SPDR® S&P/ASX Small Ordinaries Fund

Trade Date: 20-Mar-2013

1N.A.V. per Unit $ 12.35 2N.A.V. per Creation Unit $ 1,234,571.52 Value of Index Basket Shares for 20-Mar-2013 $ 1,234,409.36 3Cash Component per Creation Unit $ 162.16 4N.A.V. of SPDR® S&P/ASX Small Ordinaries Fund $ 6,177,561.34

Date: 21-Mar-2013 Opening Units on Issue 500,381.00 Applications 0.00 Redemptions 0.00 5Ending Units on Issue 500,381.00

Index Basket Shares per Creation Unit for 21-Mar-2013

Stock Code Name of Index Basket Share Shares AAC Australian Agricultu 3,019 AAD Ardent Leisure Ltd 4,820 AAX Ausenco Limited 1,263 ABP Abacus Property Grou 3,209 ACR Acrux Ltd 2,036 AGI Ainsworth Game Technology Ltd 1,320 AHE AUTOMOTIVE HLDGS GROUP 2,062 AIX AUSTRALIAN INFRASTR. 7,002 AJA Astro Japan Property 770 ALK Alkane Resources Limited 3,686 ALZ AUSTRALAND HOLDINGS 3,024 AMM Amcom Telecom Ltd 2,127 ANG Austin Engineering Limited 780 APN APN NEWS & MEDIA 6,638 APZ Aspen Group 16,581 AQA Aquila Resources Lim 2,467 AQG Anatolia Minerals Development Ltd 1,242 ARP ARB Corp Ltd 822 ASL Ausdrill Ltd 3,423 AWE AUSTRALIAN WORLDWIDE 7,333 BBG BILLABONG 5,414 BCI BC Iron Limited 1,047 BDR Beadell Resources Limited 9,069 BKN Bradken Limited 2,046 BLY Boart Longyear Limit 5,928 BRG Breville Group Ltd 1,091 BRU Buru Energy Limited 2,581 BSE Base Resources Limited 6,049 BTR Blackthorn Resources Limited 1,947 BTU Bathurst Resources Limited 9,312 SPDR® S&P/ASX Small Ordinaries Fund

Stock Code Name of Index Basket Share Shares BWP BWP TRUST 5,502 CAB Cabcharge Australia 1,439 CCP Credit Corp Group Limited 551 CCV Cash Converters International 3,730 CDA Codan Limited 1,208 CDD CARDNO 1,737 CDI Challenger Diversified Property Group 1,627 CDU Cudeco Limited 2,009 CHC Charter Hall Group 2,751 CLO Clough Ltd 3,302 CMW Cromwell Property Group 11,736 CNU Chorus Ltd. 781 COE Cooper Energy Ltd 4,394 CPL Coalspur Mines Ltd 5,854 CQR Charter Hall Retail REIT 3,559 CSR CSR LIMITED 6,576 CTP Central Petroleum Ltd 16,100 DCG Decmil Group Ltd 1,801 DLS Drillsearch Energy Ltd 5,009 DLX DuluxGroup Ltd 4,541 DML Discovery Metals Ltd 5,769 DMP Domino's Pizza Enterprises Ltd 529 EHL Emeco Holdings Ltd 8,114 ENV ENVESTRA LIMITED 9,613 ERA Energy Resources Of 2,435 EVN Evolution Mining Ltd 6,366 EVR Endeavour Mining Corporation 1,493 EWC Energy World Corpora 10,182 FBU Fletcher Building Ltd 1,707 FGE Forge Group Ltd 714 FKP FKP LIMITED 2,503 FMS Flinders Mines Limited 27,422 FWD Fleetwood Corporatio 661 FXJ FAIRFAX (JOHN) 25,838 FXL FlexiGroup Limited 2,463 GBG Gindalbie Metals Ltd 12,248 GEM G8 Education Limited 2,471 GFF Goodman Fielder Limi 21,413 GGG Greenland Minerals & Energy Ltd 6,816 GRY Gryphon Minerals Ltd 5,477 GUD G.U.D. HOLDINGS 963 GWA GWA Group Ltd 3,614 GXY Ltd 6,430 HGG Henderson Group PLC 8,473 HIL HILLS INDUSTRIES LTD 2,700 HZN Horizon Oil Ltd 13,244 IAU Intrepid Mines Limited 6,985 IFL IOOF Holdings Limite 2,695 IFN Infigen Energy 11,216 SPDR® S&P/ASX Small Ordinaries Fund

Stock Code Name of Index Basket Share Shares IGO Independence Group N 3,133 IIN iiNET Limited 1,367 IMD Imdex Limited 2,837 IRE IRESS LTD 1,324 IRN Indophil Resources NL 10,857 IVC Invocare Limited 1,363 JBH JB Hi-Fi Limited 1,186 KAR Karoon Gas Australia 2,176 KCN KINGSGATE CONSOLID. 2,021 KMD Kathmandu Holdings Limited 2,685 KRM Kingsrose Mining Limited 2,921 LNC Linc Energy Ltd 3,874 MAD Maverick Drilling & Exploration Ltd. 4,796 MAH Macmahon Holdings Li 13,560 MBN Mirabela Nickel Limi 10,264 MCR Mincor Resources NL 2,835 MDL Mineral Deposits Limited 1,192 MFG Magellan Financial Group Limited 1,235 MGX Mount Gibson Iron 8,803 MIO Miclyn Express Offshore Pte Ltd 1,253 MLD MACA Limited 1,334 MML Medusa Mining Limite 2,419 MMS McMillan Shakespeare Limited 703 MQA Macquarie Altas Road 4,763 MRM Mermaid Marine Austr 2,822 MSB Mesoblast Limited 1,975 MTU M2 Telecommunications Group Limited 1,790 NEN Neon Energy Ltd 7,162 NFE Northern Iron Limited 4,263 NST Northern Star Resources Ltd 5,172 NUF NUFARM LIMITED 2,321 NVT NAVITAS 3,028 NWH NRW Holdings Limited 3,493 NXS Nexus Energy Limited 18,091 NXT NEXTDC Ltd 1,631 OGC OceanaGold Corporation - CDI 1,829 ORE Ltd 1,439 ORL Orotongroup Limited 463 PBG Pacific Brands Limit 11,913 PDN Paladin Resources Li 10,087 PIR Papillon Resources Limited 3,156 PMV Premier Investments 1,188 PPT PERP.TRUSTEES AUST. 525 PRG Programmed Maintenance Servces 1,582 PTM Platinum Asset Manag 3,070 PXS Pharmaxis 4,309 QUB Qube Logistics Holdings Ltd 7,255 RCR RCR Tomlinson Limited 1,740 REA REA Group Ltd 559 SPDR® S&P/ASX Small Ordinaries Fund

Stock Code Name of Index Basket Share Shares RED RED 5 LTD 1,894 RFE Red Fork Energy Ltd 3,964 RFG Retail Food Group Limited 921 ROC ROC OIL COMPANY 9,193 RSG Resolute Mining Ltd 8,550 SAI SAI Global Ltd 2,485 SAR Saracen Mineral Holdings Ltd 8,188 SBM Limited 6,508 SCP Shopping Centres Australasia Property Grou 7,307 SDL Sundance Resources L 32,008 SEA Sundance Energy Australia Ltd 4,555 SFR Sandfire Resources NL 1,327 SGN STW COMMUNICATIONS G 3,827 SGT SINGAPORE TELECOMMUN 1,360 SIP Sigma Pharmaceutical 14,851 SIR Sirius Resources NL 2,166 SKE SKILLED ENGINEERING 2,570 SLR Silver Lake Resources Ltd 4,842 SLX SILEX SYSTEMS 1,874 SMX SMS MANAGEMENT 883 SPL Starpharma Holdings Limited 3,516 SRX Sirtex Medical Ltd 547 SUL Super Retail Group Ltd 1,633 SVW Seven Group Holdings Limited 1,237 SWM Seven West Media Ltd 7,242 SXL Southern Cross Media Li 7,227 SXY Senex Energy Limited 11,977 SYR Syrah Resources Limited 931 TAP TAP OIL NL 4,018 TEL Telecom Corporation 3,458 TEN TEN NETWORK HOLDINGS 20,647 TGA Thorn Group Ltd 1,899 TGS Tiger Resources Limited 9,289 TGZ Teranga Gold Corporation 1,604 TME Trade Me Ltd 1,458 TOX Tox Free Solutions Limited 1,339 TPI Transpacific Industr 11,284 TPM TPG Telecom Ltd 3,666 TRS The Reject Shop Limi 334 TRY Troy Resources NL 1,096 TSE TRANSFIELD SERVICES 5,729 UXC UXC Ltd 3,359 VAH Virgin Australia Holdings Ltd 13,865 WDR Western Desert Resources Ltd 3,919 WEB Webjet Ltd 874 WSA Western Areas NL 2,094 WTF Wotif.com Holdings L 1,625 SPDR® S&P/ASX Small Ordinaries Fund

Number of Stocks: 175

FootNotes:

1. N.A.V. per Unit - is the Net Asset Value of the SPDR® S&P/ASX Small Ordinaries Fund divided by the number of units in issue or deemed to be in issue (calculated in accordance with the SPDR® S&P/ASX Small Ordinaries Fund Constitution). It constitutes the Issue Price and the Withdrawal amount as described in the SPDR Prospectus. 2. N.A.V. per Creation Unit - is the N.A.V. per Unit multiplied by the number of units that may be applied for or redeemed (a 'Creation Unit'). 3. Cash Component per Creation Unit - difference between NAV per creation Unit and value of Index Basket. 4. N.A.V. of SPDR® S&P/ASX Small Ordinaries Fund - is the Net Asset Value of SPDR® S&P/ASX Small Ordinaries Fund. 5. The total units in issue (calculated in accordance with the SPDR® S&P/ASX Small Ordinaries Fund Constitution).

* The above amounts are calculated as at close of normal trading on the specified trade date.

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Standard & Poor’s® and S&P® are registered trademarks of Standard & Poor’s Financial Services LLC (“S&P”), and ASX® is a registered trademark of the ASX Operations Pty Ltd (“ASX”). These trademarks have been licensed for use by State Street Corporation. The SPDR® S&P/ASX Small Ordinaries Fund is not sponsored, endorsed, sold or promoted by S&P, ASX or their respective affiliates, and S&P, ASX and their respective affiliates make no representation, warranty or condition regarding the advisability of buying, selling or holding units/shares in the SPDR® S&P/ASX Small Ordinaries Fund . SPDR® S&P/ASX Small Ordinaries Fund is a trademark of the Australian Securities Exchange ("ASX"), and has been licensed for use by SSgA Australia. SPDR products are not sponsored, endorsed, sold or promoted by S&P, ASX, and S&P, ASX makes no representation regarding the advisability in investing in SPDR products. You should consider the Product Disclosure Statement in deciding whether to acquire, or to continue to hold such products.

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