0001752724-22-167611.txt : 20220727 0001752724-22-167611.hdr.sgml : 20220727 20220727115342 ACCESSION NUMBER: 0001752724-22-167611 CONFORMED SUBMISSION TYPE: NPORT-P PUBLIC DOCUMENT COUNT: 2 CONFORMED PERIOD OF REPORT: 20220531 FILED AS OF DATE: 20220727 DATE AS OF CHANGE: 20220727 PERIOD START: 20220831 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: NPORT-P SEC ACT: 1940 Act SEC FILE NUMBER: 811-09102 FILM NUMBER: 221109951 BUSINESS ADDRESS: STREET 1: 400 HOWARD STREET CITY: SAN FRANCISCO STATE: CA ZIP: 94105 BUSINESS PHONE: (415) 670-2000 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: 20070126 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 0000930667 S000004247 iShares MSCI Hong Kong ETF C000011951 iShares MSCI Hong Kong ETF EWH NPORT-P 1 primary_doc.xml NPORT-P false 0000930667 XXXXXXXX S000004247 C000011951 iShares, Inc. 811-09102 0000930667 549300MGJZCNMJLBAJ67 400 HOWARD STREET SAN FRANCISCO 94105 800-474-2737 iShares MSCI Hong Kong ETF S000004247 5493006QGDOVMY5SAY54 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Holdings Ltd 25490002BUTSMP94GO68 CLP Holdings Ltd 000000000 3006200.00000000 NS 29960735.74000000 3.794706396553 Long EC CORP HK N 2 N N N Hang Seng Bank Ltd 5493009Z5F07LWZYMK62 Hang Seng Bank Ltd 000000000 1405000.00000000 NS 24547453.06000000 3.109081764687 Long EC CORP HK N 2 N N N Jardine Matheson Holdings Ltd 2138009KENVUNWOLPK41 Jardine Matheson Holdings Ltd 000000000 400500.00000000 NS USD 23178701.61000000 2.935721206132 Long EC CORP BM N 2 N N N Hong Kong & China Gas Co Ltd 254900P7BETXGC7YU827 Hong Kong & China Gas Co Ltd 000000000 20413495.00000000 NS 23080649.02000000 2.923302259091 Long EC CORP HK N 2 N N N Futu Holdings Ltd 213800X4W4ZRESFPTQ37 Futu Holdings Ltd 36118L106 103542.00000000 NS USD 3801026.82000000 0.481422783221 Long EC CORP KY N 1 N N Melco Resorts & Entertainment Ltd 529900NRV6LBR3T6B421 Melco Resorts & Entertainment Ltd 585464100 453963.00000000 NS USD 2560351.32000000 0.324283809841 Long EC CORP KY N 1 N N N HKT Trust & HKT Ltd N/A HKT Trust & HKT Ltd 000000000 7668500.00000000 NS 10558194.10000000 1.337258438344 Long EC CORP XX N 2 N N N BlackRock Funds III 5493008LW2651I1QB503 BlackRock Cash Funds: Institutional, SL Agency Shares 066922519 2549428.05100000 NS USD 2549428.05000000 0.322900312356 Long STIV RF US N 1 N N Power Assets Holdings Ltd 254900JOWYUW1ZX4DF47 Power Assets Holdings Ltd 000000000 2659000.00000000 NS 17361131.88000000 2.198891201075 Long EC CORP HK N 2 N N N Sino Land Co Ltd 529900G5P51053HJVZ92 Sino Land Co Ltd 000000000 6566000.00000000 NS 9295476.13000000 1.177327654288 Long EC CORP HK N 2 N N N SITC International Holdings Co Ltd 529900JUV4MOM9CE3V12 SITC International Holdings Co Ltd 000000000 2506000.00000000 NS 9463948.98000000 1.198665748488 Long EC CORP KY N 2 N N N ESR Cayman Ltd 549300C81AR42BZUFZ09 ESR Cayman Ltd 000000000 3648800.00000000 NS 10792789.76000000 1.366971381955 Long EC CORP KY N 2 N N N Wharf Real Estate Investment Co Ltd 529900QLPKS8U9QOPB59 Wharf Real Estate Investment Co Ltd 000000000 3185150.00000000 NS 15370288.53000000 1.946738982240 Long EC CORP KY N 2 N N N Sun Hung Kai Properties Ltd 529900LUMD393RD3S874 Sun Hung Kai Properties Ltd 000000000 2379000.00000000 NS 29085807.34000000 3.683891481164 Long EC CORP HK N 2 N N N Techtronic Industries Co Ltd 549300HZW2SBE758OK89 Techtronic Industries Co Ltd 000000000 2273147.00000000 NS 29695093.56000000 3.761061225473 Long EC CORP HK N 2 N N N BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES 5493008LW2651I1QB503 BlackRock Cash Funds: Treasury, SL Agency Shares 066922477 1660000.00000000 NS USD 1660000.00000000 0.210248929563 Long STIV RF US N 1 N N N Galaxy Entertainment Group Ltd 549300ZSEBV3HR826S10 Galaxy Entertainment Group Ltd 000000000 3942000.00000000 NS 20998847.43000000 2.659629635078 Long EC CORP HK N 2 N N N Link REIT 529900XUE70U36QX5M62 Link REIT 000000000 3751600.00000000 NS 33923284.12000000 4.296586851516 Long EC HK N 2 N N N New World Development Co Ltd 2549008GWMWXTIRL4S48 New World Development Co Ltd 000000000 2976266.00000000 NS 11326469.42000000 1.434565103187 Long EC CORP HK N 2 N N N Budweiser Brewing Co APAC Ltd 549300YF1MR4GTF18132 Budweiser Brewing Co APAC Ltd 000000000 3427500.00000000 NS 9097856.12000000 1.152297897924 Long EC CORP KY N 2 N N N WH Group Ltd 254900A4AYEDRWYSE928 WH Group Ltd 000000000 16016000.00000000 NS 12246906.91000000 1.551144017044 Long EC CORP KY N 2 N N N ICE Futures U.S., Inc. 5493004R83R1LVX2IL36 MSCI EAFE JUN22 000000000 82.00000000 NC USD 225407.29000000 0.028549181589 N/A DE US N 1 ICE Futures U.S., Inc. 5493004R83R1LVX2IL36 Long ICE US mini MSCI EAFE Index Futures MFSM2 INDEX 2022-06-17 8126292.71000000 USD 225407.29000000 N N N CK Hutchison Holdings Ltd 254900Z8HM1VEPOQ2G79 CK Hutchison Holdings Ltd 000000000 4750267.00000000 NS 33649093.07000000 4.261858914915 Long EC CORP KY N 2 N N N CK Infrastructure Holdings Ltd 5299005U11RQ1C27MR12 CK Infrastructure Holdings Ltd 000000000 1262500.00000000 NS 8451095.72000000 1.070381824560 Long EC CORP BM N 2 N N N Henderson Land Development Co Ltd 529900SYQB7IVR9QGN76 Henderson Land Development Co Ltd 000000000 2861762.00000000 NS 12126244.21000000 1.535861364326 Long EC CORP HK N 2 N N N Swire Pacific Ltd 549300KZOZHII0DGF611 Swire Pacific Ltd 000000000 1077500.00000000 NS 6537484.23000000 0.828011482769 Long EC CORP HK N 2 N N N Xinyi Glass Holdings Ltd 52990082YXVVZFK1QJ17 Xinyi Glass Holdings Ltd 000000000 3732000.00000000 NS 9433171.21000000 1.194767559815 Long EC CORP KY N 2 N N N Chow Tai Fook Jewellery Group Ltd 254900VXRL7SRSF44G79 Chow Tai Fook Jewellery Grou 000000000 3814200.00000000 NS 6602248.38000000 0.836214249764 Long EC CORP KY N 2 N N N HK Electric Investments & HK Electric Investments Ltd N/A HK Electric Investments & HK Electric Investments Ltd 000000000 6105500.00000000 NS 5843142.14000000 0.740068903749 Long EC CORP XX N 1 N N N Hongkong Land Holdings Ltd 213800XCHYNRPAYGXW28 Hongkong Land Holdings Ltd 000000000 2284800.00000000 NS USD 10570110.84000000 1.338767764747 Long EC CORP BM N 2 N N N Sands China Ltd 549300EVO6UZDGY05787 Sands China Ltd 000000000 4565200.00000000 NS 8723841.69000000 1.104926733136 Long EC CORP KY N 2 N N N AIA Group Ltd ZP5ILWVSYE4LJGMMVD57 AIA Group Ltd 000000000 17462200.00000000 NS 180911596.40000000 22.91353583661 Long EC CORP HK N 2 N N N CK Asset Holdings Ltd 5299006GJZSGP78B8S35 CK Asset Holdings Ltd 000000000 3738267.00000000 NS 24374283.06000000 3.087148748343 Long EC CORP KY N 2 N N N 2022-06-29 iShares, Inc. Ann Frechette Ann Frechette Assistant Treasurer XXXX NPORT-EX 2 NPORT_0BI1_20048849_0522.htm

 

Schedule of Investments (unaudited) iShares® MSCI Hong Kong ETF
May 31, 2022 (Percentages shown are based on Net Assets)

 

Security  Shares   Value 
         
Common Stocks          
           
Banks — 6.5%          
BOC Hong Kong Holdings Ltd.   6,899,000   $26,509,035 
Hang Seng Bank Ltd.   1,407,200    24,585,890 
         51,094,925 
Beverages — 1.1%          
Budweiser Brewing Co. APAC Ltd.(a)   3,427,500    9,097,856 
           
Building Products — 1.2%          
Xinyi Glass Holdings Ltd.   3,732,000    9,433,171 
           
Capital Markets — 12.1%          
Futu Holdings Ltd., ADR(b)(c)   114,882    4,217,318 
Hong Kong Exchanges & Clearing Ltd.   2,116,426    91,319,681 
         95,536,999 
Diversified Telecommunication Services — 1.3%          
HKT Trust & HKT Ltd., Class SS   7,668,500    10,558,194 
           
Electric Utilities — 7.8%          
CK Infrastructure Holdings Ltd.   1,262,500    8,451,096 
CLP Holdings Ltd.   3,006,200    29,960,736 
HK Electric Investments & HK Electric Investments Ltd., Class SS   6,105,500    5,843,142 
Power Assets Holdings Ltd.   2,659,000    17,361,132 
         61,616,106 
Equity Real Estate Investment Trusts (REITs) — 4.3%      
Link REIT   3,751,600    33,923,284 
           
Food Products — 1.6%          
WH Group Ltd.(a)   16,067,000    12,285,905 
           
Gas Utilities — 2.9%          
Hong Kong & China Gas Co. Ltd.   20,413,495    23,080,649 
           
Hotels, Restaurants & Leisure — 3.8%          
Galaxy Entertainment Group Ltd.   3,942,000    20,998,847 
Sands China Ltd.(b)   4,565,200    8,723,842 
         29,722,689 
Industrial Conglomerates — 7.2%          
CK Hutchison Holdings Ltd.   4,756,267    33,691,595 
Jardine Matheson Holdings Ltd.   400,500    23,178,702 
         56,870,297 
Insurance — 22.7%          
AIA Group Ltd.   17,290,600    179,133,789 
           
Machinery — 4.0%          
Techtronic Industries Co. Ltd.   2,419,147    31,602,354 
           
Marine — 1.2%          
SITC International Holdings Co. Ltd.   2,506,000    9,463,949 
Security  Shares   Value 
         
Real Estate Management & Development — 18.4%          
CK Asset Holdings Ltd.   3,738,267   $24,374,283 
ESR Cayman Ltd.(a)(b)   3,648,800    10,792,790 
Hang Lung Properties Ltd.   4,047,000    7,562,991 
Henderson Land Development Co. Ltd.   2,861,762    12,126,244 
Hongkong Land Holdings Ltd.   2,284,800    10,570,111 
New World Development Co. Ltd.   2,976,266    11,326,469 
Sino Land Co. Ltd.   6,522,000    9,233,185 
Sun Hung Kai Properties Ltd.   2,547,000    31,139,786 
Swire Pacific Ltd., Class A   1,077,500    6,537,484 
Swire Properties Ltd.   2,525,000    6,173,583 
Wharf Real Estate Investment Co. Ltd.   3,185,150    15,370,289 
         145,207,215 
Road & Rail — 2.0%          
MTR Corp. Ltd.   2,944,583    15,883,085 
           
Specialty Retail — 0.8%          
Chow Tai Fook Jewellery Group Ltd.(b)   3,814,200    6,602,248 
           
Total Common Stocks — 98.9%          
(Cost: $924,913,553)        781,112,715 
           
Short-Term Securities          
           
Money Market Funds — 0.6%          
BlackRock Cash Funds: Institutional, SL Agency Shares, 0.87%(d)(e)(f)   2,620,299    2,620,299 
BlackRock Cash Funds: Treasury, SL Agency Shares, 0.72%(d)(e)   1,660,000    1,660,000 
         4,280,299 
Total Short-Term Securities — 0.6%          
(Cost: $4,280,367)        4,280,299 
           
Total Investments in Securities — 99.5%          
(Cost: $929,193,920)        785,393,014 
           
Other Assets Less Liabilities — 0.5%.        4,122,477 
           
Net Assets — 100.0%.       $789,515,491 

 

(a)Security exempt from registration pursuant to Rule 144A under the Securities Act of 1933, as amended. These securities may be resold in transactions exempt from registration to qualified institutional investors.
(b)Non-income producing security.
(c)All or a portion of this security is on loan.
(d)Affiliate of the Fund.
(e)Annualized 7-day yield as of period end.
(f)All or a portion of this security was purchased with the cash collateral from loaned securities.


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Schedule of Investments (unaudited) (continued) iShares® MSCI Hong Kong ETF
May 31, 2022

  

Affiliates

 

Investments in issuers considered to be affiliate(s) of the Fund during the period ended May 31, 2022 for purposes of Section 2(a)(3) of the Investment Company Act of 1940, as amended, were as follows:

 

Affiliated Issuer  Value at
08/31/21
   Purchases
at Cost
   Proceeds
from Sale
   Net Realized
Gain (Loss)
   Change in
Unrealized
Appreciation
(Depreciation)
   Value at
05/31/22
   Shares
Held at
05/31/22
   Income   Capital
Gain
Distributions
from
Underlying
Funds
 
BlackRock Cash Funds: Institutional, SL Agency Shares  $14,915,960   $   $(12,293,733)(a)  $(1,860)  $(68)  $2,620,299    2,620,299   $523,775(b)  $ 
BlackRock Cash Funds: Treasury, SL Agency Shares   1,700,000        (40,000)(a)           1,660,000    1,660,000    1,681     
                  $(1,860)  $(68)  $4,280,299        $525,456   $ 

 

(a)Represents net amount purchased (sold).

(b)All or a portion represents securities lending income earned from the reinvestment of cash collateral from loaned securities, net of fees and collateral investment expenses, and other payments to and from borrowers of securities.

 

Derivative Financial Instruments Outstanding as of Period End

 

Futures Contracts

 

Description 

Number of

Contracts

  

Expiration

Date

 

Notional

Amount

(000)

  

Value/

Unrealized

Appreciation

(Depreciation)

 
Long Contracts                  
MSCI EAFE Index   80   06/17/22  $8,148   $226,361 

 

Fair Value Measurements

 

Various inputs are used in determining the fair value of financial instruments. These inputs to valuation techniques are categorized into a fair value hierarchy consisting of three broad levels for financial reporting purposes as follows: 

Level 1 – Unadjusted price quotations in active markets/exchanges for identical assets or liabilities that each Fund has the ability to access;

Level 2 – Other observable inputs (including, but not limited to, quoted prices for similar assets or liabilities in markets that are active, quoted prices for identical or similar assets or liabilities in markets that are not active, inputs other than quoted prices that are observable for the assets or liabilities (such as interest rates, yield curves, volatilities, prepayment speeds, loss severities, credit risks and default rates) or other market-corroborated inputs); and

Level 3 – Unobservable inputs based on the best information available in the circumstances, to the extent observable inputs are not available (including the BlackRock Global Valuation Methodologies Committee’s (the “Global Valuation Committee’s”) assumptions used in determining the fair value of financial instruments).

 

The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). Accordingly, the degree of judgment exercised in determining fair value is greatest for instruments categorized in Level 3. The inputs used to measure fair value may fall into different levels of the fair value hierarchy. In such cases, for disclosure purposes, the fair value hierarchy classification is determined based on the lowest level input that is significant to the fair value measurement in its entirety. Investments classified within Level 3 have significant unobservable inputs used by the Global Valuation Committee in determining the price for Fair Valued Investments. Level 3 investments include equity or debt issued by privately held companies or funds. There may not be a secondary market, and/or there are a limited number of investors. The categorization of a value determined for financial instruments is based on the pricing transparency of the financial instruments and is not necessarily an indication of the risks associated with investing in those securities. For information about the Fund’s policy regarding valuation of financial instruments, refer to its most recent financial statements.

 

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Schedule of Investments (unaudited) (continued) iShares® MSCI Hong Kong ETF
May 31, 2022

 

Fair Value Measurements (continued)

 

The following table summarizes the Fund’s financial instruments categorized in the fair value hierarchy. The breakdown of the Fund’s financial instruments into major categories is disclosed in the Schedule of Investments above.

 

   Level 1   Level 2   Level 3   Total 
Investments                
Assets                
Common Stocks  $10,060,460   $771,052,255   $   $781,112,715 
Money Market Funds   4,280,299            4,280,299 
   $14,340,759   $771,052,255   $   $785,393,014 
Derivative financial instruments(a)                    
Assets                    
Futures Contracts  $226,361   $   $   $226,361 

 

(a)Derivative financial instruments are futures contracts. Futures contracts are valued at the unrealized appreciation (depreciation) on the instrument.

 

Portfolio Abbreviations - Equity

 

ADR American Depositary Receipt
REIT Real Estate Investment Trust

 

3