ishares Cali AMT-Free Muni Bond ETF (CMF) Summary Description Historical prices (1 year) RATINGS* DIAMONDS* ETFG RISK RATING 4.15
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1 ishares Cali AMT-Free Muni Bond ETF (CMF) Tearsheet as of 7:43 pm, April 26, Summary RATINGS* DIAMONDS* ETFG RISK RATING 4.15 Description ishares California AMT-Free Bond ETF is an exchange-traded fund incorporated in the USA. The ETF seeks to track the investment results of an index composed of investment-grade municipal bonds issued in the State of California. Inception Date: 10/05/2007 Expense Ratio: 0.25% Related Index: S&P California Municipal Bond TR Historical prices (1 year) Last Change 0.07 (0.06%) Last Volume 27 Bid Ask High Low Open Previous Close Volume 3K Dividend Yield 2.98% Beta wk High wk Low Date 4/25/2014 Time 6:40:04 PM Mar 27 Apr 04 Apr 11 Apr 21 Apr 25 Key - Green Diamond Reward Ratings Key - Red Diamond Risk Ratings Key: Key: Underperform Market Perform Outperform Low Risk Moderate Risk High Risk (c) ETF Global Page 1 of 6
2 Exposure Geographic Exposure United States Currency Exposure USD Sector Exposure Municipal Cash and Equivalents Industry Group Exposure Services 96.3% Industry Exposure Business Services Sub-Industry Exposure Business Services Coupon Exposure Maturity Exposure 0-2% 2-4% % 6-8% 17.4% % 7.9% % 6.6% 19.6% 4.2% % % (c) ETF Global Page 2 of 6
3 Top Holdings Ticker Fund Ticker Constituent Name Country Currency Weight Shares Market Value 1 ATn24412 CMF State of California USD 1.42% M 2 ATn24413 CMF CALIFORNIA ST DEPT WTR RES PWR SUP 5 5/1/ % M 3 ATn24414 CMF California State Economic Recovery USD 0.98% M 4 ATn24415 CMF State of California USD 0.90% M 5 ATn24416 CMF State of California USD 0.87% M 6 ATn24417 CMF California State Economic Recovery USD 0.83% M 7 ATn24419 CMF UNIVERSITY CALIF REVS FOR PREV 5 5/15/ % M 8 ATn24418 CMF California State Department of Water Resources Power Supply Reve USD 0.81% M 9 ATn24420 CMF Los Angeles Community College District, California USD 0.79% M 10 ATn24421 CMF BLACKROCK LIQUIDITY FDS - 12/31/ % M 11 ATn24422 CMF Los Angeles California Department Airports Airport Revenue USD 0.79% M 12 ATn24423 CMF California State Economic Recovery USD 0.76% M 13 ATn24424 CMF BAY AREA TOLL AUTH CALIF TOLL 5 4/1/ % M 14 ATn24425 CMF State of California USD 0.70% M 15 ATn24426 CMF Los Angeles Unified School District (CA) USD 0.69% M 16 ATn24427 CMF Los Angeles California Department Water and Power Revenue USD 0.69% M 17 ATn24428 CMF CALIFORNIA ST DEPT WTR RES PWR SUP 5 5/1/ % M 18 ATn24429 CMF California State Department of Water Resources Power Supply Reve USD 0.63% M 19 ATn24430 CMF California State Department of Water Resources Power Supply Reve USD 0.62% M 20 ATn24431 CMF California State Economic Recovery USD 0.62% M Product Info Service Providers Tax Classification Administrator State Street Bank and Trust Company Tax Classification Regulated Investment Company Advisor BlackRock Fund Advisors Commodity Pool Operator - Commodity Trading Advisor - Custodian State Street Bank and Trust Company Depositor - Depository - Distributor BlackRock Investments, LLC Futures Commission Merchant - Expenses Management Fee.250% Expenses.000% Total Expenses.250% Fee Waivers.000% Net Expenses.250% General Partner - Marketing Agent - Pool Manager - Pool Tax Administrator - Portfolio Manager James Mauro, Scott Radell Subadvisor - Trust Processing Agent - Transfer Agent State Street Bank and Trust Company Trust Sponsor - Trustee - Additional Information Fiscal Year End February 28 Distribution Frequency Monthly Listing Exchange NYSE Arca, Inc. Creation Unit Size 50,000 Creation Fee $ SEC Series Id S SEC Class Id C CTA NAV Symbol CMF.NV CTA Est Cash Symbol CMF.SO ETFG Index Membership Index #1 ETFG Global Composite CTA Total Cash Symbol CTA IOPV Symbol CMF.TC CMF.IV Index #2 Index #3 Index #4 ETFG Global Fixed Income Index ETFG US & Canada Index ETFG Global 500 Index (c) ETF Global Page 3 of 6
4 Performance * 2010 Performance 2011 Performance 2012 Performance 2013 Performance 2014 Performance 4.18% Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q4 Q1 Q2 Q3 Q % Year Q1 Q2 Q3 Q4 Total % 1.17% 2.61% % -6.35% % 4.18% 4.05% 1.13% 12.08% % 0.68% 2.69% -1.00% 4.07% % -5.83% 0.73% -0.08% -5.64% % 1.20% % MTD YTD 1 Year 3 Year 5 Year 1.20% 5.30% -0.81% 11.23% 9.05% Peer Group Stats (Fixed Income) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 0.91% 1.02% 1.40% -2.01% 2.64% Peer Low -5.72% -5.72% -4.70% % % Peer 25th 0.13% -0.04% 0.04% -3.78% 0.00% Peer Median 0.57% 0.48% 0.81% -0.93% 0.00% Peer 75th 1.38% 1.70% 2.16% 0.00% 4.37% Peer High 10.59% 10.78% 9.51% 18.60% 41.46% Number of Funds Fund Return 1.57% 1.40% 2.38% -0.88% 11.48% Fund Percentile 82% 73% 76% 52% 91% Peer Group Stats (Municipals) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 0.85% 1.12% 1.32% -2.95% 5.28% Peer Low -0.20% -0.47% -0.42% % -1.00% Peer 25th 0.09% -0.14% -0.09% -5.34% 0.40% Peer Median 1.02% 1.36% 1.48% -2.68% 5.19% Peer 75th 1.52% 2.18% 2.45% -0.48% 9.07% Peer High 2.33% 3.69% 3.74% 0.20% 19.20% Number of Funds Fund Return 1.57% 1.40% 2.38% -0.88% 11.48% Fund Percentile 73% 55% 73% 61% 91% (c) ETF Global Page 4 of 6
5 Peer Group Stats (Broad Municipals) 1 Month 3 Month 6 Month 1 Year 3 Year Peer Ave. Return 0.89% 1.00% 1.13% -2.24% 4.92% Peer Low -0.08% -0.40% -0.42% -6.47% -1.00% Peer 25th 0.09% -0.16% -0.17% -3.25% 0.90% Peer Median 0.93% 0.63% 1.15% -2.65% 5.55% Peer 75th 1.55% 1.72% 2.31% -0.52% 7.88% Peer High 2.33% 3.69% 3.48% 0.14% 11.95% Number of Funds Fund Return 1.57% 1.40% 2.38% -0.88% 11.48% Fund Percentile 68% 60% 80% 60% 96% * - as of 04/25/2014. All return calculations are based off of price only and do not include dividend reinvestment. All returns are cumulative unless stated otherwise. Fund Flows 1 Week 2 Week 1 Month 3 Month $337.64K $1.23M $3.58M $22.38M Fund Statistics Risk and Reward Diamond Ratings Dynamics Risk & Reward 4.35 Mar 17 Return and Risk Statistics Mar 26 Apr 7 Apr 16 Apr 25 Statistics 1 year 3 year 5 year Annualized Return -0.81% 3.61% 1.75% Beta Standard Deviation 6.95% 6.80% 7.23% Sharpe Ratio Treynor Ratio Sortino Ratio All return calculations are based off of price only and do not include dividend reinvestment. (c) ETF Global Page 5 of 6
6 DISCLAIMERS Assumptions, opinions and estimates constitute our judgment as of the date of this material and are subject to change without notice. ETF Global LLC ( ETFG ) and its affiliates and any third-party providers, as well as their directors, officers, shareholders, employees or agents (collectively ETFG Parties) do not guarantee the accuracy, completeness, adequacy or timeliness of any information, including ratings and are not responsible for errors and omissions or for the results obtained from the use of such information and ETFG Parties shall have no liability for any errors, omissions, or interruptions therein, regardless of the cause, or for the results obtained from the use of such information. ETFG PARTIES DISCLAIM ANY AND ALL EXPRESS OR IMPLIED WARRANTIES, INCLUDING, BUT NOT LIMITED TO, ANY WARRANTIES OF MERCHANTABILITY, SUITABILITY OR FITNESS FOR A PARTICULAR PURPOSE OR USE. In no event shall ETFG Parties be liable to any party for any direct, indirect, incidental, exemplary, compensatory, punitive, special or consequential damages, costs, expenses, legal fees, or losses (including, without limitation, lost income or lost profits and opportunity costs) in connection with any use of the information contained in this document even if advised of the possibility of such damages. ETFG ratings are statements of opinion as of the date they are expressed and not statements of fact or recommendations to purchase, hold, or sell any securities or to make any investment decisions. ETFG ratings should not be relied on when making any investment or other business decision. ETFG s opinions and analyses do not address the suitability of any security. ETFG does not act as a fiduciary or an investment advisor. While ETFG has obtained information from sources they believe to be reliable, ETFG does not perform an audit or undertake any duty of due diligence or independent verification of any information it receives. ETFG keeps certain activities of its business units separate from each other in order to preserve the independence and objectivity of their respective activities. As a result, certain business units of ETFG may have information that is not available to other ETFG business units. ETFG has established policies and procedures to maintain the confidentiality of certain non-public information received in connection with each analytical process. ETFG may receive compensation for its ratings and certain analyses. ETFG reserves the right to disseminate its opinions and analyses. ETFG's public ratings and analyses are made available on its Websites, (free of charge) and may be distributed through other means, including via ETFG publications and third party redistributors. This material is not intended as an offer or solicitation for the purchase or sale of any security or other financial instrument. Securities, financial instruments or strategies mentioned herein may not be suitable for all investors. Any opinions expressed herein are given in good faith, are subject to change without notice, and are only correct as of the stated date of their issue. Prices, values, or income from any securities or investments mentioned in this report may fall against the interests of the investor and the investor may get back less than the amount invested. Where an investment is described as being likely to yield income, please note that the amount of income that the investor will receive from such an investment may fluctuate. Where an investment or security is denominated in a different currency to the investor's currency of reference, changes in rates of exchange may have an adverse effect on the value, price or income of or from that investment to the investor. The information contained in this report does not constitute advice on the tax consequences of making any particular investment decision. This material does not take into account your particular investment objectives, financial situations or needs and is not intended as a recommendation of particular securities, financial instruments or strategies to you nor is it considered to be investment advice. Before acting on any recommendation in this material, you should consider whether it is suitable for your particular circumstances and, if necessary, seek professional advice. (c) ETF Global Page 6 of 6
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