-----BEGIN PRIVACY-ENHANCED MESSAGE----- Proc-Type: 2001,MIC-CLEAR Originator-Name: webmaster@www.sec.gov Originator-Key-Asymmetric: MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB MIC-Info: RSA-MD5,RSA, Qv6POC9Iy2V6KsPCgDlYPcsULCa+rvvHA6XlwodzhqVFBkuAm00xfe/N/vrDznNu qopV/cpZixlUxP0+vwG5GQ== 0001193125-10-220776.txt : 20100930 0001193125-10-220776.hdr.sgml : 20100930 20100930141854 ACCESSION NUMBER: 0001193125-10-220776 CONFORMED SUBMISSION TYPE: 497 PUBLIC DOCUMENT COUNT: 2 FILED AS OF DATE: 20100930 DATE AS OF CHANGE: 20100930 EFFECTIVENESS DATE: 20100930 FILER: COMPANY DATA: COMPANY CONFORMED NAME: iSHARES INC CENTRAL INDEX KEY: 0000930667 IRS NUMBER: 510396525 STATE OF INCORPORATION: MD FISCAL YEAR END: 0831 FILING VALUES: FORM TYPE: 497 SEC ACT: 1933 Act SEC FILE NUMBER: 033-97598 FILM NUMBER: 101098847 BUSINESS ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: 617 937 5524 MAIL ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 FORMER COMPANY: FORMER CONFORMED NAME: ISHARES INC DATE OF NAME CHANGE: 20000516 FORMER COMPANY: FORMER CONFORMED NAME: WEBS INDEX FUND INC DATE OF NAME CHANGE: 19970211 FORMER COMPANY: FORMER CONFORMED NAME: FOREIGN FUND INC DATE OF NAME CHANGE: 19950524 0000930667 S000004255 iShares MSCI South Africa Index Fund C000011959 iShares MSCI South Africa Index Fund EZA 0000930667 S000004258 iShares MSCI South Korea Index Fund C000011962 iShares MSCI South Korea Index Fund EWY 0000930667 S000004261 iShares MSCI Taiwan Index Fund C000011965 iShares MSCI Taiwan Index Fund EWT 0000930667 S000004264 iShares MSCI Brazil Index Fund C000011968 iShares MSCI Brazil Index Fund EWZ 0000930667 S000018070 iShares MSCI Chile Investable Market Index Fund C000050066 iShares MSCI Chile Investable Market Index Fund ECH 0000930667 S000018072 iShares MSCI Thailand Investable Market Index Fund C000050068 iShares MSCI Thailand Investable Market Index Fund THD 0000930667 S000018073 iShares MSCI Turkey Investable Market Index Fund C000050069 iShares MSCI Turkey Investable Market Index Fund TUR 0000930667 S000021462 iShares MSCI Israel Capped Investable Market Index Fund C000061365 iShares MSCI Israel Capped Investable Market Index Fund EIS 497 1 d497.htm FORM 497 Form 497

 

iShares®

iShares, Inc.

Supplement dated September 30, 2010

to the Prospectuses each dated January 1, 2010 (the “Prospectuses”)

for each of

iShares MSCI Brazil Index Fund,

iShares MSCI Chile Investable Market Index Fund,

iShares MSCI Israel Capped Investable Market Index Fund,

iShares MSCI South Africa Index Fund,

iShares MSCI South Korea Index Fund,

iShares MSCI Taiwan Index Fund,

iShares MSCI Thailand Investable Market Index Fund and

iShares MSCI Turkey Investable Market Index Fund

The information in this Supplement updates information in, and should be read in conjunction with, each Fund’s Prospectus.

Effective immediately, the following paragraph replaces the third paragraph under the Investment Adviser section of each Prospectus.

For its investment advisory services to the Fund, BFA is entitled to receive a management fee from the Fund corresponding to the Fund’s allocable portion of an aggregate management fee based on the aggregate average daily net assets of the following iShares funds: iShares MSCI All Peru Capped Index Fund, iShares MSCI Brazil Index Fund, iShares MSCI Brazil Small Cap Index Fund, iShares MSCI Chile Investable Market Index Fund, iShares MSCI China Small Cap Index Fund, iShares MSCI Indonesia Investable Market Index Fund, iShares MSCI Israel Capped Investable Market Index Fund, iShares MSCI Philippines Investable Market Index Fund, iShares MSCI Poland Investable Market Index Fund, iShares MSCI South Africa Index Fund, iShares MSCI South Korea Index Fund, iShares MSCI Taiwan Index Fund, iShares MSCI Thailand Investable Market Index Fund and iShares MSCI Turkey Investable Market Index Fund. The aggregate management fee is calculated as follows: 0.74% per annum of the aggregate net assets less than or equal to $2.0 billion, plus 0.69% per annum of the aggregate net assets over $2.0 billion, up to and including $4.0 billion, plus 0.64% per annum of the aggregate net assets over $4.0 billion, up to and including $8.0 billion, plus 0.57% per annum of the aggregate net assets over $8.0 billion, up to and including $16.0 billion, plus 0.51% per annum of the aggregate net assets in excess of $16.0 billion.

If you have any questions, please call 1-800-iShares (1-800-474-2737).

 

iShares® is a registered trademark of BlackRock Institutional Trust Company, N.A.

   IS-A-MSCI-S1

 

PLEASE RETAIN THIS SUPPLEMENT

FOR FUTURE REFERENCE


iShares®

iShares, Inc.

Supplement dated September 30, 2010

to the Statement of Additional Information (“SAI”), dated January 1, 2010 for each of

iShares MSCI Brazil Index Fund,

iShares MSCI Chile Investable Market Index Fund,

iShares MSCI Israel Capped Investable Market Index Fund,

iShares MSCI South Africa Index Fund,

iShares MSCI South Korea Index Fund,

iShares MSCI Taiwan Index Fund,

iShares MSCI Thailand Investable Market Index Fund and

iShares MSCI Turkey Investable Market Index Fund

The information in this Supplement updates information in, and should be read in conjunction with, the SAI.

Effective immediately, the following paragraph replaces the second paragraph under the Investment Adviser section on page 46 of the SAI.

For its investment advisory services to the Fund, BFA is entitled to receive a management fee from the Fund corresponding to the Fund’s allocable portion of an aggregate management fee based on the aggregate average daily net assets of the following iShares funds: iShares MSCI All Peru Capped Index Fund, iShares MSCI Brazil Index Fund, iShares MSCI Brazil Small Cap Index Fund, iShares MSCI Chile Investable Market Index Fund, iShares MSCI China Small Cap Index Fund, iShares MSCI Indonesia Investable Market Index Fund, iShares MSCI Israel Capped Investable Market Index Fund, iShares MSCI Philippines Investable Market Index Fund, iShares MSCI Poland Investable Market Index Fund, iShares MSCI South Africa Index Fund, iShares MSCI South Korea Index Fund, iShares MSCI Taiwan Index Fund, iShares MSCI Thailand Investable Market Index Fund and iShares MSCI Turkey Investable Market Index Fund. The aggregate management fee is calculated as follows: 0.74% per annum of the aggregate net assets less than or equal to $2.0 billion, plus 0.69% per annum of the aggregate net assets over $2.0 billion, up to and including $4.0 billion, plus 0.64% per annum of the aggregate net assets over $4.0 billion, up to and including $8.0 billion, plus 0.57% per annum of the aggregate net assets over $8.0 billion, up to and including $16.0 billion, plus 0.51% per annum of the aggregate net assets in excess of $16.0 billion.

If you have any questions, please call 1-800-iShares (1-800-474-2737).

 

iShares® is a registered trademark of BlackRock Institutional Trust Company, N.A.

 

   IS-SAI-MSCI-S1    

 

PLEASE RETAIN THIS SUPPLEMENT

FOR FUTURE REFERENCE

GRAPHIC 3 g103065logo.jpg GRAPHIC begin 644 g103065logo.jpg M_]C_X``02D9)1@`!`@``9`!D``#_[``11'5C:WD``0`$````9```_^X`#D%D M;V)E`&3``````?_;`(0``0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$! M`0$!`0$!`0$!`0$!`0("`@("`@("`@("`P,#`P,#`P,#`P$!`0$!`0$"`0$" M`@(!`@(#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,#`P,# M`P,#`P,#`P,#_\``$0@`%0""`P$1``(1`0,1`?_$`'$```,!`0$````````` M``````@)"@L'!@$!`````````````````````!````8#```%`@('"0$````` M`@,$!08'`0@)`!$2%`H3%2(6(6$U-E9F-S$S-&475Q@X&5@1`0`````````` M``````````#_V@`,`P$``A$#$0`_`.`\1=-;"ZV6[T2+O/?OH%7)&OENL39! MB*46WA82ZD/YWW(B9SRGUJ2IL6:A,7RO!JY:T.C$[B+97-+A0 M4WJ_N!1GM"%60@"%!7,KK!7G324[?1:"5+-JQ4:A6XEJ.2*Y>\L#L3+W)2XS M9NPZL8&463$*0L<)-$(!_P"+R/!Y9SG`O(&P^`15JUWJUJV?Z97;S':87(HK M9-4.MHL,:LE3)XT_0&U7ZI74"23L<7PVB*8$K(`[4_?A01L+2&O6[_.S;C0=TV6=B(]1LZL]N13. M#2F1K%2%&B8WQ;'VQK-0`:WVQ&LE?[L;G[S M:81FHII!91HU+#XG*YG('QA<6*@N?9KO-I)E_192E&(!@+R)*J4@$),G"<:$M'Q^>>,_P"L&J=Q7M[I6,7'5^QS\1'R6U#!89*4CJXMU*]QPY20X(\!4D%B)+`'&,9\Q>`9 M7QGZ0[1T?OIT9YH;Y[+?\B*AT=A5C68R[56"42ED,0AU32*.MD@_/DE"8I5K MFIPC4I(4F%N!RY8W.*$].6H-+'@(0+IE^1C+;ECTUN;3[D_O'M+J;`W-]0.6 MQL;21R)H)`EBV!#D;M!8(YIW)_E:5K*`(0RBS2E17IR!04G,P(`0:3JKU@TH MVYTQD^]D!M$B,4=6[9(E=RFV"0&/2:F7*(MI;M(X_/V4D]PRE=$K>H).2^T, M5DN12@G*09V3`A\`HU+\F-=-X--MCJ*Y4;SW-I'`')Z3O^T[0WQQD:CF6-'_ M`$I%*&:%JR5ASBS,I81&*AY`SD>$/+%EZ47+TN^[[:;7:Q9JJXV-.21K3/DL)2S,$RE=Q"-%-2U+> MO^[99C!>%1WGG\7@#EIFN9[\;WM7K5K#&)K%=G:+Z4N4(89'8=BU MVP)=D(R;-;$-KO!9MAM@EDB.3,LR,1.AY(3L-3T489ZTA2LD)X`-_P"*`'(+ MA[;`SY>8-V&X.?+^SS#*+[QGR_5YX\!0?UCW30<_>?6R^T`EJ)-*X9`%S-5R M5:9Z0NMMS,0(K7*$LK`#!J<$R5U)5G@"'.?:)3A9\@ASG`9O$O3:RZ/ZC\J. MBVLNTM)V+T#IVQ,\M84;@J=A%0YA:38T_A]& M1>N0GX-QY8\`]'<"XH=L=\FKB;>*]S(?-=+?USIBS*'6.)Q2AA-=):"ZWV.X M2^OS3`?TUD&M91@,8">6XE$@%C`@AQ@+P#T"%2H1JU*)(H5MPSC&]4>F)-4( M3%!62#QHSC`",3#/(%D`\@R'(@9\L^>/`9?UCRO=^%["_)V?-'"QER`JW\I[ MU>8^8X!L^-:\*;CMPJP'RL0H1!R%R3@$4!W4`\U:)B&K4)O287DPL+"N+N=' M1\58X;HD06G@YE,SK-N%NQB$^R0[`8@IV+0!:ZA(42)1+`.OIPF'Z`)A,WLL MHPA1_0Q@(@N:%=]78SR!W$VYY\;E6!64'I.]'0=HZSUY%&G$ED[0BKZ$+YS; M[!/C\*GI$Y1B+."49S,!$L52I>M-4 M9S^(2@8\B_%G/@,]>?FS*.ZW_)^@=,C^"/&1"5"-]?F+(O`3]_*=(5I-NN#Z:.)FDI MQ2[6/9,=1NK"!R(L;6<#*E<,(`?73,V%@2@'_`$`^L"?U>C'GC&/`>#X5 M2QOF'9[?U5U(3KTW7UL>ES33K;,CRA5Y'Z50I%07M@UN2+`B`G"CCAB4YO.) M,,,61!1D]-G/U'4TT+@_`987-F,]"1W#O,+D5=FWJ<(K=+SL,5!M7=25A!#C MF4V7F"%B47)M^A-58+QEZPG&C+)R,.!9."#.08P#+>>+-KBT]FJ5SUVLCH[/ MNG!X&K.N@-SJ3JNHZ);),$MT_(08<;6=_P!VY?59CE[S\LY3@;HV!\\_T#7_ M`$O``WH[&NDQFP/18?).Z-N$C0/:>7"V"2P?6/49P;4TN%-[*S$R,+[GVX;' M):44ERYA)-2ID^#"\>HXL`LA#@#^Z*LFRQ>F7-0'9RSMJ%=().B+DHVE/F-% M4"WOC^0-/'15:TOR2GMB7.%Q"F"*^*DH/N(3GQZ.<#W$>41>2$!:@#AVV!\2 MTW5[8:*1&4U8@(\MU]0ULZ7BDD(XPXA8E51MB!Q9SW&P$[ODD;81[M M*4US>3,QI*BX8+:5#",3) MDR\H7RM5>Q(6AVJ0=Y%YPPJD\L1/`7`TC+:G$64=@X*.-9X_\C?,LU;-VIMN MV0TBDL>KC9TAK+7?1L=OOT7`ZH,GH;^=7#:`L^(Q-4A_1*%4<1/;P0FR=DM. MW%59SL*P6695Y&XO"V-'FXK-&M*:9.39\P5 M2II#ZCBS#%[0S8RG#@P8,9$(L`"'S`:ZQ_\`4+I2X)3S0(/8+/`&/\/9OJ M5NYY;/%0Z6RB80X>T\F,D:ZSZ\C-<>V#_H_6@7)(>TM5GVHU+6/#:'`S5!ZU M/^@8P")]`/J#!2.B#7HZ5MEV7<*`G%I+N*9E56;_`,S(C.ZK96FGD3,,YW+A M&-=;%9+C>I*YSQ/-\+#:\R;%DBHYC%])1@HT*0X0=*Y]QWL\'1E_!REN+:4[ MG>>98`Z%47_K9J6FV9:HH8XNF9,FHI&X;6J\R#"1]RNP@/R>V)%#I@W+>20+ M/IP#!.+:7CPBXT;U)5;[;,FK0E780.EK]M1$V>#73@A!?7)N/=;,4E+L<:K?V.%SK4S&2F5&+<[7' M4\N4LRHQT79DJ.H02':LI9049+88R.4 MG-&SC+-4``J`,DP"$^3&WZK..U&AQ--RRZH?V'!/(P;0#AJM7L6LBP5,,P_^ MB.H;;9WZSJJ2(F@9'U1BY0:$HMQ+4)Q-IAYA04,^SZD_Q'K+_P!1?M_[ 7EO\`_P!OOXN_?W]S_P"7?\%_G?@/_]D_ ` end
-----END PRIVACY-ENHANCED MESSAGE-----