AMUNDI ETF MSCI EM ASIA UCITS ETF

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1 AMUNDI ETF MSCI EM ASIA UCITS ETF Annual report March 2016 AMUNDI S ASSET MANAGEMENT UCITS Fund Manager: AMUNDI ASSET MANAGEMENT Delegated fund accountant: CACEIS FUND ADMINISTRATION FRANCE Custodian: CACEIS BANK FRANCE Auditors: PRICEWATERHOUSECOOPERS AUDIT

2 Contents Pages Informations about the Fund 3 Annual Report 7 Significant events during the financial period 10 Specific details 11 Regulatory informations 12 Auditor's Certification 13 Annual accounts 16 Balance Sheet 17 Balance Sheet Liabilities 18 Off-balance sheet 19 Income Statement 20 Notes to the annual accounts 21 Accouting rules and methods 22 Changes in net assets 25 Table of profit (loss) of the fund over the past five financial periods 33 Portfolio Listing Annual Report on 03/31/16 2

3 Informations about the Fund Classification International equities. Determination and allocation of distributable sums Accumulation and/or distribution for both unit categories (EUR and USD). Tax treatment The Fund is eligible for the Plan d Epargne en Actions ("PEA" reserved for French investors) and life insurance policies. The Fund may provide a support vehicle for life insurance policies denominated in units of account. The UCITS, by its nature, is not subject to taxation. However, unitholders may be taxed on any income distributed by the Fund or when they sell Fund units. The tax treatment applicable to amounts distributed by the Fund or unrealised or realised capital gains or losses will depend on the individual unitholder's tax situation, residence for tax purposes and/or the investment jurisdiction of the Fund. If an investor is uncertain of his or her tax position, the investor should consult a financial advisor or a professional investment consultant to determine the tax rules applicable to his or her particular situation before any investment. Some income distributed by the UCITS to unitholders residing outside France may be subject to withholding tax in France. Benchmark index The Fund s benchmark index is the USD-denominated MSCI Emerging Markets Asia Indexwith net dividends reinvested (net return). The MSCI Emerging Markets Asia Index is an "equities" index calculated and published by the international index supplier MSCI Inc. ("MSCI"). The equities in the MSCI Emerging Markets Asia Index are leading securities traded in the major equity markets of Asia's emerging markets. Management fees and commissions Administrative and management fees for any unit category: 0.20% including tax. Subscription fees received by the Fund for any unit category: None. In compliance with current regulations, this mutual fund has, during the financial period just ended, levied charges at rates which are in line with those stated in the Prospectus and set out in the paragraph Management Fees and use under the following headings: - Notes to the annual accounts/management fees. - Further Details/Subscription and/or redemption fees/management fees. Investment Objective The Fund s investment objective is to track the performance of the MSCI Emerging Markets Asia Index (see Benchmark index section), as closely as possible, whether the Index rises or falls. The Fund is managed so as to achieve a gap between changes in its NAV and changes in the value of the MSCI Emerging Markets Asia Index (referred to below as the MSCI Emerging Markets Asia Index ) as small as possible. The target for maximum tracking error between the Fund s NAV and the value of the MSCI Emerging Markets Asia Index is 2%. If the tracking error exceeds 2%, the objective would nevertheless be to remain below 15% of the volatility of the MSCI Emerging Markets Asia Index. Investment strategy The Fund is managed by index tracking. 1. Strategy employed: The Fund is managed by a technique known as index-tracking with the objective to replicate changes in the performance of the MSCI Emerging Markets Asia Index using a swap-based replication method. Annual Report on 03/31/16 3

4 To maintain the closest possible correlation with the performance of the MSCI Emerging Markets Asia Index, the Fund will buy a portfolio of international equities (the "Portfolio") and an over-the-counter (OTC) total return swap, a financial derivative instrument which turns the exposure to the Portfolio into an exposure to the MSCI Emerging Markets Asia Index. The Fund will comply with the investment rules set forth in Articles R and R of the French Monetary and Financial Code (CMF). The Portfolio comprising directly held assets described in the "Assets used" section, complies with the provisions of Article R of the French Monetary and Financial Code (CMF). The Fund's exposure to the Index achieved through the total return swap may be eligible for exemption ratios applicable to the index-tracking UCITS referred to in Article R of the French Monetary and Financial Code (CMF). That Article stipulates that an index may comprise up to 20% equities or debt securities issued by the same entity; this limit may be raised to 35% maximum for a single issuing entity, when such increase is justified by special market circumstances such as the regulated markets where some marketable securities or some money-market instruments are largely dominant. 2. Assets used (except embedded derivatives): The Fund's exposure to the Index is achieved through the total return swap. The Portfolio consists of the Fund's directly held assets described below. - Equities: The Fund will constantly maintain at least 60% exposure to one or more foreign (non-french) equity markets. The Fund will be permanently 60% exposed at least to the emerging countries' equity markets. Up to 100% of the Fund s net assets will be invested, subject to the legal and regulatory ratios, in international equities (any economic sector, traded on any market). The equities in the Fund's assets will be the equities forming the MSCI Emerging Markets Asia Index and other international equities, from all economic sectors, listed on all markets, including smallcap markets. The equities in the Fund's assets will be chosen to limit costs associated with reproducing the MSCI Emerging Markets Asia Index. Over 75% of the portfolio s value will, at all times, consist of stocks of companies registered in a Member State of the European Union, or in another State which is part of the European Economic Area (EEA) and has signed a tax convention with France that provides for administrative assistance to prevent fraud and tax evasion. This minimum level of equity exposure makes the Plan d Epargne en Actions (French Stock Savings Plan - PEA). - Interest-rate instruments: Up to 25% of the Fund s net assets may be invested in any kind of bond instruments. Portfolio securities will be selected according to management decision and in compliance with the internal credit risk monitoring policy of the Management Company. For the purpose of stock-picking, management does not, neither exclusively nor mechanically, rely on the ratings issued by rating agencies, but bases its buy and sell convictions of a security on its own credit and market analyses. For information, management may specifically deal in securities with minimum ratings, at the time of purchase, of BBB- in the S&P and Moody s scale ("investment grade" rating). The bond issuers selected may be from the private sector or from the public sector (national or local governments, etc.), and private sector debt may account for up to 100% of all debt instruments. Foreign debt instruments will be denominated in the currency of one of the OECD member countries. In order to meet its investment objective and/or manage intermediate financial flows, the Fund may hold up to 10% of its assets in the following: Annual Report on 03/31/16 4

5 - Euro-denominated debt instruments and money-market instruments: Cash flow will be managed through money-market instruments. Portfolio securities will be selected according to management decision and in compliance with the internal credit risk monitoring policy of the Management Company. For the purpose of stock-picking, management does not, neither exclusively nor mechanically, rely on the ratings issued by rating agencies, but bases its buy and sell convictions of a security on its own credit and market analyses. For information, management may specifically deal in securities with minimum ratings of AA in the S&P and Moody s scale. The bond issuers selected may be from the private sector or from the public sector (national or local governments, etc.), and private sector debt may account for up to 100% of all debt instruments. The average maturity of these instruments will not exceed ten years. - UCITS units or shares: The Fund may hold up to 10% of its assets in UCITS units and/or shares. These UCITS are representative of all asset classes, in compliance with the Fund's requirements. They may be UCITS managed by the Management Company, or by other entities, regardless of whether they belong to the Crédit Agricole SA Group, including related companies. 3.Derivatives: The Fund will use derivative financial instruments, including total return equity swaps that swap the value of equities held by the Fund for the MSCI Emerging Markets Asia Index value. Off-balance sheet commitments are calculated by the accrual method of accounting. The Fund may take positions in the following derivatives: Type of market: regulated organised over-the-counter Categories of risk in which the Fund intends to take a position: equity risk interest rate risk currency risk credit risk other risks Nature of positions to be taken, which must be limited to those required to meet the management objective: hedging exposure arbitrage other Types of instruments used: futures: on equities and indices options: on equities and indices total return swaps: on equities and indices total return swap credit derivatives: credit default swaps other Strategies for use of incorporated derivatives to achieve the management objective: constructing synthetic exposure to a particular security, sector and/or to the MSCI Emerging Markets Asia Index via the use of swaps. Annual Report on 03/31/16 5

6 management of intermediate cash flows (dividends, subscriptions/redemptions, etc.) to reach the desired degree of exposure to a particular stock and/or sector and/or to the MSCI Emerging Markets Asia Index via the use of futures. management of intermediate cash flows (dividends, subscriptions/redemptions, etc.) to reach the desired degree of exposure to a particular stock and/or sector and/or to the MSCI Emerging Markets Asia Index via the use of options. These instruments may be used to hedge up to 100% of the Fund s net assets. 4. Securities incorporating derivatives ( embedded derivatives ): None. 5. Deposits and liquid assets: The Fund may hold up to 20% of its net assets in deposits for a maximum term of twelve months. The deposits are used for cash management purposes and help the Fund achieve its management objectives. 6. Borrowing: The Fund may temporarily, and in exceptional cases, borrow up to 10% of its net assets in order to optimise its cash flow management. 7. Temporary acquisitions and sales of securities: None. Over-exposure of the assets: None. All the Fund s commitments on derivatives may not exceed 110% of the net assets. Information on UCITS financial guarantees (collateral) None. Overview of the procedure for choosing intermediaries / counterparties and comments The Management Company generally issues a bid tender. In this case, a comprehensive Request For Proposal ( RFP ) (total return swap and market making) was issued for a portion of the AMUNDI ETF Fund product line. For this reason, neither the Management Company nor the Delegated Fund Manager have undertaken or shall undertake, for this particular Fund, a formal competitive bidding procedure that can be tracked and monitored among counterparties for OTC derivative financial instruments, as the counterparty has already been selected during the comprehensive RFP. The Fund may carry out these transactions with BNP Paribas SA or any other Company of the BNP Paribas SA group as counterparties or intermediaries. Risk profile Equity risk Capital risk Factors that may influence the ability of the Fund to track the performance of the MSCI Emerging Markets Asia Index Currency risk EUR & USD units Risk associated with investments in securities issued by emerging countries Credit risk Counterparty risk related to the tracking method selected Liquidity risk Liquidity risk in a stock market Operational risk Annual Report on 03/31/16 6

7 Annual Report March 2016 The fund s objective is to track the MSCI Emerging Markets Asia index while remaining eligible for the PEA (i.e. the fund undertakes to hold 75% of its assets in PEA-eligible equities at all times). It therefore holds a basket of shares and a performance swap which turns the Fund s equity exposure into an exposure to the MSCI Emerging Markets Asia. Subfund Rolling Performance AMUNDI ETF MSCI EM ASIA UCITS ETF For the period under review, the unit EUR performance is %. The benchmark performance is % with a tracking error of 0.00%. For the period under review, the unit USD performance is %. The benchmark performance is % with a tracking error of 0.00%. Past performance is no guarantee of future performance. Movements in portfolio listing during the period Securities Movements (in amount) Acquisitions Transfers ANHEUSER-BUSCH INBEV 191,953, ,966, BAYER 172,089, ,223, BMW BAYERISCHE MOTOREN WERKE 161,922, ,149, DAIMLER AG 167,069, ,394, BASF SE 171,706, ,784, UNILEVER 159,494, ,459, SIEMENS AG NAMEN 158,882, ,412, E.ON AG NOM. 141,015, ,581, DEUTSCHE TELEKOM AG 129,631, ,935, ING GROEP NV 144,458, ,161, Annual Report on 03/31/16 7

8 Efficient portfolio management (EPM) techniques and Financial derivative instruments a) Exposure obtained through the EPM techniques and Financial derivative instruments Exposure obtained through the EPM techniques and Financial derivative instruments : None. Underlying exposure reached through financial derivative instruments : 579,417, o Swap : 579,417, b) Identity of the counterparty(ies) to EPM techniques and Financial derivative instruments Identity of the counterparty(ies) to EPM techniques Financial derivative instruments (*) BNP PARIBAS FRANCE (*) Excepted derivative listed c) Type and amount of collateral received by the UCITS to reduce counterparty risk Types of financial instruments Amount portfolio currency EPM. Term Deposit. Equities. Bonds. UCITS. Cash Total Financial derivative instruments. Term Deposit. Equities. Bonds. UCITS. Cash Total Annual Report on 03/31/16 8

9 d) Revenues and operational cost/fees from EPM Revenues and operational cost/fees Amount portfolio currency. Revenues (**). Other revenues Total revenues. Direct operational fees. Indirects operational fees. Other fees Total fees (**) Revenues received from loans, repurchase and reverse repurchase agreements Annual Report on 03/31/16 9

10 Significant events during the financial period 29 January 2016: The updated prospectus following the change of the name of the management company: on 12 November 2015 Amundi became Amundi Asset Management, a company of the Amundi group. The paragraph "Risk associated with investments in securities issued by emerging countries" under the heading "Risk profile" was amended as follows: This Fund may be exposed, directly or indirectly, to securities issued by issuers in emerging countries. Investors attention is drawn to the operating and monitoring conditions of these markets that may deviate from the prevailing standards in major international operating areas. Indeed, both upward and downward movements in the market may be more abrupt and more volatile than in developed countries. Moreover, the financial markets in these countries offer less liquidity than those in developed countries. Consequently, investment in these securities may increase the portfolio s risk profile. Adverse market movements may be more abrupt and more volatile than in developed markets and the net asset value of the Fund may, as a result, decline more dramatically and more rapidly. Annual Report on 03/31/16 10

11 Specific details Voting rights In accordance with the Fund s Rules and the Fund Manager s stated policy, the Fund Manager exercises the voting rights attached to the securities held by the Fund and decides on contributions in the form of securities, except where the securities are those of the Fund Manager itself or of any associate company as defined in Art L of the French Labour Code (Code du Travail). Two documents, Voting Policy and Report on the Exercise of Voting Rights, prepared by the Fund Manager in compliance with the current regulations are available upon request. This mutual fund (OPC) has not been selected as one of the funds which currently exercise voting rights. Soft commissions The Fund Manager has received no soft commissions. Movement commission The Fund Manager has received no commissions on trade. Use of credit derivatives The Fund has not used credit derivatives during the period under consideration. Group funds Details of the financial instruments held by the Fund which are issued by the Fund Manager or its associates will be found in the Auditor s Report for the latest financial period (enclosed herein) under the following headings of annuals accounts: Further details. Group financial instruments held by the Fund. Off-balance sheet commitments calculation Off-Balance Sheet commitments are calculated with a Commitment calculation method. Annual Report on 03/31/16 11

12 Regulatory informations The Broker Selection Policy draws up and implements a policy which enables it to comply with the Fund s obligation under Art (iv) while meeting the requirements set out in ArtL of the French CMF. For each class of instrument, the policy selects the organizations that will be commissioned to execute orders. AMUNDI execution policy may be consulted on the AMUNDI website. Investment advice service The Fund Manager has not prepared a Report on Brokerage Expenses since it has not used any investment advice services. Information on environmental, social and governance quality criteria (ESG) Throughout its active management* Amundi, like the entire group, applies strict rules for the integration of extrafinancial criteria (ESG) that form the basis of its liability. Thus it: - excludes direct investment in companies involved in the manufacture or trade in antipersonnel mines and cluster munitions, in accordance with the Ottawa and Oslo Conventions - excludes firms that violate grossly and repeatedly one or more of the 10 principles of the Global Compact. Issuers falling under these two categories are rated G on Amundi's scale (scale from A to G, A being the best and G the worst). Further information on how to take Amundi's ESG criteria into account is available on its websit. Eligibility for PEAs (French personal equity plans) In accordance with the provisions of Article 91, section L, of the French General Tax Code, at least 75% of Fund's assets are invested at all times in the securities and rights referred to in Article L , Section I, sub-section I, paragraphs a, b and c, of the French Monetary and Financial Code. Annual Report on 03/31/16 12

13 Certificate drafted by the Auditor on the annual accounts Annual Report on 03/31/16 13

14 AUDITOR S REPORT FOR THE FINANCIAL PERIOD ENDED 31 MARCH 2016 AMUNDI ETF MSCI EM ASIA UCITS ETF Mutual Fund Governed by the Code monétaire et financier Fund Manager AMUNDI 91-93, boulevard Pasteur Paris Cedex 15 Dear Madam, dear Sir, We submit herewith our report for the financial period ended 31 MARCH 2016 on the following matters, as commissioned by the Fund Manager s Board of Directors: our audit on the annual accounts of the mutual fund AMUNDI ETF MSCI EM ASIA UCITS ETF, as attached hereto; the grounds for our opinion; the auditing checks and specific details required by law. The annual accounts have been drawn up by the Fund Manager; it is our task to give an opinion on these accounts, based on our audit OPINION ON THE ANNUAL ACCOUNTS We have carried out our audit according to the standards of professional practice applicable in France; those standards require the implementation of due diligence sufficient to give a reasonable assurance that the annual accounts in question contain no significant discrepancies. An audit involves checking, by sampling or other selective means, the evidence for the entries (amounts and other details) which appear in the annual accounts. It also involves assessing the accounting standards that have been followed, the significant estimates made, and the way in which the accounts as a whole have been presented. We reckon that the evidence we have gathered is appropriate and sufficient as a basis for our opinion. We hereby certify that the annual accounts have been reliably drafted and are in good order under French accounting rules and standards, and give a fair picture of the outcome of all transactions during the period recently ended, as well as of the mutual fund s assets, liabilities and financial situation at the end of that period. 2. GROUNDS FOR OUR OPINION In accordance with the requirements of article L of the French Commercial Code (Code de commerce) relating to the justification of our assessments, we bring to your attention that our assessments were conducted with regard to evaluating the appropriateness of accounting policies used and the reasonableness of accounting estimates made. PwC: 63 rue de Villiers Neuilly-sur-Seine Cedex France Tel Fax Public Joint-Stock company (SA); share capital Siret No

15 AMUNDI ETF MSCI EM ASIA UCITS ETF These assessments were made as part of our audit of the financial statements taken as a whole, and therefore contributed to the opinion we formed which is expressed in the first part of this report CHECKS AND SPECIFIC DETAILS We have also made the specific checks required by law. We have no qualifications to add concerning the trustworthiness and consistency of the annual accounts with the information given in the Annual Report and in the documents submitted to unit holders concerning the financial situation and the annual accounts. Neuilly sur Seine, date of the electronic signature Document authenticated by electronic signature The Auditor PricewaterouseCoopers Audit Benjamin Moïse

16 Annual accounts Annual Report on 03/31/16 16

17 Balance sheet - asset in EUR Balance Sheet on 03/31/16 Portfolio : AMUNDI ETF MSCI EM ASIA UCITS ETF 03/31/16 03/31/15 FIXED ASSETS, NET DEPOSITS FINANCIAL INSTRUMENTS 581,944, ,171, Equities and similar securities 581,944, ,177, Traded in a regulated market or equivalent 581,944, ,177, Not traded in a regulated market or equivalent Bonds and similar securities Traded in a regulated market or equivalent Not traded in a regulated market or equivalent Credit instruments Traded in a regulated market or equivalent Negotiable credit instruments (Notes) Other credit instruments Not traded in a regulated market or equivalent Collective investment undertakings General-purpose UCITS and alternative investment funds intended for nonprofessionals and equivalents in other countries Other Funds intended for non-professionals and equivalents in other EU Member States General-purpose professional funds and equivalents in other EU Member States and listed securitisation entities Other professional investment funds and equivalents in other EU Member States and listed securitisation agencies Other non-european entities Temporary transactions in securities Credits for securities held under sell-back deals Credits for loaned securities Borrowed securities Securities sold under buy-back deals Other temporary transactions Hedges 2,994, Hedges in a regulated market or equivalent Other hedges 2,994, Other financial instruments RECEIVABLES 249,725, ,725, Forward currency transactions Other 249,725, ,725, FINANCIAL ACCOUNTS 4.17 Cash and cash equivalents 4.17 TOTAL ASSETS 831,669, ,897, Annual Report on 03/31/16 17

18 Balance sheet - liabilities in EUR Balance Sheet Liabilities on 03/31/16 Portfolio : AMUNDI ETF MSCI EM ASIA UCITS ETF 03/31/16 03/31/15 SHAREHOLDERS' FUNDS Capital Allocation Report of distributed items (a) Brought forward (a) 497,460, ,718, ,623, ,694, Allocation Report of distributed items on Net Income (a,b) -58,236, ,141, Result (a,b) Total net shareholders' funds * Net Assets 119, ,685, ,117, ,953, FINANCIAL INSTRUMENTS Transfers of financial instruments Temporary transactions in securities Sums owed for securities sold under buy-back deals Sums owed for borrowed securities Other temporary transactions Hedges Hedges in a regulated market or equivalent Other hedges 2,035, ,035, ,035, PAYABLES 249,948, ,944, Forward currency transactions Other 249,948, ,944, FINANCIAL ACCOUNTS 3.75 Short-term credit 3.75 Loans received TOTAL LIABILITIES 831,669, ,897, (a) Including adjusment (b) Decreased interim distribution paid during the business year Annual Report on 03/31/16 18

19 Off balance sheet in EUR Off-balance sheet on 03/31/16 Portfolio : AMUNDI ETF MSCI EM ASIA UCITS ETF 03/31/16 03/31/15 HEDGES Contracts in regulated markets or similar OTC contracts Other commitments OTHER OPERATIONS Contracts in regulated markets or similar OTC contracts Performance swap BNP PARIBAS 30/11/ ,417, ,373, Other commitments Annual Report on 03/31/16 19

20 Income statement in EUR Income Statement on 03/31/16 Portfolio : AMUNDI ETF MSCI EM ASIA UCITS ETF 03/31/16 03/31/15 Revenues from financial operations Revenues from deposits and financial accounts Revenues from equities and similar securities 1,119, ,264, Revenues from bonds and similar securities Revenues from credit instruments Revenues from temporary acquisition and disposal of securities Revenues from hedges Other financial revenues TOTAL (1) 1,119, ,264, Charges on financial operations Charges on temporary acquisition and disposal of securities Charges on hedges Charges on financial debts Other financial charges TOTAL (2) NET INCOME FROM FINANCIAL OPERATIONS (1-2) 1,119, ,264, Other income (3) Management fees and depreciation provisions (4) 1,114, , NET INCOME OF THE BUSINESS YEAR (L ) ( ) 5, ,793, Revenue adjustment (5) 114, , Interim Distribution on Net Income paid during the business year (6) NET PROFIT ( ) 119, ,117, Annual Report on 03/31/16 20

21 Notes to the annual accounts Annual Report on 03/31/16 21

22 Accounting rules and methods The annual accounts are presented as provided by the ANC Regulation repealing Regulation CRC as amended. General accounting principles apply, viz: - fair picture, comparability, ongoing business, - proper practice & trustworthiness, - prudence, - no unreported change in methods from one period to the next. Revenues from fixed-yield securities are recognized on the basis of interest actually received. Acquisitions and disposals of securities are recognized exclusive of costs. The accounting currency of the portfolio is the EURO. The accounting period reported on is 12 months. Asset valuation rules: Financial instruments are initially recognized at historic cost and carried on the Balance Sheet at their current value: this is their latest known market value or, in the absence of a market, is determined by any external means or by recourse to financial models. Differences between the securities current values determined as above and their original historic cost are recognized in the accounts as differences on estimation. Securities denominated in a currency other than that of the portfolio are valued in accordance with the above principle and then converted into the currency of the portfolio at the exchange rate obtained on the valuation date. Deposit: Deposits maturing in three months or sooner are valued according to the linear method. Equities, bonds and other securities traded in a regulated market or equivalent: When calculating the NAV, the equities and other securities traded in a regulated market or equivalent are valued based on the day s closing market price. Bonds and similar securities are valued at the closing price notified by various financial service providers. Interest accrued on bonds and similar securities is calculated up to the date of asset valuation. Equities, bonds and other securities not traded in a regulated market or equivalent: Securities not traded in a regulated market are valued by the Fund Manager using methods based on net equity and yield, taking into account the prices retained in significant recent transactions.. Negotiable credit instruments (Notes): Negotiable credit instruments which are not actively traded in significant amounts are actuarially valued on the basis of a reference rate as specified below, plus any enhancement to represent the issuer s intrinsic characteristics: Notes maturing in one year s time or less: euro interbank offered rate (Euribor); Notes maturing in more than one year s time: the prevailing rate on medium-term interest-bearing Treasury notes (BTAN) or, for the longest Notes, on near-term fungible Treasury bonds (OAT); Annual Report on 03/31/16 22

23 Negotiable credit instruments maturing in three months or sooner may be valued according to the linear method. French Treasury notes are valued using the market rate published daily by the Banque de France. UCITS held: UCITS units or shares are valued at the latest known NAV. Temporary transactions in securities: Securities held under sell-back deals are carried in Assets under credits for securities held under sell-back deals at the amount provided for in the contract, plus accrued interest receivable. Securities sold under buy-back deals are booked to the buying portfolio at their current value. The corresponding debt is booked to the selling portfolio at the value set in the contract plus accrued interest payable. Loaned securities are valued at their current value and carried in Assets under credits for loaned securities at their current value plus accrued interest receivable. Borrowed securities are carried in Assets under borrowed securities at the amount provided for in the contract, and in Liabilities under debts for borrowed securities at the amount provided for in the contract plus accrued interest payable. Hedges: Hedges traded in a regulated market or equivalent: Hedge instruments traded in regulated markets are valued at the day s settlement price. Hedges not trades in a regulated market or equivalent: Swaps: Rate swaps and/or forward currency transactions are valued at their market value according to the price calculated by discounting future interest streams at market interest (and/or exchange) rates. This price is adjusted for default risk. Index swaps are valued actuarially on the basis of a reference rate provided by the counterparty. Other swaps are valued at their market value or are estimated as specified by the Fund Manager. Off-Balance Sheet Commitments: Firm hedging contracts are stated among Off-Balance Sheet Commitments at their market value at the rate used in the portfolio. Conditional hedges are converted into their underlying equivalents. Swap commitments are stated at their nominal value or at an equivalent amount, where there is no nominal value. Management fees: Management fees are calculated on the nominal capital on each valuation. These fees are imputed to the fund s Income Statement. Management fees are paid in full to the Fund Manager, which bears all the fund s operating costs. The management fees do not include dealing costs. Annual Report on 03/31/16 23

24 The percentage of nominal capital charged is 0.20% including taxes. Allocation of net profit: The net profit (loss) for the period is the total of interest, arrears, premiums, allotments and dividends, plus income on ready cash, minus management fees and financial dealing costs. Latent or realised capital gains or losses are not counted as revenue; nor are subscription/redemption fees. The amounts available for distribution are the net profit for the period, plus any sums brought forward, plus or minus the balance of any revenue adjustment accounts relating to the financial period in question. Gains and losses: The net realised gains (deducted from management fees and realised losses) from the financial year will increase the same type of net realized gains from earlier financial years, if the fund hasn t distributed or accumulated its gains and will also increase or reduce the equalization accounts for realised gains. Appropriation methods for the distributable amounts: Distributable amounts Allocation of the net income Allocation of the net realized gains and losses Unit EUR and USD Accumulation and/ or distribution and / or carry forward a decision taken by the management Accumulation and/ or distribution and / or carry forward a decision taken by the management Annual Report on 03/31/16 24

25 Changes in net asset in EUR Change in net assets on 03/31/16 Portfolio : AMUNDI ETF MSCI EM ASIA UCITS ETF 03/31/16 03/31/15 NET ASSETS IN START OF PERIOD 570,953, ,373, Subscriptions (including subscription fees received by the fund) 597,659, ,650, Redemptions (net of redemption fees received by the fund) -473,564, ,909, Capital gains realised on deposits and financial instruments 91,651, ,698, Capital losses realised on deposits and financial instruments -118,153, ,529, Capital gains realised on hedges 1,927,283, ,215, Capital losses realised on hedges -1,965,850, ,723, Dealing costs -150, , Exchange gains/losses 699, , Changes in difference on estimation (deposits and financial instruments) -45,817, ,133, Difference on estimation, period N -3,300, ,516, Difference on estimation, period N-1-42,516, ,382, Changes in difference on estimation (hedges) -5,030, ,798, Difference on estimation, period N -2,035, ,994, Difference on estimation, period N-1-2,994, , Net Capital gains and losses Accumulated from Previous business year Distribution on Net Capital Gains and Losses from previous business year Net profit for the period, before adjustment prepayments 5, ,793, Allocation Report of distributed items on Net Income Interim Distribution on Net Income paid during the business year Other items NET ASSETS IN END OF PERIOD 579,685, ,953, Annual Report on 03/31/16 25

26 BREAKDOWN OF FINANCIAL INSTRUMENTS BY LEGAL OR COMMERCIAL TYPE Amount % ASSETS BONDS AND SIMILAR SECURITIES TOTAL BONDS AND SIMILAR SECURITIES CREDIT INSTRUMENTS TOTAL CREDIT INSTRUMENTS LIABILITIES TRANSACTIONS INVOLVING TRANSFER OF FINANCIAL INSTRUMENTS TOTAL TRANSACTIONS INVOLVING TRANSFER OF FINANCIAL INSTRUMENTS OFF-BALANCE SHEET HEDGES TOTAL HEDGES OTHER OPERATIONS Other 579,417, TOTAL OTHER OPERATIONS 579,417, BREAKDOWN OF ASSET, LIABILITY AND OFF-BALANCE SHEET ITEMS, BY TYPE Fixed rate % Variable rate % Rate subject to review % Other % Assets Deposits Bonds and similar securities Credit instruments Temporary transactions in securities Financial accounts 4.17 Liabilities Temporary transactions in securities Financial accounts Off-balance sheet Hedges Other operations Annual Report on 03/31/16 26

27 BREAKDOWN OF ASSET, LIABILITY AND OFF-BALANCE SHEET ITEMS, BY TIME TO MATURITY < 3 Months % ]3 Months - 1 Year] % ]1-3 Years] % ]3-5 Years] % > 5 Years % Assets Deposits Bonds and similar securities Credit instruments Temporary transactions in securities Financial accounts 4.17 Liabilities Temporary transactions in securities Financial accounts Off-balance sheet Hedges Other operations All hedges are shown in terms of time to maturity of the underlying securities. BREAKDOWN OF ASSET, LIABILITY AND OFF-BALANCE SHEET ITEMS, BY LISTING OR EVALUATION CURRENCY Currency 1 JPY % Currency 2 % Currency 3 % Currency N Others currencies % Assets Deposits Equities and similar securities 107,388, Bonds and similar securities Credit instruments Mutual fund units Temporary transactions in securities Liabilities 107,388, Financial accounts Liabilities Transactions involving transfer of financial instruments Temporary transactions in securities Debts 107,388, Financial accounts Off-balance sheet Hedges Other operations Annual Report on 03/31/16 27

28 BREAKDOWN BY ITEMS OF RECEIVABLES AND PAYABLES Type 03/31/16 Receivables Sales deferred settlement 228,855, Subscription receivable 20,869, Total receivables 249,725, Payables Purchases deferred settlement - 249,725, Management fees - 223, Total of Payables - 249,948, Total payables and receivables - 223, SHAREHOLDERS FUNDS Number of units issued or redeemed Units Value Unit EUR Units subscribed during the period 11,030, ,747, Units redeemed during the period -15,136, ,949, Units in circulation at the end of the period 17,197,726 Unit USD Units subscribed during the period 16,230, ,911, Units redeemed during the period -6,766, ,614, Units in circulation at the end of the period 10,565,850 SUBSCRIPTION AND/OR REDEMPTION FEES Value Unit EUR Total of redemption fees received Total of subscription fees received Total of subscription and/or redemption fees received Annual Report on 03/31/16 28

29 SUBSCRIPTION AND/OR REDEMPTION FEES Value Unit USD Total of redemption fees received Total of subscription fees received Total of subscription and/or redemption fees received MANAGEMENT FEES CHARGEABLE TO THE FUND 03/31/16 Unit EUR Underwriting commission Fixed management fees Percentage set for fixed management fees Variable management fees Trailer fees 788, Unit USD Underwriting commission Fixed management fees Percentage set for fixed management fees Variable management fees Trailer fees 326, COMMITMENTS RECEIVED AND GIVEN 03/31/16 Guarantees received by the fund - including capital guarantees Other commitments received Other commitments given Annual Report on 03/31/16 29

30 FUTHER DETAILS Stock market values of temporarily acquired securities 03/31/16 Securities held under sell-back deals Borrowed securities Stock market values of pledged securities 03/31/16 Financial instruments pledged but not reclassified Financial instruments received as pledges but not recognized in the Balance Sheet Group financial instruments held by the Fund Isin code Name of security 03/31/16 Equities Bonds Notes UCITS Hedges Total group financial instruments Annual Report on 03/31/16 30

31 TABLE OF ALLOCATION OF THE DISTRIBUTABLE SHARE OF THE SUMS CONCERNED TO PROFIT (LOSS) 03/31/16 03/31/15 Sums not yet allocated Brought forward 2,623, Profit (loss) 119, ,117, Total 2,743, ,117, /31/16 03/31/15 Unit EUR Allocation Distribution Brought forward 1,699, ,013, Capitalized Total 1,699, ,013, /31/16 03/31/15 Unit USD Allocation Distribution Brought forward 1,043, , Capitalized Total 1,043, , Annual Report on 03/31/16 31

32 TABLE OF ALLOCATION OF THE DISTRIBUTABLE SHARE OF THE SUMS CONCERNED TO CAPITAL GAINS AND LOSSES 03/31/16 03/31/15 Sums not yet allocated Net Capital gains and losses Accumulated from Previous business year 137,718, Net Capital gains and losses of the business year -58,236, ,141, Allocation Report of distributed items on Net Capital Gains and Losses Total 79,481, ,141, /31/16 03/31/15 Unit EUR Allocation Distribution Net capital gains and losses accumulated per share 49,233, ,677, Capitalized Total 49,233, ,677, /31/16 03/31/15 Unit USD Allocation Distribution Net capital gains and losses accumulated per share 30,247, ,463, Capitalized Total 30,247, ,463, Annual Report on 03/31/16 32

33 TABLE OF PROFIT (LOSS) ANS OTHER TYPICAL FEATURES OF THE FUND OVER THE PAST FIVE FINANCIAL PERIODS 03/30/12 03/28/13 03/31/14 03/31/15 03/31/16 Global Net Assets in EUR 21,545, ,939, ,373, ,953, ,685, AMUNDI ETF MSCI EM ASIA UCITS ETF EUR Net assets in EUR 20,270, ,620, ,457, ,884, ,077, Number of shares/units 1,160,001 4,485,000 2,021,889 21,304,298 17,197,726 NAV per share/unit in EUR in EUR Net capital gains and losses accumulated per share in EUR Net Capital Gains and Losses Accumulated per share in EUR Net income Accumulated per share in EUR Unit brought forward in EUR on the result AMUNDI ETF MSCI EM ASIA UCITS ETF USD Net assets in USD 1,698, ,546, ,909, ,145, ,393, Number of shares/units 73, , ,000 1,101,472 10,565,850 NAV per share/unit in EUR in USD Net capital gains and losses accumulated per share in EUR Net Capital Gains and Losses Accumulated per share in EUR Net income Accumulated per share in EUR Unit brought forward in EUR on the result Annual Report on 03/31/16 33

34 Portfolio listing of financial instruments in EUR Name of security Currency Quantity Market value % Equities and similar securities Listed equities & similar securitie BELGIUM ANHEUSER-BUSCH INBEV EUR 514,811 56,243, DELHAIZE FRERES & CIE LE LION SA MOLENBEEK SAINT JEAN EUR 114,288 10,485, KBC GROUPE EUR 348,000 15,776, SOLVAY EUR 29,000 2,556, TOTAL BELGIUM 85,061, FINLAND NOKIA (AB) OY EUR 2,000,000 10,450, TOTAL FINLAND 10,450, FRANCE AXA EUR 694,444 14,368, ENGIE SA EUR 350,000 4,774, L'OREAL EUR 38,291 6,028, LVMH (LOUIS VUITTON - MOET HENNESSY) EUR 149,874 22,556, SANOFI EUR 262,190 18,578, SCHNEIDER ELECTRIC SE EUR 190,000 10,552, TOTAL EUR 511,331 20,483, VIVENDI EUR 250,000 4,620, TOTAL FRANCE 101,962, GERMANY BASF SE EUR 362,121 24,008, PROSIEBEN SAT.1 MEDIA N EUR 132,106 5,969, SIEMENS AG NAMEN EUR 479,717 44,685, VOLKSWAGEN AG PRIVILIGIEE NON VTG PRF EUR 70,000 7,829, TOTAL GERMANY 82,492, JAPAN ASTELLAS PHARMA JPY 1,686,500 19,705, DAIICHI SANKYO JPY 507,400 9,913, EISAI CO JPY50 JPY 368,500 19,478, SHIONOGI & CO LTD JPY 467,200 19,322, TAKEDA CHEM INDS JPY50 JPY 486,200 19,496, TERUMO CORP JPY50 JPY 618,100 19,472, TOTAL JAPAN 107,388, NETHERLANDS AIRBUS GROUP EUR 299,487 17,475, ASML HOLDING NV EUR 269,185 24,032, ING GROEP NV EUR 2,266,488 24,092, REED ELSEVIER EUR 611,007 9,375, UNILEVER EUR 1,422,622 56,029, TOTAL NETHERLANDS 131,006, Annual Report on 03/31/16 34

35 Portfolio listing of financial instruments in EUR Name of security Currency Quantity Market value % SPAIN TELEFONICA EUR 3,946,591 38,881, TOTAL SPAIN 38,881, UNITED KINGDOM ROYAL DUTCH SHELL EUR 1,157,461 24,700, TOTAL UNITED KINGDOM 24,700, Hedges TOTAL listed equities & similar securities traded in a regulated market or equivalent 581,944, Total equities & similar securities 581,944, Other hedges Other swaps BNP PARIBAS 30/11/2017 EUR 579,417, ,035, Total Other SWAPS -2,035, Total other hedges -2,035, Total hedges -2,035, Receivables 249,725, Debts -249,948, Financial accounts 4.17 Net assets 579,685, AMUNDI ETF MSCI EM ASIA UCITS ETF EUR EUR 17,197, AMUNDI ETF MSCI EM ASIA UCITS ETF USD USD 10,565, Annual Report on 03/31/16 35

36 Amundi Asset Management Anonymous Inc Euros. capital amount Licensed by the French Market Regulator (AMF) as a portfolio management company reg N GP RCS Paris. Registered Office social: 90, boulevard Pasteur Paris France

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