AGM Information • Jun 6, 2023
AGM Information
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ARE . P rece. 35627
Oggetto : Relazione sulla politica di remunerazione e sui compensi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante)
-nº 3.529 azionisti,
portatori di nº 6.579.347.730 azioni ordinarie, tutte ammesse al voto, pari al 64,714811% del capitale sociale.
| % su Azioni Ordinarie | ||
|---|---|---|
| Ammesse al voto | ||
| Favorevoli | 6.466.767.482 | 98,288884 |
| Contrari | 70.660.987 | 1,073982 |
| SubTotale | 6.537.428.469 | 99,362866 |
| Astenuti | 41.919.261 | 0,637134 |
| Totale | 6.579.347.730 | 100,000000 |
| Non votanti | 38.402.282 |
Ai sensi dell'art. 135-undecies del TUF non sono computate ai fini del calcolo della maggioranza e del capitale richiesto per l'approvazione della delibera numero 16.700 azioni.
25 R
Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberzione on vinolante) FAVOREVOLI LISTA ESITO DELLE VOTAZIONE
| Ragione Sociale FEDERICO FABIO |
Proprio | Delega | Totale | |
|---|---|---|---|---|
| BONAFACCIA FAUSTO | 90 ୧୫ ਟ B 5 |
9 0 10.32 |
290 16.194 |
|
| COMPUTERSHARE SPA RAPPRESENTANTE EX ART 135 UNDECIES TUF NELLA PERSONA DI CARUSO ENRICO | 0 | |||
| CASSA NAZIONALE DI PREVIDENZA ED ASSISTENZA FORENSE CAMOŽZI ETTORE |
000000 | 0 0 0 0 . O . 0 I 52.417 |
1.000 417.000 N u |
|
| ESPERO - CRESCITA AZIONARIO MAJNO LORENZO FONDO SCUOLA MARCELLO DEL |
8 0 6.83 S I |
8 0 ಟ 16.83 |
||
| PASQUALUCCI GIOVANNI MARIA | O | 0 . 00 L |
.000 ﺎ |
|
| RAIOLA EMANUELE | 0 | 1.300 | 1.300 | |
| SORBONE ALESSANDRO | 0 | 1.600 | 0 - EQI T |
|
| CATONI GIANCARLO | 0 0 b |
0 | 400 | |
| BELLAROTO FRANCESCO PAQLO | 9.430 | 0 | 9.430 | |
| BONFITTO VALENTINA | 0 0 8 రా 3.8 |
0 0 |
0 4 8 |
|
| SOMASCHINI VITTORIO GENTILUCCI LIVIO |
B | 0 | 0888.6 0 |
|
| ERTRAG GENERALI AKTIV MIX |
2.461 | 2.461 | ||
| INVESTMENTS LUXEMBOURG SA | 000 | 76.802 | 76.802 | |
| SICAV INVESTMENTS |
645.054 | 645.054 | ||
| FUNDS SMART |
00000 | 0 30.00 |
30.000 | |
| GIAN GENERALI INSURANCE ASSET MANAGEMENT | 210.994 | ਰੇ ਹੋ ਪ 210. |
||
| ALLEANZA OBBLIGAZIONARIO | D 51.86 S |
551-860 | ||
| FONDO ALTO AMERICA AZIONARIO | 38.402 য |
438.402 | ||
| GENERALI INVESTMENTS PARTNERS | 0 | 8 143.62 |
143.628 | |
| TREVISAN DARIO | 0 | |||
| MORGEN AKTIEN GLOBAL UI | 9 | 20.000 | 20.000 | |
| HANNOVERSCHEMAXINVEST | 0 | 80.030 | 80.030 | |
| UNIVERSAL IMW | 0 | 51.072 | 51.072 | |
| KAPITALANLAGE GMBH RETURN OFFENSIV SENTIX TOTAL MASTERINVEST |
0 0 |
0 ర్ 38.29 88.00 T |
38.299 88.000 L |
|
| -A- SENTIX RISK RETURN |
ರ | 10.400 | 10.400 | |
| HMT EURO SEASONAL LONGSHORT | 0 | 44.712 | 44.712 | |
| NOWI VERMOEGEN | 0 | 10.000 | 10.000 | |
| TIMM INVEST EUROPA PLUS | 0 | 8.571 | 8.571 | |
| VCH-UNIVERSAL-FONDS I | 0 | 20.000 | 000 20. |
|
| HMT GLOBAL OPTIMAL DYNAMICS | 0 | 27.880 | 880 27. |
|
| RENDITE PLUS SELECTION |
0 | 70.000 | 70.000 | |
| KASF FONDS UNIVERSAL |
0 | 20.000 | 000 20. |
|
| CANDRIAM BUSINESS EQUITIES SA | 0 | 51.005 B |
51.005 B |
|
| HIGH EQUITIES FUND PENSION |
0 | 82.798 . ୧ N |
2.682.798 | |
| LOW EQUITIES FUND PENSION PENSION |
0 0 |
310.743 б |
310-743 | |
| BALANCED PLUS SUSTAINABLE PLACE FUND |
160 9.290 8. S 0 D T |
59.290 1.008.160 б |
||
| ON UNIVERSAL INVESTMENT GESELLSCHAFT MBH |
0 | 000 0 S I |
000 150 |
|
| GLOBAL FONDS AG OSTALB |
0 | 000 30. L |
130.000 | |
| JRS-INTERNATIONAL-UNIVERSAL-FONDS | 24.000 | 24-000 | ||
| WAVE TOTAL RETURN FONDS | 0.883 8 |
883 0. 8 |
||
| UNIVERSAL INVESTMENT GMBH | 83.837 P |
483.837 | ||
| HANNOVERSCHEMEDIUMINVEST | 62.334 | 62.334 | ||
| DEKA INVESTMENT GMBH GLOBALE AKTIEN | 324.047 | 324.047 | ||
| 1 HELABA INV KAPITALANI GES MBH HI KAPPA |
C | 205.600 | 205.600 | |
| Pagina l | ||||
| Teste: 3.327 |
21 | |||
| Azionisti in delega: 11 |
3.316 |

2 ປີ
colin
ફ્રુફર્
17
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Oggetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposi vel 2022 (deiberazione con vioclante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| D D |
1 FONDS AKTULEN GMBH DEKA VALUE EXTRA SE GMBH A FU DEKA INVESTMENT DEKA INVESTISET |
0 0 |
255.072 80.000 |
255-072 000-000 |
| **D | FORDS DEAMM GMBH DWS INVESTMENT |
46.000 | 000 ه ۾ . |
|
| **D | GMBH RE NECKAR-FUNDMASTE DEKA INVESTMENT |
. 059 712 |
712.059 | |
| **D | 12 GMBH KVR FONDS AKTIEN DEKA INVESTMENT |
113.202 | 113.202 | |
| **D | 23 GES MBH HI SZVA KAPITALANL HELABA INV |
223.815 | 223.815 | |
| **D | STIFTUNGSFONDS н н |
20.000 | 20.000 | |
| D D |
DIVIDEND FONDS AKT FÜ 2 ਸੀ GMBH INVESTMENT DEKA |
0 0 |
131.549 | 131.549 |
| **D | SFUE র্ণ હત્વક્ષમ INVESTMENT DEKA |
103.800 | 103.800 | |
| **D | EX EMER KHN AKTIEN FONDS BVE GMBH લખંકમ INVESTMENT DEKA INVESTMENT DEKA |
0 0 |
40.170 23.000 |
40-170 23.000 |
| **D | KAP GES MBH HI HELABA INV KAPITALANL |
0 | 12.387 | 2-387 |
| **D | RE KSKBB-FUNDMASTER GMBH INVESTMENT DEKA |
0 | 70.000 | 0.000 L 2 |
| **D | SHC AKTIEN SMBH INVESTMENT DEKA |
0 | 16.000 | 16.000 |
| **D | RE A-SMZ-FONDS GMBH INVESTMENT DEKA |
0 | 54.200 | 54.200 |
| **D | DELEN PRIVATE BANK | 0 | 2.935.580 | 2.935.580 |
| **D | SICAV UNIVERSAL INVEST |
0 | 5.579.399 | 5.579.399 |
| **D | LINE C+F GLOBAL |
0 | 27.500 | 27.500 |
| D D |
INTERNATIONALE KAPITALANLAGEGESELLSCHAFT UNIVERSAL-INVESTRENT-GESETTSCHAFT MBH |
0 0 |
110.000 1.260.081 |
110.000 1.268.081 |
| **D | BV PAR FONDS GMBH INVESTMENT DEKA |
0 | 38.870 | 38.870 |
| **D | 17 KI SZVA мвн GES KAPITALANL INV HELABA |
0 | 152.800 | 152.800 |
| **D | HI KAPPA 2 мвн GES KAPITALANL INV HELABA |
0 | 116.500 | 116.500 |
| **D | no a - EM каква GMBH INVESTMENT DEKA |
0 | 167.000 | 167.000 |
| **D | ITALIA I SICAV INTERNATIONAL KAIROS |
0 | 1.925.000 | 925.000 1. |
| **D | ITALY IN MADE l SICAV KAIROS INTERNATIONAL |
0 | 401.000 | 401.000 |
| **D | AXA BIL PREVINDAI |
0 | 302.383 | 302.383 |
| **D | AXA SVI PREVINDAI |
0 | 333.967 | 333.967 |
| **D | EURIZON BIT PREVINDAI |
00 | 34.376 | 34.376 |
| *** | ARGIMON VITAS | 50 1~ |
750 | |
| ★★★ ★★★ |
NIEVERGELT PETER RUDOLF | 000 | 560 00 1 |
7.560 |
| **D | EURIZON STOLL DANIEL |
45.138 6.0 |
6.000 | |
| *** | PREVINDAI SVI KIMURA YO |
0 | 3.000 | 45.138 3.000 |
| **D | KAIROS INTERNATIONAL SICAV - KEY | 0 | 472.000 | 472.000 |
| *** | CHEKALIN YURY | 0 | 4.000 | 4.000 |
| *** | SZINNA GABOR | 0 | 5.400 | 5.400 |
| 날 날 날 | MAXIMCHUK ALEXEY | 0 | 23-200 | 23.200 |
| **D | TRADING FUNDS- AQR DIVERSIFIED-RISK PREMIA FUND/INTL AOR LUX |
0 | 240-772 | 240.772 |
| **D | CF (A) DEKA INTERNATIONAL S.A. W/DEKA-NACHHALTIGKEIT AKTIEN |
0 | 600.000 | 600.000 |
| **D | SA CIE AND PICTET BANQUE |
0 | 50.572 | 50.572 |
| D D |
SWISS EQUITIES TRACKER EX SL SWISS EQUITIES TRACKER ន៍ MORID EX EUROPEAN - l INSTITUTIONAL INSTITUTIONAL CH CH PICTET PICTET |
0 | 256.512 201.264 |
201.264 256.512 |
| **D | ਟ FLEX l DZDB II |
3.275.050 | 3.275.050 | |
| **D | US TE EX SL TRACKER INSTITUTIONAL-WORLD EX SWISS EQUITIES CH PICTET |
86.164 | 96.164 | |
| **D | I GMBH W/A-HECKER-FONDS DEKA INVESTMENT |
215.000 | 215.000 | |
| **D | EUROPE INDEX l PICTET |
812.110 | 812.110 | |
| **D | MBH W/INKA IMB INTERNATIONALE KAPITALANLAGEGESELLSCHAFT |
.000 74 |
0 74.00 |
|
| **D | - AKTIEN GLOBAL PKG FONDS |
81.378 € |
81.378 ਦੇ |
|
| **D | । FLEX DZPB II - |
212.190 | 212.190 | |
| Pagina 2 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| Azionisti in proprio | 3.316 Azionisti in delega: 11 |
10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerazione : Seconda Sezione: relazione : relazione sui compensi corrisposti nel 2022 (deiberazione non vincolarte) FAVOREVOLI
| Badge | Sociale Ragione |
Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| **D | D2PB II - FLEX 3 | 0 | 988.015 | .015 ਰੇ 8 8 |
|||
| **D | FICLEI GLOBAL SETECTION END - GROBAT HIGH YIETD ULTIT | TIES EQUITY FUND | 0 | 76.949 | б 6-94 1 |
||
| *D * D |
PICTET-EUROLAND INDEX DEKA INVESTMENT |
GMBH W/DONAU-MULTI-ASSET-FUNDMASTER U01 AKTIEN | 0 0 |
294 319.344 460 . |
460.294 319-344 |
||
| **D | PORTFOLIO SICAV EXKLUSIV |
- CHANCE | 0 | 73.750 | 73.750 | ||
| **D | CH INSTITUTIONAL - PICTET |
TRACKER SWISS EQUITIES EX EUROPEAN |
0 | 216.342 | 216.342 | ||
| D D |
PORTFOLIO SICAV-AKTIEN SELECTION GLOBAL EXKLUSIV PICTET |
UTILITIES EQUITY FUND - GLOBAL |
CURRENCY HEDGED FUND | 0 0 |
245 97 601 - 8 130. |
130.245 601-897 |
|
| **D | PORTFOLIO SICAV-ERTRAG EXKLUSIV |
0 | 71.400 | 71.400 | |||
| **D | CLEAN l PICTET |
ENERGY TRANSITION | 0 | 0 8 0 . 937. 11 |
б B 937.0 11 |
||
| **D | RENEWABLE l FOND DNB |
ENERGY | 0 | 311.159 3. |
б 311.15 3. |
||
| D D |
PORTFOLIO SICAV-MACHSTUM SELECTION GLOBAL EXKLUSIV PICTET |
FUND | INCOME STOCK FUND - GLOBAL |
0 D |
347 400 ਰੇ . 137 0 L |
137.400 109.347 |
|
| **D | SELECTION GLOBAL PICTET |
FOND | - CLOBAL ULIFICES EQUITY FORD | 0 | 572.013 27 |
572-013 / N |
|
| **D | GMBH INVESTMENT DEKA |
AS W/DEKA-PRIVATVORSORGE |
9 | 00 236.0 |
236-000 | ||
| **D | GMBH INVESTMENT DEKA |
W/CUYO COBA | 0 | .218 14 |
14.218 | ||
| D D |
GMBH INDEX INVESTMENT GLOBE IF IST - DEKA |
W/NEO-FONDS AKTIEN | 0 0 |
264.749 207.622 |
207.622 264.749 |
||
| **D | GMBH INVESTMENT DEKA |
W/A-ALPSPITZ 2-FONDS | 0 | 500 0. ర |
90.500 | ||
| **D | GLOBAL PICTET - |
MEGATREND | SELECTION | 0 | 931 537. 2 |
537.931 ਟ |
|
| D D |
GMBH INVESTMENT DEKA |
W/DEKA-S01-FONDS W/SO1-BANTLEON-LCR | 0 | 11.740 | 11.740 | ||
| **D | VERMOEGENSMANAGEMENT GMBH INVESTMENT DEKA DEKA |
GMBH W/KEPPLER-GLOBAL VALUE-INVEST W/A-FELD-AKTIEN-FONDS |
0 0 |
50.35 | 0 50.35 |
||
| **D | GMBH INVESTMENT DEKA |
R / DEKA-EÚROPA | STRATEGIE AKTIEN |
0 | 68.050 130.000 |
130.000 0 68-05 |
|
| **D | DEKA | EUROPA AKTIEN INTERNATIONAL S.A. W/DEKA-NACHHALTIGKEIT |
0 | .256.400 ਟ |
0 .256.40 ਟ |
||
| **D | VERMOEGENSMANAGEMENT DEKA |
NIEDERLASSUNG GMBH, |
LUXEMBURG W/IFM-INVEST AKTIEN EUROPA | 310.000 | 0 0 - O 310 |
||
| D D |
VERMOEGENSMANAGEMENT VERMOEGENSMANAGEMENT DEKA DEKA |
GMBH, | ನ G LUXEMBUR LUXEMBUR NIEDERLASSUNG NIEDERLASSUNG GMBH, |
IVV CHANCE N/KSK |
0 | 253.600 | 253.600 |
| **D | GLOBAL EQUITIES PICTET CH - |
Prus OST AKTIEN W/SPK MUENSTERLAND |
0 0 |
794.500 261 78. |
794.500 78.561 |
||
| **D | TRADE MORLD |
ORGANIZATION PENSION PLAN | 0 | 77.391 | 77.391 | ||
| **D | VERMOEGENSMANAGEMENT DEKA |
GMBH W/ES-DIVIDENDENSTRATEGIE | 0 | 6 375.68 |
375.689 | ||
| **D | VERMOEGENSMANAGÉMENT DEKA |
GMBH, NIEDERLASSUNG LUXEMBURG W/INVEST EVOLUTION | 0 | 48.000 | 48.000 | ||
| D D |
POOL-GLOBAL GMBH INVESTMENT SPARINVEST DEKA |
EQUITY អ / SVN |
II-FONDS POOL |
0 | 10.874 67.161 |
10.874 67.161 |
|
| **D | INTERNATIONAL S.A. W/DEKA-EUROPAVALUE DEKA |
0 | 28.000 | 28.000 | |||
| **D | GMBH INVESTMENT DEKA |
KOMMUNAL W/DEKA-NACHHALTIGKEIT |
168.714 | 160.714 | |||
| **D | FUNDS CAPITAL QUAERO |
l (LUX) |
ACCESSIBLE CLEAN ENERGY | 0 | 539.047 | 539.047 | |
| D D |
INVESTMENT GMBH ASSET MULTI l PICTET DEKA |
GLOBAL | FIN DI . +UC.ETF OPPORTUNITIES EX W/DEKA-EURO-IST. |
0 0 |
б S 74 92.54 .417. ﺎ |
92.549 1.417.745 |
|
| **D | PICTET CH INSTITUTIONAL - WORLD EX SWISS SUSTAINABLE | EQUITIES TRACKER | 130.727 | 130.727 | |||
| **D | DEKA | INVESTMENT GABH W/DEKS-NACHHALTICKETT DIVIDENDENSTRATEGIE | 500.000 I |
500.000 1. |
|||
| D D |
INVESTMENT DWS |
GMBH W/DEAM-FONDS | A BBR 1 |
0 | 150.400 | 0 150.40 |
|
| **D | RAIFFEISEN INDEX FONDS -EURO STOXX 50 INTERNATIONALE |
E100 MBH W/INKA KAPITALANLAGEGESELLSCHAFT |
M/S200 | 151.648 120.000 |
151.640 120.000 |
||
| **D | INVESTMENT DEKA |
GMBH M/FULDA-FONDS | 0 | 800 6. |
6.900 | ||
| **D | DEKA | INVESTMENT GMBH W/DEKA STOXX EUROPE 50 UCITS ETE | 86.370 | 86.370 | |||
| D D |
FUND XUE DEKA ട് ജ |
VERMOEGENSMANAGEMENT GMBH, NIEDERLASSUNG LUXEMBURG W/IFM-INVEST VERMOEGENSMANAG.AKTIEN | .000.000 ಗ ﺎ |
1.000.000 50.000 |
|||
| **D | DEKA INVESTMENT GMBH W/BEROLINA RENT DEKA W/U2 | 0 50.000 12 ਖੇ |
.120 D E |
||||
| **D | PICTET | TRACKER US TE CH INSTITUTIONAL - WORLD EX SWISS EQUITIES |
0 | B 39.56 |
8 39.56 |
||
| Pagina 3 | |||||||
| Azionisti: | 3.327 | Teste: | 21 | ||||
| Azionisti in proprio: | 11 | Azionisti in delega: | 3.316 |
દિદ્ભ
EMARKET
SDIR certified
ડીયા J
g
3 ﺮ ﺍﻟﻤﺮﺍﺟﻊ
ENEL S.p.A.
ly
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remanerazionesi - Seconda Sezione: relazione : relazione sui compensi corrisposti nel 2022 (delberazione nou vizolate) FAVOREVOLI
| Totale 125.537 |
ਰੇਤੇ 2 2 71. 1 |
920.000 | 10.000 T |
300 7. പ T |
000 18. |
9.453 | 000 ର - 1 |
348 ર. ਟ |
500 0. E |
.500.000 ದ್ |
257.400 | 640.000 | 263.000 | 556 131. |
500 ರಿ . ਸਾ |
000 10. |
8.032 P |
170.850 | 000 0. ഗ |
000 270. |
141.218 | 000 র . |
000 6. |
000 6. P |
0.000 ਟ |
13.370 | 92.000 | 42.867 | 1.171 ന |
5.200 ડી |
12.698 | 256.848 | 43-673 | 24.050 | 4.693 S T |
1.725 | 000.6 8 |
265.978 | 8.500.000 L |
.040.500 T |
20.169 | .054.539 ਟ |
9.050 E |
4.650 ট |
1.000 ర్ |
582 યું. 8 |
000 0. 0 . O б |
ਰੇ ਦ 0 6. ಒ |
9.400 9 |
|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 125.537 |
ਰੇ 32 71. T |
0 20.00 б |
000 110. |
300 57. I |
18.000 | 9.453 | 76.000 | . 348 ട് 2 |
500 30 |
.500.000 V |
257.408 | 640.000 | 263.000 | ટે ર S 131. |
500 9. ਪਾ |
10.000 | 48-032 | 170.850 | 0.000 5 |
270.000 | 141.218 | 4.000 | 6.000 | 46.000 | 20.000 | 13.370 | 92.000 | 42.867 | 51.171 | 25.200 | 12.698 | 256.848 | 43.673 | 24.050 | 154.693 | 725 1. |
89.000 | 265.978 | 500.000 8 t |
1.040.500 | 20.169 | ਤੇ ਰੇ g 54 - . O ਟ |
050 б E |
44.650 | 000 31. |
04.582 | 00.000 0 б |
26.096 | 69.400 | |||
| Proprio | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||||||||||
| Pagına 4 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| 21 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| FONDS W/U3 DEKA AKTIEN | W/HEIDELBERG NACHHALTIGKEIT GLOBALE AKTIEN OFFENSIV | W/CAMPUS | W/DEKA-DIVIDENDENSTRATEGIE-EUROPA | W/AKTIEN | 5 | AKTILIEN W/U01 |
FLEXIBEL | DYNAMI SCH | W/DEKA STARKENBURG U04 AKTIEN BANTLEON | ਟ | W/A-DIM-WETZLAR-BALANCED-FONDS | 2-FONDS W/U05 | EUROPE UCITS ETF | W/U02 BANTLEON | EURO STOKK 50 UCITS ETF | W/DEKAFONDS-RA-HH W/DWS AKTIEN | ||||||||||||||||||||||||||||||||||||
| W/DEKA-BR 35 GMBH |
W / DEKA-BAV-FONDS СМВН |
W/DEKA-MEGATRENDS GMBH |
W/BF MASTERFONDS 03 GMBH |
W/PALATIA GMBH |
U2 W/ARGO NAVIS GMBH |
GMBH | W/A-AMISIA-FONDS GMBH |
W/DEKA - BREMEN 1 GMBH |
W/MAGUST-FONDS GMBH |
W/ARIDEKA GMBH |
A DEKA MSCI MORID UCITS ETF. GMBH |
GMBH | W/MASTER 172 GMBH |
W/BIA-STRATEGIEFONDS NR. GMBH |
W/NUILL-FONDS GMBH |
W/S BROKER I FONDS GMBH |
M/HD-PHILOSOPHENMEG GMBH |
W/A-DOR-FONDS W/U23 GMBH |
W/DEKA-BASISSTRATEGIE GMBH |
W/DEKA-NACHHALTIGKEIT GMBH |
GMBH | W/KAL-FONDS GMBH |
W / A-WOLFACH-FONDS GMBH |
W/A-KSK FULDA-FONDS СМВН |
W/EKO-FONDS GMBH |
M / MULDENTAL - FONDS GMBH |
W/OBERES-SCHLOSS-U2 GMBH |
W/INTER-ESSEN-FONDS M/SEGMENT GMBH |
W/DEKA-BR 75 GMBH |
GMBH | W/A-NORDHAUSEN GMBH |
W/DEKA MSCI GMBH |
W/DFM ALPHA GMBH |
W/KOMMUNAL-TUT-BALANCED-FONDS GMBH |
ನ AST WELT |
W/DEKA-BR 20 GMBH |
M / MV-FONDS GMBH |
B = W/DEKA-BR GMBH |
W/DEKA-DIVIDENDENSTRATEGIE GMBH |
100 N / DEKA-BR GMBH |
ਵ ਦ W/DEKA-BR GMBH |
W/DEKA GMBH |
W/A-BAD HERSFELD-FONDS W/U01 GMBHS |
W/MAULBRONN-STROMBERG-FONDS GABH |
W/A-ASD-FONDS GHBH |
GMBH | W/DEKA-UMWELTINVEST GMBH |
W/A-DIM-WETZLAR-FONDS GMBH |
W/A-VSA-FONDS W/BALANCE GMBH |
Teste: 3.327 |
||
| Ragione Sociale INVESTMENT DEKA |
INVESTMENT DIEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTIENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
AVADIS FUND-AKTIEN | INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
INVESTMENT DEKA |
|||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | Azionisti: |
862
EMARKET
SDIR certified
3
9
3.316
l l Azionisti in delega:
มา
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerazione i - Seconda Sezione: relazione: relazione sui compensi corrisposti nel 2022 (dellberazione non vinclante) FAVOREVOLI
| 193-857 318.525 . 856 165.457 662.223 103.273 87.539 33.397 802.788 35.485 40.000 451.906 388.606 159.177 031.341 177.908 93.456 126.295 32.760 469.886 59.223 17.165 761.292 18.740 43-539 25.550 28.538 64 - 094 900.264 349.191 481.041 484.08 889-79 326-80 18.0 77. L T ഗ ਟ 2. 2. ਪੈ . 1. 3. 1. 2. 6. T 8 L . 813 . 538 . 987 .165.457 . 449 .511 80 S 318.525 6 0 0.000 . 000 393.425 388.606 200.375 0 103.273 б 9 u 9 S 9 9-223 5 8 . 000 761.292 18.740 451.906 9 16.859 11.349 .223 900-264 6.509.258 .341 177.908 T 0 32.760 481.041 64.094 159.177 33.397 747.82 5.48. .25 . 8 2. . 00 676.78 53 93.45 б 8 B 0 . 85 . 53 5 126.29 889.79 17.16 . 0 . 5 349.1 . 802 . 7 469 - 8 326.8 77 192 ಳು ರಿ 193 S 18 541 662 28 8 L - 484 71 ไ E 204 .031 ರಿ ਬਾ ਟ S ਧੋ ਕੋ S m 8 ਟ ਟ ਟ P 5 t L ﺎ ไ 0 0 0 0 0 000 0 00 00 0 0 0 00 0 0 000 0 000 00 0 00 0 0 0 0 0 0 0 0 O 0 0 0 0 0 0 0 ragina S JP MORGAN CHASE BANK, N.A WERTPAPIERE 21 INVESTMENT FUNDS-FIDELITY GLOBAL ENHANCED INCOME FUND - BAEREDYGTIGE AKTIER KL UK FUND FUND FUND VERMOEGENSMANAGEMENT GNBH W/PRIVATE BANKING STRUKTUR ਰ FUND EXCIUSIONS INDEX GMBH W/A-LANDGRAF PHILIPP FONDS W/U01 FUNDS S.A / NORDEA ASSET ALLOCATION INVESTERINGSFORENINGEN NORDEY INVEST GLOBAL ENHANCED FUND (EAFE EQUITY INDEX) OF EX ETE EQUITY TRUST BROAD INFRASTRUCTURE INDEX EQ ADVISORS TRUST - EQ/AB DYNAMIC GROWTH PORTFOLIO FIDELITY INDEX EUROPE INVESTMENT GMBH W/DEKA MSCI EUROPE IC UCITS TM FULCRUM DIVERSIFIED CORE ABSOLUTE RETURN FUND T. ROWE PRICE INTERNATIONAL EQUITY INDEX TRUST BUREAU OF LABOR FUNDS - LABOR RETIREMENT FUND PUERTO RICO TELEPHONE COMPANY MASTER TRUST FUNDS-LABOR INSURANCE FUND SELECTION BALANCED FUND T. ROWE PRICE GLOBAL ALLOCATION FUND, INC. KATHERINE C MOORE CHARITABLE LEAD ANNUIT FR FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND SELECTION GROWTH FUND PENSION FUND RESEARCH ENHANCED INDEX STICHTING PENSIOENFONDS VOOR HUISARTSEN FUND VERDIPAPIRFONDET EQUINOR AKSJER EUROPA F.M. KIRBY TRUST DATED 1/3/1975 F/B/O STATE COMMON RETIREMENT FUND VERMONT PENSION INVESTMENT COMMISSION SELECT INVESTERINGSFORENINGEN NORDEA INVEST NORDEA GLOBAL EQUITY ALLOCATION FUND EQUITY UNIVERSITIES SUPERANNUATION SCHEME Teste: INVEST PENSION TRUST STANLEY INVESTMENT FUNDS PENSION INSURANCE FUND INTERNATIONAL SHARES SAMPENSION LIVSFORSIKRING A/S 90-TAL HALLBAR ENERGI FIDELITY INVESTMENT FUNDS - GLOBAL LABOR FUNDS-LABOR TALI EQUILY MOBILD EX EQUOSE INVESTERINGSFORENINGEN PFA UNIVERSAL FONDS 3.327 JPMORGAN INVESTMENT FUNDS TRUST GLOBAL MAIN VI-UNIVERSAL-FONDS GENERATIONS FOND - UNIVERSAL - DISCRETIONARY SUSTAINABLE COMMINGTED RENSION EDUCATION SUSTAINABLE INVESTMENT PA1 FOVERUKA PENSION FLEXSHARES STOXX TFL PENSION FUND BUREAU OF LABOR JPMORGAN GLOBAL DEKA INVESTMENT SICAV VGV POOLFONDS HANDETSBANKEN JEFFREY LIC SANTANDER BUREAU OF NATIONAL NEW YORK VANGUARD FIDELITY MISSOURI SPA INKA NORDEA NORDEA MAIN I NORDEA MORGAN NORDEA NORDEA DEKA Dia KA Azionisti in proprio: Azionisti: D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D **D |
Badge r & D |
AVADIS FUND-AKTIEN WELT ESG AST 2 Ragione Sociale |
Proprio | Delega | Totale |
|---|---|---|---|---|---|
| 0 | 36.605 | ୧୦ ର ୍ M |
|||
| 6.859 | |||||
| 0.000 | |||||
| 00 | |||||
| **D | 393.425 | ||||
| **D | 11.349 | ||||
| **D | 541.449 | ||||
| **D | |||||
| **D | |||||
| **D | |||||
| 509.258 | |||||
| 200.375 | |||||
| 676.780 | |||||
| 987 | |||||
| 448.511 | |||||
| **D | |||||
| **D | |||||
| 0 | |||||
| g | |||||
| 747.826 | |||||
| 71.813 | |||||
| 192.258 | |||||
| 84.00 | |||||
| 3.316 Azionisti in delega: 1 1 |
ENEL S.p.A.
હ્લ્ડ્ર
EMARKET
SDIR certified ﮧ) g ﺻﺎﺑﺎ
10 maggio 2023 16.43.41
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vineolazio) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | FORD PENSION UNIVERSAL | 0 | 246 28. |
28-246 |
| **D | PLUS DEKA VALUÉ |
0 | 157.824 2. |
157.824 ਟ |
| **D | TM FULCRUM DIVERSIFIED ABSOLUTE RETURN FUND | 0 | 35.477 | 35.477 |
| **D | TRUST FUNDS VANTAGETRUST III MASTER COLLECTIVE INVESTMENT |
0 | б . 50 481 |
.509 401 |
| **D | INDEX FUND FLEXSHARES STOXX GLOBAL ESG SELECT |
0 | S 20.12 |
20.125 |
| **D | FUNDS SICAV PRICE ROHE T. |
б 64.18 E |
.189 ਦੇ ਖੋ E |
|
| **D | SICAV NORDEA 2 |
0 | б 144.81 2 |
ರ . 01 144 2 |
| **D | PORTFOLIO MAINSTAY VP FIDELITY INSTITUTIONAL AM UTILITIES |
C | 0 403.20 |
03.200 P |
| **D | ORGANIZATION FOR WORKERS` RETIREMENT ALLOWANCE MUTUAL AID FOR BANK OF JAPAN, LTD. AS TRUSTEE MASTER TRUST THE |
S 56.64 € |
S 6 ব ર્ક દ - € |
|
| **D | NORDEA 1 SICAV | 62.064 2 2 |
. 064 62 ਟ N |
|
| **D | LANDWIRTSCHAFTLICHER VERSICHERUNGSVEREIN MUENSTER A.G. LVM |
L ਟ 8 114 . |
L ਦੇ ਉ 14. L |
|
| **D | LIMITED-UNIT LINKED PENSION SOCIETY INSURANCE UNION MUTUAL FARMERS NATIONAL THE |
53.846 | 8 4 6 53. T |
|
| **D | LTD SOCIETY INSURANCE MUTUAL UNION FARMERS NATIONAL THE |
09.184 ਪ |
184 09. D |
|
| **D | ETF INFRASTRUCTURE AGFIQ GLOBAL |
0 | 4.230 | 4.230 |
| **D | FUND SUPERANNUATION MINE |
0 | 347.443 | 347.443 |
| **D | COLLEGE CAMBRIDGE TRINITY |
0 | 168.067 | 067 દ્ધ . દ્વાના |
| **D | DEVELOPED MARKETS EQUITIES (HEDGED) FUND TCORPIM |
0 | 926 319. |
926 319. |
| **D | LIMITED AS TRUSTEE FOR THE QANTAS SUPERANNUATION PLAN SUPERANNUATION OANTAS |
0 | ਕੇ ਕੇ ਦ 1. |
વે જે ર 1. |
| **D | FUNDS CAPITAL GROWTH ROBECO |
0 | 303.826 9 |
826 зоз 9 |
| **D | ACTIVEBUILDERS INTERNATIONAL EQUITY ETF JPMORGAN |
5.031 | 031 5. |
|
| **D | TRUST SAVINGS PLUS PROGRAM MASTER CALIFORNIA STATE OF |
0 | -577 29 |
577 б て |
| **D | HANDELSBANKEN GLOBAL INDEX CRITERIA | 0 | 37.110 6 |
110 937. |
| **D | EUROPE IVUI EQUITY |
270-000 | 000 270. |
|
| **D | HESTA | 616.611 | eil 616. |
|
| **D | SUEBIA-FONDS | ਕੇ I 8 48. ਟ |
aza 00 24 |
|
| **D | INTERNATIONAL RESEARCH EQUITY FUND MMC MAINSTAY |
522 72. |
522 72. |
|
| **D | II INTERNATIONAL STOCK MARKET INDEX TRUST FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL VANGUARD |
6.850.158 9 |
158 50. ರ್ 9 0 |
|
| **D | DIVERSIFIED INCOME FUND GLOBAL SCHRODER |
14.609 | ୧୫ ਰ 14 - |
|
| **D | SICAV UCITS FULCRUM |
856 95. |
୫ ହ ୧ 5. б |
|
| **D | EUND DEVELOPED MARKETS EQUITIES (SOVEREIGN INVESTOR - HEDGED) TCORPIM |
.128.250 T |
250 . 128 . ไ |
|
| **D | HEDGED EQUITY FOND INTERNATIONAL J PMORGAN |
.772 9 9 |
6.772 9 |
|
| **D | FUND INFRASTRUCTURE GLOBAL CBRE MAINSTAY |
.739 572 B |
ਤੇ ਰੇ . 7 .572. 8 |
|
| **D | COMPANY INVESTMENT SECOND SAUDI THE |
ર જ દ 225 |
8 ട S 225. |
|
| **D | SOMBARDIER TRANSPORTATION RETIREMENT PLAN TRUST | .300 б 9 |
300 9. g |
|
| **D | EQUITY ETF INTERNATIONAL BETABUILDERS JPMORGAN |
.684.334 | 684 - 334 | |
| **D | EUROPE ETF BETABUILDERS JPMORGAN |
6.927.478 | 6.927.478 | |
| **D | FORSTA AP - FONDEN | . 639 341 ਟ |
.341.639 ਨ |
|
| **D | FUND INL INTERNATIONAL INDEX |
0 | 234 . 065 |
234 -065. ﺎ |
| **D | INKA VALENCIA |
0 | 529 191 |
529 191 - |
| **D | SBB PENSIONSKASSE |
25.164 D |
164 ടം વે ટ |
|
| **D | FUND LISTED INFRESSION CAURE (HEDGED) GLOBAL MORNINGSTAR |
.511 106 |
511 106. |
|
| **D | ALLOCATION FUND GLOBAL ACTIVE SCHRODER |
0 | 21.344 | 21.344 |
| **D | HOLDINGS LLC VOLTAIRE |
0 | 123.045 | 123.045 |
| **D | OF THE CITY OF NEW YORK RELIREMENT SYSTEM TEACHERS * |
0 | . 869 993 |
993.869 |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST AKTIER KL | 0 | 25-477 | 25.477 |
| **D | PF2 | 0 | 146.518 | 146.518 |
| **D | SHELL CONTRIBUTORY PENSION FUND OF SHELL PENSIONS LAUSI LIMITED PS IROSIEE |
0 | 133.350 | 350 133. |
| **D | AUSTRALIANSUPER | 0 | 256.664 | 256.664 |
| **D | DELTA MASTER TRUST | 0 | 82 . 3 ਕੇ 7 |
47.382 |
| **D | T. ROWE PRICE CONCENTRATED GLOBAL EQUITY FUND | 0 | 2 0 . g 9 |
6.903 |
| Pagina 6 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| Azionisti in proprio: | 3.316 Azionisti in delega: 11 |
|||
866

10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remuneris corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deilberzzione voo vinolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | VANGUARD INTERNATIONAL SHARES INDEX FUND | 3.180.074 | 3.180.074 | |
| **D | PTV2 | 64 - 493 P |
464.493 | |
| **D | PT-VISION | ਰੇ ਪੋ ਪੈ 914 . |
914.944 | |
| **D | JPMCBNA | ਰੇ ਰੇ - 2 9 |
6.299 | |
| **D | CONSTRUCTION AND BUILDING UNIONS SUPERAMNUATION FUND | 91 . 8 9.279 |
091 9.279. |
|
| **D | INC FOUNDATION KIRBY F. M. |
વે ક S 37. |
95 S 7. E |
|
| **D | FIDELITY EUROPEAN FUND FIDELITY INVESTMENT FUNDS - |
. 129 ટ દ 9.1 I |
.126.129 б ﺎ |
|
| **D | TF-EQUITY | ટે ર .481.3 L |
56 ದ 1. - 48 L |
|
| **D | DT EQUITY | 024 б 0 - 0 T |
024 9. . 00 T |
|
| **D | FIDELITY EUROPEAN TRUST PLC | .236 -333 t |
236 333. 1 |
|
| **D | T. ROWE PRICE FUNDS OEIC - GLOBAL SELECT EQUITY FUND | 851 1 |
851 7. |
|
| **D | MACQUARIE INTERNATIONAL EQUITIES FUND | ୫ ୧ . વે દ તે 1 |
169-986 | |
| **D | FUND RETURN SELECTION SUSTAINABLE NORDEA |
0 | . 248 ব |
4.248 |
| **D | PASSIVE FUND EUROPEAN NORDEA |
0 | ਰੋ 2 . 7 ਤੇ ਤੋ T |
133.792 |
| **D | MULTI-FACTOR FUND MACQUARIE |
0 | 52 117.3 |
117.352 |
| **D | FUND 90 STRATÉGA NORDEA |
0 | 6.916 | 916 6. |
| **D | INVESTERINGSFORENINGEN SYDINVEST | 0 | . 953 0 б |
88.953 |
| **D | STRATEGIC INTERNATIONAL EQUITY FOND | 0 | 119.047 | 119.047 |
| **D | GLOBALE AKTIERINDEKS KL BANKINVEST , INVESTERINGSEORENINGEN |
0 | - 940 126 |
126.940 |
| **D | ICVC-JPM DIVERSIFIED GROWIN FUND JPMORGAN FUND III |
0 | 11.789 | 11.789 |
| **D | INSURANCE COMPANY LIFE FINANÇIAL EQUITABLE |
0 | 60.305 | 60.305 |
| **D | SUEWAG G55 | 0 | 21.213 | 21.213 |
| **D | PFA PENSION FORSIKRINGSAKTIESELSKAB | 0 | -520 . 743 L |
1.743.520 |
| **D | VERDIPAPIRFONDET NORDEA GLOBAL | 0 | 52 167.2 |
167.252 |
| **D | LEW F55 | 0 | . 249 ਟ E |
32.249 |
| **D | KYBURG INSTITUTIONAL FUND - AKTIEN WELT | 0 | .529.416 L |
529.416 1. |
| **D | INVESTERINGSFORENINGEN NORDEA INVEST ENGROS INTERNATIONALE AKTIER | 0 | B -75 290 |
290.758 |
| **D | EQUINOR PENSJON | 0 | 300.000 | 300.000 |
| **D | AANDELEN FONDS EIGENAAR ASR DUURZAAM WEREIDWIJD JURIDISCH STICHTING |
0 | 142.241 | 142.241 |
| **D | GLOBALE UDBYTTEAKTIER KL INVEST INVESTERINGSFORENINGEN NORDEA |
0 | 269.185 | 269.185 |
| **D | ENERGY-INFRASTRUCTURE-RENEWABLES FUND SP FULCRUM l SPC FONDS FULCRUM |
0 | . 248 б |
248 ਰੇ . |
| **D | CRITERIA INDEX EUROPA HANDELSBANKEN |
0 | .862.027 L |
1.862.027 |
| **D | SOCIETY LIMITED RETIREMENT BENEFITS SCHEME NATIONAL FARMERS UNION MUTUAL INSURANCE |
0 | . 094 ਨ ਰੇ |
29.094 |
| **D | FUND INDEX EQUITY INTERNATIONAL PRICE ROWE T. |
0 | - 548 423 |
423.548 |
| **D | CORE EQUITIES INTERNATIONAL SRI WHOLESALE |
0 | . 126 B |
8.126 |
| **D | INCOME FUND JPM MULTI-ASSET ICVC - JPMORGAN FUND |
0 | 31-567 | 31.567 |
| **D | SENIOR GENERATIONSFOND NORDEA |
0 | 6 69.16 |
69.169 |
| **D | ENVIA 178 | 0 | 33.807 | 33.807 |
| **D | FUND MAINSTAY CBRE GLOBAL INFRASTRUCTURE MEGATRENDS |
0 | B વે 12-884-0 |
884.084 12. |
| **D | FOND BUILDER INCOME JPMORGAN |
0 | .031 б ਰੇ 8 |
20.686 |
| **D | NORDEA GENERATIONSFOND 50-TAL | 0 | ਰੇ ਦ 636.6 |
636.695 |
| **D | I BUMA-UNIVERSAL-FONDS |
0 | .113 б p |
49.113 |
| **D | PLAN VEKSTORIENTERT VERDIPAPIRFONDET NORDEA |
0 | . 744 9 ป |
16.744 |
| **D | NORDEA GENERATIONSFOND 80-TAL | 0 | .531 026 |
320.531 |
| **D | AKTIEN RBI BAV UI-FONDS |
0 | 61 866.0 |
866.061 |
| D D |
FLEXSHARES MORNINGSTAR DEVELOPED MARKETS EX-US FACTOR TILT INDEX FUND | 0 | u 169.12 |
169.125 |
| RAGS-FUNDMASTER | 0 | 70.365 | 70.365 | |
| **D | BALANSERT VERDIPAPIRFONDET NORDER PLAN |
27 25.0 |
25.827 | |
| D D |
STOCK INDEX FUND VANGUARD TOTAL INTERNATIONAL GLOBAL PASSIVE FUND NORDEA |
. 847 102-833-884 294 |
102.833.884 294.847 |
|
| Pagina 7 | ||||
| Azionisti: | 21 Teste: 3 327 |
જ્વે દ
EMARKET
SDIR
GRTIFFE ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘ
3.316
Azionisti in delega:
11
10 maggio 2023 16.43.41 ﮐﮯ
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunersi corrisposi - Seconda Sezione: relazione: relazione: relaziones non vineclante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | INDEKS KL INVESTERINGSFORENINGEN NORDEA INVEST GLOBALE AKTIER |
74.330 | 330 74 - |
||
| D D |
INVESTERINGSFORENINGEN NORDEA INVEST AKTIER II KL | 0 | 17.843 | 8 4 3 7. T |
|
| **D | VERDIPARIRFONDET NORDER PLAN KONSERVALIV NO | .502 ങ |
502 8. |
||
| **D | ENHANCED EQUITY II) OF JPMORGAN CHASE BANK, N.A RESEARCH COMMINGLED PENSION TRUST FUND (INTERNATIONAL EES |
726.986 | વે 8 દ 26. 1 |
||
| **D | EMBO-FONDS | 15.437 โ |
437 15. T |
||
| **D | FUND NORDEA WORLD |
209.028 | 209.028 | ||
| **D | NORDEA GLOBAL DIVIDEND FUND | . 254 .273.676 3.902 L |
.273.676 254 T E |
||
| **D | FUND EIDERITY INVESTREMI EUNDS - EIDETITY INDEX MORTO |
907.233 | 233 907. . 902 . |
||
| **D | NORDEA PLAN OFFENSIV VERDIPAPIRFONDET |
994 52. |
ਰੇ ਰੇ ਖੋ 2. ತ |
||
| **D | FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DYNAMIC INDEX FUND | 259 53. |
259 ഹ 5 |
||
| **D | 01-E | 60.726 | 60.726 | ||
| **D | SLICHLING SHETT DENSIOEMLONDS | 377 01 - P |
377 401. |
||
| **D | INDEX FUND FLEXSHARES INTERNATIONAL QUALITY DIVIDEND DEFENSIVE |
. 205 2 ସ |
205 26. |
||
| **D | AKTIEALLOKERING NORDER |
302.503 | 503 302. |
||
| **D | VELLIV, PENSION & LIVSFORSIKRING A/S | 120 17. |
17.120 | ||
| **D | NORDEA GENERATIONSFOND 60-TAL | 524 - 424 | . 524 . 424 t |
||
| **D | EQ ADVISORS TRUST - ATM INTERNATIONAL MANAGED VOLATILITY PORTFOLIC | 597 8 ਤੋ ﺎ |
97 S 9. 18 |
||
| **D | DAIDO LIFE FOREIGN EQUITY MOTHER FUND BANK OF JAPAN, LTD. AS TRUSTEE FOR THE MASTER TRUST |
103 ব - |
103 4. |
||
| 8 | D D |
FUND ASSET ALLOCATIONTV4 MOTHER GLOBAL |
. 289 గా |
209 E |
|
| **D | AKTIER PORTEFOLJE VERDIPAPIRFONDET NORDEA AKSJER VERDEN INVEST VAERDIPAPIRFONDEN NORDEA |
77.841 22-808 8 |
041 22. 877. |
||
| 66 | **D | FUNDS JPMORGAN |
38.387 L |
387 808 |
|
| **D | FUND EUROPEAN HIGH DIVIDEND YIELD STOCK MOTHER PAN DAIWA |
19.990 | 990 138. 19. |
||
| **D | NORDEA GENERATIONSFOND 70-TAL | 97.933 S |
933 597. |
||
| **D | STATE OF WYOMING | 94.856 V |
856 4 9 4 . |
||
| **D | SAMPENSION INVEST, GLOBALT AKTIEINDEKS KAPITALFORENINGEN |
15.590 8 |
590 815. |
||
| **D | STATE OF NEW MEXICO STATE INVESTMENT COUNCIL | 422.895 | 8 à 2 422. |
||
| **D | PLUS MOTHER FUND ASSET GLOBAL MULTI |
1.618 | 1.618 | ||
| **D | FUND ACTIVE VALUE GLOBAL QEP SCHRODER |
532 29. t |
532 29. L |
||
| **D | PORTFOLIO GROWTH DYNAMIC MODERATE EQ/AB EQ ADVISORS TRUST - |
206.446 | 206.446 | ||
| **D | OPEN MOTHER FUND RESEARCH INTERNATIONAL DL |
. 958 82 b |
તે રેમ 482. |
||
| D D |
FUND MOTHER INDEX EQUITY GLOBAL SHINKO |
798 T |
798 1. |
||
| **D | INTERNATIONAL INDEX FUND FOND JPMORGAN GLOBAL ALLOCATION NATIONWIDE |
52-568 | ടെക്ക 52. |
||
| **D | INSURANCE & ANNUITY CORPORATION YORK LIFE NEW |
560-961 | ਰ 21 560. |
||
| **D | S.A. GERANA SICAV-SIF, |
137.209 567 22 |
567 209 137. 22. |
||
| **D | FBO JEFFERS TRUST DATED 1/3/75 KIRBY F M |
11.833 | 11-833 | ||
| **D | BOARD PUBLIC SERVICE PENSION FUND MANAGEMENT |
17.082 | 17.082 | ||
| **D | FUND TM FULCRUM INCOME |
. 803 9 |
803 6. |
||
| **D | PENSION SYSTEM FIRE AND POLICE DALLAS |
.670 3 ୧ T |
136.670 | ||
| **D | PORTFOLIO EQ/AB DYNAMIC AGGRESSIVE GROWTH । EQ ADVISORS TRUST |
. 009 б P |
009 9. ਾ |
||
| * * D | FUND ROWE PRICE INTEGRATED GLOBAL EQUITY |
200 గా L |
200 3. T |
||
| **D | FUND EQUITIES INTERNATIONAL BAILARD NATIONWIDE |
00.000 ਨ |
200.000 | ||
| * * D **D |
D ട്. DATED 1/3/75 F/B/0 TRUST KIRBY E.M. |
0 | 9-179 ਟ |
29.179 | |
| **D | INSURANCE COMPANY LIMITED CHINA LIFE |
160.900 | 160.900 | ||
| **D | ROWE PRICE FUNDS OEIC - CONTINENTAL EUROPEAN EQUITY FUND INKA вед T. |
54.418 | 54.418 | ||
| **D | NORDEA LIV NORGE AS TIVSFORSIKRINGSSETSKABEL |
0 | 14.484 | B વૈ 14.4 |
|
| **D | UI-PAVO-100 | 0 | 315 00 362.8 9 โ |
315 00 362.8 6. T |
|
| Pagina 8 | |||||
| Azionistı: | 21 Teste: 3.327 |
||||
| Azionisti in proprio: | 3.316 Azionisti in delega: 11 |
||||

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الملائي المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمل المحتمر المحافظة المح
ملان ال
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunerati corrisposti - Seconda Sezione: relazione sui composi corrisposti nel 2022 (deliberzatone on vincolarte) FAVOREVOLI
| Badge | Ragione Sociale | Proprio 0 |
Delega | Totale |
|---|---|---|---|---|
| D D |
INSTITUTIONAL INVESTMENT FUND, SICAV- FIS EUND SUSTAINABLE SELECTION MODERATE NORDER NORDEA |
o o | 84.387 17.361 |
84.387 17 - 361 |
| **D | GLOBAL ENHANCED FUND NORDEA |
0 | 91.725 б |
91-725 б |
| D D |
KL EUROPE ENHANCED LIMITED INVESTERINGSFORENINGEN NORDEA INVEST REAL ASSETS GLOBAL CORE JPMORGAN |
0 | 22.600 139.799 |
8 139.799 ୧୦ 22. |
| **D | EUROPE (EX-UK) RESEARCH ENHANCED INDEX EQUITY FUND JPM FUND ICVC - JPMORGAN |
0 | 88.535 | 88.535 |
| **D | ENERGY PORTFOLIO EQ/WELLINGTON l EQ ADVISORS TRUST |
0 0 |
.277.123 102.498 9 |
02.498 L |
| *D * D |
INTERNATIONAL STOCK MARKET INDEX TRUST FIDUCIARY TRUST COMPANY INSTITUTIONAL TOTAL PORTFOLIO CBRE GLOBAL INFRASTRUCTURE VD VANGUARD MAINSTAY |
0 | 126.001 | 277.123 126.001 6. |
| **D | INC. PGIM STRATEGIC INVESTMENTS, |
0 | 521 б |
521 б |
| **D | SAS TRUSTEE CORPORATION POOLED FUND | 0 | 792 6. L B |
.792 1 ਦ 0 |
| **D | FUND LIQUID ALTERNATIVES DIVERSIFIED FULCRUM દાન |
502 1 |
502 7 . |
|
| * * D | EUROPEAN SHARE FUND BT |
o o o | 9.042 б L |
9.042 6 L |
| **D | NORDEA SUSTAINABLE EQUITIES GLOBAL FUND | 701 45. E |
345-701 | |
| **D | FUND EQUITY INTERNATIONAL RESEARCH ÉNHANCÉD JPMORGAN |
o o | 993 .620.153 2 |
ਕੇ ਕੇ ਤੇ 620.153 18 ਟ |
| **D | SUSTAINABLE INFRASTRUCTURE FUND JPMORGAN |
0 | I B | |
| *D * D |
SCHRODER INTERNATIONAL SELECTION FUND ROBIN I-FONDS |
0 | ર ક 581 9 ୧୧. 8 8 ਟ . 2 L |
. 665 81 S ର ଚି ന . 20 2 I |
| **D | (UNHEDGED) MACQUARIE INTERNATIONAL INFRASTRUCTURE SECURITIES FUND |
0 | 106 26. C |
26.108 C |
| **D | TRPH CORPORATION | 0 | ਕੇ 8 S র্বা |
598 র . |
| **D | eund INTERNATIONAL DEFENSIVE STYLE AQR l FUNDS AOR |
0 | . 046 30 |
30.046 |
| **D | LLC INTECH GLOBAL ALL COUNTRY ENHANCED INDEX FUND |
0 | ਰੇ ਹ 7 - 4 |
7.491 |
| **D | ETF SUSTAINABLE INFRASTRUCTURE J PMORGAN |
0 | 8 I 9 8 . ਟ |
28 - 681 |
| **D | ದ PSI 3 GLOBALE AKTIER INVEST, PENSAM KAPITALFORENINGEN |
0 | 618 ਕ ਦੇ ਤੋਂ |
461.618 |
| **D | EQUITY FUND RESEARCH ENHANCED INDEX GLOBAL ICVC - JPM FÜND JPMORGAN |
0 | 115.669 | 115-669 |
| **D | AUSTRALIA LIMITED PRICE ROWE T. |
0 | 9.073 । |
19.073 |
| **D | TRUST DATED 1/3/75 F/B/O ALIC KIRBY E.M. |
0 0 |
130 8.618 .278. ไ 8 1 |
8.618 8.278-130 ไ L |
| **D | FUND T. ROWE PRICE INTERNATIONAL VALUE EQUITY |
0 | 53.942 | 53.942 |
| D D |
15 70 STRATÉGA NORDEA NORDEA |
0 | 6.743 3 3 |
336.743 |
| **D | CALVERT INTERNATIONAL RESPONSIBLE INDEX ETF STRATEGA |
0 | . 465 0 L |
. 465 18 |
| **D | 2 ов |
0 | 250.879 | 250.879 |
| **D | STRATEGA 50 NORDEA |
0 | 392 242 - |
242.392 |
| **D | SHELL OVERSEAS CONTRIBUTORY PENSION FUND SHEIT TRUST (BERNUDA) LID AS TRUSTEE OF THE |
0 | 62 48 - 0 |
48.062 |
| ++D | FAMILY INVESTMENTS LIC HOBART |
0 | 62-172 | 62.172 |
| **D | EUROPEAN STOCK FUND PRICE T. ROME |
0 | 2.748.563 | 2.748.563 |
| **D | NVIT INTERNATIONAL INDEX FUND | 0 | . 4 4 0 7 4 4 |
744.440 |
| **D | 30 STRATEGA NORDEA |
0 | 30 308.1 |
0 08.13 E |
| **D | FUND MORID PASSIVE NORDEA |
0 | 154-164 | 154.164 |
| **D | CUSTODY BANK OF JREAN, ITD. AS TRUSTER & BANKING CO., IDD. AS TRUSTER FOR INTERNATIONAL BQUITY PASSIVE | 0 | 1.105.481 | |
| 1.105.481 | 0 | 32.250 | 32.250 | |
| * * D **D |
K N INVESTERINGSFORENINGEN NORDER INVEST BASIS PRICE RETIREMENT HYBRID TRUST ROWE г. |
g | .437.192 L |
37.192 ರ್ಕ ไ |
| **D | PORTFOLIO INDEX EQUITY EQ/INTERNATIONAL l ADVISORS TRUST EQ |
0 | 0 1.445.20 |
.445.200 T |
| **D | KT m BASIS NORDEA INVEST INVESTERINGSFORENINGEN |
0 | 8 124.45 |
8 124.45 |
| **D | PLAN MODERAT NORDEA VERDIPAPIRFONDET |
0 | 20.313 | 20.313 |
| **D | PARTNERSHI GLOBAL EQUITY LIMITED PROVEDA |
0 | 3.936 | ਰੇਤੇ ਦ 3. |
| **D | TRUST PRICE INTERNATIONAL VALUE EQUITY T. ROWE |
0 | .457 ર્ગ ક 8 L L |
835.457 17 |
| **D | FUND FIDELITY INVESTMENT FUNDS - FIDETITY GLOBAL DIVIDEND |
0 | 0 .205.00 B |
0 00 05. . 2 8 |
| **D | BASIS 4 KL INVESTERINGSFORENINGEN NORDEA INVEST |
0 | 38.102 | 38.102 |
| Pagina 9 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| Azionisti in proprio: | 316 చ Azionisti in delega: 1 I |
865
EMARKET
SDIR certified
पुर
100


Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzione non vincolazio) FAVOREVOLI
| Badge | Ragione Sociale | |||||||
|---|---|---|---|---|---|---|---|---|
| **D | SCHRODER GLOBAL MULTI-CAP VALUE PORTFOLIO, | L.P. | Proprio | Delega | Totale | |||
| **D | SCHRODER DIVERSIFIED GROWTH FUND | O | 28.535 | 28-535 | ||||
| **D | FOREIGN STOCK INDEX MOTHER FUND | 0 0 |
.223 ਟ ਪੈ |
54.223 | ||||
| **D | GLOBAL ASSET ALLOCATION TV3 (RISK CONSTRAINED TYPE) | MOTHER FUND | . 891 357 |
357.891 | ||||
| **D | THE BOEING COMPANY | EMPLOYEE | TRUST | 0 | 8-140 | 8-140 | ||
| **D | RETIREMENT PLANS MASTER GAMLA LIVFORSAKRINGSAKTIEBOLAGET SEB TRYGG LIV |
0 | 8 315.46 |
315.468 | ||||
| **D | MORID MULTI ASSET MOTHER | FUND | 0 | 6 . 43 ਵ ਰੇ |
69.432 | |||
| **D | THE PUBLIC | SECURITY INSTITUTION FOR SOCIAL |
0 | 6.142 | 6.142 | |||
| **D | T. ROWE PRICE FOREIGN INVESTMENT, | INC. | 0 | . 926 094 1. |
94.926 O T |
|||
| **D | NORDEA AVTALSPENSIONSFOND MIDI | 0 | -060 E |
3.060 | ||||
| **D | AMF AKTIEFOND EUROPA | 0 | క . 55 0 0 |
ਦ 00.55 |
||||
| 0 | 9 50.45 8 ਟ |
50.456 8 ਟ |
||||||
| D D |
SUSTAINABLE ACTIAM |
INDEX FUND EQUITY EUROPE | 0 | 8 39.10 ਟ |
0 99.10 ਟ |
|||
| **D | ACTIAM | DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | 789-644 | 789.644 | |||
| ANIMA PICPAC VALORE GLOBALE | 2028 | 0 | . 400 11 |
11.400 | ||||
| **D | FCP AVENIR CROISSANCE | PA | 0 | 970 ਹੈ ਕੇ |
14.970 | |||
| **D | l SMILSEBLEVEN INSLILUTIONELE BETEGGINGSEONDSEN |
ZWITSERLEVEN DUURZAAM INDEX AANDELENFONDS EUROPA | 0 | S . 59 151 |
151 - 595 | |||
| **D | CAPITAL MANAGEMENT SGR S.P.A AZIMUT |
O | 0 .00 711 |
711.000 | ||||
| **D | ANIMA VALORE GLOBALE | 0 | .501 582 |
82.501 S |
||||
| ત્વે જિલ્લ | **D | BANCOPOSTA MIX 1 | 0 | 48.830 | 48.830 | |||
| A * D | DEAM FONDS ATZM | 0 | 48.000 | 48.000 | ||||
| D D |
KAYNE ANDERSON RENEWABLE INFRASTRUCTURE FUND | o o | 1 74 443. |
747 4 3 . ਕਾ |
||||
| **D | SMILSERIENEN BELEGINGSFORDSEN | EUROPEES — ZWITSERLEVEN |
AANDELENFONDS | 325.610 ਟ |
610 325. ਟ |
|||
| SYCOMORE SELECTION RESPONSABLE | 879-410 | 879.410 | ||||||
| D D |
K ACTIONS EURO KI ESTA FCP |
o o o | 9 - 40 22 |
9 22.40 |
||||
| ASIFER ACTIAM BF |
б . 62 31 |
б 31.62 |
||||||
| D D |
RETRAITE EURO KLEŠIA K SECULAIRE FCP LE |
O | 5 94.68 . 3 ਟ |
ப 68 94 . 3 n |
||||
| **D | FRANCAISE GREEN TECH EUROPE LA |
0 | 0 . 15 2 |
.150 C |
||||
| **D | 0 | 09.242 2 |
09.242 ਟ |
|||||
| **D | SAEV MASTERFONDS INKA | o o | 402.243 | 402.243 | ||||
| CROISSANC LORENTZ POCKET |
-824 31 |
31.824 | ||||||
| D D |
UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON | મંદિ OF BEHALF |
-B HAUPFONDS | 00 | 224.782 | 224.782 | ||
| **D | 0NIVERSAL-INVESTMENT-GESELLSCHAFT MBH AHOLD STICHTING |
OF ON BEHALF DELHAIZE PENSIOEN |
UNIVERSAL-OCQ | 45.522 | 45-522 | |||
| **D | 0 | . 417 188 |
88-417 L |
|||||
| **D | SYCOMOBE INCINSIVE TOBS | D | 0 ਰੇ ਪੈ 217 . ! |
217-940 | ||||
| **D | BANCOPOSTA AZIONARIO INTERNAZIONALE | OF ONIVERSAL-INVESTMENT-GESELTSCHAFT MBH ON BEHALF |
GLOBAL AKTIEN INFRASTRUKTUR HMT |
o o | 0 90.00 |
90.000 | ||
| **D | ACTIAM DUURZAAM EUROPEES AANDELENFONDS | ப 500.51 |
S 51 500. |
|||||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON | OF BEHALF |
90 EURO AKTIEN PROTECT HMT |
0 0 |
15.616 0 |
15.616 | ||
| **D | VALUE EUROPE INVEST DNCA |
0 | L ਰੇ ਹ 134.05 .476. ਟ |
134.050 ﺎ ਰੇ I 476. ਟ |
||||
| **D | ANIMA VISCONTEO | 0 | 798.324 ਘ |
98.324 L ਟ |
||||
| **D | INTERNATIONAL INDEX FUND PRAXIS |
p 63.19 |
63.194 | |||||
| **D | JANUS HENDERSON GLOBAL EQUITY INCOME FUND | 0 0 | 672 ਰੇ ਦੇ ರ I |
672 ਰੇ ਦੇ . 4 - ໄ |
||||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | EPOTIF MASTERFONDS | O | б 44.04 ಕ |
ర 344-04 |
|||
| **D | FUND 1 AZ |
AZ ALLOCATION DYNAMIC FOF | O | 0 S L 26. |
26.150 | |||
| **D | ANIMA SFORŽESCO | 0 | 776 ୧୦ ਟ L |
9 77 260. T |
||||
| **D | HI PANI DIVIDENDE PLUS FONDS | 0 | 612.041 | 612.041 | ||||
| **D | FONDS OBJECTIF | 2 CLIMAT ACTIONS |
0 | .514 ୧ ] বঁ |
614.514 | |||
| **D | EUROPE FDNC ACTIONS |
0 | C 43.34 |
43.342 | ||||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBN ON BEHALF OF ARSD-UNIVERSAL-FONDS | 57.541 | 54 J 57. L |
|||||
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF | COMMERSBANK FLEXIBLE ALLOCATION EUROLAND | 0 | 98.122 ব |
98 - 122 P |
|||
| Pagina 10 | ||||||||
| Azionisti: | Teste: 3.327 |
21 | ||||||
| Azionisti in proprio: | Azionisti in delega: I I |
3.316 | ||||||
EMARKET
SDIR
GRTIFFE
ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogecto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compezsi corrisposti nel 2022 (deiberzzione uno vincolate) FAVOREVOLI
| Badge **D |
ACTIAM DUURZAAM INDEX AANDELENFONDS WERELD Ragione Sociale |
Proprio 0 |
Delega 186.857 |
Totale 186.857 |
|---|---|---|---|---|
| **D | BAYERISCHER PENSTONSFONDS OF UNIVERSAL-INVESTMENT-GESELLECHALL WBH ON BEHATE |
0 | 08 . વૈ 280 |
280.408 |
| **D | FUND 1 AZ EQUITY EUROPE AZ |
00 D 520. |
520.000 | |
| D D |
FCP CNP ACTIONS EUR.FID. 2 FCP GARANCE EUROPE |
0 | 457.326 | 457.326 |
| **D | 0 | .844.957 t |
844-957 L |
|
| **D | MANDARINE EQUITY INCOME VALEUR FCP ALBA |
0 0 |
65.915 290.000 |
5.915 290 9 |
| **D | PARTNERS SYCOMORE |
0 | 5.000 18 |
185.000 .000 |
| **D | PIÇPAC ESALOGO BILANCIATO 2025 III ANIMA |
ಿ | 15.830 | 15.830 |
| **D | INIZIATIVA ITALIA ANIMA |
0 | 0 ਰੇ ਹ 693. ਟ |
693.900 ਟ |
| **D | AZIONARIO EURO BANCOPOSTA |
0 | 763.615 T |
763.615 ન |
| **D | I DEXA-MASTER-HAEK |
0 | 217.118 | 217-118 |
| **D | EURO AKTIEN VOLCONTROL BEHALF OF HMT UNIVERSAL-INVESTMENT-GESELLSCHFET W8H ON |
0 | 113.244 | 113.244 |
| **D | FUND CAIXABANK GLOBAL ALBUS |
0 | 181.000 | 0 181.00 |
| **D | 12 UNIVERSALFONDS вні OF BEHALF ON ਅਤੇ ਮ UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 5.045 | 5.045 |
| **D | PHILADELPHIA GAS WORKS PENSION PLAN | 0 | 354 0 - |
0.354 |
| **D | OPPORTUNITIES I/S SYCOMORE |
0 | 239.500 | 39.500 ਟ |
| **D | EQUITY ALL COUNTRY BANCOPOSTA |
0 | 30.405 | 30.405 |
| **D | HUMAIN EURO CAPITAL LA FRANCAISE ACTIONS |
0 | 276.740 | 0 276.74 |
| **D | BEHALF OF WAB-UNIVERSAL-FONDS MBH ON UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 1.401 ો |
11.401 |
| **D | HORIZON EUROLAND FUND HENDERSON |
0 | S .218.17 2 |
218.175 2 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHART MBH ON BEHALF OF FEHO-UNIVERSAL-FONDS | 0 | 120.000 | 120.000 |
| **D | INSTITUTIONAL EUROPEAN INDEX OFFORTUNITIES FUND HENDERSON JANUS |
0 | 0.878 A |
40-878 |
| **D | ANIMA EUROPA | 0 | S 409.49 |
S 409.49 |
| **D | AZ FUND 1 AZ ALTERNATIVE LONG SHORT EUROPE | 0 | 82.000 | 82.000 |
| **D | INC. ASSOCIATION, HEART AMERIÇAN |
0 | 8.976 ਨ |
28.976 |
| **D | RENEWABLE ENERGY TRANSITION FUND, L.P. KAYNE ANDERSON |
0 | 0.500 0 |
40.500 |
| **D | 2024 TARGET VISCONTEO ANIMA |
0 | 42-673 | . 673 42 |
| **D | VSTBH-UNIVERSAL-FONDS OF BEHALF ON мвн UNIVERSAL-INVESTMENT-GESELLSCHAFT |
0 | 28.818 | 28.818 |
| **D | COLUMBUS FONDS OF BEHALF ON MBH UNIVERSAL-INVESTMENT-GESETTSCHAFT |
0 | 118.661 | 118.661 |
| **D | ALLOCATION GLOBAL INCOME AZ 1 FÜND AZ |
0 | 50.000 | 50.000 |
| **D | OPPORTUNISTIC GLOBAL 1 CGM FUND AZ |
0 | 130.000 | 130.000 |
| **D | CLARIVEST INTERNATIONAL STOCK FUND CARI LLON |
0 | 211.662 | 211.662 |
| **D | EQUITY GLOBAL LEMANIA |
0 | 57.744 | 57.744 |
| **D | AZ FUND 1 AZ ALLOCATION GLOBAL CONSERVATIVE | 0 | 100.000 | 100.000 |
| **D | MASTERFONDS BANTHUS | 0 | 70.942 | 70.942 |
| **D | UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF VE-UNIVERSAL-FORDS | 0 | 808.780 | 08.780 B |
| **D | ANIMA ITALIA | C | 615-034 S |
615-034 S |
| **D | 2 BANCOPOSTA MIX |
0 | 148.980 | 080 148. |
| * * D | VWLAKH MASTER | 0 | 26.000 | 0 00 6. ਟ |
| **D | KAYNE ANDERSON RENEWABLE INFRASTRUCTURE PARTNERS. LP | 0 | .475.062 T |
475.062 T |
| **D | ICAV FAM SERIES UCITS |
0 | 1.661.264 | 1.661.264 |
| **D | INCOME ETF EAGLE GLOBAL RENEWABLE ENERGY TRUESHARES |
0 | 19.079 | 079 19. |
| **D | OPPORTUNISTIC EUROPEAN AZ FUND 1 CGM |
0 | 75.000 | 75.000 |
| **D | LLC INVESTMENT5, HUBER CAPITAL |
0 | 597 ん |
597 ਟ |
| **D | MATERIALITY AND CARBON TRANSITION ETF દર્શકે GORLD V-SHARES MSCI |
0 | . 684 ﺎ |
. 684 ﺎ |
| **D | BROCKEN-UI-FONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHALF OF |
0 | 214.000 | 214.000 |
| **D | FOND EQUITY BOSTON PARTNERS GLOBAL |
365.262 | 65.262 E |
|
| **D | PSVAG MASTERFONDS ON BEHALF OF QUIVERSAL-INVESTMENT-GESETTSCHAEL NBH |
0 | 721 79 € |
79.721 ల్ |
| * * D | ਰੇ ਤੇ HMT EURO AKTIEN PROTECT ON BEHALF OF ONIVERSAL-INVESTMENT-GESELL'SCHAFT MBH |
0 | 53.95 | 53.955 |
| Pagina 1 l | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
EMARKET
SDIR certified 100.
3.316
11 Azionisti in delega:
Azionisti in proprio:
હ્વા
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunezionesi - Seconda Sezione: relazione: relazione: relazione: relazione noo vinovante) FAVOREVOLI
| Badge | Ragione Sociale | 0 Propri |
Delega | Totale |
|---|---|---|---|---|
| **D | GENERALI INVESTMENTS SICAV - SRI EUROPEAN EQUITY | 0 | 546.289 | 546.289 |
| D D |
CONSERVATION INTERNATIONAL FOUNDATION, INC. FRIENDS FIDUCIARY CORPORATION |
0 0 |
. 614 726 1 9 L |
.726 614 6. L ໄ |
| **D | 2006-UNIVERSAL-FONDS SPM BÉHALF OF ON мвн ONIVERSAL-INVESTMENT-GESELLSCHAET |
O | 3 - 8 4 5 દ |
33.845 |
| **D | EUROPE SICAV FIDELITY |
. 097 . 138 E |
3.138.097 | |
| **D | STANDARD SICAV I ABERDEEN |
0 | 442 ਟ |
42 ব ਟ |
| **D | EXANE FUNDS 2 | 0 | .404.041 ਉ |
. 404 - 041 5 |
| **D | REACTIF GTS l LUX FRANCAISE LA |
0 | રે રેટ 22 |
22.565 |
| **D | 2023 PICPAC MAGELLANO ANIMA |
0 | . 444 ಗಾ |
. 444 m |
| **D | SOSTENIBILE INVESTO POSTE |
G | 277.820 | 277.820 |
| **D | FONDO PENSIONE APERTO l & MESTIERI ARTI |
0 | 5 246 ﺎ |
15.246 |
| **D | EUROPA SELEZIONE ANIMA |
0 | 911 ਤੇ ਕੇ ਰੇ L |
349.911 ﺎ |
| **D | ALTO POTENZIALE ITALIA ANIMA |
0 | 6 6 4 . 4 . 90 L |
904.499 T |
| **D | II 2025 PICPAC ESALOGO BILANCIATO ANIMA |
0 | S B S 9. ไ |
19.585 |
| **D | ESAGONO AZIONARIO GLOBALE ANIMA |
0 | 67 ਟ ਰੇ 4 5 |
267 459. |
| **D | MAGELLANO ANIMA |
0 | 32 ਟ 5. 2 ਤੇ |
295.232 |
| **D | CRESCITA ITALIA ANIMA |
0 | 759.828 t |
759.828 1. |
| **D | AZIONARIO INTERNAZIONALE AN IMA |
0 | -242 77 |
77-242 |
| **D | OBIETTIVO ITALIA ANIMA |
0 | 9 83.32 1 |
183.326 |
| **D | PRUDENTE ESALOGO AN IMA |
0 | 5 0 D ਦੇ ਪ |
54-005 |
| **D | ESALOGO BILANCIATO 2026 PICPAC ANIMA |
0 | 0 32 47 |
47.320 |
| **D | AZIONARIO PAESI SVILUPPATI LTE ANIMA |
0 | 59.676 | 59.676 |
| **D | BANCOPOSTA MIX 3 | 0 | 281.690 | 281-690 |
| * D * |
BIL 2023 ANIMA PICPAC ESALOGO |
0 | 3.700 | 3.700 |
| **D | WERTSICHERUNG 94 ESG HMT ON BEHALF OF UNIVERSAL-INVESTMENT-GESETTSCHAFT FIBH |
0 | 17.190 | 17.190 |
| **D | SELEZIONE GLOBALE ANIMA |
0 | 239.930 | 239.930 |
| **D | 2 2015 SGD RS |
0 | 5 300.79 |
S 00.79 E |
| * * D | HI-172915-FONDS | 0 | பு 39.32 |
39.325 |
| **D | INVESTMENT FUND- MAVERICK GLOBAL FUND GLOBAL BEI |
0 | 16.548 | 16.548 |
| **D | MERCER UNHEDGED OVERSEAS SHARES TRUST | 0 | 8 165.83 |
165.838 |
| **D | ABERDEEN STANDARD CAPITAL INTERNATIONAL LIMITED | 0 | 96.917 9 |
96.917 9 |
| **D | ATCP-UI-FONDS | 0 | 27.278 | 27.278 |
| *D 4 |
UNISUPER | 0 | 172.244 T |
172.244 t |
| **D | SPM 2006-UNIVERSAL-FONDS | 0 | 0 21.74 |
21.740 |
| **D | PSVAG AKTIENFONDS UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH ON BEHATE OF |
O | 0 93.00 2 |
293.000 |
| * * D | ALLOCATION GLOBAL AZ 1 AZ FUND |
0 | 24.440 | 24.440 |
| **D | CLIMATE BEYOND DNCA INVEST |
0 | 90.000 1 |
790.000 |
| **D | INTERNATIONAL ALLOCATION AZ 1 FUND AZ |
0 | 150.000 | 50.000 L |
| **D | FUND INTERNATIONAL SHARE INDEX ENHANCED |
0 | 151 710. |
710.351 |
| **D | CAPITAL OFFSHORE STRATEGY FUND LTD STANDARD ABERDEEN |
0 | 797 31. S |
531.797 |
| **D | AUTHORITY DEVELOPMENT MEDIA INFO-COMMUNICATIONS |
0 | בנו 22 . |
511 22. |
| * * D | GLOBAL LISTED INFRASTRUCTURE SYSTEMATIC FRANCAISE IA |
0 | ક તે ર ਰੇ - 9 |
8 ବି ୧ 6 9 |
| **D | UBAM - EUROPE MARKET NEUTRAL | 0 | 132 28. |
28.132 |
| **D | EQUITY WELFARE UCITS SICAV - EQUITY- EURO FONDACO OBIETTIVO |
61.442 | 61 - 442 | |
| **D | POINT CARBON IMPACT EURO - INFLECTION אמינ LA FRANCAISE |
145.457 | 145.457 | |
| **D | INCOME FUNDS LIMITED AND RHFS GROWTH |
11.147 | 11.147 | |
| **D | EQUILIBRADO WINTERTHUR EPSV |
805 12. |
12-805 | |
| **D | DNCA INVEST EURO SMART CITIES | 317 83. 9 |
.317 683 |
|
| **D | AZ FUND 1 AZ EQUITY GLOBAL INFRASTRUCTURE | .500.000 1 |
.500.000 | |
| **D | GLOBAL EQUITIES ENHANCED INDEX FUND | 454.175 | 454.175 | |
| Pagina 12 | ||||
| AZIONISTI: | 21 Teste: 3.327 |
|||
| 3.316 11 |
||||
| Azionisti in proprio: | Azionisti in delega: |

EMARKET
SDIR certified
CO
1800
દ્વાર
| ENEL S.D.A. |
|---|

Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzione non vincolarte) FAVOREVOLI
| Totale | 3.116 S |
000 - 000 625.000 |
51.240 | 214.000 | 202.060 | ਰ 0 150.000 B 736. |
160-000 | 21.730 | 3.725.000 | 696.385 | 75.395 | 40.000 | 750.941 51.100 |
542.635 | 41.000 | 1.163.952 | 68-403 | 343.161 | 34-546 பர |
5.328 | 3.471 | 57.101 | 12.119 | 20.645 | 127.500 | 825.000 2. |
45.000 110.802 |
618.613 | 12.872 | 64.010 | 310.000 | 16.361 | 41.421 | 25.448 | 22.245 T |
141-321 | 00.000 000.89 S 2 |
8.750 | ర 879.05 |
218.78 | 25.000 | 70.072 | ತ 3.20 |
1.130.000 448.947 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 116 53 |
625-000 580.000 |
51.240 | 214.000 | 202-060 | 736.890 150-000 |
160.000 | 21.730 | 3.725.000 | 5 998.38 |
5 75.39 |
40.000 | 51.100 750.941 |
. 635 542 |
41.000 | .163.952 I |
68.403 | 343.161 | 534.546 | ന ਟ . 3 S |
3.471 | 57.101 | 12.119 | 20.645 | 127.500 | 825.000 2 |
110.802 45-000 |
.613 618 |
.872 ਟ ો |
64.010 | 310-000 | 16.361 | 41.421 | 25.448 | ್ 122.24 |
141.321 | 200.000 568.000 |
0 8.75 |
6 9.05 87 |
ಷ 218.78 |
25.000 | 70.072 | 3.205 | 448 - 947 1.130.000 |
||
| 0 Propri |
0 | 0 | 0 | 0 0 |
00 | 0 | 0 | 0 | 0 | 00 | 0 | 0 | 00 | 00 | 000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000000 | 0000 | 0 | 0 | 0 | 0 | 0 | 0 | ||||||||||||||||||||||||
| Pagina 13 | ||||||||||||||||||||||||||||||||||||||||||||||
| FUND | 21 | |||||||||||||||||||||||||||||||||||||||||||||
| ALLOCATION-LONG TERM EQUITY OPPORTUNITIES | DYNAMIC | AZ MULTI ASSET AZ MULTI ASSET AZ ALLOCATION FLEXIBLE EQUITY | SUPERANNUATION TRUST | RENEWABLE RESOURCES | SCREENED GLOBAL EQUITY INDEX | LISTED INFRASTRUCTURE FUND | 70 EXCELLENCE |
IN FRASTRUCTURE FUND | 30 ITALIAN EXCELLENCE |
|||||||||||||||||||||||||||||||||||||
| ESALOGO BILANCIATO 2025 | FOND GLOBAL EQUITY - VALUE |
WORLD TRADING | ALLOCATION TREND | AND INFRASTRUCTURE TRUST | KIWI INVESTMENT MANAGEMENT WHOLESALE CORE GLOBAL FUND | ANIMA PICPAC VALORE GLOBALE 2027 | SMART RISK PREMIA ALTERNATIVE |
PLUS | DNCA INVEST-EURO DIVIDEND GROWER | GLOBAL EQUITY FUND | SYCOMORE FUND SICAV -SYCOMORE GLOBAL EDUCATION | RINASCIMENTO | EQUITY HEDGED LTE | IPAC SPECIALIST INVESTMENT STRATEGIES - INTERNATIO | BOND GLOBAL QUALITY |
ALLOCATION EUROPEAN | EQUILIBRADO | POOLED | FUNDS VCC | AND - AZ EQUITY WATER |
RUSSELL INVESTMENTS SUSTAINABLE GLOBAL SHARES FUND | MANAGEMENT | CRESCITA ITALIA NEW | ITALIAN ALLOCATION PIR |
RETURN | PORTFOLIOS FUND LTD | RESPONSIBLE LISTED | PLUS | AZ ALLOCATION PIR | BANCOPOSTA EQUITY DEVELOPED COUNTRIES | TURICUM - AKTIEN - UND IMMOBILIENWERTSCHRIFTEN | Teste: 3.327 |
||||||||||||||
| Ragione Sociale | MINTERTHUR XI FP | LAGUN ARO EPSV DE EMPLEO AZ FÜND 1-AZ |
ANIMA PICPAC | PRO ITALIA GESTIELLE |
ANIMA OBIETTIVO INTERNAZIONALE WHOLESALE |
PEGASUS-UI-FONDS | ASSET AZ MÜLTI |
MINTERTHUR EDSV PRUDENTE | FUND 1 AZ AZ |
PROPERTY MERCER |
BLV-SF-AKTIEN 571V02 | AZ AZ FUND 1 |
VISCONTEQ ANIMA |
ANIMA ELTIF ITALIA 2026 | DEE STREET | BANCOPOSTA | BIDEPENSION EPSV | GLOBAL BANCOPOSTA |
ІІ ЕР WINTERTHUR |
AMP CAPITAL | AZ AZ FUND 1 |
ANIMA ALTO POTENZIALE EUROPA AUROFONDO |
ANIMA ESAGONO BILANCIATO | BUSS (QUEENSLAND) | PINEBRIDGE SELECT | FUND I AZ |
EPSV WINTERTHUR |
KINI INVESTMENT | RUSSELL INVESTMENTS GLOBAL ANIMA |
AZ AZ FÜND |
ANIMA ABSOLUTE ਜ |
DIVERSIFIED | SENTIER FIRST |
SFORZESCO ANIMA |
구 FUND AZ |
TRADING AZ IMUT |
TREND AZIMUT |
|||||||||
| Badge | **D | D D |
**D | **D | * * D * * D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | * * D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | D D |
Azionisti: |

3.316
l l Azionisti in delega:
Azionisti in proprio:
દ્વાર

Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione on viocolate) FAVOREVOLI
| Delega | Totale | |||||
|---|---|---|---|---|---|---|
| Badge | AZIMUT STRATEGIC TREND Ragione Sociale |
Proprio | 2.695 | 2.695 | ||
| D D |
ACM ACTIONS | 0 | 16.926 | 16.926 | ||
| **D | GOLDMAN SACHS FUNDS III | 0 | 5.607.607 | 5.607.607 | ||
| **D | ACM VIE S A CM CIC RETRAITE | 96.925 | 96.925 | |||
| **D | MC LEADERS DURABLES COMPARTIMENT |
0 | 106.075 | 106.075 | ||
| **D | CM-AM ALIZES DYNAMIQUE | 0 | 266.549 | 266.549 | ||
| **D | ACM IARD SA | 0 | 1.163.091 | 163.891 1 - |
||
| * * D | CM-AM EUROPE DIVIDENDES | 0 | 699.693 | 699.693 | ||
| **D | DNCA BEYOND ENGAGE | 0 | 660 - 000 | 660.000 | ||
| **D | SCHMIDT GROUPE FUND | 0 0 |
25.000 4 . 362 |
25.000 4.362 |
||
| **D | PIPELINE SUD-EUROPEEN | 0 | 17.630 | |||
| **D | CAPSUGEL | 0 | 1.636.390 17.630 |
1.636.390 | ||
| **D | CM-AM SUSTAINABLE PLANET | 0 | 6.549 | 6.549 | ||
| **D | LEXMARK DYNAMIQUE | 0 | 720.000 | 720-000 | ||
| D D |
S ACTIVE ACTIONS ISR CM-AM ALIZES TEMPERE |
0 | 187.566 | 187.566 | ||
| **D | ACM VIE SA PACTE RETRAITE EURO | 0 | 871.268 | 871.268 | ||
| * * D | GERARD PERRIER INDUSTRIE | 0 | 11.335 | 11.335 | ||
| **D | DNCA OPPORTUNITES ZONE EURO | 0 | 387-800 | 387.800 | ||
| **D | STAUBLI 50 50 CREDIT MUTUEL | 0 | 18.828 | 18-828 | ||
| **D | ACM MUT FONDS GENERAL | O | 195 .088. ਟ |
2.088-195 | ||
| **D | CM-AM ADVANCED | 0 0 |
20.000 | 20.000 1.411 |
||
| **D | PARTAGE CM-AM |
0 | 1-411 72.500 |
72.500 | ||
| **D | SICAV PIANA | 0 | . 896 - 395 ന |
. 896.395 8 |
||
| D D |
FONDS GENERAL ACM VIÈ SA SELR EURO ACM VIE SA |
0 | .075.210 t |
075.210 1. |
||
| **D | EUROPE DNCA VALUE |
0 | 1.499.473 | 1.499.473 | ||
| **D | CM-AM CONVICTIONS EURO | 0 | 939.976 | 939.976 | ||
| **D | ORANO ACTIONS ZONE EURO | 0 | 94.049 | 049 94. |
||
| **D | HENKET DIVERSIEIE N 1 | 0 | 8.751 | 8.751 | ||
| **D | EPSON FRANCE EURO ACTIONS | 0 | 3.003 | 3.003 | ||
| **D | CH RIVER LABORAT FRANCE | D | 4.325 | 4.325 | ||
| **D | GROUPE ROCHE | 0 | 98.032 | 98.032 | ||
| **D | FONCIL | 0 | 25.362 | 25-362 | ||
| **D | CMI MEDIA | 0 | 042 1. |
1.042 | ||
| **D | S ACTIVE DIVERSIFIE ISR | 0 | 298 ୧୫2 8. 52. |
52.298 8.682 |
||
| D D |
CARGILL ACTIONS FERTILSODEBO |
0 | 879 б |
9.879 | ||
| **D | THE MASTER TRUST BANK OF JAPAN, ITD. RE: NISSAY FOREIGN EQUITY PASSIVE MOTHER FUND (ONLY FOR PENSION) | 0 | ਰੇ ਦੇ ਪ 59 - |
59-954 | ||
| **D | FEDEX | 0 | 9.024 | 9.024 | ||
| **D | CUSTODY BANK OF JAPAN, ITD. RE: MATB NEW RESOURCE TECHNOLOGY MOTHER FOND | 0 | 41.276 | 41.276 | ||
| **D | TRUST BANK OF JAPAN LTD. RE: NISSAY FOREIGN EQUITY INDEX MOTHER FUND THE MASTER |
0 | 556 751. |
751.556 | ||
| **D | SOLIDAIRE OTIS MOYEN TERME |
0 | 40.704 | 40.704 | ||
| **D | DIVERSIFIE ASSISTANCE EUROP |
9 | 2.360 | 2.360 | ||
| **D | AMORA MAILLE DIVERSIFIE | 0 0 |
5.226 | 5.226 10.421 |
||
| **D | PYRENEES GLOBAL | 10.421 | 261.551 | |||
| D D |
CUSTODY BANK OF JAPAN, LTD. RE: MATB NEW RESOURCES MOTHER FUND COFACE N 1 |
16.796 261.551 |
16.796 | |||
| **D | CUSTODY BANK OF JAPAN, LTD. RE: | STB DAIWA OUSHU KOU-HAITOU KABU MOTHER FUND | 50.801 | 50.801 | ||
| **D | LTD. RE: NISSAY THE MASTER TRUST BANK OF JAPAN, |
STABILIZED INCOME MOTHER FUND | 0 | 37.769 | 37.769 | |
| Pagina 14 | ||||||
| Azionisti: | Teste: 3.327 |
21 | ||||
| Azionisti in delega: 11 |
3.316 | |||||
| Azionisti in proprio: |
8E2
EMARKET
SDIR certified 3 C
ENEL S.p.A.

Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di reminerisposti - Seconda Sezione: relazione : relazione sui composi corrisposti cel 2022 (deliberazione von vizolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | EUROPEAN EQUITY FUND, SERIES OF KOKUSAI TRUST | 0 | 19.849 | 19.849 |
| **D | INDEX MOTHER FUND (CURRENCY HEDGED) CUSTODY RANK OF JAPAN, LTD. RE: STB FOREIGN STOCK |
0 | 95.439 | б 95.43 |
| **D | ET A ് |
0 | 2.771 | 2.771 |
| **D | RESP SOCI CONVERGENCE EQUI |
0 | 590.118 | 590.118 |
| **D | ETF DEVELOPED EX-U.S. S&P CATHOLIC VALUÉS GLOBAL X |
0 | 8-644 | 8.644 |
| **D | - ABSOLUTE RETURN GLOBAL EQUITY POOL FUNDS FIDELITY |
0 | 52.104 | 52.104 |
| **D | COMPANY PUBLIC LIMITED FUNDS VANGUARD |
0 | S .393.20 8 |
.393.285 0 |
| **D | PLANS BENÉFIT EMPLOYEE FOR FIAM GROUP TRUST |
D | 929.400 | 929.400 |
| **D | SERIES VII: FIDELITY ADVISOR UTILITIES FUND ADVISOR FIDETITY |
0 | 338.700 | 38.700 E |
| **D | RESEARCH ENHANCED IN EQ (ESG) UCITS ETF (IRELAND) ICAV-GLOBAL ETFS JPMORGAN |
0 | 201.262 | 201.262 |
| **D | MOTHER FUND SEKAI KOUHAITOU BANK OF JAPAN, LTD. RE: RTB CUSTODY |
0 | 53.300 | 53.300 |
| **D | MIXTE CARGILL |
0 | S 3.08 |
3.085 |
| **D | POOL GLOBAL DIVIDEND PLUS SUSTAINABLE l FUNDS FIDELITY |
0 | б .011.69 ನ |
011.699 l |
| **D | RB TOKKIN 18420-710. JAPAN, LTD. RE: BANK OF CUSTODY |
0 | 585.801 | 585.801 |
| **D | FUND MSCI EUROPE INDEX ICAV/FIDELITY II FIDELITY UCITS |
0 | 26.873 | 26.073 |
| **D | FUND MULTI-STRATEGY ASSETS REAL STEERS COHEN & |
0 | 34.833 | . 833 ਤੇ ਪੈ |
| **D | EX-US FUND SEI INSTITUTIONAL INVESTMENTS TRUST-WORLD EQUITY |
0 | 622.727 3. |
.622.727 E |
| D D |
ENHAN INDEX EQ (ESG) UCITS ETF ICAV - EUROZONE RESEARCH II FUND EQUITY THORNBURG INTERNATIONAL (IRELAND) JPMORGAN ETFS |
D | 151 - 567 | 151.567 |
| **D | TRUST INTERNATIONAL INSTITUTIONAL INTERNATIONAL SEI |
0 0 |
527 28. |
28.527 |
| **D | ITD. RE: GIM INTERNATIONAL EQUITY MOTHER FOND EQUITY FAND JAPAN, BANK OF TRUST MASTER THE |
0 | 132.468 41.250 8 |
132.468 8 |
| **D | (LUX) FUND CREDIT SUISSE INDEX |
0 | . 433 . 753 8 |
41.250 . 433 . 753 B |
| **D | THE MASTER TRUST BANK OF JAPAN ITD. RE: MANULIFE INTERNATIONAL EQUITY INDEX MOTHER FUND | 0 | 16.380 | 0 16.38 |
| **D | ANNEUARD INVESTMENT SERIES FOBLIC LINILED COMPANY | 0 | 8.156.670 | 156.670 0 |
| **D | CM-AM SOLIDAIRE TEMPERE ISR | 0 | 178.500 | 178.500 |
| **D | EQUITY INDEX MOTHER FUND TMA GLOBAL RE: ITD. BANK OF JAPAN, TRUST MASTER THIS |
0 | 0 136.33 |
136.330 |
| **D | NZAM EURO STOXY 50 EX BANKS (JPY HEDGED) (PRIVATELY PLACED INVESTMENT TRUST) RE: LTD. JAPAN, TRUST BANK OF MASTER THE |
69.988 | ||
| 69-988 | ||||
| **D | FUNDS - GLOBAL DIVIDEND POOL FIDETITY |
0 | 0 4.450.00 2 |
24.450-000 |
| **D | F EQUITY INTERNATIONAL SEI INSTITUTIONAL INTERNATIONAL TRUST |
0 | 83.559 ਟ |
283 - 559 |
| D D |
UCITS II ICAN/FIDELITY MSCI MORLD INDEX FUND FIDELITY |
J | . 454 ਦ ਹ |
61.454 |
| **D | MANAGED VOLATILITY FUND MANAGED INTL CIT SEI INSTITUTIONAL MANAGED TRUST - TAX- LISTED INFRASTRUCTURE GLOBAL MACQUARIE |
0 0 |
29.509 | 29.509 61.229 |
| **D | ICAV INDEX FUND (IE) ETF CREDIT SUISSE |
0 | 61.975 61.229 ਟ |
261.975 |
| **D | FUND FIRST TRUST EUROPE ALPHADEX |
0 | 151.240 | 151.240 |
| **D | TRUST BANK OF JAPAN, LTD. RE: MSCI-KOKUSAI INDEX MOTHER FUND THE MASTER |
0 | 3.800 | 000 3. |
| **D | CONTINENTAL | 0 | - 644 б |
. 644 రు |
| * * D | CCF II FTSE DEVELOPED EUROPE CCF/VANGUARD SRI INVESTMENTS II VANGUARD |
0 | 120 95. 2 |
120 295 |
| **D | LTD. RE: RB TOKKIN 18420-7106 CUSTODY BANK OF JAPAN. |
0 | 85.787 S |
85.787 a |
| **D | POOL DIVIDEND FUNDS EUROPEAN FIDELITY |
D | 533 .280. ไ |
533 .280. L |
| **D | RENEWABLE ENERGY INCOME EQUITY MF TMAM GLOBAL RE: JAPAN, LTD. BANK OF TRUST THE MASTER |
0 | -260 8 1 |
2 60 81 |
| **D | ETF (IRELAND) ICAV-EUROPE RESEARCH ENHANCED IN EQ (ESG) UCITS JPMORGAN ETFS |
0 | 821 રે ર 3 |
821 9 ਤੇ ਤੇ |
| **D | FUND MOTHER CONTROLLED BALANCE NISSAY RISK RE: JAPAN, LTD. BANK OF TRUST MASTER THE |
0 | 231.823 | 231.823 |
| D D |
SOLUTIONS POOL SUSTAINABLE CLIMATE l FIDELITY FUNDS |
0 | 58.680 ਪ |
୧୫୦ 58 - 0 |
| **D | GLOBAL DEVELOPED EQUITY INDEX FUND LEGAL & GENERAL |
0 | ર રહ 3. |
ર રહ గా |
| **D | CCF FISE DEVETOBED MORID II CCF-VANGUARD SRI VANGUARD INVESTMENTS II GLOBAL MACRÓ FUND DWS |
0 0 |
519 166.384 । ਤੇ ਰੋ |
। ਰੇ 66.384 S б ಕ L ાં |
| **D | EQUITY EX-US FUND SCREENED MORID l TRUST INSTITUTIONAL INVESTMENTS SEI |
15.641 | 641 15. |
|
| **D | SANLAM UNIVERSAL FUNDS PLC | 107.624 | 624 107. |
|
| **D | LACH MORLD EQUITY - MENTIH BUILDER CIT | 0 | 370 | 370 |
| Pagina 15 | ||||
| Azionisti: | 21 Teste: 3.327 |

3.316
11 Azionisti in delega:
Azionisti în proprio:

ENEL S.p.A.
10 maggio 2023 16.43.41 1 1
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunezione - Seconda Sezione: relazione: relazione sui compensi corrisposti nel 2022 (delberazione non vincolante) FAVOREVOLI
| 1 2 1 |
||||
|---|---|---|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
| **D | TMA GLOBAL EQUITY MOTHER FUND RE: MASTER TRUST BANK OF JAPAN LTD. |
100.000 | 100.000 | |
| **D | LTD. RE: MTBJ400021913 THE MASTER TRUST BANK OF JAPAN, |
0 | 260 б б |
260 99. |
| **D | MOTHER FUND (LDN) RE: JPM KOKUSAI REI MASTER TRUST BANK OF JAPAN LTD. |
0 | .032 37 |
37.032 |
| **D | DEMOCRACY INTERNATIONAL FUND | 4 - 683 | 4.683 | |
| **D | STREET TRUST: FIDELITY SERIES INTERNATIONAL INDEX FUND CONCORD FIDELITY |
0 | 71-105 L |
105 171 |
| **D | II STB EUROPE EQUITY MOTHER FUND CUSTODY BANK OF JAPAN, LTD. RE: |
27.283 | 283 27. |
|
| **D | CMN CNT FD DVLPD MRTD EX UK CONTRACTUAL FD/VANG ETSE INVESTMENTS COMMON VANGUARD |
0 | 153.692 | 153.692 |
| **D | (PRIVATELY PLACED INVESTMENT TRUST) STOXX (JPY HEDGED) BANK OF JAPAN, LTD. RE: NZAM EURO TRUST THE MASTER |
0 | 807 30. 8 |
807 "OEB |
| **D | FUNDS PLC INVESTMENT BERMAN NEUBERGER |
307 | 307 | |
| D D |
STAUBLI 80 20 CREDIT MUTUEL | 0 | . 293 9 |
-293 ട I |
| **D | PINEBRIDGE DYNAMIC ASSET ALLOCATION FUND VANGUARD |
0 | . 156 ਹੈ ਹੈ ਕੇ |
9.156 10 |
| **D | DEV EUR EX UK CCF POOL FUNDS - SUSTAINABLE EUROPEAN DIVIDEND PLUS FTSE INVESTMENTS COMMON CONTR FD- VANGUARD FIDELITY |
0 | . 920 258 |
920 258. |
| **D | SCHUCO | 0 0 |
.051 23 |
23.051 |
| **D | STREET TRUST: FIDELITY ZERO INTERNATIONAL INDEX FUND CONCORD FIDELITY |
0 | . 691 5.458 978 |
91 5.458 |
| **D | SUSTAINABLE RESEARCH ENHANCED EUROPE EQUITY POOL FUNDS - FIDELITY |
0 | .111 8 ਦੇ ਤੋ |
538.111 978.6 |
| **D | INTERNATIONAL EQUITY SELECT ETF DEVELOPED |
0 | 3.016 | 3.016 |
| **D | FUND RESPONSIBLE INVESTMENTS INTERNATIONAL EQUITY CATHOLIC |
0 | 2.491.824 | .491.824 N |
| **D | FD DEVETOBED MRTD CHAN CONL CONTRACTUAL FD/VANG FTSE INVESTMENTS COMMON VANGUARD |
0 | ਰੇਰੇ 2 168 |
92 б тен |
| **D | ENERGY POOL FUNDS - CLEAN FIDELITY |
0 | 450.827 | 450.027 |
| **D | - DIVERSIFIED EQUITY FUND MANAGED TRUST ADVISER |
0 | 20.739 | 20.739 |
| **D | INDEX FUND U.S. FIDELITY GLOBAL EX TRUST: STREET SALEM FIDELITY |
0 | 203 3.054. |
203 054 - E |
| D D |
INTERNATIONAL MULTI-CAP EQUITY TRUST SCHRODER |
0 | g 965.59 |
965.596 |
| **D | ENHANCED GLOBAL EQUITY UCITS ETF ICAV - FIDELITY SUSTAINABLE RESEARCH sicits FIDELITY NUVEEN |
0 | б 32 20 - |
329 0. ਟ |
| **D | 2 CLIMATE SOLUTIONS POOL EUND FUNDS - SUSTAINABLE INFRASTRUCTURE GLOBAL FIDELITY |
0 | .653.005 ri |
653.005 T |
| **D | TRUST: FIDELITY TOTAL INTERNATIONAL INDEX FUND STREET SALEM FIDE LITY |
0 | 33.749 | 33.749 |
| **D | EX-US ALPHADEX FUND MARKETS TRUST DEVELOPED FIRST |
0 | . 886 .774 2 |
9 8 .774.8 6 |
| **D | TRUST DYNAMIC EUROPE EQUITY INCOME FUND FIRST |
0 0 |
176.285 | 176.285 |
| **D | POOL STOXX 50 FIDELITY FUNDS = EURO |
0 | 343.678 660.131 |
343.678 660.131 |
| **D | FUND (Q.P.), LLC INTERNATIONAL EQUITY THORNBURG |
0 | 94.292 | 292 ਰੇ ਪੈ |
| **D | FUNDS - ITALY POOL FIDELITY |
0 | . 918 ਰੇ I B ರ್ |
ਰ ਹੈ 8 8. 91 0 |
| **D | CCF (日) II FISE DEVELOBED MORID INVESTMENTS II CCF - VANGUARD SRI VANGUARD |
0 | 253.119 | 253.119 |
| **D | POOL FUNDS - SUSTAINABLE EUROPE EQUITY FIDELITY |
0 | .194.427 T |
.427 194 t |
| **D | ELE FIRST TRUST EUROZONE ALPHADEX |
0 | .641 12 |
- ear ਟ L |
| **D | ENHANCED EUROPE EQUITY UCITS ETF FIDELITY UCITS ICAN - FIDELITY SUSTAINABLE RESEARCH |
0 | 315.253 | రా 315.25 |
| **D | ELIOR EPARGNE DIVERSIFIE | 0 | .745 ದ |
.745 5 |
| **D | SOLIDAIRE ORANO ISR |
0 | 587 37 |
87 S 37 |
| **D | THALES AV5 FRANCE | 0 | 5.380 | C 5.38 |
| **D | PHELPS GLOBAL LISTED INFRASTRUCTURE CIT DUEF & |
0 | . 300 112 |
112.300 |
| **D | INDEX PORTFOLIO INTERNATIONAL FUND II: INSURANCE PRODUCTS VARIABLE |
0 | 124.111 | 124.111 |
| **D | 914 RE: MTBJ400021 BANK OF JAPAN, LTD. THE MASTER TRUST |
0 | 28.202 | 28.202 |
| D D |
POOL FIDELITY FUNDS - GLOBAL ENHANCED INCOME |
0 | . 465 888 |
. 465 888 |
| SUSTAINABLE EQUITY FUND - LACM GLOBAL LOS ANGELES CAPITAL GLOBAL FUNDS PIC |
0 | 16.618 | 16.618 | |
| D D |
EUROPE 30-70 BALL PACKAGING |
0 | 4.013 | .013 ਾ |
| **D | MILLEIS BANQUE OCP |
0 | 9.855 | S ਰੇ - ਬ 5 |
| **D | CONVERGENCE ACTIONS EUROPE | 0 0 |
27.394 | 27.394 |
| **D | KBI GLOBAL RESOURCES SOLUTIONS CIT | 0 | 400.935 | S ਰੇ ਤੇ 400. |
| **D | DYNAMIQUE CGT |
0 | 0 148.102 87.53 |
6 ESS 201 87.53 । ਦੇ ਬ |
| Pagina 16 | ||||
| Azionisti: | 21 Teste: 3 327 |
|||
| Azionisti in proprio: | 3.316 Azionisti in delega: II |
|||

10 maggio 2023 16.43.41
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunensi corrisposti - Seconda Sezione: relazione: relazione: relaziones non vineolante) FAVOREVOLI
| 97.697 .805 330.765 9.293 5.350 752.997 583.983 .727 2-764.000 849.756 71.200 173.10 1.102.02 82. 832 641 ഹ 1.189 148 82 8 8 ਟ 2. 1. 9 ণ రా 2 97.697 . 025 641.805 4.774.306 100.657 82.570 1.102.020 ୧ ସ ୧ 10.375 338 -830.313 548 173.108 270.847 505-038 301.711 .200 120 000 ୧୧୫ 632 તે હ ਤੇ ਕ ਰੇ ਤੋ .350 025 .574.195 337 97 83 330.765 139.482 409.034 101.574 830.212 862 817.634 9.727 .764.000 4.192 87 37.939 6.104 6.000 46.698 17.680 532.531 502.057 849.758 б ﻟﺴﻨﺎ б ਟ б 6 117. 320. 338. 583. 52. 5. 4 - 752. 2. 9. 235 - 832 . 770 120 б ம் 148 ਨ 71 S . 1 в प 8 8 2 4 . 9 2 ਟ ਟ T 0 0 0 0 C 0 0 0 0 0 o o 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 C KL DANMARK AKKUMULERENDE - ACCUMULATING KL KI CH III EQUITY WORLD EX CH CLIMATE CHANGE BILE PENSION FUND PLUS CREDIT SUISSE FUNDS AG DANICA LINK - INDEKS GLOBALE AKTIER EURO - ACCUMULATING Pagina 17 FUND CREDIT SUISSE FUNDS AG SCHWEIZ PASSIV CREDIT SUISSE FUNDS AG AKTIER AG NORGE INVESTERINGSFORENINGEN DANSKE INVEST EUROPA HOJT UDBYTTE - AKKOMULERENDE KL CREDIT SUISSE FUNDS UBS ASSET MANAGEMENT SCHWEIZ AG l l ASSET ALLOCATION ASSET ALLOCATION ਟ SUISSE FUNDS AG PENSION ASSET ALLOCATION SUISSE FUNDS AG AKKUMULERENDE BAYVK G2-FONDS DANICA LONG SHORT FUND HOJI UDBYTLE KL FD KL FUND LUX INFRASTRUCTURE EQUITY FUND > Ar DE LING INSTITUTIONAL AFDELING INDEKS BNP CHARLES TAYLOR INTERNATIONAL FUND MANAGERS IOM LIMITED RE: MTBJ400031129 CAP (UNHEDGED) INDEXPOOL PENSION CREDIT KL GLOBAL INDEKS KL PENSION PLUS EQUIT FONDS II EQUITIES GLOBAL MARKETS PASSIVE PORTFOLIO-PARTNERS INTERNATIONAL VALUE FUND l TACTICAL SELECT TACTICAL TACTICAL Frus EQUITY FONDS II EQUITIES GLOBAL MARKETS CREDIT FUND BALANCED EUR BEHALF OF HIGH INCOME FUND USD INDEKS INDEKS STRATEGIES FUND PORTFOLIO FUND GROMIN USD CHE CHF FUND GROWTH SUISSE LUX PORTEOLIO FUND YIETD WEIGHTED INSTITUTIONAL ALPHA EUROPA EUROPA EUROPA SELECT GLOBAL SELECT EX DIVIDEND AG SUISSE LUX ITALY EQUITY FUND MBH ON AG GLOBAL DIVIDEND FUNDS AG IF AKTIEN WELT FUNDS INVEST EUROPE HIGH DIVIDEND FOND FUNDS ECONOMIC EXPOSURE MID CAP JAPAN, LTD. INVESTERINGSFORENINGEN DANSKE INVEST INVEST VALUE INVEST INVEST INDST INVEST INVEST INVEST MULTI-MANAGER INTERNATIONAL EQUITY PORTFOLIO PORTFOLIO UNIVERSAL-INVESTMENT- GESELLSCHAFT EUROPEAN SUISSE SUISSE KAPITALFORENINGEN DANSKE INVEST INVEST suisse AND FINANCE SUISSE LUX GLOBAL CH SMALL DANSKE DANSKE INVESTERINGSFORENINGEN DANSKE DANSKE INVESTERINGSFORENINGEN DANSKE SHARES - LARGE DANSKE TELSTRA SUPERANNUATION SCHEME DANSKE alili b EX CREDIT FCP ALM ACTIONS EUROPE ISR SCHRODER GLOBAL VALUE FUND CREDIT ALM ACTIONS ZONE EURO ISR DISCOVERY FUND CH WORLD KAPITALFORENINGEN DANSKE OE SUISSE LUX SUISSE LUX NON אתר 2 CS LUX אחרו LUX CREDIT INVESTERINGSFORENINGEN INVESTERINGSFORENINGEN INVESTERINGSFORENINGEN INVESTERINGS FORENINGEN INVESTERINGS FORENINGEN BANK থ PENSIONE COMETA NMM5-WIEQ-CNS-ACCOUNT AOR TAX ADVANTED ABS SUISSE SUISSE suisse SUISSE EQUITTY FUNDS ECONOMY INVEST EQUITY EMU EQUITY BALANCED THE MASTER TRUST ALM ACTIONS EURO GLOBAL 12 CREDIT CH EQUITY CREDIT CREDIT 2 CREDIT WORLD CS INVESTMENT CREDIT 2 CREDIT CREDIT CREDIT AXA VORSORGE FUND AXA VORSORGE CSG HORLD 392 CREDIT MI-FONDS 391 OF III WIF-EUROPE VARIABLE MI-FONDS MINISTRY KOLUMBAN FINREON ONEPATH CH BALOISE DANSKE ଧ 2 CSIFI2 CSIFI2 CSIFIS FONDO CSIF4 CSTE CSIF CSIF CSIF CSIF CSIF CSIF CSIF ык |
AMP | LIFE INTERNATIONAL EQUITIES FUND Ragione Sociale |
Proprio 0 |
Delega 85.161 |
85.161 Totale |
|---|---|---|---|---|---|
| 37.939 | |||||
| 6.104 | |||||
| 56.000 | |||||
| 46.698 | |||||
| 17.680 52.862 |
|||||
| 120 | |||||
| 532.531 | |||||
| 502-057 | |||||
| 817.634 | |||||
| 320.000 | |||||
| 32.616 | |||||
| 49.668 | |||||
| 235.632 | |||||
| 770.796 | |||||
| 120.934 | |||||
| . 025 | |||||
| 117.025 | |||||
| 4.192 | |||||
| 10.375 | |||||
| 4.987 | |||||
| 574.195 | |||||
| .337 | |||||
| 338.338 | |||||
| 139.402 | |||||
| 830.313 | |||||
| 409-034 | |||||
| 8 . ਦੇ ਖ |
|||||
| 101-574 | |||||
| 8 | |||||
| .774.306 | |||||
| 270.847 | |||||
| 30.212 | |||||
| 505.038 | |||||
| 301.711 | |||||
| 100.657 | |||||
| 570 | |||||
| 0 | |||||
| 21 Teste: 3 327 |
EMARKET
SDIR certified
JERON
3.316
Azionisti in delega:
11
85
| 7 | |
|---|---|
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione: relazione non vincolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | CS FUNDS AG LB INTERNATIONAL PORTFOLIO | 0 | 22-400 | 22.400 | |
| **D | KAPITALVERWALTUNGSGESELLSCHAFT MBH W/LIBI- BAYERNINVEST |
FONDS | 0 | 317 ਦ ਰੋ |
.317 રે તે |
| * * D | W/WEBI- мвн KAPITALVERWALTUNGSGESELLSCHAFT BAYERNINVEST |
FONDS | 0 | 22.105 | 22-105 |
| **D | KAPITALVERWALTUNGSGESELLSCHAFT MBH W/VECO BAYERNINVEST |
(AKTIEN) | 0 0 |
67.964 | 67.964 |
| D D |
INVEST 2 CH IF AKTIEN WELT EX SCHWEIS CREDIT SUISSE FUNDS AG AP PENSION LIVSFORSIKRINGSAKTIESELSKAB BALOISE FUND |
0 | 556.958 19.544 |
556.958 19.544 |
|
| **D | FOR TRUSTEE AS LTD SERVICES BANK CUSTODY ഗ്ര TRUST |
ਤ PENSION INVESTMENT FUND TRUST NUMBER |
0 | 521.977 | 521-977 |
| **D | FOR BANK LTD AS TRUSTEE SERVICES CUSTODY TRUST & |
2 NUMBER TRUST FUND PENSION INVESTMENT |
0 | 48.023 | 48.023 |
| **D | CORPORATION BEST INVESTMENT |
0 | 6.005 | 6.005 | |
| **D | LIVSFORSIKRINGSAKTIESELSKAB DANICA PENSION, |
0 | 2.724.549 | .724.549 2 |
|
| D D |
FD-TMA ACWI EX-JAPAN PORTF. TMA UMBRELLA |
0 | 50.000 0 28.00 |
0.000 28.000 5 |
|
| **D | FONDSFINANS FORNYBAR ENERGI FUND - GLOBAL EQUITY PORTFOLIO VERDI PAPIRFONDET TMA UMBRELLA |
0 | 85.000 | 85-000 | |
| **D | TRUST & CUSTODY SERVICES BANK LTD AS TRUSTEE | 10 FOR PENSION INVESTMENT FUND TRUST NUMBER |
0 | 359.424 | 359.424 |
| **D | FUND INCOME JPM MULTI |
0 | 544.557 | 544.557 | |
| **D | GLOBAL PROPERTY INCOME FUND JPMORGAN |
0 | 190.070 | 190.070 | |
| **D | FUNDS - ADVANCED GLOBAL EQUITY FUND SCHRODER INSTITUTIONAL POOLED |
G | 118.476 | 118.476 | |
| **D | CUSTODY SERVICES BANK TRUST & |
8 LTD AS TRUSTEE FOR PENSION INVESTMENT FUND TRUST NUMBER |
0 | 26.907 | 26.907 |
| D D |
PENSION FUND EUND BALANCED CIVIL SERVICE EMPLOYEES JPMORGAN MULTI |
0 | 19.295 102.379 |
19.295 102.379 |
|
| **D | 2 ASSET MÜLTI KBIS HANWHA |
0 | 9 79.90 |
79.906 | |
| **D | PERTUBUHAN KESELAMATAN SOSIAL | 0 | 190.446 | 190.446 | |
| **D | TAIPEI FUBON COMERCIAL BANK LTD | D | 350.000 | 350.000 | |
| **D | CONSERVATIVE FUND GLOBAL AM NIKKO |
0 | 1.502 | 502 1. |
|
| **D | l PASSIVE FUNDS ACS INVESTORS AVIVA |
AI CONTINENTAL EUROPEAN EQUITY INDEX FUND | 0 | 1.465.615 | .465.615 T |
| **D | TIEE & BENSIONS OK FINIJED AVIVA |
0 | 0 5.233.36 |
ੜ ୧ ୧ .233. ம் |
|
| D D |
INVESTORS PASSIVE EUNDS ACS - AI DEVELOPED EXCLESS OF CONTINUENTING REASSURE LIMITED AVIVA |
0 | б 349.13 562.98 - 2 |
B 349.139 ਹੈ ਉ . 562. T ਟ |
|
| **D | PUTM AUTHORISED CONTRACTUAL SCHEME - PUTM ACS EUROPEAN EX UK FUND | G | 1.034.703 | . 034 . 703 T |
|
| **D | FUND PUBLIC LIMITED COMPANY GLOBAL UMBRELLA STATE FIRST |
0 | 135.018 | 018 135 - |
|
| **D | LIMITED MANAGERS PHOENIX UNIT TRUST |
0 | 456.027 14 . |
027 .456. ਹੈ ਕੋ |
|
| **D | FUNDS FOR CHARITIES INVESTMENT EPWORTH |
0 | 700 37. |
37.700 | |
| **D | (LUX) EUROPE FUNDS 2 FCP - M&G INVESTMENT (TUX) M&G |
EX UK INDEX FUND | 0 | 885.069 ு |
069 85. . θ E |
| **D | TRUE POTENTIAL INVESTMENTS LLP | 0 | 91.812 S |
812 al. S |
|
| **D | BANKING CORPORATION LIMITED CHIYU |
0 | 260 240 . |
୧୦ 5 240 |
|
| **D | - AI 50:50 GLOBAL PASSIVE FUNDS ACS INVESTORS AVIVA |
EQUITY INDEX FUND | 87-290 8 |
290 87. B |
|
| D D |
AI 30:70 GLOBAL l CONTRACTUAL SCHEME PASSIVE FUNDS ACS PUTM AUTHORISED INVESTORS AVIVA |
EQUITY (CURRENCY HEDGED) INDEX FOND - PUTM ACS SUSTAINABLE INDEX EUROPEAN EQUITY FUND |
.245.426 67 553 రా |
553 .245.426 67. 5 |
|
| * * D | ETF ICAV AMUNDI |
19.537 | 537 I a |
||
| **D | - AI 60:40 GIOBAL PASSIVE FUNDS ACS INVESTORS AVIVA |
EQUITY INDEX FUND | 58.716 ਟ |
58.716 ਟ |
|
| **D | AI l PASSIVE FUNDS ACS INVESTORS AVIVA |
DEVELOBED MORTD EX UK EQUITY INDEX FUND | 557.618 | 618 557. |
|
| **D | UTILITIES ESG UCITS ETF - AMUNDI SEP GLOBAL AMUNDI ETF ICAV |
313.450 | 313.450 | ||
| D D |
UK FUND SERVICES LIMITED INVESTMENT MANAGERS UK LIMITED AVIVA INVESTORS AXA |
525.142 374.880 |
880 142 374 . 525. |
||
| * * D | LIMITED INVESTORS GLOBAL HENDERSON |
.045 801 |
801.045 | ||
| **D | JESUS TRUST OF 1929 FOR ROMAN CATHOLIC PURPOSES SOCIETY OF |
84.404 | 84.404 | ||
| **D | EQUITY FUNDS ICVC - ROYAL LONDON EUROPE ROYAL LONDON |
EX UK EQUITY TILT FUND | 1.022.691 | .022.691 I |
|
| **D | MBH KAPITALANI AGEGESSIA SCHAFT INTERNATIONALE |
.051 3.952 |
ਟ I 0 3.952. |
||
| **D | MBH INTERNATIONALE KAPITALANTAGEGESELL'SCHAFT |
357.610 | 357.610 | ||
| **D | NEW WORLD FUND, INC. | 6.747.557 | 57 6.747.5 |
||
| Pagina 18 | |||||
| Azıonıstı: | Teste: 3.327 |
21 | |||
| Azionisti in delega: 11 Azionisti in proprio: |
ਤੋਂ ਤੋਂ I C |
3
Azionisti in delega:
Azionisti in proprio:
EMARKET
SDIR certified
1
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante) FAVOREVOLI
| Badge | Ragione Sociale | Delega | |||
|---|---|---|---|---|---|
| **D | FUND ÉUROPACIFIC GROWTH |
Proprio 0 |
4.024.466 | Totale | |
| **D | (DS) GLOBAL EQUITY COMMON TRUST GROUP CAPITAL |
024.466 4. |
|||
| **D | FUND (AU) EQUITY GLOBAL CAPITAL GROUP |
0 | 6 111.25 |
111-259 | |
| 0 | .637 ર વ |
64.637 | |||
| **D | GROWTH AND INCOME FUND INTERNATIONAL |
0 | S . 64 175 13 |
m 175.64 3 |
|
| **D | JPMCBNA | 0 | 13.291 | 13-291 | |
| **D | CAPITAL INTERNATIONAL FUND | 0 | 9.006 S |
59.006 | |
| **D | LIFE & PENSIONS IRELAND DAC AVIVA |
0 | 280.752 0 |
280.752 য |
|
| **D | CAPITAL GROUP EMPLOYEE BENEFIT INVESTMENT TRUST | 0 | ರಿ 38.02 € |
38.028 E |
|
| **D | LLC CGMPV. |
0 | 0 - 54 b |
4.540 | |
| **D | INVESTORS AVIVA |
D | 37-541 T |
137.541 | |
| **D | INVESTMENT FUNDS ICVC AVIVA INVESTORS INTERNATIONAL INDEX TRACKING FUND INVESTORS AVIVA |
0 | 115-270 | 115.270 | |
| **D | II CORE FUND MÜLTI-ASSET INVESTORS PORTFOLIO FUNDS ICVC AVIVA INVESTORS AVIVA |
0 | 7.001 | 7.001 | |
| **D | FUND INCOME GLOBAL EQUITY INVESTORS FUNDS ICVC AVIVA INVESTMENT INVESTORS AVIVA |
0 | 467.149 1 |
67.149 . 4 t |
|
| **D | I II FUND CORE MULTI-ASSET INVESTORS AVIVA ICVC FUNDS PORTFOLIO INVESTORS AVIVA |
O | . 648 । |
14-64B | |
| **D | aun D CORE MULTI-ASSET INVESTORS AVIVA ICVC FUNDS PORTFOLIO INVESTORS AVIVA |
0 | 1.168 | 0 1.16 |
|
| **D | 1 FUND CORE MULTI-ASSET INVESTORS AVIVA ICVC FUNDS PORTFOLIO INVESTORS AVIVA |
0 | 4 . 570 | 4.570 | |
| **D | IV FUND CORE MULTI-ASSET INVESTORS AVIVA ICVC FUNDS PORTFOLIO INVESTORS AVIVA |
0 | g d - 4 51 |
9.455 | |
| **D | BANSABADELL 2000 FP | 0 | ୧୮୫ t |
୧୧୫ 1. |
|
| **D | FP BANSABADELL 18 |
0 | 6.611 | 6.611 | |
| **D | FI 25, SABADELL PLANIFICACION |
0 | 83.905 | 83.905 | |
| **D | FI INVERSABADELL 50, |
0 | 01.965 ਟ |
જે રૂટ 01. ਟ |
|
| రా | **D | FP CASTELLANA PENSIONES |
0 | 2.609 | ୧୦ ବ ਟ |
| **D | FI 25, INVERSABADELL |
0 | 316.957 | 316.957 | |
| **D | r P 92 FERROATLANTICA |
0 | 2.662 | 2.662 | |
| **D | EPSV DE EMPLEO BS PREVISION EMPRESAS |
0 | .242 9 |
. 242 9 |
|
| **D | I FCB SODIUM |
0 | б 75.88 E |
889 375. |
|
| **D | F.P. BANSABADELL 36, |
0 | 9.597 | - 597 రా |
|
| **D | FONS DE PENSIONS FONECONOMISTES, |
0 | 3.272 | 3.272 | |
| **D | COMPANIA DE SERVICIOS DE BEBIDAS REFRESCANTES PENSIONES, F.P | 0 | 3.425 | 3.425 | |
| **D | FP FONSOLBANK |
0 | 20.938 | 20.938 | |
| **D | EMPRESA PENTAPENSION BS |
0 | 4.527 | 527 4 . |
|
| **D | INVERSABADELL 70, FI | 0 | 54.419 | 54.419 | |
| **D | CALCIUM QUANT | 0 | 98.435 ਟ |
298.435 | |
| **D | KOOKMIN BANK ACTING AS TRUSTED OF MIRAE ASSET ER DEVELEDED MATION PRIVATELY PLACED MASTER INVESTMENT | 0 | 44.457 | ||
| 44.457 | |||||
| **D | AFIR HOLDING AND MANAGEMENT COMPANY | 00 | 85.319 ರ |
319 485 - |
|
| **D | GLOBAL STRATEGY L DPAM |
135.830 9 |
830 135 ર - |
||
| **D | FUNDFOR EMPLOYEE BENEFIT TRUSTS N.A. INVESTMENT COMPANY, TRUST INSTITUTIONAL BLACKROCK |
0 | ರಿ 317.16 |
B 317.16 |
|
| **D | un TRUST FOR EMPLOYEE BENEFIT FUNDS INVESTMENT N.A. COMPANY , TRUST INSTITUTIONAL BLACKROCK |
ට ප | 0 570.14 64 |
140 570. 64 |
|
| **D | 16619-9962 LECHNOLOGY AGENCY ENCE AND JAPAN SCI FOR TRUSTEE LTD. AS JAPAN, OF BANK CUSTODY |
ਕੇ 8 ਕੇ ୧ ବ ହ |
б ਰ 8 1. ર વૈ |
||
| D D |
FONDS BLACKROCK FUND OF ADVANTAGE INTERNATIONAL EQUITY SUSTAINABLE BLACKROCK |
0 | . 427 S |
. 427 ம் |
|
| **D | INC FUND, SERIES ik BLACKROC OF BALANCED PORTFOLIO SUSTAINABLE BLACKROCK |
0 | b . 14 8 ട |
ਹੋਂ ਦੇ ਖੋ 85. |
|
| **D | BLACKROCK FUNDS V PORTFOLIO OF INCOME OPPORTUNITIES SHELL RETIREMENT BENEFIT FUND STRATEGIC BLACKROCK BRUNEI |
0 | 6.039 5 0 L |
-056.039 | |
| **D | 0 | 410 9 |
410 9 |
||
| **D | IMI INDEX FUND B2 ICAV FUNDS I EX-U.S. BLACKROCK MSCI ACWI |
0 | 209 64 - |
509 64 - |
|
| **D | VARIABLE SERIES FUNDS, INC BLACKROCK VOLATILITY V.I. FUND OF MANAGED BLACKROCK |
0 0 |
09.039 P |
409.839 | |
| **D | BLC FUNDS INSTITUTIONAL POOLED BLACKROCK |
19.774 | 774 । ਰੇ |
||
| **D | (MSXFFESGB) ਰ FUND EX-FOSSIL FUELS ESG FOCUS INDEX MSCI ACMI |
442.643 166.170 T |
170 . 643 . 442 ારણ 1 |
||
| **D | FUND INDEX EAFE EQUITY CDN MSCI BLACKROCK |
.180.729 E |
.729 3.180 |
||
| Pagına 19 | |||||
| Azionistı: | 21 Teste: 3.327 |
||||
| 3.316 Azionisti in delega: 11 |
|||||
| Azionisti in proprio: |

ENEL S.p.A.
ENEL S.p.A.
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relzione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (delberzione non vincolarte) FAVOREVOLI
| 0 0 0 0 C O 0 0 0 Pagina 20 (INVESCO) BLACKROCK INTERNATIONAL INDEX V.I. FUND OF BLACKROCK VARIABLE SERIES FUNDS, INC. FIDELITY EUROPE EX-UK EQUITY FUND VOLATILITY PORTFOLIO EQ/INTERNATIONAL CORE MANAGED VOLATILITY PORTFOLIO CIRCLES MANAGED EQUITY PORTFOLIO INTERNATIONAL UNCONSTRAINED FUND MANAGED VOLATILITY PORTFOLIO SMALL CAPS SRI S-SERIES 5 CAPPED 90% PROTECTED BLACKROCK TACTICAL OFFORTUNITIES FUND OF BLACKROCK FUNDS PLAN INTERNATIONAL UNCONSTRAINED EQUITY FUND ESG HYDROGEN ECONOMY - EQ/INTERNATIONAL VALUE MANAGED DEFENSIVE TE INDEX FUND ECPI GLOBAL ESG INFRASTRUCTURE EUROPE CLIMATE CARBON OFFSET TRUST FILTERED MIN III DEFENSIVE STICHTING PENSIOENFONDS MEDISCH SPECIALISTEN SOLUTIONS FUNDS - WORLD CLIMATE NAVIGATOR EQUITY MORID EMPLOYEE SCHEME PATRIMOINE RESPONSABLE EQUITIES WHOLESALE GLOBAL EQUITY (INDEX) INCOME EUROPE MORID EQUITIES INTERNATIONAL EQUITY EURO EQUITY GROWTH GOALS l FUND EUROPE DIVERSIFIED EQ/INTERNATIONAL SEPHYR - EUROPE EQUITY ESG OFTIMIZED FOCUS GROWTH EUROPE CH FIDELITY COMMON CONTRACTUAL FUND II GLOBAL CLIMATE EDINE EQUITY IESG EUROZONE EASY → MSCI EUROPE EX VOL ESG FOCUS ITALIA P INDEX PASSIVE MORID GLOBAL ə EUROPE DEFI EURO EX USA FUND ECPI GLOBAL EASY - MSCI EUROPE ESG QUALITY HIGH INDEX SELECTION FUND EQUITIES EQUITY LOW MSCI MORID SELECTION G.A. - FUND-B - WORLD EQUITIES EQUITY BROAD SUSTAINABLE CROSS ASSET SEPHYR - OPTIMISED PLUS 2 ASSET - GLOBAL BETA/LOT133/FRR10E FUND HORIZON EPARGNE ACTIONS ESG VALUE RENDACTIS EURÓ l GLOBAL EQUITY EQUITY FUNDS - l SYCOMORE ー ACTIONS EQUITY ISHARES ALL-COUNTRY l EASY - reis WORLD 1 BOND l l l MULTI SUPERANNUATION BRI A/C EQUITY TRUST TRUST NHOLESALE TRUST RENDEMENT LBPAM ISR AVENIR DEEP EASY EASY EASY EASY EASY FONDAZIONE ROMA l l l l l l - E THEAM QUANT- THEAM QUANT- INSIGHTS THEAM QUANT- WHOLESAL PARIBAS PARIBAS PARIBAS ADVISORS PARIBAS PARIBAS ADVISORS CIRCLES PARIBAS BNP PARIBAS PARIBAS THEAM QUANT THEAM QUANT ADVISORS G.A. - FUND-B G.A. - FUND-B THEAM QUANT PARIBAS PARIBAS PARIBAS PARIBAS PARIBAS THEAM QUANT THEAM QUANT THEAM QUANT AMSELECT - NMF5-GIEP INVESTORS BLACKROCK LITHIUN ISHARES ഗ BNP BND BNB BND SIX ર્ગદર્શને રાજ્યના વિદ્યોના પાકની ખેતી કરવામાં આવે છે. આ ગામમાં પ્રાથમિક શાળા, આંગણવાડી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમ BNP BNB six вив BNP BNB BNB вив BNB BNP AMP TWO EQ EQ ്ല |
Delega Proprio |
Totale |
|---|---|---|
| 03.984 143.673 t |
143.673 ਰੇ 8 ਪ 103 - |
|
| 35.368 L |
368 135. |
|
| 17.147 8 |
147 817. |
|
| 88.547 P |
547 488. |
|
| 62.663 | 62.663 | |
| 311 485.141 ర ਟ |
311 485.141 29. |
|
| 1.214.857 | 57 8 .214. L |
|
| 4.113 | 113 র . |
|
| 520 б ಲ್ಲೊ |
520 9. ୧୫ T |
|
| .610.069 l |
610.069 L |
|
| . 232 ਹੈ ਨ |
2.232 ਹ |
|
| . 340 0 రా |
40.340 | |
| .315 વ ટે 5 |
545-315 | |
| 2.559 3 |
32-559 | |
| 5.369 573.433 ર ર |
655.369 573.433 |
|
| 54.663 08.713 T |
54.663 | |
| 161.640 | 161.640 108-713 |
|
| 25.771 | 25.771 | |
| 178.464 | 178.464 | |
| 052 વ રે T |
145.052 | |
| .059 244 |
244.059 | |
| .360 399 T |
360 1.399. |
|
| .746 10 |
746 10. |
|
| d 4 - 88 d | 8 ਪੈ 8 94 - |
|
| 61.084 | 8 4 0 61 - |
|
| ваз 238 |
аз B 8. 23 |
|
| 36-514 B |
836.514 | |
| 6.845 | 6-845 | |
| 3-688 | 3.688 | |
| 65.261 | 65.261 | |
| 186.568 | 186.568 | |
| 2 - 4 66 | 2.466 | |
| 745.437 | 745.437 | |
| 693.224 | 693.224 | |
| 653.286 | 653.286 | |
| 5.041.602 | 5.041.602 | |
| 587.292 | 587.292 | |
| -771 S |
5.771 | |
| 5 260.79 |
60.795 ਟ |
|
| 512.654 | 512.654 | |
| 24.184 | 24 - 184 | |
| 0 325.69 |
325-69 | |
| 971.497 | 971.497 | |
| .049.843 | 7.049.843 | |
| 753.749 N |
2.753.74 | |
| 0 470.17 |
8 470.17 |
|
| 21 Teste: 3.327 |
||
| 3.316 Azionisti in delega: 11 Azionisti in proprio: |


Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerai corrisposi - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione von vineolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | CUSTODY BANK OF JAPAN, ITD. RE: STB BNP PARIBAS EUROPE EQUITY INCOME AND GROWTH MOTHER FUND | 0 | 11.391 | 11.391 |
| D D |
INVEST OFI |
0 | 0 0 245.0 |
245-000 |
| **D | ACTIONS RENDEMENT FUNDS - PARIBAS PARIBAS BNP BNP |
0 | 341.195 | 341.195 |
| **D | DIVIDEND SUSTAINABLE FUNDS EUROPE EUROPE VALUÉ PARTBAS BNP |
00 | 895.047 2. |
895.047 2. |
| **D | TRUST - EQ/GLOBAL EQUILY MANAGED VOLATILITY PORTFOLIO EQ ADVISORS |
0 | 3 233.729 107.90 |
ਰੇ03 107. |
| **D | JNL/BLACKROCK GLOBAL ALLOCATION FUND | 0 | 65-702 | 233-729 |
| **D | રુપ STOXX EURO EASY SICAV BNP |
0 | б - 4 ਰੋ - 134 I |
6 65-702 1 |
| **D | ISR EURO BNP PARIBAS VALEURS |
0 | City . O 8 ਟ |
134-49 |
| **D | ਉ EQUITY INDEX NON-LENDABLE FUND EAFE MSCI BLACKROCK |
G | . 35 | 358.030 ਟ |
| **D | B (EUROSECB FUND INDEX MSCI EUROPE EQUITY |
C | .764 914 T |
914-764 T |
| **D | FUND B (EURXCWB) EQUITY INDEX ESG SCREENED EUROPE |
0 | .075 .077 1 |
077-075 - 1 |
| **D | ALPHA TILTS FUND ACWI CDN |
O | 9.233 P . 90 б ਹ ਰੇ 3 |
199.233 |
| **D | FOCUS INDEX FUND A CDN MSCI EAFE EXTENDED ESG |
0 | មា 626.34 |
S 39.904 626.34 |
| **D | INDEX FUND SCREENED INTERNATIONAL EQUILy ISHARES WHOLESALE |
S g . 1 ട് S |
||
| **D | (BCTL) TIMOR-LESTE DE BANCO CENTRAL |
00 | .717 320 |
55.195 320.717 |
| **D | FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI FOR THE MASTER TRUST BANK OF JAPAN, LTD. AS TRUSTEE |
20-673 | ||
| 20-673 | ||||
| **D | FUND B (EMUIMIB) MSCI EMO IMI INDEX |
.171 5 |
5.171 | |
| **D | GENERAL LIFE INSURANCE COMPANY CONNECT ICUT |
000 | б E . 0. 151 |
б 151.03 |
| **D | FUND INDEX CDN MSCI ACWI EX-CANADA BLACKROCK |
. 916 2 25 |
ਰ 26 52. 2 |
|
| **D | ITALY (MSITB) B - INDEX FUND MSCI EQUITY |
0 | . 902 327 3. |
327.902 3. |
| **D | FUND CDN MORLD INDEX BLACKROCK |
O | .134 5 રે ટ |
555.134 |
| **D | в FUND NON-LENDABLE ESG TILTS ALPHA GLOBAL |
O | .310 ਟ |
2.310 |
| **D | a TILTS - ENHANCED FUND WORLD ALPHA |
0 | 33.790 | 0 33.79 |
| **D | (ACHITLB) в SUND EX-U.S. ALPHA TILTS GLOBAL |
0 | 6 8 .2 30 |
б 30-28 |
| **D | EM GEOEXPOSURE INDEX FUND B (REMGEOR) RUSSELL DEVELOPED LARGE CAP |
0 | .574 32 |
32.574 |
| **D | SAVINGS PLAN THRIFT |
0 | 417.314 27 |
7.417.314 ਟ |
| **D | DESIGNATED ACTIVITY COMPANY STANDARD LIFE INTERNATIONAL |
0 | P S 093.7 T |
093.754 L |
| **D | SAS CRYOSTAR |
0 | S . 26 ໄ |
ഹ 1.26 |
| **D | CM-AM ALIZES EQUILIBRE | 0 | 185.142 | 185-142 |
| **D | (E.N.P.A M MEDICI ENTE NAZIONALE DI PREVIDENZA ED ASSISTENZA |
0 | 500 52 ರ |
0 50 52 б |
| **D | DEI MEDICI E DEGLI ODONTOIATRI ED ASSISTENZA DI PREVIDENZA ENTE NAZIONALE |
0 | 021.003 32. |
ల 021-00 2. E |
| **D | INVESTMENT FUND SERVICES LIMITED | 0 | 340.463 | 340.463 |
| **D | BALANSERAD LARARFOND |
0 | . 35 222 |
222.357 |
| **D | OHMAN MARKNAD GLOBAL | 0 | 0 226.00 |
26.000 2 |
| **D | OHMAN MARKNAD EUROPA | 0 | .000 244 |
244.000 |
| **D | LARARFOND OFFENSIV | 0 | 639.233 | 639.233 |
| **D | SERVICES PTY LTD APEX FUND |
0 | 60.570 | 60.570 |
| D D |
FORSIKTIG LARARFOND |
0 | 0 . 57 23 |
23.579 |
| **D | NATIONAL BANK OHMAN GLOBAL SWISS |
0 | 672 91. 8 ਟ |
91.672 8 2. |
| **D | CHE BALANCED FUND PORTFOLIO LUX surssE CREDIT SISTS |
0 C |
598.137 0 10.88 9 ਟ |
0 98.137 5 6. ਟ |
| **D | USD BALANCED FUND PORTFOLIO rux suisse CREDIT CSIFIS |
0 | 0 | 10-88 |
| **D | EUR GROWTH FUND PORTFOLIO rux SUISSE CREDIT CSIF12 |
0 | 0 9-68 ਟ . 1 37 |
0 37.120 ടെ ഒ ਰੇ. |
| **D | USD FIELD FUND PORTFOLIO LOX SUISSE CREDIT CSIF 12 |
0 | 4.512 | 4-512 |
| **D | EUR YIELD FUND SUISSE LUX PORTFOLIO CREDIT CSIF 12 |
0 | 54.160 | . 1 60 ਟੇ ਪੈ |
| **D | REAL ASSETS FUND FULCRUM LIQUID |
0 | 14.744 | 744 14. |
| **D | CARDIF ASSURANCE VIE | 0 | 602.740 T |
602.740 1. |
| **D | ARGENTA DP | 0 | 0 608.20 |
608 - 200 |
| Pagina 21 | ||||
| Azionisti: | 21 Teste: 3.327 |


1900
3.316
I 1 Azionisti in delega:
Azionisti in proprio:
ENEL S.p.A.

Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di reminerasi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolarte) FAVOREVOLI
| Badge | Ragione Sociale | |||||
|---|---|---|---|---|---|---|
| **D | FUND DEGROOF PETERCAM ASSET MANAGEMENT REPRESENTING ERGO |
Proprio 0 |
Delega 53.330 |
Totale | ||
| **D | ARVESTAR ASSET | MANAGEMENT SA REPRESENTING ARGENTA | PENSIOENSPAARFONDS DEFENSIVE | 0 | 124.550 | 53.330 |
| **D | ARVESTAR ASSET | ARGENTA SA REPRESENTING MANAGEMENT |
PENSIOENSPAARFONDS | 0 | 700 696. L |
.696.700 124.550 t |
| *** | ADAMI SERGIO | 0 | 1-262 | . 262 T |
||
| 女女女 | GIORGIANNI FRANCESCO | 0 | 367 1. |
1.367 | ||
| ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ ★ | FRANCESCO VENTURINI |
0 | 67 ਰੈ б |
9.467 | ||
| **D | CENTRE GLOBAL INFRASTRUCTURE | FUND | D | 141.146 | .146 141 |
|
| **D | UNIVERSAL SANLAM |
FUNDS PIC | 0 | 50.210 | 50.210 | |
| **D | TOPS WORLD MACCE |
30 FUND AC 130 |
0 | 247 1. |
1.247 | |
| **D | MACCE WORLD TOPS | AC 50 FUND 150 |
0 | 2.449 | . 449 2 |
|
| **D | SIJOITUSRAHASTO AKTIA | SECURA | 0 | 100.000 | 100-000 | |
| **D | SIJOITUSRAHASTO | EUROPA AKTIA |
0 | 450.000 | 450.000 | |
| **D | PRUDENTIAL | LEGACY INSURANCE COMPANY OF NEW JERSEY | 0 | 417.654 | 417.654 | |
| **D | MUANG THAI | LIFE ASSURANCE FUBLIC COMPANY LIMITED | 0 | 190.795 | 190.795 | |
| **D | STICHTING PENSIOENFORDS PROVISUM | 0 | 36.118 | 36.118 | ||
| **D | RE: MUTB400021536 THE MASTER TRUST BANK OF JAPAN, LTD. |
0 | 613.514 | 613.514 | ||
| **D | STELLAR INSURANCE, | LTD. | 0 | 38.008 | 38.008 | |
| **D | DHABI PENSION ABU |
FUND | 0 | 929.821 | 929.821 | |
| **D | THE | AS TRUSTEE FOR LTD. MASTER TRUST BANK OF JAPAN, |
FEDERATION OF NATIONAL PUBLIC SERVICE PERSONNEL MUTUAL AID ASSOCIATI | 0 | 750.262 | |
| 750.262 | ||||||
| **D | MASTER PENSION TRUST SBC |
0 | 63.243 | 63-243 | ||
| D D |
1934 GLOBAL INVESTMENT FUND LP | 0 | 310.918 | 310-918 | ||
| FUNDACAO | CALOUSTE GULBENKIAN | 0 | 132.221 | .221 132 |
||
| **D | SICAV DIRECT ING |
0 | 410.605 | 410.605 | ||
| **D | TRUST MASTER THE |
92 RE: MUTB4000214 LTD. BANK OF JAPAN. |
0 | 220.104 | .104 220 |
|
| **D | TRUST MASTER THE |
RE: MTBJ400025521 BANK OF JAPAN, LTD. |
0 | 30.513 | 30.513 | |
| **D | MHOLESALE BNZ |
(INDEX) FUND INTERNATIONAL EQUITIES |
0 | 590 142. |
142.590 | |
| *D * D |
NEI | CLEAN INFRASTRUCTURE FUND | 0 | 968-872 | .872 安୧୫ |
|
| **D | DVAN DIVERSIFIEDITIONID ATTERNALIVESFCP | 0 | 4.948 | 4.948 | ||
| INVESTMENTCHBH DWS |
OF DEAM FONDS ZAT1 ON BEHALF |
0 | 6.013 | 6.013 | ||
| **D | E D |
SHAW ALLCOUNTRY GLOBAL ALPHA EXTENSIONCUSTOM FUND | ل | 0 | 12.447 | 12.447 |
| **D | STOCKSELECTION II AQR |
LP ACCOUNT MASTER |
0 | 3.040 | 3.040 | |
| **D | SELECT FIDELITY |
PORTFOLIO PORTFOLIOS UTILITIES |
0 | 200 550. |
550.200 | |
| **D | S.A. CAIXABANK ASSET MANAGEMENT, SGIIC, |
0 | .794.054 | 794.054 7. |
||
| **D | S.A. VIDACAIXA, |
0 | .570.044 T |
570.044 1. |
||
| **D | KUTXABANK | S.A. GESTION SGIIC, |
0 | 8 ୧୧ 854 . ব - |
9 9 4.854.8 |
|
| **D | KUTXABANK PENSIONES, S.A., SGFP | 0 | 207 607 |
607.207 | ||
| **D | AOR TAX AWARETOTAL RETURN FUND LLC | 0 | 28-014 | 28.014 | ||
| **D | CMAP SRPA | FUNDLIMITED | 0 | 1 9 - 7 9 |
9.797 | |
| * * D | Th AQR TAX ADVANTAGEDGLOBAL EQUITY MARKET NEUTRAL FUND |
0 | 9 65.03 |
9 65-03 |
||
| D D |
BELGIUMLIMITED CIN |
0 | 0 73 |
0 73 |
||
| **D | BANCO | SA BILBAO VIZCAYA ARGENTARIA |
0 | 336 622. 2. |
9 . 33 622 ਟ |
|
| **D | STICHTING DE | ENTON VANCE TRUST COMPANY COLLECTIVE INVESTMENT NATIONALE |
0 | - 742 പ T |
15.742 | |
| **D | PENSIOEMFONDS ALGEMEEN |
O | 61.314 | 61.314 | ||
| **D | ECCLESIASTICAL MUTUAL THE NFU |
PLC STAFF RETIREMENT INSURANCE OFFICE OEIC |
BENEFI | 0 0 |
255.000 | 255.000 |
| **D | ASSET EDENTREE |
MANAGEMENT LTD | 77.762 | 77.762 | ||
| **D | EDENTREE | INVESTMENT FUND SERIES 1 EDENTREE GREEN FUTURE FUND | 0 | 500 16. |
16-500 | |
| **D | SANTANDER MAX 30 SHARES PORTFOLIO | 0 | 122.000 | 122.000 | ||
| **D | 50 MAX SANTANDER |
PERCENT SHARES PORTFOLIO | 0 0 |
L L 2.79. S 525.0 б |
.791 525-051 ਰ 2 |
|
| Azionisti: | Teste: 3.327 |
Pagina 22 21 |
||||
| 11 | 3.316 | |||||
| Azionisti in proprio: | Azionisti in delega: |

UOW

Assemblea Ordinaria del 10 maggio 2023
Ogetto: Relazione sulla politica di reminerati - Seconda Sezione: relazione : relazione : relazione : relazione non vinolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| SANTANDER MAX 70 PERCENT SHARES PORTFOLIO | 0 | 850.761 | 850.761 | |
| OF 793 MEMBERS PENSION BEMEETI TRUSI IUOE LOCAL |
0 | 133.103 | 133.103 | |
| MACAU MONETARIA DE AUTORIDADE |
O | 0-112 ਥੋ 5 |
450.112 | |
| GOLDNAN SACHS BLOOMBERG ETF TRUST GOLDMAN SACHS |
C | . 038 2 ਾ |
||
| PLAN TRUST MEDICAL INTEL RETIREE |
0 | 42.038 | ||
| CORPORATION FOND PERMANENT ALASKA |
0 | . 04 4 ర్ V |
9.044 ਾ |
|
| SUBSIDINED SCHOOLS PROVIDENT FUND | .410.154 L |
.410-154 T |
||
| INTL | 0 | ਖ ਰੇ - ਤੇ દ વ |
64.389 | |
| ГБ BESS |
0 | 0 6 . ਰੇ I |
ਰੇ ਰੋਸ਼ 1. |
|
| GLOBALE AKTI INVESTERINGSFORENINGEN NYKREDIT INVEST ENGROS |
0 | .265 212 |
212.265 | |
| VALUE PRO ACADIAN GLOBAL KAPITALFORENINGEN INVESTIN |
0 | 2.418.144 | 418.144 2. |
|
| PLC TRUST MURRAY INTERNATIONAL |
0 | 830.000 5. |
000-068 5. |
|
| CONTINUOUS LLC TACS NON US EQUITY CORE MARKET |
0 | 567.334 | 567-334 | |
| LTD BANK OF SOUTH AFRICA STANDARD |
0 | 32.602 | 32.602 | |
| EQUITY INCOME FUND GLOBAL SUSTAINABLE BNY MELLON |
0 | 661 - 569 | 61.569 9 |
|
| BNYM MELLON DT NSL INTERNATIONAL STOCK INDEX FUND | 373.618 | 373.618 | ||
| AKTIER SAMPENSION GLOBALE INVESTERINGSEORENINGEN INVESTIN |
o o | 0 S 3.0. |
8 3.05 |
|
| QUILTER CHEVIOT LTD | 0 | 324.099 | 6 324.09 |
|
| INC FOUNDATION TBCH VIRGINIA |
0 | 8 45.18 |
45.188 | |
| PRICE GROWTH OPPORTUNIT AST T ROWE TRUST SERIES ADVANCED |
0 | 432.353 | 432.353 | |
| BNYM MELLON BE NSL INTERNATIONAL EQUITY FUND | 0 | 273.991 | ਰੇ ਹੋ ਹ 273 |
|
| EQUITY IN GOLDMAN SACHS AND CO SACHS INTERNATIQUAL — GOLDMAN SACHS TRUST GOLDMAN |
0 | 609-667 ਟ |
609-661 2. |
|
| CORPORATE CLASS LIMITED CI |
0 | б 584-90 |
584.909 | |
| GLOBAL EQUITY FUND SELECT CT |
0 | 9 285.43 |
285.436 | |
| PRIVATE POOL EQUITY CONCENTRATED GLOBAL CI |
0 | б 13.04 |
13.049 | |
| AND GROWTH FUND INCOME GLOBAL CI |
0 | 3.163.723 | 3.163.723 | |
| POOLED FUND EQUITY GLOBAL CI |
0 | 32 8 |
32 B |
|
| INFRASTRUCTURE INCOME ETF GLOBAL MELLON BNY |
0 | 166-235 | 66.235 T |
|
| GOLDMAN SACHS PROFIT SHARING MASTER TRUST | 0 | 120.744 | 120.744 | |
| ETF PLC UCITS GENERAL AND LEGAL |
0 | б б . 3 ਹੋਂ ਦੇ ਪੈਂ |
. 399 ਕ 4 4 |
|
| INVESTMENT FUND LIMITED FIDUCIARY ZEDRA THE |
0 | 6.136 10 |
106.136 | |
| INC MANAGEMENT HOLDINGS MACQUARIE |
0 | 7.776 | 7.776 | |
| EUND ਤੇ FUTURELEGACY MELLON BNY |
0 | L б 5 . Ө L |
5.891 L |
|
| FUND ব FUTURELEGACY MELLON вид |
0 | 23.836 | 23.036 | |
| FUND ട് FUTURELEGACY NETTON BNY |
0 | -339 31 |
31.339 | |
| FUND 9 FUTURELEGACY MELLON BNY |
0 | . 406 B C |
38.406 | |
| FUND 7 FUTURELEGACY MELLON BNY |
0 | 9 . 4 9 5 ਬਾ |
45.496 | |
| TRUST COMPANY INTERNATIONAL EQUITY COMMON FUND DIVERSIFIED |
0 | 5 238.36 |
238.365 | |
| FINANCIAL INC BANK NATIONAL |
0 | ਟ 111.79 |
111-792 | |
| BERMUDA OF GOVERNMENT |
0 | 240.734 | 240-734 | |
| INVEST VERDENSINDEKS KAPITALFORENINGEN EMD |
0 | 262.572 | 262.572 | |
| POOL EQUITY DEPOSITARY APG DEVELOPED MARKETS STICHCING |
0 | 8 307.90 1. |
307.908 L |
|
| FUND INDEX EX US WORLD ALL FTSE VANGUARD |
0 | .362 694 15. |
694.362 5. T |
|
| FUND INDEX STOCK EUROPEAN VANGUARD |
O | 562.024 6. ﺎ |
562.024 6 - ન |
|
| XTRACKERS MSCI EAFE ESG LEADERS EQUITY ETF | 0 0 | 39.870 | 39.870 | |
| ть INVESTMENTS UOF |
17.713 | 17.713 | ||
| GLOBAL SUSTAINABLE INFRASTRUCTURE FUND FUNDS MULTI ADVISOR |
9 405.68 |
9 405.68 |
||
| WESPATH FUNDS TRUST | 0 | 520.054 1. |
520-854 । |
|
| DIAMOND INTERNATIONAL EQUITY LIMITED PARTNERSHIP RED |
œ | 10 . 45 L |
S 7.45 |
|
| TEXAS PERMANENT SCHOOL FUND CORPORATION | .226.087 ਟ |
.226-087 ਟ |
||
| ENDOWMENT TRUST MOTABILITY AS SOLE TRUSTEE OF THE WOLABILITY |
0 | ర్ 79.93 |
ర 79.93 |
|
| Pagina 23 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
ુકૃષ્ય

ర్లాక్
ﺍﻟﻘﺪﻡ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺴﺎﻓﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ
3.316
11 Azionisti in delega:
| ENEL S.p.A. | |
|---|---|
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compezsi corrisposti nel 2022 (deliberazione von vincelarte) FAVOREVOLI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| **D | VOYA VACS INDEX SERIES I PORTFOLIO | Proprio | Delega | Totale |
| **D | DANMARKS GRUNDFORSKNINGFOND | 0 | 605.634 | 605.634 |
| **D | FORDHAM UNIVERSITY | 0 | 32.085 38.562 |
32.085 38.562 |
| **D | EDISON RETIREMENT PLAN CONSOLIDATED |
178.646 | 178.646 | |
| **D | HARRIS UNIT 1 QUALIFIED NUCLEAR DECOMMISSIONING FUND | 0 | 54.423 | 54.423 |
| **D | QUALIFIED NUCLEAR DECOMMISSIONING FUND 2 UNIT ROBINSON |
0 | 61.780 | 61.780 |
| **D | BRUNSMICK UNIT 2 QUALIFIED MOCLEAS | 119.229 | 119.229 | |
| **D | COMPANY MANUFACTURERS LIFE INSURANCE THE |
144.682 | 144 - 682 | |
| **D | INCARNATE WORD THE OF SISTERS OF CHARITY THE CONGREGATION OF THE |
00.393 8 |
800-393 | |
| **D | IO 500 INTERNATIONAL ETF | 172.294 | 172-294 | |
| **D | LLC INTERNATIONAL LEXINGLON |
26.793 | 26.793 | |
| **D | LLC INTERNATIONAL CERVURITE |
64.317 2 |
264-317 | |
| **D | LLC MARANIC II |
8.406 | 8-406 | |
| **D | INVESTMENTS LP TERREBONNE |
0 | 12.605 | S 12.60 |
| **D | MINDFALL INVESTMENTS LP | 0 | 7.155 | 7.155 |
| **D | PHILANTHROPAR INVESTMENTS LP | 0 | 4.323 | 323 4. |
| **D | INVESTMENT MANAGEMENT OAK HILL |
O | 42.245 | 42.245 |
| **D | OHSU FOUNDATION ENDOWMENT FUND LP | 0 | 20.986 | 20-986 |
| **D | MASTERS I LIC | 0 | 27.829 | 27.829 |
| **D | IMPLEMENTATION FUND IV LLC BRIDGEWATER |
0 | 63.824 | 63.824 |
| **D | STICHTING PENSICENFONDS NOTARIAAT | 0 | 24-616 | 24.616 |
| **D | EQ DCG DEUTSCHE |
0 | 27.845 | 27.845 |
| **D | OPPORTUNITY FUND BNY MELLON INVESTMENT FUNDS VI BNY MELLON BALANCED |
0 | 78.782 | 78.782 |
| * * D | ETF OPERATING INDEX DEVELOPED INTERNATIONAL MULTI FACTOR MANULI FE |
0 | 146.059 | 146.059 |
| **D | OF THE INTERNATIONAL UNION OF FUND PENSION CENTRAL |
0 | 63-347 ਟ |
263.347 |
| **D | NA WELLS FARGO BANK |
0 | 4.231 | 4.231 |
| **D | ALPHA INCOME FUND MAN GLG EUROPEAN |
0 | 893 | 656 |
| **D | CITW FUND LP | 0 | 15.320 | 320 15. |
| **D | AMITY BALANCED FUND FOR CHARITIES FUND | 40.000 | 40.000 | |
| **D | FUND HIGHER INCOME |
0 | 00.000 8 |
00.000 8 |
| **D | FUND INTERNATIONAL AMITY |
C | 120.000 1. |
120.000 L |
| **D | FUND EUROPEAN AMITY |
0 | 700.000 | 700.000 |
| * * D | THE GEORGETOWN UNIVERSITY |
248.710 | 248.710 | |
| **D | CABRINI HEALTH FOUNDATION INC MOTHER |
105.000 | 105.000 | |
| **D | brc MARKETS II INVESCO |
0 | 208.212 | 08.212 ਟ |
| **D | OMAN MINISTRY OF DEFENSE PENSION FUND OF THE SULTANATE OF |
207.720 | 207-720 | |
| **D | CORE PORTFOLIO BLACKROCK DISCIPLINED INTERNATIONAL ATLANTIC GLOBAL |
O | 33.303 | 33.303 |
| **D | MAUREL MARTIN ROTHSCHILD |
O | 783-490 | 783.490 |
| **D | UTILITIES QUAL NDT PARTNERSHIP TEXAS |
O | 37.267 | 37.267 |
| **D | PLAN PENSION CANADA 2007 SHELL |
0 2.18 L |
12.180 | |
| **D | ENDOMMENT PORTFOLIO I P | S 4.08 |
4.085 | |
| **D | THE NONREPRESENTED EMPLOYEES OF SOUTHERN CALIFORNIA EDISON COMPANY OF 1999 VOLUNTARY EMPLOYEES BENEFICIARY ASSOCIATION |
0 | 8.388 | |
| 8.308 | ||||
| **D | RESIDUAL TRUST LUND SHARON D |
4.379 | 4-379 | |
| **D | TRUST REV LUND AICHEITE |
5.831 | 5-831 | |
| **D | MANAGERS LTD FÜND BLACKROCK |
0 | 5 4.469.98 |
5 69.98 4.4 |
| D D |
HOR CONGREGATION OF THE SISTERS OF CHARITY OF THE INCARNATE |
0 | б 14.38 |
б 14.38 |
| **D | SALARY REDUCTION PLAN CLINIC MARSHFI ELD |
0 | ರಾ 80.36 |
8 00.36 |
| **D | COLLECTIVE INVESTMENT FUND PLAN INV IVE EMBIOREE BEMELIL COLLECL BENEFIT MELLON EMPLOYEE YORK METION YORK אישון OF NEW OF BANK BANK THE 대왕도 |
б .262.74 L |
б .262.74 L |
|
| 0 | 1 5.461.18 |
.461.187 ம |
||
| Pagina 24 | ||||
| Azionisti: | 21 Teste: 3.327 |

3
3.316
I 1 Azionisti in delega:
প
10 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunerazione: relazione: relazione: relazione: relazione: relazione non vincolarte) FAVOREVOLI
| ഗു 2 L n T 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 O 0 0 0 0 0 0 0 0 0 0 G 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 0 INDEX CO NYKREDIT PORTEFOLJE ADMINISTRATION AS SENTIER RESPONSIBLE LISTED INFRASTRUCTURE FUND NDUSTRIEEN MEUBILERINGSBEDRIT SUSTAINABILITY WORLD KL ASSET ALLOCATION PORTFOLIO PRESERVATION ASSET ALLOCATION PORTFOLIO EQUITY ETF PORTFOLIO POOLED INVESTMENT FUND SERIES SMART EUROPEAN EQUITY FUND PENNSYLVANIA STATE EMPLOYEES RETIREMENT SYS CHURCH TRUST RI INDEX POOL QUANTITATIVE MODELING PORTFOLIO EUROPA VALUE KL BENEFITS PRESBYTERIAN GOLDMAN SACHS FUTURE PLANET ALLOCATION EQUITY STICHTING BEDRIJESTAKEENSIOENFONDS VOOR DE MEUBELI DOW JONES THE UNIVERSITY OF GLASGOW LIMITE SYSTEM EX US HEDGED EQUITY ETF FUND EQUITIES RETIREES MEDIÇAL KAPITALFORENINGEN INVESTIN PRO VELLIV MORID CONNIA ENDLOYEES RELIBERENT YOK MELLON INTERNATIONAL OF CD WEYERHAEUSER SYSTEM CAPITAL GROWTH ASSETT RETIREMENT INCOME PLAN TRUST land INVESTERINGSEORENINGEN SPARINVEST INDEX INDEX BNY MELLON GLOBAL INFRASTRUCTURE INCOME PENSIOENFORDS STICHIING THE OF C D WEYERHAEUSER EQUILI ETF EUND BOARD DEPOSITARY APG DEVELOPED BALANCED INVESTORS ICVC FIRST RETIREMENT OF SPARINVEST EQUITY ETF INTERNATIONAL EQUITY SYSTEM SYSTEM SEMINARY CO VALUE PARTITION TRUST IRISH PENSION SCHEME INTERNATIONAL STATE OF WISCONSIN INVESTMENT CHIS GLOBAT FUNDS PUBLIC LTD CO LTD INC INTERMEDIATE INC EUROPE ITD AST AST AST AST VIRTUS TOTAL RETURN FUND VIRTUS NFJ INTERNATIONAL WORLD RETIREMENT RETIREMENT THE UNIVERSITY COURT OF GOLDMAN SACHS ETF TRUST EMPLOYEES 1973 IRREVOCABLE TRUST KOKUSAI FUND INVESTERINGSFORENINGEN THEOLOGICAL 1895 FONDS STICHTING 1 PARA GLBL TRUST TRUST TRUST TRUST TRUST GIB ONE FUND ALL INCOME FOREST FOUNDATION PARA TRUST NUMBER FOUNDATION CONSORTIUM NEDERLAND OF QUILTER CHEVIOT ESB PENSION SERIES SERIES ងនិទ SERIES NEW SERIES MSCI MARION BRADLEY MSCI FGR SENTIER STATE STATE BARBARA COUNTY COUNTY FUND COMMONWEALTH OE STEWARDSHIP EMPLOYEE CANDRIAM 1975 IRREV FONDS SELECT BNY MELLON PITTSBURGH STICHTING AIB GROUP TRUST XTRACKERS XTRACKERS ADVANCED BANK ADVANCED ADVANCED ADVANCED SEQUOIA ARIZONA ARIZONA MACOMB MACOMB FIRST SANTA ALCOA SHELL BANK । ਉਹੇਦੇ вст нан DNE THE THE 3M IQ D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D D *D D D D D D D * |
**D | BAYN MELLON CE ST INTERNATIONAL STOCK INDEX FORD Ragione Sociale |
Proprio 0 |
Delega 603.578 |
Totale 603.578 |
|---|---|---|---|---|---|
| .060,977 | 1.060.977 | ||||
| 8 S 36-9 |
36.958 | ||||
| 9 ഹ 6.2 8 T |
186.256 | ||||
| 434.691 | 434.691 | ||||
| 1.077.119 | 1.077.119 | ||||
| 9 б . ട S 31 |
315.596 | ||||
| . 418 .033 |
1.033.418 | ||||
| E 93.33 |
93.333 | ||||
| 266.994 | 266.994 | ||||
| 47.216 | 47.216 | ||||
| 35.740 | 35-740 | ||||
| 7.598 | 0 7-591 |
||||
| 635.253 | 635.253 | ||||
| S 319.05 |
319.055 | ||||
| .603.832 | 603.832 I |
||||
| 2.051.239 | 2.051.239 | ||||
| பா 123.33 |
123.335 | ||||
| 11.461 | 11.461 | ||||
| 54.053 | 54.053 | ||||
| 3.009 | 9.009 | ||||
| 342.214 | 342.214 | ||||
| б 411.04 |
411.049 | ||||
| 1.778.970 | 1.778.970 | ||||
| 52 1.0 |
1-052 | ||||
| 6 27 |
6 27 |
||||
| . 804 বা |
4.804 | ||||
| ୧୮୧୫୧ | ୧୮୧୦୧ | ||||
| 5.223 | 5.223 | ||||
| 4.761 | 4.761 | ||||
| б 91.03 |
91-039 | ||||
| .332.200 | 5.332.200 | ||||
| S 274.84 |
274-845 | ||||
| 60.677 | 60 - 677 | ||||
| 207.434 | 207.434 | ||||
| 85.950 | 8 85.95 |
||||
| 50.903 | 50.903 | ||||
| 20.395 | S 20.39 |
||||
| 123.639 | 123.639 | ||||
| 147.203 | 147.203 | ||||
| 325.315 | 325.315 | ||||
| 390.097 | 390.097 | ||||
| 251.613 | 251.613 | ||||
| 986.959 | 986.959 | ||||
| 42.963 | 42-963 | ||||
| u 250.000 |
250-000 | ||||
| .526.26 | S 526.26 2 |
||||
| BANK OF KOREA | 219.592 12.334 |
219.592 12.334 |
|||
| Pagina 25 | |||||
| Azionisti: | 21 Teste' 3 327 |

3
3.316
l 1 Azionisti in delega:
Azionisti in proprio:
EMARKET
SDIR
GRTIFFE
10 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compessi corrisposti nel 2022 (delberazione non vinolate) FAVOREVOLI
| Totale 84.848 Delega 0 |
039.112 1 .039.112 T |
. 915 .611 T b . 915 . 611 I P |
0 . 05 12 0 . 05 2 ﺎ |
9 19.916 . 23 181 ব 9 19.916 . 23 181 V |
026.617 L 026.617 L |
975 E 5 3.97. |
6 . 92 27 0 92 27 - |
63.047 63.047 |
524.364 C 524.364 L |
ਰੇ ਤੇ ਤੋ 325-713 б 5 95 . 71 325 б L |
62.040 0 62.04 |
8 9 8 ୧୧ - 66.898 |
26.103 26.103 |
705.251 S 705.251 un |
89.000 - 094 331 ತ 89.000 331.094 3 |
190 844 - 44.190 8 |
8 ਦ ਭੇ 13 . 13.598 |
a eo IIE. 116.960 |
570-368 T 570.368 T |
72.215 S 72.21 |
ਰੇ ਦੇ 7 284-863 51. - ર્ભ S . 967 84.863 51 L ਟ 6. 5 |
64.463 б 64.463 ర |
06.200 P 86.200 য |
9 370.38 t 9 370.38 ไ |
.609.216 б ଚି 21 ୧୦ ਰ రు |
.024.914 11) 914 024. U |
186 .077 11. റ 9 -077 T 8 9 די |
232.085 S . 08 232 |
43.435 B 843.435 |
ਦ ਰੋ g 16. d L 416.669 t |
208 గా S 3 53.208 € |
8 4 б 8 984 B |
125 27.435 6. ਹੈ ਪੈ 46.125 27 435 ાં |
527.160 160 527 - |
. 314 . 691 10 91 314.6 0. t |
716.618 0 ୧ ସ 716. |
951 ਤੇ ਤੋਂ ਦ ਹ б గా 3 |
57 B S б ਟ 57 . B ഹ б ਟ |
563 247. ਦ ਤੇ ട 247 |
36-048 48.027 . 048 27 . O 9 8 5 P |
|
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio BANK ACTING AS TRUSTER OF HAN ALTERNATIVE ASSET OR RASTRUCTURE QUALIFIED INVESTORS PRIVATE PLACIAL A Sociale KOOKMIN Ragione |
0 NN PARAPLUFONDS 1 NV |
0 0 THE ARCHDIOCESE OF HARTFORD INVESTMENT TRUST EATON VANCE MANAGEMENT |
0 UNIVERSAL INVESTMENT GESELLSCHAFT MBH ON BEHATE OF DECTA MASTEREONDS |
0 0 SYSTEM TRUST FUND PARTNERSHIP N LP RETIREMENT FLORIDA VisisA |
0 BNY MELLON GLOBAL FUNDS FIC |
0 MARTIN CORPORATION MASTER RETIREMENT TRUST LOCKHEED |
KAPITALFORENINGEN EMD INVEST GLOBALE AKTIER III | INTERNATIONAL FUND WILMINGTON |
uk FUND EQ0ITY EUROPEAN INVESCO |
UK GLOBAL EX UK ENHANCED INDEX FUND UK FUND EUROPEAN EQUITY INCOME INVESCO INVESCO |
BASIS GLOBALE AKTIER INVEST NYKRÉDIT INVESTERINGSFORENINGEN |
TAKTISK ALLOKERING INVEST INVESTERINGSFORENINGEN NYKREDIT |
FÜND ÜK TARGETED RETURNS GLOBAL INVESCO |
0 SYSTEM OF TEXAS RETIREMENT ENPLOYEES |
FOR ACCOUNT OF ZFO AKTIEN EUROPA INTERNATIONALE KAPITALANLAGEGESELLSCHAFT MBH ACTING I PRO GLOBAL EQUITIES KAPITALFORENINGEN INVESTIN |
0 TRUST PST PRUDENTIAL GROWTH ALLOCATION PORTFOLIO SERIES ADVANCED |
0 PLC MARKETS III INVESCO |
ETE MARKETS UCITS EMERGING RAFI FTSE INVESCO |
ETF ഗ RAFI DEVELOPED MARKETS EX U FISE INVESCO |
0 FUND EQUITY INTERNATIONAL STRATEGIES CORE WEST GREAT |
0 0 LIMITED GLOBAL FUNDS BLACKROCK LIFE BLACKROCK |
GLOBAL WIND ENERGY ETF TRUST FIRST |
0 IND GRID INFRASTRUCTURE FIRST TRUST NASDAQ CLEAN EDGE SMART |
0 SYSTEM VIRGINIA RETIREMENT |
0 FUNDS INVESCO |
0 FUND PGIM JENNISON UTILITY |
0 SEE BGIN 20 50 BATANCED PORTFOLIO PORT PGIM FLEXIBLE MANAGED PSF FUND EUND SERIES SERIES PRUDENTIAL PRODENTIAL THE THE |
0 CPUC DECOMMISSIONING MASTER TRUST PACIFIC GAS AND ELECTRIC COMPANY NUCLEAR FACILITIES QUALIFIED |
INTERNATIONAL INDEX FUND GREAT WEST |
INC GLOBAT FONDS FIC BNY METION GLOBAL EQUITY BNY MELLON |
DIVID TRUST GLOBAL INFRASTRUCTURE UTILITIES FIRST MACQUARIE |
KOREA BANK OF |
SPARINVEST INDEX FIREFIGHTERS RETIREMENT SYSTEM VAERDIPAPIRFONDEN |
INTERNATIONAL EQUITY INDEX PRINCIPAL FUNDS INC |
FUND EQUITY THE SEVENTH SWEDISH NATIONAL PENSION FUND AP 7 |
PORTFOLIO TRUST AST INTERNATIONAL GROWTH SERIES ADVANCED |
BANK FOR RECONSTRUCTION AND DEVELOPMENT INTERNATIONAL |
FUND SECURITIES GLOBAL INFRASTRUCTURE LF MACQUARIE |
FUND OVERSEAS FUNDS INC PRINCIPAL |
FINK FOND SOLUTIONS FID STANLIB FUNDS LIMITED |
Pagina 26 21 Teste: 3 327 |
| 84.848 Badge **D |
**D | D D |
**D | D D |
* * D | **D | * * D | **D | **D | D D |
**D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | D D |
**D | * * D | **D | **D | **D | **D | D D |
Azionisti |
EMARKET
SDIR certified
3
3.316
Azionisti in delega:
【】
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compezsi corrisposti nel 2022 (deiberzaione vincolante) FAVOREVOLI
| Badge | Sociale Ragione |
Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| **D | GOLDMAN | SACHS ETF TRUST GOLDMAN SACHS MARKETBETA INTERNATIO | 0 | 205.716 | 205.716 | |
| **D | ABB PENSION FUND | 0 | 12.107 | 12.107 | ||
| D D |
350 GLOBAL VALUE P EUROPE INVÉSCO S AND IA CLARINGTON |
EQUAL MEIGHT INDEX ETF FUND |
0 0 |
. ୧୫୮ 8.176 E S |
S . ୧୫ E |
|
| **D | INDUSTRIAL | INC ALLIANCE INSURANCE AND FINANCIAL SERVICES |
0 | 92 505.8 |
58.176 505.892 |
|
| **D | RETUREMENT EMPLOYEES PUBLIC |
SYSTEM OF MISSISSIPPI | 0 | .019.034 ไ |
1.019.034 | |
| **D | STICHTING PENSIOENFORDS ABP | 0 | ਈ ਦ б 663. 15. |
ഹ 663.98 ഗ |
||
| D D |
INCOME GLOBAL IQ 50 PERCENT BNY RELLON |
HEDGED FTSE INTERNATIONAL ETF FUND |
0 0 |
42 5.1 ਉ ਤੇ 11 |
095.142 11 |
|
| **D | TRUST GOLDMAN ETF SACHS GOLDMAN |
INTERNAT BETA ACTIVE SACHS |
0 | S 9 . B 147 392 |
S 9 - 8 147 |
|
| **D | TRUST ETE SACHS GOLDMAN |
EUROPE E BETA ACTIVE SACHS GOLDMAN |
0 | p б - 30 5.20 |
.304 209 392 S |
|
| **D | XTRACKERS MSCI EUROZONE | ETF HEDGED EQUITY |
0 | 39.019 | 39.019 | |
| **D | VOYA INTERNATIONAL INDEX | PORTFOLIO | 0 | 575.911 | 5.911 57 |
|
| **D | AMERICAN UNIVERSITY THE |
IN CAIRO | 0 | B d D 9 - |
9.084 | |
| D D |
INCARNATE WORD CHARITABLE TRUST CLAUDE MARIE DUBUIS THE |
RELIGIOUS AND CHARITABLE TRUST | 0 0 |
263-265 | 263.265 | |
| **D | CONGREGATION OF THE | SISTERS OF CHARITY OF THE INCARNATE WORD | 0 | 59.757 316.247 |
316.247 59.757 |
|
| **D | TRUST ARIZONA PSPRS |
0 | 063.164 | . 063 - 164 I |
||
| **D | BEHALF ON GMBH INVESTMENT DMS |
BPT FONDS DMS OF |
0 | .470.000 T |
1-470.000 | |
| **D | BEHALF ON GMBH INVESTMENT DWS |
ਟ ыкы FORDS DMS OF |
0 | 683.630 ไ |
683.630 I |
|
| D D |
BEHALF ON GMBH INVESTMENT DMS |
ਟ AVD FONDS ામ રાજક OF |
0 | 20.121 | 20.121 | |
| **D | PENSION MASTER TRUST RETIREMENT ENERGY TEACHERS SEMPRA |
SYSTEM OF LOUISIANA | 0 | 103.068 | 103.060 | |
| **D | DELAWARE GLOBAL LISTED REAL | ASSETS FUND | 0 0 |
200 182.310 42 |
42-200 | |
| **D | INVESTERINGSFORENINGEN | GLOBALE AKTIER LI LAEGERNES INVEST |
0 | 68.139 | 68.139 182.310 |
|
| **D | KAPITALFORENINGEN | LARGERNES INVEST KLI AKTIER GLOBALE INDENYKREDIT PORTEFORTINE ADMINISTRATION AS | 0 | 337.441 | 337.441 | |
| **D | LTD BLACKROCK LIFE |
0 | .199.252 I |
199.252 H |
||
| **D | FUNDS INC PRINCI PAL |
DIVERSIFIED REAL ASSET FUND | 0 | .125.234 ਟ |
125.234 2. |
|
| D D |
MSCI EUROPE HEDGED EQUITY ETF FTSE PURESETA XTRACKERS |
ETF | 0 | 362.217 | 362.217 | |
| **D | K10 FONDS INVESCO NI |
DEVELOPED EX NORTH AMERICA | 0 0 |
.167 5 |
5.167 | |
| **D | K12 FONDS MI |
0 | ସ ୧ 21.690 ಕ 219. |
9 21.690 219.38 |
||
| **D | SOUTH AFRICA LTD OE BANK STANDARD |
0 | 607.009 | 687.809 | ||
| **D | EAFE HEDGED EQUITY ETF XTRACKERS MSCI |
0 | . 034 . 778 ਟ |
2-034.778 | ||
| **D | FTSE XTRACKERS |
DEVELOPED EX US MULTIFACTOR ETF | 0 | 349 22. |
22.349 | |
| **D | EDISON SC |
NUCLEAR FACILITIES QUALIFIED CPUC DECOMMISSIONING MASTER TR | 0 | 188.961 | 188.961 | |
| **D | MASTER TRUST INC TEXTRON |
0 | 418.787 | 410.787 | ||
| D D |
VEBA REA CORP BELLSOUTH |
FIDELITY CONCORD STREET TRUST FIDELLIN INTERNATIONAL TRUST |
INDEX FUND | 0 0 |
9 945.48 20. |
9 . 48 ਰੇ 4 ਤੋਂ 0 ਟ |
| **D | CENTRAL BANK EUROPEAN |
0 | 2.397 18 . 1 ್ತ ರ 32 |
10 322.397 . 1 95 |
||
| **D | MELLON BNY |
INVESTMENT FUNDS III BNY MELION GLOBAL EQUITY INCOME FUND | 0 | m 9.25 ਉ ਰੇ |
899.253 | |
| **D | FUNDS STOCK MELLON BNY |
BOUI BNY MELLON INTERNATIONAL CORE |
0 | 52 5.2 08 ไ |
085.252 T |
|
| D D |
INTERNATIONAL MELLON BNY |
INDEX FUND STOCK |
0 | 196-053 | 196.053 | |
| **D | INTERNATIONAL MELLON MANVILLE BNY |
INCOME FUND EQUITY |
0 | 2.945 L |
. 945 12 |
|
| **D | RETIREMENT PERSONAL INJURY NEW HAMPSHIRE |
TRUST SÉTTLEMENT SYSTEM |
0 0 |
251 927.145 4 1 L |
.251 ਕੇ 1 |
|
| **D | TRUST SHELL PENSION |
0 | 927.145 1. |
|||
| **D | PENSION TRUST UPSTREAMCO |
0 | 9 104 - 662 57 3. б |
.662 576 104 ਰੇ ਤੇ |
||
| **D | INVESTMENTS EASTSPRING |
0 | 8 ರ d б |
B B . 4 б |
||
| **D | NATIONAL TREASURY MANAGEMENT AGCY | 0 | 298-142 | . 142 298 |
||
| Pagina 27 | ||||||
| Azionisti: | 3.327 | Teste: | 21 | |||
| Azionisti in proprio: | 11 | Azionisti in delega: | 3.316 |
ಹಿನ
EMARKET
SDIR
GRTIFFE
as Jun 222
( Rust

Assemblea Ordinaria del 10 maggio 2023
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione on vincolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | POLICE AND FIRE RETIREMENT SYSTEM OF THE CITY OF DETROIT | 0 | 40.530 | 40.530 |
| D D |
INVESTMENT GMBH TRUST INVESTMENT TRUST ALTE LEIPZIGER ALTE LEIPZIGER |
0 | 377.150 38.167 2 |
150 377. |
| **D | CENTRAL BANK EUROPEAN |
0 | 401.757 | 238.167 |
| **D | MAN FUNDS PLC MAN NUMERIC RI EUROPEAN EQUITY | 56.300 | 401.757 56.300 |
|
| **D | PHELPS GLOBAL INFRASTRUCTURE FUND AND VIRTUS DUFF |
0 | 142-579 | 142.579 |
| **D | INTERNATIONAL DIVIDEND ETF VIRTUS WMC |
O | 32.961 | 32.961 |
| **D | PENSION ASSOCIATION OF COLORADO POLICE FIRE AND |
0 | 103.750 | 750 103. |
| **D | LLC EQUITY FUND GLOBAL FLORIDA |
0 | 153.245 | 153-245 |
| **D | DIOCESE OF VENICE PENSION PLAN AND TRUST | 0 | 0 7.88 |
8 88 7 - |
| *D * D |
SYSTEM OF IDAHO RETIREMENT ENDLOXEE PUBLIC |
0 | 2.412.984 | ਰੇ 8 ਕ .412. ਟ |
| * * D | CHICAGO L OF O FUND RETIREMENT SCHOOL TEACHERS PENSION AND RETIREMENT PENSION AND TEACHERS SCHOOL PUBLIC PUBLIC |
0 | S 059.48 T |
59.485 1 - 0 |
| **D | CHICAGO FUND FUNDS INVESCO |
0 | 250 24 - |
24-250 |
| **D | NSP MONTICELLO MINNESOTA RETAIL | 0 0 |
13.618 | 13.618 |
| **D | PRAIRIE I RETAIL QUALIFIED TRUST MINNESOTA NSP |
0 | 43.715 80-431 |
715 80.431 43 . |
| **D | II PRAIRIE RETAIL MINNESEOTA NSP |
0 | 50.071 | 50.071 |
| **D | FOR ACCOUNT OF BPT MBH ACTING INTERNATIONALE KAPITALANLAGEGESELLSCHAFT |
0 | 883 8. |
6.883 |
| **D | FD INIT HIGH DIA ALD INDEX VANGUARD |
0 | 838 33 - . 4 য |
.433.838 যা |
| D D |
LLC FUND INVESTMENT HIGHLAND |
0 | 882 22 . |
882 22 |
| * * D | AND NON IREES PG AND E POSTRETIREMENT MEDICAL PLAN TRUST MANAGEMENT MASTER TRUST PGE CORPORATION RÉTIREMENT |
0 | 261.158 | 261.158 |
| * * D | DEPOSITARY FUND CZ STICHTING |
0 0 |
ે રે 970 |
તે ર |
| **D | MAN NUMERIC RI GLOBAL EQUITY MAN FUNDS PLC |
0 | 10.400 121. |
970 10.400 121. |
| **D | ZDV DEAM FONDS |
0 | 99.097 | 097 ਰੇ ਕੇ |
| **D | SAI INTERNATIONAL INDEX FUND FIDELITY |
0 | 1.866.349 | . 866. 349 t |
| **D | ETF SUSTAINABLE INTERNATIONAL EQUITY INCOME COLUMBIA |
0 | 907 22. |
22.907 |
| **D | L PAL DMS FONDS OF GMBH ON BEHALF DWS INVESTMENT |
0 | 829 6. 9 |
66.829 |
| D D |
L RPK DWS FONDS OF BEHALF ON લનકાન DWS INVESTMENT AURION |
0 | 70.366 | 70.366 |
| **D | BLACKROCK BALANCED CAPITAL FUND INC EQUITY FUND GLOBAL |
0 | 29-077 | 29.077 |
| * * D | FUND INDEX INTERNATIONAL AZL |
0 0 |
329.238 | 329.238 |
| **D | DFA INTERNATIONAL CORE EQUITY FUND AZL |
0 | 657.558 75.038 |
558 75.038 657. |
| **D | POLICE EMPLOYEES RETIREMENT SYSTEM MÜNICIPAL |
0 | 162.760 | 162.760 |
| * * D | E EQUITY XIEID EX US HIGH DIVIDEND NORILD ALL MSCI XTRACKERS |
0 | 21.300 | 300 21. |
| **D | ETF DIVIDEND YIELD EQUITY EAFE HIGH MSCI XTRACKERS |
0 | .357.209 P |
.357.209 P |
| **D | FUND BNY MELLON INTERNATIONAL |
0 | ୧୫ ୧ 96. . 6 I |
- ୧୫୧ - ୧୫୧ โ |
| **D | UCITS ETF EUROZONE ALPHADEX TRUST FIRST |
0 | 76.725 | 76.725 |
| **D | FUND OF COOK COUNTY AND BENEFIT EMPLOYEES ANNUITY COUNTY |
0 | 295.170 | 295.170 |
| D D |
NTUC INCOME INSURANCE CO OPERATIVE LIMITED BLC MSV LIFE MAPFRE |
278 8 - |
.278 ಿ |
|
| **D | EUROPEAN EQUITY FUND PRUDENTIAL вос |
0 | ਰ ਦੇ ਰ 167. |
6 95 167. |
| **D | GLOBAL EQUITY FUND PRUDENTIAL BOC |
91.717 85.227 |
85.227 91.717 |
|
| **D | EUROPEAN INDEX FUND PRUDENTIAL вос |
0 | 90-450 b |
490.450 |
| **D | LAWRENCE LIVERMORE NATIONAL SECURITY LLC AND TRIAD NATIONAL SECURITY LIC DEFINED BENEFIT PLAN GROUP TRUST | 187.231 | 187.231 | |
| **D | ALABAMA TRUST FUND | 270.779 | 270.779 | |
| D D |
PENSION TRUST MASTER INDUSTRIES INC ELECTRIC HAWAIIAN |
288-252 | 288.252 | |
| **D | ELECTRIC INDUSTRIES INC MASTER VEBA TRUST HAWAIIAN |
559 29. |
29.559 | |
| **D | SISTERS OF CHARITY OF LEAVENWORTH HEALTH SYSTEM MASTER TRUST ALASKA PERMANENT FUND CORPORATION |
307 466.044 124 |
124.307 466-044 |
|
| Pagina 28 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| Azionisti in proprio: | 3.316 Azionisti in delega: 11 |
|||
886

( June)
10 maggio 2023 16.43.41
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (delberazione voo viocolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio 0 |
Delega .890.000 b |
Totale .890.000 D |
|---|---|---|---|---|
| D D |
KOOKMIN BANK ACTING AS TRUSTEE OF SAMSUNG EUROPEAN ESG SECURITIES MASTER INVESTINENT TRUST EQUITY ILMARINEN MUTUAL PENSION INSURANCE CO |
0 | 62.700 | 62.700 |
| **D | PMPT INKA FONDS | 420.917 | 420.917 | |
| **D | MULTI FACTO PRIVATELY PLACED MASTER KOOKMIN BANK ACTING AS TRUSTEE OF MIRAE ASSET TRIUMPH |
0 | ર ર વ 118. |
118.654 |
| **D | PBEAKK INKA |
0 0 |
974 .058. ા |
-284.530 .974 . 058 L L |
| **D | RETTR PENNSYLVANIA PUBLIC SCHOOL EMPLOYEES OF COMMONWEALTH |
0 | .284.530 79.400 L |
79.400 |
| D D |
SYSTEM RETIREMENT FUND MULTI ASSET INCOME STATE EMPLOYEES IVY APOLLO LOUISIANA |
0 | .960.393 T |
960.393 T |
| **D | SYSTEM OF NEVADA RETIREMENT EMPLOYEES PUBLIC |
0 | 801 .338. S |
338.801 C |
| **D | NEVADA or SYSTEM RETIREMENT EMPLOYEES PUBLIC |
0 | .357.291 ਟ |
357.291 ਟ |
| **D | INVESTMENT FUND BENEFITS RETIREMENT |
0 | 79.716 | 9.716 1 |
| **D | LTD CO REINSURANCE POOL |
0 | 6.701 । ਦ |
45.929 166.701 |
| **D | DEVELOPED INTERNATIONAL INDEX FUND SERIES PENN |
0 0 |
б 571.013 92 45 - |
|
| * * D **D |
FONT RESERVES INVESTMENT TRUST FUNDS ICAV BLACKROCK SOLUTIONS PENSION |
0 | 426-203 10. |
571.013 426.203 0 ไ |
| **D | DAKOTA SOUTH OF STATE |
0 | 23.364 | 23-364 |
| **D | SOUTH DAKOTA RETIREMENT SYSTEM | 0 | 6 306.39 |
б 06.39 3 |
| **D | OF HAWAII STATE THE SYSTEM OF RETIREMENT ENDLOYEES |
0 | 142.061 | 142.061 |
| **D | TRUST MASTER FOODS SNITHFIELD |
0 | S 8 4 |
845 |
| **D | SCHOLARSHIP FUND GOVERNMENT HKSAR THE |
0 | 4 - 000 | 4.000 |
| **D | TRUST DEC FACILITIES QUAL CO NUCLEAR ELEC GAS AND DIEGO SAN |
0 | 89-011 | 89.011 |
| **D | TRUSTEE SERVICES LIMITED AS DEPOSITARY NATWEST TRUSTEE AND |
0 | 225.393 | 225.393 |
| **D | MANAGER INTERNATIONAL FACTORS FUND MÜLTI VOYA |
0 0 |
167.909 352.308 |
67.909 52.300 L ా |
| **D | DECOMMISSIONING QUALIFIED NUCLEAR ENERGY DUKE |
0 | 14.540 | 14.540 |
| D D |
ETF INTERNATIONAL DEVELOPED DYNAMIC MULTIFACTOR EDUCATION FUND INVESCO QUALITY |
0 | 24,262 | 24.262 |
| * * D | OHIO SYSTEM OF RETIREMENT EMPLOYEES PUBLIC |
0 | 994.799 | 994.799 |
| **D | LIMITED PLANNING ADVANCE |
G | S 27.65 |
27 - 655 |
| **D | LIMITED ARRANGEMENT PRE DIGNITY |
G | 40.375 | 40.375 |
| **D | SYSTEM PUBLIC RETIREMENT INDIANA |
0 | 106.497 | 06.497 I |
| **D | EQUITY TRUST ROBECO BOSTON PARTNERS GLOBAL PORTFOLIÓ ROBECO |
0 | 01.251 | 91.251 |
| **D | GESELLSCHAFTMBH ON BEHALF OF AEKSAAR MASTERFONDS INVESTMENT UNIVERSAL |
0 | 65.000 | 65.000 |
| **D | RETIREMENT ASSOCIATION OF NEW MEXICO PUBLIC EMPLOYEES |
0 | 73.660 60.217 |
73.660 60.217 |
| **D | IN AMERICA LUTHERAN CHURCH EVANGELICAL THE OF PENSIONS BOARD OF |
39-630 | 39.630 | |
| * * D | ГБ ALL WEATHER SUSTAINABILITY BRIDGEWATER |
22.135 | 22.135 | |
| ++D **D |
BEDRIJFSTAKPENSIOENFONDS VOOR DE ZOETWARENINDUSTR TRUST UPS GROUP STICHTING |
84.321 | 84.321 | |
| **D | BEDRIJFSPENSIOENFONDS VOOR HET STICHTING |
04.158 | 84.158 | |
| **D | DWS INVESTMENT GMBH | 70-272 | 70.272 | |
| **D | PRIVATE WEALTH FIRST PRIVATE INVESTMENT MANAGEMENT KAG MBH FIRST |
57-358 | 358 57. |
|
| **D | ADVANCED SERIES TRUST AST ACADEMIC STRATEGIES ASSET ALLOCATION PORTFOLIO | 407.119 | 407.119 | |
| **D | SYSTEM RETIREMENT FLORIDA |
3.964.751 | 3.964.751 | |
| **D | FUND DEVELOPED MARKETS INDEX PGIM QMA INTERNATIONAL |
20.753 | 28.753 | |
| **D | MUTUAL LIMITED ENERGY INSURANCE |
0 | 50.254 | 50.254 |
| **D | ON TON SALARIED AND HOURLY HORKS MIDDLETOWN |
б 5 . 1 22 |
22.159 | |
| **D | COMPANY INSURANÇE METROPOLITAN LIFE |
0 | 352.768 223.357 |
352.768 223-357 |
| D D |
992341 ENDLOYEES RELIBERENT SYSTEM r b 11 PUBLIC IOWA |
45.906 | 45.906 | |
| **D | SHERIFFS PENSION AND RELIEF FUND SUSTAINABILITY ALLWEATHER BM |
.700 b |
.700 র্ব |
|
| **D | Portific EDGE SMART GRID INFRASTRUCTURE UCITS TRUST NASDAQ CLEAN TRUST GLOBAL FUNDS PLC FIRST FIRST |
0 16.22 |
8 16.22 |
|
| Pagina 29 | ||||
| A Zionisti ' | 21 Teste 3 327 |

3.316
Azionisti in delega:
11
Azionisti in proprio:
راند ا
EMARKET
SDIR certified
贸关

Ogetto: Relazione sulla politica di remunezi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione non vincolarte) FAVOREVOLI
| Totale 46.245 |
7.232 | 771 135.663 90 - 1 |
01.921 0 |
- 485 - 686 L |
000 5. 6.19! |
.742.234 m |
253 51. |
22.358 | 947.720 601.625 |
141.654 | 483-596 | 540.000 1 |
.554.773 ﺎ |
3.124.407 | 5.745 90 6 ไ |
ნ 8 |
91 424.751 6.0 |
573 7 - |
.031.993 T |
88 9 - 8 |
560.450 | 6.708 | 62.509 | 61.306 | 21.806 | 121.127 | 50.000 ਟ |
218.456 256.960 |
146-024 | 129.912 | 14.484 | 60.100 | б 4.38 |
7.100 | 704.045 S 199.49 |
б 34.40 |
2.359 | 12.893 | 2.123.323 | 143.650 | 178.847 | 527.968 1.431.335 |
25.730 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 46.245 |
7.232 | 35.663 0,771 பி ไ 1 |
401.921 | . 485 - 686 T |
6.195.000 | .742.234 E |
51.253 | 22.358 | 947.728 601.625 |
141.654 | જે ર ഹ 483 - |
.540.000 I |
554.773 T |
07 3.124.4 |
5.745 O б . g 8 б C |
و 1 424.751 6.0 |
573 7. |
031.993 T |
8 8 و - ه |
0 560.45 |
6.708 | . 509 ୧2 |
61-306 | 21.806 | 121.127 | 250.000 | 9 256.960 218.45 |
146-024 | 129.912 | P 14.48 |
60.100 | ర 38 b |
7.100 | S പ 704.04 199.49 |
ర 34.40 |
6 35 2 - |
12.99 | 2.123.323 | 143.650 | 178.847 | 1.431.335 527.968 |
25.730 | |||
| 0 Propri |
0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | o a | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 00 | 00 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | C | 0 | 0 | |||||||||
| Pagina 30 | |||||||||||||||||||||||||||||||||||||||||||||
| 21 | |||||||||||||||||||||||||||||||||||||||||||||
| FLORIDA BIRTH RELATED NEUROLOGICAL INJURY COMPENSATION ASSOCIATION | FLEXIBLE | DIS TRIBUZIONE | |||||||||||||||||||||||||||||||||||||||||||
| AANVULLENDE ZIEKTEKOSTENVERZEKERINGEN NV | SCHADEVERZEKERING NV IEVENSVERSEKERING NA |
SPA / AMUNDI RISPARMIO ITALIA | / AMUNDI SVILUPPO ITALIA | ROTATION SECTORIELLE | ACTIONS INTERNATIONALES | SPA/AMUNDI ELITE MULTI ASSET AMUNDI BILANCIATO PIÙ / |
US POCHE ACTION | / OBBLIGAZIONARIO PIU` A | EQUITY CLIMATE | EURO EQUITY | - LOW VOLATILITY EQ | 20 - SGAM | BRIDGE BUILDER INT EQUITY FUND FONDS N2 |
INTERNAT INC. - AB |
METZLER INTERNATIONAL INVESTME | 19:13 | 405 | MAR SICAV III - DYNAMIC ALL |
I SR ACTIONS INTERNATIONALES |
OFI INVEST ESG ACTIONS CROI | PATHWAY FUNDS | AFFINITY WORLD LEADERS EQUITY | ALL MARKET INCOME | ACTIONS CROISSANCE | SUP DVD ED MOT | TR-BLKRK GL INV | EUROZONE EQUITY | DNCA ACTIONS EUROPE CLIM | DESTINATIONS EQUITY INCOME FUN EUROPEAN EQUITY |
AB SICAV I-SUSTAIN ALL MK PORT | Teste: 3.327 |
||||||||||||||
| Ragione Sociale | ASR | ASR | STICHTING ASR BEWAARDER ASR |
SGR AMUNDI |
SPA SGR AMUNDI |
SPA ട്ടു AMUNDI |
ETOILE | ETOILE | SPA SGR SGR AMUNDI AMUNDI |
ONS ACTI ETOILE |
SPA 5GK AMUNDI |
ESG INVEST OFI |
ESG OFI INVEST |
AB SICAV I | SG DNCA ACTIONS EUROPE ISR | ANDROS | STAUBLI 80 | ASTRAZENECA | AB CAP FUND, | GSK ACTIONS | VOLKSWAGEN | SEI GLOBAL MASTER FUND PLC | DIVERSIFIE ISR PART ട്ട് |
AB | SG | ES | KOKUSAI EQUITY INDEX FUND HALEVY A2 |
STANLEY MORGAN |
PASTEUR ISR | AB SICAV I - | OFI INVEST | BK JP-RE GL cus |
SOGECAP PROTÉCTED EQUITIES HALEVY A1 |
INVESTISSEMENT 101 AUTRES | SR A BLK MAGI |
6 A UE |
SICAV I - AB |
કુટ | IRCEC CASSETTE DIVERSIFIE | AB ŞICAV I - | |||||
| Badge **D |
**D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | * * D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | D D |
**D | Azionisti: |

3.316
11· Azionisti in delega:
| y | IU maggio 2023 16.43.41 |
|---|---|
Ogetto: Relazione sulla política di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione von vinelante) FAVOREVOLI
| Totale | 927.636 | 27.573 | 12.760 | 315.708 | 923 | 55.000 | 105.147 | 461 | 23.020 | 91.551 | 407 | 588.939 | 892.093 | 4.395.408 | 400.000 | 776.106 | 580.345 | ടെയ 9. |
447.663 | 6.997 | 159.240 | 630.000 | 1-051-096 | 33-447 | 411.108 | 2.714.703 | 444 - 698 | 19.447 | 180.166 | 30-087 | 369.112 | 415.051 | ਰੇ ਦੇ ਪ ਦਰ - |
10.090 | 374.315 | 25.214 | 27.089 | 8.426 | . 206 92 |
11.284 | 896.296 | 98 343.4 |
10.015 | 7.804 | 11.510 | 081 14 - |
3-789-630 | 19.636 | 11.034 | 88 5.5 |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 927.636 | 27.573 | 12.760 | 315.708 | 923 | 55.000 | 105.147 | ه E J | 23.020 | 91.551 | 407 | 500.939 | 892.093 | 4.395.408 | 400.000 | 776-106 | 580-345 | 80 S 9. |
447.663 | 6.997 | 159.240 | 630.000 | 1.051.096 | 33.447 | 0 411.10 |
2.714.703 | B 444.69 |
19-447 | 180.166 | 30-087 | 369.112 | 415.051 | ਰੇ ਦੇ ਪ ਵਰ . |
10.090 | 374.315 | 25.214 | 27.089 | 8.426 | 92.206 | 11.284 | ਣ ਰੇ ਦ ਰੇ ਦੇ - 8 |
343-498 | 10.015 | 7.804 | 11.510 | 14.081 | 3.789.630 | 19.636 | 11.834 | 5-588 | ||
| Proprio | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | O | ර ප | O | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | ||||||||
| Pagina 31 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| 71 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| CORE STOXX | САР | ACTIONS CROISSA | TAX MAN INT EQ | ESG LEADERS | SOSTENIB | 24 PROG CED 04 |
Teste: 3 327 |
|||||||||||||||||||||||||||||||||||||||||||||
| Ragione Sociale | MAAF ASSURANCES SA | FCP FONDATION MEDERIC ALSHEIME | PROTEC BTP | SILVER INVESCO EURO EQUITY | LE FINISTERE ASSURANCE | ALLIANZ | AB SICAV I - LOW VOLATILITY | SEGALL BRYANT HAMILL INT FD | SEB GENERATION PLUS THEODOR-HE | TYXINDEX - LYXOR GLOBBL GENDER | FASSON | LYXOR-MSCI EMU ESG BROD CTB (D | ED-LYXOR CORE EURO STO LYX IND |
FD-LYXOR LYX IND |
INTERNAT DVD INCOME FD EUROPAC |
TYXINDEX FUND - LYXOR MSCI | MULTI UNITS LUX-LYXOR CORE MSC | NET ZERO TRANS ETF NUVEEN GL |
LYXOR CORE MSCI WORLD (DR) UCI | DIVERSIFIÉ ACTIONS 50-65 | FTSE IT ALL MUL- LYX |
OFI INVEST ESG | BRIDGE BUILDER | WORLD CLIMATE ਲਟਿੰਗ MUL-LYXOR |
ESG DYNAMIQUE EURO OFI INVEST |
EUROPE LYXOR MSCI |
ESG EQUILIBRE EURO OFI INVEST |
AB SICAV I-GL ESG IMPROV PORT | ESG PRUDENT EURO OFI INVEST |
EUROPE INVEST |
OFI INVEST ISR ACTIONS EURO | BLACKROCK GLB ALLOCATION FUND | OFI INVEST PATRIMOINE | PSSF-PROGETTO AZIONE SOSTENIBI | FER ACTIONS MONDE | ZERO 2050 SP WORLD MUL-LYX NET |
PROGETTO AZIONE l |
INVEST DIVERSIFIE | ITE-TYXOR MSCI MORID CATHOL | - PROGETTO CEDOLA 06 2023 | DYNAMIQUE MONDE M INVEST |
INVEST ISR VALEURS EURO | - PROGETTO CEDOLA 07 2023 | AFER PATRIMOINE | IT AMUNDI SOLUZ |
ASI - PROGETTO CEDOLA 09 | AFER ACTIONS EURO ISR | PERFORMANCE OFI INVEST |
OFI INVEST ISR PATRIMOINE MOND | REBOND OFI INVEST |
||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | OFI **D |
**D | **D | **D | **D | **D | **D | ASI **D |
OFI **D |
**D | ASI **D |
OFI * * D |
OFI **D |
ASI **D |
**D | **D | **D | **D | **D | **D | **D | A zinnisti |
ക്കുറ

(120
3.316
l l Azionisti in delega:
| 7 | |
|---|---|
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunerai corrisposti - Seconda Secione: relazione sui compesi corrisposti nel 2022 (deiberazione non vincolante) FAVOREVOLI
| 118.005 Totale |
84.577 | 479.540 | 178.401 | 1.634 | 121.000 | 13.398 | 7-014 | 5.299 | 653.711 | 128 - 500 | 589.185 | 514.229 | 10-876 | 10.256 | 24.551 | 218.202 | 271.371 | 76.017 | 9.781 5 |
852 ea - |
176.179 | 75.672 | 23.411 | 3.012.249 | 2.387.868 | 31.856 | 510.000 | 133.082 | 226.887 | 521.663 | .286 ਤੋ |
102.738 | 2-669.340 | 163.500 | 6.624 | 80 117-8 |
323-757 | 80 15.0 |
382.620 | 120.000 | 5.773.403 | 2.000 | 250.838 | 161.655 | 219-954 | 372.543 | 215.454 | 36.116 | 5.478.000 | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 17 118-00 |
84.577 | 479.540 | 178-401 | 1.634 | 0 00 121. |
13.398 | 7.014 | 299 5. |
53.711 9 |
128.500 | 185 589 - |
514.229 | 10.876 | 10.256 | 551 24. |
202 218. |
271.371 | 76.017 | 59.781 | 69.852 | 176.179 | 75.672 | 23.411 | 3.012.249 | 2.387.868 | 856 31. |
000 510. |
133.082 | 226.887 | 521.663 | 286 3. |
102-738 | 2.669.340 | 163.500 | 6.624 | 117-880 | 323.757 | 15.080 | 382.620 | 120.000 | 5.773.403 | 2.000 | 8 250.83 |
5 161.65 |
219.954 | 372.543 | 215.454 | 36.116 | 5.478.000 | |||
| Proprio 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | |||||||
| Pagina 32 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| 21 | ||||||||||||||||||||||||||||||||||||||||||||||||||||
| INVEST ISR VALEURS EUROPE | - PROGETTO SVILUPPO ORIENT | INVEST EQUILIBRE MONDE | SVILUPPO GLOBAL | AMUNDI BRIDGEWATER ALL WEATHER | CITTA PROGETTO AZIONE |
ASSET GR ICAV GLOBAL MULTI |
PROGETTO AZIONE | FUND MULTI-ASSET VARIO |
MSCI EUROPE UCITS ETF | EMG EUROPE NUMERIC INVESTORS | RENDEMENT ISR | EUROPE | 2023 2023 12 10 CEDOLA |
CEDOLA | 2024 PROGETTO CEDOLA 01 |
EMU EQUITY | EUROPEAN EQUITY | AIF-MULTI-ASSET TEODORICO | AIF- TACTICAL PORTFOLIO INCOME | ASI-PROG AZION CIITA FUTURE II | BILANCIATO PERCORSO ATT | BIL PERCORSO ATTIVO II | PROG AZIONE INFRAS SOST | PROG AZ INFRASTRUTT SOS II | GLOBAL FUND-OFI INVEST ACT4 | AM SF-EUR EQU OPTIMAL VOLAT | CS-INVESCO PAN EUROPEAN HIGH | PORT-BLKRK SRS FD | ട ALL VI FD-BLKRK VAR |
I-GL VALUE PORT | TAGD MIK CS GT HGH |
FD (AUST) LEVEL | FD INF EQ MOT GL |
PUR JP-RE GL HIGH YIELD |
I - DYN DIVIFIED PORT | GL CL INF | EQUI-DEVELOPPEMENT DURABLE | DE ACTIVOS | J SUNDERMEIJER BEHEER B V | MLC INVESTMENTS, MLC LIMITED | LIMITED INVESTMENTS, MLC |
MLC INVESTMENTS, MLC LIMITED | Teste: 3.327 |
|||||||||
| Ragione Sociale OFI |
ASI | OFI | - PROGETTO ASI |
l ASI |
AFS | । ASI |
AFS - | LYXOR | ETOILE ACTIONS | ENERGIE ETOILE |
PROGETTO ASI - |
PROGETTO l ASI |
l ASI |
AMIF - | P AMIE |
AMUNDI TOTAL RETURN | । ASI |
l ASI |
l ASI |
ASI | ASI BIL PER ATTIVO III | AMUNDI AUSTRIA | ALL GL BIKK |
GL BLKRK |
AB FCP | CUS BK JP-RE | GL ALL BLKRK |
JP-RE вк cus |
cus BK | AB FCP | NUVEEN GL INV FD-NUV | BANKINTER GESTION | MI.C. | EQUIPSUPER | LGIASUPÉR | PRIME SUPER | SPAR NORD BANK | |||||||||||||||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | * * D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | Azionisti: |
EMARKET
SDIR
CRIFF
ﻣﺎ ﻳﻜﺘﺐ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ
00
3.316
11 Azionisti in delega:
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunerisposi - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (dellberazione non vincolarte) FAVOREVOLI
| SUNCORD FUNDS PTY LTD Ragione Sociale |
Proprio | Delega J BE 23. |
Totale 23.186 |
|||
|---|---|---|---|---|---|---|
| UBS ASSET | MANAGEMENT (AUSTRALIA) LTD | 369.626 | 369-626 | |||
| FONDATION BOTNAR UBS FUND |
(SWITZERLAND) AG. MANAGEMÉNT |
0 | 083 279.961 458. |
458.003 | ||
| SUISSE CREDIT |
ਸਟ FUNDS |
77.693 | 279.961 77.693 |
|||
| SUISSE CREDIT |
FUNDS AG | 99.714 | 99-714 | |||
| GOVERNMENT OF NORWAY NORGES BANK |
378 . 883 . L |
.883.378 L |
||||
| ASSET | CCF MANAGÉMÉNT ÉXCHANGÉ UCITS |
168-123.756 .567.757 I |
68.123-756 .567.757 T T |
|||
| ASSET | MANAGEMENT EXCHANGE UCITS CCF | 511.632 | 511.632 | |||
| LEGAL AND GENERAL CCF | 341.715 | 341.715 | ||||
| SCHLUMBERGER | FUND LIMITED COMMON INVESTMENT |
882 60. |
882 60. |
|||
| GIC PRIVATE LIMITED | 305 232. |
232.305 | ||||
| BOTSWANA - BANK OF |
60.659 | 60.659 | ||||
| GENERAL | INSURANCE FOR SOCIAL ORGANISATION |
-823.401 ഗ |
5.823.401 | |||
| INTERNATIONAL MONETARY FUND RETIRED STAFF BENEFITS INVESTMENT ACCOUNT STAFF RETIREMENT FUND INTER-AMERICAN DEVELOPMENT BANK |
780 13.765 179. |
179.780 | ||||
| POST-RETIREMENT BENE BANK INTER-AMERICAN DEVELOPMENT |
FITS FUN | 83.295 | 13.765 83.295 |
|||
| CHURCH OF ENGLAND INVESTMENT FUND FOR PENSIONS | 901 541. |
541.901 | ||||
| WHEELS COMMON INVESTMENT FUND. | ਵ ਤੇ ਰੋ 21. |
539 21 - |
||||
| STICHTING BEDRIJFSTAKPENSIOENFONDS VOOR DE DETAILHANDEL | 2.899.971 | 2.899.971 | ||||
| LEGAL & | GENERAL DIVERSIFIED FUND | 8.147 | 8.147 | |||
| PREMIER | MITON EUROPEAN EQUITY INCOME FUND | 17.781 | 17.781 | |||
| AND LEGAL |
TRUST INDEX EUROPEAN GENERAL |
3.784.452 | 3-784-452 | |||
| AND LEGAL |
INDEX FUND GLOBAL EQUITY GENERAL |
41.876 | 41.876 | |||
| GENERAL ર્દ LEGAL |
CLIMATE CHANGE EQUITY HORILD FUTURE |
FACTORS I | ਕੇ ਦੇ ਰੋ 87. ไ |
87.969 T |
||
| GENERAL ঞ্জ LEGAL |
INDEX FUND DEVELOPED ESG WORLD FUTURE |
ਦੇ ਰੋ 146. |
146.589 | |||
| GENERAL હ BEGAL |
EUROPE EX UK INDEX ESG WORLD FUTURE |
FUND | 66.210 | 66.210 | ||
| JUPITER | RESPONSIBLE INCOME FUND. . | 0 | 273.600 | 273.608 | ||
| GENERAL ટ LEGAL LEGAL |
FOND MULTI-ASSET TARGET RETURN |
186.949 | 186.949 | |||
| PREMIER | MITON GLOBAL INFRASTRUCTURE INCOME FUND AND GENERAL INTERNATIONAL INDEX TRUST |
500.724 | 580.724 | |||
| UCITS SISOMBO |
CCF | 425.000 | 425.000 | |||
| LLC PERMANENT FUND INVESTMENTS |
226 34 . |
34.226 | ||||
| KBI GLOBAL INVESTMENT FUND | 113"98 | 16.311 | ||||
| BARCLAYS | FUND PLC MULTI-MANAGER |
117.673 097 0. 6 |
117.673 | |||
| LEGAL | & GENERAL ICAV. | 264.197 | 90.097 264.197 |
|||
| STREET STATE |
TRUST GLOBAL ADVISORS GROSS ROLL UP UNIT |
595 64. |
64.595 | |||
| PRESCIENT ICAV | 569 97 . |
97.569 | ||||
| MONTLAKE | UCITS PLATFORM ICAV | 187.466 | 187.466 | |||
| ATLAS | ICAV GLOBAL INFRASTRUCTURE UCITS |
.569.306 2 ਤੋ |
23.569.306 | |||
| KBI FUNDS ICAV | 21.954.249 | 2 4 9 954 . 21 |
||||
| NORTHERN TRUST UCITS FGR FUND | 1.027.965 | .027.965 ો |
||||
| VERDIPAPIRFONDET | 구 INDEX AKSJEGLOBAL KLP |
2-231.943 | 2.231.943 | |||
| VERDIPAPIRFONDET | ﻠ INDEKS AK5JEEUROPA ктр |
0 | 508.628 | 508.628 | ||
| LEGAL & GENERAL SICAV. | 92 ర 29. |
- 992 ਣ ਕੋ |
||||
| THE PENSION | CHURCH OF CHRIST INC. BOARDS-UNITED |
0 | 33.516 | 33.516 | ||
| TRUST NORTHERN |
INDEX (ACWI) ALL COUNTRY WORLD COMMON |
EX-US F | 0 | 420.716 | 420.716 | |
| NORTHERN | LENDING TRUST COMMON EAFE INDEX FUND - |
411.227 | 411.227 | |||
| TRUST. THE COCA-COLA COMPANY MASTER RETIREMENT |
0 | 87.611 | 87 - 611 | |||
| Pagina 33 | ||||||
| Teste: 3.327 |
21 | |||||
| Azionisti in delega: 11 |
3.316 | |||||
| Azionisti in proprio: |
EMARKET
SDIR
GRTIFFE
ู้มี
Scalin alle
ﺍﻟﻌﻤﻞ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ
ENEL S.p.A.
Oggetto: Relazione sul compensi corrisposti - Seconda Sezione: relazione: relazione: relazione sui composti corrisposti nel 2022 (delberazione non vinolante) FAVOREVOLI
| Totale 1.040.823 |
0 . ਟਰੋ 611 |
10.874 | 99.574 | 871 .779.934 371. ਨ |
3 9 6 .164-531 82. ক |
697 73. |
817 673 - |
302.630 | 080 200. |
કે છે દ 90 . |
813 .933. |
ર 50 .328. б |
ਰੇ ਰੇ . 855 . 689 б .954. B t |
166 524. |
.274.779 T |
408 б 8 |
238 971. m |
116.131 | 256 185 . |
510 . 993 I |
387 8. 35 |
ਤੇ ਰੇਖ ਤ ਦੇ . |
74.460 | 818 8-072 б |
રે ર S ਕੇ ਤੋ |
6.154 б |
20.193 | 3.184 | 44.560 | 1.179.460 | 12.576 16.36 |
16.480 | 507-717 | 9 104 - 40 |
1-875 | 3.559 | .876 L |
. 874 L |
33.613 1.879 |
87.170 ਰੇ ਦੇ ਉ E |
71.291 | 054 67 - L |
|||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 1.040.823 |
611.590 | 10.874 | 99.574 | 2.779.934 | 371.871 | 9 4.164.531 82.39 |
73.697 | 673.817 | 02.630 E |
200.08 | 90.906 | . 933.813 I |
328-650 ರಿ - |
ਕੇ ਹੋ ਰੇ .855.689 1.954. ದ |
JEE 524. |
.274.779 T |
. 400 б ப |
238 3.971. |
116.131 | .256 185 |
510 ਰੇ ਤੋ 8 T |
358.387 | 35.398 | 74.460 | 98.072 818 |
ર્ટક 43 - |
96.154 | 20.193 | . 184 రా |
44.560 | .179.460 T |
576 S 6.36 ਟ L L |
0 6.48 L |
-717 07 S |
04-406 T |
u . 87 ไ |
6 . 55 E |
.876 ﺎ |
1.874 | 33.613 | 1.879 0 |
87.170 ਹੇ ਧੋ € |
71.291 | 767.05 | |||
| Proprio | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
C | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | ||||||||||||||||||||||||
| Pagina 34 | |||||||||||||||||||||||||||||||||||||||||||||||
| TRI-STA | F ದ FUTURE FORCIRE |
THE MEDI. | THE MEDI | FUND. | REFUGEE | ON | 21 | 3.316 | |||||||||||||||||||||||||||||||||||||||
| CITY OF PHILADELPHIA PUBLIC EMPLOYEES RETIREMENT SYSTEM. | FRESNO COUNTY EMPLOYEES. RETIREMENT ASSOCIATION. | PARTICIPATING FOOD INDUSTRY EMPLOYERS | FOND PENSION |
FUND EMPIOXEES PENSION |
FUND PASSIVE EQUITY PLC. |
WHOLESALE MULTI-MANAGER INTERNATIONAL SHARE FUND | EQUITIES TRUST | PENSIOENFONDS SAGITTARIUS | PENSIOENFONDS | PENSIOENFONDS | EMPLOYEES RETIREMENT ASSOCIATION OF COLORADO | OF BEHALF OF BEHALF ON ON GUARDIANS FOR AND |
FOR AND OF GUARDIANS |
OF BEHALF ON GUARDIANS FOR AND |
OF ON BEHALF FOR AND GUARDIANS |
FUND COMMON CONTRACTUAL |
50 INVESTMENT FUND |
SHARE FUND 30 | SHARES FUND | STATE WHOLESALE INDEXED GLOBAL SHARE | FOR PALESTINE AGENCY AND WORKS |
9/13 FAMILY TRUST UAD 03/1 |
TRUST REV TRUST. |
S. ROBSON WALTON 2009 GRAT NO. 4 ARTICLE II TRUST | TRUST PLAN |
TRUST PLAN |
FUND NON-LENDING INDEX EAFE |
CHICAGO TRANSIT AUTHORITY RETIREE HEALTHCARE TRUST | FOR MELANIE B. WERL U/I DATED SEPTEMBER 3. | JOEL G. BROIDA FOR |
MARNA J. BROIDA FOR |
DIOCESE OF ARLINGT THE PLAN OF |
BROIDA | NORTHERN TRUST COMMON ALL COUNTRY WORLD EX-US INVESTABLE MAR | Teste: 3.327 |
Azionisti in delega: 11 |
|||||||||||
| Ragione Sociale | UNION AND UFCW |
ENDTOXEES CARE HOME 1 1 9 9 |
11995EIU HEALTH CARE | 1199 SEIU GREATER NEW YORK PENSION FUND | NEW IRELAND ASSURANCE COMPANY GLOBAL DEVELOPED MARKET |
INTERNATIONAL SHARES INDEX FUND BT BT |
WSSP INTERNATIONAL | STICHTING | HEINEKEN STICHTING |
PME STICHTING |
PUBLIC | BOARD OF FUND FUTURE |
MRFF INVESTMENT COMPANY NO. 2 PTY LTD BOARD FUND FOTOGE |
BOARD OF FUND FUTURE |
OF BOARD FUND FUTURE |
UCITS TRUST NORTHERN |
STATE FIRST COLONIAL |
GLOBAL COMMONWEALTH |
GLOBAL COMMONWEALTH |
FIRST COLONIAL |
RELIEF NATIONS UNITED |
WALTON THOMAS L. |
2010 WALTON MATT J. WOLLMAN ROBSON s. |
ZOMA FOUNDATION | PENSION PERSONAL IBM |
PENSION PERSONAL IBN |
TRUST NO. 3 UAD 9/19/02 JTW |
NORTHERN TRUST COMMON | GREEN CORPORATION JOSHUA |
FOUNDATION CORPORATION CHAI MOZILLA AVI |
ALW 2010 FAMILY TRUST לא ב |
TRUST RESIDUARY DB |
ACORN 1998 TRUST | RESIDUARY TRUST DB |
TRUST RESIDUARY DB |
EMPLOYEES. RETIREMENT | DB RESIDUARY TRUST FOR RICHARD A. | POTTER TRUST STEPHEN N |
IMPACTASSETS INC | NATIONAL PHILANTHROPIC TRUST | |||||||
| Badge **D |
**D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | Azionisti: | Azionisti in proprio: |
દ્વાર

Sager Jall
(100
10 maggio 2023 16.43.41
Oggetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione sui compensi corrisposti nel 2022 (dell'erazione non vincolante) FAVOREVOLI
| Badge | Ragione Šociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | RETIREMENT PLAN PRESBYTERIAN CHURCH IN AMERICA 403(B) (9) |
0 | 45.905 | 45.905 | |
| **D | UNITED SERVICES AUTOMOBILE ASSOCIATION | O | 34.956 | 34-966 | |
| **D | GOVERNMENT EXCHANGE HONG KONG SPECIAL ADMINISTRATIVE REGION |
0 | 7.207.046 | 7.207.046 | |
| HOSPITAL AUTHORITY PROVIDENT FUND SCHEME | 0 | 67.067 | 67.067 | ||
| **D | 0 | 950.322 | 50.322 ਰੇ |
||
| **D | EXCHANGE HONG KONG SPECIAL ADMINISTRATIVE REGION GOVERNMENT |
0 | 10.589 | 10.589 | |
| **D | DRUGS FUND ASSOCIATION BEAT |
||||
| **D | PENSOES THE FUNDO DE |
0 | 77.212 | 77.212 | |
| **D | LLC FJ INVESTMENTS |
G | 347.844 | 347.844 | |
| **D | LLC. . EVA VALLEY MAI |
0 | 53.499 | 53.499 | |
| **D | FIDDLER PARTNERS LIC | 0 | 4.977 | 4.977 | |
| **D | FOURTH AVENUE INVESTMENT COMPANY | 0 | 44 - 768 | 44.768 | |
| **D | CARNELIAN INVESTMENT MANAGEMENT LLC. | 0 | 159.857 | 159.857 | |
| **D | L. P CYMI EQUITY |
0 | 20.029 | 20.029 | |
| 0 | 3.325 | 3.325 | |||
| **D | CARROLL AVENUE PARTNERS LLC | 0 | 36.646 | 36.646 | |
| **D | DILLON MARKETABLE SECURITIES COMMON TRUST FUND. | 0 | 5.224 | 5.224 | |
| **D | DFI LP EQUITY (PASSIVE | ||||
| **D | LTD INVEST DYNASTY |
0 | 20.711 | 20.711 | |
| **D | DELFINCO LP | 0 | 47.720 | 47.720 | |
| **D | SENTINEL INTERNATIONAL FUND | 0 | 12.074 | 12.074 | |
| **D | THROUGH THE POLICY AND RESO AND STATES OF GUERNSEY ACTING BY |
0 | 1-196 | 1.196 | |
| **D | INTERNATIONAL TRUST SENTINEL |
0 | રવાર રાજ્યના મધ્યમાં આવેલું એક ગામનાં મુખ્યત્વે ખેતી, ખાતમજૂરી તેમ જ પશુપાલન છે. આ ગામમાં મુખ્યત્વે ખેત 79 - |
79.545 | |
| **D | SIM PORTFOLIO LIC | 0 | ਦ ਰੇ 7 16 - |
16.597 | |
| **D | TRUST SOLARI-LANE |
17,702 | 17.702 | ||
| **D | PRO-GEN INVESTMENTS LIC | 10.816 | 10.816 | ||
| 0 | 379 23. |
23.379 | |||
| * * D | ST. JOSEPH HEALTH LONG TERM PORTFOLIO PROVIDENCE |
0 | |||
| **D | LIMITED PARTNERSHIP. . FFIP OMEGA |
33.136 | 33.136 | ||
| **D | 2005 TRUST NO. 2 ARTSFARE |
0 | 21.415 | 21.415 | |
| **D | RDM LIQUID LLC | 146.024 | 146.024 | ||
| **D | COUNTRIES MORID EX-US EQUITY EUND I-P. ROTHKO ALL |
0 | 687 10. |
10.687 | |
| **D | BERNSTEIN TAX-MANAGED GLOBAL STYLE BLEND SERIES | 0 | 131.749 | 131.749 | |
| **D | CINDY SPRINGS LIC. | 0 | 920 189. |
189.920 | |
| **D | JR. TRUSTS MASTER INVESTMENT PARTNERSHI L. BRADLEY THE HARRY |
0 | ਦਰਤੋ 26. |
26.693 | |
| **D | FUND LLC INTERNATIONAL EQUITY |
0 | 103.798 | 103.798 | |
| **D | WEALTH MANAGEMENT LLP C/O JACOBUS MASTER INVESTMENT PARTNERSHIP THE JBUT |
0 | 358 62 - |
62 - 358 | |
| **D | INVESTMENTS LLC LTW |
0 | 576 928. |
928.576 | |
| **D | PARTNERS LLC LEHMAN-STAMM FAMILY |
0 | 2.670 | 2.670 | |
| ** D | LLC EAFE FUND LEGAL & GENERAL MSCI |
0 | 556.020 | 556.020 | |
| **D | LAKE AVENUE INVESTMENTS LLC | 0 | 74-320 | 74.320 | |
| * * D | MACKENZIE GLOBAL ENVIRONMENTAL EQUITY MASTER FUND (CAYMAN) L | 0 | 181.750 | 181.750 | |
| **D | METIS EQUITY TRUST. | 0 | 237.331 | 237.331 | |
| **D | ME INTERNATIONAL FUND LIC | 0 | 15.300 | 15.300 | |
| **D | LUNA LLC | 0 | 6.106 | 6.106 | |
| **D | THE GRAUSTEIN TRUSTS PARTNERSHIP | 0 | 3.365 | 3.365 | |
| **D | INVESTMENT PARTNERSHI HASLAM FAMILY |
0 | 1.321 | 1.321 | |
| **D | EXPATRIATE BENEFIT MASTER TRUST INTERNATIONAL |
30.577 | 30.577 | ||
| **D | GLOBAL BOND FUND | 0 | 168.321 | 168.321 | |
| **D | PORTFOLIO LLC ZOMA CAPITAL |
217,369 | 217.369 | ||
| **D | AVALON PORTFOLIO II LLC | 9 1 - 78 |
1.786 | ||
| **D | LLC FCM INTERNATIONAL |
33.526 | 33.526 | ||
| **D | ASSET LONG/SHORT FUNDLP CBRE CLARION REAL |
0 5.51 |
0 5.51 |
||
| Pagina 35 | |||||
| Azionisti: | 21 Teste: 3.327 |
||||
| Azionisti in proprio: | 3.316 Azionisti in delega: 11 |
||||
883
EMARKET
SDIR certified
| J |
|---|
ENEL S.p.A.
Oggetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione: relazione non vincolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | ||
|---|---|---|---|---|---|---|
| **D | 001 INVESTMENTS LLC | C | 25.102 | 25 - 102 | ||
| **D | THYSSEN GLOBAL INVESTMENTS CORP. | C | 6.784 | 6.784 | ||
| **D | GLOBAL BALANCED TRUST STRATEGIC |
0 | 5.303 L |
5.303 | ||
| **D | MFC INTERNATIONAL FUND LIC | 0 | 9 - 59 ਟ |
12.596 | ||
| **D | MARS REVOCABLE VIRGINIA C. |
6 1991 TRUST DATED AUGUST |
0 | 2.045 | 2.045 | |
| **D | WAM INVESTMENTS LLC | 0 | 8.670 | 8.670 | ||
| **D | GROWTH FUND LP SILVER |
0 C |
. 626 92.430 11 |
626 92.430 11 - |
||
| **D | ATIVO INTERNATIONAL EQUITY | ГБ FUND |
0 | 102.028 | 828 02 . T |
|
| **D | ALPHA FUND LLC. ASCENSION |
0 | 02.217 2 |
02.217 ਟ |
||
| **D | LONGVIEW | INTERNATIONAL VALUE EQUITY COLLECTIVE FUND | LONGVIEW INTERNATIONAL VALUE EQUITY COLLECTIVE FOND | 0 | 383.087 | 383.087 |
| **D | or guan GOVERNMENT |
FUND RETIREMENT |
0 | 785 621. |
621.785 | |
| **D | SH LIMITED. MSCI GENERAL LEGAL & |
SI FUND LIC EAFE |
0 | ਰੇ 2 2 721. |
952 721 . |
|
| **D | K INVESTMENTS | SERIES DBT INTÉRNATIONAL VALUE |
0 | 237.513 | 237.513 | |
| **D | STYTE BERNSTEIN ر SANFORD |
BLEND SERIES & CO |
0 | 43.973 | 973 43. |
|
| D D |
JOINT STAFF GLOBAL UNITED NATIONS BERNSTEIN |
PENSION FUND. | 0 | 000 5.650. |
5.650.000 | |
| **D | MONETARY INTERNATIONAL |
PLAN RETIREMENT STAFF FUND |
0 | 169.347 | 169.347 | |
| **D | MONETARY INTERNATIONAL |
STAFF RETIREMENT PLAN FUND |
0 | 52.148 | 52.148 | |
| **D | POLYTECHNIC NGEE ANN |
0 | 6.476 | 6.476 | ||
| **D | FOR COUNCIL NATIONAL |
PRC FUND SECURITY SOCIAL |
0 | 11.059 | 11.059 | |
| **D | FOR COUNCIL NATIONAL |
PRC FUND SECURITY SOCIAL |
0 | 510 4 94 . |
494.510 | |
| **D | FOR COUNCIL NATIONAL |
PRC FUND SECURITY SOCIAL |
0 | 560.605 | 560.605 | |
| **D | FOR COUNCIL NATIONAL |
PRC FUND SECURITY SOCIAL |
0 | 991.573 | 991.573 | |
| **D | PLAN CHEVRON UK PENSION |
0 | 975 32. |
32.975 | ||
| **D | BAE SYSTEMS PENSION SCHEME | 0 | . 024 2.391 |
-024 .391 2 |
||
| **D | PENSION SCHEME MINEWORKERS . |
0 | જે દર્ણાવવામાં આવેલું એક ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં મુખ્યત્વે તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં પ્રાથમિક શાળા 812. |
812.965 | ||
| **D | FIDELITY | FLEX INTERNATIONAL INDEX FUND SALEM STREET TRUST: FIDELITY |
0 | 81 .7 511 |
511.781 | |
| **D | FIDELITY | INTERNATIONAL VALUE FUND INVESTMENT TRUST: FIDELITY |
0 | 100 9. 0 ਟ |
209.100 | |
| **D | STREET SALEM FIDELITY |
SERIES GLOBAL FIDELITY TRUST : |
EX U.S. INDEX FUND | 0 | 503 11.759. |
11.759.503 |
| **D | STREET SALEM FIDELITY |
INTERNATIONAL FIDELITY TRUST |
SUSTAINABILITY IND EX FUND | 0 | 247.124 | 247-124 |
| **D | ASSET MANAGEMENT WITTINGTON |
LIMITED | 0 0 |
5.403 220.964 S |
55.403 220.964 |
|
| **D | SUPERANNUATION FUND. ZEALAND NEW |
|||||
| **D | STATE | NUINERSITIES BELLBEMENT SASLEN OF INTINOIS | 0 | 3.217.146 | .217.146 € |
|
| **D | COMMONWEALTH | SUPERANNUATION CORPORATION AS TRUSTEE | FOR ARIA | 0 0 |
I S 9 232. |
232.551 |
| **D | PASSIVE MERCER |
FUND INTERNATIONAL SHARES |
0 | 401.145 | 401.145 | |
| **D | PASSIVE MERCER |
SHARES FUND SUSTAINABLE INTERNATIONAL |
8 55.016 |
8 55.016 - 8 4 081 |
||
| **D | FUND EQUITIES OIC LISTED |
0 0 |
B 081.84 1. |
8.518 L |
||
| **D | TRANSITION NT WORLD GREEN |
FOND INDEX |
9 8.51 376.91 |
376.916 ਟ |
||
| **D | COMMONWEALTH GLOBAL | FUND SECURITIES INFRASTRUCTURE |
0 C |
49.39 ਟ 2. |
ਤੇ ਹੋ ਤੇ 249 - |
|
| **D | INTERNATIONAL EQUITIES OIC |
FUND. | 0 | 66.644 | 66 - 644 | |
| **D | INTERNATIONAL OIC |
FUND EQUITIES |
0 | 52.544 | 52-544 | |
| **D | SUPERANNUATION FUNDS MANAGEMENT | OF SOUTH AUSTRAL CORPORATION FEEDER FUND |
0 | . 627 . 257 1 |
.627.257 L |
|
| D D |
ATLAS INFRASTRUCTURE AUSTRALIAN HIGH CONVICTION CO MORRISON & |
FUND INFRASTRUCTURE |
0 | 6.162 | 6.162 | |
| LISTED | FUND INFRASTRUCTURE |
0 | 206.867 | 206.867 | ||
| D D |
COVERNMENT ENDLOYEES MERCER GLOBAL |
BOARD. SUPERANNUATION |
. 537 330 |
537 030 |
||
| * * D | TRUST TESTAMENTARY HRW |
ട NO. |
10.029 | 10-029 | ||
| **D | LAZARD/WILMINGTON INTL | PORT EQUITY |
748.682 | 682 . D 7 d |
||
| **D | TRUST NO. 3 UAD 01/17/03 HRW |
39.490 | ರಿ ರ বা б ಟ |
|||
| **D | TESTAMENTARY TRUST NO. 12. HRW |
57.343 | ਕ ਤੇ 7.3 5 |
|||
| Pagina 36 | ||||||
| Teste: 3.327 |
21 | |||||
| Azıonıştı: | ||||||
| Azionisti in proprio: | Azionisti in delega: 11 |
3.316 |
EMARKET
SDIR certified
ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤ
કુભા
| 7 | 10 maggio 2023 16.43.41 |
|---|---|
Ogetto: Relazione sulla politica di remunerazione: relazione: relazione: relazione sui compezsi corrisposi nel 2022 (dell'orzzione non viscolarie) FAVOREVOLI
| Proprío | Delega | Totale | ||
|---|---|---|---|---|
| Badge **D |
ડ TESTAMENTARY TRUST NO. Ragione Sociale |
0 | б 32.64 |
32.649 |
| 03 HIRW |
0 | B 33.77 |
33.778 | |
| **D | TRUST No. 4 UAD 01/17/ HRW |
0 | 54.593 | 54.593 |
| **D | 7. NO. TRUST TESTAMENTARY HRW |
|||
| **D | ਟ NO. TRUST TESTAMENTARY HRW |
C | 32.139 | 32.139 |
| **D | 8 NO. TRUST TESTAMENTARY HRW |
0 | 26.066 | 26.066 |
| **D | 9. NO. TRUST TESTAMENTARY HRW |
0 | 46.017 | 46.017 |
| **D | TRUST UAD 03/19/13 WALTON FAMILY STEUART L. |
g | 79.233 | 79.233 |
| **D | LOGISTICS RETIREMENT MASTER TRUST XPQ |
0 | 56.987 | 56.987 |
| **D | MEDICAL AND DENTAL DEFENCE UNION OF SCOTLAND THE |
0 | 102.399 | 102.399 |
| **D | CATHOLIC CONFERENCE MASTER PENSION TRUST MICHIGAN |
0 | 32.165 | 32.165 |
| **D | ENDOWNENT FUND INVESTMENT BOARD. IDAHO STATE OF |
0 | 126.611 | 126.611 |
| **D | 9/19/02. UAD ব NO . TRUST JTW |
0 | 43.665 | 43.665 |
| **D | 9/19/02 UAD T NO. TRUST JTW |
0 | 25.713 | 25.713 |
| **D | 9/19/02. UAD ம NO. TRUST ગામમ |
0 | 20.482 | 20-482 |
| **D | 9/19/02 2 UAD JTW TRUST NO. |
0 | 37.736 | 37.736 |
| **D | ARVEST FOUNDATION | 0 | 5.769 | 5.769 |
| **D | ALUMBRA INNOVATIONS FOUNDATION | 0 | 49.547 | 49-547 |
| **D | FORD MOTOR COMPANY DEFINED BENEFIT MASTER TRUST | 0 | 3.420 E |
33.420 |
| **D | DEFINED BENEFIT MASTER TRUST. . COMPANY MOTOR FORD |
0 | 47.736 | 47.736 |
| **D | ESSENTIA HEALTH | 0 | 4.229 ਟ |
24.229 |
| **D | BELLSOUTH. CERTAIN TRUST UNDER EXECUTIVE BENEFIT PLAN (S) FOR |
0 | 3.011 | 13.011 |
| **D | PLAN (S) . BENEFIT EXECUTIVE TRUST UNDER BELLSOUTH CORPORATE |
0 | 52-239 | 52.239 |
| **D | CLINTON NUCLEAR POWER PLANT QUALIFIED FUND. | 0 | 16.691 | 16.691 |
| **D | NORTHERN FUNDS INTERNATIONAL GROWTH EQUITY FUND | 0 | 6.067 1 |
76.067 |
| **D | CYSTIC FIBROSIS FOUNDATION. | 0 | 159.687 | 159.687 |
| **D | COMBUSTION ENGINEERING 524 (G) ASBESTOS PI TRUST | 0 | 13.100 | 13.108 |
| **D | BELLSQUTH TELECOMMUNICATIONS INC. TRUST UNDER EXECUTIVE BENE. | 0 | 219.004 | 219.004 |
| **D | RETIREMENT MASTÉR TRUST CO ELECTRIC EMERSON |
0 | 58.734 | 58.734 |
| **D | FUND BOTTOM UNIT I QUALIFIED PEACH CONSTELLATION |
0 | eao | 690 |
| **D | CATHOLIC CONFERENCE MICHIGAN |
0 | 8.79 T |
18.795 |
| **D | FUND GLOBAL LISTED INFRASTRUCTURE MÜLTI MANAGER NORTHERN |
0 | 2.150.971 | .150.971 ਟ |
| **D | TRUST S. ROBSON WALTON 1999 CHILDRENS |
0 | ರ 37.96 |
37.969 |
| **D | FOND INTERNATIONAL EQUITY ACTIVE M |
0 | 500.471 | 500.471 |
| **D | INDEX FUND FUNDS - INTERNATIONAL EQUITY NORTHERN |
0 | 2.306.766 | 06.766 ದ N |
| **D | THE NEMOURS FOUNDATION PENSION PLAN | 0 0 |
861 20.861 9. |
20.061 9.861 |
| **D | NEMOURS FOUNDATION | |||
| **D | NORTHERN GLOBAL SUSTAINABILITY INDEX FUND | 0 0 |
464.316 40.020 |
64.316 40-020 b |
| D D |
NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE O THE BOARD OF THE PENSION PROTECTION FUND RENAISSANCE |
0 | .685.091 L |
.685.091 T |
| **D | FOUNDATION PRESBYTERIAN CHURCH (USA) |
0 | 238.64 | 238.645 |
| **D | PLAN TR. CASH BALANCE RETIREMENT SERVICES દ્વ HÉALTH PROVIDENCE |
0 | 4.615 | 4.615 |
| **D | INVESTMENT TRUST RETIREMENT RAILROAD NATIONAL |
G | 132.773 | 132.773 |
| **D | NICC COLLECTIVE EUNDS EOR EMBLOYEE BENEFIT TRUSTS | 0 | .549.115 1 |
.549.115 L |
| * * D | HEALTH & SERVICES AND SWEDISH HEALTH SERVICES MAS PROVIDENCE |
7.922 | 7.922 | |
| **D | NORTHERN TRUST GLOBAL INVESTMENTS COLLECTIVE FUNDS TRUST | 8 87.97 ದ 17. |
978 .387. 7 L |
|
| **D | TRUSTEES OF THE HENRY SMITH CHARITY THE |
0 | ર વે ટ 163. |
545 63. t |
| **D | L NO. TRUST TESTAMENTARY ਮੁਕਿੰਘ |
70.769 | 70.769 | |
| **D | ಷ TRUST NO. HRW TESTAMENTARY |
837 19. |
19.837 | |
| D D |
PENSION SCHEME ZURICH FINANCIAL SERVICES UK HRW TRUST NO. 2 UAD 01/17/03 |
69.675 86.912 8 |
a I S 9.675 ર . 8 9 00 |
|
| Pagina 37 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| 3.316 Azionisti in delega: 11 Azionisti in proprio: |
||||

ENEL S.p.A.
J
ENEL S.p.A.
Oggetto: Relazione sulla politica di remunerai corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione ano vinedante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | TRUST NO. 1 UAD 01/17/03 HRW |
71.701 | 71.701 | |
| **D | TESTAMENTARY TRUST NO. 10 HRW |
0 | 24.736 | 24.736 |
| D D |
HRW TESTAMENTARY TRUST NO. 11. | 943 78.570 40. |
40.943 | |
| **D | HRW TESTAMENTARY TRUST NO. 4 FOUNDATION TRUST KELLOGG K- . . |
78.570 | ||
| **D | OPER TRUST COUNTY SHETBY |
29.006 32.492 |
32.492 006 ਰੇ - ন |
|
| **D | FUND FIRE PENSION AND POLICE OHIO |
81 a 561 - C |
2.561.819 | |
| **D | TRUST FUNDS SCHOOL AND INSTITUTIONAL TRUST FUNDS STATE OF UTAH |
61.643 | 61.643 | |
| **D | SYSTEM TENNESSEE RETIREMENT COUNTY SHELBY |
34.895 T |
ક વર્ણ 134 - |
|
| **D | RETIREMENT PLAN POMER ENPLOYEES. WATER AND |
527-248 | 527.248 | |
| **D | DUPONT CHARITABLE TRUST ALFRED I. |
150.458 | 150.450 | |
| **D | CORPORATION MASTER RETIREMENT TRUST ENERGY DUKE |
117.661 | 117.661 | |
| **D | CSAA INSURANCE EXCHANGE | 45.852 | 852 45. |
|
| D D |
CHICAGO EMPLOYEES ANNUITY AND BENEFIT FUND OF OF THE CITY OF DALLAS RETIREMENT FUND MÜNİCİPAL EMPLOYEES |
0 | . 026 37.871 12 |
37.871 2.026 ไ |
| **D | SUPERANNUATION SCHEME COAL STAFF BRITISH |
C | 279.912 | 279.912 |
| **D | FUND RETIREMENT MUNICIPAL ILLINOIS |
0 | 189.609 | 189.609 |
| **D | RETIREMENT SYSTEM CITY ENDLOYEES. LOS ANGELES |
C | -453.053 ਟ |
2.453.053 |
| **D | POLICE PENSION PLAN AND FIRE ANGELES ros OF CITY |
0 | 679.691 | 679.691 |
| **D | TEXAS . FOUNDATION OF BAPTIST |
0 | . 446 101 |
101.446 |
| **D | SECURITY AUTHORITY SOCIAL AND PENSION GENERAL |
0 | 182.905 | 182.905 |
| **D | AUTHORITY SECURITY SOCIAL AND PENSION GENERAL |
0 | 183.538 | 183.530 |
| **D | GUIDESTONE FUNDS INTERNATIONAL EQUITY INDEX FUND. | 0 | 080.480 | 086.086 |
| **D | PLANS . FOR EMPLOYEE BENEFIT SPARTAN GROUP TRUST |
0 | 6.449.873 | 6.449.873 |
| **D | GAK INSTITUÜT STICHTING |
0 | 24.247 | 24.247 |
| **D | MYONING BELIBERENT SYSTEM | 0 | ರಿ ನ 6.8 P |
46.882 |
| **D | INSURANCE COMPANY GARRISON PROPERTY AND CASUALTY |
0 0 |
1.189 N ਟ |
21.189 |
| D D |
TRUST AGREEMENT UNDER VARIOUS EMPLOYEE BENEFIT PLANS STATE RETIREMENT MASTER CHPAH |
0 | б 962.642 5.36 |
369 962.642 25. |
| **D | COMPANY SYSTEMS INDEMNITY GENERAL USAA |
0 | 37.414 | 37.414 |
| **D | CASUALTY INSURANCE COMPANY USAA |
0 | 54 - 945 | 54.945 |
| **D | TALLAHASSEE OF CITY |
0 | 215.210 | 215.210 |
| **D | COMPANY OF CANADA LIMITED PENSION TRUST MOTOR FORD |
0 | 15.213 | 15.213 |
| **D | IMPACT INC. CMA |
0 | 8 632.79 |
632.798 |
| **D | INVESTMENT BOARD. SECTOR PENSION PUBLIC |
0 | 8 S 4.451.1 |
4.451.158 |
| **D | PENSION PLAN 2100 INDUSTRY IWA - FOREST |
0 | 0 486.19 |
486.190 |
| **D | FLC CAPITAL MANAGEMENT UMBRELLA FUND JO HAMBRO |
0 | .071.573 L |
071.573 ﺎ |
| **D | T SCHEME CONTRACTUAL AUTHORISED BLACKROCK |
0 | 6.661.601 L |
661.601 6. T |
| **D | GLOBAL EQUITY TRACKER FUND ACS 30:70 |
0 | 196.878 | 196.878 |
| **D | CORPORATION. MANAGEMENT INVESTMENT COLUMBIA BRITISH |
g | 211.305 | 5 211.30 |
| **D | SCHEME AUTHORISED CONTRACTUAL LONDON IGPS CIV |
0 | P . 59 103 |
ਦੇ ਕੇ ਪ 103 - |
| **D | STATE TEACHERS RETIREMENT SYSTEM OF OHIO | 0 | 4.190.436 | 4.190.436 |
| **D | PANAMA DE AHORRO DE FONDO FIDELCOMISO |
0 | 5 32.96. |
32.963 |
| D D |
LGPS CENTRAL AUTHORISED CONTRACTUAL SCHEME TRUST RETIREMENT AUSTRALIAN |
0 0 |
б 0 306.18 347.20 C б |
347.209 306.180 б E |
| **D | (WALES PP) ASSET POOLING ACS UMBRELLA LF WALES PENSION PARTNERSHIP |
0 | - 83 51 5 3 |
51.838 5 E |
| **D | POOL AUTHORISED CONTRACTUAL SCHEME ACCESS ITE THE |
0 | .048.731 ਟ |
2-048-731 |
| **D | CONTRACTUAL SCHEME POOL AUTHORISED ACCESS LF THE |
144.15 | 144.150 | |
| **D | BLACKROCK UCITS CCF. BLACKROCK ASSET MANAGEMENT IRELAND LIMITED | 16.169 б |
916.169 | |
| **D | WEST YORKSHIRE PENSION FUND | 0 | 1.750-00 | -750-000 1 |
| Pagina 38 | ||||
| Azionisti: | 21 Teste: 3.327 |
ક્ષ્ઠ
EMARKET
SDIR
CRTIFFED
Control
(curry
راج وال
3.316
11 Azionisti in delega:
I0 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Cool 2044 Oggetto: Relazione sulla politica di remun
| Badge | Ragione Sociale | Proprio | Delega | |
|---|---|---|---|---|
| **D | CLEARWATER INTERNATIONAL FUND | 0 | 51.325 | Totale 51.325 |
| **D | PENSION FUND MERSEYSIDE |
O | 230.126 | 230.126 |
| **D | KOMMUNAL LANDSPENSJONSKASSE GJENSIDIG FORSIKRINGSSELSKAP | 0 | 212.273 1. |
212.273 L |
| D D |
TJANSTEPENSION AB AME |
0 | 082-60E 1. |
.309.230 L |
| **D | ELO MUTUAL BENSION INSURANCE COMPANY ELO MITUAL BENSION INSURANCE COMPANY | 0 | 1.170.515 | .170.515 T |
| **D | DE NEDERLANDSE KANK KONINGIN WILHELMINA FONDS VOOR STICHTING STICHTING |
0 | 29.475 | 29.475 |
| **D | PENSIOEMFONDS OPENBARE BIBLIOTHEREN UNIVEST. |
0 | 112.190 | 0 । ਰੇ 112. |
| **D | PENSIOENFONDS PGB STICHTING |
0 | 266.839 | 266.039 |
| **D | SCHOONMAAK EN GL. HET VOOR BEDRIJFSTAKPENSIOENFONDS STICHTING |
0 0 |
254.325 2 |
254.325 2 |
| * * D | BEROEPSVERVOER OVER DE WEG HET BEDRIJFSTAKPENSIOENFONDS VOOR STICHTING |
0 | 220-217 42-090 |
220.217 |
| **D | FJARDE AP-FONDEN. | 0 | 233.338 L |
0 42.090 .233.33 ﺎ |
| **D | STICHTING BEDRIJFSTAKPENSIOENFONDS ZORGVERZEKERAARS | 0 | 561.279 | -279 ਦੇ ਹ |
| **D | TREDJE AP-FONDEN | 0 | .180.227 E |
180.227 E |
| **D | POINT72 LONDON INVESTMENTS LTD. | 0 | 383.050 3. |
0 383.05 3. |
| **D | MAN NUMERIC ALTERNATIVE RISK PREMIA EQUITIES C/O NUMERIC INVESTORS ILC | 0 | 1.662.076 | .076 ୧୧2 1. |
| D D |
RESPONSABILITA LIMITATA RESPONSABILITA LIMITATA SOCIETA A SOCIETA A G.S. 1.5. |
0 | . 560 ਟ |
2-560 |
| **D | MARKET NEU C/O AQR CAPITAL MANAGEMENT LLC CAP LARGE KAPITALFORENINGEN INVESTIN PRO - GLOBAL |
0 | 3.191 | 3.191 |
| **D | GLOBAL VALUE FUND L.P. EQUITY MARKET NEUTHAL AOR |
0 0 |
174.707 | 174.707 |
| **D | ГБ ALPHA (US) NUMERIC INTERNATIONAL MAN |
0 | 381.825 | . 825 381 |
| **D | SICAV-LUMYNA-MW TOPS UCITS FUND ucirs LUMYNA-MARSHALL WACE |
0 | 762-900 | . 900 762 |
| **D | SEG POR IFOLIO H - MAN SOLUTIONS LTD r CPPIB MAP CAYMAN SPC |
0 | 743.609 340.400 |
743.609 340.400 |
| **D | PENSIO II FONDO DE MEDIOLANUM PENSIONES |
0 | 90.000 | 90.000 |
| **D | E.I. MEDIOLANUM EUROPA R.V. |
0 | 19.360 | 19-360 |
| **D | LIC CM GRAT |
0 | 5.399 | б 5.39 |
| **D | ROSEDENE LIC | 0 | 17.506 | . 506 17 |
| **D | SPHINX PARTNERS IP | 0 | 3.855 | . 855 క |
| **D | - 2000 ABBASI FAMILY TRUST |
0 | 11.387 | 11.387 |
| **D | COMMUNITY PROPERTY TRUST UAD 05/10/19 C DIANE CHRISTENSEN TTEE CHRISTENSEN-PIERRET |
0 | 1.600 | 1.600 |
| **D | 625 SPRING |
0 | 125.012 | 125-012 |
| D D |
DUFFIELD TTEE DUFFIELD TRUST UAD 09/12/96 CHERYL D ם THE CHERYL |
0 | . 564 3 |
3 - 5 6 4 |
| **D | DONCAN MACNAUGHTON REVOCABLE LIVING TRUST UAD 08/10/84 DUNCAN MACNAUGHION TIEE | 0 | 13.322 | 13.322 |
| **D | FRANCIS FAMILY FUND AFS C/O GRANT THORTON PER LUNDAHL NPF TECHNOLOGIES APS C/O GRANT THORTON PER LUNDAHL |
0 | 12.803 | 12.803 |
| **D | LYNN ARNALL TTEE 11444 07/15/08 DAWN TRUST UAD 07/15/08 UAD DAWN L ARNALL |
0 | 17.053 | . 053 17 |
| **D | P. BYRNE INVESTMENT MANAGEMENT TRUST UAD 08/11/00 ARTHUR P. BYRNE TTEE ARTHUR |
0 | 20.526 | 20-526 |
| **D | COLLATERAL ACCOUNT FBO FIRST REPUBLIC BANK THE OWEN FAMILY INVESTMENT TRUSTUAD 11/16/17 PLEDGED |
0 0 |
579 3.360 E |
. 360 .579 ప్ర |
| **D | MUGUEI VENIURES LIC | 0 | 804 E |
.804 క ದ |
| **D | PARTNERS LLC. CAPITAL BEL45 |
0 | .301 ਰੇ 1 |
19.301 |
| **D | AMERICAN ENDOWMENT FOUNDATION | 564 e |
6.564 | |
| D D |
W SAMUELS & THEODORE R SAMUELS TTEES 2019 NON-GST DESCENDANTS` TR INT.L UAD 06/06/19 LORI |
- 4 6 9 ਟ |
- 4 6 9 ਟ |
|
| **D | LLC INVESTMENTS RED FAMILY |
0.529 ﺎ |
10.529 | |
| **D | PICK TTEE YORK PICK REVOCABLE TRUST UAD 09/22/00 JAMES B OF NEW CITY THE THE UNION THEOLOGICAL SEMINARY IN JAMES B |
1.917 | .917 T |
|
| **D | & ROSE PHILLIPS FAM FOUNDATION OF CO INTL. JAY THE FBO ENDOWMENT FOUNDATION AMERICAN |
0 0 |
1.126 987 ਟ |
. 126 T |
| **D | ROSE PHILLIPS FAM FOUNDATION OF CA INTL. . AND JAY FBO FOUNDATION ENDOWMENT AMERICAN |
0 | 1-120 | . 987 - 128 ਟ H |
| **D | TRUST 1882 INVESTMENTS LLC C/O ST LOUIS |
.792 ਨ |
.792 ਟ |
|
| **D | ROBERT LOVELACE & ALICIA MINANA TTEES THE MINANA LOVELACE FAMILY TRUST UAD 06/11/00 |
1.951 | .951 โ |
|
| **D | GREBENE & LAURA GREBENE TTEES ALAN K & LAURA G GREBENÉ TR UAD 08/24/12 ALAN |
2.327 | 2.327 | |
| Pagina 39 | ||||
| Azionisti; | 21 Teste: 3.327 |
|||
| Azionisti in proprio: | 3-316 Azionisti in delega: 11 |
EMARKET
SDIR
GRTIFFE
(1980
| y/ | |
|---|---|
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Oggetto: Relazione sulla politica di remunerisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberzione noo vineolante) FAVOREVOLI
| Badge **D |
ORIHMEIN JR & B ORTHWEIN LIEES & A SAO 2015 FAMILY TRUST UAD 08/31/15 V F ORTHWEIN Ragione Sociale |
Proprio 0 |
Delega 5.823 |
Totale |
|---|---|---|---|---|
| **D | P B ORTHWEIN THEES ORTHWEIN & रु ORTHWEIN JR & V 02/11/93 A B UAD TR STEPHEN AUGUST ORTHWEIN MAR |
0 | 4.794 | 5.823 .794 র্ব |
| **D | 13 LLC INVESTMENTS FAMILY Rib D |
0 | 14.623 | 14.623 |
| **D | 12 LLC INVESTMENTS FAMILY RED |
0 | 5.192 | . 192 S |
| **D | 53 LLC INVESTMENTS EAMILY GOLD |
0 | 558 ಳ |
50 S র্বা |
| **D | 52 IIC INVESTMENTS FAMILY GOLD |
0 | 3-453 | 53 . d ದ |
| **D | (C) ટ 1 LLC INVESTMENTS FAMILY GOLD |
0 | ક વે દ | વે ર 8 |
| **D | (A) ട് I LLC INVESTMENTS FAMILY GOLD |
0 | 8 ਰੇ ਰੋ - T |
1.899 |
| **D | (B) ટ J IIC INVESTMENTS FAMILY GOLD |
0 | ક ર 0 2 |
2.086 |
| **D | DOUGLAS GOLDMAN FUND రు LISA |
4.828 | .828 র্বা |
|
| **D | FDN GOLDMAN MARC IA र् JOHN |
0 | 7.024 | 7.024 |
| **D | FOUNDATION ENVIRONMENTAL GOLDMAN |
0 | 3.267 | 3.267 |
| **D | SAMUELS FAMILY TRUST UAD 07/03/96 THEODORE R SAMUELS & LORI W SAMUELS TEESS LORI TED AND |
0 | 3.079 | . 079 E |
| **D | PARACHINI TTEES NUSE & V PARACHINI FAMILY TRUST UAD 08/20/98 A PARACHINI |
0 | ਰੇ ਦੇ ਕ 3. |
. 964 గా |
| **D | CRAWFORD TTEES AMD 01/11/19 CRAWFORD & DONA UAD 08/23/77 GORDON CRAWFORD TRUST DONA AND GORDON |
509 ഹ |
509 ம் |
|
| **D | 12/05/00 AMD SCOTT WALLACE TTEE LIVING TRUST UAD 04/26/95 WALLACE C SCOTT |
0 | 8.467 | . 467 8 |
| **D | 11/24/15 TTEES AMD & L L MULLER R MÜLLER UAD 07/01/81 A TRUST MULLER & LARY ANTHONY |
0 | .787 ਟ |
- 787 ਟ |
| **D | MARK DALZELL REV. LIVING TRUST UAD 06/16/95 MARK H DALZELL TTEE | 0 | 541 ব . |
. 541 ট |
| **D | PARTNERSHIP L.P. MCF |
0 | ਰੇ ਕੇ ਰੋ 3. |
ਰੇ ਕੇ ਰੋ E |
| D D |
WELLMAN ROBINSON REVOCABLE TRUST UAD WESTHERSFIELD LLLS |
0 | 2.821 | . 821 て |
| **D | 01/22/15 TOM ROBINSON & JOAN E WELLMAN TTEES L |
0 | -378 ਟ |
.378 ਟ |
| **D | & ROBERT LOVELACE THOUSES ALICIA MINANA GRAT UAD 04/30/12 NONEXEMPT 2012 NONEXEMPT 2012 L rt н |
0 | ਰੇ ਕੇ 2 t |
. 992 T |
| **D | UAD 04/30/12 ROBERT LOVELACE & ALICIA MINANA TIEES GRAT REMAINDER TR PANS IP MUDDY |
0 | 886" I | . 988 L |
| **D | 0 | 6.201 | 6.201 | |
| **D | DIMARCO / HARLEEN 1990 REV TRUST UAD 09/20/90 S G DIMARCO & J B HARLEEN TTEES AMD 06/01/12 IS INVESTMENT COMPANY COX |
0 | 6.143 | 6.143 |
| **D | 0 | 7.326 | 7.326 | |
| ANN C BARTRAM TTEE TRUST UAD 01/06/10 REVOCABLE BARTRAM C ANN |
0 | 4.690 | 4.690 | |
| D D |
BNY MELLON NA AS SECURED PARTY ( BARNUM TTEES p DONNALI SA BARNUM & નિ 05/13/94 WILLIAN UAD TR REVOCABLE BARNUM |
0 | 2.842 | 2.842 |
| **D | AMD 02/11/10 M2 PARTNERS AL TTEES ET MUZZY b 01/10/89 FAMILY TRUST UAD ABNER MOZZY |
0 | 981 5. |
.981 ഗ |
| **D | 12/10/04 NON-US EQUITY AMD GOLDSTINE TTEES A GOLDSTINE & R 03/05/91 2 UAD LIV TR GOLDSTINE ROSTYN CHALLENGE ಕ |
0 | 621 7. |
7.621 |
| **D | FUND PROVIDENT FUNDS - CHALLENGE MAÇQUARIE |
0 | 63-834 | . 0 3 4 ਦੇ ਤੋ |
| **D | CONVERTIBLE FUND INFRASTRU LISTED GLOBAL GLOBAL MACQUARIE MACQUARIE l l SOLUTIONS SOLUTIONS FUND EUND MACQUARIE |
0 | 483.249 | 483.249 |
| **D | STANLEY GLOBAL SE MORGAN MEDIOLANUM l BRANDS BEST MEDIOLANUM |
0 | 99.661 | 99.661 |
| * * D | DYNAMIC INTERNATIONAL VALUE OPPORTU l BRANDS BERTI MEDIOLANUM |
0 0 |
ਰ ਦੇ ਕ 618. |
. 959 el a |
| **D | MEDIOLANUM ENERGY TRANSITION l BRANDS BEST MEDIOLANUM |
26 6-799 8 . 628 - B ਟ |
826 86.799 2.628 |
|
| **D | EUROPE EQUITIES DIVERSIFIER 3-ALPHA VARIOPARTNER SICAV - |
935 84 . S |
.935 ਦੇ 8 ਪ |
|
| **D | INDEX GLOBAL l SICAV INVEST DANSKE |
0 | 03.141 1 |
03.141 C |
| **D | BALANCED l PORTFOLIO SOLUTION GLOBAL l SICAV INVEST DANSKE |
0 | 54.567 | 54.567 |
| **D | OPPORTUNIT l SOLUTION PORTFOLIO GLOBAL l SICAV INVEST DANSKE |
0 | 952 11. |
952 11 |
| **D | HIGH DIVIDEND EUROPE l SICAV INVEST DANSKE |
D | 107.827 | 107.827 |
| **D | POOL BALANCED GLOBAL l QCF GBPO - |
0 | 9.037 | -037 б |
| **D | NETWORK FUND - CMI CONTINENTAL EURO CMI GLOBAL THE UNIVERSE |
0 | 556 683 - |
- 556 ୧୫ ਤੋ |
| **D | SA MMA VIE |
0 | .033.639 C |
2.033.639 |
| * * D | VONTOBEL FUND II - DUEF & PHELPS GLOBAL LISTED INFRASTRUCTUR | 0 | 829 376. |
376.829 |
| **D | - AKTIÈN EUROPA (EUR) FONDS ZUGERKB |
0 | 000 7 . ! б |
97.000 |
| **D | GLOBAL SHARE FUND CMLA INDEXED |
9.406 | . 406 ರ N |
|
| **D | SPECIALIST FUND 52 COMMONWEALTH |
95.771 | .771 S б |
|
| D D |
JOHN HANCOCK VARIABLE INSURANCE TRUST INTERNATIONAL FIDELITY IECFUTL |
595.516 | . 516 S ਟੇਰੇ |
|
| EQUITY INDEX TRUST. | 71 277.8 |
.871 277 |
||
| Pagina 40 | ||||
| Azionisti: | 21 Teste: 3.327 |

Jers 262/2010)
3.316
11 Azionisti in delega:
જુવર
10 maggio 2023 16.43.41 1
LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunerai corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione von vincolarte) FAVOREVOLI
| EQUITY LOW CARBON TRANSITION INDEX FUND3495 IGIN FMC CSUE (36670) TESCO INDEX EQUITY TSGN (5270 MANAGEMENT) (INITEDONS MANAGEMENT) LIMITED CLIMATE TRANSITION WORLD DEVELOPED EQUITY PMC CSUF (36670) TESCO INDEX EQUITY TSGN (5270 DIMENSIONS GROUP INC EQUITY FUND SUN LIFE ASSET MANAGEMENT FUNDS - SUN LIFE AM GLOBAL ION CAR EUROP INTER ITS CAP FUND LEGAL AND GENERAL ASSURANCE (PENSIONS MANAGEMENT) LIMITED PENSIOOENFONDS METAAL EN TECHNIEK MN SERVICES ASI (STANDARD LIFE) (STANDARD LIFE) FUNDAMENTAL GLOBAL DFA INVESTMENT MULG FUND SERVICES (CAYMAN) LIMITED ACTING SOLETY IN SCHWAB FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX - ASI EUROPE EX UK INCOME FUND OVERLAY (6558) MS HORIZONS MULTIACTIVOS GLOBAL PRUDENTE FUND - EUROPE FUND FIRST STATE INVESTMENTS LIMITED CMLA INTERNATIONAL SHARE FUND PORTFOLIO OF PENSIONS ASI ETSE SEC FUND STANDARD LIFE INVESTMENTS INV STICHTING MN SERVICES AANDELENFO ND TBACO EX UNHG (3387) IDX(6734) FOR FOR LGIM RAFI FUND (1649) BMC PORTFOLIO OF DFA FD (1848 INTERNATIONAL INDEX FUND TRUSTEE TRUSTEE INVESCO POOLED INVESTMENT FUND FUND ( 1 1 ไ ASSET FÜND OVERLAY MGNT ) LTD AND GENERAL ASSURANCE MENT) LTD MGNT LTD NATIONAL COUNCIL FOR SOCIAL NMTB/NIK KOKUSAI-NH 935026 SICAV II ESG SCREENED INTERNATIONAL CORE EQUITY FUT WRID ESG DEV II 1 ୧ NMTB/NIK KOKUSAI-H 935034 STICHTING PGGM DEPOSITIANY FIC ESG ENV FUTURE WORLD MULTI FD AS ਸਟ STANDARD OEIC MN SERVICES MANULIFE GLOBAL FUND. LIFE ASSURANCE. LIFE ASSURANCE ICAV દર્દ UK LIMITED UK LIMITED DIR EURO EX UK ASSUR ( PENS G ASSUR (PENS ASSUR ( PENS CUSTODY B.V. STANDARD AEGON CUSTODY B.V CNEALTH ITALY STOCK FUND A-ILGLOEQG A-ILGLOEQA CLIENT FUNDS MÜLTI ASSET SOLACT ESG Ragione Sociale A-ILEZEOG A-ILEZEON INTL A-ILDSCG LTD ILA-LA WORLD RAFIMF ILA-A-ILSDMH OP CUSTODY r STICHTING CAP ATF STICHTING BERESFORD SHE COLONIAL ABERDEEN SHE SHE CITIBANK CITIBANK CFSIL RE ABERDEEN ്ര ഗ SLIČ II SCHWAB LARGE l CFSIL IRISH IRISH l l l l AEGON AND LEGAL l AND L AND LGAS TSGX IGAS LGAS PMC PMC ILA ILA IIA ILA ITA IIA F L |
|---|
દર્ભર

10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione: relazione no vinolante) FAVOREVOLI
| . 637 36.293 825 314.425 21.286 27-108 459.239 33.668 .513 91.119 93.772 451.059 4 . 4 7 4 333.488 - 534 125.000 28.474 9 ర 29.732 ರಿ ಲಿ ನ 417-400 36.834 118.101 70.000 4.373.509 4.412.405 1.231.399 148.983 12.060 199.199 95-137 15.920 55.450 28.067 67-088 649.512 446.010 ਹੈ ਕੈ 84.320 204.927 751.574 1.412.491 234.511 996.614 30.277 б 127-99 10 B 71 ਤੇ ਕ V ไ L 5 1 .927 293 513 732 119 ਦੇ ਤੇ ਪ 125.000 286 27.108 459-239 33.668 28.474 10.637 .320 .405 క 8 2 5 ಡಿಲ್ಲೇ ಕ್ರಿ ಲೈಸ್ ಕಾರ್ ನಿರ್ವಹಿಸಿದ ಕಾರ್ಕಾರಿ ಕಾರ್ಯ ಸಾಮಾನ್ಯ ಕಾರ್ಕನೆ ಕಾರ್ಯ ಸಂಸ್ಕೃತಿಗಳಿಗೆ ಮಾಡಿ ಕಾರ್ಯ ಸಂಸ್ಕೃತಿಗಳಿಗೆ ಮಾಡಿ ಕಾರ್ಯ ಸಾಮಾನ್ಯೂ ಕಾರ್ಕಾರಿ ಕಾರ್ಕಾರಿ ಕಾರ್ಯ ಸಾಮಾನ್ಯೂ ಕಾರ್ಯಕ್ಕೆ ಕ 772 51.059 4.474 314-425 333.488 36.834 118.101 446.010 । ব 0 9 б б 8 б 95.137 15.920 55.450 28.067 0 417.400 649.512 30-277 70.000 . 57 4 .412.491 234.511 996.614 . 98 રેપ ਰੇ ਰੋ б 1.231.39 12.06 199.19 29. 93. 71. 36. 21. 8 148 204 751 4.373 8 वें 4.412 127 ਤੇ ਚੋ ਰੇ ਹ ਖੋ प T T ਦੀ ﺎ 0 0 0 0 0 0 0 0 O 0 0 0 0 0 0 0 0 0 0 0 O C 0 0 0 0 0 0 0 0 0 0 0 D 0 INVESCO FOLLO INVESTMENT FIND - CLOBAL STRAILED CLIENTS GROUP SECURITIES AND FORD SERVICS OLD MUTUAL GLOBAL INVESTORS (UK) LIMITED LIMITED AS TRUSTEE OF BLACKROCK PREMIER FUNDS-BLACKROCK WORLD EQUITY INDEX FUND EUROPEAN EQUITY ENHANCED INDEX FUND FUND |
|---|

3.316
Azionisti in delega:
ll
Azionisti in proprio:

583
Totale 7.317 28.074 1.541 42.181 205.885
837.500 41.369 614.834 471.600 2.944 5.100 10.190 208.324 933.541 107.900
Ogetto: Relazione sulla politica di remunerazione i - Seconda Sezione: relazione: relazione: relazione sui composi corrisposti nel 2022 (delberazione voo vincolarie)
ENEL S.p.A.
LISTA ESITO DELLE VOTAZIONE
BROOKFIELD MULTI-STRATEGY MASTER FUND LP MAPLES CORPORATE SERVICES LIMITED BOINTIS ASSOCIATES LIC C/O MALKERS CORPORATE LIMITED CALMAN CORFORATE CENTRE AHL ALPHA CORE MASTER LIMITED C/O MAPLES CORPORATE SERVICES LIMITED AHL ALPHA MASTER LIMITED C/O CITCO TRUSTEES (CAYMAN) LIMITED DIVERSIFIED MARKETS EU BEUR- WORLD TRADE CENTER MERCER PRIVATE WEALTH INTERNATIONAL FOCUSED EQUITY POOL AQR GLOBAL ALTERNATIVE INVESTMENT OFFSHORE FUND L.P. RBC O`SHAUGHNESSY GLOBAL EQUITY FUND RBC VISION GLOBAL ENERGY TRANSITION FUND (INCUBATOR) BOMBARDIER TRUST (CANADA) REAL RETURN ASSETS FUND AHL EVOLUTION LTD SHARMAINE BERKELEY ARGONAUT LTD AQR LUX FUNDS-AQR SYSTEMATIC TOTAL RETURN FUND MACRO THEMES MASTER INVESTORS (CAYMAN) L.P. MIDDLEFIELD GLOBAL ENERGY TRANSITION CLASS AMUNDI PROGETTO INCOME REALE 2027 QUATTRO AMUNDI ACCUMULAZIONE INFRA GLO 2026 DUE AMUNDI ACCUMULAZIONE INFRA GLOBALI 2028 FUNDS VIII ICAV-MAN AHL DIVERSIFIED. NBIMC PUBLIC INFRASTRUCTURE (2017) FUND. RBC QUANT EUROPEAN DIVIDEND LEADERS ETF INTERNATIONAL CLEAN POWER DIVIDEND FUND AMUNDI PROGETTO INCOME REALE 2027 TRE SHORT BROTHERS COMMON INVESTMENT FUND SUN LIFE GLOBAL DIVIDEND PRIVATE POOL AMUNDI ACCUMULAZIONE ITALIA PIR 2023 AMUNDI PRIVATE GLOBAL INFRASTRU 2024 AMUNDI PROGETTO INCOME AGOSTO 2026 SUN LIFE REAL ASSETS PRIVATE POOL. CAISSE DE RETRAITE D'HYDRO-QUEBEC RBC QUANT EAFE EQUITY LEADERS ETF CONSERVATIVO E-L FINANCIAL CORPORATION LIMITED RUSSELL MEGH INVESTMENTS LIMITED BIMCOR GLOBAL EQUITY POOLED FUND AMUNDI ESG SELECTION BILANCIATO AHL INSTITUTIONAL SERIES 3 LTD MOORE GLOBAL INVESTMENTS LLC. AMUNDI ESG SELECTION DINAMICO CAXTON INTERNATIONAL LIMITED AMUNDI PROGETTO INCOME 2028 THE SHAKESPEARE HEAD FUND. AMUNDI VALORE ITALIA PIR AMUNDI DIVIDENDO ITALIA VPI GLOBAL EQUITY POOL AD GLOBAL INFRA FUND ESG SELECTION Ragione Sociale VPI INCOME POOL PFC S.R.L. MAN AHL AMUNDI MAN Badge ** **D **D **D **D **D **D +D + + D *** **D **D * * D + = D ה** a
" " D *D * * D * * D **D * * D **D ** **D * * D **D * * D **D **D **D 4 * TD *** * * D ה** **D +D *D a
* **D **D **D **D **D לו ל **D **D **D ***
115
26.400
635-471 3.520 294.497 1.657 880-977
49.618 2.000 780.000 2.251 152 160.905
16.100

ally
ﺮ ﮐﮯ ﻟﯿﮯ ﮐﯿﺎ ﮐﮧ ﮐﺮ ﮐﮯ ﻟﯿﮯ ﮐﮧ ﺍﺱ ﮐﯽ ﮐﺎ ﺭﻗﺒﮧ ﮐﮯ ﻟﯿﮯ ﮐﮧ ﺍﺱ ﮐﯽ ﮐﺎ ﺭﻗﺒﮧ ﮐﮯ ﺳﺎﺗﮫ ﮐﮯ ﺍﯾﮏ ﮐﮯ ﺍﺱ ﮐﯽ ﮐﺎ ﺭﻗﺒﮧ 197
3
26.826
9.687 8.724 33-021 27.155
50.490
9.404
95.946 58.850 630.000 487.000
367.500
12.559
Pagina 43
21 3 316
Azionisti in delega:
11
Azionisti in proprio:
Azionisti:
Teste:
3.327
| ﺮ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺴﺘﻘﻠﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍ |
|---|
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (dell'herazione non vincolante) FAVOREVOLI
| Totale | 42.684 | 33.296 24.699 |
8 28 34. |
20.389 | 58.905 | 370 33. |
0 190.00 |
5.569 5.569 |
22 - 668 | 47.489 б |
106.135 | 5.984 | 25.000 | 390.000 | 45.518 | 150.000 | 1.209.211 | 105.122 | 20-733 | 242.526 | 6.948 | 4-038.614 | 60.00 | 7-734 . 910.936 T 7.734 |
327.070 | 213.322 | 44.943 | 450.000 | 271.246 | 232.950 76.594 |
98.097 | 206 82. |
117.849 | 309.198 | 716.161 | 3.057.299 | 67-100 | S 78 6. |
144-175 73.778 |
212.135 | 141.069 | 470.544 | 26.920 | 6.151 | ||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 42 - 684 | 24.699 33.296 0 0 |
34.288 0 |
20.389 0 |
58.905 0 |
33.370 0 |
190.000 0 |
0 | 22.668 0 |
47.48 0 |
106.135 0 |
5.984 0 |
25.000 0 |
390.000 0 |
45.518 0 |
150.000 0 |
0 | 1.209.211 0 |
105.122 0 |
20.733 0 |
242.526 0 |
6.948 0 |
4.038.614 0 |
60.000 . 910 . 936 r 0 0 |
0 | 327.070 0 |
213.322 0 |
44.943 0 |
450.000 0 |
271.246 0 0 |
0 | 232.950 76.594 0 |
98.097 0 |
82.206 0 |
117.849 0 |
309.198 0 |
716.161 0 |
3.057.299 O |
67.100 0 0 |
73.778 6.78 0 |
144.175 0 |
212.135 0 |
141.069 | 470.544 | 26.920 | 6.151 | ||
| Proprio | ||||||||||||||||||||||||||||||||||||||||||||||||
| Pagina 44 | ||||||||||||||||||||||||||||||||||||||||||||||||
| 2027 REALE INCOME |
DUE 2027 REALE INCOME |
2026 DUE 20121 INCOME |
2025 INCOME |
2026 FONDI AMUNDI PROGETTO - AMUNDI PROGETTO INCOME |
INFRASTRUTTURE GLO 2026 | EUROPEAN EQUITY | CONSERVATIVE | DYNAMIC | BALANCED | 1 SUSTAINABLE WORLD EQUITY MANDATE |
ETHICAL EQUITIES | TWINS GROWTH | FUXCELLENCE-HELVELIA EUROP EQUITY | FUNDS MULTI ASSET CONSERVATIVE | ALL ROADS CONSERVATIVE | - EUROPEAN STRATEGIC AUTONOMY | PAB EUROPE CLIMATE PARIS ALIGNED |
CLAY EUROPEAN MULTI CAPS 50 |
UNIVERSAL SELECT | EURO MULTI-ASSET TARGET INC | MULTI-ASSET GLOBAL |
MSCI EUROPE CLIMATE TRANSIT CTB | ASSETS TARGET INCOME | MULTI-ASSET TARGET INC | ALL ROADS GROWTH | CITIES FUTUR |
EMU ESG UNIVERSAL SECECT | EQUITIES EUROPE |
ACTION | TRANSITION CTB WORLD CLIMATE |
MULTI-ASSET CONSERVATIVE | EUROPE | - EUROPEAN EQUITY RISK PARITY EUROPE EX UK |
PARIS ALIG PAB CLIMATE |
EUROPE ESG LEADERS SELECT | SITUATIONS | RISK PARITY | GLOBAL EQUITIES TARGETNETZERO GLOBAL EQUITY |
3.327 | |||||||||
| PROGETTO Ragione Sociale AMUNDI |
PROGETTO AMUNDI |
PROGETTO AMUNDI |
PROGETTO AMUNDI |
AM ACCUMULAZIONE | AMUNDI PROG INC REALE 2026 | NAGELMACKERS INSTITUTIONAL | INVEST CRELAN |
INVEST CRELAN |
INVEST CRELAN |
AMUNDI SIF GLOBAL | INDO ALT INVEST - | LEADERSEL P.M.I | QTRON GLOBAL EQUITY | INDEX MSCI JAPAN AMUNDI |
мів FTSE AMUNDI |
AMUNDI | - SONDS OTI | CPR INVEST | MSCI AMUNDI |
STOXX l EURO FUNDS AMUNDI CLAY |
EUROPE MSCI AMUNDI |
MSCI MOBID ESC AMUNDI |
FUNDS AMUNDI |
FÜNDS AMUNDI |
AMUNDI | FUNDS REAL AMUNDI |
JAPAN GLOBAL PRIME FDS AMUNDI AMUNDI |
LO FUNDS - | l CPR INVEST |
MSCI AMUNDI |
VALIANT l VF (LUX) |
CLIMATE CPR INVEST |
MSCI AMUNDI |
GLOB FDS AMUNDI |
MSCI INDEX AMUNDI |
FUNDS MSCI AMUNDI AMUNDI |
WORLD MSCI AMUNDI |
ਅੰਟਟੀ AMUNDI |
ALL ROADS LO FUNDS - |
CPR INVEST-EUROPE SPECIAL | AMUNDI FUNDS EQUITY EURO | AURISX ALLIANCEBERNSTEIN LOF |
||||||
| Badge **D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | * * D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
D D |
**D | * * D | **D | **D | **D | D D |
Azionisti: |
Rol

was in Jalle

Oggetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione : relazione : relazione nel 2022 (deiberazione non vincolarie) FAVOREVOLI
| FUNDS GLOBAL EQUITY TARGET INCOME |
|---|
| 21 |
| 3"316 |
903

0.00
્ડ્યું and
Assemblea Ordinaria del 10 maggio 2023
ENEL S.p.A.
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberzaione non vincelante) FAVOREVOLI
| Totale | 632.260 00.000 |
65.921 | 144.986 | 1.267.755 | 60.073 28.007 |
10-050 | 690.383 | 38.273 | 12.568 | 196-139 | 119.133 | 92.000 | 75.838 | 30.287 | 189-003 341.975 |
113.451 | 933.641 | 45.200 | 32.870 | 66-785 | 89.423 | 130.097 | 34-840 | 121.137 | 46.010 | 517.206 | 26-734 | 77-016 | 600.283 | 639-943 | 391.752 | 212.991 | 43.862 15.144 |
98.263 | 94.512 | 34.649 | 150-000 | 14-065 | 95 - 868 | 18.500 | 248.343 | 7.393 | 249-595 | 81.145 11.136 |
161.750 | |||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega 632.260 |
80.000 | 65.921 | 144.986 | S 60.073 1.267.75 |
28.007 | 10.058 | 690.383 | 38.273 | 12.568 | 196.139 | 119.133 | 92.000 | 75.838 | 341.975 30.287 |
189.003 | 113.451 | 199-641 | 45.200 | 32.870 | 66.785 | 89.423 | 130.097 | 34.840 | 121.137 | 46-010 | 517.206 | 26.734 | 77.016 | 600.283 | 639.943 | 391.752 | 212.991 | 15.144 43.862 |
98.263 | 94.512 | 34.649 | 150.000 | 14.065 | 5.868 б |
18.500 | 248-343 | 7.393 | 249.595 81.145 |
11.136 | 161.750 | |||
| Proprio 0 |
0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | o o | O | 00000 | 0 | o o | 0000000 | 00000 | 0 | O | 0 | 0 | 0 | 0 | O | 0 | O 0 |
0 | |||||||||||||||||
| Pagina 46 | ||||||||||||||||||||||||||||||||||||||||||||||||
| 21 | 3.316 | |||||||||||||||||||||||||||||||||||||||||||||||
| INT. EU | RETURN ALL CAP EUROPE | ਹੋ ਜ EQUILIBRE |
Teste: 3.327 |
Azionisti in delega: 11 |
||||||||||||||||||||||||||||||||||||||||||||
| GGVIE PREFON RETRAITE A Ragione Sociale |
MANDAT LBP PREVOYANCE | ROBECO CAVAMAC ACTIONS | EUR. CNP ASS. NAM ACT. |
ALLOCATION ACTIONS SATELLITE AA SSGA ACTIONS INDICE EURO |
LA GRENQUILLERE | AB CFAO | MUTACTIONS 21 | EST GROUPAMA GRAND |
DAN EQUILIBRE | UFF ALLOCATION DIVERSIFIEE | GROUPAMA NORD EST ACTIONS | GROUPAMA CR TOTAL | GROUPAMA LOIRE BRETAGNE LOCAL 1 EPARGNE SOLIDAIRE |
AP ACTIONS I EURO | LFAML INDEXALPHA | CONTI PLACEMENTS | P ROPS EURO |
AGRICA TACTIQUE G | GROUPAMA NORD EST | AMUNDI IPSA ACTIONS | IV. CHALLENGE | GAN EUROSTRATEGIÉ | DUGUAY TROUIN INVESTISSEMENT | GROUPAMA CR GENOVA 1 | SOLIDARTIES | FAGUS | LCL DYNAMIQUE ESG | PREDICA ISR MONDE - ACTIONS | MONCEAU ACTIONS EEE | AGRICA ACTIONS OBJECTIF SCR FDRN AMUNDI |
WALLON | DIEZE | CENTRE EST EQUILIBRE | AMUNDI LABEL DYNAMIQUE ESR | SACD INVESTISSEMENT | AMUNDI EQUILIBRE GLOBAL SOLIDAIRE | FCP GROUPAMA PHARMA DIVERSIFIE | CL CENTRE MANCHE | PORT ROYAL EQUILIBRE | OPFT | ADP DIVERSIFIE DYNAMIQUE VILLIERS DIAPASON |
SELECTION EURO DIVERSIFIE CAVEC LA FRANCAISE DIVERSIFIE GROUPAMA |
ICI PRUDENCE ESG | EPARGNE ACTIONS MONDE ISS | ||||
| Badge **D |
**D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | ק*** | **D | **D | D D |
**D | **D | **D | **D | AZIONISTI: | Azionisti in proprio: |
904

ager
ﺍﻟﻤﺴﺘﻘ
२.२१०
| ENEL S.D.A. | |
|---|---|

Oggetto: Relazione sulla politica di remanerazione i - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deilberazione pon vincolarte) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|---|
| D D |
PREDIQUANT A2 - ACTIONS EUROPE AMUNDI HARMONIE |
0 | 121.883 | 121.883 | |||
| **D | ADVIT ACT EU | 0 | 37.794 | 37.794 | |||
| **D | ARREO QUANT 2 | 0 | 187.026 | 187.026 | |||
| **D | S CAVAMAC ACTIONS EURO | 0 | 226-941 | 226.941 | |||
| **D | CAVEC GROUPAMA DIVERSIFIE | 0 | 132.786 | 132.786 | |||
| **D | ROPS-SMART INDEX EURO | 0 0 |
237.191 | 237.191 | |||
| **D | કર્યું છે. દિવેલા દિવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામમાં મુખ્યત્વે ખેત AMUNDI LABEL PRUDENCE |
0 | 703.858 75.734 |
8 75.734 703.85 |
|||
| **D | AA LA FRANCAISE ISR | 0 | 603.420 | 603.420 | |||
| **D | GRD 20 - ACTIONS | 0 | 191.316 | 191.316 | |||
| **D | STAR PASTEUR | 0 | 303.846 | 303-846 | |||
| **D | ELITE INTER-PHARMACTIONS | 0 | 9 30.72 |
30.725 | |||
| **D | FGV ACTIONS EUROPE IM A | 0 | 228.960 | 228.960 | |||
| **D | PREDIQUANT PREMIUM TITRES | VIFS ACTIONS | 0 | 1-985.707 | 985.707 T |
||
| **D | GROUPAMA CR ACTIONS MONDE | 0 | 24.480 | 24.480 | |||
| **D | BEL EQUITY EUROPE ESG | 0 | 877-570 1. |
1.877.570 | |||
| **D | FDJ EQUILIBRE SOLIDAIRE | 0 | 29.307 | 29.307 | |||
| **D | IP ACTIONS EURO | 0 | 141.785 | ப 141.78 |
|||
| **D | GROUPAMA MEDITERRANEE | 0 | 39-450 | 39.450 | |||
| D D |
GROUPAMA LOIRE BRETAGNE LOCAL | 2 | 0 | 30.403 | 30.403 | ||
| DYNAMIQUE ET SOLIDAIRE L.S |
0 | 4.000 | 4.000 | ||||
| **D | CARP - INDO FCP |
0 | 034.797 1. |
1.034.797 | |||
| **D | RENDEMENT EQUILIBRE n I |
0 | 4.445 | 4 - 4 4 5 | |||
| D D |
AC GLOBAL CONVICTIONS | o o | 7.078 T |
17.078 | |||
| **D | SA EXPANSION FCPE CA |
10.949 | б 10.94 |
||||
| **D | EPARGNE MODEREE THALES LCL |
0 | б 63.38 |
6 63.38 |
|||
| **D | LABEL EQUILIBRE ESR EQUILIBRE ESG AMUNDI |
0 | 28.852 | 28.852 | |||
| **D | GROUPAMA A.A. - |
0 | 112.018 | 112.018 | |||
| **D | DES CAÍSSÉS LOCALES GROUPAMA P - ISR FCP |
ರ | 817.671 | 817.671 | |||
| **D | NEUFLIZE VIE OPPORTUNITES | V D I, | 0 | 17.214 | 17.214 | ||
| **D | TOTALENERGIES DIVERSIFIE EQUITIBRE ET SOLIDAIRE | 0 | 190.048 | 190.048 | |||
| **D | MONGELAS | 0 | 253.610 | 253.610 | |||
| **D | ROPS ACTIONS EUROPEENNES 1 | 0 | 51.495 | 51.495 | |||
| **D | LEPAM ISR ACTIONS FOCUS EURO | 0 | 531.144 | 531.144 | |||
| **D | VIVACCIO ISR ACTIONS | 0 | .922.008 ો |
922.000 1. |
|||
| **D | LBPAM ACTIONS DIVIDENDES EUROP | 0 0 |
.876.086 1.377.864 โ |
1.876.086 | |||
| **D | ISR STRATEGIE PEA LBRAM |
2 | 0 | 82.647 | 1-377.064 82.647 |
||
| **D | ACTIONS ISR 100 TONI |
0 | 422.958 | 422-956 | |||
| * * D | LBPAM ISR STRATEGIE PEA | 0 | 55.138 | 55.138 | |||
| **D | CNP TOCQUEVILLE VALUE EUROPE | I | 0 | 781.767 | 781.767 | ||
| **D | ISR ACTIONS EUROPE 50 LBPAM |
0 | 843.804 | 843.804 | |||
| **D | 3 MOIS LBPAM |
0 | 3.389.795 | 3.389.795 | |||
| **D | EUROPE IN ACTIONS FGV - |
B | 0 | 353.734 | 353.734 | ||
| **D | 80 ISR ACTIONS LBPAM |
0 | 421.302 | 421.302 | |||
| **D | LEPAM ISR ACTIONS MONDE | 0 | 323.000 | 323.000 | |||
| D D |
OFI AF DYNAMIQUE | 0 | 52.197 | 52.197 | |||
| **D | AEMA OBJECTIF NEUTRE CARBONE 2050 FCP HAMELIN DIVERSIFIE FLEX |
0 | 75.819 | 75.819 | |||
| **D | FCPE IBM FRANCE C | II | 0 0 |
000 ਪੋ 4 - |
44.000 | ||
| 120.000 | 120.000 | ||||||
| Pagina 47 | |||||||
| Azionisti: | 3.327 | Teste: | 21 | ||||
| Azionisti in proprio: | Azionisti in delega: 11 |
3.316 |
POS




Ogetto: Relazione sulla politica di remunerai corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione non vinolazio) FAVOREVOLI
| Totale | 764.706 490.000 |
116.235 | -370 88 |
285.148 | 87.020 | .102.370 45.870 ī |
243.452 | 600.000 | 170.000 | 385 305. 1. |
120.000 | 8 20 3. |
314.280 | 98.307 | 30.639 ర |
94.800 | 500.000 | 030 7. |
16-569 | ਰੋ 00 25. |
765.566 | 19.548 | 82 - 665 | 759.297 | 135.775 | 418.705 | 459.207 | 175.717 | 24.642 | 259.600 | 17.046 | 18.601 | 509.998 | 30.509 | 54.940 | 187.939 | 1.044.450 | 122.576 | 351.519 | 582.289 1. |
13.511 | 36.991 | 325.923 | 4.330.000 | 320.640 | 117.733 118.959 |
299.439 | ||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 764.706 490.000 |
116.235 | 88.370 | 285.148 87.020 |
.102.370 t |
45.870 | 243.452 | 600.000 | 170.000 | 305.385 1. |
120.000 | 3.860 | 280 314 . |
98.307 | 930.639 | 94.800 | 500.000 | 7.830 | 569 16. |
25.900 | 765.566 | 19.548 | 82.665 | 59.297 1 |
135.775 | S 418.70 |
459.207 | 175.717 | 24.642 | 259.608 | 17.046 | 18.601 | 8 509.99 |
30.509 | 54.940 | б 187.93 |
1.044-450 | 122.576 | 351.519 | б 1.582-28 |
13.511 | 36.991 | 325.923 | 4.330.000 | 320.640 | б 117,733 118.85 |
299.439 | ||
| Proprio | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | |||||
| Pagina 48 | |||||||||||||||||||||||||||||||||||||||||||||||||
| 21 | |||||||||||||||||||||||||||||||||||||||||||||||||
| (MAI 2022) | (JANVIER 2022) | 2023} | Teste: | ||||||||||||||||||||||||||||||||||||||||||||||
| FCP CARPIMKO EUROPE Ragione Sociale |
AA NATIXIS ACTIONS MIN VAR | ਹੈ ਕੇ PERFORMANCE 1 UNIVERS CNP FCP NATEXIS |
ACTIONS LT FCP CNP ACP |
EGEPARGNE 2 DIVERSIFIE | A.A. CANDRIAM DIVERSIFIE | APICIL ACTIONS EURO | API RETRAITE DIVERSIFIE | PREVAAL ACTIONS EU | PROMEPAR ACTIONS RENDEMENT | EURO PATRIMOINE INDOSUEZ |
S. YTIC | LOLA SHARE | DORVAL CONVICTIONS | AMUNDI STRATEGIES ACTIONS EURO RESTRUCTURATIONS | CPR EUROLAND ESG | ട് COLOMBES |
G FUND OPPORTUNITIES EUROPE | WF ACTIONS FLEXIBLE | STRATEGIES ACTIONS EUROPE OPTIM DIV HR AMUNDI |
PATR GLOBAL CONVICTIONS DORVAL |
ACTIONS EURO ISR AMUNDI |
STRATEGIES ACTIONS EURO OPTIM DIV HR AMUNDI |
ISR EÜROPE ACTIONS AMUNDI |
ISB EQUITY CONVICTIONS G FUND |
RENDEMENT PLUS AMUNDI |
ENVIRONNEMENT EURO SELECTION |
ENVIRONNEMENT SELECTION EURO |
POCHE COR દર્દ CPR EUROPE |
TA-ITA AZIONI | GROUPAMA EURO EQUITIES | ÉURO RESTRUCTURAT EURO (CA) LCL ACTIONS |
FDC A2 POCHE TITRES | EURO RENDEMENT INDOSUEZ |
CLIMAT (JANVIER SELECTION EURO |
RESTRUCTURATION PREMIUM ESG AMUNDI ACTIONS CPR EUROLAND |
COVEA SOLIS | CONVICTIONS PEA DORVAL |
ISR SOMOS |
AMUNDI PATRIMOINE PEA | CASTELNAU | DORVAL GLOBAL CONVICTIONS | GROUPAMA EUROPE EQUITIES | BEST BUSINESS MODELS SUI AMUNDI PATRIMOINE |
CPR ACTIONS EURO RESTRUCTURATIONS MYRIA ACTIONS DURABLES EUROPE |
AMUNDI EUROPE MONDE | 3.327 | |||
| Badge **D |
* * D | D D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | D D |
**D | **D | **D | D D |
*D * D |
**D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | **D | Azionisti: |
906

g
g
3.316
Azionisti in delega:
l l

LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione non vinovazio) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | |||
|---|---|---|---|---|---|---|
| **D | G FUND WORLD VISION R | 403.727 | Totale 403.727 |
|||
| **D | PARITY AMUNDI STRATEGIES ACTIONS EUROPE RISK |
0 | 5.347 | 347 ડ. |
||
| **D | LCL ACTIONS MONDE HORS EUROPE EURO | 0 | 40.078 | 40.078 | ||
| **D | BBM V-FLEX | 0 | 18.732 | 18.732 | ||
| D D |
ESR AMUNDI EURO EQUITY FLEXIBLE ISR COVEA |
0 | .132.437 T |
.132.437 โ |
||
| **D | EURO | 0 | 222-031 | 22.031 | ||
| **D | ACTIONS DURABLE DIVIDEND HIGH NEUFI.IZE CPR EURO |
0 0 |
114.049 52.419 9 |
652-419 114.049 |
||
| **D | EURO CLIMAT (SEPTEMERE 2022) SELECTION |
0 | 336.478 | |||
| **D | ASSURDIX | 0 | 760.665 | 665 336.478 760. |
||
| **D | ALLOCATION PEA INDOSUEZ |
0 | 583.318 | 318 583 . |
||
| **D | PREDIQUANT EUROCROISSANCE A2 | 0 | 59.101 | 9.101 பர |
||
| **D | EUROPE OPPORTUNITE COVEA ACT |
0 | 868.570 | 868.570 | ||
| **D | EURO CORE+ LCL ACTIONS |
0 | 20.372 | 372 20. |
||
| **D | COVEA ACTIONS RENDEMENT | 0 | 1.112.643 | -112.643 T |
||
| **D | SRI EUROPEAN MODELS IMPROVING |
0 | 156.704 | 156.704 | ||
| **D | ISR EURO STRATEGIE |
0 | 248-862 | 862 248. |
||
| * * D | POCHE PEA CPR SILVER AGE |
0 | .427-302 ਟ |
.427.302 ਟ |
||
| **D | + EURO CORE STRATEGIES ACTIONS AMUNDI |
33.042 | 33.042 | |||
| **D | EUROACTIONS DIVIDEND STRATEGIE |
0 | 344.732 | 344 - 732 | ||
| **D | EURO LARGE CAP ACTIONS LBPAM ISR |
0 | 436.932 | 6.932 ਕ ਤੋ |
||
| **D | ISR EURO TOCQUEVILLE VALUE |
.106-835 S |
5.106.835 | |||
| **D | MIN VOL EURO LBPAM ISR ACTIONS |
0 | 13.283 | 13.283 | ||
| **D | OBLIG 3-5 LBPAM DIVERSIFIE FOCUS |
591 34 - |
291 34 - |
|||
| **D | TOCQUEVILLE VALUE EUROPE ISR | 660-359 | 660.359 | |||
| D D |
EURO ISR TOCQUEVILLE DIVIDENDE ACTIONS PRO LBPAM ISR |
880-000 I |
1.880.000 | |||
| **D | GLOBAL ALLOCATION M | 178.159 140.904 |
904 178.159 140. |
|||
| **D | M RENDEMENT DIVERSIFIE |
0 | 41.409 | 41-409 | ||
| **D | હ્ય EURO VALEUR ISR |
0 | 1.137.849 | -137-849 T |
||
| **D | EUROPEENNES SEEYOND ACTIONS |
0 | 377.545 | રે તે ર 377. |
||
| **D | CNP ASSUR VALUE ET MOMENTUM | 0 | 62.287 | 62.287 | ||
| **D | SEEYOND EURO SUSTAINABLE MINVOL | 0 | 47 534 | 47.534 | ||
| **D | ESG NATIXIS LCR ACTIONS EURO |
0 | 40-638 | 0.638 P |
||
| **D | AMPLEGEST LONG/SHORT | 0 | 198.000 | 198.000 | ||
| **D | ADARA | 0 | 75.000 | 75.000 | ||
| **D | EUROPA I HELVETIA |
0 | 910.000 | 910.000 | ||
| **D | - TARGETNETZERO GLOBAL EX-CH EQUITY LO IS (CH) |
0 | 11.895 | 11.895 | ||
| EDR **D |
DBI l RDT EQUITIES GLOBAL |
0 | ਰੇ ਰੋ ರ್ಕಾರ 21. |
21.899 | ||
| EDR *D * D |
2024 - INCOME II FUND |
0 | 66.055 | 66.055 | ||
| **D | EQUITY EURO CORE FUND ROTHSCHILD DE EDMOND |
0 | 350.400 | 350.400 | ||
| EDR **D |
INCOME EUROPE EURO SUSTAINABLE EQUITY FUND ROTHSCHILD l DE SICAV EDMOND |
0 0 |
298.830 2.683.690 |
298.830 2.683.690 |
||
| EDR **D |
EQUITY EURO SOLVE - SICAV |
0 | 366.096 | 366.096 | ||
| **D | ASSET MANAGEMENT (EDRAM) ROTHSCHILD DE EDMOND |
0 | 14.160 | 14.160 | ||
| **D | ACTIONS EUROPE EDRAM CNP ASSUR |
0 | 391.610 | 391.610 | ||
| **D | FIDEURAM ITALIA l SGR AM FIDEURAM |
0 | 322.000 | 322.000 | ||
| **D | AZIONI ITALIA PIANO - SGR AM FIDEURAM |
0 | 4.553.000 | 4.553.000 | ||
| **D | 50 BILANCIATO ITALIA PIANO - SGR AM FI DEURAM |
1.018.000 | 1.018.000 | |||
| **D | 30 ITALIA BILANCIATO PIANO l SGR ક્રિત FIDEURAM |
0 | 93.000 | 93.000 | ||
| Pagina 49 | ||||||
| Azionisti: | Teste: 3.327 |
21 | ||||
| Azionisti in proprio: | Azionisti in delega: 11 |
3.316 |
907

September 1999
صدر آگ
10 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compesi corrisposti nel 2022 (delberazione voor vineolante) FAVOREVOLI
| Badge **D |
5.P.A. MEDIQLANUM VITA Ragione Sociale |
Proprio | Delega 000 .550 ਟ |
Totale 2.550.000 |
|---|---|---|---|---|
| **D | SVILUPPO ITALIA FLESSIBILE l SGR FONDI MEDIOLANUM GESTIONE |
000 200 ట |
.200.000 ದ |
|
| **D | FLESSIBILE FUTURO ITALIA । MEDIOLANUM GESTIONE FONDI SGR |
.403.451 O ਨ |
.403.451 O N |
|
| **D | SICAV INTERFUND |
000 ਤੇ ਹੋ ਕੇ |
000 9. 31 |
|
| **D | PORTFOLIO DIVERSIFIED EQUITY MASTER PORTFOLIO OF MASTER INV |
27 892 ਦੇ ਹੋ ਤੇ |
92 ರಿ 27. |
|
| D D |
OF MASTER INV TOTAL INTERNATIONAL EX U.S. INDEX MASTER PORTFOLIO FONDITALIA |
- € 3 3 000 .218 |
000 543.633 .218. 1 |
|
| **D | CANADA PENSION FLAN INVESTMENT BOARD (CPPIB) | 18 | 18 | |
| **D | NEW AIRWAYS PENSION SCHEME | e I € 9 |
321 6. |
|
| **D | WORLD EX SMITZERIAND ESG SCREENED EQUITY INDEX SCHWEIZ AG FOR ISHARES MANAGEMENT ASSET BLACKROCK |
વે ર ট ഹ ਪ ਟ |
5.296 24 |
|
| **D | CH) - ISHARES MORID EX SMILIERTAND EQUITY INDEX FUND II |
0 | 921 32 |
921 32. |
| **D | FUNDS LIMITED MANAGED PENSION |
0 | 87 4 .271. ਟ |
.271.874 ਟ |
| **D | ICVC-INTERNATIONAL EQUITY TRACKER FUND FUNDS MANAGED INVESTMENT NIDOWS SCOTTISH |
0 | 5 4 9 27 |
5 4 9 27. |
| **D | EUROPEAN (EX UK) EQUITY FUND SCOTTISH WIDOWS INVESTMENT SOLUTIONS FUNDS ICVC- |
0 0 |
.129.189 0 8 8 T |
.129.189 T |
| D D |
FUND NEUTRAL TIEXAS OF AOR FUNDS AOR EQUITY MARKET SYSTEM TEACHER RETIREMENT |
0 | . 971 24 882 ਨ |
88 71 24.8 ರಿ 982. 2. |
| **D | SINGAPORE THE MONETARY AUTHORITY OF |
0 | 64.563 | 64.563 |
| **D | ASSETALLOCATION FUND LLC PINEBRIDGE GLOBAL DYNAMIC |
0 | 6 32 ಕ 8 |
83.329 |
| **D | AUTHORITY OF SINGAPORE MONETARY THE |
0 | .057 121 |
161.057 |
| **D | ITALIA ACOMEA |
0 | 485.000 | 485.000 |
| **D | SGR MULTIFUND PATRIMONIODINAMICO ACOMEA |
0 0 |
28.000 35.500 |
35.500 28.000 |
| D D |
MULTI FUND - PATRIMONIO AGGRESSIVO ACOMEA |
140.000 | 140.000 | |
| **D | ACOMEA GLOBALE GLOBALE EUROPA ACOMEA |
60.000 | 60.000 | |
| **D | FUNDS ABN AMRO |
0 .061.48 ഹ |
5.061.480 | |
| **D | FI SANTANDER EQUALITY ACCIONES |
ారా 78.53 |
78.534 | |
| **D | 2 FI SOSTENIBLE SANTANDÉR |
00000000 | 0 248.69 T |
248.690 T |
| * * D | FI SOSTENIBLE ACCIONES SANTANDER |
- 122 ਹ ਕੇ ਪ T |
194-122 L |
|
| **D | FI 50. STOKX EURO FONDO NARANJA DIRECT ING |
9 450.66 |
450.666 | |
| **D | FONDO NARANJA MODERADO, FI ING DIRECT |
0 | S 20.04 |
un 20.04 |
| **D | SOSTENIBLE 1 FI SANTANDER |
0 | 557.314 T |
557.314 1. |
| **D | DINAMICO, FI FONDO NARANJA DIRECT ING |
0 | 8 20.75 |
28.758 |
| **D | FONDO NARANJA CONSERVADOR, FI ING DIRECT |
0 | E 3.04 |
3.043 |
| **D | DIVIDENDO EUROPA FI SANTANDER |
0 | S 4.738-092 314.66 |
4.738.092 |
| D D |
SOLIDARIO FI RESPONSABILIDAD FI CONFIANZA INVERACTIVO SANTANDER |
0 0 | 704 દ - ਟ |
314.665 26.704 |
| **D | PENSIONES INTEGRAL FONDO DE EUROPOPULAR |
0 14.88 |
б 14.88 |
|
| * * D | EPSV COLECTIVA PREVISION SANTANDER |
б .21 9 |
G 6.23 |
|
| **D | FP RENTA VARIABLE EUROPAPENSIONES SANTANDER |
0 8 વ 40. ਟ T |
240.840 1. |
|
| **D | PENSIONES FP DIVIDENDO SANTANDER |
18.241 ব T |
.418.241 L |
|
| **D | EPSV V9512164 PREVISION 1 SANTANDER |
000000 | P 13.83 |
13.834 |
| **D | FP 2025, SANTANDER PROYECTO MI |
7.53 .8 |
532 87. |
|
| D D |
Eb EP 2030. 2035, SANTANDÉR SANTANDER PROYECTO PROYECTO MI MI |
0 0 |
510 161.535 178 .! |
61.535 78.510 1 I |
| **D | FP 2040. SANTANDER PROYECTO MI |
0 | 0 115.00 |
115.000 |
| **D | MUTUA UNIVERSAL MUGÉNAT ÉP | 0 | 24.783 | 24.783 |
| **D | AHORRO 38 FP SANTANDER |
0 | 31.190 | 31.190 |
| **D | FP MI PROYECTO SANTANDER 2045 PENSIONES |
0 | 4.090 பர |
54.090 |
| **D | EPSV PREVISION 1 SANTANDER |
ક રે б un L |
985 75 |
|
| **D | FP AHORRO 28 SANTANDER |
14.00 | 14.000 | |
| Pagina 50 | ||||
| Azionisti: | 21 Teste: 3 327 |
|||
| 3.316 Azionisti in delega: 11 Azionisti in proprio: |
||||
વૃદદ
EMARKET
SDIR
GRTIFFE ้ม રુ に
ું છે
ﺍﻟﻘﺎﺩﺭ ﺍﻟﻤﺴﺎﺣﺔ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪﺓ ﺍﻟﻤﺘﺤﺪ
ENEL S.p.A.
| 1) | |
|---|---|
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberazione von vicolate) FAVOREVOLI
| Ragione Sociale SANTANDER SANTANDER SANTANDER |
್ ಶಿ SOSTENIBLE RENTA VARIABLE GLOBAL PENSIONES SANTANDER COLECTIVO RENTA FIJA MIXTA 2 FP PENSIONES AHORRO 15 FONDO DE |
Proprio 0 0 0 |
Delega 8 5.817 0 35.18 570.08 S |
Totale 70.088 35.180 55.817 S |
||
|---|---|---|---|---|---|---|
| FP 3, COLECTIVOS RENTA VARIABLE MIXTA FP AHORRO 17 |
00 | 32.277 115-326 |
115.326 32.277 |
|||
| COLECTIVOS RENTA PREVIFUTURO F.P. |
VARIABLE MIXTA2,FONDO DE PENSIONES SANTANDER COLECTIVOS RENTA VARIABLE MIXTA 1 FP |
000 | 9 రు 150.404 54.02 ୧୫ - ୧୦ |
54.026 68-609 150.404 |
||
| FUTURE | SUSTAINABLE ECONOMY ETF CLIMATE AND |
19.852 | 19.862 | |||
| HORLD | READINESS ETF TRANSITION ETF MSCI EAFE INDEX EX US CARBON |
000 | 0 475.50 |
475.500 | ||
| ESG AWARE | 12 Ma INDEX FUNDAMENTAL INTERNATIONAL |
0 | 83.969 б 91.26 |
б б 83.96 91.26 |
||
| ETF (CAD-HEDGED) DIVIDENDINDEX GLOBAL MONTHLY |
0 | 5 50.53. |
50.535 | |||
| CORE | IMI INDEX ETF EAFE MSCI |
0 | 022.264 N |
2.022.264 | ||
| CORE MSCI |
INTERNATIONAL STOCK ETF ELE INDEX TOTAL IMI EUROPÉ MSCI |
00 | S 155.903 879.77 8 |
155.903 879.775 |
||
| ETF CORE MSCI INTERNATIONALDEVELOPED MARKETS |
0 | 311.439 4 . |
311.439 4 . 8 |
|||
| ESG MSCI | LEADERS INDEX ETF EAFE |
0 | 4.420 | .420 | ||
| MSCI CORE |
ETF EAFE ETF WORLD MSCI |
0 | 393.407 | 93.407 ర్ |
||
| MSCI | FACTOR ETF VALUE INTL |
0 | 43.762.063 2.098.014 |
098.014 3.762.063 2. P |
||
| MSCI | FACTOR ETF SIZE INTL |
00 | . 913 ਟ |
E 2.91 |
||
| ESG | ETF MSCI EAFE AWARE |
00 | S 649.14 4 . |
பு 649.14 4. |
||
| MSCI | MULTIFACTORETF GLOBAL |
б 21.49 |
б 21.49 |
|||
| MSCI | a ura LOW CARBON TARGET ACWI |
00 | 8 23.71 |
8 23.71 |
||
| CORE | FO. F FACTOR EQUITY ETE EUROPE INTERNATIONAL MSCI |
0 | ਟ 077.092 420.23 - |
420-232 3.077.092 |
||
| ETF GLOBAL INFRASTRUCTURE |
0 | 12.471.402 | 471.402 2 - T |
|||
| MSCI | 2018 ITALY |
0 | .657.844 ഗ |
5.657.844 | ||
| DIVIDEND ETF SELECT INTERNATIONAL |
0 | б 029.72 ന |
ర 029.72 8 |
|||
| MSCI MSCI |
EAFE VALUE ETF KOKUSAI ETF |
0 0 |
29.910 15.936.971 |
0 5.936.971 29.91 T |
||
| MSCI | 244 8 EUROZONE |
0 | 5 870.71 11 |
11.870.715 | ||
| EUROPE ETF | 0 | 0 1.416.80 |
1.416.800 | |||
| MSCI | ਣ ਜਾਣਿ EAFE |
0 | б 5.662.03 Z |
5-662-039 ਟ |
||
| MSCI | EX U.S. ETF ACWI |
0 | 1.477.40. | 477.40 1. |
||
| MSCI | INTÉRNATIONALINDEX FUND GLOBAL UTILITIES ETF EAFE |
0 | பர 691.281 623.14 ব . |
623.145 691.201 বা |
||
| BLACKROCK | UTILITIES INFRASTRUCTURE AND POWER OPPORTUNITIES TRUST | 0 0 | 5 .02 ਦੇ ਕੇ ਹ గా |
541.025 3. |
||
| ISHARES MSCI | ETF ACWI |
0 | 5 .274.58 ਟ |
ഗ 2.274.58 |
||
| INVESTMENT | ESGSTIFTUNGSFONDS DWS FOR GMBH |
0 0 | 0 1.000-00 |
1.000.000 | ||
| INVESTMENT INVESTMENT |
MOLTINDEX EQUITY FUND ESG DYNAMIK DAS FOR FOR GMBH GMBH |
0 | 79.464 0 5.93 |
79.464 5-938 |
||
| INVESTMENT | EQUITY EUROZONE QI DWS FOR GMBH |
0 | 61.273 | 61.273 | ||
| INVESTMENT | BALOISE-AKTIENFONDS DWS FOR GMBH |
0 | 05.00 | 00 ലടം |
||
| INVESTMENT | DYNAMIC OPPORTUNITIES DMS FOR GMBH |
0 | 0.050.000 ไ |
0.050.000 T |
||
| INVESTMENT INVESTMENT |
(FLEX) ESGTOP WORLD VORSORGE AS DMS DWS FOR FOR GMBH Сывн |
59.271 | 59-271 | |||
| INVESTMENT | VORSORGE AS (DYNAMIK) DWS FOR GMBH |
0 | 120.000 146.665 ব |
. 665 .120.000 । ਕੇ ਦ ঘা |
||
| INVESTMENT | LOEWEN AKTIENFONDS FOR GMBH |
5.00 10 |
55.000 | |||
| Pagina 51 | ||||||
| Teste: 3.327 |
21 | |||||
| Azionisti in delega: 11 |
3.316 |


LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Oggetto: Relazione sulla politica di romani corrisposti - Seconda Sezione: relazione: relazione: relazione non vincolante) FAVOREVOLI
| 57 ਕੇ ਪੈ ਪੈ ਪੈ ਪੈ ਪੈ ਪੈ ਪੈ ਕੇ ਪੈ ਕੇ ਪੈ ਕੇ ਪੈ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਹ ਕਿ ਉਸ ਦੀ ਸੀ। ਉਹ ਕੀ ਉਹ ਕਿ ਉਸ ਦੀ ਸੀ। ਉਹ ਉਸ ਦੀ ਸੀ। ਉਸ ਦੀ ਇੱਕ ਸੀ। ਉਸ ਦੀ ਸੀ। ਉਸ ਦੀ ਇੱਕ ਸੀ। ਉਸ 51 24 .385.417 ১ 8.026.864 127.192 a 33 775.53 . 18 . 26 14.483.85 6.1 б 178.0 S . 6 9. ਰੇ - 755 . 837 ર્ટ B 501 12.422 19.20 5.06 27 . 23 ా 3 0 N L ા P L ﺎ 0 0 0 0 0 0 0 0000000 0 00 0 0 0 0 |
310.631 114.042 സ 9 .397 5 ਟ 73.353 17.776 ల 0 9 216.072 0 ર 264 50 L P 65.610 26.18 100.23 1.763.75 118.55 177.18 05-91 E 00 0 0 00 0 0 |
124.032 13.210 0 O ਤੇ |
ర్ 77 93. 0 |
មា .200.617 02.73 3 రా ਟ 0 0 |
63 271.432 354 24.160 638.091 86.70 ర 314. 09. 48 - g. 239. 8 5 2 m L 0 0 0 0 0 0 |
|---|---|---|---|---|---|
| SUSTAINABILITY SCREENED UCITS ETF DE PLACE ETF AURORA ETF DE (DE) PINEBRIDGE GLOBAL DYNAMIC ASSETALLOCATION |
HEDGED aund FUND FUND |
FUEL S FUND LVL L EX FOSSI FUND |
PERPETUAL ECONOMIC DIVERSIFICATION GLOBAL EQUITY FOND |
BRANCH ORG. NON-LENDING, FUND FOR EXEMPT EQUITY PRIVATE POOL |
|
| SKANDINAVISKA ENSKILDA BANKEN AB (PUBL) - LUXÉMBOURG GLOBAL SHARES INFRASTUCTURE SHARES SHARES |
ర్ | ||||
| ୧ ହିଁ ୧ | |||||
| 317 | |||||
| ર જેડ 033 |
|||||
flo
EMARKET
SDIR
CRTIFFED 11
Sagar clickle صدران
11 Azionisti in delega:
3,316
1 10 maggio 2023 16.43.41
Oggetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione: relazione sui compensi corrispost nel 2022 (deliberzzione non viocolate) FAVOREVOLI
| Totale 111.416 066 32.772 17.630 5. S Delega ୧୧ 17.630 111.416 772 - O S ડા S € |
9.134 ਰੇ ਦ 190 б 204. 2. . 78 1 . 995 . 134 90 . 1 б 204 ਟ 7 8 1. |
6.103 2.046 20 I . 046 . 103 206 ನ દન |
6 ਰੇ ਬ ಗ್ರಾ S ਕੇ - ਕੋ 16. a 8 ਤੇ ਕੇ പ . g 9 б L |
વે ર 26.9 . 946 9 ਟ |
તે રે 743.227 -637.4 T 1 L .637.496 .743.227 T T |
18.381 01 . 3 0 โ |
122.638 201.059 ੜ ਰੋ 122.638 . Ө 201 |
41.859 59 41.8 |
442.631 . 631 00 .195.0 442 |
00 250 1.195.0 26. 50 こ ર. ਟ T |
9.655 ਟ 5 S 9.6 ਟ |
6.186.183 83 6-186-1 |
460.117 1 923 460.117 866. 13. |
866.923 590.000 3 . 00 590.00 |
184.673 184.673 |
424.881 ไ B 424.8 |
208.217 17 208.2 |
4.450.115 549 - 346 2. ਟ વે ર .450.11. 3 2.549. ਣ ਪੈ |
59.707 9-707 17 |
6.419.311 6.419.311 |
121.076 9 121.07 |
200.000 210.580 4 . 1 00 0 8 . 200 - 0 210.5 1. r |
8.476 ನ್ನು 9 - 47 ರಿ ಳ |
69-834 S 569.834 |
500.000 47.122 2. T 22 0 0 47.1 500.0 12. |
9 53 702. - 236 702 |
500 203 0 0 203.5 |
un 079.36 2. S 2 9 S క 079. 2. |
N 3.794.844 48-05 વે વ . O 3.794.8 8 ব |
24-55 . રેટે 24 |
610.073 7. ਟ .073 0 ਦ ਹ 7. 2 |
б 1.466.15 6 S 466 - J 1 - |
C 7.764 17 56. .170 P 7.76 રે રે |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio 0 0 |
O | 0 O |
0 | O 0 |
0 | 0 0 |
0 | 0 0 |
0 | 0 | 0 | 0 0 |
0 | 0 | 0 | 0 | 0 | 00 | 000000 | 00000000 | 0 | 0 | 0 | ||||||||||||
| MASTER TRU | Pagina 53 | 21 | |||||||||||||||||||||||||||||||||
| Billa | INFRASTRUCT EQUITY FUND EQUITY INDEXETF |
FUND CAP GREENCHIP GLOBAL ENVIRONMENTAL ALL FUND EQUITYINDEX |
GLOBAL LOW VOLATILITYEQUITY FUND | Out E INFRASTRUCTURE CLASS INDEX |
POOL | EQUITY FUND ENVIRONMENTAL EQUITY POOL |
ENVIRONMENTAL FUND | ASSETS FUND FUNDS TRUST-REAL |
FOR DWS ESG EUROPEAN EQUITIES | SA FOR ARERO DER WELTFONDS | GLOBAL ADVISORS LUXEMBOURG SICAV | ETF | UNITED TECHNOLOGIES CORPORATIONEMPLOYEE SAVINGS PLAN | ETF DIVIDEND COVERED CALL |
FUND EQUITY |
Teste: | |||||||||||||||||||
| INTERNATIONAL EQUITYFUND A GLOBAL EQUITY FUND REAL ASSETS FUND EUROPEAN EQUITY FUND Ragione Sociale GLOBAL HIGHSTREET HIGHSTREET AGF AGE |
TD MORNINGSTAR ESG INTERNATIONAL EQUITY INDEX INTERNATIONAL EQUITY FUND EQUITY POOL MACK EAFF |
IMPERIAL INTERNATIONAL EQUITY POOL CIBC PENSION PLAN |
CANADA LIFE GLOBAL CIBC INTERNATIONAL |
PURPOSE INTERNATIONAL DIVIDEND FUND | EMERALD INTERNATIONAL MACKENZIE ID |
MACKENZIE MACKENZIE |
INTERNATIONAL EQUITY IG MACKENZIE GLOBAL |
OVERSEAS EQUITY IMPERIAL |
GLOBAL GLOBAL GREENCHIP GREENCHIP MACKENZIE MACKENZIE |
GLOBAL GREENCHIP MACKENZIE |
THE GLENCORE CANADIAN PENSION | STRATEGIC FUNDS BLACKROCK |
BLACKROCK GLOBAL INDEX FUNDS INVEST ાજરી, દિવેલા, રજકો તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. તાલુકામાં આવેલું એક ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપા |
MULTI ASSET PIR FUND DM2 |
MATURITY FIXED DMS |
SA INVESTMENT DWS |
DWS INVESTMENT | STATE STREET XTRACKERS |
COHEN AND STEERS SICAV | GOLDMAN SACHS FUNDS | PINEBRIDGE INVESTMENTS FCP RAIF AXA WORLD FUNDS |
INVEST II DMS |
SURICH | DWS INVESTMENT SA FOR DWS MULTIOPPORTUNITIES | GLOBAL ADVANTAGE FUNDS DWS CONCEPT |
ALPS INTERNATIONAL SECTOR DIVIDEND DOGS | INFRASTRUCTURE FUND ABERDEEN GLOBAL |
INC BEAR CREEK |
EUROPE HIGH вмо |
CP INTERNATIONAL PARTNERS | COLLEGE RETIREMENT EQUILIES FUND | SOCIAL CHOICE INTERNATIONAL TIAACREF |
CAPULA TAIL RISK MASTER FUND LIMITED EAFE ESG LEADERS INDEXETF BMO MSCI |
3.327 | |
| Badge D D D D |
D D **D |
D D |
D D |
D D |
**D | D D |
**D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | **D | D D |
**D | **D | D D |
**D | **D | **D | D D |
**D | Azionisti: |
વુદ્ય
EMARKET
SDIR
GRTIFFE
જી
Jadjan N.
1
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
ENEL S.p.A.
Oggetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione sui composi corrisposti nel 2022 (deliberazione non vinolante) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | ||||
|---|---|---|---|---|---|---|---|---|
| **D | COMMONFUND SCREENED GLOBAL EQUITY LLC | 0 | 000 911.549 16. 3. |
б 16.800 911.54 E |
||||
| D D |
BUBLIC LIMITED COMBANY ABERDEEN STANDARD XTRACKERS (IE) |
GLOBAL INFRASTRUCTURE INCOME FUND | 0 | 807.900 T |
807.900 T |
|||
| **D | RUSSELL INVESTMENT COMPANY INTERNATIONAL DEVELOBED MARKETS FUND | G | 151.291 1 |
1 .29 151 1 |
||||
| **D | BOARD FUND PROVIDENT CENTRAL |
0 | u 26.20 |
26.205 | ||||
| **D | CITY UNIVERSITY OF NEW YORK | 0 | U 8.80 |
0.005 | ||||
| **D | FIDUCIE GLOBALE DES REGIMES DERETRAITE | DE SOCIETE LA DE |
TRANSPORT DE MONTREAL | 0 | 700 ਰੇ ਹੋ ਹੈ |
99.700 | ||
| **D | POOL EQUITY GLOBAL NET |
0 | 118.522 | 118-522 | ||||
| **D | COMPANY PUBLIC LIMITED ANIMA FUNDS |
0 | .297.086 € |
.297.086 € |
||||
| **D | HEALTH MERCY SECOURS BON |
0 | 049.252 L |
1.049.252 | ||||
| **D | FOND INVESTMENT PENSION GOVERNMENT |
0 | .324.574 12 |
12.324.574 | ||||
| **D | FUND INVESTMENT PENSION GOVERNMENT |
0 | 27.013.623 | 27.013.623 | ||||
| **D | FUND INVESTMENT PENSION GOVERNMENT |
175 .431. 14 |
175 .431. 1 ব |
|||||
| **D | UNIVERSITY THE REGENTS OF THE |
OF CALIFORNIA | 7.168.523 | 523 7.168. |
||||
| **D | IMPACT CALVERT |
FUND INC CALVERT GLOBAL ENERGY SOLUTIONS FUND | ова 179. |
179.083 | ||||
| **D | INTERNATIONAL a Air E VP CALVERT |
INDEX PORTFOLIO | ട് 2 ದ ട്. 9 |
362 ୧୧ . |
||||
| **D | EX-U.S. EQUITY INDEX GLOBAL FIDELITY |
TRUST INSTITUTIONAL |
1.311 | 1.311 | ||||
| **D | UTILITIES VIP FUND GLOBAL GUARDIAN |
387-011 | 387.011 | |||||
| **D | PORTFOLIO TANGERINE DIVIDEND |
0 | 88.175 L |
188.175 | ||||
| **D | PORTFOLIO INCOME BALANCED TANGERINE |
0 | 16.621 | 16.621 | ||||
| **D | THE COLORADO HEALTH FOUNDATION | 0 | 029 8 5 |
58.029 | ||||
| fl | **D | RUSSELL INVESTMENT | COMPANY MULTIASSET GROWTH STRATEGY | FUND | 0 | . €11 33 |
33.611 | |
| **D | RUSSELL INVESTMENT | COMPANY TAXMANAGED REAL ASSETS FUND | 0 | 220.044 | 220-044 | |||
| C | **D | BALANCED RETIREMENT FUND AARP HARTFORD |
0 | .154 3 |
3.154 | |||
| **D | ASSET FUND REAL HARTFORD |
0 | . 982 51 |
982 51 - |
||||
| **D | FUNDS INSURANCE AMERICAN |
SERIESMEN MORTD FUND | 0 | 435.216 | 435.216 | |||
| **D | GLOBAL ALLOCATION FUND JNL / JPMORGAN |
0 | 15,330 | 15.330 | ||||
| **D | CORE EQUITY FUND INTERNATIONAL JNL/DFA |
0 | 60.218 | 60.218 | ||||
| **D | COMPANY IIMITED PUBLIC OPENWORLD |
0 | 069.890 | 068.668 | ||||
| **D | COMPANY V PLC INVESTMENT RUSSELL |
0 | 124.938 | 124.938 | ||||
| **D | OF CAYMAN ISLANDS CHAMBER |
COMMERCE PENSION FUND | 0 | 45-137 | 45.137 | |||
| **D | ALL CAP GLOBAL STREET STATE |
INDEX PORTFOLIO EQUITY EXUS |
0 | 8 .584.04 ไ |
584.048 1. |
|||
| **D | INTERNATIONAL DEVELOPED EQUITY STREET STATE |
INDEX PORTFOLIO | 0 | 01 1.583.8 |
583.881 1. |
|||
| **D | COUNTY EMPLOYEES RETIREMENT LOS ANGELES |
ASSOCIATI | 0 | S 8 . 8 ਕੇ ਉ ਕ T |
S 984-88 T |
|||
| **D | INTE KAPITALANLAGEGESELLSCHAFT | DC EUROLAND EQUITIES MBH FOR |
0 | 084.531 1 |
084.531 1. |
|||
| **D | ALLOCATION FUND BLACKROCK GLOBAL LVIP |
0 | ਰੇ ਪੈ 6.8 ರ |
46.894 | ||||
| **D | OF LOS ANGELES DEFERRED COMPENSATION AND THRIFT COUNTY |
PLAN | 0 | 034.743 ਟ |
34.743 8 ਟ |
|||
| **D | PUBLIC MARKETS I LLC мвв |
0 | 83.742 S |
83.742 ப |
||||
| **D | TECH AND INDUSTRIAL INNOVATION INDEX MSCI вмо |
ETF | 0 | 8 4.69 |
4-698 | |||
| **D | EAFE INDEX ETF NSCI вмо |
0 | 8 575.93 ડી |
93 575. ਟ |
||||
| **D | INTERNATIONAL DIVIDEND ETF вмо |
0 | 927.290 | 927.290 | ||||
| **D | ONIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINKEON SCKB | CARBON FOCUS | 0 | 19.636 | 19.636 | |||
| **D | RETIREMENT AND BENEFITS PLANS STATE OF ALASKA |
0 | 58.21 1 |
50,212 t |
||||
| **D | QUALIFIED EDI SON DETROIT |
TRUST NUCLEAR DECOMMISSIONING |
0 | 67.185 | 67.185 | |||
| **D | PLACEMENT DUQUEBEC DEPOT ET DE CAISSE |
0 | .926.723 T |
. 926 . 723 T |
||||
| * * D | BRIGHTHOUSE FUNDS TRUST I SCHRODERS GLOBAL MULTIASSET | PORTFOLIO | 0 | 37.000 | 808 37. |
|||
| **D | SAVINGS PLUS 401(K) CORPORATION MICROSOFT |
PLAN | 0 | .837.981 2 |
2.837.981 | |||
| **D | INVESTMENT RUSSELL |
COMPANY TAXMANAGED INTERNATIONAL | EQUITY FUND | રવાયા .706. τ |
1.706.641 | |||
| **D | RUSSELL INVESTMENT COMPANY GLOBAL | INFRASTRUCTURE FUND | 311 67. € |
367.311 | ||||
| **D | LORD ABBETT SECURITIES TRUST-LORD | ABBETT INTERNATIONAL VALUE FUN | 6.680 . 08 L |
1.086-680 | ||||
| Pagina 54 | ||||||||
| Azionisti: | Teste: 3.327 |
21 | ||||||
| 3 316 | ||||||||
| Azionisti in proprio: | 11 | Azionisti in delega: |
EMARKET
SDIR
GRTIFFE
ﺎﺭ ﺍﻟﻤﺮﺍﺟﻊ
ﺮﺍﺕ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍﻟﻤﺴﺘﻮﻯ ﺍ
ുക്കു ে
10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023

Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzzione voo vineolante) FAVOREVOLI
| Ragione Sociale | Proprio | Delega | Totale | |||
|---|---|---|---|---|---|---|
| FRANKLIN TEMPLETON | ELE ETF TRUST - FRANKLIN FTSE ITALY |
00.05 | 80.852 | |||
| INTERNATIONAL TEMPLETON FRANKLIN FRANKLIN |
TRUST-FRANKLIN LIBERTYQ INT L EIF INDEX EQUITY ETE |
EQUITY HEDG | 379.852 | 852 379. |
||
| HAND COMPOSITE EMPLOYEE BENEFITTIRUST | 58.996 | જે રેણવાડી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં પ્રાથમિક શાળા, આંગણવાડી તેમ જ દૂધની ડેરી જેવી સવલતો પ્રાપ્ય થયેલી છે. આ ગામનાં પ્રાથમિક શાળા, આંગણવાડી તેમ 58. |
||||
| TRANSAMERICA MORGAN | STANLEY GLOBAL ALLOCATION VP | 66.289 32.091 |
091 32. |
|||
| TRANSAMERICA | STOCK INTERNATIONAL |
06.462 | 86.289 | |||
| BALANCED TANGERINE |
PORTFOLIO | 109.448 | 06.462 09.448 |
|||
| BALANCED TANGERINE |
GROMTH PORTEOLIC | 135.373 | 135.373 | |||
| AMERICAN | GROWTH AND INCOME FUNDS INSURANCE SERIESINTI, |
FUND | 04.058 ਣ |
284.058 | ||
| ROCHE U.S. | RETIREMENT PLANS MASTER TRUST | 319.572 | 572 319. |
|||
| LAZARD INTERNATIONAL EQUITY (CANADA) FUND | 45.549 | 45.549 | ||||
| SELECT MASSMUTUAL |
EQUITY INTERNATIONAL ROWE PRICE E |
FUND | 671-822 | 822 671. |
||
| INCOME GLOBAL DWS |
FUND BUILDER |
95.267 | 95.267 | |||
| INCOME GLOBAL DWS |
BUILDER VIP | 17.190 | 17.190 | |||
| ADVANTAGE INVESCO |
INTERNATIONALFUND | 2.767 | 767 2. |
|||
| STYLE MULTI MOTHET |
MANAGER FUNDSPLC | 07.568 য |
ടലെ 407. |
|||
| SYSTEMS cisco |
FOUNDATION | 29.483 | 29.483 | |||
| INSTITUTIONAL | TRUST RETIREMENT |
59.615 | 159.615 | |||
| MDPIM INTERNATIONAL EQUITY INDEX | POOL | 415.803 | 415.803 | |||
| THE PRUDENTIAL INSURANCE COMPANY OF AMERICA | 279.171 | 171 279. |
||||
| INTERNATIONAL RHUMBLINE |
INDEX TRUST POOLED |
212.247 | 247 212. |
|||
| LOW CARBON RHUMBLINE |
FUNDLIC INDEX |
188.609 | 180.609 | |||
| MSCI PORTFOLIO SPDR |
MARKET ETF STOCK GLOBAL |
75.742 | 75.742 | |||
| FOSSIL EAFE MSCI SEDR |
ETF FREE RESERVES FUEL |
0 | 144.666 | 144.666 | ||
| EAFE MSCI SPDR |
STRATEGICFACTORSETF | 224.632 | 224.632 | |||
| MOUNT HATTON | LIMITED INVESTMENTS |
18.193 | 18.193 | |||
| UCITS MERCER |
COMMON CONTRACTUALFUND | 26.954 | ਰੇ ਦੇ ਪੈ 26. |
|||
| QIF COMMON MERCER |
CONTRACTUAL FUND | .715.676 ਟ |
.715.676 ਟ |
|||
| MARIGOLD TACTICAL | STRATEGIES LTD | 38.258 | 38.258 | |||
| REAL GLOBAL NBI |
ETF INCOME ASSETS |
.140.763 ਟ |
763 .140. 2 |
|||
| MARYLAND STATE RETIREMENT PENSION | SYSTEM | 276.384 | 384 276. |
|||
| TALCOTT | COMPANY RESOLUTION LIFE INSURANCE |
72.260 | 72.260 | |||
| NORTHROP GRUMMAN | I MASTER TRUST CORPORATION VEBA |
26-125 | 125 26. |
|||
| MUSASHI SMART PREMIA FUND | 9.320 | 9.320 | ||||
| ALLIANCEBERNSTEIN EUROPEAN | SERIES OPPORTUNITIES |
-728.747 2 |
.728.747 て |
|||
| GLOBAL PRICE ROWE T. |
ALLOCATIONFUND | B 23.24 |
248 3. 2 |
|||
| NEW YORK GROUP CITY OF |
TRUST | 97.143 n - ਟ |
.597.143 23 |
|||
| RAFI PES : PIMCO |
DYNAMIC MULTI-FACTOR INTERNATIONAL | EQUITY ETF | 74.746 | 74.746 | ||
| TRUST COMMON ALASKA |
FUND | 67.103 C |
103 67. ਟ |
|||
| SMBH GMBH INVESTMENT DWS DMS |
BG 2 DEAM-FONDS DEAM FOR FOR |
15.000 | 15.000 | |||
| СМВН INVESTMENT INVESTMENT DWS |
PMB I ABET FONDS FONDS DEAM FOR |
00888 | 000 8. |
|||
| FUND INCUBATION THE |
LTD | 30.000 | 30.000 | |||
| GMBH INVESTMENT DWS |
RKBS DEAM-FONDS FOR |
3.597 | 597 ም ነው። ፊልም ነው። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። የሚያስተዋል። |
|||
| GMBH INVESTMENT DWS |
KDE 1 DEAM FONDS FOR |
67.225 | 225 67. |
|||
| СМВН INVESTMENT DWS |
2 DEAM FONDS WOP FOR |
16.000 105.619 |
16.000 ਦਾ ਕੇ 105. |
|||
| GMBH INVESTMENT DHS |
DEAMFONDS KGPENSIONEN FOR |
48.546 | 546 48 - |
|||
| THRIVENT INTERNATIONAL | PORTFOLIO INDEX |
87-659 | 659 87. |
|||
| THRIVENT INTERNATIONAL ALLOCATION FUND | 42.464 ਪ |
442.464 | ||||
| RUSSELL | POOL INVESTMENTS FOCUSED GLOBAL EQUITY |
16.992 | 992 16. |
|||
| Pagina 55 | ||||||
| Azionisti: | Teste: 3.327 |
21 | ||||
| Azionisti in proprio. | Azionisti in delega: 11 |
3.316 | ||||

Ladin alle 1000
10 maggio 2023 16.43.41

LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (delberzione non vincolarte) FAVOREVOLI
| Ragione Sociale | ||||||
|---|---|---|---|---|---|---|
| Badge **D |
INVESTMENT GMBH FOR DEAM DNS |
FONDS PTF | Proprio | 300 Delega 42. |
Totale 42 - 300 |
|
| **D | DWS INVESTMENT GMBH FOR DEAM | FONDS SVSW | 0 | .830 ਣ ਰੇ |
830 9. ਟ |
|
| **D | STOCK FUND GLOBAL THRIVENT |
339.303 | 339.303 | |||
| **D | LOW VOLATILITY EQUITY FUND THRIVENT |
8.722 | 8.722 | |||
| **D | STOCK PORTFOLIO GLOBAL THRIVENT |
254.953 | 254.953 | |||
| **D | VOLATILITY EQUITY PORTFOLIO LOW THRIVENT |
14.846 | 14.846 | |||
| **D | CORE INTERNATIONAL EQUITY FUND THRIVENT |
359.705 | 359.705 | |||
| **D | INSTITUTIONAL INVESTMENTS RUSSELL |
LLC INTERNATIONAL EQUIT FUNDS. |
0 | 328.090 | 328.090 | |
| **D | INSTTTUTTONAL INVESTMENTS RUSSELL |
ASSET COR E PLUS FUND LLC MULTI FONDS |
0 | 340-099 | 340.099 | |
| **D | INSTITUTIONAL INVESTMENTS RUSSELL |
LLC GLOBAL LISTED INFRA FUNDS, |
0 | 338.634 | 338-634 | |
| **D | KOREA OF BANK THE |
0 | 199.964 | 199-964 | ||
| **D | KOREA OF BANK THE |
0 | 551.744 | 551.744 | ||
| **D | TRUST STREET IRELAND UNIT STATE |
0 | 776.710 | 776.710 | ||
| **D | STATE OF CONNECTICUT, THE |
ACTING THROUGH ITS TREASURER | 0 | 7.710.642 | 7.710.642 | |
| **D | INC AMÉRICA SERVICES GROUP OF |
0 | 6.285 ਟ |
26.285 | ||
| **D | ADMINISTRATIVE HONG KONG SPECIAL |
REGION GOVERNMENTEXCHANGE FUND | 0 | 6 53 10. |
10.539 | |
| * D | CARE LONG-TERM PUBLIC ENBLOXEES. |
FUND | 0 | 972.519 | 972.519 3. |
|
| **D | EUROPE I ETFS SPOR SSGA |
COMPANY PUBLIC LIMITED |
0 | .116.947 L |
116.947 ไ |
|
| **D | SPDR ETFS SSGA |
EUROPE II PUBLICLIMITED COMPANY | 0 | S ਰੇ 7 B 58 5. |
u 588.97 ഗ |
|
| **D | TJ-QUALIFIED LLC | 0 | 224 - 463 | 224.463 | ||
| **D | AMERICAN CENTURY | EQUITY ETF ETF TRUST-AVANTIS INTERNATIONAL |
0 | 533.175 | 533.175 | |
| **D | INVESTMENT MANAGEMENT CENTURY AMERICAN |
INC | 0 | .617 2 |
2.617 | |
| **D | CENTURY AMERICAN |
EQUITY FUND ETF TRUST-AVANTIS INTERNATIONAL |
0 | 34.142 | 34.142 | |
| **D | MIBJ FRANK RUSSELL INVS JAPAN LIMITED INT EQUILY | FUND | 0 | 182-806 | 182.806 | |
| **D | DMS-FONDS FOR GMBH DMS INVESTMENT |
1 CAESAR |
0 | 107.000 | 107.000 | |
| **D | MULTIMANAGER GLOBAL ARCHITAS |
UNIT TRUST FUNDS |
0 | 66-040 | 66.040 | |
| **D | DISNEY COMPANY RETIREMENT HALT THE |
TRUST PLAN MASTER |
0 | б 8 247.8 |
б 247-88 |
|
| **D | TRUST MASTER THE |
FOR BANK OF JAPAN,LTD. AS TRUSTEE |
DWS CONCEPTKALDEMORGEN MOTHER FUND | 0 | 275-575 | 275.575 |
| **D | GLOBAL DYNAMIC ALLOCATION AB TRUST I |
PORTFOLIO | O | б 361.94 |
361.949 | |
| **D | AMERICAN BEACON INTERNATIONAL EQUITY | FUND | O | 882.00 | 000-288 | |
| **D | INVESTMENT GMBH FOR DEAMFONDS DRE |
1 нов |
0 | 132.174 | 132.174 | |
| **D | LORD ABBETT | SECURITIES TRUST-LORD ABBETT INTERNATIONAL EQUITY FD | 0 | 0 478.35 |
0 478.35 |
|
| **D | LLC SELECT, ાંગ ઉ |
0 | ದ 282.62 |
S 282.62 |
||
| **D | GLOBAL EQUITY FUND NICOLA |
0 | 489.000 1. |
489.000 1. |
||
| * D | CALVERT INTERNATIONAL RESPONSIBLE INDEX FUND | 0 | 398.687 | 398.687 | ||
| **D | PARAMETRIC INTERNATIONAL EQUITYFUND | 0 | 8 ਰੇ 8 241. |
8 241.98 |
||
| **D | RICHARD EATON VANCE |
BERNSTEIN ALL ASSET STRATEGY FUND | 0 | 180.039 | 180.039 | |
| **D | FOUNDATION INC PARKER |
0 | 73.353 | 73.353 | ||
| D D |
TEMPLETON ETF TRUST - FRANKLIN FTSE EUROPE FRANKLIN |
HEDGED ETF | 0 | 10.602 | 10.602 | |
| **D | FUBON COMMERCIAL BANK CO.,LT D IN ITS CAPACI INTERNATIONAL EQUITYPORTFOLIO TAXMANAGED TAIPEI |
TY AS MASTERCUSTODI AN OF PINEERIDGE THEMATI | 0 0 |
40.123 б 77.80 |
40.123 б 77.80 |
|
| * D | SCOTIA INTERNATIONAL EQUITY INDEX | TRACKER ETF | 0 | 91.174 | 91.174 | |
| **D | INTERNATIONAL TRANSAMERICA |
EQUITY INDEX VP | 0 | 37.281 | 37.201 | |
| **D | FUNDS-INVESCO SERIES MULTI INVESCO |
RETURNS FUND TARGETED GLOBAL |
0 | 1.350 | 1.350 | |
| **D | WILLIAM BLAIR | INTERNATIONAL SMALL CAP GROWTH FUND | 0 | 7-784 | 7.784 | |
| **D | CDC PENSIOENFONDS ING STICHTING |
0 | 195.739 | 195.739 | ||
| * * D | VANECK FUNDS-ENVIRONMENTAL | FUND SUSTAINABILITY |
0 | 7-600 | 7.600 | |
| **D | PLC RUSSELL INVESTMENT COMPANY |
643.075 | 643-075 | |||
| **D | INI MELLON WSCI MORTD INDEX FOND | 52-771 | 52.771 | |||
| **D | TANGERINE EQUITY GROWTH PORTFOLIO | 164.402 | 164.402 | |||
| Pagina 56 | ||||||
| AZIONISTI: | 3.327 | 21 Teste: |
||||
| Azionisti in proprio: | 11 | 3.316 Azionisti in delega: |
વાદ્ય

Justas and in Jolly
10 maggio 2023 16.43.41

Ogesto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compezsi corrisposti nel 2022 (deiberazione on vincolarte) FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| D D |
FIRST CHURCH OF CHRIST SCIENTIST | C | 19.830 | 19.830 | |
| **D | БСС SSGA INTERNATIONAL INDEX FUND RUSSEL INSTITUTIONAL FUNDS FRANK IVIS |
0 O |
1.170.072 3.394 t |
13.394 | |
| **D | FU SSGA DEVELOPED INTERNATIONAL 150 IVIE |
0 | 123.033 | 123.033 1.170.072 |
|
| D D |
EQUITY FUND INTERNATIONAL CORE PRUDENTIAL TRUST DIMENSIONAL СІДБ |
0 | ર ૯ S 125. |
125.556 | |
| **D | COMPANY COLLECTIVE TRUST PLC MGI FÜNDS |
0 | 138-072 | 138.072 | |
| **D | FUND MULTIASSET FACTOR EXPOSURE INVESTMENTS RUSSELL |
0 0 |
72.787 556.222 |
556.222 72.787 |
|
| **D | COMMON PENSION FUND D JERSEY STATE OF NEW |
0 | .842.675 प |
4.842.675 | |
| **D | CDC PENSIOENFONDS STICHTING NN |
0 | 34.173 | .173 34 |
|
| D D |
FUNDS TRUST I -PANAGOR A GLOBAL DIVERSIFIED RISK PORTFOLIO PIMCO DIVIDEND AND INCOME FUND SERIES: EQUITY BRIGHTHOUSE PIMCO |
0 | 41.848 | 41.840 | |
| **D | PIMCO RAE INTERNATIONAL FUND SERIES: EQUITY PIMCO |
0 0 |
53 .536.391 C - 9 9 L |
66.253 | |
| **D | LIMITD KONG HONG PRUDENTIAL |
0 | ୧୦ .813.5 E |
813.560 536.391 3. L |
|
| **D | DEAM FONDS TOCO FOR ਵਿੱਚ ਮੈਡ ਮੈਡ ਦੇ ਕੀਤੀ ਹੈ। ਇਸ ਦੀ ਇੱਕ ਵਿੱਚ ਇੱਕ ਸਿੰਘ ਦੇ ਅੱਤੇ ਸਾਰ ਦੀ ਸੀ। ਉਸ ਦੀ ਸੀ। ਉਹ ਇੱਕ ਸਿੰਘ ਸੀ। ਉਸ ਦੀ ਸੀ। ਉਸ ਦੀ ਸੀ। ਉਹ ਇੱਕ ਸਿੰਘ ਦੇ ਮੁੱਖ ਸਿੰਘ ਦੇ ਮੁੱਖ ਸਿੰਘ ਦੇ ਮੁੱਖ ਸਿੰਘ ਸੀ। ਉਸ ਦ INVESTMENT DWS |
0 | . 400 8 B |
88.400 | |
| D D |
DEAMFONDSBCA 1 FOR GMBH INVESTMENT OMS |
0 | . 454 ర 3 |
9.454 E |
|
| **D | INTEGRATIE DEUK EN (RE) DEAM-FONDS HERK FOR PENSIOENFORDS GMBH INVESTMENT STICHTING DWS |
0 0 |
511.873 | 511.873 | |
| **D | CA IV FONDS DEAM FOR сман INVESTMENT DWS |
0 | 37.605 20.057 |
37.605 20.057 |
|
| **D | RHEIN FONDS DEAM FOR GMBH INVESTMENT DWS |
0 | 95.114 | 95.114 | |
| D D |
PMF I FONDS DEAM FOR GMBH INVESTMENT DHS |
0 | 140.000 | 140.000 | |
| **D | SEBNI ไ ટાખ FONDS FONDS DEAM DEAM FOR FOR GMBH GMBH INVESTMENT INVESTMENT DWS DWS |
0 | 500.000 | 500.000 | |
| **D | ໄ RTU FONDS DEAM FOR GMBH INVESTMENT DWS |
0 0 |
170.000 | 170.000 | |
| **D | ไ PSF FONDS DEAM FOR GMBH INVESTMENT DMS |
0 | 7.042 11.702 |
11.702 7.042 |
|
| **D | ໄ LHG FONDS DEAM FOR GMBH INVESTMENT DMS |
107.711 | 107.711 | ||
| **D | OKA FORDS DEAM FOR GMBH INVESTMENT DWS |
ਰੇ ਦੇ б б ਟ |
ਰੇ ਦ б a. ਟ |
||
| **D | NKS FONDS DEAM FOR GMBH INVESTMENT DM2 |
70.000 | 70.000 | ||
| **D | INVESTMENTS GLOBAL INFRASTRUCTURE POOL RUSSELL |
.658.463 L |
1.658.463 | ||
| D D |
FRS DESMEONDS POOL FOR EQUITY GMBH OVERSEAS INVESTMENT RUSSELL DWG |
0 | 133.612 | 133.612 | |
| **D | 1 KLP FOR DEAMFONDS DWS INVESTMENT GMBH |
70-000 | 70.000 | ||
| * * D | CPT DEAM-FONDS |
0 | 100 90.000 87. |
0.000 87.100 б |
|
| **D | INVESTMENTS INSTITUTIONAL FUNDS LLC SUSTAINABLE MULTI ASSET GROWTH FUND RUSSELL |
0 | 144.576 | 576 144 - |
|
| **D | FOLKSAM OMSESIDIG LIVFORSAKRING | 389.943 | 389.943 | ||
| **D | FOR DEAM FONDS LW1 INVESTMENT GMBH DWS |
507 10. |
507 0. ไ |
||
| *D * D |
15 FOR DEUTSCHE BERGBURG GMBH CALIFORNIA STATE INVESTMENT DMS |
50.000 | 0.000 5 |
||
| **D | TEACHERS. RETIREMENT SYSTEM CCF STREET STATIO |
0.126.736 ১ |
20.126.736 | ||
| **D | MILMINGTON TRUST COLLECTIVE INVESTMENT TRUST | 52 363 . Ө .218. 0 9 L |
52 .218.363 8 0. g |
||
| **D | FARGO INTERNATIONAL GROWTH PORTFOLIO WELLS |
166 66 . |
66.166 I |
||
| **D | INTERNATIONAL PORTFOLIO ENHANCED FACTOR FARGO WELLS |
176.929 | 176.929 | ||
| **D | BOARD STATE INVESTMENT WASHINGTON |
ਰੇਚ ਹ 2.978. |
.978.981 ਟ |
||
| D D |
EMPOWER ANNUITY INSURANCE COMPANY | 166 303. |
303.168 | ||
| **D | CO NATL ASSOCMULTIPLE COLLECTIVE FUND CORE INTERNATIONAL EFFICIENT THE WELLINGTON TR WISDOMTREE |
INVESTMENT FDS TR | 32.634 L |
132.634 | |
| **D | FUNDS TRUST ENDURING ASSETS FORTFOLIO WICN COMMON TRUST |
.340.724 E |
.340.724 E |
||
| **D | THE INTERNATIONAL EQUITY PORTFOLIO HC CAPITAL TRUST- |
852 ਰੇ 3 5 477. 47. |
ਰੇਤੇ ਦੇ .477.852 47. ા |
||
| **D | ITC SYLVAN PARTNERS, |
338 14. |
338 14. |
||
| **D | VANGUARD FISE DEVELOPED EX NORTH AMERICA HIGH DIVIDEND YIELD IND | 519 63 - |
3.519 9 |
||
| Pagina 57 | |||||
| Azionisti: | Teste: 3.327 |
21 | |||
| Azionisti in proprio: | Azionisti in delega: 11 |
ਤ 'ਤੇ I Q |
EMARKET
SDIR
GRTIFFE
(indoces
ിലേ
10 maggio 2023 16.43.41
Ogetto: Relazione sulla politica di remunerai corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzaione non vincolante) FAVOREVOLI
| VANECK LOW CARBON ENERGY ETF Ragione Sociale |
Proprio | Delega .345.878 |
Totale 2.345.878 |
|---|---|---|---|
| UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR PROUIFONDS SAA | 270 819. ਟ |
819.270 | |
| FUND INT VALUE PLANS FIDELITY SERIES RETIREMENT EXEMPT TRUST TAX INV ADV GLOB FIDELITY |
0 | 650 .707 . 3 |
3.707.650 |
| RETURN VIS FUND TOTAL STATE STREET ssi |
0 ୧ ସ . 848 . ട 3 |
5.840.614 ల |
|
| PORTFOLIO RETURN MARKET TOTAL THE AB PORTFOLIOS AB ALL |
554 31.780 132. |
.554 31.780 132 |
|
| STEERS ALTERNATIVE INCOME FUND, INC INC. FUND, INFRASTRUCTURE STEERS u COHEN & COHEN |
ਰੇ 7 4 . 694 - โ |
.694.974 L |
|
| TRUST GROUP PERMANENTE KAISER |
540 961 16 - 203 . |
6.540 203.961 J |
|
| UNIVERSALINVESTMENTGESELLSCHAETHBH LOR REFEONDS | 12.575 | 12.575 | |
| ETF FUNDAMENTAL INTERNATIONAL LARGE COMPANY INDEX SCHWAB |
186 . OHE. 8 |
8.086.106 | |
| OPPORTUNITIES FUND INTERNATIONAL SCHWAB |
ਰੇ ਦੇ ਰੇ ਤੇ ਤੇ ﺎ |
133.989 | |
| FUND STRATEGIC COREEQUITY GLOBAL CANADA AB |
ਉ ਕੇ ਪੈਂ 139. |
139.894 | |
| Cicinia UNREDGED FUND CAP-REIGHTED, VALUE INTERNATIONAL EQUITY VALUE AB l INT TRUST CAN AB AB |
0 | 109.020 | 109.020 |
| COLLECTIVE INVESTMENT TRUST TRUST COMPANY HANCOCK JOHN |
676 307.340 49 . |
307.340 49-676 |
|
| ETF DEVELOPED INTERNATIONAL MULTIFACTOR HANCOCK JOHN |
0 | 716 163. |
163.718 |
| VARIABLE INSURANCETRUST STRAT EQ ALLOCATION TRUST HANCOCK JOHN |
.186.730 I |
1.186.730 | |
| FUND INFRASTRUCTURE HANCOCK JOHN |
0 | 88 d .441. 3 |
3.441.884 |
| STRATEGIES PORTFOLIO GAAINCOME ADVANTAGÉ RETIREMENT PUTNAM |
087 82. |
087 82 - |
|
| RETIREMENT ADVANTAGE GAREQUITY PORTFOLIO PUHNAM |
0 | 382 3. 8 |
83 - 382 |
| MBH FOR LHPRIVATRENTEAKTIEN KAPITALANLAGEGESELLSCHAFT INTE |
0 | 28.000 S |
528.000 |
| VERSICHERUNGSAG VPV ALLGEMEINE GOLDMAN |
0 | 000 55. |
55.000 |
| FUND GLOBAL MANAGED BETA REALASSETS STRATEGY FND TRUST GOLDMAN SACHS MULTIMANAGER SACHS SACHS GOLDMAN |
0 | 94.429 | 94.429 |
| BENEFIT FUNDS TRUST COMMINGLED EMPLOYEE INVESTMENTS TRUST COMPANY RUSSELL |
0 0 |
ਰ 0 ୧ 082 ട. 89 - 9 |
ao e 689.082 5. |
| TRUST FUNDS BENEFIT ENSTOREE COMMINGLED INV RSS |
574.113 | 574.113 | |
| INVS IREL RUSSELL IREL SERVICES CUSTODIAL SSB |
0 | 234.235 | 234-235 |
| PLAN RETIREMENT I BM |
0 | 31.410 | 31.410 |
| TRUSHI BUILDER OPPORTUNITIES INCOME THORNBURG |
ਹੈ ਕੇ ਉ .598. ਟ |
2.598.049 | |
| BBS GMBH FOR DEAM FONDS DWS INVESTMENT |
31.270 | 31-270 | |
| WORLD ESG UIFONDS AKTIEN FUND UNIVERSALINAESTMENTGESELLSCHAFTMBH EOR BUILDER INCOME INVESTMENT THORNBURG |
040 ୧୦ - |
60.040 | |
| FUND THORNBURG BETTER WORLD INTERNATIONAL |
329 671 1.129. 9.905. 5 |
59.905.671 | |
| CTWI 1 UI FOR UNIVERSALINVESTMENTGESEITSCHAETMBH |
23.632 | 1.129.329 23.632 |
|
| HL RESERVEUIFONDS UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR |
800 26. |
26.800 | |
| INCOME FUND REAVES UTILITY |
257 6.465. |
6.465.257 | |
| FUND MOTHER INDEX KOKUSAI ASCI MATB |
760 120. |
128.760 | |
| CENTURY ETF TRUST-AVANTIS RESPONSIBLE INTERNATIONAL EQUITY ETF AMERICAN |
3.073 | 3.073 | |
| ETE STRATEGICFACTORS WORLD NSCI SPDR |
952 5. |
. 952 டு |
|
| SERIES INSIGHTS RESEARCH GLOBAL AB |
. 937 . 316 S |
.937.316 S |
|
| SERIES BUSINESS TRUST - AB INTERNATIONAL STRATEGIC EQUITIES BUSINESS DELAWARE DELAWARE ALLIANCEBERNSTEIN ALLIANCEBERNSTEIN |
ਰੋ 0 .210.4 ໄ |
.210.490 I |
|
| ESG TAIL RISK CONTROL (WORLD) II TRUST-AB GLOBAL RESEARCH INSIGHTS SERIES UNIVERSAL-INVESTMENT-GESELLSCHAFT MBH FOR FINREON SGKB |
521 .692 . T |
-692.521 1 |
|
| LP FUND I M |
355 60.000 3. |
3.355 60.000 |
|
| ты VNL |
1.030 | 1.030 | |
| GIOBAL EQUITY INCOME FUND NUVEEN |
303.775 | 303.775 | |
| FUND ASSET INCOME REAL NÜVEEN |
128 1.763. |
1.763.128 | |
| FUND REAL ASSET INCOME & GROWTH MULTI-ASSET INCOME FUND NUVEEN NUVEEN |
0 | 0 3 6 291.744 780. |
780.036 291.744 |
| Pagina 58 | |||
જીર
EMARKET
SDIR
GRTIFFE
ථ
ﻟ ਹੈ
3
3.31€
11 Azionisti in delega:
10 maggio 2023 16.43.41


Ogesto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione: relazione non vincolante) FAVOREVOLI
| . 025 . 066 Totale 485.412 980.627 118.558 27.300 90.000 220.234 32.331 б ల |
.300 .551 .239 .042 .500 13.695 .711 750.766 8.597 61-000 146.131 ರಿ 12 б P 924 P ల T o |
0 ਰੇ 319.726 .218.433 . 680 537.332 10.962 .165.954 190-572 5.0 2.091 5 ﺎ I |
. 931 . 698 223.025 59.616 018.979 3.135 016.133 916.757 56.000 85.201 72 337 ന I |
.701 364.043 19.818 6.250 .311 9 67.778 221.562 151.630 492.300 00 177.421 . 83 б L ರ ನ 132 S ਣ ਹੋ |
|---|---|---|---|---|
| 80.627 0 ୧୧୧ Delega 234 - 558 27.300 32.331 .025 85.412 90.000 20 - 18 ਰੇ € T ਟ 6 p |
. 042 239 597 61.000 750.766 12.300 924 - 500 3.695 6.046.131 9.551 4.711 8. 8 বী L ો ದ |
572 5.809 ਦ ਖੇ 80 319.726 332 .218.433 0.962 6 9 5 - 190 - .091. 537 I e ਟ ો ਟ L t |
931 916.757 616 3.135 3.025 56.000 016.133 72.698 018.979 364.043 85.201 337. ਰੇ 22 S E T |
ેને સ 67.778 19.818 1.701 492.300 900 311 221.562 151.630 177.421 6.250 132.8 42. 295. |
| Proprio 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 0 0 0 |
0 0 0 0 0 0 0 0 0 0 0 |
| ETE FIDETITY COVINGION TRUST: EIDELITY INTT HIGH DIVIDEND INDEX ETF EXEMPLUM DEAM-FONDS DVERG FONDS GDP 1 SCSM SERIES PLC DWS-FONDS PAJ 1 FIDELITY INTERNATIONAL HIGH DIVIDEND FONDS DEAMFONDS LLC FUNDS GLOBAL INVESTORS DEAM FUND DEAM FOR INTERNATIONAL FOR FOR FOR FOR GMBH GMBH GMBH હતાં કા GMBH Ragione Sociale INVESTMENT INVESTMENT INVESTMENT INVESTMENT INVESTMENT RAE PIMCO PIMCO OWS DWS DMS DMS DMS |
POOL EQUITY TRUST DAILY MULTIFACTORINTERNATIONAL POOL PORTFOLIO EDUCATION FUND CORPORATION 1 San NON-LENDING OPPORTUNITIES STK FUND DWS NOTAERZTE FONDS FONDS INDEX ALLOCATION MANAGEMENT DEAM DEAM POSTSECONDARY INDEX INTERNATIONAL EQUITY AIETD FOR FOR FOR INTERNATIONAL EX-USA INVESTMENTS INVESTMENTS GMBH PLAN GMBH GMBH INVESTMENT SAVINGS ACWI INVESTMENT INVESTMENT INVESTMENT SELFFINANCING мгсі THRIVENT RUSSELL ALBERTA RUSSELL SCOTTA THRIFT SSGA DWS DMS SMS |
SUSTAINABLE REDUCED CARBON OPPORTUNITIES AS MASTER CUSTODIAN OF FIDELITY (TAIWAN) EUND SCHRODERS INTERNATIONAL MULTI-CAP VALUE SYSTEM SYSTEM SYSTEN FUND FOR RECREATION RETIREMENT RETIREMENT RETIREMENT TJANSTEPENSION AB TEACHERS TEACHERS TEACHERS BANK ASIAN DEVELOPMENT SIR DAVID TRENCH CAP STATE STATE STATE ITS HART FORD YORK YORK YORK FOLKSAM IN TEB NEW NEW NEW |
2IF GREEN - ZURICH INVESTINSTITUTIONAL FUNDS INDEX POOLED FUND FUND 1000 INDEX NONLENDING COMMON TRUST AMERICA INDEX ETF TRUST FUND INTERNATIONAL EQUITY ON BEHALF OF ETF CAP INDEX INVESCO INCOME ADVANTAGE INTERNATIONAL FUND DWSFONDS SAARAERZTE NONLENDING COMMON PLC NORTH MANAGEMENT FUNDS (IRELAND) AG ALL CAPEX (SWITZERLAND) EUROPE INVESTMENT MANAGEMENT ALL FACTORBASED FOR DEVELOPED DEVELOPED DEVELOPED MANAGEMENT GMBH ILC ZURICH INVEST IÇAV TJ-NONQUALIFIED DWS INVESTMENT FTSE SE RAFI STREET FT MELLINGTON MANULIFE FUND VANGUARD VANGUARD FTSE STATE SSB ubs |
Pagina 59 SELECTOR ALL CAP PORTFOLIO PORTFOL II STRATEGIC ADV FIDELITY INT FND INVESTMENT GESELLSCHAPLE MBH FOR ROODITATUMIVERSATEONDS 2 TRUST- THE INSTITUTIONAL INTERNATIONAL EQUITY GAABALANCE PORTFOLIO GAAGROWTH PORTFOLIO RETIREMENT ASSOCIATION TRUST - THE ESG GROWTH PORTFOLIO STOCK FUND: Teste: RUTLAND SQUARE TRUST INSURANCE PRODUCTS RETIREMENT ADVANTAGE RETIREMENT ADVANTAGE HOSPITALS 3.327 EMPLOYEES THE METHODIST HOSPITAL FOUNDATION INC COUNTY CAPITAL CAPITAL CAPITAL UNIVERSAL ET DETTITY VARIABLE PUTNAM KAISER PUTNAM SONOMA FMR HC HC |
| Badge D D D D D D D D **D |
D D D D D D D D D D **D |
D D D D * D D D *D |
D D D D D D D D D D **D |
Azionisti: D D D D D D D D D D **D |
રાદ

3.316
l 1 Azionisti in delega:
10 maggio 2023 16.43.41
11

Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione: relazione: relazione son vincolante)
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | RETIREMENT ADVANTAGE GACONSERVATIVE PORTFOLIO PUTNAM |
370 51. |
51.370 | ||
| **D | MULTI-ASSET INCOME FUND PUTNAM |
0 | 23.600 | 23.600 | |
| **D | VARIABLE IRUST - EUTNAM VT GLOBAL ASSET ALLOCATION FUND POTNAM |
0 | 17.472 | 17.472 | |
| **D | ASSET ALLOCATIONGROWTH FUND DYNAMIC PÜTNAM |
0 | 363.757 | 363.757 | |
| **D | OF NEVADA THE STATE |
0 | 41.314 | 41-314 | |
| **D | RISK ALLOCATION FUND INC GLOBAL AB |
0 | 10-639 | 10.639 | |
| **D | COMPANY HANCOCK LIFE AND HEALTH INSURANCE JOHN |
0 | 473.875 | 473.875 | |
| **D | ALL MARKETREAL RETURN PORTFOLIO INC AB BOND FUND AB |
0 | 520.664 | . ୧୧୧ 520 |
|
| **D | COLLECTIVE INVESTMENT TRUST SERIES AB |
0 | 209.333 | 209.333 | |
| **D | DYNAMIC ASSET AL LOCATION PORTFOLIO FUND INC. - AB SERIES PRODUCTS VARIABLE AB |
0 | 22.374 | 22.374 | |
| **D | UNIVERSALINVESTMENTGESELLSCHAFTMBH FOR RZV | 0 | 43.100 | .100 ਕੇ ਤੋ |
|
| **D | PLUS PLAN TRUST IBM 401 (K) |
0 | .570.214 t |
570.214 ﺎ |
|
| **D | KONSUMENTKOOPERATIONENS PENSIONSSTIFTELSE | 0 | 94.886 | ୫ ୧ 94.8 |
|
| **D | THE BANK OF KOREA | 0 | 9 10.45 |
9 . 45 10 |
|
| **D | SPDR MSCI ACWI EXUS ETF | 0 | 512-738 | 512.738 | |
| **D | INTERNATIONAL DIVIDENDETF SEP SPDR |
0 | .628.861 t |
628.861 1. |
|
| **D | COMMON TRUST FUNDS TRUSTINT RESEARCH EQUITY PORTFO WTCN |
0 | 371 204 |
.371 204 |
|
| **D | SSB MSCI ITALY INDEX SECURITIESLENDING COMMON TRUST FUND | 0 | 6.806.049 | 806-049 9 |
|
| 48 | **D | TRUST FUND SECURITIES LENDING COMMON STATE STREET WORLD ENHANCED |
0 | 9.700 | 9.700 |
| * * D | ALGEMEEN PENSIOENFONDS VAN CURACAO | 0 | 0.968 I 3 |
30.968 T |
|
| **D | ALLIANCE BERNSTEIN UK EQUITYFUND ES |
0 | 749.400 | 749.400 | |
| **D | FUND INDEX ALL CAP GLOBAL FTSE VANGUARD VIE ICVC |
0 | 320.538 | 320.538 | |
| **D | INDEX GLOBAL EQUITY FUND SCOTTISH WIDOWS INV.SOLUTIONS FUNDS ICVC-FUNDAMENTAL |
0 | 9 .416.44 t |
416.445 t |
|
| **D | EX UK EQUITY FUND EUROPEAN SPW MULTI-MANAGÉR l ICVC MULTI-MANAGER ടല്പ |
0 | 184.445 L |
184.445 T |
|
| **D | MANAGED GROWTH UNIT TRUST JAMES`S PLACE ST NATWEST |
0 | 235.201 | 235.201 | |
| * * D | MANAGED PENSION FUNDS LIMITED | 0 | .807 188 2 |
.188.807 て |
|
| **D | STICHLING BHITISS FENSIOENEONDS | 0 | 075.177 ਟ |
875.177 ਟ |
|
| **D | TRUSTEE AND DEFORTIARY SERVICES TIMILED AS TRUSTEE OF 31 THEE GLOBAT ABSOLULE NATWEST |
0 | -422 104 |
. 422 104 |
|
| **D | FAMILY INVESTMENTS CHILD TRUST FUND | 0 | 173.232 | 173.232 | |
| **D | RETURNS FUND DIVERSIFIED omnis l INVESTMENTS ICVC OMNIS PORTFOLIO |
0 | 8.096 | 8.096 | |
| * * D | LTD AFRICA) ASSURANCE COMPANY (SQUTH MUTUAL LIFE OLD |
0 | 29.412 | 29-412 | |
| **D | TJANSTEPENSION AB (PUBL) КРА |
0 | 30.751 | 30.751 | |
| **D | (PUBL) AB TJANSTEPENSIONSFORSAKRING KPA |
0 | 184.671 2. |
184.671 ਟ |
|
| **D | DE BO FOR DEAMFONDS GMBH INVESTMENT DWS |
0 | 207.10 | 100 207. |
|
| **D | FOR DEAM-FONDS MASP GMBH INVESTMENT DHS |
0 | 168.000 | 168.000 | |
| * * D | 415 FOR MIFONDS GMBH MANAGEMENT ASSET MPITZ LER |
0 | 253.100 | 253.100 | |
| **D | GROWTH, L.P. WELLINGTON COMPOUND |
0 | 115.732 | 115.732 | |
| **D | 1 ઉકા DEAMFONDS FOR GMBH INVESTMENT DWG |
0 | 93.691 | 93.691 | |
| **D | TRUST RETIREMENT MERCY HEALTH |
0 | 126.393 | 126.393 | |
| **D | FUND INDEX NONLENDING COMMON TRUST SCREENED EUROPE MSCI ടടി |
0 D |
248.867 247.043 |
248.867 247.043 |
|
| *D * D |
TRUST FUND SCREENED NONLENDING COMMON PORTFOLIO ENDURING ASSETS IMI EX USA ACWI DAILY ASCI ATCN SSB |
0 | 425.904 | 904 425. |
|
| **D | II WELLINGTON TR CO NATL ASSOCMULTIPLE COLLECTIVE INVEST FOSTR THE |
C | 199 357 - |
ਹ ਰੇ ਰ 357. |
|
| **D | TRUST FUND INFRASTRUCTURE INDEX NONLENDING COMMON GLOBAL SP SSB |
0 | . 833 . 666 2 |
୧୧୧ 833. 2 |
|
| **D | COMPANY DEVELOPED MARKETS INDEX TRUST FIDUCIARY TRUST VANGUARD |
0 | . 115 . 686 H |
ସ ୧ 9 .115. T |
|
| **D | VANGUARD ENERGY FUND | । ਦਰ 5.297. T |
ਹ ਦਰ 5.297. T |
||
| « * D | LLC ARKWRIGHT, |
285 36 |
85 ದ 36. |
||
| **D | ETF SCHWAB INTERNATIONAL DIVIDEND EQUIT Y |
ર વે શ . 828 . प |
તેર S .828. b |
||
| **D | EQUITY ETF SCHWAB INTERNATIONAL |
2.854.304 t |
304 12.854. |
||
| **D | STOCK INDEX FUND VANGUARD TOTAL WORLD |
3 ട 8 4.101. |
35 B 4-101. |
||
| Pagina 60 | |||||
| 21 3 327 |
|||||
| Azionisti: | Teste: | ||||
| Azionisti in proprio: | 3.316 Azionisti in delega 11 |
EMARKET
SDIR
GRTIFFE
ની શોધીની પાસની વિદ્યોની સાથે જિલ્લાના મહત્વની સાથે જિલ્લાના માટી તાલુકામાં આવેલું એક ગામના લોકોનો મુખ્ય વ્યવસાય ખેતી, ખેતમજૂરી તેમ જ પશુપાલન છે. આ ગામનાં લોકોનો મુખ્યત્વે
1
రామ్న
() (200
10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposi - Seconda Sezione: relazione: relazione: relazione non vinolante) . FAVOREVOLI
| C | 9 0. |
B ไ |
163.14 63.75 |
S ப 245.566 350-627 136.412 378.913 84.717 204.016 556.297 5.383.062 6.590 0 208.747 140.094 1.032 720.740 2.742 5.040 272.384 97.691 39.704 20.300 57.474 18 50. 0 ﻞ |
66.078 508.431 b |
74 - 4 0 7 818.887 43.401 |
69.759 | 910 71.402 2.716. |
. 989.058 7.852 |
ਰੇ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋਂ ਤੋ 175 |
0.627.522 151.595 l |
532 .692 . 009 . 439 m E |
. 440 ਰੇ ਹੋ ਰੇ |
. 162 g ไ |
. 025 .495.423 6 பர 111 1 |
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| RE: HITACHI FOREIGN EQUITY INDEX MOTHER FUND INC. INTERNATIONAL VALUE PORTFOLIO |
|||||||||||||||

ધાર
10 maggio 2023 16.43.41
VI


Ogetto: Relazione sulla politica di remunerais corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzione non vincolante)
| FAVOREVOLI | |
|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | NATWEST TRUSTEE AND DEPOSITARY SERVICES LIMITED AS TRUSTEE OF 5T. JAMES S PLACE STRATEGIC MANAGE | 0 | 200.571 | 200.571 |
| **D | REGIAO ADMINISTRATIVA ESPECIAL DE MACAU FUNDO DE SEGURANCA SOCIAL DO GOVERNO DA |
0 | 239.303 | 239.303 |
| D D |
FUND FUND INTERNATIONAL MONETARY INTERNATIONAL MONETARY |
0 | 67.354 ਟ |
267.354 |
| **D | STS INSTITUTIONAL GLOBAL TRU NOMURA ASSET MANAGEMENT THE |
0 0 |
61.758 こ |
261.758 |
| **D | SPDR PORTFOLIO EUROPE ETF | 0 | 146.414 87.143 ਟ |
287.143 146.414 |
| **D | ETF 50 STOXX EURO SPDR |
0 | .186.990 6 |
6.186.990 |
| **D | 1 DEAM FONDS DKS FOR GMBH INVESTMENT DMS |
0 | 68.000 | 68.000 |
| **D | DEUTSCHE INTH GMBH FOR INVESTMENT DWS |
D | 60.000 | 60.000 |
| **D | FUND LTD PARIBARA |
0 | 629 | 629 |
| **D | RISKRETENTION GROUP} MCIC VERMONT (A RECIPROCAL |
0 | 381 62 - |
62.301 |
| D D |
EQUITY FUND COMPANY MULTIFACTOR INTERNATIONAL MULTISTRATEGY INCOME FUND COMPANY INVESTMENT INVESTMENT RUSSELL RUSSELL |
0 0 |
46.335 54.747 |
46.335 54.747 |
| **D | MANAGÉMÉNT FUNDS PLC ASSET ROYAL LONDON |
0 | 75.351 | 75.351 |
| **D | FUND GIOBAL HIGH DIVIDEND EQUITY MOTHER HE DEUTSC STB |
0 | 30.324 | 30.324 |
| **D | GARANT DWS |
0 | 62 - 608 | 62.600 |
| * * D | DWS ESG MULTI ASSET INCOME KONTROLLIERT | 0 | 670-242 | .242 670. |
| **D | STRATEGY FUND EATON VANCE RICHARD BERNSTEIN EQUITY |
0 | 89.511 5 |
511 8 ਤੋ S |
| D D |
ETF ETF TRUST - FRANKLIN FTSE EUROPE FRANKLIN TEMPLETON |
0 | 83.622 | 83.622 |
| **D | EXCHANGE-TRADED FUNDS-PRINCIPAL INTERNATIONAL ADAPTIVE MULTI-FACTOR ETF LARGE-CAP INDEX PORTFOLIO -PD INTERNATIONAL FUND SECECT PRINCIPAL PACIFIC |
0 0 |
4-086 | 4.086 |
| **D | FUNDS INTERNATIONAL VANTAGE FUND AMERICAN |
0 | 300 317.930 92 . 2 |
300 ਰੇਤੇ ਹ 317. 92 ਟ |
| **D | SHIPPING OF AMERICAN BUREAU |
0 | 9.149 | . 149 б |
| **D | INFRASTRUCTURE MOTHER FND GLOBAL TECHNOLOGY MTBJ PINEBRIDGE |
0 | 20.000 ਟ |
220.000 |
| **D | INDEX TRUST LEVEL 15 EQUITIES STREET INTERNATIONAL STATE |
143.540 | 143.540 | |
| **D | FUND BALANCED INCOME GLOBAL l (UK) FUNDS STANLEY MORGAN |
0 | 272 | 272 |
| **D | EQUITY INDEX FUND . K. ប l INVESTMENTS FUNDS ICVC-VANGUARD FTSE DEVELOPED WOR LD EX VANGUARD |
0 | .233.412 ਟ |
.412 .233 ਟ |
| **D | INDEX FUND EXUK EQUITY EUROPE DEVELOPED ETSE VANGUARD ICVC VIF |
.119.225 ব |
4.119.225 | |
| **D | UNIT TRUST INCOME STRATEGIC PLACE JAMES * S ST NATWEST |
3.077 S E |
077 353 |
|
| **D | TRUST GLOBALEQUITY UNIT PLACE JAMES `S 5T NATWEST |
54.258 . 2 9 |
6.254.258 | |
| 6457 | ALESSIO GABRIÉLI |
7 p |
0 | ರೆ ರ |
| 6578 | GIANCARLO PESCINI |
0 ไ |
15.000 | .010 15 |
| ୧୫୦୧ | ALESSIO CINQUINI |
സ് ਨ |
0 | 25 |
| 6832 | DI MODRONE RAIMONDO VISCONTI |
0 50 ા વે દ |
0 | 500 14 ද |
| DE* | FINANZIARIA GOLD - FINGOLD SPA | 0 | 300.000 | 300.000 |
| ୧୫ = 3 * * D |
SEGUROS COMPANHIA MASSIMO ZÜRICH ROSICA |
0 | 0 | |
| *** | SA URBAN NILSSON |
0 | - 436 б ਟ б L |
169.436 |
| *** | ILARDO ROSANNA GALETTA |
0 | 500 700 |
500 700 ਟ |
| **D | INSTITUTIONAL FUND - AKTIEN GLOBAL AEIS |
5.746 5 C |
.746 255 |
|
| **D | - ACTIONS MARCHES DEVELOPPES LARGE CAP INSTITUTIONNEL FONDS l RP |
63.671 | .671 ез |
|
| **D | B-UBS ACTIONS EUROPE (EX-CH) SYN |
0 | 979 ਰੇ - б 5 |
599.979 |
| **D | EUROPE EX-CH-A-AMUNDI ACT בצא |
930 572. |
. 930 572 |
|
| **D | RENDEMENT ABSOLU ETRANGERES ACTIONS l INSTITUTIONNEL FONDS l CAPACITY |
81.227 L |
.227 181 |
|
| **D | ETRANGERES - ACTIONS INSTITUTIONNEL FONDS - CAPACITY |
76.000 | 76-000 | |
| **D | EQUITIES ZERO GLOBAL NET TARGET SYN |
30.766 | 30.766 | |
| D D |
ACTIONS ETRANGERES ー UNIGE PLACEMENT DE FONDS |
72.698 | - 698 72 |
|
| **D | PROFESSIONNELLE DE PREVOYANCE CAISSE INTER-ENTREPRISES PLAN RETIREMENT CHASE JPMORGAN CIEPP - |
754.103 | .103 754 |
|
| **D | TEACHERS RETIREMENT SYSTEM OF GEORGIA | 0 | 04 -031.778 14.151.0 |
04 .778 . O 14.151 .031 t |
| Pagina 62 | ||||
| Azionisti: | 21 Teste: 3.327 |
920


3,316
11 Azionisti in delega:
I 0 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
11 //
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunersi corrisposi - Seconda Sezione: relazione sui compessi corrisposti nel 2022 (deiberzaione von vincolante) FAVOREVOLI
| Totale 2.500 Delega 2.500 |
2.765.477 765.477 ਟ |
251.746 1. .251.746 ไ |
422.409 422 . 409 |
625-583 625.583 |
423.167 423.167 |
б 502.28 6 502.28 |
21.406 21.406 |
69.325 69.325 |
143.682 143.682 |
29.274 29.274 |
168.273 160.273 |
557.000 557.000 |
690.237 690.237 |
990-745 3 . S 990.74 3. |
991.923 1. ದ 991.92 1. |
27.109 б 27.10 |
723.020 723.020 |
13.620 13.620 |
1.000.000 1.000.000 |
232.575 232.575 |
399.237 399.237 |
032.244 2. 2.032.244 |
159.051 159.051 |
147.172 147.172 |
208.323 208.323 |
272.559 272.559 |
279.097 279.097 |
129.178 129.178 |
379.967 1. 1.379.967 |
1.490.586 9 490.58 1. |
100.005 127.442 100.005 127.442 |
71.804 71.804 |
11.837.954 11.837.954 |
41.562 B 841.562 |
220.532 5 220.532 € |
99-084 ਟ 299.084 |
1.379 1.379 |
23.334 23-334 |
564.327 ਟ 564.327 ১ |
53.974 53.974 |
81-338 ﺴﺎ 781.338 |
30.134 348.182 348.182 30.134 |
। ਰੇਰੇ 7. ర్ 97.199 |
95.000 L 195.000 |
195.000 195.000 |
809 37. 37.009 |
29.975 975 29. |
||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Proprio 0 |
0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | O | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | ||||
| OF GEORGIA | MASTER RETIREMENT TRUST | QI | 1 | COMPANY LTD - BRANCH ITALIANA | Y REASEGUROS SA SEGUROS |
FUND | EQUITY FUND | EX-U.S. EQUITY COLLECTIVE INVESTMENT TRUST | AXA ROSENBERG EUROPEAN EQUITY MOTHER FUND RE: |
TRUST EQUILLY COLLECTIVE INVESTMENT |
FUND INFRASTRUCTURE |
EUROPA AKTIEN BPK RUBR ES |
FUND | SAVINGS PLAN | EQUITY FUND WILSHIRE INTERNATIONAL |
II SATELITE EQUITY |
ട OF ST. LOUI THE CITY OF SYSTEN |
TRUST | AIRLINES, INC., US AIRWAYS, INC. AND AFF DEFINED CONTRIBUTN FLNS OF |
(AUS) LIMITED | (CPCL) PENSIONS DU PERSONNEL COMMUNAL DE LAUSANNE |
EC/RES ULIFITIES SERIES BORTEOLIO | FAM FUND | - INTERNATIO | EQUITY INDEX FUND HEDGED FUND |
TRANSITION FUND | Pagina 63 21 Teste: |
||||||||||||||||||||||
| Ragione Sociale Badge |
DREYFUSS FREDERIC *** |
ENDLOXEES RELIBERENT SYSLEN * * D |
SOUTHERN COMPANY SYSTEM THE |
AVENIR INFRASTRUCTURE AXA **D |
CARBON OFFSET EUROBLOC EQUITY ACT AXA |
EURO INDICE AXA |
DIVERSIEIE INDICIEL AA AXA |
GREENWICH IVY LONG-SHORI FUND **D |
INSURANCE ZURICH **D |
PLC INSURANCE ZURICH |
DE COMPANÍA VIDA ZURICH |
BANCO SABADELL | AXA A5SICURAZIONI PIR EQUITY |
GLOBAL EQUITY VALUE MONDRIAN D D |
VALUE INTERNATIONAL MONDRIAN **D |
NORTD ALL COUNTRIES MONDRIAN **D |
JAPAN LTD. OF BANK TRUST MASTER **D |
INTERNATIONAL MONDRIAN **D |
LISTED GLOBAL MONDRIAN |
PENSIONSKASSE BERNISCHE **D |
BERNISCHE LEHRERVERSICHERUNGSKASSE D D |
SUPERANNUATION GOVERNMENT |
JPMORGAN CHASE 401 (K) **D |
PZENA INTERNATIONAL VALUE FUND | INC. - FUNDS, MUTUAL WILSHIRE |
INVESTMENT TRUST HEALTH COVENANT |
GLOBAL l ROMA FONDAZ IONE |
RETIREMENT SCHOOL PUBLIC |
US RETIREMENT INCOME PLAN ARAMCO |
TR FOR MASTER |
NFS LIMITED | PRUDENTIAL PENSIONS LIMITED MANAGEMENT X GLOBAL |
CAISSE DE | FUND UTILITIES Mas |
TRUST - EQ ADVISORS |
FAM SERIES UCITS ICAV - GLOBAL LISTED INFRASTRUCTURE | IPAC SPECIALIST INVESTMENT STRATEGIES | MJP INTERNATIONAL FUND LLC | RDT-DBI ર્ભાગ R-CO |
MANAGEMENT LIFE LTD ASSET ubs |
INTERNATIONAL INTERNATIONAL AMP |
EQUITY INDEX AMP |
UBS FISE RAFI DEVELOPED 1000 INDEX FUND MACQUARIE WHOLESALE FUNDS |
EQUITY CLIMATE GLOBAL uns |
SHIJEF - IN LINITED | LEGACY IN LP | NXG GLOBAL CLEAN EQUITY FUND | WILSHIRE SOLUTIONS FUNDS TRUST | 3.327 Azionisti: |
QLC

8
color in
1200
Azionisti in delega:
】】
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.43.41
11
Ogetto: Relazione sulla politica di remuneris corrisposi - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deiberzaione non vincolante) FAVOREVOLI

Jero de di Nolly
10 maggio 2023 16.43.41
LISTA ESITO DELLE VOTAZIONE
Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione: relazione: relazione: relazione non vincolante)
Assemblea Ordinaria del 10 maggio 2023
| FAVOREVOLI | ||
|---|---|---|
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | 50 FONDS MIGROS BANK (LUX) |
0 0 | 23.009 | 23.009 |
| **D | ਜ UBS (LUX) ŠIČAV |
a81 58. |
50.981 | |
| **D | MTAA SUPERANNUATION FUND | 0 | .486.213 I |
1.486.213 |
| **D | MLC INVESTMENTS, MLC LIMITED | 0 | ਰੋ 0 2-289.0 |
.289.090 ਟ |
| **D | PENSIONSKASSE BASEL-STADT | 0 | 514 824 . |
824.514 |
| **D | AG. (SWITZERLAND) MANAGEMENT FUND ubs |
0 | 3.730.171 | 3.738.171 |
| * * D | PROFOND GAVIA FUND-AKTIEN WELT BEHALF OF ON AG (SWITZERIAND) MANAGEMENT FUND uas |
0 | 453.613 | . 613 453 |
| D D |
DEVELOPED MARKETS EQUITIES FAZY GLOBAL ASSET ALLOCATION - OF BEHALE ON AG (SWITZERLAND) FUND MANAGEMENT urs. |
0 | 8 64.08 |
64.088 |
| **D | PENSIONSKASSE POST | -306.780 t |
306.780 I |
|
| **D | COMPASS OFFSHORE HTV PCC COMPASS HTV LLC. |
0 0 |
3.268.372 | - 928 268.372 ా |
| **D | GLOBAL OPPORTUNITIES LP СРБІВ |
C | 5.144.928 18.867.885 |
867.885 ਹੈ ਕੇ ਧੋ 18 - S |
| **D | PLC C/O SANNE SUNDS VALUE PZENA |
O | 607.254 | 607.254 |
| **D | PUBLIC LIMITED COMPANY FUNDS PUBLIC LIMITED COMPANY MONDRIAN FUNDS MONDRIAN |
0 | 109.572 | 109.572 |
| **D | CORPORATION RETIREMENT PLANS MASTER TRUST DANAHER |
0 | 676.967 | 676.967 |
| **D | GANNETT RETIREMENT PLAN MASTER TRUST RETIREMENT PLAN MASTER TRUST GANNETT |
135.632 | 135.632 | |
| **D | TRUST FOR CERTAIN TAX-QUALIFIED BECHTEL RETIREMENT PL MASTER |
0 | 163.108 | 163.108 |
| **D | INC. MASTER TRUST PFIZER |
0 | 505.939 | 05.939 5 |
| + + D | L. P EQUITY ESG FUND INTERNATIONAL MONDRICAN |
0 | 485.313 | 485.313 |
| **D | ESG FUND LP GLOBAL EQUITY MONDRIAN |
0 | 48.343 | 48.343 |
| D D |
FOCUSED FUND L.P. INTERNATIONAL EQUITY MONDRIAN MONDRIAN |
0 | 338.432 | 338.432 |
| **D | MULTI-FUND LIC-INTERNATIONAL VALUE INSTITUTIONAL SE GLOBAL ALL COUNTRIES WORLD EQUITY FUND LP. CAUSEWAY |
0 0 |
969.180 | 969.180 |
| **D | MS FUND LP | 0 | 3.229.544 508.620 |
3.229.544 |
| **D | GLOBAL VALUE FUND 2 D5T PZENA |
0 | 334.128 | 508.620 |
| **D | O SERIES INTERNATIONAL EX-US FOCUSED VALUE FUND DST A PZENA |
0 | 334.128 | |
| **D | TRUST VALUE PZENA |
0 | 277.730 | 277.730 |
| **D | AGRICULTURE ORGANIZATION OF THE UNITED NATIONS FOOD AND |
0 | 2 26.59 |
26.592 |
| **D | GLOBAL MONDRIAN |
31.154 | 31.154 | |
| **D | L. P. EQUITY FUND FUND L. P EQUITY INTERNATIONAL MONDRIAN |
0 | 497-417 | 497.417 |
| **D | ГБ FUND EQUITY HORLD EX-US ALL COUNTRIES MONDRIAN |
0 0 |
602.922 4.242-831 6 - โ |
16.602.922 4-242.831 |
| **D | FUND VALUE FOCUSED GLOBAL PZENA |
0 | 8 141 45 |
B . 45 141 |
| **D | SUPERANNUATION BOARD. EMPLOYEES GOVERNMENT |
0 | 13.413 9 2 |
513.413 ਟ |
| **D | OF WESTERN AUSTRALIA COMMISSION INSURANCE |
453.062 ﺎ |
-453.062 1 |
|
| **D | COMPANY EMPLOYEE BENEFIT MASTER TRUST HALLIBURTON |
0 | 47.196 б |
47.196 б |
| **D | TRUST. INVESTMENT CATERPILLAR |
0 | 79.305 S |
305 79. S |
| * * D | MASTER RETIREMENT TRUST INC. CATERPILLAR |
0 | 98.182 ঘ |
182 98. ਾ |
| **D | RETIREMENT MASTER TRUST EMERSON ELECTRIC Co |
0 | 339.498 | 339.498 |
| **D | FUND PENSION SUSSEX EAST |
43.999 | ਕੇ ਕੇ ਰੋ 4 ਤੇ . |
|
| **D | THE MOTOROLA PENSION SCHEME. | 105.005 | 005 105. |
|
| **D | RAILROAD RETIREMENT INVESTMENT TRUST NATIONAL |
0 | 283-680 2 |
୧୫୦ 203. 2 |
| **D | THE PENSION PROTECTION FUND RENAISSANCE BOARD OF THE |
710 15. |
15.710 | |
| **D | ENDLOYEES RELIBEMENT SYSTEM OKLAHOMA PUBLIC |
870.272 ਟ |
.870.272 2 |
|
| **D | MATEO COUNTY EMPLOYEES. RETIREMENT ASSOCIATION SAN |
541.372 L |
372 541. ા |
|
| **D | FUNDS TRUS COLLECTIVE SUB-ADVISED NORTHERN TRUST COMPANY 대 위한 조 |
217.334 | ਤੇ ਤੇ ਕ 217. |
|
| **D | FUND RETIREMENT ILLINOIS MUNICIPAL |
923.28 ਟ |
.923.280 2 |
|
| **D | OF TEXAS FOUNDATION BAPTIST |
83.572 € |
572 "BBC |
|
| **D | TEACHERS' RETIREMENT SYSTEM OF OKLAHOMA | 527 . 628 2 |
ರಿ 62 527. 2 |
|
| **D | UBS COMMON CONTRACTUAL FUND. | 86.026 | 026 6. 8 |
|
| **D | VALUE QUEST PARTNERS LIC - EUROPEAN FOCUSED VALUE | 43.160 | 43.160 | |
| Pagina 65 | ||||
| Azionisti: | 21 Teste: 3.327 |
|||
| Azionisti in proprio: | 3.316 Azionisti in delega: 11 |

ું
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.43.41

LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunerati corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolate) FAVOREVOLI
924

lelly
ن محمد ا
10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023
LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante)
FAVOREVOLI
| Badge | Ragione Sociale | Proprio | Delega | Totale |
|---|---|---|---|---|
| **D | GENERAL CONFERENCE CORPORATION OF SEVENTH DAY ADVENTISTS | 217.031 | 217.831 | |
| D D |
EQUITY INVESTMENTS PACE INTERNATIONAL HARTFORD |
O | . 137 ਟ ਰੇ ਪੈ T |
594-137 |
| **D | FUND REAL ASSET |
O | - 834 ਰ 8 4 |
984-834 |
| TRUST PENSION FIXED BENEFIT MASTER INC AIRLINES AMERICAN |
0 | S 0 S 775 โ |
775.205 1 |
|
| D D |
TRUST SAVINGS EMPLOYMENT NATIONAL |
0 | 0 295.64 T |
295.640 1 - |
| SCHEME PENSION LINITED CHEMICAL SUN |
0 | 0 S . O 53 |
B S 53.0 |
|
| **D | THEMES FUND GLOBAL M+G l (1) FUNDS INVESTMENT M+G |
0 | 506.665 7 |
5 506.66 4 . |
| **D | INFRASTRUCTURE FUND GLOBAL LISTED હિં (10) FUNDS INVESTMENT MG |
O | 9 531.63 4 - |
9 531.63 4. |
| **D | FUND TRACKER INDEX EUROPEAN હિંદ (1) FUNDS INVESTMENT AG |
0 | 8 112.83 |
8 112.83 |
| **D | STANS BENEFIT FOR DEFINED TRUST CAPITAL GROUP HARBOR |
0 | 8 0 23.5 |
23.508 |
| **D | ICAV ETF АХА ІМ |
0 | 726.752 | 726.752 |
| **D | TRUST PASTORAL INVESTMENT OBLATE INTERNATIONAL |
0 | 12.974 | 12-974 |
| 6926 | FRANCESCO DRIGO |
O | ||
| DE* | ASSICURAZIONI SPA ALLEANZA |
0 | 0 0 5.227.0 |
5.227.000 |
| DE* | E Y REASEG PENSION S.A. DE SEGUROS ESPANA GENERALI |
0 | 1 S 196.1 |
196-151 |
| DE* | REASEGUROS SEGUROS Y DE SA ESPANA GENERALI |
0 | m ਰੇ ਤੇ |
m ਰਤ |
| DE* | SPA ITALIA GENERALI |
0 | un 27 .836 T |
836.275 1. |
| DE* | GENERTELLIFE SPA | 0 | ம் 252.26 1. |
u 26 252. 1. |
| DE* | GF A CARAIBES | 0 | 58 23.8 |
23.858 |
| DE* | ASSURANCES ET DE REA. L EQUITE |
0 | 57.752 | 57.752 |
| DE * | SOCIETA CATTOLICA DI ASSICURAZIONE SPA | 0 | 000. PIB | |
| 7024 | STEFANO GENOVESE |
0 | 014.000 | |
| DE* | S.P.A. ASSICURAZIONI ARCA |
0 | ||
| DE* | S.P.A. VITA ARCA |
260.000 | 260.000 | |
| DE+ | 5.P.A. ASSICURATRICE LINEAR COMPAGNIA |
0 | . 000 53 |
53.000 |
| DE* | S.P.A. GRUPPO UNIPOL |
0 | 281.000 | 201.000 |
| DE* | S.P.A. INVESTMENT UNIPOL |
0 | 00 0.0 50 |
500.000 |
| DE+ | ASSICURAZIONI S.P.A. UNIPOLSAI |
0 | 00 0.0 . 39 |
.390.000 L |
| DE+ | 0 | 4.760.380 | 4.760.380 | |
| S.P.A. UNISALUTE |
0 | 0 0 275.0 |
275.000 | |
| 7280 | MAURO TABELLINI |
O | .237.161 2 |
2.237.161 |
| DE* | ਸ b ડ CERAMICA CASTELLARANO FINANZIARIA |
0 | 1-125-711 | 125.711 H |
| DE* | GRANITIFIANDRE SOCIETA` PER AZIONI | 0 | 3.167.161 | 3.167.161 |
| DE+ | SOCIETA PER AZIONI GROUP CERAMICA IRIS |
0 | 0 ਟ 6-523.9 |
6.523.920 |
| 7317 | STEFANO STEFANO Di |
C | 0 | |
| DE* | FINANZE DELLE E MINISTERO DELL ECONOMIA |
O | 2.397-856.331 | 2-397-856.331 |
| 7437 | ENRICO GIUDICE LO |
0 | ||
| DE* | LTD FUND ENHANCED MASTER CAPITAL COVALIS |
0 | 0.623 21.29 |
21-290-623 |
| DE* | LTD FUND MASTER CAPITAL COVALIS |
0 | 0 ਰੇ 6.1 29.20 |
9.206.109 ਟ |
| DE* | SPC STRATEGIC OPPORTUNITIES MASTER FUND CAPITAL COVALIS |
0 | 50 6.094 9 |
50 6.094.9 |
| DE* | IFALD OPPORTUNITIES MASTER FUND TACTICAL CAPITAL COVALIS |
. 314 20-324 |
0.324-314 2 |
|
| 7613 | FABRIZIO AROSSA |
|||
| DE* | LTD OPPORTUNITIES MASTER FUND TACTICAL CAPITIAL COVALIS |
62 654.3 |
654.362 | |
| 7683 | SERGIO CORRTI |
0 | ||
| RL* | S.R.L. SERVIŽI MEDICI AZIENDALISISTEMI SANITARI S.M.A. |
1,260 | 0 | ed 2 1. |
| Totale voti | 6.466.767.482 | |||
| Percentuale votanti % | 98,288884 | |||
| Percentuale Capitale % | 63.607466 | |||
ર્દ્રદ

Versized in all
3.316
Pagina 67
Azionisti in proprio: Azionisti:
3.327 Teste:
10 maggio 2023 16.43.41

Oggetto: Relazione sulla politica di remunerazione: relazione: relazione: relazione: relazione: relazione: relazione non vincolarte)
| CONTRARI |
|---|
| Ragione Sociale | Proprio 3.000 |
Delega 0 |
Totale 3.000 |
|
|---|---|---|---|---|
| POGGI GIANNI | UNDÈCIES TUF NELLA PERSONA DI CARUSO ENRICO 135 COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART |
0 | 0 | 0 |
| TREVISAN DARIO | O O |
750 | 750 0 |
|
| PRIVATFONDS GMBH MEAG FLEXCONCEPT-EUROGROWTH UNION INVESTMENT |
9 | 14.547 | 14.547 | |
| INSTITUTIONAL GMBH INVESTMENT |
0 0 |
119.484 511.920 |
119.484 511.920 |
|
| BAYERNINVEST | EURO-AKTIEN DIVIDENDEN NON- BAYERNINVEST KVG MBH |
0 | 61-879 | 61.879 |
| MEAG MM-FONDS 100 | 0 | . 694 . 702 ণ |
4.694.702 | |
| I ERAFP ACTIONS PAB EURO |
0 0 |
13.340 100.414 |
108.414 13.340 |
|
| 2 FCP IRCOM RETRAITE DIVERSIFIE |
0 | 59.600 | 59.600 | |
| MEAG EUROERTRAG | 0 | 6 370.87 |
370.879 | |
| PREMIUM | 0 | 901.460 ਟ |
901.460 N |
|
| LBPAM IRC ACTIONS ISR | 0 | 970.565 | 970-565 | |
| ACTIONS EURO VIII | 0 | 345-066 | 345.066 | |
| EUROINVEST BENEDICT |
0 | 445.599 | 445.599 | |
| EUROKAPITAL | O | 0.000 દ્વ |
10.080 | |
| EUROBALANCE | 0 | 202.015 | 202.015 | |
| VERMOGENSMANAGEMENT FLEXIBEL | 0 | 350-023 | 350.023 | |
| VERMOGENSANLAGE KOMFORT | 0 0 |
10.862 | 10.862 | |
| VERMOGENSMANAGEMENT AUSGEWOGEN | 0 | 21-384 37.016 |
21.384 | |
| VERMOGENSANLAGE RETURN | 0 | 26.832 | 37.016 26.832 |
|
| DIVIDENDE | 0 | 50.000 | 50.000 | |
| VERMOGENSMANAGEMENT ROBUST | 0 | 15.714 | 15.714 | |
| FUND -HSBC POOLED EUROPEAN EQUITY FUND POOLED INVESTMENT |
0 | 58.720 | 58.728 | |
| POOLED | FUND - HSBC POOLED EUROPE EQUITY INDEX TRACKING FUND INVESTMENT INSTITUTIONAL |
0 | 142.278 | 142.270 |
| INDEX | INDEX FUND FTSE ALL-MORLD TRUST SERVICE (ASIA) LIMITED INVESTMENT FUNDS - TRACKER |
0 | 54.485 | 54.485 |
| GLOBAL FUNDS ICAV | 0 0 |
23.973 | 23.973 | |
| ETFS PUBLIC LIMITED COMPANY | 379.856 467.358 |
379-856 467-358 |
||
| SUSTAINABLE EQUITY INDEX FUND DEVELOBED MORID INVESTMENT FUNDS - INDEX TRACKER |
0 | 2.692.419 | 2.692.419 | |
| ETES FUBLIC LIMITED COMPANY - HSBC MSCI EUROPE CITANCE PARIS ATTENED UCITS EDF | 0 | .161 ਧੈ |
4-161 | |
| GLOBAL | EMU EQUITY FUND ICAV - MULTI-FACTOR FUNDS |
288.679 | 288.679 | |
| INDEX | FUND EUROPEAN INDEX FUNDS - INVESTMENT TRACKER |
0 | 834.076 | 834.076 |
| TRUST SERVICES IRELAND LIMITED RE INSTITUTIONAL |
0 | 81 .207.4 I |
.207.481 T |
|
| ETFS | PUBLIC LIMITED COMPANY FUNDS GLOBAL INVESTMENT |
0 | 225.683 | 225.683 |
| BLC ETFS |
HSBC MSCI EUROPE UCITS ETF l |
0 | 1.692 11 |
111.692 |
| SWISSCANTO FONDSLEITUNG AG | 876.811 | 876.811 | ||
| MORIDMIDE EQUITY UCITS ETF LIMITED COMPANY - HSBC MULTI FACTOR HSBC ETFS PUBLIC |
.698.770 ব |
-698.770 రా |
||
| KAPITALANLAGÉGESEL LSCHAFT MBH MEAG MUNICH ERGO |
270.691 2.126.651 |
270-691 2-126.651 |
||
| EUROPEAN BONDS & EQUITIES UNITISTITUTIONAL |
0 | 843 118 |
118.843 | |
| UNIMARKTFUEHRER | 391.000 | 391.000 | ||
| UNICLOBAT DIVIDENDE | .024.709 E |
. 024.709 3 |
||
| EUROPEAN EQUITIES l QUONIAM FUNDS SELECTION SICAV |
109 ਰੇ ਬ |
98.109 | ||
| UNIDIVIDENDENASS | .963.057 ん |
.963.057 ਟ |
||
| EQUITIES CLIMATE TRANSFORMATION l QUONIAM FUNDS SELECTION SICAV SOLIDAIRÉ FCPE SAFRAN ETHIQUE |
10.327 | 10.327 | ||
| 19.431 | 19.431 | |||
| Pagina 68 Teste: 122 |
||||
| S | ||||
| 120 Azionisti in delega: ਟ |
୧୯୮

C ી સ્વર્ગ
Juo
10 maggio 2023 16.43.41
Assemblea Ordinaria del 10 maggio 2023

Ogetto: Relazione sulla politica di remunerazione e Seconda Sezione: relazione : relazione sui compensi corrisposti nel 2022 (deliberazione non vincolante) CONTRARI
| Badge | Ragione Sociale | Proprio | Delega | Totale | |
|---|---|---|---|---|---|
| **D | FCP HUMANIS RETRAITE ACTIONS | 0 | 630.009 | 630-009 | |
| **D | 188 EPSENS OFFENSIF |
0 | 235.997 | 235.997 | |
| **D | ISR FCP HGA ACTIONS |
O | 715.882 | 715.882 | |
| **D | FCPE EPARGNE SOLIDAIRE DYNAMIQ THALES | 0 | 194-291 | 194.291 | |
| **D | CARBONE HUMANIS RETRAITE ACTIONS BAS FCP |
0 | 565.243 | 565.243 | |
| **D | SANTE ACTIONS SOLIDAIRE EMPLOI HGA FCF |
0 | 346.840 | ||
| **D | SANTE HUMANIS RETRAITE ACTIONS EMPLOI |
0 | 346.840 | ||
| **D | FUND ÉUROPEAN HSBC |
0 | 912.630 | 912.630 | |
| **D | VOLATILITY FOCUSED FUND GLOBAL EQUITY навс |
0 | 61.316 | 61.316 | |
| **D | INTERNATIONAL EQUITY INDEX FUND HSBC |
0 | 70.076 | 70.076 | |
| 女女女 | ERIK STOK |
123-503 | 123.503 | ||
| **D | SUPERANNUATION FUND MTAA |
0 0 |
10 | 10 | |
| **D | FUND JOINT STOCK COMPANY UNIFIED ACCUMULATIVE PENSION |
0 | 167 766 | 167.766 | |
| **D | MANDAT ACTION HGAM | 45.999 | ਰੇ ਕੋ 45.9 |
||
| **D | CNP RETRAITE | 0 | 606.528 | 606.528 | |
| **D | 270. POSTE AVENIR | 0 | 43.776 | 43.776 | |
| **D | ട SYSTEMES ISR MODERE DASSAULT |
0 0 |
.750.000 10 |
0.750.000 t |
|
| **D | Long TERME F ARRCO |
277 17. |
17.277 | ||
| **D | E IBM FRANCE FCPE |
0 | 303.371 | 303.371 | |
| * * D | EE ACTIONS RESPONSABLES F HSBC |
0 | 97.019 | 97.019 | |
| **D | FONDATION EUROPE | 0 0 |
950" 916 | 316.036 | |
| **D | 7 FCP BOURBON |
838 10. |
38 10.8: |
||
| **D | 2 N ERISA ACTION EUROPE |
0 | 134.709 | 134.709 | |
| **D | - POCHE ACTIONS TESLA FCP |
0 | 206 238 . |
238-206 | |
| **D | EQUITIES FORT.D |
63.827 | 63.827 | ||
| **D | EQUILIBRE DIVERSIFIE ORANO |
0 | 12.719 | 12.719 | |
| **D | CROISSANCE FCPE GROUPE CEA |
29.659 | 29.659 | ||
| **D | D TERME FCP ARRCO LONG |
025 26. |
26.025 | ||
| **D | SOLIDAIRÉ CHOIX FRUCTI |
513 823. |
823.513 | ||
| **D | DYNAMIC EURO MULTI-ASSET HSBC |
131.121 | 131.121 | ||
| **D | SRI BALANCED l RESPONSIBLE INVESTMENT FUNDS HSBC |
295.843 | 295.843 | ||
| **D | EUROPE EQUITY INCOME HSBC |
46.150 | 46-150 | ||
| **D | - RESPONSIBLE нгвас |
317 55. b |
455.317 | ||
| **D | DYNAMIC SRI FUNDS INVESTMENT H&BC |
333 102 |
102.333 | ||
| **D | EQUITY EUROLAND SRI l FUNDS RESPONSIBLE INVESTMENT HSBC |
967 1.791. |
967 1.791. |
||
| **D | EUROPE ACTIONS |
0 | 608.656 | ୧୧୧ 608 - |
|
| **D | MODERATE SRI l INVESTMENT FUNDS RESPONSIBLE Case of the Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster of Caster Station of Subm |
0 | 215 ୧୮. |
ער 21 5. |
|
| **D | D REGARD ACTIONS DEVELOPPEMENT |
0 | D 74.20 ದ |
374.200 | |
| **D | ECOFI OPTIM VARIANCE | 0 | 332 64 . |
64.332 | |
| **D | FLEXIBLE EPARGNE ETHIQUE MACKENZIE |
0 | 13-317 | 13.317 | |
| **D | LEADERSHIP IMPACT ETA GLOBAL MACKENZIE |
0 | 176 4 . |
4.176 | |
| **D | PAX INTERNATIONAL SUSTAINABLE ECONOMY FUND WOMAN'S LEADERSHIP FUND GLOBAL |
0 | ਤੇ ਬ 6. |
6.389 | |
| **D | MBH FOR ERGO KAPITALANLAGEGESELLSCHAFT MUNICH MEAG |
0 | 297.743 | 297.743 | |
| **D | ANGLO CELTIC FUND NEAG |
MEAG VISION | 143.656 | 9 143.65 |
|
| **D | INVEST PENSION MBAG |
1.421.220 | 1.421.220 | ||
| **D | FOR ERGO KAPITALANDAGEGESSIMISCHAET MBH MONTCH MERG |
I MEAG EURO |
110.653 | 110.653 | |
| **D | EUROSTAR FOR MEAG KAPITALANLAGEGES MBH ERGO MUNICH MEAG |
.321.644 বা |
4.321.644 | ||
| **D | GLOBAL MOMEN`S LEADERSHIP FUND ELLEVATE PAX |
ਰੇ ਉਹ ਤੇ ਕੇ " |
ਰੇ ਦ 39. |
||
| **D | PAX GLOBAL SUSTAINABLE INFRASTRUCTURE FUND | 171.111 | 171.111 | ||
| **D | FOR ਸਿੱਤ ਮਿ MEAG MUNICH ERGO KAPITALANLAGEGESELLSCHAFT |
MEAG ATLAS | 302.472 | 02.472 ಕ |
|
| 1.661.131 | 1.661.131 | ||||
| Pagina 69 | |||||
| Azionisti : | Teste: 122 |
S | |||
| Azionisti in proprio: | Azionisti in delega: て |
120 |
C2F

12/11/
પ્લ્લ્લ
ران جو ا
10 maggio 2023 16.43.41


Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione: relazione : relazione : relazione sui compensi corrisposti nel 2022 (deiberzaione non vincolate)
CONTRARI
| Badge | Ragione Sociale | |||
|---|---|---|---|---|
| **D | MEAG MULTI LIFE | Proprio | Delega | Totale |
| 933.141 | 933.141 | |||
| 6576 | GAZZONI EMANUEL | 300 | 300 | |
| 6853 | ROSICA MASSIMO | |||
| **D | SIEMENS-FONDS SIEMENS-RENTE | |||
| **D | - MANDAT SMART BETA LD, KAPITALFORENINGEN |
958-409 | 958.409 | |
| **D | ( EX SWITZERLAND) 1 PUB INSTITUTIONAL FUND UMBRELLA- PUB EQUITIES EUROPE |
20.597 | 597 20. |
|
| **D | PUBLICA BUNDES DES PENSIONSKASSE |
203.675 | ર્શ્વ સ્વિક 203. |
|
| **D | HC RENTE | 228.502 | 502 228 |
|
| **D | 47.226 | 47.226 | ||
| **D | KAPITALFORENINGEN LD, GLOBAL QUANT - MANDAT CLEARING SVCS FBO CUST 320043 NEA WE |
260.275 | 260.275 | |
| **D | SIEMENS DIVERSIFIED GROWIN | 79 | 79 | |
| 139.188 | 139.188 | |||
| **D | EMU EQUITIES SIEMENS |
586.913 | 586.913 | |
| **D | ABSOLUTE RETURN SIEMENS |
76.151 | 76.151 | |
| **D | EUROINVEST AKTIEN SIEMENS |
120.498 | 120.498 | |
| **D | BALANCED STEMENS |
137.619 | 137.619 | |
| **D | ETF GLOBAL VALUE CAMBRIA |
196.574 | 574 196. |
|
| **D | PLC TRIUM UCITS PLATFORM |
|||
| **D | EUROPAC FUND HEXAVEST INC HEXAVEST |
193 | । ਰੇਤੋ | |
| **D | HEXAVEST ACWI FUND | |||
| **D | ||||
| DESJARDINS GLOBAL ASSET MANAGEMENT INC. | 1.514 | 1.514 | ||
| **D | DE PLACEMENT DES REGIMES DE RETRAITE DE L'UNIVE MAISON OMER-GINGRAS FONDS COMMUN |
49.284 | 49.284 | |
| **D | VIE D`ASSURANCE FINANCIERE COMPAGNIE DESJARDINS SECURITE |
50.828 | 50.828 | |
| **D | DU MOUVEMENT DESJARDINS RENTES DE REGIME |
9.515 | 9.515 | |
| **D | DESUARDINS GLOBAL DIVIDEND FUND | .183.563 ব |
4.183.563 | |
| **D | SAVINGS TRUST NATIONAL EMPLOYMENT |
50.862 | 50.862 | |
| Totale voti | 70.660.987 | |||
| Percentuale votanti % | 1.073982 | |||
| Percentuale Capitale % | 0.695025 |
828

122 Teste:
2
Pagina 70
ı SETI
Ş

EMARKET
SDIR
GRTIFFE
10 maggio 2023 16.43.41

LISTA ESITO DELLE VOTAZIONE
Oggetto: Relazione sulla politica di remunensi corrisposti - Seconda Sezione relazione sui compensi corrisposti nel 2022 (delberazione non vincolante) ASTENUTI
| Totale | ୧୦ | 1.250 14.633 |
C | 200 - |
.743 T |
62 9.400 ਟ |
200 | 300.000 | 21.430 | 800.000 | 5.000 B |
દાક 02. ન |
60.732 8.201 ਾ |
294 864 . S |
392 547. |
514 a - 0 T |
362 б b 2 |
9.135 б |
358 13. |
22.428 | 7.200 931 5 - |
100.000 | 25.530 | 4.019 | 15.278 | 71.137 | 21.634 43.291 T |
2.975 ಕ |
710 ഹ |
932 21. |
31 025 б 8. ന് |
47.700 | ਹੈ ਦੇ ਖ 06. t |
000 L |
700 4.748 ന് B |
000 0 - 10 |
4.420 | 068 479. |
5.000 T |
1.942 | 000 63.206 0 3 |
||||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
| Delega | 0 | 0 8 51 6 |
0 | 7.500 | 1.743 | 0 0 |
0 | G | 300.000 | 21.430 | 800.000 | 000 85 . |
102.615 | 60.732 48.201 |
864 - 294 ហ |
547.392 | 108.514 | .362 249 |
99.135 | 13.358 | 22-428 5.931 |
7.200 | 100.000 | 25.530 | 4.019 | 15.278 | 71.137 | 121.634 43.291 |
32.975 | .710 ഗ |
21.932 | . 025 . 931 8 0 |
47.700 | 06.164 L |
7.000 | 84.748 8.700 |
00.000 ﺎ |
4.420 | 479.068 | . 000 । ਵ |
1.942 | 000 63.206 0 3 |
|||
| Proprio | 60 | .250 115 5. L |
0 | 0 | 0 | 262 9.400 |
200 | 0 | 0 | 0 | 0 | 0 | 0 | 0 | 0 0 |
0 | 0 | 0 | |||||||||||||||||||||||||||
| UNDECIES IUF NELLA PERSONA DI CARUSO ENRICO | W/ALLIANZGI-FONDS AOKNW-AR SEGMENT OKWICO-AKTIEN | Pagina 71 | 12 | 71 | |||||||||||||||||||||||||||||||||||||||||
| 135 SPA RAPPRESENTANTE DESIGNATO EX ART |
FLORICEL | ERMINIO | PIAZZA AFFARI | FLEXIBLE EQUITY ESG | FLESSIBILE | BEST INVESTMENT CORPORATION ÉÚROPA |
STYLES EUROPE CHOICE BEST |
DIVIDEND SELECTION EUROPEAN EQUITY |
GLOBAL INVESTORS GMBH | DEDICATED LARGE CAPS FONDS AGI INSURANCE |
SUBFONDS EQUITIES | EUROPE VALUE RCM SYSPRO PV-WS |
W/VBDK GMBH GMBH INVESTORS INVESTORS GLOBAL GLOBAL |
III M/LIPCO СМВН INVESTORS GLOBAL |
PFD | WERT | APNIESA SEGMENT APNIESA-NAPO | AVP | TOSCA MAF1 |
AFE FONDS |
OB PENSION FONDS |
2 GANO |
ALLIAN2GI-SUBFONDS TOB -NEU- GANO |
DBI-STIFTUNGSFONDS WISSENSCHAFT | INVEST FOR LIFE AKTIENFONDS | VSBH | ME DILLINGER PENSIONSFONDS DPF ਵਜ਼ਾ |
DUNHILL | REINVEST | PF1 SEGMENT PF1-AA2-E EUA | SVKK DIN |
Teste: 80 |
Azionisti in delega: 6 |
||||||||||||
| Ragione Sociale Badge |
SCARAMUŽŽO PIERPAOLO DI PAOLO LUIGI ୧୦୦୧ 6000 |
COLLEONI ANGELO يوووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووووو |
COMPUTERSHARÉ RA |
LEMMI GÜALTIÉRO D D |
PELLEGRINO GIACOMO RUGIERO 6273 |
RENDINE 6275 |
MAURO STEFANO 6282 |
TREVISAN DARIO 6421 |
INVESTITORI **D |
INVESTITORI **D |
INVESTITORI **D |
INVESTITORI D D |
ALLIANZ **D |
ALLIANZ **D |
ALLIANZ **D |
VKA ALLIANZ **D |
CGI ALLIANZ **D |
ALLIANZ **D |
ALLIANZ ALLIANZ D D |
ALLIANZ **D |
ALLIANŽGI-FONDS **D |
ALLIANZGI-FONDS **D |
THCO-FONDS **D |
ALLIANZGI-FONDS **D |
ALLIANZGI-FONDS **D |
ALLIANZGI-FONDS ALLIAN2GI-FONDS D D |
ALLIANZGI **D |
ALLIANZGI **D |
ALLIANZGI-FONDS **D |
ALLIANZGI-FONDS D D |
ALLIANZGI-FONDS SIV **D |
**D | AGI FONDS EADS **D |
ALLIANZGI-FONDS D D |
ALLIANZGI-FONDS ALLIANZGI-FONDS **D |
ALLIANZGI-FONDS **D |
SUME-COLORDS **D |
ALLIANZGI-FONDS **D |
ALLIANZGI-FONDS **D |
ALLIAN2GI-FONDS ALLIANZGI-FONDS D D |
KREBSHILFE-2-FONDS **D |
ALLIANZGI-FONDS DSPT **D |
Azionisti: | Azionisti in proprio: |

Just Jag And
વ્યુટર
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.43.41 11
Ogetto: Relazione sulla politica di remunersi corrisposti - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberzione voa vinoclarte) ASTENUTI
| Badge | Ragione Sociale | Proprio | ||
|---|---|---|---|---|
| **D | KUMPULAN WANG PERSARAAN DIPERBADANKAN | Delega | Totale | |
| 0 | .481 18 |
8 J 18.4 |
||
| **D | RETRAITE ALLIANZ |
0 | 106.714 | 106.714 |
| **D | AIM EQUITY EUROPE CANTONS | 0 | 08 8 854 - |
08 854.8 |
| **D | IARD MULTI-ASSETS ALLIANZ |
904 426 - |
426-904 | |
| **D | ALLIANZ | e13 321. |
321.613 | |
| **D | ਮਲ HOSPIT VAL DURABLES ALLIANZ |
00 750.0 |
0 0 750.0 |
|
| **D | CHALLENGE ITALIAN EQUITY l FUNDS CHALLENGE |
00 2.000.0 |
00 000.0 2. |
|
| **D | GREEN TEC AS TRUSTEE OF LTD. JAPAN BANK OF TRUST THE MASTER |
0 | 8 0 . 1 4 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 6 |
466.108 |
| **D | FND SUS MITI AS ALLIANZ NEAK83 |
9 8 9 131. |
9 131.68 |
|
| **D | ECO TRENDS FUND GLOBAL INVESTORS GLOBAL ALLIANZ |
0 | 347.000 | 347.000 |
| **D | GPM2A | 0 | P L ్ ਦੇ S |
55.374 |
| **D | STARS STARS LL ITALIA ALL AZIONI ALLIANZ |
0 | 0 0 .030.0 5 |
4.030.000 |
| **D | SPECIAL 50 ITALIA ALLIANZ |
0 | 0 0 97.0 |
0 97.00 |
| **D | DURABLES VALEURS ALLIANZ |
C 0 0.0 50 2. |
500.000 2. |
|
| **D | ISR SOLIDAIRE ACTIONS EPARGNE ALLIANZ |
o o | 0 9 . 3 8 I d |
0 148.36 |
| **D | INVESTMENTS EUROPEAN PENSION ALLIANZ |
0 | 2 B 7-421.6 |
1 7-421-68 |
| **D | INVESTMENTS S.A. AZ EURO |
0 | 0 € . 3 1.305 |
0 1.305.33 |
| **D | VI 21 FOR CONVEST сивн INVESTORS GLOBAL ALLIANZ |
0 | 8 ന ದ 72 |
B 38 72. |
| **D | FONDIS FOR GMBH INVESTORS GLOBAL ALLIANZ |
0 | 63 . 2 વે ર |
45.263 |
| **D | INDU ALLIAN2GIF0NDS FOR GMBH INVESTORS GLOBAL ALLIANZ |
0 | 21.200 | 21.200 |
| **D | THEMATICA FUND FUNDS - ALLIANZ INTERNATIONAL INVESTMENT ALLIANZ |
0 | - 649 41 |
41.649 |
| **D | HPT ALLIANZGIFONDS FOR сман INVESTORS GLOBAL ALLIANZ |
0 | - 978 9 ट |
26.978 |
| **D | SFT MASTER ALLIANZGI-FONDS FOR હિલાકમ INVESTORS GLOBAL ALLIANZ |
0 | ಡಿಯಿರುವುದು ಎಂಬ ಹಿಂದಿ ಎಂದು ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮಾನ್ಯ ಸಾಮ ਰੇ 10 |
109.908 |
| **D | FUND INVESTORS GLOBAL ALLIANZ |
ਤੇ ਕੇ 9 10.220. |
10.220.534 | |
| **D | STIFTUNGSFONDS NACHHALTIGKEIT ALLIANZ |
0 | 05 g 27 |
27.605 |
| **D | - STRATEGY FUND SUISSE ALLIANZ |
08 0 22 |
22.800 | |
| **D | INVESTORS FUND GLOBAL ALLIANZ |
1 ഗ g રે રે રે |
57 565.6 |
|
| 6475 | D`AGNILLO GIULIANA | 000 1. |
0 | 00 1.0 |
| 6728 | DE MARIA COSIMO | 000 1. |
0 | 1.000 |
| 6853 | ROSICA MASSIMO | 0 | C | |
| **D | HARVEST GLOBAL VALUE OPPORTUNITIES EQUITY FUND | 9 S . पे ਟ |
ર્ટ ર - d ਟ |
|
| ୧୨୧୧ | CLAUDIO VIGNOLI |
2.700 | 0 | 2.700 |
| Totale voti | 41.919.261 | |||
| Percentuale votanti % | 0.637134 | |||
| Percentuale Capitale % | 0.412320 | |||
930

Pagina 72
ານ ແລະ
ການປະກວດນາງງາມ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ ແລະ
Teste:
Azionisti in delega: ୍ଥ ପ୍ର
Azionisti in proprio: Azionisti:
10 maggio 2023 16.43.41
VI

Ogetto: Relazione sulla politica di remunerazione - Seconda Sezione, relazione sui comezaj corrisposti nel 2022 deliberazione non vinciante)
| Badge | Ragione Sociale | Delega | Totale | ||
|---|---|---|---|---|---|
| 6421 **D |
MEDIOBANCA SICAV TREVISAN DARIO |
Probrio | 0 | ||
| **D | FONDO PENSIONE NAZIONALE PER IL PERSONALE DELLE | BANCHE DI CREDITO COOPERATIVO CASSE RURALI ED ARTIGIANE | 0 | 334.000 | 334.000 |
| **D | - MEDIOBANCA ESG EUROPEAN EQUITY ട്ടു MEDIOBANCA |
U 450.300 0.33 |
ഹ 0 ਤੇ ਤ 450.30 8. |
||
| **D | INDEX EUROPEAN EQUITY LARGE CAP EPSILON l SGR EPSILON |
S 27.14 |
S 27.14 |
||
| **D | QVALUE EPSILON SGR EPSILON |
11.421 | 11.421 | ||
| **D | QRETURN EPSILON 1 SGR EPSITON |
69.838 | 69.838 | ||
| **D | DLONGRUN EPSILON P SGR EPSILON |
1.999 | 1.999 | ||
| **D | QEQUITY EPSILON - ട്ടഴ EPSILON |
10.058 | 10.058 | ||
| D D |
EURISONCALLALSGR-EURISONGLOBALDIAIDENDESC20InGLIO2025 | 576.809 | 576.809 | ||
| **D | 2027 EURIZONCAPITALSGR-EURIZONGLOBALDIVIDENDESG50-OTTOBRE2025 EURIZONCAPITALSGR- EURIŽON STEP 70 PIR ITALIA GIUGNO |
70.000 | 70.000 | ||
| **D | FLEXIBLE TRILOGY દ્રાન EURIZON l SGR CAPITAL EURIZON |
607.311 | 607.311 | ||
| **D | 30 MULTIASSET GLOBAL AM EURIZON l ई ઉં R CAPITAL EURIZON |
30-719 13.722 |
30-719 13.722 |
||
| **D | II MULTIASSET GLOBAL AM EURIZON - SGR CAPITAL EURISON |
7.941 | a di T 7 . ' |
||
| **D | OBIETTIVO CONTROLLO ਸਮ EURIZON l SGR CAPITAL EURIZON |
12-001 | 12.001 | ||
| **D | OBIETTIVO STABILITA ਖ਼ਮ EURIZON - SGR CAPITAL EURIZON |
0 | 3.803 | 3.803 | |
| D D |
EURIZONCAPITALSGR-EURIZONTHEMATICOPPORTUNITIESESG5007/2026 EURIZONCAPITALSGR-EURIZONSTEP500BIETTIVONETZERO12/2027 |
54.222 | 54.222 | ||
| **D | MEGATREND TR AM EURI ZON ﺎ 5GR CAPITAL EURIZON |
0 | 13.934 202.957 |
ਰੇ ਤੇ ਪੈ 13. |
|
| **D | II MEGATREND TR દાંત EURIZON l SGR CAPITAL EURIZON |
33.043 | 957 33.043 202. |
||
| **D | 02025 EURIZONCAPITALSGR-EURIZONTOPSELECTIONEQUILIBRIOMAGGI |
0 | 0 ਣ ਰੇ |
2 98 | |
| **D | EURIZON GLOBAL DIVIDEND l SGR EURIZON CAPITAL |
0 | 63.651 | 63.651 | |
| **D | EURIZONCAPITALSGR-EUR120NGLOBALDIVIDENDESG50-MAGGIO2025 | O | 95.604 | 95.604 | |
| **D | PIR ITALIA AZIONI EURIZON 1 SGR CAPITAL EURIZON |
0 | 446-690 | 446.690 | |
| **D | AZIONI EUROPA EURIZON l કલ્પ CAPITAL EURIZON |
0 | 798.216 | 798.216 | |
| D D |
AZIONI ITALIA EURIZON l SGR CAPITAL EURI ZON BURIZON |
0 | 571.433 0. |
571.433 ರಿ |
|
| **D | AZIONI INTERNAZIQNALI RENDITA EURIZON EÜRIZON l ട്ടു SGR CAPITAL CAPITAL EURIZON |
617.103 | 617.103 | ||
| **D | E ETICO -EURIZON AZIONARIO INTERNAZIONAL ട്ടടു CAPITAL EURIZON |
0 0 |
25.924 425.000 |
425.000 25.924 |
|
| **D | EURIZON AZIONI AREA EURO ﺎ SGR CAPITAL EURIZON |
0 | 778.640 | 778.640 | |
| **D | PMI THALIA AZIONI EURIZON l SGR EURIZON CAPITAL |
60.000 C |
260.000 | ||
| **D | EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITADICEMBRE2023 | 408 | 408 | ||
| **D | EURIZONCAPITALSGR -EURIZONTOPSELECTIONEQUILIBRIOMARZO2024 | 0 | ਰੇ ਹੋ ਹ | 911 | |
| D D |
EURIZONCAPITALSGR-EURIZONTOPSELECTIONCRESCITAMARZO2024 | 931 | 931 | ||
| **D | -EURIZONTOPSELECTIONEQUILIBRIOMAGGIO2024 SGR -EURISONMULTIASSET TRENDDICEMBRE2022 EURIZONCAPITALSGR EURIZONCAPITAL |
1.261 | -261 T |
||
| **D | -EURILONTOPSELECTIONEQUILIBRIOGIUGNO2024 EURIZONCAPITALSGR |
782 ర్ 1.28 |
782 | ||
| **D | EURIQUICAPITALSGR-EURIZONTOPSELECTIONEQUILIBRI009/2024 | 1.543 | . 289 543 H L |
||
| **D | -EURISONLOBSELECTIONECOLITIBRIOTS / SOS 4 EURIZONCAPITALSGR |
1-133 | 1-133 | ||
| **D | EURICONTOPSELECTIONEQUILIBRIOMARZO2025 EURIZONCAPITALSGR |
1.540 | ਟ 4 0 T |
||
| D D |
ITALIA 70 PROGETTO EURIZON l SGR CAPITAL EURIZON |
2.498.949 | ਰੇ ਕੋ ਕੇ ਕੇ ਦੇ ਹੋ . ব ਟ |
||
| **D | -EURIZONSTEP5008IETTIVONETZER003/ 40 ITALIA EURIZON PROGETTO l SGR EURI ZONCAPITALSGR CAPITAL EURIZON |
.144.68 ਟ |
୧୫୧ . 144 . ਟ |
||
| **D | 2028 TOP EUROPEAN RESEARCH l FUND EURIZON |
24 426 | 24.426 | ||
| **D | RISK CONTRIB ENHANCED CONSTANT l FUND EPSILON |
.631 222.022 32 S |
631 .222-022 32. S |
||
| **D | ITALIAN EQUITY OPPORTUNITIES - FUND EURIZON |
350.000 ਟ |
000 .350. 2 |
||
| **D | Q-EQUITY EUROPEAN l FUND EPSILON |
416.733 | 733 16- P |
||
| **D | O-FLEXIBLE - FUND EPSILON |
1.110.205 | .110.205 I |
||
| **D | EQUITY EUROPE LTE l FUND EURIZON |
630.254 | 630.254 | ||
| Pagina 73 | |||||
| Azıonistı: | ಕ Teste: 76 |
||||
| Azionisti in proprio: | 75 Azionisti in delega: |
શુક્ષ્ણ

lag incl
1000 M
Azionistī in delega:
Assemblea Ordinaria del 10 maggio 2023
10 maggio 2023 16.43.41

LISTA ESITO DELLE VOTAZIONE
Ogedto: Relazione sulla politica di remunerazione i - Seconda Sezione: relazione sui compensi corrisposti nel 2022 (deliberazione von vinolante) NON VOTANTI E, PERTANTO ESCLUSI DAL QUORUM DELIBERATIVO
| Badge **D |
Ragione Sociale | Proprio | ਰ Deleg |
Totale |
|---|---|---|---|---|
| **D | EURO LTE EQUITY EQUITY l l FUND FUND EÜRT ZON EURI ZON |
S 341.15 |
341.155 | |
| **D | ITALY SMART VOLATILITY l FUND EURIZON |
0 58 729 - |
729.580 | |
| **D | ALLOCATION ACTIVE - EURIZON |
0 1.800.00 |
1.800.000 | |
| **D | STRATEGIA MEGATREND l FUND NEXT EURIZON |
ದ್ರ 59 ਰੇਨ |
593 67. б |
|
| **D | EUROPE ESG LTE WORLD EQUITY EQUITY l FUND EURIZON |
0 417.64 |
417.648 | |
| **D | ESG LEADERS LTE EX-EUROPE PEOPLE EQUITY l EUF |
0 94.16 |
94.160 | |
| **D | l ENEXT |
047.227 ਟ |
2.047.227 | |
| **D | STRATEGIA AZIONARIA DINAMICA | ಡಿ 43.79. |
43.793 | |
| **D | -MONTECUCC. DIVERSIFIEDMULTI-ASSETFUND-SLEEVEIMAMUNDI DIVIDEND EQUITY HIGH ISESIF l BUF |
31.730 | 31.730 | |
| **D | P 438.62 |
438.624 | ||
| **D | LOW CARBON EURO EQUITY ITALIAN l l SICAV SICAV AM AM EURIZON EURIZON |
0 | 0 1.400.00 |
1.400.000 |
| **D | OBIELLINO CONTROLLO l SICAV દ્વાન EURIZON |
O | 6 ਟ ਰੋ 85. ਟ |
ਦ ਕੇ ਕੇ ਕੇ 285 |
| **D | SICAV AM EURI ZON |
0 | S ਰੇ ਰੋ 55 - |
995 ક 5 . |
| **D | EQUILIBRIO OBIETTIVO l SICAV AM EURI ZON |
b 111.15 |
111.154 | |
| **D | STABILITA OBIETTIVO l - SICAV EURIZON |
0 | 6.652 | 6.652 |
| **D | SVILUPPO OBIETTIVO - SICAV AM AM EURIZON |
0 | 0.578 | 8.578 |
| **D | EUROPEAN EQUITY | S 24.42 |
24.425 | |
| **D | GLOBAL DYNAMIC ALLOCATION l SICAV SICAV કાન AM EÜRİ ZON EURIZON |
C | 201-501 | 201.501 |
| **D | EQUITY GLOBAL GLOBAL l l SICAV ਬੱਚੇ EURIZON |
0 | 40.001 | 40.801 |
| **D | 15 MULTIASSET EURIZON |
0 | S 43.28 |
43-285 |
| **D | 30 MULTIASSET GLOBAL l SICAV AM |
C | 48.562 | 48-562 |
| * * D | EURIZONINVESTMENTSICAV-EUROPEEQUITY NSURANCECAPITALLIGHT | 73-172 | 73.172 | |
| **D | RISK OVERLAY MULTIASSET l SICAV INVESTMENT EURI ZON EURIZON |
1 67.89 |
67-897 | |
| **D | OVERLAY MODERATO RISK MÜLTIASS l SICAV INVESTMENT |
7.274 | 7.174 | |
| EIS - DONATELLO 2 | 0 | 35.000 | 35.000 | |
| 6934 **D |
SLEEVE IM AZIMUT l - DIVERSIFIED ALLOCATION FUND 4 ISESIF |
5 6 17.1 |
17.165 | |
| MATTEO FORLANI |
92 1.9 |
0 | 1.992 | |
| Totale voti | 38.402.282 | |||
| Percentuale votanti % | 0.583679 | |||
| Percentuale Capitale % | 0.377727 |
932

್ ಸ್
I Azionisti in delega: 76 Teste:

Compare
માં અને
10 maggio 2023 16.43.41

Ogetto: Relazione sulla politica di remunerazione e sui compensi corrisposti orrisposti nel 2022 (dell'erzione non vincolarie) VOTI NON COMPUTATI (Non Votati)
| Badge RA D D |
COLACCHIA ELISABETTA BATTISTUTTI LORIS Ragione Sociale |
COMPUTERSHARE SPA RAPPRESENTANTE DESIGNATO EX ART 135 UNDECIES TUF NELLA PERSONA DI CARICO | Proprio | neleda 6.000 10.700 |
Totale 10.700 6.000 |
|---|---|---|---|---|---|
| Percentuale Capitale % Percentuale votanti % Totale voti |
0.000164 0.000254 16.700 |
Percentuale Capitale %





| AUTENTICA NOTARILE DI DICHIARAZIONE RESA AI SENSI DELL'ART. | A ILANTE - VERAJI STUDIO NOTARILE ASSOCIATO |
|---|---|
| 46 DEL D.P.R. 445 DEL 28 DICEMBRE 2000 - ESENTE DA BOLLO AI | |
| SENSI DELL'ART. 14 DELLA TABELLA ALLEGATA AL D.P.R. 642 DEL | |
| 26 OTTOBRE 1972 | |
| Roma, dieci maggio duemilaventitre | |
| (10/5/2023) | |
| Certifico io Dr. Nicola ATLANTE, Notaio in Roma iscritto al | |
| Collegio Notarile di Roma che, dichiaratosi consapevole delle | |
| sanzioni penali conseguenți a dichiarazioni mendaci, il | |
| firmatario infraindicato - della cui identità personale io | |
| Notaio sono certo - ha sottoscritto in mia presenza la | |
| documentazione che precede: | |
| - Veronica Ciciriello nata a Roma il 26 giugno 1970, | |
| domiciliata per la carica in Milano, Via Lorenzo Mascheroni | |
| n. 19, presso Computershare S.p.A., nell'interesse di detta | |
| 1 persona giuridica. |
|
| NOTA | |
| વે જૂદ્ | P.Je di Porta Pia, 121 00198 Roma Tal 44250457 Eav Ad250430 |
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