0001144204-15-035268.txt : 20150603 0001144204-15-035268.hdr.sgml : 20150603 20150603164244 ACCESSION NUMBER: 0001144204-15-035268 CONFORMED SUBMISSION TYPE: N-CSR PUBLIC DOCUMENT COUNT: 29 CONFORMED PERIOD OF REPORT: 20150331 FILED AS OF DATE: 20150603 DATE AS OF CHANGE: 20150603 EFFECTIVENESS DATE: 20150603 FILER: COMPANY DATA: COMPANY CONFORMED NAME: EGA Emerging Global Shares Trust CENTRAL INDEX KEY: 0001450501 IRS NUMBER: 000000000 STATE OF INCORPORATION: DE FISCAL YEAR END: 0331 FILING VALUES: FORM TYPE: N-CSR SEC ACT: 1940 Act SEC FILE NUMBER: 811-22255 FILM NUMBER: 15910538 BUSINESS ADDRESS: STREET 1: 155 WEST 19TH STREET CITY: NEW YORK STATE: NY ZIP: 10011 BUSINESS PHONE: 212-337-7115 MAIL ADDRESS: STREET 1: 155 WEST 19TH STREET CITY: NEW YORK STATE: NY ZIP: 10011 0001450501 S000027356 EGShares India Infrastructure ETF C000082565 EGShares India Infrastructure ETF INXX 0001450501 S000027358 EGShares Brazil Infrastructure ETF C000082567 EGShares Brazil Infrastructure ETF BRXX 0001450501 S000027359 EGShares India Small Cap ETF C000082568 EGShares India Small Cap ETF SCIN 0001450501 S000028760 EGShares Emerging Markets Consumer ETF C000088095 EGShares Emerging Markets Consumer ETF ECON 0001450501 S000032847 EGShares India Consumer ETF C000101379 EGShares India Consumer ETF INCO 0001450501 S000032849 EGShares EM Quality Dividend ETF C000101381 EGShares EM Quality Dividend ETF HILO 0001450501 S000036698 EGShares Beyond BRICs ETF C000112122 EGShares Beyond BRICs ETF BBRC 0001450501 S000036699 EGShares Emerging Markets Domestic Demand ETF C000112123 EGShares Emerging Markets Domestic Demand ETF EMDD 0001450501 S000038196 EGShares Emerging Markets Core ETF C000117786 EGShares Emerging Markets Core ETF EMCR 0001450501 S000044526 EGShares Blue Chip ETF C000138527 EGShares Blue Chip ETF BCHP N-CSR 1 v407841_ncsr.htm N-CSR

 

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  811-22255

 

EGA Emerging Global Shares Trust

 

(Exact name of registrant as specified in charter)

 

155 West 19th Street, Floor 3
New York, NY 10011

 

(Address of principal executive offices) (Zip code)

 

Robert C. Holderith
155 West 19th Street, Floor 3
New York, NY 10011

 

(Name and address of agent for service)

 

Registrant's telephone number, including area code:  1-201-389-6872

 

Date of fiscal year end:  March 31

 

Date of reporting period: March 31, 2015

 

 

 

Form N-CSR is to be used by management investment companies to file reports with the Commission not later than 10 days after the transmission to stockholders of any report that is required to be transmitted to stockholders under Rule 30e-1 under the Investment Company Act of 1940 (17 CFR 270.30e-1). The Commission may use the information provided on Form N-CSR in its regulatory, disclosure review, inspection, and policymaking roles.

 

A registrant is required to disclose the information specified by Form N-CSR, and the Commission will make this information public. A registrant is not required to respond to the collection of information contained in Form N-CSR unless the Form displays a currently valid Office of Management and Budget ("OMB") control number. Please direct comments concerning the accuracy of the information collection burden estimate and any suggestions for reducing the burden to Secretary, Securities and Exchange Commission, 100 F Street, NE, Washington, DC 20549. The OMB has reviewed this collection of information under the clearance requirements of 44 U.S.C. § 3507.

 

 
 

 

Item 1. Reports to Stockholders.

 

The Report to Shareholders is attached herewith.

 

[GRAPHIC MISSING] 


 
EGA Emerging Global Shares Trust
 

Annual Report

March 31, 2015

 

EGShares Beyond BRICs ETF

EGShares Blue Chip ETF

EGShares Brazil Infrastructure ETF

EGShares EM Quality Dividend ETF

EGShares Emerging Markets Consumer ETF

EGShares Emerging Markets Core ETF

EGShares Emerging Markets Domestic Demand ETF

EGShares India Consumer ETF

EGShares India Infrastructure ETF

EGShares India Small Cap ETF


 
 

TABLE OF CONTENTS

Table of Contents
 

 
Shareholder Letter     1  
Portfolio Summaries     4  
Shareholder Expense Examples     24  
Schedule of Investments
        
EGShares Beyond BRICs ETF     26  
EGShares Blue Chip ETF     28  
EGShares Brazil Infrastructure ETF     29  
EGShares EM Quality Dividend ETF (consolidated)     30  
EGShares Emerging Markets Consumer ETF (consolidated)     32  
EGShares Emerging Markets Core ETF (consolidated)     33  
EGShares Emerging Markets Domestic Demand ETF (consolidated)     35  
EGShares India Consumer ETF (consolidated)     36  
EGShares India Infrastructure ETF (consolidated)     37  
EGShares India Small Cap ETF (consolidated)     38  
Statements of Assets and Liabilities     40  
Statements of Operations     42  
Statements of Changes in Net Assets     44  
Financial Highlights     47  
Notes to Financial Statements     52  
Report of Independent Registered Public Accounting Firm     63  
Federal Income Tax Information     64  
Board Review and Approval of Advisory Contracts     65  
Board of Trustees and Officers     72  
General Information     74  

  
 


 
 

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Shareholder Letter
March 31, 2015
 

Dear Shareholder,

The last twelve months can be described in a single word for emerging markets investors: volatile. What started off as a continuation of the turnaround we saw in most emerging market countries at the end of 2013 turned into rough ride by September 2014. Gains in the MSCI Emerging Markets (EM) Index in July and August evaporated in September as investors were roiled by a sharp rise in the U.S. Dollar (USD). This sharp rise was bolstered by fears of an earlier than expected rate hike by the U.S. Federal Reserve as the U.S. economy appeared to gather some momentum. Emerging markets were not the only non-U.S. equity market affected and the euro declined as Europe edged closer to recession. Overall, the MSCI EM Index was up 0.44% from March 31, 2014 – March 31, 2015.1

Although volatility continued in the fourth quarter of 2014, the first quarter of 2015 ended just about where it started for most broad emerging market indices. A single driver caused most of the price movement: the price of oil. Whether you regard the U.S. based West Texas Intermediate (WTI) or the broader Brent Crude measure as the benchmark for oil prices, most investors felt the almost 50% drop in the price of crude oil at the gas pump.

What should be a positive driver for consumers globally caused an unfortunate side-effect for U.S. investors that invest in companies that are valued in other currencies: a strengthening USD, which caused a slide in prices of most securities not denominated in USD. Overall, the USD climbed 15% or more compared to most foreign currencies in Q4 2014, including emerging market currencies.

Certain countries, many of which are emerging or frontier market countries, are oil-revenue dependent. The dramatic price change in oil and the stronger dollar had much more impact on investors holding stocks in these countries. Russia, Nigeria, Oman, the UAE and Malaysia were generally more affected than most other emerging and frontier market countries where oil exports contribute little to their gross domestic product (GDP). However, there are many emerging market that are oil importers, though the market gave them little credit for this.

As in 2013, asset flows for both emerging markets equity and fixed income exchange-traded funds (ETFs) were negative in 2014 while asset flows at Emerging Global Advisors (EGA) were positive. EGA's assets under management (AUM) increased to $1.70 billion at the end of March 2015 versus $1.47 billion at the end of the first quarter of last year, a difference of about 14.9%2. Much of this change in AUM was from market action as well as positive fund flows. India, a major oil importer, continued to be a bright spot for EGA. Positive flows into the EGShares India Consumer ETF (INCO) were very positive, growing the size of that fund to about $90 million.

In the last 12 months, we closed several ETFs that did not have adequate investor interest. Our suite of three fixed income funds, the EGShares TCW EM Short Term Investment Grade Bond ETF (SEMF), EGShares TCW EM Intermediate Term Investment Grade Bond ETF (IEMF) and EGShares TCW EM Long Term Investment Grade Bond ETF (LEMF); the EGShares China Infrastructure ETF (CHXX); and two equity income funds, the EGShares EM Dividend High Income ETF (EMHD) and the EGShares Emerging Markets Dividend Growth ETF (EMDG), were all liquidated since my last annual letter to you. EGA launched one new ETF, the EGShares Blue Chip ETF (BCHP) in April 2014.

Thank you again for your support of our products and EGA.

Sincerely,

[GRAPHIC MISSING] 

Robert C. Holderith
President and Founder
Emerging Global Advisors, LLC

Footnotes

1 Source: Bloomberg, MSCI as of March 31, 2015.
2 Source: ETF.com as of March 31, 2015.

EGA Emerging Global Shares Trust   1


 
 

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Shareholder Letter (concluded)
March 31, 2015
 

This material must be accompanied or preceded by the prospectus.

Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. Small and mid-cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources, or a dependency upon a particular market niche.

These Funds may be non-diversified and, as a result, may have greater volatility than diversified-funds. A Fund may concentrate its investment in issuers of one or more particular industries to the same extent that the underlying index. Concentration risk results from maintaining exposure to issuers conducting business in a specific industry. In certain circumstances, a Fund might not be able to dispose of certain holdings quickly or at prices that represent true market value preventing them from tracking the underlying index.

MSCI Emerging Markets Index is an index that is designed to measure equity market performance in global emerging markets.

The MSCI information may only be used for your internal use, may not be reproduced or redisseminated in any form and may not be used as a basis for or a component of any financial instruments or products or indices. None of the MSCI information is intended to constitute investment advice or a recommendation to make (or refrain from making) any kind of investment decision and may not be relied on as such. Historical data and analysis should not be taken as an indication or guarantee of any future performance analysis, forecast or prediction. The MSCI information is provided on an “as is” basis and the user of this information assumes the entire risk of any use made of this information. MSCI, each of its affiliates and each other person involved in or related to compiling, computing or creating any MSCI information (collectively, the “MSCI Parties”) expressly disclaims all warranties (including, without limitation, any warranties of originality, accuracy, completeness, timeliness, non-infringement, merchantability and fitness for a particular purpose) with respect to this information. Without limiting any of the foregoing, in no event shall any MSCI Party have any liability for any direct, indirect, special, incidental, punitive, consequential (including, without limitation, lost profits) or any other damages.

This manager commentary represents an assessment of the market environment at a specific point in time and is not intended to be a forecast of future events, or a guarantee of future results. This information should not be relied upon by the reader as research or investment advice. Past performance is no guarantee of future results.

Robert Holderith is a registered representative of ALPS Distributors, Inc. EGA and EGShares Funds (“Funds”) are distributed by ALPS Distributors, Inc. EGA and ALPS Distributors, Inc. are unaffiliated entities.

2   EGA Emerging Global Shares Trust


 
 

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EGA Emerging Global Shares Trust   3


 
 

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Portfolio Summary (Unaudited)
EGShares Beyond BRICs ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Financials

    38.2 % 

<

Telecommunications

    19.7  

<

Consumer Services

    9.7  

<

Industrials

    8.3  

<

Consumer Goods

    7.5  

<

Oil & Gas

    6.0  

<

Utilities

    5.1  

<

Basic Materials

    4.0  

<

Health Care

    1.5  

Top Ten Holdings*

 
Naspers, Ltd. N Shares     3.2 % 
Masraf Al Rayan     3.1  
America Movil SAB de CV Series L     3.1  
Zenith Bank PLC     3.0  
Guaranty Trust Bank PLC     2.9  
Industries Qatar QSC     2.7  
Vodafone Qatar     2.7  
MTN Group, Ltd.     2.6  
Fomento Economico Mexicano SAB de CV Series UBD ADR     2.3  
Ooredoo QSC     2.2  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Beyond BRICs ETF (ticker: BBRC)

The EGShares Beyond BRICs ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the FTSE Beyond BRICs Index (the “Beyond BRICs Underlying Index”). The Beyond BRICs Underlying Index is designed to represent the performance of a diversified basket of 90 liquid companies in Emerging and Frontier markets ex Brazil, Russia, India, China (BRIC), Taiwan and Argentina as defined by FTSE’s Country Classification System. The index is market capitalization weighted, and has 75% exposure to emerging markets and 25% to frontier markets at rebalance.

The Fund had a total return of -0.15% at net asset value (“NAV”) for the quarter ended March 31, 2015 and 0.80% annualized return since its inception date of August 15, 2012. The Fund had a -4.16% return for the full year ended March 31, 2015. The Fund is designed to be allocated among different countries and industries. As of March 31, 2015, the top five country weights were South Africa, Mexico, Qatar, Malaysia and Indonesia and the top five industry weights were financials, telecommunications, consumer services, industrials and consumer goods.

Portfolio attribution for the 12-month period ended March 31, 2015 shows that exposure to Indonesia, South Africa and Oman contributed to the Fund performance, while exposure to Qatar, Malaysia and Poland detracted. By industry, exposure to consumer services, consumer goods and health care contributed to Fund performance, while exposure to basic materials, oil & gas and industrials were the main detractors.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. These risks may be greater for investments in frontier markets. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small-cap and mid-cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources, or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

4   EGA Emerging Global Shares Trust


 
 

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EGShares Beyond BRICs ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Combined Indxx Beyond
BRICs Index/
FTSE Beyond
BRICs Index1
1 Year     -4.16 %      -4.78 %      -3.04 % 
Since Inception2     0.80 %      0.85 %      2.83 % 
1 The Index shown is reflective of the Indxx Beyond BRICs Index prior to October 25, 2013 and the FTSE Beyond BRICs Index thereafter.
2 August 15, 2012.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85% and after expense waivers is 0.58%. EGA has entered into a written fee waiver agreement to waive its advisory fee to 0.58% of the Fund's average daily net assets without which the performance would have been lower. The Fee Waiver Agreement will remain in effect and will be contractually binding for two years from October 1, 2013. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

1 Effective October 25, 2013, the EGShares Beyond BRICs ETF’s investment objective was revised to seek investment results that correspond to the price and yield performance of the FTSE Beyond BRICs Index.
2 The Index shown is reflective of the Indxx Beyond BRICs Index prior to October 25, 2013 and the FTSE Beyond BRICs Index thereafter.

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   5


 
 

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Portfolio Summary (Unaudited)
EGShares Blue Chip ETF
 

Sector Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Information Technology

    27.4 % 

<

Materials

    23.1  

<

Consumer Discretionary

    16.1  

<

Consumer Staples

    13.4  

<

Telecommunication Services

    6.0  

<

Industrials

    5.4  

<

Energy

    4.9  

<

Financials

    3.7  

Top Ten Holdings*

 
Catcher Technology Co., Ltd.     4.4 % 
Skyworks Solutions, Inc.     4.4  
Avago Technologies, Ltd.     4.3  
NXP Semiconductors NV     4.2  
Pirelli & C. SpA     3.8  
Mondi PLC     3.8  
Jeronimo Martins SGPS SA     3.7  
Largan Precision Co., Ltd.     3.7  
Akzo Nobel NV     3.7  
Old Mutual PLC     3.7  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Blue Chip ETF (ticker: BCHP)

The EGShares Blue Chip ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the EGAI Developed Markets Blue Chip EM Access Index (the “Blue Chip Underlying Index”). The Blue Chip Underlying Index is an equal-weighted equity index comprised of 30 well-established, widely recognized companies that are domiciled and publicly traded in developed market countries and have, as of the most recent constitution, a U.S. Dollar equivalent market capitalization of at least $2 billion (based on then-current exchange rates) and measurable revenue from developing market countries.

The Fund had a total return of 5.35% at net asset value (“NAV”) for the quarter ended March 31, 2015 and -3.57% cumulative return since its inception date of April 23, 2014. The Fund is designed to be allocated among different countries and sectors. As of March 31, 2015, the top five country weights were the United States, Taiwan, the Netherlands, Switzerland and the United Kingdom, and the top five sector weights were information technology, materials, consumer discretionary, consumer staples and telecommunications services.

Portfolio attribution for the period since inception to March 31, 2015 shows that in general exposure to the United States, Singapore and Netherlands contributed to Fund performance, while exposure to Luxembourg, Australia and Canada detracted. By sector, exposure to information technology and consumer staples largely contributed to Fund performance, while exposure to energy, consumer discretionary and materials detracted.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Mid-cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources, or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

6   EGA Emerging Global Shares Trust


 
 

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EGShares Blue Chip ETF
 

Performance as of 3/31/2015

     
  Total Return
     Fund
Net Asset Value
  Fund
Market Price
  EGAI Developed
Markets Blue
Chip EM
Access Index
Since Inception1     -3.57 %      -3.72 %      -2.66 % 
1 April 23, 2014.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.60%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   7


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares Brazil Infrastructure ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Utilities

    59.7 % 

<

Basic Materials

    16.5  

<

Telecommunications

    11.8  

<

Industrials

    10.3  

<

Health Care

    1.7  

Top Ten Holdings*

 
CPFL Energia SA     5.6 % 
Companhia Energetica de Minas Gerais Preference Shares     5.3  
Ultrapar Participacoes SA     5.3  
CCR SA     5.2  
Tractebel Energia SA     5.2  
Equatorial Energia SA     5.1  
Companhia de Saneamento Basico do Estado de Sao Paulo     5.0  
Companhia Energetica de Sao Paulo Preference Shares Class B     4.9  
Telefonica Brasil SA Preference Shares     4.7  
Companhia Siderurgica Nacional SA     4.7  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Brazil Infrastructure ETF (ticker: BRXX)

The EGShares Brazil Infrastructure ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the FTSE Brazil Infrastructure Extended Index (the “BRXX Underlying Index”). The BRXX Underlying Index is a free-float capitalization weighted stock market index designed to represent the performance of the 30 largest Brazilian companies ranked by full market capitalization that FTSE determines to be representative of Brazil’s infrastructure industries.

The Fund had a total return of -18.57% at net asset value (“NAV”) for the quarter ended March 31, 2015 and -11.05% annualized return since its inception date of February 24, 2010. The Fund had a -41.17% return for the full year ended March 31, 2015. The Fund is designed to be country specific and to have exposures specific to certain industries that are related to infrastructure. As of March 31, 2015, the Fund had over 50% of assets in companies in the utilities industry, as well as exposure to basic materials, industrials, telecommunications and health care.

Portfolio attribution for the 12-month period ended March 31, 2015 shows that exposure to basic materials, telecommunications, health care and industrials industries detracted from Fund performance, while exposure to utilities contributed positively.

The Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

8   EGA Emerging Global Shares Trust


 
 

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EGShares Brazil Infrastructure ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Combined
Indxx Brazil
Infrastructure
Index/
FTSE Brazil
Infrastructure
Extended Index1
1 Year     -41.17 %      -40.49 %      -40.43 % 
3 Year     -24.63 %      -24.54 %      -23.73 % 
5 Year     -11.74 %      -12.32 %      -10.70 % 
Since Inception2     -11.05 %      -11.06 %      -9.52 % 
1 The Index shown is reflective of the Indxx Brazil Infrastructure Index prior to February 3, 2014 and the FTSE Brazil Infrastructure Extended Index thereafter.
2 February 24, 2010.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

1 Effective February 3, 2014, the EGShares Brazil Infrastructure ETF’s investment objective was revised to seek investment results that correspond to the price and yield performance of the FTSE Brazil Infrastructure Extended Index.
2 The Index shown is reflective of the Indxx Brazil Infrastructure Index prior to February 3, 2014 and the FTSE Brazil Infrastructure Extended Index thereafter.

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   9


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares EM Quality Dividend ETF
 

Sector Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Financials

    21.6 % 

<

Energy

    20.1  

<

Telecommunication Services

    17.0  

<

Information Technology

    12.1  

<

Consumer Staples

    10.4  

<

Materials

    8.7  

<

Consumer Discretionary

    6.1  

<

Utilities

    2.0  

<

Industrials

    2.0  

Top Ten Holdings*

 
Uralkali PJSC GDR     2.4 % 
Tupras-Turkiye Petrol Rafinerileri AS     2.3  
Globe Telecom, Inc.     2.3  
Nan Ya Plastics Corp.     2.3  
KT&G Corp.     2.2  
Delta Electronics, Inc.     2.2  
Uni-President Enterprises Corp.     2.2  
Hotai Motor Co., Ltd.     2.2  
FirstRand, Ltd.     2.2  
Siliconware Precision Industries Co., Ltd.     2.1  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares EM Quality Dividend ETF (ticker: HILO)

The EGShares EM Quality Dividend ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the EGAI Emerging Markets Quality Dividend Index (the “HILO Underlying Index”). Effective as of January 26, 2015, the Fund began tracking the new HILO Underlying Index instead of the former FTSE Emerging All Cap ex Taiwan Low Volatility Dividend Index. The HILO Underlying Index is designed to represent a portfolio of approximately 50 companies in developing markets that each have a higher dividend yield than the average dividend yield in the EGAI Developing Markets Universe.

The Fund had a total return of -1.45% at net asset value (“NAV”) for the quarter ended March 31, 2015 and -4.98% annualized return since its inception date of August 4, 2011. The Fund had a -8.37% return for the full year ended March 31, 2015. The Fund is designed to be allocated among different countries and sectors. As of March 31, 2015, the top five country weights were China, Taiwan, Brazil, Malaysia and Turkey and the top five sector weights were financials, energy, telecommunication services, information technology and consumer staples.

Portfolio attribution for the 12-month period ended March 31, 2015 generally shows that exposure to China, the United Arab Emirates and Mexico contributed to Fund performance, while exposure to Colombia, Brazil and the Czech Republic detracted. By sector, exposure to industrials, consumer staples and consumer discretionary largely contributed to Fund performance, while exposure to energy, telecommunication services and financials detracted.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in a specific industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

10   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

EGShares EM Quality Dividend ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Combined Indxx
Emerging Market High
Income Low Beta
Index/FTSE Emerging
All Cap ex Taiwan Low
Volatility Dividend
Index/EGAI Emerging
Markets Quality
Dividend Index1
1 Year     -8.37 %      -8.34 %      -55.09 % 
3 Year     -6.80 %      -7.04 %      -26.19 % 
Since Inception2     -4.98 %      -5.10 %      -21.25 % 
1 The Index shown is reflective of the Indxx Emerging Market High Income Low Beta Index prior to February 3, 2014, the FTSE Emerging All Cap ex Taiwan Low Volatility Dividend Index from February 3, 2014 until January 23, 2015, and the EGAI Emerging Markets Quality Dividend Index thereafter.
2 August 4, 2011.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

1 Effective January 26, 2015, the EGShares EM Quality Dividend ETF’s investment objective was revised to seek investment results that correspond to the price and yield performance of the EGAI Emerging Markets Quality Dividend Index.
2 The Index shown is reflective of the Indxx Emerging Market High Income Low Beta Index prior to February 3, 2014, the FTSE Emerging All Cap ex Taiwan Low Volatility Dividend Index from February 3, 2014 until January 23, 2015 and the EGAI Emerging Markets Quality Dividend Index thereafter.

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   11


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares Emerging Markets Consumer ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Consumer Goods

    52.3 % 

<

Consumer Services

    47.7  

Top Ten Holdings*

 
Naspers, Ltd. N Shares     10.7 % 
Ambev SA ADR     6.0  
Fomento Economico Mexicano SAB de CV Series UBD ADR     5.2  
Steinhoff International Holdings, Ltd.     5.0  
Magnit PJSC GDR     4.5  
PT Astra International Tbk     4.3  
Grupo Televisa SAB Series CPO     4.2  
Wal-Mart de Mexico SAB de CV     4.1  
BRF SA ADR     4.0  
Vipshop Holdings, Ltd. ADR     3.5  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Emerging Markets Consumer ETF (ticker: ECON)

The EGShares Emerging Markets Consumer ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Dow Jones Emerging Markets Consumer Titans 30 IndexSM (the “Consumer Titans Underlying Index”). The Consumer Titans Underlying Index is a float-adjusted market capitalization index designed to measure the stock performance of 30 leading emerging market companies in the Consumer Goods and Consumer Services Industries, as defined by S&P Dow Jones Indices’ proprietary industry classification system.

The Fund had a total return of 3.68% at net asset value (“NAV”) for the quarter ended March 31, 2015 and 7.04% annualized return since its inception date of September 14, 2010. The Fund had a 0.88% return for the full year ended March 31, 2015. The Fund is designed to be broadly allocated by country, yet sector specific. As of March 31, 2015, the top five country weights were China, South Africa, Mexico, Brazil and India and the Fund had 52% exposure to consumer goods and 48% to consumer services industries.

Portfolio attribution for the 12-month period ended March 31, 2015 shows that exposure to South Africa, China and India were the main contributors to the Fund's performance, while exposure to Brazil, Chile and Malaysia detracted. By industry, exposure to both consumer services and consumer goods contributed to Fund performance.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Mid cap companies may have greater volatility in price than the stocks of large cap companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

12   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

EGShares Emerging Markets Consumer ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Dow Jones
Emerging Markets
Consumer
Titans 30 Index
1 Year     0.88 %      0.74 %      1.89 % 
3 Year     3.01 %      2.90 %      4.08 % 
Since Inception1     7.04 %      7.03 %      8.33 % 
1 September 14, 2010.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.84%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   13


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares Emerging Markets Core ETF
 

Sector Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Consumer Discretionary

    19.6 % 

<

Financials

    17.4  

<

Consumer Staples

    14.5  

<

Industrials

    9.1  

<

Information Technology

    8.8  

<

Health Care

    7.2  

<

Utilities

    7.0  

<

Materials

    6.3  

<

Energy

    5.2  

<

Telecommunication Services

    4.9  

Top Ten Holdings*

 
Sun Pharmaceutical Industries, Ltd.     1.6 % 
PT Unilever Indonesia Tbk     1.5  
Naspers, Ltd. N Shares     1.5  
Jollibee Foods Corp.     1.4  
S.A.C.I. Falabella     1.4  
Ayala Land, Inc.     1.4  
Wal-Mart de Mexico SAB de CV     1.4  
SM Investments Corp.     1.3  
Grupo Aeroportuario del Sureste SAB de CV Class B     1.3  
MMC Norilsk Nickel OJSC ADR     1.3  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Emerging Markets Core ETF (ticker: EMCR)

The EGShares Emerging Markets Core ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the S&P Emerging Markets Core Index (the “Core Underlying Index”). The Core Underlying Index is designed to measure the market performance of up to 116 companies that S&P Dow Jones Indices determines to be representative of all industries domiciled in emerging market countries, subject to a 15% country cap.

The Fund had a total return of 0.95% at net asset value (“NAV”) for the quarter ended March 31, 2015 and 2.18% annualized return since its inception date of October 16, 2012. The Fund had a 1.22% return for the full year ended March 31, 2015. The Fund is designed to be allocated among different countries and sectors. As of March 31, 2015, the top five country weights were China, South Africa, India, Mexico and Brazil and the top five sector weights were consumer discretionary, financials, consumer staples, industrials and information technology.

Portfolio attribution for the 12-month period ended March 31, 2015 generally shows that exposure to China, the Philippines and India contributed to Fund performance, while exposure in Brazil, Russia and Chile detracted. By sector, exposure to information technology, health care and consumer discretionary largely contributed to Fund performance, while exposure to materials, energy and consumer staples detracted.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

14   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

EGShares Emerging Markets Core ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  S&P Emerging
Markets Core Index
1 Year     1.22 %      1.87 %      1.59 % 
Since Inception1     2.18 %      2.45 %      3.15 % 
1 October 16, 2012.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.70%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   15


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares Emerging Markets Domestic Demand ETF
 

Sector Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Consumer Discretionary

    30.0 % 

<

Telecommunication Services

    29.0  

<

Consumer Staples

    28.2  

<

Utilities

    7.5  

<

Health Care

    5.3  

Top Ten Holdings*

 
Naspers, Ltd. N Shares     5.4 % 
China Mobile, Ltd.     4.9  
America Movil SAB de CV Series L ADR     4.9  
MTN Group, Ltd.     4.6  
Ambev SA ADR     4.5  
Steinhoff International Holdings, Ltd.     4.2  
Grupo Televisa SAB ADR     3.6  
PT Astra International Tbk     3.4  
Fomento Economico Mexicano SAB de CV ADR     3.4  
Tenaga Nasional Bhd     3.0  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares Emerging Markets Domestic Demand ETF (ticker: EMDD)

The EGShares Emerging Markets Domestic Demand ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the S&P Emerging Markets Domestic Demand Index (the “EMDD Underlying Index”). The EMDD Underlying Index is designed to measure the performance of companies in emerging markets that derive a significant portion of their revenues from sectors that are less reliant on exports and therefore driven by domestic demand, specifically those companies in the consumer staples, consumer discretionary, telecommunications services, healthcare and utilities sectors.

The Fund had a total return of 2.90% at net asset value (“NAV”) for the quarter ended March 31, 2015 and 6.70% annualized return since its inception date of August 15, 2012. The Fund had a 4.82% return for the full year ended March 31, 2015. The Fund is designed to be broadly allocated by country, but limited to certain sectors. As of March 31, 2015, the top five country weights were South Africa, China, Mexico, India and Brazil and roughly 87% of Fund assets were in the top three sectors, consumer discretionary, telecommunication services and consumer staples, with the remaining assets in utilities and health care.

Portfolio attribution for the 12-month period ended March 31, 2015 generally shows that exposure to South Africa, India and China contributed to Fund performance, while exposure to Brazil, Russia and Turkey detracted. By sector, exposure to consumer discretionary, telecommunication services and health care largely contributed to Fund performance, while exposure to consumer staples and utilities detracted.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Mid cap companies may have greater volatility in price than the stocks of large cap companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

16   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

EGShares Emerging Markets Domestic Demand ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Combined Indxx Emerging Markets
Domestic Demand
Index/S&P
Emerging Markets
Domestic
Demand Index1
1 Year     4.82 %      4.84 %      6.01 % 
Since Inception2     6.70 %      6.88 %      8.25 % 
1 The Index shown is reflective of the Indxx Emerging Markets Domestic Demand Index prior to February 3, 2014 and the S&P Emerging Markets Domestic Demand Index thereafter.
2 August 15, 2012.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

1 Effective February 3, 2014, the EGShares Emerging Markets Domestic Demand ETF’s investment objective was revised to seek investment results that correspond to the price and yield performance of the S&P Emerging Markets Domestic Demand Index.
2 The Index shown is reflective of the Indxx Emerging Markets Domestic Demand Index prior to February 3, 2014 and the S&P Emerging Markets Domestic Demand Index thereafter.

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   17


 
 

TABLE OF CONTENTS

Portfolio Summary (Unaudited)
EGShares India Consumer ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Consumer Goods

    74.1 % 

<

Industrials

    15.2  

<

Consumer Services

    10.7  

Top Ten Holdings*

 
Bharat Forge, Ltd.     5.5 % 
Motherson Sumi Systems, Ltd.     5.5  
United Spirits, Ltd.     5.0  
Nestle India, Ltd.     4.9  
Tata Motors, Ltd.     4.9  
Hindustan Unilever, Ltd.     4.8  
Dabur India, Ltd.     4.8  
Mahindra & Mahindra, Ltd.     4.8  
Bosch, Ltd.     4.7  
Hero MotoCorp, Ltd.     4.6  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares India Consumer ETF (ticker: INCO)

The EGShares India Consumer ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Consumer Index (the “India Consumer Underlying Index”). The India Consumer Underlying Index is a maximum 30-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the consumer industry, as defined by Indxx’s proprietary methodology, in India.

The Fund had a total return of 9.24% at net asset value (“NAV”) for the quarter ended March 31, 2015 and 17.06% annualized return since its inception date of August 10, 2011. The Fund had a 43.64% return for the full year ended March 31, 2015. The Fund is designed to be country specific and to have exposures specific to certain industries related to the Indian consumer. As of March 31, 2015, the Fund had over 73% of assets in companies in the consumer goods industry, as well as exposure to the industrials and consumer services industries.

Portfolio attribution for the 12-month period ended March 31, 2015 shows that exposure across all three industries, consumer goods, industrials and consumer services, contributed positively to Fund performance.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the period noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

18   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

EGShares India Consumer ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Indxx India
Consumer Index
1 Year     43.64 %      44.04 %      46.56 % 
3 Year     23.00 %      23.22 %      25.19 % 
Since Inception1     17.06 %      17.22 %      19.03 % 
1 August 10, 2011.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.89%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   19


 
 

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Portfolio Summary (Unaudited)
EGShares India Infrastructure ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Industrials

    40.4 % 

<

Utilities

    17.5  

<

Telecommunications

    17.2  

<

Basic Materials

    9.8  

<

Consumer Goods

    8.6  

<

Oil & Gas

    4.3  

<

Consumer Services

    1.2  

<

Financials

    1.0  

Top Ten Holdings*

 
Ambuja Cements, Ltd.     6.1 % 
Idea Cellular, Ltd.     6.0  
Adani Ports and Special Economic Zone, Ltd.     5.6  
Tata Motors, Ltd.     5.6  
Bharat Heavy Electricals, Ltd.     5.5  
Bharti Airtel, Ltd.     5.3  
NTPC, Ltd.     5.3  
Siemens, Ltd.     5.0  
Cummins India, Ltd.     4.9  
Bharti Infratel, Ltd.     4.7  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares India Infrastructure ETF (ticker: INXX)

The EGShares India Infrastructure ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Infrastructure Index (the “India Infrastructure Underlying Index”). The India Infrastructure Underlying Index is a maximum 30-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the infrastructure industry, as defined by Indxx’s proprietary methodology, in India.

The Fund had a total return of 2.35% at net asset value (“NAV”) for the quarter ended March 31, 2015 and -5.94% annualized return since its inception date of August 11, 2010. The Fund had a 15.59% return for the full year ended March 31, 2015. The Fund is designed to be country specific and to have exposures specific to certain industries related to infrastructure. As of March 31, 2015, the top five industry weights were industrials, utilities, telecommunications, basic materials and consumer goods.

Portfolio attribution for the 12-month period ended March 31, 2015 generally shows that exposure to industrials, consumer goods and telecommunications industries contributed to Fund performance, while exposure to the basic materials industry detracted.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

20   EGA Emerging Global Shares Trust


 
 

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EGShares India Infrastructure ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Indxx India
Infrastructure Index
1 Year     15.59 %      15.93 %      16.45 % 
3 Year     -0.10 %      0.40 %      0.94 % 
Since Inception1     -5.94 %      -5.76 %      -4.92 % 
1 August 11, 2010.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   21


 
 

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Portfolio Summary (Unaudited)
EGShares India Small Cap ETF
 

Industry Breakdown*

[GRAPHIC MISSING] 

 
 

 

<

Financials

    25.9 % 

<

Industrials

    22.6  

<

Technology

    10.8  

<

Consumer Goods

    10.5  

<

Utilities

    10.1  

<

Oil & Gas

    7.8  

<

Consumer Services

    6.3  

<

Basic Materials

    3.7  

<

Health Care

    2.3  

Top Ten Holdings*

 
Suzlon Energy, Ltd.     4.1 % 
SKS Microfinance, Ltd.     3.4  
Redington India, Ltd.     2.9  
NCC, Ltd.     2.8  
Gujarat State Petronet, Ltd.     2.8  
Dewan Housing Finance Corp., Ltd.     2.5  
Torrent Power, Ltd.     2.4  
Century Textiles & Industries, Ltd.     2.3  
Jaiprakash Associates, Ltd.     2.3  
Indraprastha Gas, Ltd.     2.1  

* Expressed as a percentage of total investments in securities as of 3/31/2015. Holdings are subject to change.

EGShares India Small Cap ETF (ticker: SCIN)

The EGShares India Small Cap ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Small Cap Index (the “India Small Cap Underlying Index”). The India Small Cap Underlying Index is a maximum 75-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the small cap segment in India.

The Fund had a total return of 1.10% at net asset value (“NAV”) for the quarter ended March 31, 2015 and -1.85% annualized return since its inception date of July 7, 2010. The Fund had a 37.86% return for the full year ended March 31, 2015. The Fund is designed to be country specific and be allocated among different industries, targeting small capitalization companies. As of March 31, 2015, the top five industry exposures were financials, industrials, technology, consumer goods and utilities.

Portfolio attribution for the 12-month period ended March 31, 2015 shows that exposure across all industries, including industrials, financials and consumer goods, contributed to Fund performance.

This Fund is non-diversified and, as a result, may have greater volatility than diversified funds. Emerging market investments involve risk of capital loss from unfavorable fluctuation in currency values, from differences in generally accepted accounting principles, from economic or political instability in other nations or increased volatility and lower trading volume. This Fund will concentrate its investments in issuers of one or more particular industries to the same extent that its Underlying Index is concentrated. Concentration risk results from investing more than 25% of the Fund’s assets in issuers conducting business in the same industry. The Fund may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. Small cap and mid cap companies generally will have greater volatility in price than the stocks of large companies due to limited product lines or resources or a dependency upon a particular market niche.

Performance Charts

The following performance chart is provided for comparative purposes and represents the periods noted. The Fund’s per share NAV is the value of one share of the Fund and is calculated by dividing the value of total assets less total liabilities by the number of shares outstanding. The NAV return is based on the NAV of the Fund and the market return is based on the market price per share of the Fund. The price used to calculate market price returns is the mid-point of the highest bid and lowest offer for Fund shares as of the close of trading on the exchange where Fund shares are listed. NAV and market returns assume that dividends and capital gain distributions have been reinvested in the Fund at NAV and market price, respectively. As with other ETFs, NAV returns and market price returns may differ because of factors such as the supply and demand for Fund shares and investors’ assessments of the underlying value of a Fund’s portfolio securities. An index is a statistical measure of a specified financial market or sector. An index does not actually hold a portfolio of securities, incur expenses or pay any transaction costs. Therefore index returns do not reflect deductions for fees or expenses and are not available for direct investment. In comparison, the Fund’s performance is negatively impacted by these fees and expenses. Fund returns do not reflect brokerage commissions, or taxes on transactions in Fund shares or that a shareholder would pay on Fund distributions.

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EGShares India Small Cap ETF
 

Performance as of 3/31/2015

     
  Average Annual Total Return
     Fund
Net Asset Value
  Fund
Market Price
  Indxx India
Small Cap Index
1 Year     37.86 %      39.17 %      40.47 % 
3 Year     7.80 %      7.80 %      9.58 % 
Since Inception1     -1.85 %      -1.73 %      -0.39 % 
1 July 7, 2010.

Performance data quoted represents past performance. 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.egshares.com or call (888) 800-4347. As stated in the current prospectus, the Fund’s total annual operating expense ratio is 0.85%. Market price returns are based on the mid-point of the highest bid and lowest offer for Fund shares as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”) Arca, ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading, and do not represent the returns an investor would receive if shares were traded at other times.

Value of a $10,000 Investment Since Inception at Net Asset Value

[GRAPHIC MISSING] 

The chart above represents historical performance of a hypothetical investment of $10,000 over the life of the Fund, assuming reinvestment of distributions. Past performance does not guarantee future results.

EGA Emerging Global Shares Trust   23


 
 

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Shareholder Expense Examples (Unaudited)

 

As a shareholder of an EGShares ETF, you incur advisory fees and other Fund expenses, if any. The following example is intended to help you understand your ongoing costs (in dollars and cents) of investing in a 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 period and held throughout the entire period (October 1, 2014 to March 31, 2015).

Actual expenses

The first line under each Fund in the table below provides information about actual account values and actual expenses. You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid 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 for your Fund under the heading entitled “Expenses Paid Through 3/31/2015” to estimate the expenses you paid on your account during this period.

Hypothetical example for comparison purposes

The second line under each Fund in 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 the ongoing costs of investing in your 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.

Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transactional costs, such as brokerage commissions paid on purchases and sales of Fund shares. Therefore, the second line under each Fund in the table is useful in comparing ongoing Fund costs only and will not help you determine the relative total costs of owning different funds. In addition, if these transactional costs were included, your costs would have been higher.

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Shareholder Expense Examples (Unaudited)  (concluded)

 

       
    Beginning
Account Value
10/1/2014
  Ending
Account Value
3/31/2015
  Annualized
Expense Ratios
for the Period
  Expenses
Paid Through
3/31/20151
EGShares Beyond BRICs ETF
                 
Actual   $ 1,000.00     $ 910.73       0.58 %    $ 2.76  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,022.04       0.58 %    $ 2.92  
EGShares Blue Chip ETF
                 
Actual   $ 1,000.00     $ 1,012.38       0.60 %    $ 3.01  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,021.94       0.60 %    $ 3.02  
EGShares Brazil Infrastructure ETF
                 
Actual   $ 1,000.00     $ 667.65       0.85 %    $ 3.53  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.69       0.85 %    $ 4.28  
EGShares EM Quality Dividend ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 908.33       0.87 %    $ 4.14  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.59       0.87 %    $ 4.38  
EGShares Emerging Markets Consumer ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 1,020.39       0.83 %    $ 4.18  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.79       0.83 %    $ 4.18  
EGShares Emerging Markets Core ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 964.07       0.70 %    $ 3.43  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,021.44       0.70 %    $ 3.53  
EGShares Emerging Markets Domestic Demand ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 992.12       0.85 %    $ 4.22  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.69       0.85 %    $ 4.28  
EGShares India Consumer ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 1,152.13       0.89 %    $ 4.78  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.49       0.89 %    $ 4.48  
EGShares India Infrastructure ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 1,010.72       0.86 %    $ 4.31  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.64       0.86 %    $ 4.33  
EGShares India Small Cap ETF (Consolidated)2
                 
Actual   $ 1,000.00     $ 1,103.93       0.87 %    $ 4.56  
Hypothetical (5% return before expenses)   $ 1,000.00     $ 1,020.59       0.87 %    $ 4.38  
1 Expenses are calculated using each Fund’s annualized expense ratio, which includes waived fees or reimbursed expenses, if any, multiplied by the average account value for the period, multiplied by 182/365 (to reflect the six-month period).
2 Expenses for these Funds include the accounts of wholly owned subsidiaries. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 in the Notes to Financial Statements.

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Schedule of Investments
EGShares Beyond BRICs ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—98.8%
                 
Bangladesh—0.7%
                 
GrameenPhone, Ltd.     454,700     $ 2,093,356  
Chile—3.6%
                 
Banco de Chile     10,147,563       1,139,281  
Banco Santander Chile     25,051,633       1,365,503  
Empresa Nacional de Electricidad SA     1,357,010       2,031,945  
Empresas Copec SA     151,405       1,763,234  
Enersis SA     8,316,239       2,725,656  
S.A.C.I. Falabella     191,629       1,468,449  
Total Chile              10,494,068  
Colombia—0.5%
                 
Ecopetrol SA     2,159,443       1,641,783  
Czech Republic—0.5%
                 
CEZ AS     64,202       1,570,184  
Indonesia—8.8%
                 
PT Astra International Tbk     8,569,608       5,620,221  
PT Bank Central Asia Tbk     5,220,733       5,919,493  
PT Bank Mandiri Persero Tbk     3,991,190       3,808,038  
PT Bank Rakyat Indonesia Persero Tbk     4,626,539       4,697,308  
PT Perusahaan Gas Negara Persero Tbk     4,349,522       1,596,765  
PT Telekomunikasi Indonesia Persero Tbk     20,674,471       4,569,730  
Total Indonesia              26,211,555  
Malaysia—13.9%
                 
Axiata Group Bhd     1,797,000       3,435,334  
CIMB Group Holdings Bhd     2,238,200       3,759,040  
DiGi.Com Bhd     1,601,900       2,724,982  
Genting Bhd     953,800       2,317,861  
IHH Healthcare Bhd     1,082,700       1,756,994  
IOI Corp. Bhd     1,578,400       1,956,219  
Malayan Banking Bhd     1,798,200       4,530,095  
Maxis Bhd     1,128,600       2,191,072  
Petronas Chemicals Group Bhd     1,234,300       1,879,695  
Petronas Gas Bhd     336,500       2,091,597  
Public Bank Bhd     1,291,720       6,585,034  
Sime Darby Bhd     1,431,000       3,581,847  
Tenaga Nasional Bhd     1,368,700       5,307,015  
Total Malaysia              42,116,785  
Mexico—14.6%
                 
Alfa SAB de CV Class A*     925,397       1,870,931  
America Movil SAB de CV Series L     8,929,190       9,178,733  
Arca Continental SAB de CV*     98,158       603,668  
Cemex SAB de CV Series CPO*     3,890,647       3,695,467  
Fomento Economico Mexicano SAB de CV Series UBD ADR*     711,060       6,679,672  
Grupo Bimbo SAB de CV Series A*     691,711       1,964,220  
Grupo Financiero Banorte SAB de CV Class O     751,058       4,364,091  
Grupo Financiero Inbursa SAB de CV Class O     749,105       1,894,122  
Grupo Mexico SAB de CV Series B     1,282,916       3,793,778  
Grupo Televisa SAB Series CPO*     865,125       5,724,246  
Wal-Mart de Mexico SAB de CV     1,869,974       4,677,927  
Total Mexico              44,446,855  

   
 Investments   Shares   Value
Nigeria—5.8%
 
Guaranty Trust Bank PLC     65,118,878     $ 8,587,644  
Zenith Bank PLC     85,155,955       8,975,493  
Total Nigeria              17,563,137  
Oman—0.8%
                 
Oman Telecommunications Co. SAOG     553,771       2,416,455  
Philippines—1.8%
                 
Philippine Long Distance Telephone Co.     35,625       2,276,174  
SM Investments Corp.     150,423       3,026,968  
Total Philippines              5,303,142  
Poland—3.9%
                 
Bank Pekao SA     53,102       2,574,218  
Bank Zachodni WBK SA     12,567       1,143,509  
PGE SA     344,880       1,895,635  
Powszechna Kasa Oszczednosci Bank Polski SA     352,379       3,159,933  
Powszechny Zaklad Ubezpieczen SA     23,251       2,998,744  
Total Poland              11,772,039  
Qatar—14.6%
                 
Barwa Real Estate Co.     341,941       4,235,232  
Gulf International Services QSC     169,185       4,460,490  
Industries Qatar QSC     211,447       8,071,715  
Masraf Al Rayan     705,186       9,228,181  
Ooredoo QSC     242,048       6,627,446  
Qatar Gas Transport Co., Ltd.     490,348       3,016,490  
Vodafone Qatar     1,637,188       8,016,769  
Total Qatar              43,656,323  
South Africa—16.0%
                 
Anglo American Platinum, Ltd.*     23,270       571,405  
Aspen Pharmacare Holdings, Ltd.*     85,659       2,714,789  
Barclays Africa Group, Ltd.     86,328       1,318,121  
FirstRand, Ltd.     853,823       3,935,003  
Kumba Iron Ore, Ltd.     21,353       274,926  
MTN Group, Ltd.     457,146       7,734,648  
Naspers, Ltd. N Shares     61,601       9,507,387  
Remgro, Ltd.     137,312       3,012,279  
Sanlam, Ltd.     497,162       3,215,730  
Sasol, Ltd.     154,631       5,260,230  
Standard Bank Group, Ltd.     339,144       4,702,461  
Steinhoff International Holdings, Ltd.     701,004       4,398,831  
Vodacom Group, Ltd.     119,037       1,303,623  
Total South Africa              47,949,433  
Thailand—6.4%
                 
Advanced Info Service PCL NVDR     508,000       3,699,939  
Bangkok Bank PCL NVDR     168,320       954,365  
CP ALL PCL NVDR     1,771,300       2,231,816  
Kasikornbank PCL NVDR     490,600       3,452,594  
PTT Exploration & Production PCL NVDR     573,800       1,922,071  
PTT PCL NVDR     381,900       3,790,833  
Siam Commercial Bank PCL NVDR     663,300       3,628,377  
Total Thailand              19,679,995  

The accompanying notes are an integral part of these financial statements.

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Schedule of Investments (concluded)
EGShares Beyond BRICs ETF
 
March 31, 2015

   
 Investments   Shares   Value
Turkey—3.3%
 
Akbank TAS     695,898     $ 2,050,306  
KOC Holding AS     261,006       1,191,189  
Turk Telekomunikasyon AS     216,483       575,287  
Turkcell Iletisim Hizmetleri AS*     323,945       1,665,575  
Turkiye Garanti Bankasi AS     896,128       2,943,952  
Turkiye Is Bankasi Class C     544,042       1,229,935  
Total Turkey              9,656,244  
United Arab Emirates—2.3%
                 
Abu Dhabi Commercial Bank PJSC     675,195       1,189,390  
DP World, Ltd.     68,079       1,470,506  
Emaar Properties PJSC     1,440,967       2,589,339  
First Gulf Bank PJSC     444,431       1,766,640  
Total United Arab Emirates              7,015,875  
Vietnam—1.3%
                 
HAGL JSC*     1,268,425       1,206,343  
PetroVietnam Technical Service Corp.     883,012       925,821  
Vietnam Joint Stock Commercial Bank For Industry and Trade     2,259,020       1,813,085  
Total Vietnam              3,945,249  
TOTAL INVESTMENTS IN SECURITIES—98.8%
 
(Cost: $324,206,098)              297,532,478  
Other Assets in Excess of Liabilities—1.2%              3,508,065  
Net Assets—100.0%            $ 301,040,543  

 
*   Non-income producing security.
ADR   American Depositary Receipts
NVDR   Non-Voting Depositary Receipts
PJSC   Private Joint Stock Company

   
Summary by Industry   Value   % of Net Assets
Basic Materials   $ 11,780,035       3.9 % 
Consumer Goods     22,429,173       7.5  
Consumer Services     28,954,654       9.6  
Financials     113,754,257       37.8  
Health Care     4,471,782       1.5  
Industrials     24,719,236       8.2  
Oil & Gas     17,787,018       5.9  
Telecommunications     58,509,123       19.4  
Utilities     15,127,200       5.0  
Total Investments     297,532,478       98.8  
Other Assets in Excess of Liabilities     3,508,065       1.2  
Net Assets   $ 301,040,543       100.0 % 

 
 

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   27


 
 

TABLE OF CONTENTS

Schedule of Investments
EGShares Blue Chip ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.5%
                 
Australia—2.4%
                 
Fortescue Metals Group, Ltd.     120,150     $ 179,906  
Belgium—3.5%
                 
Anheuser-Busch InBev NV     2,161       264,120  
Canada—2.8%
                 
Finning International, Inc.     11,312       210,431  
France—3.0%
                 
Casino Guichard Perrachon SA     2,605       230,900  
Italy—3.8%
                 
Pirelli & C. SpA     17,500       290,571  
Jersey—3.3%
                 
Randgold Resources, Ltd.     3,660       254,983  
Luxembourg—5.7%
                 
Millicom International Cellular SA     3,172       229,512  
Tenaris SA     14,615       204,996  
Total Luxembourg              434,508  
Netherlands—7.8%
                 
Akzo Nobel NV     3,700       279,835  
NXP Semiconductors NV*     3,150       316,134  
Total Netherlands              595,969  
Norway—3.0%
                 
Telenor ASA     11,538       233,220  
Portugal—3.7%
                 
Jeronimo Martins SGPS SA     22,280       279,966  
Singapore—4.3%
                 
Avago Technologies, Ltd.     2,550       323,799  
South Africa—3.8%
                 
Mondi PLC     15,000       289,032  
South Korea—3.6%
                 
LG Chem, Ltd.     1,350       275,001  
Switzerland—6.0%
                 
Givaudan SA*     132       239,456  
Swatch Group AG (The)     516       218,927  
Total Switzerland              458,383  
Taiwan—11.3%
                 
Catcher Technology Co., Ltd.     31,700       332,298  
Delta Electronics, Inc.     41,000       258,789  
Largan Precision Co., Ltd.     3,250       279,921  
Total Taiwan              871,008  

   
 Investments   Shares   Value
United Kingdom—5.8%
 
Noble Corp. PLC     11,560     $ 165,077  
Old Mutual PLC     84,694       279,243  
Total United Kingdom              444,320  
United States—25.7%
                 
Kansas City Southern     1,993       203,445  
Las Vegas Sands Corp.     4,249       233,865  
Mead Johnson Nutrition Co.     2,396       240,870  
QUALCOMM, Inc.     3,367       233,468  
Skyworks Solutions, Inc.     3,368       331,041  
Southern Copper Corp.     8,293       241,990  
Visteon Corp.*     2,350       226,540  
Yum! Brands, Inc.     3,189       251,038  
Total United States              1,962,257  
TOTAL INVESTMENTS IN SECURITIES—99.5%
        
(Cost: $7,923,245)              7,598,374  
Other Assets in Excess of Liabilities—0.5%              38,869  
Net Assets—100.0%            $ 7,637,243  

 
*   Non-income producing security.

   
Summary by Sector   Value   % of
Net Assets
Consumer Discretionary   $ 1,220,941       16.0 % 
Consumer Staples     1,015,856       13.3  
Energy     370,073       4.8  
Financials     279,243       3.7  
Industrials     413,876       5.4  
Information Technology     2,075,450       27.2  
Materials     1,760,203       23.0  
Telecommunication Services     462,732       6.1  
Total Investments     7,598,374       99.5  
Other Assets in Excess of Liabilities     38,869       0.5  
Net Assets   $ 7,637,243       100.0 % 

  

The accompanying notes are an integral part of these financial statements.

28   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Schedule of Investments
EGShares Brazil Infrastructure ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.2%
                 
Basic Materials—16.3%
                 
Companhia Siderurgica Nacional SA     343,805     $ 584,106  
Gerdau SA Preference Shares     179,638       571,046  
Metalurgica Gerdau SA Preference Shares     165,314       559,133  
Usinas Siderurgicas de Minas Gerais SA Preference Shares Class A*     219,610       341,498  
Total Basic Materials              2,055,783  
Health Care—1.7%
                 
Fleury SA     43,648       218,506  
Industrials—10.3%
                 
Arteris SA     30,993       72,728  
CCR SA     128,516       655,427  
EcoRodovias Infraestrutura e Logistica SA     114,780       322,854  
JSL SA     43,185       147,278  
Santos Brasil Participacoes SA     26,611       90,921  
Total Industrials              1,289,208  
Telecommunications—11.7%
                 
Oi SA Preference Shares*     214,284       343,943  
Telefonica Brasil SA Preference Shares     37,781       584,902  
Tim Participacoes SA     163,450       544,134  
Total Telecommunications              1,472,979  

   
 Investments   Shares   Value
Utilities—59.2%
 
AES Tiete SA Preference Shares     52,797     $ 284,130  
Alupar Investimento SA     41,000       247,583  
Centrais Eletricas Brasileiras SA Preference Shares Class B     122,562       260,762  
Cia de Gas de Sao Paulo COMGAS Preference Shares Class A     7,600       116,160  
Cia de Transmissao de Energia Eletrica Paulista Preference Shares     20,494       256,488  
Cia Paranaense de Energia Preference Shares Class B     55,461       583,919  
Companhia de Saneamento Basico do Estado de Sao Paulo     112,925       625,732  
Companhia de Saneamento de Minas Gerais     33,035       191,217  
Companhia Energetica de Minas Gerais Preference Shares     166,110       666,290  
Companhia Energetica de Sao Paulo Preference Shares Class B     83,002       614,445  
CPFL Energia SA     109,280       699,562  
EDP—Energias do Brasil SA     130,872       423,806  
Equatorial Energia SA     65,364       639,099  
Light SA     39,534       178,120  
Tractebel Energia SA     58,901       650,545  
Transmissora Alianca de Energia Eletrica SA     53,182       348,434  
Ultrapar Participacoes SA     32,717       663,635  
Total Utilities              7,449,927  
TOTAL INVESTMENTS IN SECURITIES—99.2%
 
(Cost: $18,065,569)              12,486,403  
Other Assets in Excess of Liabilities—0.8%              105,750  
Net Assets—100.0%            $ 12,592,153  

 
*   Non-income producing security.

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   29


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares EM Quality Dividend ETF
(formerly EGShares Low Volatility Emerging Markets Dividend ETF)

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—100.1%
                 
Brazil—10.0%
                 
Ambev SA     81,340     $ 469,548  
Banco Bradesco SA Preference Shares     52,909       491,164  
Cielo SA     34,941       499,501  
Itausa—Investimentos Itau SA*#§     1,107       3,457  
Itausa—Investimentos Itau SA Preference Shares     160,138       500,040  
Klabin SA     91,429       520,637  
Total Brazil              2,484,347  
China—19.6%
                 
Agricultural Bank of China, Ltd. Class H     948,386       469,725  
Bank of China, Ltd. Class H     876,478       506,462  
Bank of Communications Co., Ltd. Class H     538,550       461,929  
China Construction Bank Corp. Class H     589,485       489,650  
China Merchants Bank Co., Ltd. Class H     200,848       490,654  
China Petroleum & Chemical Corp. Class H     606,017       482,278  
CNOOC, Ltd.     367,733       519,841  
Industrial and Commercial Bank of China, Ltd. Class H     665,890       491,276  
PetroChina Co., Ltd. Class H     440,199       487,151  
Sands China, Ltd.     126,732       524,709  
Total China              4,923,675  
India—3.7%
                 
Coal India, Ltd.     81,494       472,573  
Hero MotoCorp, Ltd.     10,463       441,350  
Total India              913,923  
Indonesia—2.0%
                 
PT United Tractors Tbk     299,928       500,071  
Kuwait—1.8%
                 
Mobile Telecommunications Co. KSC     281,818       445,099  
Malaysia—8.1%
                 
British American Tobacco Malaysia Bhd     27,900       517,244  
DiGi.Com Bhd     278,400       473,584  
Maxis Bhd     265,418       515,284  
Public Bank Bhd     98,400       501,631  
Total Malaysia              2,007,743  
Mexico—2.0%
                 
Wal-Mart de Mexico SAB de CV     199,996       500,310  
Oman—1.7%
                 
Oman Telecommunications Co. SAOG     97,227       424,263  
Philippines—4.2%
                 
Globe Telecom, Inc.     12,615       568,381  
Philippine Long Distance Telephone Co.     7,550       482,389  
Total Philippines              1,050,770  

   
 Investments   Shares   Value
Qatar—5.9%
                 
Qatar Electricity & Water Co.     9,475     $ 508,196  
Qatar Gas Transport Co., Ltd.     80,100       492,754  
Qatar National Bank SAQ     8,833       469,395  
Total Qatar              1,470,345  
Russia—4.5%
                 
Tatneft OAO ADR     17,706       527,462  
Uralkali PJSC GDR     44,240       590,604  
Total Russia              1,118,066  
South Africa—4.1%
                 
FirstRand, Ltd.     116,881       538,668  
Sasol, Ltd.     13,947       474,448  
Total South Africa              1,013,116  
South Korea—4.1%
                 
KT&G Corp.     6,948       555,489  
SK Telecom Co., Ltd.     1,976       485,340  
Total South Korea              1,040,829  
Taiwan—16.7%
                 
Advanced Semiconductor Engineering, Inc.     349,282       471,626  
Delta Electronics, Inc.     86,397       545,331  
Hotai Motor Co., Ltd.     34,936       539,839  
MediaTek, Inc.     34,034       460,639  
Nan Ya Plastics Corp.     254,156       564,520  
Quanta Computer, Inc.     203,444       491,543  
Siliconware Precision Industries Co., Ltd.     321,304       534,993  
Uni-President Enterprises Corp.     324,942       544,166  
Total Taiwan              4,152,657  
Thailand—5.7%
                 
PTT Exploration & Production PCL NVDR     154,300       516,862  
PTT PCL NVDR     48,400       480,430  
Total Access Communication PCL NVDR     169,900       428,144  
Total Thailand              1,425,436  
Turkey—6.0%
                 
Eregli Demir ve Celik Fabrikalari TAS     314,808       489,823  
Tupras-Turkiye Petrol Rafinerileri AS     24,075       571,625  
Turk Telekomunikasyon AS     158,922       422,323  
Total Turkey              1,483,771  
TOTAL INVESTMENTS IN SECURITIES—100.1%
 
(Cost: $25,472,642)              24,954,421  
Liabilities in Excess of Other Assets—(0.1)%              (19,672 ) 
Net Assets—100.0%            $ 24,934,749  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
#   Fair valued security.
§   Illiquid.
ADR   American Depositary Receipts
GDR   Global Depositary Receipts
NVDR   Non-Voting Depositary Receipts
PJSC   Private Joint Stock Company

The accompanying notes are an integral part of these financial statements.

30   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†  (concluded)
EGShares EM Quality Dividend ETF
(formerly EGShares Low Volatility Emerging Markets Dividend ETF)

 
March 31, 2015

   
Summary by Sector   Value   % of Net Assets
Consumer Discretionary   $ 1,505,898       6.0 % 
Consumer Staples     2,586,757       10.4  
Energy     5,025,424       20.2  
Financials     5,414,051       21.7  
Industrials     500,071       2.0  
Information Technology     3,003,633       12.1  
Materials     2,165,584       8.7  
Telecommunication Services     4,244,807       17.0  
Utilities     508,196       2.0  
Total Investments     24,954,421       100.1  
Liabilities in Excess of Other Assets     (19,672 )      (0.1 ) 
Net Assets   $ 24,934,749       100.0 % 

 
 

      
      
      

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   31


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares Emerging Markets Consumer ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.8%
                 
Brazil—12.2%
                 
Ambev SA ADR     11,908,806     $ 68,594,722  
BRF SA ADR     2,311,642       45,724,279  
Companhia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares ADR     860,213       25,651,551  
Total Brazil              139,970,552  
Chile—6.2%
                 
Cencosud SA     7,470,629       17,732,258  
Latam Airlines Group SA ADR*     2,261,347       18,226,457  
S.A.C.I. Falabella     4,566,062       34,989,629  
Total Chile              70,948,344  
China—20.3%
                 
Belle International Holdings, Ltd.     24,365,065       28,378,062  
China Mengniu Dairy Co., Ltd.     6,518,127       34,637,573  
Ctrip.com International, Ltd. ADR*     627,803       36,801,812  
Dongfeng Motor Group Co., Ltd. Class H     15,883,572       25,485,665  
Hengan International Group Co., Ltd.     3,156,808       37,907,511  
Vipshop Holdings, Ltd. ADR*     1,338,627       39,409,179  
Want Want China Holdings, Ltd.     29,331,538       31,135,947  
Total China              233,755,749  
Colombia—1.5%
                 
Grupo Nutresa SA     1,891,467       16,674,049  
India—6.7%
                 
Hindustan Unilever, Ltd.     2,691,139       37,564,677  
ITC, Ltd.     7,430,514       38,689,432  
Total India              76,254,109  
Indonesia—4.3%
                 
PT Astra International Tbk     75,307,961       49,389,351  
Malaysia—6.3%
                 
Genting Bhd     11,831,062       28,751,062  
Genting Malaysia Bhd     18,816,435       21,491,432  
IOI Corp. Bhd     17,309,102       21,452,350  
Total Malaysia              71,694,844  

   
 Investments   Shares   Value
Mexico—15.2%
                 
Fomento Economico Mexicano SAB de CV Series UBD ADR*     6,324,230     $ 59,409,591  
Grupo Bimbo SAB de CV Series A*     7,458,319       21,179,046  
Grupo Televisa SAB Series CPO*     7,312,924       48,387,203  
Wal-Mart de Mexico SAB de CV     18,532,142       46,360,007  
Total Mexico              175,335,847  
Russia—4.5%
                 
Magnit PJSC GDR     1,000,637       51,082,519  
South Africa—20.1%
                 
Naspers, Ltd. N Shares     789,596       121,864,811  
Shoprite Holdings, Ltd.     1,906,420       25,846,909  
Steinhoff International Holdings, Ltd.     9,165,844       57,516,073  
Tiger Brands, Ltd.     963,280       24,279,466  
Total South Africa              229,507,259  
Thailand—2.5%
                 
CP ALL PCL     22,688,683       28,587,462  
TOTAL INVESTMENTS IN SECURITIES—99.8%
 
(Cost: $1,131,573,922)              1,143,200,085  
Other Assets in Excess of Liabilities—0.2%              1,958,149  
Net Assets—100.0%            $ 1,145,158,234  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
ADR   American Depositary Receipts
GDR   Global Depositary Receipts
PJSC   Private Joint Stock Company

   
Summary by Industry   Value   % of
Net Assets
Consumer Goods   $ 598,017,794       52.2 % 
Consumer Services     545,182,291       47.6  
Total Investments     1,143,200,085       99.8  
Other Assets in Excess of Liabilities     1,958,149       0.2  
Net Assets   $ 1,145,158,234       100.0 % 

 
 

The accompanying notes are an integral part of these financial statements.

32   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares Emerging Markets Core ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.6%
                 
Brazil—9.1%
                 
Ambev SA ADR     10,153     $ 58,481  
Banco Bradesco SA Preference Shares ADR     5,764       53,486  
BRF SA ADR     2,984       59,024  
Cia Energética de Minas Gerais ADR     13,860       56,687  
Companhia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares ADR     1,441       42,971  
Embraer SA ADR     1,419       43,634  
Itau Unibanco Holding SA Preference Shares ADR     4,435       49,051  
Petroleo Brasileiro SA ADR     7,655       46,007  
Vale SA ADR     7,914       44,714  
Total Brazil              454,055  
Chile—4.6%
                 
Empresa Nacional de Electricidad SA ADR     1,324       59,646  
Enersis SA ADR     3,686       59,934  
Latam Airlines Group SA ADR*     5,312       42,815  
S.A.C.I. Falabella     9,116       69,856  
Total Chile              232,251  
China—18.0%
                 
AAC Technologies Holdings, Inc.     4,249       26,224  
Baidu, Inc. ADR*     90       18,756  
Bank of China, Ltd. Class H     55,520       32,081  
Belle International Holdings, Ltd.     16,693       19,443  
China Construction Bank Corp. Class H     32,236       26,777  
China Everbright International, Ltd.     11,904       19,929  
China Life Insurance Co., Ltd. Class H ADR     536       35,419  
China Merchants Holdings International
Co., Ltd.
    7,559       29,590  
China Mobile, Ltd. ADR     446       29,003  
China Overseas Land & Investment, Ltd.     9,082       29,344  
China Pacific Insurance Group Co., Ltd. Class H     4,731       22,517  
China Resources Land, Ltd.     12,464       35,207  
China Unicom Hong Kong, Ltd. ADR     1,444       22,036  
CITIC, Ltd.     11,345       19,433  
CNOOC, Ltd.     11,206       15,841  
COSCO Pacific, Ltd.     17,082       22,385  
Country Garden Holdings Co., Ltd.     37,444       15,117  
Ctrip.com International, Ltd. ADR*     429       25,148  
Digital China Holdings, Ltd.     15,685       17,115  
Dongfeng Motor Group Co., Ltd. Class H     18,685       29,981  
GCL-Poly Energy Holdings, Ltd.*     64,974       17,180  
Haier Electronics Group Co., Ltd.     7,630       19,978  
Hanergy Thin Film Power Group, Ltd.*     60,421       54,396  
Hengan International Group Co., Ltd.     1,951       23,428  
Industrial and Commercial Bank of China, Ltd. Class H     37,026       27,317  
Lenovo Group, Ltd.     16,016       23,384  
Mindray Medical International, Ltd. ADR     711       19,446  
NetEase, Inc. ADR     214       22,534  
New Oriental Education & Technology Group, Inc. ADR*     942       20,884  
PICC Property & Casualty Co., Ltd. Class H     5,710       11,283  

   
 Investments   Shares   Value
Ping An Insurance Group Co. of China, Ltd. Class H     3,055     $ 36,724  
Semiconductor Manufacturing International Corp.*     282,929       27,369  
Shunfeng International Clean Energy, Ltd.*     19,216       14,475  
Sihuan Pharmaceutical Holdings
Group, Ltd.#§
    19,919       11,330  
Sinopharm Group Co. Class H     7,318       29,874  
Tencent Holdings, Ltd.     1,086       20,619  
Want Want China Holdings, Ltd.     23,133       24,556  
ZTE Corp. Class H     8,985       20,605  
Total China              916,728  
Colombia—0.9%
                 
Grupo de Inversiones Suramericana SA     3,442       44,467  
Czech Republic—1.1%
                 
CEZ AS     2,332       57,034  
India—14.6%
                 
Dr. Reddy’s Laboratories, Ltd.     1,112       61,991  
Hindustan Unilever, Ltd.     4,703       65,647  
Infosys, Ltd. ADR     1,634       57,321  
ITC, Ltd.     10,819       56,333  
Mahindra & Mahindra, Ltd.     3,032       57,548  
NTPC, Ltd.     26,494       62,170  
Reliance Industries, Ltd.     4,071       53,732  
Sun Pharmaceutical Industries, Ltd.     5,074       83,016  
Tata Consultancy Services, Ltd.     1,442       58,848  
Tata Motors, Ltd. ADR     1,368       61,642  
Wipro, Ltd.     6,493       65,245  
Zee Entertainment Enterprises, Ltd.     9,927       54,210  
Total India              737,703  
Indonesia—3.7%
                 
PT Astra International Tbk     95,109       62,375  
PT Telekomunikasi Indonesia Persero Tbk ADR     1,106       48,155  
PT Unilever Indonesia Tbk     25,596       77,620  
Total Indonesia              188,150  
Malaysia—4.5%
                 
Genting Bhd     21,600       52,491  
Genting Malaysia Bhd     49,100       56,080  
Sime Darby Bhd     21,100       52,814  
Tenaga Nasional Bhd     14,900       57,774  
Total Malaysia              219,159  
Mexico—10.7%
                 
Alfa SAB de CV Class A*     21,422       43,310  
America Movil SAB de CV Series L ADR     2,770       56,674  
Cemex SAB de CV Series CPO*     52,152       49,536  
Fibra Uno Administracion SA de CV     19,808       52,542  
Fomento Economico Mexicano SAB de CV ADR*     659       61,617  
Grupo Aeroportuario del Sureste SAB de CV Class B*     4,911       66,253  
Grupo Mexico SAB de CV Series B     17,428       51,537  
Grupo Televisa SAB ADR*     1,374       45,356  
Kimberly-Clark de Mexico SAB de CV Class A     23,734       49,823  
Wal-Mart de Mexico SAB de CV     27,137       67,886  
Total Mexico              544,534  

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   33


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†  (concluded)
EGShares Emerging Markets Core ETF
 
March 31, 2015

   
 Investments   Shares   Value
Philippines—4.0%
                 
Ayala Land, Inc.     79,800     $ 68,731  
Jollibee Foods Corp.     14,730       72,497  
SM Investments Corp.     3,360       67,613  
Total Philippines              208,841  
Poland—2.0%
                 
LPP SA     21       39,184  
Powszechny Zaklad Ubezpieczen SA     474       61,133  
Total Poland              100,317  
Russia—7.5%
                 
Gazprom OAO ADR     9,765       46,423  
Lukoil OAO ADR     1,082       50,118  
Magnit PJSC GDR     1,090       55,644  
MMC Norilsk Nickel OJSC ADR     3,703       65,784  
Mobile TeleSystems OJSC ADR     5,384       54,379  
Sberbank of Russia ADR     8,530       37,481  
Uralkali PJSC GDR     4,844       64,667  
Total Russia              374,496  
South Africa—15.2%
                 
AngloGold Ashanti, Ltd. ADR*     4,290       40,069  
Aspen Pharmacare Holdings, Ltd.*     1,523       48,269  
Bidvest Group, Ltd.     1,743       47,283  
FirstRand, Ltd.     12,254       56,475  
Life Healthcare Group Holdings, Ltd.     12,468       43,538  
MTN Group, Ltd.     2,272       38,441  
Naspers, Ltd. N Shares     474       73,156  
Netcare, Ltd.     18,479       63,599  
Remgro, Ltd.     2,320       50,895  
Sanlam, Ltd.     8,641       55,892  
Sasol, Ltd. ADR     1,404       47,792  
Shoprite Holdings, Ltd.     3,327       45,107  
Steinhoff International Holdings, Ltd.     9,463       59,381  
Tiger Brands, Ltd.     1,758       44,310  
Woolworths Holdings, Ltd.     8,729       62,065  
Total South Africa              776,272  

   
 Investments   Shares   Value
Thailand—1.0%
                 
BEC World PCL NVDR     39,100     $ 49,266  
Turkey—2.0%
            
 
Arcelik AS     10,247       59,197  
Haci Omer Sabanci Holding AS     13,221       46,743  
Total Turkey              105,940  
United Arab Emirates—0.7%
                 
Emaar Properties PJSC     20,915       37,583  
TOTAL INVESTMENTS IN SECURITIES—99.6%
 
(Cost: $5,145,334)              5,046,796  
Other Assets in Excess of Liabilities—0.4%              21,307  
Net Assets—100.0%            $ 5,068,103  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
#   Fair valued security.
§   Illiquid.
ADR   American Depositary Receipts
GDR   Global Depositary Receipts
NVDR   Non-Voting Depositary Receipts
PJSC   Private Joint Stock Company

   
Summary by Sector   Value   % of
Net Assets
Consumer Discretionary   $ 989,738       19.5 % 
Consumer Staples     732,447       14.5  
Energy     259,913       5.1  
Financials     886,265       17.5  
Health Care     361,063       7.1  
Industrials     455,059       9.0  
Information Technology     444,071       8.8  
Materials     316,307       6.2  
Telecommunication Services     248,688       4.9  
Utilities     353,245       7.0  
Total Investments     5,046,796       99.6  
Other Assets in Excess of Liabilities     21,307       0.4  
Net Assets   $ 5,068,103       100.0 % 

 
 

The accompanying notes are an integral part of these financial statements.

34   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares Emerging Markets Domestic Demand ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.6%
                 
Brazil—9.1%
                 
Ambev SA ADR     275,409     $ 1,586,356  
BRF SA ADR     40,207       795,294  
Cia Energética de Minas Gerais ADR     67,873       277,601  
Companhia Brasileira de Distribuicao Grupo Pao de Acucar Preference Shares ADR     10,238       305,297  
Telefonica Brasil SA ADR     18,758       286,810  
Total Brazil              3,251,358  
Chile—1.5%
                 
Enersis SA ADR     33,074       537,783  
China—19.5%
                 
Belle International Holdings, Ltd.     456,218       531,358  
China Mengniu Dairy Co., Ltd.     63,543       337,670  
China Mobile, Ltd.     134,926       1,761,179  
China Resources Power Holdings Co., Ltd.     168,861       423,838  
China Telecom Corp., Ltd. Class H     1,023,890       656,353  
China Unicom Hong Kong, Ltd.     353,561       538,113  
Ctrip.com International, Ltd. ADR*     11,573       678,409  
Hengan International Group Co., Ltd.     48,520       582,637  
Tingyi Cayman Islands Holding Corp.     118,782       255,549  
Vipshop Holdings, Ltd. ADR*     25,701       756,638  
Want Want China Holdings, Ltd.     430,718       457,215  
Total China              6,978,959  
Hong Kong—0.7%
                 
WH Group Ltd. 144A*     440,196       250,387  
India—11.6%
                 
Bharti Airtel, Ltd.     96,857       608,710  
Hindustan Unilever, Ltd.     43,758       610,803  
ITC, Ltd.     118,840       618,780  
Mahindra & Mahindra, Ltd.     28,265       536,473  
Sun Pharmaceutical Industries, Ltd.     64,446       1,054,409  
Tata Motors, Ltd. ADR     15,641       704,784  
Total India              4,133,959  
Indonesia—6.7%
                 
PT Astra International Tbk     1,859,058       1,219,229  
PT Perusahaan Gas Negara Persero Tbk     977,378       358,808  
PT Telekomunikasi Indonesia Persero Tbk ADR     18,847       820,598  
Total Indonesia              2,398,635  
Malaysia—5.9%
                 
Axiata Group Bhd     280,600       536,424  
Genting Bhd     204,900       497,934  
Tenaga Nasional Bhd     280,200       1,086,451  
Total Malaysia              2,120,809  
Mexico—16.3%
                 
America Movil SAB de CV Series L ADR     85,528       1,749,903  
Coca-Cola Femsa SAB de CV ADR     3,083       246,208  
El Puerto de Liverpool SAB de CV*     47,750       564,221  
Fomento Economico Mexicano SAB de CV ADR*     12,908       1,206,898  
Grupo Televisa SAB ADR*     39,179       1,293,299  
Wal-Mart de Mexico SAB de CV     306,413       766,523  
Total Mexico              5,827,052  

   
 Investments   Shares   Value
Philippines—0.9%
                 
Philippine Long Distance Telephone Co. ADR     5,538     $ 346,070  
Russia—3.6%
            
 
Magnit PJSC GDR     17,183       877,192  
Mobile TeleSystems OJSC ADR     38,150       385,315  
Total Russia              1,262,507  
South Africa—20.6%
                 
Aspen Pharmacare Holdings, Ltd.*     26,107       827,409  
MTN Group, Ltd.     96,786       1,637,564  
Naspers, Ltd. N Shares     12,442       1,920,275  
Shoprite Holdings, Ltd.     22,358       303,126  
Steinhoff International Holdings, Ltd.     239,364       1,502,020  
Tiger Brands, Ltd.     11,536       290,765  
Vodacom Group, Ltd.     38,491       421,531  
Woolworths Holdings, Ltd.     67,973       483,307  
Total South Africa              7,385,997  
Thailand—2.5%
                 
Advanced Info Service PCL     81,000       589,951  
CP ALL PCL NVDR     261,900       329,991  
Total Thailand              919,942  
Turkey—0.7%
                 
BIM Birlesik Magazalar AS     13,200       234,361  
TOTAL INVESTMENTS IN SECURITIES—99.6%
 
(Cost: $33,607,053)              35,647,819  
Other Assets in Excess of Liabilities—0.4%              150,456  
Net Assets—100.0%            $ 35,798,275  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
144A   Series 144A securities were purchased pursuant to Rule 144A under the Securities Act of 1933 and may not be resold subject to that rule except to qualified institutional buyers. Unless otherwise noted, Series 144A securities are deemed to be liquid. At March 31, 2015, the net value of these securities was $250,387, representing 0.70% of net assets.
ADR   American Depositary Receipts
GDR   Global Depositary Receipts
NVDR   Non-Voting Depositary Receipts
PJSC   Private Joint Stock Company

   
Summary by Sector   Value   % of
Net Assets
Consumer Discretionary   $ 10,687,947       29.8 % 
Consumer Staples     10,055,052       28.1  
Health Care     1,881,818       5.3  
Telecommunication Services     10,338,521       28.9  
Utilities     2,684,481       7.5  
Total Investments     35,647,819       99.6  
Other Assets in Excess of Liabilities     150,456       0.4  
Net Assets   $ 35,798,275       100.0 % 

 
 

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   35


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares India Consumer ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.7%
                 
Consumer Goods—73.8%
                 
Apollo Tyres, Ltd.     575,249     $ 1,546,560  
Arvind, Ltd.     299,912       1,254,161  
Bajaj Auto, Ltd.     122,562       3,949,402  
Bosch, Ltd.     10,298       4,183,187  
Dabur India, Ltd.     1,005,217       4,265,421  
Emami, Ltd.     125,958       2,015,127  
Exide Industries, Ltd.     929,651       2,640,495  
GlaxoSmithKline Consumer Healthcare, Ltd.     21,174       2,131,568  
Godrej Consumer Products, Ltd.     244,078       4,059,890  
Hero MotoCorp, Ltd.     96,405       4,066,552  
Hindustan Unilever, Ltd.     305,955       4,270,720  
Marico, Ltd.     527,955       3,254,308  
Motherson Sumi Systems, Ltd.     591,230       4,864,938  
MRF, Ltd.     6,155       3,811,209  
Nestle India, Ltd.     39,415       4,375,588  
Page Industries, Ltd.     9,624       2,111,617  
Procter & Gamble Hygiene & Health Care, Ltd.     16,783       1,937,636  
Tata Global Beverages, Ltd.     776,907       1,847,259  
TVS Motor Co., Ltd.     421,881       1,778,701  
United Breweries, Ltd.     135,525       2,166,234  
United Spirits, Ltd.*     74,918       4,378,270  
Whirlpool of India, Ltd.*     56,666       665,934  
Total Consumer Goods              65,574,777  

   
 Investments   Shares   Value
Consumer Services—10.7%
                 
Dish TV India, Ltd.*     585,426     $ 766,614  
Indian Hotels Co., Ltd.*     942,414       1,760,403  
Jubilant Foodworks, Ltd.*     59,882       1,414,586  
Sun TV Network, Ltd.     213,476       1,507,231  
Zee Entertainment Enterprises, Ltd.     734,619       4,011,681  
Total Consumer Services              9,460,515  
Industrials—15.2%
                 
Bharat Forge, Ltd.     238,797       4,872,193  
Mahindra & Mahindra, Ltd.     224,248       4,256,255  
Tata Motors, Ltd.     491,050       4,317,199  
Total Industrials              13,445,647  
TOTAL INVESTMENTS IN SECURITIES—99.7%
 
(Cost: $83,965,277)              88,480,939  
Other Assets in Excess of Liabilities—0.3%              229,156  
Net Assets—100.0%            $ 88,710,095  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.

 
 

The accompanying notes are an integral part of these financial statements.

36   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares India Infrastructure ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.3%
                 
Basic Materials—9.7%
                 
NMDC, Ltd.     859,016     $ 1,767,276  
Sesa Sterlite, Ltd.     505,998       1,532,194  
Tata Steel, Ltd.     267,339       1,353,115  
Total Basic Materials              4,652,585  
Consumer Goods—8.6%
                 
Aditya Birla Nuvo, Ltd.     65,289       1,735,893  
Cummins India, Ltd.     166,295       2,340,121  
Total Consumer Goods              4,076,014  
Consumer Services—1.2%
                 
Dish TV India, Ltd.*     432,031       565,744  
Financials—1.0%
                 
Unitech, Ltd.*     1,883,209       485,989  
Industrials—40.1%
                 
ABB India, Ltd.     63,197       1,272,498  
Adani Ports and Special Economic Zone, Ltd.     538,511       2,652,058  
Ambuja Cements, Ltd.     703,870       2,871,435  
Bharat Heavy Electricals, Ltd.     698,626       2,627,331  
Engineers India, Ltd.     126,481       390,369  
Havells India, Ltd.     243,297       1,186,720  
IRB Infrastructure Developers, Ltd.     138,511       540,488  
Jaiprakash Associates, Ltd.*     1,359,948       538,927  
Mahindra & Mahindra, Ltd.     109,368       2,075,818  
Siemens, Ltd.     107,006       2,388,265  
Tata Motors, Ltd.     299,787       2,635,659  
Total Industrials              19,179,568  
Oil & Gas—4.3%
                 
GAIL India, Ltd.     328,362       2,034,775  

   
 Investments   Shares   Value
Telecommunications—17.1%
                 
Bharti Airtel, Ltd.     400,641     $ 2,517,880  
Bharti Infratel, Ltd.     361,493       2,223,906  
Idea Cellular, Ltd.     963,920       2,834,096  
Tata Communications, Ltd.     84,205       567,814  
Total Telecommunications              8,143,696  
Utilities—17.3%
                 
CESC, Ltd.     66,210       638,864  
GMR Infrastructure, Ltd.     1,442,345       382,590  
NHPC, Ltd.     2,985,863       944,693  
NTPC, Ltd.     1,070,702       2,512,455  
Reliance Infrastructure, Ltd.     157,630       1,092,658  
Reliance Power, Ltd.*     809,183       730,552  
Tata Power Co., Ltd.     1,590,535       1,959,536  
Total Utilities              8,261,348  
TOTAL COMMON STOCKS
                 
(Cost: $44,846,995)              47,399,719  
Rights—0.0%**
                 
Utilities—0.0%**
                 
GMR Infrastructure, Ltd., expiring 4/8/15*#§
                 
(Cost: $0)     299,014       7,645  
TOTAL INVESTMENTS IN SECURITIES—99.3%
 
(Cost: $44,846,995)              47,407,364  
Other Assets in Excess of Liabilities—0.7%              328,264  
Net Assets—100.0%            $ 47,735,628  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
#   Fair valued security.
§   Illiquid.
**   Less than 0.05%.

 
 

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   37


 
 

TABLE OF CONTENTS

Schedule of Investments (Consolidated)†
EGShares India Small Cap ETF

 
March 31, 2015

   
 Investments   Shares   Value
COMMON STOCKS—99.8%
                 
Basic Materials—3.7%
                 
Jindal Saw, Ltd.     175,000     $ 183,861  
Monsanto India, Ltd.     5,000       228,559  
Nagarjuna Fertilizers & Chemicals, Ltd.*#§     582,385       9,306  
Rashtriya Chemicals & Fertilizers, Ltd.     130,000       117,264  
SRF, Ltd.     35,000       554,799  
Total Basic Materials              1,093,789  
Consumer Goods—10.5%
                 
Alok Industries, Ltd.*     1,005,000       118,837  
Amtek Auto, Ltd.     130,000       301,728  
Arvind, Ltd.     79,000       330,359  
Bombay Dyeing & Manufacturing Co., Ltd.     115,000       117,423  
CCL Products India, Ltd.     85,000       242,852  
Ceat, Ltd.     23,675       304,330  
Delta Corp., Ltd.     158,538       203,679  
JBF Industries, Ltd.     40,000       134,961  
JK Tyre & Industries, Ltd.     130,000       218,324  
Mahindra CIE Automotive, Ltd.*     90,000       311,283  
Marico Kaya Enterprises, Ltd.*     5,000       121,814  
PC Jeweller, Ltd.     60,000       304,500  
Raymond, Ltd.     45,000       318,582  
Total Consumer Goods              3,028,672  
Consumer Services—6.3%
                 
Cox & Kings, Ltd.     105,000       544,033  
Future Retail, Ltd.     240,000       378,132  
Jet Airways India, Ltd.*     65,962       515,048  
TV18 Broadcast, Ltd.*     765,000       370,391  
Total Consumer Services              1,807,604  
Financials—25.8%
                 
Allahabad Bank*     257,917       412,956  
Andhra Bank*     273,510       345,268  
DCB Bank, Ltd.*     275,000       487,546  
Dewan Housing Finance Corp., Ltd.     95,000       709,905  
Housing Development & Infrastructure, Ltd.*     304,765       495,513  
IFCI, Ltd.     889,851       474,208  
Indiabulls Real Estate, Ltd.     299,171       312,646  
Indian Overseas Bank     370,000       250,387  
Jammu & Kashmir Bank, Ltd. (The)     270,000       410,083  
Karnataka Bank, Ltd. (The)     222,056       442,293  
Manappuram Finance, Ltd.     655,000       339,635  
Oriental Bank of Commerce     147,711       482,919  
PTC India Financial Services, Ltd.     270,000       238,370  
SKS Microfinance, Ltd.*     134,705       985,729  
Syndicate Bank     240,303       388,593  
UCO Bank     268,261       273,914  
Unitech, Ltd.*     1,544,986       398,706  
Total Financials              7,448,671  
Health Care—2.3%
                 
Granules India, Ltd.     120,000       163,276  
Marksans Pharma, Ltd.     220,000       217,605  
Suven Life Sciences, Ltd.     60,000       275,210  
Total Health Care              656,091  
Industrials—22.6%
                 
BEML, Ltd.     22,500       394,407  
Century Textiles & Industries, Ltd.     65,171       663,517  
Engineers India, Ltd.     120,000       370,367  
Escorts, Ltd.     80,919       164,667  
Gateway Distriparks, Ltd.     85,000       558,098  

   
 Investments   Shares   Value
Gati, Ltd.     65,000     $ 224,920  
Hindustan Construction Co., Ltd.*     415,000       216,846  
India Cements, Ltd.*     255,000       351,035  
Jain Irrigation Systems, Ltd.     365,000       359,277  
Jaiprakash Associates, Ltd.*     1,646,847       652,620  
JK Lakshmi Cement, Ltd.     75,000       430,001  
NCC, Ltd.     455,000       814,665  
Sintex Industries, Ltd.     259,890       501,248  
Texmaco Rail & Engineering, Ltd.     115,000       274,539  
Timken India, Ltd.     20,000       195,298  
Voltas, Ltd.     80,000       357,743  
Total Industrials              6,529,248  
Oil & Gas—7.7%
                 
Aban Offshore, Ltd.     36,425       248,183  
Gujarat State Petronet, Ltd.     410,000       812,711  
Suzlon Energy, Ltd.*     2,670,000       1,166,875  
Total Oil & Gas              2,227,769  
Technology—10.8%
                 
Astra Microwave Products, Ltd.     80,000       188,555  
Hexaware Technologies, Ltd.     102,165       510,243  
Himachal Futuristic Communications, Ltd.*     905,000       193,057  
KPIT Technologies, Ltd.     180,000       542,175  
Polaris Consulting & Services, Ltd.     80,000       211,501  
Redington India, Ltd.     400,000       838,909  
Rolta India, Ltd.     95,000       246,452  
Tata Elxsi, Ltd.     20,052       370,801  
Total Technology              3,101,693  
Utilities—10.1%
                 
BF Utilities, Ltd.*     15,243       172,351  
GMR Infrastructure, Ltd.     1,793,184       475,651  
Gujarat Gas Co., Ltd.*     40,000       402,517  
Indraprastha Gas, Ltd.     90,000       603,224  
Jaiprakash Power Ventures, Ltd.*     1,200,000       196,544  
PTC India, Ltd.     290,000       374,889  
Torrent Power, Ltd.     260,000       679,485  
Total Utilities              2,904,661  
TOTAL COMMON STOCKS
                 
(Cost: $30,060,127)              28,798,198  
Rights—0.0%**
                 
Utilities—0.0%**
                 
GMR Infrastructure, Ltd., expiring 4/8/15*#§
                 
(Cost: $0)     179,610       4,592  
TOTAL INVESTMENTS IN SECURITIES—99.8%
 
(Cost: $30,060,127)              28,802,790  
Other Assets in Excess of Liabilities—0.2%              46,782  
Net Assets—100.0%            $ 28,849,572  

 
  The Consolidated Schedule of Investments includes the accounts of the wholly owned subsidiary. All inter-company accounts and transactions have been eliminated in consolidation. See Note 2 of the Notes to Financial Statements.
*   Non-income producing security.
#   Fair valued security.
§   Illiquid.
**   Less than 0.05%.

 
 

The accompanying notes are an integral part of these financial statements.

38   EGA Emerging Global Shares Trust


 
 

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EGA Emerging Global Shares Trust   39


 
 

TABLE OF CONTENTS

Statements of Assets and Liabilities
EGA Emerging Global Shares Trust

 

March 31, 2015

       
    EGShares
Beyond
BRICs ETF
  EGShares
Blue Chip ETF
  EGShares
Brazil
Infrastructure ETF
  EGShares
EM Quality
Dividend ETF1
(Consolidated)
ASSETS:                                    
Cost of Investments:   $ 324,206,098     $ 7,923,245     $ 18,065,569     $ 25,472,642  
Investments at value     297,532,478       7,598,374       12,486,403       24,954,421  
Cash     1,036,485       30,038       50,679       64,789  
Foreign cash*     307,292                   35,248  
Receivables:                                    
Dividends and interest     2,306,055       10,603       79,772       67,998  
Foreign tax reclaims     1,834       2,178              
Investment securities sold                 309,098        
Total Assets     301,184,144       7,641,193       12,925,952       25,122,456  
LIABILITIES:                                    
Payables:                                    
Accrued investment advisory fees     143,601       3,907       9,228       18,447  
Due to custodian           43              
Income payable                       169,260  
Investment securities purchased                 324,571        
Total Liabilities     143,601       3,950       333,799       187,707  
NET ASSETS   $ 301,040,543     $ 7,637,243     $ 12,592,153     $ 24,934,749  
NET ASSETS:                                    
Paid-in capital   $ 329,978,491     $ 8,075,633     $ 48,649,098     $ 51,303,683  
Undistributed (accumulated) net investment income (loss)     3,120,587       14,130       77,287       (34,650 ) 
Undistributed (accumulated) net realized gain (loss) on investments and foreign currency transactions     (5,386,851 )      (127,183 )      (30,541,846 )      (25,815,976 ) 
Net unrealized appreciation (depreciation) on investments and on foreign currency translations     (26,671,684 )      (325,337 )      (5,592,386 )      (518,308 ) 
NET ASSETS   $ 301,040,543     $ 7,637,243     $ 12,592,153     $ 24,934,749  
Outstanding beneficial interest shares (unlimited shares of beneficial interest authorized, no par value)     15,150,000       400,000       1,400,000       1,750,000  
Net asset value per share   $ 19.87     $ 19.09     $ 8.99     $ 14.25  

*

Cost of foreign cash:

  $ 303,662     $     $     $ 35,054  
1 Formerly known as EGShares Low Volatility Emerging Markets Dividend ETF.

The accompanying notes are an integral part of these financial statements.

40   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

           
    EGShares
Emerging Markets
Consumer ETF
(Consolidated)
  EGShares
Emerging Markets
Core ETF
(Consolidated)
  EGShares
Emerging Markets
Domestic Demand ETF
(Consolidated)
  EGShares
India
Consumer ETF
(Consolidated)
  EGShares
India
Infrastructure ETF
(Consolidated)
  EGShares
India
Small Cap ETF
(Consolidated)
ASSETS:                                                      
Cost of Investments:   $ 1,131,573,922     $ 5,145,334     $ 33,607,053     $ 83,965,277     $ 44,846,995     $ 30,060,127  
Investments at value     1,143,200,085       5,046,796       35,647,819       88,480,939       47,407,364       28,802,790  
Cash     2,393,633       14,106       67,157       286,928       115,434       987  
Foreign cash*     42,887       3,549       54,931       5,252       7,813       60,653  
Receivables:                                             
Dividends and interest     317,533       1,287       53,924             33,043       6,392  
Foreign tax reclaims                                    
Investment securities sold           5,380                   205,950        
Total Assets     1,145,954,138       5,071,118       35,823,831       88,773,119       47,769,604       28,870,822  
LIABILITIES:                                                      
Payables:                                                      
Accrued investment advisory fees     795,904       3,015       25,556       63,024       33,976       21,250  
Due to custodian                                    
Income payable                                    
Investment securities purchased                                    
Total Liabilities     795,904       3,015       25,556       63,024       33,976       21,250  
NET ASSETS   $ 1,145,158,234     $ 5,068,103     $ 35,798,275     $ 88,710,095     $ 47,735,628     $ 28,849,572  
NET ASSETS:                                                      
Paid-in capital   $ 1,169,926,142     $ 5,168,581     $ 34,137,055     $ 85,713,783     $ 98,400,746     $ 39,894,974  
Undistributed (accumulated) net investment income (loss)     92,937       (512 )      65,753       (169,858 )      205,528       47,148  
Undistributed (accumulated) net realized gain (loss) on investments and foreign currency transactions     (36,487,893 )      (1,453 )      (445,946 )      (1,349,506 )      (53,430,673 )      (9,835,237 ) 
Net unrealized appreciation (depreciation) on investments and on foreign currency translations     11,627,048       (98,513 )      2,041,413       4,515,676       2,560,027       (1,257,313 ) 
NET ASSETS   $ 1,145,158,234     $ 5,068,103     $ 35,798,275     $ 88,710,095     $ 47,735,628     $ 28,849,572  
Outstanding beneficial interest shares (unlimited shares of beneficial interest authorized, no par value)     43,300,000       250,000       1,550,000       2,500,000       3,650,000       1,650,000  
Net asset value per share   $ 26.45     $ 20.27     $ 23.10     $ 35.48     $ 13.08     $ 17.48  

*

Cost of foreign cash:

  $ 42,002     $ 3,522     $ 54,280     $ 5,238     $ 7,820     $ 60,637  

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   41


 
 

TABLE OF CONTENTS

Statements of Operations
EGA Emerging Global Shares Trust

 

Year Ended March 31, 2015

       
    EGShares
Beyond
BRICs ETF
  EGShares
Blue Chip ETF1
  EGShares
Brazil
Infrastructure ETF
  EGShares
EM Quality
Dividend ETF2 (Consolidated)
INVESTMENT INCOME:                                    
Dividend income*   $ 8,234,145     $ 135,954     $ 1,606,680     $ 2,436,410  
Interest income     3,030             1        
Total investment income     8,237,175       135,954       1,606,681       2,436,410  
EXPENSES:                                    
Investment advisory fees     2,169,603       37,953       231,333       366,169  
Mauritius taxes paid                       19,318  
Total expenses before waivers     2,169,603       37,953       231,333       385,487  
Less: waivers of expenses from Advisor     (689,360 )                   
Net expenses     1,480,243       37,953       231,333       385,487  
Net investment income (loss)     6,756,932       98,001       1,375,348       2,050,923  
REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS AND FOREIGN CURRENCY TRANSLATIONS:                                    
Net realized gain (loss) on:                                    
Investments     (4,457,075 )      (127,183 )      (4,173,685 )      (3,755,869 ) 
In-Kind Redemptions     1,282,364                   (345,335 ) 
Foreign currency transactions     (640,021 )      (9,039 )      (88,636 )      (234,513 ) 
Net realized gain (loss)     (3,814,732 )      (136,222 )      (4,262,321 )      (4,335,717 ) 
Change in unrealized appreciation (depreciation) on:                                    
Investments     (28,066,712 )      (324,871 )      (7,936,841 )      (400,712 ) 
Foreign currency translations     4,250       (466 )      (16,716 )      (5,081 ) 
Net change in unrealized appreciation (depreciation)     (28,062,462 )      (325,337 )      (7,953,557 )      (405,793 ) 
Net realized and unrealized gain (loss) on investments and foreign currency translations     (31,877,194 )      (461,559 )      (12,215,878 )      (4,741,510 ) 
NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS   $ (25,120,262 )    $ (363,558 )    $ (10,840,530 )    $ (2,690,587 ) 

*

Net of foreign taxes withheld of:

  $ 644,086     $ 11,928     $ 63,990     $ 238,926  
1 Represents the period April 23, 2014 (commencement of operations) to March 31, 2015.
2 Formerly known as EGShares Low Volatility Emerging Markets Dividend ETF.

The accompanying notes are an integral part of these financial statements.

42   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

           
    EGShares
Emerging Markets
Consumer ETF
(Consolidated)
  EGShares
Emerging Markets
Core ETF
(Consolidated)
  EGShares
Emerging Markets Domestic Demand ETF
(Consolidated)
  EGShares
India
Consumer ETF
(Consolidated)
  EGShares
India
Infrastructure ETF
(Consolidated)
  EGShares
India
Small Cap ETF
(Consolidated)
INVESTMENT INCOME:                                                      
Dividend income*   $ 21,876,178     $ 109,452     $ 644,835     $ 111,795     $ 826,836     $ 346,079  
Interest income     1,110       1       4             22        
Total investment income     21,877,288       109,453       644,839       111,795       826,858       346,079  
EXPENSES:                                                      
Investment advisory fees     10,331,240       30,722       239,991       187,379       395,250       236,672  
Mauritius taxes paid     53,786       580       146       1,023       15,191       18,667  
Total expenses before waivers     10,385,026       31,302       240,137       188,402       410,441       255,339  
Less: waivers of expenses from Advisor                                    
Net expenses     10,385,026       31,302       240,137       188,402       410,441       255,339  
Net investment income (loss)     11,492,262       78,151       404,702       (76,607 )      416,417       90,740  
REALIZED AND UNREALIZED GAIN (LOSS) ON INVESTMENTS AND FOREIGN CURRENCY TRANSLATIONS:                                                      
Net realized gain (loss) on:                                                      
Investments     (16,107,527 )      64,354       41,722       (753,073 )      (961,527 )      7,379,134  
In-Kind Redemptions     17,096,293             457,727                    
Foreign currency transactions     (483,751 )      (1,068 )      (4,130 )      (92,807 )      (145,309 )      43,657  
Net realized gain (loss)     505,015       63,286       495,319       (845,880 )      (1,106,836 )      7,422,791  
Change in unrealized appreciation (depreciation) on:                                             
Investments     (9,055,202 )      (115,131 )      428,880       3,635,504       (243,696 )      (1,259,487 ) 
Foreign currency translations     (20,346 )      (142 )      (2,066 )      (572 )      (2,456 )      (1,695 ) 
Net change in unrealized appreciation (depreciation)     (9,075,548 )      (115,273 )      426,814       3,634,932       (246,152 )      (1,261,182 ) 
Net realized and unrealized gain (loss) on investments and foreign currency translations     (8,570,533 )      (51,987 )      922,133       2,789,052       (1,352,988 )      6,161,609  
NET INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS   $ 2,921,729     $ 26,164     $ 1,326,835     $ 2,712,445     $ (936,571 )    $ 6,252,349  

*

Net of foreign taxes withheld of:

  $ 1,396,847     $ 9,027     $ 62,325     $     $ 1     $  

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   43


 
 

TABLE OF CONTENTS

Statements of Changes in Net Assets
EGA Emerging Global Shares Trust

 

March 31, 2015

           
    EGShares
Beyond BRICs ETF
  EGShares
Blue Chip ETF
  EGShares
Brazil Infrastructure ETF
 
     For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the Period
April 23, 20141 Through
March 31, 2015
  For the
Year Ended
March 31, 2015
  For the
Year Ended March 31, 2014
INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:                                          
Net investment income (loss)   $ 6,756,932     $ 826,664     $ 98,001     $ 1,375,348     $ 2,021,937  
Net realized gain (loss) on investments and foreign currency transactions     (3,814,732 )      (616,386 )      (136,222 )      (4,262,321 )      (15,042,476 ) 
Net change in unrealized appreciation (depreciation) on investments and foreign currency translations     (28,062,462 )      762,595       (325,337 )      (7,953,557 )      (2,822,986 ) 
Net increase (decrease) in net assets resulting from operations     (25,120,262 )      972,873       (363,558 )      (10,840,530 )      (15,843,525 ) 
DISTRIBUTIONS TO SHAREHOLDERS:                                             
Net investment income     (3,616,691 )      (198,374 )      (74,832 )      (1,252,757 )      (1,708,565 ) 
Net realized gain     (268,047 )                         
Return of Capital                              
Total distributions     (3,884,738 )      (198,374 )      (74,832 )      (1,252,757 )      (1,708,565 ) 
CAPITAL SHARE TRANSACTIONS:                                             
Proceeds from sale of shares     302,924,221       41,935,626       8,075,633       10,594,646        
Cost of shares redeemed     (22,263,815 )      (1,012,903 )            (22,818,489 )      (25,277,961 ) 
Transaction fees                              
Net increase (decrease) in net assets resulting from capital share transactions     280,660,406       40,922,723       8,075,633       (12,223,843 )      (25,277,961 ) 
Net Increase (Decrease) in Net Assets     251,655,406       41,697,222       7,637,243       (24,317,130 )      (42,830,051 ) 
NET ASSETS:                                             
Beginning of period     49,385,137       7,687,915             36,909,283       79,739,334  
End of period   $ 301,040,543     $ 49,385,137     $ 7,637,243     $ 12,592,153     $ 36,909,283  
Undistributed (accumulated) net investment income (loss) included in net assets at end of period   $ 3,120,587     $ 620,423     $ 14,130     $ 77,287     $ 43,332  
SHARES CREATED AND REDEEMED:                                             
Shares outstanding, beginning of period     2,350,000       350,000             2,250,000       3,750,000  
Shares sold     13,900,000       2,050,000       400,000       600,000        
Shares redeemed     (1,100,000 )      (50,000 )            (1,450,000 )      (1,500,000 ) 
Shares outstanding, end of period     15,150,000       2,350,000       400,000       1,400,000       2,250,000  
1 Commencement of operations.
2 Formerly known as EGShares Low Volatility Emerging Markets Dividend ETF.

The accompanying notes are an integral part of these financial statements.

44   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

 

                   
    EGShares
EM Quality Dividend ETF2
(Consolidated)
  EGShares
Emerging Markets
Consumer ETF
(Consolidated)
  EGShares
Emerging Markets
Core ETF
(Consolidated)
  EGShares
Emerging Markets
Domestic Demand ETF
(Consolidated)
  EGShares
India Consumer ETF
(Consolidated)
     For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31,
2014
  For the
Year Ended
March 31,
2015
  For the
Year Ended
March 31,
2014
  For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2015
  For the
Year Ended March 31,
2014
INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:                                                                                          
Net investment income (loss)   $ 2,050,923     $ 3,202,114     $ 11,492,262     $ 13,559,582     $ 78,151     $ 71,737     $ 404,702     $ 73,170     $ (76,607 )    $ 24,732  
Net realized gain (loss) on investments and foreign currency transactions     (4,335,717 )      (14,363,763 )      505,015       39,433,848       63,286       (9,421 )      495,319       (452,961 )      (845,880 )      (306,610 ) 
Net change in unrealized appreciation (depreciation) on investments and foreign currency translations     (405,793 )      (4,924,574 )      (9,075,548 )      (52,276,450 )      (115,273 )      (76,301 )      426,814       1,352,776       3,634,932       650,234  
Net increase (decrease) in net assets resulting from operations     (2,690,587 )      (16,086,223 )      2,921,729       716,980       26,164       (13,985 )      1,326,835       972,985       2,712,445       368,356  
DISTRIBUTIONS TO SHAREHOLDERS:                                                                                          
Net investment income     (1,527,013 )      (3,286,653 )      (13,864,995 )      (9,529,880 )      (83,068 )      (70,906 )      (359,762 )      (44,840 )      (20,840 )       
Net realized gain                                                            
Return of Capital           (174,637 )                                                 
Total distributions     (1,527,013 )      (3,461,290 )      (13,864,995 )      (9,529,880 )      (83,068 )      (70,906 )      (359,762 )      (44,840 )      (20,840 )       
CAPITAL SHARE TRANSACTIONS:                                                                                          
Proceeds from sale of shares           51,196,661       50,665,900       568,682,184       1,038,203       1,994,833       15,039,089       21,397,580       81,076,838        
Cost of shares redeemed     (28,180,390 )      (63,434,762 )      (128,249,725 )      (211,670,993 )            (1,994,464 )      (3,636,676 )      (1,111,765 )            (2,051,517 ) 
Transaction fees     (2,407 )      (998 )      2,754       7,917       (1,124 )      (764 )      (85 )      (977 )      (3,047 )      (3,208 ) 
Net increase (decrease) in net assets resulting from capital share transactions     (28,182,797 )      (12,239,099 )      (77,581,071 )      357,019,108       1,037,079       (395 )      11,402,328       20,284,838       81,073,791       (2,054,725 ) 
Net Increase (Decrease) in Net Assets     (32,400,397 )      (31,786,612 )      (88,524,337 )      348,206,208       980,175       (85,286 )      12,369,401       21,212,983       83,765,396       (1,686,369 ) 
NET ASSETS:                                                                                          
Beginning of period     57,335,146       89,121,758       1,233,682,571       885,476,363       4,087,928       4,173,214       23,428,874       2,215,891       4,944,699       6,631,068  
End of period   $ 24,934,749     $ 57,335,146     $ 1,145,158,234     $ 1,233,682,571     $ 5,068,103     $ 4,087,928     $ 35,798,275     $ 23,428,874     $ 88,710,095     $ 4,944,699  
Undistributed (accumulated) net investment income (loss) included in net assets at end of period   $ (34,650 )    $ (324,047 )    $ 92,937     $ 1,294,083     $ (512 )    $ 5,473     $ 65,753     $ 24,943     $ (169,858 )    $  
SHARES CREATED AND REDEEMED:                                                                                          
Shares outstanding, beginning of period     3,550,000       4,500,000       46,500,000       33,400,000       200,000       200,000       1,050,000       100,000       200,000       300,000  
Shares sold           2,750,000       1,800,000       21,150,000       50,000       100,000       650,000       1,000,000       2,300,000        
Shares redeemed     (1,800,000 )      (3,700,000 )      (5,000,000 )      (8,050,000 )            (100,000 )      (150,000 )      (50,000 )            (100,000 ) 
Shares outstanding, end of period     1,750,000       3,550,000       43,300,000       46,500,000       250,000       200,000       1,550,000       1,050,000       2,500,000       200,000  

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   45


 
 

TABLE OF CONTENTS

Statements of Changes in Net Assets  (concluded)
EGA Emerging Global Shares Trust

 

       
  EGShares India Infrastructure ETF
(Consolidated)
  EGShares India Small Cap ETF
(Consolidated)
     For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
INCREASE (DECREASE) IN NET ASSETS RESULTING FROM OPERATIONS:
                                   
Net investment income (loss)   $ 416,417     $ 417,092     $ 90,740     $ 433,144  
Net realized gain (loss) on investments and foreign currency transactions     (1,106,836 )      (36,258,281 )      7,422,791       (2,986,133 ) 
Net change in unrealized appreciation (depreciation) on investments and foreign currency translations     (246,152 )      26,140,305       (1,261,182 )      2,708,685  
Net increase (decrease) in net assets resulting from operations     (936,571 )      (9,700,884 )      6,252,349       155,696  
DISTRIBUTIONS TO SHAREHOLDERS:
                                   
Net investment income     (128,789 )      (2,053,052 )      (133,287 )      (387,083 ) 
Total distributions     (128,789 )      (2,053,052 )      (133,287 )      (387,083 ) 
CAPITAL SHARE TRANSACTIONS:
                                   
Proceeds from sale of shares     46,724,009       19,242,356       12,647,997       1,064,537  
Cost of shares redeemed     (15,511,583 )      (41,412,898 )      (6,475,034 )      (5,433,857 ) 
Transaction fees     2,097       (2,231 )      (2,581 )      (2,658 ) 
Net increase (decrease) in net assets resulting from capital share transactions     31,214,523       (22,172,773 )      6,170,382       (4,371,978 ) 
Net Increase (Decrease) in Net Assets     30,149,163       (33,926,709 )      12,289,444       (4,603,365 ) 
NET ASSETS:
                                   
Beginning of period     17,586,465       51,513,174       16,560,128       21,163,493  
End of period   $ 47,735,628     $ 17,586,465     $ 28,849,572     $ 16,560,128  
Undistributed (accumulated) net investment income (loss) included in net assets at end of period   $ 205,528     $ 47,367     $ 47,148     $ 46,038  
SHARES CREATED AND REDEEMED:
                                   
Shares outstanding, beginning of period     1,550,000       4,200,000       1,300,000       1,700,000  
Shares sold     3,250,000       1,550,000       750,000       100,000  
Shares redeemed     (1,150,000 )      (4,200,000 )      (400,000 )      (500,000 ) 
Shares outstanding, end of period     3,650,000       1,550,000       1,650,000       1,300,000  

  

The accompanying notes are an integral part of these financial statements.

46   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Financial Highlights  
EGA Emerging Global Shares Trust
 

For a share outstanding throughout each period

EGShares Beyond BRICs ETF

     
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the Period
August 15, 20121
Through
March 31, 2013
Net asset value, beginning of period   $ 21.01     $ 21.97     $ 20.00  
Investment operations:
                          
Net investment income2     0.56       0.99       0.17  
Net realized and unrealized gain (loss) on investments and foreign currency translations     (1.43 )      (1.77 )3     1.91  
Total from investment operations     (0.87 )      (0.78 )      2.08  
Distributions to shareholders:
                          
Net investment income     (0.25 )      (0.18 )      (0.11 ) 
Net realized gains     (0.02 )             
Total distributions     (0.27 )      (0.18 )      (0.11 ) 
Net asset value, end of period   $ 19.87     $ 21.01     $ 21.97  
NET ASSET VALUE TOTAL RETURN4     (4.16 )%      (3.51 )%      10.41 % 
RATIOS/SUPPLEMENTAL DATA:
                          
Net assets, end of period (000's omitted)   $ 301,041     $ 49,385     $ 7,688  
Ratios to average net assets:
                          
Expenses, net of expense reimbursements/waivers5,6     0.58 %      0.66 %      0.85 %7
Expenses, prior to expense reimbursements/waivers5,6     0.85 %      0.85 %      2.43 %7
Net investment income     2.65 %      4.92 %      1.26 %7
Portfolio turnover rate     33 %      63 %      1 %8

  

EGShares Blue Chip ETF

 
    For the Period
April 23, 20141
Through
March 31, 2015
Net asset value, beginning of period   $ 20.00  
Investment operations:
        
Net investment income2     0.28  
Net realized and unrealized loss on investments and foreign currency translations     (1.00 ) 
Total from investment operations     (0.72 ) 
Distributions to shareholders:
        
Net investment income     (0.19 ) 
Net asset value, end of period   $ 19.09  
NET ASSET VALUE TOTAL RETURN4     (3.57 )% 
RATIOS/SUPPLEMENTAL DATA:
        
Net assets, end of period (000's omitted)   $ 7,637  
Ratios to average net assets:
        
Expenses, net of expense reimbursements/waivers     0.60 %7
Expenses, prior to expense reimbursements/waivers     0.60 %7
Net investment income     1.55 %7
Portfolio turnover rate     82 %8
1 Commencement of operations.
2 Based on average shares outstanding.
3 The realized and unrealized gain or loss on investments and foreign currency translations does not accord with the amounts reported in the Statements of Operations due to the timing of subscriptions or redemptions of Fund shares in relation to the investment performance during the period and contributions made by Authorized Participants to compensate the Fund for additional costs incurred in purchasing securities that were not transferred in kind (See Note 10).
4 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period, and redemption at net asset value on the last day of the period. Total return calculated for a period of less than one year is not annualized. For periods prior to April 1, 2013, the total return would have been lower if certain expenses had not been reimbursed/waived by EGA.
5 Effective April 1, 2013, EGA replaced the fee and expense structure with a Unified Fee. See Note 9 for additional information.
6 Effective October 1, 2013 the Fund entered into a fee waiver agreement pursuant to which the Advisor has agreed to waive its advisory fee to 0.58% of the Fund's average daily net assets (See Note 9).
7 Annualized.
8 Not annualized.

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   47


 
 

TABLE OF CONTENTS

Financial Highlights  (continued)
EGA Emerging Global Shares Trust
 

For a share outstanding throughout each period

EGShares Brazil Infrastructure ETF

         
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the
Year Ended
March 31, 2012
  For the
Year Ended
March 31, 2011
Net asset value, beginning of period   $ 16.40     $ 21.26     $ 24.21     $ 25.38     $ 20.55  
Investment operations:
                                            
Net investment income1     0.74       0.63       0.71       0.96       0.47  
Net realized and unrealized gain (loss) on investments and foreign currency translations     (7.34 )      (4.94 )      (2.84 )      (1.15 )      4.67  
Total from investment operations     (6.60 )      (4.31 )      (2.13 )      (0.19 )      5.14  
Distributions to shareholders:
                                            
Net investment income     (0.81 )      (0.55 )      (0.82 )      (0.98 )      (0.31 ) 
Net asset value, end of period   $ 8.99     $ 16.40     $ 21.26     $ 24.21     $ 25.38  
NET ASSET VALUE TOTAL RETURN2     (41.17 )%      (20.36 )%      (8.63 )%      (0.04 )%      25.16 % 
RATIOS/SUPPLEMENTAL DATA:
                                            
Net assets, end of period (000's omitted)   $ 12,592     $ 36,909     $ 79,739     $ 89,591     $ 83,760  
Ratios to average net assets:
                                            
Expenses, net of expense reimbursements/waivers3     0.85 %      0.85 %      0.85 %      0.88 %4     0.85 % 
Expenses, prior to expense reimbursements/waivers3     0.85 %      0.85 %      1.52 %      1.51 %4     1.91 % 
Net investment income     5.05 %      3.52 %      3.31 %      4.10 %      2.09 % 
Portfolio turnover rate     77 %      68 %      30 %      30 %      35 % 

EGShares EM Quality Dividend ETF5 (Consolidated)

       
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the Period
August 4, 20116
Through
March 31, 2012
Net asset value, beginning of period   $ 16.15     $ 19.80     $ 20.09     $ 20.00  
Investment operations:
                                   
Net investment income1     0.77       0.64       0.86       0.33  
Net realized and unrealized gain (loss) on investments and foreign currency translations     (2.08 )      (3.61 )      (0.09 )7     0.13  
Total from investment operations     (1.31 )      (2.97 )      0.77       0.46  
Distributions to shareholders:
                                   
Net investment income     (0.59 )      (0.65 )      (1.06 )      (0.37 ) 
Return of Capital           (0.03 )             
Total distributions     (0.59 )      (0.68 )      (1.06 )      (0.37 ) 
Net asset value, end of period   $ 14.25     $ 16.15     $ 19.80     $ 20.09  
NET ASSET VALUE TOTAL RETURN2     (8.37 )%      (15.14 )%      4.12 %      2.45 % 
RATIOS/SUPPLEMENTAL DATA:
                                   
Net assets, end of period (000's omitted)   $ 24,935     $ 57,335     $ 89,122     $ 59,255  
Ratios to average net assets:
                                   
Expenses, net of expense reimbursements/waivers3     0.89 %10     0.85 %      0.85 %      0.85 %8
Expenses, prior to expense reimbursements/waivers3     0.89 %10     0.85 %      1.43 %      2.07 %8
Net investment income     4.76 %      3.54 %      4.45 %      2.62 %8
Portfolio turnover rate     168 %      137 %      86 %      45 %9
 1 Based on average shares outstanding.
 2 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period, and redemption at net asset value on the last day of the period. Total return calculated for a period of less than one year is not annualized. For periods prior to April 1, 2013, the total return would have been lower if certain expenses had not been reimbursed/waived by EGA.
 3 Effective April 1, 2013, EGA replaced the fee and expense structure with a Unified Fee. See Note 9 for additional information.
 4 The ratio includes 0.03% for the year ended March 31, 2012 attributed to excise tax expense, which was outside the expense cap in place at that time.
 5 Formerly known as EGShares Low Volatility Emerging Markets Dividend ETF.
 6 Commencement of operations.
 7 The realized and unrealized gain or loss on investments and foreign currency translations does not accord with the amounts reported in the Statements of Operations due to the timing of subscriptions or redemptions of Fund shares in relation to the investment performance during the period and contributions made by Authorized Participants to compensate the Fund for additional costs incurred in purchasing securities that were not transferred in kind (See Note 10).
 8 Annualized.
 9 Not annualized.
10 The ratio includes 0.04% for the period ended March 31, 2015 attributed to tax expense, which is outside the Unified Fee.

The accompanying notes are an integral part of these financial statements.

48   EGA Emerging Global Shares Trust


 
 

TABLE OF CONTENTS

Financial Highlights  (continued)
EGA Emerging Global Shares Trust
 

For a share outstanding throughout each period

EGShares Emerging Markets Consumer ETF (Consolidated)

         
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the
Year Ended
March 31, 2012
  For the Period
September 14, 20101
Through
March 31, 2011
Net asset value, beginning of period   $ 26.53     $ 26.51     $ 24.77     $ 22.76     $ 20.00  
Investment operations:
                                            
Net investment income2     0.25       0.31       0.17       0.17       0.04  
Net realized and unrealized gain (loss) on investments and foreign currency translations     (0.03 )      (0.09 )      1.68       1.96       2.74  
Total from investment operations     0.22       0.22       1.85       2.13       2.78  
Distributions to shareholders:
                                            
Net investment income     (0.30 )      (0.20 )      (0.11 )      (0.12 )      (0.02 ) 
Net asset value, end of period   $ 26.45     $ 26.53     $ 26.51     $ 24.77     $ 22.76  
NET ASSET VALUE TOTAL RETURN3     0.88 %      0.82 %      7.46 %      9.44 %      13.88 % 
RATIOS/SUPPLEMENTAL DATA:
                                            
Net assets, end of period (000's omitted)   $ 1,145,158     $ 1,233,683     $ 885,476     $ 402,466     $ 194,611  
Ratios to average net assets:
                                            
Expenses, net of expense reimbursements/waivers6     0.83 %      0.84 %      0.85 %      0.85 %      0.85 %4
Expenses, prior to expense reimbursements/waivers6     0.83 %      0.84 %      1.23 %      1.31 %      1.44 %4
Net investment income     0.92 %      1.20 %      0.68 %      0.76 %      0.37 %4
Portfolio turnover rate     12 %      14 %      7 %      3 %      9 %5

EGShares Emerging Markets Core ETF (Consolidated)

     
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the Period
October 16, 20121
Through

March 31, 2013
Net asset value, beginning of period   $ 20.44     $ 20.87     $ 20.00  
Investment operations:
                          
Net investment income2     0.38       0.36       0.09  
Net realized and unrealized gain (loss) on investments and foreign currency translations     (0.13 )      (0.44 )      0.82  
Total from investment operations     0.25       (0.08 )      0.91  
Distributions to shareholders:
                          
Net investment income     (0.42 )      (0.35 )      (0.04 ) 
Net asset value, end of period   $ 20.27     $ 20.44     $ 20.87  
NET ASSET VALUE TOTAL RETURN3     1.22 %      (0.36 )%      4.55 % 
RATIOS/SUPPLEMENTAL DATA:
                          
Net assets, end of period (000's omitted)   $ 5,068     $ 4,088     $ 4,173  
Ratios to average net assets:
                          
Expenses, net of expense reimbursements/waivers6     0.71 %7     0.70 %      0.70 %4
Expenses, prior to expense reimbursements/waivers6     0.71 %7     0.70 %      11.94 %4
Net investment income     1.78 %      1.76 %      0.96 %4
Portfolio turnover rate     20 %      16 %      3 %5
1 Commencement of operations.
2 Based on average shares outstanding.
3 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period, and redemption at net asset value on the last day of the period. Total return calculated for a period of less than one year is not annualized. For periods prior to April 1, 2013, the total return would have been lower if certain expenses had not been reimbursed/waived by EGA.
4 Annualized.
5 Not annualized.
6 Effective April 1, 2013, EGA replaced the fee and expense structure with a Unified Fee. See Note 9 for additional information.
7 The ratio includes 0.01% for the year ended March 31, 2015 attributed to tax expense, which is outside the Unified Fee.

The accompanying notes are an integral part of these financial statements.

EGA Emerging Global Shares Trust   49


 
 

TABLE OF CONTENTS

Financial Highlights  (continued)
EGA Emerging Global Shares Trust
 

For a share outstanding throughout each period

EGShares Emerging Markets Domestic Demand ETF (Consolidated)

     
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the Period
August 15, 20121
Through
March 31, 2013
Net asset value, beginning of period   $ 22.31     $ 22.16     $ 20.00  
Investment operations:
                          
Net investment income2     0.34       0.23       0.13  
Net realized and unrealized gain on investments and foreign currency translations     0.73       0.14       2.11  
Total from investment operations     1.07       0.37       2.24  
Distributions to shareholders:
                          
Net investment income     (0.28 )      (0.22 )      (0.08 ) 
Net asset value, end of period   $ 23.10     $ 22.31     $ 22.16  
NET ASSET VALUE TOTAL RETURN5     4.82 %      1.70 %      11.23 % 
RATIOS/SUPPLEMENTAL DATA:
                          
Net assets, end of period (000's omitted)   $ 35,798     $ 23,429     $ 2,216  
Ratios to average net assets:
                          
Expenses, net of expense reimbursements/waivers9     0.85 %      0.85 %      0.85 %6
Expenses, prior to expense reimbursements/waivers9     0.85 %      0.85 %      4.53 %6
Net investment income     1.43 %      1.09 %      1.02 %6
Portfolio turnover rate     8 %      159 %      57 %8

EGShares India Consumer ETF (Consolidated)

       
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the Period
August 10, 20111
Through
March 31, 2012
Net asset value, beginning of period   $ 24.72     $ 22.10     $ 19.08     $ 20.00  
Investment operations:
                                   
Net investment income (loss)2     (0.12 )      0.11       (— )3     (— )3
Net realized and unrealized gain (loss) on investments and foreign currency translations     10.91       2.51       3.02 4     (0.92 )4
Total from investment operations     10.79       2.62       3.02       (0.92 ) 
Distributions to shareholders:
                                   
Net investment income     (0.03 )                   
Net asset value, end of period   $ 35.48     $ 24.72     $ 22.10     $ 19.08  
NET ASSET VALUE TOTAL RETURN5     43.64 %      11.86 %      15.83 %      (4.60 )% 
RATIOS/SUPPLEMENTAL DATA:
                                   
Net assets, end of period (000's omitted)   $ 88,710     $ 4,945     $ 6,631     $ 1,908  
Ratios to average net assets:
                                   
Expenses, net of expense reimbursements/waivers9     0.90 %10     0.89 %      0.89 %      0.89 %6
Expenses, prior to expense reimbursements/waivers9     0.90 %10     0.89 %      4.31 %      6.16 %6
Net investment income (loss)     (0.36 )%      0.50 %      (0.00 )%7     (0.04 )%6
Portfolio turnover rate     82 %      43 %      50 %      104 %8
 1 Commencement of operations.
 2 Based on average shares outstanding.
 3 Less than $(0.005)
 4 The realized and unrealized gain or loss on investments and foreign currency translation does not accord with the amounts reported in the Statement of Operations due to the timing of subscriptions or redemptions of Fund shares in relation to the investment performance during the period and contributions made by Authorized Participants to compensate the Fund for additional costs incurred in purchasing securities that were not transferred in kind (See Note 10).
 5 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period, and redemption at net asset value on the last day of the period. Total return calculated for a period of less than one year is not annualized. For periods prior to April 1, 2013, the total return would have been lower if certain expenses had not been reimbursed/waived by EGA.
 6 Annualized.
 7 Less than (0.005)%
 8 Not annualized.
 9 Effective April 1, 2013, EGA replaced the fee and expense structure with a Unified Fee. See Note 9 for additional information.
10 The ratio includes 0.01% for the year ended March 31, 2015 attributed to tax expense, which is outside the Unified Fee.

The accompanying notes are an integral part of these financial statements.

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Financial Highlights  (concluded)
EGA Emerging Global Shares Trust
 

For a share outstanding throughout each period

EGShares India Infrastructure ETF (Consolidated)

         
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the
Year Ended
March 31, 2012
  For the Period
August 11, 20101
Through
March 31, 2011
Net asset value, beginning of period   $ 11.35     $ 12.27     $ 14.99     $ 19.40     $ 20.00  
Investment operations:
                                            
Net investment income2     0.12       0.13       0.07       0.06       0.01  
Net realized and unrealized gain (loss) on investments and foreign currency translations     1.65 3     0.27 3     (2.60 )      (4.39 )      (0.61 ) 
Total from investment operations     1.77       0.40       (2.53 )      (4.33 )      (0.60 ) 
Distributions to shareholders:
                                            
Net investment income     (0.04 )      (1.32 )      (0.19 )      (0.08 )       
Net asset value, end of period   $ 13.08     $ 11.35     $ 12.27     $ 14.99     $ 19.40  
NET ASSET VALUE TOTAL RETURN4     15.59 %      4.04 %      (17.08 )%      (22.19 )%      (3.00 )% 
RATIOS/SUPPLEMENTAL DATA:
                                            
Net assets, end of period (000's omitted)   $ 47,736     $ 17,586     $ 51,513     $ 60,703     $ 85,377  
Ratios to average net assets:
                                            
Expenses, net of expense reimbursements/waivers9     0.88 %11     0.86 %10     0.85 %      0.85 %      0.85 %5
Expenses, prior to expense reimbursements/waivers9     0.88 %11     0.86 %10     1.61 %      1.69 %      2.24 %5
Net investment income     0.90 %      1.18 %      0.53 %      0.39 %      0.11 %5
Portfolio turnover rate     75 %      76 %      24 %      23 %      9 %7

EGShares India Small Cap ETF (Consolidated)

         
    For the
Year Ended
March 31, 2015
  For the
Year Ended
March 31, 2014
  For the
Year Ended
March 31, 2013
  For the
Year Ended
March 31, 2012
  For the Period
July 7, 20101
Through
March 31, 2011
Net asset value, beginning of period   $ 12.74     $ 12.45     $ 14.39     $ 19.29     $ 20.00  
Investment operations:
                                            
Net investment income (loss)2     0.05       0.26       0.10       0.14       (0.01 ) 
Net realized and unrealized gain (loss) on investments and foreign currency translations     4.77       0.253       (1.94 )      (4.88 )      (0.68 ) 
Total from investment operations     4.82       0.51       (1.84 )      (4.74 )      (0.69 ) 
Distributions to shareholders:
                                            
Net investment income     (0.08 )      (0.22 )      (0.10 )      (0.16 )      (0.02 ) 
Return of Capital                 (— )8            
Total distributions     (0.08 )      (0.22 )      (0.10 )      (0.16 )      (0.02 ) 
Net asset value, end of period   $ 17.48     $ 12.74     $ 12.45     $ 14.39     $ 19.29  
NET ASSET VALUE TOTAL RETURN4     37.86 %      4.29 %      (12.87 )%      (24.33 )%      (3.45 )% 
RATIOS/SUPPLEMENTAL DATA:
                                            
Net assets, end of period (000's omitted)   $ 28,850     $ 16,560     $ 21,163     $ 26,616     $ 34,729  
Ratios to average net assets:
                                            
Expenses, net of expense reimbursements/waivers9     0.92 %12     0.86 %10     0.85 %      0.85 %      0.90 %5,6
Expenses, prior to expense reimbursements/waivers9     0.92 %12     0.86 %10     2.09 %      2.26 %      3.12 %5
Net investment income (loss)     0.33 %      2.36 %      0.76 %      0.84 %      (0.06 )%5
Portfolio turnover rate     117 %      56 %      43 %      125 %      1 %7
 1 Commencement of operations.
 2 Based on average shares outstanding.
 3 The realized and unrealized gain or loss on investments and foreign currency translation does not accord with the amounts reported in the Statements of Operations due to the timing of subscriptions or redemptions of Fund shares in relation to the investment performance during the period and contributions made by Authorized Participants to compensate the Fund for additional costs incurred in purchasing securities that were not transferred in kind (See Note 10).
 4 Total return is calculated assuming an initial investment made at the net asset value at the beginning of the period, reinvestment of all dividends and distributions at net asset value during the period, and redemption at net asset value on the last day of the period. Total return calculated for a period of less than one year is not annualized. For periods prior to April 1, 2013, the total return would have been lower if certain expenses had not been reimbursed/waived by EGA.
 5 Annualized.
 6 The ratio includes 0.05% for the period ended March 31, 2011 attributed to interest expense, which was outside the expense cap in place at that time.
 7 Not annualized.
 8 Less than $(0.005)
 9 Effective April 1, 2013, EGA replaced the fee and expense structure with a Unified Fee. See Note 9 for additional information.
10 The ratio includes 0.01% for the period ended March 31, 2014 attributed to tax expense, which is outside the Unified Fee.
11 The ratio includes 0.03% for the period ended March 31, 2015 attributed to tax expense, which is outside the Unified Fee.
12 The ratio includes 0.07% for the period ended March 31, 2015 attributed to tax expense, which is outside the Unified Fee.

The accompanying notes are an integral part of these financial statements.

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Notes to Financial Statements 
March 31, 2015
 

1. ORGANIZATION

EGA Emerging Global Shares Trust (the “Trust”) is a Delaware statutory trust organized on September 12, 2008. The Trust is an open-end management investment company, registered under the Investment Company Act of 1940, as amended (the “1940 Act”). The Trust currently consists of sixteen separate non-diversified series, ten of which are active, and each of which tracks an underlying index (each, an “Underlying Index”). As of the date of this report, only the following exchange-traded funds (each an “ETF” or “Fund” and collectively the “ETFs” or “Funds”) are being publicly offered:

 
Funds   Commencement
of Operations
EGShares Beyond BRICs ETF (“Beyond BRICs ETF”)   August 15, 2012
EGShares Blue Chip ETF (“Blue Chip ETF”)   April 23, 2014
EGShares Brazil Infrastructure ETF (“Brazil Infrastructure ETF”)   February 24, 2010
EGShares EM Quality Dividend ETF (formerly EGShares Low Volatility Emerging Markets Dividend ETF) (“EM Quality Dividend ETF”)   August 4, 2011
EGShares Emerging Markets Consumer ETF (“Consumer ETF”)   September 14, 2010
EGShares Emerging Markets Core ETF (“Core ETF”)   October 16, 2012
EGShares Emerging Markets Domestic Demand ETF (“Domestic Demand ETF”)   August 15, 2012
EGShares India Consumer ETF (“India Consumer ETF”)   August 10, 2011
EGShares India Infrastructure ETF (“India Infrastructure ETF”)   August 11, 2010
EGShares India Small Cap ETF (“India Small Cap ETF”)   July 7, 2010

The Beyond BRICs ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the FTSE Beyond BRICs Index (the “Beyond BRICs Underlying Index”). The Beyond BRICs Underlying Index is designed to represent the performance of a diversified basket of 90 liquid companies in Emerging and Frontier markets ex Brazil, Russia, India, China (BRIC), Taiwan and Argentina as defined by FTSE’s Country Classification System. The index is market capitalization weighted, and has 75% exposure to emerging markets and 25% to frontier markets at rebalance.

The Blue Chip ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the EGAI Developed Markets Blue Chip EM Access Index (the “Blue Chip Underlying Index”). The Blue Chip Underlying Index is an equal-weighted equity index comprised of 30 well-established, widely recognized companies that are domiciled and publicly traded in developed market countries and have, as of the most recent constitution, a U.S. Dollar equivalent market capitalization of at least $2 billion (based on then-current exchange rates) and measurable revenue from developing market countries.

The Brazil Infrastructure ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the FTSE Brazil Infrastructure Extended Index (the “BRXX Underlying Index”). The BRXX Underlying Index is a free-float capitalization weighted stock market index designed to represent the performance of the 30 largest Brazilian companies ranked by full market capitalization that FTSE determines to be representative of Brazil’s infrastructure industries.

The EM Quality Dividend ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the EGAI Emerging Markets Quality Dividend Index (the “HILO Underlying Index”). Effective as of January 26, 2015, the Fund began tracking the new HILO Underlying Index instead of the former FTSE Emerging All Cap ex Taiwan Low Volatility Dividend Index. The HILO Underlying Index is designed to represent a portfolio of approximately 50 companies in developing markets that each have a higher dividend yield than the average dividend yield in the EGAI Developing Markets Universe.

The Consumer ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Dow Jones Emerging Markets Consumer Titans 30 IndexSM (the “Consumer Titans Underlying Index”). The Consumer Titans Underlying Index is a float-adjusted market capitalization index designed to measure the stock performance of 30 leading emerging market companies in the Consumer Goods and Consumer Services Industries, as defined by S&P Dow Jones Indices’ proprietary industry classification system.

The Core ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the S&P Emerging Markets Core Index (the “Core Underlying Index”). The Core Underlying Index is designed to measure the market performance of up to 116 companies that S&P Dow Jones Indices determines to be representative of all industries domiciled in emerging market countries, subject to a 15% country cap.

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Notes to Financial Statements  (continued)
March 31, 2015
 

The Domestic Demand ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the S&P Emerging Markets Domestic Demand Index (the “EMDD Underlying Index”). The EMDD Underlying Index is designed to measure the performance of companies in emerging markets that derive a significant portion of their revenues from sectors that are less reliant on exports and therefore driven by domestic demand, specifically those companies in the consumer staples, consumer discretionary, telecommunications services, healthcare and utilities industries.

The India Consumer ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Consumer Index (the “India Consumer Underlying Index”). The India Consumer Underlying Index is a maximum 30-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the consumer industry, as defined by Indxx’s proprietary methodology, in India.

The India Infrastructure ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Infrastructure Index (the “India Infrastructure Underlying Index”). The India Infrastructure Underlying Index is a maximum 30-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the infrastructure industry, as defined by Indxx’s proprietary methodology, in India.

The India Small Cap ETF’s investment objective is to seek investment results that correspond (before fees and expenses) to the price and yield performance of the Indxx India Small Cap Index (the “India Small Cap Underlying Index”). The India Small Cap Underlying Index is a maximum 75-stock free-float adjusted market capitalization weighted index designed to measure the market performance of companies in the small cap segment in India.

The classifications and presentations within the Schedule of Investments are consistent with other Funds in the Fund family and may not depict the same classifications and presentations in certain marketing materials.

2. CONSOLIDATION OF SUBSIDIARIES

The Consolidated Schedules of Investments; Consolidated Statements of Assets and Liabilities, of Operations and of Changes in Net Assets; and the Consolidated Financial Highlights of the ETFs listed below include the accounts of wholly owned subsidiaries. All inter-company accounts and transactions have been eliminated in consolidation.

 
Funds   Wholly Owned Subsidiary
Consumer ETF   EG Shares Consumer Mauritius
Core ETF   EG Shares Core Mauritius
Domestic Demand ETF   EG Shares Domestic Demand Mauritius
EM Quality Dividend ETF   EG Shares High Income/Low Beta Mauritius
India Consumer ETF   EG Shares India Consumer Mauritius
India Infrastructure ETF   EG Shares India Infrastructure Mauritius
India Small Cap ETF   EG Shares India Small Cap Mauritius

The Consumer ETF, Core ETF, Domestic Demand ETF and EM Quality Dividend ETF may each invest its assets in a wholly owned subsidiary in Mauritius, which in turn invests virtually all of its assets in Indian securities, based on the number of Indian securities that are included in each ETF’s respective Underlying Index.

The India Consumer ETF, India Infrastructure ETF and India Small Cap ETF invest substantially all of their assets in wholly owned subsidiaries in Mauritius, which in turn invest virtually all of their assets in Indian securities, based on the number of Indian securities that are included in each ETF’s respective Underlying Index.

By investing in a wholly owned subsidiary, the Funds listed in the table above each obtain benefits under the tax treaty between Mauritius and India. Each subsidiary may be subject to withholding taxes imposed by the Indian government on dividends, interest and realized capital gains should new legislation be passed to modify the current tax treaty with Mauritius. Any change in the provisions of this treaty could result in the imposition of withholding and other taxes on these ETFs by authorities in India. This would reduce the return on investment and the return received by each ETF’s shareholders.

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Notes to Financial Statements  (continued)
March 31, 2015
 

A summary of each ETF’s investment in its corresponding subsidiary is as follows:

     
Funds   Inception Date
of Subsidiary
  Subsidiary
Net Assets at
March 31, 2015
  % of ETF’s Total
Net Assets at
March 31, 2015
Consumer ETF     September 14, 2010     $ 76,302,347       6.7 % 
Core ETF     October 16, 2012       629,592       12.4  
Domestic Demand ETF     August 15, 2012       3,429,724       9.6  
EM Quality Dividend ETF     August 4, 2011       941,722       3.8  
India Consumer ETF     August 10, 2011       88,486,155       99.7  
India Infrastructure ETF     August 11, 2010       47,732,175       100.0  
India Small Cap ETF     July 7, 2010       28,869,900       100.1  

3. SIGNIFICANT ACCOUNTING POLICIES

These financial statements are prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”), which requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities, the disclosure of contingent assets and liabilities at the date of the financial statements, and the reported amounts of increases and decreases in net assets from operations during the reporting period. Actual amounts could differ from these estimates. The following summarizes the significant accounting policies of the ETFs.

Indemnifications

In the normal course of business, the Trust enters into contracts on behalf of its series that contain a variety of representations that provide general indemnifications. The Trust’s series’ maximum exposure under these arrangements cannot be known as this would involve future claims that may be made against a series of the Trust that have not yet occurred; however, the Trust expects any risk of loss by a series to be remote. The assets of a series may not be used to satisfy the liabilities of any other series.

Investment Valuation

The Net Asset Value (“NAV”) per share is computed as of the scheduled close of regular trading on the New York Stock Exchange (“NYSE”), ordinarily 4:00 p.m. Eastern time, on each day during which the NYSE is open for trading. The NAV per share of an ETF is computed by dividing the value of the ETF’s portfolio securities, cash and other assets (including accrued interest), less all liabilities (including accrued expenses) by the total number of shares outstanding at the time such computation is made.

Securities Valuation

Foreign equity securities are valued at the last reported sale price on the principal exchange on which such securities are traded. U.S. listed equity securities and listed ADRs and GDRs are valued at the last reported sale price on the principal exchange on which such securities are traded, as of the close of regular trading on the NYSE on the day the securities are being valued or, if there are no sales, at the mean of the most recent bid and asked prices. U.S. equity securities that are traded in over-the-counter markets are valued at the NASDAQ Official Closing Price as of the close of regular trading on the NYSE on the day the securities are valued or, if there are no sales, at the mean of the most recent bid and asked prices. Securities for which market quotations are not readily available, including restricted securities, are valued by a method that the Board of Trustees (the “Board”) believes accurately reflects fair value. The value of assets denominated in foreign currencies is converted into U.S. dollars using exchange rates deemed appropriate by management of the ETFs. Use of a rate different from the rate used by the index provider may adversely affect an ETF’s ability to track its Underlying Index.

Foreign Currency Translations

Investments denominated in foreign currencies are subject to additional risk factors as compared to investments denominated in U.S. dollars. The value of an investment denominated in a foreign currency could change significantly as foreign currencies strengthen or weaken relative to the U.S. dollar. Generally, when the U.S. dollar gains in value against a foreign currency, an investment traded in that foreign currency loses value because that currency is worth fewer U.S. dollars. Risks related to foreign currencies also include those related to economic or political developments, market inefficiencies or a higher risk that essential investment information may be incomplete, unavailable or inaccurate. A U.S. dollar investment in depositary receipts or ordinary shares of foreign issuers traded on U.S. exchanges is indirectly subject to foreign currency risk to the extent that the issuer conducts its principal business in markets where transactions are denominated in foreign currencies.

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Notes to Financial Statements  (continued)
March 31, 2015
 

Portfolio securities and other assets and liabilities denominated in foreign currencies are translated into U.S. dollars based on the exchange rate of such currencies against U.S. dollars on the date of valuation. Purchases and sales of securities and income items denominated in foreign currencies are translated into U.S. dollars at the exchange rate in effect on the transaction date.

The ETFs do not separately report the effect of changes in foreign exchange rates from changes in market prices on securities held. Such changes are included in net realized and unrealized gains or losses from investments.

Realized foreign exchange gains or losses arise from sales of foreign currencies; currency gains or losses realized between the trade and settlement dates on securities transactions; and the difference between the recorded amounts of dividends, interest, and foreign withholding taxes, and the U.S. dollar equivalent of the amounts actually received or paid. Net unrealized foreign exchange gains and losses arise from changes in foreign exchange rates on foreign denominated assets and liabilities other than investments in securities held at the end of the reporting period.

Security Transactions and Related Income

Investment transactions are recorded on trade date. The ETFs determine the gain or loss realized from the investment transactions by comparing the identified cost, which is the same basis used for federal income tax purposes, with the net sales proceeds. Dividend income is recorded on the ex-dividend date. Interest income is recorded on the accrual basis, including the accretion of discounts and amortization of premiums.

Federal Income Taxes

The Beyond BRICs ETF, Brazil Infrastructure ETF, EM Quality Dividend ETF, Consumer ETF, Core ETF, Domestic Demand ETF, India Consumer ETF, India Infrastructure ETF and India Small Cap ETF have qualified and continue to qualify, and the Blue Chip ETF intends to qualify, as a “regulated investment company” under Subchapter M of the Internal Revenue Code of 1986, as amended. If so qualified, an ETF will not be subject to federal income tax to the extent it distributes substantially all of its net investment income and capital gains to shareholders. Each ETF expects to declare and pay all of its net investment income, if any, to shareholders as dividends annually (quarterly for EM Quality Dividend ETF), and will also declare and pay net realized capital gains, if any, at least annually, except where the costs of such distributions exceed the amount of tax that the distributions are intended to avoid, in which case the ETF will pay the applicable tax. An ETF may distribute such investment income and capital gains more frequently, if necessary, in order to reduce or eliminate federal excise or income taxes on the ETF. Distributions to shareholders are recorded on the ex-dividend date.

The ETFs are subject to accounting standards that provide guidance for how uncertain tax positions should be recognized, measured, presented and disclosed in the financial statements. These standards require the evaluation of tax positions taken or expected to be taken by the ETFs and whether the tax positions are “more-likely-than-not” of being sustained by the applicable tax authority. Tax positions not deemed to meet the “more-likely-than-not” threshold would be recorded as a tax benefit or expense in the current year. Accounting for uncertainty in income taxes requires management of the ETFs to analyze all open tax years as defined by IRS statute of limitations, for all major jurisdictions, including federal tax authorities and certain state tax authorities. Open tax years are those years that are open for examination by the relevant income taxing authority. As of March 31, 2015, open federal and state income tax years include the tax years or periods ended March 31, 2012, March 31, 2013, March 31, 2014 and March 31, 2015. The ETFs have no examinations in progress.

There is no tax liability resulting from uncertain income tax positions taken or expected to be taken. The ETFs are also not aware of any tax positions for which it is reasonably possible that the total amounts of unrecognized tax expense will significantly change in the next twelve months.

Expenses

Expenses of the Trust, which are directly identifiable to a specific ETF, are applied to that ETF. Please refer to Note 9 for further discussion on fund expenses and the Unified Fee.

4. INVESTMENT RISKS

The ETFs are subject to emerging markets risk. Investments in emerging market securities are subject to even greater risks than for foreign investments generally, including increased risks of: illiquidity of securities; price volatility; inflation or deflation; restrictions on foreign investment; nationalization; higher taxation; economic and political instability; pervasive corruption and crime; less governmental regulation; and less developed legal systems. These risks may be greater for investments in frontier markets.

Each ETF concentrates its investments in a particular industry or a group of industries to approximately the same extent as its respective underlying index, and as such, may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries.

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Notes to Financial Statements  (continued)
March 31, 2015
 

Because the Brazil Infrastructure ETF invests predominantly in Brazilian securities, its NAV will be much more sensitive to changes in economic, political and other factors within Brazil than would a fund that invested in a greater variety of countries. The Brazilian economy has experienced in the past, and may continue to experience, periods of high inflation rates and political unrest. While the Brazilian economy has experienced growth in recent years, there is no guarantee that this growth will continue.

Because the Brazil Infrastructure ETF and India Infrastructure ETF concentrate their investments in the infrastructure sectors of Brazil and India, respectively, these ETFs may be adversely affected by increased price volatility of securities in that sector, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting that sector.

Because the Consumer ETF and India Consumer ETF concentrate their investments in the consumer goods and consumer services industries (specifically the consumer goods and consumer services industries of India for the India Consumer ETF), these ETFs may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries. The success of consumer goods and consumer services suppliers and retailers is tied closely to the performance of the domestic and international economy, interest rates, currency exchange rates, competition, preferences, and consumer confidence.

Because the Domestic Demand ETF concentrates its investments in the consumer staples, consumer discretionary, telecommunications services, healthcare and/or utilities industries, the ETF may be adversely affected by increased price volatility of securities in those industries, and may be more susceptible to adverse economic, market, political or regulatory occurrences affecting those industries.

Because the India Consumer ETF, India Infrastructure ETF and India Small Cap ETF invest predominantly in Indian securities, their NAVs will be much more sensitive to changes in economic, political and other factors within India than would a fund that invested in a greater variety of countries. Special risks include, among others, political and legal uncertainty, persistent religious, ethnic and border disputes, greater government control over the economy, currency fluctuations or blockage and the risk of nationalization or expropriation of assets.

The India Small Cap ETF primarily invests in small capitalization companies. Small cap companies may have greater volatility in price than the stocks of large cap companies due to limited product lines or resources or a dependency upon a particular market niche.

5. DISTRIBUTION AGREEMENT

ALPS Distributors, Inc., (the “Distributor”) serves as the distributor of creation units (see Note 9) for the ETFs pursuant to a distribution agreement. The Distributor does not maintain a secondary market in shares. The ETFs have adopted a Distribution and Service Plan (the “Plan”) pursuant to Rule 12b-1 under the 1940 Act. In accordance with the Plan, each ETF is authorized to pay an amount up to 0.25% of its average daily net assets each year for certain distribution-related activities. For the year ended March 31, 2015, no fees were paid by the ETFs under the Plan, and there are no current plans to impose these fees.

6. FEDERAL INCOME TAX MATTERS

For the period or year ended March 31, 2015, federal tax cost of investments and net unrealized appreciation (depreciation) were as follows:

       
Funds   Federal
Tax Cost of
Investments
  Gross
Unrealized
Appreciation
  Gross
Unrealized
Depreciation
  Net Unrealized
Appreciation
(Depreciation)
Beyond BRICs ETF   $ 327,571,744     $ 11,963,561     $ (42,002,827 )    $ (30,039,266 ) 
Blue Chip ETF     7,940,342       590,197       (932,165 )      (341,968 ) 
Brazil Infrastructure ETF     20,143,263       389,736       (8,046,596 )      (7,656,860 ) 
EM Quality Dividend ETF     25,479,910       707,143       (1,232,632 )      (525,489 ) 
Consumer ETF     1,146,232,044       172,376,289       (175,408,248 )         (3,031,959 ) 
Core ETF     5,154,354       639,204       (746,762 )      (107,558 ) 
Domestic Demand ETF     33,915,696       4,072,859       (2,340,736 )      1,732,123  
India Consumer ETF     84,534,775       7,443,805       (3,497,641 )      3,946,164  
India Infrastructure ETF     50,833,268       7,376,390       (10,802,294 )      (3,425,904 ) 
India Small Cap ETF     30,433,678       1,440,930       (3,071,818 )      (1,630,888 ) 

 
 

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TABLE OF CONTENTS

Notes to Financial Statements  (continued)
March 31, 2015
 

For the period or year ended March 31, 2015, the components of accumulated earnings (losses) on a tax-basis were as follows:

       
Funds   Undistributed
Ordinary Income
  Accumulated
Capital and
Other Losses
  Net Unrealized
Appreciation
(Depreciation)
  Total
Accumulated
Earnings (Losses)
Beyond BRICs ETF   $  3,133,397     $ (2,034,014 )    $  (30,037,331 )    $  (28,937,948 ) 
Blue Chip ETF     14,130       (110,086 )      (342,434 )      (438,390 ) 
Brazil Infrastructure ETF     77,287       (28,464,152 )      (7,670,080 )      (36,056,945 ) 
EM Quality Dividend ETF     134,610       (25,977,968 )      (525,576 )      (26,368,934 ) 
Consumer ETF     92,937       (21,829,771 )      (3,031,074 )      (24,767,908 ) 
Core ETF     6,804       251       (107,533 )      (100,478 ) 
Domestic Demand ETF     65,753       (137,303 )      1,732,770       1,661,220  
India Consumer ETF           (949,866 )      3,946,178       2,996,312  
India Infrastructure ETF     205,528       (47,444,400 )      (3,426,246 )      (50,665,118 ) 
India Small Cap ETF     66,949       (9,481,487 )      (1,630,864 )      (11,045,402 ) 

The differences between book basis and tax basis components of net assets are primarily attributable to tax deferral of losses on wash sales, mark to market on Passive Foreign Investment Companies (“PFIC”) securities and deferral of post-October and December losses.

For the period or year ended March 31, 2015, the effect of permanent book/tax reclassifications resulted in increases (decreases) to the components of net assets as follows:

     
Funds   Accumulated
Undistributed
Net Investment
Income (Loss)
  Accumulated
Net Realized
Gain (Loss)
on Investments
  Paid-in Capital
Beyond BRICs ETF   $ (640,077 )    $ (576,745 )    $ 1,216,822  
Blue Chip ETF     (9,039 )      9,039        
Brazil Infrastructure ETF     (88,636 )      88,636        
EM Quality Dividend ETF     (234,513 )      640,722       (406,209 ) 
Consumer ETF     1,171,587       (16,586,498 )      15,414,911  
Core ETF     (1,068 )      1,068        
Domestic Demand ETF     (4,130 )      (431,501 )      435,631  
India Consumer ETF     (72,411 )      92,807       (20,396 ) 
India Infrastructure ETF     (129,467 )      129,467        
India Small Cap ETF     43,657       (43,657 )       

For financial reporting purposes, capital accounts are adjusted to reflect the tax character of permanent book/tax differences. Reclassifications are primarily due to tax treatment of redemptions in kind, PFIC sales adjustments, non-deductible offering costs, return of capital distributions and tax treatment of currency gains and losses. Results of operations and net assets were not affected by these reclassifications.

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Notes to Financial Statements  (continued)
March 31, 2015
 

Certain net losses incurred after October 31 and December 31, and within the taxable year or period are deemed to arise on the first business day of the ETFs’ next taxable year. For the period or year ended March 31, 2015, the ETFs deferred to April 1, 2015 these losses of:

   
Funds   Late Year
Ordinary Losses
  Post October
Capital Losses
Beyond BRICs ETF   $     $  2,034,014  
Blue Chip ETF            
Brazil Infrastructure ETF           2,459,477  
EM Quality Dividend ETF           3,462,675  
Consumer ETF           964,177  
Core ETF            
Domestic Demand ETF           2,115  
India Consumer ETF     169,858       175,867  
India Infrastructure ETF           219,442  
India Small Cap ETF            

At March 31, 2015, for federal income tax purposes, the following ETFs had capital loss carryforwards available to offset future capital gains:

       
  Carryforwards with No Expiration*   Carryforwards Expiring In
Funds   Short-Term
Capital Loss
Carryforward
  Long-Term
Capital Loss
Carryforward
  Fiscal Year 2018   Fiscal Year 2019
Beyond BRICs ETF   $     $     $   —     $   —  
Blue Chip ETF     110,086                    
Brazil Infrastructure ETF     8,143,770       17,860,905              
EM Quality Dividend ETF     16,819,429       5,526,604              
Consumer ETF           20,865,594              
Core ETF                        
Domestic Demand ETF     122,015       13,173              
India Consumer ETF     584,684       19,457              
India Infrastructure ETF     14,011,888       33,213,070              
India Small Cap ETF     1,254,248       8,227,239              
* Capital loss carryforwards for tax years beginning after December 22, 2010 do not expire and are carried forward in character. Amounts are subject to IRC Section 382-384 limitation in subsequent years.

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Notes to Financial Statements  (continued)
March 31, 2015
 

The tax character of distributions paid during the period or year ended March 31, 2015 and March 31, 2014 were as follows:

           
  Period ended March 31, 2015   Period ended March 31, 2014
Funds   Distribution
Paid from
Ordinary
Income
  Distribution
Paid from
Long Term
Capital Gains
  Distribution
Paid from
Return of
Capital
  Distribution
Paid from
Ordinary
Income
  Distribution
Paid from
Long Term
Capital Gains
  Distribution
Paid from
Return of
Capital
Beyond BRICs ETF   $ 3,884,738     $   —     $   —     $ 198,374     $   —     $  
Blue Chip ETF     74,832                                
Brazil Infrastructure ETF     1,252,757                   1,708,565              
EM Quality Dividend ETF     1,527,013                   3,286,653             174,637  
Consumer ETF     13,864,995                   9,529,880              
Core ETF     83,068                   70,906              
Domestic Demand ETF     359,762                   44,840              
India Consumer ETF     20,840                                
India Infrastructure ETF     128,789                   2,053,052              
India Small Cap ETF     133,287                   387,083              

7. FAIR VALUE MEASUREMENT

Financial Accounting Standards Board’s Accounting Standards Codification, Section 820-10, Fair Value Measurements and Disclosures defines fair value, establishes a framework for measuring fair value in accordance with GAAP, and expands disclosure about fair value measurements. It also provides guidance on determining when there has been a significant decrease in the volume and level of activity for an asset or liability, when a transaction is not orderly, and how that information must be incorporated into a fair value measurement. Under Fair Value Measurements and Disclosures, various inputs are used in determining the value of the ETFs’ investments. These inputs are summarized in three broad levels as follows:

Level 1 — Unadjusted quoted prices in active markets for identical assets or liabilities.

Level 2 — Observable inputs other than quoted prices included in Level 1 that are observable for the asset or liability, either directly or indirectly. These inputs may include quoted prices for the identical instrument in an inactive market, prices for similar securities, interest rates, prepayment speeds, credit risk, yield curves, default rates and similar data.

Level 3 — Unobservable inputs for the asset or liability, to the extent relevant observable inputs are not available representing the ETFs’ own assumptions about the assumptions a market participant would use in valuing the asset or liability, and would be based on the best information available.

The availability of observable inputs can vary from security to security and is affected by a wide variety of factors, including, for example, the type of security, whether the security is new and not yet established in the marketplace, the liquidity of markets, and other characteristics particular to the security. To the extent that valuation is based on models or inputs that are less observable or unobservable in the market, the determination of fair value requires more judgment. Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3.

The ETFs have adopted the Accounting Standard Update, Fair Value Measurements and Disclosures (Topic 820): Improving Disclosures about Fair Value Measurements which provides guidance on how investment assets and liabilities are to be valued and disclosed. Specifically, the amendment requires reporting entities to disclose: i) the input and valuation techniques used to measure fair value for both recurring and nonrecurring fair value measurements for Level 2 or Level 3 positions; ii) transfers between all levels (including Level 1 and Level 2) are required to be disclosed on a gross basis (i.e. transfers out must be disclosed separately from transfers in) as well as the reason(s) for the transfer; and iii) purchases, sales, issuances and settlements must be shown on a gross basis in the Level 3 roll forward rather than as one net number.

The inputs and methodology used for valuing the securities are not necessarily an indication of the risk associated with investing in those securities.

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Notes to Financial Statements  (continued)
March 31, 2015
 

The following summarizes inputs used as of March 31, 2015 in valuing the ETFs’ assets and liabilities carried at fair value:

       
  Assets
Funds   Level 1
Common Stocks
  Level 2
Rights
  Level 3
Common Stocks
  Total
Beyond BRICs ETF*   $ 297,532,478     $     $     $ 297,532,478  
Blue Chip ETF*     7,598,374                   7,598,374  
Brazil Infrastructure ETF**     12,486,403                   12,486,403  
EM Quality Dividend ETF*     24,954,421                   24,954,421  
Consumer ETF*     1,143,200,085                   1,143,200,085  
Core ETF*     5,046,796                   5,046,796  
Domestic Demand ETF*     35,647,819                   35,647,819  
India Consumer ETF**     88,480,939                   88,480,939  
India Infrastructure ETF**     47,399,719       7,645             47,407,364  
India Small Cap ETF**     28,788,892       4,592       9,306       28,802,790  
 * Please refer to the schedule/consolidated schedule of investments to view securities segregated by country.
** Please refer to the schedule/consolidated schedule of investments to view securities segregated by industry type.

Reconciliation of the investments in which significant unobservable inputs (Level 3) were used in determining the fair value during the year ended March 31, 2015:

 
  India Small Cap ETF
     Common Stocks Basic Materials
Balance as of March 31, 2014   $   9,752  
Realized gain (loss)1      
Change in unrealized appreciation (depreciation)2     (446 ) 
Purchases      
Sales      
Transfers into Level 33      
Transfers out of Level 34      
Balance as of March 31, 2015   $ 9,306  
Net change in unrealized appreciation (depreciation) from investments still held as of March 31, 2015 is:   $ (446 ) 
1 This amount is included in net realized gain (loss) from investment transactions in the Statement of Operations.
2 This amount is included in the net change in unrealized appreciation (depreciation) from investment transactions in the Statement of Operations. Change in unrealized appreciation (depreciation) includes net unrealized appreciation (depreciation) resulting from changes in investment values during the period and the reversal of previously recorded unrealized appreciation (depreciation) when gains or losses are realized.
3 Transfers into Level 3 are as a result of the unavailability of a quoted price in an active market for identical investment or the unavailability of other significant observable inputs.
4 Transfers out of Level 3 are as a result of the availability of a quoted price in an active market for an identical investment or the availability of other significant observable inputs.

To estimate fair value, the Trust’s Valuation Committee (the “Committee”) followed procedures established by the Board. The significant inputs for the valuation methodology for the India Small Cap ETF, after consideration of quantitative and fundamental factors, were duration of fair valuation event and an illiquidity discount.

Each Fund values its investments at fair value pursuant to procedures adopted by the Board if (1) market quotations are insufficient or not readily available or (2) Emerging Global Advisors, LLC (“EGA”) believes that the values available are unreliable. The Committee performs certain functions as they relate to the administration and oversight of the Funds’ valuation procedures. Under these procedures, the Committee convenes on a regular and ad-hoc basis to review such securities and considers a number of factors, including valuation methodologies and significant unobservable inputs, when arriving at fair value.

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Notes to Financial Statements  (continued)
March 31, 2015
 

In determining fair valuations, inputs may include duration of fair valuation event, comparable benchmark performance, and an illiquidity discount. Discounts may be applied based on the nature or duration of any restrictions on the disposition of the investments. The Committee performs regular reviews of securities that are fair valued for more than five days.

Due to the inherent uncertainty of valuations, fair values may differ significantly from the values that would have been used had an active market existed. Fair valuation could result in a different NAV than a NAV determined by using market quotes.

The following is a summary of the significant unobservable inputs used as of March 31, 2015 in valuing Level 3 securities:

       
India Small Cap ETF   Fair Value   Valuation Technique   Unobservable Input   Value of
Unobservable Inputs
Investments in Securities
                   
Common Stocks
                   
Basic Materials   $ 9,306   Adjustment to market based on duration of fair value event and illiquidity discount   Illiquidity Discount   88.4%

Significant changes in any of the unobservable inputs may significantly impact the fair value measurement. A significant increase (decrease) in the comparable benchmark may result in a corresponding increase (decrease) in fair value. A significant increase (decrease) in the illiquidity discount may result in a corresponding decrease (increase) in fair value.

8. INVESTMENT TRANSACTIONS

The table below displays each ETF’s investment transactions during the period or year ended March 31, 2015. The Purchases column represents the aggregate purchases of investments excluding cost of in-kind purchases and short-term investments. The Sales column represents the aggregate sales of investments excluding proceeds from in-kind sales and short-term investments. Purchases In-Kind are the aggregate of all in-kind purchases and Sales In-Kind are the aggregate of all proceeds from in-kind sales. The transactions for each of these categories are as follows:

       
Funds   Purchases   Sales   Purchases In-Kind   Sales In-Kind
Beyond BRICs ETF   $  205,098,505     $ 83,426,029     $  170,786,485     $ 12,452,881  
Blue Chip ETF     5,591,224       5,567,817       8,027,021        
Brazil Infrastructure ETF     20,776,017       33,008,215              
EM Quality Dividend ETF     71,340,710       81,531,592             17,617,180  
Consumer ETF     148,072,668       165,091,655       40,818,442       103,050,476  
Core ETF     1,062,098       874,664       833,758        
Domestic Demand ETF     6,497,439       2,268,590       9,940,599       2,759,358  
India Consumer ETF     100,121,737       19,454,258              
India Infrastructure ETF     65,314,651       34,209,963              
India Small Cap ETF     38,112,712       31,960,919              

9. INVESTMENT ADVISORY AND OTHER AGREEMENTS

Effective April 1, 2013, EGA replaced the current fee and expense structure with a unified fee (“Unified Fee”) for all of the series of the Trust. Under the Unified Fee, EGA took on the contractual obligation to pay all ordinary operating expenses of the ETFs without any increase in EGA’s advisory fee. The ETFs were previously obligated to pay these expenses through March 31, 2013, although EGA had entered into annual voluntary expense waiver and reimbursement agreements that capped an ETF’s ordinary operating expenses at the same rate as EGA’s advisory fee. Under the Unified Fee, EGA pays all of the expenses of each series of the Trust, except for the fee payment under the investment advisory agreements between EGA and the Trust, payments under each series’ 12b-1 plan (if ever implemented), brokerage expenses, taxes, interest, litigation expenses and other non-routine or extraordinary expenses.

Effective July 1, 2013, the advisory fee for Consumer ETF changed from 0.85% of the average daily net assets to the following tiered structure: 0.85% of average daily net assets up to $1 billion; 0.75% of average daily net assets between $1 billion and $2 billion; 0.70% of average daily next assets over and above $2 billion.

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Notes to Financial Statements  (concluded)
March 31, 2015
 

Effective October 1, 2013, the Trust and EGA, advisor to the Beyond BRICs ETF, have entered into a written fee waiver agreement (“Fee Waiver Agreement”) pursuant to which EGA has agreed to waive its advisory fee to 0.58% of the Beyond BRICs ETF Fund’s average daily net assets. The Fee Waiver Agreement will remain in effect and will be contractually binding for two years. The Fee Waiver Agreement may be terminated at any time by the Board of Trustees of the Trust, but may not be terminated by EGA during the term of the Fee Waiver Agreement. The Fee Waiver Agreement shall automatically terminate upon the termination of the Advisory Agreement or, with respect to the Fund, in the event of merger or liquidation of the Fund.

The advisory fee for the remaining ETFs in the Trust is 0.85% of the Funds’ average daily net assets, with the exception of Core ETF (0.70%), the India Consumer ETF (0.89%) and the Blue Chip ETF (0.60%).

The Bank of New York Mellon serves as the ETFs’ Administrator, Custodian, Fund Accountant and Transfer Agent pursuant to a Fund Administration and Accounting Agreement, a Custody Agreement and a Transfer Agency and Service Agreement, as the case may be.

Since 2009, ALPS Fund Services, Inc. (“AFS”), an affiliate of the Distributor, provided a Chief Compliance Officer “CCO” and an Anti-Money Laundering Officer “AML Officer” as well as certain additional compliance support functions under a Compliance Services Agreement. AFS has also provided a Principal Financial Officer to the Trust under a PFO Services Agreement. Effective March 1, 2013, the Board appointed an officer of EGA to serve as Principal Financial Officer to the Trust. Effective September 1, 2014, AFS is no longer providing Compliance or Anti-Money Laundering services to the Trust. An employee of EGA now serves as CCO and AML Officer for the Trust.

10. CREATION AND REDEMPTION TRANSACTIONS

The ETFs issue and redeem shares on a continuous basis at NAV in blocks of 50,000 shares called “Creation Units.” Except when aggregated in Creation Units, shares are not redeemable securities of an ETF.

Only “Authorized Participants” may purchase or redeem shares directly from an ETF. An Authorized Participant is either (i) a broker-dealer or other participant in the clearing process through the Continuous Net Settlement System of the National Securities Clearing Corporation or (ii) a DTC participant and, in each case, must have executed a Participant Agreement with the Distributor. Most retail investors will not qualify as Authorized Participants or do not have the resources to buy and sell whole Creation Units. Therefore, they will be unable to purchase or redeem the shares directly from the ETFs. Rather, most retail investors will purchase shares in the secondary market with the assistance of a broker and will be subject to customary brokerage commissions or fees.

Except as discussed below, the consideration for the purchase of Creation Units of an ETF generally consists of the in-kind deposit of a designated portfolio of equity securities, which constitutes a representation of the corresponding Underlying Index and an amount of cash. The consideration for the purchase of Creation Units of the Brazil Infrastructure ETF, India Consumer ETF, India Infrastructure ETF and India Small Cap ETF consists solely of cash in U.S. dollars. Investors transacting in Creation Units for cash pay an additional variable charge to compensate the relevant ETF for brokerage and market impact expenses relating to investing in portfolio securities. This charge is either debited or credited to Paid-in Capital.

11. SUBSEQUENT EVENTS

The Funds have evaluated subsequent events through the date of issuance of this report, and have determined that there are no material events that impacted the Fund’s financial statements.

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Report of Independent Registered Public Accounting Firm
 

To the Board of Trustees and
Shareholders of EGA Emerging Global Shares Trust

We have audited the accompanying statements of assets and liabilities of EGShares Beyond BRICs ETF, EGShares Blue Chip ETF and EGShares Brazil Infrastructure ETF, each a series of EGA Emerging Global Shares Trust (the “Funds”), including the schedules of investments, as of March 31, 2015, and the related statements of operations for the year or period then ended, and the statements of changes in net assets and financial highlights for each of the respective years or periods presented. We have also audited the accompanying consolidated statements of assets and liabilities of EGShares EM Quality Dividend ETF, EGShares Emerging Markets Consumer ETF, EGShares Emerging Markets Core ETF, EGShares Emerging Markets Domestic Demand ETF, EGShares India Consumer ETF, EGShares India Infrastructure ETF and EGShares India Small Cap ETF, each a series of EGA Emerging Global Shares Trust (the “Funds”), including the consolidated schedules of investments, as of March 31, 2015, and the related consolidated statements of operations for the year then ended and the consolidated statements of changes in net assets and the consolidated financial highlights for each of the respective years or periods presented. These financial statements and financial highlights are the responsibility of the Funds’ management. Our responsibility is to express an opinion on these financial statements and financial highlights based on our audits.

We conducted our audits in accordance with the standards of the Public Company Accounting Oversight Board (United States). Those standards require that we plan and perform the audits to obtain reasonable assurance about whether the financial statements and financial highlights are free of material misstatement. An audit includes examining, on a test basis, evidence supporting the amounts and disclosures in the financial statements. Our procedures included confirmation of securities owned as of March 31, 2015 by correspondence with the custodian and brokers. An audit also includes assessing the accounting principles used and significant estimates made by management, as well as evaluating the overall financial statement presentation. We believe that our audits provide a reasonable basis for our opinion.

In our opinion, the financial statements and financial highlights referred to above present fairly, in all material respects, the financial position of EGShares Beyond BRICs ETF, EGShares Blue Chip ETF, EGShares Brazil Infrastructure ETF, EGShares EM Quality Dividend ETF, EGShares Emerging Markets Consumer ETF, EGShares Emerging Markets Core ETF, EGShares Emerging Markets Domestic Demand ETF, EGShares India Consumer ETF, EGShares India Infrastructure ETF and EGShares India Small Cap ETF as of March 31, 2015, the results of their operations for the year or period then ended, and the changes in their net assets and their financial highlights for each of the years or periods presented, in conformity with accounting principles generally accepted in the United States of America.

[GRAPHIC MISSING] 

BBD, LLP

Philadelphia, Pennsylvania
May 27, 2015

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Federal Income Tax Information (Unaudited)
 

Federal Tax Status of Dividends Declared during the Tax Year

For Federal income tax purposes, dividends from short-term capital gains are classified as ordinary income. The percentage of ordinary income distribution designated as qualifying for the corporate dividend received deduction (“DRD”), and the individual qualified dividend rate (“QDI”) is presented below.

   
Funds   DRD   QDI
Beyond BRICs ETF     0.00 %      47.37 % 
Blue Chip ETF     0.00 %      100.00 % 
Brazil Infrastructure ETF     0.00 %      38.34 % 
EM Quality Dividend ETF     0.00 %      83.84 % 
Consumer ETF     0.00 %      100.00 % 
Core ETF     0.00 %      100.00 % 
Domestic Demand ETF     0.00 %      100.00 % 
India Consumer ETF     0.00 %      0.00 % 
India Infrastructure ETF     0.00 %      100.00 % 
India Small Cap ETF     0.00 %      100.00 % 

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Board Review and Approval of Advisory Contracts (Unaudited)
 

At the February 26, 2015 meeting (the “Meeting”) of the Board of Trustees (the “Board”) of EGA Emerging Global Shares Trust (the “Trust”), the Board, including those Trustees who are not “interested persons” (as that term is defined in the Investment Company Act of 1940 (“1940 Act”)) of the Trust (the “Independent Trustees”), approved the continuance of the investment advisory agreements (collectively, the “Advisory Agreement”) between Emerging Global Advisors, LLC (“EGA”) and the Trust with respect to EGShares Beyond BRICs ETF, EGShares Brazil Infrastructure ETF, EGShares Emerging Markets Consumer ETF, EGShares Emerging Markets Core ETF, EGShares Emerging Markets Domestic Demand ETF, EGShares India Consumer ETF, EGShares India Infrastructure ETF, EGShares India Small Cap ETF and EGShares EM Quality Dividend ETF (each, a “Fund,” and collectively, the “Funds”), for the period March 1, 2015 until February 29, 2016. Under the Advisory Agreement, EGA is obligated to pay all of the ordinary operating expenses of each Fund (the “Unified Fee”).

In considering approval of the Advisory Agreement, the Independent Trustees met in executive session with independent counsel, who provided assistance and advice. In considering the approval of the Advisory Agreement, the Board, including the Independent Trustees, reviewed the materials provided for the Meeting by EGA, including: (i) a copy of the Advisory Agreement; (ii) information describing the nature, quality, and extent of the services that EGA provided and expects to provide to the Funds, and the fees that EGA charges for such services; (iii) information concerning the business, operations and compliance program of EGA; (iv) a copy of the current Form ADV for EGA; and (v) a memorandum from Stradley Ronon Stevens & Young, LLP, counsel to the Trust and EGA, on the responsibilities of trustees in considering investment advisory arrangements under the 1940 Act.

In addition, the Board considered data compiled by EGA from an unaffiliated third party proprietary database comparing the advisory fees, expense ratios and performance of the Funds with the advisory fees, expense ratios and performance of other U.S.-listed ETFs having similar investment objectives, indexes and underlying holdings, including other EGA-sponsored funds (the “Peer Group”). The data for the Peer Group included expense ratio information both before fee waivers and reimbursements (the “gross expense ratio”) and after fee waivers and reimbursements (the “net expense ratio”). The Board discussed the criteria used by EGA for selecting the Peer Group. The Board noted that the Peer Group and the Peer Group metrics for each Fund included the Fund itself. The Board, including the Independent Trustees, concluded that the data was useful and reliable for the purpose of reviewing the Advisory Agreement.

During their review of this information, the Board, including the Independent Trustees, focused on and analyzed the factors that the Board deemed relevant, including: the nature, quality, and extent of the services provided, and to be provided, to each Fund by EGA; the personnel and operations of EGA; the profitability to EGA under the Advisory Agreement; the expense ratios and investment performance of each Fund; any ancillary benefits realized by EGA due to its relationship with the Trust (i.e., “fall-out” benefits); and possible conflicts of interest.

In particular, the Board considered and reviewed the following with respect to each Fund:

(a) The nature, extent, and quality of services provided to each Fund by EGA.  The Board reviewed the services that EGA has provided, and is expected to provide, for each Fund. In connection with the advisory services provided to each Fund, the Board noted EGA’s significant responsibilities as the Funds’ investment adviser, including: implementation of the investment management program of each Fund; management of the day-to-day investment and reinvestment of the assets in each Fund; determining daily baskets of deposit securities and cash components; executing portfolio security trades for purchases and redemptions of Fund shares conducted on a cash-in-lieu basis, as well as during index rebalances and reconstitutions; management of the Mauritius subsidiaries (each, a “Mauritius Company”) of those Funds with significant investments in India; and oversight of general portfolio compliance with relevant law. The Board noted that it had also reviewed and considered most, if not all, of these items at its meetings throughout the course of the year.

The Board reviewed EGA’s experience, resources, strengths and its prior performance as an adviser and sub-adviser to the Funds. The Board also noted EGA’s procedures to manage potential conflicts of interest and EGA’s belief that management of the funds in the Trust and EGA Frontier Diversified Core Fund does not present a material conflict of interest. Based on their consideration and review of the foregoing information, the Board concluded that each Fund was likely to continue to benefit from the nature, quality, and extent of these services, as well as EGA’s ability to render such services based on its experience, operations and resources.

(b) Comparison of services provided and fees charged by EGA and other investment advisers to similar clients, and the cost of the services provided.  The Board compared both the services rendered and the fees paid pursuant to the Advisory Agreement for each Fund to the contractual advisory fees of other registered investment advisers providing services to similar ETFs in the Peer Group. In particular, the Board compared each Fund’s advisory fee and expense ratio to the advisory fees and expense ratios of the other ETFs in each Fund’s Peer Group as of December 31, 2014.

The Board noted that the advisory fee of the EGShares Beyond BRICs ETF was above the median and average, but below the maximum, advisory fee of the other funds in the Fund’s Peer Group. The Board considered EGShares Beyond BRICs ETF’s expense ratio both before

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Board Review and Approval of Advisory Contracts (Unaudited) (continued)
 

and after the fee waiver and expense reimbursement paid by EGA pursuant to a written agreement between EGA and the Fund, which is in addition to the Fund’s Unified Fee. The Board noted that the gross expense ratio of the Fund was above the median and average, but below the maximum, gross expense ratio of the other funds in the Fund’s Peer Group. The Board also noted that the net expense ratio of the Fund was below the median and average net expense ratio of the other funds in the Fund’s Peer Group.

The Board noted that the advisory fees of the EGShares Emerging Markets Consumer ETF, EGShares EM Quality Dividend ETF, EGShares Emerging Markets Domestic Demand ETF and EGShares Emerging Markets Core ETF were above the median and average, but below the maximum, advisory fee of the other funds in each Fund’s Peer Group. The Board also noted that the expense ratios of these Funds were above the median and average, but below the maximum, net expense ratio of the other funds in each Fund’s Peer Group.

The Board noted that the advisory fee of the EGShares India Consumer ETF was equal to the maximum fee of the other funds in the Fund’s Peer Group. The Board also noted that the expense ratio of the Fund was above the median and average, but below the maximum, net expense ratio of the other funds in the Fund’s Peer Group.

The Board noted that the advisory fees of the EGShares India Infrastructure ETF and EGShares India Small Cap ETF were above the median and average, but below the maximum, advisory fee of the other funds in each Fund’s Peer Group. The Board also noted that the expense ratios of these Funds were above the average, but equal to the median, net expense ratio of the other funds in each Fund’s Peer Group.

The Board noted that the advisory fee of the EGShares Brazil Infrastructure ETF was the highest advisory fee charged among the funds in the Fund’s Peer Group. The Board also noted that the expense ratio of the Fund was the highest among the net expense ratios of the other funds in the Fund’s Peer Group.

The Board considered the appropriateness of the advisory fees and expense ratios of the Funds under the Unified Fee compared to the advisory fees and expense ratios of the ETFs in each Fund’s Peer Group. The Board received information regarding the costs, including operational costs borne by EGA under the Unified Fee, and profitability of EGA in connection with serving as adviser to each Fund. The Board also received information regarding the additional costs of operating the Funds that invest in a related Mauritius Company in order to invest directly in Indian companies, which increases the operational costs for those Funds. The Board noted EGA’s assumption of the contractual obligation to limit each Fund’s ordinary operating expenses through the Unified Fee, which cannot be changed without shareholder approval.

After comparing each Fund’s advisory fee and expense ratio with those of the other funds in each Fund’s Peer Group, and in light of the nature, quality, and extent of services provided by EGA and the costs incurred by EGA in rendering those services and absorbing the Funds’ ordinary operating expenses under the Unified Fee, the Board concluded that the advisory fees paid to EGA with respect to each Fund were fair and reasonable.

(c) EGA’s profitability and the extent to which economies of scale were realized as each Fund grew and whether fee levels reflect such economies of scale.  The Board received information and reviewed EGA’s profitability with respect to each Fund and the payments made by EGA for each Fund’s ordinary operating expenses under the Unified Fee. The Board acknowledged EGA’s contractual obligation to limit each Fund’s expenses through the Unified Fee, its willingness to further waive fees and/or reimburse expenses for EGShares Beyond BRICs ETF in order to cap the costs paid by that Fund’s shareholders, and the effect of such obligation and commitment, respectively, on EGA’s profitability, each based on information presented to the Board.

The Board considered economies of scale and the asset level of each Fund. Although certain of the Funds were not yet at a sufficient size to be experiencing economies of scale, the Board noted that EGA had in the past introduced breakpoints to its advisory fee for certain series of the Trust when assets under management had reached a significant size. The Board noted that breakpoints had been established for EGShares Emerging Markets Consumer ETF. The Board received information regarding EGA’s financial condition and reviewed EGA’s financial statements.

The Board considered fall-out benefits received by EGA from its relationship with the Trust. EGA acknowledged positive reputational benefits from the success of the funds in the Trust, including benefits to EGA Indices, a separate group within EGA, which sponsors indexes for EGShares EM Quality Dividend ETF and EGShares Blue Chip ETF.

The Board concluded that EGA’s level of profitability with respect to each of the Funds was reasonable and consistent with the level of services that EGA provides to the Funds.

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Board Review and Approval of Advisory Contracts (Unaudited) (concluded)
 

(d) Investment performance of EGA.  The Board considered the investment performance of the Funds, including tracking difference (i.e., the difference of the returns between a Fund and the underlying index it seeks to track) and tracking error (i.e., the volatility of the difference of the returns between a Fund and the underlying index it seeks to track). The Board noted that EGA discussed at each quarterly meeting the factors contributing to each Fund’s investment performance. In particular, the Board considered the investment performance of the Funds relative to their stated objective to seek investment results that correspond (before fees and expenses) to the price and yield performance of the applicable underlying index that is referenced in each Fund’s investment objective, and EGA’s success in achieving each Fund’s objective. The Board also compared each Fund’s tracking difference and tracking error to the tracking difference and tracking error of other ETFs considered to be in such Fund’s Peer Group.

The Board noted that the tracking difference for EGShares Emerging Markets Consumer ETF, EGShares EM Quality Dividend ETF, EGShares Emerging Markets Domestic Demand ETF, EGShares Emerging Markets Core ETF, EGShares India Infrastructure ETF and EGShares India Consumer ETF was within the range of tracking differences of the other funds in each Fund’s Peer Group.

The Board noted that the absolute value of the tracking difference for EGShares Beyond BRICs ETF, EGShares India Small Cap ETF and EGShares Brazil Infrastructure ETF was the highest absolute tracking difference in each Fund’s Peer Group.

The Board noted that the tracking error for EGShares Emerging Markets Consumer ETF, EGShares Emerging Markets Domestic Demand ETF and EGShares India Consumer ETF was below the median and average tracking error of the other funds in each Fund’s Peer Group.

The Board noted that the tracking error for the EGShares Beyond BRICs ETF, EGShares EM Quality Dividend ETF, EGShares Emerging Markets Core ETF, EGShares India Infrastructure ETF and EGShares India Small Cap ETF was above the median and average, but below the maximum, tracking error of the other funds in each Fund’s Peer Group.

The Board noted that the tracking error for the EGShares Brazil Infrastructure ETF was equal to the median, but below the average, tracking error of the other funds in the Fund’s Peer Group.

The Board also received and considered information about the premium/discount history of the Funds, which illustrated the number of times that the market price of the Funds trading on the secondary market closed above or below the NAV of the Funds, and by how much, measured in basis points. The Board concluded that the investment performance of each Fund was consistent with its stated investment objective.

Conclusion.  No single factor was determinative to the decision of the Board. Based on the foregoing and such other matters as were deemed relevant, such as the Unified Fee and the reports that the Board had received and reviewed throughout the year, the Board, including the Independent Trustees, concluded that the advisory fees and expense ratios were reasonable in relation to the services provided, and to be provided, by EGA to each Fund, as well as the costs incurred and benefits gained by EGA in providing such services. As a result, the Board, including the Independent Trustees, determined that the approval of the continuance of the Advisory Agreement with EGA was in the best interest of each Fund and their shareholders.

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Board Review and Approval of EGA Mutual Funds Advisory Contract (Unaudited)
 

At the February 26, 2015 meeting (the “Meeting”) of the Board of Trustees (the “Board”) of EGA Emerging Global Shares Trust (the “Trust”), the Board, including those Trustees who are not “interested persons” (as that term is defined in the Investment Company Act of 1940 (“1940 Act”)) of the Trust (the “Independent Trustees”), approved the investment advisory agreement (the “Advisory Agreement”) between Emerging Global Advisors, LLC (“EGA”) and the Trust with respect to the EGA Beyond BRICs Opportunities Fund, EGA Emerging Markets Consumer Fund and EGA Emerging Markets Core Fund (each, a “Fund,” and collectively, the “Funds”), for a period of two years from March 1, 2015 until February 28, 2017.

In considering approval of the Advisory Agreement, the Independent Trustees met in executive session with independent counsel, who provided assistance and advice. In considering the approval of the Advisory Agreement, the Board, including the Independent Trustees, reviewed the materials provided for the Meeting by EGA, including: (i) a copy of the Advisory Agreement; (ii) information describing the nature, quality, and extent of the services that EGA expects to provide to the Funds, and the fees that EGA proposes to charge for such services; (iii) information concerning the business, operations and compliance program of EGA; (iv) a copy of the current Form ADV for EGA; and (v) a memorandum from Stradley Ronon Stevens & Young, LLP, counsel to the Trust and EGA, on the responsibilities of trustees in considering investment advisory arrangements under the 1940 Act.

In addition, the Board considered data compiled by EGA from an unaffiliated third party proprietary database comparing the proposed advisory fees and projected expense ratios of the Funds with the advisory fees and expense ratios of other mutual funds having similar investment objectives and underlying holdings (the “Peer Group”). The data for the Peer Group included expense ratio information both before fee waivers and reimbursements (the “gross expense ratio”) and after fee waivers and reimbursements (the “net expense ratio”). The Board discussed the criteria used by EGA for selecting the Peer Group. The Board noted that the Peer Group and the Peer Group metrics for each Fund included the Fund itself. The Board, including the Independent Trustees, concluded that the data was useful and reliable for the purpose of reviewing the Advisory Agreement.

During their review of this information, the Board, including the Independent Trustees, focused on and analyzed the factors that the Board deemed relevant, including: the nature, quality, and extent of the services to be provided to each Fund by EGA; the personnel and operations of EGA; the profitability to EGA under the Advisory Agreement; the projected expense ratio of each Fund; any ancillary benefits realized by EGA due to its relationship with the Trust (i.e., “fall-out” benefits); and possible conflicts of interest.

In particular, the Board considered and reviewed the following with respect to each Fund:

(a) The nature, extent, and quality of services to be provided to each Fund by EGA.  The Board reviewed the services that EGA is expected to provide to each Fund. In connection with the advisory services to be provided to each Fund, the Board noted EGA’s significant responsibilities as the Funds’ investment adviser, including: implementation of the investment management program of each Fund; management of the day-to-day investment and reinvestment of the assets in each Fund; executing portfolio security trades for purchases and redemptions of Fund shares, as well as during index rebalances and reconstitutions; and oversight of general portfolio compliance with relevant law. The Board also noted the Funds would require more extensive cash management than is typically the case with the ETF series of the Trust.

The Board reviewed EGA’s experience, resources, strengths and its prior performance as an adviser and sub-adviser to the ETF series of the Trust with similar investment objectives, strategies and risks. The Board also noted EGA’s procedures to manage potential conflicts of interest and EGA’s belief that management of the funds in the Trust and EGA Frontier Diversified Core Fund does not present a material conflict of interest. Based on their consideration and review of the foregoing information, the Board concluded that the Fund was likely to benefit from the nature, quality, and extent of these services, as well as EGA’s ability to render such services based on its experience, operations and resources.

(b) Comparison of services provided and fees charged by EGA and other investment advisers to similar clients, and the cost of the services to be provided.  The Board compared both the services to be rendered and the fees to be paid pursuant to the Advisory Agreement for each Fund to the contractual advisory fees of other registered investment advisers providing services to similar funds in the Peer Group. In particular, the Board compared each Fund’s proposed advisory fee and projected expense ratio, both before and after the fee waiver and expense reimbursement paid by EGA pursuant to a written agreement between EGA and each Fund, to the advisory fees and expense ratios of the other funds in each Fund’s Peer Group as of December 31, 2014.

The Board noted that the proposed advisory fee of each Fund was below the median and average advisory fee of the other funds in each Fund’s Peer Group. The Board also noted that the projected gross expense ratio and net expense ratio for Institutional Class and Advisor Class shares of each Fund were below the median and average gross expense ratio and net expense ratio, respectively, of corresponding share classes of the other funds in each Fund’s Peer Group.

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Board Review and Approval of EGA Mutual Funds Advisory Contract (Unaudited) (concluded)
 

After comparing each Fund’s proposed advisory fee and projected expense ratio with those of the other funds in each Fund’s Peer Group, and in light of the nature, quality, and extent of services to be provided by EGA and the costs incurred by EGA in rendering those services, the Board concluded that the advisory fees to be paid to EGA with respect to each Fund were fair and reasonable.

(c) EGA’s profitability and the extent to which economies of scale would be realized as each Fund grows and whether fee levels would reflect such economies of scale.  The Board noted that, because the Funds had not commenced operations, it was not possible to assess either EGA’s profitability or the potential for economies of scale. The Board acknowledged EGA’s willingness to waive fees and/or reimburse expenses in order to cap the costs paid by each Fund’s shareholders, and the effect of such commitment on EGA’s profitability based on information presented to the Board. The Board also considered EGA’s profitability with respect to the ETF series of the Trust, noting that EGA had in the past introduced breakpoints to its advisory fee for certain series of the Trust when assets under management had reached a significant size.

The Board considered fall-out benefits received by EGA from its relationship with the Trust. EGA acknowledged positive reputational benefits from the success of the funds in the Trust, including benefits to EGA Indices, a separate group within EGA, which sponsors indexes for certain series of the Trust.

(d) Investment performance of EGA.  The Board noted that, because the Funds had not commenced operations, it was not possible to assess EGA’s investment performance with respect to the Funds. The Board did consider EGA’s investment performance with respect to the ETF series of the Trust, including ETF series with investment objectives, strategies and risks similar to the Funds, relative to their stated investment objectives to seek investment results that correspond (before fees and expenses) to the price and yield performance of the applicable underlying index that is referenced in each series’ investment objective, and EGA’s success in achieving each series’ objectives.

Conclusion.  No single factor was determinative to the decision of the Board. Based on the foregoing and such other matters as were deemed relevant, the Board, including the Independent Trustees, concluded that the proposed advisory fees and projected expense ratios were reasonable in relation to the services to be provided by EGA to each Fund, as well as the costs to be incurred and benefits to be gained by EGA in providing such services. As a result, the Board, including the Independent Trustees, determined that the approval of the Advisory Agreement with EGA would be in the best interest of each Fund and their shareholders.

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Board Review and Approval of EGShares EM Equity Value ETF Advisory Contract (Unaudited)
 

At the February 26, 2015 meeting (the “Meeting”) of the Board of Trustees (the “Board”) of EGA Emerging Global Shares Trust (the “Trust”), the Board, including those Trustees who are not “interested persons” (as that term is defined in the Investment Company Act of 1940 (“1940 Act”)) of the Trust (the “Independent Trustees”), approved the investment advisory agreement (the “Advisory Agreement”) between Emerging Global Advisors, LLC (“EGA”) and the Trust with respect to the EGShares EM Equity Value ETF (the “Fund”), for a period of two years from March 1, 2015 until February 28, 2017. Under the Advisory Agreement, EGA is obligated to pay all of the ordinary operating expenses of the Fund (the “Unified Fee”).

In considering approval of the Advisory Agreement, the Independent Trustees met in executive session with independent counsel, who provided assistance and advice. In considering the approval of the Advisory Agreement, the Board, including the Independent Trustees, reviewed the materials provided for the Meeting by EGA, including: (i) a copy of the Advisory Agreement; (ii) information describing the nature, quality, and extent of the services that EGA expects to provide to the Fund, and the fees that EGA proposes to charge for such services; (iii) information concerning the business, operations and compliance program of EGA; (iv) a copy of the current Form ADV for EGA; and (v) a memorandum from Stradley Ronon Stevens & Young, LLP, counsel to the Trust and EGA, on the responsibilities of trustees in considering investment advisory arrangements under the 1940 Act.

In addition, the Board considered data compiled by EGA from an unaffiliated third party proprietary database comparing the proposed advisory fee and projected expense ratio of the Fund with the advisory fees and expense ratios of other U.S.-listed ETFs having similar investment objectives, indexes and underlying holdings, including other EGA-sponsored funds (the “Peer Group”). The data for the Peer Group included expense ratio information both before fee waivers and reimbursements and after fee waivers and reimbursements (the “net expense ratio”). The Board discussed the criteria used by EGA for selecting the Peer Group. The Board noted that the Peer Group and the Peer Group metrics for the Fund included the Fund itself. The Board, including the Independent Trustees, concluded that the data was useful and reliable for the purpose of reviewing the Advisory Agreement.

During their review of this information, the Board, including the Independent Trustees, focused on and analyzed the factors that the Board deemed relevant, including: the nature, quality, and extent of the services to be provided to the Fund by EGA; the personnel and operations of EGA; the profitability to EGA under the Advisory Agreement; the projected expense ratio of the Fund; any ancillary benefits realized by EGA due to its relationship with the Trust (i.e., “fall-out” benefits); and possible conflicts of interest.

In particular, the Board considered and reviewed the following with respect to the Fund:

(a) The nature, extent, and quality of services to be provided to the Fund by EGA.  The Board reviewed the services that EGA is expected to provide to the Fund. In connection with the advisory services to be provided to the Fund, the Board noted EGA’s significant responsibilities as the Fund’s investment adviser, including: implementation of the investment management program of the Fund; management of the day-to-day investment and reinvestment of the assets in the Fund; determining daily baskets of deposit securities and cash components; executing portfolio security trades for purchases and redemptions of Fund shares conducted on a cash-in-lieu basis, as well as during index rebalances and reconstitutions; and oversight of general portfolio compliance with relevant law.

The Board reviewed EGA’s experience, resources, strengths and its prior performance as an adviser and sub-adviser to the other ETF series of the Trust with similar investment objectives, strategies and risks. The Board also noted EGA’s procedures to manage potential conflicts of interest and EGA’s belief that management of the funds in the Trust and EGA Frontier Diversified Core Fund does not present a material conflict of interest. Based on their consideration and review of the foregoing information, the Board concluded that the Fund was likely to benefit from the nature, quality, and extent of these services, as well as EGA’s ability to render such services based on its experience, operations and resources.

(b) Comparison of services provided and fees charged by EGA and other investment advisers to similar clients, and the cost of the services to be provided.  The Board compared both the services to be rendered and the fees to be paid pursuant to the Advisory Agreement for the Fund to the contractual advisory fees of both EGA and other registered investment advisers providing services to similar ETFs in the Peer Group. In particular, the Board compared the Fund’s proposed advisory fee and projected expense ratio to the advisory fees and expense ratios of the other ETFs in the Fund’s Peer Group as of December 31, 2014.

The Board noted that the proposed advisory fee of the Fund was above the median and average, but below the maximum, advisory fee of the other funds in the Fund’s Peer Group. The Board also noted that the projected expense ratio of the Fund was above the median and average, but below the maximum, net expense ratio of the other funds in the Fund’s Peer Group. The Board considered the appropriateness of the proposed advisory fee and projected expense ratio of the Fund under the Unified Fee compared to the advisory fees and expense ratios of the ETFs in the Peer Group. The Board received information regarding the costs, including operational costs borne by EGA under the Unified Fee. The Board noted EGA’s assumption of the contractual obligation to limit the Fund’s ordinary operating expenses through the Unified Fee could not be changed without shareholder approval.

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Board Review and Approval of EGShares EM Equity Value ETF Advisory Contract (Unaudited) (concluded)
 

After comparing the Fund’s proposed advisory fee and projected expense ratio with those of the other funds in the Peer Group, and in light of the nature, quality, and extent of services to be provided by EGA and the costs incurred by EGA in rendering those services and absorbing the Fund’s ordinary operating expenses under the Unified Fee, the Board concluded that the advisory fee to be paid to EGA with respect to the Fund was fair and reasonable.

(c) EGA’s profitability and the extent to which economies of scale would be realized as the Fund grows and whether fee levels would reflect such economies of scale.  The Board noted that, because the Fund had not commenced operations, it was not possible to assess either EGA’s profitability or the potential for economies of scale. The Board acknowledged EGA’s contractual obligation to limit the Fund’s expenses through the Unified Fee, and the effect of such obligation on EGA’s profitability based on information presented to the Board. The Board also considered EGA’s profitability with respect to the other ETF series of the Trust, noting that EGA had in the past introduced breakpoints to its advisory fee for certain series of the Trust when assets under management had reached a significant size.

The Board considered fall-out benefits received by EGA from its relationship with the Trust. EGA acknowledged positive reputational benefits from the success of the funds in the Trust, including benefits to EGA Indices, a separate group within EGA, which sponsors indexes for the Fund and certain other ETF series of the Trust.

(d) Investment performance of EGA.  The Board noted that, because the Fund had not commenced operations, it was not possible to assess EGA’s investment performance with respect to the Fund. The Board did consider EGA’s investment performance with respect to the other ETF series of the Trust, including ETF series with investment objectives, strategies and risks similar to the Fund, relative to their stated investment objectives to seek investment results that correspond (before fees and expenses) to the price and yield performance of the applicable underlying index that is referenced in each series’ investment objective, and EGA’s success in achieving each series’ objectives, including tracking difference (i.e., the difference of the returns between a fund and the underlying index it seeks to track) and tracking error (i.e., the volatility of the difference of the returns between a fund and the underlying index it seeks to track).

Conclusion.  No single factor was determinative to the decision of the Board. Based on the foregoing and such other matters as were deemed relevant, such as the Unified Fee, the Board, including the Independent Trustees, concluded that the proposed advisory fee and projected expense ratio were reasonable in relation to the services to be provided by EGA to the Fund, as well as the costs to be incurred and benefits to be gained by EGA in providing such services. As a result, the Board, including the Independent Trustees, determined that the approval of the Advisory Agreement with EGA would be in the best interest of the Fund and its shareholders.

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Board of Trustees and Officers  (Unaudited)
 

The Trustees and officers of the Trust, along with their principal occupations over the past five years and their affiliations, if any, with EGA, are listed below. Unless otherwise noted, the address of each Trustee of the Trust is 155 West 19th Street, New York, NY 10011. The Statement of Additional Information includes additional information about Fund Trustee and is available, without charge, upon request at 155 West 19th Street, New York, NY 10011.

         
Name and Year of Birth   Position(s)
Held with
Trust
  Term of
Office1 and Length of Time Served
  Principal Occupation(s)
During Past 5 Years
  Number of Portfolios in Fund Complex2 Overseen by Trustee   Other Directorships Held by Trustee
Independent Trustees
                        
Robert Willens, 1946   Trustee   Since 2009   Robert Willens, LLC (tax consulting), President, since January 2008.   17   Daxor Corp. (Medical Products and
Biotechnology), since 2004.
Ron Safir, 1951   Trustee   Since 2009   Retired, since 2008.   17   None
Jeffrey D. Haroldson, 1957   Trustee   Since 2009   Bridgeton Holdings LLC (real estate investment and development), Chief Operating Officer & General Counsel, since 2013; Ridgewood Capital Advisors LLC (consulting and business advisory services), President since 2012; HDG Mansur Capital Group, LLC (international real estate company), President and Chief Operating Officer, 2004 to 2011.   17   None
Interested Trustees
                        
Robert C. Holderith3, 1960   Trustee and President   Since 2008   Emerging Global Advisors, LLC, Managing Member and Chief Executive Officer, since September 2008.   17   None
1 Each Trustee holds office for an indefinite term.
2 The “Fund Complex” consists of the EGA Frontier Diversified Core Fund and the Trust, which together consist of seventeen funds. As of March 31, 2015, eleven funds were operational.
3 Mr. Holderith is considered to be an “interested persons” of the Trust as defined in the 1940 Act, due to his relationship with EGA, the Funds’ Advisor.

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Board of Trustees and Officers (Unaudited)  (concluded) 

     
Name and Year of Birth   Position(s)
Held with
the Trust
  Term of
Office1 and
Length of
Time Served
  Principal Occupation(s) During Past 5 Years
Officers
              
Marten S. Hoekstra
Emerging Global Advisors,
LLC 155 West 19th Street
New York,
NY 10011 1960
  Executive Vice President   Since 2011   Chief Executive Officer, Emerging Global Advisors, LLC, since February 2011; Board of Directors, Securities Industry and Financial Markets Association, 2006 to 2011; UBS (and its predecessor, PaineWebber), 1983 to 2009 (including various executive positions starting in 2001).
Susan M. Ciccarone
Emerging Global Advisors,
LLC 155 West 19th Street
New York,
NY 10011 1973
  Principal Financial Officer, Vice President and Treasurer   Since 2013   Chief Operating Officer, since April 2014, Chief Financial Officer, since August 2012, Emerging Global Advisors, LLC; Managing Director, Goldman Sachs & Co. 2009 to 2012; UBS Investment Bank, 2002 to 2009.
Joseph Signora
Emerging Global Advisors,
LLC 155 West 19th Street
New York,
NY 10011 1976
  Chief Compliance Officer   Since
September 2014
  Deputy Chief Compliance Officer, Emerging Global Advisors, LLC, since July 2014; Director of Compliance, Van Eck Associates Corp. (advisory firm), 2011 to June 2014; Vice President, Compliance, Artio Global Management LLC, 2007 to 2011.
1 Officers of the Trust are elected by the Trustees and serve at the pleasure of the Board.

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General Information (Unaudited) 
 

Investment Advisor
Emerging Global Advisors, LLC
155 West 19th Street, 3rd Floor
New York, NY 10011

Distributor
ALPS Distributors, Inc.
1290 Broadway, Suite 1100
Denver, CO 80203

Administrator, Custodian and Transfer Agent
The Bank of New York Mellon
101 Barclay Street
New York, NY 10286

Independent Registered Public Accounting Firm
BBD, LLP
1835 Market Street, 26th Floor
Philadelphia, PA 19103

You may obtain a description of the EGShares Funds’ proxy voting, policies, procedures and information regarding how each Fund voted proxies relating to portfolio securities during the most recent 12-month period ending June 30 (available by August 31) without charge, upon request, by calling 1-888-800-4347 or visiting the funds website www.egshares.com, or by accessing the Securities Exchange Commission’s (the “SEC”) website at www.sec.gov. Such reports may be reviewed and copied at the SEC’s Public Reference Room in Washington, DC. Information on the operation of the Public Reference Room may be obtained by calling 202-942-8090.

Each of the Funds’ premium/discount information that is current as of the most recent quarter-end is available by visiting www.egshares.com or by calling (888) 800-4EGS (4347).

The Trust files complete schedules of the portfolio holdings with the SEC for the first and third quarters on Form N-Q. The Form N-Q is available without charge, upon request, by calling 1-800-SEC-0330, or by accessing the SEC’s website, at www.sec.gov. It may also be reviewed and copied at the SEC’s Public Reference Room in Washington, DC.

This report has been prepared for shareholders and may be distributed to others only if preceded or accompanied by an effective prospectus, which includes information regarding the Funds’ objectives and policies, experience of its management, marketability of shares and other information.

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[GRAPHIC MISSING]

155 West 19th Street
New York, NY 10011
(888)800-4EGS(4347)
www.egshares.com
 

EGA Emerging Global Shares Trust
 

EGShares Beyond BRICs ETF

EGShares Blue Chip ETF

EGShares Brazil Infrastructure ETF

EGShares EM Quality Dividend ETF
(formerly EGShares Low Volatility Emerging Markets Dividend ETF)

EGShares Emerging Markets Consumer ETF

EGShares Emerging Markets Core ETF

EGShares Emerging Markets Domestic Demand ETF

EGShares India Consumer ETF

EGShares India Infrastructure ETF

EGShares India Small Cap ETF


 
 
 
EGShares are distributed by ALPS Distributors, Inc.


 

 
 

 

Item 2. Code of Ethics.

 

(a)The Registrant, as of the end of the period covered by this report, has adopted a code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party.

 

(c)There have been no amendments, during the period covered by this report, to a provision of the code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party, and that relates to any element of the code of ethics description.

 

(d)The Registrant has not granted any waivers, including an implicit waiver, from a provision of the code of ethics that applies to the Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions, regardless of whether these individuals are employed by the Registrant or a third party, that relates to one or more of the items set forth in paragraph (b) of this item’s instructions.

 

(f)Pursuant to Item 12(a)(1), the Registrant is attaching as an exhibit a copy of its code of ethics that applies to Registrant’s principal executive officer, principal financial officer, principal accounting officer or controller, or persons performing similar functions.

 

 

Item 3. Audit Committee Financial Expert.

 

The Registrant’s Board of Trustees has determined that its Audit Committee has one “audit committee financial expert”, as that term is defined under Items 3(b) and 3(c), serving on its Audit Committee. Mr. Robert Willens, the Registrant’s audit committee financial expert, is “independent”, as that term is defined under Item 3(a)(2).

 

 

Item 4. Principal Accountant Fees and Services.

 

Audit Fees

 

(a)The aggregate fees billed for each of the last two fiscal years for professional services rendered by the principal accountant for the audit of the Registrant's annual financial statements or services that are normally provided by the accountant in connection with statutory and regulatory filings or engagements for those fiscal years are $118,500 for 2015 and $177,500 for 2014.

 

 
 

 

Audit-Related Fees

 

(b)The aggregate fees billed in each of the last two fiscal years for assurance and related services by the principal accountant that are reasonably related to the performance of the audit of the Registrant's financial statements and are not reported under paragraph (a) of this Item are $0 for 2015 and $0 for 2014.

 

Tax Fees

 

(c)The aggregate fees billed in each of the last two fiscal years for professional services rendered by the principal accountant for tax compliance, tax advice, and tax planning are $32,000 for 2015 and $49,000 for 2014. The Tax Fees represent services provided in connection with the preparation of tax returns and year-end distribution review.

 

All Other Fees

 

(d)The aggregate fees billed in each of the last two fiscal years for products and services provided by the principal accountant, other than the services reported in paragraphs (a) through (c) of this Item are $0 for 2015 and $0 for 2014.

 

(e)(1)Disclose the audit committee's pre-approval policies and procedures described in paragraph (c)(7) of Rule 2-01 of Regulation S-X.

 

Per Rule 2-01(c)(7)(A) and the charter of the Registrant’s Audit Committee, the Audit Committee approves and recommends the principal accountant for the Registrant, pre-approves (i) the principal accountant’s provision of all audit and permissible non-audit services to the Registrant (including the fees and other compensation to be paid to the principal accountant), and (ii) the principal accountant’s provision of any permissible non-audit services to the Registrant’s investment adviser (the “Adviser”), sub-adviser or any entity controlling, controlled by, or under common control with any investment adviser or sub-adviser, if the engagement relates directly to the operations of the financial reporting of the Trust.

 

(e)(2)The percentage of services described in each of paragraphs (b) through (d) of this Item that were approved by the audit committee pursuant to paragraph (c)(7)(i)(C) of Rule 2-01 of Regulation S-X are as follows:

 

(b) N/A

 

(c) 100%

 

(d) N/A

 

(f)The percentage of hours expended on the principal accountant's engagement to audit the Registrant's financial statements for the most recent fiscal year that were attributed to work performed by persons other than the principal accountant's full-time, permanent employees was less than fifty percent.

 

(g)The aggregate non-audit fees billed by the Registrant‘s accountant for services rendered to the Registrant, and rendered to the Registrant's investment adviser (not including any sub-adviser whose role is primarily portfolio management and is subcontracted with or overseen by another investment adviser), and any entity controlling, controlled by, or under common control with the adviser that provides ongoing services to the Registrant for each of the last two fiscal years of the Registrant was $0 for 2015 and $0 for 2014.

 

 
 

 

(h)Not applicable.

 

 

Item 5. Audit Committee of Listed Registrants.

 

The Registrant is an issuer as defined in Section 10A-3 of the Securities Exchange Act of 1934 and has a separately-designated standing Audit Committee in accordance with Section 3(a)(58)(A) of such Act. All of the Board’s independent Trustees, Robert Willens, Ron Safir and Jeffrey D. Haroldson, are members of Audit Committee.

 

 

Item 6. Investments.

 

(a)Schedule of Investments in securities of unaffiliated issuers as of the close of the reporting period is included as part of the report to shareholders filed under Item 1 of this Form.

 

(b)Not applicable.

 

 

Item 7. Disclosure of Proxy Voting Policies and Procedures for Closed-End Management Investment Companies.

 

Not applicable.

 

 

Item 8. Portfolio Managers of Closed-End Management Investment Companies.

 

Not applicable.

 

 

Item 9. Purchases of Equity Securities by Closed-End Management Investment Company and Affiliated Purchasers.

 

Not applicable.

 

 

Item 10. Submission of Matters to a Vote of Security Holders.

 

There have been no material changes to the procedures by which the shareholders may recommend nominees to the Registrant’s board of trustees, where those changes were implemented after the Registrant 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 and principal financial officers, or persons performing similar functions, 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 (the “1940 Act”) (17 CFR 270.30a-3(c))) are effective, as of a date within 90 days of the filing date of the report that includes the disclosure required by this paragraph, based on their evaluation of these controls and procedures required by Rule 30a-3(b) under the 1940 Act (17 CFR 270.30a-3(b)) and Rules 13a-15(b) or 15d-15(b) under the Securities Exchange Act of 1934, as amended (17 CFR 240.13a-15(b) or 240.15d-15(b)).

 

(b)There were no changes in the Registrant’s internal control over financial reporting (as defined in Rule 30a-3(d) under the 1940 Act (17 CFR 270.30a-3(d)) that occurred during the Registrant’s 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)Code of ethics, or any amendment thereto, that is the subject of disclosure required by Item 2 is attached hereto.

 

(a)(2)Certifications pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act of 2002 are attached hereto.

 

(a)(3)Not applicable.

 

(b)Certifications pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act of 2002 are attached hereto.

 

 
 

 

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.

 

(Registrant) EGA Emerging Global Shares Trust

 

 

By (Signature and Title)* /s/ Robert C. Holderith                               

Robert C. Holderith, President

(principal executive officer)

 

Date  June 3, 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 (Signature and Title)* /s/ Robert C. Holderith                              

Robert C. Holderith, President

(principal executive officer)

 

Date  June 3, 2015

 

 

By (Signature and Title)* /s/ Susan M. Ciccarone                             

Susan M. Ciccarone, Chief Financial Officer

(principal financial officer)

 

Date  June 2, 2015

 

 

 

* Print the name and title of each signing officer under his or her signature.

 

 
EX-99.CODE ETH 2 v407841_ex99-codeeth.htm CODE OF ETHICS

 

EX-99.CODE ETH

 

EGA EMERGING GLOBAL SHARES TRUST
EGA F
RONTIER DIVERSIFIED CORE FUND

 

Code of Ethics for Principal Executive and Financial Officers

 

 

I.Purpose of the Code

 

The EGA Emerging Global Shares Trust and the EGA Frontier Diversified Core Fund (each series, a “Fund”, collectively the “Funds”) code of ethics (this “Code”) is intended to serve as the code of ethics described in Section 406 of the Sarbanes-Oxley Act of 2002 and Item 2 of Form N-CSR. This Code shall be the sole code of ethics adopted by the Funds for purposes of Section 406 of the Sarbanes- Oxley Act and the rules and forms applicable to registered investment companies there under. Insofar as other policies or procedures of the Funds, the Funds’ adviser, principal underwriter, or other service providers govern or purport to govern the behavior or activities of the Covered Officers, as defined herein, who are subject to this Code, they are superseded by this Code to the extent that they overlap or conflict with the provisions of this Code. The Funds and its investment adviser’s, and principal underwriter’s codes of ethics pursuant to Rule 17j-1 under the Investment Company Act of 1940 (the “1940 Act”) are separate requirements applying to the Covered Officers and others, and are not part of this Code.

 

All Covered Officers must become familiar and fully comply with this Code. Because this Code cannot and does not cover every applicable law or provide answers to all questions that might arise, all Covered Officers are expected to use common sense about what is right and wrong, including a sense of when it is proper to seek guidance from others on the appropriate course of conduct.

 

The purpose of this Code is to set standards for the Covered Officers that are reasonably designed to deter wrongdoing and to promote:

 

·honest and ethical conduct, including the ethical handling of actual or apparent conflicts of interest between personal and professional relationships;
·full, fair, accurate, timely, and understandable disclosure in reports and documents that the Funds files with, or submits to, the Securities and Exchange Commission (the “SEC”) and in any other public communications by the Funds;

 

·compliance with applicable governmental laws, rules and regulations;

 

·the prompt internal reporting of violations of the Code to the appropriate persons as set forth in the Code; and
·accountability for adherence to the Code.

 

II.Covered Persons

 

This Code applies to the Funds’ Principal Executive Officers and Principal Financial Officers, or any persons performing similar functions on behalf of the Funds (the “Covered Officers”). Each Covered Person should adhere to a high standard of business ethics and should be sensitive to situations that may give rise to actual as well as apparent conflicts of interest. Covered Officers are expected to act in accordance with the standards set forth in this Code.

 

 
 

 

III.Honest and Ethical Conduct

 

A.Honesty, Diligence and Professional Responsibility

 

Covered Officers are expected to observe both the form and the spirit of the ethical principles contained in this Code. Covered Officers must perform their duties and responsibilities for the Funds:

 

·with honesty, diligence, and a commitment to professional and ethical responsibility;
·carefully, thoroughly and in a timely manner; and
·in conformity with applicable professional and technical standards.

 

Covered Officers who are certified public accountants are expected to carry out their duties and responsibilities in a manner consistent with the principles governing the accounting profession, including any guidelines or principles issued by the Public Company Accounting Oversight Board or the American Institute of Certified Public Accountants from time to time.

 

B.Objectivity/Avoidance of Undisclosed Conflicts of Interest

 

Covered Officers are expected to maintain objectivity and avoid undisclosed conflicts of interest. In the performance of their duties and responsibilities for the Funds, Covered Officers must not subordinate their judgment to personal gain and advantage, or be unduly influenced by their own interests or by the interests of others. Covered Officers must avoid participation in any activity or relationship that constitutes a conflict of interest unless that conflict has been completely disclosed to affected parties and waived by the Trustees on behalf of the Funds. Further, Covered Officers should avoid participation in any activity or relationship that could create the appearance of a conflict of interest.

 

A conflict of interest would generally arise if, for instance, a Covered Officer directly or indirectly participates in any investment, interest, association, activity or relationship that may impair or appear to impair the Covered Officer’s objectivity or interfere with the interests of, or the Covered Officer's service to, the Funds.

 

Any Covered Officer who may be involved in a situation or activity that might be a conflict of interest or give the appearance of a conflict of interest must report such situation or activity using the reporting procedures set forth in Section VI of this Code.

 

Each Covered Officer must not:

 

·use his or her personal influence or personal relationships improperly to influence investment decisions or financial reporting by the Funds whereby the Covered Officer would benefit personally;

 

·cause the Funds to take action, or fail to take actions, for the individual personal benefit of the Covered Officer rather than the benefit of the Funds; or

 

·use material non-public knowledge of portfolio transactions made or contemplated for the Funds to trade personally or cause others to trade personally in contemplation of the market effect of such transactions.

 

2
 

 

Each Covered Officer is responsible for his or her compliance with this conflict of interest policy.

 

C.Preparation of Financial Statements

 

Covered Officers must not knowingly make any misrepresentations regarding the Funds’ financial statements or any facts in the preparation of the Funds’ financial statements, and must comply with all applicable laws, standards, principles, guidelines, rules and regulations in the preparation of the Funds’ financial statements. This section is intended to prohibit:

 

·making, or permitting or directing another to make, materially false or misleading entries in the Funds’ financial statements or records;

 

·failing to correct the Funds’ financial statements or records that are materially false or misleading when he or she has the authority to record an entry; and

 

·signing, or permitting or directing another to sign, a document containing materially false or misleading financial information.

 

Covered Officers must be scrupulous in their application of generally accepted accounting principles. No Covered Officer may (i) express an opinion or state affirmatively that the financial statements or other financial data of the Funds are presented in conformity with generally accepted accounting principles, or (ii) state that he or she is not aware of any material modifications that should be made to such statements or data in order for them to be in conformity with generally accepted accounting principles, if such statements or data contain any departure from generally accepted accounting principles then in effect in the United States.

 

Covered Officers must follow the laws, standards, principles, guidelines, rules and regulations established by all applicable governmental bodies, commissions or other regulatory agencies in the preparation of financial statements, records and related information. If a Covered Officer prepares financial statements, records or related information for purposes of reporting to such bodies, commissions or regulatory agencies, the Covered Officer must follow the requirements of such organizations in addition to generally accepted accounting principles.

 

If a Covered Officer and his or her supervisor have a disagreement or dispute relating to the preparation of financial statements or the recording of transactions, the Covered Officer should take the following steps to ensure that the situation does not constitute an impermissible subordination of judgment:

 

·The Covered Officer should consider whether (i) the entry or the failure to record a transaction in the records, or (ii) the financial statement presentation or the nature or omission of disclosure in the financial statements, as proposed by the supervisor, represents the use of an acceptable alternative and does not materially misrepresent the facts or result in an omission of a material fact. If, after appropriate research or consultation, the Covered Officer concludes that the matter has authoritative support and/or does not result in a material misrepresentation, the Covered Officer need do nothing further.

 

·If the Covered Officer concludes that the financial statements or records could be materially misstated as a result of the supervisor’s determination, the Covered Officer should follow the reporting procedures set forth in Section VI of this Code.

 

3
 

 

D.Obligations to the Independent Auditor of the Funds

 

In dealing with the Funds’ independent auditor, Covered Officers must be candid and not knowingly misrepresent facts or knowingly fail to disclose material facts, and must respond to specific inquiries and requests by the Funds’ independent auditor.

 

Covered Officers must not take any action, or direct any person to take any action, to fraudulently influence, coerce, manipulate or mislead the Funds’ independent auditor in the performance of an audit of the Funds’ financial statements for the purpose of rendering such financial statements materially misleading.

 

IV.Full, Fair, Accurate, Timely and Understandable Disclosure

 

It is the Funds’ policy to provide full, fair, accurate, timely, and understandable disclosure in reports and documents that the Funds file with, or submits to, the SEC and in any other public communications by the Funds. The Funds have designed and implemented Disclosure Controls and Procedures to carry out this policy.

 

Covered Officers are expected to familiarize themselves with the disclosure requirements generally applicable to the Funds, and to use their best efforts to promote, facilitate, and prepare full, fair, accurate, timely, and understandable disclosure in all reports and documents that the Funds file with, or submits to, the SEC and in any other public communications by the Funds.

 

Covered Officers must review the Funds’ Disclosure Controls and Procedures to ensure they are aware of and carry out their duties and responsibilities in accordance with the Disclosure Controls and Procedures and the disclosure obligations of the Funds. Covered Officers are responsible for monitoring the integrity and effectiveness of the Funds’ Disclosure Controls and Procedures.

 

V.Compliance with Applicable Laws, Rules and Regulations

 

Covered Officers are expected to know, respect and comply with all laws, rules and regulations applicable to the conduct of the Funds’ business. If a Covered Officer is in doubt about the legality or propriety of an action, business practice or policy, the Covered Officer should seek advice from the Covered Officer’s supervisor or the Funds’ legal counsel.

 

In the performance of their work, Covered Officers must not knowingly be a party to any illegal activity or engage in acts that are discreditable to the Fund.

 

Covered Officers are expected to promote the Funds’ compliance with applicable laws, rules and regulations. To promote such compliance, Covered Officers may establish and maintain mechanisms to educate employees carrying out the finance and compliance functions of the Fund about any applicable laws, rules or regulations that affect the operation of the finance and compliance functions and the Fund generally.

 

4
 

 

VI.Reporting and Accountability

 

All Covered Officers will be held accountable for adherence to this Code. Each Covered Officer must, upon the Funds’ adoption of this Code (or thereafter as applicable, upon becoming a Covered Officer), affirm in writing to the Board that he/she has received, read, and understands this Code by signing the Acknowledgement Form attached hereto as Appendix A. Thereafter, each Covered Officer, on an annual basis, must affirm to the Board that he/she has complied with the requirements of this Code.

 

Covered Officers may not retaliate against any other Covered Officer of the Fund or their affiliated persons for reports of potential violations that are made in good faith.

 

The Fund will follow these procedures in investigating and enforcing this Code:

 

A.Any Covered Officer who knows of any violation of this Code or who questions whether a situation, activity or practice is acceptable must immediately report such practice to the Funds’ Audit Committee. The Audit Committee shall take appropriate action to investigate any reported potential violations. If, after such investigation, the Audit Committee believes that no violation has occurred, the Audit Committee is not required to take any further action. Any matter that the Audit Committee believes is a violation will be reported to the Chairman of the Board of Trustees. The Audit Committee shall respond to the Covered Officer within a reasonable period of time.

 

B.If the Covered Officer is not satisfied with the response of the Audit Committee, the Covered Officer shall report the matter to the Chairman of the Board of Trustees. If the Chairman is unavailable, the Covered Officer may report the matter to any other member of the Board of Trustees. The person receiving the report shall consider the matter, refer it to the full Board of Trustees if he or she deems appropriate, and respond to the Covered Officer within a reasonable amount of time. If the Board of Trustees concurs that a violation has occurred, it will consider appropriate action, which may include review of and appropriate modifications to applicable policies and procedures or notification to appropriate personnel of the investment adviser or its board.

 

C.If the Board of Trustees determines that a Covered Officer violated this Code, failed to report a known or suspected violation of this Code, or provided intentionally false or malicious information in connection with an alleged violation of this Code, the Board of Trustees may take disciplinary action against any such Covered Officer to the extent the Board of Trustees deems appropriate. No Covered Officer will be disciplined for reporting a concern in good faith.

 

To the extent possible and as allowed by law, reports will be treated as confidential. The Fund may report violations of the law to the appropriate authorities.

 

VII.Disclosure of this Code

 

This Code shall be disclosed to the public by at least one of the following methods in the manner prescribed by the SEC, unless otherwise required by law:

 

·Filing a copy of this Code as an exhibit to the Funds’ annual report on Form N-CSR;

 

5
 

 

·Posting the text of this Code on the Funds’ Internet website and disclosing, in its most recent report on Form N-CSR, its Internet address and the fact that it has posted this Code on its Internet website; or

 

·Providing an undertaking in the Funds’ most recent report on Form N-CSR to provide a copy of this Code to any person without charge upon request, and explaining the manner in which such a request may be made.

 

VIII.Waivers

 

Any waiver of this Code, including an implicit waiver, granted to a Covered Officer may be made only by the Board of Trustees or a committee of the Board to which such responsibility has been delegated, and must be disclosed by the Fund in the manner prescribed by law and as set forth above in Section VII (Disclosure of this Code).

 

IX.Amendments

 

This Code may be amended by the affirmative vote of a majority of the Board of Trustees, including a majority of the independent Trustees. Any amendment of this Code must be disclosed by the Fund in the manner prescribed by law and as set forth above in Section VII (Disclosure of this Code), unless such amendment is deemed to be technical, administrative, or otherwise non-substantive. Any amendments to this Code will be provided to the Covered Officers.

 

X.Confidentiality

 

All reports and records prepared or maintained pursuant to this Code will be considered confidential and shall be maintained and protected accordingly. Except as otherwise required by law or this Code, such matters shall not be disclosed to anyone other than the Board of Trustees of the Fund, the Audit Committee, the legal counsel to the Fund, legal counsel to the independent trustees and such other persons as a majority of the Board of Trustees, including a majority of the independent Trustees, shall determine to be appropriate.

 

 

 

 

 

 

Amended: 1/23/2014

 

6
 

 

Appendix A

 

 

 

EGA EMERGING GLOBAL SHARES TRUST
EGA F
RONTIER DIVERSIFIED CORE FUND

 

 

 

Certification and Acknowledgment of Receipt of Code of Ethics for Principal Executive Officers and Principal Financial Officers

 

I acknowledge and certify that I have received a copy of the EGA Emerging Global Shares Trust and the EGA Frontier Diversified Core Fund Code of Ethics for Principal Executive Officers and Principal Financial Officers (the “Code”). I understand and agree that it is my responsibility to read and familiarize myself with the policies and procedures contained in the Code and to abide by those policies and procedures.

 

I acknowledge and certify that I have read and understand the Code.

 

 

 

     
Officer Name (Please Print)   Officer Signature
     
     
     
     
     
    Date

 

 

EX-99.CERT 3 v407841_ex99-cert.htm CERTIFICATIONS

 

EX-99.CERT

 

Certification Pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act

 

 

I, Robert C. Holderith, certify that:

 

1.I have reviewed this report on Form N-CSR of EGA Emerging Global Shares Trust;

 

2.Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4.The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

 

 
 

 

5.The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 

(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

 

Date:  June 3, 2015 /s/ Robert C. Holderith
  Robert C. Holderith, President
  (principal executive officer)

 

 
 

 

Certification Pursuant to Rule 30a-2(a) under the 1940 Act and Section 302 of the Sarbanes-Oxley Act

 

 

I, Susan M. Ciccarone, certify that:

 

1.I have reviewed this report on Form N-CSR of EGA Emerging Global Shares Trust;

 

2.Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which such statements were made, not misleading with respect to the period covered by this report;

 

3.Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;

 

4.The registrant's other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of 1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:

 

(a)Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant, including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;

 

(b)Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;

 

(c)Evaluated the effectiveness of the registrant's disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a date within 90 days prior to the filing date of this report based on such evaluation; and

 

(d)Disclosed in this report any change in the registrant's internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant's internal control over financial reporting; and

 

 
 

 

5.The registrant's other certifying officer(s) and I have disclosed to the registrant's auditors and the audit committee of the registrant's board of directors (or persons performing the equivalent functions):

 

(a)All significant deficiencies and material weaknesses in the design or operation of internal control over financial reporting which are reasonably likely to adversely affect the registrant's ability to record, process, summarize, and report financial information; and

 

(b)Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant's internal control over financial reporting.

 

 

Date:  June 2, 2015 /s/ Susan M. Ciccarone
  Susan M. Ciccarone, Chief Financial Officer
(principal financial officer)

 

 

 

 

 

 

EX-99.906 CERT 4 v407841_ex99-906cert.htm CERTIFICATIONS

 

EX-99.906CERT

 

Certification Pursuant to Rule 30a-2(b) under the 1940 Act and Section 906 of the Sarbanes-Oxley Act

 

I, Robert C. Holderith, President of EGA Emerging Global Shares Trust (the “Registrant”), certify that:

 

1.The Form N-CSR of the Registrant (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

 

2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

 

Date:  June 3, 2015 /s/ Robert C. Holderith
  Robert C. Holderith, President
  (principal executive officer)

 

 

I, Susan M. Ciccarone, Chief Financial Officer of EGA Emerging Global Shares Trust (the “Registrant”), certify that:

 

1.The Form N-CSR of the Registrant (the “Report”) fully complies with the requirements of Section 13(a) or 15(d) of the Securities Exchange Act of 1934, as amended; and

 

2.The information contained in the Report fairly presents, in all material respects, the financial condition and results of operations of the Registrant.

 

 

Date: June 2, 2015 /s/ Susan M. Ciccarone
  Susan M. Ciccarone, Chief Financial Officer
  (principal financial officer)

 

 

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