Funds              Date      Ticker    ISIN code    Shares in  Currency   Net Asset     NAV/per
                                       Symbol                   Issue                 Value      share Base

PowerShares FTSE Emerging 21.07.2017  HDLVEMN   IE00BYYXBF44   600,001     USD     18,878,074     31.46340
Markets High Dividend Low
  Volatility UCITS ETF

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