08:51 Tracker Fund of Hong Kong <02800> Information TRACKER FUND OF HONG KONG (STOCK CODE 2800) INFORMATION: DATE: 28-Apr-2005 N.A.V. PER UNIT (NOTE1) $13.964318 N.A.V. PER CREATION UNIT (NOTE2) $13,964,317.88 DIVIDEND EQUIVALENT AMOUNT PER UNIT (NOTE3) $0.005489 DIVIDEND EQUIVALENT AMOUNT PER CREATION UNIT (NOTE4) $5,489.20 BALANCING CASH AMOUNT PER CREATION UNIT (NOTE5) $190.65 TOTAL CASH COMPONENT PER CREATION UNIT (NOTE6) $5,679.85 TRUST UNITS OUTSTANDING (NOTE7) 1,997,992,500.0 -------------------------------------------------------------------------- INDEX BASKET SHARES PER CREATION UNIT FOR: 29-Apr-2005 STOCK CODE NAME OF INDEX BASKET SHARE SHARE AMOUNT 0001 CHEUNG KONG 7,452 0002 CLP HOLDINGS 7,748 0003 HK & CHINA GAS 18,013 0004 WHARF HOLDINGS 7,874 0005 HSBC HOLDINGS 36,007 0006 HK ELECTRIC 6,867 0008 PCCW 17,292 0011 HANG SENG BANK 6,152 0012 HENDERSON LAND 5,840 0013 HUTCHISON 13,717 0016 SHK PPT 7,726 0019 SWIRE PACIFIC A 2,993 0020 WHEELOCK 6,539 0023 BANK OF E ASIA 4,807 0066 MTR CORPORATION 17,347 0097 HENDERSON INV 9,065 0101 HANG LUNG PPT 11,851 0144 CHINA MER HLDGS 6,902 0179 JOHNSON ELEC H 11,822 0203 DENWAY MOTORS 24,153 0267 CITIC PACIFIC 7,053 0291 CHINA RESOURCES 6,880 0293 CATHAY PAC AIR 10,850 0330 ESPRIT HOLDINGS 3,858 0494 LI & FUNG 9,393 0551 YUE YUEN IND 5,213 0762 CHINA UNICOM 40,444 0883 CNOOC 132,106 0941 CHINA MOBILE 63,413 0992 LENOVO GROUP 24,053 1038 CKI HOLDINGS 7,253 1199 COSCO PACIFIC 7,047 2388 BOC HONG KONG 34,022 ESTIMATED CASH COMPONENT PER CREATION UNIT: $5,608.43 -------------------------------------------------------------------------- FOOTNOTES: 1. N.A.V. PER UNIT IS THE NET ASSET VALUE OF THE TRACKER FUND OF HONG KONG DIVIDED BY THE NUMBER OF UNITS OUTSTANDING. 2. N.A.V. PER CREATION UNIT IS THE NET ASSET VALUE PER UNIT TIMES THE NUMBER OF UNITS IN A CREATION UNIT. 3. DIVIDEND EQUIVALENT AMOUNT PER UNIT IS A CASH AMOUNT REQUIRED TO BE PAID PER UNIT NECESSARY TO COVER NET UNDISTRIBUTED DIVIDENDS AND OTHER INCOME AMOUNTS RECEIVED AND HELD BY THE TRUST. 4. DIVIDEND EQUIVALENT AMOUNT PER CREATION UNIT IS THE DIVIDEND EQUIVALENT AMOUNT PER UNIT TIMES THE NUMBER OF UNITS IN A CREATION UNIT. 5. BALANCING CASH AMOUNT PER CREATION UNIT IS A FURTHER CASH AMOUNT REQUIRED TO BE PAID OR RECEIVED PER UNIT, WHICH EQUALS THE DIFFERENCE BETWEEN THE AGGREGATE OF (I) THE VALUE (CALCULATED ON A NOMINAL CLOSING PRICE BASIS) OF THE INDEX SHARES THE SUBJECT OF THE BASKET APPLICATION ON A PER UNIT BASIS AND (II) THE DIVIDEND EQUIVALENT AMOUNT PER UNIT AND THE PREVAILING NET ASSET VALUE PER UNIT (ALL SUCH VALUATIONS BEING AT THE VALUATION POINT ON THE RELEVANT DEALING DAY) MULTIPLIED BY THE NUMBER OF UNITS IN A CREATION UNIT. 6. TOTAL CASH COMPONENT PER CREATION UNIT IS THE AGGREGATE OF DIVIDEND EQUIVALENT AMOUNT PER CREATION UNIT, BALANCING CASH AMOUNT PER CREATION UNIT AND CASH IN LIEU OF ANY INDEX SHARES. 7. TRUST UNITS OUTSTANDING IS THE TOTAL UNITS IN ISSUE AND DEEMED TO BE IN ISSUE (PRIOR TO ANY CURRENT DAY TRANSACTION). -------------------------------------------------------------------------- The data is provided for reference only. State Street Bank and Trust Company ("SSB") and State Street Global Advisors Asia Limited ("SSgA") take no responsibility for the contents of the data supplied, make no representation as to its updateness, accuracy or completeness and expressly disclaim any liability whatsoever for any loss howsoever arising from or in reliance upon the use of or reference to such data.