  iShares MSCI Singapore ETF
(EWS) Inception Date:,3/12/1996
Fund Holdings as of,5/16/2013,Holdings are subject to change.
Total Net Assets ($000s),1638195
Number of Securities,31
Stock,98.57%
Cash,0.08%
Other,1.34%
May include dividends booked but not yet received.





CUSIP,ISIN,Sedol,Symbol,Name,% Net Assets,Market Value,Market,Sector,Exchange Rate,Market Price,Shares Held
--,SG1T75931496,B02PY22     ,ST        ,"SINGAPORE TELECOM LTD",11.91,195117528.34,"XSES","Telecommunication Services",1.25,3.20,61020568
--,SG1L01001701,6175203     ,DBS       ,"DBS GROUP HOLDINGS LTD",11.43,187317990.39,"XSES","Financials",1.25,13.81,13560500
--,SG1S04926220,B0F9V20     ,OCBC      ,"OVERSEA-CHINESE BANKING CORP",11.11,181945401.56,"XSES","Financials",1.25,8.95,20340000
--,SG1M31001969,6916781     ,UOB       ,"UNITED OVERSEAS BANK LTD",10.06,164773692.05,"XSES","Financials",1.25,17.59,9365000
--,SG1U68934629,B1VQ5C0     ,KEP       ,"KEPPEL CORP LTD",5.98,98010380.14,"XSES","Industrials",1.25,8.67,11300100
--,SG1J27887962,6309303     ,CAPL      ,"CAPITALAND LTD",3.54,58046924.36,"XSES","Financials",1.25,3.02,19210000
--,GB0043620292,6366795     ,GENS      ,"GENTING SINGAPORE PLC",3.47,56909229.01,"XSES","Consumer Discretionary",1.25,1.20,47460400
--,SG1P66918738,B012899     ,SPH       ,"SINGAPORE PRESS HOLDINGS LTD",2.64,43238059.09,"XSES","Consumer Discretionary",1.25,3.53,12265000
--,SG1J26887955,6303866     ,SGX       ,"SINGAPORE EXCHANGE LTD",2.57,42166673.34,"XSES","Financials",1.25,6.22,6780000
--,SG1B51001017,6242260     ,JCNC      ,"JARDINE CYCLE & CARRIAGE LTD",2.56,41922778.70,"XSES","Consumer Discretionary",1.25,37.10,1130000
--,SG1T56930848,B17KC69     ,WIL       ,"WILMAR INTERNATIONAL LTD",2.40,39339302.14,"XSES","Consumer Staples",1.25,2.68,14690000
--,SG1F60858221,6043214     ,STE       ,"SINGAPORE TECH ENGINEERING",2.40,39294136.47,"XSES","Industrials",1.25,3.48,11300000
--,SG2C26962630,B4KJWS6     ,GLP       ,"GLOBAL LOGISTIC PROPERTIES L",2.27,37180382.92,"XSES","Financials",1.25,2.35,15820000
--,SG1V61937297,6811734     ,SIA       ,"SINGAPORE AIRLINES LTD",2.26,37037489.24,"XSES","Industrials",1.25,9.15,4046467
--,SG1M77906915,6563875     ,AREIT     ,"ASCENDAS REAL ESTATE INV TRT",2.26,36991418.17,"XSES","Financials",1.25,2.18,16950335
--,SG1M51904654,6420129     ,CT        ,"CAPITAMALL TRUST",2.18,35781737.09,"XSES","Financials",1.25,1.86,19210800
BRSBP5ZX7   ,SG2D00968206,B56ZM74     ,HPHT      ,"HUTCHISON PORT HOLDINGS TR-U",2.05,33561000.00,"XSES","Industrials",1.0,0.82,40680000
--,SG1R50925390,B08X163     ,SCI       ,"SEMBCORP INDUSTRIES LTD",1.94,31742435.76,"XSES","Industrials",1.25,4.01,7910000
--,SG1R89002252,6197928     ,CIT       ,"CITY DEVELOPMENTS LTD",1.82,29863543.72,"XSES","Financials",1.25,8.81,3390000
--,SG1N31909426,6603737     ,CD        ,"COMFORTDELGRO CORP LTD",1.61,26430952.49,"XSES","Industrials",1.25,1.67,15820000
--,MU0117U00026,6164472     ,GGR       ,"GOLDEN AGRI-RESOURCES LTD",1.60,26259609.07,"XSES","Consumer Staples",1.25,0.46,57630628
--,BMG6542T1190,B01CLC3     ,NOBL      ,"NOBLE GROUP LTD",1.54,25248470.32,"XSES","Industrials",1.25,0.86,29380999
--,SG1H97877952,6205133     ,SMM       ,"SEMBCORP MARINE LTD",1.48,24281066.40,"XSES","Industrials",1.25,3.58,6780000
--,SG1P32918333,B011YD2     ,CCT       ,"CAPITACOMMERCIAL TRUST",1.31,21498860.87,"XSES","Financials",1.25,1.36,15820000
--,SG1S83002349,6916844     ,UOL       ,"UOL GROUP LTD",1.20,19674167.64,"XSES","Financials",1.25,5.80,3390000
--,SG1R31002210,6853468     ,KPLD      ,"KEPPEL LAND LTD",1.12,18337263.69,"XSES","Financials",1.25,3.25,5650000
--,SG1Z05950543,B442NY4     ,CMA       ,"CAPITAMALLS ASIA LTD",1.12,18337263.69,"XSES","Financials",1.25,1.62,11300000
--,SG1Q75923504,B05Q3L4     ,OLAM      ,"OLAM INTERNATIONAL LTD",1.10,17984971.43,"XSES","Consumer Staples",1.25,1.45,12430000
--,SG1V12936232,B1CNDB5     ,STH       ,"STARHUB LTD",0.99,16151245.06,"XSES","Telecommunication Services",1.25,3.57,4520000
--,SG1U76934819,B1VT035     ,YZJ       ,"YANGZIJIANG SHIPBUILDING",0.63,10392621.61,"XSES","Industrials",1.25,0.71,14690000
980SNC002   ,--,--,--,"BLACKROCK FDS III",0.08,1326582.87,"","S-T Securities",1.0,1.00,1326583




*Securities primarily traded in the U.S. market use CUSIP identifiers.  Securities primarily traded abroad use a 6-digit SEDOL(tm) with a trailing check digit and a "99" at the beginning for internal coding purposes.  If a SEDOL(tm) is unavailable

Please note: Total allocation percentages may not equal 100% due to rounding or omission of holdings of less than 1%. Information on certain fund holdings of less than 1% may not be widely available and may not be included in this list.

SEDOL(tm) is a trademark of the London Stock Exchange plc and used under license.
