Horizons COMEX Silver ETF (HUZ:TSX)

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1 Interim Report June 30, 2015 Horizons COMEX Silver ETF (HUZ:TSX) Innovation is our capital. Make it yours. ALPHA BENCHMARK BETAPRO

2 Contents MANAGEMENT REPORT OF FUND PERFORMANCE Management Discussion of Fund Performance...1 Financial Highlights...6 Past Performance...9 Summary of Investment Portfolio...10 MANAGER S RESPONSIBILITY FOR FINANCIAL REPORTING...11 FINANCIAL STATEMENTS Statements of Financial Position...12 Statements of Comprehensive Income...13 Statements of Changes in Financial Position...14 Statements of Cash Flows...15 Schedule of Investments...16 Notes to Financial Statements...17

3 Letter from the President: The first half of 2015 has been an interesting time to be an investor. The U.S. and Canadian equity markets have both delivered modest gains on a total return basis; however, those positive returns have been overcast by growing concerns about an inflated stock market and increasing volatility in the global bond market. At Horizons ETFs, we rarely focus over the short-term on where the markets are heading. Instead, we provide investors with the tools they need to navigate changing market conditions and implement their short and long-term perspective. While U.S. investors are bracing for a potential interest rate hike later this year, Canadian investors saw their interest rates decline. In late January, the Bank of Canada cut interest rates and, as a result, the Canadian market was impacted in different ways. The Canadian dollar fell precipitously, followed by drops in the Canadian preferred share market, while investmentgrade bonds rose in value. In a market where assets don t move in tandem, active managers are able to use their expertise to allocate assets in a manner which they believe provides the best opportunity to outperform their respective benchmarks given they aren t restricted to mimicking index constituents and/or weightings. We ve been very pleased with the growth and recognition of our actively managed ETF family and the strong outperformance of many of the mandates. We think the next six months are going to be a critical period for investors to redefine their short and long-term risk versus reward strategy. Many investors haven t really had to revisit their portfolio s asset allocations, with both stocks and bonds having delivered exceptional returns over the last 5 years. If we see interest rates rise in the U.S. - the first time in more than six years - it will likely force investors to rethink their asset allocation strategies since low interest rates have been a key driver of returns for the last half-decade. We believe our diverse suite of Canadian ETF solutions can help you transition your portfolio and provide a more flexible, responsive asset allocation strategy for the ever-changing market conditions. I urge you to visit our website at where we offer a range of resources designed to help you become a better ETF investor. We wish you continued investment success. Thank you, Howard Atkinson President Horizons ETFs Management (Canada) Inc.

4 MANAGEMENT REPORT OF FUND PERFORMANCE This interim management report of fund performance for Horizons COMEX Silver ETF ( Horizons HUZ or the ETF ) contains financial highlights and is included with the unaudited interim financial statements for the investment fund. You may request a copy of the investment fund s unaudited interim or audited annual financial statements, interim or annual management report of fund performance, current proxy voting policies and procedures, proxy voting disclosure record or quarterly portfolio disclosures, at no cost, by calling (toll free) , or (416) , by writing to Horizons ETFs Management (Canada) Inc. ( Horizons Management or the Manager ), at 26 Wellington Street East, Suite 700, Toronto, Ontario, M5E 1S2, by visiting our website at or through SEDAR at This document may contain forward-looking statements relating to anticipated future events, results, circumstances, performance, or expectations that are not historical facts but instead represent our beliefs regarding future events. By their nature, forward-looking statements require us to make assumptions and are subject to inherent risks and uncertainties. There is significant risk that predictions and other forward-looking statements will not prove to be accurate. We caution readers of this document not to place undue reliance on our forward-looking statements as a number of factors could cause actual future results, conditions, actions or events to differ materially from the targets, expectations, estimates or intentions expressed or implied in the forward-looking statements. Actual results may differ materially from management expectations as projected in such forward-looking statements for a variety of reasons, including but not limited to market and general economic conditions, interest rates, regulatory and statutory developments, the effects of competition in the geographic and business areas in which the ETF may invest and the risks detailed from time to time in the ETF s simplified prospectus. New risk factors emerge from time to time and it is not possible for management to predict all such risk factors. We caution that the foregoing list of factors is not exhaustive, and that when relying on forward-looking statements to make decisions with respect to investing in the ETF, investors and others should carefully consider these factors, as well as other uncertainties and potential events, and the inherent uncertainty of forward-looking statements. Due to the potential impact of these factors, the Manager does not undertake, and specifically disclaims, any intention or obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise, unless required by applicable law. Management Discussion of Fund Performance Investment Objective and Strategy Horizons HUZ seeks investment results, before fees, expenses, distributions, brokerage commissions and other transaction costs, that endeavour to correspond to the performance of the COMEX silver futures contract for a subsequent delivery month (the Referenced Futures Contract ). Horizons HUZ is denominated in Canadian dollars. Any U.S. dollar gains or losses as a result of the ETF s investment will be hedged back to the Canadian dollar to the best of the ETF s ability. If Horizons HUZ is successful in meeting its investment objective, its net asset value should gain approximately as much, on a percentage basis, as any increase in the COMEX silver futures contract for a subsequent delivery month when the COMEX silver futures contract for that delivery month rises on a given day. Conversely, Horizons HUZ s net asset value should lose approximately as much, on a percentage basis, as the COMEX silver futures contract for a subsequent delivery month when the COMEX silver futures contract for that delivery month declines on a given day. Horizons HUZ invests in financial instruments that have similar return characteristics as the performance of the COMEX silver futures contract for a subsequent delivery month. In order to achieve this objective, the total underlying notional value of these instruments will typically not exceed one times the total assets of the ETF. Assets not invested in financial instruments may be invested in debt instruments or money market instruments with a term not to exceed 365 days, or repurchase agreements with a term not to exceed 30 days. 1

5 Management Discussion of Fund Performance (continued) Risk Value of the Referenced Futures Contract Horizons HUZ will typically use the COMEX silver futures contract for a subsequent delivery month as determined at approximately 1:25 p.m. (EST) as the reference for its investment objective. Currently, Horizons HUZ tracks the COMEX 5,000 troy ounce silver contract for a subsequent delivery month to achieve its investment objective. The performance of Horizons HUZ is currently based on a rolling futures position of the COMEX 5,000 troy ounce silver contract for a subsequent delivery month. On a periodic basis, positions in the COMEX silver futures contracts specifying delivery on a nearby date must be sold and the COMEX silver futures contracts that have not yet reached the delivery period must be purchased. By rolling, an investor with a rolling position in a COMEX silver futures contract avoids delivering the underlying commodity while maintaining exposure to silver. Investments in the units of the ETF are speculative, involve a high degree of risk and are suitable only for persons who are able to assume the risk of losing their entire investment. The Manager, as a summary for existing investors, is providing the list below of the risks to which an investment in the ETF may be subject. Prospective investors should read the ETF s most recent prospectus and consider the full description of the risks contained therein before subscribing for units. The risks to which an investment in the ETF is subject are listed below and have not changed from the list of risks found in the ETF s most recent prospectus. A full description of each risk listed below may also be found in the most recent prospectus. The most recent prospectus is available at or from or by calling Horizons ETFs Management (Canada) Inc. at (toll free) , or at (416) Commodity risk Spot v. futures risk Aggressive investment technique risk Concentration risk Trading in derivatives is highly leveraged Corresponding net asset value risk Counterparty risk Correlation risk Liquidity risk Market risk Early closing risk Regulatory risk Commodity market risk No assurance of meeting investment objective Tax risk Conflicts of interest Price limit risk Liability of unitholders No assurance of continued participation Reliance on the manager and the portfolio manager Reverse repurchase transaction risk Designated broker/dealer risk Exchange risk Borrowing risk Foreign exchange risk Exchange rate risk Securities lending risk The degree of the price volatility risk will vary from period to period depending on the volatility of the Referenced Futures Contract. Please refer to the Results of Operations section for further discussion on the impact of price volatility on the performance of the ETF relative to its Referenced Futures Contract. 2

6 Management Discussion of Fund Performance (continued) Results of Operations The net asset value per unit of the ETF declined by 1.72% for the six-month period ended June 30, This compares to a decrease of the compounded value of 0.88% for the Referenced Futures Contract over the same period. The above figures are adjusted for distributions, if any. The rolling one month COMEX silver futures contract was down for the six-month period ended June 30, 2015, returning -0.88%. However, that mildly negative return belies some wild swings that occurred in the COMEX 1-month silver futures (the Silver Futures ) as they experienced a 27.48% annualized standard deviation over the same period. From the end of 2014, the Silver Futures spiked in the first three weeks of January to reach a high closing price for the period of U.S.$18.36 per ounce (/oz) on January 22, 2015 a spectacular increase of 17.70% from the closing December 31, 2014 price of U.S.$15.60/oz. From there, the Silver Futures sold off in a precipitous move to hit the low closing price for the period of U.S.$15.37/oz on March 11, a 16.31% decline from the January 22 high. Another 15.41% rally to May 18 was followed by another sell-off of 12.13% to finish near its lows for the period at U.S.$15.58/oz, not far off from where it began the year. The main themes in global markets in the first half of the year were, at various times: the threat of a Greek debt default and possible exit from the Eurozone; nuclear treaty discussions between Iran and the U.S.; the dramatic run-up in Chinese equities and subsequent bubble bursting; and finally, the ongoing machinations of the U.S. Federal Reserve (the Fed ), its read on the strength of the U.S. economy and market expectations of when the Fed s first interest rate hike since 2006 will occur. Each of these themes, either separately or concurrently, at one point or another, held varying sway on the price of Silver Futures during the period. Much of the uncertainty and volatility surrounding these events are likely to continue as none were satisfactorily resolved during the period. Horizons Management does not endeavour to predict market direction generally, or the changes that may occur in global fiscal and monetary policies, the effect of additional geopolitical concerns, or unforeseen other crises. Horizons Management and the ETF are agnostic as to their impact on global equity, fixed income, currency, and commodity markets generally, and the silver futures market specifically. They are only of concern to the ETF in so much as there is some minimal risk they could affect its ability to meet its investment objective. Please refer to the risk factors section in the ETF s prospectus for a more detailed discussion. The annualized volatility of each of the Referenced Futures Contract and the ETF was 27.85% and 27.20%, respectively, for the period ended June 30, The ETF may, at times, have very large purchase and redemption activity. However, the performance of the ETF is primarily affected by the performance of its forward agreement, which is rebalanced daily and is tied to the performance of the ETF s Referenced Futures Contract. The performance and liquidity of the ETF is unaffected by the asset size of the ETF, or by purchase and redemption activity, as these transactions are taken into account during the daily rebalancing of the forward agreement. Forward Agreement In order to achieve its investment objective, the ETF has entered into multiple forward agreements with a bank counterparty (each a Forward Counterparty ). The Forward Agreements provide both positive exposure to the Referenced Futures Contract and negative exposure to the Referenced Futures Contract. The ETF seeks to achieve its investment objective through the net exposure of these Forward Agreements. The ETF generally invests its assets in interest bearing accounts and short-term Canadian federal or provincial treasury bills to earn prevailing short-term market interest rates. 3

7 Management Discussion of Fund Performance (continued) The one or more Forward Counterparties to any Forward Agreements entered into by the ETF must be a chartered Canadian bank or an affiliate of a chartered Canadian bank whose obligations are guaranteed by a chartered Canadian bank, and which has a designated rating. In respect of short-term securities or instruments (where the maturity date of the security or instrument is less than one year), Forward Counterparties must have a designated rating for Commercial Paper/Short-Term Debt no lower than (a) Dominion Bond Rating Service Limited ( DBRS ) - R-1(low) ; (b) Fitch Ratings ( Fitch ) - F1 ; (c) Moody s Investors Service ( Moody s ) - P-1 ; and (d) Standard & Poor s ( S&P ) - A-1(Low). In respect of long-term securities or instruments (where the maturity date of the security or instrument is equal to or greater than one year), Forward Counterparties must have a designated rating for Long-Term Debt no lower than (a) DBRS - A ; (b) Fitch - A ; (c) Moody s - A2 ; and (d) S&P - A. The Forward Agreements entered into by the ETF may have terms to maturity of less than one year but generally are longer than one year. Forward Counterparties are subject to the applicable short-term or long-term designated rating restrictions listed above. The Forward Counterparty to the Forward Agreements, National Bank of Canada ( NBC ), meets those designated rating requirements. Since the Forward Agreements, like most forward agreements, may settle the obligations of each party on a net basis, the exposure of the ETF to the credit risk of the Forward Counterparty is limited to the positive mark-to-market of the Forward Agreements, which is calculated and accrued on a daily basis. Presentation The attached financial statements have been prepared in accordance with International Financial Reporting Standards ( IFRS ). Any mention of total net assets, net assets, net asset value or increase (decrease) in net assets in the financial statements and/or management report of fund performance for periods starting on or after January 1, 2013 is referring to net assets or increase (decrease) in net assets attributable to holders of redeemable units as reported under IFRS. Any information presented for periods prior to January 1, 2013 is in accordance with Canadian generally accepted accounting principles ( Canadian GAAP ). Recent Developments There have been no recent market developments of particular note, aside from the normal fluctuations of the markets, that are expected to have an undue influence on the portfolio of the ETF when compared to its benchmark. Change in Portfolio Manager Effective August 10, 2015, Horizons Management, which acts as the investment manager to the ETF, has assumed the responsibilities of the portfolio manager for the ETF from ProShare Advisors LLC. Related Party Transactions There were no related party portfolio transactions during the current reporting period. Certain services have been provided to the ETF by related parties, and those relationships are described below. 4

8 Management Discussion of Fund Performance (continued) Manager, Trustee and Investment Manager The manager, trustee and investment manager of the ETF is Horizons ETFs Management (Canada) Inc., 26 Wellington Street East, Suite 700, Toronto, Ontario, M5E 1S2, a corporation incorporated under the laws of Ontario. The Manager and its subsidiary, AlphaPro Management Inc., are members of the Mirae Asset Financial Group. For a complete description of services provided, please refer to the most recent prospectus of the ETF Duties and Services to be Provided by the Manager. National Bank of Canada Relationship While not a related party to the ETF, an affiliate of the Counterparty to the Forward Agreements and National Bank Financial Inc. ( NBF ) holds an indirect minority interest in AlphaPro Management Inc., a subsidiary of the Manager. Another affiliate of the Counterparty, NBF, acts or may act as a designated broker, an underwriter and/or a registered trader (market maker). These relationships may create actual or perceived conflicts of interest which investors should consider in relation to an investment in the ETF. In particular, by virtue of these relationships, NBF may profit from the sale and trading of the ETF s units. NBF, as market maker of the ETF in the secondary market, may therefore have economic interests which differ from and may be adverse to those of the ETF s unitholders. NBF s potential roles as a designated broker and a dealer of the ETF are not as an underwriter of the ETF in connection with the primary distribution of units under the ETF s prospectus. NBF was not involved in the preparation of, nor did it perform any review of, the contents of the ETF s prospectus. NBF and its affiliates may, at present or in the future, engage in business with the ETF, the issuers of securities making up the investment portfolio of the ETF, or with the Manager or any funds sponsored by the Manager or its affiliates, including by making loans, entering into derivative transactions or providing advisory or agency services. In addition, the relationship between NBF and its affiliates, and the Manager and its affiliates may extend to other activities, such as being part of a distribution syndicate for other funds sponsored by the Manager or its affiliates. 5

9 Financial Highlights The following tables show selected key financial information about the ETF and are intended to help you understand the ETF s financial performance for the current interim reporting period and for the past five fiscal years. This information is derived from the ETF s annual audited financial statements and the current unaudited interim financial statements. Please see the front page for information on how you may obtain the ETF s annual or interim financial statements. The ETF s Net Assets per Unit Period Net assets, beginning of period (1) $ Increase (decrease) from operations: Total revenue Total expenses (0.06) (0.14) (0.17) (0.15) (0.16) (0.11) Realized gains (losses) for the period (0.93) (2.64) (3.18) (1.43) 4.85 Unrealized gains (losses) for the period 0.06 (0.01) (4.45) 4.36 (3.97) 1.55 Total increase (decrease) from operations (2) 0.04 (0.96) (7.22) 1.08 (5.56) 6.29 Total distributions (3) Net assets, end of period (4) $ This information is derived from the ETF s unaudited interim financial statements as at June 30, 2015 and the audited annual financial statements as at December 31 of the other years shown. The ETF effectively began operations on June 24, Information from 2013 onwards is in accordance with IFRS. Information for years prior to 2013 is reported under Canadian GAAP. 2. Net assets per unit and distributions are based on the actual number of units outstanding at the relevant time. The increase (decrease) from operations is based on the weighted average number of units outstanding over the financial period. 3. Distributions, if any, were paid in cash, reinvested in additional units of the ETF, or both. 4. The Financial Highlights are not intended to act as a continuity of the opening and closing net assets per unit. 6

10 Financial Highlights (continued) Ratios and Supplemental Data Period (1) Total net asset value (000 s) $ 6,353 6,942 17,650 18,407 17,391 8,358 Number of units outstanding (000 s) , Management expense ratio (2) 0.74% 0.74% 0.73% 0.72% 0.69% 0.85% Management expense ratio before waivers and absorptions (2) 1.25% 1.02% 0.94% 0.88% 0.92% 1.22% Trading expense ratio (3) 0.41% 0.41% 0.40% 0.42% 0.42% 0.40% Portfolio turnover rate (4) 0.00% 0.00% % % % % Net asset value per unit, end of period $ Closing market price $ This information is provided as at June 30, 2015 and December 31 of the other years shown. The ETF effectively began operations on June 24, Information from 2013 onwards is in accordance with IFRS. Information for years prior to 2013 is reported under Canadian GAAP. 2. Management expense ratio is based on total expenses, including sales tax, (excluding commissions and other portfolio transaction costs) for the stated period and is expressed as an annualized percentage of daily average net asset value during the period. Out of its management fees, the Manager pays for such services to the ETF as portfolio advisor compensation, administration, service fees and marketing. The Manager, at its discretion, may waive and/or absorb a portion of the fees and/or expenses otherwise payable by the ETF. The waiving and/or absorption of such fees and/or expenses by the Manager may be terminated at any time, or continued indefinitely, at the discretion of the Manager. 3. The trading expense ratio represents total commissions, forward agreement fees and other portfolio transaction costs expressed as an annualized percentage of daily average net asset value during the period. 4. The ETF s portfolio turnover rate indicates how actively the ETF trades its portfolio investments. A portfolio turnover rate of 100% is equivalent to the ETF buying and selling all of the securities in its portfolio once in the course of a year. The higher an ETF s portfolio turnover rate in a year, the greater the chance of an investor receiving taxable capital gains in the year. There is not necessarily a relationship between a high turnover rate and the performance of an ETF. 7

11 Financial Highlights (continued) Management Fees In consideration for management services and investment advice provided to the ETF, the Manager is entitled to a management fee. The management fee, inclusive of sales tax, is applied on a daily basis to the net asset value of the ETF. The management fees, exclusive of sales tax, are charged at the annual rate of 0.65%. Approximately 100% of management fees were used for investment management, other general administration and profit. Fees payable to the Investment Manager, which include the fees paid to the former portfolio manager, are paid from the management fees. From the management fee, the Manager has paid substantially all of the costs and expenses relating to the operation of the business and affairs of the ETF including investment management, administration, legal, accounting, custody, audit, registrar and transfer agency fees, and applicable sales taxes as well as expenses associated with advertising, marketing, sponsoring and promoting the sale of units of the ETF. The ETF, and not the Manager, is responsible for all brokerage expenses and commissions, income taxes, sales tax, costs associated with the Independent Review Committee of the ETF, filing fees, costs associated with delivering documents to unitholders, fees payable to the CDS Clearing and Depository Services Inc., annual stock exchange fees, annual index licensing fees, if applicable, withholding taxes and extraordinary expenses. The Manager, at its discretion, may waive and/or absorb a portion of the fees and/or expenses otherwise payable by the ETF. The waiving and/or absorption of such fees and/or expenses by the Manager may be terminated at any time, or continued indefinitely, at the discretion of the Manager. Fees related to the operation of the Forward Agreements are not included in the management fees or other operating expenses of the ETF. Forward fees and applicable hedging costs related to the Forward Agreements, as described in the Fees and Expenses section of the ETF s prospectus, are incurred by way of a reduction in the forward price payable to the ETF by the Counterparty. For the purposes of financial reporting, these expenses have been broken out and disclosed in transaction costs in the statement of comprehensive income and are included in the trading expense ratio in the management report of fund performance. The table below details, in percentage terms, the services received by the ETF, from the Manager, in consideration of the management fees paid during the period. Marketing Portfolio management fees, general administrative costs and profit Waived/absorbed expenses of the ETF 5% 23% 72% 8

12 Past Performance Sales commissions, management fees and expenses all may be associated with an investment in the ETF. Please read the prospectus before investing. The indicated rates of return are the historical returns including changes in unit value and reinvestment of all distributions and do not take into account sales, redemption, distribution or optional charges or income taxes payable by any investor that would have reduced returns. An investment in the ETF is not guaranteed. Its value changes frequently and past performance may not be repeated. The ETF s performance numbers assume that all distributions, if any, are reinvested in additional units of the ETF. If you hold this ETF outside of a registered plan, income and capital gains distributions that are paid to you increase your income for tax purposes whether paid to you in cash or reinvested in additional units. The amount of the reinvested taxable distributions is added to the adjusted cost base of the units that you own. This would decrease your capital gain or increase your capital loss when you later redeem from the ETF, thereby ensuring that you are not taxed on this amount again. Please consult your tax advisor regarding your personal tax situation. Year-by-Year Returns The following chart shows the ETF s performance for the periods shown, and illustrates how the performance has changed from period to period. In percentage terms, the chart shows how much an investment made on the first day of each financial period (or, on the inception date, as the case may be) would have grown or decreased by the last day of the financial period % 60.00% 40.00% Rate of Return 20.00% 0.00% % % HUZ 17.93% 77.19% % 5.84% % % -1.72% The ETF effectively began operations on June 24, The ETF is rebalanced daily to ensure an investor s risk is limited to the current value of their investment. The daily correlation of the ETF to its stated Referenced Futures Contract since inception was A perfect daily correlation of 100% of the daily return of the Referenced Futures Contract would be a correlation of

13 Summary of Investment Portfolio As at June 30, 2015 % of ETF s Asset Mix Net Asset Value Net Asset Value Investments $ (42,675) -0.67% Cash and Cash Equivalents held for Collateral 6,260, % Cash and Cash Equivalents - Other 136, % Other Assets less Liabilities (978) -0.02% $ 6,352, % Top Holdings % of ETF s Net Asset Value Cash and Cash Equivalents held for Collateral 98.55% Forward Agreements (net notional value US$5,084,921) -0.67% The summary of investment portfolio may change due to the ongoing portfolio transactions of the ETF. The most recent interim and annual reports are available at no cost by calling toll free , or (416) , by writing to us at Horizons ETFs Management (Canada) Inc., 26 Wellington Street East, Suite 700, Toronto, Ontario, M5E 1S2, or by visiting our website at 10

14 MANAGER S RESPONSIBILITY FOR FINANCIAL REPORTING The accompanying unaudited interim financial statements of Horizons COMEX Silver ETF (the ETF ) are the responsibility of the manager and the trustee to the ETF, Horizons ETFs Management (Canada) Inc. (the Manager ). They have been prepared in accordance with International Financial Reporting Standards using information available and include certain amounts that are based on the Manager s best estimates and judgements. The Manager has developed and maintains a system of internal controls to provide reasonable assurance that all assets are safeguarded and to produce relevant, reliable and timely financial information, including the accompanying financial statements. These financial statements have been approved by the Board of Directors of the Manager. Taeyong Lee Director Horizons ETFs Management (Canada) Inc. Howard Atkinson Director Horizons ETFs Management (Canada) Inc. NOTICE TO UNITHOLDERS The Auditors of the ETF have not reviewed these Financial Statements. Horizons ETFs Management (Canada) Inc., the Manager of the ETF, appoints an independent auditor to audit the ETF s annual financial statements. The ETF s independent auditors have not performed a review of these interim financial statements in accordance with Canadian generally accepted auditing standards. 11

15 Statements of Financial Position (unaudited) As at June 30, 2015 and December 31, 2014 June 30, December 31, Assets Cash and cash equivalents held for collateral $ 6,260,215 $ 6,875,511 Cash and cash equivalents - other 136, ,400 Amounts receivable relating to accrued income 3,269 6,393 Derivative assets (note 3) 556,576 2,658 Total assets 6,956,090 7,026,962 Liabilities Accrued expenses 4,247 4,815 Derivative liabilities (note 3) 599,251 79,742 Total liabilities 603,498 84,557 Total net assets (note 2) $ 6,352,592 $ 6,942,405 Number of redeemable units outstanding, (note 10) 675, ,000 Total net assets per unit (note 2) $ 9.41 $ 9.58 (See accompanying notes to financial statements) Approved on behalf of the Board of Directors of the Manager: Taeyong Lee Director Howard Atkinson Director 12

16 Statements of Comprehensive Income (unaudited) For the Periods Ended June 30, Income Interest income for distribution purposes $ 37,950 $ 65,845 Securities lending income 1,304 1,100 Net change in unrealized appreciation of investments and derivatives 53,629 1,753,547 92,883 1,820,492 Expenses Management fees (note 11) 34,010 50,809 Annual stock exchange listing fees 3,123 3,679 Index licensing fees 2,376 3,534 Filing fees 16,336 18,732 Independent Review Committee fees Securityholder reporting costs 3,410 3,452 Transaction costs 19,220 31,416 78, ,778 Amounts that were payable by the investment fund that were paid or absorbed by the Manager (24,331) (27,887) 54,191 83,891 Increase in net assets for the period (note 2) $ 38,692 $ 1,736,601 Increase in net assets per unit (note 2) $ 0.04 $ 1.54 (See accompanying notes to financial statements) 13

17 Statements of Changes in Financial Position (unaudited) For the Periods Ended June 30, Total net assets at the beginning of the period (note 2) $ 6,942,405 $ 17,649,579 Increase in net assets (note 2) 38,692 1,736,601 Redeemable unit transactions Proceeds from the issuance of securities of the investment fund 9,096,610 5,017,730 Aggregate amounts paid on redemption of securities of the investment fund (9,725,115) (14,568,765) Total net assets at the end of the period (note 2) $ 6,352,592 $ 9,835,145 (See accompanying notes to financial statements) 14

18 Statements of Cash Flows (unaudited) For the Periods Ended June 30, Cash flows from operating activities: Increase in net assets for the period (note 2) $ 38,692 $ 1,736,601 Adjustments for: Net change in unrealized appreciation of investments and derivatives (53,629) (1,753,547) Purchase of investments 19,220 (7,124,670) Amounts receivable relating to accrued income 3,124 2,409 Accrued expenses (568) (599) Net cash from (used in) operating activities 6,839 (7,139,806) Cash flows from financing activities: Amount received from the issuance of units 9,096,610 12,320,990 Amount paid on redemptions of units (9,725,115) (14,568,765) Net cash used in financing activities (628,505) (2,247,775) Net decrease in cash and cash equivalents for the period (621,666) (9,387,581) Cash and cash equivalents at beginning of period 7,017,911 17,519,356 Cash and cash equivalents at end of period $ 6,396,245 $ 8,131,775 Interest received $ 40,939 $ 60,919 Total Cash and Cash Equivalents are composed of: Cash and cash equivalents held for collateral $ 6,260,215 $ 7,951,241 Cash and cash equivalents - other 136, ,534 Cash and cash equivalents at end of period $ 6,396,245 $ 8,131,775 (See accompanying notes to financial statements) 15

19 Schedule of Investments (unaudited) As at June 30, 2015 Security Fair Value FORWARD AGREEMENTS (-0.67%) Positive Exposure Forward Agreement (-9.43%) COMEX Silver Forward Agreement Payment Date October 1, 2019 (notional value US$12,615,217) $ (599,251) Negative Exposure Forward Agreement (8.76%) COMEX Silver Forward Agreement Payment Date October 15, 2019 (notional value US$7,530,296) 556,576 TOTAL FORWARD AGREEMENTS (42,675) CASH AND CASH EQUIVALENTS HELD FOR COLLATERAL (98.55%) 6,260,215 TOTAL INVESTMENT PORTFOLIO (97.88%) (note 8) $ 6,217,540 Cash and cash equivalents - other (2.14%) 136,030 Other assets less liabilities (-0.02%) (978) TOTAL NET ASSETS (100.00%) (note 2) $ 6,352,592 (See accompanying notes to financial statements) 16

20 Notes to Financial Statements (unaudited) June 30, REPORTING ENTITY Horizons COMEX Silver ETF (the ETF or Horizons HUZ ) is an investment trust established under the laws of the Province of Ontario by Declaration of Trust and effectively began operations on June 24, The address of the ETF s registered office is: c/o Horizons ETFs Management (Canada) Inc., 26 Wellington Street East, Suite 700, Toronto, Ontario, M5E 1S2. The ETF is offered for sale on a continuous basis by its prospectus in class A units which trade on the Toronto Stock Exchange ( TSX ) under the symbol HUZ. An investor may buy or sell units of the ETF on the TSX only through a registered broker or dealer in the province or territory where the investor resides. Investors are able to trade units of the ETF in the same way as other securities traded on the TSX, including by using market orders and limit orders and may incur customary brokerage commissions when buying or selling units. Horizons HUZ seeks investment results, before fees, expenses, distributions, brokerage commissions and other transaction costs, that endeavour to correspond to the performance of the COMEX silver futures contract for a subsequent delivery month (the Referenced Futures Contract ). Horizons HUZ is denominated in Canadian dollars. Any U.S. dollar gains or losses as a result of the ETF s investment will be hedged back to the Canadian dollar to the best of the ETF s ability. If Horizons HUZ is successful in meeting its investment objective, its net asset value should gain approximately as much, on a percentage basis, as any increase in the COMEX silver futures contract for a subsequent delivery month when the COMEX silver futures contract for that delivery month rises on a given day. Conversely, Horizons HUZ s net asset value should lose approximately as much, on a percentage basis, as the COMEX silver futures contract for a subsequent delivery month when the COMEX silver futures contract for that delivery month declines on a given day. Horizons ETFs Management (Canada) Inc. (the Manager, the Investment Manager, or the Trustee) is the manager, investment manager and trustee of the ETF. The Investment Manager is responsible for implementing the ETF s investment strategies and, up until August 10, 2015, for engaging the services of ProShare Advisors LLC as the ETF s portfolio manager. Effective August 10, 2015, the Investment Manager has also assumed the portfolio management responsibilities for the ETF. 2. BASIS OF PREPARATION (i) Statement of compliance These financial statements have been prepared in accordance with International Financial Reporting Standards ( IFRS ). Any mention of total net assets, net assets, net asset value or increase (decrease) in net assets is referring to net assets or increase (decrease) in net assets attributable to holders of redeemable units as reported under IFRS. These financial statements were authorized for issue on August 14, 2015 by the Board of Directors of the Manager. (ii) Basis of measurement The financial statements have been prepared on the historical cost basis except for financial instruments at fair value though profit or loss, which are measured at fair value. 17

21 Notes to Financial Statements (unaudited) (continued) June 30, 2015 (iii) Functional and presentation currency These financial statements are presented in Canadian dollars, which is the ETF s functional currency. 3. SIGNIFICANT ACCOUNTING POLICIES The accounting policies set out below have been applied consistently to all periods presented in these financial statements. (a) Financial instruments (i) Recognition, initial measurement and classification Financial assets and financial liabilities at fair value through profit or loss ( FVTPL ) are initially recognized on the trade date, at fair value (see below), with transaction costs recognised in profit or loss. Other financial assets and financial liabilities are recognised on the date on which they are originated at fair value. The ETF classifies financial assets and financial liabilities into the following categories: Financial assets at fair value through profit or loss: - Held for trading: derivative financial instruments - Designated as at fair value through profit or loss: debt securities and equity investments, if any Financial assets at amortized cost: All other financial assets are classified as loans and receivables Financial liabilities at fair value through profit or loss: - Held for trading: derivative financial instruments Financial liabilities at amortized cost: all other financial liabilities are classified as other financial liabilities (ii) Fair value measurement Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date in the principal or, in its absence, the most advantageous market to which the ETF has access at that date. The fair value of a liability reflects its non-performance risk. Investments are valued at fair value as of the close of business on each day upon which a session of the TSX is held ( Valuation Date ) and based on external pricing sources to the extent possible. Investments held that are traded in an active market through recognized public stock exchanges, over-the-counter markets, or through recognized investment dealers, are valued at their closing sale price. However, such prices may be adjusted if a more accurate value can be obtained from recent trading activity or by incorporating other relevant information that may not have been reflected in pricing obtained from external sources. Short-term investments, including notes and money market instruments, are valued at amortized cost which approximates fair value. 18 Investments held that are not traded in an active market, including some derivative financial instruments, are valued using observable market inputs where possible, on such basis and in such manner as established by the Manager. Derivative financial instruments are recorded in the statements of financial position according to the gain or loss that would be realized if the contracts were closed out on the Valuation Date. Margin deposits, if any, are included in the schedule of investments as margin deposits. See also the summary of fair value measurements in note 7.

22 Notes to Financial Statements (unaudited) (continued) June 30, 2015 Fair value policies used for financial reporting purposes are the same as those used to measure the net asset value ( NAV ) for transactions with unitholders. The fair value of other financial assets and liabilities approximates their carrying values due to the short-term nature of these instruments. (iii) Offsetting Financial assets and liabilities are offset and the net amount presented in the statements of financial position when there is a legally enforceable right to offset the recognized amounts and there is an intention to settle on a net basis, or to realize the asset and settle the liability simultaneously. Income and expenses are presented on a net basis for gains and losses from financial instruments at fair value through profit or loss and foreign exchange gains and losses. (iv) Specific instruments Cash and cash equivalents Cash and cash equivalents consist of cash on deposit and short-term, interest bearing notes with a term to maturity of less than three months from the date of purchase. Cash and cash equivalents held for collateral consists of cash and short-term investments posted as collateral to the Forward Agreements as described in note 8. Redeemable units The redeemable units, which are classified as financial liabilities, are measured at the present value of the redemption amounts and are considered a residual amount of the net assets attributable to holders of redeemable units. (b) Investment income Investment transactions are accounted for as of the trade date. Realized gains and losses from investment transactions are calculated on a weighted average cost basis. The difference between fair value and average cost, as recorded in the financial statements, is included in the statements of comprehensive income as part of the net change in unrealized appreciation (depreciation) of investments and derivatives. Interest income for distribution purposes from investments in bonds and short-term investments, if any, represents the coupon interest received by the ETF accounted for on an accrual basis. The ETF does not amortize premiums paid or discounts received on the purchase of fixed income securities. The ETF does not use the effective interest method. Dividend income, if any, is recognized on the ex-dividend date. Distribution income from investments in other funds or ETFs, if any, is recognized when earned. Income from derivatives is shown in the statements of comprehensive income as net realized gain (loss) on sale of investments and derivatives; net change in unrealized appreciation (depreciation) of investments and derivatives; and, interest income for distribution purposes, in accordance with its nature. Income from securities lending, if any, is included in Securities lending income on the statements of comprehensive income and is recognized when earned. Any securities on loan continue to be displayed in the schedule of investments and the market value of the securities loaned and collateral held is determined daily (see note 9). 19

23 Notes to Financial Statements (unaudited) (continued) June 30, If the ETF incurs withholding taxes imposed by certain countries on investment income and capital gains, such income and gains are recorded on a gross basis and the related withholding taxes are shown as a separate expense in the statements of comprehensive income. (c) Foreign currency Transactions in foreign currencies, if any, are translated into the ETF s reporting currency using the exchange rate prevailing on the trade date. Monetary assets and liabilities denominated in foreign currencies at the reporting date are translated at the period-end exchange rate. Foreign exchange gains and losses are presented as Net realized gain (loss) on foreign exchange, except for those arising from financial instruments at fair value through profit or loss, which are recognized as a component within Net realized gain (loss) on sale of investments and derivatives and Net change in unrealized appreciation (depreciation) of investments and derivatives in the statements of comprehensive income. (d) Cost basis The cost of portfolio investments is determined on an average cost basis. (e) Increase (decrease) in net assets attributable to holders of redeemable units per unit The increase (decrease) in net assets per unit in the statements of comprehensive income represents the change in net assets attributable to holders of redeemable units from operations divided by the weighted average number of units of the ETF outstanding during the reporting period. For management fees please refer to note 11. (f) Unitholder transactions The value at which units are issued or redeemed is determined by dividing the net asset value of the ETF by the total number of units outstanding of the ETF on the Valuation Date. Amounts received on the issuance of units and amounts paid on the redemption of units are included in the statements of changes in financial position. (g) Amounts receivable (payable) relating to portfolio assets sold (purchased) In accordance with the ETF s policy of trade date accounting for sale and purchase transactions, sales/purchase transactions awaiting settlement represent amounts receivable/payable for securities sold/purchased, but not yet settled as at the reporting date. (h) Net assets attributable to holders of redeemable units per unit Net assets attributable to holders of redeemable units per unit is calculated by dividing the ETF s net assets attributable to holders of redeemable units by the number of units of the ETF outstanding on the Valuation Date. (i) Transaction costs Transaction costs are incremental costs that are directly attributable to the acquisition, issue or disposal of an investment, which include fees and commissions paid to agents, advisors, brokers and dealers, fees incurred in conjunction with the ETF s forward agreements, levies by regulatory agencies and securities exchanges, and transfer taxes and duties. Transaction costs are expensed and are included in Transaction costs in the statement of comprehensive income.

24 Notes to Financial Statements (unaudited) (continued) June 30, 2015 (j) Future accounting changes The International Accounting Standards Board ( IASB ) has issued the following new standards and amendments to existing standards that are not yet effective. IFRS 9, Financial Instruments ( IFRS 9 ): In July 2014, the IASB issued IFRS 9, Financial Instruments, to replace International Accounting Standard 39, Financial Instruments Recognition and Measurement ( IAS 39 ). IFRS 9 addresses classification and measurement, impairment and hedge accounting. The new standard requires assets to be classified based on the ETF s business model for managing the financial assets and contractual cash flow characteristics of the financial assets. Financial assets will be measured at fair value through profit and loss unless certain conditions are met which permit measurement at amortized cost or value through other comprehensive income. The classification and measurement of liabilities remain generally unchanged, with the exception of liabilities recorded at fair value through profit and loss. For financial liabilities designated at fair value through profit and loss, IFRS 9 requires the presentation of the effects of changes in the ETF s own credit risk in other comprehensive income instead of net income. IFRS 9 is effective for fiscal years beginning on January 1, 2018, though early adoption is permitted. The Manager is currently assessing the impact of this new standard on the ETF s financial statements. 4. CRITICAL ACCOUNTING ESTIMATES AND JUDGEMENTS In preparing these financial statements, the Manager has made judgements, estimates and assumptions that affect the application of accounting policies and the reported amounts of assets, liabilities, income and expenses. Actual results may differ from these estimates. Estimates and underlying assumptions are reviewed on an ongoing basis. Revisions to estimates are recognised prospectively. The ETF may hold financial instruments that are not quoted in active markets, including derivatives. The determination of the fair value of these instruments is the area with the most significant accounting judgements and estimates that the ETF has made in preparing the financial statements. See note 7 for more information on the fair value measurement of the ETF s financial instruments. 5. FINANCIAL INSTRUMENTS RISK In the normal course of business, the ETF s investment activities expose it to a variety of financial risks. The Manager seeks to minimize potential adverse effects of these risks for the ETF s performance by employing professional, experienced portfolio advisors, by daily monitoring of the ETF s positions and market events, and periodically may use derivatives to hedge certain risk exposures. To assist in managing risks, the Manager maintains a governance structure that oversees the ETF s investment activities and monitors compliance with the ETF s stated investment strategies, internal guidelines and securities regulations. Please refer to the most recent prospectus for a complete discussion of the risks attributed to an investment in the units of the ETF. Significant financial instrument risks that are relevant to the ETF and an analysis of how they are managed are presented below. 21

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