Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares CSI China Internet ETF

 

    Shares     Value  
COMMON STOCK — 98.4% ‡                
CHINA — 97.9%                
Communication Services — 41.8%                
Autohome ADR (A)     2,154,854     $ 41,006,872  
Baidu, Cl A *     14,507,984       202,762,676  
Bilibili, Cl Z *     10,521,124       176,692,578  
China Literature *(A)     16,484,600       39,771,314  
China Ruyi Holdings *(A)     358,732,000       68,159,560  
JOYY ADR     941,015       62,097,580  
Kingsoft     35,790,800       101,228,626  
Kuaishou Technology, Cl B     37,187,800       197,271,438  
Meitu (A)     101,483,000       48,528,287  
NetEase (A)     13,063,305       337,158,387  
NetEase Cloud Music *     2,653,450       34,817,427  
Tencent Holdings     9,218,075       505,215,936  
Tencent Music Entertainment Group ADR     19,643,745       164,025,271  
Weibo ADR (A)     3,066,093       22,259,835  
XD     8,939,800       50,729,223  
              2,051,725,010  
Consumer Discretionary — 36.3%                
Alibaba Group Holding     31,462,464       372,516,087  
JD.com, Cl A     14,814,390       187,492,838  
Meituan, Cl B *     37,811,947       330,285,878  
PDD Holdings ADR *     5,020,861       382,991,277  
TAL Education Group ADR *     15,047,480       144,004,384  
Tongcheng Travel Holdings     44,517,800       68,064,909  
Trip.com Group *     4,496,500       178,666,216  
Vipshop Holdings ADR     8,977,994       119,048,201  
              1,783,069,790  
Consumer Staples — 6.7%                
Alibaba Health Information Technology *(A)     206,692,000       81,179,202  
East Buy Holding *(A)     17,102,500       49,244,069  
JD Health International *     40,476,837       169,504,061  
Ping An Healthcare and Technology *(A)     34,116,700       30,366,367  
              330,293,699  
Financials — 1.9%                
Qfin Holdings ADR     2,981,028       47,130,052  
ZhongAn Online P&C Insurance, Cl H *(A)     40,793,300       46,816,802  
              93,946,854  
Industrials — 7.3%                
Full Truck Alliance ADR     24,746,064       200,938,040  
Kanzhun ADR     12,049,336       155,074,954  
              356,012,994  

 

1

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares CSI China Internet ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Real Estate — 3.9%                
KE Holdings, Cl A     39,313,800     $ 188,295,959  
                 
TOTAL CHINA             4,803,344,306  
                 
HONG KONG — 0.5%                
Communication Services — 0.5%                
Damai Entertainment Holdings *(A)     367,520,000       21,323,710  
TOTAL HONG KONG             21,323,710  
                 
TOTAL COMMON STOCK
(Cost $6,395,775,543)
            4,824,668,016  
                 
SHORT-TERM INVESTMENT — 4.6%                
Invesco Government & Agency Portfolio, AGPXX, Cl Institutional, 3.570% (B)(C)     227,358,928       227,358,928  
TOTAL SHORT-TERM INVESTMENT
(Cost $227,358,928)
            227,358,928  
                 
TOTAL INVESTMENTS — 103.0%
(Cost $6,623,134,471)
            5,052,026,944  
OTHER ASSETS LESS LIABILITIES – (3.0)%             (144,786,438 )
NET ASSETS - 100%           $ 4,907,240,506  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Certain securities or partial positions of certain securities are on loan at June 30, 2026.
(B) The rate shown is the 7-day effective yield as of June 30, 2026.
(C) This security was purchased with cash collateral held from securities on loan. The total value of such security as of June 30, 2026 was $227,358,928.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-002-2600

 

2

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Bosera MSCI China A 50 Connect Index ETF

 

    Shares     Value  
COMMON STOCK — 99.3% ‡                
CHINA — 99.3%                
Communication Services — 1.2%                
China United Network Communications, Cl A     1,783,200     $ 1,050,795  
Zhejiang Century Huatong Group, Cl A     420,500       873,461  
              1,924,256  
Consumer Discretionary — 4.0%                
BYD, Cl A     334,000       3,921,597  
Midea Group, Cl A     213,700       2,377,838  
              6,299,435  
Consumer Staples — 5.8%                
Kweichow Moutai, Cl A     38,789       6,774,303  
Muyuan Foods Group, Cl A     173,025       891,889  
Wuliangye Yibin, Cl A     122,879       1,339,577  
              9,005,769  
Energy — 2.4%                
China Shenhua Energy, Cl A     225,347       1,296,044  
PetroChina, Cl A     1,018,600       1,302,511  
Shaanxi Coal Industry, Cl A     397,736       1,192,388  
              3,790,943  
Financials — 16.7%                
Agricultural Bank of China, Cl A     3,070,707       2,745,903  
Bank of China, Cl A     1,434,300       1,208,632  
Bank of Communications, Cl A     1,924,499       1,823,001  
Bank of Ningbo, Cl A     238,268       1,042,159  
China Merchants Bank, Cl A     743,967       3,890,812  
China Pacific Insurance Group, Cl A     246,914       1,037,417  
CITIC Securities, Cl A     440,046       1,862,481  
East Money Information, Cl A     570,092       1,711,620  
Guotai Haitong Securities, Cl A     509,400       1,365,804  
Industrial & Commercial Bank of China, Cl A     2,269,126       2,363,394  
Industrial Bank, Cl A     763,322       1,862,200  
Ping An Bank, Cl A     699,867       1,036,191  
Ping An Insurance Group of China, Cl A     384,498       2,704,174  
Shanghai Pudong Development Bank, Cl A     1,202,246       1,524,947  
              26,178,735  
Health Care — 4.0%                
Jiangsu Hengrui Pharmaceuticals, Cl A     336,287       2,578,134  
Shenzhen Mindray Bio-Medical Electronics, Cl A     63,953       1,279,720  
WuXi AppTec, Cl A     130,400       2,391,883  
              6,249,737  
Industrials — 14.3%                
Beijing-Shanghai High Speed Railway, Cl A     2,553,500       1,704,089  

 

3

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Bosera MSCI China A 50 Connect Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials (continued)                
China CSSC Holdings, Cl A     392,800     $ 1,955,320  
China State Construction Engineering, Cl A     2,156,618       1,378,863  
Contemporary Amperex Technology, Cl A     230,011       13,317,122  
NARI Technology, Cl A     419,215       1,411,176  
Sungrow Power Supply, Cl A     108,126       2,533,028  
              22,299,598  
Information Technology — 37.2%                
Advanced Micro-Fabrication Equipment China, Cl A     50,856       3,510,023  
Cambricon Technologies, Cl A     34,152       8,027,528  
Eoptolink Technology, Cl A     75,740       6,772,861  
Foxconn Industrial Internet, Cl A     576,500       6,127,648  
Hygon Information Technology, Cl A     126,575       6,904,938  
Luxshare Precision Industry, Cl A     396,850       4,115,828  
NAURA Technology Group, Cl A     39,484       5,145,225  
Suzhou Dongshan Precision Manufacturing, Cl A *     99,800       3,857,179  
Victory Giant Technology Huizhou, Cl A     47,600       2,429,297  
Zhongji Innolight, Cl A     60,500       11,319,240  
              58,209,767  
Materials — 10.1%                
CMOC Group, Cl A     1,795,300       4,641,649  
Wanhua Chemical Group, Cl A     321,899       3,244,124  
Zijin Mining Group, Cl A     2,118,242       7,845,110  
              15,730,883  
Real Estate — 0.4%                
China Merchants Shekou Industrial Zone Holdings, Cl A     333,100       315,532  
Poly Developments and Holdings Group, Cl A     442,277       301,671  
              617,203  
Utilities — 3.2%                
China National Nuclear Power, Cl A     833,200       1,108,396  
China Yangtze Power, Cl A     991,170       3,865,096  
              4,973,492  
TOTAL CHINA             155,279,818  
                 
TOTAL COMMON STOCK
(Cost $128,739,289)
            155,279,818  

 

4

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Bosera MSCI China A 50 Connect Index ETF (concluded)

 

    Number of
Rights
    Value  
RIGHTS — 0.0%              
CHINA — 0.0%              
Health Care — 0.0%              
Kangmei Pharma ‡‡*(A)   58,208     $  
TOTAL CHINA            
TOTAL RIGHTS
(Cost $–)
           
               
TOTAL INVESTMENTS — 99.3%
(Cost $128,739,289)
          155,279,818  
OTHER ASSETS LESS LIABILITIES – 0.7%           1,160,206  
NET ASSETS - 100%         $ 156,440,024  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
‡‡ Expiration date not available.
(A) Level 3 security in accordance with fair value hierarchy.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-003-2500

 

5

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF

 

    Shares     Value  
COMMON STOCK — 99.9% ‡                
CHINA — 45.2%                
Energy — 1.8%                
China Petroleum & Chemical, Cl H     138,000     $ 70,390  
                 
Financials — 5.4%                
Bank of Changsha, Cl A     7,300       9,367  
Bank of Chengdu, Cl A     7,700       20,078  
Bank of Hangzhou, Cl A     13,100       27,887  
Bank of Jiangsu, Cl A     33,255       52,812  
Bank of Nanjing, Cl A     22,391       32,623  
Bank of Ningbo, Cl A     12,046       52,688  
Bank of Suzhou, Cl A     8,100       8,305  
Chongqing Rural Commercial Bank, Cl H     13,000       9,582  
              213,342  
Industrials — 16.2%                
Beijing New Building Materials, Cl A     3,108       8,283  
Beijing-Shanghai High Speed Railway, Cl A     88,800       59,261  
China Energy Engineering, Cl A     61,700       24,269  
China Merchants Expressway Network & Technology Holdings, Cl A     9,300       12,550  
China Railway Group, Cl H     24,500       10,341  
China State Construction Engineering, Cl A     75,000       47,952  
China XD Electric, Cl A     9,300       20,441  
CRRC, Cl H     26,000       14,886  
Daqin Railway, Cl A     36,632       24,878  
Dongfang Electric, Cl A     5,500       23,311  
Hunan Yuneng New Energy Battery Material, Cl A     1,500       16,766  
Jiangsu Hengli Hydraulic, Cl A     2,400       38,030  
Jiangsu Zhongtian Technology, Cl A     6,300       56,318  
JL Mag Rare-Earth, Cl A     2,100       9,544  
Metallurgical Corp of China, Cl A     32,100       11,539  
NARI Technology, Cl A     14,652       49,322  
Ningbo Orient Wires & Cables, Cl A     1,560       9,540  
Ningbo Sanxing Medical Electric, Cl A     2,600       5,722  
Power Construction Corp of China, Cl A     31,300       21,672  
Shanghai Electric Group, Cl A *     22,900       23,615  
Shenzhen Envicool Technology, Cl A     2,340       27,426  
Shenzhen Inovance Technology, Cl A     2,550       24,918  
Sichuan Huafeng Technology, Cl A *     836       23,093  
Sichuan Road & Bridge, Cl A     11,900       13,709  
TBEA, Cl A     9,167       30,386  
Zhejiang Chint Electrics, Cl A     3,900       14,404  
Zhuzhou CRRC Times Electric, Cl H     2,600       13,282  
              635,458  

 

6

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials — 7.7%                
Anhui Conch Cement, Cl H     7,500     $ 16,039  
Baiyin Nonferrous Group, Cl A     12,300       9,205  
China National Building Material, Cl H     23,000       15,662  
China Northern Rare Earth Group High-Tech, Cl A     6,624       46,889  
China Rare Earth Resources And Technology, Cl A *     2,000       16,349  
China Tungsten And Hightech Materials, Cl A     4,100       57,816  
Guocheng Mining, Cl A     2,100       10,590  
Henan Shenhuo Coal Industry & Electricity Power, Cl A     4,100       12,805  
Inner Mongolia Xingye Silver&Tin Mining, Cl A     3,300       16,024  
Jinduicheng Molybdenum, Cl A     5,400       22,362  
Shanjin International Gold, Cl A     5,100       12,772  
Western Mining, Cl A     4,400       17,592  
Western Superconducting Technologies, Cl A     1,173       10,854  
Xiamen Tungsten, Cl A     2,900       36,399  
              301,358  
Utilities — 14.1%                
Beijing Enterprises Holdings     3,000       10,283  
CGN Power, Cl H     61,000       20,846  
China Gas Holdings     16,600       10,965  
China Longyuan Power Group, Cl H     15,000       9,564  
China National Nuclear Power, Cl A     37,400       49,753  
China Power International Development     23,000       8,036  
China Resources Gas Group     5,600       10,469  
China Resources Power Holdings     12,635       27,261  
China Three Gorges Renewables Group, Cl A     51,900       28,366  
China Yangtze Power, Cl A     44,400       173,139  
Datang International Power Generation, Cl A     18,800       19,609  
ENN Energy Holdings     4,500       23,217  
ENN Natural Gas, Cl A     4,400       10,242  
GD Power Development, Cl A     32,400       22,290  
Huadian Power International, Cl A     18,042       11,828  
Huaneng Power International, Cl H     25,000       17,470  
Kunlun Energy     24,000       19,678  
SDIC Power Holdings, Cl A     13,406       26,287  
Shenergy, Cl A     8,919       11,471  
Sichuan Chuantou Energy, Cl A     8,884       18,545  
Wintime Energy Group, Cl A *     39,600       9,392  
Zhejiang Zheneng Electric Power, Cl A     17,500       13,561  
              552,272  
TOTAL CHINA             1,772,820  

 

7

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
GREECE — 0.2%                
Industrials — 0.2%                
Aegean Airlines     520     $ 7,550  
TOTAL GREECE             7,550  
                 
HONG KONG — 0.1%                
Industrials — 0.1%                
Hutchison Port Holdings Trust, Cl U     24,900       4,258  
TOTAL HONG KONG             4,258  
                 
INDIA — 7.6%                
Consumer Discretionary — 2.8%                
Tata Motors     24,712       110,417  
                 
Energy — 0.5%                
Great Eastern Shipping     1,265       19,820  
                 
Industrials — 1.7%                
AIA Engineering     533       28,612  
Azad Engineering *     369       8,012  
MTAR Technologies *     278       22,380  
Shaily Engineering Plastics     266       8,137  
              67,141  
Materials — 2.6%                
Navin Fluorine International     447       36,300  
PI Industries     917       24,752  
UPL     6,798       41,021  
              102,073  
TOTAL INDIA             299,451  
                 
INDONESIA — 1.0%                
Energy — 0.3%                
Adaro Andalan Indonesia     19,600       8,523  
Medco Energi Internasional     69,300       3,973  
              12,496  
Materials — 0.7%                
Barito Pacific *     259,000       18,614  
Indah Kiat Pulp & Paper     18,100       7,162  
              25,776  
TOTAL INDONESIA             38,272  
                 
ISRAEL — 2.6%                
Industrials — 1.0%                
ZIM Integrated Shipping Services     1,531       39,806  

 

8

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials — 1.6%                
ICL Group     9,534     $ 47,807  
The Israel Corp     50       12,769  
              60,576  
TOTAL ISRAEL             100,382  
                 
KAZAKHSTAN — 1.5%                
Energy — 1.5%                
NAC Kazatomprom JSC GDR     856       58,807  
                 
Materials — 0.0%                
Solidcore Resources PLC *(A)     7,154        
                 
TOTAL KAZAKHSTAN             58,807  
                 
KUWAIT — 9.5%                
Financials — 9.5%                
Kuwait Finance House     148,070       366,590  
Kuwait Projects Holding *     29,610       7,379  
TOTAL KUWAIT             373,969  
                 
MALAYSIA — 1.7%                
Industrials — 0.9%                
Kelington Group     7,400       14,519  
Sime Darby     36,400       19,104  
              33,623  
Materials — 0.8%                
Petronas Chemicals Group     32,100       31,883  
                 
TOTAL MALAYSIA             65,506  
                 
PHILIPPINES — 0.6%                
Industrials — 0.3%                
JG Summit Holdings     32,742       14,138  
                 
Utilities — 0.3%                
Aboitiz Equity Ventures     20,500       10,990  
                 
TOTAL PHILIPPINES             25,128  
                 
POLAND — 4.2%                
Materials — 4.2%                
KGHM Polska Miedz     1,884       166,028  
TOTAL POLAND             166,028  
                 
RUSSIA — 0.0%                
Energy — 0.0%                
Rosneft Oil PJSC *(A)(B)     33,666        

 

9

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Energy (continued)                
Sovcomflot PJSC *(A)(B)     9,110     $  
Surgutneftegas PJSC *(A)(B)     143,400        
               
Materials — 0.0%                
GMK Norilskiy Nickel PAO *(A)(B)     123,900        
Segezha Group PJSC *(A)(B)     78,500        
               
TOTAL RUSSIA              
                 
SINGAPORE — 10.9%                
Financials — 8.1%                
Oversea-Chinese Banking     16,512       316,466  
                 
Industrials — 2.8%                
Singapore Airlines     7,800       46,313  
Singapore Technologies Engineering     8,000       64,262  
              110,575  
TOTAL SINGAPORE             427,041  
                 
SOUTH AFRICA — 8.7%                
Industrials — 0.3%                
Grindrod     6,127       9,981  
                 
Materials — 8.4%                
Impala Platinum Holdings     9,338       97,995  
Northam Platinum Holdings     3,718       53,515  
Valterra Platinum     2,653       179,090  
              330,600  
TOTAL SOUTH AFRICA             340,581  
                 
THAILAND — 3.9%                
Energy — 3.6%                
PTT NVDR     130,700       139,668  
                 
Materials — 0.3%                
Indorama Ventures NVDR     18,500       12,252  
                 
TOTAL THAILAND             151,920  
                 
TÜRKIYE — 1.3%                
Industrials — 1.3%                
Turk Hava Yollari AO     7,399       51,700  
TOTAL TÜRKIYE             51,700  

 

10

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI One Belt One Road Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
UNITED ARAB EMIRATES — 0.9%                
Energy — 0.9%                
ADNOC Logistics & Services     21,821     $ 35,767  
TOTAL UNITED ARAB EMIRATES             35,767  
                 
TOTAL COMMON STOCK
(Cost $3,809,258)
            3,919,180  
                 
PREFERRED STOCK — 0.0%                
RUSSIA — 0.0%                
Energy — 0.0%                
Surgutneftegas PAO *(A)(B)(C)     136,600        
                 
TOTAL PREFERRED STOCK
(Cost $74,846)
             
                 
TOTAL INVESTMENTS — 99.9%
(Cost $3,884,104)
            3,919,180  
OTHER ASSETS LESS LIABILITIES – 0.1%             3,351  
NET ASSETS - 100%           $ 3,922,531  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Level 3 security in accordance with fair value hierarchy.
(B) Due to the financial uncertainty surrounding Russia and its markets, and the inability to liquidate the positions due to market closures and restrictions, the Russian securities have been determined to be worthless.
(C) Currently, no stated interest rate.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-006-1800

 

11

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Emerging Markets Consumer Technology Index ETF

 

    Shares     Value  
COMMON STOCK — 82.4% ‡                
BRAZIL — 3.0%                
Consumer Discretionary — 3.0%                
MercadoLibre *     677     $ 1,149,133  
TOTAL BRAZIL             1,149,133  
                 
CHINA — 31.2%                
Communication Services — 10.3%                
Baidu, Cl A *     51,264       716,462  
Bilibili, Cl Z *     12,400       208,247  
Kuaishou Technology, Cl B     131,200       695,981  
NetEase     43,300       1,117,555  
Tencent Holdings     18,175       996,119  
Tencent Music Entertainment Group, Cl A     53,200       223,056  
              3,957,420  
Consumer Discretionary — 13.9%                
Alibaba Group Holding     74,100       877,345  
JD.com, Cl A     53,475       676,787  
Meituan, Cl B *     105,697       923,259  
New Oriental Education & Technology Group     166,800       763,166  
PDD Holdings ADR *     13,069       996,903  
TAL Education Group ADR *     26,361       252,275  
Trip.com Group *     15,800       627,805  
Vipshop Holdings ADR     17,762       235,524  
              5,353,064  
Consumer Staples — 2.3%                
Alibaba Health Information Technology *     538,000       211,302  
JD Health International *     157,500       659,560  
              870,862  
Information Technology — 4.7%                
GDS Holdings, Cl A *     55,400       199,501  
Hua Hong Grace Semiconductor, Cl H *     49,000       1,344,648  
Mininglamp Technology Group, Cl A *     10,200       269,761  
              1,813,910  
TOTAL CHINA             11,995,256  
                 
INDIA — 8.1%                
Communication Services — 0.6%                
Info Edge India     23,274       240,464  
                 
Consumer Discretionary — 4.6%                
Eternal *     309,356       864,744  
Meesho *     446,910       908,373  
              1,773,117  

 

12

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Emerging Markets Consumer Technology Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials — 2.9%                
One 97 Communications *     21,364     $ 257,631  
PB Fintech *     49,257       847,464  
              1,105,095  
TOTAL INDIA             3,118,676  
                 
JAPAN — 1.8%                
Communication Services — 1.8%                
Nexon     54,200       715,497  
TOTAL JAPAN             715,497  
                 
RUSSIA — 0.0%                
Communication Services — 0.0%                
VK GDR *(A)(B)     49,503        
                 
Consumer Discretionary — 0.0%                
Ozon Holdings PLC ADR *(A)(B)     58,005        
                 
Industrials — 0.0%                
HeadHunter Group PLC ADR *(A)(B)     11,746        
                 
TOTAL RUSSIA              
                 
SINGAPORE — 3.3%                
Consumer Discretionary — 3.3%                
Sea ADR *     13,128       1,258,056  
TOTAL SINGAPORE             1,258,056  
                 
SOUTH AFRICA — 1.9%                
Consumer Discretionary — 1.9%                
Naspers, Cl N     14,864       744,216  
TOTAL SOUTH AFRICA             744,216  
                 
SOUTH KOREA — 11.8%                
Communication Services — 3.9%                
Kakao     30,128       671,866  
Krafton     1,470       223,921  
NAVER     4,677       600,738  
              1,496,525  
Consumer Discretionary — 4.2%                
Coupang, Cl A *     49,753       864,210  
Delivery Hero, Cl A *     18,127       746,086  
              1,610,296  
Information Technology — 3.7%                
DB HiTek     2,089       194,432  

 

13

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Emerging Markets Consumer Technology Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
SK hynix     725     $ 1,240,076  
              1,434,508  
TOTAL SOUTH KOREA             4,541,329  
                 
TAIWAN — 19.4%                
Communication Services — 0.7%                
International Games System     11,000       272,441  
                 
Information Technology — 18.7%                
AP Memory Technology     9,000       281,952  
Nanya Technology *     74,000       1,051,120  
Powerchip Semiconductor Manufacturing *     345,000       863,136  
Taiwan Semiconductor Manufacturing     13,000       983,473  
United Microelectronics     276,000       1,425,204  
Vanguard International Semiconductor     157,000       1,064,524  
VisEra Technologies     13,000       209,345  
Win Semiconductors     13,000       173,842  
WNC     26,000       211,793  
WPG Holdings     73,000       245,193  
WT Microelectronics     100,000       671,762  
              7,181,344  
TOTAL TAIWAN             7,453,785  
                 
UNITED ARAB EMIRATES — 1.2%                
Consumer Discretionary — 0.6%                
Talabat Holding     693,223       232,160  
                 
Information Technology — 0.6%                
Presight AI Holding *     239,581       228,312  
                 
TOTAL UNITED ARAB EMIRATES             460,472  
                 
UNITED STATES — 0.7%                
Information Technology — 0.7%                
InterDigital     932       263,877  
TOTAL UNITED STATES             263,877  
                 
TOTAL COMMON STOCK
(Cost $36,152,551)
            31,700,297  
                 
TOTAL INVESTMENTS — 82.4%
(Cost $36,152,551)
            31,700,297  
OTHER ASSETS LESS LIABILITIES – 17.6%             6,776,268  
NET ASSETS - 100%           $ 38,476,565  

 

14

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Emerging Markets Consumer Technology Index ETF (concluded)

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Level 3 security in accordance with fair value hierarchy.
(B) Due to the financial uncertainty surrounding Russia and its markets, and the inability to liquidate the positions due to market closures and restrictions, the Russian securities have been determined to be worthless.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-007-1800

 

15

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI China Clean Technology Index ETF

 

    Shares     Value  
COMMON STOCK — 99.2% ‡                
CHINA — 99.2%                
Consumer Discretionary — 32.7%                
BAIC BluePark New Energy Technology, Cl A *     275,100     $ 197,368  
BYD, Cl A     37,700       442,647  
BYD, Cl H     425,800       3,933,820  
Li Auto, Cl A *     471,100       2,768,191  
NIO, Cl A *     677,570       3,347,219  
Seres Group, Cl A     70,500       636,141  
Tianneng Power International     486,000       292,515  
XPeng, Cl A *     484,600       3,129,920  
Yadea Group Holdings     838,694       952,910  
Zhejiang Leapmotor Technology, Cl H *     366,400       1,610,991  
              17,311,722  
Industrials — 31.0%                
Beijing-Shanghai High Speed Railway, Cl A     2,114,400       1,411,054  
China Conch Venture Holdings     1,032,000       1,431,789  
China Everbright Environment Group     2,542,216       1,478,249  
Contemporary Amperex Technology, Cl A     48,250       2,793,567  
Contemporary Amperex Technology, Cl H     31,900       2,855,605  
Dynagreen Environmental Protection Group, Cl H     276,000       178,086  
Goldwind Science & Technology, Cl A     149,035       524,740  
Gotion High-tech, Cl A     78,400       317,735  
NARI Technology, Cl A     347,100       1,168,420  
Ningbo Deye Technology, Cl A     55,013       860,530  
Ningbo Sanxing Medical Electric, Cl A     60,700       133,597  
REPT BATTERO Energy, Cl H *     252,200       434,160  
Sungrow Power Supply, Cl A     89,560       2,098,090  
Xinte Energy, Cl H *     270,800       135,019  
Zhejiang Chint Electrics, Cl A     92,800       342,737  
Zhejiang Weiming Environment Protection, Cl A     88,679       200,925  
              16,364,303  
Information Technology — 14.3%                
CSI Solar, Cl A     157,448       250,970  
GDS Holdings, Cl A *     536,100       1,930,549  
Hangzhou First Applied Material, Cl A     112,700       278,762  
JA Solar Technology, Cl A *     142,968       170,601  
Jinko Solar, Cl A *     443,822       310,571  
JinkoSolar Holding ADR     20,938       351,758  
Kingsoft Cloud Holdings *     1,876,000       1,109,996  
LONGi Green Energy Technology, Cl A *     327,446       632,895  
TCL Zhonghuan Renewable Energy Technology, Cl A *     174,700       309,354  
Trina Solar, Cl A *     101,240       210,594  
Tuya ADR     185,757       326,932  
Vnet Group ADR, Cl A *     100,646       809,194  

 

16

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI China Clean Technology Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Xinyi Solar Holdings     3,291,588     $ 864,655  
              7,556,831  
Utilities — 21.2%                
Beijing Enterprises Water Group     2,892,500       833,589  
CGN Power, Cl H     6,454,000       2,205,638  
China Datang Renewable Power, Cl H     1,710,000       270,389  
China Longyuan Power Group, Cl H     1,790,800       1,141,793  
China National Nuclear Power, Cl A     888,900       1,182,494  
China Power International Development     2,671,000       933,243  
China Three Gorges Renewables Group, Cl A     1,235,400       675,211  
China Yangtze Power, Cl A     705,500       2,751,117  
SDIC Power Holdings, Cl A     317,100       621,774  
Sichuan Chuantou Energy, Cl A     210,600       439,629  
Xinyi Energy Holdings     1,504,000       170,690  
              11,225,567  
TOTAL CHINA             52,458,423  
                 
TOTAL COMMON STOCK
(Cost $54,919,343)
            52,458,423  
                 
TOTAL INVESTMENTS — 99.2%
(Cost $54,919,343)
            52,458,423  
OTHER ASSETS LESS LIABILITIES – 0.8%             447,653  
NET ASSETS - 100%           $ 52,906,076  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-008-1800

 

17

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Electric Vehicles and Future Mobility Index ETF

 

    Shares     Value  
COMMON STOCK — 95.4% ‡                
AUSTRALIA — 7.2%                
Materials — 7.2%                
Arafura Rare Earths *     780,261     $ 132,438  
IGO *     160,738       820,717  
Lynas Rare Earths *     187,022       2,340,010  
Mineral Resources *     19,891       855,354  
PLS Group *     544,944       1,895,234  
TOTAL AUSTRALIA             6,043,753  
                 
BELGIUM — 1.4%                
Materials — 1.4%                
Umicore     49,535       1,146,261  
TOTAL BELGIUM             1,146,261  
                 
CANADA — 0.3%                
Materials — 0.3%                
Lithium Americas *     74,342       286,102  
TOTAL CANADA             286,102  
                 
CHINA — 43.8%                
Consumer Discretionary — 18.6%                
BAIC BluePark New Energy Technology, Cl A *     376,500       270,117  
BYD, Cl A     267,700       3,143,148  
Chongqing Changan Automobile, Cl A     500,900       529,089  
Geely Automobile Holdings     889,000       1,911,304  
Guangzhou Automobile Group, Cl H *     492,000       130,496  
Hesai Group ADR *(A)     28,613       521,329  
Huizhou Desay Sv Automotive, Cl A     35,900       431,033  
Li Auto, Cl A *     265,600       1,560,670  
NIO, Cl A *     408,830       2,019,634  
SAIC Motor, Cl A     529,400       761,188  
Seres Group, Cl A     99,300       896,011  
Shenzhen Kedali Industry, Cl A     16,436       458,358  
WeRide ADR *(A)     50,760       295,423  
XPeng, Cl A *     268,300       1,732,888  
Yadea Group Holdings     246,000       279,501  
Zhejiang Leapmotor Technology, Cl H *     148,500       652,926  
              15,593,115  
Industrials — 10.6%                
Beijing Easpring Material Technology, Cl A     30,700       217,270  
China Baoan Group, Cl A     150,507       138,135  
CNGR Advanced Material, Cl A     53,670       345,914  
Contemporary Amperex Technology, Cl A     60,020       3,475,024  
Eve Energy, Cl A     121,960       1,168,394  

 

18

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Electric Vehicles and Future Mobility Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials (continued)                
Farasis Energy Gan Zhou, Cl A *     70,690     $ 109,347  
GEM, Cl A     294,940       287,206  
Gotion High-tech, Cl A     103,989       421,440  
Guangzhou Great Power Energy & Technology, Cl A     29,100       355,176  
Hunan Yuneng New Energy Battery Material, Cl A     49,100       548,794  
Qingdao TGOOD Electric, Cl A     63,100       351,661  
Wuxi Lead Intelligent Equipment, Cl A     90,400       542,293  
Zhejiang Huayou Cobalt, Cl A     110,263       783,926  
Zhongshan Broad Ocean Motor, Cl A     146,300       161,646  
              8,906,226  
Information Technology — 5.2%                
Horizon Robotics, Cl B *     1,875,000       975,510  
NavInfo, Cl A *     134,500       128,199  
Pony AI ADR *(A)     43,827       304,598  
RoboSense Technology *(A)     74,000       209,675  
Xiaomi, Cl B *     972,200       2,682,769  
              4,300,751  
Materials — 9.4%                
Chengxin Lithium Group, Cl A *     48,700       321,629  
CMOC Group, Cl A     868,900       2,246,493  
Ganfeng Lithium Group, Cl A     88,157       849,362  
Guangzhou Tinci Materials Technology, Cl A     118,394       897,025  
Ningbo Shanshan, Cl A *     130,000       259,502  
Shanghai Putailai New Energy Technology Group, Cl A     122,399       521,656  
Shenzhen Senior Technology Material, Cl A     72,300       199,390  
Tianqi Lithium, Cl A *     81,600       737,141  
Xiamen Tungsten, Cl A     87,051       1,092,626  
Youngy, Cl A     14,400       189,652  
Yunnan Energy New Material Group, Cl A *     56,600       557,912  
              7,872,388  
TOTAL CHINA             36,672,480  
                 
GERMANY — 3.4%                
Consumer Discretionary — 3.4%                
Bayerische Motoren Werke     43,311       2,835,374  
TOTAL GERMANY             2,835,374  
                 
HONG KONG — 0.3%                
Consumer Discretionary — 0.3%                
CALB Group, Cl H *     83,500       249,583  
TOTAL HONG KONG             249,583  

 

19

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Electric Vehicles and Future Mobility Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
INDONESIA — 0.4%                
Materials — 0.4%                
Aneka Tambang     1,514,242     $ 219,345  
Vale Indonesia     389,300       89,704  
TOTAL INDONESIA             309,049  
                 
ISRAEL — 0.4%                
Consumer Discretionary — 0.4%                
Mobileye Global, Cl A *     36,368       352,042  
TOTAL ISRAEL             352,042  
                 
JAPAN — 6.6%                
Consumer Discretionary — 5.5%                
Panasonic Holdings     165,700       4,589,949  
                 
Industrials — 1.1%                
Nidec *     55,700       906,485  
                 
TOTAL JAPAN             5,496,434  
                 
SINGAPORE — 5.4%                
Information Technology — 5.4%                
STMicroelectronics     61,833       4,559,040  
TOTAL SINGAPORE             4,559,040  
                 
SOUTH KOREA — 7.7%                
Industrials — 4.3%                
Ecopro     10,471       963,091  
L&F *     5,362       385,892  
LG Energy Solution *     6,424       1,500,993  
POSCO Future M     6,512       738,080  
              3,588,056  
Information Technology — 3.4%                
Samsung SDI *     9,236       2,903,203  
                 
TOTAL SOUTH KOREA             6,491,259  
                 
SWEDEN — 0.3%                
Consumer Discretionary — 0.3%                
Volvo Car, Cl B *     132,282       257,370  
TOTAL SWEDEN             257,370  
                 
UNITED KINGDOM — 0.2%                
Industrials — 0.2%                
ITM Power *     101,275       177,296  
TOTAL UNITED KINGDOM             177,296  

 

20

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Electric Vehicles and Future Mobility Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
UNITED STATES — 18.0%                
Consumer Discretionary — 8.8%                
Lucid Group, Cl A *(A)     30,082     $ 201,245  
Rivian Automotive, Cl A *     182,296       3,162,835  
Solid Power *     43,183       111,844  
Tesla *     9,206       3,872,044  
              7,347,968  
Industrials — 1.1%                
Plug Power *     326,741       885,468  
                 
Information Technology — 3.6%                
Ambarella *     9,230       791,934  
Aurora Innovation, Cl A *     331,797       2,262,856  
              3,054,790  
Materials — 4.5%                
Albemarle     13,341       1,801,435  
MP Materials *     35,927       2,012,271  
              3,813,706  
TOTAL UNITED STATES             15,101,932  
                 
TOTAL COMMON STOCK
(Cost $79,348,354)
            79,977,975  
                 
PREFERRED STOCK — 3.8%                
CHILE — 2.4%                
Materials — 2.4%                
Sociedad Quimica y Minera de Chile (B)     27,481       2,040,001  
                 
GERMANY — 1.4%                
Consumer Discretionary — 1.4%                
Dr Ing hc F Porsche (B)     23,341       1,161,099  
                 
TOTAL PREFERRED STOCK
(Cost $3,757,199)
            3,201,100  
                 
SHORT-TERM INVESTMENT — 1.5%                
Invesco Government & Agency Portfolio, AGPXX, Cl Institutional, 3.570% (C)(D)     1,242,219       1,242,219  
TOTAL SHORT-TERM INVESTMENT
(Cost $1,242,219)
            1,242,219  
                 
TOTAL INVESTMENTS — 100.7%
(Cost $84,347,772)
            84,421,294  
OTHER ASSETS LESS LIABILITIES – (0.7)%             (584,814 )
NET ASSETS - 100%           $ 83,836,480  

 

21

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Electric Vehicles and Future Mobility Index ETF (concluded)

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Certain securities or partial positions of certain securities are on loan at June 30, 2026.
(B) Currently, no stated interest rate.
(C) The rate shown is the 7-day effective yield as of June 30, 2026.
(D) This security was purchased with cash collateral held from securities on loan. The total value of such security as of June 30, 2026 was $1,242,219.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-009-1700

 

22

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI All China Health Care Index ETF

 

    Shares     Value  
COMMON STOCK — 99.8% ‡                
CHINA — 96.4%                
Health Care — 96.4%                
3SBio     822,500     $ 1,771,479  
Aier Eye Hospital Group, Cl A     1,227,963       1,494,251  
Akeso *(A)     236,000       2,649,792  
APT Medical, Cl A     18,599       497,471  
Beijing Tong Ren Tang, Cl A     180,490       614,485  
Beijing Wantai Biological Pharmacy Enterprise, Cl A *     120,442       478,539  
BeOne Medicines, Cl H *     289,918       6,299,632  
Changchun High-Tech Industry Group, Cl A     53,708       526,952  
China Resources Sanjiu Medical & Pharmaceutical, Cl A     220,711       731,260  
Chongqing Zhifei Biological Products, Cl A *     315,472       543,292  
CSPC Innovation Pharmaceutical, Cl A *     131,757       528,542  
CSPC Pharmaceutical Group     2,948,889       2,620,967  
Genscript Biotech *     508,000       792,247  
Haisco Pharmaceutical Group, Cl A     114,500       1,119,023  
Hangzhou Tigermed Consulting, Cl A     45,850       324,219  
Hansoh Pharmaceutical Group     538,000       2,032,066  
Hebei Changshan Biochemical Pharmaceutical, Cl A *     116,500       401,949  
Huadong Medicine, Cl A     233,941       969,125  
Imeik Technology Development, Cl A     39,840       511,793  
Innovent Biologics *     617,500       6,267,876  
Jiangsu Hengrui Pharmaceuticals, Cl A     426,408       3,269,044  
Legend Biotech ADR *     31,488       909,373  
Pharmaron Beijing, Cl A     191,875       817,758  
Remegen, Cl A *     46,717       896,487  
Remegen, Cl H *     79,000       748,491  
Shanghai Allist Pharmaceuticals, Cl A     59,328       954,422  
Shanghai Fosun Pharmaceutical Group, Cl A     280,129       927,298  
Shanghai Pharmaceuticals Holding, Cl A     367,012       832,644  
Shanghai RAAS Blood Products, Cl A     876,134       560,168  
Shanghai United Imaging Healthcare, Cl A     108,508       1,618,189  
Shenzhen Mindray Bio-Medical Electronics, Cl A     152,155       3,044,669  
Shenzhen New Industries Biomedical Engineering, Cl A     103,900       642,870  
Shenzhen Salubris Pharmaceuticals, Cl A     147,665       693,729  
Sichuan Biokin Pharmaceutical, Cl A *     32,322       1,400,064  
Sichuan Kelun Pharmaceutical, Cl A     207,515       1,177,590  
Sichuan Kelun-Biotech Biopharmaceutical, Cl H *     23,700       1,318,270  
Sinopharm Group, Cl H     586,800       1,190,504  
WuXi AppTec, Cl A     224,720       4,121,963  
WuXi AppTec, Cl H     121,784       2,386,901  
Wuxi Biologics Cayman *     1,212,635       5,350,281  
WuXi XDC Cayman *     132,500       963,922  
XtalPi Holdings *(A)     727,000       709,196  
Yunnan Baiyao Group, Cl A     235,223       1,641,502  

 

23

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI All China Health Care Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Health Care (continued)                
Zhangzhou Pientzehuang Pharmaceutical, Cl A     80,134     $ 1,290,078  
TOTAL CHINA             68,640,373  
                 
HONG KONG — 3.4%                
Health Care — 3.4%                
Sino Biopharmaceutical     4,287,750       2,411,229  
TOTAL HONG KONG             2,411,229  
                 
TOTAL COMMON STOCK
(Cost $72,238,738)
            71,051,602  

 

    Number of
Rights
       
RIGHTS — 0.0%              
CHINA — 0.0%              
Health Care — 0.0%              
Kangmei Pharma ‡‡*(B)   103,989        
TOTAL CHINA            
TOTAL RIGHTS
(Cost $–)
           

 

    Shares        
SHORT-TERM INVESTMENT — 3.5%                
Invesco Government & Agency Portfolio, AGPXX, Cl Institutional, 3.570% (C)(D)     2,526,804       2,526,804  
TOTAL SHORT-TERM INVESTMENT
(Cost $2,526,804)
            2,526,804  
                 
TOTAL INVESTMENTS — 103.3%
(Cost $74,765,542)
            73,578,406  
OTHER ASSETS LESS LIABILITIES – (3.3)%             (2,350,563 )
NET ASSETS - 100%           $ 71,227,843  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
‡‡ Expiration date not available.
(A) Certain securities or partial positions of certain securities are on loan at June 30, 2026.
(B) Level 3 security in accordance with fair value hierarchy.
(C) The rate shown is the 7-day effective yield as of June 30, 2026.
(D) This security was purchased with cash collateral held from securities on loan. The total value of such security as of June 30, 2026 was $2,526,804.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-010-1700

 

24

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF

 

    Face Amount     Value  
CORPORATE OBLIGATIONS — 91.8%                
AUSTRALIA — 2.6%                
Financials — 2.6%                
Australian Metcoal Financing Pty                
6.750%, 04/22/2034 (A)   $ 200,000     $ 206,366  
6.250%, 10/22/2031 (A)     200,000       203,697  
TOTAL AUSTRALIA             410,063  
                 
CHINA — 17.3%                
Consumer Discretionary — 5.1%                
Fortune Star BVI                
6.800%, 09/09/2029     200,000       197,789  
5.050%, 01/27/2027     400,000       395,652  
Health & Happiness H&H International Holdings                
9.125%, 07/24/2028     200,000       208,999  
              802,440  
Real Estate — 10.9%                
Central Plaza Development                
6.800%, 04/07/2029     200,000       199,548  
Franshion Brilliant                
4.250%, 07/23/2029     200,000       184,223  
GLP China Holdings, MTN                
7.750%, 04/30/2029     200,000       170,480  
Greentown China Holdings                
8.450%, 02/24/2028     200,000       201,374  
7.000%, 05/19/2029     200,000       194,290  
Longfor Group Holdings                
3.950%, 09/16/2029     200,000       167,574  
3.375%, 04/13/2027     200,000       191,372  
Pingan Real Estate Capital, MTN                
3.450%, 07/29/2026     200,000       198,241  
Shui On Development Holding                
9.750%, 01/26/2029     200,000       202,516  
              1,709,618  
Utilities — 1.3%                
China Oil & Gas Group                
7.000%, 02/04/2029     200,000       194,993  
                 
TOTAL CHINA             2,707,051  
                 
HONG KONG — 11.2%                
Communication Services — 1.3%                
Cas Capital No. 2                
6.250%, H15T5Y + 2.533% (B)(C)     200,000       201,000  
                 
Consumer Discretionary — 3.9%                
Li & Fung                
8.375%, 02/05/2029     200,000       203,821  

 

25

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Consumer Discretionary (continued)                
Melco Resorts Finance                
7.625%, 04/17/2032   $ 200,000     $ 204,954  
6.500%, 09/24/2033     200,000       196,147  
              604,922  
Financials — 2.5%                
CS Treasury Management Services                
9.000% (C)     384,140       395,483  
                 
Real Estate — 3.5%                
NWD, MTN                
8.625%, 02/08/2028     200,000       193,624  
4.500%, 05/19/2030     200,000       166,949  
NWD Finance BVI                
12.179%, H15T5Y + 7.889% (C)     200,000       185,992  
              546,565  
TOTAL HONG KONG             1,747,970  
                 
INDIA — 22.5%                
Energy — 1.2%                
ReNew Wind Energy AP2                
4.500%, 07/14/2028     200,000       193,475  
                 
Financials — 10.9%                
Axis Bank, MTN                
6.875%, H15T5Y + 2.596% (B)(C)     200,000       200,831  
IIFL Finance                
8.750%, 07/24/2028     200,000       205,901  
IIFL Finance, MTN                
7.600%, 09/10/2029 (A)     200,000       201,060  
Manappuram Finance, MTN                
7.375%, 05/12/2028     180,000       181,940  
Muthoot Finance, MTN                
6.375%, 04/23/2029     200,000       200,317  
Piramal Finance, MTN                
7.800%, 01/29/2028     250,000       254,604  
Sammaan Capital                
8.950%, 08/28/2028     250,000       259,627  
7.500%, 10/16/2030     200,000       202,288  
              1,706,568  
Materials — 9.1%                
Vedanta Resources Finance II PLC                
10.875%, 09/17/2029     200,000       212,596  
9.475%, 07/24/2030     200,000       202,386  
9.125%, 10/15/2032     200,000       205,022  
7.750%, 07/13/2037     200,000       198,876  
7.750%, 07/13/2037 (A)     200,000       198,876  

 

26

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Materials (continued)                
7.000%, 07/13/2032   $ 200,000     $ 199,066  
7.000%, 07/13/2032 (A)     200,000       199,066  
              1,415,888  
Utilities — 1.3%                
Renew Treasury Ifsc Pvt                
6.500%, 02/02/2031     200,000       197,941  
                 
TOTAL INDIA             3,513,872  
                 
INDONESIA — 5.8%                
Energy — 4.5%                
Indika Energy                
8.750%, 05/07/2029     250,000       252,872  
Medco Cypress Tree Pte                
8.625%, 05/19/2030     250,000       260,618  
Sorik Marapi Geothermal Power                
7.750%, 08/05/2031     186,660       187,300  
              700,790  
Financials — 1.3%                
Bank Negara Indonesia Persero                
7.150%, H15T5Y + 3.260% (B)(C)     200,000       199,500  
                 
TOTAL INDONESIA             900,290  
                 
JAPAN — 1.3%                
Information Technology — 1.3%                
Rakuten Group                
8.125%, H15T5Y + 4.250% (B)(C)     200,000       205,420  
                 
MACAU — 5.4%                
Consumer Discretionary — 5.4%                
Studio City Finance                
6.500%, 01/15/2028     200,000       199,726  
Wynn Macau                
6.750%, 02/15/2034     200,000       199,082  
5.625%, 08/26/2028     250,000       248,538  
5.125%, 12/15/2029     200,000       195,966  
TOTAL MACAU             843,312  
                 
MALAYSIA — 1.2%                
Financials — 1.2%                
Gohl Capital Holdings                
7.625%, H15T5Y + 3.710% (B)(C)     200,000       193,109  
                 
MONGOLIA — 8.1%                
Energy — 1.3%                
Mongolian Mining                
8.440%, 04/03/2030     200,000       203,784  

 

27

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Financials — 6.8%                
Golomt Bank                
7.950%, 05/14/2029 (A)   $ 400,000     $ 402,420  
State Bank JSC                
8.900%, 09/25/2028     250,000       251,137  
Trade & Development Bank of Mongolia                
8.500%, 12/23/2027     400,000       402,834  
              1,056,391  
TOTAL MONGOLIA             1,260,175  
                 
PHILIPPINES — 5.1%                
Energy — 1.3%                
Petron                
7.350%, H15T3Y + 6.325% (B)(C)     200,000       202,365  
                 
Utilities — 3.8%                
San Miguel Global Power Holdings                
8.875%, H15T5Y + 7.102% (B)(C)     200,000       200,471  
8.750%, H15T5Y + 7.732% (B)(C)     200,000       202,340  
8.125%, H15T5Y + 6.404% (B)(C)     200,000       198,494  
              601,305  
TOTAL PHILIPPINES             803,670  
                 
SINGAPORE — 1.1%                
Real Estate — 1.1%                
GLP Pte                
9.750%, 05/20/2028     200,000       169,351  
                 
THAILAND — 5.4%                
Energy — 1.3%                
Thaioil Treasury Center, MTN                
6.100%, H15T5Y + 2.375% (B)(C)     200,000       195,772  
                 
Financials — 1.6%                
Muangthai Capital                
7.550%, 07/21/2030     250,000       254,666  
                 
Materials — 2.5%                
GC Treasury Center                
7.125%, H15T5Y + 3.162% (B)(C)     200,000       198,239  
6.500%, H15T5Y + 2.815% (B)(C)     200,000       197,989  
              396,228  
TOTAL THAILAND             846,666  
                 
UNITED KINGDOM — 4.8%                
Financials — 4.8%                
Standard Chartered PLC                
7.625%, H15T5Y + 3.023% (B)(C)     200,000       210,387  
7.000%, H15T5Y + 2.672% (A)(B)(C)     350,000       352,614  
4.750%, H15T5Y + 3.805% (B)(C)     200,000       188,187  

 

28

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Financials (continued)                
TOTAL UNITED KINGDOM           $ 751,188  
                 
TOTAL CORPORATE OBLIGATIONS
(Cost $14,127,806)
            14,352,137  
                 
SOVEREIGN DEBT — 5.1%                
PAKISTAN — 5.1%                
Pakistan Government International Bond                
7.875%, 03/31/2036   $ 200,000       199,928  
7.375%, 04/08/2031     200,000       201,289  
6.975%, 04/24/2029 (A)     200,000       200,137  
6.875%, 12/05/2027     200,000       201,537  
              802,891  
TOTAL SOVEREIGN DEBT
(Cost $788,229)
            802,891  
                 
CONVERTIBLE BONDS — 3.7%                
CHINA — 1.1%                
Consumer Discretionary — 1.1%                
Alibaba Group Holding CV to 5.2248                
0.000%, 09/15/2032 (D)     200,000       177,500  
                 
HONG KONG — 1.2%                
Materials — 1.2%                
Jinkai Investment Holdings CV to 12454.4294                
0.000%, 02/05/2031 (D)     200,000       180,000  
                 
TAIWAN — 1.4%                
Industrials — 1.4%                
Hon Hai Precision Industry CV to 11139.3369                
0.000%, 10/24/2029 (D)     200,000       211,060  
                 
TOTAL CONVERTIBLE BONDS
(Cost $603,560)
            568,560  
                 
TOTAL INVESTMENTS — 100.6%
(Cost $15,519,595)
            15,723,588  
OTHER ASSETS LESS LIABILITIES – (0.6)%             (91,407 )
NET ASSETS - 100%           $ 15,632,181  

 

(A) Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total market value of such securities as of June 30, 2026 was $1,964,236 and represented 12.6% of the Net Assets of the Fund.
(B) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.
(C) Perpetual security with no stated maturity date.
(D) Zero coupon security.

 

29

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Asia Pacific High Income USD Bond ETF (concluded)

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-012-1700

 

30

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF

 

    Shares     Value  
COMMON STOCK — 97.1% ‡                
BRAZIL — 3.7%                
Communication Services — 0.1%                
Telefonica Brasil     20,961     $ 137,484  
                 
Consumer Staples — 0.3%                
Ambev     96,700       304,339  
Raia Drogasil     26,551       86,231  
              390,570  
Energy — 0.6%                
Petroleo Brasileiro - Petrobras     80,400       648,985  
Ultrapar Participacoes     23,300       117,311  
              766,296  
Financials — 1.0%                
B3 - Brasil Bolsa Balcao     106,600       299,249  
Banco Bradesco     51,387       156,565  
Banco do Brasil     46,800       180,022  
BB Seguridade Participacoes     13,100       99,137  
NU Holdings, Cl A *     43,927       586,865  
              1,321,838  
Industrials — 0.5%                
Localiza Rent a Car     26,620       213,641  
Motiva Infraestrutura de Mobilidade     20,600       58,187  
Rumo     20,600       53,450  
WEG     30,900       280,049  
              605,327  
Materials — 0.8%                
Klabin     13,943       45,095  
Suzano     15,500       119,036  
Vale     64,800       975,014  
              1,139,145  
Utilities — 0.4%                
Axia Energia     19,503       204,909  
Cia de Saneamento Basico do Estado de Sao Paulo SABESP     26,605       152,351  
Equatorial     23,300       175,292  
              532,552  
TOTAL BRAZIL             4,893,212  
                 
CHILE — 0.6%                
Consumer Discretionary — 0.1%                
Empresas Copec     6,864       42,810  
Falabella     13,243       82,667  
              125,477  

 

31

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials — 0.3%                
Banco de Chile     1,170,227     $ 229,072  
Banco de Credito e Inversiones     1,141       74,948  
Banco Santander Chile     1,166,953       95,548  
              399,568  
Industrials — 0.1%                
Latam Airlines Group     4,070,763       118,358  
                 
Utilities — 0.1%                
Enel Chile     1,259,705       110,657  
                 
TOTAL CHILE             754,060  
                 
COLOMBIA — 0.2%                
Financials — 0.2%                
Grupo Cibest     12,964       293,268  
TOTAL COLOMBIA             293,268  
                 
CZECHIA — 0.2%                
Financials — 0.1%                
Komercni Banka     3,484       159,626  
                 
Utilities — 0.1%                
CEZ     2,705       158,279  
                 
TOTAL CZECHIA             317,905  
                 
EGYPT — 0.1%                
Financials — 0.1%                
Commercial International Bank - Egypt (CIB)     51,009       132,216  
TOTAL EGYPT             132,216  
                 
GREECE — 0.3%                
Communication Services — 0.0%                
Hellenic Telecommunications Organization     4,061       90,213  
                 
Consumer Discretionary — 0.3%                
Allwyn     11,035       175,619  
JUMBO     7,429       190,596  
              366,215  
TOTAL GREECE             456,428  
                 
HUNGARY — 0.6%                
Energy — 0.1%                
MOL Hungarian Oil & Gas     6,327       75,197  

 

32

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials — 0.4%                
OTP Bank NYRT     3,874     $ 571,804  
                 
Health Care — 0.1%                
Richter Gedeon NYRT     3,121       120,804  
                 
TOTAL HUNGARY             767,805  
                 
INDIA — 14.4%                
Communication Services — 0.7%                
Bharti Airtel     48,365       946,262  
                 
Consumer Discretionary — 1.6%                
Bajaj Auto     1,439       147,702  
Eicher Motors     2,730       204,003  
Eternal *     123,478       345,159  
Mahindra & Mahindra     16,281       527,824  
Maruti Suzuki India     2,631       392,320  
Tata Motors     31,910       142,579  
Tata Motors Passenger Vehicles Limited     31,910       118,729  
Titan     6,181       287,571  
              2,165,887  
Consumer Staples — 0.8%                
Dabur India     29,585       131,956  
Godrej Consumer Products     16,068       171,444  
Hindustan Unilever     15,916       356,156  
ITC     76,569       232,112  
Nestle India     14,162       210,234  
              1,101,902  
Energy — 1.4%                
Bharat Petroleum     36,260       116,278  
Indian Oil     106,495       156,808  
Oil & Natural Gas Corp     77,821       193,116  
Reliance Industries     97,487       1,332,560  
Vedanta Oil and Gas *     23,181       7,895  
              1,806,657  
Financials — 3.6%                
Axis Bank     48,507       689,592  
Bajaj Finance     44,410       471,387  
Bajaj Finserv     8,895       167,284  
HDFC Bank     131,293       1,106,768  
HDFC Life Insurance     17,658       107,421  
ICICI Bank     81,788       1,188,214  
IndusInd Bank     4,950       48,329  
Jio Financial Services     38,507       96,183  

 

33

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials (continued)                
Kotak Mahindra Bank     116,960     $ 484,663  
State Bank of India     38,271       415,181  
              4,775,022  
Health Care — 0.6%                
Aurobindo Pharma     9,023       150,484  
Cipla     10,410       161,156  
Dr Reddy’s Laboratories     10,007       143,468  
Sun Pharmaceutical Industries     19,107       375,948  
              831,056  
Industrials — 2.6%                
Adani Enterprises     8,052       258,253  
Adani Ports & Special Economic Zone     23,800       455,138  
Bharat Electronics     114,752       499,213  
CG Power & Industrial Solutions     35,557       357,659  
Cummins India     6,205       370,987  
Hindustan Aeronautics     6,857       317,370  
InterGlobe Aviation     7,512       426,030  
Larsen & Toubro     12,668       554,503  
Suzlon Energy *     308,213       191,781  
              3,430,934  
Information Technology — 1.2%                
HCL Technologies     22,971       260,095  
Infosys ADR     67,568       708,789  
Tata Consultancy Services     16,698       358,361  
Tech Mahindra     13,193       195,779  
Wipro     63,786       114,818  
              1,637,842  
Materials — 1.4%                
Asian Paints     8,551       238,096  
Grasim Industries     5,763       188,734  
Hindalco Industries     35,608       359,846  
JSW Steel     15,105       195,701  
Tata Steel     180,262       358,129  
UltraTech Cement     2,051       243,822  
UPL     9,498       57,314  
Vedanta     23,181       68,753  
Vedanta Aluminium Metal *(A)     23,181       109,823  
Vedanta Iron and Steel *(A)     23,181       8,635  
              1,828,853  
Utilities — 0.5%                
GAIL India     53,626       98,268  
NTPC     85,572       322,414  

 

34

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Utilities (continued)                
Power Grid Corp of India     83,745     $ 253,291  
Vedanta Power *(A)     23,181       9,864  
              683,837  
TOTAL INDIA             19,208,252  
                 
INDONESIA — 0.9%                
Communication Services — 0.1%                
Telkom Indonesia Persero     1,172,600       154,117  
                 
Consumer Staples — 0.0%                
Charoen Pokphand Indonesia     160,200       30,463  
                 
Energy — 0.1%                
United Tractors     111,700       143,686  
                 
Financials — 0.6%                
Bank Central Asia     1,108,800       344,175  
Bank Mandiri Persero     916,400       197,323  
Bank Negara Indonesia Persero     341,900       60,425  
Bank Rakyat Indonesia Persero     1,273,900       194,505  
              796,428  
Industrials — 0.1%                
Astra International     509,100       128,698  
                 
TOTAL INDONESIA             1,253,392  
                 
MALAYSIA — 1.5%                
Communication Services — 0.1%                
CelcomDigi Bhd     75,700       49,569  
Maxis     148,900       123,429  
              172,998  
Consumer Staples — 0.1%                
SD Guthrie     57,300       84,035  
                 
Financials — 0.9%                
CIMB Group Holdings     209,555       380,822  
Hong Leong Bank     13,200       69,278  
Malayan Banking     142,716       377,309  
Public Bank     329,800       388,238  
              1,215,647  
Health Care — 0.1%                
IHH Healthcare     49,500       101,974  

 

35

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials — 0.0%                
Petronas Chemicals Group     75,700     $ 75,190  
                 
Utilities — 0.3%                
Petronas Gas     12,900       55,302  
Tenaga Nasional     93,800       328,501  
              383,803  
TOTAL MALAYSIA             2,033,647  
                 
MEXICO — 3.1%                
Communication Services — 0.4%                
America Movil     399,600       517,974  
                 
Consumer Staples — 0.7%                
Fomento Economico Mexicano     41,800       533,332  
Grupo Bimbo, Ser A     28,300       92,559  
Wal-Mart de Mexico     109,000       320,442  
              946,333  
Financials — 0.5%                
Grupo Financiero Banorte, Cl O     57,300       605,243  
Grupo Financiero Inbursa, Cl O     38,600       91,807  
              697,050  
Industrials — 0.4%                
Grupo Aeroportuario del Pacifico, Cl B     10,490       265,501  
Grupo Aeroportuario del Sureste, Cl B     6,700       204,872  
              470,373  
Materials — 1.0%                
Cemex     317,700       381,813  
Grupo Mexico     57,300       650,069  
Southern Copper     1,957       341,027  
              1,372,909  
Real Estate — 0.1%                
Fibra Uno Administracion †     71,300       122,290  
                 
TOTAL MEXICO             4,126,929  
                 
PERU — 0.6%                
Financials — 0.4%                
Credicorp     1,376       536,062  
                 
Materials — 0.2%                
Cia de Minas Buenaventura SAA ADR     7,419       217,303  
                 
TOTAL PERU             753,365  

 

36

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
PHILIPPINES — 0.4%                
Financials — 0.1%                
BDO Unibank     69,549     $ 134,293  
                 
Industrials — 0.1%                
Ayala     8,110       55,238  
SM Investments     8,110       77,968  
              133,206  
Real Estate — 0.2%                
Ayala Land     281,700       67,935  
SM Prime Holdings     384,400       113,372  
              181,307  
Utilities — 0.0%                
Manila Electric     3,490       32,415  
                 
TOTAL PHILIPPINES             481,221  
                 
POLAND — 1.6%                
Communication Services — 0.1%                
CD Projekt     1,533       91,519  
                 
Consumer Discretionary — 0.2%                
LPP     70       340,423  
                 
Energy — 0.2%                
ORLEN     7,139       240,445  
                 
Financials — 0.9%                
Bank Polska Kasa Opieki     4,214       256,505  
Erste Bank Polska     818       140,278  
Powszechna Kasa Oszczednosci Bank Polski     21,061       577,898  
Powszechny Zaklad Ubezpieczen     15,298       267,064  
              1,241,745  
Materials — 0.2%                
KGHM Polska Miedz     2,936       258,736  
                 
TOTAL POLAND             2,172,868  
                 
QATAR — 0.7%                
Financials — 0.6%                
AlRayan Bank     99,748       56,271  
Qatar Islamic Bank QPSC     29,248       175,520  
Qatar National Bank     103,694       491,272  
              723,063  

 

37

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials — 0.1%                
Industries Qatar     46,523     $ 140,553  
                 
TOTAL QATAR             863,616  
                 
ROMANIA — 0.2%                
Real Estate — 0.2%                
NEPI Rockcastle     23,857       213,199  
TOTAL ROMANIA             213,199  
                 
RUSSIA — 0.0%                
Communication Services — 0.0%                
Mobile TeleSystems PJSC ADR (A)(B)     3,839        
                 
Consumer Discretionary — 0.0%                
X5 Retail Group GDR *(A)(B)     915        
                 
Energy — 0.0%                
Gazprom PJSC *(A)(B)     89,700        
LUKOIL PJSC *(A)(B)     3,729        
Novatek PJSC GDR *(A)(B)     756        
Rosneft Oil PJSC *(A)(B)     10,270        
Tatneft PJSC *(A)(B)     16,537        
               
Financials — 0.0%                
Sberbank of Russia PJSC *(A)(B)     99,330        
                 
Materials — 0.0%                
Alrosa PJSC *(A)(B)     18,910        
GMK Norilskiy Nickel PAO *(A)(B)     67,000        
Novolipetsk Steel PJSC *(A)(B)     8,860        
Severstal PAO *(A)(B)     1,512        
               
TOTAL RUSSIA              
                 
SOUTH AFRICA — 3.3%                
Communication Services — 0.2%                
MTN Group     14,411       200,347  
                 
Consumer Discretionary — 0.8%                
Naspers, Cl N     19,801       991,403  
                 
Financials — 1.7%                
Absa Group     15,306       212,846  
Capitec Bank Holdings     1,440       417,339  
Discovery     23,656       381,368  
FirstRand     56,767       336,862  

 

38

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials (continued)                
Nedbank Group     16,059     $ 264,498  
Remgro     18,612       223,707  
Sanlam     31,021       166,991  
Standard Bank Group     15,248       300,560  
              2,304,171  
Industrials — 0.1%                
Bidvest Group     12,477       182,298  
                 
Materials — 0.5%                
Gold Fields     10,037       337,394  
Harmony Gold Mining     9,437       143,945  
Sasol *     11,859       116,969  
Valterra Platinum     1,492       100,717  
              699,025  
TOTAL SOUTH AFRICA             4,377,244  
                 
SOUTH KOREA — 29.3%                
Communication Services — 0.4%                
NAVER     4,161       534,460  
                 
Consumer Discretionary — 1.8%                
Hyundai Mobis     1,463       472,149  
Hyundai Motor     2,633       841,241  
Kia     7,567       674,011  
LG Electronics     3,531       462,656  
              2,450,057  
Consumer Staples — 0.3%                
Amorepacific     896       61,129  
KT&G     3,586       392,787  
              453,916  
Energy — 0.3%                
HD Hyundai     2,235       287,796  
SK Innovation *     1,384       84,775  
S-Oil     792       54,391  
              426,962  
Financials — 3.0%                
DB Insurance     869       75,104  
Hana Financial Group     11,181       827,046  
Industrial Bank of Korea     4,446       57,107  
KB Financial Group     7,937       814,550  
Samsung Fire & Marine Insurance     1,156       461,117  
Samsung Life Insurance     2,681       693,914  
Shinhan Financial Group     9,766       603,875  

 

39

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials (continued)                
Woori Financial Group     26,257     $ 491,482  
              4,024,195  
Health Care — 0.6%                
Celltrion     4,829       540,114  
Samsung Biologics *     240       215,478  
              755,592  
Industrials — 5.2%                
Doosan Enerbility *     14,030       786,035  
Hanwha Aerospace     1,065       683,970  
HD Korea Shipbuilding & Offshore Engineering     659       148,874  
Hyundai Glovis     3,011       355,847  
Korea Aerospace Industries     3,874       366,071  
LG     4,650       292,032  
LG Energy Solution *     1,054       246,271  
Samsung C&T     2,482       750,544  
Samsung Heavy Industries *     24,021       361,253  
SK     998       537,231  
SK Square     2,149       2,353,871  
              6,881,999  
Information Technology — 16.8%                
LG Display *     3,772       28,072  
Samsung Electro-Mechanics     1,699       2,395,027  
Samsung Electronics     47,956       10,338,413  
Samsung SDI *     1,152       362,115  
Samsung SDS     605       74,507  
SK hynix     5,421       9,272,349  
              22,470,483  
Materials — 0.7%                
LG Chem     1,755       317,176  
POSCO Holdings     3,123       638,992  
              956,168  
Utilities — 0.2%                
Korea Electric Power     10,831       258,663  
                 
TOTAL SOUTH KOREA             39,212,495  
                 
TAIWAN — 32.1%                
Communication Services — 0.7%                
Chunghwa Telecom     87,000       386,436  
Far EasTone Telecommunications     78,000       257,090  
Taiwan Mobile     76,000       277,934  
              921,460  

 

40

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Consumer Staples — 0.2%                
Uni-President Enterprises     117,000     $ 273,618  
                 
Financials — 4.3%                
Cathay Financial Holding     156,000       481,371  
Chailease Holding     53,379       196,884  
Chang Hwa Commercial Bank     435,346       327,980  
CTBC Financial Holding     233,000       519,297  
E.Sun Financial Holding     202,185       218,645  
First Financial Holding     345,306       354,991  
Fubon Financial Holding     170,735       694,054  
Hua Nan Financial Holdings     267,042       318,541  
KGI Financial Holding     471,420       424,709  
Mega Financial Holding     217,516       314,771  
Shanghai Commercial & Savings Bank     159,000       213,121  
SinoPac Financial Holdings     191,269       239,563  
Taiwan Business Bank     578,000       322,054  
Taiwan Cooperative Financial Holding     313,568       244,602  
TS Financial Holding     369,312       385,467  
Yuanta Financial Holding     228,589       471,437  
              5,727,487  
Information Technology — 25.5%                
Accton Technology     23,000       1,801,359  
ASE Technology Holding     46,000       981,903  
Asustek Computer     7,000       153,815  
Delta Electronics     28,000       1,713,936  
Elite Material     2,000       338,393  
Hon Hai Precision Industry     158,000       1,244,895  
Innolux     235,400       507,651  
King Slide Works     1,000       231,036  
Lite-On Technology     69,000       480,844  
MediaTek     26,000       3,464,599  
Novatek Microelectronics     19,000       319,087  
Pegatron     79,000       207,813  
Quanta Computer     49,000       566,038  
Taiwan Semiconductor Manufacturing     269,000       20,350,321  
United Microelectronics     206,000       1,063,739  
Wistron     71,000       353,256  
Wiwynn     2,000       290,993  
              34,069,678  
Materials — 1.4%                
China Steel     339,000       200,060  
Formosa Chemicals & Fibre     78,000       133,687  
Formosa Plastics     103,000       176,212  
Nan Ya Plastics     253,000       1,322,320  

 

41

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials (continued)                
TCC Group Holdings     153,404     $ 115,812  
              1,948,091  
TOTAL TAIWAN             42,940,334  
                 
THAILAND — 1.1%                
Communication Services — 0.2%                
Advanced Info Service NVDR     25,300       279,499  
                 
Consumer Staples — 0.1%                
CP ALL NVDR     126,200       177,597  
                 
Energy — 0.3%                
PTT NVDR     268,300       286,710  
PTT Exploration & Production NVDR     36,600       147,632  
              434,342  
Health Care — 0.1%                
Bangkok Dusit Medical Services NVDR     229,900       133,564  
                 
Industrials — 0.2%                
Airports of Thailand NVDR     110,000       212,745  
                 
Materials — 0.1%                
Siam Cement NVDR     10,400       76,386  
                 
Real Estate — 0.1%                
Central Pattana NVDR     101,900       205,515  
                 
TOTAL THAILAND             1,519,648  
                 
TÜRKIYE — 0.5%                
Consumer Staples — 0.2%                
BIM Birlesik Magazalar     35,680       279,326  
                 
Energy — 0.1%                
Turkiye Petrol Rafinerileri     35,711       174,133  
                 
Financials — 0.2%                
Akbank     127,615       210,615  
                 
TOTAL TÜRKIYE             664,074  
                 
UNITED ARAB EMIRATES — 1.2%                
Communication Services — 0.2%                
Emirates Telecommunications Group PJSC     55,822       291,820  
                 
Financials — 0.5%                
Abu Dhabi Commercial Bank PJSC     56,643       223,009  

 

42

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials (continued)                
First Abu Dhabi Bank PJSC     83,488     $ 386,440  
              609,449  
Real Estate — 0.5%                
Aldar Properties PJSC     107,374       242,068  
Emaar Properties PJSC     136,308       442,391  
              684,459  
TOTAL UNITED ARAB EMIRATES             1,585,728  
                 
UNITED KINGDOM — 0.5%                
Materials — 0.5%                
Anglogold Ashanti PLC     8,413       681,576  
TOTAL UNITED KINGDOM             681,576  
                 
TOTAL COMMON STOCK
(Cost $85,208,436)
            129,702,482  
                 
PREFERRED STOCK — 2.8%                
BRAZIL — 1.6%                
Energy — 0.5%                
Petroleo Brasileiro - Petrobras (C)     86,000       628,059  
                 
Financials — 1.0%                
Banco Bradesco (C)     106,571       372,673  
Itau Unibanco Holding (C)     87,342       711,772  
Itausa (C)     116,408       300,917  
              1,385,362  
Materials — 0.0%                
Gerdau (C)     22,790       91,495  
                 
Utilities — 0.1%                
Axia Energia *(C)     3,650       37,382  
Cia Energetica de Minas Gerais (C)     27,100       56,912  
              94,294  
TOTAL BRAZIL             2,199,210  
                 
CHILE — 0.2%                
Materials — 0.2%                
Sociedad Quimica y Minera de Chile (C)     3,231       239,847  
                 
COLOMBIA — 0.1%                
Financials — 0.1%                
Grupo Cibest (C)     7,842       153,747  
                 
RUSSIA — 0.0%                
Energy — 0.0%                
Surgutneftegas PAO *(A)(B)(C)     50,900        

 

43

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares MSCI Emerging Markets ex China Index ETF (concluded)

 

    Shares     Value  
PREFERRED STOCK (continued)                
SOUTH KOREA — 0.9%                
Information Technology — 0.9%                
Samsung Electronics (C)     8,615     $ 1,178,842  
                 
TOTAL PREFERRED STOCK
(Cost $2,592,085)
            3,771,646  
                 
TOTAL INVESTMENTS — 99.9%
(Cost $87,800,521)
            133,474,128  
OTHER ASSETS LESS LIABILITIES – 0.1%             199,225  
NET ASSETS - 100%           $ 133,673,353  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
Real Estate Investment Trust
(A) Level 3 security in accordance with fair value hierarchy.
(B) Due to the financial uncertainty surrounding Russia and its markets, and the inability to liquidate the positions due to market closures and restrictions, the Russian securities have been determined to be worthless.
(C) Currently, no stated interest rate.

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-014-1500

 

44

 

 

Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Carbon Strategy ETF

 

    Shares     Value  
EXCHANGE-TRADED FUND — 55.2%                
Fixed Income — 55.2%                
KraneShares Sustainable Ultra Short Duration Index ETF (A)(B)(C)     3,043,000     $ 76,242,365  
TOTAL EXCHANGE-TRADED FUND
(Cost $76,371,070)
            76,242,365  

 

    Face Amount        
INDEX-LINKED NOTE — 23.4%                
UNITED STATES — 23.4%                
Financials — 23.4%                
GS Finance, 4.500%, 1/27/2027 (D)(E)   $ 41,677,000       32,395,699  
TOTAL UNITED STATES             32,395,699  
                 
TOTAL INDEX-LINKED NOTE
(Cost $41,677,000)
            32,395,699  

 

    Shares        
SHORT-TERM INVESTMENT — 4.1%                
State Street Institutional U.S. Government Money Market Fund, GVMXX, Cl Premier, 3.580% (F)     5,684,673       5,684,672  
TOTAL SHORT-TERM INVESTMENT
(Cost $5,684,672)
            5,684,672  
                 
TOTAL INVESTMENTS — 82.7%
(Cost $123,732,742)
            114,322,736  
OTHER ASSETS LESS LIABILITIES – (40.3)%             23,880,181  
NET ASSETS - 100%           $ 138,202,917  

 

A list of the open futures contracts held by the Fund at June 30, 2026, is as follows:

 

Type of Contract   Number of
Contracts
    Expiration
Date
  Notional
Amount
    Value     Unrealized
Appreciation/
(Depreciation)
 
Long Contracts                                  
CA Carbon Allowance Vintage ^   1,122     Dec-2026   $ 34,532,290     $ 36,981,120     $ 2,448,830  
Euro FX ^   113     Sep-2026     16,346,185       16,182,306       (163,879 )
ICE ECX Emission ^   79     Dec-2026     7,556,295       7,240,116       (196,546 )
RGGI Vintage ^   157     Dec-2026     4,241,252       6,882,880       2,641,628  
UK Emission Allowance ^   89     Dec-2026     6,964,320       6,692,955       (308,662 )
WA Carbon Allowance Vintage ^   106     Dec-2026     7,805,008       5,578,780       (2,226,228 )
              $ 77,445,350     $ 79,558,157     $ 2,195,143  

 

^ Security is held by the KFA Global Carbon Subsidiary, Ltd. as of June 30, 2026.
(A) For financial information on the KraneShares Sustainable Ultra Short Duration Index ETF, please go to the Fund’s website at https://kraneshares.com/kcsh/.
(B) Security pledged as collateral on futures contracts.
(C) Affiliated Investment.
(D) Variable or floating rate security, the interest rate of which adjusts periodically based on changes in current interest rates and prepayments on the underlying pool of assets.

 

45

 

 

Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Carbon Strategy ETF (concluded)

 

(E) Securities sold within the terms of a private placement memorandum, exempt from registration under section 144A of the Securities Act of 1933, as amended, and may be sold only to dealers in that program or other “accredited investors.” The total market value of such securities as of June 30, 2026 was $32,395,699 and represented 23.4% of the Net Assets of the Fund.
(F) The rate shown is the 7-day effective yield as of June 30, 2026.

 

Transactions with affiliated companies during the period ended June 30, 2026, are as follows:

 

Value
as of
3/31/2026
    Purchases at
Cost
    Proceeds
from Sale
    Change in
Unrealized
Appreciation/
(Depreciation)
    Realized
Gain/(Loss)
    Value
as of
6/30/2026
    Dividend
Income
    Capital Gain
Distributions
 
KraneShares Sustainable Ultra Short Duration Index ETF                            
$ 84,463,735     $     $ (8,307,534 )   $ 96,623     $ (10,459 )   $ 76,242,365     $ 723,968     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-020-1100

 

46

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Value Line® Dynamic Dividend Equity Index ETF

 

    Shares     Value  
COMMON STOCK — 99.8% ‡                
AUSTRALIA — 1.0%                
Materials — 1.0%                
Anglogold Ashanti     4,947     $ 400,163  
TOTAL AUSTRALIA             400,163  
                 
MEXICO — 1.1%                
Materials — 1.1%                
Southern Copper     2,565       446,977  
TOTAL MEXICO             446,977  
                 
UNITED STATES — 97.7%                
Communication Services — 4.1%                
Alphabet, Cl C     2,959       1,045,504  
Verizon Communications     13,045       552,325  
              1,597,829  
Consumer Discretionary — 9.8%                
American Eagle Outfitters     7,952       136,774  
Genuine Parts     1,630       192,307  
Harley-Davidson     16,565       405,180  
Home Depot     1,479       521,614  
NIKE, Cl B     12,444       510,826  
Tapestry     3,029       443,385  
Tesla *     1,395       586,737  
Upbound Group     15,987       339,244  
Wendy’s     87,409       724,621  
              3,860,688  
Consumer Staples — 8.1%                
Altria Group     9,006       647,982  
Conagra Brands     44,954       605,081  
Energizer Holdings     26,448       567,045  
Flowers Foods     77,350       611,065  
Kimberly-Clark     946       103,843  
PepsiCo     335       45,359  
Philip Morris International     3,351       606,229  
              3,186,604  
Energy — 4.4%                
Chevron     1,589       263,393  
Exxon Mobil     2,403       328,538  
Kinder Morgan     17,108       546,943  
ONEOK     3,738       324,982  
Phillips 66     504       85,201  
Williams     2,253       167,488  
              1,716,545  

 

47

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Value Line® Dynamic Dividend Equity Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials — 12.5%                
Blackrock     160     $ 153,850  
Cohen & Steers     2,661       202,609  
FactSet Research Systems     510       117,341  
Goldman Sachs Group     690       697,845  
JPMorgan Chase     2,520       824,871  
Main Street Capital     10,971       569,175  
Morgan Stanley     1,744       364,566  
Prudential Financial     1,054       113,758  
Regions Financial     10,491       316,828  
T Rowe Price Group     5,319       604,717  
US Bancorp     6,005       362,702  
Western Union     78,334       603,172  
              4,931,434  
Health Care — 9.2%                
AbbVie     2,974       748,378  
Bristol-Myers Squibb     10,571       609,101  
Johnson & Johnson     3,532       897,022  
Merck     3,362       432,017  
Pfizer     20,501       493,664  
UnitedHealth Group     1,105       459,271  
              3,639,453  
Industrials — 12.2%                
Automatic Data Processing     2,725       610,264  
Broadridge Financial Solutions     288       39,441  
Caterpillar     580       617,642  
Cummins     427       304,541  
Fastenal     10,349       497,062  
Illinois Tool Works     2,146       580,429  
Lockheed Martin     95       48,399  
Masco     822       66,886  
MSC Industrial Direct, Cl A     2,614       310,935  
Paychex     5,994       589,390  
Snap-on     1,027       413,265  
Union Pacific     437       118,864  
United Parcel Service, Cl B     5,774       620,705  
              4,817,823  
Information Technology — 25.6%                
Amphenol, Cl A     431       75,994  
Apple     1,272       368,066  
Applied Materials     242       174,966  
AppLovin, Cl A *     73       37,612  
Broadcom     3,475       1,312,681  
Cisco Systems     6,450       757,617  

 

48

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Value Line® Dynamic Dividend Equity Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Corning     738     $ 188,507  
International Business Machines     1,614       453,873  
KLA     420       126,718  
Lam Research     523       226,632  
Micron Technology     426       491,727  
Microsoft     5,192       1,936,720  
NVIDIA     13,373       2,675,804  
Oracle     1,140       167,067  
Palantir Technologies, Cl A *     612       71,402  
Seagate Technology Holdings     300       289,500  
Texas Instruments     2,450       730,271  
              10,085,157  
Real Estate — 11.8%                
American Homes 4 Rent, Cl A †     17,482       585,997  
Equity Residential †     8,513       578,288  
Gaming and Leisure Properties †     6,632       295,323  
Invitation Homes †     17,458       527,406  
Public Storage †     1,880       598,423  
Regency Centers †     5,480       436,975  
Simon Property Group †     2,871       642,099  
VICI Properties, Cl A †     17,761       471,555  
WP Carey †     7,421       530,601  
              4,666,667  
TOTAL UNITED STATES             38,502,200  
                 
TOTAL COMMON STOCK
(Cost $34,778,202)
            39,349,340  
                 
TOTAL INVESTMENTS — 99.8%
(Cost $34,778,202)
            39,349,340  
OTHER ASSETS LESS LIABILITIES – 0.2%             80,255  
NET ASSETS - 100%           $ 39,429,595  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
Real Estate Investment Trust

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-026-1100

 

49

 

 

Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Mount Lucas Managed Futures Index Strategy ETF

 

    Face Amount     Value  
U.S. TREASURY OBLIGATIONS — 65.3%                
U.S. Treasury Bills                
3.645%, 08/25/2026 (A)(B)   $ 45,000,000     $ 44,748,719  
3.607%, 07/30/2026 (A)(B)     40,000,000       39,884,322  
3.587%, 08/18/2026 (A)(B)     10,000,000       9,951,533  
3.585%, 07/02/2026 (A)(B)     50,000,000       49,995,007  
3.577%, 07/21/2026 (A)(B)     50,000,000       49,899,966  
TOTAL U.S. TREASURY OBLIGATIONS
(Cost $194,484,099)
            194,479,547  
                 
TOTAL INVESTMENTS — 65.3%
(Cost $194,484,099)
            194,479,547  
OTHER ASSETS LESS LIABILITIES – 160.5%             103,423,612  
NET ASSETS - 100%           $ 297,903,159  

 

A list of the open futures contracts held by the Fund at June 30, 2026, is as follows:

 

Type of Contract   Number of
Contracts
    Expiration
Date
  Notional
Amount
    Value     Unrealized
Appreciation/
(Depreciation)
 
Long Contracts                                  
AUD Currency   686     Sep-2026   $ 47,994,734     $ 47,409,460     $ (585,274 )
Canadian 10-Year Bonds   211     Sep-2026     18,005,668       18,018,128       2,500  
Copper ^   128     Sep-2026     21,013,193       20,012,800       (1,000,393 )
Gasoline ^   171     Sep-2026     22,031,650       19,614,760       (2,416,890 )
Live Cattle ^   216     Aug-2026     21,321,400       20,945,520       (375,880 )
NY Harbor ULSD ^   145     Sep-2026     21,713,768       19,245,009       (2,468,759 )
Wheat ^   585     Dec-2026     18,188,239       17,681,625       (506,614 )
WTI Crude Oil ^   248     Sep-2026     22,357,564       17,178,960       (5,178,604 )
                192,626,216       180,106,262       (12,529,914 )
Short Contracts                                  
British Pound   (417)     Sep-2026     (34,773,153 )     (34,545,844 )     227,309  
CAD Currency   (675)     Sep-2026     (48,479,720 )     (47,682,000 )     797,720  
Corn ^   (869)     Dec-2026     (19,164,673 )     (18,944,200 )     220,473  
Euro FX   (336)     Sep-2026     (48,691,007 )     (48,117,300 )     573,707  
Euro-BUND 10-Year Bonds   (324)     Sep-2026     (47,288,088 )     (47,141,408 )     (618,706 )
Gold ^   (2)     Aug-2026     (807,694 )     (807,700 )     (6 )
Japanese 10-Year Bonds   (96)     Sep-2026     (76,597,285 )     (75,438,482 )     (169,529 )
Japanese Yen   (621)     Sep-2026     (48,734,418 )     (48,026,587 )     707,831  
Long GILT 10-Year Bonds   (523)     Sep-2026     (61,969,545 )     (61,888,114 )     (772,005 )
Natural Gas ^   (629)     Sep-2026     (19,817,890 )     (20,090,260 )     (272,370 )
Soybean ^   (114)     Nov-2026     (6,524,693 )     (6,519,375 )     5,318  
Sugar No. 11 ^   (1,266)     Oct-2026     (20,583,742 )     (21,013,574 )     (429,832 )
Swiss Franc   (304)     Sep-2026     (48,037,319 )     (47,406,900 )     630,419  

 

50

 

 

Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Mount Lucas Managed Futures Index Strategy ETF (concluded)

 

Type of Contract   Number of
Contracts
    Expiration
Date
  Notional
Amount
    Value     Unrealized
Appreciation/
(Depreciation)
 
Ultra 10-Year U.S. Treasury Notes   (688)     Sep-2026   $ (76,860,403 )   $ (77,378,500 )   $ (518,097 )
                (558,329,630 )     (555,000,244 )     382,232  
              $ (365,703,414 )   $ (374,893,982 )   $ (12,147,682 )

 

^ Security is held by the KFA MLM Index Subsidiary, Ltd. as of June 30, 2026.
(A) Interest rate represents the security’s effective yield at the time of purchase.
(B) Security pledged as collateral on futures contracts.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-025-1100

 

51

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares China Technology & Semiconductor STAR 50 Index ETF

 

    Shares     Value  
COMMON STOCK — 99.7% ‡                
CHINA — 99.7%                
Consumer Discretionary — 1.2%                
Beijing Roborock Technology, Cl A     121,055     $ 1,693,664  
Ninebot, Cl A     341,437       1,918,949  
              3,612,613  
Health Care — 3.4%                
APT Medical, Cl A     49,564       1,325,690  
Shanghai Allist Pharmaceuticals, Cl A     157,586       2,535,119  
Shanghai United Imaging Healthcare, Cl A     288,617       4,304,169  
Sichuan Biokin Pharmaceutical, Cl A *     48,198       2,087,752  
              10,252,730  
Industrials — 0.9%                
AVIC Chengdu UAS, Cl A     196,987       1,205,776  
Zhuzhou CRRC Times Electric, Cl A     152,145       1,538,933  
              2,744,709  
Information Technology — 92.9%                
ACM Research Shanghai, Cl A     84,503       5,377,916  
Advanced Micro-Fabrication Equipment China, Cl A     380,701       26,275,532  
Amlogic Shanghai, Cl A     247,073       3,745,405  
ASR Microelectronics, Cl A *     146,487       2,682,861  
Beijing Kingsoft Office Software, Cl A     135,228       4,244,302  
Bestechnic Shanghai, Cl A     68,923       1,697,599  
Biwin Storage Technology, Cl A     220,188       16,047,968  
Cambricon Technologies, Cl A     127,461       29,960,236  
China Railway Signal & Communication, Cl A     1,509,523       1,058,534  
China Resources Microelectronics, Cl A     310,089       4,456,273  
CSI Solar, Cl A     850,545       1,355,760  
Everdisplay Optronics Shanghai, Cl A *     3,224,003       1,234,886  
GalaxyCore, Cl A     607,140       1,881,884  
Geovis Technology, Cl A     235,821       1,440,704  
Guobo Electronics, Cl A     104,359       1,603,513  
Hua Hong Grace Semiconductor, Cl A *     237,990       11,790,813  
Hwatsing Technology, Cl A     231,005       10,964,229  
Hygon Information Technology, Cl A     472,195       25,759,253  
Jinko Solar, Cl A *     2,397,538       1,677,711  
Loongson Technology, Cl A *     117,024       2,666,485  
MetaX Integrated Circuits Shanghai, Cl A *     11,656       1,422,314  
Montage Technology, Cl A     582,247       26,581,960  
Moore Threads Technology, Cl A *     19,203       2,026,924  
National Silicon Industry Group, Cl A *     964,503       5,667,947  
Nexchip Semiconductor, Cl A     585,878       5,094,929  
Piotech, Cl A (A)     115,498       14,473,731  
QuantumCTek, Cl A     36,024       2,674,787  
Shanghai BOCHU Electronic Technology, Cl A     94,684       1,488,329  

 

52

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares China Technology & Semiconductor STAR 50 Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Shengyi Electronics, Cl A     194,200     $ 3,787,873  
Shenzhen Transsion Holdings, Cl A     335,949       2,917,530  
Skyverse Technology, Cl A *     143,064       9,062,687  
Smartsens Technology Shanghai, Cl A     164,367       2,592,630  
SUPCON Technology, Cl A     369,426       6,394,749  
Suzhou Centec Communications, Cl A *     71,791       4,124,598  
Trina Solar, Cl A *     820,360       1,706,465  
United Nova Technology, Cl A *     2,935,580       4,588,466  
Verisilicon Microelectronics Shanghai, Cl A *     245,562       13,426,323  
Xinjiang Daqo New Energy, Cl A *     375,621       964,507  
Yuanjie Semiconductor Technology, Cl A     58,133       16,151,862  
              281,070,475  
Materials — 1.3%                
Cathay Biotech, Cl A     210,495       1,483,823  
Western Superconducting Technologies, Cl A     265,428       2,456,030  
              3,939,853  
TOTAL CHINA             301,620,380  
                 
TOTAL COMMON STOCK
(Cost $209,757,975)
            301,620,380  
                 
TOTAL INVESTMENTS — 99.7%
(Cost $209,757,975)
            301,620,380  
OTHER ASSETS LESS LIABILITIES – 0.3%             946,146  
NET ASSETS - 100%           $ 302,566,526  

 

Formerly KraneShares SSE STAR Market 50 Index ETF, effective July 20, 2026.
Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Level 3 security in accordance with fair value hierarchy.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-024-1100

 

53

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Hang Seng TECH Index ETF

 

    Shares     Value  
COMMON STOCK — 98.9% ‡                
CHINA — 98.9%                
Communication Services — 30.1%                
Baidu, Cl A *     163,200     $ 2,280,873  
Bilibili, Cl Z *     45,060       756,741  
Kuaishou Technology, Cl B     394,800       2,094,309  
NetEase     204,105       5,267,864  
Tencent Holdings     83,600       4,581,874  
Tencent Music Entertainment Group, Cl A     8,100       33,962  
              15,015,623  
Consumer Discretionary — 42.5%                
Alibaba Group Holding     180,100       2,132,387  
BYD, Cl H     416,500       3,847,900  
Haier Smart Home, Cl A     380,226       968,741  
JD.com, Cl A     167,859       2,124,445  
Li Auto, Cl A *     283,300       1,664,675  
Meituan, Cl B *     471,180       4,115,739  
Midea Group, Cl H     139,800       1,472,508  
NIO, Cl A *     80,240       396,388  
Tongcheng Travel Holdings     182,800       279,490  
Trip.com Group *     49,100       1,950,964  
XPeng, Cl A *     287,700       1,858,188  
Zhejiang Leapmotor Technology, Cl H *     95,100       418,137  
              21,229,562  
Consumer Staples — 1.9%                
Alibaba Health Information Technology *     840,000       329,914  
JD Health International *     145,650       609,935  
              939,849  
Information Technology — 24.4%                
BYD Electronic International     103,500       276,104  
Horizon Robotics, Cl B *     2,075,400       1,079,773  
Hua Hong Grace Semiconductor, Cl H *     86,000       2,359,995  
Knowledge Atlas Technology JSC, Cl H *     2,200       590,254  
Lenovo Group     688,000       2,019,594  
Minimax Group, Cl A *     2,400       127,620  
SenseTime Group, Cl B *     5,854,000       1,000,295  
Sunny Optical Technology Group     123,040       957,076  

 

54

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Hang Seng TECH Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Xiaomi, Cl B *     1,360,000     $ 3,752,896  
              12,163,607  
TOTAL CHINA             49,348,641  
                 
TOTAL COMMON STOCK
(Cost $61,212,752)
            49,348,641  
                 
TOTAL INVESTMENTS — 98.9%
(Cost $61,212,752)
            49,348,641  
OTHER ASSETS LESS LIABILITIES – 1.1%             547,617  
NET ASSETS - 100%           $ 49,896,258  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-028-1100

 

55

 

 

Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares California Carbon Allowance Strategy ETF

 

    Shares     Value  
EXCHANGE-TRADED FUND — 79.0%                
Fixed Income — 79.0%                
KraneShares Sustainable Ultra Short Duration Index ETF (A)(B)(C)     3,678,400     $ 92,162,312  
TOTAL EXCHANGE-TRADED FUND
(Cost $92,333,094)
            92,162,312  
                 
SHORT-TERM INVESTMENT — 3.4%                
State Street Institutional U.S. Government Money Market Fund, GVMXX, Cl Premier, 3.580% (D)     3,960,621       3,960,620  
TOTAL SHORT-TERM INVESTMENT
(Cost $3,960,620)
            3,960,620  
                 
TOTAL INVESTMENTS — 82.4%
(Cost $96,293,714)
            96,122,932  
OTHER ASSETS LESS LIABILITIES – 17.6%             20,463,005  
NET ASSETS - 100%           $ 116,585,937  

 

A list of the open futures contracts held by the Fund at June 30, 2026, is as follows:

 

Type of Contract   Number of
Contracts
    Expiration
Date
  Notional
Amount
    Value     Unrealized
Appreciation/
(Depreciation)
 
Long Contracts                                  
CA Carbon Allowance Vintage ^   3,538     Dec-2026   $ 108,727,373     $ 116,612,480     $ 7,885,107  

 

^ Security is held by the KraneShares California Carbon Subsidiary, Ltd. as of June 30, 2026.
(A) For financial information on the KraneShares Sustainable Ultra Short Duration Index ETF, please go to the Fund’s website at https://kraneshares.com/kcsh/.
(B) Security pledged as collateral on futures contracts.
(C) Affiliated Investment.
(D) The rate shown is the 7-day effective yield as of June 30, 2026.

 

Transactions with affiliated companies during the period ended June 30, 2026, are as follows:

 

Value
as of
3/31/2026
    Purchases at
Cost
    Proceeds
from Sale
    Change in
Unrealized
Appreciation/
(Depreciation)
    Realized
Gain/(Loss)
    Value
as of
6/30/2026
    Dividend
Income
    Capital Gain
Distributions
 
KraneShares Sustainable Ultra Short Duration Index ETF  
$ 86,776,507     $ 8,314,335     $ (3,008,338 )   $ 87,070     $ (7,262 )   $ 92,162,312     $ 806,930     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-030-1000

 

56

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares KWEB Covered Call Strategy ETF

 

    Shares     Value  
EXCHANGE - TRADED FUND — 101.6%                
Domestic Equity — 101.6%                
KraneShares CSI China Internet ETF (A)(B)     4,122,500     $ 100,877,575  
TOTAL EXCHANGE - TRADED FUND
(Cost $124,635,008)
            100,877,575  
                 
TOTAL INVESTMENTS — 101.6%
(Cost $124,635,008)
            100,877,575  
                 
WRITTEN OPTIONS (C) — (1.9)%
(Premiums Received $(4,045,334))
          $ (1,856,088 )
OTHER ASSETS LESS LIABILITIES – 0.3%             299,956  
NET ASSETS - 100%           $ 99,321,443  

 

(A) For financial information on the KraneShares CSI China Internet ETF, please go to the Fund’s website at https://kraneshares.com/kweb/.
(B) Affiliated Investment.
(C) Refer to option table below.

 

Written options contracts outstanding as of June 30, 2026 were as follows:

 

    Number of     Notional     Exercise     Expiration   Market  
Description   Contracts     Amount     Price     Date   Value  
WRITTEN OPTIONS — (1.9)%                                  
Call Options                                  
KWEB US *   (450)     $ (1,101,150 )   $ 26.66     07/02/26   $ (607 )
KWEB US *   (7,900)       (19,331,300 )     26.73     07/02/26     (10,507 )
KWEB US *   (5,550)       (13,580,850 )     26.38     07/10/26     (44,456 )
KWEB US *   (8,156)       (19,957,732 )     26.49     07/17/26     (136,368 )
KWEB US *   (11,632)       (28,463,504 )     25.24     07/24/26     (667,909 )
KWEB US *   (7,537)       (18,443,039 )     23.94     07/31/26     (996,241 )
Total Written Options         $ (100,877,575 )               $ (1,856,088 )

 

* KraneShares CSI China Internet ETF.

 

Transactions with affiliated companies during the period ended June 30, 2026, are as follows:

 

Value
as of
3/31/2026
    Purchases at
Cost
    Proceeds
from Sale
    Change in
Unrealized
Appreciation/
(Depreciation)
    Realized
Gain/(Loss)
    Value
as of
6/30/2026
    Dividend
Income
    Capital Gain
Distributions
 
KraneShares CSI China Internet ETF  
$ 113,248,062     $ 94,599,753     $ (91,561,714 )   $ (2,205,712 )   $ (13,202,814 )   $ 100,877,575     $     $  

 

Amounts designated as “—” are $0 or have been rounded to $0.

 

See “Glossary” for abbreviations.

 

57

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares KWEB Covered Call Strategy ETF

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-037-0700

 

58

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Hedgeye Hedged Equity

 

    Shares     Value  
EXCHANGE - TRADED FUND — 100.0%                
Domestic Equity — 100.0%                
State Street SPDR S&P 500 ETF Trust (A)     139,100     $ 103,875,707  
TOTAL EXCHANGE - TRADED FUND
(Cost $95,048,204)
            103,875,707  
                 
PURCHASED OPTION (B) — 0.6%                
TOTAL PURCHASED OPTION
(Cost $1,520,709)
            597,700  
                 
TOTAL INVESTMENTS — 100.6%
(Cost $96,568,913)
            104,473,407  
                 
WRITTEN OPTIONS (B) — (1.0)%
(Premiums Received $(1,584,422))
          $ (1,010,850 )
OTHER ASSETS LESS LIABILITIES – 0.4%             357,382  
NET ASSETS - 100%           $ 103,819,939  

 

(A) For financial information on the SPDR S&P 500 ETF Trust, please go to the Commission’s website at https://www.sec.gov.
(B) Refer to option table below.

 

A list of open option contracts held by the Fund at June 30, 2026 was as follows:

 

    Number of     Notional     Exercise     Expiration   Market  
Description   Contracts     Amount     Price     Date   Value  
PURCHASED OPTION — 0.6%                                  
Put Options                                  
S&P 500 Index   139     $ 104,241,104     $ 7,380.00     07/17/26   $ 597,700  
                                   
WRITTEN OPTIONS — (1.0)%                                  
Put Options                                  
S&P 500 Index   (139)     $ (104,241,104 )   $ 7,305.00     07/17/26   $ (411,440 )
Call Options                                  
SPDR S&P 500 ETF Trust   (1,391)     $ (103,875,707 )   $ 755.72     07/17/26   $ (599,410 )
Total Written Options         $ (208,116,811 )               $ (1,010,850 )

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-042-0500

 

59

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Public-Private AI & Technology ETF

 

    Shares     Value  
COMMON STOCK — 97.6% ‡                
CANADA — 1.2%                
Information Technology — 1.2%                
Shopify, Cl A *     86,174     $ 9,855,572  
TOTAL CANADA             9,855,572  
                 
GERMANY — 0.9%                
Information Technology — 0.9%                
SAP     45,131       6,914,177  
TOTAL GERMANY             6,914,177  
                 
ISRAEL — 1.2%                
Information Technology — 1.2%                
Tower Semiconductor *     39,398       10,107,849  
TOTAL ISRAEL             10,107,849  
                 
JAPAN — 1.6%                
Industrials — 0.7%                
Nitto Boseki *     200,500       5,323,227  
                 
Information Technology — 0.9%                
Renesas Electronics     246,900       7,302,559  
                 
TOTAL JAPAN             12,625,786  
                 
NETHERLANDS — 4.0%                
Information Technology — 4.0%                
ASML Holding     7,147       14,065,861  
Nebius Group, Cl A *     64,725       17,875,103  
TOTAL NETHERLANDS             31,940,964  
                 
SOUTH KOREA — 4.1%                
Information Technology — 4.1%                
Samsung Electronics     64,983       14,009,115  
SK hynix     11,312       19,348,609  
TOTAL SOUTH KOREA             33,357,724  
                 
SWITZERLAND — 0.7%                
Information Technology — 0.7%                
TE Connectivity     27,054       5,454,357  
TOTAL SWITZERLAND             5,454,357  
                 
TAIWAN — 4.3%                
Information Technology — 4.3%                
MediaTek     98,000       13,058,874  

 

60

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Public-Private AI & Technology ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Taiwan Semiconductor Manufacturing     288,000     $ 21,787,704  
TOTAL TAIWAN             34,846,578  
                 
UNITED STATES — 79.6%                
Communication Services — 12.4%                
Alphabet, Cl A     77,334       27,636,851  
Meta Platforms, Cl A     45,093       25,400,436  
Netflix *     125,900       8,989,260  
ROBLOX, Cl A *     174,834       9,507,473  
Space Exploration Technologies (A)     111,285       19,014,162  
Space Exploration Technologies, Cl A *(A)     57,885       9,890,231  
              100,438,413  
Consumer Discretionary — 5.0%                
Amazon.com *     95,190       22,687,584  
Tesla *     42,396       17,831,758  
              40,519,342  
Health Care — 1.0%                
Tempus AI, Cl A *     142,935       8,280,225  
                 
Industrials — 2.4%                
Eaton     26,716       11,384,222  
Vertiv Holdings, Cl A     23,666       7,923,850  
              19,308,072  
Information Technology — 57.5%                
Advanced Micro Devices *     37,198       21,608,690  
Apple     81,376       23,546,960  
Applied Digital *     268,980       10,032,954  
Arista Networks *     63,070       10,714,332  
ARM Holdings ADR *     47,884       16,978,230  
Astera Labs *     52,820       25,513,116  
Ayar Labs (A)     75,000       4,875,000  
Broadcom     53,985       20,392,834  
Cadence Design Systems *     22,240       8,347,117  
Ciena *     14,473       7,099,875  
Circle Internet Group, Cl A *     78,215       4,898,605  
Cloudflare, Cl A *     45,520       11,165,146  
CoreWeave, Cl A *     90,484       9,006,777  
Datadog, Cl A *     61,886       16,112,639  
Flex *     78,502       12,722,819  
GlobalFoundries     144,032       11,869,677  
Hut 8 *     102,817       11,869,708  
Micron Technology     13,815       15,946,516  
Microsoft     68,066       25,389,979  

 

61

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Public-Private AI & Technology ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Nuro (A)     367,834     $ 4,000,000  
Nutanix, Cl A *     195,876       9,981,841  
NVIDIA     163,951       32,804,956  
Oracle     77,880       11,413,314  
Palantir Technologies, Cl A *     117,600       13,720,392  
Palo Alto Networks *     33,345       11,371,312  
Riot Platforms *     435,108       11,913,257  
Salesforce     49,065       7,686,523  
Samsara, Cl A *     205,988       6,680,191  
Sanmina *     38,445       9,729,661  
ServiceNow *     116,640       11,580,019  
Snowflake, Cl A *     77,521       19,729,094  
Teradyne     21,462       10,384,174  
Terawulf *     433,791       10,714,638  
Texas Instruments     36,134       10,770,461  
Twilio, Cl A *     35,205       7,263,848  
Zscaler *     44,520       6,283,998  
              464,118,653  
Utilities — 1.3%                
NextEra Energy     114,662       10,063,884  
                 
TOTAL UNITED STATES             642,728,589  
                 
TOTAL COMMON STOCK
(Cost $750,461,758)
            787,831,596  
                 
PREFERRED STOCK — 1.8%                
UNITED STATES — 1.8%                
Financials — 0.2%                
Polymarket (A)(B)     14,286       2,000,040  
                 
Information Technology — 1.6%                
Anthropic *(A)(B)     17,829       12,926,025  
                 
TOTAL UNITED STATES             14,926,065  
                 
TOTAL PREFERRED STOCK
(Cost $3,000,006)
            14,926,065  
                 
TOTAL INVESTMENTS — 99.4%
(Cost $753,461,764)
            802,757,661  
OTHER ASSETS LESS LIABILITIES – 0.6%             4,636,092  
NET ASSETS - 100%           $ 807,393,753  

 

Formerly KraneShares Artificial Intelligence and Technology ETF, effective June 1, 2026.
Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Level 3 security in accordance with fair value hierarchy.
(B) Currently, no stated interest rate.

 

62

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Public-Private AI & Technology ETF (concluded)

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-043-0500

 

63

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Sustainable Ultra Short Duration Index ETF

 

    Face Amount     Value  
CORPORATE OBLIGATIONS — 97.3%                
AUSTRALIA — 0.4%                
Financials — 0.4%                
Westpac Banking                
2.700%, 08/19/2026   $ 750,000     $ 748,622  
                 
CANADA — 9.4%                
Financials — 9.4%                
Bank of Montreal, MTN                
2.650%, 03/08/2027     5,000,000       4,945,581  
Bank of Nova Scotia                
1.300%, 09/15/2026     3,000,000       2,982,421  
Royal Bank of Canada, MTN                
5.200%, 07/20/2026     1,000,000       1,000,565  
3.625%, 05/04/2027     868,000       863,359  
1.400%, 11/02/2026     1,500,000       1,486,703  
1.150%, 07/14/2026     1,000,000       998,927  
Toronto-Dominion Bank, MTN                
5.532%, 07/17/2026     1,900,000       1,901,244  
1.250%, 09/10/2026     1,750,000       1,740,838  
TOTAL CANADA             15,919,638  
                 
FRANCE — 3.5%                
Financials — 3.5%                
Credit Agricole, MTN                
4.125%, 01/10/2027     6,010,000       6,002,222  
                 
IRELAND — 1.6%                
Industrials — 1.6%                
AerCap Ireland Capital DAC                
6.450%, 04/15/2027     2,665,000       2,701,638  
                 
JAPAN — 5.5%                
Financials — 5.5%                
Mitsubishi UFJ Financial Group                
2.757%, 09/13/2026     500,000       498,457  
Mizuho Financial Group                
3.663%, 02/28/2027     3,000,000       2,986,918  
Sumitomo Mitsui Financial Group                
2.632%, 07/14/2026     4,000,000       3,997,644  
1.402%, 09/17/2026     1,850,000       1,839,479  
TOTAL JAPAN             9,322,498  
                 
SWITZERLAND — 0.6%                
Financials — 0.6%                
UBS                
1.250%, 08/07/2026     1,083,000       1,080,105  

 

64

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Sustainable Ultra Short Duration Index ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
UNITED STATES — 76.3%                
Communication Services — 5.1%                
Comcast                
3.300%, 02/01/2027   $ 2,454,000     $ 2,440,384  
Netflix                
4.375%, 11/15/2026     3,000,000       3,002,280  
T-Mobile USA                
3.750%, 04/15/2027     3,188,000       3,171,851  
              8,614,515  
Consumer Discretionary — 8.0%                
American Honda Finance, MTN                
5.250%, 07/07/2026     1,111,000       1,111,157  
4.900%, 03/12/2027     5,000,000       5,015,984  
DR Horton                
1.300%, 10/15/2026     1,500,000       1,487,446  
Starbucks                
4.850%, 02/08/2027     2,000,000       2,005,907  
Toyota Motor Credit, MTN                
5.000%, 08/14/2026     750,000       750,713  
4.550%, 08/07/2026     1,250,000       1,250,757  
3.200%, 01/11/2027     2,000,000       1,989,655  
              13,611,619  
Consumer Staples — 8.0%                
Archer-Daniels-Midland                
2.500%, 08/11/2026     750,000       748,658  
Coca-Cola                
1.450%, 06/01/2027     2,600,000       2,537,687  
Estee Lauder                
3.150%, 03/15/2027     3,000,000       2,976,881  
Procter & Gamble                
2.450%, 11/03/2026     3,500,000       3,480,034  
1.900%, 02/01/2027     4,000,000       3,951,205  
              13,694,465  
Financials — 36.5%                
Allstate                
3.280%, 12/15/2026     500,000       497,941  
American Express                
2.550%, 03/04/2027     2,827,000       2,795,904  
1.650%, 11/04/2026     4,500,000       4,461,348  
Bank of America, MTN                
4.250%, 10/22/2026     4,405,000       4,405,337  
Bank of America                
5.526%, 08/18/2026     1,010,000       1,010,799  
Bank of New York Mellon, MTN                
3.250%, 05/16/2027     1,086,000       1,077,361  

 

65

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Sustainable Ultra Short Duration Index ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Financials (continued)                
2.450%, 08/17/2026   $ 750,000     $ 748,530  
Capital One Financial                
4.100%, 02/09/2027     2,000,000       1,997,156  
3.650%, 05/11/2027     3,000,000       2,981,882  
Charles Schwab                
5.875%, 08/24/2026     750,000       750,888  
Citibank                
4.576%, 05/29/2027     1,584,000       1,588,719  
Citigroup                
4.300%, 11/20/2026     3,500,000       3,501,022  
3.200%, 10/21/2026     1,526,000       1,521,085  
Corebridge Financial                
3.650%, 04/05/2027     1,221,000       1,213,150  
Fifth Third Bank, MTN                
2.250%, 02/01/2027     4,424,000       4,374,746  
Goldman Sachs Group                
5.950%, 01/15/2027     3,000,000       3,024,543  
3.500%, 11/16/2026     1,000,000       996,985  
JPMorgan Chase                
4.125%, 12/15/2026     4,500,000       4,499,357  
2.950%, 10/01/2026     1,550,000       1,545,863  
Mastercard                
2.950%, 11/21/2026     500,000       497,794  
Morgan Stanley, MTN                
6.250%, 08/09/2026     500,000       500,730  
3.950%, 04/23/2027     1,500,000       1,495,222  
3.125%, 07/27/2026     2,618,500       2,617,552  
Morgan Stanley                
3.625%, 01/20/2027     2,000,000       1,992,124  
Northern Trust                
4.000%, 05/10/2027     1,202,000       1,199,852  
PNC Financial Services Group                
2.600%, 07/23/2026     2,194,000       2,191,981  
State Street                
5.272%, 08/03/2026     750,000       750,078  
US Bancorp, MTN                
2.375%, 07/22/2026     2,744,000       2,740,992  
Wells Fargo                
3.000%, 10/23/2026     2,330,000       2,321,156  
Wells Fargo Bank                
5.450%, 08/07/2026     2,881,000       2,884,001  
              62,184,098  
Health Care — 5.2%                
CVS Health                
3.625%, 04/01/2027     2,700,000       2,684,468  

 

66

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Sustainable Ultra Short Duration Index ETF (continued)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Health Care (continued)                
Thermo Fisher Scientific                
4.953%, 08/10/2026   $ 1,150,000     $ 1,150,173  
UnitedHealth Group                
4.750%, 07/15/2026     2,000,000       2,000,434  
3.450%, 01/15/2027     3,000,000       2,988,746  
              8,823,821  
Industrials — 3.2%                
John Deere Capital, MTN                
2.250%, 09/14/2026     1,000,000       996,129  
John Deere Capital                
4.500%, 01/08/2027     1,409,000       1,411,303  
Sumisho Air Lease                
1.875%, 08/15/2026     1,000,000       996,801  
United Parcel Service                
2.400%, 11/15/2026     1,000,000       993,871  
Westinghouse Air Brake Technologies                
3.450%, 11/15/2026     1,000,000       996,163  
              5,394,267  
Information Technology — 10.0%                
Advanced Micro Devices                
4.212%, 09/24/2026     2,140,000       2,140,644  
Apple                
2.450%, 08/04/2026     750,000       748,832  
2.050%, 09/11/2026     2,000,000       1,992,456  
Broadcom                
3.459%, 09/15/2026     750,000       748,847  
Cisco Systems                
4.800%, 02/26/2027     2,791,000       2,801,065  
Keysight Technologies                
4.600%, 04/06/2027     2,182,000       2,183,408  
Microsoft                
3.400%, 09/15/2026     750,000       749,195  
3.300%, 02/06/2027     3,000,000       2,985,531  
2.400%, 08/08/2026     2,750,000       2,744,584  
              17,094,562  
Real Estate — 0.3%                
Crown Castle                
1.050%, 07/15/2026     500,000       499,366  

 

67

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Sustainable Ultra Short Duration Index ETF (concluded)

 

    Face Amount     Value  
CORPORATE OBLIGATIONS (continued)                
Real Estate (continued)                
TOTAL UNITED STATES           $ 129,916,713  
                 
TOTAL CORPORATE OBLIGATIONS
(Cost $165,893,320)
            165,691,436  
                 
TOTAL INVESTMENTS — 97.3%
(Cost $165,893,320)
            165,691,436  
OTHER ASSETS LESS LIABILITIES – 2.7%             4,606,918  
NET ASSETS - 100%           $ 170,298,354  

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-041-0500

 

68

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares China Alpha Index ETF

 

    Shares     Value  
COMMON STOCK — 100.8% ‡                
CHINA — 100.8%                
Consumer Discretionary — 9.5%                
BYD, Cl A     5,700     $ 66,925  
Chongqing Changan Automobile, Cl A     10,600       11,197  
Fuyao Glass Industry Group, Cl A     12,201       90,663  
Haier Smart Home, Cl A     19,300       58,031  
Seres Group, Cl A     8,300       74,893  
              301,709  
Financials — 41.6%                
Agricultural Bank of China, Cl A     109,500       97,918  
Bank of Beijing, Cl A     136,700       98,679  
Bank of China, Cl A     118,300       99,687  
Bank of Communications, Cl A     103,100       97,662  
Bank of Jiangsu, Cl A     61,200       97,192  
Bank of Nanjing, Cl A     62,700       91,353  
Bank of Shanghai, Cl A     76,100       97,311  
China Construction Bank, Cl A     69,600       98,740  
China Galaxy Securities, Cl A     57,200       105,923  
Chongqing Rural Commercial Bank, Cl A     104,200       93,792  
Guotai Haitong Securities, Cl A     28,200       75,610  
Huaxia Bank, Cl A     102,000       96,019  
Industrial & Commercial Bank of China, Cl A     96,400       100,405  
Shanghai Pudong Development Bank, Cl A     55,000       69,763  
              1,320,054  
Industrials — 20.6%                
Beijing-Shanghai High Speed Railway, Cl A     11,500       7,674  
China CSSC Holdings, Cl A     19,100       95,078  
COSCO SHIPPING Holdings, Cl A     47,400       92,593  
CRRC, Cl A     124,300       95,221  
Daqin Railway, Cl A     136,400       92,635  
NARI Technology, Cl A     27,700       93,245  
Shanghai International Port Group, Cl A     137,500       95,610  
Yutong Bus, Cl A     20,800       82,152  
              654,208  
Information Technology — 18.0%                
Eoptolink Technology, Cl A     980       87,634  
NAURA Technology Group, Cl A     400       52,125  
Shenzhen Transsion Holdings, Cl A     8,252       71,664  
Suzhou TFC Optical Communication, Cl A     2,700       120,394  
WUS Printed Circuit Kunshan, Cl A     5,600       126,058  
Zhongji Innolight, Cl A     600       112,257  
              570,132  

 

69

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares China Alpha Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials — 11.1%                
Aluminum Corp of China, Cl A     18,000     $ 21,797  
Baoshan Iron & Steel, Cl A     27,600       22,078  
Satellite Chemical, Cl A     29,700       102,778  
Zangge Mining, Cl A     5,700       58,209  
Zhejiang Juhua, Cl A     18,900       147,597  
              352,459  
TOTAL CHINA             3,198,562  
                 
TOTAL COMMON STOCK
(Cost $3,015,467)
            3,198,562  
                 
TOTAL INVESTMENTS — 100.8%
(Cost $3,015,467)
            3,198,562  
OTHER ASSETS LESS LIABILITIES – (0.8)%             (24,416 )
NET ASSETS - 100%           $ 3,174,146  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-046-0400

 

70

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF

 

    Shares     Value  
COMMON STOCK — 99.9% ‡                
BRAZIL — 0.3%                
Financials — 0.3%                
StoneCo, Cl A     4,256     $ 46,135  
TOTAL BRAZIL             46,135  
                 
CANADA — 0.1%                
Materials — 0.1%                
SSR Mining *     960       27,149  
TOTAL CANADA             27,149  
                 
GUATEMALA — 1.1%                
Communication Services — 1.1%                
Millicom International Cellular     1,976       179,342  
TOTAL GUATEMALA             179,342  
                 
PUERTO RICO — 0.3%                
Communication Services — 0.3%                
Liberty Latin America, Cl C *     6,679       52,029  
TOTAL PUERTO RICO             52,029  
                 
SINGAPORE — 0.7%                
Communication Services — 0.5%                
Grindr *     6,228       89,496  
                 
Information Technology — 0.2%                
Kulicke & Soffa Industries     202       27,020  
                 
TOTAL SINGAPORE             116,516  
                 
SOUTH AFRICA — 0.2%                
Materials — 0.2%                
Caledonia Mining     1,736       33,158  
TOTAL SOUTH AFRICA             33,158  
                 
SWITZERLAND — 0.3%                
Consumer Discretionary — 0.3%                
Garrett Motion     1,486       53,838  
TOTAL SWITZERLAND             53,838  
                 
UNITED KINGDOM — 0.5%                
Financials — 0.5%                
Marex Group     1,369       83,440  
TOTAL UNITED KINGDOM             83,440  

 

71

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
UNITED STATES — 96.4%                
Communication Services — 5.4%                
Bandwidth, Cl A *     2,129     $ 134,766  
Cargurus, Cl A *     1,780       60,680  
Cars.com *     859       9,397  
IMAX *     373       14,868  
Iridium Communications     887       48,652  
Madison Square Garden Entertainment, Cl A *     216       17,472  
Magnite *     5,337       101,296  
Marcus     588       13,795  
Match Group     2,721       103,534  
MediaAlpha, Cl A *     3,614       45,428  
News, Cl A     9,826       243,980  
Nexstar Media Group, Cl A     132       23,574  
NIQ Global Intelligence *     6,684       62,495  
USA TODAY *     1,916       16,382  
ZoomInfo Technologies, Cl A *     3,636       10,653  
              906,972  
Consumer Discretionary — 12.3%                
Adient *     1,927       35,418  
ADT     797       5,180  
American Public Education *     165       8,860  
Aramark     2,154       122,563  
Asbury Automotive Group *     51       10,255  
AutoNation *     322       59,824  
Biglari Holdings, Cl B *     150       63,905  
BJ’s Restaurants *     914       55,512  
BorgWarner     1,571       104,314  
Brunswick     440       37,066  
Callaway Golf *     120       2,255  
Churchill Downs     429       38,456  
Citi Trends *     267       15,443  
Etsy *     1,444       108,777  
Frontdoor *     1,921       149,050  
Gentherm *     673       22,956  
Group 1 Automotive     20       5,823  
Hasbro     383       31,632  
Lear     824       110,465  
Lindblad Expeditions Holdings *     1,365       38,548  
Mattel *     6,283       87,208  
Murphy USA     146       78,675  
Peloton Interactive, Cl A *     13,400       79,194  
Phinia     783       64,496  
Planet Fitness, Cl A *     742       38,710  
Ralph Lauren, Cl A     378       151,733  

 

72

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Consumer Discretionary (continued)                
RealReal *     7,019     $ 82,754  
Rocky Brands     245       10,104  
Savers Value Village *     2,986       30,129  
Sonic Automotive, Cl A     116       9,836  
Tapestry     1,190       174,192  
Taylor Morrison Home, Cl A *     126       9,039  
Travel + Leisure     594       45,399  
VF     1,155       19,265  
Victoria’s Secret *     233       19,451  
Wayfair, Cl A *     730       67,467  
Wyndham Hotels & Resorts     989       83,284  
              2,077,238  
Consumer Staples — 3.4%                
BJ’s Wholesale Club Holdings *     392       34,190  
Central Garden & Pet, Cl A *     778       30,163  
Chefs’ Warehouse *     169       16,241  
Coca-Cola Consolidated     389       74,268  
Darling Ingredients *     354       19,335  
Dole     1,290       17,699  
Ingles Markets, Cl A     271       24,005  
Ingredion     99       9,376  
Natural Grocers by Vitamin Cottage     2,239       69,454  
Pilgrim’s Pride     231       6,494  
Reynolds Consumer Products     298       8,001  
Seneca Foods, Cl A *     135       23,482  
Smithfield Foods     852       20,670  
Turning Point Brands     737       62,505  
United Natural Foods *     615       28,087  
Universal     208       10,851  
US Foods Holding *     1,187       121,371  
              576,192  
Energy — 0.5%                
Kodiak Gas Services     463       34,785  
Navigator Holdings     394       7,340  
Patterson-UTI Energy     3,684       33,819  
              75,944  
Financials — 9.6%                
Acadian Asset Management     553       39,551  
Affiliated Managers Group     502       169,877  
Ally Financial     277       12,728  
Assurant     315       84,587  
Axis Capital Holdings     1,431       153,747  
Bancorp *     361       22,613  

 

73

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Financials (continued)                
Central BanCo, Cl A     1,305     $ 39,646  
Community Trust Bancorp     184       13,314  
Donnelley Financial Solutions *     803       33,686  
East West Bancorp     434       56,025  
Enova International *     390       93,885  
Enterprise Financial Services     468       30,832  
FB Financial     120       6,642  
First Busey     921       27,169  
First Financial     129       9,990  
First Horizon     3,134       80,356  
First Merchants     270       11,796  
Firstsun Capital Bancorp *     383       14,853  
Globe Life     235       41,990  
Hanover Insurance Group     115       24,624  
Home Bancorp     222       15,211  
Independent Bank     132       4,761  
International Bancshares     133       10,101  
Jefferson Capital     400       7,788  
Mercury General     642       68,450  
Metropolitan Bank Holding     205       20,246  
Morningstar     642       100,165  
NBT Bancorp     231       11,404  
OneMain Holdings, Cl A     1,017       62,006  
Origin Bancorp     276       14,117  
Palomar Holdings *     172       21,739  
Primerica     124       35,241  
QCR Holdings     118       11,487  
Regional Management     79       3,255  
Reinsurance Group of America, Cl A     192       40,829  
Republic Bancorp, Cl A     192       17,363  
Selective Insurance Group     397       38,513  
Southern First Bancshares *     124       7,576  
SouthState Bank     345       34,465  
Texas Capital Bancshares     654       67,532  
United Fire Group     250       13,110  
Universal Insurance Holdings     339       14,021  
Univest Financial     238       10,413  
Webster Financial     325       24,837  
              1,622,541  
Health Care — 12.1%                
Addus HomeCare *     195       19,592  
Alphatec Holdings *     1,711       14,800  
Amneal Pharmaceuticals *     7,778       134,637  
Ardent Health *     632       6,219  

 

74

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Health Care (continued)                
Artivion *     1,102     $ 24,762  
AtriCure *     1,482       41,466  
Aveanna Healthcare Holdings *     3,439       29,472  
BrightSpring Health Services *     2,126       148,267  
Certara *     9,680       63,404  
Chemed     24       11,178  
CONMED     498       16,300  
Elanco Animal Health *     3,643       89,654  
Encompass Health     1,875       189,525  
Envista Holdings *     708       18,656  
HealthEquity *     788       71,172  
ICU Medical *     518       75,939  
Innovage Holding *     614       7,276  
LifeMD *     10,374       42,845  
LifeStance Health Group *     11,972       128,220  
LivaNova *     958       78,776  
Merit Medical Systems *     419       29,054  
Mesa Laboratories     440       43,802  
NeoGenomics *     5,478       79,924  
Novocure *     2,489       37,708  
Option Care Health *     3,355       70,354  
QIAGEN     2,220       86,802  
Sotera Health *     4,281       75,988  
Tactile Systems Technology *     1,308       38,952  
Teladoc Health *     23,901       202,681  
Tenet Healthcare *     102       19,082  
Waystar Holding *     2,666       54,733  
Xeris Biopharma Holdings *     10,672       84,522  
              2,035,762  
Industrials — 23.5%                
AECOM     507       35,389  
Alaska Air Group *     1,032       53,870  
Allegiant Travel *     626       73,618  
Alliance Laundry Holdings *     363       9,627  
Allient     504       51,877  
Allison Transmission Holdings     454       51,184  
Amentum Holdings *     3,075       63,560  
Ameresco, Cl A *     326       8,998  
American Airlines Group *     1,861       33,628  
API Group *     2,404       101,809  
Applied Industrial Technologies     51       17,246  
ATI *     835       164,578  
Atmus Filtration Technologies     739       37,682  
AZZ     450       69,772  

 

75

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials (continued)                
Brink’s     437     $ 41,292  
BWX Technologies     739       143,846  
Centuri Holdings *     405       12,247  
Clean Harbors *     168       50,190  
Core & Main, Cl A *     575       27,744  
CoreCivic *     1,506       45,752  
Curtiss-Wright     154       116,695  
Douglas Dynamics     391       21,094  
Ducommun *     71       13,150  
EnerSys     612       143,098  
Everus Construction Group *     455       75,507  
ExlService Holdings *     924       23,895  
Flowserve     845       62,665  
Fluor *     2,205       115,520  
FTI Consulting *     312       46,491  
Gates Industrial *     1,574       44,025  
Generac Holdings *     605       177,150  
Genpact     1,831       50,353  
GXO Logistics *     1,313       66,569  
Hillman Solutions *     1,513       12,770  
Huntington Ingalls Industries     70       19,592  
Huron Consulting Group *     382       34,441  
IBEX Holdings *     436       13,241  
ICF International     151       11,002  
Interface, Cl A     825       29,568  
KBR     2,707       93,473  
Leonardo DRS     566       24,151  
Lincoln Electric Holdings     40       10,620  
MasTec *     434       180,570  
Maximus     377       20,268  
Moog, Cl A     294       124,609  
MSA Safety     277       48,359  
Mueller Water Products, Cl A     3,458       89,320  
nVent Electric     792       134,331  
OPENLANE *     314       12,949  
Orion Group Holdings *     673       11,320  
Parsons *     1,088       57,000  
Pentair     1,198       91,839  
Pitney Bowes     3,293       57,693  
Preformed Line Products     26       10,675  
Primoris Services     694       68,789  
RBC Bearings *     4       2,576  
SkyWest *     852       84,629  
StandardAero *     5,037       150,657  
Sterling Infrastructure *     19       15,948  

 

76

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials (continued)                
Tetra Tech     1,522     $ 43,971  
Textron     832       76,319  
Tutor Perini     315       26,136  
U-Haul Holding, Cl B     455       26,253  
Valmont Industries     115       66,424  
Verra Mobility, Cl A *     4,408       18,734  
Werner Enterprises     960       41,866  
WESCO International     213       73,577  
Willdan Group *     627       49,596  
WillScot Holdings     578       16,681  
Woodward     146       62,114  
              3,962,182  
Information Technology — 20.1%                
ACI Worldwide *     1,910       96,054  
ADTRAN Holdings *     1,573       21,865  
Ambarella *     593       50,879  
Appian, Cl A *     1,285       29,427  
Arlo Technologies *     2,873       38,728  
Asana, Cl A *     18,472       129,304  
Benchmark Electronics     27       2,664  
Box, Cl A *     283       7,511  
CCC Intelligent Solutions Holdings *     10,087       52,049  
CEVA *     222       10,470  
Ciena *     114       55,924  
Coherent *     506       199,602  
Commerce.com *     7,807       23,109  
Digital Turbine *     3,956       51,032  
DigitalOcean Holdings *     1,483       232,876  
Elastic *     1,454       82,907  
Everpure, Cl A *     1,230       96,912  
Five9 *     2,101       44,793  
Flex *     1,567       253,964  
FormFactor *     138       22,070  
Gen Digital     3,137       78,080  
Gitlab, Cl A *     379       11,571  
Guidewire Software *     632       77,768  
Harmonic *     1,445       23,597  
Inseego *     1,240       12,809  
Jabil     601       231,673  
Knowles *     534       22,150  
Littelfuse     77       35,060  
MACOM Technology Solutions Holdings *     57       21,681  
MKS     460       204,608  
Nutanix, Cl A *     917       46,730  

 

77

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
NVE     171     $ 17,878  
Onto Innovation *     558       211,175  
Photronics *     358       11,646  
Plexus *     103       30,969  
Porch Group *     9,313       140,068  
Q2 Holdings *     1,155       55,556  
Rambus *     591       78,449  
RingCentral, Cl A     1,189       46,347  
Sanmina *     89       22,524  
Tenable Holdings *     2,811       103,670  
TTM Technologies *     714       133,532  
UiPath, Cl A *     1,637       17,794  
Unity Software *     2,442       69,792  
Varonis Systems, Cl B *     689       28,910  
Viant Technology, Cl A *     347       4,393  
Weave Communications *     8,870       53,131  
Workiva, Cl A *     1,210       58,697  
Xperi *     4,743       39,035  
              3,391,433  
Materials — 7.4%                
Albemarle     314       42,399  
Alcoa     1,623       84,623  
Aspen Aerogels *     4,205       26,660  
Avient     1,336       49,379  
Axalta Coating Systems *     1,590       54,410  
Chemours     1,480       30,370  
Commercial Metals     578       36,270  
Compass Minerals International *     2,739       85,265  
Constellium, Cl A *     1,527       48,665  
Contango Silver & Gold *     4,124       65,118  
Eagle Materials     130       29,250  
Element Solutions     840       40,110  
Ferroglobe     3,400       10,812  
Hecla Mining     6,238       96,252  
Kaiser Aluminum     558       109,162  
Materion     740       220,069  
Minerals Technologies     791       58,510  
Reliance     124       46,326  
Scotts Miracle-Gro     502       34,191  
Sensient Technologies     565       69,659  
              1,237,500  
Utilities — 2.1%                
Avista     443       18,123  
Black Hills     491       36,530  

 

78

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Man Buyout Beta Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Utilities (continued)                
Chesapeake Utilities     95     $ 11,636  
Clearway Energy, Cl C     381       13,022  
NiSource     1,274       60,579  
NRG Energy     99       14,460  
OGE Energy     1,724       83,890  
Southwest Gas Holdings     606       53,740  
Spire     400       31,236  
Talen Energy *     76       29,204  
Unitil     73       3,846  
              356,266  
TOTAL UNITED STATES             16,242,030  
                 
TOTAL COMMON STOCK
(Cost $13,310,278)
            16,833,637  
                 
TOTAL INVESTMENTS — 99.9%
(Cost $13,310,278)
            16,833,637  
OTHER ASSETS LESS LIABILITIES – 0.1%             14,876  
NET ASSETS - 100%           $ 16,848,513  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-047-0400

 

79

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Humanoid Robotics and Physical AI Index ETF

 

    Shares     Value  
COMMON STOCK — 99.0% ‡                
AUSTRALIA — 2.0%                
Materials — 2.0%                
Lynas Rare Earths *     431,821     $ 5,402,923  
TOTAL AUSTRALIA             5,402,923  
                 
BELGIUM — 2.0%                
Information Technology — 2.0%                
Melexis     59,737       5,334,027  
TOTAL BELGIUM             5,334,027  
                 
CANADA — 2.1%                
Consumer Discretionary — 2.1%                
Magna International     85,533       5,622,420  
TOTAL CANADA             5,622,420  
                 
CHINA — 29.9%                
Consumer Discretionary — 7.7%                
Ningbo Tuopu Group, Cl A     653,700       5,433,376  
Shuanglin, Cl A     1,277,189       5,226,917  
XPeng, Cl A *     847,700       5,475,099  
Zhejiang Shuanghuan Driveline, Cl A     787,400       4,815,111  
              20,950,503  
Industrials — 14.4%                
China Leadshine Technology, Cl A *     693,100       5,695,509  
Jiangsu Hengli Hydraulic, Cl A     338,700       5,366,908  
Keli Sensing Technology Ningbo, Cl A     517,800       5,428,967  
Leader Harmonious Drive Systems, Cl A *     101,604       6,254,603  
Shenzhen Inovance Technology, Cl A     546,500       5,340,210  
UBTech Robotics, Cl H *     418,050       5,480,141  
Zhejiang Sanhua Intelligent Controls, Cl A     876,400       5,658,900  
              39,225,238  
Information Technology — 5.8%                
Horizon Robotics, Cl B *     9,582,000       4,985,248  
Lingyi iTech Guangdong, Cl A     2,205,278       5,633,400  
RoboSense Technology *     1,850,600       5,243,569  
              15,862,217  
Materials — 2.0%                
China Northern Rare Earth Group High-Tech, Cl A     747,900       5,294,136  
                 
TOTAL CHINA             81,332,094  

 

80

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Humanoid Robotics and Physical AI Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
GERMANY — 3.9%                
Consumer Discretionary — 1.9%                
Schaeffler     532,081     $ 5,158,629  
                 
Information Technology — 2.0%                
Infineon Technologies     59,599       5,564,963  
                 
TOTAL GERMANY             10,723,592  
                 
ISRAEL — 2.3%                
Consumer Discretionary — 2.3%                
Mobileye Global, Cl A *     657,745       6,366,972  
TOTAL ISRAEL             6,366,972  
                 
JAPAN — 12.1%                
Industrials — 7.9%                
Harmonic Drive Systems     116,300       5,574,386  
Nabtesco     176,500       5,583,058  
Nidec *     313,700       5,105,285  
THK     116,900       5,266,524  
              21,529,253  
Information Technology — 4.2%                
Keyence     11,600       5,785,547  
Renesas Electronics     188,500       5,575,262  
              11,360,809  
TOTAL JAPAN             32,890,062  
                 
NETHERLANDS — 1.9%                
Information Technology — 1.9%                
NXP Semiconductors     18,415       5,175,168  
TOTAL NETHERLANDS             5,175,168  
                 
SINGAPORE — 2.0%                
Information Technology — 2.0%                
STMicroelectronics     75,393       5,561,425  
TOTAL SINGAPORE             5,561,425  
                 
SOUTH KOREA — 3.8%                
Industrials — 3.8%                
Doosan     5,442       5,223,168  
Rainbow Robotics *     15,565       5,214,119  
TOTAL SOUTH KOREA             10,437,287  

 

81

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Humanoid Robotics and Physical AI Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
SWEDEN — 2.1%                
Information Technology — 2.1%                
Hexagon, Cl B     672,056     $ 5,563,576  
TOTAL SWEDEN             5,563,576  
                 
SWITZERLAND — 2.0%                
Information Technology — 2.0%                
TE Connectivity     27,256       5,495,082  
TOTAL SWITZERLAND             5,495,082  
                 
TAIWAN — 1.9%                
Industrials — 1.9%                
Hiwin Technologies     499,000       5,090,798  
TOTAL TAIWAN             5,090,798  
                 
UNITED STATES — 31.0%                
Consumer Discretionary — 4.2%                
Aptiv *     92,026       5,648,556  
Tesla *     13,409       5,639,825  
              11,288,381  
Industrials — 8.4%                
Moog, Cl A     13,783       5,841,787  
RBC Bearings *     8,700       5,603,322  
Regal Rexnord     25,423       6,055,504  
Sensata Technologies Holding     113,613       5,423,885  
              22,924,498  
Information Technology — 16.5%                
Amphenol, Cl A     34,405       6,066,289  
Analog Devices     13,458       5,345,114  
Credo Technology Group Holding *     19,767       5,375,636  
Jabil     14,284       5,506,196  
Novanta *     36,628       5,942,527  
NVIDIA     27,398       5,482,066  
Teledyne Technologies *     8,816       5,879,390  
Texas Instruments     18,232       5,434,412  
              45,031,630  

 

82

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Global Humanoid Robotics and Physical AI Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Materials — 1.9%                
MP Materials *     92,783     $ 5,196,776  
                 
TOTAL UNITED STATES             84,441,285  
                 
TOTAL COMMON STOCK
(Cost $230,451,322)
            269,436,711  
                 
TOTAL INVESTMENTS — 99.0%
(Cost $230,451,322)
            269,436,711  
OTHER ASSETS LESS LIABILITIES – 1.0%             2,707,463  
NET ASSETS - 100%           $ 272,144,174  

 

Formerly KraneShares Global Humanoid and AI Index ETF, effective May 1, 2026.
Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-048-0300

 

83

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF

 

    Shares     Value  
COMMON STOCK — 128.8% ‡                
UNITED STATES — 128.8%                
Communication Services — 1.9%                
Trade Desk, Cl A *     57,300     $ 1,035,984  
                 
Consumer Discretionary — 21.6%                
Amazon.com *     9,300       2,216,562  
AutoZone *     700       2,237,158  
DoorDash, Cl A *     11,400       2,103,642  
Lululemon Athletica *     10,300       1,176,054  
O’Reilly Automotive *     24,600       2,265,414  
Tesla *     5,200       2,187,120  
              12,185,950  
Health Care — 6.1%                
Boston Scientific *     27,000       1,152,360  
Intuitive Surgical *     4,300       1,710,024  
Vertex Pharmaceuticals *     1,200       596,076  
              3,458,460  
Industrials — 3.5%                
Uber Technologies *     27,600       1,991,616  
                 
Information Technology — 95.7%                
Adobe *     8,000       1,640,160  
Advanced Micro Devices *     10,200       5,925,282  
Arista Networks *     17,100       2,904,948  
Autodesk *     1,200       233,304  
Cadence Design Systems *     7,300       2,739,836  
Ciena *     600       294,336  
Coherent *     800       315,576  
Crowdstrike Holdings, Cl A *     5,400       4,120,956  
Fair Isaac *     1,300       1,553,214  
First Solar *     8,400       1,982,064  
Fortinet *     30,500       4,685,410  
ON Semiconductor *     36,800       3,479,072  
Palo Alto Networks *     11,900       4,058,138  
Sandisk *     5,500       12,505,515  
ServiceNow *     18,800       1,866,464  
Super Micro Computer *     69,000       2,023,770  
Synopsys *     4,400       1,962,708  
Workday, Cl A *     13,200       1,615,944  
              53,906,697  
TOTAL UNITED STATES             72,578,707  
                 
TOTAL COMMON STOCK
(Cost $63,644,205)
            72,578,707  

 

84

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Value  
PURCHASED OPTIONS (A) — 5.5%        
TOTAL PURCHASED OPTIONS
(Cost $2,520,056)
  $ 3,103,232  
         
TOTAL INVESTMENTS — 134.3%
(Cost $66,164,261)
    75,681,939  
         
WRITTEN OPTIONS (A) — (35.5)%
(Premiums Received $(2,216,009))
  $ (20,013,079 )
OTHER ASSETS LESS LIABILITIES – 1.2%     687,066  
NET ASSETS - 100%   $ 56,355,926  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.
(A) Refer to option table below.

 

A list of open option contracts held by the Fund at June 30, 2026 was as follows:

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
PURCHASED OPTIONS — 5.5%                                    
Put Options                                    
Adobe Inc.   6     $ 123,012     $ 250.00     07/17/26     $ 26,780  
Adobe Inc.   2       41,004       244.00     07/17/26       7,756  
Adobe Inc.   2       41,004       242.00     07/17/26       7,370  
Adobe Inc.   2       41,004       241.00     07/17/26       7,178  
Adobe Inc.   67       1,373,634       240.00     07/17/26       234,023  
Adobe Inc.   1       20,502       257.00     07/17/26       5,153  
Advanced Micro Devices Inc.   2       116,182       519.00     07/17/26       2,544  
Advanced Micro Devices Inc.   5       290,455       450.00     07/17/26       1,598  
Advanced Micro Devices Inc.   2       116,182       405.00     07/17/26       267  
Advanced Micro Devices Inc.   2       116,182       347.00     07/17/26       98  
Advanced Micro Devices Inc.   84       4,879,644       250.00     07/17/26       871  
Advanced Micro Devices Inc.   3       174,273       232.00     07/17/26       23  
Advanced Micro Devices Inc.   4       232,364       520.00     10/16/26       23,502  
Amazon.com Inc.   4       95,336       272.00     07/17/26       13,366  
Amazon.com Inc.   2       47,668       221.00     07/17/26       320  
Amazon.com Inc.   2       47,668       263.00     07/17/26       4,995  
Amazon.com Inc.   85       2,025,890       250.00     07/17/26       119,490  
Arista Networks Inc.   3       50,964       140.00     07/17/26       185  

 

85

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
PURCHASED OPTIONS (continued)                                    
Arista Networks Inc.   153     $ 2,599,164     $ 155.00     07/17/26     $ 37,337  
Arista Networks Inc.   8       135,904       150.00     07/17/26       1,256  
Arista Networks Inc.   4       67,952       144.00     07/17/26       360  
Arista Networks Inc.   3       50,964       179.00     07/17/26       3,900  
AutoDesk Inc.   2       38,884       242.00     07/17/26       9,463  
AutoDesk Inc.   3       58,326       237.00     07/17/26       12,710  
AutoDesk Inc.   5       97,210       230.00     07/17/26       17,743  
AutoDesk Inc.   2       38,884       254.00     07/17/26       11,846  
AutoZone Inc.   6       1,917,564       3,500.00     07/17/26       184,649  
AutoZone Inc.   1       319,594       3,150.00     10/16/26       17,903  
Boston Scientific Corp.   7       29,876       57.00     07/17/26       9,950  
Boston Scientific Corp.   7       29,876       49.00     07/17/26       4,433  
Boston Scientific Corp.   222       947,496       65.00     07/17/26       492,412  
Boston Scientific Corp.   15       64,020       63.00     07/17/26       30,282  
Boston Scientific Corp.   19       81,092       50.00     07/17/26       13,870  
Cadence Design Systems Inc.   2       75,064       289.00     07/17/26       127  
Cadence Design Systems Inc.   62       2,326,984       290.00     07/17/26       4,093  
Cadence Design Systems Inc.   2       75,064       331.00     07/17/26       639  
Cadence Design Systems Inc.   2       75,064       356.00     07/17/26       1,628  
Cadence Design Systems Inc.   4       150,128       370.00     07/17/26       5,276  
Cadence Design Systems Inc.   1       37,532       373.00     07/17/26       1,454  
Ciena Corp.   3       147,168       500.00     07/17/26       11,980  
Ciena Corp.   1       49,056       521.00     07/17/26       5,260  
Ciena Corp.   1       49,056       571.00     07/17/26       8,980  
Ciena Corp.   1       49,056       524.00     07/17/26       5,457  
Coherent Corp.   2       78,894       311.00     07/17/26       1,172  
Coherent Corp.   1       39,447       334.00     07/17/26       1,016  
Coherent Corp.   4       157,788       370.00     07/17/26       8,558  
Coherent Corp.   1       39,447       380.00     07/17/26       2,565  
Crowdstrike Holdings Inc.   44       839,454       100.00     07/17/26       412  
Crowdstrike Holdings Inc.   1       19,078       106.50     07/17/26       17  
Crowdstrike Holdings Inc.   1       19,078       112.25     07/17/26       25  
Crowdstrike Holdings Inc.   1       19,079       169.25     07/17/26       851  
Crowdstrike Holdings Inc.   3       57,236       170.00     07/17/26       2,702  
Crowdstrike Holdings Inc.   4       76,314       175.00     10/16/26       24,984  
Doordash Inc.   7       129,171       150.00     07/17/26       315  
Doordash Inc.   2       36,906       157.00     07/17/26       161  
Doordash Inc.   4       73,812       161.00     07/17/26       466  
Doordash Inc.   3       55,359       173.00     07/17/26       1,037  
Doordash Inc.   3       55,359       177.00     07/17/26       1,418  

 

86

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
PURCHASED OPTIONS (continued)                                    
Doordash Inc.   95     $ 1,753,035     $ 165.00     07/17/26     $ 16,144  
Fair Isaac Corp.   1       119,478       1,095.00     07/17/26       1,715  
Fair Isaac Corp.   12       1,433,736       1,020.00     07/17/26       7,689  
First Solar Inc.   84       1,982,064       200.00     07/17/26       17,186  
Fortinet Inc.   16       245,792       140.00     07/17/26       2,513  
Fortinet Inc.   5       76,810       129.00     07/17/26       242  
Fortinet Inc.   5       76,810       107.00     07/17/26       28  
Fortinet Inc.   6       92,172       84.00     07/17/26       5  
Fortinet Inc.   8       122,896       83.00     07/17/26       7  
Fortinet Inc.   265       4,070,930       80.00     07/17/26       180  
Intuitive Surgical Inc.   1       39,768       479.00     07/17/26       8,058  
Intuitive Surgical Inc.   1       39,768       423.00     07/17/26       3,152  
Intuitive Surgical Inc.   3       119,304       420.00     07/17/26       8,808  
Intuitive Surgical Inc.   1       39,768       454.00     07/17/26       5,721  
Intuitive Surgical Inc.   1       39,768       463.00     07/17/26       6,545  
Intuitive Surgical Inc.   36       1,431,648       470.00     07/17/26       259,235  
Lululemon Athletica Inc.   3       34,254       159.00     07/17/26       13,344  
Lululemon Athletica Inc.   100       1,141,800       160.00     07/17/26       454,757  
ON Semiconductor Corp.   9       85,086       68.00     07/17/26       262  
ON Semiconductor Corp.   325       3,072,550       70.00     07/17/26       12,691  
ON Semiconductor Corp.   6       56,724       99.00     07/17/26       5,274  
ON Semiconductor Corp.   6       56,724       101.00     07/17/26       6,044  
ON Semiconductor Corp.   5       47,270       125.00     07/17/26       15,259  
ON Semiconductor Corp.   17       160,718       120.00     07/17/26       43,828  
O’Reilly Automotive Inc.   6       55,254       89.00     07/17/26       562  
O’Reilly Automotive Inc.   216       1,989,144       95.00     07/17/26       78,855  
O’Reilly Automotive Inc.   6       55,254       92.00     07/17/26       1,138  
O’Reilly Automotive Inc.   5       46,045       93.00     07/17/26       1,193  
O’Reilly Automotive Inc.   13       119,717       90.00     07/17/26       1,539  
Palo Alto Networks Inc.   3       102,306       259.00     07/17/26       109  
Palo Alto Networks Inc.   3       102,306       194.00     07/17/26       26  
Palo Alto Networks Inc.   3       102,306       178.00     07/17/26       20  
Palo Alto Networks Inc.   3       102,306       174.00     07/17/26       19  
Palo Alto Networks Inc.   107       3,648,914       160.00     07/17/26       538  
Sandisk Corp.   1       227,373       1,302.00     07/17/26       1,027  
Sandisk Corp.   2       454,746       1,500.00     07/17/26       3,661  
Sandisk Corp.   1       227,373       994.00     07/17/26       212  
Sandisk Corp.   1       227,373       786.00     07/17/26       24  
Sandisk Corp.   49       11,141,277       930.00     07/17/26       5,811  
Sandisk Corp.   1       227,373       2,160.00     10/16/26       46,350  
ServiceNow Inc.   14       138,992       110.00     07/17/26       16,888  
ServiceNow Inc.   5       49,640       94.00     07/17/26       1,208  
ServiceNow Inc.   5       49,640       99.00     07/17/26       2,279  
ServiceNow Inc.   4       39,712       109.00     07/17/26       4,500  
ServiceNow Inc.   155       1,538,840       90.00     07/17/26       20,827  
ServiceNow Inc.   5       49,640       89.00     07/17/26       577  

 

87

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
PURCHASED OPTIONS (continued)                                    
Super Micro Computer Inc.   575     $ 1,686,475     $ 27.00     07/17/26     $ 65,602  
Super Micro Computer Inc.   14       41,062       42.00     07/17/26       17,731  
Super Micro Computer Inc.   17       49,861       23.00     07/17/26       554  
Super Micro Computer Inc.   17       49,861       29.00     07/17/26       3,336  
Super Micro Computer Inc.   17       49,861       34.00     07/17/26       9,007  
Super Micro Computer Inc.   50       146,650       40.00     07/17/26       53,600  
Synopsys Inc.   1       44,607       477.00     07/17/26       3,735  
Synopsys Inc.   1       44,607       500.00     07/17/26       5,636  
Synopsys Inc.   1       44,607       409.00     07/17/26       525  
Synopsys Inc.   1       44,607       507.00     07/17/26       6,268  
Synopsys Inc.   37       1,650,459       420.00     07/17/26       28,921  
Synopsys Inc.   3       133,821       450.00     07/17/26       5,968  
Tesla Inc.   2       84,120       442.00     07/17/26       5,689  
Tesla Inc.   1       42,060       405.00     07/17/26       871  
Tesla Inc.   3       126,180       380.00     07/17/26       933  
Tesla Inc.   1       42,060       342.00     07/17/26       73  
Tesla Inc.   44       1,850,640       370.00     07/17/26       8,957  
Tesla Inc.   1       42,060       376.00     07/17/26       262  
The Trade Desk Inc.   556       1,005,248       22.50     07/17/26       248,526  
The Trade Desk Inc.   17       30,736       21.00     07/17/26       5,225  
Uber Technologies Inc.   17       122,672       70.00     07/17/26       2,192  
Uber Technologies Inc.   6       43,296       71.00     07/17/26       996  
Uber Technologies Inc.   7       50,512       73.00     07/17/26       1,827  
Uber Technologies Inc.   7       50,512       74.00     07/17/26       2,237  
Uber Technologies Inc.   6       43,296       78.00     07/17/26       3,721  
Uber Technologies Inc.   233       1,681,328       72.50     07/17/26       54,652  
Vertex Pharmaceuticals Inc.   3       149,019       450.00     07/17/26       498  
Vertex Pharmaceuticals Inc.   1       49,673       427.00     07/17/26       80  
Vertex Pharmaceuticals Inc.   1       49,673       432.00     07/17/26       93  
Vertex Pharmaceuticals Inc.   2       99,346       447.00     07/17/26       300  
Vertex Pharmaceuticals Inc.   5       248,365       500.00     10/16/26       15,400  
Workday Inc.   3       36,726       122.00     07/17/26       1,667  
Workday Inc.   4       48,968       118.00     07/17/26       1,513  
Workday Inc.   3       36,726       130.00     07/17/26       3,129  
Workday Inc.   108       1,322,136       120.00     07/17/26       49,797  

 

88

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
PURCHASED OPTIONS (continued)                                    
Workday Inc.   10     $ 122,420     $ 140.00     07/17/26     $ 18,381  
Workday Inc.   4       48,968       133.00     07/17/26       5,054  
Total Purchased Options         $ 69,487,990                   $ 3,103,232  
                                     
WRITTEN OPTIONS — (35.5)%                                    
Call Options                                    
Adobe Inc.   (67)     $ (1,373,634 )   $ 240.00     07/17/26     $ (3,767 )
Adobe Inc.   (2)       (41,004 )     241.00     07/17/26       (105 )
Adobe Inc.   (2)       (41,004 )     242.00     07/17/26       (98 )
Adobe Inc.   (2)       (41,004 )     244.00     07/17/26       (85 )
Adobe Inc.   (6)       (123,012 )     250.00     07/17/26       (174 )
Adobe Inc.   (1)       (20,502 )     257.00     07/17/26       (20 )
Advanced Micro Devices Inc.   (4)       (232,364 )     520.00     10/16/26       (50,609 )
Advanced Micro Devices Inc.   (2)       (116,182 )     519.00     07/17/26       (15,132 )
Advanced Micro Devices Inc.   (5)       (290,455 )     450.00     07/17/26       (67,489 )
Advanced Micro Devices Inc.   (2)       (116,182 )     405.00     07/17/26       (35,603 )
Advanced Micro Devices Inc.   (2)       (116,182 )     347.00     07/17/26       (47,008 )
Advanced Micro Devices Inc.   (84)       (4,879,644 )     250.00     07/17/26       (2,784,027 )
Advanced Micro Devices Inc.   (3)       (174,273 )     232.00     07/17/26       (104,809 )
Amazon.com Inc.   (2)       (47,668 )     221.00     07/17/26       (3,900 )
Amazon.com Inc.   (85)       (2,025,890 )     250.00     07/17/26       (25,661 )
Amazon.com Inc.   (2)       (47,668 )     263.00     07/17/26       (193 )
Amazon.com Inc.   (4)       (95,336 )     272.00     07/17/26       (170 )
Arista Networks Inc.   (3)       (50,964 )     179.00     07/17/26       (1,322 )
Arista Networks Inc.   (153)       (2,599,164 )     155.00     07/17/26       (272,241 )
Arista Networks Inc.   (3)       (50,964 )     140.00     07/17/26       (9,280 )
Arista Networks Inc.   (4)       (67,952 )     144.00     07/17/26       (10,892 )
Arista Networks Inc.   (8)       (135,904 )     150.00     07/17/26       (17,530 )
AutoDesk Inc.   (5)       (97,210 )     230.00     07/17/26       (229 )
AutoDesk Inc.   (3)       (58,326 )     237.00     07/17/26       (106 )
AutoDesk Inc.   (2)       (38,884 )     242.00     07/17/26       (63 )
AutoDesk Inc.   (2)       (38,884 )     254.00     07/17/26       (51 )
AutoZone Inc.   (6)       (1,917,564 )     3,500.00     07/17/26       (6,103 )
AutoZone Inc.   (1)       (319,594 )     3,150.00     10/16/26       (26,438 )
Boston Scientific Corp.   (7)       (29,876 )     49.00     07/17/26       (103 )
Boston Scientific Corp.   (19)       (81,092 )     50.00     07/17/26       (220 )
Boston Scientific Corp.   (7)       (29,876 )     57.00     07/17/26       (33 )
Boston Scientific Corp.   (15)       (64,020 )     63.00     07/17/26       (50 )
Boston Scientific Corp.   (222)       (947,496 )     65.00     07/17/26       (681 )

 

89

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
WRITTEN OPTIONS (continued)                                    
Cadence Design Systems Inc.   (4)     $ (150,128 )   $ 370.00     07/17/26     $ (7,703 )
Cadence Design Systems Inc.   (1)       (37,532 )     373.00     07/17/26       (1,762 )
Cadence Design Systems Inc.   (2)       (75,064 )     356.00     07/17/26       (5,635 )
Cadence Design Systems Inc.   (2)       (75,064 )     331.00     07/17/26       (9,635 )
Cadence Design Systems Inc.   (62)       (2,326,984 )     290.00     07/17/26       (536,586 )
Cadence Design Systems Inc.   (2)       (75,064 )     289.00     07/17/26       (17,504 )
Ciena Corp.   (3)       (147,168 )     500.00     07/17/26       (9,308 )
Ciena Corp.   (1)       (49,056 )     521.00     07/17/26       (2,274 )
Ciena Corp.   (1)       (49,056 )     524.00     07/17/26       (2,172 )
Ciena Corp.   (1)       (49,056 )     571.00     07/17/26       (1,005 )
Coherent Corp.   (4)       (157,788 )     370.00     07/17/26       (18,410 )
Coherent Corp.   (1)       (39,447 )     380.00     07/17/26       (4,031 )
Coherent Corp.   (2)       (78,894 )     311.00     07/17/26       (17,871 )
Coherent Corp.   (1)       (39,447 )     334.00     07/17/26       (7,071 )
Crowdstrike Holdings Inc.   (44)       (839,454 )     100.00     07/17/26       (1,600,988 )
Crowdstrike Holdings Inc.   (1)       (19,078 )     106.50     07/17/26       (33,799 )
Crowdstrike Holdings Inc.   (1)       (19,078 )     112.25     07/17/26       (31,513 )
Crowdstrike Holdings Inc.   (1)       (19,079 )     169.25     07/17/26       (9,591 )
Crowdstrike Holdings Inc.   (3)       (57,236 )     170.00     07/17/26       (28,022 )
Crowdstrike Holdings Inc.   (4)       (76,314 )     175.00     10/16/26       (53,951 )
Doordash Inc.   (3)       (55,359 )     173.00     07/17/26       (4,639 )
Doordash Inc.   (3)       (55,359 )     177.00     07/17/26       (3,824 )
Doordash Inc.   (95)       (1,753,035 )     165.00     07/17/26       (206,058 )
Doordash Inc.   (7)       (129,171 )     150.00     07/17/26       (24,785 )
Doordash Inc.   (2)       (36,906 )     157.00     07/17/26       (5,755 )
Doordash Inc.   (4)       (73,812 )     161.00     07/17/26       (10,058 )
Fair Isaac Corp.   (12)       (1,433,736 )     1,020.00     07/17/26       (220,764 )
Fair Isaac Corp.   (1)       (119,478 )     1,095.00     07/17/26       (11,988 )
First Solar Inc.   (84)       (1,982,064 )     200.00     07/17/26       (322,489 )
Fortinet Inc.   (265)       (4,070,930 )     80.00     07/17/26       (1,956,068 )
Fortinet Inc.   (8)       (122,896 )     83.00     07/17/26       (56,658 )
Fortinet Inc.   (6)       (92,172 )     84.00     07/17/26       (41,895 )
Fortinet Inc.   (5)       (76,810 )     107.00     07/17/26       (23,462 )
Fortinet Inc.   (5)       (76,810 )     129.00     07/17/26       (12,701 )
Fortinet Inc.   (16)       (245,792 )     140.00     07/17/26       (24,822 )
Intuitive Surgical Inc.   (36)       (1,431,648 )     470.00     07/17/26       (5,250 )
Intuitive Surgical Inc.   (1)       (39,768 )     479.00     07/17/26       (105 )
Intuitive Surgical Inc.   (1)       (39,768 )     463.00     07/17/26       (188 )
Intuitive Surgical Inc.   (1)       (39,768 )     454.00     07/17/26       (262 )
Intuitive Surgical Inc.   (1)       (39,768 )     423.00     07/17/26       (786 )

 

90

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (continued)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
WRITTEN OPTIONS (continued)                                    
Intuitive Surgical Inc.   (3)     $ (119,304 )   $ 420.00     07/17/26     $ (2,608 )
Lululemon Athletica Inc.   (3)       (34,254 )     159.00     07/17/26       (20 )
Lululemon Athletica Inc.   (100)       (1,141,800 )     160.00     07/17/26       (639 )
ON Semiconductor Corp.   (5)       (47,270 )     125.00     07/17/26       (213 )
ON Semiconductor Corp.   (6)       (56,724 )     101.00     07/17/26       (2,356 )
ON Semiconductor Corp.   (17)       (160,718 )     120.00     07/17/26       (1,150 )
ON Semiconductor Corp.   (325)       (3,072,550 )     70.00     07/17/26       (818,126 )
ON Semiconductor Corp.   (9)       (85,086 )     68.00     07/17/26       (24,362 )
ON Semiconductor Corp.   (6)       (56,724 )     99.00     07/17/26       (2,783 )
O’Reilly Automotive Inc.   (6)       (55,254 )     89.00     07/17/26       (2,497 )
O’Reilly Automotive Inc.   (13)       (119,717 )     90.00     07/17/26       (4,434 )
O’Reilly Automotive Inc.   (6)       (55,254 )     92.00     07/17/26       (1,277 )
O’Reilly Automotive Inc.   (5)       (46,045 )     93.00     07/17/26       (810 )
O’Reilly Automotive Inc.   (216)       (1,989,144 )     95.00     07/17/26       (19,187 )
Palo Alto Networks Inc.   (3)       (102,306 )     259.00     07/17/26       (24,773 )
Palo Alto Networks Inc.   (3)       (102,306 )     194.00     07/17/26       (44,146 )
Palo Alto Networks Inc.   (3)       (102,306 )     178.00     07/17/26       (48,929 )
Palo Alto Networks Inc.   (3)       (102,306 )     174.00     07/17/26       (50,125 )
Palo Alto Networks Inc.   (107)       (3,648,914 )     160.00     07/17/26       (1,937,127 )
Sandisk Corp.   (1)       (227,373 )     786.00     07/17/26       (148,918 )
Sandisk Corp.   (49)       (11,141,277 )     930.00     07/17/26       (6,597,652 )
Sandisk Corp.   (1)       (227,373 )     994.00     07/17/26       (128,354 )
Sandisk Corp.   (1)       (227,373 )     1,302.00     07/17/26       (98,439 )
Sandisk Corp.   (2)       (454,746 )     1,500.00     07/17/26       (158,974 )
Sandisk Corp.   (1)       (227,373 )     2,160.00     10/16/26       (60,479 )
ServiceNow Inc.   (14)       (138,992 )     110.00     07/17/26       (2,288 )
ServiceNow Inc.   (4)       (39,712 )     109.00     07/17/26       (728 )
ServiceNow Inc.   (5)       (49,640 )     99.00     07/17/26       (2,552 )
ServiceNow Inc.   (5)       (49,640 )     89.00     07/17/26       (5,839 )
ServiceNow Inc.   (155)       (1,538,840 )     90.00     07/17/26       (168,487 )
ServiceNow Inc.   (5)       (49,640 )     94.00     07/17/26       (3,976 )
Super Micro Computer Inc.   (50)       (146,650 )     40.00     07/17/26       (816 )
Super Micro Computer Inc.   (14)       (41,062 )     42.00     07/17/26       (157 )
Super Micro Computer Inc.   (17)       (49,861 )     34.00     07/17/26       (1,238 )
Super Micro Computer Inc.   (17)       (49,861 )     29.00     07/17/26       (4,047 )
Super Micro Computer Inc.   (575)       (1,686,475 )     27.00     07/17/26       (204,389 )
Super Micro Computer Inc.   (17)       (49,861 )     23.00     07/17/26       (11,442 )
Synopsys Inc.   (1)       (44,607 )     409.00     07/17/26       (4,307 )
Synopsys Inc.   (37)       (1,650,459 )     420.00     07/17/26       (128,253 )
Synopsys Inc.   (3)       (133,821 )     450.00     07/17/26       (5,042 )

 

91

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Wahed Alternative Income Index ETF (concluded)

 

    Number of     Notional     Exercise     Expiration     Market  
Description   Contracts     Amount     Price     Date     Value  
WRITTEN OPTIONS (continued)                                    
Synopsys Inc.   (1)     $ (44,607 )   $ 477.00     07/17/26     $ (732 )
Synopsys Inc.   (1)       (44,607 )     500.00     07/17/26       (339 )
Synopsys Inc.   (1)       (44,607 )     507.00     07/17/26       (272 )
Tesla Inc.   (2)       (84,120 )     442.00     07/17/26       (1,584 )
Tesla Inc.   (1)       (42,060 )     405.00     07/17/26       (2,510 )
Tesla Inc.   (3)       (126,180 )     380.00     07/17/26       (13,333 )
Tesla Inc.   (44)       (1,850,640 )     370.00     07/17/26       (234,724 )
Tesla Inc.   (1)       (42,060 )     342.00     07/17/26       (7,997 )
Tesla Inc.   (1)       (42,060 )     376.00     07/17/26       (4,795 )
The Trade Desk Inc.   (17)       (30,736 )     21.00     07/17/26       (314 )
The Trade Desk Inc.   (556)       (1,005,248 )     22.50     07/17/26       (4,709 )
Uber Technologies Inc.   (7)       (50,512 )     74.00     07/17/26       (1,058 )
Uber Technologies Inc.   (6)       (43,296 )     78.00     07/17/26       (317 )
Uber Technologies Inc.   (7)       (50,512 )     73.00     07/17/26       (1,347 )
Uber Technologies Inc.   (17)       (122,672 )     70.00     07/17/26       (6,115 )
Uber Technologies Inc.   (6)       (43,296 )     71.00     07/17/26       (1,782 )
Uber Technologies Inc.   (233)       (1,681,328 )     72.50     07/17/26       (50,298 )
Vertex Pharmaceuticals Inc.   (1)       (49,673 )     427.00     07/17/26       (7,153 )
Vertex Pharmaceuticals Inc.   (1)       (49,673 )     432.00     07/17/26       (6,667 )
Vertex Pharmaceuticals Inc.   (2)       (99,346 )     447.00     07/17/26       (10,455 )
Vertex Pharmaceuticals Inc.   (3)       (149,019 )     450.00     07/17/26       (14,833 )
Vertex Pharmaceuticals Inc.   (5)       (248,365 )     500.00     10/16/26       (17,162 )
Workday Inc.   (4)       (48,968 )     133.00     07/17/26       (940 )
Workday Inc.   (4)       (48,968 )     118.00     07/17/26       (3,386 )
Workday Inc.   (108)       (1,322,136 )     120.00     07/17/26       (78,810 )
Workday Inc.   (3)       (36,726 )     122.00     07/17/26       (1,874 )
Workday Inc.   (3)       (36,726 )     130.00     07/17/26       (942 )
Workday Inc.   (10)       (122,420 )     140.00     07/17/26       (1,112 )
Total Written Options         $ (69,487,990 )                 $ (20,013,079 )

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-056-0200

 

92

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Dragon Capital Growth of Vietnam Index ETF

 

    Shares     Value  
COMMON STOCK — 75.0% ‡                
VIETNAM — 75.0%                
Communication Services — 0.3%                
Yeah1 Group *     112,007     $ 40,526  
                 
Consumer Discretionary — 0.2%                
Hoang Huy Investment Services JSC *     72,100       31,102  
                 
Consumer Staples — 4.9%                
DABACO Vietnam Group JSC     227,280       160,236  
HAGL JSC *     766,500       445,716  
Lix Detergent JSC     17,200       17,650  
Nam Viet     32,500       26,248  
              649,850  
Energy — 1.5%                
Petrovietnam Transportation *     264,620       199,636  
                 
Financials — 51.6%                
Bank for Foreign Trade of Vietnam JSC     438,500       1,036,607  
Bank for Investment and Development of Vietnam JSC     262,700       423,331  
DSC Securities *     38,000       18,631  
Ho Chi Minh City Development Joint Stock Commercial Bank *     1,065,364       1,046,678  
Nam A Commercial JSB *     1,012,080       507,742  
Saigon - Hanoi Commercial Joint Stock Bank *     998,220       514,067  
Saigon Treasure Commercial JSB *     50,900       142,767  
Tien Phong Commercial Joint Stock Bank *     865,900       546,299  
Vietcap Securities JSC     551,130       510,044  
Vietnam Prosperity JSC Bank     1,009,300       1,035,711  
VIX Securities JSC *     782,600       502,668  
VNDirect Securities     765,800       515,161  
              6,799,706  
Health Care — 0.5%                
Binh Dinh Pharmaceutical & Medical Equipment JSC     15,200       30,040  
Imexpharm     26,000       40,712  
              70,752  
Industrials — 7.8%                
Becamex Infrastructure Development JSC     241,400       84,407  
Gemadept Group     189,600       530,360  
Ha Do Group JSC     195,230       154,335  
Hai An Transport & Stevedoring JSC     74,500       147,802  
Noibai Cargo Terminal Services JSC, Ser JS     3,600       12,944  
Sai Gon Cargo Service     25,200       46,786  
Thien Long Group     27,690       51,725  
              1,028,359  

 

93

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares Dragon Capital Growth of Vietnam Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology — 0.6%                
Elcom Technology Telecommunication JSC *     111,200     $ 72,270  
                 
Materials — 6.2%                
Dong Hai JSC of Bentre     83,710       108,171  
Duc Giang Chemicals JSC     96,700       175,674  
Hoa Phat Group JSC     573,840       508,161  
South Basic Chemicals JSC *     20,500       18,115  
              810,121  
Real Estate — 1.4%                
An Gia Real Estate Investment & Development *     113,800       50,820  
Vinhomes JSC     22,100       127,502  
              178,322  
TOTAL VIETNAM             9,880,644  
                 
TOTAL COMMON STOCK
(Cost $10,037,484)
            9,880,644  
                 
EXCHANGE-TRADED FUND — 24.0%                
Foreign Equity — 24.0%                
DCVFMVN Diamond ETF *     2,295,900       3,163,990  
TOTAL EXCHANGE-TRADED FUND
(Cost $3,391,424)
            3,163,990  
                 
TOTAL INVESTMENTS — 99.0%
(Cost $13,428,908)
            13,044,634  
OTHER ASSETS LESS LIABILITIES – 1.0%             130,971  
NET ASSETS - 100%           $ 13,175,605  

 

Formerly KraneShares Dragon Capital Vietnam Growth Index ETF, effective June 1, 2026.
Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-055-0200

 

94

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares InspereX Nasdaq Dynamic Buffered High Income Index ETF

 

    Shares     Value  
COMMON STOCK — 107.7% ‡                
BRAZIL — 0.5%                
Consumer Discretionary — 0.5%                
MercadoLibre *     7     $ 11,882  
TOTAL BRAZIL             11,882  
                 
CANADA — 0.8%                
Industrials — 0.1%                
Thomson Reuters     47       3,838  
                 
Information Technology — 0.7%                
Shopify, Cl A *     149       17,013  
                 
TOTAL CANADA             20,851  
                 
CHINA — 0.2%                
Consumer Discretionary — 0.2%                
PDD Holdings ADR *     82       6,255  
TOTAL CHINA             6,255  
                 
NETHERLANDS — 1.4%                
Information Technology — 1.4%                
ASML Holding, Cl G     11       21,884  
Nebius Group, Cl A *     26       7,180  
NXP Semiconductors     31       8,712  
TOTAL NETHERLANDS             37,776  
                 
UNITED KINGDOM — 0.2%                
Consumer Staples — 0.2%                
Coca-Cola Europacific Partners     55       5,504  
TOTAL UNITED KINGDOM             5,504  
                 
UNITED STATES — 104.6%                
Communication Services — 12.9%                
Alphabet, Cl A     251       89,700  
Alphabet, Cl C     237       83,739  
Comcast, Cl A     437       10,728  
Electronic Arts     31       6,356  
Meta Platforms, Cl A     131       73,791  
Netflix *     515       36,771  
Take-Two Interactive Software *     23       5,750  
T-Mobile US     133       22,308  
Warner Bros Discovery *     307       8,185  
              337,328  
Consumer Discretionary — 10.8%                
Airbnb, Cl A *     52       7,441  
Amazon.com *     473       112,735  
Booking Holdings     95       16,933  

 

95

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares InspereX Nasdaq Dynamic Buffered High Income Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Consumer Discretionary (continued)                
DoorDash, Cl A *     51     $ 9,411  
Marriott International, Cl A     33       12,229  
O’Reilly Automotive *     102       9,393  
Ross Stores     40       8,514  
Starbucks     140       14,307  
Tesla *     215       90,429  
              281,392  
Consumer Staples — 6.6%                
Costco Wholesale     55       51,451  
Keurig Dr Pepper     167       5,466  
Kraft Heinz     143       3,378  
Mondelez International, Cl A     158       9,139  
Monster Beverage *     120       11,534  
PepsiCo     168       22,747  
Walmart     598       67,729  
              171,444  
Energy — 0.5%                
Baker Hughes, Cl A     123       6,827  
Diamondback Energy     35       6,152  
              12,979  
Financials — 0.2%                
PayPal Holdings     108       4,663  
                 
Health Care — 3.9%                
Alnylam Pharmaceuticals *     17       5,118  
Amgen     67       24,262  
Dexcom *     47       3,165  
GE HealthCare Technologies     56       3,585  
Gilead Sciences     152       19,204  
IDEXX Laboratories *     10       5,264  
Intuitive Surgical *     44       17,498  
Regeneron Pharmaceuticals     13       8,106  
Vertex Pharmaceuticals *     32       15,895  
              102,097  
Industrials — 3.6%                
Automatic Data Processing     50       11,197  
Axon Enterprise *     10       5,606  
Cintas     50       8,504  
Copart *     114       3,214  
CSX     227       10,789  
Fastenal     141       6,772  
Ferrovial     89       6,106  
Honeywell Aerospace *     39       8,622  
Honeywell International     39       8,732  

 

96

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares InspereX Nasdaq Dynamic Buffered High Income Index ETF (continued)

 

    Shares     Value  
COMMON STOCK (continued)                
Industrials (continued)                
Old Dominion Freight Line     26     $ 5,632  
PACCAR     65       7,808  
Paychex     44       4,327  
Rocket Lab *     71       7,217  
              94,526  
Information Technology — 63.8%                
Adobe *     50       10,251  
Advanced Micro Devices *     199       115,601  
Analog Devices     60       23,830  
Apple     652       188,663  
Applied Materials     94       67,962  
AppLovin, Cl A *     38       19,579  
ARM Holdings ADR *     52       18,438  
Astera Labs *     20       9,660  
Autodesk *     26       5,055  
Broadcom     210       79,328  
Cadence Design Systems *     34       12,761  
Cisco Systems     482       56,616  
CoreWeave, Cl A *     54       5,375  
Crowdstrike Holdings, Cl A *     31       23,657  
Datadog, Cl A *     41       10,675  
Fortinet *     90       13,826  
Intel *     616       86,012  
Intuit     34       8,874  
KLA     155       46,765  
Lam Research     145       62,833  
Lumentum Holdings *     9       7,723  
Marvell Technology     107       31,874  
Microchip Technology     67       6,110  
Micron Technology     139       160,446  
Microsoft     330       123,097  
Monolithic Power Systems     6       8,294  
NVIDIA     1,072       214,496  
Palantir Technologies, Cl A *     282       32,901  
Palo Alto Networks *     95       32,397  
QUALCOMM     130       24,023  
Roper Technologies     13       4,399  
Sandisk *     18       40,927  
Seagate Technology Holdings     27       26,055  
Strategy, Cl A *     40       3,477  
Synopsys *     24       10,706  
Teradyne     19       9,193  
Texas Instruments     112       33,384  
Western Digital     42       26,826  

 

97

 

 

Schedule of Investments (Unaudited) June 30, 2026

 

KraneShares InspereX Nasdaq Dynamic Buffered High Income Index ETF (concluded)

 

    Shares     Value  
COMMON STOCK (continued)                
Information Technology (continued)                
Workday, Cl A *     25     $ 3,060  
              1,665,149  
Materials — 1.1%                
Linde     57       29,580  
                 
Utilities — 1.2%                
American Electric Power     67       9,166  
Constellation Energy     45       11,177  
Exelon     126       5,874  
Xcel Energy     77       6,183  
              32,400  
TOTAL UNITED STATES             2,731,558  
                 
TOTAL COMMON STOCK
(Cost $2,450,658)
            2,813,826  
                 
TOTAL INVESTMENTS — 107.7%
(Cost $2,450,658)
            2,813,826  
OTHER ASSETS LESS LIABILITIES – (0.7)%             (201,703 )
NET ASSETS - 100%           $ 2,612,123  

 

Industries are utilized for compliance purposes, whereas sectors are utilized for reporting.
* Non-income producing security.

 

A list of the open OTC Swap agreement held by the Fund at June 30, 2026 is as follows:

 

    Reference
Entity/
  Fund   Payment   Termination       Notional       Upfront
Payments/
    Net Unrealized
Appreciation
 
Counterparty   Obligation   Receives   Frequency   Date   Currency   Amount   Value     Receipts     (Depreciation)  
Goldman Sachs   Nasdaq InspereX Dynamic Buffered High Income Option Only Index   Total Return   At Termination   01/08/2029   USD   2,719,108   $ (184,057 )   $     $ (2,903,165 )

 

See “Glossary” for abbreviations.

 

For information on the Fund’s policy regarding valuation of investments and other significant accounting policies, please refer to the Fund’s most recent financial statements.

 

KRS-QH-054-0200

 

98

 

 

Schedules of Investments/Consolidated Schedule of Investments (Unaudited) June 30, 2026

 

Glossary (abbreviations which may be used in preceding Schedule of Investments):

 

Fund Abbreviations

ADR — American Depositary Receipt

AUD — Australian Dollar

BVI — Business Volume Indicator

CAD — Canadian Dollar

Cl — Class

ETF — Exchange-Traded Fund

FX — Foreign Exchange

GDR — Global Depositary Receipt

H15T5Y — United States Treasury Yield Curve Rate Treasury Note Constant Maturity 5 Year

H15T3Y — United States Treasury Yield Curve Rate Treasury Note Constant Maturity 3 Year

JSC — Joint-Stock Company

MTN — Medium Term Note

PJSC — Public Joint-Stock Company

PLC — Public Limited Company

PTY — Proprietary

Ser — Series

SPDR — Standard & Poor’s Depositary Receipts

USD — United States Dollar

WTI — West Texas Intermediate

 

99