Form 485BXT - New effective date for post-effective amendment [Rule 485(b)(1)(iii)]:
SEC Accession No. 0000897436-13-000296
Filing Date
2013-05-16
Accepted
2013-05-16 14:38:36
Documents
1

Document Format Files

Seq Description Document Type Size
1 ISHARES CURRENCY FUNDS BXT 2013-0516 currencyfundsbxt_2013-0516.htm 485BXT 67998
  Complete submission text file 0000897436-13-000296.txt   73076

Series and Classes/Contracts Information:

Existing
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038686   iShares Australian Dollar Cash Rate Fund
Class/Contract C000119209   iShares Australian Dollar Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038687   iShares Singapore Dollar Cash Rate Fund
Class/Contract C000119210   iShares Singapore Dollar Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038688   iShares Swedish Krona Cash Rate Fund
Class/Contract C000119211   iShares Swedish Krona Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038689   iShares Swiss Franc Cash Rate Fund
Class/Contract C000119212   iShares Swiss Franc Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038690   iShares Thai Offshore Baht Cash Rate Fund
Class/Contract C000119213   iShares Thai Offshore Baht Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038691   iShares Turkish Lira Cash Rate Fund
Class/Contract C000119214   iShares Turkish Lira Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038692   iShares British Pound Cash Rate Fund
Class/Contract C000119215   iShares British Pound Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038693   iShares Canadian Dollar Cash Rate Fund
Class/Contract C000119216   iShares Canadian Dollar Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038694   iShares Chinese Offshore Renminbi Cash Rate Fund
Class/Contract C000119217   iShares Chinese Offshore Renminbi Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038695   iShares Euro Cash Rate Fund
Class/Contract C000119218   iShares Euro Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038696   iShares Japanese Yen Cash Rate Fund
Class/Contract C000119219   iShares Japanese Yen Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038697   iShares Mexican Peso Cash Rate Fund
Class/Contract C000119220   iShares Mexican Peso Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038698   iShares New Zealand Dollar Cash Rate Fund
Class/Contract C000119221   iShares New Zealand Dollar Cash Rate Fund
  Status Name Ticker Symbol
CIK 0001100663      
Series S000038699   iShares Norwegian Krone Cash Rate Fund
Class/Contract C000119222   iShares Norwegian Krone Cash Rate Fund
Mailing Address 400 HOWARD STREET SAN FRANCISCO CA 94105
Business Address 400 HOWARD STREET SAN FRANCISCO CA 94105 (415) 670-2000
iSHARES TRUST (Filer) CIK: 0001100663 (see all company filings)

EIN.: 943351276 | State of Incorp.: DE | Fiscal Year End: 1231
Type: 485BXT | Act: 33 | File No.: 333-92935 | Film No.: 13850732

Mailing Address 400 HOWARD STREET SAN FRANCISCO CA 94105
Business Address 400 HOWARD STREET SAN FRANCISCO CA 94105 (415) 670-2000
iSHARES TRUST (Filer) CIK: 0001100663 (see all company filings)

EIN.: 943351276 | State of Incorp.: DE | Fiscal Year End: 1231
Type: 485BXT | Act: 40 | File No.: 811-09729 | Film No.: 13850733