Pre-Annual General Meeting Information • May 17, 2024
Pre-Annual General Meeting Information
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EMARKET SDIR

Il giorno 17 aprile 2024 alle ore 11,18 in Milano, via Broletto n. 13 proseguono in sede ordinaria i lavori della assemblea di "Piaggio & C. S.p.A.", con sede in Pontedera (PI), Viale Rinaldo Piaggio n. 25, capitale sociale Euro 207.613.944,37 i.v., codice fiscale e numero di iscrizione al Registro delle Imprese della Camera di Commercio della Toscana Nord Ovest: 04773200011, iscritta al R.E.A. di Pisa al n. 134077 (di seguito "Piaggio" o la "Società"). Il dott. Matteo Colaninno, a norma dell'articolo 9 dello statuto sociale, nella sua qualità di Presidente del Consiglio di Amministrazione, assume la presidenza dell'assemblea chiamata a discutere e deliberare sul seguente:
I) Bilancio d'esercizio di Piaggio & C. S.p.A. al 31 dicembre 2023 e destinazione dell'utile di esercizio;
l.1) Approvazione del Bilancio d'esercizio di Piaggio & C. S.p.A. al 31 dicembre 2023, esame della relazione degli Amministratori sulla gestione dell'esercizio 2023 e delle relazioni del Collegio Sindacale e della Società di Revisione; presentazione del bilancio consolidato al 31 dicembre 2023 del Gruppo Piaggio; delibere inerenti e conseguenti;
1.2) Proposta di destinazione dell'utile di esercizio; delibere inerenti e conseguenti.
2) Relazione sulla politica in materia di remunerazione e sui compensi corrisposti:
2.1) Approvazione della politica di remunerazione ai sensi dell'art. 123-ter, comma 3-ter, del D. Lgs. n. 58/1998;
2.2) Deliberazioni sulla "seconda sezione" della relazione, ai sensi dell'art. 123-ter, comma 6, del D. Lgs. n. 58/1998.
Il Presidente, con il consenso unanime dei presenti, chiama a svolgere le funzioni di segretario il notaio Carlo Marchetti che accetta.
Il Presidente richiama le dichiarazioni rese in apertura della assemblea in sede straordinaria ricordando anzitutto che:
ai sensi dell'art. 106 del D.L. "recante misure di potenziamento del servizio sanitario nazionale e di sostegno economico per famiglie, lavoratori e imprese connesse all'emergenza epidemiologica da COVID-19" ("D.L. 18/2020"), come successivamente prorogato, la Società si è avvalsa della facoltà di prevedere nell'avviso di convocazione che l'intervento in Assemblea si svolga esclusivamente tramite il rappresentante designato Monte Titoli S.p.A. "Rappresentante Designato"), nonché della facoltà di prevedere che l'Assemblea si svolga" esclusivamente mediante mezzi di telecomunicazione che garantiscono l'identificazione dei partecipanti, la loro partecipazione e l'esercizio del diritto di voto, senza in ogni caso la necessità che si trovino nel medesimo luogo il presidente ed il segretario verbalizzante;
la Società ha reso noto agli interessati le relative istruzioni per la partecipazione mediante i predetti mezzi di telecomunicazione; pertanto, tutti i partecipanti (incluso il Presidente) intervengono mediante collegamento in video/teleconferenza e il Presidente conferma di aver accertato l'identità e la legittimazione degli intervenuti, nonché la facoltà di tutti di partecipare alla discussione e alla votazione;
sono fisicamente presenti in Milano, presso gli uffici di Via Broletto n. 13 oltre al Presidente e al notaio dott. Carlo Marchetti,
per il Consiglio di Amministrazione:
mentre partecipano alla riunione mediante mezzi di telecomunicazione:
-- Giaconia Massimo (Sindaco Effettivo);
partecipa inoltre, mediante mezzi di telecomunicazione, il Rappresentante Designato, nella persona di Claudia Ambrosini, nata a Schio (VI), il 3 aprile 1978, CF. MBRCLD78D431531Z, carta d'identità n. CA71006KP;
con il consenso del Presidente, assistono inoltre all'Assemblea, in presenza presso gli uffici di Via Broletto n. 13 o mediante mezzi di telecomunicazione, dirigenti o dipendenti della Società e rappresentanti della società di revisione.
Il Presidente conferma di aver accertato l'identità e la legittimazione di tutti gli intervenuti, nonché la facoltà degli stessi di partecipare alla discussione e alla votazione.
Il Presidente chiede a tutti di impostare i dispositivi in modalità muta e raccomanda a chi voglia intervenire di disattivare tale modalità prima del proprio intervento.

come sopra anticipato, la Società, avvalendosi di quanto stabilito dall'art. 106 del D.L. 18/2020, ha previsto nell'avviso di convocazione che l'intervento in Assemblea da parte di coloro ai quali spetta il diritto di voto è consentito esclusivamente tramite il Rappresentante Designato dalla Società ai sensi dell'art. 135-undecies del D.Lgs. 58/1998 (il "TUR") e del citato D.L. 18/2020;
la Società ha nominato Monte Titoli S.p.A. quale Rappresentante Designato per il conferimento delle deleghe e delle relative istruzioni di voto ai sensi dell'art. 135-undecies del TUF e ha reso disponibile, sul proprio sito internet, il modulo per il conferimento della delega;
come precisato nell'avviso di convocazione è stato, altresi, possibile conferire al Rappresentante Designato deleghe o subdeleghe ai sensi dell'art. 135-novies del TUF, in deroga all'art. 135undecies, comma 4, del TUF, utilizzando l'apposito modulo e le relative istruzioni di voto, resi disponibili sul sito internet della Società;
Monte Titoli S.p.A. ha reso noto, in qualità di Rappresentante Designato, di non essere portatore di alcun interesse proprio rispetto alle proposte di deliberazione sottoposte al voto nel corso dell'odierna Assemblea ed ha dichiarato espressamente l'intenzione di non esprimere un voto difforme da quello indicato nelle istruzioni di voto;
non è pervenuta alla Società alcuna richiesta di integrazione dell'ordine del giorno, né alcuna nuova proposta di delibera, ai sensi e con le modalità di cui all'art. 126-bis del TUF e con le ulteriori modalità indicate nell'avviso di convocazione (eccezion fatta per il punto 4 della parte ordinaria dell'ordine del giorno in materia di nomina del Consiglio di Amministrazione);
il capitale sociale della Società è pari ad Euro 207.613.944,37 i.v. suddiviso in n. 354.632.049 azioni ordinarie, godimento regolare, senza indicazione del valore nominale. Alla data odierna la Società detiene 426.161 azioni proprie, pari allo 0,12% del capitale sociale;
gli intervenuti risultano essere attualmente 346 per complessive n. 279.611.010 azioni rappresentanti il 78,845% del capitale sociale;
le votazioni saranno effettuate mediante dichiarazione del Rappresentante Designato, con specificazione del numero di voti favorevoli, contrari, astenuti o non votanti. Il Rappresentante Designato, in occasione di ciascuna votazione, fornirà altresì indicazione del numero di azioni per le quali dovesse essere richiesta la temporanea assenza dalla riunione assembleare e che quindi non saranno computate ai fini della determinazione del quorum deliberativo;
l'elenco riepilogativo, contenente l'indicazione nominativa dei soci votanti favorevoli, contrari, astenuti e non votanti, con i relativi quantitativi azionari, sulle singole proposte deliberative, verrà allegato al verbale dell'Assemblea, al termine delle operazioni di voto.
Il Presidente dichiara, pertanto, l'Assemblea regolarmente costituita in prima convocazione ed atta a discutere e deliberare sugli argomenti di cui al relativo ordine del giorno, anche in sede ordinaria.
la documentazione relativa a tutti i punti all'ordine del giorno è stata fatta oggetto degli adempimenti pubblicitari contemplati dalla disciplina applicabile, nonché pubblicata sul sito internet della Società;
secondo le risultanze del Libro dei Soci integrate dalle comunicazioni ricevute ai sensi dell'art. 120 del TUF e dalle altre informazioni a disposizione, possiedono, direttamente o indirettamente,

azioni con diritto di voto in misura significativa, ai sensi delle vigenti disposizioni di legge e di, " regolamento:
| Dichiarante | Azionista diretto |
Quota % su capitale ordinario |
Quota 0/0 SU capitale votante |
|---|---|---|---|
| OMNIAHOLDING S.p.A. |
IMMSI S.p.A. | 50,568 | 50,568 |
| TOTALE | 50,568 | 50,568 | |
| Diego della Valle | della Diego Valle |
5,594 | 5,594 |
| TOTALE | 56,162 | 56,162 |
per quanto a conoscenza della Società, non sussistono patti parasociali ex art. 122 del TUF tra gli Azionisti di Piaggio e aventi ad oggetto azioni della Società, né detti patti risultano pubblicati ai sensi di legge;
per completezza informativa si segnala che è vigente un patto parasociale rilevante ai sensi dell'art. 122 TUF avente ad oggetto le azioni della controllante Immsi S.p.A., pubblicato nei termini e con le modalità di legge.
Il Rappresentante Designato è invitato a rendere ogni dichiarazione richiesta dalla legge, anche in tema di carenza di legittimazione al voto.
Il Presidente fa presente che è in funzione un impianto di registrazione degli interventi, al solo fine di agevolare la verbalizzazione.
Il Presidente propone, dal momento che la documentazione inerente tutti i punti all'ordine del giorno è stata oggetto degli adempimenti pubblicitari sopra ricordati ed è a disposizione di tutti gli intervenuti, in assenza di opposizioni, di ometterne la lettura, limitando la stessa alle proposte di delibera contenute nella Relazione del Consiglio di Amministrazione, ove presenti.
Il Presidente ricorda che, prima dell'odierna Assemblea, sono pervenute domande ai sensi dell'art. 127-ter TUF. L'elenco delle domande e delle risposte è stato pubblicato sul sito internet della Società in data 14 aprile 2024.
***
Il Presidente passa quindi alla trattazione del primo punto all'ordine del giorno (Bilancio di esercizio) e dà indicazione, in ossequio a quanto richiesto da Consob, del numero delle ore impiegate e del corrispettivo fatturato dalla società di revisione per la revisione del bilancio d'esercizio al 31 dicembre 2023 e per le altre attività ricomprese nell'incarico:

2 . 1.600 ore per l'attività di revisione del bilancio consolidato di Gruppo (al netto delle attività di coordinamento e altre attività inerenti all'incarico di revisione) corrispondenti ad Euro 112.765;
n. 780 ore per le attività di revisione contabile limitata della relazione semestrale corrispondenti ad Euro 41.000;
per un totale di n. 5.536 ore impiegate corrispondenti ad Euro 400.392.
Dà quindi lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione relativamente al punto 1.1, infra trascritta.
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,20) la proposta di delibera di cui è stata data lettura e qui trascritta:
"L'Assemblea degli Azionisti di Piaggio & C. S.p.A. riunita in sede ordinaria,
udito e approvato quanto esposto dal Consiglio di Amministrazione;
preso atto della relazione del Collegio Sindacale, della relazione della società di revisione e del bilancio consolidato al 31 dicembre 2023, nonché della relazione consolidata di carattere finanziario al 31 dicembre 2023,
Con riguardo alla proposta di delibera relativa al punto 1.1 di parte ordinaria dell'ordine del giorno, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 275.406.501 azioni favorevoli.
N. 3.726.753 azioni contrarie.
N. 173.256 azioni astenute.
N. 304.500 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato.
Dà quindi lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione relativamente al punto 1.2, infra trascritta.
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,22) la proposta di delibera di cui è stata data lettura e qui trascritta:
"L'Assemblea degli Azionisti di Piuggio & C. S.p.A. riunita in sede ordinaria,
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135
di approvare la destinazione dell'utile d'esercizio come segue.
Euro 4.530.206,20 a riserva legale;
Con riguardo alla proposta di delibera relativa al punto 1.2. di parte ordinaria dell'ordine del giorno, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 279.204.510 azioni favorevoli.
بي مله مل
Il Presidente passa quindi alla trattazione del secondo punto all'ordine del giorno (Relazione sulla remunerazione) e ricorda che ai sensi dell'art. 123-ter, comma 3-bis, del TUF, gli azionisti saranno chiamati ad approvare la Sezione I della Relazione sulla Remunerazione, con deliberazione vincolante ai sensi dell'art. 123-ter, comma 3-ter, del TUF. Gli Azionisti saramo, inoltre, chiamati, ai sensi dell'art. 123-ter, comma 6, del TUF, a deliberare in senso favorevole o contrario sulla Sezione II della Relazione sulla Remunerazione, con deliberazione non vincolante. Ai sensi di quanto previsto dall'art. 123-ter, comma 3-bis, del TUF, la Società sottopone al voto degli azionisti la politica di remunerazione con la cadenza richiesta dalla durata della politica stessa e quindi, in conformità alla politica vigente, su base annuale.
Dà quindi lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione relativamente al punto 2.1, infra trascritta.

comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,24) la proposta di delibera di cui è stata data lettura e qui trascritta:
"L'Assemblea ordinaria di Piaggio & C. S.p.A., esaminata la relazione del Consiglio di Amministrazione redatta ai sensi dell'articolo 123-ter del D.Lgs. n. 58/1998, per gli effetti stabiliti dal comma 3-ter della norma predetta, e quindi con deliberazione vincolante,
Con riguardo alla proposta di delibera relativa al punto 2.1 di parte ordinaria dell'ordine del giorno, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 180.511.527 azioni favorevoli.
N. 78.854.045 azioni contrarie.
N. 19.940.938 azioni astenute.
N. 304.500 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato.
Dà quindi lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione relativamente al punto 2.2, infra trascritta.
Il Presidente:
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,26) la proposta di delibera di cui è stata data lettura e qui trascritta:
"L'Assemblea ordinaria di Piaggio & C. S.p.A., esaminata la relazione del Consiglio di Amministrazione redatta ai sensi dell'articolo 123-ter del D.Lgs. n. 58/1998, per gli effetti stabiliti dal comma 6 della norma predetta, e quindi con deliberazione non vincolante,
Con riguardo alla proposta di delibera relativa al punto 2.2. di parte ordinaria dell'ordine del giorno, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 180.599.787 azioni favorevoli.
N. 78.765.785 azioni contrarie.
N. 19.940.938 azioni astenute.
N 304 500 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato.
certifie
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Il Presidente passa quindi alla trattazione del terzo punto all'ordine del giorno (Azioni
***
Dà quindi lettura della proposta di delibera contenuta nella Relazione del Consiglio di Amministrazione relativamente al punto 3, infra trascritta.
proprie).
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,28) la proposta di delibera di cui è stata data lettura e qui trascritta:
"L'Assemblea ordinaria degli Azionisti, vista e approvata Relazione del Consiglio di Amministrazione,
(A) di revocare, per la parte non ancora eseguita, la delibera di autorizzazione all'acquisto e disposizione di azioni proprie, assunta dall'Assemblea Ordinaria degli Azionisti in data 18 aprile 2023, a far tempo dalla data della presente delibera;
(B) di autorizzare operazioni di acquisto e di disposizione di azioni ordinarie proprie per le finalità indicate nella Relazione del Consiglio di Amministrazione allegata al presente verbale, e quindi:
l ) di autorizzare, ai sensi e per gli effetti dell'art. 2357 c.c., l'acquisto, in una o più volte, per il periodo di diciotto mesi a far data dalla presente deliberazione, di azioni ordinarie della Società, fino ad un numero massimo che, tenuto conto delle azioni ordinarie Piaggio & C. S.p.A. di volta in volta detenute in portafoglio dalla Società e dalle società da essa controllate, non sia complessivamente superiore al limite massimo stabilito dalla normativa pro tempore applicabile, ad un corrispettivo che non sia superiore al prezzo più elevato tra il prezzo dell'ultima operazione indipendente e il prezzo dell'offerta indipendente più elevata corrente nelle sedi di negoziazione dove viene effettuato l'acquisto, fermo restando che il corrispettivo unitario non potrà comunque essere inferiore nel minimo del 20% e superiore nel massimo del 10% rispetto alla media aritmetica dei prezzi ufficiali registrati dal titolo Piaggio nei dieci giorni di borsa aperta antecedenti ogni singola operazione di acquisto;
2) di dare mandato al Consiglio di Amministrazione, e per esso al suo Presidente e all'Amministratore Delegato in via tra di loro disgiunta, di individuare l'ammontare di azioni da acquistare in relazione a ciascun programma di acquisto, nell'ambito delle finalità sopra indicate, anteriormente all'avvio del programma medesimo, e di procedere all'acquisto di uzioni con le modalità stabilite nelle applicabili disposizioni del Regolamento Consob 11971/1999 (come successivamente modificato) in attuazione dell'art. 132 del TUF, nel rispetto delle

oondizioni relative alla negoziazione di cui all'art. 3 del Regolamento Delegato (UE) 2016/1052 e con la gradualità ritenuta opportuna nell'interesse della Società, attribuendo ogni più ampio potere per l'esecuzione delle operazioni di acquisto di cui alla presente delibera e di ogni altra formalità alle stesse relativa, ivi incluso l'eventuale conferimento di incarichi ad intermediari abilitati ai sensi di legge e con facoltà di nominare procuratori speciali;
3) di autorizzare il Consiglio di Amministrazione, e per esso il suo Presidente e l'Amministratore Delegato in via tra di loro disgiunta, affinché, ai sensi e per gli effetti dell'art. 2357-ter c.c., possa disporre, in qualsiasi momento, in tutto o in parte, in una o più volte, delle azioni proprie acquistate in base alla presente delibera, o comunque già in portafoglio della Società, mediante alienazione delle stesse in borsa o fuori borsa, eventualmente anche mediante cessione di diritti reali e/o personali, ivi incluso a mero titolo esemplificativo il presito titoli, nel rispetto delle disposizioni di legge e regolamentari pro tempore vigenti e per il perseguimento delle finalità di cui alla presente delibera, con i termini, le modalità e le condizioni dell'atto di disposizione delle azioni proprie ritenuti più opportuni nell'interesse della Società, attribuendo ogni più ampio potere per l'esecuzione delle operazioni di disposizione di cui alla presente delibera, nonché di ogni altra formalità alle stesse relativa, ivi incluso l'eventuale conferimento di incarichi ad intermediari abilitati ai sensi di legge e con facoltà di nominare procuratori speciali; le operazioni di disposizioni delle azioni proprie in portafoglio verranno in ogni caso effettuate nel rispetto della normativa legislativa e regolamentare vigente in tema di esecuzione delle negoziazioni sui titoli quotati, ivi incluse le prassi ammesse da Consob a norma dell'art. 13 MAR, ove applicabili, e potranno avvenire in una o più soluzioni, e con la gradualità ritenuta opportuna nell'interesse della Società. L'autorizzazione di cui al presente punto (B)3) è accordata senza limiti temporali e dovrà intendersi rilasciata anche con riferimento alle azioni proprie già possedute da Piaggio & C. S.p.A. alla data della presente delibera;
(C) di disporre, ai sensi di legge, che gli acquisti di cui alla presente autorizzazione siano contenuti entro i limiti degli utili distribuibili e delle riserve disponibili risultanti dall'ultimo bilancio (anche infrannuale) approvato al momento dell'offettuazione dell'operazione e che, in occasione dell'acquisto e della alienazione delle azioni proprie, siano effettuate le necessarie appostazioni contabili, in osservanza delle disposizioni di legge e dei principi contabili applicabili".
Con riguardo alla proposta di delibera relativa al punto 3 di parte ordinaria dell'ordine del giorno, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
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Il Presidente passa quindi alla trattazione del quarto punto all'ordine del giorno (Nomina CdA).
Il Presidente informa che sono state presentate n. 3 liste per la nomina del Consiglio di Amministrazione di cui al punto n. 4 dell'ordine del giorno di parte ordinaria - subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui al punto 1 all'ordine del giorno dell'Assemblea in parte straordinaria - come di seguito riportate:
Lista n. 1 presentata da IMMSI S.p.A. (partecipazione pari al 50,568% del capitale sociale).
Zanello Ugo Ottaviano
Vescia Michela
Mignani Paola
Albano Patrizia
Ciccone Rita
Fornara Elena
Lista n. 2 presentata Diego Della Valle & C. S.r.l. (partecipazione pari al 5,594% del capitale sociale).
Lista n. 3 presentata da un gruppo di investitori complessivamente rappresentanti il 2,72319% del capitale sociale.
Pagani Raffaella Annamaria
Bonelli Fabrizio Piercarlo
Si precisa che le liste n. 2 e n. 3 hanno dichiarato, anche ai sensi della Comunicazione Consob n. DEM/9017893 del 26.02.2009, l'assenza di rapporti di collegamento e/o di relazioni significative con i soci che detengono anche congiuntamente una partecipazione di controllo o di maggioranza relativa ai sensi dell'art. 147-ter, 3º comma del D.Igs. 58/1998 e dell'articolo 144-quinquies del Regolamento Emittenti adottato con delibera n. 11971/1999 ("Regolamento Emittenti").
Si segnala inoltre che IMMSI S.p.A. ha altresì presentato proposte di deliberazione in merito alla nomina del Consiglio di Amministrazione (numero dei componenti, durata in carica, compensi).
La documentazione di cui all'articolo 144-octies del Regolamento Emittenti e le proposte presentate dal socio IMMSI S.p.A. sono state rese disponibili presso la sede sociale, sul sito, nonché presso il meccanismo di stoccaggio.
Il Presidente procede quindi alle operazioni di votazione in relazione alla proposta di deliberazione del punto 4 dell'ordine del giorno.
Il Presidente:
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,30) la proposta di IMMSI per il numero dei componenti del Consiglio di Amministrazione: 12.

I Gon riguardo alla predetta proposta, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: I',Assemblea approva a maggioranza.
N. 279.211.554 azioni favorevoli.
N. 297.456 azioni contrarie.
N. 102.000 azioni astenute.
N. 0 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato.
Il Presidente:
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,32) la proposta di IMMSI per la durata in carica del Consiglio di Amministrazione: 3 esercizi.
Con riguardo alla predetta proposta, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 279.009.251 azioni favorevoli.
N. 499.759 azioni contrarie.
N. 102.000 azioni astenute.
N. 0 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato.
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,34) le liste presentate.
Con riguardo alle liste proposte, il Rappresentante Designato, il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni, dichiara che sono stati espressi i seguenti voti:
N. 180.370.082 azioni favorevoli alla Lista 1.
N. 19.838.938 azioni favorevoli alla Lista 2.
N. 77.424.033 azioni favorevoli alla Lista 3.
N. 0 azioni contrarie.
N. 1.977.957 azioni astenute.
N. 0 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama eletti:
l. Colaninno Matteo
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Zanello Ugo Ottaviano
Il Presidente conferma che risultano rispettati i requisiti di statuto in termini di indipendenza ed equilibrio di genere.
Il Presidente proclama il risultato.
comunica che i presenti sono invariati;
pone in votazione per alzata di mano (11,37) la proposta di IMMSI per i compensi dei componenti del Consiglio di Amministrazione ossia di attribuire (i) a ciascuno dei componenti del Consiglio di Amministrazione l'importo di Euro 40.000,00 lordi annui, restando inteso che devono ritenersi in ogni caso non compresi nel predetto importo la remunerazione degli amministratori investiti di particolari cariche ai sensi dell'articolo 2389, comma 3, c.c. e i compensi per eventuali incarichi speciali; (ii) l'importo aggiuntivo - rispetto a quanto già attribuito per la carica di Amministratore - di Euro 50.000,00 lordi annui al Presidente del Comitato per il Controllo sulla Gestione (e così per complessivi Euro 90.000,00 lordi annui) e di Euro 20.000,00 lordi annui agli altri componenti del predetto comitato (e così per complessivi Euro 60.000,00 lordi annui).
Con riguardo alla predetta proposta, sulla base delle espressioni di voto comunicate dal Rappresentante Designato il quale comunica di disporre di istruzioni di voto per n. 279.611.010 azioni: l'Assemblea approva a maggioranza.
N. 276.978.518 azioni favorevoli.
N. 2.225.992 azioni contrarie.
N. 102.000 azioni astenute.
N. 304.500 azioni non votanti.
Il tutto come da dettagli allegati.
Il Presidente proclama il risultato e, esaurita la trattazione dell'ordine del giorno e nessuno chiedendo la parola, ringrazia gli intervenuti e dichiara chiusa la riunione alle ore 11,45.
Il Presidente
Il Segretari

ll' sottoscritto Dott. Andrea De Costa, consapevole delle responsabilità penali previste in caso di falsa dichiarazione, attesta, ai sensi dell'art. 47 del DPR 445/2000, la corrispondenza del presente documento a quello conservato agli atti della società.
Le parti omesse non ne alterano il contenuto
Copia su supporto informatico conforme all'originale del documento cartaceo a sensi dell'art. 22 comma 2 D.Lgs. 7 marzo 2005 82, per il Registro Imprese della Toscana Nord Ovest
Firmato Andrea De Costa notaio
Nel mio Studio 24 aprile 2024
142
"Imposta di bollo assolta in modo virtuale Autorizzazione Agenzia delle entrate -Direzione Regionale della Toscana prot. N. 29532 del 10/05/2022"

Elenco dei censiti partecipanti all'assemblea per il tramite del Rappresentante Designato Monte Titoli S.p.A. nella persona della Dottoressa Ambrosini Claudia
| Anagrafica | Azioni CF/PI |
% sul C.S. |
|---|---|---|
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND | 118.715 | 0,033% |
| ABU DHABI PENSION FUND | 16.182 | 0,005% |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 29.700 | 0,008% |
| AFER ACTIONS PME | 600.527 | 0,169% |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0,000% |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,127% |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN | 294.229 | 0,083% |
| FUNDAMENTALINTERNA | ||
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,076% |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,020% |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0,004% |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,038% |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,014% |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,020% |
| JAMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
2.549 | 0,001% |
| AMERICAN HEART ASSOCIATION, INC. | 214 | 0,000% |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4.830 | 0,001% |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,007% |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% |
| AMUNDI PATRIMOINE | 10 | 0,000% |
| AMUNDI PATRIMOINE PEA | 337.630 | 0,095% |
| ANIMA CRESCITA ITALIA | 409-254 | 0,115% |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,020% |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,044% |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,375% |
| ANIMA ITALIA | 310.852 | 0,088% |
| ANNE RAY FOUNDATION | 74.700 | 0,021% |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF AQR | 19-528 | 0,006% |
| CAPITAL MANAGEMENT LLC | 431.000 | 0,122% |
| Arca Azioni Italia | 1.000.000 | 0,282% |
| Arca Economia Reale Bilanciato Italia 30 | 402 | 0.000% |
| ARIZONA STATE RETIREMENT SYSTEM | 94.744 | 0,027% |
| ARROWST (DE) L/S FD NON FLIP | 205.115 | 0.058% |
| ARROWST CAP GL EQ AEF NON FLIP | 38.830 | 0,011% |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 40.115 | 0,011% |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 5.437 | 0,002% |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | ||
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMITED |
268.959 | 0,076% |

D
17
| Anagrafica | CF/Pi | Azioni | % sul C.S. |
|---|---|---|---|
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0,006% | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,005% | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0.029% | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0.135% | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,014% | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | |||
| EAFE ALPHA EXTENSION FUND | 29.725 | 0,008% | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY- | 9.506 | 0,003% | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND | 57.237 | 0,016% | |
| (CAYMAN) ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND |
|||
| (CAYMAN) LIMITED | 40.422 | 0,011% | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,048% | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,018% | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive Credit Suisse Funds AG |
21.733 | 0,006% | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50.000 | 0,014% | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 14.800 | 0,004% | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,113% | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0, 100% | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,485% | |
| BETURN | 147.167 | 0,041% | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES | |||
| WORLD EX SWITZERLAND | 23.508 | 0,007% | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0.000% | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,250% | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.074 | 0,008% | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0.509% | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,111% | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,033% | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0,007% | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,067% | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,026% | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 145.000 | 0,041% | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0.044% | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,025% | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 1.738 | 0,000% | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | 09 | 0,000% | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,000% | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,003% | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 5/ | 0,000% | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0,029% | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0.000% | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0.010% | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,020% | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,069% | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,257% | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED | |||
| 3.374 | 0,001% |
Colaninno matteo
CLNMTT70R16E897P

| 11000 45 |
|||
|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % sul C.S. |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | 0.035% |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0.038% | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0:024% | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIÓ ARROWSTREET | 1.384 | 0.000% | |
| CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD |
85.497 | 0,024% | |
| PORTFOLIO D CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN SOLUTIONS |
395 | 0,000% | |
| LID | 64.936 | 0,018% | |
| CREDIT SUISSE INDEX FUND (LUX) | 117.676 | 0,033% | |
| CRELAN INVEST BALANCED | 13.782 | 0,004% | |
| CRELAN INVEST CONSERVATIVE | 56.093 | 0,016% | |
| CRELAN INVEST DYNAMIC | |||
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12.102 | 0,003% | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds AG |
7.916 | 0,002% | |
| CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus Credit Suisse Funds AG |
19.288 | 0,005% | |
| D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C | 402 | 0,000% | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. | 1.902 | 0,001% | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 5,594% |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER T | 18.400 | 0,005% | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0,008% | |
| Eurizon am RILANCIO ITALIA TR | 42.835 | 0,012% | |
| EURIZON AZIONI ITALIA | 241.543 | 0,068% | |
| EURIZON AZIONI PMI ITALIA | 1.048 410 | 0,296% | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,049% | |
| EURIZON FUND | 294.030 | 0,083% | |
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,015% | |
| EURIZON PROGETTO ITALIA 20 | 248.100 | 0,070% | |
| EURIZON PROGETTO ITALIA 40 | 714.291 | 0,201% | |
| EURIZON PROGETTO ITALIA 70 | 310.787 | 0,088% 0,012% |
|
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | ||
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
89.491 | 0,025% | |
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 2.215.500 | 0,625% | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,043% | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0,124% | |
| FIDEURAM ITALIA | 25.000 | 0,007% | |
| FIRST CHURCH OF CHRIST SCIENTIST | 106.900 | 0,030% | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
54.094 | 0,015% | |
| FONDITALIA | 550.000 | 0,155% | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 2.626 | 0,001% | |
| FORSTA AP - FONDEN | 219.657 | 0,062% | |
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 182816 | 0,052% 0,010% |
|
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,011% | |
| GESTIELLE PRO ITALIA | 37.887 135.000 |
0,038% | |
| GLOBAL PORTFOLIO | 170 | 0,000% | |
| GOTHAM CAPITAL V LLC | 175-100 | 0,049% | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 381-318 | 0,108% | |
| HAWTHORN EQ LLC | 310.801 | 0,088% | |
| HKL II LLC HRW TESTAMENTARY TRUST NO. 12. |
214-411 | 0,060% | |
| HRW TESTAMENTARY TRUST NO 8 | 105.877 | 0,030% | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,162% | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,003% | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,008% | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170-600 | 0,048% | |
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 50,568% |
| ING DIRECT FONDO NARANJA CONSERVADÓR FI | 7.529 | 0,002% |

1 1
| CF/PI | Azioni | % sul C.S. | |
|---|---|---|---|
| Anagratica | 71.163 | 0,020% | |
| ING DIRECT FONDO NARANJA DINAMICO FI | 49.601 | 0,014% | |
| ING DIRECT FONDO NARANJA MODERADO FI | 0,008% | ||
| INTERFUND SICAV | 27.000 | ||
| INTERNATIQNAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
851.775 | 0,240% | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,020% | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | |||
| ALLOCATION - DANMARK AKKUMULERENDE KL | 27.515 | 0,008% | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | |||
| ALLOCATION EURO - ACCUMULATING KL | 8.442 | 0,002% | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 5.181 | 0,001% | |
| ALLOCATION NORGE - ACCUMULATING KL | |||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 9.086 | 0,003% | |
| ALLOCATION SVERIGE - ACCUMULATING KL | |||
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,008% | |
| INVESTITORI EUROPA | 78.080 | 0,022% | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,062% | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1-167 | 0,000% | |
| ISHARES CORE MSCI EAFE ETF | 1-606.626 | 0,453% | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0, 137% | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,015% | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,161% | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,004% | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,100% | |
| ISHARES VI PUBLIC LIMITED COMPANY | 143.558 | 0,040% | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1.358.668 | 0,383% | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | 2.409.330 | 0,679% | |
| COMPANIES FUND | |||
| JHF II INT'L SMALL CO FUND | 39.172 | 0,011% | |
| JHVIT INTL SMALL CO TRUST | 11-658 | 0,003% | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,138% | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,037% | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,008% | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540-364 | 0,152% | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,058% | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,020% | |
| KBC EQUITY FUND SRI WORLD | 16.787 | 0,005% | |
| KBC Equity Fund World | 8.873 | 0,003% | |
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0,029% | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,007% | |
| KBC VERZEKERINGEN NV | 400.000 | 0,113% | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,098% | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0,009% | |
| LEADERSEL P.M.I | 143.343 | 0,040% | |
| LEGAL & GENERALICAV. | 8.588 | 0,002% | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,022% | |
| LEGAL AND GENERAL UCITS ETF PLC | 23-638 | 0,007% | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,048% | |
| LGT SELECT FUNDS | 10-037 | 0,003% | |
| LINGOHR GLOBAL SMALL CAP | 20.071 | 0,006% | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11-305 | 0,003% | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,008% | |
| ESV INTERNATIONAL SMALL CAP EQUITY FUND EP | 437.200 | 0,123% | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,015% |
| EVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,004% | |
| LYXOR FTSE ITALIA MID CAP PIR | 361.152 | 0,102% | |
| M INTERNATIONAL EQUITY FUND | 1-07 1 | 0,000% |
146
| EMARKET SDIR |
|---|
| CERTIFIED |
| Azioni CF/PI |
12.00 % sul C.S. |
|
|---|---|---|
| Anagrafica | 419.894 | 0.118% |
| MAIN - UNIVERSAL - FONDS MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. |
1.976 | 0.001% |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0.000% |
| DIVERSIFIED RISK P REMIA PROGRESSIVE | ||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0.005% |
| SMALL CAP EQUITY POOLE | 45.200 | 0.013% |
| MARGARET A. CARGILL FOUNDATION | 16.057 | 0,005% |
| MARYLAND STATE RETIREMENT PENSION SYSTEM MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY |
304.500 | 0,086% |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,648% |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.287.829 | 0,363% |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,558% |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 146.600 | 0,041% |
| MERCER GE INTERNATIONAL EQUITY FUND | 222.200 | 0,063% |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.880.024 | 0,530% |
| MERCER QIF FUND PLC | 34.129 | 0,010% |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,017% |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,183% |
| MERCY INVESTMENT SERVICES INC | 51.920 | 0,015% |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 | 0,156% 0,018% |
| MI FONDS K10 | 65.600 6.768 |
0,002% |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 10.423 | 0,003% |
| MUL- LYX FTSE IT ALL CAP PIR | 15.861 | 0,004% |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,141% |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 285.200 | 0,080% |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 1.003.005 | 0,283% |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 16.221 | 0,005% |
| INATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | ||
| NEF RISPARMIO ITALIA | 160.529 | 0,045% 0,002% |
| NES FIMILED | 7.254 23 100 |
0,007% |
| NON US EQUITY MANAGERS PORTFOLIO I ERISA | 990.929 | 0,279% |
| NORGES BANK | ||
| INORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9.704 | 0,003% |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,036% |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,001% |
| PANAGORA ASSET MANAGEMENT INC. | 1.285 | 0,000% |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0,007% |
| PERPETUAL INVESTMENT SERVICES EUROPE ICA V | 67.610 | 0,019% |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% |
| PRICOS | 571-528 14.820 |
0,161% 0,004% |
| PRICOS DEFENSIVE | 86.873 | 0,024% |
| PRICOS SKI | 8.089 | 0,002% |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 6.996 | 0,002% |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 65.219 | 0,018% |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 1.288.888 | 0,363% |
| QUADRIGE EUROPE MIDCAPS QUADRIGE MULTICAPS EUROPE |
308.888 | 0,087% |
| QUADRIGE PATRIMOINE | 48.888 | 0,014% |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0.058% |
| RAMI PARTNERS LLC | 47.003 | 0,013% |
| ROBERT BOSCH GMBH | 72.750 | 0,021% |
| ROBIN I-FONDS | 135.587 | 0,038% |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,129% |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0,005% |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,005% |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0.010% 0,106% |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 384.161 |
0,108% |
| SANTANDER SMALL CAPS EUROPA FI | 21-435 | 0,006% |
| SBC MASTER PENSION TRUST | 123.027 | 0,035% |
| SCHELCHER EQUITY CONVICTIONS | 255.215 | 0,072% |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF |

1
1 . . .
| Anagratica | CF/Pi | Azioni | % sul C.S. |
|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND | 45.546 | 0.013% | |
| 329.963 | 0,093% | ||
| SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF SELGLOBAL MASTER FUND PLC |
36.401 | 0,010% | |
| SGD GE 2014-1 | 11.087 | 0,003% | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | |||
| INTERNATIONAL PENSION FUND | 728 | 0,000% | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 13.905 | 0,004% | |
| CONTRIBUTORY PENSION FUND | |||
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS, | 2.983 | 0,001% | |
| SPDR PORTFOLIO EUROPE ETF | 3.888 | 0,001% | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,024% | |
| SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7,886 | 0,002% | |
| SSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21,314 | 0,006% | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,028% | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,008% | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,125% | |
| STAR FUND | 15.300 | 0,004% | |
| STAR FUND | 1.425.000 | 0,402% | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30-700 | 0,009% | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,308% | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,007% | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,008% | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,001% | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,012% | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,003% | |
| STICHTING PHILIPS PENSIOENFONDS | 10.580 | 0,003% | |
| STICHTING SHELL PENSIOENFONDS | 66.777 | 0,019% | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,004% | |
| SUEBIA-FONDS | 250.000 | 0,070% 1,915% |
|
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 257.216 |
0,073% | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 266.400 | 0,075% | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 301.700 | 0.085% | |
| TEXTRON INC MASTER TRUST | 6.111 | 0,002% | |
| THE BARCLAYS BANK UK RETIREMENTFUND THE CONTINENTAL SMALL COMPANY SERIES NY |
1.288.486 | 0,363% | |
| THE METHODIST HOSPITAL | 190.500 | 0,054% | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,002% | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS | 251.300 | 0,071% | |
| 0,011% | |||
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 25.901 |
0,007% | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | |||
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | |
| UBS (IRL) ETF PLC | 43.842 | 0,012% | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,033% | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0,015% | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0,030% | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,000% | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,020% | |
| UNITED CHURCH FUNDS INC | 88.800 | 0,025% | |
| IUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0,110% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- FONDS |
227.595 | 0,064% | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,022% | |
| IUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- | 5.966 | 0,002% | |
| UNIVERSAL-FONDS UTAH STATE RETIREMENT SYSTEMS |
15.148 | 0,004% | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,383% | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | |
| 13.115 | 0,004% | ||
| VANGUARD ESG INTERNATIONAL STOCK ETF |
T
| EMARKET SDIR |
|---|
| CERTIFIED |
| Friday Bronder B | |||
|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % sul C.S. |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0.095% | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX | 22:444 | 0.006% | |
| TRUST | |||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,043% | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.117.339 | 0.315% | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | |||
| VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,163% | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,007% | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0,001% | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0.001% | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0.007% | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,027% | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,658% | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,026% | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26-678 | 0,008% | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 1-069 | 0,000% | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0,008% | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,005% | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,014% | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0,004% | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL | 14.838 | 0,004% | |
| SMALLCAP EQUITY FUND WISDOMTREE EUROPE HEDGED EQUITYFUND |
971.095 | 0,274% | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,016% | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1 013 | 0,000% | |
| 22.060 | 0,006% | ||
| 38-518 | 0,011% | ||
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 711.102 | 0.201% | |
| 47.551 | 0.013% | ||
| 14.376 | 0.004% | ||
| 978-075 | 0,276% | ||
| 849 | 0,000% | ||
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND WISDOMTREE INTERNATIONAL EQUITYFUND FUND WISDOMITREE INTERNATIONAL HIGH DIVIDEND FUND WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF |
279.611.010 78,845%


Bilancio d'esercizio di Piaggio & C. S.p.A. al 31 dicembre 2023 e destinazione dell'utile di esercizio:: Approvazione del Bilancio d'esercizio di Piaggio & C. S.p.A., al 31 dicembre 2023, esame della relazione degli Amministratori sulla gestione dell'esercizio 2023 e delle relazioni del Collegio Sindacale e della Società di Revisione del bilancio consolidato al 31 dicembre 2023 del Gruppo Piaggio; delibere inerenti e conseguenti;
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611.010 | 100% | 78,845%) |
| Azioni per le quali il RD dispone di istruzioni per | |||
| Il'OdG in votazione (quorum deliberativo): | 279.611.010 | 100,000% | 78,845% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0.000% | 0,000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 275.406.501 | 98.496% | 77,660% |
| Contrario | 3.726.753 | 1,333%' | .051% |
| Astenuto | 173.256 | 0.062% | 0.049% |
| Non Votante | 304.500 | 0.109% | 0.086% |
| Totali | 279.611.010 | 100,000% | 78.845% |

Bilancio d'esercizio di Piaggio & C . S.p.A. al 31 dicembre 2023 e destinazione dell'utile di estatione dell'anoreiri Bilanco di esercizio di Flaggio & C. S.p.A. di Sil dicente degli Arministrato in Armistono del Arilanoio considirato, del Allianoio, consellato, di 3 a esercia di Floggio & C, S.P., al J alcembre 2023, Csane Galla Revisone del bilanco consolidato del bilancio consolidato di 31 dicembre 2023 del Gruppo Piaggio; delibere inerenti e conseguenti;
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND |
118.715 | 0,042% | F | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | F | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 29.700 | 0.011% | F | |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0,001% | F | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | F | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN | 294.229 | 0, 105% | F | |
| FUNDAMENTALINTERNA | 270.427 | 0,097% | F | |
| ALLIANZ GLOBAL INVESTORS FUND | 70.000 | 0,025% | F | |
| ALLANZ ITALIA 50 SPECIAL | 14.252 | 0,005% | F | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 134.232 | 0,048% | F | |
| ALLIANZGI-FONDS DSPT | 51.400 | 0,018% | F | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF |
70.264 | 0,025% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP | 2.048 | 0,001% | F | |
| EQUITY ETF AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL |
2.549 | 0,001% | F | |
| EQUITY ETF | 214 | 0.000% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 4.830 | 0,002% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 25.813 | 0,009% | F | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB |
6.348 | 0,002% | F | |
| 10 | 0,000% | F | ||
| AMUNDI PATRIMOINE | 337.630 | 0,121% | F | |
| AMUNDI PATRIMOINE PEA | 409.254 | 0, 1 46% | F | |
| ANIMA CRESCITA ITALIA | 70.000 | 0,025% | F | |
| ANIMA CRESCITA ITALIA NEW | 154.843 | 0,055% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 1.330.474 | 0,476% | F | |
| ANIMA INIZIATIVA ITALIA | 310.852 | 0,111% | F | |
| ANIMA ITALIA | 74.700 | 0,027% | F | |
| ANNE RAY FOUNDATION AQR DELPHILONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF |
19.528 | 0,007% | F | |
| AQR CAPITAL MANAGEMENT LLC | 431.000 | 0, 154% | F | |
| Arca Azioni Italia | 1.000.000 | 0,358% | E | |
| Arca Economia Reale Bilanciato Italia 30 | 0,000% | F | ||
| ARIZONA STATE RETIREMENT SYSTEM | 402 94.744 |
0,034% | F | |
| ARROWST (DE) L/S FD NON FLIP | 205.115 | 0.073% | F | |
| ARROWST CAP GL EQ AEF NON FLIP | 0,014% | E | ||
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0,014% | F | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40.115 | |||
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | 5.437 | 0.002% | F |


| Anagrafica | CF/RI | AZIONI | 70 SU VÜlalili | VOLC |
|---|---|---|---|---|
| ARROWSTREET. CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMITED |
268.959 | 0,096% | F | |
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0,008% | F | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | F | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | F | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | F | |||
| EAFE ALPHA EXTENSION FUND | 29.725 | 0,011% | ||
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY | 9.506 | 0.003% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND | 57.237 | 0,020% | F | |
| (CAYMAN) ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND |
40.422 | 0,014% | F | |
| (CAYMAN) LIMITED | ||||
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | E | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,023% | F | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive Credit Suisse Funds AG |
21.733 | 0,008% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50.000 | 0,018% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 1 4.800 | 0,005% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | F | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | F | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,615% | F | |
| BETURN | 147.167 | 0,053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.07 4 | 0,011% | F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,032% | F | |
| CAIXABANK ASSEI MANAGEMENT, SGIIC, S.A. | 145.000 | 0,052% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0,056% | F | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | F | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | F | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | F | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | F | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | F | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD., | 1.738 | 0.001% | F | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | da | 0,000% | F | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | F | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0.000% | F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | F | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | F | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,325% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES | 3.374 | 0,001% | F | |
| LIMITED | ||||
| COLANINNO MATTEO | CLNMTT70R16E897P | 125.000 | 0.045% | F |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | 0,045% | F |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | F F |
|
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTIÓN PLAN MÁSTER TRUST | 86.088 | 0,031% |
| Voto % su votanti Azioni CF/PI Anagratica CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET 0:000% 1.384 CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD 0.03178 85.497 PORTFOLIO D CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN F 0.000% રેત્વે રે SOLUTIONS LTD F 0,023% 64.936 CREDIT SUISSE INDEX FUND (LUX) F 0,042% 117.676 CRELAN INVEST BALANCED F 0,005% 13.782 CRELAN INVEST CONSERVATIVE F 0,020% 56.093 CRELAN INVEST DYNAMIC F 0,004% 12.102 CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds F 0,003% 7.916 AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus F 0,007% 19.288 Credit Suisse Funds AG F 0,000% 402 D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C F 0,001% 1.902 D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. F 0,002% 6.558 DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST F 7,095% 19.838.938 01501320442 DIEGO DELLA VALLE & C. SRL DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER F 0,007% 18.400 F 0,010% 28.926 ENSIGN PEAK ADVISORS INC F 0,015% 42.835 EURIZON AM RILANCIO ITALIA TR F 0,086% 241.543 EURIZON AZIONI ITALIA F 0,375% 1.048.410 EURIZON AZIONI PMI ITALIA F 0,062% 174.379 EURIZON CAPITAL SGR-PIR ITALIA 30 E 0,105% 294.030 EURIZ®N FUND F 0,018% 51.540 EURIZON PIR ITALIA AZIONI E 0,089% 248.100 EURIZON PROGETTO ITALIA 20 F 0,255% 714.291 EURIZON PROGETTO ITALIA 40 F 0,111% 310.787 EURIZON PROGETTO ITALIA 70 F 0,016% 43.964 FIDELITY CONCORD STREET TRUST: FIDELITY SALINTERNATIONAL S FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX F 0,032% 89.491 FUND F 0,792% 2.215.500 FIDEURAM COMPARTO PIANO AZIONI ITALIA F 0,055% 154.177 FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 F 0,157% 438.129 FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 F 0,009% 25.000 FIDEURAM TALIA F 0,038% 106.900 FIRST CHURCH OF CHRIST SCIENTIST FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT F 0,019% 54.094 INDEX FUND F 550.000 0,197% FONDITALIA F 0,001% 2.626 FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST F 0,079% 219.657 FORSTA AP - FONDEN F 0,065% 182.816 FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES F 0,013% 35.200 FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA F 0,014% 37.887 GESTIELLE PRO ITALIA F 0,048% 135.000 GLOBAL PORTFOLIO F 0,000% 170 GOTHAM CAPITAL V LLC F 0.063% 175.100 GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND F 0,136% 381.318 HAWTHORN EQ LLC F 0,111% 310.801 HKL II LLC F 0,077% 214.411 HRW TESTAMENTARY TRUST NO. 12. F 0,038% 105.877 HRW TESTAMENTARY TRUST NO. 8. F 0,206% 575.823 HSBC EUROPE SMALL & MID CAP F 0,004% 12.256 IAM NATIONAL PENSION FUND F 0,010% 29.245 IBM 401 (K) PLUS PLAN TRUST F 0,061% 170.600 ILLINOIS STATE BOARD OF INVESTMENT F 64,135% 179.328.621 07918540019 IMMSI S.P.A. F 0,003% 7.529 ING DIRECT FONDO NARANJA CONSERVADOR FI F 0,025% 71.163 |
1 57 | ||
|---|---|---|---|
| E 0,018% 49.601 |
ING DIRECT FONDO NARANJA DINAMICO FI | ||
| ING DIRECT FONDO NARANJA MODERADO FI F 0,010% 27.000 INTERFUND SICAV |

| NU Anagrafica |
CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | ||||
| DIMENSIONS GROUP INC | 851.775 | 0,305% | F | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | E | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION - DANMARK AKKUMULERENDE KL |
27.515 | 0,010% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 8.442 | 0,003% | F | |
| ALLOCATION EURO - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
5.181 | 0,002% | F | |
| ALLOCATION NORGE - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
||||
| ALLOCATION SVERIGE - ACCUMULATING KL | 9.086 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,010% | F | |
| INVESTITORI EUROPA | 78.080 | 0.028% | F | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | F | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | F | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0, 204% | F | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,005% | F | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0.127% | F | |
| ISHARES VII PUBLIC LIMITED COMPANY | 143.558 | 0,051% | F | |
| Janus HENDERSON EUROPEAN SMALLER COMPANIES FUND JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER |
1.358.668 | 0,486% | F | |
| COMPANIES FUND | 2 409 .330 | 0,862% | F | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0,014% | F | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | F | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | F | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | F | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | F | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | F | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | F | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | F | |
| KBC EQUITY FUND SRI WORLD | 16-787 | 0,006% | F | |
| KBC Equity Fund World | 8.873 | 0,003% | E F |
|
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0,037% | ||
| KBC Instit Invstors Family Enterprises D8I-RDT | 25.536 | 0.009% | F | |
| KBC VERZEKERINGEN NV | 400.000 | 0,143% | F F |
|
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | E | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | F | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0,012% | F | |
| LEADERSEL P.M.I LEGAL & GENERAL ICAV. |
143.343 8.588 |
0,051% 0,003% |
F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | F | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168 589 | 0,060% | F | |
| LGT SELECT FUNDS | 10.037 | 0.004% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.071 | 0,007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0,004% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | F | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | F | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP . | 437.200 | 0,156% | F | |
| LUPOTIO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0.005% | F | |
| LYXOR FISE ITALIA MID CAP PIR | 361.152 | 0,129% | F | |
| IM INTERNATIONAL EQUITY FUND | 1.071 | 0,000% | F | |
| MAIN I - UNIVERSAL - FONDS | 419.894 | 0.150% | F | |
| SANI NII 1846010 ALTEDNATIVE DICY DDEA ALA | 1 076 | 00019 |

| Voto | |||
|---|---|---|---|
| Anagrafica | Azioni CF/PI |
% su votanti | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0:000% | F |
| DIVERSIFIED RISK P REMIA PROGRESSIVE | |||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0,006% | F |
| SMALL CAP EQUITY POOLE MARGARET A. CARGILL FOUNDATION |
45.200 | 0,016% | F |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 16.057 | 0,006% | F |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | F |
| 1.287.829 | 0,461% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.977.957 | 0,707% | F |
| MELCHIOR SELECTED TRUST | 146.600 | 0,052% | F |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 22.200 | 0,079% | F |
| MERCER GE INTERNATIONAL EQUITY FUND | 1.880.024 | 0,672% | F |
| MERCER QIF COMMON CONTRACTUAL FUND. | 34.129 | 0,012% | F |
| MERCER QIF FUND PLC | 0,021% | F | |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,232% | F |
| MERCHANT ADVENTURE FUND L.P | 650.000 | F | |
| MERCY INVESTMENT SERVICES INC | 51.920 | 0,019% | F |
| MI FONDS KTO | 65.600 | 0,023% | F |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 6.768 | 0,002% | |
| MUL- LYX FISE IT ALL CAP PIR | 10.423 | 0.004% | F |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 15.861 | 0.006% | F |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 500.000 | 0,179% | F |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 285.200 | 0,102% | F |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 1.003.005 | 0,359% | F |
| INATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | F |
| NEF RISPARMIO ITALIA | 160.529 | 0,057% | F |
| INFS LIMITED | 7.254 | 0,003% | F |
| INON US EQUITY MANAGERS PORTFOLIÓ 1 ERISA | 23.100 | 0,008% | F |
| 990-929 | 0,354% | F | |
| NORGES BANK INORTHERN IRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE |
9.704 | 0,003% | F |
| MAR NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST |
126.449 | 0,045% | F |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | F |
| PANAGORA ASSET MANAGEMENT INC | 1.285 | 0,000% | F |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0,009% | F |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67-610 | 0,024% | F |
| 5.605 | 0,002% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 571-528 | 0,204% | F |
| PRICOS | 1 4.820 | 0,005% | F |
| PRICOS DEFENSIVE | 86.873 | 0,031% | F |
| PRICOS SRI | 8.089 | 0,003% | F |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 6.996 | 0,003% | F |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 65.219 | 0.023% | F |
| FUBLIC EMPLOYEES RELIBEMENT SYSTEM OF OHIO | 1.288.888 | 0,461% | F |
| QUADRIGE EUROPE MIDCAPS | 308.888 | 0,110% | F |
| QUADRIGE MULTICAPS EURÓPE | 48.888 | 0.017% | F |
| QUADRIGE PATRIMOINE | 205.842 | 0,074% | F |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 0,017% | F | |
| RAMI PARTNERS LLC | 47.003 | 0.026% | F |
| ROBERT BOSCH GMBH | 72.750 | F | |
| ROBIN I-FONDS | 135.587 | 0,048% | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | F |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0,006% | F |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | F |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | F |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | F |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0.137% | E |
| SBC MASTER PENSION TRUST | 21.435 | 0,008% | F |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | F |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F |
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 45.546 | 0,016% | F |
| FUND SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF |
329.963 | 0.118% | F |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% | F |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SGD GE 2014-1 | 11.087 | 0.004% | F | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0.000% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
728 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS CONTRIBUTORY PENSION FUND |
13.905 | 0,005% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS, | 2.983 | 0,001% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.888 | 0,001% | F | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,030% | F | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | F | |
| SSB MSCIEAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21-314 | 0,008% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0.036% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | F | |
| STAR FUND | 15.300 | 0.005% | F | |
| STAR FUND | 1.425.000 | 0,510% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0.009% | F | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | F | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | F | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,004% | F | |
| STICHTING PHILIPS PENSIOENFORDS | 10.580 | 0,004% | F | |
| STICHTING SHELL PENSIOENFONDS | 66.777 | 0,024% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | F | |
| SUEBIA-FONDS | 250.000 | 0,089% | E | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,429% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0.095% | F | |
| TEXTRON INC MASTER TRUST | 301 .700 | 0,108% | F | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.11 | 0,002% | F | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | F | |
| THE METHODIST HOSPITAL | 190.500 | 0.068% | F | |
| THE MONETARY AUTHORITY OF SINGAPORE THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS |
8.400 | 0,003% | F | |
| TRUS | 251.300 | 0.090% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0.014% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO |
25.901 2.198 |
0,009% 0,001% |
F F |
|
| UBS (IRL) ETF PLC | 43.842 | 0,016% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | F | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0,019% | F | |
| Ul-Fonds Bav RBI AKTIEN | 107.150 | 0.038% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | F | |
| UNION INVESTMENT PRIVATFONDS GMBH UNITED CHURCH FUNDS INC |
70.079 | 0,025% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 88.800 391.500 |
0.032% 0, 140% |
F F |
|
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK A1- | 227.595 | 0,081% | F | |
| FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B |
||||
| HAUPFONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- |
79.755 | 0,029% | F | |
| UNIVERSAL-FONDS | 5.966 | 0,002% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0,005% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1,357.885 | 0,486% | E | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | 0,005% | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0,121% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22.444 | 0,008% | F |

:157
| 1517 | ||||
|---|---|---|---|---|
| CF/PI | Azioni | % su votanti | Voto | |
| Anagrafica VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
154.225 | 0,055% | E | |
| INTERNATIONAL STOCK MARKET INDEX TRUST | ||||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.117.339 | 0.400% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II | F | |||
| VANGUARD FISE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,207% | ||
| WANGUARD FISE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0.009% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | E | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | E | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0.032% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 1.089 | 0.000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0,010% | F | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0,005% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL | 14.838 | 0.005% | F | |
| SMALLCAP EQUITY FUND | ||||
| WISDOMIREE EUROPE HEDGED EQUITYFUND | 971.095 | 0.347% | F | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | F | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | F | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 711.102 | 0,254% | F | |
| FUND | 47.551 | 0,017% | F | |
| WISDOMITREE INTERNATIONAL HIGH DIVIDEND FUND | 14.376 | 0,005% | F | |
| WISDOMITREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 978.075 | 0.350% | F | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 849 | 0,000% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 0.215% | C | ||
| AFER ACTIONS PME | 600.527 | C | ||
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0,645% 0,141% |
C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | C | ||
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,041% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0.009% | C | |
| BNPP MODERATE - FOCUS ITALIA | 236-079 | 0,084% | ||
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 | 0,197% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0.036% | A | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | A | |
| IMEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304 500 | 0,109% | NV |
279.611.010 10 100%
C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C -


Bilancio d'esercizio di Piaggio & C. S.p.A. al 31 dicembre dell'utile di esercizio;: Proposta di destinazione dell'Uille di esercizio. Delibere inerenti e conseguenti.
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611.010 | 100% | 78,845% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
279.611.010 | 100,000% | 78.845% |
| Azioni per le quali il RD | |||
| Inon disponeva di istruzioni: | 0,000% | 0,000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 279.204.510 | 99,855% | 78,731% |
| Contrario | 0,000% | 0,000% | |
| Astenuto | 102.000 | 0.036% | 0.029% |
| Non Votante | 304.500 | 0.109% | 0.086% |
| Totali | 279.611.010 | 100.000% | 78.845% |

Bilancio d'esercizio di Piaggio & C. S.p.A. al 31 dicembre 2023 e destinazione dell'utile di esercizio; Proposta di destinazione dell'utile di esercizio. Delibere inerenti e conseguenti.
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Monte Titoli S.p.A. nella persona della Dottoressa Ambrosini Claudia
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND |
118.715 | 0.042% | F | |
| 16.182 | 0,006% | F | ||
| ABU DHABI PENSION FUND ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO |
29.700 | 0,011% | F | |
| 600.527 | 0,215% | F | ||
| AFER ACTIONS PME | 1.523 | 0,001% | F | |
| ALASKA PERMANENT FUND CORPORATION ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND |
450.000 | 0,161% | F | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN | 294.229 | 0,105% | F | |
| FUNDAMENTALINTERNA | E | |||
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,097% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | ||
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0,005% | F | |
| ALLANZGI-FONDS DSPT | 134.232 | 0,048% | F | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,018% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL | 2.549 | 0,001% | F | |
| EQUITY ETF | 214 | 0,000% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 4.830 | 0,002% | E | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 25.813 | 0,009% | F | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | ||||
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | F | |
| AMUNDI PATRIMOINE | 10 | 0.000% | F | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0,121% | F | |
| ANIMA CRESCITA ITALIA | 409.254 | 0, 146% | F | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,025% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | F | |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | F | |
| ANIMA ITALIA | 310.852 | 0,111% | F | |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | F | |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | 19.528 | 0,007% | F | |
| AQR CAPITAL MANAGEMENT LLC | 431.000 | 0,154% | F | |
| Arca Azioni Italia | 1.000.000 | 0,358% | F | |
| Arca Economia Reale Bilanciato Italia 30 | 402 | 0,000% | E | |
| ARIZONA STATE RETIREMENT SYSTEM | 94.744 | 0,034% | F | |
| ARROWST (DE) L/S FD NON FLIP | 205.115 | 0,073% | F | |
| ARROWST CAP GL EQ AEF NON FLIP | 38.830 | 0.014% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 40.115 | 0,014% | F | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | ||||
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | 5.437 | 0.002% | F |

| Anagratica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND IMITED |
268.959 | 0,096% | F | |
| ARROWSTREET CAPITAL , NEWBURY FUND LIMITED | 20.974 | 0,008% | F | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0.006% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | F | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | F | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0, 171% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | F | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY. | 9.506 | 0,003% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,014% | F | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | F | |
| AS INTL EQ EAFE AEF NON FLIP | 64-645 | 0,023% | F | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive Credit Suisse Funds AG |
21.733 | 0,008% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50.000 | 0,018% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 14.800 | 0.005% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0.143% | F | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | F | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0.615% | F | |
| BETURN | 147-167 | 0,053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.074 | 0,011% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0,645% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,141% | E | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,041% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0.009% | F | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% | F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,032% | F | |
| CAIXABANK ASSET MANAGEMENT, SGIIC. S.A. | 1 45.000 | 0,052% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0,056% | F | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | F | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | F | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | -17 | 0,000% | E | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | F | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | F | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 1.738 | 0,001 % | F | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | વેત્ત્વ | 0,000% | F | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | E | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | F | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0.000% | F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | F | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | F | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | F | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,325% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | F |
| hibited | EMARKET SDIR |
|---|---|
| CERTIFIED | |
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| COLANINNO MATTEO | CLNMTT70R16E897P | 125.000 | 0.045% | F |
| GOLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | 0.045% | F |
| COLLEGE RETIREMENT EQUILIES FUND | 133.362 | 0.048% | F | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0,031% | F | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET | 1.384 | 0,000% | F | |
| CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD |
85.497 | 0,031% | F | |
| PORTFOLIO D CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN |
0,000% | F | ||
| SOLUTIONS LTD | 395 | |||
| CREDIT SUISSE IMDEX FUND (LUX) | 64.936 | 0,023% | F | |
| CRELAN INVEST BALANCED | 117.676 | 0,042% | F | |
| CRELAN INVEST CONSERVATIVE | 13.782 | 0,005% | F | |
| CRELAN INVEST DYNAMIC | 56.093 | 0,020% | F | |
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12.102 | 0,004% | F | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds | 7.916 | 0,003% | F | |
| AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus |
19.288 | 0,007% | F | |
| Credit Suisse Funds AG | F | |||
| D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L C | 402 | 0.000% | ||
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. | 1.902 | 0,001% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | F | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 7,095% | F |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18-400 | 0,007% | F | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0,010% | F | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0,015% | F | |
| EURIZON AZIONI ITALIA | 241.543 | 0.086% | F | |
| EURIZON AZIONI PMI ITALIA | 1.048.410 | 0,375% | F | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | F | |
| EURIZON FUND | 294.030 | 0,105% | F | |
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,018% | F | |
| EURIZON PROGETTO ITALIA 20 | 248.100 | 0,089% | F | |
| EURIZON PROGETTO ITALIA 40 | 714.291 | 0,255% | F | |
| EURIZON PROGETTO ITALIA 70 | 310.787 | 0,111% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAL INTERNATIONAL S | 43.964 | 0,016% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | 89.491 | 0,032% | F | |
| FUND FIDEURAM COMPARTO PIANO AZIONI ITALIA |
2.215.500 | 0,792% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0,157% | F | |
| FIDEURAM ITALIA | 25.000 | 0,009% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 106.900 | 0.038% | F | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 54.094 | 0,019% | F | |
| INDEX FUND | 550.000 | 0,197% | F | |
| FONDITALIA FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST |
2.626 | 0,001% | F | |
| 219.657 | 0,079% | F | ||
| FORSTA AP - FONDEN FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES |
182.816 | 0,065% | F | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,013% | E | |
| GESTIELLE PRO ITALIA | 37.887 | 0.014% | F | |
| GLOBAL PORTFOLIO | 135.000 | 0,048% | F | |
| GOTHAM CAPITAL V LLC | 170 | 0,000% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | F | |
| HAWTHORN EQ LLC | 381-318 | 0,136% | F | |
| HKLILLC | 310.801 | 0.111% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | F | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | F | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,206% | F | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,004% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | F | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0,061% | F |


| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| 17 1200 IMMSI S.P.A. |
07918540019 | 179.328.621 | 64,135% | F |
| IMG DIRECT FONDO NARAÑJA CONSERVADOR FI | 7.529 | 0,003% | F | |
| ING:DIRECT FONDO NARANJA DINAMICO FI | 71.163 | 0,025% | F | |
| ING DIRECT.FONDO NARANJA MODERADO FI | 49.601 | 0.018% | F | |
| INTERFUND SICAV | 27.000 | 0,010% | F | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
851.775 | 0,305% | F | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | F | |||
| ALLOCATION - DANMARK AKKUMULERENDE KL | 27.515 | 0,010% | ||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION EURO - ACCUMULATING KL |
8.442 | 0,003% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION NORGE - ACCUMULATING KL |
5.181 | 0,002% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION SVERIGE - ACCUMULATING KL |
9.086 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,010% | E | |
| INVESTITORI EUROPA | 78.080 | 0,028% | F | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0.174% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | F | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | F | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,204% | F | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0.005% | F | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,127% | E | |
| ISHARES VII PUBLIC LIMITED COMPANY | 143.558 | 0,051% | F | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1-358.668 | 0,486% | E | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER COMPANIES FUND |
2.409.330 | 0,862% | F | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0,014% | E | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | F | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0.175% | F | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | E | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | F | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0.193% | F | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | F | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | F | |
| KBC EQUITY FUND SRI WORLD | 16.787 | 0,006% | F | |
| KBC Equity Fund World | 8.873 | 0.003% | F | |
| KBC INSTIFD EURO EQTY SM & MED CAPS | 103.675 | 0,037% | F | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0.009% | F | |
| KBC VERZEKERINGEN NV | 400.000 | 0,143% | F | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | F | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | F | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0,012% | F | |
| LEADERSEL P.M.I | 143.343 | 0,051% | F | |
| LEGAL & GENERAL ICAV. | 8.588 | 0,003% | E | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | E | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | F | |
| LGT SELECT FUNDS | 10.037 | 0,004% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0,007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0,004% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | F | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | F | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP, | 437.200 | 0,156% | F | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| EVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,005% | F |
AUBI
| Anagrafica LYXOR FTSE ITALIA MID CAP PIR |
CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| 361.152 | 0,129% | E | ||
| 1.071 | 0,000% | E | ||
| M INTERNATIONAL EQUITY FUND | 419.894 | 0,150% | F | |
| MAIN 1 - UNIVERSAL - FONDS | 1.976 | 0,001% | PF | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC |
F | |||
| DIVERSIFIED RISK P REMIA PROGRESSIVE | 312 | 0.000% | ||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16-637 | 0,006% | F | |
| SMALL CAP EQUITY POOLE | 45.200 | 0,016% | F | |
| MARGARET A. CARGILL FOUNDATION | 16.057 | 0,006% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 2.297.695 | 0,822% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 1.287.829 | 0,461% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.977.957 | 0,701% | F | |
| MELCHIOR SELECTED TRUST | 146.600 | 0,052% | F | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 222.200 | 0,079% | E | |
| MERCER GE INTERNATIONAL EQUITY FUND | 1.880.024 | 0,672% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 34.129 | 0,012% | F | |
| MERCER QIF FUND PLC | 58.794 | 0,021% | F | |
| MERCER UCITS COMMON CONTRACTUALFUND | 650.000 | 0,232% | F | |
| MERCHANT ADVENTURE FUND L.P | 51.920 | 0,019% | E | |
| MERCY INVESTMENT SERVICES INC. | 551.928 | 0,197% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 65.600 | 0,023% | F | |
| MI FONDS K10 | 6.768 | 0,002% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND 82 | 10.423 | 0,004% | E | |
| MUL-LYX FTSE IT ALL CAP PIR | 15.861 | 0,006% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,179% | F | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 285.200 | 0, 102% | F | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 1.003.005 | 0,359% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 16.221 | 0,006% | F | |
| natwest st james's Place GlobalSmaller ComPanies unit trust | 160.529 | 0,057% | F | |
| NEF RISPARMIO ITALIA | 7.254 | 0,003% | F | |
| NES LIMITED | 23.100 | 0,008% | F | |
| NON US EQUITY MANAGERS PORTFOLIO 1 ERISA | 990.929 | 0,354% | F | |
| NORGES BANK NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE |
9.704 | 0,003% | F | |
| MAR | 126.449 | 0,045% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 5.237 | 0,002% | F | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 1.285 | 0,000% | F | |
| PANAGORA ASSET MANAGEMENT INC | 25.000 | 0,009% | F | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 67-610 | 0,024% | F | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 0,002% | F | ||
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,204% | E | |
| PRICOS | 571.528 14.820 |
0,005% | F | |
| PRICOS DEFENSIVE | 86.873 | 0,031% | F | |
| PRICOS SRI | 8.089 | 0.003% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 6.996 | 0,003% | E | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 65.219 | 0,023% | F | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 0,461% | F | ||
| QUADRIGE EUROPE MIDCAPS | 1 .288.888 308.888 |
0,110% | F | |
| QUADRIGE MULTIC APS EUROPE | 0,017% | F | ||
| QUADRIGE PATRIMOINE | 48.888 | F | ||
| QUONIAM FUNDS SELECTION SIC AV - EUROPEAN EQUITIES | 205.842 | 0,074% | F | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | E | |
| ROBERT BOSCH GMBH | 72.750 | 0,026% | F | |
| BOBIN I-FONDS | 135.587 | 0,048% | F | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457 406 | 0,164% | ||
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0,006% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | F | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | F | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | F | |
| 0,137% | F | |||
| SANTANDER SMALL CAPS EUROPA FI | 384.161 21.435 |
0,008% | F |

| Anagrafica | CF/PI Azioni |
% su votanti | Voto | |
|---|---|---|---|---|
| ISCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
45.546 | 0,016% | F | |
| SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329.963 | 0.118% | E | |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% | F | |
| SGD GE 2014-1 | 11.087 | 0,004% | F | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
728 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS CONTRIBUTORY PENSION FUND |
13.905 | 0.005% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.983 | 0,001% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.868 | 0.001% | F | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,030% | F | |
| SSB MSCI ACWEEX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | F | |
| ISSB MSCIEAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0.036% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | F | |
| STAR FUND | 15.300 | 0,005% | F | |
| STAR FUND | 1-425.000 | 0,510% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIÓ | 24.484 | 0.009% | F | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0.010% | E | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | F | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,004% | F F |
|
| STICHTING PHILIPS PENSIOENFONDS | 10.580 | 0,004% | F | |
| STICHTING SHELL PENSIOENFONDS | 66.777 | 0,024% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND SUEBIA-FONDS |
1 4.543 250.000 |
0,005% 0.089% |
F | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,429% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0.095% | F | |
| TEXTRON INC MASTER TRUST | 301.700 | 0.108% | F | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.111 | 0.002% | F | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | F | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | F | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,003% | F | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS |
251.300 | 0,090% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0.01 4% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0,009% | F | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | F | |
| UBS (IRL) ETF PLC | 43.842 | 0,016% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | F | |
| ubs Lux Fund Solutions | 53.326 | 0.019% | F | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0.038% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | F | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,025% | F | |
| UNITED CHURCH FUNDS INC | 88.800 | 0.032% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0,140% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK A1- FONDS |
227.595 | 0,081% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBY-NW- UNIVERSAL-FONDS |
5-966 | 0,002% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0,005% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,486% | F |
| ిక | 165 | |||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0.001% | F | |
| 13.115 | 0,005% | F | ||
| VANGUARD ESG INTERNATIONAL STOCK ETF | 337.627 | 0. 12. 78 | F | |
| VANGUARD EUROPEAN STOCK INDEX FUND VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX |
22.444 | 0,008% | F | |
| TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,055% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
1.117.339 | 0,400% | F | |
| VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,207% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | F | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | F | |
| VIFICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 1.069 | 0,000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0,010% | E | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0.005% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14838 | 0,005% | F | |
| WISDOMIREE EUROPE HEDGED EQUITYFUND | 971.095 | 0,347% | E | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | E | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22-060 | 0,008% | F | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,01 4% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
711.102 | 0,254% | F | |
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0,017% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0,005% | F | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0,350% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0,000% | F | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0,036% | A | |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304.500 | 0,109% | NV |
279.611.010 10 100%


Relazione sulla politica in materia di remunerazione e sui compensi corrisposti: Approvazione di sensi dell'art. 123-ter, comma 3-ter, del D. Lgs. n. 58/1998;
| n. azioni | % azioni rappresentate in | % del Capitale Sociale |
|---|---|---|
| 279 611.010 | 100% | 78,845% |
| 279.611.010 | 100,000% | 78,845% |
| 0,000% | 0,000% | |
| assemblea |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 180.511.527 | 64.558% | 50,901% |
| Contrario | 78.854.045 | 28.201% | 22,235% |
| Astenuto | 19.940.938 | 7,132% | 5,623% |
| Non Votante | 304.500 | 0.109% | 0.086% |
| Totali | 279.611.010 | 100,000% | 78,845% |

Relazione sulla politica in materia di remunerazione e sui compensi corrisposti: Approvazione della politica di remunerazione ai sensi dell'art, 123-ter, comma 3-ter, del D. Lgs. n. 58/1998;
| CF/Pl | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica | CLNMTT70R16E897P | 125.000 | 0,045% | F |
| COLANINNO MATTEO | CLNMHL76S23E897N | 125.000 | 0,045% | F |
| COLANINNO MICHELE FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
0,019% | F | ||
| INDEX FUND | 54.094 | |||
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | F |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% | F | |
| INATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0.006% | F | |
| INORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9.704 | 0,003% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0.045% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0,005% | F | |
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND | 118.715 | 0,042% | C | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | C | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIÓ | 29.700 | 0,011% | C | |
| AFER ACTIONS PME | 600.527 | 0,215% | C | |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0.001% | C | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | C | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN FUNDAMENTALINTERNA |
294.229 | 0,105% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,097% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | C | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEII | 14.252 | 0,005% | C | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,048% | C | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,018% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0.025% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP | 2.048 | 0,001% | C | |
| EQUITY ETF AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL |
2.549 | 0,001% | C | |
| EQUITY ETF | 214 | 0,000% | C | |
| AMERICAN HEART ASSOCIATION. INC. AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND |
4.830 | 0,002% | C | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | C | |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | C | |
| 10 | 0.000% | C | ||
| AMUNDI PATRIMOINE | 337-630 | 0,121% | C | |
| AMUNDI PATRIMOINE PEA | 409-254 | 0,146% | C | |
| ANIMA CRESCITA ITALIA | 70.000 | 0,025% | C | |
| ANIMA CRESCITA ITALIA NEW | 154.843 | 0.055% | C | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY ANIMA INIZIATIVA ITALIA |
1.330.474 | 0,476% | C |


| Anagrafica | CF/PI | Azioni | % su votantı | Voto |
|---|---|---|---|---|
| ANIMA ITALIA | 310.852 | 0,111% | C | |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | C | |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | ||||
| AQR CAPITAL MANAGEMENT ILC | 19.528 | 0,007% | C | |
| Arca Azioni Italia | 431.000 | 0,154% | C | |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0,358% | C | |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0,000% | C | |
| ARROWST (DE) L/S FD NON FLIP | 94.744 | 0,034% | C | |
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0,073% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0.014% | C | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40.11 5 | 0.01 4% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | 5.437 | 0,002% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND | ||||
| LIMITED | 268,959 | 0,096% | C C |
|
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0,008% | ||
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0.037% | C | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | C | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 29.725 | 0,011% | C | |
| EAFE ALPHA EXTENSION FUND | C | |||
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY- ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND |
9.506 | 0,003% | ||
| ICAY. | 1-142 | 0,000% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,01 4% | C | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | C | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,023% | C | |
| AXA Vorsorge Fonds II Equifies Global Markets Small Cap Passive | 21,733 | 0,008% | C | |
| Credit Suisse Funds AG | ||||
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50.000 | 0,018% | C | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 1 4.800 | 0,005% | C | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | C | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | C | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | C | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0.127% | C | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0.615% | C | |
| BETURN | 147.167 | 0,053% | C | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23 508 | 0,008% | C | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | C | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,317% | C | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.07 4 | 0,011% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0,645% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,141% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,041% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0,009% | C | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% | C | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,032% | C | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 1 45.000 | 0,052% | C | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0.056% | C | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | C | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | C | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | C | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | C | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | C | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD. | 1.738 | 0.001% | C |

11412
| 169 | ||||
|---|---|---|---|---|
| CF/PI | Azioni | % su votanti | Voto | |
| Anagrafica CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND |
రత | 0,000% | C | |
| 1.450 | 0.001% 1. 22 b |
C | ||
| CC&L Q MARKET NEUTRAL FUND CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II |
10.898 | 6.00 4% | C | |
| CC &L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | C | |
| 317 | 0.000% | C | ||
| CCANDL ALTERNATIVE GLOBAL EQUITY | 1.140 | 0,000% | C | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 3.894 | 0,001% | C | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 33.982 | 0,012% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 71.256 | 0,025% | C | |
| CITY OF NEW YORK GROUP TRUST | 244.500 | 0,087% | C | |
| CLEARWATER INTERNATIONAL FUND | 910.000 | 0,325% | C | |
| CM-AM ENTREPRENEURS EUROPE CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES |
3.374 | 0,001% | C | |
| LIMITED | 133.362 | 0,048% | C | |
| COLLEGE RETIREMENT EQUITIES FUND | 86.088 | 0,031% | C | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | ||||
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET CAPITAL LP |
1.384 | 0,000% | C | |
| CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD PORTFOLIO D |
85.497 | 0,031% | C | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN | 395 | 0,000% | C | |
| SOLUTIONS LID | 64.936 | 0,023% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 117.676 | 0,042% | C | |
| CRELAN INVEST BALANCED | 13.782 | 0,005% | C | |
| CRELAN INVEST CONSERVATIVE | 56.093 | 0,020% | C | |
| CRELAN INVEST DYNAMIC | 12.102 | 0,004% | C | |
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds |
7.916 | 0,003% | C | |
| AG | C | |||
| CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus | 19.288 | 0,007% | ||
| Credit Suisse Funds AG D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C |
402 | 0,000% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. | 1.902 | 0,001% | C | |
| 6.558 | 0,002% | C | ||
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER |
18.400 | 0,007% | C | |
| 0,010% | C | |||
| ENSIGN PEAK ADVISORS INC | 28.926 | C | ||
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0,015% | C | |
| Eurizon Azioni IIalia | 241.543 | 0,086% | C | |
| EURIZON AZIONI PMI ITALIA | 1.048.410 | 0,375% | C | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | C | |
| EURIZON FUND | 294.030 | 0,105% | ||
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,018% | C | |
| EURIZON PROGETTO ITALIA 20 | 248.100 | 0,089% | C | |
| EURIZON PROGETTO ITALIA 40 | 7 4.291 | 0,255% | C | |
| EURIZON PROGETTO ITALIA /0 | 310.787 | 0.111% | C | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | 0,016% | C | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | 89.491 | 0,032% | C | |
| FUND FIDEURAM COMPARTO PIANO AZIONI ITALIA |
2.215.500 | 0,792% | C | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154-177 | 0,055% | C | |
| 438.129 | 0,157% | C | ||
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 25-000 | 0,009% | C | |
| FIDEURAM ITALIA | 106.900 | 0,038% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 550.000 | 0,197% | C | |
| FONDITALIA | 2.626 | 0,001% | C | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 219.657 | 0,079% | C | |
| FORSTA AP - FONDEN | 182.816 | 0,065%1 | C | |
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 35.200 | 0,013% | C | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 37.887 | 0,014% | C | |
| GESTIELLE PRO ITALIA | 135.000 | 0,048% | C | |
| GLOBAL PORTFOLIO | 170 | 0,000% | C | |
| GOTHAM CAPITAL V LLC | 0,063% | C | ||
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 |


| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| HAWTHORNEQ.LLC ; } } | 381.318 | 0,136% | C | |
| HKL TILLC | 310.801 | 0,111% | C | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | C | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0.038% | C | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,206% | C | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,004% | C | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0.010% | C | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0.061% | C | |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | 7.529 | 0,003% | C | |
| ING DIRECT FONDO NARANJA DINAMICO FI | 71.163 | 0,025% | C | |
| ING DIRECT FONDO NARANJA MODERADO FI | C | |||
| 49.601 | 0,018% | |||
| INTERFUND SICAV | 27.000 | 0,010% | C | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
851.775 | 0,305% | C | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0.001% | C | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | C | ||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 0,026% | |||
| ALLOCATION - DANMARK AKKUMULERENDE KL | 27.515 | 0,010% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION EURO - ACCUMULATING KL | 8.442 | 0,003% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION NORGE - ACCUMULATING KL | 5.181 | 0,002% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION SVERIGE - ACCUMULATING KL | 9.086 | 0.003% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,010% | C | |
| INVESTITORI EUROPA | 78.080 | 0,028% | C | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | C | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0,000% | C | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | C | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | C | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0.001% | C | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52,520 | 0,019% | C | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,204% | C | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,005% | C | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,127% | C | |
| ISHARES VII PUBLIC LIMITED COMPANY | 1 43.558 | 0,051% | C | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1.358.668 | 0,486% | C | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER COMPANIES FUND |
2.409.330 | 0,862% | C | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0,014% | C | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | C | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0.175% | C | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | C | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | C | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | C | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | C | |
| KBC EQUITY FUND SRI EUROZONE | 0,026% | C | ||
| 71-486 | ||||
| KBC EQUILY FUND SKI WORLD | 16.787 | 0,006% | C | |
| KBC Equity Fund World | 8.873 | 0,003% | C | |
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0.037% | C | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,009% | C | |
| KBC VERZEKERINGEN NV | 400.000 | 0.143% | C | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | C | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | C | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0.012% | C | |
| LEADERSEL P.M.I | 143.343 | 0,051% | C | |
| LEGAL & GENERAL ICAV. | 8.588 | 0.003% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | C | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | C | |
| LGT SELECT FUNDS | 10.037 | 0,004% | C | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0,007% | C |
| EMARKE SDIR |
|---|
| CERTIFIED |
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica | 78 | - 0.000% | Ci | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 11.305 | 0.004% | C | |
| LOS ANGELES CITY EMPLOYEES. RETIREMENT SYSTEM. LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI |
270 | 0.000% | OCT | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | C | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP. | 437.200 | 0,156% | C | |
| 13.390 | 0,005% | C | ||
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 361.152 | 0,129% | C | |
| LYXOR FTSE ITALIA MID CAP PIR | 1.07 1 | 0,000% | C | |
| M INTERNATIONAL EQUITY FUND | 419.894 | 0,150% | C | |
| MAIN I - UNIVERSAL - FONDS | 1.976 | 0,001% | C | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE, MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC |
C | |||
| DIVERSIFIED RISK P REMIA PROGRESSIVE | 312 | 0,000% | ||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0,006% | C | |
| SMALL CAP EQUITY POOLE | ||||
| MARGARET A. CARGILL FOUNDATION | 45.200 | 0,016% | C | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 16.057 | 0,006% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.287.829 | 0,461% | C | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,707% | C | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 146.600 | 0,052% | C | |
| MERCER GE INTERNATIONAL EQUITY FUND | 222,200 | 0,079% | C | |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.880.024 | 0,672% | C | |
| MERCER QIF FUND PLC | 34.129 | 0,012% | C | |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,021% | C | |
| 51.920 | 0,019% | C | ||
| MERCY INVESTMENT SERVICES INC METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH |
551.928 | 0,197% | C | |
| 65.600 | 0,023% | C | ||
| MI FONDS K10 | 6.768 | 0,002% | C | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 10.423 | 0,004% | C | |
| MUL- LYX FTSE IT ALL CAP PIR | 15-861 | 0,006% | C | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,179% | C | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 285.200 | 0, 102% | C | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 1.003.005 | 0,359% | C | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 160.529 | 0,057% | C | |
| NEF RISPARMIO ITALIA | 7.254 | 0,003% | C | |
| NES LIMILED | 23.100 | 0,008% | C | |
| NON US EQUITY MANAGERS PORTFOLIO I ERISA | 990 929 | 0,354% | C | |
| NORGES BANK | ||||
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | C | |
| PANAGORA ASSET MANAGEMENT INC | 1,285 | 0,000% | C | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25-000 | 0,009% | C | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0,024% | C | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% | C | |
| PRICOS | 57 .528 | 0,204% | C | |
| PRICOS DEFENSIVE | 14.820 | 0,005% | C | |
| PRICOS SRI | 86.873 | 0,031% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0,003% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 65.219 | 0,023% | C | |
| QUADRIGE EUROPE MIDCAPS | 1-288.888 | 0,461% | C | |
| QUADRIGE MULTICAPS EUROPE | 308.888 | 0,110% | C | |
| QUADRIGE PATRIMOINE | 48.888 | 0,017% | C | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205-842 | 0,074% | C | |
| 47.003 | 0,017% | C | ||
| RAMI PARTNERS LLC | 72.750 | 0,026% | C | |
| ROBERT BOSCH GMBH | 135 587 | 0,048% | C | |
| ROBIN I FONDS | 457.406 | 0,164% | C | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 16.421 | 0,006% | C | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 17.375 | 0,006% | C | |
| RUSSELL INVESTMENT COMPANY PLC | 33.973 | 0,012% | C | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 376.400 | 0,135% | C | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 384.161 | 0,137% | C | |
| SANTANDER SMALL CAPS EUROPA FI | 21.435 | 0,008% | C | |
| SBC MASTER PENSION TRUST | 123.027 | 0,044% | C | |
| SCHELCHER EQUITy COMVICTIONS |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SCHWAB.FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | C | |
| SCHWAB FUND AMENTAL INTERNATIONAL SMALL COMPANY INDEX | ||||
| FUND - | 45.546 | 0,016% | C | |
| ISCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329.963 | 0.118% | C | |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% | C | |
| SGD GE 2014-1 | 11-087 | 0,004% | C | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | C | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL INTERNATIONAL PENSION FUND |
728 | 0,000% | C | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS CONTRIBUTORY PENSION FUND |
13.905 | 0,005% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.983 | 0,001% | C | |
| SPDR PORTFOLIO EUROPE ETF | 3.868 | 0.001% | C | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,030% | C | |
| SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | C | |
| SSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | C | |
| SSGA SPDR ETFS EUROPE PUBLIC LIMITED COMPANY | 99.686 | 0,036% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | C | |
| STAR FUND | 15.300 | 0,005% | C | |
| STAR FUND | 1.425.000 | 0.510% | C | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0.011% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,009% | C | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | C | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | C | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0.004% | C | |
| STICHTING PHIFIPS PENSIOENFORDS | 10.580 | 0,004% | C | |
| STICHTING SHELL PENSIOENFONDS | 66-777 | 0,024% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | C | |
| SUEBIA-FONDS | 250.000 | 0,089% | C | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,429% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | C | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0,095% | C | |
| TEXTRON INC MASTER TRUST | 301.700 | 0,108% | C | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.111 | 0.002% | C | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | C | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | C | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0.003% | C | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS IIRUS |
251.300 | 0,090% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0,014% | C | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0.009% | C | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | C | |
| UBS (IRL) ETF PLC | 43,842 | 0,016% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | C | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0,019% | C | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0,038% | C | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | C | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,025% | C | |
| UNITED CHURCH FUNDS INC | 88 800 | 0,032% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0, 1 40% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- FONDS |
227.595 | 0,081% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- UNIVERSAL-FONDS |
5.966 | 0,002% | C | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,486% | C |
| EMARKET SDIR |
|---|
| CERTIFIED |
| : () |
. 1 | |||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | C | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | -- - 0.005% | C | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0,121% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22.444 | 0,008% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,055% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
1.117.339 | 0.400% | C | |
| VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,207% | C | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | C | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0,001% | C | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | C | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | C | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | C | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | C | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | C | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | C | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 1.069 | 0.000% | C | |
| WASHINGTON STATE INVESTMENT BOARD | 27-646 | 0,010% | C | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | C | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | C | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY | 13.897 | 0,005% | C | |
| FUND WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0,005% | C | |
| WISDOMITREE EUROPE HEDGED EQUITYFUND | 971-095 | 0.347% | C | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | C | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | C | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | C | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | C | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 711-102 | 0.254% | C | |
| FUND WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND |
47.551 | 0.017% | C | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0,005% | C | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0.350% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0,000% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0.036% | A | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 7,095% | A |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304 500 | 0.109% | NV |
279.611.010 10 100%


Relazione sulla politica in materia di compensi corrisposti: Deliberazioni sulla "seconda sezione" della relazione, ai sensi dell'art, 123-ter, comma 6, del D. Lgs, n. 58/1998.
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611.010 | 100% | 78,845% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
279 611.010 | 100,000% | 78,845% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0,000% | 0,000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
| . |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 180.599.787 | 64,590% | 50.926% |
| Contrario | 78.765.785 | 28.170% | 22.211% |
| Astenuto | 19.940.938 | 7.132% | 5.623% |
| Non Votante | 304.500 | 0.109% | 0.086% |
| Totali | 279.611.010 | 100,000% | 78.845% |


Relazione sulla politica in materia di remunerazione e sui compensi corrisposti: Deliberazioni sulla "seconda sezione" della co relazione, ai sensi dell'art. 123-ter, comma 6, del D. Lgs. n. 58/1998.
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica CAPITAL INTERNATIONAL FUND |
88.260 | 0,032% | F | |
| CLNMTT70R16E897P | 125.000 | 0,045% | E | |
| COLANINNO MATTEO COLANINNO MICHELE |
CLNMHL76S23E897N | 125.000 | 0,045% | F |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 0,019% | F | ||
| INDEX FUND | 54.094 | |||
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | F |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% | F | |
| NATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9-704 | 0,003% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,045% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0,005% | F | |
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FÜND | 118.715 | 0,042% | C | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | C | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIÓ | 29.700 | 0,011% | C | |
| AFER ACTIONS PME | 600.527 | 0,215% | C | |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0,001% | C | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | C | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN FUNDAMENTALINTERNA |
294.229 | 0,105% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0.097% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | C | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0.005% | C | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,048% | C | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51-400 | 0,018% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0.001% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
2.549 | 0,001% | C | |
| AMERICAN HEART ASSOCIATION, INC. | 214 | 0,000% | C | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4.830 | 0,002% | C | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | C | |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | C | |
| AMUNDI PATRIMOINE | 10 | 0.000% | C | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0.121% | C | |
| ANIMA CRESCITA ITALIA | 409.254 | 0,146% | C | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,025% | C | |
| ANIMA FUNDS PUBLIC UMITED COMPANY | 154.843 | 0,055% | C |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | C | |
| ANIMA ITALIA | 310.852 | 0,111% | C | |
| ANNE RAY FOUNDATION | 74.700 | 0.027% | C | |
| AQR DELPHILLONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | 19.528 | 0,007% | C | |
| AQR CAPITAL MANAGEMENT LLC Arca Azioni Italia |
C | |||
| Arca Economia Reale Bilanciato Italia 30 | 431.000 1.000.000 |
0,154% 0.358% |
C | |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0,000% | C | |
| ARROWST (DE) L/S FD NON FLIP | 94.744 | 0,034% | C | |
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0.073% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND 11 | 38.830 | 0,014% | C | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40.115 | 0,014% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT: | 5.437 | 0,002% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND | 268.959 | 0,096% | C | |
| UMITED | ||||
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0,008% | C | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | C | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | C | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | C | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY. | ઠે રૂપર | 0,003% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1- 42 | 0.000% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,014% | C | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | C | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0.023% | C | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive | 21-733 | 0,008% | C | |
| Credit Suisse Funds AG AZ FUND 1 AZ ALLOCATION ITALIAN TREND |
50-000 | 0.018% | C | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 1 4.800 | 0.005% | C | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | C | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | C | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | C | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | C | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,615% | C | |
| BETURN | 147.167 | 0.053% | C | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | C | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | C | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS | 884.995 | 0,317% | C | |
| FOR EMPLOYEE BENEFIT TRUSTS BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB |
30.07 4 | 0,011% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | C | ||
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 0.645% | C | ||
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 393.301 116.028 |
0,141% 0,041% |
C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0.009% | C | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% | C | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,032% | C | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 145.000 | 0.052% | C | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0,056% | C | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | C | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | ] 7 | 0,000% | C | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | C | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | C | |
| CORLO CLOBAL FOUITY MARKET NEUTRAL MASTER FUND ITO | 1 728 | በ ሰበ1ማ |
| EMARKET SDIR |
|---|
| CERTIFIED |
| 10-11 | 1990 11. 1 | |||
|---|---|---|---|---|
| CF/PI | Azioni | % su votanti | Voto | |
| Anagrafica CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND |
ర్తిత | 0,000% | C | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 2000 120 | C | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | C | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II, | 57 | 0,000% | C | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | C | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0,000% | C | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | C | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | C | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | C | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | C | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,325% | C | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | C | |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | C | |
| ICORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0,031% | C | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET CAPITAL LP |
1.384 | 0,000% | C | |
| CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD PORTFOLIO D |
85.497 | 0,031% | C | |
| ICPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN | 395 | 0,000% | C | |
| SOLUTIONS LTD | 64.936 | 0,023% | C | |
| CREDIT SUISSE INDEX FUND (LUX) | 117.676 | 0,042% | C | |
| CRELAN INVEST BALANCED | 13.782 | 0.005% | C | |
| CRELAN INVEST CONSERVATIVE | 56.093 | 0,020% | C | |
| CRELAN INVEST DYNAMIC CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG |
12.102 | 0,004% | C | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds | 7.916 | 0,003% | C | |
| AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus |
19.288 | 0,007% | C | |
| Credit Suisse Funds AG | 402 | 0,000% | C | |
| D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C | 1.902 | 0,001% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C | C | |||
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | ||
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18.400 | 0,007% | C | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0,010% | C | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0,015% | C | |
| EURIZON AZIONI ITALIA | 241.543 | 0,086% | C | |
| EURIZON AZIONI PMI ITALIA | 1-048.410 | 0,375% | C | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | C | |
| EURIZON FUND | 294.030 | 0,105% | C | |
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,018% | C C |
|
| EURIZON PROGETTO ITALIA 20 | 248.100 | 0,089% | C | |
| EURIZON PROGETTO ITALIA 40 | 714.291 | 0,255% 0,111% |
C | |
| EURIZON PROGETTO ITALIA 70 | 310.787 | 0,016% | C | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX |
43.964 89.491 |
0,032% | C | |
| FUND | 2.215.500 | 0,792% | C | |
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 154.177 | 0.055% | C | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 438.129 | 0,157% | C | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 25.000 | 0,009% | C | |
| FIDEURAM ITALIA | 106.900 | 0,038% | C | |
| FIRST CHURCH OF CHRIST SCIENTIST | 550.000 | 0,197% | C | |
| FONDITALIA | 2.626 | 0,001% | C | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 219.657 | 0,079% | C | |
| FORSTA AP - FONDEN FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES |
182.816 | 0,065% | C | |
| FRANCISCAN SISTERS OF LITILE FALLS MINNESOTA | 35.200 | 0,013% | C | |
| GESTIELLE PRO ITALIA | 37.887 | 0,014% | C | |
| GLOBAL PORTFOLIO | 135.000 | 0,048% | C | |
| GOTHAM CAPITAL VILLC | 170 | 0,000% | C | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | C |


| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| HAWTHORN EQ LLC | 381.318 | 0.136% | C | |
| HKL HECK | 310.801 | 0.11% | C | |
| HRWTESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | C | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | C | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0.206% | C | |
| IAM NATIONAL PENSION FUND | 12.256 | 0.004% | C | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | C | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0,061% | C | |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | 7.529 | 0.003% | C | |
| ING DIRECT FONDO NARANJA DINAMIČO FI | 71.163 | 0,025% | C | |
| ING DIREČT FONDO NARANJA MODERADO FI | 49.601 | 0,018% | C | |
| INTERFUND SICAV | 27.000 | 0,010% | C | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | ||||
| DIMENSIONS GROUP INC | 851.775 | 0,305% | C | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | C | |
| INVESCO FTSE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0.026% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 27.515 | 0,010% | C | |
| ALLOCATION - DANMARK AKKUMULERENDE KL | ||||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION EURO - ACCUMULATING KL |
8.442 | 0,003% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION NORGE - ACCUMULATING KL | 5.181 | 0,002% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION SVERIGE - ACCUMULATING KL | 9.086 | 0,003% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,010% | C | |
| INVESTITORI EUROPA | 78.080 | 0,028% | C | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | C | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0.000% | C | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0.575% | C | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | C | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | C | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | C | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,204% | C | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,005% | C | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,127% | C | |
| ISHARES VII PUBLIC LIMITED COMPANY | 1 43.558 | 0.051% | C | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1.358.668 | 0,486% | C | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | ||||
| COMPANIES FUND | 2.409.330 | 0,862% | C | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0.014% | C | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | C | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | C | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0.046% | C | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | C | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | C | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0.073% | C | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | C | |
| KBC EQUILY FUND 2BI MORED | 16.787 | 0,006% | C | |
| KBC Equity Fund World | 8.873 | 0,003% | C | |
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0.03/% | C | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,009% | C | |
| KBC VERZEKERINGEN NV | 400.000 | 0,143% | C | |
| LACERA MASTER OPEB TRUST | 3.452 | 0.001% | C | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | C | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0,012% | C | |
| LEADERSEL P.M.I | 143.343 | 0.051% | C | |
| LEGAL & GENERAL ICAV. | 8.588 | 0,003% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0.008% | C | |
| EGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | C | |
| GT SELECT FUNDS | 10.037 | 0,004% | C | |
| INGOHR GLOBAL SMALL CAP | 20.07 1 | 0.007% | C |
| EMARKET SDIR |
|---|
| CERTIFIED |
| C198 | ||||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | C | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM, | 11,305 | 30.004% | C | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0.000% | C | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | C | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP | 437.200 | 0,156% | C | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,005% | C | |
| LYXOR FISE ITALIA MID CAP PIR | 361.152 | 0,129% | C | |
| M INTERNATIONAL EQUITY FUND | 1.07 1 | 0,000% | C | |
| MAIN I - UNIVERSAL - FONDS | 419.894 | 0, 1 50% | C C |
|
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 1.976 | 0,001% | ||
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0,000% | C | |
| DIVERSIFIED RISK P REMIA PROGRESSIVE MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL |
16.637 | 0,006% | C | |
| SMALL CAP EQUITY POOLE | ||||
| MARGARET A. CARGILL FOUNDATION | 45.200 | 0,016% | C | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 16.057 | 0,006% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | C | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.287.829 | 0,461% | C | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,707% | C | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 146.600 | 0,052% | C C |
|
| MERCER GE INTERNATIONAL EQUITY FUND | 222.200 | 0,079% | C | |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.880.024 | 0,672% | C | |
| MERCER QIF FUND PLC | 34-129 | 0,012% | C | |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,021% 0.019% |
C | |
| MERCY INVESTMENT SERVICES INC | 51.920 | C | ||
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 | 0,197% 0,023% |
C | |
| ml FONDS K10 | 65.600 6.768 |
0,002% | C | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 10.423 | 0,004% | C | |
| MUL- LYX FTSE IT ALL CAP PIR | 15.861 | 0,006% | C | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,179% | C | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 285.200 | 0,102% | C | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 1.003.005 | 0,359% | C | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 160.529 | 0,057% | C | |
| NEF RISPARMIO ITALIA | 7.254 | 0,003% | C | |
| NFS LIMITED NON US EQUITY MANAGERS PORTFOLIO I ERISA |
23.100 | 0,008% | C | |
| NORGES BANK | 990.929 | 0,354% | C | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | C | |
| 1.285 | 0.000% | C | ||
| PANAGORA ASSET MANAGEMENT INC | 25.000 | 0,009% | C | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 67.610 | 0,024% | C | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV PK CSG World Equity Credit Suisse Funds AG |
5.605 | 0,002% | C | |
| PRICOS | 571 528 | 0,204% | C | |
| PRICOS DEFENSIVE | 1 4.820 | 0.005% | C | |
| PRICOS SRI | 86.873 | 0,031% | C | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0,003% | C | |
| PUBLIC EMPLOYEES RELIREMENT SYSTEM OF OHIO | 65.219 | 0,023% | C | |
| QUADRIGE EUROPE MIDCAPS | 1.288.888 | 0,461% | C | |
| QUADRIGE MULTICAPS EUROPE | 308.888 | 0,110% | C | |
| QUADRIGE PATRIMOINE | 48.888 | 0,017% | C | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0.074% | C | |
| RAMI PARTNERS LLC | 47-003 | 0,017% | C | |
| ROBERT BOSCH GMBH | 72.750 | 0,026% | C | |
| ROBIN I-FONDS | 135.587 | 0,048% | C | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0, 164% | C | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0.006% | C | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | C | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | C | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | C | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0,137% | C | |
| SBC MASTER PENSION TRUST | 21.435 | 0,008% | C | |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | C |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | C | |
| SCHWAB FUNDA'MENTAL INTERNATIONAL SMALL COMPANY INDEX FUND . |
45.546 | 0,016% | C | |
| SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329.963 | 0,118% | C | |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% | C | |
| SGD GE 2014-1 | 11.087 | 0,004% | C | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0.000% | C | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | ||||
| INTERNATIONAL PENSION FUND | 728 | 0,000% | C | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS CONTRIBUTORY PENSION FUND |
13.905 | 0,005% | C | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.983 | 0.001% | C | |
| SPDR PORTFOLIO EUROPE ETF | 3.868 | 0,001% | C | |
| SPDR S&P INTERNATIONAL SMALL CAP EFF | 84.761 | 0,030% | C | |
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST | 7.886 | 0,003% | C | |
| FUND | ||||
| SSB MSCIEAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | C | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,036% | C | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | C | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | C | |
| STAR FUND | 15.300 | 0,005% | C | |
| STAR FUND | 1.425.000 | 0,510% | C | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | C | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | C | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,009% | C | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | C | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | C | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,004% | C | |
| STICHTING PHILIPS PENSIOENFORDS | 10.580 | 0,004% | C | |
| STICHTING SHELL PENSIOENFONDS | 66.777 | 0,024% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | C | |
| SUEBIA-FONDS | 250.000 | 0,089% | C | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,429% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | C | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0,095% | C | |
| TEXTRON INC MASTER TRUST | 301-700 | 0.108% | C | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6-111 | 0.002% | C | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | C | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | C | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,003% | C | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS |
251.300 | 0.090% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0.014% | C | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0.009% | C | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | C | |
| UBS (IRL) ETF PLC | 43.842 | 0.016% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | C | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0,019% | C | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0.038% | C | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | C | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,025% | C | |
| UNITED CHURCH FUNDS INC | 88.800 | 0.032% | C | |
| [UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391-500 | 0, 1 40% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- | ||||
| FONDS | 227.595 | 0,081% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | C | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- | 5.966 | 0,002% | C | |
| UNIVERSAL-FONDS VANGUARD DEVELOPED MARKETS INDEX FUND |
1.357.885 | 0,486% | C | |

| 23 14 | ||||
|---|---|---|---|---|
| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | C | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | 20005% | C | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337-627 | -0.27% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22.444 | 0,008% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,055% | C | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
1-117.339 | 0,400% | C | |
| VANGUARD FISE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0.207% | C | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0.009% | C | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0.001% | C | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | C | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0.009% | C | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | C | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | C | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0.032% | C | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0.010% | C | |
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 1.069 | 0.000% | C | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0,010% | C | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | C | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | C | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0.005% | C | |
| WISDOMTREE DYNAMIC CURRENČY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0,005% | C | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 971.095 | 0.347% | C | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | C | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0.000% | C | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0.008% | C | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,01 4% | C | |
| WISDOM TREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
711-102 | 0.254% | C | |
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0,017% | C | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0.005% | C | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0,350% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0,000% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0.036% | A | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 7,095% | A |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304.500 | 0.109% | NV |
Legendo
C - Foronevola
C - Conferios
C - Conferios
C - Conferior
Ny - Light of Arabile
Ny - Light System Andreworld
NY - Light Espresso
279.611.010 100%


Autorizazione all'acquisto e disposizione di azioni proprie, ai sensi degli artt. 2357 e 2357-fer del codice civile, nonché dell'art. 132 del D. Lgs. 58/1998 e relative disposizioni di attuazione conferito dall'Assemblea ordinaria del 18 aprile 2023 per la parte non eseguita. Delibere inerenti e conseguenti.
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611.010 | 100% | 78.845% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
279.611.010 | 100,000% | 78,845% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0,000% | 0,000% | |
| n. Əzinni | % nartecinanti al voto | % del Canitale Sociale |
| n, azlonl | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 220.641.355 | 78.910% | 62,217% |
| Contrario | 38.724.217 | 13.849% | 10,920% |
| Astenuto | 19.940 938 | 7,132% | 5,623% |
| Non Votante | 304.500 | 0.109% | 0,086% |
| Totali | 279.611.010 | 100,000% | 78.845% |


Autorizzazione all'acquisto e disposizone di azioni proprie, ai sensi del combinato disposto degli artis 2357 er del Attolizazione di acquisio e alsposizone al azioni progrie, ai son doinzine, previa revoca dell'autorizzazione Conferita dall'Assemblea ordinaria del 18 aprile 2023 per la parte non eseguita. Delibere inerenti e conseguenti.
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND | 118.715 | 0,042% | F | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | F | |
| ALASKA PERMANENT FUND CORPORATION | 664 | 0,000% | F | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN | 0.105% | F | ||
| FUNDAMENTALINTERNA | 294.229 | |||
| AMERICAN BAR ASSOCIATION MEMBERS/MIC COLLECTIVE TRUST | 51.400 | 0,018% | F | |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0,000% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0.615% | F | |
| BETURN | 147.167 | 0.053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0.000% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.074 | 0,011% | F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0.032% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0,056% | F | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | F | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0,000% | F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0.001% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | F | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | F | |
| COLANINNO MATTEO | CLNMIT70R16E897P | 125.000 | 0.045% | F |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | 0,045% | F |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | F | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0,031% | F | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN SOLUTIONS LTD |
395 | 0.000% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | F | |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18.400 | 0,007% | F | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0.010% | E | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0,015% | F | |
| EURIZON AZIONI ITALIA | 241.543 | 0,086% | F | |
| EURIZON AZIONI PMI ITALIA | 1.048.410 | 0,375% | F | |
| EURIZÓN CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | E | |
| EURIZON FUND | 294.030 | 0,105% | F | |
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,018% | F | |
| EURIZON PROGETTO ITALIA 20 | 248,100 | 0,089% | F |

| N Pion Anagratica |
CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| EURIZON: PROGETTO ITALIA 40 | 714.291 | 0,255% | F | |
| EURIZON PROGEITO ITALIA 70 | 310.787 | 0,111% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | 0.016% | F | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | ||||
| FUND | 89.491 | 0,032% | F | |
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 2.215.500 | 0,792% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0,15/% | F | |
| FIDEURAM ITALIA | 25.000 | 0,009% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST | 106.900 | 0.038% | F | |
| FONDITALIA | 550.000 | 0,197% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 2.626 | 0,001% | F | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,013% | F | |
| GLOBAL PORTFOLIO | 135.000 | 0,048% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | F | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0,061% | F | |
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | F |
| INTERFUND SICAV | 27.000 | 0,010% | F | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | F | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR EFF | 52.520 | 0.019% | F F |
|
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,204% | F | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,005% | F | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR EFF | 356.364 143.558 |
0,127% 0,051% |
F | |
| ISHARES VII PUBLIC LIMITED COMPANY JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND |
1.358.668 | 0,486% | F | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | ||||
| COMPANIES FUND | 2.409.330 | 0,862% | F | |
| LARCQUEST INVESTISSEMENT - MH | 33.000 | 0,012% | F | |
| LEADERSEL P.M.I | 143-343 | 0,051% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0,007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0,004% | F | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0.010% | F | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP | 437.200 | 0,156% | F | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| MAIN I - UNIVERSAL - FONDS | 419.894 | 0, 150% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE | 1.976 | 0,001% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC DIVERSIFIED RISK P REMIA PROGRESSIVE |
312 | 0,000% | F | |
| MARGARET A. CARGILL FOUNDATION | 45.200 | 0.016% | E | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1,287.829 | 0,461% | F | |
| IMERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 146.600 | 0,052% | F | |
| MERCER GE INTERNATIONAL EQUITY FUND | 22.200 | 0,079% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.860.514 | 0,665% | E | |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 6.768 | 0,002% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 15.861 | 0,006% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 1.003.005 | 0,359% | F | |
| NEF RISPARMIO ITALIA | 160.529 | 0,057% | F | |
| NFS LIMITED | 7.254 | 0,003% | F | |
| NON US EQUITY MANAGERS PORTFOLIO I ERISA | 23.100 | 0,008% | F F |
|
| NORGES BANK ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL |
990.929 5.237 |
0.354% 0,002% |
F | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0,009% | E | |
| PHRI IC EMPI OYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0.003% | F |

| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica | 72.750 | 0,026% | F | |
| ROBERT BOSCH GMBH ROBIN I-FONDS |
135.587 | 0,048% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 20,006% | E | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | -- 0,01 2% | F | |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 45.546 | 0,016% | F | |
| FUND SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF |
329.963 | 0,118% | F | |
| 36.401 | 0,013% | F | ||
| SEI GLOBAL MASTER FUND PLC | 11.087 | 0,004% | F | |
| SGD GE 2014-1 | 30 | 0,000% | F | |
| SHELL CANADA 2007 PENSION PLAN | 2.983 | 0,001% | F | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 3.868 | 0,001% | F | |
| SPDR PORTFOLIO EUROPE ETF | 84.761 | 0,030% | F | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST |
7-886 | 0,003% | F | |
| FUND ISSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND |
21.314 | 0,008% | F | |
| 99.686 | 0,036% | F | ||
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 27.295 | 0,010% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 444-333 | 0,159% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 15.300 | 0,005% | F | |
| STAR FUND | 0,510% | F | ||
| STAR FUND | 1.425.000 | F | ||
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30-700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.981 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,009% | ||
| STICHTING PHIEIPS PENSIOENFORDS | 10.580 | 0,004% | F | |
| SUEBIA-FONDS | 250.000 | 0,089% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0,095% | F | |
| TEXTRON INC MASTER TRUST | 301-700 | 0,108% | F | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.111 | 0,002% | E | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | F | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS IRUS |
251.300 | 0,090% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0,009% | F | |
| ui-Fonds Bav RBI AKTIEN | 107.150 | 0,038% | F | |
| IUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391 500 | 0, 1 40% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- | 5.966 | 0,002% | F | |
| UNIVERSAL-FONDS | 15.148 | 0,005% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 1.357.885 | 0,486% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK |
3.829 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | 0,005% | F | |
| 337.627 | 0,121% | F | ||
| VANGUARD EUROPEAN STOCK INDEX FUND VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX |
22-444 | 0,008% | F | |
| TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
154.225 | 0,055% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL |
1.117.339 | 0,400% | F | |
| INTERNATIONAL STOCK MARKET INDEX TRUST II VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND |
579.464 | 0,207% | F | |
| VANGUARD FISE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1 .786 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | F | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26-003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | F | |
| VIE ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 1.089 | 0,000% | F |

| 13 | |||
|---|---|---|---|
| 1 | |||
| ్లం - |
0 |
| Anagratica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| WASHINGTON: SEATE INVESTMENT BOARD | 27.646 | 0.010% | F | |
| WATER AND POWER EMP.LOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 29.700 | 0.011% | C | |
| AFER ACTIONS PME | 600.527 | 0.215% | C | |
| ALASKA PERMANENT FUND CORPORATION | 859 | 0,000% | C | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | C | |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0.097% | C | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0.025% | C | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0,005% | C | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,048% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% | C | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
2.549 | 0,001% | C | |
| AMERICAN HEART ASSOCIATION, INC. | 214 | 0,000% | C | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4.830 | 0,002% | C | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | C | |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | C | |
| AMUNDI PATRIMOINE | 10 | 0.000% | C | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0.121% | C | |
| ANIMA CRESCITA ITALIA | 409.254 | 0,146% | C | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0.025% | C | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | C | |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | C | |
| ANIMA ITALIA | 310.852 | 0, 11 % | C | |
| AQR DELPHILONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF AQR CAPITAL MANAGEMENT LLC |
19-528 | 0,007% | C | |
| Arca Azioni Italia | 431.000 | 0,154% | C | |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0,358% | C | |
| ARROWST (DE) L/S FD NON FLIP | 94.744 | 0,034% | C | |
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0,073% | C | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0,014% | C | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND 11 | 40.115 | 0.014% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT, | 5.437 | 0,002% | C | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMITED |
268.959 | 0,096% | C | |
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0.008% | C | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16-180 | 0,006% | C | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | C | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | C | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | C | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29-725 | 0.011% | C | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY- | 9.506 | 0,003% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | C | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,01 4% | C | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | C | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0.023% | C | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive | ||||
| Credit Suisse Funds AG | 21-733 | 0,008% | C | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50-000 | 0,018% | C |
su votanti Voto

| Anagrafica | 1 | C | ||
|---|---|---|---|---|
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 1 4.800 | 0,005%1 | C | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | ||
| AZIMUT LIFE DAC | 9.548 | 0.003% | C | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | C | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 4 0,127% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0,645% | C | |
| 393.301 | 0.141% | C | ||
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 116.028 | 0,041% | C | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 25.546 | 0,009% | C | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | C | |||
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% | ||
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 145.000 | 0,052% | C | |
| CC AND L Q 1 40/40 FUND | 1.112 | 0.000% | C | |
| CC AND LUS Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | C | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | C | |
| 221 | 0,000% | C | ||
| CC&L Q 140/40 FUND | 1.738 | 0,001% | C | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD. | વેત્ર | 0,000% | C | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | 1.450 | 0,001% | C | |
| CC&L Q MARKET NEUTRAL FUND | 0,004% | C | ||
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | C | ||
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | ||
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | C | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | C | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,325% | C | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET | C | |||
| CAPITAL LP | 1.384 | 0,000% | ||
| CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD | 0,031% | C | ||
| PORTFOLIO D | 85.497 | |||
| CREDIL SUISSE INDEX FUND [FUX] | 64.936 | 0,023% | C | |
| 117.676 | 0,042% | 0 | ||
| CRELAN INVEST BALANCED | 13.782 | 0,005% | C | |
| CRELAN INVEST CONSERVATIVE | 56.093 | 0,020% | C | |
| CRELAN INVEST DYNAMIC | ||||
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12-102 | 0,004% | C | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds AG |
7.916 | 0,003% | C | |
| CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus Credit Suisse Funds AG |
19.288 | 0,007% | C | |
| D E SHAW ALL COUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C | 402 | 0,000% | C | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C | 1.902 | 0,001% | C | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT | 54.094 | 0,019% | C | |
| INDEX FUND | 219.657 | 0,079% | C | |
| FORSTA AP - FONDEN | C | |||
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 182.816 | 0.065% | ||
| GESTIELLE PRO ITALIA | 37-887 | 0,014% | C | |
| GOTHAM CAPITAL V LLC | 170 | 0,000% | C | |
| HAWTHORN EQ LLC | 381 318 | 0,136% | C | |
| HKL II LLC | 310.801 | 0,111% | C | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | C | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | C | |
| 575.823 | 0,206% | C | ||
| HSBC EUROPE SMALL & MID CAP | 12.256 | 0,004% | C | |
| IAM NATIONAL PENSION FUND | 7.529 | 0,003% | C | |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | C | |||
| ING DIRECT FONDO NARANJA DINAMICO FI | 71.163 | 0,025% | ||
| ING DIRECT FONDO NARANJA MODERADO FI | 49.601 1 |
0,018% | C | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
851-775 | 0,305% | C | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 27.515 | 0,010% | C | |
| ALLOCATION - DANMARK AKKUMULERENDE KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
8.442 | 0,003% | C | |
| ALLOCATION EURO - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
5.181 | 0,002% | C | |
| ALLOCATION NORGE - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
9.086 | 0,003% | C | |
| ALLOCATION SVERIGE - ACCUMULATING KL | 28.038 | 0,010% | C | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA |

| Anagrafica | CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| INVESTITORI EUROPA | 78.080 | 0.028% | C | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | C | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0.014% | C | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | C | |
| K8C EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | C | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | C | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | C | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | C | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | C | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | C | |
| KBC EQUILY FUND SRI WORLD | 16.787 | 0,006% | C | |
| KBC Equity Fund World | 8.873 | 0,003% | C | |
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0.037% | C | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,009% | C | |
| KBC VERZEKERINGEN NV | 400.000 | 0, 143% | C | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | C | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0.124% | C | |
| LEGAL & GENERAL ICAV. | 8.588 | 0,003% | C | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | C | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0.008% | C | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0.060% | C | |
| LGT SELECT FUNDS | 10.037 | 0,004% | C | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0.000% | C | |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0.005% | C | |
| LYXOR FISE ITALIA MID CAP PIR | 361.152 | 0.129% | C | |
| M INTERNATIONAL EQUITY FUND | 1.07 1 | 0,000% | C | |
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL SMALL CAP EQUITY POOLE |
16.637 | 0,006% | C | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 16.057 | 0.006% | C | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,707% | C | |
| MERCER QIF COMMON CONTRACTUAL FUND | 19.510 | 0.007% | C | |
| MERCER QIF FUND PLC | 34.129 | 0,012% | C | |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,021% | C | |
| MERCY INVESTMENT SERVICES INC | 51.920 | 0,019% | C | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 | 0.197% | C | |
| MI FONDS KIO | 65.600 | 0,023% | C | |
| MUL- LYX FISE IT ALL CAP PIR | 10.423 | 0,004% | C | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 500.000 | 0,179% | C | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 285.200 | 0, 102% | C | |
| NATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | C | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE | ||||
| MAR | 9.704 | 0,003% | C | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,045% | C | |
| PANAGORA ASSET MANAGEMENT INC., | 1.285 | 0,000% | C | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0.024% | C | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% | C | |
| PRICOS | 571 .528 | 0,204% | C | |
| PRICOS DEFENSIVE | 14.820 | 0.005% | C | |
| PRICOS SRI | 86.873 | 0,031% | C | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 65.219 | 0.023% | C | |
| QUADRIGE EUROPE MIDCAPS | 1 .288.888 | 0,461% | C | |
| QUADRIGE MULTICAPS EUROPE | 308.888 | 0,110% | C | |
| QUADRIGE PATRIMOINE | 48.888 | 0.017% | C | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0,074% | C | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | C | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | C | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P. | 16-421 | 0,006% | C | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | C | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0,137% | C | |
| SBC MASTER PENSION TRUST | 21.435 | 0.008% | C |
certified
18
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL |
C | |||
| INTERNATIONAL PENSION FUND | 728 | 0.000% | ||
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 13.905 | 0:005% | C | |
| CONTRIBUTORY PENSION FUND | ||||
| STATE OF WISCONSIN INVESTMENT BOARD | 1 | 0.000% | C | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | C | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | C | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | C | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,004% | C | |
| STICHTING SHELL PENSIOENFORDS | 66.777 | 0,024% | C | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | C | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,429% | C | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | C | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | C | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,003% | C | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0.014% | C | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | C | |
| 43.842 | 0.016% | C | ||
| UBS (IRL) ETF PLC | 116.073 | 0,042% | C | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG | 53.326 | 0,019% | C | |
| UBS LUX FUND SOLUTIONS | 1.575 | 0.001% | C | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 70.079 | 0,025% | C | |
| UNION INVESTMENT PRIVATFONDS GMBH | 88.800 | 0,032% | C | |
| UNITED CHURCH FUNDS INC | ||||
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- | 227.595 | 0.081% | C | |
| FONDS VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS |
26 678 | 0,010% | C | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0,005% | C | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0.005% | C | |
| WISDOMIREE EUROPE HEDGED EQUITYFUND | 971.095 | 0,347% | C | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | C | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1-013 | 0.000% | C | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | C | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | C | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 711.102 | 0,254% | C | |
| FUND | 47-551 | 0,017% | C | |
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 14.376 | 0.005% | C | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 978.075 | 0,350% | C | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 849 | 0,000% | C | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 102.000 | 0,036% | A | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 19.838.938 | 7,095% | A | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | NV | ||
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304-500 | 0,109% |
279.611.010 100%
പ്രവേശം
പ്രത്യേത
പ്രവർത്തുവായി പ്രവാഹ്യത്തിൽ
പ്രവർത്തുവയിൽ
സ്പീക് വിശ്വാസത്തിൽ
സ്പീക് സമ്മീനിയ അവലംബം
സം സമ്മസ്ത്രിക്കുന്നത് അത്


Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui all'ardine del giorno dell'Assemblea in parte straordinaria, nomina del Consiglio di Amministrazione del numero dei componenti el Consiglio di Amministrazio di Amministrazione;
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611.010 | 100% | 78,845% |
| Azioni per le quali il RD dispone di istruzioni per l'OdG in votazione (quorum deliberativo): |
279.611.010 | 100,000% | 78,845% |
| Azioni per le quali il RD | |||
| non disponeva di istruzioni: | 0,000% | 0,000% | |
| n. azinni | 0% nartecinanti al unto | % dol Canitala Saciala |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 279.211.554 | 99,857% | 78,733% |
| Contrario | 297.456 | 0,106% | 0.084% |
| Astenuto | 102-000 | 0.036% | 0.029% |
| Non Votante | 0.000% | 0.000% | |
| Totali | 279.611.010 | 100,000% | 78.845% |

Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui al punto 1 dell'asemble in Subordinaria di approvazione del novo lesto di Vardio Sociale di Grano dei componenti del Consiglio di Amministrazione;
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Monte Titoli S.p.A. nella persona della Dottoressa Ambrosini Claudia
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND | 118.715 | 0,042% | F | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | F | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 29.700 | 0,011% | F | |
| AFER ACTIONS PME | 600.527 | 0,215% | F | |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0.001% | F | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | F | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN | 294.229 | 0, 105% | F | |
| FUNDAMENTALINTERNA | ||||
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,097% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | F | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0,005% | F | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,048% | F | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51-400 | 0,018% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP | 2.048 | 0,001% | F | |
| EQUITY ETF AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL |
2.549 | 0,001% | F | |
| EQUITY ETF | 214 | 0.000% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 4.830 | 0,002% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 25.813 | 0,009% | F | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | F | |||
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CT8 | 6.348 | 0,002% | ||
| AMUNDI PATRIMOINE | 10 | 0,000% | E | |
| AMUNDI PATRIMOINE PEA | 337-630 | 0,121% | F | |
| ANIMA CRESCITA ITALIA | 409.254 | 0, 146% | F | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,025% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | F | |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | F | |
| ANIMA ITALIA | 310.852 | 0,111% | F | |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | F | |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | 19.528 | 0,007% | F | |
| AQR CAPITAL MANAGEMENT LLC | ||||
| Area Azioni Italia | 431.000 | 0,154% | F | |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0.358% | F | |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0.000% | F | |
| ARROWST (DE) L/S FD NON FLIP | 94.744 | 0,034% | F | |
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0.073% | F | |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0.01 4% | F | |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40.115 | 0,014% | F | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | 5.437 | 0.002% | F |

1
| is 11 2017 |
||||
|---|---|---|---|---|
| Anagrafica ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND |
CF/PI | Azioni | % su votanti | Voto |
| UMITED | 268.959 | 0,096% | F | |
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0,008% | F | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0.037% | F | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | F | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50-685 | 0,018% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | F | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY | 9.506 | 0,003% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,014% | F | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | F | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,023% | F | |
| AXA Vorsorge Fonds II Eguities Global Markets Small Cap Passive | 21.733 | 0,008% | F | |
| Credit Suisse Funds AG | F | |||
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND AZIMUT CAPITAL MANAGEMENT SGR SPA |
50.000 | 0.018% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 14.800 400.000 |
0,005% 0, 143% |
F | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0.003% | F | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,615% | F | |
| BETURN | 147.16/ | 0,053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF | 23.508 | 0,008% | F | |
| ISHARES WORLD EX SWITZERLAND | F | |||
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS |
100 | 0,000% | ||
| FOR EMPLOYEE BENEFIT TRUSTS | 884.995 | 0,317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.074 | 0,011% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0,645% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,141% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0.041% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0,009% | F | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% | F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0.032% | F | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 1 45.000 | 0,052% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0.056% | F | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0.032% | F | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | F | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | F | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | F | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | F | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD. | 1.738 | 0,001% | F | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | 09 | 0.000% | F | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II, | 57 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | F | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0,000% | F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | F | |
| CI WISDOMIREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | F | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | F | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | F | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0.325% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | F | |

| a lead of | 100 1 201 | |||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
| COLANINNO MATTEO | CLNMTT70R16E897P | 125,000 | 0,045% | F |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | . < . 0,045% | F |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | F | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0,031% | F | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET | 1.384 | 0,000% | F | |
| CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD |
85.497 | 0,031% | F | |
| PORTFOLIO D CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN |
રૂજરા | 0,000% | F | |
| SOLUTIONS LID | 64.936 | 0,023% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 117.676 | 0,042% | F | |
| CRELAN INVEST BALANCED | 13.782 | 0,005% | F | |
| CRELAN INVEST CONSERVATIVE | 56-093 | 0,020% | F | |
| CRELAN INVEST DYNAMIC CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG |
12.102 | 0,004% | F | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds | 7.916 | 0,003% | F | |
| AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus |
19.288 | 0,007% | F | |
| Credit Suisse Funds AG | F | |||
| D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C | 402 1.902 |
0,000% 0,001% |
F | |
| ID. E_SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. | ||||
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | ୧ 258 | 0,002% | F | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 7,095% | F |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18.400 | 0,007% | F | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0,010% | F | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0,015% | F | |
| EURIZON AZIONI ITALIA | 241.543 | 0,086% | F | |
| EURIZON AZIONI PMI ITALIA | 1.048.410 | 0.375% | F | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | F | |
| EURY ON FUND | 294.030 | 0,105% | F | |
| EURIZON PIR ITALIA AZIONI | 51-540 | 0,018% | F | |
| EURIZON PROGETTO ITALIA 20 | 248-100 | 0.089% | F F |
|
| EURIZON PROGETTO ITALIA 40 | 714-291 | 0,255% | F | |
| EURIZON PROGETTO ITALIA 70 | 310.787 | 0,111% | F | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | 0,016% | ||
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
89.491 | 0,032% | F | |
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 2.215.500 | 0,792% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0,157% | F | |
| FIDEURAM ITALIA | 25.000 | 0,009% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
106.900 54.094 |
0,038% 0,019% |
F F |
|
| INDEX FUND | 550.000 | 0,197% | F | |
| FONDITALIA | 2.626 | 0,001% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 219.657 | 0,079% | F | |
| FORSTA AP - FONDEN FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES |
182.816 | 0,065% | F | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,013% | F | |
| GESTIELLE PRO ITALIA | 37.887 | 0,014% | F | |
| 135.000 | 0.048% | F | ||
| GLOBAL PORTFOLIO GOTHAM CAPITAL V LLC |
170 | 0,000% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | F | |
| HAWTHORN EQ LLC | 381.318 | 0,136% | F | |
| HKL II LLC | 310.801 | 0,111% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | F | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | F | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,206% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | F | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0,061% | F | |
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | F |


| Anagratica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ING DIRECT FONDIG NARANJA CONSERVADOR FI | 7.529 | 0.003% | F | |
| ING DIRECT FONDO NARANJA DINAMICO FI | 71.163 | 0,025% | F | |
| ING DIRECT. FONDO NARANJA MODERADO FI | 49.601 | 0,018% | F | |
| INTERFUND SIC:AV | 27.000 | 0,010% | F | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | ||||
| DIMENSIONS GROUP INC | 851.775 | 0,305% | F | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION - DANMARK AKKUMULERENDE KL | 27.515 | 0,010% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION EURO - ACCUMULATING KL | 8.442 | 0,003% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | F | |||
| ALLOCATION NORGE - ACCUMULATING KL | 5.181 | 0,002% | ||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 9.086 | 0,003% | F | |
| ALLOCATION SVERIGE - ACCUMULATING KL | ||||
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0,010% | F | |
| INVESTITORI EUROPA | 78.080 | 0,028% | F | |
| INVESTITORI PIAZZA AFFAR | 220.820 | 0,079% | F | |
| SHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0.000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | F | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | F | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0,204% | F | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14.406 | 0,005% | F | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,127% | F | |
| ISHARES VII PUBLIC LIMITED COMPANY | 143.558 | 0,051% | F | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | F | |||
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | 1-358.668 | 0,486% | ||
| COMPANIES FUND | 2.409.330 | 0,862% | F | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0.01 4% | F | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | F | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | F | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | F | |
| K8C EQUITY FUND EUROZONE | 29.430 | F | ||
| 0,011% | F | |||
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | F | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | ||
| K8C EQUITY FUND SRI EUROZONE | 71.486 | 0.026% | E | |
| KBC EQUITY FUND SRI WORLD | 16.787 | 0,006% | F | |
| KBC Equity Fund World | 8.873 | 0,003% | F | |
| KBC INSTIFD EURO EQTY SM &MED CAPS | 103.675 | 0,037% | F | |
| K8C Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,009% | F | |
| KBC VERZEKERINGEN NV | 400.000 | 0, 143% | F | |
| LACERA MASTER OPEB TRUST | 3.452 | 0.001% | F | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | F | |
| LARÇOUEST INVESTISSEMENT - MH | 33.000 | 0,012% | F | |
| LEADERSEL P.M.I | 1 43.343 | 0,051% | F | |
| LEGAL & GENERAL ICAV. | 8.588 | 0.003% | F | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0,027% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | F | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | F | |
| LGT SELECT FUNDS | 10.037 | 0,004% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0.007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETREMENT TRUST | 78 | 0,000% | F | |
| E | ||||
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0,004% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | ||
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0.010% | F | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP. | 437.200 | 0,156% | F | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0.005% | F | |
| LYXOR FISE ITALIA MID CAP PIR | 361.152 | 0,129% | F |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| M INTERNATIONAL EQUITY FUND | 1.07 1 | 0,000% | F | |
| MAIN - UNIVERSAL - FONDS | 419.894 | 0 150% | E | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 1.976 | 0.001% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0,000% | F | |
| DIVERSIFIED RISK P REMIA PROGRESSIVE | ||||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0,006% | F | |
| SMALL CAP EQUITY POOLE | 45.200 | 0,016% | F | |
| MARGARET A. CARGILL FOUNDATION | 16.057 | 0,006% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 304.500 | 0,109% | F | |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 2.297.695 | 0,822% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 1.287.829 | 0,461% | F | |
| IMEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.977.957 | 0,707% | F | |
| MELCHIOR SELECTED TRUST | 146.600 | 0,052% | F | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 22.200 | 0,079% | F | |
| MERCER GE INTERNATIONAL EQUITY FUND | 1.880.024 | 0,672% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 34.129 | 0,012% | F | |
| MERCER QIF FUND PLC | 58.794 | 0,021% | E | |
| MERCER UCITS COMMON CONTRACTUALFUND | 650.000 | 0,232% | F | |
| MERCHANT ADVENTURE FUND L.P | 51.920 | 0.019% | E | |
| MERCY INVESTMENT SERVICES INC | 551.928 | 0,197% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 65.600 | 0,023% | F | |
| MI FONDS K10 | 6.768 | 0,002% | F | |
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 10.423 | 0,004% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 15.861 | 0,006% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,179% | F | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 1,003.005 | 0,359% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | ||||
| INATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | F | |
| INEF RISPARMIO ITALIA | 160.529 | 0,057% | F | |
| INFS LIMITED | 7.254 | 0,003% | F | |
| NON US EQUITY MANAGERS PORTFOLIO I ERISA | 23.100 | 0,008% | F | |
| NORGES BANK | 990.929 | 0,354% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9.704 | 0,003% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,045% | F | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | F | |
| PANAGORA ASSET MANAGEMENT INC. | 1-285 | 0,000% | F | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0.009% | F | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0,024% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% | F | |
| PRICOS | 571.528 | 0,204% | F | |
| PRICOS DEFENSIVE | 14.820 | 0,005% | F | |
| PRICOS SRI | 86.873 | 0,031% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0,003% | F | |
| PUBLIC EMPLOYEES RELIBEMENT SYSTEM OF OHIO | 65.219 | 0.023% | F | |
| QUADRIGE EUROPE MIDCAPS | 1 .288.888 | 0.461% | F | |
| QUADRIGE MULTICAPS EUROPE | 308 888 | 0,110% | F | |
| QUADRIGE PATRIMOINE | 48.888 | 0.017% | F | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0,074% | F | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | F | |
| ROBERT BOSCH GMBH | 72.750 | 0,026% | F | |
| ROBIN I-FONDS | 135.587 | 0.048% | F | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | F | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0,006% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | F | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | F | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | F | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0,137% | F | |
| SBC MASTER PENSION IRUST | 21.435 | 0,008% | F | |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | F |


| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SCHWAR FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
45.546 | 0,016% | F | |
| SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329.963 | 0,118% | F | |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% | F | |
| SGD GE 2014-1 | 11.087 | 0,004% | F | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | ||||
| INTERNATIONAL PENSION FUND | 728 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 13.905 | 0,005% | F | |
| CONTRIBUTORY PENSION FUND | ||||
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.983 | 0.001% | F | |
| SPDR PORTFOLio EUROPE ETF | 3.868 | 0,001% | F | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,030% | F | |
| SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | F | |
| SSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21:314 | 0,008% | F | |
| ISSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,036% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0.010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | F | |
| STAR FUND | 15.300 | 0,005% | F | |
| STAR FUND | 1.425.000 | 0,510% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24-484 | 0,009% | F | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | F | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | F | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0,004% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 10.580 | 0,004% | F | |
| STICHTING SHELL PENSIOENFORDS | 66.777 | 0,024% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | F | |
| SUEBIA-FONDS | 250.000 | 0,089% | F | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2.429% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257.216 | 0,092% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0.095% | F | |
| TEXTRON INC MASTER TRUST | 301.700 | 0.108% | F | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.111 | 0,002% | F | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | F | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | F | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8-400 | 0.003% | F | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS |
251.300 | 0,090% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0,014% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0,009% | F | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | F | |
| UBS (IRL) ETF PLC | 43.842 | 0.016% | E | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | F | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0,019% | F | |
| UI-FONDS BAV RBI AKTIEN | 107-150 | 0.038% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | F | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,025% | F | |
| UNITED CHURCH FUNDS INC. | 88 800 | 0,032% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0, 1 40% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- FORDS |
227-595 | 0,081% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- UNIVERSAL-FONDS |
5.966 | 0,002% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0.005% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,486% | F |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | Fl | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13415 | 6-0,005% 3.F |
E | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0.121% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22.444 | 0.008% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0.055% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
17.339 | 0,400% | F | |
| VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,207% | F | |
| WANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | F | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETF | 1-786 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | F | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0.034% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0.010% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 1.069 | 0.000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0.010% | F | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0,005% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0,005% | F | |
| WISDOMIREE EUROPE HEDGED EQUITYFUND | 971.095 | 0,347% | F | |
| WISDOMIREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0.020% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | F | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0.008% | F | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
711.102 | 0.254% | F | |
| WISDOMIREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0.017% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0.005% | F | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0.350% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0.000% | F | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,004% | C | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 285.200 | 0,102% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0,036% | A |
് പ്രശസ്തമായിരുന്നു.
C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C -
279.611.010


Subordinatamente all'approvazione del nuovo testo di cui all'ardine del giorno dell'Assembleo in parte straordinaria, nomina del Consiglio di Amministrazione: determinazione della durata in carica;
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale |
|---|---|---|
| 279.611.010 | 100% | 78,845% |
| 279.611.010 | 100,000% | 78.845% |
| 0,000% | 0,000% | |
| n. azioni | % partecipanti al voto | % del Capitale Sociale |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 279.009.251 | 99,785% | 78,676% |
| Contrario | 499.759 | 0.179% | 0,141% |
| Astenuto | 102.000 | 0.036% | 0.029% |
| Non Votante | 0.000% | 0.000% | |
| Totali | 279-611.010 | 100,000% | 78.845% |


Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui al punto 1 all'ordine del giorno dell'Assemblea in parte straordinaria, nomina del Consiglio di Amministrazione della durata in carica;
| CF/PI | Azioni | % su votanti | Voto | |
|---|---|---|---|---|
| Anagrafica ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND |
118.715 | 0,042% | F | |
| 16.182 | 0,006% | F | ||
| ABU DHABI PENSION FUND | 29.700 | 0,011% | F | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 600.527 | 0,215% | F | |
| AFER ACTIONS PME | 1.523 | 0,001% | F | |
| ALASKA PERMANENT FUND CORPORATION | 450.000 | 0,161% | F | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | ||||
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN FUNDAMENTALINTERNA |
294.229 | 0, 105% | F | |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,097% | F | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | F | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0,005% | F | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0,048% | F | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,018% | E | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% | F | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUIly ETF |
2.549 | 0,001% | F | |
| AMERICAN HEART ASSOCIATION, INC. | 214 | 0,000% | F | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4.830 | 0,002% | F | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | F | |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | F | |
| AMUNDI PATRIMOINE | 10 | 0,000% | F | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0,121% | F | |
| ANIMA CRESCITA ITALIA | 409.254 | 0,146% | F | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,025% | F | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | F | |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | F | |
| ANIMA ITALIA | 310 852 | 0,111% | F | |
| ANNE RAY FOUNDATION | 74-700 | 0,027% | F | |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | 19.528 | 0,007% | F | |
| AQR CAPITAL MANAGEMENT LLC Arca Azioni Italia |
431.000 | 0,154% | F | |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0,358% | E | |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0.000% | F | |
| 94.744 | 0,034% | F | ||
| ARROWST (DE) L/S FD NON FLIP ARROWST CAP GL EQ AEF NON FLIP |
205.115 | 0,073% | F | |
| 38.830 | 0.01 4% | F | ||
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II |
40.115 | 0,014% | F | |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT, | 5.437 | 0,002% | F |
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"Calderoni In diate 9/5/2019, rep- 133/7 " 59/82 Punto 4.2



Repertorio n. Aug 84 DIMAZIONE Il presente libro Haseu ofte desti bu elizedi PIACGI con sede in Pour of 1020 ( 1) - Viole Rich obd o Piacofio, Co consta di numero ollellero o alle luce sottoscritto Dott. CLAUDIO CALDERONI, Notaio in fize iscritto a ruolo nel Distreito Notarile di Pisa, oggi sottoposto a vidimazione. fi sei settembre bluesmillo entreme

Sede legale in Pontedera (PI), viale Rinaldo Piaggio, n. 25
codice fiscale 04773200011
()
()
17/04/2024 , in posecorrous del loto of loss of of incolner of consemble
| 1 1 2005 17 Anagrafica |
CF/Pl | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND INATES |
268.959 | 0,096% | F | |
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0.008% | F | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | F | |
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | F | |
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | F | |
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | F | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY- | 9.506 | 0,003% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND ICAY. |
1.142 | 0,000% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) LIMITED |
40.422 | 0,014% | F | |
| AS ACWI EX US AETF U NON FLIP | 171.038 | 0,061% | F | |
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,023% | F | |
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive Credit Suisse Funds AG |
21.733 | 0,008% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 50.000 | 0,018% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 1 4.800 | 0,005% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | F | |
| AZIMUT LIFE DAC | 9,548 | 0.003% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | F | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,615% | F | |
| BETURN | 147.167 | 0.053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS, FOR EMPLOYEE BENEFIT TRUSTS. |
884.995 | 0.317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.07 4 | 0,011% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0.645% | E | |
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,141% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,041% | F | |
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0,009% | F | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0.084% | F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 | 0,032% | F | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 145.000 | 0,052% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0.056% | F | |
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | F | |
| CC AND L Q 140/40 FUND | 1.112 | 0,000% | F | |
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | F | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | F | |
| CC&L Q 140/40 FUND. | 221 | 0,000% | F | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD., | 1.738 | 0,001% | F | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | රිශ් | 0,000% | E | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | F | |
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | F | |
| CI WISDOMTREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0,000% | F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 33.982 | 0,012% | F | |
| CITY OF NEW YORK GROUP TRUST | 71.256 | 0,025% | F | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0,087% | F | |
| CM-AM ENTREPRENEURS EUROPE | 910-000 | 0,325% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | F |
| EMARKET SDIR |
|---|
| CERTIFIED |
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| COLANINNO MATTEO | CLNMT70R16E897P | 125.000 | 0.045% | F |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | · 0.045% | ut |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0.031% | 10-3 | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREEI | 1.384 | 0.000% | ||
| CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD |
85.497 | 0,031% | F | |
| PORTFOLIO D | ||||
| CPPI8 MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN SOLUTIONS LID |
395 | 0,000% | F | |
| CREDIT SUISSE INDEX FUND (LUX) | 64.936 | 0,023% | F | |
| CRELAN INVEST BALANCED | 117.676 | 0,042% | F | |
| CRELAN INVEST CONSERVATIVE | 13.782 | 0,005% | F | |
| CRELAN INVEST DYNAMIC | 56.093 | 0,020% | F | |
| CSIFCH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12.102 | 0,004% | F | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds | 7.916 | 0,003% | F | |
| AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus |
19.288 | 0,007% | F | |
| Credit Suisse Funds AG D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C |
402 | 0,000% | F | |
| DEE. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C | 1.902 | 0.001% | F | |
| 6.558 | 0,002% | F | ||
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 01501320442 | 19.838.938 | 7,095% | F |
| DIEGO DELLA VALLE & C. SRL DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER |
18.400 | 0,007% | F | |
| ENSIGN PEAK ADVISORS INC. | 28.926 | 0,010% | F | |
| 42.835 | 0,015% | F | ||
| EURIZON AM RILANCIO ITALIA TR | 241.543 | 0,086% | F | |
| EURIZON AZIONI ITALIA | 1.048.410 | 0,375% | F | |
| EURIZON AZIONI PMI ITALIA | 174.379 | 0,062% | F | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 294.030 | 0,105% | F | |
| EURIZON FUND | 51.540 | 0,018% | F | |
| EURIZON PIR ITALIA AZIONI | 248-100 | 0,089% | F | |
| EURIZÓN PROGETTO ITALIA 20 | 714.291 | 0,255% | F | |
| EURIZON PROGETTO ITALIA 40 | 310.787 | 0,111% | F | |
| EURIZON PROGETTO ITALIA 70 | 0,016% | F | ||
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | |||
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX | 89.491 | 0,032% | F | |
| FUND FIDEURAM COMPARTO PIANO AZIONI ITALIA |
2.215.500 | 0,792% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | F | |
| 438-129 | 0,157% | F | ||
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 25.000 | 0,009% | F | |
| FIDEURAM ITALIA | 106.900 | 0,038% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
54.094 | 0,019% | F | |
| INDEX FUND | ||||
| FONDITALIA | 550.000 | 0,197% | F | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 2.626 | 0,001% | F | |
| FORSTA AP - FONDEN | 219.657 | 0,079% | F | |
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 182.816 | 0,065% | F | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,013% | F | |
| GESTIELLE PRO ITALIA | 37.887 | 0,014% | F | |
| GLOBAL PORTFOLIO | 135.000 | 0,048% | F | |
| GOTHAM CAPITAL V LLC | 170 | 0,000% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | F | |
| HAWTHORN EQ LLC | 381.318 | 0,136% | F | |
| HKL LLC | 310.801 | 0,111% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | F | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | F | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,206% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | F | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0,061% | F | |
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | E |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | 7.529 | 0,003% | F |


| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| ING DIRECT FONDO NARANJA DINAMICO FI | 71.163 | 0.025% | F | |
| ING DIRECT FONDO NARANJA MODERADO FI | 49.601 | 0,018% | F | |
| INTERFUND SICAVE TH | 27.000 | 0,010% | F | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | ||||
| DIMENSIONS GROUP INC | 851.775 | 0,305% | F | |
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | F | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 27.515 | 0,010% | F | |
| ALLOCATION - DANMARK AKKUMULERENDE KL | ||||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION EURO - ACCUMULATING KL |
8.442 | 0.003% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION NORGE - ACCUMULATING KL | 5.181 | 0,002% | F | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | ||||
| ALLOCATION SVERIGE - ACCUMULATING KL | 9.086 | 0,003% | F | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28,038 | 0,010% | F | |
| INVESTITORI EUROPA | 78.080 | 0,028% | F | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% | F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | 0,000% | F | |
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0.575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% | F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | F | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | F | |
| ISHARES MSCI EAFE SMALL-CAP ETF | ||||
| ISHARES MSCI EUROPE SMALL-CAP ETF | 569.805 | 0,204% | F | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 14.406 | 0,005% | F | |
| ISHARES VII PUBLIC LIMITED COMPANY | 356.364 | 0,127% | F | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 143.558 | 0,051% | F | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | 1.358.668 | 0,486% | F | |
| COMPANIES FUND | 2.409.330 | 0,862% | F | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0,014% | E | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0.004% | F | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | F | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | F | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | F | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | F | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | F | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | E | |
| KBC EQUITY FUND SRI WORLD | 16.787 | 0,006% | E | |
| KBC Equity Fund World | 8.873 | 0,003% | F | |
| KBC INST FD EURO EQTY SM & MED CAPS | 103.675 | 0,037% | E | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0.009% | F | |
| KBC VERZEKERINGEN NV | 400.000 | 0,143% | F | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | F | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0.012% | F | |
| LEADERSEL P.M.I | 143.343 | 0.051% | F | |
| LEGAL & GENERAL ICAV. | 8.588 | 0,003% | E | |
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0.027% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | F | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | F | |
| LGT SELECT FUNDS | 10:037 | 0.004% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0,007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0.004% | F | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | E | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP. | 437.200 | 0,156% | F | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0.019% | F |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,005% | F | |
| YXOR FISE ITALIA MID CAP PIR | 361.152 | 0,129% | F | |
| M INTERNATIONAL EQUITY FUND | 1 .07 1 | 0,000% | F | |
| MAIN I - UNIVERSAL - FONDS | 419.894 | 0,150% | F | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 1,976 | 0,001 % | F |
| EMARKET SDIK |
|---|
| CERTIFIED |
| Azioni CF/PI |
% su votariti Voto | |||
|---|---|---|---|---|
| Anagratica MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC |
312 | 0.000% | ್ಕೆ ಸಾ | |
| DIVERSIFIED RISK P REMIA PROGRESSIVE | ||||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0.00688 | S. SF | |
| SMALL CAP EQUITY POOLE | 45.200 | 0,016% | F | |
| MARGARET A. CARGILL FOUNDATION MARYLAND STATE RETIREMENT PENSION SYSTEM |
16.057 | 0,006% | F | |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304 500 | 0,109% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1.287.829 | 0,461% | E | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,707% | F | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 1 46.600 | 0,052% | F | |
| MERCER GE INTERNATIONAL EQUITY FUND. | 22.200 | 0.079% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.880.024 | 0,672% | F | |
| MERCER QIF FUND PLC | 34.129 | 0,012% | F F |
|
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,021% | F | |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% 0,019% |
F | |
| MERCY INVESTMENT SERVICES INC. | 51.920 551.928 |
0,197% | E | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 65.600 | 0,023% | F | |
| MI FONDS KIO | 6.768 | 0,002% | F | |
| MSCIACWI EX-U.S. IMI INDEX FUND B2 | 10.423 | 0,004% | F | |
| MUL- LYX FISE IT ALL CAP PIR | 15.861 | 0,006% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 500.000 | 0,179% | E | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST |
1.003.005 | 0,359% | F | |
| NATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | F | |
| NEF RISPARMIO ITALIA | 160.529 | 0,057% | F | |
| NES LIMITED | 7.254 | 0,003% | F | |
| NON US EQUITY MANAGERS PORTFOLIO 1 ERISA | 23.100 | 0,008% | F | |
| NORGES BANK | 990.929 | 0,354% | F | |
| INORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9.704 | 0,003% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,045% | F | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | F | |
| PANAGORA ASSET MANAGEMENT INC | 1-285 | 0,000% | F | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0,009% | F | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0,024% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% | F | |
| PRICOS | 571.528 | 0,204% | F F |
|
| PRICOS DEFENSIVE | 14.820 | 0,005% | F | |
| PRICOS SRI | 86.873 | 0,031% | F | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 6.996 |
0,003% 0,003% |
F | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 1,288.888 | 0,461% | F | |
| QUADRIGE EUROPE MIDCAPS | 308.888 | 0, 110% | F | |
| QUADRIGE MULTICAPS EUROPE | 48.888 | 0,017% | F | |
| QUADRIGE PATRIMOINE QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES |
205 842 | 0.074% | F | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | F | |
| ROBERT BOSCH GMBH | 72.750 | 0,026% | F | |
| ROBIN 1-FONDS | 135-587 | 0,048% | F | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | F | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0,006% | F | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | E | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | F | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0, 135% | F | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0,137% | F | |
| SBC MASTER PENSION TRUST | 21-435 | 0.008% | F F |
|
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | ||
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX FUND |
45.546 | 0,016% | F | |
| ISCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329.963 | 0,118% | F F |
|
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0,013% |


| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| SGD GE 201.4-1 1. 1. 1. 1. 2. 1 |
11.087 | 0.004% | F | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | F | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | 728 | 0,000% | F | |
| INTERNATIONAL PENSION FUND | ||||
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 13.905 | 0,005% | F | |
| CONTRIBUTORY PENSION FUND | F | |||
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 2.983 | 0.001% | F | |
| SPDR PORTFOLio EUROPE ETF | 3.868 | 0,001% | F | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF SSB MSCI ACWIEX USA IMI SCREENED NONLENDING COMMON TRUST |
84.761 | 0.030% | ||
| FUND | 7-886 | 0,003% | F | |
| SSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,036% | ה | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | F | |
| STAR FUND | 15.300 | 0.005% | F | |
| STAR FUND | 1.425.000 | 0,5 0% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,009% | F | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | F | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0.015% | F | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10-020 | 0,004% | F | |
| STICHTING PHILIPS PENSIOENFONDS | 10.580 | 0,004% | F | |
| STICHTING SHELL PENSIOENFONDS | 66.777 | 0,024% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0.005% | F | |
| SUEBIA-FONDS | 250.000 | 0,089% | F | |
| SWEDBANK ROBUR SMALL CAP EURÓPE | 6.792.000 | 2,429% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 257-216 | 0,092% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0.095% | F | |
| TEXTRON INC MASTER TRUST | 301-700 | 0,108% | F | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.11 | 0,002% | F | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | F | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | F | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,003% | F | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS |
251.300 | 0,090% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0,014% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0,009% | F | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0,001% | F | |
| UBS (IRL) EIF PLC | 43.842 | 0,016% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | E | |
| ubs Lux Fund Sofullions | 53.326 | 0,019% | F | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0,038% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | F | |
| UNION INVESTMENT PRIVATFONDS GMBH . | 70.079 | 0,025% | F | |
| UNITED CHURCH FUNDS INC. | 88.800 | 0,032% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0, 1 40% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- FONDS |
227.595 | 0,081% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- UNIVERSAL-FONDS |
5.966 | 0,002% | F | |
| UTAH STATE RETIREMENT SYSTEMS | 15.148 | 0,005% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,486% | F | |
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | F | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | F | ||
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0,005% 0,121% |
F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX | ||||
| TRUST | 22.444 | 0,008% | F |
| EMARKET SDIR |
|---|
| CERTIFIED |
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 154.225 | 10,055% | SAF | |
| INTERNATIONAL STOCK MARKET INDEX TRUST | ||||
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL | 1.117.339 | 0.400% (4 1P | ||
| INTERNATIONAL STOCK MARKET INDEX TRUST II | 579.464 | 0,2079 0,2079 0,2079 | ||
| VANGUARD FTSE ALLWORLD EXUS SMALLCAP INDEX FUND | ||||
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | F | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0,001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0,001% | F | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26 003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | F | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | F | |
| VIF ICVC VANGUARD FTSE GLOBAL ALL CAP INDEX FUND | 1.069 | 0,000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0,010% | E | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY | 13.897 | 0,005% | F | |
| FUND | ||||
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL | 14.838 | 0,005% | F | |
| SMALLCAP EQUITY FUND WISDOMITREE EUROPE HEDGED EQUITYFUND |
971.095 | 0,347% | F | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | F | |
| WISDOM TREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | F | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38 518 | 0,014% | E | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH | 711.102 | 0,254% | F | |
| FUND | ||||
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0,017% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14-376 | 0.005% | F | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0,350% | F | |
| XTRACKERS MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0,000% | F | |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | C | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,004% | C | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | C | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0.000% | C | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 285.200 | 0,102% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 65219 | 0,023% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0,036% | A |
279.611.010
100%
ここでのあなたのです。
ここでのあなたのです。
ここでのあなたのです。
ここでもあります。
1987年のあるのではないかな
1987年にはないという。
1987年にはないという。
1987年にはないという。
1987年にはないという。
1987年にはないという。
1987年にはないという。
1987年にはないという。
1987年にはないという
Punto 4.2


Subardinatamente all'approvazione del nuovo testo di cui all'ardine del giorno dell'Assembled in parte straordinario, nomina del Consiglio di Amministrazione: nomina dei Consiglio di Amministrazione;
| 279.611.010 | 100% | 78,845% |
|---|---|---|
| 279.611.010 | 100,000% | 78,845% |
| D | 0,000% | 0.000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Lista 1 | 180.370.0821 | 64.508% | 50,861% |
| Lista 2 | 19.838.938 | 7,095% | 5,594% |
| Lista 3 | 77.424.0331 | 27,690% | 21,832% |
| Contrario | 0,000% | 0,000% | |
| Astenuto | 1.977.957 | 0,707% | 0.558% |
| Non Votante | 0,000% | 0.000% | |
| Totali | 279.611.010 | 100,000% | 78.845% |



Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui all'ardine del giorno dell'Assemblea in parte straordinaria, nomina del Consiglio di Amministrazione: nomina dei Consiglio di Amministrazione;
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Monte Titoli S.p.A. nella persona della Dottoressa Ambrosini Claudia
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| CAPITAL INTERNATIONAL FUND | 88.260 | 0,032% | LI | |
| COLANINNO MATTEO | CLNMT70R16E897P | 125.000 | 0,045% | LT |
| COLANINNO MICHELE | CLNMHL76S23E897N | 125.000 | 0,045% | LI |
| IMMSI S.P.A. | 07918540019 | 179.328.621 | 64,135% | LI |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | LI |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% | LI | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 7.095% | L2 |
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FÜND | 118.715 | 0,042% | 13 | |
| ABU DHABI PENSION FUND | 16.182 | 0,006% | 13 | |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIÓ | 29.700 | 0,011% | 13 | |
| AFER ACTIONS PME | 600 527 | 0.215% | 13 | |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0,001% | 13 | |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | 13 | |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN FUNDAMENTALINTERNA |
294,229 | 0,105% | 13 | |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0,097% | 13 | |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | 13 | |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0.005% | । ਤੋ | |
| ALLIANZGI-FONDS DSPT | 134.232 | 0.048% | 13 | |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,018% | 13 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | 13 | |
| AMERICAN CENTURY EFF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | 13 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% | 13 | |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
2,549 | 0,001% | 13 | |
| AMERICAN HEART ASSOCIATION, INC. | 214 | 0.000% | 13 | |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4.830 | 0,002% | 13 | |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | 13 | |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | 13 | |
| AMUNDI PATRIMOINE | 10 | 0,000% | 13 | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0,121% | 13 | |
| ANIMA CRESCITA ITALIA | 409.254 | 0, 1 46% | 13 | |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0,025% | 13 | |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | 13 | |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | 13 | |
| ANIMA ITALIA | 310.852 | 0.111% | 13 | |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | 13 | |
| AQR DELPHILONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF AQR CAPITAL MANAGEMENT LLC |
19.528 | 0,007% | 13 | |
| Arca Azioni Italia | 431.000 | 0.154% | 13 | |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0.358% | 13 |

10000
| (2007) | ||||||
|---|---|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto | ||
| ARIZONA STATE RETIREMENI SYSTEM | 402 - 3 | 10,000% -- 13 : 1 | ||||
| ARROWST (DE) L/S FD NON FLIP | 94.7441 | 0.034% | 13 13 | |||
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0.073% | ੀਤੀ | |||
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0.014% 177 ್ಕೆ |
13 . | |||
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40.115 | 0.01 4% - 43 * | ||||
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT. | 5.437 | 0.002% | -13 | |||
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMITED |
268.959 | 0,096% | ાં રે | |||
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 0.008% | 13 | |||
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 | 0,006% | 13 | |||
| ARROWSTREET GLOBAL EQUITY FUND | 104.128 | 0,037% | 13 | |||
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0.001% | 13 | |||
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | 13 | |||
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0,018% | 13 | |||
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | 13 | |||
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY- | 9.506 | 0,003% | ાં રે | |||
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND | 1.142 | 0,000% | 13 | |||
| ICAY. ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND (CAYMAN) |
57.237 | 0,020% | 13 | |||
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND | 40.422 | 0,01 4% | 13 | |||
| CAYMAN] LIMITED AS ACWI EX US AETF U NON FLIP |
171.038 | 0.061% | 13 | |||
| AS INTL EQ EAFE AEF NON FLIP | 64.645 | 0,023% | ા 3 | |||
| AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive | 21.733 | 0,008% | 13 | |||
| Credit Suisse Funds AG | 50.000 | 0.018% | ા 3 | |||
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND | 14.800 | 0,005% | િરે | |||
| AZIMUT CAPITAL MANAGEMENT SGR SPA AZIMUT CAPITAL MANAGEMENT SGR SPA |
400.000 | 0, 1 43% | 13 | |||
| AZIMUT LIFE DAC | 9.548 | 0,003% | 13 | |||
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | 13 | |||
| BANCOPOSTA RINASCIMENTO | 356.311 | 0,127% | 13 | |||
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1-720 417 | 0,615% | 13 | |||
| BETURN | 147.167 | 0,053% | 13 | |||
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF | 23.508 | 0,008% | 13 | |||
| ISHARES WORLD EX SWITZERLAND BLACKROCK AUTHORISED CONTRACTUAL SCHEME I |
100 | 0,000% | । ਤ | |||
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS | 884.995 | 0.317% | ાં 3 | |||
| FOR EMPLOYEE BENEFIT TRUSTS BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMILB |
30.07 4 | 0.011% | 13 | |||
| 1.803.344 | 0,645% | 13 | ||||
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 393.301 | 0,141% | 13 | |||
| BNP PARIBAS B PENSION SUSTAINABLE GROWTH | 116.028 | 0,041% | 13 | |||
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 25.546 | 0,009% | 13 | |||
| BNP PARIBAS EQUITY - FOCUS ITALIA | 236-079 | 0,084% | 13 | |||
| BNPP MODERATE - FOCUS ITALIA | 90.474 | 0,032% | । ਤੇ | |||
| CAISSE DE RETRAITE D'HYDRO-QUEBEC CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. |
1 45.000 | 0,052% | િક | |||
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 157.388 | 0,056% | 13 | |||
| CC AND L Q 1 40/40 FUND | 1.112 | 0,000% | 13 | |||
| CC AND L US Q MARKET NEUTRAL ONSHORE FUND II | 17 | 0,000% | િંગ્લ મુસ્ત તિ | |||
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | િડિ | |||
| CC&L Q 140/40 FUND. | 221 | 0,000% | િર | |||
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD | 1.738 | 0,001% | ાં રે | |||
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | ેત્ર | 0,000% | 113 | |||
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | । ਤੋ | |||
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | 13 | |||
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | । ਤੇ | |||
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | 13 | |||
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0,036% | ાં રે | |||
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX EIF | 1.140 | 0,000% | 13 |


| Anagratica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| CI WISDOMITRE INT'QUALITY DIVI GROWTH VARIABLY | 3.894 | 0,001% | 13 | |
| CI WISDOM TREE INTERNATIONAL-QUALITY DIVI GROWTH | 33.982 | 0,012% | 13 | |
| CITY OF WEW YORK GROUP TRUST | 71.256 | 0,025% | 13 | |
| CLEARWATER INTERNATIONAL FUND | 244.500 | 0.087% | 13 | |
| CM-AM ENTREPRENEURS EUROPE | 910.000 | 0,325% | 13 | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES LIMITED |
3.374 | 0,001% | 13 | |
| COLLEGE RETIREMENT EQUITIES FUND | 133.362 | 0,048% | 13 | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86,088 | 0,031% | 13 | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET CAPITAL LP |
1.384 | 0,000% | 13 | |
| CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD PORTFOLIO D |
85.497 | 0,031% | 13 | |
| CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN SOLUTIONS LTD |
રૂત્વર | 0,000% | ાં 3 | |
| CREDIT SUISSE INDEX FUND (LUX) | 64.936 | 0,023% | 13 | |
| CRELAN INVEST BALANÇED | 117.676 | 0,042% | 13 | |
| CRELAN INVEST CONSERVATIVE | 13.782 | 0,005% | ાં રે | |
| CRELAN INVEST DYNAMIC | 56.093 | 0,020% | ાં 3 | |
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12.102 | 0,004% | 13 | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds | 7.916 | 0,003% | 13 | |
| AG CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus |
19.288 | 0,007% | 13 | |
| Credit Suisse Funds AG D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C |
402 | 0,000% | 13 | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIÓS L.L.C. | 1.902 | 0,001% | 13 | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | 13 | |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18.400 | 0,007% | 13 | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0.010% | । ਤੇ | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0.015% | 13 | |
| EURIZON AZIONI ITALIA | 241.543 | 0,086% | 13 | |
| Eurizon Azioni PMI ITALIA | 1.048.410 | 0,375% | 13 | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | 13 | |
| EURIZON FUND | 294.030 | 0.105% | 13 | |
| EURIZON PIR ITALIA AZIONI | 51.540 | 0,018% | 13 | |
| EURIZON PROGEITO ITALIA 20 | 248.100 | 0,089% | 13 | |
| EURIZON PROGETTO ITALIA 40 | 714.291 | 0.255% | 13 | |
| Eurizon Progeito Italia 70 | 310.787 | 0,111% | -13 | |
| FIDELITY CONCORD STREET TRUST: FIDELITY SAI INTERNATIONAL S | 43.964 | 0,016% | 13 | |
| FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND |
89.491 | 0,032% | 13 | |
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 2.215.500 | 0,792% | 13 | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | ાં રે | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0.157% | 13 | |
| FIDEURAM ITALIA | 25.000 | 0,009% | 13 | |
| FIRST CHURCH OF CHRIST SCIENTIST | 106.900 | 0,038% | 13 | |
| FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND |
54.094 | 0,019% | 13 | |
| FONDITALIA | 550.000 | 0,197% | । ਤ | |
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 2.626 | 0,001% | 13 | |
| FORSTA AP - FONDEN | 219.657 | 0,079% | 13 | |
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 182.816 | 0,065% | 13 | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0,013% | 13 | |
| GESTIELLE PRO ITALIA | 37.887 | 0,014% | 13 | |
| GLOBAL PORTFOLIO | 135.000 | 0,048% | 13 | |
| GOTHAM CAPITAL V LLC | 170 | 0,000% | િડ | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0.063% | ાં રે | |
| HAWTHORN EQ LLC | 381.318 | 0,136% | । उ | |
| HKL II LLC | 310.801 | 0,111% | 13 | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | 13 | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0.038% | ાં રે | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0,206% | 13 |

| 3 | ||
|---|---|---|
| of cu uctanti | Voto |
| 100000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 | ||||
|---|---|---|---|---|
| Anagratica | Azioni CF/Pl |
% su votanti | Voto 13 2 |
|
| IAM NATIONAL PENSION FUND | 12,256 31 1 | 0.004% 0,010% |
131 | |
| IBM 401 (K) PLUS PLAN TRUST | 29,245 43 170.600 |
0,061% મિત્યુ |
131 | |
| ILLINOIS STATE BOARD OF INVESTMENT | 7.529 | 0,003%) | 1335 | |
| ING DIRECT FONDO NARANJA CONSERVADOR FI | 71.163 | 0:025% | 137 | |
| ING DIRECT FONDO NARANJA DINAMICO FI | 49.601 | 3 01018% | -13 | |
| ING DIRECT FONDO NARANJA MODERADO FI | 27.000 | 0.010% | 13 | |
| INTERFUND SICAV | ાં રે | |||
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT DIMENSIONS GROUP INC |
851.775 | 0,305% | ||
| INTERNATIONAL MONETARY FUND | 2.778 | 0,001% | 13 | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | 71.874 | 0,026% | 13 | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION - DANMARK AKKUMULERENDE KL |
27.515 | 0,010% | 13 | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET ALLOCATION EURO - ACCUMULATING KL |
8.442 | 0,003% | 13 | |
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 5.181 | 0,002% | 13 | |
| ALLOCATION NORGE - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
9.086 | 0,003% | 13 | |
| ALLOCATION SVERIGE - ACCUMULATING KL | 28.038 | 0,010% | 13 | |
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 78.080 | 0,028% | 13 | |
| INVESTITORI EUROPA | 220.820 | 0,079% | 13 | |
| INVESTITORI PIAZZA AFFARI | 1.167 | 0,000% | 13 | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1-606-626 | 0,575% | 13 | |
| ISHARES CORE MSCI EAFE ETF ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF |
487.177 | 0,174% | 13 | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | 0,001% | 13 | |
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | 13 | |
| ISHARES MSCI EAFE SMALL-CAP ETF | 569.805 | 0.204% | 13 | |
| ISHARES MSCI EUROPE SMALL-CAP ETF | 14-406 | 0,005% | 13 | |
| ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF | 356.364 | 0,127% | 13 | |
| ISHARES VII PUBLIC LIMITED COMPANY | 143.558 | 0,051% | 13 | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1.358.668 | 0,486% | ાં 3 | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER COMPANIES FUND |
2.409.330 | 0,862% | 13 | |
| JHF II INT'L SMALL CO FUND | 39.172 | 0.014% | 13 | |
| JHVIT INT'L SMALL CO TRUST | 11-658 | 0,004% | 13 | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | 13 | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | 13 | |
| KBC EQUITY FUND EUROZONE | 29.430 | 0,011% | 13 | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | 13 | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | 13 13 |
|
| KBC EQUITY FUND SRI EUROZOME | 71.486 | 0,026% | 13 | |
| KBC EQUITY FUND 281 MORED | 16.787 | 0.006% | ાં 3 | |
| KBC Equity Fund World | 8.873 103.675 |
0,003% 0,037% |
ાં રે | |
| KBC INST FD EURO EQTY SM & MED CAPS | 25.536 | 0,009% | । ਤੇ | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 400.000 | 0,143% | । ਤੇ | |
| KBC VERZEKERINGEN NV | 3.452 | 0,001% | ાં 3 | |
| I ACFRA MASTER OPEB TRUST | 346 890 | 0,124% | 13 | |
| LAKE AVENUE INVESTMENTS LLC | 33.000 | 0,012% | 13 | |
| LARCOUEST INVESTISSEMENT - MH | 143.343 | 0,051% | ાં 3 | |
| LEADERSEL P.M.I | 8.588 | 0,003% | 13 | |
| LEGAL & GENERAL ICAV. LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED |
76.725 | 0,027% | 13 | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | ાં રે | |
| legg mason international low volatility high dividend etf | 168.589 | 0,060% | િક | |
| IGT SELECT FUNDS | 10.037 | 0,004% | ા રે | |
| LINGOHR GLOBAL SMALL CAP | 20.07 1 | 0,007% | । ਤੋ | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | 13 | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11:305 | 0,004% | । ਤੇ | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | 13 | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | 13 | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP. | 437.200 | 0,156% | । ਤੇ |


| Anagrafica | CF/Pi | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| LVIP DIRENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,005% | ાં રે | |
| LYXOR FISEYTALIA MID GAP PIR | 361.152 | 0, 129% | 13 | |
| M INTERNATIONAL EQUITY. FUND | 1.071 | 0,000% | િક | |
| MAIN I - UNIVERSAL - FONDS | 419.894 | 0,150% | ા 3 | |
| MAN NUMERIC ALTERNATIVE RISK PREMIA VALUE. | 1.976 | 0.001% | 13 | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0,000% | 13 | |
| DIVERSIFIED RISK P REMIA PROGRESSIVE | ||||
| MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL | 16.637 | 0,006% | 13 | |
| SMALL CAP EQUITY POOLE | 45.200 | 0.016% | 13 | |
| MARGARET A. CARGILL FOUNDATION | 16.057 | ાં રે | ||
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 0,006% 0,109% |
ાં 3 | ||
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY MEDIÓLANUM GESTIÓNE FONDI SGR - FLESSIBILE FUTURO ITALIA |
304.500 2.297.695 |
0,822% | િંગ્લ | |
| 1.287.829 | 13 | |||
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 146.600 | 0,461% | ાં રિ | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 222.200 | 0.052% | । 3 | |
| MERCER GE INTERNATIONAL EQUITY FUND | 1.880.024 | 0,079% | ાં રે | |
| MERCER QIF COMMON CONTRACTUAL FUND | 34.129 | 0,672% | । ਤੇ | |
| MERCER QIF FUND PLC | 0,012% | 13 | ||
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0.021% | ાં રે | |
| MERCY INVESTMENT SERVICES INC | 51.920 | 0,019% | ાં રે | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 65.600 |
0,197% | 13 | |
| MI FONDS KIO MSCI ACWI EX-U.S. IMI INDEX FUND B2 |
0,023% 0,002% |
13 | ||
| 6.768 10.423 |
13 | |||
| MUL-LYX FISE IT ALL CAP PIR | 15.861 | 0,004% | 13 | |
| MULTI STYLE MULTI MANAGER FUNDSPLC NAGELMACKERS EQUITY SMALL & MID CAP FUND |
500.000 | 0,006% 0,179% |
ાં રે | |
| 285.200 | 0, 102% | 13 | ||
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST |
1.003.005 | ા રે | ||
| 0,359% | ||||
| NATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | 13 | |
| NEF RISPARMIO ITALIA | 160 529 | 0.057% | 13 | |
| NES LIMITED | 7-254 | 0,003% | । ਤੇ | |
| NON US EQUITY MANAGERS PORTFOLIO 1 ERISA | 23.100 | 0,008% | 13 | |
| NORGES BANK | 990-929 | 0,354% | ાં રે | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9-704 | 0,003% | 13 | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126.449 | 0,045% | 13 | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | 13 | |
| PANAGORA ASSET MANAGEMENT INC. | 1.285 | 0,000% | 13 | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25.000 | 0,009% | ા 3 | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0.024% | 13 | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0,002% | 13 | |
| PRICOS | 571.528 | 0,204% | 13 | |
| PRICOS DEFENSIVE | 14.820 | 0,005% | 13 | |
| PRICOS SRI | 86.873 | 0,031% | ાં 3 | |
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | 13 | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0,003% | ાં રે | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 65 219 | 0.023% | । ਤੇ | |
| QUADRIGE EUROPE MIDCAPS | 1 .288.888 | 0,461% | 13 | |
| QUADRIGE MULTICAPS EUROPE | 308.888 | 0, 110% | । ਤੇ | |
| QUADRIGE PATRIMOINE | 48.888 | 0.017% | 13 | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0,074% | । ਤੇ | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | ાં રિ | |
| ROBERT BOSCH GMBH | 72.750 | 0.026% | ાં રે | |
| ROBIN 1-FONDS | 135-587 | 0,048% | ાં રિ | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | ાં રે | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16.421 | 0.006% | ાં રે | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | 13 | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.9731 | 0,012% | । ਤੋ | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | િંગ્લ માટે તે જે તે તે તે તે તે તે તે તે તે તે આ ગામનાં પ્રાથમિક શાળા, આંગણવાડી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તે | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0.137% | િંગ્લેની સ | |
| SBC MASTER PENSION TRUST | 21-435 | 0,008% | િંગ્લેન્ડ | |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | 13 |

| Azioni | % su votanti | Voto | ||
|---|---|---|---|---|
| Anagrafica | CF/PI | 255-215 | 0.091% | 13 |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | ||||
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | 45.546 | 0:016% | ાંડ | |
| FUND SCHWAB INTERNATIONAL SMALLCAP EQUITY ETF |
329.963 | 0.118% | 137 | |
| SEI GLOBAL MASTER FUND PLC | 36.401 | 0.013% | -134 | |
| SGD GE 2014-1 | 11.087 | 0.004% 7 | 213 | |
| SHELL CANADA 2007 PENSION PLAN | 30 | 0,000% | ા 3 | |
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | 728 | 0.000% | ાં રે | |
| INTERNATIONAL PENSION FUND SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS |
13.905 | 0,005% | 13 | |
| CONTRIBUTORY PENSION FUND | 2.983 | 0,001% | 13 | |
| SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS. | 3.888 | 0,001% | ા રે | |
| SPDR PORTFOLIO EUROPE EIF | 84.761 | 0,030% | L3 | |
| SPDR S&P INTERNATIONAL SMALL CAP ETF | ||||
| SSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | ા 3 | |
| ISSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | 13 | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,036% | 13 | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | ાં રે | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | 13 | |
| STAR FUND | 15.300 | 0,005% | 13 13 |
|
| STAR FUND | 1.425.000 | 0,510% | િઝ | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 1.092.982 |
0,011% 0,391% |
ાં રે | |
| STATE OF WISCONSIN INVESTMENT BOARD | 24.484 | 0,009% | ાં 3 | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 26.858 | 0,010% | 13 | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 5.251 | 0,002% | 13 | |
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL |
42.282 | 0,015% | 13 | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 | 0.004% | 13 | |
| STICHTING PHILIPS PENSIOENFORDS | 10.580 | 0,004% | 13 | |
| STICHTING SHELL PENSIOENFORDS | 66.777 | 0,024% | 13 | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 14.543 | 0,005% | 13 | |
| SUEBIA-FONDS | 250.000 | 0,089% | 13 | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 6.792.000 | 2,42990 | 13 | |
| IEACHER RELIBEMENT SYSTEM OF TEXAS | 257.216 | 0.092% | 13 | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 266.400 | 0,095% | 13 | |
| TEXTRON INC MASTER TRUST | 301.700 | 0,108% | 13 | |
| THE BARCLAYS BANK UK RETIREMENTFUND | 6.111 | 0,002% | -3 13 |
|
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | 13 | |
| THE METHODIST HOSPITAL | 190.500 8.400 |
0,068% 0,003% |
13 | |
| THE MONETARY AUTHORITY OF SINGAPORE THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS |
||||
| TRUS | 251.300 | 0,090% | િંગ્લ 13 |
|
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0,014% 0,009% |
L3 | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | |||
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIÓ | 2.198 | 0,001% | 13 | |
| UBS (IRT) ETF PLC | 43.842 | 0,016% | 13 | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | 13 | |
| NOW THOS ONNE INTERNS | 53.326 | 0,019% | ાં 3 | |
| UI-FONDS BAV RBI AKTIEN | 107.150 | 0,038% | 13 13 |
|
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% 0,025% |
ા 3 | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 88.800 |
0,032% | 13 | |
| UNITED CHURCH FUNDS INC. | 391.500 | 0, 1 40% | 13 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS IUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK A1- |
||||
| FONDS | 227.595 | 0,081% | ાં 3 | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-8 HAUPFONDS |
79.755 | 0,029% | ાં 3 | |
| IUNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- UNIVERSAL-FONDS |
5.966 | 0,002% | 13 | |
| UTAH STATE RETIREMENT SYSTEMS | 15-148 | 0,005% | ા રે | |
| VANGUARD DEVELOPED MARKETS INDEX FUND | 1.357.885 | 0,486% | 13 |


| Anagrafica | CF/PI Azioni |
% su votanti | Voto | |
|---|---|---|---|---|
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | 3.829 | 0,001% | 13 | |
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | 0.005% | 13 | |
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0,121% | 13 | |
| VANGUARS EIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22 444 | 0,008% | 13 | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,055% | 13 | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
1.117.339 | 0,400% | 13 | |
| VANGUARD FISE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0,207% | 13 | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25.241 | 0,009% | 13 | |
| VANGUARD FTSE DEVELOPED EUROPE ALL CAP INDEX ETE | 1-786 | 0,001% | 13 | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0.001% | 13 | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | 13 | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | 13 | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0,834% | 13 | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0,032% | 13 | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | 13 | |
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 1.069 | 0,000% | L3 | |
| WASHINGTON STATE INVESTMENT BOARD | 27 646 | 0,010% | 13 | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | 13 | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | 13 | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0,005% | 13 | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0.005% | 13 | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 971.095 | 0,347% | 13 | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0,020% | 13 | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0,000% | 13 | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | 13 | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | 13 | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
711.102 | 0,254% | 13 | |
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0,017% | 13 | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0,005% | 13 | |
| WISDOMTREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0.350% | 13 | |
| xtrackers MSCI EUROZONE HEDGED EQUITY ETF | 849 | 0.000% | 13 | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0.707% | A |
279.611.010 100%
Legantino
C - Committee
C - Committee
C - Committee
Ny - Lighter ( V ( C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - C - Mon Espresso

Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui all'ardine del giorno dell'Assembleo in parte obbordinaria, nomina del Consiglio di Amministrazione dei compensi.Delibere inerenti e conseguenti,
| n. azioni | % azioni rappresentate in assemblea |
% del Capitale Sociale | |
|---|---|---|---|
| Quorum costitutivo assemblea | 279.611-010 | 100% | 78,845% |
| Azioni per le quali il RD dispone di istruzioni per Il'OdG in votazione (quorum deliberativo): |
279.611.010 | 100,000% | 78,845% |
| Azioni per le quali il RD non disponeva di istruzioni: |
0,000% | 0,000% |
| n. azioni | % partecipanti al voto | % del Capitale Sociale | |
|---|---|---|---|
| Favorevole | 276.978.518 | 99.059% | 78,103% |
| Contrario | 2.225.992 | 0.796% | 0.628% |
| Astenuto | 102.000 | 0.036% | 0.029% |
| Non Votante | 304.500 | 0.109% | 0,086% |
| Totali | 279.611.010 | 100.000% | 78.845% |

Subordinatamente all'approvazione del nuovo testo di Statuto sociale di cui all'ordine del giorno dell'Assemblea in parte straordinaria, nomina del Consiglio di Amministrazione dei compensi.Delibere inerenti e conseguenti
Elenco dei partecipanti alla votazione per il tramite del Rappresentante Designato Monte Titoli S.p.A. nella persona della Dottoressa Ambrosini Claudia
| Anagrafica | CF/PI Azioni |
% su votanti | Voto |
|---|---|---|---|
| ABITL MULTIASSET UMBRELLA FUNDEUROPEAN MULTIASSET FUND | 118.715 | 0,042% | F |
| ABU DHABI PENSION FUND | 16.182 | 0.006% | F |
| ADVANCED SERIES TRUST AST GLOBAL BOND PORTFOLIO | 29.700 | 0,011% | F |
| AFER ACTIONS PME | 600.527 | 0,215% | F |
| ALASKA PERMANENT FUND CORPORATION | 1.523 | 0,001% | F |
| ALGEBRIS UCITS FUNDS PLC - ALGEBRIS CORE ITALY FUND | 450.000 | 0,161% | F |
| ALLIANCEBERNSTEIN DELAWARE BUSINESS TRUST - ALLIANCEBERNSTEIN FUNDAMENTALINTERNA |
294.229 | 0, 105% | F |
| ALLIANZ GLOBAL INVESTORS FUND | 270.427 | 0.097% | F |
| ALLIANZ ITALIA 50 SPECIAL | 70.000 | 0,025% | F |
| ALLIANZ STIFTUNGSFONDS NACHHALTIGKEIT | 14.252 | 0.005% | E |
| ALLANZGI-FONDS DSPT | 134.232 | 0,048% | F |
| AMERICAN BAR ASSOCIATION MEMBERS/MTC COLLECTIVE TRUST | 51.400 | 0,018% | F |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY ETF | 70.264 | 0,025% | F |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL EQUITY FUND | 107 | 0,000% | F |
| AMERICAN CENTURY ETF TRUST-AVANTIS INTERNATIONAL SMALL CAP EQUITY ETF |
2.048 | 0,001% | F |
| AMERICAN CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF |
2.549 | 0.001% | F |
| AMERICAN HEART ASSOCIATION. INC. | 214 | 0,000% | F |
| AMUNDI INDEX EUROPE EX UK SMALL AND MID CAP FUND | 4-830 | 0.002% | F |
| AMUNDI MSCI EMU SMALL CAP ESG CTB NZ AMB | 25.813 | 0,009% | F |
| Amundi MSCI Europe Small Cap ESG Climate Net Zero Ambition CTB | 6.348 | 0,002% | F |
| AMUNDI PATRIMOINE | 10 0,000% |
F | |
| AMUNDI PATRIMOINE PEA | 337.630 | 0,121% | F |
| ANIMA CRESCITA ITALIA | 409-254 | 0,146% | F |
| ANIMA CRESCITA ITALIA NEW | 70.000 | 0.025% | F |
| ANIMA FUNDS PUBLIC LIMITED COMPANY | 154.843 | 0,055% | F |
| ANIMA INIZIATIVA ITALIA | 1.330.474 | 0,476% | F |
| ANIMA ITALIA | 310.852 | 0.111% | E |
| ANNE RAY FOUNDATION | 74.700 | 0,027% | F |
| AQR DELPHI LONG-SHORT EQUITY MASTER ACCOUNT LP CARE OF | F | ||
| AQR CAPITAL MANAGEMENT LLC | 19.528 | 0,007% | |
| Arca Azioni Italia | 431.000 | 0,154% | E |
| Arca Economia Reale Bilanciato Italia 30 | 1.000.000 | 0,358% | F |
| ARIZONA STATE RETIREMENT SYSTEM | 402 | 0,000% | F |
| ARROWST (DE) L/S FD NON FLIP | 94.744 | 0.034% | F |
| ARROWST CAP GL EQ AEF NON FLIP | 205.115 | 0.073% | F |
| ARROWSTREET (CANADA) GLOBAL ALL-COUNTRY FUND II | 38.830 | 0,014% | F |
| ARROWSTREET (CANADA) GLOBAL WORLD SMALL CAP FUND II | 40-115 | 0.014% | F |
| ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND LIMIT, | 5.437 | 0,002% | F |
| EMARKET SDIR |
|---|
| CERTIFIED |
| CHARD | ||||
|---|---|---|---|---|
| CF/PI | Azioni | % su votanti | Voto | |
| Anagrafica ARROWSTREET CAPITAL GLOBAL EQUITY ALPHA EXTENSION FUND |
268.959 | : 0.096% | ||
| LIMITED | 15 | |||
| ARROWSTREET CAPITAL NEWBURY FUND LIMITED | 20.974 | 8.008% 58 0,006%1 |
F | |
| ARROWSTREET COLLECTIVE INVESTMENT TRUST | 16.180 104.128 |
0.03/15 | F | |
| ARROWSTREET GLOBAL EQUITY FUND | F | |||
| ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND | 2.690 | 0,001% | ||
| ARROWSTREET US GROUP TRUST | 478.211 | 0,171% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY | 50.685 | 0.018% | F | |
| ARROWSTREET US GROUP TRUST ARROWSTREET INTERNATIONAL EQUITY EAFE ALPHA EXTENSION FUND |
29.725 | 0,011% | F | |
| ARROWSTREET US GROUP TRUST-ARROWSTREET INTERNATIONAL EQUITY | 9.506 | 0.003% | F | |
| ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND | 1.142 | 0,000% | F | |
| ICAY. ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND |
57.237 | 0,020% | F | |
| (CAYMAN) ARROWSTREET WORLD SMALL CAP EQUITY ALPHA EXTENSION FUND |
40.422 | 0,014% | F | |
| (CAYMAN) LIMITED | 171.038 | 0,061% | F | |
| AS ACWI EX US AETF U NON FLIP | 64.645 | 0,023% | F | |
| AS INTL EQ EAFE AEF NON FLIP AXA Vorsorge Fonds II Equities Global Markets Small Cap Passive |
21.733 | 0,008% | F | |
| Credit Suisse Funds AG | 50.000 | 0,018% | F | |
| AZ FUND 1 AZ ALLOCATION ITALIAN TREND AZIMUT CAPITAL MANAGEMENT SGR SPA |
14.800 | 0,005% | F | |
| AZIMUT CAPITAL MANAGEMENT SGR SPA | 400.000 | 0,143% | F | |
| AZIMUT LIFE DAC | 9.548 | 0,003% | F | |
| AZL DFA INTERNATIONAL CORE EQUITY FUND | 8.981 | 0,003% | F | |
| BANCOPOSTA RINASCIMENTO | 356.311 | 0, 127% | F | |
| BERNSTEIN FUND INC INTERNATIONAL SMALL CAP PORTFOLIO | 1.720.417 | 0,615% | F | |
| BETURN | 147.167 | 0,053% | F | |
| BLACKROCK ASSET MANAGEMENT SCHWEIZ AG ON BEHALF OF ISHARES WORLD EX SWITZERLAND |
23.508 | 0,008% | F | |
| BLACKROCK AUTHORISED CONTRACTUAL SCHEME I | 100 | 0,000% | F | |
| BLACKROCK INSTITUTIONAL TRUST COMPANY, N.A. INVESTMENT FUNDS FOR EMPLOYEE BENEFIT TRUSTS |
884.995 | 0,317% | F | |
| BLACKROCK MSCI EAFE SMALL CAP EQUITY INDEX FUND B (EAFESMLB | 30.074 | 0,011% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE BALANCED | 1.803.344 | 0.645% | F | |
| BINP PARIBAS B PENSION SUSTAINABLE GROWTH | 393.301 | 0,141% | F | |
| BNP PARIBAS B PENSION SUSTAINABLE STABILITY | 116.028 | 0,041% | F F |
|
| BNP PARIBAS EQUITY - FOCUS ITALIA | 25.546 | 0,009% | F | |
| BNPP MODERATE - FOCUS ITALIA | 236.079 | 0,084% 0,032% |
F | |
| CAISSE DE RETRAITE D'HYDRO-QUEBEC | 90.474 145.000 |
0,052% | F | |
| CAIXABANK ASSET MANAGEMENT, SGIIC, S.A. | 157.388 | 0,056% | F | |
| CALIFORNIA STATE TEACHERS' RETIREMENT SYSTEM | 88.260 | 0.032% | F | |
| CAPITAL INTERNATIONAL FUND | 1.112 | 0,000% | F | |
| CC AND L Q 1 40/40 FUND CC AND L US Q MARKET NEUTRAL ONSHORE FUND II |
17 | 0,000% | F | |
| CC&L Q 140/40 FUND | ୧୫ | 0,000% | F | |
| CC&L Q 140/40 FUND, | 221 | 0,000% | F | |
| CC&L Q GLOBAL EQUITY MARKET NEUTRAL MASTER FUND LTD. | 1.738 | 0,001% | F | |
| CC&L Q INTERNATIONAL SMALL CAP EQUITY FUND | රිශ් | 0,000% | F | |
| CC&L Q MARKET NEUTRAL FUND | 1.450 | 0,001% | E | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II | 10.898 | 0,004% | F | |
| CC&L U.S. Q MARKET NEUTRAL ONSHORE FUND II. | 57 | 0,000% | E F |
|
| CCANDL ALTERNATIVE GLOBAL EQUITY | 317 | 0,000% | F | |
| CI WISDOMIREE EUROPE HEDGED EQUITY INDEX ETF | 1.140 | 0,000% 0,001% |
F | |
| CI WISDOMTREE INT QUALITY DIVI GROWTH VARIABLY | 3.894 33.982 |
0,012% | F | |
| CI WISDOMTREE INTERNATIONAL QUALITY DIVI GROWTH | 71.256 | 0,025% | F | |
| CITY OF NEW YORK GROUP TRUST | 244.500 | 0,087% | F | |
| CLEARWATER INTERNATIONAL FUND CM-AM ENTREPRENEURS EUROPE |
910.000 | 0,325% | F | |
| CMAP SRPM FUND LIMITED C/O MAPLES CORPORATE SERVICES | 3,374 | 0,001% | F | |
| LIMITED |


| Anagratica | CF/PI | Azioni | % su votantı | Voto |
|---|---|---|---|---|
| COLANINNO MATTEO | CLNMT70R16E897P | 125.000 | 0,045% | F |
| COLANING MICHELE | CLNMHL76S23E897N | 1 25.000 | 0,045% | F |
| COLLEGE RETIREMENT EQUILIES FUND | 133.362 | 0,048% | F | |
| CORTEVA AGRISCIENCE DEFINED CONTRIBUTION PLAN MASTER TRUST | 86.088 | 0,031% | F | |
| CPPIB MAP CAYMAN SPC - SEGREGATED PORTFOLIO ARROWSTREET | 1.384 | 0,000% | F | |
| CAPITAL LP CPPIB MAP CAYMAN SPC CPPIB MAP CAYMAN SPC, SGREGTD |
85.497 | 0,031% | F | |
| PORTFOLIO D CPPIB MAP CAYMAN SPC-SEGREGATED PORTFOLIO H MAN |
395 | 0,000% | F | |
| SOLUTIONS LTD | ||||
| CREDIT SUISSE INDEX FUND (LUX) | 64.936 | 0,023% | F | |
| CRELAN INVEST BALANCED | 117.676 | 0,042% | F | |
| CRELAN INVEST CONSERVATIVE | 13.782 | 0,005% | F | |
| CRELAN INVEST DYNAMIC | 56.093 | 0,020% | F | |
| CSIF CH Equity World ex CH Small Cap Blue Credit Suisse Funds AG | 12.102 | 0,004% | F | |
| CSIF CH Equity World ex CH Small Cap ESG Blue Credit Suisse Funds AG |
7.916 | 0,003% | F | |
| CSIF CH III Equity World ex CH Small Cap ESG Blue Pension Fund Plus Credit Suisse Funds AG |
19.288 | 0,007% | F | |
| D E SHAW ALLCOUNTRY GLOBAL ALPHA PLUSPORTFOLIOS L L C | 402 | 0,000% | F | |
| D. E. SHAW ALL COUNTRY GLOBAL VALUE ACTIVE PORTFOLIOS L.L.C. | 1.902 | 0,001% | F | |
| DETROIT EDISON QUALIFIED NUCLEAR DECOMMISSIONING TRUST | 6.558 | 0,002% | F | |
| DIEGO DELLA VALLE & C. SRL | 01501320442 | 19.838.938 | 1,095% | F |
| DUPONT SPECIALTY PRODUCTS & RELATED CO SAVINGS PLAN MASTER | 18.400 | 0,007% | F | |
| ENSIGN PEAK ADVISORS INC | 28.926 | 0.010% | F | |
| EURIZON AM RILANCIO ITALIA TR | 42.835 | 0.015% | F | |
| EURIZON AZIONI ITALIA | 241-543 | 0.086% | F | |
| EURIZON AZIONI PMI ITALIA | 1.048.410 | 0,375% | F | |
| EURIZON CAPITAL SGR-PIR ITALIA 30 | 174.379 | 0,062% | F | |
| EURIZON FUND | F | |||
| EURIZON PIR ITALIA AZIONI | 294.030 | 0.105% | F | |
| EURIZON PROGETTO ITALIA 20 | 51.540 | 0,018% | F | |
| 248.100 | 0,089% | F | ||
| EURIZON PROGETTO ITALIA 40 | 714.291 | 0,255% | ||
| EURIZON PROGETTO ITALIA 70 | 310.787 | 0,111% | F F |
|
| FIDELITY CONCORD STREET TRUST: FIDELITY SALINTERNATIONAL S FIDELITY SALEM STREET TRUST: FIDELITY TOTAL INTERNATIONAL INDEX |
43.964 89.491 |
0,016% 0.032% |
F | |
| FUND | ||||
| FIDEURAM COMPARTO PIANO AZIONI ITALIA | 2.215.500 | 0,792% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 30 | 154.177 | 0,055% | F | |
| FIDEURAM COMPARTO PIANO BILANCIATO ITALIA 50 | 438.129 | 0,157% | F | |
| FIDEURAM ITALIA | 25.000 | 0.009% | F | |
| FIRST CHURCH OF CHRIST SCIENTIST FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT |
106.900 54.094 |
0,038% 0,019% |
F F |
|
| INDEX FUND FONDITALIA |
F | |||
| 550.000 | 0,197% | |||
| FORD MOTOR COMPANY OF CANADA LIMITED PENSION TRUST | 2.626 | 0,001% | E | |
| FORSTA AP - FONDEN | 219 657 | 0.079% | F | |
| FRANCISCAN SISTERS OF LITTLE FALLS MINNESOTA | 35.200 | 0.013% | F | |
| GESTIELLE PRO ITALIA | 37.887 | 0,014% | F | |
| GLOBAL PORTFOLIO | 135.000 | 0.048% | F | |
| GOTHAM CAPITAL V LLC | 170 | 0,000% | F | |
| GREAT WEST CORE STRATEGIES INTERNATIONAL EQUITY FUND | 175.100 | 0,063% | F | |
| HAWTHORN EQ LLC | 381-318 | 0,136% | F | |
| HKL II LLC | 310.801 | 0,111% | F | |
| HRW TESTAMENTARY TRUST NO. 12. | 214.411 | 0,077% | F | |
| HRW TESTAMENTARY TRUST NO. 8. | 105.877 | 0,038% | F | |
| HSBC EUROPE SMALL & MID CAP | 575.823 | 0.206% | F | |
| IAM NATIONAL PENSION FUND | 12.256 | 0,004% | F | |
| IBM 401 (K) PLUS PLAN TRUST | 29.245 | 0,010% | F | |
| ILLINOIS STATE BOARD OF INVESTMENT | 170.600 | 0.061 % | F | |
| MMSI S.P.A. | 07918540019 | 179-328-621 | 64.135% | E |

| NILARO | ||||
|---|---|---|---|---|
| CF/P/ | Azioni | % su votanti | Voto | |
| Anagrafica ING DIRECT FONDO NARANJA CONSERVADOR FI |
7.529 11 | 0,003% | માં | |
| ING DIRECT FONDO NARANJA DINAMICO FI | 713163 - 1 | 0102576 | F | |
| ING DIRECT FONDO NARANJA MODERADO FI | 49:601121 | 0.01.8% | 17 | |
| INTERFUND SICAV | 27.000 M | Of Of 098 | 15 | |
| INTERNATIONAL CORE EQUITY PORTFOLIO OF DFA INVESTMENT | 851 775 | 0.305% | PFF | |
| DIMENSIONS GROUP INC | 2.778 | 0.001% | F | |
| INTERNATIONAL MONETARY FUND | 71.874 | 21 1 0.026% |
E | |
| INVESCO FISE RAFI DEVELOPED MARKETS EXUS SMALLMID ETF | ||||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 27.515 | 0,010% | F | |
| ALLOCATION - DANMARK AKKUMULERENDE KL | F | |||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 8.442 | 0.003% | ||
| ALLOCATION EURO - ACCUMULATING KL INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET |
5.181 | 0,002% | F | |
| ALLOCATION NORGE - ACCUMULATING KL | ||||
| INVESTERINGSFORENINGEN DANSKE INVEST SELECT TACTICAL ASSET | 9.086 | 0,003% | F | |
| ALLOCATION SVERIGE - ACCUMULATING KL | F | |||
| INVESTERINGSFORENINGEN SPARINVEST INDEX EUROPA | 28.038 | 0.010% | F | |
| INVESTITORI EUROPA | 78.080 | 0,028% | F | |
| INVESTITORI PIAZZA AFFARI | 220.820 | 0,079% 0,000% |
F | |
| ISHARES ALL-COUNTRY EQUITY INDEX FUND | 1.167 | F | ||
| ISHARES CORE MSCI EAFE ETF | 1.606.626 | 0,575% | F | |
| ISHARES CORE MSCI TOTAL INTERNATIONAL STOCK ETF | 487.177 | 0,174% 0,001% |
F | |
| ISHARES III PUBLIC LIMITED COMPANY | 2.565 | |||
| ISHARES INTERNATIONAL DEVELOPEDSMALL CAP VALUE FACTOR ETF | 52.520 | 0,019% | F | |
| 569.805 | 0,204% | E | ||
| ISHARES MSCI EAFE SMALL-CAP ETF | 14.406 | 0,005% | F | |
| ISHARES MSCI EUROPE SMALL-CAP ETF ISHARES MSCI INTL SMALL-CAP MULTIFACTOR ETF |
356.364 | 0,127% | F | |
| ISHARES VII PUBLIC LIMITED COMPANY | 143.558 | 0,051% | F | |
| JANUS HENDERSON EUROPEAN SMALLER COMPANIES FUND | 1.358.668 | 0,486% | F | |
| JANUS HENDERSON HORIZON FUND - PAN EUROPEAN SMALLER | 2.409.330 | 0,862% | F | |
| COMPANIES FUND | ||||
| JHF II INT'L SMALL CO FUND | 39.172 | 0,014% | F | |
| JHVIT INT'L SMALL CO TRUST | 11.658 | 0,004% | F | |
| KBC EQUITY FUND CONSUMER DURABLES | 489.984 | 0,175% | F | |
| KBC EQUITY FUND EMU SMALL & MEDIUM | 129.877 | 0,046% | F | |
| KBC EQUITY FUND EUROZONE | 29-430 | 0,011% | F | |
| KBC EQUITY FUND FAMILY ENTERPRISES | 540.364 | 0,193% | F | |
| KBC EQUITY FUND SRI EMU SMALL AND | 205.092 | 0,073% | F | |
| KBC EQUITY FUND SRI EUROZONE | 71.486 | 0,026% | F | |
| KBC EQUITY FUND 2RI WORLD | 16.787 | 0,006% | F | |
| KBC Equity Fund World | 8.873 | 0,003% | F | |
| KBC INST FD EURO EQTY SM &MED CAPS | 103.675 | 0,037% | F | |
| KBC Instit Invstors Family Enterprises DBI-RDT | 25.536 | 0,009% | F F |
|
| KBC VERZEKERINGEN NV | 400.000 | 0,143% | F | |
| LACERA MASTER OPEB TRUST | 3.452 | 0,001% | F | |
| LAKE AVENUE INVESTMENTS LLC | 346.890 | 0,124% | F | |
| LARCOUEST INVESTISSEMENT - MH | 33.000 | 0,012% | F | |
| LEADERSEL P.M.I | 143.343 | 0,051% | F | |
| LEGAL & GENERAL ICAV. | 8°588 | 0,003% | ||
| LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED | 76.725 | 0.027% | F | |
| LEGAL AND GENERAL UCITS ETF PLC | 23.638 | 0,008% | F | |
| LEGG MASON INTERNATIONAL LOW VOLATILITY HIGH DIVIDEND ETF | 168.589 | 0,060% | F | |
| I GT SELECT FUNDS | 10.037 | 0,004% | F | |
| LINGOHR GLOBAL SMALL CAP | 20.071 | 0,007% | F | |
| LOCKHEED MARTIN CORPORATION MASTER RETIREMENT TRUST | 78 | 0,000% | F | |
| LOS ANGELES CITY EMPLOYEES' RETIREMENT SYSTEM. | 11.305 | 0,004% | F | |
| LOS ANGELES COUNTY EMPLOYEES RETIREMENT ASSOCIATI | 270 | 0,000% | F | |
| LSV GLOBAL SMALL MICRO CAP EQUITY FUND LP | 26.800 | 0,010% | F | |
| LSV INTERNATIONAL SMALL CAP EQUITY FUND LP. | 437-200 | 0,156% | F | |
| LUPOTTO RAFFAELE | LPTRFL70L04A326Y | 53.201 | 0,019% | F |
| LVIP DIMENSIONAL INTERNATIONAL CORE EQUITY FUND | 13.390 | 0,005% | F F |
|
| LYXOR FTSE ITALIA MID CAP PIR | 361.152 | 0,129% |

| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| M INTERNATIONAL EQUITY FUND | 1.07 T | 0,000% | F | |
| MAINDA ONIVERSAL - FONDS . | 419.894 | 0.150% | F | |
| MANNOMERIC ALTERNATIVE RISK PREMIA VALUE. | 1.976 | 0,001% | F | |
| MAN NUMERIC DIVERSIFIED RISK PREMIA PROGRESSIVE MAN NUMERIC | 312 | 0,000% | F | |
| DIVERSIFIED RISK P REMIA PROGRESSIVE MANULIFE INVESTMENT MANAGEMENT SYSTEMATIC INTERNATIONAL |
||||
| SMALL CAP EQUITY POOLE | 16.637 | 0,006% | F | |
| MARGARET A. CARGILL FOUNDATION | 45,200 | 0.016% | F | |
| MARYLAND STATE RETIREMENT PENSION SYSTEM | 16.057 | 0,006% | E | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE FUTURO ITALIA | 2.297.695 | 0,822% | F | |
| MEDIOLANUM GESTIONE FONDI SGR - FLESSIBILE SVILUPPO ITALIA | 1 .287 .829 | 0,461% | F | |
| MERCER DIOCESE OF BROOKLYN GROWTH STRATEGY | 146.600 | 0,052% | F | |
| MERCER GE INTERNATIONAL EQUITY FUND | 22,200 | 0,079% | F | |
| MERCER QIF COMMON CONTRACTUAL FUND | 1.880.024 | 0,672% | F | |
| MERCER QIF FUND PLC | 34.129 | 0.012% | F | |
| MERCER UCITS COMMON CONTRACTUALFUND | 58.794 | 0,021% | E | |
| MERCHANT ADVENTURE FUND L.P | 650.000 | 0,232% | F | |
| MERCY INVESTMENT SERVICES INC | 51,920 | 0,019% | F | |
| METROPOLITAN-RENTASTRO SUSTAINABLE GROWTH | 551.928 | 0,197% | F | |
| MI FONDS K10 | F | |||
| 65.600 | 0,023% | |||
| MSCI ACWI EX-U.S. IMI INDEX FUND B2 | 6.768 | 0,002% | F | |
| MUL- LYX FTSE IT ALL CAP PIR | 10.423 | 0,004% | F | |
| MULTI STYLE MULTI MANAGER FUNDSPLC | 15.861 | 0,006% | F | |
| NAGELMACKERS EQUITY SMALL & MID CAP FUND | 500.000 | 0,179% | F | |
| NATIONAL ELEVATOR INDUSTRY PENSION PLAN | 285.200 | 0,102% | F | |
| NATIONAL RAILROAD RETIREMENT INVESTMENT TRUST | 1.003.005 | 0,359% | E | |
| NATWEST ST JAMES'S PLACE GLOBALSMALLER COMPANIES UNIT TRUST | 16.221 | 0,006% | F | |
| NEF RISPARMIO ITALIA | 160.529 | 0,057% | F | |
| NFS LIMITED | 7.254 | 0,003% | F | |
| NON US EQUITY MANAGERS PORTFOLIO I ERISA | 23.100 | 0,008% | F | |
| NORGES BANK | 990.929 | 0,354% | F | |
| NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR |
9.704 | 0,003% | F | |
| NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 126-449 | 0,045% | F | |
| ONEPATH GLOBAL SHARES - SMALL CAP (UNHEDGED) INDEXPOOL | 5.237 | 0,002% | F | |
| PANAGORA ASSET MANAGEMENT INC | 1.285 | 0.000% | E | |
| PEACOCK EUROPEAN BEST VALUE ESG FONDS | 25,000 | 0,009% | F | |
| PERPETUAL INVESTMENT SERVICES EUROPE ICAV | 67.610 | 0,024% | F | |
| PK CSG World Equity Credit Suisse Funds AG | 5.605 | 0.002% | F | |
| PRICOS | 571.528 | 0,204% | F | |
| PRICOS DEFENSIVE | F | |||
| PRICOS SRI | 14.820 | 0,005% | F | |
| 86.873 | 0,031% | |||
| PUBLIC AUTHORITY FOR SOCIAL INSURANCE | 8.089 | 0,003% | E | |
| PUBLIC EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | 6.996 | 0,003% | F | |
| QUADRIGE EUROPE MIDCAPS | 1.288.888 | 0,461% | F | |
| QUADRIGE MULTICAPS EUROPE | 308.888 | 0.110% | F | |
| QUADRIGE PATRIMOINE | 48.888 | 0,017% | F | |
| QUONIAM FUNDS SELECTION SICAV - EUROPEAN EQUITIES | 205.842 | 0,074% | F | |
| RAMI PARTNERS LLC | 47.003 | 0,017% | F | |
| ROBERT BOSCH GMBH | 72.750 | 0,026% | F | |
| ROBIN I-FONDS | 135.587 | 0,048% | F | |
| ROCHE-BRUNE EURO VALEURS RESPONSABLES | 457.406 | 0,164% | F | |
| ROTHKO BROAD INTERNATIONAL SMALL CAP EQUITY FUND L.P | 16-421 | 0,006% | E | |
| RUSSELL INVESTMENT COMPANY PLC | 17.375 | 0,006% | F | |
| RUSSELL INVESTMENTS GLOBAL SMALLER COMPANIES POOL | 33.973 | 0,012% | F | |
| SACRAMENTO COUNTY EMPLOYEES RETIREMENT SYSTEM | 376.400 | 0,135% | F | |
| SANTANDER SMALL CAPS EUROPA FI | 384.161 | 0,137% | F | |
| SBC MASTER PENSION TRUST | 21.435 | 0,008% | F | |
| SCHELCHER EQUITY CONVICTIONS | 123.027 | 0,044% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX ETF | 255.215 | 0,091% | F | |
| SCHWAB FUNDAMENTAL INTERNATIONAL SMALL COMPANY INDEX | ||||
| FUND | 45-546 | 0,016% | F |
1

| OBALLAD 1.12 |
C | |||
|---|---|---|---|---|
| Anagrafica | CF/PI | Azioni | % su votanti | Voto |
| ISCHWAB INTERNATIONAL SMALLCAP EQUITY ETF | 329:963 | 0,118% | FEE | |
| SEI GLOBAL MASTER FUND PLC | 36.409 | -0.013% | YE) | |
| SGD GE 2014-1 | 11,087 | 0,004% F 1 3 - 3 -- 5 -- |
||
| SHELL CANADA 2007 PENSION PLAN | 0,000% Fri 30 R. |
|||
| SHELL TRUST (BERMUDA) LIMITED AS TRUSTEE OF THE SHELL | 728 | 196 0.000% |
부터 | |
| INTERNATIONAL PENSION FUND | ||||
| SHELL TRUST (BERMUDA) LTD AS TRUSTEE OF THE SHELL OVERSEAS | 13.905 | ONGOSY | F | |
| CONTRIBUTORY PENSION FUND SPARTAN GROUP TRUST FOR EMPLOYEE BENEFIT PLANS, |
2.983 | 0,001% | F | |
| SPDR PORTFOLIO EUROPE ETF | 3.868 | 0,001% | F | |
| SPOR S&P INTERNATIONAL SMALL CAP ETF | 84.761 | 0,030% | F | |
| ISSB MSCI ACWI EX USA IMI SCREENED NONLENDING COMMON TRUST FUND |
7.886 | 0,003% | F | |
| ISSB MSCI EAFE SMALL CAP INDEX SECURITIES LENDING COMMON FND | 21.314 | 0,008% | F | |
| SSGA SPDR ETFS EUROPE I PUBLIC LIMITED COMPANY | 99.686 | 0,036% | F | |
| SSGA SPDR ETFS EUROPE II PUBLICLIMITED COMPANY | 27.295 | 0,010% | F | |
| SST GLOB ADV TAX EXEMPT RETIREMENT PLANS | 444.333 | 0,159% | F | |
| STAR FUND | 15.300 | 0,005% | F | |
| STAR FUND | 1.425.000 | 0,510% | F | |
| STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 30.700 | 0,011% | F | |
| STATE OF WISCONSIN INVESTMENT BOARD | 1.092.982 | 0,391% | F | |
| STATE STREET GLOBAL ALL CAP EQUITY EXUS INDEX PORTFOLIO | 24.484 | 0,009% | E | |
| STICHTING BEDRIJFSTAKPENSIOEN FONDS VOOR DE MEDIA PNO | 26.858 | 0,010% | F F |
|
| STICHTING BPL PENSIOEN MANDAAT UBS AM LT | 5.251 | 0,002% | F | |
| STICHTING DEPOSITARY APG DEVELOPED MARKETS EQUITY POOL | 42.282 | 0,015% | F | |
| STICHTING PENSIOENFONDS VOOR HUISARTSEN | 10.020 10.580 |
0,004% 0,004% |
F | |
| STIGHTING PHILIPS PENSIOENFORDS | 66.777 | 0,024% | F | |
| STICHTING SHELL PENSIOENFONDS | 14.543 | 0,005% | F | |
| STRATEGIC INTERNATIONAL EQUITY FUND | 250.000 | 0,089% | F | |
| SUEBIA-FONDS | 6.792.000 | 2,429% | F | |
| SWEDBANK ROBUR SMALL CAP EUROPE | 257-216 | 0,092% | F | |
| TEACHER RETIREMENT SYSTEM OF TEXAS | 266.400 | 0,095% | F | |
| TEACHERS' RETIREMENT SYSTEM OF THE STATE OF ILLINOIS | 301.700 | 0,108% | F | |
| TEXTRON INC MASTER TRUST THE BARCLAYS BANK UK RETIREMENTFUND |
6.11 | 0,002% | F | |
| THE CONTINENTAL SMALL COMPANY SERIES NY | 1.288.486 | 0,461% | F | |
| THE METHODIST HOSPITAL | 190.500 | 0,068% | F | |
| THE MONETARY AUTHORITY OF SINGAPORE | 8.400 | 0,003% | E | |
| THE NORTHERN TRUST COMPANY SUB-ADVISED COLLECTIVE FUNDS TRUS |
251-300 | 0,090% | F | |
| THE REGENTS OF THE UNIVERSITY OF CALIFORNIA | 38.737 | 0,014% | F | |
| THE STATE OF CONNECTICUT, ACTING THROUGH ITS TREASURER | 25.901 | 0,009% | F | |
| TRUST II BRIGHTHOUSEDIMENSIONALINT SMALL COMPANY PORTFOLIO | 2.198 | 0.001% | F | |
| UBS (IRL) ETF PLC | 43.842 | 0.016% | F | |
| UBS FUND MANAGEMENT (SWITZERLAND) AG. | 116.073 | 0,042% | F | |
| UBS LUX FUND SOLUTIONS | 53.326 | 0.019% | F | |
| UI-FONDS BAV RBI AKTIEN | 107-150 | 0,038% | F | |
| UNION INVESTMENT INSTITUTIONAL GMBH | 1.575 | 0,001% | F | |
| UNION INVESTMENT PRIVATFONDS GMBH | 70.079 | 0,025% | F | |
| UNITED CHURCH FUNDS INC | 88.800 | 0,032% | F | |
| IUNIVERS AL-INVESTMENT-GESELLSCHAFT MBH FOR FORTIS-LSV-UI-FONDS | 391.500 | 0, 1 40% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF BAYVK AT- FONDS |
227 595 | 0.081% | F | |
| UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF MS-B HAUPFONDS |
79.755 | 0,029% | F | |
| UNIVERS AL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF STBV-NW- | 5.966 | 0,002% | F | |
| UNIVERSAL-FONDS UTAH STATE RETIREMENT SYSTEMS |
15.148 | 0,005% | F | |
| VANGUARD DEVELOPED MARKETS INDEX FÜND | 1.357.885 | 0,486% | E | |
| 3.829 | 0,001% | F | ||
| VANGUARD ESG DEVELOPED WORLD ALL CAP EQ INDEX FND UK | ||||
| VANGUARD ESG INTERNATIONAL STOCK ETF | 13.115 | 0,005% | F |

| Anagrafica | CF/P/ | Azioni | % su votanti | Voto |
|---|---|---|---|---|
| VANGUARD EUROPEAN STOCK INDEX FUND | 337.627 | 0,121% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY DEVELOPED MARKETS INDEX TRUST |
22444 | 0,008% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST |
154.225 | 0,055% | F | |
| VANGUARD FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL INTERNATIONAL STOCK MARKET INDEX TRUST II |
17.339 | 0,400% | F | |
| VANGUARD FISE ALLWORLD EXUS SMALLCAP INDEX FUND | 579.464 | 0.207% | F | |
| VANGUARD FTSE DEVELOPED ALL CAPEX NORTH AMERICA INDEX ETF | 25:241 | 0.009% | F | |
| VANGUARD FISE DEVELOPED EUROPE ALL CAP INDEX ETF | 1.786 | 0.001% | F | |
| VANGUARD FUNDS PUBLIC LIMITED COMPANY | 1.927 | 0.001% | F | |
| VANGUARD INTERNATIONAL SMALL COMPANIES INDEX FUND | 26.003 | 0,009% | F | |
| VANGUARD INVESTMENT SERIES PUBLIC LIMITED COMPANY | 95.718 | 0,034% | E | |
| VANGUARD TOTAL INTERNATIONAL STOCK INDEX FUND | 2.331.737 | 0.834% | F | |
| VANGUARD TOTAL WORLD STOCK INDEX FUND | 90.492 | 0.032% | F | |
| VERDIPAPIRFONDET KLP AKSJEGLOBAL SMALL CAP INDEKS | 26.678 | 0,010% | F | |
| VIF ICVC VANGUARD FISE GLOBAL ALL CAP INDEX FUND | 1.069 | 0.000% | F | |
| WASHINGTON STATE INVESTMENT BOARD | 27.646 | 0.010% | F | |
| WATER AND POWER EMPLOYEES' RETIREMENT PLAN | 18.855 | 0,007% | F | |
| WELLS FARGO AND COMPANY CASH BALANCE PLAN | 50.900 | 0,018% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL EQUITY FUND |
13.897 | 0.005% | F | |
| WISDOMTREE DYNAMIC CURRENCY HEDGED INTERNATIONAL SMALLCAP EQUITY FUND |
14.838 | 0.005% | F | |
| WISDOMTREE EUROPE HEDGED EQUITYFUND | 971.095 | 0.347% | F | |
| WISDOMTREE EUROPE HEDGED SMALLCAP EQUITY FUND | 56.081 | 0.020% | F | |
| WISDOMTREE EUROPE QUALITY DIVIDEND GROWTH FUND | 1.013 | 0.000% | F | |
| WISDOMTREE EUROPE SMALLCAP DIVIDEND FUND | 22.060 | 0,008% | F | |
| WISDOMTREE INTERNATIONAL EQUITYFUND | 38.518 | 0,014% | F | |
| WISDOMTREE INTERNATIONAL HEDGEDQUA LITY DIVIDEND GROWTH FUND |
711.102 | 0,254% | F | |
| WISDOMTREE INTERNATIONAL HIGH DIVIDEND FUND | 47.551 | 0.017% | F | |
| WISDOMTREE INTERNATIONAL QUALITY DIVIDEND GROWTH FUND | 14.376 | 0,005% | F | |
| WISDOMITREE INTERNATIONAL SMALLCAP DIVIDEND FUND | 978.075 | 0.350% | F | |
| XTRACKERS MSCIEUROZONE HEDGED EQUITY ETF | 849 | 0,000% | F | |
| FRANCE INVESTISSEMENT CAPITALISATIONS MOYENNES | 182 816 | 0.065% | C | |
| MELCHIOR SELECTED TRUST | 1.977.957 | 0,707% | C | |
| PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO | 65.219 | 0,023% | C | |
| CHALLENGE FUNDS - CHALLENGE ITALIAN EQUITY | 102.000 | 0.036% | A | |
| MEDIOBANCA SGR - MEDIOBANCA MID & SMALL CAP ITALY | 304.500 | 0,109% | NV |
ിത്രശം
റ- അത്തി
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പ്ര പ്രശസ്തമായി പ്രശസ്തമായി
Punto 4.4
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