iShares, Inc. - iShares MSCI Singapore Index Fund reported unaudited earnings results for the year ended August 31, 2012. For the year, the company reported total investment income of $56,310,258. The company reported net investment income of $48,620,016, net realized gain of $5,615,906 and net increase in net assets resulting from operations of $28,436,496 compared to net investment income of $66,235,936 net realized gain of $117,167,420 and net increase in net assets resulting from operations of $201,592,629 a year ago.

Net asset value per share was at the end of period was $13.10 against $13.05 a year ago.