NASDAQ International Dividend Achievers Index, 4
Portfolio Holdings by Security (As of Deposit Date)
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TickerSecurity DescriptionDeposit %
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ACEACE Limited1.11
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ACNAccenture plc1.22
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AMXAmerica Movil SAB de C.V.0.72
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ARMHARM Holdings plc0.37
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AWHAllied World Assurance Company Holdings, AG1.08
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AXBAxis Bank Limited0.46
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AXSAxis Capital Holdings Limited1.15
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BBLBHP Billiton plc2.31
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BCEBCE Inc.2.41
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BGBunge Limited0.75
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BHPBHP Billiton Limited2.17
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BIPBrookfield Infrastructure Partners L.P.2.49
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BTIBritish American Tobacco plc1.87
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CBDCompanhia Brasileira de Distribuiço0.46
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CHLChina Mobile Limited1.60
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CIBBancolombia S.A.1.41
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CLBCore Laboratories N.V.0.73
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CNICanadian National Railway Company0.60
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CNQCanadian Natural Resources Ltd.1.07
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CPCanadian Pacific Railway Ltd.0.32
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DCMNTT DOCOMO, Inc.1.72
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DEODiageo plc1.25
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ENBEnbridge Inc.1.50
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FMSFresenius Medical Care AG & Co.0.75
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FNVFranco-Nevada Corporation0.70
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GOLDRandgold Resources Ltd.0.44
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GSKGlaxoSmithKline plc2.69
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HDBHDFC Bank Ltd.0.32
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IMOImperial Oil Ltd.0.39
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INFYInfosys Limited0.81
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KOFCoca-Cola FEMSA, SAB de C.V.1.02
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LAZLazard Ltd.1.10
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LKODLUKOIL1.61
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MHLDMaiden Holdings, Ltd.1.74
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MRHMontpelier Re Holdings Ltd.0.93
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NMMNavios Maritime Partners L.P.3.88
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NTTNippon Telegraph & Telephone Corporation1.56
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NVONovo Nordisk A/S0.88
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NVSNovartis AG1.46
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PNRPentair plc0.88
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PREPartnerRe Ltd.1.13
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PRGOPerrigo Company plc0.15
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PSOPearson plc2.02
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PUKPrudential plc1.16
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RBARitchie Bros. Auctioneers Incorporated1.07
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RCIRogers Communications Inc.2.06
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RNRRenaissanceRe Holdings Ltd.0.62
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ROSNRosneft Oil Company2.83
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SHPGShire plc0.19
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SJRShaw Communications, Inc.1.87
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SNNSmith & Nephew plc0.88
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SNPChina Petroleum & Chemical Corporation2.49
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SNYSanofi S.A.1.93
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STOStatoil ASA3.70
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SUSuncor Energy, Inc.1.06
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SYTSyngenta AG1.75
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TEVATeva Pharmaceutical Industries Ltd.1.20
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TGHTextainer Group Holdings Limited2.59
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TGPTeekay LNG Partners L.P.4.76
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TOOTeekay Offshore Partners L.P.4.04
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TRIThomson Reuters Corporation1.70
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TRPTransCanada Corporation1.80
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TUTELUS Corporation1.72
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ULUnilever plc1.74
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UNUnilever N.V.1.80
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VODVodafone Group plc2.38
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WPPGYWPP plc1.43
Consumer Discretionary
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TickerSecurity DescriptionDeposit %
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PSOPearson plc2.02
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SJRShaw Communications, Inc.1.87
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TRIThomson Reuters Corporation1.70
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WPPGYWPP plc1.43
Consumer Staples
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TickerSecurity DescriptionDeposit %
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BTIBritish American Tobacco plc1.87
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BGBunge Limited0.75
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KOFCoca-Cola FEMSA, SAB de C.V.1.02
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CBDCompanhia Brasileira de Distribuiço0.46
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DEODiageo plc1.25
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UNUnilever N.V.1.80
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ULUnilever plc1.74
Energy
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TickerSecurity DescriptionDeposit %
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CNQCanadian Natural Resources Ltd.1.07
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SNPChina Petroleum & Chemical Corporation2.49
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CLBCore Laboratories N.V.0.73
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ENBEnbridge Inc.1.50
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IMOImperial Oil Ltd.0.39
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LKODLUKOIL1.61
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ROSNRosneft Oil Company2.83
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STOStatoil ASA3.70
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SUSuncor Energy, Inc.1.06
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TGPTeekay LNG Partners L.P.4.76
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TOOTeekay Offshore Partners L.P.4.04
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TRPTransCanada Corporation1.80
Financials
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TickerSecurity DescriptionDeposit %
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ACEACE Limited1.11
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AWHAllied World Assurance Company Holdings, AG1.08
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AXBAxis Bank Limited0.46
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AXSAxis Capital Holdings Limited1.15
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CIBBancolombia S.A.1.41
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HDBHDFC Bank Ltd.0.32
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LAZLazard Ltd.1.10
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MHLDMaiden Holdings, Ltd.1.74
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MRHMontpelier Re Holdings Ltd.0.93
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PREPartnerRe Ltd.1.13
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PUKPrudential plc1.16
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RNRRenaissanceRe Holdings Ltd.0.62
Health Care
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TickerSecurity DescriptionDeposit %
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FMSFresenius Medical Care AG & Co.0.75
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GSKGlaxoSmithKline plc2.69
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NVSNovartis AG1.46
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NVONovo Nordisk A/S0.88
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PRGOPerrigo Company plc0.15
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SNYSanofi S.A.1.93
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SHPGShire plc0.19
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SNNSmith & Nephew plc0.88
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TEVATeva Pharmaceutical Industries Ltd.1.20
Industrials
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TickerSecurity DescriptionDeposit %
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CNICanadian National Railway Company0.60
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CPCanadian Pacific Railway Ltd.0.32
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NMMNavios Maritime Partners L.P.3.88
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PNRPentair plc0.88
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RBARitchie Bros. Auctioneers Incorporated1.07
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TGHTextainer Group Holdings Limited2.59
Consumer Discretionary
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TickerSecurity DescriptionDeposit %
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ACNAccenture plc1.22
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ARMHARM Holdings plc0.37
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INFYInfosys Limited0.81
Materials
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TickerSecurity DescriptionDeposit %
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BHPBHP Billiton Limited2.17
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BBLBHP Billiton plc2.31
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FNVFranco-Nevada Corporation0.70
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GOLDRandgold Resources Ltd.0.44
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SYTSyngenta AG1.75
Telecommunication Services
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TickerSecurity DescriptionDeposit %
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AMXAmerica Movil SAB de C.V.0.72
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BCEBCE Inc.2.41
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CHLChina Mobile Limited1.60
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NTTNippon Telegraph & Telephone Corporation1.56
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DCMNTT DOCOMO, Inc.1.72
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RCIRogers Communications Inc.2.06
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TUTELUS Corporation1.72
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VODVodafone Group plc2.38
Utilities
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TickerSecurity DescriptionDeposit %
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BIPBrookfield Infrastructure Partners L.P.2.49
Summary
Description
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Trust Name
NASDAQ International Dividend Achievers Index, 4
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Trust Symbol
SMNADX
Deposit Data
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Deposit Date
01-20-2015
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Termination Date
01-19-2017
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Minimum Investment
100
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Distribution Frequency
Monthly (if any)
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Initial Public Offer Price
$10.00
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Historical 12-Month Dist.*
0.4132
CUSIP
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Cash Cusip
83178Q104
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Reinvest Cusip
83178Q112
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Fee Cash Cusip
83178Q120
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Fee Invest Cusip
83178Q138
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