0001193125-15-276689.txt : 20150818 0001193125-15-276689.hdr.sgml : 20150818 20150804164545 ACCESSION NUMBER: 0001193125-15-276689 CONFORMED SUBMISSION TYPE: N-CSRS PUBLIC DOCUMENT COUNT: 62 CONFORMED PERIOD OF REPORT: 20150531 FILED AS OF DATE: 20150804 DATE AS OF CHANGE: 20150804 EFFECTIVENESS DATE: 20150804 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ALPS ETF Trust CENTRAL INDEX KEY: 0001414040 IRS NUMBER: 000000000 FISCAL YEAR END: 1130 FILING VALUES: FORM TYPE: N-CSRS SEC ACT: 1940 Act SEC FILE NUMBER: 811-22175 FILM NUMBER: 151026158 BUSINESS ADDRESS: STREET 1: P.O. Box 328 CITY: Denver STATE: CO ZIP: 80201-0328 BUSINESS PHONE: 303.623.2577 MAIL ADDRESS: STREET 1: P.O. Box 328 CITY: Denver STATE: CO ZIP: 80201-0328 0001414040 S000021672 Cohen & Steers Global Realty Majors ETF C000062111 Cohen & Steers Global Realty Majors ETF GRI 0001414040 S000025771 Alps Equal Sector Weight ETF C000077058 Alps Equal Sector Weight ETF EQL 0001414040 S000026188 Global Commodity Equity ETF C000078591 Global Commodity Equity ETF CRBQ 0001414040 S000029786 ALERIAN MLP ETF C000091496 ALERIAN MLP ETF AMLP 0001414040 S000030145 RiverFront Strategic Income Fund C000092591 RiverFront Strategic Income Fund RIGS 0001414040 S000036685 U.S. Equity High Volatility Put Write Index Fund C000112093 U.S. Equity High Volatility Put Write Index Fund HVPW 0001414040 S000037495 ALPS Sector Dividend Dogs ETF C000115754 ALPS Sector Dividend Dogs ETF SDOG 0001414040 S000039052 Janus Velocity Tail Risk Hedged Large Cap ETF C000119980 Janus Velocity Tail Risk Hedged Large Cap ETF TRSK 0001414040 S000039053 Janus Velocity Volatility Hedged Large Cap ETF C000119981 Janus Velocity Volatility Hedged Large Cap ETF SPXH 0001414040 S000040588 Barron's 400 ETF C000125863 Barron's 400 ETF 0001414040 S000041000 ALPS International Sector Dividend Dogs ETF C000127212 ALPS International Sector Dividend Dogs ETF IDOG 0001414040 S000042676 Alerian Energy Infrastructure ETF C000131909 Alerian Energy Infrastructure ETF ENFR 0001414040 S000044013 Workplace Equality Portfolio C000136617 Workplace Equality Portfolio EQLT 0001414040 S000044070 ALPS Emerging Sector Dividend Dogs ETF C000136752 ALPS Emerging Sector Dividend Dogs ETF EDOG 0001414040 S000045876 Sprott Gold Miners ETF C000142963 Sprott Gold Miners ETF SGDM 0001414040 S000046915 ALPS STOXX Europe 600 ETF C000146704 ALPS STOXX Europe 600 ETF STXX 0001414040 S000047823 ALPS Medical Breakthroughs ETF C000150206 ALPS Medical Breakthroughs ETF SBIO 0001414040 S000048531 Sprott Junior Gold Miners ETF C000153001 Sprott Junior Gold Miners ETF SGDJ N-CSRS 1 d15293dncsrs.htm ALPS ETF TRUST N-CSRS ALPS ETF Trust N-CSRS
Table of Contents

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:

811-22175

ALPS ETF TRUST

(Exact name of registrant as specified in charter)

 

1290 Broadway, Suite 1100, Denver, Colorado 80203

(Address of principal executive offices) (Zip code)

Abigail J. Murray, Esq., Secretary

ALPS ETF Trust

1290 Broadway, Suite 1100

Denver, Colorado 80203

(Name and address of agent for service)

 

Registrant’s Telephone Number, including Area Code: (303) 623-2577

 

Date of fiscal year end: November 30

 

Date of reporting period: December 1, 2014 – May 31, 2015


Table of Contents

Item 1.  Report to Stockholders.


Table of Contents

LOGO             

May 31, 2015          

 

LOGO

Alerian MLP ETF  (NYSE ARCA: AMLP)

Alerian Energy Infrastructure ETF  (NYSE ARCA: ENFR)

An ALPS Advisors Solution

 

 

 

 

LOGO             


Table of Contents

table of

CONTENTS

 

 

Performance Overview

   

Alerian MLP ETF 

 

 

    1

Alerian Energy Infrastructure ETF

 

 

    4

Disclosure of Fund Expenses

 

 

    7

Financial Statements

   

Alerian MLP ETF

   

Schedule of Investments

 

 

    8

Statement of Assets and Liabilities

 

 

    9

Statement of Operations

 

 

  10

Statements of Changes in Net Assets

 

 

  11

Financial Highlights

 

 

  12

Alerian Energy Infrastructure ETF

   

Schedule of Investments

 

 

  13

Statement of Assets and Liabilities

 

 

  15

Statement of Operations

 

 

  16

Statements of Changes in Net Assets

 

 

  17

Financial Highlights

 

 

  18

Notes to Financial Statements

 

 

  19

Additional Information

 

 

  27

www.alpsfunds.com


Table of Contents
Alerian MLP ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

INVESTMENT OBJECTIVE

 

The Alerian MLP ETF (the “Fund” or “AMLP”) seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Alerian MLP Infrastructure Index (the “Index” or “AMZI”). The Shares of the Fund are listed and trade on the New York Stock Exchange (“NYSE”) Arca under the ticker symbol AMLP. The Fund generally will invest in all of the securities that comprise the Index in proportion to their weightings in the Index.

The Index is a rules based, modified capitalization weighted, float-adjusted index intended to give investors a means of tracking the overall performance of the United States energy infrastructure Master Limited Partnership (“MLP”) asset class. The Index is comprised of energy infrastructure MLPs that earn a majority of their cash flow from the transportation, storage, and processing of energy commodities.

PERFORMANCE OVERVIEW

 

During the six-month period of December 1, 2014 to May 31, 2015, the Alerian MLP ETF delivered a total market return of -5.3% (-5.3% NAV). This compares to the Fund’s index, the Alerian MLP Infrastructure Index, which fell -9.7% on a price-return and -7.1% on a total return basis. The difference in the performance between the AMZI and AMLP is primarily attributable to the Fund’s operating expenses and the tax impact of the Fund’s C-corporation(1) structure.

Crude oil prices continued to experience a downward slide during the period and reached a low of $43.39 per barrel on March 17, 2015. Since then, crude prices have recovered and in May, found support around $60/barrel. MLP equity prices exhibited a strong correlation to crude prices during most of the period. Despite the rebound of crude prices in April and May, prices of natural gas liquids (NGLs) fell continuously during the period, particularly impacting gathering and processing (G&P) MLPs.

Top contributors to the AMZI during the period include NuStar Energy (NS) and Genesis Energy (GEL), both gaining more than 10% on a price-return basis. Underperformers during the period include Crestwood Midstream Partners (CMLP), Targa Resources Partners (NGLS), and DCP Midstream Partners (DPM). These G&P MLPs are exposed to falling NGL prices and each fell more than 20% on a price return basis. During the period, Atlas Pipeline Partners, Williams Partners(2), and Regency Energy Partners were removed from the AMZI, as they were acquired.

Of the 22 MLPs in the AMZI, 15 increased their distribution during the first calendar quarter of 2015 and the remaining 7 MLPs maintained their distribution. During the period, the fund paid two distributions: $0.2925 on February 19, 2015 and $0.2955 on May 20, 2015, representing 2.3% and 1.0% increases, respectively, from the previous quarter. On an annual basis, the Fund has increased its distribution by 5.9% when comparing the May 20, 2015 distribution versus the May 13, 2014 distribution of $0.279.

While equity price volatility may persist until energy prices stabilize, we remain confident in the long-term thesis for MLPs. As the U.S. is now the world’s leading producer for natural gas and crude oil (when including NGL production), the necessity for the continued build-out of energy infrastructure to serve North America’s needs is greater than ever.

Spreads are still wide between the prices of crude in different regions, indicating certain areas still do not have enough pipeline takeaway capacity. Crude oil storage levels reached all-time highs as a function of high production levels, as well as industry participants capitalizing on potential contango(3) trades. On the natural gas front, pipeline MLPs that have a presence in the Northeast have the hefty task of debottlenecking and building new pipelines to allow Marcellus and Utica shale production to reach end users in the most efficient manner. In addition, infrastructure MLPs have been responsible for finding solutions to handle growing ethane and propane production in Appalachia as well as increased condensate volume from the Eagle Ford.

Commodity prices, global economic growth, and interest rates are all major factors that will influence MLP performance over the short term. However, recent comments from the White House in April outlining the need to modernize the current U.S. energy infrastructure grid in order to better support the increasing domestic supply of energy resources should bode well for energy infrastructure MLPs in the AMZI over the long term. With billions of dollars of infrastructure opportunities over the next few decades, we believe that MLPs continue to represent a compelling potential investment opportunity for investors seeking after-tax yield and access to real assets.

 

(1) 

Under current law, the Fund is not eligible to elect treatment as a regulated investment company due to its investments primarily in MLPs. The Fund is classified for federal income tax purposes as a taxable regular corporation or so-called Subchapter “C” corporation. Whereas the NAV of Fund Shares is reduced by the accrual of any deferred tax liabilities, the Alerian MLP Infrastructure Index is calculated without any tax deductions.

 

(2) 

After completion of the merger, Access Midstream Partners changed its name to Williams Partners and ticker from “ACMP” to “WPZ”.

 

1  |  May 31, 2015


Table of Contents
Alerian MLP ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

(3) 

Contango refers to a situation where the future spot price is below the current price, and people are willing to pay more for a commodity at some point in the future than the actual expected price of the commodity. This may be due to people’s desire to pay a premium to have the commodity in the future rather than paying the costs of storage and carry costs of buying the commodity today.

The views and information discussed in this commentary are as of the date of publication, are subject to change, and may not reflect the writer’s current views. The views expressed represent an assessment of market conditions at a specific point in time, are opinions only and should not be relied upon as investment advice regarding a particular investment or markets in general. Such information does not constitute a recommendation to buy or sell specific securities or investment vehicles. It should not be assumed that any investment will be profitable or will equal the performance of the fund or any securities or any sectors mentioned herein. The subject matter contained herein has been derived from several sources believed to be reliable and accurate at the time of compilation. ALPS Advisors, Inc. and Alerian do not accept any liability for losses either direct or consequential caused by the use of this information.

Performance (as of May 31, 2015)

 

     6 Months   1 Year   3 Year   Since Inception^

Alerian MLP ETF – NAV

  -5.25%   -3.05%     8.33%     8.64%

Alerian MLP ETF – Market Price*

  -5.25%   -3.00%     8.31%     8.64%

Alerian MLP Infrastructure Index

  -7.07%   -3.75%   13.66%   14.17%

S&P 500® Total Return Index

   2.97%   11.81%   19.67%   18.17%

Total Expense Ratio (per the current prospectus) 5.43%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.877.398.8461. The Fund accrues deferred income taxes for future tax liabilities associated with the portion of MLP distributions considered to be a tax-deferred return of capital and for any net operating gains as well as capital appreciation of its investment. This deferred tax liability is reflected in the daily NAV and as a result the fund’s after-tax performance could differ significantly from the underlying assets even if the pre-tax performance is closely tracked.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on August 24, 2010 with an Inception Date, the first day of trading on the NYSE ARCA, of August 25, 2010.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Alerian MLP Infrastructure Index is comprised of 25 midstream energy Master Limited Partnerships and provides investors with an unbiased benchmark for the infrastructure component of this emerging asset class.

S&P 500® Total Return Index is the Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Alerian MLP ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

2  |  May 31, 2015


Table of Contents
Alerian MLP ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Enterprise Products Partners LP     9.89%           
Williams Partners LP     8.60%           
Energy Transfer Partners LP     7.82%           
Magellan Midstream Partners LP     7.50%           
MarkWest Energy Partners LP     7.23%           
Plains All American Pipeline LP     7.11%           
Enbridge Energy Partners LP     4.81%           
Buckeye Partners LP     4.75%           
Targa Resources Partners LP     4.72%           
ONEOK Partners LP     4.55%           
Total % of Top 10 Holdings           66.98%           

 

*

% of Total Investments

Future holdings are subject to change.

Growth of $10,000 (as of May 31, 2015)

Comparison of change in value of a $10,000 investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

3  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

INVESTMENT OBJECTIVE

 

The Alerian Energy Infrastructure ETF (the “Fund” or “ENFR”) seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Alerian Energy Infrastructure Index (the “Index” or “AMEI”). As a secondary objective, the Fund seeks to provide total return through income and capital appreciation.

The Index is a composite of North American energy infrastructure companies engaged in the pipeline transportation, storage, and processing of energy commodities (also known as “midstream energy businesses”). Currently, each constituent is assigned to one of four categories: (i) U.S. Energy Infrastructure Master Limited Partnerships (“MLPs”) (ii) U.S. General Partners, (iii) U.S. Energy Infrastructure Companies, and (iv) Canadian Energy Infrastructure Companies. Previously, during the period, the following five categories of issuers were included in the Index: MLPs and limited liability companies taxed as partnerships known as “energy infrastructure MLPs” (25% total index weight), U.S. energy infrastructure companies (30% total index weight) taxed as corporations, Canadian MLP affiliates (10% total index weight), U.S. integrated utilities companies (15% total index weight) and Canadian energy infrastructure companies (20% total index weight).

PERFORMANCE OVERVIEW

 

During the six-month period of December 1, 2014 to May 31, 2015, the Alerian Energy Infrastructure ETF delivered a total market return of -5.0% (-4.8% NAV). This compares to the Fund’s index, the Alerian Energy Infrastructure Index, which fell -6.5% on a price-return and -4.6% on a total return basis. During the period, the fund paid two distributions: $0.1825 on April 1, 2015 and $0.1154 on January 2, 2015.

Crude oil prices continued to experience a downward slide during the period and reached a low of $43.39 per barrel on March 17, 2015. Since then, crude prices have recovered and in May, found support around $60/barrel. Energy infrastructure companies exhibited a strong correlation to crude prices during most of the period. Despite the rebound of crude prices in April and May, prices of natural gas liquids (NGLs) fell continuously during the period, particularly impacting companies with gathering and processing operations. In addition, a strengthening US dollar impacted the AMEI’s returns during the quarter.

Top contributors to the AMEI during the period include Enbridge Inc (ENB) and NiSource (NI), both gaining roughly 13%. Underperformers during the period include ONEOK Inc (OKE) and Targa Resources Corp (TRGP). No changes were made to the AMEI constituents during the period.

While equity price volatility may persist until energy prices stabilize, we remain confident in the long-term thesis for energy infrastructure companies, rooted by the necessity for the continued build-out of energy infrastructure to serve North America’s needs.

Spreads are still wide between the prices of crude in different regions, indicating certain areas still do not have enough pipeline takeaway capacity. Crude oil storage levels reached all-time highs as a function of high production levels, as well as industry participants capitalizing on potential contango(1) trades. On the natural gas front, pipeline companies that have a presence in the Northeast have the hefty task of debottlenecking and building new pipelines to allow Marcellus and Utica shale production to reach end users in the most efficient manner. In addition, infrastructure companies have been responsible for finding solutions to handle growing ethane and propane production in Appalachia as well as increased condensate volume from the Eagle Ford.

Commodity prices, global economic growth, and interest rates are all major factors that will influence the performance of energy infrastructure companies over the short term. However, recent comments from the White House in April outlining the need to modernize the current US energy infrastructure grid in order to better support the increasing domestic supply of energy resources should bode well for North American energy infrastructure companies over the long term. With billions of dollars of infrastructure opportunities over the next few decades, we believe that energy infrastructure companies continue to represent a compelling potential investment opportunity for investors seeking total return.

 

(1)

Contango refers to a situation where the future spot price is below the current price, and people are willing to pay more for a commodity at some point in the future than the actual expected price of the commodity. This may be due to people’s desire to pay a premium to have the commodity in the future rather than paying the costs of storage and carry costs of buying the commodity today.

The views and information discussed in this commentary are as of the date of publication, are subject to change, and may not reflect the writer’s current views. The views expressed represent an assessment of market conditions at a specific point in time, are opinions only and should not be relied upon as investment advice regarding a particular investment or markets in general. Such information does not constitute a recommendation to buy or sell specific securities or investment vehicles. It should not be assumed that any investment will be profitable or will equal the performance of the fund or any securities or any sectors mentioned herein. The subject matter contained herein has been derived from several sources believed to be reliable and accurate at the time of compilation. ALPS Advisors, Inc. and Alerian do not accept any liability for losses either direct or consequential caused by the use of this information.

 

4  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Performance (as of May 31, 2015)

 

     6 Months   1 Year   Since Inception^
Alerian Energy Infrastructure ETF - NAV   -4.79%     -3.19%     6.76%
Alerian Energy Infrastructure ETF - Market Price*   -5.02%     -3.23%     6.78%
Alerian Energy Infrastructure Index   -4.59%     -2.39%     7.71%
S&P 500® Total Return Index    2.97%     11.81%   14.58%

Total Expense Ratio (per the current prospectus) 0.65%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on November 1, 2013.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Alerian Energy Infrastructure Index is comprised of 30 equity securities of issuers headquartered or incorporated in the United States and Canada that engage in the transportation, storage, and processing of energy commodities.

S&P 500® Total Return Index: the Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Alerian Energy Infrastructure ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

Top 10 Holdings* (as of May 31, 2015)

 

Enbridge, Inc.     5.09%           
TransCanada Corp.     4.97%           
The Williams Cos., Inc.     4.57%           
Kinder Morgan, Inc.     4.39%           
Spectra Energy Corp.     4.26%           
Plains GP Holdings LP, Class A     4.25%           
EnLink Midstream LLC     4.21%           
Targa Resources Corp.     3.98%           
ONEOK, Inc.     3.80%           
EQT Midstream Partners LP     3.67%           
Total % of Top 10 Holdings           43.19%           

 

*

% of Total Investments

Future holdings are subject to change.

 

5  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Growth of $10,000 (as of May 31, 2015)

Comparison of change in value of a $10,000 investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

6  |  May 31, 2015


Table of Contents
Alerian Exchange Traded Funds     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Funds, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held though May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

    

Beginning Account
Value

12/1/14

  Ending Account Value
5/31/15
   Expense
Ratio(a)
  Expenses Paid       
During Period       
12/1/14 - 5/31/15(b)       

Alerian MLP ETF

        

Actual

  $1,000.00   $947.50    0.85%   $4.13

Hypothetical (5% return before expenses)

  $1,000.00   $1,020.69    0.85%   $4.28

Alerian Energy Infrastructure ETF

        

Actual

  $1,000.00   $952.10    0.65%   $3.16

Hypothetical (5% return before expenses)

  $1,000.00   $1,021.69    0.65%   $3.28

 

(a)

Annualized, based on the Fund’s most recent fiscal half-year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

7  |  May 31, 2015


Table of Contents
Alerian MLP ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description           Shares      Value          

 

 

Master Limited Partnerships (108.25%)

        

Gathering & Processing (33.91%)

        

Crestwood Midstream Partners LP

        12,164,951        $ 163,253,643     

DCP Midstream Partners LP

        7,247,768         273,965,630     

EnLink Midstream Partners LP

        8,467,451         210,162,134     

MarkWest Energy Partners LP

        11,056,389         714,574,421     

Targa Resources Partners LP

        10,792,801         466,572,787     

Western Gas Partners LP

        6,095,847         417,565,520     

Williams Partners LP

        15,215,148         850,222,470     
        

 

 

 

Total Gathering & Processing

           3,096,316,605     
        

 

 

 

Natural Gas Transportation (31.88%)

        

Energy Transfer Partners LP

        13,747,486         773,021,138     

Enterprise Products Partners LP

        30,154,558         977,610,770     

EQT Midstream Partners LP

        3,112,836         260,450,988     

ONEOK Partners LP

        11,526,860         450,123,883     

Spectra Energy Partners LP

        4,209,225         214,670,475     

TC PipeLines LP

        3,679,243         235,103,628     
        

 

 

 

Total Natural Gas Transportation

           2,910,980,882     
        

 

 

 

Petroleum Transportation (42.46%)

        

Buckeye Partners LP

        6,077,791         469,995,578     

Enbridge Energy Partners LP

        12,812,702         475,223,117     

Genesis Energy LP

        6,326,580         307,661,586     

Magellan Midstream Partners LP

        9,298,049         741,240,466     

NGL Energy Partners LP

        5,836,946         175,458,597     

NuStar Energy LP

        5,129,803         320,151,005     

Plains All American Pipeline LP

        14,974,018         703,030,145     

Sunoco Logistics Partners LP

        11,272,205         446,379,318     

Tesoro Logistics LP

        4,107,542         237,457,003     
        

 

 

 

Total Petroleum Transportation

           3,876,596,815     
        

 

 

 

Total Master Limited Partnerships
(Cost $8,030,773,166)

           9,883,894,302     
        

 

 

 
     7 Day Yield      Shares      Value          

 

 

Short Term Investments (0.04%)

        

Dreyfus Treasury Prime Cash Management Fund, Institutional Shares

     0.000%(a)         3,469,006         3,469,006     
        

 

 

 

Total Short Term Investments
(Cost $3,469,006)

           3,469,006     
        

 

 

 

Total Investments (108.29%)
(Cost $8,034,242,172)

          $ 9,887,363,308     

Net Liabilities Less Other Assets (-8.29%)

           (757,309,986)     
        

 

 

 

Net Assets (100.00%)

          $      9,130,053,322     
        

 

 

 

 

(a) 

Less than 0.0005%.

 

See Notes to Financial Statements.

8  |  May 31, 2015


Table of Contents
Alerian MLP ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $        9,887,363,308         

Cash

     2,409,967         

Receivable for shares sold

     27,101         

Income tax receivable

     280,281         

Prepaid tax

     66,237         

 

 

Total Assets

     9,890,146,894         

 

 

LIABILITIES:

  

Payable for investments purchased

     2,535,767         

Deferred tax liability

     750,257,219         

Payable to adviser

     7,300,586         

 

 

Total Liabilities

     760,093,572         

 

 

NET ASSETS

   $ 9,130,053,322         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 8,181,318,595         

Accumulated net investment loss, net of deferred income taxes

     (127,906,997)         

Accumulated net realized loss on investments, net of deferred income taxes

     (98,960,344)         

Net unrealized appreciation on investments, net of deferred income taxes

     1,175,602,068         

 

 

NET ASSETS

   $ 9,130,053,322         

 

 

INVESTMENTS, AT COST

   $ 8,034,242,172         

PRICING OF SHARES

  

Net Assets

   $ 9,130,053,322         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     550,862,100         

Net Asset Value, offering and redemption price per share

   $ 16.57         

 

See Notes to Financial Statements.

9  |  May 31, 2015


Table of Contents
Alerian MLP ETF     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Distributions from master limited partnerships

   $         278,677,938         

Less return of capital distributions

     (278,677,938)         

 

 

Total Investment Income

     –         

 

 

EXPENSES:

  

Investment adviser fee

     38,208,432         

 

 

Total Expenses

     38,208,432         

 

 

NET INVESTMENT LOSS, BEFORE INCOME TAXES

     (38,208,432)         

 

 

Deferred income tax benefit

     13,789,874         

 

 

NET INVESTMENT LOSS

     (24,418,558)         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS):

  

Net realized loss on investments, before income taxes

     (49,336,147)         

Net deferred realized income tax benefit

     18,532,599         

 

 

Net realized loss

     (30,803,548)         

 

 

Net change in unrealized depreciation on investments, before income taxes

     (694,739,079)         

Net change in deferred unrealized income tax benefit

     256,791,686         

 

 

Net change in unrealized depreciation

     (437,947,393)         

 

 

NET REALIZED AND UNREALIZED LOSS

     (468,750,941)         

 

 

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $         (493,169,499)         

 

 

 

See Notes to Financial Statements.

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Table of Contents
Alerian MLP ETF     

 

Statements of Changes in Net Assets

  

 

     For the Six         
     Months Ended      For the     
     May 31, 2015      Year Ended     
     (Unaudited)      November 30, 2014     

 

 

OPERATIONS:

     

Net investment loss

   $ (24,418,558)       $ (46,718,275)          

Net realized gain/(loss) on investments

     (30,803,548)         267,383,081          

Net change in unrealized appreciation/(depreciation) on investments

     (437,947,393)         473,848,788          

 

 

Net increase/(decrease) in net assets resulting from operations

     (493,169,499)         694,513,594          

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net realized gains

             (343,269,132)          

From tax return of capital

     (316,775,690)         (191,041,392)          

 

 

Total distributions

     (316,775,690)         (534,310,524)          

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     964,362,313         2,282,699,118          

Issued to shareholders in reinvestment distributions

             4,571,254          

Cost of shares redeemed

     (373,365,152)         (483,156,705)          

 

 

Net increase from share transactions

     590,997,161         1,804,113,667          

 

 

Net increase/(decrease) in net assets

     (218,948,028)         1,964,316,737          

NET ASSETS:

     

Beginning of period

     9,349,001,350         7,384,684,613          

 

 

End of period *

   $               9,130,053,322       $               9,349,001,350          

 

 

*Including accumulated net investment loss, net of deferred income taxes of:

   $ (127,906,997)       $ (103,488,439)          

OTHER INFORMATION:

     

SHARE TRANSACTIONS:

     

Beginning shares

     516,512,100         417,561,799          

Shares sold

     56,550,000         125,050,000          

Distributions reinvested

             250,301          

Shares redeemed

     (22,200,000)         (26,350,000)          

 

 

Shares outstanding, end of year

     550,862,100         516,512,100          

 

 

 

See Notes to Financial Statements.

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Table of Contents
Alerian MLP ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

                                  For the  
                            For the     Period  
    For the                       Period     August 25,  
    Six Months     For the Year     For the Year     For the Year     January 1,     2010  
    Ended     Ended     Ended     Ended     2011 to     (Inception) to  
    May 31, 2015     November 30,     November 30,     November 30,     November 30,     December 31,  
    (Unaudited)     2014     2013     2012     2011  (a)     2010  

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 18.10           $ 17.69           $ 16.32           $ 15.97         $ 16.05            $ 15.00          

INCOME/(LOSS) FROM OPERATIONS:

           

Net investment loss(b)

    (0.07)             (0.16)             (0.09)             (0.09)           (0.08)              (0.03)          

Net realized and unrealized gain/(loss) on investments

    (0.87)             1.70             2.53             1.44           1.00              1.33          

 

 

Total from investment operations

    (0.94)             1.54             2.44             1.35           0.92              1.30          

 

 

DISTRIBUTIONS:

           

From net realized gains

    –             (0.73)             –             (0.00) (b)(c)             (0.14) (b)          –          

From tax return of capital

    (0.59)             (0.40)             (1.07)             (1.00)           (0.86)              (0.25)          

 

 

Total distributions

    (0.59)             (1.13)             (1.07)             (1.00)           (1.00)              (0.25)          

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

    (1.53)             0.41             1.37             0.35           (0.08)              1.05          

 

 

NET ASSET VALUE, END OF PERIOD

  $ 16.57           $ 18.10           $ 17.69           $ 16.32         $ 15.97            $ 16.05          

 

 

TOTAL RETURN(d)

    (5.25)%          8.82%          15.16%          8.62%        5.93%           8.66%       

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000s)

  $   9,130,053           $   9,349,001           $   7,384,685           $   4,466,815         $   1,713,387            $      611,467          

RATIO TO AVERAGE NET ASSETS:

           

Expenses (excluding net current and deferred tax expenses/benefits and franchise tax expense)

    0.85%(e)          0.85%          0.85%          0.85%        0.85%(e)           0.85%(e)       

Expenses (including net current and deferred tax expenses/benefits)(f)

    (5.58)%(e)          5.43%          8.56%          4.85%        4.86%(e)           13.56%(e)       

Expenses (including current and deferred tax expenses/benefits)(g)

    0.54%(e)          0.55%          0.55%          0.54%        0.53%(e)           0.52%(e)       

Net investment loss (excluding deferred tax expenses/benefits and franchise tax expense)

    (0.85)%(e)          (0.85)%          (0.85)%          (0.85)%        (0.85)%(e)           (0.85)%(e)       

Net investment loss (including deferred tax expenses/benefits)

    (0.54)%(e)          (0.55)%          (0.55)%          (0.54)%        (0.53)%(e)           (0.52)%(e)       

PORTFOLIO TURNOVER RATE(h)

    13%          29%          12%          12%        10%           12%       

 

 

 

(a)

Effective March 7, 2011, the Board approved changing the fiscal year-end of the Fund from December 31 to November 30.

(b)

Based on average shares outstanding during the period.

(c)

Less than ($0.005) per share.

(d)

Total return is calculated assuming an initial investment made at the net assets value at the beginning of the period and redemption at the net asset value on the last day of the period, and assuming all distributions are reinvested at actual reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(e) 

Annualized.

(f)

Includes amount of current and deferred taxes/benefits for all components of the Statement of Operations.

(g)

Includes amount of current and deferred tax benefit associated with net investment loss.

(h)

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

12  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value          

 

 

Canadian Infrastructure (20.18%)

    

Energy (14.42%)

    

AltaGas, Ltd.

     14,245       $ 454,291     

Gibson Energy, Inc.

     23,759        457,183     

Inter Pipeline, Ltd.

     19,211        477,958     

Pembina Pipeline Corp.

     15,428        497,353     

Veresen, Inc.

     42,474        634,241     
    

 

 

 

Total Energy

       2,521,026     
    

 

 

 

Utilities (5.76%)

    

Emera, Inc.

     15,323        508,261     

Keyera Corp.

     15,134        498,342     
    

 

 

 

Total Utilities

       1,006,603     
    

 

 

 

Total Canadian Infrastructure
(Cost $4,027,262)

       3,527,629     
    

 

 

 

Canadian Master Limited Partnership Affiliates (10.02%)

    

Energy (10.02%)

    

Enbridge, Inc.

     18,547        887,082     

TransCanada Corp.

     19,958        865,018     
    

 

 

 

Total Energy

       1,752,100     
    

 

 

 

Total Canadian Master Limited Partnership Affiliates
(Cost $1,827,358)

       1,752,100     
    

 

 

 

Master Limited Partnerships (24.76%)

    

Energy (24.76%)

    

Buckeye Partners LP

     8,023        620,419     

Energy Transfer Partners LP

     10,737        603,741     

Enterprise Products Partners LP

     19,254        624,215     

EQT Midstream Partners LP

     7,649        639,992     

Magellan Midstream Partners LP

     7,693        613,286     

MarkWest Energy Partners LP

     9,531        615,988     

Western Gas Partners LP

     8,908        610,198     
    

 

 

 

Total Energy

                 4,327,839     
    

 

 

 

Total Master Limited Partnerships
(Cost $4,546,555)

       4,327,839     
    

 

 

 

U.S. Infrastructure (15.27%)

    

Utilities (15.27%)

    

Atmos Energy Corp.

     7,127        385,000     

CenterPoint Energy, Inc.

     18,045        367,577     

Dominion Resources, Inc.

     5,346        377,000     

DTE Energy Co.

     4,742        375,709     

NiSource, Inc.

     8,949        422,214     

OGE Energy Corp.

     11,759        370,408     

Questar Corp.

     16,334        370,782     
    

 

 

 

Total Utilities

       2,668,690     
    

 

 

 

Total U.S. Infrastructure
(Cost $2,696,654)

       2,668,690     
    

 

 

 

 

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Table of Contents
Alerian Energy Infrastructure ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description          Shares     Value          

 

 

Utilities (continued)

         2,668,690     
      

 

 

 

U.S. Master Limited Partnership Affiliates (29.36%)

      

Energy (29.36%)

      

EnLink Midstream LLC

       22,147       $ 733,287     

Kinder Morgan, Inc.

       18,433        764,785     

ONEOK, Inc.

       15,803        662,462     

Plains GP Holdings LP, Class A

       26,465        739,962     

Spectra Energy Corp.

       21,091        741,771     

Targa Resources Corp.

       7,535        692,843     

The Williams Cos., Inc.

       15,584        796,342     
      

 

 

 

Total Energy

         5,131,452     
      

 

 

 

Total U.S. Master Limited Partnership Affiliates
(Cost $5,689,278)

                     5,131,452     
      

 

 

 
    7 Day Yield      Shares    

 

Value        

 

 

 

Short Term Investments (0.08%)

      

Dreyfus Treasury Prime Cash Management, Institutional Class

    0.000%(a)                     14,412        14,412     
      

 

 

 

Total Short Term Investments
(Cost $14,412)

         14,412     
      

 

 

 

Total Investments (99.67%)
(Cost $18,801,519)

        $ 17,422,122     

Net Other Assets and Liabilities (0.33%)

         57,155     
      

 

 

 

Net Assets (100.00%)

        $ 17,479,277     
      

 

 

 

 

(a) 

Less than 0.0005%.

Common Abbreviations:

LLC - Limited Liability Company.

LP - Limited Partnership.

Ltd. - Limited.

 

See Notes to Financial Statements.

14  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $          17,422,122         

Receivable for investments sold

     34,390         

Dividends receivable

     33,002         

 

 

Total Assets

     17,489,514         

 

 

LIABILITIES:

  

Payable to adviser

     10,237         

 

 

Total Liabilities

     10,237         

 

 

NET ASSETS

   $ 17,479,277         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 18,408,952         

Accumulated net investment income

     135,191         

Accumulated net realized gain on investments and foreign currency transactions

     314,903         

Net unrealized depreciation on investments and translation of assets and liabilities denominated in foreign currencies

     (1,379,769)         

 

 

NET ASSETS

   $ 17,479,277         

 

 

INVESTMENTS, AT COST

   $ 18,801,519         

PRICING OF SHARES

  

Net Assets

   $ 17,479,277         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     650,002         

Net Asset Value, offering and redemption price per share

   $ 26.89         

 

See Notes to Financial Statements.

15  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Dividends

   $ 390,723         

Foreign taxes withheld

     (17,653)         

 

 

Total Investment Income

     373,070         

 

 

EXPENSES:

  

Investment adviser fees

     61,975         

 

 

Total Expenses

     61,975         

 

 

NET INVESTMENT INCOME

     311,095         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS):

  

Net realized gain on investments

     261,162         

Net realized loss on foreign currency transactions

     (1,259)         

 

 

Net realized gain

     259,903         

 

 

Net change in unrealized depreciation on investments

     (1,338,178)         

Net change in unrealized depreciation on translation of assets and liabilities denominated in foreign currencies

     (208)         

 

 

Net change in unrealized depreciation

     (1,338,386)         

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS AND FOREIGN CURRENCIES

     (1,078,483)         

 

 

NET DECREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $            (767,388)         

 

 

 

See Notes to Financial Statements.

16  |  May 31, 2015


Table of Contents
Alerian Energy Infrastructure ETF     

 

Statements of Changes in Net Assets

  

 

    

For the Six     

Months Ended  

May 31, 2015   

(Unaudited)    

    

For the                

Year Ended            

November 30, 2014     

 

 

 

OPERATIONS:

     

Net investment income

   $ 311,095       $ 290,233         

Net realized gain on investments and foreign currency transactions

     259,903         320,592         

Net change in unrealized depreciation on investments and translation of assets and liabilities denominated in foreign currencies

     (1,338,386)         (19,576)         

 

 

Net increase/(decrease) in net assets resulting from operations

     (767,388)         591,249         

 

 

DISTRIBUTIONS:

     

From net investment income

     (211,876)         (191,603)         

 

 

Total distributions

     (211,876)         (191,603)         

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     4,130,424         18,346,104         

Cost of shares redeemed

     (2,802,726)         (5,344,237)         

 

 

Net increase from share transactions

     1,327,698         13,001,867         

 

 

Net increase in net assets

     348,434         13,401,513         

NET ASSETS:

     

Beginning of period

     17,130,843         3,729,330         

 

 

End of period *

   $             17,479,277       $                 17,130,843         

 

 

*Including accumulated net investment income of:

   $ 135,191       $ 35,972         

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     600,002         150,002         

Shares sold

     150,000         650,000         

Shares redeemed

     (100,000)         (200,000)         

 

 

Shares outstanding, end of period

     650,002         600,002         

 

 

 

See Notes to Financial Statements.

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Table of Contents
Alerian Energy Infrastructure ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

    

For the       
Six Months    
Ended        

May 31, 2015  
(Unaudited)   

    

For the Year  

Ended        

  November 30,

2014         

    

For the Period    

November 1,    

2013            

(Commencement  

    of Operations) to  

November 30,   

2013            

 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $ 28.55            $ 24.86            $ 25.00          

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

        

Net investment income(a)

     0.44              0.85              0.06          

Net realized and unrealized gain/(loss)

     (1.80)              3.40              (0.20)          

 

 

Total from investment operations

     (1.36)              4.25              (0.14)          

 

 

DISTRIBUTIONS:

        

From net investment income

     (0.30)              (0.56)              –          

 

 

Total distributions

     (0.30)              (0.56)              –          

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

     (1.66)              3.69              (0.14)          

 

 

NET ASSET VALUE, END OF PERIOD

   $ 26.89            $ 28.55            $         24.86          

 

 

TOTAL RETURN(b)

     (4.79)%          17.12%          (0.56)%      

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000s)

   $            17,479            $           17,131            $ 3,729          

Ratio of expenses to average net assets

     0.65%(c)          0.65%          0.65%(c)      

Ratio of net investment income to average net assets

     3.26%(c)          2.98%          3.21%(c)      

Portfolio turnover rate(d)

     8%           27%           0%       

 

 

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net assets value at the beginning of the period and redemption at the net asset value on the last day of the period, and assuming all distributions are reinvested at actual reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c) 

Annualized.

(d) 

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Alerian Exchange Traded Funds     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consisted of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the Alerian MLP ETF and the Alerian Energy Infrastructure ETF (each a “Fund” and collectively, the “Funds”).

The investment objective of the Alerian MLP ETF is to seek investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Alerian MLP Infrastructure Index. The investment objective of the Alerian Energy Infrastructure ETF is to seek investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Alerian Energy Infrastructure Index. The investment advisor uses a “passive” or indexing approach to try to achieve each Fund’s investment objective. Each Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

Each Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. Each Fund issues and redeems Shares at net asset value (“NAV”), in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. Each Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

Each Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern Time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

The Funds’ investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Funds may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Funds’ NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general

 

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Alerian Exchange Traded Funds     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

B. Fair Value Measurements

Each Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

Valuation techniques used to value the Funds’ investments by major category are as follows:

Equity securities, including restricted securities, and Limited Partnerships for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Funds’ investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –  

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –  

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –  

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value each Fund’s investments at May 31, 2015:

Alerian MLP ETF

 

Investments in Securities at Value*   Level 1- Unadjusted
Quoted Prices
    Level 2- Other
Significant
Observable Inputs
    Level 3- Significant
Unobservable
Inputs
    Total  

 

 

Master Limited Partnerships

    $    9,883,894,302            $                           –             $                        –            $    9,883,894,302     

Short Term Investments

    3,469,006                                    –                                     –            3,469,006     

 

 

TOTAL

    $    9,887,363,308            $                           –             $                        –            $    9,887,363,308     

 

 

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Alerian Energy Infrastructure ETF

 

Investments in Securities at Value*   Level 1- Unadjusted
Quoted Prices
    Level 2- Other
Significant
Observable Inputs
    Level 3- Significant
Unobservable
Inputs
    Total  

 

 

Canadian Infrastructure

    $            3,527,629            $                           –             $                        –            $            3,527,629     

Canadian Master Limited Partnership Affiliates

    1,752,100            –             –            1,752,100     

Master Limited Partnerships

    4,327,839            –             –            4,327,839     

U.S. Infrastructure

    2,668,690            –             –            2,668,690     

U.S. Master Limited Partnership Affiliates

    5,131,452            –             –            5,131,452     

Short Term Investments

    14,412            –             –            14,412     

 

 

TOTAL

    $          17,422,122            $                           –             $                        –            $          17,422,122     

 

 

 

*

For a detailed breakdown of sectors, see the accompanying Schedule of Investments.

Each Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Funds did not have any transfers between Level 1 and Level 2 securities. The Funds did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Foreign Currency Translation

The books and records of the Fund are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

D. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the last in, first out (“LIFO”) cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date, net of any foreign taxes withheld. Interest income, if any, is recorded on the accrual basis, including amortization of premiums and accretion of discounts.

E. Dividends and Distributions to Shareholders

Each Fund intends to declare and make quarterly distributions, or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Alerian Energy Infrastructure ETF, if any, are distributed at least annually. Distributions from net investment income and capital gains are determined in accordance with income tax regulations, which may differ from U.S. GAAP. These differences are primarily due to differing treatments of income and gains on various investment securities held by the Funds, timing differences and differing characterization of distributions made by the Funds.

Distributions received from each Fund’s investments in Master Limited Partnerships (“MLPs”) may be comprised of both income and return of capital. Each Fund records investment income and return of capital based on estimates made at the time such distributions are received. Such estimates are based on historical information available from each MLP and other industry sources. These estimates may subsequently be revised based on information received from MLPs after their tax reporting periods are concluded. For the six months ended May 31, 2015, the Alerian MLP ETF distributed $316,775,690 of which 35% is anticipated to be characterized as return of capital from MLP distributions received.

The Alerian MLP ETF also expects a portion of the distributions it receives from MLPs to be treated as a tax deferred return of capital, thus reducing the Alerian MLP ETF’s current tax liability. Return of capital distributions are not taxable income to the shareholder, but reduce the investor’s tax basis in the investor’s Fund Shares. Such a reduction in tax basis will result in larger taxable gains and/or lower tax losses on a subsequent sale of Fund Shares. Shareholders who periodically receive the payment of dividends or other distributions consisting of a return of capital may be under the impression that they are receiving net profits from the Funds when, in fact, they are not. Shareholders should not assume that the source of the distributions is from the net profits of the Funds.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

F. Federal Income Taxation and Tax Basis Information

Alerian MLP ETF

The Alerian MLP ETF is taxed as a regular C-corporation for federal income tax purposes. Currently, the maximum marginal regular federal income tax rate for a corporation is 35 percent. The Fund may be subject to a 20 percent federal alternative minimum tax on its federal alternative taxable income to the extent that its alternative minimum tax exceeds its regular federal income tax. This differs from most investment companies, which elect to be treated as “regulated investment companies” under the Code in order to avoid paying entity level income taxes. Under current law, the Fund is not eligible to elect treatment as a regulated investment company due to its investments primarily in MLPs invested in energy assets. As a result, the Fund will be obligated to pay applicable federal and state corporate income taxes on its taxable income as opposed to most other investment companies which are not so obligated. The Fund expects that a portion of the distributions it receives from MLPs may be treated as a tax-deferred return of capital, thus reducing the Fund’s current tax liability. However, the amount of taxes currently paid by the Fund will vary depending on the amount of income and gains derived from investments and/or sales of MLP interests and such taxes will reduce your return from an investment in the Fund.

Cash distributions from MLPs to the Fund that exceed such Fund’s allocable share of such MLP’s net taxable income are considered a tax-deferred return of capital that will reduce the Fund’s adjusted tax basis in the equity securities of the MLP. These reductions in such Fund’s adjusted tax basis in the MLP equity securities will increase the amount of gain (or decrease the amount of loss) recognized by the Fund on a subsequent sale of the securities. The Fund will accrue deferred income taxes for any future tax liability associated with (i) that portion of MLP distributions considered to be a tax-deferred return of capital as well as (ii) capital appreciation of its investments. Upon the sale of an MLP security, the Fund may be liable for previously deferred taxes. The Fund’s accrued deferred tax liability will be reflected each day in the Fund’s NAV. Increases in deferred tax liability will decrease NAV. Conversely, decreases in deferred liability will increase NAV. The Fund will rely to a large extent on information provided by the MLPs, which is not necessarily timely, to estimate deferred tax liability for purposes of financial statement reporting and determining the NAV. From time to time, ALPS Advisors, Inc. will modify the estimates or assumptions related to the Fund’s deferred tax liability as new information becomes available. The Fund’s estimates regarding its deferred tax liability are made in good faith, however, the daily estimate of the Fund’s deferred tax liability used to calculate the Fund’s NAV could vary significantly from the Fund’s actual tax liability. The Fund will generally compute deferred income taxes based on the federal income tax rate applicable to corporations currently 35% and an assumed rate attributable to state taxes.

The Fund recognizes interest and penalties related to unrecognized tax benefits within the income tax expense line in the accompanying statement of operations. Accrued interest and penalties are included within the related tax liability line in the balance sheet.

Since the Fund will be subject to taxation on its taxable income, the NAV of Fund shares will also be reduced by the accrual of any deferred tax liabilities. The Underlying Index however is calculated without any deductions for taxes. As a result, the Fund’s after tax performance could differ significantly from the Underlying Index even if the pretax performance of the Fund and the performance of the Underlying Index are closely correlated.

The Fund’s income tax expense/(benefit) consists of the following:

 

Alerian MLP ETF    Period ended May 31, 2015  

 

 
     Current           Deferred      Total    

 

 

Federal

     $                                         –            $                      (273,980,562)           $                (273,980,562)           

State

                (15,133,597)           (15,133,597)           

 

 

Total tax benefit

     $                                         –            $                      (289,114,159)           $                (289,114,159)           

 

 

Deferred income taxes reflect the net tax effect of temporary differences between the carrying amount of assets and liabilities for financial reporting and tax purposes.

Components of the Fund’s deferred tax assets and liabilities are as follows:

 

Alerian MLP ETF   As of May 31, 2015              As of November 30, 2014      

 

 

Deferred tax assets:

   

Accrued franchise taxes

    $                                       –        $                          201,812           

Charitable contribution carryforward

    290,890        180,987           

Income recognized from MLP investments

                      139,269,117                          103,261,310           

Credit for prior year minimum tax

    331,761        331,761           

Federal net operating loss carryforward

    391,388,899        174,838,187           

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Alerian MLP ETF    As of May 31, 2015           As of November 30, 2014      

 

 

Less Deferred tax liabilities:

       

Accrued franchise taxes

     (21,293)           –           

Net unrealized gain on investment securities

     (1,244,536,312)           (1,268,231,136)           

State taxes, net of federal benefit

     (34,820,702)           (49,954,299)           

Other

     (2,159,579)           –           

 

 

Net Deferred tax liability

     $              (750,257,219)           $            (1,039,371,378)           

 

 

The net operating loss carryforward is available to offset future taxable income. The net operating loss can be carried forward for 20 years and, accordingly, would begin to expire as of November 30, 2032. The Fund has net operating loss carryforwards for federal income tax purposes as follows:

 

Alerian MLP ETF            Period-Ended                    Amount        Expiration    

 

Federal

   11/30/2012        $                         92,112,756         11/30/2032  

Federal

   11/30/2013        349,770,934         11/30/2033  

Federal

   11/30/2014        63,476,915         11/30/2034  

Federal

   11/30/2015        612,893,392         11/30/2035  

 

Total tax expense

          $                    1,118,253,997          

 

 

The Fund also has state tax net operating loss carryforwards of various amounts per state. The Deferred Tax Assets associated with these state tax net operating losses are as follows:

 

Alerian MLP ETF    Period-Ended            Amount        Expiration    

 

State

   11/30/2012        $                           2,950,477         Varies by State (5-20 years)  

State

   11/30/2013        10,853,441         Varies by State (5-20 years)  

State

   11/30/2014        1,108,430         Varies by State (5-20 years)  

State

   11/30/2015        11,951,421         Varies by State (5-20 years)  

 

Total tax expense

          $                         26,863,769          

 

Although the Fund currently has a net deferred tax liability, it reviews the recoverability of its deferred tax assets based upon the weight of available evidence. When assessing the recoverability of its deferred tax assets, significant weight was given to the effects of potential future realized and unrealized gains on investments and the period over which these deferred tax assets can be realized. Currently, any capital losses that may be generated by the Fund in the future are eligible to be carried back up to three years and can be carried forward for five years to offset capital gains recognized by the fund in those years. For Federal Tax purposes, net operating losses that may be generated by the Fund in the future are eligible to be carried back up to two years and can be carried forward for 20 years to offset income generated by the Fund in those years.

Based upon the Fund’s assessment, it has determined that it is more likely than not that its deferred tax assets will be realized through future taxable income of the appropriate character. Accordingly, no valuation allowance has been established for the Fund’s deferred tax assets. The Fund will continue to assess the need for a valuation allowance in the future. Significant declines in the fair value of its portfolio of investments may change the Fund’s assessment of the recoverability of these assets and may result in the recording of a valuation allowance against all or a portion of the Fund’s gross deferred tax assets.

As of May 31, 2015 the Total income tax benefit (current and deferred) differs from the amount computed by applying the federal statutory income tax rate of 35% to net investment and realized and unrealized gain/(losses) on investment before taxes as follows:

 

Alerian MLP ETF    As of May 31, 2015    

 

 

Income tax expense at statutory rate

     $                    (273,799,280)           

State income tax benefit (net of federal benefit)

     (15,254,531)           

Permanent differences, net

     (2,216,774)           

Change in estimated state deferral rate

     14,061           

Other

     2,142,365           

 

 

Net income tax benefit

     $                    (289,114,159)           

 

 

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

The following is a tabular reconciliation of the total amounts of unrecognized tax benefits:

 

Alerian MLP ETF    Inception to May 31, 2015          

 

 

Unrecognized tax benefit - Beginning

   $                                               –           

Gross increases - tax positions in prior period

     –           

Gross decreases - tax positions in prior period

     –           

Gross increases - tax positions in current period

     –           

Settlement

     –           

Lapse of statute of limitations

     –           

 

 

Net income tax expense

   $                                               –           

 

 

The Fund recognizes interest accrued related to unrecognized tax benefits and penalties as income tax expense. For the period from inception to May 31, 2015, the Fund had no accrued penalties or interest.

The Fund recognizes the tax benefits of uncertain tax positions only where the position is “more likely than not” to be sustained assuming examination by tax authorities. Management has analyzed the Fund’s tax positions, and has concluded that no liability for unrecognized tax benefits should be recorded related to uncertain tax positions taken on U.S. tax returns and state tax returns filed since inception of the fund. Currently, the tax period ending November 30, 2011 is under examination by the Internal Revenue Service. Tax periods for open years; November, 30, 2010 thru November 30, 2015, remain subject to examination by tax authorities in the United States. Due to the nature of the Fund’s investments, the Fund may be required to file income tax returns in several states. The Fund is not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax benefits will change materially in the next 12 months.

Alerian Energy Infrastructure ETF

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

No provision for income taxes is included in the accompanying financial statements, as the Alerian Energy Infrastructure ETF intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Alerian Energy Infrastructure ETF evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the period ended May 31, 2015, the Alerian Energy Infrastructure ETF did not have a liability for any unrecognized tax benefits. The Alerian Energy Infrastructure ETF files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

At November 30, 2014, the Fund had available for tax purposes unused capital loss carryforwards as follows:

 

     Short-Term        Long-Term  

 

 

Alerian Energy Infrastructure ETF

   $                 41,326       $                       –       

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

     Ordinary Income              Long-Term Capital Gain          Return of Capital  

 

 

November 30, 2014

            

Alerian Energy Infrastructure ETF

     $                        191,603             $                                       –             $                                   –           

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

As of May 31, 2015, the costs of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

                                       
     Alerian MLP ETF     Alerian Energy
Infrastructure ETF 
 

 

 

Cost of investments for income tax purposes

     $     6,711,910,688       $         18,546,713         

 

 

Gross appreciation (excess of value over tax cost)

     $     3,568,944,963       $              499,585         

Gross depreciation (excess of tax cost over value)

     (393,492,343)         (1,624,176)         

 

 

Net unrealized appreciation (depreciation)

     $     3,175,452,620       $         (1,124,591)         

 

 

The difference between cost amounts for financial statement purposes is due primarily to the recognition of pass-through income from a Fund’s investments in master limited partnerships.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as each Fund’s investment adviser pursuant to advisory agreements with the Trust on behalf of each Fund (the “Advisory Agreements”). Pursuant to the Advisory Agreements, each Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis as a percentage of the relevant Fund’s average daily net assets as set out below.

 

Fund         Advisory Fee              

 

Alerian MLP ETF

   0.85%    up to an including $10 billion
   0.80%    greater than $10 billion up to an including $15 billion
   0.755%    greater than $15 billion up to and including $20 billion
   0.715%    greater than $20 billion

Alerian Energy Infrastructure ETF

   0.65%   

Out of the unitary management fees, the Adviser pays substantially all expenses of the Funds, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for taxes, interest expenses, distribution fees or expenses, brokerage expenses, and extraordinary expenses such as litigation, and other expenses not incurred in the ordinary course of the each Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all the Funds’ expenses and to compensate the Adviser for providing services for each Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Funds.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

Fund          Purchases      Sales    

 

 

Alerian MLP ETF

     $  1,259,704,141         $  1,602,098,466           

Alerian Energy Infrastructure ETF

     1,615,634         1,544,361           

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund          Purchases      Sales    

 

 

Alerian MLP ETF

     $     879,339,128         $                       –           

Alerian Energy Infrastructure ETF

     4,130,876         2,801,258           

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. MASTER LIMITED PARTNERSHIPS

 

MLPs are publicly traded partnerships engaged in, among other things, the transportation, storage and processing of minerals and natural resources, and are treated as partnerships for U.S. federal income tax purposes. By confining their operations to these specific activities, their interests, or units, are able to trade on public securities exchanges exactly like the shares of a corporation, without entity level taxation To qualify as a MLP and to not be taxed as a corporation, a partnership must receive at least 90% of its income from qualifying sources as set forth in Section 7704(d) of the Internal Revenue Code of 1986, as amended (the “Code”). These qualifying sources include, among other things, natural resource-based activities such as the processing, transportation and storage of mineral or natural resources. MLPs generally have two classes of owners, the general partner and limited partners. The general partner of an MLP is typically owned by a major energy company, an investment fund, the direct management of the MLP, or is an entity owned by one or more of such parties. The general partner may be structured as a private or publicly traded corporation or other entity. The general partner typically controls the operations and management of the MLP through an up to 2% equity interest in the MLP plus, in many cases, ownership of common units and subordinated units. Limited partners typically own the remainder of the partnership, through ownership of common units, and have a limited role in the partnership’s operations and management.

MLPs are typically structured such that common units and general partner interests have first priority to receive quarterly cash distributions up to an established minimum amount (“minimum quarterly distributions” or “MQD”). Common and general partner interests also accrue arrearages in distributions to the extent the MQD is not paid. Once common and general partner interests have been paid, subordinated units receive distributions of up to the MQD; however, subordinated units do not accrue arrearages. Distributable cash in excess of the MQD is paid to both common and subordinated units and is distributed to both common and subordinated units generally on a pro rata basis. The general partner is also eligible to receive incentive distributions if the general partner operates the business in a manner which results in distributions paid per common unit surpassing specified target levels. As the general partner increases cash distributions to the limited partners, the general partner receives an increasingly higher percentage of the incremental cash distributions.

6. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by each Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Funds. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of each Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

7. SUBSEQUENT EVENTS

 

The Funds have evaluated the need for disclosures and/or adjustments resulting from subsequent events through the date the financial statements were issued. Based on this evaluation, no adjustments were required to the financial statements as of May 31, 2015. However, the following are details relating to the subsequent events through the date the financial statements were issued.

The following information applies to the Alerian Energy Infrastructure ETF (the “Fund”) only:

Alerian, the index provider for the Alerian Energy Infrastructure Index, announced certain changes to the Underlying Index. Accordingly, effective July 1, 2015, the prospectus for the Fund was modified.

 

26  |  May 31, 2015


Table of Contents
Alerian Exchange Traded Funds     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income               Dividend Received Deduction     

 

Alerian Energy Infrastructure ETF

   100.00%           58.77%   

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENTS

 

Alerian (the “Licensor”) has entered into an index licensing agreement with ALPS Advisors Inc. (the “Advisor”) with respect to each of the Alerian MLP ETF and the Alerian Energy Infrastructure ETF, to allow the Adviser’s use of AMZI and AMEI. The following disclosure relates to the Licensor:

Alerian is the designer of the construction and methodology for the underlying index (each an “Underlying Index”) for each of the Alerian MLP ETF and the Alerian Energy Infrastructure ETF (each a “Fund” and collectively, the “Funds”). “Alerian,” “Alerian MLP Infrastructure Index,” “Alerian Energy Infrastructure Index,” “Alerian Index Series” and “AMZI” are service marks or trademarks of Alerian. Alerian acts as brand licensor for each Underlying Index. Alerian is not responsible for the descriptions of either Underlying Index or the Funds that appear herein. Alerian is not affiliated with the Trust, the Adviser or the Distributor.

Neither Fund is issued, sponsored, endorsed, sold or promoted by Alerian (“Licensor”) or its affiliates. Licensor makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities generally or in the Fund particularly or the ability of the Alerian MLP Infrastructure Index (“Index”) to track general market performance. Licensor’s only relationship to the Licensee is the licensing of the Index which is determined, composed and calculated by Licensor without regard to the Licensee or the Fund. Licensor has no obligation to take the needs of the Licensee or the owners of the Fund into consideration in determining, composing or calculating the Index. Licensor is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Fund to be issued or in the determination or calculation of the equation by which the Fund is to be converted into cash. Licensor has no obligation or liability in connection with the issuance, administration, marketing or trading of either Fund and is not responsible for and has not participated in the determination of pricing or the timing of the issuance or sale of the Shares of either Fund or in the determination or calculation of the NAV of the relevant Fund. Alerian MLP Infrastructure Index, Alerian MLP Infrastructure Total Return Index, AMZI and AMZIX are trademarks of GKD Index Partners, LLC and their general use is granted under a license from GKD Index Partners, LLC.

LICENSOR DOES NOT GUARANTEE THE QUALITY, ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND SHALL HAVE NO LIABILITY FOR ERRORS OR OMISSIONS OF ANY KIND RELATED TO THE INDEX OR DATA. LICENSOR MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN IN CONNECTION WITH THE RIGHTS LICENSED TO LICENSEE OR FOR ANY OTHER USE. LICENSOR MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND HEREBY EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL LICENSOR HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

 

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Alerian Exchange Traded Funds     

 

Additional Information

   May 31, 2015 (Unaudited)

 

The Adviser does not guarantee the accuracy and/or the completeness of either Underlying Index or any data included therein, and the Adviser shall have no liability for any errors, omissions or interruptions therein. The Adviser makes no warranty, express or implied, as to results to be obtained by either Fund, owners of the Shares of the relevant Fund or any other person or entity from the use of either Underlying Index or any data included therein. The Adviser makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to either Underlying Index or any data included therein. Without limiting any of the foregoing, in no event shall the Adviser have any liability for any special, punitive, direct, indirect, or consequential damages (including lost profits) arising out of matters relating to the use of either Underlying Index, even if notified of the possibility of such damages.

(Applicable to the Alerian Energy Infrastructure ETF only)

The Underlying Index is the exclusive property of GKD Index Partners LLC d/b/a Alerian, which has contracted with S&P Opco, LLC (a subsidiary of S&P Dow Jones Indices LLC) (“S&P Dow Jones Indices”) to calculate and maintain the Underlying Index. S&P® is a registered trademark of Standard & Poor’s Financial Services LLC (“SPFS”); Dow Jones® is a registered trademark of Dow Jones Trademark Holdings LLC (“Dow Jones”); and these trademarks have been licensed to S&P Dow Jones Indices. “Calculated by S&P Dow Jones Indices” and its related stylized mark(s) have been licensed for use by Alerian.

The Fund is not sponsored, endorsed, sold or promoted by S&P Dow Jones Indices, SPFS, Dow Jones or any of their affiliates (collectively, “S&P Dow Jones Indices Entities”). S&P Dow Jones Indices Entities do not make any representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities generally or in the Fund particularly or the ability of the Underlying Index to track general market performance. S&P Dow Jones Indices Entities only relationship to Alerian with respect to the Underlying Index is the licensing of certain trademarks, service marks and trade names of S&P Dow Jones Indices Entities and for the providing of calculation and maintenance services related to the Underlying Index. S&P Dow Jones Indices Entities are not responsible for and have not participated in the determination of the prices and amount of the Fund or the timing of the issuance or sale of the Fund or in the determination or calculation of the equation by which the Fund is to be converted into cash. S&P Dow Jones Indices Entities have no obligation or liability in connection with the administration, marketing or trading of the Fund. S&P Dow Jones Indices LLC is not an investment advisor. Inclusion of a security within the Underlying Index is not a recommendation by S&P Dow Jones Indices Entities to buy, sell, or hold such security, nor is it considered to be investment advice.

S&P DOW JONES INDICES ENTITIES DO NOT GUARANTEE THE ADEQUACY, ACCURACY, TIMELINESS AND/OR THE COMPLETENESS OF THE UNDERLYING INDEX OR ANY DATA RELATED THERETO OR ANY COMMUNICATION, INCLUDING BUT NOT LIMITED TO, ORAL OR WRITTEN COMMUNICATION (INCLUDING ELECTRONIC COMMUNICATIONS) WITH RESPECT THERETO. S&P DOW JONES INDICES ENTITIES SHALL NOT BE SUBJECT TO ANY DAMAGES OR LIABILITY FOR ANY ERRORS, OMISSIONS, OR DELAYS THEREIN. S&P DOW JONES INDICES ENTITIES MAKE NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES, OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE OR AS TO RESULTS TO BE OBTAINED BY ALERIAN, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE UNDERLYING INDEX OR WITH RESPECT TO ANY DATA RELATED THERETO. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT WHATSOEVER SHALL S&P DOW JONES INDICES ENTITIES BE LIABLE FOR ANY INDIRECT, SPECIAL, INCIDENTAL, PUNITIVE, OR CONSEQUENTIAL DAMAGES INCLUDING BUT NOT LIMITED TO, LOSS OF PROFITS, TRADING LOSSES, LOST TIME OR GOODWILL, EVEN IF THEY HAVE BEEN ADVISED OF THE POSSIBILITY OF SUCH DAMAGES, WHETHER IN CONTRACT, TORT, STRICT LIABILITY, OR OTHERWISE.

 

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Table of Contents

 

 

SEMI-ANNUAL REPORT | May 31, 2015

 

 

 

This report has been prepared for shareholders of the ETFs described herein and

may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETFs.

 

 

 


Table of Contents

LOGO             

May 31, 2015          

 

LOGO

ALPS STOXX Europe 600 ETF (NYSE ARCA: STXX)

An ALPS Advisors Solution

 

 

LOGO             


Table of Contents

table of

CONTENTS

 

Performance Overview

 

 

    1   

Disclosure of Fund Expenses

 

 

    3   

Schedule of Investments

 

 

    4   

Statement of Assets & Liabilities

 

 

    12   

Statement of Operations

 

 

    13   

Statements of Changes In Net Assets

 

 

    14   

Financial Highlights

 

 

    15   

Notes to Financial Statements

 

 

    16   

Additional Information

 

 

    21   

 

www.alpsfunds.com


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The Fund employs a “passive management” – or indexing – investment approach designed to seek investment results that correspond (before fees and expenses) generally to the performance of the STOXX® Europe 600 Index (the “Underlying Index”).

The Underlying Index, compiled by STOXX, is a fixed component benchmark index that consists of the 600 largest developed market stocks of the STOXX Europe Total Market Index, which is an aggregate of the STOXX Total Market country indices representing certain developed market countries within Europe. These countries include Austria, Belgium, Czech Republic, Denmark, Finland, France, Germany, Greece, Ireland, Italy, Luxembourg, Netherlands, Norway, Portugal, Spain, Sweden, Switzerland and the United Kingdom. Each Country Index aims to represent a broad market by covering 95% of the free-float market capitalization of the applicable country.

Fund Performance (as of May 31, 2015)

 

     6 Months   Since Inception^

 

ALPS STOXX Europe 600 ETF – NAV

  3.52%   7.40%

 

ALPS STOXX Europe 600 ETF – Market Price*

  2.79%   8.37%

 

STOXX® Europe 600 Net Index USD

  3.08%   7.08%

 

STOXX® Europe 600 Price Index USD

  1.27%   5.03%

Total Expense Ratio (per the current prospectus) 0.25%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.855.299.4056.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

 

Free-float methodology market capitalization is calculated by taking the equity’s price and multiplying it by the number of shares readily available in the market.

 

^

The Fund commenced investment operations on October 31, 2014. Total return for a period of less than one year is not annualized. The index inception date is June 15, 1998.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

STOXX® Europe 600 Index is derived from the STOXX Europe Total Market Index and is a subset of the STOXX Global 1800 Index. With a fixed number of 600 components, the Underlying Index represents large, mid and small capitalization companies across 18 countries of the European region: Austria, Belgium, Czech Republic, Denmark, Finland, France, Germany, Greece, Ireland, Italy, Luxembourg, the Netherlands, Norway, Portugal, Spain, Sweden, Switzerland and the United Kingdom.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Fund is subject to foreign investing risks including currency fluctuations and political uncertainty. Small-cap and mid-cap companies generally will have greater volatility in price than stocks of large companies. Investments concentrated in certain regions, economies, countries, markets, industries or sectors generally will be more volatile.

The Fund is a new product with a limited operating history.

The Fund’s shares are not individually redeemable. Investors buy and sell shares of the Fund on a secondary market. Only market makers or “authorized participants” may trade directly with the Fund, typically in blocks of 50,000 shares.

The ALPS STOXX Europe 600 ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the distributor for the ALPS STOXX Europe 600 ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with STOXX Limited, Zurich, Switzerland.

 

1  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top Ten Holdings* (as of May 31, 2015)

 

      

Sector Allocation* (as of May 31, 2015)

 

Novartis AG

    2.86%        LOGO

Nestle SA

    2.70%       

Roche Holding AG

    2.24%       

HSBC Holdings PLC

    1.98%       

BP PLC

    1.36%       

TOTAL SA

    1.30%       

Sanofi

    1.29%       

Bayer AG

    1.26%       

Royal Dutch Shell PLC, A Shares

    1.24%       

GlaxoSmithKline PLC

    1.17%       

Top Ten Holdings

          17.40%       

 

*

% of Total Investments.

Holdings and sector allocations are subject to change.

Growth of $10,000 (as of May 31, 2015)

Comparison of change in value of a $10,000 investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

                                                                                                   
    Beginning Account     Ending Account           Expenses Paid  
    Value     Value     Expense     During Period  
     12/1/14     5/31/15     Ratio(a)     12/1/14 - 5/31/15(b)  

 ALPS STOXX Europe 600 ETF

       

Actual

    $1,000.00                  $1,035.20              0.25%                  $1.27               

Hypothetical (5% return before expenses)

    $1,000.00                  $1,023.68              0.25%                  $1.26               

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

 

3  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

COMMON STOCKS (98.66%)

    

Australia (0.48%)

    

BHP Billiton PLC

   1,509    $ 31,816     
    

 

 

 

Total Australia

       31,816     
    

 

 

 

Austria (0.34%)

    

ams AG

   45     2,677     

ANDRITZ AG

   51     3,153     

Erste Group Bank AG(a)

   219     6,354     

IMMOFINANZ AG(a)

   682     1,816     

OMV AG

   104     2,953     

Raiffeisen Bank International AG

   85     1,307     

Vienna Insurance Group AG Wiener Versicherung Gruppe

   30     1,140     

voestalpine AG

   80     3,327     
    

 

 

 

Total Austria

       22,727     
    

 

 

 

Belgium (1.88%)

    

Ackermans & van Haaren NV

   15     2,049     

Ageas

   148     5,543     

Anheuser-Busch InBev NV

   554     66,596     

Belgacom SA

   100     3,473     

bpost SA

   70     2,020     

Cofinimmo SA, REIT

   15     1,579     

Colruyt SA

   45     2,024     

Delhaize Group SA

   75     6,694     

Groupe Bruxelles Lambert SA

   60     4,990     

KBC Groep NV

   181     12,136     

Solvay SA

   43     5,951     

Telenet Group Holding NV(a)

   35     1,902     

UCB SA

   94     6,721     

Umicore SA

   68     3,340     
    

 

 

 

Total Belgium

               125,018     
    

 

 

 

Bermuda (0.09%)

    

Hiscox, Ltd.

   210     2,738     

Seadrill, Ltd.

   257     3,099     
    

 

 

 

Total Bermuda

       5,837     
    

 

 

 

Czech Republic (0.08%)

    

CEZ a.s.

   119     2,963     

Komercni banka a.s.

   10     2,147     
    

 

 

 

Total Czech Republic

       5,110     
    

 

 

 

Denmark (2.56%)

    

AP Moller-Maersk A/S, Class B(a)

   5     9,643     

Carlsberg A/S, Class B

   75     6,895     

Chr. Hansen Holding A/S

   70     3,417     

Coloplast A/S, B Shares

   85     6,419     

Danske Bank A/S(a)

   494     14,494     

DSV A/S

   129     4,486     

FLSmidth & Co. A/S

   35     1,739     

Genmab A/S(a)

   32     2,810     

GN Store Nord A/S

   119     2,572     

ISS A/S

   69     2,370     

Jyske Bank A/S(a)

   50     2,411     

Novo Nordisk A/S, Class B

   1,397     78,007     

Novozymes A/S, B Shares

   155     7,455     
Security Description    Shares   Value      

 

 

Denmark (continued)

    

Pandora A/S(a)

   83    $ 8,346     

Sydbank A/S

   55     2,132     

TDC A/S

   584     4,367     

Topdanmark A/S(a)

   59     1,617     

Tryg A/S

   97     1,938     

Vestas Wind Systems A/S

   160     8,169     

William Demant Holding A/S(a)

   20     1,647     
    

 

 

 

Total Denmark

               170,934     
    

 

 

 

Finland (1.35%)

    

Amer Sports OYJ

   85     2,166     

Elisa OYJ

   110     3,377     

Fortum OYJ

   315     5,992     

Huhtamaki OYJ

   66     2,223     

Kesko OYJ, B Shares

   50     1,870     

Kone OYJ, B Shares

   275     11,528     

Metso OYJ

   80     2,304     

Neste Oil OYJ

   94     2,381     

Nokia OYJ

   2,606     19,019     

Nokian Renkaat OYJ

   95     3,065     

Orion OYJ, Class B

   70     2,337     

Outokumpu OYJ(a)

   210     1,143     

Sampo OYJ, A Shares

   354     16,672     

Stora Enso OYJ, R Shares

   410     4,289     

UPM-Kymmene OYJ

   384     6,887     

Wartsila OYJ Abp

   110     4,915     
    

 

 

 

Total Finland

       90,168     
    

 

 

 

France (14.69%)

    

Accor SA

   130     7,124     

Aeroports de Paris

   25     3,093     

Air France-KLM(a)

   180     1,491     

Air Liquide SA

   249     32,079     

Airbus Group NV

   414     28,191     

Alcatel-Lucent(a)

   2,026     8,106     

Alstom SA(a)

   159     4,978     

Arkema SA

   46     3,417     

Atos

   55     4,230     

AXA SA

   1,500     37,751     

BNP Paribas SA

   814     49,108     

Bollore SA

   700     3,995     

Bouygues SA

   190     7,481     

Bureau Veritas SA

   155     3,552     

Cap Gemini SA

   115     9,981     

Carrefour SA(a)

   449     15,240     

Casino Guichard Perrachon SA

   40     3,140     

Christian Dior SE

   40     8,031     

Cie de Saint-Gobain

   364     16,963     

Cie Generale des Etablissements Michelin

   135     14,467     

CNP Assurances

   109     1,802     

Credit Agricole SA

   808     12,065     

Danone SA

   430     29,531     

Dassault Systemes

   95     7,426     

Edenred

   145     3,663     

Eiffage SA

   55     3,211     
 

 

4  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

France (continued)

    

Electricite de France SA

   209    $ 5,137     

Essilor International SA

   155     18,922     

Eurazeo SA

   31     2,077     

Eutelsat Communications SA

   106     3,610     

Faurecia

   34     1,530     

Fonciere Des Regions, REIT

   20     1,762     

GDF Suez

   1,156             23,329     

Gecina SA, REIT

   25     3,285     

Groupe Eurotunnel SA

   334     5,031     

Havas SA

   66     541     

Hermes International

   16     6,250     

ICADE, REIT

   25     1,949     

Iliad SA

   17     3,853     

Imerys SA

   25     1,871     

Ingenico Group

   46     5,706     

JCDecaux SA

   50     2,040     

Kering(a)

   55     9,662     

Klepierre, REIT

   114     5,065     

Lafarge SA

   135     9,531     

Lagardere SCA

   75     2,273     

Legrand SA

   190     10,693     

L’Oreal SA

   175     33,049     

LVMH Moet Hennessy Louis Vuitton SE

   195     34,727     

Natixis SA

   633     4,746     

Neopost SA

   25     1,188     

Numericable-SFR SAS(a)

   74     4,269     

Orange SA

   1,383     21,812     

Orpea

   26     1,832     

Pernod Ricard SA

   150     18,542     

Peugeot SA(a)

   325     6,782     

Publicis Groupe SA

   141     11,275     

Remy Cointreau SA

   15     1,082     

Renault SA

   150     15,573     

Rexel SA

   198     3,632     

Rubis SCA

   25     1,693     

Safran SA

   234     16,553     

Sanofi

   879     86,066     

Schneider Electric SE

   420     31,727     

SCOR SE

   129     4,420     

SEB SA

   20     1,772     

Societe BIC SA

   20     3,296     

Societe Generale SA

   594     27,743     

Societe Television Francaise 1

   85     1,435     

Sodexo SA

   70     7,220     

Suez Environnement Co.

   238     4,590     

Technip SA

   79     5,214     

Teleperformance

   40     2,946     

Thales SA

   70     4,354     

TOTAL SA

   1,722     86,951     

Unibail-Rodamco SE, REIT

   70     17,979     

Valeo SA

   55     8,780     

Vallourec SA

   85     2,101     

Veolia Environnement SA

   324     6,731     

Vinci SA

   372     22,095     

Vivendi SA

   913     23,254     
Security Description    Shares   Value      

 

 

France (continued)

    

Wendel SA

   24    $ 3,059     

Zodiac Aerospace

   173     6,311     
    

 

 

 

Total France

       979,032     
    

 

 

 

Germany (12.00%)

    

Aareal Bank AG

   39     1,547     

adidas AG

   150     11,784     

Allianz SE

   329     51,581     

Axel Springer SE

   30     1,634     

BASF SE

   660     61,035     

Bayer AG

   594     84,256     

Bayerische Motoren Werke AG

   230     25,438     

Beiersdorf AG

   70     6,336     

Bilfinger SE

   35     1,488     

Brenntag AG

   110     6,643     

Commerzbank AG(a)

   679     9,035     

Continental AG

   77     17,781     

Daimler AG

   708             66,313     

Deutsche Annington Immobilien SE

   218     6,893     

Deutsche Bank AG

   924     27,821     

Deutsche Boerse AG

   140     11,214     

Deutsche Euroshop AG

   35     1,692     

Deutsche Lufthansa AG(a)

   165     2,320     

Deutsche Post AG

   679     20,467     

Deutsche Telekom AG

   2,211     37,991     

Deutsche Wohnen AG

   195     4,750     

Dialog Semiconductor PLC(a)

   51     2,840     

Duerr AG

   14     1,431     

E.ON SE

   1,432     21,028     

Evonik Industries AG

   50     1,867     

Fraport AG Frankfurt Airport Services Worldwide

   25     1,641     

Freenet AG

   94     3,092     

Fresenius Medical Care AG & Co. KGaA

   155     13,241     

Fresenius SE & Co. KGaA

   285     18,133     

GEA Group AG

   129     6,263     

Gerresheimer AG

   24     1,369     

Hannover Rueck SE

   45     4,371     

HeidelbergCement AG

   100     8,112     

HUGO BOSS AG

   48     5,480     

Infineon Technologies AG

   813     10,599     

K+S AG

   131     4,269     

Kabel Deutschland Holding AG(a)

   15     2,026     

LANXESS AG

   65     3,607     

LEG Immobilien AG

   36     2,637     

Leoni AG

   25     1,626     

Linde AG

   125     24,005     

MAN SE

   25     2,584     

Merck KGaA

   95     10,159     

METRO AG

   105     3,644     

MorphoSys AG(a)

   20     1,468     

MTU Aero Engines AG

   39     3,721     

Muenchener Rueckversicherungs-Gesellschaft AG in Muenchen

   110     20,297     

OSRAM Licht AG

   64     3,373     
 

 

5  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

Germany (continued)

    

ProSiebenSat.1 Media AG

   159    $ 7,603     

Rheinmetall AG

   30     1,577     

RWE AG

   349     8,149     

SAP SE

   684     50,626     

Siemens AG

   567     59,646     

STADA Arzneimittel AG

   45     1,562     

Symrise AG

   90     5,729     

Telefonica Deutschland Holding AG

   374     2,068     

ThyssenKrupp AG

   314     8,318     

TUI AG

   342     6,058     

United Internet AG

   82     3,824     

Wirecard AG

   85     3,522     
    

 

 

 

Total Germany

               799,584     
    

 

 

 

Greece (0.08%)

    

Alpha Bank AE(a)

   3,096     1,136     

Hellenic Telecommunications Organization SA(a)

   175     1,553     

National Bank of Greece SA(a)

   1,088     1,386     

OPAP SA

   155     1,515     
    

 

 

 

Total Greece

       5,590     
    

 

 

 

Ireland (1.77%)

    

Bank of Ireland(a)

   17,084     6,530     

Beazley PLC

   425     1,932     

C&C Group PLC

   250     965     

CRH PLC

   585     16,397     

DCC PLC

   65     5,166     

Experian PLC

   744     14,169     

Glanbia PLC

   125     2,463     

Grafton Group PLC

   171     2,135     

Kerry Group PLC, Class A

   110     8,215     

Kingspan Group PLC

   101     2,305     

Paddy Power PLC

   31     2,749     

Ryanair Holdings PLC

   998     12,715     

Shire PLC

   430     37,034     

Smurfit Kappa Group PLC

   165     4,866     

XL Group PLC

   6     226     
    

 

 

 

Total Ireland

       117,867     
    

 

 

 

Italy (3.41%)

    

Assicurazioni Generali SpA

   963     18,625     

Atlantia SpA

   294     7,562     

Azimut Holding SpA

   75     2,128     

Banca Monte dei Paschi di Siena SpA(a)

   184     373     

Banca Popolare dell’Emilia Romagna SC

   345        2,986     

Banca Popolare di Milano Scarl

   2,984     3,089     

Banca Popolare di Sondrio Scarl

   325     1,562     

Banco Popolare SC(a)

   260     4,383     

Davide Campari-Milano SpA

   186     1,420     

Enel Green Power SpA

   1,108     2,097     

Enel SpA

   4,646     22,544     

Eni SpA

   1,932     34,778     

EXOR SpA

   70     3,484     

Finmeccanica SpA(a)

   290     3,848     
Security Description    Shares   Value      

 

 

Italy (continued)

    

Intesa Sanpaolo SpA

   10,133    $ 36,526     

Luxottica Group SpA

   135     9,089     

Mediaset SpA

   512     2,466     

Mediobanca SpA

   429     4,415     

Pirelli & C. SpA

   229     3,886     

Prysmian SpA

   145     3,273     

Saipem SpA(a)

   180     2,285     

Snam SpA

   1,514     7,489     

Telecom Italia SpA(a)

   7,502     9,195     

Terna Rete Elettrica Nazionale SpA

   1,014     4,833     

UniCredit SpA

   4,002     27,999     

Unione di Banche Italiane SCpA

   649     5,300     

UnipolSai SpA

   599     1,628     
    

 

 

 

Total Italy

               227,263     
    

 

 

 

Jersey (0.10%)

    

Phoenix Group Holdings

   160     2,093     

Randgold Resources, Ltd.

   65     4,704     
    

 

 

 

Total Jersey

       6,797     
    

 

 

 

Jordan (0.05%)

    

Hikma Pharmaceuticals PLC

   100     3,176     
    

 

 

 

Total Jordan

       3,176     
    

 

 

 

Luxembourg (0.49%)

    

Altice SA(a)

   61     7,939     

ArcelorMittal

   728     7,754     

Eurofins Scientific SE

   5     1,522     

RTL Group SA

   30     2,691     

SES SA

   230     8,144     

Tenaris SA

   335     4,849     
    

 

 

 

Total Luxembourg

       32,899     
    

 

 

 

Mexico (0.02%)

    

Fresnillo PLC

   134     1,555     
    

 

 

 

Total Mexico

       1,555     
    

 

 

 

Netherlands (4.37%)

    

Aalberts Industries NV

   70     2,165     

Aegon NV

   1,333     10,147     

Akzo Nobel NV

   175     13,329     

ASM International NV

   40     1,958     

ASML Holding NV

   270     30,173     

Boskalis Westminster NV

   60     2,973     

Delta Lloyd NV

   141     2,450     

Gemalto NV

   60     5,248     

Heineken Holding NV

   70     4,868     

Heineken NV

   155     12,145     

ING Groep NV, CVA

   2,759     45,377     

Koninklijke Ahold NV

   602     12,242     

Koninklijke DSM NV

   130     7,709     

Koninklijke KPN NV

   2,332     8,462     

Koninklijke Philips NV

   666     18,144     

Koninklijke Vopak NV

   46     2,289     

NN Group NV

   113     3,160     

OCI NV(a)

   65     1,917     

PostNL NV(a)

   319     1,454     
 

 

6  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

Netherlands (continued)

    

QIAGEN NV(a)

   174    $ 4,258     

Randstad Holding NV

   89     5,154     

Royal Dutch Shell PLC, A Shares

   2,784     83,077     

SBM Offshore NV(a)

   134     1,785     

TNT Express NV

   339     2,859     

Wereldhave NV, REIT

   17     1,028     

Wolters Kluwer NV

   219     6,815     
    

 

 

 

Total Netherlands

               291,186     
    

 

 

 

Norway (0.95%)

    

DNB ASA

   659     11,575     

Gjensidige Forsikring ASA

   135     2,085     

Marine Harvest ASA

   219     2,526     

Norsk Hydro ASA

   978     4,592     

Orkla ASA

   554     4,342     

Schibsted ASA, Class A

   59     3,792     

Statoil ASA

   758     14,221     

Storebrand ASA(a)

   324     1,163     

Telenor ASA

   493     11,178     

TGS Nopec Geophysical Co. ASA

   75     1,892     

Yara International ASA

   113     5,703     
    

 

 

 

Total Norway

       63,069     
    

 

 

 

Portugal (0.24%)

    

Banco Comercial Portugues SA(a)

   30,997     2,901     

EDP-Energias de Portugal SA

   1,881     7,344     

Galp Energia SGPS SA

   279     3,285     

Jeronimo Martins SGPS SA

   175     2,405     
    

 

 

 

Total Portugal

       15,935     
    

 

 

 

South Africa (0.14%)

    

Investec PLC

   390     3,574     

Lonmin PLC(a)

   61     131     

Mondi PLC

   265     5,978     
    

 

 

 

Total South Africa

       9,683     
    

 

 

 

Spain (4.95%)

    

Abengoa SA, B Shares

   389     1,303     

Abertis Infraestructuras SA

   279     4,901     

ACS Actividades de Construccion y Servicios SA

   140     4,514     

Amadeus IT Holding SA, A Shares

   308     14,016     

Banco Bilbao Vizcaya Argentaria SA

   4,466     44,111     

Banco de Sabadell SA

   3,495     8,852     

Banco Popular Espanol SA

   1,364     6,726     

Banco Santander SA

   9,979     71,064     

Bankia SA(a)

   3,178     4,108     

Bankinter SA

   464     3,417     

Bolsas y Mercados Espanoles SHMSF SA

   55     2,230     

CaixaBank SA(a)

   1,664     7,976     

Distribuidora Internacional de Alimentacion SA(a)

   429     3,419     

Enagas SA

   155     4,458     

Endesa SA

   193     3,609     

Ferrovial SA

   314     6,778     

Gamesa Corp. Tecnologica SA

   148     2,277     
Security Description    Shares   Value      

 

 

Spain (continued)

    

Gas Natural SDG SA

   255    $ 6,272     

Grifols SA

   109     4,347     

Iberdrola SA

   4,134     28,586     

Inditex SA

   748     24,777     

Mapfre SA

   714     2,545     

Mediaset Espana Comunicacion SA

   128     1,610     

Red Electrica Corp. SA

   80     6,729     

Repsol SA

   712     13,560     

Telefonica SA

   3,121     44,150     

Viscofan SA

   30     1,842     

Zardoya Otis SA

   120     1,543     
    

 

 

 

Total Spain

               329,720     
    

 

 

 

Sweden (4.40%)

    

Alfa Laval AB

   224     4,227     

Assa Abloy AB, B Shares

   239     14,099     

Atlas Copco AB, A Redemption Shares

   464     14,029     

Atlas Copco AB, A Shares(a)

   464     324     

BillerudKorsnas AB

   129     2,186     

Boliden AB

   185     3,966     

Castellum AB

   125     1,793     

Electrolux AB, Series B

   170     5,186     

Elekta AB, B Shares

   265     1,866     

Getinge AB, B Shares

   140     3,384     

Hennes & Mauritz AB, B Shares

   669     26,379     

Hexagon AB, B Shares

   175     6,422     

Hexpol AB

   200     2,169     

Husqvarna AB, B Shares

   290     2,207     

ICA Gruppen AB(a)

   55     1,917     

Industrivarden AB, A Shares

   140     2,901     

Intrum Justitia AB

   55     1,680     

Investment AB Kinnevik, B Shares

   170     5,676     

Investor AB, B Shares

   329     12,992     

JM AB

   55     1,558     

Lundin Petroleum AB(a)

   166     2,613     

Meda AB, A Shares

   173     2,477     

Modern Times Group MTG AB, B Shares

   40     1,267     

NCC AB, B Shares

   60     1,866     

Nordea Bank AB

   2,286     29,733     

Sandvik AB

   799     9,624     

Securitas AB, B Shares

   230     3,124     

Skandinaviska Enskilda Banken AB, A Shares

   1,133     13,992     

Skanska AB, B Shares

   289     6,013     

SKF AB, B Shares

   274     6,613     

Svenska Cellulosa AB SCA, Class B

   419     10,929     

Svenska Handelsbanken AB, A Shares

   1,047     15,767     

Swedbank AB, A Shares

   663     15,552     

Swedish Match AB

   145     4,318     

Tele2 AB, B Shares

   224     2,632     

Telefonaktiebolaget LM Ericsson, B Shares

   2,181     24,479     

TeliaSonera AB

   1,656     9,760     
 

 

7  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

Sweden (continued)

    

Trelleborg AB, B Shares

   175    $ 3,411     

Volvo AB, B Shares

   1,094     14,203     
    

 

 

 

Total Sweden

               293,334     
    

 

 

 

Switzerland (14.91%)

    

ABB, Ltd.(a)

   1,657     36,248     

Actelion, Ltd.

   84     11,744     

Adecco SA

   130     10,332     

Aryzta AG

   65     4,122     

Baloise Holding AG

   35     4,361     

Barry Callebaut AG

   1     1,128     

Cie Financiere Richemont SA

   375     32,399     

Clariant AG

   209     4,474     

Coca-Cola HBC AG

   144     3,154     

Credit Suisse Group AG

   1,088     28,837     

DKSH Holding AG

   25     1,928     

Dufry AG(a)

   20     2,766     

EMS-Chemie Holding AG

   5     2,129     

Flughafen Zuerich AG

   3     2,373     

Galenica AG

   4     4,005     

GAM Holding AG

   120     2,675     

Geberit AG

   30     10,789     

Georg Fischer AG

   3     2,271     

Givaudan SA

   6     10,993     

Glencore PLC

   7,136     31,406     

Helvetia Holding AG

   5     2,801     

Holcim, Ltd.

   164     12,939     

Julius Baer Group, Ltd.

   160     8,733     

Kaba Holding AG, Class B

   3     1,885     

Kuehne + Nagel International AG

   40     5,618     

Logitech International SA(a)

   110     1,773     

Lonza Group AG

   40     5,618     

Nestle SA

   2,326     180,417     

Novartis AG

   1,861     191,081     

OC Oerlikon Corp. AG

   140     1,795     

Pargesa Holding SA

   20     1,408     

Partners Group Holding AG

   14     4,391     

PSP Swiss Property AG

   30     2,578     

Roche Holding AG

   509     149,583     

Schindler Holding AG

   30     5,257     

SGS SA

   4     7,686     

Sika AG(a)

   2     6,871     

Sonova Holding AG

   40     6,031     

STMicroelectronics NV

   474     4,037     

Sulzer AG

   15     1,649     

The Swatch Group AG

   22     8,736     

Swiss Life Holding AG

   26     6,238     

Swiss Prime Site AG

   45     3,603     

Swiss Re AG

   249     22,361     

Swisscom AG

   19     11,008     

Syngenta AG

   68     30,786     

UBS Group AG

   2,524     54,302     

Wolseley PLC

   189     11,673     

Zurich Insurance Group AG

   110     35,100     
    

 

 

 

Total Switzerland

       994,092     
    

 

 

 
Security Description    Shares   Value      

 

 

United Kingdom (29.21%)

    

3i Group PLC

   699    $ 6,015     

AA PLC(a)

   387     2,419     

Aberdeen Asset Management PLC

   703     4,799     

Admiral Group PLC

   155     3,527     

Aggreko PLC

   185     4,547     

Amec Foster Wheeler PLC

   282     4,095     

Amlin PLC

   364     2,713     

Anglo American PLC

   1,003     15,728     

Antofagasta PLC

   279     3,181     

ARM Holdings PLC

   1,014     17,900     

Ashmore Group PLC

   280     1,418     

Ashtead Group PLC

   364     6,231     

Associated British Foods PLC

   260     12,033     

AstraZeneca PLC

   919             61,416     

AVEVA Group PLC

   45     1,338     

Aviva PLC

   2,877     23,019     

Babcock International Group PLC

   181     3,112     

BAE Systems PLC

   2,271     17,876     

Balfour Beatty PLC

   499     1,898     

Barclays PLC

   11,814     48,753     

Barratt Developments PLC

   710     6,424     

BBA Aviation PLC

   314     1,573     

Bellway PLC

   90     3,228     

Berendsen PLC

   125     1,943     

Berkeley Group Holdings PLC

   94     4,445     

Betfair Group PLC

   61     2,486     

BG Group PLC

   2,446     42,506     

Booker Group PLC

   1,087     2,952     

BP PLC

   13,221     91,083     

British American Tobacco PLC

   1,352     74,504     

The British Land Co. PLC, REIT

   743     9,789     

Britvic PLC

   179     2,004     

BT Group PLC

   5,828     39,790     

BTG PLC(a)

   263     2,852     

Bunzl PLC

   240     6,955     

Burberry Group PLC

   320     8,290     

Cable & Wireless Communications PLC

   1,878     1,939     

Capita PLC

   484     9,262     

Capital & Counties Properties PLC

   534     3,426     

Carillion PLC

   310     1,570     

Centrica PLC

   3,651     15,491     

Close Brothers Group PLC

   100     2,447     

CNH Industrial NV

   709     6,311     

Cobham PLC

   819     3,701     

Compass Group PLC

   1,200     20,982     

Croda International PLC

   100     4,471     

CSR PLC

   124     1,673     

Daily Mail & General Trust PLC, Class A

   205     3,014     

Derwent London PLC, REIT

   75     4,082     

Diageo PLC

   1,838     51,001     

Direct Line Insurance Group PLC

   1,078     5,556     

Dixons Carphone PLC

   729     5,297     

Drax Group PLC

   290     1,753     

DS Smith PLC

   679     3,685     
 

 

8  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

United Kingdom (continued)

    

easyJet PLC

   145    $ 3,566     

Electrocomponents PLC

   315     1,151     

Elementis PLC

   334     1,561     

Essentra PLC

   178     2,721     

Fiat Chrysler Automobiles NV(a)

   603     9,636     

Firstgroup PLC(a)

   868     1,506     

G4S PLC

   1,118     5,095     

Genel Energy PLC(a)

   120     968     

GKN PLC

   1,197     6,707     

GlaxoSmithKline PLC

   3,519     78,176     

Great Portland Estates PLC, REIT

   249     3,153     

Greene King PLC

   159     1,993     

Halma PLC

   274     3,197     

Hammerson PLC, REIT

   564     5,763     

Hargreaves Lansdown PLC

   179     3,469     

Hays PLC

   974     2,404     

Henderson Group PLC

   811     3,536     

Home Retail Group PLC

   584     1,406     

Howden Joinery Group PLC

   464     3,624     

HSBC Holdings PLC

   13,895             132,243     

ICAP PLC

   399     3,372     

IG Group Holdings PLC

   264     3,153     

IMI PLC

   205     3,901     

Imperial Tobacco Group PLC

   699     36,003     

Inchcape PLC

   303     3,913     

Informa PLC

   441     3,916     

Inmarsat PLC

   324     4,917     

InterContinental Hotels Group PLC

   179     7,499     

Intermediate Capital Group PLC

   290     2,655     

International Consolidated Airlines Group SA(a)

   749     6,342     

International Personal Finance PLC

   174     1,308     

Intertek Group PLC

   115     4,396     

Intu Properties PLC, REIT

   654     3,342     

ITV PLC

   2,714     11,295     

J Sainsbury PLC

   1,019     3,919     

Jazztel PLC(a)

   152     2,164     

John Wood Group PLC

   270     3,027     

Johnson Matthey PLC

   150     8,022     

Jupiter Fund Management PLC

   329     2,353     

Kingfisher PLC(a)

   1,704     9,636     

Ladbrokes PLC

   689     1,262     

Lancashire Holdings, Ltd.

   135     1,331     

Land Securities Group PLC, REIT

   579     11,619     

Legal & General Group PLC

   4,265     17,326     

Lloyds Banking Group PLC

   38,796     52,044     

London Stock Exchange Group PLC

   172     6,459     

Man Group PLC

   1,263     3,446     

Marks & Spencer Group PLC

   1,178     10,497     

Meggitt PLC

   578     4,492     

Melrose Industries PLC

   717     2,906     

Merlin Entertainments PLC(b)(c)

   470     3,296     

Michael Page International PLC

   230     1,911     

Micro Focus International PLC

   94     1,902     

Mitie Group PLC

   270     1,281     

National Grid PLC

   2,780     39,685     
Security Description    Shares   Value      

 

 

United Kingdom (continued)

    

Next PLC

   110    $ 12,643     

Ocado Group PLC(a)

   420     2,340     

Old Mutual PLC

   3,533     11,939     

Pearson PLC

   589     11,766     

Pennon Group PLC

   281     3,666     

Persimmon PLC

   220     6,597     

Petrofac, Ltd.

   189     2,614     

Polyus Gold International, Ltd.

   479     1,351     

Provident Financial PLC

   101     4,623     

Prudential PLC

   1,837     45,681     

QinetiQ Group PLC

   464     1,678     

Reckitt Benckiser Group PLC

   474     42,779     

Reed Elsevier NV

   488     11,834     

Reed Elsevier PLC

   812     13,465     

Rentokil Initial PLC

   1,313     2,950     

The Restaurant Group PLC

   159     1,677     

Rexam PLC

   509     4,349     

Rightmove PLC

   74     3,784     

Rio Tinto PLC

   904     39,461     

Rolls-Royce Holdings PLC

   1,345     20,516     

Rolls-Royce Holdings PLC -C Shares (Entitlement)

   151,998     232     

Rotork PLC

   640     2,479     

Royal Bank of Scotland Group
PLC(a)

   1,695     8,945     

Royal Mail PLC

   370     2,963     

RSA Insurance Group PLC

   729     4,806     

SABMiller PLC

   739             39,464     

The Sage Group PLC

   804     6,986     

Schroders PLC

   94     4,847     

Segro PLC, REIT

   534     3,479     

Serco Group PLC

   863     1,815     

Severn Trent PLC

   174     5,843     

Shaftesbury PLC, REIT

   200     2,678     

Sky PLC

   753     12,142     

Smith & Nephew PLC

   659     11,684     

Smiths Group PLC

   284     5,204     

Spectris PLC

   90     3,216     

Spirax-Sarco Engineering PLC

   55     2,930     

Sports Direct International PLC(a)

   186     1,922     

SSE PLC

   705     17,941     

St. James’s Place PLC

   374     5,210     

Stagecoach Group PLC

   309     1,910     

Standard Chartered PLC

   1,447     23,133     

Standard Life PLC

   1,409     10,503     

Subsea 7 SA

   187     1,961     

TalkTalk Telecom Group PLC

   394     2,409     

Tate & Lyle PLC

   335     2,980     

Taylor Wimpey PLC

   2,341     6,566     

Telecity Group PLC

   145     2,389     

Tesco PLC

   5,835     18,960     

Thomas Cook Group PLC(a)

   1,053     2,322     

Travis Perkins PLC

   179     6,065     

Tullow Oil PLC

   654     3,949     

UBM PLC

   332     2,824     

Ultra Electronics Holdings PLC

   50     1,399     

Unilever NV, CVA

   1,113     47,466     
 

 

9  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

United Kingdom (continued)

    

Unilever PLC

   954    $ 42,095     

United Utilities Group PLC

   490     7,459     

Victrex PLC

   60     1,914     

Vodafone Group PLC

   19,180     74,855     

The Weir Group PLC

   155     4,795     

WH Smith PLC

   117     2,768     

Whitbread PLC

   130     10,173     

William Hill PLC

   629     4,046     

Wm Morrison Supermarkets PLC

   1,682     4,396     

WPP PLC

   952     22,408     

WS Atkins PLC

   75     1,678     
    

 

 

 

Total United Kingdom

           1,946,890     
    

 

 

 

United States (0.10%)

    

Carnival PLC

   135     6,535     
    

 

 

 

Total United States

       6,535     
    

 

 

 

TOTAL COMMON STOCKS

(Cost $6,368,312)

       6,575,817     
    

 

 

 

CLOSED-END FUNDS (0.04%)

    

Switzerland (0.04%)

    

BB Biotech AG

   9     2,815     
    

 

 

 

Total Switzerland

       2,815     
    

 

 

 

TOTAL CLOSED-END FUNDS

(Cost $2,314)

       2,815     
    

 

 

 

PREFERRED STOCKS (0.81%)

    

Germany (0.81%)

    

Fuchs Petrolub AG

   50     2,193     

Henkel AG & Co. KGaA

   130     15,556     

Porsche Automobil Holding SE

   110     9,716     

Volkswagen AG

   110     26,699     
    

 

 

 

Total Germany

       54,164     
    

 

 

 

TOTAL PREFERRED STOCKS

(Cost $48,198)

       54,164     
    

 

 

 

RIGHTS (0.02%)(a)

    

France (0.00%)(d)

    

Rubis SCA, strike price 48 (EUR), expires 06/04/2015

   25    $ 25     
    

 

 

 

Total France

       25     
    

 

 

 

Germany (0.00%)(d)

    

Deutsche Wohnen AG, strike price 21.50 (EUR), expires 06/03/2015

   195     6     
    

 

 

 

Total Germany

       6     
    

 

 

 
Security Description        Shares   Value      

 

 

Italy (0.02%)

      

Banca Monte dei Paschi di Siena, strike price 1.17 (EUR), expires 06/12/2015

   184    $           1,221     
      

 

 

 

Total Italy

         1,221     
      

 

 

 

TOTAL RIGHTS

(Cost $2,225)

    1,252     
      

 

 

 
    7 Day Yield            Shares   Value      

 

 

SHORT TERM INVESTMENTS (0.73%)

 

Dreyfus Treasury Prime Cash Management, Institutional Class

  0.000% (e)            48,666    $ 48,666     
      

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $48,666)

    48,666     
      

 

 

 

TOTAL INVESTMENTS (100.26%)

(Cost $6,469,715)

   $ 6,682,714     

NET LIABILITIES LESS OTHER ASSETS (-0.26%)

    (17,814)     
      

 

 

 

NET ASSETS (100.00%)

   $       6,664,900     
      

 

 

 

 

(a) 

Non-income producing security.

(b) 

Securities exempt from registration under Rule 144A of the Securities Act of 1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $3,296, representing 0.05% of net assets.

 
(c) 

Securities were purchased pursuant to Regulation S under the Securities Act of 1933, which exempts from registration securities offered and sold outside of the United States. Such securities cannot be sold by the issuer in the United States without either an effective registration statement filed pursuant to the Securities Act of 1933, or pursuant to an exemption from registration. These securities have been deemed liquid under guidelines approved by the Fund’s Board of Trustees. At period end, the aggregate market value of those securities was $3,296, representing 0.05% of net assets.

 
(d) 

Less than 0.005% of Net Assets.

(e) 

Less than 0.0005%.

 

Common Abbreviations:

AB   -   Aktiebolag is the Swedish equivalent of the term corporation.

AE

  -   Anonymous Etairia is a limted by shares company in Greek Law.
AG   -   Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.
a.s.   -   Akciova Spolecnost is a joint stock company in the Czech Republic.
 

 

10  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Common Abbreviations: (continued)

A/S   -   Aktieselskab is the Danish term for Joint Stock Company.
ASA   -   Allmennaksjeselskap is the Norwegian term for public limited company.
CVA   -   Dutch Certification.
KGaA   -   Kommanditgesellschaft auf Aktien is a German corporate designation standing for partnership limited by shares.
Ltd.   -   Limited.
NV   -   Naamloze Vennootschap is the Dutch term for a public limited liability corporation.
OYJ   -   Osakeyhtio is the Finnish equivalent of a public limited company.
PLC   -   Public Limited Company.
REIT    -   Real Estate Investment Trust.
SA   -   Generally designated corporations in various countries, mostly those employing civil law.
SC   -   Societa cooperativa is the Italian phrase for a private company.
SCA   -   Societe en commandite par actions is the French phrase for a limited partnership.
SCpA   -   Societa consortile per azioni is the Italian phrase for an Italian consortium joint-stock company.
SE   -   SE Regulation. A European Company which can operate on a Europe-wide basis and be governed by Community law directly applicable in all Member States.
SGPS     Sociedade gestora de participa coes sociais is the Portuguese phrase for a limited liability company.
SpA   -   Societa per Azione is the Italian phrase for a shared company.
Scarl     Societa cooperativa a responsabilita limitata is the Italian phrase for a limited liability company.

 

See Notes to Financial Statements.

 

 

11  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $         6,682,714         

Cash

     395         

Foreign currency, at value (Cost $4,712)

     4,721         

Receivable for investments sold

     2,471         

Foreign tax reclaims

     6,315         

Dividends receivable

     12,252         

 

 

Total Assets

     6,708,868         

 

 

LIABILITIES:

  

Payable for investments purchased

     42,689         

Payable to adviser

     1,279         

 

 

Total Liabilities

     43,968         

 

 

NET ASSETS

   $ 6,664,900         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 6,388,221         

Accumulated net investment income

     65,475         

Accumulated net realized loss on investments and foreign currency transactions

     (1,591)         

Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies

     212,795         

 

 

NET ASSETS

   $ 6,664,900         

 

 

INVESTMENTS, AT COST

   $ 6,469,715         

PRICING OF SHARES

  

Net Assets

   $ 6,664,900         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     250,000         

Net Asset Value, offering and redemption price per share

   $ 26.66         

 

See Notes to Financial Statements.

12  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

 

INVESTMENT INCOME:

  

Dividends(a)

     $            115,028       

 

 

Total Investment Income

     115,028       

 

 

EXPENSES:

  

Investment adviser fees

     6,564       

 

 

Total Expense

     6,564       

 

 

NET INVESTMENT INCOME

     108,464       

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized loss on investments

     (749)       

Net realized loss on foreign currency transactions

     (875)       

Net change in unrealized appreciation on investments

     33,205       

Net change in unrealized depreciation on translation of assets and liabilities denominated in foreign currencies

     (159)       

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     31,422       

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

     $            139,886       

 

 

 

(a) 

Net of foreign tax withholding $16,587.

 

See Notes to Financial Statements.

13  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Statements of Changes in Net Assets

  

 

     For the Six   
Months Ended
May 31, 2015 
(Unaudited) 
     For the Period
October 31, 2014
(Commencement
of Operations)
to November 30,
2014
 

 

 

OPERATIONS:

     

Net investment income

   $ 108,464       $ 7,522         

Net realized gain/(loss) on investments and foreign currency transactions

     (1,624)         33         

Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies

     33,046         179,749         

 

 

Net increase in net assets resulting from operations

     139,886         187,304         

 

 

DISTRIBUTIONS:

     

Dividends to shareholders from net investment income

     (50,511)         –         

 

 

Net decrease in net assets from distributions

     (50,511)         –         

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     1,373,923         5,014,298         

 

 

Net increase from capital share transactions

     1,373,923         5,014,298         

 

 

Net increase in net assets

     1,463,298         5,201,602         

NET ASSETS:

     

Beginning of period

     5,201,602         –         

 

 

End of period *

   $           6,664,900       $           5,201,602         

 

 

*Including accumulated net investment income of:

   $ 65,475       $ 7,522         

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     200,000         –         

Shares sold

     50,000         200,000         

 

 

Shares outstanding, end of period

     250,000         200,000         

 

 

 

See Notes to Financial Statements.

14  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

     For the         
Six Months Ended
May 31, 2015     
(Unaudited)      
    

For the Period
October 31, 2014
(Commencement
of Operations)
to November 30,

2014

 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $                   26.01          $                   25.07         

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income (a)

     0.53             0.04         

Net realized and unrealized gain

     0.37             0.90         

 

 

Total from investment operations

     0.90             0.94         

 

 

DISTRIBUTIONS:

     

From net investment income

     (0.25)             –         

 

 

Total distributions

     (0.25)             –         

 

 

Net increase in net asset value

     0.65             0.94         

 

 

NET ASSET VALUE, END OF PERIOD

   $ 26.66           $ 26.01         

 

 

TOTAL RETURN(b)

     3.52%           3.75%       

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

   $ 6,665           $ 5,202         

Ratio of expenses to average net assets

     0.25%(c)           0.25%(c)       

Ratio of net investment income to average net assets

     4.13%(c)           1.74%(c)       

Portfolio turnover rate(d)

     2%            0%(e)       

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c) 

Annualized.

(d) 

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

(e) 

Less than 0.005%.

 

See Notes to Financial Statements.

15  |  May 31, 2015


Table of Contents
ALPS STOXX Europe 600 ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the ALPS STOXX Europe 600 ETF (the “Fund”). The investment objective of the Fund is to seek investment results that correspond (before fees and expenses) generally to the performance of its underlying index, the STOXX® Europe 600 Index (the “Underlying Index”). The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund. The Fund commenced operations on October 31, 2014.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares, at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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ALPS STOXX Europe 600 ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments at May 31, 2015:

 

Investments in Securities at
Value*
   Level 1 - Unadjusted
Quoted Prices
     Level 2 - Other Significant
Observable Inputs
     Level 3 - Significant
Unobservable Inputs
                   Total                

 

 

Common Stocks

           

United Kingdom

   $ 1,946,653       $ 232         $       $ 1,946,885     

Other

     4,628,932         –                   4,628,932     

Closed-End Funds

     2,815         –                   2,815     

Preferred Stocks

     54,164         –                   54,164     

Rights

     1,252         –                   1,252     

Short Term Investments

     48,666         –                   48,666     

 

 

TOTAL

   $ 6,682,482       $ 232         $       $ 6,682,714     

 

 

 

*

For a detailed country breakdown, see the accompanying Schedule of Investments

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

 

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ALPS STOXX Europe 600 ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

C. European Economic Risk

The Economic and Monetary Union (the “EMU”) of the European Union (“EU”) requires compliance with restrictions on inflation rates, deficits, interest rates, debt levels and fiscal and monetary controls, each of which may significantly affect every country in Europe. Decreasing imports or exports, changes in governmental or EU regulations on trade, changes in the exchange rate of the Euro, the default or threat of default by an EU member country on its sovereign debt, and/or an economic recession in an EU member country may have a significant adverse effect on the economies of EU member countries and their trading partners. The European financial markets have recently experienced volatility and adverse trends due to concerns about economic downturns or rising government debt levels in several European countries, including Greece, Ireland, Italy, Portugal and Spain. A default or debt restructuring by any European country would adversely impact holders of that country’s debt, and sellers of credit default swaps linked to that country’s creditworthiness (which may be located in countries other than those listed in the previous sentence). These events have adversely affected the exchange rate of the Euro, the common currency of certain EU countries, and may continue to significantly affect every country in Europe, including countries that do not use the Euro.

D. Foreign Investment Risk

The Fund’s investments in non-U.S. issuers may involve unique risks compared to investing in securities of U.S. issuers, including, among others, greater market volatility than U.S. securities and less complete financial information than for U.S. issuers. In addition, adverse political, economic or social developments could undermine the value of the Fund’s investments or prevent the Fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the United States. Finally, the value of the currency of the country in which the Fund has invested could decline relative to the value of the U.S. dollar, which may affect the value of the investment to U.S. investors. The Fund will not enter into transactions to hedge against declines in the value of the Fund’s assets that are denominated in a foreign currency.

E. Foreign Currency Translation

The books and records of the Fund are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

F. Concentration Risk

The Fund seeks to track the Underlying Index, which itself may have concentration in certain regions, economies, countries, markets, industries or sectors. Underperformance or increased risk in such concentrated areas may result in underperformance or increased risk in the Fund.

G. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date, net of any foreign taxes withheld. Interest income, if any, is recorded on the accrual basis.

H. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

I. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

As of the period ended November 30, 2014 the Fund paid no distributions.

 

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ALPS STOXX Europe 600 ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

    

ALPS STOXX Europe 600

ETF                  

 

 

 

Gross appreciation (excess of value over tax cost)

    $ 397,409         

Gross depreciation (excess of tax cost over value)

     (184,423)         

 

 

Net unrealized appreciation (depreciation)

     212,986         

 

 

Cost of investments for income tax purposes

    $                6,469,728         

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from Passive Foreign Investment Company (“PFIC”) adjustments.

J. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Being that the Fund commenced operations on October 31, 2014; no tax returns have been filed as of the date of this report.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an advisory agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.25% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses, such as litigation, not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

 

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ALPS STOXX Europe 600 ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

Fund    Purchases          Sales               

ALPS STOXX Europe 600 ETF

   $        137,592           $           91,017           

 

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

  

Fund    Purchases          Sales               

ALPS STOXX Europe 600 ETF

   $     1,362,102           $                     –           

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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ALPS STOXX Europe 600 ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (UNAUDITED)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

      Qualified Dividend Income    Dividend Received Deduction                    

ALPS STOXX Europe 600 ETF

   100.00%    0.00%                    

In early 2015, if applicable, shareholders of record received this information for the distribution paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENT

 

The STOXX® Europe 600 is the intellectual property (including registered trademarks) of STOXX Limited, Zurich, Switzerland and/or its licensors (“Licensors”), which is used under license. The securities based on the Index are in no way sponsored, endorsed, sold or promoted by STOXX and its Licensors and neither of the Licensors shall have any liability with respect thereto.

 

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Table of Contents

 

 

 

  SEMI-ANNUAL REPORT | May 31, 2015

 

 

This report has been prepared for shareholders of the ETF described herein and may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

 


Table of Contents

LOGO


Table of Contents

 

 

TABLE OF CONTENTS

 

 

Performance Overview

 

 

 

  1

Disclosure of Fund Expenses

 

 

 

  3

Schedule of Investments

 

 

 

  4

Statement of Assets and Liabilities

 

 

 

  9

Statement of Operations

 

 

 

  10

Statements of Changes in Net Assets

 

 

 

  11

Financial Highlights

 

 

 

  12

Notes to Financial Statements

 

 

 

  13

Additional Information

 

 

 

  17


Table of Contents
Barron’s 400SM ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

 

Investment Objective

The Barron’s 400SM ETF (the “Fund”) seeks investment results that correspond generally, before fees and expenses, to the performance of the Barron’s 400 IndexSM (the “Underlying Index”). The Underlying Index is a rules-based index intended to give investors a means of tracking the overall performance of high performing equity securities of U.S. companies. The Fund will invest at least 80% of its total assets in the equity securities which comprise the Underlying Index.

The Underlying Index generally consists of 400 stocks. The Underlying Index’s stocks are constituents of the MarketGrader U.S. Coverage Universe. In compiling the Underlying Index, MarketGrader Capital, LLC (the “Index Provider”) selects the 400 stocks from the MarketGrader U.S. Coverage Universe by using a methodology that selects components based on the strength of their fundamentals in growth, value, profitability and cash flow and then screens such potential Underlying Index components for certain criteria regarding concentration, market capitalization and liquidity. The eligible stocks that are selected for inclusion in the Underlying Index’s portfolio are equally weighted. The Underlying Index is rebalanced by the Index Provider semiannually, on the third Friday of March and September each year.

Performance (as of May 31, 2015)

 

   

 

6 Months

  1 Year               Since Inception^            
  Barron’s 400SM ETF – NAV   5.97%   10.77%   15.98%
  Barron’s 400SM ETF – Market Price*   6.00%   10.76%   16.02%

  Barron’s 400 IndexSM

  6.34%   11.54%   16.79%

Total Expense Ratio (per the current prospectus) 0.65%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1. 855.724.0450.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of  days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on June 4, 2013.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Barron’s 400 IndexSM, calculated by NYSE Euronext or its affiliates, measures the performance of a diversified group of U.S. companies selected in part based on fundamentals-related rules-based criteria. The index includes companies that have scored highest according to fundamentals-related rankings calculated by MarketGrader. Additional rules-based screening provides for sector and market cap diversification. The Index has been licensed to MarketGrader Capital LLC for use with the Barron’s 400 IndexSM.

One cannot invest directly in an index. Index performance does not reflect fund performance.

Funds that emphasize investments in small/mid cap companies will generally experience greater price volatility.

Barron’s 400SM ETF shares are not individually redeemable. Investors buy and sell shares of the Barron’s 400SM ETF on a secondary market. Only market makers or “authorized participants” may trade directly with the Fund, typically in blocks of 50,000 shares.

The Barron’s 400SM ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

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Table of Contents
Barron’s 400SM ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Skechers U.S.A., Inc., Class A

    0.38%           

Cal-Maine Foods, Inc.

    0.37%           

Rosetta Resources, Inc.

    0.35%           

Nautilus, Inc.

    0.35%           

Marcus & Millichap, Inc.

    0.35%           

Matador Resources Co.

    0.34%           

TASER International, Inc.

    0.33%           

Ambarella, Inc.

    0.33%           

RigNet, Inc.

    0.33%           

Oasis Petroleum, Inc.

    0.32%           

Total % of Top 10 Holdings

           3.45%           

 

*

% of Total Investments

Future holdings are subject to change.

Sector Allocation* (as of May 31, 2015)

 

 

LOGO

 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of change in value of a $10,000 investment in the Fund and the Index

 

 

    LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Barron’s 400SM ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     

Beginning Account
Value

12/1/14

 

  Ending Account  
Value

5/31/15

           Expense        
Ratio(a)
   Expenses Paid  
During Period  
12/1/14 - 5/31/15(b)  

Actual

   $  1,000.00   $  1,059.70    0.65%    $        3.34

Hypothetical (5% return before expenses)

   $  1,000.00   $  1,021.69    0.65%    $        3.28

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of  days in the most recent fiscal half year (182), divided by 365.

 

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Barron’s 400SM ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

 

Security Description    Shares     Value      

 

 

COMMON STOCKS (95.90%)

    

Consumer Discretionary (19.69%)

    

1-800-Flowers.com, Inc., Class A(a)

     41,919      $         398,650     

Advance Auto Parts, Inc.

     3,493        535,197     

American Public Education, Inc.(a)

     16,435        397,234     

Asbury Automotive Group, Inc.(a)

     6,730        572,858     

AutoNation, Inc.(a)

     8,422        525,617     

Bed Bath & Beyond, Inc.(a)

     6,881        490,753     

Best Buy Co., Inc.

     12,739        442,043     

BorgWarner, Inc.

     8,816        530,282     

Buckle, Inc.

     10,646        453,307     

Buffalo Wild Wings, Inc.(a)

     2,762        421,675     

Capella Education Co.

     7,900        420,833     

Chipotle Mexican Grill, Inc.(a)

     779        479,490     

Columbia Sportswear Co.

     8,961        502,264     

Comcast Corp., Class A

     8,918        517,244     

Cracker Barrel Old Country Store, Inc.

     3,397        479,249     

Deckers Outdoor Corp.(a)

     7,448        507,581     

Diamond Resorts International,
Inc.(a)

     15,830        492,313     

Dick’s Sporting Goods, Inc.

     9,072        487,348     

Dollar Tree, Inc.(a)

     6,289        471,612     

Drew Industries, Inc.

     8,464        519,690     

Dunkin’ Brands Group, Inc.

     10,945        584,025     

Five Below, Inc.(a)

     17,095        568,409     

Foot Locker, Inc.

     8,557        540,802     

Fossil Group, Inc.(a)

     6,436        457,020     

Gap, Inc.

     12,694        486,561     

Gentex Corp.

     28,886        496,262     

Gentherm, Inc.(a)

     11,418        585,287     

Genuine Parts Co.

     5,536        500,842     

G-III Apparel Group, Ltd.(a)

     9,754        554,612     

GNC Holdings, Inc., Class A

     11,328        504,549     

Goodyear Tire & Rubber Co.

     20,908        665,815     

Grand Canyon Education, Inc.(a)

     11,500        491,165     

Hanesbrands, Inc.

     15,415        491,122     

Harley-Davidson, Inc.

     8,768        469,000     

Harman International Industries, Inc.

     3,935        474,246     

Hasbro, Inc.

     8,505        613,466     

Hibbett Sports, Inc.(a)

     10,380        483,189     

Home Depot, Inc.

     4,534        505,178     

Interval Leisure Group, Inc.

     19,622        510,564     

iRobot Corp.(a)

     16,343        522,159     

Las Vegas Sands Corp.

     9,823        499,303     

Lumber Liquidators Holdings, Inc.(a)

     17,655        360,162     

Macy’s, Inc.

     8,174        547,249     

Meritage Homes Corp.(a)

     12,143        532,592     

Mohawk Industries, Inc.(a)

     2,943        549,282     

Nautilus, Inc.(a)

     34,837        735,757     

Nexstar Broadcasting Group, Inc., Class A

     9,050        514,855     

NIKE, Inc., Class B

     5,429        551,966     

Nordstrom, Inc.

     6,533        474,557     

NVR, Inc.(a)

     399        542,879     

O’Reilly Automotive, Inc.(a)

     2,448        537,409     
Security Description    Shares     Value      

 

 

Consumer Discretionary (continued)

    

Outerwall, Inc.

     8,038      $ 616,193     

Polaris Industries, Inc.

     3,541        506,540     

Pool Corp.

     7,516        498,161     

Priceline Group, Inc.(a)

     453        530,934     

Ross Stores, Inc.

     4,924        476,003     

Scripps Networks Interactive, Inc., Class A

     7,304        489,441     

Select Comfort Corp.(a)

     15,725        489,834     

Sinclair Broadcast Group, Inc., Class A

     18,391        552,466     

Skechers U.S.A., Inc., Class A(a)

     7,704        815,622     

Smith & Wesson Holding Corp.(a)

     38,957        573,057     

Sonic Corp.

     15,980        481,637     

Starbucks Corp.

     11,105        577,016     

Starz, Class A(a)

     15,618        655,331     

Steven Madden, Ltd.(a)

     13,982        528,240     

Sturm Ruger & Co., Inc.

     10,228        549,653     

Tenneco, Inc.(a)

     9,349        548,973     

Thor Industries, Inc.

     8,412        513,889     

TJX Cos., Inc.

     7,670        493,795     

Toll Brothers, Inc.(a)

     14,009        506,706     

Tower International, Inc.(a)

     21,842        600,873     

Tractor Supply Co.

     5,972        520,400     

TripAdvisor, Inc.(a)

     6,283        479,142     

Tumi Holdings, Inc.(a)

     23,092        445,676     

Ulta Salon Cosmetics & Fragrance, Inc.(a)

     3,483        531,575     

VF Corp.

     7,169        504,913     

Walt Disney Co.

     4,899        540,703     

William Lyon Homes, Class A(a)

     23,697        536,263     

Williams-Sonoma, Inc.

     6,246        490,998     

Wyndham Worldwide Corp.

     5,823        494,431     

Zumiez, Inc.(a)

     13,546        404,484     
    

 

 

 

Total Consumer Discretionary

           41,948,473     
    

 

 

 

Consumer Staples (4.06%)

    

Boston Beer Co., Inc., Class A(a)

     1,980        522,285     

Brown-Forman Corp., Class B

     5,893        555,533     

Cal-Maine Foods, Inc.

     14,074        797,855     

CVS Health Corp.

     5,086        520,705     

Estee Lauder Cos., Inc., Class A

     6,482        566,721     

Fresh Market, Inc.(a)

     12,697        403,130     

Kroger Co.

     6,894        501,883     

Mead Johnson Nutrition Co.

     5,240        509,852     

Monster Beverage Corp.(a)

     3,844        489,264     

Nu Skin Enterprises, Inc., Class A

     9,316        471,390     

PepsiCo, Inc.

     5,566        536,729     

Pilgrim’s Pride Corp.

     19,990        511,344     

Sanderson Farms, Inc.

     6,549        533,940     

Tyson Foods, Inc., Class A

     13,535        574,561     

USANA Health Sciences, Inc.(a)

     5,259        673,625     

Wal-Mart Stores, Inc.

     6,341        470,946     
    

 

 

 

Total Consumer Staples

       8,639,763     
    

 

 

 

Energy (8.78%)

    

Abraxas Petroleum Corp.(a)

     164,773        482,785     

Atwood Oceanics, Inc.

     18,754        577,061     
 

 

4  |  May 31, 2015


Table of Contents
Barron’s 400SM ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value      

 

 

Energy (continued)

    

Cameron International Corp.(a)

     12,206      $ 626,534     

Carrizo Oil & Gas, Inc.(a)

     11,562        579,950     

Continental Resources, Inc.(a)

     13,125        597,975     

Diamondback Energy, Inc.(a)

     7,436        578,595     

Dril-Quip, Inc.(a)

     7,883        595,797     

FMC Technologies, Inc.(a)

     14,496        605,788     

Forum Energy Technologies, Inc.(a)

     28,338        587,730     

Green Plains, Inc.

     19,567        642,972     

Gulfport Energy Corp.(a)

     11,271        486,456     

Halliburton Co.

     13,007        590,518     

Helmerich & Payne, Inc.

     8,183        597,277     

Hornbeck Offshore Services, Inc.(a)

     27,050        601,862     

Matador Resources Co.(a)

     25,927        714,030     

Newpark Resources, Inc.(a)

     58,090        492,603     

Northern Oil and Gas, Inc.(a)

     78,675        537,350     

Oasis Petroleum, Inc.(a)

     40,153        681,798     

Oceaneering International, Inc.

     10,484        532,587     

REX American Resources Corp.(a)

     8,988        574,064     

RigNet, Inc.(a)

     19,596        695,462     

Rosetta Resources, Inc.(a)

     31,660        739,578     

RPC, Inc.

     43,921        635,098     

SandRidge Permian Trust, Royalty Trust

     82,258        607,064     

SM Energy Co.

     12,152        635,793     

Southwestern Energy Co.(a)

     23,215        598,250     

Synergy Resources Corp.(a)

     45,485        523,532     

Triangle Petroleum Corp.(a)

     111,014        569,502     

Ultra Petroleum Corp.(a)

     33,058        459,837     

US Silica Holdings, Inc.

     18,339        565,758     

Valero Energy Corp.

     8,748        518,231     

Western Refining, Inc.

     10,901        479,426     
    

 

 

 

Total Energy

           18,711,263     
    

 

 

 

Financials (17.54%)

    

American Equity Investment Life Holding Co.

     18,085        459,540     

American Express Co.

     6,463        515,230     

Ameriprise Financial, Inc.

     3,885        484,032     

AmTrust Financial Services, Inc.

     9,322        560,998     

Apollo Commercial Real Estate Finance, Inc., REIT

     30,950        531,412     

Arch Capital Group, Ltd.(a)

     8,440        539,232     

Assured Guaranty, Ltd.

     19,931        569,827     

Axis Capital Holdings, Ltd.

     10,228        562,949     

Bank of the Ozarks, Inc.

     13,924        612,238     

BankUnited, Inc.

     15,816        531,259     

Berkshire Hathaway, Inc.,
Class B(a)

     3,620        517,660     

BofI Holding, Inc.(a)

     5,534        521,081     

Carlyle Group LP

     19,916        614,010     

Cathay General Bancorp

     18,739        566,293     

CBOE Holdings, Inc.

     8,749        511,991     

CBRE Group, Inc., Class A(a)

     15,002        573,676     

Chemical Financial Corp.

     16,756        507,539     

City National Corp.

     5,883        542,295     

Columbia Banking System, Inc.

     18,050        545,291     

Credit Acceptance Corp.(a)

     2,657        612,226     

Cullen/Frost Bankers, Inc.

     7,472        548,520     
Security Description    Shares     Value      

 

 

Financials (continued)

    

Customers Bancorp, Inc.(a)

     21,770      $ 546,427     

Eagle Bancorp, Inc.(a)

     13,871        551,927     

East West Bancorp, Inc.

     12,786        548,519     

Employers Holdings, Inc.

     20,192        456,743     

Evercore Partners, Inc., Class A

     10,203        520,047     

Everest Re Group, Ltd.

     2,954        536,181     

Federated National Holding Co.

     17,846        458,285     

First NBC Bank Holding Co.(a)

     15,900        540,441     

FNB Corp.

     39,425        531,843     

Franklin Resources, Inc.

     9,944        506,249     

Greenhill & Co., Inc.

     13,073        509,063     

HCI Group, Inc.

     11,210        484,608     

Home BancShares, Inc.

     15,254        520,314     

Huntington Bancshares, Inc.

     46,698        519,749     

Intercontinental Exchange, Inc.

     2,243        531,098     

Jones Lang LaSalle, Inc.

     3,257        564,210     

KeyCorp

     35,864        522,897     

Maiden Holdings, Ltd.

     36,527        510,647     

Marcus & Millichap, Inc.(a)

     15,683        735,690     

MarketAxess Holdings, Inc.

     6,046        534,769     

Marsh & McLennan Cos., Inc.

     9,172        534,086     

National General Holdings Corp.

     29,435        571,628     

National Penn Bancshares, Inc.

     49,431        528,912     

Nelnet, Inc., Class A

     11,156        458,623     

New Residential Investment Corp., REIT

     34,837        594,319     

OFG Bancorp

     30,095        395,448     

Oritani Financial Corp.

     36,136        531,922     

PacWest Bancorp

     11,111        498,773     

Piper Jaffray Cos.(a)

     9,512        451,059     

PNC Financial Services Group, Inc.

     5,468        523,233     

PRA Group, Inc.(a)

     9,889        561,300     

Progressive Corp.

     19,385        529,986     

Prosperity Bancshares, Inc.

     9,971        534,146     

Radian Group, Inc.

     31,282        560,573     

SEI Investments Co.

     11,966        572,453     

Springleaf Holdings, Inc.(a)

     9,897        470,305     

St. Joe Co.(a)

     30,553        486,709     

T Rowe Price Group, Inc.

     6,272        506,088     

Travelers Cos., Inc.

     4,818        487,196     

TrustCo Bank Corp.

     76,493        517,093     

Umpqua Holdings Corp.

     30,184        530,937     

United Bankshares, Inc.

     13,645        516,600     

United Insurance Holdings Corp.

     23,032        332,121     

Universal Insurance Holdings, Inc.

     20,809        531,254     

US Bancorp

     11,657        502,533     

Virtus Investment Partners, Inc.

     3,761        467,906     

Waddell & Reed Financial, Inc., Class A

     10,706        511,533     

Western Alliance Bancorp(a)

     17,338        543,546     

Wintrust Financial Corp.

     10,936        547,894     

WisdomTree Investments, Inc.

     24,269        518,386     
    

 

 

 

Total Financials

           37,373,568     
    

 

 

 

Health Care (9.72%)

    

Air Methods Corp.(a)

     10,735        452,588     

Alexion Pharmaceuticals, Inc.(a)

     2,846        466,289     
 

 

5  |  May 31, 2015


Table of Contents
Barron’s 400SM ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description   Shares     Value      

 

 

Health Care (continued)

   

Align Technology, Inc.(a)

    9,325      $ 565,748     

Amgen, Inc.

    3,213        502,063     

ANI Pharmaceuticals, Inc.(a)

    8,361        421,227     

Anika Therapeutics, Inc.(a)

    13,131        442,909     

Biogen, Inc.(a)

    1,228        487,504     

Bio-Reference Laboratories, Inc.(a)

    15,219        505,575     

Cambrex Corp.(a)

    14,630        585,493     

Celgene Corp.(a)

    4,328        495,296     

Centene Corp.(a)

    7,776        585,844     

Cerner Corp.(a)

    7,344        494,178     

Charles River Laboratories International, Inc.(a)

    6,398        462,831     

Computer Programs & Systems, Inc.

    9,944        520,369     

Cyberonics, Inc.(a)

    7,934        507,855     

Edwards Lifesciences Corp.(a)

    3,537        462,357     

Enanta Pharmaceuticals, Inc.(a)

    15,223        622,316     

Gilead Sciences, Inc.(a)

    5,216        585,600     

Globus Medical, Inc., Class A(a)

    21,002        544,792     

IDEXX Laboratories, Inc.(a)

    3,455        468,498     

Illumina, Inc.(a)

    2,694        555,180     

Insys Therapeutics, Inc.(a)

    8,874        528,890     

Johnson & Johnson

    5,257        526,436     

Lannett Co., Inc.(a)

    7,885        438,643     

Ligand Pharmaceuticals, Inc.(a)

    7,119        627,255     

Luminex Corp.(a)

    33,311        558,625     

McKesson Corp.

    2,296        544,680     

Medivation, Inc.(a)

    3,962        523,182     

MEDNAX, Inc.(a)

    7,214        513,493     

Meridian Bioscience, Inc.

    26,598        484,084     

PDL BioPharma, Inc.

    72,272        482,777     

Prestige Brands Holdings, Inc.(a)

    12,745        559,760     

ResMed, Inc.

    7,393        434,856     

St. Jude Medical, Inc.

    8,005        590,369     

Sucampo Pharmaceuticals, Inc., Class A(a)

    30,148        489,302     

United Therapeutics Corp.(a)

    2,954        542,709     

UnitedHealth Group, Inc.

    4,455        535,536     

Varian Medical Systems, Inc.(a)

    5,554        480,976     

Waters Corp.(a)

    4,244        567,083     

Zoetis, Inc.

    11,113        553,094     
   

 

 

 

Total Health Care

          20,716,262     
   

 

 

 

Industrials (16.05%)

   

3M Co.

    3,190        507,465     

AAON, Inc.

    23,540        557,192     

Alamo Group, Inc.

    8,765        464,282     

Alaska Air Group, Inc.

    7,615        492,234     

Allegiant Travel Co.

    2,655        418,083     

AMERCO

    1,616        531,664     

American Airlines Group, Inc.

    9,760        413,531     

American Railcar Industries, Inc.

    10,473        563,133     

AO Smith Corp.

    8,301        592,525     

Applied Industrial Technologies, Inc.

    12,198        516,829     

Argan, Inc.

    15,825        566,218     

Astronics Corp.(a)

    7,134        498,595     
Security Description   Shares     Value      

 

 

Industrials (continued)

   

Boeing Co.

    3,389      $         476,222     

CEB, Inc.

    6,705        567,176     

Chart Industries, Inc.(a)

    15,683        509,070     

CLARCOR, Inc.

    7,920        487,951     

Copart, Inc.(a)

    14,005        484,573     

CSX Corp.

    15,132        515,699     

Cummins, Inc.

    3,776        511,837     

Deluxe Corp.

    7,996        510,385     

Douglas Dynamics, Inc.

    22,702        460,851     

Emerson Electric Co.

    9,408        567,396     

Expeditors International of Washington, Inc.

    10,758        493,147     

Fastenal Co.

    12,303        510,698     

Flowserve Corp.

    9,220        507,100     

Forward Air Corp.

    9,714        503,865     

Generac Holdings, Inc.(a)

    10,784        450,556     

Graco, Inc.

    7,240        525,552     

Greenbrier Cos., Inc.

    9,294        559,778     

H&E Equipment Services, Inc.

    22,137        483,251     

Herman Miller, Inc.

    18,225        504,832     

Hexcel Corp.

    10,691        526,425     

Hyster-Yale Materials Handling, Inc.

    7,371        523,046     

JB Hunt Transport Services, Inc.

    5,904        496,054     

Landstar System, Inc.

    7,703        503,776     

Lennox International, Inc.

    4,847        545,772     

Old Dominion Freight Line, Inc.(a)

    6,568        446,690     

On Assignment, Inc.(a)

    13,707        513,875     

PACCAR, Inc.

    8,372        532,124     

Patrick Industries, Inc.(a)

    8,639        516,612     

PGT, Inc.(a)

    48,604        581,304     

Proto Labs, Inc.(a)

    7,539        521,548     

Robert Half International, Inc.

    8,542        481,513     

Rockwell Automation, Inc.

    4,636        569,718     

Rollins, Inc.

    21,869        542,789     

RPX Corp.(a)

    36,313        577,740     

RR Donnelley & Sons Co.

    28,141        539,744     

Snap-on, Inc.

    3,638        565,345     

Southwest Airlines Co.

    11,338        420,073     

Spirit Airlines, Inc.(a)

    6,588        418,799     

Standex International Corp.

    6,590        527,266     

Stanley Black & Decker, Inc.

    5,547        568,235     

Sun Hydraulics Corp.

    13,271        496,070     

TASER International, Inc.(a)

    22,354        705,939     

Thermon Group Holdings, Inc.(a)

    22,478        510,475     

Toro Co.

    7,806        533,852     

Trex Co., Inc.(a)

    10,574        535,044     

Trinity Industries, Inc.

    15,325        459,597     

TrueBlue, Inc.(a)

    21,761        619,753     

Union Pacific Corp.

    4,501        454,196     

United Rentals, Inc.(a)

    6,000        533,460     

US Ecology, Inc.

    10,570        487,383     

Verisk Analytics, Inc., Class A(a)

    7,307        530,342     

WABCO Holdings, Inc.(a)

    4,506        569,649     

Wabtec Corp.

    5,473        548,942     
 

 

6  |  May 31, 2015


Table of Contents
Barron’s 400SM ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value      

 

 

Industrials (continued)

    

Woodward, Inc.

     10,602      $ 540,066     
    

 

 

 

Total Industrials

           34,194,906     
    

 

 

 

Information Technology (15.01%)

    

Advanced Energy Industries, Inc.(a)

     20,635        588,510     

Akamai Technologies, Inc.(a)

     7,270        554,483     

Ambarella, Inc.(a)

     7,725        696,872     

Amphenol Corp., Class A

     8,879        506,547     

ANSYS, Inc.(a)

     6,034        537,026     

Apple, Inc.

     4,124        537,275     

ARRIS Group, Inc.(a)

     17,140        565,792     

Aspen Technology, Inc.(a)

     14,248        609,815     

Broadridge Financial Solutions, Inc.

     9,862        534,323     

Cabot Microelectronics Corp.(a)

     10,791        498,328     

Cisco Systems, Inc.

     18,614        545,576     

Cognex Corp.(a)

     10,702        540,130     

Cognizant Technology Solutions Corp., Class A(a)

     8,417        544,748     

DST Systems, Inc.

     4,903        580,515     

DTS, Inc.(a)

     16,083        510,314     

Electronic Arts, Inc.(a)

     9,672        606,966     

Ellie Mae, Inc.(a)

     9,742        615,889     

EMC Corp.

     20,184        531,647     

EPAM Systems, Inc.(a)

     8,488        610,372     

ePlus, Inc.(a)

     6,063        470,792     

Euronet Worldwide, Inc.(a)

     9,651        577,130     

EVERTEC, Inc.

     23,707        527,007     

F5 Networks, Inc.(a)

     4,654        584,961     

Facebook, Inc., Class A(a)

     6,601        522,733     

FactSet Research Systems, Inc.

     3,295        544,235     

Google, Inc., Class A(a)

     940        512,601     

Harris Corp.

     7,266        575,613     

Integrated Device Technology, Inc.(a)

     25,640        606,514     

Intel Corp.

     17,129        590,265     

IPG Photonics Corp.(a)

     5,281        500,850     

Jack Henry & Associates, Inc.

     7,740        503,719     

Linear Technology Corp.

     11,093        530,800     

Manhattan Associates, Inc.(a)

     9,856        540,602     

Mastercard, Inc., Class A

     5,955        549,408     

MAXIMUS, Inc.

     8,163        533,615     

Methode Electronics, Inc.

     11,570        542,980     

Micron Technology, Inc.(a)

     18,944        529,106     

Microsoft Corp.

     12,567        588,890     

NetScout Systems, Inc.(a)

     12,449        498,956     

NeuStar, Inc., Class A(a)

     23,872        652,183     

NIC, Inc.

     30,234        509,443     

NVIDIA Corp.

     22,537        498,744     

Paychex, Inc.

     10,272        507,540     

Qorvo, Inc.(a)

     6,742        553,855     

QUALCOMM, Inc.

     7,504        522,879     

Skyworks Solutions, Inc.

     5,385        588,904     

Stamps.com, Inc.(a)

     9,054        609,244     

Syntel, Inc.(a)

     10,322        490,398     

Tessera Technologies, Inc.

     13,007        501,420     

Texas Instruments, Inc.

     9,038        505,405     

Tyler Technologies, Inc.(a)

     4,290        521,149     
Security Description    Shares     Value      

 

 

Information Technology (continued)

    

Ubiquiti Networks, Inc.

     16,903      $ 537,515     

Vantiv, Inc., Class A(a)

     13,954        558,160     

VASCO Data Security International, Inc.(a)

     22,564        601,105     

Virtusa Corp.(a)

     12,918        587,769     

Visa, Inc., Class A

     7,924        544,220     

Western Digital Corp.

     5,423        527,983     

Xilinx, Inc.

     12,786        606,312     
    

 

 

 

Total Information Technology

       31,970,133     
    

 

 

 

Materials (3.82%)

    

Balchem Corp.

     9,369        528,974     

Century Aluminum Co.(a)

     37,805        422,660     

CF Industries Holdings, Inc.

     1,811        572,059     

Compass Minerals International, Inc.

     5,569        479,825     

Eagle Materials, Inc.

     6,327        528,178     

Eastman Chemical Co.

     7,600        583,452     

Flotek Industries, Inc.(a)

     35,888        412,353     

Innospec, Inc.

     11,860        508,557     

International Flavors & Fragrances, Inc.

     4,443        528,895     

KapStone Paper and Packaging Corp.

     16,222        437,183     

Martin Marietta Materials, Inc.

     3,680        548,357     

Neenah Paper, Inc.

     8,645        521,207     

Packaging Corp. of America

     6,718        464,751     

Sherwin-Williams Co.

     1,832        527,946     

Valspar Corp.

     6,140        512,444     

Westlake Chemical Corp.

     8,017        565,278     
    

 

 

 

Total Materials

       8,142,119     
    

 

 

 

Telecommunication Services (0.28%)

    

Inteliquent, Inc.

     33,632        592,932     
    

 

 

 

Total Telecommunication Services

       592,932     
    

 

 

 

Utilities (0.95%)

    

Calpine Corp.(a)

     24,304        488,511     

ITC Holdings Corp.

     14,360        506,764     

New Jersey Resources Corp.

     17,361        522,045     

Questar Corp.

     22,595        512,907     
    

 

 

 

Total Utilities

       2,030,227     
    

 

 

 

TOTAL COMMON STOCKS

(Cost $195,433,523)

           204,319,646     
    

 

 

 

LIMITED PARTNERSHIPS (3.56%)

    

Energy (2.26%)

    

Alliance Holdings GP LP

     10,304        496,653     

Alliance Resource Partners LP

     14,888        446,491     

EQT Midstream Partners LP

     6,959        582,260     

Exterran Partners LP

     21,223        549,463     

Golar LNG Partners LP

     20,524        578,982     

Magellan Midstream Partners LP

     6,774        540,023     

Northern Tier Energy LP

     21,025        513,641     

Spectra Energy Partners LP

     10,090        514,590     
 

 

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Barron’s 400SM ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares   Value      

 

 

Energy (continued)

    

Vanguard Natural Resources LLC

   37,534   $ 596,040     
      

 

 

 

Total Energy

         4,818,143     
      

 

 

 

Financials (1.08%)

    

Blackstone Group LP

   13,759     602,644     

Brookline Bancorp, Inc.

   52,712     576,669     

Fortress Investment Group LLC, Class A

   68,136     533,505     

Lazard, Ltd., Class A

   10,544     585,825     
      

 

 

 

Total Financials

         2,298,643     
      

 

 

 

Materials (0.22%)

      

Hi-Crush Partners LP

   15,643     466,161     
      

 

 

 

Total Materials

         466,161     
      

 

 

 

TOTAL LIMITED PARTNERSHIPS

 

(Cost $7,848,618)

         7,582,947     
      

 

 

 
   

 

7 Day Yield

   Shares   Value      

 

 

SHORT TERM INVESTMENTS (0.49%)

  

Dreyfus Treasury Prime Cash Management, Institutional Shares

  0.000% (b)    1,042,886     1,042,886     
      

 

 

 

TOTAL SHORT TERM INVESTMENTS

 

(Cost $1,042,886)

         1,042,886     
      

 

 

 

TOTAL INVESTMENTS (99.95%)

 

(Cost $204,325,027)

     $ 212,945,479     

NET OTHER ASSETS AND LIABILITIES (0.05%)

    103,003     
      

 

 

 

NET ASSETS (100.00%)

     $   213,048,482     
      

 

 

 

 

(a)

Non-income producing security.

(b)

Less than 0.0005%.

Common Abbreviations:

LLC - Limited Liability Company.

LP - Limited Partnership.

Ltd. - Limited.

REIT - Real Estate Investment Trust.

 

 

See Notes to Financial Statements.

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Barron’s 400SM ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

 

ASSETS:

  

Investments, at value

   $     212,945,479        

Cash

     102,399        

Foreign tax reclaims

     203        

Dividends receivable

     220,957        

 

 

Total Assets

     213,269,038        

 

 

LIABILITIES:

  

Payable for investments purchased

     102,399        

Payable to adviser

     118,157        

 

 

Total Liabilities

     220,556        

 

 

NET ASSETS

   $ 213,048,482        

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 196,960,255        

Accumulated net investment income

     836,338        

Accumulated net realized gain on investments

     6,631,437        

Net unrealized appreciation on investments

     8,620,452        

 

 

NET ASSETS

   $ 213,048,482        

 

 

INVESTMENTS, AT COST

   $ 204,325,027        

PRICING OF SHARES

  

Net Assets

   $ 213,048,482        

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $ 0.01 per share)

     6,400,002        

Net Asset Value, offering and redemption price per share

   $ 33.29        

 

See Notes to Financial Statements.

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Barron’s 400SM ETF     

 

Statement of Operations

    For the Six Months Ended May 31, 2015 (Unaudited)

 

 

 

INVESTMENT INCOME:

  

Dividends(a)

   $         1,868,720        

 

 

Total investment income

     1,868,720        

 

 

EXPENSES:

  

Investment adviser fees

     695,569        

 

 

Total expenses

     695,569        

 

 

NET INVESTMENT INCOME

     1,173,151        

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized gain on investments

     13,421,218        

Net change in unrealized depreciation on investments

     (1,724,024)        

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     11,697,194        

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 12,870,345        

 

 

 

(a) 

Net of foreign tax withholding $631.

 

See Notes to Financial Statements.

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Barron’s 400SM ETF     

 

Statements of Changes in Net Assets

  

 

 

 

    For the Six
Months Ended
May 31, 2015
(Unaudited)
   

For the

Year Ended
November 30,

2014

 

 

 

OPERATIONS:

   

Net investment income

  $ 1,173,151          $ 1,709,127       

Net realized gain on investments

    13,421,218            17,568,969       

Net change in unrealized depreciation on investments

    (1,724,024)            (2,498,910)       

 

 

Net Increase in Net Assets Resulting from Operations

    12,870,345            16,779,186       

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

   

From net investment income

    (1,549,998)            (356,623)       

 

 

Total distributions

    (1,549,998)            (356,623)       

 

 

CAPITAL SHARE TRANSACTIONS:

   

Proceeds from sale of shares

    84,569,088            186,188,412       

Cost of shares redeemed

    (102,741,801)            (164,362,020)       

 

 

Net Increase/(Decrease) from share transactions

    (18,172,713)            21,826,392       

 

 

Net increase/(decrease) in net assets

    (6,852,366)            38,248,955       

NET ASSETS

   

Beginning of period

    219,900,848            181,651,893       

 

 

End of period *

  $     213,048,482          $     219,900,848       

 

 

*Including accumulated net investment income of:

  $ 836,338          $ 1,213,185       

OTHER INFORMATION:

   

CAPITAL SHARE TRANSACTIONS:

   

Beginning shares

    6,950,002            6,200,002       

Shares sold

    2,550,000            6,100,000       

Shares redeemed

    (3,100,000)            (5,350,000)       

 

 

Shares outstanding, end of period

    6,400,002            6,950,002       

 

 

 

See Notes to Financial Statements.

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Barron’s 400SM ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

 

     For the         For the Period 
     Six Months    For the Year    June 4, 2013 
     Ended    Ended    (Commencement) 
     May 31, 2015    November 30,    to November 30, 
     (Unaudited)    2014    2013 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $31.64    $29.30    $25.00 

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

        

Net investment income(a)

   0.18    0.23    0.10 

Net realized and unrealized gain

   1.70    2.16    4.20 

 

Total from investment operations

   1.88    2.39    4.30 

 

DISTRIBUTIONS:

        

From net investment income

   (0.23)    (0.05)    – 

 

Total distributions

   (0.23)    (0.05)    – 

 

NET INCREASE IN NET ASSET VALUE

   1.65    2.34    4.30 

 

NET ASSET VALUE, END OF PERIOD

   $33.29    $31.64    $29.30 

 

TOTAL RETURN(b)

   5.97%    8.18%    17.20% 

RATIOS/SUPPLEMENTAL DATA:

        

Net assets, end of period (000s)

   $213,048    $219,901    $181,652 

Ratio of expenses to average net assets

   0.65%(c)    0.65%    0.65%(c) 

Ratio of net investment income to average net assets

   1.10%(c)    0.75%    0.78%(c) 

Portfolio turnover rate(d)

   42%    55%    11% 

 

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at actual reinvestment prices. Total return calculated for a period less than one year is not annualized.

(c) 

Annualized.

(d)

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

 

See Notes to Financial Statements.

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Barron’s 400SM ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consisted of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the Barron’s 400SM ETF (the “Fund”). The investment objective of the Fund is to seek investment results that correspond generally, before fees and expenses, to the performance of the Barron’s 400 IndexSM. The Fund has elected to qualify as a diversified series of the Trust under the 1940 Act.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

 

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Barron’s 400SM ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability; including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities and Limited Partnerships, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

    

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

    

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

    

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments as of May 31, 2015:

 

Investments in Securities at Value*     Level 1 - Unadjusted
  Quoted Prices
      Level 2 - Other
  Significant Observable
  Inputs
      Level 3 - Significant
  Unobservable Inputs
    Total  

 

 

Common Stocks

  $ 204,319,646      $      $      $ 204,319,646     

Limited Partnerships

    7,582,947                      7,582,947     

Short Term Investments

    1,042,886                      1,042,886     

 

 

TOTAL

  $ 212,945,479      $      $      $     212,945,479     

 

 

 

*

For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

 

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Barron’s 400SM ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

D. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid annually or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

E. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

At November 30, 2014, the Fund had available for tax purposes unused capital loss carry forwards as follows:

 

                Short-Term                          Long-Term           

 

  $ 4,415,435         $ 1,914,449      

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

     Ordinary Income      

 

 

November 30, 2014

  

Barron’s 400SM ETF

   $                         356,623           

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

     Barron’s 400SM ETF  

 

 

Gross appreciation (excess of value over tax cost)

   $ 17,708,706        

Gross depreciation (excess of tax cost over value)

     (9,963,897)        

 

 

Net unrealized appreciation (depreciation)

     7,744,809        

 

 

Cost of investments for income tax purposes

   $     205,200,670        

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales and investments in partnerships.

F. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.65% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

 

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Barron’s 400SM ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding in-kind transactions and short-term investments, were as follows:

 

Fund    Purchases             Sales           

 

 

Barron’s 400SM ETF

   $                         88,474,738                 $                         90,113,715                

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases             Sales           

 

 

Barron’s 400SM ETF

   $                         83,667,494                 $                       101,273,898               

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000 shares. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Barron’s 400SM ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income                     Dividend Received Deduction                   

 

Barron’s 400SM ETF

   100.00%   100.00%

In early 2015, if applicable, shareholders of record received this information for the distribution paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENT

 

MarketGrader Capital LLC has entered into a license agreement with Dow Jones & Company to use the “Barron’s” name and certain related intellectual property in connection with the Underlying Index. MarketGrader Capital LLC also has entered into a license and services agreement with its parent company, MarketGrader.com, to use the methodology for constructing the Underlying Index. MarketGrader Capital LLC in turn has entered into the Sublicense Agreement with ALPS Advisers, Inc. to use the underlying index. The following disclosure relates to such licensing agreements:

The Barron’s 400SM ETF (the “Fund”) is not sponsored, endorsed, sold or promoted by the MarketGrader Capital, LLC (the “Index Provider”). The Index Provider makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities generally or in the Fund particularly or the ability of the Fund to track the performance of the physical commodities market. The Index Provider’s only relationship to the ALPS Advisors, Inc. (the “Adviser”) or the Fund is the licensing of certain service marks and trade names of the Index Provider and of the Underlying Index that is determined, composed and calculated by the Index Provider without regard to the Adviser or the Fund. The Index Provider has no obligation to take the needs of the Adviser or the Fund or the owners of the Fund into consideration in determining, composing or calculating the Underlying Index. The Index Provider is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Fund to be issued or in the determination or calculation of the equation by which the Fund is to be converted into cash. The Index Provider has no obligation or liability in connection with the administration, marketing or trading of the Fund.

THE INDEX PROVIDER DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE UNDERLYING INDEX OR ANY DATA INCLUDED THEREIN AND THE INDEX PROVIDER SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. THE INDEX PROVIDER MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY THE ADVISER, THE FUND, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE UNDERLYING INDEX OR ANY DATA INCLUDED THEREIN. THE INDEX PROVIDER MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE UNDERLYING INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL THE INDEX PROVIDER HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

 

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Barron’s 400SM ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

“The Barron’s 400 IndexSM” is calculated and published by MarketGrader Capital LLC (“MarketGrader”). “Barron’s,” “Barron’s 400” and “Barron’s 400 Index” are trademarks or service marks of DJC & Company, Inc. or its affiliates and have been licensed to MarketGrader and sublicensed for certain purposes by Barron’s 400 Exchange Traded Fund, a sub-fund of that certain ALPS ETF Trust, a Delaware Statutory Trust (“Sub-Licensee”).

The Barron’s 400 ETF (the “Product”) is not sponsored, endorsed, sold or promoted by DJC or its affiliates. DJC and its affiliates make no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of trading in the Fund particularly. DJC and its affiliates’ only relationship to the Licensee is the licensing of certain trademarks and trade names of DJC. DJC has no obligation to take the needs of the Licensee or the owners of the Fund into consideration in connection with its licensing of the Barron’s 400 Index to MarketGrader or the sublicense to Licensee. DJC and its affiliates are not responsible for and have not participated in the determination of the timing of, prices at, or quantities of the Fund to be sold or in the determination or calculation of the equation by which the Product are to be converted into cash. DJC and its affiliates have no obligation or liability in connection with the administration, marketing or trading of the Barron’s 400 Index or the Product.

DOW JONES DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE BARRON’S 400 INDEX OR ANY DATA INCLUDED THEREIN AND DOW JONES AND ITS AFFILIATES SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. DOW JONESAND ITS AFFILIATES MAKE NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY THE LICENSEE, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE BARRON’S 400 INDEX OR ANY DATA INCLUDED THEREIN. DOW JONES AND ITS AFFILIATES MAKE NO EXPRESS OR IMPLIED WARRANTIES. AND EXPRESSLY DISCLAIM ALL WARRANTIES, OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE BARRON’S 400 INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL DOW JONES AND ITS AFFILIATES HAVE ANY LIABILITY FOR ANY LOST PROFITS OR INDIRECT, PUNITIVE, SPECIAL OR CONSEQUENTIAL DAMAGES OR LOSSES, EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES. THERE ARE NO THIRD PARTY BENEFICIARIES OF ANY AGREEMENTS OR ARRANGEMENTS BETWEEN DJC AND THE LICENSEE, OTHER THAN THE LICENSORS OF MARKETGRADER.

The Adviser does not guarantee the accuracy and/or the completeness of the Underlying Index or any data included therein, and the Adviser shall have no liability for any errors, omissions or interruptions therein. The Adviser makes no warranty, express or implied, as to results to be obtained by the Fund, owners of the Shares of the Fund or any other person or entity from the use of the Underlying Index or any data included therein. The Adviser makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Underlying Index or any data included therein. Without limiting any of the foregoing, in no event shall the Adviser have any liability for any special, punitive, direct, indirect or consequential damages (including lost profits) arising out of matters relating to the use of the Underlying Index, even if notified of the possibility of such damages.

 

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Table of Contents

 

 

 

 

LOGO

Must be accompanied or preceded by a prospectus.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Barron’s 400SM ETF.


Table of Contents

LOGO             

May 31, 2015          

 

LOGO

Global Commodity Equity ETF (NYSE ARCA: CRBQ)

An ALPS Advisors Solution

 

 

LOGO             


Table of Contents

table of

CONTENTS

 

Performance Overview 

         1   

 

Disclosure of Fund Expenses 

         3   

 

Schedule of Investments 

         4   

 

Statement of Assets & Liabilities 

         7   

 

Statement of Operations 

         8   

 

Statements of Changes In Net Assets 

         9   

 

Financial Highlights 

         10   

 

Notes to Financial Statements 

         11   

 

Additional Information 

         16   

 

 

 

www.alpsfunds.com


Table of Contents
Global Commodity Equity ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

 

Investment Objective

The Global Commodity Equity ETF (the “Fund”) seeks investment results that replicate as closely as possible, before fees and expenses, the price and yield performance of the Thomson Reuters CRB Commodity Producers Index (the “Underlying Index”). The Fund will normally invest at least 80% of its total assets in the equity securities that comprise the Underlying Index and depositary receipts based on the securities in the Underlying Index.

The Underlying Index is a modified capitalization-weighted, float-adjusted, rules-based index designed to track the overall performance of a global universe of listed companies engaged in the production and distribution of commodities and commodity-related products and services in the following sectors: agriculture, base/industrial metals, energy and precious metals.

Performance (as of May 31, 2015)

 

        6 Months       1 Year   3 Year   5 Year   Since
Inception^

Global Commodity Equity ETF - NAV+

      0.99%     -9.78%       1.78%     3.10%     1.62%

Global Commodity Equity ETF - Market Price+*

      1.09%     -9.53%       1.78%     3.13%     1.48%

Thomson Reuters CRB Commodity Producers Index

      1.30%     -8.94%       2.53%     3.85%     2.39%

S&P GSCI Commodity Index

  -13.71%   -35.40%   -10.32%   -4.23%   -4.66%

S&P 500® Total Return Index

      2.97%    11.81%     19.67%   16.54%   15.05%

Total Expense Ratio (per the current prospectus) 0.65%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on September 18, 2009 with an Inception Date, the first day of trading on the Exchange, of  September 21, 2009.

 

+ 

Prior to March 31, 2014 the Global Commodity Equity ETF was known as the Jefferies | TR/J CRB Global Commodity Equity Index Fund.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

Thomson Reuters CRB Commodity Producers Index: A modified capitalization-weighted, float-adjusted, rules-based index designed to track the overall performance of a global universe of listed companies engaged in the production and distribution of commodities and commodity-related products and services in the following sectors: agriculture, base/industrial metals, energy and precious metals.

S&P GSCI Commodity Index: A composite index of commodity sector returns which represents a broadly diversified, unleveraged, long-only position in commodity futures.

S&P 500® Total Return Index: The Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Global Commodity Equity ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor of the ETF.

S-Network Global Indexes, LLC is the Index Provider. The Index Provider is not affiliated with the Trust, the Investment Adviser or the Distributor. The Investment Adviser has entered into a license agreement with the Index Provider to use each ETF’s underlying index.

Thomson Reuters is not affiliated with the Index Provider, the Trust, the Investment Adviser or the Distributor.

 

1  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Monsanto Co.

     7.09%     

Exxon Mobil Corp.

     5.40%     

Syngenta AG

     5.29%     

Archer-Daniels-Midland Co.

     4.12%     

Deere & Co.

     3.97%     

Potash Corp. of Saskatchewan, Inc.

     3.26%     

Chevron Corp.

     2.92%     

CF Industries Holdings, Inc.

     1.91%     

BP PLC

     1.90%     

Agrium, Inc.

     1.87%     

Total % of Top 10 Holdings

       37.73%     

 

*

% of Total Investments.

Future holdings are subject to change.

Country Allocation* (as of May 31, 2015)

 

United States

     47.15%     

Canada

     13.06%     

United Kingdom

     6.55%     

Switzerland

     6.03%     

Russia

     4.91%     

Australia

     3.51%     

Japan

     2.00%     

Netherlands

     1.75%     

China

     1.69%     

France

     1.62%     

Other

     11.73%     

Total

     100.00%     
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

 

LOGO

The chart represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. The example is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first table under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second 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 costs were included, your costs would have been higher.

 

     

Beginning Account
Value

12/1/14

   

Ending Account
Value

5/31/15

     Expense
Ratio(a)
     Expenses Paid
During Period
  12/1/14 - 5/31/15(b)  
 

Global Commodity Equity ETF

          

  Actual

     $1,000.00                $1,009.90             0.65%           $3.26             

  Hypothetical (5% return before expenses)

     $1,000.00                $1,021.69             0.65%           $3.28             

 

(a)

The expense ratio has been based on the Fund’s most recent fiscal half year expenses.

(b)

The example in the table above is equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

3  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

 

Security Description    Shares      Value    

 

 

COMMON STOCKS (99.43%)

     

Australia (3.51%)

     
BHP Billiton PLC      33,634       $         709,148     
Fortescue Metals Group, Ltd.      21,941         40,595     
GrainCorp, Ltd., Class A      9,236         66,377     
Incitec Pivot, Ltd.      91,465         279,019     
Newcrest Mining, Ltd.*      28,844         311,604     
Woodside Petroleum, Ltd.      4,578         128,209     
     

 

 

 
Total Australia         1,534,952     
     

 

 

 

Brazil (1.23%)

     

Petroleo Brasileiro SA, Sponsored ADR*

     24,446         204,124     
Vale SA, Sponsored ADR      52,720         332,136     
     

 

 

 

Total Brazil

        536,260     
     

 

 

 

Canada (13.04%)

     
Agnico-Eagle Mines, Ltd.      8,099         260,632     
Agrium, Inc.      7,880         818,605     
Alamos Gold, Inc.      4,456         29,167     
B2Gold Corp.*      32,891         55,806     
Barrick Gold Corp.      43,897         519,591     
Cameco Corp.      6,496         97,367     
Canadian Natural Resources, Ltd.      6,921         213,596     
Detour Gold Corp.*      6,284         67,155     
Eldorado Gold Corp.      26,412         127,218     
EnCana Corp.      5,409         68,548     
First Quantum Minerals, Ltd.      9,646         124,725     
Goldcorp, Inc.      30,602         543,336     
IAMGOLD Corp.*      13,784         28,042     
Kinross Gold Corp.*      42,465         100,392     
New Gold, Inc.*      18,162         59,002     
Pan American Silver Corp.      5,597         53,017     

Potash Corp. of Saskatchewan, Inc.

     45,326         1,426,552     
Silver Wheaton Corp.      13,870         264,886     
Suncor Energy, Inc.      9,512         278,032     
Teck Resources, Ltd., Class B      7,567         88,046     
TransCanada Corp.      4,641         201,150     
Turquoise Hill Resources, Ltd.*      35,021         153,759     
Yamana Gold, Inc.      34,945         125,606     
     

 

 

 

Total Canada

        5,704,230     
     

 

 

 

Chile (0.26%)

     

Sociedad Quimica y Minera de Chile SA, Sponsored ADR

     5,917         115,559     
     

 

 

 

Total Chile

        115,559     
     

 

 

 

China (1.69%)

     

China BlueChemical, Ltd., Class H

     96,000         42,963     

China Modern Dairy Holdings, Ltd.*

     105,288         42,095     

China Petroleum & Chemical Corp., Class H

     154,137         135,775     

China Shenhua Energy Co., Ltd., Class H

     21,716         53,382     
Security Description    Shares      Value    

 

 

China (continued)

     
CNOOC, Ltd.      103,987       $         162,546     
Jiangxi Copper Co., Ltd., Class H      20,000         39,672     
PetroChina Co., Ltd., Class H      136,119         161,335     

Zijin Mining Group Co., Ltd., Class H

     223,000         99,512     
     

 

 

 

Total China

        737,280     
     

 

 

 

France (1.62%)

     
TOTAL SA      14,057         709,797     
     

 

 

 

Total France

        709,797     
     

 

 

 

Germany (1.14%)

     
K+S AG      9,671         315,144     
ThyssenKrupp AG      6,886         182,417     
     

 

 

 

Total Germany

        497,561     
     

 

 

 

Hong Kong (0.16%)

     
China Agri-Industries Holdings, Ltd.      118,000         71,223     
     

 

 

 

Total Hong Kong

        71,223     
     

 

 

 

Israel (0.64%)

     
Israel Chemicals, Ltd.      28,159         201,411     
The Israel Corp., Ltd.      223         79,522     
     

 

 

 

Total Israel

        280,933     
     

 

 

 

Italy (0.66%)

     
Eni SpA      16,051         288,936     
     

 

 

 

Total Italy

        288,936     
     

 

 

 

Japan (2.00%)

     
Hitachi Metals, Ltd.      4,000         66,616     
JFE Holdings, Inc.      8,200         200,615     
Kobe Steel, Ltd.      52,000         97,619     

Nippon Steel & Sumitomo Metal Corp.

     134,000         369,130     
Sumitomo Metal Mining Co., Ltd.      9,000         139,407     
     

 

 

 

Total Japan

        873,387     
     

 

 

 

Jersey (0.56%)

     
Randgold Resources, Ltd.      3,411         246,853     
     

 

 

 

Total Jersey

        246,853     
     

 

 

 

Luxembourg (0.38%)

     
ArcelorMittal      15,648         166,671     
     

 

 

 

Total Luxembourg

        166,671     
     

 

 

 

Malaysia (0.63%)

     
IOI Corp. BHD      112,800         122,769     
Kuala Lumpur Kepong BHD      13,020         73,517     
PPB Group BHD      19,400         80,754     
     

 

 

 

Total Malaysia

        277,040     
     

 

 

 

Mexico (0.99%)

     
Gruma SAB de CV, Class B      7,800         102,562     
 

 

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Table of Contents
Global Commodity Equity ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value    

 

 

Mexico (continued)

    

Grupo Mexico SAB de CV, Series B

     61,334      $ 190,189     

Industrias Penoles SAB de CV

     4,579        81,009     

Southern Copper Corp.

     1,988        59,680     
    

 

 

 

Total Mexico

       433,440     
    

 

 

 

Netherlands (1.75%)

    

Royal Dutch Shell PLC, Class A

     25,692        766,668     
    

 

 

 

Total Netherlands

       766,668     
    

 

 

 

Norway (1.22%)

    

Norsk Hydro ASA

     18,225        85,576     

Yara International ASA

     8,853        446,794     
    

 

 

 

Total Norway

       532,370     
    

 

 

 

Peru (0.21%)

    

Companhia de Minas Buenaventura SA, ADR

     8,093        90,642     
    

 

 

 

Total Peru

       90,642     
    

 

 

 

Poland (0.16%)

    

KGHM Polska Miedz SA

     2,207        67,930     
    

 

 

 

Total Poland

       67,930     
    

 

 

 

Russia (4.91%)

    

Gazprom OAO, Sponsored ADR

     77,923        418,213     

LUKOIL OAO, Sponsored ADR

     5,266        252,557     

MMC Norilsk Nickel JSC, ADR

     25,939        456,916     

NovaTek OAO, Sponsored GDR(a)

     1,980        199,782     

Phosagro OAO, GDR(a)

     21,596        286,147     

Polymetal International PLC

     6,715        57,166     

Severstal OAO, GDR(a)

     2,592        31,311     

Uralkali PJSC, Sponsored GDR(a)

     32,617        444,570     
    

 

 

 

Total Russia

           2,146,662     
    

 

 

 

Singapore (0.87%)

    

Golden Agri-Resources, Ltd.

     355,600        110,787     

Olam International, Ltd.

     27,900        41,081     

Wilmar International, Ltd.

     92,600        230,796     
    

 

 

 

Total Singapore

       382,664     
    

 

 

 

South Africa (1.09%)

    

Anglo American Platinum, Ltd.*

     1,339        31,858     

AngloGold Ashanti, Ltd., Sponsored ADR*

     12,026        115,209     

Gold Fields, Ltd.

     22,154        77,107     

Impala Platinum Holdings, Ltd.*

     15,466        78,064     

Kumba Iron Ore, Ltd.

     437        5,577     

Lonmin PLC*

     15,872        34,205     

Sasol, Ltd.

     2,690        94,844     

Sibayne Gold, Ltd.

     21,966        38,507     
    

 

 

 

Total South Africa

       475,371     
    

 

 

 
Security Description    Shares     Value    

 

 

South Korea (0.71%)

    

Hyundai Steel Co.

     900      $ 60,582     

POSCO

     1,138        250,550     
    

 

 

 

Total South Korea

       311,132     
    

 

 

 

Spain (0.33%)

    

Repsol YPF SA

     7,565        144,071     
    

 

 

 

Total Spain

       144,071     
    

 

 

 

Switzerland (6.03%)

    

Glencore International PLC

     64,519        283,949     

Syngenta AG

     5,106        2,311,649     

Transocean, Ltd.

     2,163        40,773     
    

 

 

 

Total Switzerland

       2,636,371     
    

 

 

 

Taiwan (0.47%)

    

China Steel Corp.

     166,790        138,027     

Taiwan Fertilizer Co., Ltd.

     38,400        66,684     
    

 

 

 

Total Taiwan

       204,711     
    

 

 

 

United Kingdom (6.54%)

    

Anglo American PLC

     19,497        305,739     

Antofagasta PLC

     5,523        62,972     

BG Group PLC

     21,322        370,531     

BP PLC

     120,304        828,805     

CNH Industrial NV

     52,526        465,906     

Ensco PLC, Class A

     1,545        36,307     

Rio Tinto PLC

     18,115        790,739     
    

 

 

 

Total United Kingdom

           2,860,999     
    

 

 

 

United States (46.63%)

    

AGCO Corp.

     4,398        223,330     

Alcoa, Inc.

     19,893        248,663     

Allegheny Technologies, Inc.

     1,716        55,770     

Anadarko Petroleum Corp.

     3,319        277,502     

The Andersons, Inc.

     1,473        65,313     

Apache Corp.

     2,485        148,702     

Archer-Daniels-Midland Co.

     34,052        1,799,648     

Baker Hughes, Inc.

     2,826        182,164     

Bunge, Ltd.

     7,780        720,117     

Cabot Oil & Gas Corp.

     2,648        89,926     

Cameron International Corp.*

     1,223        62,777     

CF Industries Holdings, Inc.

     2,639        833,607     

Cheniere Energy, Inc.*

     1,518        115,110     

Chesapeake Energy Corp.

     3,763        53,096     

Chevron Corp.

     12,377        1,274,831     

Cliffs Natural Resources, Inc.

     2,012        10,684     

ConocoPhillips

     8,078        514,407     

Continental Resources, Inc.*

     523        23,828     

Deere & Co.

     18,523        1,735,235     

Devon Energy Corp.

     2,524        164,615     

EOG Resources, Inc.

     3,579        317,422     

EQT Corp.

     1,004        85,410     

Exxon Mobil Corp.

     27,678        2,358,166     
 

 

5  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description     Shares     Value    

 

 

United States (continued)

  

 

Freeport-McMoRan, Inc.

  

    16,775      $ 329,629     

Halliburton Co.

  

    5,257        238,668     

Hecla Mining Co.

  

    13,548        42,134     

Hess Corp.

  

    1,738        117,350     

Ingredion, Inc.

  

    3,953        324,027     

Intrepid Potash, Inc.*

  

    3,415        39,682     

Kinder Morgan, Inc.

  

    11,554        479,376     

Marathon Oil Corp.

  

    4,406        119,799     

Monsanto Co.

  

    26,479        3,097,513     

The Mosaic Co.

  

    17,611        807,464     

National Oilwell Varco, Inc.

  

    2,807        138,076     

Newmont Mining Corp.

  

    18,746        510,641     

Noble Energy, Inc.

  

    2,476        108,399     

Nucor Corp.

  

    5,198        245,865     

Occidental Petroleum Corp.

  

    5,014        392,045     

Pioneer Natural Resources Co.

  

    974        143,986     

Reliance Steel & Aluminum Co.

  

    1,219        77,772     

Royal Gold, Inc.

  

    2,329        150,849     

Schlumberger, Ltd.

  

    8,410        763,376     

Seaboard Corp.*

  

    17        58,310     

Southwestern Energy Co.*

  

    2,421        62,389     

Spectra Energy Corp.

  

    4,364        153,482     

Steel Dynamics, Inc.

  

    3,806        83,009     

Stillwater Mining Co.*

  

    4,431        64,205     

United States Steel Corp.

  

    2,307        56,291     

Valero Energy Corp.

  

    3,369        199,580     

The Williams Co., Inc.

  

    4,501        230,001     
     

 

 

 

Total United States

  

      20,394,241     
     

 

 

 

TOTAL COMMON STOCKS

(Cost $53,847,516)

  

  

    43,487,954     
     

 

 

 
    7 Day Yield     Shares     Value    

 

 

SHORT TERM INVESTMENTS (0.47%)

  

Dreyfus Treasury Prime Cash Management, Institutional Class

    0.000%(b)             205,200        205,200     
     

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $205,200)

  

  

    205,200     
     

 

 

 

TOTAL INVESTMENTS (99.90%)

(Cost $54,052,716)

  

  

  $ 43,693,154     

NET OTHER ASSETS AND LIABILITIES (0.10%)

   

    44,230     
     

 

 

 

NET ASSETS (100.00%)

  

  $   43,737,384     
     

 

 

 
*

Non-income producing security.

(a) 

These securities initially sold to other parties pursuant to Regulation S under the 1933 Act and subsequently resold to the Fund. As of May 31, 2015, the aggregate market values of these securities were $961,810, representing 2.20% of the Fund’s net assets.

(b) 

Less than 0.0005%.

Common Abbreviations:

ADR

 

-

   American Depositary Receipt.

AG

 

-

   Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.

ASA

 

-

   Allmennaksjeselskap is the Norwegian term for public limited company.

BHD

 

-

   Berhad (equivalent to Public Limited Company in Malaysia).

GDR

 

-

   Global Depository Receipt.

JSC

 

-

   Joint Stock Company.

Ltd.

 

-

   Limited.

NV

 

-

   Naamloze Vennootschap is the Dutch term for a public limited liability corporation.

OAO

 

-

   Otkytoe Aktsionernoe Obshchestvo (open Joint Stock Corporation) is a Russian term for a stock-based corporation.

PJSC

 

-

   Public Joint Stock Company.

PLC

 

-

   Public Limited Company.

SA

 

-

   Generally designated corporations in various countries, mostly those employing the civil law.

SAB de CV

 

-

   A variable capital company.

SpA

 

-

   Societa Per Azioni is an Italian shared company.

See Notes to Financial Statements.

 

 

6  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

 

ASSETS:

 

Investments, at value

  $ 43,693,154     

Cash

    6,590     

Foreign currency, at value (Cost $3,341)

    3,366     

Receivable for investments sold

    54,652     

Foreign tax reclaims

    65,189     

Dividends receivable

    126,663     

 

 

Total Assets

    43,949,614     

 

 

LIABILITIES:

 

Payable for investments purchased

    187,631     

Payable to adviser

    24,599     

 

 

Total Liabilities

    212,230     

 

 

NET ASSETS

  $           43,737,384     

 

 

NET ASSETS CONSIST OF:

 

Paid-in capital

  $ 65,222,941     

Accumulated net investment income

    286,925     

Accumulated net realized loss on investments and foreign currency transactions

    (11,406,533)     

Net unrealized depreciation on investments and translation of assets and liabilities denominated in foreign currencies

    (10,365,949)     

 

 

NET ASSETS

  $ 43,737,384     

 

 

INVESTMENTS, AT COST

  $ 54,052,716     

PRICING OF SHARES

 

Net Assets

  $ 43,737,384     

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

    1,100,020     

Net Asset Value, offering and redemption price per share

  $ 39.76     

 

See Notes to Financial Statements.

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Table of Contents
Global Commodity Equity ETF     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

 

INVESTMENT INCOME:

 

Dividends(a)

  $             778,721     

 

 

Total Investment Income

    778,721     

 

 

EXPENSES:

 

Investment adviser fee

    150,058     

 

 

Total Expenses

    150,058     

 

 

NET INVESTMENT INCOME

    628,663     

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

 

Net realized loss on investments

    (920,261)     

Net realized loss on foreign currency transactions

    (6,676)     

Net change in unrealized appreciation on investments

    516,262     

Net change in unrealized depreciation on translation of assets and liabilities denominated in foreign currencies

    (1,131)     

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS

    (411,806)     

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

  $ 216,857     

 

 

 

(a) 

Net of foreign tax withholding of $57,713.

 

See Notes to Financial Statements.

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Table of Contents
Global Commodity Equity ETF     

 

Statements of Changes in Net Assets

  

 

 

    

For the Six 

Months Ended 

May 31, 2015 

(Unaudited) 

    

For the  

Year Ended  

November 30,  

2014  

 

 

 

OPERATIONS:

     

Net investment income

   $ 628,663       $ 1,293,725     

Net realized loss on investments and foreign currency transactions

     (926,937)         (2,536,808)     

Net change in unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     515,131         (1,747,903)     

 

 

Net increase/(decrease) in net assets resulting from operations

     216,857         (2,990,986)     

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (495,136)         (1,308,650)     

 

 

Total distributions

     (495,136)         (1,308,650)     

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

             4,383,293     

Cost of shares redeemed

     (13,671,670)         (4,612,954)     

 

 

Net decrease from share transactions

     (13,671,670)         (229,661)     

 

 

Net decrease in net assets

     (13,949,949)         (4,529,297)     

NET ASSETS:

     

Beginning of period

     57,687,333         62,216,630     

 

 

End of period *

   $              43,737,384       $              57,687,333     

 

 

*Including accumulated net investment income of:

   $ 286,925       $ 153,398     

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     1,450,020         1,450,020     

Shares sold

             100,000     

Shares redeemed

     (350,000)         (100,000)     

 

 

Shares outstanding, end of period

     1,100,020         1,450,020     

 

 

 

See Notes to Financial Statements.

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Global Commodity Equity ETF     

 

Financial Highlights

  

For a Share Outstanding Throughout the Periods Presented

 

 

   

For the

Six Months
Ended
 May 31, 2015 
(Unaudited)

   

 For the Year
 Ended
 November 30,

 2014(a)

     For the Year
 Ended
 November 30,
 2013
     For the Year
 Ended
 November 30,
 2012
   

 For the Period
 January 1,

 2011 to
 November 30,
 2011(b)

    For the Year
Ended
December 31, 
2010
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 39.78        $ 42.91        $ 44.11        $ 44.65        $ 49.33        $ 42.82     

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

  

       

Net investment income (c)

    0.53          0.86          0.81          0.71          0.58          0.46     

Net realized and unrealized gain/(loss)

    (0.15)          (3.11)          (1.17)          (0.57)          (4.78)          6.54     

 

 

Total from investment operations

    0.38          (2.25)          (0.36)          0.14          (4.20)          7.00     

 

 

DISTRIBUTIONS:

           

From net investment income

    (0.40)          (0.88)          (0.84)          (0.68)          (0.48)          (0.49)     

 

 

Total distributions

    (0.40)          (0.88)          (0.84)          (0.68)          (0.48)          (0.49)     

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

    (0.02)          (3.13)          (1.20)          (0.54)          (4.68)          6.51     

 

 

NET ASSET VALUE, END OF PERIOD

  $ 39.76        $ 39.78        $ 42.91        $ 44.11        $ 44.65        $ 49.33     

 

 

TOTAL RETURN(d)

    0.99%         (5.43)%         (0.78)%         0.35%         (8.56)%         16.60%    

RATIOS/SUPPLEMENTAL DATA:

           

Net assets, end of period (000s)

  $ 43,737        $ 57,687        $ 62,217        $ 77,199        $ 91,539        $ 111,001     

Ratio of expenses to average net assets

    0.65%(e)         0.65%         0.65%         0.65%         0.65%(e)         0.65%    

Ratio of net investment income to average net assets

    2.72%(e)         1.97%         1.86%         1.61%         1.29%(e)         1.09%    

Portfolio turnover rate(f)

    9%          12%          20%          13%          10%         18%     

 

(a) 

Prior to March 31, 2014 the Global Commodity Equity ETF was known as the Jefferies | TR/J CRB Global Commodity Equity Index Fund.

(b) 

Effective March 7, 2011, the Board approved changing the fiscal year end of the Fund from December 31 to November 30.

(c) 

Based on average shares outstanding during the period.

(d) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(e) 

Annualized.

(f) 

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

10  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the Global Commodity Equity ETF (the “Fund”) (prior to March 31, 2014, known as the Jefferies | TR/J CRB Global Commodity Equity Index Fund). The investment objective of the Fund is to seek investment results that replicate as closely as possible, before fees and expenses, the price and yield performance of the Thomson Reuters CRB Commodity Producers Index. The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares, at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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Global Commodity Equity ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –  

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –  

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –  

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments at May 31, 2015:

Global Commodity Equity ETF

Investments in Securities at Value*    Level 1 -
 Unadjusted Quoted 
Prices
    Level 2 -
Other Significant
  Observable Inputs  
   

Level 3 -

Significant
Unobservable Inputs

    Total  

 

 

Common Stocks

   $ 43,487,954         $ –          $ –          $ 43,487,954     

Short Term Investments

     205,200           –            –            205,200     

 

 

TOTAL

   $ 43,693,154         $ –          $ –          $             43,693,154     

 

 

 

*

For a detailed country breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Foreign Securities

The Fund may directly purchase securities of foreign issuers. Investing in securities of foreign issuers involves special risks not typically associated with investing in securities of U.S. issuers. The risks include possible reevaluation of currencies, the inability to repatriate foreign currency, less complete financial information about companies and possible future adverse political and economic developments.

Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of securities of comparable U.S. issuers.

 

12  |  May 31, 2015


Table of Contents
Global Commodity Equity ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

D. Foreign Currency Translation

The books and records of the Fund are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

E. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date, net of any foreign taxes withheld. Interest income, if any, is recorded on the accrual basis.

F. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

G. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

        Ordinary Income    

 

 

November 30, 2014

  

Global Commodity Equity ETF

   $ 1,308,650       

Under the Regulated Investment Company Modernization Act of 2010 (“the Modernization Act”), net capital losses recognized in tax years beginning after December 22, 2010 may be carried forward indefinitely, and the character of the losses is retained as short-term and/or long-term. Under the law in effect prior to the Modernization Act, net capital losses were carried forward for eight years and treated as short-term. As a transition rule, the Modernization Act requires that post-enactment net capital losses be used before pre-enactment net capital losses. Additionally, post-enactment capital losses that are carried forward will retain their character as either short-term or long-term losses rather than being considered all short-term as under previous law.

At November 30, 2014, the Fund had available for tax purposes unused pre-enactment capital loss carryforwards as follows:

 

     Expiring in 2018            

 

Global Commodity Equity ETF

   $679,396            

At November 30, 2014, the Fund had available for tax purposes unused post-enactment capital loss carryforwards as follows:

 

Fund        Short-Term          Long-Term          

 

 

Global Commodity Equity ETF

   $                     1,551,338       $                     7,822,963           

 

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Global Commodity Equity ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

     Global Commodity 
Equity ETF 
 

 

 

Gross appreciation (excess of value over tax cost)

   $ 4,142,923         

Gross depreciation (excess of tax cost over value)

     (14,928,384)         

 

 

Net unrealized appreciation (depreciation)

     (10,785,461)         

 

 

Cost of investments for income tax purposes

   $ 54,478,615         

 

 

The differences between book-basis and tax-basis are due to the deferral of losses from wash sales and Passive Foreign Investment Company (“PFIC”) adjustments.

H. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an advisory agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.65% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses, such as litigation, not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

 

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Global Commodity Equity ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

Fund      Purchases        Sales        

 

 

Global Commodity Equity ETF

   $     4,437,003           $     4,648,639         

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

  
Fund      Purchases         Sales        

 

 

Global Commodity Equity ETF

   $ –           $   13,306,508         

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Global Commodity Equity ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

                Qualified Dividend Income                   Dividend Received Deduction            

 

Global Commodity Equity ETF

  97.35%   44.92%

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LISCENSING AGREEMENT

 

S-Network® Global Indexes, Inc. (the “Index Provider”) is not affiliated with the Trust, the Adviser or the Distributor. The Adviser has entered into a license agreement with the Index Provider to use the Fund’s Index.

The Index Provider is the designer of the construction and methodology for the Index. “Thomson,” “Thomson Reuters,” “Reuters” and “CRB” are service marks or trademarks of Reuters America LLC, a Thomson Reuters company, or its affiliates (“Thomson Reuters”). Thomson Reuters acts as brand licensor for the Underlying Index. Thomson Reuters is not responsible for the descriptions of the Underlying Index or the Fund that appear herein. Thomson Reuters is not affiliated with the Index Provider, the Trust, the Adviser or the Distributor.

The Index Provider, Thomson Reuters and their affiliates and their respective directors, officers and employees (collectively the “Index Parties”) may buy or sell securities contemplated herein as agent or as principal for their own account and may have positions or engage in transactions based on or indexed to the Index. It is possible that such trading activity will affect the value of the Index and the Fund.

THE FUND IS NOT SPONSORED, ENDORSED, SOLD OR PROMOTED BY REUTERS AMERICA LLC (“THOMSON REUTERS”), S-NETWORK GLOBAL INDEXES, INC. (“SNGI”) OR ANY OF THEIR SUBSIDIARIES OR AFFILIATES (COLLECTIVELY THE “INDEX PARTIES”). THE INDEX PARTIES MAKE NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, TO THE OWNERS OF THE FUND OR ANY MEMBER OF THE PUBLIC REGARDING THE ADVISABILITY OF INVESTING IN SECURITIES OR COMMODITIES GENERALLY OR IN THE FUND PARTICULARLY. THE INDEX PARTIES’ ONLY RELATIONSHIP TO THE FUND AND THE FUND (THE “LICENSEE”) IS THE LICENSING OF THE THOMSON REUTERS CRB COMMODITY PRODUCERS INDEX NAME TO WHICH THE PRODUCT REFERS. THE INDEX IS DETERMINED AND COMPOSED WITHOUT REGARD TO THE LICENSEE OR THE FUND. THE INDEX PARTIES HAVE NO OBLIGATION TO TAKE THE NEEDS OF THE LICENSEE OR THE OWNERS OF THE FUND INTO CON SID ERA TION IN CONNECTION WITH THE FOREGOING. THE INDEX PARTIES ARE NOT RESPONSIBLE FOR AND HAVE NOT PARTICIPATED IN THE DETERMINATION OF THE TIMING OF, PRICES AT, OR QUANTITIES OF THE FUND TO BE ISSUED OR IN THE DETERMINATION OR CALCULATION OF THE EQUATION BY WHICH THE FUND IS TO BE CONVERTED INTO CASH. THE INDEX PARTIES HAVE NO OBLIGATION OR LIABILITY IN CONNECTION WITH THE ADMINISTRATION, MARKETING OR TRADING OF THE FUND.

THE INDEX PARTIES DO NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE THOMSON REUTERS CRB COMMODITY PRODUCERS INDEX OR ANY DATA INCLUDED THEREIN AND THE INDEX PARTIES SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. THE INDEX PARTIES MAKE NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE THOMSON REUTERS CRB COMMODITY PRODUCERS INDEX OR ANY DATA INCLUDED THEREIN. THE INDEX PARTIES MAKE NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIM ALL WARRANTIES OF MERCHANTABILITY OR

 

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Global Commodity Equity ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE THOMSON REUTERS CRB COMMODITY PRODUCERS INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL THE INDEX PARTIES HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

The Adviser does not guarantee the accuracy and/or the completeness of the Index or any data included therein, and the Adviser shall have no liability for any errors, omissions or interruptions therein. The Adviser makes no warranty, express or implied, as to results to be obtained by the Fund, owners of the Shares of the Fund or any other person or entity from the use of the Index or any data included therein. The Adviser makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Index or any data included therein. Without limiting any of the foregoing, in no event shall the Adviser have any liability for any special, punitive, direct, indirect or consequential damages (including lost profits) arising out of matters relating to the use of the Underlying Index, even if notified of the possibility of such damages.

 

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 SEMI-ANNUAL REPORT | May 31, 2015

 

 

 

This report has been prepared for shareholders of the ETF described herein and

may be distributed to others only if preceded or accompanied by a prospectus.

 

   

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

   


Table of Contents

LOGO                 

May 31, 2015              

 

 

LOGO

 

 

LOGO                 


Table of Contents

table of

CONTENTS

 

Performance Overview 

      1

Disclosure of Fund Expenses 

      3

Schedule of Investments 

      4

Statement of Assets & Liabilities 

      5

Statement of Operations 

      6

Statements of Changes In Net Assets 

      7

Financial Highlights 

      8

Notes to Financial Statements 

      9

Additional Information 

      13

 

www.alpsfunds.com


Table of Contents
ALPS Equal Sector Weight ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The Fund seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the Banc of America Securities – Merrill Lynch Equal Sector Weight Index (the “Underlying Index”). The Fund’s investment objective is not fundamental and may be changed by the Board of Trustees without shareholder approval.

The Adviser will seek to replicate as closely as possible the performance of the Underlying Index. The Underlying Index is an index of indexes comprised in equal proportions of the nine Select Sector SPDR Indexes (“The Underlying Sector Indexes”). These are the Consumer Discretionary Select Sector Index, Consumer Staples Select Sector Index, Materials Select Sector Index, Energy Select Sector Index, Technology Select Sector Index, Utilities Select Sector Index, Financial Select Sector Index, Industrial Select Sector Index and Health Care Select Sector Index. In order to track the securities in the Underlying Index, the Fund will use a “fund of funds” approach, and seek to achieve its investment objective by investing at least 90% if its total assets in the shares of Select Sector SPDR exchange-traded funds (each, an “Underlying Sector ETF” and collectively, the “Underlying Sector ETFs”) that track the Underlying Sector Indexes of which the Underlying Index is comprised.

The Underlying Index is designed to track the equally weighted performance of the Underlying Sector Indexes. Accordingly, each Underlying Index is rebalanced quarterly so that each rebalance will result in each Underlying Sector Index having an Index weight of 11.1% and the Underlying Sector Indexes in aggregate total to 100.0%.

 

Performance

 

(as of May 31, 2015)

 

                6 Months                 1 Year                   3 Year                   5 Year             Since Inception^  

ALPS Equal Sector Weight ETF - NAV

      2.28%   9.30%   18.31%   15.76%   17.32%

ALPS Equal Sector Weight ETF - Market Price*

      2.26%   9.26%   18.33%   15.78%   17.35%

Banc of America Securities Merrill Lynch Equal Sector Weight Index

      1.36%   7.36%   16.27%   13.77%   15.30%

S&P 500® Total Return Index

      2.97%   11.81%   19.67%   16.54%   17.99%

Total Expense Ratio (per the current Prospectus) 0.30%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on July 6, 2009 with an Inception Date, the first day of trading on the Exchange, of July 7, 2009.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

Banc of America Securities Merrill Lynch Equal Sector Weight Index: a U.S. equity index comprised, in equal weights, of nine sub-indices, and is a price-return index.

S&P 500® Total Return Index: the Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The ALPS Equal Sector Weight ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

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ALPS Equal Sector Weight ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

The following table shows the sector weights of both the Fund and the S&P 500® as of May 31, 2015:

Sector Weighting Comparison (as of May 31, 2015)

 

      EQL*    S&P 500®    +/-

Consumer Discretionary

     11.0%        12.5%        -1.5%  

Consumer Staples

     11.1%          9.5%         1.6%  

Energy

     11.3%          7.9%         3.4%  

Financials

     11.0%        16.3%        -5.3%  

Healthcare

     11.1%        15.1%        -4.0%  

Industrials

     10.8%        10.2%         0.6%  

Materials

     11.4%          3.2%         8.2%  

Technology

     11.3%        22.3%      -11.0%  

Utilities

     11.0%          3.0%         8.0%  

Total

   100.0%      100.0%         0.0%  

Source: S&P 500®

 

*

% of Total Investments.

Future holdings are subject to change.

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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ALPS Equal Sector Weight ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. The example is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

    

Beginning Account
Value

12/1/14

  

Ending Account
Value

5/31/15

  

Expense        

Ratio(a)          

     Expenses Paid
During Period
12/1/14 - 5/31/15(b)
 

 

 

  ALPS Equal Sector Weight ETF

           

Actual

         $  1,000.00              $  1,022.80          0.28%           $ 1.41           

Hypothetical (5% return before expenses)

         $  1,000.00              $  1,023.54          0.28%           $ 1.41           

 

 

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

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ALPS Equal Sector Weight ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

SECURITY DESCRIPTION          SHARES      VALUE          

 

 

EXCHANGE TRADED FUNDS (99.95%)

       

Consumer Discretionary (11.01%)

       

Consumer Discretionary Select Sector SPDR® Fund

       208,373        $ 15,898,860     
       

 

 

 

 

Consumer Staples (11.05%)

       

Consumer Staples Select Sector SPDR® Fund

       326,824         15,945,743     
       

 

 

 

 

Energy (11.29%)

       

Energy Select Sector SPDR® Fund

       207,991         16,300,255     
       

 

 

 

 

Financials (11.03%)

       

Financial Select Sector SPDR® Fund

       647,350         15,924,810     
       

 

 

 

 

Healthcare (11.10%)

       

Health Care Select Sector SPDR® Fund

       213,596         16,019,700     
       

 

 

 

 

Industrials (10.82%)

       

Industrial Select Sector SPDR® Fund

       279,986         15,626,019     
       

 

 

 

 

Materials (11.39%)

       

Materials Select Sector SPDR® Fund

       324,930         16,444,707     
       

 

 

 

 

Technology (11.30%)

       

Technology Select Sector SPDR® Fund

       375,997         16,306,990     
       

 

 

 

 

Utilities (10.96%)

       

Utilities Select Sector SPDR® Fund

       355,555         15,822,197     
       

 

 

 

 

TOTAL EXCHANGE TRADED FUNDS

       

(Cost $118,431,329)

          144,289,281     
       

 

 

 
    7 DAY YIELD      SHARES      VALUE          

 

 

SHORT TERM INVESTMENTS (0.07%)

       

Dreyfus Treasury Prime Cash Management, Institutional Class

    0.000%(a)         95,129         95,129     
       

 

 

 

TOTAL SHORT TERM INVESTMENTS

       

(Cost $95,129)

          95,129     
       

 

 

 

TOTAL INVESTMENTS (100.02%)

       

(Cost $118,526,458)

        $ 144,384,410     

NET LIABILITIES LESS OTHER ASSETS (-0.02%)

          (18,698)     
       

 

 

 

NET ASSETS (100.00%)

        $         144,365,712     
       

 

 

 

 

(a) 

Less than 0.0005% .

Common Abbreviations:

SPDR® - Standard & Poor’s Depositary Receipts

See Notes to Financial Statements.

 

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ALPS Equal Sector Weight ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $     144,384,410         

 

 

Total Assets

     144,384,410         

 

 

LIABILITIES:

  

Payable to adviser

     18,698         

 

 

Total Liabilities

     18,698         

 

 

NET ASSETS

   $ 144,365,712         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 111,221,547         

Accumulated net investment loss

     (12,196)         

Accumulated net realized gain on investments

     7,298,409         

Net unrealized appreciation on investments

     25,857,952         

 

 

NET ASSETS

   $ 144,365,712         

 

 

INVESTMENTS, AT COST

   $ 118,526,458         

PRICING OF SHARES

  

Net Assets

   $ 144,365,712         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $ 0.01 per share)

     2,500,000         

Net Asset Value, offering and redemption price per share

   $ 57.75         

 

See Notes to Financial Statements.

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ALPS Equal Sector Weight ETF     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Dividends

   $ 1,556,997         

 

 

Total investment income

     1,556,997         

 

 

EXPENSES:

  

Investment adviser fees

     268,941         

 

 

Total expenses before waiver/reimbursement

     268,941         

 

 

Less fees waiver/reimbursement by investment adviser

     (68,716)         

 

 

Net Expenses

     200,225         

 

 

NET INVESTMENT INCOME

     1,356,772         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized gain on investments

     7,433,867         

Net change in unrealized depreciation on investments

         (5,478,447)         

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     1,955,420         

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 3,312,192         

 

 

 

See Notes to Financial Statements.

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ALPS Equal Sector Weight ETF     

 

Statements of Changes in Net Assets

  

 

     For the Six
Months Ended
May 31, 2015
(Unaudited)
     For the
Year Ended
November 30,
2014
 

 

 

OPERATIONS:

     

Net investment income

   $ 1,356,772       $ 2,203,303       

Net realized gain on investments

     7,433,867         10,360,476       

Net change in unrealized appreciation/(depreciation) on investments

     (5,478,447)         6,636,619       

 

 

Net increase in net assets resulting from operations

     3,312,192         19,200,398       

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (1,382,148)         (2,197,152)       

 

 

Total distributions

     (1,382,148)         (2,197,152)       

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     22,873,160         46,558,747       

Cost of shares redeemed

     (20,123,962)         (34,120,471)       

 

 

Net increase from share transactions

     2,749,198         12,438,276       

 

 

Net increase in net assets

     4,679,242         29,441,522       

NET ASSETS:

     

Beginning of period

     139,686,470         110,244,948       

 

 

End of period *

   $     144,365,712       $     139,686,470       

 

 

*Including accumulated net investment income/(loss) of:

   $ (12,196)       $ 13,180       

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     2,450,000         2,200,000       

Shares sold

     400,000         900,000       

Shares redeemed

     (350,000)         (650,000)       

 

 

Shares outstanding, end of year

     2,500,000         2,450,000       

 

 

 

See Notes to Financial Statements.

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ALPS Equal Sector Weight ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

    For the
Six Months
Ended
May 31,
2015
(Unaudited)
    For the Year
Ended
November 30,
2014
    For the Year
Ended
November 30,
2013
    For the Year
Ended
November 30,
2012
    For the
Period
January 1,
2011 to
November 30,
2011(a)
    For the Year
Ended
December 31,
2010
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 57.01      $ 50.11      $ 39.79      $ 35.48      $ 35.34      $ 31.13       
INCOME FROM OPERATIONS:            

Net investment income(b)

    0.53        0.90        0.81        0.69        0.41        0.68       

Net realized and unrealized gain

    0.76        6.90        10.35        4.35        0.18        4.14       

 

 

Total from investment operations

    1.29        7.80        11.16        5.04        0.59        4.82       

 

 
DISTRIBUTIONS:            

From net investment income

    (0.55)        (0.90)        (0.84)        (0.71)        (0.45)        (0.61)       

From tax return of capital

                         (0.02)               –       

 

 

Total distributions

    (0.55)        (0.90)        (0.84)        (0.73)        (0.45)        (0.61)       

 

 

NET INCREASE IN NET ASSET VALUE

    0.74        6.90        10.32        4.31        0.14        4.21       

 

 

NET ASSET VALUE, END OF PERIOD

  $ 57.75      $ 57.01      $ 50.11      $ 39.79      $ 35.48      $ 35.34       

 

 

TOTAL RETURN(c)

    2 .28%        15 .71%        28.41%        14.35%        1 .67%        15.67%       
RATIOS/SUPPLEMENTAL DATA:            

Net assets, end of period (in 000s)

  $     144,366        $ 139,686        $ 110,245        $ 75,592        $ 62,091        $ 53,012         

Ratio of expenses excluding waiver/reimbursement to average net assets

    0.37%(d)        0.37%        0.37%        0.37%        0.37%(d)        0.37%       

Ratio of expenses including waiver/reimbursement to average net assets

    0.28%(d)        0.34%        0.34%        0.34%        0.34%(d)        0.34%       

Ratio of net investment income excluding waiver/reimbursement to average net assets

    1.77%(d)        1.67%        1.77%        1.76%        1.22%(d)        2.11%       

Ratio of net investment income including waiver/reimbursement to average net assets

    1.87%(d)        1.70%        1.80%        1.79%        1.25%(d)        2.14%       

Portfolio turnover rate(e)

    3%        3%        2%        4%        4%        7%       

 

(a) 

Effective March 7, 2011, the Board approved changing the fiscal year end of the Fund from December 31 to November 30.

(b) 

Based on average shares outstanding during the period.

(c) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(d) 

Annualized.

(e) 

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

See Notes to Financial Statements.

 

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ALPS Equal Sector Weight ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the ALPS Equal Sector Weight ETF (the “Fund”). The investment objective of the Fund is to seek investment results that replicate as closely as possible, before fees and expenses, the performance of the Bank of America Securities - Merrill Lynch Equal Sector Weight Index. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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ALPS Equal Sector Weight ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Exchange Traded Funds, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

   

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

   

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

   

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of inputs used to value the Fund’s investments at May 31, 2015:

 

Investments in Securities at Value *     Level 1 - Unadjusted
Quoted Prices
      Level 2 - Significant
Observable Inputs
      Level 3 - Significant
  Unobservable Inputs
    Total              

 

 
Exchange Traded Funds   $         144,289,281      $         –      $         –      $             144,289,281     
Short Term Investments     95,129                      95,129     

 

 
TOTAL   $ 144,384,410      $      $      $ 144,384,410     

 

 

 

*

For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the period ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

D. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

 

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ALPS Equal Sector Weight ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

E. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

       Ordinary Income    

 

 

November 30, 2014

  

ALPS Equal Sector Weight ETF

   $  2,197,152       

At November 30, 2014, the Fund had available for tax purposes unused post-enactment capital loss carryforwards as follows:

 

Fund    Short-Term        Long-Term          

 

 
ALPS Equal Sector Weight ETF    $                         –       $                   9,114       

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

Gross appreciation (excess of value over tax cost)    $ 26,446,351       
Gross depreciation (excess of tax cost over value)      (684,705)       

 

 
Net unrealized appreciation (depreciation)      25,761,646       

 

 
Cost of investments for income tax purposes    $        118,622,764       

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales.

F. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.37% of the Fund’s average daily net assets.

Effective April 1, 2015 the Adviser has agreed to waive 0.19% of its annual unitary fee payable by the Fund until at least March 31, 2016. This waiver may only be terminated by the Fund’s Board of Trustees prior to such date.

ALPS Portfolio Solutions Distributor, Inc. (“APSD”) is both the distributor for the Fund as well as the Select Sector SPDR exchange traded funds (“Underlying Sector ETFs”) that the Fund invests in. As required by exemptive relief obtained by the Underlying Sector ETFs, the Adviser will reimburse the Fund an amount equal to the distribution fee received by APSD from the Underlying Sector ETFs attributable to the Fund’s investment in the Underlying Sector ETFs, for so long as APSD acts as the distributor to the Fund and the Underlying Sector ETFs. Such

 

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ALPS Equal Sector Weight ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

reimbursement is generally expected to equal 0.03% annually. This waiver may only be terminated by the Fund’s Board of Trustees prior to such date.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for acquired fund fees and expenses, interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short–term investments and in-kind transactions, were as follows:

 

Fund    Purchases      Sales      

 

 
ALPS Equal Sector Weight ETF    $    4,219,547       $     4,564,469       

For the six months ended May 31, 2015, the cost in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases        Sales    

 

 
ALPS Equal Sector Weight ETF    $   22,873,343       $   19,775,003       

Gains on in-kind transactions are generally not considered taxable gains for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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ALPS Equal Sector Weight ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (UNAUDITED)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income    Dividend Received Deduction            

 

ALPS Equal Sector Weight ETF    100.00%    100.00%            

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENT

 

Merrill Lynch, Pierce, Fenner & Smith Incorporated (“Merrill Lynch” or the “Licensor”) has entered into an index licensing agreement with ALPS Advisors Inc. (the Advisor”) to allow the Advisor’s use of the underlying index of the ALPS Equal Sector Weight ETF (the “Fund”). The following disclosure relates to the Licensor:

The Fund is not issued, sponsored, endorsed, sold or promoted by Merrill Lynch or its affiliates (“Licensor”). Licensor makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities generally or in the Fund particularly or the ability of the Bank of America Securities Merrill Lynch Equal Sector Weight Index (“Index”) to track general market performance. Licensor’s only relationship to the Licensee is the licensing of the Index which is determined, composed and calculated by Licensor without regard to the Licensee or the Fund. Licensor has no obligation to take the needs of the Licensee or the owners of the Fund into consideration in determining, composing or calculating the Index. Licensor is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Fund to be issued or in the determination or calculation of the equation by which the Fund is to be converted into cash. Licensor has no obligation or liability in connection with the issuance, administration, marketing or trading of the Fund.

LICENSOR DOES NOT GUARANTEE THE QUALITY, ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND SHALL HAVE NO LIABILITY FOR ERRORS OR OMISSIONS OF ANY KIND RELATED TO THE INDEX OR DATA. LICENSOR MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE FUND, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN IN CONNECTION WITH THE RIGHTS LICENSED TO LICENSEE OR FOR ANY OTHER USE. LICENSOR MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND HEREBY EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL LICENSOR HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

The Advisor does not guarantee the accuracy and/or the completeness of the Underlying Index or any data included therein, and the Advisor shall have no liability for any errors, omissions or interruptions therein. The Advisor makes no warranty, express or implied, as to results to be obtained by the Fund, owners of the Shares of the Fund or any other person or entity from the use of the Underlying Index or any data included therein. The Advisor makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Underlying Index or any data included therein. Without limiting any of the foregoing, in no event shall the Advisor have any liability for any special, punitive, direct, indirect or consequential damages (including lost profits) arising out of matters relating to the use of the Underlying Index even if notified of the possibility of such damages.

 

13  |  May 31, 2015


Table of Contents

 

 

 

 

SEMI-ANNUAL REPORT | May 31, 2015

 

       

 

This report has been prepared for shareholders of the ETF described herein and may be distributed to others only if preceded or accompanied by a prospectus.

       

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

       


Table of Contents

LOGO             

May 31, 2015              

 

 

 

 

LOGO

 

 

  

2015

 

SEMI-ANNUAL REPORT

 

ALPS ETF TRUST


Table of Contents

table of

CONTENTS

 

Performance Overview  

         1   

 

Disclosure of Fund Expenses

         3   

 

Financial Statements

    

 

  Schedule of Investments           4   

 

  Statement of Assets and Liabilities           7   

 

  Statement of Operations           8   

 

  Statements of Changes in Net Assets           9   

 

  Financial Highlights           10   

 

Notes to Financial Statements 

         11   

 

Additional Information 

          15   

 

 

www.alpsfunds.com


Table of Contents
Workplace Equality Portfolio     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

 

Investment Objective

The Workplace Equality Portfolio (the “Fund”) seeks investment results that correspond (before fees and expenses) generally to the price and yield performance of its underlying index, the Workplace Equality Index™ (ticker symbol LGBTEQLT) (the “Index”).

The Index is designed to provide a means of tracking the performance of companies which support workplace equality for lesbian, gay, bisexual and transgender (“LGBT”) employees. The Index consists of approximately 200 publicly traded stocks of U.S. and foreign companies which support equality for LGBT employees through their workplace practices, including non-discrimination policies regarding sexual orientation and gender identity and providing full benefits to for same-sex spouses, domestic partners and transgender individuals. The Index is compiled by Denver Investment Advisors LLC (“Denver Investments” or the “Index Provider”). The Index Provider uses publicly available lists and screening sources such as the National Gay & Lesbian Chamber of Commerce® Diversity Inc. Top 50®, Stonewall® or other screening sources, to identify companies with workplace policies that meet the Index’s criteria for equality for LGBT employees as described above (as well as market capitalization and liquidity requirements). The Index Provider also utilizes its own proprietary database for LGBT screening. The criteria are subject to change in response to changes in law.

Performance (as of May 31, 2015)

 

                     6 Months                                    1 Year                            Since Inception^        

 

Workplace Equality Portfolio – NAV

  3.72%   12.06%   12.34%

 

Workplace Equality Portfolio – Market Price*

  3.68%   12.06%   12.34%

 

Workplace Equality Index™

  4.14%   13.87%   14.42%

 

S&P 500® Total Return Index

  2.97%   11.81%   13.26%

Total Expense Ratio (per the current prospectus) 0.75%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.844.375.8383.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund Commencement date was February 25, 2014.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Workplace Equality Index™: an equal weighted index of companies that support lesbian, gay, bisexual and transgender (LGBT) equality in their workplace. For inclusion, a company must score 100% on the Human Rights Campaign Equality Index or, if not found in the Corporate Equality Index, have the verifiable characteristics that would earn them such a score.

The S&P 500® Total Return Index: the Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices. Total Return is obtained by reinvesting in the index the ordinary gross dividends declared by the index constituents.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Fund invests in stocks of companies which meet the Index’s criteria for supporting workplace equality for LGBT employees. The trend of companies supporting workplace equality in this fashion is relatively recent, and there may be a limited number of companies which meet the Index’s criteria.

The Workplace Equality Portfolio is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Workplace Equality Portfolio.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with Denver Investments.

 

1  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Kraft Foods Group, Inc.

     0.70 %   

Tesla Motors, Inc.

     0.64 %   

Mondelez International, Inc., Class A

     0.61 %   

T-Mobile US, Inc.

     0.60 %   

UBS Group AG

     0.60 %   

Humana, Inc.

     0.59 %   

Time Warner Cable, Inc.

     0.58 %   

Lexmark International, Inc., Class A

     0.58 %   

Dow Chemical Co.

     0.57 %   

Sony Corp., Sponsored ADR

     0.56 %   

Total % of Top 10 Holdings

         6.03 %   

 

*

% of Total Investments.

Future holdings are subject to change.

Sector Allocation* (as of May 31, 2015)

 

Consumer Discretionary

     24.13%   

Financials

     21.21%   

Information Technology

     17.74%   

Industrials

     10.70%   

Consumer Staples

     9.26%   

Health Care

     8.80%   

Telecommunication Services

     2.63%   

Materials

     2.56%   

Utilities

     2.48%   

Energy

     0.49%   

Total

         100.00%   
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     

Beginning Account
Value

12/1/14

   

Ending Account
Value

5/31/15

         Expense    
Ratio(a)
     Expenses Paid
During Period
12/1/14 - 5/31/15(b)
 

  Workplace Equality Portfolio Fund

          

  Actual

     $  1,000.00                $  1,037.20               0.75%           $        3.81           

  Hypothetical (5% return before expenses)

     $  1,000.00                $  1,021.19               0.75%           $        3.78           

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

3  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

 

Security Description    Shares     Value      

 

 

COMMON STOCKS (99.60%)

    

Consumer Discretionary (24.03%)

    

Abercrombie & Fitch Co., Class A

     2,001      $ 40,960     

American Eagle Outfitters, Inc.

     2,561        41,924     

Aramark

     1,327        41,601     

Barnes & Noble, Inc.(a)

     1,879        44,194     

Best Buy Co., Inc.

     1,064        36,921     

Caesars Entertainment Corp.(a)

     4,598        43,037     

CBS Corp., Class B

     682        42,093     

Choice Hotels International, Inc.

     671        37,958     

Coach, Inc.

     1,035        36,608     

Comcast Corp., Class A

     727        42,500     

Darden Restaurants, Inc.

     658        43,125     

DIRECTV(a)

     503        45,793     

Ford Motor Co.

     2,614        39,654     

GameStop Corp., Class A

     1,060        46,015     

Gap, Inc.

     1,011        38,752     

General Motors Co.

     1,105        39,747     

Groupon, Inc.(a)

     5,711        36,436     

Hilton Worldwide Holdings, Inc.(a)

     1,480        42,861     

Hyatt Hotels Corp., Class A(a)

     730        41,946     

InterContinental Hotels Group PLC, Sponsored ADR

     1,086        45,438     

Interpublic Group of Cos., Inc.

     1,949        39,799     

L Brands, Inc.

     464        40,145     

Macy’s, Inc.

     656        43,919     

Marriott International, Inc., Class A

     516        40,243     

MGM Resorts International(a)

     1,918        38,456     

Newell Rubbermaid, Inc.

     1,088        43,009     

NIKE, Inc., Class B

     434        44,125     

Nordstrom, Inc.

     526        38,209     

Office Depot, Inc.(a)

     4,613        42,763     

Orbitz Worldwide, Inc.(a)

     3,688        41,564     

Pearson PLC, Sponsored ADR

     2,007        40,401     

Sears Holdings Corp.(a)

     1,032        44,324     

Sirius XM Holdings, Inc.(a)

     10,788        41,642     

Sony Corp., Sponsored ADR(a)

     1,555        48,081     

Staples, Inc.

     2,661        43,813     

Starbucks Corp.

     890        46,244     

Starwood Hotels & Resorts Worldwide, Inc.

     511        42,290     

Target Corp.

     530        42,040     

Tesla Motors, Inc.(a)

     218        54,673     

Thomson Reuters Corp.

     1,063        42,477     

Time Warner Cable, Inc.

     274        49,564     

Time Warner, Inc.

     492        41,564     

Time, Inc.

     1,886        42,454     

TJX Cos., Inc.

     626        40,302     

Viacom, Inc., Class B

     620        41,466     

Walt Disney Co.

     397        43,817     

Whirlpool Corp.

     220        40,535     

Wyndham Worldwide Corp.

     466        39,568     

Wynn Resorts Ltd.

     333        33,530     
    

 

 

 

Total Consumer Discretionary

             2,058,580     
    

 

 

 

Consumer Staples (9.22%)

    

Avon Products, Inc.

     5,868        39,433     

Brown-Forman Corp., Class B

     479        45,155     
Security Description    Shares     Value      

 

 

Consumer Staples (continued)

    

Campbell Soup Co.

     955      $ 46,165     

Clorox Co.

     389        41,880     

Coca-Cola Co.

     1,067        43,704     

ConAgra Foods, Inc.

     1,243        47,992     

CVS Health Corp.

     413        42,283     

Diageo PLC, Sponsored ADR

     374        41,499     

General Mills, Inc.

     813        45,650     

Hershey Co.

     424        39,373     

Kellogg Co.

     680        42,684     

Kraft Foods Group, Inc.

     705        59,537     

Mondelez International, Inc., Class A

     1,254        52,154     

Pepsi Co., Inc.

     454        43,779     

Procter & Gamble Co.

     512        40,136     

SUPERVALU, Inc.(a)

     3,800        33,554     

Unilever NV, NY Shares

     1,009        43,084     

Walgreens Boots Alliance, Inc.

     489        41,976     
    

 

 

 

Total Consumer Staples

               790,038     
    

 

 

 

Energy (0.49%)

    

Chevron Corp.

     407        41,921     
    

 

 

 

Total Energy

       41,921     
    

 

 

 

Financials (21.13%)

    

American Express Co.

     523        41,694     

American International Group, Inc.

     776        45,481     

Ameriprise Financial, Inc.

     320        39,869     

Aon PLC

     437        44,233     

Bank of America Corp.

     2,745        45,293     

Bank of Montreal

     717        43,809     

Bank of New York Mellon Corp.

     1,060        45,962     

Barclays PLC, Sponsored ADR

     2,853        47,160     

BlackRock, Inc.

     115        42,065     

Capital One Financial Corp.

     529        44,203     

CBRE Group, Inc., Class A(a)

     1,195        45,697     

Charles Schwab Corp.

     1,452        45,956     

Chubb Corp.

     418        40,755     

Citigroup, Inc.

     815        44,075     

Comerica, Inc.

     937        45,866     

Credit Suisse Group AG, Sponsored ADR

     1,688        44,681     

Deutsche Bank AG

     1,297        39,182     

Discover Financial Services

     729        42,479     

Goldman Sachs Group, Inc.

     224        46,187     

Hartford Financial Services Group, Inc.

     1,003        41,233     

HSBC Holdings PLC, Sponsored ADR

     1,003        47,642     

Huntington Bancshares, Inc.

     3,848        42,828     

JPMorgan Chase & Co.

     707        46,506     

KeyCorp

     2,960        43,157     

Marsh & McLennan Cos., Inc.

     753        43,847     

MetLife, Inc.

     844        44,107     

Moody’s Corp.

     416        44,970     

Morgan Stanley

     1,183        45,191     

Northern Trust Corp.

     602        44,879     

PNC Financial Services Group, Inc.

     450        43,061     

Progressive Corp.

     1,551        42,404     
 

 

4  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value      

 

 

Financials (continued)

    

Prudential Financial, Inc.

     536      $ 45,351     

Royal Bank of Canada

     720        45,814     

State Street Corp.

     570        44,420     

Sun Life Financial, Inc.

     1,360        43,466     

SunTrust Banks, Inc.

     1,014        43,278     

T Rowe Price Group, Inc.

     529        42,685     

Toronto-Dominion Bank

     1,017        44,311     

UBS Group AG

     2,355        50,820     

US Bancorp

     973        41,946     

Wells Fargo & Co.

     769        43,033     
    

 

 

 

Total Financials

            1,809,596     
    

 

 

 

Health Care (8.76%)

    

Aetna, Inc.

     400        47,188     

Biogen, Inc.(a)

     98        38,905     

Boston Scientific Corp.(a)

     2,433        44,451     

Bristol-Myers Squibb Co.

     644        41,602     

Cardinal Health, Inc.

     475        41,881     

Cigna Corp.

     338        47,601     

Eli Lilly & Co.

     575        45,368     

GlaxoSmithKline PLC, Sponsored ADR

     886        39,312     

Humana, Inc.

     236        50,657     

Johnson & Johnson

     420        42,059     

McKesson Corp.

     189        44,836     

Medtronic PLC

     558        42,587     

Merck & Co., Inc.

     733        44,632     

Novartis AG, Sponsored ADR

     427        43,866     

Pfizer, Inc.

     1,267        44,028     

St Jude Medical, Inc.

     649        47,864     

UnitedHealth Group, Inc.

     364        43,756     
    

 

 

 

Total Health Care

       750,593     
    

 

 

 

Industrials (10.66%)

    

3M Co.

     260        41,361     

Alaska Air Group, Inc.

     625        40,400     

American Airlines Group, Inc.

     774        32,794     

Boeing Co.

     281        39,486     

Cummins, Inc.

     310        42,021     

Danaher Corp.

     498        42,987     

General Electric Co.

     1,709        46,604     

Herman Miller, Inc.

     1,527        42,298     

Huron Consulting Group, Inc.(a)

     652        41,924     

JetBlue Airways Corp.(a)

     2,205        44,453     

Lockheed Martin Corp.

     211        39,710     

Navigant Consulting, Inc.(a)

     3,135        42,667     

Northrop Grumman Corp.

     266        42,342     

Owens Corning

     1,075        45,537     

Raytheon Co.

     385        39,755     

Rockwell Automation, Inc.

     373        45,838     

Steelcase, Inc., Class A

     2,211        38,029     

Towers Watson & Co., Class A

     330        45,524     

United Continental Holdings, Inc.(a)

     624        34,064     

United Technologies Corp.

     363        42,533     

Virgin America, Inc.(a)

     1,348        38,337     
Security Description    Shares     Value      

 

 

Industrials (continued)

    

WW Grainger, Inc.

     183      $ 43,980     
    

 

 

 

Total Industrials

       912,644     
    

 

 

 

Information Technology (17.67%)

    

Accenture PLC, Class A

     479        46,003     

Adobe Systems, Inc.(a)

     561        44,369     

Alcatel-Lucent, Sponsored ADR(a)

     11,304        44,651     

Apple, Inc.

     344        44,816     

Automatic Data Processing, Inc.

     494        42,242     

Booz Allen Hamilton Holding Corp.

     1,458        36,960     

Broadridge Financial Solutions, Inc.

     804        43,561     

CA, Inc.

     1,320        40,194     

Cisco Systems, Inc.

     1,538        45,079     

Corning, Inc.

     1,847        38,639     

eBay, Inc.(a)

     749        45,959     

Electronic Arts, Inc.(a)

     763        47,882     

EMC Corp.

     1,630        42,934     

Facebook, Inc., Class A(a)

     516        40,862     

Google, Inc., Class C(a)

     77        40,972     

Hewlett-Packard Co.

     1,300        43,420     

Intel Corp.

     1,389        47,865     

International Business Machines Corp.

     267        45,297     

Intuit, Inc.

     428        44,576     

Lexmark International, Inc., Class A

     1,077        49,520     

LinkedIn Corp., Class A(a)

     163        31,774     

MasterCard, Inc., Class A

     479        44,193     

Microsoft Corp.

     1,013        47,469     

NCR Corp.(a)

     1,412        42,431     

NetApp, Inc.

     1,164        38,878     

Nokia OYJ, Sponsored ADR

     5,491        40,029     

Oracle Corp.

     980        42,620     

QUALCOMM, Inc.

     619        43,132     

Salesforce.com, Inc.(a)

     641        46,633     

Symantec Corp.

     1,779        43,808     

Tech Data Corp.(a)

     753        47,529     

Visa, Inc., Class A

     639        43,887     

Xerox Corp.

     3,327        37,994     

Yahoo!, Inc.(a)

     955        41,003     

Yelp, Inc.(a)

     965        46,233     
    

 

 

 

Total Information Technology

            1,513,414     
    

 

 

 

Materials (2.55%)

    

Alcoa, Inc.

     3,346        41,825     

Dow Chemical Co.

     926        48,218     

Ecolab, Inc.

     376        43,108     

EI du Pont de Nemours & Co.

     583        41,399     

Monsanto Co.

     376        43,984     
    

 

 

 

Total Materials

       218,534     
    

 

 

 

Telecommunication Services (2.62%)

    

AT&T, Inc.

     1,325        45,766     

BT Group PLC, Sponsored ADR

     625        42,813     

Sprint Corp.(a)

     8,769        40,776     

T-Mobile US, Inc.(a)

     1,309        50,893     
 

 

5  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares      Value      

 

 

Telecommunication Services (continued)

  

  

Verizon Communications, Inc.

     885       $ 43,754     
     

 

 

 

Total Telecommunication Services

        224,002     
     

 

 

 

Utilities (2.47%)

     

Edison International

     680         41,351     

Exelon Corp.

     1,307         44,216     

PG&E Corp.

     811         43,364     

Portland General Electric Co.

     1,170         40,903     

Sempra Energy

     386         41,483     
     

 

 

 

Total Utilities

        211,317     
     

 

 

 

TOTAL COMMON STOCKS

(Cost $ 7,975,377)

        8,530,639     
     

 

 

 

TOTAL INVESTMENTS (99.60%)

(Cost $ 7,975,377)

      $ 8,530,639     

NET OTHER ASSETS AND LIABILITIES (0.40%)

   

     33,864     
     

 

 

 

NET ASSETS (100.00%)

      $      8,564,503     
     

 

 

 

 

(a) 

Non-income producing security.

Common Abbreviations:

ADR -   American Depositary Receipt.
AG -   Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.
Ltd. -   Limited.
NV -   Naamloze Vennootschap is the Dutch term for a public limited liability corporation.
OYJ -   Osakeyhtio is the Finnish equivalent of a public limited company.
PLC -   Public Limited Company.

 

See Notes to Financial Statements.

 

 

 

6  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

 

ASSETS:

  

Investments, at value

   $ 8,530,639         

Cash

     23,712         

Foreign tax reclaims

     714         

Dividends receivable

     14,890         

 

 

Total Assets

     8,569,955         

 

 

LIABILITIES:

  

Payable to adviser

     5,452         

 

 

Total Liabilities

     5,452         

 

 

NET ASSETS

   $         8,564,503         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 7,784,947         

Accumulated net investment income

     11,192         

Accumulated net realized gain on investments

     213,102         

Net unrealized appreciation on investments

     555,262         

 

 

NET ASSETS

   $ 8,564,503         

 

 

INVESTMENTS, AT COST

   $ 7,975,377         

PRICING OF SHARES

  

Net Assets

   $ 8,564,503         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $ 0.01 per share)

     300,002         

Net Asset Value, offering and redemption price per share

   $ 28.55         

 

See Notes to Financial Statements.

7  |  May 31, 2015


Table of Contents
Workplace Equality Portfolio     

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

 

INVESTMENT INCOME:

  

Dividends(a)

   $               77,297        

 

 

Total Investment Income

     77,297        

 

 

EXPENSES:

  

Investment adviser fees

     29,400        

 

 

Total Expense

     29,400        

 

 

NET INVESTMENT INCOME

     47,897        

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized gain on investments

     204,681        

Net change in unrealized appreciation on investments

     31,846        

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     236,527        

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 284,424        

 

 

 

(a) 

Net of foreign tax withholding $1,658.

 

See Notes to Financial Statements.

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Statements of Changes in Net Assets

  

 

 

      For the Six
  Months Ended  
May 31, 2015
(Unaudited)
    

For the Period
 February 25, 2014 
(Commencement
of Operations) to
November 30,

2014

 

OPERATIONS:

     

Net investment income

   $ 47,897           $ 61,988         

Net realized gain on investments

     204,681             113,674         

Net change in unrealized appreciation on investments

     31,846             523,416         

 

 

Net increase in net assets resulting from operations

     284,424             699,078         

 

 

DISTRIBUTIONS:

     

Dividends to shareholders from net investment income

     (98,693)             –         

 

 

Net decrease in net assets from distributions

     (98,693)             –         

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     2,834,645             7,626,269         

Cost of shares redeemed

     (1,435,182)             (1,346,038)         

 

 

Net increase from capital share transactions

     1,399,463             6,280,231         

 

 

Net increase in net assets

     1,585,194             6,979,309         

NET ASSETS:

     

Beginning of period

     6,979,309             –         

 

 

End of period *

   $           8,564,503           $        6,979,309         

 

 

*Including accumulated net investment income of:

   $ 11,192           $ 61,988         

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     250,002             –         

Shares sold

     100,000             300,002         

Shares redeemed

     (50,000)             (50,000)         

 

 

Shares outstanding, end of period

     300,002             250,002         

 

 

 

See Notes to Financial Statements.

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Workplace Equality Portfolio     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented 

 

 

     

For the

    Six Months Ended    
May 31, 2015
(Unaudited)

    

For the Period
February 25, 2014
(Commencement
of Operations) to
November 30,

2014

 
NET ASSET VALUE, BEGINNING OF PERIOD    $ 27.92              $ 25.00         
INCOME/(LOSS) FROM INVESTMENT OPERATIONS:      

Net investment income (a)

     0.17                0.28         

Net realized and unrealized gain

     0.85                2.64         

 

 

Total from investment operations

     1.02                2.92         

 

 
DISTRIBUTIONS:      

From net investment income

     (0.39)                –         

 

 

Total distributions

     (0.39)                –         

 

 

Net increase in net asset value

     0.63                2.92         

 

 

NET ASSET VALUE, END OF PERIOD

   $                   28.55              $                   27.92         

 

 
TOTAL RETURN(b)      3.72%             11.68%      
RATIOS/SUPPLEMENTAL DATA:      

Net assets, end of period (000s)

   $ 8,565              $ 6,979         

Ratio of expenses to average net assets

     0.75%(c)             0.75%(c)     

Ratio of net investment income to average net assets

     1.22%(c)             1.42%(c)     

Portfolio turnover rate(d)

     19%               8%      

 

(a) 

 Based on average shares outstanding during the period.

(b) 

 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net  asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a  period of less than one year is not annualized.

(c) 

 Annualized.

(d) 

 Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing  creations or redemptions.

 

See Notes to Financial Statements.

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Workplace Equality Portfolio     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consisted of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the Workplace Equality Portfolio (the “Fund”). The investment objective of the Fund is to seek investment results that correspond generally, before fees and expenses, to the price and yield of the Workplace Equality IndexTM. The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund. The Fund commenced operations on February 25, 2014.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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Workplace Equality Portfolio     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability; including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

 

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

 

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

 

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments as of May 31, 2015:

 

Investments in Securities at
Value
    Level 1 - Unadjusted  
Quoted Prices
    Level 2 - Other
  Significant Observable  
Inputs
    Level 3 - Significant
  Unobservable Inputs  
    Total  

 

 

Common Stocks*

  $ 8,530,639        $ –          $ –        $             8,530,639     

 

 

TOTAL

  $ 8,530,639        $ –          $ –        $ 8,530,639     

 

 

* For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

D. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid annually or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

 

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Workplace Equality Portfolio     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

E. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

As of the period ended November 30, 2014 the Fund paid no distributions.

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

     Workplace Equality Portfolio    

 

 

Gross appreciation (excess of value over tax cost)

   $ 775,475             

Gross depreciation (excess of tax cost over value)

     (243,469)             

 

 

Net unrealized appreciation (depreciation)

   $ 532,006             

 

 

Cost of investments for income tax purposes

   $ 7,998,633             

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales.

F. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.75% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the licensing fees to the Index provider, the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

 

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Workplace Equality Portfolio     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding in-kind transactions and short-term investments, were as follows:

 

Fund    Purchases         Sales      

 

 

Workplace Equality Portfolio Fund

   $     1,497,559         $     2,398,957           

 

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

  

Fund    Purchases         Sales      

 

 

Workplace Equality Portfolio Fund

   $     2,827,242         $     588,324           

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000 shares. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Workplace Equality Portfolio     

 

Additional Information

   May 31, 2015 (Unaudited)

 

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (UNAUDITED)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income   Dividend Received Deduction        

 

 

Workplace Equality Portfolio

   100.00%   89.02%        

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENT

 

Denver Investments has entered into an index licensing agreement with ALPS Advisors Inc. (the “Adviser”) to allow the Adviser’s use of the Workplace Equality Index™, the underlying index of the Workplace Equality Portfolio (the “Fund”). The following disclosure relates to such licensing agreement:

Denver Investments is the designer of the construction and methodology for the Index. “Denver Investments” and “Workplace Equality Index™” are service marks or trademarks of Denver Investments. Denver Investments acts as brand licensor for the Index. Denver Investments is not responsible for the descriptions of the Index or the Fund that appear herein. Denver Investments is not affiliated with the Trust, the Adviser or the Distributor.

The Fund is not sponsored, endorsed or promoted by Denver Investments. Denver Investments makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities or commodities generally or in the Fund particularly and does not guarantee the quality, accuracy or completeness of the Index or any Index data included herein or derived there from and assume no liability in connection with their use. The Index is determined and composed without regard to the Adviser or the Fund. Denver Investments has no obligation to take the needs of the Adviser, the Fund or the shareholders of the Fund into consideration in connection with the foregoing. Denver Investments is not responsible for and has not participated in the determination of pricing or the timing of the issuance or sale of the Shares of the Fund or in the determination or calculation of the NAV of the Fund. Denver Investments has no obligation or liability in connection with the administration or trading of the Fund.

Denver Investments does not guarantee the accuracy and/or completeness of the Index or any data included therein, and Denver Investments shall have no liability for any errors, omissions, or interruptions therein. Denver Investments makes no warranty, express or implied, as to results to be obtained by the Adviser, the Fund, Fund shareholders or any other person or entity from the use of the Index or any data included therein. Denver Investments makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Index or any data included therein. Without limiting any of the foregoing, in no event shall Denver Investments have any liability for any special, punitive, indirect, or consequential damages (including lost profits) arising out of matters relating to the use of the Index, even if notified of the possibility of such damages.

The Adviser does not guarantee the accuracy and/or the completeness of the Index or any data included therein, and the Adviser shall have no liability for any errors, omissions or interruptions therein. The Adviser makes no warranty, express or implied, as to results to be obtained by the Fund, owners of the Shares of the Fund or any other person or entity from the use of the Index or any data included therein. The Adviser makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Index or any data included therein. Without limiting any of the foregoing, in no event shall the Adviser have any liability for any special, punitive, direct, indirect, or consequential damages (including lost profits) arising out of matters relating to the use of the Index, even if notified of the possibility of such damages.

 

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SEMI-ANNUAL REPORT | May 31, 2015

 

     

 

This report has been prepared for shareholders of the ETF described herein and may be distributed to others only if preceded or accompanied by a prospectus.

 

     

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

     


Table of Contents

LOGO             

May 31, 2015          

 

LOGO

Cohen & Steers Global Realty Majors ETF (NYSE ARCA: GRI)

An ALPS Advisors Solution

 

 

LOGO             


Table of Contents

table of

CONTENTS

 

Performance Overview 

 

 

  1

 

Disclosure of Fund Expenses 

 

 

  3

 

Financial Statements

 

 

Schedule of Investments 

 

 

  4

 

Statement of Assets & Liabilities 

 

 

  7

 

Statement of Operations 

 

 

  8

 

Statements of Changes In Net Assets 

 

 

  9

 

Financial Highlights 

 

 

  10

 

Notes to Financial Statements 

 

 

  11

 

Additional Information 

 

 

  15

 

 

 

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Table of Contents
Cohen & Steers Global Realty Majors ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The Cohen & Steers Global Realty Majors ETF (the “Fund”) seeks investment results that correspond generally to the performance, before the Fund’s fees and expenses, of an index called the Cohen & Steers Global Realty Majors Index (the “Underlying Index”). The Fund will normally invest at least 90% of its total assets in common stocks and other equity securities (which may include American Depositary Receipts (“ADRs”), American Depositary Shares (“ADSs”) and Global Depositary Receipts (“GDRs”)) that comprise the Underlying Index. The Shares of the Fund are listed and trade on the NYSE Arca under the ticker symbol “GRI”.

The Underlying Index consists of the largest and most liquid securities within the global real estate universe that Cohen & Steers Capital Management, Inc. (“Cohen & Steers” or the “Index Provider”) believes are likely to lead the global securitization of real estate. The Underlying Index is free float and modified market-capitalization weighted, with a limit of 4.0% on any security’s weighting. Underlying Index constituents must have a free float adjusted market capitalization of $750 million or greater for initial inclusion in the Underlying Index. Cohen & Steers considers country weights relative to each country’s GDP share representing the real estate securities universe and share of the private market for real estate, with up to 10% being allocated to securities of emerging markets. The Underlying Index is rebalanced quarterly.

Performance (as of May 31, 2015)

 

     6 Months   1 Year   3 Year   5 Year   Since Inception^

Cohen & Steers Global Realty Majors ETF - NAV

  2.07%   6.38%   12.53%   12.22%   2.41%

Cohen & Steers Global Realty Majors ETF - Market Price*

  2.54%   6.77%   12.53%   12.39%   2.44%

Cohen & Steers Global Realty Majors Portfolio Index

  2.36%   7.06%   13.33%   13.06%   3.24%

FTSE EPRA/ NAREIT Developed Real Estate Index

  1.61%   5.89%   13.30%   12.82%   3.30%

S&P 500® Total Return Index

  2.97%   11.81%   19.67%   16.54%   8.39%

Total Expense Ratio (per the current Prospectus) 0.55%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.513.5856.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

Fund Inception May 7, 2008.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

Cohen & Steers Global Realty Majors® Portfolio Index: A free-float adjusted, modified market capitalization-weighted index of global real estate equities. The modified market capitalization weighting approach and qualitative screening process emphasize those companies that, in the opinion of the Cohen & Steers investment committee, are leading the securitization of real estate globally.

FTSE EPRA/NAREIT Developed Real Estate Index: An unmanaged market-weighted total return index that consists of many companies from developed markets whose floats are larger than $100 million and which derive more than half of their revenue from property-related activities.

S&P 500® Total Return Index: The Standard & Poor’s composite index of 500 stocks, a widely recognized, unmanaged index of common stock prices.

Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Cohen & Steers Global Realty Majors ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Cohen & Steers Global Realty Majors ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with Cohen & Steers.

 

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Cohen & Steers Global Realty Majors ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Simon Property Group, Inc.

    3.98%     

Mitsubishi Estate Co., Ltd.

    3.84%     

Mitsui Fudosan Co., Ltd.

    3.58%     

Sun Hung Kai Properties, Ltd.

    3.48%     

Public Storage

    3.46%     

Equity Residential

    3.33%     

Unibail-Rodamco SE

    3.10%     

Health Care REIT, Inc.

    3.02%     

AvalonBay Communities, Inc.

    2.71%     

Ventas, Inc.

    2.70%     

Total % of Top 10 Holdings

        33.20%     

 

*

% of Total Investments.

Future holdings are subject to change.

 

Country Allocation* (as of May 31, 2015)

 

United States

    49.04%     

Japan

    12.17%     

Hong Kong

    11.16%     

Australia

    7.83%     

United Kingdom

    7.10%     

France

    4.80%     

Singapore

    3.06%     

Germany

    2.21%     

Canada

    1.37%     

Switzerland

    0.42%     

Sweden

    0.31%     

Brazil

    0.27%     

Netherlands

    0.26%     

Total

        100.00%     
 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Cohen & Steers Global Realty Majors ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

    

Beginning Account
Value

12/1/14

      

Ending Account
Value

5/31/15

      Expense
Ratio(a)
      Expenses Paid
During Period
12/1/14 - 5/31/15(b)  

 

Cohen & Steers Global Realty Majors ETF

               

  Actual

   $  1,000.00      $  1,020.70     0.55%     $        2.77

  Hypothetical (5% return before expenses)

   $  1,000.00      $  1,022.19     0.55%     $        2.77

 

 

(a)

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b)

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

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Cohen & Steers Global Realty Majors ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value  

 

 

COMMON STOCKS (99.85%)

    

Australia (7.83%)

    

Dexus Property Group

     122,113       $ 747,825    

Goodman Group

     199,010        996,602    

The GPT Group

     219,319        774,682    

Mirvac Group

     472,642        726,330    

Scentre Group, Ltd.

     681,003                                2,056,609    

Stockland

     303,926        1,008,470    

Westfield Corp.

     244,205        1,807,322    
    

 

 

 

Total Australia

       8,117,840    
    

 

 

 

Brazil (0.27%)

    

BR Malls Participacoes SA

     59,600        283,382    
    

 

 

 

Canada (1.37%)

    

Boardwalk Real Estate Investment Trust

     4,947        231,955    

Dream Office Real Estate Investment Trust

     13,936        291,024    

RioCan Real Estate Investment Trust

     40,478        901,609    
    

 

 

 

Total Canada

       1,424,588    
    

 

 

 

France (4.80%)

    

Gecina SA

     4,494        590,562    

Klepierre

     26,547        1,179,381    

Unibail-Rodamco SE

     12,506        3,212,002    
    

 

 

 

Total France

       4,981,945    
    

 

 

 

Germany (2.21%)

    

Deutsche Annington Immobilien SE

     34,331        1,085,546    

Deutsche EuroShop AG

     5,885        284,425    

Deutsche Wohnen AG

     37,979        925,178    
    

 

 

 

Total Germany

       2,295,149    
    

 

 

 

Hong Kong (11.15%)

    

China Overseas Land & Investment, Ltd.

     617,000        2,236,069    

Hang Lung Properties, Ltd.

     295,000        932,142    

Hongkong Land Holdings, Ltd.

     152,100        1,309,581    

The Link REIT

     292,164        1,695,638    

Sun Hung Kai Properties, Ltd.

     213,000        3,609,681    

Swire Properties, Ltd.

     136,200        463,740    

The Wharf Holdings, Ltd.

     191,700        1,322,725    
    

 

 

 

Total Hong Kong

       11,569,576    
    

 

 

 

Japan (12.16%)

    

Japan Real Estate Investment Corp.

     160        737,381    

Japan Retail Fund Investment Corp.

     315        632,969    

Mitsubishi Estate Co., Ltd.

     178,000        3,985,513    

Mitsui Fudosan Co., Ltd.

     127,000        3,710,797    

Nippon Building Fund, Inc.

     183        856,649    

Nomura Real Estate Holdings, Inc.

     16,400        337,474    

Sumitomo Realty & Development Co., Ltd.

     61,000        2,354,188    
    

 

 

 

Total Japan

       12,614,971    
    

 

 

 

 

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Cohen & Steers Global Realty Majors ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares     Value  

 

 

Netherlands (0.26%)

    

Wereldhave N.V.

     4,383       $ 264,954    
    

 

 

 

Singapore (3.06%)

    

Ascendas Real Estate Investment Trust

     264,366        470,646    

CapitaLand Mall Trust

     336,047        540,926    

CapitaLand, Ltd.

     336,200        870,364    

City Developments, Ltd.

     60,000        468,215    

Global Logistic Properties, Ltd.

     400,800        820,568    
    

 

 

 

Total Singapore

                               3,170,719    
    

 

 

 

Sweden (0.31%)

    

Castellum AB

     22,242        319,029    
    

 

 

 

Switzerland (0.42%)

    

PSP Swiss Property AG

     5,009        430,363    
    

 

 

 

United Kingdom (7.10%)

    

The British Land Co. Plc

     130,612        1,720,785    

Derwent London Plc

     13,877        755,273    

Great Portland Estates Plc

     44,473        563,151    

Hammerson Plc

     101,409        1,036,130    

Intu Properties Plc

     122,239        624,572    

Land Securities Group Plc

     101,794        2,042,788    

Segro Plc

     95,974        625,178    
    

 

 

 

Total United Kingdom

       7,367,877    
    

 

 

 

United States (48.91%)

    

Alexandria Real Estate Equities, Inc.

     9,056        839,763    

American Campus Communities, Inc.

     13,855        540,483    

AvalonBay Communities, Inc.

     16,856        2,806,524    

Boston Properties, Inc.

     19,551        2,542,216    

Camden Property Trust

     11,090        831,528    

Digital Realty Trust, Inc.

     17,446        1,152,134    

Douglas Emmett, Inc.

     17,541        515,355    

Equity Residential

     46,443        3,451,644    

Essex Property Trust, Inc.

     8,271        1,841,290    

Extra Space Storage, Inc.

     14,000        980,420    

Federal Realty Investment Trust

     8,655        1,163,838    

General Growth Properties, Inc.

     80,245        2,273,341    

HCP, Inc.

     58,807        2,277,007    

Health Care REIT, Inc.

     44,519        3,127,905    

Highwoods Properties, Inc.

     11,744        492,661    

Host Hotels & Resorts, Inc.

     96,843        1,929,112    

Kilroy Realty Corp.

     10,872        750,929    

Kimco Realty Corp.

     53,173        1,274,025    

The Macerich Co.

     17,869        1,467,224    

ProLogis, Inc.

     65,213        2,581,783    

Public Storage

     18,531        3,586,490    

Realty Income Corp.

     28,803        1,312,553    

Regency Centers Corp.

     12,111        764,688    

Simon Property Group, Inc.

     22,758        4,128,301    

SL Green Realty Corp.

     12,563        1,490,726    

 

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Cohen & Steers Global Realty Majors ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description        Shares      Value  

 

 

United States (continued)

       

UDR, Inc.

       33,072        $ 1,076,824    

Ventas, Inc.

       42,153         2,804,018    

Vornado Realty Trust

       22,352                             2,232,741    

Weingarten Realty Investors

     14,473         488,174    
       

 

 

 

Total United States

          50,723,697    
       

 

 

 

TOTAL COMMON STOCKS

       

(Cost $88,463,324)

          103,564,090    
       

 

 

 

RIGHTS (0.00%)(a)

       

Germany (0.00%)(a)

       

Deutsche Wohnen AG, strike price 21.50 (EUR), expires 06/03/2015(b)

     37,979         1,252    
       

 

 

 

TOTAL RIGHTS

       

(Cost $0)

          1,252    
       

 

 

 
    7 Day Yield                Shares                    Value                

 

 

SHORT TERM INVESTMENTS (0.13%)

       

Dreyfus Treasury Prime Cash Management, Institutional Class

  0.000%(c)      136,394         136,394    
       

 

 

 

TOTAL SHORT TERM INVESTMENTS

       

(Cost $136,394)

          136,394    
       

 

 

 

TOTAL INVESTMENTS (99.98%)

       

(Cost $88,599,718)

         $ 103,701,736    

NET OTHER ASSETS AND LIABILITIES (0.02%)

          17,085    
       

 

 

 

NET ASSETS (100.00%)

         $ 103,718,821    
       

 

 

 

 

(a) 

Less than 0.005% of total net assets.

(b)

Non-income producing security.

(c)

Less than 0.0005%

Common Abbreviations:

AB -    Aktiebolag is the Swedish equivalent of the term corporation.
AG -    Aktiengesellschaft is a German term that refers to a corporation that is limited by shares, i.e., owned by shareholders.
Ltd. -    Limited.
N.V. -    Naamloze Vennootschap is the Dutch term for a public limited liability corporation.
Plc -    Public Limited Co.
REIT -    Real Estate Investment Trust.
SA -    Generally designated corporations in various countries, mostly those employing the civil law.
SE -    SE Regulation is a European Company which can operate on a Europe-wide basis and be governed by Community law directly applicable in all Member States.

See Notes to Financial Statements.

 

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Cohen & Steers Global Realty Majors ETF

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $ 103,701,736         

Cash

     38,629         

Foreign currency, at value (Cost $53,736)

     52,760         

Receivable for investments sold

     242,532         

Foreign tax reclaims

     59,624         

Dividends receivable

     87,912         

 

 

Total Assets

     104,183,193         

 

 

LIABILITIES:

  

Payable for investments purchased

     415,626         

Payable to adviser

     48,746         

 

 

Total Liabilities

     464,372         

 

 

NET ASSETS

   $ 103,718,821         

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 93,767,924         

Accumulated net investment loss

     (1,229,597)         

Accumulated net realized loss on investments and foreign currency transactions

     (3,915,526)         

Net unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies

     15,096,020         

 

 

NET ASSETS

   $ 103,718,821         

 

 

INVESTMENTS, AT COST

   $ 88,599,718         

PRICING OF SHARES

  

Net Assets

   $     103,718,821         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     2,350,000         

Net Asset Value, offering and redemption price per share

   $ 44.14         

 

See Notes to Financial Statements.

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Cohen & Steers Global Realty Majors ETF

 

Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Dividends(a)

   $         2,479,772         

 

 

Total Investment Income

     2,479,772         

 

 

EXPENSES:

  

Investment adviser fees

     278,455         

 

 

Total Expenses

     278,455         

 

 

NET INVESTMENT INCOME

     2,201,317         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized loss on investments

     (548,655)         

Net realized gain on foreign currency transactions

     117,755         

Net change in unrealized depreciation on investments

     (112,274)         

Net change in unrealized depreciation on translation of assets and liabilities denominated in foreign currencies

     (361)         

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS

     (543,535)         

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $ 1,657,782         

 

 

 

(a)

Net of foreign tax withholding $63,618.

 

See Notes to Financial Statements.

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Cohen & Steers Global Realty Majors ETF

 

Statements of Changes in Net Assets

  

 

     For the Six  
Months Ended
May 31, 2015 
(Unaudited)  
    

For the            

Year Ended        
November 30,      

2014              

 

 

 

OPERATIONS:

     

Net investment income

   $ 2,201,317       $ 2,242,990         

Net realized gain/(loss) on investments and foreign currency transactions

     (430,900)         6,253,313         

Net change in unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     (112,635)         5,320,437         

 

 

Net increase in net assets resulting from operations

     1,657,782         13,816,740         

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (1,879,999)         (2,519,676)         

 

 

Total distributions

     (1,879,999)         (2,519,676)         

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     9,186,084         –         

Cost of shares redeemed

     (2,197,906)         (22,480,811)         

 

 

Net increase/(decrease) from share transactions

     6,988,178         (22,480,811)         

 

 

Net increase/(decrease) in net assets

     6,765,961         (11,183,747)         

NET ASSETS:

     

Beginning of period

     96,952,860             108,136,607         

 

 

End of period *

   $     103,718,821       $ 96,952,860         

 

 

*Including accumulated net investment loss of:

   $ (1,229,597)       $ (1,550,915)         

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     2,200,000         2,750,000         

Shares sold

     200,000         –         

Shares redeemed

     (50,000)         (550,000)         

 

 

Shares outstanding, end of year

     2,350,000         2,200,000         

 

 

 

See Notes to Financial Statements.

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Cohen & Steers Global Realty Majors ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

 

     For the
Six Months
Ended
May 31,
2015
(Unaudited)
     For the Year
Ended
November 30,
2014
     For the Year
Ended
November 30,
2013
     For the Year
Ended
November 30,
2012
     For the
Period
January 1,
2011 to
November 30,
2011(a)
     For the Year
Ended
December 31,
2010
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $       44.07           $       39.32           $       39.59           $       32.53           $       35.52           $       31.35         

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

                 

Net investment income(b)

     0.98             0.92             0.94             0.91             0.97             1.43         

Net realized and unrealized gain/(loss)

     (0.07)             4.85             1.25             6.97             (2.87)             4.68         

 

 

Total from investment operations

     0.91             5.77             2.19             7.88             (1.90)             6.11         

 

 

DISTRIBUTIONS:

                 

From net investment income

     (0.84)             (1.02)             (2.27)             (0.82)             (1.09)             (1.94)         

From tax return of capital

     –             –             (0.19)             –             –             –         

 

 

Total distributions

     (0.84)             (1.02)             (2.46)             (0.82)             (1.09)             (1.94)         

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

     0.07             4.75             (0.27)             7.06             (2.99)             4.17         

 

 

NET ASSET VALUE, END OF PERIOD

   $ 44.14           $ 44.07           $ 39.32           $ 39.59           $ 32.53           $ 35.52         

 

 

TOTAL RETURN(c)

     2.07%         14.90%         5.60%         24.50%         (5.53)%         19.91%     

RATIOS/SUPPLEMENTAL DATA:

                 

Net assets, end of period (000s)

   $ 103,719           $ 96,953           $ 108,137           $ 71,258           $ 50,418           $ 42,626         

Ratio of expenses to average net assets

     0.55%(d)         0.55%         0.55%         0.55%         0.55%(d)         0.55%     

Ratio of net investment income to average net assets

     4.35%(d)         2.21%         2.31%         2.47%         3.02%(d)         4.33%     

Portfolio turnover rate(e)

     2%         11%         10%         4%         15%         14%     

 

(a) 

Effective March 7, 2011, the Board approved changing the fiscal year end of the Fund from December 31 to November 30.

(b) 

Based on average shares outstanding during the period.

(c) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(d) 

Annualized.

(e) 

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Cohen & Steers Global Realty Majors ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the Cohen & Steers Global Realty Majors ETF (the “Fund”). The investment objective of the Fund is to seek investment results that correspond generally to the performance, before the Fund’s fees and expenses, of an index called the Cohen & Steers Global Realty Majors Index. The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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Cohen & Steers Global Realty Majors ETF

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

   

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

   

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

   

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments at May 31, 2015:

 

Investments in Securities at
Value*
   Level 1- Unadjusted
Quoted Prices
     Level 2- Other
Significant Observable
Inputs
     Level 3- Significant
Unobservable Inputs
     Total  

 

 

Common Stocks

   $                   103,564,090       $                           –       $                             –       $             103,564,090     

Rights

     1,252                         1,252     

Short Term Investments

     136,394                         136,394     

 

 

TOTAL

   $ 103,701,736       $       $       $ 103,701,736     

 

 

 

*

For a detailed geographical breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Foreign Securities

The Fund may directly purchase securities of foreign issuers. Investing in securities of foreign issuers involves special risks not typically associated with investing in securities of U.S. issuers. The risks include possible revaluation of currencies, the inability to repatriate foreign currency, less complete financial information about companies and possible future adverse political and economic developments. Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of securities of comparable U.S. issuers.

 

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Cohen & Steers Global Realty Majors ETF

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

D. Foreign Currency Translation

The books and records of the Fund are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

E. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date, net of any foreign taxes withheld. Interest income, if any, is recorded on the accrual basis.

F. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

G. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

         Ordinary Income          Return of Capital      Total  

 

 

November 30, 2014

        

Cohen & Steers Global Realty Majors ETF

   $ 2,519,676       $ –         $         2,519,676         

Under the Regulated Investment Company Modernization Act of 2010 (“the Modernization Act”), net capital losses recognized in tax years beginning after December 22, 2010 may be carried forward indefinitely, and the character of the losses is retained as short-term and/or long-term. Under the law in effect prior to the Modernization Act, net capital losses were carried forward for eight years and treated as short-term. As a transition rule, the Modernization Act requires that post-enactment net capital losses be used before pre-enactment net capital losses. Additionally, post-enactment capital losses that are carried forward will retain their character as either short-term or long-term losses rather than being considered all short-term as under previous law.

At November 30, 2014, the Fund had available for tax purposes unused pre-enactment capital loss carryforwards as follows:

 

         Expiring in 2016          Expiring in 2017          Expiring in 2018      

 

 

Cohen & Steers Global Realty Majors ETF

   $ 176,692       $ 809,982         $ 187,815         

 

At November 30, 2014, the Fund had available for tax purposes unused post-enactment capital loss carryforwards as follows:

 

  

Fund           Short-Term      Long-Term  

 

 

Cohen & Steers Global Realty Majors ETF

      $           722,292         $             745,945         

 

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

   

Gross Appreciation (excess of value over tax cost)

         $ 16,391,043         

Gross Depreciation (excess of tax cost over value)

           (2,236,939)         

 

 

Net unrealized appreciation (depreciation)

                 14,154,104         

 

 

Cost of investments for income tax purposes

         $ 89,547,632         

 

 

The differences between book-basis and tax-basis are primarily due to Passive Foreign Investment Company (“PFIC”) adjustments and the deferral of losses due to wash sales.

 

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Cohen & Steers Global Realty Majors ETF

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

H. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.55% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding in-kind transactions and short-term investments, were as follows:

 

                                                             Purchases    Sales                              

 

 

                                         $                                         2,373,461

   $                                 1,761,753                                    

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

                                                             Purchases    Sales                              

 

 

                                         $                                         9,127,349

   $                                 2,181,375                                    

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000 shares. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Cohen & Steers Global Realty Majors ETF

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Fund designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income    Dividend Received Deduction

 

Cohen and Steers Global Realty Majors ETF

   20.94%    0.00%

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Fund during the calendar year 2014 via Form 1099. The Fund will notify shareholders in early 2016 of amounts paid to them by the Fund, if any, during the calendar year 2015.

LICENSING AGREEMENT

 

Cohen & Steers is the Index Provider for the Cohen & Steers Global Realty Majors ETF. Cohen & Steers is not affiliated with the Trust, the Adviser or the Distributor. ALPS, an affiliate of the Adviser, and the Trust have entered into a license agreement with Cohen & Steers to use the Index.

THE FUND IS NOT SPONSORED, MANAGED OR ADVISED BY COHEN & STEERS CAPTIAL MANAGEMENT, INC. (“C&S”). C&S MAKES NO REPRESENTATION OR WARRANTY, EXPRESS OR IMPLIED, TO THE SHAREHOLDERS OF THE FUND OR ANY MEMBER OF THE PUBLIC REGARDING THE ADVISABILITY OF INVESTING IN SECURITIES GENERALLY OR IN THE FUND PARTICULARLY OR THE ABILITY OF THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX TO TRACK PERFORMANCE OF A MARKET OR SECTOR. C&S’S ONLY RELATIONSHIP TO ALPS IS IN RELATION TO THE LICENSING OF CERTAIN TRADEMARKS AND TRADE NAMES OF C&S AND OF ONE OR MORE C&S INDEXES, INCLUDING THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX WHICH IS DETERMINED, COMPOSED AND CALCULATED BY C&S WITHOUT REGARD TO ALPS OR THE FUND. C&S HAS NO OBLIGATION TO TAKE THE NEEDS OF ALPS, THE FUND OR THE FUND SHAREHOLDERS INTO CONSIDERATION IN DETERMINING, COMPOSING OR CALCULATING THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX. C&S IS NOT RESPONSIBLE FOR AND HAS NOT PARTICIPATED IN THE TIMING OF THE ISSUANCE OR SALE OF FUND SHARES OR IN THE DETERMINATION OR CALCULATION OF THE VALUATION OF THE FUND’S ASSETS. C&S HAS NO OBLIGATION OR LIABILITY IN CONNECTION WITH THE ADMINISTRATION, MARKETING OR PORTFOLIO MANAGEMENT OF THE FUND. C&S DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX OR ANY DATA INCLUDED THEREIN AND C&S SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. C&S MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY ALPS, THE FUND, FUND SHAREHOLDERS, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX OR ANY DATA INCLUDED THEREIN. C&S MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OF USE WITH RESPECT TO THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL C&S HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS) RESULTING FROM THE USE OF THE COHEN & STEERS GLOBAL REALTY MAJORS INDEX OR ANY DATA INCLUDED THEREIN, EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

The Advisor does not guarantee the accuracy and/or the completeness of the Index or any data included therein, and the Advisor shall have no liability for any errors, omissions or interruptions therein. The Advisor makes no warranty, express or implied, as to results to be obtained by the Fund, owners of the Shares of the Fund or any other person or entity from the use of the Index or any data included therein. The Advisor makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Index or any data included therein. Without limiting any of the foregoing, in no event shall the Advisor have any liability for any special, punitive, direct, indirect or consequential damages (including lost profits) arising out of matters relating to the use of the Index even if notified of the possibility of such damages.

 

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Table of Contents

 

 

SEMI-ANNUAL REPORT | May 31, 2015

 

     

 

This report has been prepared for shareholders of the ETF described herein and may be distributed to others only if preceded or accompanied by a prospectus.

     

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

     


Table of Contents

LOGO


Table of Contents

TABLE OF CONTENTS

 

 

 

     Page       

PERFORMANCE OVERVIEW

   1         

DISCLOSURE OF FUND EXPENSES

   3         

SCHEDULE OF INVESTMENTS

   4         

STATEMENT OF ASSETS & LIABILITIES

   5         

STATEMENT OF OPERATIONS

   6         

STATEMENTS OF CHANGES IN NET ASSETS

   7         

FINANCIAL HIGHLIGHTS

   8         

NOTES TO FINANCIAL STATEMENTS

   9         

ADDITIONAL INFORMATION

   15         


Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The U.S. Equity High Volatility Put Write Index Fund (the “Fund”) seeks investment results that correspond generally to the performance, before the Fund’s fees and expenses, of the NYSE Arca U.S. Equity High Volatility Put Write IndexSM (the “Index”). The Index reflects the performance of a portfolio of exchange-traded put options on highly volatile stocks.

The Index measures the return of a hypothetical portfolio consisting of exchange traded put options which have been sold on each of 20 stocks and a cash position calculated. The 20 stocks on which options are sold (“written”) are those 20 stocks from a selection of the largest capitalized (over $5 billion in market capitalization) stocks which also have listed options and which have the highest volatility, as determined by the NYSE Arca, Inc. (the “NYSE Arca”), the Fund’s index provider (the “Index Provider”).

Performance (as of May 31, 2015)

 

              6 Months                              1 Year                          Since Inception^           

U.S. Equity High Volatility Put Write Index Fund - NAV

           4.21%                              7.47%                         6.43%          

U.S. Equity High Volatility Put Write Index Fund - Market Price*

           3.90%                              7.65%                         6.53%          

U.S. Equity High Volatility Put Write Index - Total Return

           4.83%                              9.53%                         8.82%          

Total Expense Ratio (per the current prospectus) 0.95%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For most current month-end performance data please visit www.alpsfunds.com or call 1.855.325.8020.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on February 28, 2013.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

NYSE Arca U.S. Equity High Volatility Put Write IndexSM - Total Return: measures the return of a hypothetical portfolio of listed put options on each of 20 stocks and a cash (U.S. T-Bill) position. The 20 underlying stocks on which options are written are a selection of the largest capitalized (over $5 billion in market cap) U.S. listed stocks which also have listed options and which have the highest volatility, as determined by the NYSE Arca, Inc., the Fund’s Index provider. No more than 50% of the Index positions will be from the same industry sector. Full details of the index rules, methodology, values and period, constituents can be found at http://www.nyse.com/about/listed/lcddata.html?ticker=PUTWRTTR. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

The NYSE Arca U.S. Equity High Volatility Put Write IndexSM: is a service mark of NYSE Euronext or its affiliates and has been licensed for use by Rich Investment Solutions, LLC in connection with the U.S. Equity High Volatility Put Write Index Fund. Neither the Trust nor the Fund is sponsored, endorsed, sold or promoted by NYSE Euronext. NYSE Euronext makes no representations or warranties regarding the Trust or the Fund or the ability of the NYSE Arca U.S. Equity HighVolatility Put Write IndexSM to track general stock market performance.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The U.S. Equity High Volatility Put Write Index Fund is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the U.S. Equity High Volatility Put Write Index Fund.

 

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Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. The example is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line of the table under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     Beginning Account      Ending Account             Expenses Paid  
     Value      Value      Expense      During Period  
     12/1/14      5/31/15      Ratio(a)      12/1/14 - 5/31/15(b)    

 

 

U.S. Equity High Volatility Put Write Index Fund

           

Actual

     $1,000.00                $1,042.10            0.95%            $4.84              

Hypothetical (5% return before expenses)

     $1,000.00                $1,020.19            0.95%            $4.78              

 

 

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of  days in the most recent fiscal half year (182), divided by 365.

 

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Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Principal Amount     Value  

 

 

SHORT TERM INVESTMENTS (97.40%)

    

U.S. Treasury Bill Discount Notes

    

0.008%, 06/25/2015(a)

   $         10,000,000           $             9,999,930    

0.014%, 08/06/2015(a)

     12,000,000             12,000,000    

0.049%, 08/20/2015(a)

     10,000,000             9,999,890    

0.033%, 09/17/2015(a)(b)

     12,500,000             12,499,338    

0.025%, 10/01/2015(a)

     2,400,000             2,399,918    

0.024%, 10/08/2015(a)

     6,000,000             5,999,406    

0.033%, 10/15/2015(a)

     2,400,000             2,399,750    
    

 

 

 

TOTAL SHORT TERM INVESTMENTS

    

(Cost $55,294,209)

       55,298,232    
    

 

 

 

TOTAL INVESTMENTS (97.40%)

    

(Cost $55,294,209)

     $           55,298,232    

NET OTHER ASSETS AND LIABILITIES (2.60%)

       1,478,755    
    

 

 

 

NET ASSETS (100.00%)

     $           56,776,987    
    

 

 

 

 

(a) 

Rate shown represents the bond equivalent yield to maturity at date of purchase.

(b) 

All or portion of this security is being held as collateral for written options.

SCHEDULE OF WRITTEN OPTIONS

 

     Expiration Date          Exercise Price            Contracts           Value  

 

 

WRITTEN PUT OPTIONS

             

Altera Corp.

   06/19/2015    $ 37.00          (765)      $ (22,950)    

Antero Resources Corp.

   06/19/2015      35.00          (808)        (36,360)    

Applied Materials, Inc.

   06/19/2015      19.00          (1,490)        (12,665)    

BioMarin Pharmaceutical, Inc.

   06/19/2015      100.00          (259)        (3,238)    

Continental Resources, Inc.

   06/19/2015      45.00          (629)        (100,640)    

FireEye, Inc.

   06/19/2015      36.00          (720)        (3,600)    

GoPro, Inc.

   06/19/2015      38.00          (683)        (3,415)    

Incyte Corp.

   06/19/2015      90.00          (314)        (13,345)    

Keurig Green Mountain, Inc.

   06/19/2015      95.00          (298)        (268,200)    

Medivation, Inc.

   06/19/2015      105.00          (258)        (11,094)    

Netflix, Inc.

   06/19/2015      485.00          (58)        (1,566)    

Pilgrim’s Pride Corp.

   06/19/2015      21.00          (1,235)        (6,175)    

Skyworks Solutions, Inc.

   06/19/2015      80.00          (325)        (813)    

SolarCity Corp.

   06/19/2015      50.00          (566)        (11,037)    

SunEdison, Inc.

   06/19/2015      23.00          (1,231)        (9,232)    

Tesla Motors, Inc.

   06/19/2015      175.00          (161)        (1,046)    

Twitter, Inc.

   06/19/2015      44.00          (643)        (474,213)    

Vertex Pharmaceuticals, Inc.

   06/19/2015      105.00          (269)        (6,725)    

Whiting Petroleum Corp.

   06/19/2015      30.00          (943)        (37,720)    

Zillow Group, Inc.

   06/19/2015      80.00          (353)        (7,942)    

TOTAL WRITTEN PUT OPTIONS

             
             

 

 

 

(Premiums received $1,213,687)

                    $      (1,031,976)    
             

 

 

 

 

See Notes to Financial Statements.

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Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $ 55,298,232        

Cash

     184,885        

Receivable for shares sold

     2,367,934        

 

 

Total Assets

     57,851,051        

 

 

LIABILITIES:

  

Written options, at value (Proceeds $1,213,687)

     1,031,976        

Payable to adviser

     42,088        

 

 

Total Liabilities

     1,074,064        

 

 

NET ASSETS

   $ 56,776,987        

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 57,163,331        

Accumulated net investment loss

     (3,007,007)        

Accumulated net realized gain on investments and written option contracts

     2,434,929        

Net unrealized appreciation on investments and written option contracts

     185,734        

 

 

NET ASSETS

   $       56,776,987        

 

 

INVESTMENTS, AT COST

   $ 55,294,209        

PRICING OF SHARES

  

Net Assets

   $ 56,776,987        

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     2,400,002        

Net Asset Value, offering and redemption price per share

   $ 23.66        

 

See Notes to Financial Statements.

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Statement of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Interest

   $ 12,116        

 

 

Total investment income

     12,116        

 

 

EXPENSES:

  

Investment adviser fees

     239,279        

 

 

Total Expenses

     239,279        

 

 

NET INVESTMENT LOSS

     (227,163)        

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized loss on investments

     (1,355,716)        

Net realized gain on written option contracts

     3,790,645        

Net change in unrealized appreciation on investments

     4,457        

Net change in unrealized depreciation on written option contracts

     (188,522)        

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS AND WRITTEN OPTION CONTRACTS

     2,250,864        

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $         2,023,701        

 

 

 

See Notes to Financial Statements.

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Statements of Changes in Net Assets

  

 

     For the Six          For the       
         Months Ended              Year Ended       
     May 31, 2015          November 30,       
     (Unaudited)          2014       

 

 

OPERATIONS:

    

Net investment loss

   $ (227,163)         $ (513,141)       

Net realized gain on investments and written option contracts

     2,434,929           25,634       

Net change in unrealized appreciation/(depreciation) on investments and written option contracts

     (184,065)           88,672       

 

 

Net increase/(decrease) in net assets resulting from operations

     2,023,701           (398,835)       

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

    

From net investment income

     (2,291,049)           –        

Tax return of capital

     –           (5,111,591)       

 

 

Total distributions

     (2,291,049)           (5,111,591)       

 

 

CAPITAL SHARE TRANSACTIONS:

    

Proceeds from sale of shares

     7,096,555           70,217,237       

Cost of shares redeemed

     (2,333,338)           (40,804,701)       

 

 

Net increase from share transactions

     4,763,217           29,412,536       

 

 

Net increase in net assets

     4,495,869           23,902,110       

NET ASSETS:

    

Beginning of period

     52,281,118           28,379,008       

 

 

End of period*

   $ 56,776,987         $ 52,281,118       

 

 

*Including accumulated net investment loss of:

   $ (3,007,007)         $ (488,795)       

OTHER INFORMATION:

    

CAPITAL SHARE TRANSACTIONS:

    

Beginning shares

     2,200,002           1,100,002       

Shares sold

     300,000           2,800,000       

Shares redeemed

     (100,000)           (1,700,000)       

 

 

Shares outstanding, end of period

     2,400,002           2,200,002       

 

 

 

See Notes to Financial Statements.

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Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

                For the Period  
                February 28,  
    For the           2013  
    Six Months       For the Year       (Commencement    
    Ended       Ended     of Operations)  
        May 31, 2015               November 30,         to November 30,  
    (Unaudited)         2014     2013  

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 23.76             $ 25.80             $ 25.00           

 

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment loss (a)

    (0.11)               (0.22)               (0.18)           

Net realized and unrealized gain

    1.08               0.42               2.50           

 

 

Total from investment operations

    0.97               0.20               2.32           

 

 

 

DISTRIBUTIONS:

     

From net investment income

    (1.07)               –               (1.52)           

Tax return of capital

    –                (2.24)               –           

 

 

Total distributions

    (1.07)               (2.24)               (1.52)           

 

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

    (0.10)               (2.04)               0.80           

 

 

NET ASSET VALUE, END OF PERIOD

  $ 23.66             $ 23.76             $ 25.80           

 

 

TOTAL RETURN(b)

    4.21%               0.84%               9.51%           

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

  $ 56,777             $ 52,281             $ 28,379           

Ratio of expenses to average net assets

    0.95%(c)            0.95%            0.95%(c)       

Ratio of net investment loss to average net assets

    (0. 90%) (c)            (0. 92%)              (0. 92%) (c)       

Portfolio turnover rate(d)

    0%            0%            0%       

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c) 

Annualized.

(d) 

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the U.S. Equity High Volatility Put Write Index Fund (the “Fund”). The investment objective of the Fund is to seek investment results that correspond generally to the performance, before the Fund’s fees and expenses, of the NYSE Arca U.S. Equity High Volatility Put Write IndexSM (the “Underlying Index”). The Underlying Index reflects the performance of a portfolio of exchange-traded put options on highly volatile stocks. The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares, at net asset value (“NAV”), in blocks of 100,000 Shares, each of which is called a “Creation Unit.” Creation Units of the Fund are issued and redeemed for cash. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of the NYSE, usually 4:00 p.m. Eastern time, each day the NYSE is open for trading. The NAV is computed by dividing the value of the Fund’s portfolio securities, cash and other assets (including accrued interest), less all liabilities (including accrued expenses), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market. Treasury Bills are typically valued at the mean between the evaluated bid and ask prices formulated by an independent pricing service.

The Fund’s listed put options are valued at the mean of the most recent bid and ask prices.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy. Treasury Bills are typically valued at the mean between the evaluated bid and ask prices formulated by an independent pricing service and are categorized as Level 1 in the hierarchy, due to their active trading, short-term maturity and liquidity. Listed put options are valued at the mean between the evaluated bid and ask prices formulated by an independent pricing service and are categorized as Level 1 in the hierarchy, due to their active trading and short-term expiration.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

 

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

 

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

 

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments at May 31, 2015:

 

    Level 1 -     Level 2 - Other     Level 3 - Significant        
    Unadjusted Quoted     Significant     Unobservable        
Investments in Securities at Value    Prices       Observable Inputs       Inputs     Total  

 

 

Short Term Investments

  $ –        $ 55,298,232         $ –        $           55,298,232    

 

 

Total

  $ –        $ 55,298,232         $ –        $ 55,298,232    

 

 
                         

 

 
Other Financial Instruments*                        

 

 

Liabilities

       

Written Option Contracts

  $ (1,031,976)         –          $ –        $ (1,031,976)      

 

 

Total

  $ (1,031,976)       $ –          $ –        $ (1,031,976)      

 

 
*

Other financial instruments are instruments not reflected in the Schedule of Investments, such as written options.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

The Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

D. Dividends and Distributions to Shareholders

Dividends from net investment income, if any, and any net short-term capital gains are distributed to shareholders following each 60 day period. Any other net income or capital gains will be distributed at least annually. Dividends may be declared and paid more frequently to improve Index tracking or to comply with the distribution requirements of the Internal Revenue Code. In addition, the Fund intends to distribute, at the end of each 60-day period out of net investment income and/or net short-term capital gains, an amount of cash equal to 1.5% of the Fund’s net assets at the end of such 60-day period. If the Fund’s net investment income and net short-term capital gains are insufficient to support a 1.5% distribution in any 60-day period, the distribution will be reduced by the amount of the shortfall. As a result of the Fund’s investment strategy, it is not expected that the Fund will have income from long-term capital gains.

E. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid was as follows:

 

       Ordinary Income      Tax Return of Capital   

 

 

November 30, 2014

     

U.S. Equity High Volatility Put Write Index Fund

   $ –        $ 5,111,591        

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

Gross appreciation (excess of value over tax cost)

   $ 48,860         

Gross depreciation (excess of tax cost over value)

     (44,837)        

 

 

Net unrealized appreciation (depreciation)

     4,023        

 

 

Cost of investments for income tax purposes

   $         55,294,209        

 

 

The Fund elects to defer to the period ending November 30, 2015, late year ordinary losses in the amount of $488,795.

F. Income Taxes

No provision for income taxes are included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

G. Derivative Instruments and Hedging Activities

The following discloses the Fund’s use of derivative instruments and hedging activities.

The Fund’s investment objective permits the Fund to purchase derivative contracts including written options. In doing so, the Fund will employ strategies in differing combinations to permit them to increase, decrease, or change the level or types of exposure to market factors. Central to those strategies are features inherent to derivatives that make them more attractive for this purpose than equity or debt securities; they require little or no initial cash investment, they can focus exposure on only certain selected risk factors, and they may not require the ultimate receipt or delivery of the underlying security (or securities) to the contract. This may allow the Fund to pursue its objectives more quickly and efficiently than if it were to make direct purchases or sales of securities capable of affecting a similar response to market factors.

Cash collateral that has been pledged to cover derivative obligations of the Fund and cash collateral received from the counterparty and Non-cash collateral pledged by the Fund, if any, is noted in the Schedule of Investments.

Market Risk Factors: In pursuit of the Fund’s investment objective, the Fund will use derivatives to increase or decrease its exposure to the following market risk factors:

Equity Risk:  The value of the options sold by the Fund is based on the value of the stocks underlying such options. Accordingly, the Fund is exposed to equity risk, which is the risk that the value of the stocks underlying options written by the Fund will fall due to general market and economic conditions, perceptions regarding the industries in which the issuers of such stock participate, or factors relating to specific companies. In such event, the value of the options sold by the Fund will likely decline. Additionally, if the value of the stocks underlying the options sold by the Fund increases, the Fund’s returns will not increase accordingly.

The Fund will seek to track the performance of the Underlying Index by selling listed 60-day put options in proportion to their weightings in the Underlying Index. By selling an option, the Fund will receive premiums from the buyer of the option, which will increase the Fund’s return if the option is not exercised and thus expires worthless. However, if the option’s underlying stock declines below the strike price, the option will finish in-the-money and the Fund will be required to buy the underlying stock at the strike price, effectively paying the buyer the difference between the strike price and the closing price. Therefore, by writing a put option, the Fund is exposed to the amount by which the price of the underlying stock is less than the strike price. Accordingly, the potential return to the Fund is limited to the amount of option premiums it receives, while the Fund can potentially lose up to the entire strike price of each option it sells. Further, if the value of the stocks underlying the options sold by the Fund increases, the Fund’s returns will not increase accordingly.

As the seller of a listed put option, the Fund incurs an obligation to buy the underlying instrument from the purchaser of the option at the option’s strike price, upon exercise by the option purchaser. If a listed put option sold by the Fund is exercised prior to the end of a 60-day period, the Fund will buy the underlying stock at the time of exercise and at the strike price, and will hold the stock until the end of the 60-day period.

Each put option sold by the Fund will be covered through investments in three-month U.S. Treasury bills at least equal to the Fund’s maximum liability under the option (i.e., the strike price). Based on requirements and agreements with certain exchanges and third party broker-dealers, the Fund has requirements to deliver securities as collateral for certain investments. Securities collateral that has been pledged to cover obligations of the Fund is noted on the Schedule of Investments.

Every 60 days, the options included within the Underlying Index are exercised or expire and new option positions are established, and the Fund will enter into new option positions accordingly and sell any underlying stocks it owns as a result of the Fund’s prior option positions having been exercised. This 60-day cycle likely will cause the Fund to have frequent and substantial portfolio turnover. If the Fund receives additional inflows (and issues more Shares accordingly in large numbers known as “Creation Units”) during a 60-day period, the Fund will sell additional listed put options which will be exercised or expire at the end of such 60-day period. Conversely, if the Fund redeems Shares in Creation Unit size during a 60-day period, the Fund will terminate the appropriate portion of the options it has sold accordingly.

Put Option Risk: Options are generally subject to volatile swings in price based on changes in value of the underlying instrument, and the options written by the Fund may be particularly subject to this risk because the underlying stocks are selected by the Index Provider to have high volatility. The Fund will incur a form of economic leverage through its use of options, which will increase the volatility of the Fund’s returns and may increase the risk of loss to the Fund. While the Fund will collect premiums on the options it writes, the Fund’s risk of loss if one or more of its options is exercised and expires in-the-money may substantially outweigh the gains to the Fund from the receipt of such option premiums. Moreover, the options sold by the Fund may have imperfect correlation to the returns of their underlying stocks.

Implied Volatility Risk: When the Fund sells a listed put option, it gains the amount of the premium it receives, but also incurs a corresponding liability representing the value of the option it has sold (until the option is exercised and finishes in the money or expires worthless). The value of

 

12  |  May 31, 2015


Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

the options in which the Fund invests is partly based on the volatility used by market participants to price such options (i.e., implied volatility). Accordingly, increases in the implied volatility of such options will cause the value of such options to increase (even if the prices of the options’ underlying stocks do not change), which will result in a corresponding increase in the liabilities of the Fund under such options and thus decrease the Fund’s NAV. The Fund is therefore exposed to implied volatility risk before the options expire or are exercised. This is the risk that the value of the implied volatility of the options sold by the Fund will increase due to general market and economic conditions, perceptions regarding the industries in which the issuers of such stock participate, or factors relating to specific companies.

Transactions in written option contracts during the six months ended May 31, 2015, were as follows:

 

     Written Put Options  
  

 

 

 
                     Number of Contracts                         Premiums                            

 

 

Options outstanding at November 30, 2014

     (13,222)                                                       $            1,557,855                       

Options written

     (41,765)                       4,062,680                       

Options exercised

     4,715                        (542,252)                      

Options expired

     37,562                        (3,787,196)                      

Options closed

     702                        (77,400)                      
  

 

 

 

Options outstanding at May 31, 2015

     (12,008)                       1,213,687                       
  

 

 

 

Market Value at May 31, 2015

           $           (1,031,976)                      
  

 

 

 

The effect of derivatives instruments on the Statement of Assets and Liabilities as of May 31, 2015:

 

     Liability Derivatives  
  

 

 
Risk Exposure          Statement of Assets and Liabilities Location    Fair Value      

 

 

U.S. Equity High Volatility Put Write Index Fund

  

Equity Contracts (Written Options)

   Options written, at value    $         1,031,976        

 

 
      $ 1,031,976        

 

 

The effect of derivatives instruments on the Statement of Operations for the six months ended May 31, 2015:

 

Risk Exposure    Statement of Operations Location    Realized Gain/
(Loss)
on Derivatives
Recognized
in Income
     Change in
Unrealized
Gain/(Loss)
on Derivatives
Recognized
in Income
 

 

 

U.S. Equity High Volatility Put Write Index Fund

        

Equity Contracts (Written Options)

  

Net realized gain on written option contracts/Net change in unrealized depreciation on written option contracts

     $        3,790,645        $        (188,522)         

 

 

Total

        $        3,790,645        $        (188,522)         

 

 

The average written option contracts volume was 13,598 during the six months ended May 31, 2015.

 

13  |  May 31, 2015


Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an advisory agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides payable on a monthly basis at the annual rate of 0.95% of the Fund’s average daily net assets. From time to time, the Investment Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Investment Adviser pays substantially all expenses of the Fund, including the fees of the Sub-Adviser and the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed pay substantially all the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

Rich Investment Solutions, LLC acts as the Fund’s sub-adviser (“Sub-Adviser”) pursuant to a sub-advisory agreement with the Adviser (the “Sub-Advisory Agreement”). Pursuant to the Sub-Advisory Agreement, the Adviser pays the Sub-Adviser, on a monthly basis, a portion of the advisory fees it receives from the Fund, on an annual rate of 0.80% of average net assets.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of common stock related to exercised written put options were as follows:

 

Fund     Purchases                    Sales                

 

 

U.S. Equity High Volatility Put Write Index Fund

     $   17,246,663            $  15,889,726          

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund on a cash basis only in Creation Unit size aggregations of 100,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund.

 

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Table of Contents
U.S. Equity High Volatility Put Write Index Fund

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

LICENSING AGREEMENT

 

The U.S. Equity High Volatility Put Write Index Fund is not sponsored, endorsed, sold or promoted by NYSE Euronext or its affiliates (“NYSE Euronext”). NYSE Euronext makes no representation or warranty regarding the advisability of investing in securities generally, in The U.S. Equity High Volatility Put Write Index Fund particularly, or the ability of the NYSE Arca U.S. Equity High Volatility Put Write IndexSM to track general stock market performance.

NYSE EURONEXT MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND HEREBY EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE NYSE ARCA U.S. EQUITY HIGH VOLATILITY PUT WRITE INDEXSM OR ANY DATA INCLUDED THEREIN. IN NO EVENT SHALL NYSE EURONEXT HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOSS OF PROFITS), EVEN IF NOTIFIED OF THE POSSIBLIITY OF SUCH DAMAGES.

 

15  |  May 31, 2015


Table of Contents

LOGO


Table of Contents

LOGO             

May 31, 2015             

 

 

LOGO

RiverFront Strategic Income Fund (NYSE ARCA: RIGS)

An ALPS Advisors Solution

 

 

LOGO             


Table of Contents

table of

CONTENTS

 

Performance Overview 

      1

 

Disclosure of Fund Expenses

      3

 

Schedule of Investments  

      4

 

Statement of Assets and Liabilities 

      6

 

Statement of Operations  

      7

 

Statements of Changes of Net Assets 

      8

 

 

Notes to Financial Statements

      10

 

Additional Information 

      14

www.alpsfunds.com


Table of Contents

RiverFront Strategic Income Fund

 

    

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The RiverFront Strategic Income Fund (the “Fund”) seeks total return, with an emphasis on income as the source of that total return. The Fund seeks to achieve its investment objective by investing in a global portfolio of fixed income securities of various maturities, ratings and currency denominations. The Fund intends to utilize various investment strategies in a broad array of fixed income sectors.

Performance Overview

The Fund performed relatively well during the six-month period from December 1, 2014 through May 31, 2015. Over the six months, the Fund’s market return was 2.61% (2.53% at NAV) vs. 1.09% for the Barclays U.S. Aggregate Bond Index. During this time period the Fund was comprised entirely of shorter maturity high-yield bonds. The duration of the Fund was much shorter than that of the Barclays U.S. Aggregate Index (about 3.0 years vs. 5.6 years), which was advantageous during a period of slightly higher long-term rates and sharply lower short-term rates. Risk premiums for short-term high yield bonds were relatively unchanged over the six months, but the portfolio’s higher average credit quality was beneficial as the lower rated sectors of the high yield market underperformed. We believe that short-term high yield bonds remain relatively attractive on a yield per unit of duration basis, compared to other sectors of the bond market.

Performance (as of May 31, 2015)

 

                6 Months                           1 Year                         Since Inception^          

RiverFront Strategic Income Fund – NAV

  2.53%   2.72%   5.16%

RiverFront Strategic Income Fund – Market Price*

  2.61%   2.48%   5.21%

Barclays U.S. Aggregate Bond Index

  1.09%   3.03%   4.11%

Total Expense Ratio (per the current prospectus) 0.22%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For most current month-end performance data please visit www.alpsfunds.com or call 1.866.759.5679.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of  days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on October 8, 2013.

 

*

Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times

Duration is a measure of the sensitivity of the price (the value of principal) of a fixed-income investment to a change in interest rates. Duration is expressed as a number of years. The duration number is a calculation involving present value, yield, coupon, final maturity and call features. The bigger the duration number, the greater the interest-rate risk or reward for bond prices. Rising interest rates mean falling bond prices, while declining interest rates mean rising bond prices.

Barclays U.S. Aggregate Bond Index - An unmanaged index composed of securities from the Barclays Capital Government/Corporate Bond Index, Mortgage-Backed Securities Index and the Asset-Backed Securities Index. Total return comprises price appreciation/depreciation and income as a percentage of the original investment. Indices are rebalanced monthly by market capitalization. The index is not actively managed and does not reflect any deductions for fees, expenses or taxes.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The RiverFront Strategic Income Fund is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the RiverFront Strategic Income Fund.

 

1  |  May 31, 2015


Table of Contents

RiverFront Strategic Income Fund

 

    

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

AES Corp., Sr. Unsec.

    3.33 %  

Windstream Corp., Sr. Unsec.

    3.29 %  

CenturyLink, Inc., Sr. Unsec., Series V

    3.16 %  

NRG Energy, Inc., Sr. Unsec.

    3.14 %  

Case New Holland Industrial, Inc., Sr. Unsec.

    3.07 %  

ArcelorMittal, Sr. Unsec.

    3.00 %  

HJ Heinz Co., Second Lien

    3.00 %  

WESCO Distribution, Inc., Sr. Unsec.

    2.96 %  

Flextronics International, Ltd., Sr. Unsec.

    2.94 %  

Graphic Packaging International, Inc., Sr. Unsec.

    2.91 %  

Total % of Top 10 Holdings

        30.80 %  

 

*

% of Total Investments.

Future holdings are subject to change.

Asset Allocation* (as of May 31, 2015)

 

LOGO

 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
RiverFront Strategic Income Fund     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs:(1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held though May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     

  Beginning Account  
Value

12/1/14

     Ending Account Value  
5/31/15
  

  Expense  

Ratio(a)

   Expenses Paid
During Period
  12/1/14 - 5/31/15(b)    
 

Actual

   $         1,000.00       $         1,025.30        0.22%       $ 1.11            

Hypothetical (5% return before expenses)

   $         1,000.00       $         1,023.83        0.22%       $ 1.11           

 

(a)

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b)

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of  days in the most recent fiscal half year (182), divided by 365.

 

3  |  May 31, 2015


Table of Contents

RiverFront Strategic Income Fund

 

    

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description      Principal
   Amount
    Value       

 

 

CORPORATE BONDS (98.20%)

 

 

Consumer Discretionary (16.51%)

 

 

Autonation, Inc., Sr. Unsec.

   

6.75%, 04/15/2018

  $ 2,450,000      $ 2,751,597   

Avis Budget Car Rental LLC/Avis Budget Finance, Inc., Sr. Unsec.

   

4.88%, 11/15/2017

    8,285,000       8,544,155   

Cablevision Systems Corp., Sr. Unsec.

   

8.63%, 09/15/2017

    7,136,000       7,929,880   

CSC Holdings LLC, Sr. Unsec.

   

7.88%, 02/15/2018

    4,000,000       4,450,000   

DISH DBS Corp., Sr. Unsec.

   

4.25%, 04/01/2018

    10,558,000       10,874,740   

7.88%, 09/01/2019

    2,000,000       2,265,000   

General Motors Financial Co., Inc., Sr. Unsec.

   

4.75%, 08/15/2017

    3,067,000       3,243,944   

Lamar Media Corp., Sr. Sub.

   

5.88%, 02/01/2022

    13,221,000       14,014,260   

Lear Corp., Sr. Unsec.

   

4.75%, 01/15/2023

    12,890,000       13,115,575   

MGM Resorts International, Sr. Unsec.

   

7.63%, 01/15/2017

    13,228,000       14,269,705   

Service Corp. International, Sr. Unsec.

   

5.38%, 01/15/2022

    1,293,000       1,383,510   
   

 

 

 

Total Consumer Discretionary

 

    82,842,366   
   

 

 

 

Consumer Staples (6.53%)

 

 

Constellation Brands, Inc., Sr. Unsec.

   

3.88%, 11/15/2019

    7,000,000       7,183,750   

3.75%, 05/01/2021

    5,250,000       5,295,938   

HJ Heinz Co., Second Lien

   

4.25%, 10/15/2020

     14,538,000       14,892,363   

Smithfield Foods, Inc., Sr. Unsec.

   

7.75%, 07/01/2017

    4,850,000       5,371,375   
   

 

 

 

Total Consumer Staples

        32,743,426   
   

 

 

 

Energy (10.00%)

   

Access Midstream Partners LP/ACMP Finance Corp., Sr. Unsec.

   

6.13%, 07/15/2022

    13,093,000       14,096,775   

Chesapeake Energy Corp., Sr. Unsec.

   

6.50%, 08/15/2017

    1,700,000       1,806,250   

3.53%, 04/15/2019(a)

    4,700,000       4,570,750   

Concho Resources, Inc., Sr. Unsec.

   

6.50%, 01/15/2022

    4,434,000       4,677,870   
Security Description      Principal
   Amount
    Value       

 

 

Energy (continued)

   

Continental Resources, Inc., Sr. Unsec.

   

5.00%, 09/15/2022

  $  13,877,000      $   13,859,654   

Newfield Exploration Co., Sr. Unsec.

   

5.75%, 01/30/2022

    7,900,000       8,374,000   

Tesoro Corp., Sr. Unsec.

   

5.38%, 10/01/2022

    1,675,000       1,758,750   

Tesoro Logistics LP / Tesoro Logistics Finance Corp., Sr. Unsec.

   

5.88%, 10/01/2020

    1,000,000       1,052,000   
   

 

 

 

Total Energy

      50,196,049   
   

 

 

 

Financials (5.05%)

 

 

Ally Financial, Inc., Sr. Unsec.

   

5.50%, 02/15/2017

    8,033,000       8,414,568   

CIT Group, Inc., Sr. Unsec.

   

4.25%, 08/15/2017

    12,725,000       13,043,125   

Corrections Corp., Sr. Unsec.

   

4.13%, 04/01/2020

    3,797,000       3,872,940   
   

 

 

 

Total Financials

      25,330,633   
   

 

 

 

Health Care (12.94%)

   

CHS/Community Health Systems, Inc., First Lien

   

5.13%, 08/15/2018

    11,420,000       11,776,875   

DaVita HealthCare Partners, Inc., Sr. Unsec.

   

5.75%, 08/15/2022

    11,400,000       12,169,500   

Fresenius Medical Care US Finance II, Inc., Sr. Unsec.

   

5.63%, 07/31/2019(b)

    12,185,000       13,296,881   

HCA, Inc., First Lien

   

6.50%, 02/15/2020

    11,803,000       13,204,606   

Tenet Healthcare Corp., First Lien

   

6.25%, 11/01/2018

    12,267,000       13,393,970   

Valeant Pharmaceuticals International, Sr. Unsec.

   

6.75%, 08/15/2018(b)

    1,000,000       1,058,750   
   

 

 

 

Total Health Care

      64,900,582   
   

 

 

 

Industrials (13.41%)

   

ADT Corp., Sr. Unsec.

   

2.25%, 07/15/2017

    11,300,000       11,215,250   

Aircastle, Ltd., Sr. Unsec.

   

6.75%, 04/15/2017

    10,637,000       11,461,368   

Bombardier, Inc., Sr. Unsec.

   

7.50%, 03/15/2018(b)

    1,550,000       1,641,063   

Case New Holland Industrial, Inc., Sr. Unsec.

   

7.88%, 12/01/2017

    13,705,000       15,229,680   
 

 

See Notes to Financial Statements.

4  |  May 31, 2015


Table of Contents

RiverFront Strategic Income Fund

 

    

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description      Principal
   Amount
    Value       

 

 

Industrials (continued)

   

United Rentals North America, Inc., Sr. Unsec.

   

7.38%, 05/15/2020

  $  12,050,000      $    13,044,125   

WESCO Distribution, Inc., Sr. Unsec.

   

5.38%, 12/15/2021

    14,350,000       14,708,750   
   

 

 

 

Total Industrials

      67,300,236   
   

 

 

 

Information Technology (2.91%)

 

 

Flextronics International, Ltd., Sr. Unsec.

   

4.63%, 02/15/2020

    13,821,000       14,581,155   
   

 

 

 

Total Information Technology

 

    14,581,155   
   

 

 

 

Materials (15.39%)

   

ArcelorMittal, Sr. Unsec.

   

6.13%, 06/01/2018

    2,900,000       3,117,500   

6.00%, 08/05/2020(c)

    11,171,000       11,799,368   

Ball Corp., Sr. Unsec.

   

5.00%, 03/15/2022

    13,563,000       14,003,798   

Celanese US Holdings LLC, Sr. Unsec.

   

5.88%, 06/15/2021

    3,500,000       3,815,000   

The Chemours Co., Sr. Unsec.

   

6.63%, 05/15/2023(b)

    3,000,000       3,052,500   

Graphic Packaging International, Inc., Sr. Unsec.

   

4.75%, 04/15/2021

    8,915,000       9,293,887   

4.88%, 11/15/2022

    5,000,000       5,150,000   

Huntsman Intl LLC, Sr. Unsec.

   

4.88%, 11/15/2020

    14,138,000       14,420,760   

United States Steel Corp., Sr. Unsec.

   

6.05%, 06/01/2017

    8,026,000       8,447,365   

7.00%, 02/01/2018

    3,810,000       4,138,613   
   

 

 

 

Total Materials

      77,238,791   
   

 

 

 

Telecommunication Services (9.06%)

 

 

CenturyLink, Inc., Sr. Unsec., Series V

   

5.63%, 04/01/2020

    15,000,000       15,712,500   

Frontier Communications Corp., Sr. Unsec.

   

8.25%, 04/15/2017

    12,225,000       13,401,656   

Windstream Corp., Sr. Unsec.

   

7.88%, 11/01/2017

    15,094,000       16,320,388   
   

 

 

 

Total Telecommunication Services

 

    45,434,544   
   

 

 

 

Utilities (6.40%)

   

AES Corp., Sr. Unsec.

   

8.00%, 06/01/2020

    14,065,000       16,526,375   
Security Description      Principal  
   Amount  
  Value       

 

 

Utilities (continued)

   

NRG Energy, Inc., Sr. Unsec.

 

7.63%, 01/15/2018

  $ 13,950,000      $ 15,582,150   
     

 

 

 

Total Utilities

    32,108,525   
     

 

 

 

TOTAL CORPORATE BONDS

 

(Cost $489,413,281)

    492,676,307   
     

 

 

 
Security Description     7 Day Yield    Shares     Value       

 

 

SHORT TERM INVESTMENTS (0.81%)

 

Dreyfus Treasury Prime Cash Management, Institutional Shares

    0.000% (d)   4,086,268         4,086,268   
     

 

 

 

TOTAL SHORT TERM INVESTMENTS

 

(Cost $4,086,268)

    4,086,268   
     

 

 

 

TOTAL INVESTMENTS (99.01%)

 

(Cost $493,499,549)

   $ 496,762,575   

NET OTHER ASSETS AND LIABILITIES (0.99%)

    4,967,624    
     

 

 

 

NET ASSETS (100.00%)

   $   501,730,199   
     

 

 

 

 

(a) 

Interest rate will change at a future date. Interest rate shown reflects the rate in effect at May 31, 2015.

(b) 

Securities exempt from registration under Rule 144A of the Securities Act of  1933. These securities may be sold in the ordinary course of business in transactions exempt from registration, normally to qualified institutional buyers. At period end, the aggregate market value of those securities was $19,049,194, representing 3.80% of net assets.

(c) 

Represents a step bond. Rate disclosed is as of May 31, 2015.

(d) 

Less than 0.0005%.

Common Abbreviations:

LLC - Limited Liability Company.

LP - Limited Partnership.

Ltd. - Limited.

Sr. - Senior.

Sub. - Subordinated.

Unsec. - Unsecured.

 

 

See Notes to Financial Statements.

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RiverFront Strategic Income Fund

 

    

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

    

Investments, at value

   $     496,762,575    

Receivable for investments sold

     1,587,238    

Receivable for shares sold

     5,761    

Interest receivable

     7,201,078    

 

 

Total Assets

     505,556,652    

 

 

LIABILITIES:

    

Payable for investments purchased

     3,733,745    

Payable to adviser

     92,708    

 

 

Total Liabilities

     3,826,453            

 

 

NET ASSETS

   $ 501,730,199    

 

 

NET ASSETS CONSIST OF:

    

Paid-in capital

   $ 498,215,271    

Accumulated net investment income

     29,718    

Accumulated net realized gain on investments

     222,184    

Net unrealized appreciation on investments

     3,263,026    

 

 

NET ASSETS

   $ 501,730,199    

 

 

INVESTMENTS, AT COST

   $ 493,499,549    

PRICING OF SHARES

    

Net Assets

   $ 501,730,199    

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     19,900,002    

Net Asset Value, offering and redemption price per share

   $ 25.21    

 

See Notes to Financial Statements.

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RiverFront Strategic Income Fund

 

    

 

Statement of Operations

   For the Six Months Ended May 31, 2015

 

INVESTMENT INCOME:

  

Interest

     $7,942,987        

 

 

Total Investment Income

     7,942,987        

 

 

EXPENSES:

  

Investment adviser and sub-adviser fees (note 3)

     983,223        

 

 

Total Expenses

     983,223        

Less fees waived/reimbursed by sub-adviser (note 3)

     (512,986)        

 

 

Net Expenses

     470,237        

 

 

NET INVESTMENT INCOME

     7,472,750        

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized loss on investments

     (5,945)        

Net change in unrealized appreciation on investments

     3,240,599        

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     3,234,654        

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

     $      10,707,404        

 

 

 

See Notes to Financial Statements.

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Table of Contents

RiverFront Strategic Income Fund

 

    

 

Statements of Changes in Net Assets

  

 

    

For the Six

Months Ended

May 31, 2015

(Unaudited)

      

For the 

Year Ended 

November 30, 

2014 

 

 

 

OPERATIONS:

       

Net investment income

   $ 7,472,750        $ 9,041,406        

Net realized gain/(loss) on investments

     (5,945)          396,073        

Net change in unrealized appreciation/(depreciation) on investments

     3,240,599          (454,991)        

 

 

Net increase in net assets resulting from operations

     10,707,404          8,982,488        

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

       

From net investment income

     (7,474,296)          (9,145,080)        

 

 

Total distributions

     (7,474,296)          (9,145,080)        

 

 

CAPITAL SHARE TRANSACTIONS:

       

Proceeds from sale of shares

     134,366,106          294,599,065        

Shares redeemed

     (4,934,170)          (22,473,663)        

 

 

Net increase from share transactions

     129,431,936          272,125,402        

 

 

Net increase in net assets

     132,665,044          271,962,810        

NET ASSETS:

       

Beginning of period

     369,065,155          97,102,345        

 

 

End of period*

   $     501,730,199        $     369,065,155        

 

 

*Including accumulated net investment income of:

   $ 29,718        $ 31,264        

OTHER INFORMATION:

       

CAPITAL SHARE TRANSACTIONS:

       

Beginning shares

     14,750,002          3,900,002        

Shares sold

     5,350,000          11,750,000        

Shares redeemed

     (200,000)          (900,000)        

 

 

Shares outstanding, end of period

     19,900,002          14,750,002        

 

 

 

See Notes to Financial Statements.

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RiverFront Strategic Income Fund

 

    

 

Financial Highlights

   For a share outstanding throughout the periods presented

 

    

For the

Six Months

Ended

May 31, 2015

(Unaudited)

 

For the Year

Ended

November 30,

2014

 

For the Period

October 8, 2013

(Commencement)  

to

November 30,

2013

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $25.02     $24.90     $24.42  

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

      

Net investment income(a)

   0.44     0.83     0.11  

Net realized and unrealized gain

   0.18     0.11     0.40  

 

Total from investment operations

   0.62     0.94     0.51  

 

DISTRIBUTIONS:

      

From net investment income

   (0.43)     (0.82)     (0.03)  

 

Total distributions

   (0.43)     (0.82)     (0.03)  

 

NET INCREASE IN NET ASSET VALUE

   0.19     0.12     0.48  

 

NET ASSET VALUE, END OF PERIOD

   $25.21     $25.02     $24.90  

 

TOTAL RETURN(b)

   2.53%     3.80%     2.08%  

RATIOS/SUPPLEMENTAL DATA:

      

Net assets, end of period (000s)

   $501,730     $369,065     $97,102  

Ratio of expenses excluding waiver/reimbursement to average net assets

   0.46%(c)     0.46%     0.46%(c)  

Ratio of expenses including waiver/reimbursement to average net assets

   0.22%(c)     0.22%     0.22%(c)  

Ratio of net investment income including expenses waiver/reimbursement to average net assets

   3.50%(c)     3.30%     3.28%(c)  

Portfolio turnover rate(d)

   10%     27%     0%  

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and the redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at the actual reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c) 

Annualized.

(d)

Portfolio turnover rate is not annualized.

 

See Notes to Financial Statements.

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RiverFront Strategic Income Fund

 

    

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1.  ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the RiverFront Strategic Income Fund (the “Fund”). The investment objective of the Fund is to seek total return, with an emphasis on income as the source of that total return.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities and/or cash. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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.  SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market.

Fixed-income obligations having a remaining maturity of greater than 60 days are typically valued at the mean between the evaluated bid and ask prices formulated by an independent pricing service.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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RiverFront Strategic Income Fund

 

    

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing vendors or from brokers who make markets in such securities. For corporate bonds, pricing vendors utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type as well as broker-supplied prices. When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing vendors. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances. The Fund invests a significant portion of its assets in below investment grade securities. The value of these securities can be more volatile due to changes in the credit quality of the issuer and is sensitive to changes in economic, market and regulatory conditions. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

 

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

 

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

 

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments as of May 31, 2015:

 

Investments in Securities at Value*  

Level 1 -

Unadjusted Quoted

Prices

   

Level 2 - Other

Significant

Observable Inputs

   

Level 3 - Significant

Unobservable
Inputs

    Total  

 

 

Corporate Bonds

  $  –          $ 492,676,307        $  –        $       492,676,307    

Short Term Investments

    4,086,268           –           –          4,086,268    

 

 

TOTAL

  $ 4,086,268         $ 492,676,307         $  –        $ 496,762,575    

 

 

 

*

For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the year ended May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

 

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RiverFront Strategic Income Fund

 

    

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

D. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid monthly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

E. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid was as follows:

 

             Ordinary Income              

 

 

November 30, 2014

  

RiverFront Strategic Income Fund

   $ 9,145,080          

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

    

RiverFront Strategic

Income Fund

 

 

 

Gross appreciation (excess of value over tax cost)

   $ 4,045,274        

Gross depreciation (excess of tax cost over value)

     (784,725)        

 

 

Net unrealized appreciation (depreciation)

     3,260,549        

 

 

Cost of investments for income tax purposes

   $ 493,502,026        

 

 

The differences between book-basis and tax-basis are due to the deferral of losses from wash sales.

F. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

3.  INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser an annual management fee for the services and facilities it provides equal to 0.22% of the Fund’s average daily net assets.

Out of the advisory fee, the Adviser pays substantially all expenses of the Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

RiverFront Investment Group, LLC acts as the Fund’s sub-adviser (“Sub-Adviser”) pursuant to a sub-advisory agreement with the Trust (the ‘‘Sub-Advisory Agreement’’). Pursuant to the Sub-Advisory Agreement, the Fund pays the Sub-Adviser a sub-advisory fee for the services it provides,

 

12  |  May 31, 2015


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RiverFront Strategic Income Fund

 

    

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

payable on a monthly basis at the annual rate of 0.24% of the Fund’s average daily net assets. However, the Sub-Adviser has agreed to waive all of its sub-advisory fee until at least March 31, 2016. This waiver may only be terminated by the Fund’s Board (and not by the Fund’s Sub-Adviser) prior to such date.

The Fund’s total annual management fees of 0.46% consists of 0.22% paid to the Fund’s adviser and a fee of 0.24% paid to the Fund’s sub-adviser.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4.  PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding in-kind transactions and short-term investments, were as follows:

 

Fund    Purchases                                    Sales                             

 

 

RiverFront Strategic Income Fund

   $                       86,113,987        $                   42,326,429            

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases                                    Sales                             

 

 

RiverFront Strategic Income Fund

   $                       98,413,138        $                   2,378,125            

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5.  CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000 shares. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Table of Contents

RiverFront Strategic Income Fund

 

    

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (UNAUDITED)

 

Pursuant to Section 852(b)(3) of the Internal Revenue Code, the RiverFront Strategic Income Fund will designate $24,726 as long-term capital gain distributions for the year ending November 30, 2015.

 

14  |  May 31, 2015


Table of Contents

 

 

Page Intentionally Left Blank

 

 

 

 


Table of Contents

 

 

 

SEMI-ANNUAL REPORT | May 31, 2015

 

 

This report has been prepared for shareholders of the ETF described herein and may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

     

 

 

 


Table of Contents

LOGO               

May 31, 2015            

 

 

LOGO

ALPS Medical Breakthroughs ETF (NYSE ARCA: SBIO)

An ALPS Advisors Solution

 

 

 

LOGO               


Table of Contents

table of

CONTENTS

 

Performance Overview 

        1   

 

Disclosure of Fund Expenses 

        3   

 

Schedule of Investments 

        4   

 

Statement of Assets & Liabilities 

        7   

 

Statement of Operations 

        8   

 

Statement of Changes In Net Assets 

        9   

 

Financial Highlights 

        10   

 

Notes to Financial Statements 

        11   

 

Additional Information 

        15   

 

Board Considerations Regarding Approval of Investment  Advisory Agreement 

        16   

 

www.alpsfunds.com


Table of Contents
ALPS Medical Breakthroughs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

ALPS Medical Breakthroughs ETF (the “Fund”) employs a “passive management” – or indexing – investment approach designed to seek investment results that correspond (before fees and expenses) generally to the performance of the Poliwogg Medical Breakthroughs IndexSM (the “Underlying Index”).

The Underlying Index is comprised of small- and mid-cap stocks of biotechnology and pharmaceutical companies that have one or more drugs in either Phase II or Phase III U.S. Food and Drug Administration (“FDA”) clinical trials. In a Phase II trial, the drug is administered to a group of 100-300 people to see if it is effective and to evaluate its safety. In a Phase III trial, the drug is given to a larger group, between 500-3,000 people, to confirm its effectiveness, monitor side effects, compare it to commonly used treatments and collect information that will allow the drug or treatment to be used safely. Stocks selected for inclusion in the Underlying Index must be listed on a U.S. stock exchange. Underlying Index constituents must have a market capitalization of no less than $200 million and no more than $5 billion. Stocks included in the Underlying Index must also sustain an average daily trading volume in excess of $1 million for the 90-day period preceding an Underlying Index reconstitution. Constituents must be able to sustain the monthly rates at which they use shareholder capital (“cash burn rates”) for at least 24 months. The Underlying Index is reconstituted semi-annually on the third Fridays of June and December.

Growth Of $10,000 (as of May 31, 2015)

Comparison of change in value of a $10,000 investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

Fund Performance (as of May 31, 2015)

 

     Since Inception^

 

ALPS Medical Breakthroughs ETF - NAV

 

 

37.46%

 

ALPS Medical Breakthroughs ETF - Market Price*

 

 

37.54%

 

Poliwogg Medical Breakthroughs Total Return Index

 

 

37.72%

Total Expense Ratio (per the current prospectus) 0.50%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For most current month-end performance data please visit www.alpsfunds.com or call 1.844.234.5852.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in

 

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ALPS Medical Breakthroughs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund commenced Investment Operations on December 31, 2014. Total return for a period of less than one year is not annualized.

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Fund is new with limited operating history.

Poliwogg Medical Breakthroughs Total Return Index is designed to capture research and development opportunities in the pharmaceutical industry. PMBI consists of small-cap and mid-cap pharmaceutical and biotechnology stocks listed on U.S. stock exchanges that have one or more drugs in either Phase II or Phase III U.S. FDA clinical trials. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

Companies in the pharmaceuticals and biotechnology industry may be subject to extensive litigation based on product liability and similar claims. Legislation introduced or considered by certain governments on such industries or on the healthcare sector cannot be predicted.

Companies in the pharmaceuticals industry are subject to competitive forces that may make it difficult to raise prices and, in fact, may result in price discounting. The profitability of some companies in the pharmaceuticals industry may be dependent on a relatively limited number of products. In addition, their products can become obsolete due to industry innovation, changes in technologies or other market developments. Many new products in the pharmaceuticals industry are subject to government approvals, regulation and reimbursement rates. The process of obtaining government approvals may be long and costly. Many companies in the pharmaceuticals industry are heavily dependent on patents and intellectual property rights. The loss or impairment of these rights may adversely affect the profitability of these companies.

The development of new drugs generally has a high failure rate, and such failures may negatively impact the stock price of the company developing the failed drug. Biotechnology companies may have persistent losses during a new product’s transition from development to production. In order to fund operations, biotechnology companies may require financing from the capital markets, which may not always be available on satisfactory terms or at all.

The Fund’s shares are not individually redeemable. Investors buy and sell shares of the Fund on a secondary market. Only market makers or “authorized participants” may trade directly with the Fund, typically in blocks of 50,000 shares.

The ALPS Medical Breakthroughs ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ALPS Medical Breakthroughs ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with S-Network Global Indexes, Inc.

 

Top Ten Holdings* (as of May 31, 2015)

 

Synageva BioPharma Corp.

     6.83%        

Bluebird Bio, Inc.

     5.48%        

Seattle Genetics, Inc.

     4.62%        

Receptos, Inc.

     4.42%        

Akorn, Inc.

     4.28%        

Horizon Pharma Plc

     4.25%        

ACADIA Pharmaceuticals, Inc.

     3.56%        

Neurocrine Biosciences, Inc.

     3.17%        

Dyax Corp.

     3.11%        

Impax Laboratories, Inc.

     2.90%        

Total % of Top 10 Holdings

     42.62%        

 

*

% of Total Investments

Future holdings are subject to change.

Sector Allocation* (as of May 31, 2015)

 

LOGO

 

 

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ALPS Medical Breakthroughs ETF     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     

Beginning Account
Value

12/1/14

   

Ending Account
Value

5/31/15

       Expense
Ratio(a)
       Expenses Paid
During Period
12/1/14 - 5/31/15(b)  
 

ALPS Medical Breakthroughs ETF

              

Actual(c)

     $1,000.00                $1,374.60            0.50%            $2.47               

Hypothetical (5% return before expenses)

     $1,000.00                $1,022.44            0.50%            $2.52               

 

(a)

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b)

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

(c)

Actual expenses paid during the period are based on the commencement of operations date of December 31, 2014.

 

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Table of Contents
ALPS Medical Breakthroughs ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description           Shares             Value          

 

 

COMMON STOCKS (100.02%)

               

Biotechnology (76.20%)

               

ACADIA Pharmaceuticals, Inc.(a)

          65,834           $ 2,712,361    

Acceleron Pharma, Inc.(a)

          21,283             717,876    

Achillion Pharmaceuticals, Inc.(a)

          74,068             732,533    

Acorda Therapeutics, Inc.(a)

          28,093             856,275    

Adamas Pharmaceuticals, Inc.(a)

          11,300             203,287    

Aegerion Pharmaceuticals, Inc.(a)

          18,764             365,523    

Akebia Therapeutics, Inc.(a)

          13,421             105,489    

Alder Biopharmaceuticals, Inc.(a)

          24,289             1,032,768    

Anacor Pharmaceuticals, Inc.(a)

          28,307             2,016,024    

Applied Genetic Technologies Corp.(a)

          10,831             217,162    

Arena Pharmaceuticals, Inc.(a)

          161,222             632,796    

Bluebird Bio, Inc.(a)

          21,487             4,173,850    

Cara Therapeutics, Inc.(a)

          15,031             143,095    

Celldex Therapeutics, Inc.(a)

          63,905             1,844,937    

Chimerix, Inc.(a)

          26,130             1,093,540    

Clovis Oncology, Inc.(a)

          22,433             2,073,706    

Dyax Corp.(a)

          90,016             2,371,021    

Dynavax Technologies Corp.(a)

          17,348             395,014    

Emergent Biosolutions, Inc.(a)

          25,021             797,169    

Enanta Pharmaceuticals, Inc.(a)

          12,327             503,928    

Halozyme Therapeutics, Inc.(a)

          82,739             1,435,522    

ImmunoGen, Inc.(a)

          56,819             510,235     

Insmed, Inc.(a)

          32,772             719,018    

Karyopharm Therapeutics, Inc.(a)

          23,519             633,131    

Keryx Biopharmaceuticals, Inc.(a)

          66,717             693,857    

KYTHERA Biopharmaceuticals, Inc.(a)

          14,960             753,535    

Ligand Pharmaceuticals, Inc.(a)

          12,919             1,138,293    

MacroGenics, Inc.(a)

          19,611             634,416    

MannKind Corp.(a)

          267,711             1,386,743    

Merrimack Pharmaceuticals, Inc.(a)

          69,870             824,466    

Neurocrine Biosciences, Inc.(a)

          55,041             2,414,098    

OncoMed Pharmaceuticals, Inc.(a)

          19,683             490,500    

Ophthotech Corp.(a)

          22,203             1,110,594    

Osiris Therapeutics, Inc.(a)

          22,646             421,216    

PDL BioPharma, Inc.

          107,396             717,405    

Portola Pharmaceuticals, Inc.(a)

          32,091             1,342,046    

Progenics Pharmaceuticals, Inc.(a)

          45,899             258,411    

PTC Therapeutics, Inc.(a)

          22,175             1,288,146    

Receptos, Inc.(a)

          20,429             3,368,538    

Rigel Pharmaceuticals, Inc.(a)

          57,932             202,183    

Sage Therapeutics, Inc.(a)

          17,019             1,274,212    

Seattle Genetics, Inc.(a)

          81,752             3,522,694    

Synageva BioPharma Corp.(a)

          24,388             5,204,643    

TESARO, Inc.(a)

          25,685             1,509,251    

Threshold Pharmaceuticals, Inc.(a)

          46,677             181,573    

Ultragenyx Pharmaceutical, Inc.(a)

          22,994             2,000,478    

Verastem, Inc.(a)

          21,871             189,184    

Versartis, Inc.(a)

          18,833             292,665    

Zafgen, Inc.(a)

          17,245             561,497    
               

 

 

 

Total Biotechnology

                              58,066,904    
               

 

 

 

 

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Table of Contents
ALPS Medical Breakthroughs ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description             Shares             Value          

 

 

Pharmaceuticals (23.82%)

               

AcelRx Pharmaceuticals, Inc.(a)

          29,038            $ 101,633     

Aerie Pharmaceuticals, Inc.(a)

          15,828              176,166     

Akorn, Inc.(a)

          71,156              3,266,060     

Alimera Sciences, Inc.(a)

          29,229              123,639     

BioDelivery Sciences International, Inc.(a)

          33,843              288,342     

Depomed, Inc.(a)

          39,300              819,798     

Endocyte, Inc.(a)

          27,523              167,064     

Horizon Pharma Plc(a)

          100,008              3,243,259     

Impax Laboratories, Inc.(a)

          47,070              2,212,761     

The Medicines Co.(a)

          43,205              1,225,294     

Pacira Pharmaceuticals, Inc.(a)

          23,910              1,870,001     

POZEN, Inc.(a)

          21,167              136,527     

Repros Therapeutics, Inc.(a)

          16,019              115,497     

Revance Therapeutics, Inc.(a)

          15,653              400,717     

SciClone Pharmaceuticals, Inc.(a)

          33,503              310,238     

Sucampo Pharmaceuticals, Inc., Class A(a)

          29,264              474,955     

Supernus Pharmaceuticals, Inc.(a)

          28,327              402,810     

Theravance Biopharma, Inc.(a)

          21,265              296,647     

Theravance, Inc.

          76,678              1,295,858     

VIVUS, Inc.(a)

          68,549              173,429     

XenoPort, Inc.(a)

          41,068              244,765     

ZS Pharma, Inc.(a)

          13,736              803,556     
               

 

 

 

Total Pharmaceuticals

                  18,149,016     
               

 

 

 

TOTAL COMMON STOCKS

               

(Cost $66,411,005)

                  76,215,920     
               

 

 

 

RIGHTS (0.00%)(b)

               

Biotechnology (0.00%)(b)

               

Prosensa Holding NV - CVR(a)

          3,423              3,081     
               

 

 

 

Total Biotechnology

                  3,081     
               

 

 

 

TOTAL RIGHTS

               

(Cost $3,697)

                  3,081     
               

 

 

 
     7 Day Yield        Shares             Value          

 

 

SHORT TERM INVESTMENTS (0.01%)

               

Dreyfus Treasury Prime Cash Management, Institutional Class

     0.000% (c)           5,818              5,818     
               

 

 

 

Total Money Market Fund

                  5,818     
               

 

 

 

TOTAL SHORT TERM INVESTMENTS

               

(Cost $5,818)

                  5,818     
               

 

 

 

TOTAL INVESTMENTS (100.03%)

               

(Cost $66,420,520)

                $ 76,224,819     

NET LIABILITIES LESS OTHER ASSETS (-0.03%)

                  (27,704)     
               

 

 

 

NET ASSETS (100.00%)

                $         76,197,115     
               

 

 

 

 

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ALPS Medical Breakthroughs ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

(a)

Non-income producing security.

(b)

Less than 0.005% of Net Assets.

(c)

Less than 0.0005%.

Common Abbreviations:

CVR - Contingent Value Rights.

NV - Naamloze Vennootschap is the Dutch term for a public limited liability corporation.

Plc - Public Limited Company.

See Notes to Financial Statements.

 

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ALPS Medical Breakthroughs ETF     

 

Statement of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

ASSETS:

  

Investments, at value

   $       76,224,819       

 

 

Total Assets

     76,224,819       

 

 

LIABILITIES:

  

Payable to adviser

     27,704       

 

 

Total Liabilities

     27,704       

 

 

NET ASSETS

   $ 76,197,115       

 

 

NET ASSETS CONSIST OF:

  

Paid-in capital

   $ 66,092,596       

Accumulated net investment loss

     (60,335)       

Accumulated net realized gain on investments

     360,555       

Net unrealized appreciation on investments

     9,804,299       

 

 

NET ASSETS

   $ 76,197,115       

 

 

INVESTMENTS, AT COST

   $ 66,420,520       

PRICING OF SHARES

  

Net Assets

   $ 76,197,115       

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     2,250,002       

Net Asset Value, offering and redemption price per share

   $ 33.87       

 

See Notes to Financial Statements.

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ALPS Medical Breakthroughs ETF

 

Statement of Operations

  

 

For the Period December 31, 2014 (Commencement of Operations)

   to May 31, 2015 (Unaudited)

 

INVESTMENT INCOME:

  

Dividends

   $ 17,337       

 

 

Total Investment Income

     17,337       

 

 

EXPENSES:

  

Investment adviser fees

     77,672       

 

 

Total Expense

     77,672       

 

 

NET INVESTMENT LOSS

     (60,335)       

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

  

Net realized gain on investments

     360,555       

Net change in unrealized appreciation on investments

     9,804,299       

 

 

NET REALIZED AND UNREALIZED GAIN ON INVESTMENTS

     10,164,854       

 

 

NET INCREASE IN NET ASSETS RESULTING FROM OPERATIONS

   $       10,104,519       

 

 

 

See Notes to Financial Statements.

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ALPS Medical Breakthroughs ETF     

 

Statement of Changes in Net Assets

  

 

        For the Period   
   December 31, 2014   
   (Commencement of   
   Operations)   
   to May  31, 2015   
   (Unaudited)   
 

 

 

OPERATIONS:

  

Net investment loss

   $ (60,335)        

Net realized gain on investments

     360,555        

Net change in unrealized appreciation on investments

     9,804,299        

 

 

Net increase in net assets resulting from operations

     10,104,519        

 

 

CAPITAL SHARE TRANSACTIONS:

  

Proceeds from sale of shares

     67,592,146        

Cost of shares redeemed

     (1,499,550)        

 

 

Net increase from capital share transactions

     66,092,596        

 

 

Net increase in net assets

     76,197,115        

NET ASSETS:

  

Beginning of period

     –         

 

 

End of period *

   $                 76,197,115        

 

 

*Including accumulated net investment loss of:

   $ (60,335)        

OTHER INFORMATION:

  

CAPITAL SHARE TRANSACTIONS:

  

Beginning shares

     –         

Shares sold

     2,300,002        

Shares redeemed

     (50,000)        

 

 

Shares outstanding, end of period

     2,250,002        

 

 

 

See Notes to Financial Statements.

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ALPS Medical Breakthroughs ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Period Presented

 

         For the Period    
    December 31, 2014    
    (Commencement of    
    Operations)    
    to May 31, 2015    
    (Unaudited)    
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $ 24.64         

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

  

Net investment loss (a)

     (0.05)         

Net realized and unrealized gain

     9.28         

 

 

Total from investment operations

     9.23         

 

 

Net increase in net asset value

     9.23         

 

 

NET ASSET VALUE, END OF PERIOD

   $ 33.87         

 

 

TOTAL RETURN(b)

     37.46%      

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000s)

   $                     76,197         

Ratio of expenses to average net assets

     0.50%(c)      

Ratio of net investment loss to average net assets

     (0.39)%(c)      

Portfolio turnover rate(d)

     11%         

 

(a)

Based on average shares outstanding during the period.

(b)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d)

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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ALPS Medical Breakthroughs ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consisted of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains solely to the ALPS Medical Breakthroughs ETF (the “Fund”). The investment objective of the Fund is to seek investment results that correspond generally, before fees and expenses, to the Poliwogg Medical Breakthroughs IndexSM (the “Underlying Index”). The Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund. The Fund commenced operations on December 31, 2014.

The Fund’s Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. The Fund issues and redeems Shares at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Fund in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. The Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

The Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market.

The Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

 

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ALPS Medical Breakthroughs ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

B. Fair Value Measurements

The Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability; including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

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

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of the Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Fund’s investments as of May 31, 2015:

 

Investments in Securities at Value     Level 1 - Unadjusted
Quoted Prices
      Level 2 - Other
  Significant Observable
  Inputs
      Level 3 - Significant
  Unobservable Inputs
    Total  

 

 

Common Stocks*

  $ 76,215,920      $ –        $      $ 76,215,920     

Rights

           3,081                 3,081     

Short Term Investments

    5,818        –                 5,818     

 

 

TOTAL

  $ 76,221,738      $ 3,081        $      $             76,224,819     

 

 

* For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Fund recognizes transfers between levels as of the end of the period. For the period ending May 31, 2015, the Fund did not have any transfers between Level 1 and Level 2 securities. The Fund did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Other Risks

Equity Risk: A principal risk of investing in the Fund is equity risk, which is the risk that the value of the securities held by the Fund will fall due to general market and economic conditions, perceptions regarding the industries in which the issuers of securities held by the Fund participate or factors relating to specific companies in which the Fund invests. For example, an adverse event, such as an unfavorable earnings report, may depress the value of equity securities of an issuer held by the Fund; the price of common stock of an issuer may be particularly sensitive to general movements in the stock market; or a drop in the stock market may depress the price of most or all of the common stocks and other equity securities held by the Fund. In addition, common stock of an issuer in the Fund’s portfolio may decline in price if the issuer fails to make anticipated dividend payments because, among other reasons, the issuer of the security experiences a decline in its financial condition.

 

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ALPS Medical Breakthroughs ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Small- and Mid- Capitalization Company Risk: Investments in securities of small and mid-capitalization companies are subject to the risks of common stocks. Investments in smaller companies may involve greater risks because these companies generally have a limited track record. Smaller companies often have narrower markets, more limited managerial and financial resources and a less diversified product offering than larger, more established companies. As a result, their performance can be more volatile, which may increase the volatility of the Fund’s portfolio.

Concentration Risk: The Fund seeks to track the Underlying Index, which itself currently is concentrated in the pharmaceuticals and biotechnology industries and may have concentration in certain other industries or sectors, as well as regions, economies or markets. Underperformance or increased risk in such other concentrated areas may result in underperformance or increased risk in the Fund.

Non-Correlation Risk: The Fund’s return may not match the return of the Underlying Index for a number of reasons. For example, the Fund incurs a number of operating expenses not applicable to the Underlying Index, and incurs costs in buying and selling securities, especially when rebalancing the Fund’s securities holdings to reflect changes in the composition of the Underlying Index. In addition, the performance of the Fund and the Underlying Index may vary due to asset valuation differences and differences between the Fund’s portfolio and the Underlying Index resulting from legal restrictions. Due to legal and regulatory rules and limitations, the Fund may not be able to invest in all securities included in the Underlying Index. For tax efficiency purposes, the Fund may sell certain securities to realize losses, causing it to deviate from the Underlying Index. The Fund may not be fully invested at times, either as a result of cash flows into the Fund or reserves of cash held by the Fund to meet redemptions and expenses. If the Fund utilizes a sampling approach or otherwise does not hold all of the securities in the Underlying Index, its return may not correlate as well with the return on the Underlying Index, as would be the case if it purchased all of the securities in the Underlying Index with the same weightings as the Underlying Index.

D. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

E. Dividends and Distributions to Shareholders

Dividends from net investment income of the Fund, if any, are declared and paid annually or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Fund, if any, are distributed at least annually.

F. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

As of May 31, 2015, the cost of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

     ALPS Medical 
Breakthroughs ETF 
 

 

 

Gross appreciation (excess of value over tax cost)

   $ 11,871,178         

Gross depreciation (excess of tax cost over value)

     (2,457,004)         

 

 

Net unrealized appreciation (depreciation)

   $ 9,414,174         

 

 

Cost of investments for income tax purposes

   $ 66,810,645         

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales.

G. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as the Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. The Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

 

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ALPS Medical Breakthroughs ETF     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

As of and during the period ended May 31, 2015, the Fund did not have a liability for any unrecognized tax benefits. The Fund files U.S. federal, state, and local tax returns as required. The Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Being that the Fund commenced operations on December 30, 2014, no tax returns have been filed as of the date of this report.

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Fund’s investment adviser pursuant to an Advisory Agreement with the Trust on behalf of the Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, the Fund pays the Adviser a unitary fee for the services and facilities it provides, payable on a monthly basis at the annual rate of 0.50% of the Fund’s average daily net assets. From time to time, the Adviser may waive all or a portion of its fee.

Out of the unitary management fee, the Adviser pays substantially all expenses of the Fund, including the licensing fees to the Index provider, the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses not incurred in the ordinary course of the Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all the Fund’s expenses and to compensate the Adviser for providing services for the Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Fund.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the period ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding in-kind transactions and short-term investments, were as follows:

 

Fund    Purchases         Sales              

 

 

ALPS Medical Breakthroughs ETF

   $     4,124,108         $   5,079,684           

For the period ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases         Sales              

 

 

ALPS Medical Breakthroughs ETF

   $   67,554,744         $      545,020           

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by the Fund only in Creation Unit size aggregations of 50,000 shares. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of the Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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ALPS Medical Breakthroughs ETF     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

LICENSING AGREEMENT

 

The Poliwogg Medical Breakthroughs IndexSM is a service mark of S-Network Global Indexes, Inc. and has been licensed for use by ALPS Advisors, Inc. The ALPS Medical Breakthroughs ETF is not sponsored, endorsed, sold or promoted by S-Network Global Indexes, Inc. and S-Network Global Indexes, Inc. makes no representation regarding the advisability of investing in the ALPS Medical Breakthroughs ETF.

The ALPS Medical Breakthroughs ETF is not sponsored, endorsed, sold or promoted by Standard & Poor’s, a division of The McGraw-Hill Companies, Inc. (“S&P”) or its third party licensors. Neither S&P nor its third party licensors make any representation or warranty, express or implied, to the owners of the ALPS Medical Breakthroughs ETF or any member of the public regarding the advisability of investing in securities generally or in the ALPS Medical Breakthroughs ETF particularly or the ability of the Poliwogg Medical Breakthroughs IndexSM to track general stock market performance. S&P’s and its third party licensor’s only relationship to S-Network Global Indexes, LLC is the licensing of certain trademarks, service marks and trade names of S&P and/or its third party licensors and for the providing of calculation and maintenance services related to the Poliwogg Medical Breakthroughs IndexSM. Neither S&P nor its third party licensors is responsible for and has not participated in the determination of the prices and amount of the ALPS Medical Breakthroughs ETF or the timing of the issuance or sale of the ALPS Medical Breakthroughs ETF or in the determination or calculation of the equation by which the ALPS Medical Breakthroughs ETF is to be converted into cash. S&P has no obligation or liability in connection with the administration, marketing or trading of the ALPS Medical Breakthroughs ETF.

NEITHER S&P, ITS AFFILIATES NOR THEIR THIRD PARTY LICENSORS GUARANTEE THE ADEQUACY, ACCURACY, TIMELINESS OR COMPLETENESS OF THE POLIWOGG MEDICAL BREAKTHROUGHS INDEXSM OR ANY DATA INCLUDED THEREIN OR ANY COMMUNICATIONS, INCLUDING BUT NOT LIMITED TO, ORAL OR WRITTEN COMMUNICATIONS (INCLUDING ELECTRONIC COMMUNICATIONS) WITH RESPECT THERETO. S&P, ITS AFFILIATES AND THEIR THIRD PARTY LICENSORS SHALL NOT BE SUBJECT TO ANY DAMAGES OR LIABILITY FOR ANY ERRORS, OMISSIONS OR DELAYS THEREIN. S&P MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO ITS TRADEMARKS, THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT WHATSOEVER SHALL S&P, ITS AFFILIATES OR THEIR THIRD PARTY LICENSORS BE LIABLE FOR ANY INDIRECT, SPECIAL, INCIDENTAL, PUNITIVE OR CONSEQUENTIAL DAMAGES, INCLUDING BUT NOT LIMITED TO, LOSS OF PROFITS, TRADING LOSSES, LOST TIME OR GOODWILL, EVEN IF THEY HAVE BEEN ADVISED OF THE POSSIBILITY OF SUCH DAMAGES, WHETHER IN CONTRACT, TORT, STRICT LIABILITY OR OTHERWISE.

Standard & Poor’s®, and S&P® are registered trademarks of The McGraw-Hill Companies, Inc.; “Calculated by S&P Custom Indices” and its related stylized mark are service marks of The McGraw-Hill Companies, Inc. These marks have been licensed for use by S-Network Global Indexes, LLC.

 

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ALPS Medical Breakthroughs ETF     

 

Board Considerations Regarding Approval of Investment Advisory Agreement

   May 31, 2015 (Unaudited)

 

At an in-person meeting held on December 16, 2014 (the “Meeting”), the Board of Trustees of the Trust (the “Board”), including the Trustees who are not “interested persons” of the Trust within the meaning of the 1940 Act, as amended (the “1940 Act”) (the “Independent Trustees”), evaluated a proposal to approve the Advisory Agreement (the “SBIO ETF Advisory Agreement”) between the Trust and ALPS Advisors, Inc. (the “Adviser”) with respect to the ALPS Medical Breakthroughs ETF (the “SBIO ETF”). The Independent Trustees also met separately to consider the SBIO ETF Advisory Agreement.

In evaluating the SBIO ETF Advisory Agreement, the Independent Trustees considered various factors, including (i) the nature, extent and quality of the services expected to be provided by the Adviser with respect to the SBIO ETF under the SBIO ETF Advisory Agreement, (ii) the advisory fees and other expenses proposed to be paid by the SBIO ETF compared to those of similar funds managed by other investment advisers (ii) the expected profitability to the Investment Adviser of its proposed advisory relationships with the SBIO ETF and reasonableness of compensation to the Adviser; (iii) the extent to which economies of scale would be realized if and as the SBIO ETF assets increase and whether the fee level in the SBIO ETF Advisory Agreement reflects these economies of scale; and (iv) any additional benefits and other considerations.

With respect to the nature, extent and quality of the services to be provided by the Adviser under the SBIO ETF Advisory Agreement, the Independent Trustees considered and reviewed information concerning the services proposed to be provided under the SBIO ETF Advisory Agreement, the proposed investment parameters of the index for the SBIO ETF, financial information regarding the Adviser, its parent company, information describing the Adviser’s current organizations and the background and experience of the persons who would be responsible for the day-to-day management of the SBIO ETF, the anticipated financial support of the SBIO ETF, and the nature and quality of services provided to other ETFs, open-end and closed-end funds by the Adviser. Based upon their review, the Independent Trustees concluded that the Adviser was qualified to oversee the services to be provided by other service providers and that the services to be provided by the Adviser to the SBIO ETF are expected to be satisfactory.

With respect to the costs of services to be provided and profits to be realized by the Adviser, the Board considered the resources involved in managing the SBIO ETF as well as the fact that the Adviser agreed to pay all of the SBIO ETF’s expenses (except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the Fund’s business) out of the unitary advisory fee. Based on its review, the Trustees concluded that the expected profitability of the SBIO ETF to the Adviser was not unreasonable.

The Independent Trustees also reviewed comparative fee and expense data provided by Strategic Insight regarding the SBIO ETF. The Independent Trustees noted the services to be provided by the Adviser for the annual advisory fee of 0.50% of the average daily net assets for the SBIO ETF. The Independent Trustees also considered that the advisory fee was a unitary one and that, as set forth above, the Adviser had agreed to pay all of the SBIO ETF’s expenses (except for interest expenses, marketing fees, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the SBIO ETF’s business) out of the unitary fee. The Independent Trustees considered that, taking into account the impact of the SBIO ETF’s unitary advisory fee, the SBIO ETF’s expense ratio was expected to be slightly higher but close to the median of the Strategic peer group. In evaluating the reasonableness of the fee, the Independent Trustees considered, among other things, the uniqueness of the SBIO ETF’s index and the fees charged by the index provider for licensing its index. Based on the foregoing and the other information available to them, the Independent Trustees concluded that the advisory fees for the SBIO ETF were reasonable under the circumstances and in light of the quality of services provided.

The Independent Trustees also considered other benefits that may be realized by the Adviser from its relationships with the SBIO ETF such as the Adviser will benefit in that it will receive investment advisory fees from the SBIO ETF based on the SBIO ETF’s average daily net assets and the SBIO ETF will benefit in that it will receive professional portfolio management services from the Adviser. The Independent Trustees concluded that the advisory fee was reasonable taking in account such benefits.

The Independent Trustees considered the extent to which economies of scale would be realized as the SBIO ETF grows and whether fee levels reflect a reasonable sharing of such economies of scale for the benefit of SBIO ETF’s investors. Because the SBIO ETF is newly organized, the Independent Trustees reviewed the SBIO ETF proposed unitary advisory fee and anticipated expenses and determined to review economies of scale in the future when the SBIO ETF had attracted assets.

In voting to approve the SBIO ETF Advisory Agreement, the Independent Trustees, concluded that the terms of the SBIO ETF Advisory Agreement are reasonable and fair in light of the services to be performed, the fees paid by certain other funds, expenses to be incurred and such other matters as the Independent Trustees considered relevant in the exercise of their reasonable business judgment. The Independent Trustees did not identify any single factor or group of factors as all important or controlling and considered all factors together.

 

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 SEMI-ANNUAL REPORT | May 31, 2015

 

 

 

This report has been prepared for shareholders of the ETF described herein and

may be distributed to others only if preceded or accompanied by a prospectus.

 

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETF.

 

 


Table of Contents

LOGO             

May 31, 2015          

 

LOGO

ALPS Sector Dividend Dogs ETF (NYSE ARCA: SDOG)

ALPS International Sector Dividend Dogs ETF (NYSE ARCA: IDOG)

ALPS Emerging Sector Dividend Dogs ETF (NYSE ARCA: EDOG)

An ALPS Advisors Solution

 

LOGO             


Table of Contents

table of

CONTENTS

 

 

Performance Overview 

        1

Disclosure of Fund Expenses 

        7

Financial Statements 

   

Schedule of Investments 

   

Sector Dividend Dogs ETF 

        8

International Sector Dividend Dogs ETF 

      10

Emerging Sector Dividend Dogs 

      12

Statements of Assets and Liabilities 

      14

Statements of Operations 

      15

Statements of Changes in Net Assets 

   

Sector Dividend Dogs ETF 

      16

International Sector Dividend Dogs ETF 

      17

Emerging Sector Dividend Dogs 

      18

Financial Highlights 

      19

Notes to Financial Statements 

      22

Additional Information 

      27

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Table of Contents
ALPS Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The ALPS Sector Dividend Dogs ETF (the “Fund”) seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network® Sector Dividend Dogs Index (the “Index”). The Shares of the Fund are listed and trade on the New York Stock Exchange (“NYSE”) Arca under the ticker symbol SDOG. The Fund generally will invest in all of the securities that comprise the Index in proportion to their weightings in the Index.

The Index is a rules based index intended to give investors a means of tracking the overall performance of the highest dividend paying stocks (i.e. “Dividend Dogs”) in the S&P 500® (“SPX”) on a sector-by-sector basis. “Dividend Dogs” refers to the five stocks in each of the ten Global Industry Classification Standard (“GICS”) sectors that make up the S&P 500® which offer the highest dividend yields.

Performance (as May 31, 2015)

 

     6 Months   1 Year   Since Inception^

ALPS Sector Dividend Dogs ETF – NAV

  0.43%     7.68%   19.89%

ALPS Sector Dividend Dogs ETF – Market Price*

  0.40%     7.68%   19.90%

S-Network® Sector Dividend Dogs TR Index

  0.61%     8.15%   20.46%

S&P 500® Total Return Index

  2.97%   11.81%   18.61%

Total Expense Ratio (per the current prospectus) 0.40%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of  days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund Commencement Date was June 29, 2012.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The S-Network® Sector Dividend Dogs Index is designed to serve as a fair, impartial and transparent measure of the performance of US large cap equities with above average dividend yields. The Index is a portfolio of fifty stocks derived from the S&P 500® Index. Total Return (TR) is obtained  by reinvesting in the index the ordinary gross dividends declared by the index constituents.

The S&P 500® Total Return Index is an index of 500 stocks chosen for market size, liquidity and industry grouping among other factors.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The ALPS Sector Dividend Dogs ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount  invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

1  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Transocean, Ltd.

    2.70 %     

Kraft Foods Group, Inc.

    2.67 %     

Noble Corp. Plc

    2.41 %     

LyondellBasell Industries NV, Class A

    2.35 %     

Ensco Plc, Class A

    2.24 %     

Diamond Offshore Drilling, Inc.

    2.21 %     

Eli Lilly & Co.

    2.20 %     

The Dow Chemical Co.

    2.16 %     

Reynolds American, Inc.

    2.14 %     

PPL Corp.

    2.13 %     

Total % of Top 10 Holdings

      23.21 %     

 

*

% of Total Investments.

Future holdings are subject to change.

Sector Allocation* (as of May 31, 2015)

 

Energy

    11.57 %     

Consumer Staples

    10.94 %     

Materials

    10.43 %     

Health Care

    10.19 %     

Utilities

    9.99 %     

Financials

    9.97 %     

Industrials

    9.78 %     

Consumer Discretionary

    9.78 %     

Information Technology

    9.68 %     

Telecommunication Services

    7.28 %     

Money Market Funds

    0.39 %     

Total

      100.00 %     
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
ALPS International Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The ALPS International Sector Dividend Dogs ETF (the “Fund”) seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network® International Sector Dividend Dogs Index (the “Index”). The Shares of the Fund are listed and trade on the New York Stock Exchange (“NYSE”) Arca under the ticker symbol IDOG. The Fund generally will invest in all of the securities that comprise the index in proportion to their weightings in the index.

The Index is a rules-based index intended to give investors a means of tracking the overall performance of the highest dividend paying stocks (i.e. “Dividend Dogs”) in the S-Net International Developed Markets (ex-Americas) Index, a universe of mainly large capitalization stocks in international developed markets not located in the Americas (the “S-Net Developed Markets”) on a sector-by-sector basis. “Dividend Dogs” refers to the five stocks in each of the ten Global Industry Classification Standard (“GICS”) sectors that make up the S-Net Developed Markets which offer the highest dividend yields.

Performance (as of May 31, 2015)

 

     6 Months   1 Year   Since Inception^

ALPS International Sector Dividend Dogs ETF – NAV

  1.67%   -9.05%   8.33%

ALPS International Sector Dividend Dogs ETF – Market Price*

  1.70%   -9.47%   8.41%

S-Network® International Sector Dividend Dogs TR Index

  2.44%   -7.97%   9.78%

S-Network® International Sector Dividend Dogs NTR Index

  2.03%   -8.57%   8.80%

MSCI EAFE Index

  4.84%   -0.48%   10.84%

Total Expense Ratio (per the current prospectus) 0.50%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of  days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund Commencement Date was June 28, 2013.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The S-Network® International Sector Dividend Dogs Index is designed to serve as a fair, impartial and transparent measure of the performance of  international large cap equities with above average dividend yields. The Index is a portfolio of fifty stocks derived from the S-Net International Developed Markets Index (ex-Americas) Index. Total Return (TR) is obtained by reinvesting in the index the ordinary gross dividends declared by the index constituents. Net Total Return (NTR) is obtained by reinvesting the net dividend, which is equal to the ordinary gross dividend minus the amount of withholding tax.

MSCI EAFE Index is a stock market index that is designed to measure the equity market performance of developed markets outside of the U.S. & Canada.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The ALPS International Sector Dividend Dogs ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

3  |  May 31, 2015


Table of Contents
ALPS International Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Marks & Spencer Group Plc

    2.35 %     

Fortescue Metals Group, Ltd.

    2.33 %     

Centrica Plc

    2.32 %     

SSE Plc

    2.27 %     

National Grid Plc

    2.18 %     

Amadeus IT Holding SA, Class A

    2.17 %     

Imperial Tobacco Group Plc

    2.16 %     

BP Plc

    2.14 %     

Sandvik AB

    2.14 %     

AGL Energy, Ltd.

    2.14 %     

Total % of Top 10 Holdings

      22.20 %     

 

*

% of Total Investments.

Future holdings are subject to change.

Sector Allocation* (as of May 31, 2015)

 

Utilities

    10.93 %     

Energy

    10.53 %     

Materials

    10.30 %     

Industrials

    10.03 %     

Information Technology

    9.94 %     

Consumer Staples

    9.91 %     

Telecommunication Services

    9.68 %     

Consumer Discretionary

    9.59 %     

Health Care

    9.53 %     

Financials

    9.20 %     

Money Market Fund

    0.36 %     

Total

      100.00 %     
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

4  |  May 31, 2015


Table of Contents
ALPS Emerging Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The ALPS Emerging Sector Dividend Dogs ETF (the “Fund”) seeks investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network® Emerging Sector Dividend Dogs Index (the “Index”). The Shares of the Fund are listed and trade on the New York Stock Exchange (“NYSE”) Arca under the ticker symbol EDOG. The Fund generally will invest in all of the securities that comprise the Index in proportion to their weightings in the Index.

The Index is a rules-based index intended to give investors a means of tracking the overall performance of the highest dividend paying stocks (i.e. “Dividend Dogs”) in the S-Network® Emerging Markets Index, a universe of mainly large capitalization stocks domiciled in emerging markets (the “S-Network Emerging Markets”) on a sector-by-sector basis. “Dividend Dogs” refers to the five stocks in each of the ten Global Industry Classification Standard (“GICS”) sectors that make up the S-Network® Emerging Markets which offer the highest dividend yields. Emerging market countries are countries that major international financial institutions, such as the World Bank, generally consider to be less economically mature than developed nations.

Performance (as of May 31, 2015)

 

     6 Months   1 Year   Since Inception^

ALPS Emerging Sector Dividend Dogs ETF – NAV

  -7.37%   -5.99%   0.76%

ALPS Emerging Sector Dividend Dogs ETF – Market Price*

  -7.71%   -6.91%   0.51%

S-Network® Emerging Sector Dividend Dogs TR Index

  -6.71%   -4.60%   2.21%

S-Network® Emerging Sector Dividend Dogs NTR Index

  -6.91%   -5.02%   1.60%

MSCI Emerging Markets Index

  0.82%   -0.01%   4.99%

Total Expense Ratio (per the current prospectus) 0.60%.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.866.675.2639.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of  days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund Commencement Date was March 28, 2014.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The S-Network® Emerging Sector Dividend Dogs Index is a portfolio of stocks derived from a universe of mainly large capitalization stocks domiciled in emerging markets (the “S-Network Emerging Markets Index” “SNEMX”). The index methodology selects the five stocks in each of the ten GICS sectors that make up the universe which offer the highest dividend yields as of the last trading day of November. The fifty stocks that are selected for inclusion in the portfolio are equally weighted. The universe includes stocks whose domicile and primary exchange listings are in countries identified by the World Bank as Upper Middle Income (certain lower middle income countries are also included, as well as stocks traded  on the Taiwan Stock Exchange despite non-recognition by the World Bank). The selection criteria for the universe, in addition to the aforementioned  country qualifications, also include requirements for sector inclusion, primary exchange listing, minimum market capitalization, share price, average daily trading volume and other factors. Total Return (TR) is obtained by reinvesting in the index the ordinary gross dividends declared by the index constituents. Net Total Return (NTR) is obtained by reinvesting the net dividend, which is equal to the ordinary gross dividend  minus the amount of withholding tax.

The MSCI Emerging Markets Index is a free float-adjusted market capitalization index that is designed to measure equity market performance in the global emerging markets.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The ALPS Emerging Sector Dividend Dogs ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the ETF.

 

5  |  May 31, 2015


Table of Contents
ALPS Emerging Sector Dividend Dogs ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Evergrande Real Estate Group, Ltd.

    2.81 %     

Shanghai Pharmaceuticals Holding Co. Ltd., Class H

    2.69 %     

Agile Property Holdings, Ltd.

    2.58 %     

Sistema JSFC, GDR

    2.34 %     

Richter Gedeon Nyrt

    2.32 %     

PPC, Ltd.

    2.30 %     

Natura Cosmeticos SA

    2.29 %     

Tofas Turk Otomobil Fabrikasi AS

    2.23 %     

Rosneft OAO, GDR

    2.21 %     

Bumrungrad Hospital Pcl

    2.20 %     

Total % of Top 10 Holdings

      23.97 %     

 

*

% of Total Investments.

Future holdings are subject to change.

 

Sector Allocation* (as of May 31, 2015)

 

Financials

    10.99 %     

Health Care

    10.59 %     

Materials

    10.52 %     

Utilities

    10.16 %     

Telecommunication Services

    9.90 %     

Consumer Staples

    9.74 %     

Industrials

    9.55 %     

Consumer Discretionary

    9.47 %     

Energy

    9.47 %     

Information Technology

    9.43 %     

Money Market Fund

    0.18 %     

Total

      100.00 %     
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Indexes

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

6  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs Series     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

    

   Beginning Account   
Value

12/1/14

  

Ending Account
Value

5/31/15

         Expense      
Ratio(a)
   Expenses Paid  
During Period  
12/1/14 - 5/31/15(b)  

ALPS Sector Dividend Dogs ETF

                  

    Actual

    $   1,000.00        $   1,004.30          0.40 %        $         2.00    

    Hypothetical (5% return before expenses)

    $ 1,000.00        $ 1,022.94          0.40 %        $ 2.02    

ALPS International Sector Dividend Dogs ETF

                  

    Actual

    $ 1,000.00        $ 1,016.70          0.50 %        $ 2.51    

    Hypothetical (5% return before expenses)

    $ 1,000.00        $ 1,022.44          0.50 %        $ 2.52    

ALPS Emerging Sector Dividend Dogs ETF

                  

    Actual

    $ 1,000.00        $ 926.30           0.60 %        $ 2.88    

    Hypothetical (5% return before expenses)

    $ 1,000.00        $ 1,021.94          0.60 %        $ 3.02    

 

(a) 

Annualized based on the Fund’s most recent half-year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

7  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description   Shares     Value          

 

 

COMMON STOCKS (99.22%)

  

Consumer Discretionary (9.74%)

 

Coach, Inc.

    590,444      $ 20,884,004     

Darden Restaurants, Inc.

    385,920        25,293,197     

GameStop Corp., Class A

    598,318        25,972,985     

Mattel, Inc.

    972,447        25,098,857     

Staples, Inc.

    1,520,996        25,043,199     
   

 

 

 

Total Consumer Discretionary

  

         122,292,242     
   

 

 

 

Consumer Staples (10.90%)

 

Altria Group, Inc.

    473,838        24,260,505     

Kraft Foods Group, Inc.

    394,911        33,350,234     

Lorillard, Inc.

    363,741        26,363,948     

Philip Morris International, Inc.

    313,606        26,051,250     

Reynolds American, Inc.

    348,501        26,747,452     
   

 

 

 

Total Consumer Staples

  

    136,773,389     
   

 

 

 

Energy (11.52%)

 

ConocoPhillips

    394,973        25,151,881     

Diamond Offshore Drilling, Inc.

    911,702        27,661,039     

Ensco Plc, Class A

    1,190,134        27,968,149     

Noble Corp. Plc

    1,795,816        30,079,918     

Transocean, Ltd.

    1,790,544        33,751,754     
   

 

 

 

Total Energy

      144,612,741     
   

 

 

 

Financials (9.93%)

 

BB&T Corp.

    625,771        24,699,181     

Cincinnati Financial Corp.

    458,467        23,189,261     

JPMorgan Chase & Co.

    399,131        26,254,837     

People’s United Financial, Inc.

    1,615,279        25,133,741     

Prudential Financial, Inc.

    300,098        25,391,292     
   

 

 

 

Total Financials

      124,668,312     
   

 

 

 

Health Care (10.15%)

 

Baxter International, Inc.

    361,422        24,074,319     

Eli Lilly & Co.

    348,405        27,489,155     

Johnson & Johnson

    245,366        24,570,951     

Merck & Co., Inc.

    433,220        26,378,766     

Pfizer, Inc.

    716,176        24,887,116     
   

 

 

 

Total Health Care

      127,400,307     
   

 

 

 

Industrials (9.74%)

 

Eaton Corp. Plc

    365,342        26,154,834     

General Electric Co.

    972,447        26,518,630     

Lockheed Martin Corp.

    123,483        23,239,500     

Pitney Bowes, Inc.

    1,085,193        23,711,467     

Waste Management, Inc.

    456,639        22,672,126     
   

 

 

 

Total Industrials

      122,296,557     
   

 

 

 

Information Technology (9.64%)

 

CA, Inc.

    775,691        23,619,791     

KLA-Tencor Corp.

    401,099        23,929,566     

Microchip Technology, Inc.

    491,756        24,159,972     
Security Description   Shares     Value          

 

 

Information Technology (continued)

  

Paychex, Inc.

    487,797      $ 24,102,050     

Seagate Technology Plc

    452,876        25,198,021     
   

 

 

 

Total Information Technology

  

            121,009,400     
   

 

 

 

Materials (10.39%)

 

Freeport-McMoRan, Inc.

    1,342,398        26,378,121     

International Paper Co.

    445,236        23,076,582     

LyondellBasell Industries NV, Class A

    290,840        29,403,924     

Nucor Corp.

    520,354        24,612,744     

The Dow Chemical Co.

    517,540        26,948,308     
   

 

 

 

Total Materials

      130,419,679     
   

 

 

 

Telecommunication Services (7.26%)

 

AT&T, Inc.

    743,327        25,674,515     

CenturyLink, Inc.

    707,418        23,514,574     

Frontier Communications Corp.

    3,344,968        17,226,585     

Verizon Communications, Inc.

    498,566        24,649,103     
   

 

 

 

Total Telecommunication Services

  

    91,064,777     
   

 

 

 

Utilities (9.95%)

 

Consolidated Edison, Inc.

    400,256        24,751,831     

Dominion Resources, Inc.

    353,106        24,901,035     

PPL Corp.

    765,698        26,577,378     

TECO Energy, Inc.

    1,295,247        24,415,406     

The Southern Co.

    553,990        24,203,823     
   

 

 

 

Total Utilities

      124,849,473     
   

 

 

 

TOTAL COMMON STOCKS

(Cost $1,203,086,822)

  

  

    1,245,386,877     
   

 

 

 

 

     7 Day
Yield
    Shares     Value          

 

 

SHORT TERM INVESTMENTS (0.39%)

  

Dreyfus Treasury Prime Cash Management, Institutional Class

     0.000 %(a)      4,918,219        4,918,219     
      

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $4,918,219)

   

  

      4,918,219     
      

 

 

 

TOTAL INVESTMENTS (99.61%)

(Cost $1,208,005,041)

   

  

    $   1,250,305,096     

NET OTHER ASSETS AND LIABILITIES (0.39%)

   

      4,833,164     
      

 

 

 

NET ASSETS (100.00%)

 

    $ 1,255,138,260     
      

 

 

 
 

 

8  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs ETF     

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

(a) 

Less than 0.0005%.

Common Abbreviations:

Ltd.- Limited.

NV- Naamloze Vennootschap is the Dutch term for a public limited liability corporation

Plc- Public Limited Company.

See Notes to Financial Statements.

 

 

9  |  May 31, 2015


Table of Contents
ALPS International Sector Dividend Dogs ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description   Shares     Value        

 

 

COMMON STOCKS (98.82%)

  

Australia (19.53%)

   

AGL Energy, Ltd.

    323,213      $ 4,010,633     

BHP Billiton, Ltd.

    171,556        3,881,114     

Fortescue Metals Group, Ltd.

    2,361,836        4,369,891     

Insurance Australia Group, Ltd.

    798,537        3,455,549     

National Australia Bank, Ltd.

    135,404        3,552,911     

Telstra Corp., Ltd.

    760,699        3,617,502     

Wesfarmers, Ltd.

    108,883        3,634,539     

Westpac Banking Corp.

    124,988        3,206,977     

Woodside Petroleum, Ltd.

    136,000        3,808,740     

Woolworths, Ltd.

    160,960        3,445,732     
   

 

 

 

Total Australia

          36,983,588     
   

 

 

 

Austria (2.11%)

   

OMV AG

    140,500        3,988,935     
   

 

 

 

Belgium (1.95%)

   

Belgacom SA

    106,051        3,683,540     
   

 

 

 

Finland (1.81%)

   

UPM-Kymmene OYJ

    191,082        3,427,094     
   

 

 

 

France (9.85%)

   

Bouygues SA

    92,412        3,638,627     

Cap Gemini SA

    45,423        3,942,148     

GDF Suez

    188,623        3,806,642     

Orange SA

    222,955        3,516,347     

Sanofi

    38,284        3,748,510     
   

 

 

 

Total France

      18,652,274     
   

 

 

 

Germany (1.88%)

   

ProSiebenSat.1 Media AG

    74,282        3,552,156     
   

 

 

 

Hong Kong (3.53%)

   

Li & Fung, Ltd.

    3,513,813        3,045,381     

SJM Holdings, Ltd.

    2,842,894        3,640,858     
   

 

 

 

Total Hong Kong

      6,686,239     
   

 

 

 

Italy (4.03%)

   

Atlantia SpA

    143,237        3,684,361     

Eni SpA

    219,531        3,951,799     
   

 

 

 

Total Italy

      7,636,160     
   

 

 

 

Japan (7.68%)

   

Canon, Inc.

    108,863        3,764,573     

Eisai Co., Ltd.

    60,172        3,781,506     

Ricoh Co., Ltd.

    352,900        3,696,330     
Security Description   Shares     Value        

 

 

Japan (continued)

   

Takeda Pharmaceutical Co., Ltd.

    67,989      $ 3,308,654     
   

 

 

 

Total Japan

      14,551,063     
   

 

 

 

Norway (3.72%)

   

Gjensidige Forsikring ASA

    211,636        3,267,984     

Orkla ASA

    481,835        3,775,937     
   

 

 

 

Total Norway

      7,043,921     
   

 

 

 

Spain (10.37%)

   

Amadeus IT Holding SA, Class A

    89,449        4,070,642     

Banco Santander SA

    532,241        3,790,281     

Ferrovial SA

    180,351        3,893,244     

Repsol SA

    210,223        4,003,588     

Telefonica SA

    274,109        3,877,566     
   

 

 

 

Total Spain

      19,635,321     
   

 

 

 

Sweden (5.64%)

   

Sandvik AB

    333,209        4,013,436     

Telefonaktiebolaget LM Ericsson, Class B

    284,761        3,196,110     

TeliaSonera AB

    590,497        3,480,030     
   

 

 

 

Total Sweden

      10,689,576     
   

 

 

 

United Kingdom (26.72%)

   

Antofagasta Plc

    349,985        3,990,475     

AstraZeneca Plc

    53,651        3,585,453     

BAE Systems Plc

    458,957        3,612,564     

BP Plc

    584,139        4,024,281     

British American Tobacco Plc

    67,112        3,698,299     

Centrica Plc

    1,027,686        4,360,299     

GlaxoSmithKline Plc

    156,618        3,479,309     

Imperial Tobacco Group Plc

    78,921        4,064,984     

Marks & Spencer Group Plc

    494,429        4,405,638     

National Grid Plc

    287,227        4,100,233     

Pearson Plc

    168,179        3,359,570     

Rio Tinto, Ltd.

    82,496        3,670,806     

SSE Plc

    167,265        4,256,530     
   

 

 

 

Total United Kingdom

      50,608,441     
   

 

 

 

TOTAL COMMON STOCKS

(Cost $189,020,522)

  

  

       187,138,308     
   

 

 

 

 

 

    7 Day
Yield
    Shares     Value       

 

 

SHORT TERM INVESTMENTS (0.36%)

  

Dreyfus Treasury Prime Cash Management, Institutional Class

    0.000 %(a)      672,778                     672,778     
     

 

 

 
 

 

10  |  May 31, 2015


Table of Contents
ALPS International Sector Dividend Dogs ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares    Value          

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $ 672,778)

        672,778     
     

 

 

 

TOTAL INVESTMENTS (99.18%)

(Cost $ 189,693,300)

      $ 187,811,086     

NET OTHER ASSETS AND LIABILITIES (0.82%)

        1,555,491     
     

 

 

 

NET ASSETS (100.00%)

   $   189,366,577     
     

 

 

 

 

(a) 

Less than 0.0005%.

Common Abbreviations:

AB - Aktiebolag is the Swedish term for corporation.

AG - Aktiengesellschaft is a German term that refers to a corporation that is limited b shares, i.e., owned by shareholders.

ASA - Allmennaksjeselskap is the Norwegian term for public limited company.

Ltd. - Limited.

OYJ - Osakeyhtio is the Finnish term for public limited company.

Plc - Public Limited Company.

SA - Generally designated corporations in various countries, mostly those employing civil law.

SpA - Societa per Azioni is an Italian shared company.

See Notes to Financial Statements.

 

 

11  |  May 31, 2015


Table of Contents
ALPS Emerging Sector Dividend Dogs ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description   Shares     Value        

 

 

COMMON STOCKS (99.39%)

  

Brazil (9.91%)

   

Cielo SA, Sponsored ADR

    20,160      $ 253,210     

CPFL Energia SA

    42,699        257,965     

EcoRodovias Infraestrutura e Logistica SA

    82,351        195,908     

Natura Cosmeticos SA

    30,064        277,589     

Souza Cruz SA

    29,045        222,238     
   

 

 

 

Total Brazil

           1,206,910     
   

 

 

 

Chile (1.90%)

   

SONDA SA

    100,800        231,896     
   

 

 

 

China (11.71%)

   

AAC Technologies Holdings, Inc.

    33,280        186,066     

Agile Property Holdings, Ltd.

    406,465        312,437     

Evergrande Real Estate Group, Ltd.

    522,582        340,362     

Jiangsu Expressway Co., Ltd., Class H

    186,472        259,735     

Shanghai Pharmaceuticals Holding Co. Ltd., Class H

    98,448        326,313     
   

 

 

 

Total China

      1,424,913     
   

 

 

 

Colombia (1.94%)

   

Ecopetrol SA, Sponsored ADR*

    16,269        235,900     
   

 

 

 

Czech Republic (3.69%)

   

CEZ A.S

    9,840        245,048     

O2 Czech Republic A.S

    28,740        204,426     
   

 

 

 

Total Czech Republic

      449,474     
   

 

 

 

Hungary (2.31%)

   

Richter Gedeon Nyrt

    17,224        281,455     
   

 

 

 

India (1.71%)

   

Infosys, Ltd., Sponsored ADR

    6,528        208,047     
   

 

 

 

Indonesia (1.46%)

   

Indo Tambangraya Megah Tbk PT

    173,861        177,490     
   

 

 

 

Malaysia (9.24%)

   

Berjaya Sports Toto Bhd

    254,200        228,822     

British American Tobacco Malaysia Bhd

    12,527        211,859     

Felda Global Ventures Holdings Bhd

    391,100        210,165     

YTL Corp. Bhd

    531,800        230,650     

YTL Power International Bhd

    563,518        242,869     
   

 

 

 

Total Malaysia

      1,124,365     
   

 

 

 
Security Description   Shares     Value        

 

 

Mexico (5.88%)

   

Grupo Aeroportuario del Pacifico SAB de CV, Class B

    36,428      $ 259,485     

Grupo Financiero Santander Mexico SAB de CV, Class B

    104,820        197,811     

Kimberly-Clark de Mexico SAB de CV, Class A

    114,065        258,146     
   

 

 

 

Total Mexico

      715,442     
   

 

 

 

Poland (10.22%)

   

Bank Handlowy w Warszawie SA

    8,445        245,718     

KGHM Polska Miedz SA

    7,946        244,574     

PGE Polska Grupa Energetyczna SA

    46,325        254,353     

Powszechny Zaklad Ubezpieczen SA

    1,966        235,326     

Synthos SA

    207,929        264,442     
   

 

 

 

Total Poland

           1,244,413     
   

 

 

 

Russia (10.77%)

   

Gazprom OAO, Sponsored ADR

    49,680        266,633     

MegaFon PJSC, GDR(a)

    15,523        238,278     

Mobile Telesystems OJSC, Sponsored ADR

    24,411        255,339     

Rosneft OAO, GDR(a)

    58,399        267,409     

Sistema JSFC, GDR(a)

    37,279        283,320     
   

 

 

 

Total Russia

      1,310,979     
   

 

 

 

South Africa (11.23%)

   

Assore, Ltd.

    25,908        238,094     

Exxaro Resources, Ltd.

    29,033        200,809     

Life Healthcare Group Holdings, Ltd.

    64,660        194,170     

Netcare, Ltd.

    66,846        214,165     

PPC, Ltd.

    166,712        278,660     

Truworths International, Ltd.

    33,693        240,669     
   

 

 

 

Total South Africa

      1,366,567     
   

 

 

 

Thailand (9.80%)

   

BEC World Pcl

    191,270        213,217     

BTS Group Holdings Pcl

    803,620        229,333     

Bumrungrad Hospital Pcl

    51,600        266,897     

Delta Electronics Thailand Pcl

    103,924        264,135     

Intouch Holdings Plc*

    95,082        219,050     
   

 

 

 

Total Thailand

      1,192,632     
   

 

 

 

Turkey (7.62%)

   

Brisa Bridgestone Sabanci Sanayi ve Ticaret AS

    64,326        195,700     

Eregli Demir ve Celik Fabrikalari TAS

    155,208        249,503     

Tofas Turk Otomobil Fabrikasi AS

    39,826        269,999     

Turk Traktor ve Ziraat Makineleri AS

    7,601        212,547     
   

 

 

 

Total Turkey

      927,749     
   

 

 

 

TOTAL COMMON STOCKS

(Cost $12,694,508)

      12,098,232     
   

 

 

 
 

 

12  |  May 31, 2015


Table of Contents
ALPS Emerging Sector Dividend Dogs ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

     7 Day
Yield
    Shares      Value          

 

 

SHORT TERM INVESTMENTS (0.18%)

   

    

Dreyfus Treasury Prime Cash Management, Institutional Class

     0.000 %(b)      21,341       $ 21,341     
       

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $21,341)

   

  

       21,341     
       

 

 

 

TOTAL INVESTMENTS (99.57%)

(Cost $12,715,849)

   

  

     $   12,119,573     

NET OTHER ASSETS AND LIABILITIES (0.43%)

   

       53,502     
       

 

 

 

NET ASSETS (100.00%)

 

     $ 12,173,075     
       

 

 

 

 

*

Non-income producing security.

(a) 

These securities initially sold to other parties pursuant to Regulation S under the 1933 Act and subsequently resold to the Fund. As of May 31, 2015, the aggregate market values of these securities were $789,007, representing 6.48% of the Fund’s net assets.

(b) 

Less than 0.0005%.

Common Abbreviations:

ADR - American Depositary Receipt.

AS - Andonim Sirketi is a joint stock company in Turkey.

A.S. - Akciova Spolecnost is a joint stock company in the Czech Republic.

Bhd - Berhad is a public limited company in Malaysia.

GDR - Global Depositary Receipt

JSFC - Joint Stock Financial Corporation.

Ltd. - Limited.

Nyrt - Hungarian for Public Limited Company.

OAO - Otkrytoe Aktsionernoe Obschestvo is the Russian Term for Open Joint Stock Company.

OJSC - Open Joint Stock Company.

Pcl - A rearrangement of the letters for public limited company, used in Thailand.

PJSC - Private Joint Stock Company

SA - Generally designated corporations in various countries, mostly those employing civil law.

SAB de CV - A variable capital company.

TAS - Turk Anonin Sirketi is the Turkish term for Joint Stock Company.

Tbk PT - Terbuka is the Indonesian term for limited liability company.

See Notes to Financial Statements.

 

 

13  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs Series     

 

Statements of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

         ALPS Sector
Dividend Dogs
ETF
        ALPS
International
Sector Dividend
Dogs ETF
        ALPS Emerging     
Sector Dividend     
Dogs ETF
 

 

 

ASSETS:

            

Investments, at value

  $      1,250,305,096      $     187,811,086        $     12,119,573          

Cash

                –            134          

Foreign currency, at value (Cost $–, $143,381 and $49,813)

                143,629            49,527          

Receivable for investments sold

                289,761            –          

Receivable for shares sold

                15,677            –          

Foreign tax reclaims

                393,526            199          

Dividends receivable

       5,264,018          793,283            10,171          

 

 

Total Assets

       1,255,569,114          189,446,962            12,179,604          

 

 

LIABILITIES:

            

Payable to adviser

       430,854          80,385            6,529          

 

 

Total Liabilities

       430,854          80,385            6,529          

 

 

NET ASSETS

  $      1,255,138,260      $     189,366,577        $     12,173,075          

 

 

NET ASSETS CONSIST OF:

            

Paid-in capital

  $      1,159,361,553      $     201,610,538        $     13,010,257          

Accumulated net investment income

       5,316,884          2,151,619            51,282          

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

       48,159,768          (12,447,851)            (291,946)          

Net unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

       42,300,055          (1,947,729)            (596,518)          

 

 

NET ASSETS

  $      1,255,138,260      $     189,366,577        $     12,173,075          

 

 

INVESTMENTS, AT COST

  $      1,208,005,041      $     189,693,300        $     12,715,849          

PRICING OF SHARES:

            

Net Assets

  $      1,255,138,260      $     189,366,577        $     12,173,075          

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

       32,809,143          6,900,002            500,002          

Net Asset Value, offering and redemption price per share

  $      38.26      $     27.44        $     24.35          

 

See Notes to Financial Statements.

14  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs Series    

 

Statements of Operations

  For the Six Months Ended May 31, 2015 (Unaudited)

 

       ALPS Sector
  Dividend Dogs
  ETF
       ALPS
  International
  Sector Dividend
  Dogs ETF
     ALPS Emerging  
Sector Dividend  
Dogs ETF  
 

 

 

INVESTMENT INCOME:

        

Dividends*

   $ 25,009,990         $ 4,479,052         $ 208,672         

 

 

Total Investment Income

     25,009,990           4,479,052           208,672         

 

 

EXPENSES:

        

Investment adviser fees

     2,369,232           399,100           34,537         

 

 

Total Expense

     2,369,232           399,100           34,537         

 

 

NET INVESTMENT INCOME

     22,640,758           4,079,952           174,135         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

        

Net realized gain/(loss) on investments

     54,985,065               (11,371,199)         (257,061)         

Net realized loss on foreign currency transactions

     –           (192,218)           (20,640)         

Net change in unrealized appreciation/(depreciation) on investments

         (64,802,788)           9,672,709           (648,239)         

Net change in unrealized appreciation/(depreciation) on translation of assets and liabilities denominated in foreign currencies

     –           (28,939)           260         

 

 

NET REALIZED AND UNREALIZED LOSS ON INVESTMENTS

     (9,817,723)           (1,919,647)           (925,680)         

 

 

NET INCREASE/(DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

   $ 12,823,035         $ 2,160,305         $          (751,545)         

 

 

 

 

*Net of foreign tax withholding.

   $ –         $ 418,552         $ 23,535         

 

See Notes to Financial Statements.

15  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs ETF     

 

Statements of Changes in Net Assets

  

 

 

    

For the Six

    Months Ended    

May 31, 2015

(Unaudited)

    

     For the         

     Year Ended         

     November 30, 2014         

 

 

 

OPERATIONS:

     

Net investment income

   $ 22,640,758           $ 25,671,802           

Net realized gain on investments

     54,985,065             30,591,250           

Net change in unrealized appreciation/(depreciation) on investments

     (64,802,788)             65,547,456           

 

 

Net increase in net assets resulting from operations

     12,823,035             121,810,508           

 

 

Net Equalization Credits

     2,263,381             1,695,015           

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (20,959,176)             (22,702,657)           

 

 

Total distributions

     (20,959,176)             (22,702,657)           

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     535,246,080             633,539,564           

Dividends reinvested

     148,008             177,537           

Cost of shares redeemed

     (296,592,338)             (172,629,123)           

Net income equalization (Note 2)

     (2,263,381)             (1,695,015)           

 

 

Net Increase from Share Transactions

     236,538,369             459,392,963           

 

 

Net increase in net assets

     230,665,609             560,195,829           

NET ASSETS:

     

Beginning of year

     1,024,472,651             464,276,822           

 

 

End of year *

   $               1,255,138,260           $               1,024,472,651           

 

 

*    Including accumulated net investment income of:

   $ 5,316,884           $ 3,635,302           

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     26,405,255             13,750,361           

Shares sold

     14,100,000             17,650,000           

Shares reinvested

     3,888             4,894           

Shares redeemed

     (7,700,000)             (5,000,000)           

 

 

Shares outstanding, end of year

     32,809,143             26,405,255           

 

 

 

See Notes to Financial Statements.

16  |  May 31, 2015


Table of Contents
ALPS International Sector Dividend Dogs ETF     

 

Statements of Changes in Net Assets

  

 

 

    

For the Six

    Months Ended    

May 31, 2015

(Unaudited)

    

     For the         

     Year Ended         

     November 30, 2014         

 

 

 

OPERATIONS:

     

Net investment income

   $ 4,079,952           $ 5,144,079           

Net realized gain/(loss) on investments and foreign currency transactions

     (11,563,417)             1,822,190           

Net change in unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     9,643,770             (14,445,513)           

 

 

Net increase/(decrease) in net assets resulting from operations

     2,160,305             (7,479,244)           

 

 

Net Equalization Credits

     280,287             406,964           

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (1,928,045)             (5,101,215)           

From tax return of capital

     –             (311,911)           

 

 

Total distributions

     (1,928,045)             (5,413,126)           

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     45,672,933             111,986,285           

Cost of shares redeemed

     –             (33,043,796)           

Net income equalization (Note 2)

     (280,287)             (406,964)           

 

 

Net Increase from Share Transactions

     45,392,646             78,535,524           

 

 

Net increase in net assets

     45,905,193             66,050,119           

NET ASSETS:

     

Beginning of period

     143,461,384             77,411,265           

 

 

End of period *

   $                   189,366,577           $                   143,461,384           

 

 

*    Including accumulated net investment income/(loss) of:

   $ 2,151,619           $ (288)           

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     5,250,002             2,650,002           

Shares sold

     1,650,000             3,750,000           

Shares redeemed

     –             (1,150,000)           

 

 

Shares outstanding, end of period

     6,900,002             5,250,002           

 

 

 

See Notes to Financial Statements.

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ALPS Emerging Sector Dividend Dogs ETF

 

Statements of Changes in Net Assets

  

 

 

    

For the Six

    Months Ended    

May 31, 2015

(Unaudited)

    

For the Period         

March 28, 2014         

(Commencement) to         

November 30, 2014         

 

 

 

OPERATIONS:

     

Net investment income

   $ 174,135            $ 143,025          

Net realized loss on investments and foreign currency transactions

     (277,701)             (35,715)          

Net change in unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     (647,979)             51,461          

 

 

Net Increase/(Decrease) in net assets resulting from operations

     (751,545)             158,771          

 

 

Net Equalization Credits/ (Debits)

     (71)             36,260          

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (122,775)             (121,633)          

Dividends to shareholders from tax return of capital

     –             (27,627)          

 

 

Total distributions

     (122,775)             (149,260)          

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of Shares

     2,418,735             10,619,149          

Net income equalization (Note 2)

     71             (36,260)          

 

 

Net Increase from Share Transactions

     2,418,806             10,582,889          

 

 

Net Increase in Net Assets

     1,544,415             10,628,660          

NET ASSETS:

     

Beginning of period

     10,628,660             –          

 

 

End of period *

   $         12,173,075            $         10,628,660          

 

 

*    Including accumulated net investment income/(loss) of:

   $ 51,282            $ (78)          

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     400,002             –          

Shares sold

     100,000             400,002          

Shares redeemed

     –             –          

 

 

Shares outstanding, end of period

     500,002             400,002          

 

 

 

See Notes to Financial Statements.

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ALPS Sector Dividend Dogs ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

 

                      For the Period  
         For the                   June 29, 2012  
         Six Months            For the Year         For the Year       (Commencement)    
         Ended            Ended         Ended     to  
         May 31, 2015            November 30,         November 30,     November 30,  
        (Unaudited)            2014         2013     2012  

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 38.80          $ 33.76          $ 26.71          $ 25.00            

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

       

Net investment income (a)

    0.73            1.35            1.12            0.59            

Net realized and unrealized gain/(loss)

    (0.58)            4.94            7.14            1.41            

 

 

Total from investment operations

    0.15            6.29            8.26            2.00            

 

 

DISTRIBUTIONS:

       

From net investment income

    (0.69)            (1.25)            (1.21)            (0.29)            

 

 

Total distributions

    (0.69)            (1.25)            (1.21)            (0.29)            

 

 

Net increase/(decrease) in net asset value

    (0.54)            5.04            7.05            1.71            

 

 

NET ASSET VALUE, END OF PERIOD

  $ 38.26          $ 38.80          $ 33.76          $ 26.71            

 

 

TOTAL RETURN(b)

    0.43%        18.96%        31.66%        7.99%         

RATIOS/SUPPLEMENTAL DATA:

       

Net assets, end of period (000s)

  $ 1,255,138          $ 1,024,473          $ 464,277          $ 62,768           

Ratio of expenses to average net assets

    0.40%(c)        0.40%        0.40%        0.40%(c)       

Ratio of net investment income to average net assets

    3.82%(c)        3.74%        3.58%        5.31%(c)       

Portfolio turnover rate(d)

    40%        12%        8%        0%       

Undistributed net investment income included in price of units issued and redeemed(a)(e)

  $ 0.07          $ 0.09          $ 0.13          $ 0.19           

 

(a)

Based on average shares outstanding during the period.

(b)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d)

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

(e)

The per share amount of equalization is presented to show the impact of equalization on distributable earnings per share.

 

See Notes to Financial Statements.

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ALPS International Sector Dividend Dogs ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

                For the Period  
    For the           June 28, 2013  
    Six Months Ended             (Commencement)    
        May 31, 2015         For the Year Ended     to  
    (Unaudited)     November 30, 2014     November 30, 2013  

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 27.33             $ 29.21             $ 25.00           

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income(a)

    0.69               1.19               0.34           

Net realized and unrealized gain/(loss)

    (0.25)               (1.83)               4.08           

 

 

Total from investment operations

    0.44               (0.64)               4.42           

 

 

DISTRIBUTIONS:

     

From net investment income

    (0.33)               (1.17)               (0.21)           

Tax return of capital

    –               (0.07)               –           

 

 

Total distributions

    (0.33)               (1.24)               (0.21)           

 

 

Net increase/(decrease) in net asset value

    0.11               (1.88)               4.21           

 

 

NET ASSET VALUE, END OF PERIOD

  $ 27.44             $ 27.33             $ 29.21           

 

 

TOTAL RETURN(b)

    1.67%           (2.53)%          17.72%       

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

  $     189,367             $     143,461             $       77,411           

Ratio of expenses to average net assets

    0.50%(c)         0.50%            0.50%(c)     

Ratio of net investment income to average net assets

    5.11%(c)         4.05%            2.87%(c)     

Portfolio turnover rate(d)

    57%            19%            2%        

Undistributed net investment income included in price of units issued and redeemed(a)(e)

  $ 0.05              $ 0.09             $ 0.14           

 

(a)

Based on average shares outstanding during the period.

(b)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d)

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

(e)

The per share amount of equalization is presented to show the impact of equalization on distributable earnings per share.

 

See Notes to Financial Statements.

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ALPS Emerging Sector Dividend Dogs ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

            For the Period  
     For the      March 28, 2014  
     Six Months Ended      (Commencement)  
     May 31, 2015      to  
     (Unaudited)      November 30, 2014  

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $         26.57             $         25.00        

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income(a)

     0.37               0.64       

Net realized and unrealized gain/(loss)

     (2.33)               1.59       

 

 

Total from investment operations

     (1.96)               2.23       

 

 

DISTRIBUTIONS:

     

From net investment income

     (0.26)               (0.54)       

Tax return of capital

     –                (0.12)       

 

 

Total distributions

     (0.26)               (0.66)       

 

 

Net increase/(decrease) in net asset value

     (2.22)               1.57       

 

 

Net asset value, end of period

   $ 24.35             $ 26.57       

 

 

TOTAL RETURN(b)

     (7.37)%            8.93%     

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

   $ 12,173             $ 10,629       

Ratio of expenses to average net assets

     0.60%(c)            0.60%(c)     

Ratio of net investment income to average net assets

     3.03%(c)            3.54%(c)     

Portfolio turnover rate(d)

     68%            19%     

Undistributed net investment income included in price of units issued and redeemed(a)(e)

   $ 0.00(f)          $ 0.16       

 

(a)

Based on average shares outstanding during the period.

(b)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d)

Portfolio turnover is not annualized and does not include securities received or delivered from processing creations or redemptions.

(e)

The per share amount of equalization is presented to show the impact of equalization on distributable earnings per share.

(f)

Less than $0.005.

 

See Notes to Financial Statements.

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ALPS Sector Dividend Dogs Series     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the ALPS Sector Dividend Dogs ETF, the ALPS International Sector Dividend Dogs ETF, and the ALPS Emerging Sector Dividend Dogs ETF (each a “Fund” and collectively, the “Funds”). Each Fund has elected to qualify as a diversified series of the Trust under the 1940 Act.

The investment objective of the ALPS Sector Dividend Dogs ETF is to seek investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network Sector Dividend Dogs Index. The investment objective of the ALPS International Sector Dividend Dogs ETF is to seek investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network International Sector Dividend Dogs Index. The investment objective of the ALPS Emerging Sector Dividend Dogs ETF is to seek investment results that replicate as closely as possible, before fees and expenses, the performance of the S-Network Emerging Sector Dividend Dogs Index.

The Funds’ Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. Each Fund issues and redeems Shares, at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. Each Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

Each Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Exchange LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sales price in such market.

The Funds’ investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Funds may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

B. Fair Value Measurements

Each Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

Valuation techniques used to value the Funds’ investments by major category are as follows:

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of each Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Funds’ investments at May 31, 2015:

ALPS Sector Dividend Dogs ETF

 

Investments in Securities at Value*   Level 1 -
Unadjusted Quoted
Prices
    Level 2 - Other
Significant
  Observable Inputs  
    Level 3 - Significant
Unobservable
Inputs
    Total  

 

 

Common Stocks

  $   1,245,386,877          $                       –            $                   –         $       1,245,386,877     

Short Term Investments

    4,918,219            –              –           4,918,219     

 

 

TOTAL

  $ 1,250,305,096          $ –            $ –         $ 1,250,305,096     

 

 

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

ALPS International Sector Dividend Dogs ETF

 

Investments in Securities at Value*    Level 1 -
Unadjusted Quoted
Prices
     Level 2 - Other
Significant
 Observable Inputs
     Level 3 - Significant
Unobservable
Inputs
       Total  

 

 

Common Stocks

   $       187,138,308          $ –         $ –         $           187,138,308     

Short Term Investments

     672,778            –           –           672,778     

 

 

TOTAL

   $ 187,811,086          $ –         $ –         $ 187,811,086     

 

 

 

ALPS Emerging Sector Dividend Dogs ETF

 

Investments in Securities at Value*    Level 1 -
Unadjusted Quoted
Prices
     Level 2 - Other
Significant
 Observable Inputs
     Level 3 - Significant
Unobservable
Inputs
       Total  

 

 

Common Stocks

   $       12,098,232          $ –         $ –         $             12,098,232     

Short Term Investments

     21,341            –           –           21,341     

 

 

TOTAL

   $         12,119,573          $ –         $ –         $ 12,119,573     

 

 

 

*

  For a detailed sector/country breakdown, see the accompanying Schedule of Investments.

The Funds recognize transfers between levels as of the end of the period. For the six months ended May 31, 2015, the Funds did not have any transfers between Level 1 and Level 2 securities. The Funds did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Foreign Securities

The ALPS International Sector Dividend Dogs ETF and the ALPS Emerging Sector Dividend Dogs ETF may directly purchase securities of foreign issuers. Investing in securities of foreign issuers involves special risks not typically associated with investing in securities of U.S. issuers. The risks include possible reevaluation of currencies, the inability to repatriate foreign currency, less complete financial information about companies and possible future adverse political and economic developments.

Moreover, securities of many foreign issuers and their markets may be less liquid and their prices more volatile than those of securities of comparable U.S. issuers.

D. Foreign Currency Translation

The books and records of the Funds are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

E. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date, net of any foreign taxes withheld. Interest income, if any, is recorded on the accrual basis.

F. Dividends and Distributions to Shareholders

Dividends from net investment income for each Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Funds, if any, are distributed at least annually.

G. Equalization

Each Fund follows the accounting practice known as “Equalization” by which a portion of the proceeds from sales and costs of reacquiring the Funds’ 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 reacquisitions of the Funds’ shares. Amounts related to Equalization can be found on the Statement of Changes in Net Assets.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

H. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid during the year ended November 30, 2014 was as follows:

 

             Ordinary Income                       Return of Capital             

 

 

ALPS Sector Dividend Dogs ETF

   $                     22,702,657           $ –           

ALPS International Sector Dividend Dogs ETF

     5,101,215             311,911           

ALPS Emerging Sector Dividend Dogs ETF

     121,633             27,627           

At November 30, 2014, the Funds had available for tax purposes unused capital loss carryforwards as follows:

 

           Short-Term               Long-Term         

 

 

ALPS Sector Dividend Dogs ETF

   $ 1,147,672       $ 3,718,418        

ALPS International Sector Dividend Dogs ETF

     377,813         14,171        

As of May 31, 2015, the costs of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

     ALPS Sector
Dividend Dogs ETF
     ALPS International
Sector Dividend
Dogs ETF
     ALPS Emerging
Sector Dividend
Dogs ETF
 

 

 

Gross appreciation (excess of value over tax cost)

   $ 88,712,122           $ 7,204,974           $ 819,613        

Gross depreciation (excess of tax cost over value)

     (53,076,829)             (9,579,655)             (1,442,492)        

 

 

Net unrealized appreciation (depreciation)

     35,635,293             (2,374,681)             (622,879)        

 

 

Cost of investments for income tax purposes

   $   1,214,669,803           $     190,185,767           $       12,742,452        

 

 

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales.

I. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as each Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. Each Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, each Fund did not have a liability for any unrecognized tax benefits. Each Fund files U.S. federal, state, and local tax returns as required. Each Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Each Fund’s tax returns for open years have incorporated no uncertain tax positions that require a provision for income taxes.

 

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Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Funds’ investment adviser pursuant to advisory agreements with the Trust on behalf of each Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, each Fund pays the Adviser a unitary fee for the services and facilities it provides, payable on a monthly basis as a percentage of each Fund’s average daily net assets as set out below. From time to time, the Adviser may waive all or a portion of its fee.

 

Fund                            Advisory Fee                         

 

ALPS Sector Dividend Dogs ETF

   0.40%

ALPS International Sector Dividend Dogs ETF

   0.50%

ALPS Emerging Sector Dividend Dogs ETF

   0.60%

Out of the unitary management fee, the Adviser pays substantially all expenses of each Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses not incurred in the ordinary course of each Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of each Fund’s expenses and to compensate the Adviser for providing services for each Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator for the Funds.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

Fund    Purchases        Sales      

 

 

ALPS Sector Dividend Dogs ETF

   $           484,026,811         $             469,826,499             

 

 

ALPS International Sector Dividend Dogs ETF

     91,727,450           91,027,610             

 

 

ALPS Emerging Sector Dividend Dogs ETF

     8,433,886           7,873,164             

 

 

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases        Sales      

 

 

ALPS Sector Dividend Dogs ETF

   $           531,567,959         $             308,731,467             

 

 

ALPS International Sector Dividend Dogs ETF

     45,367,266           –             

 

 

ALPS Emerging Sector Dividend Dogs ETF

     1,908,195           –             

 

 

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by each Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Funds. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of each Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Table of Contents
ALPS Sector Dividend Dogs Series     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Funds designate the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income     

        Dividend Received        

Deduction

 

 

 

ALPS Sector Dividend Dogs ETF

     100.00%                      98.21%                   

ALPS International Sector Dividend Dogs ETF

     99.03%                      0.00%                   

ALPS Emerging Sector Dividend Dogs ETF

     70.84%                      0.00%                   

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Funds during the calendar year 2014 via Form 1099. The Funds will notify shareholders in early 2016 of amounts paid to them by the Funds, if any, during the calendar year 2015.

LICENSING AGREEMENTS

 

ALPS Sector Dividend Dogs ETF

The ALPS Sector Dividend Dogs ETF (“Product”) is not sponsored, endorsed, sold or promoted by S-Network Global Indexes, Inc. (“Licensor”). Licensor makes no representation or warranty, express or implied, to the owners of the Product or any member of the public regarding the advisability of investing in securities generally or in the Product particularly or the ability of the S-Network® Sector Dividend Dogs Index (“Index”) to track the performance of the physical commodities market. Licensor’s only relationship to the Licensee is the licensing of certain service marks and trade names of Licensor and of the Index that is determined, composed and calculated by Licensor without regard to the Licensee or the Product. Licensor has no obligation to take the needs of the Licensee or the owners of the Product into consideration in determining, composing or calculating the Index. Licensor is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Product to be issued or in the determination or calculation of the equation by which the Product is to be converted into cash. Licensor has no obligation or liability in connection with the administration, marketing or trading of the Product.

LICENSOR DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND LICENSOR SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. LICENSOR MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE PRODUCT, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN. LICENSOR MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL LICENSOR HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

The Product is not sponsored, endorsed, sold or promoted by Standard & Poor’s, a division of The McGraw-Hill Companies, Inc. (“S&P”) or its third party licensors. Neither S&P nor its third party licensors make any representation or warranty, express or implied, to the owners of the Product or any member of the public regarding the advisability of investing in securities generally or in the Product particularly or the ability of the Index to track general stock market performance. S&P’s and its third party licensor’s only relationship to S-Network Global Indexes, Inc. is the licensing of certain trademarks, service marks and trade names of S&P and/or its third party licensors and for the providing of calculation and maintenance services related to the Index. Neither S&P nor its third party licensors is responsible for and has not participated in the determination of the prices

 

27  |  May 31, 2015


Table of Contents
ALPS Sector Dividend Dogs Series     

 

Additional Information

   May 31, 2015 (Unaudited)

 

and amount of the Product or the timing of the issuance or sale of the Product or in the determination or calculation of the equation by which the Product is to be converted into cash. S&P has no obligation or liability in connection with the administration, marketing or trading of the Product.

NEITHER S&P, ITS AFFILIATES NOR THEIR THIRD PARTY LICENSORS GUARANTEE THE ADEQUACY, ACCURACY, TIMELINESS OR COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN OR ANY COMMUNICATIONS, INCLUDING BUT NOT LIMITED TO, ORAL OR WRITTEN COMMUNICATIONS (INCLUDING ELECTRONIC COMMUNICATIONS) WITH RESPECT THERETO. S&P, ITS AFFILIATES AND THEIR THIRD PARTY LICENSORS SHALL NOT BE SUBJECT TO ANY DAMAGES OR LIABILITY FOR ANY ERRORS, OMISSIONS OR DELAYS THEREIN. S&P MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO ITS TRADEMARKS, THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT WHATSOEVER SHALL S&P, ITS AFFILIATES OR THEIR THIRD PARTY LICENSORS BE LIABLE FOR ANY INDIRECT, SPECIAL, INCIDENTAL, PUNITIVE OR CONSEQUENTIAL DAMAGES, INCLUDING BUT NOT LIMITED TO, LOSS OF PROFITS, TRADING LOSSES, LOST TIME OR GOODWILL, EVEN IF THEY HAVE BEEN ADVISED OF THE POSSIBILITY OF SUCH DAMAGES, WHETHER IN CONTRACT, TORT, STRICT LIABILITY OR OTHERWISE.

Standard & Poor’s®, and S&P®, and S&P 500® are registered trademarks of The McGraw-Hill Companies, Inc.; “Calculated by S&P Custom Indices” and its related stylized mark are service marks of The McGraw-Hill Companies, Inc. These marks have been licensed for use by S-Network Global Indexes, Inc.”

The S&P 500® is the property of Standard & Poor’s Financial Services LLC (“S&P”) and has been licensed by S&P for use by S-Network Global Indexes Inc. in connection with the S-Network Sector Dividend Dogs (Ticker: SDOGX).

ALPS International Sector Dividend Dogs

The ALPS International Sector Dividend Dogs (“Product”) is not sponsored, endorsed, sold or promoted by S-Network Global Indexes, Inc. (“Licensor”). Licensor makes no representation or warranty, express or implied, to the owners of the Product or any member of the public regarding the advisability of investing in securities generally or in the Product particularly or the ability of the S-Network® International Sector Dividend Dogs Index (“Index”) to track the performance of the physical commodities market. Licensor’s only relationship to the Licensee is the licensing of certain service marks and trade names of Licensor and of the Index that is determined, composed and calculated by Licensor without regard to the Licensee or the Product. Licensor has no obligation to take the needs of the Licensee or the owners of the Product into consideration in determining, composing or calculating the Index. Licensor is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Product to be issued or in the determination or calculation of the equation by which the Product is to be converted into cash. Licensor has no obligation or liability in connection with the administration, marketing or trading of the Product.

LICENSOR DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND LICENSOR SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. LICENSOR MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE PRODUCT, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN. LICENSOR MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL LICENSOR HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

ALPS Emerging Sector Dividend Dogs ETF

The ALPS Emerging Sector Dividend Dogs ETF (“Product”) is not sponsored, endorsed, sold or promoted by S-Network Global Indexes, Inc. (“Licensor”). Licensor makes no representation or warranty, express or implied, to the owners of the Product or any member of the public regarding the advisability of investing in securities generally or in the Product particularly or the ability of the S-Network® Emerging Sector Dividend Dogs Index (“Index”) to track the performance of the physical commodities market. Licensor’s only relationship to the Licensee is the licensing of certain service marks and trade names of Licensor and of the Index that is determined, composed and calculated by Licensor without regard to the Licensee or the Product. Licensor has no obligation to take the needs of the Licensee or the owners of the Product into consideration in determining, composing or calculating the Index. Licensor is not responsible for and has not participated in the determination of the timing of, prices at, or quantities of the Product to be issued or in the determination or calculation of the equation by which the Product is to be converted into cash. Licensor has no obligation or liability in connection with the administration, marketing or trading of the Product.

LICENSOR DOES NOT GUARANTEE THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEX OR ANY DATA INCLUDED THEREIN AND LICENSOR SHALL HAVE NO LIABILITY FOR ANY ERRORS, OMISSIONS, OR INTERRUPTIONS THEREIN. LICENSOR MAKES NO WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, OWNERS OF THE PRODUCT, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEX OR ANY DATA INCLUDED THEREIN. LICENSOR MAKES NO EXPRESS OR IMPLIED WARRANTIES, AND EXPRESSLY DISCLAIMS ALL WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE WITH RESPECT TO THE INDEX OR ANY DATA INCLUDED THEREIN. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL LICENSOR HAVE ANY LIABILITY FOR ANY SPECIAL, PUNITIVE, INDIRECT, OR CONSEQUENTIAL DAMAGES (INCLUDING LOST PROFITS), EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

 

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Table of Contents

 

 

SEMI-ANNUAL REPORT | May 31, 2015

 

   

 

This report has been prepared for shareholders of the ETFs described herein and

may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETFs.

 

 

   


Table of Contents

LOGO

May 31, 2015

 

 

LOGO

Sprott Gold Miners ETF (NYSE ARCA: SGDM)

Sprott Junior Gold Miners ETF (NYSE ARCA: SGDJ)

An ALPS Advisors Solution

 

 

 

LOGO


Table of Contents

table of

CONTENTS

 

Performance Overview

   

Disclosure of Fund Expenses

      5

Financial Statements

   

Schedule of Investments

   

Statements of Changes in Net Assets

   

 

www.alpsfunds.com


Table of Contents
Sprott Gold Miners ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

Sprott Gold Miners ETF (the “Fund”) employs a “passive management” – or indexing – investment approach designed to seek investment results that correspond (before fees and expenses) generally to the performance of the Sprott Zacks Gold Miners Index (the “Underlying Index”).

The Underlying Index was created by Zacks Index Services to provide a means of generally tracking the performance of gold and silver mining companies whose stocks are traded on major U.S. exchanges. The Underlying Index uses a transparent, rules-based methodology that is designed to identify 25 gold stocks with the highest beta† to the spot price of gold, with each stock’s weighting in the index adjusted based on its quarterly revenue growth on a year-over-year basis and the quality of its balance sheet, as measured by long-term debt to equity. The Underlying Index is rebalanced on a quarterly basis to incorporate the latest financial data into the screening process. The Underlying Index may also invest to a lesser degree in silver companies that meet the above criteria.

Performance (as of May 31, 2015)

 

                         6 Months                                             Since Inception^                     

Sprott Gold Miners ETF - NAV

   0.78%    -29.70%

Sprott Gold Miners ETF - Market Price*

   0.55%    -29.66%

Sprott Zacks Gold Miners Total Return Index

   1.29%    -29.20%

Total Expense Ratio (per the current prospectus) 0.57%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.855.215.1425.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

Beta is defined as a sensitivity measure based on regression against the spot gold price movement during the trailing 36 months.

 

^

The Fund Commencement date is July 15, 2014. Total return for a period of less than one year is not annualized.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Fund is new with limited operating history.

Sprott Zacks Gold Miners Total Return Index is comprised of approximately 25 stocks selected, based on investment and other criteria, from a universe of gold and silver mining companies whose stock is listed on a major U.S. exchange. The stocks are selected using a proprietary, quantitative rules-based methodology developed by Zacks Index Services. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Fund is concentrated in the gold and silver mining industry. As a result, the Fund will be sensitive to changes in, and its performance will depend to a greater extent on, the overall condition of the gold and silver mining industry. Also, gold and silver mining companies are highly dependent on the price of gold and silver bullion. These prices may fluctuate substantially over short periods of time so the Fund’s Share price may be more volatile than other types of investments.

Funds that emphasize investments in small-cap and mid-cap companies will generally experience greater price volatility.

Fund investing in foreign and emerging markets will also generally experience greater price volatility.

The Fund’s shares are not individually redeemable. Investors buy and sell shares of the Fund on a secondary market. Only market makers or “authorized participants” may trade directly with the Fund, typically in blocks of 50,000 shares.

The Sprott Gold Miners ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Sprott Gold Miners ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with Sprott or Zacks Index Services, a division of Zacks Investment Management.

 

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Table of Contents
Sprott Gold Miners ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Franco-Nevada Corp.

     12.47

Randgold Resources Ltd., ADR

     11.41

Newmont Mining Corp.

     11.35

Goldcorp, Inc.

     10.42

Royal Gold, Inc.

     4.60

Agnico Eagle Mines Ltd.

     4.51

Eldorado Gold Corp.

     4.39

Barrick Gold Corp.

     4.34

Yamana Gold, Inc.

     4.27

Gold Fields Ltd., Sponsored ADR

     3.52

Total % of Top 10 Holdings

             71.28

 

*

% of Total Investments.

Future holdings are subject to change.

Country Allocation* (as of May 31, 2015)

 

Canada

     63.14

United States

     16.94

Jersey

     11.41

South Africa

     8.51

Total

           100.00
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
Sprott Junior Gold Miners ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

Sprott Junior Gold Miners ETF (the “Fund”) employs a “passive management” – or indexing – investment approach designed to seek investment results that correspond (before fees and expenses) generally to the performance of the Sprott Zacks Junior Gold Miners Index (the “Underlying Index”).

The Underlying Index was created by Zacks Index Services to provide a means of generally tracking the performance of “junior” gold and silver mining companies whose stocks are traded on major U.S. or Canadian exchanges. Junior companies include early stage mining companies that are in the exploration stage only or that hold properties that might not ultimately produce gold or silver. The Underlying Index uses a transparent, rules-based methodology that is designed to identify between 30 to 40 junior gold stocks with market capitalization between $250 million and $2 billion. Excluding companies with market capitalization below $250 million aims to exclude very early stage exploration companies whose historical success rate is low. Each stock’s weighting in the Index is adjusted based on 2 company factors: 1) Revenue Growth and 2) Price Momentum. The Index is reconstituted on a semi-annual basis, in November and May, to incorporate the latest factor scores into the selection and weighting process. The Index can also invest to a lesser degree in junior silver companies that meet the above criteria.

Performance (as of May 31, 2015)

 

                                          Since Inception^                                     

Sprott Junior Gold Miners ETF - NAV

   12.94%

Sprott Junior Gold Miners ETF - Market Price*

   12.99%

Sprott Zacks Junior Gold Miners Total Return Index

   13.12%

Total Expense Ratio (per the current prospectus) 0.57%

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.855.215.1425.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

 

^

The Fund Commencement date is March 31, 2015. Total return for a period of less than one year is not annualized.

 

*

Market Price is based on the midpoint of the bid-ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

The Fund is new with limited operating history.

Sprott Zacks Junior Gold Miners Total Return Index is comprised of between 30 to 40 stocks selected, based on investment and other criteria, from a universe of gold and silver mining companies whose stocks are listed on a major U.S. or Canadian exchange. The stocks are selected using a proprietary, quantitative rules-based methodology developed by Zacks Index Services. Total return assumes reinvestment of any dividends and distributions realized during a given time period.

One cannot invest directly in an index. Index performance does not reflect fund performance.

The Fund is concentrated in the gold and silver mining industry. As a result, the Fund will be sensitive to changes in, and its performance will depend to a greater extent on, the overall condition of the gold and silver mining industry. Also, gold and silver mining companies are highly dependent on the price of gold and silver bullion. These prices may fluctuate substantially over short periods of time so the Fund’s Share price may be more volatile than other types of investments.

Funds that emphasize investments in small-cap and mid-cap companies will generally experience greater price volatility. Micro-cap stocks involve substantially greater risks of loss and price fluctuations because their earnings and revenues tend to be less predictable. These companies may be newly formed or in the early stages of development, with limited product lines, markets or financial resources and may lack management depth.

Funds investing in foreign and emerging markets will also generally experience greater price volatility.

The Fund’s shares are not individually redeemable. Investors buy and sell shares of the Fund on a secondary market. Only market makers or “authorized participants” may trade directly with the Fund, typically in blocks of 50,000 shares.

The Sprott Junior Gold Miners ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Sprott Junior Gold Miners ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with Sprott or Zacks Index Services, a division of Zacks Investment Management.

 

3  |  May 31, 2015


Table of Contents
Sprott Junior Gold Miners ETF     

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top 10 Holdings* (as of May 31, 2015)

 

Centerra Gold, Inc.

     8.04 %   

Hecla Mining Co.

     6.42 %   

B2Gold Corp.

     6.13 %   

Pan American Silver Corp.

     5.78 %   

New Gold, Inc.

     5.75 %   

Sibanye Gold Ltd., Sponsored ADR

     5.46 %   

AuRico Gold, Inc.

     5.14 %   

SEMAFO, Inc.

     4.94 %   

China Gold Intl. Res

     4.49 %   

Primero Mining Corp.

     3.71 %   

Total % of Top 10 Holdings

             55.86 %   

 

*

% of Total Investments.

Future holdings are subject to change.

Country Allocation* (as of May 31, 2015)

 

Canada

     80.09 %   

United States

     11.39 %   

South Africa

     7.99 %   

Bermuda

     0.53 %   

Total

           100.00 %   
 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Table of Contents
Sprott ETFs     
Disclosure of Fund Expenses    May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of a Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are intended to help you understand your ongoing costs (in dollars) of investing in a Fund and to compare these costs with the ongoing costs of investing in other funds. It is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on each Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in each Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

     

Beginning Account
Value

12/1/14

  

Ending Account
Value

5/31/15

         Expense    
Ratio(a)
 

Expenses Paid

During Period
    12/1/14 - 5/31/15(b)    

Sprott Gold Miners ETF

          

  Actual

   $1,000.00      $1,007.80        0.57%            $2.85

  Hypothetical (5% return before expenses)

   $1,000.00      $1,022.09        0.57%            $2.87

 

Sprott Junior Gold Miners ETF

          

  Actual(c)

   $1,000.00      $1,129.40        0.57%            $1.03

  Hypothetical (5% return before expenses)

   $1,000.00      $1,022.09        0.57%            $2.87

 

 

(a) 

Annualized, based on the Fund’s most recent fiscal half year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

(c) 

Actual expenses paid during the period are based on the commencement of operations date of March 31, 2015.

 

5  |  May 31, 2015


Table of Contents
Sprott Gold Miners ETF     
Schedule of Investments    May 31, 2015 (Unaudited)

 

Security Description         Shares     Value        

 

 

COMMON STOCKS (99.68%)

 

   

Gold Mining (95.04%)

 

   

Agnico Eagle Mines Ltd.

 

    241,552     $ 7,770,728    

AngloGold Ashanti Ltd., Sponsored ADR(a)

  

    517,763       4,960,170    

AuRico Gold, Inc.

 

    1,267,898       4,184,063    

Barrick Gold Corp.

 

    630,712       7,480,244    

Eldorado Gold Corp.

 

    1,568,115       7,573,996    

Franco-Nevada Corp.

 

    417,761       21,506,335    

Gold Fields Ltd., Sponsored ADR

 

    1,779,606       6,068,457    

Goldcorp, Inc.

 

    1,011,936       17,971,983    

IAMGOLD Corp.(a)

 

    1,843,910       3,743,137    

Kinross Gold Corp.(a)

 

    1,854,138       4,357,224    

New Gold, Inc.(a)

 

    1,198,792       3,812,159    

Newmont Mining Corp.

 

    718,397       19,569,134    

NOVAGOLD RESOURCES,
Inc.(a)

  

    932,395       3,813,496    

Pretium Resources, Inc.(a)

 

    602,109       3,570,506    

Primero Mining Corp.(a)

 

    1,152,025       4,746,343    

Randgold Resources Ltd., ADR

 

    272,245       19,664,256    

Royal Gold, Inc.

 

    122,344       7,924,221    

Sandstorm Gold Ltd.(a)

 

    1,329,278       4,413,203    

Sibanye Gold Ltd., Sponsored ADR

 

    514,212       3,650,905    

Yamana Gold, Inc.

 

    2,048,511       7,354,155    
     

 

 

 

Total Gold Mining

 

      164,134,715     
     

 

 

 

Silver Mining (4.64%)

 

   

Coeur Mining, Inc.(a)

 

    263,475       1,435,939    

Endeavour Silver Corp.(a)

 

    696,474       1,372,054    

First Majestic Silver Corp.(a)

 

    308,985       1,532,566    

Silver Standard Resources, Inc.(a)

 

    287,693       1,789,450    

Silver Wheaton Corp.

 

    98,331       1,875,172    
     

 

 

 

Total Silver Mining

 

      8,005,181    
     

 

 

 

TOTAL COMMON STOCKS

(Cost $192,183,268)

  

 

      172,139,896    
     

 

 

 
   

7 Day

Yield

    Shares     Value        

 

 

SHORT TERM INVESTMENTS (0.16%)

 

 

Dreyfus Treasury Prime Cash Management, Institutional Shares

    0.000% (b)       276,018       276,018    
     

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $276,018)

 

 

    276,018    
     

 

 

 

TOTAL INVESTMENTS (99.84%)

(Cost $192,459,286)

 

 

  $ 172,415,914    

NET OTHER ASSETS AND LIABILITIES (0.16%)

  

      280,118    
     

 

 

 

NET ASSETS (100.00%)

      $  172,696,032    
     

 

 

 
(a) 

Non-income producing security.

(b) 

Less than 0.0005%.

Common Abbreviations:

ADR - American Depositary Receipt.

Ltd. -   Limited.

See Notes to Financial Statements.

 

 

6  |  May 31, 2015


Table of Contents
Sprott Junior Gold Miners ETF     
Schedule of Investments    May 31, 2015 (Unaudited)

 

Security Description     Shares     Value        

 

 

COMMON STOCKS (99.87%)

  

   

Gold Mining (76.37%)

  

   

Alacer Gold Corp.(a)

  

    305,956      $ 696,249     

Asanko Gold, Inc.(a)

  

    75,298        124,124     

AuRico Gold, Inc.

  

    297,562        981,955     

B2Gold Corp.(a)

  

    691,002        1,172,414     

Centerra Gold, Inc.

  

    248,918        1,537,223     

China Gold International Resources Corp., Ltd.(a)

   

    433,650        857,815     

Continental Gold Ltd.(a)

  

    47,428        101,446     

Guyana Goldfields(a)

  

    55,572        164,893     

Harmony Gold Mining Co. Ltd., Sponsored ADR(a)

   

    326,894        483,803     

IAMGOLD Corp.(a)

  

    296,347        601,584     

Kirkland Lake Gold(a)

  

    86,231        450,015     

Klondex Mines Ltd.(a)

  

    133,203        354,537     

Lake Shore Gold(a)

  

    470,447        457,736     

New Gold, Inc.(a)

  

    345,909        1,099,991     

NOVAGOLD RESOURCES, Inc.(a)

  

    120,965        494,747     

OceanaGold Corp.

  

    226,206        549,326     

Osisko Gold Royalties Ltd.

  

    35,873        520,095     

Premier Gold Mines(a)

  

    61,302        119,292     

Pretium Resources, Inc.(a)

  

    49,602        294,140     

Primero Mining Corp.(a)

  

    172,273        709,765     

Rubicon Minerals(a)

  

    148,027        162,830     

Sandstorm Gold Ltd.(a)

  

    86,754        288,023     

Seabridge Gold, Inc.(a)

  

    19,345        118,778     

SEMAFO, Inc.(a)

  

    318,346        944,594     

Sibanye Gold Ltd., Sponsored ADR

  

    146,870        1,042,777     

Torex Gold Resources(a)

  

    306,521        273,592     
     

 

 

 

Total Gold Mining

            14,601,744     
     

 

 

 

Silver Mining (23.50%)

     

Coeur Mining, Inc.(a)

  

    105,523        575,100     

First Majestic Silver Corp.(a)

  

    93,197        462,257     

Fortuna Silver Mines, Inc.(a)

  

    99,389        378,672     

Hecla Mining Co.

  

    394,797        1,227,819     

MAG Silver Corp.(a)

  

    26,440        197,513     

Pan American Silver Corp.

  

    116,999        1,104,471     

Silver Standard Resources, Inc.(a)

  

    88,042        547,621     
     

 

 

 

Total Silver Mining

  

      4,493,453     
     

 

 

 

TOTAL COMMON STOCKS

(Cost $18,890,414)

  

  

      19,095,197     
     

 

 

 
   

7 Day

Yield

    Shares     Value        

 

 

SHORT TERM INVESTMENTS (0.10%)

  

 

Dreyfus Treasury Prime Cash Management, Institutional Shares

    0.000% (b)        19,740        19,740     
     

 

 

 

TOTAL SHORT TERM INVESTMENTS

(Cost $19,740)

  

  

    19,740     
     

 

 

 
     Value        

 

 

TOTAL INVESTMENTS (99.97%)

(Cost $18,910,154)

   $ 19,114,937     

NET OTHER ASSETS AND LIABILITIES (0.03%)

     4,753     
  

 

 

 

NET ASSETS (100.00%)

   $   19,119,690     
  

 

 

 

 

(a) 

Non-income producing security.

(b) 

Less than 0.0005%.

Common Abbreviations:

ADR - American Depositary Receipt.

Ltd. -  Limited.

See Notes to Financial Statements.

 

 

7  |  May 31, 2015


Table of Contents
Sprott ETFs     

 

Statements of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

           Sprott Gold Miners      
ETF
           Sprott Junior Gold      
Miners ETF
 

 

 

ASSETS:

     

Investments, at value

   $ 172,415,914             $ 19,114,937         

Foreign currency, at value (Cost $– and $3,188)

     –               3,188         

Foreign tax reclaims

     63,685               –         

Dividends receivable

     304,202               12,664         

 

 

Total Assets

     172,783,801               19,130,789         

 

 

LIABILITIES:

     

Payable for investments purchased

     –               2,921         

Payable to adviser

     87,686               8,178         

Payable to custodian for overdraft

     83               –         

 

 

Total Liabilities

     87,769               11,099         

 

 

NET ASSETS

   $ 172,696,032             $ 19,119,690         

 

 

 

 

NET ASSETS CONSIST OF:

     

Paid-in capital

   $ 205,549,530             $ 18,365,112         

Accumulated net investment income

     303,472               5,619         

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

     (13,113,598)               544,274         

Net unrealized appreciation/(depreciation) on investments and translation of assets and liabilities denominated in foreign currencies

     (20,043,372)               204,685         

 

 

NET ASSETS

   $ 172,696,032             $ 19,119,690         

 

 

 

 

INVESTMENTS, AT COST

   $ 192,459,286             $ 18,910,154         

PRICING OF SHARES

     

Net Assets

   $ 172,696,032             $ 19,119,690         

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     9,850,002               700,002         

Net Asset Value, offering and redemption price per share

   $ 17.53             $ 27.31         

 

See Notes to Financial Statements.

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Sprott ETFs     

 

Statements of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

 

         Sprott Gold Miners                    Sprott Junior Gold        
         ETF                    Miners ETF(a)        

 

 

INVESTMENT INCOME:

         

Dividends(b)

  $      1,021,148            $      16,868         

 

 

Total Investment Income

       1,021,148                 16,868         

 

 

EXPENSES:

         

Investment adviser fees

       492,672                 11,249         

 

 

Total Expense

       492,672                 11,249         

 

 

NET INVESTMENT INCOME

       528,476                 5,619         

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

         

Net realized gain/(loss) on investments

       (9,248,637)                 537,593         

Net realized gain on foreign currency transactions

       –                 6,681         

Net change in unrealized appreciation/(depreciation) on investments

       (6,292,701)                 204,783         

Net change in unrealized depreciation on translation of assets and liabilities denominated in foreign currencies

       –                 (98)         

 

 

NET REALIZED AND UNREALIZED GAIN/LOSS ON INVESTMENTS

       (15,541,338)                 748,959         

 

 

NET INCREASE/(DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

  $                (15,012,862)            $                        754,578         

 

 

 

(a) 

The Sprott Junior Gold Miners ETF commenced operations on March 31, 2015.

(b) 

Net of foreign tax withholding in the amounts of $149,830 and $2,692 respectively.

 

See Notes to Financial Statements.

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Sprott Gold Miners ETF     

 

Statements of Changes in Net Assets

  

 

     For the Six
Months Ended
May 31, 2015
(Unaudited)
    

For the Period  
July 15, 2014  
(Commencement  
of Operations) to  
November 30,  

2014  

 

 

 

OPERATIONS:

     

Net investment income

   $ 528,476           $ 51,960        

Net realized loss on investments

     (9,248,637)             (3,825,706)        

Net change in unrealized depreciation on investments

     (6,292,701)             (13,750,671)        

 

 

Net decrease in net assets resulting from operations

     (15,012,862)             (17,524,417)        

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

     

From net investment income

     (277,011)             –        

 

 

Total distributions

     (277,011)             –        

 

 

CAPITAL SHARE TRANSACTIONS:

     

Proceeds from sale of shares

     147,727,516             108,978,762        

Cost of shares redeemed

     (48,697,233)             (2,498,723)        

 

 

Net increase from capital share transactions

     99,030,283             106,480,039        

 

 

Net increase in net assets

     83,740,410             88,955,622        

NET ASSETS:

     

Beginning of period

     88,955,622             –        

 

 

End of period *

   $      172,696,032           $         88,955,622        

 

 

*Including accumulated net investment income of:

   $ 303,472           $ 52,007        

OTHER INFORMATION:

     

CAPITAL SHARE TRANSACTIONS:

     

Beginning shares

     5,100,002             –        

Shares sold

     7,500,000             5,200,002        

Shares redeemed

     (2,750,000)             (100,000)        

 

 

Shares outstanding, end of period

     9,850,002             5,100,002        

 

 

 

See Notes to Financial Statements.

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Table of Contents
Sprott Junior Gold Miners ETF     

 

Statement of Changes in Net Assets

  

 

     For the Period
March 31, 2015
(Commencement
of Operations) to
May 31, 2015
(Unaudited)
 

 

 

OPERATIONS:

  

Net investment income

   $ 5,619        

Net realized gain on investments and foreign currency transactions

     544,274        

Net change in unrealized appreciation on investments and translation of assets and liabilities denominated in foreign currencies

     204,685        

 

 

Net increase in net assets resulting from operations

     754,578        

 

 

CAPITAL SHARE TRANSACTIONS:

  

Proceeds from sale of shares

     22,631,510        

Cost of shares redeemed

     (4,266,398)        

 

 

Net increase from capital share transactions

     18,365,112        

 

 

Net increase in net assets

     19,119,690        

NET ASSETS:

  

Beginning of period

     –        

 

 

End of period *

   $         19,119,690        

 

 

*Including accumulated net investment income of:

   $ 5,619        

OTHER INFORMATION:

  

CAPITAL SHARE TRANSACTIONS:

  

Beginning shares

     –        

Shares sold

     850,002        

Shares redeemed

     (150,000)        

 

 

Shares outstanding, end of period

     700,002        

 

 

 

See Notes to Financial Statements.

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Table of Contents
Sprott Gold Miners ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

    For the
Six Months Ended
May 31, 2015
(Unaudited)
   

For the Period
July 15, 2014
(Commencement
of Operations) to
November 30,

2014

 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $                     17.44            $                         25.00          

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

   

Net investment income (a)

    0.06              0.02          

Net realized and unrealized gain/(loss)

    0.08              (7.58)          

 

 

Total from investment operations

    0.14              (7.56)          

 

 

DISTRIBUTIONS:

   

From net investment income

    (0.05)              –          

 

 

Total distributions

    (0.05)              –          

 

 

Net increase/(decrease) in net asset value

    0.09              (7.56)          

 

 

NET ASSET VALUE, END OF PERIOD

  $ 17.53            $ 17.44          

 

 

TOTAL RETURN(b)

    0.78%            (30.24)%        

RATIOS/SUPPLEMENTAL DATA:

   

Net assets, end of period (000s)

  $ 172,696            $ 88,956          

Ratio of expenses to average net assets

    0.57%(c)             0.57%(c)       

Ratio of net investment income to average net assets

    0.61%(c)             0.31%(c)       

Portfolio turnover rate(d)

    41%              36%        

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d) 

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Table of Contents
Sprott Junior Gold Miners ETF     

 

Financial Highlights

   For a Share Outstanding Throughout the Period Presented

 

     For the Period  
March 31, 2015  
(Commencement  
of Operations) to  
May 31, 2015  
(Unaudited)  
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

   $                 24.18       

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

  

Net investment income (a)

     0.01       

Net realized and unrealized gain

     3.12       

 

 

Total from investment operations

     3.13       

 

 

Net increase in net asset value

     3.13       

 

 

NET ASSET VALUE, END OF PERIOD

   $ 27.31       

 

 

TOTAL RETURN(b)

     12.94%     

RATIOS/SUPPLEMENTAL DATA:

  

Net assets, end of period (000s)

   $ 19,120       

Ratio of expenses to average net assets

     0.57%(c)     

Ratio of net investment income to average net assets

     0.28%(c)     

Portfolio turnover rate(d)

     27%       

 

(a) 

Based on average shares outstanding during the period.

(b) 

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c) 

Annualized.

(d) 

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Table of Contents
Sprott ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the Sprott Gold Miners ETF and the Sprott Junior Gold Miners ETF (each a “Fund” and collectively, the “Funds”).

The investment objective of the Sprott Gold Miners ETF is to seek investment results that correspond (before fees and expenses) generally to the performance of its underlying index, the Sprott Zacks Gold Miners Index (the “Underlying Index”). The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Sprott Gold Miners ETF is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund. The Sprott Gold Miners ETF commenced operations on July 15, 2014.

The investment objective of the Sprott Junior Gold Miners ETF is to seek investment results that correspond (before fees and expenses) generally to the performance of its underlying index, the Sprott Zacks Junior Gold Miners Index (the “Underlying Index”). The investment advisor uses a “passive” or indexing approach to try to achieve the Fund’s investment objective. The Sprott Junior Gold Miners ETF is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund. The Sprott Junior Gold Miners ETF commenced operations on March 31, 2015.

The Funds’ Shares (“Shares”) are listed on the New York Stock Exchange (“NYSE”) Arca. Each Fund issues and redeems Shares, at net asset value (“NAV”) in blocks of 50,000 Shares, each of which is called a “Creation Unit”. Creation Units are issued and redeemed principally in-kind for securities included in a specified index. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. Each Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

Each Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and ask prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the last quoted sale price in such market.

The Funds’ investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Funds may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally

 

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Table of Contents
Sprott ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

B. Fair Value Measurements

Each Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

Valuation techniques used to value the Funds’ investments by major category are as follows:

Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of each Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1

 

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2

 

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3

 

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value the Funds’ investments at May 31, 2015:

 

Sprott Gold Miners ETF

 

                                           

Investments in

Securities at Value

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

 

 

Common Stocks*

  $      172,139,896      $      –        $           $                  172,139,896     

Short Term Investments

       276,018           –                       276,018     

 

 

TOTAL

  $      172,415,914      $      –        $           $      172,415,914     

 

 

 

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Sprott ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Sprott Junior Gold Miners ETF

 

                 

Investments in

Securities at Value

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

 

 

Common Stocks*

  $      19,095,197      $      –        $           $                  19,095,197     

Short Term Investments

       19,740           –                       19,740     

 

 

TOTAL

  $      19,114,937      $      –        $           $      19,114,937     

 

 

 

*

  For a detailed sector breakdown, see the accompanying Schedule of Investments.

The Funds recognize transfers between levels as of the end of the period. For the six months or period ending May 31, 2015, the Funds did not have any transfers between Level 1 and Level 2 securities. The Funds did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Gold and Silver Mining Industry Risk

The Underlying Indexes are concentrated in the gold and silver mining industry. As a result, the Funds will be sensitive to changes in, and their performance will depend to a greater extent on, the overall condition of the gold and silver mining industry. Competitive pressures may have a significant effect on the financial condition of such companies in the gold and silver mining industry. Also, gold and silver mining companies are highly dependent on the price of gold and silver bullion. These prices may fluctuate substantially over short periods of time so a Fund’s Share price may be more volatile than other types of investments. In times of significant inflation or great economic uncertainty, gold, silver and other precious metals may outperform traditional investments such as bonds and stocks. However, in times of stable economic growth, traditional equity and debt investments could offer greater appreciation potential and the value of gold, silver and other precious metals may be adversely affected, which could in turn affect a Fund’s returns. The production and sale of precious metals by governments or central banks or other large holders can be affected by various economic, financial, social and political factors, which may be unpredictable and may have a significant impact on the supply and prices of precious metals. Economic and political conditions in those countries that are the largest producers of gold may have a direct effect on the production and marketing of gold and on sales of central bank gold holdings. Some gold and precious metals mining operation companies may hedge their exposure to falls in gold and precious metals prices by selling forward future production, which may result in lower returns during periods when the price of gold and precious metals increases. The gold and precious metals industry can be significantly affected by events relating to international political developments, the success of exploration projects, commodity prices and tax and government regulations. If a natural disaster or other event with a significant economic impact occurs in a region where the companies in which each Fund invests operate, such disaster or event could negatively affect the profitability of such companies and, in turn, the Funds’ investment in them.

D. Foreign Investment Risk

A Fund’s investment in non-U.S. issuers, may involve unique risks compared to investing in securities of U.S. issuers, including, among others, greater market volatility than U.S. securities and less complete financial information than for U.S. issuers. In addition, adverse political, economic or social developments could undermine the value of a Fund’s investments or prevent a Fund from realizing the full value of its investments. Financial reporting standards for companies based in foreign markets differ from those in the United States. Finally, the value of the currency of the country in which a Fund has invested could decline relative to the value of the U.S. dollar, which may affect the value of the investment to U.S. investors. The Funds will not enter into transactions to hedge against declines in the value of a Fund’s assets that are denominated in a foreign currency.

Countries with emerging markets may have relatively unstable governments, may present the risks of nationalization of businesses, restrictions on foreign ownership and prohibitions on the repatriation of assets. The economies of emerging markets countries also may be based on only a few industries, making them more vulnerable to changes in local or global trade conditions and more sensitive to debt burdens or inflation rates.

E. Foreign Currency Translation

The books and records of the Funds are maintained in U.S. dollars. Investment valuations and other assets and liabilities initially expressed in foreign currencies are converted each business day into U.S. dollars based upon current exchange rates. The portion of realized and unrealized gains or losses on investments due to fluctuations in foreign currency exchange rates is not separately disclosed and is included in realized and unrealized gains or losses on investments, when applicable.

 

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Sprott ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

F. Concentration Risk

Each Fund seeks to track its respective Underlying Index, which itself may have concentration in certain regions, economies, countries, markets, industries or sectors. Based on the current composition of the Underlying Indexes, each Fund will be concentrated in the gold and silver mining industry. Underperformance or increased risk in such concentrated areas may result in underperformance or increased risk in each Fund.

G. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

H. Dividends and Distributions to Shareholders

Dividends from net investment income for each Fund, if any, are declared and paid annually or as the Board may determine from time to time. Distributions of net realized capital gains earned by the Funds, if any, are distributed at least annually.

I. Federal Tax and Tax Basis Information

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Funds’ capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

As of the period ended November 30, 2014 the Sprott Gold Miners ETF paid no distributions.

At November 30, 2014, the Sprott Gold Miners ETF had available for tax purposes unused capital loss carryforwards as follows:

 

      Short-Term             Long-Term      

 

  $               2,010,382        $                             –     

As of May 31, 2015, the costs of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

          Sprott Gold Miners ETF         Sprott Junior Gold Miners 
ETF 
 

 

 

Gross appreciation (excess of value over tax cost)

    $ –             $ 644,495         

Gross depreciation (excess of tax cost over value)

      (23,808,498)              (531,677)         

 

 

Net unrealized appreciation (depreciation)

      (23,808,498)              112,818         

 

 

Cost of investments for income tax purposes

    $ 196,224,412             $ 19,002,119         

 

 

The differences between book-basis and tax-basis are due to the deferral of losses from wash sales and Passive Foreign Investment Company (“PFIC”) adjustments.

J. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as each Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. Each Fund evaluates tax positions taken (or expected to be taken) in the course of preparing the Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the period ended May 31, 2015, the Funds did not have a liability for any unrecognized tax benefits. Each Fund files U.S. federal, state, and local tax returns as required. Each Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Being that the Sprott Gold Miners ETF commenced operations on July 15, 2014, and the Sprott Junior Gold Miners ETF commenced operations on March 31, 2015, no tax returns have been filed as of the date of this report.

 

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Sprott ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

3. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as the Funds’ investment adviser pursuant to an advisory agreement with the Trust on behalf of each Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, each Fund pays the Adviser a unitary fee for the services and facilities it provides, payable on a monthly basis as a percentage of each Fund’s average daily net assets as set forth below. From time to time, the Adviser may waive all or a portion of its fee.

 

Fund    Advisory Fee       

 

Sprott Gold Miners ETF

   0.57%     

Sprott Junior Gold Miners ETF

   0.57%     

Out of the unitary management fee, the Adviser pays substantially all expenses for each Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses, such as litigation, not incurred in the ordinary course of each Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of the Funds’ expenses and to compensate the Adviser for providing services for the Funds.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator to the Funds.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

4. PURCHASES AND SALES OF SECURITIES

 

For the period or six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

Fund    Purchases      Sales       

 

Sprott Gold Miners ETF

   $   68,751,294       $   68,997,504      

Sprott Junior Gold Miners ETF

     4,306,664          3,118,348       

For the period or six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales were as follows:

 

Fund    Purchases      Sales       

 

Sprott Gold Miners ETF

   $   147,739,404       $   48,735,230      

Sprott Junior Gold Miners ETF

     22,628,128           5,463,606       

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

5. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by each Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Funds. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of each Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

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Sprott ETFs     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

Sprott Gold Miners ETF designates the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

     Qualified Dividend Income    Dividend Received Deduction

 

Sprott Gold Miners ETF

   36.84%    6.54%

In early 2015, if applicable, shareholders of record received this information for the distribution paid to them by Sprott Gold Miners ETF during the calendar year 2014 via Form 1099. Each Fund will notify shareholders in early 2016 of amounts paid to them by a Fund, if any, during the calendar year 2015.

LICENSING AGREEMENTS

 

Sprott Gold Miners ETF

Zacks Investment Management, Inc. (the “Licensor”) has entered into a license agreement with Sprott Asset Management LP (“Sprott”) to use the “Sprott” name and certain related intellectual property in connection with the underlying index, the Sprott Zacks Gold Miners Index (the “Underlying Index”) (the “Sprott License Agreement”). Pursuant to the Sprott License Agreement, Sprott in turn has entered into a sublicense agreement with ALPS Advisers, Inc. to use the Underlying Index (the “Sublicense Agreement”) in connection with the Sprott Gold Miners ETF (the “Product”).

The following disclosure relates to the Licensor and Sprott:

The Product(s) is not sponsored, endorsed, sold or promoted by ZACKS INVESTMENT MANAGEMENT, INC. (“Licensor”) Licensor makes no representation or warranty, express or implied, regarding the advisability of investing in securities generally or in the Product(s) particularly or the ability of the Index to track general market performance. Licensor’s only relationship to the Licensee is the licensing of the Index which is determined and composed by Licensor without regard to the Licensee or the owners of the Product(s). Licensor has no obligation to take the needs of the Licensee or the owners of the Product(s) into consideration in determining or composing the Index. Licensor shall not be liable to any person for any error in the Index nor shall it be under any obligation to advise any person of any error therein.

The Fund is not sponsored by Sprott. Sprott makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities or commodities generally or in the Fund particularly and does not guarantee the quality, accuracy or completeness of the Underlying Index or any Underlying Index data included herein or derived therefrom and assume no liability in connection with their use. The Underlying Index is determined and composed without regard to the Adviser or the Fund. Sprott has no obligation to take the needs of the Adviser, the Fund or the shareholders of the Fund into consideration in connection with the foregoing. Sprott is not responsible for and has not participated in the determination of pricing or the timing of the issuance or sale of the Shares of the Fund or in the determination or calculation of the NAV of the Fund. Sprott has no obligation or liability in connection with the administration or trading of the Fund.

Sprott does not guarantee the accuracy and/or completeness of the Underlying Index or any data included therein, and Sprott shall have no liability for any errors, omissions, or interruptions therein. Sprott makes no warranty, express or implied, as to results to be obtained by the Adviser, the Fund, Fund shareholders or any other person or entity from the use of the Underlying Index or any data included therein. Sprott makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the

 

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Sprott ETFs     

 

Additional Information

   May 31, 2015 (Unaudited)

 

Underlying Index or any data included therein. Without limiting any of the foregoing, in no event shall Sprott have any liability for any special, punitive, indirect, or consequential damages (including lost profits) arising out of matters relating to the use of the Underlying Index, even if notified of the possibility of such damages.

Sprott Junior Gold Miners ETF

Zacks Investment Management, Inc. (the “Licensor”) has entered into a license agreement with Sprott Asset Management LP (“Sprott”) to use the “Sprott” name and certain related intellectual property in connection with the underlying index, the Sprott Zacks Junior Gold Miners Index (the “Underlying Index”) (the “Sprott License Agreement”). Pursuant to the Sprott License Agreement, Sprott in turn has entered into a sublicense agreement with ALPS Advisers, Inc. to use the Underlying Index (the “Sublicense Agreement”) in connection with the Sprott Junior Gold Miners ETF (the “Product”).

The following disclosure relates to the Licensor and Sprott:

The Product(s) is not sponsored, endorsed, sold or promoted by ZACKS INVESTMENT MANAGEMENT, INC. (“Licensor”) Licensor makes no representation or warranty, express or implied, regarding the advisability of investing in securities generally or in the Product(s) particularly or the ability of the Index to track general market performance. Licensor’s only relationship to the Licensee is the licensing of the Index which is determined and composed by Licensor without regard to the Licensee or the owners of the Product(s). Licensor has no obligation to take the needs of the Licensee or the owners of the Product(s) into consideration in determining or composing the Index. Licensor shall not be liable to any person for any error in the Index nor shall it be under any obligation to advise any person of any error therein.

The Fund is not sponsored by Sprott. Sprott makes no representation or warranty, express or implied, to the owners of the Fund or any member of the public regarding the advisability of investing in securities or commodities generally or in the Fund particularly and does not guarantee the quality, accuracy or completeness of the Underlying Index or any Underlying Index data included herein or derived therefrom and assume no liability in connection with their use. The Underlying Index is determined and composed without regard to the Adviser or the Fund. Sprott has no obligation to take the needs of the Adviser, the Fund or the shareholders of the Fund into consideration in connection with the foregoing. Sprott is not responsible for and has not participated in the determination of pricing or the timing of the issuance or sale of the Shares of the Fund or in the determination or calculation of the NAV of the Fund. Sprott has no obligation or liability in connection with the administration or trading of the Fund.

Sprott does not guarantee the accuracy and/or completeness of the Underlying Index or any data included therein, and Sprott shall have no liability for any errors, omissions, or interruptions therein. Sprott makes no warranty, express or implied, as to results to be obtained by the Adviser, the Fund, Fund shareholders or any other person or entity from the use of the Underlying Index or any data included therein. Sprott makes no express or implied warranties, and expressly disclaims all warranties of merchantability or fitness for a particular purpose or use with respect to the Underlying Index or any data included therein. Without limiting any of the foregoing, in no event shall Sprott have any liability for any special, punitive, indirect, or consequential damages (including lost profits) arising out of matters relating to the use of the Underlying Index, even if notified of the possibility of such damages.

 

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Sprott ETFs     

 

Board Considerations Regarding Approval of Investment Advisory Agreement

  

 

May 31, 2015 (Unaudited)

 

At an in-person meeting held on March 9, 2015 (the “Meeting”), the Board of Trustees of the Trust (the “Board”), including the Trustees who are not “interested persons” of the Trust within the meaning of the 1940 Act, as amended (the “1940 Act”) (the “Independent Trustees”), evaluated a proposal to approve the Advisory Agreement (the “SGDJ ETF Advisory Agreement”) between the Trust and ALPS Advisors, Inc. (the “Adviser”) with respect to the ALPS Sprott Junior Gold Miners ETF (the “SGDJ ETF”). The Independent Trustees also met separately to consider the SGDJ ETF Advisory Agreement.

In evaluating the SGDJ ETF Advisory Agreement, the Independent Trustees considered various factors, including (i) the nature, extent and quality of the services expected to be provided by AAI with respect to the SGDJ ETF under the SGDJ ETF Advisory Agreement, as applicable, (ii) the advisory fees and other expenses proposed to be paid by the SGDJ ETF compared to those of similar funds managed by other investment advisers (ii) the expected profitability to AAI of its proposed advisory relationship with the SGDJ ETF and reasonableness of compensation to AAI; (iii) the extent to which economies of scale would be realized if and as the SGDJ ETF assets increase and whether the fee level in the SGDJ ETF Advisory Agreement reflects these economies of scale; and (iv) any additional benefits and other considerations.

With respect to the nature, extent and quality of the services to be provided by AAI under the SGDJ ETF Advisory Agreement, the Independent Trustees considered and reviewed information concerning the services proposed to be provided under the SGDJ ETF Advisory Agreements, the proposed investment parameters of the index for SGDJ, financial information regarding AAI, its parent company, information describing AAI’s current organizations and the background and experience of the persons who would be responsible for the day-to-day management of the SGDJ ETF, the anticipated financial support of the SGDJ ETF, and the nature and quality of services provided to other ETFs, open-end and closed-end funds by AAI. Based upon their review, the Independent Trustees concluded that AAI was qualified to oversee the services to be provided by other service providers and that the services to be provided by AAI to the SGDJ ETF, as applicable, are expected to be satisfactory.

With respect to the costs of services to be provided and profits to be realized by AAI, the Independent Trustees considered the resources involved in managing the SGDJ ETF as well as the fact that AAI agreed to pay all of the SGDJ ETF’s expenses (except for interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the SGDJ ETF’s business) out of the unitary advisory fee. Based on its review, the Independent Trustees concluded that the expected profitability of the SGDJ ETF to AAI was not unreasonable.

The Independent Trustees also reviewed comparative fee and expense data provided by Strategic Insight regarding the SGDJ ETF. The Independent Trustees noted the services to be provided by AAI for the annual advisory fee of 0.57% of the average daily net assets for SGDJ. The Independent Trustees also considered that the advisory fee was a unitary one and that, as set forth above, AAI had agreed to pay all of the SGDJ ETF’s expenses (except for interest expenses, marketing fees, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses such as litigation and other expenses not incurred in the ordinary course of the SGDJ ETF’s business) out of the unitary fee. The Independent Trustees considered that, taking into account the impact of the SGDJ ETF’s unitary advisory fee, the SGDJ ETF’s expense ratios were lower than the median of its Strategic Insight peer group. Based on the foregoing and the other information available to them, the Independent Trustees concluded that the advisory fees for the SGDJ ETF were reasonable under the circumstances and in light of the quality of services provided.

The Independent Trustees also considered other benefits that may be realized by AAI from its relationship with the SGDJ ETF and concluded that the advisory fees were reasonable taking into account such benefits.

The Independent Trustees considered the extent to which economies of scale would be realized as the SGDJ ETF grows and whether fee levels reflect a reasonable sharing of such economies of scale for the benefit of SGDJ ETF’s investors. Because the SGDJ ETF is newly organized, the Independent Trustees reviewed the SGDJ ETF proposed unitary advisory fee and anticipated expenses and determined to review economies of scale in the future when the SGDJ ETF had attracted assets.

In voting to approve the SGDJ ETF Advisory Agreement, the Independent Trustees, concluded that the terms of the SGDJ ETF Advisory Agreement are reasonable and fair in light of the services to be performed, the fees paid by certain other funds, expenses to be incurred and such other matters as the Independent Trustees considered relevant in the exercise of their reasonable business judgment, The Independent Trustees did not identify any single factor or group of factors as all important or controlling and considered all factors together.

 

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SEMI-ANNUAL REPORT  |  May 31, 2015

 

 

 

This report has been prepared for shareholders of the ETFs described herein and

may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETFs.

 

 


Table of Contents
LOGO   

 

 

 

SEMI-ANNUAL REPORT

 

Janus Velocity Tail Risk Hedged Large Cap ETF  |  TRSK

 

Janus Velocity Volatility Hedged Large Cap ETF  |  SPXH

 

 

May 31, 2015

 

 

LOGO


Table of Contents
  table of   
  CONTENTS   

Performance Overview

        1   

Disclosure of Fund Expenses

     

 

5

  

Schedule of Investments

        6   

Statements of Assets & Liabilities

        8   

Statements of Operations

        9   

Statements of Changes In Net Assets

        10   

Financial Highlights

        11   

Notes to Financial Statements

        13   

Additional Information

        21   

 

www.alpsfunds.com


Table of Contents
Janus Velocity Tail Risk Hedged Large Cap ETF

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The Janus Velocity Tail Risk Hedged Large Cap ETF (“Exchange Traded Fund” or “ETF”) seeks to provide investment results that correspond generally, before fees and expenses, to the performance of the VelocityShares Tail Risk Hedged Large Cap Index (the “Underlying Index”). The Underlying Index is an index comprised of three large capitalization equity ETFs and two volatility related ETFs (“The Underlying Index ETFs”). The ETF will seek to achieve its investment objective by investing at least 80% of its total assets in Underlying Index ETFs. The ETF also intends to invest 15%, but may invest up to 20%, of its assets in swap agreements or other derivatives instead of investing directly in certain Underlying Index ETFs.

Performance (as of May 31, 2015)

 

         6 Months             1 Year           Since Inception^    

Janus Velocity Tail Risk Hedged Large Cap ETF - NAV

  0.01%   4.82%     9.06%

Janus Velocity Tail Risk Hedged Large Cap ETF - Market Price*

  0.04%   4.74%     9.06%

VelocityShares Tail Risk Hedged Large Cap Index

  0.40%   5.36%     9.64%

Total Expense Ratio (per the current prospectus) 0.71%.

 

^

The Fund commenced operations on June 21, 2013.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.877.583.5624.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

VelocityShares Tail Risk Hedged Large Cap Index: reflects the performance of a portfolio providing a target exposure of 85% to a large cap equity portfolio and a target exposure of 15% to a volatility strategy designed to hedge tail risk in the S&P 500®.

One cannot invest directly in an index. Index performance does not reflect fund performance.

“VelocityShares” and the VelocityShares logo are trademarks of VelocityShares Index & Calculation Services, a division of VelocityShares, LLC.

The Janus Velocity Tail Risk Hedged ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Janus Velocity Tail Risk Hedged ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with VelocityShares.

 

1  |  May 31, 2015


Table of Contents
Janus Velocity Tail Risk Hedged Large Cap ETF

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top Holdings* (as of May 31, 2015)

 

iShares® Core S&P 500® ETF

    33.34

Vanguard® S&P 500® ETF

    33.33

SPDR® S&P 500® ETF

    33.33

Total % of Top Holdings

          100.00

 

* % of Total Investments.
 

Future holdings are subject to change.

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

2  |  May 31, 2015


Table of Contents
Janus Velocity Volatility Hedged Large Cap ETF

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Investment Objective

The Janus Velocity Volatility Hedged Large Cap ETF (“Exchange Traded Fund” or “ETF”) seeks to provide investment results that correspond generally, before fees and expenses, to the performance of the VelocityShares Volatility Hedged Large Cap Index (the “Underlying Index”). The Underlying Index is an index comprised of three large capitalization equity ETFs and two volatility related ETFs (“The Underlying Index ETFs”). The ETF will seek to achieve its investment objective by investing at least 80 % of its total assets in Underlying Index ETFs. The ETF also intends to invest 15%, but may invest up to 20%, of its assets in swap agreements or other derivatives instead of investing directly in certain Underlying Index ETFs.

Performance (as of May 31, 2015)

 

          6 Months                1 Year              Since Inception^    

Janus Velocity Volatility Hedged Large Cap ETF - NAV

       1.39%               6.95%             12.66%    

Janus Velocity Volatility Hedged Large Cap ETF - Market Price*

       1.45%               6.84%             12.66%    

VelocityShares Volatility Hedged Large Cap Index

       1.71%               7.48%             13.27%    

Total Expense Ratio (per the current prospectus) 0.71%.

 

^

The Fund commenced operations on June 21, 2013.

 

*

Market Price is based on the midpoint of the bid/ask spread at 4 p.m. ET and does not represent the returns an investor would receive if shares were traded at other times.

Performance data quoted represents past performance. Past performance does not guarantee future results. Investment return and principal value of an investment will fluctuate so that an investor’s shares, when sold or redeemed, may be worth more or less than the original cost. Current performance data may be higher or lower than actual data quoted. For the most current month-end performance data please visit www.alpsfunds.com or call 1.877.583.5624.

NAV is an exchange-traded fund’s per-share value. The per-share dollar amount of the fund is derived by dividing the total value of all the securities in its portfolio, less any liabilities, by the number of fund shares outstanding. Market Price is the price at which a share can currently be traded in the market. Information detailing the number of days the Market Price of the Fund was greater than the Fund’s NAV and the number of days it was less than the Fund’s NAV can be obtained at www.alpsfunds.com.

VelocityShares Volatility Hedged Large Cap Index: reflects the performance of a portfolio providing a target exposure of 85% to a large cap equity portfolio and a target exposure of 15% to a volatility strategy designed to hedge volatility risk in the S&P 500® .

One cannot invest directly in an index. Index performance does not reflect fund performance.

“VelocityShares” and the VelocityShares logo are trademarks of VelocityShares Index & Calculation Services, a division of VelocityShares, LLC.

The Janus Velocity Volatility Hedged ETF is not suitable for all investors. Subject to investment risks, including possible loss of the principal amount invested.

ALPS Portfolio Solutions Distributor, Inc. is the Distributor for the Janus Velocity Volatility Hedged ETF.

ALPS Portfolio Solutions Distributor, Inc. is not affiliated with VelocityShares.

 

3  |  May 31, 2015


Table of Contents
Janus Velocity Volatility Hedged Large Cap ETF

 

Performance Overview

   May 31, 2015 (Unaudited)

 

Top Holdings* (as of May 31, 2015)

 

iShares® Core S&P 500® ETF

    33.34

Vanguard® S&P 500® ETF

    33.33

SPDR® S&P 500® ETF

    33.33

Total % of Top Holdings

        100.00

 

*

% of Total Investments.

Future holdings are subject to change.

 

 

Growth of $10,000 (as of May 31, 2015)

Comparison of Change in Value of $10,000 Investment in the Fund and the Index

 

 

LOGO

The chart above represents historical performance of a hypothetical investment of $10,000 in the Fund over the life of the Fund. Performance calculations are as of the end of each month. Past performance does not guarantee future results. This chart does not reflect the deduction of taxes that a shareholder would pay on Fund distributions or the redemption of Fund shares.

 

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Table of Contents
Janus Velocity ETFs     

 

Disclosure of Fund Expenses

   May 31, 2015 (Unaudited)

 

Shareholder Expense Example: As a shareholder of the Fund, you incur two types of costs: (1) transaction costs which may include creation and redemption fees or brokerage charges, and (2) ongoing costs, including management fees and other Fund expenses. These examples are 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 funds. The example is based on an investment of $1,000 invested at the beginning of the (six month) period and held through May 31, 2015.

Actual Return: The first line of the table provides information about actual account values and actual expenses. You may use the information in this table, together with the amount you invested, to estimate the expenses that you incurred over the period. 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 in the first line of the table under the heading entitled “Expenses Paid During the Period” to estimate the expenses attributable to your investment during this period.

Hypothetical 5% Return: The second line of the table provides information about hypothetical account values and hypothetical expenses based on the Fund’s actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Fund’s actual return. The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period. You may use this information to compare ongoing costs of investing in the Fund and other funds. To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.

The expenses shown in the table are meant to highlight ongoing Fund costs only and do not reflect any transaction costs, such as creation and redemption fees, or brokerage charges. Therefore, the second line 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 costs were included, your costs would have been higher.

 

    

Beginning Account
Value

12/1/14

       

Ending Account
Value

5/31/15

        Expense
Ratio(a)
       Expenses Paid
During Period
12/1/14 - 5/31/15(b)  

 

Janus Velocity Tail Risk Hedged Large Cap ETF

                   

Actual

   $    1,000.00       $    1,000.10       0.65%      $       3.24

Hypothetical (5% return before expenses)

   $    1,000.00       $    1,021.69       0.65%      $       3.28

 

Janus Velocity Volatility Hedged Large Cap ETF

                   

Actual

   $    1,000.00       $    1,013.90       0.65%      $       3.26

Hypothetical (5% return before expenses)

   $    1,000.00       $    1,021.69       0.65%      $       3.28

 

 

(a) 

Annualized, based on the Fund’s most recent fiscal half-year expenses.

(b) 

Expenses are equal to the Fund’s annualized expense ratio multiplied by the average account value over the period, multiplied by the number of days in the most recent fiscal half year (182), divided by 365.

 

5  |  May 31, 2015


Table of Contents
Janus Velocity Tail Risk Hedged Large Cap ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

 

Security Description    Shares      Value  

 

 

EXCHANGE TRADED FUNDS (84.91%)

     

Equity Fund (84.91%)

     

iShares® Core S&P 500® ETF

     55,382           $  11,773,106    

SPDR® S&P 500® ETF Trust

     55,762         11,773,031    

Vanguard® S&P 500® ETF

     60,846         11,773,092    
     

 

 

 

Total United States

        35,319,229    
     

 

 

 

TOTAL EXCHANGE TRADED FUNDS

(Cost $31,856,406)

        35,319,229    
     

 

 

 

TOTAL INVESTMENTS (84.91%)

(Cost $31,856,406)

          $  35,319,229    

NET OTHER ASSETS AND LIABILITIES (15.09%)(a)

        6,275,249    
     

 

 

 

NET ASSETS (100.00%)

          $  41,594,478    
     

 

 

 

 

(a) 

Includes cash, in the amount of $2,210,000, which is being held as collateral for total return swap contracts.

Common Abbreviations:

 

ETF      -    Exchange Traded Fund.
S&P      -    Standard and Poor’s.
SPDR      -    Standard and Poor’s Depositary Receipt.
 

TOTAL RETURN SWAP CONTRACTS*

 

Reference Obligation

   Swap
Counterparty
   Rate Paid
by the Fund
  Termination Date    Notional Amount      Unrealized    
Depreciation    
 

 

 

S&P 500® VIX® Futures Tail Risk Index- Short Term:

             
   BNP Paribas    1.970%   09/02/2015         $  2,469,570           $  (736,023)         
   BNP Paribas    1.970%   10/02/2015      331,160           (90,382)         
   BNP Paribas    1.970%   11/03/2015      85,000           (22,238)         
   BNP Paribas    1.970%   12/02/2015      98,912           (24,638)         
   BNP Paribas    1.970%   01/05/2016      938,152           (234,075)         
   BNP Paribas    1.970%   04/14/2016      402,000           (86,353)         
   BNP Paribas    1.970%   07/14/2016      880,045           (156,733)         
   BNP Paribas    1.970%   10/13/2016      2,498,088           (176,497)         
   BNP Paribas    1.970%   01/13/2017      218,000           (259)         
          

 

 

 
                $  7,920,927         $  (1,527,198)       
          

 

 

 

*   The Fund receives monthly payments based on any positive monthly return of the Reference Obligation net of the rate paid by the Fund. The Fund makes payments on any negative monthly return of such Reference Obligation in addition to the rate paid by the Fund.

 

See Notes to Financial Statements.

6  |  May 31, 2015


Table of Contents
Janus Velocity Volatility Hedged Large Cap ETF

 

Schedule of Investments

   May 31, 2015 (Unaudited)

 

Security Description    Shares      Value      

 

 

EXCHANGE TRADED FUNDS (84.99%)

     

Equity Fund (84.99%)

     

iShares® Core S&P 500® ETF

     94,710         $   20,133,452     

SPDR® S&P 500® ETF Trust

     95,360         20,133,357     

Vanguard® S&P 500® ETF

     104,054         20,133,408     
     

 

 

 

Total United States

        60,400,217     
     

 

 

 

TOTAL EXCHANGE TRADED FUNDS

(Cost $55,874,926)

        60,400,217     
     

 

 

 

TOTAL INVESTMENTS (84.99%)

(Cost $55,874,926)

        $ 60,400,217     

NET OTHER ASSETS AND LIABILITIES (15.01%)(a)

        10,665,920     
     

 

 

 

NET ASSETS (100.00%)

        $ 71,066,137     
     

 

 

 

 

(a) 

Includes cash, in the amount of $3,430,000, which is being held as collateral for total return swap contracts.

Common Abbreviations:

 

ETF      -    Exchange Traded Fund.
S&P      -    Standard and Poor’s.
SPDR      -    Standard and Poor’s Depositary Receipt.
 

 

TOTAL RETURN SWAP CONTRACTS*

 

Reference Obligation   

Swap

Counterparty

     Rate Received
by the Fund
  Termination Date    Notional Amount      Unrealized
Appreciation
 

 

 

S&P® 500 VIX® Futures Variable Long/Short Index- Short Term:

             
     BNP Paribas       1.970%   10/13/2016       $       807,000       $         68,580           
          

 

 

 
              $ 807,000       $         68,580           
          

 

 

 

Reference Obligation

   Swap
Counterparty
    

Rate Paid

by the Fund

  Termination Date    Notional Amount      Unrealized
Depreciation
 

 

 

S&P® 500 VIX® Futures Variable Long/Short Index- Short Term:

             
     BNP Paribas       1.970%   08/04/2015    $ 1,070,970         $ (175,770)       
     BNP Paribas       1.970%   09/02/2015      679,510           (83,154)       
     BNP Paribas       1.970%   10/02/2015      326,517           (32,227)       
     BNP Paribas       1.970%   11/03/2015      247,282           (22,430)       
     BNP Paribas       1.970%   12/02/2015      214,088           (20,865)       
     BNP Paribas       1.970%   01/05/2016      1,585,748           (256,000)       
     BNP Paribas       1.970%   02/02/2016      77,339           (11,321)       
     BNP Paribas       1.970%   03/02/2016      871,312           (123,449)       
     BNP Paribas       1.970%   04/14/2016      601,569           (77,706)       
     BNP Paribas       1.970%   7/14/2016      5,363,814           (264,723)       
          

 

 

 
               $   11,038,149       $ (1,067,645)     
          

 

 

 

*   The Fund receives monthly payments based on any positive monthly return of the Reference Obligation net of the rate paid by the Fund. The Fund makes payments on any negative monthly return of such Reference Obligation in addition to the rate paid by the Fund.

 

See Notes to Financial Statements.

7  |  May 31, 2015


Table of Contents
Janus Velocity ETFs     

 

Statements of Assets and Liabilities

   May 31, 2015 (Unaudited)

 

 

     Janus Velocity      Janus Velocity      
     Tail Risk      Volatility      
     Hedged Large      Hedged Large      
     Cap ETF      Cap ETF      
  

 

 

 

ASSETS:

     

Investments, at value

   $       35,319,229       $       60,400,217        

Cash

     5,542,554         8,583,597        

Unrealized appreciation on total return swap contracts

             68,580        

Receivable for investments sold

     168,689         –        

Deposit with broker for total return swaps

     2,210,000         3,430,000        

 

 

Total assets

     43,240,472         72,482,394        

 

 

LIABILITIES:

     

Payable to adviser

     22,989         39,179        

Payable for investments purchased

             112,193        

Payable due to broker for total return swap contracts

     95,807         197,240        

Unrealized depreciation on total return swap contracts

     1,527,198         1,067,645        

 

 

Total liabilities

     1,645,994         1,416,257        

 

 

NET ASSETS

   $ 41,594,478       $ 71,066,137        

 

 

NET ASSETS CONSIST OF:

     

Paid-in capital

   $ 39,527,399       $ 65,947,288        

Accumulated net investment income/(loss)

     (6,590)         9,496        

Accumulated net realized gain on investments

     138,044         1,583,127        

Net unrealized appreciation on investments

     1,935,625         3,526,226        

 

 

NET ASSETS

   $ 41,594,478       $ 71,066,137        

 

 

INVESTMENTS, AT COST

   $ 31,856,406       $ 55,874,926        

PRICING OF SHARES

     

Net Assets

   $ 41,594,478       $ 71,066,137        

Shares of beneficial interest outstanding (Unlimited number of shares authorized, par value $0.01 per share)

     1,450,002         2,300,002        

Net Asset Value, offering and redemption price per share

   $ 28.69       $ 30.90        

 

See Notes to Financial Statements.

8  |  May 31, 2015


Table of Contents
Janus Velocity ETFs     

 

Statements of Operations

   For the Six Months Ended May 31, 2015 (Unaudited)

 

 

         Janus Velocity           Janus Velocity      
         Tail Risk           Volatility      
         Hedged Large           Hedged Large      
         Cap ETF           Cap ETF      
  

 

 

 

INVESTMENT INCOME:

     

Dividends

   $         326,570       $          669,760        

 

 

Total Investment Income

     326,570         669,760        

 

 

EXPENSES:

     

Investment adviser fees

     131,609         238,545        

 

 

Total Expenses

     131,609         238,545        

 

 

NET INVESTMENT INCOME

     194,961         431,215        

 

 

REALIZED AND UNREALIZED GAIN/(LOSS)

     

Net realized gain on investments

     436,805         2,165,541        

Net realized loss on total return swap contracts

     (224,223)         (580,450)        

Net change in unrealized appreciation/(depreciation) on investments

     235,086         (1,085,679)        

Net change in unrealized depreciation on total return swap contracts

     (658,359)         (139,433)        

 

 

NET REALIZED AND UNREALIZED GAIN/LOSS ON INVESTMENTS

     (210,691)         359,979        

 

 

NET INCREASE/(DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS

   $ (15,730)       $ 791,194        

 

 

 

See Notes to Financial Statements.

9  |  May 31, 2015


Table of Contents
Janus Velocity ETFs     

 

Statements of Changes in Net Assets

  

 

     Janus Velocity Tail Risk Hedged
Large Cap ETF
     Janus Velocity Volatility Hedged
Large Cap ETF
 
  

 

 

 
     For the Six
Months Ended
May 31, 2015
(Unaudited)
     For the Year Ended
November 30, 2014
     For the Six
Months Ended
May 31, 2015
(Unaudited)
     For the Year Ended
November 30, 2014
 
  

 

 

 

OPERATIONS:

           

Net investment income

   $ 194,961       $ 205,856           $ 431,215       $ 262,430         

Net realized gain/(loss) on investments, total return swap contracts

     212,582         (86,740)             1,585,091         (109,281)         

Net change in unrealized appreciation/(depreciation) on investments, total return swap contracts

     (423,273)         2,260,904             (1,225,112)         4,085,876         

 

 

Net increase/(decrease) in net assets resulting from operations

     (15,730)         2,380,020             791,194         4,239,025         

 

 

DISTRIBUTIONS TO SHAREHOLDERS:

           

From net investment income

     (201,551)         (134,087)             (421,719)         (148,685)         

From net realized gains

             –                     (6,021)         

From tax return of capital

             (51,870)                     (88,105)         

 

 

Total distributions

     (201,551)         (185,957)             (421,719)         (242,811)         

 

 

CAPITAL SHARE TRANSACTIONS:

           

Proceeds from sale of shares

     10,041,957         31,091,332             9,214,684         62,717,368         

Cost of shares redeemed

     (2,853,170)         –             (13,588,125)         –         

 

 

Net increase/(decrease) from share transactions

     7,188,787         31,091,332             (4,373,441)         62,717,368         

 

 

Net increase/(decrease) in net assets

     6,971,506         33,285,395             (4,003,966)         66,713,582         

NET ASSETS

           

Beginning of period

     34,622,972         1,337,577             75,070,103         8,356,521         

 

 

End of period *

   $       41,594,478       $ 34,622,972           $       71,066,137       $       75,070,103         

 

 

*Including accumulated net investment income/(loss) of:

   $ (6,590)       $ –           $ 9,496       $ –         

OTHER INFORMATION:

           

CAPITAL SHARE TRANSACTIONS

           

Beginning shares

     1,200,002         50,002             2,450,002         300,002         

Shares sold

     350,000         1,150,000             300,000         2,150,000         

Shares redeemed

     (100,000)         –             (450,000)         –         

 

 

Shares outstanding, end of period

     1,450,002         1,200,002             2,300,002         2,450,002         

 

 

 

See Notes to Financial Statements.

10  |  May 31, 2015


Table of Contents
Janus Velocity Tail Risk Hedged Large Cap ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

    For the Six Months
Ended May 31, 2015
(Unaudited)
    For the Year Ended
November 30, 2014
      For the Period  
  June 21, 2013  
  (commencement  
  of operations)  
  to November 30,  
  2013  
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 28.85               $ 26.75               $ 25.00            

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income(a)

    0.14                 0.24                 0.24            

Net realized and unrealized gain/(loss)

    (0.14)                 2.14                 1.91            

 

 

Total from investment operations

    0.00                 2.38                 2.15            

 

 

DISTRIBUTIONS:

     

From net investment income

    (0.16)                 (0.23)                 (0.37)            

From tax return of capital

    –                 (0.05)                 (0.03)            

 

 

Total distributions

    (0.16)                 (0.28)                 (0.40)            

 

 

NET INCREASE/(DECREASE) IN NET ASSET VALUE

    (0.16)                 2.10                 1.75            

 

 

NET ASSET VALUE, END OF PERIOD

  $ 28.69               $ 28.85               $ 26.75            

 

 

TOTAL RETURN(b)

    0.01%                8.94%                8.66%           

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

  $ 41,594               $ 34,623               $ 1,338            

Ratio of expenses to average net assets

    0.65%(c)                0.65%                0.65%(c)           

Ratio of net investment income to average net assets

    0.96%(c)                0.89%                2.21%(c)           

Portfolio turnover rate(d)

    1%                2%                4%           

 

(a)

Based on average shares outstanding during the period.

(b)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(c)

Annualized.

(d)

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Janus Velocity Volatility Hedged Large Cap ETF

 

Financial Highlights

   For a Share Outstanding Throughout the Periods Presented

 

    For the Six Months
Ended May 31, 2015
(Unaudited)
    For the Year Ended
November 30, 2014
      For the Period  
  June 21, 2013  
  (commencement  
  of operations)  
  to November 30,  
  2013  
 

 

 

NET ASSET VALUE, BEGINNING OF PERIOD

  $ 30.64               $ 27.85                $ 25.00            

INCOME/(LOSS) FROM INVESTMENT OPERATIONS:

     

Net investment income(a)

    0.18                 0.21                  0.12            

Net realized and unrealized gain

    0.24                 2.84                  2.88            

 

 

Total from investment operations

    0.42                 3.05                  3.00            

 

 

DISTRIBUTIONS:

     

From net investment income

    (0.16)                 (0.19)                  (0.10)            

From net realized gains

    –                 (0.00) (b)              –            

From tax return of capital

    –                 (0.07)                  (0.05)            

 

 

Total distributions

    (0.16)                 (0.26)                  (0.15)            

 

 

NET INCREASE IN NET ASSET VALUE

    0.26                 2.79                  2.85            

 

 

NET ASSET VALUE, END OF PERIOD

  $ 30.90               $ 30.64                $ 27.85            

 

 

TOTAL RETURN(c)

    1.39%                11.00%                 12.04%           

RATIOS/SUPPLEMENTAL DATA:

     

Net assets, end of period (000s)

  $ 71,066               $ 75,070                $ 8,357            

Ratio of expenses to average net assets

    0.65%(d)                0.65%                 0.65%(d)           

Ratio of net investment income to average net assets

    1.17%(d)                0.71%                 1.05%(d)           

Portfolio turnover rate(e)

    1%                1%                 2%           

 

(a)

Based on average shares outstanding during the period.

(b)

Less than $0.005 per share.

(c)

Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period and redemption at the net asset value on the last day of the period and assuming all distributions are reinvested at reinvestment prices. Total return calculated for a period of less than one year is not annualized.

(d) 

Annualized.

(e)

Portfolio turnover for periods less than one year are not annualized and does not include securities received or delivered from processing creations or redemptions.

 

See Notes to Financial Statements.

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

1. ORGANIZATION

 

The ALPS ETF Trust (the “Trust”), a Delaware statutory trust, is an open-end management investment company registered under the Investment Company Act of 1940, as amended (the “1940 Act”). As of May 31, 2015, the Trust consists of eighteen separate portfolios. Each portfolio represents a separate series of the Trust. This report pertains to the Janus Velocity Tail Risk Hedged Large Cap ETF and Janus Velocity Volatility Hedged Large Cap ETF (each a “Fund” and collectively, the “Funds”). Effective January 23, 2015, the VelocityShares Tail Risk Hedged Large Cap ETF and the VelocityShares Volatility Hedged Large Cap ETF changed their names to the Janus Velocity Tail Risk Hedged Large Cap ETF and the Janus Velocity Volatility Hedged Large Cap ETF, respectively.

The investment objective of the Janus Velocity Tail Risk Hedged Large Cap ETF is to seek investment results that correspond generally to the performance, before fees and expenses, of its underlying index, the VelocityShares Tail Risk-Hedged Large Cap Index. The investment objective of the Janus Velocity Volatility Hedged Large Cap ETF is to seek investment results that correspond generally to the performance, before fees and expenses, of its underlying index, the VelocityShares Volatility Hedged Large Cap Index (together with the VelocityShares Tail Risk Hedged Large Cap Index, the “Underlying Indexes”). Each Fund is considered non-diversified and may invest a greater portion of assets in securities of individual issuers than a diversified fund. As a result, changes in the market value of a single investment could cause greater fluctuations in share price than would occur in a diversified fund.

Shares of the Funds are listed on the New York Stock Exchange (“NYSE”) Arca. Each Fund issues and redeems Shares on a continuous basis, at net asset value (“NAV”), in blocks of 50,000 Shares, each of which is called a “Creation Unit”. A portion of Creation Units are issued and redeemed in securities and/or derivatives included in a specified index and will be created and redeemed in-kind. Except when aggregated in Creation Units, Shares are not redeemable securities of the Fund.

Pursuant to the Trust’s organizational documents, its Officers and Trustees are indemnified against certain liability 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. SIGNIFICANT ACCOUNTING POLICIES

 

The following is a summary of significant accounting policies consistently followed by the Funds in the preparation of the financial statements. The accompanying financial statements were prepared in accordance with accounting principles generally accepted in the United States of America (“U.S. GAAP”). The preparation of financial statements in conformity with U.S. GAAP requires management to make certain estimates and assumptions that affect the reported amounts of assets and liabilities and disclosures of contingent assets and liabilities at the date of the financial statements and the reported amounts of revenue and expenses during the period. Actual results could differ from those estimates. Each Fund is considered an investment company under U.S. GAAP and follows the accounting and reporting guidance applicable to investment companies in the Financial Accounting Standards Board Accounting Standards Codification Topic 946.

A. Portfolio Valuation

Each Fund’s NAV is determined daily, as of the close of regular trading on the NYSE, normally 4:00 p.m. Eastern Time, on each day the NYSE is open for trading. The NAV is computed by dividing the value of all assets of the Fund (including accrued interest and dividends), less all liabilities (including accrued expenses and dividends declared but unpaid), by the total number of shares outstanding.

Portfolio securities listed on any exchange other than the NASDAQ Stock Market LLC (“NASDAQ”) are valued at the last sale price on the business day as of which such value is being determined. If there has been no sale on such day, the securities are valued at the mean of the most recent bid and asked prices on such day. Securities traded on the NASDAQ are valued at the NASDAQ Official Closing Price as determined by NASDAQ. Portfolio securities traded on more than one securities exchange are valued at the last sale price on the business day as of which such value is being determined at the close of the exchange representing the principal market for such securities. Portfolio securities traded in the over-the-counter market, but excluding securities traded on the NASDAQ, are valued at the latest quoted sale price in such market. Over-the-counter swap contracts for which market quotations are readily available are valued based on quotes received from independent pricing services or one or more dealers that make markets in such securities.

Each Fund’s investments are valued at market value or, in the absence of market value with respect to any portfolio securities, at fair value according to procedures adopted by the Trust’s Board of Trustees (the “Board”). When market quotations are not readily available or when events occur that make established valuation methods unreliable, securities of the Fund may be valued in good faith by or under the direction of the Board. These securities generally include, but are not limited to, restricted securities (securities which may not be publicly sold without registration under the Securities Act of 1933) for which a pricing service is unable to provide a market price; securities whose trading has been formally suspended; a security whose market price is not available from a pre-established primary pricing source or the pricing source is not willing to

 

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provide a price; a security with respect to which an event has occurred that is most likely to materially affect the value of the security after the market has closed but before the calculation of the Fund’s NAV or make it difficult or impossible to obtain a reliable market quotation; or a security whose price, as provided by the pricing service, does not reflect the security’s “fair value” due to the security being de-listed from a national exchange or the security’s primary trading market is temporarily closed at a time when, under normal conditions, it would be open. As a general principle, the current “fair value” of a security would be the amount which the owner might reasonably expect to receive from the closing sale prices on the applicable exchange and fair value prices may not reflect the actual value of a security. A variety of factors may be considered in determining the fair value of such securities.

B. Fair Value Measurements

Each Fund discloses the classification of its fair value measurements following a three-tier hierarchy based on the inputs used to measure fair value. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability, including assumptions about risk. Inputs may be observable or unobservable. Observable inputs reflect the assumptions market participants would use in pricing the asset or liability that are developed based on market data obtained from sources independent of the reporting entity. Unobservable inputs reflect the reporting entity’s own assumptions about the assumptions market participants would use in pricing the asset or liability that are developed based on the best information available.

Valuation techniques used to value the Funds’ investments by major category are as follows:

Exchange Traded Funds, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing vendor on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the mean of the most recent quoted bid and ask prices on such day and are generally categorized as Level 2 in the hierarchy. Investments in open-end mutual funds are valued at their closing NAV each business day and are categorized as Level 1 in the hierarchy.

Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.

Various inputs are used in determining the value of each Fund’s investments as of the end of the reporting period. When inputs used fall into different levels of the fair value hierarchy, the level in the hierarchy within which the fair value measurement falls is determined based on the lowest level input that is significant to the fair value measurement in its entirety. The designated input levels are not necessarily an indication of the risk or liquidity associated with these investments.

These inputs are categorized in the following hierarchy under applicable financial accounting standards:

 

Level 1 –

 

Unadjusted quoted prices in active markets for identical investments, unrestricted assets or liabilities that a Fund has the ability to access at the measurement date;

Level 2 –

 

Quoted prices which are not active, quoted prices for similar assets or liabilities in active markets or inputs other than quoted prices that are observable (either directly or indirectly) for substantially the full term of the asset or liability; and

Level 3 –

 

Significant unobservable prices or inputs (including the Fund’s own assumptions in determining the fair value of investments) where there is little or no market activity for the asset or liability at the measurement date.

The following is a summary of the inputs used to value each Fund’s investments at May 31, 2015:

Janus Velocity Tail Risk Hedged Large Cap ETF

 

Investments in Securities at Value    
 
  Level 1 - Unadjusted  
  Quoted Prices  
  
  
   
 
  Level 2 - Unadjusted  
  Quoted Prices  
  
  
   
 
  Level 3 - Unadjusted  
  Quoted Prices  
  
  
    Total   

 

 

Exchange Traded Funds

  $ 35,319,229      $      $      $ 35,319,229       

 

 

Total

  $ 35,319,229      $      $      $                 35,319,229       

 

 
       

 

 

Other Financial Instruments*

       

 

 

Liabilities

       

Total Return Swap Contracts

  $      $ (1,527,198)      $      $ (1,527,198)       

 

 

Total

  $      $ (1,527,198)      $      $ (1,527,198)       

 

 

 

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Janus Velocity Volatility Hedged Large Cap ETF

 

Investments in Securities at Value    
 
  Level 1 - Unadjusted  
  Quoted Prices  
  
  
   
 
  Level 2 - Unadjusted  
  Quoted Prices  
  
  
   
 
  Level 3 - Unadjusted  
  Quoted Prices  
  
  
    Total   

 

 

Exchange Traded Funds

  $ 60,400,217      $      $      $ 60,400,217       

 

 

Total

  $ 60,400,217      $      $      $ 60,400,217       

 

 
       

 

 

Other Financial Instruments*

       

 

 

Assets

       

Total Return Swap Contracts

  $      $ 68,580      $      $ 68,580       

Liabilities

       

Total Return Swap Contracts

  $      $ (1,067,645)      $      $                 (1,067,645)       

 

 

Total

  $      $ (999,065)      $      $ (999,065)       

 

 

 

*

Other financial instruments are instruments not reflected in the Schedule of Investments.

Each Fund recognizes transfers between levels as of the end of the period. For the six months ended May 31, 2015, none of the Funds had any transfers between Level 1 and Level 2 securities. The Funds did not have any securities which used significant unobservable inputs (Level 3) in determining fair value.

C. Concentration of Risk

Each Fund seeks to track its respective Underlying Index, which may have concentrations in certain regions, economies, countries, markets, industries or sectors. Underperformance or increased risk in such concentrated areas may result in underperformance or increased risk in a Fund.

D. Securities Transactions and Investment Income

Securities transactions are recorded as of the trade date. Realized gains and losses from securities transactions are recorded on the highest cost basis. Dividend income and capital gains distributions, if any, are recorded on the ex-dividend date. Interest income, if any, is recorded on the accrual basis.

E. Dividends and Distributions to Shareholders

Dividends from net investment income of each Fund, if any, are declared and paid quarterly or as the Board may determine from time to time. Distributions of net realized capital gains earned by each Fund, if any, are distributed at least annually.

F. Federal Tax and Tax Basis Information (Not Updated)

The timing and character of income and capital gain distributions are determined in accordance with income tax regulations, which may differ from U.S. GAAP. Reclassifications are made to the Fund’s capital accounts for permanent tax differences to reflect income and gains available for distribution (or available capital loss carryforwards) under income tax regulations. The amounts and characteristics of tax basis distributions and composition of distributable earnings/(accumulated losses) are finalized at fiscal year-end; accordingly, tax basis balances have not been determined as of May 31, 2015.

The tax character of the distributions paid by the Funds during the year ended November 30, 2014 was as follows:

 

            Ordinary Income             Long Term Capital Gain                 Return of Capital          

 

 

November 30, 2014

     

Janus Velocity Tail Risk Hedged Large Cap ETF

  $ 134,087      $ –              $ 51,870         

Janus Velocity Volatility Hedged Large Cap ETF

    148,685        6,021                88,105         

 

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

At November 30, 2014, the Funds had available for tax purposes unused capital loss carryforwards as follows:

 

Fund      Short-Term      Long-Term     

 

 

Janus Velocity Tail Risk Hedged Large Cap ETF

   $                         27,471       $                         47,067           

As of May 31, 2015, the costs of investments for federal income tax purposes and accumulated net unrealized appreciation/(depreciation) on investments were as follows:

 

    Gross Appreciation     Gross Depreciation              
    (excess of value over tax     (excess of tax cost             Net Unrealized         Cost of Investments for  
    cost)     over value)             Appreciation         Income Tax Purposes  

 

 

Janus Velocity Tail Risk Hedged Large Cap ETF

  $ 3,460,754          $ –          $             3,460,754      $             31,858,475         

Janus Velocity Volatility Hedged Large Cap ETF

    4,523,733            –            4,523,733        55,876,484         

The differences between book-basis and tax-basis are primarily due to the deferral of losses from wash sales.

G. Income Taxes

No provision for income taxes is included in the accompanying financial statements, as each Fund intends to distribute to shareholders all taxable investment income and realized gains and otherwise comply with Subchapter M of the Internal Revenue Code of 1986, as amended, applicable to regulated investment companies. Each Fund evaluates tax positions taken (or expected to be taken) in the course of preparing each Fund’s tax returns to determine whether these positions meet a “more-likely-than-not” standard that, based on the technical merits, have a more than fifty percent likelihood of being sustained by a taxing authority upon examination. A tax position that meets the “more-likely-than-not” recognition threshold is measured to determine the amount of benefit to recognize in the financial statements.

As of and during the six months ended May 31, 2015, none of the Funds had a liability for any unrecognized tax benefits. Each Fund files U.S. federal, state, and local tax returns as required. Each Fund’s tax returns are subject to examination by the relevant tax authorities until expiration of the applicable statute of limitations which is generally three years after the filing of the tax return, but may extend to four years in certain jurisdictions. Tax returns for open years incorporate no uncertain tax positions that require a provision for income taxes.

3. DERIVATIVE INSTRUMENTS AND HEDGING ACTIVITIES

 

As a part of their investment strategy, the Funds are permitted to purchase investment securities, and enter into various types of derivatives contracts. In doing so, the Funds employ strategies in differing combinations that permit them to increase, decrease, or change the level or types of exposure to market factors. Central to those strategies are features inherent in derivatives that make them more attractive for this purpose than equity or debt securities; they require little or no initial cash investment, they can focus exposure on only certain selected risk factors, and they may not require the ultimate receipt or delivery of the underlying security (or securities) to the contract. This may allow the Funds to pursue their objectives more quickly and efficiently than if they were to make direct purchases or sales of securities capable of affecting a similar response to market factors.

Cash collateral that has been pledged to cover derivative obligations of the Funds and cash collateral received from the counterparty, if any, is reported separately on the Statements of Assets and Liabilities as cash pledged as collateral and cash received as collateral, respectively. Non-cash collateral pledged by the Funds, if any, is noted in the Schedules of Investments.

A Fund’s use of derivative instruments involves risks different from, or possibly greater than, the risks associated with investing directly in securities and other traditional investments. Derivatives are subject to a number of risks including liquidity risk, market risk, credit risk, default risk, counterparty risk and management risk. They also involve the risk of mispricing or improper valuation and the risk that changes in the value of the derivative may not correlate exactly with the change in the value of the underlying asset, rate or index.

Market Risk Factors: In pursuit of their investment objectives, certain Funds may seek to use derivatives to increase or decrease their exposure to the following market risk factors:

Credit Risk: Credit risk is the risk an issuer will be unable to make principal and interest payments when due, or will default on its obligations.

Equity Risk: Equity risk relates to the change in value of equity securities as they relate to increases or decreases in the general market.

 

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Swaps: Swap agreements are contracts between parties in which one party agrees to make periodic payments to the other party (the “Counterparty”) based on the change in market value or level of a specified rate, index or asset. In return, the Counterparty agrees to make periodic payments to the first party based on the return of a different specified rate, index or asset. Swap agreements will usually be done on a net basis, the Funds receiving or paying only the net amount of the two payments. The net amount of the excess, if any, of the Funds’ obligations over its entitlements with respect to each swap is accrued on a daily basis and an amount of cash or highly liquid securities having an aggregate value at least equal to the accrued excess is maintained in an account at the Trust’s custodian bank. The use of interest rate and index swaps is a highly specialized activity that involves investment techniques and risks different from those associated with ordinary portfolio security transactions. These transactions generally do not involve the delivery of securities or other underlying assets or principal. The use of swap agreements involves certain risks. For example, if the Counterparty under a swap agreement defaults on its obligation to make payments due from it, as a result of its bankruptcy or otherwise, the Funds may lose such payments altogether, or collect only a portion thereof, which collection could involve costs or delays.

Swap Risk: The Funds use swap agreements to obtain exposure to the volatility component of each Fund’s underlying index. Swap agreements provide that when the period payment dates for both parties are the same, the payments are made on a net basis (i.e., the two payment streams are netted out, with only the net amount paid by one party to the other). The Fund’s obligations or rights under a swap contract entered into on a net basis will generally be equal only to the net amount to be paid or received under the agreement, based on the relative values of the positions held by each counterparty. The swap agreements are traded over the counter. The counterparty to swap agreements is generally a single bank or other financial institution, rather than a clearing organization backed by a group of financial institutions.

As a result, the Funds are subject to credit risk with respect to amounts they expect to receive from counterparties to swaps entered into as part of their principal investment strategies. If a counterparty becomes bankrupt or otherwise fails to perform its obligations due to financial difficulties, the Funds could suffer significant losses on these contracts and the value of an investor’s investment in the Funds may decline. The Funds typically enter into swap transactions only with large, well capitalized and well established financial institutions. Swaps are less marketable because they are not traded on an exchange, do not have uniform terms and conditions, and are entered into based upon the creditworthiness of the parties and the availability of credit support, such as collateral, and in general, are not transferable without the consent of the counterparty. Swap agreements may entail breakage costs if terminated prior to the final maturity date.

During the six months ended May 31, 2015, the Funds invested in swap agreements consistent with their investment strategies to gain exposure to certain indices. Swap agreements held at May 31, 2015 are disclosed in the Schedules of Investments.

The effect of derivative instruments on the Statements of Assets and Liabilities for the six months ended May 31, 2015:

 

    Asset Derivatives         Liability Derivatives     
    Statement of Assets         Statement of Assets     
Risk Exposure   and Liabilities Location        Fair Value          and Liabilities Location          Fair Value    

 

Janus Velocity Tail Risk Hedged Large Cap ETF

          

Equity Contracts
(Total Return Swap Contracts)

 

Unrealized appreciation
on total return swap contracts

   $                –       

Unrealized depreciation
on total return swap contracts

       $  1,527,198    

 

Total

     $                –           $  1,527,198    

 

Janus Velocity Volatility Hedged Large Cap ETF

          

Equity Contracts
(Total Return Swap Contracts)

 

Unrealized appreciation
on total return swap contracts

   $      68,580       

Unrealized depreciation
on total return swap contracts

   $1,067,645    

 

Total

     $      68,580           $1,067,645    

 

The gains/(losses) in the table below are included in the “Net realized gain/(loss)” or “Net change in unrealized gain/(loss)” on the Statements of Operations.

 

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

The effect of derivative Instruments on the Statements of Operations for the six months ended May 31, 2015:

 

                 Change in  
          Realized      Unrealized  
          Loss on      Depreciation  
          Derivatives      on Derivatives  
     Location of Loss on    Recognized      Recognized  
Risk Exposure    Derivatives Recognized in Income    in Income      in Income  

 

 

Janus Velocity Tail Risk Hedged Large Cap ETF

        
  

Net realized loss on total return swap
contracts/Net change in unrealized
depreciation on total return swap
contracts

     
        

Equity Contracts

        

(Total Return Swap Contracts)

      $ (224,223)       $ (658,359)       

 

 

Total

      $ (224,223)       $ (658,359)       

 

 

Janus Velocity Volatility Hedged Large Cap ETF

        
  

Net realized loss on total return swap
contracts/Net change in unrealized
depreciation on total return swap
contracts

     
        

Equity Contracts

        

(Total Return Swap Contracts)

      $         (580,450)       $         (139,433)       

 

 

Total

      $ (580,450)       $ (139,433)       

 

 

Volume of derivative instruments for the Funds for the six months ended May 31, 2015 was as follows:

 

Derivative Type    Unit of Measurement      Monthly Average                        

 

 

Janus Velocity Tail Risk Hedged Large Cap ETF

       

Total Return Swap Contracts

   Notional Amount        $ 7,390,895                               

Janus Velocity Volatility Hedged Large Cap ETF

       

Total Return Swap Contracts

   Notional Amount        $     11,947,949                               

U.S. GAAP requires an entity that has financial instruments that are either (1) offset or (2) subject to an enforceable master netting arrangement or similar agreement to disclose information about offsetting and related arrangements to enable users of its financial statements to understand the effect of those arrangements on its financial position.

The following table presents financial instruments that are subject to enforceable netting arrangements or other similar agreements as of May 31, 2015:

 

Offsetting of Derivatives Assets  

 

 

May 31, 2015

           
                            Gross Amounts        
                            Not Offset in the        
                            Statement of        
                            Assets and        
                            Liabilities        
       

 

 

 
          Gross Amounts     Net Amounts                    
          Offset in the     Presented in the                    
    Gross Amounts of     Statement of     Statement of                    
    Recognized     Assets and     Assets and     Financial     Cash Collateral     Net Amount  
Description   Assets     Liabilities     Liabilities     Instruments     Received     Receivable  

 

 

Janus Velocity Volatility Hedged Large Cap ETF

           

Total Return Swap Contracts

  $             68,580      $      $             68,580      $             (68,580   $                      –      $                      –       

 

 

Total

  $ 68,580      $                      –      $ 68,580      $ (68,580   $      $ –       

 

 

 

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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

Offsetting of Derivatives Liabilities                          

 

 
May 31, 2015                                    
                     

Gross Amounts

Not Offset in the

Statement of

Assets and

Liabilities

 
       

 

 

 
Description   Gross Amounts of
Recognized
Liabilities
     Gross Amounts 
Offset in the
Statement of
Assets and
Liabilities
    Net Amounts
 Presented in the 
Statement of
Assets and
Liabilities
     Financial
   Instruments  
      Cash Collateral  
Pledged
      Net Amount    
Payable  
 

 

 

Janus Velocity Tail Risk Hedged Large Cap ETF

  

     

Total Return Swap Contracts

  $ (1,527,198)          $ –         $ (1,527,198)          $      $ 1,527,198          $ –       

 

 

Total

  $ (1,527,198)          $ –         $ (1,527,198)          $      $ 1,527,198          $ –       

 

 

Janus Velocity Volatility Hedged Large Cap ETF

  

     

Total Return Swap Contracts

  $ (1,067,645)          $ –         $ (1,067,645)          $ 68,580      $ 999,065          $ –       

 

 

Total

  $ (1,067,645)          $ –         $ (1,067,645)          $ 68,580      $ 999,065          $ –       

 

 

4. INVESTMENT ADVISORY FEE AND OTHER AFFILIATED TRANSACTIONS

 

ALPS Advisors, Inc. (the “Adviser”) acts as each Fund’s investment adviser pursuant to an advisory agreement with the Trust on behalf of each Fund (the “Advisory Agreement”). Pursuant to the Advisory Agreement, each Fund pays the Adviser a unitary fee for the services and facilities it provides, payable on a monthly basis, at the annual rates listed below. From time to time, the Adviser may waive all or a portion of its fee.

 

Fund    Advisory Fee

 

Janus Velocity Tail Risk Hedged Large Cap ETF

   0.65%

Janus Velocity Volatility Hedged Large Cap ETF

   0.65%

Out of the unitary management fee, the Adviser pays substantially all expenses of each Fund, including the cost of transfer agency, custody, fund administration, legal, audit, independent trustees and other services, except for acquired fund fees and expenses, interest expenses, distribution fees or expenses, brokerage expenses, taxes and extraordinary expenses, such as litigation and other expenses not incurred in the ordinary course of each Fund’s business. The Adviser’s unitary management fee is designed to pay substantially all of each Fund’s expenses and to compensate the Adviser for providing services for the each Fund.

ALPS Fund Services, Inc., an affiliate of the Adviser, is the administrator of the Funds.

Each Trustee who is not an officer or employee of the Adviser, any sub-adviser or any of their affiliates (“Independent Trustees”) receives (1) a quarterly retainer of $5,000, (2) a per meeting fee for regularly scheduled meetings of $3,750, (3) $1,500 for any special meeting held outside of a regularly scheduled board meeting, and (4) reimbursement for all reasonable out-of-pocket expenses relating to attendance at meetings.

5. PURCHASES AND SALES OF SECURITIES

 

For the six months ended May 31, 2015, the cost of purchases and proceeds from sales of investment securities, excluding short-term investments and in-kind transactions, were as follows:

 

     Purchases          Sales      

 

Janus Velocity Tail Risk Hedged Large Cap ETF

   $                             240,293         $                         1,296,248     

Janus Velocity Volatility Hedged Large Cap ETF

     695,424           1,633,735     

 

19  |  May 31, 2015


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Janus Velocity ETFs     

 

Notes to Financial Statements

   May 31, 2015 (Unaudited)

 

For the six months ended May 31, 2015, the cost of in-kind purchases and proceeds from in-kind sales, were as follows:

 

     Purchases          Sales       

 

Janus Velocity Tail Risk Hedged Large Cap ETF

   $                         8,607,814         $                         2,430,403      

Janus Velocity Volatility Hedged Large Cap ETF

     7,854,005           11,600,379      

Gains on in-kind transactions are not considered taxable for federal income tax purposes.

6. CAPITAL SHARE TRANSACTIONS

 

Shares are created and redeemed by each Fund only in Creation Unit size aggregations of 50,000. Only broker-dealers or large institutional investors with creation and redemption agreements called Authorized Participants (“AP”) are permitted to purchase or redeem Creation Units from the Fund. Such transactions are generally permitted on an in-kind basis, with a balancing cash component to equate the transaction to the NAV per unit of each Fund on the transaction date. Cash may be substituted equivalent to the value of certain securities generally when they are not available in sufficient quantity for delivery, not eligible for trading by the AP or as a result of other market circumstances.

 

20  |  May 31, 2015


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Janus Velocity ETFs     

 

Additional Information

   May 31, 2015 (Unaudited)

 

PROXY VOTING RECORDS, POLICIES AND PROCEDURES

 

Information regarding how the Fund voted proxies relating to portfolio securities during the most recent 12-month period ended June 30 and a description of the Fund’s proxy voting policies and procedures used in determining how to vote for proxies are available without charge on the Securities and Exchange Commission’s (“SEC”) website at www.sec.gov and upon request, by calling (toll-free) 1-866-675-2639.

PORTFOLIO HOLDINGS

 

The Trust is required to disclose, after its first and third fiscal quarters, the complete schedule of each Fund’s portfolio holdings with the SEC on Form N-Q. Form N-Q for each Fund will be available on the SEC’s website at www.sec.gov. Each Fund’s Form N-Q may also be reviewed and copied at the SEC’s Public Reference Room in Washington, D.C. and information on the operation of the Public Reference Room may be obtained by calling 1-800-SEC-0330. Each Fund’s Form N-Q will be available without charge, upon request, by calling (toll-free) 1-866-675-2639 or by writing to ALPS ETF Trust at 1290 Broadway, Suite 1100, Denver, Colorado 80203.

TAX INFORMATION (Unaudited)

 

The Funds designate the following for federal income tax purposes for distributions made during the calendar year ended December 31, 2014:

 

    Qualified Dividend Income       Dividend Received Deduction    

 

Janus Velocity Tail Risk Hedged Large Cap ETF

  100.00%     100.00%  

Janus Velocity Tail Risk Hedged Large Cap ETF

  100.00%     100.00%  

In early 2015, if applicable, shareholders of record received this information for the distributions paid to them by the Funds during the calendar year 2014 via Form 1099. The Funds will notify shareholders in early 2016 of amounts paid to them by the Funds, if any, during the calendar year 2015.

LICENSING AGREEMENTS

 

Janus Velocity Tail Risk Hedged Large Cap ETF

The VelocityShares Tail Risk Hedged Large Cap Index is the exclusive property of Velocity Shares Index and Calculation Services, a division of VelocityShares LLC.

Neither VelocityShares Index & Calculation Services, VelocityShares LLC (together, “VelocityShares”) nor any other party makes any representation or warranty, express or implied, to the owners of the Funds or any member of the public regarding the advisability of investing in the Funds generally or the similarities or variations between the performance of the index and the performance of the underlying security. VelocityShares is the licensor of certain trademarks, service marks and trade names of VelocityShares and of the index which is determined, composed and calculated by VelocityShares without regard to the issuer of the Funds. Neither VelocityShares nor any other party guarantees the accuracy and/or the completeness of the indices or any date included therein. VelocityShares disclaims all warranties of merchantability or fitness for any particular purpose with respect to the indices or any data included therein.

ALTHOUGH VELOCITYSHARES SHALL OBTAIN INFORMATION FOR INCLUSION IN OR FOR USE IN THE CALCULATION OF THE INDEXES FROM SOURCES WHICH VELOCITYSHARES CONSIDERS RELIABLE, NEITHER VELOCITYSHARES NOR ANY OTHER PARTY GUARANTEES THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEXES OR ANY DATA INCLUDED THEREIN. NEITHER VELOCITYSHARES NOR ANY OTHER PARTY MAKES ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, LICENSEE’S CUSTOMERS AND COUNTERPARTIES, HOLDERS OF THE FUNDS, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEXES OR ANY OTHER DATA INCLUDED THEREIN IN CONNECTION WITH THE RIGHTS LICENSED HEREUNDER OR FOR ANY OTHER USE. NEITHER VELOCITYSHARES NOR ANY OTHER PARTY MAKES ANY EXPRESS OR IMPLIED WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE INDEXES OR ANY DATA INCLUDED THEREIN AND VELOCITYSHARES HEREBY EXPRESSLY DISCLAIMS ALL SUCH WARRANTIES. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL VELOCITYSHARES OR ANY OTHER PARTY HAVE ANY LIABILITY FOR ANY DIRECT, INDIRECT, SPECIAL, PUNITIVE, CONSEQUENTIAL OR ANY OTHER DAMAGES (INCLUDING LOST PROFITS) EVEN IF NOTIFIED OF THE POSSIBILITY OF SUCH DAMAGES.

 

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Janus Velocity ETFs     

 

Additional Information

   May 31, 2015 (Unaudited)

 

Janus Velocity Volatility Hedged Large Cap ETF

The VelocityShares Volatility Hedged LargeCap Index is the exclusive property of Velocity Shares Index and Calculation Services, a division of VelocityShares LLC.

Neither VelocityShares Index & Calculation Services, VelocityShares LLC (together, “VelocityShares”) nor any other party makes any representation or warranty, express or implied, to the owners of the Funds or any member of the public regarding the advisability of investing in the Funds generally or the similarities or variations between the performance of the index and the performance of the underlying security. VelocityShares is the licensor of certain trademarks, service marks and trade names of VelocityShares and of the index which is determined, composed and calculated by VelocityShares without regard to the issuer of the Funds. Neither VelocityShares nor any other party guarantees the accuracy and/or the completeness of the indices or any date included therein. VelocityShares disclaims all warranties of merchantability or fitness for any particular purpose with respect to the indices or any data included therein.

ALTHOUGH VELOCITYSHARES SHALL OBTAIN INFORMATION FOR INCLUSION IN OR FOR USE IN THE CALCULATION OF THE INDEXES FROM SOURCES WHICH VELOCITYSHARES CONSIDERS RELIABLE, NEITHER VELOCITYSHARES NOR ANY OTHER PARTY GUARANTEES THE ACCURACY AND/OR THE COMPLETENESS OF THE INDEXES OR ANY DATA INCLUDED THEREIN. NEITHER VELOCITYSHARES NOR ANY OTHER PARTY MAKES ANY WARRANTY, EXPRESS OR IMPLIED, AS TO RESULTS TO BE OBTAINED BY LICENSEE, LICENSEE’S CUSTOMERS AND COUNTERPARTIES, HOLDERS OF THE FUNDS, OR ANY OTHER PERSON OR ENTITY FROM THE USE OF THE INDEXES OR ANY OTHER DATA INCLUDED THEREIN IN CONNECTION WITH THE RIGHTS LICENSED HEREUNDER OR FOR ANY OTHER USE. NEITHER VELOCITYSHARES NOR ANY OTHER PARTY MAKES ANY EXPRESS OR IMPLIED WARRANTIES OF MERCHANTABILITY OR FITNESS FOR A PARTICULAR PURPOSE WITH RESPECT TO THE INDEXES OR ANY DATA INCLUDED THEREIN AND VELOCITYSHARES HEREBY EXPRESSLY DISCLAIMS ALL SUCH WARRANTIES. WITHOUT LIMITING ANY OF THE FOREGOING, IN NO EVENT SHALL VELOCITYSHARES OR ANY OTHER PARTY HAVE ANY LIABILITY FOR ANY DIRECT, INDIRECT, SPECIAL, PUNITIVE, CONSEQUENTIAL OR ANY OTHER DAMAGES.

 

22  |  May 31, 2015


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Page Intentionally Left Blank


Table of Contents

LOGO

 

This report has been prepared for shareholders of the ETFs described herein

and may be distributed to others only if preceded or accompanied by a prospectus.

 

ALPS Portfolio Solutions Distributor, Inc., distributor for the ETFs.

 

   LOGO


Table of Contents
Item 2. Code of Ethics.

Not Applicable to this Report.

 

Item 3. Audit Committee Financial Expert.

Not Applicable to this Report.

 

Item 4. Principal Accountant Fees and Services.

Not Applicable to this Report.

 

 

Item 5. Audit Committee of Listed Registrants.

Not applicable to Registrant.

 

Item 6. Investments.

(a)        Schedule of Investments is included as part of the Report to Stockholders filed under Item 1 of this Form N-CSR.

(b)        Not applicable

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

Not applicable to Registrant.

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

Not applicable to Registrant.

 

-2-


Table of Contents
Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

Not applicable to Registrant.

 

Item 10. Submission of Matters to a Vote of Security Holders.

No material changes to the procedures by which the shareholders may recommend nominees to the Registrant’s Board of Trustees have been implemented after the Registrant’s last provided disclosure in response to the requirements of Item 407(c)(2)(iv) of Regulation S-K (17 CFR 229.407) (as required by Item 22(b)(15) of Schedule 14A (17 CFR 240.14a-101)), or this Item.

 

Item 11. Controls and Procedures.

 

  (a)

The Registrant’s principal executive officer and principal financial officer have concluded that the Registrant’s disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940, as amended) are effective based on their evaluation of these controls and procedures as of a date within 90 days of the filing date of this report.

 

  (b) There was no change in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940, as amended) 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.

 

Item 12. Exhibits.

 

  (a)(1)   Not applicable to this Report.

 

  (a)(2)

The certifications required by Rule 30a-2(a) of the Investment Company Act of 1940, as amended, and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto as Exhibit 99.Cert.

 

  (a)(3)

Not applicable.

 

  (b)

The certifications by the Registrant’s principal executive officer and principal financial officer, as required by Rule 30a-2(b) of the Investment Company Act of 1940, as amended, and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto as Exhibit 99.906Cert.

 

-3-


Table of Contents

SIGNATURES

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the Registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly authorized.

ALPS ETF TRUST

 

By:   /s/ Thomas A. Carter
  Thomas A. Carter (Principal Executive Officer)
  President
Date:   August 4, 2015

Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, 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/ Thomas A. Carter
  Thomas A. Carter (Principal Executive Officer)
  President
Date:   August 4, 2015
By:   /s/ Patrick D. Buchanan
  Patrick D. Buchanan (Principal Financial Officer)
  Treasurer
Date:   August 4, 2015

 

-4-

EX-99.CERT 2 d15293dex99cert.htm CERTIFICATIONS Certifications

Exhibit 99.Cert

I, Thomas A. Carter, President and Principal Executive Officer of the ALPS ETF Trust (the “Registrant”), certify that:

 

  1. I have reviewed this report on Form N-CSR of the Registrant;

 

  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 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 the 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 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.

 

By:    /s/ Thomas A. Carter
   Thomas A. Carter (Principal Executive Officer)
   President
Date:    August 4, 2015

 

-5-


I, Patrick D. Buchanan, Treasurer and Principal Financial Officer of the ALPS ETF Trust (the “Registrant”), certify that:

 

  1. I have reviewed this report on Form N-CSR of the Registrant;

 

  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 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 the 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 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.

 

By:    /s/ Patrick D. Buchanan
  

Patrick D. Buchanan (Principal Financial Officer)

Treasurer

Date:    August 4, 2015

 

-6-

EX-99.906CERT 3 d15293dex99906cert.htm 906 CERTIFICATIONS 906 Certifications

Exhibit 99.906Cert

This certification is furnished pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, 18 U.S.C. § 1350, and accompanies the report on Form N-CSR (the “Report”) for the period ended May 31, 2015, of the ALPS ETF Trust (the “Company”).

I, Thomas A. Carter, the President and Principal Executive Officer of the Company, certify that:

 

  (i) the Report fully complies with the requirements of Section 13(a) or Section 15(d), as applicable, of the Securities Exchange Act of 1934 (15 U.S.C. 78m or 78o(d)); and

 

  (ii) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Dated:    August 4, 2015
By:    /s/ Thomas A. Carter
   Thomas A. Carter (Principal Executive Officer)
   President

 

-7-


This certification is furnished pursuant to Section 906 of the Sarbanes-Oxley Act of 2002, 18 U.S.C. § 1350, and accompanies the report on Form N-CSR (the “Report”) for the period ended May 31, 2015, of the ALPS ETF Trust (the “Company”).

I, Patrick D. Buchanan, the Treasurer and Principal Financial Officer of the Company, certify that:

 

  (i) the Report fully complies with the requirements of Section 13(a) or Section 15(d), as applicable of the Securities Exchange Act of 1934 (15 U.S.C. 78m or 78o(d)); and

 

  (ii) the information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Dated:    August 4, 2015
By:    /s/ Patrick D. Buchanan
   Patrick D. Buchanan (Principal Financial Officer)
   Treasurer

 

-8-

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