL Energy, Ltd.

    85,846       1,427,588  

Alumina, Ltd.

    845,312       1,530,216  

Amcor, Ltd.

    234,554       2,549,390  

AMP, Ltd.

    475,297       1,819,237  

Ansell, Ltd.

    74,903       1,451,297  

APA Group

    348,790       2,108,210  

Aristocrat Leisure, Ltd.

    151,948       2,804,234  

Arrium, Ltd. (a) (b) (c)

    163,093        

Atlassian Corp. PLC Class A (b)

    14,769       796,344  

Australia & New Zealand Banking Group, Ltd.

    352,176       7,255,869  

Bendigo & Adelaide Bank, Ltd.

    73,637       555,795  

BHP Billiton PLC

    240,492       4,735,215  

BHP Billiton, Ltd.

    402,120       8,701,266  

BlueScope Steel, Ltd.

    108,085       1,251,061  

Boral, Ltd.

    87,468       499,167  

Brambles, Ltd.

    341,914       2,617,406  

BWP Trust REIT

    521,315       1,207,621  

Caltex Australia, Ltd.

    34,457       829,910  

carsales.com, Ltd.

    46,333       480,142  

Challenger, Ltd.

    84,931       751,789  

Coca-Cola Amatil, Ltd.

    80,698       536,668  

Cochlear, Ltd.

    7,071       985,072  

Commonwealth Bank of Australia

    215,502       11,952,901  

Computershare, Ltd.

    219,271       2,911,400  

CSL, Ltd.

    65,087       7,761,338  

CSR, Ltd.

    305,288       1,213,007  

Dexus REIT

    140,025       1,001,026  

Domain Holdings Australia, Ltd.

    20,659       51,501  

Fairfax Media, Ltd.

    206,740       107,041  

Fortescue Metals Group, Ltd.

    218,821       726,776  

Goodman Group REIT

    202,106       1,306,864  

GPT Group REIT

    225,126       818,517  

GWA Group, Ltd.

    280,086       721,862  

Harvey Norman Holdings, Ltd. (c)

    74,717       211,480  

Healthscope, Ltd.

    264,450       392,508  

Iluka Resources, Ltd.

    67,578       547,385  

Incitec Pivot, Ltd.

    213,869       575,809  

Infigen Energy (b)

    200,416       89,932  

Ingenia Communities Group REIT

    190,805       406,872  

Insurance Australia Group, Ltd.

    543,434       3,117,971  

LendLease Group

    213,547       2,835,399  

Macquarie Group, Ltd.

    57,471       4,536,154  

Medibank Pvt, Ltd.

    351,480       781,848  

Mirvac Group REIT

    230,063       379,410  

National Australia Bank, Ltd.

    313,303       6,846,690  

Newcrest Mining, Ltd.

    111,173       1,667,984  

Oil Search, Ltd.

    149,270       818,657  

Orica, Ltd.

    38,992       531,181  

Origin Energy, Ltd. (b)

    287,350       1,917,583  

Orora, Ltd.

    240,733       609,359  

OZ Minerals, Ltd.

    61,177       421,863  

 

Security Description

 

Shares

   

Value

 

Perpetual, Ltd.

    38,683     $ 1,381,222  

QBE Insurance Group, Ltd.

    172,483       1,274,079  

Ramsay Health Care, Ltd.

    16,504       788,933  

REA Group, Ltd.

    6,670       405,256  

Santos, Ltd. (b)

    320,309       1,245,664  

Scentre Group REIT

    667,204       1,960,113  

SEEK, Ltd.

    45,246       645,531  

Sonic Healthcare, Ltd.

    77,130       1,353,639  

South32, Ltd. (d)

    636,745       1,572,471  

Stockland REIT

    317,797       982,378  

Suncorp Group, Ltd.

    164,218       1,680,352  

Sydney Airport

    141,724       729,440  

Tabcorp Holdings, Ltd.

    393,342       1,324,520  

Telstra Corp., Ltd.

    553,550       1,333,246  

TPG Telecom, Ltd. (c)

    30,510       128,481  

Transurban Group Stapled Security

    238,606       2,090,120  

Treasury Wine Estates, Ltd.

    159,845       2,067,189  

Vicinity Centres REIT

    416,983       770,831  

Wesfarmers, Ltd.

    150,953       4,812,170  

Westfield Corp. REIT

    257,710       1,684,203  

Westpac Banking Corp.

    407,780       8,951,982  

Woodside Petroleum, Ltd.

    130,228       2,920,824  

Woolworths, Ltd.

    207,566       4,185,723  

WorleyParsons, Ltd.

    68,748       756,721  
   

 

 

 
      145,299,080  
   

 

 

 

AUSTRIA — 0.3%

   

ams AG

    7,802       813,605  

ANDRITZ AG

    4,550       254,050  

Erste Group Bank AG

    45,033       2,259,661  

OMV AG

    44,685       2,598,313  

Raiffeisen Bank International AG (b)

    16,904       656,737  

Voestalpine AG

    39,821       2,084,818  
   

 

 

 
      8,667,184  
   

 

 

 

BELGIUM — 1.2%

   

Ackermans & van Haaren NV

    2,867       501,395  

Aedifica SA REIT

    9,150       841,734  

Ageas

    58,947       3,041,932  

Anheuser-Busch InBev SA

    123,856       13,599,518  

Bekaert SA

    12,462       530,600  

Colruyt SA

    7,935       438,368  

Galapagos NV (b) (c)

    5,449       544,828  

Gimv NV

    2,442       147,612  

Groupe Bruxelles Lambert SA

    10,315       1,177,252  

KBC Group NV

    43,122       3,750,537  

Proximus SADP

    18,161       563,520  

Solvay SA

    9,478       1,315,439  

UCB SA

    29,779       2,423,758  

Umicore SA

    25,156       1,328,173  
   

 

 

 
      30,204,666  
   

 

 

 

CANADA — 7.7%

   

AGF Management, Ltd. Class B

    84,585       430,388  

Agnico Eagle Mines, Ltd.

    29,013       1,219,705  

Air Canada (b)

    33,522       696,051  

Alamos Gold, Inc. Class A

    48,765       253,423  
 

 

89


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Algonquin Power & Utilities Corp. (c)

    33,918     $ 335,957  

Alimentation Couche-Tard, Inc. Class B (c)

    53,529           2,394,429  

AltaGas, Ltd. (c)

    18,565       343,292  

ARC Resources, Ltd. (c)

    47,388       516,058  

Atco, Ltd. Class I

    9,478       304,208  

Athabasca Oil Corp. (b)

    43,561       40,208  

Avigilon Corp. (b)

    8,679       181,624  

B2Gold Corp. (b)

    141,186       386,571  

Badger Daylighting, Ltd. (c)

    8,330       166,503  

Bank of Montreal (c)

    76,708       5,790,361  

Bank of Nova Scotia

    152,180       9,367,465  

Barrick Gold Corp.

    153,284       1,908,248  

BCE, Inc.

    34,805       1,496,676  

BlackBerry, Ltd. (b)

    82,097       943,073  

Bombardier, Inc. Class B (b)

    305,140       887,551  

Brookfield Asset Management, Inc. Class A

    133,963       5,218,245  

CAE, Inc.

    36,613       681,000  

Cameco Corp. (c)

    84,844       770,621  

Canadian Imperial Bank of Commerce (c)

    56,403       4,975,101  

Canadian National Railway Co.

    101,906       7,442,675  

Canadian Natural Resources, Ltd.

    165,903       5,211,613  

Canadian Pacific Railway, Ltd.

    25,265       4,452,362  

Canadian Solar, Inc. (b) (c)

    5,780       94,041  

Canadian Tire Corp., Ltd. Class A (c)

    10,705       1,406,575  

Canadian Utilities, Ltd. Class A

    14,866       396,542  

Canadian Western Bank (c)

    56,355       1,444,664  

CCL Industries, Inc. Class B

    15,327       773,215  

Cenovus Energy, Inc.

    97,732       831,584  

CES Energy Solutions Corp.

    39,821       181,615  

CGI Group, Inc. Class A (b)

    53,956       3,109,506  

CI Financial Corp. (c)

    30,626       655,635  

Cineplex, Inc. (c)

    7,935       192,951  

Constellation Software, Inc.

    2,513       1,703,889  

Crescent Point Energy Corp. (c)

    90,365       613,998  

CT Real Estate Investment Trust

    37,015       381,849  

Detour Gold Corp. (b)

    24,454       247,338  

Dollarama, Inc.

    14,428       1,752,287  

ECN Capital Corp.

    40,898       109,125  

Eldorado Gold Corp. (b) (c)

    65,944       55,241  

Element Fleet Management Corp. (c)

    48,961       157,602  

Emera, Inc.

    18,583       587,507  

Empire Co., Ltd.

    20,462       410,430  

Enbridge Income Fund Holdings, Inc. (c)

    12,356       267,582  

Enbridge, Inc.

    201,959       6,347,395  

Encana Corp.

    119,855       1,317,313  

Enerplus Corp.

    19,858       223,186  

Exchange Income Corp. (c)

    18,178       435,116  

Fairfax Financial Holdings, Ltd.

    4,888       2,476,018  

Finning International, Inc.

    17,731       427,304  

Firm Capital Mortgage Investment Corp.

    73,885       742,145  

Security Description

 

Shares

   

Value

 

First Capital Realty, Inc.

    17,025     $ 268,729  

First Majestic Silver Corp. (b) (c)

    34,892       213,533  

First Quantum Minerals, Ltd.

    84,967           1,192,207  

Fortis, Inc. (c)

    51,459       1,735,856  

Franco-Nevada Corp. (c)

    21,596       1,472,397  

George Weston, Ltd.

    5,862       471,597  

Gildan Activewear, Inc.

    29,425       849,257  

Goldcorp, Inc.

    119,203       1,644,849  

Gran Tierra Energy, Inc. (b)

    63,466       176,233  

Great-West Lifeco, Inc.

    38,571       983,684  

H&R Real Estate Investment Trust

    17,025       277,708  

Home Capital Group, Inc. (c)

    8,692       91,420  

Husky Energy, Inc.

    75,906       1,085,675  

Hydro One, Ltd. (e)

    21,116       342,638  

IAMGOLD Corp. (b)

    107,269       555,794  

Imperial Oil, Ltd. (c)

    31,416       831,424  

Industrial Alliance Insurance & Financial Services, Inc.

    12,858       528,582  

Innergex Renewable Energy, Inc. (c)

    64,213       655,951  

Intact Financial Corp.

    17,845       1,339,984  

Inter Pipeline, Ltd. (c)

    42,720       740,911  

International Petroleum Corp. (b)

    9,497       39,293  

K-Bro Linen, Inc.

    17,731       498,270  

Keyera Corp.

    21,874       568,546  

Kinross Gold Corp. (b)

    139,393       550,328  

Linamar Corp.

    6,280       342,824  

Loblaw Cos., Ltd. (c)

    24,092       1,216,326  

Lundin Mining Corp.

    93,759       614,515  

Magna International, Inc.

    49,850       2,805,984  

Manulife Financial Corp.

    264,033       4,898,716  

Maxar Technologies, Ltd.

    5,780       267,111  

Methanex Corp.

    10,713       648,555  

Metro, Inc. (c)

    31,175       993,828  

National Bank of Canada

    47,562       2,237,083  

New Gold, Inc. (b)

    75,931       196,711  

Nutrien, Ltd. (c)

    113,554       5,363,043  

Obsidian Energy, Ltd. (b) (c)

    64,770       64,808  

Onex Corp.

    10,355       746,315  

Open Text Corp. (c)

    27,729       963,982  

Pan American Silver Corp.

    18,976       305,706  

Parex Resources, Inc. (b)

    46,242       649,917  

Pembina Pipeline Corp.

    49,962       1,557,861  

Pengrowth Energy Corp. (b) (c)

    58,394       37,593  

Peyto Exploration & Development Corp. (c)

    16,900       141,571  

Power Corp. of Canada

    47,388       1,080,634  

Power Financial Corp.

    39,452       987,180  

PrairieSky Royalty, Ltd. (c)

    26,077       569,780  

Precision Drilling Corp. (b)

    39,311       109,159  

Pure Industrial Real Estate Trust

    106,847       666,317  

Quebecor, Inc. Class B

    21,000       401,187  

Restaurant Brands International, Inc.

    28,982       1,648,214  

RioCan Real Estate Investment Trust

    19,822       363,461  
 

 

90


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Ritchie Bros Auctioneers, Inc. (c)

    13,609     $ 427,508  

Rogers Communications, Inc. Class B

    71,672       3,198,764  

Royal Bank of Canada

    179,931       13,889,264  

Russel Metals, Inc.

    7,497       163,169  

Saputo, Inc.

    33,312       1,068,413  

Secure Energy Services, Inc. (c)

    24,380       138,801  

SEMAFO, Inc. (b)

    58,556       168,503  

Seven Generations Energy, Ltd. Class A (b)

    22,116       274,467  

Shaw Communications, Inc. Class B

    103,594       1,994,340  

Sherritt International Corp. (b) (c)

    92,471       81,049  

Shopify, Inc. Class A (b)

    7,378       917,464  

SNC-Lavalin Group, Inc. (c)

    25,254       1,108,101  

Stantec, Inc. (c)

    9,873       243,446  

Stars Group, Inc. (b)

    23,579       650,354  

Sun Life Financial, Inc. (c)

    98,187       4,029,532  

Suncor Energy, Inc.

    244,513       8,437,761  

Teck Resources, Ltd. Class B

    74,644       1,921,030  

TELUS Corp.

    59,751       2,096,673  

Thomson Reuters Corp.

    53,875       2,080,618  

TMX Group, Ltd.

    6,237       361,618  

Toromont Industries, Ltd.

    9,873       428,309  

Toronto-Dominion Bank

    249,991       14,176,337  

Tourmaline Oil Corp. (c)

    16,133       273,419  

TransCanada Corp. (c)

    112,647       4,655,290  

Trinidad Drilling, Ltd. (b) (c)

    28,942       39,959  

Turquoise Hill Resources, Ltd. (b)

    120,970       369,689  

Valeant Pharmaceuticals International, Inc. (b)

    42,736       679,864  

Vermilion Energy, Inc. (c)

    14,122       455,015  

Waste Connections, Inc.

    32,664       2,342,028  

West Fraser Timber Co., Ltd.

    5,299       351,869  

Wheaton Precious Metals Corp.

    50,670       1,031,675  

Whitecap Resources, Inc. (c)

    45,837       280,159  

Yamana Gold, Inc.

    148,518       410,102  

Yellow Pages, Ltd. (b) (c)

    14,422       78,193  
   

 

 

 
          199,571,091  
   

 

 

 

CHILE — 0.0% (f)

   

Antofagasta PLC

    43,660       564,078  
   

 

 

 

CHINA — 0.1%

   

APT Satellite Holdings, Ltd.

    460,000       211,587  

China Everbright Water, Ltd.

    292,515       94,806  

Chong Hing Bank, Ltd.

    1,385       2,760  

ENN Energy Holdings, Ltd.

    38,000       339,411  

Fosun International, Ltd.

    247,000       535,020  

HC International, Inc.

    184,500       133,762  

Sino Grandness Food Industry Group, Ltd. (b) (c)

    917,745       137,176  
   

 

 

 
      1,454,522  
   

 

 

 

DENMARK — 1.4%

   

AP Moeller - Maersk A/S Class B

    817       1,259,557  

Security Description

 

Shares

   

Value

 

AP Moller - Maersk A/S Class A

    408     $ 596,090  

Carlsberg A/S Class B

    13,208       1,570,778  

Chr Hansen Holding A/S

    12,360       1,062,476  

Coloplast A/S Class B

    11,107       935,708  

Danske Bank A/S

    127,307       4,734,445  

DONG Energy A/S (e)

    25,653       1,659,155  

DSV A/S

    22,345       1,748,624  

FLSmidth & Co. A/S

    23,358       1,498,004  

Genmab A/S (b)

    6,949       1,488,195  

GN Store Nord A/S

    18,207       641,055  

ISS A/S

    22,788       840,700  

Jyske Bank A/S

    6,122       361,407  

Novo Nordisk A/S Class B

    249,053       12,224,796  

Novozymes A/S Class B

    27,746       1,430,126  

Pandora A/S

    15,666       1,679,580  

SimCorp A/S

    4,999       346,249  

TDC A/S (b)

    33,166       274,263  

Vestas Wind Systems A/S

    34,349       2,435,810  
   

 

 

 
        36,787,018  
   

 

 

 

FINLAND — 0.9%

   

Amer Sports Oyj (b)

    17,024       524,890  

Caverion Oyj (b) (c)

    33,250       250,876  

Elisa Oyj (c)

    19,408       877,661  

Fortum Oyj (c)

    57,075       1,224,880  

Kemira Oyj

    12,524       160,187  

Kesko Oyj Class B

    9,543       546,450  

Kone Oyj Class B

    48,756       2,430,284  

Konecranes Oyj

    8,730       378,358  

Metso Oyj (c)

    16,088       506,715  

Neste Oyj (c)

    16,108       1,121,270  

Nokia Oyj (d)

    503,113       2,775,110  

Nokia Oyj (d)

    270,199       1,487,727  

Nokian Renkaat Oyj (c)

    14,121       640,832  

Orion Oyj Class B

    12,805       391,659  

Sampo Oyj Class A

    60,460       3,365,387  

Sanoma Oyj

    10,027       117,459  

Stockmann Oyj Abp Class B (b) (c)

    4,521       21,184  

Stora Enso Oyj Class R (c)

    71,372       1,310,070  

Tikkurila Oyj

    4,537       87,157  

UPM-Kymmene Oyj (c)

    66,740       2,470,614  

Valmet Oyj (c)

    16,691       334,187  

Wartsila Oyj Abp

    57,084       1,260,176  

YIT Oyj (c)

    15,819       132,294  
   

 

 

 
      22,415,427  
   

 

 

 

FRANCE — 8.1%

   

Accor SA

    44,850       2,418,713  

Aeroports de Paris

    4,102       892,938  

Air Liquide SA

    50,572       6,187,258  

Airbus SE

    79,471       9,167,772  

Albioma SA

    40,495       959,202  

Alstom SA

    39,917       1,797,256  

Arkema SA

    5,453       710,876  

Atos SE

    10,404       1,421,565  

AXA SA

    246,473       6,547,498  

BNP Paribas SA

    139,116       10,294,598  

Bollore SA

    66,354       353,352  
 

 

91


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SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Bollore SA (b) (c)

    347     $ 1,839  

Bourbon Corp. (c)

    49,157       287,769  

Bouygues SA

    41,055       2,055,509  

Bureau Veritas SA

    28,198       732,080  

Capgemini SE

    19,869       2,472,913  

Carrefour SA (c)

    115,636       2,396,322  

Casino Guichard Perrachon SA (c)

    17,737       868,410  

CGG SA (b)

    20,787       41,185  

Christian Dior SE

    339       133,789  

Cie de Saint-Gobain

    83,303       4,391,017  

Cie Generale des Etablissements Michelin SCA

    19,434       2,865,720  

Cie Plastic Omnium SA

    9,117       436,168  

Credit Agricole SA

    151,738       2,464,252  

Danone SA

    78,775       6,368,019  

Dassault Systemes SE

    12,810       1,739,284  

Edenred

    46,885       1,628,362  

Eiffage SA

    6,673       758,964  

Electricite de France SA

    52,706       762,289  

Elis SA

    23,193       573,331  

Engie SA

    206,357       3,440,100  

Essilor International Cie Generale d’Optique SA

    25,641       3,456,192  

Eutelsat Communications SA

    10,805       213,945  

Faurecia SA

    7,051       569,902  

Fonciere Des Regions REIT

    6,601       727,800  

Gecina SA REIT

    5,366       931,172  

Getlink SE

    51,525       735,069  

Groupe Fnac SA (b) (d)

    3,652       390,978  

Groupe Fnac SA (b) (d)

    1,233       130,563  

Hermes International

    4,543       2,690,242  

Iliad SA

    2,862       591,332  

Ingenico Group SA

    6,560       531,508  

Ipsen SA

    4,507       699,241  

Kering SA

    9,537       4,560,268  

Klepierre SA REIT

    24,027       967,750  

Lagardere SCA

    39,331       1,122,213  

Legrand SA

    34,552       2,706,855  

L’Oreal SA

    26,009       5,864,849  

LVMH Moet Hennessy Louis Vuitton SE (c)

    34,060       10,480,554  

Natixis SA

    59,222       484,930  

Nexans SA

    12,377       639,318  

Orange SA

    264,064       4,476,806  

Orpea

    5,791       735,353  

Pernod Ricard SA

    26,483       4,405,110  

Peugeot SA

    76,281       1,834,068  

Publicis Groupe SA

    42,661       2,968,563  

Renault SA

    32,286       3,911,135  

Rexel SA

    37,384       632,180  

Rubis SCA

    11,128       802,671  

Safran SA

    43,244       4,572,730  

Sanofi

    152,181       12,227,154  

Schneider Electric SE (d)

    73,923       6,485,821  

Schneider Electric SE (d)

    2,000       175,746  

SCOR SE

    23,162       947,438  

SEB SA

    3,318       633,316  

Security Description

 

Shares

   

Value

 

Societe BIC SA

    3,364     $ 334,494  

Societe Generale SA

    105,255       5,716,420  

Sodexo SA

    12,802       1,289,478  

Suez

    49,302       713,663  

Technicolor SA

    60,014       101,413  

Teleperformance

    7,360       1,140,514  

Television Francaise 1

    14,946       202,746  

Thales SA

    12,839       1,562,268  

TOTAL SA

    317,178       17,994,460  

Ubisoft Entertainment SA (b)

    20,044       1,689,095  

Unibail-Rodamco SE REIT (c)

    11,980       2,735,294  

Unibail-Rodamco SE REIT

    390       89,045  

Valeo SA

    48,566       3,203,859  

Vallourec SA (b) (c)

    62,993       333,439  

Veolia Environnement SA

    108,505       2,568,148  

Vinci SA

    59,523       5,849,031  

Vivendi SA

    159,631       4,122,767  

Wendel SA

    3,683       573,893  
   

 

 

 
      208,691,149  
   

 

 

 

GERMANY — 7.8%

   

1&1 Drillisch AG

    5,434       365,895  

Aareal Bank AG

    6,282       299,302  

adidas AG

    26,045       6,298,986  

Allianz SE

    57,181       12,897,436  

Aurubis AG

    3,668       308,017  

Axel Springer SE

    7,856       656,996  

BASF SE

    114,818       11,645,504  

Bayer AG

    105,584       11,919,164  

Bayerische Motoren Werke AG

    39,855       4,320,733  

Bayerische Motoren Werke AG Preference Shares

    6,958       651,638  

Bechtle AG

    3,344       270,610  

Beiersdorf AG

    12,778       1,446,097  

Bilfinger SE

    16,569       753,963  

Brenntag AG

    19,804       1,176,393  

CECONOMY AG

    20,663       237,606  

Commerzbank AG (b)

    116,453       1,510,109  

Continental AG

    14,024       3,868,597  

Covestro AG (e)

    10,701       1,051,008  

CTS Eventim AG & Co. KGaA

    5,889       275,653  

Daimler AG

    124,233       10,537,789  

Delivery Hero AG (b) (e)

    7,908       382,218  

Deutsche Bank AG

    257,708       3,589,688  

Deutsche Boerse AG

    29,449       4,005,696  

Deutsche EuroShop AG

    7,925       290,448  

Deutsche Lufthansa AG

    22,762       726,161  

Deutsche Post AG

    150,771       6,586,324  

Deutsche Telekom AG

    427,216       6,961,706  

Deutsche Wohnen SE

    42,939       2,001,444  

DMG Mori AG

    9,108       521,989  

Duerr AG

    2,961       324,611  

E.ON SE

    257,030       2,851,298  

Evonik Industries AG

    15,367       541,271  

Evotec AG (b)

    14,856       290,503  

Fielmann AG

    3,240       261,796  

Fraport AG Frankfurt Airport Services Worldwide

    6,604       650,567  

Freenet AG

    16,491       501,155  
 

 

92


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SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Fresenius Medical Care AG & Co. KGaA

    27,365     $ 2,792,680  

Fresenius SE & Co. KGaA

    50,484       3,853,167  

Fuchs Petrolub SE Preference Shares

    8,768       475,545  

GEA Group AG

    22,391       951,423  

Gerresheimer AG

    5,366       439,849  

Grand City Properties SA

    13,217       315,671  

GRENKE AG

    3,242       343,296  

Hamborner REIT AG

    59,319       687,951  

Hannover Rueck SE

    7,554       1,030,293  

HeidelbergCement AG

    18,140       1,779,851  

Hella GmbH & Co. KGaA

    5,464       358,843  

Henkel AG & Co. KGaA Preference Shares

    25,201       3,311,651  

Henkel AG & Co. KGaA

    15,791       1,986,724  

HOCHTIEF AG

    2,069       386,010  

HUGO BOSS AG

    8,294       721,779  

Infineon Technologies AG

    143,900         3,847,447  

Innogy SE (e)

    17,328       819,828  

Jungheinrich AG Preference Shares

    5,889       260,444  

KION Group AG

    9,619       895,999  

Krones AG

    1,996       268,553  

KS AG

    26,866       774,485  

Lanxess AG

    11,635       890,039  

LEG Immobilien AG

    7,466       838,690  

Leoni AG

    4,108       262,312  

Linde AG (b)

    23,280       4,898,750  

MAN SE

    11,982       1,396,242  

Merck KGaA

    26,478       2,536,734  

METRO AG

    20,663       365,684  

MorphoSys AG

    2,848       290,717  

MTU Aero Engines AG

    6,560       1,103,678  

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

    18,696       4,342,282  

Norma Group SE

    6,246       467,044  

OSRAM Licht AG

    9,992       734,371  

Porsche Automobil Holding SE Preference Shares

    22,283       1,849,821  

ProSiebenSat.1 Media SE

    28,194       977,125  

Puma SE

    356       173,598  

QIAGEN NV (b)

    29,405       949,298  

Rational AG

    412       258,923  

Rheinmetall AG

    5,401       766,203  

RWE AG (b)

    68,520       1,690,443  

Salzgitter AG

    12,889       658,473  

SAP SE

    124,386       12,998,386  

Sartorius AG Preference Shares

    5,854       817,148  

Schaeffler AG Preference Shares

    20,723       319,469  

Scout24 AG (e)

    9,127       424,748  

Siemens AG

    106,173       13,517,322  

Siltronic AG (b)

    2,519       429,847  

Software AG

    6,306       329,761  

Stabilus SA

    2,967       282,977  

STADA Arzneimittel AG

    9,534       980,712  

Symrise AG

    15,668       1,259,441  

Security Description

 

Shares

   

Value

 

TAG Immobilien AG

    18,213     $ 377,652  

Telefonica Deutschland Holding AG

    64,642       303,372  

ThyssenKrupp AG

    65,857       1,716,268  

TUI AG

    60,579       1,298,498  

Uniper SE

    25,670       781,364  

United Internet AG

    15,696       986,421  

Volkswagen AG

    4,934       986,670  

Volkswagen AG Preference Shares

    22,783       4,521,816  

Vonovia SE

    56,386       2,791,190  

Wacker Chemie AG

    1,994       327,017  

Wirecard AG

    17,029       2,008,864  

Zalando SE (b) (e)

    14,102       767,964  
   

 

 

 
        200,957,194  
   

 

 

 

HONG KONG — 2.9%

   

AIA Group, Ltd.

    1,576,600       13,338,715  

ASM Pacific Technology, Ltd.

    37,600       525,077  

Bank of East Asia, Ltd.

    168,555       672,218  

BOC Hong Kong Holdings, Ltd.

    432,500       2,105,106  

China Water Industry Group, Ltd. (b) (c)

    1,852,000       391,718  

CK Asset Holdings, Ltd.

    408,348       3,426,183  

CK Hutchison Holdings, Ltd.

    408,348       4,885,628  

CK Infrastructure Holdings, Ltd.

    26,000       212,517  

CLP Holdings, Ltd.

    217,500       2,214,269  

Dah Sing Banking Group, Ltd.

    342,125       746,299  

Dah Sing Financial Holdings, Ltd.

    171,285       1,082,494  

Dairy Farm International Holdings, Ltd.

    40,200       319,590  

Esprit Holdings, Ltd. (b) (c)

    453,319       154,220  

Galaxy Entertainment Group, Ltd.

    386,000       3,504,262  

Hang Lung Group, Ltd.

    402,000       1,313,826  

Hang Lung Properties, Ltd.

    353,000       822,196  

Hang Seng Bank, Ltd.

    86,800       2,008,445  

Henderson Land Development Co., Ltd.

    63,405       412,828  

HK Electric Investments & HK Electric Investments, Ltd. (c) (e)

    239,000       231,439  

HKT Trust & HKT, Ltd.

    385,900       485,307  

Hong Kong & China Gas Co., Ltd.

    1,157,506       2,377,457  

Hong Kong Exchanges & Clearing, Ltd.

    162,562       5,285,963  

Hongkong Land Holdings, Ltd.

    287,500       1,980,875  

Hopewell Highway Infrastructure, Ltd.

    6,975       4,257  

Hysan Development Co., Ltd.

    26,841       141,929  

Jardine Matheson Holdings, Ltd.

    39,405       2,428,136  

Jardine Strategic Holdings, Ltd.

    34,800       1,334,232  

Kerry Properties, Ltd.

    29,000       130,621  

Li & Fung, Ltd.

    942,000       460,900  

Link REIT

    386,351       3,298,232  

Melco International Development, Ltd.

    34,000       98,773  
 

 

93


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Melco Resorts & Entertainment, Ltd. ADR

    18,585     $ 538,593  

MTR Corp., Ltd.

    200,179       1,076,355  

New World Development Co., Ltd.

    786,411       1,110,232  

Noble Group, Ltd. (b) (c)

    47,740       2,840  

NWS Holdings, Ltd.

    72,000       130,637  

Pacific Basin Shipping, Ltd. (b)

    3,292,000       880,853  

PCCW, Ltd.

    455,000       263,204  

Power Assets Holdings, Ltd.

    195,500       1,742,444  

Sands China, Ltd.

    328,400       1,765,794  

Shangri-La Asia, Ltd.

    60,000       120,790  

Sino Land Co., Ltd.

    897,938       1,453,030  

SJM Holdings, Ltd.

    57,000       49,532  

Sun Hung Kai Properties, Ltd.

    273,509       4,321,333  

Sundart Holdings, Ltd.

    82,000       44,927  

Swire Pacific, Ltd. Class A

    25,500       257,167  

Swire Properties, Ltd.

    153,800       538,907  

Techtronic Industries Co., Ltd.

    193,500       1,127,967  

VTech Holdings, Ltd.

    33,600       424,265  

Wharf Holdings, Ltd.

    359,000       1,232,757  

Wharf Real Estate Investment Co., Ltd. (b)

    133,000       865,958  

Wheelock & Co., Ltd.

    34,000       248,449  

Yue Yuen Industrial Holdings, Ltd.

    34,000       134,946  
   

 

 

 
      74,724,692  
   

 

 

 

IRELAND — 0.5%

   

AerCap Holdings NV (b)

    10,379       526,423  

Bank of Ireland Group PLC (b)

    114,769       1,003,567  

C&C Group PLC

    50,952       166,684  

CRH PLC

    101,958       3,457,088  

Glanbia PLC

    15,675       269,891  

Green REIT PLC

    83,993       156,394  

Greencore Group PLC

    102,788       191,125  

Irish Bank Resolution Corp., Ltd. (a)

    5,635        

James Hardie Industries PLC

    53,147       932,328  

Kerry Group PLC Class A

    19,387       1,964,672  

Kingspan Group PLC

    18,145       767,658  

Paddy Power Betfair PLC

    10,703       1,098,460  

Ryanair Holdings PLC ADR (b)

    15,697       1,928,376  

Smurfit Kappa Group PLC

    24,384       987,227  

UDG Healthcare PLC

    31,019       377,697  
   

 

 

 
      13,827,590  
   

 

 

 

ISRAEL — 0.5%

   

Bank Hapoalim BM

    136,890       937,333  

Bank Leumi Le-Israel BM

    181,070       1,088,736  

Bezeq The Israeli Telecommunication Corp., Ltd.

    269,370       343,728  

Check Point Software Technologies, Ltd. (b)

    18,246       1,812,558  

Israel Chemicals, Ltd.

    55,828       235,343  

Mazor Robotics, Ltd. (b)

    19,805       581,032  

Nice, Ltd.

    7,900       732,879  

Security Description

 

Shares

   

Value

 

Rami Levy Chain Stores Hashikma Marketing 2006, Ltd.

    20,458     $ 1,026,731  

Reit 1, Ltd.

    191,498       784,897  

Shufersal, Ltd.

    294,567       1,873,529  

Strauss Group, Ltd.

    84,140       1,809,411  

Teva Pharmaceutical Industries, Ltd. ADR

    136,185       2,327,402  
   

 

 

 
      13,553,579  
   

 

 

 

ITALY — 2.0%

   

A2A SpA

    185,526       354,689  

Assicurazioni Generali SpA

    174,572       3,354,648  

Atlantia SpA

    51,724       1,599,861  

Azimut Holding SpA

    12,430       266,682  

Banca Generali SpA

    9,126       294,059  

Banca IFIS SpA

    24,403       938,777  

Banca Monte dei Paschi di Siena SpA (b) (c)

    3,304       10,451  

Banca Popolare di Sondrio SCPA

    92,821       367,354  

Banco BPM SpA (b)

    127,335       441,151  

Biesse SpA

    1,295       76,766  

BPER Banca (c)

    67,362       375,289  

Brembo SpA

    56,003       863,696  

Cairo Communication SpA (c)

    64,344       288,837  

Credito Valtellinese SpA (b)

    1,163,888       164,898  

Davide Campari-Milano SpA

    60,561       458,058  

Enel SpA

    900,114       5,501,818  

Eni SpA

    331,868       5,831,619  

Esprinet SpA (c)

    50,675       271,104  

Falck Renewables SpA

    14,886       38,446  

Ferrari NV

    16,451       1,973,455  

Immobiliare Grande Distribuzione SIIQ SpA

    49,391       460,922  

Interpump Group SpA

    24,928       841,861  

Intesa Sanpaolo SpA

    1,713,696       6,224,766  

Iren SpA

    377,285       1,182,282  

Italgas SpA

    40,912       244,333  

Leonardo SpA

    98,147       1,131,982  

Luxottica Group SpA

    17,780       1,104,270  

Mediaset SpA (b)

    91,195       349,030  

Mediobanca Banca di Credito Finanziario SpA

    52,995       622,300  

Moncler SpA

    20,206       767,876  

PRADA SpA (c)

    46,600       215,238  

Prysmian SpA

    22,795       714,878  

Recordati SpA

    19,807       730,302  

Reply SpA

    17,309       954,531  

Saipem SpA (b)

    124,670       487,882  

Salvatore Ferragamo SpA (c)

    8,604       237,240  

Snam SpA

    272,583       1,251,437  

Societa Cattolica di Assicurazioni SC

    63,403       674,494  

Sogefi SpA (b) (c)

    48,421       174,126  

Telecom Italia SpA/Milano (b) (d)

    1,823,528       1,729,096  

Telecom Italia SpA/Milano (d)

    769,107       639,798  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Terna Rete Elettrica Nazionale SpA

    178,700     $ 1,043,708  

UniCredit SpA (b)

    248,453       5,190,854  

Unione di Banche Italiane SpA

    129,656       591,747  

Unipol Gruppo Finanziario SpA

    45,917       224,642  

UnipolSai Assicurazioni SpA

    116,733       277,509  

Yoox Net-A-Porter Group SpA (b)

    9,116       423,788  

Zignago Vetro SpA

    49,725       507,581  
   

 

 

 
          52,470,131  
   

 

 

 

JAPAN — 23.3%

   

Acom Co., Ltd. (b) (c)

    77,400       343,515  

Activia Properties, Inc. REIT

    20       89,234  

Advance Residence Investment Corp. REIT

    38       96,331  

Advantest Corp. (c)

    77,400       1,597,489  

Aeon Co., Ltd. (c)

    165,820       2,930,500  

AEON Financial Service Co., Ltd. (c)

    3,500       80,235  

AEON REIT Investment Corp.

    58       61,190  

Air Water, Inc.

    35,100       677,577  

Aisin Seiki Co., Ltd.

    35,800       1,932,224  

Ajinomoto Co., Inc.

    78,000       1,407,080  

Akita Bank, Ltd.

    16,555       443,646  

Alconix Corp.

    7,800       152,113  

Alfresa Holdings Corp.

    36,900       821,966  

Alps Electric Co., Ltd. (c)

    35,900       874,292  

Amada Holdings Co., Ltd.

    43,100       516,714  

ANA Holdings, Inc.

    10,100       387,760  

Aomori Bank, Ltd.

    1,010       30,865  

Aoyama Trading Co., Ltd.

    2,100       82,144  

Aozora Bank, Ltd.

    14,200       564,796  

Asahi Glass Co., Ltd.

    35,100       1,450,536  

Asahi Group Holdings, Ltd.

    87,636       4,688,753  

Asahi Intecc Co., Ltd.

    6,400       255,458  

Asahi Kasei Corp.

    163,150       2,145,419  

Asics Corp. (c)

    36,300       669,340  

Astellas Pharma, Inc.

    373,800       5,679,932  

Atom Corp. (c)

    127,400       1,144,024  

Awa Bank, Ltd.

    11,550       74,937  

Azbil Corp.

    3,800       177,047  

Bandai Namco Holdings, Inc.

    37,300       1,192,478  

Bank of Iwate, Ltd.

    37,855       1,519,895  

Bank of Kyoto, Ltd.

    3,200       178,731  

Bank of Okinawa, Ltd.

    41,400       1,759,549  

Benesse Holdings, Inc.

    4,100       147,268  

Bridgestone Corp.

    85,465       3,719,154  

Brother Industries, Ltd.

    36,100       823,834  

Calbee, Inc. (c)

    3,700       124,899  

Can Do Co., Ltd. (c)

    5,300       89,305  

Canon, Inc.

    155,616       5,633,489  

Casio Computer Co., Ltd. (c)

    86,900       1,277,965  

Central Japan Railway Co.

    36,200       6,845,153  

Chiba Bank, Ltd.

    66,550       536,280  

Chubu Electric Power Co., Inc.

    80,765       1,152,050  

Chugai Pharmaceutical Co., Ltd.

    43,580       2,184,122  

Chugoku Bank Ltd.

    35,100       415,523  

Security Description

 

Shares

   

Value

 

Chugoku Electric Power Co., Inc. (c)

    35,600     $ 432,489  

Coca-Cola Bottlers Japan

   

Holdings, Inc.

    34,700           1,425,849  

COLOPL, Inc. (c)

    2,000       17,677  

Colowide Co., Ltd. (c)

    2,400       55,086  

COMSYS Holdings Corp.

    9,500       249,135  

Concordia Financial Group, Ltd.

    163,300       910,549  

COOKPAD, Inc. (c)

    35,800       198,608  

Credit Saison Co., Ltd.

    80,800       1,332,611  

CyberAgent, Inc.

    5,800       296,681  

Dai Nippon Printing Co., Ltd.

    31,600       648,639  

Daicel Corp.

    39,000       423,188  

Daifuku Co., Ltd.

    10,600       616,963  

Dai-ichi Life Holdings, Inc.

    161,100       2,946,305  

Daiichi Sankyo Co., Ltd.

    124,365       4,133,806  

Daiken Medical Co., Ltd.

    40,700       294,678  

Daikin Industries, Ltd.

    45,310       4,961,307  

Daishi Bank, Ltd.

    1,517       67,256  

Daito Trust Construction Co., Ltd.

    9,255       1,567,302  

Daiwa House Industry Co., Ltd.

    84,400       3,206,168  

Daiwa House REIT Investment Corp.

    51       122,956  

Daiwa Securities Group, Inc.

    382,550       2,432,709  

DeNA Co., Ltd. (c)

    35,700       643,842  

Denka Co., Ltd.

    7,000       233,333  

Denso Corp.

    76,710       4,170,543  

Dentsu, Inc.

    36,900       1,613,399  

DIC Corp.

    5,300       175,919  

Disco Corp.

    2,500       524,683  

Don Quijote Holdings Co., Ltd.

    16,300       925,736  

Dowa Holdings Co., Ltd. (c)

    4,400       155,355  

East Japan Railway Co.

    44,300       4,112,173  

Ebara Corp.

    3,800       133,277  

Eighteenth Bank, Ltd.

    8,251       21,258  

Eisai Co., Ltd.

    41,551       2,651,294  

Electric Power Development Co., Ltd.

    29,100       744,260  

euglena Co., Ltd. (b) (c)

    5,000       48,519  

Ezaki Glico Co., Ltd.

    2,700       142,934  

F@N Communications, Inc.

    5,200       34,471  

FamilyMart UNY Holdings Co., Ltd.

    9,500       786,977  

FANUC Corp.

    29,855       7,458,837  

Fast Retailing Co., Ltd.

    7,700       3,036,559  

Feed One Co., Ltd.

    624,400       1,256,433  

Financial Products Group Co., Ltd.

    40,100       516,945  

Foster Electric Co., Ltd.

    43,100       1,045,991  

Frontier Real Estate Investment Corp.

    20       81,993  

Fuji Electric Co., Ltd.

    83,000       561,138  

FUJIFILM Holdings Corp.

    82,910       3,271,183  

Fujitsu, Ltd.

    375,513       2,256,256  

Fukuoka Financial Group, Inc.

    414,550       2,245,236  

Fukuoka REIT Corp.

    10       15,618  

Furukawa Electric Co., Ltd.

    38,355       2,026,846  

GLP J - REIT

    428       472,068  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GMO internet, Inc. (c)

    3,500     $ 73,883  

GS Yuasa Corp.

    17,000       91,274  

GungHo Online Entertainment, Inc. (c)

    43,600       142,669  

Gunma Bank Ltd.

    46,900       267,244  

Gurunavi, Inc. (c)

    5,200       71,680  

Hachijuni Bank Ltd.

    75,300       404,999  

Hakuhodo DY Holdings, Inc.

    39,500       539,666  

Hamamatsu Photonics KK

    35,900       1,367,137  

Hankyu Hanshin Holdings, Inc.

    40,600       1,507,945  

Hankyu Reit, Inc.

    451       567,832  

Haseko Corp.

    39,900       605,910  

Heiwa Real Estate REIT, Inc.

    1,226       1,179,312  

Hikari Tsushin, Inc.

    1,400       223,394  

Hino Motors, Ltd.

    36,600       470,104  

Hirose Electric Co., Ltd.

    2,940       401,952  

Hiroshima Bank Ltd. (c)

    15,500       117,033  

Hisamitsu Pharmaceutical Co., Inc.

    10,100       773,051  

Hitachi Chemical Co., Ltd.

    4,800       105,794  

Hitachi Construction Machinery Co., Ltd. (c)

    5,200       198,514  

Hitachi High-Technologies Corp.

    3,700       172,562  

Hitachi Metals, Ltd.

    38,600       448,609  

Hitachi, Ltd.

    791,475       5,679,122  

Hokkoku Bank, Ltd.

    16,555       651,459  

Honda Motor Co., Ltd.

    245,075       8,390,391  

Horiba, Ltd.

    4,900       377,348  

Hoshizaki Corp.

    7,200       635,035  

Hoya Corp.

    43,706       2,181,807  

Hulic Co., Ltd.

    42,100       454,450  

Hyakugo Bank, Ltd.

    35,450       168,333  

Ibiden Co., Ltd.

    41,900       614,218  

Ichigo Office REIT Investment

    1,653       1,255,876  

Idemitsu Kosan Co., Ltd.

    12,000       451,340  

IHI Corp.

    12,900       397,856  

Iida Group Holdings Co., Ltd. (c)

    5,000       92,337  

Industrial & Infrastructure Fund Investment Corp. REIT

    160       179,332  

Infomart Corp. (c)

    79,400       796,613  

Inpex Corp.

    127,800       1,557,994  

Intage Holdings, Inc.

    76,200       830,426  

Iriso Electronics Co., Ltd. (c)

    4,400       265,200  

Isetan Mitsukoshi Holdings, Ltd.

    44,400       485,540  

Isuzu Motors, Ltd.

    169,500       2,564,415  

ITOCHU Corp.

    296,250       5,714,686  

Iwatani Corp.

    2,800       102,548  

Iyo Bank Ltd.

    40,800       309,980  

J Front Retailing Co., Ltd.

    35,500       591,166  

Jafco Co., Ltd. (b)

    2,100       96,657  

Japan Airlines Co., Ltd.

    14,000       564,607  

Japan Airport Terminal Co., Ltd. (c)

    4,800       184,147  

Japan Excellent, Inc.

    357       461,566  

Japan Exchange Group, Inc.

    82,200       1,518,787  

Japan Hotel REIT Investment Corp.

    429       303,346  

Security Description

 

Shares

   

Value

 

Japan Logistics Fund, Inc. REIT

    37     $ 74,731  

Japan Post Bank Co., Ltd. (c)

    44,300       596,915  

Japan Post Holdings Co., Ltd.

    48,100       581,180  

Japan Prime Realty Investment Corp. REIT

    29       104,984  

Japan Real Estate Investment Corp. REIT

    151       782,332  

Japan Retail Fund Investment Corp. REIT

    399       772,863  

Japan Tissue Engineering Co., Ltd. (b) (c)

    2,200       37,980  

Japan Tobacco, Inc.

    131,300       3,747,019  

JFE Holdings, Inc.

    82,910       1,650,794  

JGC Corp. (c)

    36,800       788,942  

JSR Corp.

    78,300       1,739,755  

JTEKT Corp.

    37,800       546,652  

JXTG Holdings, Inc.

    449,600       2,695,486  

Kajima Corp.

    100,475       932,476  

Kakaku.com, Inc. (c)

    39,200       682,268  

Kaken Pharmaceutical Co., Ltd.

    2,000       117,348  

Kaneka Corp.

    38,000       374,819  

Kansai Electric Power Co., Inc.

    161,600       2,095,406  

Kansai Paint Co., Ltd.

    39,300       909,794  

Kao Corp.

    78,100       5,825,004  

Kawasaki Heavy Industries, Ltd.

    14,000       445,604  

KDDI Corp.

    244,500       6,219,979  

Keihan Holdings Co., Ltd.

    4,800       147,814  

Keikyu Corp. (c)

    40,900       713,394  

Keio Corp.

    14,700       627,532  

Keisei Electric Railway Co., Ltd.

    37,000       1,127,221  

Kenedix Office Investment Corp. REIT

    42       255,515  

Kenedix, Inc.

    40,800       251,284  

Kewpie Corp.

    5,500       150,235  

Keyence Corp.

    10,800       6,651,622  

Kikkoman Corp.

    16,200       648,914  

Kintetsu Group Holdings Co., Ltd. (c)

    15,910       621,590  

Kirin Holdings Co., Ltd.

    118,500       3,134,929  

Kiyo Bank, Ltd. (c)

    86,200       1,376,282  

KNT-CT Holdings Co., Ltd. (b)

    15,000       244,993  

Kobayashi Pharmaceutical Co., Ltd.

    2,500       176,775  

Kobe Steel, Ltd. (b)

    43,099       422,682  

Koito Manufacturing Co., Ltd.

    12,100       833,973  

Komatsu, Ltd.

    161,720       5,329,841  

Konami Holdings Corp.

    12,400       620,292  

Konica Minolta, Inc. (c)

    130,875       1,098,932  

Kose Corp. (c)

    3,600       747,757  

Kubota Corp.

    204,150       3,541,671  

Kuraray Co., Ltd.

    42,700       730,738  

Kurita Water Industries, Ltd.

    42,210       1,343,496  

Kyocera Corp.

    42,500       2,368,571  

Kyoritsu Maintenance Co., Ltd. (c)

    1,200       56,530  

Kyoto Kimono Yuzen Co., Ltd. (c)

    77,100       561,123  

Kyowa Hakko Kirin Co., Ltd.

    37,000       795,665  

Kyushu Electric Power Co., Inc.

    45,200       542,315  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Kyushu Financial Group, Inc.

    36,800     $ 182,010  

Kyushu Railway Co.

    18,500       574,048  

Lawson, Inc. (c)

    1,500       102,116  

Leopalace21 Corp.

    1,600       13,029  

Lion Corp.

    25,000       508,933  

LIXIL Group Corp.

    37,100       814,560  

M3, Inc.

    36,000       1,631,594  

Mabuchi Motor Co., Ltd.

    3,500       171,791  

Makita Corp.

    38,300       1,872,685  

Marubeni Corp.

    417,050           3,006,603  

Marui Group Co., Ltd. (c)

    37,400       745,538  

Matsumotokiyoshi Holdings Co., Ltd.

    5,000       209,685  

Matsuya Co., Ltd.

    80,800       1,124,438  

Mazda Motor Corp.

    83,400       1,105,334  

McDonald’s Holdings Co. Japan, Ltd.

    5,600       263,808  

MCUBS MidCity Investment Corp.

    1,940       1,415,552  

Mebuki Financial Group, Inc.

    117,500       450,776  

Medipal Holdings Corp.

    85,199       1,760,859  

MEIJI Holdings Co., Ltd.

    18,400       1,406,601  

Meiko Network Japan Co., Ltd.

    80,700       975,078  

Milbon Co., Ltd.

    1,200       53,089  

MINEBEA MITSUMI, Inc. (c)

    44,400       936,429  

MISUMI Group, Inc.

    39,300       1,069,803  

Mitsubishi Chemical Holdings Corp.

    202,800       1,945,049  

Mitsubishi Corp.

    246,938       6,560,633  

Mitsubishi Electric Corp.

    368,050       5,881,532  

Mitsubishi Estate Co., Ltd.

    166,625       2,741,831  

Mitsubishi Gas Chemical Co., Inc.

    37,000       877,076  

Mitsubishi Heavy Industries, Ltd. (c)

    36,710       1,401,090  

Mitsubishi Logistics Corp. (c)

    4,500       93,681  

Mitsubishi Materials Corp.

    5,700       166,953  

Mitsubishi Motors Corp. (c)

    124,200       878,217  

Mitsubishi Tanabe Pharma Corp.

    38,000       763,216  

Mitsubishi UFJ Financial Group, Inc.

    1,702,324       11,145,540  

Mitsubishi UFJ Lease & Finance Co., Ltd.

    76,600       451,605  

Mitsui & Co., Ltd.

    291,526       4,961,561  

Mitsui Chemicals, Inc.

    27,110       848,860  

Mitsui Fudosan Co., Ltd.

    127,200       3,028,401  

Mitsui Mining & Smelting Co., Ltd.

    3,200       139,614  

Mitsui OSK Lines, Ltd.

    14,255       400,105  

Miura Co., Ltd. (c)

    16,300       521,110  

Mixi, Inc.

    2,100       77,800  

Mizuho Financial Group, Inc.

    3,227,100       5,810,904  

Mori Hills REIT Investment Corp.

    52       65,813  

Morinaga & Co., Ltd.

    2,600       114,048  

MS&AD Insurance Group Holdings, Inc.

    83,199       2,562,858  

Murata Manufacturing Co., Ltd.

    37,400       5,095,684  

Musashino Bank, Ltd.

    41,455       1,317,517  

 

Security Description

 

Shares

   

Value

 

Nabtesco Corp.

    15,000     $ 574,753  

Nachi-Fujikoshi Corp.

    15,000       89,563  

Nagoya Railroad Co., Ltd. (c)

    23,300       590,223  

Nankai Electric Railway Co., Ltd. (c)

    5,400       135,216  

Nanto Bank, Ltd. (c)

    41,255       1,119,529  

NEC Corp.

    21,800       606,751  

Nexon Co., Ltd. (b)

    67,600       1,137,155  

NGK Insulators, Ltd.

    40,800       696,688  

NGK Spark Plug Co., Ltd.

    22,400       532,671  

NH Foods, Ltd.

    13,000       531,124  

NHK Spring Co., Ltd.

    37,600       398,097  

Nichirei Corp.

    34,500       929,083  

Nidec Corp.

    40,600         6,146,309  

Nifco, Inc. (c)

    5,000       166,667  

Nihon M&A Center, Inc. (c)

    7,400       252,929  

Nikon Corp.

    82,600       1,474,917  

Nintendo Co., Ltd.

    13,900       6,098,486  

Nippon Accommodations Fund, Inc. REIT

    11       48,354  

Nippon Building Fund, Inc. REIT

    163       901,213  

Nippon Electric Glass Co., Ltd.

    4,000       114,339  

Nippon Express Co., Ltd.

    11,000       718,853  

Nippon Paint Holdings Co., Ltd. (c)

    37,000       1,348,143  

Nippon Paper Industries Co., Ltd. (c)

    4,200       77,049  

Nippon Prologis REIT, Inc.

    349       755,100  

Nippon Shinyaku Co., Ltd.

    2,600       174,556  

Nippon Steel & Sumitomo Metal Corp.

    117,100       2,541,296  

Nippon Suisan Kaisha, Ltd.

    253,500       1,308,618  

Nippon Telegraph & Telephone Corp.

    83,500       3,848,773  

Nippon Television Holdings, Inc.

    2,000       34,810  

Nippon Yusen KK

    16,555       320,826  

Nissan Chemical Industries, Ltd.

    12,600       516,559  

Nissan Motor Co., Ltd.

    331,541       3,412,051  

Nissei ASB Machine Co., Ltd. (c)

    4,300       292,732  

Nisshin Seifun Group, Inc.

    38,500       759,502  

Nissin Foods Holdings Co., Ltd.

    10,400       717,781  

Nitori Holdings Co., Ltd.

    9,800       1,703,366  

Nitto Denko Corp.

    36,700       2,730,328  

NOK Corp.

    5,700       109,927  

Nomura Holdings, Inc.

    500,485       2,876,318  

Nomura Real Estate Holdings, Inc.

    6,000       139,126  

Nomura Real Estate Master Fund, Inc.

    448       622,187  

Nomura Research Institute, Ltd.

    16,100       750,122  

NSK, Ltd.

    45,100       597,093  

NTT Data Corp.

    165,600       1,717,506  

NTT DOCOMO, Inc.

    162,500       4,109,485  

Obayashi Corp.

    84,750       921,213  

Obic Co., Ltd.

    8,000       664,222  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Odakyu Electric Railway Co., Ltd.

    43,499     $ 879,387  

Ogaki Kyoritsu Bank, Ltd.

    16,555       419,362  

Oji Holdings Corp.

    126,000       803,272  

Oki Electric Industry Co., Ltd. (c)

    3,600       47,120  

Olympus Corp.

    42,300       1,598,928  

Omron Corp.

    36,600       2,102,736  

Ono Pharmaceutical Co., Ltd.

    77,900       2,456,029  

Oracle Corp. Japan

    1,900       155,252  

Oriental Land Co., Ltd.

    39,300         3,987,278  

ORIX Corp.

    165,700       2,926,821  

Orix JREIT, Inc. REIT

    334       518,823  

Osaka Gas Co., Ltd. (c)

    52,600       1,037,162  

Otsuka Corp.

    13,200       665,275  

Otsuka Holdings Co., Ltd.

    78,700       3,916,870  

Panasonic Corp.

    306,750       4,336,611  

Park24 Co., Ltd. (c)

    5,100       138,206  

PeptiDream, Inc. (b)

    11,300       610,954  

Pigeon Corp.

    37,400       1,675,703  

Pola Orbis Holdings, Inc.

    4,800       198,364  

Rakuten, Inc.

    85,000       697,583  

Raysum Co., Ltd.

    3,300       40,183  

Recruit Holdings Co., Ltd.

    202,400       4,993,866  

Relo Group, Inc.

    10,000       275,788  

Renesas Electronics Corp. (b)

    37,800       373,557  

Resona Holdings, Inc.

    286,700       1,522,866  

Ricoh Co., Ltd. (c)

    81,200       791,767  

Ringer Hut Co., Ltd. (c)

    900       20,937  

Rinnai Corp.

    1,700       160,489  

Riso Kyoiku Co., Ltd. (c)

    47,006       345,197  

Rock Field Co., Ltd.

    80,000       1,643,630  

Rohm Co., Ltd.

    8,400       781,946  

Rohto Pharmaceutical Co., Ltd.

    5,901       164,074  

Ryohin Keikaku Co., Ltd.

    2,500       827,457  

San-In Godo Bank, Ltd.

    35,550       314,886  

Sankyu, Inc.

    7,300       359,680  

Sanrio Co., Ltd. (c)

    3,900       70,409  

Santen Pharmaceutical Co., Ltd.

    45,200       748,021  

Sanwa Holdings Corp.

    35,800       454,106  

Sawai Pharmaceutical Co., Ltd. (c)

    1,600       70,033  

SBI Holdings, Inc. (c)

    36,400       835,814  

SCREEN Holdings Co., Ltd.

    2,800       247,748  

Secom Co., Ltd.

    41,648       3,066,327  

Sega Sammy Holdings, Inc.

    5,300       84,969  

Seibu Holdings, Inc.

    37,300       646,744  

Seiko Epson Corp.

    45,500       779,511  

Seino Holdings Co., Ltd.

    36,500       666,850  

Sekisui Chemical Co., Ltd.

    44,300       766,450  

Sekisui House Residential Investment Corp. REIT

    427       468,556  

Sekisui House, Ltd.

    82,600       1,500,547  

Seria Co., Ltd.

    3,800       186,516  

Seven & i Holdings Co., Ltd.

    124,228       5,293,853  

Seven Bank, Ltd. (c)

    86,100       273,642  

Sharp Corp. (b) (c)

    14,200       420,592  

Shiga Bank, Ltd.

    11,550       58,537  

Security Description

 

Shares

   

Value

 

Shikoku Bank, Ltd.

    1,820     $ 25,670  

Shikoku Electric Power Co., Inc.

    36,600       436,722  

Shimadzu Corp.

    42,300       1,147,887  

Shimamura Co., Ltd.

    1,400       173,503  

Shimano, Inc.

    10,300         1,476,963  

Shimizu Corp.

    81,313       716,411  

Shin-Etsu Chemical Co., Ltd.

    47,217       4,828,255  

Shinsei Bank, Ltd. (c)

    5,200       80,041  

Shionogi & Co., Ltd.

    41,200       2,124,890  

Shiseido Co., Ltd.

    45,100       2,878,597  

Shizuoka Bank, Ltd.

    71,000       674,283  

Showa Denko KK

    13,100       537,673  

SMC Corp.

    8,100       3,243,808  

SMS Co., Ltd. (c)

    36,300       1,532,553  

SoftBank Group Corp.

    114,536       8,406,845  

Sohgo Security Services Co., Ltd.

    3,800       184,730  

Sojitz Corp.

    161,400       508,406  

Sompo Holdings, Inc.

    83,600       3,333,781  

Sony Corp.

    163,820       7,871,370  

Sony Financial Holdings, Inc. (c)

    33,800       610,847  

Square Enix Holdings Co., Ltd.

    3,400       151,697  

Stanley Electric Co., Ltd.

    28,673       1,060,914  

Start Today Co., Ltd.

    37,600       964,837  

Starts Proceed Investment Corp. REIT

    51       79,413  

Subaru Corp.

    83,100       2,726,243  

SUMCO Corp.

    34,500       883,018  

Sumitomo Chemical Co., Ltd.

    414,550       2,369,971  

Sumitomo Corp.

    212,775       3,519,240  

Sumitomo Dainippon Pharma Co., Ltd. (c)

    5,300       87,611  

Sumitomo Electric Industries, Ltd.

    128,420       1,939,885  

Sumitomo Forestry Co., Ltd.

    33,500       533,291  

Sumitomo Heavy Industries, Ltd.

    14,800       556,653  

Sumitomo Metal Mining Co., Ltd.

    25,500       1,037,024  

Sumitomo Mitsui Financial Group, Inc.

    168,200       7,039,569  

Sumitomo Mitsui Trust Holdings, Inc.

    78,855       3,190,532  

Sumitomo Realty & Development Co., Ltd.

    55,000       2,029,337  

Sumitomo Rubber Industries, Ltd.

    37,100       675,370  

Sun Corp. (c)

    3,000       19,831  

Sun Frontier Fudousan Co., Ltd. (c)

    3,100       33,638  

Sundrug Co., Ltd.

    3,900       180,790  

Suntory Beverage & Food, Ltd.

    11,100       537,518  

Suruga Bank, Ltd.

    36,200       502,409  

Suzuken Co., Ltd.

    4,100       170,785  

Suzuki Motor Corp. (c)

    54,900       2,944,003  

Sysmex Corp.

    27,200       2,439,944  

T&D Holdings, Inc.

    124,600       1,960,678  

Tadano, Ltd.

    5,200       77,205  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Taiheiyo Cement Corp.

    6,200     $ 220,367  

Taisei Corp.

    27,387       1,385,445  

Taisho Pharmaceutical Holdings Co., Ltd.

    6,300       619,041  

Taiyo Nippon Sanso Corp. (c)

    35,800       535,569  

Taiyo Yuden Co., Ltd. (c)

    46,700       772,844  

Takashimaya Co., Ltd.

    21,000       200,028  

Takeda Pharmaceutical Co., Ltd.

    113,465         5,462,537  

Takeuchi Manufacturing Co., Ltd. (c)

    43,900       957,255  

TDK Corp.

    38,555       3,375,149  

Teijin, Ltd.

    83,710       1,574,236  

Temp Holdings Co., Ltd.

    28,500       817,348  

Terumo Corp.

    41,800       2,153,869  

THK Co., Ltd.

    14,200       577,480  

TIS, Inc.

    9,700       382,163  

Tobu Railway Co., Ltd.

    18,100       548,021  

Toho Bank, Ltd.

    12,101       46,424  

Toho Co., Ltd.

    35,700       1,176,573  

Toho Gas Co., Ltd.

    4,400       136,323  

Tohoku Electric Power Co., Inc.

    80,600       1,087,551  

Tokai Carbon Co., Ltd.

    36,400       530,170  

Tokio Marine Holdings, Inc.

    119,765       5,375,067  

Tokyo Century Corp.

    6,500       402,774  

Tokyo Dome Corp.

    88,000       828,284  

Tokyo Electric Power Co. Holdings, Inc. (b)

    166,175       645,325  

Tokyo Electron, Ltd.

    33,355       6,026,482  

Tokyo Gas Co., Ltd.

    38,795       1,027,967  

Tokyo Tatemono Co., Ltd.

    35,600       533,916  

Tokyu Corp.

    58,475       914,376  

Tokyu Fudosan Holdings Corp.

    45,800       326,005  

Toppan Printing Co., Ltd.

    77,000       625,557  

Toray Industries, Inc.

    396,550       3,732,455  

Toshiba Corp. (b)

    736,513       2,119,163  

Tosoh Corp.

    32,500       631,053  

TOTO, Ltd.

    13,300       686,573  

Toyo Seikan Group Holdings, Ltd.

    34,500       509,958  

Toyo Suisan Kaisha, Ltd.

    12,300       483,441  

Toyo Tire & Rubber Co., Ltd.

    35,600       602,539  

Toyota Industries Corp.

    36,300       2,170,832  

Toyota Motor Corp.

    340,688       21,918,075  

Toyota Tsusho Corp.

    35,700       1,190,000  

Trend Micro, Inc.

    10,000       580,160  

Tsumura & Co.

    3,500       120,945  

Tsuruha Holdings, Inc.

    4,200       599,887  

Ube Industries, Ltd.

    5,200       151,086  

Ulvac, Inc.

    2,600       143,996  

Unicharm Corp.

    44,100       1,264,324  

United Urban Investment Corp. REIT

    399       623,543  

USS Co., Ltd.

    37,110       751,621  

Warabeya Nichiyo Holdings Co., Ltd.

    41,700       1,028,874  

West Japan Railway Co.

    35,600       2,502,210  

Yahoo! Japan Corp. (c)

    129,300       600,604  

Yakult Honsha Co., Ltd.

    34,100       2,542,670  

Security Description

 

Shares

   

Value

 

Yamada Denki Co., Ltd. (c)

    211,580     $ 1,275,249  

Yamagata Bank, Ltd. (c)

    1,634       36,798  

Yamaguchi Financial Group, Inc.

    12,000       147,250  

Yamaha Corp.

    37,300       1,615,106  

Yamaha Motor Co., Ltd.

    38,400       1,128,350  

Yamanashi Chuo Bank, Ltd.

    7,550       31,024  

Yamato Holdings Co., Ltd. (c)

    42,300       1,053,821  

Yamazaki Baking Co., Ltd.

    36,500       760,202  

Yaskawa Electric Corp. (c)

    37,200       1,651,001  

Yokogawa Electric Corp.

    36,900       736,265  

Yokohama Rubber Co., Ltd.

    6,300       144,186  

Zenrin Co., Ltd.

    2,100       43,659  

Zeon Corp.

    24,300       347,763  
   

 

 

 
        603,806,433  
   

 

 

 

JORDAN — 0.0% (f)

   

Hikma Pharmaceuticals PLC

    17,751       300,930  
   

 

 

 

LUXEMBOURG — 0.2%

   

APERAM SA

    5,772       275,643  

ArcelorMittal (b)

    66,261       2,094,322  

Eurofins Scientific SE

    1,230       648,955  

Millicom International Cellular SA SDR

    7,477       508,448  

SES SA (c)

    42,747       577,508  

Tenaris SA

    47,575       816,216  
   

 

 

 
      4,921,092  
   

 

 

 

MACAU — 0.0% (f)

   

MGM China Holdings, Ltd.

    21,600       55,732  

Wynn Macau, Ltd.

    156,000       565,498  
   

 

 

 
      621,230  
   

 

 

 

MALTA — 0.0% (f)

   

Catena Media PLC (b)

    26,483       357,964  

Kindred Group PLC

    28,540       389,005  
   

 

 

 
      746,969  
   

 

 

 

MEXICO — 0.0% (f)

   

Fresnillo PLC

    25,223       448,831  
   

 

 

 

NETHERLANDS — 3.7%

   

ABN AMRO Group NV (e)

    26,884       809,059  

Aegon NV

    301,445       2,030,130  

Akzo Nobel NV

    46,267       4,366,620  

Altice NV Class A (b)

    39,821       328,027  

ASML Holding NV

    65,592       12,919,036  

ASR Nederland NV

    18,606       794,484  

Constellium NV Class A (b)

    10,348       112,276  

EXOR NV

    12,356       877,115  

Fugro NV (b)

    16,929       223,400  

Gemalto NV

    6,936       423,527  

Gemalto NV (g)

    221       13,495  

Heineken Holding NV

    12,062       1,241,644  

Heineken NV

    27,690       2,972,963  

ING Groep NV

    524,648       8,839,768  

Koninklijke Ahold Delhaize NV

    202,756       4,798,177  

Koninklijke DSM NV

    36,993       3,668,786  

Koninklijke KPN NV

    581,856       1,743,907  

Koninklijke Philips NV

    167,046       6,402,587  
 

 

99


Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

NN Group NV

    39,302     $ 1,742,014  

NXP Semiconductors NV (b)

    39,329       4,601,493  

OCI NV (b) (c)

    4,995       115,214  

Philips Lighting NV (e)

    18,633       698,932  

PostNL NV

    103,021       385,423  

Randstad Holding NV (c)

    8,198       538,597  

Royal Dutch Shell PLC Class A

    562,303       17,617,818  

Royal Dutch Shell PLC Class B

    465,278       14,861,796  

SBM Offshore NV

    52,995       846,961  

Wolters Kluwer NV

    38,514       2,045,757  
   

 

 

 
        96,019,006  
   

 

 

 

NEW ZEALAND - 0.3%

   

a2 Milk Co., Ltd. (b)

    359,561       3,216,401  

Air New Zealand, Ltd.

    159,250       371,072  

Auckland International Airport, Ltd.

    69,160       305,339  

Fisher & Paykel Healthcare Corp., Ltd.

    86,596       824,608  

Fletcher Building, Ltd.

    45,234       196,770  

Goodman Property Trust REIT

    294,821       282,869  

Infratil, Ltd.

    126,067       281,929  

Investore Property, Ltd. (c)

    51,456       51,969  

Kiwi Property Group, Ltd.

    334,136       323,001  

Spark New Zealand, Ltd.

    227,232       547,510  

Stride Property Group (c)

    194,499       238,530  

Vital Healthcare Property Trust REIT

    263,298       396,031  

Xero, Ltd. (b)(c)

    141       3,617  
   

 

 

 
      7,039,646  
   

 

 

 

NORWAY — 0.7%

   

Akastor ASA (b)

    17,731       34,419  

Aker Solutions ASA (b)

    17,731       93,613  

DNB ASA

    152,598       2,957,322  

DNO ASA (b)

    101,193       159,247  

Marine Harvest ASA

    43,668       874,367  

Norsk Hydro ASA

    255,961       1,498,087  

Orkla ASA

    245,238       2,628,258  

Schibsted ASA Class A

    8,768       244,581  

Schibsted ASA Class B

    8,608       217,751  

Statoil ASA (c)

    148,007       3,481,043  

Storebrand ASA

    141,869       1,152,523  

Telenor ASA

    130,074       2,932,524  

TGS Nopec Geophysical Co. ASA

    14,442       351,993  

Yara International ASA

    42,845       1,806,912  
   

 

 

 
      18,432,640  
   

 

 

 

PORTUGAL — 0.2%

   

Banco Comercial Portugues SA Class R (b)

    1,062,597       355,459  

EDP - Energias de Portugal SA

    435,927       1,655,554  

Galp Energia SGPS SA

    53,115       999,777  

Jeronimo Martins SGPS SA

    30,592       557,017  

Mota-Engil SGPS SA

    68,793       276,659  

NOS SGPS SA

    163,004       960,254  

Pharol SGPS SA (b) (c)

    188,556       52,872  
   

 

 

 
      4,857,592  
   

 

 

 

Security Description

 

Shares

   

Value

 

SINGAPORE — 1.2%

   

AIMS AMP Capital Industrial REIT

    371,498     $ 385,295  

Ascendas REIT

    254,215       509,865  

Ascendas Hospitality Trust REIT

    534,500       332,203  

Cache Logistics Trust REIT

    497,629       316,876  

CapitaLand Mall Trust REIT

    290,300       460,477  

CapitaLand, Ltd.

    829,000       2,256,943  

China New Town Development Co.,
Ltd. (b) (g)

    1,443,800       52,430  

City Developments, Ltd.

    77,200       765,347  

ComfortDelGro Corp., Ltd.

    254,300       397,556  

COSCO Shipping International Singapore Co., Ltd. (b) (c)

    1,205,100       436,530  

DBS Group Holdings, Ltd.

    242,092       5,077,046  

Genting Singapore PLC

    1,674,600       1,379,218  

IGG, Inc. (c)

    52,000       71,159  

Jardine Cycle & Carriage, Ltd.

    3,333       87,690  

Keppel REIT

    120,209       110,923  

Keppel Corp., Ltd.

    422,175       2,501,563  

Lippo Malls Indonesia Retail Trust REIT

    2,482,100       728,749  

Oversea-Chinese Banking Corp., Ltd.

    456,737       4,465,316  

Sembcorp Industries, Ltd.

    120,500       285,789  

Singapore Airlines, Ltd.

    130,856       1,081,735  

Singapore Exchange, Ltd.

    118,600       666,577  

Singapore Press Holdings, Ltd. (c)

    205,500       394,921  

Singapore Technologies Engineering, Ltd.

    89,800       245,849  

Singapore Telecommunications, Ltd.

    993,600       2,553,521  

Soilbuild Business Space REIT (c)

    705,800       349,859  

United Overseas Bank, Ltd.

    161,108       3,378,685  

UOL Group, Ltd.

    81,754       533,056  

Wilmar International, Ltd.

    412,000       999,131  
   

 

 

 
        30,824,309  
   

 

 

 

SOUTH AFRICA — 0.1%

   

Investec PLC

    71,808       553,624  

Mondi PLC

    92,037       2,472,447  
   

 

 

 
      3,026,071  
   

 

 

 

SOUTH KOREA — 5.0%

   

Advanced Process Systems Corp. (b) (d)

    4,785       127,043  

Amorepacific Corp.

    3,308       952,769  

AMOREPACIFIC Group

    3,702       475,818  

APS Holdings Corp. (b) (d)

    2,314       16,043  

Asiana Airlines, Inc. (b)

    94,526       422,126  

BNK Financial Group, Inc.

    40,141       401,071  

Celltrion, Inc. (b) (c)

    11,943       3,551,863  

CJ CGV Co., Ltd.

    14,809       941,974  

CMG Pharmaceutical Co., Ltd. (b)

    21,145       133,706  

Coway Co., Ltd.

    4,902       403,786  
 

 

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Security Description

 

Shares

   

Value

 

Crown Confectionery Co., Ltd. (d)

    9,507     $ 111,490  

CROWNHAITAI Holdings Co., Ltd. (d)

    7,716       96,278  

CUROCOM Co., Ltd. (b) (c)

    23,484       54,309  

Dae Han Flour Mills Co., Ltd.

    5,373       846,856  

Daewoo Shipbuilding & Marine Engineering Co., Ltd. (b)

    499       13,085  

Digitech Systems Co., Ltd. (a)

    19,094        

DIO Corp. (b)

    3,479       145,734  

Dongkuk Industries Co., Ltd.

    194,548       686,275  

Dongwon F&B Co., Ltd.

    2,872       590,082  

Dongwon Industries Co., Ltd.

    3,254       917,372  

DY Corp.

    27,875       154,294  

E-MART, Inc.

    2,098       532,422  

Eyegene, Inc. (b)

    5,370       113,607  

GS Home Shopping, Inc.

    2,843       501,172  

Hana Financial Group, Inc.

    32,293       1,381,519  

Hana Tour Service, Inc.

    9,916       1,111,701  

Hancom, Inc.

    22,056       337,286  

Hankook Shell Oil Co., Ltd.

    1,201       376,897  

Hankook Tire Co., Ltd.

    5,260       259,570  

Hanssem Co., Ltd.

    5,852       823,529  

Harim Co., Ltd. (b)

    116,230       383,290  

Hotel Shilla Co., Ltd.

    11,914       1,028,322  

HS Industries Co., Ltd.

    20,038       157,913  

Huons Co., Ltd.

    6,670       673,320  

Huons Global Co., Ltd.

    5,750       383,549  

Hyundai Construction Equipment Co., Ltd. (b)

    295       48,848  

Hyundai Electric & Energy System Co., Ltd. (b)

    270       20,822  

Hyundai Elevator Co., Ltd.

    7,470       557,149  

Hyundai Engineering Plastics Co., Ltd.

    138,719       844,625  

Hyundai Glovis Co., Ltd.

    1,619       276,441  

Hyundai Heavy Industries Co., Ltd. (b)

    49       6,321  

Hyundai Hy Communications & Network Co., Ltd.

    137,192       563,106  

Hyundai Mobis Co., Ltd.

    7,493       1,785,554  

Hyundai Motor Co.

    19,102       2,571,664  

Hyundai Motor Co. Preference Shares

    3,169       277,091  

Hyundai Robotics Co., Ltd. (b)

    2,080       831,297  

Hyundai Steel Co.

    6,522       315,729  

Infinitt Healthcare Co., Ltd. (b)

    44,988       350,737  

Interpark Holdings Corp.

    21,372       73,085  

Jeil Pharma Holdings, Inc.

    281       8,357  

Jeil Pharmaceutical Co., Ltd.

    869       49,732  

Jenax, Inc. (b) (c)

    49,181       1,504,175  

JoyCity Corp. (b) (c)

    7,370       110,284  

Kakao Corp.

    4,871       591,795  

Kangstem Biotech Co., Ltd. (b)

    4,706       61,811  

Kangwon Land, Inc.

    10,822       276,667  

KB Financial Group, Inc.

    72,789       4,206,588  

KCC Corp.

    393       122,225  

Kia Motors Corp.

    27,601       824,741  

 

Security Description

 

Shares

   

Value

 

KIWOOM Securities Co., Ltd. (c)

    21,873     $ 2,185,453  

Koh Young Technology, Inc.

    35,609       3,347,426  

Korea Aerospace Industries, Ltd. (b)

    6,393       299,588  

Korea Electric Power Corp. ADR (b) (c)

    95,674       1,472,423  

Korea Zinc Co., Ltd.

    1,701       769,192  

Korean Air Lines Co., Ltd.

    11,187       343,198  

KT Corp. ADR (b)

    89,890       1,231,493  

KT&G Corp.

    13,567       1,272,821  

KyungDong City Gas Co., Ltd.

    2,283       82,033  

LG Chem, Ltd.

    5,442       1,970,740  

LG Chem, Ltd. Preference Shares

    2,421       489,469  

LG Display Co., Ltd. ADR (b) (c)

    124,251       1,503,437  

LG Display Co., Ltd.

    27,227       660,304  

LG Electronics, Inc.

    15,654       1,600,794  

LG Household & Health Care, Ltd.

    1,252       1,400,116  

LG Uplus Corp.

    28,810       332,454  

Lotte Chemical Corp.

    1,687       685,309  

Lotte Corp. (b)

    2,269       134,961  

Lotte Food Co., Ltd.

    851       519,750  

Lotte Shopping Co., Ltd.

    395       86,715  

Medy-Tox, Inc.

    2,109       1,477,428  

Mirae Asset Daewoo Co., Ltd.

    49,430       427,104  

Modetour Network, Inc.

    51,997       1,895,190  

Muhak Co., Ltd.

    30,610       495,377  

NAVER Corp.

    4,083       3,010,825  

NCSoft Corp.

    2,053       789,689  

Netmarble Games Corp. (e)

    7,912       1,091,157  

Nexon GT Co., Ltd. (b)

    24,901       265,153  

NHN Entertainment Corp. (b)

    930       58,894  

OCI Co., Ltd.

    1,666       246,954  

Orientbio, Inc. (b)

    29,611       29,030  

Orion Corp./Republic of Korea

    2,062       247,618  

Orion Holdings Corp.

    673       16,953  

Ottogi Corp.

    877       584,996  

POSCO ADR (b)

    58,223       4,590,884  

S-1 Corp.

    4,507       405,922  

Sajo Industries Co., Ltd.

    19,041       1,221,882  

Samsung Biologics Co., Ltd. (b) (e)

    2,037       928,776  

Samsung C&T Corp.

    11,626       1,494,288  

Samsung Electro-Mechanics Co., Ltd.

    6,957       698,376  

Samsung Electronics Co., Ltd. GDR

    24,680       28,283,280  

Samsung Electronics Co., Ltd. Preference Shares

    1,991       3,782,508  

Samsung Engineering Co., Ltd. (b)

    16,209       281,327  

Samsung Fire & Marine

   

Insurance Co., Ltd.

    3,346       841,287  

Samsung Heavy Industries Co., Ltd. (b)

    32,465       240,008  
 

 

 

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March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Samsung Life Insurance Co., Ltd.

    10,273     $ 1,113,173  

Samsung SDI Co., Ltd.

    7,452       1,335,334  

Samsung SDS Co., Ltd.

    4,580       1,084,952  

Shinhan Financial Group Co., Ltd.

    52,795       2,236,321  

Shinsegae Food Co., Ltd.

    7,309       846,854  

SillaJen, Inc. (b)

    9,223       926,713  

SK Bioland Co., Ltd.

    33,881       657,976  

SK Holdings Co., Ltd.

    3,274       916,867  

SK Hynix, Inc.

    64,828       4,883,843  

SK Innovation Co., Ltd.

    15,230       3,000,563  

SK Telecom Co., Ltd. ADR

    74,948       1,811,493  

S-Oil Corp.

    4,987       559,102  

Woori Bank

    67,677       914,297  

Youlchon Chemical Co., Ltd.

    28,000       422,929  

Yungjin Pharmaceutical Co., Ltd. (b) (c)

    12,351       95,364  
   

 

 

 
      129,983,278  
   

 

 

 

SPAIN — 2.7%

   

Abertis Infraestructuras SA

    93,288       2,090,386  

Acciona SA (c)

    3,324       252,313  

Acerinox SA

    18,164       253,436  

ACS Actividades de Construccion y Servicios SA

    25,979       1,011,226  

Aena SME SA (e)

    9,431       1,898,130  

Amadeus IT Group SA

    57,155       4,216,120  

Atresmedia Corp. de Medios de Comunicacion SA (c)

    29,072       276,916  

Banco Bilbao Vizcaya Argentaria SA

    866,223       6,848,973  

Banco de Sabadell SA

    611,210       1,248,569  

Banco Santander SA

    2,053,626       13,373,332  

Bankia SA (c)

    95,337       426,674  

Bankinter SA (c)

    104,776       1,076,744  

Bolsas y Mercados Espanoles SHMSF SA (c)

    8,512       287,883  

CaixaBank SA

    445,837       2,123,067  

Cellnex Telecom SA (e)

    19,020       507,367  

Distribuidora Internacional de Alimentacion SA (c)

    97,913       415,082  

Ebro Foods SA (c)

    13,199       335,370  

Enagas SA

    28,961       791,781  

Endesa SA

    39,416       866,989  

Faes Farma SA

    36,224       132,314  

Ferrovial SA

    55,839       1,165,048  

Gas Natural SDG SA

    45,929       1,095,260  

Grifols SA

    52,324       1,480,709  

Grifols SA ADR

    32,272       684,166  

Grifols SA Class B, Preference

   

Shares

    30,854       655,704  

Iberdrola SA

    784,356       5,760,833  

Indra Sistemas SA (b)

    63,849       881,833  

Industria de Diseno Textil SA

    143,228       4,479,470  

Inmobiliaria Colonial Socimi SA REIT

    37,346       431,742  

Let’s GOWEX SA (a) (b) (c)

    4,019        

Mapfre SA

    122,814       407,967  

Security Description

 

Shares

   

Value

 

Mediaset Espana Comunicacion SA

    25,652     $ 260,777  

Merlin Properties Socimi SA

    40,241       615,661  

NH Hotel Group SA

    100,806       791,589  

Pharma Mar SA (b)

    134,812       273,236  

Red Electrica Corp. SA

    55,363       1,139,116  

Repsol SA

    187,990       3,332,742  

Sacyr SA

    67,230       179,504  

Siemens Gamesa Renewable

   

Energy SA (c)

    28,531       457,032  

Telefonica SA

    588,596       5,811,349  

Viscofan SA

    5,380       371,191  
   

 

 

 
      68,707,601  
   

 

 

 

SWEDEN — 2.6%

   

Alfa Laval AB

    106,365       2,503,924  

Arjo AB Class B (b)

    9,467       27,582  

Assa Abloy AB Class B

    126,510       2,724,373  

Atlas Copco AB Class A

    83,272       3,591,470  

Atlas Copco AB Class B

    51,004       1,976,262  

Bilia AB Class A

    38,454       339,781  

BillerudKorsnas AB

    22,727       350,343  

Boliden AB

    33,968       1,186,373  

Castellum AB (c)

    34,013       554,374  

Dometic Group AB (e)

    36,954       336,455  

Electrolux AB Class B

    61,733       1,934,961  

Elekta AB Class B

    33,247       353,558  

Essity AB Class B (b)

    75,760       2,086,051  

Fabege AB

    17,452       376,764  

Fastighets AB Balder (b)

    12,095       302,707  

Getinge AB Class B

    12,876       145,967  

Hennes & Mauritz AB Class B (c)

    130,197       1,946,084  

Hexagon AB Class B

    33,100       1,960,357  

Hexpol AB

    39,864       368,186  

Holmen AB Class B

    6,197       335,201  

Husqvarna AB Class B

    52,583       505,311  

ICA Gruppen AB (c)

    9,891       348,880  

Industrivarden AB Class A

    24,808       600,738  

Industrivarden AB Class C

    20,975       485,755  

Indutrade AB

    11,147       286,435  

Intrum Justitia AB (c)

    9,152       258,666  

Investor AB Class B

    56,886       2,507,799  

JM AB

    10,419       235,755  

Karo Pharma AB (c)

    180,453       709,978  

Kinnevik AB Class B

    41,112       1,474,667  

KNOW IT AB

    48,904       981,023  

L E Lundbergforetagen AB Class B

    4,584       327,319  

Loomis AB Class B

    9,062       325,050  

Lundin Petroleum AB (b)

    29,004       725,897  

NetEnt AB (b)

    181,391       908,385  

Nibe Industrier AB Class B

    48,151       454,326  

Nordea Bank AB

    407,018       4,330,289  

Opus Group AB (c)

    188,060       138,101  

Qliro Group AB (b)

    146,948       214,067  

SAAB AB Class B

    12,782       576,768  

Sandvik AB

    196,462       3,576,280  

Securitas AB Class B

    40,880       691,926  
 

 

 

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March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Skandinaviska Enskilda Banken AB Class A (c)

    221,780     $ 2,315,571  

Skanska AB Class B

    51,039       1,040,002  

SKF AB Class B (c)

    46,656       949,855  

Svenska Cellulosa AB SCA Class B

    62,986       668,758  

Svenska Handelsbanken AB Class A (c)

    189,970       2,363,623  

Swedbank AB Class A (c)

    131,457       2,935,289  

Swedish Match AB

    20,231       911,927  

Swedish Orphan Biovitrum AB (b)

    28,134       500,377  

Tele2 AB Class B

    109,293       1,306,980  

Telefonaktiebolaget LM Ericsson Class B (c)

    482,072       3,046,192  

Telia Co. AB

    323,529       1,514,731  

Tethys Oil AB

    39,400       316,148  

Trelleborg AB Class B

    31,004       776,692  

Volvo AB Class A

    44,661       813,250  

Volvo AB Class B (c)

    202,160       3,675,176  
   

 

 

 
      67,198,759  
   

 

 

 

SWITZERLAND — 6.9%

   

ABB, Ltd.

    255,676       6,066,164  

Adecco Group AG

    38,201       2,712,686  

Aryzta AG (b) (c)

    4,686       103,987  

Baloise Holding AG

    6,289       959,506  

Barry Callebaut AG

    364       710,058  

Chocoladefabriken Lindt & Spruengli AG (d)

    42       259,868  

Chocoladefabriken Lindt & Spruengli AG (d)

    5       362,886  

Cie Financiere Richemont SA

    66,695       5,973,019  

Clariant AG (b)

    36,453       868,309  

Coca-Cola HBC AG (b)

    22,288       823,536  

Comet Holding AG (b)

    6,971       962,371  

Credit Suisse Group AG (b)

    270,048       4,509,260  

Dufry AG (b)

    4,110       537,141  

EMS-Chemie Holding AG

    842       530,207  

Ferguson PLC

    45,893       3,446,836  

Flughafen Zurich AG

    2,416       531,843  

Geberit AG

    4,938       2,178,165  

Georg Fischer AG

    451       601,898  

Givaudan SA

    1,219       2,769,992  

Glencore PLC (b)

    1,351,009       6,705,201  

Idorsia, Ltd. (b)

    12,483       298,779  

Julius Baer Group, Ltd. (b)

    42,013       2,577,113  

Kuehne + Nagel International AG

    15,354       2,409,885  

LafargeHolcim, Ltd. (b) (d)

    74,200       4,052,485  

LafargeHolcim, Ltd. (b) (d)

    1,239       67,473  

Leonteq AG (b)

    5,836       332,145  

Logitech International SA

    21,476       784,044  

Lonza Group AG (b)

    8,683       2,041,992  

Meyer Burger Technology AG (b) (c)

    16,072       18,563  

Nestle SA

    386,759       30,541,683  

Novartis AG

    328,125       26,473,410  

Partners Group Holding AG

    2,414       1,789,829  

Security Description

 

Shares

   

Value

 

PSP Swiss Property AG

    4,968     $ 483,519  

Roche Holding AG Bearer Shares

    3,302       764,812  

Roche Holding AG

    93,196       21,323,354  

Schindler Holding AG

    5,742       1,235,226  

Schindler Holding AG

    2,936       613,200  

SGS SA

    771       1,890,464  

Sika AG

    366       2,860,808  

Sonova Holding AG

    7,114       1,127,721  

STMicroelectronics NV

    104,293       2,306,842  

Straumann Holding AG

    1,266       795,877  

Sulzer AG

    10,763       1,410,564  

Swatch Group AG

    7,489       3,295,598  

Swatch Group AG

    7,468       624,283  

Swiss Life Holding AG (b)

    4,119       1,463,759  

Swiss Prime Site AG (b)

    9,016       870,436  

Swiss Re AG

    44,635       4,534,349  

Swisscom AG (c)

    3,283       1,623,673  

Temenos Group AG (b)

    12,365       1,477,189  

u-blox Holding AG

    2,130       382,581  

UBS Group AG (b)

    456,139       8,000,057  

Vifor Pharma AG

    4,646       714,415  

Zurich Insurance Group AG (b)

    21,607       7,071,464  
   

 

 

 
      177,870,525  
   

 

 

 

UNITED KINGDOM — 13.3%

   

3i Group PLC

    264,300       3,184,829  

Admiral Group PLC

    31,248       808,312  

Afren PLC (a) (c)

    55,933        

Aggreko PLC

    27,705       285,344  

Anglo American PLC

    197,924       4,611,730  

Ashtead Group PLC

    55,910       1,521,553  

Associated British Foods PLC

    45,484       1,589,381  

AstraZeneca PLC

    172,777       11,865,300  

Auto Trader Group PLC (e)

    94,904       466,758  

Aviva PLC

    648,063       4,508,241  

Avon Rubber PLC (c)

    58,480       1,041,854  

Babcock International Group PLC (c)

    65,922       618,475  

BAE Systems PLC

    398,264       3,248,193  

Balfour Beatty PLC

    341,898       1,283,448  

Barclays PLC

    1,775,397       5,142,938  

Barratt Developments PLC

    204,969       1,525,062  

BBA Aviation PLC

    149,656       672,640  

Bellway PLC

    12,881       550,938  

Berkeley Group Holdings PLC

    13,606       723,187  

Big Yellow Group PLC REIT

    35,464       424,358  

BP PLC

    2,467,608       16,589,529  

British American Tobacco PLC

    283,584       16,433,599  

British Land Co. PLC REIT

    220,070       1,981,945  

Britvic PLC

    27,366       262,005  

BT Group PLC

    1,201,404       3,834,125  

BTG PLC (b)

    48,124       456,356  

Bunzl PLC

    42,298       1,243,082  

Burberry Group PLC

    69,860       1,662,073  

Cairn Energy PLC (b)

    55,676       160,891  

Capita PLC

    118,617       239,693  
 

 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Capital & Counties Properties PLC (c)

    94,470     $ 360,461  

Carnival PLC

    40,479       2,600,705  

Centamin PLC

    289,612       627,074  

Centrica PLC

    848,757       1,693,085  

CNH Industrial NV

    126,685       1,562,710  

Cobham PLC (b)

    221,781       382,360  

Coca-Cola European Partners PLC

    29,378       1,223,888  

Compass Group PLC

    212,912       4,347,185  

Croda International PLC

    9,168       587,485  

CYBG PLC

    93,980       388,551  

Daily Mail & General Trust PLC

    28,950       262,347  

DCC PLC

    10,807       994,500  

Derwent London PLC

    14,426       627,745  

Diageo PLC

    345,741       11,698,332  

Dialog Semiconductor PLC (b)

    9,953       236,184  

Direct Line Insurance Group PLC

    182,296       975,079  

Dixons Carphone PLC

    129,287       338,334  

Drax Group PLC

    48,911       188,410  

DS Smith PLC

    70,170       463,233  

easyJet PLC

    31,885       717,665  

Experian PLC

    141,047       3,042,109  

Fiat Chrysler Automobiles NV

    135,862       2,757,318  

Firstgroup PLC (b)

    440,401       507,209  

Foxtons Group PLC

    46,335       52,844  

G4S PLC

    461,555       1,606,372  

GKN PLC

    215,904       1,402,289  

GlaxoSmithKline PLC

    662,371       12,952,686  

Grafton Group PLC

    27,691       299,106  

Great Portland Estates PLC REIT

    35,864       335,018  

Greene King PLC

    39,034       258,124  

Halma PLC

    48,200       797,180  

Hammerson PLC REIT

    93,760       705,771  

Hansteen Holdings PLC REIT

    53,836       96,365  

Hargreaves Lansdown PLC

    25,019       573,128  

Hays PLC

    176,066       465,074  

Hiscox, Ltd.

    37,277       761,374  

HomeServe PLC

    50,972       527,696  

Howden Joinery Group PLC

    75,543       488,318  

HSBC Holdings PLC

    2,609,645       24,359,030  

IG Group Holdings PLC

    46,048       515,154  

IMI PLC

    29,377       445,069  

Imperial Brands PLC

    121,684       4,141,141  

Inchcape PLC

    52,759       511,411  

Indivior PLC (b)

    102,350       585,218  

Informa PLC

    95,813       965,845  

Inmarsat PLC

    38,997       198,087  

InterContinental Hotels Group PLC

    26,458       1,584,080  

International Consolidated Airlines Group SA

    86,132       742,596  

International Personal Finance PLC

    42,662       137,287  

Intertek Group PLC

    21,291       1,391,803  

Intu Properties PLC REIT (c)

    100,785       293,649  

Security Description

 

Shares

   

Value

 

ITV PLC

    462,410     $ 935,056  

J Sainsbury PLC

    311,256       1,042,672  

John Wood Group PLC

    132,092       1,000,613  

Johnson Matthey PLC

    25,208       1,075,705  

Just Eat PLC (b)

    65,552       642,223  

Keller Group PLC

    12,792       156,118  

Kingfisher PLC

    494,487       2,028,974  

Land Securities Group PLC REIT

    155,820       2,048,353  

Legal & General Group PLC

    746,114       2,698,260  

Lloyds Banking Group PLC

    8,848,625       8,026,150  

London Stock Exchange Group PLC

    39,334       2,276,633  

Lonmin PLC (b) (c)

    25,523       20,802  

Man Group PLC

    348,021       837,758  

Marks & Spencer Group PLC

    317,096       1,201,910  

Meggitt PLC

    79,881       483,862  

Melrose Industries PLC (c)

    231,620       750,557  

Micro Focus International PLC

    54,674       756,843  

National Grid PLC

    504,969       5,682,548  

NEX Group PLC

    116,080       1,597,431  

Next PLC

    26,930       1,797,827  

Ocado Group PLC (b) (c)

    50,485       375,914  

Old Mutual PLC

    951,704       3,194,776  

Ophir Energy PLC (b)

    74,801       55,194  

Pearson PLC

    150,551       1,581,835  

Pennon Group PLC

    52,598       474,729  

Persimmon PLC

    30,611       1,086,410  

Petrofac, Ltd.

    30,196       214,675  

Provident Financial PLC (c)

    8,327       79,619  

Prudential PLC

    322,109       8,036,232  

Randgold Resources, Ltd.

    21,910       1,807,853  

Reckitt Benckiser Group PLC

    83,659       7,081,312  

RELX NV

    133,553       2,764,331  

RELX PLC

    154,452       3,174,146  

Rentokil Initial PLC

    233,391       889,548  

Rightmove PLC

    12,888       785,907  

Rio Tinto PLC

    149,144       7,554,905  

Rio Tinto, Ltd.

    49,736       2,773,505  

Rolls-Royce Holdings PLC (b)

    275,189       3,364,682  

Royal Bank of Scotland Group PLC (b)

    411,223       1,492,923  

Royal Mail PLC

    57,692       437,671  

RPC Group PLC

    51,448       558,028  

RSA Insurance Group PLC

    172,329       1,522,982  

Sage Group PLC

    141,585       1,269,550  

Schroders PLC

    14,445       646,809  

Segro PLC REIT

    119,015       1,003,729  

Serco Group PLC (b)

    228,499       282,715  

Severn Trent PLC

    30,172       780,478  

Shaftesbury PLC

    35,195       484,829  

Shire PLC

    114,247       5,722,287  

Sky PLC

    168,546       3,067,761  

Smith & Nephew PLC

    120,731       2,254,201  

Smiths Group PLC

    124,279       2,638,614  

Spirax-Sarco Engineering PLC

    9,140       737,883  

Sports Direct International PLC (b)

    19,816       102,185  
 

 

 

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Table of Contents

SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SSE PLC

    192,300     $ 3,442,118  

St James’s Place PLC

    65,995       1,005,858  

Standard Chartered PLC

    367,041       3,669,586  

Standard Life Aberdeen PLC

    535,137       2,700,233  

TalkTalk Telecom Group PLC

    54,952       89,266  

Tate & Lyle PLC

    114,929       878,017  

Taylor Wimpey PLC

    310,917       805,141  

Telecom Plus PLC

    7,905       135,509  

Tesco PLC

    1,377,223       3,977,923  

Thomas Cook Group PLC

    135,344       224,415  

TP ICAP PLC

    73,803       462,576  

Travis Perkins PLC

    20,230       350,192  

Trinity Mirror PLC

    59,669       66,544  

Tullow Oil PLC (b)

    228,844       629,204  

UBM PLC

    49,720       654,229  

Unilever NV

    214,288       12,088,680  

Unilever PLC

    185,129       10,272,392  

United Utilities Group PLC

    89,597       899,162  

Victrex PLC

    12,017       432,899  

Vodafone Group PLC

    3,630,455       9,891,241  

Weir Group PLC

    14,513       406,057  

Whitbread PLC

    23,959       1,243,558  

William Hill PLC

    181,572       841,305  

Wm Morrison Supermarkets PLC

    497,770       1,490,810  

Workspace Group PLC REIT

    29,787       414,509  

WPP PLC

    169,409       2,691,352  
   

 

 

 
      343,830,812  
   

 

 

 

UNITED STATES — 0.2%

   

Argonaut Gold, Inc. (b)

    44,443       84,801  

Flex, Ltd. (b)

    174,046       2,842,171  

ICON PLC (b)

    7,776       918,657  

REC Silicon ASA (b)

    383,191       73,017  

Stratasys, Ltd. (b) (c)

    5,861       118,275  

Tahoe Resources, Inc.

    18,178       85,303  

Worldpay, Inc. Class A (b)

    377       30,393  
   

 

 

 
      4,152,617  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $2,514,314,674)

      2,571,975,742  
   

 

 

 

WARRANTS — 0.0% (f)

   

FRANCE — 0.0% (f)

   

CGG SA (expiring 2/21/22) (b) (c)

    4,461       1,810  

CGG SA (expiring 2/21/23) (b) (c)

    14,495       2,514  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      4,324  
   

 

 

 

RIGHTS — 0.0% (f)

   

ITALY — 0.0% (f)

   

Immobiliare Grande Distribuzione SIIQ SpA (expiring 04/13/18) (b)

    48,911       52,009  
   

 

 

 

Security Description

 

Shares

   

Value

 

SOUTH KOREA — 0.0% (f)

   

Samsung Heavy Industries Co., Ltd. (expires 4/13/18) (b)

    16,450     $ 32,023  
   

 

 

 

UNITED KINGDOM — 0.0% (f)

   

Provident Financial PLC (expiring 4/9/18) (b) (c)

    5,756       29,957  
   

 

 

 

TOTAL RIGHTS
(Cost $49,428)

      113,989  
   

 

 

 

SHORT-TERM INVESTMENTS — 2.6%

   

State Street Institutional
U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

    2,509,422       2,509,422  

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

    65,277,407       65,277,407  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $67,786,829)

      67,786,829  
   

 

 

 

TOTAL INVESTMENTS — 102.0%
(Cost $2,582,150,931)

      2,639,880,884  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (2.0)%

      (50,947,933
   

 

 

 

NET ASSETS — 100.0%

    $ 2,588,932,951  
   

 

 

 

 

(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) Non-income producing security.
(c) All or a portion of the shares of the security are on loan at March 31, 2018.
(d) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.5% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) Amount is less than 0.05% of net assets.
(g) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $65,925, representing less than 0.05% of net assets.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.
 

 

 

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SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

ADR =American Depositary Receipt

GDR =Global Depositary Receipt

REIT =Real Estate Investment Trust

SDR =Swedish Depositary Receipt

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
  Level 2 –
Other Significant

Observable Inputs
  Level 3 –
Significant
Unobservable Inputs
  Total

ASSETS:

               

INVESTMENTS:

               

Common Stocks

               

Australia

    $ 145,299,080     $        —     $   0 (a)     $ 145,299,080

Austria

      8,667,184                   8,667,184

Belgium

      30,204,666                   30,204,666

Canada

      199,571,091                   199,571,091

Chile

      564,078                   564,078

China

      1,454,522                   1,454,522

Denmark

      36,787,018                   36,787,018

Finland

      22,415,427                   22,415,427

France

      208,691,149                   208,691,149

Germany

      200,957,194                   200,957,194

Hong Kong

      74,724,692                   74,724,692

Ireland

      13,827,590             0 (a)       13,827,590

Israel

      13,553,579                   13,553,579

Italy

      52,470,131                   52,470,131

Japan

      603,806,433                   603,806,433

Jordan

      300,930                   300,930

Luxembourg

      4,921,092                   4,921,092

Macau

      621,230                   621,230

Malta

      746,969                   746,969

Mexico

      448,831                   448,831

Netherlands

      96,005,511       13,495             96,019,006

New Zealand

      7,039,646                   7,039,646

Norway

      18,432,640                   18,432,640

Portugal

      4,857,592                   4,857,592

Singapore

      30,771,879       52,430             30,824,309

South Africa

      3,026,071                   3,026,071

South Korea

      129,983,278             0 (a)       129,983,278

Spain

      68,707,601             0 (a)       68,707,601

Sweden

      67,198,759                   67,198,759

Switzerland

      177,870,525                   177,870,525

United Kingdom

      343,830,812             0 (a)       343,830,812

United States

      4,152,617                   4,152,617

Warrants

               

France

      4,324                   4,324

Rights

               

Italy

      52,009                   52,009

South Korea

      32,023                   32,023

United Kingdom

      29,957                   29,957

Short-Term Investments

      67,786,829                   67,786,829
   

 

 

     

 

 

     

 

 

     

 

 

 

TOTAL INVESTMENTS

    $ 2,639,814,959     $ 65,925     $   0     $ 2,639,880,884
   

 

 

     

 

 

     

 

 

     

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

 

106


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SPDR PORTFOLIO DEVELOPED WORLD EX-US ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Affiliate Table

 

    Number of
Shares Held
at
9/30/17
  Value at
9/30/17
  Cost of
Purchases
  Proceeds
from
Shares Sold
  Realized
Gain (Loss)
  Change in
Unrealized
Appreciation/
Depreciation
  Number of
Shares Held
at
3/31/18
  Value at
3/31/18
  Dividend
Income
  Capital
Gains
Distributions

State Street Institutional U.S. Government Money Market Fund, Class G Shares

      1,169,081     $ 1,169,081     $ 9,556,166     $ 7,046,744     $     $       2,509,422     $ 2,509,422     $ 28,979     $

State Street Navigator Securities Lending Government Money Market Portfolio

      22,963,226       22,963,226       224,925,176       182,610,995                   65,277,407       65,277,407       283,601      
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

Total

        $ 24,132,307     $ 234,481,342     $ 189,657,739     $     $         $ 67,786,829     $ 312,580     $
       

 

 

     

 

 

     

 

 

     

 

 

     

 

 

         

 

 

     

 

 

     

 

 

 

 

107


Table of Contents

SPDR S&P CHINA ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.9%

   

AEROSPACE & DEFENSE — 0.1%

 

 

AviChina Industry & Technology Co., Ltd. Class H (a)

    1,728,000     $ 1,217,568  
   

 

 

 

AIR FREIGHT & LOGISTICS — 0.2%

   

Sinotrans, Ltd. Class H

    824,000       452,511  

ZTO Express Cayman, Inc. ADR (a)

    123,794       1,855,672  
   

 

 

 
      2,308,183  
   

 

 

 

AIRLINES — 0.4%

   

Air China, Ltd. Class H

    1,582,000       2,015,723  

China Eastern Airlines Corp., Ltd. Class H

    1,516,000       1,101,028  

China Southern Airlines Co., Ltd. Class H

    1,210,000       1,248,806  

Shandong Airlines Co., Ltd. Class B

    106,000       199,485  
   

 

 

 
      4,565,042  
   

 

 

 

AUTO COMPONENTS — 0.5%

   

China First Capital Group, Ltd. (b)

    518,000       243,546  

Fuyao Glass Industry Group Co., Ltd. Class H (c)

    186,000       716,907  

Minth Group, Ltd.

    636,000       2,897,060  

Xinyi Glass Holdings, Ltd.

    1,044,000       1,572,325  
   

 

 

 
      5,429,838  
   

 

 

 

AUTOMOBILES — 2.3%

   

BAIC Motor Corp., Ltd. Class H (c)

    925,400       1,134,303  

Brilliance China Automotive Holdings, Ltd.

    1,688,000       3,522,985  

Byd Co., Ltd. Class H (a)

    429,000       3,345,285  

Chongqing Changan Automobile Co., Ltd. Class B

    727,300       727,458  

Dongfeng Motor Group Co., Ltd. Class H

    2,149,300       2,494,823  

Geely Automobile Holdings, Ltd.

    3,254,000       9,370,233  

Great Wall Motor Co., Ltd. Class H (a)

    2,363,000       2,369,534  

Guangzhou Automobile Group Co., Ltd. Class H

    1,612,637       2,971,182  

Qingling Motors Co., Ltd. Class H

    2,508,000       821,268  
   

 

 

 
      26,757,071  
   

 

 

 

BANKS — 15.4%

   

Agricultural Bank of China, Ltd. Class H

    17,007,000       9,664,669  

Bank of China, Ltd. Class H

    47,648,700       25,620,518  

Bank of Chongqing Co., Ltd. Class H

    1,240,500       964,164  

Bank of Communications Co., Ltd. Class H

    14,645,824       11,476,602  

China CITIC Bank Corp., Ltd. Class H

    7,176,471       4,901,174  

China Construction Bank Corp. Class H

    66,318,623       68,107,501  

China Merchants Bank Co., Ltd. Class H

    2,452,235       10,045,406  

Security Description

 

Shares

   

Value

 

China Minsheng Banking Corp., Ltd. Class H

    4,654,800     $ 4,525,327  

Chongqing Rural Commercial Bank Co., Ltd. Class H

    1,864,000       1,427,397  

Huishang Bank Corp., Ltd. Class H

    1,737,000       854,302  

Industrial & Commercial Bank of China, Ltd. Class H

    48,386,789       41,492,182  

Postal Savings Bank of China Co., Ltd. Class H (c)

    2,132,000       1,339,240  

Shengjing Bank Co., Ltd. Class H (c)

    561,500       419,249  
   

 

 

 
      180,837,731  
   

 

 

 

BEVERAGES — 0.5%

   

China Resources Beer Holdings Co., Ltd.

    1,053,667       4,564,642  

Tibet Water Resources, Ltd. (b)

    1,461,000       578,942  

Tsingtao Brewery Co., Ltd. Class H

    213,000       1,112,725  
   

 

 

 
      6,256,309  
   

 

 

 

BIOTECHNOLOGY — 0.6%

   

3SBio, Inc. (a) (b) (c)

    545,000       1,227,731  

BeiGene, Ltd. ADR (b)

    26,792       4,501,056  

China Biologic Products Holdings, Inc. (b)

    10,998       890,838  

Shanghai Haohai Biological Technology Co., Ltd. Class H (c)

    15,700       98,221  
   

 

 

 
      6,717,846  
   

 

 

 

BUILDING PRODUCTS — 0.0% (d)

 

China Lesso Group Holdings, Ltd.

    356,000       270,800  
   

 

 

 

CAPITAL MARKETS — 1.6%

   

Central China Securities Co., Ltd. Class H (a)

    360,000       134,399  

China Cinda Asset Management Co., Ltd. Class H

    7,265,200       2,638,255  

China Everbright, Ltd.

    648,000       1,357,379  

China Financial International Investments, Ltd. (a) (b)

    4,010,000       137,953  

China Galaxy Securities Co., Ltd. Class H

    2,097,000       1,394,740  

China Huarong Asset Management Co., Ltd. Class H (c)

    5,286,000       2,222,622  

CITIC Securities Co., Ltd. Class H

    1,394,500       3,191,165  

GF Securities Co., Ltd. Class H

    1,074,200       1,973,671  

Guotai Junan International Holdings, Ltd. (a)

    1,776,000       511,418  

Haitong Securities Co., Ltd. Class H

    2,015,400       2,665,527  

Huatai Securities Co., Ltd. Class H (c)

    711,200       1,368,337  

Noah Holdings, Ltd. ADS (b)

    15,494       731,472  

Shenwan Hongyuan HK, Ltd. (a)

    505,000       155,072  
   

 

 

 
      18,482,010  
   

 

 

 

CHEMICALS — 0.2%

   

China BlueChemical, Ltd. Class H

    2,022,000       566,798  

China Lumena New Materials Corp. (a) (b) (e)

    3,564,548        

Fufeng Group, Ltd. (a)

    564,000       334,161  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sinopec Shanghai Petrochemical Co., Ltd. Class H

    2,801,999     $ 1,702,985  
   

 

 

 
      2,603,944  
   

 

 

 

COMMERCIAL SERVICES & SUPPLIES — 0.8%

 

China Everbright International, Ltd.

    1,933,000       2,709,249  

China Evergrande Group (a) (b)

    2,151,600       6,771,469  

Dongjiang Environmental Co., Ltd. Class H (a)

    151,600       203,594  
   

 

 

 
      9,684,312  
   

 

 

 

COMMUNICATIONS EQUIPMENT — 0.4%

 

BYD Electronic International Co., Ltd. (a)

    517,000       969,668  

China All Access Holdings, Ltd.

    1,268,000       403,909  

China Fiber Optic Network System Group, Ltd. (b) (e)

    1,131,600        

Comba Telecom Systems Holdings, Ltd. (a)

    1,398,310       187,076  

Shanghai Potevio Co., Ltd. Class B (b)

    264,700       108,262  

Yangtze Optical Fibre and Cable Joint Stock, Ltd. Co. Class H (c)

    176,000       814,036  

ZTE Corp. Class H (a) (b)

    584,597       1,903,145  
   

 

 

 
      4,386,096  
   

 

 

 

CONSTRUCTION & ENGINEERING — 0.8%

 

China Communications Construction Co., Ltd. Class H

    3,002,394       3,083,381  

China Machinery Engineering Corp. Class H

    459,000       243,293  

China Railway Construction Corp., Ltd. Class H

    1,208,875       1,210,677  

China Railway Group, Ltd. Class H

    2,689,000       1,863,864  

China Singyes Solar Technologies Holdings, Ltd. (a)

    368,000       134,572  

China State Construction International Holdings, Ltd.

    1,176,000       1,435,480  

Concord New Energy Group, Ltd.

    3,560,000       161,029  

Metallurgical Corp. of China, Ltd. Class H

    1,634,000       466,363  

Sinopec Engineering Group Co., Ltd. Class H

    1,083,000       1,077,715  
   

 

 

 
      9,676,374  
   

 

 

 

CONSTRUCTION MATERIALS — 0.8%

 

Anhui Conch Cement Co., Ltd. Class H

    851,500       4,638,154  

BBMG Corp. Class H (a)

    1,301,000       586,820  

China National Building Material Co., Ltd. Class H (a)

    2,326,000       2,525,071  

China Resources Cement Holdings, Ltd.

    801,163       692,110  

China Shanshui Cement Group, Ltd. (a) (b) (e)

    1,896,000       90,593  

CSG Holding Co., Ltd. Class B

    446,200       255,839  
   

 

 

 
      8,788,587  
   

 

 

 

Security Description

 

Shares

   

Value

 

CONSUMER FINANCE — 0.2%

   

China Financial Services Holdings, Ltd.

    2,990,000     $ 251,443  

Chong Sing Holdings FinTech Gr (a) (b)

    15,842,900       2,079,200  
   

 

 

 
      2,330,643  
   

 

 

 

CONTAINERS & PACKAGING — 0.1%

 

Beijing Enterprises Clean Energy Group, Ltd. (b)

    9,505,714       308,851  

Greatview Aseptic Packaging Co., Ltd.

    456,000       306,777  
   

 

 

 
      615,628  
   

 

 

 

DISTRIBUTORS — 0.0% (d)

   

Qianhai Health Holdings, Ltd. (a) (b)

    11,000,000       110,725  

Xinhua Winshare Publishing and Media Co., Ltd. Class H

    593,000       473,747  
   

 

 

 
      584,472  
   

 

 

 

DIVERSIFIED CONSUMER SERVICES — 1.4%

 

China Maple Leaf Educational Systems, Ltd.

    456,000       611,230  

Fu Shou Yuan International Group, Ltd.

    723,000       716,708  

New Oriental Education & Technology Group, Inc. ADR

    86,975       7,623,359  

TAL Education Group ADR

    189,262       7,019,728  
   

 

 

 
      15,971,025  
   

 

 

 

DIVERSIFIED FINANCIAL SERVICES — 0.1%

 

Far East Horizon, Ltd.

    1,161,000       1,227,820  
   

 

 

 

DIVERSIFIED TELECOMMUNICATION SERVICES — 0.9%

 

China Communications Services Corp., Ltd. Class H

    2,179,600       1,302,489  

China Telecom Corp., Ltd. Class H

    9,424,951       4,155,082  

China Unicom Hong Kong, Ltd. (b)

    3,855,805       4,863,788  

CITIC Telecom International Holdings, Ltd.

    1,169,000       338,115  
   

 

 

 
      10,659,474  
   

 

 

 

ELECTRICAL EQUIPMENT — 0.3%

 

Dongfang Electric Corp., Ltd. Class H (b)

    247,800       192,915  

Shanghai Electric Group Co., Ltd. Class H (a) (b)

    2,122,000       735,425  

Tech Pro Technology Development, Ltd. (b) (f)

    4,481,396       38,828  

Xinjiang Goldwind Science & Technology Co., Ltd. Class H (a)

    359,160       575,696  

Zhuzhou CRRC Times Electric Co., Ltd. Class H

    430,100       2,082,464  
   

 

 

 
      3,625,328  
   

 

 

 

ELECTRONIC EQUIPMENT, INSTRUMENTS & COMPONENTS — 1.8%

 

AAC Technologies Holdings, Inc.

    466,745       8,421,071  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

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Value

 

Anxin-China Holdings, Ltd. (b) (e)

    3,068,000     $  

AVIC International Holdings, Ltd. Class H

    267,982       182,677  

China Soft Power Technology Holdings, Ltd. (a) (b)

    2,219,000       34,494  

Dongxu Optoelectronic Technology Co., Ltd. Class B

    1,410,700       839,414  

FIT Hon Teng, Ltd. (a) (c)

    807,000       369,141  

Ju Teng International Holdings, Ltd.

    1,052,000       260,041  

Kingboard Chemical Holdings, Ltd.

    550,999       2,516,891  

Kingboard Laminates Holdings, Ltd.

    338,000       490,098  

Sunny Optical Technology Group Co., Ltd.

    429,000       7,920,454  

Wasion Group Holdings, Ltd. (a)

    358,000       182,460  
   

 

 

 
      21,216,741  
   

 

 

 

ENERGY EQUIPMENT & SERVICES — 0.1%

 

Anton Oilfield Services Group (a) (b)

    928,000       114,695  

China Oilfield Services, Ltd. Class H

    1,257,900       1,296,639  

Hilong Holding, Ltd.

    672,000       101,892  

Sinopec Oilfield Service Corp. Class H (a) (b)

    1,288,000       193,652  
   

 

 

 
      1,706,878  
   

 

 

 

FOOD & STAPLES RETAILING — 0.1%

 

Sun Art Retail Group, Ltd.

    1,439,000       1,674,002  
   

 

 

 

FOOD PRODUCTS — 1.9%

   

China Agri-Industries Holdings, Ltd.

    1,641,600       721,624  

China Huishan Dairy Holdings Co., Ltd. (a) (b) (e)

    2,729,000        

China Huiyuan Juice Group, Ltd. (b)

    701,000       180,424  

China Mengniu Dairy Co., Ltd.

    1,839,220       6,303,915  

China Yurun Food Group, Ltd. (b)

    1,139,000       152,383  

CP Pokphand Co., Ltd.

    3,204,000       249,027  

Health and Happiness H&H International Holdings, Ltd. (b)

    159,500       1,214,292  

Tingyi Cayman Islands Holding Corp.

    1,341,844       2,783,434  

Uni-President China Holdings, Ltd.

    1,234,400       1,067,948  

Want Want China Holdings, Ltd.

    4,719,933       3,782,778  

WH Group, Ltd. (c)

    4,820,106       5,134,371  

YuanShengTai Dairy Farm, Ltd. (a) (b)

    2,308,000       102,927  
   

 

 

 
      21,693,123  
   

 

 

 

GAS UTILITIES — 0.7%

   

China Gas Holdings, Ltd.

    1,500,000       5,456,595  

China Oil & Gas Group, Ltd.

    1,616,000       129,720  

China Resources Gas Group, Ltd.

    645,000       2,239,498  
   

 

 

 
      7,825,813  
   

 

 

 

Security Description

 

Shares

   

Value

 

HEALTH CARE EQUIPMENT & SUPPLIES — 0.1%

 

Shandong Weigao Group Medical Polymer Co., Ltd. Class H

    1,692,000     $ 1,127,526  

Yestar Healthcare Holdings Co., Ltd. (a)

    695,000       241,753  
   

 

 

 
      1,369,279  
   

 

 

 

HEALTH CARE PROVIDERS & SERVICES — 0.5%

 

China Resources Phoenix Healthcare Holdings Co., Ltd. (a)

    421,000       507,992  

Shanghai Pharmaceuticals Holding Co., Ltd. Class H

    709,600       1,898,704  

Sinopharm Group Co., Ltd. Class H

    771,600       3,863,751  
   

 

 

 
      6,270,447  
   

 

 

 

HOTELS, RESTAURANTS & LEISURE — 1.3%

 

Ajisen China Holdings, Ltd.

    458,000       215,919  

China Lodging Group, Ltd. ADR

    18,551       2,443,352  

China Travel International Investment Hong Kong, Ltd.

    3,034,000       1,074,694  

Imperial Pacific International Holdings, Ltd. (a) (b)

    29,330,300       366,241  

Shanghai Jin Jiang International Hotels Group Co., Ltd. Class H

    1,216,187       497,428  

Yum China Holdings, Inc.

    243,244       10,094,626  
   

 

 

 
      14,692,260  
   

 

 

 

HOUSEHOLD DURABLES — 0.4%

   

Haier Electronics Group Co., Ltd.

    941,000       3,351,165  

Hisense Kelon Electrical Holdings Co., Ltd. Class H

    295,000       336,411  

Skyworth Digital Holdings, Ltd.

    1,715,423       771,561  
   

 

 

 
      4,459,137  
   

 

 

 

HOUSEHOLD PRODUCTS — 0.1%

   

Vinda International Holdings, Ltd.

    434,000       764,227  
   

 

 

 

INDEPENDENT POWER PRODUCERS & ENERGY TRADERS — 1.0%

 

Beijing Jingneng Clean Energy Co., Ltd. Class H

    1,178,000       286,684  

CGN PowerCo.,Ltd.Class H (a) (c)

    7,947,000       2,055,529  

China Datang Corp. Renewable Power Co., Ltd. Class H

    1,919,000       259,182  

China Longyuan Power Group Corp., Ltd. Class H

    2,365,000       1,814,062  

China Power International Development, Ltd.

    2,369,000       609,734  

China Resources Power Holdings Co., Ltd.

    1,262,092       2,302,812  

Datang International Power Generation Co., Ltd. Class H (b)

    3,036,287       909,149  

Huadian Fuxin Energy Corp., Ltd. Class H

    1,850,000       473,797  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Huadian Power International Corp., Ltd. Class H

    984,000     $ 378,640  

Huaneng Power International, Inc. Class H

    2,732,129       1,834,578  

Huaneng Renewables Corp., Ltd. Class H

    2,554,000       953,483  
   

 

 

 
      11,877,650  
   

 

 

 

INDUSTRIAL CONGLOMERATES — 0.8%

 

Beijing Enterprises Holdings, Ltd.

    429,500       2,243,734  

CITIC, Ltd.

    4,282,000       5,990,643  

Shanghai Industrial Holdings, Ltd.

    320,000       833,811  
   

 

 

 
      9,068,188  
   

 

 

 

INSURANCE — 5.6%

 

China Life Insurance Co., Ltd. Class H

    4,771,040       13,130,801  

China Pacific Insurance Group Co., Ltd. Class H

    1,584,200       7,095,120  

China Taiping Insurance Holdings Co., Ltd.

    796,891       2,634,879  

Fanhua, Inc. ADR (a)

    27,274       736,943  

New China Life Insurance Co., Ltd. Class H

    419,500       1,953,636  

People’s Insurance Co. Group of China, Ltd. Class H

    4,945,000       2,312,367  

PICC Property & Casualty Co., Ltd. Class H

    2,998,858       5,250,094  

Ping An Insurance Group Co. of China, Ltd. Class H (a)

    3,140,100       31,927,931  
   

 

 

 
      65,041,771  
   

 

 

 

INTERNET & CATALOG RETAIL — 3.0%

 

Ctrip.com International, Ltd. ADR (b)

    241,421       11,255,047  

JD.com, Inc. ADR (b)

    496,240       20,092,757  

Vipshop Holdings, Ltd. ADR (b)

    227,874       3,787,266  
   

 

 

 
      35,135,070  
   

 

 

 

INTERNET SOFTWARE & SERVICES — 32.4%

 

21Vianet Group, Inc. ADR (b)

    39,390       272,973  

58.com, Inc. ADR (b)

    50,383       4,023,586  

Alibaba Group Holding, Ltd. ADR (b)

    709,906       130,296,147  

Autohome, Inc. ADR

    27,170       2,334,990  

Baidu, Inc. ADR (b)

    169,905       37,921,097  

Baozun, Inc. ADR (b)

    14,547       667,416  

Bitauto Holdings, Ltd. ADR (a) (b)

    19,665       415,915  

China Literature, Ltd. (a) (b) (c)

    80,000       740,033  

Fang Holdings, Ltd. ADR (a) (b)

    118,574       609,470  

Momo, Inc. ADR (b)

    29,597       1,106,336  

NetEase, Inc. ADR

    46,342       12,993,833  

Phoenix New Media, Ltd. ADR (b)

    39,351       171,177  

SINA Corp. (b)

    43,184       4,502,796  

Sohu.com, Inc. (b)

    28,146       870,274  

Tencent Holdings, Ltd.

    3,383,615       176,589,670  

Tian Ge Interactive Holdings, Ltd. (a) (c)

    130,000       109,489  

Weibo Corp. ADR

    28,685       3,429,005  

Security Description

 

Shares

   

Value

 

YY, Inc. ADR (b)

    26,215     $ 2,757,818  
   

 

 

 
      379,812,025  
   

 

 

 

IT SERVICES — 0.4%

 

AGTech Holdings, Ltd. (a) (b)

    1,452,000       172,058  

Chinasoft International, Ltd. (a) (b)

    1,694,000       1,519,534  

Digital China Holdings, Ltd. (a) (b)

    722,000       396,496  

Hi Sun Technology China, Ltd. (b)

    1,377,000       243,878  

TravelSky Technology, Ltd. Class H

    860,000       2,492,897  
   

 

 

 
      4,824,863  
   

 

 

 

LIFE SCIENCES TOOLS & SERVICES — 0.2%

 

Genscript Biotech Corp. (a)

    442,000       1,413,580  

Wuxi Biologics Cayman, Inc. (b) (c)

    110,500       1,062,297  
   

 

 

 
      2,475,877  
   

 

 

 

MACHINERY — 1.1%

 

China Conch Venture Holdings, Ltd.

    738,000       2,252,093  

China International Marine Containers Group Co., Ltd. Class H

    544,300       848,876  

CIMC Enric Holdings, Ltd. (a) (b)

    614,000       588,316  

CRRC Corp., Ltd. Class H

    2,790,950       2,379,044  

First Tractor Co., Ltd. Class H (a)

    356,000       132,452  

Haitian International Holdings, Ltd.

    625,000       1,895,315  

Lonking Holdings, Ltd.

    1,983,000       843,905  

Weichai Power Co., Ltd. Class H

    2,004,680       2,247,771  

Yangzijiang Shipbuilding Holdings, Ltd.

    1,881,500       1,736,151  

Zoomlion Heavy Industry Science and Technology Co., Ltd. (a)

    863,800       330,186  
   

 

 

 
      13,254,109  
   

 

 

 

MARINE — 0.2%

 

COSCO SHIPPING Development Co., Ltd. Class H (b)

    2,104,500       391,495  

COSCO SHIPPING Energy Transportation Co., Ltd. Class H

    823,800       424,060  

COSCO SHIPPING Holdings Co., Ltd. Class H (a) (b)

    1,489,175       738,108  

SITC International Holdings Co., Ltd.

    710,000       705,630  
   

 

 

 
      2,259,293  
   

 

 

 

MEDIA — 0.1%

 

Alibaba Pictures Group, Ltd. (a) (b)

    7,370,000       957,838  

Huayi Tencent Entertainment Co., Ltd. (a) (b)

    1,330,000       66,091  

Poly Culture Group Corp., Ltd. Class H (a)

    92,700       164,416  

Wisdom Sports Group (a)

    1,037,000       104,383  
   

 

 

 
      1,292,728  
   

 

 

 

METALS & MINING — 1.0%

 

Aluminum Corp. of China, Ltd. Class H (a) (b)

    2,752,000       1,525,324  

Angang Steel Co., Ltd. Class H (a)

    1,075,720       1,027,981  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

China Hongqiao Group, Ltd. (a)

    205,297     $ 224,175  

China Metal Recycling Holdings, Ltd. (a) (b) (e)

    268,085        

China Molybdenum Co., Ltd. Class H

    2,592,000       1,955,155  

China Zhongwang Holdings, Ltd. (a)

    812,400       482,370  

Jiangxi Copper Co., Ltd. Class H

    981,000       1,399,947  

Maanshan Iron & Steel Co., Ltd. Class H (b)

    1,772,000       758,625  

MMG, Ltd. (a) (b)

    1,232,000       751,918  

Munsun Capital Group, Ltd. (a) (b)

    4,132,000       21,059  

Shougang Fushan Resources Group, Ltd.

    2,748,000       700,279  

Zhaojin Mining Industry Co., Ltd. Class H (a)

    760,500       597,873  

Zijin Mining Group Co., Ltd. Class H (a)

    5,160,750       2,308,045  
   

 

 

 
      11,752,751  
   

 

 

 

MULTILINE RETAIL — 0.1%

 

Golden Eagle Retail Group, Ltd. (a)

    533,120       610,674  

Parkson Retail Group, Ltd. (a) (b)

    1,612,000       186,909  
   

 

 

 
      797,583  
   

 

 

 

OIL, GAS & CONSUMABLE FUELS — 4.2%

 

China Coal Energy Co., Ltd. Class H

    1,868,013       747,367  

China Petroleum & Chemical Corp. Class H

    16,016,640       14,060,962  

China Shenhua Energy Co., Ltd. Class H

    2,179,200       5,414,472  

China Suntien Green Energy Corp., Ltd. Class H

    950,000       266,300  

CNOOC, Ltd.

    10,459,174       15,405,636  

Kunlun Energy Co., Ltd.

    2,579,400       2,225,009  

NewOcean Energy Holdings, Ltd. (a) (b)

    712,000       162,389  

PetroChina Co., Ltd. Class H

    13,430,930       9,223,999  

Sinopec Kantons Holdings, Ltd.

    1,072,000       528,604  

Yanzhou Coal Mining Co., Ltd. Class H

    1,299,900       1,656,282  
   

 

 

 
      49,691,020  
   

 

 

 

PAPER & FOREST PRODUCTS — 0.3%

 

Lee & Man Paper Manufacturing, Ltd.

    1,626,000       1,717,511  

Nine Dragons Paper Holdings, Ltd.

    1,281,000       1,916,203  
   

 

 

 
      3,633,714  
   

 

 

 

PERSONAL PRODUCTS — 0.4%

 

Hengan International Group Co., Ltd.

    518,500       4,802,945  
   

 

 

 

PHARMACEUTICALS — 1.9%

 

China Animal Healthcare, Ltd. (a) (b) (e)

    763,600        

China Medical System Holdings, Ltd.

    843,300       1,914,759  

Security Description

 

Shares

   

Value

 

China Resources Pharmaceutical Group, Ltd. (c)

    677,000     $ 948,868  

China Shineway Pharmaceutical Group, Ltd. (b)

    297,000       452,597  

Consun Pharmaceutical Group, Ltd.

    615,000       652,746  

CSPC Pharmaceutical Group, Ltd.

    2,280,000       6,057,108  

Guangzhou Baiyunshan Pharmaceutical Holdings Co., Ltd. Class H

    204,000       629,028  

Hua Han Health Industry Holdings, Ltd. (a) (b) (e)

    3,728,400       188,836  

Luye Pharma Group, Ltd. (a)

    1,099,000       1,051,628  

Shanghai Fosun Pharmaceutical Group Co., Ltd. Class H

    216,000       1,326,555  

Shanghai Fudan-Zhangjiang Bio-Pharmaceutical Co., Ltd. Class H

    520,000       248,461  

Sihuan Pharmaceutical Holdings Group, Ltd.

    1,310,000       387,243  

Sino Biopharmaceutical, Ltd.

    3,113,000       6,108,355  

SSY Group, Ltd.

    1,934,332       1,698,145  

Tong Ren Tang Technologies Co., Ltd. Class H (a)

    427,000       711,639  
   

 

 

 
      22,375,968  
   

 

 

 

REAL ESTATE MANAGEMENT & DEVELOPMENT — 5.8%

 

Agile Group Holdings, Ltd.

    1,230,747       2,543,572  

Beijing Capital Land, Ltd. Class H

    852,000       518,910  

Carnival Group International Holdings, Ltd. (a) (b)

    6,926,800       317,731  

China Jinmao Holdings Group, Ltd.

    1,658,000       944,314  

China Overseas Land & Investment, Ltd.

    2,703,862       9,388,051  

China Overseas Property Holdings, Ltd. (a)

    942,620       294,257  

China Resources Land, Ltd.

    1,926,555       7,008,288  

China South City Holdings, Ltd.

    2,186,000       493,001  

China Vanke Co., Ltd. Class H

    891,664       4,067,323  

CIFI Holdings Group Co., Ltd.

    1,050,000       916,440  

Colour Life Services Group Co., Ltd.

    282,000       264,814  

Country Garden Holdings Co., Ltd.

    4,365,500       8,988,759  

Fullshare Holdings, Ltd. (a) (b)

    4,192,500       2,323,736  

Future Land Holdings Co., Ltd. Class A

    588,295       3,270,744  

Greentown China Holdings, Ltd. (a)

    384,500       520,290  

Guangzhou R&F Properties Co., Ltd. Class H

    864,224       2,156,073  

Hopson Development Holdings, Ltd.

    394,000       449,809  

Hydoo International Holding, Ltd. (b)

    1,302,000       104,514  

Kaisa Group Holdings, Ltd. (b)

    920,000       516,953  

KWG Property Holding, Ltd.

    837,806       1,142,225  

Longfor Properties Co., Ltd.

    916,000       2,801,116  

Poly Property Group Co., Ltd. (b)

    1,332,000       655,113  
 

 

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Table of Contents

SPDR S&P CHINA ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Redco Group (c)

    402,200     $ 214,724  

Renhe Commercial Holdings Co., Ltd. (a) (b)

    8,651,000       168,648  

Shanghai Jinqiao Export Processing Zone Development Co., Ltd. Class B

    297,650       384,564  

Shanghai Lujiazui Finance & Trade Zone Development Co., Ltd. Class B

    779,960       1,112,223  

Shenzhen Investment, Ltd.

    1,948,606       826,785  

Shimao Property Holdings, Ltd.

    917,441       2,595,109  

Shui On Land, Ltd.

    3,129,500       849,335  

Sino-Ocean Group Holding, Ltd.

    2,634,212       1,909,798  

SOHO China, Ltd.

    943,500       494,092  

Sunac China Holdings, Ltd. (a)

    1,273,300       4,915,840  

Yanlord Land Group, Ltd.

    412,900       532,144  

Yuexiu Property Co., Ltd.

    6,508,000       1,534,065  

Yuzhou Properties Co., Ltd.

    2,524,840       1,721,124  

Zall Group, Ltd. (a) (b)

    660,000       936,814  
   

 

 

 
      67,881,298  
   

 

 

 

ROAD & RAIL — 0.2%

 

CAR, Inc. (b)

    821,300       738,807  

Dazhong Transportation Group Co., Ltd. Class B

    372,000       228,408  

Guangshen Railway Co., Ltd. Class H (a)

    1,494,000       883,269  
   

 

 

 
      1,850,484  
   

 

 

 

SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT — 0.4%

 

GCL-Poly Energy Holdings, Ltd. (b)

    7,309,000       903,346  

Hanergy Thin Film Power Group, Ltd. (a) (b) (e)

    17,589,376        

JinkoSolar Holding Co., Ltd. ADR (a) (b)

    13,512       246,594  

Semiconductor Manufacturing International Corp. (a) (b)

    1,944,600       2,542,155  

Shunfeng International Clean Energy, Ltd. (b)

    670,000       25,611  

Xinyi Solar Holdings, Ltd.

    2,596,000       1,048,548  
   

 

 

 
      4,766,254  
   

 

 

 

SOFTWARE — 0.4%

   

Boyaa Interactive International, Ltd. (a) (b)

    302,000       116,978  

Cheetah Mobile, Inc. ADR (a) (b)

    15,410       206,032  

Kingdee International Software Group Co., Ltd. (a) (b)

    1,080,000       1,087,114  

Kingsoft Corp., Ltd.

    525,000       1,665,647  

NetDragon Websoft Holdings, Ltd. (a)

    210,000       511,066  

Shanghai Baosight Software Co., Ltd. Class B

    345,500       621,555  

V1 Group, Ltd. (b)

    2,066,000       57,913  
   

 

 

 
      4,266,305  
   

 

 

 

Security Description

 

Shares

   

Value

 

SPECIALTY RETAIL — 0.3%

   

China Harmony New Energy Auto Holding, Ltd. (a) (b)

    830,000     $ 531,950  

China ZhengTong Auto Services Holdings, Ltd.

    32,500       23,604  

GOME Retail Holdings, Ltd. (a)

    7,241,279       784,257  

Grand Baoxin Auto Group, Ltd. (b)

    866,074       363,057  

Hengdeli Holdings, Ltd. (a)

    2,576,895       123,127  

Zhongsheng Group Holdings, Ltd.

    546,500       1,493,626  
   

 

 

 
      3,319,621  
   

 

 

 

TECHNOLOGY HARDWARE, STORAGE & PERIPHERALS — 0.3%

 

Coolpad Group, Ltd. (b) (e)

    2,629,400       120,610  

Lenovo Group, Ltd. (a)

    4,718,000       2,410,609  

Meitu, Inc. (a) (b) (c)

    1,133,500       1,298,391  
   

 

 

 
      3,829,610  
   

 

 

 

TEXTILES,APPAREL & LUXURY GOODS — 0.9%

 

ANTA Sports Products, Ltd.

    634,000       3,198,960  

Bosideng International Holdings, Ltd.

    3,230,000       316,897  

China Dongxiang Group Co., Ltd.

    3,181,000       555,276  

China Jicheng Holdings, Ltd. (b) (c)

    460,750       4,286  

Cosmo Lady China Holdings Co., Ltd. (c)

    301,000       162,997  

Lao Feng Xiang Co., Ltd. Class B

    172,911       626,802  

Li Ning Co., Ltd. (b)

    1,407,207       1,441,579  

Shenzhou International Group Holdings, Ltd.

    429,000       4,517,774  
   

 

 

 
      10,824,571  
   

 

 

 

TRADING COMPANIES & DISTRIBUTORS — 0.0% (d)

 

CITIC Resources Holdings, Ltd. (a)

    1,824,000       204,518  

New Provenance Everlasting Holdings, Ltd. (a) (b)

    5,600,000       114,879  
   

 

 

 
      319,397  
   

 

 

 

TRANSPORTATION INFRASTRUCTURE — 1.0%

 

Anhui Expressway Co., Ltd. Class H

    618,000       472,459  

Beijing Capital International Airport Co., Ltd. Class H

    1,197,939       1,608,791  

China Merchants Port Holdings Co., Ltd.

    920,663       2,029,417  

COSCO SHIPPING International Hong Kong Co., Ltd.

    612,000       254,210  

COSCO SHIPPING Ports, Ltd.

    1,122,980       944,366  

Dalian Port PDA Co., Ltd. Class H (a)

    1,182,200       198,833  

HNA Infrastructure Co., Ltd. Class H

    391,000       418,486  

Jiangsu Expressway Co., Ltd. Class H

    830,795       1,175,009  
 

 

113


Table of Contents

SPDR S&P CHINA ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Qingdao Port International Co., Ltd. Class H (c)

    882,000     $ 652,934  

Shenzhen Expressway Co., Ltd. Class H

    652,000       663,772  

Shenzhen International Holdings, Ltd.

    748,121       1,637,644  

Sichuan Expressway Co., Ltd. Class H

    812,000       286,589  

Xiamen International Port Co., Ltd. Class H

    985,000       179,472  

Yuexiu Transport Infrastructure, Ltd. (a)

    380,000       292,446  

Zhejiang Expressway Co., Ltd. Class H

    866,000       883,842  
   

 

 

 
      11,698,270  
   

 

 

 

WATER UTILITIES — 0.5%

 

Beijing Enterprises Water Group, Ltd.

    3,436,000       1,917,572  

CT Environmental Group, Ltd. (a)

    1,736,400       311,956  

Guangdong Investment, Ltd.

    2,144,000       3,371,044  

Kangda International Environmental Co., Ltd. (c)

    750,000       140,476  
   

 

 

 
      5,741,048  
   

 

 

 

WIRELESS TELECOMMUNICATION SERVICES — 2.8%

 

China Mobile, Ltd.

    3,520,504       32,274,539  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $902,099,523)

      1,169,534,960  
   

 

 

 

SHORT-TERM INVESTMENTS — 1.8%

 

State Street Institutional U.S. Government Money Market Fund, Class G Shares 1.62% (g) (h)

    2,369,667       2,369,667  

State Street Navigator Securities Lending Government Money Market Portfolio (g) (i)

    18,667,846       18,667,846  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $21,037,513)

 

    21,037,513  
   

 

 

 

TOTAL INVESTMENTS — 101.7%
(Cost $923,137,036)

 

    1,190,572,473  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER ASSETS — (1.7)%

 

    (19,767,962
   

 

 

 

NET ASSETS — 100.0%

    $ 1,170,804,511  
   

 

 

 
(a) All or a portion of the shares of the security are on loan at March 31, 2018.
(b) Non-income producing security.
(c) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.0% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(d) Amount is less than 0.05% of net assets.
(e) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $400,039, representing less than 0.05% of the Fund’s net assets.
(f) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $38,828, representing less than 0.05% of net assets.
(g) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(h) The rate shown is the annualized seven-day yield at March 31, 2018.
(i) Investment of cash collateral for securities loaned.

ADR = American Depositary Receipt

ADS = American Depositary Shares

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Aerospace & Defense

  $ 1,217,568     $     $     $ 1,217,568  

Air Freight & Logistics

    2,308,183                   2,308,183  

 

114


Table of Contents

SPDR S&P CHINA ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

Airlines

  $ 4,565,042     $     $     $ 4,565,042  

Auto Components

    5,429,838                   5,429,838  

Automobiles

    26,757,071                   26,757,071  

Banks

    180,837,731                   180,837,731  

Beverages

    6,256,309                   6,256,309  

Biotechnology

    6,717,846                   6,717,846  

Building Products

    270,800                   270,800  

Capital Markets

    18,482,010                   18,482,010  

Chemicals

    2,603,944             0 (a)      2,603,944  

Commercial Services & Supplies

    9,684,312                   9,684,312  

Communications Equipment

    4,386,096             0 (a)      4,386,096  

Construction & Engineering

    9,676,374                   9,676,374  

Construction Materials

    8,697,994             90,593       8,788,587  

Consumer Finance

    2,330,643                   2,330,643  

Containers & Packaging

    615,628                   615,628  

Distributors

    584,472                   584,472  

Diversified Consumer Services

    15,971,025                   15,971,025  

Diversified Financial Services

    1,227,820                   1,227,820  

Diversified Telecommunication Services

    10,659,474                   10,659,474  

Electrical Equipment

    3,586,500       38,828             3,625,328  

Electronic Equipment, Instruments & Components

    21,216,741             0 (a)      21,216,741  

Energy Equipment & Services

    1,706,878                   1,706,878  

Food & Staples Retailing

    1,674,002                   1,674,002  

Food Products

    21,693,123             0 (a)      21,693,123  

Gas Utilities

    7,825,813                   7,825,813  

Health Care Equipment & Supplies

    1,369,279                   1,369,279  

Health Care Providers & Services

    6,270,447                   6,270,447  

Hotels, Restaurants & Leisure

    14,692,260                   14,692,260  

Household Durables

    4,459,137                   4,459,137  

Household Products

    764,227                   764,227  

Independent Power Producers & Energy Traders

    11,877,650                   11,877,650  

Industrial Conglomerates

    9,068,188                   9,068,188  

Insurance

    65,041,771                   65,041,771  

Internet & Catalog Retail

    35,135,070                   35,135,070  

Internet Software & Services

    379,812,025                   379,812,025  

IT Services

    4,824,863                   4,824,863  

Life Sciences Tools & Services

    2,475,877                   2,475,877  

Machinery

    13,254,109                   13,254,109  

Marine

    2,259,293                   2,259,293  

Media

    1,292,728                   1,292,728  

Metals & Mining

    11,752,751             0 (a)      11,752,751  

Multiline Retail

    797,583                   797,583  

Oil, Gas & Consumable Fuels

    49,691,020                   49,691,020  

Paper & Forest Products

    3,633,714                   3,633,714  

Personal Products

    4,802,945                   4,802,945  

Pharmaceuticals

    22,187,132             188,836       22,375,968  

Real Estate Management & Development

    67,881,298                   67,881,298  

Road & Rail

    1,850,484                   1,850,484  

Semiconductors & Semiconductor Equipment

    4,766,254             0 (a)      4,766,254  

Software

    4,266,305                   4,266,305  

Specialty Retail

    3,319,621                   3,319,621  

Technology Hardware, Storage & Peripherals

    3,709,000             120,610       3,829,610  

Textiles, Apparel & Luxury Goods

    10,824,571                   10,824,571  

Trading Companies & Distributors

    319,397                   319,397  

 

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Table of Contents

SPDR S&P CHINA ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

Transportation Infrastructure

  $ 11,698,270     $     $     $ 11,698,270  

Water Utilities

    5,741,048                   5,741,048  

Wireless Telecommunication Services

    32,274,539                   32,274,539  

Short-Term Investments

    21,037,513                   21,037,513  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 1,190,133,606     $ 38,828     $ 400,039     $ 1,190,572,473  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from
Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized
Appreciation/
Depreciation
    Number of
Shares Held
at

3/31/18
    Value at
3/31/18
    Dividend
Income
    Capital
Gains
Distributions
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

    2,785,729     $ 2,785,729     $ 54,675,652     $ 55,091,714     $     $       2,369,667     $ 2,369,667     $ 17,272     $  

State Street Navigator Securities Lending Government Money Market Portfolio

    22,187,451       22,187,451       62,355,765       65,875,370                   18,667,846       18,667,846       416,932        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

Total

    $ 24,973,180     $ 117,031,417     $ 120,967,084     $     $       $ 21,037,513     $ 434,204     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

 

116


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

COMMON STOCKS — 99.0%

 

 

AUSTRALIA — 6.3%

   

Abacus Property Group REIT

    169,808     $ 451,972  

Accent Group, Ltd.

    277,764       269,520  

AET&D Holdings No. 1 Pty, Ltd. (a) (b)

    110,316        

Afterpay Touch Group, Ltd. (b) (c)

    79,569       393,055  

Ainsworth Game Technology, Ltd. (b)

    53,142       75,411  

Altium, Ltd.

    64,456       983,875  

Amaysim Australia, Ltd. (b)

    154,042       135,291  

Appen, Ltd.

    55,366       377,545  

ARB Corp., Ltd.

    43,281       657,998  

Ardent Leisure Group (b)

    125,559       177,692  

Arena REIT

    177,378       293,885  

Arrium, Ltd. (a) (b) (c)

    1,727,582        

Asaleo Care, Ltd.

    203,351       199,655  

Astro Japan Property Group (d)

    33,776        

Atlas Iron, Ltd. (c)

    5,534,798       84,909  

Ausdrill, Ltd.

    149,532       309,686  

Austal, Ltd.

    162,550       226,301  

Australian Agricultural Co., Ltd. (b) (c)

    196,999       179,063  

Australian Pharmaceutical Industries, Ltd.

    117,659       135,376  

Australian Property Systems, Ltd. (b) (c)

    98,288       349,818  

Automotive Holdings Group, Ltd. (b)

    105,893       285,101  

Aveo Group

    126,986       257,148  

AWE, Ltd. (c)

    307,650       223,004  

Bapcor, Ltd.

    106,168       462,557  

BCI Minerals, Ltd. (c)

    3        

Beach Energy, Ltd.

    1,532,360       1,428,107  

Beadell Resources, Ltd. (b) (c)

    560,731       33,549  

Bega Cheese, Ltd. (b)

    89,537       464,959  

Bellamy’s Australia, Ltd. (c)

    33,358       507,651  

Bingo Industries, Ltd. (b)

    146,696       315,065  

Blackmores, Ltd. (b)

    7,088       683,793  

Breville Group, Ltd.

    60,555       540,199  

Brickworks, Ltd.

    42,123       501,458  

Buru Energy, Ltd. (c)

    12       3  

BWP Trust REIT

    173,655       402,270  

BWX, Ltd. (b)

    60,500       224,608  

Cabcharge Australia, Ltd.

    5,546       7,572  

Cardno, Ltd. (c)

    76,516       76,299  

Cash Converters International, Ltd. (c)

    4,878       1,459  

Central Petroleum, Ltd. (c)

    21       2  

Charter Hall Group REIT

    230,054       1,011,133  

Charter Hall Long Wale REIT

    76,339       228,368  

Charter Hall Retail REIT

    256,398       757,180  

Clean TeQ Holdings, Ltd. (b) (c)

    254,590       227,505  

Cleanaway Waste Management, Ltd.

    924,876       1,025,121  

Collins Foods, Ltd.

    53,021       211,483  

Cooper Energy, Ltd. (b) (c)

    942,350       216,849  

Security Description

 

Shares

   

Value

 

Corporate Travel Management, Ltd. (b)

    52,000     $ 936,537  

Costa Group Holdings, Ltd.

    140,434       735,727  

Credit Corp. Group, Ltd. (b)

    28,539       422,274  

Cromwell Property Group REIT (b)

    497,355       406,293  

CSR, Ltd.

    347,380       1,380,252  

Dacian Gold, Ltd. (b) (c)

    132,269       298,283  

Data#3, Ltd.

    6       7  

Domain Holdings Australia, Ltd.

    103,733       258,597  

DuluxGroup, Ltd.

    166,348       941,668  

Eclipx Group, Ltd.

    151,482       415,976  

Elders, Ltd.

    64,794       370,764  

Emeco Holdings, Ltd. (c)

    30       7  

EML Payments, Ltd. (c)

    194,667       172,464  

Estia Health, Ltd.

    103,277       268,551  

Evolution Mining, Ltd.

    45       105  

Fairfax Media, Ltd.

    1,084,457       561,487  

FAR, Ltd. (b) (c)

    4,422,302       267,978  

Fleetwood Corp., Ltd.

    30       65  

FlexiGroup, Ltd.

    105,696       145,933  

Folkestone Education Trust REIT

    145,969       307,905  

G8 Education, Ltd. (b)

    188,675       382,069  

Galaxy Resources, Ltd. (b) (c)

    168,957       383,611  

Gateway Lifestyle (b)

    178,987       271,152  

GDI Property Group REIT

    226,212       213,425  

Genworth Mortgage Insurance Australia, Ltd. (b)

    92,191       163,352  

Gold Road Resources, Ltd. (b) (c)

    474,490       296,625  

GrainCorp, Ltd. Class A

    108,981       708,040  

Greencross, Ltd.

    54,136       219,667  

Greenland Minerals & Energy, Ltd. (c)

    85       5  

Growthpoint Properties Australia, Ltd. (b)

    81,426       206,111  

GUD Holdings, Ltd.

    47,428       432,918  

GWA Group, Ltd.

    138,956       358,130  

Hansen Technologies, Ltd.

    101,117       321,106  

Horizon Oil, Ltd. (c)

    54       5  

Hotel Property Investments REIT

    86,981       206,828  

HT&E, Ltd. (b)

    72,753       106,309  

Icon Energy, Ltd. (c)

    24       1  

IDP Education, Ltd.

    50,182       286,766  

Imdex, Ltd. (c)

    9       8  

Independence Group NL (b)

    266,805       941,403  

Industria REIT

    103,154       198,602  

Infigen Energy (c)

    928,402       416,597  

Ingenia Communities Group REIT

    64,707       137,981  

Inghams Group, Ltd.

    88,424       230,607  

InvoCare, Ltd.

    201,637       2,009,107  

IPH, Ltd. (b)

    107,989       280,804  

IRESS, Ltd.

    56,158       408,791  

iSelect, Ltd.

    168,246       131,634  

iSentia Group, Ltd.

    28,980       18,561  

Jacana Minerals, Ltd. (a) (b) (c)

    12,051        
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Japara Healthcare, Ltd. (b)

    135,340     $ 208,663  

JB Hi-Fi, Ltd.

    156       3,088  

Karoon Gas Australia, Ltd. (b) (c)

    13,170       11,617  

Kingsgate Consolidated, Ltd. (c)

    1,425       361  

Liquefied Natural Gas, Ltd. (b) (c)

    259,234       86,498  

Lynas Corp., Ltd. (c)

    218,090       411,523  

MACA, Ltd.

    30,942       31,566  

Mantra Group, Ltd.

    151,307       456,116  

Mayne Pharma Group, Ltd. (b) (c)

    976,063       554,030  

McMillan Shakespeare, Ltd.

    43,479       561,957  

Melbourne IT, Ltd.

    6       16  

Mesoblast, Ltd. (b) (c)

    27,364       31,274  

Metals X, Ltd. (b)

    203,295       112,275  

Mincor Resources NL (c)

    9       3  

Monadelphous Group, Ltd.

    77,679       905,672  

Mount Gibson Iron, Ltd.

    52,248       15,229  

Myer Holdings, Ltd. (b)

    167,083       48,060  

MYOB Group, Ltd. (b)

    120,724       282,434  

Nanosonics, Ltd. (b) (c)

    162,219       319,785  

Navitas, Ltd. (b)

    151,186       575,197  

New South Resources, Ltd. (c)

    272,398       328,040  

NEXTDC, Ltd. (c)

    197,578       991,151  

Nick Scali, Ltd.

    43,519       224,322  

Nine Entertainment Co. Holdings, Ltd.

    248,693       433,025  

NRW Holdings, Ltd. (c)

    6       6  

Nufarm, Ltd.

    155,506       1,007,923  

OceanaGold Corp.

    344,918       928,342  

OFX Group, Ltd. (b)

    47,489       61,561  

oOh!media, Ltd. (b)

    94,443       332,511  

Orocobre, Ltd. (b) (c)

    100,856       414,658  

OZ Minerals, Ltd.

    163,744       1,129,143  

Pact Group Holdings, Ltd.

    76,152       320,100  

Paladin Energy, Ltd. (b) (c)

    15,456       2,015  

Perseus Mining, Ltd. (c)

    55,493       19,793  

Pilbara Minerals, Ltd. (b) (c)

    687,692       435,183  

Premier Investments, Ltd. (b)

    46,706       565,690  

Primary Health Care, Ltd.

    182,802       546,851  

Propertylink Group REIT (b)

    383,894       295,938  

Quintis, Ltd. (a) (b) (c)

    148,677        

RCR Tomlinson, Ltd.

    52,345       160,203  

Regis Healthcare, Ltd. (b)

    104,945       293,818  

Regis Resources, Ltd.

    218,997       760,957  

Reject Shop, Ltd.

    31,479       182,544  

Resapp Health, Ltd. (c)

    20,004       1,841  

Resolute Mining, Ltd.

    323,374       308,815  

Retail Food Group, Ltd. (b)

    70,853       50,543  

Rural Funds Group REIT

    170,077       293,530  

Sandfire Resources NL

    59,359       333,289  

Saracen Mineral Holdings, Ltd. (c)

    283,683       386,238  

Select Harvests, Ltd. (b)

    52,910       225,650  

Senex Energy, Ltd. (b) (c)

    593,463       182,086  

Service Stream, Ltd.

    231,204       287,299  

Seven West Media, Ltd.

    215,119       89,104  

Security Description

 

Shares

   

Value

 

SG Fleet Group, Ltd.

    77,311     $ 226,531  

Shopping Centres Australasia Property Group REIT

    332,121       593,575  

Sigma Healthcare, Ltd.

    937,711       561,032  

Silver Chef, Ltd. (b)

    11,385       34,058  

Silver Lake Resources, Ltd. (c)

    286,760       86,884  

Sirtex Medical, Ltd.

    33,088       704,045  

Slater & Gordon, Ltd. (c)

    41       102  

SmartGroup Corp., Ltd.

    48,268       404,672  

Southern Cross Media Group, Ltd.

    520,923       413,559  

SpeedCast International, Ltd.

    130,673       514,194  

St Barbara, Ltd.

    279,178       854,433  

Steadfast Group, Ltd.

    399,086       768,359  

Strandline Resources, Ltd. (c)

    53       5  

Super Retail Group, Ltd. (b)

    60,279       314,412  

Superloop, Ltd.

    109,011       166,816  

Syrah Resources, Ltd. (b) (c)

    118,305       287,664  

Tap Oil, Ltd. (c)

    9        

Tassal Group, Ltd. (b)

    47,772       138,879  

Technology One, Ltd.

    134,769       536,514  

Tiger Resources, Ltd. (a) (c)

    2,464        

Tox Free Solutions, Ltd. (b)

    80,383       210,253  

Village Roadshow, Ltd. (c)

    24,050       57,556  

Virtus Health, Ltd. (b)

    17,334       71,932  

Vita Group, Ltd. (b)

    3,985       3,729  

Viva Energy REIT

    170,479       261,532  

Vocus Group, Ltd. (b)

    345,274       587,950  

Webjet, Ltd. (b)

    76,580       649,085  

Western Areas, Ltd. (b)

    120,813       290,056  

Westgold Resources, Ltd. (b) (c)

    99,849       114,884  

WiseTech Global, Ltd. (b)

    57,165       413,052  

WPP AUNZ, Ltd.

    373,331       262,023  
   

 

 

 
      58,349,902  
   

 

 

 

AUSTRIA — 0.3%

 

DO & Co. AG

    3,749       235,649  

Palfinger AG

    5,591       225,192  

POLYTEC Holding AG

    4,508       87,154  

Porr AG (b)

    8,332       286,407  

S IMMO AG

    32,181       637,203  

S&T AG

    24,217       535,206  

Schoeller-Bleckmann Oilfield Equipment AG (c)

    5,155       566,468  

Semperit AG Holding

    5,500       110,391  

Zumtobel Group AG (b)

    23,418       219,749  
   

 

 

 
      2,903,419  
   

 

 

 

BELGIUM — 1.4%

 

Ablynx NV (c)

    37,391       2,050,026  

Aedifica SA REIT

    7,997       735,667  

AGFA-Gevaert NV (c)

    182,649       706,689  

Barco NV

    18,725       2,302,895  

Befimmo SA REIT

    7,531       486,255  

Celyad SA (c)

    4,611       160,258  

Econocom Group SA

    51,835       379,308  

Euronav NV (b)

    65,527       542,763  

EVS Broadcast Equipment SA

    9,055       292,328  

Fagron (c)

    1,463       22,779  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Greenyard NV

    11,563     $ 257,680  

Ion Beam Applications (b)

    11,500       231,808  

Kinepolis Group NV

    3,623       240,165  

MDxHealth (b) (c)

    54,305       240,767  

Nyrstar NV (b) (c)

    47,157       331,158  

Orange Belgium SA

    23,288       476,010  

Recticel SA

    31,481       394,138  

Retail Estates NV REIT

    4,661       415,594  

Rezidor Hotel Group AB

    73,868       206,394  

Tessenderlo Group SA (c)

    40,793       1,708,264  

X-Fab Silicon Foundries SE (b) (c) (e)

    47,268       508,660  
   

 

 

 
      12,689,606  
   

 

 

 

CANADA — 7.9%

 

Advantage Oil & Gas, Ltd. (c)

    142,383       420,771  

Aecon Group, Inc.

    30,274       431,127  

AG Growth International, Inc. (b)

    6,793       283,259  

AGF Management, Ltd. Class B

    12,189       62,020  

AGT Food & Ingredients, Inc. (b)

    11,530       149,262  

Aimia, Inc. (b)

    36,965       49,602  

Alamos Gold, Inc. Class A

    38,204       198,539  

Alaris Royalty Corp. (b)

    16,720       212,558  

Alio Gold, Inc. (c)

    415       808  

Altius Minerals Corp.

    11,272       122,928  

Altus Group, Ltd. (b)

    20,389       515,873  

Aphria, Inc. (b) (c)

    75,208       670,266  

Arbutus Biopharma Corp. (c) (f)

    2,074       10,370  

Arbutus Biopharma Corp. (c) (d) (f)

    11,276       56,380  

Aritzia, Inc. (b) (c)

    34,123       319,196  

Arizona Mining, Inc. (b) (c)

    105,393       331,078  

Artis Real Estate Investment Trust

    18,195       191,794  

Asanko Gold, Inc. (b) (c)

    4,618       4,657  

Athabasca Oil Corp. (b) (c)

    166,673       153,842  

Atrium Mortgage Investment Corp. (b)

    37,219       354,797  

ATS Automation Tooling Systems, Inc. (c)

    35,867       492,137  

Aurinia Pharmaceuticals, Inc. (c)

    50,825       267,282  

Aurora Cannabis, Inc. (b) (c)

    213,479       1,539,930  

AutoCanada, Inc.

    919       15,853  

Avigilon Corp. (c)

    16,399       343,180  

Badger Daylighting, Ltd. (b)

    16,145       322,712  

Ballard Power Systems, Inc. (b) (c)

    76,269       271,534  

Baytex Energy Corp. (b) (c)

    100,315       274,665  

Bellatrix Exploration, Ltd. (b) (c)

    1,210       1,323  

Birchcliff Energy, Ltd.

    117,898       341,097  

Bird Construction, Inc. (b)

    20,545       136,250  

Black Diamond Group, Ltd. (b)

    645       1,166  

Boardwalk Real Estate Investment Trust

    13,317       457,276  

Bonavista Energy Corp. (b)

    96,796       88,594  

Bonterra Energy Corp. (b)

    893       9,171  

Security Description

 

Shares

   

Value

 

Boralex, Inc. Class A

    26,670     $ 462,756  

Boyd Group Income Fund

    5,376       434,417  

Calfrac Well Services, Ltd. (b) (c)

    25,108       114,707  

Callidus Capital Corp. (b)

    13,992       71,520  

Canaccord Genuity Group, Inc.

    6,021       32,364  

Canacol Energy, Ltd. (b) (c)

    54,624       178,373  

Canadian Solar, Inc. (b) (c)

    19,527       317,704  

Canadian Western Bank (b)

    46,992       1,204,643  

Canopy Growth Corp. (b) (c)

    97,308       2,540,537  

Capstone Mining Corp. (c)

    220,289       205,039  

Cara Operations, Ltd.

    9,651       218,659  

Cardinal Energy, Ltd. (b)

    34,675       116,995  

Cargojet, Inc.

    7,876       416,693  

Cascades, Inc.

    27,220       281,437  

Celestica, Inc. (c)

    116,926       1,208,938  

Centerra Gold, Inc. (c)

    108,934       624,411  

CES Energy Solutions Corp.

    154,987       706,863  

Chemtrade Logistics Income Fund

    23,736       283,341  

Chorus Aviation, Inc.

    38,789       249,718  

Cineplex, Inc. (b)

    36,407       885,289  

Cogeco, Inc. (b)

    4,668       247,982  

Colliers International Group, Inc.

    30,939       2,146,352  

Colossus Minerals, Inc. (a) (c)

    390        

Computer Modelling Group, Ltd.

    44,276       319,041  

Continental Gold, Inc. (c)

    5,753       15,796  

Crew Energy, Inc. (b) (c)

    83,175       121,932  

Crombie Real Estate Investment Trust

    19,911       194,129  

Dalradian Resources, Inc. (b) (c)

    117,014       87,131  

Delphi Energy Corp. (b) (c)

    13,683       9,233  

Denison Mines Corp. (b) (c)

    152,820       68,750  

DIRTT Environmental Solutions (b) (c)

    32,497       124,770  

Dorel Industries, Inc. Class B

    15,818       357,646  

Dream Global Real Estate Investment Trust

    32,374       345,272  

Dream Office Real Estate Investment Trust

    17,206       311,623  

DREAM Unlimited Corp. Class A (c)

    8,299       59,479  

Dundee Precious Metals, Inc. (c)

    5,981       14,289  

ECN Capital Corp.

    236,190       630,206  

Eldorado Gold Corp. (b) (c)

    423,596       354,845  

Endeavour Mining Corp. (b) (c)

    28,689       528,941  

Endeavour Silver Corp. (b) (c)

    6,339       15,390  

Enercare, Inc.

    51,316       702,125  

Enerflex, Ltd.

    44,458       529,668  

Enghouse Systems, Ltd.

    12,283       649,282  

Ensign Energy Services, Inc.

    59,747       279,908  

Entertainment One, Ltd.

    153,154       603,713  

Equitable Group, Inc. (b)

    6,943       289,083  

Exchange Income Corp. (b)

    13,641       326,516  

Extendicare, Inc.

    48,876       320,722  

Fiera Capital Corp.

    32,677       278,550  
 

 

119


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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Firm Capital Mortgage Investment Corp.

    33,159     $ 333,069  

First Majestic Silver Corp. (b) (c)

    100,725       616,421  

First Mining Gold Corp. (b) (c)

    387,444       136,736  

Fortuna Silver Mines, Inc. (c)

    81,720       425,952  

Freehold Royalties, Ltd. (b)

    56,141       537,787  

GASFRAC Energy Services, Inc. (a) (c)

    21,904        

Gibson Energy, Inc. (b)

    67,055       863,900  

Gluskin Sheff + Associates, Inc. (b)

    13,685       154,762  

Gran Tierra Energy, Inc. (c)

    124,537       345,815  

Granite Oil Corp. (b)

    14,562       29,932  

Granite Real Estate Investment Trust

    26,352       1,038,546  

Great Basin Gold, Ltd. (a) (c)

    266,255        

Great Canadian Gaming Corp. (c)

    31,084       789,366  

Guyana Goldfields, Inc. (c)

    84,423       326,102  

High Liner Foods, Inc. (b)

    6,003       51,917  

Home Capital Group, Inc. (b)

    25,030       263,259  

Horizon North Logistics, Inc. (b)

    7,464       12,158  

Hudson’s Bay Co. (b)

    65,758       454,963  

Innergex Renewable Energy, Inc. (b)

    61,484       628,074  

Interfor Corp. (c)

    29,785       542,680  

InterRent Real Estate Investment Trust

    8,676       68,102  

Intertape Polymer Group, Inc.

    37,810       607,365  

Jamieson Wellness, Inc.

    17,522       312,589  

Just Energy Group, Inc. (b)

    38,191       168,553  

Kelt Exploration, Ltd. (c)

    62,551       333,799  

Killam Apartment Real Estate Investment Trust

    21,874       235,494  

Kinaxis, Inc. (c)

    12,732       818,087  

Kinder Morgan Canada, Ltd. (e)

    61,919       889,943  

Klondex Mines, Ltd. (b) (c)

    66,975       158,444  

Knight Therapeutics, Inc. (c)

    33,447       201,058  

Labrador Iron Ore Royalty Corp. (b)

    27,212       445,354  

Laurentian Bank of Canada (b)

    19,532       717,499  

Lightstream Resources, Ltd. (a) (c)

    64,736        

Liquor Stores NA, Ltd. (b)

    17,364       132,124  

Lithium Americas Corp. (b) (c)

    31,466       170,357  

Lucara Diamond Corp. (b)

    120,945       188,559  

MAG Silver Corp. (c)

    52,526       514,158  

Major Drilling Group International, Inc. (c)

    49,449       255,443  

Martinrea International, Inc.

    72,689       858,680  

Maxar Technologies, Ltd.

    18,693       863,858  

Medical Facilities Corp. (b)

    17,536       190,832  

MEG Energy Corp. (c)

    93,603       330,342  

Morneau Shepell, Inc.

    36,478       731,399  

Mountain Province Diamonds, Inc. (b) (c)

    45,342       112,542  

MTY Food Group, Inc.

    10,372       405,467  

Mullen Group, Ltd. (b)

    62,813       717,654  

Nemaska Lithium, Inc. (b) (c)

    227,162       232,580  

Security Description

 

Shares

   

Value

 

Nevsun Resources, Ltd.

    114,693     $ 273,110  

NexGen Energy, Ltd. (b) (c)

    160,084       275,654  

North American Palladium, Ltd. (c)

    3       23  

North West Co., Inc. (b)

    30,738       644,443  

Northern Dynasty Minerals, Ltd. (b) (c)

    178,624       166,259  

Northview Apartment Real Estate Investment Trust

    16,170       323,588  

NorthWest Healthcare Properties Real Estate Investment Trust

    22,829       199,560  

Novagold Resources, Inc. (b) (c)

    124,448       538,623  

NuVista Energy, Ltd. (c)

    109,764       601,073  

Obsidian Energy, Ltd. (c)

    202,221       202,339  

Osisko Mining, Inc. (c)

    94,809       187,522  

Painted Pony Energy, Ltd. (b) (c)

    84,091       138,929  

Paramount Resources, Ltd. Class A (b) (c)

    42,245       485,936  

Parex Resources, Inc. (c)

    97,136       1,365,216  

Pason Systems, Inc.

    41,735       558,409  

Pengrowth Energy Corp. (b) (c)

    250,663       161,373  

Pizza Pizza Royalty Corp. (b)

    23,903       262,344  

Poseidon Concepts Corp. (a) (c)

    43,064        

Precision Drilling Corp. (c)

    150,796       418,732  

Premier Gold Mines, Ltd. (c)

    102,550       224,309  

Pretium Resources, Inc. (c)

    79,705       529,203  

Primero Mining Corp. (c)

    3,044       578  

ProMetic Life Sciences, Inc. (c) (f)

    3,753       2,534  

ProMetic Life Sciences, Inc. (b) (c) (f)

    284,868       194,442  

Pure Industrial Real Estate Trust

    62,344       388,789  

Quarterhill, Inc.

    1,143       1,658  

Raging River Exploration, Inc. (c)

    139,819       676,727  

Redknee Solutions, Inc. (c)

    837       682  

Rogers Sugar, Inc. (b)

    66,691       320,717  

Rubicon Minerals Corp. (c)

    15       15  

Russel Metals, Inc.

    35,096       763,850  

Sabina Gold & Silver Corp. (b) (c)

    120,945       148,220  

Sandstorm Gold, Ltd. (b) (c)

    112,428       535,434  

Savaria Corp. (b)

    24,768       331,393  

Seabridge Gold, Inc. (b) (c)

    2,617       28,377  

Secure Energy Services, Inc. (b)

    113,587       646,677  

SEMAFO, Inc. (c)

    148,739       428,018  

ShawCor, Ltd.

    34,538       653,657  

Sherritt International Corp. (b) (c)

    173,307       151,900  

Sienna Senior Living, Inc. (b)

    39,945       552,429  

Sierra Wireless, Inc. (b) (c)

    18,079       297,986  

Silvercorp Metals, Inc. (b)

    76,098       204,817  

SilverCrest Metals, Inc. (c)

    54       97  

Slate Office REIT

    37,961       224,365  

Sleep Country Canada Holdings, Inc. (b) (e)

    17,718       468,769  

Southern Pacific Resource Corp. (a) (c)

    281,142        

Spartan Energy Corp. (c)

    540       2,404  
 

 

120


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sprott, Inc. (b)

    134,962     $ 325,563  

SSR Mining, Inc. (c)

    70,423       677,874  

Stornoway Diamond Corp. (b) (c)

    161,072       69,963  

Stuart Olson, Inc.

    69       400  

Student Transportation, Inc. (b)

    40,033       299,335  

Summit Industrial Income REIT

    41,804       265,885  

SunOpta, Inc. (c)

    33,327       236,622  

Sunshine Oilsands, Ltd. (c)

    902,000       26,893  

Superior Plus Corp.

    63,805       610,707  

Surge Energy, Inc. (b)

    11,420       17,450  

Tamarack Valley Energy, Ltd. (c)

    178,088       386,772  

Teranga Gold Corp. (c)

    34,681       120,782  

Theratechnologies, Inc. (b) (c)

    56,757       410,737  

Timbercreek Financial Corp.

    26,960       190,084  

TORC Oil & Gas, Ltd. (b)

    55,989       286,622  

Torex Gold Resources, Inc. (c)

    39,782       244,076  

Total Energy Services, Inc. (b)

    43,497       463,901  

TransAlta Corp.

    151,134       818,240  

Transcontinental, Inc. Class A

    43,467       858,046  

Trevali Mining Corp. (c)

    386,384       389,606  

Trican Well Service, Ltd. (c)

    213,951       497,850  

Tricon Capital Group, Inc. (b)

    69,822       533,447  

Trinidad Drilling, Ltd. (b) (c)

    10,054       13,881  

Twin Butte Energy, Ltd. (a) (c)

    83,708        

Uni-Select, Inc. (b)

    63,834       990,250  

Valener, Inc. (b)

    11,099       174,072  

Wajax Corp.

    5,897       111,422  

Western Forest Products, Inc.

    199,842       401,467  

Westshore Terminals Investment Corp. (b)

    30,655       529,760  

Yellow Pages, Ltd. (b) (c)

    616       3,340  

ZCL Composites, Inc. (b)

    24,065       219,138  
   

 

 

 
      72,555,161  
   

 

 

 

CHINA — 0.3%

 

APT Satellite Holdings, Ltd. (b)

    139,300       64,074  

Beijing Tong Ren Tang Chinese Medicine Co., Ltd.

    87,000       163,396  

BOE Varitronix, Ltd. (b)

    106,000       54,025  

China Everbright Water, Ltd.

    19,393       6,285  

China Gold International Resources Corp., Ltd. (c)

    85,860       177,148  

China Merchants Land, Ltd.

    212,000       44,570  

China Yuchai International, Ltd. (b)

    23,659       500,861  

Chong Hing Bank, Ltd.

    57,000       113,589  

Gemdale Properties & Investment Corp., Ltd. (b)

    2,872,000       343,983  

Greenland Hong Kong Holdings, Ltd.

    205,000       98,212  

HC International, Inc. (b)

    7,000       5,075  

HengTen Networks Group, Ltd. (b) (c)

    11,384,000       485,919  

Nam Tai Property, Inc. (b)

    14,321       178,297  

Sino Grandness Food Industry Group, Ltd. (c)

    100,972       15,092  

Towngas China Co., Ltd. (c)

    491,000       427,294  
   

 

 

 
      2,677,820  
   

 

 

 

Security Description

 

Shares

   

Value

 

DENMARK — 0.7%

 

ALK-Abello A/S (c)

    2,483     $ 310,124  

Alm Brand A/S

    21,279       215,918  

Amagerbanken A/S (a) (c)

    308,573        

Ascendis Pharma A/S ADR (c)

    13,171       861,383  

Bang & Olufsen A/S (c)

    31,271       787,334  

D/S Norden A/S (c)

    14,525       259,542  

Forward Pharma A/S ADR (b) (c)

    29,426       63,854  

H+H International A/S Class B (c)

    32,493       704,447  

Matas A/S

    14,761       159,278  

NNIT A/S (e)

    8,266       235,942  

OW Bunker A/S (a) (c)

    9,828        

Per Aarsleff Holding A/S

    12,313       460,145  

Ringkjoebing Landbobank A/S

    11,143       610,384  

Scandinavian Tobacco Group A/S Class A (e)

    31,758       558,040  

Solar A/S Class B

    1,563       102,895  

Spar Nord Bank A/S

    37,048       439,498  

Zealand Pharma A/S (b) (c)

    23,624       362,883  
   

 

 

 
      6,131,667  
   

 

 

 

FINLAND — 0.7%

 

Ahtium PLC (a)

    572,382        

Caverion Oyj (b) (c)

    34,827       262,774  

Cramo Oyj

    16,757       349,316  

Ferratum Oyj

    7,628       241,099  

Finnair Oyj

    30,074       417,948  

F-Secure Oyj

    67,911       305,267  

Kemira Oyj

    50,506       645,994  

Lehto Group Oyj

    17,419       250,218  

Oriola Oyj Class B (b)

    37,305       112,864  

Outotec Oyj (c)

    61,885       552,553  

Pihlajalinna Oyj

    12,153       188,623  

Raisio Oyj Class V

    48,342       215,221  

Ramirent Oyj

    36,360       299,383  

Revenio Group Oyj

    16,146       254,966  

Sanoma Oyj

    36,603       428,779  

Stockmann Oyj Abp Class B (b) (c)

    16,933       79,343  

Technopolis Oyj

    54,016       243,804  

Tikkurila Oyj (b)

    21,661       416,114  

Tokmanni Group Corp.

    23,346       190,505  

Uponor Oyj

    27,200       453,943  

YIT Oyj (b)

    75,994       635,537  
   

 

 

 
      6,544,251  
   

 

 

 

FRANCE — 2.1%

 

AB Science SA (b) (c)

    14,637       147,971  

Akka Technologies

    7,582       460,641  

Albioma SA

    12,470       295,376  

Assystem

    2,312       79,189  

Beneteau SA

    13,790       299,507  

Boiron SA

    3,478       293,003  

Bonduelle SCA

    5,283       223,182  

Bourbon Corp. (b)

    9,415       55,116  

Cellectis SA (c)

    15,546       493,277  

CGG SA (c)

    2,270       4,498  

Chargeurs SA

    9,051       264,036  
 

 

121


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Cie des Alpes

    6,074     $ 220,742  

Coface SA (c)

    44,920       513,225  

Derichebourg SA

    34,674       304,690  

Devoteam SA

    3,114       329,359  

Eramet (c)

    4,433       609,525  

Esker SA

    9,890       632,488  

Etablissements Maurel et Prom (c)

    2,112       10,026  

Gaztransport Et Technigaz SA

    12,659       792,446  

Genfit (b) (c)

    11,751       339,621  

GL Events

    25,257       759,474  

Guerbet

    3,187       253,594  

Haulotte Group SA

    3,419       70,389  

ID Logistics Group (c)

    1,321       235,572  

Innate Pharma SA (b) (c)

    22,385       157,886  

Interparfums SA

    2,369       108,966  

IPSOS

    15,750       618,295  

Jacquet Metal Service

    32,185       1,161,753  

Kaufman & Broad SA

    8,613       452,520  

Lectra

    15,796       445,843  

LNA Sante SA

    7,837       545,530  

Maisons du Monde SA (e)

    20,770       757,635  

Manitou BF SA

    6,410       271,975  

Marie Brizard Wine & Spirits SA (b) (c)

    15,149       164,884  

Mercialys SA REIT

    20,323       390,160  

Mersen SA

    24,448       1,110,990  

Nanobiotix (c)

    14,458       225,288  

Naturex (c)

    3,723       613,550  

Neopost SA

    19,568       515,006  

Nicox (b) (c)

    18,775       209,430  

Parrot SA (c)

    7,234       46,441  

Pierre & Vacances SA (c)

    1,118       49,980  

Rallye SA (b)

    11,534       173,058  

SOITEC (c)

    9,715       703,737  

Solocal Group (c)

    215,891       305,341  

Solutions 30 SE (c)

    22,421       846,536  

SRP Groupe SA (c) (e)

    617       5,919  

Ste Industrielle d’Aviation Latecoere SA (c)

    57,225       350,132  

Talend SA ADR (c)

    9,754       469,363  

Technicolor SA

    231,502       391,195  

Valneva SE (b) (c)

    48,298       211,462  

Virbac SA (b) (c)

    2,004       294,276  
   

 

 

 
      19,284,098  
   

 

 

 

GERMANY — 3.2%

 

ADVA Optical Networking SE (c)

    12,961       85,200  

AIXTRON SE (c)

    65,663       1,265,845  

Amadeus Fire AG

    3,391       378,674  

Aumann AG (c) (e)

    3,600       228,014  

AURELIUS Equity Opportunities SE & Co. KGaA (b)

    16,504       1,148,836  

Bauer AG

    5,817       136,928  

BayWa AG

    2,457       86,573  

Bertrandt AG

    3,032       345,483  

bet-at-home.com AG

    1,893       159,592  

Security Description

 

Shares

   

Value

 

Bilfinger SE

    16,876     $ 767,933  

Biotest AG Preference Shares

    12,344       402,304  

Borussia Dortmund GmbH & Co. KGaA

    42,423       266,870  

CANCOM SE

    9,426       969,718  

Cewe Stiftung & Co. KGAA

    3,403       334,396  

Deutsche Beteiligungs AG

    6,765       327,390  

Deutsche Pfandbriefbank AG (e)

    38,712       609,408  

Deutz AG

    65,701       601,978  

DIC Asset AG

    70,520       888,105  

Draegerwerk AG & Co. KGaA

    2,429       178,940  

Draegerwerk AG & Co. KGaA Preference Shares

    1,598       151,721  

Elmos Semiconductor AG

    10,842       332,018  

ElringKlinger AG (b)

    8,970       167,021  

Encavis AG

    68,772       542,153  

GFT Technologies SE

    12,684       202,948  

Grammer AG

    8,001       501,350  

Hamborner REIT AG

    48,569       563,278  

Heidelberger Druckmaschinen AG (c)

    123,809       463,499  

HELMA Eigenheimbau AG

    2,747       125,508  

Hornbach Holding AG & Co. KGaA

    2,722       228,979  

Hypoport AG (b) (c)

    2,075       348,085  

Indus Holding AG

    29,915       2,093,407  

Isra Vision AG

    853       179,390  

Jenoptik AG

    80,061       2,827,859  

Kloeckner & Co. SE

    37,866       475,009  

Koenig & Bauer AG

    9,313       853,866  

KSB SE & Co. KGaA Preference Shares

    274       150,293  

LPKF Laser & Electronics AG (c)

    10,752       115,440  

Medigene AG (c)

    15,725       279,454  

MLP SE

    28,393       172,326  

Nordex SE (b) (c)

    41,729       362,835  

Norma Group SE

    16,699       1,248,666  

PATRIZIA Immobilien AG (c)

    59,943       1,326,977  

Pfeiffer Vacuum Technology AG

    2,311       358,968  

QSC AG

    2,159       3,770  

RIB Software SE

    17,827       379,075  

SAF-Holland SA

    16,971       342,297  

SGL Carbon SE (c)

    25,161       354,312  

SLM Solutions Group AG (c)

    6,178       244,276  

SMA Solar Technology AG

    3,832       216,694  

STRATEC Biomedical AG

    3,189       287,874  

SUESS MicroTec SE (c)

    11,303       172,372  

Surteco SE

    8,897       275,738  

Takkt AG

    17,573       399,825  

Technotrans AG

    4,261       210,402  

Tele Columbus AG (c) (e)

    30,296       326,766  

TLG Immobilien AG

    23,433       642,666  

Trivago NV ADR (c)

    21,256       147,729  

Vossloh AG (c)

    4,456       223,045  

VTG AG

    4,559       257,637  

Wacker Neuson SE

    10,416       360,477  

Washtec AG

    6,493       618,071  
 

 

122


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

XING SE

    1,787     $ 519,766  

Zeal Network SE

    5,500       176,545  

zooplus AG (c)

    2,843       517,477  
   

 

 

 
      29,930,051  
   

 

 

 

GREECE — 0.0% (g)

 

TT Hellenic Postbank SA (a) (c)

    129,076        
   

 

 

 

HONG KONG — 2.6%

 

Beijing Gas Blue Sky Holdings, Ltd. (b) (c)

    3,848,000       269,663  

Cafe de Coral Holdings, Ltd.

    177,191       442,509  

Century Sunshine Group Holdings, Ltd. (c)

    114,998       3,663  

China Baoli Technologies Holdings, Ltd. (c)

    6,523,200       100,570  

China Goldjoy Group, Ltd.

    4,384,000       323,984  

China Household Holdings, Ltd. (c) (d)

    780,000       50,686  

China Innovationpay Group, Ltd. (b) (c)

    2,532,000       161,309  

China LNG Group, Ltd. (b) (c)

    445,499       67,549  

China LotSynergy Holdings, Ltd. (c)

    460,000       8,616  

China Ocean Resources Co., Ltd. (a) (b) (c)

    26,593        

China Regenerative Medicine International, Ltd. (b) (c)

    6,343,056       126,080  

China Ruifeng Renewable Energy Holdings, Ltd. (c)

    71,200       5,897  

China Smarter Energy Group Holdings, Ltd. (b) (c)

    2,134,000       239,277  

China Strategic Holdings, Ltd. (c)

    6,293,367       71,367  

China Water Industry Group, Ltd. (b) (c)

    440,000       93,065  

Chow Sang Sang Holdings International, Ltd.

    269,939       567,511  

CK Life Sciences Int’l Holdings, Inc.

    2,884,000       209,457  

Common Splendor International Health Industry Group, Ltd. (b) (c)

    2,450,000       296,561  

Digital Domain Holdings, Ltd. (b) (c)

    2,626,696       57,231  

Dingyi Group Investment, Ltd. (b) (c)

    1,160,000       122,676  

Enerchina Holdings, Ltd. (b)

    426,385       27,164  

Esprit Holdings, Ltd. (b) (c)

    975,935       332,014  

Evergrande Health Industry Group, Ltd. (b) (c)

    1,335,000       525,611  

Fairwood Holdings, Ltd.

    162,500       637,718  

FDG Electric Vehicles, Ltd. (b) (c)

    7,927,493       262,624  

Freeman FinTech Corp., Ltd. (c)

    5,180,000       924,022  

Future World Financial Holdings, Ltd. (c)

    4,910,303       130,136  

GCL New Energy Holdings, Ltd. (b) (c)

    3,962,000       224,646  

Giordano International, Ltd.

    1,484,000       869,793  

Security Description

 

Shares

   

Value

 

Global Brands Group Holding, Ltd. (c)

    2,294,000     $ 128,609  

Global Cord Blood Corp. (c)

    49,364       503,513  

G-Resources Group, Ltd. (c)

    4,105,790       38,189  

HKBN, Ltd.

    572,413       675,375  

HKR International, Ltd. (b)

    2,347,259       1,405,670  

HMV Digital China Group, Ltd. (b) (c)

    8,560,000       260,673  

Honbridge Holdings, Ltd. (b) (c)

    1,472,000       296,339  

Hopewell Highway Infrastructure, Ltd.

    626,000       382,062  

Huarong International Financial Holdings, Ltd. (b) (c)

    366,000       102,129  

Hutchison Telecommunications Hong Kong Holdings, Ltd. (b)

    836,000       293,995  

K Wah International Holdings, Ltd.

    1,787,548       1,186,642  

Kong Sun Holdings, Ltd. (c)

    75,000       2,150  

Lai Sun Development Co., Ltd.

    148,200       242,836  

Landing International Development, Ltd. (c)

    39,786,000       1,105,124  

Lee’s Pharmaceutical Holdings, Ltd.

    227,000       294,441  

Noble Group, Ltd. (b) (c)

    709,919       42,228  

O Luxe Holdings, Ltd. (b) (c)

    880,000       196,221  

Pacific Basin Shipping, Ltd. (c)

    1,857,000       496,885  

Pacific Textiles Holdings, Ltd. (b)

    510,000       488,017  

Panda Green Energy Group, Ltd. (b) (c)

    2,362,000       252,804  

PAX Global Technology, Ltd. (b)

    378,000       170,980  

Peace Mark Holdings, Ltd. (a) (c)

    504,228        

Pico Far East Holdings, Ltd. (b)

    202,000       77,214  

Playmates Toys, Ltd.

    108,000       11,834  

Prosperity REIT

    620,000       258,323  

Road King Infrastructure, Ltd.

    639,482       1,264,575  

Sa Sa International Holdings, Ltd.

    756,906       391,555  

Shun Tak Holdings, Ltd.

    1,340,849       553,540  

Singamas Container Holdings, Ltd.

    960,000       160,239  

SmarTone Telecommunications Holdings, Ltd.

    239,631       254,949  

SMI Holdings Group, Ltd. (b)

    664,081       287,690  

Spring Real Estate Investment Trust

    273,000       118,615  

Stella International Holdings, Ltd.

    213,500       284,547  

Summit Ascent Holdings, Ltd. (c)

    26,000       3,048  

Sun Hung Kai & Co., Ltd.

    357,000       222,434  

SUNeVision Holdings, Ltd.

    301,000       189,844  

Sunlight Real Estate Investment Trust

    182,000       123,601  

Superb Summit International Group, Ltd. (a) (b) (c)

    1,685,500        

Television Broadcasts, Ltd. (b)

    171,016       566,545  

Texhong Textile Group, Ltd.

    240,500       337,079  
 

 

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Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Texwinca Holdings, Ltd.

    704,850     $ 370,014  

Tongda Group Holdings, Ltd. (b)

    2,320,000       443,408  

Tongda Hong Tai Holdings, Ltd. (b) (c)

    58,499       11,628  

Tou Rong Chang Fu Group, Ltd. (c)

    2,492,000       44,453  

Town Health International Medical Group, Ltd. (b) (d)

    1,848,000       162,471  

Truly International Holdings, Ltd. (b)

    838,000       212,482  

Value Partners Group, Ltd. (b)

    456,000       424,724  

Viva China Holdings, Ltd. (c)

    1,968,000       223,172  

Yuexiu Real Estate Investment Trust

    1,204,000       834,545  
   

 

 

 
      23,548,810  
   

 

 

 

INDIA — 0.0% (g)

 

Eros International PLC (b) (c)

    17,109       186,488  
   

 

 

 

IRELAND — 0.8%

 

Amarin Corp. PLC ADR (b) (c)

    157,919       475,336  

C&C Group PLC

    169,203       553,531  

Cairn Homes PLC (c)

    402,383       895,716  

Dalata Hotel Group PLC (c)

    85,979       655,596  

Fly Leasing, Ltd. ADR (c)

    25,780       343,132  

Green REIT PLC

    338,660       630,583  

Greencore Group PLC

    396,492       737,242  

Hibernia REIT PLC

    403,219       716,078  

Hostelworld Group PLC (e)

    55,536       297,600  

Irish Continental Group PLC

    81,961       576,575  

Irish Residential Properties REIT PLC

    378,040       646,256  

Origin Enterprises PLC

    63,646       418,772  

Trinity Biotech PLC ADR (b) (c)

    21,125       108,794  
   

 

 

 
      7,055,211  
   

 

 

 

ISRAEL — 1.8%

 

Africa Israel Properties, Ltd. (c)

    2,747       67,602  

Airport City, Ltd. (c)

    46,751       503,082  

Alony Hetz Properties & Investments, Ltd.

    35,860       322,866  

Amot Investments, Ltd.

    55,907       299,054  

Bayside Land Corp.

    737       348,258  

Caesarstone, Ltd. (b)

    11,701       229,925  

Cellcom Israel, Ltd. (c)

    35,365       249,610  

Ceragon Networks, Ltd. (c)

    49,947       134,358  

Clal Insurance Enterprises Holdings, Ltd. (c)

    17,408       313,219  

CyberArk Software, Ltd. (c)

    15,505       791,065  

Delek Automotive Systems, Ltd.

    22,030       164,903  

Delta-Galil Industries, Ltd.

    5,974       175,603  

Electra, Ltd.

    2,323       582,264  

First International Bank Of Israel, Ltd.

    28,197       593,520  

Gazit-Globe, Ltd.

    52,419       517,046  

Harel Insurance Investments & Financial Services, Ltd.

    46,683       368,720  

IDI Insurance Co., Ltd.

    7,373       480,914  

Security Description

 

Shares

   

Value

 

Inrom Construction Industries, Ltd.

    78,808     $ 365,886  

Israel Corp., Ltd. (c)

    1,645       308,679  

Israel Discount Bank, Ltd. Class A (c)

    1       3  

Ituran Location & Control, Ltd.

    14,634       455,117  

Jerusalem Economy, Ltd. (c)

    140,383       339,157  

Jerusalem Oil Exploration (c)

    5,940       329,920  

Kornit Digital, Ltd. (b) (c)

    19,621       253,111  

Matrix IT, Ltd.

    16,315       183,790  

Mazor Robotics, Ltd. (c)

    18,681       548,056  

Migdal Insurance & Financial Holding, Ltd.

    195,785       208,731  

Norstar Holdings, Inc.

    7,373       133,837  

Nova Measuring Instruments, Ltd. (c)

    27,359       735,475  

Oil Refineries, Ltd.

    1,082,188       499,967  

Orbotech, Ltd. (c)

    27,030       1,680,725  

Partner Communications Co., Ltd. (c)

    59,636       268,382  

Paz Oil Co., Ltd.

    6,194       909,468  

Radware, Ltd. (c)

    28,846       615,862  

Rami Levy Chain Stores Hashikma Marketing 2006, Ltd.

    4,968       249,330  

Reit 1, Ltd.

    126,955       520,353  

Sapiens International Corp. NV

    27,779       244,095  

Shikun & Binui, Ltd.

    87,466       143,873  

Shufersal, Ltd.

    63,496       403,853  

SodaStream International, Ltd. (c)

    12,129       1,113,806  
   

 

 

 
      16,653,485  
   

 

 

 

ITALY — 1.2%

 

Ascopiave SpA

    40,781       163,504  

Astaldi SpA (b)

    5,170       14,077  

Banca Carige SpA (c)

    20,299,877       204,720  

Banca Farmafactoring SpA (b) (c) (e)

    49,574       362,153  

Banca Monte dei Paschi di Siena SpA (b) (c)

    552       1,746  

Banca Popolare di Sondrio SCPA

    210,093       831,476  

BasicNet SpA

    28,477       130,283  

Beni Stabili SpA SIIQ

    406,020       337,556  

Brunello Cucinelli SpA

    13,427       421,087  

Cairo Communication SpA (b)

    38,351       172,156  

Cementir Holding SpA

    36,541       316,827  

CIR-Compagnie Industriali Riunite SpA

    93,403       123,602  

Credito Valtellinese SpA (c)

    5,448,470       771,933  

Danieli & C Officine Meccaniche SpA

    18,710       340,555  

Datalogic SpA

    8,499       266,016  

doBank SpA (c) (e)

    23,470       330,500  

Ei Towers SpA

    19,047       1,067,007  

Esprinet SpA (b)

    47,517       254,209  

Fila SpA

    11,577       248,880  

Fincantieri SpA (c)

    265,591       388,698  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

GEDI Gruppo Editoriale SpA (c)

    2,802     $ 1,546  

Immobiliare Grande Distribuzione SIIQ SpA

    16,859       157,330  

Italmobiliare SpA

    2,418       67,951  

Juventus Football Club SpA (b) (c)

    213,733       169,676  

Maire Tecnimont SpA (b)

    68,949       354,451  

MARR SpA

    13,498       400,737  

Massimo Zanetti Beverage Group SpA (e)

    11,939       107,040  

OVS SpA (e)

    78,508       481,028  

Piaggio & C SpA

    91,952       255,125  

RAI Way SpA (e)

    52,791       292,487  

Safilo Group SpA (c)

    628       3,170  

Salini Impregilo SpA (b)

    97,192       288,071  

Societa Cattolica di Assicurazioni SC

    80,506       856,439  

Sogefi SpA (b) (c)

    37,461       134,713  

Tamburi Investment Partners SpA

    72,838       548,229  

Technogym SpA (e)

    40,013       472,416  

Vittoria Assicurazioni SpA

    8,282       123,450  
   

 

 

 
      11,460,844  
   

 

 

 

JAPAN — 36.6%

 

3-D Matrix, Ltd. (b) (c)

    17,300       131,275  

77 Bank, Ltd.

    38,000       901,495  

Access Co., Ltd. (b) (c)

    15,500       153,032  

Achilles Corp.

    3,100       63,662  

Adastria Co., Ltd. (b)

    24,200       493,785  

ADEKA Corp.

    45,800       808,767  

Advanced Media, Inc. (b) (c)

    16,600       312,957  

Adways, Inc. (b)

    10,500       50,254  

Aeon Delight Co., Ltd.

    13,800       495,684  

AEON REIT Investment Corp.

    504       531,724  

Ahresty Corp.

    8,100       71,289  

Ai Holdings Corp.

    22,600       623,492  

Aichi Steel Corp.

    3,200       130,588  

Aida Engineering, Ltd.

    32,600       393,284  

Aiful Corp. (b) (c)

    132,376       436,897  

Akatsuki, Inc. (b) (c)

    2,300       111,378  

Akebono Brake Industry Co., Ltd. (b) (c)

    77,300       201,336  

Alconix Corp.

    15,400       300,325  

Alpine Electronics, Inc. (b)

    23,700       442,355  

Altech Corp.

    15,300       350,742  

Amano Corp.

    32,600       863,203  

Amiyaki Tei Co., Ltd.

    1,700       90,635  

AnGes, Inc. (b) (c)

    51,800       250,354  

Anicom Holdings, Inc. (b)

    10,800       444,288  

Anritsu Corp.

    70,300       846,112  

AOKI Holdings, Inc.

    9,800       148,636  

Aomori Bank, Ltd. (b)

    7,600       232,252  

Aoyama Trading Co., Ltd.

    23,400       915,317  

Arakawa Chemical Industries, Ltd.

    11,100       194,759  

Arata Corp.

    7,300       407,729  

Arcland Sakamoto Co., Ltd.

    14,800       236,995  

Security Description

 

Shares

   

Value

 

Arcs Co., Ltd.

    27,200     $ 658,069  

Argo Graphics, Inc.

    8,200       269,478  

Arisawa Manufacturing Co., Ltd. (b) (c)

    15,100       138,434  

Artnature, Inc.

    2,300       15,355  

As One Corp.

    3,800       241,899  

Asahi Diamond Industrial Co., Ltd.

    31,400       325,367  

Asahi Holdings, Inc.

    47,873       881,385  

Asia Pile Holdings Corp.

    6,600       39,718  

ASKA Pharmaceutical Co., Ltd.

    11,000       172,214  

ASKUL Corp. (b)

    11,800       392,779  

Ateam, Inc.

    6,400       149,123  

Atom Corp. (b)

    16,400       147,268  

Aucnet, Inc. (b)

    21,800       302,351  

Autobacs Seven Co., Ltd.

    46,900       871,409  

Avex, Inc. (b)

    20,400       286,578  

Awa Bank, Ltd.

    254,000       1,647,955  

Axial Retailing, Inc.

    6,900       262,764  

Bando Chemical Industries, Ltd.

    32,700       371,738  

Bank of Iwate, Ltd.

    1,800       72,271  

Bank of Nagoya, Ltd. (b)

    21,460       806,137  

Bank of Okinawa, Ltd.

    30,800       1,309,036  

Bank of the Ryukyus, Ltd.

    92,020       1,407,772  

Belc Co., Ltd.

    6,300       363,724  

Belluna Co., Ltd.

    27,300       317,794  

Benefit One, Inc.

    16,900       462,903  

BML, Inc.

    16,700       431,201  

Broadleaf Co., Ltd.

    60,000       291,678  

Bunka Shutter Co., Ltd.

    45,000       436,671  

Can Do Co., Ltd. (b)

    25,000       421,251  

Capcom Co., Ltd.

    52,800       1,202,956  

Central Glass Co., Ltd.

    53,769       1,228,572  

Chiome Bioscience, Inc. (b) (c)

    23,700       76,883  

Chiyoda Co., Ltd.

    21,300       528,344  

Chiyoda Corp. (b)

    111,100       1,021,681  

Chiyoda Integre Co., Ltd.

    5,600       132,009  

Chofu Seisakusho Co., Ltd.

    14,100       340,336  

Chubu Shiryo Co., Ltd.

    15,300       305,281  

Chudenko Corp.

    4,600       123,056  

Chugoku Marine Paints, Ltd.

    36,400       358,695  

Ci:z Holdings Co., Ltd.

    23,300       1,154,593  

CKD Corp. (b)

    26,500       565,632  

Clarion Co., Ltd.

    59,000       178,637  

CMK Corp. (b)

    36,900       282,432  

cocokara fine, Inc.

    16,100       1,111,180  

COLOPL, Inc. (b)

    40,100       354,433  

Colowide Co., Ltd. (b)

    31,000       711,528  

Comforia Residential REIT, Inc. (b)

    308       719,101  

COOKPAD, Inc. (b)

    22,766       126,299  

Cosmo Energy Holdings Co., Ltd.

    36,300       1,151,975  

Create Restaurants Holdings, Inc. (b)

    17,000       201,730  

Create SD Holdings Co., Ltd.

    13,800       357,879  

CYBERDYNE, Inc. (b) (c)

    39,700       560,690  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

D.Western Therapeutics Institute, Inc. (b) (c)

    21,300     $ 122,172  

DA Consortium Holdings, Inc. (c)

    15,500       357,076  

Dai Nippon Toryo Co., Ltd.

    15,300       224,573  

Daibiru Corp.

    25,800       297,907  

Dai-Dan Co., Ltd.

    15,400       339,133  

Daido Metal Co., Ltd.

    29,300       335,841  

Daihen Corp. (b)

    48,000       360,169  

Daiho Corp.

    82,000       461,081  

Daiken Corp.

    9,900       233,932  

Daikyonishikawa Corp.

    20,600       332,002  

Dainichiseika Color & Chemicals Manufacturing Co., Ltd.

    8,800       361,185  

Daio Paper Corp. (b)

    52,400       732,664  

Daiseki Co., Ltd.

    15,200       417,911  

Daishi Bank, Ltd.

    19,200       851,227  

Daishinku Corp.

    1,800       22,714  

Daito Bank, Ltd.

    4,100       48,306  

Daito Pharmaceutical Co., Ltd.

    8,600       308,096  

Daiwabo Holdings Co., Ltd.

    10,600       453,503  

DCM Holdings Co., Ltd. (b)

    81,493       824,508  

Denyo Co., Ltd.

    3,800       67,532  

Descente, Ltd.

    15,500       245,143  

Dexerials Corp.

    34,100       348,214  

Digital Arts, Inc. (b)

    8,300       312,177  

Digital Garage, Inc.

    19,300       629,723  

Dip Corp.

    17,600       549,431  

Doshisha Co., Ltd.

    14,400       327,673  

Doutor Nichires Holdings Co., Ltd.

    69,672       1,644,351  

DTS Corp.

    34,962       1,206,493  

Duskin Co., Ltd.

    24,100       596,891  

DyDo Group Holdings, Inc.

    4,100       257,527  

Dynam Japan Holdings Co., Ltd.

    6,400       8,595  

Eagle Industry Co., Ltd. (b)

    15,700       269,269  

Earth Corp.

    10,600       554,170  

EDION Corp.

    110,000       1,261,871  

Ehime Bank, Ltd.

    101,140       1,203,029  

Eighteenth Bank, Ltd.

    323,730       834,058  

Eiken Chemical Co., Ltd.

    20,600       515,048  

Eizo Corp.

    11,500       522,826  

Elecom Co., Ltd.

    8,600       204,023  

en-japan, Inc.

    15,400       860,141  

Enplas Corp.

    5,300       171,683  

EPS Holdings, Inc.

    21,300       431,207  

eRex Co., Ltd. (b)

    27,900       208,561  

ESPEC Corp.

    17,700       408,922  

euglena Co., Ltd. (b) (c)

    3,900       37,845  

Exedy Corp.

    18,900       591,791  

F@N Communications, Inc.

    2,300       15,247  

Fancl Corp.

    40,100       1,461,095  

FCC Co., Ltd.

    49,128       1,368,285  

Feed One Co., Ltd.

    53,400       107,453  

Ferrotec Holdings Corp.

    10,400       255,331  

Fields Corp.

    3,500       38,143  

Security Description

 

Shares

   

Value

 

Financial Products Group Co., Ltd.

    29,400     $ 379,007  

Foster Electric Co., Ltd.

    16,200       393,157  

Fudo Tetra Corp.

    94,400       166,875  

Fuji Co., Ltd./Ehime

    11,900       254,896  

Fuji Kyuko Co., Ltd. (b)

    13,500       350,480  

Fuji Machine Manufacturing Co., Ltd.

    44,800       873,674  

Fuji Pharma Co., Ltd.

    3,500       159,614  

Fuji Seal International, Inc. (b)

    20,600       812,572  

Fuji Soft, Inc.

    19,700       777,997  

Fujibo Holdings, Inc.

    7,200       258,279  

Fujicco Co., Ltd.

    10,000       225,200  

Fujimi, Inc.

    11,200       238,954  

Fujimori Kogyo Co., Ltd.

    7,500       264,457  

Fujita Kanko, Inc. (b)

    4,399       131,949  

Fujitec Co., Ltd.

    41,800       551,831  

Fujiya Co., Ltd.

    6,800       162,599  

Fukuda Corp.

    4,000       246,732  

Fukui Bank, Ltd.

    12,900       283,473  

Fukuoka REIT Corp.

    882       1,377,529  

Fukushima Industries Corp.

    8,400       362,539  

Fukuyama Transporting Co., Ltd.

    19,400       840,940  

FULLCAST Holdings Co., Ltd.

    15,000       364,175  

Funai Soken Holdings, Inc.

    22,800       478,939  

Furukawa Co., Ltd.

    17,838       328,414  

Fuso Chemical Co., Ltd.

    14,200       361,709  

Futaba Corp.

    14,900       304,725  

Futaba Industrial Co., Ltd.

    32,400       270,838  

Fuyo General Lease Co., Ltd.

    9,600       647,221  

Genky DrugStores Co., Ltd. (c)

    5,100       178,632  

Geo Holdings Corp. (b)

    21,700       341,976  

Giken, Ltd.

    8,900       249,635  

Global One Real Estate Investment Corp. REIT (b)

    348       336,056  

GLOBERIDE, Inc.

    6,800       164,006  

GMO internet, Inc. (b)

    33,000       696,615  

GNI Group, Ltd. (b) (c)

    51,000       246,968  

Goldwin, Inc. (b)

    8,000       476,164  

Gree, Inc.

    50,200       286,992  

GS Yuasa Corp.

    214,000       1,148,980  

G-Tekt Corp.

    16,900       324,175  

Gumi, Inc. (b) (c)

    23,900       233,944  

Gunosy, Inc. (b) (c)

    8,653       225,051  

Gunze, Ltd. (b)

    9,200       520,771  

Gurunavi, Inc. (b)

    8,900       122,684  

Hankyu Reit, Inc.

    119       149,827  

Hanwa Co., Ltd.

    17,600       720,715  

Happinet Corp.

    3,700       53,021  

Hazama Ando Corp. (b)

    103,200       776,305  

Hearts United Group Co., Ltd. (b)

    6,200       100,039  

Heiwa Real Estate Co., Ltd.

    17,600       336,113  

Heiwa Real Estate REIT, Inc.

    426       409,777  

Heiwado Co., Ltd.

    21,300       513,724  

Hibiya Engineering, Ltd.

    7,500       138,293  

Hiday Hidaka Corp.

    11,640       289,167  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Hiramatsu, Inc. (b)

    18,100     $ 86,458  

Hirata Corp. (b)

    3,400       304,034  

Hitachi Zosen Corp. (b)

    173,200       889,207  

Hito Communications, Inc. (b)

    15,600       263,007  

Hodogaya Chemical Co., Ltd.

    4,000       175,458  

Hogy Medical Co., Ltd.

    10,800       432,102  

Hokkaido Electric Power Co., Inc. (b)

    114,500       755,797  

Hokkaido Gas Co., Ltd.

    12,000       34,189  

Hokkoku Bank, Ltd.

    16,300       641,425  

Hokuetsu Bank, Ltd.

    41,300       910,270  

Hokuetsu Kishu Paper Co., Ltd. (b)

    53,100       340,020  

Hokuhoku Financial Group, Inc.

    48,800       663,974  

Hokuriku Electric Industry Co., Ltd.

    9,400       131,874  

Hokuto Corp.

    8,200       156,906  

Hoshino Resorts REIT, Inc.

    69       362,680  

Hosiden Corp. (b)

    56,300       694,552  

Hosokawa Micron Corp. (b)

    4,800       326,319  

Hulic Reit, Inc.

    338       514,866  

Hyakugo Bank, Ltd.

    119,600       567,917  

Hyakujushi Bank, Ltd.

    178,000       600,865  

IBJ Leasing Co., Ltd.

    15,000       420,451  

Ichibanya Co., Ltd.

    5,600       229,318  

Ichigo Hotel REIT Investment Corp.

    250       291,255  

Ichigo Office REIT Investment

    596       452,814  

Ichigo, Inc.

    124,200       543,047  

Idec Corp. (b)

    16,000       382,586  

IDOM, Inc.

    34,100       238,556  

Iino Kaiun Kaisha, Ltd.

    101,280       474,259  

Inaba Denki Sangyo Co., Ltd.

    3,000       131,312  

Inabata & Co., Ltd.

    3,400       50,640  

Industrial & Infrastructure Fund Investment Corp. REIT

    686       768,888  

Infomart Corp.

    48,600       487,599  

Intage Holdings, Inc.

    8,000       87,184  

Internet Initiative Japan, Inc. (b)

    16,500       336,671  

Invesco Office J-Reit, Inc.

    2,532       356,408  

Invincible Investment Corp. REIT

    1,850       850,635  

Iriso Electronics Co., Ltd. (b)

    10,300       620,809  

Iseki & Co., Ltd.

    5,600       110,736  

Ishihara Sangyo Kaisha, Ltd. (c)

    8,400       100,310  

Istyle, Inc. (b)

    40,800       570,855  

Itfor, Inc. (b)

    42,400       371,972  

Itochu Enex Co., Ltd.

    29,900       280,304  

Itoki Corp.

    30,600       195,656  

Iwasaki Electric Co., Ltd.

    2,700       41,382  

Iwatani Corp.

    53,000       1,941,091  

J Trust Co., Ltd. (b)

    16,300       105,755  

Jaccs Co., Ltd.

    15,000       329,901  

Japan Asset Marketing Co., Ltd. (b) (c)

    40,900       47,688  

Japan Aviation Electronics Industry, Ltd. (b)

    35,000       489,046  

Japan Cash Machine Co., Ltd.

    3,200       34,452  

Security Description

 

Shares

   

Value

 

Japan Communications, Inc. (b) (c)

    2,600     $ 2,836  

Japan Display, Inc. (b) (c)

    155,910       287,338  

Japan Excellent, Inc.

    753       973,554  

Japan Logistics Fund, Inc. REIT

    661       1,335,052  

Japan Material Co., Ltd.

    49,100       608,498  

Japan Petroleum Exploration Co., Ltd. (b)

    17,900       400,751  

Japan Pulp & Paper Co., Ltd.

    7,900       323,874  

Japan Rental Housing Investments, Inc.

    603       464,937  

Japan Securities Finance Co., Ltd.

    27,800       170,172  

Japan Steel Works, Ltd.

    32,400       1,048,011  

Japan Tissue Engineering Co., Ltd. (c)

    7,600       131,205  

Japan Wool Textile Co., Ltd.

    23,900       231,696  

JCR Pharmaceuticals Co., Ltd.

    10,500       568,688  

JCU Corp.

    14,000       327,127  

Jeol, Ltd.

    41,000       373,954  

JIG-SAW, Inc. (c)

    2,800       100,837  

JINS, Inc. (b)

    6,600       361,805  

Joshin Denki Co., Ltd.

    13,500       504,584  

Joyful Honda Co., Ltd.

    24,400       867,250  

JSP Corp.

    8,100       246,008  

Juki Corp.

    34,900       483,382  

Juroku Bank, Ltd.

    19,400       518,610  

Justsystems Corp.

    17,800       428,137  

JVC Kenwood Corp.

    83,700       273,097  

Kadokawa Dwango (b) (c)

    2,700       27,724  

Kaga Electronics Co., Ltd.

    6,400       162,663  

Kameda Seika Co., Ltd.

    8,400       405,980  

Kanamoto Co., Ltd.

    19,600       652,412  

Kanematsu Corp.

    118,299       1,576,208  

Kansai Super Market, Ltd.

    5,500       57,819  

Kanto Denka Kogyo Co., Ltd. (b)

    24,000       243,047  

Kasai Kogyo Co., Ltd.

    8,000       102,379  

Katakura Industries Co., Ltd.

    70,174       913,879  

Kato Sangyo Co., Ltd.

    17,300       602,694  

KAWADA TECHNOLOGIES, Inc. (b)

    1,300       69,676  

Keihin Corp.

    15,500       315,247  

Keiyo Bank, Ltd.

    167,000       745,886  

Keiyo Co., Ltd. (b)

    33,300       173,467  

Kenedix Residential Next Investment Corp.

    282       402,781  

Kenedix Retail REIT Corp.

    270       587,729  

Kenedix, Inc.

    112,400       692,261  

Kenko Mayonnaise Co., Ltd. (b)

    14,400       480,677  

Key Coffee, Inc. (b)

    6,100       120,795  

KH Neochem Co., Ltd.

    18,700       538,054  

Kintetsu World Express, Inc.

    16,800       308,829  

Kisoji Co., Ltd.

    10,300       266,919  

Kissei Pharmaceutical Co., Ltd.

    24,500       660,244  

Kito Corp.

    17,700       324,542  

Kitz Corp.

    152,900       1,301,124  

Kiyo Bank, Ltd.

    94,360       1,506,566  

KLab, Inc. (b)

    18,200       292,295  
 

 

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Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Koa Corp.

    20,200     $ 411,787  

Kobe Bussan Co., Ltd.

    5,700       256,460  

Kohnan Shoji Co., Ltd.

    15,800       378,843  

Kokuyo Co., Ltd.

    59,117       1,139,538  

KOMEDA Holdings Co., Ltd.

    23,300       437,738  

Komeri Co., Ltd.

    10,300       276,410  

Komori Corp. (b)

    80,136       1,003,678  

Konishi Co., Ltd.

    16,100       256,449  

Konoike Transport Co., Ltd.

    15,600       265,794  

Kotobuki Spirits Co., Ltd. (b)

    22,900       1,192,910  

Kourakuen Holdings Corp.

    8,000       140,893  

Kumagai Gumi Co., Ltd. (b)

    18,200       567,306  

Kumiai Chemical Industry Co., Ltd.

    53,700       316,090  

Kura Corp. (b)

    5,700       391,255  

Kurabo Industries, Ltd.

    362,700       1,122,034  

Kureha Corp.

    8,200       532,017  

Kusuri no Aoki Holdings Co., Ltd.

    9,800       706,779  

KYB Corp.

    24,683       1,143,054  

Kyoei Steel, Ltd. (b)

    4,000       67,551  

Kyokuto Kaihatsu Kogyo Co., Ltd.

    18,500       271,020  

Kyokuyo Co., Ltd. (b)

    2,200       79,022  

KYORIN Holdings, Inc.

    33,000       620,282  

Kyoritsu Maintenance Co., Ltd. (b)

    14,400       678,364  

Kyosan Electric Manufacturing Co., Ltd.

    12,000       72,553  

Kyoto Kimono Yuzen Co., Ltd. (b)

    20,700       150,652  

LAC Co., Ltd.

    6,900       91,416  

LaSalle Logiport REIT

    379       403,055  

Lasertec Corp.

    23,900       851,725  

LEC, Inc. (b)

    8,200       297,236  

Leopalace21 Corp.

    139,800       1,138,381  

Life Corp.

    16,100       448,105  

LIFULL Co., Ltd.

    33,600       294,138  

Lintec Corp.

    15,400       438,035  

LIXIL VIVA Corp.

    11,200       219,787  

M&A Capital Partners Co., Ltd. (c)

    4,200       351,086  

Macnica Fuji Electronics Holdings, Inc.

    18,400       324,920  

Macromill, Inc. (b)

    10,800       330,550  

Maeda Road Construction Co., Ltd.

    30,000       595,487  

Makino Milling Machine Co., Ltd.

    158,000       1,466,347  

Mandom Corp.

    18,500       639,281  

Mani, Inc.

    10,900       423,803  

Marudai Food Co., Ltd.

    324,656       1,544,673  

Maruha Nichiro Corp. (b)

    37,220       1,174,171  

Marusan Securities Co., Ltd. (b)

    67,338       640,138  

Maruwa Co., Ltd.

    1,900       147,033  

Marvelous, Inc. (b)

    21,900       187,391  

Matsui Construction Co., Ltd.

    36,400       269,363  

Matsuya Co., Ltd.

    30,600       425,839  

Max Co., Ltd.

    21,900       279,233  

Security Description

 

Shares

   

Value

 

Maxell Holdings, Ltd.

    27,900     $ 528,093  

MCJ Co., Ltd.

    21,800       280,213  

MCUBS MidCity Investment Corp.

    535       390,371  

Mebuki Financial Group, Inc.

    1,500       5,755  

Medinet Co., Ltd. (c)

    88,700       108,425  

Megachips Corp. (b) (c)

    11,100       383,047  

Meidensha Corp.

    153,000       581,213  

Meiko Electronics Co., Ltd. (b)

    14,267       234,631  

Meitec Corp.

    15,200       821,815  

Melco Holdings, Inc. (b)

    4,000       132,205  

Menicon Co., Ltd.

    19,100       480,957  

Michinoku Bank, Ltd. (b)

    39,920       656,137  

Micronics Japan Co., Ltd. (b)

    2,300       23,768  

Milbon Co., Ltd.

    16,100       712,276  

Mirai Corp. REIT

    162       284,700  

Mirait Holdings Corp. (b)

    47,260       750,116  

Miroku Jyoho Service Co., Ltd.

    15,300       440,226  

Mitsuba Corp.

    20,800       264,229  

Mitsubishi Logisnext Co., Ltd.

    10,900       90,090  

Mitsubishi Pencil Co., Ltd.

    28,900       648,382  

Mitsubishi Shokuhin Co., Ltd.

    8,000       228,679  

Mitsuboshi Belting, Ltd.

    30,000       331,735  

Mitsui Engineering & Shipbuilding Co., Ltd. (b)

    31,100       504,150  

Mitsui Fudosan Logistics Park, Inc. REIT

    65       214,833  

Mitsui High-Tec, Inc. (b)

    13,900       201,279  

Mitsui Sugar Co., Ltd.

    34,100       1,301,796  

Mitsui-Soko Holdings Co., Ltd. (c)

    224,000       709,807  

Miyaji Engineering Group, Inc. (b)

    2,600       49,115  

Miyazaki Bank, Ltd.

    29,480       921,683  

Mizuno Corp.

    7,800       233,597  

Mochida Pharmaceutical Co., Ltd. (b)

    9,100       643,460  

Modec, Inc.

    9,000       220,282  

Monex Group, Inc. (b)

    102,400       327,372  

Monogatari Corp.

    1,400       140,329  

Mori Trust Hotel Reit, Inc.

    187       249,861  

Morinaga Milk Industry Co., Ltd.

    19,400       784,391  

Morita Holdings Corp.

    23,500       443,926  

MOS Food Services, Inc. (b)

    11,800       349,506  

Musashi Seimitsu Industry Co., Ltd.

    15,500       522,496  

Musashino Bank, Ltd.

    35,580       1,130,798  

Nachi-Fujikoshi Corp.

    144,000       859,803  

Nagaileben Co., Ltd.

    11,900       328,075  

Nakanishi, Inc.

    80,040       1,607,573  

Namura Shipbuilding Co., Ltd. (b)

    6,300       35,010  

NanoCarrier Co., Ltd. (b) (c)

    9,800       66,623  

Nanto Bank, Ltd.

    15,400       417,907  

NEC Networks & System Integration Corp.

    15,600       401,478  

NET One Systems Co., Ltd.

    87,200       1,265,978  

Neturen Co., Ltd.

    117,583       1,196,284  
 

 

128


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Nichias Corp.

    76,000     $ 954,020  

Nichiban Co., Ltd.

    10,000       321,580  

Nichicon Corp. (b)

    43,300       486,540  

Nichiha Corp. (b)

    18,600       696,079  

NichiiGakkan Co., Ltd.

    63,700       715,165  

Nichi-iko Pharmaceutical Co., Ltd.

    25,300       391,335  

Nichireki Co., Ltd.

    11,000       123,912  

Nihon Dempa Kogyo Co., Ltd.

    2,300       14,187  

Nihon Kagaku Sangyo Co., Ltd. (b)

    3,348       39,635  

Nihon Nohyaku Co., Ltd.

    2,300       13,473  

Nihon Parkerizing Co., Ltd.

    60,000       973,766  

Nihon Tokushu Toryo Co., Ltd.

    15,300       293,772  

Nihon Trim Co., Ltd.

    1,500       77,010  

Nihon Unisys, Ltd.

    33,300       712,028  

Nikkiso Co., Ltd.

    70,340       726,880  

Nikkon Holdings Co., Ltd. (b)

    138,480       3,614,673  

Nippon Beet Sugar Manufacturing Co., Ltd.

    3,300       73,571  

Nippon Carbon Co., Ltd.

    19,171       926,553  

Nippon Chemi-Con Corp.

    6,900       160,384  

Nippon Coke & Engineering Co., Ltd.

    95,000       95,581  

Nippon Concrete Industries Co., Ltd.

    34,100       139,478  

Nippon Denko Co., Ltd. (b)

    67,700       206,251  

Nippon Densetsu Kogyo Co., Ltd.

    25,900       505,093  

Nippon Flour Mills Co., Ltd.

    30,800       479,304  

Nippon Gas Co., Ltd.

    33,400       1,579,709  

Nippon Koei Co., Ltd.

    9,800       298,561  

Nippon Light Metal Holdings Co., Ltd.

    261,500       673,728  

Nippon Parking Development Co., Ltd.

    47,500       78,162  

Nippon Pillar Packing Co., Ltd.

    16,500       244,048  

NIPPON REIT Investment Corp.

    605       1,820,404  

Nippon Road Co., Ltd.

    4,700       230,691  

Nippon Seiki Co., Ltd.

    55,000       1,000,188  

Nippon Sheet Glass Co., Ltd. (b) (c)

    46,800       369,647  

Nippon Signal Co., Ltd.

    34,300       317,682  

Nippon Soda Co., Ltd.

    64,000       358,665  

Nippon Steel & Sumikin Bussan Corp.

    3,600       197,010  

Nippon Suisan Kaisha, Ltd.

    170,999       882,731  

Nippon Thompson Co., Ltd.

    135,900       1,088,733  

Nippon Valqua Industries, Ltd.

    10,476       285,369  

Nippon Yakin Kogyo Co., Ltd.

    84,500       228,035  

Nishimatsu Construction Co., Ltd. (b)

    28,600       704,579  

Nishimatsuya Chain Co., Ltd.

    25,953       292,353  

Nishi-Nippon Financial Holdings, Inc.

    55,000       642,313  

Nishi-Nippon Railroad Co., Ltd.

    33,400       865,542  

Nishio Rent All Co., Ltd.

    7,000       215,891  

Nissan Shatai Co., Ltd.

    23,900       246,978  

Security Description

 

Shares

   

Value

 

Nissei ASB Machine Co., Ltd. (b)

    4,700     $ 319,962  

Nissei Build Kogyo Co., Ltd.

    28,800       343,650  

Nissha Co., Ltd. (b)

    26,100       683,729  

Nisshin Oillio Group, Ltd.

    13,600       376,606  

Nisshin Steel Co., Ltd.

    13,900       161,546  

Nisshinbo Holdings, Inc.

    78,600       1,047,261  

Nissin Corp.

    10,800       281,907  

Nissin Electric Co., Ltd.

    24,700       229,000  

Nissin Kogyo Co., Ltd. (b)

    15,600       267,408  

Nitta Corp.

    9,900       367,236  

Nittetsu Mining Co., Ltd.

    3,200       176,624  

Nitto Boseki Co., Ltd.

    30,630       647,737  

Nitto Kogyo Corp.

    8,500       130,757  

Nittoku Engineering Co., Ltd. (b)

    9,400       345,153  

Nohmi Bosai, Ltd.

    19,100       409,119  

Nojima Corp.

    14,800       353,614  

Nomura Co., Ltd.

    23,300       494,262  

Noritake Co., Ltd.

    6,900       291,636  

Noritsu Koki Co., Ltd. (b)

    9,800       220,419  

Noritz Corp.

    16,600       299,221  

North Pacific Bank, Ltd.

    162,400       542,097  

NS United Kaiun Kaisha, Ltd. (b)

    1,900       37,607  

NSD Co., Ltd.

    21,800       440,100  

NuFlare Technology, Inc.

    1,800       113,061  

Obara Group, Inc.

    3,500       203,385  

Oenon Holdings, Inc.

    101,800       451,806  

Ogaki Kyoritsu Bank, Ltd.

    9,500       240,649  

Ohsho Food Service Corp.

    6,800       331,208  

Oiles Corp.

    10,900       230,197  

Oita Bank, Ltd.

    26,580       984,722  

Okabe Co., Ltd.

    20,100       185,030  

Okamoto Industries, Inc. (b)

    31,800       318,150  

Okamura Corp.

    62,100       840,262  

Okasan Securities Group, Inc. (b)

    88,682       523,670  

Oki Electric Industry Co., Ltd. (b)

    51,900       679,312  

Okinawa Electric Power Co., Inc.

    20,890       586,727  

OKUMA Corp.

    13,600       782,623  

Okumura Corp.

    16,800       651,622  

Okura Industrial Co., Ltd.

    33,950       183,237  

Okuwa Co., Ltd.

    18,000       187,532  

OncoTherapy Science, Inc. (b) (c)

    53,700       109,066  

One REIT, Inc.

    96       217,817  

Onward Holdings Co., Ltd.

    69,300       598,841  

Open House Co., Ltd.

    15,800       961,222  

Optex Group Co., Ltd.

    19,200       482,212  

Osaka Soda Co., Ltd. (b)

    11,200       292,769  

OSAKA Titanium Technologies Co., Ltd.

    8,500       159,850  

Osaki Electric Co., Ltd.

    16,000       115,994  

OSG Corp.

    51,840       1,169,386  

OSJB Holdings Corp. (b)

    102,600       276,880  

Outsourcing, Inc.

    30,900       530,254  
 

 

129


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Pacific Industrial Co., Ltd. (b)

    32,000     $ 421,251  

Pacific Metals Co., Ltd. (c)

    7,399       219,152  

Pack Corp.

    4,800       177,828  

PAL GROUP Holdings Co., Ltd.

    5,700       154,680  

Paramount Bed Holdings Co., Ltd.

    5,600       282,238  

Pasona Group, Inc. (b)

    15,300       326,429  

Penta-Ocean Construction Co., Ltd.

    129,100       939,571  

Pepper Food Service Co., Ltd. (b)

    7,400       336,427  

Piolax, Inc.

    17,700       458,519  

Pioneer Corp. (b) (c)

    126,700       206,103  

Plenus Co., Ltd. (b)

    9,900       191,670  

Poletowin Pitcrew Holdings, Inc.

    10,000       178,373  

Premier Investment Corp.

    1,506       1,583,176  

Press Kogyo Co., Ltd.

    68,900       407,504  

Pressance Corp.

    18,900       281,501  

Prestige International, Inc.

    29,600       357,093  

Prima Meat Packers, Ltd.

    76,000       423,771  

Qol Co., Ltd.

    12,000       234,810  

Raito Kogyo Co., Ltd.

    17,200       180,006  

Relia, Inc.

    25,300       306,407  

Remixpoint Co., Ltd. (b)

    21,100       172,808  

Rengo Co., Ltd.

    235,600       2,022,593  

ReproCELL, Inc. (c)

    22,200       71,391  

Riken Corp. (b)

    7,000       390,315  

Riken Keiki Co., Ltd. (b)

    13,800       298,059  

Riken Vitamin Co., Ltd.

    5,400       209,958  

Ringer Hut Co., Ltd. (b)

    15,400       358,247  

Riso Kagaku Corp.

    9,200       169,467  

Rock Field Co., Ltd.

    10,600       217,781  

Rokko Butter Co., Ltd.

    10,600       226,153  

Roland DG Corp.

    4,400       99,047  

Round One Corp.

    24,800       388,032  

Royal Holdings Co., Ltd.

    14,300       384,157  

Ryobi, Ltd.

    16,400       430,702  

Ryosan Co., Ltd. (b)

    10,000       357,311  

S Foods, Inc.

    5,700       234,485  

Sagami Chain Co., Ltd. (b)

    23,900       308,104  

Saizeriya Co., Ltd.

    16,100       452,344  

Sakai Chemical Industry Co., Ltd.

    44,253       1,133,476  

Sakai Moving Service Co., Ltd.

    4,200       216,812  

Sakata INX Corp.

    24,700       364,403  

Sakata Seed Corp.

    17,500       611,307  

San-A Co., Ltd.

    10,200       586,008  

San-Ai Oil Co., Ltd.

    20,400       298,279  

Sanden Holdings Corp. (b) (c)

    11,200       155,547  

Sangetsu Corp.

    35,000       718,759  

San-In Godo Bank, Ltd.

    53,100       470,336  

Sanken Electric Co., Ltd.

    68,000       494,255  

Sanki Engineering Co., Ltd.

    26,600       296,639  

Sankyo Tateyama, Inc.

    29,500       434,941  

Sanrio Co., Ltd. (b)

    31,000       559,662  

Sanyo Chemical Industries, Ltd.

    5,400       251,594  

Sanyo Denki Co., Ltd.

    5,000       379,408  

Sanyo Electric Railway Co., Ltd.

    7,800       194,138  

Security Description

 

Shares

   

Value

 

Sanyo Shokai, Ltd. (b)

    3,000     $ 64,457  

Sanyo Special Steel Co., Ltd. (b)

    38,387       960,126  

Sato Holdings Corp.

    37,240       1,183,556  

Seika Corp.

    4,400       108,728  

Seikagaku Corp. (b)

    23,300       423,935  

Seiko Holdings Corp.

    11,800       277,941  

Seiren Co., Ltd. (b)

    69,180       1,264,560  

Sekisui House Reit, Inc. (b)

    465       625,684  

Sekisui House Residential Investment Corp. REIT

    589       646,322  

Sekisui Plastics Co., Ltd. (b)

    23,900       264,282  

Senko Group Holdings Co., Ltd. (b)

    48,800       378,561  

Senshu Ikeda Holdings, Inc.

    10,560       40,115  

Senshukai Co., Ltd. (c)

    19,800       105,749  

Septeni Holdings Co., Ltd.

    42,100       144,490  

Shibuya Corp.

    10,900       384,344  

Shiga Bank, Ltd.

    155,000       785,567  

Shikoku Bank, Ltd.

    24,000       338,505  

Shikoku Chemicals Corp.

    24,900       365,013  

Shima Seiki Manufacturing, Ltd. (b)

    26,545       1,837,059  

Shimachu Co., Ltd.

    45,960       1,456,372  

Shindengen Electric Manufacturing Co., Ltd.

    4,100       263,310  

Shin-Etsu Polymer Co., Ltd.

    23,500       247,043  

Shinkawa, Ltd. (b) (c)

    9,200       97,493  

Shinko Electric Industries Co., Ltd.

    29,200       213,063  

Shinko Plantech Co., Ltd.

    32,000       290,061  

Shinmaywa Industries, Ltd.

    26,000       212,205  

Shinsho Corp.

    4,000       137,283  

Ship Healthcare Holdings, Inc.

    16,400       576,737  

Shizuoka Gas Co., Ltd.

    29,100       261,312  

SHO-BOND Holdings Co., Ltd.

    15,100       1,113,155  

Shochiku Co., Ltd.

    20,160       2,832,068  

Shoei Co., Ltd.

    5,600       213,785  

Shoei Foods Corp. (b)

    7,200       272,496  

Showa Corp.

    25,200       427,227  

Showa Sangyo Co., Ltd.

    7,600       196,164  

Siix Corp. (b)

    22,400       475,803  

Sinanen Holdings Co., Ltd.

    7,600       186,588  

Sinfonia Technology Co., Ltd. (b)

    226,400       766,375  

Sinko Industries, Ltd.

    15,400       241,679  

Sintokogio, Ltd.

    35,700       368,245  

SKY Perfect JSAT Holdings, Inc.

    60,000       267,983  

SMK Corp.

    115,043       469,475  

SMS Co., Ltd. (b)

    23,300       983,705  

Sodick Co., Ltd. (b)

    26,800       344,985  

Sogo Medical Co., Ltd.

    7,800       217,608  

Sosei Group Corp. (b) (c)

    10,300       831,942  

St Marc Holdings Co., Ltd.

    3,000       87,024  

Star Asia Investment Corp. REIT

    224       215,891  

Star Micronics Co., Ltd.

    20,900       383,019  

Starts Corp., Inc.

    16,400       444,427  
 

 

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SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Starts Proceed Investment Corp. REIT

    163     $ 253,811  

Starzen Co., Ltd.

    4,800       235,599  

Stella Chemifa Corp. (b)

    7,200       213,258  

Sumida Corp. (b)

    19,800       250,037  

Sumitomo Bakelite Co., Ltd.

    87,000       759,972  

Sumitomo Mitsui Construction Co., Ltd.

    81,060       480,186  

Sumitomo Osaka Cement Co., Ltd. (b)

    211,793       928,026  

Sumitomo Seika Chemicals Co., Ltd. (b)

    2,400       114,189  

Sumitomo Warehouse Co., Ltd.

    48,000       316,389  

Sun Corp. (b)

    10,000       66,102  

Sun Frontier Fudousan Co., Ltd. (b)

    5,800       62,936  

Sushiro Global Holdings, Ltd. (b) (c)

    11,000       535,778  

SWCC Showa Holdings Co., Ltd.

    4,500       39,478  

Systena Corp.

    11,200       447,052  

T Hasegawa Co., Ltd.

    15,800       300,252  

T RAD Co., Ltd.

    1,500       55,007  

Tabuchi Electric Co., Ltd. (b) (c)

    2,300       5,904  

Tachi-S Co., Ltd.

    21,200       376,557  

Tadano, Ltd.

    68,900       1,022,972  

Taihei Dengyo Kaisha, Ltd. (b)

    12,500       316,173  

Taikisha, Ltd.

    15,800       511,810  

Taiko Pharmaceutical Co., Ltd. (b)

    14,300       271,747  

Taiyo Holdings Co., Ltd.

    4,600       196,370  

Taiyo Yuden Co., Ltd. (b)

    67,800       1,122,031  

Takamatsu Construction Group Co., Ltd.

    7,900       224,706  

Takaoka Toko Co., Ltd.

    1,900       30,211  

Takara Bio, Inc.

    25,800       520,609  

Takara Leben Co., Ltd. (b)

    42,500       182,228  

Takara Standard Co., Ltd.

    30,300       510,556  

Takasago International Corp.

    42,300       1,240,959  

Takasago Thermal Engineering Co., Ltd.

    35,000       641,420  

TAKATA Corp. (a) (c)

    300        

Takeuchi Manufacturing Co., Ltd.

    22,800       497,162  

Takuma Co., Ltd.

    39,900       433,329  

Tamron Co., Ltd.

    5,400       111,453  

Tamura Corp. (b)

    50,800       378,791  

Tanseisha Co., Ltd.

    24,300       291,554  

TechnoPro Holdings, Inc.

    17,100       1,021,016  

Teikoku Electric Manufacturing Co., Ltd.

    3,600       54,093  

Teikoku Sen-I Co., Ltd. (b)

    15,900       303,647  

Tekken Corp. (b)

    7,200       206,150  

T-Gaia Corp.

    10,300       287,160  

TKC Corp.

    7,700       310,606  

Toa Corp. (f)

    20,200       248,060  

Toa Corp. (f)

    8,000       166,921  

Toagosei Co., Ltd.

    186,200       2,183,276  

Tobishima Corp.

    111,100       182,816  

Security Description

 

Shares

   

Value

 

TOC Co., Ltd.

    147,960     $ 1,214,566  

Tocalo Co., Ltd. (b)

    33,400       398,539  

Tochigi Bank, Ltd.

    153,300       585,236  

Toei Animation Co., Ltd.

    8,700       283,456  

Toei Co., Ltd.

    14,140       1,497,098  

Toho Bank, Ltd.

    90,000       345,275  

Toho Holdings Co., Ltd. (b)

    73,819       1,740,143  

Toho Zinc Co., Ltd. (b)

    5,300       245,190  

Tokai Carbon Co., Ltd.

    134,000       1,951,725  

TOKAI Holdings Corp.

    62,700       621,989  

Tokai Rika Co., Ltd.

    20,200       407,039  

Tokai Tokyo Financial Holdings, Inc.

    75,200       513,354  

Token Corp.

    3,800       376,248  

Tokushu Tokai Paper Co., Ltd.

    5,100       194,937  

Tokuyama Corp. (b)

    47,200       1,473,474  

Tokyo Base Co., Ltd. (b) (c)

    12,000       163,498  

Tokyo Dome Corp.

    45,900       432,025  

Tokyo Ohka Kogyo Co., Ltd.

    19,600       704,937  

Tokyo Seimitsu Co., Ltd.

    23,900       951,730  

Tokyo Steel Manufacturing Co., Ltd. (b)

    56,500       451,044  

Tokyo Tekko Co., Ltd.

    1,800       25,997  

Tokyo TY Financial Group, Inc.

    15,600       371,994  

Tokyotokeiba Co., Ltd.

    8,900       331,815  

Tokyu Construction Co., Ltd.

    42,000       450,606  

Tokyu REIT, Inc.

    355       481,345  

Tomoe Engineering Co., Ltd.

    2,800       55,842  

TOMONY Holdings, Inc.

    185,480       833,657  

Tomy Co., Ltd.

    57,800       578,272  

Topcon Corp.

    58,100       1,121,573  

Topre Corp.

    25,700       743,089  

Topy Industries, Ltd.

    29,598       847,446  

Toridoll Holdings Corp.

    10,200       372,130  

Torii Pharmaceutical Co., Ltd.

    5,600       147,806  

Torishima Pump Manufacturing Co., Ltd. (b)

    5,600       52,393  

Tosei Reit Investment Corp.

    217       227,304  

Toshiba Machine Co., Ltd.

    51,000       348,632  

Toshiba Plant Systems & Services Corp.

    24,900       539,441  

Toshiba TEC Corp.

    54,000       315,825  

Tosho Co., Ltd.

    9,000       344,006  

Totetsu Kogyo Co., Ltd.

    15,800       488,782  

Towa Corp. (b)

    21,200       283,464  

Towa Pharmaceutical Co., Ltd.

    2,800       176,925  

Toyo Construction Co., Ltd.

    41,400       187,244  

Toyo Corp.

    82,568       738,337  

Toyo Engineering Corp. (b) (c)

    3,400       32,162  

Toyo Ink SC Holdings Co., Ltd.

    60,000       371,227  

Toyo Kanetsu KK

    7,500       214,034  

Toyo Tanso Co., Ltd.

    8,300       257,546  

Toyobo Co., Ltd.

    42,778       836,253  

TPR Co., Ltd.

    17,800       502,116  

Transcosmos, Inc. (c)

    15,500       400,216  

Trusco Nakayama Corp.

    23,200       569,365  

TSI Holdings Co., Ltd.

    73,200       529,986  

Tsubaki Nakashima Co., Ltd.

    14,700       374,584  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Tsubakimoto Chain Co.

    62,000     $ 500,780  

Tsugami Corp. (b)

    39,000       489,196  

Tsukishima Kikai Co., Ltd.

    28,400       397,894  

Tsukui Corp.

    30,400       233,824  

Tsurumi Manufacturing Co., Ltd.

    10,900       196,784  

UACJ Corp. (b)

    14,500       368,397  

Uchida Yoko Co., Ltd.

    6,800       182,676  

Unipres Corp.

    18,900       422,606  

United Arrows, Ltd.

    15,200       570,268  

United Super Markets Holdings, Inc.

    34,600       369,262  

UNITED, Inc. (b)

    5,300       209,807  

Unitika, Ltd. (c)

    86,500       532,746  

Unizo Holdings Co., Ltd. (b)

    6,900       167,391  

Ushio, Inc.

    63,500       840,696  

UT Group Co., Ltd. (c)

    14,900       476,352  

V Technology Co., Ltd. (b)

    1,936       554,313  

Valor Holdings Co., Ltd.

    34,100       924,403  

Vector, Inc. (c)

    18,900       432,559  

Vital KSK Holdings, Inc.

    29,200       288,293  

VT Holdings Co., Ltd. (b)

    24,200       124,243  

Wacoal Holdings Corp.

    36,000       1,034,133  

Wacom Co., Ltd. (b)

    77,100       373,357  

Wakachiku Construction Co., Ltd.

    3,800       58,742  

Wakita & Co., Ltd.

    10,900       120,120  

WATAMI Co., Ltd. (b)

    17,300       225,461  

WirelessGate, Inc.

    3,700       50,690  

W-Scope Corp. (b)

    9,400       127,455  

Xebio Holdings Co., Ltd.

    8,000       156,991  

Yahagi Construction Co., Ltd.

    27,700       206,024  

YAMABIKO Corp.

    23,500       304,937  

Yamagata Bank, Ltd.

    15,600       351,312  

Yamaichi Electronics Co., Ltd. (b)

    17,300       292,969  

Yamanashi Chuo Bank, Ltd.

    112,000       460,216  

Yamato Kogyo Co., Ltd.

    13,400       366,279  

Yamazen Corp.

    51,500       528,801  

Yaoko Co., Ltd.

    9,000       479,831  

Yasunaga Corp. (b)

    6,900       147,602  

Yellow Hat, Ltd.

    10,300       304,109  

Yodogawa Steel Works, Ltd.

    45,300       1,196,925  

Yokogawa Bridge Holdings Corp.

    19,400       411,714  

Yokohama Reito Co., Ltd. (b)

    27,800       272,380  

Yondoshi Holdings, Inc. (b)

    15,700       404,347  

Yonex Co., Ltd. (b)

    27,000       151,058  

Yorozu Corp.

    15,700       258,197  

Yoshinoya Holdings Co., Ltd.

    33,100       663,245  

Yuasa Trading Co., Ltd.

    10,300       334,133  

Yume No Machi Souzou Iinkai Co., Ltd. (b)

    14,672       304,891  

Yumeshin Holdings Co., Ltd.

    46,900       517,289  

Yushin Precision Equipment Co., Ltd.

    16,400       261,845  

Zenrin Co., Ltd.

    52,165       1,084,502  

ZERIA Pharmaceutical Co., Ltd.

    23,400       468,660  

Security Description

 

Shares

   

Value

 

Zojirushi Corp. (b)

    24,800     $ 360,982  
   

 

 

 
      338,474,876  
   

 

 

 

LIECHTENSTEIN — 0.0% (g)

 

VP Bank AG

    1,823       282,131  
   

 

 

 

LUXEMBOURG — 0.1%

 

Orion Engineered Carbons SA

    19,911       539,588  
   

 

 

 

MACAU — 0.1%

 

Macau Legend Development, Ltd. (b) (c)

    3,261,740       477,938  
   

 

 

 

MALTA — 0.0% (g)

 

Catena Media PLC (c)

    28,235       381,645  
   

 

 

 

NETHERLANDS — 1.4%

 

Accell Group

    13,209       287,863  

AMG Advanced Metallurgical Group NV

    12,726       567,195  

Amsterdam Commodities NV

    16,935       443,626  

Arcadis NV

    32,769       642,801  

Beter Bed Holding NV

    15,280       174,955  

BinckBank NV

    4,310       24,569  

Brack Capital Properties NV (c)

    2,068       247,334  

Constellium NV Class A (c)

    53,589       581,441  

Corbion NV

    43,082       1,304,476  

Flow Traders (e)

    20,990       893,700  

ForFarmers NV

    10,689       149,074  

Fugro NV (c)

    32,064       423,126  

Heijmans NV (c)

    25,097       289,519  

Intertrust NV (e)

    42,931       889,130  

Kendrion NV

    12,660       516,921  

Koninklijke BAM Groep NV (b)

    131,351       611,275  

NSI NV REIT

    11,876       498,785  

Pharming Group NV (b) (c)

    415,607       605,694  

PostNL NV

    178,566       668,052  

Refresco Group NV (e)

    28,891       708,856  

Rhi Magnesita NV (c) (f)

    12,252       748,886  

Rhi Magnesita NV (c) (f)

    1,458       89,992  

Takeaway.com NV (c) (e)

    16,070       853,792  

Vastned Retail NV REIT

    6,518       310,626  

Wessanen

    32,688       654,076  
   

 

 

 
      13,185,764  
   

 

 

 

NEW ZEALAND — 1.1%

 

Argosy Property, Ltd.

    388,602       280,337  

Arvida Group, Ltd.

    267,566       227,766  

Chorus, Ltd. (b)

    168,243       485,482  

EBOS Group, Ltd.

    33,654       435,790  

Freightways, Ltd.

    87,708       478,973  

Genesis Energy, Ltd.

    203,194       348,137  

Goodman Property Trust REIT

    406,289       389,819  

Heartland Bank, Ltd.

    283,478       359,922  

Infratil, Ltd.

    336,571       752,687  

Investore Property, Ltd. (b)

    185,441       187,288  

Kiwi Property Group, Ltd.

    609,103       588,805  

Metlifecare, Ltd.

    72,555       306,196  

New Zealand Refining Co., Ltd.

    111,273       183,824  

Precinct Properties New Zealand, Ltd.

    517,373       477,738  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Restaurant Brands New Zealand, Ltd.

    159,987     $ 827,522  

SKY Network Television, Ltd.

    141,888       234,400  

SKYCITY Entertainment Group, Ltd.

    376,435       1,059,084  

Stride Property Group

    285,475       350,101  

Summerset Group Holdings, Ltd. (b)

    142,208       711,966  

Tourism Holdings, Ltd.

    65,578       288,578  

Trade Me Group, Ltd.

    223,169       713,204  

Vital Healthcare Property Trust REIT (b)

    238,344       358,498  

Warehouse Group, Ltd.

    57,956       84,037  
   

 

 

 
      10,130,154  
   

 

 

 

NORWAY — 1.3%

 

Akastor ASA (c)

    101,731       197,477  

Aker Solutions ASA (c)

    62,928       332,236  

Asetek A/S (b)

    10,291       119,020  

Atea ASA

    44,157       715,425  

Avance Gas Holding, Ltd. (c) (e)

    15,200       44,530  

B2Holding ASA

    168,111       419,691  

Borregaard ASA

    59,288       558,826  

BW Offshore, Ltd. (c)

    53,159       289,800  

DNO ASA (c)

    352,152       554,180  

Europris ASA (e)

    54,470       174,838  

Frontline, Ltd. (b)

    12,384       56,313  

Golden Ocean Group, Ltd. (b)

    38,172       303,467  

Grieg Seafood ASA

    30,653       281,895  

Hoegh LNG Holdings, Ltd.

    22,149       117,926  

IDEX ASA (c)

    327,933       169,168  

Kongsberg Automotive ASA (c)

    287,288       325,676  

Kongsberg Gruppen ASA

    14,071       339,097  

Kvaerner ASA (c)

    118,608       195,793  

Nordic Nanovector ASA (b) (c)

    31,835       200,800  

Nordic Semiconductor ASA (c)

    89,529       531,977  

Norway Royal Salmon ASA (b)

    9,639       197,422  

Norwegian Air Shuttle ASA (b) (c)

    9,153       195,862  

Ocean Yield ASA

    23,254       195,488  

Petroleum Geo-Services ASA (b) (c)

    160,492       495,727  

Prosafe SE (b) (c)

    63,012       95,028  

Protector Forsikring ASA

    61,532       664,622  

Sbanken ASA (e)

    40,406       378,793  

Scatec Solar ASA (b) (e)

    101,239       591,242  

Ship Finance International, Ltd. (b)

    36,638       523,923  

SpareBank 1 Nord Norge

    42,310       334,128  

SpareBank 1 SMN

    43,896       452,326  

Stolt-Nielsen, Ltd.

    13,555       165,575  

Thin Film Electronics ASA (c)

    304,476       81,830  

Veidekke ASA (b)

    112,126       1,252,517  

XXL ASA (b) (e)

    58,632       600,438  
   

 

 

 
      12,153,056  
   

 

 

 

PERU — 0.0% (g)

 

Hochschild Mining PLC

    91,708       256,202  

Security Description

 

Shares

   

Value

 

PORTUGAL — 0.2%

 

Altri SGPS SA

    215,886     $ 1,439,051  

Banco Comercial Portugues SA Class R (c)

    3,045       1,019  

CTT-Correios de Portugal SA (b)

    32,023       123,191  

Mota-Engil SGPS SA

    42,748       171,916  

Pharol SGPS SA (c)

    68,282       19,147  

REN - Redes Energeticas Nacionais SGPS SA

    112,252       346,237  
   

 

 

 
      2,100,561  
   

 

 

 

SINGAPORE — 1.5%

 

Accordia Golf Trust

    434,300       213,623  

AIMS AMP Capital Industrial REIT

    267,058       276,976  

Ascendas Hospitality Trust REIT

    555,200       345,068  

Ascott Residence Trust REIT (b)

    577,225       497,418  

BW LPG, Ltd. (b) (c) (e)

    22,486       103,337  

Cache Logistics Trust REIT

    543,948       346,371  

CapitaLand Retail China Trust REIT

    372,873       449,279  

CDL Hospitality Trusts

    476,680       614,344  

China New Town Development Co., Ltd. (c) (d)

    428,500       15,560  

COSCO Shipping International Singapore Co., Ltd. (b) (c)

    556,200       201,476  

ESR-REIT

    1,294,009       527,945  

Ezion Holdings, Ltd. (b) (c) (d)

    648,440       97,417  

Ezra Holdings, Ltd. (a) (b) (c)

    1,444,295        

Far East Hospitality Trust

    425,247       225,384  

First Real Estate Investment Trust

    624,800       657,534  

Frasers Centrepoint Trust REIT

    285,900       477,481  

Frasers Commercial Trust REIT

    351,837       383,686  

Frasers Logistics & Industrial Trust REIT

    605,500       503,314  

Hyflux, Ltd.

    33,300       7,111  

Hyfluxshop Holdings Pte, Ltd. (c) (d)

    3,380       460  

Keppel DC REIT

    330,466       362,900  

Keppel Infrastructure Trust

    1,384,638       564,921  

Lian Beng Group, Ltd.

    134,600       68,260  

Lippo Malls Indonesia Retail Trust REIT

    1,302,200       382,328  

M1, Ltd. (b)

    228,100       302,672  

Manulife US Real Estate Investment Trust

    339,300       315,549  

Metro Holdings, Ltd.

    364,500       316,884  

Midas Holdings, Ltd. (c) (d)

    1,078,700       157,943  

OUE Hospitality Trust

    374,633       235,699  

OUE Lippo Healthcare, Ltd. (c)

    1,800       174  

OUE, Ltd. (b)

    97,600       135,463  

Parkway Life Real Estate Investment Trust

    271,300       579,303  

Raffles Medical Group, Ltd. (b)

    512,649       449,589  

RHT Health Trust

    498,800       308,113  

Rowsley, Ltd. (b) (c)

    1,164,200       108,314  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Sabana Shari’ah Compliant Industrial Real Estate Investment Trust

    210,849     $ 68,337  

Sheng Siong Group, Ltd.

    303,700       215,390  

Soilbuild Business Space REIT (b)

    307,010       152,182  

Starhill Global REIT

    803,900       447,531  

Swiber Holdings, Ltd. (a) (b) (c)

    100,100        

Tat Hong Holdings, Ltd. (c)

    849       320  

Technics Oil & Gas, Ltd. (a) (c)

    1,254        

UMS Holdings, Ltd.

    447,974       399,702  

United Engineers, Ltd.

    311,700       620,405  

Wing Tai Holdings, Ltd.

    607,499       958,990  

Yoma Strategic Holdings, Ltd. (b)

    786,533       254,920  
   

 

 

 
      13,349,673  
   

 

 

 

SOUTH AFRICA — 0.0% (g)

 

Petra Diamonds, Ltd. (b) (c)

    212,460       195,216  
   

 

 

 

SOUTH KOREA — 11.5%

 

Able C&C Co., Ltd. (b) (c)

    7,786       137,327  

Advanced Process Systems Corp. (c)

    3,420       90,802  

AeroSpace Technology of Korea, Inc. (b) (c)

    5,976       102,880  

AfreecaTV Co., Ltd.

    5,520       149,406  

Ahnlab, Inc.

    2,858       227,643  

AJ Rent A Car Co., Ltd. (c)

    2,816       33,552  

AK Holdings, Inc.

    2,007       135,382  

Amicogen, Inc. (c)

    6,879       438,206  

Aprogen pharmaceuticals, Inc. (b) (c)

    43,424       170,901  

APS Holdings Corp. (c)

    3,032       21,021  

Asiana Airlines, Inc. (c)

    46,918       209,522  

Barun Electronics Co., Ltd. (b) (c)

    173,439       213,972  

BH Co., Ltd. (c)

    17,538       299,457  

Binex Co., Ltd. (c)

    16,215       178,747  

Binggrae Co., Ltd.

    1,451       81,950  

Boryung Pharmaceutical Co., Ltd.

    3,901       210,074  

Bukwang Pharmaceutical Co., Ltd.

    13,878       324,849  

Byucksan Corp.

    6,509       22,961  

Cell Biotech Co., Ltd.

    3,464       157,617  

Celltrion Pharm, Inc. (b) (c)

    9,521       756,571  

Chabiotech Co., Ltd. (b) (c)

    28,359       573,353  

Cheil Worldwide, Inc.

    47,032       803,061  

Choa Pharmaceutical Co. (b) (c)

    18,441       107,438  

Chong Kun Dang Pharmaceutical Corp. (b)

    3,916       468,421  

Chongkundang Holdings Corp.

    2,053       140,603  

CJ CGV Co., Ltd.

    7,419       471,909  

CJ Freshway Corp.

    1,757       58,270  

CJ O Shopping Co., Ltd.

    2,524       529,237  

CNK International Co., Ltd. (a) (c)

    16,071        

Com2uSCorp

    7,716       1,350,789  

Cosmax BTI, Inc.

    6,954       209,422  

Security Description

 

Shares

   

Value

 

Cosmax, Inc.

    5,591     $ 721,233  

Crown Confectionery Co., Ltd.

    2,343       27,477  

CROWNHAITAI Holdings Co., Ltd.

    1,920       23,957  

CrucialTec Co., Ltd. (c)

    11,439       22,268  

CrystalGenomics, Inc. (c)

    12,973       300,622  

CTC BIO, Inc. (c)

    6,650       90,775  

Dae Han Flour Mills Co., Ltd.

    499       78,649  

Dae Hwa Pharmaceutical Co., Ltd. (b)

    9,573       268,536  

Daeduck GDS Co., Ltd.

    6,408       101,299  

Daesang Corp.

    17,689       428,990  

Daesang Holdings Co., Ltd.

    5,077       45,583  

Daewon Pharmaceutical Co., Ltd.

    10,938       209,340  

Daewoong Co., Ltd.

    25,897       508,999  

Daewoong Pharmaceutical Co., Ltd.

    1,838       345,735  

Daishin Securities Co., Ltd. Preference Shares

    65,358       531,620  

Daou Technology, Inc.

    19,829       406,477  

DB HiTek Co., Ltd.

    27,173       369,649  

Dentium Co., Ltd.

    6,188       471,400  

DGB Financial Group, Inc.

    107,013       1,169,623  

Digital Power Communications Co., Ltd.

    14,221       62,039  

DIO Corp. (c)

    9,717       407,040  

Dong-A Socio Holdings Co., Ltd. (b)

    4,528       564,991  

Dong-A ST Co., Ltd.

    4,774       508,349  

Dongjin Semichem Co., Ltd.

    21,327       295,125  

DongKook Pharmaceutical Co., Ltd.

    3,424       226,147  

Dongkuk Steel Mill Co., Ltd.

    53,320       512,740  

Dongsung Finetec Co., Ltd. (c)

    8,703       66,871  

Dongwha Pharm Co., Ltd.

    32,862       366,880  

Dongwon F&B Co., Ltd.

    422       86,704  

Dongwon Industries Co., Ltd.

    1,238       349,019  

Doosan Heavy Industries & Construction Co., Ltd. (b) (c)

    46,935       700,128  

Doosan Infracore Co., Ltd. (c)

    61,564       561,405  

DoubleUGames Co., Ltd.

    6,863       462,298  

Douzone Bizon Co., Ltd.

    18,373       1,018,711  

Ecopro Co., Ltd. (c)

    11,468       417,987  

Eo Technics Co., Ltd.

    5,460       378,035  

Eugene Investment & Securities Co., Ltd. (c)

    120,467       393,306  

Eugene Technology Co., Ltd.

    4,007       70,298  

Eusu Holdings Co., Ltd. (c)

    6,748       44,569  

Fila Korea, Ltd.

    7,456       751,966  

Finetex EnE, Inc. (b) (c) (d)

    52,969       177,905  

Foosung Co., Ltd. (b) (c)

    40,899       374,111  

Gamevil, Inc. (b) (c)

    3,514       240,662  

GemVax & Kael Co., Ltd. (c)

    6,775       100,427  

Genexine Co., Ltd. (c)

    8,417       807,034  

GNCO Co., Ltd. (b) (c)

    23,408       58,745  

GOLFZON Co., Ltd.

    2,277       96,130  

GOLFZONNEWDIN Co., Ltd.

    2,676       14,185  

Grand Korea Leisure Co., Ltd.

    15,510       356,502  
 

 

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Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Green Cross Cell Corp.

    3,338     $ 175,058  

Green Cross Corp.

    4,228       797,287  

Green Cross Holdings Corp.

    15,402       574,378  

GS Engineering & Construction Corp. (b)

    27,351       764,668  

GS Home Shopping, Inc.

    2,664       469,618  

G-treeBNT Co., Ltd. (c)

    14,858       641,212  

Halla Holdings Corp.

    2,799       129,591  

Hana Tour Service, Inc.

    4,961       556,187  

Hanall Biopharma Co., Ltd. (c)

    16,666       505,030  

Hancom, Inc.

    6,416       98,115  

Handsome Co., Ltd.

    12,215       353,535  

Hanil Cement Co., Ltd.

    1,805       182,888  

Hanjin Heavy Industries & Construction Co., Ltd. (c)

    27,992       81,016  

Hanjin Kal Corp.

    24,405       451,054  

Hanjin Shipping Co., Ltd. (a) (c)

    1,732        

Hanjin Transportation Co., Ltd.

    4,197       90,760  

Hankook Shell Oil Co., Ltd.

    301       94,460  

Hankook Tire Worldwide Co., Ltd.

    14,820       262,781  

Hanmi Pharm Co., Ltd.

    505       244,943  

Hanmi Semiconductor Co., Ltd.

    14,582       151,853  

Hansae Co., Ltd.

    11,284       227,077  

Hansol Chemical Co., Ltd.

    8,927       582,906  

Hansol Holdings Co., Ltd.

    49,859       209,091  

Hansol Paper Co., Ltd.

    31,921       479,159  

Hansol Technics Co., Ltd. (c)

    13,569       154,671  

Hanwha Investment & Securities Co., Ltd. (c)

    209,441       596,354  

Hanwha Techwin Co., Ltd. (b) (c)

    23,686       642,204  

Harim Co., Ltd. (c)

    19,859       65,489  

Heung-A Shipping Co., Ltd. (c)

    60,047       37,519  

Hite Jinro Co., Ltd.

    17,448       365,853  

HLB, Inc. (c)

    17,909       1,108,916  

Homecast Co., Ltd. (c)

    15,400       180,599  

HS Industries Co., Ltd.

    37,805       297,929  

Huchems Fine Chemical Corp.

    22,552       518,364  

Humax Co., Ltd. (c)

    34,363       271,770  

Humedix Co., Ltd.

    1,155       48,382  

Huons Co., Ltd.

    2,699       272,457  

Huons Global Co., Ltd.

    2,248       149,951  

Hwa Shin Co., Ltd.

    1,196       4,443  

Hyundai BNG Steel Co., Ltd.

    2,607       28,249  

Hyundai Construction Equipment Co., Ltd. (c)

    3,796       628,571  

Hyundai Corp.

    2,463       41,478  

Hyundai Electric & Energy System Co., Ltd. (c)

    4,675       360,526  

Hyundai Elevator Co., Ltd.

    7,837       584,522  

Hyundai Engineering Plastics Co., Ltd.

    5,295       32,240  

Hyundai Greenfood Co., Ltd.

    36,950       478,384  

Hyundai Home Shopping Network Corp.

    4,296       419,161  

Hyundai Hy Communications & Network Co., Ltd.

    13,147       53,962  

Hyundai IBT Co., Ltd. (b) (c)

    48,307       255,154  

Security Description

 

Shares

   

Value

 

Hyundai Livart Furniture Co., Ltd.

    13,828     $ 306,165  

Hyundai Merchant Marine Co., Ltd. (c)

    100,802       412,797  

Hyundai Mipo Dockyard Co., Ltd. (c)

    4,485       417,826  

Hyundai Rotem Co., Ltd. (c)

    26,264       385,619  

Hyundai Wia Corp. (b)

    12,529       646,491  

Il Dong Pharmaceutical Co., Ltd.

    8,587       192,541  

Iljin Materials Co., Ltd.

    10,442       360,998  

Ilyang Pharmaceutical Co., Ltd. (c)

    8,894       336,685  

iMarketKorea, Inc.

    1,627       15,264  

InBody Co., Ltd.

    4,566       216,755  

Innocean Worldwide, Inc.

    6,245       377,313  

Innox Advanced Materials Co., Ltd. (c)

    2,740       167,089  

Inscobee, Inc. (c)

    56,895       461,181  

Interflex Co., Ltd. (b) (c)

    7,351       150,344  

Interojo Co., Ltd.

    3,762       143,118  

Interpark Holdings Corp.

    6,265       21,424  

iNtRON Biotechnology, Inc. (b) (c)

    7,741       317,730  

IS Dongseo Co., Ltd.

    6,386       180,934  

i-SENS, Inc.

    2,677       73,210  

Jayjun Cosmetic Co., Ltd. (b) (c)

    15,984       295,417  

JB Financial Group Co., Ltd.

    217,350       1,239,786  

Jeil Holdings Co., Ltd.

    40,580       546,321  

Jeil Pharma Holdings, Inc.

    1,479       43,986  

Jeil Pharmaceutical Co., Ltd. (b)

    3,674       210,258  

Jeju Air Co., Ltd.

    5,448       228,725  

Jenax, Inc. (b) (c)

    7,586       232,014  

JoyCity Corp. (c)

    332       4,968  

Jusung Engineering Co., Ltd.

    22,881       229,690  

JW Holdings Corp.

    28,771       221,606  

JW Pharmaceutical Corp.

    6,482       256,933  

JYP Entertainment Corp. (b) (c)

    24,476       526,995  

KB Financial Group, Inc.

    136       7,860  

KC Co., Ltd.

    6,008       134,150  

KC Tech Co., Ltd./New

    8,932       187,288  

KEPCO Plant Service & Engineering Co., Ltd.

    16,199       689,966  

Kginicis Co., Ltd.

    17,112       336,332  

KGMobilians Co., Ltd.

    47,763       419,870  

KH Vatec Co., Ltd. (c)

    6,181       68,137  

KIWOOM Securities Co., Ltd. (b)

    7,477       747,069  

Koh Young Technology, Inc.

    5,071       476,700  

Kolao Holdings

    1,569       7,360  

Kolon Corp.

    4,216       195,790  

Kolon Industries, Inc.

    9,808       604,546  

Kolon Life Science, Inc. (c)

    3,174       262,043  

Komipharm International Co., Ltd. (b) (c)

    15,145       561,242  

KONA I Co., Ltd. (c)

    1,178       12,102  

Korea Asset In Trust Co., Ltd.

    63,021       354,157  

Korea Electric Terminal Co., Ltd.

    2,753       138,179  
 

 

135


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Korea Kolmar Co., Ltd. (b)

    9,650     $ 704,353  

Korea Kolmar Holdings Co., Ltd.

    2,161       97,214  

Korea Line Corp. (c)

    7,169       187,985  

Korea Petrochemical Ind Co., Ltd.

    2,794       765,408  

Korea Real Estate Investment & Trust Co., Ltd.

    56,457       159,164  

Korea United Pharm, Inc.

    7,476       192,529  

Korean Reinsurance Co.

    100,635       1,076,310  

Kortek Corp.

    8,261       108,504  

KT Skylife Co., Ltd.

    5,372       61,486  

Kumho Industrial Co., Ltd.

    14,595       147,881  

Kumho Tire Co., Inc. (b) (c)

    53,599       178,513  

Kwang Dong Pharmaceutical Co., Ltd.

    18,591       154,184  

KyungDong City Gas Co., Ltd.

    835       30,003  

KyungDong Invest Co., Ltd.

    151       5,936  

Kyungdong Pharm Co., Ltd.

    7,433       165,968  

L&F Co., Ltd. (b)

    11,643       423,819  

Leaders Cosmetics Co., Ltd. (c)

    7,685       163,664  

LEENO Industrial, Inc.

    7,373       412,954  

LF Corp.

    13,847       344,908  

LG Hausys, Ltd.

    3,120       225,972  

LG International Corp.

    41,211       1,043,904  

LIG Nex1 Co., Ltd.

    5,661       246,165  

Lock&Lock Co., Ltd.

    3,509       78,845  

Loen Entertainment, Inc.

    4,356       451,579  

Lotte Chilsung Beverage Co., Ltd.

    296       424,603  

Lotte Corp. (c)

    5,302       315,364  

LOTTE Fine Chemical Co., Ltd.

    15,781       1,051,178  

Lotte Food Co., Ltd.

    725       442,795  

LOTTE Himart Co., Ltd.

    4,512       310,705  

LS Industrial Systems Co., Ltd.

    12,208       702,083  

Lumens Co., Ltd. (c)

    19,316       67,685  

Lutronic Corp.

    1,578       30,719  

Macrogen, Inc. (b) (c)

    4,563       204,627  

Maeil Dairies Co., Ltd.

    935       54,912  

Maeil Holdings Co., Ltd.

    702       9,089  

MagnaChip Semiconductor Corp. (b) (c)

    26,100       250,560  

Medipost Co., Ltd. (c)

    4,656       622,460  

Meritz Financial Group, Inc.

    35,474       482,572  

Minwise Co., Ltd.

    38,987       894,298  

Mirae Corp. (c)

    235,162       49,861  

Modetour Network, Inc.

    7,645       278,646  

Muhak Co., Ltd.

    4,979       80,578  

Naturalendo Tech Co., Ltd. (b) (c)

    10,913       205,278  

Naturecell Co., Ltd. (c)

    30,627       781,550  

Neowiz (c)

    6,816       128,531  

NEPES Corp.

    10,574       83,132  

Nexen Tire Corp.

    28,492       332,794  

NHN Entertainment Corp. (c)

    9,128       578,047  

NHN KCP Corp. (c)

    7,824       129,189  

NICE Holdings Co., Ltd.

    5,576       82,654  

NongShim Co., Ltd.

    3,055       859,837  

Security Description

 

Shares

   

Value

 

OCI Co., Ltd.

    8,205     $ 1,216,240  

Orion Holdings Corp.

    13,096       329,888  

Osstem Implant Co., Ltd. (c)

    8,357       418,673  

Paradise Co., Ltd. (b)

    26,891       514,660  

Partron Co., Ltd.

    26,298       210,206  

Paru Co., Ltd. (b) (c)

    92,121       309,836  

Peptron, Inc. (c)

    7,483       466,152  

Pharmicell Co., Ltd. (c)

    65,580       959,797  

Poongsan Corp.

    20,228       729,681  

POSCO Chemtech Co., Ltd.

    13,567       601,408  

Posco ICT Co., Ltd.

    8,162       60,034  

Power Logics Co., Ltd. (c)

    15,954       69,225  

PSK, Inc.

    15,742       374,388  

Qurient Co., Ltd. (c)

    6,855       163,352  

Redrover Co., Ltd. (b) (c)

    22,928       76,792  

S&T Dynamics Co., Ltd. (c)

    7,617       56,168  

S&T Motiv Co., Ltd.

    10,748       396,281  

Sajo Industries Co., Ltd.

    1,260       80,856  

Sam Chun Dang Pharm Co., Ltd.

    6,383       234,145  

Sam Kwang Glass Co., Ltd. (d)

    191       10,321  

Sam Yung Trading Co., Ltd.

    5,818       96,339  

Samchully Co., Ltd.

    506       53,406  

Samjin Pharmaceutical Co., Ltd.

    10,812       439,723  

Samsung Engineering Co., Ltd. (c)

    99,738       1,731,075  

Samsung Pharmaceutical Co., Ltd. (b) (c)

    37,990       156,822  

Samyang Holdings Corp.

    4,265       385,727  

Seah Besteel Corp.

    12,058       298,650  

SeAH Steel Corp.

    684       53,775  

Sebang Co., Ltd.

    2,736       34,781  

Seegene, Inc. (c)

    14,902       485,129  

Seobu T&D (c)

    11,932       124,816  

Seohan Co., Ltd.

    158,997       343,084  

Seoul Semiconductor Co., Ltd.

    25,652       478,914  

SEOWONINTECH Co., Ltd.

    7,029       45,633  

Seoyon Co., Ltd.

    3,310       19,284  

Seoyon E-Hwa Co., Ltd.

    3,595       28,871  

SFA Engineering Corp.

    30,847       1,007,107  

Shinsegae Information & Communication Co., Ltd.

    7,638       1,268,342  

Shinsegae, Inc.

    3,540       1,157,416  

Silicon Works Co., Ltd.

    5,386       192,267  

SillaJen, Inc. (c)

    33,254       3,341,311  

Sindoh Co., Ltd.

    1,312       80,623  

SK Bioland Co., Ltd.

    4,062       78,885  

SK Chemicals Co., Ltd. (c)

    4,134       403,355  

SK Discovery Co., Ltd.

    3,850       147,188  

SK Gas, Ltd.

    3,836       335,771  

SK Materials Co., Ltd. (b)

    3,197       445,702  

SK Networks Co., Ltd.

    76,213       413,991  

SK Securities Co., Ltd. (c)

    254,908       280,999  

SKC Co., Ltd.

    15,281       547,644  

SKCKOLONPI, Inc.

    9,582       399,587  

SM Culture & Contents Co., Ltd. (b) (c)

    103,607       333,401  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SM Entertainment Co., Ltd. (b) (c)

    9,774     $ 426,850  

Songwon Industrial Co., Ltd.

    16,189       463,237  

Soulbrain Co., Ltd.

    8,198       449,163  

SPC Samlip Co., Ltd.

    1,740       202,421  

Suheung Co., Ltd.

    1,559       47,096  

SundayToz Corp. (c)

    1,006       41,055  

Sungshin Cement Co., Ltd. (c)

    1,703       8,835  

Sungwoo Hitech Co., Ltd.

    9,413       55,724  

Suprema, Inc. (c)

    1,772       41,478  

Synopex, Inc. (c)

    31,217       118,612  

Taekwang Industrial Co., Ltd.

    566       669,068  

Taeyoung Engineering & Construction Co., Ltd.

    47,955       472,397  

Taihan Electric Wire Co., Ltd. (c)

    100,050       122,962  

TBH Global Co., Ltd. (c)

    9,602       61,347  

Tera Semicon Co., Ltd.

    5,610       104,474  

TES Co., Ltd.

    18,001       495,665  

Texcell-NetCom Co., Ltd. (c)

    15,387       344,291  

Tongyang Life Insurance Co., Ltd.

    8,051       55,818  

Tongyang, Inc. (b)

    142,986       244,145  

Toptec Co., Ltd. (c)

    21,269       623,563  

Tovis Co., Ltd.

    7,741       57,664  

Value Added Technology Co., Ltd.

    3,758       141,026  

Viatron Technologies, Inc.

    12,176       169,064  

Vieworks Co., Ltd.

    7,107       263,037  

ViroMed Co., Ltd. (c)

    8,460       1,754,067  

Wave Electronics Co., Ltd. (c)

    6,959       187,375  

Webzen, Inc. (c)

    12,500       376,442  

WeMade Entertainment Co., Ltd.

    6,037       281,206  

Whanin Pharmaceutical Co., Ltd.

    9,349       219,275  

Wins Co., Ltd.

    6,997       86,322  

WiSoL Co., Ltd.

    6,458       85,428  

Wonik Holdings Co., Ltd. (c)

    109,486       763,187  

WONIK IPS Co., Ltd.

    18,342       565,283  

Woojeon Co., Ltd. (a) (c)

    7,674        

Woongjin Thinkbig Co., Ltd.

    8,476       53,119  

YG Entertainment, Inc.

    4,062       118,708  

Youngone Corp.

    10,953       280,530  

Yuanta Securities Korea Co., Ltd. (c)

    80,349       338,085  

Yungjin Pharmaceutical Co., Ltd. (b) (c)

    57,836       446,562  
   

 

 

 
      106,013,970  
   

 

 

 

SPAIN — 1.4%

 

Abengoa SA Class B (c)

    13,317,101       171,969  

Almirall SA (b)

    37,220       438,983  

Applus Services SA

    58,978       767,411  

Axiare Patrimonio SOCIMI SA REIT

    34,462       700,169  

Codere SA (c)

    31,280       349,690  

Construcciones y Auxiliar de Ferrocarriles SA

    24,658       1,273,677  

Security Description

 

Shares

   

Value

 

Ence Energia y Celulosa SA

    56,780     $ 427,365  

Ercros SA

    69,527       363,579  

Euskaltel SA (e)

    34,506       287,512  

Faes Farma SA

    265,007       967,980  

Fluidra SA

    38,658       657,052  

Hispania Activos Inmobiliarios SOCIMI SA REIT

    50,807       1,079,741  

Lar Espana Real Estate Socimi SA REIT

    27,495       329,694  

Let’s GOWEX SA (a) (b) (c)

    9,561        

Liberbank SA (c)

    683,870       374,103  

Neinor Homes SA (b) (c) (e)

    26,515       497,621  

Obrascon Huarte Lain SA (b) (c)

    52,931       225,432  

Papeles y Cartones de Europa SA

    29,819       519,288  

Parques Reunidos Servicios Centrales SAU (e)

    16,831       265,369  

Pharma Mar SA (b) (c)

    192,117       389,381  

Promotora de Informaciones SA Class A (b) (c)

    228,416       476,436  

Sacyr SA

    134,248       358,443  

Saeta Yield SA

    15,092       226,072  

Talgo SA (b) (e)

    41,083       265,261  

Tecnicas Reunidas SA (b)

    21,705       640,387  

Telepizza Group SA (c) (e)

    36,073       237,350  

Tubacex SA (b) (c)

    167,639       692,734  
   

 

 

 
      12,982,699  
   

 

 

 

SWEDEN — 2.9%

 

AcadeMedia AB (c) (e)

    32,056       208,226  

Acando AB

    96,203       340,021  

AF AB Class B

    32,413       705,169  

Alimak Group AB (e)

    21,989       333,453  

Ambea AB (c) (e)

    19,920       142,952  

Attendo AB (e)

    53,287       500,433  

Avanza Bank Holding AB (b)

    11,058       581,236  

Axactor AB (c)

    778,015       256,664  

Bergman & Beving AB

    14,599       147,650  

Betsson AB (c)

    55,450       417,921  

Bilia AB Class A

    28,789       254,381  

BioGaia AB Class B

    6,894       346,560  

Biotage AB

    39,816       339,454  

Bonava AB Class B

    41,568       568,813  

Boozt AB (b) (c) (e)

    21,837       192,952  

Bravida Holding AB (e)

    90,061       642,002  

Bufab AB

    25,278       325,377  

Bure Equity AB

    24,543       269,320  

Byggmax Group AB (b)

    37,887       187,743  

Capio AB (e)

    77,424       391,058  

Cellavision AB

    20,704       339,183  

Clas Ohlson AB Class B

    21,133       227,863  

Cloetta AB Class B

    120,063       456,179  

CLX Communications AB (c) (e)

    918       6,423  

Coor Service Management Holding AB (e)

    47,677       380,856  

D Carnegie & Co. AB (c) (f)

    13,810       203,156  

D Carnegie & Co. AB (b) (c) (f)

    1,987       28,756  

Duni AB

    18,384       253,760  

Dustin Group AB (e)

    35,373       312,557  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Eltel AB (b) (c) (e)

    62,726     $ 194,736  

Fingerprint Cards AB Class B (b) (c)

    156,707       150,629  

G5 Entertainment AB

    4,662       169,896  

Granges AB

    40,459       473,201  

Haldex AB (c)

    48,248       491,997  

Hansa Medical AB (b) (c)

    15,362       432,898  

Hemfosa Fastigheter AB

    62,188       752,214  

HIQ International AB (c)

    35,089       299,573  

Hoist Finance AB (e)

    28,322       259,385  

Infant Bacterial Therapeutics AB (c)

    15       206  

Investment AB Oresund

    16,948       258,628  

INVISIO Communications AB

    30,375       224,508  

Inwido AB

    33,786       300,955  

KappAhl AB

    40,819       124,775  

Karo Pharma AB (b)

    89,069       350,435  

Klovern AB Class B (b)

    206,989       255,560  

KNOW IT AB

    25,597       513,481  

Kungsleden AB

    88,988       592,382  

LeoVegas AB (e)

    70,539       598,859  

Lindab International AB

    22,692       170,973  

Medicover AB (c)

    39,599       293,158  

Medivir AB Class B (b) (c)

    945       4,074  

Mekonomen AB (b)

    10,388       176,879  

Momentum Group AB Class B (c)

    21,629       258,263  

Mycronic AB (b)

    33,306       424,736  

New Wave Group AB Class B

    103,602       671,728  

Nobia AB

    57,581       516,694  

Nobina AB (e)

    53,251       342,404  

Nolato AB Class B

    13,186       958,862  

Opus Group AB

    16,370       12,021  

Qliro Group AB (c)

    104,073       151,609  

Ratos AB Class B

    60,498       235,063  

RaySearch Laboratories AB (b) (c)

    15,420       226,472  

Recipharm AB Class B (b)

    11,117       126,903  

Sagax AB Class D

    30       115  

SAS AB (b) (c)

    95,210       225,099  

Scandi Standard AB

    31,621       216,727  

Scandic Hotels Group AB (e)

    33,539       320,180  

SkiStar AB

    11,775       235,365  

Starbreeze AB (b) (c)

    51,093       58,232  

Tethys Oil AB

    33,991       272,746  

Thule Group AB (e)

    30,107       649,248  

Tobii AB (b) (c)

    43,156       165,929  

Troax Group AB

    6,872       193,651  

Vitrolife AB

    9,245       652,409  

Wihlborgs Fastigheter AB

    129,933       3,000,554  
   

 

 

 
      26,364,530  
   

 

 

 

SWITZERLAND — 2.2%

 

APG SGA SA

    321       135,091  

Arbonia AG (b) (c)

    22,038       402,741  

Ascom Holding AG

    22,817       483,694  

Autoneum Holding AG

    1,540       418,129  

Bachem Holding AG Class B

    3,925       515,628  

Basilea Pharmaceutica AG (c)

    9,379       650,340  

Security Description

 

Shares

   

Value

 

Bell Food Group AG

    886     $ 340,947  

Bobst Group SA

    3,006       331,803  

Bossard Holding AG Class A

    2,166       443,333  

Burckhardt Compression Holding AG

    1,499       477,125  

Burkhalter Holding AG

    2,938       343,626  

Comet Holding AG (c)

    3,679       507,899  

Evolva Holding SA (b) (c)

    267,645       74,206  

Gurit Holding AG (c)

    255       207,174  

HBM Healthcare Investments AG Class A (c)

    3,180       478,195  

HOCHDORF Holding AG (b) (c)

    950       281,250  

Huber + Suhner AG

    6,804       385,105  

Implenia AG

    8,932       706,557  

Inficon Holding AG (c)

    1,019       625,170  

Interroll Holding AG

    442       692,356  

Intershop Holding AG

    272       142,590  

Kardex AG (c)

    4,408       595,651  

Komax Holding AG

    2,385       686,908  

Kudelski SA (b) (c)

    42,637       445,249  

LEM Holding SA

    292       484,837  

Leonteq AG (c)

    3,944       224,465  

Metall Zug AG

    63       216,776  

Meyer Burger Technology AG (b) (c)

    256,306       296,026  

Mobilezone Holding AG (b)

    19,673       251,870  

Mobimo Holding AG (c)

    3,355       886,398  

Newron Pharmaceuticals SpA (c)

    200       1,729  

Orior AG

    6,225       512,899  

Phoenix Mecano AG

    488       337,360  

Resurs Holding AB (e)

    55,056       387,866  

Rieter Holding AG (c)

    1,584       309,158  

Santhera Pharmaceuticals Holding AG (b) (c)

    4,312       76,009  

Schmolz + Bickenbach AG (c)

    200,004       154,765  

Schweiter Technologies AG

    353       418,764  

Siegfried Holding AG (c)

    1,876       630,819  

Swissquote Group Holding SA

    5,971       361,652  

u-blox Holding AG

    3,099       556,629  

Valiant Holding AG

    7,176       848,291  

Valora Holding AG

    5,283       1,804,032  

Vaudoise Assurances Holding SA

    484       259,791  

Vetropack Holding AG

    141       275,345  

Ypsomed Holding AG (b) (c)

    2,009       306,091  

Zehnder Group AG

    2,783       128,019  

Zur Rose Group AG (c)

    2,808       319,038  
   

 

 

 
      20,419,396  
   

 

 

 

UNITED ARAB EMIRATES — 0.0% (g)

 

Lamprell PLC (c)

    125,868       128,894  

NMC Health PLC

    3       143  
   

 

 

 
      129,037  
   

 

 

 

UNITED KINGDOM — 8.5%

 

888 Holdings PLC

    84,117       318,362  

A.G. Barr PLC

    49,862       459,548  
 

 

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SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

AA PLC

    370,411     $ 418,288  

Acacia Mining PLC

    90,594       181,605  

Allied Minds PLC (c)

    93,111       137,147  

Anglo Pacific Group PLC

    133,948       282,793  

AO World PLC (b) (c)

    88,932       144,215  

Arrow Global Group PLC

    95,758       470,153  

Ascential PLC

    207,861       1,215,336  

Assura PLC REIT

    1,143,062       950,868  

AVEVA Group PLC

    34,095       914,002  

Avon Rubber PLC

    18,362       327,129  

Biffa PLC (e)

    151,834       425,986  

Big Yellow Group PLC REIT

    62,818       751,673  

Bovis Homes Group PLC

    76,327       1,219,545  

Brewin Dolphin Holdings PLC

    118,321       572,301  

Cairn Energy PLC (c)

    270,535       781,783  

Capital & Regional PLC REIT

    370,198       280,429  

Card Factory PLC

    107,720       285,748  

Carillion PLC (a) (b)

    8,202        

Chemring Group PLC

    109,150       306,231  

Cineworld Group PLC

    30       99  

Civitas Social Housing PLC REIT

    140,472       191,931  

Clarkson PLC

    13,098       554,891  

CMC Markets PLC (e)

    40,246       95,525  

Coats Group PLC

    619,828       666,033  

Computacenter PLC

    35,065       564,692  

Connect Group PLC

    76,168       59,835  

Costain Group PLC

    55,946       364,545  

Countrywide PLC (c)

    7,515       11,132  

Cranswick PLC

    23,470       936,351  

Crest Nicholson Holdings PLC

    145,968       930,447  

Dairy Crest Group PLC

    69,110       496,371  

De La Rue PLC

    40,302       287,766  

Debenhams PLC

    450,982       132,095  

Devro PLC

    66,941       184,053  

DFS Furniture PLC

    82,635       213,525  

Dialight PLC (b) (c)

    13,424       94,533  

Dignity PLC

    26,628       326,659  

Diploma PLC

    51,824       829,492  

Domino’s Pizza Group PLC

    286,854       1,329,928  

Drax Group PLC

    224,708       865,595  

Dunelm Group PLC

    58,326       431,190  

EI Group PLC (c)

    466,265       752,188  

Elementis PLC

    228,339       946,207  

Empiric Student Property PLC REIT

    391,835       452,925  

EnQuest PLC (c)

    527,448       214,572  

Equiniti Group PLC (e)

    214,433       897,908  

Essentra PLC

    115,639       687,482  

esure Group PLC

    153,937       467,300  

F&C Commercial Property Trust, Ltd.

    303,724       602,455  

Fenner PLC

    178,393       1,524,021  

Fidessa Group PLC

    20,467       1,052,262  

Firstgroup PLC (c)

    562,746       648,114  

Forterra PLC (e)

    109,843       456,100  

Foxtons Group PLC

    9,778       11,152  

Galliford Try PLC

    44,156       517,216  

Security Description

 

Shares

   

Value

 

Games Workshop Group PLC

    13,347     $ 431,569  

Genel Energy PLC (b) (c)

    25,134       59,233  

Genus PLC

    36,236       1,184,382  

Go-Ahead Group PLC

    18,911       465,307  

Gocompare.Com Group PLC

    180,006       282,814  

Grainger PLC

    184,115       746,419  

Greene King PLC (b)

    6       40  

Greggs PLC

    55,150       950,809  

Gulf Keystone Petroleum, Ltd. (c)

    171,874       313,436  

Halfords Group PLC

    92,577       423,367  

Hansteen Holdings PLC REIT

    151,494       271,170  

Helical PLC

    44,258       200,535  

Hill & Smith Holdings PLC

    40,757       759,841  

Hunting PLC (c)

    69,810       657,596  

Huntsworth PLC

    1,886       2,513  

Ibstock PLC (e)

    222,903       881,781  

Indivior PLC (c)

    24       137  

International Personal Finance PLC

    92,990       299,244  

Interserve PLC (b) (c)

    77,662       87,864  

ITE Group PLC

    303,952       666,012  

J D Wetherspoon PLC

    92,793       1,482,637  

Jackpotjoy PLC (c)

    44,172       503,152  

JD Sports Fashion PLC

    9       42  

John Laing Group PLC (e)

    263,725       996,655  

John Menzies PLC

    30,267       266,640  

Johnston Press PLC (c)

    374       48  

Just Group PLC

    378,076       722,357  

KCOM Group PLC

    244,080       315,346  

Keller Group PLC

    60,123       733,763  

Kier Group PLC (b)

    56,925       746,239  

Laird PLC

    66,600       187,040  

Lancashire Holdings, Ltd.

    109,954       894,612  

Lb-shell PLC (c)

    571       2  

LondonMetric Property PLC

    320,488       801,153  

Lonmin PLC (c)

    109,500       89,245  

Lookers PLC

    140,150       171,437  

Luxfer Holdings PLC

    9,128       116,838  

Marshalls PLC

    111,067       651,576  

Marston’s PLC

    434,080       614,408  

McBride PLC (c) (d) (f)

    4,089,696       5,737  

McBride PLC (c) (f)

    157,773       350,135  

McCarthy & Stone PLC (e)

    247,402       501,495  

Medica Group PLC

    97,718       169,978  

Mitchells & Butlers PLC

    114,437       400,367  

Mitie Group PLC

    276,309       616,294  

Moneysupermarket.com Group PLC

    27       109  

Morgan Advanced Materials PLC

    191,648       855,999  

Mothercare PLC (c)

    20,418       4,898  

N Brown Group PLC

    65,907       163,182  

NCC Group PLC

    137,745       363,463  

NewRiver REIT PLC (b)

    151,524       612,167  

Northgate PLC

    52,157       247,154  

On the Beach Group PLC (e)

    38,465       288,679  

OneSavings Bank PLC

    64,472       337,346  
 

 

139


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

Ophir Energy PLC (c)

    215,402     $ 158,939  

Oxford Biomedica PLC (c)

    1,806,506       280,279  

Oxford Instruments PLC

    25,181       261,750  

Pagegroup PLC

    161,412       1,214,790  

Paragon Banking Group PLC

    140,087       924,402  

Pendragon PLC

    560,988       182,573  

Petrofac, Ltd.

    152,094       1,081,296  

Petropavlovsk PLC (c)

    1,016,493       101,527  

Pets at Home Group PLC

    163,971       388,731  

Photo-Me International PLC

    112,665       260,144  

Picton Property Income, Ltd.

    187,321       221,518  

Polypipe Group PLC

    121,904       595,104  

Premier Foods PLC (c)

    67,169       35,617  

Premier Oil PLC (c)

    375,646       364,654  

Primary Health Properties PLC REIT (f)

    315,889       488,328  

Primary Health Properties PLC (c) (d) (f)

    18,580       573  

Provident Financial PLC (b)

    85,371       816,274  

PZ Cussons PLC

    115,934       371,777  

QinetiQ Group PLC

    301,347       872,091  

Rank Group PLC

    79,906       231,470  

Rathbone Brothers PLC

    26,693       913,657  

RDI REIT PLC

    582,347       261,822  

Regional REIT, Ltd. (e)

    161,645       224,942  

Renewi PLC

    446,476       469,737  

Renishaw PLC

    3       190  

Restaurant Group PLC (b)

    92,069       327,794  

RPC Group PLC

    12       130  

RPS Group PLC

    217,572       778,286  

Safestore Holdings PLC REIT

    84,809       584,143  

Savills PLC

    60,050       826,797  

Schroder Real Estate Investment Trust, Ltd.

    261,410       215,623  

Senior PLC

    451,404       1,903,488  

Serco Group PLC (c)

    600,826       743,384  

SIG PLC

    282,210       535,631  

Sirius Minerals PLC (b) (c)

    2,514,696       1,070,984  

Soco International PLC

    107,647       138,625  

Softcat PLC

    62,308       596,107  

Spire Healthcare Group PLC (e)

    170,173       499,400  

SSP Group PLC

    15       129  

St Modwen Properties PLC

    76,655       416,578  

Stagecoach Group PLC

    156,603       289,981  

Stobart Group, Ltd.

    129,617       401,837  

Stock Spirits Group PLC

    96,456       336,242  

Superdry PLC

    25,765       564,194  

SVG Capital PLC (c) (d)

    16,733       16,431  

Ted Baker PLC

    11,502       403,375  

Telecom Plus PLC

    10,496       179,925  

Topps Tiles PLC

    112,968       123,608  

TORM PLC (b)

    12,311       90,592  

Trinity Mirror PLC

    10,795       12,039  

Tyman PLC

    123,644       516,874  

UK Commercial Property Trust, Ltd. (b)

    173,194       217,446  

Ultra Electronics Holdings PLC

    41,231       799,911  

Vectura Group PLC (c)

    303,594       330,697  

Security Description

 

Shares

   

Value

 

Virgin Money Holdings UK PLC

    171,706     $ 633,004  

Wincanton PLC

    159,364       489,587  

Workspace Group PLC REIT

    48,117       669,585  

ZPG PLC (e)

    151,652       714,798  
   

 

 

 
      78,283,404  
   

 

 

 

UNITED STATES — 0.9%

   

Adaptimmune Therapeutics PLC ADR (c)

    37,753       423,966  

Alacer Gold Corp. (c)

    11,845       18,834  

Argonaut Gold, Inc. (c)

    55,139       105,210  

Avadel Pharmaceuticals PLC ADR (b) (c)

    22,140       161,401  

Boart Longyear, Ltd. (c)

    36        

BrightSphere Investment Group PLC

    63,497       1,000,713  

Civeo Corp. (c)

    103,608       390,602  

DHT Holdings, Inc.

    65,590       223,006  

Ferroglobe Representation & Warranty Insurance Trust (a) (c)

    19,857        

Globant SA (c)

    12,901       664,917  

Golden Star Resources, Ltd. (b) (c)

    274,163       160,934  

IMAX Corp. (c)

    38,172       732,902  

MDC Partners, Inc. Class A (c)

    32,851       236,527  

Mimecast, Ltd. (c)

    19,911       705,447  

Mitel Networks Corp. (c)

    41,370       383,914  

Nordic American Tankers, Ltd.

    65,939       127,922  

Ormat Technologies, Inc.

    1       44  

Oxford Immunotec Global PLC (b) (c)

    19,746       245,838  

REC Silicon ASA (c)

    749,396       142,798  

Reliance Worldwide Corp., Ltd. (b)

    288,753       978,977  

Stratasys, Ltd. (b) (c)

    33,616       678,371  

Tahoe Resources, Inc.

    175,510       823,607  

Tucows, Inc. Class A (b) (c)

    8,200       459,200  

Vail Resorts, Inc.

    24       5,321  
   

 

 

 
      8,670,451  
   

 

 

 

TOTAL COMMON STOCKS
(Cost $836,992,633)

      914,361,104  
   

 

 

 

WARRANTS — 0.0% (g)

   

AUSTRALIA — 0.0% (g)

   

Boart Longyear, Ltd.
(expiring 9/13/24) (c)

    50       0  

Westgold Resources, Ltd.
(expiring 6/30/19) (b) (c)

    19,337       2,893  
   

 

 

 
      2,893  
   

 

 

 

FRANCE — 0.0% (g)

   

CGG SA (expiring 2/21/22) (b) (c)

    533       216  

CGG SA (expiring 2/21/23) (c)

    1,729       300  
   

 

 

 
      516  
   

 

 

 
 

 

140


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Security Description

 

Shares

   

Value

 

SINGAPORE — 0.0% (g)

   

Ezion Holdings, Ltd.
(expiring 4/24/20) (b) (c) (d)

    115,305     $ 2,638  
   

 

 

 

TOTAL WARRANTS
(Cost $0)

      6,047  
   

 

 

 

RIGHTS — 0.0% (g)

   

ITALY — 0.0% (g)

   

Immobiliare Grande Distribuzione SIIQ SpA
(expiring 04/13/18) (c)

    16,859       17,927  
   

 

 

 

SWEDEN — 0.0% (g)

   

Starbreeze AB (expiring 4/10/18) (b) (c)

    51,093       854  
   

 

 

 

UNITED KINGDOM — 0.0% (g)

   

Galliford Try PLC
(expiring 4/13/18) (c)

    14,719       57,812  

Provident Financial PLC
(expiring 4/9/18) (c)

    60,470       314,710  
   

 

 

 
      372,522  
   

 

 

 

TOTAL RIGHTS
(Cost $266,038)

      391,303  
   

 

 

 

SHORT-TERM INVESTMENTS — 10.6%

 

 

State Street Institutional
U.S. Government Money Market Fund, Class G Shares 1.62% (h) (i)

    1,510,725       1,510,725  

State Street Navigator Securities Lending Government Money Market Portfolio (h) (j)

    95,964,387       95,964,387  
   

 

 

 

TOTAL SHORT-TERM INVESTMENTS
(Cost $97,475,112)

 

    97,475,112  
   

 

 

 

TOTAL INVESTMENTS — 109.6%
(Cost $934,733,783)

 

    1,012,233,566  
   

 

 

 

LIABILITIES IN EXCESS OF OTHER
ASSETS — (9.6)%

 

    (88,411,858
   

 

 

 

NET ASSETS — 100.0%

 

  $     923,821,708  
   

 

 

 
(a) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. Security value is determined based on Level 3 inputs. As of March 31, 2018, total aggregate fair value of the securities is $0, representing 0.0% of the Fund’s net assets.
(b) All or a portion of the shares of the security are on loan at March 31, 2018.
(c) Non-income producing security.
(d) Fair valued as determined in good faith by the Trust’s Oversight Committee in accordance with policy and procedures approved by the Board of Trustees. As of March 31, 2018, total aggregate fair value of securities is $754,522, representing less than 0.05% of net assets.
(e) Securities purchased pursuant to Rule 144A of the Securities Act of 1933, as amended. These securities, which represent 0.1% of net assets as of March 31, 2018, are considered liquid and may be resold in transactions exempt from registration, normally to qualified institutional buyers.
(f) Reflects separate holdings of the issuer’s common stock traded on different securities exchanges.
(g) Amount is less than 0.05% of net assets.
(h) The Fund invested in certain money market funds managed by SSGA Funds Management, Inc. Amounts related to these transactions during the period ended March 31, 2018 are shown in the Affiliate Table below.
(i) The rate shown is the annualized seven-day yield at March 31, 2018.
(j) Investment of cash collateral for securities loaned.

ADR = American Depositary Receipt

REIT = Real Estate Investment Trust

 

 

The following table summarizes the value of the Fund’s investments according to the fair value hierarchy as of March 31, 2018.

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant
Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

ASSETS:

       

INVESTMENTS:

       

Common Stocks

       

Australia

  $ 58,349,902     $ 0 (a)    $ 0 (b)    $ 58,349,902  

Austria

    2,903,419                   2,903,419  

Belgium

    12,689,606                   12,689,606  

Canada

      72,498,781         56,380       0 (b)        72,555,161  

China

    2,677,820                   2,677,820  

Denmark

    6,131,667             0 (b)      6,131,667  

Finland

    6,544,251             0 (b)      6,544,251  

 

141


Table of Contents

SPDR S&P INTERNATIONAL SMALL CAP ETF

SCHEDULE OF INVESTMENTS

March 31, 2018 (Unaudited)

 

 

 

Description

  Level 1 –
Quoted Prices
    Level 2 –
Other Significant

Observable Inputs
    Level 3 –
Significant
Unobservable Inputs
    Total  

France

  $ 19,284,098     $     $     $ 19,284,098  

Germany

    29,930,051                   29,930,051  

Greece

                0 (b)      0  

Hong Kong

    23,335,653       213,157       0 (b)      23,548,810  

India

    186,488                   186,488  

Ireland

    7,055,211                   7,055,211  

Israel

    16,653,485                   16,653,485  

Italy

    11,460,844                   11,460,844  

Japan

    338,474,876             0 (b)      338,474,876  

Liechtenstein

    282,131                   282,131  

Luxembourg

    539,588                   539,588  

Macau

    477,938                   477,938  

Malta

    381,645                   381,645  

Netherlands

    13,185,764                   13,185,764  

New Zealand

    10,130,154                   10,130,154  

Norway

    12,153,056                   12,153,056  

Peru

    256,202                   256,202  

Portugal

    2,100,561                   2,100,561  

Singapore

    13,078,293       271,380       0 (b)      13,349,673  

South Africa

    195,216                   195,216  

South Korea

    105,825,744       188,226       0 (b)      106,013,970  

Spain

    12,982,699             0 (b)      12,982,699  

Sweden

    26,364,530                   26,364,530  

Switzerland

    20,419,396                   20,419,396  

United Arab Emirates

    129,037                   129,037  

United Kingdom

    78,260,663       22,741       0 (b)      78,283,404  

United States

    8,670,451             0 (b)      8,670,451  

Warrants

       

Australia

    2,893                   2,893  

France

    516                   516  

Singapore

          2,638             2,638  

Rights

       

Italy

    17,927                   17,927  

Sweden

    854                   854  

United Kingdom

    372,522                   372,522  

Short-Term Investments

    97,475,112                   97,475,112  
 

 

 

   

 

 

   

 

 

   

 

 

 

TOTAL INVESTMENTS

  $ 1,011,479,044     $ 754,522     $ 0     $ 1,012,233,566  
 

 

 

   

 

 

   

 

 

   

 

 

 

 

(a) Fund held a Level 2 security that was valued at $0 at March 31, 2018.
(b) Fund held Level 3 securities that were valued at $0 at March 31, 2018.

Affiliate Table

 

    Number of
Shares Held
at

9/30/17
    Value at
9/30/17
    Cost of
Purchases
    Proceeds
from

Shares Sold
    Realized
Gain (Loss)
    Change in
Unrealized

Appreciation/
Depreciation
    Number of
Shares Held
at
3/31/18
    Value at
3/31/18
    Dividend
Income
    Capital
Gains
Distributions
 

State Street Institutional U.S. Government Money Market Fund, Class G Shares

    73,500     $ 73,500     $ 71,569,182     $ 70,131,957     $     $       1,510,725     $ 1,510,725     $ 24,500     $  

State Street Navigator Securities Lending Government Money Market Portfolio

    66,029,680       66,029,680       101,110,821       71,176,114                   95,964,387       95,964,387       1,512,147        
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

Total

    $ 66,103,180     $ 172,680,003     $ 141,308,071     $     $       $ 97,475,112     $ 1,536,647     $  
   

 

 

   

 

 

   

 

 

   

 

 

   

 

 

     

 

 

   

 

 

   

 

 

 

 

142


Table of Contents
(b) Not applicable to the registrant.

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable to the registrant.

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable to the registrant.

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not applicable to the registrant.

Item 10. Submission of Matters to a Vote of Security Holders.

The registrant has not adopted any material changes to the procedures by which shareholders may recommend nominees to the registrant’s Board.

Item 11. Controls and Procedures.

(a) Within 90 days of the filing date of this Form N-CSR, Ellen M. Needham, the registrant’s President and Principal Executive Officer, and Bruce S. Rosenberg, the registrant’s Treasurer and Principal Financial Officer, reviewed the registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended (the “1940 Act”) and evaluated their effectiveness. Based on their review, Ms. Needham and Mr. Rosenberg determined that the disclosure controls and procedures adequately ensure that information required to be disclosed by the registrant in its periodic reports is recorded, processed, summarized and reported within the time periods required by the U.S. Securities and Exchange Commission.

(b) There were no changes in the registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act) that occurred during the second fiscal quarter of the period covered by this report that have materially affected, or are reasonably likely to materially affect, the registrant’s internal control over financial reporting.

Item 12. Disclosure of Securities Lending Activities for Closed-End Management Investment Companies.

 

(a) Not applicable.

 

(b) Not applicable.

Item 13. Exhibits.

(a)(1) Not applicable to the registrant; this Form N-CSR is a Semi-Annual Report.


Table of Contents

(a)(2) Separate certifications required by Rule 30a-2 under the 1940 Act for each principal executive officer and principal financial officer of the registrant are attached.

(a)(3) Not applicable to the registrant.

(a)(4) Not applicable to the registrant.

(b) A single certification required by Rule 30a-2(b) under the 1940 Act, Rule 13a-14(b) or Rule 15d-14(b) under the Securities Exchange Act of 1934, as amended, and Section 1350 of Chapter 63 of Title 18 of the United States Code for the principal executive officer and principal financial officer of the registrant is attached.


Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, and the Investment Company Act of 1940, as amended, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

 

SPDR® Index Shares Funds
By:  

/s/ Ellen M. Needham

  Ellen M. Needham
  President and Principal Executive Officer
Date:   June 1, 2018

Pursuant to the requirements of the Securities Exchange Act of 1934, as amended, and the Investment Company Act of 1940, as amended, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on the dates indicated.

 

By:  

/s/ Ellen M. Needham

  Ellen M. Needham
  President and Principal Executive Officer
Date:   June 1, 2018
By:  

/s/ Bruce S. Rosenberg

  Bruce S. Rosenberg
  Treasurer and Principal Financial Officer
Date:   June 1, 2018
EX-99.CERT 2 d512793dex99cert.htm SECTION 302 CERTIFICATIONS Section 302 Certifications

Exhibit 13(a)(2)

CERTIFICATIONS

I, Ellen M. Needham, President and Principal Executive Officer of SPDR® Index Shares Funds, certify that:

 

1. I have reviewed this report on Form N-CSR of SPDR Index Shares Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:   May 18, 2018
By:  

/s/ Ellen M. Needham

  Ellen M. Needham
  President and Principal Executive Officer


I, Bruce S. Rosenberg, Treasurer and Principal Financial Officer of SPDR® Index Shares Funds, certify that:

 

1. I have reviewed this report on Form N-CSR of SPDR Index Shares Funds;

 

2. Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3. Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4. The registrant’s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

  (a) Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

  (b) Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

  (c) Evaluated the effectiveness of the registrant’s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

  (d) Disclosed in this report any change in the registrant’s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant’s internal control over financial reporting; and

 

5. The registrant’s other certifying officer(s) and I have disclosed to the registrant’s auditors and the audit committee of the registrant’s board of directors (or persons performing the equivalent functions):

 

  (a) All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant’s ability to record, process, summarize, and report financial information; and

 

  (b) Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant’s internal control over financial reporting.

 

Date:   May 18, 2018
By:  

/s/ Bruce S. Rosenberg

  Bruce S. Rosenberg
  Treasurer and Principal Financial Officer
EX-99.906CT 3 d512793dex99906ct.htm SECTION 906 CERTIFICATIONS Section 906 Certifications

Exhibit 13(b)

SECTION 906 CERTIFICATION

I, Ellen M. Needham, President and Principal Executive Officer, and I, Bruce S. Rosenberg, Treasurer and Principal Financial Officer, of SPDR® Index Shares Funds (the “Trust”) each certify that:

1. This Form N-CSR filing for the Trust (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

2. The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Trust.

 

By:  

/s/ Ellen M. Needham

  Ellen M. Needham
  President and Principal Executive Officer
Date:   June 1, 2018
By:  

/s/ Bruce S. Rosenberg

  Bruce S. Rosenberg
  Treasurer and Principal Financial Officer
Date:   June 1, 2018
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