12-1 Registration Statement

SEC registration statement under the securities regulation code for the issuer of investment unit instruments

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(Name of the Issuer/Company Name/Logo)
Key Product Information
(Name of ETF)
Date of Prospectus
This is an exchange traded fund.
This statement provides you with the relevant information about the product.
This statement is part of the Prospectus.
You should not invest in this product based on this statement alone.
(For Preliminary Prospectus, the following statement must be displayed)

A REGISTRATION STATEMENT RELATING TO THESE SECURITIES HAS BEEN FILED WITH THE
SECURITIES AND EXCHANGE COMMISSION BUT HAS NOT YET BEEN DECLARED EFFECTIVE. NO
OFFER TO BUY THE SECURITIES CAN BE ACCEPTED AND NO PART OF THE PURCHASE PRICE
CAN BE ACCEPTED OR RECEIVED UNTIL THE REGISTRATION STATEMENT HAS BECOME
EFFECTIVE, AND ANY SUCH OFFER MAY BE WITHDRAWN OR REVOKED, WITHOUT
OBLIGATION OR COMMITMENT OF ANY KIND, AT ANY TIME PRIOR TO NOTICE OF ITS
ACCEPTANCE GIVEN AFTER THE EFFECTIVE DATE. AN INDICATION OF INTEREST IN RESPONSE
HERETO INVOLVES NO OBLIGATION OR COMMITMENT OF ANY KIND. THIS PROSPECTUS
SHALL NOT CONSTITUTE AN OFFER TO SELL OR THE SOLICITATION OF AN OFFER TO BUY.
(For Prospectus that has become effective, the following statement must be displayed and signed by the
President under oath)

ALL REGISTRATION REQUIREMENTS HAVE BEEN MET AND ALL INFORMATION CONTAINED
HEREIN IS TRUE AND CURRENT.
Quick facts
Name of Issuer:
Stock code:
Number of ETF shares to be offered:
Total number of shares in a Creation Unit/ Trading Lot Size:
Offering Price/Issue Price/Net Asset Value Per Share:
Offer Period:
Fund Manager:
Authorized Participants:
Market Maker:
Index Provider:
Custodian:
Transfer Agent:
Total Expense Ratio:
Underlying Index:
Base Currency:
Dividend Policy:
Address and Telephone Number of the Issuer’s Principal Address:
ETF website:
Key Product Information
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Annex “1”
What is this product?
(Provide a brief discussion of the product, what it constitutes and where it is listed)
Brief Description of the Issuer’s business:
(More detailed information shall be provided in the body of the prospectus)
Objective and Investment Strategy
Underlying Index
(Provide the latest top 10 index constituents)
Summary financial information (data shall include, but need not be limited to the following:
a. Abbreviated income statement data for prior two years;
b. Abbreviated balance sheet data for the prior two years
Summary Paragraph or Key points characterizing the risks of the offer.
(More detailed information shall be provided in the body of the prospectus)
Total Proceeds raised by the offering
Brief Description of the use of proceeds from the offering
Is there any guarantee?
What are the fees and charges?
(Charges incurred when trading the ETF shares)

Key Product Information
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