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casinos austria international anleihe 2020 UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.
The following is a copy of the report transmitted to shareholders pursuant to Rule 30e-1 under the Investment Company Act of 1940 17 CFR 270.
By doing so, you will receive the information faster and help us reduce the impact on the environment of providing these materials.
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I am pleased to present the ProShares Trust Annual Report for the six months ending November 30, 2016.
Stock Markets Mixed U.
Small-cap companies were the biggest gainers.
Smaller companies tend to be less reliant on international trade than large companies, which means their profits are less exposed if the new administration takes a more protectionist approach to trade.
Seven of 10 Dow Jones U.
Industry Indices gained during the six-month period.
Utilities, health care and consumer goods were the biggest losers, down 2.
Outside the United States, stock markets were mixed.
The MSCI EAFE Index, which tracks developed markets outside North America, fell 1.
The Brexit vote in June has clouded the political climate across Europe, making the economic and investment outlook murkier, too.
Japan was up 4.
Emerging markets staged a strong recovery, with the MSCI Emerging Markets index up 8.
Bond Markets Mostly Negative Bond markets had mostly negative results for the six-month period, with the Barclays U.
Aggregate Bond Index down 0.
Interest rates surged during the latter part of the period, the result of rising growth and inflation expectations, the president-elect's promise of tax cuts and fiscal stimulus, and expectations of a Fed Funds rate hike which did occur in December.
Longer-dated Treasurys were hit the hardest, with the Ryan Labs Treasury 10 Year and 30 Year Indexes down 4.
Credit markets were mixed.
ProShares Lineup Continues to Expand At the forefront of the ETF revolution since 2006, ProShares celebrated its tenth anniversary this year.
Another key development during the six-month period: we launched the only K-1 free U.
Thank you for investing in ProShares.
We appreciate your continued trust and confidence.
The Index contains a minimum of 40 stocks, which are equally weighted, and no single sector is allowed to comprise more than 30% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Nucor Corp.
The Index contains all companies meeting these requirements with a minimum of 40 stocks which are equally weighted.
No single sector is allowed to comprise more than 30% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Bank of the Ozarks, Inc.
The Index, casinos austria international anleihe 2020 and maintained by Russell Investments, targets companies that are currently members netent casino 2020 no deposit new the Russell 2000 Index, have increased dividend payments each year for at least 10 consecutive years and meet certain market casino superlines no deposit bonus codes 2020 and liquidity requirements.
The Index contains a minimum of 40 stocks, which are equally weighted.
No single sector is allowed to comprise more than 30% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities just click for source % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets GATX Corp.
The Index, constructed and maintained by MSCI, targets companies that are currently members of the MSCI EAFE Index and have increased dividend payments each year for at least 10 years.
The Index contains a minimum of 40 stocks, which are equally weighted.
Generally, no single sector is allowed to comprise more than 30% of the Index's weight, and no single country is allowed to comprise more than 50% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Ashtead Group plc 1.
The Index, constructed and maintained by MSCI, targets companies that are currently members of the MSCI Europe Index and have increased dividend payments each year for at least 10 years.
The Index contains a minimum of 25 stocks, which are equally weighted.
Generally, no single sector is allowed to comprise more than 30% of the Index's weight, and no single country is allowed to comprise more than 50% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Ashtead Group plc 2.
The Index, constructed and maintained by MSCI, targets companies that are currently members of the MSCI Emerging Markets Index and have increased dividend payments each year for at least 7 years.
The Index contains a minimum of 40 stocks, which are equally weighted.
Generally, no single sector is allowed to comprise more than 30% of the Index's weight, and no single country is allowed to comprise more than 50% of the Index's weight.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Alfa SAB de CV, Class A 1.
The Index is designed to provide diversified exposure to alternative asset classes in order to enhance risk adjusted portfolio returns when combined with a range of traditional investments.
Market Exposure Investment Type % of Net Assets Exchange Traded Funds 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets ProShares DJ Brookfield Global Infrastructure ETF 17.
Market Exposure Investment Type % of Net Assets Equity Securities 83 % Master Limited Partnerships 16 % Closed End Funds 1 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets National Grid plc 5.
The Index, published by LPX GmbH "LPX"consists of up to 30 qualifying listed private equity companies.
A listed private equity company is an eligible candidate for the Index if its no slot bonus deposit 2020 codes madness casino private equity investments, as well as cash and cash equivalent positions and post-Initial Public Offering listed investments, represent more than 80% of the total assets of the company.
Market Exposure Investment Type % of Net Assets Equity Securities 91 % Closed End Funds 7 % Master Limited Partnerships 2 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Onex Corp.
The Index is designed to replicate an investment strategy that establishes either long or short positions in the stocks of 500 leading large-cap U.
This results in the Index having total long exposure of 130% and total short exposure of 30% at each monthly reconstitution date.
Market Exposure Investment Type % of Net Assets Equity Securities 95 % Swap Agreements Long 36 % Swap Agreements Short 31 % Net Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Apple, Inc.
It is a float-adjusted, market capitalization-weighted index of 500 U.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Apple, Inc.
It is a float-adjusted, market capitalization-weighted index of 500 U.
Market Exposure Investment Type % of Net Assets Equity Securities 99 % Total Exposure 99 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Apple, Inc.
It is a float-adjusted, market capitalization-weighted index of 500 U.
Market Exposure Investment Type % of Net Assets Equity Securities 100 % Total Exposure 100 % ctiTemp "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Apple, Inc.
It is a float-adjusted, market capitalization-weighted index of 500 U.
Market Exposure Investment Type % of Net Assets Equity Securities 99 % Total Exposure 99 casinos austria international anleihe 2020 "Market Exposure" includes the value of total casinos austria international anleihe 2020 including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Exxon Mobil Corp.
The Index is a free float-adjusted and market cap weighted index of European stocks that comprise approximately the top 90% of the market capitalization of the European stock market.
Securities in the Index are screened for liquidity.
Market Exposure Investment Type % of Net Assets Equity Securities 99 % Forward Currency Contracts 98 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Nestle SA Registered 2.
The Index is a free float-adjusted and market cap weighted Index of those Japanese stocks that comprise approximately the top 90% of the market capitalization of the Japanese stock market.
Securities in the Index are screened for liquidity.
Market Exposure Investment Type % of Net Assets Equity Securities 98 % Forward Currency Contracts 93 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Toyota Motor Corp.
The Index is comprised of a long positions in U.
Treasury notes or bonds of, in aggregate, approximate equivalent duration to the high yield bonds.
Currently, the bonds eligible for inclusion in the Index include high yield bonds that are issued by companies domiciled in the U.
Market Exposure Investment Type % of Net Assets High Yield Bonds 95 % Futures Contracts 97 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Long-Term Fixed-Income Holdings % of Net Assets Reynolds Group Issuer, Inc.
The Index is comprised of a long positions in USD-denominated investment grade corporate bonds issued by both U.
Treasury notes or bonds of, in aggregate, approximate equivalent duration to the investment grade bonds.
Currently, the bonds eligible for inclusion in the Index include all investment grade bonds that are issued by U.
Market Exposure Investment Type % of Net Assets Corporate Bonds 95 % Futures Contracts 98 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Long-Term Fixed-Income Holdings % of Net Assets Goldman Sachs Group, Inc.
The Fish casino promo codes 2020 is comprised of a diversified portfolio of USD-denominated Emerging Market bonds that have less than five years remaining to maturity that are visit web page by Emerging Market sovereign governments, non-sovereign government agencies and entities, and corporations with significant government ownership.
Market Exposure Investment Type % of Net Assets Fixed-Income Securities 98 % Total Exposure 98 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
The Index, published by Solactive AG, seeks to track the performance of U.
visit web page, the Index aims to include the universe of USD fixed-rate Covered Bonds that conform to the eligibility criteria for the Index.
The Covered Bond must be either registered with the Securities and Exchange Commission or eligible for resale under Rule 144A under the Securities Act of 1933, and satisfy the liquidity criteria applicable to the Index.
Market Exposure Investment Type % of Net Assets Covered Bonds 98 % Total Exposure 98 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Long-Term Fixed-Income Holdings % of Net Assets Westpac Banking Corp.
The Index, published by Markit Group Limited, seeks casinos austria international anleihe 2020 track the performance of fixed rate debt securities of the Federal Republic of Germany "Sovereign" as well as local check this out and entities or agencies guaranteed by various German governments "Sub-Sovereign" issuers and may invest in derivatives that ProShare Advisors believes, in combination, should track the performance of the index.
Qualifying constituents must be rated "Investment Grade" or higher based on an average of ratings issued by Moody's Investor Services, Inc.
Market Exposure Investment Type % of Net Assets Fixed-Income Securities 99 % Total Exposure 99 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Long-Term Fixed-Income Holdings % of Net Assets KFW, 0.
The Benchmark, established by Merrill Lynch International, seeks to provide the risk and return characteristics of the hedge fund asset class by targeting a high correlation to the HFRI Fund Weighted Composite Index the "HFRI".
The HFRI is designed to reflect hedge fund industry performance through an equally weighted composite of over 2000 constituent funds.
In seeking to maintain a high correlation with the HFRI, the Benchmark utilizes a synthetic model to establish, each month, weighted long or short or, in certain cases, long or flat positions in six underlying factors "Factors".
Treasury Bills, and 6 the ProShares UltraShort Euro ETF.
Market Exposure Investment Type % of Net Assets Equity Securities 7 % Swap Agreements Long 26 % Swap Agreements Short 2 % Short Euro Futures Contracts 7 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Advanced Micro Devices, Inc.
The Benchmark seeks to capture the economic benefit from trends in either direction in the physical commodities, interest rates and currencies markets by taking long or short positions in related futures contracts.
The Fund attempts to capture the economic benefit derived from rising and declining trends based on the price changes of commodity futures contracts "Commodity Futures Contracts" and U.
The Fund will not invest directly in Commodity Futures Contracts.
The Fund expects to gain exposure to these investments by investing a portion of its assets in the ProShares Cayman Portfolio I, a wholly-owned subsidiary of the Fund organized under the laws of the Cayman Islands the "Subsidiary".
The Subsidiary is advised by ProShare Advisors, the Fund's investment advisor.
The Fund is not an index tracking exchange-traded fund.
Market Exposure Investment Type % of Net Assets Commodity Futures Contracts Long 19 % Commodity Futures Contracts Short 25 % Currency Futures Contracts Long 4 % Currency Futures Contracts Short 19 % U.
Treasury Notes Futures Contracts Short 11 % U.
check this out Bonds Futures Contracts Short 18 % Total Exposure 8 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
The Index also includes a Treasury bill component which constitutes the remainder of the Index when net exposure from included Deals is less than 100%.
Market Exposure Investment Type % of Net Assets Equity Securities 95 % Master Limited Partnership 3 % Swap Agreements Long 40 % Swap Agreements Short 24 % Forward Currency Contracts 10 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Yadkin Financial Corp.
The Click at this page allocates an equal dollar amount to both long and short equity positions each time that the Index rebalances.
The long positions of the index consist of the equity securities in the FTSE RAFI US please click for source Total Return Index the "Long Index"and the short positions of the index consist of short-positions in the securities included in the Russell 1000 Total Return Index.
The Long Index is a "fundamental" index which uses non-price measures of company size such as sales, dividends, cash flow or book value to select and weight the securities in the Long Index.
The Short Index is a capitalization weighted index.
Capitalization-weighted indexes weight securities based on the price of the securities in the index and not fundamental factors.
By going long a non-capitalization weighted "fundamental" index and short a capitalization-weighted index, the Index seeks to capitalize on a theory that index weighting based on market capitalization i.
Market Exposure Investment Type % of Net Assets Equity Securities 99 % Swap Agreements Long 2 % Swap Agreements Short 100 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Largest Equity Holdings Company % of Net Assets Exxon Mobil Corp.
The Fund's strategy seeks to outperform certain index based strategies by actively managing the rolling of WTI crude oil futures contracts.
The Fund generally will not invest directly in WTI crude oil futures.
The Fund expects to gain exposure to these investments by investing a portion of its assets in the ProShares Cayman Crude Oil Strategy Portfolio, a wholly-owned subsidiary of the Fund organized under the laws of the Cayman Islands the "Subsidiary".
The Subsidiary is advised by ProShare Advisors, the Fund's investment advisor, and invests directly in WTI crude oil futures.
Market Exposure Investment Type % of Net Assets Commodity Futures Contracts Long 100 % Total Exposure 100 % ProShares Inflation Expectations ETF Ticker: RINF INFLATION PROSHARES ProShares Inflation Expectations ETF the "Fund" seeks investment results, before fees and expenses, that track the performance of the Citi 30-Year TIPS Treasury Rate-Hedged Index the "Index".
The Index tracks the performance of i long positions in the most recently issued 30-year Treasury Inflation-Protected Securities "TIPS" and ii duration-adjusted short positions in U.
Treasury bonds of, in aggregate, approximate equivalent duration dollars to the TIPS.
The Index seeks to achieve an overall duration dollar amount of zero.
Market Exposure Investment Type % of Net Assets U.
Treasury Obligations 83 % Swap Agreements Long 18 % Swap Agreements Long exposure to inverse index 142 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Citi 30-Year TIPS Treasury Rate-Hedged Index – Composition % of Index 30-Year Treasury Inflation-Protected Securities TIPS Bond 100.
This actively managed Fund seeks to casinos austria international anleihe 2020 its investment objective primarily through investing in a portfolio of credit derivatives whose underlying reference entities are North American high yield i.
Market Exposure Investment Type % of Net Assets Credit Default Swap "CDS" Aggrements 94 % "Market Exposure" includes the value of total investments including the contract value of any derivatives and excludes any short-term investments and cash equivalents.
Industry Exposure % of Market Exposure CDS Consumer Discretionary 23.
The expense examples below are intended to help you understand your ongoing costs in dollars of investing in the Funds and to compare these costs with the ongoing costs of investing in other funds.
The first line in the following tables provides information about actual account values and actual expenses.
You may use the information in this line, together with the amount you invested, to estimate the expenses that you paid over the period.
The second line in the following tables provides information about hypothetical account values and hypothetical expenses based on the Funds' actual expense ratio and an assumed rate of return of 5% per year before expenses, which is not the Funds' actual return.
The hypothetical account values and expenses may not be used to estimate the actual ending account balance or expenses you paid for the period.
You may use this information to compare the ongoing costs of investing in the Funds and other funds.
To do so, compare this 5% hypothetical example with the 5% hypothetical examples that appear in the shareholder reports of the other funds.
Please note that the expenses shown in the table are meant to highlight your ongoing costs only and do not reflect any transaction costs, such as brokerage charges.
Therefore, the second line for each Fund in the table is useful in comparing ongoing costs only, and will not help you determine the relative total costs of owning different funds.
In addition, if transaction costs were included, your costs would have been higher.
The Fund's Annualized Expense Ratio During Period disclosed in the table above reflects only the direct expenses of the Fund.
If the Fund's Annualized Expense Ratio During Period included such indirect expenses, known as Acquired Fund Fees and Expenses, it would have been 0.
Actual Expenses Paid During the Period are equal to the Fund's annualized net expense ratio, multiplied by the average account value over the period, multiplied by 65 divided by 365 to reflect the actual days in the period.
Hypothetical Expenses Paid During the Period are equal to the Fund's annualized net expense ratio, multiplied by the average account value over the period, multiplied by 183 divided by 365 to reflect the one-half year period.
PROSHARES TRUST EXPENSE EXAMPLES UNAUDITED :: XXI SCHEDULE OF PORTFOLIO INVESTMENTS PROSHARES TRUST SCHEDULE OF PORTFOLIO INVESTMENTS :: NOVEMBER 30, 2016 UNAUDITED :: 1 Investments Shares Value Common Stocks — 99.
The 1,181,081 47,656,618 PepsiCo, Inc.
The 423,624 48,953,990 Colgate-Palmolive Co.
The 597,705 49,286,754 195,419,669 Industrial Conglomerates — 2.
See "Repurchase Agreements" under Note 2 in the Notes to Financial Statements to view the details of each individual agreement and counterparty as well as a description of the securities subjected to repurchase.
See "Repurchase Agreements" under Note 2 in the Notes to Financial Statements to view the details of each individual agreement and counterparty as well as a description of the securities subjected to repurchase.
The 123,642 4,865,313 Food Products — 6.


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