﻿<?xml version="1.0" encoding="UTF-8"?>
<Portfolio>
  <Name>Sector Consumer</Name>
  <Categories>
    <PortfolioCategory>
      <Name>China</Name>
      <Symbols>
        <PortfolioSymbol>
          <Name>CHIQ</Name>
          <Description>Global X China Consumer ETF</Description>
          <Decimals>4</Decimals>
          <PipSize>2</PipSize>
          <PipFraction>2</PipFraction>
          <TickSize>0.001</TickSize>
        </PortfolioSymbol>
      </Symbols>
    </PortfolioCategory>
    <PortfolioCategory>
      <Name>Emerging Markets</Name>
      <Symbols>
        <PortfolioSymbol>
          <Name>ECON</Name>
          <Description>Columbia Emerging Markets Consumer ETF</Description>
          <Decimals>4</Decimals>
          <PipSize>2</PipSize>
          <PipFraction>2</PipFraction>
          <TickSize>0.001</TickSize>
        </PortfolioSymbol>
        <PortfolioSymbol>
          <Name>EMCG</Name>
          <Description>WisdomTree Emerging Markets Consumer Growth Fund</Description>
          <Decimals>4</Decimals>
          <PipSize>2</PipSize>
          <PipFraction>2</PipFraction>
          <TickSize>0.001</TickSize>
        </PortfolioSymbol>
      </Symbols>
    </PortfolioCategory>
    <PortfolioCategory>
      <Name>India</Name>
      <Symbols>
        <PortfolioSymbol>
          <Name>INCO</Name>
          <Description>Columbia India Consumer ETF</Description>
          <Decimals>4</Decimals>
          <PipSize>2</PipSize>
          <PipFraction>2</PipFraction>
          <TickSize>0.001</TickSize>
        </PortfolioSymbol>
      </Symbols>
    </PortfolioCategory>
  </Categories>
</Portfolio>